IA Clarington Inhance Conservative SRI Portfolio
Reduced MER (est.)
Key Reasons to Invest
- A diversified conservative balanced solution for investors who want to invest responsibly in the pursuit of their financial goals.
- Target asset mix of 35% equities and 65% fixed income securities, broadly diversified across asset classes, geography and sectors.
- Benefit from a holistic approach to responsible investing through a fully integrated in-house investment management team. The Environmental, Social and Corporate Governance (ESG) and financial analysis teams work together on a security by security basis for enhanced idea generation and risk management.
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Performance - %
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