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16.10.2017 19:00:00

Dynamic Funds Announces Risk Rating Changes on Certain Funds

TORONTO, Oct. 16, 2017 /CNW/ - Dynamic Funds announced today that the risk ratings of the funds listed below will change effective on or about November 17, 2017. These changes result from the implementation of the new Risk Classification Methodology recently mandated by the Canadian Securities Administrators (CSA).

Dynamic Funds (CNW Group/Dynamic Funds)

There are no changes to the investment objectives or strategies of these funds associated with their new risk ratings. 

Funds with Lower Risk Rating

Fund

New Risk Rating

(effective on or about
November 17, 2017)

Current Risk Rating

Dynamic Alternative Investments Private Pool Class

Low-to-Medium

Medium

Dynamic Alternative Yield Class           

Low-to-Medium

Medium

Dynamic Alternative Yield Fund      

Low-to-Medium

Medium

Dynamic Dividend Income Class               

Low

Low-to-Medium

Dynamic Equity Income Fund                      

Low-to-Medium

Medium

Dynamic Global Infrastructure Class

Low-to-Medium

Medium

Dynamic Global Infrastructure Fund        

Low-to-Medium

Medium

Dynamic Premium Yield Class                

Low-to-Medium

Medium

Dynamic Premium Yield Fund                

Low-to-Medium

Medium

Dynamic Small Business Fund               

Low-to-Medium

Medium

Dynamic Strategic Yield Fund                      

Low

Low-to-Medium

Marquis Balanced Income Portfolio       

Low

Low-to-Medium

 

Funds with Higher Risk Rating

Fund

New Risk Rating

(effective on or about
November 17, 2017)

Current Risk Rating

Dynamic Canadian Dividend Fund                     

Medium

Low-to-Medium

Dynamic Dividend Advantage Class                   

Medium

Low-to-Medium

Dynamic Dividend Advantage Fund                    

Medium

Low-to-Medium

Dynamic Energy Income Fund                         

Medium-to-High

Medium

Dynamic European Value Fund                        

Medium-to-High

Medium

Dynamic Global Dividend Fund                       

Medium

Low-to-Medium

Dynamic Global Value Fund                          

Medium-to-High

Medium

Dynamic Power American Growth Class                

Medium-to-High

Medium

Dynamic Power American Growth Fund1                 

Medium-to-High

Medium

Dynamic Power Canadian Growth Fund                 

Medium-to-High

Medium

Dynamic Power Global Balanced Class                

Medium

Low-to-Medium

Dynamic Power Global Growth Class                  

High

Medium

Dynamic Power Global Growth Fund Series O                  

High

Medium

Dynamic Power Global Navigator Class               

Medium-to-High

Medium

Dynamic Strategic Gold Class                       

High

Medium to High

Dynamic Strategic Resource Class                   

High

Medium

Dynamic U.S. Dividend Advantage Fund                

Medium

Low-to-Medium

Dynamic U.S. Sector Focus Class                    

Medium

Low-to-Medium

DMP Power Global Growth Class                      

High

Medium

1 Excludes Series N securities

A summary of the CSA's Risk Classification Methodology and the investment objectives and strategies of the funds can be found in the applicable Dynamic Funds simplified prospectus available at www.dynamic.ca or by contacting our Customer Relations Centre at 1-800-268-8186.

About Dynamic Funds
Dynamic Funds is a division of 1832 Asset Management L.P., which offers a range of wealth management solutions, including mutual funds, investment solutions for private clients, institutional clients and managed asset programs. 1832 Asset Management L.P. is a limited partnership, the general partner of which is wholly owned by Scotiabank. ® Dynamic Funds is a registered trademark of its owner, used under license.

Commissions, trailing commissions, management fees and expenses all may be associated with investments in the funds. Please read the prospectus before investing. Investments in the funds are not guaranteed; their values change frequently and past performance may not be repeated.

SOURCE Dynamic Funds

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