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Canadian Bond
Canadian Bond: Asset Allocation on September 30, 2022 by Sector Canadian Bond Federal/Provincial /Municipal 55 Financials 27.1 Energy 5.8 Utilities 3.2 Communication Services 2.6 Real Estate 2.5 Consumer Discretionary 1.5 Industrials 1.5 Cash and Cash Equivalents 0.5 Information Technology 0.3
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Canadian Dividend Equity
Canadian Dividend Equity: Asset Allocation on September 30, 2022 Canadian Dividend Equity Financials 25.9 Industrials 11.8 Index Funds 11.7 Energy 9.6 Communication Services 6.3 Information Technology 5.8 Materials 5.5 Utilities 4.8 Consumer Discretionary 4.3 Health Care 4 Consumer Staples 4 Cash and Cash Equivalents 4 Real Estate 2.3
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Canadian Equity
Canadian Equity: Asset Allocation on September 30, 2022 Canadian Equity Financials 22.4 Industrials 14.9 Energy 14 Materials 9.1 Information Technology 6.8 Consumer Staples 6.6 Index Funds 6.3 Communication Services 4.7 Consumer Discretionary 4.6 Cash and Cash Equivalents 4.3 Utilities 3.4 Real Estate 1.7 Health Care 1.2
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Balanced Income
Balanced Income: Asset Allocation on September 30, 2022 by Asset Class Balanced Income Bonds and Fixed-Income Securities 60.09 Canadian Equities 17.45 United States Equities 13.81 European Equities 4.23 Asia Equities 1.51 Emerging Market Equities 0.34 Cash and Cash Equivalents 2.26 Others/Unassigned 0.31
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Global Fixed Income
Global Fixed Income: Asset Allocation on September 30, 2022 by Region Global Fixed Income North America – United States 55.3 Europe 17.7 North America – Canada 7 Cash and Cash Equivalents 6.9 Asia 6.4 Latin America 6 Supranational 0.7
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Global Equity
Global Equity: Asset Allocation on September 30, 2022 by Region Global Equity North America 58.7 Europe 25.4 Asia 12.5 Cash and Cash Equivalent 3.1 Latin America 0.3
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Balanced Growth
Balanced Growth: Asset Allocation on September 30, 2022 by Asset Class Balanced Growth Bonds and Fixed-Income Securities 17.87 Canadian Equities 21.56 United States Equities 29.45 European Equities 12.22 Asia Equities 9.08 Emerging Market Equities 2.96 Cash and Cash Equivalents 6.42 Others/Unassigned 0.44
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Balanced Portfolio
Balanced Portfolio: Asset Allocation on September 30, 2022 Balanced Portfolio Bonds and Fixed-Income Securities 38.54 Canadian Equities 39.82 United States Equities 15.52 European Equities 1.96 Asia Equities 1.2 Emerging Market Equities 0.61 Cash and Cash Equivalents 2.09 Others/Unassigned 0.26
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Cash Management
Cash Management: Asset Allocation on September 30, 2022 by Maturity Cash Management 0-3 Months 82.5 3-6 Months 6.9 6-9 Months 7.2 9 Months and Over 3.4
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US Equity
US Equity: Asset Allocation on September 30, 2022 US Equity United States Equities 97.3 Cash and Cash Equivalent 2.7





