Price Summary

  • All
  • Registered
  • Tax Managed
  • Fixed Income
  • MF Trust

Series:

Cash Funds

Manager   Daily
Change
Weekly
Change
    05/26/17   % $ % $
NexGen Canadian Cash J. Zechner Associates Inc. $10.0000   0.0000 0.0000 0.0000 0.0000
NexGen Canadian Cash Tax Managed J. Zechner Associates Inc. $10.0000   0.0000 0.0000 0.0000 0.0000

Fixed Income Funds

Loomis Sayles Global Diversified Corporate Bond Loomis, Sayles & Company L.P. $9.9959   0.0370 0.0037 0.1172 0.0117
Loomis Sayles Global Diversified Corporate Bond Tax Managed Loomis, Sayles & Company L.P. $10.2911   0.0379 0.0039 0.1197 0.0123
NexGen Canadian Bond J. Zechner Associates Inc. $12.8730   0.1011 0.0130 -0.0085 -0.0011
NexGen Canadian Bond Tax Managed J. Zechner Associates Inc. $11.9712   0.1020 0.0122 -0.0067 -0.0008

Preferred Share Fixed Income Funds

NexGen Canadian Preferred Share Registered J. Zechner Associates Inc. $10.9529   -0.2541 -0.0279 -0.1477 -0.0162
NexGen Canadian Preferred Share Tax Managed J. Zechner Associates Inc. $9.8564   -0.2560 -0.0253 -0.1560 -0.0154

Balanced Funds

Loomis Sayles Strategic Monthly Income Fund Loomis, Sayles & Company L.P. $10.2153   -0.0127 -0.0013 0.3980 0.0405
Natixis Strategic Balanced Registered Cidel Asset Management $11.8541   -0.1794 -0.0213 0.2910 0.0344
Natixis Strategic Balanced Tax Managed Cidel Asset Management $11.0142   -0.1794 -0.0198 0.2905 0.0319
NexGen Intrinsic Balanced Registered Galibier Capital Management Ltd. $11.4053   -0.1532 -0.0175 0.8783 0.0993
NexGen Intrinsic Balanced Tax Managed Galibier Capital Management Ltd. $9.2836   0.0020 0.0002 0.0097 0.0009

Equity Funds

Gateway Low Volatility U.S. Equity Fund Gateway Investment Advisers, LLC $9.9082   -0.2928 -0.0291 -0.4641 -0.0462
Gateway Low Volatility U.S. Equity Fund (Hedged) Gateway Investment Advisers, LLC $10.0501   0.0229 0.0023 0.8287 0.0826
NexGen Canadian Dividend Registered Cidel Asset Management $11.1391   -0.2802 -0.0313 0.6488 0.0718
NexGen Canadian Dividend Tax Managed Cidel Asset Management $10.9663   -0.2819 -0.0310 0.6517 0.0710
NexGen Global Equity Registered Cidel Asset Management $15.7785   -0.3857 -0.0611 0.5826 0.0914
NexGen Global Equity Tax Managed Cidel Asset Management $11.5216   -0.3865 -0.0447 0.5840 0.0669
NexGen Intrinsic Growth Registered Galibier Capital Management Ltd. $10.3375   -0.2336 -0.0242 1.1547 0.1180
NexGen Intrinsic Growth Tax Managed Galibier Capital Management Ltd. $10.2452   -0.2463 -0.0253 1.1482 0.1163
NexGen US Dividend Plus Registered Ziegler Capital Management, LLC $17.9061   -0.3816 -0.0686 0.1477 0.0264
NexGen US Dividend Plus Tax Managed Ziegler Capital Management, LLC $13.1163   -0.3828 -0.0504 0.1466 0.0192
NexGen US Growth Registered J.P. Morgan Asset Management (Canada) Inc. $15.3773   -0.3732 -0.0576 1.1591 0.1762
NexGen US Growth Tax Managed J.P. Morgan Asset Management (Canada) Inc. $11.1677   -0.3747 -0.0420 1.1677 0.1289
Oakmark International Natixis Registered Fund Harris Associates L.P. $12.0577   -0.6763 -0.0821 0.3562 0.0428
Oakmark International Natixis Tax Managed Fund Harris Associates L.P. $11.0253   -0.7811 -0.0868 0.3404 0.0374
Oakmark Natixis Registered Fund Harris Associates L.P. $11.5049   -0.2177 -0.0251 0.9556 0.1089
Oakmark Natixis Tax Managed Fund Harris Associates L.P. $11.3673   -0.2247 -0.0256 0.9682 0.1090

Alternative Funds

Loomis Sayles Global Strategic Alpha Fund Loomis, Sayles & Company L.P. $9.8641   -0.0395 -0.0039 -0.0243 -0.0024

*All Tax Managed Funds are Capital Gains Class Front End

Invest better: Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing. The indicated rates of return are are the historical annual compounded total returns including changes in share or unit value and reinvestment of all distributions and does not take into account sales, redemption, distribution or option charges or income taxes payable by any securityholder that would have reduced returns. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated.

Series:

Preferred Share Fixed Income Funds

Manager   Daily
Change
Weekly
Change
    05/26/17   % $ % $
NexGen Canadian Preferred Share Registered J. Zechner Associates Inc. $10.9529   -0.2541 -0.0279 -0.1477 -0.0162

Balanced Funds

Natixis Strategic Balanced Registered Cidel Asset Management $11.8541   -0.1794 -0.0213 0.2910 0.0344
NexGen Intrinsic Balanced Registered Galibier Capital Management Ltd. $11.4053   -0.1532 -0.0175 0.8783 0.0993

Equity Funds

NexGen Canadian Dividend Registered Cidel Asset Management $11.1391   -0.2802 -0.0313 0.6488 0.0718
NexGen Global Equity Registered Cidel Asset Management $15.7785   -0.3857 -0.0611 0.5826 0.0914
NexGen Intrinsic Growth Registered Galibier Capital Management Ltd. $10.3375   -0.2336 -0.0242 1.1547 0.1180
NexGen US Dividend Plus Registered Ziegler Capital Management, LLC $17.9061   -0.3816 -0.0686 0.1477 0.0264
NexGen US Growth Registered J.P. Morgan Asset Management (Canada) Inc. $15.3773   -0.3732 -0.0576 1.1591 0.1762
Oakmark International Natixis Registered Fund Harris Associates L.P. $12.0577   -0.6763 -0.0821 0.3562 0.0428
Oakmark Natixis Registered Fund Harris Associates L.P. $11.5049   -0.2177 -0.0251 0.9556 0.1089

Series:

Cash Funds

Manager   Daily
Change
Weekly
Change
    05/26/17   % $ % $
NexGen Canadian Cash Tax Managed J. Zechner Associates Inc. $10.0000   0.0000 0.0000 0.0000 0.0000

Fixed Income Funds

Loomis Sayles Global Diversified Corporate Bond Tax Managed Loomis, Sayles & Company L.P. $10.2911   0.0379 0.0039 0.1197 0.0123
NexGen Canadian Bond Tax Managed J. Zechner Associates Inc. $11.9712   0.1020 0.0122 -0.0067 -0.0008

Preferred Share Fixed Income Funds

NexGen Canadian Preferred Share Tax Managed J. Zechner Associates Inc. $9.8564   -0.2560 -0.0253 -0.1560 -0.0154

Balanced Funds

Natixis Strategic Balanced Tax Managed Cidel Asset Management $11.0142   -0.1794 -0.0198 0.2905 0.0319
NexGen Intrinsic Balanced Tax Managed Galibier Capital Management Ltd. $9.2836   0.0020 0.0002 0.0097 0.0009

Equity Funds

NexGen Canadian Dividend Tax Managed Cidel Asset Management $10.9663   -0.2819 -0.0310 0.6517 0.0710
NexGen Global Equity Tax Managed Cidel Asset Management $11.5216   -0.3865 -0.0447 0.5840 0.0669
NexGen Intrinsic Growth Tax Managed Galibier Capital Management Ltd. $10.2452   -0.2463 -0.0253 1.1482 0.1163
NexGen US Dividend Plus Tax Managed Ziegler Capital Management, LLC $13.1163   -0.3828 -0.0504 0.1466 0.0192
NexGen US Growth Tax Managed J.P. Morgan Asset Management (Canada) Inc. $11.1677   -0.3747 -0.0420 1.1677 0.1289
Oakmark International Natixis Tax Managed Fund Harris Associates L.P. $11.0253   -0.7811 -0.0868 0.3404 0.0374
Oakmark Natixis Tax Managed Fund Harris Associates L.P. $11.3673   -0.2247 -0.0256 0.9682 0.1090

*All Tax Managed Funds are Capital Gains Class Front End

Invest better: Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing. The indicated rates of return are are the historical annual compounded total returns including changes in share or unit value and reinvestment of all distributions and does not take into account sales, redemption, distribution or option charges or income taxes payable by any securityholder that would have reduced returns. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated.

Series:

Cash Funds

Manager   Daily
Change
Weekly
Change
    05/26/17   % $ % $
NexGen Canadian Cash J. Zechner Associates Inc. $10.0000   0.0000 0.0000 0.0000 0.0000

Fixed Income Funds

Loomis Sayles Global Diversified Corporate Bond Loomis, Sayles & Company L.P. $9.9959   0.0370 0.0037 0.1172 0.0117
NexGen Canadian Bond J. Zechner Associates Inc. $12.8730   0.1011 0.0130 -0.0085 -0.0011

Series:

Balanced Funds

Manager   Daily
Change
Weekly
Change
    05/26/17   % $ % $
Loomis Sayles Strategic Monthly Income Fund Loomis, Sayles & Company L.P. $10.2153   -0.0127 -0.0013 0.3980 0.0405

Equity Funds

Gateway Low Volatility U.S. Equity Fund Gateway Investment Advisers, LLC $9.9082   -0.2928 -0.0291 -0.4641 -0.0462
Gateway Low Volatility U.S. Equity Fund (Hedged) Gateway Investment Advisers, LLC $10.0501   0.0229 0.0023 0.8287 0.0826