NexGen Intrinsic Growth Registered Fund

  • FUND FACTS
  • PRICES & PERFORMANCE
  • HOLDINGS & STATS
  • DOCUMENTS

Fund Inception Date:

June 9, 2014


Fund Assets:

(Includes Registered Fund and all registered series)

$989,252


Management Fee:

 

2.00%

View Fee Chart
Portfolio Sub-Advisor:

Portfolio Managers:
Joseph Sirdevan, CFA
Scott Connell, CFA
 
 
 
 
 
 
 

Investment Objective

  • The Fund seeks to provide long term capital growth primarily through investment in a diversified portfolio of Canadian and U.S. equity securities.
  • NexGen Intrinsic Growth Registered Fund seeks to achieve the investment objective through the investment of substantially all of its portfolio assets in non publicly offered debt and Inter Fund Class shares of NexGen Intrinsic Growth Tax Managed Fund.

Who Should Invest in the Fund?

  • If you are seeking long term capital growth from your investment and you are comfortable with the risks associated with equity investments.
  • If you want exposure to Canadian and U.S. equities.
  • If you have a medium tolerance for risk.

Volatility Classification

     X    
Low       High

Equity Style and Capitalization Overview

  Growth Blend Value
Small    X  
Mid    X  
Large    X  

Investment Strategies

  • The subadvisor, Galibier Capital Management Ltd. (“Galibier”), follows a valuation driven, bottom up investment process. Galibier seeks underpriced securities by using fundamental research to determine a security’s underlying intrinsic value. Securities offering a discounted market price to intrinsic value are considered for the Fund
  • To be included in the Fund, a stock must pass Galibier’s rigorous research and valuation process, which calculates the intrinsic value for each stock incorporating projections of 3 to 5 year future earnings, cash flow and balance sheet structure.
  • The benchmark weighting between Canadian and U.S. Holdings in the Fund’s portfolio will be 75% Canadian / 25% U.S. However, depending upon Galibier’s assessment of the markets, the U.S. weighting may fluctuate from 0 – 50% and the Canadian weighting from 50 – 100%.

 


Performance [ as of March 31, 2017 1, 2 ]

Series 1 mo. 3 mo. 6 mo. CYTD 1 yr. 3 yr. 5 yr. 10 yr. *Since
Inception
FE/DSC1.7 3.1 9.0 3.1 18.0 0.0 -- -- 5.3
Benchmark - 75% S&P / TSX Composite & 25% S&P 500 ($CAD)1.2 3.1 8.3 3.1 19.2 -0 -- -- 7.9

Prices (Regular Series)

Fund CodesNAVPU
as of
Daily Change Weekly Change
Front EndBack End 04/26/2017 % $ % $  
NXG5601NXG5607$10.2524 -0.1714 -0.0176 3.0392 0.3024

NAVPU - by Series


1 Returns for 1 month, 3 month, 6 month and CYTD are simple rates of return. The returns for 1 year and Since Inception are annual compound rates of return. Assumes all dividends have been reinvested.
2 Returns represent fund performance and do not include any sales commissions or redemption fees payable by the investor.

Top 25 Holdings [ as of March 31 ]

Name Country Sector % of total holdings Market Value
CASH & EQUIVALENTS? CASH & EQUIVALENTS CASH & EQUIVALENTS? 3.80% 285,229
CAN IMPERIAL BK OF COMMERCE CANADA FINANCIALS 3.70% 277,501
MARTINREA INTERNATIONAL INC CANADA CONSUMER DISCRETIONARY 3.20% 241,529
GILDAN ACTIVEWEAR INC CANADA CONSUMER DISCRETIONARY 3.10% 230,599
THERMO FISHER SCIENTIFIC INC UNITED STATES HEALTH CARE 3.00% 223,868
MANULIFE FINANCIAL CORP CANADA FINANCIALS 2.80% 207,191
CARGOJET INC CANADA INDUSTRIALS 2.70% 204,475
INDUSTRIAL ALLIANCE INSURANC CANADA FINANCIALS 2.70% 204,414
CENOVUS ENERGY INC CANADA ENERGY 2.70% 202,558
CGI GROUP INC CLASS A CANADA INFORMATION TECHNOLOGY 2.70% 200,654
MACDONALD DETTWILER + ASSOC CANADA INDUSTRIALS 2.70% 198,456
EXCHANGE INCOME CORP CANADA INDUSTRIALS 2.60% 193,248
DREAM GLOBAL REAL ESTATE INV CANADA REAL ESTATE 2.50% 189,129
NORTHLAND POWER INC CANADA UTILITIES 2.50% 185,846
NEW FLYER INDUSTRIES INC CANADA INDUSTRIALS 2.50% 183,756
ZIMMER BIOMET HOLDINGS INC UNITED STATES HEALTH CARE 2.30% 170,672
INTACT FINANCIAL CORP CANADA FINANCIALS 2.30% 170,622
WSP GLOBAL INC CANADA INDUSTRIALS 2.20% 166,650
ENGHOUSE SYSTEMS LTD CANADA INFORMATION TECHNOLOGY 2.20% 163,614
RYANAIR HOLDINGS PLC SP ADR IRELAND INDUSTRIALS 2.20% 163,497
DHX MEDIA LTD CANADA CONSUMER DISCRETIONARY 2.20% 162,926
DAVITA INC UNITED STATES HEALTH CARE 2.10% 160,111
KERING UNSPONSORED ADR FRANCE CONSUMER DISCRETIONARY 2.10% 155,820
PARKLAND FUEL CORP CANADA ENERGY 2.10% 155,755
ALLIANCE DATA SYSTEMS CORP UNITED STATES INFORMATION TECHNOLOGY 2.10% 155,155
Total Displayed     65.00% 4,853,274
Total Holdings       7,474,792

Portfolio Sector Allocation
[ as of March 31** ]

FINANCIALS 21.10%
INDUSTRIALS 21.00%
CONSUMER DISCRETIONARY 16.00%
INFORMATION TECHNOLOGY 14.40%
HEALTH CARE 9.20%
ENERGY 6.70%
CASH & EQUIVALENTS? 3.80%
REAL ESTATE 2.50%
UTILITIES 2.50%
CONSUMER STAPLES 1.60%
TELECOMMUNICATION SERVICES 1.20%
TOTAL 100.00%

Portfolio Geographic Allocation
[ as of March 31 ]

CANADA 57.00%
UNITED STATES 32.50%
CASH & EQUIVALENTS 3.80%
IRELAND 2.20%
FRANCE 2.10%
GERMANY 1.20%
NETHERLANDS 1.20%
TOTAL 100.00%

** The Portfolio Sector Asset Allocations and Total Percentage Displayed in Top Holdings do not include non-cash working capital.

NexGen Intrinsic Growth Funds Snapshot
 

 


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 the historical annual compounded total returns including changes in share value and reinvestment of all distributions and do not take into account sales, redemption, distribution or optional 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.