Quick Facts | ||||
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Date fund created May 1, 2013 |
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Portfolio Manager Cypress Capital Management |
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Distributions Capital gain, Income |
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Management expense ratio 2.32% - Class A1.75% - Class F |
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Minimum investment* $5,000 for Class A$10,000 for Class F* for Accredited and/or Eligible Investors |
CURRENT NAVs
As at April 30, 2024
Class A
$16.3678
TER630
Class F
$16.7591
TER640