Bouton
Learn more about our services in the U.S.A.
You are leaving the website of Fiera Capital. Please note that Fiera Capital does not provide investment advisory services, or offer investment funds, in the United States or to U.S. persons. Investment advisory services for U.S. persons are provided by Fiera Capital’s U.S. affiliates, Bel Air Investment Advisors LLC, Wilkinson O’Grady & Co., Inc. and Fiera Asset Management USA.

Prices

Search criteria

  Net asset value Variation  
  As at Close Previous ($) (%) Historical prices
Fiera Capital Mutual Funds
Money Market Fund 10/23/2014 $10.0000 $10.0000 $0.0000 0.00% Unit prices
Bond Fund 10/23/2014 $13.3663 $13.3894 -$0.0231 -0.17% Unit prices
Balanced Fund 10/23/2014 $19.6792 $19.4993 $0.1799 0.92% Unit prices
High Income Fund 10/23/2014 $17.6209 $17.4503 $0.1706 0.98% Unit prices
Canadian Equity Fund 10/23/2014 $12.5078 $12.3194 $0.1884 1.53% Unit prices
Equity Growth Fund 10/23/2014 $135.5381 $133.9578 $1.5803 1.18% Unit prices
Global Equity Fund 10/23/2014 $22.9546 $22.6655 $0.2891 1.28% Unit prices
U.S. Equity Fund 10/23/2014 $16.3092 $15.9975 $0.3117 1.95% Unit prices
Core Canadian Equity Fund 10/23/2014 $21.1670 $20.8848 $0.2822 1.35% Unit prices
Defensive Global Equity Fund 10/23/2014 $9.9432 $9.8666 $0.0766 0.78% Unit prices
Defensive U.S. Equity Fund 10/23/2014 $9.9965 $9.8895 $0.1070 1.08% Unit prices
Non-Traditional Funds
Tactical Bond Yield Fund 10/23/2014 $8.2434 $8.2458 -$0.0024 -0.03% Unit prices
Tactical Bond Yield Fund II 10/23/2014 $9.1181 $9.1205 -$0.0024 -0.03% Unit prices
Market Neutral Equity Fund 10/17/2014 $11.4825 $11.2449 $0.2376 2.11% Unit prices
Long/Short Equity Fund 9/30/2014 $16.3158 $15.9405 $0.3753 2.35% Unit prices
Closed End Funds
Canadian Convertibles Plus Fund 10/23/2014 $7.3500 $7.3500 $0.0000 0.00% Unit prices
Canadian High Yield Focus Fund 10/23/2014 $10.8300 $10.8400 -$0.0100 -0.09% Unit prices
North American Preferred Share Fund 10/23/2014 $22.5000 $22.5000 $0.0000 0.00% Unit prices
North American REIT Income Fund 10/23/2014 $10.3000 $10.2300 $0.0700 0.68% Unit prices
Senior Secured Floating Rate Loan Fund 10/23/2014 $9.6400 $9.6300 $0.0100 0.10% Unit prices
Strategic Income Allocation Fund 10/23/2014 $9.4800 $9.4600 $0.0200 0.21% Unit prices

The information contained herein is an overview only and is qualified by the more detailed information contained in the offering memoranda, prospectus or simplified prospectus, as well as any document incorporated therein by reference (collectively, the “offering documents”). The offering documents contain important information about the funds, including their investment objective and strategies, purchase options, applicable management fees, performance fees, other charges and expenses, and should be read carefully before you invest.

Commissions, trailing commissions, management fees and expenses all may be associated with investments in the funds. The funds are not guaranteed, their values change frequently and past performance may not be repeated.

The rate of return or mathematical table shown is used only to illustrate the effects of the compound growth rate and is not intended to reflect future values of the funds or returns on investment in the funds The indicated rates of return are the historical annual compounded total returns including changes in unit value and reinvestment of all distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any unitholder that would have reduced returns.