Mutual FundsCanoe Equity Income Class

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For details on your account please contact CIBC Mellon at 1-800-250-3303.

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Fund Codes

Canoe Financial Fund Codes

Fund Codes

Fund Characteristics

The Fund aims to provide capital appreciation withsome potential for income by investing primarily in Canadian equity and fixed income securities.

Five Key Reasons To Own This Fund:
  Proven investment management expertise Long-term, proven track record managing equity funds with top decile performance
  Capital appreciation and income Provides consistent stream of monthly income
  Active Asset Allocation Equity selection driven by valuation and ability to deliver sustainable, above-average dividend yield
  Diversification Target asset mix approximately 80% equity and 20% fixed-income
  Commitment to service Canoe Financial is committed to providing exceptional client service and is proud to partner with top-tier Investment Advisors and Financial Planners across Canada

 

Canoe
EIT Income
Fund

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    *Total distributions since inception.
    Market data provided by GlobeFund. © 2014 Canoe Financial For Canoe EIT Income Fund (EIT.UN), ‘current cash yield’ means the annual cash distribution for the fund (currently $1.20 per unit) divided by its market price. Annual cash distributions may be made up in whole or in part by interest, dividends or return of capital. You should not draw any conclusions about the fund’s investment performance from the amount or percentage of this distribution. Approximately seventy percent of total distributions are reinvested in the fund. Commissions, trailing commissions, management fees and expenses all may be associated with investment funds. Please read the fund’s prospectus or the information filed about the fund on www.sedar.com before investing. Investment funds are not guaranteed, their values change frequently and past performance may not be repeated. Our communications, websites and tweets are not to be construed as a public offering to sell, or a solicitation of an offer to buy securities. Information is for review purposes only, and investors should consult their registered Investment Advisor for complete details and risk factors on specific strategies and various investment products, prior to making any investment decision.