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Scotia Conserv Govt Bond Cap Yld Class A

BNS1305
9.62
+0.01
+0.08%
2018-07-13
5 Years
  • Previous Close

    9.61

  • Net Assets

    3.37M

  • Yield

    0.00%

  • Front load

    None

  • Expenses

    -

  • Category

    Canadian Fixed-Income

  • Morningstar Risk

    Low

  • Morningstar Rating
Profile

Name of Issuer

Scotia Asset Management

Fund Style

Open

Fund Manager

Kevin Pye

Investment Style

-

The fund’s objective is to provide income and modest capital gains by primarily providing exposure to bonds and treasury bills issued or guaranteed by Canadian federal, provincial and municipal governments or agency of such governments, and money market instruments of Canadian issuers, including commercial paper, bankers' acceptances, asset-backed or mortgage-backed securities and guaranteed investment certificates.

Purchase Information

Initial Purchase 1,000
Initial Purchase: IRA 1,000
Initial Purchase: AIP 1,000

Inception

2012-05-28

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