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Filtered results: 134
Name Fund category Class As at NAVPS ($) Change $ Change % Fund facts Historical prices
Strategic Fixed Income Corporate Class Balanced
CAD
E
2026-02-20 17.0665 -0.0023 -0.0135 (PDF 115K) View
Strategic Fixed Income Corporate Class Balanced
CAD
I
2026-02-20 23.7509 -0.0019 -0.0080 (PDF 109K) View
Strategic Fixed Income Pool Balanced
CAD
E
2026-02-20 18.4716 -0.0031 -0.0168 (PDF 115K) View
Strategic Fixed Income Pool Balanced
CAD
I
2026-02-20 24.7348 -0.0027 -0.0109 (PDF 110K) View
Tactical Asset Allocation Balanced Class Balanced
CAD
I
2026-02-20 14.1072 0.0358 0.2544 (PDF 109K) View
Tactical Asset Allocation Balanced Class Balanced
CAD
E
2026-02-20 13.4493 0.0334 0.2490 (PDF 114K) View
Tactical Asset Allocation Balanced Growth Class Balanced
CAD
I
2026-02-20 14.6722 0.0417 0.2850 (PDF 109K) View
Tactical Asset Allocation Balanced Growth Class Balanced
CAD
E
2026-02-20 13.9958 0.0390 0.2794 (PDF 115K) View
Tactical Asset Allocation Balanced Growth Pool Balanced
CAD
I
2026-02-20 13.0476 0.0375 0.2882 (PDF 109K) View
Tactical Asset Allocation Balanced Growth Pool Balanced
CAD
E
2026-02-20 12.9061 0.0364 0.2828 (PDF 115K) View
Tactical Asset Allocation Balanced Pool Balanced
CAD
I
2026-02-20 12.8188 0.0329 0.2573 (PDF 109K) View
Tactical Asset Allocation Balanced Pool Balanced
CAD
E
2026-02-20 12.6515 0.0317 0.2512 (PDF 114K) View
Tactical Asset Allocation Conservative Balanced Class Balanced
CAD
I
2026-02-20 12.8534 0.0236 0.1839 (PDF 109K) View
Tactical Asset Allocation Conservative Balanced Class Balanced
CAD
E
2026-02-20 12.2414 0.0218 0.1784 (PDF 114K) View
Tactical Asset Allocation Conservative Balanced Pool Balanced
CAD
I
2026-02-20 11.9555 0.0225 0.1886 (PDF 109K) View
Tactical Asset Allocation Conservative Balanced Pool Balanced
CAD
E
2026-02-20 11.8490 0.0217 0.1835 (PDF 115K) View
Tactical Asset Allocation Conservative Class Balanced
CAD
I
2026-02-20 12.3477 0.0181 0.1468 (PDF 109K) View
Tactical Asset Allocation Conservative Class Balanced
CAD
E
2026-02-20 11.7672 0.0166 0.1413 (PDF 115K) View
Tactical Asset Allocation Conservative Income Class Balanced
CAD
I
2026-02-20 12.0471 0.0136 0.1130 (PDF 109K) View
Tactical Asset Allocation Conservative Income Class Balanced
CAD
E
2026-02-20 11.4737 0.0123 0.1073 (PDF 115K) View
Tactical Asset Allocation Conservative Income Pool Balanced
CAD
I
2026-02-20 11.2696 0.0136 0.1208 (PDF 109K) View
Tactical Asset Allocation Conservative Income Pool Balanced
CAD
E
2026-02-20 11.1595 0.0128 0.1148 (PDF 115K) View
Tactical Asset Allocation Conservative Pool Balanced
CAD
I
2026-02-20 11.6442 0.0181 0.1557 (PDF 109K) View
Tactical Asset Allocation Conservative Pool Balanced
CAD
E
2026-02-20 11.5343 0.0172 0.1493 (PDF 115K) View
Tactical Asset Allocation Growth Class Balanced
CAD
I
2026-02-20 15.2182 0.0476 0.3138 (PDF 109K) View
Tactical Asset Allocation Growth Class Balanced
CAD
E
2026-02-20 14.5327 0.0447 0.3085 (PDF 115K) View
Tactical Asset Allocation Growth Pool Balanced
CAD
I
2026-02-20 13.3128 0.0414 0.3119 (PDF 109K) View
Tactical Asset Allocation Growth Pool Balanced
CAD
E
2026-02-20 13.1821 0.0404 0.3074 (PDF 115K) View
Tactical Asset Allocation Neutral Balanced Class Balanced
CAD
I
2026-02-20 13.4715 0.0292 0.2172 (PDF 110K) View
Tactical Asset Allocation Neutral Balanced Class Balanced
CAD
E
2026-02-20 12.8421 0.0271 0.2115 (PDF 115K) View
Tactical Asset Allocation Neutral Balanced Pool Balanced
CAD
I
2026-02-20 12.4107 0.0278 0.2245 (PDF 109K) View
Tactical Asset Allocation Neutral Balanced Pool Balanced
CAD
E
2026-02-20 12.2882 0.0268 0.2186 (PDF 115K) View
Canadian Equity Alpha Corporate Class Equity
CAD
E
2026-02-20 19.1547 0.1005 0.5274 (PDF 116K) View
Canadian Equity Alpha Corporate Class Equity
CAD
I
2026-02-20 28.4164 0.1510 0.5342 (PDF 110K) View
Canadian Equity Alpha Pool Equity
CAD
E
2026-02-20 15.3959 0.0806 0.5263 (PDF 114K) View
Canadian Equity Alpha Pool Equity
CAD
I
2026-02-20 17.2480 0.0915 0.5333 (PDF 109K) View
Canadian Equity Growth Corporate Class Equity
CAD
E
2026-02-20 32.0339 0.1688 0.5297 (PDF 116K) View
Canadian Equity Growth Corporate Class Equity
CAD
I
2026-02-20 46.3866 0.2473 0.5360 (PDF 110K) View
Canadian Equity Growth Pool Equity
CAD
E
2026-02-20 45.3166 0.2395 0.5313 (PDF 115K) View
Canadian Equity Growth Pool Equity
CAD
I
2026-02-20 59.9350 0.3206 0.5378 (PDF 110K) View
Canadian Equity Managed Class Equity
CAD
I
2026-02-20 15.6101 0.0699 0.4498 (PDF 107K) View
Canadian Equity Managed Class Equity
CAD
E
2026-02-20 14.8042 0.0654 0.4437 (PDF 112K) View
Canadian Equity Managed Pool Equity
CAD
I
2026-02-20 16.1910 0.0727 0.4510 (PDF 107K) View
Canadian Equity Managed Pool Equity
CAD
E
2026-02-20 15.7687 0.0698 0.4446 (PDF 112K) View
Canadian Equity Small Cap Corporate Class Equity
CAD
E
2026-02-20 19.1649 0.0664 0.3477 (PDF 115K) View
Canadian Equity Small Cap Corporate Class Equity
CAD
I
2026-02-20 28.1579 0.0993 0.3539 (PDF 109K) View
Canadian Equity Small Cap Pool Equity
CAD
E
2026-02-20 26.5970 0.0922 0.3479 (PDF 115K) View
Canadian Equity Small Cap Pool Equity
CAD
I
2026-02-20 37.3779 0.1319 0.3541 (PDF 109K) View
Canadian Equity Value Corporate Class Equity
CAD
E
2026-02-20 20.7793 0.0589 0.2843 (PDF 116K) View
Canadian Equity Value Corporate Class Equity
CAD
I
2026-02-20 30.6980 0.0890 0.2908 (PDF 110K) View
Canadian Equity Value Pool Equity
CAD
E
2026-02-20 33.0776 0.0944 0.2862 (PDF 116K) View
Canadian Equity Value Pool Equity
CAD
I
2026-02-20 46.4578 0.1355 0.2925 (PDF 110K) View
Emerging Markets Equity Corporate Class Equity
CAD
E
2026-02-20 21.7427 0.0615 0.2837 (PDF 115K) View
Emerging Markets Equity Corporate Class Equity
CAD
I
2026-02-20 29.9393 0.0866 0.2901 (PDF 109K) View
Emerging Markets Equity Pool Equity
CAD
E
2026-02-20 24.5203 0.0701 0.2867 (PDF 115K) View
Emerging Markets Equity Pool Equity
CAD
I
2026-02-20 38.3873 0.1121 0.2929 (PDF 109K) View
Global Equity Allocation Pool Equity
CAD
E
2026-02-20 16.4534 0.0868 0.5303 (PDF 113K) View
Global Equity Allocation Pool Equity
CAD
I
2026-02-20 18.0485 0.0963 0.5364 (PDF 107K) View
Global Equity Pool Equity
CAD
E
2026-02-20 19.3743 0.1840 0.9588 (PDF 115K) View
Global Equity Pool Equity
CAD
I
2026-02-20 21.1197 0.2017 0.9642 (PDF 109K) View
International Equity Alpha Corporate Class Equity
CAD
E
2026-02-20 17.2051 0.0238 0.1385 (PDF 115K) View
International Equity Alpha Corporate Class Equity
CAD
I
2026-02-20 25.7188 0.0373 0.1452 (PDF 109K) View
International Equity Alpha Pool Equity
CAD
E
2026-02-20 14.5596 0.0201 0.1382 (PDF 114K) View
International Equity Alpha Pool Equity
CAD
I
2026-02-20 16.7653 0.0242 0.1446 (PDF 108K) View
International Equity Growth Corporate Class Equity
CAD
E
2026-02-20 25.7540 0.1379 0.5383 (PDF 115K) View
International Equity Growth Corporate Class Equity
CAD
I
2026-02-20 37.8136 0.2048 0.5446 (PDF 109K) View
International Equity Growth Pool Equity
CAD
E
2026-02-20 31.8160 0.1746 0.5518 (PDF 114K) View
International Equity Growth Pool Equity
CAD
I
2026-02-20 46.6117 0.2588 0.5583 (PDF 109K) View
International Equity Managed Class Equity
CAD
I
2026-02-20 16.0003 0.0756 0.4747 (PDF 109K) View
International Equity Managed Class Equity
CAD
E
2026-02-20 15.1675 0.0707 0.4683 (PDF 114K) View
International Equity Managed Pool Equity
CAD
I
2026-02-20 14.8267 0.0713 0.4832 (PDF 109K) View
International Equity Managed Pool Equity
CAD
E
2026-02-20 14.5291 0.0689 0.4765 (PDF 114K) View
International Equity Value Corporate Class Equity
CAD
E
2026-02-20 18.6540 0.0594 0.3194 (PDF 115K) View
International Equity Value Corporate Class Equity
CAD
I
2026-02-20 28.1899 0.0915 0.3256 (PDF 109K) View
International Equity Value Currency Hedged Corporate Class Equity
CAD
E
2026-02-20 17.3594 0.0447 0.2582 (PDF 116K) View
International Equity Value Currency Hedged Corporate Class Equity
CAD
I
2026-02-20 31.2478 0.0825 0.2647 (PDF 110K) View
International Equity Value Currency Hedged Pool Equity
CAD
E
2026-02-20 15.8159 0.0406 0.2574 (PDF 115K) View
International Equity Value Currency Hedged Pool Equity
CAD
I
2026-02-20 18.2303 0.0479 0.2634 (PDF 109K) View
International Equity Value Pool Equity
CAD
E
2026-02-20 23.5411 0.0782 0.3333 (PDF 114K) View
International Equity Value Pool Equity
CAD
I
2026-02-20 35.2290 0.1192 0.3395 (PDF 108K) View
Real Estate Investment Corporate Class Equity
CAD
E
2026-02-20 17.1196 0.1048 0.6159 (PDF 115K) View
Real Estate Investment Corporate Class Equity
CAD
I
2026-02-20 25.7867 0.1597 0.6232 (PDF 109K) View
Real Estate Investment Pool Equity
CAD
E
2026-02-20 21.5062 0.1312 0.6138 (PDF 114K) View
Real Estate Investment Pool Equity
CAD
I
2026-02-20 31.5730 0.1948 0.6208 (PDF 109K) View
Tactical Asset Allocation Equity Class Equity
CAD
I
2026-02-20 15.8025 0.0502 0.3187 (PDF 109K) View
Tactical Asset Allocation Equity Class Equity
CAD
E
2026-02-20 15.0433 0.0470 0.3134 (PDF 115K) View
Tactical Asset Allocation Equity Pool Equity
CAD
I
2026-02-20 13.5504 0.0438 0.3243 (PDF 109K) View
Tactical Asset Allocation Equity Pool Equity
CAD
E
2026-02-20 13.4341 0.0426 0.3181 (PDF 115K) View
U.S. Equity Alpha Corporate Class U.S. EQUITY ALPHA CORPORATE CLASS US EQUITY ALPHA CORPORATE CLASS Equity
CAD
E
2026-02-20 35.2107 0.1914 0.5466 (PDF 115K) View
U.S. Equity Alpha Corporate Class U.S. EQUITY ALPHA CORPORATE CLASS US EQUITY ALPHA CORPORATE CLASS Equity
CAD
I
2026-02-20 52.8287 0.2905 0.5529 (PDF 109K) View
U.S. Equity Alpha Pool U.S. EQUITY ALPHA POOL US EQUITY ALPHA POOL Equity
CAD
E
2026-02-20 19.8333 0.1085 0.5501 (PDF 114K) View
U.S. Equity Alpha Pool U.S. EQUITY ALPHA POOL US EQUITY ALPHA POOL Equity
CAD
I
2026-02-20 22.0771 0.1221 0.5561 (PDF 108K) View
U.S. Equity Growth Corporate Class U.S. EQUITY GROWTH CORPORATE CLASS US EQUITY GROWTH CORPORATE CLASS Equity
CAD
E
2026-02-20 70.8897 0.4346 0.6168 (PDF 115K) View
U.S. Equity Growth Corporate Class U.S. EQUITY GROWTH CORPORATE CLASS US EQUITY GROWTH CORPORATE CLASS Equity
CAD
I
2026-02-20 100.5840 0.6229 0.6231 (PDF 109K) View
U.S. Equity Growth Pool U.S. EQUITY GROWTH POOL US EQUITY GROWTH POOL Equity
CAD
E
2026-02-20 113.2228 0.6996 0.6217 (PDF 115K) View
U.S. Equity Growth Pool U.S. EQUITY GROWTH POOL US EQUITY GROWTH POOL Equity
CAD
I
2026-02-20 159.4184 0.9951 0.6281 (PDF 109K) View
U.S. Equity Managed Class U.S. EQUITY MANAGED CLASS US EQUITY MANAGED CLASS Equity
CAD
I
2026-02-20 15.4090 0.0887 0.5790 (PDF 108K) View
U.S. Equity Managed Class U.S. EQUITY MANAGED CLASS US EQUITY MANAGED CLASS Equity
CAD
E
2026-02-20 14.6107 0.0832 0.5727 (PDF 114K) View
U.S. Equity Managed Pool U.S. EQUITY MANAGED POOL US EQUITY MANAGED POOL Equity
CAD
I
2026-02-20 15.2107 0.0881 0.5826 (PDF 108K) View
U.S. Equity Managed Pool U.S. EQUITY MANAGED POOL US EQUITY MANAGED POOL Equity
CAD
E
2026-02-20 14.5619 0.0834 0.5760 (PDF 114K) View
U.S. Equity Small Cap Corporate Class U.S. EQUITY SMALL CAP CORPORATE CLASS US EQUITY SMALL CAP CORPORATE CLASS Equity
CAD
E
2026-02-20 26.7498 0.1204 0.4521 (PDF 115K) View
U.S. Equity Small Cap Corporate Class U.S. EQUITY SMALL CAP CORPORATE CLASS US EQUITY SMALL CAP CORPORATE CLASS Equity
CAD
I
2026-02-20 38.2837 0.1749 0.4589 (PDF 109K) View
U.S. Equity Small Cap Pool U.S. EQUITY SMALL CAP POOL US EQUITY SMALL CAP POOL Equity
CAD
E
2026-02-20 30.8584 0.1407 0.4580 (PDF 115K) View
U.S. Equity Small Cap Pool U.S. EQUITY SMALL CAP POOL US EQUITY SMALL CAP POOL Equity
CAD
I
2026-02-20 44.7087 0.2067 0.4645 (PDF 109K) View
U.S. Equity Value Corporate Class U.S. EQUITY VALUE CORPORATE CLASS US EQUITY VALUE CORPORATE CLASS Equity
CAD
E
2026-02-20 23.0019 -0.0457 -0.1983 (PDF 116K) View
U.S. Equity Value Corporate Class U.S. EQUITY VALUE CORPORATE CLASS US EQUITY VALUE CORPORATE CLASS Equity
CAD
I
2026-02-20 34.8183 -0.0670 -0.1921 (PDF 110K) View
U.S. Equity Value Currency Hedged Corporate Class U.S. EQUITY VALUE CURRENCY HEDGED CORPORATE CLASS US EQUITY VALUE CURRENCY HEDGED CORPORATE CLASS Equity
CAD
E
2026-02-20 22.9509 -0.0292 -0.1271 (PDF 117K) View
U.S. Equity Value Currency Hedged Corporate Class U.S. EQUITY VALUE CURRENCY HEDGED CORPORATE CLASS US EQUITY VALUE CURRENCY HEDGED CORPORATE CLASS Equity
CAD
I
2026-02-20 41.9316 -0.0506 -0.1205 (PDF 111K) View
U.S. Equity Value Currency Hedged Pool U.S. EQUITY VALUE CURRENCY HEDGED POOL US EQUITY VALUE CURRENCY HEDGED POOL Equity
CAD
E
2026-02-20 17.0033 -0.0216 -0.1269 (PDF 116K) View
U.S. Equity Value Currency Hedged Pool U.S. EQUITY VALUE CURRENCY HEDGED POOL US EQUITY VALUE CURRENCY HEDGED POOL Equity
CAD
I
2026-02-20 19.6317 -0.0237 -0.1206 (PDF 110K) View
U.S. Equity Value Pool U.S. EQUITY VALUE POOL US EQUITY VALUE POOL Equity
CAD
E
2026-02-20 36.9935 -0.0735 -0.1983 (PDF 116K) View
U.S. Equity Value Pool U.S. EQUITY VALUE POOL US EQUITY VALUE POOL Equity
CAD
I
2026-02-20 57.4968 -0.1105 -0.1918 (PDF 110K) View
Canadian Fixed Income Corporate Class Fixed Income
CAD
E
2026-02-20 12.9818 0.0065 0.0501 (PDF 114K) View
Canadian Fixed Income Corporate Class Fixed Income
CAD
I
2026-02-20 18.2824 0.0102 0.0558 (PDF 109K) View
Canadian Fixed Income Pool Fixed Income
CAD
E
2026-02-20 13.0397 0.0068 0.0522 (PDF 114K) View
Canadian Fixed Income Pool Fixed Income
CAD
I
2026-02-20 16.5549 0.0095 0.0574 (PDF 108K) View
Fixed Income Managed Class Fixed Income
CAD
I
2026-02-20 11.9223 0.0048 0.0403 (PDF 106K) View
Fixed Income Managed Class Fixed Income
CAD
E
2026-02-20 11.3632 0.0039 0.0343 (PDF 112K) View
Fixed Income Managed Pool Fixed Income
CAD
I
2026-02-20 11.0777 0.0048 0.0433 (PDF 106K) View
Fixed Income Managed Pool Fixed Income
CAD
E
2026-02-20 11.0457 0.0041 0.0371 (PDF 111K) View
Global Fixed Income Corporate Class Fixed Income
CAD
E
2026-02-20 11.1318 0.0042 0.0377 (PDF 116K) View
Global Fixed Income Corporate Class Fixed Income
CAD
I
2026-02-20 14.3608 0.0063 0.0439 (PDF 110K) View
Global Fixed Income Pool Fixed Income
CAD
E
2026-02-20 12.7485 0.0050 0.0392 (PDF 115K) View
Global Fixed Income Pool Fixed Income
CAD
I
2026-02-20 17.1822 0.0077 0.0448 (PDF 110K) View
Short Term Income Corporate Class Fixed Income
CAD
E
2026-02-20 10.0589 0.0006 0.0060 (PDF 113K) View
Short Term Income Corporate Class Fixed Income
CAD
I
2026-02-20 15.0411 0.0018 0.0120 (PDF 108K) View
Short Term Income Pool Fixed Income
CAD
E
2026-02-20 10.2556 0.0008 0.0078 (PDF 113K) View
Short Term Income Pool Fixed Income
CAD
I
2026-02-20 13.0302 0.0017 0.0130 (PDF 108K) View
Tactical Asset Allocation Income Class Fixed Income
CAD
I
2026-02-20 11.5244 0.0194 0.1686 (PDF 109K) View
Tactical Asset Allocation Income Class Fixed Income
CAD
E
2026-02-20 10.9928 0.0179 0.1631 (PDF 114K) View
Tactical Asset Allocation Income Pool Fixed Income
CAD
I
2026-02-20 10.8141 0.0189 0.1751 (PDF 109K) View
Tactical Asset Allocation Income Pool Fixed Income
CAD
E
2026-02-20 10.7281 0.0181 0.1690 (PDF 114K) View
Cash Management Pool Money Market
CAD
E
2026-02-20 5.0000 0.0000 0.0000 (PDF 110K) View
Cash Management Pool Money Market
CAD
I
2026-02-20 5.0000 0.0000 0.0000 (PDF 105K) View

Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing. For all funds, other than money market funds, the indicated rates of return are the historical annual compounded total returns (net of fees and expenses payable by the fund) including changes in security value and reinvestment of all dividends/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.

For investors of money market funds: Please note that mutual fund securities are not covered by the Canada Deposit Insurance Corporation or by any other government deposit insurer. There can be no assurances that the fund will be able to maintain its net asset value per security at a constant amount or that the full amount of your investment in the fund will be returned to you. Past performance may not be repeated. Where performance data is presented for money market funds, please note that the annualized historical yield shown is based on the seven-day period ended on the indicated date (annualized in the case of effective yield by compounding the seven-day return) (net of fees and expenses payable by the fund) and does not present an actual one-year return.

As noted above, indicated rates of return for a fund are net of fees and expenses payable by the fund and, accordingly, do not take into fees that are directly payable by securityholders which would impact an individual securityholder's rate of return. Such fees would include, but are not limited to, Class I and O management fees and investment advisory fees. Please read the prospectus for more details.

The information on this site is provided as a general source of information and should not be considered personal, legal, accounting, tax or investment advice, or an offer or a solicitation to buy or sell securities. Every effort has been made to ensure that the material contained herein is accurate at the time of publication. Market conditions may change which may impact the information contained in this document.

CI's U.S. dollar funds are identified with "US$" in their fund names. Funds that include reference to "USD" at the end of the fund name are a U.S. dollar purchase option provided as a convenience for purchasing, transferring and redeeming certain classes of securities in funds with U.S. dollar denomination and is not a means to effect currency arbitrage.

Certain funds are not available for purchase by new investors.

*Fund performance is not available for funds with a history of less than one year.

Ernst & Young LLP is the auditor of the Canadian Reporting Issuer investment funds managed by CI Global Asset Management or its affiliates (the “Funds”). Ernst & Young LLP is independent with respect to the Funds in the context of the CPA Code of Professional Conduct of the Chartered Professional Accountants of Ontario. For the year ended March 31, 2025, fees paid or payable to Ernst & Young LLP and its network firms for audit services to the Funds were $2.3 million. Fees for other services were $0.4 million.

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