Total net assets ($CAD):
$1.03 billion

The top 1 holdings make up 99.07% of the Fund.
Canadian Corporate Bonds
Canadian Government Bonds
Foreign Corporate Bonds
Cash and Equivalents
Mortgages
Canadian Bonds - Other
Foreign Bonds - Other
Canadian Equity
US Equity
Other
Canada
United States
Pakistan
United Kingdom
Switzerland
Spain
Bermuda
Netherlands
Luxembourg
Cayman Islands
Europe
Fixed Income
Cash and Cash Equivalent
Financial Services
Other
Utilities
Energy
Telecommunications
Consumer Goods
Technology
Real Estate
Top Holdings Sector allocation (%)
Evolution Canadian Fixed Income Pool Class I Fixed Income 99.07%
Asset allocation

Canadian Corporate Bonds 46.08%

Canadian Government Bonds 32.45%

Foreign Corporate Bonds 10.17%

Cash and Equivalents 6.89%

Mortgages 2.61%

Canadian Bonds - Other 1.64%

Foreign Bonds - Other 0.59%

Canadian Equity 0.32%

US Equity 0.27%

Other -1.02%

Geographic allocation

Canada 87.58%

United States 12.16%

Pakistan 0.07%

United Kingdom 0.05%

Switzerland 0.05%

Spain 0.04%

Bermuda 0.02%

Netherlands 0.01%

Luxembourg 0.01%

Cayman Islands 0.01%

Europe 0.01%

Sector allocation

Fixed Income 92.33%

Cash and Cash Equivalent 6.89%

Financial Services 0.42%

Other 0.20%

Utilities 0.05%

Energy 0.04%

Telecommunications 0.04%

Consumer Goods 0.01%

Technology 0.01%

Real Estate 0.01%