|
Fund Background |
| Category | U.S. Equity |
| Fund Family |
AIC Focused Group |
| Total Assets in $millions
(2004-06-30)
|
1281.234
|
| Year to Date Return |
-2.0350%
|
| NAVPS (2004-08-10) |
$ 6.6500
|
| Daily Change |
$ +0.0200
|
| 52 week high |
$ 7.0100
|
| 52 week low |
$ 6.5000
|
|
Objective |
| To obtain capital preservation and appreciation by investing primarily in a select number of U.S. Equities. |
|
Strategy |
| The Fund invests in a select number of publicly-traded equity securities, mainly common shares of various U.S. companies. |
| Fund Operations |
| Inception: | 3-November-1999 |
| Management Company: | AIC Limited |
| Managing Company since: | |
| Lead Manager: |
Larry Sarbit |
| Manager Since: | 3-November-1999 |
| Manager Tenure: |
4 years
|
|
|
| Returns (%) |
| |
3mo |
1yr avg |
3yr avg |
5yr avg |
| ACF*AFF.TO |
-3.1610 |
6.2210 |
2.4600 |
|
|
| Chart |
 big chart [] |
| Investment Information |
| New Investment |
Open |
| Currency | CAD |
| Min Initial Investment |
$ 250.00
|
| Min Subsequent Investment |
$ 50.00 |
| RRSP Eligible |
Foreign |
| RESP Eligible |
Yes |
| Min Initial Investment (RRSP) |
$ 250.00
|
| Min Subsequent Investment (RRSP) |
$ 50.00
|
| Availability | AB,BC,MB,NB,NF, NU,NS,NT,ON,PE, PQ,SK,YT |
| Fees & Expenses |
| Management Fee |
2.00% |
| Load or No Load |
Load |
| Choice of Front or Back Load |
Yes |
| Max Front End Load |
6.00% |
| Max Back End Load |
6.00% |
|
|