FÉRIQUE Aggressive Growth Portfolio
The Portfolio is comprised of 15% fixed income funds and 85% equity funds to maximize long-term capital growth through diversification among different types of investments. It mainly invests in mutual funds that are exposed to Canadian and foreign equities and, to a lesser extent, bond securities and money market securities.
- Fund code
- Price per share
- YTD return
- Current MER
- RRSP eligibility
Returns are shown after management fees have been deducted. FÉRIQUE Funds aim to outperform the median returns of comparable funds within their category, with reasonable risks and some of the most affordable management fees in the industry.
Year to date return
Return since inception
Standard deviation (3 years)
The asset allocation is the breakdown of all assets within the fund between asset classes, sectors of the economy or regions of the world.1
Top 10 holdings
These are the ten holdings with the greatest weighting in the fund listed as a percentage of the total assets of the fund.
|Name||Asset||Sector||Region||% of Asset|
|FÉRIQUE Canadian Equity Fund|
|FÉRIQUE Canadian Equity Fund||Canadian Equity||Mutual Fund||Canada||24.9|
|FÉRIQUE European Equity Fund|
|FÉRIQUE European Equity Fund||International Equity||Mutual Fund||Europe||11.0|
|FÉRIQUE Global Innovation Equity Fund|
|FÉRIQUE Global Innovation Equity Fund||International Equity||Mutual Fund||Multi-National||10.1|
|FÉRIQUE Asian Equity Fund|
|FÉRIQUE Asian Equity Fund||International Equity||Mutual Fund||Asia||10.1|
|FÉRIQUE Global Sustainable Development Equity Fund|
|FÉRIQUE Global Sustainable Development Equity Fund||International Equity||Mutual Fund||Multi-National||10.0|
|FÉRIQUE American Equity Fund|
|FÉRIQUE American Equity Fund||US Equity||Mutual Fund||United States||9.8|
|FÉRIQUE Canadian Bond Fund|
|FÉRIQUE Canadian Bond Fund||Fixed Income||Mutual Fund||Canada||9.8|
|Templeton Emerging Markets Fund|
|Templeton Emerging Markets Fund||International Equity||Mutual Fund||Multi-National||3.3|
|NEI Emerging Markets Fund|
|NEI Emerging Markets Fund||International Equity||Mutual Fund||Multi-National||3.2|
|RBC Emerging Markets Dividend Fund Series O|
|RBC Emerging Markets Dividend Fund Series O||International Equity||Mutual Fund||Multi-National||3.1|
Risks and management characteristics
We combine our expertise with outside portfolio managers that we select and closely monitor, while paying special attention to risk management.
Addenda Capital Inc.
The prospectus seeks to protect investors by providing information they need to make informed investment decisions.
By law, the prospectus must provide a complete, accurate and clear presentation of material facts pertaining to the securities that will be issued. In addition to detailed information on each available Fund, it describes:
- Risks associated with various investments
- Condition for purchase and redemption
- Tax consequences
- Investor rights
The prospectus must be distributed to every FÉRIQUE Fund unitholder. By studying this document, investors are better equipped to judge the quality of each investment vehicle, evaluating the degree of risk and potential return with their own needs and goals in mind.
The Annual Information Form is incorporated into the prospectus by reference, providing additional information on FÉRIQUE Funds and their operations—otherwise undisclosed in the prospectus. This includes the following information:
- Fund history
- Fund investment restrictions
- Valuation methods for Fund holdings
- Description of those responsible for Fund activities (including Gestion FÉRIQUE directors and officers)
- Description of Fund governance provisions
- Detailed description of Fund investment tax consequences
Fund Facts is a fact sheet that presents vital information every investor should know before investing in a mutual fund. This document includes, among other things, fund performance, risks and fees related to acquiring and holding securities of the investment fund. In addition to helping you make informed decisions, it also allows you to better compare different fund companies or various funds of the same company.
2022 Financial Statements (Audited)
2022 Interim Financial Statements (Unaudited)
A detailed statement of the net assets, income and expenses, cash flows and investment portfolio for all FÉRIQUE Funds. An "audited" annual version is produced for the 12-month period ending December 31 of each year and approved by our FÉRIQUE Fund auditors. An "unaudited" interim version is produced for the six-month period ending June 30 of each year.
Investing in mutual funds
FÉRIQUE Funds and Portfolios offer you a variety of investment opportunities to help you reach your goals and realize your projects. Whatever your investor profile, you'll find a product that suits you.
Turnkey investment solutions composed of several funds, to offer investments adapted to different investor profiles.
A range of funds allowing you to invest in different economic sectors, geographical areas or various asset classes.
A responsible investment approach that focuses on the long term and governs the entire range of FÉRIQUE Funds and Portfolios.
Need investment advice?
To invest in a Fund or find out if it is suitable for your investor profile, contact Services d'Investissement FÉRIQUE, the principal distributor of FÉRIQUE Funds.
Sources : Fundata, FÉRIQUE Fund Management.
1 Due to rounding, percentages may not add to 100%.
2 Commission-based Funds universe.
FÉRIQUE is a registered trademark of Gestion FÉRIQUE and is used under license by its subsidiary, Services d'investissement FÉRIQUE. Gestion FÉRIQUE is an Investment Fund Manager and assumes management duties in relation to the FÉRIQUE Funds. Services d'investissement FÉRIQUE is a Mutual Fund Dealer and a Financial Planning Firm, as well as the Principal distributor of the FÉRIQUE Funds. Please note that for commercial purposes, Services d'investissement FÉRIQUE is also known in English as FÉRIQUE Investment Services.
There may be brokerage fees, trailing commissions, management fees and expenses associated with investment in the Funds. Management expense ratios vary from one year to another. Please read the prospectus before investing.
The indicated rates of return are the historical annual compounded total returns which include changes in the value of the units and reinvestment of all distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any unitholder that would have reduced returns. Any hypothetical return or growth is used only to illustrate the effects of the compound growth rate and is not intended to reflect future values of a Fund or returns of an investment in a Fund. Mutual funds are not guaranteed, their values fluctuate frequently and past performance may not be repeated.
FÉRIQUE Funds pay management fees to Gestion FÉRIQUE allowing it to assume the fees of the portfolio managers, the fees relating to the marketing or distribution of the FÉRIQUE Funds and the administration fees of the manager of the FÉRIQUE Funds. Each of the FÉRIQUE Funds also pays an administration Fee to Gestion FÉRIQUE in exchange for all operating charges, except for specific Fund expenses as defined in the simplified prospectus. No commissions are payable by the unitholders for a subscription in the FÉRIQUE Funds if such subscription is made through Services d'investissement FÉRIQUE; brokerage fees could however be payable should the subscription be made through a broker other than the principal distributor.