FÉRIQUE Funds aim to outperform industry medians with a reasonable risk level.
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FÉRIQUE Fund Management selects renowned institutional managers and monitors them closely, with a special focus on risk management.
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FÉRIQUE’s management expense ratios (MERs) are among the lowest in Canada in their respective categories3.
See FÉRIQUE Funds MERs
The FÉRIQUE Funds enable you to concentrate your investments in various regions or asset classes and to construct a well-diversified portfolio.
INCOME FUNDS FÉRIQUE Short-Term Income FÉRIQUE Canadian Bond FÉRIQUE Global Sustainable Development Bond* FÉRIQUE Globally Diversified Income
EQUITY FUNDS
FÉRIQUE Canadian Dividend Equity
FÉRIQUE Canadian Equity
FÉRIQUE American Equity
FÉRIQUE European Equity
FÉRIQUE Asian Equity
FÉRIQUE Emerging Markets Equity
FÉRIQUE World Dividend Equity
FÉRIQUE Global Sustainable Development Equity*
FÉRIQUE Global Innovation Equity*
The FÉRIQUE Portfolios are turnkey investment solutions that offer the advantages of a “fund of funds” structure:
FÉRIQUE Conservative Portfolio
Composition: 85% Fixed Income - 15% Equity
FÉRIQUE Moderate Portfolio
Composition: 70% Fixed Income - 30% Equity
FÉRIQUE Balanced Portfolio
Composition: 40% Fixed Income - 60% Equity
FÉRIQUE Growth Portfolio
Composition: 30% Fixed Income - 70% Equity
FÉRIQUE Aggressive Growth Portfolio
Composition: 15% Fixed Income - 85% Equity
All the FÉRIQUE Portfolios and many FÉRIQUE Funds benefit from a multi-manager approach that diversifies risk by combining portfolio management firms with complementary styles.
Our approach will enable you to combine your convictions with your investment decisions while offering you a competitive potential return. Because investing is also a matter of values.
Read our Responsible Investment Policy