Altamira

Altamira Inflation-Adjusted Bond Fund - Series I

Profile | Manager | Performance / Distributions | Print report (pdf)
Chart Price History | Top Holdings | Chart Performance
Quarterly Summary of Investment Portfolio | Fact Sheet (pdf) | MRFP
Investment Objectives

The Fund aims to provide investors with regular income that is hedged against the effects of inflation by investing primarily in Canadian Federal and Provincial real return government bonds and those issued by the governments of foreign countries, up to the foreign property limit.

Who should invest in this Fund?

The Fund is ideal for an investor who seeks exposure to long-term fixed income securities, has an investment time horizon of greater than 5 years, can withstand a medium to high level of volatility relative to that associated with income funds that invest mainly in shorter term fixed income securities, seeks to achieve moderate capital growth and is concerned about the long-term effects of inflation

Fund Details

Fund Code: AIS 948
Type of Fund Fixed Income
Date established 12/01/2005
Management Expense Ratio  2.12 %
Risk/Return Potential Fund Volatility relative to the Altamira Funds:


For complete information on this fund, please refer to the Simplified Prospectus available in our Forms and Documents section.


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