Test-41350-Fund-Docs Test-41350-Fund-Docs

FUND PERFORMANCE:

1/31/2025

Share Class MTD YTD NAV Date
H CAD 1.87% 1.87% 1/31/2025
I CAD 2.64% 2.64% 1/31/2025
I USD 1.64% 1.64% 1/31/2025

FUNDS AT A GLANCE:


DOCUMENT LIST WITH FILTERS: