Fund Overview & Performance

IPC Private Wealth Visio Balanced Growth Pool Series F

May 31, 2025

The pool seeks to provide investors with a balance of income and long-term capital appreciation by investing either directly, or through securities of other investment funds, in equity and fixed-income securities of a variety of Canadian, U.S., and international issuers. The pool seeks to benefit from an allocation to a concentrated underlying U.S. Equity fund.

Is this portfolio right for you?

  • Designed to provide long-term capital growth potential.
  • Access to a concentrated selection of equity and fixed- income securities combined with ETFs.
  • Monthly distributions.

Neutral portfolio allocation1

This image is a pie chart that provides a visual breakdown of an investment portfolio. The chart is divided into two segments, each representing a different category of investments. Each category includes the percentage allocation and the financial institutions managing the specific fund and/or ETFs (Exchange-Traded Funds) within that category. First segment, Fixed Income (40.0%). Comprises of: 30.0% in Canadian bond ladder, managed by Mackenzie Investments. 5.0% in High Yield ETF, managed by BlackRock. 5.0% in Emerging Markets ETF, managed by BlackRock. 0-10% in Canadian long-term bond ETF, managed by Vanguard. 0-10% in Global bond ETF, managed by BMO. Second segment, Equity (60.0%). Comprises of: 20.0% in International Equity ETF, managed by Mackenzie Investments. 20.0% in Canadian Equity ETF, also managed by Mackenzie Investments. 20.0% in U.S. Growth Equity, managed by Brown Advisory. The chart also notes that the "target range is shown for these allocations because the neutral weight is 0%." The chart also includes logos from Mackenzie Investments, Blackrock, Brown Advisory, Vanguard, and BMO to identify who manages each fund and/or ETFs (Exchange-Traded Funds).

Annualized performance (%)

Period 1 mth 3 mths 6 mths 1 yr 3 yr 5 yr 10 yr Inception return
Series F 3.9 0.0 2.1 10.8 9.5 - - 6.7

Performance (%) calendar year returns

Period 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 YTD
Series F - - - - - - 10.6 -11.3 14.6 14.4 2.2

Historical performance (%) Current value of $10,000

Period:

For the period 10/30/2020 through 05/31/2025 with $10,000 investment, The value of the investment would be $13,441

How the fund is invested2 as at Mar 31, 2025

Asset allocation (%)

Asset allocation (%)
Domestic Bonds 31.5
US Equity 21.9
Canadian Equity 18.2
International Equity 17.5
Foreign Bonds 9.1
Cash and Equivalents 1.3
Income Trust Units 0.4

Geographic allocation (%)

Geographic allocation (%)
Canada 51.0
United States 30.6
Japan 4.3
United Kingdom 2.6
France 1.7
Germany 1.6
Switzerland 1.6
Australia 1.2
Netherlands 0.9
Other 4.5

Sector allocation (%)

Sector allocation (%)
Fixed Income 40.6
Financial Services 14.9
Technology 14.1
Consumer Services 4.1
Healthcare 4.1
Basic Materials 4.0
Energy 3.8
Consumer Goods 3.1
Industrial Goods 3.0
Other 8.4

Top holdings

Underlying funds/holdings (%) of NAV
IPC Private Wealth Visio Core Fixed Income 24.4
Counsel U.S. Growth Equity 22.1
Mackenzie Canadian Equity Index ETF (QCN) 18.7
Mackenzie International Equity Index ETF (QDX) 17.6
iShares Broad USD High Yield Corp Bond ETF (USHY) 6.7
BMO Aggregate Bond Index ETF (ZAG) 6.2
iShares JP Morgan EM Corp Bond ETF (CEMB) 2.6
Vanguard Canadian Long-Term Bond Index ETF (VLB) 1.6
Top equity holdings (%) of NAV
Amazon.com Inc 1.7
Microsoft Corp 1.6
NVIDIA Corp 1.5
Royal Bank of Canada 1.2
Intuit Inc 1.1
Visa Inc Cl A 1.0
Progressive Corp 1.0
Arthur J Gallagher & Co 0.9
KKR & Co Inc 0.9
Shopify Inc Cl A 0.9
Top fixed income holdings (%) of NAV
Ontario Province 2.70% 02-Jun-2029 4.2
Canada Government 3.25% 01-Sep-2028 3.7
Alberta Province 2.05% 01-Jun-2030 1.7
Hydro One Inc 3.02% 05-Jan-2029 1.4
Toronto-Dominion Bank 3.11% 22-Apr-2030 1.4
Manulife Bank of Canada 2.86% 16-Feb-2027 1.4
Telus Corp 4.80% 15-Dec-2028 1.3
John Deere Financial Inc 4.95% 14-Jun-2027 1.3
BCI QuadReal Realty 2.55% 24-Jun-2026 1.3
Choice Properties REIT 2.85% 21-May-2027 1.1

How the fund is invested as at Mar 31, 2025

Investment holdings

Domestic Bonds (%) of NAV
BMO Aggregate Bond Index ETF (ZAG) 6.2
Ontario Province 2.70% 02-Jun-2029 4.2
Canada Government 3.25% 01-Sep-2028 3.6
Alberta Province 2.05% 01-Jun-2030 1.7
Vanguard Canadian Long-Term Bond Index ETF (VLB) 1.6
Hydro One Inc 3.02% 05-Jan-2029 1.4
Toronto-Dominion Bank 3.11% 22-Apr-2030 1.4
Manulife Bank of Canada 2.86% 16-Feb-2027 1.4
Telus Corp 4.80% 15-Dec-2028 1.3
John Deere Financial Inc 4.95% 14-Jun-2027 1.3
BCI QuadReal Realty 2.55% 24-Jun-2026 1.3
Choice Properties REIT 2.85% 21-May-2027 1.1
Rogers Communications Inc 3.80% 01-Dec-2026 1.1
Teranet Holdings LP 3.72% 23-Feb-2029 1.1
Bank of Nova Scotia 2.62% 02-Dec-2026 1.0
Dollarama Inc 1.87% 08-Jul-2026 0.9
Pembina Pipeline Corp 3.71% 11-Aug-2026 0.9
Total 31.5
US Equity (%) of NAV
Amazon.com Inc 1.7
Microsoft Corp 1.6
NVIDIA Corp 1.5
Intuit Inc 1.1
Visa Inc Cl A 1.0
Progressive Corp 1.0
Arthur J Gallagher & Co 0.9
KKR & Co Inc 0.9
ServiceNow Inc 0.7
Alphabet Inc Cl A 0.7
Danaher Corp 0.6
Marvell Technology Inc 0.6
Uber Technologies Inc 0.6
West Pharmaceutical Services Inc 0.5
Ares Management Corp Cl A 0.5
Airbnb Inc Cl A 0.5
Monolithic Power Systems Inc 0.5
KLA Corp 0.5
Carrier Global Corp 0.5
Cadence Design Systems Inc 0.5
Verisk Analytics Inc 0.5
Workday Inc Cl A 0.5
Veralto Corp 0.5
General Electric Co 0.5
Dynatrace Inc 0.5
Chipotle Mexican Grill Inc 0.4
Intuitive Surgical Inc 0.4
Thermo Fisher Scientific Inc 0.4
Ecolab Inc 0.4
MSCI Inc 0.4
Datadog Inc Cl A 0.4
Trade Desk Inc Cl A 0.3
Agilent Technologies Inc 0.1
Charles Schwab Corp 0.1
Total 21.8
Canadian Equity (%) of NAV
Mackenzie Canadian Equity Index ETF (QCN) 18.7
Total 18.7
International Equity (%) of NAV
Mackenzie International Equity Index ETF (QDX) 17.6
Total 17.6
Foreign Bonds (%) of NAV
iShares Broad USD High Yield Corp Bond ETF (USHY) 6.7
iShares JP Morgan EM Corp Bond ETF (CEMB) 2.6
Total 9.3
Cash and Equivalents (%) of NAV
Cash and Equivalents 1.1
Total 1.1
TOTAL 100%

Why Invest with Counsel Portfolios

Our Portfolio Management team builds and maintains our portfolios based on in-depth analysis to align to a broad range of investor risk profiles. We take an unbiased approach when choosing our money managers by incorporating a proprietary and disciplined methodology for researching and selecting independent asset managers from across the globe. Each manager is monitored and held accountable to their mandate to help ensure our investors have the best chance at achieving their financial goals.

Performance chart

Period:
Chart Type:
* Must be between 1 and 50
IPC Private Wealth Visio Balanced Growth Pool Series F

IPC Private Wealth Visio Balanced Growth Pool Series F

Summary

For the period 10/30/2020 through 05/31/2025 with $10,000 investment

Total returns performance

34.41%

Last price

$12.09 CAD

as of market close 05/31/2025

Value of $10,000 investment

$13,441.32 CAD

Period:
Interval :
Export toCSV
Effective date Price ($) Income Capital gain Return of capital Total distribution
07/04/2025 12.36 - - - -
07/03/2025 12.37 - - - -
07/02/2025 12.32 - - - -
06/30/2025 12.33 - - - -
06/27/2025 12.34 - - - -
06/26/2025 12.27 - - - -
06/25/2025 12.23 - - - -
06/24/2025 12.27 - - - -
06/23/2025 12.18 - - - -
06/20/2025 12.13 - - - -
06/19/2025 12.13 - - - -
06/18/2025 12.14 - - - -
06/17/2025 12.11 - - - -
06/16/2025 12.12 - - - -
06/13/2025 12.08 - - - -
06/12/2025 12.18 - - - -
06/11/2025 12.18 - - - -
06/10/2025 12.18 - - - -
06/09/2025 12.16 - - - -
06/06/2025 12.18 - - - -
06/05/2025 12.12 - - - -
06/04/2025 12.14 - - - -
06/03/2025 12.13 - - - -
06/02/2025 12.13 - - - -
05/30/2025 12.09 - - - -
05/29/2025 12.12 - - - -
05/28/2025 12.12 - - - -
05/27/2025 12.15 - - - -
05/26/2025 12.04 - - - -
05/23/2025 11.97 - - - -
05/22/2025 12.05 - - - -
05/21/2025 12.03 - - - -
05/20/2025 12.16 - - - -
05/16/2025 12.16 - - - -
05/15/2025 12.12 - - - -
05/14/2025 12.08 - - - -
05/13/2025 12.06 - - - -
05/12/2025 12.04 - - - -
05/09/2025 11.88 - - - -
05/08/2025 11.85 - - - -
05/07/2025 11.79 - - - -
05/06/2025 11.72 - - - -
05/05/2025 11.76 - - - -
05/02/2025 11.76 - - - -
05/01/2025 11.68 - - - -
04/30/2025 11.63 - - - -
04/29/2025 11.66 - - - -
04/28/2025 11.62 - - - -
04/25/2025 11.61 0.03 - - 0.03
04/24/2025 11.60 - - - -
04/23/2025 11.47 - - - -
04/22/2025 11.38 - - - -
04/21/2025 11.24 - - - -
04/17/2025 11.34 - - - -
04/16/2025 11.34 - - - -
04/15/2025 11.44 - - - -
04/14/2025 11.37 - - - -
04/11/2025 11.28 - - - -
04/10/2025 11.18 - - - -
04/09/2025 11.46 - - - -
04/08/2025 10.99 - - - -
04/07/2025 11.07 - - - -
04/04/2025 11.15 - - - -
04/03/2025 11.51 - - - -
04/02/2025 11.88 - - - -
04/01/2025 11.83 - - - -
03/31/2025 11.82 - - - -
03/28/2025 11.79 - - - -
03/27/2025 11.90 - - - -
03/26/2025 11.89 - - - -
03/25/2025 11.99 - - - -
03/24/2025 11.99 - - - -
03/21/2025 11.92 - - - -
03/20/2025 11.92 - - - -
03/19/2025 11.95 - - - -
03/18/2025 11.86 - - - -
03/17/2025 11.90 - - - -
03/14/2025 11.86 - - - -
03/13/2025 11.75 - - - -
03/12/2025 11.80 - - - -
03/11/2025 11.77 - - - -
03/10/2025 11.81 - - - -
03/07/2025 11.95 - - - -
03/06/2025 11.88 - - - -
03/05/2025 12.05 - - - -
03/04/2025 12.01 - - - -
03/03/2025 12.08 - - - -
02/28/2025 12.12 - - - -
02/27/2025 12.03 - - - -
02/26/2025 12.09 - - - -
02/25/2025 12.03 - - - -
02/24/2025 12.00 - - - -
02/21/2025 12.00 - - - -
02/20/2025 12.07 - - - -
02/19/2025 12.12 - - - -
02/18/2025 12.13 - - - -
02/14/2025 12.09 - - - -
02/13/2025 12.10 - - - -
02/12/2025 12.12 - - - -
02/11/2025 12.16 - - - -
02/10/2025 12.18 - - - -
02/07/2025 12.11 - - - -
02/06/2025 12.19 - - - -
02/05/2025 12.17 - - - -
02/04/2025 12.11 - - - -
02/03/2025 12.19 - - - -
01/31/2025 12.24 - - - -
01/30/2025 12.25 - - - -
01/29/2025 12.15 - - - -
01/28/2025 12.16 - - - -
01/27/2025 12.10 - - - -
01/24/2025 12.18 - - - -
01/23/2025 12.19 - - - -
01/22/2025 12.16 - - - -
01/21/2025 12.11 - - - -
01/20/2025 12.03 - - - -
01/17/2025 12.06 - - - -
01/16/2025 11.96 - - - -
01/15/2025 11.89 - - - -
01/14/2025 11.78 - - - -
01/13/2025 11.78 - - - -
01/10/2025 11.83 - - - -
01/09/2025 11.96 - - - -
01/08/2025 11.94 - - - -
01/07/2025 11.92 - - - -
01/06/2025 11.97 - - - -
01/03/2025 11.97 - - - -
01/02/2025 11.88 - - - -
12/31/2024 11.85 - - - -
12/30/2024 11.85 - - - -
12/27/2024 11.92 - - - -
12/24/2024 11.93 - - - -
12/23/2024 11.89 - - - -
12/20/2024 11.85 0.05 0.01 - 0.06
12/19/2024 11.85 - - - -
12/18/2024 11.90 - - - -
12/17/2024 12.07 - - - -
12/16/2024 12.07 - - - -
12/13/2024 12.05 - - - -
12/12/2024 12.08 - - - -
12/11/2024 12.11 - - - -
12/10/2024 12.05 - - - -
12/09/2024 12.10 - - - -
12/06/2024 12.12 - - - -
12/05/2024 12.04 - - - -
12/04/2024 12.08 - - - -
12/03/2024 11.99 - - - -
12/02/2024 11.97 - - - -
11/29/2024 11.93 - - - -
11/28/2024 11.87 - - - -
11/27/2024 11.85 - - - -
11/26/2024 11.87 - - - -
11/25/2024 11.82 - - - -
11/22/2024 11.78 - - - -
11/21/2024 11.75 - - - -
11/20/2024 11.71 - - - -
11/19/2024 11.71 - - - -
11/18/2024 11.72 - - - -
11/15/2024 11.74 - - - -
11/14/2024 11.82 - - - -
11/13/2024 11.80 - - - -
11/12/2024 11.80 - - - -
11/11/2024 11.82 - - - -
11/08/2024 11.82 - - - -
11/07/2024 11.83 - - - -
11/06/2024 11.78 - - - -
11/05/2024 11.67 - - - -
11/04/2024 11.62 - - - -
11/01/2024 11.64 - - - -
10/31/2024 11.58 - - - -
10/30/2024 11.70 - - - -
10/29/2024 11.73 - - - -
10/28/2024 11.69 - - - -
10/25/2024 11.66 0.03 - - 0.03
10/24/2024 11.71 - - - -
10/23/2024 11.67 - - - -
10/22/2024 11.74 - - - -
10/21/2024 11.77 - - - -
10/18/2024 11.80 - - - -
10/17/2024 11.75 - - - -
10/16/2024 11.72 - - - -
10/15/2024 11.72 - - - -
10/11/2024 11.75 - - - -
10/10/2024 11.68 - - - -
10/09/2024 11.66 - - - -
10/08/2024 11.59 - - - -
10/07/2024 11.55 - - - -
10/04/2024 11.59 - - - -
10/03/2024 11.53 - - - -
10/02/2024 11.55 - - - -
10/01/2024 11.54 - - - -
09/30/2024 11.61 - - - -
09/27/2024 11.61 - - - -
09/26/2024 11.61 - - - -
09/25/2024 11.55 - - - -
09/24/2024 11.56 - - - -
09/23/2024 11.56 - - - -
09/20/2024 11.58 - - - -
09/19/2024 11.61 - - - -
09/18/2024 11.51 - - - -
09/17/2024 11.53 - - - -
09/16/2024 11.55 - - - -
09/13/2024 11.51 - - - -
09/12/2024 11.46 - - - -
09/11/2024 11.40 - - - -
09/10/2024 11.34 - - - -
09/09/2024 11.32 - - - -
09/06/2024 11.23 - - - -
09/05/2024 11.30 - - - -
09/04/2024 11.31 - - - -
09/03/2024 11.32 - - - -
08/30/2024 11.44 - - - -
08/29/2024 11.39 - - - -
08/28/2024 11.37 - - - -
08/27/2024 11.40 - - - -
08/26/2024 11.40 - - - -
08/23/2024 11.43 - - - -
08/22/2024 11.38 - - - -
08/21/2024 11.44 - - - -
08/20/2024 11.40 - - - -
08/19/2024 11.42 - - - -
08/16/2024 11.38 - - - -
08/15/2024 11.38 - - - -
08/14/2024 11.26 - - - -
08/13/2024 11.23 - - - -
08/12/2024 11.12 - - - -
08/09/2024 11.10 - - - -
08/08/2024 11.08 - - - -
08/07/2024 10.95 - - - -
08/06/2024 10.99 - - - -
08/02/2024 11.13 - - - -
08/01/2024 11.29 - - - -
07/31/2024 11.40 - - - -
07/30/2024 11.29 - - - -
07/29/2024 11.30 - - - -
07/26/2024 11.30 0.05 - - 0.05
07/25/2024 11.26 - - - -
07/24/2024 11.30 - - - -
07/23/2024 11.41 - - - -
07/22/2024 11.40 - - - -
07/19/2024 11.31 - - - -
07/18/2024 11.34 - - - -
07/17/2024 11.39 - - - -
07/16/2024 11.47 - - - -
07/15/2024 11.42 - - - -
07/12/2024 11.41 - - - -
07/11/2024 11.35 - - - -
07/10/2024 11.33 - - - -
07/09/2024 11.26 - - - -
07/08/2024 11.29 - - - -
07/05/2024 11.30 - - - -
07/04/2024 11.28 - - - -
07/03/2024 11.27 - - - -
07/02/2024 11.22 - - - -
06/28/2024 11.21 - - - -
06/27/2024 11.22 - - - -
06/26/2024 11.20 - - - -
06/25/2024 11.20 - - - -
06/24/2024 11.18 - - - -
06/21/2024 11.19 - - - -
06/20/2024 11.20 - - - -
06/19/2024 11.22 - - - -
06/18/2024 11.24 - - - -
06/17/2024 11.21 - - - -
06/14/2024 11.20 - - - -
06/13/2024 11.21 - - - -
06/12/2024 11.27 - - - -
06/11/2024 11.20 - - - -
06/10/2024 11.23 - - - -
06/07/2024 11.20 - - - -
06/06/2024 11.22 - - - -
06/05/2024 11.21 - - - -
06/04/2024 11.11 - - - -
06/03/2024 11.10 - - - -
05/31/2024 11.08 - - - -
05/30/2024 11.06 - - - -
05/29/2024 11.08 - - - -
05/28/2024 11.14 - - - -
05/27/2024 11.16 - - - -
05/24/2024 11.16 - - - -
05/23/2024 11.17 - - - -
05/22/2024 11.18 - - - -
05/21/2024 11.20 - - - -
05/17/2024 11.17 - - - -
05/16/2024 11.15 - - - -
05/15/2024 11.16 - - - -
05/14/2024 11.09 - - - -
05/13/2024 11.07 - - - -
05/10/2024 11.08 - - - -
05/09/2024 11.08 - - - -
05/08/2024 11.07 - - - -
05/07/2024 11.09 - - - -
05/06/2024 11.06 - - - -
05/03/2024 10.98 - - - -
05/02/2024 10.91 - - - -
05/01/2024 10.86 - - - -
04/30/2024 10.87 - - - -
04/29/2024 10.93 - - - -
04/26/2024 10.93 - - - -
04/25/2024 10.86 - - - -
04/24/2024 10.90 - - - -
04/23/2024 10.90 - - - -
04/22/2024 10.84 - - - -
04/19/2024 10.80 0.04 - - 0.04
04/18/2024 10.87 - - - -
04/17/2024 10.90 - - - -
04/16/2024 10.95 - - - -
04/15/2024 10.96 - - - -
04/12/2024 11.03 - - - -
04/11/2024 11.08 - - - -
04/10/2024 11.06 - - - -
04/09/2024 11.10 - - - -
04/08/2024 11.08 - - - -
04/05/2024 11.07 - - - -
04/04/2024 11.00 - - - -
04/03/2024 11.04 - - - -
04/02/2024 11.04 - - - -
04/01/2024 11.07 - - - -
03/28/2024 11.10 - - - -
03/27/2024 11.11 - - - -
03/26/2024 11.07 - - - -
03/25/2024 11.08 - - - -
03/22/2024 11.11 - - - -
03/21/2024 11.10 - - - -
03/20/2024 11.06 - - - -
03/19/2024 11.03 - - - -
03/18/2024 10.98 - - - -
03/15/2024 10.98 - - - -
03/14/2024 11.01 - - - -
03/13/2024 11.03 - - - -
03/12/2024 11.04 - - - -
03/11/2024 10.98 - - - -
03/08/2024 11.01 - - - -
03/07/2024 11.03 - - - -
03/06/2024 10.97 - - - -
03/05/2024 10.95 - - - -
03/04/2024 10.99 - - - -
03/01/2024 10.98 - - - -
02/29/2024 10.91 - - - -
02/28/2024 10.87 - - - -
02/27/2024 10.87 - - - -
02/26/2024 10.87 - - - -
02/23/2024 10.89 - - - -
02/22/2024 10.85 - - - -
02/21/2024 10.76 - - - -
02/20/2024 10.78 - - - -
02/16/2024 10.77 - - - -
02/15/2024 10.78 - - - -
02/14/2024 10.76 - - - -
02/13/2024 10.67 - - - -
02/12/2024 10.74 - - - -
02/09/2024 10.76 - - - -
02/08/2024 10.72 - - - -
02/07/2024 10.73 - - - -
02/06/2024 10.72 - - - -
02/05/2024 10.70 - - - -
02/02/2024 10.71 - - - -
02/01/2024 10.69 - - - -
01/31/2024 10.65 - - - -
01/30/2024 10.69 - - - -
01/29/2024 10.69 - - - -
01/26/2024 10.64 - - - -
01/25/2024 10.65 - - - -
01/24/2024 10.64 - - - -
01/23/2024 10.61 - - - -
01/22/2024 10.61 - - - -
01/19/2024 10.57 - - - -
01/18/2024 10.54 - - - -
01/17/2024 10.50 - - - -
01/16/2024 10.56 - - - -
01/15/2024 10.60 - - - -
01/12/2024 10.59 - - - -
01/11/2024 10.57 - - - -
01/10/2024 10.56 - - - -
01/09/2024 10.53 - - - -
01/08/2024 10.53 - - - -
01/05/2024 10.45 - - - -
01/04/2024 10.44 - - - -
01/03/2024 10.45 - - - -
01/02/2024 10.49 - - - -
12/29/2023 10.53 - - - -
12/28/2023 10.54 - - - -
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07/22/2021 10.89 - - - -
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