Fund Overview & Performance

Counsel Global Income & Growth Portfolio Series FT

A diversified portfolio that seeks to generate income and long-term capital growth. The portfolio will invest either directly, or through securities of other investment funds, in a combination of equity and fixed-income securities of companies located anywhere in the world. The portfolio pursues a flexible approach where allocations between asset classes are based on economic conditions and assessment of relative valuations.

Is this portfolio right for you?

  • Designed to provide reliable income from a globally diversified portfolio.
  • Offers a blend of total return and dividend income with the flexibility to source opportunities in changing market conditions.
  • Fixed 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 four segments, each representing a different category of investments. Each category includes the percentage allocation and the financial institutions managing the specific fund within that category. First segment, Fixed Income (37.0%). Comprises of, 25.0% in Canadian Core, managed by Mackenzie Investments. 12.0% in High yield, managed by Putnam Investments. Second segment, Global Equity (45.0%). Comprises of: 25.0% in Global Dividend, managed by Acadian. 20.0% in Global Equities, managed by Mawer. Third segment, Canadian Equity (15.0%). Comprises of, 8.3% in Canadian Dividend, managed by Lincluden. 6.7% in Canadian Growth, managed by Picton Mahoney. Fourth segment, Alternative Strategies (3.0%). Comprises of, 0-20% in Global real estate, managed by Hazelview Investments. 3.0% in Private credit, managed by Sagard. The chart also notes that the "asset allocation weights depicted above represent the neutral allocations as at January 20, 2025." 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, Acadian, Mawer, Lincluden, Picton Mahoney, Hazelview Investments, Putnam Investments, and Sagard, to identify who manages each fund.

Annualized performance (%)

Period 1 mth 3 mths 6 mths 1 yr 3 yr 5 yr 10 yr Inception return
Series FT 0.6 4.1 -0.6 5.9 8.1 - - 5.1

Performance (%) calendar year returns

Period 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 YTD
Series FT - - - - - - - -7.6 10.0 12.5 2.1

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

Period:

For the period 05/30/2021 through 07/31/2025 with $10,000 investment, The value of the investment would be $12,250

How the fund is invested2 as at May 31, 2025

Asset allocation (%)

Asset allocation (%)
US Equity 25.3
International Equity 21.8
Domestic Bonds 17.8
Canadian Equity 15.7
Foreign Bonds 13.9
Cash and Equivalents 3.6
Income Trust Units 1.9

Geographic allocation (%)

Geographic allocation (%)
Canada 37.4
United States 36.7
Multi-National 3.0
China 2.4
France 2.2
Netherlands 2.0
Switzerland 1.9
Taiwan 1.8
United Kingdom 1.6
Other 11.2

Sector allocation (%)

Sector allocation (%)
Fixed Income 31.7
Financial Services 12.8
Technology 9.8
Consumer Services 8.8
Consumer Goods 6.3
Real Estate 5.9
Industrial Services 5.2
Healthcare 4.7
Telecommunications 4.1
Other 10.7

Top holdings

Underlying funds/holdings (%) of NAV
Counsel Global Dividend 27.3
Counsel Canadian Core Fixed Income 19.4
Mawer Global Equity Fund 17.8
Counsel North American High Yield Bond 11.5
Counsel Canadian Dividend 9.4
Counsel Canadian Growth 6.3
Counsel Global Real Estate 5.1
Sagard Private Credit LP 3.0
Top equity holdings (%) of NAV
Roche Holding AG - Partcptn 1.5
Booking Holdings Inc 1.4
Royal Bank of Canada 1.0
Meta Platforms Inc Cl A 1.0
Toronto-Dominion Bank 1.0
Publicis Groupe SA 0.9
Microsoft Corp 0.9
Wolters Kluwer NV Cl C 0.9
PepsiCo Inc 0.9
Alimentation Couche-Tard Inc 0.9
Top fixed income holdings (%) of NAV
Sagard Private Credit LP 3.0
Canada Government 3.25% 01-Dec-2034 0.9
Canada Government 2.75% 01-Dec-2055 0.7
Quebec Province 4.40% 01-Dec-2055 0.7
Canada Housing Trust No 1 1.90% 15-Sep-2026 0.7
Ontario Province 3.60% 02-Jun-2035 0.6
Canada Government 3.25% 01-Jun-2035 0.5
Canada Government 3.00% 01-Jun-2034 0.5
Quebec Province 4.45% 01-Sep-2034 0.4
Canada Government 3.50% 01-Sep-2029 0.3

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
Counsel Global Income & Growth Portfolio Series FT

Counsel Global Income & Growth Portfolio Series FT

Summary

For the period 05/30/2021 through 07/31/2025 with $10,000 investment

Total returns performance

22.50%

Last price

$8.77 CAD

as of market close 07/31/2025

Value of $10,000 investment

$12,250.18 CAD

Period:
Interval :
Export toCSV
Effective date Price ($) Income Capital gain Return of capital Total distribution
08/20/2025 8.88 - - - -
08/19/2025 8.87 - - - -
08/18/2025 8.82 - - - -
08/15/2025 8.83 - - - -
08/14/2025 8.83 - - - -
08/13/2025 8.83 - - - -
08/12/2025 8.78 - - - -
08/11/2025 8.75 - - - -
08/08/2025 8.76 - - - -
08/07/2025 8.75 - - - -
08/06/2025 8.76 - - - -
08/05/2025 8.75 - - - -
08/01/2025 8.69 - - - -
07/31/2025 8.77 - - - -
07/30/2025 8.78 - - - -
07/29/2025 8.78 - - - -
07/28/2025 8.77 - - - -
07/25/2025 8.80 0.01 - 0.03 0.04
07/24/2025 8.82 - - - -
07/23/2025 8.82 - - - -
07/22/2025 8.78 - - - -
07/21/2025 8.78 - - - -
07/18/2025 8.78 - - - -
07/17/2025 8.78 - - - -
07/16/2025 8.75 - - - -
07/15/2025 8.73 - - - -
07/14/2025 8.78 - - - -
07/11/2025 8.77 - - - -
07/10/2025 8.81 - - - -
07/09/2025 8.81 - - - -
07/08/2025 8.79 - - - -
07/07/2025 8.77 - - - -
07/04/2025 8.79 - - - -
07/03/2025 8.77 - - - -
07/02/2025 8.76 - - - -
06/30/2025 8.76 - - - -
06/27/2025 8.75 - - - -
06/26/2025 8.70 - - - -
06/25/2025 8.70 - - - -
06/24/2025 8.74 - - - -
06/23/2025 8.69 - - - -
06/20/2025 8.66 0.01 - 0.03 0.04
06/19/2025 8.70 - - - -
06/18/2025 8.71 - - - -
06/17/2025 8.68 - - - -
06/16/2025 8.70 - - - -
06/13/2025 8.69 - - - -
06/12/2025 8.75 - - - -
06/11/2025 8.74 - - - -
06/10/2025 8.75 - - - -
06/09/2025 8.73 - - - -
06/06/2025 8.74 - - - -
06/05/2025 8.72 - - - -
06/04/2025 8.72 - - - -
06/03/2025 8.73 - - - -
06/02/2025 8.73 - - - -
05/30/2025 8.72 - - - -
05/29/2025 8.75 - - - -
05/28/2025 8.73 - - - -
05/27/2025 8.75 - - - -
05/26/2025 8.67 - - - -
05/23/2025 8.65 0.01 - 0.03 0.04
05/22/2025 8.75 - - - -
05/21/2025 8.75 - - - -
05/20/2025 8.83 - - - -
05/16/2025 8.85 - - - -
05/15/2025 8.81 - - - -
05/14/2025 8.75 - - - -
05/13/2025 8.75 - - - -
05/12/2025 8.77 - - - -
05/09/2025 8.67 - - - -
05/08/2025 8.66 - - - -
05/07/2025 8.62 - - - -
05/06/2025 8.59 - - - -
05/05/2025 8.62 - - - -
05/02/2025 8.62 - - - -
05/01/2025 8.56 - - - -
04/30/2025 8.55 - - - -
04/29/2025 8.55 - - - -
04/28/2025 8.51 - - - -
04/25/2025 8.50 0.01 - 0.03 0.04
04/24/2025 8.54 - - - -
04/23/2025 8.50 - - - -
04/22/2025 8.45 - - - -
04/21/2025 8.35 - - - -
04/17/2025 8.43 - - - -
04/16/2025 8.44 - - - -
04/15/2025 8.50 - - - -
04/14/2025 8.45 - - - -
04/11/2025 8.37 - - - -
04/10/2025 8.31 - - - -
04/09/2025 8.48 - - - -
04/08/2025 8.24 - - - -
04/07/2025 8.31 - - - -
04/04/2025 8.45 - - - -
04/03/2025 8.65 - - - -
04/02/2025 8.88 - - - -
04/01/2025 8.86 - - - -
03/31/2025 8.85 - - - -
03/28/2025 8.82 - - - -
03/27/2025 8.87 - - - -
03/26/2025 8.86 - - - -
03/25/2025 8.89 - - - -
03/24/2025 8.89 - - - -
03/21/2025 8.86 0.01 - 0.03 0.04
03/20/2025 8.92 - - - -
03/19/2025 8.94 - - - -
03/18/2025 8.89 - - - -
03/17/2025 8.90 - - - -
03/14/2025 8.86 - - - -
03/13/2025 8.80 - - - -
03/12/2025 8.85 - - - -
03/11/2025 8.87 - - - -
03/10/2025 8.94 - - - -
03/07/2025 8.99 - - - -
03/06/2025 8.92 - - - -
03/05/2025 8.99 - - - -
03/04/2025 8.98 - - - -
03/03/2025 9.04 - - - -
02/28/2025 9.05 - - - -
02/27/2025 9.01 - - - -
02/26/2025 9.03 - - - -
02/25/2025 9.02 - - - -
02/24/2025 8.97 - - - -
02/21/2025 8.94 0.01 - 0.03 0.04
02/20/2025 9.00 - - - -
02/19/2025 9.05 - - - -
02/18/2025 9.03 - - - -
02/14/2025 9.02 - - - -
02/13/2025 9.04 - - - -
02/12/2025 9.02 - - - -
02/11/2025 9.04 - - - -
02/10/2025 9.04 - - - -
02/07/2025 9.00 - - - -
02/06/2025 9.05 - - - -
02/05/2025 9.05 - - - -
02/04/2025 9.02 - - - -
02/03/2025 9.08 - - - -
01/31/2025 9.10 - - - -
01/30/2025 9.11 - - - -
01/29/2025 9.03 - - - -
01/28/2025 9.02 - - - -
01/27/2025 9.02 - - - -
01/24/2025 8.97 0.01 - 0.03 0.04
01/23/2025 9.01 - - - -
01/22/2025 8.99 - - - -
01/21/2025 8.98 - - - -
01/20/2025 8.93 - - - -
01/17/2025 8.95 - - - -
01/16/2025 8.91 - - - -
01/15/2025 8.85 - - - -
01/14/2025 8.79 - - - -
01/13/2025 8.79 - - - -
01/10/2025 8.80 - - - -
01/09/2025 8.88 - - - -
01/08/2025 8.89 - - - -
01/07/2025 8.88 - - - -
01/06/2025 8.89 - - - -
01/03/2025 8.93 - - - -
01/02/2025 8.88 - - - -
12/31/2024 8.90 - - - -
12/30/2024 8.87 - - - -
12/27/2024 8.92 - - - -
12/24/2024 8.91 - - - -
12/23/2024 8.89 - - - -
12/20/2024 8.88 0.09 0.22 - 0.31
12/19/2024 9.15 - - - -
12/18/2024 9.20 - - - -
12/17/2024 9.30 - - - -
12/16/2024 9.29 - - - -
12/13/2024 9.31 - - 0.04 0.04
12/12/2024 9.37 - - - -
12/11/2024 9.37 - - - -
12/10/2024 9.38 - - - -
12/09/2024 9.40 - - - -
12/06/2024 9.42 - - - -
12/05/2024 9.36 - - - -
12/04/2024 9.37 - - - -
12/03/2024 9.34 - - - -
12/02/2024 9.34 - - - -
11/29/2024 9.32 - - - -
11/28/2024 9.29 - - - -
11/27/2024 9.29 - - - -
11/26/2024 9.29 - - - -
11/25/2024 9.25 - - - -
11/22/2024 9.19 0.01 - 0.03 0.04
11/21/2024 9.20 - - - -
11/20/2024 9.18 - - - -
11/19/2024 9.18 - - - -
11/18/2024 9.22 - - - -
11/15/2024 9.21 - - - -
11/14/2024 9.23 - - - -
11/13/2024 9.23 - - - -
11/12/2024 9.24 - - - -
11/11/2024 9.29 - - - -
11/08/2024 9.27 - - - -
11/07/2024 9.25 - - - -
11/06/2024 9.22 - - - -
11/05/2024 9.17 - - - -
11/04/2024 9.14 - - - -
11/01/2024 9.14 - - - -
10/31/2024 9.11 - - - -
10/30/2024 9.17 - - - -
10/29/2024 9.19 - - - -
10/28/2024 9.20 - - - -
10/25/2024 9.17 0.01 - 0.03 0.04
10/24/2024 9.23 - - - -
10/23/2024 9.22 - - - -
10/22/2024 9.25 - - - -
10/21/2024 9.27 - - - -
10/18/2024 9.32 - - - -
10/17/2024 9.30 - - - -
10/16/2024 9.29 - - - -
10/15/2024 9.26 - - - -
10/11/2024 9.22 - - - -
10/10/2024 9.18 - - - -
10/09/2024 9.17 - - - -
10/08/2024 9.14 - - - -
10/07/2024 9.12 - - - -
10/04/2024 9.12 - - - -
10/03/2024 9.12 - - - -
10/02/2024 9.14 - - - -
10/01/2024 9.15 - - - -
09/30/2024 9.20 - - - -
09/27/2024 9.20 - - - -
09/26/2024 9.17 - - - -
09/25/2024 9.13 - - - -
09/24/2024 9.14 - - - -
09/23/2024 9.14 - - - -
09/20/2024 9.15 0.01 - 0.03 0.04
09/19/2024 9.22 - - - -
09/18/2024 9.19 - - - -
09/17/2024 9.20 - - - -
09/16/2024 9.21 - - - -
09/13/2024 9.17 - - - -
09/12/2024 9.13 - - - -
09/11/2024 9.08 - - - -
09/10/2024 9.08 - - - -
09/09/2024 9.07 - - - -
09/06/2024 9.02 - - - -
09/05/2024 9.05 - - - -
09/04/2024 9.07 - - - -
09/03/2024 9.06 - - - -
08/30/2024 9.09 - - - -
08/29/2024 9.07 - - - -
08/28/2024 9.06 - - - -
08/27/2024 9.08 - - - -
08/26/2024 9.07 - - - -
08/23/2024 9.08 0.01 - 0.03 0.04
08/22/2024 9.09 - - - -
08/21/2024 9.11 - - - -
08/20/2024 9.09 - - - -
08/19/2024 9.10 - - - -
08/16/2024 9.07 - - - -
08/15/2024 9.06 - - - -
08/14/2024 9.02 - - - -
08/13/2024 8.98 - - - -
08/12/2024 8.93 - - - -
08/09/2024 8.92 - - - -
08/08/2024 8.89 - - - -
08/07/2024 8.83 - - - -
08/06/2024 8.85 - - - -
08/02/2024 8.99 - - - -
08/01/2024 9.05 - - - -
07/31/2024 9.09 - - - -
07/30/2024 9.06 - - - -
07/29/2024 9.04 - - - -
07/26/2024 9.03 0.01 - 0.03 0.04
07/25/2024 9.00 - - - -
07/24/2024 9.00 - - - -
07/23/2024 9.05 - - - -
07/22/2024 9.05 - - - -
07/19/2024 9.00 - - - -
07/18/2024 9.03 - - - -
07/17/2024 9.06 - - - -
07/16/2024 9.06 - - - -
07/15/2024 9.01 - - - -
07/12/2024 8.99 - - - -
07/11/2024 8.95 - - - -
07/10/2024 8.90 - - - -
07/09/2024 8.86 - - - -
07/08/2024 8.87 - - - -
07/05/2024 8.86 - - - -
07/04/2024 8.85 - - - -
07/03/2024 8.84 - - - -
07/02/2024 8.83 - - - -
06/28/2024 8.83 - - - -
06/27/2024 8.84 - - - -
06/26/2024 8.83 - - - -
06/25/2024 8.86 - - - -
06/24/2024 8.88 - - - -
06/21/2024 8.85 0.01 - 0.03 0.04
06/20/2024 8.90 - - - -
06/19/2024 8.90 - - - -
06/18/2024 8.91 - - - -
06/17/2024 8.89 - - - -
06/14/2024 8.87 - - - -
06/13/2024 8.91 - - - -
06/12/2024 8.91 - - - -
06/11/2024 8.86 - - - -
06/10/2024 8.90 - - - -
06/07/2024 8.90 - - - -
06/06/2024 8.92 - - - -
06/05/2024 8.92 - - - -
06/04/2024 8.87 - - - -
06/03/2024 8.85 - - - -
05/31/2024 8.82 - - - -
05/30/2024 8.78 - - - -
05/29/2024 8.77 - - - -
05/28/2024 8.83 - - - -
05/27/2024 8.87 - - - -
05/24/2024 8.86 0.01 - 0.03 0.04
05/23/2024 8.91 - - - -
05/22/2024 8.94 - - - -
05/21/2024 8.95 - - - -
05/17/2024 8.93 - - - -
05/16/2024 8.93 - - - -
05/15/2024 8.92 - - - -
05/14/2024 8.87 - - - -
05/13/2024 8.86 - - - -
05/10/2024 8.86 - - - -
05/09/2024 8.86 - - - -
05/08/2024 8.84 - - - -
05/07/2024 8.84 - - - -
05/06/2024 8.79 - - - -
05/03/2024 8.75 - - - -
05/02/2024 8.69 - - - -
05/01/2024 8.66 - - - -
04/30/2024 8.66 - - - -
04/29/2024 8.71 - - - -
04/26/2024 8.68 - - - -
04/25/2024 8.66 - - - -
04/24/2024 8.71 - - - -
04/23/2024 8.71 - - - -
04/22/2024 8.68 - - - -
04/19/2024 8.66 0.01 - 0.03 0.04
04/18/2024 8.70 - - - -
04/17/2024 8.71 - - - -
04/16/2024 8.72 - - - -
04/15/2024 8.75 - - - -
04/12/2024 8.80 - - - -
04/11/2024 8.83 - - - -
04/10/2024 8.83 - - - -
04/09/2024 8.89 - - - -
04/08/2024 8.87 - - - -
04/05/2024 8.87 - - - -
04/04/2024 8.83 - - - -
04/03/2024 8.85 - - - -
04/02/2024 8.84 - - - -
04/01/2024 8.88 - - - -
03/28/2024 8.92 - - - -
03/27/2024 8.92 - - - -
03/26/2024 8.87 - - - -
03/25/2024 8.88 - - - -
03/22/2024 8.90 0.01 - 0.03 0.04
03/21/2024 8.94 - - - -
03/20/2024 8.92 - - - -
03/19/2024 8.91 - - - -
03/18/2024 8.86 - - - -
03/15/2024 8.87 - - - -
03/14/2024 8.88 - - - -
03/13/2024 8.91 - - - -
03/12/2024 8.92 - - - -
03/11/2024 8.89 - - - -
03/08/2024 8.90 - - - -
03/07/2024 8.90 - - - -
03/06/2024 8.86 - - - -
03/05/2024 8.85 - - - -
03/04/2024 8.86 - - - -
03/01/2024 8.86 - - - -
02/29/2024 8.80 - - - -
02/28/2024 8.79 - - - -
02/27/2024 8.78 - - - -
02/26/2024 8.78 - - - -
02/23/2024 8.80 0.01 - 0.04 0.04
02/22/2024 8.81 - - - -
02/21/2024 8.74 - - - -
02/20/2024 8.75 - - - -
02/16/2024 8.72 - - - -
02/15/2024 8.72 - - - -
02/14/2024 8.69 - - - -
02/13/2024 8.63 - - - -
02/12/2024 8.69 - - - -
02/09/2024 8.69 - - - -
02/08/2024 8.67 - - - -
02/07/2024 8.69 - - - -
02/06/2024 8.70 - - - -
02/05/2024 8.67 - - - -
02/02/2024 8.71 - - - -
02/01/2024 8.74 - - - -
01/31/2024 8.69 - - - -
01/29/2024 8.69 - - - -
01/26/2024 8.66 - - 0.04 0.04
01/25/2024 8.71 - - - -
01/24/2024 8.69 - - - -
01/23/2024 8.67 - - - -
01/22/2024 8.68 - - - -
01/19/2024 8.65 - - - -
01/18/2024 8.64 - - - -
01/17/2024 8.62 - - - -
01/16/2024 8.68 - - - -
01/15/2024 8.72 - - - -
01/12/2024 8.70 - - - -
01/11/2024 8.68 - - - -
01/10/2024 8.67 - - - -
01/09/2024 8.67 - - - -
01/08/2024 8.68 - - - -
01/05/2024 8.63 - - - -
01/03/2024 8.64 - - - -
01/02/2024 8.66 - - - -
12/29/2023 8.67 - - - -
12/28/2023 8.66 - - - -
12/27/2023 8.67 - - - -
12/22/2023 8.62 0.09 0.02 - 0.11
12/21/2023 8.75 - - - -
12/20/2023 8.74 - - - -
12/19/2023 8.77 - - - -
12/18/2023 8.74 - - - -
12/15/2023 8.73 - - - -
12/14/2023 8.76 - - - -
12/13/2023 8.73 - - - -
12/12/2023 8.65 - - - -
12/11/2023 8.63 - - - -
12/08/2023 8.63 - - 0.04 0.04
12/07/2023 8.68 - - - -
12/06/2023 8.66 - - - -
12/05/2023 8.66 - - - -
12/04/2023 8.65 - - - -
12/01/2023 8.65 - - - -
11/30/2023 8.59 - - - -
11/29/2023 8.58 - - - -
11/28/2023 8.54 - - - -
11/27/2023 8.56 - - - -
11/24/2023 8.55 0.01 - 0.03 0.04
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10/12/2021 9.85 - - - -
10/08/2021 9.88 - - - -
10/07/2021 9.91 - - - -
10/06/2021 9.86 - - - -
10/05/2021 9.87 - - - -
10/04/2021 9.83 - - - -
10/01/2021 9.91 - - - -
09/30/2021 9.86 - - - -
09/29/2021 9.93 - - - -
09/28/2021 9.92 - - - -
09/27/2021 10.04 - - - -
09/24/2021 10.09 0.02 - 0.03 0.05
09/23/2021 10.15 - - - -
09/22/2021 10.14 - - - -
09/21/2021 10.11 - - - -
09/20/2021 10.08 - - - -
09/17/2021 10.15 - - - -
09/16/2021 10.21 - - - -
09/15/2021 10.23 - - - -
09/14/2021 10.21 - - - -
09/13/2021 10.22 - - - -
09/10/2021 10.21 - - - -
09/09/2021 10.23 - - - -
09/08/2021 10.25 - - - -
09/07/2021 10.26 - - - -
09/03/2021 10.24 - - - -
09/02/2021 10.26 - - - -
09/01/2021 10.24 - - - -
08/31/2021 10.23 - - - -
08/30/2021 10.23 - - - -
08/27/2021 10.22 - - - -
08/26/2021 10.17 - - - -
08/25/2021 10.18 - - - -
08/24/2021 10.17 - - - -
08/23/2021 10.18 - - - -
08/20/2021 10.19 - - 0.05 0.05
08/19/2021 10.20 - - - -
08/18/2021 10.18 - - - -
08/17/2021 10.21 - - - -
08/16/2021 10.23 - - - -
08/13/2021 10.21 - - - -
08/12/2021 10.21 - - - -
08/11/2021 10.19 - - - -
08/10/2021 10.17 - - - -
08/09/2021 10.18 - - - -
08/06/2021 10.18 - - - -
08/05/2021 10.18 - - - -
08/04/2021 10.18 - - - -
08/03/2021 10.20 - - - -
07/30/2021 10.13 - - - -
07/29/2021 10.15 - - - -
07/28/2021 10.14 - - - -
07/27/2021 10.14 - - - -
07/26/2021 10.13 - - - -
07/23/2021 10.13 0.01 - 0.04 0.05
07/22/2021 10.14 - - - -
07/21/2021 10.13 - - - -
07/20/2021 10.14 - - - -
07/19/2021 10.10 - - - -
07/16/2021 10.14 - - - -
07/15/2021 10.16 - - - -
07/14/2021 10.14 - - - -
07/13/2021 10.14 - - - -
07/12/2021 10.13 - - - -
07/09/2021 10.11 - - - -
07/08/2021 10.08 - - - -
07/07/2021 10.12 - - - -
07/06/2021 10.09 - - - -
07/05/2021 10.07 - - - -
07/02/2021 10.07 - - - -
06/30/2021 10.05 - - - -
06/29/2021 10.06 - - - -
06/28/2021 10.03 - - - -
06/25/2021 10.03 - - - -
06/24/2021 10.03 - - - -
06/23/2021 10.00 - - - -

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Commentary

Q2 2025 Fund Commentary

Market Commentary

Global equities rose over the second quarter of 2025 and outperformed global bonds, which posted a small gain (all returns in Canadian-dollar terms on a total return basis). The U.S. paused higher tariffs as it worked on trade deals. Late in the quarter, the U.S. and China reached a framework for a trade deal.

The U.S. equity market gained, with strong performance from the information technology sector. Canadian equities increased and outperformed U.S. equities. Information technology was the strongest-performing sector in the Canadian equity market. EAFE equities advanced, outperforming U.S. equities but underperforming Canadian equities.

Italy and Spain contributed to the performance of EAFE equities. Emerging markets equities also gained and outperformed their developed market peers, with Taiwan and India contributing to performance.

The FTSE Canada Universe Bond Index posted a total loss of 0.6% over the quarter. As government yields moved higher, government bond prices declined. Government bonds underperformed corporate bonds, which posted a small gain.

Corporate bond prices benefited from narrowing credit spreads (the difference in yield between corporate and government bonds). Real estate bonds posted the largest increase in the corporate sector. High-yield bond prices rose on a total return basis and outperformed investment-grade corporate bonds.

Global bond yields declined over the quarter, and global bond prices increased. The European Central Bank and the Bank of England lowered their policy interest rates. The Bank of Canada, the U.S. Federal Reserve Board and the Bank of Japan held interest rates steady.

The yield on 10-year Government of Canada bonds rose from 2.97% to 3.27%, while government yields in the U.S. were largely unchanged. Government yields in the U.K., Germany and Japan declined.

Disclaimer

The commentaries on the company specific information and purchases and sales were provided by the fund manager. Canada Life Investment Management Ltd. will not be liable for any loss, or damages whatsoever, whether directly or indirectly incurred, arising out of the use or misuse of errors or omissions in any information contained in this commentary. The data provided in this commentary is for information purposes only and, except where otherwise indicated, is current as of June 30, 2025.

The views expressed in this commentary are those of fund manager as at the date of publication and are subject to change without notice. This commentary is presented only as a general source of information and is not intended as a solicitation to buy or sell specific investments, nor is it intended to provide tax or legal advice. Prospective investors should review the offering documents relating to any investment carefully before making an investment decision and should ask their Advisor for advice based on their specific circumstances.

The content of this commentary (including facts, views, opinions, recommendations, descriptions of or references to, products or securities) is not to be used or construed as investment advice, as an offer to sell or the solicitation of an offer to buy, or an endorsement, recommendation or sponsorship of any entity or security cited. Although we endeavour to ensure its accuracy and completeness, we assume no responsibility for any reliance upon it.

This document may contain forward-looking information which reflect our or third-party current expectations or forecasts of future events. Forward-looking information is inherently subject to, among other things, risks, uncertainties and assumptions that could cause actual results to differ materially from those expressed herein. These risks, uncertainties and assumptions include, without limitation, general economic, political and market factors, interest and foreign exchange rates, the volatility of equity and capital markets, business competition, technological change, changes in government regulations, changes in tax laws, unexpected judicial or regulatory proceedings and catastrophic events. Please consider these and other factors carefully and not place undue reliance on forward-looking information. The forward-looking information contained herein is current only as of June 30, 2025. There should be no expectation that such information will in all circumstances be updated, supplemented or revised whether as a result of new information, changing circumstances, future events or otherwise.

There can be no assurance that the Fund’s return or volatility targets will be met, or met over any particular time horizon. Targeted returns and volatility should be evaluated over the time period indicated and not over shorter periods. Targeted returns are not actual performance and should not be relied upon as an indication of actual or future performance.

Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing. Mutual funds are not guaranteed, their values change frequently, and past performance may not be repeated.

Counsel Portfolios are managed by Canada Life Investment Management Ltd. Counsel Portfolios are distributed by Quadrus Investment Services Ltd., IPC Investment Corporation, and IPC Securities Corporation, and may also be available through other authorized dealers in Canada.