The Fund's portfolio is comprised of an actively managed
U.S. equity component and a broadly diversified managed futures component, providing both long and short exposures across a wide variety of financial and commodity markets.
The Canadian bond component seeks to replicate the FTSE TMX Canada Universe Bond Index; the Canadian equity component seeks to replicate the S&P / TSX 60 Index;
the U.S. equity component seeks to replicate the S&P 500 Index; and the international equity component seeks to replicate the MSCI EAFE (Europe, Australasia and Far East) Index.
The Canadian equity component seeks to replicate the S&P / TSX 60 Index;
the U.S. equity component seeks to replicate the S&P 500 Index; and the international equity component seeks to replicate the MSCI EAFE (Europe, Australasia and Far East) Index.
Not exact matches
«The level of valuations in the
equity markets are not bubbles, but it's tough to argue any of the
components of
equity markets are undervalued globally, with the best example being the
U.S.,» Davis told CNBC.
«If your
equity component is split between Canada,
U.S. and international, now is the time to rebalance,» he says.
Comparing
equity returns to the hybrid product of preferreds, which contain
components of both
equity and debt, the hybrids are returning 9.74 % year - to - date as measured by the S&P
U.S. Preferred Stock Index.
The
equity component of NUXIX employs a quantitative and systematic strategy to identify repetitive patterns of price behavior in
U.S. equities that are indicative of prevailing market sentiment.
«With the Rational / NuWave Enhanced Market Opportunity Fund, investors get
U.S. equity exposure in combination with a macro-focused long / short
component that seeks to provide uncorrelated returns.