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

FUND PERFORMANCE:

Share Class MTD YTD NAV Date
H CAD -0,40 % 1,26 % 2025-03-31
I CAD -0,64 % 1,49 % 2025-03-31
I USD -0,17 % 1,53 % 2025-03-31

FUNDS AT A GLANCE:


DOCUMENT LIST WITH FILTERS: