LYZ905 O
Lysander-18 Asset Management
Canadian Equity Fund
Series O

Series

  • Asset class
    Equity
  • Category
    Canadian Equity
  • Risk Rating
    Medium
  • Number of Securities
    31

NAV

  • CDN $ NAV
    13.77
  • Change NAV $
    -0.18
  • Change NAV %
    -1.29
  • Date
    2020-02-24

Objectives

The Fund’s objective is to provide long-term capital growth by investing primarily in equity securities of Canadian companies.

Fund Facts

The NAVs posted are post-distribution.

Inception Date

As of Date

Compound Returns

Calendar Year Returns

Distributions

Distributions

Record Date Distribution Date
December 30, 2019 December 31, 2019
March 26, 2020 March 27, 2020