WHY INVEST IN DYNAMIC U.S. STRATEGIC YIELD FUND

  • Actively-managed access to the U.S., one of the broadest and deepest markets in the world.
  • Ability to tactically shift asset allocation to take advantage of changing market conditions.
  • Aims to provide stability and growth to investors while providing interest and dividend income.

PORTFOLIO MANAGEMENT

LITERATURE

CALENDAR RETURNS (%) As at 11/30/2024

YTD20232022202120202019201820172016
17.17.4-6.016.61.715.80.4-2.85.6

COMPOUND RETURNS (%) As at 11/30/2024

1 month3 months6 months1 year3 years5 years10 yearsInception
4.66.211.717.66.87.16.67.6

ASSET
ALLOCATION

As at 10/31/2024

valueholding
65.4%Common Stocks-US
20.6%Foreign Bonds & Debentures
4.8%Real Estate Investment Trusts
3.0%Cash, Short-Term Investments & Other Net Assets
2.1%Corporate Bonds - CDN
2.1%Dynamic Credit Opportunities Fund, Series "OP"
1.0%Dynamic Real Estate & Infrastructure Income II Fund, Series "O"
0.6%Canadian - Foreign Pay Bonds
0.4%Common Stocks-Foreign

GEOGRAPHIC
ALLOCATION

As at 10/31/2024

valueholding
90.9%United States
5.7%Canada
0.4%Netherlands

SECTOR
ALLOCATION

As at 10/31/2024

valueholding
17.1%Information Technology
10.0%Financials
9.1%Health Care
9.1%Consumer Discretionary
6.6%Industrials
5.6%Real Estate
3.4%Utilities
3.4%Communication Services
3.1%Consumer Staples
2.3%Energy
0.9%Materials

TOP EQUITY HOLDINGS (%)

As at 10/31/2024

Microsoft Corporation-
Apple Inc.-
JPMorgan Chase & Co.-
Amazon.com, Inc.-
Alphabet Inc., Class "A"-
Total allocation in top holdings16.0

TOP BOND HOLDINGS (%)

As at 10/31/2024

United States Treasury, 4.00% Jul. 31 29
United States Treasury, 4.00% Jul. 31 30
United States Treasury, 4.125% Jul. 31 31
United States Treasury, 4.375% May 15 34
Dynamic Credit Opportunities Fund, Series "OP"
Total allocation in top holdings16.0

DYNAMIC PREFERRED PRICING

Management fee rates are applied back to dollar one

Fund Value %
$0K - $250K1.850
$250K - $1M1.775
$1M - $5M1.725
$5M+1.675
Notes
  • 1. Name change as of June 2023. Formerly Dynamic U.S. Monthly Income Fund.
  • 2. For the period ended 2024-06-30.
  • 3. Risk rating measures the degree of uncertainty that an investor can handle regarding fluctuations in the value of their portfolio. The amount of risk associated with any particular investment depends largely on your own personal circumstances including your time horizon, liquidity needs, portfolio size, income, investment knowledge and attitude toward price fluctuations. Investors should consult their financial advisor before making a decision as to whether this mutual fund is a suitable investment for them.
  • 4. Not available for purchases, switches out only.
Disclaimer
  • . The benchmark used for analytics for this fund is 50% S&P 500 Composite/50% Bloomberg U.S. Aggregate Bond Index (C$).
  • . Distributions may consist of net income, dividends, net realized capital gains, and/or return of capital. Distributions are not guaranteed and investors should not confuse a fund’s distribution yield with its performance or rate of return.
  • . Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing.
  • . The indicated rates of return are the historical annual compounded total returns including changes in units [share] value and reinvestment of all distributions [dividends] and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder that would have reduced returns. The rates of return are used only to illustrate the effects of the compound growth rate and are not intended to reflect future values of the mutual fund or returns on investment in the mutual fund. Investments in mutual funds are not guaranteed, their values change frequently and past performance may not be repeated.
  • . Compound growth calculations are used only for the purpose of illustrating the effects of compound growth and are not intended to reflect future value of any mutual fund or returns on investment in any mutual fund.
  • . R2 is a measurement out of 100 that shows the extent to which a portfolio’s movements can be explained by the benchmark's movements.
  • . Standard deviation is a measure of volatility; it shows how broadly the Fund's returns have varied over a given time period.
Dynamic Fund Profile rendered at 2024-12-15 01:48:51 AM
2438

English | Français