Institutional Investing
 

Institutional Funds

TD Emerald Low Volatility Global Equity Non-Taxable Investor PFT

Investment Strategy
Over the long term, the Fund aims to achieve similar returns to benchmark, with less volatility. The Fund is broadly diversified, investing primarily in global equity included in the MSCI World ex-Canada Total Return Index ND - C$. TD Asset Management Inc. aims to optimize the Fund by overweighting equities that are expected to deliver less volatile returns and by underweighting or excluding equities that are expected to deliver more volatile returns. As a result, the Fund may possess significantly different characteristics than the Index, and exhibit high tracking error compared to the benchmark, even though the standard deviation of return is expected to be less than that of the Index.
Who Should Invest
The Fund is designed for Canadian registered pension plans, qualifying foundations, endowments and charities which are exempt from income tax in Canada and income tax in the U.S. in respect of dividend or interest income in the U.S., who are seeking a broadly diversified portfolio with a better risk-adjusted return than the MSCI World ex-Canada Total Return Index.
Fund Facts
Asset ClassEquity
Management PhilosophyActive Quantitative
Inception DateApril 26, 2017
BenchmarkMSCI World ex-Canada Index ND (C$)
Details
NAV($) / Yield (%)10.3899 (As of July 31, 2020)
Distribution DateDecember 31, 2019
Income Distribution0.2857
Capital Distribution0.0801
Total Distribution0.3658
AUM (in millions)1,844.40 (As of June 30, 2020)
Distribution FrequencyAnnual

*Rates of return are time-weighted, reflecting income during the period but do not include any deduction for management fees.

Performance
1 M3 MYTD1 Y2 Y3 Y4 Y5 Y10 YSince Inception
Fund-1.243.19-12.68-7.660.833.92---3.12
Benchmark1.1114.19-0.767.616.678.61---7.43

*Performance as of June 30, 2020. Year To Date - performance based on most recent month-end data.

*Benchmark is MSCI World ex-Canada Index ND (C$)

Note: Fund performance is before fees but after expenses

Yearly Performance
20192018201720162015
Fund17.153.28---
Benchmark21.22-0.15---
August 03, 2020