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Fund Profile

Prices & Performance > Starlight Dividend Growth Class

Market Price

$10.43

As at 2024/11/20 01:02pm

** Because the fund is new

Ticker

SCDG

NAV ($)

$10.093

As at 2024/10/31

Monthly Distribution

$0.0333

Per Unit

MER

N.A.**

Management Fee

0.95%

Total Net Assets

$346.1 Million

2024/10/31

NAV Change %

-0.751%

2024/10/31

Yield

3.96%  based on NAV

2024/10/31

Risk Meter *

Low

Med

High

Investor Suitability

  • Seeking capital growth and dividends
  • With a mid-term to long-term investment horizon
  • With a low to medium risk tolerance

Investment Type


Value

Blend

Growth

    Large Cap



    Mid Cap




    Small Cap




Fund Objectives

To achieve above average long-term capital growth that is consistent with a conservative investment philosophy encompassing a diversified portfolio approach. The Fund invests primarily in equity securities of Canadian companies that demonstrate financial strength and good growth potential.

ETF Facts

CUSIP

861601201


Currency

CAD

Listing Exchange

CBOE


Listing Date

2024/10/02

Volume

26


Number of Issuers

40


Total Number of Holdings

42

Registered Investment Eligible

Yes


Distribution Frequency

Monthly Distribution


Active Share1

0

Minimum Investment

No minimum investment

Investment Management Team

Image

Dennis Mitchell

Chief Executive Officer and Chief Investment Officer
Fund Tenure 2022-07-07


Read Bio >
Image

Sean Tascatan

Senior Portfolio Manager
Fund Tenure 2023-01-16


Read Bio >
Image

Michael Giordano

Senior Portfolio Manager
Fund Tenure 2017-11-20


Read Bio >

Related Documents

Fund Facts Simplified Prospectus

1Active share measures the percentage of a portfolio's holdings that are different from those in its benchmark. Active share shows how the manager is actively exploiting opportunities that are not reflected in the index. The benchmarks used for analysis for i) global infrastructure public securities is the S&P Global Infrastructure Index (CAD); ii) global real estate public securities is the FTSE EPRA/NAREIT Developed Total Return Index (CAD); and (iii) global public securities is the MSCI World Index (Gross Total Return) (CAD).

Commissions, trailing commissions, management fees and expenses all may be associated with investment funds. The indicated rates of return are the historical annual compound total returns net of fees (except for figures of one year or less, which are simple total returns) including changes in security value and reinvestment of all distributions 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. Investment funds are not guaranteed, their values change frequently, and past performance may not be repeated. Please read the prospectus or other applicable offering document before investing. Investors should consult with their advisors prior to investing.

The information contained herein is not an offer to sell nor a solicitation to buy any security. Such an offer can only be made by prospectus or other applicable offering document.

There are ongoing fees and expenses associated with owning units of an investment fund. An investment fund must prepare disclosure documents that contain key information about the fund. You can find more detailed information about the fund in these documents.

Starlight, Starlight Investments, Starlight Capital and all other related Starlight logos are trademarks of Starlight Group Property Holdings Inc.

© Copyright 2024 Starlight Investments Capital LP. All Rights Reserved.

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