Asset Allocation
This portfolio is invested in the following assets.
Stocks - 64.5%
-
US Equities35%
-
International Equities17.5%
-
Canadian Equities12%
Bonds - 25.5%
-
High-Yield Bonds12.5%
-
Corporate Bonds13%
Other - 10%
-
Real Estate10%
Asset allocation as of September 30, 2021
Asset Allocation
This portfolio is invested in the following assets.
Stocks - 67%
-
Canadian Equities25%
-
US Equities23%
-
International Equities19%
Bonds - 26%
-
Corporate Bonds12%
-
High-Yield Bonds8%
-
Government Bonds2%
-
Other Bonds4%
Other - 7%
-
Emerging Markets7%
Asset allocation as of September 30, 2021
Asset Allocation
This portfolio is invested in the following assets.
Stocks - 11%
-
International Equities8%
-
Canadian Equities3%
Bonds - 27.5%
-
Government Bonds18%
-
Corporate Bonds8%
-
High-Yield Bonds1.5%
Other - 61.5%
-
Mortgages30%
-
Real Estate16%
-
Private Debt4%
-
Private Equity4%
-
Alternative Strategies2.5%
-
Fixed Income2.5%
-
Preferred Shares2.5%
Asset allocation as of September 30, 2021
Asset Allocation
This portfolio is invested in the following assets.
Stocks - 64.5%
-
US Equities35.0%
-
International Equities17.5%
-
Canadian Equities12.0%
Bonds - 25.5%
-
High-Yield Bonds12.5%
-
Corporate Bonds13.0%
Other - 10%
-
Real Estate10%
Asset allocation as of September 30, 2021