Asset Allocation

This portfolio is invested in the following assets.
Stocks - 64.5%
Stocks
  • US Equities
    35%
  • International Equities
    17.5%
  • Canadian Equities
    12%
Bonds - 25.5%
Bonds
  • High-Yield Bonds
    12.5%
  • Corporate Bonds
    13%
Other - 10%
Other
  • Real Estate
    10%
Asset allocation as of September 30, 2021

Asset Allocation

This portfolio is invested in the following assets.
Stocks - 67%
Stocks
  • Canadian Equities
    25%
  • US Equities
    23%
  • International Equities
    19%
Bonds - 26%
Bonds
  • Corporate Bonds
    12%
  • High-Yield Bonds
    8%
  • Government Bonds
    2%
  • Other Bonds
    4%
Other - 7%
Other
  • Emerging Markets
    7%
Asset allocation as of September 30, 2021

Asset Allocation

This portfolio is invested in the following assets.
Stocks - 11%
Stocks
  • International Equities
    8%
  • Canadian Equities
    3%
Bonds - 27.5%
Bonds
  • Government Bonds
    18%
  • Corporate Bonds
    8%
  • High-Yield Bonds
    1.5%
Other - 61.5%
Other
  • Mortgages
    30%
  • Real Estate
    16%
  • Private Debt
    4%
  • Private Equity
    4%
  • Alternative Strategies
    2.5%
  • Fixed Income
    2.5%
  • Preferred Shares
    2.5%
Asset allocation as of September 30, 2021

Asset Allocation

This portfolio is invested in the following assets.
Stocks - 64.5%
Stocks
  • US Equities
    35.0%
  • International Equities
    17.5%
  • Canadian Equities
    12.0%
Bonds - 25.5%
Bonds
  • High-Yield Bonds
    12.5%
  • Corporate Bonds
    13.0%
Other - 10%
Other
  • Real Estate
    10%
Asset allocation as of September 30, 2021