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June 24, 2021

CI Global Asset Management Announces Fund Name Changes to Reflect Integrated Investment Management Platform

TORONTO (June 24, 2021) – CI Global Asset Management (“CI GAM”) today announced the renaming of 156 investment funds as part of a strategic initiative to modernize its business and product lineup. CI GAM also announced risk rating changes for four of those mandates, as well as its intention to discontinue deferred, intermediate deferred and low load sales charge purchase options for all CI mutual funds effective June 1, 2022.

 

“Rebranding our funds reflects the important changes we have made in building CI GAM into an integrated global investment platform with a strong lineup of relevant investment solutions that will help today’s investors meet their financial goals,” said Kurt MacAlpine, Chief Executive Officer of CI Financial Corp., parent company of CI GAM.

 

The name changes support CI GAM’s integration of its in-house investment boutiques into a single investment team operating under the CI Global Asset Management name. This reorganization has allowed for greater collaboration and sharing of insights and best practices across the organization and increased the depth and breadth of CI GAM’s research coverage. The change was initiated in the fall of 2020 when CI Investments Inc. rebranded to CI Global Asset Management.

 

Now, with the fund name changes, the legacy boutique brands will be retired and the funds will be aligned under a single brand with national recognition.

 

“The changes emphasize for investors that our funds benefit from the full breadth and depth of expertise of CI GAM, one of Canada’s largest investment managers and a firm with extensive global capabilities and experience,” Mr. MacAlpine said.

 

This news follows CI GAM’s appointment of Marc-André Lewis as its first-ever Head of Investment Management. Mr. Lewis, who was previously Head of Portfolio Construction at the Abu Dhabi Investment Authority, one of the world’s largest and most sophisticated institutional investors, will join CI GAM in September. With his diverse background spanning all asset classes, asset allocation, portfolio construction, risk management, and public and private markets, he will lead the continued development of CI GAM’s integrated investment team.

 

CI GAM has also introduced a series of innovative new products over the last 18 months, including mandates focused on cryptocurrencies, gold bullion, the longevity economy, fixed income, and alternative investments.

 

“Having a unified investment team and a unified brand simplifies our offering for clients and makes it easier for investors and advisors to do business with us,” Mr. MacAlpine said. “As part of these changes, we are also bringing consistency to our naming conventions and ensuring that our fund names better represent their investment mandates.”

 

The name changes will be implemented in two phases. Fifty-five funds – primarily Sentry-branded funds – are being renamed as of June 25, 2021 and another 101 funds will be renamed effective July 29, 2021. There are no changes to the investment objectives or portfolio managers of the funds with these changes.

 

Name changes

 

The following changes will be effective June 25, 2021:

 

Current NameNew Name
Private Trusts
Sentry Canadian Core Fixed Income Private TrustCI Canadian Core Fixed Income Private Trust
Sentry Canadian Equity Income Private TrustCI Canadian Equity Income Private Trust
Sentry Energy Private TrustCI Energy Private Trust
Sentry Global Core Fixed Income Private TrustCI Global Core Fixed Income Private Trust
Sentry Global High Yield Fixed Income Private TrustCI Global High Yield Fixed Income Private Trust
Sentry Global Infrastructure Private TrustCI Global Infrastructure Private Trust
Sentry Global Real Estate Private TrustCI Global Real Estate Private Trust
Sentry International Equity Income Private TrustCI International Equity Income Private Trust
Sentry Precious Metals Private TrustCI Precious Metals Private Trust
Sentry U.S. Equity Income Private TrustCI U.S. Equity Income Private Trust
Mutual Funds
Cambridge Global Dividend ClassCI Global Dividend Opportunities Class
CI Lawrence Park Alternative Investment Grade Credit FundCI Alternative Investment Grade Credit Fund
Sentry All Cap Income ClassCI Canadian All Cap Equity Income Class
Sentry All Cap Income FundCI Canadian All Cap Equity Income Fund
Sentry Balanced Income PortfolioCI Balanced Income Personal Portfolio
Sentry Balanced Yield Private Pool ClassCI Balanced Yield Private Pool Class
Sentry Canadian Equity Income Private Pool ClassCI Canadian Equity Income Private Pool Class
Sentry Canadian Income ClassCI Canadian Equity Income Class
Sentry Canadian Income FundCI Canadian Equity Income Fund
Sentry Conservative Balanced Income ClassCI Conservative Balanced Income Class
Sentry Conservative Balanced Income FundCI Conservative Balanced Income Fund
Sentry Conservative Income PortfolioCI Conservative Income Personal Portfolio
Sentry Defensive Income PortfolioCI Defensive Income Personal Portfolio
Sentry Global Balanced Yield Private Pool ClassCI Global Balanced Yield Private Pool Class
Sentry Global Equity Income Private Pool ClassCI Global Equity Income Private Pool Class
Sentry Global Investment Grade Private Pool ClassCI Global Investment Grade Private Pool Class
Sentry Growth and Income PortfolioCI Growth & Income Personal Portfolio
Sentry Growth PortfolioCI Growth Personal Portfolio
Sentry International Equity Income Private Pool ClassCI International Equity Income Private Pool Class
Sentry Precious Metals ClassCI Precious Metals Class
Sentry Precious Metals FundCI Precious Metals Fund
Sentry Resource Opportunities ClassCI Resource Opportunities Class
Sentry Small/Mid Cap Income ClassCI Canadian Small/Mid Cap Equity Income Class
Sentry Small/Mid Cap Income FundCI Canadian Small/Mid Cap Equity Income Fund
Sentry U.S. Equity Income Currency Neutral Private Pool ClassCI U.S. Equity Income Currency Neutral Private Pool Class
Sentry U.S. Equity Income Private Pool ClassCI U.S. Equity Income Private Pool Class
Sentry U.S. Growth and Income ClassCI U.S. Equity Income Class
Sentry U.S. Growth and Income Currency Neutral ClassCI U.S. Equity Income Currency Neutral Class
Sentry U.S. Growth and Income FundCI U.S. Equity Income Fund
Sentry U.S. Monthly Income FundCI U.S. Equity & Income Fund
Signature Corporate Bond ClassCI Corporate Bond Class
Signature Global Infrastructure FundCI Global Infrastructure Fund
Signature Global REIT ClassCI Global REIT Class
Signature Global REIT FundCI Global REIT Fund
Signature High Yield Bond ClassCI High Yield Bond Class
Real Income
Sentry Real Growth Pool ClassCI Real Growth Pool Class
Sentry Real Long Term Income Pool ClassCI Real Long Term Income Pool Class
Sentry Real Long Term Income TrustCI Real Long Term Income Trust
Sentry Real Mid Term Income Pool ClassCI Real Mid Term Income Pool Class
Sentry Real Mid Term Income TrustCI Real Mid Term Income Trust
Sentry Real Short Term Income Pool ClassCI Real Short Term Income Pool Class
Sentry Real Short Term Income TrustCI Real Short Term Income Trust
Sentry Real Income 1941-45 ClassCI Real Income 1941-45 Class
Sentry Real Income 1946-50 ClassCI Real Income 1946-50 Class
Sentry Real Income 1951-55 ClassCI Real Income 1951-55 Class

 

The following changes will be effective July 29, 2021:

 

Current Fund NameNew Fund Name
Black Creek Global Balanced Corporate ClassCI Black Creek Global Balanced Corporate Class
Black Creek Global Balanced FundCI Black Creek Global Balanced Fund
Black Creek Global Leaders Corporate ClassCI Black Creek Global Leaders Corporate Class
Black Creek Global Leaders FundCI Black Creek Global Leaders Fund
Black Creek International Equity Corporate ClassCI Black Creek International Equity Corporate Class
Black Creek International Equity FundCI Black Creek International Equity Fund
Cambridge Asset Allocation Corporate ClassCI Canadian Asset Allocation Corporate Class
Cambridge Asset Allocation FundCI Canadian Asset Allocation Fund
Cambridge Bond FundCI Canadian Core Plus Bond Fund
Cambridge Canadian Dividend Corporate ClassCI Canadian Dividend Corporate Class
Cambridge Canadian Dividend FundCI Canadian Dividend Fund
Cambridge Canadian Equity Corporate ClassCI Canadian Equity Corporate Class
Cambridge Canadian Equity FundCI Canadian Equity Fund
Cambridge Canadian Long-Term Bond PoolCI Canadian Long-Term Bond Pool
Cambridge Canadian Short-Term Bond PoolCI Canadian Short-Term Bond Pool
Cambridge Global Dividend Corporate ClassCI Global Dividend Opportunities Corporate Class
Cambridge Global Dividend FundCI Global Dividend Opportunities Fund
Cambridge Global Equity Corporate ClassCI Global Equity Corporate Class
Cambridge Global Equity FundCI Global Equity Fund
Cambridge Global High Income FundCI Global Equity & Income Fund
Cambridge Global Smaller Companies Corporate ClassCI Global Smaller Companies Corporate Class
Cambridge Global Smaller Companies FundCI Global Smaller Companies Fund
Cambridge Pure Canadian Equity Corporate ClassCI Pure Canadian Small/Mid Cap Equity Corporate Class
Cambridge Pure Canadian Equity FundCI Pure Canadian Small/Mid Cap Equity Fund
Cambridge Stock Selection FundCI Global Analysts Selection Fund
Cambridge U.S. Dividend FundCI U.S. Dividend Fund
Cambridge U.S. Dividend Registered FundCI U.S. Dividend Registered Fund
Cambridge U.S. Dividend US$ FundCI U.S. Dividend US$ Fund
CI American Value Corporate ClassCI U.S. Stock Selection Corporate Class 
CI American Value FundCI U.S. Stock Selection Fund
CI Canadian Small/Mid Cap FundCI Canadian Small/Mid Cap Managed Fund
CI U.S. Income US$ PoolCI U.S. Income US$ Fund
Marret Short Duration High Yield FundCI Marret Short Duration High Yield Fund
Portfolio Series Balanced FundCI Portfolio Series Balanced Fund
Portfolio Series Balanced Growth FundCI Portfolio Series Balanced Growth Fund
Portfolio Series Conservative Balanced FundCI Portfolio Series Conservative Balanced Fund
Portfolio Series Conservative FundCI Portfolio Series Conservative Fund
Portfolio Series Growth FundCI Portfolio Series Growth Fund
Portfolio Series Income FundCI Portfolio Series Income Fund
Portfolio Series Maximum Growth FundCI Portfolio Series Maximum Growth Fund
Select 100e Managed Portfolio Corporate ClassCI Select 100e Managed Portfolio Corporate Class
Select 20i80e Managed Portfolio Corporate ClassCI Select 20i80e Managed Portfolio Corporate Class
Select 30i70e Managed Portfolio Corporate ClassCI Select 30i70e Managed Portfolio Corporate Class
Select 40i60e Managed Portfolio Corporate ClassCI Select 40i60e Managed Portfolio Corporate Class
Select 50i50e Managed Portfolio Corporate ClassCI Select 50i50e Managed Portfolio Corporate Class
Select 60i40e Managed Portfolio Corporate ClassCI Select 60i40e Managed Portfolio Corporate Class
Select 70i30e Managed Portfolio Corporate ClassCI Select 70i30e Managed Portfolio Corporate Class
Select 80i20e Managed Portfolio Corporate ClassCI Select 80i20e Managed Portfolio Corporate Class
Select Canadian Equity Managed Corporate ClassCI Select Canadian Equity Managed Corporate Class
Select Canadian Equity Managed FundCI Select Canadian Equity Managed Fund
Select Income Managed Corporate ClassCI Select Income Managed Corporate Class
Select International Equity Managed Corporate ClassCI Select International Equity Managed Corporate Class
Select International Equity Managed FundCI Select International Equity Managed Fund
Select Staging FundCI Select Staging Fund
Select U.S. Equity Managed Corporate ClassCI Select U.S. Equity Managed Corporate Class
Select U.S. Equity Managed FundCI Select U.S. Equity Managed Fund
Sentry U.S. Growth and Income Corporate ClassCI U.S. Equity Income Corporate Class
Signature Asian Opportunities Corporate ClassCI Asian Opportunities Corporate Class
Signature Asian Opportunities FundCI Asian Opportunities Fund
Signature Canadian Balanced Corporate ClassCI Canadian Balanced Corporate Class
Signature Canadian Balanced FundCI Canadian Balanced Fund
Signature Canadian Bond Corporate ClassCI Canadian Bond Corporate Class
Signature Canadian Bond FundCI Canadian Bond Fund
Signature Core Bond Plus FundCI Global Core Plus Bond Fund
Signature Corporate Bond Corporate ClassCI Corporate Bond Corporate Class
Signature Corporate Bond FundCI Corporate Bond Fund
Signature Diversified Yield Corporate ClassCI Diversified Yield Corporate Class
Signature Diversified Yield FundCI Diversified Yield Fund
Signature Dividend Corporate ClassCI Dividend Income & Growth Corporate Class
Signature Dividend FundCI Dividend Income & Growth Fund
Signature Emerging Markets Corporate ClassCI Emerging Markets Corporate Class
Signature Emerging Markets FundCI Emerging Markets Fund
Signature Floating Rate Income FundCI Floating Rate Income Fund
Signature Global Bond Corporate ClassCI Global Bond Corporate Class
Signature Global Bond FundCI Global Bond Fund
Signature Global Dividend Corporate ClassCI Global Dividend Corporate Class
Signature Global Dividend FundCI Global Dividend Fund
Signature Global Energy Corporate ClassCI Global Energy Corporate Class
Signature Global Equity Corporate ClassCI Select Global Equity Corporate Class
Signature Global Equity FundCI Select Global Equity Fund
Signature Global Income & Growth Corporate ClassCI Global Income & Growth Corporate Class
Signature Global Income & Growth FundCI Global Income & Growth Fund
Signature Global Resource Corporate ClassCI Global Resource Corporate Class
Signature Global Resource FundCI Global Resource Fund
Signature Global Technology Corporate ClassCI Global Alpha Innovators Corporate Class
Signature Gold Corporate ClassCI Gold Corporate Class
Signature High Income Corporate ClassCI High Income Corporate Class
Signature High Income FundCI High Income Fund
Signature High Yield Bond Corporate ClassCI High Yield Bond Corporate Class
Signature High Yield Bond FundCI High Yield Bond Fund
Signature Income & Growth Corporate ClassCI Canadian Income & Growth Corporate Class
Signature Income & Growth FundCI Canadian Income & Growth Fund
Signature Preferred Share FundCI Preferred Share Fund
Signature Select Canadian Corporate ClassCI Select Canadian Equity Corporate Class
Signature Select Canadian FundCI Select Canadian Equity Fund
Signature Short-Term Bond FundCI Short-Term Bond Fund
Signature Systematic Yield PoolCI Systematic Yield Pool
Synergy American Corporate ClassCI Synergy American Corporate Class
Synergy American FundCI Synergy American Fund
Synergy Canadian Corporate ClassCI Synergy Canadian Corporate Class
Synergy Global Corporate ClassCI Synergy Global Corporate Class

 

Risk rating changes

 

The following risk rating changes are effective immediately and are based on the risk classification methodology mandated by the Canadian Securities Administrators to determine the risk level of mutual funds. CI GAM reviews the risk rating for each of the funds it manages at least on an annual basis, as well as when a fund undergoes a material change. These changes are the result of an annual review and are not the result of any changes to the investment objectives, strategies or management of the funds.

 

Fund Name (as of June 25, 2021)New RatingPrevious Rating
CI Conservative Balanced Income ClassLow-to-MediumLow
CI Conservative Balanced Income FundLow-to-MediumLow
CI Global Infrastructure Private TrustLow-to-MediumMedium
CI Canadian All Cap Equity Income ClassMediumLow-to-Medium

 

Changes to sales charge purchase options

 

CI GAM intends to discontinue its deferred sales charge, intermediate deferred sales charge and low load sales charge purchase options for all CI mutual funds effective June 1, 2022. Investors who purchased units under these sales charge options will continue to be subject to the redemption fee schedules under which they were purchased. Switches between funds of then-existing units acquired under these options will continue to be available after the effective date.

About CI Global Asset Management

 

CI Global Asset Management is one of Canada’s largest investment management companies. It offers a wide range of investment products and services and is on the Web at www.ci.com. CI GAM is a subsidiary of CI Financial Corp. (TSX: CIX, NYSE: CIXX), an independent company offering global asset management and wealth management advisory services with approximately $288.3 billion in total assets as at May 31, 2021.

 

Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments, including investments in ETFs. You will usually pay brokerage fees to your dealer if you purchase or sell units of an ETF on recognized Canadian exchanges. If the units are purchased or sold on these Canadian exchanges, investors may pay more than the current net asset value when buying units of the ETF and may receive less than the current net asset value when selling them. Please read the prospectus before investing. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated.

 

This document is provided as a general source of information and should not be considered personal, legal, accounting, tax or investment advice, or construed as an endorsement or recommendation of any entity or security discussed. Every effort has been made to ensure that the material contained in this document is accurate at the time of publication. Individuals should seek the advice of professionals, as appropriate, regarding any particular investment. Investors should consult their professional advisors prior to implementing any changes to their investment strategies.

 

Certain statements in this document are forward-looking. Forward-looking statements (“FLS”) are statements that are predictive in nature, depend upon or refer to future events or conditions, or that include words such as “may,” “will,” “should,” “could,” “expect,” “anticipate,” “intend,” “plan,” “believe,” or “estimate,” or other similar expressions. Statements that look forward in time or include anything other than historical information are subject to risks and uncertainties, and actual results, actions or events could differ materially from those set forth in the FLS. FLS are not guarantees of future performance and are by their nature based on numerous assumptions. Although the FLS contained herein are based upon what CI Global Asset Management believes to be reasonable assumptions, CI Global Asset Management cannot assure that actual results will be consistent with these FLS. The reader is cautioned to consider the FLS carefully and not to place undue reliance on FLS. Unless required by applicable law, it is not undertaken, and specifically disclaimed that there is any intention or obligation to update or revise FLS, whether as a result of new information, future events or otherwise.

 

CI Global Asset Management is a registered business name of CI Investments Inc. ©CI Investments Inc. 2021. All rights reserved.

 

Contact

Murray Oxby
Vice-President, Corporate Communications
CI Global Asset Management
416-681-3254
moxby@ci.com