As of January 31, 2026

Foyston, Gordon & Payne Canadian Equity Basket - F Series

What is a Basket?

It is an investment model that is managed by a professional portfolio manager on a discretionary basis in your brokerage account. You directly own its underlying securities and receive the dividends and/or interest paid.

Investment Strategy

The equity portfolio mostly consists of a value-oriented style of Canadian large capitalization stocks that provide a broad, diversified exposure to the Canadian economy and liquidity forthe portfolio with a low turnover. Risk will be controlled through defined parameters for security weight and diversification amongst sectors. Security weights are also determined by investment grade, with a smaller weight on a lower grade (poorer stock). Your Investment Advisor may provide you with the complete Investment Policy Statement.

Details

Investment horizon

At least 3 years

Code

762823

Inception Date:

May 18, 2009

Initial minimum investment:

$120,840 CAD*

Subsequent Investment:

$120,840 CAD*

Portfolio Manager:

Foyston, Gordon & Payne inc.

Benchmark:

Morningstar Canada GR CAD

* Contingent on the market value of the Basket and accrued interests/dividends at the time of purchase.

Risk Management

This investment is not guaranteed and its value can go down as well as up.

Medium

How much does it cost?

The following charges will apply at all times in addition to the fees if an agreement has been signed with your investment advisor.

Investment Fees
$1 or more 0.45%

Mandate Statistics

Dividend Yield

2.94

Sector Allocation

Financial Services 33.99%
Energy 21.10%
Telecommunications 7.83%
Basic Materials 6.40%
Consumer Goods 5.68%
Utilities 5.25%
Cash and Cash Equivalent 4.87%
Technology 4.63%
Industrial Goods 4.10%
Consumer Services 3.33%
Other 2.82%

Top Holdings (%)

Bank of Nova Scotia 7.25%
Royal Bank of Canada 7.13%
Canadian Natural Resources Ltd 6.12%
Power Corp of Canada 6.02%
Suncor Energy Inc 5.36%
Canadian Utilities Ltd Cl 5.25%
Canadian Imperial Bank of Commerce 5.21%
BALANCE ( CAD ) 4.87%
Rogers Communications Inc Cl B 4.68%
Nutrien Ltd 4.34%
Total 56.23%

Calendar Returns (%)

YTD 2025 2024 2023 2022 2021 2020
2.77 30.96 13.54 9.24 8.08 38.04 -5.82

Annualized Returns (%)

1
month
3
month
6
month
1
year
3
year
5
year
10
year
Since Inception
2.77 9.03 20.66 32.77 15.63 20.03 12.88 10.20

Returns before management fees