As of October 31, 2025

Unified Canadian Equity Blend 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 Canadian equity investments in your basket are made up of actively managed Mutual Funds and passive Exchange Traded Funds (ETFs) in order to achieve the ideal combination of capital preservation, long-term returns and reduced management fees. The selection of securities is made by the myWealth Unified investment committee, which identifies the best available opportunities based on the established objectives and attractiveness of the strategies evaluated.

Details

Investment horizon

At least 5 year

Code

7CDAVU

Inception Date:

April 1, 2016

Initial minimum investment:

$25,087 CAD*

Subsequent Investment:

$12,543 CAD*

Portfolio Manager:

National Bank Financial

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 0.15%

Mandate Statistics

Dividend Yield

2.52

Sector Allocation

Financial Services 32.03%
Basic Materials 16.01%
Energy 14.16%
Technology 8.40%
Industrial Services 7.90%
Consumer Services 5.64%
Real Estate 3.87%
Utilities 3.38%
Other 3.14%
Telecommunications 3.09%
Consumer Goods 2.38%

Top Holdings (%)

BMO S&P/TSX Capped Composite Index ETF (ZCN) 25.53%
NBI Equity Income Private Portfolio F5 Series 22.93%
Manulife Smart Dividend ETF (CDIV) 20.17%
Fidelity Canadian Core Equity Institutional Trust 15.78%
Mackenzie Canadian Dividend Fund Series 15.21%
BALANCE ( CAD ) 0.39%
Total 100.01%

Calendar Returns (%)

YTD 2024 2023 2022 2021 2020 2019
20.77 17.63 8.29 -3.03 28.42 -4.96 24.18

Annualized Returns (%)

1
month
3
month
6
month
1
year
3
year
5
year
10
year
Since Inception
-0.13 8.36 18.41 22.29 15.51 16.71 - 10.30

Returns before management fees