Fund Objectives
This Fund seeks to deliver long-term, stable growth through interest income and capital growth by investing primarily in Canadian bonds of varying maturities and in short-term securities.
How it Works
The Fund invests only in the securities of Canadian or U.S. issuers, or supranationals. Portions of the Fund's assets are invested in high-quality marketable securities and corporate bonds with maturities of between 2 and 30 years. In order to enhance yield, some of the Fund's assets may be invested in below investment grade and/or unrated securities.
For specific details concerning the fund's investment
strategies, please consult the AEGON Fund Management imaxxFunds
Simplified Prospectus.
For Investors Seeking
- Income and capital gains from Canadian fixed-income securities.
- A medium-term investment.
Risk
The Fund Manages Risk Through
- Credit quality management.
- Duration (term to maturity) management.
- Liquidity management.
The Managers
Fund Manager:
AEGON Fund Management Inc.
Portfolio Manager:
AEGON Capital Management Inc.
Mutual funds are not guaranteed and are not covered
by the Canada Deposit Insurance Corporation or by any other government
deposit insurer. The performance of mutual fund investments will fluctuate
and may be positive or negative, as reported by its rate of return. The
rate of return for any mutual fund cannot be guaranteed. Commissions,
trailing commissions, management fees and expenses all may be associated
with mutual fund investments. Please read the imaxxFunds Simplified Prospectus
before investing.
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