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Canada Life Risk-Managed Growth Portfolio 75/100 PP (0P0001KWME.TO)

Toronto - Toronto Delayed Price. Currency in CAD
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11.030.00 (0.00%)
At close: 03:00PM EST

Overall Portfolio Composition (%)

Cash2.08%
Stocks33.35%
Bonds7.32%
Others43.09%
Preferred0.01%
Convertable0.22%

Sector Weightings (%)

Sector(s)
0P0001KWME.TO
Basic Materials
2.05%
Consumer Cyclical
3.98%
Financial Services
6.56%
Real Estate
0.79%
Consumer Defensive
2.74%
Healthcare
2.70%
Utilities
2.03%
Communication Services
2.47%
Energy
2.28%
Industrials
3.65%
Technology
5.02%

Equity Holdings

Average0P0001KWME.TOCategory Average
Price/Earnings11.5817.5
Price/Book3.042.14
Price/Sales1.981.59
Price/Cashflow12.537.33
Median Market Cap63,621.8133,338.43
3 Year Earnings Growth7.868.2

Bond Holdings

Average0P0001KWME.TOCategory Average
MaturityN/AN/A
DurationN/AN/A
Credit QualityN/AN/A

Bond Ratings

Sector(s)0P0001KWME.TO
US Government0.00%
AAA8.92%
AA8.43%
A10.66%
BBB33.23%
BB17.29%
B12.17%
Below B2.39%
Others6.90%

Top 10 Holdings (85.00% of Total Assets)

NameSymbol% Assets
Canada Life Risk Reduction PoolN/A25.00%
CAN Ivy Foreign Eq (M) 75/75N/A8.00%
CAN Path Gl T (ILIM)(75/75)N/A8.00%
CAN Gbl Founders (BG) 75/75N/A7.00%
CAN Pathways Glb M Sec B (B) 75/75N/A7.00%
Emerging Markets EtfN/A7.00%
CAN Pathways Cdn Eq (GWLIM) 75/75N/A6.00%
CAN U.S. Growth (PUT) 75/75N/A6.00%
Canadian Aggregate Bond EtfN/A6.00%
CAN Cdn Low Vol (LC) 75/75N/A5.00%