Results of New Fund Reviews
An investment fund is considered "new" from the date of its inception. Once the fund has registered with at least one of the data provider firms on the CIFSC, the fund is brought to the Committee's monthly meeting for placement into the most appropriate category. The committee will estimate the most appropriate category based on the fund's stated intentions (as described in the fund's investment objective and strategy).
Select a month to see the results of the New Fund Reviews from that meeting:
2010
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec2009
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec2008
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov DecResults of New Fund Reviews - Oct 22, 2009
| Fund: | Auspice Diversified Commodity |
| Category Placement: | Alternative Strategies |
| Fund: | iShares CDN MSCI Emerging Markets Index Fund |
| Category Placement: | Emerging Markets Equity |
| Fund: | Manulife Canadian Equity Index Fund Series O |
| Category Placement: | Canadian Equity |
| Fund: | North Pole Multi-Strategy Series A |
| Category Placement: | Alternative Strategies |
| Fund: | Pender Corporate Bond A |
| Category Placement: | High Yield Fixed Income |
| Fund: | Pender Small Cap Opportunities A |
| Category Placement: | Canadian Small/Mid Cap Equity |
| Fund: | Russell Canadian Dividend Class B C$ |
| Category Placement: | Canadian Dividend & Income Equity |
| Fund: | SSgA Active Canadian Universe Bond |
| Category Placement: | Canadian Fixed Income |
| Fund: | SSgA Canadian Real Return Bond |
| Category Placement: | Canadian Inflation Protected Fixed Income |
| Fund: | United US Equity Alpha Corporate Class E |
| Category Placement: | U.S. Equity |
