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Fund Report - Standard
For Integra Capital Limited
Funds 1 to 13 from 13 found.   Reports Help
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StandardShort-termLong-termSimple Annual ReturnsQuartile Rankings5-Star RatingsKey Facts

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As of October 20, 2017 As of September 30, 2017

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Price $

1 day
$ Chg

30 day %

3 mo %

6 mo %

1 yr %

3 yr %

Incep  (mm/yy)

Charts
/Info
Acadian Core International Equity 7.134 0.065 4.10 3.47 11.73 25.21 15.34 3.83 (09/00) Chart   Price History        
Analytic Global Low Vol 12.677 0.122 3.78 -1.13 0.68 4.76 10.59 12.41 (09/12) Chart   Price History        
Analytic US Low Volatility Equity 8.940 0.118 4.65 -2.68 -4.17 4.19 10.45 13.00 (07/13) Chart   Price History        
Integra Balanced 16.790 0.079 2.80 1.12 2.16 6.07 7.26 8.28 (12/87) Chart   Price History        
Integra Bond 15.832 -0.013 1.02 -1.75 -0.48 -2.63 2.86 8.52 (11/96) Chart   Price History        
Integra Canadian Value Growth 18.784 0.030 3.23 4.03 2.42 9.53 7.04 7.11 (12/98) Chart   Price History        
Integra Diversified 65.676 0.302 2.79 1.11 2.16 6.04 7.29 7.63 (06/87) Chart   Price History        
Integra Emerging Mkt Equity 13.598 0.169 3.57 7.21 14.03 19.08 11.67 6.79 (10/10) Chart   Price History        
Integra Equity 19.884 0.114 3.45 2.04 1.62 8.08 7.18 5.43 (01/87) Chart   Price History        
Integra International Equity 17.457 0.174 4.64 1.66 5.61 10.39 8.83 7.26 (11/96) Chart   Price History        
Integra Newton Global Equity 6.714 0.076 4.08 -0.30 2.06 6.06 11.27 5.81 (12/07) Chart   Price History        
Integra U.S. Value Growth 16.041 0.292 6.25 -1.81 -1.20 8.42 12.88 7.40 (07/98) Chart   Price History        
Lincluden Short Term Investment 1.000 0.000 0.04 0.08 0.28 0.48 0.62
Chart   Price History        
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Click the Fund Name link to view a Fund Profile. Funds highlighted in yellow are offered by Globefund Partners.  To view a chart select . To view fund price history, click  . To order free mutual fund prospectuses for selected funds, click . To view detailed fund information provided by the fund company, click . To view video clips provided by the fund company, click .

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