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Fund Report - Standard
For Natcan Investment Mgmt. Inc.
Funds 1 to 50 from 130 found.   Reports Help
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StandardShort-termLong-termSimple Annual ReturnsQuartile Rankings5-Star RatingsKey Facts Next

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As of March 23, 2017 As of February 28, 2017

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Fund name

Price $

1 day
$ Chg

30 day %

3 mo %

6 mo %

1 yr %

3 yr %

Incep  (mm/yy)

Charts
/Info
Meritage Canadian Eqty Portfolio F 17.630 0.120 -1.95 2.32 5.89 19.63 7.24 6.03 (09/06) Chart   Price History        
Meritage Equity Portfolio F 15.930 0.070 -0.19 3.25 5.10 16.95

Chart   Price History        
Meritage Global Bal Port T5/DSC 10.160 0.030 0.02 2.97 3.11 10.88
6.43 (08/14) Chart   Price History        
Meritage Global Bal Port T5/ISC 10.160 0.030 0.02 2.97 3.11 10.88
6.43 (08/14) Chart   Price History        
Meritage Global Bal Port T5/LSC 10.160 0.030 0.02 2.97 3.11 10.88
6.43 (08/14) Chart   Price History        
Meritage Global Balanced Port A/DSC 11.140 0.030 0.00 2.86 3.04 10.70
6.36 (08/14) Chart   Price History        
Meritage Global Balanced Port A/ISC 11.140 0.030 0.00 2.86 3.04 10.70
6.36 (08/14) Chart   Price History        
Meritage Global Balanced Port A/LSC 11.140 0.030 0.00 2.86 3.04 10.70
6.36 (08/14) Chart   Price History        
Meritage Global Balanced Port F 11.090 0.040 0.18 3.26 3.69 12.11
7.59 (08/14) Chart   Price History        
Meritage Global Balanced Port F5 10.500 0.030 0.13 3.21 3.57 12.01
7.55 (08/14) Chart   Price History        
Meritage Growth Portfolio F 15.150 0.060 -0.13 2.93 3.85 14.39

Chart   Price History        
Meritage Tactical ETF Equity - Adv 10.620 0.040 0.76 4.62 5.14

5.98 (08/16) Chart   Price History        
Meritage Tactical ETF Equity - F 10.650 0.040 0.85 4.90 5.84

6.69 (08/16) Chart   Price History        
Meritage Tactical ETF Equity - F5 10.510 0.040 0.89 5.07 5.95

6.80 (08/16) Chart   Price History        
Meritage Tactical ETF Equity - T5 9.720 0.040 0.82 4.72 5.29

6.13 (08/16) Chart   Price History        
MTG Glb Aggressive Gro Cl Pfl A/DSC 11.450 0.050 0.44 4.20 5.94 14.10
14.10 (03/16) Chart   Price History        
MTG Glb Aggressive Gro Cl Pfl A/FE 11.450 0.050 0.44 4.20 5.94 14.10
14.10 (03/16) Chart   Price History        
MTG Glb Aggressive Gro Cl Pfl A/LL 11.450 0.050 0.44 4.20 5.94 14.10
14.10 (03/16) Chart   Price History        
MTG Glb Aggressive Gro Cl Pfl T5/FE 10.900 0.040 0.41 4.19 5.84 13.99
13.99 (03/16) Chart   Price History        
MTG Glb Aggressive Growth Cl Pfl F 11.610 0.040 0.43 4.52 6.64 15.70
15.70 (03/16) Chart   Price History        
MTG Glb Aggressive Growth Cl Pfl F5 11.080 0.050 0.50 4.53 6.66 15.74
15.74 (03/16) Chart   Price History        
MTG Glb Growth Class Port A/DSC 11.250 0.040 0.27 3.55 4.32 12.25
12.25 (03/16) Chart   Price History        
MTG Glb Growth Class Port A/FE 11.250 0.040 0.27 3.55 4.32 12.25
12.25 (03/16) Chart   Price History        
MTG Glb Growth Class Port A/LL 11.250 0.040 0.27 3.55 4.32 12.25
12.25 (03/16) Chart   Price History        
MTG Glb Growth Class Port F 11.390 0.040 0.35 3.89 4.94 13.55
13.55 (03/16) Chart   Price History        
MTG Glb Growth Class Port F5 10.860 0.040 0.41 3.85 4.99 13.60
13.60 (03/16) Chart   Price History        
MTG Glb Growth Class Port T5/FE 10.720 0.040 0.32 3.59 4.34 12.26
12.26 (03/16) Chart   Price History        
MTG Global Aggressive Gro Port A/FE 11.220 0.050 0.36 4.09 5.93 14.51
14.51 (03/16) Chart   Price History        
MTG Global Aggressive Gro Port A/LL 11.220 0.050 0.36 4.09 5.93 14.51
14.51 (03/16) Chart   Price History        
MTG Global Aggressive Gro Port F5 10.470 0.040 0.41 4.59 6.82 16.23
16.23 (03/16) Chart   Price History        
MTG Global Aggressive Growth Port F 10.970 0.050 0.46 4.51 6.76 16.16
16.16 (03/16) Chart   Price History        
MTG Global Aggrssv Gro Port A/DSC 11.220 0.050 0.36 4.09 5.93 14.51
14.51 (03/16) Chart   Price History        
MTG Global Aggrssv Gro Port T5/DSC 10.550 0.050 0.31 4.21 6.05 14.53
14.53 (03/16) Chart   Price History        
MTG Global Aggrssv Gro Port T5/FE 10.550 0.050 0.31 4.21 6.05 14.53
14.53 (03/16) Chart   Price History        
MTG Global Aggrssv Gro Port T5/LL 10.550 0.050 0.31 4.21 6.05 14.53
14.53 (03/16) Chart   Price History        
MTG Global Conservative Port A/DSC 10.290 0.020 0.39 2.09 0.60 5.87
5.87 (03/16) Chart   Price History        
MTG Global Conservative Port A/FE 10.290 0.020 0.39 2.09 0.60 5.87
5.87 (03/16) Chart   Price History        
MTG Global Conservative Port A/LL 10.290 0.020 0.39 2.09 0.60 5.87
5.87 (03/16) Chart   Price History        
MTG Global Conservative Port F 10.300 0.010 0.39 2.31 1.02 6.80
6.80 (03/16) Chart   Price History        
MTG Global Conservative Port F5 9.950 0.020 0.51 2.19 0.94 6.66
6.66 (03/16) Chart   Price History        
MTG Global Conservative Port T5/DSC 9.850 0.010 0.41 2.10 0.64 5.94
5.94 (03/16) Chart   Price History        
MTG Global Conservative Port T5/FE 9.850 0.010 0.41 2.10 0.64 5.94
5.94 (03/16) Chart   Price History        
MTG Global Conservative Port T5/LL 9.850 0.010 0.41 2.10 0.64 5.94
5.94 (03/16) Chart   Price History        
MTG Global Growth Port A/DSC 11.020 0.030 0.27 3.58 4.36 12.52
12.52 (03/16) Chart   Price History        
MTG Global Growth Port A/FE 11.020 0.030 0.27 3.58 4.36 12.52
12.52 (03/16) Chart   Price History        
MTG Global Growth Port A/LL 11.020 0.030 0.27 3.58 4.36 12.52
12.52 (03/16) Chart   Price History        
MTG Global Growth Port F 11.170 0.040 0.36 3.81 4.89 13.78
13.78 (03/16) Chart   Price History        
MTG Global Growth Port F5 10.640 0.030 0.32 3.79 4.92 13.84
13.84 (03/16) Chart   Price History        
MTG Global Growth Port T5/DSC 10.500 0.030 0.22 3.56 4.30 12.43
12.43 (03/16) Chart   Price History        
MTG Global Growth Port T5/FE 10.500 0.030 0.22 3.56 4.30 12.43
12.43 (03/16) 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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