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Fund Report - Standard
For Mawer Investment Management Ltd.
Funds 1 to 12 from 12 found.   Reports Help
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StandardShort-termLong-termSimple Annual ReturnsQuartile Rankings5-Star RatingsKey Facts

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As of March 27, 2015 As of February 28, 2015

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Price $

1 day
$ Chg

30 day %

3 mo %

6 mo %

1 yr %

3 yr %

Incep  (mm/yy)

Charts
/Info
Mawer Balanced Srs A 25.049 0.137 -0.67 8.38 11.69 16.31 15.80 8.85 (02/88) Chart   Price History        
Mawer Canadian Bond Pooled 10.371 0.043 -0.38 5.01



Chart   Price History        
Mawer Canadian Bond Srs A 13.489 0.056 -0.43 4.83 6.05 9.34 4.22 6.58 (06/91) Chart   Price History        
Mawer Canadian Equity Srs A 60.470 -0.009 -0.89 4.93 6.06 17.63 18.02 9.97 (06/91) Chart   Price History        
Mawer Canadian MoneyMarket Series A 10.000 0.000 0.00 0.02 0.02 0.12 0.27
Chart   Price History        
Mawer Global Balanced Srs A 13.000 0.083 -0.76 9.77 14.38 16.89

Chart   Price History        
Mawer Global Equity Srs A 20.866 0.174 -0.98 12.74 19.27 21.60 23.28 15.47 (10/09) Chart   Price History        
Mawer Global Small Cap Srs A 12.185 0.079 -0.58 14.55 16.28 17.59 29.98 14.17 (09/07) Chart   Price History        
Mawer International Equity Series A 51.326 0.462 -0.88 14.93 17.25 18.95 18.91 9.09 (06/89) Chart   Price History        
Mawer New Canada Series A 75.174 0.001 -0.74 0.81 -3.83 10.13 22.49
Chart   Price History        
Mawer Tax Effective Balanced Srs A 31.214 0.163 -0.70 8.36 11.59 16.30 15.78
Chart   Price History        
Mawer US Equity Srs A 37.256 0.400 -1.09 13.76 26.62 29.98 27.16
Chart   Price History        
Up Arrow To add/delete a fund from your Personal Fundlist, click the checkbox at the left and then click Update Fundlist.

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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