Last updated: Jun-15-2018
 
FUND LISTING BY GEOGRAPHIC REGION
6/18/2018 1:35:44 PM
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Filter Description: Holding Positions in ISRAEL  
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X Fund Name FundGrade 3 yr 4 yr 5 yr 7 yr 10 yr 15 yr 20 yr Life Update Date Performance
PowerShares FTSE RAFI Global+ Fundamental Fund A   D3.582.946.014.88------5.495/31/2018 See Performance Chart
DFA U.S. Vector Equity Fund Class A(H)   C6.516.318.929.04------11.495/31/2018 See Performance Chart
DFA U.S. Vector Equity Fund Class F(H)   C7.747.5410.1810.31------11.635/31/2018 See Performance Chart
Scotia INNOVA Income Portfolio Series T   D1.572.463.173.50------3.915/31/2018 See Performance Chart
Scotia INNOVA Balanced Income Portfolio Series T   C2.173.224.244.22------4.625/31/2018 See Performance Chart
Scotia INNOVA Balanced Growth Portfolio Series T   C3.294.646.035.41------5.705/31/2018 See Performance Chart
BMO Nasdaq 100 Equity Hedged to CAD Indx ETF (ZQQ)   15.8617.3019.1417.28------17.645/31/2018 See Performance Chart
BMO Global Low Volatility ETF Class Series A   D1.373.694.664.47------4.235/31/2018 See Performance Chart
BMO Global Low Volatility ETF Class Advisor Series   D1.363.694.664.46------4.165/31/2018 See Performance Chart
BMO Global Low Volatility ETF Class Series F   D2.314.675.665.46------5.145/31/2018 See Performance Chart
BMO Income ETF Portfolio Class - Advisor   D1.182.913.373.11------3.185/31/2018 See Performance Chart
BMO Income ETF Portfolio Class - F   D2.314.064.524.20------4.245/31/2018 See Performance Chart
BMO Balanced ETF Portfolio Class Advisor Series   C3.435.416.155.67------5.585/31/2018 See Performance Chart
BMO Balanced ETF Portfolio Class Series F   C4.586.597.326.78------6.665/31/2018 See Performance Chart
BMO Growth ETF Portfolio Class - Advisor   C4.286.667.785.78------5.615/31/2018 See Performance Chart
BMO Growth ETF Portfolio Class - F   C5.447.858.976.88------6.695/31/2018 See Performance Chart
BMO Equity Growth ETF Portfolio Class Advisor Ser   C5.608.399.826.27------6.255/31/2018 See Performance Chart
BMO Equity Growth ETF Portfolio Class Series F   C6.819.6211.057.39------7.355/31/2018 See Performance Chart
IA Clarington Distinction Conserv Port GIF A 100%   D1.492.493.983.48------3.855/31/2018 See Performance Chart
IA Clarington Distinction Balanced Port GIF A 100%   C2.183.194.864.21------4.615/31/2018 See Performance Chart
IA Clarington Distinction Balanced Port GIF B 75%   C2.563.575.254.60------5.005/31/2018 See Performance Chart
IA Clarington Distinction Growth Port GIF A 100%   C2.703.555.684.64------5.055/31/2018 See Performance Chart
IA Clarington Distinction Growth Port GIF B 75%   C3.174.026.165.14------5.575/31/2018 See Performance Chart
SEI U.S. Small Company Equity Fund Class O(H)   C8.869.2511.1610.57------11.905/31/2018 See Performance Chart
SEI U.S. Small Company Equity Fund Class F(H)   C7.858.4510.319.02------10.545/31/2018 See Performance Chart
All On | All Off What do you want to do with the checkmarked funds?  
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Showing 1901-1925 funds of 4686 in this list.   Show   funds per page  
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This information is compiled from sources believed to be accurate but not guaranteed by The Fund Library, its owners, afficiates and partners. Past performance is no guarantee of future results.

Data Source: Fundata Canada Inc.
 
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