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Bank of Montreal Fossil Fuel Free ESG Index Linked Principal Protected Deposit Notes, Series 12

Miscellaneous - Other

NAVPS
(04-02-2026)
$96.68
Change
-$0.06 (-0.06%)

As at February 28, 2026

Period
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Legend

Bank of Montreal Fossil Fuel Free ESG Index Linked Principal Protected Deposit Notes, Series 12

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Fund Returns

Inception Return (October 12, 2021): 0.95%

Fund Returns
Row Heading Return Annualized Return
1 Mth 3 Mth 6 Mth YTD 1 Yr 2 Yr 3 Yr 4 Yr 5 Yr 6 Yr 7 Yr 8 Yr 9 Yr 10 Yr
Fund 3.60% 6.70% 10.16% 4.58% 15.37% 11.07% 7.50% 2.53% - - - - - -
Benchmark 7.72% 10.06% 21.64% 8.62% 38.79% 30.37% 22.89% 16.36% 17.10% 16.70% 14.94% 13.89% 12.66% 13.67%
Category Average 0.87% 3.05% 7.18% 2.26% 9.36% 12.38% 11.91% 8.54% 7.15% 9.19% 9.99% 7.04% 6.51% 7.05%
Category Rank - - - - - - - - - - - - - -
Quartile Ranking - - - - - - - - - - - - - -

Monthly Return

Monthly Return
Return % Mar Apr May Jun Jul Aug Sep Oct Nov Dec Jan Feb
Fund 0.00% 0.80% 1.52% 1.18% 0.00% 1.16% 0.41% 2.45% 0.35% 2.03% 0.95% 3.60%
Benchmark -1.51% -0.10% 5.56% 2.91% 1.69% 4.96% 5.40% 0.97% 3.86% 1.32% 0.84% 7.72%

Best Monthly Return Since Inception

4.75% (January 2023)

Worst Monthly Return Since Inception

-6.18% (June 2022)

Calendar Return (%)

Calendar Return
Return % 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Fund - - - - - - -17.67% 3.11% 5.93% 11.39%
Benchmark 21.08% 9.10% -8.89% 22.88% 5.60% 25.09% -5.84% 11.75% 21.65% 31.68%
Category Average 4.45% 6.11% -16.12% 20.78% 18.07% 7.80% -6.20% 10.49% 10.86% 12.76%
Quartile Ranking - - - - - - - - - -
Category Rank - - - - - - - - - -

Best Calendar Return (Last 10 years)

11.39% (2025)

Worst Calendar Return (Last 10 years)

-17.67% (2022)

Asset Allocation

Sector Allocation

Geographic Allocation

Top Holdings

Equity Style

Equity style data not available

Fixed Income Style

Fixed income style data not available
Period: 

Risk vs Return (3 Yr)

Bank of Montreal Fossil Fuel Free ESG Index Linked Principal Protected Deposit Notes, Series 12

Median

Other - Miscellaneous - Other

3 Yr Annualized

Standard Deviation 6.22% - -
Beta 0.39% - -
Alpha -0.01% - -
Rsquared 0.48% - -
Sharpe 0.59% - -
Sortino 1.30% - -
Treynor 0.09% - -
Tax Efficiency 100.00% - -
Volatility Volatility rating is 3 on a scale of 1 to 10 - -

Risk Rating

Rating Not Available

Annualized Key Ratio Period Comparison

Key Ratio
Key Ratio 1 Yr 3 Yr 5 Yr 10 Yr
Standard Deviation 3.70% 6.22% - -
Beta 0.17% 0.39% - -
Alpha 0.09% -0.01% - -
Rsquared 0.20% 0.48% - -
Sharpe 3.24% 0.59% - -
Sortino 32.16% 1.30% - -
Treynor 0.69% 0.09% - -
Tax Efficiency 100.00% 100.00% - -

Fund Details

Start Date October 12, 2021
Instrument Type Structured Note (Principal Protected Note (PPN))
Share Class -
Legal Status -
Sales Status Open
Currency CAD
Distribution Frequency No Distribution
Assets ($mil) -

Fund Codes

FundServ Code Load Code Sales Status
JHN5013

Investment Objectives

-

Investment Strategy

-

Portfolio Management

Management and Organization

Investment Minimums

RSP Eligible Yes
PAC Allowed No
PAC Initial Investment -
PAC Subsequent -
SWP Allowed No
SWP Min Balance -
SWP Min Withdrawal -

Fees

MER -
Management Fee -
Load Front Fee Only
FE Max -
DSC Max -
Trailer Fee Max (FE) -
Trailer Fee Max (DSC) -
Trailer Fee Max (NL) -
Trailer Fee Max (LL) -

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