National Bank Mortgage Fund National bank of Canada

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					As at July 31, 2012

National Bank Mortgage Fund
Category: Canadian Short Term Fixed Income

                                                                Portfolio Asset Mix (% of Net Assets)
 Quick Facts                                                                                                                    l       53.24% Mortgages                                          l
                                                                                                                                l       26.48% Provincial Bonds                                   l
 The Mortgage Fund’s objectives are to provide a high
 level of income while providing sustained capital growth                                                                       l          8.97% Federal Bonds                                    l
 and preserving capital. The fund invests primarily in first                                                                    l          5.90% Cash & Other Assets                              l
 mortgages on residential real estate in Canada. It also                                                                        l          5.41% Corporate Bonds                                  l
 buys debt securities of corporations and of Canadian                                                                           l                                                                 l
 federal, provincial and municipal governments.
                                                                Top Holdings (%)                                                                             Credit Rating (%)
 INVESTMENT HORIZON                                            N.H.A. Insured                                                         31.51
                                                                                                                                                            AAA                                                   53.12
  SHORT                                               LONG     Mortgage pool                                                          21.90
                                                               Province of Ontario, 3.15%, due September 8, 2015                       7.76                 AA                                                        9.95

 FUND VOLATILITY                                               Cash & Other Assets                                                     5.90                 A                                                     36.93
                                                               PSP Capital Inc., 2.26%, due February 16, 2017                          4.48
  LOW                                                 HIGH
                                                               Financement-Québec, 4.25%, due December 1st, 2015                       3.43                 Average Duration (Years)                                  2.64
                                                               Financement-Québec, 2.40%, due December 1st, 2018                       3.18                 Average Coupon Rate (%)                                   3.38
                                                               Province of Quebec, 5.00%, due December 1st, 2015                       2.90
 Minimum Initial Investment:                           $500    Cadillac Fairview, 3.24%, due January 25, 2016                          2.68
                                                               Royal Bank of Canada, 3.27%, due November 10, 2014                      2.22
 Subsequent Investment:                                  $50                     Total of Top Holdings of the Fund (% of Net Assets): 85.96
                                                                                                    Total Number of Securities Held:     49
 Systematic Investment:                                  $25
                                                                Annual Returns (%)
 Distribution Frequency:                            Monthly
 Assets Under Management ($M):                     $1,168.5                                                                                                             5.50

 Price per Unit:                                     $11.10                                                  3.55                                                                                     3.79
                                                                    4                                                                                                                  3.03
 Inception Date:                             August 1, 1991         2
 Value of $10,000 over 10 years:                    $14,257
 Benchmark Index:                            DEX Short Term                              YTD                 2011                2010               2009                2008           2007           2006

 Management Fee: 1.50%                          MER: 1.70%      Annual Compound Returns (%)

 Portfolio Manager:                Fiera Capital Corporation
                                                                    6                                                                                                                                          5.36
 Management Team:                     Marc-André Gaudreau
                                                                    4                                                                                                                          3.61
                                                                                                                                                 2.17            2.48
                                                                                        0.11                                  0.12

                                                                                         1 month           3 months          6 months            1 year         3 years        5 years        10 years         Since
                                                               Fund                        0.11               0.82              0.12              2.17           2.48           3.12           3.61            5.36

                                                               Please carefully read the legal notices contained in the disclosure page.
As at July 31, 2012

National Bank Mortgage Fund
Category: Canadian Short Term Fixed Income


           National Bank Securities Mutual Funds (the “Funds”) are offered by National Bank Securities Inc., a wholly owned subsidiary of National Bank of Canada. Commissions, trailing
           commissions, management fees and expenses all may be associated with investments in the Funds. Please read the prospectus of the Funds before investing. The indicated rates of
           return are the historical annual compounded total returns which include changes in the value of securities and reinvestment of all distributions and do not take into account sales,
           redemption, distribution or optional charges or income taxes payable by any unitholder that would have reduced returns. The Funds’ securities are not insured by the Canada
           Deposit Insurance Corporation or by any other government deposit insurer. For money market funds, there can be no assurances that a fund will be able to maintain its net asset
           value per security at a constant amount or that the full amount of the investment in a fund will be returned. The Funds are not guaranteed, their values change frequently and past
           performance may not be repeated.

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