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Canoe Asset Allocation Portfolio Cl T6 (0P0000SPVC.TO)

Toronto - Toronto Delayed price. Currency in CAD
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6.16-0.03 (-0.43%)
At close: 04:00PM EDT

Performance overview

Morningstar return ratingN/A1
Year-to-date return4.61%
5-year average return9.63%
Number of years up9
Number of years down3
Best 1-yr total return (28 May 2024)28.48%
Worst 1-yr total return (28 May 2024)N/A
Best 3-yr total return28.48%
Worst 3-yr total return3.20%

Trailing returns (%) vs. Benchmarks

Time periods longer than one year are annualised.
Return0P0000SPVC.TOCategory
YTD5.36%0.00%
1-month-1.17%0.00%
3-month5.20%0.00%
1-year9.08%0.00%
3-year8.90%0.00%
5-year9.49%0.00%
10-year6.85%0.00%
Last bull market0.00%0.00%
Last bear market0.00%0.00%

Annual total return (%) history

Year
0P0000SPVC.TOCategory
2024
N/AN/A
2023
4.32%N/A
2022
0.55%N/A
2021
28.48%N/A
2020
6.48%N/A
2019
11.27%N/A
2018
-5.11%N/A
2017
4.08%N/A
2016
12.64%N/A
2015
-0.02%N/A
2014
12.99%N/A
2013
13.88%N/A
2012
-5.01%N/A
2011
N/AN/A

Past quarterly returns (%)

YearQ1Q2Q3Q4
20246.61%N/AN/AN/A
2023-1.54%1.09%-0.54%5.38%
20222.35%-8.13%-2.06%9.18%
20217.45%9.53%2.01%7.02%
2020-15.08%9.09%4.54%9.95%
20196.98%-0.25%0.28%3.98%
2018-1.93%3.04%-0.40%-5.72%
20170.86%-0.04%0.14%3.09%
2016-1.52%3.10%4.67%5.99%
20155.05%-0.31%-5.34%0.85%
20144.60%7.87%0.29%-0.15%
20132.31%-2.53%3.42%10.41%
20124.72%-8.26%3.28%-4.26%
2011-3.70%-8.95%2.35%N/A

Rank in category (by total return)

YTD13
1-month24
3-month3
1-year21
3-year1
5-year1

Load adjusted returns

1-year9.08%
3-year8.90%
5-year9.49%
10-year6.85%