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Beutel, Goodman & Company Ltd.

Fonds d’obligations à court terme Beutel Goodman

Le Fonds d’obligations à court terme Beutel Goodman vise à maximiser le rendement du portefeuille en investissant dans un ensemble diversifié d’obligations d’émetteurs canadiens (fédérales, provinciales, municipales et de sociétés) à court terme. Les obligations ont une note de BBB ou plus établie par une agence d’évaluation du crédit reconnue. L’échéance moyenne des titres peut se situer entre 2 et 4 ans. L’équipe des titres à revenu fixe de Beutel Goodman utilise une approche disciplinée et collaborative pour la gestion active des mandats de titres à revenu fixe et elle cherche à ajouter une valeur constante grâce à la gestion des échéances, de la courbe des taux et du risque de crédit.

Minimum Investment 5 000 $

Total Fund Value 161,71 million $ (CAD)

Value Last Updated 30 janvier 2026

  • Low
  • Low to Medium
  • Medium
  • Medium to High
  • High
Fund Code
BTG114
MER (%)
0,55
Inception Date
29 octobre 2010
Distribution Yield (%)
-
Date of Last Distribution
31 décembre 2025

all data as at 31 janvier 2026, except where indicated

Performance

Returns (%)
1 month 3 months 1 year 2 years 3 years 5 years 10 years YTD Since Inception
0,42 0,30 3,06 4,74 4,20 1,66 1,85 0,42 1,85

Performance Start Date:

01 novembre 2010

Calendar Year Returns (%)
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
3,46 5,39 4,78 -4,33 -0,94 5,34 2,98 1,16 -0,08 0,87
  • Daily Pricing History
Date :
Date NAV ($) Price Change ($) Price Change (%) Distribution Amount ($)
Fund Code
BTG314
MER (%)
1,15
Inception Date
29 octobre 2010
Distribution Yield (%)
-
Date of Last Distribution
31 décembre 2025

all data as at 31 janvier 2026, except where indicated

Performance

Returns (%)
1 month 3 months 1 year 2 years 3 years 5 years 10 years YTD Since Inception
0,37 0,15 2,44 4,12 3,59 1,07 1,27 0,37 1,26

Performance Start Date:

01 novembre 2010

Calendar Year Returns (%)
2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
2,84 4,76 4,17 -4,89 -1,52 4,75 2,44 0,65 -0,60 0,28
  • Daily Pricing History
Date :
Date NAV ($) Price Change ($) Price Change (%) Distribution Amount ($)

Portfolio Analysis

Top 10 Holdings

as at 31 décembre 2025

Company %
Canada 0.500 Dec-01-30 16,1
Canada 3.250 Sep-01-28 7,4
CPPIB Capital 3.350 Dec-02-30 4,8
MFA of BC Sustainable 3.300 Oct-02-30 4,4
WSP Global 2.408 Apr-19-28 3,8
Canada 2.750 Sep-01-27 3,4
Alberta 2.050 Jun-01-30 3,3
Tourmaline Oil 4.856 May-30-27 2,9
Toronto Hydro 5.130 Oct-12-28 2,8
Equitable Bank 3.910 Dec-17-27 2,7

Documents

Aperçu du Fonds, Fonds d'obligations à court terme Beutel Goodman, Catégorie B Aperçu du Fonds, Fonds d'obligations à court terme Beutel Goodman, Catégorie B
Aperçu du Fonds, Fonds d'obligations à court terme Beutel Goodman, Catégorie F Aperçu du Fonds, Fonds d'obligations à court terme Beutel Goodman, Catégorie F
Divulgation du portefeuille trimestriel Divulgation du portefeuille trimestriel
Distributions annuelles Distributions annuelles

Portfolio Managers

Titres à revenu fixe
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You are being directed to a website other than the official Beutel Goodman website. Although we have verified the accuracy of this link from our website to this third party, the ownership of the domain names and content of the web pages may change without notice and is the responsibility of the third party. We are not responsible for the content, views, or privacy policies of the third party site and the inclusion of this link does not imply a recommendation or endorsement of the views expressed within them, nor does it constitute an offer or solicitation to sell or a solicitation of an offer to buy any shares of any fund (nor shall any such shares be offered or sold to any person) in any jurisdiction in which an offer, solicitation, purchase or sale would be unlawful under the securities law of that jurisdiction. Past performance is no guarantee of future results. The privacy policy of the third party site may differ from that of Beutel Goodman. Click here to proceed to the third party website. If you wish to remain on the Beutel Goodman website, please close this page in your browser.
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You are being directed to a website other than the official Beutel Goodman website. Although we have verified the accuracy of this link from our website to this third party, the ownership of the domain names and content of the web pages may change without notice and is the responsibility of the third party. We are not responsible for the content, views, or privacy policies of the third party site and the inclusion of this link does not imply a recommendation or endorsement of the views expressed within them, nor does it constitute an offer or solicitation to sell or a solicitation of an offer to buy any shares of any fund (nor shall any such shares be offered or sold to any person) in any jurisdiction in which an offer, solicitation, purchase or sale would be unlawful under the securities law of that jurisdiction. Past performance is no guarantee of future results. The privacy policy of the third party site may differ from that of Beutel Goodman. Click here to proceed to the third party website. If you wish to remain on the Beutel Goodman website, please close this page in your browser.
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ADR only for international equities.
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Investissements en actions internationales effectués uniquement par l'intermédiaire d'ADRs
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