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Beutel, Goodman & Compagnie Ltée

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.

Placement minimal 5 000 $

Valeur totale du fonds 135,18 million $ (CAD)

Dernière mise à jour de la valeur 30 septembre 2024

  • Faible
  • Faible à modéré
  • Modéré
  • Modéré à élevé
  • Élevé
Code du fonds
BTG314
RFG (%)
1,15
Date de création
29 octobre 2010
Rendement de distribution (%)
-
Date de la dernière distribution
30 septembre 2024

toutes les données au 30 septembre 2024, sauf indication contraire

Rendements

Rendements annuels composés (%)
1 mois 3 mois 1 an 2 an 3 ans 5 ans 10 ans AAJ Depuis la création
1,16 3,09 8,62 4,54 0,85 1,28 1,10 4,30 1,12
Rendements par année civile (%)
2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
4,17 -4,89 -1,52 4,75 2,44 0,65 -0,60 0,28 1,30 1,54
Historique des prix quotidiens
Date :
Date Prix unitaire ($) Changement ($) Changement (%)
Code du fonds
BTG114
RFG (%)
0,55
Date de création
29 octobre 2010
Rendement de distribution (%)
-
Date de la dernière distribution
30 septembre 2024

toutes les données au 30 septembre 2024, sauf indication contraire

Rendements

Rendements annuels composés (%)
1 mois 3 mois 1 an 2 an 3 ans 5 ans 10 ans AAJ Depuis la création
1,21 3,25 9,26 5,16 1,45 1,87 1,67 4,77 1,71
Rendements par année civile (%)
2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
4,78 -4,33 -0,94 5,34 2,98 1,16 -0,08 0,87 1,88 2,16
Historique des prix quotidiens
Date :
Date Prix unitaire ($) Changement ($) Changement (%)

Analyse de portefeuille

10 principaux titres

Au 31 août 2024

Titres %
Canada 2.750 Sep-01-27 9,9
Canada 4.500 Feb-01-26 5,0
Canada 4.000 Mar-01-29 4,4
CDP Financial 3.700 Mar-08-28 4,1
Ontario 3.600 Mar-08-28 4,0
Ontario Green 1.850 Feb-01-27 3,6
VW Credit Canada 5.750 Sep-21-26 3,5
PSP Capital 0.900 Jun-15-26 3,4
RBC SNR 4.642 Jan-17-28 3,0
Toronto Hydro 5.130 Oct-12-28 3,0

Des 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

Gestionnaires de portefeuille

Titres à revenu fixe
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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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