Scotiabank Canadian Growth Fund - Class A

Price | 20-Mar


2019 Return *


2018 Return *


2017 Return *


2016 Return *




* Returns are bid-bid with the reinvestment of distributions (unannualized).

The fund's price is adjusted for the distributions reinvested on the Reinvestment Date.   Distributions are accrued according to the fund's Accrual Frequency.   Price data are forward-filled on weekends, holidays and other no-quote days.   Returns are not load-adjusted. Bid-to-Bid return is used where applicable.   The Growth of $10,000 (y-axis) is shown using a logarithmic scale.

Fund Description

The Scotiabank Canadian Growth Fund is a equity mutual fund domiciled in the Cayman Islands. The fund was launched in 1994 and manages an estimated $33.1 million (USD) in assets (as at 2018-03-31).

According to the fund's prospectus, its investment objective is "[to invest] primarily in the equity securities of Canadian companies to achieve capital appreciation over the long term."

The fund is managed by Scotiabank & Trust (Cayman) Limited. The fund's trustee is State Street Bank and Trust Company Limited.


Trustee State Street Bank and Trust Company Limited
Manager Scotiabank & Trust (Cayman) Limited
Administrator Scotiabank & Trust (Cayman) Limited
Sponsor NA
Advisor NA

Fund Details

Fund Status: Active
Asset Category: Equity
Peer Group: Equity Funds - USD
Sub-Peer Group: North American Equity
Benchmark: SP_TSX_60
Domicile: Cayman Islands (the)
Currency: United States Dollar
NAV Type: Floating
Minimum Investment: 1,000.00
Minimum Add. Investment: 100.00
Distrib. Frequency: None Specified
Distrib. Accrual Frequency: None Specified
Fractional Units Allowed: Yes
Share Type: Open-End
Inception Date: Aug. 31, 1994
Assets Under Mgmt: USD $33,100,000.00 (Mar 31, 2018)