Fund overview & performance

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Canada Life Mutual Funds

CAN Risk-Managed Balanced Portfolio 75/75

February 28, 2026

The Fund’s primary focus is to provide a balance of income and capital growth, while seeking to reduce portfolio volatility.

Is this fund right for you?

  • A person who is investing for the medium to longer term while seeking a balance between income and capital growth and is comfortable with low to Medium risk.
  • Since the fund invests in stocks and bonds its value is affected by changes in interest rates and by stock prices, which can rise and fall in a short period of time.

RISK RATING

Risk Rating: Low to Moderate

How is the fund invested? (as of December 31, 2025)

Asset allocation (%)
Name Percent
US Equity 28.0
Foreign Bonds 22.2
Domestic Bonds 21.0
Canadian Equity 9.9
Cash and Equivalents 8.8
International Equity 4.9
Other 5.2
Geographic allocation (%)
Name Percent
Canada 45.1
United States 34.8
Multi-National 12.2
Ireland 0.8
Brazil 0.8
Mexico 0.7
Japan 0.6
United Kingdom 0.6
Switzerland 0.6
Other 3.8
Sector allocation (%)
Name Percent
Fixed Income 44.5
Technology 11.0
Cash and Cash Equivalent 8.8
Exchange Traded Fund 7.0
Mutual Fund 6.3
Financial Services 5.2
Healthcare 3.8
Consumer Services 3.1
Consumer Goods 2.3
Other 8.0

Growth of $10,000 (since inception)

Period:

For the period 11/04/2020 through 02/28/2026 tr.with $10,000 CAD investment, The value of the investment would be $13,276

Fund details (as of December 31, 2025)

Top holdings (%)
Top holdings Percent (%)
Canada Life Canadian Equity Index ETF 7.0
CAD Currency 6.1
Cash and Cash Equivalents 4.8
Canada Life Developed Markets ex-US Index ETF 4.2
CAN Path Glbl Tact 75/75 CONST 4.0
Canada Life EM Bond Index ETF 4.0
US High Yield Bond ETF 2.0
Canada Life US Equity Large Cap Index ETF 1.8
NVIDIA Corp 1.7
Apple Inc 1.6
Total allocation in top holdings 37.2
Portfolio characteristics
Portfolio characteristics Value
Standard deviation 5.27%
Dividend yield 1.63%
Yield to maturity 4.52%
Duration (years) 6.41%
Coupon 4.59%
Average credit rating A
Average market cap (million) $1,406,326.1

Understanding returns

Annual compound returns (%)

Short term
1 MO 3 MO YTD 1 YR
2.01 6.54 2.81 8.90
Long term
3 YR 5 YR 10 YR INCEPTION
9.82 5.51 - 5.47

Calendar year returns (%)

2025 - 2022
2025 2024 2023 2022
8.58 12.14 7.70 -9.37
2021 - 2018
2021 2020 2019 2018
6.15 - - -

Range of returns over five years (December 01, 2020 - February 28, 2026)

Best return / Worst return
Best return Best period end date Worst return
Worst period end date
5.51% Feb 2026 4.76% Dec 2025
Summary
Average return % of periods with positive returns Number of positive periods Number of negative periods
5.09% 100 4 0
Period:
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CAN Risk-Managed Balanced Portfolio 75/75

CAN Risk-Managed Balanced Portfolio 75/75

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ID Effective date Price ($) Income Capital gain Total distribution