Market Cap: $26.18B
Market Cap: $26.18B
Open
$13.51
Prev. Close
$13.14
High
$13.51
Low
$13.51
This fund aims to deliver a significant level of current income, all while prudently managing investment risk. It primarily invests in bonds, allocating at least 80% of its net assets (which may include borrowed funds) to a diverse portfolio of these securities. The investment manager anticipates that a minimum of 75% of the fund's net assets will be held in investment-grade debt or highly liquid cash and cash equivalents. The fund restricts its exposure to foreign currency-denominated securities, capping it at no more than 10% of its total assets. Additionally, under typical market conditions, the advisor does not foresee investing more than 25% of the total portfolio in foreign securities denominated in U.S. dollars (excluding Canadian securities from this specific limitation).
