The Fund may be suitable for:

  • A core part of the international fixed income portion of a diversified investment portfolio
  • Those seeking returns that closely match the JP Morgan Global Government Bond Index (ex. Canada)
  • Those seeking higher returns and who are willing to accept some additional risk
  • Those wishing to invest for the medium term

What are the risks of investing in the Fund?

  • Concentration risk, currency risk, derivative risk, fixed income risk, foreign market risk, general market risk, index risk, large investor risk, legal and regulatory risk, liquidity risk, securities lending, repurchase and reverse repurchase agreements risk, short selling risk and sovereign debt risk
  • Refer to the Simplified Prospectus for more details

* Volatility (low to high): The lower the volatility ranking, the lower the risk of the fund. Funds with a volatility ranking of high are the most risky.

** Other dealers may have different minimum dollar requirements.