FUND PROFILE Marquest Mutual Funds Inc. Marquest Explorer ...
[Pages:2]cov call corp class
am. div. corp class
1 MTH 3MTH 6MTH
-3.39% -5.10% -2.11%
YTD
-4.19%
1 YEAR
8.60%
3 YEAR$S6,000 5 YEARS 4.94% 20191.00%
10 YEARS
2012-
SINCE INCEPTION
82.04113 %
2014
Marquest Mutual Funds Inc.
CALENDAR RETURNS % - SERIES AM* arquest Explorer Series Fund
YTD*
2016
2015
2014
S20e13ries A2/0$R1222o,00l0lov20e11r**
-
-
-
-4.19% 19.00% -4.02% 8.12% 16.96% 11.18% 1.83%
-
$20,000
-
-
2015 2016 FUND PROFILE As at May 31, 2017
$21,407
THIS FUND IS FOR:
Investors seeking exposure to the resource
sector and those with a medium to long-term
iCnvOesMtmPeOntUhNorDizoRnEaTnUd Ra NhigSh%ris-k tSoEleRraIEncSeA. *
1 MTH 3MTH 6MTH
YTD
1 YEAR
-0.49% 1.10% 7.46% 3.95% 14.10%
IN$1V8,0E0S0 TMENT OBJECTIVES The fundamental investment objective of the Explorer
Series Fund is to seek long-term capital growth by in$v1e6,s0t0in0g in a diversified portfolio of primarily equity
securities of attractive Canadian mineral exploration
a3n$Y1dE4A,m0R0Si0ning c5oYEmARpSanies. 10 YEARS
SINCE INCEPTION
12.39% 13.57%
-
11.73%
$12,000
CALENDAR RETURNS % - SERIES A*
$10,000
YTD*
2016
2015
2014
2013
2012
2011
2010**
-
-
3.95% 9.77% 12.39% 16.55% 23.55% 8.32$%8,000 -3.43% 10.80%
-
-
$6,000
2010
2011
2012
2013
FUND FACTS UNIT PRICE* Series A/Rollover ?$0.56
ASSET CLASS Canadian Equity
DISTRIBUTION FREQUENCY VALUATION FREQUENCY
INCEPTION DATE
Annually, if any, in December Daily December 2, 2005
MANAGEMENT FEES
Series A/Rollover ? 2.00%
MINIMUM
INITIAL
$500
INVESTM20E1N4T
2015
2016
COMPOUND RETURNS % - SERIES A*
1 MTH 3MTH 6MTH
YTD
1 YEAR
0.00% -6.26% 3.97% 0.72% -6.89%
3 YEARS 5 YEARS
-7.$3108,%000 -12.31%
10 YEARS
-10.31%
SINCE INCEPTION
-6.39%
ADDITIONAL INVESTMENT
$25
RSP/RIF/TFSA 100% Eligible
$16,000
CALENDAR RETURNS % - SERIES A*
$14,000
YTD* 2016 2015 2014 2013 2012 $21021,0100 2010 2009 2008 2007 2006 0.72% 18.52% -14.60% -19.88% -34.48 -21.46 -37.45% 34.29% 163.19% - 62.30% 7.26% 12.50%
$10,000
FUND PERFORMANCE
$8,000
PORTFOLIO MANAGER
FUND NET ASSETS*
Marquest Asset Management Inc. $11.0 Million
VOLATILITY LEVEL
LOW
HIGH
COMPOUND RETURNS % - SERIES A/ROLLOV$E6,0R0*0
1 MTH 3MTH 6MTH
YTD
1 YEAR 3 YE$A4R,0S00
-3.35% -10.46% 24.58% 15.21% 15.93% -12.$621,0%00
5 YEARS
-27.10%
10 YEARS
-27.00%
SINCE INCEPTION**
-22.58%
FUND CODES
Series A/Rollover
Fund Code MAV7001
$4,190
$0 CALENDAR RETURNS % - SERIES A/ROLLOVER* 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016
YTD* 2016 2015 2014
2013 2012
2011
2010
2009 2008 2007 2006
15.21% 44.90% -47.47% -31.33% -58.13% -41.67% -53.25% 39.96% 41.80% -73.19% -1.16% 28.48%
can res corp class
explorer series
TOP 10 HOLDINGS %*
Cash
23.24%
Harte Gold Corp.
4.95%
Strategic Metals Ltd
3.74%
Metanor Resources Inc.
3.71%
Colorado Resources Ltd.
3.56%
Rockhaven Resources Ltd.
3.54%
ATAC Resources Ltd.
3.13%
Nexgen Energy Ltd.
2.78%
Power Metals Corp.
2.76%
Canada Zinc Metals Corp. R4 (08/06/2017) 2.68%
TOTAL: 54.09%
GROWTH OF $10,000 - SERIES A/ ROLLOVER*
$16,000 $14,000 $12,000 $10,000 $8,000
$6,000 $4,000 $2,000
$0 2007 2008 2009 2010 2011 2012 2013
$527
2014
2015 2016
ASSET ALLOCATION %*
CONSUMER DISCRETIONARY................................... 8.35% ENERGY........................................................................... 8.34% TELECOMMUNICATION SERVICES...........................7.21% CASH................................................................................5.60% MATERIALS..................................................................... 4.10% UTILITIES ........................................................................3.94% FUTURES....................................................................... 0.54% NET OTHER ASSETS LIABILITIES .............................3.13%
SECTOR ALLOCATION %*
GEOGRAPHIC ALLOCATION %*
CANADIAN EQUITIES ............................................... 68.70% CASH..............................................................................23.24% NET OTHER ASSETS LIABILITIES ............................8.03%
MATERIALS ................................................................... 61.56% CASH..............................................................................23.24% ENERGY............................................................................ 7.14% NET OTHER ASSET LIABILITIES ..............................8.03%
CANADA..................................................................95.87% UNITED STATES ....................................................... 4.15%
ENERGY......................................................................... 51.58% CASH.............................................................................. 14.59% NET OTHER ASSET LIABILITIES ............................33.83%
CANADIAN EQUITIES ................................................ 51.58% CASH.............................................................................. 14.59% NET OTHER ASSETS LIABILITIES ..........................33.83%
CANADA............................................................... 100.00%
PORTFOLIO MANAGER Marquest Asset Management Inc.
Marquest Asset Management Inc. is the manager of Marquest Mutual Funds Inc. Our objectives are to deliver consistent, strong returns and to remain open and accessible to all our partners. Investors and their Investment Advisors can easily fine-tune their portfolios by switching funds within Marquest Mutual Funds Inc. The unique breadth of our assets and expertise maximizes investor flexibility. Investors can choose a precise set of funds to suit their individual investment objectives.
GERRY BROCKELSBY, CFA Chief Investment Officer
Mr. Brockelsby has over 38 years' experience in managing investment funds for corporations, pension funds and individuals. Prior to establishing Marquest in 1985, Mr. Brockelsby
was the Chief investment Officer for the Inco Pension Plan for eight years. Mr. Brockelsby has managed multiple small cap equity and fixed income mandates, including Marquest's
flagship Resource Fund which has been one of the top performing funds in its sector since inception in 2003. In addition, Mr. Brockelsby has also managed the Terra Funds flow-
throuCgAhNLAPD'ISANanEdQUroITlIlEoSv.e...r...m....u...t..u...a..l...f.u...n...d...s....s..i.n...c...e6e9.a9r9ly%2009.
Mr.
BrocCkeAlSsHb.y....i.s....t.h...e....p...r..i.n...c...i.p...a...l..P...o...r..t..f.o...l..i.o....M....a...n...a..g...e...r2t3o.3t3h%e
Marquest
Advised Funds.
CANADA ..............................................................
100.00%
CASH..............................................................................23.33%
UTILITIES ......................................................................18.09%
NET OTHER ASSETS LIABILITIES ............................6.70%
ENERGY......................................................................... 13.67%
* As at April 30, 2017 **performance calculates from December 2, 2I0N0D5UtSoTRDIAeLcSe.m....b...e...r..3...1..,...2..0...0...5..................................13.04%
Marquest Funds are offered by Marquest Asset Management Inc. and distMCriObAuTNEtSeRUdIAMtLhESRr.o..D.u..Ig.S..Ch...R.a.E.u..T.t.I.hO..o..N.r..Ai.z..Re..Y.d.......d......e....a......l..e....r....s.........T......h......i..s......f..u.....n1.40d..55p37r%%ofile should be used only as a general source of information, and should not be considered a solicitation to buyor an offer to sell securities of the fHuEnAdL.TMHuCtAuRaEl .f.u...n...d...c...h...o...i.c..e...s...s..h...o...u..l..d...b...e....e..v..a...l.u...a..t3e.d58r%elative to individual investment objectives.While information is accurate
as at the date noted, holdings and asset mix will change. Commissions, tCrOaiNlinSUgMcoERmSmTAisPsLioESn.s..,..m.....a..n...a..g...e...m....e...n..t...f.e...e...s...a..n...d3.e2x8p%enses all may be associated with mutual fund investments. Please read
the prospectus before investing. The indicated rates of return are the hisFtIoNrAicNaClIaAnLSnu...a...l..c..o...m.....p..o...u...n...d...e..d....t..o...t.a...l..r..e..t..u...r.n...s...i.n. 3c.2lu3d%ing changes in unit value and reinvestment of all dividends and do not take into account sales, redemption, distribution or optional charges orNinETcoOmTHeEtRaxAeSsSEpTaSyaLbIAleBIbLIyTIaEnSy..s..e...c..u...r..i.t.y...h...o...l.d..e6r.7t0h%at would have reduced returns. Mutual funds are not guaranteed, their
values change frequently and past performance may not be repeated. The rate of return or mathematical table shown is used only to illustrate the effects of the compound growth rate and is
not intended to reflect future values of the fund or returns on investment in the fund.
TORONTO 161 Bay Street, Suite 4420, P.O. Box 204 Toronto, ON M5J 2S1 T: 416.777.7350 or 1.877.777.1541 F: 416.365.4080
MONTREAL 1155 Henri-Bourassa Boulevard, Suite 905 Montreal, QC H3B 3A7 T: 514.227.0666 or 1.866.687.9363 F: 514.875.8188
VANCOUVER 1055 West Hastings Street, Suite 300 Vancouver, B.C. V6E 2E9 T: 604.895.7281 F: 604.684.6024
CLIENT SERVICES T: 416.365.4077 or 1.888.964.3533 F: 416.365.4080 clientservices@marquest.ca marquest.ca
................
................
In order to avoid copyright disputes, this page is only a partial summary.
To fulfill the demand for quickly locating and searching documents.
It is intelligent file search solution for home and business.
Related download
- canada s top performing fund rises 203 6 year to date
- mutual funds and etfs monthly july 2017
- thursday april 9 2015 mutual funds top performing
- fund profile marquest mutual funds inc marquest explorer
- printed on july 24 2019 rbc select growth mutual funds
- mutual funds best and worst performing equity funds
Related searches
- mutual funds ytd returns
- vanguard mutual funds list
- fidelity mutual funds performance
- top mutual funds for ira
- safe mutual funds for seniors
- safest mutual funds for retirees
- top 10 mutual funds for retirement
- best mutual funds for retirement
- fidelity investments mutual funds research
- vanguard mutual funds performance chart
- investing in mutual funds for beginners
- mutual funds for beginning investors