US Equity Index Fund

US Equity Index Fund (Registered Only)

Fund Category US Equity

General Information Fund Code Fund Inception Underlying Inception Fund Assets ($Mil) Underlying Assets ($Mil)

T274 November 2008 August 2005 558.33 8,450.10

Fund Company Underlying Fund

BlackRock Asset Management Canada Ltd

BlackRock CDN US Equity Idx NonTax Cl D

Volatility Analysis

Investment

DescripLtioown

Moderate

High

Category

Investment Objective

This fund aims to reproduce the annualized return of the S&P 500 Index, expressed in Canadian dollars, over four year moving periods.

Benchmark S&P 500

Investment Strategy

The investments are passively managed in order to provide a return derived primarily from long term capital appreciation by investing in a largely diversified portfolio of American equity securities.

Notes BlackRock? is a registered trademark of BlackRock, Inc. Used under license.

Performance Analysis as of January 31, 2023 Description

60 Growth of $10,000

50

Fund

40

Benchmark

30

20

10

0

----------------------

Quartile

2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 YTD

40.8 23.6 21.6 8.1 13.8 4.2 24.8 16.3 27.6 -12.1 4.7 41.3 23.9 21.6 8.1 13.8 4.2 24.8 16.3 27.6 -12.2 4.7

Calendar Year

as at January 31, 2023 Fund Return % Benchmark %

Annualized Returns %

3 Mth

1 Yr

Fund

3.5

-3.7

Benchmark

3.5

-3.7

Underlying Fund Performance

2 Yr

3 Yr

4 Yr

5 Yr

10 Yr

8.7

10.2

13.2

11.4

15.9

8.7

10.2

13.2

11.4

16.0

Disclosure The above data represents past performance returns, which is not indicative of future results. These are gross performance returns, calculated after the fund's operating expenses, but before investment fees. For more information, please contact Desjardins Insurance's Customer Contact Centre at 1-800-968-3587.

Portfolio Analysis as of January 31, 2023

Composition

% Assets

Cash

0.6

Fixed Income

0.0

Canadian Equity 0.0

US Equity

98.3

International Equity 1.1

Other

0.0

DEqeusictryipSttiyolne

Large Mid Small

Market Cap

%

Giant

48.6

Large

35.8

Medium

15.5

Small

0.1

Micro

0.0

Value Blend Growth

Top 10 Holdings Apple Inc Microsoft Corp Inc Alphabet Inc Class A Berkshire Hathaway Inc Class B

Alphabet Inc Class C NVIDIA Corp Exxon Mobil Corp UnitedHealth Group Inc Tesla Inc

Total Number of Portfolio Holdings Total Number of Underlying Holdings Total Number of Stock Holdings Total Number of Bond Holdings

% Assets 6.3 5.4 2.7 1.7 1.6

1.5 1.4 1.4 1.4 1.4

3 512 503

0

Top Five Countries United States United Kingdom Switzerland Netherlands Singapore

Global Equity Sectors

Utilities Energy Financials Materials Consumer Discretionary Consumer Staples Communication Services Industrials Health Care Information Technology Real Estate Unclassified

% Assets 98.9 0.6 0.4 0.1 0.0

% Equity

3.2 5.2 11.7 2.7 9.8 7.2 7.3 8.6 15.8 25.7 2.7 0.0

?2023. Morningstar Research Inc. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Morningstar is not responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results. This fund is an investment product offered under an insurance contract issued by Desjardins Financial Security. Desjardins Insurance refers to Desjardins Financial Security Life Assurance Company.

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