Picton Mahoney Market

Neutral Equity Fund Class A CAD

Fund Investment Objectives

The investment objective of the fund is to provide consistent long-term capital appreciation at an attractive risk adjusted rate of return with less volatility than traditional equity indices and low correlation to the overall equity market. Based on current market conditions, our target return for this fund is approximately 8% per annum with half the volatility of the S&P/TSX Index and with no correlation to the overall equity market.