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Category Details

Category Details - All
Category sortableYTD sortable1 Year sortable3 Year sortable5 Year sortable
As of 2024-03-31
+42.60%
+118.39%
-12.53%
+26.89%
+12.17%
+26.97%
+23.26%
+9.12%
+11.92%
+36.33%
+7.95%
+14.89%
+10.90%
+26.28%
+5.14%
+8.12%
+9.95%
+26.83%
+9.88%
+13.65%
+9.42%
+23.27%
+1.14%
+10.63%
+9.21%
+22.44%
+6.45%
+10.89%
+9.16%
+22.53%
+3.29%
+11.14%
+8.83%
+20.68%
+8.87%
+10.89%
+8.79%
+15.21%
+22.08%
+8.63%
+8.66%
+31.14%
+3.17%
+15.26%
+8.44%
+8.99%
+7.63%
+7.09%
+7.83%
+23.64%
+1.14%
+11.94%
+7.75%
+20.83%
+8.00%
+10.61%
+7.75%
+21.38%
+5.80%
+10.34%
+7.72%
+21.11%
+5.70%
+10.01%
+7.63%
+20.92%
+5.62%
+9.88%
+7.59%
+19.45%
+6.81%
+8.13%
+7.57%
+29.18%
+5.12%
+9.52%
+7.51%
+20.60%
+5.53%
+9.77%
+7.49%
+17.91%
-1.95%
+9.06%
+7.28%
+20.14%
+4.91%
+9.32%
+7.15%
+15.58%
+5.38%
+7.31%
+7.14%
+19.82%
+5.27%
+9.55%
+7.00%
+18.50%
+6.03%
+9.67%
+6.77%
+17.75%
+4.93%
+8.44%
+6.61%
+20.74%
+5.84%
+11.51%
+6.58%
+12.86%
+0.02%
+7.20%
+6.54%
+17.38%
+6.84%
+8.74%
+6.43%
+18.19%
+4.66%
+8.94%
+6.33%
+11.83%
-0.38%
+7.51%
+6.06%
+14.32%
+4.96%
+7.90%
+6.03%
+13.83%
+2.74%
+6.06%
+5.67%
+11.20%
+7.01%
+4.15%
+5.66%
+18.85%
+3.43%
+9.33%
+5.60%
+4.86%
+5.18%
+8.75%
+5.53%
+16.00%
+3.87%
+8.04%
+5.32%
+15.15%
+4.05%
+7.45%
+5.29%
+20.23%
-5.10%
+7.13%
+5.24%
+13.57%
+2.92%
+6.56%
+5.05%
+8.04%
+4.19%
+4.86%
+4.66%
+20.08%
+5.90%
+10.28%
+4.64%
+10.32%
+4.29%
+4.13%
+4.53%
+13.67%
+2.95%
+6.99%
+4.38%
+11.65%
+2.78%
+5.31%
+4.36%
+15.64%
+6.02%
+6.78%
+4.27%
+1.91%
+11.04%
+7.53%
+4.08%
+33.96%
+10.64%
+9.89%
+3.99%
+13.82%
+4.97%
+6.49%
+3.89%
+13.22%
+0.36%
+3.00%
+3.70%
+11.53%
+2.20%
+5.92%
+3.44%
+7.80%
-4.85%
+3.80%
+3.43%
+0.78%
+3.09%
+4.71%
+3.43%
+14.39%
+4.46%
+6.79%
+3.24%
+10.23%
+1.76%
+4.65%
+3.16%
+10.43%
+0.27%
+5.77%
+2.82%
+6.68%
+7.72%
+10.88%
+2.71%
+9.33%
-1.66%
+8.35%
+2.70%
+9.88%
-3.83%
+3.23%
+2.39%
+8.36%
+1.16%
+3.90%
+2.33%
+11.35%
+4.77%
+4.14%
+2.21%
-3.01%
+7.20%
+6.15%
+2.14%
+10.93%
-0.96%
+1.25%
+2.12%
+9.63%
-3.42%
+7.41%
+2.03%
+7.46%
+2.14%
+4.79%
+2.02%
+2.28%
-7.07%
+2.34%
+1.84%
+7.15%
+0.48%
+2.73%
+1.67%
+10.18%
+2.07%
+3.76%
+1.62%
+7.05%
+0.96%
+2.36%
+1.54%
+5.64%
-0.83%
+1.54%
+1.44%
-4.33%
-3.80%
+6.46%
+1.43%
+6.04%
+2.39%
+2.16%
+1.31%
+6.92%
+0.48%
+2.39%
+0.88%
+4.89%
+0.48%
+1.68%
+0.73%
+5.41%
+1.11%
+3.89%
+0.40%
+2.73%
-0.40%
+0.80%
+0.37%
+5.43%
-1.62%
+0.71%
+0.32%
+1.83%
+2.65%
+5.29%
+0.29%
+2.72%
+0.50%
+1.13%
+0.26%
+4.02%
-0.90%
+1.29%
+0.23%
+4.22%
-0.97%
+1.34%
+0.19%
+0.05%
-0.50%
+2.33%
+0.12%
+3.34%
-0.39%
+1.36%
+0.11%
+2.64%
-0.96%
+0.86%
+0.04%
+2.72%
-0.96%
+2.60%
+0.04%
+2.14%
-0.03%
+0.92%
+0.03%
+2.90%
-0.24%
+1.21%
+0.02%
+4.23%
-0.72%
+1.27%
-0.01%
+4.55%
-1.75%
+1.58%
-0.20%
+2.89%
-2.26%
+0.75%
-0.20%
+2.04%
-0.66%
+1.26%
-0.51%
+1.92%
-2.45%
+0.36%
-0.82%
+0.74%
-2.84%
-0.30%
-0.83%
+8.10%
-1.32%
+0.62%
-0.97%
+8.25%
+1.69%
+3.45%
-1.21%
+2.05%
-4.25%
+0.53%
-1.52%
+2.21%
-3.52%
-0.80%
-1.68%
+4.65%
-0.77%
+0.34%
-3.05%
-17.58%
-17.29%
-3.30%
-3.16%
-6.03%
-8.52%
-3.08%

About Fund Categories

The Morningstar Fund Category Indices are Canada's most comprehensive and reliable mutual fund indices. Updated daily, the Morningstar Fund Indices allow you to easily keep track the various segments of the mutual fund industry over various timeframes.

Category Movers

Category Movers - Top Categories - 3 Month Return
Fund3 Month Return
As of 2024-03-31
42.60%
12.17%
11.92%
10.90%
9.95%
9.42%
9.21%
9.16%
8.83%
8.79%

Category Strategies

Represents the size of the fund. The total investments in the fund are reported at month’s end in units of millions of the fund’s native currency denomination. Canadian and US funds are denominated in their respective dollars.

Category Strategies - Total Net Assets
CategoryTotal Net Assets
As of 2024-03-31
7.8B
6.1B
4.7B
4.6B
4.3B
4.1B
4.0B
3.9B
3.8B
3.6B