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Search Criteria - - - Stocks (0)
CompanyCountrySymbol
  • Fund Categories
    Asia Pacific ex-Japan Equity
    (Canada)
  • YTD Change-3.31%
  • Avg. MER*---

RISK RETURN ANALYSIS & FUND DETAILS

Select funds from the table below to display in the chart and click Go button. How do I read this chart?Tab to hear instructions on how to read the chart.
The Risk Return chart is a visual representation of where varying funds fall in a two-dimensional space described by standard deviation (risk) on the horizontal axis and return on the vertical axis. All other things being equal, funds that have higher returns and lower risk are more desirable and will be priced higher—the funds to the upper-left.

You can control three main things about this chart: the timeframe, the contents and what the circle size represents.

  • Choose from among the different timeframes (1 year, 3 year, etc.) across the top of the chart and the axes will adjust to show risk and return appropriately.

  • Use the “Highlight” list to choose the types of funds to show in the chart. The default choice, “None” will show all funds, but you can choose to focus on just TD Mutual Funds, Analysts’ Choice Funds, RRSP Eligible Funds and others.

  • The circles represent an attribute of the fund; by default the circles show the relative size of the Assets Under Management. You can also have the circle size represent relative Management Expense Ratios, Morningstar Ratings and others.
Select funds below to display in chart.
Y Axis Label
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RISK RETURN ANALYSIS & FUND DETAILS - Overview
Show TD Mutual Funds FirstSelect AllGo
Name sortableMorningstar sortableMER sortable1 Year Return sortable
CanadaRBF1075
RBC Asia Pacific ex-Japan Equity D
4 Stars4 Stars
1.38%
+11.22%
CanadaRBF475
RBC Asia Pacific ex-Japan Equity A
3 Stars3 Stars
2.20%
+10.29%
CanadaBMO22734
BMO Asian Growth & Income F
3 Stars3 Stars
1.17%
+8.01%
CanadaBMO22737
BMO Asian Growth & Income F
3 Stars3 Stars
1.17%
+8.01%
CanadaIGI1094
IG Mackenzie Pacific Intl Cl J DSC
3 Stars3 Stars
2.46%
+7.51%
CanadaBMO31154
BMO Asian Growth & Income D
2 Stars2 Stars
1.80%
+7.32%
CanadaIGI297
IG Mackenzie Pacific International A
3 Stars3 Stars
2.71%
+7.26%
CanadaIGI022
IG Mackenzie Pacific International C
2 Stars2 Stars
2.94%
+7.02%
CanadaBMO22119
BMO Asian Growth & Income Advisor U$
2 Stars2 Stars
2.60%
+6.47%
CanadaBMO22120
BMO Asian Growth & Income Advisor
2 Stars2 Stars
2.60%
+6.47%
CanadaBMO22620
BMO Asian Growth & Income Advisor
2 Stars2 Stars
2.60%
+6.47%
CanadaBMO22625
BMO Asian Growth & Income Advisor U$
2 Stars2 Stars
2.60%
+6.47%
CanadaBMO22942
BMO Asian Growth & Income Advisor
2 Stars2 Stars
2.60%
+6.47%
CanadaBMO70154
BMO Asian Growth & Income A
1 Star1 Star
2.67%
+6.40%
CanadaBMO85604
BMO Asian Growth & Income Class Advisor
2 Stars2 Stars
2.74%
+6.21%
CanadaBMO87604
BMO Asian Growth & Income Class Advisor
2 Stars2 Stars
2.74%
+6.21%
CanadaFID3135
Fidelity Far East Series P1
5 Stars5 Stars
1.10%
+3.86%
CanadaFID3139
Fidelity Far East Cl P1
5 Stars5 Stars
1.11%
+3.84%
CanadaFID616
Fidelity Far East Cl F
5 Stars5 Stars
1.19%
+3.78%
CanadaFID622
Fidelity Far East Sr F
5 Stars5 Stars
1.18%
+3.78%
CanadaFID627
Fidelity Far East Sr F
5 Stars5 Stars
1.18%
+3.78%
CanadaFID227
Fidelity Far East Sr B
5 Stars5 Stars
2.30%
+2.63%
CanadaFID722
Fidelity Far East Sr B U$
5 Stars5 Stars
2.30%
+2.63%
CanadaFID216
Fidelity Far East Cl B
4 Stars4 Stars
2.32%
+2.62%
CanadaFID422
Fidelity Far East Sr A U$
4 Stars4 Stars
2.50%
+2.42%
CanadaFID537
Fidelity Far East Sr A
4 Stars4 Stars
2.50%
+2.42%
CanadaFID516
Fidelity Far East Cl A
4 Stars4 Stars
2.51%
+2.40%
Show TD Mutual Funds FirstSelect AllGo

Asia Pacific ex-Japan Equity

Funds in the Asia Pacific ex-Japan Equity category must invest at least 90% of their equity holdings in securities domiciled in 2 or more countries in the Asia/Pacific Rim region. Funds that qualify for Greater China Equity, or funds with more than 5% of equity holdings in Japanese equity securities are excluded from the category.

FUND STRATEGIES

Data as of Sunday, Oct 31, 2021
The average amount that it costs to operate a fund on investors’ behalf. The Management Expense Ratio (MER) includes advisor fees, custodial fess, taxes, 12b-1 fees, and other operating expenses. This is an important measure, especially for those investors focusing on post-expense returns.
FUND STRATEGIES - Assets under Mgmt
Show TD Mutual Funds First
Name sortableMER sortable
CanadaFID3135
Fidelity Far East Series P1
1.10%
CanadaFID3139
Fidelity Far East Cl P1
1.11%
CanadaBMO22734
BMO Asian Growth & Income F
1.17%
CanadaBMO22737
BMO Asian Growth & Income F
1.17%
CanadaFID622
Fidelity Far East Sr F
1.18%
CanadaFID627
Fidelity Far East Sr F
1.18%
CanadaFID616
Fidelity Far East Cl F
1.19%
CanadaRBF1075
RBC Asia Pacific ex-Japan Equity D
1.38%
CanadaBMO31154
BMO Asian Growth & Income D
1.80%
CanadaRBF475
RBC Asia Pacific ex-Japan Equity A
2.20%