• NAV
    8.93
  • TODAY'S CHANGE (%)
    Trending Up0.01 (0.11%)
  • Investment Style
    ---
  • 52 Week Range
    Low 8.62
    High 9.16
  • Distribution Yield
    2.97%
  • MER
    1.05
  • AUM
    ---
  • RRSP Eligibility
    Yes
  • Load Type
    No Load
  • Overall Morningstar Rating
    3 out of 5 Stars
    out of 408 funds

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CompanyCountrySymbol
Select growth of 10k Options
Graph. See accessible table below
Growth of 10K Chart Accessibility Table. Data as Of Sep 30, 2024
DatePercent ChangeCategory Percent Change
October 20240.11%0.11%
September 20240.13%0.12%
August 20240.12%0.11%
July 20240.11%0.10%
June 20240.09%0.08%
May 20240.08%0.07%
April 20240.07%0.06%
March 20240.09%0.07%
February 20240.08%0.06%
January 20240.08%0.07%
December 20230.08%0.06%
November 20230.05%0.04%
October 20230.01%0.00%
September 20230.02%0.01%
August 20230.04%0.02%
July 20230.04%0.02%
June 20230.05%0.02%
May 20230.04%0.02%
April 20230.04%0.03%
March 20230.04%0.02%
February 20230.03%0.01%
January 20230.04%0.03%
December 20220.02%0.00%
November 20220.02%0.00%
October 2022-0.01%-0.02%
September 2022-0.01%-0.02%
August 20220.02%0.00%
July 20220.04%0.02%
June 20220.02%-0.01%
May 20220.04%0.02%
April 20220.05%0.02%
March 20220.07%0.05%
February 20220.10%0.07%
January 20220.11%0.08%
December 20210.13%0.10%
November 20210.13%0.10%
October 20210.13%0.10%
September 20210.13%0.11%
August 20210.14%0.11%
July 20210.15%0.11%
June 20210.14%0.10%
May 20210.13%0.09%
April 20210.13%0.09%
March 20210.12%0.08%
February 20210.13%0.09%
January 20210.15%0.10%
December 20200.15%0.10%
November 20200.15%0.10%
October 20200.13%0.08%
September 20200.13%0.08%
August 20200.13%0.08%
July 20200.13%0.08%
June 20200.11%0.06%
May 20200.10%0.05%
April 20200.08%0.03%
March 20200.05%0.00%
February 20200.10%0.08%
January 20200.09%0.07%
December 20190.08%0.06%
November 20190.08%0.06%
October 20190.08%0.06%
September 20190.08%0.05%
August 20190.09%0.06%
July 20190.07%0.05%
June 20190.06%0.04%
May 20190.04%0.03%
April 20190.03%0.03%
March 20190.03%0.02%
February 20190.01%0.01%
January 20190.01%0.00%
December 2018-0.01%-0.01%
November 2018-0.02%-0.02%
October 2018-0.01%-0.02%
September 20180.00%-0.01%
August 20180.00%-0.01%
July 20180.01%-0.01%
June 20180.00%-0.01%
May 20180.00%-0.01%
April 20180.01%-0.01%
March 20180.02%-0.01%
February 20180.01%-0.01%
January 20180.02%-0.01%
December 20170.01%-0.01%
November 20170.01%0.00%
October 20170.01%0.00%
September 20170.01%-0.01%
August 20170.01%-0.01%
July 20170.00%-0.02%
June 20170.00%-0.01%
May 20170.00%0.00%
No reports available

Calendar Year Total Returns

Total Returns Table
YearFundBest-Fit IndexCategory
As of 2024-10-31
2023
+6.37%
+6.33%
+6.62%
2022
-10.00%
-11.53%
-9.32%
2021
-2.18%
-1.39%
-0.13%
2020
+7.16%
+5.33%
+4.42%
2019
+8.19%
+7.43%
+6.80%
Asset Class
Asset Class
Fixed Income
100.4%
Other
1.2%
CDN Equity
0
Int'l Equity
0
US Equity
0
Cash
-1.6%
Sectors
No data available
Geographic Region
Geographic Region
No data available
As of 2024-11-21
Top 10 Holdings
Company Name sortablePosition sortableAllocation sortable
Allocation
1 Month Change
sortable
Market Value sortable
CanadaiShares China CNY Bond ETF EUR Hdg Acc
Long
9.9%
0.00%
$107.6M
CanadaUnited States Treasury Notes 4%
Long
7.8%
0.00%
$84.3M
CanadaUnited States Treasury Notes 3.875%
Long
6.0%
+6.64%
$64.9M
United StatesKorea (Republic Of) 4.25%
Long
3.3%
---
$35.3M
CanadaUnited States Treasury Notes 4%
Long
3.1%
-56.84%
$33.3M
United StatesSpain (Kingdom of) 3.45%
Long
3.1%
0.00%
$33.2M
United StatesUnited Kingdom of Great Britain and Northern Ireland 1.5%
Long
2.4%
---
$26.3M
CanadaUnited States Treasury Notes 4.625%
Long
2.0%
0.00%
$21.3M
United StatesItaly (Republic Of) 4.4%
Long
1.7%
0.00%
$18.8M
CanadaUnited States Treasury Notes 3.75%
Long
1.6%
+70.00%
$17.3M
As of 2024-11-21
Fund Profile
Best Fit Index
Bloomberg Global Aggregate TR Hdg CAD
Category
Sponsor
National Bank Trust Inc
Inception
May 19, 2017
As of 2024-10-31

The NBI Global Tactical Bond Fund’s investment objective is to generate income and capital growth, while focusing on capital preservation. To do this, the fund invests directly, or indirectly through investments in securities of other mutual funds or through the use of derivatives, in a diverse portfolio mainly composed of bonds and other foreign fixed-income securities with various maturities and credit ratings. The fund invests primarily in a diverse mix of foreign fixed-income securities, which may include debt securities issued by governments, municipalities and companies in developed and emerging countries, agency securities and high-yield bonds.

Holding Details
Total Net Assets$3.2M
Annual Portfolio Turnover147.43%
Equity Style
---
Credit Quality / Duration
---
Tax-Adjusted Rating
Please Note: Not Rated
FUND IS OPEN TO NEW INVESTORS
Initial Investment(s)$500
Subsequent Investment(s)$50
Initial RRSP Investment(s)$500
Subsequent RRSP Investment(s)$50
Fees & Expenses
Maximum Initial Sales Fees---
Maximum Deferred Sales Fees---
Actual Management Fee0.84%
Actual Mgmt. Expense Ratio (MER)1.05%
Load TypeNo Load

Morningstar Ratings

Morningstar Ratings Table
Time HorizonStar Rating
Tax-Adjusted Rating
Overall
3 out of 5 Stars
---No Tax-Adjusted Rating Available
3 Year
4 out of 5 Stars
---No Tax-Adjusted Rating Available
5 Year
3 out of 5 Stars
---No Tax-Adjusted Rating Available
10 YearPlease Note: Not Rated---No Tax-Adjusted Rating Available
As of 2024-10-31

Past performance is no guarantee of future results. The ratings reflect historical risk-adjusted performance, and the overall rating is derived from a weight average of the fund's 3, 5, and 10 year (Morningstar Rating) metrics.

Style Box is calculated only using the long position holdings of the portfolio.

Management & Contact

Contact Information

National Bank Trust Inc
1100 University Street 10th Floor
Montreal QC Canada H3B 2G7
Tel: +1 8774637627
Fax: 514 871 7695
Portfolio Manager since January 03, 2014
Brendan Murphy