FGP Canadian Equity Fund
About the fund
- Disciplined Investment Approach: Uses a long-term, bottom-up, value-oriented approach supported by comprehensive fundamental research.
- Diverse Portfolio: Invests in a diversified mix of Canadian equities investments, including common and preferred shares, income trusts, and REITs, aiming for broad market exposure.
- Performance: With a focus on generating attractive total returns, the Fund aims to exceed the return of the S&P/TSX Composite Index over a market cycle.
Performance
INSTITUTIONAL AND DIRECT CLIENTS
FGP Canadian Equity Fund
Investment returns are expressed in Canadian dollars unless otherwise noted, gross of investment management fees, net of fund expenses for FGP pooled funds, and include reinvestment of dividends and income. Returns are time weighted and annualized for periods greater than one year. Values change frequently and past investment performance may not be repeated.
ADVISORS
Canadian Equity Fund
Investment returns are expressed in Canadian dollars unless otherwise noted, gross of investment management fees, net of fund expenses for FGP pooled funds, and include reinvestment of dividends and income. Returns are time weighted and annualized for periods greater than one year. Values change frequently and past investment performance may not be repeated.
View Investment Policy Statement
Portfolio Management Team
Bryan Pilsworth, CFA, MBA
President & CEO, Portfolio Manager, Canadian Equities
Tom Duncanson, CFA
Vice President & Portfolio Manager, Canadian Equities
Brandon Tu, CFA, CPA, CA, MAcc
Vice President & Portfolio Manager, Canadian Equities
Zubaida Mirza, CFA, MBA
Vice President & Senior Research Analyst, Canadian Equities
John Berry, CFA, MBA, MASc
Senior Vice President & Distinguished Research Fellow, Canadian Equities
Graeme Lang, BA
Head Trader, Equities
Ben Lambert, BBA
Junior Research Analyst, Canadian Equities