Pooled Fund Pricing
Daily Report
| Fund | 23/Dec/2025 | 24/Dec/2025 | Change | Currency | Distribution Rate | Distribution Date |
|---|---|---|---|---|---|---|
| FGP Balanced Fund | 42.037 | 42.022 | (0.015) | CAD | 0.066961 | 28/Nov/2025 |
| FGP Private Balanced Fund | 66.865 | 66.838 | (0.027) | CAD | 0.102521 | 28/Nov/2025 |
| FGP Private Balanced Fund Class 'F' | 12.533 | 12.528 | (0.005) | CAD | 0.014463 | 28/Nov/2025 |
| FGP Money Market Fund | 22.752 | 22.755 | 0.0030 | CAD | 0.000000 | 28/Nov/2025 |
| FGP Short Term Bond Fund | 9.940 | 9.943 | 0.0030 | CAD | 0.021793 | 28/Nov/2025 |
| FGP Short Term Bond Fund Class 'F' | 10.172 | 10.175 | 0.0030 | CAD | 0.020895 | 28/Nov/2025 |
| FGP Long Term Bond Fund | 8.357 | 8.384 | 0.0270 | CAD | 0.024957 | 28/Nov/2025 |
| FGP Long Term Bond Fund Class 'F' | 9.735 | 9.766 | 0.0310 | CAD | 0.026956 | 28/Nov/2025 |
| FGP Corporate Bond Fund | 10.737 | 10.746 | 0.0090 | CAD | 0.043230 | 28/Nov/2025 |
| FGP Corporate Plus Bond Fund | 9.561 | 9.569 | 0.0080 | CAD | 0.024058 | 28/Nov/2025 |
| FGP Corporate Plus Bond Fund Class 'F' | 9.546 | 9.555 | 0.0090 | CAD | 0.022788 | 28/Nov/2025 |
| FGP Universe Bond Fund | 9.098 | 9.109 | 0.0110 | CAD | 0.026232 | 28/Nov/2025 |
| FGP Universe Bond Fund Class 'F' | 8.791 | 8.802 | 0.0110 | CAD | 0.023620 | 28/Nov/2025 |
| FGP Core Plus Fund | 9.004 | 9.015 | 0.0110 | CAD | 0.024550 | 28/Nov/2025 |
| FGP Core Plus Fund Class 'F' | 9.323 | 9.335 | 0.0120 | CAD | 0.022174 | 28/Nov/2025 |
| FGP Income Fund | 54.991 | 55.012 | 0.0210 | CAD | 0.147939 | 28/Nov/2025 |
| FGP Preferred Share Fund | 15.247 | 15.268 | 0.0210 | CAD | 0.052390 | 28/Nov/2025 |
| FGP Preferred Share Fund Class 'F' | 16.070 | 16.092 | 0.0220 | CAD | 0.047019 | 28/Nov/2025 |
| FGP Mortgage Fund | 10.370 | 10.371 | 0.0010 | CAD | 0.018809 | 28/Nov/2025 |
| FGP Canadian Equity Fund | 226.620 | 226.466 | (0.154) | CAD | 0.433955 | 28/Nov/2025 |
| FGP Canadian Equity Fund Class 'F' | 14.471 | 14.461 | (0.010) | CAD | 0.025520 | 28/Nov/2025 |
| FGP Private Canadian Equity Fund | 142.424 | 142.330 | (0.094) | CAD | 0.260599 | 28/Nov/2025 |
| FGP Canadian Ex-Energy Equity Fund | 16.869 | 16.864 | (0.005) | CAD | 0.037518 | 28/Nov/2025 |
| FGP Canadian Equity Dividend Fund | 13.663 | 13.652 | (0.011) | CAD | 0.032733 | 28/Nov/2025 |
| FGP Small Cap Canadian Equity Fund | 21.524 | 21.507 | (0.017) | CAD | 0.024998 | 28/Nov/2025 |
| FGP U.S. Equity Fund | 92.182 | 92.155 | (0.027) | CAD | 0.031663 | 28/Nov/2025 |
| FGP Private U.S. Equity Fund | 146.544 | 146.947 | 0.4030 | USD | 0.041431 | 28/Nov/2025 |
| FGP Private U.S. Equity Fund (CAD) | 200.919 | 200.855 | (0.064) | CAD | 0.057757 | 28/Nov/2025 |
| FGP Private U.S. Equity Fund (CAD) Class 'F' | 12.364 | 12.360 | (0.004) | CAD | 0.000418 | 28/Nov/2025 |
| FGP International Equity Fund | 134.991 | 134.637 | (0.354) | CAD | 0.041662 | 28/Nov/2025 |
| FGP International Equity Fund Class 'F' | 15.837 | 15.795 | (0.042) | CAD | 0.000000 | 28/Nov/2025 |
| FGP Global Equity Fund Class ‘B’ | 15.746 | 15.719 | (0.027) | CAD | 0.007522 | 28/Nov/2025 |
| FGP Private Global Equity Fund | 17.438 | 17.408 | (0.030) | CAD | 0.009534 | 28/Nov/2025 |
| FGP Global Smaller Companies Fund | 11.781 | 11.744 | (0.037) | CAD | 0.005022 | 28/Nov/2025 |
| FGP Global Smaller Companies Fund Class 'F' | 10.831 | 10.797 | (0.034) | CAD | 0.000245 | 28/Nov/2025 |
Month End Report
| Fund | 27-November-2025 | 28-November-2025 (Pre-Dist) | 28-November-2025 (Post-Dist) | Change | Currency | Distribution Rate | Distribution Date |
|---|---|---|---|---|---|---|---|
| FGP Balanced Fund | 41.952 | 41.966 | 41.899 | (0.053) | CAD | 0.066961 | 28-Nov-25 |
| FGP Private Balanced Fund | 66.704 | 66.715 | 66.612 | (0.092) | CAD | 0.102521 | 28-Nov-25 |
| FGP Private Balanced Fund Class 'F' | 12.503 | 12.504 | 12.490 | (0.013) | CAD | 0.014463 | 28-Nov-25 |
| FGP Money Market Fund | 22.711 | 22.711 | 22.711 | 0.000 | CAD | 0.000000 | 28-Nov-25 |
| FGP Short Term Bond Fund | 9.988 | 9.987 | 9.965 | (0.023) | CAD | 0.021793 | 28-Nov-25 |
| FGP Short Term Bond Fund Class 'F' | 10.221 | 10.220 | 10.199 | (0.022) | CAD | 0.020895 | 28-Nov-25 |
| FGP Long Term Bond Fund | 8.646 | 8.640 | 8.615 | (0.031) | CAD | 0.024957 | 28-Nov-25 |
| FGP Long Term Bond Fund Class 'F' | 10.071 | 10.065 | 10.038 | (0.033) | CAD | 0.026956 | 28-Nov-25 |
| FGP Corporate Bond Fund | 10.847 | 10.844 | 10.801 | (0.046) | CAD | 0.043230 | 28-Nov-25 |
| FGP Corporate Plus Bond Fund | 9.646 | 9.642 | 9.618 | (0.028) | CAD | 0.024058 | 28-Nov-25 |
| FGP Corporate Plus Bond Fund Class 'F' | 9.633 | 9.630 | 9.607 | (0.026) | CAD | 0.022788 | 28-Nov-25 |
| FGP Universe Bond Fund | 9.238 | 9.234 | 9.208 | (0.030) | CAD | 0.026232 | 28-Nov-25 |
| FGP Universe Bond Fund Class 'F' | 8.927 | 8.924 | 8.900 | (0.027) | CAD | 0.023620 | 28-Nov-25 |
| FGP Core Plus Fund | 9.125 | 9.123 | 9.098 | (0.027) | CAD | 0.024550 | 28-Nov-25 |
| FGP Core Plus Fund Class 'F' | 9.448 | 9.445 | 9.423 | (0.025) | CAD | 0.022174 | 28-Nov-25 |
| FGP Income Fund | 54.612 | 54.726 | 54.578 | (0.034) | CAD | 0.147939 | 28-Nov-25 |
| FGP Preferred Share Fund | 15.016 | 15.081 | 15.029 | 0.013 | CAD | 0.052390 | 28-Nov-25 |
| FGP Preferred Share Fund Class 'F' | 15.827 | 15.896 | 15.849 | 0.022 | CAD | 0.047019 | 28-Nov-25 |
| FGP Mortgage Fund | 10.379 | 10.374 | 10.355 | (0.024) | CAD | 0.018809 | 28-Nov-25 |
| FGP Canadian Equity Fund | 222.215 | 223.095 | 222.661 | 0.446 | CAD | 0.433955 | 28-Nov-25 |
| FGP Canadian Equity Fund Class 'F' | 14.193 | 14.249 | 14.223 | 0.030 | CAD | 0.025520 | 28-Nov-25 |
| FGP Private Canadian Equity Fund | 139.641 | 140.192 | 139.931 | 0.290 | CAD | 0.260599 | 28-Nov-25 |
| FGP Canadian Ex-Energy Equity Fund | 16.293 | 16.327 | 16.289 | (0.004) | CAD | 0.037518 | 28-Nov-25 |
| FGP Canadian Equity Dividend Fund | 13.522 | 13.551 | 13.518 | (0.004) | CAD | 0.032733 | 28-Nov-25 |
| FGP Small Cap Canadian Equity Fund | 20.961 | 21.069 | 21.044 | 0.083 | CAD | 0.024998 | 28-Nov-25 |
| FGP U.S. Equity Fund | 91.933 | 91.805 | 91.773 | (0.160) | CAD | 0.031663 | 28-Nov-25 |
| FGP Private U.S. Equity Fund | 142.858 | 143.595 | 143.554 | 0.696 | USD | 0.041431 | 28-Nov-25 |
| FGP Private U.S. Equity Fund (CAD) | 200.465 | 200.179 | 200.121 | (0.344) | CAD | 0.057757 | 28-Nov-25 |
| FGP Private U.S. Equity Fund (CAD) Class 'F" | 12.337 | 12.319 | 12.319 | (0.018) | CAD | 0.000418 | 28-Nov-25 |
| FGP International Equity Fund | 135.813 | 135.194 | 135.152 | (0.661) | CAD | 0.041662 | 28-Nov-25 |
| FGP International Equity Fund Class 'F' | 15.936 | 15.863 | 15.863 | (0.073) | CAD | 0.000000 | 28-Nov-25 |
| FGP Global Equity Fund | 15.968 | 15.916 | 15.908 | (0.060) | CAD | 0.007522 | 28-Nov-25 |
| FGP Private Global Equity Fund | 17.690 | 17.632 | 17.622 | (0.068) | CAD | 0.009534 | 28-Nov-25 |
| FGP Global Smaller Companies Fund | 11.737 | 11.668 | 11.663 | (0.074) | CAD | 0.005022 | 28-Nov-25 |
| FGP Global Smaller Companies Fund Class 'F' | 10.792 | 10.728 | 10.728 | (0.064) | CAD | 0.000245 | 28-Nov-25 |