Results Total: 40
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Search Results
As of November 17, 2017As of October 31, 2017
Add FavouriteFund NameNAV*Currency1 Day
$ Chg
1 Yr3 YrSince
Inception**
CI G5|20 2038 Q3 Fund 12.24 CAD 0.02 6.96 3.95 5.08
CI G5|20 2038 Q4 Fund 11.49 CAD 0.01 6.86 3.49 3.67
CI G5|20 2039 Q1 Fund A 11.04 CAD 0.01 6.63 3.26 2.85
CI G5|20 2039 Q1 Fund F 11.49 CAD 0.02 7.82 4.39 3.92
CI G5|20 2039 Q2 Fund A 10.89 CAD 0.02 6.27 3.12 2.73
CI G5|20 2039 Q2 Fund F 11.31 CAD 0.02 7.36 4.26 3.83
CI G5|20 2039 Q3 Fund A 11.03 CAD 0.02 6.27 3.25 3.23
CI G5|20 2039 Q3 Fund F 11.42 CAD 0.02 7.49 4.39 4.29
CI G5|20 2039 Q4 Fund A 10.59 CAD 0.02 5.99 2.20 2.14
CI G5|20 2039 Q4 Fund F 10.93 CAD 0.02 7.20 3.26 3.17
CI G5|20 2040 Q1 Fund A 9.72 CAD 0.02 3.16 -0.75
CI G5|20 2040 Q1 Fund F 10.00 CAD 0.02 4.26 0.25
CI G5|20 2040 Q2 Fund A 9.96 CAD 0.01 4.08 0.13
CI G5|20 2040 Q2 Fund F 10.22 CAD 0.02 5.26 1.13
CI G5|20 2040 Q3 Fund A 10.93 CAD 0.01 6.60 4.22
CI G5|20 2040 Q3 Fund F 11.19 CAD 0.02 7.73 5.25
CI G5|20 2040 Q4 Fund A 10.77 CAD 0.01 6.85 4.12
CI G5|20 2040 Q4 Fund F 11.00 CAD 0.02 9.20 5.71
CI G5|20 2041 Q1 Fund A 11.05 CAD 0.01 6.77 6.08
CI G5|20 2041 Q1 Fund F 11.25 CAD 0.02 8.08 7.13
CI G5|20 2041 Q2 Fund A 10.89 CAD 0.02 6.42 6.10
CI G5|20 2041 Q2 Fund F 11.07 CAD 0.02 7.61 7.11
CI G5|20i 2034 Q2 Fund A 8.55 CAD 0.01 3.40 1.10 1.00
CI G5|20i 2034 Q2 Fund F 8.91 CAD 0.01 4.50 2.21 2.08
CI G5|20i 2034 Q3 Fund A 8.96 CAD 3.69 1.52 1.61
CI G5|20i 2034 Q3 Fund F 9.30 CAD 4.83 2.63 2.64
CI G5|20i 2034 Q4 Fund A 8.53 CAD 0.01 3.07 0.24 0.23
CI G5|20i 2034 Q4 Fund F 8.83 CAD 0.01 4.13 1.30 1.26
CI G5|20i 2035 Q1 Fund A 8.36 CAD 0.01 2.41 -0.84
CI G5|20i 2035 Q1 Fund F 8.63 CAD 0.01 3.50 0.19
CI G5|20i 2035 Q2 Fund A 8.68 CAD 0.01 3.19 -0.16
CI G5|20i 2035 Q2 Fund F 8.94 CAD 0.01 4.35 0.90
CI G5|20i 2035 Q3 Fund A 9.13 CAD 0.01 3.64 1.34
CI G5|20i 2035 Q3 Fund F 9.36 CAD 0.01 4.72 2.33
CI G5|20i 2035 Q4 Fund A 9.11 CAD 0.01 3.55 0.79
CI G5|20i 2035 Q4 Fund F 9.32 CAD 0.01 4.65 1.81
CI G5|20i 2036 Q1 Fund A 9.66 CAD 0.01 3.60 3.21
CI G5|20i 2036 Q1 Fund F 9.84 CAD 0.02 4.81 4.20
CI G5|20i 2036 Q2 Fund A 9.63 CAD 0.01 3.85 2.71
CI G5|20i 2036 Q2 Fund F 9.78 CAD 0.01 5.01 3.63

* Depending on the time of day, the price shown for a fund is the price at the close of the current or previous business day. Some funds report weekly, monthly or quarterly. If a date appears when hovering over a value, the price listed is the price at the close of that date.

** Inception date can be found by hovering over corresponding value.

*** Canadian law does not allow the display of performance data for funds less than one year old.

Performance data is current to the end of the previous month.

Monthly performance profiles are available for Class A and Class F funds by clicking on the fund name (Canadian dollar purchase option only).

Note about currency: CI’s U.S. dollar funds are identified with "US$" in their fund names. Funds that include reference to "USD" at the end of the fund name are a U.S. dollar purchase option provided as a convenience for purchasing, transferring and redeeming certain classes of securities in funds with U.S. dollar denomination and is not a means to effect currency arbitrage.

Note about Class E, EF and O: CI Private Investment Management (PIM), which offers CI Fund Class E, EF and O securities, is closed to new investors effective July 28, 2017. After this date, only Existing PIM investors or PIM Household Groups as of July 28, 2017 (Existing PIM Household Groups), as well as investors or accounts eligible to join Existing PIM Household Groups, will be able to purchase Class E, EF and O securities.