Fund Overview & Performance

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November 30, 2025

Fund Overview

The objective of the segregated fund is to invest in units of the PH&N Monthly Income Fund or a substantially similar fund. The underlying fund objective is to provide a relatively high monthly income that may consist of dividend income, interest income, realized capital gains and a return of capital, with the potential for modest capital growth, by investing in a well-diversified balanced portfolio of income-producing equity securities including, but not limited to, common shares of Canadian companies that pay dividends and income trusts, and fixed income securities such as preferred shares, government and corporate bonds, debentures and notes.

Risk Rating

This fund's risk rating is Low to Medium

As of November 30, 2025

Asset Allocation (%)

Asset Percent
Cash and Equivalents 0.2%
Other 99.8%

Sector Allocation (%)

Sector Percent
Mutual Fund 99.8%
Cash and Cash Equivalent 0.2%

Geographic Allocation (%)

Region Percent
North America 100.0%

Top 10 Holdings (%)

As of November 30, 2025

Name Percent
PH&N Monthly Income Fund Series A 99.81%
Cash and Cash Equivalents 0.19%

Growth of $10,000

As of November 30, 2025

Period:

For the period 10/30/2015 through 11/30/2025 with $10,000 CAD investment, The value of the investment would be $17,419*

Calendar Return (%)

As of November 30, 2025

Period 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Fund 11.50* 7.79* -6.14* 15.02* 3.99* 12.18* -6.65* 3.55* 11.73*
Quartile - - - - - - - - - -

Compound Return (%)

As of November 30, 2025

Period 1 mth 3 mths 6 mths 1 yr 3 yr 5 yr 10 yr
Fund 1.55* 2.67* 5.16* 6.42* 7.99* 7.29* 5.76*
Quartile - - - - - - -

Fund Information

Equitable GIF
Description Guarantee Fee FEL CB3 CB5
Investment Class (75/75) - ELC 6023 ELC 6223 ELC 6423
Estate Class (75/100) 0.30% ELC 7023 ELC 7223 ELC 7423
Protection Class (100/100) 0.60% ELC 8023 ELC 8223 ELC 8423
Available for new sales

Other Fund Information

Product Availabilty

Equitable GIF (75/75, 75/100, 100/100)

Date of Inception:

November 2025

Net Asset Value per Unit:

$10.19 (12/30/2025)
Change: $0.00 (-0.03%)

Estimated Management
Expense Ratio (MER):

2.50%

Fund Category

Canadian Neutral Balanced

Portfolio Manager

RBC Global Asset Management Inc.

Investment Style

Equity

Market Capitalization: Large

Fund Style: Growth

Fixed Income

Duration: Mid

Credit Rating: Med

Performance Chart

Period:
Chart Type:
* Must be between 1 and 50
Equitable PH&N Monthly Income

Equitable PH&N Monthly Income

Summary

For the period 10/30/2015 through 11/30/2025 with $10,000 CAD investment

Total returns performance

74.19% *

Last price

$10.16 CAD

as of market close 11/30/2025

Value of $10,000 investment

$17,418.97 *  CAD

Period:
Interval:
Effective date Price ($)

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