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Co-operators Very Conservative Port VP (F0CAN05P7B.TO)

144.55 Up 0.17(0.12%) Jul 29

Performance Overview as of Jun 29, 2014Get Performance Overview for:
Performance Overview 
Morningstar Return Rating:2.00
Year-to-Date Return:4.42%
5-Year Average Return:3.73%
Number of Years Up:9
Number of Years Down:1
Best 1 Yr Total Return (2009-12-31):7.87%
Worst 1 Yr Total Return (2008-12-31):-6.30%
Best 3-Yr Total Return (N/A):5.65%
Worst 3-Yr Total Return (N/A):-0.59%
Load Adjusted Returns 
1-Year:6.59%
3-Year:3.10%
5-Year:3.73%
10-Year:3.34%
Trailing Returns (%) vs. Benchmarks 
ReturnF0CAN05P7B.TOCategoryDiffIndex*Diff
Year To Date4.42N/AN/AN/AN/A
1-Month0.28N/AN/AN/AN/A
3-Month1.65N/AN/AN/AN/A
1-Year6.59N/AN/AN/AN/A
3-Year3.10N/AN/AN/AN/A
5-Year3.73N/AN/AN/AN/A
Last Bull Market ( to )N/AN/AN/AN/AN/A
Last Bear Market ( to )N/AN/AN/AN/AN/A
Annual Total Return (%) History () 
YearF0CAN05P7B.TOCategoryDiff
2014N/AN/AN/A
2013
 
1.04N/AN/A
2012
 
2.82N/AN/A
2011
 
1.27N/AN/A
2010
 
5.37N/AN/A
2009
 
7.87N/AN/A
2008
 
-6.30N/AN/A
2007
 
1.01N/AN/A
2006
 
3.81N/AN/A
2005
 
6.68N/AN/A
2004
 
6.47N/AN/A
Past Quarterly Returns (%) for F0CAN05P7B.TO 
Q1Q2Q3Q4
20142.731.65N/AN/A
20131.46-2.440.401.67
20120.440.531.570.26
20110.54-0.28-0.681.70
20101.24-0.043.390.70
2009-0.154.163.670.05
20080.340.08-4.36-2.44
20070.62-1.200.630.97
20060.68-1.903.591.46
20051.433.031.290.78
20042.54-2.192.643.43
Rank in Category (by total return) 
PeriodRankFunds in Category% Rank
Year To Date65N/A
1-Month82N/A
3-Month54N/A
6-Month65N/A
1-Year92N/A
3-Year99N/A
5-Year97N/A