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Summary
Historical Data
Profile
Holdings
Performance
Risk
Purchase info
Sustainability
0P00018L3T.TO - Co-operators Very Conservative Portfolio N7575NL
Toronto - Toronto Delayed Price. Currency in CAD
Overall Portfolio Composition (%)
Cash
2.11%
Stocks
19.45%
Bonds
78.13%
Others
0.01%
Preferred
0.00%
Convertable
0.31%
Sector Weightings (%)
Sector(s)
0P00018L3T.TO
Basic Materials
1.11%
Consumer Cyclical
1.54%
Financial Services
4.43%
Real Estate
0.37%
Consumer Defensive
1.33%
Healthcare
1.53%
Utilities
0.31%
Communication Services
1.06%
Energy
1.66%
Industrials
2.97%
Technology
3.14%
Equity Holdings
Average
0P00018L3T.TO
Category Average
Price/Earnings
0.06
N/A
Price/Book
0.37
N/A
Price/Sales
0.5
N/A
Price/Cashflow
0.08
N/A
Median Market Cap
69,089.57
N/A
3 Year Earnings Growth
14.27
N/A
Bond Holdings
Average
0P00018L3T.TO
Category Average
Maturity
95.84
N/A
Duration
3.22
N/A
Credit Quality
N/A
N/A
Bond Ratings
Sector(s)
0P00018L3T.TO
US Government
48.98%
AAA
N/A
AA
N/A
A
N/A
BBB
N/A
BB
N/A
B
N/A
Below B
N/A
Others
N/A
Top 2 Holdings (32.52% of Total Assets)
Get Quotes for Top Holdings
Name
Symbol
% Assets
iShares Core Canadian Universe Bond ETF
XBB
30.03%
iShares Core S&P 500 ETF
XUS
2.49%
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