Pender Corporate Bond Fund Holdings
Asset Allocation | (%) |
---|---|
US Corporate Bonds | 50.7 |
Canadian Corporate Bonds | 17.0 |
Foreign Corporate Bonds | 10.2 |
Government Bonds | 9.1 |
Term Loans | 5.1 |
US Equities | 3.8 |
Canadian Equities | 3.1 |
Other Assets | 2.3 |
Cash | -1.3 |
Asset Allocation | (%) |
---|---|
US Corporate Bonds | 50.7 |
Canadian Corporate Bonds | 17.0 |
Foreign Corporate Bonds | 10.2 |
Government Bonds | 9.1 |
Term Loans | 5.1 |
US Equities | 3.8 |
Canadian Equities | 3.1 |
Other Assets | 2.3 |
Cash | -1.3 |
Sector Allocation | (%) |
---|---|
Energy | 13.7 |
Healthcare | 12.2 |
Industrials | 10.5 |
Information Technology | 10.3 |
Materials | 10.2 |
Diversified Financials | 9.3 |
Government Bonds | 9.1 |
Communication Services | 7.1 |
Consumer Discretionary | 6.1 |
Utilities | 4.5 |
Consumer Staples | 3.0 |
Other Sectors | 5.3 |
Cash | -1.3 |
Sector Allocation | (%) |
---|---|
Energy | 13.7 |
Healthcare | 12.2 |
Industrials | 10.5 |
Information Technology | 10.3 |
Materials | 10.2 |
Diversified Financials | 9.3 |
Government Bonds | 9.1 |
Communication Services | 7.1 |
Consumer Discretionary | 6.1 |
Utilities | 4.5 |
Consumer Staples | 3.0 |
Other Sectors | 5.3 |
Cash | -1.3 |
Currency Allocation | (%) |
---|---|
United States | 81.5 |
Canadian | 18.5 |
Currency Allocation | (%) |
---|---|
United States | 81.5 |
Canadian | 18.5 |
Top 10 Holdings | Maturity Date | Coupon Rate (%) | % |
---|---|---|---|
Lucid Group, Inc. | 15-Dec-26 | 1.250% | 2.7 |
Esperion Therapeutics, Inc. | 15-Nov-25 | 4.000% | 2.6 |
First Majestic Silver Corp. | 15-Jan-27 | 0.375% | 2.4 |
VeriSign, Inc | 15-Jul-27 | 4.750% | 2.1 |
Trulieve Cannabis Corp. | 06-Oct-26 | 8.000% | 2.0 |
Rivian Holdings, LLC | 15-Oct-26 | 11.215% | 1.9 |
Government of Canada | 21-Nov-24 | T-Bill | 1.8 |
Revance Therapeutics, Inc. | 15-Feb-27 | 1.75% | 1.7 |
Emergent Biosolutions Inc. | 15-Aug-28 | 3.875% | 1.7 |
Waste Management of Canada Corporation | 23-Sep-26 | 2.600% | 1.6 |
Total Percentage of Top 10 Holdings | 20.5% | ||
Total Net Assets of Fund | $2030.63M |