CC&L Diversified Income Portfolio Sr F

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Morningstar Rating™(Relative to Category)31-03-2024
 Morningstar ReturnMorningstar RiskMorningstar Rating™
3-YearAverageBelow Average3 star
5-YearAverageBelow Average3 star
10-YearAbove AverageBelow Average4 star
OverallAbove AverageBelow Average4 star
 
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1 Year Day Volatility Chart (annualised)
  • CC&L Diversified Income Portfolio Sr F
  • Morningstar Can Neu Gbl Tgt Alloc NR CAD
%
Volatility Measurements30-04-2024
 
3-Yr Std Dev7.23 %
3-Yr Mean Return1.73 %
 
3-Yr Sharpe Ratio-0.14
 
Modern Portfolio Statistics30-04-202430-04-2024
 Standard IndexBest Fit Index
 Morningstar Can Neu Gbl Tgt Alloc NR CAD  Morningstar Can Neu Gbl Tgt Alloc NR CAD
3-Yr Beta0.820.82
3-Yr Alpha-1.57-1.57
 
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In order to provide consistency across the report data provided by different Asset Managers, the calculated data points presented are generated using Morningstar’s proprietary calculation methodology which is set out in more detail at(https://www.morningstar.com/research/signature)
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