Canoe Energy Income Portfolio Class F

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  • NAV / 1-Day Return
    7.43 / 0.64%
  • Investment Size
    391.5 Mil
  • TTM Yield
    6.32%
  • MER
    1.73%
  • Share Class Type
    Fee-based Advice
  • Minimum Initial Investment
    2,500
  • Category
    Canada Fund Energy Equity
  • Investment Style
    Mid Value
  • Turnover
    108%
  • Risk Level
    High
  • Inception Date
    Jan 09, 2012
  • Status
    Open

Portfolio

Portfolio

Asset Allocation

Asset Class Net Short Long Cat. Index
Canadian Equity 79.07 0.00 79.07 73.97 17.86
U.S. Equity 17.02 0.00 17.02 18.40 68.94
International Equity 0.72 0.00 0.72 3.34 13.20
Fixed Income 0.00 0.00 0.00 0.00 0.00
Other 1.21 0.00 1.21 1.96 0.00
Cash 1.97 0.01 1.98 3.93 0.00

Stock Style

Factor Profile

Style Yield Momentum Quality Volatility Liquidity Size
Style Yield Mom. Quality Vola. Liquidity Size

Canoe Energy Income Portfolio Class F

5-Yr Historical Range

Category Average

Style Measures

Measures

Value & Growth Measures Investment Cat. Average Index
Price/Earnings 9.43 10.39 11.10
Price/Book 1.49 1.39 1.21
Price/Sales 1.84 1.36 1.88
Price/Cash Flow 5.00 4.71 4.11
Dividend Yield % 6.76 4.62 4.67
Long-Term Earnings % 6.29 11.62 7.01
Historical Earnings % 1.60 -8.36 -2.69
Sales Growth % 10.09 8.39 5.09
Cash-Flow Growth % -1.44 0.77 -2.80
Book-Value Growth % 9.33 8.89 12.91
Investment as of Feb 28, 2025 | Category: Energy Equity as of Apr 30, 2025 | Index: Morningstar Gbl Oil&Gas EandP GR CAD as of Apr 30, 2025 | Data is based on the long position of the equity holdings.

Exposure

Sectors Investment % Category Cat %
Basic Materials 0.00 0.19
Consumer Cyclical 0.00 0.00
Financial Services 0.00 0.00
Real Estate 0.00 0.00
Communication Services 0.00 0.00
Energy 100.00 97.83
Industrials 0.00 0.53
Technology 0.00 0.67
Consumer Defensive 0.00 0.00
Healthcare 0.00 0.00
Utilities 0.00 0.78

Financial Metrics

Metrics Investment Category Index
Wide Moat Coverage %
Narrow Moat Coverage %
No Moat Coverage %
Financial Health
Profitability
Growth
ROIC
Cash Return %
Free Cashflow Yield ex-Financials
D/C Ratio

Holdings

  • Current Portfolio Date
    Feb 28, 2025
  • Equity Holdings
    19
  • Bond Holdings
    0
  • Other Holdings
    6
  • % Assets in Top 10 Holdings
    77
  • Reported Turnover %
    108.33
  • Active Share
    95.93
Holdings
% Portfolio Weight
First Bought
Market Value CAD as of Feb 28, 2025
Share Change %
1-Year Return
P/E
Equity Star Rating
Economic Moat
ESG Risk Rating Assessment
Sector
Tourmaline Oil Corp 10.51 Feb 29, 2020 42,399,734 0.73
Energy
PrairieSky Royalty Ltd 10.12 Jan 31, 2020 40,840,416 -3.84
Energy
Peyto Exploration & Development Corp 9.93 Apr 30, 2024 40,052,558 29.46
Energy
Headwater Exploration Inc 9.65 Sep 30, 2022 38,920,732 -10.23
Energy
Topaz Energy Corp Ordinary Shares 8.24 Nov 30, 2020 33,229,454 18.05
Energy
PHX Energy Services Corp 7.71 Apr 30, 2021 31,129,584 -1.11
Energy
Canadian Natural Resources Ltd 5.48 Feb 28, 2025 22,112,105 -14.34
Energy
Trican Well Service Ltd 5.16 Nov 30, 2023 20,815,773 7.03
Energy
Expand Energy Corp Ordinary Shares - New 5.13 Oct 31, 2024 20,714,312 27.97 15.34
Energy
Range Resources Corp 5.00 Nov 30, 2023 20,182,528 3.09 10.92
Energy
Holdings as of Feb 28, 2025 | The top 25 largest holdings are available for display across Equity, Bond and Other. Active Share as of Apr 30, 2025. Active Share index: iShares S&P/TSX Capped Energy ETF

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