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MUTUAL:AGF2100:TSX

AGF Investments Inc. – MUTUAL:AGF2100 Fund Overview

Last PriceToday's Change52-Week RangeTrading Volume
34.79 CAD0.12 (+0.33%)31.82 - 41.55--

Market data as of 12:00AM 04/01/25. Quotes are delayed by at least 15 min.

Overview - MUTUAL:AGF2100

The Fund’s objective is to provide long-term capital growth. It invests primarily in equity securities of established U.S. companies. The portfolio manager follows a bottom-up growth investment style. It uses fundamental analysis to evaluate a company’s growth potential, financial condition and management. As part of this evaluation, the portfolio manager looks for companies that have above-average earnings and/or revenue growth, display key growth characteristics relative to their own history, industry or overall market, and can sustain their competitive position.

Growth of $10,000 (10 Years)

Total Return14.96%
Yield (Trailing 12 Mo.)0.00%
Expense Ratio--
Front LoadNone
Deferred LoadNone
Minimum Investment$500.00
Management Tenure2 Years
Fund Inception04/27/2009

Trailing Total Returns - MUTUAL:AGF2100

as of 02/28/2025
TimeframeMUTUAL:AGF2100S&P 500US Equity
1 Month-4.52%-1.30%-2.09%
3 Month-1.24%-0.97%0.44%
Year-to-Date1.58%1.44%1.78%
1 Year27.35%18.41%19.73%
3 Year16.33%12.55%13.35%
5 Year20.47%16.85%14.86%
10 Year14.41%12.98%11.31%
Since Inception14.96%11.12%--

Sector Allocation - MUTUAL:AGF2100

as of 02/28/2025
Basic Materials
 
2.21%
Consumer Cyclical
 
16.01%
Financial Services
 
18.40%
Real Estate
 
0.00%
Consumer Defensive
 
0.00%
Healthcare
 
14.79%
Utilities
 
0.00%
Communication Services
 
8.64%
Energy
 
7.10%
Industrials
 
8.98%
Technology
 
23.87%

Asset Allocation - MUTUAL:AGF2100

as of 02/28/2025
By PercentShort0%LongNet
Stock--
 
 
92.9892.98
Bond--
 
 
0.000.00
Other--
 
 
0.000.00
Foreign Stock--
 
 
0.000.00
Foreign Bond--
 
 
0.000.00
Total--92.9892.98
Cash--
 
 
7.027.02
Total Net Assets$7.04B
Total Stock Holdings32
Total Bond Holdings0

Top Ten Holdings - MUTUAL:AGF2100

as of 02/28/2025
CompanyYTD Return% of Assets
NVDA--7.09%
AMZN--6.94%
BSX--5.01%
ISRG--4.62%
LLY--4.13%
HWM--4.12%
GOOGL--4.08%
META--3.96%
EXE--3.84%
AMP--3.74%

Valuation & Growth - MUTUAL:AGF2100

as of 02/28/2025
ValuationMUTUAL:AGF2100Category Range
Price/Earnings31.30
Price/Book6.77
Price/Sales5.41
Price/Cash Flow23.16
Dividend Yield0.54
LT Earnings14.54
Historical Earnings27.77
Sales Growth10.2
Cash-Flow Growth11.88
Book-Value Growth8.53
Key:  Lo 
 Hi
$95.88/year
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Morningstar Summary - MUTUAL:AGF2100, 3 Year

Management Style
Large Cap
Medium Cap
Small Cap
Ratingvs Category
Overall
RiskAbove Avg
ReturnAbove Avg
Key:  Lo 
 Hi

Tax Analysis - MUTUAL:AGF2100, 3 Year Avg

Pretax Return16.33%
Tax-adjusted Return15.94%
Tax Cost Ratio0.34%
Potential Cap Gains--

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