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Download Scotiabank BMG BullionFund Physical Holdings List | Download Scotiabank BMG Gold BullionFund Physical Holdings List | Download Scotiabank BMG Silver BullionFund Physical Holdings List

NOTE

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  • Daily change, MTD and YTD performance values as of the most recent NAV.
  • Compounded Annual Returns are for periods greater than one year.

Overview
As of March 24, 2017, values in USD

BMG Silver BullionFund – Class F USD

BMG Silver BullionFund provides investors with a convenient way of holding physical silver in bullion form.

BMG Silver BullionFund has a fixed investment mandate to purchase equal dollar amounts of silver and to hold minimum of 95 percent of its assets in bullion. No derivatives, futures contracts, options or certificates are used, and BMG BullionFund does not rebalance its holdings or attempt to time the market.

As a result, BMG Silver BullionFund’s assets are not dependent on anyone’s promise, representation or ability to perform. BMG Silver BullionFund’s assets are not someone else’s liability.

Performance Overview Sheet

Fund Objective

The Fund’s objective is to provide a secure, convenient, low cost, medium-risk alternative for investors seeking bullion for capital preservation, capital appreciation, portfolio diversification and portfolio hedging.

Fund Strategy

BMG Silver BullionFund is an open-end mutual fund trust with a fixed investment policy that requires it to purchase equal dollar amounts of physical silver bullion. The bullion is to be held in allocated, insured storage. No derivatives, futures contracts, options or certificates are used. The maximum cash component is five percent. The fund invests in a responsible manner and adheres to the “criteria for responsible investing.”

Risk Level:

The Fund is suitable for investors who have a medium risk tolerance.

When you invest in a Fund, the value of your investment can go down as well as up. The Fund Manager has rated this Fund’s risk as medium.

Bullion Holdings from ScotiaMocatta

Quick Facts  
Date of Inception September 26, 2016
Net Assets $3,986,610
Assets – Class F $370,493
MER N/A
NAV per unit $6.71
Fund Code* BMG403
CUSIP 05583L206
ISIN CA05583L2066
*Available in Class A, F, G, E, S1, S2. Consult your advisor to determine which class is appropriate for you.


Terms  
Minimum Investment $1,000
Management Fee 1.25%
Commission 0%
Subscription daily
Redemption daily
Fund Type open-end
 

Back Office  
Auditor BDO Canada LLP
Legal Counsel Fasken Martineau DuMoulin LLP
Trustee Bullion Management Services Inc.
Custodian The Bank of Nova Scotia
Administrator RBC Investor Services

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