As of July 20, 2020, Sun Life Global Investments (Canada) Inc. changed its name to SLGI Asset Management Inc. It will take some time to update our websites, materials and forms and until that is complete, all references to Sun Life Global Investments (Canada) Inc. will mean SLGI Asset Management Inc. We’ve also brought together Sun Life mutual fund, segregated fund, annuity and guaranteed investment product businesses under the collective brand of Sun Life Global Investments.

Fund codes

fundname
fundcode
Fund Name
As of: 
Series
  Sort by Ascending or Descending
CUR Currency
  Sort by Ascending or Descending
NAV per security Net asset value per security
  Sort by Ascending or Descending
Change
  Sort by Ascending or Descending
Type of change increase or decrease
  Sort by Ascending or Descending
Change %
  Sort by Ascending or Descending
Previous
  Sort by Ascending or Descending

Clicking on any of the funds on this page will bring you to the Canadian dollar (CAD) purchase option of the fund profile page.

Fund Name
As of: 
Series
  Sort by Ascending or Descending
CUR Currency
  Sort by Ascending or Descending
YTD%
  Sort by Ascending or Descending
1
Mo%
  Sort by Ascending or Descending
3
Mo%
  Sort by Ascending or Descending
6
Mo%
  Sort by Ascending or Descending
1
Yr%
  Sort by Ascending or Descending
3
Yr%
  Sort by Ascending or Descending
5
Yr%
  Sort by Ascending or Descending
10
Yr%
  Sort by Ascending or Descending
Perf. Start date
(mm/dd/yyyy)
  Sort by Ascending or Descending

Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing. The indicated rates of return are the historical annual compounded total returns including changes in unit value and reinvestment of all dividends or distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder that would have reduced returns. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated.

Clicking on any of the funds on this page will bring you to the Canadian dollar (CAD) purchase option of the fund profile page.

Fund Name
  Sort by Ascending or Descending
Series
  Sort by Ascending or Descending
CUR Currency
  Sort by Ascending or Descending
Distribution date
(mm/dd/yyyy)
  Sort by Ascending or Descending
Total amount per security
  Sort by Ascending or Descending

1Please note that Series T funds have a unique distribution policy. Please refer to the simplified prospectus for the distribution policy for this series.

Clicking on any of the funds on this page will bring you to the Canadian dollar (CAD) purchase option of the fund profile page.

Fund Name
 
Series
  Sort by Ascending or Descending
CUR Currency
  Sort by Ascending or Descending
Guaranteed value per unit
  Sort by Ascending or Descending
Learn more about the Milestone Funds guarantee.
Fund Name
  Sort by Ascending or Descending
Series
  Sort by Ascending or Descending
CUR Currency
  Sort by Ascending or Descending
Sales charge
  Sort by Ascending or Descending
Fund Code
  Sort by Ascending or Descending

Clicking on any of the funds on this page will bring you to the Canadian dollar (CAD) purchase option of the fund profile page.