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CI Select Canadian Equity Fund

Signature Select Canadian Fund

Founded in 1998, the CI Select Canadian Fund invests primarily in common shares and convertible securities of Canadian companies and preferred shares that pay regular income. The fund is managed by CI Investments Inc. and its advisor is Signature Global Advisors. Signature Global Advisors of Toronto, a division of CI Investments Inc., invests across all asset classes, including fixed income, Canadian and global equities. Investments in foreign securities will generally be no more than 49% of the fund's assets.

Shares Held
Asset Size
% Top 10
4410
$6.57B
55.88%
Latest2025Q3
Top BuysVXUS (US)
Top SellsJQUA (US)

Latest Changes

Indicators
Latest (2025Q3)
Previous (2025Q2)
Change
Mkt Value (report date)
6.57B
6.35B
+3.42%
Shares Held
4410
4353
+1.31%
Buys
1814
1451
+25.02%
Sells
851
995
-14.47%

Sector Allocation

No.
Name
% Portfolio
Shares Traded
Mkt Value (Date)
Market Value
Shares Held
Report Date
Watchlist
11.68%
+64.44K
$767.09M
$3.37B
7.20M
2026-03-31
7.23%
+68.52K
$474.67M
$464.00M
4.64M
2026-03-31
7.22%
+56.08K
$473.83M
$475.44M
2.20M
2026-03-31
6.42%
+411.42K
$421.45M
$427.06M
5.45M
2026-03-31
6.11%
+1.94M
$401.18M
$382.19M
5.20M
2026-03-31
5.02%
+106.43K
$329.28M
$317.57M
3.64M
2026-03-31
3.68%
+136.87K
$241.77M
$242.35M
4.47M
2026-03-31
3.61%
+886.92K
$236.81M
$229.90M
904.13K
2026-03-31
2.66%
+131.96K
$174.59M
$176.01M
3.47M
2026-03-31
2.26%
+8.62K
$148.70M
$149.19M
585.90K
2026-03-31

Latest Trades

No.
Name
Action
Shares Traded
% Change
Shares Held
Mkt Value (Date)
Report Date
Watchlist
Sell
-4.94M
-90.60%
510.88K
$31.33M
2026-03-31
Buy
+1.94M
+27.10%
5.20M
$401.18M
2026-03-31
Buy
+886.92K
+49.50%
904.13K
$236.81M
2026-03-31
Buy
+610.66K
+42.60%
822.76K
$5.58M
2026-03-31
Buy
+567.23K
+29.10%
1.38M
$69.63M
2026-03-31
Buy
+411.42K
+7.00%
5.45M
$421.45M
2026-03-31
Buy
+342.65K
+46.10%
400.20K
$2.58M
2026-03-31
Buy
+209.19K
+43.80%
267.39K
$10.39M
2026-03-31
Sell
-204.96K
-54.50%
171.05K
$51.12M
2026-03-31
Sell
-169.96K
-30.80%
381.56K
$808.91K
2026-03-31

Holding Performance

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