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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
4434
$6.57B
55.86%
Latest2025Q3
Top BuysVXUS (US)
Top SellsJQUA (US)

Sector Allocation

Level 3 sector breakdown
Level 1 sector breakdown
Level 2 sector breakdown
Level 3 sector breakdown
Software & IT Services
Semiconductors & Semiconductor Equipment
Computers, Phones & Household Electronics
Banking Services
Pharmaceuticals
Diversified Retail
Oil & Gas
Automobiles & Auto Parts
Machinery, Tools, Heavy Vehicles, Trains & Ships
Investment Banking & Investment Services
Aerospace & Defense
Other

Holdings

2025Q3
2025Q3
2025Q2
2025Q1
2024Q4
2024Q3
2024Q2
2024Q1
2023Q4
2023Q3
2023Q2
No.
Name
% Portfolio
Shares Traded
Mkt Value (Date)
Market Value
Shares Held
Industry
Report Date
Watchlist
11.68%
+64.44K
$767.09M
$766.42M
7.20M
--
2026-03-31
7.23%
+68.52K
$474.67M
$472.74M
4.64M
--
2026-03-31
7.21%
+56.08K
$473.83M
$471.82M
2.20M
--
2026-03-31
6.42%
+411.42K
$421.45M
$411.83M
5.45M
--
2026-03-31
6.11%
+1.94M
$401.18M
$399.39M
5.20M
--
2026-03-31
5.01%
+106.43K
$329.28M
$323.98M
3.64M
--
2026-03-31
3.68%
+136.87K
$241.77M
$241.48M
4.47M
--
2026-03-31
3.60%
+886.92K
$236.81M
$236.10M
904.13K
--
2026-03-31
2.66%
+131.96K
$174.59M
$171.15M
3.47M
--
2026-03-31
2.26%
+8.62K
$148.70M
$148.43M
585.90K
Computers, Phones & Household Electronics
2026-03-31
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