Concepts & Goals

Management Style

Objective – Seeks to obtain competitive fixed income returns in different interest rate environments without principal market fluctuation.

Credit Quality – The portfolio consists primarily of instruments which are of high credit quality, with fund assets meeting strict criteria for creditworthiness.

Diversification – The fund is well diversified among wrap providers, GIC issuers and short term money market instruments.

Advantages
  • Fund was established in 1985
  • Competitive returns over time
  • Fund is open daily for participant deposits and withdrawals