• NAV $25.64 31-Oct-2025
  • $0.10 / 0.38% Daily NAV change
  • MARKET PRICE 31-Oct-2025
  • $25.44   
  • Inception 10-Oct-2025
  • Aggregate assets
    (all series)
    $11.527B
    31-Oct-2025
  • Units outstanding 40,000
    31-Oct-2025
  • Management fee 0.85%
  • Distributions Annually
  • Benchmark Blended Index**
  • Exchange Toronto Stock Exchange
  • CUSIP 31618N785
  • Also available through: Class US$, Class CDN$, Trust CDN$ and Trust T-Series S5
  • Get ETF Facts

In accordance with National Instrument 81-102, performance cannot be shown until one year after a fund's inception.

Start NAV

$10.0000

End NAV

$10.4031
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Why invest in this fund?

  • A multi-asset global solution with a neutral mix of 85% equities and 15% fixed income.
  • Designed for investors seeking capital growth.
  • Employs active asset allocation across multiple dimensions of the portfolio to take advantage of market opportunities and mitigate risk.

Calendar returns

In accordance with National Instrument 81-102, performance cannot be shown until one year after a fund's inception.

Standard period returns

In accordance with National Instrument 81-102, performance cannot be shown until one year after a fund's inception.

Risk measures (%) 30-Sep-2025

Fund
Annualized standard deviation 9.23
Beta 0.97
0.94

Risk classification

  1. Low
  2. Low to medium
  3. Medium
  4. Medium to high
  5. High

This fund has a low to medium volatility rating

Allocation to underlying funds (%)

30-Sep-2025
  • Fund name Percentage
    Fidelity Canadian Disciplined Equity Fund 8.9
    Fidelity Canadian Opportunities Fund 5.4
    Fidelity Canadian Fundamental Equity Multi-Asset Base Fund 5.2
    Fidelity Canadian Large Cap Multi-Asset Base Fund 4.9
    Fidelity Canadian Growth Company Fund 4.2
    Fidelity True North Fund 2.1
    S&P/TSX 60 IX FUT DEC25 PTZ5 1.3
  • Fund name Percentage
    Fidelity Insights Investment Trust 14.5
    Fidelity Global Innovators Investment Trust 10.6
    Fidelity U.S. All Cap Fund 4.3
    Fidelity Insights Currency Neutral Multi-Asset Base Fund 2.1
    E-MINI RUSS 2000 DEC25 RTYZ5 -2.9
  • Fund name Percentage
    Fidelity Emerging Markets Fund 8.0
    Fidelity International Growth Multi-Asset Base Fund 6.8
    Fidelity International Equity Investment Trust 4.7
    Fidelity Global Intrinsic Value Investment Trust 3.0
    Fidelity International Value Multi-Asset Base Fund 2.9
    Fidelity Long/Short Alternative Multi-Asset Base Fund 0.8
    Fidelity Global Value Long/Short Multi-Asset Base Fund 0.8
    Fidelity Global Real Estate Multi-Asset Base Fund 0.8
    Fidelity Global Natural Resources Fund 0.2
  • Fund name Percentage
    Fidelity Developed International Bond Multi-Asset Base Fund 1.1
    Fidelity Global Bond Multi-Asset Base Fund 1.0
    Fidelity Multi-Sector Bond Fund 0.8
    Fidelity Canadian Bond Multi-Asset Base Fund 0.7
  • Fund name Percentage
    Net other assets 2.6
    Fidelity Canadian Money Market Investment Trust 1.0
    Futures Collateral 0.3
    NASDAQ 100 E-MINI F DEC25 NQZ5 -1.0
  • Fund name Percentage
    Fidelity Emerging Markets Local Currency Debt Multi-Asset Base Fund 1.0
    Fidelity Convertible Securities Multi-Asset Base Fund 0.5
    Fidelity American High Yield Fund 0.5
  • Fund name Percentage
    Fidelity Canadian Government Long Bond Index Multi-Asset Base Fund 1.2
  • Fund name Percentage
    iShares Comex Gold Trust ETF 1.0
  • Fund name Percentage
    iShares TIPS Bond ETF 0.9

Allocation

Asset mix (%)

30-Sep-2025

Country mix (%)

30-Sep-2025

Sector mix (%)

30-Sep-2025
12 months ago Last month Current month
Information Technology 15.8 17.1 17.7
Financials 17.1 18.0 16.5
Industrials 12.2 13.1 12.9
Communication Services 7.1 9.3 9.2
Materials 6.2 7.1 8.5
Consumer Disc. 9.9 9.0 8.4
Consumer Staples 6.0 5.6 5.2
Energy 4.8 4.4 4.4
Health Care 7.3 3.9 3.8
Real Estate 1.8 1.9 1.9
Utilities 1.6 1.6 1.6
Multi Sector 1.2 - -