News

Mutual Funds: Net Asset Value (NAV) is a significant parameter or indicator for mutual funds. It merely represents the unit price of a scheme of a fund.
Sun Life Global Investments (Canada) Inc. (SLGI), the mutual funds division of Toronto-based Sun Life Financial Inc., and Excel Funds Management Inc.— which was recently acquired by SLGI — has ...
TORONTO, Oct. 5, 2016 /CNW/ - Excel Funds Management Inc. (Excel Funds) announced today that it is listing 8 of its mutual fund strategies on TSX NAVex, Toronto Stock Exchange's (TSX) new mutual ...
TORONTO, ONTARIO--(Marketwired - Nov 17, 2014) - Excel Funds Management Inc. ("Excel Funds") announces that it has, after obtaining all of the requisite unitholder and regulatory approvals ...
Mississauga, Ont.-based Excel Funds Management Inc. has changed its distribution policy for Excel Blue Chip Fund for both Series A and Series F units. As of March 1, the fund will distribute income at ...
Effective on or about June 15, 2018 (the "Fund Merger Date"), select Excel funds and Sun Life Global Investments funds (collectively the "Terminating Funds") will each merge into a Sun Life Global ...
Mutual Funds: Net Asset Value (NAV) is a significant parameter or indicator for mutual funds. It merely represents the unit price of a scheme of a fund.