Listed on the TSX
NAV as of 12/03/2021
GIGR.B 21.90
GDEP 21.71
GIGR 23.14
GIQG 26.07
GGAC 20.72
GIQU.B 25.21
GGEM 16.98
GDEP.B 20.17
GDPY.B 21.77
GCBD 20.16
GCSC 20.89
GIQU 26.38
GIQG.B 24.76
GDPY 23.38

Donnez-vous les moyens d’atteindre la prospérité
avec nos solutions Création et Prospérité

La signification du mot prospérité n'est pas la même pour tous. Qu’il s’agisse de bonheur personnel, de bien-être, de santé ou de richesse, nous proposons des solutions d’investissement pour que vos aspirations deviennent réalité.

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Guardian Prosper
Guardian Directed Equity Path ETF
Guardian Directed Equity Path ETF seeks to preserve the value of its investments and provide long-term capital appreciation with reduced portfolio volatility, by investing directly and indirectly primarily in global equity securities of high quality companies

Historical NAV

The historical net asset value (NAV) chart above does not represent the performance of the ETF. It is shown to illustrate the daily movement of the NAV per Unit, which includes certain fees and expenses of the ETF but does not include reinvested distributions. Please note that the ETF’s Units trade on the TSX where investors will generally buy and sell the ETF’s Units at Market Price, which may be more or less than the value as the daily NAV. The NAV and the Market Price do not include any brokerage commissions or other trading fees incurred for buying or selling Units of the ETF.

  • Premium Yield
  • Guardian Prosper
    Guardian Directed Premium Yield ETF
    Guardian Directed Premium Yield ETF seeks to provide long-term capital appreciation and to reduce portfolio volatility, by investing directly and indirectly primarily in global equity securities of high quality companies
    • Revenu élevé et constant – le rendement cible des distributions annuelles, soit 6 %, constitue une solution de rechange avantageuse sur le plan fiscal pour les investisseurs.

    • Risque réduit – le recours à une stratégie d’options d’achat couvertes permet de réduire la volatilité globale du portefeuille et de réduire le potentiel de perte.

    • Participation en actions – le FNB fournit une exposition à des actions mondiales de qualité supérieure et s’adapte aux conditions du marché afin d’obtenir le rendement le plus avantageux possible sur le plan fiscal.

    Learn More

    Historical NAV

    The historical net asset value (NAV) chart above does not represent the performance of the ETF. It is shown to illustrate the daily movement of the NAV per Unit, which includes certain fees and expenses of the ETF but does not include reinvested distributions. Please note that the ETF’s Units trade on the TSX where investors will generally buy and sell the ETF’s Units at Market Price, which may be more or less than the value as the daily NAV. The NAV and the Market Price do not include any brokerage commissions or other trading fees incurred for buying or selling Units of the ETF.

  • Global Quality Growth
  • Guardian Create
    Guardian i3 Global Quality Growth ETF
    Guardian i3 Global Quality Growth ETF seeks to achieve long-term capital appreciation by investing in a portfolio of equity or equity-related securities of issuers with business operations located throughout the world.
    • Qualité et croissance – accroît l’exposition des investisseurs à des facteurs qui ont donné lieu à des rendements ajustés selon les risques supérieurs au cours des 30 dernières années.

    • Génération d’alpha – conçu dans le but de générer un alpha persistant en utilisant des mégadonnées et l’apprentissage machine pour aider à prévoir une croissance durable des revenus.

    • Diversification – l’ajout d’actifs immobiliers permet d’améliorer la diversification globale du portefeuille tout en maintenant une attitude défensive.

    Learn More

    Historical NAV

    The historical net asset value (NAV) chart above does not represent the performance of the ETF. It is shown to illustrate the daily movement of the NAV per Unit, which includes certain fees and expenses of the ETF but does not include reinvested distributions. Please note that the ETF’s Units trade on the TSX where investors will generally buy and sell the ETF’s Units at Market Price, which may be more or less than the value as the daily NAV. The NAV and the Market Price do not include any brokerage commissions or other trading fees incurred for buying or selling Units of the ETF.

  • US Quality Growth
  • Guardian Create
    Guardian i3 US Quality Growth ETF
    Guardian i3 US Quality Growth ETF seeks to achieve long-term capital appreciation by investing in a portfolio of equity or equity-related securities of issuers whose principal business operations are located in the United States.
    • Qualité et croissance – accroît l’exposition des investisseurs à des facteurs qui ont donné lieu à des rendements ajustés selon les risques supérieurs au cours des 30 dernières années.

    • Génération d’alpha – conçu dans le but de générer un alpha persistant en utilisant des mégadonnées et l’apprentissage machine pour aider à prévoir une croissance durable des revenus.

    • Diversification – l’ajout de lieux permet d’améliorer la diversification globale du portefeuille tout en maintenant une attitude défensive.

    Learn More

    Historical NAV

    The historical net asset value (NAV) chart above does not represent the performance of the ETF. It is shown to illustrate the daily movement of the NAV per Unit, which includes certain fees and expenses of the ETF but does not include reinvested distributions. Please note that the ETF’s Units trade on the TSX where investors will generally buy and sell the ETF’s Units at Market Price, which may be more or less than the value as the daily NAV. The NAV and the Market Price do not include any brokerage commissions or other trading fees incurred for buying or selling Units of the ETF.

  • Global REIT
  • Guardian Create
    Guardian i3 Global REIT ETF
    Guardian i3 Global REIT ETF seeks to provide exposure to the global real estate market by investing in a diversified portfolio of publicly traded real estate investment trusts ("REITs") and common stock of real estate operating corporations ("REOCs").
    • Qualité et croissance – accroît l’exposition des investisseurs à des facteurs qui ont donné lieu à des rendements ajustés selon les risques supérieurs au cours des 30 dernières années.

    • Génération d’alpha – conçu dans le but de générer un alpha persistant en utilisant des mégadonnées et l’apprentissage machine pour aider à prévoir une croissance durable des revenus.

    • Diversification – l’ajout d’actifs immobiliers permet d’améliorer la diversification globale du portefeuille tout en maintenant une attitude défensive.

    Learn More

    Historical NAV

    The historical net asset value (NAV) chart above does not represent the performance of the ETF. It is shown to illustrate the daily movement of the NAV per Unit, which includes certain fees and expenses of the ETF but does not include reinvested distributions. Please note that the ETF’s Units trade on the TSX where investors will generally buy and sell the ETF’s Units at Market Price, which may be more or less than the value as the daily NAV. The NAV and the Market Price do not include any brokerage commissions or other trading fees incurred for buying or selling Units of the ETF.

    1. As disclosed in the ETF's prospectus, the ETF intends to make monthly cash distributions based on a targeted annualized monthly distribution of 4% of the NAV per Unit at the end of the prior year. Distributions may consist of net income, dividends, net realized capital gains, and may also include return of capital.

    2. Source: Bloomberg as at Dec 31, 2020. Based on the risk metrics of the MSCI Style Indices used to represent “Quality” and “Growth” factors are the MSCI World Quality Index and the MSCI World Growth Index, respectively. Last 30 Years based on monthly data versus the broader MSCI World Index. Note: The MSCI World Quality Index was launched on Dec 18, 2012 an the MSCI World Growth Index was launched on Dec 08, 1997. Data prior to the launch date is back-tested by MSCI (i.e. calculations of how the index might have performed over that time period had the index existed). There are frequently material differences between back-tested performance and actual results. Past performance -- whether actual or back-tested -- is no indication or guarantee of future performance.

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