Criterion Mutual Funds
Canadian Convertible Bond Fund
Criterion Diversified Commodities Currency Hedged Fund
Criterion Global Clean Energy Currency Hedged Fund
Criterion Global Dividend Currency Hedged Fund
Criterion REIT Income Fund
Criterion Water Infrastructure Currency Hedged Fund

Criterion Diversified Commodities Currency Hedged Fund

NAVPS Net Assets Launch Date Management Fee
Class A - $11.28 * $11.42 million * June 5, 2006 1.65%

Fund Overview

  • Designed to provide investors with exposure to the UBS Bloomberg Constant Maturity Commodity Index ('CMCI') AM
  • Diversified exposure to a basket of 27 commodities
  • Low cost and transparent structure
  • Currency hedged for Canadian investors (also available unhedged)

Three Key Reasons to Invest

  • Commodities Help to Optimize Investors' Portfolios
  • Simple, Pure and Diversified Commodity Exposure for All Investors
  • A 'Need to Have' in Today’s Global Economic Environment


Fund Codes

  Code Unit
DSC CRT 5300 Class A
Low Load CRT 5301 Class B
Front Load CRT 5303 Class D
Managed Fee CRT 5305 Class F