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 Global Clean Energy Currency Hedged Fund

NAVPS Net Assets Launch Date Management Fee
Class H - $5.39 * $8.39 million * August 16, 2007 1.90%

Fund Overview

  • Diversified global equity portfolio investing in companies that contribute to or benefit from the transition to cleaner energy
  • Actively managed by Pictet Asset Management
  • Currency hedged for Canadian investors (also available unhedged)

Three Key Reasons to Invest

  • Capture the Growth Potential of the Clean Energy Transition
  • Diversify Globally and Complement your Traditional Energy Exposure
  • Invest with a Proven Market Leader: Pictet Asset Management

Top 10 Holdings*

Company Sector Country Portfolio %
Iberdrola Renovables SAUtilitiesFrance4.41%
Cree IncTechnologyUnited States3.99%
Ormat Technologies IncUtilitiesUnited States3.16%
EDF En PromessesUtilitiesFinland2.80%
EDP Renovaveis SAEnergyUnited Kingdom2.76%
Nextera Energy IncUtilitiesUnited States2.72%
Williams Co IncEnergyUnited States2.58%
ITC Holdings CorpUtilitiesUnited States2.55%
Memc Electronics MaterialsTechnologyUnited States2.55%
Wacker Chemie AgMaterialsGermany2.51%
* as at July 30, 2010

Fund Codes

  Code Unit
DSC (Currency Hedged) CRT 5500 Class H
DSC (Unhedged) CRT 5510 Class U
Low Load (Currency Hedged) CRT 5501 Class H
Low Load (Unhedged) CRT 5511 Class U
Front Load (Currency Hedged) CRT 5503 Class H
Front Load (Unhedged) CRT 5513 Class U
Managed Fee (Currency Hedged) CRT 5505 Class F
Managed Fee (Unhedged) CRT 5515 Class P
Institutional Option (Currency Hedged) CRT 5506 Class I
Institutional Option (Unhedged) CRT 5516 Class Q