October was a volatile month for global equity markets. The AFINA investment products experienced less downside during the market sell-off in mid-October and ended the month well (refer to the chart below), outperforming its comparable benchmarks.
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|AFINA Affinity Fund LP||+2.0%|
|AFINA Optima10 Managed Account
|Investors Group North American Equity Fund||-0.4%|
|TD North American Dividend Fund||+1.7%|
|RBC Canadian Equity Mutual Fund||-0.7%|
|S&P/TSX Total Return Composite Index||-2.1%|
|S&P 500 (C$) Index||+2.6%|
As of October 31, 2014. All figures are net of fees and other expenses. Past performance is not indicative of future results. Refer to afinacapital.com for full details and disclosures.