Introducing the Pender Alternative Multi-Strategy Growth Fund, now open for investment. Ask us for more information.
Fund Code
PGF 1000
Class A
PGF 1050
Class F
Daily Price
$9.97
$14.07
YTD Return
+4.7%
+5.3%
July 31, 2026
1-Year Return
+11.9%
+13.0%
July 31, 2026
Since Inception
+8.2%
+9.1%
July 31, 2026
Date of Class Inception
Dec 15, 2019
Dec 31, 2019

Why invest in this Fund?

Investment Objective

The objective of the Fund is to generate long-term growth in value and income by investing in a diversified portfolio of Canadian and foreign equities, corporate bonds, Canadian and foreign government bonds, and exchange traded funds which track sector or broad market indices. It is designed to provide both moderate income and portfolio growth over the long-term, while being sufficiently diversified to mitigate volatility.

Portfolio Fit

Suitable for investors looking for a balanced solution that combines income generation with long-term capital growth through a diversified portfolio of equities and fixed income.

Fund Facts

Fund CodePGF 1000Class A
Load TypeFront End
MER2.30%Class A
Trailer0.85%
Initial Investment$500
Asset ClassGrowth and Income Fund
Valuation FrequencyDaily
DistributionsDRIP Quarterly, Cash Optional
BenchmarkBlended Benchmark (50% DEX, 35% S&P/TSX, 15% S&P500 CAD)
Subsequent Investment$0
Fund CodePGF 1050Class F
Load TypeFee Based
MER1.11%Class F
Trailer
Initial Investment$500
Asset ClassGrowth and Income Fund
Valuation FrequencyDaily
DistributionsDRIP Quarterly, Cash Optional
BenchmarkBlended Benchmark (50% DEX, 35% S&P/TSX, 15% S&P500 CAD)
Subsequent Investment$0

As at December 31, 2025. The management expense ratio ("MER") is calculated based on expenses charged to the fund inclusive of applicable taxes including GST and HST (excluding commissions, performance fees and other portfolio transaction costs) and is expressed as an annualized percentage of average net assets for the period/year. The applicable taxes are calculated using the attribution percentage for each province based on unitholder residency.

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Minimum investment $500$500 Canada-wide, Registered Plans Eligible
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Performance

As at July 31, 2026
Performance
Class1 Mo.3 Mo.6 Mo.1 Yr.3 Yr.5 Yr.10 Yr.15 Yr.Since Inception
A1.2%3.3%2.9%11.9%10.9%6.6%8.2%
F1.3%3.6%3.3%13.0%12.2%7.9%9.1%
Calendar Year Performance
Distributions
ClassSep'24Dec'24Mar'25Jun'25Sep'25Dec'25Mar'26Jun'26Since Inception
A$0.02$0.02$0.03$0.06$0.02$0.04$0.03$0.04$1.62
F$0.07$0.06$0.08$0.12$0.07$0.08$0.08$0.09$2.65
Since Inception returns are from December 15, 2019. All returns greater than a year are annual compounded returns.
Standard Performance Data is subject to important disclosures set out in our Disclaimer.
Growth of $10,000

Holdings

As at July 31, 2026
Asset Allocation

Sector Allocation
Financial Services +17.6%
Other Sectors +12.5%
Energy +9.7%
Information Technology +9.5%
Industrials +8.0%
Cash +8.0%
Health Care +6.8%
Consumer Discretionary +5.5%
Insurance +4.9%
Government Bonds +4.8%
Consumer Staples +4.4%
Materials +4.3%
Communication Services +4.0%
Currency Allocation
USD 52.2%
CAD 39.9%
Other 7.2%
Cash Equivalents 0.7%
Top 10 Holdings
#Security NameFund (%)
1Pender Corporate Bond Fund38.7
2Pender Alternative Absolute Return Fund9.0
3Pender Small Cap Opportunities Fund8.1
4Brookfield Corporation3.3
5Exor N.V.3.1
6Exchange Income Corporation2.6
7Onex Corporation2.6
8Trisura Group Ltd.2.6
9Danaher Corporation2.0
10Fevertree Drinks PLC2.0
Total Percentage of Top 10 Holdings74.00
Total Net Assets of Fund$53,339,686

Facts

Code Class Description MER Trailer Min. Investment Initial/[Subsequent]
PGF 1000AFront End2.300.85$500/[$]
PGF 1050FFee Based1.11$500/[$]

As at 31-12-2025. The management expense ratio (“MER”) is calculated based on expenses charged to the fund inclusive of applicable taxes including GST and HST (excluding commissions, performance fees and other portfolio transaction costs) and is expressed as an annualized percentage of average net assets for the period/year. The applicable taxes are calculated using the attribution percentage for each province based on unitholder residency.

Asset Class:
Growth and Income Fund
Inception Date:
December 15, 2019
Valuation Frequency:
Daily
Distributions:
DRIP Quarterly, Cash Optional
Benchmark:
Blended Benchmark (50% DEX, 35% S&P/TSX, 15% S&P500 CAD)

Documents

Know Your Product
Fund Profile Class A
08/10/2026
Fund Profile Class F
08/10/2026
Class A
06/26/2026
Class F
06/26/2026

Insights & Media

Monthly Commentary

Pender Strategic Growth & Income Fund – Q2 2022

Dear Unitholders, The second quarter of 2022 was challenging for investors. Macro trends from the first quarter of the year continued and the headwinds intensified. The war in Ukraine, elevated commodity prices, and persistent and rising inflation all contributed to investor uncertainty. Central banks have moved swiftly to withdraw stimulus from the economy, raising benchmark […]

Only available in English
Read More
Pender Strategic Growth & Income Fund – March 2022

Dear unitholders, In the first quarter of 2022, markets finished with mixed results as macro trends grabbed investor attention. The quarter saw increased geopolitical risk with the Russian invasion of Ukraine and rising interest rates as central banks attempted to tame persistent inflation. Concerns regarding the economic growth outlook captured headlines. In this environment, asset […]

Only available in English
Read More
Pender Strategic Growth & Income Fund – January 2022

Dear unitholders, The Pender Strategic Growth & Income Fund (PSGIF) returned -2.3%[1] in January, taking a breather after a strong year in 2021 when it delivered a return of 19.2%. The Pender Enhanced Income Fund returned -2.3%1 in January, following a gain of 24.1% in 2021. Over longer periods, PSGIF has compounded at a healthy […]

Only available in English
Read More
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Team

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