(February 16 – 12:20 ET) – Net asset value (NAV) for all Canadian investment funds, valued on a daily basis, are now available on the Investment Funds Institute of Canada website.
The website has monthly overviews from 1994 as well as statistics for the past 10 years. IFIC’s Investor Education page has educational resources for both media and investors. The Regulation and Committees page contains all relevant regulations affecting mutual fund as well as proposed new regulations and IFIC’s comments on those proposals.
The NAVs are accessed through IFIC’s statistics page. The service offers viewers the choice of fund family and then lists each mutual fund in that fund family, the previous day’s date, the NAV as of that date, the previous 30-day minimum value and the previous 30-day maximum value. The information is provided to IFIC by Fundata Canada Inc.
-IE Staff