[{"data":1,"prerenderedAt":502},["ShallowReactive",2],{"$f-3D2lqBFRfBJP3QrvZvPqlLQWe0YdOrJb_9OVJ6mA5c":3,"$fB1K3CGCSSS7SPrlnyDwyS0YbpfFfgK8gvskM2pNue-o":166},{"data":4,"meta":163},[5,19,35,51,59,67,75,91,99,107,115,123,131,139,147,155],{"id":6,"documentId":7,"name":8,"slug":9,"navigationLabel":10,"fundCode":10,"fundCategory":11},552,"bfhc4r1cuzel4t4xkpj9k0rh","Mawer Partners LP Fund","mawer-partners-lp-fund",null,{"id":12,"documentId":13,"title":14,"sourceId":10,"createdAt":15,"updatedAt":15,"publishedAt":16,"locale":17,"sortOrder":18},23,"dr2kr3nhkrmcr573qkypwpac","Private Equity","2025-12-04T17:02:04.590Z","2025-12-04T17:02:04.673Z","en",4,{"id":20,"documentId":21,"name":22,"slug":23,"navigationLabel":24,"fundCode":25,"fundCategory":26},554,"mk4toyp5ddu4g7lsirvh289j","Mawer Canadian Bond Fund","canadian-bond-fund","Canadian Bond Fund","MAW100",{"id":27,"documentId":28,"title":29,"sourceId":30,"createdAt":31,"updatedAt":32,"publishedAt":33,"locale":17,"sortOrder":34},26,"wu2i2qwyjswg8p687868htd6","Income Funds","3","2025-02-13T22:18:00.470Z","2025-12-04T17:02:29.482Z","2025-12-04T17:02:29.530Z",3,{"id":36,"documentId":37,"name":38,"slug":39,"navigationLabel":40,"fundCode":41,"fundCategory":42},555,"himo0huszxnjitjkha5a395l","Mawer Canadian Equity Fund","canadian-equity-fund","Canadian Equity Fund","MAW106",{"id":43,"documentId":44,"title":45,"sourceId":46,"createdAt":47,"updatedAt":48,"publishedAt":49,"locale":17,"sortOrder":50},25,"dprmcwt19rytmef7brqnvfno","Equity Funds","1","2025-02-13T22:18:00.406Z","2025-12-04T17:02:23.838Z","2025-12-04T17:02:23.897Z",1,{"id":52,"documentId":53,"name":54,"slug":55,"navigationLabel":56,"fundCode":57,"fundCategory":58},556,"v1d9mmkpyvu4b32sut2nb15d","Mawer Canadian Money Market Fund","canadian-money-market-fund","Canadian Money Market 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Fund","global-balanced-fund","Global Balanced Fund","MAW130",{"id":83,"documentId":84,"title":85,"sourceId":86,"createdAt":87,"updatedAt":88,"publishedAt":89,"locale":17,"sortOrder":90},24,"qgwmtnn9ox7opju5bdak0sp0","Balanced Funds","2","2025-02-13T22:18:00.436Z","2025-12-04T17:02:17.474Z","2025-12-04T17:02:17.536Z",2,{"id":92,"documentId":93,"name":94,"slug":95,"navigationLabel":96,"fundCode":97,"fundCategory":98},560,"orapgl8neat2j4gfdf29sn7h","Mawer Global Credit Opportunities Fund","global-credit-opportunities-fund","Global Credit Opportunities Fund","MAW190",{"id":27,"documentId":28,"title":29,"sourceId":30,"createdAt":31,"updatedAt":32,"publishedAt":33,"locale":17,"sortOrder":34},{"id":100,"documentId":101,"name":102,"slug":103,"navigationLabel":104,"fundCode":105,"fundCategory":106},561,"fq8j0f9i6y340hikwkppldbv","Mawer Global Equity Fund","global-equity-fund","Global Equity 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Effective Balanced Fund","tax-effective-balanced-fund","Tax Effective Balanced Fund","MAW105",{"id":83,"documentId":84,"title":85,"sourceId":86,"createdAt":87,"updatedAt":88,"publishedAt":89,"locale":17,"sortOrder":90},{"id":132,"documentId":133,"name":134,"slug":135,"navigationLabel":136,"fundCode":137,"fundCategory":138},565,"e6lft49nfgyfxzzvyh0vpgcz","Mawer U.S. Equity Fund","u-s-equity-fund","U.S. Equity Fund","MAW108",{"id":43,"documentId":44,"title":45,"sourceId":46,"createdAt":47,"updatedAt":48,"publishedAt":49,"locale":17,"sortOrder":50},{"id":140,"documentId":141,"name":142,"slug":143,"navigationLabel":144,"fundCode":145,"fundCategory":146},566,"kfq3uol7ephos5bh0tla6x4e","Mawer U.S. Mid Cap Equity Fund","u-s-mid-cap-equity-fund","U.S. Mid Cap Equity Fund","MAW180",{"id":43,"documentId":44,"title":45,"sourceId":46,"createdAt":47,"updatedAt":48,"publishedAt":49,"locale":17,"sortOrder":50},{"id":148,"documentId":149,"name":150,"slug":151,"navigationLabel":152,"fundCode":153,"fundCategory":154},567,"gdp7wcw8am6ip2wbppopl5et","Mawer International Equity Fund","international-equity-fund","International Equity Fund","MAW102",{"id":43,"documentId":44,"title":45,"sourceId":46,"createdAt":47,"updatedAt":48,"publishedAt":49,"locale":17,"sortOrder":50},{"id":156,"documentId":157,"name":158,"slug":159,"navigationLabel":160,"fundCode":161,"fundCategory":162},570,"xpe61jd89mheugqkhzy8pcfa","Mawer Balanced Fund","balanced-fund","Balanced Fund","MAW104",{"id":83,"documentId":84,"title":85,"sourceId":86,"createdAt":87,"updatedAt":88,"publishedAt":89,"locale":17,"sortOrder":90},{"pagination":164},{"page":50,"pageSize":43,"pageCount":50,"total":165},16,{"data":167,"meta":501},{"id":168,"documentId":169,"assetMixAsAt":170,"annualFeesAsAt":170,"createdAt":171,"updatedAt":172,"publishedAt":173,"locale":17,"bannerImage":174,"FAQItems":186,"portfolios":190},8,"h6wdz08yinuiv1dmh889nsb6","2025-03-31","2025-06-18T21:09:52.292Z","2025-06-18T21:10:14.093Z","2025-06-18T21:10:14.196Z",{"id":175,"documentId":176,"name":177,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":178,"ext":179,"mime":180,"size":181,"url":182,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":184,"updatedAt":184,"publishedAt":185},1804,"fvl06xjvmsnt6sw04ygthnao","portfoliobuilderBannerImg.jpeg","1031ca4561ef5e1780519a409b744639ea99cbc6",".jpeg","image/jpeg",185802,"https://az-dev-mawer-com-cms-dhhrc6d6c4f5hxh7.a03.azurefd.net/mawer-com-cms/assets/1031ca4561ef5e1780519a409b744639ea99cbc6.jpeg","strapi-provider-upload-azure-storage","2025-06-18T19:10:31.053Z","2025-06-18T19:10:31.054Z",[187],{"id":168,"question":188,"answer":189},"May I substitute alternate funds to construct my portfolio?","\u003Cp>The portfolio builder tool presents our global options to clients. Our Global Equity Fund holds different geographies, capitalization sizes and has broader coverage. It is broadly diversified and provides exposure to U.S., International and Canadian Mid-Large Cap, as well as Global Small Cap and Emerging Markets asset classes. An alternate balanced or equity fund may also be a good fit—for example, the Mawer Balanced Fund can be substituted for the Global Balanced Fund should you wish to have less foreign equity and currency exposure.\u003C/p>\u003Cp>For more information, please contact us at\u003C/p>\u003Cp>Toll-Free:&nbsp;\u003Ca href=\"tel:18443950747\">+1 (844) 395-0747\u003C/a>&nbsp;&nbsp;|&nbsp;&nbsp;Email:&nbsp;\u003Ca href=\"mailto:investing@mawer.com\">investing@mawer.com\u003C/a>\u003C/p>",[191,291,355,397,423,477],{"id":192,"title":193,"category":194,"description":195,"risk":196,"investorSuitability":197,"foreignExposure":198,"MER":199,"TER":198,"equities":198,"fixedIncome":200,"showFAQItems":201,"assetMix":202,"funds":234},43,"Fixed Income","income","This portfolio invests in Mawer Mutual Funds that provide regular income and invests in Canadian Bonds and cash and cash equivalents.","Low","This portfolio may be suitable for investors seeking income and stability.",0,0.65,100,false,[203,213,224],{"id":204,"percentage":205,"assetType":206},127,20,{"id":168,"documentId":207,"type":208,"color":209,"sourceId":46,"createdAt":210,"updatedAt":211,"publishedAt":212,"locale":17},"xrz8b8remcdt0pkigwolwct6","Cash & Cash Equivalents","#c2cad1","2025-06-18T19:10:31.115Z","2025-06-18T19:10:31.636Z","2025-06-18T19:10:52.574Z",{"id":214,"percentage":215,"assetType":216},128,80,{"id":217,"documentId":218,"type":219,"color":220,"sourceId":86,"createdAt":221,"updatedAt":222,"publishedAt":223,"locale":17},7,"pp6i7a1hvlcl7gnh7h3k6ls1","Canadian Bonds","#000000","2025-06-18T19:10:31.146Z","2025-06-18T19:10:31.663Z","2025-06-18T19:10:52.567Z",{"id":225,"percentage":198,"assetType":226},129,{"id":227,"documentId":228,"type":229,"color":230,"sourceId":30,"createdAt":231,"updatedAt":232,"publishedAt":233,"locale":17},9,"rjwdzk59qo0qzzkgei7z7cmv","Global Equity","#143156","2025-06-18T19:10:31.168Z","2025-06-18T19:10:31.693Z","2025-06-18T19:10:52.578Z",[235,266],{"id":236,"level":205,"fund":237},85,{"id":52,"documentId":53,"slug":55,"name":54,"fundCode":57,"pdf":238},{"id":239,"documentId":240,"name":241,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":242,"ext":243,"mime":244,"size":245,"url":246,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":247,"updatedAt":247,"publishedAt":247,"related":248},1584,"fizev5g475adjq0vph6pc9y2","1Q25-Mawer-Canadian-Money-Market-Fund-Series-A.pdf","163cb7599d59105a6770593629fafa57ef12e06b",".pdf","application/pdf",488237,"https://az-dev-mawer-com-cms-dhhrc6d6c4f5hxh7.a03.azurefd.net/mawer-com-cms/assets/163cb7599d59105a6770593629fafa57ef12e06b.pdf","2025-06-05T23:25:43.022Z",[249],{"__type":250,"id":52,"documentId":53,"name":54,"slug":55,"asAtDate":170,"investmentArea":251,"investmentStrategy":252,"investorSuitability":253,"fundCode":57,"createdAt":254,"updatedAt":255,"publishedAt":256,"locale":17,"navigationLabel":56,"managementExpenseRatio":257,"MERDate":258,"tradingExpenseRatio":198,"TERDate":10,"risk":196,"fundInceptionDate":259,"RRSPEligibility":260,"sourceId":261,"benchmark":262,"benchmarkHistory":10,"seriesAInceptionDate":263,"seriesOInceptionDate":264,"generalFundDisclosure":10,"performanceText":10,"managersNote":10,"disclosure":265,"investorEligibility":10,"fundSummary":10,"hidePerformanceLink":10,"hidePricesLink":10,"hideDocumentsLink":10,"hideRRSPEligibility":10},"api::fund.fund","This Fund invests in government treasury bills and bonds and corporate obligations maturing in 365 days or less. The Fund will have a dollar weighted average term to maturity of no more than 180 days, subject to certain condition.","Strategies used to achieve this Fund’s objective include interest rate anticipation, yield analysis, credit and spread analysis, and taking advantage of supply and demand anomalies.","Investors seeking income from short term investments. Low risk.","2025-06-11T23:01:01.505Z","2026-03-18T17:34:23.303Z","2026-03-18T17:35:07.238Z",0.52,"2024-12-31","1988-03-31",true,"266","FTSE Canada 91 Day TBill Index","1988-02-19","2006-07-06","\u003Cp>Mawer Mutual Funds are managed by Mawer Investment Management Ltd. Mawer Mutual Fund returns are reported in Canadian dollars and calculated after management fees and operating expenses have been deducted. In comparison, index returns do not incur management fees or operating expenses.\u003C/p>\u003Cp>Index returns are supplied by third parties—we believe the data to be accurate, however, cannot guarantee its accuracy.\u003C/p>\u003Cp>Performance returns for the Mawer Mutual Funds and benchmarks are calculated by Mawer Investment Management Ltd. These returns are historical simple returns for the 3 month, YTD and 1 year periods, and annualized compounded total returns for periods after 1 year.\u003C/p>\u003Cp>Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the \u003Ca href=\"https://www.mawer.com/documents\">fund facts \u003C/a>and \u003Ca href=\"https://www.mawer.com/documents\">prospectus\u003C/a> before investing. The indicated rates of return (other than for a money market fund) are the historical annual compounded total returns including changes in unit value and reinvestment of all distributions. The indicated rates of return for a money market fund is an annualized historical yield based on the seven-day period ended as indicated and annualized in the case of effective yield by compounding the seven-day return and does not represent an actual one-year return. The indicated rates of return do not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated. Mutual fund securities are not covered by the Canada Deposit Insurance Corporation or by any other government deposit insurer. There can be no assurances that a money market fund will be able to maintain its net asset value per unit at a constant amount or that the full amount of your investment will be returned to you. Mawer Mutual Funds are managed by Mawer Investment Management Ltd.\u003C/p>\u003Cp>Mawer Mutual Funds do not have trailing commissions. If you purchased units of the Mawer Mutual Funds through a third-party dealer, you may be subject to commissions or additional sales charges. Please contact your dealer for more information.\u003C/p>\u003Cp>The MSCI information may only be used for your internal use, may not be reproduced or redisseminated in any form and may not be used as a basis for or a component of any financial instruments or products or indices. None of the MSCI information is intended to constitute investment advice or a recommendation to make (or refrain from making) any kind of investment decision and may not be relied on as such. Historical data and analysis should not be taken as an indication or guarantee of any future performance analysis, forecast or prediction. The MSCI information is provided on an “as is” basis and the user of this information assumes the entire risk of any use made of this information. MSCI, each of its affiliates and each other person involved in or related to compiling, computing or creating any MSCI information (collectively, the “MSCI Parties”) expressly disclaims all warranties (including, without limitation, any warranties of originality, accuracy, completeness, timeliness, non-infringement, merchantability and fitness for a particular purpose) with respect to this information. Without limiting any of the foregoing, in no event shall any MSCI Party have any liability for any direct, indirect, special, incidental, punitive, consequential (including, without limitation, lost profits) or any other damages. (\u003Ca href=\"www.msci.com\" target=\"_blank\" rel=\"noopener noreferrer\">www.msci.com\u003C/a>)\u003C/p>\u003Cp>London Stock Exchange Group plc and its group undertakings (collectively, the “LSE Group”). © LSE Group 2025. FTSE Russell® is a trading name of certain of the LSE Group companies. FTSE® is a trade mark(s) of the relevant LSE Group companies and is/are used by any other LSE Group company under license. “TMX®” is a trade mark of TSX, Inc. and used by the LSE Group under license. All rights in the FTSE Russell indexes or data vest in the relevant LSE Group company which owns the index or the data. Neither LSE Group nor its licensors accept any liability for any errors or omissions in the indexes or data and no party may rely on any indexes or data contained in this communication. No further distribution of data from the LSE Group is permitted without the relevant LSE Group company’s express written consent. The LSE Group does not promote, sponsor or endorse the content of this communication.\u003C/p>\u003Cp>© 2025 Morningstar Research Inc. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results. The Morningstar Rating, commonly referred to as the Star Rating, relates how a fund has performed on a risk-adjusted basis against its Morningstar category peers and is subject to change every month. Funds are ranked by their Morningstar Risk-Adjusted Return scores with the top 10% of funds in a category receiving 5 stars, the top 22.5% receiving 4 stars; a fund in the middle 35% receiving 3 stars; and a fund in the bottom 22.5% receiving 2 stars. The Overall Star Rating for a fund is a weighted combination of its 3, 5 and 10 year ratings. Overall ratings are adjusted where a fund has less than 5 or 10 years of history. For greater detail see \u003Ca href=\"www.morningstar.ca/ca/\" target=\"_blank\" rel=\"noopener noreferrer\">www.morningstar.ca\u003C/a>.\u003C/p>\u003Cp>The Morningstar Rating displayed is the weighted average of the 3, 5 and 10 year ratings, as applicable. &nbsp;Only funds with at least a three-year track record are rated. Please refer to the individual fund’s profile page to view the rating for each applicable period that the Morningstar Ratings are available for.\u003C/p>",{"id":267,"level":215,"fund":268},86,{"id":20,"documentId":21,"slug":23,"name":22,"fundCode":25,"pdf":269},{"id":270,"documentId":271,"name":272,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":273,"ext":243,"mime":244,"size":274,"url":275,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":276,"updatedAt":276,"publishedAt":276,"related":277},1583,"jrjj40mpj1yel0mnb068v93j","1Q25-Mawer-Canadian-Bond-Fund-Series-A.pdf","10f3a090ba2710680c5abd16984515997c546089",494149,"https://az-dev-mawer-com-cms-dhhrc6d6c4f5hxh7.a03.azurefd.net/mawer-com-cms/assets/10f3a090ba2710680c5abd16984515997c546089.pdf","2025-06-05T23:25:40.756Z",[278],{"__type":250,"id":20,"documentId":21,"name":22,"slug":23,"asAtDate":170,"investmentArea":279,"investmentStrategy":280,"investorSuitability":281,"fundCode":25,"createdAt":282,"updatedAt":283,"publishedAt":284,"locale":17,"navigationLabel":24,"managementExpenseRatio":285,"MERDate":258,"tradingExpenseRatio":198,"TERDate":10,"risk":196,"fundInceptionDate":286,"RRSPEligibility":260,"sourceId":287,"benchmark":288,"benchmarkHistory":10,"seriesAInceptionDate":289,"seriesOInceptionDate":290,"generalFundDisclosure":10,"performanceText":10,"managersNote":10,"disclosure":265,"investorEligibility":10,"fundSummary":10,"hidePerformanceLink":10,"hidePricesLink":10,"hideDocumentsLink":10,"hideRRSPEligibility":10},"The Fund invests primarily in bonds and debentures of Canadian government and corporate issuers. \r\nTreasury bills or short-term investments will also be used.","In order to achieve its investment objectives, the Manager positions the Fund along points on the yield curve which offers the most attractive yields relative to the duration of the security, maintaining a bias for the part of the curve that offers attractive characteristics in the context of the central bank policy. The Fund will typically overweight sectors that provide attractive yields relative to Government of Canada Bonds with an emphasis on investment-grade corporate, provincial and municipal bonds. The Manager will utilize in-house, bottom-up credit analysis and will monitor bond markets in an effort to identify mispriced securities.","Investors seeking income and stability. Low risk.","2025-06-11T23:01:00.847Z","2026-03-18T17:34:23.703Z","2026-03-18T17:35:07.039Z",0.68,"1991-06-21","265","FTSE Canada Universe Bond Index","1991-06-14","2004-12-01",{"id":292,"title":293,"category":194,"description":294,"risk":295,"investorSuitability":296,"foreignExposure":297,"MER":298,"TER":299,"equities":300,"fixedIncome":301,"showFAQItems":260,"assetMix":302,"funds":314},44,"Balanced Income","This portfolio invests in Mawer Mutual Funds that invest in investment-grade Canadian bonds, global bonds, cash and cash equivalents, and a small allocation to global equities for capital growth and to offset inflation.","Low-Medium","This portfolio may be suitable for investors seeking income and stability and inflation protection.",28.78,0.87,0.01,30,70,[303,307,311],{"id":304,"percentage":305,"assetType":306},130,12,{"id":168,"documentId":207,"type":208,"color":209,"sourceId":46,"createdAt":210,"updatedAt":211,"publishedAt":212,"locale":17},{"id":308,"percentage":309,"assetType":310},131,58,{"id":217,"documentId":218,"type":219,"color":220,"sourceId":86,"createdAt":221,"updatedAt":222,"publishedAt":223,"locale":17},{"id":312,"percentage":300,"assetType":313},132,{"id":227,"documentId":228,"type":229,"color":230,"sourceId":30,"createdAt":231,"updatedAt":232,"publishedAt":233,"locale":17},[315,321,328],{"id":316,"level":227,"fund":317},87,{"id":52,"documentId":53,"slug":55,"name":54,"fundCode":57,"pdf":318},{"id":239,"documentId":240,"name":241,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":242,"ext":243,"mime":244,"size":245,"url":246,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":247,"updatedAt":247,"publishedAt":247,"related":319},[320],{"__type":250,"id":52,"documentId":53,"name":54,"slug":55,"asAtDate":170,"investmentArea":251,"investmentStrategy":252,"investorSuitability":253,"fundCode":57,"createdAt":254,"updatedAt":255,"publishedAt":256,"locale":17,"navigationLabel":56,"managementExpenseRatio":257,"MERDate":258,"tradingExpenseRatio":198,"TERDate":10,"risk":196,"fundInceptionDate":259,"RRSPEligibility":260,"sourceId":261,"benchmark":262,"benchmarkHistory":10,"seriesAInceptionDate":263,"seriesOInceptionDate":264,"generalFundDisclosure":10,"performanceText":10,"managersNote":10,"disclosure":265,"investorEligibility":10,"fundSummary":10,"hidePerformanceLink":10,"hidePricesLink":10,"hideDocumentsLink":10,"hideRRSPEligibility":10},{"id":322,"level":323,"fund":324},88,41,{"id":20,"documentId":21,"slug":23,"name":22,"fundCode":25,"pdf":325},{"id":270,"documentId":271,"name":272,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":273,"ext":243,"mime":244,"size":274,"url":275,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":276,"updatedAt":276,"publishedAt":276,"related":326},[327],{"__type":250,"id":20,"documentId":21,"name":22,"slug":23,"asAtDate":170,"investmentArea":279,"investmentStrategy":280,"investorSuitability":281,"fundCode":25,"createdAt":282,"updatedAt":283,"publishedAt":284,"locale":17,"navigationLabel":24,"managementExpenseRatio":285,"MERDate":258,"tradingExpenseRatio":198,"TERDate":10,"risk":196,"fundInceptionDate":286,"RRSPEligibility":260,"sourceId":287,"benchmark":288,"benchmarkHistory":10,"seriesAInceptionDate":289,"seriesOInceptionDate":290,"generalFundDisclosure":10,"performanceText":10,"managersNote":10,"disclosure":265,"investorEligibility":10,"fundSummary":10,"hidePerformanceLink":10,"hidePricesLink":10,"hideDocumentsLink":10,"hideRRSPEligibility":10},{"id":329,"level":330,"fund":331},89,50,{"id":76,"documentId":77,"slug":79,"name":78,"fundCode":81,"pdf":332},{"id":333,"documentId":334,"name":335,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":336,"ext":243,"mime":244,"size":337,"url":338,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":339,"updatedAt":339,"publishedAt":339,"related":340},1579,"vnit8jgnx5570fo8cfwn5qgm","1Q25-Mawer-Global-Balanced-Fund-Series-A.pdf","711f8bb81fcce067627ba56fe5725fd9171e56b3",499086,"https://az-dev-mawer-com-cms-dhhrc6d6c4f5hxh7.a03.azurefd.net/mawer-com-cms/assets/711f8bb81fcce067627ba56fe5725fd9171e56b3.pdf","2025-06-05T23:25:27.178Z",[341],{"__type":250,"id":76,"documentId":77,"name":78,"slug":79,"asAtDate":170,"investmentArea":342,"investmentStrategy":343,"investorSuitability":344,"fundCode":81,"createdAt":345,"updatedAt":346,"publishedAt":347,"locale":17,"navigationLabel":80,"managementExpenseRatio":348,"MERDate":258,"tradingExpenseRatio":299,"TERDate":258,"risk":295,"fundInceptionDate":349,"RRSPEligibility":260,"sourceId":350,"benchmark":351,"benchmarkHistory":352,"seriesAInceptionDate":353,"seriesOInceptionDate":353,"generalFundDisclosure":10,"performanceText":10,"managersNote":10,"disclosure":354,"investorEligibility":10,"fundSummary":10,"hidePerformanceLink":10,"hidePricesLink":10,"hideDocumentsLink":10,"hideRRSPEligibility":10},"The Fund invests primarily in equity and equity-related securities and fixed-income securities from around the world. The Fund may invest in any part of the capital structure in both public and private entities.","A bottom up approach is taken to construct this Fund. The equities are chosen on a global basis and are coupled with the stability of investment grade Canadian bonds. Risk is further managed through extensive diversification across many industries, countries, and currencies.","Investors seeking long-term growth at low-medium risk.","2025-06-11T23:00:55.094Z","2026-03-18T17:34:23.393Z","2026-03-18T17:35:07.463Z",1.09,"2013-12-31","262","Internal Global Balanced Benchmark","\u003Cp>\u003Cstrong>Mawer Global Balanced Benchmark History (changes made prospectively):\u003C/strong>\u003C/p>\n\u003Cp>Jul 2013: 5% FTSE Canada 91 Day TBill Index, 35% FTSE Canada Universe Bond, 60% MSCI World (net)\u003C/p>\n\u003Cp>Oct 2015: 20% FTSE Canada Universe Bond, 20% FTSE World Government Bond Index (WGBI), 60% MSCI World (net)\u003C/p>\n\u003Cp>Oct 2016: 20% FTSE Canada Universe Bond, 20% FTSE World Government Bond Index (WGBI), 60% MSCI ACWI (net)\u003C/p>\n\u003Cp>Jun 2021: 5% FTSE Canada 91 Day TBill Index, 35% FTSE Canada Universe Bond, 60% MSCI ACWI (net)\u003C/p>\n\u003Cp>Aug 2013: MSCI World (net) returns are used to calculate the blended benchmark from inception. Previously, MSCI World (gross) was used.\u003C/p>\n\u003Cp>Rationale for Change:&nbsp;Because the benchmarks for the Mawer Global Balanced Fund are based on those of the underlying funds, the internal Global Balanced benchmark changes accordingly.\u003C/p>\n\u003Cp>Mawer Global Equity Benchmark History&nbsp;(changes made prospectively):\u003C/p>\n\u003Cp>Oct: 2009: MSCI World (net)\u003Cbr>Oct 2016: MSCI ACWI (net)\u003C/p>\n\u003Cp>Rationale for Change: MSCI ACWI (net) Index is a better representation of the mandate in our opinion. Past benchmark does not include Emerging Markets whereas the fund has holdings in these markets consistent with its prospectus and investment policy statement.)&nbsp;\u003C/p>\n\u003Cp>Benchmarks returns are rebalanced on a monthly basis.\u003C/p>","2013-07-03","\u003Cp>Mawer Mutual Funds are managed by Mawer Investment Management Ltd. Mawer Mutual Fund returns are reported in Canadian dollars and calculated after management fees and operating expenses have been deducted. In comparison, index returns do not incur management fees or operating expenses.\u003C/p>\u003Cp>Index returns are supplied by third parties—we believe the data to be accurate, however, cannot guarantee its accuracy.\u003C/p>\u003Cp>Performance returns for the Mawer Mutual Funds and benchmarks are calculated by Mawer Investment Management Ltd. These returns are historical simple returns for the 3 month, YTD and 1 year periods, and annualized compounded total returns for periods after 1 year.\u003C/p>\u003Cp>Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the \u003Ca href=\"https://www.mawer.com/documents\">fund facts \u003C/a>and \u003Ca href=\"https://www.mawer.com/documents\">prospectus\u003C/a> before investing. The indicated rates of return (other than for a money market fund) are the historical annual compounded total returns including changes in unit value and reinvestment of all distributions. The indicated rates of return for a money market fund is an annualized historical yield based on the seven-day period ended as indicated and annualized in the case of effective yield by compounding the seven-day return and does not represent an actual one-year return. The indicated rates of return do not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated. Mutual fund securities are not covered by the Canada Deposit Insurance Corporation or by any other government deposit insurer. There can be no assurances that a money market fund will be able to maintain its net asset value per unit at a constant amount or that the full amount of your investment will be returned to you. Mawer Mutual Funds are managed by Mawer Investment Management Ltd.\u003C/p>\u003Cp>Mawer Mutual Funds do not have trailing commissions. If you purchased units of the Mawer Mutual Funds through a third-party dealer, you may be subject to commissions or additional sales charges. Please contact your dealer for more information.\u003C/p>\u003Cp>London Stock Exchange Group plc and its group undertakings (collectively, the “LSE Group”). © LSE Group 2025. FTSE Russell® is a trading name of certain of the LSE Group companies. FTSE® is a trade mark(s) of the relevant LSE Group companies and is/are used by any other LSE Group company under license. “TMX®” is a trade mark of TSX, Inc. and used by the LSE Group under license. All rights in the FTSE Russell indexes or data vest in the relevant LSE Group company which owns the index or the data. Neither LSE Group nor its licensors accept any liability for any errors or omissions in the indexes or data and no party may rely on any indexes or data contained in this communication. No further distribution of data from the LSE Group is permitted without the relevant LSE Group company’s express written consent. The LSE Group does not promote, sponsor or endorse the content of this communication.\u003C/p>\u003Cp>© 2025 Morningstar Research Inc. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results. The Morningstar Rating, commonly referred to as the Star Rating, relates how a fund has performed on a risk-adjusted basis against its Morningstar category peers and is subject to change every month. Funds are ranked by their Morningstar Risk-Adjusted Return scores with the top 10% of funds in a category receiving 5 stars, the top 22.5% receiving 4 stars; a fund in the middle 35% receiving 3 stars; and a fund in the bottom 22.5% receiving 2 stars. The Overall Star Rating for a fund is a weighted combination of its 3, 5 and 10 year ratings. Overall ratings are adjusted where a fund has less than 5 or 10 years of history. For greater detail see \u003Ca href=\"www.morningstar.ca/ca/\" target=\"_blank\" rel=\"noopener noreferrer\">www.morningstar.ca\u003C/a>.\u003C/p>\u003Cp>The Morningstar Rating displayed is the weighted average of the 3, 5 and 10 year ratings, as applicable. &nbsp;Only funds with at least a three-year track record are rated. Please refer to the individual fund’s profile page to view the rating for each applicable period that the Morningstar Ratings are available for.\u003C/p>",{"id":356,"title":357,"category":358,"description":359,"risk":295,"investorSuitability":360,"foreignExposure":361,"MER":362,"TER":299,"equities":356,"fixedIncome":363,"showFAQItems":260,"assetMix":364,"funds":375},45,"Conservative Balanced","balanced","This portfolio invests in Mawer Mutual Funds that invest in investment-grade Canadian bonds, global bonds, cash and cash equivalents, and an allocation to global equities for capital growth and to offset inflation.","This portfolio may be suitable for investors seeking a combination of capital growth and short-term income and stability.",42.59,0.97,55,[365,368,372],{"id":366,"percentage":168,"assetType":367},133,{"id":168,"documentId":207,"type":208,"color":209,"sourceId":46,"createdAt":210,"updatedAt":211,"publishedAt":212,"locale":17},{"id":369,"percentage":370,"assetType":371},134,47,{"id":217,"documentId":218,"type":219,"color":220,"sourceId":86,"createdAt":221,"updatedAt":222,"publishedAt":223,"locale":17},{"id":373,"percentage":356,"assetType":374},135,{"id":227,"documentId":228,"type":229,"color":230,"sourceId":30,"createdAt":231,"updatedAt":232,"publishedAt":233,"locale":17},[376,383,390],{"id":377,"level":378,"fund":379},90,5,{"id":52,"documentId":53,"slug":55,"name":54,"fundCode":57,"pdf":380},{"id":239,"documentId":240,"name":241,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":242,"ext":243,"mime":244,"size":245,"url":246,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":247,"updatedAt":247,"publishedAt":247,"related":381},[382],{"__type":250,"id":52,"documentId":53,"name":54,"slug":55,"asAtDate":170,"investmentArea":251,"investmentStrategy":252,"investorSuitability":253,"fundCode":57,"createdAt":254,"updatedAt":255,"publishedAt":256,"locale":17,"navigationLabel":56,"managementExpenseRatio":257,"MERDate":258,"tradingExpenseRatio":198,"TERDate":10,"risk":196,"fundInceptionDate":259,"RRSPEligibility":260,"sourceId":261,"benchmark":262,"benchmarkHistory":10,"seriesAInceptionDate":263,"seriesOInceptionDate":264,"generalFundDisclosure":10,"performanceText":10,"managersNote":10,"disclosure":265,"investorEligibility":10,"fundSummary":10,"hidePerformanceLink":10,"hidePricesLink":10,"hideDocumentsLink":10,"hideRRSPEligibility":10},{"id":384,"level":385,"fund":386},91,21,{"id":20,"documentId":21,"slug":23,"name":22,"fundCode":25,"pdf":387},{"id":270,"documentId":271,"name":272,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":273,"ext":243,"mime":244,"size":274,"url":275,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":276,"updatedAt":276,"publishedAt":276,"related":388},[389],{"__type":250,"id":20,"documentId":21,"name":22,"slug":23,"asAtDate":170,"investmentArea":279,"investmentStrategy":280,"investorSuitability":281,"fundCode":25,"createdAt":282,"updatedAt":283,"publishedAt":284,"locale":17,"navigationLabel":24,"managementExpenseRatio":285,"MERDate":258,"tradingExpenseRatio":198,"TERDate":10,"risk":196,"fundInceptionDate":286,"RRSPEligibility":260,"sourceId":287,"benchmark":288,"benchmarkHistory":10,"seriesAInceptionDate":289,"seriesOInceptionDate":290,"generalFundDisclosure":10,"performanceText":10,"managersNote":10,"disclosure":265,"investorEligibility":10,"fundSummary":10,"hidePerformanceLink":10,"hidePricesLink":10,"hideDocumentsLink":10,"hideRRSPEligibility":10},{"id":391,"level":392,"fund":393},92,74,{"id":76,"documentId":77,"slug":79,"name":78,"fundCode":81,"pdf":394},{"id":333,"documentId":334,"name":335,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":336,"ext":243,"mime":244,"size":337,"url":338,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":339,"updatedAt":339,"publishedAt":339,"related":395},[396],{"__type":250,"id":76,"documentId":77,"name":78,"slug":79,"asAtDate":170,"investmentArea":342,"investmentStrategy":343,"investorSuitability":344,"fundCode":81,"createdAt":345,"updatedAt":346,"publishedAt":347,"locale":17,"navigationLabel":80,"managementExpenseRatio":348,"MERDate":258,"tradingExpenseRatio":299,"TERDate":258,"risk":295,"fundInceptionDate":349,"RRSPEligibility":260,"sourceId":350,"benchmark":351,"benchmarkHistory":352,"seriesAInceptionDate":353,"seriesOInceptionDate":353,"generalFundDisclosure":10,"performanceText":10,"managersNote":10,"disclosure":354,"investorEligibility":10,"fundSummary":10,"hidePerformanceLink":10,"hidePricesLink":10,"hideDocumentsLink":10,"hideRRSPEligibility":10},{"id":398,"title":399,"category":358,"description":400,"risk":295,"investorSuitability":401,"foreignExposure":402,"MER":348,"TER":299,"equities":403,"fixedIncome":404,"showFAQItems":260,"assetMix":405,"funds":416},46,"True Balanced","This portfolio invests in Mawer Mutual Funds that invest in global equities for capital growth and, investment-grade Canadian bonds, global bonds, cash and cash equivalents.","This portfolio may be suitable for investors seeking long-term capital growth with short term income and stability.",57.55,61,39,[406,409,413],{"id":407,"percentage":34,"assetType":408},136,{"id":168,"documentId":207,"type":208,"color":209,"sourceId":46,"createdAt":210,"updatedAt":211,"publishedAt":212,"locale":17},{"id":410,"percentage":411,"assetType":412},137,36,{"id":217,"documentId":218,"type":219,"color":220,"sourceId":86,"createdAt":221,"updatedAt":222,"publishedAt":223,"locale":17},{"id":414,"percentage":403,"assetType":415},138,{"id":227,"documentId":228,"type":229,"color":230,"sourceId":30,"createdAt":231,"updatedAt":232,"publishedAt":233,"locale":17},[417],{"id":418,"level":200,"fund":419},93,{"id":76,"documentId":77,"slug":79,"name":78,"fundCode":81,"pdf":420},{"id":333,"documentId":334,"name":335,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":336,"ext":243,"mime":244,"size":337,"url":338,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":339,"updatedAt":339,"publishedAt":339,"related":421},[422],{"__type":250,"id":76,"documentId":77,"name":78,"slug":79,"asAtDate":170,"investmentArea":342,"investmentStrategy":343,"investorSuitability":344,"fundCode":81,"createdAt":345,"updatedAt":346,"publishedAt":347,"locale":17,"navigationLabel":80,"managementExpenseRatio":348,"MERDate":258,"tradingExpenseRatio":299,"TERDate":258,"risk":295,"fundInceptionDate":349,"RRSPEligibility":260,"sourceId":350,"benchmark":351,"benchmarkHistory":352,"seriesAInceptionDate":353,"seriesOInceptionDate":353,"generalFundDisclosure":10,"performanceText":10,"managersNote":10,"disclosure":354,"investorEligibility":10,"fundSummary":10,"hidePerformanceLink":10,"hidePricesLink":10,"hideDocumentsLink":10,"hideRRSPEligibility":10},{"id":370,"title":424,"category":425,"description":426,"risk":427,"investorSuitability":428,"foreignExposure":429,"MER":430,"TER":431,"equities":432,"fixedIncome":83,"showFAQItems":260,"assetMix":433,"funds":443},"Balanced Growth","growth","This portfolio invests in Mawer Mutual Funds that invest in global equities for capital growth and a limited exposure in global bonds. The Funds will invest in large and small market capitalization companies.","Medium","This portfolio may be suitable for investors that are seeking above-average growth in their portfolio but also wish to have an allocation to bonds and cash to reduce volatility.",71.04,1.18,0.02,76,[434,437,440],{"id":435,"percentage":34,"assetType":436},139,{"id":168,"documentId":207,"type":208,"color":209,"sourceId":46,"createdAt":210,"updatedAt":211,"publishedAt":212,"locale":17},{"id":438,"percentage":385,"assetType":439},140,{"id":217,"documentId":218,"type":219,"color":220,"sourceId":86,"createdAt":221,"updatedAt":222,"publishedAt":223,"locale":17},{"id":441,"percentage":432,"assetType":442},141,{"id":227,"documentId":228,"type":229,"color":230,"sourceId":30,"createdAt":231,"updatedAt":232,"publishedAt":233,"locale":17},[444,451],{"id":445,"level":446,"fund":447},94,60,{"id":76,"documentId":77,"slug":79,"name":78,"fundCode":81,"pdf":448},{"id":333,"documentId":334,"name":335,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":336,"ext":243,"mime":244,"size":337,"url":338,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":339,"updatedAt":339,"publishedAt":339,"related":449},[450],{"__type":250,"id":76,"documentId":77,"name":78,"slug":79,"asAtDate":170,"investmentArea":342,"investmentStrategy":343,"investorSuitability":344,"fundCode":81,"createdAt":345,"updatedAt":346,"publishedAt":347,"locale":17,"navigationLabel":80,"managementExpenseRatio":348,"MERDate":258,"tradingExpenseRatio":299,"TERDate":258,"risk":295,"fundInceptionDate":349,"RRSPEligibility":260,"sourceId":350,"benchmark":351,"benchmarkHistory":352,"seriesAInceptionDate":353,"seriesOInceptionDate":353,"generalFundDisclosure":10,"performanceText":10,"managersNote":10,"disclosure":354,"investorEligibility":10,"fundSummary":10,"hidePerformanceLink":10,"hidePricesLink":10,"hideDocumentsLink":10,"hideRRSPEligibility":10},{"id":452,"level":453,"fund":454},95,40,{"id":100,"documentId":101,"slug":103,"name":102,"fundCode":105,"pdf":455},{"id":456,"documentId":457,"name":458,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":459,"ext":243,"mime":244,"size":460,"url":461,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":462,"updatedAt":462,"publishedAt":462,"related":463},1573,"jyydwuoma03gbvnq4o0kezd5","1Q25-Mawer-Global-Equity-Fund-Series-A.pdf","bb93d018c5b6cbbe15d56be5de78d3fc34ca8dca",496471,"https://az-dev-mawer-com-cms-dhhrc6d6c4f5hxh7.a03.azurefd.net/mawer-com-cms/assets/bb93d018c5b6cbbe15d56be5de78d3fc34ca8dca.pdf","2025-06-05T23:25:06.150Z",[464],{"__type":250,"id":100,"documentId":101,"name":102,"slug":103,"asAtDate":170,"investmentArea":465,"investmentStrategy":466,"investorSuitability":467,"fundCode":105,"createdAt":468,"updatedAt":469,"publishedAt":470,"locale":17,"navigationLabel":104,"managementExpenseRatio":471,"MERDate":258,"tradingExpenseRatio":431,"TERDate":258,"risk":427,"fundInceptionDate":472,"RRSPEligibility":260,"sourceId":473,"benchmark":474,"benchmarkHistory":475,"seriesAInceptionDate":472,"seriesOInceptionDate":472,"generalFundDisclosure":10,"performanceText":10,"managersNote":10,"disclosure":476,"investorEligibility":10,"fundSummary":10,"hidePerformanceLink":10,"hidePricesLink":10,"hideDocumentsLink":10,"hideRRSPEligibility":10},"The Fund invests in equity securities of companies from around the world. The Manager will allocate capital to the best global opportunities, which may include both large and small capitalization companies. Treasury bills or short-term investments, not exceeding three years to maturity will also be used.","In order to achieve its investment objectives, the Manager systematically creates a broadly diversified portfolio of wealth-creating companies with excellent management teams bought at discounts to their intrinsic values. The Manager employs a highly disciplined, research-driven, bottom-up process and long-term holding period to allow for investor recognition or corporate growth, and to minimize transaction costs.","Investors seeking long-term, above-average growth who can tolerate equity volatility. Medium risk.","2025-06-11T23:00:44.128Z","2026-03-18T17:34:22.982Z","2026-03-18T17:35:07.589Z",1.3,"2009-10-22","255","Global Equity Benchmark","\u003Cp>\u003Cstrong>Mawer Global Equity Benchmark History (changes made prospectively):\u003C/strong>\u003C/p>\n\u003Cp>Oct 2009: MSCI World (net)\u003Cbr>Oct 2016: MSCI ACWI (net)\u003C/p>\n\u003Cp>Rationale for Change: MSCI ACWI (net) Index is a better representation of the mandate in our opinion. Past benchmark does not include Emerging Markets whereas the fund has holdings in these markets consistent with its prospectus and investment policy statement.&nbsp;\u003C/p>\n\u003Cp>Benchmark returns are rebalanced on a monthly basis.\u003C/p>","\u003Cp>Mawer Mutual Funds are managed by Mawer Investment Management Ltd. Mawer Mutual Fund returns are reported in Canadian dollars and calculated after management fees and operating expenses have been deducted. In comparison, index returns do not incur management fees or operating expenses.\u003C/p>\u003Cp>Index returns are supplied by third parties—we believe the data to be accurate, however, cannot guarantee its accuracy.\u003C/p>\u003Cp>Performance returns for the Mawer Mutual Funds and benchmarks are calculated by Mawer Investment Management Ltd. These returns are historical simple returns for the 3 month, YTD and 1 year periods, and annualized compounded total returns for periods after 1 year.\u003C/p>\u003Cp>Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the \u003Ca href=\"https://www.mawer.com/documents\">fund facts \u003C/a>and \u003Ca href=\"https://www.mawer.com/documents\">prospectus\u003C/a> before investing. The indicated rates of return (other than for a money market fund) are the historical annual compounded total returns including changes in unit value and reinvestment of all distributions. The indicated rates of return for a money market fund is an annualized historical yield based on the seven-day period ended as indicated and annualized in the case of effective yield by compounding the seven-day return and does not represent an actual one-year return. The indicated rates of return do not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated. Mutual fund securities are not covered by the Canada Deposit Insurance Corporation or by any other government deposit insurer. There can be no assurances that a money market fund will be able to maintain its net asset value per unit at a constant amount or that the full amount of your investment will be returned to you. Mawer Mutual Funds are managed by Mawer Investment Management Ltd.\u003C/p>\u003Cp>Mawer Mutual Funds do not have trailing commissions. If you purchased units of the Mawer Mutual Funds through a third-party dealer, you may be subject to commissions or additional sales charges. Please contact your dealer for more information.\u003C/p>\u003Cp>The MSCI information may only be used for your internal use, may not be reproduced or redisseminated in any form and may not be used as a basis for or a component of any financial instruments or products or indices. None of the MSCI information is intended to constitute investment advice or a recommendation to make (or refrain from making) any kind of investment decision and may not be relied on as such. Historical data and analysis should not be taken as an indication or guarantee of any future performance analysis, forecast or prediction. The MSCI information is provided on an “as is” basis and the user of this information assumes the entire risk of any use made of this information. MSCI, each of its affiliates and each other person involved in or related to compiling, computing or creating any MSCI information (collectively, the “MSCI Parties”) expressly disclaims all warranties (including, without limitation, any warranties of originality, accuracy, completeness, timeliness, non-infringement, merchantability and fitness for a particular purpose) with respect to this information. Without limiting any of the foregoing, in no event shall any MSCI Party have any liability for any direct, indirect, special, incidental, punitive, consequential (including, without limitation, lost profits) or any other damages. (\u003Ca href=\"www.msci.com\" target=\"_blank\" rel=\"noopener noreferrer\">www.msci.com\u003C/a>)\u003C/p>\u003Cp>© 2025 Morningstar Research Inc. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results. The Morningstar Rating, commonly referred to as the Star Rating, relates how a fund has performed on a risk-adjusted basis against its Morningstar category peers and is subject to change every month. Funds are ranked by their Morningstar Risk-Adjusted Return scores with the top 10% of funds in a category receiving 5 stars, the top 22.5% receiving 4 stars; a fund in the middle 35% receiving 3 stars; and a fund in the bottom 22.5% receiving 2 stars. The Overall Star Rating for a fund is a weighted combination of its 3, 5 and 10 year ratings. Overall ratings are adjusted where a fund has less than 5 or 10 years of history. For greater detail see \u003Ca href=\"www.morningstar.ca/ca/\" target=\"_blank\" rel=\"noopener noreferrer\">www.morningstar.ca\u003C/a>.\u003C/p>\u003Cp>The Morningstar Rating displayed is the weighted average of the 3, 5 and 10 year ratings, as applicable. &nbsp;Only funds with at least a three-year track record are rated. Please refer to the individual fund’s profile page to view the rating for each applicable period that the Morningstar Ratings are available for.\u003C/p>",{"id":478,"title":479,"category":425,"description":480,"risk":427,"investorSuitability":481,"foreignExposure":482,"MER":483,"TER":431,"equities":200,"fixedIncome":198,"showFAQItems":260,"assetMix":484,"funds":494},48,"Growth","This portfolio invests in Mawer Mutual Funds that invest in large and small capital global equity securities with a focus on capital growth.","This portfolio may be suitable for investors seeking long term above average growth who can tolerate significant ups and downs of the stock market.",91.27,1.31,[485,488,491],{"id":486,"percentage":198,"assetType":487},142,{"id":168,"documentId":207,"type":208,"color":209,"sourceId":46,"createdAt":210,"updatedAt":211,"publishedAt":212,"locale":17},{"id":489,"percentage":198,"assetType":490},143,{"id":217,"documentId":218,"type":219,"color":220,"sourceId":86,"createdAt":221,"updatedAt":222,"publishedAt":223,"locale":17},{"id":492,"percentage":200,"assetType":493},144,{"id":227,"documentId":228,"type":229,"color":230,"sourceId":30,"createdAt":231,"updatedAt":232,"publishedAt":233,"locale":17},[495],{"id":496,"level":200,"fund":497},96,{"id":100,"documentId":101,"slug":103,"name":102,"fundCode":105,"pdf":498},{"id":456,"documentId":457,"name":458,"alternativeText":10,"caption":10,"width":10,"height":10,"formats":10,"hash":459,"ext":243,"mime":244,"size":460,"url":461,"previewUrl":10,"provider":183,"provider_metadata":10,"createdAt":462,"updatedAt":462,"publishedAt":462,"related":499},[500],{"__type":250,"id":100,"documentId":101,"name":102,"slug":103,"asAtDate":170,"investmentArea":465,"investmentStrategy":466,"investorSuitability":467,"fundCode":105,"createdAt":468,"updatedAt":469,"publishedAt":470,"locale":17,"navigationLabel":104,"managementExpenseRatio":471,"MERDate":258,"tradingExpenseRatio":431,"TERDate":258,"risk":427,"fundInceptionDate":472,"RRSPEligibility":260,"sourceId":473,"benchmark":474,"benchmarkHistory":475,"seriesAInceptionDate":472,"seriesOInceptionDate":472,"generalFundDisclosure":10,"performanceText":10,"managersNote":10,"disclosure":476,"investorEligibility":10,"fundSummary":10,"hidePerformanceLink":10,"hidePricesLink":10,"hideDocumentsLink":10,"hideRRSPEligibility":10},{},1775079582907]