StrategicNova U.S. Midcap Value Fund
Fund Profile
Date of Formation: Dec 1 1995 Auditor: PricewaterhouseCoopers LLP
Sales Compensation: Option of Sales Charge or Redemption Charge (Principal) Custodian: Royal Trust Corporation of Canada
Investment Fund Type: United States Common Shares (Principal) Distributor: None
Eligible for RRSP: Yes Investment Portfolio Manager: Gemini Capital Management Ltd.
Financial Year-End: Dec 31 Trustee: StrategicNova Funds Management Inc.
Reporting Jurisdictions: Ceased Reporting


This fund is a previous issuer to   Dynamic American Fund (formerly Dynamic American Value Fund)
View This Investment Fund's Documents
View this Investment Fund's Group Profile