BPI Asia Pacific Fund
Fund Profile
Date of Formation: Aug 30 1996 Auditor: PricewaterhouseCoopers LLP
Sales Compensation: Option of Sales Charge or Redemption Charge (Principal) Custodian: State Street Trust Company Canada
Investment Fund Type: Foreign Common Shares (Principal) Distributor:
Eligible for RRSP: Yes Investment Portfolio Manager: Trident Investment Management, LLC
Financial Year-End: Dec 31 Trustee: C.I. Mutual Funds Inc.
Reporting Jurisdictions: Ceased Reporting


This fund is a previous issuer to   CI Pacific Fund
This fund is a previous issuer to   CI Pacific Sector Fund (Sector A and Sector F shares only)
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