Best Ideas Equity

Model Portfolio Strategy • Quarterly rebalancing

5Y Ann. Return

+16.0%

Dividend Yield

2.1%

Sharpe Ratio

1.32

Active Positions

30

Strategy

In seeking to pursue its investment objective, the portfolio is designed to provide concentrated exposure to our highest-conviction ideas across Canadian, US, and International equity markets. The strategy selects the top 10 ranked stocks from each region using a proprietary multi-factor quantitative model, combining them into a diversified 30-position portfolio.

Rebalancing Calendar

  • Wednesday, April 1st, 2026
  • Thursday, July 2nd, 2026
  • Thursday, October 1st, 2026

Objectives

  • Target long term capital appreciation across Canadian, US, and International Equities.
  • Consistently deliver performance over a blended benchmark (1/3 S&P/TSX TR + 1/3 S&P 500 TR + 1/3 MSCI ACWI Ex US TR).
  • Maximize tax efficiency by having a low portfolio turnover ratio.

Suitability

You have a reasonable investment time horizon (over 5 years) and a high risk tolerance. Consider this strategy if you are seeking a concentrated best-ideas portfolio with global diversification across three equity markets, focused on generating alpha in any market environment.

Performance vs Blended Benchmark TR

StrategyBenchmark

Sector Allocation

Materials
39.3%
Info Tech
14.4%
Financials
13.0%
Discretionary
8.7%
Health Care
7.0%
Energy
6.8%
Staples
6.5%
Industrials
2.4%
Telecom
2.1%

Unlock full access to this strategy

Get live holdings, full rankings, fact sheets, and data downloads.