Harris Douglas Dividend Portfolio
This portfolio was designed to earn dividend income with the potential for capital appreciation over time. The portfolio invests in high-quality publicly traded Canadian companies that pay a dividend, have a history of growing dividends, and have strong balance sheets, which we believe leads to lower volatility over the long term. The portfolio holds between 15-20 high-quality Canadian dividend-paying companies.
Harris Douglas Dividend Portfolio Management Fee
- $500,000 to $2 million: 1.2 percent
- $2 million to $3 million: 1 percent
- $3 million to $5 million: 0.8 percent
- Over $5 million: 0.6 percent