AGF.B A.G.F. Management Ltd. Cl B NV

AGF Announces ETF Name and Risk Rating Changes

AGF Announces ETF Name and Risk Rating Changes

TORONTO, Jan. 31, 2020 (GLOBE NEWSWIRE) --

AGF Investments Inc. (AGFI) today announced a series of name changes and risk rating changes to its ETF line-up.

AGFiQ ETF Name Changes

The AGFiQ ETF name changes are being made in an effort to simplify the naming conventions and align to industry norms.

New Name Previous Name
AGFiQ Canadian Equity ETFAGFiQ Enhanced Core Canadian Equity ETF
AGFiQ Emerging Markets Equity ETFAGFiQ Enhanced Core Emerging Markets Equity ETF
AGFiQ Global Multi-Sector Bond ETFAGFiQ Enhanced Core Global Multi-Sector Bond ETF
AGFiQ International Equity ETFAGFiQ Enhanced Core International Equity ETF
AGFiQ US Equity ETFAGFiQ Enhanced Core US Equity ETF
AGFiQ Global ESG Factors ETFAGFiQ Enhanced Global ESG Factors ETF
AGFiQ Global Infrastructure ETFAGFiQ Enhanced Global Infrastructure ETF
AGFiQ Global Equity ETF PortfolioAGFiQ Global Equity Rotation ETF
AGFiQ Global Balanced ETF PortfolioAGFiQ MultiAsset Allocation ETF
AGFiQ Global Income ETF PortfolioAGFiQ MultiAsset Income Allocation ETF

Risk Rating Changes

Effective today, AGFI is also changing the risk rating for four ETFs, with three decreasing their risk rating and one increasing its risk rating.

ETF Name Previous Risk RatingRevised Risk Rating
AGFiQ Global Multi-Sector Bond ETF

(formerly AGFiQ Enhanced Core Global Multi-Sector Bond ETF)
Low to MediumLow
AGFiQ Global Income ETF Portfolio

(formerly AGFiQ MultiAsset Income Allocation ETF)
Low to MediumLow
AGFiQ Global Equity ETF Portfolio

(formerly AGFiQ Global Equity Rotation ETF)
MediumLow to Medium
AGFiQ International Equity ETF

(formerly AGFiQ Enhanced Core International Equity ETF)
Low to MediumMedium

As the ETFs have less than 10 years of performance history, the investment risk level of each ETF is calculated using the return history of the ETF and the return history of a reference index, which is expected to reasonably approximate the standard deviation of the ETF, for the remainder of the 10-year period.

No material changes have been made to the investment objectives, strategies or management of the ETFs.

About AGF Management Limited

Founded in 1957, AGF Management Limited (AGF) is an independent and globally diverse asset management firm. AGF brings a disciplined approach to delivering excellence in investment management through its fundamental, quantitative, alternative and high-net-worth businesses focused on providing an exceptional client experience. AGF’s suite of investment solutions extends globally to a wide range of clients, from financial advisors and individual investors to institutional investors including pension plans, corporate plans, sovereign wealth funds and endowments and foundations.



AGF has investment operations and client servicing teams on the ground in North America, Europe and Asia. With nearly $39 billion in total assets under management, AGF serves more than one million investors. AGF trades on the Toronto Stock Exchange under the symbol AGF.B.



The term AGF may refer to one or more of the direct and indirect subsidiaries of AGF Management Limited or to all of them jointly. These terms are used for convenience and do not precisely describe any of the separate companies, each of which manages its own affairs. 

Commissions, management fees and expenses all may be associated with investing in AGFiQ ETFs. Please read the relevant prospectus or relevant ETF Facts before investing.  Exchange-traded funds are not guaranteed, their values change frequently and past performance may not be repeated. Tax, investment and all other decisions should be made, as appropriate, only with guidance from a qualified professional. There is no guarantee that AGFiQ ETFs will achieve their stated objectives and there is risk involved in investing in the ETFs. The risks associated with each AGFiQ ETF are detailed in the prospectus. Before investing you should carefully consider each ETF’s investment objectives, risks, charges and expenses. This and other information is in the ETF’s prospectus. Please read the prospectus carefully before you invest. A copy is available on AGFiQ.com.



AGF Investments Inc. is a subsidiary of AGF. AGFI is registered as a portfolio manager across Canadian securities commissions.

Media Contact

Amanda Marchment

Director, Corporate Communications

416-865-4160

EN
31/01/2020

Underlying

To request access to management, click here to engage with our
partner Phoenix-IR's CorporateAccessNetwork.com

Reports on A.G.F. Management Ltd. Cl B NV

 PRESS RELEASE

AGF Announces Results of Special Meetings of Securityholders and Imple...

AGF Announces Results of Special Meetings of Securityholders and Implementation of Certain Fund Changes Approved by Securityholders TORONTO, June 26, 2025 (GLOBE NEWSWIRE) -- Following special meetings of securityholders held on June 26, 2025, AGF Investments Inc. (AGF Investments) today announced that securityholders approved the proposed changes to the investment objectives of AGF Short-Term Income Class and AGF Global Sustainable Growth Equity Fund (each a “Fund”, and collectively, the “Funds”), as follows: Fund Current Investment Objective Proposed Investment Objective AGF Short-Term ...

 PRESS RELEASE

AGF annonce les résultats d’assemblées extraordinaires des porteurs de...

AGF annonce les résultats d’assemblées extraordinaires des porteurs de titres, de même que des changements approuvés par les porteurs de titres concernant certains fonds TORONTO, 26 juin 2025 (GLOBE NEWSWIRE) -- À la suite d'assemblées extraordinaires des porteurs de titres qui ont eu lieu le 26 juin 2025, Placements AGF Inc. (« Placements AGF ») a annoncé que les porteurs de titres ont approuvé des changements proposés concernant les objectifs de placement pour la Catégorie Revenu à court terme AGF et pour le Fonds d’actions mondiales Croissance durable AGF (chacun un « Fonds » ou « OPC ...

 PRESS RELEASE

AGF Investments Announces Risk Rating Change

AGF Investments Announces Risk Rating Change TORONTO, June 25, 2025 (GLOBE NEWSWIRE) -- AGF Investments Inc. (AGF Investments) today announced a risk rating change for the following fund effective today. Fund Name Previous Risk Rating Revised Risk Rating AGF North American Small-Mid Cap FundMediumMedium-High     The changes are based on the risk classification methodology mandated by the Canadian Securities Administrators to determine the risk level of mutual funds. No material changes have been made to the investment objective, strategy or management of the fund. About AGF Management Li...

 PRESS RELEASE

Placements AGF annonce un changement concernant un niveau de risque

Placements AGF annonce un changement concernant un niveau de risque TORONTO, 25 juin 2025 (GLOBE NEWSWIRE) -- Placements AGF Inc. (« Placements AGF ») a annoncé aujourd’hui un changement de niveau de risque pour le fonds suivant. FondsNiveau de risque actuelNiveau de risque modifiéFonds de petites et moyennes capitalisations nord-américaines AGFMoyenMoyen-élevé    Cette modification est apportée en fonction de la méthode de classification des risques en matière de placement, établie par les Autorités canadiennes en valeurs mobilières, qui sert à déterminer le niveau de risque des organism...

 PRESS RELEASE

La Société de Gestion AGF Limitée annonce ses résultats financiers pou...

La Société de Gestion AGF Limitée annonce ses résultats financiers pour le deuxième trimestre de l’exercice 2025 TORONTO, 25 juin 2025 (GLOBE NEWSWIRE) -- Résultat dilué ajusté par action de 0,39 $ pour le trimestreActif géré et actifs donnant droit à des commissions totalisant 53,5 milliards $Dividende trimestriel par action de 12,5 cents La Société de Gestion AGF Limitée (« AGF » ou la « Société ») (TSX : AGF.B) a publié aujourd’hui ses résultats financiers pour le deuxième trimestre terminé le 31 mai 2025. AGF a déclaré un actif géré ainsi que des actifs donnant droit à...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch