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The Corton Rosenberg Global Macro Fund is an actively managed global macro ETF whose primary objective is to deliver capital growth through positive total returns over a full market cycle, regardless of whether markets are rising or falling. It emphasizes capital preservation and aims to generate consistent cash flow. To achieve this, it uses a top-down research process that incorporates country-level economic, market, and political analysis (via Rosenberg Capital Advisory Inc.) to identify mispriced assets and significant shifts in global economic patterns.
The portfolio is globally diversified across asset classes including equities, fixed income, currencies, and commodities under an unconstrained global macro mandate. It has flexibility to invest directly or indirectly, including through underlying investment funds or ETFs, and may hold some portion in securities of other investment funds.
The fund is issued by Corton Capital Inc., established as a mutual fund trust under the laws of Ontario in Canada. It trades on the Toronto Stock Exchange and is structured as an ETF. There is no underlying index that the fund tracks; it is managed actively and does not replicate an index.
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This share class is accumulating: income is reinvested, and no cash dividends are paid.
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