Fund Details
Inception Date:
October 15, 2018
Entry:
Direct or Fundserv
Fundserv Code:
ATF100FM
Base Currency:
CAD
High Water Mark:
Perpetual
Subscriptions:
Weekly
Redemptions:
30 Day Notice
Prime Broker:
Interactive Brokers
Custody:
CIBC
Auditor:
Deloitte LP
Fund Administrator:
Apex Fund Services (Canada) Ltd.
Legal Advisor:
MLT Aikins LLP