Strategy: Correlation – 23 February 2021

If there is a negative correlation between markets, it means one of the
markets’ price will go up, while the other will likely drop. When you trade
each of these assets, you might succeed in any market, by avoiding the steep
climbs and large dips expected with a single market type. In the same way,
positively correlated markets could enable you to profit from both markets if
the price moves in the direction that you speculate.

Unum 60 TFSA Portfolio – Fact Sheet: 31 January 2021

The Unum 60 TFSA Bundle is an actively managed, multi-asset,
medium equity portfolio that seeks to generate consistent returns through income and capital growth over the long term. The portfolio incorporates a
factor modelling process that invests in exchange traded funds across multiple asset classes, geographies and thematics to achieve its desired investment goals at an acceptable level of risk, which is guided by both
strategic and tactical asset allocation parameters.