Prices and returns of investment solutions

NBI Portfolios

11.1
11.11
-0.01
-0.0900100
0.02728
09-22-2025
11.97
12
-0.03
-0.2500000
0.017797
09-22-2025
13.21
13.26
-0.05
-0.3770700
0.0
09-22-2025
14.59
14.66
-0.07
-0.4774900
0.0
09-22-2025
16.4
16.51
-0.11
-0.6662600
0.0
09-22-2025
18.97
19.13
-0.16
-0.8363800
0.0
09-22-2025

NBI Portfolios - Retirement Option

9.24
9.25
-0.01
-0.1081100
0.022675
10-24-2025
8.99
9.01
-0.02
-0.2219800
0.0295
10-24-2025
9.21
9.24
-0.03
-0.3246800
0.033825
10-24-2025
9.59
9.64
-0.05
-0.5186700
0.038916
10-24-2025
10.27
10.34
-0.07
-0.6769800
0.045466
10-24-2025
11.5
11.59
-0.09
-0.7765300
0.0552
10-24-2025

NBI Private Wealth Management

14.65
14.66
-0.01
-0.0682100
0.030404
10-31-2025
16.17
16.2
-0.03
-0.1851900
0.028956
10-31-2025
18.19
18.25
-0.06
-0.3287700
0.024862
10-31-2025
20.1
20.16
-0.06
-0.2976200
0.030503
10-31-2025
20.64
20.73
-0.09
-0.4341500
0.019598
10-31-2025
23.65
23.79
-0.14
-0.5884800
0.0095
10-31-2025
27
27.21
-0.21
-0.7717800
0.0
10-31-2025

NBI Private Wealth Management - Retirement Option

14.65
14.66
-0.01
-0.0682100
0.046904
10-31-2025
20.12
20.18
-0.06
-0.2973200
0.075812
10-31-2025
16.18
16.21
-0.03
-0.1850700
0.054235
10-31-2025
23.67
23.81
-0.14
-0.5879900
0.096872
10-31-2025
18.2
18.26
-0.06
-0.3285900
0.065117
10-31-2025
20.65
20.74
-0.09
-0.4339400
0.078462
10-31-2025
27.02
27.23
-0.21
-0.7712100
0.115332
10-31-2025

Money Market Fund

1.670
1.680
-0.010
-0.5952400
0.009318
2025-11-20

 Note: Unit price of the NBI Money Market Fund is fixed at $10.

Short Term and Income Fund

9.9
9.91
-0.01
-0.1009100
0.0161
10-24-2025
7.99
7.97
0.02
0.2509400
0.017831
10-24-2025
8.91
8.91
0.00
0.0000000
0.008008
10-24-2025
NBI Global Tactical Bond Fund - R
6.57
6.57
0.00
0.0000000
0.01145
10-24-2025
8.09
8.08
0.01
0.1237600
0.028386
10-24-2025
10.28
10.27
0.01
0.0973700
0.024333
10-24-2025
6.2
6.2
0.0
0.0000000
0.025512
10-24-2025
11.84
11.91
-0.07
-0.5877400
0.04483
10-24-2025
10.23
10.29
-0.06
-0.5830900
0.035985
10-24-2025
10.75
10.76
-0.01
-0.0929400
0.017561
10-24-2025

Canadian Equity Fund

18.37
18.44
-0.07
-0.3796100
0.062758
12-30-2024
32.17
32.43
-0.26
-0.8017300
1.137568
12-19-2024
83.06
83.65
-0.59
-0.7053200
2.612403
12-19-2024
68.26
68.88
-0.62
-0.9001200
0.0
12-19-2024
134.97
135.49
-0.52
-0.3837900
0.0
12-19-2024
27.43
27.59
-0.16
-0.5799200
0.734116
12-19-2024

Global Equity Funds

13.29
13.27
0.02
0.1507200
0.772224
12-30-2024
34.27
34.49
-0.22
-0.6378700
0.0
12-19-2024
22.77
23.01
-0.24
-1.0430200
1.361109
12-30-2024
23.01
23.3
-0.29
-1.2446400
2.390736
12-19-2024
75.61
75.9
-0.29
-0.3820800
0.0
12-19-2024
12.42
12.49
-0.07
-0.5604500
0.319427
12-19-2024
16.89
17.06
-0.17
-0.9964800
0.0
12-30-2024

Specialty Funds

59.83
60.45
-0.62
-1.0256400
0.0
12-19-2024
37.61
39.04
-1.43
-3.6629100
0.0
12-19-2024
85.29
86.64
-1.35
-1.5581700
0.0
12-19-2024

Index Funds

16.64
16.85
-0.21
-1.2462900
0.307382
12-30-2024
18.42
18.66
-0.24
-1.2861700
0.103082
12-30-2024
14.47
14.58
-0.11
-0.7544600
0.244504
12-30-2024

Series closed to new subscriptions

NBI Bond Fund Inv-2
9.14
9.12
0.02
0.2193000
0.018489
10-24-2025
NBI Global Equity Fund Inv-2
24.55
24.71
-0.16
-0.6475100
0.0
12-19-2024
NBI Secure Portfolio Inv-2
11.11
11.12
-0.01
-0.0899300
0.036077
09-22-2025
NBI Secure Portfolio R-2
9.44
9.45
-0.01
-0.1058200
0.023125
10-24-2025
NBI Conservative Portfolio Inv-2
12.03
12.05
-0.02
-0.1659800
0.031066
09-22-2025
NBI Conservative Portfolio R-2
9.25
9.27
-0.02
-0.2157500
0.030266
10-24-2025
NBI Moderate Portfolio Inv-2
13.27
13.32
-0.05
-0.3753800
0.0
09-22-2025
NBI Balanced Portfolio Inv-2
14.87
14.95
-0.08
-0.5351200
0.0
09-22-2025
NBI Moderate Portfolio R-2
9.29
9.32
-0.03
-0.3218900
0.034012
10-24-2025
NBI Balanced Portfolio R-2
9.85
9.89
-0.04
-0.4044500
0.039833
10-24-2025
NBI Growth Portfolio Inv-2
17.33
17.45
-0.12
-0.6876800
0.0
09-22-2025
NBI Equity Portfolio Inv-2
19.22
19.39
-0.17
-0.8767400
0.0
09-22-2025
NBI Equity Portfolio R-2
11.58
11.68
-0.10
-0.8561600
0.05555
10-24-2025

NBI Portfolios

6.620
10.050
7.080
2.680
n/a
5.650
2.610
10-31-2025
7.870
11.390
8.220
3.900
n/a
6.540
3.430
10-31-2025
9.610
13.290
9.950
5.740
n/a
8.010
4.660
10-31-2025
11.410
15.250
11.640
7.580
n/a
9.480
5.860
10-31-2025
13.810
17.820
13.970
10.020
n/a
11.410
7.470
10-31-2025
16.010
20.560
16.310
12.160
n/a
13.130
8.910
10-31-2025

NBI Portfolios - Retirement Option

6.620
10.080
7.080
2.690
n/a
5.620
2.610
10-31-2025
7.900
11.350
8.210
3.920
n/a
6.510
3.470
10-31-2025
9.610
13.270
9.930
5.730
n/a
7.980
4.660
10-31-2025
11.430
15.200
11.650
7.590
n/a
9.460
5.860
10-31-2025
13.850
17.830
13.950
10.010
n/a
11.420
7.500
10-31-2025
15.990
20.590
16.330
12.170
n/a
13.080
8.910
10-31-2025

NBI Private Wealth Management

8.270
11.820
8.690
4.290
3.980
7.100
3.980
10-31-2025
9.590
13.200
9.840
5.590
5.040
8.290
5.030
10-31-2025
11.630
15.220
11.640
7.520
6.320
10.030
6.310
10-31-2025
13.560
17.260
13.450
9.630
7.700
11.750
7.690
10-31-2025
6.940
12.130
10.030
6.320
7.390
7.050
7.380
10-31-2025
16.220
20.000
15.870
12.180
9.220
14.080
9.210
10-31-2025
19.010
23.260
18.610
14.660
10.720
16.400
10.710
10-31-2025

NBI Private Wealth Management - Retirement Option

8.310
11.840
8.700
4.280
3.990
7.060
3.980
10-31-2025
9.650
13.180
9.850
5.580
5.050
8.270
5.040
10-31-2025
11.630
15.210
11.640
7.520
6.320
9.960
6.320
10-31-2025
13.570
17.260
13.450
9.630
7.710
11.760
7.700
10-31-2025
6.920
12.140
10.040
6.310
7.400
7.030
7.390
10-31-2025
16.250
20.010
15.880
12.180
9.230
14.060
9.220
10-31-2025
19.000
23.270
18.610
14.660
10.730
16.400
10.710
10-31-2025

Money Market Fund

2.270
3.220
3.420
2.230
1.400
1.770
2.450
10-31-2025

 Note: Unit price of the NBI Money Market Fund is fixed at $10.

Short Term and Income Fund

6.050
9.110
7.360
4.650
3.090
4.380
3.090
10-31-2025
3.420
6.960
4.220
-1.020
0.910
2.590
6.330
10-31-2025
NBI Global Tactical Bond Fund - R
2.230
5.490
3.780
-1.000
0.370
2.080
0.370
10-31-2025
5.520
6.800
4.880
1.280
n/a
5.290
1.220
10-31-2025
5.010
9.150
6.480
3.140
2.880
4.910
4.080
10-31-2025
19.720
26.160
14.520
10.910
6.760
13.630
6.750
10-31-2025
19.780
26.480
15.330
11.310
6.410
13.960
6.410
10-31-2025
8.060
12.460
8.740
4.300
n/a
6.490
3.630
10-31-2025

Canadian equity funds

15.570
21.540
13.540
10.690
8.590
15.260
8.580
10-31-2025
19.260
21.940
14.560
16.030
8.590
18.090
8.880
10-31-2025
6.170
12.730
8.970
8.380
7.400
4.660
8.750
10-31-2025
4.330
16.010
10.570
8.090
4.600
2.780
8.470
10-31-2025
10.670
18.820
14.210
13.250
10.510
7.480
11.430
10-31-2025
17.910
22.220
16.770
n/a
n/a
11.510
9.840
10-31-2025

Global Equity Funds

5.370
12.710
11.100
7.460
5.750
4.930
5.740
10-31-2025
13.940
18.890
16.260
12.100
11.440
10.160
5.060
10-31-2025
20.710
26.110
20.980
16.220
10.610
15.040
5.100
10-31-2025
18.640
23.220
15.880
11.640
n/a
13.390
5.750
10-31-2025
19.280
27.690
21.330
16.780
13.260
11.420
13.240
10-31-2025
7.600
14.630
13.890
12.820
12.880
3.860
13.540
10-31-2025
26.780
24.660
22.030
13.610
7.120
26.780
7.120
10-31-2025
31.150
24.820
19.490
n/a
n/a
31.740
5.200
10-31-2025

Specialty Funds

10.980
17.430
10.800
15.480
8.420
12.920
7.740
10-31-2025
59.880
50.580
34.820
10.020
16.260
75.600
6.630
10-31-2025
19.400
29.700
23.680
16.380
17.920
12.950
10.500
10-31-2025

Index Funds

29.170
30.540
19.720
n/a
n/a
24.960
14.310
10-31-2025
21.740
29.610
23.140
n/a
n/a
14.100
16.510
10-31-2025
23.120
22.410
20.690
n/a
n/a
23.180
11.100
10-31-2025

Series closed to new subscriptions

NBI Bond Fund Inv-2
3.720
7.380
4.620
-0.660
n/a
2.850
1.020
10-31-2025
NBI Canadian Equity Growth Fund Inv-2
6.300
12.850
9.060
8.490
n/a
4.750
7.650
10-31-2025
NBI Global Equity Fund Inv-2
14.310
19.280
16.640
12.400
n/a
10.450
11.530
10-31-2025
NBI Secure Portfolio Inv-2
7.000
10.410
7.420
3.000
n/a
5.830
2.910
10-31-2025
NBI Secure Portfolio R-2
7.030
10.370
7.420
3.000
n/a
5.810
2.910
10-31-2025
NBI Conservative Portfolio Inv-2
8.290
11.850
8.670
4.350
n/a
6.920
3.860
10-31-2025
NBI Conservative Portfolio R-2
8.240
11.800
8.630
4.290
n/a
6.830
3.840
10-31-2025
NBI Moderate Portfolio Inv-2
9.770
13.510
10.170
5.950
n/a
8.150
4.860
10-31-2025
NBI Moderate Portfolio R-2
9.780
13.540
10.160
5.960
n/a
8.230
4.870
10-31-2025
NBI Balanced Portfolio Inv-2
11.820
15.660
12.070
8.000
n/a
9.800
6.260
10-31-2025
NBI Balanced Portfolio R-2
11.760
15.680
12.050
7.960
n/a
9.780
6.240
10-31-2025
NBI Growth Portfolio Inv-2
14.750
18.750
14.890
10.910
n/a
12.160
8.350
10-31-2025
NBI Equity Portfolio Inv-2
16.170
20.760
16.480
12.310
n/a
13.250
9.070
10-31-2025
NBI Equity Portfolio R-2
16.200
20.700
16.430
12.290
n/a
13.200
9.050
10-31-2025
6.050
9.110
7.360
4.650
3.090
4.380
3.090
10-31-2025
2.270
5.510
3.750
-1.000
n/a
2.040
0.370
10-31-2025
7.900
11.350
8.210
3.920
n/a
6.510
3.470
10-31-2025
11.430
15.200
11.650
7.590
n/a
9.460
5.860
10-31-2025
13.940
18.890
16.260
12.100
11.440
10.160
5.060
10-31-2025

NBI Portfolios

1.450
500
50
quarterly
annually
1.500
500
50
quarterly
annually
1.600
500
50
quarterly
annually
1.750
500
50
quarterly
annually
1.900
500
50
quarterly
annually
2.000
500
50
quarterly
annually

NBI Portfolios - Retirement Option

1.450
500
50
monthly
annually
1.500
500
50
monthly
annually
1.600
500
50
monthly
annually
1.750
500
50
monthly
annually
1.900
500
50
monthly
annually
2.000
500
50
monthly
annually

NBI Private Wealth Management

NBI Private Wealth Management - Retirement Option

NBI Private Wealth Management Stable Income Profile
0.200
250000
100
monthly
annually
NBI Private Wealth Management Income Profile
0.250
250000
100
monthly
annually
NBI Private Wealth Management Income and Growth Profile
0.300
250000
100
monthly
annually
NBI Private Wealth Management Balanced Profile
0.300
250000
100
monthly
annually
NBI Private Wealth Management U.S. Income and Growth Profile
0.340
250000
100
monthly
annually
NBI Private Wealth Management Growth Profile
0.370
250000
100
monthly
annually
NBI Private Wealth Management Equity Profile
0.400
250000
100
monthly
annually

Money Market Fund

0.750
1000
50
monthly
annually

 Note: Unit price of the NBI Money Market Fund is fixed at $10.

Short Term and Income Fund

1.200
50
50
monthly
annually
1.250
25
50
monthly
annually
1.000
25
50
monthly
annually
1.700
50
50
monthly
annually
NBI Global Tactical Bond Fund - R
1.700
50
50
monthly
annually
1.250
500
50
annually
annually
1.500
25
50
monthly
annually
1.750
25
50
monthly
annually
1.250
50
50
monthly
annually
1.250
50
50
monthly
annually
1.250
25
50
monthly
annually

Canadian equity funds

2.000
25
50
annually
annually
2.000
25
50
annually
annually
2.000
25
50
annually
annually
2.000
25
50
annually
annually
1.750
25
50
annually
annually

Global Equity Funds

2.250
25
50
annually
annually
2.000
25
50
annually
annually
2.000
500
50
monthly
annually
1.700
50
50
annually
annually
2.000
25
50
annually
annually

Specialty Funds

2.000
25
50
annually
annually
2.000
25
50
annually
annually
2.000
25
50
annually
annually

Index Funds

0.300
25
50
annually
annually
0.300
25
50
annually
annually
0.300
25
50
annually
annually

Series closed to new subscriptions

NBI Bond Fund Inv-2
1.000
0
0
monthly
annually
NBI Canadian Equity Growth Fund Inv-2
1.950
0
0
annually
annually
NBI Global Equity Fund Inv-2
2.000
0
0
annually
annually
NBI Secure Portfolio Inv-2
1.250
0
0
quarterly
annually
NBI Secure Portfolio R-2
1.250
0
0
monthly
annually
NBI Conservative Portfolio Inv-2
1.250
0
0
quarterly
annually
NBI Conservative Portfolio R-2
1.250
0
0
monthly
annually
NBI Moderate Portfolio Inv-2
1.500
0
0
quarterly
annually
NBI Moderate Portfolio R-2
1.500
0
0
monthly
annually
NBI Balanced Portfolio Inv-2
1.500
0
0
quarterly
annually
NBI Balanced Portfolio R-2
1.500
0
0
monthly
annually
NBI Growth Portfolio Inv-2
1.400
0
0
quarterly
annually
NBI Equity Portfolio Inv-2
1.800
0
0
quarterly
annually
NBI Equity Portfolio R-2
1.800
0
0
monthly
annually
1.200
50
50
monthly
annually
1.700
50
50
monthly
annually
1.500
500
50
quarterly
annually
1.750
500
50
quarterly
annually
2.250
25
50
annually
annually

Little details that matter

The information and the data supplied on the current page of this site, including those supplied by third parties, are considered accurate at the time of their publication and were obtained from sources which we considered reliable. We reserve the right to modify them without advance notice. This information and data are supplied as informative content only. No representation or guarantee, explicit or implicit, is made as for the exactness, the quality and the complete character of this information and these data. The opinions expressed are not to be construed as solicitation or offer to buy or sell shares mentioned herein and should not be considered as recommendations.

The NBI Portfolios (the “Portfolios”) are offered by National Bank Investments Inc. and sold by National Bank Savings and Investments Inc., separate entities and indirect wholly owned subsidiaries of National Bank of Canada.

NBI Funds (the “Funds”) are offered by National Bank Investments Inc., an indirect wholly owned subsidiary of National Bank of Canada, and sold by authorized dealers.

Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus of the NBI Portfolios or NBI Funds (together, the “Funds”) before investing. The Funds’ securities are not insured by the Canada Deposit Insurance Corporation or by any other government deposit insurer. For money market funds, there can be no assurances that a fund will be able to maintain its net asset value per security at a constant amount or that the full amount of the investment in a fund will be returned. The Funds are not guaranteed, their values change frequently and past performance may not be repeated.

The performance data provided for the NBI Money Market Fund assumes reinvestment of distributions only and does not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns. There can be no assurances that the funds will be able to maintain their net asset values per security at a constant amount or that the full amount of your investment will be returned to you. The performance data represents an annualized historical yield based on the seven-day period ended as indicated and annualized in the case of effective yield by compounding the seven-day return on and does not represent an actual one-year return.

The indicated rates of returns for funds other than the NBI Money Market Fund are based on the historical annual compounded total returns including changes in securities value and reinvestment of all distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns.

NBI Private Wealth Management is an asset allocation service offered by National Bank Investments Inc. and sold by National Bank Savings and Investments Inc., separate entities and indirect wholly owned subsidiaries of National Bank of Canada. Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments and the use of an asset allocation service (such as NBI Private Wealth Management). Please read the prospectus of the NBI Funds and the Private Portfolios composing the NBI Private Wealth Management profiles before investing. The funds are not guaranteed, their values change frequently and past performance may not be repeated. Investors must enter into an agreement with National Bank Savings and Investments Inc. National Bank Trust Inc. (for all activity in Quebec, Prince Edward Island, Saskatchewan and New-Brunswick) or Natcan Trust Company (for all activity in all other Canadian provinces and territories), subsidiaries of National Bank of Canada, act as portfolio managers of NBI Private Wealth Management, which gives them the authority to select, add or remove funds composing the NBI Private Wealth Management profiles.

The indicated rates of return for the NBI Private Wealth Management are the historical annual compounded total returns assuming the investment strategy recommended by the asset allocation service is used and after deduction of the fees and charges in respect of the service. The returns are based on the historical annual compounded total returns of the Funds including changes in unit value and reinvestment of all dividends or distributions and does not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder in respect of a Fund that would have reduced returns.

MD NATIONAL BANK INVESTMENTS is a registered trademark of National Bank of Canada, used under licence by National Bank Investments Inc.

National Bank Investments is a signatory of the United Nations-supported Principles for Responsible Investment, a member of Canada’s Responsible Investment Association, and a founding participant in the Climate Engagement Canada initiative.