The fund aims for long-term capital growth by actively investing in equity securities perceived to be trading at prices that reflect attractive valuations based on assessments of a companys growth potential. Other factors taken into consideration may include the companys financial and industry condition, economic and market conditions, growth potential, earnings estimates, and quality of management. For private companies, the fund considers the share price relative to its potential public offering or acquisition price. While the fund targets securities from Canada, the fund may invest up to 49% in foreign markets. As an actively managed fund, it has full discretion to make investment decisions outside its stated objectives at any time. As such, the fund can invest in fixed income securities, commodities, and derivatives. The fund may engage in securities lending.