Not registered. Not advice. DecodeETF is an information service. We are not registered as an adviser, dealer, or investment fund manager with the Ontario Securities Commission or any Canadian provincial regulator. Nothing on this site is a recommendation, solicitation, or offer to buy or sell any security. Past performance is not indicative of future results, and all investing carries risk including the loss of principal. Speak with a registered financial professional before making investment decisions.
Sun Life Global Investments
A broad equity index fund: 109 stocks, 55% United States, unhedged, for 0.5% a year.
Funds of this type differ on a small set of facts. Where this fund sits on each:
Equity exposure with a United States tilt. United States is the largest regional weight at 54.5%.
Top holding: Johnson & Johnson 2.9% (broad) · Top sector: Technology 22.8% (broad) · Top region: United States 54.5% (region-tilted)
Technology 22.8%·Healthcare 14.6%·Financials 13.1%·Consumer Staples 11.8%·Communication Services 8.9%·Other 7.7%·Other (locked) 21.0%
United States 54.5%·Europe 15.7%·Emerging Markets 15.6%·Canada 6.9%·Japan 6.4%·Other 0.9%
Source: fund provider disclosure.
The management fee was 0.5% a year, or about $50 for every $10,000 held. Trading spreads are separate from this fee. This is the management fee as published by the provider; the total expense ratio can be slightly higher once fund operating costs are added.
How durable the fund is, and what moved its price.
| Assets | $23M· net assets |
| Listed | 2026· 0 years of history |
| Leverage / overlay | None |
What moved the price
| Ticker | SBLG.TO |
| Exchange | TSX |
| Currency | CAD |
| FX strategy | CAD-unhedged |
| Asset class | Equity |
| Structure | Physical (holds securities) |
| Theme | Broad Market |
| Geography | Global / World |
| Provider | Sun Life Global Investments |
| Mgmt fee | 0.50% |
Compare SBLG.TO→Backtest it→Rate your portfolio→Real Yield report card→
Prices as of last close.
What Premium adds