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Current Rates and Values

as of July 13, 2023
Daily Interest 1.50%

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as of July 13, 2023
No Payments With Payments
Term
(Years)
Interest compounding Not exceeding annual interest In excess of annual interest but less than 20% of principal
Term (Years) 1 No Payments - Interest compounding 4.75% With Payments - Not exceeding annual interest 4.75% With Payments - In excess of annual interest but less than 20% of principal 4.75%
Term (Years) 2 No Payments - Interest compounding 4.50% With Payments - Not exceeding annual interest 4.50% With Payments - In excess of annual interest but less than 20% of principal 4.55%
Term (Years) 3 No Payments - Interest compounding 4.30% With Payments - Not exceeding annual interest 4.30% With Payments - In excess of annual interest but less than 20% of principal 4.40%
Term (Years) 4 No Payments - Interest compounding 4.15% With Payments - Not exceeding annual interest 4.15% With Payments - In excess of annual interest but less than 20% of principal 4.30%
Term (Years) 5 No Payments - Interest compounding 4.05% With Payments - Not exceeding annual interest 4.05% With Payments - In excess of annual interest but less than 20% of principal 4.25%
Term (Years) 7 No Payments - Interest compounding 3.95% With Payments - Not exceeding annual interest 3.95% With Payments - In excess of annual interest but less than 20% of principal 4.15%
Term (Years) 10 No Payments - Interest compounding 3.90% With Payments - Not exceeding annual interest 3.90% With Payments - In excess of annual interest but less than 20% of principal 4.10%
Rates available on request for special terms.

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Unit values as of September 28, 2023
Fund Name Class Current Last Week Last Year
Fund Name Canadian Equity Index Fund Class A Current
September 28, 2023
$33.36
Last Week
September 21, 2023
$34.68
Last Year
October 02, 2022
$31.66
Fund Name U.S. Equity Index Fund Class A Current
September 28, 2023
$36.12
Last Week
September 21, 2023
$36.92
Last Year
October 02, 2022
$32.06
Fund Name International Equity Index Fund Class A Current
September 28, 2023
$16.88
Last Week
September 21, 2023
$17.47
Last Year
October 02, 2022
$13.91
Fund Name Canadian Bond Index Fund Class A Current
September 28, 2023
$13.86
Last Week
September 21, 2023
$14.06
Last Year
October 02, 2022
$14.56

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as of September 28, 2023
Fund Name Class Six Months 1 Year 3 Years[1] 5 Years[1]
Fund Name Canadian Equity Index Fund Class A Six Months -1.42% 1 Year 5.37% 3 Years[1] 8.09% 5 Years[1] 4.84%
Fund Name U.S. Equity Index Fund Class A Six Months 5.15% 1 Year 12.66% 3 Years[1] 9.19% 5 Years[1] 8.15%
Fund Name International Equity Index Fund Class A Six Months -1.90% 1 Year 21.29% 3 Years[1] 3.74% 5 Years[1] 1.55%
Fund Name Canadian Bond Index Fund Class A Six Months -5.80% 1 Year -4.81% 3 Years[1] -7.48% 5 Years[1] -2.23%
  1. Expressed as an average annual compound return.
    Unit values and returns will fluctuate and historical performance is not necessarily indicative of future performance. A description of the key features of MPO Seg Funds is contained in the Information Folder available from your broker or by contacting Wawanesa Life directly. Please read it carefully prior to investing.

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