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Investor Resources

  • Update Call with David TaylorApr 22, 2016Listen to a recorded updated of Taylor North American Equity Opportunities Fund with award winning Portfolio Manager David Taylor
  • Update Call with Paul BloomApr 21, 2016Bloom Investment Counsel Inc. provides an update on Blue Ribbon Income Fund
  • HIG Update Presentation Apr 15, 2016Listen to a recorded update on Global Healthcare Income & Growth Fund hosted by Senior Portfolio Manager Laura Lau and Portfolio Manager Michael Clare
  • Laura Lau on BNN Apr 11, 2016Watch Senior Portfolio Manager Laura Lau talk energy infrastructure stocks on BNN
  • LCS Update Presentation Apr 05, 2016Listen to a recorded update on Brompton Lifeco Split Corp., hosted by Senior Portfolio Manager Laura Lau and Portfolio Manager Michael Clare
  • Paul Bloom on the Prime Time Money Radio Show Mar 31, 2016Listen to Paul Bloom discuss RBN.UN with Richard Infantino on Prime Time Money
  • David Taylor on BNN - Value vs Growth StocksMar 18, 2016David Taylor, Portfolio Manager of TOF.UN discusses the 'massive underperformance' of value stocks compared to growth stocks
  • David Taylor on BNN - Canada vs US StocksMar 18, 2016David Taylor, Portfolio Manager of TOF.UN discusses his preference for Canadian stocks over U.S. stocks, and how the Fed is impacting stocks on both sides of the border
  • Update Presentation with Laura Lau & Mike ClareFeb 25, 2016Portfolio Managers Laura Lau and Mike Clare provide an update on Brompton Oil Split Corp.
  • Laura Lau discusses energy on BNN Feb 04, 2016Senior PM Laura Lau says she think that oil prices are in the process of bottoming. A look at the stocks she holds, and which positions she would add to if oil prices turn around

Latest news



You will usually pay brokerage fees to your dealer if you purchase or sell units of the investment fund on the Toronto Stock Exchange or alternative Canadian trading platforms (an “exchange”). If the units are purchased or sold on an exchange, investors may pay more than the current net asset value when buying units of the investment fund and may receive less than the current net asset value when selling them.

There are ongoing fees and expenses associated with owning units of an investment fund. An investment fund must prepare disclosure documents that contain key information about the fund. You can find more detailed information about the fund in the public filings available at The indicated rates of return are the historical annual compounded total returns including changes in unit value and reinvestment of all distributions and do not take into account certain fees such as redemption costs or income taxes payable by any securityholder that would have reduced returns. Investment funds are not guaranteed, their values change frequently and past performance may not be repeated.

This communication is for information purposes only and does not constitute an offer to sell or a solicitation to buy the securities referred to herein. The opinions contained in this report are solely those of Goldman Sachs Asset Management L.P. (“GSAM”) and are subject to change without notice. GSAM makes every effort to ensure that the information has been derived from sources believed to reliable and accurate. However, GSAM assumes no responsibility for any losses or damages, whether direct or indirect which arise from the use of this information. GSAM is under no obligation to update the information contained herein. The communication should not be regarded as a substitute for the exercise of your own judgment. Please read the fund’s offering documents before investing.

Certain statements contained in this document constitute forward-looking information within the meaning of Canadian securities laws. Forward-looking information may relate to matters disclosed in this document and to other matters identified in public filings relating to the Fund, to the future outlook of the Fund and anticipated events or results and may include statements regarding the future financial performance of the Fund. In some cases, forward-looking information can be identified by terms such as “may”, “will”, “should”, “expect”, “plan”, “anticipate”, “believe”, “intend”, “estimate”, “predict”, “potential”, “continue” or other similar expressions concerning matters that are not historical facts. Actual results may vary from such forward-looking information. Investors should not place undue reliance on forward-looking statements. These forward-looking statements are made as of the date December 15, 2015 and we assume no obligation to update or revise them to reflect new events or circumstances.

Fund holdings and allocations shown are unaudited, and may not be representative of current or future investments, should not be construed and research or investment advice, and are subject to risk.

Any reference to a specific company or security does not constitute a recommendation to buy, sell, hold or directly invest in the company or its securities. It should not be assumed that investment decisions made in the future will be profitable or will equal the performance of the securities discussed in this document.

Portfolio holdings may change by the time you view this. Portfolio holdings may not be representative of future investments. The securities discussed may not represent all of the portfolio's holdings and may not be deemed representative of the strategy’s future portfolio holdings. Future portfolio holdings may not be profitable.

The portfolio risk management process includes an effort to monitor and manage risk, but does not imply low risk.

No part of this material may, without Brompton and GSAM’s prior written consent, be (i) copied, photocopied or duplicated in any form, by any means, or (ii) distributed to any person that is not an authorized recipient. This material is intended for Investment Advisor use only.

I confirm that I have read, understood, and accept the above disclosures.


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