Fund Prices

Scotia Funds NAVs.

See the latest prices for all of our Funds

JMD Denominated Scotia Funds

October 30, 2025

Fund 

NAV/Share (JMD) Ytd Growth Rate 12 Month Growth Rate Yield

Scotia Premium Money Market Fund

100.0000

4.22%

5.38%

4.12%

Scotia Premium USD Indexed Fund

135.898

10.85%

9.64%

3.96%

Scotia Premium Fixed Income Fund

57.8016

5.68%

6.27%

5.50%

Scotia Premium Growth Fund

137.3716

0.42%

5.61%

3.18%

Scotia Premium Short-Term Income Fund (JMD)

109.0253

4.05%

5.28%

5.46%

Fund 

NAV/Share (USD)

Ytd Growth Rate

12 Month Growth Rate

Yield

Scotia Premium Short-Term Income Fund (USD)

10.4013

3.28%

3.64%

2.93%

USD denominated Scotia Funds

as at October 30, 2025

Fund

Class

Unit Price US $

Change/ Previous day

YTD Growth

12-Mth Growth

Scotia Money Market Fund

A

15.5072

0.0011

3.09%

3.91%

Scotia Money Market Fund

D

10.0000

0.0000

3.09%

3.91%

Scotia US Dollar Bond Fund

A

2.8042

-0.0048

6.08%

4.92%

Scotia US Dollar Bond Fund

D

2.6074

-0.0044

6.06%

4.89%

Scotia Global Equity Fund

A

4.4566

-0.0258

19.65%

14.29%

Scotia US Equity Fund

A

27.0325

-0.1174

12.95%

9.03%

Scotia Caribbean Income Fund

A

3.5074

-0.0062

6.82%

6.71%

Scotia Canadian Equity Fund

A

4.6562

-0.0010

14.66%

14.05%

Fund

Class

Unit Price CAD $

Change/ Previous day

YTD Growth

12-Mth Growth

Scotia Canadian Equity Fund

AC

7.4148

0.0445

11.30%

14.63%

Scotia Global Equity Fund

AC

6.8760

0.0033

16.10%

14.83%

Scotia US Equity Fund

AC

38.2599

0.0728

9.65%

9.60%

Closing Prices As at October 30, 2025