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Centurion Financial Trust (“CFiT”) is an income and growth-oriented trust that invests in a diversified portfolio of debt investments that include but are not limited to mortgages, opportunistic real estate developments, and corporate debt. Investors pool their funds to invest in mortgage and growth-oriented credit opportunities and participate in the yields from interest income and net profit from equity.

Through this strategy, the Fund aims to:

  1. Provide investors with stable cash distributions, payable monthly with the opportunity for long-term growth and preservation of capital
  2. Offer a diversified portfolio of income-producing mortgage assets and growth-oriented alternative credit investments
  3. Maximize unit value through the active management of the portfolio

Key Advantages for Investors

  • Results Oriented – Expected annual total return target between 9% - 12%.
  • Monthly Income – Monthly cash payments allow planning and budgeting or re-investing distributions. A Distribution ReInvestment Plan (“DRIP“) is also available at a 2% discount.
  • Transparency – Investment terms, strategies, and guiding principles are provided prior to investment.
  • Mitigated Risk – CFiT operates under a strict set of guidelines for assessing investment opportunities and leverages strategic relationships within Centurion Asset Management Inc.’s network to mitigate risks.
  • Portfolio Diversification – CFiT diversifies the portfolio of investment types, terms, and geography to help ensure investment is not dependent on any one project.
  • Security – Protecting investment is the top priority.
  • Easy Investment Options – Option to invest with cash or through registered plans like RRSPs, RRIFs, and TFSAs.

The CFiT is open to investment from qualified investors via Offering Memorandum. Investors may purchase units in the trust through Centurion Asset Management Inc. or through their Investment Advisor. The minimum investment is $25,000.

Portfolio

Current Annual Distribution Yield for Reinvested Units

6.63%
CLASS A
7.58%
CLASS F

Net Asset Value

$10.551
DEC 2018

Annual Class A Returns

1 For partial year January 27, 2017 to December 31, 2017

2 As at September 30, 2018

Growth of $10,000 Invested Since Inception, Jan 27, 2017

$11,896

1 For partial year January 27, 2017 to December 31, 2017

2 As at September 30, 2018

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