Ninepoint American Growth Fund - Series S

Ninepoint American Growth Fund
  • Daily NAV Change · As at 9/21/2026
    $0.00 (0.00%)
  • NAV · As at 9/21/2026
    $10.00
  • Risk Tolerance
    Medium
  • Inception Date
    10/14/2026

Overview

A more selective approach to U.S. growth.

Ninepoint American Growth Fund looks beyond the broad market to find U.S. companies with the potential to grow faster over time. By focusing on strong businesses with growing earnings, leading market positions and exposure to long-term growth trends, the Fund seeks to provide investors with a more targeted way to participate in the growth of the U.S. economy.

  • Experienced Portfolio Managers with High Conviction

    Experienced Portfolio Managers with High Conviction

    Tony Genua, Sam Mitter and Jonathan Lo bring more than 75 years of combined investment experience. The reunited growth-equity team applies a disciplined, bottom-up approach to identifying its highest-conviction opportunities across U.S. markets.

  • High-Conviction U.S. Growth

    High-Conviction U.S. Growth

    Approximately 25–45 carefully selected large and mid-cap companies rather than benchmark-like exposure.

  • Built for Structural Growth

    Built for Structural Growth

    Seeking leaders in areas such as AI, digital transformation, healthcare innovation and evolving consumer trends.

  • Active at Every Step

    Active at Every Step

    Fundamental research, earnings momentum, valuation and market signals combine in a portfolio that is continually reassessed.

Fund Objective

The investment objective of the Fund is to seek to achieve superior long-term capital growth by investing primarily in equity securities of large and mid-capitalization issuers located in or carrying on business principally in the United States.

Investment Team

  • Tony Genua
    Partner, Senior Portfolio Manager
    Tony Genua
    Partner, Senior Portfolio Manager
    Tony Genua joined Ninepoint Partners as a Partner and is part of the investment team responsible for the Ninepoint Global Select Fund. Tony brings more than 40 years of experience in the Canadian investment industry, with a focus on growth equity strategies. He most recently served as Senior Vice-President at AGF Investments, where he led the growth equity team and oversaw more than $16 billion in assets across a range of mandates, including U.S. and global equity strategies. At Ninepoint, To...
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  • Samarjit Mitter, MBA
    Senior Portfolio Manager
    Samarjit Mitter, MBA
    Senior Portfolio Manager
    Samarjit (Sam) Mitter is a Senior Portfolio Manager at Ninepoint Partners, bringing over 25 years of experience in growth investing. He joined Ninepoint in May 2025. Prior to joining Ninepoint, Sam spent more than a decade at AGF Investments, where he was co-Portfolio Manager of the AGF U.S. Small-Mid Cap Fund and co-managed both the AGF American Growth Fund and the AGF Global Select Fund. Before AGF, he served as an Associate Portfolio Manager at Sentry Investments, focusing on a global long...
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  • Jonathan Lo
    Portfolio Manager
    Jonathan Lo
    Portfolio Manager
    Jonathan brings over 20 years of capital markets and wealth management experience, spanning roles in portfolio management, equity research, and client advisory. Most recently, Jonathan was an Associate Portfolio Manager at Raymond James Ltd., where he advised and managed portfolios for high-net-worth families. Previously, and for most of the past decade, he served as Vice President, Growth Equities at AGF Investments Inc., where he was a senior member of AGF’s Growth Team. The team was respon...
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Risk Tolerance

  • Low
  • Low - Med
  • Medium
  • Med - High
  • High

Facts, Fees & Fund Codes

Facts
Facts
Fund Type
U.S. Equity
Inception Date
September 21, 2026
Registered Tax Plan Status
Eligible
Distributions
Annually in December (if any)
Performance Fee
10% over S&P 500 Net Total Return Index (CAD)
Minimum Initial Investment
$500*
ETF Series: No minimum
Minimum Subsequent Investment
$25
Minimum Investment Term
20 days (1.5% penalty)
Redemptions
Daily
Valuations
Daily
CUSIP
NAGF: 654443100 (TSX)
*Minimum initial investment: $500 for Series A, S, F, SF and D; $1 million for Series P and PF; $5 million for Series Q and QF. Minimum for Series O is negotiated.
Reference Index: S&P 500 Net Total Return Index (CAD).
Fees
Fees
Management Fee
Series S: 1.425%
Series SF: 0.425%
Series A: 1.85%
Series D: 0.85%
Series ETF: 0.85%
Series F: 0.85%
Series P: 1.75%
Series PF: 0.75%
Series Q: 1.65%
Series QF: 0.65%
The management fees noted above for Series S and Series SF apply only until December 31, 2028, and thereafter will change to 1.85% and 0.85%, respectively.
The management fee for the ETF Series has been waived to 0.425% until the earlier of the Fund’s aggregate net asset value first exceeding $200 million or November 30, 2026, and thereafter will revert to 0.85%.
Fund Codes
Ticker & Fund Codes
Series S NPP5050
Series SF NPP5051
Series S $USD NPP5061
Series SF $USD NPP5062
Series A NPP5052
Series D NPP5055
Series ETF * NAGF
Series F NPP5064
Series P NPP5057
Series PF NPP5056
Series Q NPP5059
Series QF NPP5058
Series O NPP5060
Series A $USD NPP5063
Series D $USD NPP5067
Series F $USD NPP5064
Series P $USD NPP5069
Series PF $USD NPP5068
Series Q $USD NPP5071
Series QF $USD NPP5070
Series O $USD NPP5072
*Exchange: Toronto Stock Exchange (TSX)

Have a question?

Contact Us

 

The Fund is generally exposed to the following risks: Active management risk; ADR risk; Artificial intelligence industry and regulatory risk; Concentration risk; Counterparty risk; Currency risk; Cybersecurity risk; Derivatives risk; Emerging markets risk; Exchange traded funds risk; Foreign investment risk; Inflation risk; Liquidity risk; Market risk; Participatory notes risk; Performance fee risk; Preferred stock risk; Regulatory risk; Rule 144A and other exempted securities risk; Securities lending, repurchase and reverse repurchase transactions risk; Series risk; Short selling risk; Specific issuer risk; Tax risk; Absence of an active market for ETF Series risk; Halted trading of ETF Series risk; Trading price of ETF Series risk.

Ninepoint Partners LP is the investment manager to a number of funds (collectively, the “Funds”). Important information about these Funds, including their investment objectives and strategies, purchase options, and applicable management fees, performance fees (if any), and expenses, is contained in their prospectus. Please read the prospectus carefully before investing. Commissions, trailing commissions, management fees, performance fees, other charges and expenses all may be associated with investing in the Funds. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated. This communication does not constitute an offer to sell or solicitation to purchase securities of the Funds. 

The information contained herein does not constitute an offer or solicitation by anyone in the United States or in any other jurisdiction in which such an offer or solicitation is not authorized or to any person to whom it is unlawful to make such an offer or solicitation. Prospective investors who are not a resident in Canada should contact their financial advisor to determine whether securities of the Fund may be lawfully sold in their jurisdiction.

Ninepoint Partners LP: Toll Free: 1.866.299.9906. Dealer Services: CIBC Mellon GSSC Record Keeping Services: Toll Free: 1.877.358.0540