Terms & Conditions


Information about specific issuers of securities has been made available by Value Partners Investments Inc. for the sole purpose of providing additional background information on the holdings in the Value Partners Pool(s) and is not intended to be investment advice about the merits of investing directly in these issuers. This information is based on information that is publicly available or that has been provided to Value Partners Investments Inc. by the portfolio managers of the Pools.

The complete holdings of a Pool are disclosed in its Statement of Investment Portfolio semi-annually. On a quarterly basis, each Pool discloses its top 25 holdings in its Summary of Investment Portfolio. Both these documents are available on our website. Value Partners Investments Inc. is a registered investment fund manager and has engaged registered portfolio managers to make decisions about the investments made by each Pool – these investment decisions are not made by Value Partners Investments Inc.

The information provided does not constitute individual, legal, investment or tax advice about any of the Pools or the issuers discussed therein. Please consult your own legal, investment and/or tax advisor prior to making a decision to invest in the Pools. Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the fund facts documents and the prospectus of the Pools before investing. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated.


Head Office

300-175 Hargrave St. 
Winnipeg, MB R3C 3R8

TEL (204) 949-0059

FAX (204) 949-1743


Please complete this form and we will respond to you within two business days. For immediate assistance, please call our general line (204) 949-0059.

Preferred Contact Method

Account Inquiry

If you have questions about a Value Partners account, please call our Client Service Centre at 1-866-323-4235 or 204-949-1697. Representatives are available from 8:30am to 5:00pm (CST) Monday to Friday to:

  • Provide account summaries including current market values and transaction histories
  • Verify personal records to ensure efficient and accurate mailings and tax reporting
  • Confirm details on systematic purchases and withdrawals and RIF or LIF information
  • Request duplicate tax receipts and account statements