Lazy Portfolios in CAD: Historical Returns for Canadian Investors

Curious about how the most famous Lazy Portfolios would have performed in CAD? Discover a detailed look at their historical returns, adapted specifically for CAD investors.

These portfolios, known for their simplicity and low maintenance, make investing accessible by minimizing time and effort while maximizing diversification.

Explore adapted versions of popular USD portfolios alongside others specifically designed for CAD markets. With recent data and a clear focus on ETFs available in CAD, this page provides insight into how each portfolio performs under various market conditions. Learn which strategies best balance risk and return, helping you work toward your long-term financial goals.

The first official book of
Build wealth
with Lazy Portfolios and Passive Investing
Choose your Lazy Portfolio

USD

Coming soon


CAD

Coming soon


EUR

Coming soon


GBP

Coming soon


JPY

Coming soon


AUD

Coming soon

Consolidated returns as of 31 October 2024
Highlighted values indicate returns lower than the Canada Inflation recorded in the same period. Canada Inflation is updated to Sep 2024. Pending updates, the monthly inflation is set at 0% for the subsequent periods. Inflation (annualized) is 1Y: 1.58% , 5Y: 3.35% , 10Y: 2.50% , 30Y: 2.13%
Portfolio returns are updated to 31 October 2024.
Risk is represented as the annualized Standard Deviation of monthly returns.
High values of Standard Deviation mean high fluctuations in prices.
Data are updated to 31 October 2024.
The maximum Drawdown is calculated considering the end of month prices.
Low Risk Portfolios usually grant less severe drawdowns.
Data are updated to 31 October 2024.
Highlighted values indicate returns lower than the Canada Inflation recorded in the same period. Canada Inflation is updated to Sep 2024. Pending updates, the monthly inflation is set at 0% for the subsequent periods. 2024: 1.77%, 2023: 3.40%, 2022: 6.32%, 2021: 4.80%
Swipe left to see all data
Highlighted values indicate returns lower than the Canada Inflation recorded in the same period. Canada Inflation is updated to Sep 2024. Pending updates, the monthly inflation is set at 0% for the subsequent periods. Inflation (annualized) is 1Y: 1.58% , 3Y: 3.84% , 5Y: 3.35%
Portfolio returns are updated to 31 October 2024.
Risk is represented as the annualized Standard Deviation of monthly returns.
High values of Standard Deviation mean high fluctuations in prices.
Data are updated to 31 October 2024.
The maximum Drawdown is calculated considering the end of month prices.
Low Risk Portfolios usually grant less severe drawdowns.
Data are updated to 31 October 2024.
Highlighted values indicate returns lower than the Canada Inflation recorded in the same period. Canada Inflation is updated to Sep 2024. Pending updates, the monthly inflation is set at 0% for the subsequent periods. 2024: 1.77%, 2023: 3.40%, 2022: 6.32%, 2021: 4.80%
Swipe left to see all data
The metrics refer to investiments in CAD and are calculated on the hypothesis of:
  • a yearly rebalancing of the portfolios (at the beginning of the year)
  • the reinvestment of dividends
The first official book of
Build wealth
with Lazy Portfolios and Passive Investing
Set your goal
Use top metrics to evaluate
Join the passive investing strategy
Exclusive new asset allocations in EUR and USD