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Current rates and values

Daily Interest

as of February 13, 2025
Daily Interest 1.50%

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Guaranteed Investment Accounts

as of February 13, 2025
No Payments With Payments
Term
(Years)
Interest compounding Not exceeding annual interest In excess of annual interest but less than 20% of principal
Term (Years) 1 No Payments - Interest compounding 2.65% With Payments - Not exceeding annual interest 2.65% With Payments - In excess of annual interest but less than 20% of principal 2.65%
Term (Years) 2 No Payments - Interest compounding 2.75% With Payments - Not exceeding annual interest 2.75% With Payments - In excess of annual interest but less than 20% of principal 2.75%
Term (Years) 3 No Payments - Interest compounding 2.75% With Payments - Not exceeding annual interest 2.75% With Payments - In excess of annual interest but less than 20% of principal 2.75%
Term (Years) 4 No Payments - Interest compounding 2.80% With Payments - Not exceeding annual interest 2.80% With Payments - In excess of annual interest but less than 20% of principal 2.80%
Term (Years) 5 No Payments - Interest compounding 3.00% With Payments - Not exceeding annual interest 3.00% With Payments - In excess of annual interest but less than 20% of principal 3.00%
Term (Years) 7 No Payments - Interest compounding 3.05% With Payments - Not exceeding annual interest 3.05% With Payments - In excess of annual interest but less than 20% of principal 3.05%
Term (Years) 10 No Payments - Interest compounding 3.35% With Payments - Not exceeding annual interest 3.35% With Payments - In excess of annual interest but less than 20% of principal 3.35%
Rates available on request for special terms.

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Current MPO Seg Fund Unit Values[1]

Unit values as of February 21, 2025
Fund Name Class Current Previous Day Last Year
Fund Name Canadian Equity Index Fund Class A Current
February 21, 2025
$65.63
Previous Day
February 20, 2025
$66.58
Last Year
February 21, 2024
$36.00
Fund Name U.S. Equity Index Fund Class A Current
February 21, 2025
$61.29
Previous Day
February 20, 2025
$62.30
Last Year
February 21, 2024
$42.22
Fund Name International Equity Index Fund Class A Current
February 21, 2025
$22.85
Previous Day
February 20, 2025
$22.79
Last Year
February 21, 2024
$18.52
Fund Name Canadian Bond Index Fund Class A Current
February 21, 2025
$11.64
Previous Day
February 20, 2025
$11.56
Last Year
February 21, 2024
$14.58
  1. Last Year unit values include management fees. As of October 7, 2024, Wawanesa Life moved to an unbundled management fee structure, and the Current and Previous Day unit values shown do not include management fees. If you have any questions, please reach out to our Annuities Service Team at 1-800-263-6785 or annuities@wawanesa.com.

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Current MPO Seg Fund Rates Of Return

as of February 21, 2025
Fund Name Class Six Months 1 Year 3 Years[2] 5 Years[2] 10 Years[2]
Fund Name Canadian Equity Index Fund Class A Six Months 7.21% 1 Year 18.94% 3 Years[2] 5.97% 5 Years[2] 7.05% 10 Years[2] 4.66%
Fund Name U.S. Equity Index Fund Class A Six Months 11.26% 1 Year 27.04% 3 Years[2] 15.66% 5 Years[2] 14.16% 10 Years[2] 12.18%
Fund Name International Equity Index Fund Class A Six Months 3.84% 1 Year 13.62% 3 Years[2] 6.50% 5 Years[2] 5.29% 10 Years[2] 3.74%
Fund Name Canadian Bond Index Fund Class A Six Months 0.13% 1 Year 3.99% 3 Years[2] -2.00% 5 Years[2] -24.25% 10 Years[2] -11.96%
  1. Expressed as an average annual compound return.
    Unit values and returns will fluctuate and historical performance is not necessarily indicative of future performance. A description of the key features of MPO Seg Funds is contained in the Information Folder available from your broker or by contacting Wawanesa Life directly. Please read it carefully prior to investing.

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