The fund is a bullish one-day bet on the financial sector. It attempts to return 1.25x the daily performance of an index comprising the top 12 largest financial (excluding real estate) companies listed on the Toronto Stock Exchange. The index equally weights the narrow portfolio. To achieve its investment objective, the fund may engage in cash borrowing, short selling, and securities lending. As a geared product, the fund is only designed as a short-term trading tool. Long-term returns could materially differ from those of the index due to daily compounding.