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BMO Funds Documents

Click the appropriate icon to view a prospectus, shareholder report, or other document for any BMO Fund.

 

  Fact
Sheet
Commentary Portfolio
Holdings
Summary
Prospectus
Prospectus SAI Annual
Report
Semi-Annual
Report
BMO Low Volatility Equity Fund
BMO Large-Cap Value Fund
BMO Dividend Income Fund
BMO Large-Cap Growth Fund
BMO Mid-Cap Value Fund
BMO Mid-Cap Growth Fund
BMO Small-Cap Value Fund
BMO Small-Cap Growth Fund
BMO Pyrford International Stock Fund
BMO Lloyd George Emerging Markets Equity Fund
  Fact
Sheet
Commentary Portfolio
Summary
Prospectus SAI Annual
Report
Semi-Annual
Report
BMO Pyrford Global Strategic Return Fund
  Fact
Sheet
Commentary Portfolio
Holdings
Summary
Prospectus
Prospectus SAI Annual
Report
Semi-Annual
Report
BMO Ultra Short Tax-Free Fund
BMO Short Tax-Free Fund
BMO Short-Term Income Fund
BMO Short-Intermediate Bond Fund
BMO Intermediate Tax-Free Fund
BMO Government Income Fund
BMO TCH Corporate Income Fund
BMO Aggregate Bond Fund
BMO TCH Core Plus Bond Fund
BMO Monegy High Yield Bond Fund
  Fact
Sheet
Commentary Portfolio
Holdings
Summary
Prospectus
Prospectus SAI Annual
Report
Semi-Annual
Report
BMO Government Money Market Fund
BMO Tax-Free Money Market Fund
BMO Prime Money Market Fund

An investment in money market funds is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Although money market funds seek to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in these funds.

Foreign investing involves special risks due to factors such as increased volatility, currency fluctuation and political uncertainties.

High yield bond funds may have higher yields and are subject to greater credit, market and interest rate risk than higher-rated fixed-income securities.

Keep in mind that as interest rates rise, bond prices fall. This may have an adverse effect on the Fund's portfolio.

Funds that have a higher concentration of investments in a specific industry or sector may be subject to a higher degree of market risk than funds whose investments are more diversified.

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