~20% annual 10-year total return through volatility.
DGS delivers ~20% average annual 10-year total returns with dividend-quality concentration, despite sharp year-to-year swings.
DGS shows long-run strength with a 10-year average return per year “almost 20%,” even though individual years swing widely (e.g., +91% in 2021 and -41% in 2018). The case is that buy-and-hold investors can stomach volatility to harvest leveraged total-return compounding.
"Split Share Funds: Hidden GEMS of Canada! HUGE Growth & Income | CLSA ETF OUTPERFORMING"