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YCG ENHANCED FUND a series of the YCG FundsSemiAnnual Report May 31, 2022Ticker Symbol: YCGEXYCG Enhanced Fund MESSAGE TO SHAREHOLDERS (Unaudited) Dear Fellow Shareholder: For the sixmonth period
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YCG funds - account refers to a specific type of account or record required for managing and reporting certain financial transactions, often related to investment or trust funds.
Entities or individuals that manage YCG funds, such as financial institutions, investment managers, or trustees, are required to file the YCG funds - account.
To fill out a YCG funds - account, gather all necessary financial data, provide detailed information about transactions, and follow the prescribed format and guidelines as set out by the governing authority.
The purpose of the YCG funds - account is to ensure transparency, compliance, and accountability in the management and reporting of financial activities related to YCG funds.
Information that must be reported includes fund balances, transaction details, income generated, expenses incurred, and any distributions made during the reporting period.
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