SunWise. Semi-Annual Financial Statement as at June 30, S egr egated Funds. managed by CI Investments Inc.

Size: px
Start display at page:

Download "SunWise. Semi-Annual Financial Statement as at June 30, S egr egated Funds. managed by CI Investments Inc."

Transcription

1 Semi-Annual Financial Statement as at June 30, 2010 SunWise I S egr egated Funds managed by CI Investments Inc. issued by Sun Life Assurance Company of Canada

2 A look inside Overview...1 Equity Funds SunWise CI American Value Fund...2 SunWise CI Canadian Equity Fund...5 SunWise CI Canadian Investment Fund...9 SunWise CI Canadian Stock Fund...13 SunWise CI Signature Select Canadian Fund...17 SunWise CI U.S. Equity Fund...21 SunWise CI World Equity Fund...25 SunWise Dynamic Power American Growth Fund...28 SunWise Fidelity Growth America Fund...31 SunWise Fidelity International Portfolio Fund...34 SunWise Fidelity True North Fund...38 SunWise Mackenzie Cundill Canadian Security Fund...41 SunWise Trimark Select Canadian Growth Fund...44 SunWise Trimark Select Growth Fund...47 Balanced Funds SunWise CI Harbour Growth & Income Fund...51 SunWise Fidelity Canadian Asset Allocation Fund...55 SunWise Mackenzie Cundill Canadian Balanced Fund...58 Income Funds SunWise CI Dividend Fund...61 SunWise CI Money Market Fund...66 SunWise CI Signature Canadian Bond Fund...70 SunWise CI Signature Canadian Select Bond Fund...73 SunWise CI Signature Canadian Special Bond Fund...76 Portfolios SunWise Portfolio Series Balanced Fund...79 SunWise Portfolio Series Balanced Growth Fund...82 SunWise Portfolio Series Conservative Fund...85 SunWise Portfolio Series Growth Fund...88 SunWise Portfolio Series Income Fund...91 SunWise Portfolio Series Maximum Growth Fund...94 Notes to the Financial Statements...98 Legal Notice...100

3 2 Queen Street East, Twentieth Floor Toronto, Ontario M5C 3G7 Telephone: Toll Free: Facsimile: Enclosed are the Financial Statements for your CI Investments segregated funds for the period ending June 30, Inside is important information about each fund, including its financial statements for the period and a list of the top portfolio holdings of the underlying fund as of the end of the year. Additional information about your funds can be found on our website, If you have any questions about your investments, please contact your financial advisor. CI is proud to partner with advisors across Canada. We believe investors are most successful when they follow an investment plan developed with the assistance of a qualified advisor. ABOUT CI INVESTMENTS CI has been investing on behalf of Canadians since 1965 and has grown to become one of Canada s largest investment fund companies. We manage over $64 billion on behalf of 1.7 million Canadians. CI is a subsidiary of CI Financial Corp., a TSX-listed financial services firm with $86 billion in fee-earning assets at June 30, CI provides one of the industry s widest selections of investment products and services and a strong lineup of leading portfolio management teams. Our portfolio management expertise is offered through several platforms, including mutual funds, tax-efficient funds, segregated funds, and managed solutions. You may also contact CI Client Services at Thank you for investing with us. 1

4 SunWise CI American Value Fund Top 25 Holdings of Underlying Mutual Fund (unaudited) No. of Shares/ Average Fair Face Amount Investment Cost ($) Value ($) 439,980 Microsoft Corp. 13,652,075 10,777, ,364 Exxon Mobil Corp. 9,899,839 8,709, ,550 Boeing Co. 6,853,685 8,186,438 98,300 Praxair Inc. 7,419,237 7,952, ,050 DaVita Inc. 4,415,853 7,780, ,400 Thermo Fisher Scientific Inc. 6,650,980 7,748, ,089 Comcast Corp., Special Class A 10,373,501 7,592, ,280 Oracle Corp. 5,675,743 7,408, ,601 Ventas Inc. 3,757,672 7,177,298 76,700 Franklin Resources Inc. 5,687,249 7,037, ,350 Prudential Financial Inc. 6,240,712 6,931, ,400 Waste Management Inc. 7,685,811 6,841, ,750 Ameriprise Financial Inc. 5,945,898 6,721, ,466 TJX Cos., Inc. 5,798,339 6,406,914 79,150 Laboratory Corp. of America Holdings 4,530,936 6,348,953 23,610 Apple Computer Inc. 1,818,246 6,321, ,400 Wisconsin Energy Corp. 5,593,750 6,179, ,900 Danaher Corp. 6,326,160 6,160,586 74,255 Occidental Petroleum Corp. 6,429,669 6,098, ,290 MetLife Inc. 5,229,103 6,001, ,400 Deere & Co. 4,719,696 5,951,150 5,819,897 Cash & Equivalents 5,867,690 5,922, ,550 Texas Instruments Inc. 6,072,022 5,887, ,000 EI Du Pont de Nemours & Co. 7,399,562 5,781,202 75,250 Visa Inc., Class A 4,795,313 5,667,622 2 CIG

5 SunWise CI American Value Fund Financial Statements (unaudited) Statement of Investment Portfolio as at June 30, 2010 No. of Average Fair Units/Shares Investment Cost ($) Value ($) 63,125 CI American Value Fund (Class I) 1,395,731 1,006,843 Total Investments (100.0%) 1,395,731 1,006,843 Other Assets (net) (0.0%) 466 Total Net Assets (100.0%) 1,007,309 Statements of Net Assets as at June 30, 2010 and December 31, 2009 (in $000 s except for per unit amounts and units outstanding) Statements of Operations Statements of Changes in Net Assets Assets Investments at fair value* Cash Receivable for unit subscriptions Receivable for securities sold Management fee rebate receivable Receivable for dividends and accrued interest Liabilities Bank overdraft Management fees payable Administration fees payable Filing fees payable Insurance fees payable Payable for securities purchased Payable for unit redemptions Net assets and unitholders equity *Investments at cost Net asset value per unit Schedule 1 Number of units outstanding (Unit transactions Schedule 2) 1,007 1, ,008 1, ,007 1,214 1,396 1, , ,445 41,619 46,755 Income Income distribution from investments Interest Management fee rebate Expenses (Note 5) (Management expense ratios Schedule 3) Management fees Administrative fees Insurance fees Custody fees Legal fees Audit fees Goods and services tax Net investment income (loss) for the period Realized and unrealized gain (loss) on investments Realized gain (loss) on investments (a) Capital gain distribution from investments Change in unrealized appreciation (depreciation) of investments Net gain (loss) on investments ( per unit Schedule 4) (a) Realized gain (loss) on investments Proceeds from sale of investments Investments at cost, beginning of period Investments purchased Investments at cost, end of period Cost of investments sold Realized gain (loss) on investments (19) (19) (47) (45) (22) 82 (69) 37 (88) ,580 1, ,598 1,834 1,396 1, (47) (45) Net assets, beginning of period Capital transactions Proceeds from units issued Payments for units redeemed Net assets, end of period 1,214 1, (240) (111) (119) (65) (88) 18 1,007 1,210 Percentages shown in brackets in the Statement of Investment Portfolio relate investments at fair value to total net assets of the Fund. 3

6 SunWise CI American Value Fund Financial Statements Supplementary Schedules ( and December 31) (unaudited) Schedule Net asset value per unit, end of period ($) Schedule 2 Unit transactions Number of units, beginning of period Units issued for cash Units redeemed Number of units, end of period 109, ,146 46,755 51,645 15,409 5, ,536 (25,652) (10,477) (5,418) (5,477) 99, ,924 41,619 47,704 Schedule Management expense ratios 1, 2 (%) Management and operating expenses Goods and services tax expenses Total management expense ratio Schedule 4 per unit 3 ($) (0.61) 0.10 (0.60) Management expense information is calculated based on expenses charged directly to the Fund plus, if applicable, expenses of the underlying mutual fund, calculated on a weighted average basis on the percentage weighting of the underlying mutual fund and is expressed as an annualized percentage of average net assets for the periods shown. 2 Effective fiscal 2005, the fiscal year end of the underlying mutual fund changed from December 31 to March 31, As a result, the MER of the underlying mutual fund was based on the most recent audited MER at December 31, It was expected that the MER of the underlying mutual fund at December 31, 2005 would have been less than the prior year MER due to a decline in fees that occurred in September per unit of the class is calculated by dividing the increase (decrease) in net assets of the Fund by the weighted average number of units outstanding of the class during the period. 4

7 SunWise CI Canadian Equity Fund Top 25 Holdings of Underlying Mutual Fund (unaudited) No. of Shares/ Average Fair Face Amount Investment Cost ($) Value ($) 2,215,959 Toronto-Dominion Bank 114,494, ,856,852 2,859,241 Royal Bank of Canada 118,694, ,963,519 4,447,111 Suncor Energy Inc. 145,414, ,327,988 5,324,050 Power Corp. of Canada 138,147, ,816,516 1,241,100 Potash Corp. of Saskatchewan Inc. 129,131, ,796,459 6,591,000 Talisman Energy Inc. 121,962, ,115,100 2,067,632 Barrick Gold Corp. 72,699,618 99,907,978 2,469,125 Imperial Oil Ltd. 62,533,411 95,752,668 5,726,300 Manulife Financial Corp. 127,651,477 88,471,335 2,599,435 EnCana Corp. 63,739,091 83,805,784 1,417,500 Bank of Montreal 48,650,550 81,846,450 2,272,014 Canadian Natural Resources Ltd. 35,586,015 80,270,255 1,354,200 Canadian Pacific Railway Ltd. 64,291,582 77,270,652 1,917,400 Thomson Corp. 72,050,332 73,052, ,230,374 Cash & Equivalents 71,975,738 72,154,208 1,538,000 Goldcorp Inc. 51,466,166 71,686, ,800 Agnico-Eagle Mines Ltd. 58,886,136 64,308,764 1,035,175 Canadian National Railway Co. 40,201,960 63,156, ,000 Magna International Inc., Class A 32,359,979 57,787,120 1,043,506 Canadian Tire Corp., Ltd., Class A, Non-Voting Shares 52,557,010 55,462,344 4,057,400 Trican Well Service Ltd. 71,157,390 55,302,362 7,647,300 Precision Drilling Corp. 117,437,011 53,989,938 1,002,100 Bank of Nova Scotia 36,278,668 49,153,005 1,212,875 IGM Financial Inc. 48,100,937 45,021, ,300 Intact Financial Corp. 29,698,222 44,554,270 5 CIG

8 SunWise CI Canadian Equity Fund Financial Statements (unaudited) Statement of Investment Portfolio as at June 30, 2010 No. of Average Fair Units/Shares Investment Cost ($) Value ($) 158,670 CI Canadian Investment Fund (Class I) 3,192,584 3,866,790 Total Investments (99.7%) 3,192,584 3,866,790 Other Assets (net) (0.3%) 10,875 Total Net Assets (100.0%) 3,877,665 Statements of Net Assets as at June 30, 2010 and December 31, 2009 (in $000 s except for per unit amounts and units outstanding) Statements of Operations Statements of Changes in Net Assets Assets Investments at fair value* Cash Receivable for unit subscriptions Receivable for securities sold Management fee rebate receivable Receivable for dividends and accrued interest Liabilities Bank overdraft Management fees payable Administration fees payable Filing fees payable Insurance fees payable Payable for securities purchased Payable for unit redemptions Net assets and unitholders equity *Investments at cost Net asset value per unit Schedule 1 Number of units outstanding (Unit transactions Schedule 2) 3,867 4, ,879 4, ,878 4,637 3,193 3, , ,773 97, ,308 Income Income distribution from investments Interest Management fee rebate Expenses (Note 5) (Management expense ratios Schedule 3) Management fees Administrative fees Insurance fees Custody fees Legal fees Audit fees Goods and services tax Net investment income (loss) for the period Realized and unrealized gain (loss) on investments Realized gain (loss) on investments (a) Capital gain distribution from investments Change in unrealized appreciation (depreciation) of investments Net gain (loss) on investments ( per unit Schedule 4) (a) Realized gain (loss) on investments Proceeds from sale of investments Investments at cost, beginning of period Investments purchased Investments at cost, end of period Cost of investments sold Realized gain (loss) on investments (75) (64) 135 (6) (293) 618 (158) 612 (233) ,667 4, ,700 4,377 3,193 4, (6) Net assets, beginning of period Capital transactions Proceeds from units issued Payments for units redeemed Net assets, end of period 4,637 4, (672) (279) (526) (66) (233) 548 3,878 4,564 Percentages shown in brackets in the Statement of Investment Portfolio relate investments at fair value to total net assets of the Fund. 6

9 SunWise CI Canadian Equity Fund Financial Statements Supplementary Schedules ( and December 31) (unaudited) Schedule Net asset value per unit, end of period ($) Schedule 2 Unit transactions Number of units, beginning of period Units issued for cash Units redeemed Number of units, end of period 131, , , ,189 3,150 13,025 4,405 1,147 (20,038) (9,613) (15,083) (8,629) 114, ,778 97, ,707 Schedule Management expense ratios 1, 2 (%) Management and operating expenses Goods and services tax expenses Total management expense ratio Schedule 4 per unit 3 ($) (1.02) 2.06 (1.02) Management expense information is calculated based on expenses charged directly to the Fund plus, if applicable, expenses of the underlying mutual fund, calculated on a weighted average basis on the percentage weighting of the underlying mutual fund and is expressed as an annualized percentage of average net assets for the periods shown. 2 Effective fiscal 2005, the fiscal year end of the underlying mutual fund changed from December 31 to March 31, As a result, the MER of the underlying mutual fund was based on the most recent audited MER at December 31, It was expected that the MER of the underlying mutual fund at December 31, 2005 would have been less than the prior year MER due to a decline in fees that occurred in September per unit of the class is calculated by dividing the increase (decrease) in net assets of the Fund by the weighted average number of units outstanding of the class during the period. 7

10 SunWise CI Canadian Equity Fund Fund Specific Financial Instruments Risks (Note 2) (Dollar amounts in thousands) (unaudited) During the six-month period the Fund s exposure to currency risk changed significantly as disclosed in the section below. For details relating to other price risk, credit risk, liquidity risk, interest rate risk and fair value hierarchy, refer to the audited annual financial statements as at December 31, 2009, as the Fund s exposure to those risks remains unchanged. Currency Risk The Fund bears the currency risk exposure of the underlying mutual fund. The underlying mutual fund is exposed to currency risk as some of the underlying mutual fund s assets are invested in stocks denominated in currencies other than Canadian dollars, the functional currency of the underlying mutual fund. The tables below summarize the underlying mutual fund s exposure to currency risk, net of derivative instruments, as applicable. as at June 30, 2010 Net Assets Currency (%) US Dollar 3.4 Euro 2.6 Japanese Yen 2.4 British Pound 1.3 Swiss Franc 0.7 Hong Kong Dollar 0.2 Swedish Krona 0.2 Australian Dollar 0.1 Singapore Dollar 0.1 Norwegian Krone 0.1 Thai Baht 0.1 Malaysian Ringgit 0.1 Korean Won 0.1 Total 11.4 Currency Risk (cont d) as at December 31, 2009 Net Assets Currency (%) US Dollar 5.3 Euro 2.8 Japanese Yen 2.8 British Pound 1.4 Swiss Franc 0.4 Australian Dollar 0.2 Hong Kong Dollar 0.2 Taiwan Dollar 0.2 Korean Won 0.1 Malaysian Ringgit 0.1 Norwegian Krone 0.1 Swedish Krona 0.1 Singapore Dollar 0.1 Thai Baht 0.1 Total 13.9 As at June 30, 2010, had the Canadian dollar strengthened or weakened by 10% in relation to all other foreign currencies held in the Fund, with all other variables held constant, the Fund's net assets would have decreased or increased, respectively, by approximately $44 (December 31, $64). In practice, the actual results may differ materially from the sensitivity analysis due to other market circumstances and investment decisions made by the portfolio manager. 8

11 SunWise CI Canadian Investment Fund Top 25 Holdings of Underlying Mutual Fund (unaudited) No. of Shares/ Average Fair Face Amount Investment Cost ($) Value ($) 2,215,959 Toronto-Dominion Bank 114,494, ,856,852 2,859,241 Royal Bank of Canada 118,694, ,963,519 4,447,111 Suncor Energy Inc. 145,414, ,327,988 5,324,050 Power Corp. of Canada 138,147, ,816,516 1,241,100 Potash Corp. of Saskatchewan Inc. 129,131, ,796,459 6,591,000 Talisman Energy Inc. 121,962, ,115,100 2,067,632 Barrick Gold Corp. 72,699,618 99,907,978 2,469,125 Imperial Oil Ltd. 62,533,411 95,752,668 5,726,300 Manulife Financial Corp. 127,651,477 88,471,335 2,599,435 EnCana Corp. 63,739,091 83,805,784 1,417,500 Bank of Montreal 48,650,550 81,846,450 2,272,014 Canadian Natural Resources Ltd. 35,586,015 80,270,255 1,354,200 Canadian Pacific Railway Ltd. 64,291,582 77,270,652 1,917,400 Thomson Corp. 72,050,332 73,052, ,230,374 Cash & Equivalents 71,975,738 72,154,208 1,538,000 Goldcorp Inc. 51,466,166 71,686, ,800 Agnico-Eagle Mines Ltd. 58,886,136 64,308,764 1,035,175 Canadian National Railway Co. 40,201,960 63,156, ,000 Magna International Inc., Class A 32,359,979 57,787,120 1,043,506 Canadian Tire Corp., Ltd., Class A, Non-Voting Shares 52,557,010 55,462,344 4,057,400 Trican Well Service Ltd. 71,157,390 55,302,362 7,647,300 Precision Drilling Corp. 117,437,011 53,989,938 1,002,100 Bank of Nova Scotia 36,278,668 49,153,005 1,212,875 IGM Financial Inc. 48,100,937 45,021, ,300 Intact Financial Corp. 29,698,222 44,554,270 9 CIG

12 SunWise CI Canadian Investment Fund Financial Statements (unaudited) Statement of Investment Portfolio as at June 30, 2010 No. of Average Fair Units/Shares Investment Cost ($) Value ($) 452,554 CI Canadian Investment Fund (Class I) 9,027,337 11,028,731 Total Investments (100.0%) 9,027,337 11,028,731 Other Assets (net) (0.0%) 2,000 Total Net Assets (100.0%) 11,030,731 Statements of Net Assets as at June 30, 2010 and December 31, 2009 (in $000 s except for per unit amounts and units outstanding) Statements of Operations Statements of Changes in Net Assets Assets Investments at fair value* Cash Receivable for unit subscriptions Receivable for securities sold Management fee rebate receivable Receivable for dividends and accrued interest Liabilities Bank overdraft Management fees payable Administration fees payable Filing fees payable Insurance fees payable Payable for securities purchased Payable for unit redemptions Net assets and unitholders equity *Investments at cost Net asset value per unit Schedule 1 Number of units outstanding (Unit transactions Schedule 2) 11,029 12, ,053 12, ,031 12,364 9,027 9, , , , ,774 Income Income distribution from investments Interest Management fee rebate Expenses (Note 5) (Management expense ratios Schedule 3) Management fees Administrative fees Insurance fees Custody fees Legal fees Audit fees Goods and services tax Net investment income (loss) for the period Realized and unrealized gain (loss) on investments Realized gain (loss) on investments (a) Capital gain distribution from investments Change in unrealized appreciation (depreciation) of investments Net gain (loss) on investments ( per unit Schedule 4) (a) Realized gain (loss) on investments Proceeds from sale of investments Investments at cost, beginning of period Investments purchased Investments at cost, end of period Cost of investments sold Realized gain (loss) on investments (204) (179) 222 (23) (672) 1,638 (450) 1,615 (654) 1, ,177 9,684 11, ,801 11,915 9,027 10, , (23) Net assets, beginning of period Capital transactions Proceeds from units issued Payments for units redeemed Net assets, end of period 12,364 11, (1,358) (1,413) (679) (908) (654) 1,436 11,031 12,104 Percentages shown in brackets in the Statement of Investment Portfolio relate investments at fair value to total net assets of the Fund. 10

13 SunWise CI Canadian Investment Fund Financial Statements Supplementary Schedules ( and December 31) (unaudited) Schedule Net asset value per unit, end of period ($) Schedule 2 Unit transactions Number of units, beginning of period Units issued for cash Units redeemed Number of units, end of period 337, , , ,295 13,714 21,410 16,166 6,464 (35,183) (46,811) (25,077) (32,597) 316, , , ,162 Schedule Management expense ratios 1, 2 (%) Management and operating expenses Goods and services tax expenses Total management expense ratio Schedule 4 per unit 3 ($) (1.21) 2.25 (1.24) Management expense information is calculated based on expenses charged directly to the Fund plus, if applicable, expenses of the underlying mutual fund, calculated on a weighted average basis on the percentage weighting of the underlying mutual fund and is expressed as an annualized percentage of average net assets for the periods shown. 2 Effective fiscal 2005, the fiscal year end of the underlying mutual fund changed from December 31 to March 31, As a result, the MER of the underlying mutual fund was based on the most recent audited MER at December 31, It was expected that the MER of the underlying mutual fund at December 31, 2005 would have been less than the prior year MER due to a decline in fees that occurred in September per unit of the class is calculated by dividing the increase (decrease) in net assets of the Fund by the weighted average number of units outstanding of the class during the period. 11

14 SunWise CI Canadian Investment Fund Fund Specific Financial Instruments Risks (Note 2) (Dollar amounts in thousands) (unaudited) During the six-month period the Fund s exposure to currency risk changed significantly as disclosed in the section below. For details relating to other price risk, credit risk, liquidity risk, interest rate risk and fair value hierarchy, refer to the audited annual financial statements as at December 31, 2009, as the Fund s exposure to those risks remains unchanged. Currency Risk The Fund bears the currency risk exposure of the underlying mutual fund. The underlying mutual fund is exposed to currency risk as some of the underlying mutual fund s assets are invested in stocks denominated in currencies other than Canadian dollars, the functional currency of the underlying mutual fund. The tables below summarize the underlying mutual fund s exposure to currency risk, net of derivative instruments, as applicable. as at June 30, 2010 Net Assets Currency (%) US Dollar 3.4 Euro 2.6 Japanese Yen 2.4 British Pound 1.3 Swiss Franc 0.7 Hong Kong Dollar 0.2 Swedish Krona 0.2 Australian Dollar 0.1 Singapore Dollar 0.1 Norwegian Krone 0.1 Thai Baht 0.1 Malaysian Ringgit 0.1 Korean Won 0.1 Total 11.4 Currency Risk (cont d) as at December 31, 2009 Net Assets Currency (%) US Dollar 5.3 Euro 2.8 Japanese Yen 2.8 British Pound 1.4 Swiss Franc 0.4 Australian Dollar 0.2 Hong Kong Dollar 0.2 Taiwan Dollar 0.2 Korean Won 0.1 Malaysian Ringgit 0.1 Norwegian Krone 0.1 Swedish Krona 0.1 Singapore Dollar 0.1 Thai Baht 0.1 Total 13.9 As at June 30, 2010, had the Canadian dollar strengthened or weakened by 10% in relation to all other foreign currencies held in the Fund, with all other variables held constant, the Fund's net assets would have decreased or increased, respectively, by approximately $126 (December 31, $172). In practice, the actual results may differ materially from the sensitivity analysis due to other market circumstances and investment decisions made by the portfolio manager. 12

15 SunWise CI Canadian Stock Fund Top 25 Holdings of Underlying Mutual Fund (unaudited) No. of Shares/ Average Fair Face Amount Investment Cost ($) Value ($) 2,290,983 Toronto-Dominion Bank 139,941, ,032, ,000,001 Short-Term Notes 134,000, ,002,219 3,452,745 Suncor Energy Inc. 111,245, ,174,501 2,800,600 Canadian Natural Resources Ltd. 88,653,246 98,945,198 1,997,400 Barrick Gold Corp. 84,191,488 96,514,368 5,165,100 Talisman Energy Inc. 83,090,992 83,158,110 1,439,400 Royal Bank of Canada 79,785,347 72,977,580 2,203,900 BCE Inc. 66,603,485 68,453,134 1,548,300 Eli Lilly and Co. 64,712,316 55,216,371 3,528,600 Bank of America Corp. 54,681,557 53,979,286 1,335,980 TELUS Corp., Non-Voting Shares 51,333,228 51,461, ,700 Johnson & Johnson 54,827,749 50,027,723 1,295,400 Rogers Communications Inc., Class B 37,228,689 45,054, ,900 Goldcorp Inc. 35,926,463 43,668, ,700 Union Pacific Corp. 32,486,282 41,934,207 1,294,700 EnCana Corp. 42,685,226 41,741, ,800 Freeport-McMoRan Copper & Gold Inc., Class B (USD) 50,265,268 40,903,034 1,057,900 Merck & Co., Ltd. 40,564,877 39,382,945 2,468,700 Manulife Financial Corp. 47,976,518 38,141, ,500 Occidental Petroleum Corp. 35,167,782 37,328, ,635 Imperial Oil Ltd. 37,773,798 36,749, ,000 Canadian Imperial Bank of Commerce 34,673,735 34,591, ,400 Research In Motion Ltd. (USD) 45,036,989 33,163,030 4,035,300 Bank of America Corp., Warrants (16Jan19) 34,723,974 32,862, ,800 Canadian National Railway Co. 27,888,552 32,018, CIG

16 SunWise CI Canadian Stock Fund Financial Statements (unaudited) Statement of Investment Portfolio as at June 30, 2010 No. of Average Fair Units/Shares Investment Cost ($) Value ($) 104,683 Signature Select Canadian Fund (Class I) 1,258,456 1,276,084 Total Investments (99.9%) 1,258,456 1,276,084 Other Assets (net) (0.1%) 1,190 Total Net Assets (100.0%) 1,277,274 Statements of Net Assets as at June 30, 2010 and December 31, 2009 (in $000 s except for per unit amounts and units outstanding) Statements of Operations Statements of Changes in Net Assets Assets Investments at fair value* Cash Receivable for unit subscriptions Receivable for securities sold Management fee rebate receivable Receivable for dividends and accrued interest Liabilities Bank overdraft Management fees payable Administration fees payable Filing fees payable Insurance fees payable Payable for securities purchased Payable for unit redemptions Net assets and unitholders equity *Investments at cost Net asset value per unit Schedule 1 Number of units outstanding (Unit transactions Schedule 2) 1,276 1, ,278 1, ,277 1,620 1,258 1, ,008 57,567 18,558 22,103 Income Income distribution from investments Interest Management fee rebate Expenses (Note 5) (Management expense ratios Schedule 3) Management fees Administrative fees Insurance fees Custody fees Legal fees Audit fees Goods and services tax Net investment income (loss) for the period Realized and unrealized gain (loss) on investments Realized gain (loss) on investments (a) Capital gain distribution from investments Change in unrealized appreciation (depreciation) of investments Net gain (loss) on investments ( per unit Schedule 4) (a) Realized gain (loss) on investments Proceeds from sale of investments Investments at cost, beginning of period Investments purchased Investments at cost, end of period Cost of investments sold Realized gain (loss) on investments (27) (24) 15 (22) (90) 199 (75) 177 (102) ,507 1, ,507 1,809 1,258 1, (22) Net assets, beginning of period Capital transactions Proceeds from units issued Payments for units redeemed Net assets, end of period 1,620 1, (270) (101) (241) (62) (102) 153 1,277 1,541 Percentages shown in brackets in the Statement of Investment Portfolio relate investments at fair value to total net assets of the Fund. 14

17 SunWise CI Canadian Stock Fund Financial Statements Supplementary Schedules ( and December 31) (unaudited) Schedule Net asset value per unit, end of period ($) Schedule 2 Unit transactions Number of units, beginning of period Units issued for cash Units redeemed Number of units, end of period 57,567 67,100 22,103 23, ,282 1,568 (8,602) (5,752) (4,827) (435) 49,008 62,135 18,558 24,475 Schedule Management expense ratios 1, 2 (%) Management and operating expenses Goods and services tax expenses Total management expense ratio Schedule 4 per unit 3 ($) (1.34) 1.63 (1.33) Management expense information is calculated based on expenses charged directly to the Fund plus, if applicable, expenses of the underlying mutual fund, calculated on a weighted average basis on the percentage weighting of the underlying mutual fund and is expressed as an annualized percentage of average net assets for the periods shown. 2 Effective fiscal 2005, the fiscal year end of the underlying mutual fund changed from December 31 to March 31, As a result, the MER of the underlying mutual fund was based on the most recent audited MER at December 31, It was expected that the MER of the underlying mutual fund at December 31, 2005 would have been less than the prior year MER due to a decline in fees that occurred in September per unit of the class is calculated by dividing the increase (decrease) in net assets of the Fund by the weighted average number of units outstanding of the class during the period. 15

18 SunWise CI Canadian Stock Fund Fund Specific Financial Instruments Risks (Note 2) (Dollar amounts in thousands) (unaudited) During the six-month period the Fund s exposure to other price risk and currency risk changed significantly as disclosed in the section below. For details relating to credit risk, liquidity risk, interest rate risk and fair value hierarchy, refer to the audited annual financial statements as at December 31, 2009, as the Fund s exposure to those risks remains unchanged. Other Price Risk The Fund bears the other price risk exposure of the underlying mutual fund. The underlying mutual fund is exposed to other price risk as its holdings are sensitive to changes in general economic conditions in Canada. The underlying mutual fund is predominantly invested in Canadian stocks; as a result, an overall downturn in the Canadian economy may have a negative impact on the value of the underlying mutual fund s holdings. The tables below summarize the Fund s overall market exposure. as at June 30, 2010* Investments held for trading as at December 31, 2009* Investments held for trading Fair value Net Assets (%) *Excludes loans and receivables as well as financial liabilities at amortized cost. 1, , Fair value Net Assets (%) 1, , As at June 30, 2010, had the Canadian markets increased or decreased by 10%, with all other variables held constant, the Fund s net assets would have increased or decreased, respectively, by approximately $128 (December 31, $161). In practice, actual results may differ from this sensitivity analysis and the difference may be material. Currency Risk The Fund bears the currency risk exposure of the underlying mutual fund. The underlying mutual fund is exposed to currency risk are some of the underlying mutual fund s assets are invested in stocks denominated in currencies other than Canadian dollars, the functional currency of the underlying mutual fund. The tables below summarize the underlying mutual fund s exposure to currency risk, net of derivative instruments, as applicable. as at June 30, 2010 Net Assets Currency (%) US Dollar 11.3 British Pound 2.1 Swiss Franc 1.9 Brazilian Real 0.9 Euro 0.6 Mexican Peso 0.6 Japanese Yen 0.4 Hong Kong Dollar 0.4 Australian Dollar 0.2 Total 18.4 as at December 31, 2009 Net Assets Currency (%) US Dollar 15.4 Euro 3.4 British Pound 2.9 Swiss Franc 1.3 Japanese Yen 0.8 Brazilian Real 0.7 Mexican Peso 0.2 Australian Dollar (0.2) Total 24.5 As at June 30, 2010, had the Canadian dollar strengthened or weakened by 10% in relation to all other foreign currencies held in the Fund, with all other variables held constant, the Fund's net assets would have decreased or increased, respectively, by approximately $23 (December 31, $40). In practice, the actual results may differ materially from the sensitivity analysis due to other market circumstances and investment decisions made by the portfolio manager. 16

19 SunWise CI Signature Select Canadian Fund Top 25 Holdings of Underlying Mutual Fund (unaudited) No. of Shares/ Average Fair Face Amount Investment Cost ($) Value ($) 2,290,983 Toronto-Dominion Bank 139,941, ,032, ,000,001 Short-Term Notes 134,000, ,002,219 3,452,745 Suncor Energy Inc. 111,245, ,174,501 2,800,600 Canadian Natural Resources Ltd. 88,653,246 98,945,198 1,997,400 Barrick Gold Corp. 84,191,488 96,514,368 5,165,100 Talisman Energy Inc. 83,090,992 83,158,110 1,439,400 Royal Bank of Canada 79,785,347 72,977,580 2,203,900 BCE Inc. 66,603,485 68,453,134 1,548,300 Eli Lilly and Co. 64,712,316 55,216,371 3,528,600 Bank of America Corp. 54,681,557 53,979,286 1,335,980 TELUS Corp., Non-Voting Shares 51,333,228 51,461, ,700 Johnson & Johnson 54,827,749 50,027,723 1,295,400 Rogers Communications Inc., Class B 37,228,689 45,054, ,900 Goldcorp Inc. 35,926,463 43,668, ,700 Union Pacific Corp. 32,486,282 41,934,207 1,294,700 EnCana Corp. 42,685,226 41,741, ,800 Freeport-McMoRan Copper & Gold Inc., Class B (USD) 50,265,268 40,903,034 1,057,900 Merck & Co., Ltd. 40,564,877 39,382,945 2,468,700 Manulife Financial Corp. 47,976,518 38,141, ,500 Occidental Petroleum Corp. 35,167,782 37,328, ,635 Imperial Oil Ltd. 37,773,798 36,749, ,000 Canadian Imperial Bank of Commerce 34,673,735 34,591, ,400 Research In Motion Ltd. (USD) 45,036,989 33,163,030 4,035,300 Bank of America Corp., Warrants (16Jan19) 34,723,974 32,862, ,800 Canadian National Railway Co. 27,888,552 32,018, CIG

20 SunWise CI Signature Select Canadian Fund Financial Statements (unaudited) Statement of Investment Portfolio as at June 30, 2010 No. of Average Fair Units/Shares Investment Cost ($) Value ($) 110,569 Signature Select Canadian Fund (Class I) 1,386,920 1,347,839 Total Investments (99.5%) 1,386,920 1,347,839 Other Assets (net) (0.5%) 6,810 Total Net Assets (100.0%) 1,354,649 Statements of Net Assets as at June 30, 2010 and December 31, 2009 (in $000 s except for per unit amounts and units outstanding) Statements of Operations Statements of Changes in Net Assets Assets Investments at fair value* Cash Receivable for unit subscriptions Receivable for securities sold Management fee rebate receivable Receivable for dividends and accrued interest Liabilities Bank overdraft Management fees payable Administration fees payable Filing fees payable Insurance fees payable Payable for securities purchased Payable for unit redemptions Net assets and unitholders equity *Investments at cost Net asset value per unit Schedule 1 Number of units outstanding (Unit transactions Schedule 2) 1,348 1, ,355 1, ,355 1,463 1,387 1, ,878 59,518 22,916 22,723 Income Income distribution from investments Interest Management fee rebate Expenses (Note 5) (Management expense ratios Schedule 3) Management fees Administrative fees Insurance fees Custody fees Legal fees Audit fees Goods and services tax Net investment income (loss) for the period Realized and unrealized gain (loss) on investments Realized gain (loss) on investments (a) Capital gain distribution from investments Change in unrealized appreciation (depreciation) of investments Net gain (loss) on investments ( per unit Schedule 4) (a) Realized gain (loss) on investments Proceeds from sale of investments Investments at cost, beginning of period Investments purchased Investments at cost, end of period Cost of investments sold Realized gain (loss) on investments (25) (20) 4 (30) (80) 185 (76) 155 (101) ,420 1, ,528 1,681 1,387 1, (30) Net assets, beginning of period Capital transactions Proceeds from units issued Payments for units redeemed Net assets, end of period 1,463 1, (206) (123) (7) (73) (101) 135 1,355 1,343 Percentages shown in brackets in the Statement of Investment Portfolio relate investments at fair value to total net assets of the Fund. 18

21 SunWise CI Signature Select Canadian Fund Financial Statements Supplementary Schedules ( and December 31) (unaudited) Schedule Net asset value per unit, end of period ($) Schedule 2 Unit transactions Number of units, beginning of period Units issued for cash Units redeemed Number of units, end of period 59,518 65,629 22,723 25,460 6,899 2,952 4, (7,539) (6,313) (4,024) (2,113) 58,878 62,268 22,916 23,971 Schedule Management expense ratios 1, 2 (%) Management and operating expenses Goods and services tax expenses Total management expense ratio Schedule 4 per unit 3 ($) (1.24) 1.47 (1.25) Management expense information is calculated based on expenses charged directly to the Fund plus, if applicable, expenses of the underlying mutual fund, calculated on a weighted average basis on the percentage weighting of the underlying mutual fund and is expressed as an annualized percentage of average net assets for the periods shown. 2 Effective fiscal 2005, the fiscal year end of the underlying mutual fund changed from December 31 to March 31, As a result, the MER of the underlying mutual fund was based on the most recent audited MER at December 31, It was expected that the MER of the underlying mutual fund at December 31, 2005 would have been less than the prior year MER due to a decline in fees that occurred in September per unit of the class is calculated by dividing the increase (decrease) in net assets of the Fund by the weighted average number of units outstanding of the class during the period. 19

22 SunWise CI Signature Select Canadian Fund Fund Specific Financial Instruments Risks (Note 2) (Dollar amounts in thousands) (unaudited) During the six-month period the Fund s exposure to currency risk changed significantly as disclosed in the section below. For details relating to other price risk, credit risk, liquidity risk, interest rate risk and fair value hierarchy, refer to the audited annual financial statements as at December 31, 2009, as the Fund s exposure to those risks remains unchanged. Currency Risk The Fund bears the currency risk exposure of the underlying mutual fund. The underlying mutual fund is exposed to currency risk as some of the underlying mutual fund s assets are invested in stocks denominated in currencies other than Canadian dollars, the functional currency of the underlying mutual fund. The tables below summarize the underlying mutual fund s exposure to currency risk, net of derivative instruments, as applicable. as at June 30, 2010 Net Assets Currency (%) US Dollar 11.3 British Pound 2.1 Swiss Franc 1.9 Brazilian Real 0.9 Euro 0.6 Mexican Peso 0.6 Japanese Yen 0.4 Hong Kong Dollar 0.4 Australian Dollar 0.2 Total 18.4 as at December 31, 2009 Net Assets Currency (%) US Dollar 15.4 Euro 3.4 British Pound 2.9 Swiss Franc 1.3 Japanese Yen 0.8 Brazilian Real 0.7 Mexican Peso 0.2 Australian Dollar (0.2) Total 24.5 As at June 30, 2010, had the Canadian dollar strengthened or weakened by 10% in relation to all other foreign currencies held in the Fund, with all other variables held constant, the Fund's net assets would have decreased or increased, respectively, by approximately $25 (December 31, $36). In practice, the actual results may differ materially from the sensitivity analysis due to other market circumstances and investment decisions made by the portfolio manager. 20

23 SunWise CI U.S. Equity Fund Top 25 Holdings of Underlying Mutual Fund (unaudited) No. of Shares/ Average Fair Face Amount Investment Cost ($) Value ($) 439,980 Microsoft Corp. 13,652,075 10,777, ,364 Exxon Mobil Corp. 9,899,839 8,709, ,550 Boeing Co. 6,853,685 8,186,438 98,300 Praxair Inc. 7,419,237 7,952, ,050 DaVita Inc. 4,415,853 7,780, ,400 Thermo Fisher Scientific Inc. 6,650,980 7,748, ,089 Comcast Corp., Special Class A 10,373,501 7,592, ,280 Oracle Corp. 5,675,743 7,408, ,601 Ventas Inc. 3,757,672 7,177,298 76,700 Franklin Resources Inc. 5,687,249 7,037, ,350 Prudential Financial Inc. 6,240,712 6,931, ,400 Waste Management Inc. 7,685,811 6,841, ,750 Ameriprise Financial Inc. 5,945,898 6,721, ,466 TJX Cos., Inc. 5,798,339 6,406,914 79,150 Laboratory Corp. of America Holdings 4,530,936 6,348,953 23,610 Apple Computer Inc. 1,818,246 6,321, ,400 Wisconsin Energy Corp. 5,593,750 6,179, ,900 Danaher Corp. 6,326,160 6,160,586 74,255 Occidental Petroleum Corp. 6,429,669 6,098, ,290 MetLife Inc. 5,229,103 6,001, ,400 Deere & Co. 4,719,696 5,951,150 5,819,897 Cash & Equivalents 5,867,690 5,922, ,550 Texas Instruments Inc. 6,072,022 5,887, ,000 EI Du Pont de Nemours & Co. 7,399,562 5,781,202 75,250 Visa Inc., Class A 4,795,313 5,667, CIG

24 SunWise CI U.S. Equity Fund Financial Statements (unaudited) Statement of Investment Portfolio as at June 30, 2010 No. of Average Fair Units/Shares Investment Cost ($) Value ($) 2,647 CI American Value Fund (Class I) 37,442 42,224 Total Investments (100.9%) 37,442 42,224 Other Assets (net) (-0.9%) (371) Total Net Assets (100.0%) 41,853 Statements of Net Assets as at June 30, 2010 and December 31, 2009 (in $000 s except for per unit amounts and units outstanding) Statements of Operations Statements of Changes in Net Assets Assets Investments at fair value* Cash Receivable for unit subscriptions Receivable for securities sold Management fee rebate receivable Receivable for dividends and accrued interest Liabilities Bank overdraft Management fees payable Administration fees payable Filing fees payable Insurance fees payable Payable for securities purchased Payable for unit redemptions Net assets and unitholders equity *Investments at cost Net asset value per unit Schedule 1 Number of units outstanding (Unit transactions Schedule 2) ,007 5,593 2,474 2,474 Income Income distribution from investments Interest Management fee rebate Expenses (Note 5) (Management expense ratios Schedule 3) Management fees Administrative fees Insurance fees Custody fees Legal fees Audit fees Goods and services tax Net investment income (loss) for the period Realized and unrealized gain (loss) on investments Realized gain (loss) on investments (a) Capital gain distribution from investments Change in unrealized appreciation (depreciation) of investments Net gain (loss) on investments ( per unit Schedule 4) (a) Realized gain (loss) on investments Proceeds from sale of investments Investments at cost, beginning of period Investments purchased Investments at cost, end of period Cost of investments sold Realized gain (loss) on investments (2) 1 3 (4) (1) (3) 2 (3) Net assets, beginning of period Capital transactions Proceeds from units issued Payments for units redeemed Net assets, end of period (5) (38) (4) (37) (3) Percentages shown in brackets in the Statement of Investment Portfolio relate investments at fair value to total net assets of the Fund. 22

25 SunWise CI U.S. Equity Fund Financial Statements Supplementary Schedules ( and December 31) (unaudited) Schedule Net asset value per unit, end of period ($) Schedule 2 Unit transactions Number of units, beginning of period Units issued for cash Units redeemed Number of units, end of period 5,593 18,398 2,474 2, (811) (7,171) 5,007 11,431 2,474 2,474 Schedule Management expense ratios 1, 2 (%) Management and operating expenses Goods and services tax expenses Total management expense ratio Schedule 4 per unit 3 ($) (0.44) (0.02) (0.51) Management expense information is calculated based on expenses charged directly to the Fund plus, if applicable, expenses of the underlying mutual fund, calculated on a weighted average basis on the percentage weighting of the underlying mutual fund and is expressed as an annualized percentage of average net assets for the periods shown. 2 Effective fiscal 2005, the fiscal year end of the underlying mutual fund changed from December 31 to March 31, As a result, the MER of the underlying mutual fund was based on the most recent audited MER at December 31, It was expected that the MER of the underlying mutual fund at December 31, 2005 would have been less than the prior year MER due to a decline in fees that occurred in September per unit of the class is calculated by dividing the increase (decrease) in net assets of the Fund by the weighted average number of units outstanding of the class during the period. 23

26 SunWise CI U.S. Equity Fund Fund Specific Financial Instruments Risks (Note 2) (Dollar amounts in thousands) (unaudited) During the six-month period the Fund s exposure to other price risk changed significantly as disclosed in the section below. For details relating to credit risk, currency risk, liquidity risk, interest rate risk and fair value hierarchy, refer to the audited annual financial statements as at December 31, 2009, as the Fund s exposure to those risks remains unchanged. Other Price Risk The Fund bears the other price risk exposure of the underlying mutual fund. The underlying mutual fund is exposed to other price risk as its holdings are sensitive to changes in general economic conditions in the United States. The underlying mutual fund is predominantly invested in U.S. stocks; as a result, an overall downturn in the American economy may have a negative impact on the value of the underlying mutual fund s holdings. The tables below summarize the Fund s overall market exposure. as at June 30, 2010* Fair value Net Assets (%) Investments held for trading as at December 31, 2009* Fair value Net Assets (%) Investments held for trading *Excludes loans and receivables as well as financial liabilities at amortized cost. As at June 30, 2010, had the U.S. markets increased or decreased by 10%, with all other variables held constant, the Fund s net assets would have increased or decreased, respectively, by approximately $4 (December 31, $5). In practice, actual results may differ from this sensitivity analysis and the difference may be material. 24

27 SunWise CI World Equity Fund Top 25 Holdings of Underlying Mutual Fund (unaudited) No. of Shares/ Average Fair Face Amount Investment Cost ($) Value ($) 54,860 Merck & Co., Ltd. 1,811,589 2,042,299 99,313 GlaxoSmithKline PLC 2,820,078 1,805,031 12,050 Roche Holding AG 1,908,565 1,774,649 33,969 Nestle SA, Registered Shares 1,190,562 1,751,464 13,437 Cash & Equivalents 1,566,734 1,578,266 35,450 Baker Hughes Inc. 1,450,699 1,568,788 28,644 Torchmark Corp. 1,557,724 1,509,713 4,694 Nintendo Co., Ltd. 1,290,010 1,489,833 60,364 Seven & I Holdings Co., Ltd. 2,130,349 1,488,366 28,850 Wal-Mart Stores Inc. 1,550,229 1,476,345 30,601 Molson Coors Brewing Co., Class B (USD) 1,269,389 1,379,938 80,568 Diageo PLC 1,418,230 1,358,003 31,716 Covidien PLC 1,345,801 1,356, ,582 Cheung Kong Holdings Ltd. 1,283,260 1,317,194 20,233 Noble Energy Inc. 1,203,781 1,299,456 56,774 Mitsubishi Corp. 1,254,434 1,274,704 28,804 Carrefour SA 1,744,368 1,227,537 65,941 Comcast Corp., Class A 1,234,245 1,219,336 26,772 Heineken NV 1,287,648 1,215,167 18,331 Sanofi-Aventis 1,561,916 1,181,837 24,423 Total SA 1,789,890 1,175,149 32,300 Eli Lilly and Co. 1,211,996 1,151,901 85,257 Sumitomo Metal Mining Co., Ltd. 1,290,102 1,150,170 24,920 Flour Corp. 1,223,931 1,127,470 19,640 Prudential Financial Inc. 1,145,277 1,121, CIG

28 SunWise CI World Equity Fund Financial Statements (unaudited) Statement of Investment Portfolio as at June 30, 2010 No. of Average Fair Units/Shares Investment Cost ($) Value ($) 54,861 CI Global Value Fund (Class I) 766, ,921 Total Investments (100.0%) 766, ,921 Other Assets (net) (0.0%) (252) Total Net Assets (100.0%) 585,669 Statements of Net Assets as at June 30, 2010 and December 31, 2009 (in $000 s except for per unit amounts and units outstanding) Statements of Operations Statements of Changes in Net Assets Assets Investments at fair value* Cash Receivable for unit subscriptions Receivable for securities sold Management fee rebate receivable Receivable for dividends and accrued interest Liabilities Bank overdraft Management fees payable Administration fees payable Filing fees payable Insurance fees payable Payable for securities purchased Payable for unit redemptions Net assets and unitholders equity *Investments at cost Net asset value per unit Schedule 1 Number of units outstanding (Unit transactions Schedule 2) ,118 62,390 31,200 33,308 Income Income distribution from investments Interest Management fee rebate Expenses (Note 5) (Management expense ratios Schedule 3) Management fees Administrative fees Insurance fees Custody fees Legal fees Audit fees Goods and services tax Net investment income (loss) for the period Realized and unrealized gain (loss) on investments Realized gain (loss) on investments (a) Capital gain distribution from investments Change in unrealized appreciation (depreciation) of investments Net gain (loss) on investments ( per unit Schedule 4) (a) Realized gain (loss) on investments Proceeds from sale of investments Investments at cost, beginning of period Investments purchased Investments at cost, end of period Cost of investments sold Realized gain (loss) on investments (11) (13) (23) (55) (21) 59 (44) 4 (55) (9) , , (23) (55) Net assets, beginning of period Capital transactions Proceeds from units issued Payments for units redeemed Net assets, end of period (147) (135) (75) (104) (55) (9) Percentages shown in brackets in the Statement of Investment Portfolio relate investments at fair value to total net assets of the Fund. 26

Clarica Segregated Funds

Clarica Segregated Funds Semi-Annual Financial Statement as at June 30, 2010 Clarica Segregated Funds managed by CI Investments Inc. issued by Sun Life Assurance Company of Canada A look inside Overview... 1 Equity Funds Clarica

More information

2009 Semi-Annual Financial Statement as at June 30, 2009

2009 Semi-Annual Financial Statement as at June 30, 2009 2009 Semi-Annual Financial Statement as at June 30, 2009 Clarica Segregated Funds managed by CI Investments Inc. issued by Sun Life Assurance Company of Canada A look inside Overview...1 Equity Funds Clarica

More information

Annual Financial Statement as at December 31, CI Segregated Funds. managed by CI Investments Inc. issued by Unity Life of Canada

Annual Financial Statement as at December 31, CI Segregated Funds. managed by CI Investments Inc. issued by Unity Life of Canada Annual Financial Statement as at December 31, 2010 CI Segregated Funds managed by CI Investments Inc. issued by Unity Life of Canada A look inside Overview... 1 Independent Auditor s Report... 2 Equity

More information

Annual Financial Statement as at December 31, Sun Life of Canada Fund A. issued by Sun Life Assurance Company of Canada

Annual Financial Statement as at December 31, Sun Life of Canada Fund A. issued by Sun Life Assurance Company of Canada Annual Financial Statement as at December 31, 2010 Sun Life of Canada Fund A managed by CI Investments Inc. issued by Sun Life Assurance Company of Canada A look inside Overview...1 Independent Auditor

More information

SunWise. managed by CI Investments Inc. issued by Sun Life Assurance Company of Canada

SunWise. managed by CI Investments Inc. issued by Sun Life Assurance Company of Canada SunWise II S E G R E G A T E D F U N D S 2008 Semi-Annual Financial Statements as at June 30, 2008 managed by CI Investments Inc. issued by Sun Life Assurance Company of Canada A look inside Overview...1

More information

Sun Life of Canada Fund A

Sun Life of Canada Fund A Sun Life of Canada Fund A 2008 Annual Financial Statements as at December 31, 2008 managed by CI Investments Inc. issued by Sun Life Assurance Company of Canada A look inside Overview...1 Auditors Report...2

More information

Sun Life of Canada Fund A

Sun Life of Canada Fund A Annual Financial Statements as at December 31, 2013 Sun Life of Canada Fund A issued by Sun Life Assurance Company of Canada A look inside Overview..............................................................

More information

Semi-Annual Financial Statements a s a t J u n e 3 0, CI Segregated Funds

Semi-Annual Financial Statements a s a t J u n e 3 0, CI Segregated Funds Semi-Annual Financial Statements a s a t J u n e 3 0, 2 0 1 4 CI Segregated Funds A look inside Overview... 1 Equity Funds CI Global Segregated Fund... 2 CI Global Value Segregated Fund... 10 CI Harbour

More information

Harbour Funds Annual Financial St atements as at March 31, 2008

Harbour Funds Annual Financial St atements as at March 31, 2008 Harbour Funds Annual Financial Statements as at March 31, 2008 A look inside Overview...1 Equity Funds Harbour Fund...2 Balanced Funds Harbour Growth & Income Fund...6 Notes to the Financial Statements...11

More information

Semi-Annual Financial Statement as at June 30, KBSH EAFE Equity Fund

Semi-Annual Financial Statement as at June 30, KBSH EAFE Equity Fund Semi-Annual Financial Statement as at June 30, 2013 KBSH EAFE Equity Fund KBSH EAFE Equity Fund Statement of Investment Portfolio as at June 30, 2013 (unaudited) Average Fair No. of Units Cost ($) Value

More information

as at September 30, 2006 Harbour Funds 2006 Semi-Annual Report

as at September 30, 2006 Harbour Funds 2006 Semi-Annual Report as at September 30, 2006 Harbour Funds 2006 Semi-Annual Report A look inside Overview...1 Equity Funds Harbour Fund...2 Balanced Funds Harbour Growth & Income Fund...6 Notes to the Financial Statements...10

More information

CI Segregated Funds Semi-Annual Financial Statements as at June 30, managed by CI Investments Inc. issued by Unity Life of Canada

CI Segregated Funds Semi-Annual Financial Statements as at June 30, managed by CI Investments Inc. issued by Unity Life of Canada CI Segregated Funds 2007 2007 SemiAnnual Financial Statements as at June 30, 2007 managed by CI Investments Inc. issued by Unity Life of Canada A look inside Overview...1 Equity Funds CI Global Segregated

More information

CI Segregated Funds. Annual Financial Statements as at December 31, managed by CI Investments Inc. issued by Unity Life of Canada

CI Segregated Funds. Annual Financial Statements as at December 31, managed by CI Investments Inc. issued by Unity Life of Canada CI Segregated Funds 2006 Annual Financial Statements as at December 31, 2006 managed by CI Investments Inc. issued by Unity Life of Canada A look inside Overview...1 Equity Funds CI Global Segregated Fund...2

More information

Semi-Annual Financial Statement as at September 30, CI Short-Term Advantage Trust

Semi-Annual Financial Statement as at September 30, CI Short-Term Advantage Trust Semi-Annual Financial Statement as at September 30, 2010 CI Short-Term Advantage Trust A look inside Overview... 1 About the CI Funds Board of Governors and Letter from the CI Funds Board of Governors...

More information

CI Guaranteed Investment Funds

CI Guaranteed Investment Funds CI Guaranteed Investment Funds 2006 Annual Financial Statements as at December 31, 2006 managed by CI Investments Inc. issued by Transamerica Life Canada A look inside Overview...1 Equity Funds CI American

More information

SUMMARY FACT STATEMENTS and FINANCIAL STATEMENTS As of December 31, 2008

SUMMARY FACT STATEMENTS and FINANCIAL STATEMENTS As of December 31, 2008 MAXIM TM, MENTOR, MAXIVU AND MAXINVEST SEGREGATED FUNDS SUMMARY FACT STATEMENTS and FINANCIAL STATEMENTS As of December 31, 2008 RBC Life Insurance Company 6880 Financial Drive, West Tower Mississauga,

More information

ScotiaFunds. Annual Report. December 31, 2017

ScotiaFunds. Annual Report. December 31, 2017 ScotiaFunds Annual Report December 31, 2017 1832 AM Canadian Dividend LP 1832 AM Canadian Growth LP 1832 AM Canadian Preferred Share LP 1832 AM Global Completion LP 1832 AM North American Preferred Share

More information

Segregated Funds Audited Financial Statements

Segregated Funds Audited Financial Statements Segregated Funds Audited Financial Statements December 31, LIFE Insurance Manulife Certificate The Manufacturers Life Insurance Company, referred to in this document as Manulife Financial, certifies that

More information

Segregated Funds Audited Financial Statements

Segregated Funds Audited Financial Statements Segregated Funds Audited Financial Statements December 31, 2010 Life Insurance Manulife Certificate The Manufacturers Life Insurance Company, referred to in this document as Manulife Financial, certifies

More information

Unaudited Interim Financial Statements of. Global Iman Fund. June 30, 2011

Unaudited Interim Financial Statements of. Global Iman Fund. June 30, 2011 Unaudited Interim Financial Statements of Global Iman Fund June 30, 2011 Toronto Ontario 29-Aug-11 Statement of Net Assets (unaudited) June 30, 2011 December 31, 2010 $ $ ASSETS Current assets Investments,

More information

FINANCIAL STATEMENTS and SUMMARY FACT STATEMENTS As of December 31, 2007

FINANCIAL STATEMENTS and SUMMARY FACT STATEMENTS As of December 31, 2007 MAXIM TM, MENTOR, MAXIVU AND MAXINVEST SEGREGATED FUNDS FINANCIAL STATEMENTS and SUMMARY FACT STATEMENTS As of December 31, 2007 RBC Life Insurance Company 6880 Financial Drive, West Tower Mississauga,

More information

DFA Canadian Core Equity Fund

DFA Canadian Core Equity Fund For the period ended June 30, 2017 The interim management report of fund performance contains financial highlights but does not contain either the interim financial statements or annual financial statements

More information

BONAVISTA FUNDS Annual Report

BONAVISTA FUNDS Annual Report BONAVISTA FUNDS 2013 Annual Report TABLE OF CONTENTS MANAGEMENT S RESPONSIBILITY FOR FINANCIAL REPORTING 1 INDEPENDENT AUDITOR S REPORT 2 BonaVista Canadian Equity Fund 3 BonaVista Fixed Income Fund 7

More information

Chief Financial Officer and Chief Operating Officer. August 14, 2013

Chief Financial Officer and Chief Operating Officer. August 14, 2013 Management s responsibility for financial reporting The accompanying financial statements have been prepared by RBC Global Asset Management Inc. ( RBC GAM ), as manager of the Phillips, Hager & North Investment

More information

Mulvihill Structured Products. Hybrid Income Funds. Semi-Annual Report Mulvihill Premium Split Share Fund. MCM Split Share Corp.

Mulvihill Structured Products. Hybrid Income Funds. Semi-Annual Report Mulvihill Premium Split Share Fund. MCM Split Share Corp. Mulvihill Structured Products Hybrid Income Funds l Semi-Annual Report 2004 MCM Split Share Corp. Message to Shareholders As of July 31, 2004, the net assets of the Fund were $79.6 million including Preferred

More information

Securities Lending. Collateral Type* ($000s) Organization of the Fund (note 1) x x

Securities Lending. Collateral Type* ($000s) Organization of the Fund (note 1) x x Interim Financial Reports (unaudited) for the period ended June 30, 2016 Statements of Financial Position (unaudited) (in 000s, ecept per unit amounts) As at June 30, 2016 and December 31, 2015 (note 1)

More information

Diversified Private Trust

Diversified Private Trust Financial Statements Diversified Private Trust June 30, 2015 S 0 2 E STATEMENTS OF FINANCIAL POSITION As at June 30, 2015 December 31, 2014 ASSETS Current assets Investments Non-derivative financial assets

More information

2012 Report to Members

2012 Report to Members HYDRO ONE PENSION PLAN 2012 Report to Members I NV E ST M E NT RE SULT S A ND DI SC USSI ON Table of contents 1 2 3 5 6 8 Introduction Investment approach 2012 in review Our pension fund: How it all works

More information

Clarica MVP Segregated Funds

Clarica MVP Segregated Funds Clarica MVP Segregated Funds 2006 Annual Financial Statements as at December 31, 2006 distributed by Clarica Financial Services Inc. managed by CI Investments Inc. issued by Sun Life Assurance Company

More information

Lakeview Disciplined Leadership Funds

Lakeview Disciplined Leadership Funds Lakeview Disciplined Leadership Funds Annual Financial Statements March 31, 2009 issued by Lakeview Asset Management A look inside Overview... 1 About the CI Funds Board of Governors and Letter from the

More information

Semi-Annual Financial Statement as at September 30, issued by Lakeview Asset Management

Semi-Annual Financial Statement as at September 30, issued by Lakeview Asset Management Semi-Annual Financial Statement as at September 30, 2012 issued by Lakeview Asset Management A look inside Overview.............................................................. 1 About the CI Funds Board

More information

Public Sector Pension Investment Board

Public Sector Pension Investment Board 46 Auditors Report To the Board of Directors of Public Sector Pension Investment Board We have audited the Balance Sheet and the Statement of Investment Portfolio of the Public Sector Pension Investment

More information

TD Global Low Volatility Class

TD Global Low Volatility Class TD Asset Management TD Global Low Volatility Class 533082 (08/18) TD Mutual Funds Corporate Class Funds for the period ended nmanagement s Responsibility for Financial Reporting The accompanying financial

More information

Semi-Annual Financial Statements for the period ended June 30, 2012

Semi-Annual Financial Statements for the period ended June 30, 2012 2012 Semi-Annual Financial Statements for the period ended June 30, 2012 Signature Diversified Value Trust Signature Ongoing Business Trust Table of Contents SIGNATURE DIVERSIFIED VALUE TRUST Financial

More information

Quick facts. Trading information (12 months ending June 29, 2018) Pricing information (12 months ending June 29, 2018) What does the ETF invest in?

Quick facts. Trading information (12 months ending June 29, 2018) Pricing information (12 months ending June 29, 2018) What does the ETF invest in? ETF Facts July 10, 2018 Horizons Enhanced Income Equity ETF (HEX) - Class E Units Manager: This document contains key information you should know about Horizons Enhanced Income Equity ETF. You can find

More information

Semi-Annual Financial Statements - June 30, 2017

Semi-Annual Financial Statements - June 30, 2017 CI Portfolios ivari CI Conservative Portfolio Table of Contents ivari CI Conservative Portfolio... 1 Notes to the Financial Statements (unaudited)... 9 Legal Notice... 13 CI Investments Inc., the Manager

More information

2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE

2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE MD Family of Funds 2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE DISCLOSURE This annual management report of fund performance contains financial highlights but does not contain the complete annual

More information

Semi-Annual Financial Statements

Semi-Annual Financial Statements Semi-Annual Financial Statements BMO Harris Private Portfolios June 30, 2012 BMO Harris Canadian Corporate Bond Portfolio STATEMENT OF NET ASSETS June 30, December 31, As at (in thousands of Canadian dollars,

More information

Annual Financial Statements. December 31, 2017

Annual Financial Statements. December 31, 2017 Annual Financial Statements December 31, 2017 Independent auditors report To the Unitholders of Genus Capital Management Strategic Diversified Portfolio Service: Genus Dividend Equity Fund Genus Fossil

More information

Signature Dividend Fund Management Report of Fund Performance for the year ended March 31, 2013

Signature Dividend Fund Management Report of Fund Performance for the year ended March 31, 2013 This annual management report of fund performance contains financial highlights but does not contain the complete annual financial statements of the investment fund. You can get a copy of the annual financial

More information

management report Independent Auditor s Report Strategic Beta Index ETF ANNUAL AUDITED FINANCIAL STATEMENTS March 31, 2018

management report Independent Auditor s Report Strategic Beta Index ETF ANNUAL AUDITED FINANCIAL STATEMENTS March 31, 2018 management report Management s Responsibility for Financial Reporting The accompanying financial statements have been prepared by Mackenzie Financial Corporation, as Manager of Mackenzie Maximum Diversification

More information

Harbour Growth & Income Fund

Harbour Growth & Income Fund This semi-annual management report of fund performance contains financial highlights but does not contain the complete semi-annual or annual financial statements of the investment fund. You can get a copy

More information

INTEGRA CONSERVATIVE ALLOCATION FUND

INTEGRA CONSERVATIVE ALLOCATION FUND Condensed Interim Financial Statements (unaudited) INTEGRA CONSERVATIVE ALLOCATION FUND NOTICE TO THE READER The enclosed semi-annual financial statements have not been reviewed by the external auditors

More information

Semi-Annual Financial Statements

Semi-Annual Financial Statements Semi-Annual Financial Statements BMO NESBITT BURNS CANADIAN STOCK SELECTION FUND BMO NESBITT BURNS JUNE 30, 2013 NOTICE OF NO AUDITOR REVIEW OF THE SEMI-ANNUAL FINANCIAL STATEMENTS BMO Nesbitt Burns Inc.,

More information

DIVIDEND FUND (GWLIM)

DIVIDEND FUND (GWLIM) CANADIAN DIVIDEND FUND Interim Unaudited Financial Statements For the Six-Month Period Ended September 30, 2016 These Interim Unaudited Financial Statements do not contain the Interim Management Report

More information

DIM Private Funds Annual Financial Statements

DIM Private Funds Annual Financial Statements DIM Private Funds Annual Financial Statements as at December 31, 2015 Discretionary portfolio management is offered by Desjardins Wealth Management, Private Wealth Management and is provided by Desjardins

More information

CI Investments announces fund mergers and other changes

CI Investments announces fund mergers and other changes 2 Queen Street East, Twentieth Floor Toronto, Ontario M5C 3G7 www.ci.com Telephone: 416-364-1145 Toll Free: 1-800-268-9374 Fax: 416 364-6299 May 28, 2012 CI Investments announces fund mergers and other

More information

BMO Mutual Funds 2014

BMO Mutual Funds 2014 BMO Mutual Funds 2014 Annual Financial Statements Independent Auditor's Report To the Unitholders and Trustee of: BMO Canadian Equity Fund (formerly BMO Equity Fund) BMO Canadian Small Cap Equity Fund

More information

Annual Financial Statements for the year ended December 31, 2011

Annual Financial Statements for the year ended December 31, 2011 2011 Annual Financial Statements for the year ended December 31, 2011 Convertible & Yield Advantage Trust Table of Contents Management s Responsibility for Financial Reporting................ 1 Independent

More information

Fidelity Dividend Fund

Fidelity Dividend Fund Fidelity Dividend Fund Annual Report June 30, 2017 Fidelity Dividend Fund Schedule of Investments June 30, 2017 Showing Percentage of Net Assets Attributable to Securityholders (Net Assets) Equities 61.0%

More information

Financial Statements and Independent Auditors Report The University of Texas System General Endowment Fund Years Ended August 31, 2015 and 2014

Financial Statements and Independent Auditors Report The University of Texas System General Endowment Fund Years Ended August 31, 2015 and 2014 Financial Statements and Independent Auditors Report The University of Texas System General Endowment Fund Years Ended August 31, 2015 and 2014 The University of Texas System General Endowment Fund Financial

More information

Annual Report December 31, 2017

Annual Report December 31, 2017 PIMCO Canada Corp. Annual Report December 31, 2017 PIMCO Canadian Short Term Bond Fund PIMCO Canadian Total Return Bond Fund PIMCO Monthly Income Fund (Canada) PIMCO Global Advantage Strategy Bond Fund

More information

INTEGRA BALANCED FUND

INTEGRA BALANCED FUND Condensed Interim Financial Statements (unaudited) INTEGRA BALANCED FUND NOTICE TO THE READER The enclosed semi-annual financial statements have not been reviewed by the external auditors of the Fund.

More information

Securities Lending. Collateral Type* ($000s) Organization of the Fund (note 1) x x

Securities Lending. Collateral Type* ($000s) Organization of the Fund (note 1) x x Annual Financial Statements for the financial year ended December 31, 2017 Statements of Financial Position (in 000s, ecept per unit amounts) As at December 31, 2017 and 2016 (note 1) Assets December 31,

More information

Transamerica CI Balanced Portfolio. Annual Financial Statement as at December 31, 2013

Transamerica CI Balanced Portfolio. Annual Financial Statement as at December 31, 2013 Transamerica CI Balanced Portfolio Annual Financial Statement as at December 31, 2013 Transamerica CI Portfolio Funds Independent Auditor s Report To the Unitholders of: Transamerica CI Conservative Portfolio

More information

Fidelity Dividend Investment Trust

Fidelity Dividend Investment Trust Fidelity Dividend Investment Trust Annual Management Report of Fund Performance June 30, 2017 Caution Regarding Forward-looking Statements Certain portions of this report, including, but not limited to,

More information

Monthly Performance Review

Monthly Performance Review Performance Review ScotiaMcLeod October 6, 2014 S&P/TSX Composite S&P 500 October 6, 2014 S&P/TSX Performance Review September 2014 ScotiaMcLeod S&P/TSX Performance Review September 2014 Commodity Prices

More information

RBC LIFE INSURANCE COMPANY FUNDS

RBC LIFE INSURANCE COMPANY FUNDS Audited Financial Statements of RBC LIFE INSURANCE COMPANY FUNDS December 31, 2014 and 2013 RBC LIFE INSURANCE COMPANY FUNDS Table of Contents December 31, 2014 and 2013 Page Financial Statements and Supplementary

More information

Fidelity Concentrated Canadian Equity Investment Trust

Fidelity Concentrated Canadian Equity Investment Trust Fidelity Concentrated Canadian Equity Investment Trust Annual Management Report of Fund Performance June 30, 2017 Caution Regarding Forward-looking Statements Certain portions of this report, including,

More information

Caldwell Mutual Funds

Caldwell Mutual Funds Caldwell Mutual Funds FINANCIAL STATEMENTS December 31, 2013 Caldwell Balanced Fund Caldwell Income Fund Caldwell High Income Equity Fund Collectively the Funds 150 King Street West, Suite 1702 P.O. Box

More information

MANAGEMENT S RESPONSIBILITY FOR FINANCIAL REPORTING

MANAGEMENT S RESPONSIBILITY FOR FINANCIAL REPORTING MANAGEMENT S RESPONSIBILITY FOR FINANCIAL REPORTING The accompanying financial statements have been prepared by RBC Global Asset Management Inc. ( RBC GAM ) as manager of the RBC GAM Investment Funds (the

More information

CI Canadian Growth Portfolio Annual Report as at December 31

CI Canadian Growth Portfolio Annual Report as at December 31 CI Canadian Growth Portfolio 2002 Annual Report as at December 31 A Message from the President The past three years have been the most challenging on global markets in 50 years. What makes this more unsettling

More information

MD Family of Funds 2015 INTERIM FINANCIAL STATEMENTS

MD Family of Funds 2015 INTERIM FINANCIAL STATEMENTS MD Family of Funds 2015 INTERIM FINANCIAL STATEMENTS A Message Regarding Your Financial Statements Dear MD Family of Funds Investor: As part of our commitment to keeping you informed about your MD Fund

More information

RBC LIFE INSURANCE COMPANY A AND B FUNDS

RBC LIFE INSURANCE COMPANY A AND B FUNDS Financial Statements of RBC LIFE INSURANCE COMPANY A AND B FUNDS December 31, 2014 and 2013 RBC LIFE INSURANCE COMPANY A AND B FUNDS Table of Contents December 31, 2014 and 2013 Page Financial Statements

More information

CWB Onyx Canadian Equity Fund

CWB Onyx Canadian Equity Fund CWB Onyx Canadian Equity Fund Semi-Annual Financial Statements June 30, 2018 Notice of Non review of Interim Financial Statements for the Six Months Ended June 30, 2018 The accompanying unaudited interim

More information

Please find enclosed the applicable Fund Facts documents for the mutual funds held in the CIBC IPRS Growth Portfolio (Non-Registered).

Please find enclosed the applicable Fund Facts documents for the mutual funds held in the CIBC IPRS Growth Portfolio (Non-Registered). CIBC 18 York Street, Suite 1300 Toronto, Ontario M5J 2T8 Please find enclosed the applicable Fund Facts documents for the mutual funds held in the CIBC IPRS Growth Portfolio (Non-Registered). CIBC Canadian

More information

Fidelity Balanced Income Currency Neutral Private Pool of the Fidelity Capital Structure Corp.

Fidelity Balanced Income Currency Neutral Private Pool of the Fidelity Capital Structure Corp. Fidelity Balanced Income Currency Neutral Private Pool of the Fidelity Capital Structure Corp. Semi-Annual Report May 31, 2017 Fidelity Balanced Income Currency Neutral Private Pool of the Fidelity Capital

More information

AUDITED ANNUAL FINANCIAL STATEMENTS EDUCATORS FINANCIAL GROUP INC.

AUDITED ANNUAL FINANCIAL STATEMENTS EDUCATORS FINANCIAL GROUP INC. AUDITED ANNUAL FINANCIAL STATEMENTS EDUCATORS FINANCIAL GROUP INC. EDUCATORS MONEY MARKET FUND EDUCATORS MORTGAGE & INCOME FUND EDUCATORS BOND FUND EDUCATORS BALANCED FUND EDUCATORS MONTHLY INCOME FUND

More information

SUN LIFE GLOBAL INVESTMENTS (CANADA) INC.

SUN LIFE GLOBAL INVESTMENTS (CANADA) INC. SUN LIFE GLOBAL INVESTMENTS (CANADA) INC. ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE for the financial year ended December 31, 2016 Sun Life MFS Canadian Equity Class This annual management report of

More information

CI Canadian Investment Fund

CI Canadian Investment Fund This annual management report of fund performance contains financial highlights but does not contain the complete annual financial statements of the investment fund. You can get a copy of the annual financial

More information

RBC CANADIAN DIVIDEND CLASS

RBC CANADIAN DIVIDEND CLASS CANADIAN EQUITY FUND Portfolio Manager RBC Global Asset Management Inc. ( RBC GAM ) The Board of Directors of RBC Corporate Class Inc. approved this interim management report of fund performance on November

More information

DFA Canadian Vector Equity Fund

DFA Canadian Vector Equity Fund For the period ended June 30, 2018 The interim management report of fund performance contains financial highlights but does not contain either the interim financial statements or annual financial statements

More information

FINANCIAL STATEMENTS AND NOTES TO THE FINANCIAL STATEMENTS

FINANCIAL STATEMENTS AND NOTES TO THE FINANCIAL STATEMENTS 20 FINANCIAL STATEMENTS AND NOTES TO THE FINANCIAL STATEMENTS MANAGEMENT S RESPONSIBILITY FOR FINANCIAL REPORTING The financial statements of the Public Sector Pension Investment Board ( PSP Investments

More information

Vanguard ETFs. Annual Financial Statements December 31, Contents

Vanguard ETFs. Annual Financial Statements December 31, Contents Annual Financial Statements December 31, 2017 Vanguard ETFs Contents Independent Auditor s Report 1 Vanguard Canadian Aggregate Bond Index ETF 2 Vanguard Canadian Corporate Bond Index ETF 18 Vanguard Canadian

More information

ICL GLOBAL EQUITY FUND

ICL GLOBAL EQUITY FUND Condensed Interim Financial Statements (unaudited) ICL GLOBAL EQUITY FUND NOTICE TO THE READER The enclosed semi-annual financial statements have not been reviewed by the external auditors of the Fund.

More information

Semi-Annual Financial Statement as at September 30, issued by Lakeview Asset Management

Semi-Annual Financial Statement as at September 30, issued by Lakeview Asset Management Semi-Annual Financial Statement as at September 30, 2010 issued by Lakeview Asset Management A look inside Overview... 1 About the CI Funds Board of Governors and Letter from the CI Funds Board of Governors...

More information

27MAR Annual Report. to Unitholders

27MAR Annual Report. to Unitholders Annual Report to Unitholders December 31, 2013 REPORT TO UNITHOLDERS The following presents the financial results of Anchor Managed Funds (the Funds ) for the year ended December 31, 2013 and the comparative

More information

CIBC Mutual Funds CIBC Family of Managed Portfolios. Interim Financial Statements June 30, 2006

CIBC Mutual Funds CIBC Family of Managed Portfolios. Interim Financial Statements June 30, 2006 CIBC Mutual Funds CIBC Family of Managed Portfolios Interim Financial Statements June 30, 2006 All of the CIBC Mutual Funds (except for CIBC Canadian T-Bill Fund, CIBC Premium Canadian T-Bill Fund, CIBC

More information

Annual Financial Statements

Annual Financial Statements Annual Financial Statements BMO Harris Private Portfolios Independent Auditor s Report To the Unitholders of: BMO Harris Canadian Money Market Portfolio BMO Harris Canadian Special Growth Portfolio BMO

More information

Semi-Annual Financial Statements

Semi-Annual Financial Statements Semi-Annual Financial Statements BMO Private Portfolios June 30, 2015 BMO Private Canadian Short-Term Bond Portfolio (formerly BMO Harris Canadian Short-Term Bond Portfolio) NOTICE OF NO AUDITOR REVIEW

More information

Scotia Canadian Index Fund

Scotia Canadian Index Fund Scotia Canadian Index Fund Annual Management Report of Fund Performance For the period ended December 31, 2017 This annual management report of fund performance contains financial highlights but does not

More information

CIBC Mutual Funds CIBC Family of Managed Portfolios. Annual Report 2005

CIBC Mutual Funds CIBC Family of Managed Portfolios. Annual Report 2005 CIBC Mutual Funds CIBC Family of Managed Portfolios Annual Report 2005 Inside This Report FINANCIAL STATEMENTS CIBC MUTUAL FUNDS CIBC FAMILY OF MANAGED PORTFOLIOS CIBC Savings Funds CIBC Managed Portfolios

More information

MANAGEMENT S RESPONSIBILITY FOR FINANCIAL REPORTING

MANAGEMENT S RESPONSIBILITY FOR FINANCIAL REPORTING MANAGEMENT S RESPONSIBILITY FOR FINANCIAL REPORTING The accompanying financial statements have been prepared by RBC Global Asset Management Inc. ( RBC GAM ) as manager of the RBC Corporate Class Funds

More information

2018 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE

2018 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE DECEMBER 31, 2018 2018 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE This annual management report of fund performance contains financial highlights but does not contain either semi-annual or annual financial

More information

Economic Investment Trust Limited

Economic Investment Trust Limited THIRD QUARTER REPORT SEPTEMBER 30, 2018 THE PERIOD AT A GLANCE (Unaudited) As at Sept. 30 As at Dec. 31 2018 2017 Net equity value per Common Share 1 $ 153.63 $ 151.98 Net assets 2 $ 862,713 $ 853,474

More information

BMO Mutual Funds 2015

BMO Mutual Funds 2015 BMO Mutual Funds 2015 Semi-Annual Financial Statements NOTICE OF NO AUDITOR REVIEW OF THE SEMI-ANNUAL FINANCIAL STATEMENTS BMO Investments Inc., the Manager of the Fund, appoints independent auditors to

More information

Annual Financial Statements as at December 31, 2016

Annual Financial Statements as at December 31, 2016 Annual Financial Statements as at December 31, 2016 CI Portfolios ivari CI Maximum Growth Portfolio Table of Contents Independent Auditor s Report... 1 ivari CI Maximum Growth Portfolio... 2 Notes to the

More information

Semi-Annual Financial Statements

Semi-Annual Financial Statements Semi-Annual Financial Statements BMO Private Portfolios (formerly BMO Harris Canadian Growth Equity Portfolio) NOTICE OF NO AUDITOR REVIEW OF THE SEMI-ANNUAL FINANCIAL STATEMENTS BMO Private Investment

More information

CANADIAN GROWTH FUND (GWLIM)

CANADIAN GROWTH FUND (GWLIM) Interim Management Report of Fund Performance For the Six-Month Period Ended September 30, This Interim Management Report of Fund Performance contains financial highlights but does not contain either the

More information

Semi-Annual Financial Statements

Semi-Annual Financial Statements Semi-Annual Financial Statements BMO Private Portfolios June 30, 2017 BMO Private Canadian Short-Term Bond Portfolio NOTICE OF NO AUDITOR REVIEW OF THE SEMI-ANNUAL FINANCIAL STATEMENTS BMO Private Investment

More information

Condensed Interim Financial Statements (unaudited)

Condensed Interim Financial Statements (unaudited) Condensed Interim Financial Statements (unaudited) NOTICE TO THE READER The enclosed semi-annual financial statements have not been reviewed by the external auditors of the Fund. Statements of Financial

More information

FINANCIAL STATEMENTS and SUMMARY FACT STATEMENTS As of December 31, 2006

FINANCIAL STATEMENTS and SUMMARY FACT STATEMENTS As of December 31, 2006 MAXIM TM, MENTOR, MAXIVU AND MAXINVEST SEGREGATED FUNDS FINANCIAL STATEMENTS and SUMMARY FACT STATEMENTS As of December 31, 2006 RBC Life Insurance Company 6880 Financial Drive, West Tower Mississauga,

More information

DIVIDEND FUND (GWLIM)

DIVIDEND FUND (GWLIM) Interim Management Report of Fund Performance For the Six-Month Period Ended September 30, This Interim Management Report of Fund Performance contains financial highlights but does not contain either the

More information

Harmony Canadian Equity Pool

Harmony Canadian Equity Pool INTERIM MANAGEMENT REPORT OF FUND PERFORMANCE Harmony Canadian Equity Pool MARCH 31, Management Discussion of Fund Performance This management discussion of fund performance represents the portfolio management

More information

Financial Statements of THE GREAT-WEST LIFE ASSURANCE COMPANY IG/GWL INVESTMENT FUNDS

Financial Statements of THE GREAT-WEST LIFE ASSURANCE COMPANY IG/GWL INVESTMENT FUNDS Financial Statements of THE GREATWEST LIFE ASSURANCE COMPANY IG/GWL INVESTMENT FUNDS December 31, 2015 Deloitte LLP 360 Main Street Suite 2300 Winnipeg MB R3C 3Z3 Canada INDEPENDENT AUDITOR S REPORT Tel:

More information

Financial Statements and Independent Auditors Report Permanent University Fund. Years Ended August 31, 2015 and 2014

Financial Statements and Independent Auditors Report Permanent University Fund. Years Ended August 31, 2015 and 2014 Financial Statements and Independent Auditors Report Permanent University Fund Years Ended August 31, 2015 and 2014 Permanent University Fund Financial Statements Years Ended August 31, 2015 and 2014 Contents

More information

Securities Lending. Collateral Type* ($000s) Organization of the Fund (note 1) x x

Securities Lending. Collateral Type* ($000s) Organization of the Fund (note 1) x x Annual Financial Statements for the financial year ended December 31, 2015 Statements of Financial Position (in 000s, ecept per unit amounts) As at December 31, 2015 and 2014 (note 1) Assets December 31,

More information

10AUG Semi-Annual Report. to Unitholders

10AUG Semi-Annual Report. to Unitholders 10AUG201217330279 Semi-Annual Report to Unitholders June 30, 2016 10AUG201217330279 Notice: The unaudited interim condensed financial statements of the Trust have been prepared by and are the responsibility

More information

THE UNIVERSITY OF MANITOBA PENSION PLAN (1993) Auditor s Report and Financial Statements For the year ended December 31, 2012

THE UNIVERSITY OF MANITOBA PENSION PLAN (1993) Auditor s Report and Financial Statements For the year ended December 31, 2012 Auditor s Report and Financial Statements For the year ended The University of Manitoba Pension Plan (1993) Statement of Financial Position As at ($ thousands) 2012 2011 ASSETS Investments (Note 3) $

More information

UNIVERSITY OF TORONTO PENSION PLAN FINANCIAL STATEMENTS JUNE 30, 2016

UNIVERSITY OF TORONTO PENSION PLAN FINANCIAL STATEMENTS JUNE 30, 2016 UNIVERSITY OF TORONTO PENSION PLAN FINANCIAL STATEMENTS JUNE 30, 2016 INDEPENDENT AUDITORS' REPORT To the Administrator of the University of Toronto Pension Plan We have audited the accompanying financial

More information