Imperial Short-Term Bond Pool. Interim Management Report of Fund Performance

Size: px
Start display at page:

Download "Imperial Short-Term Bond Pool. Interim Management Report of Fund Performance"

Transcription

1 Imperia Short-Term Bond Poo Interim Management Report of Fund Performance for the period ended June 30, 2017 A figures are reported in Canadian doars uness otherwise noted This interim management report of fund performance contains financia highights but does not contain either the compete interim or annua financia statements of the investment fund If you have not received a copy of the interim financia reports with this interim management report of fund performance, you can get a copy of the interim or annua financia statements at your request, and at no cost, by caing us to-free at , by writing to us at CIBC, 18 York Street, Suite 1300, Toronto, Ontario, M5J 2T8, or by visiting wwwcibccom/mutuafunds or the SEDAR website at wwwsedarcom Unithoders may aso contact us using one of these methods to request a copy of the investment fund s proy voting poicies and procedures, proy voting discosure record, or quartery portfoio discosure Management Discussion of Fund Performance Resuts of Operations The portfoio advisor of Imperia Short-Term Bond Poo (the Poo)is CIBC Asset Management Inc (CAMI or the Portfoio Advisor) The commentary that foows provides a summary of the resuts of operations for the si-month period ended June 30, 2017 A doar figures are epressed in thousands, uness otherwise indicated The Poo's net asset vaue decreased by 3% during the period, from $9,416,903 as at December 31, 2016 to $9,137,260 as at June 30, 2017 Net redemptions of $317,208 were partiay offset by positive investment performance, resuting in an overa decrease in net asset vaue Cass A units of the Poo posted a return of 05% for the period The Poo s benchmark, the FTSE TMX Canada Short Term Bond Inde (the benchmark), returned 02% for the same period The Poo s return is after the deduction of fees and epenses, unike the benchmark Bond yieds decined for most of the period as it appeared that US economic growth woud sow and that the US administration woud face significant obstaces in its attempts to impement poicy changes Canada s economy eceeded epectations, with strong growth in jobs, retai saes and both imports and eports The period ended with higher yieds, however, as the Bank of Canada and other centra banks indicated their pans to consider raising interest rates or begin to taper their bond purchase programs in the second haf of 2017 Athough bond yieds rose over the period, corporate bonds outperformed as investors sought higher-yieding aternatives to federa bonds The Poo s significant overweight aocations to corporate and municipa bonds contributed to performance as these sectors outperformed federa bonds Individua contributors to performance incuded Bank of Montrea (332%, 2026/06/01) and TELUS Corp (235%, 2022/03/28) Bank bonds outperformed, especiay new non-viabe contingent capita bonds, as did teecommunication services bonds, as a resut of strong resuts and higher voatiity The Poo s significant underweight aocation to provincia bonds detracted from performance as provincia bonds outperformed federa bonds Individua detractors incuded Canada Housing Trust No 1 (410%, 2018/12/15), as short-term yieds rose modesty and short-term federa bonds underperformed The Portfoio Advisor added severa new hodings to the Poo, a of which increased the yied of the portfoio EisDon Infrastructure GMCH Inc (200%, 2020/06/09), a private debt security, aso increased diversification To increase the Poo s duration (sensitivity to changing interest rates), Enbridge Inc (319%, 2022/12/05) repaced Doarama Inc (310%, 2018/11/05), and Ford Credit Canada Ltd (277%, 2022/06/22) repaced Ford Credit Canada Ltd (294%, 2019/02/19) Canada Housing Trust No 1 (145%, 2020/06/15) repaced Canada Housing Trust No 1 (375%, 2020/03/15) A hoding in Canada Housing Trust No 1 (265%, 2022/03/15) was increased to adjust duration Greater Toronto Airports Authority (526%, 2018/04/17) was eiminated from the Poo as its maturity was getting very short, and the bond spread was narrow and epensive reative to peers The hoding in Rogers Communications Inc (280%, 2019/03/13) was reduced to increase the credit quaity of the portfoio Recent Deveopments Effective Apri 27, 2017, the composition of the Independent Review Committee (IRC) changed Tim Kennish and Wiiam Thornhi resigned as members of the IRC and Susan Sima and Bryan Houston were appointed as members of the IRC Reated Party Transactions Canadian Imperia Bank of Commerce (CIBC) and its affiiates have the foowing roes and responsibiities with respect to the Poo, and receive the fees described beow in connection with their roes and responsibiities

2 Imperia Short-Term Bond Poo Manager CIBC is the Manager of the Poo CIBC receives management fees with respect to the day-to-day business and operations of the Poo The Poo pays the Manager a maimum annua management fee rate of 025% of the net asset vaue of the Poo, as described in the section entited Management Fees Trustee CIBC Trust Corporation (CIBC Trust), a whoy-owned subsidiary of CIBC, is the trustee (the Trustee) of the Poo The Trustee hods tite to the property (cash and securities) of the Poo on behaf of its unithoders Portfoio Advisor The portfoio advisor provides, or arranges to provide, investment advice and portfoio management services to the Poo CAMI, a whoy-owned subsidiary of CIBC, is the portfoio advisor of the Poo Discretionary Managers As at the date of this report, units of the Poo are offered through discretionary investment management services provided by certain subsidiaries of CIBC (coectivey, the Discretionary Managers) The Discretionary Managers may incude CIBC Trust and CAMI The Discretionary Managers arrange to purchase, switch, and redeem units of the Poo on behaf of their cients who have entered into discretionary investment management agreements with one of the Discretionary Managers The Discretionary Managers are the registered unithoders of the Poos for the purposes of receiving a unithoder materias and having the right to vote a proies with respect to units of the Poo Units of the Poo are aso offered to investors in connection with certain products offered by affiiated deaers pursuant to the terms of the account agreements governing such products There are no compensation arrangements with these deaers in respect of the sae of units of the Poo However, CIBC Trust receives fees from its cients for offering discretionary management services and, from these fees, CIBC Trust may pay affiiated deaers and other CIBC members for services provided in connection with the cient s discretionary investment managed account, which may hod units of the Poo CIBC receives fees from CIBC Trust for the services of CIBC advisors that assist investors with opening discretionary investment management accounts where CIBC Trust acts as the Discretionary Manager and for acting as the investors ongoing reationship manager CIBC is responsibe for the remuneration of the CIBC advisors and may pay the CIBC advisors out of such fees Further detais of the arrangement between CIBC and CIBC Trust may be found in the discretionary investment management agreement between CIBC Trust and investors CAMI receives fees from their cients for offering discretionary investment managed accounts, which may hod units of the Poo, and may pay a portion of such fees to their investment counseors Brokerage Arrangements and Soft Doars The Portfoio Advisor makes decisions, incuding the seection of markets and deaers and the negotiation of commissions, with respect to the purchase and sae of portfoio securities, certain derivative products and the eecution of portfoio transactions Brokerage business may be aocated by the Portfoio Advisor to CIBC Word Markets Inc (CIBC WM) and CIBC Word Markets Corp, each a subsidiary of CIBC CIBC WM and CIBC Word Markets Corp may aso earn spreads on the sae of fied income and other securities and certain derivative products to the Poo A spread is the difference between the bid and ask prices for a security in the appicabe marketpace, with respect to the eecution of portfoio transactions The spread wi differ based upon various factors such as the type and iquidity of the security Deaers, incuding CIBC WM and CIBC Word Markets Corp, may furnish goods and services other than order eecution to the Portfoio Advisor in partia echange for processing trades through them (referred to in the industry as soft doar arrangements) These goods and services are paid for with a portion of the brokerage commissions and assist the Portfoio Advisor with investment decision-making services for the Poo or reate directy to the eecution of portfoio transactions on behaf of the Poo In addition, CIBC may enter into commission recapture arrangements with certain deaers with respect to the Poo Any commission recaptured wi be paid to the Poo During the period, the Poo did not pay any brokerage commissions or other fees to CIBC WM or CIBC Word Markets Corp Spreads associated with fied income and other securities are not ascertainabe and, for that reason, cannot be incuded when determining these amounts Poo Transactions The Poo may enter into one or more of the foowing transactions (the Reated Party Transactions) in reiance on the standing instructions issued by the IRC: invest in or hod equity securities of CIBC or issuers reated to a portfoio sub-advisor; invest in or hod non-echange-traded debt securities of CIBC or an issuer reated to CIBC in a primary offering and in the secondary market; invest in or hod debt securities of CIBC or issuers reated to a portfoio sub-advisor purchased in the secondary market; make an investment in the securities of an issuer for which CIBC WM, CIBC Word Markets Corp, or any affiiate of CIBC (a Reated Deaer) acts as an underwriter during the offering of the securities at any time during the 60-day period foowing the competion of the offering of such securities (in the case of a private pacement offering, in accordance with the eemptive reief order granted by the Canadian securities reguatory authorities and in accordance with the poicies and procedures reating to such investment); 2

3 Imperia Short-Term Bond Poo purchase equity or debt securities from or se them to a Reated Deaer, where it is acting as principa; undertake currency and currency derivative transactions where a Reated Deaer is the counterparty; and purchase securities from or se securities to another investment fund or a managed account managed by the Manager or an affiiate of the Manager At east annuay, the IRC reviews the Reated Party Transactions for which they have issued standing instructions The IRC is required to advise the Canadian securities reguatory authorities, after a matter has been referred or reported to the IRC by the Manager, if it determines that an investment decision was not made in accordance with conditions of its approva Custodian CIBC Meon Trust Company is the custodian of the Poo (the Custodian) The Custodian hods a cash and securities for the Poo and ensures that those assets are kept separate from any other cash or securities that the Custodian might be hoding The Custodian aso provides other services to the Poo incuding record-keeping and processing of foreign echange transactions The Custodian may hire sub-custodians for the Poo The fees and spreads for services of the Custodian directy reated to the eecution of portfoio transactions by the Poo are paid by CAMI and/or deaer(s) directed by CAMI, up to the amount of the credits generated under soft doar arrangements from trading on behaf of the Poo during that month A other fees and spreads for the services of the Custodian are paid by the Manager and charged to the Poo on a recoverabe basis CIBC owns a 50% interest in the Custodian Service Provider CIBC Meon Goba Securities Services Company (CIBC GSS) provides certain services to the Poo, incuding securities ending, fund accounting and reporting, and portfoio vauation Such servicing fees are paid by the Manager and charged to the Poo on a recoverabe basis CIBC indirecty owns a 50% interest in CIBC GSS 3

4 Imperia Short-Term Bond Poo Financia Highights The foowing tabes show seected key financia information about the Poo and are intended to hep you understand the Poo s financia performance for the period ended June 30, 2017 and December 31 of any other period(s) shown The Poo's Net Assets per Unit¹ - Cass A Units Net Assets, beginning of period $ 1031 $ 1043 $ 1046 $ 1041 $ 1051 $ 1056 Increase (decrease) from operations: Tota revenue $ 013 $ 027 $ 030 $ 031 $ 031 $ 037 Tota epenses (001) (001) (001) (001) (001) (001) Reaized gains (osses) for the period (003) (003) (002) (002) (003) (001) Unreaized gains (osses) for the period (005) (009) (001) 007 (007) (005) Tota increase (decrease) from operations 2 $ 004 $ 014 $ 026 $ 035 $ 020 $ 030 Distributions: From income (ecuding dividends) $ 014 $ 026 $ 028 $ 029 $ 030 $ 036 From dividends From capita gains Return of capita Tota Distributions 3 $ 014 $ 026 $ 028 $ 029 $ 030 $ 036 Net Assets, end of period $ 1023 $ 1031 $ 1043 $ 1046 $ 1041 $ This information is derived from the Poo's audited annua and unaudited interim financia statements The Poo adopted Internationa Financia Reporting Standards (IFRS) on January 1, 2014 Previousy, the Poo prepared its financia statements in accordance with Canadian Generay Accepted Accounting Principes (GAAP) as defined in Part V of the CPA Canada Handbook Under Canadian GAAP, the Poo measured fair vaues of its investments in accordance with CICA Handbook Section 3855 which required the use of bid prices for ong positions and ask prices for short positions As such, the net assets per unit figure presented in the financia statements may differ from the net asset vaue cacuated for fund pricing purposes An epanation of these differences can be found in the notes to the financia statements issued prior to January 1, 2014 Upon adoption of IFRS, the Poo measures the fair vaue of its investments by using the cose market prices, where the cose market price fas within the bid-ask spread As such, the Poo's accounting poicies for measuring the fair vaue of investments in the financia statements are consistent with those used in measuring the net asset vaue for transactions with unithoders Accordingy, the opening net asset figure as at January 1, 2013 was restated to refect accounting poicy adjustments made in accordance with IFRS A figures presented for periods prior to January 1, 2013 were prepared in accordance with Canadian GAAP and subsequent thereto were prepared in accordance with IFRS 2 Net assets and distributions are based on the actua number of units outstanding at the reevant time The tota increase (decrease) from operations is based on the weighted average number of units outstanding during the period 3 Distributions were paid in cash, reinvested in additiona units of the Poo, or both Ratios and Suppementa Data - Cass A Units Tota Net Asset Vaue (000s) 4 $ 9,137,260 $ 9,416,903 $ 8,756,786 $ 8,159,872 $ 6,634,904 $ 5,486,995 Number of Units Outstanding 4 893,448, ,971, ,279, ,332, ,483, ,046,483 Management Epense Ratio 5 011%* 011% 011% 011% 009% 009% Management Epense Ratio before waivers or absorptions 6 031%* 032% 032% 032% 033% 033% Trading Epense Ratio 7 000%* 000% 000% 000% 000% 000% Portfoio Turnover Rate % 3572% 5454% 5154% 7060% 3215% Net Asset Vaue per Unit $ 1023 $ 1031 $ 1043 $ 1046 $ 1041 $ 1051 * Ratio has been annuaized 4 This information is presented as at June 30, 2017 and December 31 of the period(s) shown 5 Management epense ratio is based on the tota epenses of the poo (ecuding commissions and other portfoio transaction costs), incurred by or aocated to a cass of units for the period shown, epressed as an annuaized percentage of the daiy average net asset vaue of that cass during the period 6 The decision to waive and/or absorb management fees and operating epenses is at the discretion of the Manager The practice of waiving and/or absorbing management fees and operating epenses may continue indefinitey or may be terminated at any time without notice to unithoders 7 The trading epense ratio represents tota commissions and other portfoio transaction costs before income taes epressed as an annuaized percentage of the daiy average net asset vaue during the period Spreads associated with fied income securities trading are not ascertainabe and, for that reason, are not incuded in the trading epense ratio cacuation 8 The portfoio turnover rate indicates how activey the portfoio advisor and/or portfoio sub-advisor manages the portfoio investmentsa portfoio turnover rate of 100% is equivaent to a fund buying and seing a of the securities in its portfoio once in the course of the period The higher a portfoio turnover rate in a period, the greater the trading costs payabe by a fund in the period, and the greater the chance of an investor receiving taabe capita gains in the year There is not necessariy a reationship between a high turnover rate and the performance of a fund 4

5 Imperia Short-Term Bond Poo Management Fees The Poo, either directy or indirecty, pays an annua management fee to CIBC to cover the costs of managing the Poo Management fees are based on the net asset vaue of the Poo and are cacuated daiy and paid monthy Management fees are paid to CIBC in consideration for providing, or arranging for the provision of, management, distribution, and portfoio advisory services Advertising and promotiona epenses, office overhead epenses, traiing commissions, and the fees of the portfoio sub-advisor(s) are paid by CIBC out of the management fees received from the Poo The Poo is required to pay appicabe taes on the management fees paid to CIBC Refer to the Simpified Prospectus for the maimum annua management fee rate For the period ended June 30, 2017, 100% of the management fees coected from the Poo was attributabe to genera administration, investment advice, and profit Past Performance The performance data provided assumes reinvestment of distributions ony and does not take into account saes, redemption, distribution, or other optiona charges payabe by any unithoder that woud have reduced returns Past performance does not necessariy indicate how a fund wi perform in the future The Poo s returns are after the deduction of fees and epenses See the section entited Financia Highights for the management epense ratio Year-by-Year Returns The bar chart shows the annua performance of the Poo for each of the periods shown, and iustrates how the performance has changed from period to period The bar chart shows, in percentage terms, how an investment made on January 1 woud have increased or decreased by December 31, uness otherwise indicated Cass A Units 120% 90% 83% 60% 30% 00% 49% 42% 36% 33% 33% 29% 25% 20% 14% 05% a a 2017 return is for the period from January 1, 2017 to June 30,

6 Imperia Short-Term Bond Poo Summary of Investment Portfoio (as at June 30, 2017) The summary of investment portfoio may change due to ongoing portfoio transactions of the investment fund A quartery update is avaiabe by visiting wwwcibccom/mutuafunds The Top Positions tabe shows a fund s 25 argest positions For funds with fewer than 25 positions in tota, a positions are shown Cash and cash equivaents are shown in tota as one position % of Net Asset Portfoio Breakdown Vaue Corporate Bonds 443 Government of Canada & Guaranteed Bonds 340 Foreign Currency Bonds 59 Provincia Government & Guaranteed Bonds 58 Municipa Government & Guaranteed Bonds 45 Mortgage-Backed Securities 34 Cash & Cash Equivaents 19 Forward & Spot Contracts 01 Other Assets, ess Liabiities 01 % of Net Asset Top Positions Vaue Canada Housing Trust No 1, 195%, 2019/06/15 41 Government of Canada, 150%, 2020/03/01 36 Canada Housing Trust No 1, Series '66', 145%, 2020/06/15 32 Canada Housing Trust No 1, Series '23', 410%, 2018/12/15 31 Canada Housing Trust No 1, 125%, 2020/12/15 29 Canada Housing Trust No 1, 200%, 2019/12/15 26 Canada Housing Trust No 1, Series '48', 240%, 2022/12/15 23 Cash & Cash Equivaents 19 Canada Housing Trust No 1, Series '71', 125%, 2021/06/15 19 Genesis Trust II, Cass 'A', Series '2014-1', 243%, 2019/05/15 17 Roya Bank of Canada, 200%, 2022/03/21 15 Toronto-Dominion Bank (The), 245%, 2019/04/02 15 Government of Canada, 175%, 2019/09/01 15 Canada Housing Trust No 1, Series '56', 235%, 2018/12/15 15 Canada Housing Trust No 1, 205%, 2018/06/15 14 Wes Fargo & Co, 222%, 2021/03/15 13 Hydro-Québec, Series '68', 100%, 2019/05/25 13 Canada Housing Trust No 1, 265%, 2022/03/15 13 TELUS Corp, Caabe, 235%, 2022/03/28 13 Fortified Trust, Series '16-1', 167%, 2021/07/23 12 EisDon Infrastructure GMCH Inc, Caabe, 200%, 2020/06/09 12 City of Montrea, 545%, 2019/12/01 11 Anheuser-Busch InBev Finance Inc, Caabe, 238%, 2018/01/25 10 Master Credit Card Trust II, Series '13-4', 272%, 2018/11/21 10 Municipa Finance Authority of British Coumbia, 165%, 2021/04/

7 The management report of fund performance may contain forward-ooking statements Forward-ooking statements incude statements that are predictive in nature, that depend upon or refer to future events or conditions, or that incude words such as epects, anticipates, intends, pans, beieves, estimates, or other simiar wording In addition, any statements that may be made concerning future performance, strategies, or prospects and possibe future actions taken by the fund, are aso forward-ooking statements These statements invove known and unknown risks, uncertainties, and other factors that may cause the actua resuts and achievements of the fund to differ materiay from those epressed or impied by such statements Such factors incude, but are not imited to: genera economic, market, and business conditions; fuctuations in securities prices, interest rates, and foreign currency echange rates; changes in government reguations; and catastrophic events We do not undertake, and specificay discaim, any obigation to update or revise any forward-ooking statements, whether as a resut of new information, future deveopments, or otherwise prior to the reease of the net management report of fund performance

8 Imperia Poos CIBC 18 York Street, Suite 1300 Toronto, Ontario M5J 2T Website wwwcibccom/mutuafunds

Imperial Money Market Pool. Annual Management Report of Fund Performance

Imperial Money Market Pool. Annual Management Report of Fund Performance Imperia Money Market Poo Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management report

More information

CIBC U.S. Dollar Money Market Fund. Annual Management Report of Fund Performance

CIBC U.S. Dollar Money Market Fund. Annual Management Report of Fund Performance CIBC US Doar Money Market Fund Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in US doars uness otherwise noted This annua management report

More information

CIBC Global Bond Index Fund. Annual Management Report of Fund Performance

CIBC Global Bond Index Fund. Annual Management Report of Fund Performance CIBC Goba Bond Inde Fund Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management report

More information

Imperial Equity High Income Pool. Interim Management Report of Fund Performance

Imperial Equity High Income Pool. Interim Management Report of Fund Performance Imperia Equity High Income Poo Interim Management Report of Fund Performance for the period ended June 30, 2017 A figures are reported in Canadian doars uness otherwise noted This interim management report

More information

Imperial Canadian Bond Pool. Annual Management Report of Fund Performance

Imperial Canadian Bond Pool. Annual Management Report of Fund Performance Imperia Canadian Bond Poo Annua Management Report of Fund Performance for the financia year ended December 31, 2016 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

CIBC Canadian Bond Fund. Annual Management Report of Fund Performance

CIBC Canadian Bond Fund. Annual Management Report of Fund Performance CIBC Canadian Bond Fund Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management report

More information

Imperial Canadian Bond Pool. Interim Management Report of Fund Performance

Imperial Canadian Bond Pool. Interim Management Report of Fund Performance Imperia Canadian Bond Poo Interim Management Report of Fund Performance for the period ended June 30, 2016 A figures are reported in Canadian doars uness otherwise noted This interim management report

More information

CIBC Managed Income Portfolio. Annual Management Report of Fund Performance

CIBC Managed Income Portfolio. Annual Management Report of Fund Performance CIBC Managed Income Portfoio Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

CIBC Canadian Equity Fund. Interim Management Report of Fund Performance

CIBC Canadian Equity Fund. Interim Management Report of Fund Performance Interim Management Report of Fund Performance for the period ended June 30, 2017 A figures are reported in Canadian doars uness otherwise noted This interim management report of fund performance contains

More information

CIBC Managed Aggressive Growth Portfolio. Annual Management Report of Fund Performance

CIBC Managed Aggressive Growth Portfolio. Annual Management Report of Fund Performance CIBC Managed Aggressive Growth Portfoio Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua

More information

CIBC Asia Pacific Fund. Interim Management Report of Fund Performance

CIBC Asia Pacific Fund. Interim Management Report of Fund Performance CIBC Asia Pacific Fund Interim Management Report of Fund Performance for the period ended June 30, 2017 A figures are reported in Canadian doars uness otherwise noted This interim management report of

More information

CIBC Global Equity Fund. Annual Management Report of Fund Performance

CIBC Global Equity Fund. Annual Management Report of Fund Performance CIBC Goba Equity Fund Annua Management Report of Fund Performance for the financia year ended December 31, 2017 A figures are reported in Canadian doars uness otherwise noted This annua management report

More information

Imperial Canadian Diversified Income Pool. Annual Management Report of Fund Performance

Imperial Canadian Diversified Income Pool. Annual Management Report of Fund Performance Imperia Canadian Diversified Income Poo Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua

More information

CIBC Global Equity Fund. Annual Management Report of Fund Performance

CIBC Global Equity Fund. Annual Management Report of Fund Performance CIBC Goba Equity Fund Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management report

More information

CIBC Global Bond Fund. Annual Management Report of Fund Performance

CIBC Global Bond Fund. Annual Management Report of Fund Performance CIBC Goba Bond Fund Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management report

More information

CIBC Canadian Real Estate Fund. Annual Management Report of Fund Performance

CIBC Canadian Real Estate Fund. Annual Management Report of Fund Performance CIBC Canadian Rea Estate Fund Annua Management Report of Fund Performance for the financia year ended December 31, 2017 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

CIBC Global Technology Fund. Annual Management Report of Fund Performance

CIBC Global Technology Fund. Annual Management Report of Fund Performance CIBC Goba Technoogy Fund Annua Management Report of Fund Performance for the financia year ended December 31, 2017 A figures are reported in Canadian doars uness otherwise noted This annua management report

More information

CIBC Canadian Equity Fund. Annual Management Report of Fund Performance

CIBC Canadian Equity Fund. Annual Management Report of Fund Performance CIBC Canadian Equity Fund Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

CIBC Emerging Markets Fund. Annual Management Report of Fund Performance

CIBC Emerging Markets Fund. Annual Management Report of Fund Performance CIBC Emerging Markets Fund Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

CIBC European Equity Fund. Annual Management Report of Fund Performance

CIBC European Equity Fund. Annual Management Report of Fund Performance CIBC European Equity Fund Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

CIBC Dividend Growth Fund. Annual Management Report of Fund Performance

CIBC Dividend Growth Fund. Annual Management Report of Fund Performance Annua Management Report of Fund Performance for the financia year ended December 31, 2016 A figures are reported in Canadian doars uness otherwise noted This annua management report of fund performance

More information

Renaissance International Dividend Fund. Interim Management Report of Fund Performance

Renaissance International Dividend Fund. Interim Management Report of Fund Performance Renaissance Internationa Dividend Fund Interim Management Report of Fund Performance for the period ended February 28, 2018 A figures are reported in Canadian doars uness otherwise noted This interim management

More information

CIBC Dividend Income Fund. Annual Management Report of Fund Performance

CIBC Dividend Income Fund. Annual Management Report of Fund Performance CIBC Dividend Income Fund Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

Frontiers Canadian Fixed Income Pool. Annual Management Report of Fund Performance

Frontiers Canadian Fixed Income Pool. Annual Management Report of Fund Performance Frontiers Canadian Fixed Income Poo Annua Management Report of Fund Performance for the financia year ended August 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

CIBC Global Monthly Income Fund. Interim Management Report of Fund Performance

CIBC Global Monthly Income Fund. Interim Management Report of Fund Performance CIBC Goba Monthy Income Fund Interim Management Report of Fund Performance for the period ended June 30, 2017 A figures are reported in Canadian doars uness otherwise noted This interim management report

More information

Imperial Canadian Equity Pool. Interim Management Report of Fund Performance

Imperial Canadian Equity Pool. Interim Management Report of Fund Performance Imperia Canadian Equity Poo Interim Management Report of Fund Performance for the period ended June 30, 2017 A figures are reported in Canadian doars uness otherwise noted This interim management report

More information

Imperial Emerging Economies Pool. Annual Management Report of Fund Performance

Imperial Emerging Economies Pool. Annual Management Report of Fund Performance Imperia Emerging Economies Poo Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

CIBC Latin American Fund. Annual Management Report of Fund Performance

CIBC Latin American Fund. Annual Management Report of Fund Performance Annua Management Report of Fund Performance for the financia year ended December 31, 2017 A figures are reported in Canadian doars uness otherwise noted This annua management report of fund performance

More information

l CAMI: Relative Value, approximately 35% l Picton Mahoney: Earnings Momentum, approximately 35% l Triasima: Core, approximately 20%

l CAMI: Relative Value, approximately 35% l Picton Mahoney: Earnings Momentum, approximately 35% l Triasima: Core, approximately 20% Frontiers Canadian Equity Poo Annua Management Report of Fund Performance for the financia year ended August 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

Renaissance Canadian Growth Fund. Annual Management Report of Fund Performance

Renaissance Canadian Growth Fund. Annual Management Report of Fund Performance Renaissance Canadian Growth Fund Annua Management Report of Fund Performance for the financia year ended August 31, 2017 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

CIBC Managed Aggressive Growth Portfolio. Interim Management Report of Fund Performance

CIBC Managed Aggressive Growth Portfolio. Interim Management Report of Fund Performance CIBC Managed Aggressive Growth Portfolio Interim Management Report of Fund Performance for the period ended June 30, 2017 All figures are reported in Canadian dollars unless otherwise noted This interim

More information

Imperial U.S. Equity Pool. Annual Management Report of Fund Performance

Imperial U.S. Equity Pool. Annual Management Report of Fund Performance Imperia US Equity Poo Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management report

More information

Imperial Global Equity Income Pool. Interim Management Report of Fund Performance

Imperial Global Equity Income Pool. Interim Management Report of Fund Performance Imperia Goba Equity Income Poo Interim Management Report of Fund Performance for the period ended June 30, 2017 A figures are reported in Canadian doars uness otherwise noted This interim management report

More information

Imperial International Equity Pool. Interim Management Report of Fund Performance

Imperial International Equity Pool. Interim Management Report of Fund Performance Imperia Internationa Equity Poo Interim Management Report of Fund Performance for the period ended June 30, 2017 A figures are reported in Canadian doars uness otherwise noted This interim management report

More information

CIBC Canadian Bond Index Fund. Annual Management Report of Fund Performance

CIBC Canadian Bond Index Fund. Annual Management Report of Fund Performance CIBC Canadian Bond Inde Fund Annual Management Report of Fund Performance for the financial year ended December 31, 2015 All figures are reported in Canadian dollars unless otherwise noted This annual

More information

CIBC Canadian Short-Term Bond Index Fund. Annual Management Report of Fund Performance

CIBC Canadian Short-Term Bond Index Fund. Annual Management Report of Fund Performance CIBC Canadian Short-Term Bond Inde Fund Annual Management Report of Fund Performance for the financial year ended December 31, 2017 All figures are reported in Canadian dollars unless otherwise noted This

More information

CIBC Canadian Index Fund. Interim Management Report of Fund Performance

CIBC Canadian Index Fund. Interim Management Report of Fund Performance CIBC Canadian Inde Fund Interim Management Report of Fund Performance for the period ended June 30, 2017 All figures are reported in Canadian dollars unless otherwise noted This interim management report

More information

l Pyramis International Equity Growth, approximately 20% l CAMI International Equity Index, approximately 15%

l Pyramis International Equity Growth, approximately 20% l CAMI International Equity Index, approximately 15% Imperia Internationa Equity Poo Annua Management Report of Fund Performance for the financia year ended December 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

CIBC Balanced Index Fund. Annual Management Report of Fund Performance

CIBC Balanced Index Fund. Annual Management Report of Fund Performance CIBC Balanced Inde Fund Annual Management Report of Fund Performance for the financial year ended December 31, 2017 All figures are reported in Canadian dollars unless otherwise noted This annual management

More information

Frontiers Emerging Markets Equity Pool. Annual Management Report of Fund Performance

Frontiers Emerging Markets Equity Pool. Annual Management Report of Fund Performance Frontiers Emerging Markets Equity Poo Annua Management Report of Fund Performance for the financia year ended August 31, 2015 A figures are reported in Canadian doars uness otherwise noted This annua management

More information

Imperial U.S. Equity Pool. Interim Management Report of Fund Performance

Imperial U.S. Equity Pool. Interim Management Report of Fund Performance Imperia US Equity Poo Interim Management Report of Fund Performance for the period ended June 30, 2017 A figures are reported in Canadian doars uness otherwise noted This interim management report of fund

More information

CIBC International Index Fund. Interim Management Report of Fund Performance

CIBC International Index Fund. Interim Management Report of Fund Performance CIBC International Inde Fund Interim Management Report of Fund Performance for the period ended June 30, 2017 All figures are reported in Canadian dollars unless otherwise noted This interim management

More information

CIBC Asia Pacific Index Fund. Annual Management Report of Fund Performance

CIBC Asia Pacific Index Fund. Annual Management Report of Fund Performance CIBC Asia Pacific Inde Fund Annual Management Report of Fund Performance for the financial year ended December 31, 2015 All figures are reported in Canadian dollars unless otherwise noted This annual management

More information

Renaissance Global Bond Fund. Annual Management Report of Fund Performance

Renaissance Global Bond Fund. Annual Management Report of Fund Performance Renaissance Global Bond Fund Annual Management Report of Fund Performance for the financial year ended August 31, 2017 All figures are reported in Canadian dollars unless otherwise noted This annual management

More information

Imperial Canadian Bond Pool

Imperial Canadian Bond Pool Interim Management Report of Fund Performance for the period ended June 30, 2008 All figures are reported in Canadian dollars unless otherwise noted. This interim management report of fund performance

More information

Fidelity Freedom Index 2005 Fund - Investor Class (FJIFX)

Fidelity Freedom Index 2005 Fund - Investor Class (FJIFX) Aocation Fideity Freedom Index 2005 Fund - Investor Cass (FJIFX) Hypothetica Growth of $10,000 1,2 (10/2/2009-) n Fideity Freedom Index 2005 Fund - Investor Cass $15,353 n Target-Date 2000-2010 $16,178

More information

Fidelity Freedom Index Income Fund - Institutional Premium Class (FFGZX)

Fidelity Freedom Index Income Fund - Institutional Premium Class (FFGZX) Fideity Freedom Index Income Fund - Institutiona Premium Cass (FFGZX) NTF No Transaction Fee 1 Hypothetica Growth of $10,000 2,3 (10/2/2009-) n Fideity Freedom Index Income Fund - Institutiona Premium

More information

PROSPECTUS. I could have been an . Visit to sign up. May 1, 2018 VARIABLE UNIVERSAL LIFE INSURANCE (5-18) Product

PROSPECTUS. I could have been an  . Visit  to sign up. May 1, 2018 VARIABLE UNIVERSAL LIFE INSURANCE (5-18) Product PROSPECTUS May 1, 2018 VARIABLE UNIVERSAL LIFE INSURANCE I coud have been an emai. Visit www.fbfs.com to sign up. 737-530 (5-18) 2002-2007 Product PRINCIPAL UNDERWRITER/ SECURITIES & SERVICES OFFERED THROUGH

More information

Renaissance High Income Fund. Annual Management Report of Fund Performance

Renaissance High Income Fund. Annual Management Report of Fund Performance Annual Management Report of Fund Performance for the financial year ended August 31, 2017 All figures are reported in Canadian dollars unless otherwise noted This annual management report of fund performance

More information

Renaissance Global Infrastructure Fund. Annual Management Report of Fund Performance

Renaissance Global Infrastructure Fund. Annual Management Report of Fund Performance Renaissance Global Infrastructure Fund Annual Management Report of Fund Performance for the financial year ended August 31, 2017 All figures are reported in Canadian dollars unless otherwise noted This

More information

CIBC Monthly Income Fund

CIBC Monthly Income Fund Interim Management Report of Fund Performance for the period ended June 30, 2008 All figures are reported in Canadian dollars unless otherwise noted. This interim management report of fund performance

More information

Imperial Canadian Dividend Pool

Imperial Canadian Dividend Pool Imperial Canadian Dividend Pool (Effective February 1, 2011, the name will change to Imperial Canadian Diversified Income Pool) Annual Management Report of Fund Performance for the financial year ended

More information

Renaissance Emerging Markets Fund. Annual Management Report of Fund Performance

Renaissance Emerging Markets Fund. Annual Management Report of Fund Performance Renaissance Emerging Markets Fund Annual Management Report of Fund Performance for the financial year ended August 31, 2017 All figures are reported in Canadian dollars unless otherwise noted This annual

More information

Imperial Pools. Annual Management Report of Fund Performance. December 31, Imperial Short-Term Bond Pool

Imperial Pools. Annual Management Report of Fund Performance. December 31, Imperial Short-Term Bond Pool Imperial Pools Annual Management Report of Fund Performance December 31, 2006 Imperial Short-Term Bond Pool This annual management report of fund performance contains financial highlights but does not

More information

Modern Woodmen of America Variable Annuity Account

Modern Woodmen of America Variable Annuity Account Modern Woodmen of America Variabe Annuity Account INDIVIDUAL FLEXIBLE PREMIUM DEFERRED VARIABLE ANNUITY CERTIFICATE PROSPECTUS May 1, 2018 Modern Woodmen of America, a fraterna benefit society, (the Society

More information

INTERIM REPORT 2016/ 17. Equipment Rental since

INTERIM REPORT 2016/ 17. Equipment Rental since INTERIM REPORT 2016/ 17 Equipment Renta since 1954 www.vppc.com Chairman s Statement I am very peased to report a further set of exceent resuts for the six month period to 30 September 2016. Profit before

More information

CIBC Capital Appreciation Fund

CIBC Capital Appreciation Fund Interim Management Report of Fund Performance for the period ended June 30, 2008 All figures are reported in Canadian dollars unless otherwise noted. This interim management report of fund performance

More information

S CORPORATIONS INTRODUCTION AND STUDY OBJECTIVES. In studying the rules of S corporations, the student should have these objectives: STUDY HIGHLIGHTS

S CORPORATIONS INTRODUCTION AND STUDY OBJECTIVES. In studying the rules of S corporations, the student should have these objectives: STUDY HIGHLIGHTS H Chapter Eeven H S CORPORATIONS INTRODUCTION AND STUDY OBJECTIVES Certain sma business corporations may eect to be taxed under Subchapter S instead of under the reguar rues for taxation of corporations.

More information

Renaissance Global Small-Cap Fund. Annual Management Report of Fund Performance

Renaissance Global Small-Cap Fund. Annual Management Report of Fund Performance Renaissance Global Small-Cap Fund Annual Management Report of Fund Performance for the financial year ended August 31, 2017 All figures are reported in Canadian dollars unless otherwise noted This annual

More information

Placing and Offer for Subscription for a target issue in excess of 100,000,000 worth of C Shares at an issue price of 1.00 per Sterling C Share

Placing and Offer for Subscription for a target issue in excess of 100,000,000 worth of C Shares at an issue price of 1.00 per Sterling C Share Proof 3: 19.2.13 THIS DOCUMENT AND ANY ACCOMPANYING DOCUMENTS ARE IMPORTANT AND REQUIRE YOUR IMMEDIATE ATTENTION. If you are in any doubt as to the action you shoud take or the contents of this document,

More information

Renaissance International Equity Fund. Annual Management Report of Fund Performance

Renaissance International Equity Fund. Annual Management Report of Fund Performance Renaissance International Equity Fund Annual Management Report of Fund Performance for the financial year ended August 31, 2017 All figures are reported in Canadian dollars unless otherwise noted This

More information

Renaissance Dividend Fund

Renaissance Dividend Fund M 16 E Annual Management Report of Fund Performance for the financial year ended August 31, 2009 All figures are reported in Canadian dollars unless otherwise noted. This annual management report of fund

More information

NB Global Floating Rate Income Fund Limited

NB Global Floating Rate Income Fund Limited NB Goba Foating Rate Income Fund Limited March 2011 NB Goba Foating Rate Income Fund Limited Orie Securities Limited Soe Sponsor, Soe Financia Adviser, Joint Goba Co-ordinator and Joint Bookrunner Dexion

More information

Retirement Income Charting a Course to Help Your Money Last

Retirement Income Charting a Course to Help Your Money Last Retirement Income Charting a Course to Hep Your Money Last Peter Murphy, CFP Financia Partners Securities are offered through LPL Financia, Member FINRA/SIPC. Investment Advice offered through Financia

More information

GLOBAL INVESTMENT OUTLOOK

GLOBAL INVESTMENT OUTLOOK 2018 GLOBAL INVESTMENT OUTLOOK Goba growth continues with ow rates and controed infation Athough we had a year of strong risk asset returns and some increase in goba interest rates, many of the factors

More information

CIBC International Index RRSP Fund

CIBC International Index RRSP Fund Interim Management Report of Fund Performance for the period ended June 30, 2008 All figures are reported in Canadian dollars unless otherwise noted. This interim management report of fund performance

More information

Imperial Pools. Annual Management Report of Fund Performance. December 31, Imperial Money Market Pool

Imperial Pools. Annual Management Report of Fund Performance. December 31, Imperial Money Market Pool Imperial Pools Annual Management Report of Fund Performance December 31, 2006 Imperial Money Market Pool This annual management report of fund performance contains financial highlights but does not contain

More information

A guide to your with-profits investment and how we manage our With-Profit Fund

A guide to your with-profits investment and how we manage our With-Profit Fund Important information A guide to your with-profits investment and how we manage our With-Profit Fund For customers investing through an Aviva investment bond. Contents This guide is important as it aims

More information

This Agreement is for your credit card account with us. It applies to you and all authorized users.

This Agreement is for your credit card account with us. It applies to you and all authorized users. Credit Card Agreement for HAYLEY KAY HANCOCK This Agreement is for your credit card account with us. It appies to you and a authorized users. In addition to the features outined in this Agreement, you

More information

Additional Guidance 2018 ex-ante data reporting form. October 2017

Additional Guidance 2018 ex-ante data reporting form. October 2017 Additiona Guidance 2018 ex-ante data reporting form October 2017 The foowing sides compement the definitions and guidance incuded in the Ex-ante Contributions Reporting Form (hereafter Data Reporting Form)

More information

INTERIM REPORT 2015/16. Equipment Rental since

INTERIM REPORT 2015/16. Equipment Rental since INTERIM REPORT 2015/16 Equipment Renta since 1954 www.vppc.com Chairman s Statement I am very peased to report on a period of further soid progress for the Group. In the six months to 30 September 2015,

More information

Annual Management Report of Fund Performance

Annual Management Report of Fund Performance CIBC Mutual Funds CIBC Family of Managed Portfolios Annual Management Report of Fund Performance December 31, 2006 CIBC Canadian Bond Fund This annual management report of fund performance contains financial

More information

Imperial Pools. Annual Management Report of Fund Performance. December 31, Imperial Canadian Dividend Income Pool

Imperial Pools. Annual Management Report of Fund Performance. December 31, Imperial Canadian Dividend Income Pool Imperial Pools Annual Management Report of Fund Performance December 31, 2006 Imperial Canadian Dividend Income Pool This annual management report of fund performance contains financial highlights but

More information

A guide to your with-profits investment and how we manage our With-Profit Fund

A guide to your with-profits investment and how we manage our With-Profit Fund Important information A guide to your with-profits investment and how we manage our With-Profit Fund For customers investing through a With Profits Pension Annuity. Contents This guide is important as

More information

The T2 Short. If the corporation does not fit into either of the above categories, please file a regular T2 Corporation Income Tax Return.

The T2 Short. If the corporation does not fit into either of the above categories, please file a regular T2 Corporation Income Tax Return. The T2 Short Who can use the T2 Short? The T2 Short is a simper version of the T2 Corporation Income Tax Return. There are two categories of corporations that are eigibe to use this return: You can use

More information

Date (Day/Month/Year)

Date (Day/Month/Year) Invest in a beneficiary s Individua Savings Account (ISA) Vaid from Apri 2017 Pease compete this form in BLOCK LETTERS and back ink, and return it to: FREEPOST JP MORGAN AM. An address or a stamp is not

More information

A guide to your with-profits investment and how we manage our With-Profit Fund

A guide to your with-profits investment and how we manage our With-Profit Fund Important information A guide to your with-profits investment and how we manage our With-Profit Fund For customers investing through pension pans. Contents This guide is important as it aims to answer

More information

Key features of the Pension

Key features of the Pension Key features of the Pension Key features of the Pension The Financia Conduct Authority is a financia services reguator. It requires us, Aviva, to give you this important information to hep you to decide

More information

Additional Guidance 2019 ex-ante data reporting form. October 2018

Additional Guidance 2019 ex-ante data reporting form. October 2018 Additiona Guidance 2019 ex-ante data reporting form October 2018 The foowing sides compement the definitions and guidance incuded in the Ex-ante Contributions Reporting Form (hereafter Data Reporting Form)

More information

and Admission to the premium listing segment of the Official List and trading on the London Stock Exchange s main market for listed securities

and Admission to the premium listing segment of the Official List and trading on the London Stock Exchange s main market for listed securities THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. If you are in any doubt as to the action you shoud take, you shoud consut your stockbroker, bank manager, soicitor, accountant or other

More information

Flexible Benefits for Group Income Protection. Policy Wording

Flexible Benefits for Group Income Protection. Policy Wording Fexibe Benefits for Group Income Protection Poicy Wording Wecome to Group Risk from Aviva What the poicy wording expains This poicy wording tes you: what to do if you need to caim what is covered expanations

More information

Key Features of the With Profits Pension Annuity

Key Features of the With Profits Pension Annuity Key Features of the With Profits Pension Annuity Key Features of the With Profits Pension Annuity The Financia Conduct Authority is a financia services reguator. It requires us, Aviva, to give you this

More information

US TRADED LIFE INTERESTS FUND ALTERNATIVE ASSET OPPORTUNITIES PCC LIMITED

US TRADED LIFE INTERESTS FUND ALTERNATIVE ASSET OPPORTUNITIES PCC LIMITED THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IT CONTAINS A PROPOSAL RELATING TO THE US TRADED LIFE INTERESTS FUND (THE CELL ), A CELL OF ALTERNATIVE ASSET OPPORTUNITIES PCC LIMITED

More information

Interim Management Report of Fund Performance

Interim Management Report of Fund Performance CIBC Mutual Funds CIBC Family of Managed Portfolios Interim Management Report of Fund Performance June 30, 2006 CIBC Capital Appreciation Fund This interim management report of fund performance contains

More information

Principles and Practices of Financial Management (PPFM)

Principles and Practices of Financial Management (PPFM) Principes and Practices of Financia Management (PPFM) for Aviva Life & Pensions UK Limited Stakehoder With-Profits Sub-Fund Version 17 Retirement Investments Insurance Heath Contents Page Section 1: Introduction

More information

Fidelity Canadian Short Term Bond Fund

Fidelity Canadian Short Term Bond Fund Fidelity Canadian Short Term Bond Fund Semi-Annual Management Report of Fund Performance December 31, Caution Regarding Forward-looking Statements Certain portions of this report, including, but not limited

More information

Giving That Grows. Legacies That Last.

Giving That Grows. Legacies That Last. Giving That Grows. Legacies That Last. Donor Advised Fund Program Description & Appication We make a iving by what we get, we make a ife by what we give. Winston Churchi The Sharing of Vaues: What is Your

More information

Annual Management Report of Fund Performance

Annual Management Report of Fund Performance CIBC Mutual Funds CIBC Family of Managed Portfolios Annual Management Report of Fund Performance December 31, 2006 CIBC Financial Companies Fund This annual management report of fund performance contains

More information

Q 4. Portfolio Review COMPTROLLER S INVESTMENT ADVISORY BOARD

Q 4. Portfolio Review COMPTROLLER S INVESTMENT ADVISORY BOARD Q 4 208 COMPTROLLER S INVESTMENT ADVISORY BOARD Portfoio Review Meeting Date: Apri 6, 209 Texas Treasury Safekeeping Trust Company s Presentation to the Comptroer s Investment Advisory Board August 6,

More information

INTEREST RATE FUTURES

INTEREST RATE FUTURES INTEREST RATE FUTURES Contact NSE - Corporate Office Nationa Stock Exchange of India Limited Exchange Paza, C-1, Bock G, Bandra Kura Compex, Bandra (E), Mumbai 400 051. Te No: (022) 26598100-8114. Fax

More information

Principles and Practices of Financial Management (PPFM)

Principles and Practices of Financial Management (PPFM) Principes and Practices of Financia Management (PPFM) for Aviva Life & Pensions UK Limited Od With-Profits Sub-Fund and New With-Profits Sub-Fund (Aviva Life & Pensions UK Limited Od WPSF and New WPSF)

More information

Levels of diversification

Levels of diversification Muti-Asset (MA) Bended Funds Leves of diversification Past performance is not a guide to future performance. Leves of diversification What are eves of diversification? At Architas we beieve that diversification

More information

Annual Management Report of Fund Performance

Annual Management Report of Fund Performance CIBC Mutual Funds CIBC Family of Managed Portfolios Annual Management Report of Fund Performance December 31, 2006 CIBC Diversified Income Fund This annual management report of fund performance contains

More information

Happily ever after. Enjoy guaranteed income even after your retirement.

Happily ever after. Enjoy guaranteed income even after your retirement. Happiy ever after. Enjoy guaranteed income even after your retirement. Exide Life New Immediate Annuity with Return of Purchase Price Lifeong Annuity Payouts Guaranteed for Life Fexibe Payout Options to

More information

June 18, The AES Corporation. JP Morgan Energy Conference

June 18, The AES Corporation. JP Morgan Energy Conference June 18, 2018 The AES Corporation JP Morgan Energy Conference Safe Harbor Discosure Certain statements in the foowing presentation regarding AES business operations may constitute forward-ooking statements.

More information

Article III The Depositor s interest in the balance in the Custodial account is non forfeitable.

Article III The Depositor s interest in the balance in the Custodial account is non forfeitable. Form 5305-RA Roth Individua Retirement Custodia Account (Rev. March 2002) Department of the Treasury (Under Section 408(a) of the Interna Revenue Code) Interna Revenue Service The individua whose name

More information

INVESTMENT TAX CREDIT - CORPORATIONS (for taxation years starting after 1995)

INVESTMENT TAX CREDIT - CORPORATIONS (for taxation years starting after 1995) Revenue Canada Revenu Canada INVESTMENT TAX CREDIT - CORPORATIONS (for taxation years starting after 1995) Note: Use T2038 (CORP)(E) Rev. 93 if your taxation year begins before 1994. Use Rev.95 if your

More information

Key Features of the Tax-Free Flexible Plan

Key Features of the Tax-Free Flexible Plan Key Features of the The Key Features suppied beow appy to the adut investment eement of the Famiy Fexibe Pan. No advice has been provided by Scottish Friendy in reation to this pan. If you are in any doubt

More information

ASSET CLASS INSTRUMENTS DEFINITION

ASSET CLASS INSTRUMENTS DEFINITION Note: The information beow represents exampes of instruments that can be processed through the use of, CTM TM, OASYS TM, TradeSuite ID TM and. Equity Ownership interest in a corporation in the form of

More information

THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION

THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION If you are in any doubt as to the action you shoud take, you are recommended to seek immediatey your own persona financia advice from your

More information