Asset Class: Canadian Dividend Date: July 31, 2001

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1 Asset Class: Canadian ividend ate: July 31, 2001 Page 1 SP AVPS Fund ame istributions ME eturns AGF Canadian ividend AIM Canada Income Class Altamira ividend Bissett ividend IncomeA Bissett ividend IncomeF BM ividend Canada Life Enhanced iv S CI Signature ividend CI Signature ividend GIF CI Signature iv Inc Seg CI Signature iv Inc Seg II CI Signature ividend Income CIBC ividend Clarica MVP AGF ividend Clarica SF Summit iv Growth Clarica SF Summit iv Growth A Clarica Summit ividend Growth Clarica Summit iv Growth A m 18.2 Clarington Canadian ividend Cote VTA Income esjardins ividend ynamic ividend ynamic ividend Growth ynamic Protected ividend Gwt Empire ividend Growth Fund

2 Asset Class: Canadian ividend ate: July 31, 2001 Page 2 SP AVPS Fund ame istributions ME eturns Fonds Ficadre ividends Generations ividend (AGF) Generations Enhanced iv (Lak) GGF Guardian Monthly iv Cl F GGF Guardian Monthly iv Mut GWL ividend (G) SC GWL ividend (G) L GWL ividend (MX) SC m 3.8 GWL ividend (MX) L m HSBC ividend Income IG MAXXUM ividend B IG/GWL ividend SC Investors ividend B IIS ividend London Life ividend (LLIM) London Life ividend (MX) Lutheran Life Fortress Enh iv 17 m 4.8 Mack Ind ividend Growth Mack Ind ividend Growth Seg 6.69 m 18.8 Maritime Life ividend Inc A Maritime Life ividend Inc B Maritime Life ividend Inc C MAXXUM ividend M ividend Millennia III B ividend Inc

3 Asset Class: Canadian ividend ate: July 31, 2001 Page 3 SP AVPS Fund ame istributions ME eturns Millennia III B ividend Inc Millennia III Cdn. ividend Millennia III Cdn. ividend Millennia III Cdn. ividend Millennia III Cdn. ividend MLI AGF Canadian ividend GIF MLI AGF Canadian ividend GIF MLI AGF Canadian ividend GIFe MLI AGF Cdn ividend GIFe MLI ynamic ividend Grwth GIF MLI ynamic ividend Gr GIFe Mulvihill Premium Canadian Inc m ational Bank ividend ational ividend Income ntario Teachers Group iv PH & ividend Income Quadrus (MX) ividend oyal ividend SA ividend SA ividend Series II Scotia Canadian ividend Spectrum ividend Standard Life Canadian iv Standard Life Legend Cdn iv StandardLife Ideal Cdn iv

4 Asset Class: Canadian ividend ate: July 31, 2001 Page 4 SP AVPS Fund ame istributions ME eturns StandardLife IdealL Cdn iv Strategicova Cdn ividend Sun Life Spect ividend (100%) Sun Life Spect ividend (75%) Talvest ividend T ividend Growth T ividend Income Trans GS Canadian iv & Income Trans IMS ividend Valorem ividends YMG Income HIGHEST I GUP MEIA I GUP 2 1 AVEAGE I GUP LWEST I GUP

5 Asset Class: Canadian ividend ate: July 31, 2001 Page 5 Fund ame SP AVPS istributions How to read the tables: ME eturns Stars: Globefund 5Star atings rank funds from one to five stars, with the toprated funds getting five stars. Funds must have two years of history to be ranked. Prospectus: A club symbol indicates that you can order a free prospectus for this mutual fund on globefund.com. Click here to order. (link to: ) Fund ame: The name of the managing company is in brackets if it is different from the fund name. An "* *" indicates that the fund reports gross performance returns. SP: = 100% eligible, F = eligible as foreign content, = ineligible AVPS: et asset value per share as of the end of the previous month. istribution: Payout of income, capital gains or return of capital over the month. ME: A fund s management fees and expenses, expressed as a percentage of assets, is the managementexpense ratio. An "m" indicates the ratio represents the management fee only. An "*" represents funds that arbitrarily do not include management fees in their management expense ratio. Load: = no sales fee, F = front end loaded, = deferred load, = optional, = redemption fee, B = both, usually a frontend and backend fee but sometimes a redemption fee and a deferred load. Percentage eturns: This represents the total return under one year, or the average annual compound returns, with reinvestment of distributions. All returns date back to the end of the previous month. All returns are shown after the deduction of management fees and expenses, except for pooled funds which are shown gross of any fees. Also, all returns except for some U.S. money market funds, are shown in Canadian dollars. ote on Terminology Average: This is an unweighted average of all funds in the group. Median: This is the middle of the group. Half the funds are better and half are worse. The listings do not show results for U.S.dollar "clone" funds funds denominated in U.S. dollars that mirror funds denominated in Canadian dollars. However, results from these funds are factored into category averages, medians, highest and lowest in group classifications.

Asset Class: Canadian Dividend Date: March 31, 2003

Asset Class: Canadian Dividend Date: March 31, 2003 Asset Class: Canadian ividend ate: March 31, 2003 Page 1 SP AVPS Fund ame istributions ME eturns Acuity Growth and Income F 10.00 2.50m Altamira ividend 165.4 3.84 0.020 1.80 3.3 4.5 7.2 1.1 2.4 Astra

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Asset Class: Canadian Dividend Date: November 30, 2004

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