March 7,

Size: px
Start display at page:

Download "March 7,"

Transcription

1 March 7, STANDARD & POOR S INDEX CHANGE Standard & Poor s announces the constituents of the seven new live sector indices and two new live sub-industry indices that will be introduced after the close of business on Thursday, March 21, A list of the sector constituents can be found below. Also included are the regular quarterly revisions to the existing three live sector indices and one live sub-industry index. These changes are effective after the close of business on Thursday, March 21, S&P/TSE Canadian Consumer Discretionary Sector Index AAC.B ACM.A CTR.A CGS.S CAO.A CFM CCA CGO CJR.B DEC.A DII.B FHR FGL FSH GIL.A HBC ITW LNR MG.A MGX QBR.B IQW RCI.B SCC SJR.B TSM.A TOC TS.B Alliance Atlantis Communications Inc. Astral Media Inc. Canadian Tire Corporation Ltd. Canwest Global Communications Corp. Cara Operations Ltd. CFM Majestic Inc. Cogeco Cable Inc. Cogeco Inc. Corus Entertainment Inc. Decoma International Inc. Dorel Industries Inc. Fairmont Hotels & Resorts Inc. Forzani Group Ltd. Four Seasons Hotels Inc. Gildan Activewear Inc. Hudson's Bay Company Intrawest Corporation Linamar Corporation Magna International Inc. Mosaic Group Inc. Quebecor Inc. Quebecor World Inc. Rogers Communications Inc. Sears Canada Inc. Shaw Communications Inc. Tesma International Inc. Thomson Corporation (The) Torstar Corporation

2 TVA.B WCS.A WPT TVA Group Inc. Wescast Industries Inc. Westport Innovations Inc. S&P/TSE Canadian Industrials Sector Index AC ATA BLD BBD.B CAE CNR CP TEU FTT FSV GRT.A GLE LSI HRX HKY MXA MDA MAL MHM MCL MTL RYG SNC STN TKN TIH TRZ TGN WED WJA ZEN Air Canada ATS Automation Tooling Systems Inc. Ballard Power Systems Inc. Bombardier Inc. CAE Inc. Canadian National Railway Company Canadian Pacific Railway Inc. CP Ships Ltd. Finning International Inc. FirstService Corporation G.T.C. Transcontinental Group Ltd. Global Thermoelectric Inc. GSI Lumonics Inc. Heroux-Devtek Inc. Husky Injection Molding Systems Ltd. Maax Inc. MacDonald Dettwiler & Assoc. Ltd. Magellan Aerospace Corporation Masonite International Corporation Moore Corporation Ltd. Mullen Transportation Inc. Royal Group Technologies Limited SNC - Lavalin Group Inc. Stantec Inc. Teknion Corporation Toromont Industries Ltd. Transat A.T. Inc. Turbo Genset Inc. Westaim Corporation (The) WestJet Airlines Ltd. Zenon Environmental Inc. 2

3 S&P/TSE Canadian Telecommunication Services Sector Index AIT BCE MBT RCM.B T Aliant Inc. BCE Inc. Manitoba Telecom Services Inc. Rogers Wireless Communications Inc. TELUS Corporation S&P/TSE Canadian Utilities Sector Index ACO.X BCG CU EMA ENB FTS TA TRP W Atco Ltd. B.C. Gas Inc. Canadian Utilities Limited Emera Incorporated Enbridge Inc. Fortis Inc. Transalta Corporation TransCanada PipeLines Limited Westcoast Energy Inc. S&P/TSE Canadian Health Care Sector Index ALT AEL ANP AXP BRA BVF CLC DMX EXE.A GBL HML IDB IEX ISA DDS LOR MDS PTI A.L.I. Technologies Inc. Aeterna Laboratoires Inc. Angiotech Pharmaceuticals Inc. Axcan Pharma Inc. Biomira Inc. Biovail Corporation Canadian Medical Laboratories Limited Dimethaid Research Inc. Extendicare Inc. Glyko Biomedical Ltd. Hemosol Inc. ID Biomedical Corporation Inex Pharmaceuticals Corp. Isotechnika Inc. Labopharm Inc. Lorus Therapeutics Inc. MDS Inc. Patheon Inc. 3

4 QLT SSB TH VAS QLT Inc. Stressgen Biotechnologies Corp. Theratechnologies Inc. Vasogen Inc. S&P/TSE Canadian Consumer Staples Sector Index ATD.B CNG CDL.A BCB EMP.A PJC.A L MFI MRU.A MOL.A ROC SAP SBY VH VN WN Alimentation Couche-Tard Inc. Concert Industries Ltd. Corby Distilleries Limited Cott Corporation Empire Company Ltd. Jean Coutu Group (PJC) Inc. (The) Loblaw Companies Limited Maple Leaf Foods Inc. Metro Inc. Molson Inc. Rothmans Inc. Saputo Inc. Sobeys Inc. Van Houtte Inc. Vincor International Inc. Weston, George Limited S&P/TSE Canadian Materials Sector Index ABZ A AGE AGU AL AUR ABX CCO CAM.A CFP CAS CCL.B DFS DTC DUP.A FL FDG GBU Aber Diamond Corporation Abitibi-Consolidated Inc. Agnico-Eagle Mines Agrium Inc. Alcan Inc. Aur Resources Inc. Barrick Gold Corporation Cameco Corporation Canam Manac Group Inc. (The) Canfor Corporation Cascades Inc. CCL Industries Inc. Dofasco Inc. Domtar Inc. Dupont Canada Inc. Falconbridge Limited Fording Inc. Gabriel Resources Ltd. 4

5 GLG G IMG N ITP IPS K LIM MNG MX NF NRD NS PDL NCX PDG POT S SFF ST.A STE.A TEK.B TBC WFT WPK Glamis Gold Ltd. Goldcorp Inc. Iamgold Corporation Inco Limited Intertape Polymer Group Inc. Ipsco Inc. Kinross Gold Corporation Lionore Mining International Ltd. Meridian Gold Inc. Methanex Corporation Nexfor Inc. Noranda Inc. Norske Skog Canada Limited North American Palladium Ltd. Nova Chemicals Corporation Placer Dome Inc. Potash Corporation Of Saskatchewan Inc. Sherritt International Corporation Slocan Forest Products Ltd. St. Lawrence Cement Group Inc. Stelco Inc. Teck Corporation Tembec Inc. West Fraser Timber Co Ltd. Winpak Limited S&P/TSE Canadian Real Estate Sector Index BEI BPO TZH Boardwalk Equities Inc. Brookfield Properties Corporation Trizec Hahn Corporation S&P/TSE Canadian Diversified Metals & Mining Sector Index AUR CCO FL FDG N LIM NRD S TEK.B Aur Resources Inc. Cameco Corporation Falconbridge Limited Fording Inc. Inco Limited Lionore Mining International Ltd. Noranda Inc. Sherritt International Corporation Teck Corporation 5

6 S&P/TSE Canadian Gold Index AGE ABX GLG G IMG K MNG PDG Agnico-Eagle Mines Barrick Gold Corporation Glamis Gold Ltd. Goldcorp Inc. Iamgold corporation Kinross Gold Corporation Meridian Gold Inc. Placer Dome Inc. S&P/TSE Canadian Information Technology Sector Index SVN ATY IFM CLS GIB.A CRW COG CSN COR CRE DSG EXF GAC GND HUM LTV NT OCX OTC RIM SW TUN ZL 724 Solutions Inc. ATI Technologies Incorporated BCE Emergis Inc. Celestica Inc. CGI Group Inc. Cinram International Inc. COGNICASE Inc. Cognos Incorporated Corel Corporation Creo Products Inc. Descartes Systems Group Inc. (The) Exfo Electro-Optical Engineering Inc. Geac Computer Corporation Ltd. Gennum Corporation Hummingbird Ltd. Leitch Technology Corporation Nortel Networks Corporation Onex Corporation Open Text Corporation Research In Motion Limited Sierra Wireless Inc. Tundra Semiconductor Corporation Zarlink Semiconductor Inc. S&P/TSE Canadian Financials Sector Index AGF.B BMO BNS BEI AGF Management Ltd. Bank Of Montreal Bank Of Nova Scotia (The) Boardwalk Equities Inc. 6

7 BNN.A BPO CIX CL CM CLI DBC.A FFH GWO IAG IGI KFS LB MFC NA POW PWF RY SLC TD TFC.A TZH Brascan Corporation Brookfield Properties Corporation C.I. Fund Management Inc. Canada Life Financial Corporation Canadian Imperial Bank Of Commerce Clarica Life Insurance Company Dundee Bancorp Inc. Fairfax Financial Holdings Limited Great-West Lifeco Inc. Industrial-Alliance Life Insurance Company Investors Group Inc. Kingsway Financial Services Inc. Laurentian Bank of Canada Manulife Financial Corporation National Bank Of Canada Power Corporation Of Canada Power Financial Corporation Royal Bank Of Canada Sun Life Financial Services of Canada Inc. Toronto-Dominion Bank (The) Trilon Financial Corporation Trizec Hahn Corporation S&P/TSE Canadian Energy Sector Index AEC BNP CNQ CMT ESI HHL.A HSE IMO NXY PCE POU PWT PCA PD RAX SCL.A SHC SU TLM Alberta Energy Company Ltd. Bonavista Petroleum Ltd. Canadian Natural Resources Limited Compton Petroleum Corporation Ensign Resource Service Group Inc. Hurricane Hydrocarbons Ltd. Husky Energy Inc. Imperial Oil Limited Nexen Inc. PanCanadian Energy Corp. Paramount Resources Ltd. Penn West Petroleum Limited Petro-Canada Precision Drilling Corporation Rio Alto Exploration Ltd. ShawCor Ltd. Shell Canada Limited Suncor Energy Inc. Talisman Energy Inc. 7

8 TEO UP VRM WTO Tesco Corporation Ultra Petroleum Corporation Vermilion Resources Ltd. Western Oil Sands Inc. Company additions to and deletions from an S&P equity index do not in any way reflect an opinion on the investment merits of the company. Participating Organizations who require additional information on the above should direct their questions to S&P: Canadian Index Operations LEONARD PETRILLO VICE PRESIDENT GENERAL COUNSEL & SECRETARY 8

Statistics. September Interest Rate Derivatives. Index Derivatives. Equity Derivatives

Statistics. September Interest Rate Derivatives. Index Derivatives. Equity Derivatives Statistics September 24 Interest Rate Derivatives Index Derivatives Equity Derivatives BOURSE DE MONTRÉAL INC. - September 24 Monthly s Year-to-Date s Month End Interest Interest Rate % % % Interest Interest

More information

NOTICE TO MEMBERS No November 2, 2005

NOTICE TO MEMBERS No November 2, 2005 NOTICE TO MEMBERS No. 2005-095 November 2, 2005 MARGIN PARAMETERS FOR THE MONTRÉAL EXCHANGE DERIVATIVES INSTRUMENTS Pursuant to Rule A-7, CDCC updates on a regular basis its margin parameters: - margin

More information

NOTICE TO MEMBERS No November 6, 2006

NOTICE TO MEMBERS No November 6, 2006 NOTICE TO MEMBERS No. 2006-123 November 6, 2006 MARGIN PARAMETERS FOR THE MONTRÉAL EXCHANGE DERIVATIVES INSTRUMENTS Pursuant to Rule A-7, CDCC updates on a regular basis its margin parameters: - margin

More information

November 2010

November 2010 Canada s Global l Leaders 1985-2010 November 2010 Identifying Canada s Global Leaders Criteria i for inclusion: i Public or private Canadian controlled company on Report on Business Top 1000 or Financial

More information

CIRCULAR February 12, 2016

CIRCULAR February 12, 2016 Trading Interest Rate Derivatives Trading Equity and Index Derivatives Back-office Futures Back-office - Options Technology Regulation CIRCULAR 021-16 February 12, 2016 MODIFICATION OF THE MINIMUM QUOTATION

More information

NOTICE TO MEMBERS No August 3, 2007

NOTICE TO MEMBERS No August 3, 2007 NOTICE TO MEMBERS No. 2007-088 August 3, 2007 MARGIN PARAMETERS FOR THE MONTRÉAL EXCHANGE DERIVATIVES INSTRUMENTS AND OVER-THE-COUNTER DERIVATIVE INSTRUMENTS Pursuant to Rule A-7, CDCC updates on a regular

More information

Perspectives. Accounting for Canadian Pensions and other Postretirement Benefits

Perspectives. Accounting for Canadian Pensions and other Postretirement Benefits Perspectives Accounting for Canadian Pensions and other Postretirement Benefits Accounting for Canadian Pensions and other Postretriement Benefits Introduction This report summarizes the assumptions used

More information

NOTICE TO MEMBERS No January 2, 2008

NOTICE TO MEMBERS No January 2, 2008 NOTICE TO MEMBERS No. 2008 001 January 2, 2008 List of For your reference, please find attached a list of Canadian Derivatives Clearing Corporation issued in 2007. Michel Favreau Senior Vice President

More information

ANNUAL RANKING. New methodology for 2005 unveils surprises. Sponsored by

ANNUAL RANKING. New methodology for 2005 unveils surprises. Sponsored by Sponsored by ANNUAL RANKING New methodology for 2005 unveils surprises In the following pages you will not find out which company has the glossiest sustainability report. Instead, you ll see a ranking

More information

What did. Corporate Tax Cuts deliver?

What did. Corporate Tax Cuts deliver? What did Corporate Tax Cuts deliver? A Background Report for Corporate Tax Freedom Day 2013 A Background Report for Corporate Tax Freedom Day 2013 Summary Due to ongoing corporate tax cuts, corporate

More information

Annual financial statements December 31, 2015 POOLED AND INDEXED FUNDS

Annual financial statements December 31, 2015 POOLED AND INDEXED FUNDS Annual financial statements December 31, 2015 POOLED AND INDEXED FUNDS Contents Annual financial statements 4 Manulife Asset Management Canadian Equity Fund 7 Manulife Asset Management Canadian Value Equity

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

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

WINDWISE FUNDS. Financial Statements as at December 31, 2016

WINDWISE FUNDS. Financial Statements as at December 31, 2016 WINDWISE FUNDS Financial Statements as at December 31, 2016 WINDWISE FUNDS Financial Statements as at December 31, 2016 Independent Auditor s Report... 1 WindWise Canadian 20+ Strip Bond Index Non-Lending

More information

WHAT DID CORPORATE TAX CUTS. deliver?

WHAT DID CORPORATE TAX CUTS. deliver? WHAT DID CORPORATE TAX CUTS deliver? A Background Report for CORPORATE TAX FREEDOM DAY, 2014 What did Corporate Tax Cuts Deliver? A Background Report for Corporate Tax Freedom Day 2014 Edition It has

More information

A Strong Financial Outlook

A Strong Financial Outlook Financial Strategy A Strong Financial Outlook Significantly improved sustainability Increased funds flow as a result of: Growth in production Higher margin projects with better netbacks Improving commodity

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

MSCI CANADA IMI WOMEN S LEADERSHIP SELECT INDEX METHODOLOGY

MSCI CANADA IMI WOMEN S LEADERSHIP SELECT INDEX METHODOLOGY INDEX METHODOLOGY MSCI CANADA IMI WOMEN S LEADERSHIP SELECT INDEX METHODOLOGY February 2018 CONTENTS 1 Introduction... 3 2 MSCI ESG Research... 4 2.1 MSCI ESG Ratings... 4 2.2 MSCI ESG Controversies...

More information

POSITION LIMITS STOCK AND TRUST UNITS OPTIONS EXCHANGE TRADED FUNDS UNITS OPTIONS INDEX OPTIONS CURRENCY OPTIONS

POSITION LIMITS STOCK AND TRUST UNITS OPTIONS EXCHANGE TRADED FUNDS UNITS OPTIONS INDEX OPTIONS CURRENCY OPTIONS Trading Interest Rate Derivatives Trading Equity and Index Derivatives Back-office Futures Back-office - Options Technology Regulation MCeX CIRCULAR April 8, 2009 POSITION LIMITS STOCK AND TRUST UNITS

More information

University of Victoria Combination Pension Plan. Portfolio holdings as at December 31, 2016 Balanced Fund & Defined Retirement Benefit Fund

University of Victoria Combination Pension Plan. Portfolio holdings as at December 31, 2016 Balanced Fund & Defined Retirement Benefit Fund University of Victoria Combination Pension Plan Portfolio holdings as at December 31, 2016 Balanced Fund & Defined Retirement Benefit Fund Balanced Fund TOTAL BALANCED FUND INVESTMENT PORTFOLIO AT MARKET

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

Quantitative Value Strategy Beats the Market

Quantitative Value Strategy Beats the Market Quantitative Value Strategy Beats the Market by: Siyang (Maggie) Wu BComm in Finance University of British Columbia PROJECT SUBMITTED IN PARTIAL FULFILLMENT OF THE REQUIREMENTS FOR THE DEGREE OF MASTER

More information

2010 Catalyst Census: Financial Post 500 Women Senior Officers and Top Earners

2010 Catalyst Census: Financial Post 500 Women Senior Officers and Top Earners 2010 Catalyst Census: Financial Post 500 Women Senior and Top Earners 1 2 401 407 International 0 10 262 Abbott Laboratories Ltd. 0 1 52 AbitibiBowater 141 Aecon Group 0 11 Construction 14 381 Alimentation

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

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

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

STATE STREET GLOBAL ADVISORS MULTI-ACCESS FUNDS. Financial Statements as at December 31, 2014

STATE STREET GLOBAL ADVISORS MULTI-ACCESS FUNDS. Financial Statements as at December 31, 2014 STATE STREET GLOBAL ADVISORS MULTI-ACCESS FUNDS Financial Statements as at 2014 March 23, 2015 Independent Auditor s Report To the Unitholders of SSgA MA Canadian Equity Index Plus Fund SSgA MA Canadian

More information

MD Family of Funds 2016 INTERIM FINANCIAL STATEMENTS

MD Family of Funds 2016 INTERIM FINANCIAL STATEMENTS MD Family of Funds 2016 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

MD Family of Funds 2016 ANNUAL FINANCIAL STATEMENTS

MD Family of Funds 2016 ANNUAL FINANCIAL STATEMENTS MD Family of Funds 2016 ANNUAL FINANCIAL STATEMENTS A Message About Your Financial Statements Dear MD Family of Funds Investor: As part of our commitment to keeping you informed about your MD fund investments,

More information

Report to the 155 th Regular Session of Synod from the Investment Committee

Report to the 155 th Regular Session of Synod from the Investment Committee Report to the 155 th Regular Session of Synod from the Investment Committee The Investment Committee of Synod is responsible, under Canon 39, for the management of the Consolidated Trust Fund (CTF) and

More information

POSITION LIMITS STOCK AND TRUST UNITS OPTIONS EXCHANGE TRADED FUNDS UNITS OPTIONS INDEX OPTIONS CURRENCY OPTIONS

POSITION LIMITS STOCK AND TRUST UNITS OPTIONS EXCHANGE TRADED FUNDS UNITS OPTIONS INDEX OPTIONS CURRENCY OPTIONS Trading Interest Rate Derivatives Trading Equity and Index Derivatives Back-office Futures Back-office - Options Technology Regulation MCeX CIRCULAR July 23, 2009 POSITION LIMITS STOCK AND TRUST UNITS

More information

Lysander-18 Asset Management Canadian Equity Fund

Lysander-18 Asset Management Canadian Equity Fund Financial statements of Lysander-18 Asset Management Canadian Equity Fund December 31, 2014 This page had been left intentionally blank. Deloitte LLP Brookfield Place 181 Bay Street Suite 1400 Toronto

More information

A Scientist in a Strange Land. Norman Rothery

A Scientist in a Strange Land. Norman Rothery A Scientist in a Strange Land Norman Rothery York University Jan 22 1999 Norman Rothery Abstract Interested in making a small fortune on Bay street without squeegeeing your way to riches? To help graduate

More information

INTEGRA CANADIAN VALUE GROWTH FUND

INTEGRA CANADIAN VALUE GROWTH FUND Financial Statements of INTEGRA CANADIAN VALUE GROWTH FUND KPMG LLP Bay Adelaide Centre 333 Bay Street, Suite 4600 Toronto ON M5H 2S5 Canada Tel 416-777-8500 Fax 416-777-8818 INDEPENDENT AUDITORS' REPORT

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

Factor Update. Sector Technical Update. Momentum. S&P/TSX Comp. Index. Dividend Growers. Dividend Yielders. Growth. Value

Factor Update. Sector Technical Update. Momentum. S&P/TSX Comp. Index. Dividend Growers. Dividend Yielders. Growth. Value Technically Speaking November 30, 2018 Inside This Issue Sector Strength Relative to TSX..2 Value Screen.3 Momentum Screen..5 Dividend Growers Screen...7 Dividend Yielders Screen...8 Growth Screen...9

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

BOURSTAD Dividendes distribués le 8 avril 2016 (16h31)

BOURSTAD Dividendes distribués le 8 avril 2016 (16h31) 101 AGF Management AGF.B CAD 0,0800 5 avr. 2016 0,0800 0,0800 102 Agrium Inc. AGU USD 0,8750 28 mars 2016 1,1533 1,1536 104 Alimentation Couche-Tard Inc., catégorie B ATD.B CAD 0,0675 21 mars 2016 0,0675

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 CIBC Balanced Inde Fund 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

More information

Horizons S&P/TSX 60 Equal Weight Index ETF (HEW:TSX)

Horizons S&P/TSX 60 Equal Weight Index ETF (HEW:TSX) Annual Report December 31, 2017 Horizons S&P/TSX 60 Equal Weight Index ETF (HEW:TSX) ACTIVE BENCHMARK BETAPRO Innovation is our capital. Make it yours. www.horizonsetfs.com Contents MANAGEMENT REPORT OF

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

For the year ended December 31, 2011

For the year ended December 31, 2011 audited ANNUAL Financial Statements For the year ended December 31, 2011 This report contains the audited annual financial statements of the investment fund. You can get a copy of the annual management

More information

Research. Manage. Communicate. The Dividend Growth Story March 2018

Research. Manage. Communicate. The Dividend Growth Story March 2018 The Dividend Growth Story March 2018 The Dividend Growth Story- Canadian Equity Model Portfolio March 2018 Dividend Changes in Most Recent Twelve Months: Increases: 24 Unchanged: 2 Decreases: 0 Portfolio

More information

Factor Update. Sector Technical Update. Growth. Momentum. Dividend Yielders. S&P/TSX Comp. Index. Dividend Growers. Value

Factor Update. Sector Technical Update. Growth. Momentum. Dividend Yielders. S&P/TSX Comp. Index. Dividend Growers. Value Technically Speaking January 31, 2018 Inside This Issue Sector Strength Relative to TSX..2 Value Screen.3 Momentum Screen..5 Dividend Growers Screen...7 Dividend Yielders Screen...8 Growth Screen...9 Appendix..10

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

TSX Short Interest Summary - 9/30/2017

TSX Short Interest Summary - 9/30/2017 TSX Short Interest Summary - 9/30/2017 Average Short Interest % Change By Sector 0% 26% 14% 36% 2% Curr. %.. () (1%) () (5%) (16%) (13%) (7%) (3%) (4%) (14%) () (9%) (35%) Cons. Disc. Cons. Stap. Energy

More information

Combination Pension Plan

Combination Pension Plan University of Victoria Combination Pension Plan Portfolio Holdings as at December 31, 2017 Balanced Fund & Defined Retirement Benefit Fund TOTAL BALANCED FUND PORTFOLIO (, expressed in $000's) $1,055,602

More information

VIEWPOINT OCTOBER 26 TO NOVEMBER 20, November 23, 2015 DOWNGRADES ATCO LTD. (ACO.X) - SELL IAMGOLD CORP. (IAG) - SELL

VIEWPOINT OCTOBER 26 TO NOVEMBER 20, November 23, 2015 DOWNGRADES ATCO LTD. (ACO.X) - SELL IAMGOLD CORP. (IAG) - SELL November 23, 2015 VIEWPOINT W e e k l y u p d a t e o f o u r E q u i t y R a t i n g s OCTOBER 26 TO NOVEMBER 20, 2015 DOWNGRADES ATCO LTD. (ACO.X) - SELL IAMGOLD CORP. (IAG) - SELL UPGRADES TRANSCANADA

More information

University of Victoria. Money Purchase. Pension Plan

University of Victoria. Money Purchase. Pension Plan University of Victoria Money Purchase Pension Plan Balanced Fund Portfolio Holdings as at December 31, 2017 TOTAL BALANCED FUND PORTFOLIO (, expressed in $000's) $1,055,603 COMBINATION PENSION PLAN 93.9%

More information

Semi-Annual Report (unaudited)

Semi-Annual Report (unaudited) Semi-Annual Report (unaudited) for the period ended June 30, 2017 SEI Group of Funds Canadian Equity Funds Canadian Equity Fund Canadian Small Company Equity Fund U.S. Equity Funds U.S. Large Cap Index

More information

for the period ended December 31, 2016

for the period ended December 31, 2016 Annual Report for the period ended December 31, 2016 Canadian Equity Funds Canadian Equity Fund 1,3,5,7,9,11,13,16 Canadian Small Company Equity Fund 1,3,5,7,9,11,13 U.S. Equity Funds U.S. Large Cap Index

More information

Research. Manage. Communicate. The Dividend Growth Story June 2018

Research. Manage. Communicate. The Dividend Growth Story June 2018 The Dividend Growth Story June 2018 The Dividend Growth Story- Canadian Equity Model Portfolio June 2018 Dividend Changes in Most Recent Twelve Months: Increases: 23 Unchanged: 2 Decreases: 0 Portfolio

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

S&P/TSX COMPOSITE INDEX

S&P/TSX COMPOSITE INDEX S&P Dow Jones Indices Announces Changes to the S&P/TSX Canadian Indices Results of the Quarterly Review of the S&P/TSX Composite Index Toronto, Ontario, December 8, 2017 S&P Dow Jones Canadian Index Services

More information

The Dividend Growth Story. December 2011

The Dividend Growth Story. December 2011 The Dividend Growth Story December 2011 Canadian Equity Model Portfolio Canadian Equity Model Portfolio (As of December 31st 2011): Dividend Yield: 3.41% Dividend Growth Rate: One Year: +4.5% Five Years:

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 CIBC Canadian Inde Fund 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

More information

CIBC Canadian Index Fund. Interim Financial Statements (unaudited) for the period ended June 30, 2008

CIBC Canadian Index Fund. Interim Financial Statements (unaudited) for the period ended June 30, 2008 CIBC Canadian Index Fund Interim Financial Statements (unaudited) for the period ended June 30, 2008 Statement of Investment Portfolio (unaudited) As at June 30, 2008 Number of Shares/ Par Value Canadian

More information

Best practices in compensation disclosure 2007

Best practices in compensation disclosure 2007 Best practices in compensation disclosure 2007 Executive compensation is one of the more complex issues dealt with by a board of directors. For shareholders to assess an issuer s compensation regime, we

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

Annual Report December 31, 2017

Annual Report December 31, 2017 Annual Report December 31, 2017 Beutel Goodman Balanced Fund Beutel Goodman Canadian Equity Fund Beutel Goodman Total World Equity Fund Beutel Goodman North American Focused Equity Fund Beutel Goodman

More information

Research. Manage. Communicate. The Dividend Growth Story December 2017

Research. Manage. Communicate. The Dividend Growth Story December 2017 The Dividend Growth Story December 2017 The Dividend Growth Story- Canadian Equity Model Portfolio December 2017 Dividend Changes in Most Recent Twelve Months: Increases: 23 Unchanged: 2 Decreases: 0 Portfolio

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

MD Family of Funds 2016 ANNUAL FINANCIAL STATEMENTS

MD Family of Funds 2016 ANNUAL FINANCIAL STATEMENTS MD Family of Funds 2016 ANNUAL FINANCIAL STATEMENTS A Message About Your Financial Statements Dear MD Family of Funds Investor: As part of our commitment to keeping you informed about your MD fund investments,

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

Verus Monthly Market Insights

Verus Monthly Market Insights September 2017 September 2017 and Consumer Discretionary sectors lead in a strong month for Canadian equities The S&P/TSX Composite Index climbed 2.78% through the month of September on a price only basis.

More information

Imperial Canadian Equity Pool. Interim Financial Statements (unaudited) for the period ended June 30, 2008

Imperial Canadian Equity Pool. Interim Financial Statements (unaudited) for the period ended June 30, 2008 Imperial Canadian Equity Pool Interim Financial Statements (unaudited) for the period ended June 30, 2008 Statement of Investment Portfolio (unaudited) As at June 30, 2008 Number of Shares/ Par Value Canadian

More information

MDPIM Pooled Funds 2018 INTERIM FINANCIAL STATEMENTS

MDPIM Pooled Funds 2018 INTERIM FINANCIAL STATEMENTS MDPIM Pooled Funds 2018 INTERIM FINANCIAL STATEMENTS This page left intentionally blank. A Message Regarding Your Financial Statements The Interim Financial Statements produced for our MDPIM Pools are

More information

APPENDIX 4B: INDUSTRY LISTING, NUMBER AND PERCENT OF WOMEN CORPORATE OFFICERS, BY INDUSTRY AND COMPANY

APPENDIX 4B: INDUSTRY LISTING, NUMBER AND PERCENT OF WOMEN CORPORATE OFFICERS, BY INDUSTRY AND COMPANY APPENDIX 4B: INDUSTRY LISTING, NUMBER AND PERCENT OF WOMEN CORPORATE OFFICERS, BY INDUSTRY AND COMPANY ACCOUNTING (4/29) 13.8% DELOITTE & TOUCHE LLP (0/6) ERNST & YOUNG LLP (2/7) KPMG LLP (2/13) 15.4%

More information

Canadian Scholarship Trust Individual Savings Plan

Canadian Scholarship Trust Individual Savings Plan C.S.T. Consultants Inc. Canadian Scholarship Trust Plan Sponsor Canadian Scholarship Trust Foundation 2235 Sheppard Avenue East, Suite 1600 Toronto, Ontario M2J 5B8 1.877.333.RESP (7377) Investment Fund

More information

Trends & Ideas. Where is the strength?

Trends & Ideas. Where is the strength? Trends & Ideas August 3, 2018 Larbi Moumni, CFA Where is the strength? Relative strength (or price relative) indicators compare the performance of one security to that of another, say a sector to an index

More information

CANADIAN FOREIGN DIRECT INVESTMENT IN LATIN AMERICA

CANADIAN FOREIGN DIRECT INVESTMENT IN LATIN AMERICA CANADIAN FOREIGN DIRECT INVESTMENT IN LATIN AMERICA Background paper prepared by Juan Martín Arellano May 2010 This paper looks at the relative importance, sectoral composition and geographical allocation

More information

Semi-Annual Management Report of Fund Performance

Semi-Annual Management Report of Fund Performance Semi-Annual Management Report of Fund Performance BMO Private Canadian Conservative Equity Portfolio (formerly, BMO Harris Canadian Conservative Equity Portfolio) For the period ended June 30, 2015 This

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

Monthly S&P/TSX Performance Review

Monthly S&P/TSX Performance Review Equities Global Portfolio Advisory Group Monthly Market Snapshot AUGUST 2016 Monthly S&P/TSX Performance Review October 5, 2017 September 2017 Energy and Consumer Discretionary sectors lead in a strong

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 Canadian Imperial Equity Fund This interim management report of fund performance contains

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 the management of Encasa Financial Inc. as the manager (the Manager ) of the Social Housing

More information

Monthly Performance Review March 2017

Monthly Performance Review March 2017 Monthly Performance Review March 2017 Scotia Wealth Managment April 3, 2017 S&P/TSX Composite Canadian equities climb, as Valeant continues to drag on Health Care S&P 500 Financials lead U.S. equities

More information

Mulvihill Structured Products. Hybrid Income Funds. Mulvihill Pro-AMS RSP Split Share Fund

Mulvihill Structured Products. Hybrid Income Funds. Mulvihill Pro-AMS RSP Split Share Fund Mulvihill Structured Products Hybrid Income Funds l Semi-Annual Report 2003 Mulvihill Pro-AMS RSP Split Share Fund L Message to Shareholders As of June 30, 2003, the net assets of the Fund were $84.2

More information

FIRST PREMIUM INCOME TRUST [FPI.UN]

FIRST PREMIUM INCOME TRUST [FPI.UN] FIRST PREMIUM INCOME TRUST [FPI.UN] Annual Report 2000 December 31, 2000 and 1999 Investment Management by Mulvihill Capital Management Inc. The Mulvihill Premium Funds Commentary April, 2001 Equity markets

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

METALS MORNING NOTE OCTOBER 16, 2003

METALS MORNING NOTE OCTOBER 16, 2003 METALS MORNING NOTE OCTOBER 16, 23 C OMMODITY U PDATES 1, 1,, 25, 15, 1, in the U.S. 5, 7, 5, 3, 1, 1, 1, 1, 1,, 8, 6, 4, 2, Copper Zinc Aluminum $14. $13. $12. $11. $1. $9. $8. $7. Lead Nickel Uranium

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 CIBC Canadian Inde Fund Annual Financial Statements for the financial year ended December 31, 2016 Statements of Financial Position (in 000s, ecept per unit amounts) As at December 31, 2016 and 2015 (note

More information

SHAREHOLDER ENGAGEMENT ACTIVITY REPORT Q4/10

SHAREHOLDER ENGAGEMENT ACTIVITY REPORT Q4/10 R E S P O N S I B L E I N V E S T M E N T F O R A S U S T A I N A B L E E C O N O M Y SHAREHOLDER ENGAGEMENT ACTIVITY REPORT Q4/10 October 1 - December 31, 2010 SHAREHOLDER ENGAGEMENT AT A GLANCE contents

More information

Semi-Annual Report June 30, 2018

Semi-Annual Report June 30, 2018 Semi-Annual Report June 30, 2018 Beutel Goodman Balanced Fund Beutel Goodman Canadian Equity Fund Beutel Goodman Total World Equity Fund Beutel Goodman North American Focused Equity Fund Beutel Goodman

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

2007 CENSUS OF WOMEN BOARD DIRECTORS OF THE FP500: Voices From the Boardroom

2007 CENSUS OF WOMEN BOARD DIRECTORS OF THE FP500: Voices From the Boardroom APPENDIX 7: NUMBER AND PERCENTAGE OF WOMEN BOARD DIRECTORS BY INDUSTRY WITH COMPANY ACCOUNTING (13/62) 21.0% DELOITTE & TOUCHE LLP (5/21) 23.8% ERNST & YOUNG LLP (3/11) 27.3% KPMG LLP (3/18) 16.7% PRICEWATERHOUSECOOPERS

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 CIBC Balanced Inde Fund 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

More information

SHAREHOLDER ENGAGEMENT ACTIVITY REPORT Q1/11

SHAREHOLDER ENGAGEMENT ACTIVITY REPORT Q1/11 R E S P O N S I B L E I N V E S T M E N T F O R A S U S T A I N A B L E E C O N O M Y SHAREHOLDER ENGAGEMENT ACTIVITY REPORT Q1/11 January 1 - March 31, 2011 SHAREHOLDER ENGAGEMENT AT A GLANCE Engagement

More information

UNIVERSITY OF VICTORIA COMBINATION PENSION PLAN

UNIVERSITY OF VICTORIA COMBINATION PENSION PLAN UNIVERSITY OF VICTORIA COMBINATION PENSION PLAN ANNUAL REPORT TO MEMBERS 2011 This page intentionally left blank University of Victoria Combination Pension Plan, 2011 Annual Report 2 Contents Letter from

More information

December 2012 Board Shareholder Confidence Index

December 2012 Board Shareholder Confidence Index (BSCI) 2012 Developed in spring 2003, the comprises of factors often used by active shareholders to assess Boards of s*. While there are other variables not in our model that contribute to the effectiveness

More information

MARKET-LINKED GUARANTEED INVESTMENT CERTIFICATE (the market-linked GICs) INFORMATION STATEMENT DATED APRIL 19, 2018

MARKET-LINKED GUARANTEED INVESTMENT CERTIFICATE (the market-linked GICs) INFORMATION STATEMENT DATED APRIL 19, 2018 1 DIVERSIFIED GIC STABILITY, Series 71, Investors Category MARKET-LINKED GUARANTEED INVESTMENT CERTIFICATE (the market-linked GICs) INFORMATION STATEMENT DATED APRIL 19, 2018 Before purchasing a market-linked

More information

BMO Canadian High Dividend Covered Call ETF (ZWC) (the ETF )

BMO Canadian High Dividend Covered Call ETF (ZWC) (the ETF ) SEMI-ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE BMO Canadian High Dividend Covered Call ETF (ZWC) (the ETF ) For the period from February 3, 2017 to June 30, 2017 (the Period ) Manager: BMO Asset Management

More information

Fidelity Canadian Disciplined Equity Fund

Fidelity Canadian Disciplined Equity Fund Fidelity Canadian Disciplined Equity Fund Annual Report June 30, 2017 Fidelity Canadian Disciplined Equity Fund Schedule of Investments June 30, 2017 Showing Percentage of Net Assets Attributable to Securityholders

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 CIBC Canadian Short-Term Bond Inde Fund Annual Financial Statements for the financial year ended December 31, 2016 Statements of Financial Position (in 000s, ecept per unit amounts) As at December 31,

More information

iprofile TM Canadian Equity Pool

iprofile TM Canadian Equity Pool Interim Management Report of Fund Performance FOR THE SIX-MONTH PERIOD ENDED SEPTEMBER 30, 2017 CAUTION REGARDING FORWARD-LOOKING STATEMENTS This report may contain forward-looking statements about 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

DIVERSIFIED GIC BALANCED, Series 68, Investors Category

DIVERSIFIED GIC BALANCED, Series 68, Investors Category DIVERSIFIED GIC BALANCED, Series 68, Investors Category MARKET-LINKED GUARANTEED INVESTMENT CERTIFICATE (the market-linked GICs) INFORMATION STATEMENT DATED JANUARY 25, 2018 Before purchasing a market-linked

More information

Franklin Bissett Dividend Income Fund

Franklin Bissett Dividend Income Fund Franklin Bissett Dividend Income Fund September 30, 2018 Portfolio Holdings The following portfolio data for the Franklin Templeton funds is made available to the public under our Portfolio Holdings Release

More information

Canadian Income Plus Portfolio

Canadian Income Plus Portfolio Investment Objective The ScotiaMcLeod Canadian Income Plus Guided Portfolio is a lower risk portfolio of stocks and income trusts designed for conservative investors whose primary objective is regular

More information

Semi-Annual Financial Statement as at September 30, 2012

Semi-Annual Financial Statement as at September 30, 2012 Semi-Annual Financial Statement as at September 30, 2012 A look inside Overview.............................................................. 1 About the CI Funds Board of Governors Letter from the CI

More information