 鲜花( 87)  鸡蛋( 1)
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Top 10 Holdings of Fund' D; I. Y7 s4 ]1 R7 U
Holding Name | % of Total Assets | Cash and Cash Equivalents | 5.3 | Canada 3.75% 01-Jun-2019 | 5.1 | Canada 5.00 % 01-Jun-2037 | 3.3 | Manulife Financial Capital Trust 7.41% 13-Dec-2019 | 1.9 | Reliance Lp 7.30 % 03-Apr-2013 | 1.9 | Government of Canada Real Return 2.00% 01-Dec-2041 | 1.9 | Ontario Province 5.60 % 02-Jun-2035 | 1.8 | CIBC Capital Trust 9.98% 30-Jun-2019 | 1.8 | Scotiabank Tier 1 Trust 7.80% 30-Jun-2019 | 1.6 | Ge Capital Canada Funding Co 5.29 % 17-Aug-2012 | 1.5 |
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, n7 Z! [4 X3 C4 M/ Y+ ^Asset Mix Table [4 {4 v t8 ~3 K! h& w5 J
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/ l* q' `# t7 [: T rAsset Name | % of Total Assets | Bonds - Corporate | 71.3 | Bonds - Government | 20.4 | Cash Equivalent - Asset | 5.3 | Mortgages | 3.0 |
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8 [2 z. c* }/ Q, M \% z: c. }( Z1 V# N X
% t: @+ _( E+ C7 B( |. f7 }Early Redemption: | Up to 2.00% of purchase cost if redeemed within 30 days of purchase. | MER: | 1.42% as of June 30, 2008. | Sector Class: | Canadian Fixed Income | Inception Date: | Sep. 4, 2007 | Assets: | $ 342.10 million as of Aug. 31, 2009. |
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