ROI Canadian Retirement Fund

Portfolio


  Company    %  
Mold-Masters   5.22%
Novo Plastics Inc.   4.04%
Royal Bank of Canada   3.47%
Bank of Nova Scotia   2.40%
Toronto Dominion Bank   2.24%
Suncor Energy   2.11%
Canadian National Railway   2.07%
Gov't of Canada - Bond   2.06%
Canada Housing Trust   2.00%
Canadian Natural Resources   1.72%

ROI Private Placement

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Canadian Retirement Fund
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FUND PERFORMANCE

1 Month (2.58%)
3 Months (4.46%)
6 Months (2.15%)
1 Year 11.22%
3 Years (6.66%)
Since Inception
(April 2006)
(2.19%)

GlobeFund posted returns for Series A as at
June 30, 2010.

 
    Asset MixIndustry AllocationGeographic Allocation

Equities – Large Cap 45.78%

Equities – Small-to-Mid Cap 21.04%

Bonds 18.88%

Private Placements & Other 10.94%

Income Trusts 1.70%

Cash & Short-Term Securities 1.66%

Financials 23.05%

Energy 20.75%

Industrials 18.94%

Materials 16.50%

Other 7.30%

Consumer Discretionary 5.38%

Information Technology 3.02%

Telecommunication Services 2.58%

Consumer Staples 2.00%

Utilities 0.27%

Health Care 0.21%

Canada 94.48%

United States 5.52%


  Company    %  
Mold-Masters   5.22%
Novo Plastics Inc.   4.04%
Royal Bank of Canada   3.47%
Bank of Nova Scotia   2.40%
Toronto Dominion Bank   2.24%
Suncor Energy   2.11%
Canadian National Railway   2.07%
Gov't of Canada - Bond   2.06%
Canada Housing Trust   2.00%
Canadian Natural Resources   1.72%

ROI Private Placement