Combined Mandates > ROI Global Retirement Fund

ROI Global Retirement Fund

A Robust Portfolio with Private Placements

ROI Global Retirement Fund is designed to provide investors with a robust global portfolio of stocks and bonds combined with the stability of private placements – an innovative global allocation designed for long-term growth. Public equities are co-managed by ROI's Adjustable CashFlow Series gives you control over your changing cash flow needsJohnston Asset Management and Wentworth, Hauser and Violich,
now available in Canada exclusively through ROI.

Fund Highlights

  • Diversified global stocks and bonds – managed by leading institutional managers
  • Exposure to private placements – higher yield and more stability than traditional
    fixed- income options
  • Different cash flow options
  • Flexibility to switch when cash flow needs change – without triggering tax

Johnston Asset Management

  • Established in 1985
  • Top ranking international equity manager over past 10 years
  • Invests in high-quality, growing global companies at value prices

Wentworth, Hauser and Violich

Wentworth, Hauser and Violich

  • Established in 1937
  • Leading international equity manager
  • Adding value outside of the benchmark

Quick Links

Canadian Retirement Fund| Global Retirment Fund| Sceptre Growth Retirement Fund
ROI Fund Balanced
| ROI Fund Private
Global Retirement Fund
    performanceTop10Top 10 Holdings


FUND PERFORMANCE

1 Month (0.88%)
3 Months (10.41%)
6 Months (9.32%)
1 Year 2.18%
3 Years (7.93%)
Since Inception
(November 2006)
(5.45%)

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

 
    Asset MixIndustry AllocationGeographic Allocation

Equities – Large Cap 54.76%

Equities – Small-to-Mid Cap 28.82%

Cash & Short-Term Securities 8.27%

Private Placements & Other 8.15%

Health Care 20.53%

Industrials 16.87%

Materials 16.60%

Energy 14.11%

Consumer Staples 11.47%

Information Technology 9.50%

Financial Services 7.33%

Telecommunication Services 1.51%

Consumer Discretionary 1.43%

Utilities 0.65%

United States 24.91%

Canada 19.65%

Switzerland 15.21%

United Kingdom 11.26%

Netherlands 5.24%

Australia 4.28%

Germany 3.07%

Netherlands Antilles 2.85%

Bermuda 2.65%

China 2.01%

Brazil 1.89%

India 1.81%

Luxembourg 1.32%

Ireland 1.03%

Singapore 0.95%

France 0.91%

Israel 0.53%

Denmark 0.43%


  Company    %  
Mold-Masters   4.86%
BHP Billiton Limited   4.05%
Diageo PLC ADR   2.76%
Schlumberger Limited   2.70%
Millipore   2.41%
Edwards Lifesciences   2.25%
NetApp Inc.   2.20%
Nestle S.A. ADR   2.19%
SABMiller PLC   2.13%
RIO Tinto PLC   2.12%

ROI Private Placement