ROI Global Retirement Fund

Portfolio


  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

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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