INVESTMENT FUNDS. iag Savings and Retirement Plan. As at December 31, 2015. Fund Facts

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Transcription:

INVESTMENT FUNDS iag Savings and Retirement Plan As at December 31, 2015 Fund Facts

TABLE OF CONTENTS List of Funds Offered by Industrial Alliance Insurance and Financial Services Inc...3 Professional Management of the Funds...5 Management Fees and Management Expense Ratio MER... 7 Investment Objectives and Risk Factors associated with Funds...10 Fund Facts FOCUS FUNDS Focus Prudent...26 Focus...28 Focus Balanced...30 Focus Growth....32 Focus Aggressive...34 SELECTION FUNDS Selection Prudent...36 Selection...38 Selection Balanced...40 Selection Growth................................... 42 Selection Aggressive....44 INCOME FUNDS Money Market...46 Short Term Bond...48 Bond...50 Canadian Corporate Bond...52 Strategic Corporate Bond...54 Fidelity American High Yield Currency Neutral...56 Tactical Bond...58 Real Return Bond....60 Global Fixed Income (PIMCO)....62 DIVERSIFIED FUNDS Diversified Security....64 Diversified...66 Diversified Opportunity....68 Canadian Balanced (QV)... 70 SRI Balanced (Inhance)....72 Diversified Income...74 Strategic Income...76 Global Diversified (Loomis Sayles)...78 Tactical Income...80 Global Diversified (Forstrong)... 82 CANADIAN HYBRID FUNDS Strategic Equity Income Hybrid 75/25...84 Dividend Growth Hybrid 75/25...86 Canadian Conservative Equity (Leon Frazer) Hybrid 75/25... 88 Canadian Equity Index Hybrid 75/25...90 Select Canadian Hybrid 75/25...92 Canadian Equity Value Hybrid 75/25...94 Canadian Equity (Taylor AM) Hybrid 75/25... 96 Fidelity True North Hybrid 75/25...98 Canadian Equity Growth Hybrid 75/25...100 Fidelity Canadian Opportunities Hybrid 75/25...102 Canadian Equity Small Cap (QV) Hybrid 75/25... 104 GLOBAL HYBRID FUNDS Global Dividend (Dynamic) Hybrid 75/25... 106 Global Equity Hybrid 75/25...108 Global Equity (Templeton) Hybrid 75/25... 110 Global Opportunities (Radin) Hybrid 75/25... 112 Global True Conviction Hybrid 75/25...114 Fidelity NorthStar Hybrid 75/25...116 U.S. Equity (Sarbit) Currency Neutral Hybrid 75/25... 118 CANADIAN EQUITY FUNDS Strategic Equity Income...120 Dividend Growth...122 Canadian Conservative Equity (Leon Frazer)...124 Canadian Equity Index...126 1

Select Canadian...128 Canadian Equity Value...130 Canadian Equity (Taylor AM)... 132 Fidelity True North...134 Canadian Equity Growth...136 Fidelity Canadian Opportunities...138 Canadian Equity Small Cap (QV)... 140 U.S. & INTERNATIONAL EQUITY FUNDS Global Dividend (Dynamic)...142 Global Equity...144 Global Equity (Templeton)... 146 Global Opportunities (Radin)... 148 Global True Conviction....150 Fidelity NorthStar................................. 152 International Equity Index (BlackRock)... 154 International Equity...156 International Equity (Templeton)....158 Fidelity European Equity...160 U.S. Equity Index (BlackRock)... 162 U.S. Equity... 164 U.S. Equity Currency Neutral... 166 U.S. Dividend Growth... 168 U.S. Equity (Sarbit) Currency Neutral... 170 SPECIALTY FUNDS Asian Pacific (Dynamic)... 172 Emerging Markets (Mackenzie)...174 Global Health Care (Renaissance)...176 Real Estate Income...178 U.S. DAQ Index...180 FORLIFE SERIES FUNDS INCOME STAGE FORLIFE Guaranteed Maximum Income...182 FORLIFE Guaranteed Income & Growth... 184 2

List of Funds Offered by Industrial Alliance Insurance and Financial Services Inc. Industrial Alliance Insurance Fund Investment Inception and Financial Services Inc. Funds Manager Advisor Date FOCUS FUNDS Focus Prudent IA Industrial Alliance Investment Management Inc. OCT 2002 Focus IA Industrial Alliance Investment Management Inc. OCT 2002 Focus Balanced IA Industrial Alliance Investment Management Inc. OCT 2002 Focus Growth IA Industrial Alliance Investment Management Inc. OCT 2002 Focus Aggressive IA Industrial Alliance Investment Management Inc. OCT 2002 SELECTION FUNDS Selection Prudent IA Industrial Alliance Investment Management Inc. DEC 2013 Selection IA Industrial Alliance Investment Management Inc. DEC 2013 Selection Balanced IA Industrial Alliance Investment Management Inc. DEC 2013 Selection Growth IA Industrial Alliance Investment Management Inc. DEC 2013 Selection Aggressive IA Industrial Alliance Investment Management Inc. DEC 2013 INCOME FUNDS Money Market IA Industrial Alliance Investment Management Inc. SEP 1991 Short Term Bond IA Industrial Alliance Investment Management Inc. JAN 1998 Bond IA Industrial Alliance Investment Management Inc. MAY 1977 Canadian Corporate Bond IA Industrial Alliance Investment Management Inc. MAY 2016 Strategic Corporate Bond IA IA Clarington Investments Inc. JAN 2012 Fidelity American High Yield Currency Neutral IA Fidelity Investments JUN 2015 Tactical Bond IA IA Clarington Investments Inc. JUL 2010 Real Return Bond IA Industrial Alliance Investment Management Inc. JAN 2012 Global Fixed Income (PIMCO) IA PIMCO MAR 2013 DIVERSIFIED FUNDS Diversified Security IA Industrial Alliance Investment Management Inc. JAN 1999 Diversified IA Industrial Alliance Investment Management Inc. JAN 1987 Diversified Opportunity IA Industrial Alliance Investment Management Inc. JAN 1999 Canadian Balanced (QV) IA QV Investors Inc. DEC 2009 SRI Balanced (Inhance) IA Vancity Investment Management Ltd. DEC 2009 Diversified Income IA Industrial Alliance Investment Management Inc. OCT 2003 Strategic Income IA IA Clarington Investments Inc. JAN 2012 Global Diversified (Loomis Sayles) IA Loomis Sayles & Company NOV 2006 Tactical Income IA IA Clarington Investments Inc. NOV 2008 Global Diversified (Forstrong) IA Forstrong Global Asset Management MAY 2016 CANADIAN HYBRID FUNDS Strategic Equity Income Hybrid 75/25 IA IA Clarington Investments Inc. JAN 2011 Dividend Growth Hybrid 75/25 IA Industrial Alliance Investment Management Inc. JAN 2011 Canadian Conservative Equity (Leon Frazer) Hybrid 75/25 IA Leon Frazer & Associates Inc. JAN 2011 Canadian Equity Index Hybrid 75/25 IA Industrial Alliance Investment Management Inc. JAN 2011 Select Canadian Hybrid 75/25 (1) IA Industrial Alliance Investment Management Inc. JAN 2011 Canadian Equity Value Hybrid 75/25 IA Industrial Alliance Investment Management Inc. JAN 2011 Canadian Equity (Taylor AM) Hybrid 75/25 IA Taylor Asset Management Inc. JAN 2011 Fidelity True North Hybrid 75/25 IA Fidelity Investments JAN 2011 Canadian Equity Growth Hybrid 75/25 IA Industrial Alliance Investment Management Inc. JAN 2011 Fidelity Canadian Opportunities Hybrid 75/25 IA Fidelity Investments JAN 2011 Canadian Equity Small Cap (QV) Hybrid 75/25 IA QV Investors Inc. JAN 2011 3

Industrial Alliance Insurance Fund Investment Inception and Financial Services Inc. Funds Manager Advisor Date GLOBAL HYBRID FUNDS Global Dividend (Dynamic) Hybrid 75/25 IA Dynamic Funds JAN 2011 Global Equity Hybrid 75/25 IA Industrial Alliance Investment Management Inc. JAN 2011 Global Equity (Templeton) Hybrid 75/25 IA Franklin Templeton Investments JAN 2011 Global Opportunities (Radin) Hybrid 75/25 IA Radin Capital Partners Inc. JAN 2012 Global True Conviction Hybrid 75/25 IA Industrial Alliance Investment Management Inc. JAN 2011 Fidelity NorthStar Hybrid 75/25 IA Fidelity Investments JAN 2011 U.S. Equity (Sarbit) Currency Neutral Hybrid 75/25 IA Sarbit Advisory Services Inc. JAN 2011 CANADIAN EQUITY FUNDS Strategic Equity Income IA IA Clarington Investments Inc. NOV 2005 Dividend Growth IA Industrial Alliance Investment Management Inc. NOV 2005 Canadian Conservative Equity (Leon Frazer) IA Leon Frazer & Associates Inc. NOV 2004 Canadian Equity Index IA Industrial Alliance Investment Management Inc. SEP 2001 Select Canadian (1) IA Industrial Alliance Investment Management Inc. JAN 1998 Canadian Equity Value IA Industrial Alliance Investment Management Inc. MAY 1969 Canadian Equity (Taylor AM) IA Taylor Asset Management Inc. NOV 2001 Fidelity True North IA Fidelity Investments JAN 1999 Canadian Equity Growth IA Industrial Alliance Investment Management Inc. OCT 2001 Fidelity Canadian Opportunities IA Fidelity Investments JAN 1999 Canadian Equity Small Cap (QV) IA QV Investors Inc. NOV 2008 U.S. & INTERNATIONAL EQUITY FUNDS Global Dividend (Dynamic) IA Dynamic Funds NOV 2006 Global Equity IA Industrial Alliance Investment Management Inc. JUL 2009 Global Equity (Templeton) IA Franklin Templeton Investments SEP 2001 Global Opportunities (Radin) IA Radin Capital Partners Inc. JAN 2012 Global True Conviction IA Industrial Alliance Investment Management Inc. JAN 2011 Fidelity NorthStar IA Fidelity Investments NOV 2005 International Equity Index (BlackRock) IA BlackRock SEP 1999 International Equity IA Industrial Alliance Investment Management Inc. NOV 2008 International Equity (Templeton) IA Franklin Templeton Investments JAN 1996 Fidelity European Equity IA Fidelity Investments JAN 1999 U.S. Equity Index (BlackRock) IA BlackRock JAN 1998 U.S. Equity IA Industrial Alliance Investment Management Inc. DEC 2006 U.S. Equity Currency Neutral IA Industrial Alliance Investment Management Inc. MAY 2016 U.S. Dividend Growth IA Industrial Alliance Investment Management Inc. NOV 2005 U.S. Equity (Sarbit) Currency Neutral IA Sarbit Advisory Services Inc. DEC 2009 SPECIALTY FUNDS Asian Pacific (Dynamic) IA Dynamic Funds JAN 2000 Emerging Markets (Mackenzie) IA Mackenzie Investment Management Ltd. JAN 1997 Global Health Care (Renaissance) IA CIBC Asset Management SEP 2001 Real Estate Income IA Industrial Alliance Investment Management Inc. OCT 2003 U.S. DAQ Index IA Industrial Alliance Investment Management Inc. SEP 1999 FORLIFE SERIES FUNDS INCOME STAGE FORLIFE Guaranted Maximum Income IA Industrial Alliance Investment Management Inc. NOV 2014 FORLIFE Guaranted Income & Growth IA Industrial Alliance Investment Management Inc. NOV 2014 (1) Only available in nonregistered contracts 4

Professional Management of the Funds GLOBAL EQUITY (TEMPLETON) INTERNATIONAL EQUITY (TEMPLETON) GLOBAL EQUITY (TEMPLETON) HYBRID 75/25 INTERNATIONAL EQUITY INDEX (BLACKROCK) U.S. EQUITY INDEX (BLACKROCK) FIDELITY AMERICAN HIGH YIELD CURRENCY NEUTRAL FIDELITY TRUE NORTH FIDELITY CANADIAN OPPORTUNITIES FIDELITY NORTHSTAR FIDELITY EUROPEAN EQUITY FIDELITY TRUE NORTH HYBRID 75/25 FIDELITY CANADIAN OPPORTUNITIES HYBRID 75/25 FIDELITY NORTHSTAR HYBRID 75/25 GLOBAL DIVIDEND (DYNAMIC) ASIAN PACIFIC (DYNAMIC) GLOBAL DIVIDEND (DYNAMIC) HYBRID 75/25 Franklin Templeton Investments 5000 Yonge Street, Suite 900 Toronto, Ontario M2N 0A7 BlackRock 161 Bay Street, Suite 2500 PO Box 614 Toronto, Ontario M5J 2S1 Fidelity Investments Canada Limited 483 Bay Street, Suite 300 Toronto, Ontario M5G 2N7 Dynamic Funds 1 Adelaide Street East, 29 th Floor Toronto, Ontario M5C 2V9 CANADIAN CONSERVATIVE EQUITY (LEON FRAZER) CANADIAN CONSERVATIVE EQUITY (LEON FRAZER) HYBRID 75/25 CANADIAN EQUITY SMALL CAP (QV) CANADIAN BALANCED (QV) CANADIAN EQUITY SMALL CAP (QV) HYBRID 75/25 EMERGING MARKETS (MACKENZIE) GLOBAL DIVERSIFIED (LOOMIS SAYLES) U.S. EQUITY (SARBIT) CURRENCY NEUTRAL U.S. EQUITY (SARBIT) CURRENCY NEUTRAL HYBRID 75/25 SRI BALANCED (INHANCE) GLOBAL FIXED INCOME (PIMCO) Leon Frazer & Associates Inc. 8 King Street East, Suite 2001 Toronto, Ontario M5C 1B6 QV Investors Inc. Livingston Place, South Tower 222 3 rd Avenue SW, Suite 1008 Calgary, Alberta T2P 0B4 Mackenzie Financial Corporation 180 Queen Street West Toronto, Ontario M5V 3K1 Loomis, Sayles & Company One Financial Center 655 Atlantic Ave, Boston Boston, MA 02111 Sarbit Advisory Services Inc. 1001 Evergreen Place Winnipeg, Manitoba R3L 0E9 Vancity Investment Management Ltd. 900 West Hastings Street, Suite 300 Vancouver, British Columbia V6C 1E5 PIMCO Canada Corp. 199, Bay Street, Suite 2050 Commerce Court Station P.O. Box 363 Toronto, Ontario M5L 1G2 5

Professional Management of the Funds GLOBAL HEALTH CARE (RENAISSANCE) TACTICAL INCOME TACTICAL BOND STRATEGIC CORPORATE BOND STRATEGIC INCOME STRATEGIC EQUITY INCOME STRATEGIC EQUITY INCOME HYBRID 75/25 GLOBAL OPPORTUNITIES (RADIN) GLOBAL OPPORTUNITIES (RADIN) HYBRID 75/25 CIBC Asset Management 1500 University Street, Suite 800 Montreal, Quebec H3A 3S6 IA Clarington Investments Inc. 522 University Avenue, Suite 700 Toronto, Ontario M5G 1Y7 Radin Capital Partners Inc. 1300 Yonge Street, Suite 703 Toronto, Ontario M4T 1X3 CANADIAN EQUITY (TAYLOR AM) CANADIAN EQUITY (TAYLOR AM) HYBRID 75/25 GLOBAL DIVERSIFIED (FORSTRONG) Taylor Asset Management Inc. Bay Adelaide Centre 333 Bay Street, Suite 1230 Toronto, Ontario M5H 2R2 Forstrong Global Asset Management 26 Wellington Street East, Suite 920 Toronto, Ontario M5E 1S2 6

Management Fees and Management Expense Ratio MER Annual Management Fees (%) Management Expense Ratio (MER) (%) Fund Fee Rate (%) As at December 31, 2015 As at December 31, 2015 As at December 31, 2015 Classic Series 75/75 Classic Series 75/75 Prestige Series 75/100 Ecoflex Series 100/100 FORLIFE Series Series 75/100 Prestige Classic Series 75/75 Classic Series 75/75 Prestige Series 75/100 Ecoflex Series 100/100 FORLIFE Series Series 75/100 Prestige Series 75/100 Series 75/100 Prestige Ecoflex Series 100/100 FORLIFE Series FOCUS FUNDS Focus Prudent 2.08 1.90 2.34 2.00 2.56 2.41 2.87 2.53 0.10 0.25 0.10 Focus 2.13 1.93 2.44 2.09 2.60 2.45 2.98 2.64 0.10 0.40 0.10 Focus Balanced 2.17 1.98 2.52 2.16 2.65 2.50 3.05 2.71 0.10 0.40 0.25 Focus Growth 2.22 2.03 2.60 2.25 2.71 2.57 3.16 2.82 0.10 0.50 0.40 Focus Aggressive 2.26 2.04 2.66 2.30 2.72 2.58 3.21 2.87 0.20 0.65 0.50 SELECTION FUNDS Selection Prudent 2.03 1.89 2.25 1.94 2.56 2.41 2.81 2.46 0.10 0.25 0.10 Selection 2.08 1.95 2.33 2.03 2.62 2.47 2.91 2.56 0.10 0.40 0.10 Selection Balanced 2.15 2.02 2.42 2.12 2.70 2.55 3.01 2.66 0.10 0.40 0.25 Selection Growth 2.23 2.10 2.53 2.22 2.79 2.65 3.12 2.78 0.10 0.50 0.40 Selection Aggressive 2.30 2.17 2.61 2.31 2.87 2.73 3.22 2.89 0.20 0.65 0.50 INCOME FUNDS Money Market 1.05 1.04 1.29 1.28 1.39 1.42 1.66 1.70 0.10 0.25 0.10 Short Term Bond 1.75 1.60 1.91 1.69 2.17 2.07 2.37 2.17 0.10 0.25 0.10 Bond 1.73 1.60 1.91 1.69 2.17 2.06 2.38 2.18 0.10 0.25 0.10 Canadian Corporate Bond* 1.73 1.60 1.91 1.69 2.16 2.02 2.36 2.12 0.10 Strategic Corporate Bond 1.72 1.62 2.02 1.87 2.15 2.10 2.47 2.38 0.10 0.25 0.10 Fidelity American High Yield Currency Neutral 2.11 1.97 2.31 2.17 2.54 2.49 2.89 2.73 0.10 Tactical Bond 1.77 1.65 2.03 1.79 2.23 2.13 2.49 2.29 0.10 0.25 0.10 Real Return Bond 1.78 1.53 2.02 1.74 2.09 1.99 2.43 2.23 0.10 0.25 0.10 Global Fixed Income (PIMCO) 2.10 1.88 2.28 2.11 2.44 2.39 2.75 2.66 0.10 DIVERSIFIED FUNDS Diversified Security 2.04 1.89 2.39 2.07 2.56 2.41 2.95 2.61 0.10 0.25 0.10 Diversified 2.08 1.75 2.41 1.96 2.60 2.25 2.97 2.48 0.10 0.40 0.25 Diversified Opportunity 2.13 1.77 2.46 1.94 2.61 2.26 2.96 2.46 0.10 0.50 0.40 Canadian Balanced (QV) 2.08 1.89 2.68 2.25 2.55 2.40 3.16 2.82 0.10 0.50 0.40 SRI Balanced (Inhance) 2.27 2.11 2.68 2.22 2.80 2.66 3.12 2.78 0.10 0.50 0.25 Diversified Income 2.17 1.77 2.55 2.06 2.62 2.27 3.09 2.59 0.10 0.50 0.40 Strategic Income 2.06 1.68 2.64 2.12 2.51 2.16 3.16 2.67 0.10 0.50 0.25 Global Diversified (Loomis Sayles) 2.16 1.98 2.68 2.30 2.65 2.51 3.21 2.87 0.10 0.50 0.25 Tactical Income 2.08 1.88 2.68 2.25 2.54 2.40 3.15 2.81 0.10 0.50 0.25 Global Diversified (Forstrong)* 2.12 1.94 2.52 2.17 2.60 2.40 3.05 2.65 0.10 7

Annual Management Fees (%) Management Expense Ratio (MER) (%) Fund Fee Rate (%) As at December 31, 2015 As at December 31, 2015 As at December 31, 2015 Classic Series 75/75 Classic Series 75/75 Prestige Series 75/100 Ecoflex Series 100/100 FORLIFE Series Series 75/100 Prestige Classic Series 75/75 Classic Series 75/75 Prestige Series 75/100 Ecoflex Series 100/100 FORLIFE Series Series 75/100 Prestige Series 75/100 Series 75/100 Prestige Ecoflex Series 100/100 FORLIFE Series CANADIAN HYBRID FUNDS Strategic Equity Income Hybrid 75/25 2.00 1.61 2.17 1.65 2.43 2.08 2.64 2.13 0.10 0.50 0.40 Dividend Growth Hybrid 75/25 2.03 1.64 2.27 1.74 2.47 2.12 2.74 2.23 0.10 0.50 0.40 Canadian Conservative Equity (Leon Frazer) Hybrid 75/25 2.01 1.61 2.56 2.03 2.44 2.08 3.05 2.56 0.10 0.50 0.40 Canadian Equity Index Hybrid 75/25 2.08 1.71 2.35 1.84 2.55 2.20 2.85 2.35 0.20 0.65 0.40 Select Canadian Hybrid 75/25 2.12 1.75 2.35 1.88 2.59 2.24 2.89 2.39 0.20 0.65 0.40 Canadian Equity Value Hybrid 75/25 2.12 1.79 2.42 1.96 2.64 2.29 2.98 2.49 0.20 0.65 0.40 Canadian Equity (Taylor AM) Hybrid 75/25 2.43 2.19 2.69 2.30 2.89 2.75 3.21 2.87 0.20 0.65 0.40 Fidelity True North Hybrid 75/25 2.19 1.98 2.76 2.39 2.66 2.51 3.31 2.98 0.20 0.65 0.40 Canadian Equity Growth Hybrid 75/25 2.12 1.73 2.35 1.86 2.57 2.22 2.86 2.36 0.20 0.65 0.40 Fidelity Canadian Opportunities Hybrid 75/25 2.20 1.97 2.76 2.39 2.64 2.50 3.31 2.97 0.20 0.65 0.40 Canadian Equity Small Cap (QV) Hybrid 75/25 2.46 2.24 2.69 2.32 2.95 2.81 3.23 2.90 0.20 0.65 0.40 GLOBAL HYBRID FUNDS Global Dividend (Dynamic) Hybrid 75/25 2.35 2.15 2.66 2.27 2.84 2.70 3.18 2.84 0.20 0.65 0.40 Global Equity Hybrid 75/25 2.23 1.88 2.54 2.06 2.74 2.39 3.09 2.60 0.20 0.65 0.40 Global Equity (Templeton) Hybrid 75/25 2.19 2.02 2.78 2.41 2.70 2.55 3.34 3.01 0.20 0.65 0.40 Global Opportunities (Radin) Hybrid 75/25 2.14 1.91 2.74 2.40 2.57 2.42 3.33 2.99 0.20 0.65 0.40 Global True Conviction Hybrid 75/25 2.23 1.86 2.54 2.01 2.72 2.37 3.03 2.54 0.20 0.65 0.40 Fidelity NorthStar Hybrid 75/25 2.36 2.14 2.78 2.42 2.83 2.69 3.34 3.01 0.20 0.65 0.40 U.S. Equity (Sarbit) Currency Neutral Hybrid 75/25 2.24 2.01 2.66 2.27 2.69 2.55 3.17 2.84 0.20 0.65 0.40 CANADIAN EQUITY FUNDS Strategic Equity Income 2.09 1.69 2.27 1.77 2.53 2.18 2.77 2.27 0.20 0.75 0.50 Dividend Growth 2.12 1.72 2.36 1.84 2.56 2.20 2.85 2.35 0.20 0.75 0.50 Canadian Conservative Equity (Leon Frazer) 2.10 1.73 2.66 2.17 2.57 2.22 3.22 2.73 0.20 0.75 0.50 Canadian Equity Index 2.16 1.75 2.45 1.93 2.60 2.25 2.94 2.44 0.30 Select Canadian 2.21 1.83 2.45 2.00 2.68 2.33 3.02 2.53 0.30 Canadian Equity Value 2.21 1.86 2.52 2.07 2.72 2.37 3.11 2.61 0.30 Canadian Equity (Taylor AM) 2.52 2.29 2.79 2.44 3.00 2.87 3.37 3.03 0.30 Fidelity True North 2.33 2.12 2.86 2.47 2.80 2.66 3.41 3.07 0.30 Canadian Equity Growth 2.21 1.84 2.45 1.97 2.69 2.35 2.99 2.50 0.30 Fidelity Canadian Opportunities 2.34 2.09 2.86 2.54 2.78 2.64 3.48 3.15 0.30 Canadian Equity Small Cap (QV) 2.55 2.32 2.79 2.44 3.03 2.89 3.37 3.03 0.30 8

Annual Management Fees (%) Management Expense Ratio (MER) (%) Fund Fee Rate (%) As at December 31, 2015 As at December 31, 2015 As at December 31, 2015 Classic Series 75/75 Classic Series 75/75 Prestige Series 75/100 Ecoflex Series 100/100 FORLIFE Series Series 75/100 Prestige Classic Series 75/75 Classic Series 75/75 Prestige Series 75/100 Ecoflex Series 100/100 FORLIFE Series Series 75/100 Prestige Series 75/100 Series 75/100 Prestige Ecoflex Series 100/100 FORLIFE Series U.S. & INTERNATIONAL EQUITY FUNDS Global Dividend (Dynamic) 2.44 2.21 2.75 2.35 2.91 2.77 3.27 2.93 0.30 Global Equity 2.32 1.94 2.64 2.13 2.80 2.46 3.17 2.68 0.30 Global Equity (Templeton) 2.33 2.13 2.88 2.46 2.82 2.68 3.39 3.06 0.30 Global Opportunities (Radin) 2.23 2.05 2.83 2.44 2.74 2.59 3.37 3.04 0.30 Global True Conviction 2.32 1.92 2.64 2.10 2.78 2.44 3.13 2.64 0.30 Fidelity NorthStar 2.49 2.29 2.88 2.51 3.00 2.86 3.45 3.11 0.30 International Equity Index (BlackRock) 2.21 2.02 2.45 2.02 2.70 2.56 2.90 2.55 0.30 International Equity 2.32 1.96 2.64 2.17 2.84 2.49 3.21 2.72 0.30 International Equity (Templeton) 2.37 2.20 2.88 2.53 2.91 2.76 3.47 3.14 0.30 Fidelity European Equity 2.40 2.20 2.88 2.49 2.90 2.76 3.43 3.10 0.30 U.S. Equity Index (BlackRock) 2.21 2.04 2.45 2.10 2.71 2.57 2.99 2.65 0.30 U.S. Equity 2.32 1.96 2.64 2.14 2.83 2.49 3.18 2.69 0.30 U.S. Equity Currency Neutral* 2.31 1.95 2.66 2.17 2.81 2.41 3.20 2.65 0.30 U.S. Dividend Growth 2.16 1.79 2.75 2.27 2.64 2.29 3.33 2.84 0.30 U.S. Equity (Sarbit) Currency Neutral 2.33 2.13 2.75 2.38 2.82 2.68 3.30 2.97 0.30 SPECIALTY FUNDS Asian Pacific (Dynamic) 2.50 2.30 3.02 2.88 Emerging Markets (Mackenzie) 3.03 2.82 3.59 3.47 Global Health Care (Renaissance) 2.88 2.68 3.44 3.31 Real Estate Income 2.35 1.89 2.76 2.41 U.S. DAQ Index 2.26 2.06 2.74 2.59 FORLIFE SERIES FUNDS INCOME STAGE FORLIFE Guaranteed Maximum Income 2.30 2.85 FORLIFE Guaranteed Income & Growth 2.53 3.07 * MER is estimated since the fund is new and may vary at any time. 9

Investment Objectives and Risk Factors Associated with the Funds The following are investment objectives and risk factors associated with the Funds offered by Industrial Alliance Insurance and Financial Services Inc. For a complete description of each risk factor, please refer to Section 7.9 of the IAG Savings and Retirement Plan Information Folder. FOCUS FUNDS FOCUS PRUDENT FUND Risk: All risks Investment Objectives Invests in units of a number of underlying funds to generate a regular longterm return by favouring Canadian fixedincome securities. Maintains a certain diversity of the investments that make up the portfolio using different asset classes such as fixedincome securities issued by Canadian governments and corporations, Canadian equities and foreign equities, and the integration of several managers. Investment Strategy The target allocation is in fixed income funds, 15% in Canadian equity funds, and 10% in global equity funds. The Fund is composed of underlying fund units selected by the manager to reach the investment objectives while remaining in line with the Fund s risk profile. FOCUS MODERATE FUND Risk: All risks Investment Objectives Invests in units of a number of underlying funds to generate a high longterm return by placing a slight emphasis on Canadian fixedincome securities. Maintains a certain diversity of the investments that make up the portfolio using different asset classes such as fixedincome securities issued by Canadian governments and corporations, Canadian equities and foreign equities, and the integration of several managers. Investment Strategy The target allocation is 60% in fixed income funds, 25% in Canadian equity funds, and 15% in global equity funds. The Fund is composed of underlying fund units selected by the manager to reach the investment objectives while remaining in line with the Fund s risk profile. FOCUS BALANCED FUND Risk: All risks Investment Objectives Invests in units of a number of underlying funds to generate a superior longterm return by favouring a balance between Canadian equities, foreign equities and fixedincome securities. Maintains a certain diversity of the investments that make up the portfolio using different asset classes such as fixedincome securities issued by Canadian governments and corporations, Canadian equities, foreign equities and the integration of several managers. Investment Strategy The target allocation is 45% in fixed income funds, 35% in Canadian equity funds, and 20% in global equity funds. The Fund is composed of underlying fund units selected by the manager to reach the investment objectives while remaining in line with the Fund s risk profile. FOCUS GROWTH FUND Risk: All risks Investment Objectives Invests in units of a number of underlying funds to generate a superior longterm return by placing a slight emphasis on Canadian and foreign equities. Maintains a certain diversity of the investments that make up the portfolio using different asset classes such as fixedincome securities issued by Canadian governments and corporations, Canadian equities, foreign equities and the integration of several managers. Investment Strategy The target allocation is 30% in fixed income funds, 45% in Canadian equity funds, and 25% in global equity funds. The Fund is composed of underlying fund units selected by the manager to reach the investment objectives while remaining in line with the Fund s risk profile. FOCUS AGGRESSIVE FUND Risk: All risks Investment Objectives Invests in units of a number of underlying funds to maximize the longterm return by favouring Canadian and foreign equities. Maintains a certain diversity of the investments that make up the portfolio using different asset classes such as fixedincome securities issued by Canadian governments and corporations, Canadian equities, foreign equities and the integration of several managers. Investment Strategy The target allocation is 15% in fixed income funds, 55% in Canadian equity funds, and 30% in global equity funds. The Fund is composed of underlying fund units selected by the manager to reach the investment objectives while remaining in line with the Fund s risk profile. 10

SELECTION FUNDS SELECTION PRUDENT FUND Risk: All risks Investment Objectives This fund primarily seeks to generate regular income and to preserve the capital by investing conservatively and mainly in income funds while also investing in equity funds. Investment Strategy The target asset mix is composed of income funds and 25% equity funds. Also, in order to pursue the investment objectives, underlying funds in which this fund invests could be withdrawn, replaced or added. This fund will be rebalanced at least once a year in order to be in line with the target allocation. SELECTION MODERATE FUND Risk: All risks Investment Objectives This fund seeks to generate regular income and offer the potential for capital growth over the long term by slightly favouring income funds over equity funds. Investment Strategy The target asset mix is composed of 60% income funds and 40% equity funds. Also, in order to pursue the investment objectives, underlying funds in which this fund invests could be withdrawn, replaced or added. This fund will be rebalanced at least once a year in order to be in line with the target allocation. SELECTION BALANCED FUND Risk: All risks Investment Objectives This fund seeks a balance between generating regular income and providing capital growth over the medium to long term by investing in income and equity funds. Investment Strategy The target asset mix is composed of 45% income funds and 55% equity funds. Also, in order to pursue the investment objectives, underlying funds in which this fund invests could be withdrawn, replaced or added. This fund will be rebalanced at least once a year in order to be in line with the target allocation. SELECTION GROWTH FUND Risk: All risks Investment Objectives This fund primarily seeks to provide capital growth over the medium to long term with equity funds while trying to generate regular income through income funds. Investment Strategy The target asset mix is composed of 30% income funds and 70% equity funds. Also, in order to pursue the investment objectives, underlying funds in which this fund invests could be withdrawn, replaced or added. This fund will be rebalanced at least once a year in order to be in line with the target allocation. SELECTION AGGRESSIVE FUND Risk: All risks Investment Objectives This fund primarily seeks to provide capital growth in the short and medium term by investing aggressively and mainly in equity funds. Investment Strategy The target asset mix is composed of 15% income funds and 85% equity funds. Also, in order to pursue the investment objectives, underlying funds in which this fund invests could be withdrawn, replaced or added. This fund will be rebalanced at least once a year in order to be in line with the target allocation. 11

INCOME FUNDS MONEY MARKET FUND Risk: I D Investment Objectives Aims to maintain excellent capital protection and a high level of liquidity, by investing in Canadian shortterm securities guaranteed by Canadian governments and certain companies. Investment Strategy The Money Market Fund is composed of quality securities with maturities under one year guaranteed by federal, provincial and municipal governments and their agencies. SHORT TERM BOND FUND Risk: I C D Investment Objectives Provides a reasonably high return by reinvesting the interest income in the Fund while ensuring capital protection. Mainly invests in bonds issued and guaranteed by Canadian governments and corporations. Investment Strategy The Short Term Bond Fund is mainly composed of bonds and other highquality debt securities with short and mediumterm maturities from the federal and provincial governments, and from corporations offering good income and capital security potential. BOND FUND Risk: I C D Investment Objectives Aims to maximize the returns from interest income and capital appreciation through a diversified portfolio primarily invested in quality bond securities from Canadian governments and corporations. Investment Strategy The Bond Fund is primarily invested in bonds, coupons and other high quality debt securities from the private sector and the federal and provincial governments. The selection of securities is mostly based on forecasting the evolution of interest rates on the market. CANADIAN CORPORATE BOND FUND Risk: I C $ E D L Investment Objectives Aims to maximize returns from interest income and capital appreciation through a diversified portfolio mainly composed of quality bond securities issued by corporations. Investment Strategy Invests primarily in fixedincome securities issued by Canadian companies, and may invest in foreign securities. The manager uses fundamental analysis to select investments and reviews the values of the investments on an ongoing basis, paying particular attention to credit quality and diversification by geographic region, industry sector, size of issuer and credit rating. STRATEGIC CORPORATE BOND FUND Risk: I C $ D L Investment Objectives Provides income and the potential for long term capital growth by investing primarily in fixed income securities with an emphasis on corporate and other higher yielding fixed income securities. Investment Strategy Invests in units of the IA Clarington Strategic Corporate Bond Fund, which invests primarily in fixed income securities of North American companies. The advisor uses fundamental analysis to select investments and reviews the values of the investments on an ongoing basis, paying particular attention to credit quality and diversification by geographic region, industry sector, size of issuer and credit rating. FIDELITY AMERICAN HIGH YIELD CURENCY NEUTRAL FUND Risk: A I C $ E D L Investment Objectives Aims to provide income and the potential for long term capital growth by investing primarily in fixed income securities with an emphasis on corporate and other higher yielding fixed income securities. Investment Strategy Invests in units of the Fidelity American High Yield Fund, which invests primarily in higher yielding, lower quality fixed income securities, preferred stocks and convertible securities issued by U.S. companies. The Fund also uses derivatives to try to minimize the exposure to currency fluctuations between the U.S. and Canadian dollars. Fidelity American High Yield Currency Neutral Fund aims to hedge foreign currency exposure back to Canadian dollars, thus providing the benefit of the U.S market while reducing currency. 12

TACTICAL BOND FUND Risk: I C D L Investment Objectives Provides monthly interest income by investing primarily in fixedincome security, allocated among Canadian and other North American governmental and corporate issuers, and between investmentgrade and higheryielding securities. Investment Strategy Units of the IA Clarington Tactical Bond Fund, which will generally allocate its investments between two classes of debt instruments: debt instruments issued or guaranteed by Canadian federal, provincial and municipal governments and their agencies and debt instruments issued by North American corporate issuers, with a weighted average credit rating of BBB or higher. The underlying fund may also invest in higheryielding securities including corporate bonds that have a BB or lower rate credit quality or that are not rated. REAL RETURN BOND FUND Risk: I C $ D L Investment Objectives Seeks to provide a regular level of income that is hedged against inflation by investing primarily in Canadian federal and provincial real return bonds that are indexed to the Canadian inflation rate. Investment Strategy Invests in units of the IA Clarington Real Return Bond Fund, which invests primarily in debts securities with maturities in excess of 5 years. The advisor seeks to add value through active management of duration, asset mix and yield curve. Fundamental economic analysis takes into consideration economic growth, inflation and fiscal and monetary policy. GLOBAL FIXED INCOME (PIMCO) FUND Risk: I C $ E M L D Investment Objectives The Fund aims to optimize current income by investing primarily in a diversified portfolio of fixed income securities that are not denominated in Canadian dollars. It targets moderate longterm capital appreciation. Investment Strategy The Fund invests primarily in a diversified portfolio of fixedincome securities that are not denominated in Canadian dollars and with a variety of maturities. It can invest up to 50% of its total assets in highyield securities ( high risk bonds ) that have been rated or, if they are not rated, in securities of comparable quality. The Fund can invest up to 20% of its total assets in securities and instruments that are economically linked to emerging markets. The Fund limits its exposure to currencies (of securities denominated in currencies other than the Canadian dollar) to 10% of its total assets. The Fund can also resort to targeted derivatives, such as options, futures and forward contracts, and swaps. DIVERSIFIED FUNDS* DIVERSIFIED SECURITY FUND Risk: All risks Investment Objectives Generates regular longterm revenues as well as some capital appreciation. It focuses on reducing risk through a careful selection of different categories of fixedincome securities from the federal and provincial governments and corporations as well as Canadian and foreign equities of large capitalization companies. Investment Strategy The Diversified Security Fund s strategy is based on active and prudent management of the investment through careful diversification of the asset classes (equities and fixedincome securities). The Fund advisor pursues a balance between security and capital growth, and typically favours fixedincome securities. DIVERSIFIED FUND Risk: All risks Investment Objectives Maximizes the longterm returns and reduces the risk through a balanced distribution of investments among the Fund s asset classes: fixedincome securities, Canadian equities and foreign equities. The equity portion is mainly invested in securities equities of large capitalization companies. Investment Strategy The Diversified Fund s assets are distributed among Canadian and foreign equities and fixedincome securities to meet the Fund s longterm return objective. Active management is designed to target the ideal combination of growth and security based on trends in the economy and the financial markets. * Diversified Funds entail all risks because of the variety of securities that make up the Funds. However, the diversification of assets greatly limits the impact of such risks since these assets do not react in the same direction to financial market movements. Therefore, some securities will be negatively influenced while others will be positively influenced by particular market movements. 13

DIVERSIFIED OPPORTUNITY FUND Risk: All risks Investment Objectives Maximizes longterm returns while minimizing risks through careful diversification of the asset classes: Canadian fixedincome securities, Canadian equities and foreign equities. The fund mainly invests in equities of large capitalization companies and fixedincome securities. Investment Strategy The strategy focuses on a distribution of the assets between Canadian and foreign equities, and fixedincome securities. The advisor typically favours equities over fixedincome securities but has aboveaverage flexibility in terms of asset allocation in order to position the fund in a situation that will be beneficial given the trends in the economy and the financial markets. CANADIAN BALANCED (QV) FUND Risk: All risks Investment Objectives Aims to achieve capital appreciation and income with a focus on preserving the value of the original capital by investing primarily in a portfolio of Canadian equity and fixedincome investments. Investment Strategy Invests in units of the IA Clarington Canadian Balanced (QV) Fund, which normally invests in a mix of shortterm, high quality bonds, preferred shares and largercap common stocks to lower volatility in the portfolio and ensure longterm growth. The mix of bonds and stocks is adjusted to reflect the potential returns of the assets. The Fund may also invest in foreign securities. SRI BALANCED (INHANCE) FUND Risk: All risks Investment Objectives Generates interest and dividend income as well as capital appreciation by investing in an underlying fund that meets the advisor s socially responsible investment principles, with a balanced holding in bond and equity funds. Investment Strategy Invests in units of the IA Clarington Inhance Balanced SRI Portfolio, which normally invests in fixed income and also Canadian and global equity funds. The Fund advisor will consider the style employed by the underlying fund to determine whether it invests in companies with progressive social, environmental and governance practices. DIVERSIFIED INCOME FUND Risk: A I $ Investment Objectives Generates a regular longterm return by investing mostly in trust units, common stocks and fixedincome securities from Canadian corporations and Canadian governments. The common stock portion mainly invests in equities of large capitalization Canadian companies. Investment Strategy Invests primarily in a diversified portfolio of income trusts such as oil, gas and other commoditybased royalty trusts, real estate investment trusts, pipeline and power trusts, common stocks and fixedincome instruments. STRATEGIC INCOME FUND Risk: All risks Investment Objectives Provides a consistent stream of income and capital appreciation by investing primarily in Canadian equity and fixed income investments. Investment Strategy Invests in units of the IA Clarington Strategic Income Fund, which invests primarily in Canadian equity and fixed income securities. The advisor employs a rigorous bottomup strategy with a 12 to 18 month strategic outlook on the markets with a view to invest in a stable mix of income producing equity and fixed income securities demonstrating strong fundamentals while aiming to minimize volatility through all market conditions. GLOBAL DIVERSIFIED (LOOMIS SAYLES) FUND Risk: All risks Investment Objectives Aims to provide longterm capital appreciation by investing primarily in equity securities, fixedincome investments and money market instruments from around the world. Investment Strategy Invests in units of the IA Clarington Global Tactical Income Fund, which mainly invests in global fixedincome and equity securities following a fundamental bottomup approach to investing. 14

TACTICAL INCOME FUND Risk: All risks Investment Objectives Aims to achieve a high longterm total investment return. The Fund s objective is to seek to achieve a steady flow of monthly income by investing primarily in trust units, equity securities and fixedincome securities of Canadian issuers. Investment Strategy Invests in units of the IA Clarington Tactical Income Fund. The Fund will generally seek to invest approximately twothirds of its portfolio in equity securities and trust units and approximately onethird of its portfolio in fixedincome securities, cash and cash equivalents. GLOBAL DIVERSIFIED (FORSTRONG) FUND Risk: All risks Investment Objectives Aims to provide longterm capital appreciation and modest income primarily through diversified investments in both domestic and foreign equity and incomeoriented exchange traded funds ( ETF ). Investment Strategy The portfolio manager actively manages the Fund s asset mix based on its longterm macroeconomic outlook and shorterterm tactical strategies. The manager determines the relative desirability of asset classes and specific ETFs on an ongoing basis by grading them based on criteria such as, but not limited to, fundamental factors and conditions, quantitative ratings, qualitative assessments and risk/return characteristics. CANADIAN HYBRID FUNDS STRATEGIC EQUITY INCOME HYBRID 75/25 FUND Risk: A I C D Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. DIVIDEND GROWTH HYBRID 75/25 FUND Risk: A I C D Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. CANADIAN CONSERVATIVE EQUITY (LEON FRAZER) HYBRID 75/25 FUND Risk: A I M C D Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. 15

CANADIAN EQUITY INDEX HYBRID 75/25 FUND Risk: A I C D R Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. SELECT CANADIAN HYBRID 75/25 FUND Risk: A I C D Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. CANADIAN EQUITY VALUE HYBRID 75/25 FUND Risk: A I E $ C D Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. CANADIAN EQUITY (TAYLOR AM) HYBRID 75/25 FUND Risk: A I C D Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. 16

FIDELITY TRUE NORTH HYBRID 75/25 FUND Risk: A I E $ C D Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. CANADIAN EQUITY GROWTH HYBRID 75/25 FUND Risk: A I C D Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. FIDELITY CANADIAN OPPORTUNITIES HYBRID 75/25 FUND Risk: A $ AS I C E D Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. CANADIAN EQUITY SMALL CAP (QV) HYBRID 75/25 FUND Risk: A $ AS I C E D Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. GLOBAL HYBRID FUNDS GLOBAL DIVIDEND (DYNAMIC) HYBRID 75/25 FUND Risk: A $ I C E D Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. GLOBAL EQUITY HYBRID 75/25 FUND Risk: All risks Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. 17

GLOBAL EQUITY (TEMPLETON) HYBRID 75/25 FUND Risk: A $ E I C D Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. GLOBAL OPPORTUNITIES (RADIN) HYBRID 75/25 FUND Risk: All risks Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. GLOBAL TRUE CONVICTION HYBRID 75/25 FUND Risk: All risks Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. FIDELITY NORTHSTAR HYBRID 75/25 FUND Risk: All risks Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. U.S. EQUITY (SARBIT) CURRENCY NEUTRAL HYBRID 75/25 FUND Risk: All risks Investment Objectives This Fund aims to achieve capital growth and interest income by investing in a combination of equity and bond funds. Investment Strategy The investment strategy is to invest approximately of the Fund in a corresponding equity fund and the remaining 25% in the Bond Fund offered by Industrial Alliance Insurance and Financial Services Inc. A periodic rebalancing process will allow the Fund s assets to remain in proximity of the 25% target weighting. 18

CANADIAN EQUITY FUNDS STRATEGIC EQUITY INCOME FUND Risk: A D Investment Objectives Invests in an underlying fund which aims to generate modest longterm growth and regular dividend and interest income subject to the preferential tax treatment given to dividends. Invests mainly in highyield quality dividend common and preferred shares of Canadian companies. Investment Strategy Invest in units of the IA Clarington Strategic Equity Income Fund, which invests primarily in high quality dividendpaying common and preferred shares of Canadian and foreign corporations, income trust units and/or fixed income securities of Canadian and U.S. issuers. The investment advisor employs a rigorous bottomup strategy with a 12 to 18 month strategic outlook on the markets with a view to invest in income producing equities demonstrating strong fundamentals. The underlying fund may invest up to 49% of its assets in foreign securities. DIVIDEND GROWTH FUND Risk: A D Investment Objectives Invests in an underlying fund which aims to generate regular dividends that will be reinvested in the Fund while seeking longterm capital growth. The fund is mostly composed of stocks of Canadian blue chip style companies. Mainly invests in equities of large capitalization companies. Investment Strategy The Fund invests in units of the IA Clarington Dividend Growth Fund, which is mainly composed of common and preferred shares of large Canadian blue chip style companies with a substantial capital appreciation and good payment of dividends. CANADIAN CONSERVATIVE EQUITY (LEON FRAZER) FUND Risk: A I M Investment Objectives Invests in units of an underlying fund which aims to achieve longterm capital growth through investments in Canadian preferred and common shares. It is the policy of the Fund to provide its unitholders with diversification through investments in securities of companies representing many classes of industry. Securities are selected for the purpose of deriving income, protecting the value of investments and achieving longterm capital appreciation. Mainly invests in equities of large capitalization companies. Investment Strategy Units of the IA Clarington Canadian Conservative Equity Fund, which is actively managed by Leon Frazer & Associates Inc. The advisor selects the securities of companies based on strong financials, history of and prospects for increasing dividends and reasonable value. CANADIAN EQUITY INDEX FUND Risk: A D R Investment Objectives The fund aims to obtain high longterm capital appreciation by attempting to reproduce the return of the S&P/TSX 60 Index, which represents the 60 largest companies in Canada. Investment Strategy The Fund invests in units of an underlying fund, which is primarily composed of trust units of the S&P/TSX 60 Index. SELECT CANADIAN FUND Risk: A D Investment Objectives Provides capital growth and maximum tax deferral by holding longterm stocks from mostly large capitalization Canadian companies. Investment Strategy The Select Canadian Fund is mainly composed of common stocks of attractively priced large Canadian companies, several of which are found on the S&P/TSX 60 Index. Sales transactions are limited to favour tax deferral, often called buy and hold. 19