Mavrix Balanced Monthly Pay Fund

Providing a high level of tax-efficient yield by investing primarily in income producing securities

As of date: April 30, 2010
 

 

Distribution

RRSP Eligibility

Monthly $0.075/unit 100%
 

Total Assets (000’s)

NAVPS

$80,066 $6.97

Fund Data

Fund Code

Inception

Front-end: MAV113 Class A: June 24, 2003
DSC: MAV213 Class F: February 7, 2006
Low-load DSC: MAV513    
F Class: MAV733    

Top 10 Holdings

1 Bank of Nova Scotia 3.1%
2 Toronto Dominion Bank 3.0%
3 Royal Bank of Canada 2.9%
4 Vermilion Energy Trust 2.8%
5 Shoppers Drug Mart Corp. 2.5%
6 AG Growth International Inc. 2.2%
7 Bell Aliant Regional Communications Income Fund 2.1%
8 Just Energy Income Fund 2.1%
9 Cineplex Galaxy Income Fund 2.0%
10 Northern Property REIT 2.0%

Returns as at April 30, 2010

Month10.36%
Month37.43%
Month613.96%
YTD4.72%
Year136.08%
Year20.50%
Year3-2.07%
Year50.59%
Year10-
Year15-
Year20-
Since Inception4.91%

Asset Mix

Canadian Equities 51.3%
Business Income Trusts 20.5%
Energy Income Trusts 17.0%
Real Estate Investment Trusts 7.7%
Cash & Equivalent 3.5%