Your investment details on June 30, 2016
Here are the details of your investments for all your contribution categories combined. Other accounts such as forfeiture, surplus, variance and charge (if available to your plan) are not included.
Investment
|
Number of units
|
|
Value ($)
|
% of total
|
|
Guaranteed Interest Accounts |
|
656,490.13 |
10.1 |
1001 - Manulife 1 Year GIA |
|
|
304,782.36 |
4.7 |
1002 - Manulife 2 Year GIA |
|
|
59,142.77 |
0.9 |
1003 - Manulife 3 Year GIA |
|
|
59,198.40 |
0.9 |
1004 - Manulife 4 Year GIA |
|
|
30,818.75 |
0.5 |
1005 - Manulife 5 Year GIA |
|
|
202,547.85 |
3.1 |
|
Target Date Funds |
|
2,676,768.71 |
41.3 |
2016 - MGI Retirement Date 2016 a2 |
74,442.68388 |
|
826,782.77 |
12.8 |
2015 - MGI Retirement Date 2015 a2 |
53,275.02945 |
|
598,353.70 |
9.2 |
2020 - MGI Retirement Date 2020 a2 |
62,649.57150 |
|
710,860.89 |
11.0 |
2025 - MGI Retirement Date 2025 a2 |
40,157.67428 |
|
461,055.85 |
7.1 |
2030 - MGI Retirement Date 2030 a2 |
4,613.40350 |
|
52,681.56 |
0.8 |
2035 - MGI Retirement Date 2035 a2 |
2,360.96267 |
|
27,033.94 |
0.4 |
|
Asset Allocation |
|
995,361.01 |
15.4 |
2001 - ML Conservative AA m2 |
3,002.33456 |
|
49,934.04 |
0.8 |
2002 - ML Moderate AA m2 |
2,698.06620 |
|
46,766.68 |
0.7 |
2003 - ML Balanced AA m2 |
30,678.72510 |
|
571,720.74 |
8.8 |
2004 - ML Growth AA m2 |
13,347.95675 |
|
270,108.46 |
4.2 |
2005 - ML Aggressive AA m2 |
2,556.26712 |
|
56,831.09 |
0.9 |
|
Canadian Money Market |
|
1,071,884.92 |
16.5 |
3132 - ML Canadian Money Market l4 |
89,706.86405 |
|
1,071,884.92 |
16.5 |
|
Canadian Bond |
|
55,231.58 |
0.9 |
4131 - ML Canadian Bond Fund l7 |
790.39530 |
|
13,019.75 |
0.2 |
4141 - ML Fidelity Cdn Bond l5 |
2,281.56343 |
|
28,846.18 |
0.4 |
4161 - ML MB Fixed Income l8 |
642.66950 |
|
10,643.74 |
0.2 |
4191 - ML MFC Pld Cdn Bond Index l2 |
187.19619 |
|
2,721.91 |
0.0 |
|
Balanced |
|
314,249.87 |
4.8 |
5132 - ML MMF Monthly High Income o2 |
7,781.32342 |
|
98,746.56 |
1.5 |
5161 - ML MB Balanced Growth l6 |
976.74939 |
|
17,668.72 |
0.3 |
5162 - ML Canadian Balanced Ethics l5 |
221.13426 |
|
3,128.06 |
0.0 |
5181 - ML Trimark Income Growth l5 |
5,007.88004 |
|
69,472.91 |
1.1 |
5241 - ML JF Balanced l8 |
1,964.73471 |
|
29,354.89 |
0.5 |
5271 - ML PH&N Blncd Psn Trst Fd h2 |
6,888.42871 |
|
95,878.73 |
1.5 |
|
Canadian Equity |
|
610,980.20 |
9.4 |
7011 - ML Canadian Equity l0 |
216.94909 |
|
3,898.96 |
0.1 |
7121 - ML MMF Canadian Equity l6 |
1,753.18852 |
|
37,974.26 |
0.6 |
7122 - ML MMF Growth Opportunities l8 |
3,513.60562 |
|
79,543.83 |
1.2 |
7131 - ML Cdn Lrg Cap Value Eqty l8 |
2,173.38630 |
|
48,900.20 |
0.8 |
7141 - ML Fidelity Cdn Large Cap l5 |
4,563.30048 |
|
106,152.59 |
1.6 |
7161 - ML MB Cdn Equity Growth l6 |
491.98929 |
|
14,312.77 |
0.2 |
7164 - ML MB CdnEquity(Core) Fund l5 |
847.32038 |
|
16,623.16 |
0.3 |
7171 - ML SEAMARK Canadian Equity l6 |
431.90026 |
|
8,987.35 |
0.1 |
7181 - ML Trimark Canadian l6 |
99.24548 |
|
1,437.06 |
0.0 |
7191 - ML Cdn Small Cap Equity l6 |
1,019.45158 |
|
30,925.97 |
0.5 |
7192 - ML Cdn Lrg Cap Top Dwn Eqty l7 |
41.08892 |
|
887.70 |
0.0 |
7241 - ML JF Canadian Equity l9 |
6,796.71962 |
|
160,983.77 |
2.5 |
7272 - ML PH&N Canadian Equity k7 |
172.74141 |
|
2,111.70 |
0.0 |
7351 - ML MK Max Dividend Growth o2 |
8,160.74805 |
|
98,240.88 |
1.5 |
|
Global Equity |
|
24,560.30 |
0.4 |
8141 - ML Fidelity Global Fund l7 |
568.25600 |
|
6,324.29 |
0.1 |
8181 - ML Trimark m0 |
1,301.94259 |
|
17,345.90 |
0.3 |
8371 - ML AB Glb Style Bld Equity k7 |
94.81695 |
|
890.11 |
0.0 |
|
U.S. Equity |
|
23,330.71 |
0.4 |
8132 - ML MFC Global Pld U.S. Eqty l9 |
71.73036 |
|
580.58 |
0.0 |
8142 - ML Fidelity Growth America l7 |
1,325.16306 |
|
10,837.72 |
0.2 |
8191 - ML U.S. Equity l7 |
1,359.87057 |
|
11,912.41 |
0.2 |
|
International Equity |
|
53,495.27 |
0.8 |
8192 - ML International Equity m2 |
912.89869 |
|
12,278.98 |
0.2 |
8241 - ML JF International Equity l8 |
649.45114 |
|
7,136.65 |
0.1 |
8321 - ML BGI Int'l Eqty Index Fd l4 |
2,440.79264 |
|
34,079.64 |
0.5 |
|
TOTAL |
$6,482,352.70 |
100.0% |
|
|
|