FUND CODES
Series
$CDN
Front
End
Back
End
Low
Load
A 02863 03648 04110
F 02867 -- --
I 02869 -- --
T6 02875 03649 04111
T8 02876 03650 04112
* Series G - Group Purchase Option (GPO)

Symmetry One Balanced Portfolio Series A

 
FUND FACTS
 
Total Fund Assets: $28.46 million
Asset Class: Strategic Asset Allocation Portfolio
Management Fees: 2.00%
MER: 2.38% (as of Sept. 30 2009)
 
  PRICE (NAVPS) Daily Change
  as of Sep 01, 2010 $ %
$CDN  12.2514 0.0755 0.6201
$US -- -- --
 
DISTRIBUTIONS
see prospectus
  Most Recent $ per unit Reinvest Price ($) Frequency
$CDN -- -- -- --
$US -- -- -- --
KEY REASONS TO INVEST IN THIS FUND
 
 
RECENT DEVELOPMENTS
Fund Commentary Express Fund Profile
 

To view the complete list of holdings for this and other Mackenzie mutual funds, click here.

COMPOUND ANNUAL RETURNS
as of Jul 30, 2010
1 month 2.2%
3 month -0.6%
6 month 1.7%
1 year 7.7%
Year to Date 1.2%
Since Inception 12.2%
Inception Date Nov 08
 

 
MAJOR HOLDINGS
as of July 30, 2010
     
Company Country Sector %
CANADIAN GOVERNMENT 3.00% 2014 Canada Federal Government 1.3%
CANADIAN GOVERNMENT 3.50% 2013 Canada Federal Government 1.3%
CANADIAN GOVERNMENT 4.00% 2041 Canada Federal Government 1.1%
CANADIAN GOVERNMENT 8.00% 2023 Canada Federal Government 1.1%
CANADA HOUSING TRUST 0.40% 2010 Canada Federal Government 0.9%
CANADA-GOV'T REAL RETURN 4.25% 2021 Canada Federal Government 0.7%
ONTARIO (PROVINCE OF) 4.20% 2020 Canada Provincial Governments 0.7%
Royal Bank of Canada Canada Banks 0.6%
Suncor Energy Inc Canada Integrated Oil & Gas 0.6%
Toronto-Dominion Bank/The Canada Banks 0.6%
Major Holdings Represent 8.9%
CALENDAR YEAR RETURNS
2009 14.1%
2008 --%

The Calendar Year Returns shown above are the Canadian dollar returns.
FUND MANAGERS
 
HOW YOUR MONEY IS MANAGED
Some funds may use derivatives to hedge their exposure to foreign currencies. For more information, please click here.

 
VALUE OF INVESTMENT
as of Jul 30, 2010

 
Amount Invested: $ 10,000
Current Value: $ 11,772
 

PORTFOLIO ALLOCATION
as of July 31, 2010

 

EQUITY ALLOCATION
as of July 31, 2010

 
RELATED DOCUMENTS
08/31/2010
08/20/2010
04/01/2010
11/24/2008