Mutual funds

Fund Net Assets: 02/28/2010

$14,497,937

NAVPS: 3/9/2010

Series A $12.25

MER: 06/30/2009
Series A 0.96%

Fund Numbers:

Front Back Low Series F
$Cdn 602 603 986 -

Distribution Frequency:
Annually

IA Clarington Short-Term Income Class - Series A

Compound Annual Returns (%) as at 02/28/2010
Inception
Date
Month(s) YTD Year(s) Since
Inception
1 3 6 1 3 5 10
10/5/20000.00.00.00.00.01.72.0-2.2
 

Calendar Year Returns Series A

2000
-
2001
3.5%
2002
1%
2003
2.2%
2004
1.7%
2005
1.6%
2006
3.2%
2007
3.3%
2008
2.5%
2009
-0.1%

Portfolio as at: 02/28/2010

Top Ten Holdings


CompanyPercentage
Canadian Imperial Bank of Commerce, 4.400%, 2011-03-071.8 %
Greater Toronto Airports Authority, 4.400%, 2011-02-281.8 %
Financement-Québec, Floating Rate, 2.956%, 2010-12-011.7 %
Hydro-Québec, Floating Rate, 3.515%, 2010-06-211.7 %
Royal Bank of Canada, Floating Rate, 4.456%, 2011-01-211.7 %
The Toronto-Dominion Bank, Floating Rate, 4.346%, 2011-02-151.7 %
Honda Canada Finance Inc., Floating Rate, 4.487%, 2010-05-251.4 %
Peoples Trust, 6.250%, 2010-04-011.2 %
Morgan Stanley Group, Floating Rate, 4.570%, 2012-02-230.9 %
HSBC Financial Corp., Ltd., Floating Rate, 4.526%, 2010-04-240.7 %
14.6 %

Characteristics of the Fund


  
AAAverage rating - Bonds
0.22 yearsAverage term
0.12 yearsModified duration
0.0047Average coupon
0.0053Yield at cost
0.004Yield at market value

Asset Mix


CategoryPercentage
Short term and other84.2 %
Corporates9.7 %
Foreign bonds0.9 %
Provinces3.4 %
Mortgage-backed securities1.8 %
 

Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing.

Any indicated rates of return are the historical annual compounded total returns including changes in security value and reinvestment of all distributions and does not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns.

On April 1, 2006, Industrial Alliance Investment Management Inc. assumed portfolio advisory responsibilities for the Fund. The Fund’s investment strategy was changed as a result of this change. These changes could have affected the performance of the Fund.

Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated.

The IA Clarington Funds and IA Clarington Target Click Funds are managed by IA Clarington Investments Inc. IA Clarington is a trademark of IA Clarington Investments Inc. and the IA Clarington logo is a trademark of Industrial Alliance Insurance and Financial Services Inc.

     

Portfolio Advisor
Industrial Alliance Investment Management Inc.

Portfolio Manager
Alain Dumais, CFA

  • Portfolio Manager
  • 13 years of investment experience
  • Member of the IAIM fixed income team
  • Bachelor’s Degree in Actuarial Science, Laval University

Key Reasons to Invest

  • Can switch between other class funds without triggering a capital gain.
  • Emphasis on credit quality and liquidity of income producing securities.

Investment Approach

The Manager adjusts the Fund's weighted average term to maturity in anticipation of interest rate changes.