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Reference Portfolios
Reference portfolios as per March 1, 2007

ASSET ALLOCATION
  Liquidity Bonds Stocks
Income / Yield   70% 30%
Growth 10%   85%
Long-term growth 10% 30% 60%
Balanced 10% 45% 45%
 
Indices Dec. 31
2007
Apr. 29
2011
S&P/TSX Composite 11688.34 12037.71
S & P 500 (In US$) 1280.66 1169.43
EAFE or Morgan Stanley (MER) 1776.416 1602.64
C$ / US$ 0.8798 0.9846
C$ / EURO 0.7369 0.728

ACKNOWLEDGMENTS:
Some data was taken from:
- www.scotiacapital.com
- www.tsx.com
- www.mscibarra.com
- www.oanda.com

DISCLAIMER:
Information presented herein, while obtained from sources believed to be reliable is not guaranteed either as to accuracy or completeness.

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