Overview

How This Account Works

THIS ACCOUNT IS LINKED TO THE PERFORMANCE OF THE CI SIGNATURE INCOME & GROWTH FUND. When you invest in this account, you do not acquire an interest in this designated fund or purchase any units or legal interest in any security.

Account Details

Inception date September 23, 2011
Asset class Balanced Funds

Underlying Fund Objective

The fund seeks to provide a steady flow of current income while preserving capital by investing in a diversified portfolio of securities composed mainly of equity, equity-related and fixed income securities of Canadian issuers. The fund may also invest in foreign securities. The fundamental investment objective of the fund cannot be changed without obtaining unitholder approval.

Designated Fund Details

Fund name CI Canadian Income & Growth Fund
Inception date November 13, 2000
AUM $3.43 billion
MER (audited) 2.47%
Number of Positions 1879
Number of Bond Positions 1676
Number of Equity Positions 190
Managed by Signature Global Advisors
Sub-advisor CI Investments Inc

Performance

Performance of CI Signature Income & Growth Account

Compound Returns (%)

Product 1 mth 3 mth 6 mth YTD 1 yr 3 yr 5 yr 10 yr Inception
InnoVision Investment Accelerator (0.00%*) 1.77 5.96 5.20 7.83 13.13 10.98 8.65 6.23 7.11
InnoVision Valued Client (2.00%*) 1.61 5.42 4.13 6.39 10.88 8.78 6.50 4.12 4.98

InnoVision Investment Accelerator (0.00%*)

1 mth 1.77
3 mth 5.96
6 mth 5.20
YTD 7.83
1 yr 13.13
3 yr 10.98
5 yr 8.65
10 yr 6.23
Inception 7.11

InnoVision Valued Client (2.00%*)

1 mth 1.61
3 mth 5.42
6 mth 4.13
YTD 6.39
1 yr 10.88
3 yr 8.78
5 yr 6.50
10 yr 4.12
Inception 4.98

Calendar Returns (%)

Product 2017 2018 2019 2020 2021 2022 2023 2024
InnoVision Investment Accelerator (0.00%*) 9.91 -8.53 14.44 4.85 15.97 -9.23 10.62 14.36
InnoVision Valued Client (2.00%*) 7.74 -10.35 12.17 2.76 13.66 -11.03 8.43 12.07

InnoVision Investment Accelerator (0.00%*)

2017 9.91
2018 -8.53
2019 14.44
2020 4.85
2021 15.97
2022 -9.23
2023 10.62
2024 14.36

InnoVision Valued Client (2.00%*)

2017 7.74
2018 -10.35
2019 12.17
2020 2.76
2021 13.66
2022 -11.03
2023 8.43
2024 12.07

Performance of CI Canadian Income & Growth Fund

Growth of $10,000 over 10 years ±

Start Date
End Date

Compound Returns (%)

1 mth 3 mth 6 mth YTD 1 yr 3 yr 5 yr 10 yr Inception
1.77 5.96 5.20 7.83 13.13 10.98 8.64 6.22 6.57
1 mth 1.77
3 mth 5.96
6 mth 5.20
YTD 7.83
1 yr 13.13
3 yr 10.98
5 yr 8.64
10 yr 6.22
Inception 6.57

Calendar Returns (%)

2017 2018 2019 2020 2021 2022 2023 2024
9.85 -8.53 14.44 4.85 15.97 -9.30 10.62 14.36
2017 9.85
2018 -8.53
2019 14.44
2020 4.85
2021 15.97
2022 -9.30
2023 10.62
2024 14.36

Portfolio Allocation as of July 31, 2025

Asset Allocation (%)

Name Weight %
Equities 59.80%
Fixed income 35.33%
Cash and equivalents 2.69%
Mutual funds 1.69%
Other 0.46%

Geographic Allocation (%)

Name Weight %
Canada 57.85%
United States 34.58%
United Kingdom 2.96%
Germany 0.79%
France 0.67%
Japan 0.59%
Switzerland 0.43%
Netherlands 0.40%
Hong Kong 0.35%
Macau 0.30%
Other 1.09%

Top 5 Bond Holdings (%)

Name Weight %
Canada Housing Trust No.1, 4.25%, 3/15/2034 0.61%
United States Treasury Bill, 12/11/2025 0.51%
United States Treasury Bill, 9/2/2025 0.49%
Gov. of Canada, 2.5%, 12/1/2032 0.47%
Gov. of Canada, 3%, 6/1/2034 0.41%

Top 5 Equity Holdings (%)

Name Weight %
Shopify Inc. Cl A Sub Vtg Shs 2.46%
Manulife Financial Corporation Com 2.29%
Fairfax Financial Holdings Ltd. Sub Vtg 2.16%
Wheaton Precious Metals Corp. Com 1.86%
Enbridge Inc. Com 1.68%

Distributions

Start Date
End Date
Effective Date Net Asset Value
2025/09/30 $267.4647
2025/09/29 $266.5384
2025/09/26 $266.2071
2025/09/25 $266.4263
2025/09/24 $266.6302
2025/09/23 $267.4714
2025/09/22 $266.4467
2025/09/19 $265.6208
2025/09/18 $264.7236
2025/09/17 $264.8052
2025/09/16 $265.5189
2025/09/15 $265.0193
2025/09/12 $265.2895
2025/09/11 $263.9844
2025/09/10 $263.2809
2025/09/09 $262.5927
2025/09/08 $262.4958
2025/09/05 $262.5060
2025/09/04 $261.0888
2025/09/03 $260.3343
2025/09/02 $260.5586
2025/08/29 $260.5382
2025/08/28 $260.2884
2025/08/27 $260.1406
2025/08/26 $259.6359
2025/08/25 $260.3139
2025/08/22 $258.2979
2025/08/21 $257.8409
2025/08/20 $257.6022
2025/08/19 $257.7140
2025/08/18 $257.9628
2025/08/15 $258.3538
2025/08/14 $258.4097
2025/08/13 $257.5007
2025/08/12 $256.4445
2025/08/11 $256.8304
2025/08/08 $256.5257
2025/08/07 $257.5007
2025/08/06 $256.1499
2025/08/05 $253.8141
2025/08/01 $256.0179
2025/07/31 $256.1906
2025/07/30 $256.6882
2025/07/29 $255.9214
2025/07/28 $255.8351
2025/07/25 $254.7780
2025/07/24 $254.5504
2025/07/23 $253.8827
2025/07/22 $253.7259
2025/07/21 $253.6248
2025/07/18 $253.8575
2025/07/17 $252.2591
2025/07/16 $251.8292
2025/07/15 $252.6688
2025/07/14 $252.1226
2025/07/11 $252.6486
2025/07/10 $251.9658
2025/07/09 $251.2476
2025/07/08 $251.6623
2025/07/07 $251.9911
2025/07/04 $251.8545
2025/07/03 $251.0604
2025/07/02 $250.9694
2025/06/30 $250.5749
2025/06/27 $250.0409
2025/06/26 $249.2449
2025/06/25 $249.8595
2025/06/24 $248.8218
2025/06/23 $248.1215
2025/06/20 $247.7337
2025/06/19 $248.0359
2025/06/18 $247.8495
2025/06/17 $248.0762
2025/06/16 $247.2349
2025/06/13 $248.4188
2025/06/12 $248.2374
2025/06/11 $248.0913
2025/06/10 $247.3810
2025/06/09 $247.5473
2025/06/06 $246.5649
2025/06/05 $246.6909
2025/06/04 $247.0234
2025/06/03 $246.5649
2025/06/02 $245.9100
2025/05/30 $246.4743
2025/05/29 $246.0662
2025/05/28 $246.3886
2025/05/27 $243.9756
2025/05/26 $243.0084
2025/05/23 $243.8612
2025/05/22 $243.7860
2025/05/21 $245.8228
2025/05/20 $246.2844
2025/05/16 $245.6472
2025/05/15 $244.5686
2025/05/14 $244.2676
2025/05/13 $243.7158
2025/05/12 $241.0167
2025/05/09 $240.2993
2025/05/08 $239.3060
2025/05/07 $238.0618
2025/05/06 $238.7542
2025/05/05 $239.2207
2025/05/02 $237.7357
2025/05/01 $237.3595
2025/04/30 $237.6153
2025/04/29 $237.0886
2025/04/28 $236.9230
2025/04/25 $236.6732
2025/04/24 $234.8398
2025/04/23 $232.9115
2025/04/22 $230.7884
2025/04/21 $232.6767
2025/04/17 $232.4919
2025/04/16 $233.7258
2025/04/15 $232.4170
2025/04/14 $230.4287
2025/04/11 $228.5304
2025/04/10 $232.3320
2025/04/09 $226.2124
2025/04/08 $227.6311
2025/04/07 $230.5786
2025/04/04 $237.8522
2025/04/03 $245.2058
2025/04/02 $243.9269
2025/04/01 $243.4273