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 $3.73 billion
MER (audited) 2.47%
Number of Positions 1934
Number of Bond Positions 1759
Number of Equity Positions 148
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
UltraVision (0.00%*) 3.23 4.93 10.77 4.98 16.53 13.19 9.26 7.98 7.62

UltraVision (0.00%*)

1 mth 3.23
3 mth 4.93
6 mth 10.77
YTD 4.98
1 yr 16.53
3 yr 13.19
5 yr 9.26
10 yr 7.98
Inception 7.62

Calendar Returns (%)

Product 2018 2019 2020 2021 2022 2023 2024 2025
UltraVision (0.00%*) -8.53 14.44 4.85 15.97 -9.23 10.62 14.36 13.78

UltraVision (0.00%*)

2018 -8.53
2019 14.44
2020 4.85
2021 15.97
2022 -9.23
2023 10.62
2024 14.36
2025 13.78

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
3.23 4.93 10.77 4.98 16.53 13.19 9.24 7.96 6.87
1 mth 3.23
3 mth 4.93
6 mth 10.77
YTD 4.98
1 yr 16.53
3 yr 13.19
5 yr 9.24
10 yr 7.96
Inception 6.87

Calendar Returns (%)

2018 2019 2020 2021 2022 2023 2024 2025
-8.53 14.44 4.85 15.97 -9.30 10.62 14.36 13.78
2018 -8.53
2019 14.44
2020 4.85
2021 15.97
2022 -9.30
2023 10.62
2024 14.36
2025 13.78

Portfolio Allocation as of January 31, 2026

Asset Allocation (%)

Name Weight %
Equities 61.72%
Fixed income 33.21%
Mutual funds 2.88%
Cash and equivalents 2.22%

Geographic Allocation (%)

Name Weight %
Canada 57.39%
United States 34.58%
United Kingdom 2.95%
Germany 0.78%
South Korea 0.68%
France 0.62%
Luxembourg 0.53%
Japan 0.48%
Switzerland 0.42%
Netherlands 0.36%
Other 1.20%

Top 5 Bond Holdings (%)

Name Weight %
United States Treasury Bill, 4/16/2026 0.48%
TREASURY BILL 0% 03/03/2026 0.47%
APLD COMPUTECO LLC 9.25% 12/15/2030 0.35%
Canada Housing Trust No.1, 2.9%, 12/15/2029 0.34%
Energy Transfer L.P., 6.75%, 2/15/2056 0.26%

Top 5 Equity Holdings (%)

Name Weight %
Manulife Financial Corporation Com 2.65%
Wheaton Precious Metals Corp. Com 2.49%
Agnico-Eagle Mines Ltd. Com 2.00%
Shopify Inc. Cl A Sub Vtg Shs 1.85%
Fairfax Financial Holdings Ltd. Sub Vtg 1.83%

Distributions

Start Date
End Date
Effective Date Net Asset Value
2026/04/02 $282.0598
2026/04/01 $280.4897
2026/03/31 $276.4025
2026/03/30 $276.2768
2026/03/27 $276.9546
2026/03/26 $279.6136
2026/03/25 $276.8243
2026/03/24 $276.3133
2026/03/23 $274.3739
2026/03/20 $277.2987
2026/03/19 $279.1965
2026/03/18 $281.4592
2026/03/17 $280.5729
2026/03/16 $278.7585
2026/03/13 $279.4311
2026/03/12 $281.4175
2026/03/11 $281.7512
2026/03/10 $281.0265
2026/03/09 $280.4791
2026/03/06 $283.9983
2026/03/05 $285.5519
2026/03/04 $284.8168
2026/03/03 $288.8574
2026/03/02 $288.6228
2026/02/27 $289.3788
2026/02/26 $288.0076
2026/02/25 $287.4341
2026/02/24 $286.4591
2026/02/23 $286.9023
2026/02/20 $285.8581
2026/02/19 $285.4270
2026/02/18 $283.3023
2026/02/17 $283.6607
2026/02/13 $281.2400
2026/02/12 $284.0296
2026/02/11 $283.7646
2026/02/10 $282.8607
2026/02/09 $281.2711
2026/02/06 $278.9231
2026/02/05 $281.5049
2026/02/04 $281.2556
2026/02/03 $281.1984
2026/02/02 $279.6036
2026/01/30 $283.3023
2026/01/29 $283.9672
2026/01/28 $283.3231
2026/01/27 $283.6036
2026/01/26 $283.2815
2026/01/23 $283.2246
2026/01/22 $282.5155
2026/01/21 $281.0093
2026/01/20 $283.3488
2026/01/19 $283.6594
2026/01/16 $283.7008
2026/01/15 $282.5569
2026/01/14 $281.7288
2026/01/13 $281.2164
2026/01/12 $280.5332
2026/01/09 $279.0891
2026/01/08 $278.1989
2026/01/07 $279.2030
2026/01/06 $277.8469
2026/01/05 $276.1079
2026/01/02 $274.9381
2025/12/31 $275.5437
2025/12/30 $275.6628
2025/12/29 $275.8646
2025/12/24 $275.8852
2025/12/23 $275.4469
2025/12/22 $274.5033
2025/12/19 $272.7759
2025/12/18 $271.5693
2025/12/17 $272.0798
2025/12/16 $273.1369
2025/12/15 $273.2142
2025/12/12 $274.0650
2025/12/11 $273.4411
2025/12/10 $272.3995
2025/12/09 $272.4149
2025/12/08 $272.9512
2025/12/05 $274.6322
2025/12/04 $274.0908
2025/12/03 $273.5339
2025/12/02 $273.9206
2025/12/01 $275.0550
2025/11/28 $274.4363
2025/11/27 $274.4724
2025/11/26 $273.3276
2025/11/25 $272.0334
2025/11/24 $269.6150
2025/11/21 $268.5311
2025/11/20 $270.1852
2025/11/19 $269.2914
2025/11/18 $270.6680
2025/11/17 $272.0550
2025/11/14 $272.0704
2025/11/13 $274.9573
2025/11/12 $272.8512
2025/11/11 $272.2759
2025/11/10 $269.8872
2025/11/07 $270.3855
2025/11/06 $271.5464
2025/11/05 $270.3547
2025/11/04 $272.5481
2025/11/03 $272.0447
2025/10/31 $271.2742
2025/10/30 $271.4232
2025/10/29 $272.3889
2025/10/28 $272.6508
2025/10/27 $272.0807
2025/10/24 $270.6580
2025/10/23 $269.5066
2025/10/22 $269.6652
2025/10/21 $271.4717
2025/10/20 $269.4452
2025/10/17 $270.8883
2025/10/16 $271.8248
2025/10/15 $270.3868
2025/10/14 $268.0532
2025/10/10 $270.9958
2025/10/09 $271.9988
2025/10/08 $270.9190
2025/10/07 $271.5740
2025/10/06 $270.4789