September 8, 2010
 
  Annualized Gross Rates of Return  
Annual Gross Rates of Return
Funds - Annualized Gross Rates of Return
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  • As at June 30, 2010
      YTD 1
    YEAR
    2
    YEAR
    3
    YEAR
    4
    YEAR
    5
    YEAR
    10
    YEAR
     Canadian Equities
  • Equity Fund #3
  • -1.55% 14.22% -12.57% -6.06% -0.71% 2.60% 3.78%
  • Dividend Fund
  • 0.52% 13.84% -1.13% -1.96% 1.93% 4.15% 8.55%
  • Ethics Fund
  • -1.34% 15.83% -12.87% -6.49% 1.26% 4.41%
  • Equity Index Fund
  • -2.55% 11.96% -8.61% -3.27% 2.66% 5.83% 3.41%
  • Mid Cap Canada Fund
  • 2.66% 35.34% -6.90% -6.24% -1.04% 3.47% 4.90%
  • Science & Technology Fund
  • -2.65% 12.46% -0.32% -5.81% 1.97% 1.48%
     U.S. Equities
  • U.S. Equity Fund #2
  • -7.81% -0.95% -11.88% -11.46% -6.65% -6.01% -6.09%
  • U.S. Mid Cap Fund
  • -7.33% 2.67% -11.23% -11.93% -7.40% -6.43%
     International Equities
  • International Equity Fund
  • -12.85% -1.28% -10.12% -10.85% -4.23% -0.76% -3.03%
  • International Opportunity Fund
  • -8.49% 3.66% -8.99% -8.69% -2.78% 0.60% -4.69%
     Real Estate
  • Real Estate Fund *
  • 0.80% 0.14% -1.69% 3.44% 6.41% 8.43% 8.61%
     Fixed Income
  • Canadian Bond Fund
  • 4.51% 8.24% 6.92% 6.84% 6.36% 4.90% 6.60%
  • Mortgage Fund
  • 6.21% 11.85% 7.84% 7.09% 6.52% 5.46% 6.96%
  • Government Bond Fund
  • 2.55% 4.31% 5.95% 6.37% 5.80% 4.59% 5.48%
  • Money Market Fund
  • 0.30% 0.57% 1.23% 2.24% 2.76% 2.87% 3.12%
     Balanced Portfolios
  • Diversified RS Fund
  • -0.94% 9.55% -3.71% -1.43% 1.88% 3.30% 3.81%
  • Equity/Bond Fund
  • -1.74% 8.33% -6.04% -3.34% 0.12% 1.74% 2.64%
  • Income Fund
  • 2.63% 6.56% 5.58% 5.73% 5.99% 5.32% 6.91%


    Please Note: Retail product rates of return are available at Great-West Life and London Life.
    Disclaimer: Any indicated rates of return are annualized compounded returns for the period indicated above, including changes in unit value and reinvestment of all distributions. The rates of return are gross rates of return calculated prior to the deduction of any investment management fee. Investment management fees vary dependent upon the nature of the investment vehicle. Please note that values and investment returns will fluctuate and past performance is not necessarily indicative of future performance.

    * The Fund is currently subject to a temporary suspension on withdrawals and transfers.