Malachite Aggressive Preferred Fund
– Monthly Performance

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Month Ending Unit Price Distribution Return on Fund NB-50 Index Return Commentary

March 30, 2001

$10.00

$0.00

N/A

N/A

April 30

$10.1109

$0.00

+1.11%

-0.32%

May 31

$10.0911

$0.00

-0.20%

-0.66%

June 29

$10.1636

$0.186196

+2.56%

-0.62%

July 31

$10.3063

$0.00

+1.40%

+0.48%

August 31

$10.4855

$0.00

+1.74%

+1.13%

September 30

$10.8670

$0.058831

+4.20%

+0.51%

October 31

$11.0027

$0.00

+1.25%

-0.06%

November 30

$10.9139

$0.00

-0.80%

+0.98%

December 31, 2001

$9.8715

$0.765647

-2.54%

-0.14%

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Month Ending Unit Price Distribution Return on Fund NB-50 Index Return Commentary

January 31, 2002

$10.4079

$0.00

+5.43%

+2.01%

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February 28

$10.5285

$0.00

+1.16%

+0.17%

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March 28

$10.4117

$0.108355

-0.08%

-2.16%

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April 30

$10.5386

$0.00

+1.22%

-0.65% (note 1)

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May 31

$10.5393

$0.00

+0.01%

+0.25%

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June 28

$10.6911

$0.0245451

+1.67%

+0.67%

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July 31

$10.4570

$0.00

-2.19%

+1.31%

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August 30

$10.2431

$0.00

-2.05%

+0.39%

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September 30

$9.3398

$0.137468

-7.48%

+0.54%

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October 31

$9.8244

$0.00

+5.19%

+0.13%

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November 29

$9.7004

$0.00

-1.26%

+0.06%

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December 31, 2002

$9.5508

$0.16711

+0.18%

+1.65%

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Month Ending Unit Price Distribution Return on Fund NB-50 Index Return Commentary

January 31, 2003

$10.2287

$0.00

+7.10%

+0.46%

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February 28

$10.1707

$0.00

-0.57%

-0.43%

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March 31

$9.5911

$0.117639

-4.54%

-0.18%

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April 30

$10.2470

$0.00

+6.84%

+1.01%

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May 30

$10.7143

$0.00

+4.56%

+1.99%

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June 30

$10.7900

$0.167157

+2.27%

+0.81%

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July 31

$11.1715

$0.00

+3.54%

-0.30%

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August 29

$11.4237

$0.00

+2.26%

+0.52%

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September 30

$11.6236

$0.154266

+3.10%

+1.31%

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October 31

$11.7212

$0.00

+0.84%

+0.26%

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November 28

$11.9546

$0.00

+1.99%

+0.35%

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December 31, 2003

$11.2861

$0.958371

+2.42%

+1.32%

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Month Ending Unit Price Distribution Return on Fund NB-50 Index Return Commentary

January 30, 2004

$11.5153

$0.00

+2.03%

+1.74%
(Note 1)

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February 27

$11.7400

$0.00

+1.95%

+0.62%

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March 31

$11.8710

$0.171193

+2.57%

+0.83%

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April 30

$11.3378

$0.00

-4.49%

-3.23%

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May 31

$11.4778

$0.00

+1.23%

-0.02%

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June 30

$11.5072

$0.142006

+1.49%

+0.86%

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July 30

$11.7965

$0.00

+2.51%

+1.39%

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August 31

$11.9465

$0.00

+1.27%

+0.40%

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September 30

$11.9163

$0.135753

+0.88%

+0.47%

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October 29

$12.0062

$0.00

+0.75%

+0.82%

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November 30

$12.1854

$0.00

+1.49%

+0.81%

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December 31, 2004

$9.6333

$0.167660 (Div)
$2.523176 (CG)

+1.14%

+1.26%

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Month Ending Unit Price Distribution Return on Fund NB-50 Index Return Commentary

January 31, 2005

$9.6735

$0.00

+0.42%

+0.33%

No Report

February 28 (Note 2)

$9.6471

$0.00

-0.27%

-0.23%

No Report

March 31 (Note 2)

$9.4843

$0.118773

-0.46%

-0.76%

No Report

April 29 (Note 2)

$9.3825

$0.00

-1.07%

+0.29%

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May 31 (Note 2)

$9.5349

$0.00

+1.62%

+0.98%

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June 30 (Note 2)

$9.5304

$0.113916

+1.15%

+0.59%

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July 29 (Note 2)

$9.5513

$0.00

+0.22%

+0.01%

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August 31 (Note 2)

$9.5991

$0.00

+0.50%

+0.34%

No Report

September 30

$9.5954

$0.138863

+1.41%

+0.69%

No Report

October 31

$9.6095

$0.00

+0.15%

-0.36%

No Report

November 30

$9.7502

$0.00

+1.46%

+1.53%

No Report

December 30, 2005

$9.5985

$0.056244 (Div)
$0.161941 (CG)

+0.68%

+0.38%

No Report

January 31, 2006

$9.6238

$0.00

+0.26%

-0.01%

No Report

February 28

$9.5895

$0.00

-0.36%

+0.21%

No Report

March 31

$9.5726

$0.165275

+1.55%

+0.50%

No Report

April 28

$9.3459

$0.00

-2.37%

-1.44%

No Report

May 31

$9.3951

$0.00

+0.53%

+0.59%

No Report

June 30

$9.3387

$0.102476

+0.49%

+0.31%

No Report

July 31

$9.3608

$0.00

+0.24%

+0.35%

No Report

August 31

$9.5285

$0.00

+1.79%

+0.86%

No Report

September 29

$9.6162

$0.050227

+1.45%

+1.08%

No Report

October 31, 2006

$9.6639

$0.00

+0.48%

+0.64%

No Report

The indicated rates of return are the historical monthly total returns including changes in unit value and re-investment of all dividends and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder that would have reduced returns. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated.

Note 1: Revised by BMO Nesbitt Burns.
Note 2: The fund was managed by James Hymas through Hymas Investment Management Inc. (HIMI) from inception until November, 2004. In that month, Mr. Hymas joined Portus Alternative Asset Management (PAAM) and continued managing the fund through them. Trusteeship of the fund was transferred to PAAM on February 7, 2005. On February 10, 2005, the Ontario Securities Commission ordered PAAM to cease trading for client accounts. On March 4, 2005, PAAM was placed in receivership by the Ontario Securities Commission. On April 29, 2005, a court order removed PAAM as trustee of the fund and reinstated HIMI. The fund recommenced trading in August, 2005, following the re-registration of HIMI with the Ontario Securities Commission.