Rates & Performance

Segregated Fund Rates of Return & Daily Unit Values

Please click on the product logo below for fund information related to the desired product.

Pivotal Solutions / Pivotal Solutions DSC & Personal Investment Portfolio

Click on the Fund Name for the complete fund profile

Net Returns as of  Friday, February 26, 2010 Prices Effective
Thursday, March 11, 2010
Fund Name 1 Month 3 Months 6 Months 1 Year 3 Years 5 Years 10 Years Total Assets (000's) Unit Value Current Unit Value Previous
American Growth 0.81 % -0.16 % 2.90 % 22.61 % -9.61 % -3.82 % -2.23 % $4,894 $8.369 $8.289
Asset Allocation 1.08 % 0.26 % 2.56 % 21.44 % -2.36 % 1.83 % 1.42 % $32,053 $19.505 $19.429
Canadian Bond -0.12 % -0.05 % 1.42 % 5.88 % 2.78 % 2.92 % 4.10 % $34,244 $18.866 $18.827
Canadian Stock 3.06 % 1.77 % 4.28 % 36.53 % -5.18 % 1.91 % 3.65 % $61,969 $24.522 $24.439
Equitable Life Acuity Pure Canadian Equity Fund 5.14 % 4.30 % 14.41 % 51.68 % -8.36 %     $9,892 $9.243 $9.219
Equitable Life Acuity Canadian Balanced Fund 2.93 % 0.93 % 8.05 % 34.56 % -1.34 %     $8,300 $10.383 $10.372
Equitable Life Templeton Global Bond Fund 0.32 % 1.19 % 2.75 % 7.30 % 6.51 % 4.18 % 4.99 % $8,614 $15.468 $15.495
Money Market 0.00 % 0.00 % 0.00 % 0.01 % 1.35 % 1.48 % 1.57 % $26,524 $13.931 $13.931
Equitable Life AIM Canadian Premier 0.69 % 0.34 % 6.65 % 28.88 % -5.35 % 3.49 %   $15,701 $14.618 $14.597
Equitable Life Bissett Dividend Income 2.14 % 3.27 % 6.27 % 28.80 % -2.81 % 1.97 %   $20,118 $12.550 $12.534
Equitable Life Dynamic Far East Value Fund 0.97 % 0.35 % 12.49 % 75.98 % -0.54 %     $5,880 $11.326 $11.288
Equitable Life Dynamic Power Global Growth Fund 4.16 % -2.29 % 14.90 % 35.43 % -2.12 %     $5,809 $11.390 $11.354
Equitable Life Mackenzie Universal US Emerging Growth 4.00 % 8.58 % 9.35 % 35.27 % -4.96 % -1.44 %   $2,045 $9.959 $9.887
Equitable Life MB Canadian Equity Value 4.30 % 3.06 % 5.67 % 36.13 % -2.80 % 3.38 % 7.62 % $32,373 $24.518 $24.494
Equitable Life Templeton Growth -1.86 % -3.03 % -0.34 % 22.81 % -12.56 % -4.44 % -2.18 % $4,518 $7.928 $7.922
Equitable Life Trimark Europlus -1.58 % -3.07 % 2.12 % 21.77 % -16.39 % -4.80 %   $4,514 $9.712 $9.695
Equitable Life Trimark Global Balanced -0.57 % 1.06 % 4.77 % 16.83 % -8.93 % -2.37 %   $3,380 $9.849 $9.845
Equitable Life Trimark International Companies Fund -1.13 % -1.29 % 2.62 % 23.50 % -15.18 %     $655 $7.129 $7.133
Equitable Life Quotential Maximum Growth Portfolio 1.86 % 2.58 % 7.64 % 42.71 % -8.01 % -1.49 %   $5,548 $9.589 $9.575
Equitable Life Quotential Global Growth Portfolio 0.42 % -0.01 % 3.26 % 32.21 % -9.31 % -1.80 %   $11,848 $9.437 $9.426
Equitable Life Quotential Growth Portfolio 1.70 % 1.66 % 6.70 % 37.04 % -6.00 % -0.34 %   $21,044 $10.514 $10.500
Equitable Life Quotential Balanced Growth Portfolio 1.42 % 1.76 % 6.45 % 31.78 % -3.57 % 0.81 %   $62,121 $10.960 $10.946
Equitable Life Quotential Balanced Income Portfolio 1.06 % 1.63 % 5.68 % 25.80 % -1.60 % 1.41 %   $21,229 $11.116 $11.101
Equitable Life Quotential Diversified Income Portfolio 0.98 % 2.11 % 5.87 % 20.37 % 0.54 % 2.16 %   $9,878 $11.414 $11.415

Back To Top

Fund Performance: Returns under 1 year are simple rates of return. All others are annual compound rates of return. All returns are net returns, i.e. they reflect changes in unit values, reinvested distributions, management fees and, where applicable, administration fees. Past performance does not guarantee future results.

ANY AMOUNT THAT IS ALLOCATED TO A SEGREGATED FUND IS INVESTED AT THE RISK OF THE CONTRACTHOLDER AND MAY INCREASE OR DECREASE IN VALUE.

Pivotal Solutions™ II

Net Returns as of Friday, February 26, 2010 Prices Effective
Thursday, March 11, 2010
Fund Name 1 Month 3 Months 6 Months 1 Year 3 Years 5 Years 10 Years Total Assets (000's) Unit Value Current Unit Value Previous
American Growth Fund B 0.79 % -0.16 % 2.80 % 22.28 % -9.90 %     $703 $8.264 $8.184
Canadian Bond Fund B -0.15 % -0.12 % 1.26 % 5.52 % 2.42 %     $4,444 $18.611 $18.573
Equitable Life Acuity Pure Canadian Equity Fund B 5.26 % 4.46 % 14.49 % 51.49 % -8.62 %     $17,048 $9.152 $9.127
Equitable Life Acuity Canadian Balanced Fund B 2.97 % 0.93 % 7.96 % 34.18 % -1.66 %     $8,373 $10.269 $10.258
Equitable Life AIM Canadian Premier Fund B 0.67 % 0.28 % 6.48 % 28.43 % -5.68 %     $7,082 $14.455 $14.434
Equitable Life Bissett Dividend Income Fund B 2.15 % 3.26 % 6.16 % 28.44 % -3.14 %     $4,729 $12.407 $12.391
Equitable Life Dynamic Far East Value Fund B 0.94 % 0.47 % 12.52 % 75.68 % -0.83 %     $3,664 $11.219 $11.181
Equitable Life Dynamic Power Global Growth Fund B 4.17 % -2.32 % 14.75 % 35.02 % -2.45 %     $9,524 $11.263 $11.228
Equitable Life Quotential Balanced Growth Portfolio B 1.42 % 1.72 % 6.34 % 31.42 % -3.86 %     $48,919 $10.853 $10.839
Equitable Life Quotential Balanced Income Portfolio B 1.05 % 1.57 % 5.52 % 25.39 % -1.95 %     $9,529 $10.992 $10.977
Equitable Life Quotential Diversified Income Portfolio B 0.98 % 2.07 % 5.74 % 20.00 % 0.21 %     $3,843 $11.292 $11.293
Equitable Life Quotential Global Growth Portfolio B 0.43 % -0.08 % 3.18 % 32.02 % -9.49 %     $18,891 $9.379 $9.368
Equitable Life Quotential Growth Portfolio B 1.72 % 1.62 % 6.59 % 36.71 % -6.27 %     $25,053 $10.417 $10.403
Equitable Life Quotential Maximum Growth Portfolio B 1.87 % 2.61 % 7.66 % 42.75 % -8.12 %     $4,776 $9.551 $9.537
Equitable Life Mackenzie Universal US Emerging Growth Fund B 4.01 % 8.93 % 9.66 % 35.57 % -5.04 %     $467 $9.932 $9.860
Equitable Life MB Canadian Equity Value Fund B 4.32 % 3.01 % 5.52 % 35.69 % -3.13 %     $4,775 $24.244 $24.219
Equitable Life Templeton Growth Fund B -1.90 % -3.13 % -0.47 % 22.58 % -12.76 %     $922 $7.874 $7.868
Equitable Life Trimark Europlus Fund B -1.60 % -3.10 % 2.07 % 21.71 % -16.50 %     $2,967 $9.666 $9.650
Equitable Life Trimark Global Balanced Fund B -0.60 % 1.02 % 4.65 % 16.50 % -9.21 %     $1,565 $9.750 $9.746
Equitable Life Trimark International Companies Fund B -1.18 % -1.35 % 2.47 % 23.09 % -15.48 %     $574 $7.044 $7.048
Money Market 0.00 % 0.00 % 0.00 % 0.01 % 1.35 % 1.48 % 1.57 % $26,524 $13.931 $13.931

Fund Performance: Returns under 1 year are simple rates of return. All others are annual compound rates of return. All returns are net returns, i.e. they reflect changes in unit values, reinvested distributions, management fees and, where applicable, administration fees. Past performance does not guarantee future results.

ANY AMOUNT THAT IS ALLOCATED TO A SEGREGATED FUND IS INVESTED AT THE RISK OF THE CONTRACTHOLDER AND MAY INCREASE OR DECREASE IN VALUE.

Back To Top