Canada Life segregated funds policy originally with Great-West Life

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Canada Life Mutual Funds

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100 funds as of: April 30, 2026

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Add GW Canadian Equity Value 75/75 (MMP) - - - Canadian equity - - - - - - - - - - - - - - - - - - - - - - - CLGUM063 - - - - Mackenzie Investments Fund fact Monthly profile
Add GW Canadian Equity Value II 75/75 (MMP) - - - Canadian equity - - - - - - - - - - - - - - - - - - - - - - - CLGUM060 - - - - Mackenzie Investments Fund fact Monthly profile
Add GW Canadian Growth Equity 75/75 (MMP) - - - Canadian equity - - - - - - - - - - - - - - - - - - - - - - - CLGUM059 - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GW Canadian Growth Equity II 75/75 (MMP) - - - Canadian equity - - - - - - - - - - - - - - - - - - - - - - - CLGUM065 - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GW European Equity 75/75 (MMP) - - - Specialty - - - - - - - - - - - - - - - - - - - - - - - CLGUM089 - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GW Far East Equity 75/75 (MMP) - - - Specialty - - - - - - - - - - - - - - - - - - - - - - - CLGUM090 - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GW Global All Cap Equity 75/75 (MMP) - - - Foreign equity - - - - - - - - - - - - - - - - - - - - - - - CLGUM074 - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GW Global All Cap Equity II 75/75 (MMP) - - - Foreign equity - - - - - - - - - - - - - - - - - - - - - - - CLGUM076 - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GW International Equity II 75/75 (MMP) - - - Foreign equity - - - - - - - - - - - - - - - - - - - - - - - - - - CLGVM078 - JP Morgan Fund fact Monthly profile
Add GW VPI Canadian Balanced 75/75 (MMP) - - - Balanced - - - - - - - - - - - - - - - - - - - - - - - CLGUM043 - - - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GW VPI Canadian Equity 75/75 (MMP) - - - Canadian equity - - - - - - - - - - - - - - - - - - - - - - - CLGUM055 - - - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL Advanced Portfolio DSC 05/12/2026 876.98 -1.28 Portfolio solution 3.86 2.59 4.29 4.26 5.35 16.83 10.27 6.39 6.30 5.77 5.35 9.40 13.72 8.36 -9.18 11.52 6.89 11.90 -6.66 6.82 6.12 12/31/2024 2.64 - CLGTJ001 - - - Portfolio Solutions Group Monthly profile
Add GWL Advanced Portfolio NL 05/12/2026 837.10 -1.23 Portfolio solution 3.86 2.59 4.29 4.26 5.18 16.83 10.27 6.39 6.27 5.67 5.18 9.40 13.72 8.36 -9.18 11.52 6.89 11.90 -6.60 6.59 5.90 12/31/2024 2.64 - - - CLGTO001 - Portfolio Solutions Group Monthly profile
Add GWL Advanced Portfolio 100/100 05/12/2026 26.01 -0.04 Portfolio solution 3.80 2.43 3.95 4.04 5.53 16.07 9.55 5.71 5.65 5.17 5.53 8.69 12.98 7.66 -9.77 10.80 6.20 11.18 -7.18 6.33 5.63 12/31/2024 3.29 CLGM001I CLGM001J CLGM001L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Advanced Portfolio 100/100 (P) 05/12/2026 16.31 -0.02 Portfolio solution 3.90 2.70 4.51 4.41 6.26 17.34 10.75 6.86 - - 6.26 9.88 14.22 8.83 -8.78 12.01 7.37 12.40 - - - - - CLGN001I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Advanced Portfolio 100/100 (PP) 05/12/2026 16.97 -0.02 Portfolio solution 3.94 2.83 4.77 4.59 6.80 17.94 11.31 7.40 - - 6.80 10.44 14.80 9.38 -8.33 12.57 7.91 12.96 - - - - - CLGP001I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Advanced Portfolio 100/100 (PS1) 05/12/2026 25.53 -0.04 Portfolio solution 3.85 2.56 4.21 4.21 6.84 16.66 10.11 6.24 6.22 - 6.84 9.25 13.56 8.21 -9.31 11.36 6.75 11.75 -6.63 7.02 6.27 - 2.77 CLGO001I CLGO001J CLGO001L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Advanced Portfolio 75/100 05/12/2026 27.66 -0.04 Portfolio solution 3.84 2.52 4.15 4.17 5.91 16.51 9.97 6.11 6.05 5.55 5.91 9.10 13.41 8.07 -9.43 11.22 6.60 11.60 -6.84 6.71 6.01 12/31/2024 2.91 CLGM001E CLGM001F CLGM001H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Advanced Portfolio 75/100 (P) 05/12/2026 16.80 -0.02 Portfolio solution 3.93 2.79 4.70 4.54 6.67 17.78 11.17 7.26 - - 6.67 10.29 14.66 9.24 -8.44 12.43 7.76 12.81 - - - - - CLGN001E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Advanced Portfolio 75/100 (PP) 05/12/2026 17.33 -0.02 Portfolio solution 3.96 2.90 4.91 4.68 7.09 18.26 11.62 7.69 - - 7.09 10.74 15.12 9.68 -8.08 12.88 8.20 13.28 - - - - - CLGP001E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Advanced Portfolio 75/100 (PS1) 05/12/2026 26.53 -0.04 Portfolio solution 3.87 2.62 4.35 4.31 7.13 16.98 10.41 6.53 6.51 - 7.13 9.54 13.87 8.50 -9.06 11.67 7.04 12.05 -6.38 7.31 6.61 12/31/2024 2.51 CLGO001E CLGO001F CLGO001H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Advanced Portfolio 75/75 05/12/2026 28.60 -0.04 Portfolio solution 3.86 2.59 4.29 4.26 6.12 16.83 10.27 6.39 6.30 5.77 6.12 9.40 13.72 8.36 -9.18 11.52 6.89 11.90 -6.66 6.82 6.12 12/31/2024 2.64 CLGM001A CLGM001B CLGM001D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Advanced Portfolio 75/75 (P) 05/12/2026 17.18 -0.02 Portfolio solution 3.95 2.86 4.84 4.63 6.97 18.09 11.47 7.55 - - 6.97 10.59 14.97 9.54 -8.19 12.74 8.06 13.13 - - - - - CLGN001A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Advanced Portfolio 75/75 (PP) 05/12/2026 17.48 -0.03 Portfolio solution 3.97 2.93 4.97 4.72 7.21 18.38 11.74 7.81 - - 7.21 10.86 15.24 9.80 -7.98 13.00 8.32 13.40 - - - - - CLGP001A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Advanced Portfolio 75/75 (PS1) 05/12/2026 26.94 -0.04 Portfolio solution 3.88 2.65 4.41 4.35 7.25 17.11 10.53 6.65 6.63 - 7.25 9.66 13.99 8.62 -8.96 11.79 7.15 12.17 -6.28 7.43 6.73 12/31/2024 2.40 CLGO001A CLGO001B CLGO001D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Aggressive Portfolio DSC 05/12/2026 941.11 -1.27 Portfolio solution 4.45 3.00 5.12 4.90 5.59 20.06 11.96 7.64 7.74 6.84 5.59 11.02 16.20 9.17 -9.40 14.51 6.93 14.34 -7.06 8.98 7.84 12/31/2024 2.75 - CLGTJ002 - - - Portfolio Solutions Group Monthly profile
Add GWL Aggressive Portfolio NL 05/12/2026 898.95 -1.21 Portfolio solution 4.45 3.00 5.12 4.90 5.43 20.06 11.96 7.64 7.71 6.74 5.43 11.02 16.20 9.17 -9.40 14.51 6.93 14.34 -7.00 8.74 7.61 12/31/2024 2.75 - - - CLGTO002 - Portfolio Solutions Group Monthly profile
Add GWL Aggressive Portfolio 100/100 05/12/2026 30.94 -0.04 Portfolio solution 4.38 2.81 4.74 4.65 6.60 19.18 11.14 6.85 7.02 6.17 6.60 10.20 15.34 8.37 -10.06 13.67 6.14 13.50 -7.62 8.47 7.34 12/31/2024 3.49 CLGM002I CLGM002J CLGM002L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Aggressive Portfolio 100/100 (P) 05/12/2026 17.62 -0.02 Portfolio solution 4.47 3.08 5.30 5.02 7.29 20.47 12.35 8.02 - - 7.29 11.41 16.61 9.55 -9.08 14.91 7.30 14.74 - - - - - CLGN002I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Aggressive Portfolio 100/100 (PP) 05/12/2026 18.38 -0.02 Portfolio solution 4.52 3.22 5.59 5.21 7.88 21.13 12.96 8.60 - - 7.88 12.01 17.24 10.15 -8.59 15.52 7.88 15.37 - - - - - CLGP002I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Aggressive Portfolio 100/100 (PS1) 05/12/2026 30.86 -0.04 Portfolio solution 4.43 2.95 5.02 4.83 8.28 19.82 11.74 7.43 7.60 - 8.28 10.80 15.97 8.96 -9.57 14.28 6.73 14.12 -7.11 9.07 7.93 12/31/2024 2.95 CLGO002I CLGO002J CLGO002L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Aggressive Portfolio 75/100 05/12/2026 33.05 -0.04 Portfolio solution 4.41 2.90 4.93 4.77 7.01 19.62 11.55 7.24 7.41 6.58 7.01 10.61 15.77 8.77 -9.73 14.09 6.54 13.92 -7.27 8.87 7.74 12/31/2024 3.12 CLGM002E CLGM002F CLGM002H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Aggressive Portfolio 75/100 (P) 05/12/2026 18.15 -0.02 Portfolio solution 4.51 3.18 5.50 5.15 7.70 20.92 12.77 8.42 - - 7.70 11.81 17.05 9.96 -8.74 15.33 7.72 15.19 - - - - - CLGN002E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Aggressive Portfolio 75/100 (PP) 05/12/2026 18.95 -0.02 Portfolio solution 4.55 3.32 5.79 5.34 8.30 21.59 13.41 9.03 - - 8.30 12.43 17.72 10.59 -8.23 15.97 8.30 15.81 - - - - - CLGP002E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Aggressive Portfolio 75/100 (PS1) 05/12/2026 32.54 -0.04 Portfolio solution 4.46 3.04 5.22 4.96 8.69 20.28 12.17 7.84 8.01 - 8.69 11.22 16.41 9.37 -9.23 14.72 7.13 14.56 -6.75 9.48 8.34 12/31/2024 2.57 CLGO002E CLGO002F CLGO002H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Aggressive Portfolio 75/75 05/12/2026 34.36 -0.05 Portfolio solution 4.45 3.00 5.12 4.90 7.26 20.06 11.96 7.64 7.74 6.84 7.26 11.02 16.20 9.17 -9.40 14.51 6.93 14.34 -7.06 8.98 7.84 12/31/2024 2.75 CLGM002A CLGM002B CLGM002D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Aggressive Portfolio 75/75 (P) 05/12/2026 18.67 -0.02 Portfolio solution 4.54 3.27 5.69 5.27 8.09 21.36 13.18 8.81 - - 8.09 12.23 17.47 10.36 -8.41 15.76 8.09 15.58 - - - - - CLGN002A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Aggressive Portfolio 75/75 (PP) 05/12/2026 19.10 -0.02 Portfolio solution 4.56 3.34 5.84 5.37 8.40 21.72 13.52 9.13 - - 8.40 12.55 17.82 10.68 -8.15 16.09 8.42 15.93 - - - - - CLGP002A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Aggressive Portfolio 75/75 (PS1) 05/12/2026 33.03 -0.04 Portfolio solution 4.47 3.07 5.28 5.00 8.81 20.41 12.29 7.95 8.13 - 8.81 11.34 16.54 9.49 -9.13 14.84 7.25 14.68 -6.65 9.60 8.45 12/31/2024 2.46 CLGO002A CLGO002B CLGO002D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL American Growth DSC 05/12/2026 1,651.68 -10.00 U.S. equity 10.90 5.29 2.57 8.29 7.48 29.83 22.89 14.37 16.46 15.14 7.48 9.52 40.00 15.05 -10.12 20.28 43.05 11.70 2.19 15.89 1.26 12/31/2024 2.99 - CLGTJ072 - - - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth NL 05/12/2026 1,579.27 -9.56 U.S. equity 10.90 5.29 2.57 8.29 7.31 29.83 22.89 14.37 16.43 15.03 7.31 9.52 40.00 15.05 -10.12 20.28 43.05 11.70 2.26 15.64 1.04 12/31/2024 2.99 - - - CLGTO072 - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth 100/100 05/12/2026 100.75 -0.61 U.S. equity 10.84 5.13 2.25 8.07 14.49 29.01 22.11 13.64 15.75 14.44 14.49 8.82 39.11 14.33 -10.69 19.52 42.14 11.00 1.58 15.28 0.73 12/31/2024 3.63 CLGM072I CLGM072J CLGM072L - - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth 100/100 (P) 05/12/2026 31.67 -0.19 U.S. equity 10.94 5.41 2.81 8.46 14.99 30.43 23.46 14.90 - - 14.99 10.02 40.65 15.59 -9.71 20.83 43.71 12.22 - - - - - CLGN072I - - - - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth 100/100 (PP) 05/12/2026 32.63 -0.20 U.S. equity 10.98 5.51 3.00 8.59 15.43 30.94 23.94 15.34 - - 15.43 10.45 41.20 16.03 -9.36 21.29 44.25 12.64 - - - - - CLGP072I - - - - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth 100/100 (PS1) 05/12/2026 83.00 -0.50 U.S. equity 10.88 5.23 2.44 8.20 15.85 29.50 22.58 14.08 16.19 - 15.85 9.24 39.65 14.76 -10.35 19.98 42.69 11.42 1.97 15.73 1.11 12/31/2024 3.25 CLGO072I CLGO072J CLGO072L - - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth 75/100 05/12/2026 107.74 -0.65 U.S. equity 10.88 5.23 2.44 8.20 14.94 29.49 22.57 14.07 16.18 14.90 14.94 9.23 39.63 14.75 -10.36 19.97 42.67 11.41 1.96 15.71 1.11 12/31/2024 3.26 CLGM072E CLGM072F CLGM072H - - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth 75/100 (P) 05/12/2026 32.61 -0.20 U.S. equity 10.98 5.51 3.00 8.59 15.42 30.92 23.92 15.33 - - 15.42 10.44 41.19 16.02 -9.37 21.29 44.24 12.64 - - - - - CLGN072E - - - - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth 75/100 (PP) 05/12/2026 33.63 -0.20 U.S. equity 11.01 5.61 3.20 8.73 15.88 31.44 24.41 15.78 - - 15.88 10.87 41.75 16.47 -9.02 21.77 44.82 13.08 - - - - - CLGP072E - - - - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth 75/100 (PS1) 05/12/2026 87.57 -0.53 U.S. equity 10.91 5.33 2.64 8.34 16.30 30.00 23.05 14.52 16.64 - 16.30 9.66 40.19 15.20 -10.01 20.44 43.23 11.85 2.36 16.17 1.50 12/31/2024 2.86 CLGO072E CLGO072F CLGO072H - - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth 75/75 05/12/2026 111.50 -0.68 U.S. equity 10.90 5.29 2.57 8.29 15.18 29.83 22.89 14.37 16.46 15.14 15.18 9.52 40.00 15.05 -10.12 20.28 43.05 11.70 2.19 15.89 1.26 12/31/2024 2.99 CLGM072A CLGM072B CLGM072D - - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth 75/75 (P) 05/12/2026 33.35 -0.20 U.S. equity 11.00 5.58 3.13 8.68 15.75 31.27 24.25 15.63 - - 15.75 10.73 41.56 16.32 -9.13 21.61 44.62 12.93 - - - - - CLGN072A - - - - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth 75/75 (PP) 05/12/2026 34.36 -0.21 U.S. equity 11.04 5.69 3.34 8.83 16.19 31.80 24.76 16.10 - - 16.19 11.18 42.14 16.79 -8.77 22.10 45.21 13.38 - - - - - CLGP072A - - - - AGF Investments Inc. Fund fact Monthly profile
Add GWL American Growth 75/75 (PS1) 05/12/2026 91.01 -0.55 U.S. equity 10.94 5.40 2.78 8.44 16.62 30.36 23.39 14.83 16.96 - 16.62 9.96 40.58 15.52 -9.76 20.77 43.63 12.15 2.65 16.49 1.78 12/31/2024 2.59 CLGO072A CLGO072B CLGO072D - - AGF Investments Inc. Fund fact Monthly profile
Add GWL Balanced Income 100/100 05/12/2026 22.90 -0.04 Portfolio solution 2.40 2.26 3.36 2.65 5.08 14.72 9.34 4.98 5.25 4.77 5.08 11.27 11.18 8.45 -13.02 9.23 8.09 13.39 -5.40 3.93 4.38 12/31/2024 3.04 CLGM010I CLGM010J - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Income 100/100 (P) 05/12/2026 16.43 -0.03 Portfolio solution 2.49 2.54 3.92 3.02 6.46 15.98 10.55 6.14 - - 6.46 12.48 12.42 9.64 -12.06 10.44 9.28 14.62 - - - - - CLGN010I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Income 100/100 (PP) 05/12/2026 17.18 -0.03 Portfolio solution 2.54 2.68 4.21 3.21 7.07 16.64 11.18 6.74 - - 7.07 13.13 13.06 10.27 -11.57 11.06 9.90 15.28 - - - - - CLGP010I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Income 100/100 (PS1) 05/12/2026 23.03 -0.04 Portfolio solution 2.45 2.41 3.65 2.84 6.10 15.38 9.97 5.58 5.85 - 6.10 11.90 11.82 9.07 -12.53 9.85 8.71 14.03 -4.86 4.52 4.92 12/31/2024 2.47 CLGO010I CLGO010J - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Income 75/100 05/12/2026 23.48 -0.04 Portfolio solution 2.41 2.30 3.43 2.70 5.24 14.90 9.51 5.15 5.41 4.93 5.24 11.44 11.36 8.62 -12.89 9.40 8.26 13.56 -5.25 4.09 4.53 12/31/2024 2.88 CLGM010E CLGM010F - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Income 75/100 (P) 05/12/2026 16.63 -0.03 Portfolio solution 2.50 2.58 4.00 3.07 6.62 16.16 10.72 6.30 - - 6.62 12.66 12.59 9.81 -11.93 10.60 9.45 14.80 - - - - - CLGN010E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Income 75/100 (PP) 05/12/2026 17.40 -0.03 Portfolio solution 2.55 2.72 4.29 3.26 7.24 16.83 11.36 6.92 - - 7.24 13.32 13.25 10.45 -11.43 11.25 10.07 15.46 - - - - - CLGP010E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Income 75/100 (PS1) 05/12/2026 23.58 -0.04 Portfolio solution 2.46 2.45 3.73 2.90 6.28 15.56 10.15 5.76 6.02 - 6.28 12.08 12.01 9.25 -12.38 10.03 8.88 14.22 -4.70 4.69 5.13 12/31/2024 2.30 CLGO010E CLGO010F - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Income 75/75 05/12/2026 23.66 -0.04 Portfolio solution 2.42 2.32 3.46 2.72 5.29 14.96 9.57 5.20 5.47 4.98 5.29 11.50 11.42 8.68 -12.84 9.46 8.32 13.62 -5.20 4.15 4.59 12/31/2024 2.83 CLGM010A CLGM010B - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Income 75/75 (P) 05/12/2026 16.70 -0.03 Portfolio solution 2.51 2.59 4.02 3.09 6.68 16.22 10.77 6.36 - - 6.68 12.72 12.65 9.87 -11.88 10.67 9.50 14.86 - - - - - CLGN010A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Income 75/75 (PP) 05/12/2026 17.48 -0.03 Portfolio solution 2.56 2.74 4.32 3.29 7.30 16.90 11.42 6.98 - - 7.30 13.38 13.31 10.51 -11.37 11.31 10.14 15.53 - - - - - CLGP010A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Income 75/75 (PS1) 05/12/2026 23.76 -0.04 Portfolio solution 2.47 2.46 3.76 2.92 6.34 15.63 10.21 5.81 6.08 - 6.34 12.15 12.07 9.31 -12.34 10.09 8.94 14.28 -4.65 4.75 5.19 12/31/2024 2.25 CLGO010A CLGO010B - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Portfolio DSC 05/12/2026 696.87 -1.38 Portfolio solution 2.87 1.68 2.78 3.04 4.55 12.08 7.77 4.39 4.39 4.45 4.55 7.13 10.26 7.19 -9.76 7.59 4.95 9.45 -4.45 4.49 4.35 12/31/2024 2.54 - CLGTJ003 - - - Portfolio Solutions Group Monthly profile
Add GWL Balanced Portfolio NL 05/12/2026 665.00 -1.31 Portfolio solution 2.87 1.68 2.78 3.04 4.38 12.08 7.77 4.39 4.36 4.35 4.38 7.13 10.26 7.19 -9.76 7.59 4.95 9.45 -4.38 4.26 4.13 12/31/2024 2.54 - - - CLGTO003 - Portfolio Solutions Group Monthly profile
Add GWL Balanced Portfolio 100/100 05/12/2026 21.09 -0.04 Portfolio solution 2.82 1.54 2.48 2.84 4.26 11.42 7.14 3.78 3.87 4.02 4.26 6.51 9.62 6.56 -10.29 6.97 4.34 8.80 -4.82 4.28 4.14 12/31/2024 3.12 CLGM003I CLGM003J CLGM003L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Portfolio 100/100 (P) 05/12/2026 14.37 -0.03 Portfolio solution 2.91 1.81 3.03 3.21 4.61 12.63 8.31 4.91 - - 4.61 7.66 10.82 7.72 -9.31 8.13 5.47 10.00 - - - - - CLGN003I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Portfolio 100/100 (PP) 05/12/2026 15.01 -0.03 Portfolio solution 2.96 1.95 3.31 3.40 5.19 13.26 8.91 5.50 - - 5.19 8.27 11.44 8.32 -8.80 8.73 6.07 10.61 - - - - - CLGP003I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Portfolio 100/100 (PS1) 05/12/2026 20.43 -0.04 Portfolio solution 2.87 1.67 2.76 3.03 5.17 12.04 7.73 4.35 4.45 - 5.17 7.10 10.23 7.15 -9.79 7.56 4.92 9.41 -4.29 4.86 4.72 12/31/2024 2.57 CLGO003I CLGO003J CLGO003L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Portfolio 75/100 05/12/2026 21.93 -0.04 Portfolio solution 2.85 1.61 2.64 2.95 4.70 11.77 7.47 4.10 4.16 4.27 4.70 6.84 9.96 6.90 -10.00 7.30 4.67 9.15 -4.60 4.43 4.30 12/31/2024 2.81 CLGM003E CLGM003F CLGM003H - CLGR003E Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Portfolio 75/100 (P) 05/12/2026 14.73 -0.03 Portfolio solution 2.94 1.89 3.19 3.32 4.94 12.99 8.65 5.24 - - 4.94 8.01 11.17 8.06 -9.02 8.47 5.81 10.34 - - - - - CLGN003E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Portfolio 75/100 (PP) 05/12/2026 15.20 -0.03 Portfolio solution 2.98 1.99 3.40 3.45 5.36 13.45 9.09 5.66 - - 5.36 8.44 11.62 8.49 -8.66 8.91 6.24 10.78 - - - - - CLGP003E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Portfolio 75/100 (PS1) 05/12/2026 20.90 -0.04 Portfolio solution 2.88 1.71 2.84 3.09 5.34 12.22 7.91 4.52 4.62 - 5.34 7.27 10.41 7.32 -9.64 7.73 5.10 9.59 -4.13 5.03 4.89 12/31/2024 2.41 CLGO003E CLGO003F CLGO003H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Portfolio 75/75 05/12/2026 22.55 -0.04 Portfolio solution 2.87 1.68 2.78 3.04 4.68 12.08 7.77 4.39 4.39 4.45 4.68 7.13 10.26 7.19 -9.76 7.59 4.95 9.44 -4.45 4.49 4.35 12/31/2024 2.54 CLGM003A CLGM003B CLGM003D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Portfolio 75/75 (P) 05/12/2026 15.04 -0.03 Portfolio solution 2.96 1.95 3.33 3.41 5.22 13.30 8.95 5.53 - - 5.22 8.30 11.48 8.35 -8.77 8.77 6.10 10.64 - - - - - CLGN003A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Portfolio 75/75 (PP) 05/12/2026 15.33 -0.03 Portfolio solution 2.98 2.01 3.45 3.49 5.47 13.57 9.20 5.78 - - 5.47 8.56 11.74 8.61 -8.56 9.03 6.36 10.91 - - - - - CLGP003A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Balanced Portfolio 75/75 (PS1) 05/12/2026 21.22 -0.04 Portfolio solution 2.89 1.74 2.90 3.12 5.46 12.34 8.02 4.64 4.73 - 5.46 7.39 10.53 7.44 -9.54 7.85 5.21 9.71 -4.03 5.14 5.01 12/31/2024 2.30 CLGO003A CLGO003B CLGO003D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Bond DSC 05/12/2026 434.99 -1.37 Fixed income 0.09 -0.69 -1.45 -0.20 3.00 0.25 1.73 -0.61 0.31 1.15 3.00 1.02 3.02 4.88 -11.47 -4.09 7.10 4.92 -0.80 0.67 0.10 12/31/2024 1.95 - CLGTJ028 - - - Mackenzie Investments Monthly profile
Add GWL Canadian Bond NL 05/12/2026 413.04 -1.30 Fixed income 0.09 -0.69 -1.45 -0.20 3.96 0.24 1.73 -0.61 0.28 1.05 3.96 1.02 3.02 4.88 -11.47 -4.09 7.10 4.92 -0.73 0.45 -0.13 12/31/2024 1.95 - - - CLGTO028 - Mackenzie Investments Monthly profile
Add GWL Canadian Bond 100/100 05/12/2026 12.66 -0.04 Fixed income 0.08 -0.72 -1.50 -0.23 1.19 0.13 1.61 -0.72 0.19 1.01 1.19 0.91 2.90 4.77 -11.57 -4.19 6.98 4.80 -0.93 0.52 -0.06 12/31/2024 2.07 CLGM028I CLGM028J CLGM028L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Bond 100/100 (P) 05/12/2026 10.70 -0.03 Fixed income 0.13 -0.58 -1.23 -0.05 0.89 0.68 2.18 -0.17 - - 0.89 1.46 3.47 5.35 -11.06 -3.69 7.58 5.38 - - - - - CLGN028I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Bond 100/100 (PP) 05/12/2026 11.15 -0.03 Fixed income 0.17 -0.45 -0.98 0.12 1.41 1.20 2.71 0.35 - - 1.41 1.98 4.02 5.89 -10.59 -3.19 8.14 5.94 - - - - - CLGP028I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Bond 100/100 (PS1) 05/12/2026 11.86 -0.04 Fixed income 0.12 -0.59 -1.25 -0.06 1.24 0.64 2.14 -0.20 0.73 - 1.24 1.42 3.44 5.31 -11.11 -3.69 7.54 5.35 -0.37 1.14 0.56 12/31/2022 1.55 CLGO028I CLGO028J CLGO028L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Bond 75/100 05/12/2026 12.78 -0.04 Fixed income 0.09 -0.70 -1.48 -0.21 1.24 0.19 1.67 -0.66 0.24 1.07 1.24 0.97 2.96 4.83 -11.52 -4.14 7.04 4.86 -0.88 0.56 -0.01 12/31/2024 2.01 CLGM028E CLGM028F CLGM028H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Bond 75/100 (P) 05/12/2026 10.75 -0.03 Fixed income 0.13 -0.57 -1.21 -0.03 0.95 0.74 2.23 -0.11 - - 0.95 1.52 3.53 5.41 -11.00 -3.64 7.64 5.45 - - - - - CLGN028E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Bond 75/100 (PP) 05/12/2026 11.25 -0.04 Fixed income 0.18 -0.43 -0.92 0.16 1.53 1.32 2.83 0.47 - - 1.53 2.11 4.14 6.01 -10.50 -3.08 8.26 6.06 - - - - - CLGP028E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Bond 75/100 (PS1) 05/12/2026 11.89 -0.04 Fixed income 0.13 -0.56 -1.20 -0.03 1.25 0.77 2.26 -0.09 0.84 - 1.25 1.55 3.55 5.43 -11.01 -3.59 7.66 5.47 -0.26 1.25 0.67 12/31/2024 1.44 CLGO028E CLGO028F CLGO028H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Bond 75/75 05/12/2026 12.97 -0.04 Fixed income 0.09 -0.69 -1.45 -0.20 1.33 0.25 1.73 -0.61 0.31 1.15 1.33 1.02 3.02 4.89 -11.47 -4.09 7.10 4.92 -0.80 0.67 0.10 12/31/2024 1.95 CLGM028A CLGM028B CLGM028D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Bond 75/75 (P) 05/12/2026 10.78 -0.03 Fixed income 0.15 -0.53 -1.13 0.01 0.98 0.91 2.25 -0.09 - - 0.98 1.70 3.50 5.21 -10.95 -3.55 7.70 5.50 - - - - - CLGN028A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Bond 75/75 (PP) 05/12/2026 11.29 -0.04 Fixed income 0.18 -0.41 -0.90 0.17 1.58 1.38 2.88 0.52 - - 1.58 2.17 4.19 6.07 -10.48 -3.00 8.32 6.12 - - - - - CLGP028A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Bond 75/75 (PS1) 05/12/2026 12.02 -0.04 Fixed income 0.14 -0.55 -1.17 -0.01 1.33 0.82 2.31 -0.04 0.89 - 1.33 1.60 3.61 5.48 -10.97 -3.54 7.72 5.52 -0.20 1.31 0.73 12/31/2024 1.38 CLGO028A CLGO028B CLGO028D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Bond DSC 05/12/2026 431.44 -1.38 Fixed income 0.09 -0.72 -1.52 -0.23 2.93 0.33 1.76 -0.70 0.15 1.10 2.93 1.03 3.25 4.72 -12.15 -4.22 6.60 4.92 -0.64 0.52 -0.21 12/31/2024 1.97 - CLGTJ029 - - - Mackenzie Investments Monthly profile
Add GWL Canadian Core Bond NL 05/12/2026 410.92 -1.31 Fixed income 0.09 -0.72 -1.52 -0.23 2.77 0.33 1.76 -0.70 0.12 1.00 2.77 1.03 3.25 4.72 -12.15 -4.22 6.60 4.92 -0.57 0.30 -0.44 12/31/2024 1.97 - - - CLGTO029 - Mackenzie Investments Monthly profile
Add GWL Canadian Core Bond 100/100 05/12/2026 12.38 -0.04 Fixed income 0.08 -0.75 -1.58 -0.27 1.08 0.22 1.65 -0.81 0.03 0.95 1.08 0.91 3.14 4.60 -12.24 -4.33 6.48 4.80 -0.76 0.36 -0.37 12/31/2024 2.08 CLGM029I CLGM029J CLGM029L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Bond 100/100 (P) 05/12/2026 10.59 -0.03 Fixed income 0.12 -0.62 -1.31 -0.09 0.75 0.77 2.22 -0.25 - - 0.75 1.48 3.71 5.18 -11.75 -3.80 7.07 5.39 - - - - - CLGN029I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Bond 100/100 (PP) 05/12/2026 11.03 -0.04 Fixed income 0.17 -0.48 -1.05 0.09 1.27 1.30 2.75 0.27 - - 1.27 2.00 4.26 5.72 -11.29 -3.30 7.62 5.93 - - - - - CLGP029I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Bond 100/100 (PS1) 05/12/2026 11.57 -0.04 Fixed income 0.12 -0.62 -1.32 -0.10 1.06 0.74 2.18 -0.29 0.58 - 1.06 1.44 3.68 5.15 -11.79 -3.83 7.04 5.35 -0.21 0.99 0.25 12/31/2024 1.56 CLGO029I CLGO029J CLGO029L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Bond 75/100 05/12/2026 12.50 -0.04 Fixed income 0.08 -0.74 -1.55 -0.25 1.34 0.27 1.70 -0.75 0.09 1.01 1.34 0.97 3.19 4.66 -12.19 -4.28 6.54 4.86 -0.71 0.41 -0.33 12/31/2024 2.02 CLGM029E CLGM029F CLGM029H - CLGR029E Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Bond 75/100 (P) 05/12/2026 10.63 -0.03 Fixed income 0.13 -0.60 -1.28 -0.07 0.80 0.83 2.27 -0.21 - - 0.80 1.53 3.77 5.23 -11.72 -3.75 7.13 5.44 - - - - - CLGN029E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Bond 75/100 (PP) 05/12/2026 11.10 -0.04 Fixed income 0.17 -0.46 -0.99 0.12 1.36 1.42 2.87 0.34 - - 1.36 2.12 4.37 5.85 -11.37 -3.19 7.75 6.05 - - - - - CLGP029E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Bond 75/100 (PS1) 05/12/2026 11.75 -0.04 Fixed income 0.13 -0.59 -1.27 -0.06 1.17 0.85 2.30 -0.18 0.69 - 1.17 1.55 3.79 5.26 -11.69 -3.73 7.16 5.47 -0.10 1.10 0.36 12/31/2024 1.45 CLGO029E CLGO029F CLGO029H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Bond 75/75 05/12/2026 12.71 -0.04 Fixed income 0.09 -0.72 -1.52 -0.23 1.24 0.33 1.76 -0.70 0.15 1.10 1.24 1.02 3.25 4.72 -12.15 -4.22 6.60 4.92 -0.64 0.52 -0.21 12/31/2024 1.97 CLGM029A CLGM029B CLGM029D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Bond 75/75 (P) 05/12/2026 10.68 -0.03 Fixed income 0.13 -0.59 -1.25 -0.05 0.86 0.89 2.33 -0.14 - - 0.86 1.59 3.83 5.30 -11.66 -3.69 7.19 5.50 - - - - - CLGN029A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Bond 75/75 (PP) 05/12/2026 11.17 -0.04 Fixed income 0.18 -0.44 -0.97 0.14 1.44 1.47 2.92 0.43 - - 1.44 2.18 4.43 5.90 -11.15 -3.14 7.81 6.11 - - - - - CLGP029A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Bond 75/75 (PS1) 05/12/2026 11.85 -0.04 Fixed income 0.13 -0.58 -1.24 -0.04 1.23 0.91 2.35 -0.12 0.74 - 1.23 1.61 3.85 5.32 -11.64 -3.67 7.22 5.53 -0.04 1.16 0.42 12/31/2024 1.39 CLGO029A CLGO029B CLGO029D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Dividend 100/100 05/12/2026 22.23 0.14 Canadian equity 3.17 8.10 14.96 10.20 7.75 30.67 13.42 10.80 7.99 - 7.75 19.85 12.03 3.66 -4.12 28.10 -5.73 12.81 -11.17 7.19 19.55 12/31/2024 2.97 CLGM054I CLGM054J CLGM054L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Dividend 100/100 (P) 05/12/2026 19.53 0.12 Canadian equity 3.26 8.39 15.57 10.59 8.77 32.06 14.65 11.99 - - 8.77 21.14 13.25 4.78 -3.09 29.49 -4.72 14.01 - - - - - CLGN054I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Dividend 100/100 (PP) 05/12/2026 20.06 0.12 Canadian equity 3.29 8.48 15.77 10.72 9.14 32.52 15.04 12.37 - - 9.14 21.56 13.63 5.14 -2.76 29.93 -4.39 14.40 - - - - - CLGP054I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Dividend 100/100 (PS1) 05/12/2026 23.05 0.14 Canadian equity 3.20 8.19 15.16 10.33 8.12 31.11 13.81 11.18 8.36 - 8.12 20.26 12.42 4.02 -3.79 28.55 -5.40 13.19 -10.85 7.55 19.97 12/31/2024 2.63 CLGO054I CLGO054J CLGO054L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Dividend 75/100 05/12/2026 23.00 0.14 Canadian equity 3.20 8.19 15.15 10.32 8.10 31.09 13.79 11.15 8.33 - 8.10 20.24 12.39 3.99 -3.81 28.52 -5.42 13.17 -10.88 7.53 19.95 12/31/2024 2.65 CLGM054E CLGM054F CLGM054H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Dividend 75/100 (P) 05/12/2026 20.04 0.12 Canadian equity 3.29 8.47 15.76 10.71 9.13 32.52 15.03 12.36 - - 9.13 21.57 13.62 5.11 -2.77 29.92 -4.41 14.38 - - - - - CLGN054E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Dividend 75/100 (PP) 05/12/2026 20.54 0.13 Canadian equity 3.32 8.57 15.95 10.84 9.47 32.94 15.41 12.70 - - 9.47 21.94 14.00 5.47 -2.61 30.35 -4.08 14.77 - - - - - CLGP054E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Dividend 75/100 (PS1) 05/12/2026 23.85 0.15 Canadian equity 3.23 8.28 15.34 10.44 8.47 31.53 14.18 11.53 8.71 - 8.47 20.65 12.78 4.35 -3.48 28.96 -5.10 13.55 -10.56 7.90 20.36 12/31/2024 2.31 CLGO054E CLGO054F CLGO054H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Dividend 75/75 05/12/2026 23.26 0.14 Canadian equity 3.21 8.22 15.21 10.36 8.22 31.23 13.91 11.27 8.45 - 8.22 20.37 12.52 4.11 -3.71 28.66 -5.32 13.29 -10.78 7.65 20.08 12/31/2024 2.54 CLGM054A CLGM054B CLGM054D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Dividend 75/75 (P) 05/12/2026 20.20 0.12 Canadian equity 3.30 8.50 15.82 10.75 9.24 32.64 15.14 12.47 - - 9.24 21.66 13.74 5.22 -2.67 30.04 -4.30 14.50 - - - - - CLGN054A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Dividend 75/75 (PP) 05/12/2026 20.93 0.13 Canadian equity 3.34 8.62 16.08 10.91 9.73 33.23 15.66 12.98 - - 9.73 22.21 14.25 5.70 -2.23 30.63 -3.87 15.02 - - - - - CLGP054A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Dividend 75/75 (PS1) 05/12/2026 24.40 0.15 Canadian equity 3.25 8.34 15.46 10.52 8.71 31.82 14.43 11.77 8.94 - 8.71 20.91 13.02 4.57 -3.27 29.24 -4.90 13.80 -10.37 8.14 20.63 12/31/2024 2.09 CLGO054A CLGO054B CLGO054D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Plus Bond DSC 05/12/2026 282.94 -0.88 Fixed income 0.17 -0.72 -1.44 -0.19 1.77 0.57 2.11 -0.68 0.22 1.17 1.77 1.14 3.87 5.05 -12.86 -3.92 6.95 4.84 -0.91 0.68 0.00 12/31/2024 1.96 - CLGTJ030 - - - Mackenzie Investments Monthly profile
Add GWL Canadian Core Plus Bond NL 05/12/2026 275.98 -0.86 Fixed income 0.17 -0.72 -1.44 -0.19 1.64 0.57 2.11 -0.68 0.19 1.07 1.64 1.14 3.87 5.05 -12.86 -3.92 6.95 4.84 -0.84 0.46 -0.22 12/31/2024 1.96 - - - CLGTO030 - Mackenzie Investments Monthly profile
Add GWL Canadian Core Plus Bond 100/100 05/12/2026 12.60 -0.04 Fixed income 0.15 -0.77 -1.55 -0.26 1.13 0.36 1.89 -0.88 0.06 1.02 1.13 0.92 3.63 4.82 -13.02 -4.02 6.83 4.72 -1.02 0.57 -0.11 12/31/2024 2.18 CLGM030I CLGM030J CLGM030L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Plus Bond 100/100 (P) 05/12/2026 10.59 -0.03 Fixed income 0.20 -0.64 -1.28 -0.08 0.75 0.91 2.45 -0.33 - - 0.75 1.48 4.21 5.40 -12.54 -3.49 7.42 5.30 - - - - - CLGN030I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Plus Bond 100/100 (PP) 05/12/2026 11.13 -0.03 Fixed income 0.25 -0.48 -0.97 0.12 1.39 1.54 3.10 0.30 - - 1.39 2.12 4.88 6.06 -11.99 -2.89 8.09 5.97 - - - - - CLGP030I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Plus Bond 100/100 (PS1) 05/12/2026 11.94 -0.04 Fixed income 0.31 -0.42 -0.89 0.21 1.28 1.92 3.15 0.11 0.86 - 1.28 2.51 4.91 5.47 -12.47 -3.42 7.50 5.38 -0.42 1.15 0.46 12/31/2024 1.55 CLGO030I CLGO030J CLGO030L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Plus Bond 75/100 05/12/2026 12.76 -0.04 Fixed income 0.16 -0.75 -1.50 -0.23 1.46 0.46 2.00 -0.78 0.14 1.09 1.46 1.03 3.75 4.93 -12.94 -3.97 6.89 4.78 -0.97 0.62 -0.06 12/31/2024 2.07 CLGM030E CLGM030F CLGM030H - CLGR030E Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Plus Bond 75/100 (P) 05/12/2026 10.66 -0.03 Fixed income 0.21 -0.61 -1.22 -0.04 0.84 1.02 2.58 -0.22 - - 0.84 1.60 4.34 5.53 -12.45 -3.45 7.47 5.35 - - - - - CLGN030E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Plus Bond 75/100 (PP) 05/12/2026 11.21 -0.03 Fixed income 0.26 -0.45 -0.91 0.16 1.48 1.65 3.22 0.41 - - 1.48 2.23 5.00 6.18 -11.89 -2.78 8.16 6.00 - - - - - CLGP030E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Plus Bond 75/100 (PS1) 05/12/2026 11.91 -0.04 Fixed income 0.21 -0.59 -1.19 -0.02 1.27 1.09 2.64 -0.14 0.80 - 1.27 1.67 4.41 5.59 -12.37 -3.31 7.62 5.50 -0.30 1.26 0.57 12/31/2024 1.44 CLGO030E CLGO030F CLGO030H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Plus Bond 75/75 05/12/2026 12.92 -0.04 Fixed income 0.17 -0.72 -1.44 -0.19 1.28 0.57 2.11 -0.68 0.22 1.17 1.28 1.14 3.87 5.05 -12.87 -3.92 6.95 4.84 -0.91 0.68 0.00 12/31/2024 1.96 CLGM030A CLGM030B CLGM030D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Plus Bond 75/75 (P) 05/12/2026 10.73 -0.03 Fixed income 0.21 -0.58 -1.17 -0.01 0.92 1.13 2.68 -0.13 - - 0.92 1.70 4.45 5.63 -12.38 -3.39 7.54 5.42 - - - - - CLGN030A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Plus Bond 75/75 (PP) 05/12/2026 11.14 -0.03 Fixed income 0.26 -0.44 -0.89 0.18 1.40 1.71 3.27 0.23 - - 1.40 2.29 5.05 6.24 -12.86 -2.73 8.27 6.14 - - - - - CLGP030A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Core Plus Bond 75/75 (PS1) 05/12/2026 12.01 -0.04 Fixed income 0.22 -0.58 -1.16 0.00 1.32 1.15 2.70 -0.09 0.85 - 1.32 1.72 4.47 5.65 -12.33 -3.26 7.68 5.56 -0.25 1.31 0.63 12/31/2024 1.39 CLGO030A CLGO030B CLGO030D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Corporate Bond 100/100 05/12/2026 11.45 -0.03 Fixed income 0.27 -0.79 -0.88 -0.18 1.08 1.82 3.34 0.26 0.79 - 1.08 2.44 5.61 5.75 -11.22 -4.15 6.13 5.52 -1.68 1.01 1.40 12/31/2024 2.50 CLGM031I CLGM031J CLGM031L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Corporate Bond 100/100 (P) 05/12/2026 11.23 -0.03 Fixed income 0.32 -0.65 -0.60 0.01 1.52 2.40 3.93 0.83 - - 1.52 3.01 6.21 6.35 -10.71 -3.61 6.73 6.12 - - - - - CLGN031I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Corporate Bond 100/100 (PP) 05/12/2026 11.76 -0.03 Fixed income 0.37 -0.51 -0.32 0.20 2.11 2.99 4.53 1.42 - - 2.11 3.62 6.82 6.97 -10.20 -3.05 7.36 6.75 - - - - - CLGP031I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Corporate Bond 100/100 (PS1) 05/12/2026 12.35 -0.03 Fixed income 0.32 -0.64 -0.59 0.02 1.67 2.42 3.95 0.85 1.38 - 1.67 3.04 6.23 6.37 -10.70 -3.59 6.76 6.14 -1.10 1.59 2.00 12/31/2024 1.92 CLGO031I CLGO031J CLGO031L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Corporate Bond 75/100 05/12/2026 11.70 -0.03 Fixed income 0.29 -0.74 -0.80 -0.12 1.25 1.99 3.52 0.43 0.96 - 1.25 2.61 5.79 5.93 -11.07 -3.99 6.31 5.70 -1.51 1.18 1.57 12/31/2024 2.33 CLGM031E CLGM031F CLGM031H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Corporate Bond 75/100 (P) 05/12/2026 11.38 -0.03 Fixed income 0.33 -0.61 -0.52 0.07 1.69 2.57 4.10 1.00 - - 1.69 3.19 6.39 6.53 -10.56 -3.44 6.91 6.31 - - - - - CLGN031E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Corporate Bond 75/100 (PP) 05/12/2026 11.89 -0.03 Fixed income 0.38 -0.46 -0.23 0.26 2.26 3.18 4.72 1.55 - - 2.26 3.80 7.01 7.14 -10.21 -2.88 7.54 6.91 - - - - - CLGP031E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Corporate Bond 75/100 (PS1) 05/12/2026 12.61 -0.03 Fixed income 0.34 -0.60 -0.51 0.07 1.84 2.59 4.13 1.02 1.55 - 1.84 3.21 6.41 6.55 -10.55 -3.43 6.94 6.32 -0.93 1.76 2.16 12/31/2024 1.75 CLGO031E CLGO031F CLGO031H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Corporate Bond 75/75 05/12/2026 11.87 -0.03 Fixed income 0.30 -0.72 -0.74 -0.08 1.36 2.11 3.63 0.55 1.08 - 1.36 2.73 5.91 6.05 -10.97 -3.88 6.43 5.82 -1.40 1.29 1.68 12/31/2024 2.22 CLGM031A CLGM031B CLGM031D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Corporate Bond 75/75 (P) 05/12/2026 11.48 -0.03 Fixed income 0.34 -0.58 -0.46 0.10 1.80 2.68 4.22 1.11 - - 1.80 3.31 6.51 6.65 -10.46 -3.34 7.03 6.41 - - - - - CLGN031A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Corporate Bond 75/75 (PP) 05/12/2026 12.02 -0.03 Fixed income 0.39 -0.44 -0.18 0.30 2.40 3.28 4.83 1.71 - - 2.40 3.91 7.14 7.27 -9.94 -2.77 7.66 7.04 - - - - - CLGP031A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Corporate Bond 75/75 (PS1) 05/12/2026 12.80 -0.03 Fixed income 0.34 -0.57 -0.45 0.11 1.95 2.70 4.24 1.14 1.67 - 1.95 3.33 6.53 6.67 -10.44 -3.32 7.06 6.44 -0.82 1.88 2.27 12/31/2024 1.64 CLGO031A CLGO031B CLGO031D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Dividend DSC 05/12/2026 943.80 5.49 Canadian equity 3.33 7.52 13.65 9.63 6.25 30.01 14.61 11.51 9.13 7.31 6.25 19.39 14.37 5.83 -2.58 24.75 -4.41 18.95 -9.01 7.55 16.73 12/31/2024 2.71 - CLGTJ062 - - - Mackenzie Investments Monthly profile
Add GWL Canadian Dividend NL 05/12/2026 909.14 5.29 Canadian equity 3.33 7.52 13.65 9.63 6.09 30.01 14.61 11.51 9.09 7.20 6.09 19.39 14.37 5.83 -2.58 24.75 -4.41 18.95 -8.95 7.32 16.48 12/31/2024 2.71 - - - CLGTO062 - Mackenzie Investments Monthly profile
Add GWL Canadian Dividend 100/100 05/12/2026 33.58 0.19 Canadian equity 3.28 7.38 13.36 9.44 7.01 29.33 14.00 10.92 8.56 6.74 7.01 18.77 13.76 5.28 -3.09 24.10 -4.91 18.33 -9.49 7.00 16.13 12/31/2024 3.23 CLGM062I CLGM062J CLGM062L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Dividend 100/100 (P) 05/12/2026 21.11 0.12 Canadian equity 3.37 7.67 13.97 9.83 9.86 30.75 15.26 12.14 - - 9.86 20.07 15.03 6.43 -2.03 25.46 -3.86 19.64 - - - - - CLGN062I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Dividend 100/100 (PP) 05/12/2026 21.75 0.13 Canadian equity 3.41 7.77 14.19 9.97 10.28 31.25 15.71 12.57 - - 10.28 20.54 15.47 6.84 -1.65 25.94 -3.49 20.10 - - - - - CLGP062I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Dividend 100/100 (PS1) 05/12/2026 31.86 0.19 Canadian equity 3.31 7.48 13.57 9.57 8.55 29.82 14.44 11.35 8.98 - 8.55 19.22 14.20 5.68 -2.72 24.57 -4.55 18.78 -9.13 7.46 16.63 12/31/2024 2.85 CLGO062I CLGO062J CLGO062L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Dividend 75/100 05/12/2026 35.79 0.21 Canadian equity 3.31 7.47 13.56 9.57 7.41 29.79 14.42 11.32 8.95 7.14 7.41 19.20 14.18 5.66 -2.74 24.54 -4.56 18.76 -9.15 7.41 16.58 12/31/2024 2.87 CLGM062E CLGM062F CLGM062H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Dividend 75/100 (P) 05/12/2026 21.72 0.13 Canadian equity 3.41 7.76 14.18 9.96 10.25 31.22 15.68 12.55 - - 10.25 20.51 15.44 6.82 -1.67 25.92 -3.51 20.07 - - - - - CLGN062E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Dividend 75/100 (PP) 05/12/2026 22.32 0.13 Canadian equity 3.43 7.86 14.38 10.09 10.64 31.68 16.09 12.94 - - 10.64 20.93 15.85 7.19 -1.33 26.36 -3.17 20.50 - - - - - CLGP062E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Dividend 75/100 (PS1) 05/12/2026 33.36 0.19 Canadian equity 3.34 7.57 13.76 9.69 8.91 30.25 14.82 11.71 9.34 - 8.91 19.61 14.58 6.02 -2.40 24.98 -4.23 19.18 -8.82 7.81 17.01 12/31/2024 2.52 CLGO062E CLGO062F CLGO062H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Dividend 75/75 05/12/2026 36.68 0.21 Canadian equity 3.33 7.52 13.65 9.63 7.57 30.01 14.61 11.51 9.13 7.30 7.57 19.39 14.37 5.83 -2.58 24.75 -4.41 18.95 -9.01 7.55 16.73 12/31/2024 2.71 CLGM062A CLGM062B CLGM062D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Dividend 75/75 (P) 05/12/2026 22.01 0.13 Canadian equity 3.42 7.81 14.27 10.02 10.44 31.44 15.87 12.74 - - 10.44 20.71 15.63 6.99 -1.51 26.13 -3.35 20.29 - - - - - CLGN062A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Dividend 75/75 (PP) 05/12/2026 22.71 0.13 Canadian equity 3.45 7.92 14.50 10.17 10.88 31.97 16.34 13.19 - - 10.88 21.20 16.10 7.42 -1.12 26.63 -2.96 20.75 - - - - - CLGP062A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Dividend 75/75 (PS1) 05/12/2026 34.40 0.20 Canadian equity 3.36 7.62 13.88 9.77 9.15 30.53 15.07 11.96 9.58 - 9.15 19.88 14.83 6.26 -2.19 25.25 -4.02 19.44 -8.62 8.05 17.26 12/31/2024 2.30 CLGO062A CLGO062B CLGO062D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Portfolio DSC 05/12/2026 781.64 2.98 Canadian equity 2.91 5.48 8.85 5.14 5.40 24.41 12.48 9.45 8.21 6.62 5.40 17.22 14.00 6.37 -4.64 21.52 1.52 17.28 -10.02 6.70 14.22 12/31/2024 2.78 - CLGTJ058 - - - Portfolio Solutions Group Monthly profile
Add GWL Canadian Equity Portfolio NL 05/12/2026 753.34 2.88 Canadian equity 2.91 5.48 8.85 5.14 5.38 24.41 12.48 9.45 8.18 6.52 5.38 17.22 14.00 6.37 -4.64 21.52 1.52 17.28 -9.96 6.47 13.97 12/31/2024 2.78 - - - CLGTO058 - Portfolio Solutions Group Monthly profile
Add GWL Canadian Equity Portfolio 100/100 05/12/2026 31.41 0.12 Canadian equity 2.85 5.29 8.45 4.88 6.73 23.49 11.66 8.65 7.46 5.94 6.73 16.36 13.16 5.60 -5.34 20.63 0.77 16.43 -10.61 6.16 13.63 12/31/2024 3.52 CLGM058I CLGM058J CLGM058L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Equity Portfolio 100/100 (P) 05/12/2026 18.70 0.07 Canadian equity 2.94 5.58 9.04 5.26 8.39 24.86 12.89 9.85 - - 8.39 17.65 14.42 6.76 -4.29 21.97 1.88 17.71 - - - - - CLGN058I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Equity Portfolio 100/100 (PP) 05/12/2026 19.59 0.08 Canadian equity 2.99 5.73 9.36 5.47 9.03 25.60 13.57 10.50 - - 9.03 18.35 15.11 7.40 -3.73 22.69 2.49 18.40 - - - - - CLGP058I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Equity Portfolio 100/100 (PS1) 05/12/2026 30.00 0.11 Canadian equity 2.90 5.44 8.77 5.09 8.21 24.22 12.32 9.30 8.10 - 8.21 17.06 13.84 6.22 -4.78 21.35 1.37 17.12 -10.07 6.79 14.31 12/31/2023 2.89 CLGO058I CLGO058J CLGO058L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Equity Portfolio 75/100 05/12/2026 33.34 0.13 Canadian equity 2.88 5.38 8.64 5.01 7.10 23.94 12.06 9.04 7.85 6.33 7.10 16.79 13.57 5.98 -5.00 21.07 1.14 16.85 -10.28 6.54 14.04 12/31/2024 3.16 CLGM058E CLGM058F CLGM058H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Equity Portfolio 75/100 (P) 05/12/2026 19.24 0.07 Canadian equity 2.97 5.67 9.24 5.39 8.78 25.32 13.31 10.25 - - 8.78 18.08 14.84 7.15 -3.95 22.41 2.25 18.14 - - - - - CLGN058E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Equity Portfolio 75/100 (PP) 05/12/2026 20.10 0.08 Canadian equity 3.02 5.81 9.54 5.58 9.39 26.02 13.94 10.87 - - 9.39 18.74 15.49 7.74 -3.41 23.10 2.83 18.80 - - - - - CLGP058E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Equity Portfolio 75/100 (PS1) 05/12/2026 31.42 0.12 Canadian equity 2.93 5.53 8.95 5.20 8.57 24.64 12.69 9.66 8.46 - 8.57 17.44 14.22 6.57 -4.47 21.75 1.71 17.50 -9.78 7.13 14.68 12/31/2024 2.60 CLGO058E CLGO058F CLGO058H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Equity Portfolio 75/75 05/12/2026 34.87 0.13 Canadian equity 2.91 5.48 8.85 5.14 7.39 24.41 12.48 9.45 8.21 6.62 7.39 17.22 14.00 6.37 -4.64 21.53 1.52 17.28 -10.02 6.70 14.22 12/31/2024 2.78 CLGM058A CLGM058B CLGM058D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Equity Portfolio 75/75 (P) 05/12/2026 19.81 0.08 Canadian equity 3.00 5.77 9.44 5.52 9.19 25.78 13.73 10.67 - - 9.19 18.52 15.28 7.55 -3.59 22.87 2.64 18.57 - - - - - CLGN058A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Equity Portfolio 75/75 (PP) 05/12/2026 20.45 0.08 Canadian equity 3.04 5.87 9.66 5.66 9.63 26.29 14.20 11.11 - - 9.63 19.01 15.75 7.97 -3.20 23.36 3.06 19.06 - - - - - CLGP058A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Equity Portfolio 75/75 (PS1) 05/12/2026 32.40 0.12 Canadian equity 2.94 5.59 9.07 5.28 8.81 24.91 12.94 9.90 8.70 - 8.81 17.70 14.47 6.80 -4.26 22.02 1.93 17.76 -9.58 7.37 14.94 12/31/2024 2.38 CLGO058A CLGO058B CLGO058D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Canadian Equity Value 100/100 05/12/2026 30.81 0.12 Canadian equity 3.17 2.54 1.69 -0.71 6.90 12.88 10.50 9.14 6.22 6.60 6.90 13.44 16.10 11.26 -3.61 19.76 -4.81 13.35 -9.05 2.70 13.80 12/31/2024 3.34 CLGM063I CLGM063J CLGM063L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 100/100 (P) 05/12/2026 17.98 0.07 Canadian equity 3.27 2.81 2.25 -0.35 7.84 14.12 11.73 10.34 - - 7.84 14.69 17.39 12.49 -2.55 21.08 -3.76 14.60 - - - - - CLGN063I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 100/100 (PP) 05/12/2026 18.59 0.07 Canadian equity 3.30 2.92 2.47 -0.21 8.30 14.61 12.20 10.82 - - 8.30 15.18 17.90 12.97 -2.13 21.60 -3.35 15.10 - - - - - CLGP063I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 100/100 (PS1) 05/12/2026 27.74 0.11 Canadian equity 3.21 2.65 1.91 -0.57 7.60 13.36 10.98 9.61 6.67 - 7.60 13.92 16.60 11.74 -3.20 20.27 -4.40 13.83 -8.67 3.14 14.28 12/31/2024 2.92 CLGO063I CLGO063J CLGO063L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 100/100 (PS2) 05/12/2026 41.66 0.16 Canadian equity 3.46 3.38 3.39 0.38 10.78 16.71 14.26 12.84 9.82 - 10.78 17.29 20.07 15.02 -0.35 23.82 -1.58 17.19 -5.95 6.17 17.65 - - CLGQ063I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 75/100 05/12/2026 32.81 0.13 Canadian equity 3.20 2.63 1.88 -0.59 7.30 13.29 10.90 9.53 6.60 6.99 7.30 13.85 16.53 11.67 -3.26 20.19 -4.46 13.76 -8.72 3.07 14.21 12/31/2024 2.98 CLGM063E CLGM063F CLGM063H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 75/100 (P) 05/12/2026 18.50 0.07 Canadian equity 3.30 2.90 2.43 -0.24 8.23 14.53 12.13 10.74 - - 8.23 15.10 17.81 12.90 -2.19 21.52 -3.40 15.04 - - - - - CLGN063E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 75/100 (PP) 05/12/2026 19.08 0.07 Canadian equity 3.33 3.01 2.63 -0.10 8.66 14.99 12.57 11.18 - - 8.66 15.56 18.29 13.33 -1.81 22.00 -3.03 15.47 - - - - - CLGP063E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 75/100 (PS1) 05/12/2026 29.04 0.11 Canadian equity 3.24 2.73 2.08 -0.46 7.96 13.73 11.34 9.97 7.02 - 7.96 14.30 16.99 12.10 -2.88 20.67 -4.08 14.21 -8.36 3.48 14.66 12/31/2024 2.59 CLGO063E CLGO063F CLGO063H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 75/100 (PS2) 05/12/2026 41.65 0.16 Canadian equity 3.46 3.38 3.39 0.38 10.78 16.71 14.26 12.84 9.82 - 10.78 17.29 20.07 15.02 -0.35 23.82 -1.58 17.19 -5.95 6.17 17.64 - - CLGQ063E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 75/75 05/12/2026 33.31 0.13 Canadian equity 3.21 2.65 1.93 -0.56 7.40 13.40 11.01 9.64 6.71 7.09 7.40 13.96 16.64 11.77 -3.16 20.31 -4.37 13.87 -8.63 3.17 14.32 12/31/2024 2.88 CLGM063A CLGM063B CLGM063D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 75/75 (P) 05/12/2026 18.64 0.07 Canadian equity 3.31 2.93 2.48 -0.20 8.34 14.65 12.24 10.85 - - 8.34 15.22 17.94 13.00 -2.10 21.64 -3.31 15.14 - - - - - CLGN063A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 75/75 (PP) 05/12/2026 19.41 0.08 Canadian equity 3.35 3.06 2.75 -0.03 8.90 15.24 12.82 11.42 - - 8.90 15.82 18.55 13.58 -1.59 22.26 -2.81 15.72 - - - - - CLGP063A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 75/75 (PS1) 05/12/2026 29.95 0.11 Canadian equity 3.26 2.78 2.19 -0.39 8.20 13.98 11.59 10.21 7.26 - 8.20 14.55 17.25 12.35 -2.67 20.93 -3.87 14.46 -8.16 3.70 14.91 12/31/2024 2.37 CLGO063A CLGO063B CLGO063D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value 75/75 (PS2) 05/12/2026 41.66 0.16 Canadian equity 3.46 3.38 3.39 0.38 10.78 16.71 14.26 12.84 9.82 - 10.78 17.29 20.07 15.02 -0.35 23.82 -1.58 17.19 -5.95 6.17 17.64 - - CLGQ063A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 100/100 05/12/2026 25.83 0.12 Canadian equity 3.35 10.92 20.79 14.20 5.53 47.11 16.66 14.11 9.27 4.91 5.53 23.70 11.77 6.37 2.97 33.46 -6.16 6.95 -14.79 7.25 14.68 12/31/2024 3.44 CLGM060I CLGM060J CLGM060L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 100/100 (P) 05/12/2026 21.08 0.10 Canadian equity 3.45 11.22 21.46 14.61 9.99 48.75 17.96 15.37 - - 9.99 25.08 13.01 7.53 4.11 34.92 -5.13 8.13 - - - - - CLGN060I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 100/100 (PP) 05/12/2026 21.76 0.11 Canadian equity 3.48 11.33 21.70 14.77 10.43 49.36 18.44 15.84 - - 10.43 25.59 13.48 7.97 4.52 35.47 -4.75 8.57 - - - - - CLGP060I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 100/100 (PS1) 05/12/2026 26.00 0.12 Canadian equity 3.39 11.03 21.04 14.35 7.07 47.71 17.14 14.57 9.72 - 7.07 24.20 12.22 6.80 3.39 34.00 -5.78 7.39 -14.45 7.69 15.22 12/31/2024 3.03 CLGO060I CLGO060J CLGO060L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 100/100 (PS2) 05/12/2026 39.59 0.19 Canadian equity 3.65 11.86 22.87 15.50 10.33 52.27 20.75 18.09 13.07 - 10.33 28.04 15.70 10.06 6.54 38.07 -2.91 10.65 -11.82 10.95 18.72 - - CLGQ060I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 75/100 05/12/2026 27.45 0.13 Canadian equity 3.38 11.01 20.99 14.32 5.91 47.60 17.05 14.49 9.63 5.28 5.91 24.11 12.14 6.72 3.31 33.90 -5.85 7.30 -14.51 7.60 15.09 12/31/2024 3.11 CLGM060E CLGM060F CLGM060H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 75/100 (P) 05/12/2026 21.63 0.10 Canadian equity 3.48 11.31 21.65 14.74 10.35 49.24 18.35 15.75 - - 10.35 25.49 13.39 7.89 4.44 35.36 -4.81 8.47 - - - - - CLGN060E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 75/100 (PP) 05/12/2026 22.33 0.11 Canadian equity 3.51 11.42 21.90 14.89 10.80 49.85 18.84 16.22 - - 10.80 26.00 13.86 8.33 4.86 35.91 -4.43 8.92 - - - - - CLGP060E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 75/100 (PS1) 05/12/2026 27.21 0.13 Canadian equity 3.42 11.12 21.23 14.47 7.42 48.21 17.53 14.95 10.07 - 7.42 24.62 12.60 7.15 3.73 34.44 -5.47 7.73 -14.17 8.03 15.59 12/31/2024 2.70 CLGO060E CLGO060F CLGO060H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 75/100 (PS2) 05/12/2026 39.59 0.19 Canadian equity 3.65 11.86 22.87 15.50 10.33 52.27 20.75 18.09 13.07 - 10.33 28.04 15.70 10.06 6.54 38.07 -2.91 10.65 -11.82 10.95 18.72 - - CLGQ060E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 75/75 05/12/2026 28.56 0.14 Canadian equity 3.40 11.07 21.12 14.40 6.16 47.93 17.31 14.74 9.87 5.52 6.16 24.39 12.39 6.95 3.53 34.19 -5.64 7.53 -14.32 7.83 15.38 12/31/2024 2.89 CLGM060A CLGM060B CLGM060D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 75/75 (P) 05/12/2026 22.01 0.11 Canadian equity 3.50 11.37 21.79 14.82 10.59 49.57 18.61 16.01 - - 10.59 25.78 13.64 8.12 4.67 35.65 -4.61 8.72 - - - - - CLGN060A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 75/75 (PP) 05/12/2026 22.74 0.11 Canadian equity 3.53 11.48 22.03 14.97 11.05 50.18 19.10 16.50 - - 11.05 26.28 14.11 8.57 5.20 36.20 -4.23 9.15 - - - - - CLGP060A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 75/75 (PS1) 05/12/2026 28.06 0.14 Canadian equity 3.44 11.18 21.37 14.56 7.65 48.53 17.79 15.21 10.32 - 7.65 24.90 12.85 7.38 3.95 34.73 -5.26 7.97 -13.98 8.27 15.85 12/31/2024 2.48 CLGO060A CLGO060B CLGO060D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Equity Value II 75/75 (PS2) 05/12/2026 39.59 0.19 Canadian equity 3.65 11.86 22.87 15.50 10.33 52.27 20.75 18.09 13.07 - 10.33 28.04 15.70 10.06 6.54 38.07 -2.91 10.65 -11.82 10.95 18.72 - - CLGQ060A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced DSC 05/12/2026 769.25 -0.81 Balanced 1.11 0.79 1.26 1.66 4.71 7.05 5.41 3.13 2.88 3.18 4.71 5.47 7.49 5.94 -8.74 4.83 3.22 7.35 -3.78 2.94 6.35 12/31/2024 2.18 - CLGTJ049 - - - Mackenzie Investments Monthly profile
Add GWL Canadian Fixed Income Balanced NL 05/12/2026 731.21 -0.77 Balanced 1.11 0.79 1.26 1.66 4.54 7.05 5.41 3.13 2.85 3.08 4.54 5.47 7.49 5.94 -8.74 4.83 3.22 7.35 -3.71 2.71 6.11 12/31/2024 2.18 - - - CLGTO049 - Mackenzie Investments Monthly profile
Add GWL Canadian Fixed Income Balanced 100/100 05/12/2026 17.33 -0.02 Balanced 1.10 0.76 1.20 1.62 3.14 6.93 5.30 3.02 2.77 3.06 3.14 5.35 7.37 5.82 -8.84 4.72 3.10 7.23 -3.88 2.84 6.24 12/31/2024 2.29 CLGM049I CLGM049J CLGM049L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced 100/100 (P) 05/12/2026 13.53 -0.01 Balanced 1.20 1.03 1.76 2.00 3.89 8.12 6.47 4.17 - - 3.89 6.52 8.58 7.00 -7.83 5.88 4.25 8.41 - - - - - CLGN049I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced 100/100 (PP) 05/12/2026 13.73 -0.01 Balanced 1.21 1.08 1.85 2.06 4.08 8.33 6.67 4.36 - - 4.08 6.73 8.77 7.19 -7.66 6.08 4.44 8.62 - - - - - CLGP049I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced 100/100 (PS1) 05/12/2026 15.50 -0.02 Balanced 1.12 0.81 1.30 1.69 3.16 7.13 5.49 3.21 2.95 - 3.16 5.55 7.57 6.02 -8.67 4.91 3.30 7.43 -3.73 2.96 6.37 12/31/2024 2.11 CLGO049I CLGO049J CLGO049L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced 75/100 05/12/2026 17.49 -0.02 Balanced 1.11 0.77 1.23 1.64 3.34 6.99 5.35 3.07 2.82 3.12 3.34 5.41 7.43 5.88 -8.79 4.77 3.16 7.29 -3.83 2.88 6.29 12/31/2024 2.24 CLGM049E CLGM049F CLGM049H - CLGR049E Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced 75/100 (P) 05/12/2026 13.59 -0.01 Balanced 1.20 1.05 1.79 2.02 3.95 8.18 6.53 4.22 - - 3.95 6.59 8.63 7.06 -7.78 5.94 4.31 8.48 - - - - - CLGN049E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced 75/100 (PP) 05/12/2026 13.79 -0.01 Balanced 1.22 1.10 1.88 2.08 4.14 8.39 6.73 4.42 - - 4.14 6.79 8.83 7.26 -7.61 6.14 4.50 8.68 - - - - - CLGP049E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced 75/100 (PS1) 05/12/2026 15.73 -0.02 Balanced 1.13 0.82 1.32 1.71 3.26 7.19 5.55 3.27 3.03 - 3.26 5.61 7.63 6.08 -8.62 4.97 3.35 7.49 -3.63 3.13 6.54 12/31/2024 2.05 CLGO049E CLGO049F CLGO049H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced 75/75 05/12/2026 17.67 -0.02 Balanced 1.11 0.79 1.26 1.66 3.26 7.05 5.41 3.13 2.88 3.18 3.26 5.47 7.49 5.94 -8.74 4.83 3.22 7.35 -3.78 2.94 6.35 12/31/2024 2.18 CLGM049A CLGM049B CLGM049D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced 75/75 (P) 05/12/2026 13.65 -0.01 Balanced 1.21 1.06 1.82 2.03 4.00 8.24 6.59 4.28 - - 4.00 6.65 8.69 7.12 -7.73 6.00 4.36 8.54 - - - - - CLGN049A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced 75/75 (PP) 05/12/2026 13.85 -0.01 Balanced 1.22 1.11 1.91 2.10 4.20 8.45 6.79 4.48 - - 4.20 6.85 8.90 7.32 -7.55 6.20 4.56 8.74 - - - - - CLGP049A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced 75/75 (PS1) 05/12/2026 15.85 -0.02 Balanced 1.13 0.83 1.35 1.72 3.32 7.25 5.61 3.32 3.08 - 3.32 5.67 7.69 6.14 -8.57 5.03 3.41 7.55 -3.58 3.18 6.60 12/31/2024 2.00 CLGO049A CLGO049B CLGO049D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced II DSC 05/12/2026 740.80 -0.74 Balanced 0.99 0.82 1.38 1.75 4.77 7.58 5.90 3.02 3.49 3.72 4.77 5.72 8.38 6.46 -9.93 3.13 6.42 9.27 -2.65 3.72 5.11 12/31/2024 2.19 - CLGTJ048 - - - Mackenzie Investments Monthly profile
Add GWL Canadian Fixed Income Balanced II NL 05/12/2026 705.40 -0.71 Balanced 0.99 0.82 1.38 1.75 4.60 7.58 5.90 3.02 3.46 3.63 4.60 5.72 8.38 6.46 -9.93 3.13 6.42 9.27 -2.58 3.49 4.88 12/31/2024 2.19 - - - CLGTO048 - Mackenzie Investments Monthly profile
Add GWL Canadian Fixed Income Balanced II 100/100 05/12/2026 19.99 -0.02 Balanced 0.98 0.79 1.32 1.71 3.89 7.46 5.78 2.91 3.37 3.61 3.89 5.60 8.26 6.34 -10.03 3.01 6.30 9.15 -2.75 3.62 5.01 12/31/2024 2.30 CLGM048I CLGM048J - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced II 100/100 (P) 05/12/2026 14.13 -0.01 Balanced 1.07 1.07 1.88 2.09 4.46 8.66 6.97 4.06 - - 4.46 6.79 9.48 7.53 -9.02 4.15 7.50 10.36 - - - - - CLGN048I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced II 100/100 (PP) 05/12/2026 14.34 -0.01 Balanced 1.09 1.12 1.98 2.15 4.66 8.87 7.17 4.26 - - 4.66 6.98 9.68 7.74 -8.85 4.36 7.69 10.57 - - - - - CLGP048I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced II 100/100 (PS1) 05/12/2026 17.31 -0.02 Balanced 1.00 0.84 1.42 1.78 3.98 7.66 5.98 3.10 3.55 - 3.98 5.80 8.47 6.54 -9.86 3.21 6.50 9.36 -2.59 3.74 5.14 12/31/2024 2.12 CLGO048I CLGO048J - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced II 75/100 05/12/2026 20.15 -0.02 Balanced 0.98 0.81 1.35 1.73 4.22 7.52 5.84 2.96 3.43 3.66 4.22 5.66 8.32 6.40 -9.98 3.07 6.36 9.21 -2.70 3.66 5.05 12/31/2024 2.25 CLGM048E CLGM048F - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced II 75/100 (P) 05/12/2026 14.19 -0.01 Balanced 1.08 1.08 1.91 2.10 4.52 8.72 7.03 4.12 - - 4.52 6.84 9.54 7.59 -8.97 4.22 7.55 10.43 - - - - - CLGN048E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced II 75/100 (PP) 05/12/2026 14.40 -0.01 Balanced 1.09 1.13 2.00 2.17 4.71 8.93 7.23 4.31 - - 4.71 7.05 9.75 7.79 -8.80 4.42 7.75 10.64 - - - - - CLGP048E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced II 75/100 (PS1) 05/12/2026 17.56 -0.02 Balanced 1.00 0.85 1.44 1.79 4.08 7.72 6.04 3.16 3.64 - 4.08 5.86 8.53 6.60 -9.81 3.26 6.56 9.42 -2.50 3.92 5.31 12/31/2024 2.06 CLGO048E CLGO048F - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced II 75/75 05/12/2026 20.33 -0.02 Balanced 0.99 0.82 1.38 1.75 3.99 7.58 5.90 3.02 3.49 3.72 3.99 5.72 8.38 6.46 -9.93 3.13 6.42 9.27 -2.65 3.72 5.11 12/31/2024 2.19 CLGM048A CLGM048B - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced II 75/75 (P) 05/12/2026 14.25 -0.01 Balanced 1.08 1.10 1.94 2.12 4.58 8.78 7.09 4.17 - - 4.58 6.90 9.60 7.65 -8.92 4.28 7.61 10.49 - - - - - CLGN048A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced II 75/75 (PP) 05/12/2026 14.46 -0.01 Balanced 1.10 1.14 2.03 2.19 4.78 8.99 7.29 4.37 - - 4.78 7.10 9.81 7.85 -8.75 4.48 7.82 10.71 - - - - - CLGP048A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Fixed Income Balanced II 75/75 (PS1) 05/12/2026 17.70 -0.02 Balanced 1.00 0.87 1.47 1.81 4.14 7.78 6.10 3.21 3.69 - 4.14 5.92 8.59 6.66 -9.76 3.32 6.62 9.48 -2.44 3.97 5.37 12/31/2024 2.01 CLGO048A CLGO048B - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Dividend DSC 05/12/2026 1,483.46 8.12 Canadian equity 3.82 8.03 13.97 9.70 7.26 31.71 14.65 11.43 8.91 7.73 7.26 20.38 13.59 5.16 -3.02 25.33 -2.39 16.99 -9.75 4.99 19.26 12/31/2024 2.61 - CLGTJ061 - - - Mackenzie Investments Monthly profile
Add GWL Canadian Focused Dividend NL 05/12/2026 1,419.34 7.77 Canadian equity 3.82 8.03 13.97 9.70 7.09 31.71 14.65 11.43 8.88 7.63 7.09 20.38 13.59 5.16 -3.02 25.33 -2.39 16.99 -9.69 4.76 19.00 12/31/2024 2.61 - - - CLGTO061 - Mackenzie Investments Monthly profile
Add GWL Canadian Focused Dividend 100/100 05/12/2026 37.59 0.21 Canadian equity 3.78 7.91 13.70 9.53 7.85 31.09 14.10 10.90 8.40 7.22 7.85 19.81 13.05 4.67 -3.48 24.74 -2.86 16.44 -10.18 4.49 18.70 12/31/2024 3.09 CLGM061I CLGM061J CLGM061L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Dividend 100/100 (P) 05/12/2026 21.05 0.12 Canadian equity 3.87 8.20 14.32 9.92 9.82 32.54 15.37 12.13 - - 9.82 21.14 14.32 5.82 -2.41 26.12 -1.78 17.73 - - - - - CLGN061I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Dividend 100/100 (PP) 05/12/2026 21.69 0.12 Canadian equity 3.91 8.30 14.54 10.06 10.24 33.05 15.81 12.56 - - 10.24 21.60 14.75 6.22 -2.04 26.60 -1.39 18.17 - - - - - CLGP061I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Dividend 100/100 (PS1) 05/12/2026 31.71 0.17 Canadian equity 3.81 8.01 13.92 9.66 8.52 31.59 14.54 11.33 8.81 - 8.52 20.27 13.49 5.07 -3.10 25.22 -2.48 16.89 -9.83 4.90 19.15 12/31/2024 2.70 CLGO061I CLGO061J CLGO061L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Dividend 75/100 05/12/2026 39.99 0.22 Canadian equity 3.81 8.00 13.91 9.66 8.25 31.57 14.52 11.31 8.79 7.61 8.25 20.25 13.46 5.05 -3.13 25.19 -2.50 16.86 -9.85 4.87 19.13 12/31/2024 2.72 CLGM061E CLGM061F CLGM061H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Dividend 75/100 (P) 05/12/2026 21.66 0.12 Canadian equity 3.90 8.30 14.53 10.05 10.22 33.02 15.79 12.54 - - 10.22 21.58 14.73 6.21 -2.06 26.57 -1.42 18.16 - - - - - CLGN061E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Dividend 75/100 (PP) 05/12/2026 22.26 0.12 Canadian equity 3.93 8.39 14.73 10.18 10.61 33.49 16.20 12.93 - - 10.61 22.01 15.13 6.58 -1.71 27.02 -1.07 18.57 - - - - - CLGP061E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Dividend 75/100 (PS1) 05/12/2026 33.21 0.18 Canadian equity 3.84 8.10 14.11 9.78 8.88 32.03 14.92 11.70 9.17 - 8.88 20.67 13.87 5.41 -2.79 25.63 -2.16 17.27 -9.53 5.24 19.54 12/31/2024 2.37 CLGO061E CLGO061F CLGO061H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Dividend 75/75 05/12/2026 40.78 0.22 Canadian equity 3.82 8.03 13.97 9.70 8.38 31.71 14.65 11.43 8.91 7.74 8.38 20.38 13.59 5.16 -3.02 25.33 -2.39 16.99 -9.75 4.99 19.26 12/31/2024 2.61 CLGM061A CLGM061B CLGM061D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Dividend 75/75 (P) 05/12/2026 21.85 0.12 Canadian equity 3.91 8.32 14.59 10.09 10.34 33.17 15.92 12.66 - - 10.34 21.71 14.85 6.32 -1.95 26.71 -1.31 18.29 - - - - - CLGN061A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Dividend 75/75 (PP) 05/12/2026 22.65 0.12 Canadian equity 3.95 8.45 14.86 10.26 10.85 33.78 16.46 13.18 - - 10.85 22.27 15.39 6.81 -1.50 27.30 -0.86 18.83 - - - - - CLGP061A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Dividend 75/75 (PS1) 05/12/2026 34.24 0.19 Canadian equity 3.86 8.15 14.23 9.86 9.12 32.32 15.18 11.94 9.41 - 9.12 20.94 14.12 5.65 -2.57 25.91 -1.94 17.53 -9.33 5.47 19.81 12/31/2024 2.15 CLGO061A CLGO061B CLGO061D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Focused Value DSC 05/12/2026 1,377.97 3.88 Canadian equity 3.06 2.74 5.57 3.19 6.97 16.23 8.74 7.59 7.78 7.65 6.97 8.36 12.95 6.41 -0.77 19.39 0.78 12.71 -5.41 8.60 15.92 12/31/2024 2.79 - CLGTJ056 - - - Beutel, Goodman & Company Ltd. Monthly profile
Add GWL Canadian Focused Value NL 05/12/2026 1,311.74 3.70 Canadian equity 3.06 2.74 5.57 3.19 6.80 16.23 8.74 7.59 7.75 7.55 6.80 8.36 12.95 6.41 -0.77 19.39 0.78 12.71 -5.35 8.37 15.66 12/31/2024 2.79 - - - CLGTO056 - Beutel, Goodman & Company Ltd. Monthly profile
Add GWL Canadian Focused Value 100/100 05/12/2026 34.59 0.10 Canadian equity 3.01 2.59 5.27 2.99 7.43 15.55 8.10 6.96 7.18 7.07 7.43 7.72 12.29 5.78 -1.35 18.70 0.19 12.05 -5.93 8.09 15.37 12/31/2024 3.38 CLGM056I CLGM056J CLGM056L - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Focused Value 100/100 (P) 05/12/2026 17.28 0.05 Canadian equity 3.10 2.87 5.85 3.37 7.32 16.83 9.30 8.15 - - 7.32 8.92 13.53 6.95 -0.25 20.02 1.29 13.29 - - - - - CLGN056I - - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Focused Value 100/100 (PP) 05/12/2026 17.90 0.05 Canadian equity 3.14 2.99 6.08 3.52 7.80 17.35 9.79 8.62 - - 7.80 9.40 14.05 7.43 0.18 20.55 1.76 13.79 - - - - - CLGP056I - - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Focused Value 100/100 (PS1) 05/12/2026 31.82 0.09 Canadian equity 3.05 2.70 5.50 3.14 8.68 16.06 8.58 7.43 7.65 - 8.68 8.20 12.79 6.25 -0.91 19.22 0.63 12.55 -5.51 8.57 15.88 12/31/2024 2.94 CLGO056I CLGO056J CLGO056L - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Focused Value 75/100 05/12/2026 36.91 0.10 Canadian equity 3.04 2.69 5.46 3.12 7.84 15.99 8.51 7.36 7.58 7.48 7.84 8.13 12.71 6.18 -0.98 19.14 0.57 12.47 -5.57 8.50 15.80 12/31/2024 3.00 CLGM056E CLGM056F CLGM056H - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Focused Value 75/100 (P) 05/12/2026 17.80 0.05 Canadian equity 3.14 2.97 6.04 3.50 7.73 17.28 9.72 8.56 - - 7.73 9.33 13.97 7.36 0.12 20.47 1.68 13.72 - - - - - CLGN056E - - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Focused Value 75/100 (PP) 05/12/2026 18.37 0.05 Canadian equity 3.17 3.07 6.25 3.63 8.16 17.74 10.15 8.99 - - 8.16 9.77 14.43 7.79 0.52 20.94 2.09 14.17 - - - - - CLGP056E - - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Focused Value 75/100 (PS1) 05/12/2026 33.33 0.09 Canadian equity 3.08 2.79 5.67 3.25 9.04 16.45 8.94 7.79 8.01 - 9.04 8.56 13.16 6.60 -0.58 19.62 0.97 12.92 -5.20 8.92 16.26 12/31/2024 2.60 CLGO056E CLGO056F CLGO056H - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Focused Value 75/75 05/12/2026 37.87 0.11 Canadian equity 3.06 2.74 5.57 3.19 8.01 16.23 8.74 7.59 7.78 7.65 8.01 8.36 12.95 6.40 -0.77 19.39 0.78 12.71 -5.41 8.60 15.92 12/31/2024 2.79 CLGM056A CLGM056B CLGM056D - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Focused Value 75/75 (P) 05/12/2026 18.10 0.05 Canadian equity 3.15 3.02 6.15 3.57 7.96 17.53 9.95 8.78 - - 7.96 9.56 14.21 7.59 0.33 20.72 1.90 13.96 - - - - - CLGN056A - - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Focused Value 75/75 (PP) 05/12/2026 18.69 0.05 Canadian equity 3.19 3.13 6.37 3.71 8.40 18.01 10.40 9.23 - - 8.40 10.01 14.68 8.02 0.74 21.21 2.31 14.42 - - - - - CLGP056A - - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Focused Value 75/75 (PS1) 05/12/2026 34.37 0.10 Canadian equity 3.09 2.84 5.79 3.33 9.28 16.71 9.18 8.03 8.25 - 9.28 8.80 13.41 6.84 -0.36 19.88 1.19 13.17 -4.99 9.16 16.52 12/31/2024 2.38 CLGO056A CLGO056B CLGO056D - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Growth 100/100 05/12/2026 36.10 0.15 Canadian equity 3.37 5.78 8.54 4.93 7.60 25.75 14.01 11.18 8.43 6.51 7.60 22.00 14.50 5.84 -2.87 20.66 1.45 17.46 -9.64 6.43 11.76 12/31/2024 3.16 CLGM057I CLGM057J CLGM057L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth 100/100 (P) 05/12/2026 20.87 0.09 Canadian equity 3.46 6.07 9.13 5.30 9.83 27.13 15.26 12.40 - - 9.83 23.34 15.76 7.00 -1.80 21.98 2.57 18.75 - - - - - CLGN057I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth 100/100 (PP) 05/12/2026 21.57 0.09 Canadian equity 3.49 6.18 9.36 5.45 10.29 27.67 15.76 12.88 - - 10.29 23.87 16.25 7.45 -1.39 22.50 3.00 19.25 - - - - - CLGP057I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth 100/100 (PS1) 05/12/2026 32.53 0.13 Canadian equity 3.40 5.90 8.77 5.07 8.79 26.29 14.50 11.65 8.89 - 8.79 22.52 14.99 6.29 -2.45 21.17 1.88 17.95 -9.26 6.89 12.23 12/31/2024 2.74 CLGO057I CLGO057J CLGO057L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth 75/100 05/12/2026 38.37 0.16 Canadian equity 3.40 5.88 8.73 5.05 7.99 26.19 14.41 11.57 8.81 6.89 7.99 22.43 14.90 6.21 -2.53 21.08 1.81 17.87 -9.32 6.81 12.14 12/31/2024 2.81 CLGM057E CLGM057F CLGM057H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth 75/100 (P) 05/12/2026 21.45 0.09 Canadian equity 3.49 6.16 9.32 5.43 10.21 27.58 15.67 12.79 - - 10.21 23.77 16.17 7.37 -1.46 22.41 2.93 19.16 - - - - - CLGN057E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth 75/100 (PP) 05/12/2026 22.14 0.09 Canadian equity 3.52 6.27 9.54 5.57 10.66 28.09 16.14 13.25 - - 10.66 24.27 16.65 7.80 -1.06 22.90 3.34 19.64 - - - - - CLGP057E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth 75/100 (PS1) 05/12/2026 34.07 0.14 Canadian equity 3.43 5.98 8.95 5.19 9.15 26.70 14.87 12.02 9.25 - 9.15 22.92 15.37 6.64 -2.14 21.57 2.22 18.35 -8.95 7.24 12.60 12/31/2024 2.41 CLGO057E CLGO057F CLGO057H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth 75/75 05/12/2026 39.26 0.16 Canadian equity 3.41 5.92 8.82 5.10 8.14 26.40 14.60 11.75 8.98 7.04 8.14 22.63 15.09 6.38 -2.37 21.28 1.98 18.06 -9.19 6.92 12.27 12/31/2024 2.65 CLGM057A CLGM057B CLGM057D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth 75/75 (P) 05/12/2026 21.73 0.09 Canadian equity 3.50 6.21 9.41 5.48 10.39 27.79 15.86 12.98 - - 10.39 23.98 16.36 7.55 -1.30 22.61 3.10 19.36 - - - - - CLGN057A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth 75/75 (PP) 05/12/2026 22.52 0.09 Canadian equity 3.54 6.33 9.66 5.64 10.90 28.37 16.40 13.50 - - 10.90 24.55 16.90 8.04 -0.85 23.17 3.57 19.91 - - - - - CLGP057A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth 75/75 (PS1) 05/12/2026 35.13 0.14 Canadian equity 3.45 6.04 9.06 5.26 9.39 26.98 15.13 12.26 9.49 - 9.39 23.19 15.62 6.87 -1.92 21.83 2.44 18.60 -8.75 7.47 12.84 12/31/2024 2.19 CLGO057A CLGO057B CLGO057D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth DSC 05/12/2026 1,296.57 5.31 Canadian equity 3.41 5.92 8.82 5.10 6.58 26.40 14.60 11.75 8.98 7.04 6.58 22.63 15.09 6.38 -2.37 21.28 1.98 18.06 -9.19 6.92 12.27 12/31/2024 2.65 - CLGTJ057 - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Growth Equity 100/100 05/12/2026 25.69 0.06 Canadian equity 2.86 -2.14 -4.91 -4.36 5.55 -1.75 3.85 3.53 6.31 4.84 5.55 2.55 11.72 8.92 -10.67 21.60 9.39 21.26 -10.39 8.35 7.23 12/31/2024 3.40 CLGM059I CLGM059J CLGM059L - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 100/100 (P) 05/12/2026 16.24 0.04 Canadian equity 2.95 -1.87 -4.39 -4.01 6.44 -0.66 5.00 4.68 - - 6.44 3.68 12.97 10.11 -9.68 22.94 10.59 22.59 - - - - - CLGN059I - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 100/100 (PP) 05/12/2026 16.80 0.04 Canadian equity 2.99 -1.77 -4.18 -3.87 6.91 -0.23 5.46 5.13 - - 6.91 4.13 13.46 10.58 -9.30 23.46 11.08 23.14 - - - - - CLGP059I - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 100/100 (PS1) 05/12/2026 24.93 0.06 Canadian equity 2.89 -2.03 -4.70 -4.22 6.79 -1.33 4.30 3.98 6.78 - 6.79 2.99 12.21 9.38 -10.29 22.12 9.87 21.82 -9.97 8.85 7.73 12/31/2024 2.97 CLGO059I CLGO059J CLGO059L - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 100/100 (PS2) 05/12/2026 37.70 0.09 Canadian equity 3.14 -1.31 -3.29 -3.28 9.99 1.65 7.45 7.11 9.99 - 9.99 6.09 15.61 12.66 -7.60 25.78 13.17 25.46 -7.26 12.10 10.95 - - CLGQ059I - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 75/100 05/12/2026 27.48 0.06 Canadian equity 2.89 -2.04 -4.71 -4.23 5.97 -1.35 4.28 3.96 6.74 5.27 5.97 2.96 12.18 9.36 -10.31 22.10 9.84 21.75 -10.02 8.80 7.68 12/31/2024 2.99 CLGM059E CLGM059F CLGM059H - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 75/100 (P) 05/12/2026 16.76 0.04 Canadian equity 2.98 -1.77 -4.19 -3.88 6.88 -0.26 5.43 5.10 - - 6.88 4.10 13.44 10.56 -9.32 23.45 11.04 23.10 - - - - - CLGN059E - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 75/100 (PP) 05/12/2026 17.24 0.04 Canadian equity 3.01 -1.69 -4.03 -3.77 7.26 0.09 5.81 5.48 - - 7.26 4.47 13.83 10.95 -8.99 23.88 11.45 23.56 - - - - - CLGP059E - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 75/100 (PS1) 05/12/2026 26.11 0.06 Canadian equity 2.92 -1.95 -4.55 -4.12 7.14 -1.00 4.65 4.32 7.13 - 7.14 3.33 12.58 9.74 -9.99 22.52 10.24 22.22 -9.67 9.21 8.09 12/31/2024 2.64 CLGO059E CLGO059F CLGO059H - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 75/100 (PS2) 05/12/2026 37.71 0.09 Canadian equity 3.14 -1.31 -3.29 -3.28 9.99 1.65 7.45 7.11 9.99 - 9.99 6.09 15.61 12.66 -7.60 25.78 13.17 25.46 -7.26 12.10 10.95 - - CLGQ059E - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 75/75 05/12/2026 27.93 0.07 Canadian equity 2.90 -2.01 -4.66 -4.19 6.07 -1.24 4.39 4.07 6.86 5.37 6.07 3.08 12.31 9.48 -10.21 22.23 9.96 21.89 -9.92 8.92 7.80 12/31/2024 2.88 CLGM059A CLGM059B CLGM059D - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 75/75 (P) 05/12/2026 16.91 0.04 Canadian equity 2.99 -1.74 -4.14 -3.85 7.00 -0.15 5.55 5.22 - - 7.00 4.22 13.56 10.68 -9.22 23.58 11.17 23.23 - - - - - CLGN059A - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 75/75 (PP) 05/12/2026 17.54 0.04 Canadian equity 3.03 -1.63 -3.92 -3.70 7.50 0.31 6.04 5.70 - - 7.50 4.70 14.09 11.19 -8.81 24.14 11.69 23.83 - - - - - CLGP059A - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 75/75 (PS1) 05/12/2026 26.92 0.06 Canadian equity 2.94 -1.90 -4.44 -4.05 7.37 -0.78 4.88 4.55 7.37 - 7.37 3.55 12.83 9.98 -9.80 22.79 10.48 22.48 -9.47 9.45 8.32 12/31/2024 2.42 CLGO059A CLGO059B CLGO059D - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity 75/75 (PS2) 05/12/2026 37.71 0.09 Canadian equity 3.14 -1.31 -3.29 -3.28 9.99 1.65 7.45 7.11 9.99 - 9.99 6.09 15.61 12.66 -7.60 25.78 13.17 25.46 -7.26 12.10 10.95 - - CLGQ059A - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 100/100 05/12/2026 22.17 0.12 Canadian equity 5.28 5.15 10.99 7.37 4.19 41.28 17.15 9.80 5.61 2.49 4.19 29.17 13.64 8.06 -12.03 13.74 -3.47 15.28 -17.96 1.82 16.24 12/31/2024 3.69 CLGM065I CLGM065J CLGM065L - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 100/100 (P) 05/12/2026 17.10 0.09 Canadian equity 5.38 5.44 11.59 7.75 6.98 42.83 18.43 11.00 - - 6.98 30.58 14.90 9.25 -11.07 14.98 -2.41 16.55 - - - - - CLGN065I - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 100/100 (PP) 05/12/2026 17.96 0.10 Canadian equity 5.43 5.60 11.94 7.98 7.65 43.73 19.18 11.70 - - 7.65 31.40 15.62 9.93 -10.52 15.71 -1.81 17.28 - - - - - CLGP065I - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 100/100 (PS1) 05/12/2026 21.60 0.12 Canadian equity 5.34 5.31 11.33 7.59 5.60 42.16 17.87 10.48 6.26 - 5.60 29.97 14.35 8.74 -11.49 14.45 -2.88 16.01 -17.45 2.42 16.93 - - CLGO065I CLGO065J CLGO065L - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 100/100 (PS2) 05/12/2026 33.25 0.18 Canadian equity 5.60 6.11 13.04 8.67 8.90 46.57 21.54 13.92 9.57 - 8.90 34.01 17.93 12.10 -8.74 17.99 0.14 19.60 -14.86 5.65 20.61 - - CLGQ065I - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 75/100 05/12/2026 23.33 0.13 Canadian equity 5.31 5.24 11.17 7.48 4.51 41.75 17.53 10.16 5.95 2.80 4.51 29.59 14.02 8.42 -11.74 14.11 -3.16 15.66 -17.71 2.09 16.54 12/31/2024 3.36 CLGM065E CLGM065F CLGM065H - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 75/100 (P) 05/12/2026 17.54 0.10 Canadian equity 5.40 5.52 11.77 7.86 7.32 43.31 18.81 11.35 - - 7.32 31.02 15.26 9.56 -10.79 15.34 -2.06 16.94 - - - - - CLGN065E - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 75/100 (PP) 05/12/2026 18.42 0.10 Canadian equity 5.46 5.69 12.12 8.09 8.00 44.20 19.56 12.07 - - 8.00 31.83 15.99 10.29 -10.22 16.08 -1.48 17.65 - - - - - CLGP065E - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 75/100 (PS1) 05/12/2026 22.62 0.12 Canadian equity 5.36 5.40 11.51 7.70 5.95 42.63 18.26 10.85 6.61 - 5.95 30.40 14.73 9.09 -11.20 14.82 -2.55 16.38 -17.18 2.76 17.30 12/31/2024 2.73 CLGO065E CLGO065F CLGO065H - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 75/100 (PS2) 05/12/2026 33.25 0.18 Canadian equity 5.60 6.11 13.04 8.67 8.90 46.57 21.54 13.92 9.57 - 8.90 34.01 17.93 12.10 -8.74 17.99 0.14 19.60 -14.86 5.65 20.61 - - CLGQ065E - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 75/75 05/12/2026 24.57 0.13 Canadian equity 5.34 5.34 11.38 7.62 4.83 42.29 17.98 10.58 6.32 3.13 4.83 30.09 14.46 8.83 -11.41 14.55 -2.79 16.10 -17.43 2.35 16.83 12/31/2024 2.97 CLGM065A CLGM065B CLGM065D - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 75/75 (P) 05/12/2026 18.08 0.10 Canadian equity 5.44 5.62 11.99 8.01 7.74 43.85 19.28 11.79 - - 7.74 31.51 15.72 10.01 -10.44 15.80 -1.72 17.39 - - - - - CLGN065A - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 75/75 (PP) 05/12/2026 18.74 0.10 Canadian equity 5.48 5.74 12.24 8.17 8.24 44.51 19.83 12.31 - - 8.24 32.12 16.26 10.53 -10.03 16.34 -1.26 17.92 - - - - - CLGP065A - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 75/75 (PS1) 05/12/2026 23.32 0.13 Canadian equity 5.38 5.46 11.64 7.78 6.18 42.94 18.52 11.09 6.85 - 6.18 30.68 14.98 9.33 -11.00 15.07 -2.34 16.64 -17.00 2.98 17.56 12/31/2024 2.52 CLGO065A CLGO065B CLGO065D - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth Equity II 75/75 (PS2) 05/12/2026 33.25 0.18 Canadian equity 5.60 6.11 13.04 8.67 8.90 46.57 21.54 13.92 9.57 - 8.90 34.01 17.93 12.10 -8.74 17.99 0.14 19.60 -14.86 5.65 20.61 - - CLGQ065A - - - - Picton Mahoney Asset Management Fund fact Monthly profile
Add GWL Canadian Growth NL 05/12/2026 1,231.89 5.04 Canadian equity 3.41 5.92 8.82 5.10 7.04 26.40 14.60 11.75 8.95 6.94 7.04 22.63 15.09 6.38 -2.37 21.28 1.98 18.06 -9.12 6.69 12.02 12/31/2024 2.65 - - - CLGTO057 - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Resources 100/100 05/12/2026 19.52 0.11 Specialty 0.77 9.71 32.76 19.19 3.44 70.20 24.02 22.17 10.85 1.29 3.44 43.60 10.04 3.89 15.29 38.17 -7.23 17.57 -18.89 -2.69 14.93 12/31/2024 3.57 CLGM068I CLGM068J CLGM068L - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources 100/100 (P) 05/12/2026 30.64 0.18 Specialty 0.86 10.01 33.47 19.62 15.13 72.05 25.36 23.49 - - 15.13 45.16 11.24 5.01 16.54 39.67 -6.23 18.84 - - - - - CLGN068I - - - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources 100/100 (PP) 05/12/2026 31.95 0.19 Specialty 0.90 10.14 33.80 19.82 15.75 72.91 25.99 24.13 - - 15.75 45.89 11.80 5.54 17.15 40.45 -5.70 19.51 - - - - - CLGP068I - - - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources 100/100 (PS1) 05/12/2026 20.89 0.12 Specialty 0.81 9.85 33.09 19.39 5.27 71.06 24.64 22.80 11.45 - 5.27 44.32 10.60 4.41 15.90 38.95 -6.71 18.22 -18.43 -2.14 15.58 12/31/2024 3.06 CLGO068I CLGO068J CLGO068L - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources 75/100 05/12/2026 20.94 0.12 Specialty 0.80 9.81 33.01 19.34 3.87 70.84 24.48 22.63 11.27 1.70 3.87 44.14 10.45 4.28 15.72 38.69 -6.88 18.01 -18.58 -2.32 15.37 12/31/2024 3.19 CLGM068E CLGM068F CLGM068H - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources 75/100 (P) 05/12/2026 31.57 0.18 Specialty 0.89 10.11 33.72 19.77 15.57 72.69 25.83 23.96 - - 15.57 45.70 11.65 5.41 16.98 40.21 -5.87 19.30 - - - - - CLGN068E - - - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources 75/100 (PP) 05/12/2026 33.01 0.19 Specialty 0.93 10.24 34.05 19.96 16.23 73.56 26.49 24.64 - - 16.23 46.46 12.25 5.98 17.59 41.22 -5.24 19.96 - - - - - CLGP068E - - - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources 75/100 (PS1) 05/12/2026 22.10 0.13 Specialty 0.84 9.95 33.34 19.54 5.70 71.71 25.11 23.27 11.87 - 5.70 44.87 11.01 4.81 16.33 39.47 -6.36 18.67 -18.12 -1.77 16.02 12/31/2024 2.69 CLGO068E CLGO068F CLGO068H - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources 75/75 05/12/2026 21.68 0.13 Specialty 0.82 9.87 33.15 19.43 4.08 71.21 24.75 22.88 11.47 1.91 4.08 44.45 10.69 4.50 15.95 38.92 -6.73 18.20 -18.45 -2.16 15.55 12/31/2024 2.98 CLGM068A CLGM068B CLGM068D - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources 75/75 (P) 05/12/2026 32.03 0.19 Specialty 0.91 10.16 33.84 19.84 15.78 73.01 26.10 24.21 - - 15.78 45.98 11.91 5.64 17.20 40.42 -5.72 19.48 - - - - - CLGN068A - - - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources 75/75 (PP) 05/12/2026 33.33 0.19 Specialty 0.94 10.29 34.16 20.03 16.37 73.85 26.67 24.80 - - 16.37 46.68 12.40 6.10 17.78 41.21 -5.19 20.16 - - - - - CLGP068A - - - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources 75/75 (PS1) 05/12/2026 22.69 0.13 Specialty 0.86 10.00 33.45 19.60 5.90 71.99 25.32 23.47 12.05 - 5.90 45.10 11.20 4.97 16.52 39.70 -6.21 18.87 -17.99 -1.61 16.20 12/31/2024 2.53 CLGO068A CLGO068B CLGO068D - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources DSC 05/12/2026 817.43 4.72 Specialty 0.82 9.87 33.15 19.43 5.06 71.21 24.75 22.88 11.47 1.92 5.06 44.45 10.69 4.51 15.95 38.92 -6.73 18.20 -18.45 -2.16 15.56 12/31/2024 2.98 - CLGTJ068 - - - Mackenzie Investments Monthly profile
Add GWL Canadian Resources NL 05/12/2026 778.29 4.49 Specialty 0.82 9.87 33.15 19.43 4.89 71.21 24.75 22.88 11.44 1.82 4.89 44.45 10.69 4.51 15.95 38.92 -6.73 18.20 -18.39 -2.37 15.31 12/31/2024 2.98 - - - CLGTO068 - Mackenzie Investments Monthly profile
Add GWL Canadian Stock Balanced DSC 05/12/2026 989.99 2.09 Balanced 2.41 1.88 1.18 -0.38 5.80 10.44 9.00 7.32 5.69 6.02 5.80 11.13 13.52 10.14 -5.36 14.79 -1.47 13.19 -6.74 2.67 14.45 12/31/2024 2.59 - CLGTJ047 - - - Mackenzie Investments Monthly profile
Add GWL Canadian Stock Balanced NL 05/12/2026 942.84 1.99 Balanced 2.41 1.88 1.18 -0.38 5.63 10.44 9.00 7.32 5.66 5.92 5.63 11.13 13.52 10.14 -5.36 14.79 -1.47 13.19 -6.67 2.44 14.20 12/31/2024 2.59 - - - CLGTO047 - Mackenzie Investments Monthly profile
Add GWL Canadian Stock Balanced 100/100 05/12/2026 27.03 0.06 Balanced 2.40 1.82 1.08 -0.45 6.06 10.21 8.77 7.10 5.47 5.79 6.06 10.90 13.28 9.91 -5.56 14.55 -1.68 12.95 -6.94 2.45 14.21 12/31/2024 2.80 CLGM047I CLGM047J CLGM047L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Stock Balanced 100/100 (P) 05/12/2026 16.71 0.04 Balanced 2.49 2.10 1.63 -0.09 6.83 11.42 9.97 8.28 - - 6.83 12.11 14.54 11.11 -4.52 15.82 -0.60 14.19 - - - - - CLGN047I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Stock Balanced 100/100 (PP) 05/12/2026 16.94 0.04 Balanced 2.50 2.14 1.71 -0.04 7.01 11.61 10.16 8.47 - - 7.01 12.31 14.73 11.31 -4.36 16.01 -0.42 14.39 - - - - - CLGP047I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Stock Balanced 100/100 (PS1) 05/12/2026 23.84 0.05 Balanced 2.41 1.87 1.16 -0.39 6.44 10.40 8.96 7.29 5.65 - 6.44 11.09 13.48 10.10 -5.39 14.75 -1.51 13.15 -6.77 2.64 14.41 12/31/2024 2.63 CLGO047I CLGO047J CLGO047L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Stock Balanced 75/100 05/12/2026 27.79 0.06 Balanced 2.41 1.86 1.16 -0.40 6.26 10.39 8.95 7.28 5.64 5.97 6.26 11.08 13.47 10.09 -5.40 14.74 -1.52 13.14 -6.78 2.62 14.40 12/31/2024 2.64 CLGM047E CLGM047F CLGM047H - CLGR047E Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Stock Balanced 75/100 (P) 05/12/2026 16.93 0.04 Balanced 2.50 2.14 1.71 -0.04 7.00 11.61 10.15 8.46 - - 7.00 12.30 14.72 11.30 -4.37 16.00 -0.43 14.38 - - - - - CLGN047E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Stock Balanced 75/100 (PP) 05/12/2026 17.24 0.04 Balanced 2.52 2.20 1.83 0.04 7.25 11.86 10.41 8.70 - - 7.25 12.55 14.99 11.55 -4.15 16.27 -0.20 14.64 - - - - - CLGP047E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Stock Balanced 75/100 (PS1) 05/12/2026 24.58 0.05 Balanced 2.43 1.92 1.27 -0.32 6.67 10.65 9.20 7.52 5.89 - 6.67 11.33 13.73 10.34 -5.19 15.00 -1.29 13.40 -6.57 2.86 14.67 12/31/2024 2.41 CLGO047E CLGO047F CLGO047H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Stock Balanced 75/75 05/12/2026 27.97 0.06 Balanced 2.41 1.88 1.18 -0.38 6.27 10.44 9.00 7.32 5.69 6.01 6.27 11.13 13.52 10.14 -5.36 14.79 -1.47 13.19 -6.74 2.67 14.45 12/31/2024 2.59 CLGM047A CLGM047B CLGM047D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Stock Balanced 75/75 (P) 05/12/2026 16.99 0.04 Balanced 2.51 2.15 1.73 -0.02 7.05 11.65 10.20 8.50 - - 7.05 12.35 14.77 11.34 -4.32 16.05 -0.39 14.44 - - - - - CLGN047A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Stock Balanced 75/75 (PP) 05/12/2026 17.46 0.04 Balanced 2.54 2.24 1.91 0.09 7.42 12.05 10.59 8.88 - - 7.42 12.74 15.18 11.73 -3.99 16.45 -0.04 14.83 - - - - - CLGP047A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Stock Balanced 75/75 (PS1) 05/12/2026 25.15 0.05 Balanced 2.44 1.96 1.36 -0.27 6.85 10.83 9.38 7.70 6.06 - 6.85 11.51 13.92 10.52 -5.03 15.19 -1.13 13.58 -6.41 3.03 14.85 12/31/2024 2.24 CLGO047A CLGO047B CLGO047D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Canadian Value Balanced DSC 05/12/2026 917.42 0.64 Balanced 2.16 1.24 2.92 1.78 5.53 10.19 6.20 4.66 5.59 5.86 5.53 4.85 10.12 5.90 -4.09 10.38 4.54 11.35 -3.70 6.31 10.17 12/31/2024 2.69 - CLGTJ042 - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced NL 05/12/2026 873.29 0.61 Balanced 2.16 1.24 2.92 1.78 5.36 10.19 6.20 4.66 5.56 5.76 5.36 4.85 10.12 5.90 -4.09 10.38 4.54 11.35 -3.63 6.07 9.93 12/31/2024 2.69 - - - CLGTO042 - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced 100/100 05/12/2026 26.32 0.02 Balanced 2.13 1.14 2.73 1.66 5.69 9.77 5.80 4.26 5.23 5.53 5.69 4.45 9.70 5.50 -4.45 9.96 4.15 10.93 -4.01 6.09 9.94 12/31/2024 3.07 CLGM042I CLGM042J CLGM042L - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced 100/100 (P) 05/12/2026 15.42 0.01 Balanced 2.22 1.42 3.30 2.03 5.71 11.00 6.98 5.43 - - 5.71 5.62 10.93 6.68 -3.39 11.19 5.30 12.16 - - - - - CLGN042I - - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced 100/100 (PP) 05/12/2026 15.84 0.01 Balanced 2.25 1.50 3.47 2.14 6.08 11.38 7.35 5.79 - - 6.08 5.98 11.32 7.05 -3.06 11.57 5.67 12.55 - - - - - CLGP042I - - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced 100/100 (PS1) 05/12/2026 23.77 0.02 Balanced 2.16 1.23 2.91 1.77 6.41 10.15 6.16 4.62 5.59 - 6.41 4.81 10.08 5.87 -4.13 10.34 4.50 11.31 -3.68 6.45 10.31 12/31/2024 2.72 CLGO042I CLGO042J CLGO042L - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced 75/100 05/12/2026 27.05 0.02 Balanced 2.14 1.18 2.81 1.71 6.09 9.94 5.96 4.42 5.40 5.70 6.09 4.61 9.87 5.67 -4.30 10.13 4.31 11.10 -3.86 6.25 10.11 12/31/2024 2.91 CLGM042E CLGM042F CLGM042H - CLGR042E Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced 75/100 (P) 05/12/2026 15.61 0.01 Balanced 2.23 1.46 3.38 2.08 5.88 11.17 7.15 5.59 - - 5.88 5.78 11.11 6.84 -3.24 11.36 5.47 12.34 - - - - - CLGN042E - - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced 75/100 (PP) 05/12/2026 16.12 0.01 Balanced 2.27 1.56 3.59 2.22 6.32 11.63 7.59 6.02 - - 6.32 6.22 11.57 7.28 -2.84 11.82 5.91 12.80 - - - - - CLGP042E - - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced 75/100 (PS1) 05/12/2026 24.52 0.02 Balanced 2.17 1.28 3.02 1.85 6.64 10.39 6.40 4.85 5.83 - 6.64 5.05 10.33 6.10 -3.91 10.59 4.74 11.56 -3.46 6.68 10.56 12/31/2024 2.50 CLGO042E CLGO042F CLGO042H - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced 75/75 05/12/2026 27.71 0.02 Balanced 2.16 1.24 2.92 1.78 6.02 10.19 6.20 4.66 5.59 5.86 6.02 4.85 10.12 5.90 -4.09 10.38 4.54 11.35 -3.70 6.31 10.17 12/31/2024 2.69 CLGM042A CLGM042B CLGM042D - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced 75/75 (P) 05/12/2026 15.88 0.01 Balanced 2.25 1.51 3.49 2.16 6.12 11.42 7.39 5.83 - - 6.12 6.02 11.36 7.08 -3.02 11.61 5.71 12.59 - - - - - CLGN042A - - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced 75/75 (PP) 05/12/2026 16.33 0.01 Balanced 2.28 1.60 3.67 2.27 6.49 11.81 7.77 6.20 - - 6.49 6.40 11.75 7.46 -2.68 12.01 6.08 12.99 - - - - - CLGP042A - - - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Canadian Value Balanced 75/75 (PS1) 05/12/2026 25.09 0.02 Balanced 2.19 1.32 3.11 1.90 6.82 10.58 6.58 5.03 6.00 - 6.82 5.22 10.51 6.28 -3.75 10.77 4.91 11.74 -3.30 6.86 10.74 12/31/2024 2.33 CLGO042A CLGO042B CLGO042D - - Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Conservative Portfolio DSC 05/12/2026 535.23 -1.23 Portfolio solution 1.63 0.64 1.09 1.62 3.64 6.71 4.98 2.35 2.40 2.94 3.64 4.52 6.97 5.37 -9.32 2.06 5.32 5.88 -1.08 1.76 2.08 12/31/2024 2.39 - CLGTJ004 - - - Portfolio Solutions Group Monthly profile
Add GWL Conservative Portfolio NL 05/12/2026 511.04 -1.18 Portfolio solution 1.63 0.64 1.09 1.62 3.47 6.71 4.98 2.35 2.37 2.84 3.47 4.52 6.97 5.37 -9.32 2.06 5.32 5.88 -1.01 1.54 1.86 12/31/2024 2.39 - - - CLGTO004 - Portfolio Solutions Group Monthly profile
Add GWL Conservative Portfolio 100/100 05/12/2026 16.28 -0.04 Portfolio solution 1.59 0.53 0.87 1.48 2.71 6.26 4.53 1.92 2.01 2.59 2.71 4.07 6.51 4.92 -9.71 1.63 4.87 5.43 -1.39 1.55 1.87 12/31/2024 2.82 CLGM004I CLGM004J CLGM004L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Conservative Portfolio 100/100 (P) 05/12/2026 12.88 -0.03 Portfolio solution 1.69 0.80 1.42 1.84 3.21 7.43 5.68 3.04 - - 3.21 5.22 7.68 6.07 -8.73 2.74 6.02 6.59 - - - - - CLGN004I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Conservative Portfolio 100/100 (PP) 05/12/2026 13.40 -0.03 Portfolio solution 1.73 0.93 1.67 2.01 3.74 7.97 6.21 3.56 - - 3.74 5.75 8.23 6.60 -8.26 3.27 6.56 7.14 - - - - - CLGP004I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Conservative Portfolio 100/100 (PS1) 05/12/2026 15.06 -0.03 Portfolio solution 1.64 0.66 1.12 1.64 2.94 6.79 5.06 2.43 2.53 - 2.94 4.60 7.05 5.44 -9.25 2.14 5.40 5.97 -0.88 2.07 2.39 12/31/2024 2.32 CLGO004I CLGO004J CLGO004L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Conservative Portfolio 75/100 05/12/2026 16.76 -0.04 Portfolio solution 1.61 0.57 0.95 1.53 3.08 6.42 4.69 2.07 2.17 2.76 3.08 4.23 6.67 5.08 -9.57 1.78 5.03 5.60 -1.24 1.71 2.03 12/31/2024 2.67 CLGM004E CLGM004F CLGM004H - CLGR004E Portfolio Solutions Group Fund fact Monthly profile
Add GWL Conservative Portfolio 75/100 (P) 05/12/2026 13.04 -0.03 Portfolio solution 1.70 0.84 1.50 1.89 3.37 7.59 5.84 3.20 - - 3.37 5.38 7.85 6.23 -8.58 2.90 6.19 6.76 - - - - - CLGN004E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Conservative Portfolio 75/100 (PP) 05/12/2026 13.57 -0.03 Portfolio solution 1.74 0.95 1.73 2.05 3.91 8.09 6.33 3.67 - - 3.91 5.87 8.35 6.72 -8.16 3.41 7.08 7.26 - - - - - CLGP004E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Conservative Portfolio 75/100 (PS1) 05/12/2026 15.29 -0.04 Portfolio solution 1.65 0.68 1.18 1.68 3.05 6.91 5.17 2.54 2.64 - 3.05 4.71 7.17 5.56 -9.15 2.25 5.52 6.09 -0.77 2.18 2.50 12/31/2024 2.21 CLGO004E CLGO004F CLGO004H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Conservative Portfolio 75/75 05/12/2026 17.22 -0.04 Portfolio solution 1.63 0.64 1.09 1.62 3.05 6.71 4.98 2.35 2.40 2.93 3.05 4.52 6.97 5.37 -9.32 2.06 5.32 5.88 -1.08 1.76 2.08 12/31/2024 2.39 CLGM004A CLGM004B CLGM004D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Conservative Portfolio 75/75 (P) 05/12/2026 13.32 -0.03 Portfolio solution 1.72 0.91 1.64 1.99 3.66 7.89 6.13 3.48 - - 3.66 5.67 8.15 6.52 -8.33 3.19 6.48 7.05 - - - - - CLGN004A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Conservative Portfolio 75/75 (PP) 05/12/2026 13.63 -0.03 Portfolio solution 1.75 0.98 1.78 2.08 3.97 8.21 6.45 3.78 - - 3.97 5.98 8.47 6.83 -8.06 3.49 6.80 7.37 - - - - - CLGP004A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Conservative Portfolio 75/75 (PS1) 05/12/2026 15.53 -0.04 Portfolio solution 1.65 0.71 1.23 1.72 3.16 7.03 5.29 2.66 2.75 - 3.16 4.83 7.29 5.67 -9.05 2.36 5.64 6.20 -0.67 2.29 2.62 12/31/2024 2.10 CLGO004A CLGO004B CLGO004D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced 100/100 05/12/2026 24.04 0.00 Portfolio solution 2.55 2.50 4.23 3.49 5.39 15.03 9.02 5.69 5.42 5.17 5.39 10.96 10.69 7.18 -9.55 10.71 4.68 11.64 -5.45 5.45 6.41 12/31/2024 2.89 CLGM011I CLGM011J CLGM011L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced 100/100 (P) 05/12/2026 16.29 0.00 Portfolio solution 2.64 2.78 4.79 3.86 6.36 16.28 10.21 6.84 - - 6.36 12.16 11.90 8.33 -8.58 11.91 5.81 12.85 - - - - - CLGN011I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced 100/100 (PP) 05/12/2026 17.04 0.00 Portfolio solution 2.69 2.92 5.09 4.06 6.96 16.94 10.84 7.45 - - 6.96 12.80 12.54 8.96 -8.06 12.55 6.42 13.49 - - - - - CLGP011I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced 100/100 (PS1) 05/12/2026 23.75 0.00 Portfolio solution 2.60 2.65 4.53 3.69 6.34 15.69 9.65 6.30 6.02 - 6.34 11.59 11.32 7.79 -9.03 11.34 5.28 12.27 -4.91 6.05 6.98 12/31/2024 2.32 CLGO011I CLGO011J CLGO011L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced 75/100 05/12/2026 24.57 0.00 Portfolio solution 2.56 2.54 4.31 3.54 5.53 15.20 9.19 5.85 5.58 5.32 5.53 11.12 10.86 7.34 -9.41 10.88 4.84 11.80 -5.31 5.61 6.57 12/31/2024 2.74 CLGM011E CLGM011F CLGM011H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced 75/100 (P) 05/12/2026 16.49 0.00 Portfolio solution 2.65 2.81 4.87 3.91 6.51 16.45 10.37 7.00 - - 6.51 12.33 12.06 8.50 -8.43 12.08 5.97 13.01 - - - - - CLGN011E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced 75/100 (PP) 05/12/2026 17.26 0.00 Portfolio solution 2.70 2.96 5.17 4.11 7.14 17.13 11.02 7.62 - - 7.14 12.99 12.71 9.13 -7.91 12.73 6.59 13.73 - - - - - CLGP011E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced 75/100 (PS1) 05/12/2026 24.30 0.00 Portfolio solution 2.61 2.69 4.61 3.74 6.51 15.88 9.83 6.47 6.20 - 6.51 11.77 11.51 7.96 -8.89 11.52 5.45 12.45 -4.76 6.22 7.18 12/31/2024 2.16 CLGO011E CLGO011F CLGO011H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced 75/75 05/12/2026 24.76 0.00 Portfolio solution 2.56 2.55 4.34 3.56 5.58 15.27 9.25 5.91 5.64 5.37 5.58 11.18 10.92 7.40 -9.36 10.94 4.90 11.86 -5.26 5.66 6.62 12/31/2024 2.68 CLGM011A CLGM011B CLGM011D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced 75/75 (P) 05/12/2026 16.56 0.00 Portfolio solution 2.66 2.83 4.90 3.93 6.57 16.52 10.43 7.06 - - 6.57 12.39 12.13 8.56 -8.39 12.14 6.03 13.07 - - - - - CLGN011A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced 75/75 (PP) 05/12/2026 17.33 0.00 Portfolio solution 2.71 2.98 5.20 4.13 7.19 17.20 11.08 7.68 - - 7.19 13.05 12.78 9.19 -7.85 12.79 6.65 13.73 - - - - - CLGP011A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced 75/75 (PS1) 05/12/2026 24.48 0.00 Portfolio solution 2.61 2.70 4.64 3.76 6.57 15.94 9.88 6.53 6.25 - 6.57 11.83 11.57 8.02 -8.84 11.58 5.51 12.51 -4.71 6.27 7.22 12/31/2024 2.10 CLGO011A CLGO011B CLGO011D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced Growth Plus 100/100 05/12/2026 26.37 0.02 Portfolio solution 2.96 3.05 5.20 4.12 5.98 17.75 10.28 6.75 6.24 5.76 5.98 12.75 11.98 7.53 -9.29 13.36 4.13 12.76 -6.29 6.19 7.35 12/31/2024 3.07 CLGM012I CLGM012J CLGM012L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced Growth Plus 100/100 (P) 05/12/2026 17.30 0.01 Portfolio solution 3.06 3.33 5.78 4.49 7.16 19.05 11.50 7.93 - - 7.16 14.00 13.23 8.72 -8.29 14.63 5.30 14.00 - - - - - CLGN012I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced Growth Plus 100/100 (PP) 05/12/2026 18.12 0.01 Portfolio solution 3.11 3.48 6.08 4.70 7.79 19.75 12.16 8.56 - - 7.79 14.66 13.90 9.35 -7.75 15.28 5.91 14.68 - - - - - CLGP012I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced Growth Plus 100/100 (PS1) 05/12/2026 26.43 0.02 Portfolio solution 3.01 3.20 5.50 4.32 7.15 18.44 10.93 7.37 6.87 - 7.15 13.41 12.64 8.15 -8.76 14.03 4.74 13.42 -5.73 6.81 7.97 12/31/2024 2.48 CLGO012I CLGO012J CLGO012L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced Growth Plus 75/100 05/12/2026 27.11 0.02 Portfolio solution 2.98 3.09 5.28 4.17 6.15 17.93 10.45 6.91 6.41 5.93 6.15 12.92 12.15 7.69 -9.15 13.54 4.30 12.93 -6.14 6.36 7.52 12/31/2024 2.91 CLGM012E CLGM012F CLGM012H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced Growth Plus 75/100 (P) 05/12/2026 17.51 0.01 Portfolio solution 3.07 3.37 5.86 4.55 7.33 19.24 11.68 8.10 - - 7.33 14.18 13.40 8.88 -8.15 14.80 5.45 14.19 - - - - - CLGN012E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced Growth Plus 75/100 (PP) 05/12/2026 18.35 0.01 Portfolio solution 3.12 3.52 6.17 4.75 7.97 19.95 12.34 8.75 - - 7.97 14.86 14.08 9.53 -7.59 15.49 6.09 14.88 - - - - - CLGP012E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced Growth Plus 75/100 (PS1) 05/12/2026 27.05 0.02 Portfolio solution 3.03 3.24 5.59 4.37 7.32 18.63 11.11 7.55 7.04 - 7.32 13.60 12.83 8.33 -8.61 14.22 4.92 13.61 -5.58 6.99 8.16 12/31/2024 2.32 CLGO012E CLGO012F CLGO012H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced Growth Plus 75/75 05/12/2026 27.38 0.02 Portfolio solution 2.98 3.10 5.31 4.19 6.22 17.99 10.51 6.97 6.47 5.99 6.22 12.98 12.22 7.75 -9.10 13.60 4.35 13.00 -6.09 6.41 7.58 12/31/2024 2.86 CLGM012A CLGM012B CLGM012D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced Growth Plus 75/75 (P) 05/12/2026 17.59 0.01 Portfolio solution 3.07 3.38 5.89 4.57 7.38 19.30 11.74 8.16 - - 7.38 14.24 13.47 8.94 -8.09 14.86 5.51 14.25 - - - - - CLGN012A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced Growth Plus 75/75 (PP) 05/12/2026 18.50 0.01 Portfolio solution 3.12 3.53 6.20 4.77 8.08 20.01 12.41 8.81 - - 8.08 14.92 14.15 9.59 -7.54 15.54 6.28 15.21 - - - - - CLGP012A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Balanced Growth Plus 75/75 (PS1) 05/12/2026 27.26 0.02 Portfolio solution 3.03 3.25 5.62 4.39 7.38 18.70 11.17 7.61 7.10 - 7.38 13.66 12.89 8.39 -8.56 14.28 4.98 13.67 -5.52 7.05 8.22 12/31/2024 2.26 CLGO012A CLGO012B CLGO012D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Conservative Growth 100/100 05/12/2026 16.94 -0.03 Portfolio solution 1.32 0.88 1.29 1.61 3.22 7.17 5.15 2.34 2.71 3.02 3.22 5.67 6.63 5.85 -10.61 2.83 5.91 8.14 -3.23 2.91 3.15 12/31/2024 2.63 CLGM013I CLGM013J CLGM013L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Conservative Growth 100/100 (P) 05/12/2026 13.43 -0.02 Portfolio solution 1.41 1.15 1.84 1.98 3.81 8.35 6.31 3.47 - - 3.81 6.83 7.81 7.02 -9.62 3.97 7.06 9.32 - - - - - CLGN013I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Conservative Growth 100/100 (PP) 05/12/2026 13.89 -0.02 Portfolio solution 1.45 1.25 2.06 2.12 4.26 8.82 6.77 3.92 - - 4.26 7.30 8.29 7.47 -9.24 4.41 7.50 9.79 - - - - - CLGP013I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Conservative Growth 100/100 (PS1) 05/12/2026 16.22 -0.02 Portfolio solution 1.35 0.98 1.50 1.75 3.51 7.63 5.60 2.78 3.15 - 3.51 6.12 7.09 6.30 -10.22 3.27 6.35 8.59 -2.82 3.34 3.59 12/31/2024 2.20 CLGO013I CLGO013J CLGO013L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Conservative Growth 75/100 05/12/2026 17.37 -0.03 Portfolio solution 1.33 0.91 1.36 1.65 3.37 7.32 5.30 2.49 2.86 3.17 3.37 5.82 6.78 6.00 -10.48 2.98 6.06 8.29 -3.09 3.05 3.30 12/31/2024 2.49 CLGM013E CLGM013F CLGM013H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Conservative Growth 75/100 (P) 05/12/2026 13.59 -0.02 Portfolio solution 1.42 1.19 1.92 2.03 3.97 8.51 6.48 3.63 - - 3.97 6.99 7.99 7.19 -9.47 4.12 7.22 9.47 - - - - - CLGN013E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Conservative Growth 75/100 (PP) 05/12/2026 14.07 -0.02 Portfolio solution 1.46 1.30 2.14 2.18 4.42 9.00 6.94 4.08 - - 4.42 7.47 8.46 7.65 -9.09 4.58 7.68 9.96 - - - - - CLGP013E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Conservative Growth 75/100 (PS1) 05/12/2026 16.60 -0.03 Portfolio solution 1.37 1.02 1.58 1.81 3.67 7.81 5.77 2.95 3.32 - 3.67 6.29 7.27 6.48 -10.08 3.44 6.53 8.77 -2.66 3.51 3.76 12/31/2024 2.04 CLGO013E CLGO013F CLGO013H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Conservative Growth 75/75 05/12/2026 17.53 -0.03 Portfolio solution 1.34 0.92 1.38 1.67 3.43 7.38 5.36 2.54 2.92 3.23 3.43 5.87 6.84 6.06 -10.43 3.04 6.11 8.35 -3.04 3.11 3.36 12/31/2024 2.43 CLGM013A CLGM013B CLGM013D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Conservative Growth 75/75 (P) 05/12/2026 13.64 -0.02 Portfolio solution 1.43 1.20 1.94 2.04 4.02 8.57 6.52 3.68 - - 4.02 7.05 8.03 7.23 -9.44 4.17 7.27 9.53 - - - - - CLGN013A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Conservative Growth 75/75 (PP) 05/12/2026 14.13 -0.02 Portfolio solution 1.47 1.31 2.17 2.19 4.48 9.06 7.01 4.14 - - 4.48 7.53 8.52 7.71 -9.03 4.64 7.74 10.02 - - - - - CLGP013A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Conservative Growth 75/75 (PS1) 05/12/2026 16.72 -0.03 Portfolio solution 1.37 1.04 1.61 1.82 3.73 7.87 5.83 3.01 3.38 - 3.73 6.35 7.33 6.54 -10.03 3.50 6.58 8.83 -2.61 3.57 3.81 12/31/2024 1.98 CLGO013A CLGO013B CLGO013D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate 100/100 05/12/2026 18.81 -0.02 Portfolio solution 1.74 1.41 2.23 2.22 3.86 9.70 6.36 3.36 3.54 3.66 3.86 7.35 7.91 6.19 -10.37 5.24 5.67 9.22 -4.11 3.63 4.15 12/31/2024 2.82 CLGM014I CLGM014J CLGM014L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate 100/100 (P) 05/12/2026 14.31 -0.01 Portfolio solution 1.83 1.69 2.81 2.60 4.64 10.95 7.57 4.54 - - 4.64 8.58 9.15 7.40 -9.35 6.44 6.87 10.46 - - - - - CLGN014I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate 100/100 (PP) 05/12/2026 14.87 -0.01 Portfolio solution 1.87 1.82 3.06 2.77 5.16 11.50 8.11 5.06 - - 5.16 9.11 9.70 7.93 -8.91 6.96 7.40 11.00 - - - - - CLGP014I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate 100/100 (PS1) 05/12/2026 18.30 -0.02 Portfolio solution 1.78 1.53 2.49 2.39 4.39 10.25 6.89 3.88 4.05 - 4.39 7.89 8.45 6.72 -9.93 5.77 6.19 9.77 -3.64 4.14 4.66 - 2.30 CLGO014I CLGO014J CLGO014L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate 75/100 05/12/2026 19.33 -0.02 Portfolio solution 1.75 1.45 2.31 2.27 4.03 9.87 6.53 3.52 3.70 3.83 4.03 7.52 8.09 6.36 -10.23 5.41 5.84 9.39 -3.96 3.80 4.32 12/31/2024 2.66 CLGM014E CLGM014F CLGM014H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate 75/100 (P) 05/12/2026 14.48 -0.01 Portfolio solution 1.85 1.73 2.89 2.65 4.80 11.12 7.74 4.70 - - 4.80 8.74 9.33 7.56 -9.22 6.61 7.03 10.62 - - - - - CLGN014E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate 75/100 (PP) 05/12/2026 15.07 -0.01 Portfolio solution 1.89 1.86 3.15 2.82 5.33 11.69 8.29 5.24 - - 5.33 9.30 9.89 8.11 -8.75 7.15 7.58 11.19 - - - - - CLGP014E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate 75/100 (PS1) 05/12/2026 18.73 -0.02 Portfolio solution 1.79 1.57 2.57 2.44 4.57 10.43 7.07 4.05 4.23 - 4.57 8.07 8.64 6.90 -9.78 5.94 6.37 9.95 -3.47 4.32 4.84 12/31/2024 2.15 CLGO014E CLGO014F CLGO014H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate 75/75 05/12/2026 19.44 -0.02 Portfolio solution 1.76 1.46 2.34 2.29 4.07 9.94 6.59 3.58 3.76 3.87 4.07 7.58 8.15 6.42 -10.18 5.47 5.89 9.46 -3.91 3.85 4.38 12/31/2024 2.60 CLGM014A CLGM014B CLGM014D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate 75/75 (P) 05/12/2026 14.54 -0.01 Portfolio solution 1.85 1.75 2.92 2.67 4.86 11.19 7.80 4.76 - - 4.86 8.80 9.38 7.63 -9.16 6.66 7.09 10.69 - - - - - CLGN014A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate 75/75 (PP) 05/12/2026 15.14 -0.01 Portfolio solution 1.89 1.87 3.18 2.84 5.39 11.75 8.35 5.29 - - 5.39 9.36 9.95 8.17 -8.70 7.21 7.65 11.25 - - - - - CLGP014A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate 75/75 (PS1) 05/12/2026 18.88 -0.02 Portfolio solution 1.80 1.59 2.60 2.46 4.63 10.50 7.13 4.11 4.29 - 4.63 8.13 8.70 6.96 -9.72 6.00 6.43 10.01 -3.42 4.37 4.90 12/31/2024 2.09 CLGO014A CLGO014B CLGO014D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate Growth Plus 100/100 05/12/2026 21.12 -0.01 Portfolio solution 2.13 1.93 3.21 2.84 4.58 12.30 7.66 4.53 4.42 4.36 4.58 9.13 9.26 6.66 -9.82 8.02 4.63 10.36 -4.82 4.50 5.22 12/31/2021 2.89 CLGM015I CLGM015J CLGM015L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate Growth Plus 100/100 (P) 05/12/2026 15.18 -0.01 Portfolio solution 2.22 2.21 3.78 3.21 5.41 13.56 8.87 5.66 - - 5.41 10.35 10.49 7.85 -8.97 9.22 5.79 11.58 - - - - - CLGN015I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate Growth Plus 100/100 (PP) 05/12/2026 15.84 -0.01 Portfolio solution 2.27 2.35 4.06 3.40 5.99 14.17 9.46 6.24 - - 5.99 10.95 11.09 8.43 -8.48 9.81 6.36 12.19 - - - - - CLGP015I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate Growth Plus 100/100 (PS1) 05/12/2026 20.71 -0.01 Portfolio solution 2.17 2.07 3.49 3.02 5.31 12.91 8.25 5.07 4.98 - 5.31 9.72 9.86 7.24 -9.49 8.60 5.18 10.96 -4.29 5.08 5.80 12/31/2024 2.33 CLGO015I CLGO015J CLGO015L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate Growth Plus 75/100 05/12/2026 21.67 -0.01 Portfolio solution 2.14 1.97 3.29 2.89 4.75 12.47 7.83 4.66 4.57 4.52 4.75 9.30 9.43 6.82 -9.84 8.19 4.78 10.53 -4.66 4.67 5.40 12/31/2024 2.72 CLGM015E CLGM015F CLGM015H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate Growth Plus 75/100 (P) 05/12/2026 15.36 -0.01 Portfolio solution 2.23 2.25 3.86 3.27 5.58 13.73 9.04 5.83 - - 5.58 10.52 10.66 8.01 -8.84 9.39 5.94 11.76 - - - - - CLGN015E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate Growth Plus 75/100 (PP) 05/12/2026 16.04 -0.01 Portfolio solution 2.28 2.39 4.15 3.46 6.16 14.36 9.64 6.41 - - 6.16 11.13 11.28 8.61 -8.33 9.99 6.53 12.37 - - - - - CLGP015E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate Growth Plus 75/100 (PS1) 05/12/2026 21.28 -0.01 Portfolio solution 2.19 2.11 3.57 3.08 5.52 13.10 8.43 5.24 5.15 - 5.52 9.90 10.04 7.41 -9.34 8.79 5.36 11.14 -4.13 5.25 6.45 12/31/2024 2.16 CLGO015E CLGO015F CLGO015H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate Growth Plus 75/75 05/12/2026 21.87 -0.01 Portfolio solution 2.14 1.99 3.32 2.91 4.80 12.54 7.89 4.72 4.63 4.58 4.80 9.36 9.49 6.88 -9.79 8.25 4.83 10.59 -4.60 4.73 5.46 12/31/2024 2.66 CLGM015A CLGM015B CLGM015D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate Growth Plus 75/75 (P) 05/12/2026 15.43 -0.01 Portfolio solution 2.24 2.27 3.89 3.29 5.64 13.79 9.10 5.89 - - 5.64 10.58 10.72 8.07 -8.78 9.45 6.00 11.83 - - - - - CLGN015A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate Growth Plus 75/75 (PP) 05/12/2026 16.12 -0.01 Portfolio solution 2.28 2.41 4.17 3.47 6.22 14.43 9.71 6.47 - - 6.22 11.20 11.35 8.67 -8.28 10.06 6.59 12.44 - - - - - CLGP015A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Core Moderate Growth Plus 75/75 (PS1) 05/12/2026 21.35 -0.01 Portfolio solution 2.19 2.13 3.60 3.10 5.54 13.16 8.49 5.30 5.21 - 5.54 9.97 10.10 7.47 -9.29 8.85 5.42 11.20 -4.07 5.31 6.03 12/31/2024 2.11 CLGO015A CLGO015B CLGO015D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Diversified Fixed Income Portfolio DSC 05/12/2026 336.57 -1.00 Fixed income 0.11 -0.57 -1.27 -0.14 2.06 0.38 1.68 -0.79 0.21 0.99 2.06 1.10 2.63 4.59 -12.13 -3.62 6.44 4.23 -0.30 0.55 0.67 12/31/2024 2.15 - CLGTJ032 - - - Portfolio Solutions Group Monthly profile
Add GWL Diversified Fixed Income Portfolio NL 05/12/2026 324.83 -0.97 Fixed income 0.11 -0.57 -1.27 -0.14 1.93 0.38 1.68 -0.79 0.18 0.90 1.93 1.10 2.63 4.59 -12.13 -3.62 6.44 4.23 -0.23 0.33 0.45 12/31/2024 2.15 - - - CLGTO032 - Portfolio Solutions Group Monthly profile
Add GWL Diversified Fixed Income Portfolio 100/100 05/12/2026 11.98 -0.04 Fixed income 0.08 -0.66 -1.46 -0.26 0.88 0.00 1.30 -1.16 -0.11 0.74 0.88 0.72 2.25 4.20 -12.46 -3.98 6.04 3.84 -0.57 0.45 0.57 12/31/2024 2.52 CLGM032I CLGM032J CLGM032L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Diversified Fixed Income Portfolio 100/100 (P) 05/12/2026 10.28 -0.03 Fixed income 0.13 -0.52 -1.18 -0.08 0.36 0.56 1.87 -0.61 - - 0.36 1.29 2.81 4.78 -11.98 -3.44 6.63 4.42 - - - - - CLGN032I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Diversified Fixed Income Portfolio 100/100 (PP) 05/12/2026 10.93 -0.03 Fixed income 0.19 -0.33 -0.80 0.18 1.15 1.36 2.67 0.17 - - 1.15 2.09 3.63 5.60 -11.28 -2.69 7.47 5.25 - - - - - CLGP032I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Diversified Fixed Income Portfolio 100/100 (PS1) 05/12/2026 11.86 -0.04 Fixed income 0.15 -0.44 -0.87 0.02 1.23 1.55 2.66 -0.06 0.85 - 1.23 2.65 3.57 5.01 -11.77 -3.23 6.88 4.67 0.23 1.25 1.36 12/31/2024 1.74 CLGO032I CLGO032J CLGO032L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Diversified Fixed Income Portfolio 75/100 05/12/2026 12.28 -0.04 Fixed income 0.10 -0.59 -1.33 -0.18 1.23 0.27 1.57 -0.90 0.11 0.90 1.23 0.99 2.52 4.48 -12.23 -3.73 6.32 4.12 -0.39 0.49 0.61 12/31/2024 2.26 CLGM032E CLGM032F CLGM032H - CLGR032E Portfolio Solutions Group Fund fact Monthly profile
Add GWL Diversified Fixed Income Portfolio 75/100 (P) 05/12/2026 10.47 -0.03 Fixed income 0.15 -0.46 -1.05 0.01 0.60 0.83 2.09 -0.39 - - 0.60 1.55 3.02 4.94 -11.79 -3.19 6.91 4.69 - - - - - CLGN032E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Diversified Fixed Income Portfolio 75/100 (PP) 05/12/2026 11.03 -0.03 Fixed income 0.20 -0.30 -0.75 0.21 1.26 1.47 2.78 0.28 - - 1.26 2.19 3.73 5.73 -11.18 -2.59 7.59 5.37 - - - - - CLGP032E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Diversified Fixed Income Portfolio 75/100 (PS1) 05/12/2026 11.85 -0.04 Fixed income 0.16 -0.44 -1.02 0.03 1.23 0.90 2.22 -0.27 0.79 - 1.23 1.63 3.17 5.13 -11.68 -3.12 7.00 4.79 0.34 1.36 1.47 12/31/2024 1.63 CLGO032E CLGO032F CLGO032H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Diversified Fixed Income Portfolio 75/75 05/12/2026 12.44 -0.04 Fixed income 0.11 -0.57 -1.27 -0.14 1.11 0.38 1.68 -0.79 0.21 0.98 1.11 1.10 2.63 4.59 -12.13 -3.62 6.44 4.23 -0.30 0.55 0.67 12/31/2024 2.15 CLGM032A CLGM032B CLGM032D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Diversified Fixed Income Portfolio 75/75 (P) 05/12/2026 10.59 -0.03 Fixed income 0.18 -0.42 -0.99 0.06 0.74 0.95 2.25 -0.23 - - 0.74 1.66 3.21 5.17 -11.65 -3.09 7.03 4.82 - - - - - CLGN032A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Diversified Fixed Income Portfolio 75/75 (PP) 05/12/2026 11.08 -0.03 Fixed income 0.21 -0.29 -0.72 0.23 1.32 1.52 2.84 0.34 - - 1.32 2.25 3.81 5.77 -11.14 -2.53 7.65 5.43 - - - - - CLGP032A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Diversified Fixed Income Portfolio 75/75 (PS1) 05/12/2026 11.94 -0.04 Fixed income 0.16 -0.42 -0.99 0.05 1.28 0.96 2.27 -0.22 0.85 - 1.28 1.69 3.23 5.19 -11.63 -3.06 7.06 4.85 0.39 1.41 1.53 12/31/2024 1.57 CLGO032A CLGO032B CLGO032D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL EAFE Equity DSC 05/12/2026 776.36 -5.05 Foreign equity 4.58 0.32 6.55 6.41 4.68 27.59 15.40 9.39 7.91 7.00 4.68 28.59 9.63 13.54 -11.16 6.22 7.98 17.10 -14.39 16.90 -6.74 12/31/2024 2.93 - CLGTJ079 - - - Putnam Investments Monthly profile
Add GWL EAFE Equity NL 05/12/2026 737.61 -4.80 Foreign equity 4.58 0.32 6.55 6.41 4.51 27.59 15.40 9.39 7.88 6.90 4.51 28.59 9.63 13.54 -11.16 6.22 7.98 17.10 -14.33 16.65 -6.94 12/31/2024 2.93 - - - CLGTO079 - Putnam Investments Monthly profile
Add GWL EAFE Equity 100/100 05/12/2026 29.55 -0.19 Foreign equity 4.52 0.15 6.21 6.18 6.01 26.75 14.64 8.67 7.20 6.27 6.01 27.75 8.91 12.79 -11.74 5.52 7.28 16.34 -14.96 16.12 -7.37 12/31/2024 3.59 CLGM079I CLGM079J CLGM079L - - Putnam Investments Fund fact Monthly profile
Add GWL EAFE Equity 100/100 (P) 05/12/2026 18.24 -0.12 Foreign equity 4.62 0.43 6.79 6.57 7.68 28.15 15.91 9.87 - - 7.68 29.16 10.12 14.03 -10.76 6.68 8.46 17.61 - - - - - CLGN079I - - - - Putnam Investments Fund fact Monthly profile
Add GWL EAFE Equity 100/100 (PP) 05/12/2026 18.91 -0.12 Foreign equity 4.66 0.54 7.03 6.73 8.18 28.74 16.45 10.37 - - 8.18 29.76 10.64 14.55 -10.36 7.17 8.95 18.15 - - - - - CLGP079I - - - - Putnam Investments Fund fact Monthly profile
Add GWL EAFE Equity 100/100 (PS1) 05/12/2026 31.49 -0.21 Foreign equity 4.56 0.27 6.45 6.34 8.39 27.34 15.17 9.17 7.69 - 8.39 28.34 9.42 13.31 -11.33 6.02 7.79 16.90 -14.61 16.66 -7.02 12/31/2024 3.13 CLGO079I CLGO079J CLGO079L - - Putnam Investments Fund fact Monthly profile
Add GWL EAFE Equity 75/100 05/12/2026 31.90 -0.21 Foreign equity 4.56 0.26 6.44 6.33 6.49 27.31 15.15 9.15 7.67 6.75 6.49 28.31 9.39 13.29 -11.35 5.99 7.75 16.85 -14.59 16.60 -6.98 12/31/2024 3.15 CLGM079E CLGM079F CLGM079H - - Putnam Investments Fund fact Monthly profile
Add GWL EAFE Equity 75/100 (P) 05/12/2026 18.88 -0.12 Foreign equity 4.66 0.54 7.02 6.72 8.16 28.71 16.42 10.35 - - 8.16 29.73 10.61 14.53 -10.38 7.15 8.93 18.16 - - - - - CLGN079E - - - - Putnam Investments Fund fact Monthly profile
Add GWL EAFE Equity 75/100 (PP) 05/12/2026 19.57 -0.13 Foreign equity 4.69 0.65 7.27 6.88 8.65 29.32 16.96 10.86 - - 8.65 30.35 11.12 15.03 -9.96 7.65 9.44 18.69 - - - - - CLGP079E - - - - Putnam Investments Fund fact Monthly profile
Add GWL EAFE Equity 75/100 (PS1) 05/12/2026 33.42 -0.22 Foreign equity 4.60 0.38 6.68 6.49 8.85 27.89 15.68 9.65 8.15 - 8.85 28.90 9.90 13.81 -10.94 6.47 8.24 17.39 -14.22 17.05 -6.62 12/31/2024 2.69 CLGO079E CLGO079F CLGO079H - - Putnam Investments Fund fact Monthly profile
Add GWL EAFE Equity 75/75 05/12/2026 33.19 -0.22 Foreign equity 4.58 0.32 6.55 6.41 6.74 27.59 15.40 9.39 7.91 7.00 6.74 28.59 9.64 13.54 -11.16 6.22 7.98 17.10 -14.39 16.90 -6.74 12/31/2024 2.93 CLGM079A CLGM079B CLGM079D - - Putnam Investments Fund fact Monthly profile
Add GWL EAFE Equity 75/75 (P) 05/12/2026 19.20 -0.12 Foreign equity 4.67 0.59 7.13 6.79 8.39 29.00 16.68 10.59 - - 8.39 30.01 10.85 14.78 -10.18 7.39 9.17 18.39 - - - - - CLGN079A - - - - Putnam Investments Fund fact Monthly profile
Add GWL EAFE Equity 75/75 (PP) 05/12/2026 19.99 -0.13 Foreign equity 4.72 0.72 7.41 6.98 8.95 29.66 17.28 11.16 - - 8.95 30.68 11.43 15.37 -9.72 7.94 9.73 19.00 - - - - - CLGP079A - - - - Putnam Investments Fund fact Monthly profile
Add GWL EAFE Equity 75/75 (PS1) 05/12/2026 34.84 -0.23 Foreign equity 4.62 0.44 6.83 6.59 9.17 28.25 16.00 9.95 8.46 - 9.17 29.26 10.21 14.12 -10.70 6.76 8.54 17.71 -13.97 17.44 -6.31 12/31/2024 2.42 CLGO079A CLGO079B CLGO079D - - Putnam Investments Fund fact Monthly profile
Add GWL Emerging Markets Equity DSC 05/12/2026 1,023.71 -11.02 Specialty 10.99 7.64 14.40 16.84 6.40 50.13 22.76 9.03 9.78 6.16 6.40 27.76 16.67 13.84 -15.82 3.05 16.38 9.14 -16.51 26.80 8.26 12/31/2024 3.28 - CLGTJ088 - - - Mackenzie Investments Monthly profile
Add GWL Emerging Markets Equity NL 05/12/2026 986.48 -10.62 Specialty 10.99 7.64 14.40 16.84 6.25 50.13 22.76 9.03 9.75 6.06 6.25 27.76 16.68 13.84 -15.82 3.05 16.38 9.14 -16.45 26.52 8.02 12/31/2024 3.28 - - - CLGTO088 - Mackenzie Investments Monthly profile
Add GWL Emerging Markets Equity 100/100 05/12/2026 30.41 -0.33 Specialty 10.94 7.49 14.09 16.63 5.68 49.30 22.08 8.43 9.13 5.48 5.68 27.05 16.03 13.21 -16.28 2.48 15.74 8.54 -17.03 25.88 7.48 12/31/2024 3.84 CLGM088I CLGM088J CLGM088L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Emerging Markets Equity 100/100 (P) 05/12/2026 21.47 -0.23 Specialty 11.04 7.79 14.72 17.06 9.47 50.96 23.44 9.64 - - 9.47 28.46 17.33 14.47 -15.35 3.62 16.99 9.76 - - - - - CLGN088I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Emerging Markets Equity 100/100 (PP) 05/12/2026 22.09 -0.24 Specialty 11.07 7.87 14.92 17.19 9.86 51.49 23.87 10.02 - - 9.86 28.92 17.73 14.86 -15.06 3.99 17.45 10.16 - - - - - CLGP088I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Emerging Markets Equity 100/100 (PS1) 05/12/2026 28.95 -0.31 Specialty 10.97 7.58 14.28 16.76 7.47 49.81 22.50 8.81 9.54 - 7.47 27.49 16.43 13.60 -15.99 2.85 16.21 8.95 -16.71 26.37 7.90 12/31/2024 3.49 CLGO088I CLGO088J CLGO088L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Emerging Markets Equity 75/100 05/12/2026 32.63 -0.35 Specialty 10.97 7.58 14.28 16.76 6.12 49.80 22.49 8.79 9.53 5.91 6.12 27.47 16.41 13.59 -16.01 2.82 16.13 8.90 -16.71 26.46 7.98 12/31/2024 3.51 CLGM088E CLGM088F CLGM088H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Emerging Markets Equity 75/100 (P) 05/12/2026 22.05 -0.24 Specialty 11.07 7.87 14.91 17.18 9.84 51.47 23.86 10.00 - - 9.84 28.90 17.72 14.85 -15.07 3.96 17.42 10.11 - - - - - CLGN088E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Emerging Markets Equity 75/100 (PP) 05/12/2026 22.88 -0.25 Specialty 11.11 7.99 15.17 17.36 10.36 52.16 24.42 10.51 - - 10.36 29.49 18.27 15.37 -14.67 4.46 18.02 10.66 - - - - - CLGP088E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Emerging Markets Equity 75/100 (PS1) 05/12/2026 31.11 -0.33 Specialty 11.01 7.70 14.54 16.93 8.02 50.48 23.05 9.29 10.06 - 8.02 28.06 16.95 14.11 -15.62 3.31 16.72 9.44 -16.29 27.14 8.55 12/31/2024 3.05 CLGO088E CLGO088F CLGO088H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Emerging Markets Equity 75/75 05/12/2026 33.98 -0.37 Specialty 10.99 7.64 14.40 16.84 6.37 50.13 22.76 9.03 9.78 6.16 6.37 27.76 16.67 13.84 -15.82 3.04 16.38 9.14 -16.51 26.79 8.26 12/31/2024 3.28 CLGM088A CLGM088B CLGM088D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Emerging Markets Equity 75/75 (P) 05/12/2026 22.44 -0.24 Specialty 11.09 7.93 15.04 17.27 10.08 51.81 24.13 10.25 - - 10.08 29.19 17.99 15.10 -14.88 4.19 17.68 10.36 - - - - - CLGN088A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Emerging Markets Equity 75/75 (PP) 05/12/2026 23.69 -0.25 Specialty 11.15 8.11 15.42 17.53 10.85 52.84 24.98 11.00 - - 10.85 30.07 18.79 15.88 -14.29 4.92 18.54 11.15 - - - - - CLGP088A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Emerging Markets Equity 75/75 (PS1) 05/12/2026 33.09 -0.36 Specialty 11.05 7.82 14.79 17.10 8.50 51.15 23.60 9.78 10.55 - 8.50 28.63 17.47 14.61 -15.24 3.77 17.24 9.92 -15.91 27.69 9.03 12/31/2024 2.60 CLGO088A CLGO088B CLGO088D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Equity Index 100/100 05/12/2026 33.62 0.15 Canadian equity 3.55 6.20 11.84 6.84 7.04 35.91 17.97 12.27 9.45 6.21 7.04 27.71 18.05 8.61 -7.88 21.72 2.58 19.34 -11.47 5.98 17.53 12/31/2024 2.96 CLGM064I CLGM064J CLGM064L - - Mackenzie Investments Monthly profile
Add GWL Equity Index 100/100 (P) 05/12/2026 23.02 0.10 Canadian equity 3.65 6.50 12.46 7.23 11.14 37.42 19.28 13.51 - - 11.14 29.12 19.37 9.80 -6.87 23.05 3.71 20.65 - - - - - CLGN064I - - - - Mackenzie Investments Monthly profile
Add GWL Equity Index 100/100 (PP) 05/12/2026 23.59 0.10 Canadian equity 3.67 6.58 12.63 7.34 11.49 37.85 19.65 13.87 - - 11.49 29.52 19.75 10.14 -6.58 23.44 4.04 21.03 - - - - - CLGP064I - - - - Mackenzie Investments Monthly profile
Add GWL Equity Index 100/100 (PS1) 05/12/2026 31.72 0.14 Canadian equity 3.58 6.29 12.03 6.96 8.55 36.35 18.35 12.63 9.80 - 8.55 28.11 18.43 8.96 -7.59 22.10 2.90 19.72 -11.19 6.31 17.91 12/31/2022 2.61 CLGO064I CLGO064J CLGO064L - - Mackenzie Investments Monthly profile
Add GWL Equity Index 75/100 05/12/2026 35.73 0.15 Canadian equity 3.58 6.30 12.04 6.96 7.42 36.41 18.40 12.68 9.85 6.59 7.42 28.17 18.49 9.00 -7.55 22.16 2.95 19.77 -11.15 6.36 17.95 12/31/2024 2.60 CLGM064E CLGM064F CLGM064H - - Mackenzie Investments Monthly profile
Add GWL Equity Index 75/100 (P) 05/12/2026 23.68 0.10 Canadian equity 3.68 6.59 12.66 7.36 11.55 37.92 19.73 13.94 - - 11.55 29.60 19.82 10.21 -6.52 23.50 4.05 21.08 - - - - - CLGN064E - - - - Mackenzie Investments Monthly profile
Add GWL Equity Index 75/100 (PP) 05/12/2026 24.22 0.11 Canadian equity 3.70 6.66 12.82 7.45 11.86 38.31 20.05 14.25 - - 11.86 29.95 20.14 10.52 -6.27 23.86 4.38 21.44 - - - - - CLGP064E - - - - Mackenzie Investments Monthly profile
Add GWL Equity Index 75/100 (PS1) 05/12/2026 33.21 0.14 Canadian equity 3.61 6.37 12.20 7.06 8.91 36.80 18.74 13.00 10.16 - 8.91 28.54 18.83 9.31 -7.28 22.51 3.24 20.11 -10.89 6.66 18.29 12/31/2024 2.32 CLGO064E CLGO064F CLGO064H - - Mackenzie Investments Monthly profile
Add GWL Equity Index 75/75 05/12/2026 36.70 0.16 Canadian equity 3.59 6.34 12.13 7.02 7.59 36.62 18.58 12.85 10.02 6.76 7.59 28.37 18.67 9.17 -7.41 22.35 3.10 19.96 -11.01 6.52 18.13 12/31/2024 2.45 CLGM064A CLGM064B CLGM064D - - Mackenzie Investments Monthly profile
Add GWL Equity Index 75/75 (P) 05/12/2026 23.96 0.10 Canadian equity 3.69 6.63 12.74 7.41 11.71 38.12 19.89 14.10 - - 11.71 29.78 19.99 10.36 -6.39 23.69 4.24 21.27 - - - - - CLGN064A - - - - Mackenzie Investments Monthly profile
Add GWL Equity Index 75/75 (PP) 05/12/2026 24.70 0.11 Canadian equity 3.72 6.72 12.94 7.53 12.15 38.61 20.32 14.50 - - 12.15 30.24 20.42 10.75 -6.06 24.12 4.60 22.05 - - - - - CLGP064A - - - - Mackenzie Investments Monthly profile
Add GWL Equity Index 75/75 (PS1) 05/12/2026 34.24 0.15 Canadian equity 3.62 6.43 12.32 7.14 9.15 37.10 19.00 13.25 10.40 - 9.15 28.82 19.09 9.55 -7.08 22.77 3.47 20.37 -10.70 6.89 18.54 12/31/2024 2.09 CLGO064A CLGO064B CLGO064D - - Mackenzie Investments Monthly profile
Add GWL Equity Index DSC 05/12/2026 1,070.91 4.64 Canadian equity 3.59 6.34 12.13 7.02 6.63 36.62 18.58 12.85 10.02 6.76 6.63 28.37 18.67 9.17 -7.41 22.35 3.10 19.96 -11.01 6.52 18.13 12/31/2024 2.45 - CLGTJ064 - - - Mackenzie Investments Monthly profile
Add GWL Equity Index NL 05/12/2026 1,018.06 4.41 Canadian equity 3.59 6.34 12.13 7.02 7.06 36.62 18.58 12.85 9.98 6.67 7.06 28.37 18.67 9.17 -7.41 22.35 3.10 19.96 -10.95 6.29 17.88 12/31/2024 2.45 - - - CLGTO064 - Mackenzie Investments Monthly profile
Add GWL Equity/Bond 100/100 05/12/2026 24.37 0.01 Balanced 1.91 -1.59 -3.63 -2.86 5.19 -0.71 3.48 3.90 4.54 4.66 5.19 2.40 9.10 7.86 -6.94 13.90 4.42 12.92 -5.84 6.87 3.93 12/31/2024 2.84 CLGM045I CLGM045J CLGM045L - - Mackenzie Investments Monthly profile
Add GWL Equity/Bond 100/100 (P) 05/12/2026 14.66 0.01 Balanced 2.00 -1.33 -3.11 -2.51 5.05 0.37 4.61 5.03 - - 5.05 3.52 10.30 9.02 -5.93 15.15 5.56 14.14 - - - - - CLGN045I - - - - Mackenzie Investments Monthly profile
Add GWL Equity/Bond 100/100 (PP) 05/12/2026 15.05 0.01 Balanced 2.03 -1.24 -2.95 -2.40 5.40 0.71 4.97 5.39 - - 5.40 3.87 10.68 9.39 -5.61 15.52 5.91 14.53 - - - - - CLGP045I - - - - Mackenzie Investments Monthly profile
Add GWL Equity/Bond 100/100 (PS1) 05/12/2026 21.87 0.01 Balanced 1.94 -1.51 -3.47 -2.75 5.78 -0.38 3.83 4.25 4.89 - 5.78 2.75 9.47 8.21 -6.63 14.28 4.76 13.31 -5.52 7.20 4.28 12/31/2024 2.50 CLGO045I CLGO045J CLGO045L - - Mackenzie Investments Monthly profile
Add GWL Equity/Bond 75/100 05/12/2026 25.06 0.01 Balanced 1.92 -1.55 -3.56 -2.81 5.61 -0.56 3.64 4.06 4.70 4.83 5.61 2.56 9.27 8.02 -6.80 14.07 4.58 13.09 -5.69 7.03 4.08 12/31/2024 2.69 CLGM045E CLGM045F CLGM045H - CLGR045E Mackenzie Investments Monthly profile
Add GWL Equity/Bond 75/100 (P) 05/12/2026 14.84 0.01 Balanced 2.01 -1.29 -3.04 -2.46 5.21 0.53 4.78 5.19 - - 5.21 3.68 10.47 9.19 -5.79 15.32 5.72 14.32 - - - - - CLGN045E - - - - Mackenzie Investments Monthly profile
Add GWL Equity/Bond 75/100 (PP) 05/12/2026 15.31 0.01 Balanced 2.05 -1.19 -2.85 -2.33 5.63 0.93 5.20 5.62 - - 5.63 4.10 10.92 9.63 -5.41 15.78 6.14 14.78 - - - - - CLGP045E - - - - Mackenzie Investments Monthly profile
Add GWL Equity/Bond 75/100 (PS1) 05/12/2026 22.55 0.01 Balanced 1.96 -1.45 -3.37 -2.68 6.01 -0.16 4.06 4.48 5.12 - 6.01 2.97 9.71 8.45 -6.43 14.53 5.00 13.54 -5.31 7.46 4.50 12/31/2024 2.28 CLGO045E CLGO045F CLGO045H - - Mackenzie Investments Monthly profile
Add GWL Equity/Bond 75/75 05/12/2026 25.52 0.01 Balanced 1.94 -1.51 -3.48 -2.76 5.47 -0.40 3.81 4.23 4.85 4.95 5.47 2.73 9.45 8.19 -6.65 14.26 4.75 13.27 -5.57 7.09 4.14 12/31/2024 2.52 CLGM045A CLGM045B CLGM045D - - Mackenzie Investments Monthly profile
Add GWL Equity/Bond 75/75 (P) 05/12/2026 15.03 0.01 Balanced 2.03 -1.25 -2.96 -2.41 5.38 0.69 4.95 5.37 - - 5.38 3.85 10.66 9.37 -5.64 15.50 5.89 14.51 - - - - - CLGN045A - - - - Mackenzie Investments Monthly profile
Add GWL Equity/Bond 75/75 (PP) 05/12/2026 15.51 0.01 Balanced 2.06 -1.15 -2.77 -2.28 5.80 1.09 5.37 5.79 - - 5.80 4.27 11.10 9.80 -5.26 15.96 6.32 14.97 - - - - - CLGP045A - - - - Mackenzie Investments Monthly profile
Add GWL Equity/Bond 75/75 (PS1) 05/12/2026 23.07 0.01 Balanced 1.97 -1.42 -3.29 -2.63 6.19 0.00 4.23 4.65 5.29 - 6.19 3.14 9.89 8.63 -6.28 14.72 5.17 13.73 -5.16 7.63 4.67 12/31/2024 2.12 CLGO045A CLGO045B CLGO045D - - Mackenzie Investments Monthly profile
Add GWL Equity/Bond DSC 05/12/2026 791.81 0.39 Balanced 1.94 -1.51 -3.48 -2.76 4.70 -0.40 3.81 4.23 4.85 4.96 4.70 2.73 9.45 8.19 -6.65 14.26 4.75 13.27 -5.57 7.09 4.14 12/31/2024 2.52 - CLGTJ045 - - - Mackenzie Investments Monthly profile
Add GWL Equity/Bond NL 05/12/2026 752.29 0.37 Balanced 1.94 -1.51 -3.48 -2.76 5.45 -0.40 3.81 4.23 4.82 4.86 5.45 2.73 9.45 8.19 -6.65 14.26 4.75 13.27 -5.51 6.85 3.92 12/31/2024 2.52 - - - CLGTO045 - Mackenzie Investments Monthly profile
Add GWL European Equity 100/100 05/12/2026 23.47 -0.09 Specialty 2.32 -2.80 1.47 0.60 4.67 9.55 9.41 5.59 3.66 4.84 4.67 14.25 12.77 14.35 -15.83 9.95 -10.32 9.64 -7.64 10.84 -4.23 12/31/2024 3.42 CLGM089I CLGM089J CLGM089L - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 100/100 (P) 05/12/2026 13.05 -0.05 Specialty 2.42 -2.53 2.04 0.97 3.43 10.79 10.64 6.77 - - 3.43 15.54 14.05 15.62 -14.90 11.18 -9.30 10.89 - - - - - CLGN089I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 100/100 (PP) 05/12/2026 13.25 -0.05 Specialty 2.43 -2.49 2.13 1.03 3.63 10.99 10.85 6.97 - - 3.63 15.75 14.26 15.85 -14.73 11.39 -9.14 11.10 - - - - - CLGP089I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 100/100 (PS1) 05/12/2026 25.32 -0.09 Specialty 2.34 -2.76 1.56 0.66 6.86 9.76 9.62 5.79 3.91 - 6.86 14.47 12.99 14.57 -15.67 10.16 -10.15 9.85 -7.38 11.31 -3.83 12/31/2021 3.24 CLGO089I CLGO089J CLGO089L - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 100/100 (PS2) 05/12/2026 39.74 -0.14 Specialty 2.61 -1.98 3.21 1.74 10.36 13.37 13.23 9.26 7.32 - 10.36 18.23 16.71 18.31 -12.92 13.79 -7.20 13.50 -4.28 14.94 -0.71 - - CLGQ089I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 75/100 05/12/2026 24.87 -0.09 Specialty 2.35 -2.74 1.61 0.69 5.03 9.86 9.72 5.88 3.98 5.19 5.03 14.57 13.09 14.67 -15.59 10.26 -10.07 9.95 -7.33 11.30 -3.84 12/31/2024 3.14 CLGM089E CLGM089F CLGM089H - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 75/100 (P) 05/12/2026 13.35 -0.05 Specialty 2.44 -2.46 2.18 1.07 3.73 11.11 10.95 7.07 - - 3.73 15.87 14.36 15.94 -14.65 11.50 -9.04 11.21 - - - - - CLGN089E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 75/100 (PP) 05/12/2026 13.72 -0.05 Specialty 2.47 -2.38 2.35 1.18 4.09 11.49 11.35 7.45 - - 4.09 16.27 14.78 16.36 -14.35 11.89 -8.74 11.59 - - - - - CLGP089E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 75/100 (PS1) 05/12/2026 26.95 -0.10 Specialty 2.38 -2.65 1.79 0.81 7.34 10.25 10.11 6.26 4.37 - 7.34 14.98 13.50 15.08 -15.29 10.65 -9.74 10.35 -6.96 11.81 -3.41 12/31/2024 2.78 CLGO089E CLGO089F CLGO089H - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 75/100 (PS2) 05/12/2026 39.76 -0.14 Specialty 2.61 -1.98 3.21 1.74 10.36 13.37 13.23 9.26 7.33 - 10.36 18.23 16.72 18.31 -12.91 13.78 -7.18 13.50 -4.29 14.95 -0.71 - - CLGQ089E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 75/75 05/12/2026 25.91 -0.09 Specialty 2.37 -2.68 1.72 0.77 5.28 10.11 9.96 6.12 4.22 5.45 5.28 14.83 13.34 14.93 -15.41 10.51 -9.86 10.20 -7.11 11.60 -3.59 12/31/2024 2.92 CLGM089A CLGM089B CLGM089D - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 75/75 (P) 05/12/2026 13.72 -0.05 Specialty 2.46 -2.41 2.29 1.13 4.09 11.34 11.37 7.53 - - 4.09 16.12 14.86 16.65 -14.06 11.73 -8.85 11.44 - - - - - CLGN089A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 75/75 (PP) 05/12/2026 14.05 -0.05 Specialty 2.50 -2.30 2.52 1.29 4.41 11.86 11.66 7.76 - - 4.41 16.64 15.10 16.61 -14.04 12.18 -8.42 11.97 - - - - - CLGP089A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 75/75 (PS1) 05/12/2026 28.23 -0.10 Specialty 2.40 -2.57 1.96 0.92 7.70 10.62 10.48 6.62 4.72 - 7.70 15.36 13.88 15.46 -15.01 11.02 -9.44 10.72 -6.65 12.18 -3.09 12/31/2024 2.45 CLGO089A CLGO089B CLGO089D - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL European Equity 75/75 (PS2) 05/12/2026 39.76 -0.14 Specialty 2.61 -1.98 3.21 1.74 10.36 13.37 13.23 9.26 7.32 - 10.36 18.23 16.72 18.31 -12.91 13.78 -7.18 13.50 -4.29 14.95 -0.71 - - CLGQ089A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 100/100 05/12/2026 28.67 -0.35 Specialty 11.74 5.59 11.30 13.51 5.42 37.86 15.07 3.76 7.17 5.22 5.42 18.78 14.27 -0.51 -13.25 -6.84 17.94 11.41 -10.90 26.97 -5.83 12/31/2024 3.59 CLGM090I CLGM090J CLGM090L - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 100/100 (P) 05/12/2026 16.70 -0.20 Specialty 11.84 5.88 11.91 13.92 5.94 39.39 16.35 4.92 - - 5.94 20.10 15.54 0.59 -12.28 -5.80 19.25 12.64 - - - - - CLGN090I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 100/100 (PP) 05/12/2026 16.95 -0.21 Specialty 11.86 5.93 12.01 13.99 6.14 39.65 16.57 5.11 - - 6.14 20.32 15.76 0.77 -12.12 -5.63 19.46 12.85 - - - - - CLGP090I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 100/100 (PS1) 05/12/2026 26.05 -0.32 Specialty 11.76 5.64 11.40 13.58 6.62 38.12 15.29 3.96 7.37 - 6.62 19.00 14.49 -0.33 -13.08 -6.67 18.16 11.62 -10.73 27.21 -5.66 - - CLGO090I CLGO090J CLGO090L - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 100/100 (PS2) 05/12/2026 42.44 -0.51 Specialty 12.07 6.54 13.30 14.87 10.41 42.92 19.29 7.57 11.10 - 10.41 23.13 18.48 3.11 -10.07 -3.42 22.27 15.50 -7.61 31.61 -2.39 - - CLGQ090I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 75/100 05/12/2026 30.72 -0.37 Specialty 11.77 5.68 11.48 13.63 5.85 38.32 15.46 4.11 7.53 5.64 5.85 19.18 14.65 -0.18 -12.96 -6.53 18.33 11.78 -10.60 27.39 -5.52 12/31/2024 3.26 CLGM090E CLGM090F CLGM090H - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 75/100 (P) 05/12/2026 17.14 -0.21 Specialty 11.87 5.96 12.09 14.05 6.29 39.85 16.74 5.26 - - 6.29 20.50 15.92 0.92 -12.00 -5.49 19.64 13.02 - - - - - CLGN090E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 75/100 (PP) 05/12/2026 17.54 -0.21 Specialty 11.90 6.04 12.26 14.16 6.61 40.26 17.08 5.57 - - 6.61 20.85 16.28 1.21 -11.73 -5.21 20.00 13.35 - - - - - CLGP090E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 75/100 (PS1) 05/12/2026 27.87 -0.34 Specialty 11.80 5.75 11.64 13.74 7.14 38.73 15.80 4.42 7.84 - 7.14 19.53 14.99 0.11 -12.70 -6.25 18.68 12.11 -10.33 27.77 -5.23 12/31/2024 2.97 CLGO090E CLGO090F CLGO090H - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 75/100 (PS2) 05/12/2026 42.43 -0.51 Specialty 12.07 6.54 13.31 14.87 10.41 42.92 19.29 7.57 11.10 - 10.41 23.13 18.48 3.11 -10.07 -3.42 22.26 15.49 -7.61 31.60 -2.40 - - CLGQ090E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 75/75 05/12/2026 31.56 -0.38 Specialty 11.79 5.73 11.60 13.72 6.02 38.63 15.71 4.34 7.76 5.82 6.02 19.44 14.91 0.04 -12.77 -6.32 18.59 12.02 -10.40 27.67 -5.31 12/31/2024 3.04 CLGM090A CLGM090B CLGM090D - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 75/75 (P) 05/12/2026 17.44 -0.21 Specialty 11.89 6.02 12.21 14.13 6.52 40.16 16.99 5.49 - - 6.52 20.76 16.18 1.14 -11.81 -5.28 19.91 13.26 - - - - - CLGN090A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 75/75 (PP) 05/12/2026 18.16 -0.22 Specialty 11.94 6.16 12.50 14.33 7.08 40.89 17.60 6.04 - - 7.08 21.39 16.78 1.65 -11.33 -4.79 20.53 13.85 - - - - - CLGP090A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 75/75 (PS1) 05/12/2026 29.63 -0.36 Specialty 11.84 5.87 11.89 13.91 7.61 39.34 16.31 4.88 8.32 - 7.61 20.06 15.50 0.55 -12.32 -5.84 19.21 12.60 -9.93 28.33 -4.82 12/31/2024 2.53 CLGO090A CLGO090B CLGO090D - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Far East Equity 75/75 (PS2) 05/12/2026 42.44 -0.51 Specialty 12.07 6.54 13.31 14.87 10.41 42.92 19.29 7.57 11.10 - 10.41 23.13 18.48 3.11 -10.07 -3.42 22.26 15.49 -7.61 31.60 -2.40 - - CLGQ090A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Fidelity Balanced Income 100/100 05/12/2026 22.11 -0.01 Portfolio solution 2.62 2.29 3.26 2.89 4.87 13.41 8.78 5.16 4.99 4.68 4.87 9.88 11.08 8.09 -11.44 8.17 7.06 12.81 -4.70 4.23 3.67 12/31/2024 3.22 CLGM016I CLGM016J CLGM016L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Balanced Income 100/100 (P) 05/12/2026 16.16 -0.01 Portfolio solution 2.71 2.57 3.83 3.26 6.26 14.68 9.99 6.33 - - 6.26 11.11 12.33 9.29 -10.46 9.37 8.25 14.07 - - - - - CLGN016I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Balanced Income 100/100 (PP) 05/12/2026 16.91 -0.01 Portfolio solution 2.76 2.72 4.13 3.46 6.87 15.34 10.63 6.95 - - 6.87 11.75 12.98 9.93 -9.94 10.01 8.86 14.72 - - - - - CLGP016I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Balanced Income 100/100 (PS1) 05/12/2026 22.52 -0.01 Portfolio solution 2.67 2.44 3.56 3.08 5.94 14.07 9.41 5.77 5.59 - 5.94 10.51 11.73 8.71 -10.93 8.79 7.67 13.46 -4.15 4.83 4.22 12/31/2024 2.65 CLGO016I CLGO016J CLGO016L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Balanced Income 75/100 05/12/2026 22.73 -0.01 Portfolio solution 2.63 2.33 3.34 2.94 5.04 13.59 8.95 5.32 5.15 4.85 5.04 10.05 11.25 8.26 -11.31 8.34 7.23 12.99 -4.55 4.40 3.83 12/31/2024 3.07 CLGM016E CLGM016F CLGM016H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Balanced Income 75/100 (P) 05/12/2026 16.36 -0.01 Portfolio solution 2.73 2.61 3.91 3.32 6.42 14.85 10.17 6.50 - - 6.42 11.28 12.50 9.47 -10.32 9.54 8.41 14.24 - - - - - CLGN016E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Balanced Income 75/100 (PP) 05/12/2026 17.13 -0.01 Portfolio solution 2.78 2.76 4.21 3.51 7.05 15.53 10.82 7.12 - - 7.05 11.93 13.17 10.11 -9.80 10.18 9.05 14.92 - - - - - CLGP016E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Balanced Income 75/100 (PS1) 05/12/2026 23.05 -0.01 Portfolio solution 2.68 2.48 3.64 3.14 6.12 14.26 9.59 5.94 5.77 - 6.12 10.70 11.91 8.90 -10.79 8.97 7.85 13.65 -3.99 5.00 4.43 12/31/2024 2.48 CLGO016E CLGO016F CLGO016H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Balanced Income 75/75 05/12/2026 22.89 -0.01 Portfolio solution 2.64 2.35 3.37 2.96 5.09 13.65 9.01 5.38 5.21 4.90 5.09 10.11 11.32 8.32 -11.26 8.40 7.28 13.05 -4.50 4.45 3.89 12/31/2024 3.01 CLGM016A CLGM016B CLGM016D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Balanced Income 75/75 (P) 05/12/2026 16.43 -0.01 Portfolio solution 2.73 2.63 3.94 3.33 6.48 14.92 10.23 6.56 - - 6.48 11.34 12.57 9.53 -10.27 9.60 8.46 14.30 - - - - - CLGN016A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Balanced Income 75/75 (PP) 05/12/2026 17.21 -0.01 Portfolio solution 2.78 2.78 4.24 3.53 7.11 15.59 10.88 7.19 - - 7.11 11.99 13.23 10.17 -9.74 10.25 9.12 14.97 - - - - - CLGP016A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Balanced Income 75/75 (PS1) 05/12/2026 23.23 -0.01 Portfolio solution 2.69 2.49 3.67 3.16 6.18 14.32 9.65 6.00 5.82 - 6.18 10.76 11.98 8.96 -10.74 9.03 7.91 13.71 -3.94 5.06 4.49 12/31/2024 2.42 CLGO016A CLGO016B CLGO016D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Growth 100/100 05/12/2026 19.54 -0.02 Portfolio solution 2.13 1.70 2.27 2.24 4.10 10.82 7.32 3.86 3.95 3.89 4.10 8.19 9.33 7.31 -11.99 5.68 7.14 11.26 -4.15 3.47 2.87 12/31/2024 3.19 CLGM017I CLGM017J CLGM017L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Growth 100/100 (P) 05/12/2026 14.94 -0.01 Portfolio solution 2.23 1.98 2.84 2.62 5.21 12.06 8.52 5.03 - - 5.21 9.40 10.57 8.51 -11.00 6.86 8.34 12.50 - - - - - CLGN017I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Growth 100/100 (PP) 05/12/2026 15.65 -0.01 Portfolio solution 2.28 2.13 3.13 2.82 5.84 12.72 9.16 5.65 - - 5.84 10.04 11.22 9.16 -10.47 7.50 8.98 13.16 - - - - - CLGP017I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Growth 100/100 (PS1) 05/12/2026 19.67 -0.02 Portfolio solution 2.18 1.85 2.57 2.44 4.93 11.47 7.95 4.48 4.57 - 4.93 8.83 9.98 7.95 -11.47 6.31 7.78 11.91 -3.58 4.08 3.47 12/31/2024 2.60 CLGO017I CLGO017J CLGO017L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Growth 75/100 05/12/2026 20.05 -0.02 Portfolio solution 2.15 1.74 2.35 2.30 4.26 11.00 7.50 4.04 4.12 4.06 4.26 8.37 9.51 7.49 -11.84 5.85 7.32 11.44 -3.99 3.64 3.04 12/31/2024 3.03 CLGM017E CLGM017F CLGM017H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Growth 75/100 (P) 05/12/2026 15.14 -0.01 Portfolio solution 2.24 2.02 2.92 2.67 5.39 12.24 8.71 5.21 - - 5.39 9.58 10.75 8.70 -10.85 7.05 8.52 12.69 - - - - - CLGN017E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Growth 75/100 (PP) 05/12/2026 15.86 -0.01 Portfolio solution 2.29 2.17 3.22 2.87 6.01 12.90 9.34 5.83 - - 6.01 10.22 11.40 9.33 -10.32 7.68 9.16 13.35 - - - - - CLGP017E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Growth 75/100 (PS1) 05/12/2026 20.14 -0.02 Portfolio solution 2.20 1.89 2.65 2.50 5.11 11.66 8.13 4.65 4.74 - 5.11 9.01 10.16 8.13 -11.32 6.48 7.95 12.10 -3.40 4.27 3.65 12/31/2024 2.43 CLGO017E CLGO017F CLGO017H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Growth 75/75 05/12/2026 20.17 -0.02 Portfolio solution 2.15 1.76 2.38 2.31 4.30 11.05 7.54 4.08 4.17 4.10 4.30 8.42 9.56 7.54 -11.80 5.90 7.37 11.49 -3.94 3.69 3.09 12/31/2024 2.98 CLGM017A CLGM017B CLGM017D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Growth 75/75 (P) 05/12/2026 15.20 -0.01 Portfolio solution 2.24 2.03 2.94 2.69 5.44 12.29 8.75 5.25 - - 5.44 9.62 10.79 8.75 -10.81 7.10 8.57 12.79 - - - - - CLGN017A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Growth 75/75 (PP) 05/12/2026 15.96 -0.01 Portfolio solution 2.31 2.23 3.34 2.95 6.10 13.16 9.47 5.93 - - 6.10 10.42 11.47 9.40 -10.26 7.74 9.22 13.42 - - - - - CLGP017A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Growth 75/75 (PS1) 05/12/2026 20.36 -0.02 Portfolio solution 2.20 1.91 2.68 2.52 5.19 11.72 8.19 4.71 4.80 - 5.19 9.07 10.23 8.19 -11.27 6.54 8.01 12.16 -3.36 4.31 4.09 12/31/2024 2.38 CLGO017A CLGO017B CLGO017D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Income 100/100 05/12/2026 17.59 -0.02 Portfolio solution 1.67 1.14 1.37 1.65 3.45 8.12 5.85 2.69 3.03 3.24 3.45 6.26 7.67 6.70 -12.26 3.48 6.90 9.95 -3.39 2.91 2.28 12/31/2024 3.06 CLGM018I CLGM018J CLGM018L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Income 100/100 (P) 05/12/2026 13.90 -0.02 Portfolio solution 1.76 1.42 1.94 2.03 4.26 9.35 7.06 3.86 - - 4.26 7.48 8.91 7.92 -11.26 4.65 8.09 11.16 - - - - - CLGN018I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Income 100/100 (PP) 05/12/2026 14.56 -0.02 Portfolio solution 1.81 1.57 2.24 2.23 4.87 10.00 7.70 4.47 - - 4.87 8.11 9.56 8.56 -10.73 5.26 8.72 11.81 - - - - - CLGP018I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Income 100/100 (PS1) 05/12/2026 17.46 -0.02 Portfolio solution 1.71 1.29 1.66 1.85 4.05 8.76 6.48 3.29 3.63 - 4.05 6.89 8.31 7.33 -11.74 4.08 7.52 10.58 -2.82 3.50 2.83 12/31/2024 2.47 CLGO018I CLGO018J CLGO018L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Income 75/100 05/12/2026 18.05 -0.02 Portfolio solution 1.68 1.18 1.45 1.71 3.61 8.29 6.02 2.85 3.19 3.40 3.61 6.43 7.85 6.88 -12.12 3.64 7.06 10.12 -3.24 3.07 2.44 12/31/2024 2.90 CLGM018E CLGM018F CLGM018H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Income 75/100 (P) 05/12/2026 14.08 -0.02 Portfolio solution 1.77 1.46 2.02 2.09 4.43 9.53 7.24 4.03 - - 4.43 7.65 9.09 8.10 -11.12 4.81 8.26 11.35 - - - - - CLGN018E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Income 75/100 (PP) 05/12/2026 14.75 -0.02 Portfolio solution 1.82 1.61 2.33 2.29 5.05 10.20 7.89 4.65 - - 5.05 8.31 9.75 8.75 -10.59 5.43 8.89 11.98 - - - - - CLGP018E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Income 75/100 (PS1) 05/12/2026 17.87 -0.02 Portfolio solution 1.73 1.33 1.75 1.91 4.22 8.94 6.66 3.47 3.81 - 4.22 7.08 8.50 7.52 -11.59 4.26 7.69 10.76 -2.67 3.67 3.00 12/31/2024 2.30 CLGO018E CLGO018F CLGO018H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Income 75/75 05/12/2026 18.20 -0.02 Portfolio solution 1.68 1.19 1.47 1.73 3.66 8.35 6.08 2.91 3.25 3.45 3.66 6.49 7.91 6.94 -12.07 3.70 7.12 10.18 -3.18 3.12 2.49 12/31/2024 2.85 CLGM018A CLGM018B CLGM018D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Income 75/75 (P) 05/12/2026 14.14 -0.02 Portfolio solution 1.78 1.48 2.05 2.11 4.48 9.59 7.29 4.08 - - 4.48 7.71 9.14 8.16 -11.06 4.87 8.31 11.40 - - - - - CLGN018A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Income 75/75 (PP) 05/12/2026 14.81 -0.02 Portfolio solution 1.83 1.63 2.35 2.31 5.11 10.25 7.94 4.71 - - 5.11 8.37 9.81 8.80 -10.53 5.50 8.95 12.05 - - - - - CLGP018A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Fidelity Moderate Income 75/75 (PS1) 05/12/2026 18.01 -0.02 Portfolio solution 1.73 1.34 1.78 1.93 4.28 9.01 6.72 3.53 3.86 - 4.28 7.14 8.56 7.58 -11.54 4.32 7.75 10.82 -2.61 3.72 3.06 12/31/2024 2.24 CLGO018A CLGO018B CLGO018D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Floating Rate Income 100/100 05/12/2026 12.92 0.00 Fixed income 0.90 1.07 0.54 0.94 2.27 2.68 4.37 2.17 2.78 - 2.27 -0.06 7.33 9.18 -6.78 2.92 -2.44 3.42 1.06 5.24 9.12 12/31/2024 2.53 CLGM033I CLGM033J CLGM033L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Floating Rate Income 100/100 (P) 05/12/2026 11.73 0.00 Fixed income 0.94 1.21 0.82 1.13 2.03 3.27 4.96 2.74 - - 2.03 0.52 7.94 9.77 -6.27 3.49 -1.89 4.00 - - - - - CLGN033I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Floating Rate Income 100/100 (PP) 05/12/2026 12.27 0.00 Fixed income 0.99 1.35 1.11 1.32 2.62 3.86 5.56 3.33 - - 2.62 1.10 8.56 10.39 -5.73 4.09 -1.31 4.61 - - - - - CLGP033I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Floating Rate Income 100/100 (PS1) 05/12/2026 13.80 0.00 Fixed income 0.95 1.22 0.85 1.14 2.87 3.30 4.99 2.76 3.38 - 2.87 0.55 7.96 9.80 -6.25 3.51 -1.86 4.04 1.67 5.86 9.75 12/31/2022 1.98 CLGO033I CLGO033J CLGO033L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Floating Rate Income 75/100 05/12/2026 13.17 0.00 Fixed income 0.91 1.12 0.64 1.01 2.44 2.88 4.56 2.35 2.95 - 2.44 0.14 7.53 9.35 -6.63 3.09 -2.28 3.59 1.23 5.41 9.30 12/31/2024 2.36 CLGM033E CLGM033F CLGM033H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Floating Rate Income 75/100 (P) 05/12/2026 11.88 0.00 Fixed income 0.96 1.25 0.91 1.19 2.20 3.44 5.13 2.91 - - 2.20 0.69 8.12 9.95 -6.12 3.66 -1.74 4.16 - - - - - CLGN033E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Floating Rate Income 75/100 (PP) 05/12/2026 12.43 0.00 Fixed income 1.01 1.40 1.20 1.38 2.79 4.03 5.73 3.49 - - 2.79 1.26 8.74 10.57 -5.58 4.26 -1.15 4.79 - - - - - CLGP033E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Floating Rate Income 75/100 (PS1) 05/12/2026 14.06 0.00 Fixed income 0.96 1.26 0.92 1.20 3.04 3.47 5.16 2.93 3.55 - 3.04 0.71 8.14 9.97 -6.10 3.68 -1.69 4.21 1.84 6.03 9.93 12/31/2024 1.80 CLGO033E CLGO033F CLGO033H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Floating Rate Income 75/75 05/12/2026 13.32 0.00 Fixed income 0.92 1.14 0.69 1.04 2.55 2.99 4.67 2.46 3.07 - 2.55 0.25 7.64 9.47 -6.53 3.21 -2.17 3.70 1.34 5.52 9.42 12/31/2024 2.25 CLGM033A CLGM033B CLGM033D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Floating Rate Income 75/75 (P) 05/12/2026 11.98 0.00 Fixed income 0.97 1.28 0.96 1.22 2.31 3.55 5.25 3.02 - - 2.31 0.80 8.24 10.07 -6.01 3.77 -1.63 4.28 - - - - - CLGN033A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Floating Rate Income 75/75 (PP) 05/12/2026 12.54 0.00 Fixed income 1.02 1.42 1.25 1.41 2.90 4.15 5.85 3.61 - - 2.90 1.37 8.86 10.69 -5.48 4.37 -1.04 4.90 - - - - - CLGP033A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Floating Rate Income 75/75 (PS1) 05/12/2026 14.23 0.00 Fixed income 0.97 1.29 0.98 1.23 3.15 3.58 5.27 3.04 3.67 - 3.15 0.82 8.26 10.09 -5.99 3.80 -1.59 4.32 1.95 6.15 10.05 12/31/2024 1.69 CLGO033A CLGO033B CLGO033D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Foreign Equity DSC 05/12/2026 509.91 1.17 Foreign equity 5.09 0.21 -0.04 0.25 3.76 11.79 9.82 6.60 6.15 7.63 3.76 7.19 21.66 9.38 -9.09 7.25 12.66 6.64 2.59 1.27 -0.55 12/31/2024 2.94 - CLGTJ081 - - - Mackenzie Investments Monthly profile
Add GWL Foreign Equity NL 05/12/2026 491.18 1.13 Foreign equity 5.09 0.21 -0.04 0.25 3.61 11.79 9.82 6.60 6.12 7.53 3.61 7.19 21.66 9.38 -9.09 7.25 12.66 6.64 2.67 1.04 -0.77 12/31/2024 2.94 - - - CLGTO081 - Mackenzie Investments Monthly profile
Add GWL Foreign Equity 100/100 05/12/2026 31.34 0.07 Foreign equity 5.04 0.04 -0.38 0.02 6.83 11.02 9.06 5.87 5.42 6.88 6.83 6.45 20.82 8.64 -9.71 6.52 11.89 5.91 1.89 0.57 -1.23 12/31/2024 3.62 CLGM081I CLGM081J CLGM081L - - Mackenzie Investments Monthly profile
Add GWL Foreign Equity 100/100 (P) 05/12/2026 17.34 0.04 Foreign equity 5.13 0.31 0.17 0.39 7.31 12.26 10.28 7.05 - - 7.31 7.64 22.17 9.85 -8.71 7.70 13.01 7.08 - - - - - CLGN081I - - - - Mackenzie Investments Monthly profile
Add GWL Foreign Equity 100/100 (PP) 05/12/2026 17.79 0.04 Foreign equity 5.16 0.39 0.33 0.49 7.66 12.61 10.63 7.38 - - 7.66 7.98 22.56 10.19 -8.42 8.04 13.40 7.45 - - - - - CLGP081I - - - - Mackenzie Investments Monthly profile
Add GWL Foreign Equity 100/100 (PS1) 05/12/2026 27.71 0.06 Foreign equity 5.06 0.11 -0.22 0.13 7.58 11.37 9.40 6.20 5.77 - 7.58 6.79 21.20 8.97 -9.43 6.85 12.28 6.28 2.25 0.93 -0.89 12/31/2024 3.31 CLGO081I CLGO081J CLGO081L - - Mackenzie Investments Monthly profile
Add GWL Foreign Equity 75/100 05/12/2026 34.39 0.08 Foreign equity 5.08 0.17 -0.12 0.20 7.42 11.60 9.63 6.42 5.97 7.45 7.42 7.01 21.45 9.20 -9.24 7.07 12.47 6.46 2.42 1.10 -0.72 12/31/2024 3.10 CLGM081E CLGM081F CLGM081H - - Mackenzie Investments Monthly profile
Add GWL Foreign Equity 75/100 (P) 05/12/2026 18.08 0.04 Foreign equity 5.18 0.44 0.43 0.56 7.89 12.85 10.86 7.61 - - 7.89 8.20 22.81 10.42 -8.23 8.26 13.73 7.64 - - - - - CLGN081E - - - - Mackenzie Investments Monthly profile
Add GWL Foreign Equity 75/100 (PP) 05/12/2026 18.44 0.04 Foreign equity 5.20 0.50 0.55 0.64 8.15 13.11 11.12 7.86 - - 8.15 8.46 23.10 10.67 -8.02 8.52 14.03 7.94 - - - - - CLGP081E - - - - Mackenzie Investments Monthly profile
Add GWL Foreign Equity 75/100 (PS1) 05/12/2026 29.48 0.07 Foreign equity 5.10 0.22 0.00 0.27 8.06 11.86 9.89 6.67 6.24 - 8.06 7.26 21.74 9.46 -9.03 7.32 12.78 6.75 2.70 1.37 -0.45 12/31/2024 2.87 CLGO081E CLGO081F CLGO081H - - Mackenzie Investments Monthly profile
Add GWL Foreign Equity 75/75 05/12/2026 35.29 0.08 Foreign equity 5.09 0.21 -0.04 0.25 7.59 11.79 9.82 6.60 6.15 7.64 7.59 7.19 21.66 9.38 -9.09 7.25 12.66 6.64 2.59 1.27 -0.55 12/31/2024 2.94 CLGM081A CLGM081B CLGM081D - - Mackenzie Investments Monthly profile
Add GWL Foreign Equity 75/75 (P) 05/12/2026 18.32 0.04 Foreign equity 5.19 0.48 0.52 0.62 8.07 13.03 11.04 7.79 - - 8.07 8.38 23.02 10.60 -8.08 8.44 13.91 7.82 - - - - - CLGN081A - - - - Mackenzie Investments Monthly profile
Add GWL Foreign Equity 75/75 (PP) 05/12/2026 18.92 0.04 Foreign equity 5.22 0.58 0.72 0.75 8.51 13.49 11.49 8.22 - - 8.51 8.82 23.52 11.04 -7.71 8.88 14.41 8.30 - - - - - CLGP081A - - - - Mackenzie Investments Monthly profile
Add GWL Foreign Equity 75/75 (PS1) 05/12/2026 30.88 0.07 Foreign equity 5.13 0.31 0.16 0.38 8.42 12.24 10.26 7.03 6.59 - 8.42 7.62 22.15 9.82 -8.72 7.68 13.15 7.10 3.05 1.71 -0.12 12/31/2024 2.54 CLGO081A CLGO081B CLGO081D - - Mackenzie Investments Monthly profile
Add GWL Franklin Templeton Balanced Income 100/100 05/12/2026 21.62 0.00 Portfolio solution 2.31 1.90 2.90 2.30 4.73 13.48 7.94 4.96 4.40 4.47 4.73 9.98 9.37 8.28 -9.44 7.32 3.89 10.43 -6.09 3.67 6.98 12/31/2024 3.03 CLGM019I CLGM019J CLGM019L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Balanced Income 100/100 (P) 05/12/2026 15.20 0.00 Portfolio solution 2.40 2.17 3.45 2.66 5.42 14.70 9.11 6.10 - - 5.42 11.16 10.56 9.45 -8.47 8.48 5.03 11.63 - - - - - CLGN019I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Balanced Income 100/100 (PP) 05/12/2026 15.90 0.00 Portfolio solution 2.45 2.31 3.74 2.86 6.02 15.36 9.73 6.70 - - 6.02 11.79 11.19 10.07 -7.94 9.10 5.62 12.28 - - - - - CLGP019I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Balanced Income 100/100 (PS1) 05/12/2026 21.51 0.00 Portfolio solution 2.36 2.04 3.19 2.49 5.59 14.12 8.56 5.56 5.00 - 5.59 10.60 10.00 8.89 -8.93 7.93 4.49 11.07 -5.54 4.27 7.56 12/31/2024 2.47 CLGO019I CLGO019J CLGO019L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Balanced Income 75/100 05/12/2026 22.18 0.00 Portfolio solution 2.33 1.94 2.98 2.35 4.89 13.66 8.12 5.13 4.57 4.64 4.89 10.15 9.55 8.45 -9.30 7.49 4.06 10.61 -5.93 3.84 7.15 12/31/2024 2.87 CLGM019E CLGM019F CLGM019H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Balanced Income 75/100 (P) 05/12/2026 15.39 0.00 Portfolio solution 2.42 2.21 3.54 2.72 5.59 14.89 9.28 6.27 - - 5.59 11.34 10.73 9.61 -8.31 8.65 5.20 11.82 - - - - - CLGN019E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Balanced Income 75/100 (PP) 05/12/2026 16.10 0.00 Portfolio solution 2.46 2.35 3.82 2.91 6.19 15.53 9.90 6.87 - - 6.19 11.97 11.37 10.24 -7.80 9.28 5.79 12.46 - - - - - CLGP019E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Balanced Income 75/100 (PS1) 05/12/2026 22.00 0.00 Portfolio solution 2.37 2.08 3.27 2.55 5.76 14.31 8.73 5.73 5.17 - 5.76 10.78 10.18 9.07 -8.78 8.11 4.66 11.25 -5.39 4.44 7.73 12/31/2024 2.31 CLGO019E CLGO019F CLGO019H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Balanced Income 75/75 05/12/2026 22.30 0.00 Portfolio solution 2.33 1.95 3.01 2.37 4.92 13.72 8.17 5.19 4.63 4.68 4.92 10.21 9.61 8.51 -9.25 7.55 4.12 10.67 -5.88 3.90 7.21 12/31/2024 2.82 CLGM019A CLGM019B CLGM019D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Balanced Income 75/75 (P) 05/12/2026 15.46 0.00 Portfolio solution 2.42 2.22 3.56 2.73 5.65 14.95 9.34 6.33 - - 5.65 11.40 10.79 9.68 -8.27 8.72 5.25 11.87 - - - - - CLGN019A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Balanced Income 75/75 (PP) 05/12/2026 16.17 0.00 Portfolio solution 2.47 2.36 3.85 2.93 6.25 15.61 9.97 6.93 - - 6.25 12.04 11.43 10.30 -7.75 9.33 5.85 12.52 - - - - - CLGP019A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Balanced Income 75/75 (PS1) 05/12/2026 22.17 0.00 Portfolio solution 2.38 2.09 3.30 2.56 5.82 14.37 8.79 5.79 5.23 - 5.82 10.84 10.23 9.12 -8.73 8.17 4.72 11.31 -5.34 4.49 7.79 12/31/2024 2.25 CLGO019A CLGO019B CLGO019D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Growth 100/100 05/12/2026 19.44 -0.01 Portfolio solution 1.91 1.40 2.09 1.84 4.06 11.02 6.82 3.86 3.62 3.85 4.06 8.33 8.19 7.73 -10.28 5.14 4.53 9.42 -5.15 3.12 5.69 12/31/2024 2.93 CLGM020I CLGM020J CLGM020L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Growth 100/100 (P) 05/12/2026 14.35 -0.01 Portfolio solution 2.00 1.66 2.63 2.19 4.66 12.22 7.97 4.99 - - 4.66 9.50 9.38 8.89 -9.31 6.28 5.67 10.60 - - - - - CLGN020I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Growth 100/100 (PP) 05/12/2026 15.00 -0.01 Portfolio solution 2.05 1.81 2.93 2.39 5.26 12.85 8.59 5.58 - - 5.26 10.12 9.99 9.52 -8.79 6.89 6.26 11.24 - - - - - CLGP020I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Growth 100/100 (PS1) 05/12/2026 19.26 -0.01 Portfolio solution 1.96 1.54 2.38 2.03 4.77 11.65 7.43 4.46 4.21 - 4.77 8.95 8.81 8.35 -9.77 5.74 5.13 10.04 -4.60 3.71 6.26 12/31/2024 2.36 CLGO020I CLGO020J CLGO020L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Growth 75/100 05/12/2026 19.92 -0.01 Portfolio solution 1.92 1.43 2.17 1.89 4.22 11.19 6.98 4.02 3.78 4.00 4.22 8.50 8.36 7.90 -10.14 5.30 4.69 9.58 -5.00 3.28 5.85 12/31/2024 2.78 CLGM020E CLGM020F CLGM020H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Growth 75/100 (P) 05/12/2026 14.52 -0.01 Portfolio solution 2.01 1.70 2.72 2.25 4.82 12.39 8.14 5.14 - - 4.82 9.66 9.53 9.05 -9.17 6.44 5.82 10.76 - - - - - CLGN020E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Growth 75/100 (PP) 05/12/2026 15.19 -0.01 Portfolio solution 2.06 1.85 3.01 2.44 5.43 13.04 8.76 5.76 - - 5.43 10.30 10.17 9.69 -8.65 7.07 6.44 11.41 - - - - - CLGP020E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Growth 75/100 (PS1) 05/12/2026 19.70 -0.01 Portfolio solution 1.97 1.58 2.46 2.08 4.94 11.83 7.60 4.63 4.38 - 4.94 9.13 8.99 8.52 -9.62 5.91 5.30 10.22 -4.45 3.88 6.44 12/31/2024 2.20 CLGO020E CLGO020F CLGO020H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Growth 75/75 05/12/2026 19.99 -0.01 Portfolio solution 1.93 1.45 2.20 1.91 4.24 11.25 7.04 4.08 3.83 4.03 4.24 8.56 8.42 7.95 -10.10 5.36 4.74 9.64 -4.95 3.33 5.91 12/31/2024 2.73 CLGM020A CLGM020B CLGM020D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Growth 75/75 (P) 05/12/2026 14.58 -0.01 Portfolio solution 2.02 1.71 2.74 2.26 4.87 12.44 8.19 5.20 - - 4.87 9.72 9.60 9.12 -9.12 6.50 5.88 10.83 - - - - - CLGN020A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Growth 75/75 (PP) 05/12/2026 15.25 -0.01 Portfolio solution 2.07 1.86 3.04 2.46 5.48 13.10 8.82 5.81 - - 5.48 10.36 10.23 9.75 -8.59 7.12 6.49 11.46 - - - - - CLGP020A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Growth 75/75 (PS1) 05/12/2026 19.86 -0.01 Portfolio solution 1.98 1.59 2.49 2.10 5.00 11.89 7.66 4.68 4.44 - 5.00 9.18 9.05 8.58 -9.57 5.97 5.35 10.28 -4.40 3.93 6.52 12/31/2024 2.15 CLGO020A CLGO020B CLGO020D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Income 100/100 05/12/2026 17.27 -0.02 Portfolio solution 1.50 0.88 1.24 1.34 3.33 8.47 5.61 2.70 2.77 3.15 3.33 6.60 6.97 7.12 -11.16 2.90 5.12 8.54 -4.39 2.46 4.45 12/31/2024 2.88 CLGM021I CLGM021J CLGM021L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Income 100/100 (P) 05/12/2026 13.49 -0.02 Portfolio solution 1.59 1.15 1.78 1.70 3.86 9.66 6.78 3.83 - - 3.86 7.77 8.16 8.30 -10.19 4.04 6.28 9.74 - - - - - CLGN021I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Income 100/100 (PP) 05/12/2026 14.12 -0.02 Portfolio solution 1.64 1.30 2.08 1.90 4.46 10.31 7.40 4.43 - - 4.46 8.40 8.79 8.92 -9.67 4.64 6.89 10.37 - - - - - CLGP021I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Income 100/100 (PS1) 05/12/2026 17.11 -0.02 Portfolio solution 1.55 1.02 1.53 1.53 3.89 9.11 6.23 3.30 3.37 - 3.89 7.22 7.60 7.74 -10.65 3.50 5.73 9.17 -3.83 3.05 5.01 12/31/2024 2.30 CLGO021I CLGO021J CLGO021L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Income 75/100 05/12/2026 17.68 -0.02 Portfolio solution 1.51 0.91 1.31 1.39 3.48 8.64 5.78 2.86 2.93 3.29 3.48 6.76 7.14 7.28 -11.02 3.06 5.28 8.71 -4.24 2.61 4.60 12/31/2024 2.73 CLGM021E CLGM021F CLGM021H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Income 75/100 (P) 05/12/2026 13.66 -0.02 Portfolio solution 1.60 1.19 1.87 1.75 4.02 9.84 6.94 3.99 - - 4.02 7.94 8.33 8.45 -10.05 4.20 6.44 9.91 - - - - - CLGN021E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Income 75/100 (PP) 05/12/2026 14.30 -0.02 Portfolio solution 1.65 1.34 2.16 1.95 4.64 10.49 7.58 4.60 - - 4.64 8.59 8.97 9.10 -9.52 4.80 7.08 10.56 - - - - - CLGP021E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Income 75/100 (PS1) 05/12/2026 17.51 -0.02 Portfolio solution 1.56 1.06 1.61 1.59 4.07 9.28 6.40 3.46 3.54 - 4.07 7.40 7.78 7.91 -10.50 3.67 5.90 9.35 -3.67 3.22 5.19 12/31/2024 2.14 CLGO021E CLGO021F CLGO021H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Income 75/75 05/12/2026 17.79 -0.02 Portfolio solution 1.51 0.93 1.34 1.41 3.52 8.70 5.84 2.91 2.99 3.33 3.52 6.82 7.20 7.34 -10.97 3.12 5.34 8.77 -4.19 2.67 4.66 12/31/2024 2.67 CLGM021A CLGM021B CLGM021D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Income 75/75 (P) 05/12/2026 13.71 -0.02 Portfolio solution 1.61 1.20 1.89 1.77 4.08 9.90 7.00 4.05 - - 4.08 8.00 8.39 8.52 -10.00 4.25 6.50 9.97 - - - - - CLGN021A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Income 75/75 (PP) 05/12/2026 14.36 -0.02 Portfolio solution 1.65 1.35 2.19 1.97 4.69 10.54 7.64 4.66 - - 4.69 8.64 9.03 9.15 -9.47 4.87 7.13 10.61 - - - - - CLGP021A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Franklin Templeton Moderate Income 75/75 (PS1) 05/12/2026 17.64 -0.02 Portfolio solution 1.56 1.08 1.64 1.60 4.12 9.34 6.47 3.52 3.60 - 4.12 7.46 7.84 7.98 -10.45 3.73 5.96 9.41 -3.62 3.28 5.24 12/31/2024 2.08 CLGO021A CLGO021B CLGO021D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global All Cap Equity 100/100 05/12/2026 38.83 -0.16 Foreign equity 4.25 -0.23 1.38 1.67 8.00 19.97 11.35 8.04 7.58 8.36 8.00 14.83 15.83 9.88 -10.09 18.00 0.04 10.39 -4.06 11.62 5.77 12/31/2024 3.30 CLGM074I CLGM074J CLGM074L - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 100/100 (P) 05/12/2026 17.78 -0.07 Foreign equity 4.34 0.04 1.94 2.04 7.55 21.31 12.59 9.24 - - 7.55 16.11 17.14 11.10 -9.09 19.31 1.15 11.62 - - - - - CLGN074I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 100/100 (PP) 05/12/2026 18.05 -0.07 Foreign equity 4.36 0.09 2.03 2.10 7.75 21.53 12.81 9.45 - - 7.75 16.32 17.36 11.31 -8.92 19.54 1.35 11.84 - - - - - CLGP074I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 100/100 (PS1) 05/12/2026 36.97 -0.15 Foreign equity 4.27 -0.18 1.48 1.73 9.76 20.19 11.56 8.24 7.81 - 9.76 15.04 16.05 10.09 -9.92 18.22 0.23 10.60 -3.83 11.98 6.11 12/31/2024 3.11 CLGO074I CLGO074J CLGO074L - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 100/100 (PS2) 05/12/2026 57.33 -0.23 Foreign equity 4.53 0.59 3.05 2.78 13.26 23.99 15.09 11.65 11.23 - 13.26 18.68 19.74 13.54 -7.09 21.94 3.39 14.09 -0.75 15.58 9.53 - - CLGQ074I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 75/100 05/12/2026 41.21 -0.17 Foreign equity 4.27 -0.16 1.52 1.76 8.38 20.30 11.66 8.34 7.90 8.72 8.38 15.15 16.16 10.19 -9.84 18.33 0.32 10.70 -3.76 12.03 6.16 12/31/2024 3.02 CLGM074E CLGM074F CLGM074H - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 75/100 (P) 05/12/2026 18.17 -0.07 Foreign equity 4.37 0.11 2.08 2.13 7.85 21.64 12.91 9.55 - - 7.85 16.43 17.46 11.41 -8.84 19.64 1.44 11.94 - - - - - CLGN074E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 75/100 (PP) 05/12/2026 18.60 -0.08 Foreign equity 4.39 0.19 2.23 2.23 8.17 22.01 13.25 9.87 - - 8.17 16.78 17.81 11.74 -8.57 20.00 1.74 12.27 - - - - - CLGP074E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 75/100 (PS1) 05/12/2026 39.17 -0.16 Foreign equity 4.30 -0.09 1.67 1.86 10.22 20.66 11.99 8.66 8.24 - 10.22 15.49 16.51 10.51 -9.57 18.68 0.62 11.03 -3.44 12.48 6.58 12/31/2024 2.72 CLGO074E CLGO074F CLGO074H - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 75/100 (PS2) 05/12/2026 57.32 -0.23 Foreign equity 4.53 0.59 3.05 2.78 13.26 23.99 15.09 11.65 11.23 - 13.26 18.68 19.74 13.54 -7.09 21.94 3.39 14.09 -0.75 15.58 9.53 - - CLGQ074E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 75/75 05/12/2026 42.20 -0.17 Foreign equity 4.29 -0.12 1.60 1.82 8.54 20.50 11.85 8.52 8.08 8.89 8.54 15.34 16.35 10.37 -9.69 18.52 0.49 10.88 -3.61 12.21 6.32 12/31/2024 2.85 CLGM074A CLGM074B CLGM074D - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 75/75 (P) 05/12/2026 18.41 -0.08 Foreign equity 4.38 0.15 2.17 2.19 8.03 21.85 13.10 9.73 - - 8.03 16.63 17.66 11.59 -8.69 19.84 1.61 12.12 - - - - - CLGN074A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 75/75 (PP) 05/12/2026 19.10 -0.08 Foreign equity 4.42 0.27 2.40 2.35 8.53 22.42 13.62 10.24 - - 8.53 17.17 18.21 12.11 -8.26 20.40 2.08 12.64 - - - - - CLGP074A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 75/75 (PS1) 05/12/2026 41.04 -0.17 Foreign equity 4.33 -0.01 1.84 1.97 10.58 21.06 12.37 9.02 8.61 - 10.58 15.88 16.90 10.88 -9.27 19.07 0.95 11.40 -3.11 12.86 6.94 12/31/2024 2.39 CLGO074A CLGO074B CLGO074D - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity 75/75 (PS2) 05/12/2026 57.33 -0.23 Foreign equity 4.53 0.59 3.05 2.78 13.26 23.99 15.09 11.65 11.23 - 13.26 18.68 19.74 13.54 -7.09 21.94 3.39 14.09 -0.75 15.58 9.53 - - CLGQ074A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 100/100 05/12/2026 31.98 0.00 Foreign equity 1.23 0.22 2.09 1.69 6.91 16.01 11.85 8.80 6.83 6.68 6.91 12.55 19.12 5.96 -4.81 13.10 -2.02 9.55 -0.95 5.71 -0.51 12/31/2024 3.40 CLGM076I CLGM076J CLGM076L - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 100/100 (P) 05/12/2026 17.32 0.00 Foreign equity 1.32 0.49 2.65 2.06 7.24 17.29 13.08 10.00 - - 7.24 13.78 20.44 7.13 -3.75 14.34 -0.94 10.74 - - - - - CLGN076I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 100/100 (PP) 05/12/2026 17.93 0.00 Foreign equity 1.36 0.60 2.88 2.21 7.71 17.80 13.58 10.48 - - 7.71 14.29 20.98 7.59 -3.34 14.84 -0.51 11.22 - - - - - CLGP076I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 100/100 (PS1) 05/12/2026 31.19 0.00 Foreign equity 1.27 0.32 2.32 1.84 8.46 16.52 12.34 9.27 7.30 - 8.46 13.04 19.65 6.43 -4.39 13.59 -1.59 10.03 -0.52 6.17 -0.07 12/31/2024 2.96 CLGO076I CLGO076J CLGO076L - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 100/100 (PS2) 05/12/2026 47.15 0.01 Foreign equity 1.51 1.06 3.83 2.83 11.71 20.01 15.72 12.55 10.52 - 11.71 16.43 23.26 9.61 -1.53 17.00 1.36 13.32 2.48 9.35 2.92 - - CLGQ076I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 75/100 05/12/2026 34.21 0.00 Foreign equity 1.26 0.31 2.28 1.81 7.34 16.44 12.27 9.20 7.23 7.10 7.34 12.97 19.57 6.36 -4.45 13.52 -1.65 9.96 -0.58 6.10 -0.13 12/31/2024 3.03 CLGM076E CLGM076F CLGM076H - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 75/100 (P) 05/12/2026 17.83 0.00 Foreign equity 1.35 0.58 2.84 2.18 7.64 17.73 13.51 10.41 - - 7.64 14.22 20.89 7.52 -3.41 14.77 -0.57 11.16 - - - - - CLGN076E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 75/100 (PP) 05/12/2026 18.39 0.00 Foreign equity 1.39 0.68 3.04 2.32 8.06 18.19 13.95 10.84 - - 8.06 14.66 21.37 7.95 -3.01 15.22 -0.18 11.60 - - - - - CLGP076E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 75/100 (PS1) 05/12/2026 32.66 0.00 Foreign equity 1.29 0.40 2.48 1.95 8.82 16.90 12.71 9.63 7.66 - 8.82 13.41 20.04 6.77 -4.08 13.97 -1.27 10.39 -0.19 6.52 0.26 12/31/2024 2.64 CLGO076E CLGO076F CLGO076H - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 75/100 (PS2) 05/12/2026 47.16 0.01 Foreign equity 1.51 1.06 3.83 2.83 11.71 20.01 15.72 12.55 10.52 - 11.71 16.43 23.26 9.61 -1.53 17.00 1.36 13.32 2.48 9.35 2.92 - - CLGQ076E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 75/75 05/12/2026 34.90 0.00 Foreign equity 1.27 0.35 2.36 1.86 7.47 16.62 12.44 9.37 7.39 7.23 7.47 13.14 19.75 6.52 -4.31 13.69 -1.50 10.12 -0.45 6.20 -0.04 12/31/2024 2.88 CLGM076A CLGM076B CLGM076D - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 75/75 (P) 05/12/2026 18.10 0.00 Foreign equity 1.36 0.62 2.92 2.23 7.84 17.91 13.68 10.58 - - 7.84 14.39 21.08 7.69 -3.26 14.95 -0.42 11.39 - - - - - CLGN076A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 75/75 (PP) 05/12/2026 18.71 0.00 Foreign equity 1.40 0.73 3.15 2.39 8.30 18.44 14.20 11.08 - - 8.30 14.91 21.64 8.18 -2.82 15.48 0.04 11.84 - - - - - CLGP076A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 75/75 (PS1) 05/12/2026 33.67 0.00 Foreign equity 1.31 0.46 2.59 2.02 9.06 17.16 12.96 9.87 7.89 - 9.06 13.66 20.31 7.01 -3.87 14.22 -1.05 10.63 0.03 6.75 0.48 12/31/2024 2.42 CLGO076A CLGO076B CLGO076D - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global All Cap Equity II 75/75 (PS2) 05/12/2026 47.16 0.01 Foreign equity 1.51 1.06 3.83 2.83 11.71 20.01 15.72 12.55 10.52 - 11.71 16.43 23.26 9.61 -1.53 17.00 1.36 13.32 2.48 9.35 2.92 - - CLGQ076A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Balanced 100/100 05/12/2026 25.94 0.03 Balanced 3.78 -0.17 -0.51 -0.13 5.93 8.73 7.55 4.47 5.03 6.16 5.93 5.70 16.66 8.34 -10.98 5.62 8.96 9.27 -1.02 4.57 3.32 12/31/2024 3.14 CLGM050I CLGM050J CLGM050L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Balanced 100/100 (P) 05/12/2026 15.98 0.02 Balanced 3.87 0.11 0.03 0.23 6.20 9.94 8.74 5.63 - - 6.20 6.87 17.95 9.53 -10.00 6.79 9.99 10.47 - - - - - CLGN050I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Balanced 100/100 (PP) 05/12/2026 16.29 0.02 Balanced 3.89 0.16 0.15 0.31 6.45 10.19 9.00 5.87 - - 6.45 7.12 18.23 9.79 -9.79 7.03 10.27 10.77 - - - - - CLGP050I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Balanced 100/100 (PS1) 05/12/2026 24.79 0.03 Balanced 3.80 -0.11 -0.40 -0.06 6.73 8.98 7.80 4.72 5.28 - 6.73 5.94 16.93 8.59 -10.77 5.86 9.24 9.56 -0.76 4.83 3.55 12/31/2024 2.91 CLGO050I CLGO050J CLGO050L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Balanced 75/100 05/12/2026 26.61 0.03 Balanced 3.79 -0.13 -0.44 -0.08 6.09 8.90 7.72 4.64 5.19 6.32 6.09 5.86 16.84 8.50 -10.84 5.78 9.12 9.44 -0.87 4.72 3.48 12/31/2024 2.99 CLGM050E CLGM050F CLGM050H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Balanced 75/100 (P) 05/12/2026 16.20 0.02 Balanced 3.89 0.14 0.11 0.28 6.38 10.11 8.92 5.79 - - 6.38 7.04 18.14 9.71 -9.86 6.94 10.32 10.65 - - - - - CLGN050E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Balanced 75/100 (PP) 05/12/2026 16.57 0.02 Balanced 3.91 0.21 0.26 0.38 6.69 10.43 9.24 6.11 - - 6.69 7.35 18.50 10.03 -9.60 7.27 10.51 11.01 - - - - - CLGP050E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Balanced 75/100 (PS1) 05/12/2026 25.57 0.03 Balanced 3.82 -0.06 -0.29 0.02 6.96 9.22 8.04 4.95 5.51 - 6.96 6.18 17.19 8.83 -10.58 6.09 9.48 9.80 -0.54 5.05 3.78 12/31/2024 2.69 CLGO050E CLGO050F CLGO050H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Balanced 75/75 05/12/2026 27.16 0.03 Balanced 3.81 -0.08 -0.33 -0.01 6.22 9.14 7.96 4.87 5.38 6.47 6.22 6.10 17.10 8.74 -10.65 6.01 9.36 9.68 -0.71 4.78 3.53 12/31/2024 2.77 CLGM050A CLGM050B CLGM050D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Balanced 75/75 (P) 05/12/2026 16.48 0.02 Balanced 3.90 0.20 0.22 0.35 6.62 10.35 9.16 6.03 - - 6.62 7.27 18.41 9.95 -9.66 7.18 10.56 10.89 - - - - - CLGN050A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Balanced 75/75 (PP) 05/12/2026 16.81 0.02 Balanced 3.93 0.26 0.34 0.43 6.88 10.61 9.42 6.28 - - 6.88 7.53 18.69 10.21 -9.45 7.44 10.86 11.20 - - - - - CLGP050A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Balanced 75/75 (PS1) 05/12/2026 26.16 0.03 Balanced 3.83 -0.02 -0.21 0.07 7.14 9.40 8.22 5.12 5.69 - 7.14 6.35 17.38 9.01 -10.43 6.27 9.66 9.98 -0.38 5.23 3.94 12/31/2024 2.53 CLGO050A CLGO050B CLGO050D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Bond DSC 05/12/2026 322.92 -1.32 Fixed income 0.10 -0.88 -1.27 -0.45 1.87 -0.16 -0.55 -2.47 -0.84 1.63 1.87 2.12 -3.26 2.31 -11.23 -6.50 6.27 -0.06 2.77 2.37 -2.53 12/31/2024 2.45 - CLGTJ034 - - - Brandywine Global Investment Management, LLC Monthly profile
Add GWL Global Bond NL 05/12/2026 306.31 -1.25 Fixed income 0.10 -0.88 -1.27 -0.45 1.70 -0.16 -0.55 -2.47 -0.87 1.53 1.70 2.12 -3.26 2.31 -11.23 -6.50 6.27 -0.06 2.76 2.14 -2.75 12/31/2024 2.45 - - - CLGTO034 - Brandywine Global Investment Management, LLC Monthly profile
Add GWL Global Bond 100/100 05/12/2026 12.96 -0.05 Fixed income 0.09 -0.92 -1.35 -0.50 1.29 -0.32 -0.70 -2.63 -0.98 1.48 1.29 1.96 -3.41 2.16 -11.37 -6.65 6.10 -0.21 2.63 2.26 -2.64 12/31/2024 2.61 CLGM034I CLGM034J CLGM034L - - Brandywine Global Investment Management, LLC Fund fact Monthly profile
Add GWL Global Bond 100/100 (P) 05/12/2026 9.18 -0.04 Fixed income 0.14 -0.78 -1.08 -0.32 -1.10 0.23 -0.15 -2.09 - - -1.10 2.52 -2.87 2.72 -10.88 -6.13 6.77 0.34 - - - - - CLGN034I - - - - Brandywine Global Investment Management, LLC Fund fact Monthly profile
Add GWL Global Bond 100/100 (PP) 05/12/2026 9.60 -0.04 Fixed income 0.18 -0.64 -0.80 -0.13 -0.53 0.80 0.41 -1.53 - - -0.53 3.11 -2.33 3.31 -10.37 -5.59 7.40 0.93 - - - - - CLGP034I - - - - Brandywine Global Investment Management, LLC Fund fact Monthly profile
Add GWL Global Bond 100/100 (PS1) 05/12/2026 12.44 -0.05 Fixed income 0.13 -0.78 -1.07 -0.32 1.57 0.25 -0.14 -2.07 -0.42 - 1.57 2.54 -2.86 2.73 -10.87 -6.11 6.74 0.38 3.20 2.79 -2.04 12/31/2024 2.04 CLGO034I CLGO034J CLGO034L - - Brandywine Global Investment Management, LLC Fund fact Monthly profile
Add GWL Global Bond 75/100 05/12/2026 13.15 -0.05 Fixed income 0.09 -0.90 -1.32 -0.48 1.38 -0.26 -0.65 -2.57 -0.93 1.56 1.38 2.02 -3.36 2.21 -11.32 -6.59 6.16 -0.16 2.68 2.31 -2.59 12/31/2024 2.55 CLGM034E CLGM034F CLGM034H - - Brandywine Global Investment Management, LLC Fund fact Monthly profile
Add GWL Global Bond 75/100 (P) 05/12/2026 9.22 -0.04 Fixed income 0.14 -0.77 -1.04 -0.30 -1.04 0.30 -0.09 -2.03 - - -1.04 2.59 -2.82 2.79 -10.83 -6.07 6.83 0.40 - - - - - CLGN034E - - - - Brandywine Global Investment Management, LLC Fund fact Monthly profile
Add GWL Global Bond 75/100 (PP) 05/12/2026 9.73 -0.04 Fixed income 0.19 -0.60 -0.71 -0.08 -0.36 0.98 0.59 -1.36 - - -0.36 3.28 -2.15 3.47 -10.22 -5.44 7.59 1.10 - - - - - CLGP034E - - - - Brandywine Global Investment Management, LLC Fund fact Monthly profile
Add GWL Global Bond 75/100 (PS1) 05/12/2026 12.73 -0.05 Fixed income 0.15 -0.74 -0.99 -0.26 1.74 0.42 0.03 -1.91 -0.25 - 1.74 2.71 -2.70 2.91 -10.72 -5.96 6.92 0.55 3.37 2.96 -1.88 12/31/2024 1.88 CLGO034E CLGO034F CLGO034H - - Brandywine Global Investment Management, LLC Fund fact Monthly profile
Add GWL Global Bond 75/75 05/12/2026 13.28 -0.05 Fixed income 0.10 -0.88 -1.27 -0.45 1.44 -0.16 -0.55 -2.47 -0.84 1.63 1.44 2.12 -3.26 2.32 -11.23 -6.50 6.27 -0.06 2.77 2.37 -2.53 12/31/2024 2.45 CLGM034A CLGM034B CLGM034D - - Brandywine Global Investment Management, LLC Fund fact Monthly profile
Add GWL Global Bond 75/75 (P) 05/12/2026 9.29 -0.04 Fixed income 0.15 -0.74 -1.00 -0.27 -0.95 0.39 0.01 -1.93 - - -0.95 2.69 -2.72 2.88 -10.74 -5.98 6.86 0.49 - - - - - CLGN034A - - - - Brandywine Global Investment Management, LLC Fund fact Monthly profile
Add GWL Global Bond 75/75 (PP) 05/12/2026 9.81 -0.04 Fixed income 0.20 -0.58 -0.66 -0.04 -0.26 1.09 0.70 -1.25 - - -0.26 3.40 -2.04 3.59 -10.12 -5.33 7.63 1.22 - - - - - CLGP034A - - - - Brandywine Global Investment Management, LLC Fund fact Monthly profile
Add GWL Global Bond 75/75 (PS1) 05/12/2026 12.93 -0.05 Fixed income 0.16 -0.71 -0.93 -0.22 1.85 0.53 0.14 -1.80 -0.14 - 1.85 2.83 -2.59 3.02 -10.62 -5.85 7.03 0.66 3.49 3.07 -1.77 12/31/2024 1.76 CLGO034A CLGO034B CLGO034D - - Brandywine Global Investment Management, LLC Fund fact Monthly profile
Add GWL Global Dividend 100/100 05/12/2026 20.07 0.00 Foreign equity 1.02 1.11 6.17 5.29 6.32 16.81 9.97 7.56 6.51 - 6.32 17.15 7.75 7.73 -4.48 8.21 -1.37 11.71 -2.28 9.19 2.19 12/31/2024 3.28 CLGM073I CLGM073J CLGM073L - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 100/100 (P) 05/12/2026 17.12 0.00 Foreign equity 1.12 1.39 6.75 5.68 7.06 18.11 11.20 8.76 - - 7.06 18.45 8.96 8.92 -3.43 9.41 -0.28 12.95 - - - - - CLGN073I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 100/100 (PP) 05/12/2026 17.52 0.00 Foreign equity 1.14 1.46 6.91 5.78 7.38 18.46 11.53 9.08 - - 7.38 18.80 9.28 9.24 -3.14 9.73 0.01 13.28 - - - - - CLGP073I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 100/100 (PS1) 05/12/2026 20.64 0.00 Foreign equity 1.05 1.18 6.33 5.40 6.58 17.16 10.30 7.88 6.78 - 6.58 17.50 8.07 8.05 -4.20 8.53 -1.07 12.04 -2.07 9.34 2.32 12/31/2024 2.98 CLGO073I CLGO073J CLGO073L - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 100/100 (PS2) 05/12/2026 29.10 0.00 Foreign equity 1.30 1.93 7.91 6.43 9.86 20.70 13.65 11.15 10.06 - 9.86 21.05 11.36 11.31 -1.30 11.80 1.90 15.43 1.02 12.86 5.59 - - CLGQ073I - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 75/100 05/12/2026 20.71 0.00 Foreign equity 1.05 1.18 6.31 5.39 6.61 17.14 10.28 7.86 6.80 - 6.61 17.48 8.05 8.02 -4.22 8.51 -1.10 12.02 -2.00 9.50 2.47 12/31/2024 3.01 CLGM073E CLGM073F CLGM073H - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 75/100 (P) 05/12/2026 17.49 0.00 Foreign equity 1.14 1.45 6.90 5.77 7.36 18.43 11.50 9.06 - - 7.36 18.78 9.26 9.22 -3.15 9.70 -0.01 13.26 - - - - - CLGN073E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 75/100 (PP) 05/12/2026 17.98 0.00 Foreign equity 1.17 1.54 7.09 5.90 7.74 18.86 11.90 9.44 - - 7.74 19.20 9.64 9.61 -2.81 10.08 0.34 13.66 - - - - - CLGP073E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 75/100 (PS1) 05/12/2026 21.51 0.00 Foreign equity 1.08 1.27 6.50 5.51 6.97 17.55 10.67 8.24 7.16 - 6.97 17.89 8.43 8.41 -3.88 8.89 -0.76 12.41 -1.69 9.83 2.77 12/31/2024 2.65 CLGO073E CLGO073F CLGO073H - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 75/100 (PS2) 05/12/2026 29.10 0.00 Foreign equity 1.30 1.93 7.91 6.43 9.86 20.70 13.65 11.15 10.06 - 9.86 21.05 11.36 11.31 -1.30 11.80 1.90 15.43 1.02 12.86 5.59 - - CLGQ073E - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 75/75 05/12/2026 21.10 0.00 Foreign equity 1.06 1.22 6.40 5.45 6.79 17.33 10.46 8.04 6.98 - 6.79 17.67 8.23 8.20 -4.06 8.69 -0.94 12.20 -1.84 9.68 2.64 12/31/2024 2.84 CLGM073A CLGM073B CLGM073D - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 75/75 (P) 05/12/2026 17.72 0.00 Foreign equity 1.15 1.49 6.98 5.83 7.54 18.63 11.69 9.24 - - 7.54 18.98 9.44 9.40 -3.00 9.89 0.16 13.45 - - - - - CLGN073A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 75/75 (PP) 05/12/2026 18.38 0.00 Foreign equity 1.19 1.61 7.23 5.99 8.03 19.18 12.21 9.75 - - 8.03 19.53 9.95 9.91 -2.55 10.39 0.62 13.97 - - - - - CLGP073A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 75/75 (PS1) 05/12/2026 22.24 0.00 Foreign equity 1.10 1.33 6.65 5.61 7.29 17.87 10.97 8.54 7.48 - 7.29 18.21 8.74 8.70 -3.61 9.19 -0.48 12.72 -1.38 10.19 3.11 12/31/2024 2.38 CLGO073A CLGO073B CLGO073D - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Dividend 75/75 (PS2) 05/12/2026 29.10 0.00 Foreign equity 1.30 1.93 7.91 6.43 9.86 20.70 13.65 11.15 10.06 - 9.86 21.05 11.36 11.31 -1.30 11.80 1.90 15.43 1.02 12.86 5.59 - - CLGQ073A - - - - Keyridge Asset Management Limited Fund fact Monthly profile
Add GWL Global Equity Portfolio DSC 05/12/2026 442.12 -1.18 Foreign equity 5.52 2.46 3.67 5.42 3.20 19.88 13.56 8.11 8.08 7.97 3.20 9.07 20.30 12.48 -12.70 15.03 6.55 12.76 -6.31 10.44 3.37 12/31/2024 3.04 - CLGTJ075 - - - Portfolio Solutions Group Monthly profile
Add GWL Global Equity Portfolio NL 05/12/2026 426.31 -1.14 Foreign equity 5.52 2.46 3.67 5.42 2.92 19.88 13.56 8.11 8.05 7.87 2.92 9.07 20.30 12.48 -12.70 15.03 6.55 12.76 -6.25 10.20 3.14 12/31/2024 3.04 - - - CLGTO075 - Portfolio Solutions Group Monthly profile
Add GWL Global Equity Portfolio 100/100 05/12/2026 33.86 -0.09 Foreign equity 5.44 2.22 3.17 5.08 7.10 18.73 12.47 7.07 7.10 7.06 7.10 8.02 19.14 11.40 -13.54 13.93 5.52 11.69 -7.13 9.64 2.62 12/31/2024 4.00 CLGM075I CLGM075J CLGM075L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global Equity Portfolio 100/100 (P) 05/12/2026 17.55 -0.05 Foreign equity 5.54 2.50 3.74 5.47 7.10 20.06 13.72 8.26 - - 7.10 9.22 20.47 12.63 -12.58 15.20 6.70 12.92 - - - - - CLGN075I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global Equity Portfolio 100/100 (PP) 05/12/2026 18.48 -0.05 Foreign equity 5.59 2.66 4.08 5.69 7.80 20.84 14.46 8.97 - - 7.80 9.94 21.26 13.37 -12.01 15.95 7.40 13.67 - - - - - CLGP075I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global Equity Portfolio 100/100 (PS1) 05/12/2026 34.25 -0.09 Foreign equity 5.50 2.38 3.51 5.31 9.01 19.51 13.21 7.78 7.81 - 9.01 8.73 19.92 12.15 -12.97 14.68 6.23 12.43 -6.52 10.36 3.29 12/31/2024 3.35 CLGO075I CLGO075J CLGO075L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global Equity Portfolio 75/100 05/12/2026 37.53 -0.10 Foreign equity 5.49 2.38 3.50 5.30 7.75 19.48 13.18 7.75 7.78 7.72 7.75 8.70 19.90 12.11 -12.99 14.65 6.19 12.39 -6.55 10.32 3.26 12/31/2024 3.37 CLGM075E CLGM075F CLGM075H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global Equity Portfolio 75/100 (P) 05/12/2026 18.44 -0.05 Foreign equity 5.59 2.66 4.08 5.70 7.78 20.83 14.45 8.95 - - 7.78 9.93 21.24 13.34 -12.03 15.93 7.38 13.63 - - - - - CLGN075E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global Equity Portfolio 75/100 (PP) 05/12/2026 19.13 -0.05 Foreign equity 5.63 2.77 4.30 5.85 8.28 21.38 14.98 9.46 - - 8.28 10.43 21.81 13.88 -11.62 16.46 7.88 14.18 - - - - - CLGP075E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global Equity Portfolio 75/100 (PS1) 05/12/2026 36.43 -0.10 Foreign equity 5.54 2.49 3.74 5.46 9.49 20.04 13.71 8.25 8.28 - 9.49 9.21 20.46 12.62 -12.59 15.19 6.70 12.93 -6.10 10.84 3.74 12/31/2024 2.90 CLGO075E CLGO075F CLGO075H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global Equity Portfolio 75/75 05/12/2026 38.88 -0.10 Foreign equity 5.52 2.46 3.67 5.42 7.98 19.88 13.56 8.11 8.08 7.96 7.98 9.07 20.30 12.48 -12.70 15.03 6.55 12.76 -6.31 10.44 3.37 12/31/2024 3.04 CLGM075A CLGM075B CLGM075D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global Equity Portfolio 75/75 (P) 05/12/2026 18.93 -0.05 Foreign equity 5.62 2.74 4.24 5.80 8.13 21.22 14.83 9.31 - - 8.13 10.28 21.65 13.72 -11.73 16.31 7.73 14.01 - - - - - CLGN075A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global Equity Portfolio 75/75 (PP) 05/12/2026 19.63 -0.05 Foreign equity 5.66 2.86 4.48 5.96 8.64 21.78 15.36 9.82 - - 8.64 10.80 22.22 14.25 -11.33 16.85 8.25 14.55 - - - - - CLGP075A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global Equity Portfolio 75/75 (PS1) 05/12/2026 38.15 -0.10 Foreign equity 5.56 2.58 3.91 5.58 9.85 20.44 14.09 8.61 8.64 - 9.85 9.58 20.86 13.00 -12.30 15.57 7.05 13.30 -5.79 11.20 4.08 12/31/2024 2.57 CLGO075A CLGO075B CLGO075D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Global Infrastructure 100/100 05/12/2026 25.08 0.03 Specialty -1.34 4.67 9.17 9.30 5.75 19.62 12.93 10.05 5.98 6.05 5.75 14.41 18.73 1.82 2.10 6.77 -11.76 13.07 -4.53 10.04 1.55 12/31/2024 3.59 CLGM091I CLGM091J CLGM091L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Infrastructure 100/100 (P) 05/12/2026 17.05 0.02 Specialty -1.25 4.96 9.77 9.69 7.15 20.95 14.18 11.27 - - 7.15 15.68 20.05 2.94 3.24 7.96 -10.78 14.33 - - - - - CLGN091I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Infrastructure 100/100 (PP) 05/12/2026 17.53 0.02 Specialty -1.23 5.05 9.96 9.82 7.53 21.38 14.58 11.65 - - 7.53 16.09 20.47 3.29 3.59 8.34 -10.47 14.73 - - - - - CLGP091I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Infrastructure 100/100 (PS1) 05/12/2026 26.80 0.03 Specialty -1.32 4.76 9.36 9.42 7.36 20.04 13.33 10.43 6.35 - 7.36 14.81 19.15 2.18 2.46 7.15 -11.45 13.47 -4.19 10.43 1.91 12/31/2024 3.24 CLGO091I CLGO091J CLGO091L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Infrastructure 75/100 05/12/2026 26.45 0.03 Specialty -1.32 4.76 9.35 9.42 6.08 20.02 13.30 10.41 6.33 6.39 6.08 14.78 19.12 2.16 2.44 7.12 -11.47 13.45 -4.21 10.41 1.89 12/31/2024 3.26 CLGM091E CLGM091F CLGM091H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Infrastructure 75/100 (P) 05/12/2026 17.50 0.02 Specialty -1.23 5.04 9.95 9.81 7.51 21.35 14.56 11.63 - - 7.51 16.06 20.45 3.27 3.57 8.32 -10.49 14.70 - - - - - CLGN091E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Infrastructure 75/100 (PP) 05/12/2026 18.16 0.02 Specialty -1.19 5.16 10.20 9.97 8.01 21.91 15.09 12.16 - - 8.01 16.60 21.03 3.75 4.07 8.84 -10.08 15.23 - - - - - CLGP091E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Infrastructure 75/100 (PS1) 05/12/2026 28.50 0.03 Specialty -1.28 4.88 9.60 9.58 7.83 20.57 13.83 10.92 6.82 - 7.83 15.32 19.68 2.62 2.91 7.62 -11.06 13.97 -3.76 10.92 2.36 12/31/2024 2.80 CLGO091E CLGO091F CLGO091H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Infrastructure 75/75 05/12/2026 27.65 0.03 Specialty -1.29 4.84 9.53 9.53 6.37 20.41 13.68 10.77 6.66 6.68 6.37 15.17 19.52 2.49 2.78 7.48 -11.18 13.82 -3.93 10.65 2.11 12/31/2024 2.93 CLGM091A CLGM091B CLGM091D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Infrastructure 75/75 (P) 05/12/2026 18.00 0.02 Specialty -1.20 5.13 10.13 9.93 7.89 21.75 14.94 12.00 - - 7.89 16.45 20.85 3.61 3.91 8.68 -10.19 15.09 - - - - - CLGN091A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Infrastructure 75/75 (PP) 05/12/2026 18.62 0.02 Specialty -1.16 5.25 10.38 10.10 8.36 22.31 15.47 12.51 - - 8.36 16.99 21.41 4.08 4.39 9.18 -9.77 15.62 - - - - - CLGP091A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Infrastructure 75/75 (PS1) 05/12/2026 29.84 0.04 Specialty -1.25 4.96 9.78 9.70 8.19 20.97 14.20 11.29 7.17 - 8.19 15.70 20.07 2.96 3.25 7.98 -10.76 14.35 -3.44 11.29 2.70 12/31/2024 2.47 CLGO091A CLGO091B CLGO091D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Small-Mid Cap Growth DSC 05/12/2026 1,171.63 -0.17 Specialty 3.46 -1.67 -3.50 -1.63 6.37 12.65 5.16 0.91 7.35 8.06 6.37 2.40 13.63 4.30 -16.39 15.52 12.55 20.43 4.91 6.85 9.93 12/31/2024 2.83 - CLGTJ071 - - - Mackenzie Investments Monthly profile
Add GWL Global Small-Mid Cap Growth NL 05/12/2026 1,115.65 -0.16 Specialty 3.46 -1.67 -3.50 -1.63 6.20 12.65 5.16 0.91 7.32 7.95 6.20 2.40 13.63 4.30 -16.39 15.52 12.55 20.43 4.98 6.62 9.69 12/31/2024 2.83 - - - CLGTO071 - Mackenzie Investments Monthly profile
Add GWL Global Small-Mid Cap Growth 100/100 05/12/2026 37.67 -0.01 Specialty 3.41 -1.82 -3.80 -1.84 7.88 11.95 4.51 0.28 6.67 7.34 7.88 1.76 12.91 3.65 -16.91 14.80 11.85 19.68 4.23 6.13 9.18 12/31/2024 3.46 CLGM071I CLGM071J CLGM071L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Small-Mid Cap Growth 100/100 (P) 05/12/2026 15.10 0.00 Specialty 3.50 -1.56 -3.27 -1.48 5.37 13.19 5.66 1.39 - - 5.37 2.89 14.16 4.80 -15.99 16.07 13.09 21.00 - - - - - CLGN071I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Small-Mid Cap Growth 100/100 (PP) 05/12/2026 15.55 0.00 Specialty 3.53 -1.46 -3.09 -1.36 5.77 13.62 6.06 1.78 - - 5.77 3.28 14.61 5.19 -15.67 16.51 13.51 21.47 - - - - - CLGP071I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Small-Mid Cap Growth 100/100 (PS1) 05/12/2026 29.57 0.00 Specialty 3.44 -1.73 -3.61 -1.71 8.05 12.38 4.91 0.66 7.10 - 8.05 2.15 13.35 4.05 -16.59 15.24 12.28 20.14 4.67 6.64 9.71 12/31/2024 3.07 CLGO071I CLGO071J CLGO071L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Small-Mid Cap Growth 75/100 05/12/2026 40.94 -0.01 Specialty 3.45 -1.72 -3.59 -1.70 8.42 12.43 4.96 0.71 7.15 7.86 8.42 2.20 13.40 4.09 -16.55 15.29 12.33 20.20 4.72 6.69 9.76 12/31/2024 3.03 CLGM071E CLGM071F CLGM071H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Small-Mid Cap Growth 75/100 (P) 05/12/2026 15.65 0.00 Specialty 3.54 -1.45 -3.06 -1.34 5.86 13.67 6.11 1.82 - - 5.86 3.33 14.65 5.24 -15.63 16.56 13.57 21.88 - - - - - CLGN071E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Small-Mid Cap Growth 75/100 (PP) 05/12/2026 16.03 0.00 Specialty 3.57 -1.37 -2.90 -1.24 6.18 14.05 6.48 2.17 - - 6.18 3.68 15.05 5.59 -15.34 16.96 13.95 21.94 - - - - - CLGP071E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Small-Mid Cap Growth 75/100 (PS1) 05/12/2026 31.20 0.00 Specialty 3.47 -1.64 -3.43 -1.59 8.47 12.81 5.31 1.05 7.51 - 8.47 2.54 13.79 4.45 -16.27 15.69 12.71 20.60 5.07 7.05 10.13 12/31/2024 2.69 CLGO071E CLGO071F CLGO071H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Small-Mid Cap Growth 75/75 05/12/2026 42.08 -0.01 Specialty 3.46 -1.67 -3.50 -1.63 8.59 12.65 5.16 0.91 7.35 8.05 8.59 2.40 13.63 4.30 -16.39 15.52 12.55 20.43 4.91 6.85 9.93 12/31/2024 2.83 CLGM071A CLGM071B CLGM071D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Small-Mid Cap Growth 75/75 (P) 05/12/2026 15.85 0.00 Specialty 3.56 -1.40 -2.97 -1.28 6.03 13.89 6.32 2.02 - - 6.03 3.53 14.89 5.44 -15.47 16.80 13.79 21.76 - - - - - CLGN071A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Small-Mid Cap Growth 75/75 (PP) 05/12/2026 16.30 0.00 Specialty 3.59 -1.32 -2.80 -1.16 6.41 14.30 6.71 2.39 - - 6.41 3.90 15.31 5.82 -15.16 17.22 14.20 22.21 - - - - - CLGP071A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Small-Mid Cap Growth 75/75 (PS1) 05/12/2026 32.17 0.00 Specialty 3.49 -1.58 -3.32 -1.52 8.71 13.06 5.54 1.27 7.75 - 8.71 2.77 14.04 4.67 -16.09 15.94 12.96 20.87 5.31 7.28 10.37 12/31/2024 2.47 CLGO071A CLGO071B CLGO071D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Strategic Income 100/100 05/12/2026 14.65 -0.01 Balanced 1.91 -0.33 -0.58 0.43 4.01 7.83 7.00 4.44 - - 4.01 6.17 12.10 8.09 -8.84 6.25 0.68 8.78 -2.15 6.11 - - 2.96 CLGM046I CLGM046J CLGM046L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Strategic Income 100/100 (P) 05/12/2026 14.55 -0.01 Balanced 2.00 -0.05 -0.02 0.80 4.79 9.04 8.21 5.62 - - 4.79 7.36 13.38 9.30 -7.81 7.44 1.80 9.98 - - - - - CLGN046I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Strategic Income 100/100 (PP) 05/12/2026 14.84 -0.01 Balanced 2.02 0.01 0.10 0.88 5.05 9.31 8.48 5.88 - - 5.05 7.63 13.66 9.57 -7.59 7.70 2.07 10.25 - - - - - CLGP046I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Strategic Income 100/100 (PS1) 05/12/2026 15.00 -0.01 Balanced 1.93 -0.27 -0.46 0.51 4.27 8.09 7.27 4.70 - - 4.27 6.43 12.39 8.35 -8.61 6.51 0.95 9.04 -1.90 6.36 - - 2.72 CLGO046I CLGO046J CLGO046L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Strategic Income 75/100 05/12/2026 14.88 -0.01 Balanced 1.92 -0.28 -0.49 0.48 4.19 8.01 7.18 4.62 - - 4.19 6.34 12.30 8.27 -8.68 6.43 0.85 8.96 -1.98 6.28 - 12/31/2024 2.88 CLGM046E CLGM046F CLGM046H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Strategic Income 75/100 (P) 05/12/2026 14.75 -0.01 Balanced 2.01 -0.01 0.06 0.85 4.97 9.22 8.39 5.80 - - 4.97 7.54 13.57 9.48 -7.65 7.63 1.98 10.18 - - - - - CLGN046E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Strategic Income 75/100 (PP) 05/12/2026 15.10 -0.01 Balanced 2.04 0.07 0.21 0.95 5.28 9.56 8.72 6.11 - - 5.28 7.87 13.92 9.81 -7.37 7.94 2.30 10.49 - - - - - CLGP046E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Strategic Income 75/100 (PS1) 05/12/2026 15.32 -0.01 Balanced 1.95 -0.21 -0.34 0.58 4.50 8.34 7.51 4.94 - - 4.50 6.67 12.65 8.60 -8.41 6.75 1.17 9.28 -1.68 6.61 - 12/31/2024 2.57 CLGO046E CLGO046F CLGO046H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Strategic Income 75/75 05/12/2026 15.16 -0.01 Balanced 1.94 -0.23 -0.38 0.56 4.39 8.25 7.42 4.85 - - 4.39 6.58 12.55 8.51 -8.48 6.67 1.07 9.20 -1.82 6.33 - 12/31/2024 2.65 CLGM046A CLGM046B CLGM046D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Strategic Income 75/75 (P) 05/12/2026 15.01 -0.01 Balanced 2.03 0.05 0.17 0.93 5.20 9.47 8.64 6.03 - - 5.20 7.79 13.83 9.72 -7.45 7.86 2.20 10.41 - - - - - CLGN046A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Strategic Income 75/75 (PP) 05/12/2026 15.30 -0.01 Balanced 2.05 0.11 0.30 1.01 5.46 9.74 8.91 6.29 - - 5.46 8.05 14.12 10.00 -7.22 8.12 2.47 10.67 - - - - - CLGP046A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Global Strategic Income 75/75 (PS1) 05/12/2026 15.57 -0.01 Balanced 1.96 -0.17 -0.26 0.64 4.68 8.52 7.69 5.11 - - 4.68 6.85 12.84 8.78 -8.25 6.93 1.34 9.46 -1.51 6.79 - 12/31/2024 2.41 CLGO046A CLGO046B CLGO046D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Government Bond DSC 05/12/2026 380.00 -0.65 Fixed income -0.14 -0.53 -0.82 -0.25 2.41 0.02 1.78 0.17 0.13 0.43 2.41 1.53 2.35 3.42 -4.50 -2.71 3.85 0.73 0.05 -1.87 -1.30 12/31/2024 1.99 - CLGTJ035 - - - Mackenzie Investments Monthly profile
Add GWL Government Bond NL 05/12/2026 361.45 -0.62 Fixed income -0.14 -0.53 -0.82 -0.25 2.24 0.02 1.78 0.17 0.10 0.34 2.24 1.53 2.35 3.42 -4.50 -2.71 3.85 0.73 0.12 -2.09 -1.52 12/31/2024 1.99 - - - CLGTO035 - Mackenzie Investments Monthly profile
Add GWL Government Bond 100/100 05/12/2026 10.75 -0.02 Fixed income -0.14 -0.56 -0.87 -0.29 0.33 -0.09 1.66 0.06 0.01 0.28 0.33 1.42 2.23 3.31 -4.60 -2.82 3.72 0.61 -0.08 -2.02 -1.46 - 2.20 CLGM035I CLGM035J CLGM035L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Government Bond 100/100 (P) 05/12/2026 10.84 -0.02 Fixed income -0.10 -0.42 -0.60 -0.11 1.05 0.47 2.24 0.63 - - 1.05 1.99 2.81 3.89 -4.06 -2.27 4.32 1.18 - - - - - CLGN035I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Government Bond 100/100 (PP) 05/12/2026 11.30 -0.02 Fixed income -0.05 -0.29 -0.34 0.07 1.58 1.01 2.78 1.15 - - 1.58 2.53 3.36 4.43 -3.57 -1.77 4.85 1.71 - - - - - CLGP035I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Government Bond 100/100 (PS1) 05/12/2026 10.96 -0.02 Fixed income -0.10 -0.43 -0.62 -0.12 0.67 0.44 2.20 0.59 0.56 - 0.67 1.95 2.78 3.85 -4.10 -2.31 4.28 1.14 0.49 -1.41 -0.84 12/31/2024 1.57 CLGO035I CLGO035J CLGO035L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Government Bond 75/100 05/12/2026 10.90 -0.02 Fixed income -0.14 -0.55 -0.85 -0.27 0.41 -0.03 1.72 0.12 0.07 0.36 0.41 1.47 2.29 3.36 -4.55 -2.77 3.79 0.67 -0.03 -1.97 -1.40 12/31/2024 2.05 CLGM035E CLGM035F CLGM035H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Government Bond 75/100 (P) 05/12/2026 10.88 -0.02 Fixed income -0.09 -0.41 -0.57 -0.09 1.10 0.53 2.30 0.68 - - 1.10 2.05 2.88 3.94 -4.02 -2.24 4.36 1.19 - - - - - CLGN035E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Government Bond 75/100 (PP) 05/12/2026 11.39 -0.02 Fixed income -0.05 -0.26 -0.28 0.10 1.69 1.12 2.89 1.27 - - 1.69 2.64 3.47 4.55 -3.45 -1.66 4.98 1.83 - - - - - CLGP035E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Government Bond 75/100 (PS1) 05/12/2026 11.14 -0.02 Fixed income -0.09 -0.40 -0.56 -0.08 0.78 0.55 2.31 0.70 0.67 - 0.78 2.06 2.89 3.96 -4.00 -2.20 4.39 1.26 0.60 -1.30 -0.72 12/31/2024 1.46 CLGO035E CLGO035F CLGO035H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Government Bond 75/75 05/12/2026 11.01 -0.02 Fixed income -0.14 -0.53 -0.82 -0.25 0.47 0.02 1.78 0.17 0.13 0.42 0.47 1.53 2.35 3.42 -4.50 -2.71 3.85 0.73 0.05 -1.87 -1.30 12/31/2024 1.99 CLGM035A CLGM035B CLGM035D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Government Bond 75/75 (P) 05/12/2026 10.93 -0.02 Fixed income -0.09 -0.39 -0.54 -0.07 1.16 0.59 2.35 0.74 - - 1.16 2.10 2.93 4.00 -3.96 -2.17 4.43 1.29 - - - - - CLGN035A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Government Bond 75/75 (PP) 05/12/2026 11.45 -0.02 Fixed income -0.04 -0.25 -0.25 0.12 1.75 1.18 2.95 1.33 - - 1.75 2.70 3.53 4.61 -3.40 -1.61 5.04 1.88 - - - - - CLGP035A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Government Bond 75/75 (PS1) 05/12/2026 11.23 -0.02 Fixed income -0.09 -0.39 -0.53 -0.06 0.84 0.61 2.37 0.76 0.73 - 0.84 2.12 2.95 4.03 -3.94 -2.15 4.45 1.32 0.65 -1.24 -0.67 12/31/2024 1.41 CLGO035A CLGO035B CLGO035D - - Mackenzie Investments Fund fact Monthly profile
Add GWL International Equity DSC 05/12/2026 639.88 -2.94 Foreign equity 2.48 0.65 2.63 4.11 4.34 13.36 9.96 5.86 6.93 5.95 4.34 17.24 7.21 12.71 -16.27 8.23 8.41 18.72 -12.72 19.13 -2.73 12/31/2024 2.91 - CLGTJ077 - - - JPMorgan Asset Management (Canada) Inc. Monthly profile
Add GWL International Equity NL 05/12/2026 621.89 -2.86 Foreign equity 2.48 0.65 2.63 4.11 4.21 13.36 9.96 5.86 6.90 5.85 4.21 17.24 7.21 12.71 -16.27 8.23 8.41 18.72 -12.65 18.87 -2.94 12/31/2024 2.91 - - - CLGTO077 - JPMorgan Asset Management (Canada) Inc. Monthly profile
Add GWL International Equity 100/100 05/12/2026 25.35 -0.12 Foreign equity 2.42 0.49 2.31 3.89 5.13 12.63 9.26 5.18 6.23 5.25 5.13 16.49 6.51 11.99 -16.81 7.53 7.71 17.96 -13.29 18.31 -3.39 12/31/2024 3.56 CLGM077I CLGM077J CLGM077L - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Equity 100/100 (P) 05/12/2026 15.95 -0.07 Foreign equity 2.52 0.76 2.87 4.27 5.97 13.88 10.48 6.35 - - 5.97 17.79 7.71 13.22 -15.88 8.73 8.91 19.28 - - - - - CLGN077I - - - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Equity 100/100 (PP) 05/12/2026 16.30 -0.07 Foreign equity 2.54 0.83 3.01 4.36 6.27 14.20 10.78 6.65 - - 6.27 18.12 8.01 13.55 -15.65 9.03 9.22 19.60 - - - - - CLGP077I - - - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Equity 100/100 (PS1) 05/12/2026 26.21 -0.12 Foreign equity 2.45 0.56 2.45 3.99 7.04 12.94 9.56 5.47 6.56 - 7.04 16.81 6.81 12.30 -16.58 7.83 8.01 18.28 -13.00 18.82 -2.98 12/31/2024 3.28 CLGO077I CLGO077J CLGO077L - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Equity 75/100 05/12/2026 27.24 -0.13 Foreign equity 2.46 0.59 2.52 4.04 5.58 13.11 9.72 5.62 6.68 5.70 5.58 16.98 6.97 12.46 -16.46 7.99 8.17 18.46 -12.92 18.81 -2.99 12/31/2024 3.14 CLGM077E CLGM077F CLGM077H - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Equity 75/100 (P) 05/12/2026 16.49 -0.08 Foreign equity 2.55 0.87 3.08 4.41 6.42 14.37 10.95 6.80 - - 6.42 18.29 8.17 13.71 -15.53 9.19 9.38 19.77 - - - - - CLGN077E - - - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Equity 75/100 (PP) 05/12/2026 16.88 -0.08 Foreign equity 2.58 0.95 3.25 4.52 6.74 14.72 11.28 7.12 - - 6.74 18.64 8.49 14.04 -15.27 9.52 9.71 20.13 - - - - - CLGP077E - - - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Equity 75/100 (PS1) 05/12/2026 27.88 -0.13 Foreign equity 2.48 0.67 2.67 4.14 7.52 13.44 10.05 5.94 7.04 - 7.52 17.33 7.29 12.79 -16.21 8.31 8.49 18.81 -12.61 19.35 -2.55 12/31/2024 2.84 CLGO077E CLGO077F CLGO077H - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Equity 75/75 05/12/2026 28.32 -0.13 Foreign equity 2.48 0.65 2.63 4.11 5.82 13.36 9.96 5.86 6.93 5.95 5.82 17.24 7.21 12.71 -16.27 8.23 8.41 18.72 -12.72 19.13 -2.73 12/31/2024 2.91 CLGM077A CLGM077B CLGM077D - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Equity 75/75 (P) 05/12/2026 16.78 -0.08 Foreign equity 2.57 0.92 3.20 4.49 6.66 14.62 11.19 7.04 - - 6.66 18.55 8.41 13.96 -15.35 9.43 9.62 20.05 - - - - - CLGN077A - - - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Equity 75/75 (PP) 05/12/2026 17.32 -0.08 Foreign equity 2.61 1.03 3.41 4.63 7.10 15.09 11.65 7.48 - - 7.10 19.04 8.86 14.42 -14.99 9.89 10.07 20.54 - - - - - CLGP077A - - - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Equity 75/75 (PS1) 05/12/2026 29.21 -0.13 Foreign equity 2.51 0.75 2.84 4.25 7.87 13.82 10.42 6.29 7.39 - 7.87 17.72 7.65 13.17 -15.93 8.67 8.85 19.21 -12.32 19.75 -2.22 12/31/2024 2.50 CLGO077A CLGO077B CLGO077D - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Equity II 100/100 05/12/2026 18.15 -0.08 Foreign equity 3.38 -0.14 -4.23 -1.84 3.95 3.57 5.16 1.59 3.41 4.86 3.95 8.04 12.43 8.70 -16.07 3.70 11.60 6.53 -5.20 7.40 -8.33 12/31/2024 3.57 CLGM078I CLGM078J CLGM078L - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 100/100 (P) 05/12/2026 14.30 -0.06 Foreign equity 3.46 0.13 -3.71 -1.49 4.56 4.71 6.33 2.71 - - 4.56 9.24 13.67 9.89 -15.15 4.84 12.69 7.71 - - - - - CLGN078I - - - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 100/100 (PP) 05/12/2026 14.62 -0.06 Foreign equity 3.49 0.20 -3.57 -1.40 4.85 5.00 6.62 2.99 - - 4.85 9.54 13.99 10.19 -14.91 5.13 13.04 8.04 - - - - - CLGP078I - - - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 100/100 (PS1) 05/12/2026 21.19 -0.09 Foreign equity 3.39 -0.08 -4.10 -1.76 5.45 3.85 5.45 1.87 3.70 - 5.45 8.34 12.74 9.00 -15.83 3.98 11.81 6.87 -4.89 7.74 -8.04 - 3.22 CLGO078I CLGO078J CLGO078L - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 100/100 (PS2) 05/12/2026 33.48 -0.14 Foreign equity 3.68 0.74 -2.52 -0.68 8.96 7.33 8.98 5.26 7.12 - 8.96 11.97 16.53 12.60 -13.05 7.43 15.47 10.36 -1.76 11.26 -5.04 - - CLGQ078I - - - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 75/100 05/12/2026 19.56 -0.08 Foreign equity 3.41 -0.04 -4.03 -1.71 4.41 4.01 5.61 2.02 3.85 5.32 4.41 8.50 12.91 9.16 -15.71 4.14 12.08 6.99 -4.78 7.86 -7.94 12/31/2024 3.14 CLGM078E CLGM078F CLGM078H - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 75/100 (P) 05/12/2026 14.81 -0.06 Foreign equity 3.50 0.24 -3.50 -1.35 5.02 5.17 6.78 3.15 - - 5.02 9.71 14.16 10.36 -14.79 5.29 13.32 8.18 - - - - - CLGN078E - - - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 75/100 (PP) 05/12/2026 15.16 -0.06 Foreign equity 3.53 0.30 -3.37 -1.26 5.33 5.46 7.10 3.45 - - 5.33 10.03 14.52 10.68 -14.55 5.61 13.68 8.50 - - - - - CLGP078E - - - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 75/100 (PS1) 05/12/2026 22.60 -0.10 Foreign equity 3.43 0.03 -3.89 -1.61 5.94 4.31 5.92 2.32 4.17 - 5.94 8.82 13.24 9.47 -15.47 4.44 12.45 7.34 -4.48 8.21 -7.64 12/31/2024 2.85 CLGO078E CLGO078F CLGO078H - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 75/100 (PS2) 05/12/2026 33.48 -0.14 Foreign equity 3.68 0.74 -2.52 -0.68 8.96 7.33 8.98 5.26 7.12 - 8.96 11.97 16.53 12.60 -13.05 7.43 15.47 10.36 -1.76 11.26 -5.04 - - CLGQ078E - - - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 75/75 05/12/2026 20.37 -0.09 Foreign equity 3.43 0.02 -3.93 -1.64 4.66 4.24 5.85 2.25 4.07 5.56 4.66 8.74 13.16 9.40 -15.52 4.37 12.33 7.23 -4.58 8.09 -7.75 12/31/2024 2.92 CLGM078A CLGM078B CLGM078D - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 75/75 (P) 05/12/2026 15.04 -0.06 Foreign equity 3.52 0.29 -3.40 -1.28 5.23 5.40 7.03 3.38 - - 5.23 9.96 14.43 10.61 -14.60 5.52 13.41 8.39 - - - - - CLGN078A - - - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 75/75 (PP) 05/12/2026 15.53 -0.07 Foreign equity 3.55 0.39 -3.21 -1.15 5.66 5.82 7.44 3.79 - - 5.66 10.39 14.87 11.04 -14.26 5.93 13.91 8.87 - - - - - CLGP078A - - - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 75/75 (PS1) 05/12/2026 23.69 -0.10 Foreign equity 3.46 0.11 -3.74 -1.51 6.30 4.65 6.27 2.65 4.51 - 6.30 9.18 13.61 9.83 -15.19 4.79 12.82 7.69 -4.16 8.56 -7.34 12/31/2024 2.52 CLGO078A CLGO078B CLGO078D - - JP Morgan Fund fact Monthly profile
Add GWL International Equity II 75/75 (PS2) 05/12/2026 33.53 -0.14 Foreign equity 3.68 0.74 -2.52 -0.68 8.97 7.33 8.98 5.26 7.14 - 8.97 11.97 16.53 12.60 -13.05 7.43 15.62 10.36 -1.76 11.28 -5.04 - - CLGQ078A - - - - JP Morgan Fund fact Monthly profile
Add GWL International Growth DSC 05/12/2026 765.78 -8.15 Foreign equity 4.60 0.26 -0.80 3.34 4.78 11.58 8.15 3.28 6.96 6.99 4.78 10.56 12.05 11.60 -24.84 7.50 23.45 23.29 -12.69 20.68 -5.32 12/31/2024 3.08 - CLGTJ080 - - - JPMorgan Asset Management (Canada) Inc. Monthly profile
Add GWL International Growth NL 05/12/2026 732.44 -7.80 Foreign equity 4.60 0.26 -0.80 3.34 4.62 11.58 8.15 3.28 6.93 6.89 4.62 10.56 12.05 11.60 -24.84 7.50 23.45 23.29 -12.63 20.41 -5.53 12/31/2024 3.08 - - - CLGTO080 - JPMorgan Asset Management (Canada) Inc. Monthly profile
Add GWL International Growth 100/100 05/12/2026 31.05 -0.33 Foreign equity 4.54 0.09 -1.14 3.11 6.50 10.81 7.41 2.57 6.23 6.24 6.50 9.80 11.28 10.84 -25.35 6.77 22.60 22.45 -13.29 19.86 -5.96 12/31/2024 3.77 CLGM080I CLGM080J CLGM080L - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Growth 100/100 (P) 05/12/2026 15.91 -0.17 Foreign equity 4.64 0.37 -0.59 3.49 5.92 12.06 8.61 3.71 - - 5.92 11.03 12.53 12.06 -24.52 7.96 23.97 23.81 - - - - - CLGN080I - - - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Growth 100/100 (PP) 05/12/2026 16.31 -0.17 Foreign equity 4.67 0.45 -0.43 3.60 6.26 12.41 8.96 4.05 - - 6.26 11.39 12.89 12.43 -24.28 8.30 24.37 24.20 - - - - - CLGP080I - - - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Growth 100/100 (PS1) 05/12/2026 29.15 -0.31 Foreign equity 4.57 0.17 -0.98 3.22 7.85 11.17 7.76 2.90 6.57 - 7.85 10.16 11.64 11.19 -25.11 7.11 23.00 22.84 -13.01 20.24 -5.67 12/31/2024 3.45 CLGO080I CLGO080J CLGO080L - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Growth 75/100 05/12/2026 33.45 -0.36 Foreign equity 4.58 0.20 -0.93 3.25 6.97 11.28 7.86 3.00 6.67 6.71 6.97 10.27 11.75 11.30 -25.04 7.22 23.12 22.96 -12.93 20.36 -5.57 12/31/2024 3.34 CLGM080E CLGM080F CLGM080H - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Growth 75/100 (P) 05/12/2026 16.44 -0.17 Foreign equity 4.67 0.47 -0.38 3.63 6.37 12.53 9.07 4.15 - - 6.37 11.50 13.01 12.54 -24.20 8.41 24.49 24.33 - - - - - CLGN080E - - - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Growth 75/100 (PP) 05/12/2026 16.97 -0.18 Foreign equity 4.71 0.57 -0.18 3.77 6.79 12.98 9.51 4.57 - - 6.79 11.95 13.46 12.99 -23.90 8.84 25.01 24.83 - - - - - CLGP080E - - - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Growth 75/100 (PS1) 05/12/2026 31.23 -0.33 Foreign equity 4.61 0.29 -0.73 3.39 8.38 11.73 8.30 3.41 7.10 - 8.38 10.71 12.20 11.75 -24.74 7.64 23.61 23.45 -12.58 20.84 -5.20 12/31/2024 2.95 CLGO080E CLGO080F CLGO080H - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Growth 75/75 05/12/2026 34.93 -0.37 Foreign equity 4.60 0.26 -0.80 3.34 7.25 11.58 8.15 3.28 6.96 6.98 7.25 10.56 12.05 11.60 -24.84 7.50 23.45 23.29 -12.69 20.68 -5.32 12/31/2024 3.08 CLGM080A CLGM080B CLGM080D - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Growth 75/75 (P) 05/12/2026 16.79 -0.18 Foreign equity 4.70 0.54 -0.25 3.72 6.65 12.83 9.37 4.43 - - 6.65 11.80 13.31 12.84 -24.00 8.69 24.82 24.66 - - - - - CLGN080A - - - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Growth 75/75 (PP) 05/12/2026 17.49 -0.19 Foreign equity 4.74 0.67 0.01 3.90 7.21 13.42 9.94 4.98 - - 7.21 12.39 13.90 13.43 -23.60 9.26 25.47 25.31 - - - - - CLGP080A - - - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL International Growth 75/75 (PS1) 05/12/2026 32.97 -0.35 Foreign equity 4.65 0.39 -0.54 3.52 8.80 12.17 8.72 3.82 7.52 - 8.80 11.14 12.64 12.18 -24.45 8.06 24.09 23.93 -12.24 21.30 -4.83 12/31/2024 2.56 CLGO080A CLGO080B CLGO080D - - JPMorgan Asset Management (Canada) Inc. Fund fact Monthly profile
Add GWL Long Term Bond 100/100 05/12/2026 10.23 -0.05 Fixed income 0.29 -1.04 -3.37 -0.43 0.18 -2.30 -1.21 -3.82 -1.35 - 0.18 -3.17 -0.98 6.93 -23.78 -6.73 9.80 9.93 -2.45 4.43 0.03 12/31/2024 2.48 CLGM036I CLGM036J CLGM036L - - Canada Life Fund fact Monthly profile
Add GWL Long Term Bond 100/100 (P) 05/12/2026 8.95 -0.05 Fixed income 0.34 -0.91 -3.10 -0.25 -1.39 -1.76 -0.68 -3.30 - - -1.39 -2.66 -0.48 7.55 -23.37 -6.24 10.40 10.54 - - - - - CLGN036I - - - - Canada Life Fund fact Monthly profile
Add GWL Long Term Bond 100/100 (PP) 05/12/2026 9.36 -0.05 Fixed income 0.39 -0.77 -2.83 -0.07 -0.83 -1.20 -0.11 -2.75 - - -0.83 -2.10 0.10 8.16 -22.94 -5.72 11.02 11.18 - - - - - CLGP036I - - - - Canada Life Fund fact Monthly profile
Add GWL Long Term Bond 100/100 (PS1) 05/12/2026 10.99 -0.06 Fixed income 0.34 -0.90 -3.10 -0.24 0.75 -1.74 -0.66 -3.28 -0.79 - 0.75 -2.64 -0.45 7.57 -23.36 -6.22 10.41 10.56 -1.87 5.04 0.59 - 1.92 CLGO036I CLGO036J CLGO036L - - Canada Life Fund fact Monthly profile
Add GWL Long Term Bond 75/100 05/12/2026 10.44 -0.05 Fixed income 0.31 -1.00 -3.29 -0.38 0.35 -2.14 -1.06 -3.67 -1.19 - 0.35 -3.04 -0.85 7.15 -23.65 -6.59 9.97 10.12 -2.27 4.61 0.18 12/31/2024 2.32 CLGM036E CLGM036F CLGM036H - - Canada Life Fund fact Monthly profile
Add GWL Long Term Bond 75/100 (P) 05/12/2026 9.07 -0.05 Fixed income 0.35 -0.87 -3.03 -0.20 -1.23 -1.61 -0.52 -3.14 - - -1.23 -2.50 -0.30 7.73 -23.25 -6.09 10.58 10.73 - - - - - CLGN036E - - - - Canada Life Fund fact Monthly profile
Add GWL Long Term Bond 75/100 (PP) 05/12/2026 9.48 -0.05 Fixed income 0.40 -0.73 -2.76 -0.01 -0.67 -1.04 0.05 -2.60 - - -0.67 -1.93 0.27 8.32 -22.82 -5.58 11.20 11.35 - - - - - CLGP036E - - - - Canada Life Fund fact Monthly profile
Add GWL Long Term Bond 75/100 (PS1) 05/12/2026 11.23 -0.06 Fixed income 0.35 -0.86 -3.02 -0.19 0.92 -1.58 -0.50 -3.12 -0.63 - 0.92 -2.48 -0.29 7.75 -23.23 -6.07 10.59 10.75 -1.71 5.21 0.76 12/31/2024 1.75 CLGO036E CLGO036F CLGO036H - - Canada Life Fund fact Monthly profile
Add GWL Long Term Bond 75/75 05/12/2026 10.68 -0.06 Fixed income 0.32 -0.96 -3.21 -0.32 0.52 -1.98 -0.90 -3.51 -1.02 - 0.52 -2.88 -0.69 7.32 -23.53 -6.44 10.15 10.30 -2.11 4.79 0.35 12/31/2024 2.15 CLGM036A CLGM036B CLGM036D - - Canada Life Fund fact Monthly profile
Add GWL Long Term Bond 75/75 (P) 05/12/2026 9.07 -0.05 Fixed income 0.37 -0.83 -2.95 -0.15 -1.23 -1.44 -0.35 -2.98 - - -1.23 -2.33 -0.14 7.90 -23.12 -5.94 10.75 10.66 - - - - - CLGN036A - - - - Canada Life Fund fact Monthly profile
Add GWL Long Term Bond 75/75 (PP) 05/12/2026 9.60 -0.05 Fixed income 0.41 -0.70 -2.68 0.04 -0.51 -0.87 0.22 -2.44 - - -0.51 -1.76 0.43 8.51 -22.70 -5.43 11.38 11.54 - - - - - CLGP036A - - - - Canada Life Fund fact Monthly profile
Add GWL Long Term Bond 75/75 (PS1) 05/12/2026 11.47 -0.06 Fixed income 0.37 -0.82 -2.93 -0.14 1.08 -1.42 -0.33 -2.96 -0.46 - 1.08 -2.32 -0.13 7.93 -23.11 -5.93 10.77 10.93 -1.54 5.38 0.93 12/31/2024 1.58 CLGO036A CLGO036B CLGO036D - - Canada Life Fund fact Monthly profile
Add GWL Mackenzie Balanced 100/100 05/12/2026 22.23 0.00 Portfolio solution 2.49 2.12 3.61 2.85 4.91 13.57 8.52 5.05 5.37 4.66 4.91 9.43 11.54 7.10 -11.17 10.22 8.59 12.31 -4.90 4.10 6.78 12/31/2024 3.30 CLGM022I CLGM022J CLGM022L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced 100/100 (P) 05/12/2026 16.57 0.00 Portfolio solution 2.59 2.40 4.18 3.23 6.61 14.83 9.72 6.22 - - 6.61 10.65 12.78 8.29 -10.18 11.46 9.79 13.55 - - - - - CLGN022I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced 100/100 (PP) 05/12/2026 17.33 0.00 Portfolio solution 2.64 2.54 4.47 3.41 7.22 15.47 10.35 6.82 - - 7.22 11.27 13.43 8.90 -9.67 12.09 10.43 14.22 - - - - - CLGP022I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced 100/100 (PS1) 05/12/2026 22.48 0.00 Portfolio solution 2.54 2.26 3.90 3.04 5.93 14.21 9.13 5.64 5.97 - 5.93 10.05 12.17 7.71 -10.67 10.85 9.23 12.97 -4.34 4.72 7.39 12/31/2024 2.74 CLGO022I CLGO022J CLGO022L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced 75/100 05/12/2026 22.78 0.00 Portfolio solution 2.51 2.16 3.69 2.90 5.06 13.74 8.68 5.21 5.53 4.82 5.06 9.60 11.71 7.27 -11.03 10.39 8.76 12.49 -4.75 4.27 6.95 12/31/2024 3.15 CLGM022E CLGM022F CLGM022H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced 75/100 (P) 05/12/2026 16.77 0.00 Portfolio solution 2.60 2.44 4.26 3.27 6.77 15.00 9.89 6.38 - - 6.77 10.82 12.96 8.46 -10.04 11.63 9.96 13.73 - - - - - CLGN022E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced 75/100 (PP) 05/12/2026 17.55 0.00 Portfolio solution 2.65 2.58 4.55 3.47 7.39 15.66 10.53 7.00 - - 7.39 11.46 13.62 9.08 -9.52 12.27 10.61 14.40 - - - - - CLGP022E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced 75/100 (PS1) 05/12/2026 23.01 0.00 Portfolio solution 2.56 2.30 3.98 3.09 6.11 14.39 9.31 5.82 6.15 - 6.11 10.23 12.36 7.88 -10.52 11.03 9.41 13.16 -4.18 4.89 7.57 12/31/2024 2.57 CLGO022E CLGO022F CLGO022H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced 75/75 05/12/2026 23.02 0.00 Portfolio solution 2.51 2.17 3.72 2.92 5.13 13.81 8.74 5.27 5.59 4.88 5.13 9.66 11.78 7.33 -10.98 10.45 8.82 12.55 -4.70 4.32 7.00 12/31/2024 3.09 CLGM022A CLGM022B CLGM022D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced 75/75 (P) 05/12/2026 16.84 0.00 Portfolio solution 2.60 2.45 4.28 3.29 6.83 15.06 9.95 6.44 - - 6.83 10.87 13.02 8.51 -9.99 11.69 10.02 13.79 - - - - - CLGN022A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced 75/75 (PP) 05/12/2026 17.63 0.00 Portfolio solution 2.65 2.60 4.58 3.49 7.46 15.73 10.59 7.06 - - 7.46 11.52 13.69 9.14 -9.47 12.34 10.67 14.47 - - - - - CLGP022A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced 75/75 (PS1) 05/12/2026 23.18 0.00 Portfolio solution 2.56 2.32 4.01 3.11 6.17 14.46 9.37 5.88 6.21 - 6.17 10.29 12.42 7.94 -10.47 11.09 9.47 13.22 -4.13 4.95 7.63 12/31/2024 2.52 CLGO022A CLGO022B CLGO022D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced Income 100/100 05/12/2026 21.58 -0.01 Portfolio solution 2.29 1.91 3.19 2.61 4.72 12.37 7.95 4.62 4.97 4.40 4.72 8.67 10.89 6.97 -11.14 9.05 8.19 11.72 -4.51 3.91 6.38 12/31/2024 3.19 CLGM023I CLGM023J CLGM023L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced Income 100/100 (P) 05/12/2026 16.05 -0.01 Portfolio solution 2.39 2.19 3.76 2.99 6.18 13.64 9.17 5.79 - - 6.18 9.90 12.15 8.17 -10.16 10.25 9.36 12.94 - - - - - CLGN023I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced Income 100/100 (PP) 05/12/2026 16.79 -0.01 Portfolio solution 2.44 2.33 4.06 3.19 6.79 14.30 9.81 6.41 - - 6.79 10.54 12.81 8.80 -9.64 10.88 9.99 13.59 - - - - - CLGP023I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced Income 100/100 (PS1) 05/12/2026 21.55 -0.01 Portfolio solution 2.34 2.05 3.49 2.81 5.62 13.03 8.59 5.23 5.59 - 5.62 9.30 11.55 7.59 -10.63 9.68 8.82 12.38 -3.93 4.52 6.95 - - CLGO023I CLGO023J CLGO023L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced Income 75/100 05/12/2026 22.14 -0.01 Portfolio solution 2.31 1.95 3.27 2.67 4.89 12.56 8.13 4.79 5.15 4.57 4.89 8.85 11.08 7.15 -10.99 9.23 8.36 11.90 -4.35 4.08 6.55 12/31/2024 3.02 CLGM023E CLGM023F CLGM023H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced Income 75/100 (P) 05/12/2026 16.26 -0.01 Portfolio solution 2.40 2.23 3.85 3.04 6.35 13.83 9.36 5.97 - - 6.35 10.08 12.34 8.34 -10.01 10.44 9.54 13.13 - - - - - CLGN023E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced Income 75/100 (PP) 05/12/2026 17.01 -0.01 Portfolio solution 2.45 2.38 4.15 3.25 6.97 14.50 10.00 6.58 - - 6.97 10.73 13.01 8.98 -9.50 11.06 10.17 13.79 - - - - - CLGP023E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced Income 75/100 (PS1) 05/12/2026 22.05 -0.01 Portfolio solution 2.36 2.10 3.57 2.86 5.79 13.22 8.77 5.40 5.76 - 5.79 9.49 11.73 7.77 -10.48 9.86 9.00 12.56 -3.78 4.69 7.16 12/31/2024 2.44 CLGO023E CLGO023F CLGO023H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced Income 75/75 05/12/2026 22.30 -0.01 Portfolio solution 2.31 1.96 3.30 2.68 4.93 12.61 8.18 4.84 5.19 4.61 4.93 8.90 11.13 7.19 -10.95 9.28 8.41 11.95 -4.31 4.13 6.59 12/31/2024 2.98 CLGM023A CLGM023B CLGM023D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced Income 75/75 (P) 05/12/2026 16.31 -0.01 Portfolio solution 2.41 2.24 3.88 3.07 6.40 13.89 9.41 6.01 - - 6.40 10.13 12.39 8.39 -9.97 10.48 9.58 13.18 - - - - - CLGN023A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced Income 75/75 (PP) 05/12/2026 17.08 -0.01 Portfolio solution 2.46 2.39 4.18 3.26 7.03 14.56 10.06 6.64 - - 7.03 10.79 13.07 9.03 -9.45 11.12 10.23 13.84 - - - - - CLGP023A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Balanced Income 75/75 (PS1) 05/12/2026 22.21 -0.01 Portfolio solution 2.36 2.11 3.60 2.88 5.84 13.28 8.83 5.46 5.81 - 5.84 9.55 11.80 7.83 -10.44 9.91 9.06 12.62 -3.78 4.75 7.18 12/31/2024 2.38 CLGO023A CLGO023B CLGO023D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Growth 100/100 05/12/2026 19.67 -0.02 Portfolio solution 1.89 1.42 2.34 2.10 4.15 10.11 6.84 3.72 4.25 3.89 4.15 7.34 9.47 6.54 -11.17 6.92 8.57 10.50 -3.74 3.29 5.48 12/31/2024 2.95 CLGM024I CLGM024J CLGM024L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Growth 100/100 (P) 05/12/2026 15.05 -0.01 Portfolio solution 1.98 1.68 2.88 2.46 5.33 11.26 7.96 4.71 - - 5.33 8.45 10.60 7.63 -10.41 7.74 9.65 11.70 - - - - - CLGN024I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Growth 100/100 (PP) 05/12/2026 15.74 -0.01 Portfolio solution 2.02 1.83 3.17 2.65 5.93 11.90 8.57 5.31 - - 5.93 9.07 11.23 8.24 -9.91 8.36 10.29 12.35 - - - - - CLGP024I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Growth 100/100 (PS1) 05/12/2026 19.46 -0.02 Portfolio solution 1.93 1.56 2.63 2.29 4.86 10.70 7.41 4.18 4.77 - 4.86 7.91 10.04 7.08 -10.87 7.19 9.12 11.16 -3.17 3.90 6.03 12/31/2024 2.39 CLGO024I CLGO024J CLGO024L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Growth 75/100 05/12/2026 20.01 -0.02 Portfolio solution 1.90 1.45 2.41 2.15 4.25 10.24 6.96 3.75 4.32 3.99 4.25 7.45 9.58 6.64 -11.23 6.75 8.63 10.67 -3.60 3.45 5.61 12/31/2024 2.80 CLGM024E CLGM024F CLGM024H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Growth 75/100 (P) 05/12/2026 15.23 -0.01 Portfolio solution 1.99 1.72 2.96 2.51 5.48 11.43 8.12 4.87 - - 5.48 8.61 10.77 7.79 -10.28 7.89 9.82 11.86 - - - - - CLGN024E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Growth 75/100 (PP) 05/12/2026 15.95 -0.01 Portfolio solution 2.04 1.87 3.26 2.71 6.10 12.08 8.75 5.48 - - 6.10 9.25 11.41 8.41 -9.76 8.52 10.48 12.53 - - - - - CLGP024E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Growth 75/100 (PS1) 05/12/2026 19.92 -0.02 Portfolio solution 1.95 1.60 2.71 2.34 5.03 10.88 7.59 4.35 4.94 - 5.03 8.08 10.22 7.26 -10.72 7.37 9.29 11.34 -3.01 4.07 6.23 12/31/2024 2.22 CLGO024E CLGO024F CLGO024H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Growth 75/75 05/12/2026 20.17 -0.02 Portfolio solution 1.90 1.46 2.44 2.17 4.30 10.30 7.02 3.81 4.38 4.04 4.30 7.51 9.64 6.70 -11.18 6.80 8.69 10.73 -3.54 3.51 5.66 12/31/2024 2.75 CLGM024A CLGM024B CLGM024D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Growth 75/75 (P) 05/12/2026 15.30 -0.01 Portfolio solution 1.99 1.74 2.99 2.53 5.55 11.50 8.19 4.94 - - 5.55 8.69 10.83 7.87 -10.22 7.96 9.88 11.92 - - - - - CLGN024A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Growth 75/75 (PP) 05/12/2026 16.10 -0.01 Portfolio solution 2.05 1.91 3.35 2.76 6.23 12.33 8.98 5.65 - - 6.23 9.51 11.66 8.61 -9.68 8.58 10.55 12.59 - - - - - CLGP024A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Growth 75/75 (PS1) 05/12/2026 20.07 -0.02 Portfolio solution 1.95 1.61 2.73 2.36 5.09 10.93 7.65 4.41 5.00 - 5.09 8.13 16.51 1.61 -10.67 7.42 9.35 11.40 -2.96 4.13 6.28 - 2.16 CLGO024A CLGO024B CLGO024D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Income 100/100 05/12/2026 17.58 -0.02 Portfolio solution 1.50 0.94 1.43 1.56 3.45 7.58 5.45 2.41 3.12 3.12 3.45 5.58 7.85 5.88 -11.71 3.94 7.81 9.22 -3.07 2.48 4.29 12/31/2024 2.96 CLGM025I CLGM025J CLGM025L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Income 100/100 (P) 05/12/2026 13.94 -0.02 Portfolio solution 1.59 1.21 1.99 1.93 4.31 8.78 6.64 3.57 - - 4.31 6.76 9.07 7.08 -10.71 5.10 9.02 10.44 - - - - - CLGN025I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Income 100/100 (PP) 05/12/2026 14.62 -0.02 Portfolio solution 1.64 1.36 2.29 2.13 4.94 9.43 7.28 4.20 - - 4.94 7.41 9.74 7.71 -10.17 5.73 9.70 11.14 - - - - - CLGP025I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Income 100/100 (PS1) 05/12/2026 17.18 -0.02 Portfolio solution 1.54 1.08 1.71 1.75 3.93 8.20 6.07 3.02 3.74 - 3.93 6.20 8.49 6.51 -11.19 4.54 8.48 9.89 -2.48 3.12 4.94 - 2.31 CLGO025I CLGO025J CLGO025L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Income 75/100 05/12/2026 18.02 -0.03 Portfolio solution 1.51 0.97 1.49 1.60 3.60 7.73 5.60 2.57 3.28 3.27 3.60 5.73 8.01 6.04 -11.58 4.09 7.98 9.38 -2.94 2.64 4.47 12/31/2024 2.80 CLGM025E CLGM025F CLGM025H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Income 75/100 (P) 05/12/2026 14.11 -0.02 Portfolio solution 1.60 1.25 2.07 1.98 4.47 8.96 6.81 3.74 - - 4.47 6.94 9.24 7.25 -10.57 5.26 9.20 10.63 - - - - - CLGN025E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Income 75/100 (PP) 05/12/2026 14.82 -0.02 Portfolio solution 1.65 1.40 2.38 2.19 5.12 9.62 7.47 4.37 - - 5.12 7.60 9.93 7.91 -10.02 5.90 9.89 11.33 - - - - - CLGP025E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Income 75/100 (PS1) 05/12/2026 17.59 -0.02 Portfolio solution 1.56 1.12 1.80 1.80 4.11 8.39 6.25 3.19 3.92 - 4.11 6.38 8.67 6.69 -11.03 4.72 8.66 10.07 -2.32 3.29 5.12 12/31/2024 2.19 CLGO025E CLGO025F CLGO025H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Income 75/75 05/12/2026 18.20 -0.03 Portfolio solution 1.51 0.98 1.52 1.62 3.66 7.79 5.66 2.62 3.33 3.33 3.66 5.79 8.07 6.10 -11.53 4.14 8.04 9.44 -2.88 2.70 4.53 12/31/2024 2.75 CLGM025A CLGM025B CLGM025D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Income 75/75 (P) 05/12/2026 14.18 -0.02 Portfolio solution 1.61 1.26 2.09 2.00 4.53 9.02 6.87 3.80 - - 4.53 7.00 9.32 7.30 -10.52 5.34 9.25 10.68 - - - - - CLGN025A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Income 75/75 (PP) 05/12/2026 14.88 -0.02 Portfolio solution 1.66 1.42 2.40 2.20 5.18 9.69 7.53 4.43 - - 5.18 7.66 9.98 7.96 -9.97 5.98 9.95 11.38 - - - - - CLGP025A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mackenzie Moderate Income 75/75 (PS1) 05/12/2026 17.73 -0.02 Portfolio solution 1.56 1.13 1.83 1.82 4.17 8.45 6.31 3.25 3.98 - 4.17 6.44 8.74 6.75 -10.98 4.78 8.72 10.14 -2.26 3.34 5.17 12/31/2024 2.13 CLGO025A CLGO025B CLGO025D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Mid Cap Canada 100/100 05/12/2026 36.85 0.29 Canadian equity 3.53 1.80 6.21 3.66 7.08 25.04 10.29 3.64 5.90 4.93 7.08 15.32 11.71 3.12 -15.76 7.11 20.74 23.12 -13.08 0.89 12.46 12/31/2024 3.38 CLGM066I CLGM066J CLGM066L - - Mackenzie Investments Monthly profile
Add GWL Mid Cap Canada 100/100 (P) 05/12/2026 17.63 0.14 Canadian equity 3.62 2.08 6.79 4.03 7.08 26.41 11.50 4.78 - - 7.08 16.59 12.94 4.24 -14.84 8.28 22.05 24.47 - - - - - CLGN066I - - - - Mackenzie Investments Monthly profile
Add GWL Mid Cap Canada 100/100 (PP) 05/12/2026 18.32 0.14 Canadian equity 3.66 2.20 7.05 4.20 7.61 27.03 12.05 5.29 - - 7.61 17.16 13.49 4.76 -14.42 8.82 22.65 25.07 - - - - - CLGP066I - - - - Mackenzie Investments Monthly profile
Add GWL Mid Cap Canada 100/100 (PS1) 05/12/2026 27.49 0.22 Canadian equity 3.57 1.93 6.47 3.83 7.26 25.65 10.83 4.15 6.42 - 7.26 15.89 12.26 3.63 -15.34 7.64 21.33 23.73 -12.65 1.40 13.03 12/31/2024 2.89 CLGO066I CLGO066J CLGO066L - - Mackenzie Investments Monthly profile
Add GWL Mid Cap Canada 75/100 05/12/2026 39.55 0.31 Canadian equity 3.56 1.91 6.43 3.80 7.53 25.56 10.75 4.07 6.33 5.37 7.53 15.80 12.17 3.55 -15.41 7.55 21.24 23.63 -12.73 1.27 12.89 12/31/2024 2.97 CLGM066E CLGM066F CLGM066H - - Mackenzie Investments Monthly profile
Add GWL Mid Cap Canada 75/100 (P) 05/12/2026 18.22 0.14 Canadian equity 3.66 2.18 7.01 4.17 7.52 26.94 11.96 5.21 - - 7.52 17.07 13.41 4.68 -14.48 8.73 22.56 24.99 - - - - - CLGN066E - - - - Mackenzie Investments Monthly profile
Add GWL Mid Cap Canada 75/100 (PP) 05/12/2026 18.92 0.15 Canadian equity 3.70 2.30 7.26 4.34 8.04 27.53 12.48 5.70 - - 8.04 17.61 13.94 5.16 -14.09 9.23 23.31 25.59 - - - - - CLGP066E - - - - Mackenzie Investments Monthly profile
Add GWL Mid Cap Canada 75/100 (PS1) 05/12/2026 29.00 0.23 Canadian equity 3.60 2.02 6.67 3.96 7.67 26.14 11.26 4.55 6.83 - 7.67 16.33 12.69 4.02 -15.02 8.05 21.79 24.20 -12.31 1.79 13.46 12/31/2024 2.51 CLGO066E CLGO066F CLGO066H - - Mackenzie Investments Monthly profile
Add GWL Mid Cap Canada 75/75 05/12/2026 41.01 0.32 Canadian equity 3.58 1.96 6.55 3.87 7.76 25.84 10.99 4.30 6.56 5.60 7.76 16.05 12.42 3.77 -15.22 7.79 21.50 23.90 -12.54 1.49 13.13 12/31/2024 2.75 CLGM066A CLGM066B CLGM066D - - Mackenzie Investments Monthly profile
Add GWL Mid Cap Canada 75/75 (P) 05/12/2026 18.53 0.15 Canadian equity 3.67 2.23 7.12 4.25 7.76 27.21 12.21 5.44 - - 7.76 17.33 13.66 4.91 -14.30 8.97 22.83 25.26 - - - - - CLGN066A - - - - Mackenzie Investments Monthly profile
Add GWL Mid Cap Canada 75/75 (PP) 05/12/2026 19.21 0.15 Canadian equity 3.71 2.35 7.37 4.40 8.25 27.79 12.72 5.93 - - 8.25 17.86 14.18 5.39 -13.90 9.47 23.39 25.84 - - - - - CLGP066A - - - - Mackenzie Investments Monthly profile
Add GWL Mid Cap Canada 75/75 (PS1) 05/12/2026 29.90 0.24 Canadian equity 3.62 2.08 6.79 4.03 7.91 26.41 11.50 4.78 7.06 - 7.91 16.58 12.94 4.25 -14.84 8.28 22.06 24.47 -12.12 2.01 13.71 12/31/2024 2.29 CLGO066A CLGO066B CLGO066D - - Mackenzie Investments Monthly profile
Add GWL Mid Cap Canada NL 05/12/2026 1,577.91 12.40 Canadian equity 3.58 1.96 6.55 3.87 7.41 25.83 10.99 4.30 6.53 5.50 7.41 16.05 12.42 3.77 -15.22 7.79 21.50 23.90 -12.48 1.27 12.89 12/31/2024 2.75 - - - CLGTO066 - Mackenzie Investments Monthly profile
Add GWL Moderate Portfolio DSC 05/12/2026 619.38 -1.30 Portfolio solution 2.21 1.15 1.89 2.31 4.14 9.02 6.14 3.31 3.21 3.67 4.14 5.59 8.45 6.00 -9.22 4.42 5.09 6.92 -1.47 2.30 2.76 12/31/2024 2.48 - CLGTJ005 - - - Mackenzie Investments Monthly profile
Add GWL Moderate Portfolio NL 05/12/2026 590.78 -1.24 Portfolio solution 2.21 1.15 1.89 2.31 3.97 9.02 6.14 3.31 3.18 3.57 3.97 5.59 8.45 6.00 -9.22 4.42 5.09 6.92 -1.40 2.08 2.54 12/31/2024 2.48 - - - CLGTO005 - Mackenzie Investments Monthly profile
Add GWL Moderate Portfolio 100/100 05/12/2026 18.45 -0.04 Portfolio solution 2.16 1.01 1.61 2.13 3.44 8.43 5.57 2.75 2.72 3.26 3.44 5.01 7.86 5.42 -9.71 3.86 4.53 6.34 -1.84 2.09 2.55 12/31/2024 3.02 CLGM005I CLGM005J CLGM005L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Moderate Portfolio 100/100 (P) 05/12/2026 13.64 -0.03 Portfolio solution 2.25 1.29 2.17 2.50 3.94 9.63 6.74 3.89 - - 3.94 6.18 9.06 6.59 -8.71 5.01 5.68 7.52 - - - - - CLGN005I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Moderate Portfolio 100/100 (PP) 05/12/2026 14.19 -0.03 Portfolio solution 2.30 1.42 2.43 2.67 4.47 10.19 7.29 4.42 - - 4.47 6.72 9.62 7.13 -8.24 5.55 6.23 8.07 - - - - - CLGP005I - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Moderate Portfolio 100/100 (PS1) 05/12/2026 16.95 -0.04 Portfolio solution 2.20 1.14 1.87 2.30 3.79 8.98 6.11 3.27 3.25 - 3.79 5.55 8.41 5.96 -9.25 4.39 5.07 6.89 -1.33 2.62 3.07 12/31/2024 2.51 CLGO005I CLGO005J CLGO005L - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Moderate Portfolio 75/100 05/12/2026 19.12 -0.04 Portfolio solution 2.18 1.08 1.75 2.22 3.87 8.71 5.85 3.02 2.97 3.48 3.87 5.29 8.15 5.70 -9.47 4.14 4.81 6.62 -1.63 2.25 2.71 12/31/2024 2.75 CLGM005E CLGM005F CLGM005H - CLGR005E Portfolio Solutions Group Fund fact Monthly profile
Add GWL Moderate Portfolio 75/100 (P) 05/12/2026 13.93 -0.03 Portfolio solution 2.28 1.36 2.31 2.59 4.22 9.92 7.03 4.17 - - 4.22 6.47 9.36 6.87 -8.47 5.29 5.97 7.81 - - - - - CLGN005E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Moderate Portfolio 75/100 (PP) 05/12/2026 14.38 -0.03 Portfolio solution 2.31 1.46 2.51 2.73 4.65 10.37 7.47 4.59 - - 4.65 6.90 9.81 7.31 -8.09 5.72 6.41 8.25 - - - - - CLGP005E - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Moderate Portfolio 75/100 (PS1) 05/12/2026 17.34 -0.04 Portfolio solution 2.22 1.18 1.95 2.35 3.96 9.16 6.28 3.44 3.42 - 3.96 5.72 8.59 6.13 -9.10 4.56 5.24 7.07 -1.17 2.79 3.25 12/31/2024 2.34 CLGO005E CLGO005F CLGO005H - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Moderate Portfolio 75/75 05/12/2026 19.65 -0.04 Portfolio solution 2.21 1.15 1.89 2.31 3.83 9.02 6.14 3.31 3.21 3.66 3.83 5.58 8.45 6.00 -9.22 4.43 5.09 6.92 -1.47 2.30 2.76 12/31/2024 2.48 CLGM005A CLGM005B CLGM005D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Moderate Portfolio 75/75 (P) 05/12/2026 14.23 -0.03 Portfolio solution 2.30 1.43 2.45 2.68 4.51 10.23 7.33 4.46 - - 4.51 6.76 9.66 7.17 -8.21 5.58 6.26 8.11 - - - - - CLGN005A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Moderate Portfolio 75/75 (PP) 05/12/2026 14.51 -0.03 Portfolio solution 2.32 1.49 2.57 2.77 4.76 10.50 7.59 4.71 - - 4.76 7.02 9.93 7.43 -7.99 5.84 6.53 8.37 - - - - - CLGP005A - - - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Moderate Portfolio 75/75 (PS1) 05/12/2026 17.61 -0.04 Portfolio solution 2.23 1.21 2.01 2.39 4.08 9.28 6.40 3.56 3.54 - 4.08 5.84 8.71 6.25 -9.00 4.68 5.36 7.18 -1.06 2.90 3.36 12/31/2024 2.23 CLGO005A CLGO005B CLGO005D - - Portfolio Solutions Group Fund fact Monthly profile
Add GWL Money Market DSC 05/12/2026 247.99 0.01 Money market 0.10 0.29 0.61 0.39 1.71 1.41 2.76 2.11 1.15 0.80 1.71 1.71 3.62 3.69 1.10 0.13 0.15 0.45 0.26 0.10 0.06 12/31/2024 1.34 - CLGTJ026 - - - Mackenzie Investments Monthly profile
Add GWL Money Market NL 05/12/2026 251.82 0.01 Money market 0.11 0.32 0.66 0.43 3.97 1.52 2.88 2.20 1.22 0.90 3.97 1.83 3.74 3.81 1.15 0.13 0.17 0.56 0.32 0.10 0.06 12/31/2024 1.23 - - - CLGTO026 - Mackenzie Investments Monthly profile
Add GWL Money Market 100/100 05/12/2026 11.27 0.00 Money market 0.09 0.28 0.58 0.38 0.72 1.37 2.72 2.08 1.13 0.78 0.72 1.67 3.57 3.65 1.08 0.13 0.14 0.40 0.24 0.10 0.06 12/31/2024 1.38 CLGM026I CLGM026J CLGM026L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Money Market 100/100 (P) 05/12/2026 11.43 0.00 Money market 0.11 0.33 0.71 0.45 1.72 1.64 3.00 2.36 - - 1.72 1.96 3.85 3.92 1.43 0.30 0.53 0.75 - - - - - CLGN026I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Money Market 100/100 (PP) 05/12/2026 11.60 0.00 Money market 0.13 0.40 0.85 0.54 1.91 1.93 3.29 2.58 - - 1.91 2.25 4.15 4.21 1.56 0.30 0.58 0.97 - - - - - CLGP026I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Money Market 100/100 (PS1) 05/12/2026 11.51 0.00 Money market 0.12 0.35 0.73 0.47 1.01 1.66 3.01 2.30 1.30 - 1.01 1.96 3.87 3.94 1.23 0.13 0.20 0.69 0.42 0.12 0.08 12/31/2024 1.10 CLGO026I CLGO026J CLGO026L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Money Market 75/100 05/12/2026 11.30 0.00 Money market 0.10 0.29 0.61 0.39 0.74 1.41 2.76 2.11 1.15 0.80 0.74 1.71 3.62 3.69 1.10 0.13 0.15 0.45 0.26 0.10 0.06 12/31/2024 1.34 CLGM026E CLGM026F CLGM026H - CLGR026E Mackenzie Investments Fund fact Monthly profile
Add GWL Money Market 75/100 (P) 05/12/2026 11.44 0.00 Money market 0.12 0.36 0.75 0.48 1.73 1.69 3.05 2.39 - - 1.73 1.99 3.91 3.97 1.44 0.26 0.49 0.75 - - - - - CLGN026E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Money Market 75/100 (PP) 05/12/2026 11.63 0.00 Money market 0.14 0.44 0.90 0.58 1.95 2.00 3.36 2.62 - - 1.95 2.30 4.22 4.29 1.59 0.26 0.57 1.03 - - - - - CLGP026E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Money Market 75/100 (PS1) 05/12/2026 11.55 0.00 Money market 0.12 0.37 0.76 0.49 1.04 1.71 3.07 2.35 1.33 - 1.04 2.02 3.93 4.00 1.26 0.13 0.22 0.75 0.46 0.12 0.08 12/31/2024 1.04 CLGO026E CLGO026F CLGO026H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Money Market 75/75 05/12/2026 11.29 0.00 Money market 0.10 0.29 0.61 0.39 0.74 1.41 2.76 2.11 1.15 0.80 0.74 1.71 3.62 3.69 1.10 0.13 0.15 0.45 0.26 0.10 0.06 12/31/2024 1.34 CLGM026A CLGM026B CLGM026D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Money Market 75/75 (P) 05/12/2026 11.44 0.00 Money market 0.12 0.36 0.74 0.48 1.73 1.69 3.05 2.39 - - 1.73 1.99 3.91 3.98 1.44 0.26 0.49 0.74 - - - - - CLGN026A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Money Market 75/75 (PP) 05/12/2026 11.66 0.00 Money market 0.15 0.45 0.92 0.60 1.98 2.05 3.41 2.66 - - 1.98 2.35 4.28 4.32 1.61 0.26 0.59 1.08 - - - - - CLGP026A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Money Market 75/75 (PS1) 05/12/2026 11.61 0.00 Money market 0.13 0.38 0.78 0.51 1.07 1.77 3.13 2.39 1.36 - 1.07 2.07 3.99 4.05 1.29 0.13 0.24 0.80 0.50 0.12 0.08 12/31/2024 0.99 CLGO026A CLGO026B CLGO026D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Mortgage NL 05/12/2026 400.11 -0.51 Fixed income -0.17 -0.30 -0.38 -0.09 3.88 0.97 2.80 0.27 0.54 0.97 3.88 2.24 4.51 3.24 -7.63 -1.90 3.95 1.75 0.89 -0.55 -1.13 12/31/2024 2.39 - - - CLGTO037 - Mackenzie Investments Monthly profile
Add GWL Mortgage 100/100 05/12/2026 12.87 -0.02 Fixed income -0.18 -0.33 -0.43 -0.12 1.31 0.86 2.68 0.16 0.46 0.95 1.31 2.13 4.39 3.12 -7.73 -2.01 3.83 1.64 0.72 -0.43 -1.01 12/31/2024 2.50 CLGM037I CLGM037J CLGM037L - - Canada Life Investment Management Fund fact Monthly profile
Add GWL Mortgage 100/100 (P) 05/12/2026 11.50 -0.01 Fixed income -0.09 -0.05 0.11 0.24 1.81 1.98 3.83 1.27 - - 1.81 3.26 5.56 4.27 -6.61 -1.03 4.98 2.76 - - - - - CLGN037I - - - - Canada Life Investment Management Fund fact Monthly profile
Add GWL Mortgage 100/100 (PP) 05/12/2026 11.82 -0.01 Fixed income -0.06 0.03 0.29 0.36 2.17 2.33 4.19 1.63 - - 2.17 3.62 5.93 4.62 -6.28 -0.69 5.35 3.12 - - - - - CLGP037I - - - - Canada Life Investment Management Fund fact Monthly profile
Add GWL Mortgage 100/100 (PS1) 05/12/2026 11.50 -0.01 Fixed income -0.15 -0.24 -0.26 -0.01 1.01 1.21 3.05 0.52 0.82 - 1.01 2.49 4.76 3.49 -7.41 -1.67 4.20 1.99 1.09 -0.03 -0.62 12/31/2024 2.15 CLGO037I CLGO037J CLGO037L - - Canada Life Investment Management Fund fact Monthly profile
Add GWL Mortgage 75/100 05/12/2026 12.98 -0.02 Fixed income -0.18 -0.31 -0.41 -0.10 1.56 0.91 2.74 0.22 0.51 1.00 1.56 2.18 4.45 3.18 -7.68 -1.96 3.89 1.69 0.77 -0.38 -0.97 12/31/2024 2.45 CLGM037E CLGM037F CLGM037H - CLGR037E Canada Life Investment Management Fund fact Monthly profile
Add GWL Mortgage 75/100 (P) 05/12/2026 11.57 -0.01 Fixed income -0.09 -0.04 0.15 0.26 1.88 2.06 3.92 1.35 - - 1.88 3.36 5.65 4.35 -6.64 -0.88 5.03 2.82 - - - - - CLGN037E - - - - Canada Life Investment Management Fund fact Monthly profile
Add GWL Mortgage 75/100 (PP) 05/12/2026 11.92 -0.01 Fixed income -0.05 0.06 0.34 0.39 2.27 2.45 4.31 1.74 - - 2.27 3.74 6.05 4.75 -6.18 -0.58 5.40 3.23 - - - - - CLGP037E - - - - Canada Life Investment Management Fund fact Monthly profile
Add GWL Mortgage 75/100 (PS1) 05/12/2026 11.68 -0.01 Fixed income -0.15 -0.21 -0.20 0.03 1.12 1.32 3.16 0.63 0.93 - 1.12 2.60 4.88 3.60 -7.30 -1.56 4.31 2.11 1.20 0.07 -0.51 12/31/2024 2.04 CLGO037E CLGO037F CLGO037H - - Canada Life Investment Management Fund fact Monthly profile
Add GWL Mortgage 75/75 05/12/2026 13.10 -0.02 Fixed income -0.17 -0.30 -0.38 -0.09 1.42 0.97 2.80 0.27 0.57 1.06 1.42 2.24 4.51 3.24 -7.63 -1.90 3.95 1.75 0.82 -0.33 -0.92 12/31/2024 2.39 CLGM037A CLGM037B CLGM037D - - Canada Life Investment Management Fund fact Monthly profile
Add GWL Mortgage 75/75 (P) 05/12/2026 11.60 -0.01 Fixed income -0.08 -0.03 0.17 0.28 1.92 2.09 3.94 1.38 - - 1.92 3.38 5.67 4.38 -6.61 -0.81 5.10 2.88 - - - - - CLGN037A - - - - Canada Life Investment Management Fund fact Monthly profile
Add GWL Mortgage 75/75 (PP) 05/12/2026 11.98 -0.01 Fixed income -0.05 0.07 0.37 0.41 2.34 2.50 4.36 1.80 - - 2.34 3.80 6.11 4.80 -6.23 -0.41 5.54 3.30 - - - - - CLGP037A - - - - Canada Life Investment Management Fund fact Monthly profile
Add GWL Mortgage 75/75 (PS1) 05/12/2026 11.77 -0.01 Fixed income -0.14 -0.20 -0.18 0.05 1.17 1.38 3.22 0.68 0.99 - 1.17 2.66 4.94 3.65 -7.25 -1.50 4.37 2.16 1.26 0.13 -0.46 12/31/2024 1.98 CLGO037A CLGO037B CLGO037D - - Canada Life Investment Management Fund fact Monthly profile
Add GWL North American High Yield Fixed Income 100/100 05/12/2026 12.84 -0.03 Fixed income 1.07 0.11 0.19 0.04 1.99 3.39 4.31 0.75 2.28 - 1.99 2.82 6.37 6.73 -11.99 1.38 4.40 10.52 -6.41 3.87 12.17 12/31/2024 2.78 CLGM038I CLGM038J CLGM038L - - Mackenzie Investments Fund fact Monthly profile
Add GWL North American High Yield Fixed Income 100/100 (P) 05/12/2026 11.97 -0.02 Fixed income 1.12 0.26 0.48 0.22 2.35 3.99 4.91 1.33 - - 2.35 3.41 6.98 7.33 -11.49 1.96 5.03 11.14 - - - - - CLGN038I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL North American High Yield Fixed Income 100/100 (PP) 05/12/2026 12.54 -0.03 Fixed income 1.16 0.40 0.77 0.42 2.96 4.60 5.53 1.92 - - 2.96 4.03 7.61 7.96 -10.97 2.56 5.68 11.83 - - - - - CLGP038I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL North American High Yield Fixed Income 100/100 (PS1) 05/12/2026 13.86 -0.03 Fixed income 1.12 0.26 0.48 0.23 2.59 4.00 4.93 1.35 2.90 - 2.59 3.43 7.01 7.36 -11.47 1.97 5.05 11.20 -5.84 4.50 12.84 12/31/2024 2.19 CLGO038I CLGO038J CLGO038L - - Mackenzie Investments Fund fact Monthly profile
Add GWL North American High Yield Fixed Income 75/100 05/12/2026 13.13 -0.03 Fixed income 1.08 0.15 0.27 0.09 2.16 3.57 4.49 0.92 2.46 - 2.16 3.00 6.56 6.91 -11.84 1.55 4.58 10.71 -6.25 4.04 12.36 12/31/2024 2.61 CLGM038E CLGM038F CLGM038H - - Mackenzie Investments Fund fact Monthly profile
Add GWL North American High Yield Fixed Income 75/100 (P) 05/12/2026 12.13 -0.02 Fixed income 1.13 0.30 0.56 0.28 2.52 4.16 5.09 1.50 - - 2.52 3.58 7.17 7.52 -11.34 2.12 5.17 11.34 - - - - - CLGN038E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL North American High Yield Fixed Income 75/100 (PP) 05/12/2026 12.71 -0.03 Fixed income 1.18 0.44 0.86 0.48 3.14 4.78 5.71 2.10 - - 3.14 4.21 7.80 8.15 -10.82 2.73 5.85 12.02 - - - - - CLGP038E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL North American High Yield Fixed Income 75/100 (PS1) 05/12/2026 14.17 -0.03 Fixed income 1.13 0.30 0.57 0.29 2.77 4.18 5.11 1.52 3.07 - 2.77 3.61 7.19 7.54 -11.32 2.15 5.23 11.38 -5.68 4.67 13.03 12/31/2024 2.02 CLGO038E CLGO038F CLGO038H - - Mackenzie Investments Fund fact Monthly profile
Add GWL North American High Yield Fixed Income 75/75 05/12/2026 13.50 -0.03 Fixed income 1.11 0.22 0.42 0.18 2.38 3.86 4.79 1.21 2.71 - 2.38 3.29 6.86 7.21 -11.59 1.84 4.87 11.02 -6.04 4.16 12.48 12/31/2024 2.32 CLGM038A CLGM038B CLGM038D - - Mackenzie Investments Fund fact Monthly profile
Add GWL North American High Yield Fixed Income 75/75 (P) 05/12/2026 12.40 -0.02 Fixed income 1.15 0.37 0.70 0.37 2.81 4.45 5.39 1.79 - - 2.81 3.88 7.47 7.82 -11.09 2.41 5.47 11.65 - - - - - CLGN038A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL North American High Yield Fixed Income 75/75 (PP) 05/12/2026 12.82 -0.03 Fixed income 1.19 0.47 0.91 0.51 3.25 4.89 5.83 2.21 - - 3.25 4.32 7.92 8.27 -10.72 2.84 5.94 12.14 - - - - - CLGP038A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL North American High Yield Fixed Income 75/75 (PS1) 05/12/2026 14.37 -0.03 Fixed income 1.14 0.33 0.62 0.32 2.88 4.30 5.23 1.64 3.19 - 2.88 3.73 7.31 7.66 -11.22 2.26 5.35 11.51 -5.57 4.79 13.15 12/31/2024 1.90 CLGO038A CLGO038B CLGO038D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Real Estate NL 05/12/2026 349.85 0.31 Specialty -0.36 -0.03 0.04 0.45 3.44 -1.41 -3.06 -0.14 1.45 3.45 3.44 -2.50 -3.54 -5.80 4.13 8.32 -0.45 5.95 3.99 3.00 2.13 12/31/2024 3.06 - - - CLGTO069 - GWL Realty Advisors Inc. Monthly profile
Add GWL Real Estate 100/100 05/12/2026 15.82 0.01 Specialty -0.40 -0.16 -0.21 0.27 2.91 -1.92 -3.56 -0.65 0.94 2.95 2.91 -3.01 -4.05 -6.29 3.60 7.76 -0.97 5.37 3.36 2.67 1.80 12/31/2024 3.60 CLGM069I CLGM069J CLGM069L - - GWL Realty Advisors Inc. Fund fact Monthly profile
Add GWL Real Estate 100/100 (P) 05/12/2026 11.21 0.01 Specialty -0.31 0.11 0.21 0.64 1.46 -0.96 -2.61 0.32 - - 1.46 -2.06 -3.09 -5.37 4.63 8.80 0.01 6.45 - - - - - CLGN069I - - - - GWL Realty Advisors Inc. Fund fact Monthly profile
Add GWL Real Estate 100/100 (PP) 05/12/2026 11.62 0.01 Specialty -0.27 0.23 0.44 0.78 1.92 -0.51 -2.17 0.78 - - 1.92 -1.61 -2.64 -4.94 5.10 9.29 0.47 6.92 - - - - - CLGP069I - - - - GWL Realty Advisors Inc. Fund fact Monthly profile
Add GWL Real Estate 100/100 (PS1) 05/12/2026 14.27 0.01 Specialty -0.36 -0.05 0.00 0.42 2.58 -1.49 -3.14 -0.22 1.38 - 2.58 -2.58 -3.62 -5.88 4.03 8.23 -0.54 5.85 3.82 3.13 2.23 12/31/2024 3.15 CLGO069I CLGO069J CLGO069L - - GWL Realty Advisors Inc. Fund fact Monthly profile
Add GWL Real Estate 75/100 05/12/2026 17.09 0.02 Specialty -0.37 -0.05 -0.01 0.41 3.38 -1.51 -3.15 -0.23 1.37 3.42 3.38 -2.60 -3.62 -5.89 4.03 8.22 -0.55 5.84 3.81 3.12 2.25 12/31/2024 3.16 CLGM069E CLGM069F CLGM069H - - GWL Realty Advisors Inc. Fund fact Monthly profile
Add GWL Real Estate 75/100 (P) 05/12/2026 11.66 0.01 Specialty -0.27 0.22 0.50 0.78 1.97 -0.45 -2.11 0.84 - - 1.97 -1.55 -2.59 -4.88 5.15 9.38 0.52 6.97 - - - - - CLGN069E - - - - GWL Realty Advisors Inc. Fund fact Monthly profile
Add GWL Real Estate 75/100 (PP) 05/12/2026 12.01 0.01 Specialty -0.24 0.32 0.68 0.91 2.36 -0.07 -1.74 1.22 - - 2.36 -1.18 -2.22 -4.51 5.54 9.80 0.91 7.36 - - - - - CLGP069E - - - - GWL Realty Advisors Inc. Fund fact Monthly profile
Add GWL Real Estate 75/100 (PS1) 05/12/2026 15.03 0.01 Specialty -0.33 0.05 0.17 0.55 2.96 -1.13 -2.78 0.15 1.76 - 2.96 -2.22 -3.26 -5.52 4.42 8.63 -0.17 6.25 4.21 3.50 2.61 12/31/2024 2.76 CLGO069E CLGO069F CLGO069H - - GWL Realty Advisors Inc. Fund fact Monthly profile
Add GWL Real Estate 75/75 05/12/2026 17.42 0.02 Specialty -0.36 -0.03 0.04 0.45 3.50 -1.41 -3.06 -0.14 1.47 3.53 3.50 -2.50 -3.53 -5.79 4.13 8.31 -0.45 5.94 3.91 3.21 2.35 12/31/2024 3.06 CLGM069A CLGM069B CLGM069D - - GWL Realty Advisors Inc. Fund fact Monthly profile
Add GWL Real Estate 75/75 (P) 05/12/2026 11.76 0.01 Specialty -0.27 0.25 0.56 0.81 2.09 -0.35 -2.01 0.94 - - 2.09 -1.45 -2.48 -4.78 5.25 9.50 0.62 7.07 - - - - - CLGN069A - - - - GWL Realty Advisors Inc. Fund fact Monthly profile
Add GWL Real Estate 75/75 (PP) 05/12/2026 12.18 0.01 Specialty -0.23 0.36 0.76 0.97 2.54 0.08 -1.55 1.41 - - 2.54 -1.03 -2.03 -4.30 5.71 9.99 1.07 7.56 - - - - - CLGP069A - - - - GWL Realty Advisors Inc. Fund fact Monthly profile
Add GWL Real Estate 75/75 (PS1) 05/12/2026 15.37 0.01 Specialty -0.32 0.09 0.25 0.60 3.12 -0.97 -2.62 0.31 1.92 - 3.12 -2.07 -3.09 -5.37 4.59 8.79 -0.01 6.41 4.38 3.67 2.79 12/31/2024 2.60 CLGO069A CLGO069B CLGO069D - - GWL Realty Advisors Inc. Fund fact Monthly profile
Add GWL Real Return Bond 100/100 05/12/2026 9.71 -0.04 Fixed income 0.18 0.57 -1.77 0.88 -0.23 -1.46 0.02 -1.65 -0.93 - -0.23 -1.60 1.41 -0.70 -16.36 -0.69 9.94 5.33 -2.51 -1.69 0.37 12/31/2024 2.49 CLGM039I CLGM039J CLGM039L - - Canada Life Fund fact Monthly profile
Add GWL Real Return Bond 100/100 (P) 05/12/2026 9.59 -0.04 Fixed income 0.22 0.70 -1.50 1.06 -0.54 -0.92 0.52 -1.15 - - -0.54 -1.07 1.70 -0.07 -15.89 -0.14 10.53 5.93 - - - - - CLGN039I - - - - Canada Life Fund fact Monthly profile
Add GWL Real Return Bond 100/100 (PP) 05/12/2026 10.03 -0.04 Fixed income 0.27 0.85 -1.23 1.25 0.02 -0.37 1.09 -0.59 - - 0.02 -0.51 2.26 0.49 -15.42 0.44 11.16 6.54 - - - - - CLGP039I - - - - Canada Life Fund fact Monthly profile
Add GWL Real Return Bond 100/100 (PS1) 05/12/2026 10.43 -0.04 Fixed income 0.22 0.71 -1.50 1.07 0.33 -0.91 0.54 -1.13 -0.39 - 0.33 -1.04 1.71 -0.05 -15.88 -0.12 10.55 5.94 -1.93 -1.12 0.94 - - CLGO039I CLGO039J CLGO039L - - Canada Life Fund fact Monthly profile
Add GWL Real Return Bond 75/100 05/12/2026 9.90 -0.04 Fixed income 0.19 0.61 -1.69 0.93 -0.08 -1.30 0.14 -1.53 -0.79 - -0.08 -1.44 1.30 -0.46 -16.22 -0.52 10.11 5.52 -2.34 -1.53 0.53 12/31/2024 2.33 CLGM039E CLGM039F CLGM039H - - Canada Life Fund fact Monthly profile
Add GWL Real Return Bond 75/100 (P) 05/12/2026 9.71 -0.04 Fixed income 0.23 0.74 -1.42 1.11 -0.38 -0.77 0.68 -0.99 - - -0.38 -0.90 1.85 0.08 -15.76 0.03 10.71 6.09 - - - - - CLGN039E - - - - Canada Life Fund fact Monthly profile
Add GWL Real Return Bond 75/100 (PP) 05/12/2026 10.16 -0.04 Fixed income 0.28 0.88 -1.14 1.31 0.19 -0.19 1.27 -0.42 - - 0.19 -0.33 2.45 0.65 -15.28 0.60 11.35 6.69 - - - - - CLGP039E - - - - Canada Life Fund fact Monthly profile
Add GWL Real Return Bond 75/100 (PS1) 05/12/2026 10.66 -0.04 Fixed income 0.23 0.75 -1.41 1.12 0.49 -0.74 0.71 -0.97 -0.22 - 0.49 -0.87 1.88 0.10 -15.74 0.05 10.74 6.12 -1.78 -0.96 1.11 - 1.76 CLGO039E CLGO039F CLGO039H - - Canada Life Fund fact Monthly profile
Add GWL Real Return Bond 75/75 05/12/2026 10.20 -0.04 Fixed income 0.21 0.67 -1.56 1.02 0.15 -1.03 0.41 -1.26 -0.54 - 0.15 -1.17 1.58 -0.19 -15.99 -0.25 10.41 5.81 -2.11 -1.36 0.70 12/31/2024 2.05 CLGM039A CLGM039B CLGM039D - - Canada Life Fund fact Monthly profile
Add GWL Real Return Bond 75/75 (P) 05/12/2026 9.93 -0.04 Fixed income 0.26 0.81 -1.29 1.20 -0.10 -0.49 0.97 -0.71 - - -0.10 -0.62 2.14 0.36 -15.52 0.31 11.02 6.40 - - - - - CLGN039A - - - - Canada Life Fund fact Monthly profile
Add GWL Real Return Bond 75/75 (PP) 05/12/2026 10.29 -0.04 Fixed income 0.29 0.92 -1.07 1.36 0.36 -0.04 1.43 -0.26 - - 0.36 -0.17 2.61 0.81 -15.13 0.77 11.53 6.88 - - - - - CLGP039A - - - - Canada Life Fund fact Monthly profile
Add GWL Real Return Bond 75/75 (PS1) 05/12/2026 10.89 -0.04 Fixed income 0.25 0.79 -1.34 1.17 0.66 -0.58 0.87 -0.81 -0.06 - 0.66 -0.72 2.05 0.27 -15.60 0.21 10.92 6.29 -1.61 -0.80 1.27 12/31/2024 1.59 CLGO039A CLGO039B CLGO039D - - Canada Life Fund fact Monthly profile
Add GWL Science and Technology NL 05/12/2026 1,087.81 -8.78 Specialty 13.89 6.10 -4.01 2.33 6.74 19.90 21.06 11.33 17.60 16.32 6.74 4.97 34.50 45.96 -29.58 19.36 40.81 33.08 5.10 22.53 3.91 12/31/2024 2.99 - - - CLGTO070 - Mackenzie Investments Monthly profile
Add GWL Science and Technology 100/100 05/12/2026 127.25 -1.03 Specialty 13.83 5.91 -4.36 2.09 15.97 19.02 20.17 10.51 16.77 15.56 15.97 4.20 33.50 44.89 -30.10 18.49 39.78 32.11 4.25 21.90 3.38 12/31/2024 3.73 CLGM070I CLGM070J CLGM070L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Science and Technology 100/100 (P) 05/12/2026 31.25 -0.25 Specialty 13.93 6.20 -3.84 2.45 15.16 20.33 21.50 11.73 - - 15.16 5.35 34.99 46.48 -29.33 19.79 41.33 33.55 - - - - - CLGN070I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Science and Technology 100/100 (PP) 05/12/2026 32.19 -0.26 Specialty 13.96 6.29 -3.66 2.58 15.59 20.78 21.95 12.15 - - 15.59 5.74 35.50 47.03 -29.06 20.25 41.85 34.07 - - - - - CLGP070I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Science and Technology 100/100 (PS1) 05/12/2026 100.82 -0.82 Specialty 13.86 6.01 -4.18 2.21 17.69 19.47 20.62 10.92 17.21 - 17.69 4.59 34.00 45.43 -29.84 18.93 40.30 32.60 4.63 22.35 3.76 12/31/2024 3.36 CLGO070I CLGO070J CLGO070L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Science and Technology 75/100 05/12/2026 141.21 -1.14 Specialty 13.88 6.07 -4.07 2.29 16.69 19.74 20.90 11.18 17.48 16.27 16.69 4.83 34.32 45.77 -29.67 19.20 40.63 32.91 4.89 22.64 4.00 12/31/2024 3.12 CLGM070E CLGM070F CLGM070H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Science and Technology 75/100 (P) 05/12/2026 32.77 -0.26 Specialty 13.98 6.35 -3.55 2.66 15.86 21.06 22.23 12.41 - - 15.86 5.99 35.81 47.37 -28.90 20.52 42.18 34.38 - - - - - CLGN070E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Science and Technology 75/100 (PP) 05/12/2026 33.60 -0.27 Specialty 14.01 6.43 -3.40 2.76 16.22 21.44 22.63 12.77 - - 16.22 6.32 36.25 47.84 -28.68 20.89 42.62 34.79 - - - - - CLGP070E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Science and Technology 75/100 (PS1) 05/12/2026 108.94 -0.88 Specialty 13.91 6.15 -3.92 2.39 18.34 20.12 21.28 11.53 17.85 - 18.34 5.16 34.75 46.23 -29.45 19.58 41.07 33.33 5.22 23.03 4.33 12/31/2024 2.81 CLGO070E CLGO070F CLGO070H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Science and Technology 75/75 05/12/2026 144.75 -1.17 Specialty 13.89 6.10 -4.01 2.33 16.86 19.90 21.06 11.33 17.64 16.43 16.86 4.97 34.50 45.96 -29.58 19.36 40.81 33.08 5.02 22.80 4.14 12/31/2024 2.99 CLGM070A CLGM070B CLGM070D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Science and Technology 75/75 (P) 05/12/2026 33.11 -0.27 Specialty 13.99 6.39 -3.49 2.70 16.01 21.22 22.39 12.56 - - 16.01 6.13 35.99 47.57 -28.81 20.67 42.36 34.55 - - - - - CLGN070A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Science and Technology 75/75 (PP) 05/12/2026 34.48 -0.28 Specialty 14.04 6.52 -3.24 2.87 16.61 21.84 23.03 13.14 - - 16.61 6.68 36.70 48.33 -28.44 21.30 43.09 35.24 - - - - - CLGP070A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Science and Technology 75/75 (PS1) 05/12/2026 114.09 -0.92 Specialty 13.94 6.23 -3.77 2.50 18.73 20.52 21.68 11.90 18.24 - 18.73 5.51 35.19 46.71 -29.22 19.97 41.54 33.77 5.57 23.44 4.68 12/31/2024 2.48 CLGO070A CLGO070B CLGO070D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Short-Term Bond 100/100 05/12/2026 10.98 -0.02 Fixed income 0.01 -0.55 -0.48 -0.18 0.73 1.28 3.00 0.82 0.74 - 0.73 2.49 4.51 3.97 -5.03 -2.21 3.88 1.72 0.09 -1.18 -0.45 12/31/2024 1.92 CLGM040I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Short-Term Bond 100/100 (P) 05/12/2026 11.45 -0.02 Fixed income 0.06 -0.41 -0.20 0.00 1.76 1.83 3.58 1.39 - - 1.76 3.04 5.09 4.59 -4.47 -1.63 4.45 2.29 - - - - - CLGN040I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Short-Term Bond 100/100 (PP) 05/12/2026 11.78 -0.02 Fixed income 0.09 -0.33 -0.03 0.12 2.12 2.20 3.95 1.76 - - 2.12 3.41 5.48 4.96 -4.12 -1.28 4.83 2.65 - - - - - CLGP040I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Short-Term Bond 100/100 (PS1) 05/12/2026 11.50 -0.02 Fixed income 0.04 -0.46 -0.30 -0.06 1.10 1.63 3.37 1.19 1.11 - 1.10 2.84 4.88 4.38 -4.65 -1.82 4.25 2.08 0.45 -0.83 -0.09 12/31/2024 1.56 CLGO040I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Short-Term Bond 75/100 05/12/2026 11.14 -0.02 Fixed income 0.02 -0.52 -0.42 -0.14 0.85 1.38 3.12 0.95 0.86 - 0.85 2.59 4.62 4.12 -4.89 -2.06 4.00 1.83 0.20 -1.07 -0.34 12/31/2024 1.81 CLGM040E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Short-Term Bond 75/100 (P) 05/12/2026 11.55 -0.02 Fixed income 0.07 -0.38 -0.14 0.04 1.87 1.95 3.70 1.51 - - 1.87 3.17 5.21 4.71 -4.35 -1.52 4.57 2.40 - - - - - CLGN040E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Short-Term Bond 75/100 (PP) 05/12/2026 11.88 -0.02 Fixed income 0.10 -0.30 0.03 0.16 2.23 2.31 4.07 1.87 - - 2.23 3.53 5.59 5.08 -4.01 -1.18 4.94 2.76 - - - - - CLGP040E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Short-Term Bond 75/100 (PS1) 05/12/2026 11.67 -0.02 Fixed income 0.05 -0.44 -0.25 -0.02 1.21 1.74 3.49 1.31 1.22 - 1.21 2.95 5.00 4.49 -4.55 -1.71 4.36 2.20 0.56 -0.72 0.02 12/31/2024 1.45 CLGO040E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Short-Term Bond 75/75 05/12/2026 11.22 -0.02 Fixed income 0.03 -0.51 -0.39 -0.12 0.91 1.44 3.18 1.00 0.92 - 0.91 2.64 4.68 4.18 -4.83 -2.01 4.05 1.89 0.26 -1.02 -0.28 12/31/2024 1.75 CLGM040A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Short-Term Bond 75/75 (P) 05/12/2026 11.60 -0.02 Fixed income 0.07 -0.37 -0.12 0.06 1.93 2.01 3.76 1.57 - - 1.93 3.22 5.27 4.76 -4.30 -1.46 4.63 2.47 - - - - - CLGN040A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Short-Term Bond 75/75 (PP) 05/12/2026 11.93 -0.02 Fixed income 0.10 -0.29 0.06 0.18 2.29 2.37 4.13 1.93 - - 2.29 3.59 5.66 5.13 -3.96 -1.12 5.00 2.82 - - - - - CLGP040A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Short-Term Bond 75/75 (PS1) 05/12/2026 11.75 -0.02 Fixed income 0.06 -0.42 -0.22 -0.01 1.27 1.80 3.55 1.36 1.28 - 1.27 3.01 5.06 4.55 -4.50 -1.66 4.42 2.25 0.62 -0.66 0.08 12/31/2024 1.40 CLGO040A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL SRI Canadian Equity 100/100 05/12/2026 35.82 0.16 Specialty 3.58 5.98 8.37 5.22 7.51 25.73 13.91 11.09 8.40 6.43 7.51 21.65 14.00 6.19 -3.16 20.47 2.66 17.13 -10.06 6.48 11.01 12/31/2024 3.23 CLGM067I CLGM067J CLGM067L - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity 100/100 (P) 05/12/2026 20.90 0.09 Specialty 3.67 6.27 8.96 5.60 9.87 27.11 15.17 12.32 - - 9.87 22.99 15.26 7.36 -2.10 21.79 3.80 18.42 - - - - - CLGN067I - - - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity 100/100 (PP) 05/12/2026 21.71 0.10 Specialty 3.71 6.39 9.22 5.77 10.41 27.73 15.73 12.87 - - 10.41 23.59 15.83 7.88 -1.62 22.38 4.31 19.00 - - - - - CLGP067I - - - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity 100/100 (PS1) 05/12/2026 32.12 0.14 Specialty 3.62 6.11 8.63 5.39 8.71 26.35 14.47 11.64 8.93 - 8.71 22.25 14.57 6.71 -2.68 21.06 3.17 17.71 -9.61 7.00 11.56 12/31/2024 2.73 CLGO067I CLGO067J CLGO067L - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity 75/100 05/12/2026 38.14 0.17 Specialty 3.61 6.07 8.56 5.34 7.92 26.18 14.32 11.50 8.79 6.82 7.92 22.09 14.42 6.57 -2.81 20.90 3.03 17.55 -9.73 6.87 11.41 12/31/2024 2.86 CLGM067E CLGM067F CLGM067H - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity 75/100 (P) 05/12/2026 21.49 0.10 Specialty 3.70 6.36 9.15 5.72 10.27 27.57 15.58 12.72 - - 10.27 23.43 15.68 7.74 -1.74 22.22 4.17 18.85 - - - - - CLGN067E - - - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity 75/100 (PP) 05/12/2026 22.28 0.10 Specialty 3.74 6.48 9.40 5.88 10.77 28.16 16.11 13.24 - - 10.77 24.00 16.22 8.24 -1.29 22.79 4.64 19.39 - - - - - CLGP067E - - - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity 75/100 (PS1) 05/12/2026 33.64 0.15 Specialty 3.64 6.19 8.81 5.50 9.07 26.76 14.85 12.01 9.29 - 9.07 22.65 14.95 7.06 -2.36 21.46 3.50 18.09 -9.31 7.36 11.93 12/31/2024 2.41 CLGO067E CLGO067F CLGO067H - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity 75/75 05/12/2026 39.20 0.18 Specialty 3.62 6.13 8.68 5.42 8.09 26.46 14.57 11.74 9.00 7.00 8.09 22.36 14.67 6.81 -2.60 21.17 3.26 17.81 -9.57 6.99 11.53 12/31/2024 2.65 CLGM067A CLGM067B CLGM067D - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity 75/75 (P) 05/12/2026 21.87 0.10 Specialty 3.72 6.41 9.27 5.79 10.51 27.85 15.84 12.97 - - 10.51 23.71 15.95 7.97 -1.53 22.51 4.39 19.11 - - - - - CLGN067A - - - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity 75/75 (PP) 05/12/2026 22.66 0.10 Specialty 3.76 6.54 9.52 5.96 11.02 28.43 16.37 13.49 - - 11.02 24.27 16.47 8.47 -1.07 23.06 4.87 19.66 - - - - - CLGP067A - - - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity 75/75 (PS1) 05/12/2026 34.69 0.16 Specialty 3.66 6.25 8.93 5.58 9.30 27.04 15.10 12.25 9.53 - 9.30 22.92 15.20 7.30 -2.15 21.72 3.73 18.36 -9.11 7.60 12.17 12/31/2024 2.19 CLGO067A CLGO067B CLGO067D - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity DSC 05/12/2026 988.68 4.45 Specialty 3.62 6.13 8.68 5.42 6.49 26.46 14.57 11.74 9.00 7.01 6.49 22.36 14.67 6.81 -2.60 21.17 3.26 17.81 -9.57 6.99 11.53 12/31/2024 2.65 - CLGTJ067 - - - Mackenzie Investments Monthly profile
Add GWL SRI Canadian Equity NL 05/12/2026 953.39 4.30 Specialty 3.62 6.13 8.68 5.42 6.34 26.46 14.57 11.74 8.97 6.90 6.34 22.36 14.67 6.81 -2.60 21.17 3.26 17.81 -9.50 6.75 11.29 12/31/2024 2.65 - - - CLGTO067 - Mackenzie Investments Monthly profile
Add GWL Strategic Income DSC 05/12/2026 562.14 0.67 Balanced 2.09 2.48 4.11 3.26 4.12 14.13 9.09 6.06 5.38 4.73 4.12 10.43 11.36 6.66 -8.36 13.83 9.22 9.85 -9.87 5.21 3.54 12/31/2024 2.56 - CLGTJ053 - - - Mackenzie Investments Monthly profile
Add GWL Strategic Income NL 05/12/2026 542.43 0.64 Balanced 2.09 2.48 4.11 3.26 3.97 14.13 9.09 6.06 5.35 4.64 3.97 10.43 11.36 6.66 -8.36 13.83 9.22 9.85 -9.80 4.98 3.31 12/31/2024 2.56 - - - CLGTO053 - Mackenzie Investments Monthly profile
Add GWL Strategic Income 100/100 05/12/2026 22.65 0.03 Balanced 2.06 2.39 3.91 3.13 4.71 13.69 8.67 5.65 5.01 4.42 4.71 10.01 10.93 6.25 -8.71 13.40 8.81 9.44 -10.15 4.99 3.32 12/31/2024 2.94 CLGM053I CLGM053J CLGM053L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income 100/100 (P) 05/12/2026 15.96 0.02 Balanced 2.15 2.67 4.48 3.50 6.05 14.96 9.88 6.82 - - 6.05 11.24 12.17 7.43 -7.70 14.66 10.02 10.66 - - - - - CLGN053I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income 100/100 (PP) 05/12/2026 16.39 0.02 Balanced 2.18 2.75 4.67 3.62 6.41 15.36 10.26 7.19 - - 6.41 11.62 12.56 7.80 -7.38 15.06 10.39 11.04 - - - - - CLGP053I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income 100/100 (PS1) 05/12/2026 21.20 0.03 Balanced 2.09 2.47 4.09 3.25 5.47 14.09 9.05 6.02 5.38 - 5.47 10.40 11.32 6.62 -8.39 13.79 9.18 9.81 -9.84 5.35 3.68 12/31/2024 2.59 CLGO053I CLGO053J CLGO053L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income 75/100 05/12/2026 23.20 0.03 Balanced 2.07 2.40 3.94 3.15 5.07 13.77 8.74 5.74 5.15 4.56 5.07 10.08 11.01 6.32 -8.61 13.59 8.99 9.62 -10.00 5.17 3.50 12/31/2024 2.88 CLGM053E CLGM053F CLGM053H - CLGR053E Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income 75/100 (P) 05/12/2026 16.10 0.02 Balanced 2.16 2.68 4.51 3.52 6.17 15.03 9.95 6.92 - - 6.17 11.30 12.24 7.49 -7.60 14.85 10.20 10.84 - - - - - CLGN053E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income 75/100 (PP) 05/12/2026 16.68 0.02 Balanced 2.20 2.81 4.78 3.70 6.65 15.61 10.51 7.43 - - 6.65 11.87 12.82 8.04 -7.18 15.30 10.63 11.28 - - - - - CLGP053E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income 75/100 (PS1) 05/12/2026 21.87 0.03 Balanced 2.11 2.53 4.21 3.32 5.70 14.34 9.30 6.25 5.61 - 5.70 10.64 11.57 6.86 -8.19 14.04 9.43 10.06 -9.64 5.59 3.91 12/31/2024 2.37 CLGO053E CLGO053F CLGO053H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income 75/75 05/12/2026 23.77 0.03 Balanced 2.09 2.48 4.11 3.26 5.01 14.13 9.09 6.06 5.38 4.73 5.01 10.43 11.36 6.66 -8.36 13.83 9.22 9.85 -9.87 5.21 3.54 12/31/2024 2.56 CLGM053A CLGM053B CLGM053D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income 75/75 (P) 05/12/2026 16.44 0.02 Balanced 2.19 2.76 4.68 3.63 6.45 15.40 10.30 7.23 - - 6.45 11.66 12.60 7.84 -7.35 15.09 10.43 11.07 - - - - - CLGN053A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income 75/75 (PP) 05/12/2026 16.90 0.02 Balanced 2.22 2.85 4.86 3.75 6.83 15.79 10.70 7.61 - - 6.83 12.07 13.01 8.23 -7.03 15.50 10.82 11.46 - - - - - CLGP053A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income 75/75 (PS1) 05/12/2026 22.38 0.03 Balanced 2.12 2.57 4.29 3.38 5.88 14.53 9.48 6.43 5.79 - 5.88 10.82 11.76 7.03 -8.04 14.23 9.61 10.24 -9.49 5.76 4.08 12/31/2024 2.21 CLGO053A CLGO053B CLGO053D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II 100/100 05/12/2026 24.87 0.03 Balanced 2.07 2.41 3.96 3.16 5.23 13.80 8.72 5.12 5.02 4.73 5.23 10.11 10.82 6.10 -9.96 8.22 6.02 10.84 -4.24 6.22 3.55 12/31/2024 2.89 CLGM044I CLGM044J - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II 100/100 (P) 05/12/2026 15.81 0.02 Balanced 2.16 2.68 4.52 3.53 5.92 15.04 9.91 6.27 - - 5.92 11.32 12.04 7.27 -8.98 9.40 7.18 12.06 - - - - - CLGN044I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II 100/100 (PP) 05/12/2026 16.24 0.02 Balanced 2.19 2.77 4.70 3.65 6.28 15.44 10.29 6.63 - - 6.28 11.70 12.43 7.62 -8.67 9.77 7.54 12.43 - - - - - CLGP044I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II 100/100 (PS1) 05/12/2026 22.21 0.03 Balanced 2.10 2.49 4.13 3.27 5.82 14.18 9.09 5.47 5.38 - 5.82 10.49 11.19 6.46 -9.66 8.59 6.38 11.21 -3.92 6.58 4.45 12/31/2024 2.55 CLGO044I CLGO044J - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II 75/100 05/12/2026 25.57 0.03 Balanced 2.08 2.45 4.04 3.21 5.67 13.97 8.88 5.28 5.18 4.90 5.67 10.28 10.99 6.26 -9.83 8.39 6.19 11.01 -4.09 6.39 3.71 12/31/2024 2.74 CLGM044E CLGM044F - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II 75/100 (P) 05/12/2026 16.00 0.02 Balanced 2.17 2.72 4.60 3.58 6.09 15.22 10.08 6.43 - - 6.09 11.49 12.21 7.43 -8.84 9.58 7.35 12.23 - - - - - CLGN044E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II 75/100 (PP) 05/12/2026 16.53 0.02 Balanced 2.21 2.83 4.81 3.72 6.53 15.69 10.53 6.87 - - 6.53 11.94 12.67 7.86 -8.46 10.03 7.84 12.71 - - - - - CLGP044E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II 75/100 (PS1) 05/12/2026 22.78 0.03 Balanced 2.12 2.55 4.25 3.35 6.01 14.43 9.32 5.70 5.61 - 6.01 10.73 11.44 6.69 -9.46 8.82 6.61 11.46 -3.71 6.81 4.12 12/31/2024 2.33 CLGO044E CLGO044F - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II 75/75 05/12/2026 26.04 0.03 Balanced 2.10 2.49 4.12 3.27 5.52 14.16 9.06 5.45 5.33 5.02 5.52 10.46 11.17 6.44 -9.68 8.56 6.36 11.19 -3.97 6.44 3.76 12/31/2024 2.57 CLGM044A CLGM044B - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II 75/75 (P) 05/12/2026 16.23 0.02 Balanced 2.19 2.76 4.69 3.64 6.27 15.41 10.26 6.61 - - 6.27 11.68 12.40 7.60 -8.69 9.76 7.53 12.44 - - - - - CLGN044A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II 75/75 (PP) 05/12/2026 16.73 0.02 Balanced 2.22 2.87 4.90 3.77 6.69 15.88 10.71 7.04 - - 6.69 12.13 12.86 8.04 -8.32 10.20 7.96 12.87 - - - - - CLGP044A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II 75/75 (PS1) 05/12/2026 23.30 0.03 Balanced 2.13 2.59 4.33 3.40 6.18 14.62 9.50 5.88 5.78 - 6.18 10.91 11.62 6.87 -9.31 9.00 6.79 11.64 -3.55 6.99 4.29 12/31/2024 2.17 CLGO044A CLGO044B - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II DSC 05/12/2026 816.69 0.97 Balanced 2.10 2.49 4.12 3.27 4.98 14.16 9.06 5.45 5.33 5.01 4.98 10.46 11.17 6.44 -9.68 8.56 6.36 11.19 -3.97 6.44 3.76 12/31/2024 2.57 - CLGTJ044 - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income II NL 05/12/2026 776.05 0.92 Balanced 2.10 2.49 4.12 3.27 5.51 14.16 9.06 5.45 5.30 4.92 5.51 10.46 11.17 6.44 -9.68 8.56 6.36 11.19 -3.91 6.21 3.54 12/31/2024 2.57 - - - CLGTO044 - Mackenzie Investments Monthly profile
Add GWL Strategic Income III 100/100 05/12/2026 15.82 0.02 Balanced 2.07 2.40 3.94 3.14 4.07 13.76 8.74 5.10 4.39 - 4.07 10.08 11.01 6.33 -9.17 6.78 0.92 8.96 -4.25 4.55 8.13 12/31/2021 2.89 CLGM051I CLGM051J - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income III 100/100 (P) 05/12/2026 14.98 0.02 Balanced 2.16 2.68 4.52 3.53 5.20 15.04 9.97 6.28 - - 5.20 11.32 12.26 7.52 -8.16 7.95 2.02 10.16 - - - - - CLGN051I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income III 100/100 (PP) 05/12/2026 15.40 0.02 Balanced 2.19 2.77 4.70 3.65 5.57 15.45 10.36 6.66 - - 5.57 11.72 12.66 7.90 -7.83 8.34 2.38 10.54 - - - - - CLGP051I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income III 100/100 (PS1) 05/12/2026 16.44 0.02 Balanced 2.10 2.49 4.13 3.27 4.42 14.17 9.13 5.48 4.74 - 4.42 10.48 11.41 6.70 -8.85 7.14 1.25 9.32 -3.94 4.89 8.47 - 2.50 CLGO051I CLGO051J - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income III 75/100 05/12/2026 16.10 0.02 Balanced 2.08 2.44 4.03 3.20 4.23 13.95 8.93 5.28 4.55 - 4.23 10.26 11.19 6.51 -9.02 6.94 1.07 9.12 -4.12 4.70 8.31 12/31/2024 2.75 CLGM051E CLGM051F - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income III 75/100 (P) 05/12/2026 15.18 0.02 Balanced 2.17 2.73 4.61 3.58 5.37 15.23 10.15 6.46 - - 5.37 11.51 12.45 7.70 -8.01 8.13 2.19 10.33 - - - - - CLGN051E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income III 75/100 (PP) 05/12/2026 15.68 0.02 Balanced 2.21 2.83 4.82 3.73 5.80 15.71 10.61 6.90 - - 5.80 11.97 12.92 8.14 -7.62 8.58 2.61 10.78 - - - - - CLGP051E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income III 75/100 (PS1) 05/12/2026 16.87 0.02 Balanced 2.11 2.55 4.24 3.34 4.66 14.42 9.38 5.71 4.98 - 4.66 10.72 11.65 6.95 -8.65 7.38 1.48 9.57 -3.73 5.12 8.74 12/31/2024 2.34 CLGO051E CLGO051F - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income III 75/75 05/12/2026 16.31 0.02 Balanced 2.09 2.47 4.08 3.24 4.34 14.08 9.05 5.40 4.66 - 4.34 10.39 11.32 6.63 -8.92 7.06 1.18 9.24 -4.01 4.81 8.43 12/31/2024 2.64 CLGM051A CLGM051B - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income III 75/75 (P) 05/12/2026 15.31 0.02 Balanced 2.18 2.75 4.66 3.62 5.49 15.36 10.28 6.58 - - 5.49 11.63 12.58 7.82 -7.90 8.25 2.31 10.46 - - - - - CLGN051A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income III 75/75 (PP) 05/12/2026 15.88 0.02 Balanced 2.22 2.87 4.91 3.78 5.98 15.91 10.80 7.08 - - 5.98 12.16 13.11 8.32 -7.47 8.76 2.78 10.97 - - - - - CLGP051A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Strategic Income III 75/75 (PS1) 05/12/2026 17.19 0.02 Balanced 2.13 2.59 4.33 3.40 4.83 14.61 9.56 5.89 5.15 - 4.83 10.91 11.84 7.12 -8.50 7.56 1.65 9.75 -3.56 5.29 8.92 12/31/2024 2.17 CLGO051A CLGO051B - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Sustainable Conservative Portfolio DSC 05/12/2026 593.30 -1.96 Portfolio solution 2.00 -0.35 -0.97 -0.02 4.00 5.17 4.79 1.87 3.08 3.19 4.00 3.79 7.03 7.83 -12.00 3.60 5.62 10.22 -2.42 3.02 5.30 12/31/2024 2.14 - CLGTJ052 - - - CI Investments Inc. Monthly profile
Add GWL Sustainable Conservative Portfolio NL 05/12/2026 564.91 -1.87 Portfolio solution 2.00 -0.35 -0.97 -0.02 3.83 5.17 4.79 1.87 3.05 3.09 3.83 3.79 7.03 7.83 -12.00 3.60 5.62 10.22 -2.35 2.80 5.07 12/31/2024 2.14 - - - CLGTO052 - CI Investments Inc. Monthly profile
Add GWL Sustainable Conservative Portfolio 100/100 05/12/2026 16.19 -0.05 Portfolio solution 1.96 -0.47 -1.21 -0.18 3.02 4.65 4.28 1.39 2.68 2.80 3.02 3.28 6.50 7.31 -12.43 3.26 5.30 9.88 -2.72 2.71 4.97 12/31/2024 2.64 CLGM052I CLGM052J CLGM052L - - CI Investments Inc. Fund fact Monthly profile
Add GWL Sustainable Conservative Portfolio 100/100 (P) 05/12/2026 12.70 -0.04 Portfolio solution 2.03 -0.27 -0.81 0.09 3.04 5.51 5.14 2.26 - - 3.04 4.13 7.38 8.19 -11.71 4.37 6.36 11.09 - - - - - CLGN052I - - - - CI Investments Inc. Fund fact Monthly profile
Add GWL Sustainable Conservative Portfolio 100/100 (PP) 05/12/2026 13.14 -0.04 Portfolio solution 2.07 -0.14 -0.56 0.25 3.49 6.06 5.68 2.76 - - 3.49 4.66 7.95 8.75 -11.25 4.73 6.71 11.45 - - - - - CLGP052I - - - - CI Investments Inc. Fund fact Monthly profile
Add GWL Sustainable Conservative Portfolio 100/100 (PS1) 05/12/2026 17.65 -0.06 Portfolio solution 2.00 -0.34 -0.96 -0.01 4.12 5.19 4.81 1.89 3.10 - 4.12 3.81 7.05 7.86 -11.98 3.63 5.64 10.24 -2.40 3.04 5.32 12/31/2024 2.12 CLGO052I CLGO052J CLGO052L - - CI Investments Inc. Fund fact Monthly profile
Add GWL Sustainable Conservative Portfolio 75/100 05/12/2026 16.80 -0.06 Portfolio solution 1.98 -0.41 -1.10 -0.11 3.25 4.88 4.50 1.61 2.91 3.03 3.25 3.50 6.73 7.54 -12.24 3.52 5.56 10.15 -2.50 2.87 5.15 12/31/2024 2.42 CLGM052E CLGM052F CLGM052H - - CI Investments Inc. Fund fact Monthly profile
Add GWL Sustainable Conservative Portfolio 75/100 (P) 05/12/2026 12.96 -0.04 Portfolio solution 2.05 -0.21 -0.70 0.16 3.31 5.82 5.39 2.50 - - 3.31 4.43 7.62 8.43 -11.52 4.63 6.77 11.36 - - - - - CLGN052E - - - - CI Investments Inc. Fund fact Monthly profile
Add GWL Sustainable Conservative Portfolio 75/100 (PP) 05/12/2026 13.31 -0.04 Portfolio solution 2.08 -0.11 -0.50 0.29 3.66 6.17 5.80 2.89 - - 3.66 4.78 8.06 8.86 -11.16 4.95 7.04 11.69 - - - - - CLGP052E - - - - CI Investments Inc. Fund fact Monthly profile
Add GWL Sustainable Conservative Portfolio 75/100 (PS1) 05/12/2026 18.11 -0.06 Portfolio solution 2.01 -0.31 -0.91 0.02 4.31 5.31 4.93 2.01 3.28 - 4.31 3.92 7.17 7.97 -11.88 3.84 5.87 10.48 -2.19 3.27 5.56 12/31/2024 2.01 CLGO052E CLGO052F CLGO052H - - CI Investments Inc. Fund fact Monthly profile
Add GWL Sustainable Conservative Portfolio 75/75 05/12/2026 17.24 -0.06 Portfolio solution 2.00 -0.35 -0.97 -0.02 3.41 5.17 4.79 1.87 3.08 3.19 3.41 3.79 7.03 7.83 -12.00 3.60 5.62 10.21 -2.42 3.02 5.29 12/31/2024 2.14 CLGM052A CLGM052B CLGM052D - - CI Investments Inc. Fund fact Monthly profile
Add GWL Sustainable Conservative Portfolio 75/75 (P) 05/12/2026 13.12 -0.04 Portfolio solution 2.07 -0.15 -0.57 0.25 3.47 6.04 5.66 2.73 - - 3.47 4.64 7.91 8.71 -11.27 4.71 6.69 11.43 - - - - - CLGN052A - - - - CI Investments Inc. Fund fact Monthly profile
Add GWL Sustainable Conservative Portfolio 75/75 (PP) 05/12/2026 13.45 -0.04 Portfolio solution 2.09 -0.09 -0.45 0.33 3.80 6.29 5.91 3.00 - - 3.80 4.89 8.18 8.97 -11.06 5.11 7.20 11.86 - - - - - CLGP052A - - - - CI Investments Inc. Fund fact Monthly profile
Add GWL Sustainable Conservative Portfolio 75/75 (PS1) 05/12/2026 18.48 -0.06 Portfolio solution 2.02 -0.29 -0.85 0.06 4.46 5.42 5.04 2.13 3.42 - 4.46 4.04 7.29 8.09 -11.79 4.00 6.05 10.66 -2.02 3.44 5.72 12/31/2024 1.90 CLGO052A CLGO052B CLGO052D - - CI Investments Inc. Fund fact Monthly profile
Add GWL U.S. Dividend 100/100 05/12/2026 41.36 0.10 U.S. equity 5.06 2.36 3.07 3.93 11.61 23.44 17.03 11.58 11.24 - 11.61 7.74 32.83 7.75 -5.51 20.65 3.50 17.05 2.22 7.31 10.33 12/31/2024 3.18 CLGM082I CLGM082J CLGM082L - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Dividend 100/100 (P) 05/12/2026 23.62 0.06 U.S. equity 5.16 2.64 3.63 4.30 11.45 24.81 18.34 12.82 - - 11.45 8.94 34.32 8.95 -4.46 21.99 4.65 18.35 - - - - - CLGN082I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Dividend 100/100 (PP) 05/12/2026 24.18 0.06 U.S. equity 5.18 2.72 3.79 4.41 11.78 25.18 18.69 13.16 - - 11.78 9.27 34.72 9.26 -4.16 22.36 4.96 18.70 - - - - - CLGP082I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Dividend 100/100 (PS1) 05/12/2026 42.98 0.10 U.S. equity 5.09 2.44 3.22 4.03 11.94 23.81 17.38 11.91 11.57 - 11.94 8.07 33.23 8.07 -5.23 21.01 3.80 17.40 2.53 7.63 10.66 12/31/2024 2.88 CLGO082I CLGO082J CLGO082L - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Dividend 75/100 05/12/2026 42.86 0.10 U.S. equity 5.09 2.43 3.21 4.02 11.92 23.78 17.36 11.88 11.55 - 11.92 8.04 33.21 8.05 -5.25 20.98 3.78 17.37 2.51 7.61 10.63 12/31/2024 2.90 CLGM082E CLGM082F CLGM082H - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Dividend 75/100 (P) 05/12/2026 24.14 0.06 U.S. equity 5.18 2.71 3.78 4.40 11.76 25.16 18.66 13.13 - - 11.76 9.24 34.69 9.25 -4.19 22.33 4.94 18.68 - - - - - CLGN082E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Dividend 75/100 (PP) 05/12/2026 24.92 0.06 U.S. equity 5.22 2.81 3.99 4.54 12.21 25.67 19.15 13.59 - - 12.21 9.69 35.25 9.69 -3.80 22.83 5.37 19.16 - - - - - CLGP082E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Dividend 75/100 (PS1) 05/12/2026 45.17 0.11 U.S. equity 5.12 2.53 3.42 4.16 12.38 24.29 17.84 12.34 12.00 - 12.38 8.48 33.75 8.49 -4.86 21.48 4.21 17.85 2.93 8.05 11.09 12/31/2024 2.49 CLGO082E CLGO082F CLGO082H - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Dividend 75/75 05/12/2026 43.98 0.11 U.S. equity 5.10 2.49 3.32 4.10 12.14 24.05 17.62 12.13 11.78 - 12.14 8.28 33.50 8.29 -5.04 21.25 4.01 17.63 2.72 7.79 10.82 12/31/2024 2.68 CLGM082A CLGM082B CLGM082D - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Dividend 75/75 (P) 05/12/2026 24.56 0.06 U.S. equity 5.20 2.77 3.89 4.48 12.01 25.43 18.93 13.38 - - 12.01 9.49 35.00 9.49 -3.98 22.60 5.17 18.94 - - - - - CLGN082A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Dividend 75/75 (PP) 05/12/2026 25.47 0.06 U.S. equity 5.24 2.88 4.13 4.64 12.53 26.01 19.48 13.91 - - 12.53 9.99 35.63 9.99 -3.54 23.17 5.66 19.49 - - - - - CLGP082A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Dividend 75/75 (PS1) 05/12/2026 46.81 0.11 U.S. equity 5.14 2.60 3.56 4.26 12.69 24.63 18.16 12.65 12.31 - 12.69 8.79 34.13 8.79 -4.60 21.82 4.50 18.18 3.22 8.35 11.39 12/31/2024 2.22 CLGO082A CLGO082B CLGO082D - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Growth DSC 05/12/2026 931.55 3.61 U.S. equity 5.31 0.87 -1.62 1.18 5.29 4.12 7.57 5.37 8.78 9.77 5.29 -3.54 18.46 12.65 -17.81 28.06 11.39 18.62 -1.30 15.61 -0.94 12/31/2024 2.73 - CLGTJ083 - - - Mackenzie Investments Monthly profile
Add GWL U.S. Growth NL 05/12/2026 885.02 3.43 U.S. equity 5.31 0.87 -1.62 1.18 5.12 4.12 7.57 5.37 8.75 9.66 5.12 -3.54 18.46 12.65 -17.81 28.06 11.39 18.62 -1.23 15.35 -1.16 12/31/2024 2.73 - - - CLGTO083 - Mackenzie Investments Monthly profile
Add GWL U.S. Growth 100/100 05/12/2026 46.54 0.18 U.S. equity 5.26 0.75 -1.86 1.01 9.38 3.61 7.04 4.85 8.26 9.25 9.38 -4.02 17.87 12.10 -18.22 27.43 10.84 18.04 -1.77 15.11 -1.32 12/31/2024 3.22 CLGM083I CLGM083J CLGM083L - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Growth 100/100 (P) 05/12/2026 17.33 0.07 U.S. equity 5.36 1.02 -1.32 1.38 7.00 4.76 8.23 6.01 - - 7.00 -2.95 19.18 13.34 -17.31 28.84 12.06 19.35 - - - - - CLGN083I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Growth 100/100 (PP) 05/12/2026 17.74 0.07 U.S. equity 5.39 1.10 -1.18 1.48 7.32 5.07 8.55 6.32 - - 7.32 -2.66 19.54 13.67 -17.08 29.22 12.40 19.70 - - - - - CLGP083I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Growth 100/100 (PS1) 05/12/2026 41.27 0.16 U.S. equity 5.29 0.82 -1.72 1.11 10.52 3.92 7.36 5.16 8.58 - 10.52 -3.73 18.22 12.43 -17.98 27.81 11.16 18.39 -1.48 15.46 -1.03 12/31/2024 2.93 CLGO083I CLGO083J CLGO083L - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Growth 75/100 05/12/2026 48.90 0.19 U.S. equity 5.29 0.82 -1.73 1.11 9.70 3.90 7.33 5.14 8.56 9.57 9.70 -3.76 18.20 12.40 -18.00 27.78 11.14 18.36 -1.50 15.43 -1.05 12/31/2024 2.95 CLGM083E CLGM083F CLGM083H - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Growth 75/100 (P) 05/12/2026 17.71 0.07 U.S. equity 5.38 1.09 -1.19 1.47 7.30 5.05 8.54 6.31 - - 7.30 -2.68 19.52 13.68 -17.08 29.20 12.38 19.68 - - - - - CLGN083E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Growth 75/100 (PP) 05/12/2026 18.25 0.07 U.S. equity 5.42 1.19 -0.99 1.61 7.71 5.48 8.97 6.72 - - 7.71 -2.29 20.03 14.07 -16.80 29.66 12.76 20.16 - - - - - CLGP083E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Growth 75/100 (PS1) 05/12/2026 43.57 0.17 U.S. equity 5.32 0.92 -1.53 1.24 10.95 4.32 7.77 5.57 9.00 - 10.95 -3.36 18.68 12.86 -17.66 28.30 11.59 18.85 -1.10 15.90 -0.64 12/31/2024 2.54 CLGO083E CLGO083F CLGO083H - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Growth 75/75 05/12/2026 50.49 0.20 U.S. equity 5.31 0.87 -1.62 1.18 9.91 4.13 7.57 5.37 8.79 9.77 9.91 -3.54 18.46 12.65 -17.81 28.06 11.39 18.62 -1.30 15.62 -0.88 12/31/2024 2.73 CLGM083A CLGM083B CLGM083D - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Growth 75/75 (P) 05/12/2026 18.02 0.07 U.S. equity 5.40 1.14 -1.08 1.55 7.54 5.28 8.77 6.54 - - 7.54 -2.47 19.78 13.90 -16.90 29.48 12.62 19.94 - - - - - CLGN083A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Growth 75/75 (PP) 05/12/2026 18.68 0.07 U.S. equity 5.44 1.26 -0.85 1.70 8.03 5.77 9.27 7.03 - - 8.03 -2.02 20.34 14.42 -16.52 30.08 13.14 20.50 - - - - - CLGP083A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Growth 75/75 (PS1) 05/12/2026 45.29 0.18 U.S. equity 5.35 0.99 -1.40 1.33 11.26 4.61 8.07 5.86 9.30 - 11.26 -3.09 19.01 13.17 -17.43 28.66 11.90 19.17 -0.82 16.23 -0.37 12/31/2024 2.26 CLGO083A CLGO083B CLGO083D - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Low Volatility 100/100 05/12/2026 22.18 0.02 U.S. equity 5.72 2.06 0.53 1.96 7.06 19.98 15.72 10.64 8.00 - 7.06 8.79 27.05 15.88 -12.04 19.88 5.15 5.29 2.40 1.36 -1.00 12/31/2024 3.31 CLGM084I CLGM084J CLGM084L - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Low Volatility 100/100 (P) 05/12/2026 20.82 0.01 U.S. equity 5.82 2.34 1.08 2.33 9.48 21.31 17.01 11.87 - - 9.48 10.00 28.48 17.16 -11.06 21.21 6.33 6.46 - - - - - CLGN084I - - - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Low Volatility 100/100 (PP) 05/12/2026 21.22 0.02 U.S. equity 5.84 2.40 1.21 2.41 9.75 21.61 17.30 12.15 - - 9.75 10.27 28.80 17.45 -10.85 21.50 6.58 6.74 - - - - - CLGP084I - - - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Low Volatility 100/100 (PS1) 05/12/2026 22.79 0.02 U.S. equity 5.74 2.12 0.65 2.04 7.32 20.28 16.00 10.91 8.26 - 7.32 9.06 27.37 16.16 -11.83 20.17 5.40 5.55 2.65 1.61 -0.76 12/31/2023 3.04 CLGO084I CLGO084J CLGO084L - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Low Volatility 75/100 05/12/2026 22.88 0.02 U.S. equity 5.75 2.13 0.67 2.05 7.35 20.32 16.04 10.95 8.29 - 7.35 9.09 27.41 16.20 -11.80 20.21 5.44 5.58 2.68 1.64 -0.73 12/31/2024 3.03 CLGM084E CLGM084F CLGM084H - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Low Volatility 75/100 (P) 05/12/2026 21.28 0.02 U.S. equity 5.84 2.41 1.23 2.43 9.78 21.65 17.34 12.19 - - 9.78 10.31 28.84 17.49 -10.81 21.55 6.62 6.77 - - - - - CLGN084E - - - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Low Volatility 75/100 (PP) 05/12/2026 21.97 0.02 U.S. equity 5.88 2.51 1.43 2.56 10.23 22.15 17.82 12.65 - - 10.23 10.76 29.37 17.97 -10.45 22.05 7.06 7.20 - - - - - CLGP084E - - - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Low Volatility 75/100 (PS1) 05/12/2026 23.96 0.02 U.S. equity 5.78 2.24 0.87 2.19 7.79 20.81 16.52 11.40 8.74 - 7.79 9.54 27.94 16.67 -11.44 20.70 5.87 6.02 3.11 2.05 -0.33 12/31/2024 2.62 CLGO084E CLGO084F CLGO084H - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Low Volatility 75/75 05/12/2026 23.31 0.02 U.S. equity 5.76 2.17 0.75 2.11 7.53 20.52 16.24 11.13 8.47 - 7.53 9.28 27.62 16.39 -11.65 20.41 5.62 5.76 2.85 1.81 -0.56 12/31/2024 2.86 CLGM084A CLGM084B CLGM084D - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Low Volatility 75/75 (P) 05/12/2026 21.55 0.02 U.S. equity 5.86 2.45 1.31 2.48 9.96 21.85 17.53 12.37 - - 9.96 10.49 29.06 17.68 -10.67 21.74 6.79 6.94 - - - - - CLGN084A - - - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Low Volatility 75/75 (PP) 05/12/2026 22.46 0.02 U.S. equity 5.90 2.58 1.57 2.66 10.54 22.49 18.15 12.96 - - 10.54 11.07 29.74 18.30 -10.19 22.38 7.35 7.50 - - - - - CLGP084A - - - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Low Volatility 75/75 (PS1) 05/12/2026 24.72 0.02 U.S. equity 5.81 2.30 1.01 2.28 8.09 21.14 16.84 11.71 9.04 - 8.09 9.84 28.29 17.00 -11.19 21.03 6.17 6.31 3.39 2.33 -0.05 12/31/2024 2.34 CLGO084A CLGO084B CLGO084D - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Mid Cap Growth DSC 05/12/2026 411.85 -2.37 U.S. equity 0.28 -4.59 -3.41 -4.27 2.89 9.24 5.19 0.60 7.77 7.80 2.89 -1.31 13.35 10.83 -20.44 24.33 15.01 24.49 -5.35 14.36 1.46 12/31/2024 2.82 - CLGTJ085 - - - Mackenzie Investments Monthly profile
Add GWL U.S. Mid Cap Growth NL 05/12/2026 397.00 -2.29 U.S. equity 0.28 -4.59 -3.41 -4.27 2.74 9.24 5.19 0.60 7.74 7.69 2.74 -1.31 13.35 10.83 -20.44 24.33 15.01 24.49 -5.28 14.11 1.24 12/31/2024 2.82 - - - CLGTO085 - Mackenzie Investments Monthly profile
Add GWL U.S. Mid Cap Growth 100/100 05/12/2026 34.97 -0.20 U.S. equity 0.21 -4.77 -3.77 -4.51 7.44 8.42 4.39 -0.16 6.96 6.97 7.44 -2.06 12.49 10.00 -21.03 23.40 14.14 23.55 -6.06 13.52 0.72 12/31/2024 3.58 CLGM085I CLGM085J CLGM085L - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Mid Cap Growth 100/100 (P) 05/12/2026 15.00 -0.09 U.S. equity 0.30 -4.51 -3.25 -4.17 5.35 9.62 5.55 0.94 - - 5.35 -0.97 13.74 11.21 -20.16 24.75 15.41 24.92 - - - - - CLGN085I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Mid Cap Growth 100/100 (PP) 05/12/2026 15.67 -0.09 U.S. equity 0.35 -4.38 -2.98 -3.99 5.94 10.22 6.14 1.51 - - 5.94 -0.43 14.38 11.83 -19.72 25.45 16.05 25.61 - - - - - CLGP085I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Mid Cap Growth 100/100 (PS1) 05/12/2026 33.91 -0.20 U.S. equity 0.26 -4.63 -3.50 -4.33 9.15 9.03 4.98 0.40 7.59 - 9.15 -1.51 13.12 10.61 -20.59 24.09 14.78 24.24 -5.48 14.32 1.43 12/31/2024 3.02 CLGO085I CLGO085J CLGO085L - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Mid Cap Growth 75/100 05/12/2026 37.83 -0.22 U.S. equity 0.25 -4.66 -3.57 -4.38 7.94 8.88 4.84 0.27 7.43 7.47 7.94 -1.64 12.98 10.47 -20.70 23.92 14.63 24.08 -5.64 14.06 1.19 12/31/2024 3.15 CLGM085E CLGM085F CLGM085H - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Mid Cap Growth 75/100 (P) 05/12/2026 15.52 -0.09 U.S. equity 0.34 -4.41 -3.04 -4.03 5.80 10.08 6.00 1.38 - - 5.80 -0.55 14.23 11.69 -19.82 25.29 15.90 25.47 - - - - - CLGN085E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Mid Cap Growth 75/100 (PP) 05/12/2026 16.22 -0.09 U.S. equity 0.39 -4.27 -2.77 -3.86 6.40 10.71 6.60 1.95 - - 6.40 0.02 14.89 12.32 -19.37 26.00 16.55 26.17 - - - - - CLGP085E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Mid Cap Growth 75/100 (PS1) 05/12/2026 36.05 -0.21 U.S. equity 0.30 -4.53 -3.29 -4.20 9.63 9.51 5.44 0.84 8.07 - 9.63 -1.08 13.62 11.10 -20.24 24.63 15.29 24.79 -5.06 14.82 1.87 12/31/2024 2.58 CLGO085E CLGO085F CLGO085H - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Mid Cap Growth 75/75 05/12/2026 39.82 -0.23 U.S. equity 0.28 -4.59 -3.41 -4.27 8.27 9.24 5.19 0.60 7.77 7.79 8.27 -1.31 13.35 10.83 -20.44 24.33 15.01 24.49 -5.35 14.36 1.46 12/31/2024 2.82 CLGM085A CLGM085B CLGM085D - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Mid Cap Growth 75/75 (P) 05/12/2026 15.93 -0.09 U.S. equity 0.37 -4.33 -2.88 -3.93 6.15 10.45 6.35 1.71 - - 6.15 -0.22 14.61 12.05 -19.56 25.70 16.28 25.93 - - - - - CLGN085A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Mid Cap Growth 75/75 (PP) 05/12/2026 16.58 -0.09 U.S. equity 0.41 -4.21 -2.63 -3.76 6.70 11.02 6.90 2.23 - - 6.70 0.29 15.20 12.63 -19.14 26.35 16.88 26.52 - - - - - CLGP085A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Mid Cap Growth 75/75 (PS1) 05/12/2026 37.47 -0.22 U.S. equity 0.32 -4.47 -3.16 -4.11 9.93 9.81 5.73 1.12 8.37 - 9.93 -0.80 13.94 11.40 -20.03 24.97 15.60 25.13 -4.80 15.13 2.15 12/31/2024 2.30 CLGO085A CLGO085B CLGO085D - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Value 100/100 05/12/2026 30.45 0.09 U.S. equity 3.27 2.25 7.10 4.72 10.30 23.87 16.54 12.69 11.58 - 10.30 11.73 25.80 10.02 0.61 22.99 1.58 20.55 -3.85 8.11 7.77 12/31/2024 3.36 CLGM087I CLGM087J CLGM087L - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Value 100/100 (P) 05/12/2026 24.66 0.07 U.S. equity 3.36 2.52 7.68 5.09 12.17 25.24 17.82 13.94 - - 12.17 12.95 27.20 11.22 1.73 24.37 2.72 21.91 - - - - - CLGN087I - - - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Value 100/100 (PP) 05/12/2026 25.15 0.08 U.S. equity 3.38 2.59 7.81 5.18 12.45 25.54 18.11 14.22 - - 12.45 13.23 27.50 11.50 1.98 24.68 2.98 22.21 - - - - - CLGP087I - - - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Value 100/100 (PS1) 05/12/2026 31.29 0.09 U.S. equity 3.28 2.31 7.22 4.80 10.57 24.16 16.81 12.96 11.85 - 10.57 11.99 26.10 10.28 0.85 23.28 1.83 20.85 -3.61 8.38 8.03 12/31/2024 3.12 CLGO087I CLGO087J CLGO087L - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Value 75/100 05/12/2026 31.40 0.09 U.S. equity 3.29 2.31 7.24 4.81 10.60 24.21 16.85 13.00 11.89 - 10.60 12.03 26.15 10.32 0.89 23.33 1.87 20.89 -3.58 8.41 8.07 12/31/2024 3.09 CLGM087E CLGM087F CLGM087H - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Value 75/100 (P) 05/12/2026 25.21 0.08 U.S. equity 3.38 2.59 7.83 5.19 12.48 25.58 18.14 14.26 - - 12.48 13.27 27.54 11.53 2.01 24.71 3.01 22.25 - - - - - CLGN087E - - - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Value 75/100 (PP) 05/12/2026 26.03 0.08 U.S. equity 3.42 2.70 8.04 5.33 12.94 26.09 18.62 14.72 - - 12.94 13.72 28.06 11.98 2.44 25.22 3.44 22.76 - - - - - CLGP087E - - - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Value 75/100 (PS1) 05/12/2026 32.91 0.10 U.S. equity 3.32 2.42 7.46 4.95 11.06 24.71 17.33 13.46 12.35 - 11.06 12.48 26.66 10.77 1.30 23.84 2.29 21.39 -3.18 8.85 8.52 12/31/2024 2.68 CLGO087E CLGO087F CLGO087H - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Value 75/75 05/12/2026 32.02 0.10 U.S. equity 3.30 2.36 7.33 4.87 10.79 24.41 17.05 13.19 12.07 - 10.79 12.21 26.36 10.50 1.05 23.53 2.04 21.09 -3.41 8.59 8.25 12/31/2024 2.92 CLGM087A CLGM087B CLGM087D - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Value 75/75 (P) 05/12/2026 25.54 0.08 U.S. equity 3.40 2.63 7.91 5.24 12.67 25.78 18.34 14.44 - - 12.67 13.45 27.75 11.71 2.18 24.92 3.20 22.48 - - - - - CLGN087A - - - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Value 75/75 (PP) 05/12/2026 26.60 0.08 U.S. equity 3.44 2.77 8.19 5.42 13.26 26.43 18.95 15.04 - - 13.26 14.04 28.41 12.29 2.72 25.58 3.73 23.10 - - - - - CLGP087A - - - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Value 75/75 (PS1) 05/12/2026 33.95 0.10 U.S. equity 3.35 2.49 7.60 5.04 11.37 25.05 17.65 13.78 12.66 - 11.37 12.79 27.01 11.07 1.58 24.18 2.58 21.73 -2.90 9.15 8.81 12/31/2024 2.41 CLGO087A CLGO087B CLGO087D - - Putnam Investments Fund fact Monthly profile
Add GWL U.S. Value Stock DSC 05/12/2026 744.41 1.48 U.S. equity 4.78 4.58 8.07 7.60 6.73 27.59 19.23 13.61 9.35 9.81 6.73 8.57 24.29 23.40 -3.82 23.92 -7.38 11.21 -5.49 1.46 4.96 12/31/2024 2.73 - CLGTJ086 - - - Mackenzie Investments Monthly profile
Add GWL U.S. Value Stock NL 05/12/2026 726.07 1.44 U.S. equity 4.78 4.58 8.07 7.60 6.60 27.59 19.23 13.61 9.32 9.70 6.60 8.57 24.29 23.40 -3.82 23.92 -7.38 11.21 -5.43 1.24 4.73 12/31/2024 2.73 - - - CLGTO086 - Mackenzie Investments Monthly profile
Add GWL U.S. Value Stock 100/100 05/12/2026 48.03 0.09 U.S. equity 4.74 4.45 7.81 7.42 9.35 26.96 18.64 13.05 8.83 9.30 9.35 8.03 23.67 22.79 -4.30 23.31 -7.84 10.66 -5.95 1.03 4.56 12/31/2024 3.23 CLGM086I CLGM086J CLGM086L - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Value Stock 100/100 (P) 05/12/2026 21.41 0.04 U.S. equity 4.83 4.74 8.40 7.81 9.97 28.37 19.95 14.30 - - 9.97 9.23 25.05 24.15 -3.23 24.68 -6.82 11.89 - - - - - CLGN086I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Value Stock 100/100 (PP) 05/12/2026 21.91 0.04 U.S. equity 4.86 4.81 8.56 7.92 10.29 28.75 20.32 14.65 - - 10.29 9.55 25.42 24.53 -2.95 25.05 -6.55 12.22 - - - - - CLGP086I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Value Stock 100/100 (PS1) 05/12/2026 41.64 0.08 U.S. equity 4.76 4.53 7.97 7.53 10.61 27.34 18.99 13.38 9.15 - 10.61 8.35 24.04 23.16 -4.01 23.67 -7.57 10.99 -5.67 1.33 4.87 12/31/2024 2.93 CLGO086I CLGO086J CLGO086L - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Value Stock 75/100 05/12/2026 50.48 0.10 U.S. equity 4.76 4.52 7.96 7.52 9.67 27.31 18.97 13.36 9.13 9.62 9.67 8.33 24.01 23.13 -4.03 23.65 -7.59 10.96 -5.69 1.31 4.85 12/31/2024 2.95 CLGM086E CLGM086F CLGM086H - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Value Stock 75/100 (P) 05/12/2026 21.87 0.04 U.S. equity 4.86 4.81 8.55 7.91 10.27 28.73 20.29 14.62 - - 10.27 9.53 25.40 24.50 -2.97 25.02 -6.56 12.19 - - - - - CLGN086E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Value Stock 75/100 (PP) 05/12/2026 22.58 0.05 U.S. equity 4.89 4.91 8.77 8.06 10.71 29.25 20.78 15.09 - - 10.71 9.98 25.91 25.00 -2.57 25.52 -6.21 12.65 - - - - - CLGP086E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Value Stock 75/100 (PS1) 05/12/2026 43.95 0.09 U.S. equity 4.80 4.63 8.17 7.66 11.03 27.83 19.45 13.82 9.58 - 11.03 8.77 24.52 23.63 -3.64 24.15 -7.21 11.42 -5.30 1.72 5.27 12/31/2024 2.55 CLGO086E CLGO086F CLGO086H - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Value Stock 75/75 05/12/2026 51.93 0.10 U.S. equity 4.78 4.58 8.07 7.60 9.86 27.59 19.23 13.61 9.36 9.81 9.86 8.57 24.29 23.40 -3.82 23.92 -7.38 11.21 -5.49 1.48 5.02 12/31/2024 2.73 CLGM086A CLGM086B CLGM086D - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Value Stock 75/75 (P) 05/12/2026 22.25 0.04 U.S. equity 4.87 4.86 8.67 7.99 10.51 29.01 20.56 14.87 - - 10.51 9.77 25.68 24.77 -2.75 25.29 -6.37 12.44 - - - - - CLGN086A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Value Stock 75/75 (PP) 05/12/2026 23.08 0.05 U.S. equity 4.91 4.99 8.92 8.15 11.03 29.61 21.12 15.41 - - 11.03 10.28 26.26 25.35 -2.30 25.88 -5.92 12.96 - - - - - CLGP086A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL U.S. Value Stock 75/75 (PS1) 05/12/2026 45.68 0.09 U.S. equity 4.82 4.70 8.32 7.76 11.34 28.19 19.78 14.14 9.88 - 11.34 9.07 24.87 23.97 -3.38 24.49 -6.95 11.72 -5.03 2.00 5.56 12/31/2024 2.27 CLGO086A CLGO086B CLGO086D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Unconstrained Fixed Income 100/100 05/12/2026 11.62 -0.02 Fixed income 0.23 -0.58 -0.94 -0.50 1.45 2.04 2.50 0.04 1.61 - 1.45 2.44 3.40 4.90 -8.89 -2.56 3.77 3.92 -0.75 2.71 12.35 12/31/2024 2.60 CLGM041I CLGM041J CLGM041L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Unconstrained Fixed Income 100/100 (P) 05/12/2026 10.90 -0.02 Fixed income 0.28 -0.45 -0.66 -0.32 1.12 2.61 3.07 0.59 - - 1.12 3.01 3.97 5.48 -8.39 -2.02 4.39 4.48 - - - - - CLGN041I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Unconstrained Fixed Income 100/100 (PP) 05/12/2026 11.41 -0.02 Fixed income 0.33 -0.30 -0.38 -0.13 1.71 3.22 3.67 1.17 - - 1.71 3.62 4.57 6.09 -7.86 -1.45 5.02 5.11 - - - - - CLGP041I - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Unconstrained Fixed Income 100/100 (PS1) 05/12/2026 12.36 -0.03 Fixed income 0.28 -0.44 -0.65 -0.31 2.04 2.64 3.09 0.62 2.20 - 2.04 3.03 3.99 5.50 -8.36 -1.99 4.39 4.53 -0.19 3.31 13.01 12/31/2022 2.03 CLGO041I CLGO041J CLGO041L - - Mackenzie Investments Fund fact Monthly profile
Add GWL Unconstrained Fixed Income 75/100 05/12/2026 11.82 -0.03 Fixed income 0.25 -0.54 -0.85 -0.45 1.62 2.21 2.67 0.20 1.77 - 1.62 2.61 3.57 5.08 -8.74 -2.40 3.94 4.08 -0.61 2.87 12.54 12/31/2024 2.43 CLGM041E CLGM041F CLGM041H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Unconstrained Fixed Income 75/100 (P) 05/12/2026 11.04 -0.02 Fixed income 0.29 -0.40 -0.58 -0.26 1.29 2.78 3.24 0.76 - - 1.29 3.18 4.15 5.66 -8.23 -1.86 4.51 4.66 - - - - - CLGN041E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Unconstrained Fixed Income 75/100 (PP) 05/12/2026 11.55 -0.02 Fixed income 0.34 -0.26 -0.29 -0.07 1.88 3.38 3.84 1.34 - - 1.88 3.78 4.75 6.27 -7.70 -1.29 5.13 5.28 - - - - - CLGP041E - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Unconstrained Fixed Income 75/100 (PS1) 05/12/2026 12.57 -0.03 Fixed income 0.30 -0.40 -0.57 -0.26 2.21 2.80 3.26 0.78 2.37 - 2.21 3.20 4.17 5.68 -8.21 -1.83 4.56 4.70 -0.03 3.48 13.19 12/31/2024 1.86 CLGO041E CLGO041F CLGO041H - - Mackenzie Investments Fund fact Monthly profile
Add GWL Unconstrained Fixed Income 75/75 05/12/2026 11.96 -0.03 Fixed income 0.26 -0.51 -0.80 -0.41 1.73 2.33 2.78 0.31 1.89 - 1.73 2.72 3.68 5.19 -8.64 -2.29 4.05 4.20 -0.50 2.99 12.66 12/31/2024 2.32 CLGM041A CLGM041B CLGM041D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Unconstrained Fixed Income 75/75 (P) 05/12/2026 11.13 -0.02 Fixed income 0.30 -0.38 -0.52 -0.23 1.40 2.90 3.36 0.87 - - 1.40 3.30 4.26 5.77 -8.13 -1.75 4.63 4.77 - - - - - CLGN041A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Unconstrained Fixed Income 75/75 (PP) 05/12/2026 11.65 -0.02 Fixed income 0.35 -0.24 -0.24 -0.04 1.99 3.49 3.96 1.46 - - 1.99 3.90 4.87 6.38 -7.60 -1.18 5.25 5.39 - - - - - CLGP041A - - - - Mackenzie Investments Fund fact Monthly profile
Add GWL Unconstrained Fixed Income 75/75 (PS1) 05/12/2026 12.72 -0.03 Fixed income 0.30 -0.37 -0.51 -0.22 2.32 2.92 3.38 0.89 2.48 - 2.32 3.32 4.28 5.80 -8.11 -1.73 4.67 4.82 0.08 3.60 13.34 12/31/2024 1.75 CLGO041A CLGO041B CLGO041D - - Mackenzie Investments Fund fact Monthly profile
Add GWL Visio Balanced Portfolio DSC 05/12/2026 400.71 0.06 Portfolio solution 0.67 -1.00 -0.36 -0.81 3.57 5.76 4.89 3.31 3.36 3.90 3.57 6.19 8.33 5.07 -6.38 5.79 2.89 8.60 -2.06 3.10 3.41 12/31/2024 2.56 - CLGTJ007 - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Monthly profile
Add GWL Visio Balanced Portfolio NL 05/12/2026 390.98 0.06 Portfolio solution 0.67 -1.00 -0.36 -0.81 3.45 5.76 4.89 3.31 3.33 3.80 3.45 6.19 8.33 5.07 -6.38 5.79 2.89 8.60 -1.99 2.88 3.18 12/31/2024 2.56 - - - CLGTO007 - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Monthly profile
Add GWL Visio Balanced Portfolio 100/100 05/12/2026 19.10 0.00 Portfolio solution 0.63 -1.12 -0.61 -0.97 3.70 5.24 4.34 2.77 2.89 3.50 3.70 5.65 7.75 4.51 -6.88 5.22 2.34 8.01 -2.42 2.89 3.19 12/31/2024 3.10 CLGM007I CLGM007J CLGM007L - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Balanced Portfolio 100/100 (P) 05/12/2026 13.41 0.00 Portfolio solution 0.72 -0.85 -0.06 -0.61 3.87 6.41 5.50 3.90 - - 3.87 6.82 8.94 5.66 -5.86 6.38 3.47 9.21 - - - - - CLGN007I - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Balanced Portfolio 100/100 (PP) 05/12/2026 14.01 0.00 Portfolio solution 0.77 -0.72 0.20 -0.44 4.46 6.97 6.08 4.48 - - 4.46 7.39 9.56 6.25 -5.32 6.99 4.05 9.84 - - - - - CLGP007I - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Balanced Portfolio 100/100 (PS1) 05/12/2026 17.96 0.00 Portfolio solution 0.68 -0.99 -0.34 -0.80 4.31 5.80 4.92 3.34 3.47 - 4.31 6.23 8.35 5.09 -6.36 5.81 2.92 8.63 -1.86 3.47 3.78 12/31/2024 2.54 CLGO007I CLGO007J CLGO007L - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Balanced Portfolio 75/100 05/12/2026 19.81 0.00 Portfolio solution 0.65 -1.06 -0.50 -0.90 4.16 5.47 4.60 3.03 3.13 3.73 4.16 5.90 8.03 4.78 -6.63 5.50 2.61 8.30 -2.21 3.06 3.36 12/31/2024 2.84 CLGM007E CLGM007F CLGM007H - CLGR007E Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Balanced Portfolio 75/100 (P) 05/12/2026 13.68 0.00 Portfolio solution 0.74 -0.79 0.04 -0.54 4.14 6.63 5.76 4.16 - - 4.14 7.06 9.23 5.94 -5.61 6.67 3.74 9.50 - - - - - CLGN007E - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Balanced Portfolio 75/100 (PP) 05/12/2026 14.19 0.00 Portfolio solution 0.78 -0.68 0.29 -0.38 4.63 7.16 6.25 4.65 - - 4.63 7.58 9.73 6.42 -5.17 7.16 4.23 10.01 - - - - - CLGP007E - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Balanced Portfolio 75/100 (PS1) 05/12/2026 18.37 0.00 Portfolio solution 0.69 -0.95 -0.26 -0.75 4.48 5.98 5.09 3.51 3.64 - 4.48 6.40 8.53 5.26 -6.20 5.99 3.09 8.81 -1.70 3.64 3.95 12/31/2024 2.38 CLGO007E CLGO007F CLGO007H - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Balanced Portfolio 75/75 05/12/2026 20.33 0.00 Portfolio solution 0.67 -1.00 -0.36 -0.81 4.09 5.76 4.89 3.31 3.36 3.90 4.09 6.19 8.33 5.07 -6.38 5.79 2.89 8.60 -2.06 3.10 3.41 12/31/2024 2.56 CLGM007A CLGM007B CLGM007D - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Balanced Portfolio 75/75 (P) 05/12/2026 13.98 0.00 Portfolio solution 0.76 -0.73 0.18 -0.45 4.42 6.92 6.05 4.45 - - 4.42 7.36 9.53 6.22 -5.34 6.96 4.03 9.79 - - - - - CLGN007A - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Balanced Portfolio 75/75 (PP) 05/12/2026 14.31 0.00 Portfolio solution 0.79 -0.65 0.34 -0.35 4.74 7.26 6.37 4.77 - - 4.74 7.69 9.86 6.55 -5.07 7.27 4.34 10.14 - - - - - CLGP007A - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Balanced Portfolio 75/75 (PS1) 05/12/2026 18.66 0.00 Portfolio solution 0.70 -0.92 -0.21 -0.71 4.59 6.10 5.21 3.62 3.75 - 4.59 6.52 8.65 5.38 -6.10 6.10 3.20 8.93 -1.59 3.76 4.07 12/31/2024 2.27 CLGO007A CLGO007B CLGO007D - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Growth Portfolio DSC 05/12/2026 437.65 0.27 Portfolio solution 0.99 -1.15 -0.10 -0.96 4.04 7.79 6.45 4.73 4.53 4.61 4.04 7.98 11.37 5.64 -6.18 10.23 2.65 10.41 -3.94 4.08 4.72 12/31/2024 2.65 - CLGTJ006 - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Monthly profile
Add GWL Visio Growth Portfolio NL 05/12/2026 426.55 0.26 Portfolio solution 0.99 -1.15 -0.10 -0.96 3.91 7.79 6.45 4.73 4.50 4.50 3.91 7.98 11.37 5.64 -6.18 10.23 2.65 10.41 -3.87 3.85 4.49 12/31/2024 2.65 - - - CLGTO006 - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Monthly profile
Add GWL Visio Growth Portfolio 100/100 05/12/2026 21.39 0.01 Portfolio solution 0.94 -1.31 -0.42 -1.18 4.36 7.08 5.76 4.05 3.89 4.00 4.36 7.26 10.65 4.97 -6.76 9.51 1.98 9.69 -4.48 3.59 4.22 12/31/2024 3.30 CLGM006I CLGM006J CLGM006L - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Growth Portfolio 100/100 (P) 05/12/2026 14.39 0.01 Portfolio solution 1.02 -1.05 0.11 -0.83 4.83 8.26 6.91 5.18 - - 4.83 8.45 11.85 6.09 -5.77 10.72 3.10 10.89 - - - - - CLGN006I - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Growth Portfolio 100/100 (PP) 05/12/2026 14.98 0.01 Portfolio solution 1.07 -0.92 0.37 -0.65 5.38 8.81 7.46 5.72 - - 5.38 9.01 12.44 6.64 -5.29 11.28 3.63 11.47 - - - - - CLGP006I - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Growth Portfolio 100/100 (PS1) 05/12/2026 20.94 0.01 Portfolio solution 0.98 -1.19 -0.17 -1.01 5.48 7.65 6.31 4.59 4.46 - 5.48 7.84 11.22 5.50 -6.31 10.08 2.52 10.27 -3.91 4.27 4.91 12/31/2024 2.79 CLGO006I CLGO006J CLGO006L - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Growth Portfolio 75/100 05/12/2026 22.87 0.01 Portfolio solution 0.97 -1.22 -0.23 -1.05 4.78 7.50 6.16 4.44 4.28 4.41 4.78 7.69 11.07 5.36 -6.44 9.93 2.37 10.11 -4.11 3.97 4.61 12/31/2024 2.92 CLGM006E CLGM006F CLGM006H - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Growth Portfolio 75/100 (P) 05/12/2026 14.83 0.01 Portfolio solution 1.06 -0.95 0.31 -0.70 5.24 8.68 7.33 5.59 - - 5.24 8.87 12.29 6.51 -5.41 11.13 3.48 11.32 - - - - - CLGN006E - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Growth Portfolio 75/100 (PP) 05/12/2026 15.30 0.01 Portfolio solution 1.09 -0.86 0.50 -0.57 5.66 9.11 7.76 6.01 - - 5.66 9.30 12.75 6.93 -5.04 11.59 3.91 11.77 - - - - - CLGP006E - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Growth Portfolio 75/100 (PS1) 05/12/2026 21.75 0.01 Portfolio solution 1.00 -1.12 -0.04 -0.92 5.76 7.93 6.59 4.86 4.75 - 5.76 8.12 11.52 5.78 -6.06 10.38 2.79 10.56 -3.64 4.56 5.21 12/31/2024 2.52 CLGO006E CLGO006F CLGO006H - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Growth Portfolio 75/75 05/12/2026 23.51 0.01 Portfolio solution 0.99 -1.15 -0.10 -0.96 4.95 7.79 6.45 4.73 4.53 4.60 4.95 7.98 11.37 5.65 -6.18 10.23 2.65 10.41 -3.94 4.08 4.72 12/31/2024 2.65 CLGM006A CLGM006B CLGM006D - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Growth Portfolio 75/75 (P) 05/12/2026 15.15 0.01 Portfolio solution 1.08 -0.89 0.44 -0.61 5.53 8.97 7.62 5.88 - - 5.53 9.17 12.60 6.80 -5.15 11.44 3.77 11.62 - - - - - CLGN006A - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Growth Portfolio 75/75 (PP) 05/12/2026 15.45 0.01 Portfolio solution 1.10 -0.83 0.56 -0.53 5.79 9.24 7.88 6.14 - - 5.79 9.42 12.87 7.05 -4.86 11.71 4.03 11.90 - - - - - CLGP006A - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Growth Portfolio 75/75 (PS1) 05/12/2026 22.09 0.01 Portfolio solution 1.01 -1.09 0.02 -0.89 5.88 8.05 6.71 4.98 4.86 - 5.88 8.24 11.64 5.90 -5.96 10.50 2.90 10.68 -3.53 4.68 5.33 12/31/2024 2.41 CLGO006A CLGO006B CLGO006D - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio DSC 05/12/2026 318.84 -0.10 Portfolio solution 0.45 -0.83 -0.43 -0.58 2.39 3.22 2.90 0.72 1.40 2.14 2.39 4.01 4.28 4.13 -9.64 -0.58 5.49 5.60 -0.90 1.64 2.05 12/31/2024 2.37 - CLGTJ008 - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Monthly profile
Add GWL Visio Income Portfolio NL 05/12/2026 311.20 -0.10 Portfolio solution 0.45 -0.83 -0.43 -0.58 2.26 3.22 2.90 0.72 1.37 2.05 2.26 4.01 4.28 4.13 -9.64 -0.58 5.49 5.60 -0.83 1.42 1.82 12/31/2024 2.37 - - - CLGTO008 - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Monthly profile
Add GWL Visio Income Portfolio 100/100 05/12/2026 14.31 0.00 Portfolio solution 0.42 -0.91 -0.59 -0.69 1.97 2.88 2.50 0.31 1.03 1.81 1.97 3.63 3.84 3.68 -10.02 -1.01 5.04 5.15 -1.21 1.43 1.83 12/31/2024 2.79 CLGM008I CLGM008J CLGM008L - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio 100/100 (P) 05/12/2026 11.68 0.00 Portfolio solution 0.51 -0.64 -0.06 -0.33 2.03 4.00 3.62 1.41 - - 2.03 4.76 4.98 4.82 -9.03 0.09 6.20 6.31 - - - - - CLGN008I - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio 100/100 (PP) 05/12/2026 12.14 0.00 Portfolio solution 0.55 -0.54 0.15 -0.19 2.54 4.45 4.11 1.91 - - 2.54 5.23 5.51 5.36 -8.57 0.59 6.73 6.85 - - - - - CLGP008I - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio 100/100 (PS1) 05/12/2026 13.27 0.00 Portfolio solution 0.46 -0.80 -0.38 -0.55 2.06 3.33 2.99 0.80 1.53 - 2.06 4.10 4.36 4.20 -9.56 -0.51 5.59 5.70 -0.71 1.95 2.33 12/31/2024 2.29 CLGO008I CLGO008J CLGO008L - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio 75/100 05/12/2026 14.70 0.00 Portfolio solution 0.43 -0.88 -0.54 -0.65 2.33 3.00 2.64 0.46 1.18 1.98 2.33 3.76 4.00 3.84 -9.88 -0.86 5.20 5.31 -1.06 1.59 1.99 12/31/2024 2.64 CLGM008E CLGM008F CLGM008H - CLGR008E Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio 75/100 (P) 05/12/2026 11.81 0.00 Portfolio solution 0.52 -0.62 -0.01 -0.30 2.18 4.11 3.76 1.56 - - 2.18 4.88 5.14 4.98 -8.89 0.24 6.36 6.47 - - - - - CLGN008E - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio 75/100 (PP) 05/12/2026 12.24 0.00 Portfolio solution 0.56 -0.51 0.21 -0.16 2.65 4.56 4.22 2.02 - - 2.65 5.35 5.61 5.46 -8.46 0.70 6.85 6.97 - - - - - CLGP008E - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio 75/100 (PS1) 05/12/2026 13.47 0.00 Portfolio solution 0.47 -0.78 -0.33 -0.51 2.17 3.44 3.10 0.91 1.64 - 2.17 4.22 4.48 4.32 -9.47 -0.40 5.69 5.80 -0.60 2.06 2.47 12/31/2024 2.18 CLGO008E CLGO008F CLGO008H - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio 75/75 05/12/2026 15.09 0.00 Portfolio solution 0.45 -0.83 -0.43 -0.58 2.29 3.22 2.90 0.72 1.40 2.14 2.29 4.01 4.28 4.13 -9.64 -0.58 5.49 5.60 -0.90 1.64 2.05 12/31/2024 2.37 CLGM008A CLGM008B CLGM008D - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio 75/75 (P) 05/12/2026 12.06 0.00 Portfolio solution 0.54 -0.56 0.10 -0.23 2.46 4.34 4.03 1.82 - - 2.46 5.14 5.43 5.27 -8.64 0.51 6.65 6.76 - - - - - CLGN008A - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio 75/75 (PP) 05/12/2026 12.36 0.00 Portfolio solution 0.57 -0.48 0.27 -0.12 2.78 4.69 4.34 2.15 - - 2.78 5.48 5.73 5.58 -8.27 0.81 6.97 7.08 - - - - - CLGP008A - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio 75/75 (PS1) 05/12/2026 13.68 0.00 Portfolio solution 0.48 -0.75 -0.28 -0.48 2.29 3.55 3.21 1.02 1.75 - 2.29 4.33 4.59 4.43 -9.37 -0.29 5.81 5.92 -0.49 2.17 2.58 12/31/2024 2.08 CLGO008A CLGO008B CLGO008D - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio II DSC 05/12/2026 358.61 -0.11 Portfolio solution 0.44 -0.86 -0.50 -0.62 2.99 3.67 3.50 1.72 2.20 2.92 2.99 4.24 5.97 4.30 -7.97 2.22 4.44 6.80 -1.50 2.30 2.79 12/31/2024 2.47 - CLGTJ009 - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Monthly profile
Add GWL Visio Income Portfolio II NL 05/12/2026 350.21 -0.11 Portfolio solution 0.44 -0.86 -0.50 -0.62 2.87 3.67 3.50 1.72 2.16 2.83 2.87 4.24 5.97 4.30 -7.97 2.22 4.44 6.80 -1.43 2.07 2.57 12/31/2024 2.47 - - - CLGTO009 - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Monthly profile
Add GWL Visio Income Portfolio II 100/100 05/12/2026 16.25 -0.01 Portfolio solution 0.42 -0.92 -0.64 -0.71 2.74 3.37 3.06 1.26 1.78 2.56 2.74 3.87 5.46 3.80 -8.41 1.72 3.94 6.28 -1.84 2.08 2.58 12/31/2024 2.96 CLGM009I CLGM009J CLGM009L - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio II 100/100 (P) 05/12/2026 12.35 0.00 Portfolio solution 0.51 -0.65 -0.10 -0.35 2.77 4.52 4.21 2.39 - - 2.77 5.02 6.64 4.95 -7.40 2.85 5.08 7.45 - - - - - CLGN009I - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio II 100/100 (PP) 05/12/2026 12.85 0.00 Portfolio solution 0.55 -0.54 0.13 -0.20 3.29 4.98 4.72 2.90 - - 3.29 5.51 7.18 5.48 -6.93 3.38 5.64 8.02 - - - - - CLGP009I - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio II 100/100 (PS1) 05/12/2026 14.99 0.00 Portfolio solution 0.45 -0.82 -0.43 -0.56 2.96 3.83 3.56 1.76 2.30 - 2.96 4.35 6.00 4.32 -7.95 2.24 4.47 6.83 -1.33 2.61 3.11 12/31/2024 2.45 CLGO009I CLGO009J CLGO009L - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio II 75/100 05/12/2026 16.75 -0.01 Portfolio solution 0.43 -0.90 -0.59 -0.67 3.12 3.49 3.25 1.46 1.97 2.75 3.12 4.02 5.68 4.01 -8.22 1.94 4.15 6.51 -1.66 2.24 2.73 12/31/2024 2.75 CLGM009E CLGM009F CLGM009H - CLGR009E Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio II 75/100 (P) 05/12/2026 12.55 0.00 Portfolio solution 0.52 -0.63 -0.04 -0.31 2.97 4.64 4.40 2.58 - - 2.97 5.18 6.87 5.16 -7.20 3.08 5.32 7.69 - - - - - CLGN009E - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio II 75/100 (PP) 05/12/2026 13.01 0.00 Portfolio solution 0.55 -0.52 0.18 -0.16 3.45 5.11 4.87 3.06 - - 3.45 5.65 7.35 5.66 -6.77 3.55 5.81 8.20 - - - - - CLGP009E - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio II 75/100 (PS1) 05/12/2026 15.34 0.00 Portfolio solution 0.46 -0.79 -0.37 -0.53 3.13 3.95 3.72 1.92 2.46 - 3.13 4.49 6.17 4.50 -7.79 2.41 4.65 7.01 -1.17 2.78 3.28 12/31/2024 2.29 CLGO009E CLGO009F CLGO009H - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio II 75/75 05/12/2026 17.21 -0.01 Portfolio solution 0.44 -0.84 -0.48 -0.60 3.09 3.72 3.52 1.73 2.20 2.93 3.09 4.27 5.97 4.30 -7.97 2.22 4.44 6.80 -1.50 2.30 2.79 12/31/2024 2.47 CLGM009A CLGM009B CLGM009D - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio II 75/75 (P) 05/12/2026 10.82 0.00 Portfolio solution 0.54 -0.57 0.07 -0.23 1.04 4.88 4.68 2.88 - - 1.04 5.43 7.17 5.48 -6.93 4.59 -8.64 3.79 - - - - - CLGN009A - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio II 75/75 (PP) 05/12/2026 13.12 0.00 Portfolio solution 0.56 -0.49 0.23 -0.13 3.56 5.22 4.99 3.17 - - 3.56 5.76 7.47 5.77 -6.67 3.67 5.93 8.32 - - - - - CLGP009A - - - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL Visio Income Portfolio II 75/75 (PS1) 05/12/2026 15.58 0.00 Portfolio solution 0.47 -0.76 -0.32 -0.49 3.24 4.06 3.83 2.04 2.57 - 3.24 4.60 6.29 4.61 -7.69 2.53 4.76 7.12 -1.06 2.90 3.39 12/31/2024 2.17 CLGO009A CLGO009B CLGO009D - - Portfolio Solutions Group, Mackenzie Investments, Beutel, Goodman & Company Ltd. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 100/100 05/12/2026 28.92 0.09 Balanced 4.64 2.80 4.94 3.13 6.06 18.95 10.53 7.38 6.52 5.67 6.06 10.20 11.80 13.12 -10.01 20.88 3.98 11.67 -9.06 4.88 10.62 12/31/2024 3.14 CLGM043I CLGM043J CLGM043L - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 100/100 (P) 05/12/2026 18.37 0.05 Balanced 4.74 3.08 5.51 3.50 8.03 20.26 11.75 8.56 - - 8.03 11.41 13.04 14.35 -9.02 22.22 5.12 12.89 - - - - - CLGN043I - - - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 100/100 (PP) 05/12/2026 19.02 0.06 Balanced 4.78 3.19 5.74 3.66 8.51 20.80 12.25 9.05 - - 8.51 11.91 13.55 14.87 -8.61 22.76 5.60 13.40 - - - - - CLGP043I - - - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 100/100 (PS1) 05/12/2026 27.96 0.08 Balanced 4.68 2.91 5.17 3.28 7.61 19.48 11.02 7.86 7.00 - 7.61 10.69 12.30 13.62 -9.61 21.42 4.44 12.17 -8.65 5.36 11.12 12/31/2024 2.69 CLGO043I CLGO043J CLGO043L - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 100/100 (PS2) 05/12/2026 40.71 0.12 Balanced 4.91 3.60 6.58 4.20 10.54 22.72 14.05 10.80 9.92 - 10.54 13.70 15.39 16.71 -7.15 24.73 7.28 15.22 -6.13 8.23 14.13 - - CLGQ043I - - - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 75/100 05/12/2026 29.77 0.09 Balanced 4.66 2.84 5.03 3.19 6.65 19.15 10.71 7.56 6.70 5.85 6.65 10.38 11.98 13.30 -9.86 21.08 4.15 11.85 -8.91 5.06 10.80 12/31/2024 2.98 CLGM043E CLGM043F CLGM043H - CLGR043E Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 75/100 (P) 05/12/2026 18.61 0.06 Balanced 4.75 3.12 5.60 3.56 8.21 20.45 11.93 8.74 - - 8.21 11.59 13.23 14.55 -8.87 22.41 5.29 13.09 - - - - - CLGN043E - - - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 75/100 (PP) 05/12/2026 19.35 0.06 Balanced 4.79 3.25 5.86 3.73 8.75 21.05 12.49 9.29 - - 8.75 12.15 13.80 15.12 -8.41 23.03 5.82 13.66 - - - - - CLGP043E - - - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 75/100 (PS1) 05/12/2026 28.83 0.09 Balanced 4.70 2.97 5.29 3.36 7.84 19.74 11.27 8.10 7.24 - 7.84 10.94 12.55 13.87 -9.41 21.69 4.67 12.41 -8.44 5.59 11.36 12/31/2024 2.47 CLGO043E CLGO043F CLGO043H - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 75/100 (PS2) 05/12/2026 40.72 0.12 Balanced 4.91 3.60 6.58 4.20 10.54 22.72 14.05 10.80 9.92 - 10.54 13.70 15.39 16.71 -7.15 24.72 7.28 15.22 -6.13 8.23 14.14 - - CLGQ043E - - - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 75/75 05/12/2026 30.53 0.09 Balanced 4.67 2.88 5.10 3.24 6.40 19.33 10.88 7.72 6.86 6.00 6.40 10.55 12.16 13.48 -9.73 21.26 4.31 12.02 -8.77 5.22 10.97 12/31/2024 2.82 CLGM043A CLGM043B CLGM043D - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 75/75 (P) 05/12/2026 18.84 0.06 Balanced 4.76 3.16 5.68 3.61 8.38 20.65 12.11 8.91 - - 8.38 11.77 13.41 14.71 -8.74 22.59 5.47 13.27 - - - - - CLGN043A - - - CLGS043E Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 75/75 (PP) 05/12/2026 19.61 0.06 Balanced 4.81 3.29 5.95 3.79 8.93 21.26 12.68 9.47 - - 8.93 12.34 13.99 15.32 -8.26 23.23 6.00 13.84 - - - - - CLGP043A - - - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 75/75 (PS1) 05/12/2026 29.50 0.09 Balanced 4.71 3.01 5.37 3.41 8.02 19.94 11.45 8.28 7.41 - 8.02 11.12 12.74 14.06 -9.26 21.89 4.85 12.60 -8.29 5.76 11.54 12/31/2024 2.31 CLGO043A CLGO043B CLGO043D - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Balanced 75/75 (PS2) 05/12/2026 40.72 0.12 Balanced 4.91 3.60 6.58 4.20 10.54 22.72 14.05 10.80 9.92 - 10.54 13.70 15.39 16.71 -7.15 24.72 7.28 15.22 -6.13 8.23 14.14 - - CLGQ043A - - - - Dixon Mitchell Investment Counsel Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 100/100 05/12/2026 37.88 0.14 Canadian equity 2.48 4.87 7.23 4.16 7.66 21.84 11.40 10.83 7.58 6.65 7.66 17.05 13.16 6.37 -0.51 25.07 -3.87 17.60 -12.40 3.27 20.43 12/31/2024 3.45 CLGM055I CLGM055J CLGM055L - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 100/100 (P) 05/12/2026 19.85 0.07 Canadian equity 2.57 5.16 7.82 4.55 9.15 23.20 12.64 12.06 - - 9.15 18.34 14.42 7.54 0.59 26.45 -2.82 18.89 - - - - - CLGN055I - - - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 100/100 (PP) 05/12/2026 20.60 0.08 Canadian equity 2.61 5.27 8.07 4.70 9.67 23.78 13.17 12.59 - - 9.67 18.90 14.97 8.04 1.06 27.04 -2.35 19.44 - - - - - CLGP055I - - - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 100/100 (PS1) 05/12/2026 31.76 0.12 Canadian equity 2.52 4.99 7.48 4.32 8.62 22.42 11.93 11.35 8.08 - 8.62 17.60 13.70 6.87 -0.04 25.66 -3.42 18.14 -11.99 3.75 20.98 12/31/2024 2.97 CLGO055I CLGO055J CLGO055L - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 100/100 (PS2) 05/12/2026 48.05 0.18 Canadian equity 2.77 5.76 9.08 5.35 11.88 26.11 15.31 14.71 11.33 - 11.88 21.14 17.15 10.08 2.96 29.43 -0.51 21.68 -9.34 6.86 24.61 - - CLGQ055I - - - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 75/100 05/12/2026 39.98 0.15 Canadian equity 2.50 4.95 7.40 4.27 8.01 22.22 11.75 11.17 7.91 6.99 8.01 17.41 13.51 6.69 -0.20 25.45 -3.57 17.96 -12.13 3.59 20.80 12/31/2024 3.14 CLGM055E CLGM055F CLGM055H - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 75/100 (P) 05/12/2026 20.34 0.08 Canadian equity 2.60 5.23 7.99 4.65 9.49 23.57 12.99 12.40 - - 9.49 18.70 14.78 7.87 0.89 26.83 -2.51 19.25 - - - - - CLGN055E - - - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 75/100 (PP) 05/12/2026 21.14 0.08 Canadian equity 2.64 5.36 8.25 4.82 10.03 24.18 13.55 12.96 - - 10.03 19.29 15.35 8.40 1.39 27.46 -2.03 19.84 - - - - - CLGP055E - - - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 75/100 (PS1) 05/12/2026 33.27 0.12 Canadian equity 2.54 5.08 7.66 4.44 8.98 22.82 12.30 11.72 8.44 - 8.98 17.99 14.08 7.22 0.29 26.07 -3.10 18.54 -11.70 4.09 21.39 12/31/2024 2.64 CLGO055E CLGO055F CLGO055H - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 75/100 (PS2) 05/12/2026 48.05 0.18 Canadian equity 2.77 5.76 9.08 5.35 11.88 26.11 15.31 14.71 11.33 - 11.88 21.14 17.15 10.08 2.96 29.43 -0.51 21.69 -9.34 6.85 24.61 - - CLGQ055E - - - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 75/75 05/12/2026 41.88 0.16 Canadian equity 2.53 5.03 7.56 4.38 8.31 22.60 12.09 11.52 8.23 7.29 8.31 17.77 13.87 7.02 0.10 25.84 -3.28 18.32 -11.88 3.85 21.10 12/31/2024 2.83 CLGM055A CLGM055B CLGM055D - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 75/75 (P) 05/12/2026 20.84 0.08 Canadian equity 2.62 5.31 8.15 4.75 9.83 23.95 13.34 12.75 - - 9.83 19.07 15.13 8.20 1.21 27.22 -2.21 19.62 - - - - - CLGN055A - - - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 75/75 (PP) 05/12/2026 21.51 0.08 Canadian equity 2.66 5.42 8.37 4.89 10.27 24.46 13.80 13.21 - - 10.27 19.56 15.61 8.64 1.61 27.74 -1.81 20.10 - - - - - CLGP055A - - - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 75/75 (PS1) 05/12/2026 34.30 0.13 Canadian equity 2.56 5.13 7.78 4.52 9.22 23.09 12.55 11.97 8.68 - 9.22 18.25 14.33 7.46 0.51 26.35 -2.88 18.80 -11.50 4.32 21.66 12/31/2024 2.42 CLGO055A CLGO055B CLGO055D - - Value Partners Investments Inc. Fund fact Monthly profile
Add GWL VPI Canadian Equity 75/75 (PS2) 05/12/2026 48.05 0.18 Canadian equity 2.77 5.76 9.08 5.35 11.88 26.11 15.31 14.71 11.33 - 11.88 21.14 17.15 10.08 2.96 29.43 -0.51 21.69 -9.34 6.85 24.61 - - CLGQ055A - - - - Value Partners Investments Inc. Fund fact Monthly profile