Sentry Select Capital Inc.

Sentry Select Capital Inc.

May 15, 2009 17:56 ET

Sentry Select Capital Inc. Announces Exchange Ratios for Sentry Select Canadian Income Exchange Fund

TORONTO, ONTARIO--(Marketwire - May 15, 2009) - Sentry Select Capital Inc. ("Sentry Select" or the "Manager") is pleased to announce the Exchange Ratios for the initial public offering (the "Offering") of Sentry Select Canadian Income Exchange Fund (the "Fund") by way of an exchange offer as announced in the preliminary prospectus of the Offering dated April 9, 2009.

Deposit of Securities and Closing

A prospective purchaser of Units was required to deposit its Eligible Securities with the Exchange Agent through CDS prior to 5:00 p.m. (Toronto time) on May 14, 2009. The closing of the Offering is expected to occur on or about May 29, 2009.

The Exchange Ratios were determined: (i) in respect of Eligible Securities other than convertible debentures, by dividing the volume weighted average trading price of such securities on the Toronto Stock Exchange ("TSX") during the period of four consecutive trading days ending on May 14, 2009 (the "Pricing Period"), by $10.00 (being the original issue price per Unit) as adjusted to reflect distributions declared by an Exchange Issuer that will be payable to the securityholder and therefore will not be received by the Fund (no further adjustments will be made to the Exchange Ratios based on dividends or distributions that are declared from the end of the Pricing Period to the Closing Date); and (ii) in respect of Eligible Securities that are convertible debentures, for each $1,000 principal amount of convertible debentures, by dividing the volume weighted average trading price for such principal amount of convertible debentures on the TSX during the Pricing Period, plus accrued interest as calculated in accordance with market practice, to, but not including, the Closing Date, by $10.00. For greater certainty, the distribution payable on the Eligible Securities of any Exchange Issuer that are deposited to the Exchange and which have a record date before the Closing Date will be received by the prospective purchaser who deposited such securities and not by the Fund. The Exchange Ratios were rounded down to four decimal places. Fractional Units will not be issued by the Fund.



Eligible Securities - Royalty and Income Trusts and REITS

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Security Name TSX Symbol Volume Exchange
Weighted Ratios
Average Price
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Acadian Timber Income Fund ADN.UN 8.1463 0.8146
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Ag Growth Income Fund AFN.UN 28.230 2.8230
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AltaGas Income Trust ALA.UN 16.2711 1.6271
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Allied Properties Real Estate
Investment Trust AP.UN 14.4610 1.4461
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Altus Group Income Fund AIF.UN 7.5599 0.7559
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ARC Energy Trust AET.UN 16.6433 1.6643
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Armtec Infrastructure Income Fund ARF.UN 17.6408 1.7640
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Atlantic Power Corporation ATP.UN 9.0045 0.9004
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A&W Revenue Royalties Income Fund AW.UN 13.8863 1.3886
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Baytex Energy Trust BTE.UN 17.9092 1.7909
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Badger Income Fund BAD.UN 13.0133 1.3013
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Bell Aliant Regional Communications
Income Fund BA.UN 24.6566 2.4656
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Bird Construction Income Fund BDT.UN 24.4292 2.4429
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Big Rock Brewery Income Trust BR.UN 9.2566 0.9256
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Black Diamond Income Fund BDI.UN 11.0978 1.1097
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Boardwalk Real Estate Investment Trust BEI.UN 29.3613 2.9361
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Bonavista Energy Trust BNP.UN 18.8298 1.8829
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Boston Pizza Royalties Income Fund BPF.UN 9.4368 0.9436
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Boyd Group Income Fund BYD.UN 3.1835 0.3183
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Boralex Power Income Fund BPT.UN 3.6481 0.3648
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Canadian Helicopters Income Fund CHL.UN 9.1784 0.9178
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Canexus Income Fund CUS.UN 3.7584 0.3758
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Canfor Pulp Income Fund CFX.UN 2.5413 0.2541
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CanWel Building Materials Income Fund CWX.UN 2.2783 0.2278
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Cargojet Income Fund CJT.UN 4.3111 0.4311
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Cathedral Energy Services Income Trust CET.UN 4.6035 0.4603
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Canadian Oil Sands Trust COS.UN 26.6295 2.6629
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Calloway Real Estate Investment Trust CWT.UN 13.2271 1.3227
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Canadian Real Estate Investment Trust REF.UN 21.2948 2.1294
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Chemtrade Logistics Income Fund CHE.UN 6.3987 0.6398
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Cineplex Galaxy Income Fund CGX.UN 15.1170 1.5117
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Coast Wholesale Appliances Income Fund CWA.UN 2.5973 0.2597
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CML Healthcare Income Fund CLC.UN 13.4204 1.3420
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Contrans Income Fund CSS.UN 5.0013 0.5001
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Crescent Point Energy Trust CPG.UN 29.4058 2.9405
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Cominar Real Estate Investment Trust CUF.UN 14.1032 1.4103
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Crombie Real Estate Investment Trust CRR.UN 7.6436 0.7643
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Davis + Henderson Income Fund DHF.UN 13.0227 1.3022
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Daylight Resources Trust DAY.UN 7.8925 0.7892
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DirectCash Income Fund DCI.UN 9.6947 0.9694
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Dundee Real Estate Investment Trust D.UN 16.1828 1.6182
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Drive Products Income Fund DPI.UN 1.3526 0.1352
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Enbridge Income Fund ENF.UN 11.2977 1.1297
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Energy Savings Income Fund SIF.UN 12.0202 1.2020
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Enerplus Resources Fund ERF.UN 26.2400 2.6240
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EPCOR Power L.P. EP.UN 13.3584 1.3358
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Exchange Industrial Income Fund EIF.UN 9.6378 0.9637
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Extendicare Real Estate Investment Trust EXE.UN 5.5920 0.5592
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First National Financial Income Fund FN.UN 11.7945 1.1794
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Fort Chicago Energy Partners L.P. FCE.UN 7.2368 0.7236
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Futuremed Healthcare Income Fund FMD.UN 7.1021 0.7102
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Freehold Royalty Trust FRU.UN 11.6636 1.1663
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Gaz Metro Limited Partnership GZM.UN 14.6282 1.4628
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GENIVAR Income Fund GNV.UN 25.1246 2.5124
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General Donlee Income Fund GDI.UN 6.2755 0.6275
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Great Lakes Hydro Income Fund GLH.UN 15.6697 1.5669
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GMP Capital Trust GMP.UN 8.5884 0.8588
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Hardwoods Distribution Income Fund HWD.UN 1.2005 0.1200
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Home Equity Income Trust HEQ.UN 5.8864 0.5886
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H&R Real Estate Investment Trust HR.UN 9.3776 0.9377
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IBI Income Fund IBG.UN 13.4825 1.3482
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InnVest Real Estate Investment Trust INN.UN 4.3402 0.4340
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Innergex Power Income Fund IEF.UN 9.5366 0.9536
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Inter Pipeline Fund IPL.UN 8.1480 0.8148
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Jazz Air Income Fund JAZ.UN 2.7715 0.2771
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The Keg Royalties Income Fund KEG.UN 9.4301 0.9430
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Keyera Facilities Income Fund KEY.UN 17.1324 1.7132
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Labrador Iron Ore Royalty Income Fund LIF.UN 28.3610 2.8361
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Liquor Stores Income Fund LIQ.UN 13.8543 1.3854
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Livingston International Income Fund LIV.UN 3.9534 0.3953
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Macquarie Power & Infrastructure
Income Fund MPT.UN 6.2101 0.6210
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Medical Facilities Corporation DR.UN 8.8592 0.8859
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Morguard Real Estate Investment Trust MRT.UN 9.5024 0.9502
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Morneau Sobeco Income Fund MSI.UN 8.1667 0.8166
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NAL Oil & Gas Trust NAE.UN 9.4193 0.9419
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New Flyer Industries Inc NFI.UN 9.6482 0.9648
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Noranda Income Fund NIF.UN 3.0112 0.3011
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Northern Property Real Estate
Investment Trust NPR.UN 17.0967 1.7096
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North West Company Fund NWF.UN 16.2293 1.6229
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Northland Power Income Fund NPI.UN 9.6833 0.9683
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Paramount Energy Trust PMT.UN 4.3970 0.4397
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Pembina Pipeline Income Fund PIF.UN 13.9520 1.3952
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Pengrowth Energy Trust PGF.UN 8.9681 0.8968
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Penn West Energy Trust PWT.UN 14.3009 1.4300
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Peyto Energy Trust PEY.UN 10.0888 1.0088
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Phoenix Technology Income Fund PHX.UN 8.1487 0.8148
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Precision Drilling Trust PD.UN 6.4461 0.6446
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Premium Brands Income Fund PBI.UN 8.9433 0.8943
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Priszm Income Fund QSR.UN 1.8714 0.1871
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Primaris Retail Real Estate
Investment Trust PMZ.UN 12.9674 1.2967
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Prime Restaurants Royalty Income Fund EAT.UN 5.7129 0.5712
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Provident Energy Trust PVE.UN 5.9507 0.5950
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PRT Forest Regeneration Income Fund PRT.UN 1.3240 0.1324
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Resolve Business Outsourcing Income Fund RBO.UN 2.5950 0.2595
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Richards Packaging Income Fund RPI.UN 3.3059 0.3305
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RioCan Real Estate Investment Trust REI.UN 13.9892 1.3989
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Rogers Sugar Income Fund RSI.UN 3.5389 0.3538
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Royal Host Real Estate Investment Trust RYL.UN 2.8512 0.2851
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Second Cup Royalty Income Fund SCU.UN 4.9616 0.4961
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SIR Royalty Income Fund SRV.UN 6.6867 0.6686
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Strongco Income Fund SQP.UN 2.9539 0.2953
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Supremex Income Fund SXP.UN 3.0308 0.3030
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Swiss Water Decaffeinated Coffee
Income Fund SWS.UN 4.1514 0.4151
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TerraVest Income Fund TI.UN 2.5952 0.2595
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TimberWest Forest Corp TWF.UN 3.7597 0.3759
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Total Energy Services Trust TOT.UN 4.6865 0.4686
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Trilogy Energy Trust TET.UN 6.5021 0.6502
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Vermilion Energy Trust VET.UN 28.6515 2.8651
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Vicwest Income Fund VIC.UN 10.6958 1.0695
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Wajax Income Fund WJX.UN 13.9043 1.3904
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Westshore Terminals Income Fund WTE.UN 10.9273 1.0927
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Yellow Pages Income Fund YLO.UN 6.1588 0.6158
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Eligible Securities -- Equities

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Security Name TSX Symbol Volume Exchange
Weighted Ratios
Average Price
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AGF Management Limited AGF.B 12.7045 1.2704
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Agnico-Eagle Mines Ltd. AEM 60.3313 6.0331
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Agrium Inc. AGU 53.1193 5.3119
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Algoma Central Corporation ALC 66.2025 6.6202
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Amica Mature Lifestyles Inc ACC 4.0413 0.4041
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Andrew Peller Limited ADW.A 7.3281 0.7328
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Bank of Montreal BMO 42.8348 4.2834
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Bank of Nova Scotia BNS 35.9934 3.5993
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Barrick Gold Corp. ABX 40.1732 4.0173
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BCE Inc. BCE 24.3045 2.4304
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BFI Canada Ltd BFC 11.7960 1.1796
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Biovail Corp. BVF 13.0118 1.3011
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Bombardier Inc. BBD.B 3.8601 0.3860
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Brookfield Asset Management Inc. BAM.A 20.4722 2.0472
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Cameco Corp. CCO 29.2270 2.9227
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Canadian Imperial Bank of Commerce CM 57.7995 5.7799
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Canadian National Railway Co. CNR 46.1624 4.6162
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Canadian Natural Resources Ltd. CNQ 60.3263 6.0326
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Canadian Pacific Railway Ltd. CP 42.0902 4.2090
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Canadian Tire Corp Ltd. CTC.A 47.3881 4.7388
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Canadian Utilities Limited CU 35.6990 3.5699
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Cascades Inc CAS 4.0763 0.4076
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Catalyst Paper Corporation CTL 0.2296 0.0229
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The Churchill Corporation CUQ 10.8516 1.0851
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CI Financial Corp CIX 16.9819 1.6981
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Clarke Inc CKI 2.6706 0.2670
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Emera Incorporated EMA 19.9219 1.9921
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Enbridge Inc. ENB 37.4652 3.7465
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EnCana Corp. ECA 61.6823 6.1682
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Eveready Inc EIS 10.1221 1.0122
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First Quantum Minerals Ltd. FM 48.5076 4.8507
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Fortis Inc FTS 22.9287 2.2928
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George Weston Ltd. WN 64.5217 6.4521
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Gerdau AmeriSteel Corporation GNA 6.4722 0.6472
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Gildan Activewear Inc. GIL 14.4977 1.4497
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Goldcorp Inc. G 38.7926 3.8792
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Great Canadian Gaming Corporation GC 4.5064 0.4506
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Groupe Aeroplan Inc. AER 8.0449 0.8044
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Hammond Power Solutions Inc HPS.A 9.1155 0.9115
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Husky Energy Inc. HSE 32.6413 3.2641
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Imperial Oil Ltd. IMO 42.0067 4.2006
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Inmet Mining Corp. IMN 45.5323 4.5532
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International Forest Products Ltd IFP.A 2.7576 0.2757
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Keystone North America Inc KNA 4.5298 0.4529
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Kinross Gold Corp. K 19.8143 1.9814
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Lassonde Industries Inc LAS.A 38.5247 3.8524
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Le Chateau Inc CTU.A 9.6234 0.9623
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Linamar Corporation LNR 8.3572 0.8357
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Loblaw Companies Ltd. L 36.1020 3.6102
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Logistec Corporation LGT.A 13.0000 1.3000
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lululemon athletica inc LLL 14.9263 1.4926
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Magna International Inc. MG.A 40.3368 4.0336
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Mainstreet Equity Corp MEQ 7.5222 0.7522
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Manulife Financial Corp. MFC 22.2602 2.2260
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Maple Leaf Foods Inc MFI 8.4358 0.8435
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Marsulex Inc MLX 9.4844 0.9484
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McGraw-Hill Ryerson Ltd MHR 35.2983 3.5298
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MDS Inc. MDS 6.7322 0.6732
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Melcor Developments Ltd MRD 5.9820 0.5982
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Metro Inc. MRU.A 36.4373 3.6437
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Mullen Group Ltd MTL 12.8969 1.2896
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National Bank of Canada NA 47.1861 4.7186
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Newalta Inc NAL 3.9780 0.3978
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Newfoundland Capital Corp Ltd NCC.A 17.6958 1.7695
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Nexen Inc. NXY 23.7126 2.3712
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Norbord, Inc NBD 1.5119 0.1511
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Onex Corporation OCX 22.1849 2.2184
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Petro-Canada PCA 43.2830 4.3283
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Potash Corp of Saskatchewan Inc. POT 118.7077 11.8707
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Power Corp. of Canada POW 24.0353 2.4035
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Pulse Data Inc PSD 1.2559 0.1255
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Realex Properties Corp RLX 0.4499 0.0449
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Reitmans (Canada) Limited RET.A 12.7292 1.2729
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Research In Motion Ltd. RIM 82.6765 8.2676
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Rocky Mountain Dealerships Inc RME 4.3141 0.4314
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Rogers Communications Inc. RCI.B 30.4009 3.0400
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Royal Bank of Canada RY 42.8122 4.2812
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Saputo Inc. SAP 21.5032 2.1503
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Seacliff Construction Corp SDC 9.0632 0.9063
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Shaw Communications Inc. SJR.B 19.3059 1.9305
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Shoppers Drug Mart Corp. SC 44.2867 4.4286
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SNC-Lavalin Group Inc. SNC 37.2654 3.7265
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Sun Life Financial Inc. SLF 27.3624 2.7362
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Suncor Energy Inc. SU 35.1032 3.5103
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Superior Plus Corp SPB 11.2277 1.1227
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Talisman Energy Inc. TLM 16.2988 1.6298
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Teck Cominco Limited TCK.B 14.8397 1.4839
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TELUS Corp. T 30.9198 3.0919
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Thomson Reuters Corp. TRI 34.0108 3.4010
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Tim Hortons Inc. THI 28.4897 2.8489
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Toronto-Dominion Bank TD 48.7319 4.8731
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TransAlta Corp. TA 20.7513 2.0751
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TransCanada Corp. TRP 30.7809 3.0780
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TransForce Inc TFI 5.1843 0.5184
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Trinidad Drilling Ltd TDG 5.6312 0.5631
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TVA Group Inc TVA.B 9.4340 0.9434
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Vitran Corporation Inc VTN 8.2413 0.8241
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West Fraser Timber Co Ltd WFT 30.9818 3.0981
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Yamana Gold Inc. YRI 10.4542 1.0454
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Eligible Securities - Convertible Debentures

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Security Name TSX Symbol Volume Exchange
Weighted Ratios
Average Price
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Advantage Energy Income Fund AVN.DB.C 96.2218 9.6221
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Advantage Energy Income Fund AVN.DB.E 88.6937 8.8693
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Advantage Energy Income Fund AVN.DB.F 98.4106 9.8410
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Artis Real Estate Investment Trust AX.DB.C 89.1930 8.9193
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Barrick Energy Inc CDS.DB 108.7449 10.8744
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Baytex Energy Trust BTE.DB 122.3800 12.2380
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Bonavista Energy Trust BNP.DB.A 101.2868 10.1286
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Calloway Real Estate Investment Trust CWT.DB.A 97.5410 9.7541
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Cineplex Galaxy Income Fund CGX.DB 99.2249 9.9224
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Cominar Real Estate Investment Trust CUF.DB 98.3750 9.8375
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Cominar Real Estate Investment Trust CUF.DB.B 86.6719 8.6671
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Cominar Real Estate Investment Trust CUF.DB.C 89.0209 8.9020
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Crombie Real Estate Investment Trust CRR.DB 96.5963 9.6596
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Daylight Resources Trust DAY.DB 101.5000 10.1500
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Daylight Resources Trust DAY.DB.B 103.3210 10.3321
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Daylight Resources Trust DAY.DB.C 101.5264 10.1526
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Dundee Corporation DC.DB 90.0000 9.0000
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Dundee Real Estate Investment Trust D.DB.A 82.0100 8.2010
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First Capital Realty Inc FCR.DB.A 82.0407 8.2040
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Fort Chicago Energy Partners L.P. FCE.DB.B 101.5511 10.1551
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H&R Real Estate Investment Trust HR.DB 99.0075 9.9007
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Keyera Facilities Income Fund KEY.DB 140.0000 14.0000
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Keyera Facilities Income Fund KEY.DB.A 105.3375 10.5337
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Killam Properties Inc KMP.DB 95.0420 9.5042
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Liquor Stores Income Fund LIQ.DB 100.0548 10.0054
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Magna International Inc MG.DB 99.7941 9.9794
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Medical Facilities Corporation DR.DB 87.3938 8.7393
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NAL Oil & Gas Trust NAE.DB 98.8791 9.8879
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Northland Power Income Fund NPI.DB 100.9095 10.0909
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Pembina Pipeline Income Fund PIF.DB.B 114.4957 11.4495
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Primaris Retail Real Estate
Investment Trust PMZ.DB 94.4208 9.4420
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Primaris Retail Real Estate
Investment Trust PMZ.DB.A 83.0998 8.3099
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Progress Energy Resources Corp PRQ.DB 98.8163 9.8816
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Progress Energy Resources Corp PRQ.DB.A 96.9550 9.6955
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Rogers Sugar Income Fund RSI.DB.A 98.0000 9.8000
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Rogers Sugar Income Fund RSI.DB.B 91.2257 9.1225
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Superior Plus Corp SPB.DB.B 94.5602 9.4560
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Superior Plus Corp SPB.DB.C 89.2744 8.9274
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Universal Energy Group Ltd UEG.DB 83.5308 8.3530
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YPG Holdings Inc YPG.DB 97.0537 9.7053
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Eligible Securities - Preferred Shares

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Security Name TSX Symbol Volume Exchange
Weighted Ratios
Average Price
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Bank of Montreal Series 14 BMO.PR.K 20.9991 2.0999
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Bank of Nova Scotia Series 14 BNS.PR.L 18.5561 1.8556
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Bank of Nova Scotia Series 15 BNS.PR.M 18.5051 1.8505
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Bank of Nova Scotia Series 20 BNS.PR.Q 24.2875 2.4287
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Bank of Nova Scotia Series 26 BNS.PR.T 26.5121 2.6512
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Bank of Nova Scotia Series 28 BNS.PR.X 26.6298 2.6629
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Brookfield Asset Management Inc
Series 13 BAM.PR.K 9.1631 0.9163
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Brookfield Properties Corporation
Series H BPO.PR.H 17.1332 1.7133
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Brookfield Properties Corporation
Series I BPO.PR.I 23.3022 2.3302
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Canadian Imperial Bank of Commerce
Series 30 CM.PR.H 18.3452 1.8345
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Canadian Imperial Bank of Commerce
Series 31 CM.PR.I 17.4786 1.7478
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Canadian Imperial Bank of Commerce
Series 35 CM.PR.L 26.8992 2.6899
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Great-West Lifeco Inc Series G GWO.PR.G 19.1474 1.9147
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Great-West Lifeco Inc Series H GWO.PR.H 18.3044 1.8304
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Power Financial Corporation Series K PWF.PR.K 18.8782 1.8878
----------------------------------------------------------------------------
Royal Bank of Canada Series AA RY.PR.A 18.1890 1.8189
----------------------------------------------------------------------------
Royal Bank of Canada Series AB RY.PR.B 19.0325 1.9032
----------------------------------------------------------------------------
Royal Bank of Canada Series AD RY.PR.D 18.1118 1.8111
----------------------------------------------------------------------------
Royal Bank of Canada Series AE RY.PR.E 18.1667 1.8166
----------------------------------------------------------------------------
Royal Bank of Canada Series AJ RY.PR.I 24.4005 2.4400
----------------------------------------------------------------------------
Royal Bank of Canada Series AL RY.PR.L 25.6527 2.5652
----------------------------------------------------------------------------
Royal Bank of Canada Series AN RY.PR.N 26.3268 2.6326
----------------------------------------------------------------------------
Royal Bank of Canada Series AP RY.PR.P 26.6013 2.6601
----------------------------------------------------------------------------
Royal Bank of Canada Series AR RY.PR.R 26.5989 2.6598
----------------------------------------------------------------------------
Royal Bank of Canada Series W RY.PR.W 19.6477 1.9647
----------------------------------------------------------------------------
Sun Life Financial Inc Series 1 SLF.PR.A 17.9413 1.7941
----------------------------------------------------------------------------
Sun Life Financial Inc Series 2 SLF.PR.B 18.3286 1.8328
----------------------------------------------------------------------------
The Toronto-Dominion Bank Series AE TD.PR.E 26.6467 2.6646
----------------------------------------------------------------------------
The Toronto-Dominion Bank Series AG TD.PR.G 26.7104 2.6710
----------------------------------------------------------------------------
The Toronto-Dominion Bank Series M TD.PR.M 26.0010 2.6001
----------------------------------------------------------------------------
The Toronto-Dominion Bank Series O TD.PR.O 19.9443 1.9944
----------------------------------------------------------------------------
The Toronto-Dominion Bank Series P TD.PR.P 21.3075 2.1307
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YPG Holdings Inc Series 2 YPG.PR.B 16.2288 1.6228
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Investment Objectives

The Fund's investment objectives are:

(i) to provide Unitholders with distributions (initially, equal to 8.5% per annum or approximately $0.071 per Unit per month based on the initial price of Units); and

(ii) to provide Unitholders with the opportunity for capital appreciation.

Sentry Select Capital Inc.

Sentry Select Capital Inc. is a Canadian wealth management company that offers a diverse range of investment products including closed-end trusts, mutual funds, principal-protected notes and flow-through limited partnerships, covering a variety of domestic and global mandates.

Dealer Managers

CIBC World Markets Inc. and RBC Capital Markets have been engaged as the Dealer Managers for the Offering.

Capitalized terms used herein but not defined have the meaning ascribed to them in the Fund's preliminary prospectus dated April 9, 2009.

Certain statements included in this news release constitute forward-looking statements, including, but not limited to, those identified by the expressions ''expect'', ''intend'', "will" and similar expressions to the extent they relate to Sentry Select. The forward-looking statements are not historical facts but reflect Sentry Select's current expectations regarding future results or events. These forward-looking statements are subject to a number of risks and uncertainties that could cause actual results or events to differ materially from current expectations including, but not limited to, the proposed monthly distribution of the Fund. Although Sentry Select believes that the assumptions inherent in the forward-looking statements are reasonable, forward-looking statements are not guarantees of future performance and, accordingly, readers are cautioned not to place undue reliance on such statements due to the inherent uncertainty therein. Sentry Select undertakes no obligation to update publicly or otherwise revise any forward-looking statement or information whether as a result of new information, future events or other such factors which affect this information, except as required by law.

A preliminary prospectus dated April 9, 2009 containing important information relating to these securities has been filed with securities commissions or similar authorities in all of the provinces and territories of Canada. The preliminary prospectus is still subject to completion or amendment. Copies of the preliminary prospectus may be obtained from Lovena Doodahnand, Resource Centre, CIBC World Markets, Direct 416-594-7266. There will not be any sale or any acceptance of an offer to buy the securities until a receipt for the final prospectus has been issued.



Sentry Select Capital Inc.
The Exchange Tower
130 King Street West
Suite 2850, P.O. Box 104
Toronto, Ontario M5X 1A4
Telephone: (416) 861-8729
Fax: (416) 364-5615

Contact Information