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Russell Canadian Equity Pool
Class A Units

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Summary of the Investment Portfolio


Goal
To provide current income and long-term capital appreciation by investing principally in Canadian equities.

Target Allocation
(Actual manager allocation may vary)

Style   Weight   Manager
         
Market Oriented   22%   Aurion Capital Management Inc.
Market Oriented   22%   Greystone Managed Investments
Growth   28%   Picton Mahoney Asset Mgmt.
Value   28%   Foyston, Gordon & Payne Inc.
         


Investment Performance

30-Jun-08   3 mths   YTD   1 yr.   3 yrs.   5 yrs.   10 yrs.   Incep.*
                             
Class A   7.16   1.26   -0.18   12.94   15.03   8.06   11.13


Total Number of Holdings: 158
as of March 31, 2008


Total Pool Assets: $1,194.4 million
as of June 30, 2008

Summary of the Investment Portfolio

Top 25 Holdings   % of Pool
as at March 31, 2008    
Percentage of net assets (1,131,694,133) of the Pool    
Bank of Nova Scotia   4.6
Manulife Financial Corporation   4.4
Encana Corporation   4.1
Toronto Dominion Bank   3.9
Royal Bank of Canada   3.9
Suncor Energy Inc.   3.5
Research In Motion Ltd.   3.5
Sun Life Financial Inc.   3.4
Petro Canada   2.6
Potash Corp.   2.4
Canadian Natural Resources Ltd.   2.4
Husky Energy Inc.   2.3
Talisman Energy Inc.   2.1
Canadian National Railway Co.   2
Teck Cominco Ltd.   1.9
Nexen Inc.   1.8
Agrium Inc.   1.7
Rogers Communications Inc.   1.7
Canadian Tire Ltd.   1.6
Magna International Inc.   1.5
Imperial Oil Ltd.   1.5
Telus Corp.   1.4
Shoppers Drug Mart Corp.   1.4
TransCanada Corp.   1.4
Groupe CGI Inc.   1.2

Note: The statement of investment portfolio may change due to ongoing portfolio transactions of the Pool. This list will be updated within 60 days of each quarter end.


Sector Weights  
as at March 31, 2008    
Financials   26.7
Energy   25.4
Materials   16.7
Industrials   7.8
Consumer Discretionary   7.3
Telecommunications Services   6
Information Technology   4.4
Consumer Staples   4.3
Utilities   0.7
Health Care   0.7






Each Pool in the Russell Sovereign Investment Program (other than Sovereign Diversified Monthly Income Portfolio) offers Class A, B, E, F and O units. The Sovereign Diversified Monthly Income Portfolio has E-5 and E-7 units. The returns of each class of units may differ as a result of varying fees and expenses. Class A and B units have the same management fee. Your adviser is paid a trailer fee as compensation for providing services to you. Class F units are sold only to investors enrolled in a fee-for-service or wrap program and these units have a reduced management fee and do not pay trailer fees to the adviser. Instead each investor negotiates a separate, ongoing fee that is paid directly to their adviser and is based on the market value of the investors' assets. Class O units are only available from Russell Investments Canada Limited and are generally not sold to the public. They are intended to be used in fund of fund arrangements and other wrap programs sponsored by us. They are also available to large institutional investors or other accounts as we may determine from time to time on a case-by-case basis. No management fees are charged to the Pools with respect to the Class O units. Instead, each Class O investor negotiates a separate fee that is paid directly by the investor. Class E units targets large investors and as such, have a higher minimum investment and a lower trailer and management fee. For more information about our Pools please see Legal Information.

Date of first publish: July 7, 2008.

*Inception: January 1993

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Related INFORMATION
Management Report of Fund Performance
Also in FRENCH (1Mb)


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