FUND PRICES


Select a Fund Family or Asset Class from the drop down box or enter the Fund Code to display the previous day's prices.

 
Mutual Funds GIF and Segregated Funds
Cundill Funds
As of March 10, 2010
 
Fund Name CDN $
Price
Daily Change US $
Price
Daily Change
CDN $ CDN % US $ US %
Mackenzie Cundill American Class Series A 9.5903 0.0478 0.5010 --   -- --
Mackenzie Cundill American Class Series T6 11.7379 0.0585 0.5009 --   -- --
Mackenzie Cundill American Class Series T8 11.0276 0.0549 0.5004 --   -- --
Mackenzie Cundill Canadian Balanced Fund Series C 7.5601 0.0342 0.4545 --   -- --
Mackenzie Cundill Canadian Balanced Fund Series T6 12.2777 0.0556 0.4550 --   -- --
Mackenzie Cundill Canadian Balanced Fund Series T8 9.8262 0.0444 0.4540 --   -- --
Mackenzie Cundill Canadian Security Class Series A 12.6182 0.1017 0.8126 --   -- --
Mackenzie Cundill Canadian Security Class Series T6 14.2237 0.1147 0.8130 --   -- --
Mackenzie Cundill Canadian Security Class Series T8 13.5854 0.1095 0.8126 --   -- --
Mackenzie Cundill Canadian Security Fund Series A 30.3854 0.2416 0.8015 --   -- --
Mackenzie Cundill Canadian Security Fund Series B 36.1154 0.2869 0.8008 --   -- --
Mackenzie Cundill Canadian Security Fund Series C 9.0110 0.0716 0.8010 --   -- --
Mackenzie Cundill Canadian Security Fund Series T6 11.9019 0.0946 0.8012 --   -- --
Mackenzie Cundill Canadian Security Fund Series T8 9.8849 0.0786 0.8016 --   -- --
Mackenzie Cundill Emerging Markets Value Class Series A 6.0184 0.0212 0.3535 5.8670 0.0226 0.3867
Mackenzie Cundill Global Balanced Fund Series C 6.0088 0.0168 0.2804 5.8577 0.0184 0.3152
Mackenzie Cundill Global Balanced Fund Series T6 10.4514 0.0292 0.2802 10.1885 0.0319 0.3141
Mackenzie Cundill Global Balanced Fund Series T8 8.4745 0.0237 0.2805 8.2614 0.0260 0.3160
Mackenzie Cundill Global Dividend Fund Series A 7.6285 0.0280 0.3690 7.4366 0.0298 0.4024
Mackenzie Cundill Global Dividend Fund Series T5 2.4239 0.0089 0.3686 2.3629 0.0094 0.3995
Mackenzie Cundill Global Dividend Fund Series T6 8.9269 0.0328 0.3688 --   -- --
Mackenzie Cundill Global Dividend Fund Series T8 8.5249 0.0314 0.3697 --   -- --
Mackenzie Cundill International Class Series A 8.2907 0.0260 0.3150 8.0822 0.0281 0.3489
Mackenzie Cundill International Class Series T6 12.0446 0.0379 0.3157 --   -- --
Mackenzie Cundill International Class Series T8 11.6315 0.0366 0.3157 --   -- --
Mackenzie Cundill Recovery Fund Series C 11.2931 0.0406 0.3609 11.0091 0.0433 0.3949
Mackenzie Cundill Value Class Series A 14.7706 0.0730 0.4970 --   -- --
Mackenzie Cundill Value Class Series T6 11.7325 0.0579 0.4960 --   -- --
Mackenzie Cundill Value Class Series T8 11.1723 0.0552 0.4966 --   -- --
Mackenzie Cundill Value Fund Series A 21.0957 0.1010 0.4820 --   -- --
Mackenzie Cundill Value Fund Series B 23.1728 0.1107 0.4801 --   -- --
Mackenzie Cundill Value Fund Series C 8.6812 0.0415 0.4804 8.4629 0.0434 0.5155
Mackenzie Cundill Value Fund Series T6 10.3805 0.0496 0.4802 10.1194 0.0518 0.5146
Mackenzie Cundill Value Fund Series T8 9.3377 0.0446 0.4800 9.1029 0.0466 0.5146
 
A significant drop in the daily price of a fund near month-end may be a result of the fund issuing a distribution to unitholders. Click on the "Distributions" link on the left-navigation menu to view a fund's most recent distribution payment details.