IG Mackenzie Low Volatility Canadian Equity Class Summary of Investment Portfolio As at the Quarter ended December 31, 2020 (unaudited)

As at and for the period ended December 31, 2020, substantially all the net assets of the Fund were invested in IG Mackenzie Low Volatility Canadian Equity Fund Series P (the Underlying Fund). As a result, the largest positions of the Underlying Fund (up to 25) at the end of the period, and the major asset classes in which the Underlying Fund was invested, are indicated below in addition to direct positions, if any. This summary of investment portfolio may change due to ongoing portfolio transactions.

The Management Report of Fund Performance, Prospectus, Financial Statements and other information for the Underlying Fund are available upon request, and at no cost, by calling 1-888-746-6344 (1-800-661-4578 if you live in Quebec) or by writing to us at 447 Portage Avenue, Winnipeg, Manitoba, R3B 3H5 (2001, boulevard Robert-Bourassa, bureau 2000, Montreal, Quebec, H3A 2A6 if you live in Quebec), or by visiting our website at www.investorsgroup.com or SEDAR at www.sedar.com.

Summary of Top 25 Long Positions Summary of Composition of the Portfolio

% of net assets % of net assets The Toronto-Dominion Bank 5.6 PORTFOLIO ALLOCATION Canadian National Railway Co. 4.9 Equities 98.3 BCE Inc. 4.8 Exchange Traded Funds 0.9 Inc. 4.7 Cash and cash equivalents 0.4 Franco-Nevada Corp. 3.8 Other net assets (liabilities) 0.4 CGI Inc. 3.8 Total 100.0 Metro Inc. 3.3 Alimentation Couche-Tard Inc. Class B Sub. voting 3.0 EQUITIES The Bank of Nova Scotia 2.8 COUNTRY ALLOCATION Inc. 2.7 Canada 98.1 ¹Great-West Lifeco Inc. 2.7 Other 0.2 Corp. 2.5 98.3 Hydro One Inc. 2.5 TC Energy Corp. 2.5 2.4 SECTOR ALLOCATION Intact Financial Corp. 2.2 Financials 30.9 Inc. 2.2 Consumer Staples 11.2 2.1 Industrials 10.6 2.0 Materials 10.5 Inc. 1.9 Information Technology 9.7 ¹Power Corp. of Canada Sub. voting 1.8 Communication Services 7.5 Canadian Imperial Bank of Commerce 1.8 Utilities 6.4 Corp. 1.7 Energy 6.2 Brookfield Asset Management Inc. Class A limited voting 1.6 Consumer Discretionary 2.9 Ltd. 1.5 Other 2.4 70.8 98.3 ¹ The issuer of this security is related to the Manager of the Fund.

Summary of Top 25 Short Positions

% of net assets n/a –

Total Net Asset Value ($000) 7,386

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