MARKET VALUE PERFORMANCE 1.4 1.1 4.7 1.3 11.5 20.0 0.4 1.4 0.4 1.7 0.6 2.4 13.8 11.1 9.0 1.1 3.6 11.5 1.7 3.9 14.8 4.6 11.5 2.4 6.9 1.6 8.2 9.3 - 34.3 3.3 2.7 4.9 4.9 4.3 4.1 2.4 3.5 2.1 2.0 0.8 1.5 1.2 1.3 1.2 2.5 2.1 2.5 1.2 2.5 1.3 3.4 2.0 3.4 1.6 3.1 1.8 1.5 1.3 1.3 2.0 2.0 1.6 2.5 1.3 0.9 1.6 1.6 1.9 1.7 1.5 2.0 1.2 5.5 1.7 4.1 9 0 18 19 0 193 80 100 78 0 10,725 131 8,037 828 299 40 1,174 79 80 733 14,065 464 63 235 2,370 15 32,815 119 547 271 1,032 6,800 54 116 1,430 630 2,355 1,340 533 29,384 219 295 501 28 184 88 97.3 19.7 130.9 15.1 23.2 0.8 5.9 11.1 4.5 24.6 20.7 89.7 21.8 5.2 -7.0 30.2 -2.3 33.8 69.6 2.0 14.1 -1.0 6.5 2.4 12.5 16.3 1.5 8.7 4.0 14.9 58.0 2.6 31.8 8.9 4.4 18.0 11.8 - -0.01 0.0 -0.03 40.0 -0.02 -100.0 -0.62 -40.9 -0.18 -157.1 0.12 1000.0 0.06 0.66 -11.6 0.25 -7.4 0 2.48 -2.0 0.62 47.6 62.7 87.4 1.17 5.4 -0.03 97.4 0.47 0.3 -30.0 -0.79 -3588.5 -0.13 0.0 1.92 40.7 3.69 21.4 1.03 -22.0 0.24 -35.1 0.68 -16.1 0.54 -45.1 0.07 4.8 -15.9 0.09 -92.0 0.66 120.0 0.42 -22.2 1.95 -1.5 2.04 35.7 0.57 0.79 -12.2 3.22 -1.8 3.91 34.8 1.27 -3.1 1.22 8.9 -0.62 1.75 -31.1 0.55 150.0 0 -70.0 0.4 -15.9 0.45 7.2 -0.74 0.04 - -32.3 -179.6 26.5 10.0 13.7 25.2 4.2 15.6 31.7 6.5 11.7 16.9 20.8 -4.5 -8.6 23.7 3.1 39.7 9.4 33.4 27.8 13.6 4.0 14.2 6.0 41.0 36.5 22.3 4.3 16.7 28.2 11.5 7.3 27.2 26.5 3.3 3.1 53.1 7.3 40.7 33.3 13.0 -37.8 -7.1 -192.5 19.8 14.1 14.2 2.7 8.3 14.6 6.9 -32.2 12.4 30.6 -125.0 7.3 2.3 32.2 14.4 23.4 20.9 13.7 1.7 6.9 3.8 7.8 48.0 17.7 7.5 15.8 20.6 8.7 5.1 11.3 -6.0 1.1 10.0 -17.0 5.1 27.2 -14.8 6.3 -4.5 -2.0 -55.6 -96.6 8.4 2.1 10.8 8.3 14.7 14.5 31.7 15.1 -18.3 10.6 -32.8 -15.2 9.1 14.0 8.4 11.6 21.9 3.6 9.7 12.7 3.4 9.1 7.3 25.5 7.6 30.7 22.8 10.9 19.8 10.9 -2.8 6.0 8.2 -8.5 8.0 39.4 -5.7 4.4 Return On Assets (%) Return On Common Equity (%) Profit Margin (%) Operating Margin (%) EPS 1-Yr Change (%) 1-Yr Change (%) 23.9 14.4 6.4 11.4 5.6 0.7 5.6 0.4 338.7 0.8 0.7 0.5 1.5 2.8 8.0 6.8 1.5 2.1 0.2 18.1 2.3 4.3 9.0 4.1 0.2 2.5 0.3 1.3 3.0 4.1 1.2 1.4 1.3 0.7 0.4 1.9 3.0 0.3 0.7 3.2 0.8 3.9 3.8 4.2 Recent Fiscal Yr ($mil) 49.4 29.8 23.6 23.0 14.9 7.7 3.1 7.7 9.4 17.0 55.8 12.3 13.8 12.8 91.7 21.3 18.0 49.1 25.8 13.3 45.0 5.7 17.9 8.7 17.7 152.5 9.2 40.9 8.8 6.2 14.9 22.7 11.3 115.7 14.8 12.7 13.3 - Price/Book Market Cap ($mil) December 31, 2008 238 240 399 128 454 3,533 839 544 600 93 4,086 2,134 105 7,175 488 705 171 14,827 1,768 279 1,918 3,205 9,714 177 1,151 27,980 102 7,738 518 284 359 4,327 39,001 101 216 1,855 823 967 2,484 3,017 9,588 159 1,056 482 122 723 591 Price/Sales 0.26 2.90 2.02 2.26 5.88 9.65 8.75 22.74 13.82 1.08 37.00 21.28 5.66 390.00 10.44 7.81 14.51 22.50 8.59 1.20 36.99 48.74 62.77 11.92 14.05 38.39 3.10 59.95 12.61 8.68 10.37 20.10 44.71 13.05 8.89 38.89 34.50 10.94 22.20 24.09 34.97 6.34 15.74 7.41 6.85 11.60 3.99 Dividend Yield (%)‡ Share Price ($) December 31, 2008 5-Yr Annualized (%) Industry Metals & Mining 2450.0 Oil, Gas & Consumable Fuels 320.3 49.3 Oil, Gas & Consumable Fuels 165.8 12.9 Pharmaceuticals 119.4 -24.4 Metals & Mining 72.4 Metals & Mining 65.5 18.9 Metals & Mining 58.2 27.2 Health Care Technology 56.2 16.9 Oil, Gas & Consumable Fuels 55.3 Metals & Mining 50.0 -0.2 Food & Staples Retailing 43.1 12.7 Metals & Mining 42.4 Consumer Finance 38.9 Insurance 38.3 12.8 Energy Equipment & Services 28.6 6.1 Oil, Gas & Consumable Fuels 25.0 7.7 Communications Equipment 24.6 Metals & Mining 23.5 17.0 Metals & Mining 21.2 29.7 Metals & Mining 18.8 1.6 Internet Software & Services 17.9 8.4 Food & Staples Retailing 15.8 14.4 Metals & Mining 15.6 32.3 Pharmaceuticals 15.2 19.0 Energy Equipment & Services 14.3 18.5 Metals & Mining 14.2 15.2 Electronic Equip., Instruments & Components 14.0 33.9 Food & Staples Retailing 13.9 -8.6 Oil, Gas & Consumable Fuels 12.6 9.5 Chemicals 11.8 -2.5 Oil, Gas & Consumable Fuels 11.5 3.6 Oil, Gas & Consumable Fuels 9.9 18.0 Metals & Mining 8.3 9.8 Capital Markets 8.1 Energy Equipment & Services 8.0 31.6 Insurance 7.7 15.6 Commercial Banks 7.3 8.4 Trading Companies & Distributors 7.3 -5.6 Electric Utilities 6.0 9.3 Oil, Gas & Consumable Fuels 5.9 26.1 Food & Staples Retailing 5.7 -10.6 Machinery 5.7 4.0 Real Estate Investment Trusts 5.2 7.5 Containers & Packaging 4.5 -4.8 Software 4.1 45.1 Independent Power Producers & Energy3.9 Traders 8.0 Metals & Mining 3.1 15.1 Price/Earnings GLW ■ HAT ■ QEC DDS FSY ELD AGI SXC SEO ER MRU.A FNV CSF FFH EFX.UN DAY.UN RCM K RBI SMF OTC EMP.A AEM PLB PSI G PUR ■ WN CLT CHE.UN ENF.UN AET.UN ABX LW PHX.UN NB LB SPF.UN EMA CPG.UN L BUI CAR.UN WPK CMG NPI.UN ARZ 1-Yr (%) Company Name Gold Wheaton Gold Corp. Hathor Exploration Ltd. Questerre Energy Corp. Labopharm Inc. Forsys Metals Corp. Eldorado Gold Corp. Alamos Gold Inc. SXC Health Solutions Corp. Storm Exploration Inc. Eastmain Resources Inc. Metro Inc. Franco-Nevada Corp. The Cash Store Financial Services Inc. Fairfax Financial Holdings Ltd. Enerflex Systems Income Fund Daylight Resources Trust RuggedCom Inc. Kinross Gold Corp. Red Back Mining Inc. SEMAFO Inc. Open Text Corp. Empire Co. Ltd. Agnico-Eagle Mines Ltd. Paladin Labs Inc. Pason Systems Inc. GoldCorp Inc. Pure Technologies Ltd. George Weston Ltd. Celtic Exploration Ltd. Chemtrade Logistics Income Fund Enbridge Income Fund ARC Energy Trust Barrick Gold Corp. Loring Ward International Ltd. Phoenix Technology Income Fund Northbridge Financial Corp. Laurentian Bank of Canada Superior Plus Income Fund Emera Inc. Crescent Point Energy Trust Loblaw Cos Ltd. Buhler Industries Inc. Canadian Apartment Properties REIT Winpak Ltd. Computer Modelling Group Ltd. Northland Power Income Fund Aurizon Mines Ltd. Ticker Rank 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40 41 42 43 44 45 46 47 (■TSX Venture) REVENUE Recent Fiscal Yr ($) RETURN -3.6 -1.6 -32.1 -96.2 6.3 1.7 9.0 4.8 6.7 12.5 4.0 9.1 -9.5 7.6 -26.4 -9.3 3.8 5.8 6.6 9.8 19.2 2.5 9.3 2.7 1.9 3.8 1.1 14.1 5.2 22.2 5.4 0.5 7.8 3.7 -1.6 2.4 4.6 -2.3 5.8 23.8 -3.8 2.3 MARKET VALUE PERFORMANCE 2.1 4.8 1.0 2.4 1.3 1.3 1.3 2.0 0.5 1.3 1.8 4.8 0.8 2.5 0.8 1.3 1.0 2.3 4.1 2.3 1.5 2.0 1.1 0.7 0.7 1.0 33.7 3.1 4.6 1.0 1.0 2.6 7.5 1.9 1.3 1.2 1.0 1.6 0.7 1.4 1.7 1.4 1.7 1.4 0.6 1.9 3.0 1.5 3.6 1.5 0.5 257 261 14 11,919 16 905 190 7,897 8,667 0 1,479 339 1,948 0 663 317 728 505 3,105 199 103 351 59 69 3,316 838 0 8,478 4 298 149 0 0 2,405 463 626 181 379 0 1,578 193 2,718 2,172 55 3,276 210 1,064 24,362 4 516 39 134.3 15.3 5.7 12.0 -21.1 9.4 -0.4 -8.4 8.1 20.8 2.4 7.9 -7.6 123.6 48.1 11.9 69.4 0.1 77.9 73.6 -0.3 109.3 8.9 13.7 -1.1 -4.7 5.8 17.0 -12.7 1.7 85.9 11.0 77.1 -14.8 28.0 58.1 4.9 9.4 46.3 1.32 1.62 0.99 1.77 1.12 1.99 0.46 3.38 0.26 1.26 1.52 0.78 3.23 -0.02 -0.12 0.22 0.21 1.08 1.06 0.76 0.3 -0.55 0.11 2.34 -2.64 -0.02 -0.16 2.27 -0.19 0.72 -0.37 -0.07 -0.56 2.74 0.5 0.63 0.3 1.91 2.03 1.55 1.3 1.28 1.27 -0.14 -1.25 0.18 1.31 5.52 -0.15 1.16 -0.18 127.6 4.0 2.3 -7.8 -33.2 43.8 0.3 -38.5 7.4 65.0 34.0 4.9 50.0 89.1 -85.0 -50.0 42.1 33.5 -16.7 175.0 56.0 -6.7 16.4 -35.1 -250.0 9.7 8.7 6.4 -66.7 18.6 107.1 -26.5 19.3 -5.2 8.6 -40.0 -89.4 5.9 42.8 23.4 -39.0 40.0 11.4 15.7 65.5 9.6 39.6 34.6 56.8 36.4 1.3 7.6 35.3 8.0 -6.0 17.6 10.6 31.4 29.1 20.3 -9.3 8.3 59.0 -4.9 2.4 9.3 24.2 8.9 27.1 13.5 12.6 24.2 24.3 7.9 19.9 11.7 -27.0 -7.1 7.2 7.5 27.6 -216.7 25.5 -18.9 6.0 4.6 65.5 5.9 42.5 23.2 33.3 27.3 -0.2 1.0 24.1 4.8 -3.5 -15.7 -6.2 28.2 21.6 19.6 -9.4 5.4 53.6 -1.0 0.0 5.8 23.6 -11.3 17.5 10.3 8.3 21.7 15.8 5.4 7.3 7.1 -24.0 -11.0 5.9 17.5 -193.9 25.7 -16.1 12.0 13.4 10.8 14.5 18.1 15.0 12.6 21.6 -0.7 13.8 2.5 18.9 10.1 -3.8 -5.8 -11.0 -2.4 16.2 31.6 6.5 -12.6 3.2 15.2 -1.6 -0.3 -56.4 17.0 8.9 -12.2 -105.9 16.0 18.4 4.7 18.3 12.1 21.2 20.6 10.0 16.6 -16.6 -17.8 10.9 24.8 20.7 -41.9 25.1 -4.8 Return On Assets (%) Return On Common Equity (%) Profit Margin (%) Operating Margin (%) EPS 1-Yr Change (%) 1-Yr Change (%) 1.0 1.5 5.4 0.9 3.0 1.9 3.4 2.6 0.1 0.5 6.3 0.4 0.5 1.5 2.2 3.2 3.0 1.9 3.7 1.2 1.7 3.3 0.4 0.1 1.2 38.2 2.2 2.4 8.0 1.9 0.7 0.7 1.9 2.0 1.2 0.5 1.0 0.7 1.6 0.4 1.0 0.6 1.2 22.7 1.4 1.4 Recent Fiscal Yr ($mil) 12.9 16.5 8.8 19.3 5.3 6.2 9.8 12.9 6.3 9.2 7.9 26.2 6.4 142.0 5.1 17.3 13.7 20.4 14.9 16.7 84.2 6.9 6.1 19.1 9.0 63.4 46.0 13.6 7.6 34.3 15.0 9.1 10.8 8.3 8.5 15.7 10.4 17.6 10.9 5.8 5.7 - Price/Book Market Cap ($mil) December 31, 2008 360 546 128 14,722 129 1,832 679 20,957 1,295 101 1,102 2,752 935 222 386 551 2,247 2,036 9,238 247 671 570 202 207 1,361 122 163 10,432 283 893 1,294 145 319 5,062 333 597 509 738 2,990 2,024 90 4,156 1,584 115 1,084 215 818 42,711 101 1,423 87 Price/Sales 6.0 0.7 10.1 3.7 11.0 16.0 7.8 2.1 10.5 10.1 1.7 2.2 20.8 1.0 10.2 3.7 4.0 23.8 0.8 1.8 12.8 1.8 4.5 3.3 12.0 9.2 11.0 12.3 2.6 5.4 4.2 9.4 7.6 3.4 14.7 - Price/Earnings 25.20 25.75 9.25 39.56 9.10 11.54 11.50 44.78 5.65 12.07 17.81 26.26 28.00 1.42 5.00 5.78 7.60 15.24 21.61 7.45 11.20 5.05 5.44 13.00 31.80 8.38 6.42 48.05 1.20 8.95 11.41 2.76 3.50 40.50 3.80 13.75 5.85 16.79 23.55 13.22 11.10 24.59 13.15 1.15 7.60 3.16 16.90 56.96 1.90 14.65 1.90 Dividend Yield (%)‡ Industry Construction & Engineering 2.9 Software 2.8 Thrifts & Mortgage Finance 2.6 6.6 Oil, Gas & Consumable Fuels 2.1 11.6 Thrifts & Mortgage Finance 1.7 13.6 Pharmaceuticals -0.4 -11.2 Real Estate Investment Trusts -2.2 13.5 Road & Rail -2.3 12.0 Electronic Equip., Instruments & Components -2.4 -22.0 Hotels Restaurants & Leisure -2.4 10.9 Oil, Gas & Consumable Fuels -2.6 16.4 Commercial Services & Supplies -3.0 Household Durables -3.1 -4.1 Metals & Mining -3.4 12.4 Machinery -3.7 -15.9 Oil, Gas & Consumable Fuels -5.0 Metals & Mining -5.0 -2.6 Oil, Gas & Consumable Fuels -5.0 11.6 Media -5.3 18.8 Real Estate Management & Development -5.3 19.2 Oil, Gas & Consumable Fuels -5.3 Oil, Gas & Consumable Fuels -6.0 -1.4 Oil, Gas & Consumable Fuels -6.2 Capital Markets -6.9 Paper & Forest Products -7.0 -2.2 Food & Staples Retailing -7.2 Biotechnology -7.6 30.6 Food & Staples Retailing -8.3 11.0 Metals & Mining -8.4 40.3 Oil, Gas & Consumable Fuels -8.8 3.0 Oil, Gas & Consumable Fuels -9.0 Metals & Mining -9.5 28.1 Biotechnology -10.0 -0.3 Multi-Utilities -10.1 10.4 Food Products -10.2 11.6 Media -10.7 15.4 Oil, Gas & Consumable Fuels -10.7 11.6 Diversified Financial Services -10.8 8.1 Diversified Telecommunication Services -10.9 Energy Equipment & Services -11.6 6.7 IT Services -11.9 1.5 Electric Utilities -12.0 14.4 Gas Utilities -12.6 -3.3 Metals & Mining -12.9 -28.8 Paper & Forest Products -12.9 -3.2 Communications Equipment -13.0 1.9 Food & Staples Retailing -13.0 23.0 Oil, Gas & Consumable Fuels -13.5 18.9 Biotechnology -13.6 -15.5 Oil, Gas & Consumable Fuels -13.7 19.3 Oil, Gas & Consumable Fuels -14.0 - Share Price ($) December 31, 2008 5-Yr Annualized (%) Company Name Genivar Income Fund GNV.UN Constellation Software Inc./Canada CSU Firm Capital Mortgage Investment Fund FC.UN Enbridge Inc. ENB MCAN Mortgage Corp. MKP Biovail Corp. BVF Morguard Real Estate Investment Trust MRT.UN Canadian National Railway Co CNR Celestica Inc. CLS A&W Revenue Royalties Income Fund AW.UN Keyera Facilities Income Fund KEY.UN Ritchie Bros Auctioneers Inc. RBA Dorel Industries Inc. DII.B Rubicon Minerals Corp. RMX ATS Automation Tooling Systems Inc. ATA Trilogy Energy Trust TET.UN IAMGOLD Corp. IMG Pembina Pipeline Income Fund PIF.UN Shaw Communications Inc. SJR.B Wall Financial Corp. WFC ProEx Energy Ltd. PXE Paramount Energy Trust PMT.UN Vero Energy Inc. VRO Clairvest Group Inc. CVG West Fraser Timber Co. Ltd. WFT Colabor Income Fund CLB.UN Burcon NutraScience Corp. BU ■ Shoppers Drug Mart Corp. SC San Gold Corp. SGR ■ Progress Energy Trust PGX.UN TriStar Oil & Gas Ltd. TOG Queenston Mining Inc. QMI Bioms Medical Corp. MS Canadian Utilities Ltd. CU Rogers Sugar Income Fund RSI.UN Cineplex Galaxy Income Fund CGX.UN Fairborne Energy Ltd. FEL Davis & Henderson Income Fund DHF.UN Bell Aliant Regional Communications Income BA.UN Fund Ensign Energy Services Inc. ESI Calian Technologies Ltd. CTY Fortis Inc. FTS GAZ Metro LP GZM.UN Wesdome Gold Mines Ltd. WDO Canfor Corp. CFP COM DEV International Ltd. CDV North West Co. Fund NWF.UN EnCana Corp. ECA Helix Biopharma Corp. HBP Baytex Energy Trust BTE.UN Orleans Energy Ltd. OEX 1-Yr (%) Ticker Rank 48 49 50 51 52 53 54 55 56 57 58 59 60 61 62 63 64 65 66 67 68 69 70 71 72 73 74 75 76 77 78 79 80 81 82 83 84 85 86 87 88 89 90 91 92 93 94 95 96 97 98 (■TSX Venture) REVENUE Recent Fiscal Yr ($) RETURN 5.5 4.9 5.8 3.7 3.2 9.8 4.6 9.1 -0.3 13.6 1.1 12.4 5.3 -3.3 -3.7 -5.0 -1.9 7.8 8.1 4.8 -3.3 1.7 10.7 -0.9 -0.1 -54.4 9.3 5.1 -11.8 -88.3 5.4 8.2 2.3 12.9 12.0 14.1 13.3 2.5 4.8 -12.9 -8.8 6.7 13.0 9.7 -38.8 10.7 -3.2 MARKET VALUE PERFORMANCE 14.2 4.3 9.0 12.9 19.6 10.9 12.4 6.7 7.2 2.7 13.1 7.8 1.2 2.9 2.4 20.3 3.9 13.9 23.9 2.6 6.0 11.9 17.1 7.7 28.6 14.1 8.3 9.5 4.6 13.9 1.0 0.1 12.6 2.1 9.1 5.1 1.3 1.2 1.5 1.6 1.0 1.3 1.1 1.4 1.3 0.6 1.6 1.3 1.6 1.5 1.7 4.5 2.5 2.2 5.5 0.8 2.1 1.5 2.0 1.3 3.2 1.4 1.4 2.1 1.5 0.4 1.0 2.7 2.0 0.6 0.9 1.6 1.9 1.2 1.0 5.1 1.8 0.8 17.5 0.4 1.2 0.9 3.8 0.8 2.3 1.7 63 579 923 8,828 71 121 163 182 0 873 166 40 123 391 1,906 10,123 145 156 6,731 180 1,903 3,706 348 4,440 329 331 401 293 1,145 0 124 0 118 146 66 1,119 1 313 2,559 237 84 15,722 2,266 0 128 206 339 842 185 610 9,074 13.5 65.4 5.5 17.4 60.3 28.6 136.8 43.7 15.1 79.7 -1.9 1.8 9.1 -1.1 14.5 5.0 -12.1 30.7 -3.4 7.8 2.0 6.2 0.8 17.3 7.9 13.5 8.6 13.3 -9.3 19.6 4.8 27.5 11.6 -61.4 8.3 -4.9 3.9 6.7 27.2 6.0 6.5 24.1 2.1 0.7 20.2 16.0 4.5 0.49 318.2 1.07 -29.1 1.74 40.3 2.08 6.1 0.11 57.1 0.51 27.5 -0.48 -36.4 0.68 -29.1 -0.1 0.42 -42.5 0.42 180.0 0.48 0.0 1.32 -50.8 0.4 -35.5 2.88 15.7 1.56 67.7 0.83 -23.2 0.68 -31.3 0.38 -54.8 -0.08 1.68 9.1 0.89 20.3 1.49 -17.7 3.71 -24.6 -1.35 -2420.0 0.68 -32.7 3.39 31.4 1.4 33.3 0.65 0.0 0.57 11.8 -0.66 -45.2 0 1.67 9.2 0.96 4.4 -0.03 0.52 -69.1 -0.14 -100.0 1.06 -7.0 1.73 -34.0 0.79 21.5 2.03 -7.3 0.94 -7.1 24.54 -76.5 -0.03 25.0 0.58 35.0 1.75 2.3 0.42 -4.6 1.7 30.8 0.1 -52.4 2.27 2.3 3.37 14.2 12.3 20.5 4.8 30.1 10.5 15.2 -37.7 60.3 3.1 25.0 45.3 24.8 65.6 18.4 19.6 22.2 48.4 2.6 0.1 9.5 11.6 8.6 15.1 30.1 24.5 9.0 65.9 20.2 -10.1 19.3 36.7 -3.0 12.0 -318.7 37.7 7.0 9.2 47.0 2.0 13.3 43.1 10.5 7.4 8.8 6.5 36.6 22.0 38.0 6.0 5.7 13.9 5.6 9.8 -66.6 16.1 -18.0 3.1 17.8 -70.3 20.0 7.8 8.9 6.3 17.1 0.5 2.3 1.0 6.4 7.9 8.3 11.5 -48.7 17.0 5.8 9.3 -7.0 -23.3 14.2 -0.8 -34.9 -10.6 -969.2 32.0 4.4 4.8 36.1 1.2 9.3 34.7 11.1 3.6 5.8 10.0 26.9 13.9 25.6 3.6 30.0 14.0 2.8 10.7 -19.0 6.4 9.0 13.2 -13.0 15.0 3.3 11.7 14.4 32.0 0.2 16.7 0.9 20.0 15.3 40.9 15.4 -107.7 11.8 17.5 4.4 -7.1 1.9 -1.2 29.6 -0.4 -11.6 -9.3 -9.1 18.9 12.5 11.5 62.2 15.8 8.5 -14.5 22.8 16.2 11.0 30.5 7.2 28.2 18.0 Return On Assets (%) Return On Common Equity (%) Profit Margin (%) Operating Margin (%) EPS 1-Yr Change (%) 1-Yr Change (%) 2.3 1.8 0.3 2.2 1.5 1.2 3.2 3.2 0.1 2.5 4.7 1.7 3.9 1.2 2.1 1.2 4.1 0.8 0.6 0.7 0.8 0.4 0.9 1.2 1.5 0.5 4.4 1.2 1.7 1.3 2.5 1.0 0.8 316.2 2.8 0.4 0.4 2.5 0.1 0.7 0.6 0.8 0.3 0.6 1.2 2.0 1.3 Recent Fiscal Yr ($mil) 6.5 6.3 6.8 14.1 5.9 8.8 55.2 29.3 9.1 4.0 8.9 21.9 7.5 44.1 12.1 16.0 7.0 12.4 19.2 7.6 12.0 10.8 3.7 10.0 6.4 7.8 18.5 8.3 24.7 8.1 4.9 10.3 18.5 171.3 13.0 5.4 6.9 5.5 10.8 14.8 1.8 8.7 4.7 8.9 28.9 7.1 10.9 Price/Book Market Cap ($mil) December 31, 2008 189 955 298 20,291 210 156 809 734 133 215 411 271 321 1,706 2,326 23,671 209 770 5,982 130 1,497 2,640 134 3,790 478 774 217 1,377 1,570 104 239 249 178 518 148 1,039 303 1,151 1,166 116 298 2,769 1,809 464 105 295 123 477 262 1,769 11,488 Price/Sales 3.56 17.72 12.10 33.17 5.10 6.80 6.75 16.02 10.49 5.09 5.90 9.20 17.44 18.97 35.98 36.59 6.40 15.94 39.69 7.00 22.99 9.60 7.69 31.61 7.85 8.05 32.56 22.57 7.05 3.21 5.51 1.42 16.45 10.49 1.86 12.76 6.85 12.85 19.00 7.25 17.27 14.44 450.00 5.25 1.40 17.19 3.27 17.51 3.89 25.19 37.17 Dividend Yield (%)‡ Share Price ($) December 31, 2008 5-Yr Annualized (%) Industry Software -14.4 -0.5 Independent Power Producers & Energy -14.4 Traders -5.3 Specialty Retail -14.5 18.4 Oil, Gas & Consumable Fuels -14.9 7.5 Oil, Gas & Consumable Fuels -15.0 Communications Equipment -15.0 Metals & Mining -15.2 1.4 Real Estate Investment Trusts -15.4 8.6 Thrifts & Mortgage Finance -15.5 Oil, Gas & Consumable Fuels -15.6 4.0 Biotechnology -15.6 -13.8 Independent Power Producers & Energy -15.7 Traders 2.7 Oil, Gas & Consumable Fuels -15.9 13.4 Real Estate Management & Development -16.2 9.8 Diversified Telecommunication Services -16.6 1.4 Wireless Telecommunication Services-16.6 29.1 Energy Equipment & Services -16.6 38.1 Independent Power Producers & Energy -16.6 Traders 5.2 Construction & Engineering -16.7 19.6 Electronic Equip., Instruments & Components -16.7 -13.5 Machinery -17.0 8.6 IT Services -17.2 3.5 Building Products -17.3 Insurance -17.4 Independent Power Producers & Energy -17.4 Traders Oil, Gas & Consumable Fuels -18.1 8.7 Food Products -18.1 9.3 Real Estate Investment Trusts -18.1 13.5 Oil, Gas & Consumable Fuels -18.5 6.9 Chemicals -18.5 Media -18.7 -11.8 Metals & Mining -18.9 -0.4 Construction & Engineering -19.1 31.2 Oil, Gas & Consumable Fuels -19.1 4.0 Oil, Gas & Consumable Fuels -19.1 15.9 Energy Equipment & Services -19.4 5.8 Oil, Gas & Consumable Fuels -19.4 Health Care Providers & Services -19.4 22.4 Trading Companies & Distributors -19.5 23.6 Beverages -20.0 3.5 Oil, Gas & Consumable Fuels -20.1 12.7 Food & Staples Retailing -20.2 4.3 Insurance -20.3 Metals & Mining -20.7 25.7 Oil, Gas & Consumable Fuels -20.9 -2.4 Machinery -21.2 Aerospace & Defense -21.2 6.8 Specialty Retail -21.4 7.4 Communications Equipment -21.4 -4.0 Oil, Gas & Consumable Fuels -21.4 19.1 Diversified Telecommunication Services -21.5 10.5 Price/Earnings DSG EP.UN IDG TRP WAV VCM GAM CUF.UN FN.UN AVF.UN CNJ IEF.UN ZAR.UN FCR MBT RCI.B CET.UN GLH.UN SNC DSA TIH GIB.A VIC.UN IIC ATP.UN NAE.UN LAS.A REF.UN IPL.UN CUS.UN IMX LSG BAD.UN FRU.UN WTL MTL.UN VNX CLC.UN RUS ADW.A BNE ATD.B ELF TNX PBC ARF.UN RNO GBT.A EXF VET.UN T 1-Yr (%) Company Name The Descartes Systems Group Inc. EPCOR Power LP Indigo Books & Music Inc. TransCanada Corp. Breaker Energy Ltd. Vecima Networks Inc. Gammon Gold Inc. Cominar Real Estate Investment Trust First National Financial Income Fund Avenir Diversified Income Trust Cangene Corp. Innergex Power Income Fund Zargon Energy Trust First Capital Realty Inc. Manitoba Telecom Services Inc. Rogers Communications Inc. Cathedral Energy Services Income Trust Great Lakes Hydro Income Fund SNC-Lavalin Group Inc. Dalsa Corp. Toromont Industries Ltd. CGI Group Inc. Vicwest Income Fund ING Canada Inc. Atlantic Power Corp. NAL Oil & Gas Trust Lassonde Industries Inc. Canadian Real Estate Investment Trust Inter Pipeline Fund Canexus Income Fund Imax Corp. Lake Shore Gold Corp. Badger Income Fund Freehold Royalty Trust West Energy Ltd. Mullen Group Income Fund Verenex Energy Inc. CML Healthcare Income Fund Russel Metals Inc. Andrew Peller Ltd. Bonterra Oil & Gas Ltd. Alimentation Couche Tard Inc. E-L Financial Corp. Ltd. Tanzanian Royalty Exploration Corp. Pebercan Inc. Armtec Infrastructure Income Fund Vector Aerospace Corp. BMTC Group Inc. Exfo Electro Optical Engineering Inc. Vermilion Energy Trust TELUS Corp. Ticker Rank 99 100 101 102 103 104 105 106 107 108 109 110 111 112 113 114 115 116 117 118 119 120 121 122 123 124 125 126 127 128 129 130 131 132 133 134 135 136 137 138 139 140 141 142 143 144 145 146 147 148 149 (■TSX Venture) REVENUE Recent Fiscal Yr ($) RETURN 22.7 1.7 12.9 4.4 1.9 8.8 -13.8 2.6 4.9 11.0 -6.4 7.6 0.9 6.0 4.3 19.4 0.1 2.4 0.7 9.2 8.2 20.0 4.9 -12.9 6.1 9.2 1.4 -2.8 1.8 -12.4 -1.0 16.6 -0.2 -9.1 -6.3 -7.6 12.0 7.9 4.6 21.8 6.0 1.7 -14.1 16.9 9.5 4.7 17.2 6.4 10.5 7.5 MARKET VALUE PERFORMANCE 16.21 30.15 1.52 51.09 21.10 13.60 6.86 7.76 22.17 8.30 11.07 40.99 24.30 4.45 6.00 9.60 35.45 7.00 22.93 36.10 9.45 7.22 7.55 8.30 3.75 17.48 5.30 34.51 10.07 7.28 5.85 9.00 30.87 3.89 0.99 17.20 9.40 9.50 2.21 9.19 12.00 38.00 7.40 8.42 1.61 8.48 47.25 5.05 23.96 17.00 33.31 9.1 6.8 20.5 11.5 2.5 1.9 1.4 1.0 4.4 2.2 4.0 22.1 5.8 3.6 2.0 5.5 1.5 13.8 14.6 14.1 9.6 1.8 1.4 15.5 12.7 21.4 3.1 6.5 12.6 13.7 2.5 18.7 13.1 0.5 12.5 21.2 5.9 406 1,370 388 19,455 350 329 912 212 4,585 1,973 1,510 35,592 4,802 7,799 138 713 9,303 94 452 50,468 6,825 968 219 393 110 389 377 1,675 1,266 111 172 637 26,219 293 118 1,229 466 2,252 201 90 1,390 2,199 98 89 91 380 1,201 568 3,961 1,978 33,041 16.7 21.1 4.7 13.9 19.4 15.4 29.9 9.5 15.4 7.1 14.6 7.3 11.2 6.9 10.2 11.3 18.4 9.8 17.5 75.5 4.6 11.3 16.6 15.5 4.4 8.9 5.0 10.5 6.2 64.8 13.5 8.2 9.7 10.1 13.6 4.8 8.0 9.0 82.2 4.8 18.0 26.6 4.8 5.3 10.9 3.3 1.3 1.5 0.3 3.4 1.1 0.9 0.3 1.1 1.6 0.3 0.7 3.4 3.3 0.2 0.4 1.3 4.5 1.4 0.9 0.2 0.8 0.9 1.8 1.6 1.3 0.8 0.3 0.9 1.1 1.0 0.7 2.7 0.3 0.2 0.4 0.3 0.7 1.1 0.6 0.7 2.6 2.0 1.9 1.2 1.3 3.0 0.8 1.7 1.7 2.4 7.6 0.9 2.6 1.4 1.3 3.9 2.1 3.1 1.2 1.4 2.2 0.7 1.3 1.7 0.9 1.2 4.9 3.3 0.8 1.8 0.6 1.3 0.9 0.9 1.3 1.9 1.8 1.6 3.1 1.3 2.1 1.0 1.8 2.5 1.0 1.3 1.4 0.7 2.0 2.5 1.8 1.1 0.9 1.5 1.8 105 831 0 3,714 1,192 78 0 144 5,059 1,676 5,210 25,069 2,775 18,546 169 157 2,807 275 1,168 19,951 802 584 181 452 136 436 117 1,077 1,009 108 486 637 15,518 0 90 1,422 167 3,876 737 175 4,785 2,902 81 148 0 0 1,513 101 1,254 756 11,876 24.2 17.4 -69.2 -1.2 35.7 43.7 26.4 -87.4 -2.2 2.3 3.6 17.6 316.7 -0.7 11.6 5.2 4.0 -1.7 341.5 4.5 13.6 -33.1 13.1 59.4 14.7 -29.8 3.7 6.7 7.8 22.5 20.6 4.4 7.5 145.3 13.1 10.9 5.1 1.4 9.7 8.8 13.4 30.6 -3.5 2.8 -4.9 1.02 18.6 1.5 14.5 -0.09 -28.6 -6.75 4.38 2.3 0.8 49.4 -1.05 -75.0 0.42 -4.6 1.36 20.6 -0.94 0.48 33.3 3.24 11.7 1.31 12.9 0.26 92.3 0.39 -53.6 0.88 -5.3 3.23 11.4 0.62 63.2 2.07 -3.3 3.21 -20.5 0.4 0.66 20.0 -0.68 -681.5 -5.27 -1788.5 0.94 -47.8 1.46 6.6 0.02 -93.3 2.24 42.7 2.63 -40.1 0.29 -56.7 1.17 -0.9 0.81 14.5 3.17 12.4 -0.19 0.06 20.0 2.01 3.1 0.49 -52.0 0.74 270.0 0.07 1.29 39.5 1.6 -2.4 3.78 16.3 0.05 -79.2 2 40.9 -0.06 -0.32 3.32 7.4 -0.2 -900.0 2.88 -31.6 2.4 -13.0 3.05 -20.8 66.0 11.6 -33.6 6.4 36.1 58.7 8.8 9.3 3.8 16.1 19.5 4.8 24.6 35.8 42.7 4.4 6.1 16.7 42.2 40.9 30.9 8.6 20.5 12.0 7.7 20.2 35.6 10.5 8.1 11.7 26.5 16.4 8.5 29.2 4.8 4.7 10.5 6.5 25.2 0.4 18.3 8.6 -9.7 34.0 39.5 14.8 7.3 8.3 -16.3 6.0 20.6 7.4 5.7 -15.0 4.0 12.7 11.1 1.8 5.3 37.2 30.4 2.7 3.5 12.7 21.1 14.8 -10.4 -31.0 22.8 7.8 7.8 12.4 34.3 3.6 5.4 9.2 20.7 7.9 7.7 11.0 2.7 -0.2 7.6 3.9 8.6 0.7 14.5 5.5 -14.1 27.1 28.9 11.8 2.8 16.2 -5.8 -19.5 36.4 17.2 5.4 18.3 -14.4 19.2 41.6 13.1 11.1 8.2 11.2 22.0 9.2 13.7 17.6 4.1 11.0 -36.7 22.7 17.2 3.0 10.8 27.3 3.4 19.7 19.2 30.2 -8.2 29.5 19.5 6.6 11.0 -2.1 66.3 15.1 16.7 0.7 19.4 13.7 -4.9 12.6 19.9 16.9 Return On Assets (%) Return On Common Equity (%) Profit Margin (%) Operating Margin (%) EPS 1-Yr Change (%) 1-Yr Change (%) Recent Fiscal Yr ($mil) Price/Book Price/Sales Price/Earnings Market Cap ($mil) December 31, 2008 Dividend Yield (%)‡ Industry Real Estate Investment Trusts -22.0 8.4 Professional Services -22.5 22.2 Metals & Mining -22.8 -20.9 Commercial Banks -23.2 -0.5 Machinery -23.4 34.1 Oil, Gas & Consumable Fuels -23.7 Oil, Gas & Consumable Fuels -23.8 18.0 Real Estate Investment Trusts -23.8 Food Products -24.2 8.7 Food & Staples Retailing -24.3 -11.3 Food Products -24.3 2.3 Oil, Gas & Consumable Fuels -24.4 17.5 Independent Power Producers & Energy -24.6 Traders 10.2 Aerospace & Defense -24.6 -3.2 Road & Rail -24.7 2.9 Transportation Infrastructure -24.8 17.0 Capital Markets -25.4 6.5 Food Products -25.6 -5.7 Distributors -25.7 2.5 Commercial Banks -25.8 6.7 Metals & Mining -25.9 25.3 Oil, Gas & Consumable Fuels -26.1 1.7 Health Care Providers & Services -26.2 Machinery -26.3 Energy Equipment & Services -26.3 1.5 Trading Companies & Distributors -26.5 -0.6 Oil, Gas & Consumable Fuels -26.7 6.9 Media -27.0 16.2 Energy Equipment & Services -27.2 -4.9 Health Care Providers & Services -27.2 Road & Rail -27.3 0.5 Specialty Retail -27.8 8.0 Oil, Gas & Consumable Fuels -27.9 25.2 Metals & Mining -28.1 3.3 Diversified Telecommunication Services -28.3 31.7 Oil, Gas & Consumable Fuels -28.4 9.7 Diversified Consumer Services -28.6 1.4 Food Products -28.7 12.9 Life Sciences Tools & Services -29.2 -28.3 Specialty Retail -29.3 43.6 Specialty Retail -29.6 -5.1 Multi-Utilities -29.7 12.0 Commercial Services & Supplies -29.8 Airlines -29.9 Oil, Gas & Consumable Fuels -30.0 Metals & Mining -30.3 Food Products -30.3 13.5 Oil, Gas & Consumable Fuels -30.9 80.2 Oil, Gas & Consumable Fuels -31.3 0.6 Oil, Gas & Consumable Fuels -31.6 8.2 Commercial Banks -31.7 3.7 Share Price ($) December 31, 2008 5-Yr Annualized (%) Company Name Northern Property Real Estate Investment Trust NPR.UN Stantec Inc. STN Gabriel Resources Ltd. GBU Canadian Imperial Bank of Commerce CM Wajax Income Fund WJX.UN World Point Terminals Inc. WPO SouthGobi Energy Resources Ltd. SGQ ■ Crombie Real Estate Investment Trust CRR.UN Saputo Inc. SAP The Jean Coutu Group PJC Inc. PJC.A Maple Leaf Foods Inc. MFI Imperial Oil Ltd. IMO TransAlta Corp. TA Bombardier Inc. BBD.B Tri-White Corp. TWH Westshore Terminals Income Fund WTE.UN IGM Financial Inc. IGM High Liner Foods Inc. HLF Uni-Select Inc. UNS Royal Bank of Canada RY Yamana Gold Inc. YRI Fort Chicago Energy Partners LP FCE.UN Medical Facilities Corp. DR.UN New Flyer Industries Inc. NFI.UN Total Energy Services Trust TOT.UN Richelieu Hardware Ltd. RCH Crew Energy Inc. CR Cogeco Cable Inc. CCA Precision Drilling Trust PD.UN Futuremed Healthcare Income Fund FMD.UN Contrans Income Fund CSS.UN Leon's Furniture Ltd. LNF Husky Energy Inc. HSE Corriente Resources Inc. CTQ Peer 1 Network Enterprises Inc. PIX AltaGas Income Trust ALA.UN The Consumers' Waterheater Income FundCWI.UN Viterra Inc. VT Patheon Inc. PTI PET Valu Canada Inc. PVC RONA Inc. RON Atco Ltd. ACO.X DirectCash Income Fund DCI.UN Canadian Helicopters Income Fund CHL.UN Waratah Coal Inc. WCI ■ Detour Gold Corp. DGC Canada Bread Co. Ltd. CBY Birchcliff Energy Ltd. BIR Enerplus Resources Fund ERF.UN Bonavista Energy Trust BNP.UN Bank of Nova Scotia BNS 1-Yr (%) Ticker Rank 150 151 152 153 154 155 156 157 158 159 160 161 162 163 164 165 166 167 168 169 170 171 172 173 174 175 176 177 178 179 180 181 182 183 184 185 186 187 188 189 190 191 192 193 194 195 196 197 198 199 200 (■TSX Venture) REVENUE Recent Fiscal Yr ($) RETURN 1.1 9.6 -5.5 -0.6 14.9 11.5 -697.7 1.1 11.0 -11.7 6.6 19.7 4.2 1.5 2.3 9.9 11.6 2.9 6.9 0.7 2.6 3.1 -5.6 -25.9 14.0 13.5 1.9 4.7 19.6 2.3 9.9 12.8 16.2 -8.0 12.3 9.4 1.8 5.6 -0.4 13.3 8.1 3.2 0.4 10.4 8.7 -2.8 8.0 10.1 0.7 MARKET VALUE PERFORMANCE 0.5 2.6 0.6 1.6 1.4 1.7 5.0 1.5 1.2 0.9 0.4 1.1 0.9 1.9 2.0 4.1 1.1 1.4 0.7 1.1 1.0 1.2 1.7 1.0 1.5 1.2 1.1 2.7 1.2 1.0 0.7 0.6 10.7 2.6 4.2 0.7 0.9 1.3 0.8 0.7 0.6 0.6 2.3 2.0 1.4 1.0 0.8 1.6 440 58 0 11,152 6,326 679 0 6,542 7,815 137 188 1,144 164 163 333 40 147 17,866 2,429 4,708 107 14,669 131 1,109 1,058 243 3,637 0 526 326 42 102 5 72 5,621 61 1,423 186 2,572 4,070 0 2,008 0 1,424 28,671 53 196 25,923 28.2 16.9 7.3 10.2 24.7 3.1 -27.0 27.4 11.1 13.0 6.3 -4.9 3.0 11.4 1.2 4.4 2.7 63.9 2.7 60.3 14.4 1.5 21.3 6.3 50.8 -11.3 -76.4 18.3 39.0 2806.6 43.6 50.7 14.6 194.7 22.0 13.8 2.6 -4.0 23.1 1.7 0.03 0.91 0.86 4.22 2.28 0.8 -0.86 2.46 0.93 0.17 0.93 2.38 0.29 1.11 1.78 0.02 0.65 2.17 1.73 4.32 0.25 5.13 1.87 3.76 1.5 0.12 4.61 0.08 -0.1 1.09 1.42 0.27 -1.36 -0.7 3.58 0.34 0.97 0.82 -0.22 1.09 1.13 1.64 -0.09 0.65 2.62 0.4 -0.51 2.17 -94.9 -3.7 -1.2 44.5 -3.6 -37.6 50.9 -29.0 50.1 24.6 -44.2 8.8 -4.3 2.4 20.6 15.3 9.4 -51.5 -12.2 10.0 30.6 4.9 -51.1 40.1 700.0 19.8 -53.5 -100.0 9.1 92.1 -5.6 -34.9 43.4 -18.1 -13.1 -43.6 -28.6 27.5 17.0 0.0 21.5 15.6 4.4 39.2 36.4 6.2 67.4 30.6 28.0 -0.5 18.9 11.5 17.9 27.2 65.8 58.9 9.0 21.1 9.7 24.7 60.5 16.1 18.8 19.8 14.1 56.9 14.3 0.1 7.7 30.5 32.5 -1512.9 -26.1 29.3 65.4 17.0 24.2 10.3 6.4 25.1 17.7 14.0 10.0 -9.9 10.9 -1.7 17.1 23.4 4.9 4.8 16.6 26.6 -86.0 15.3 12.9 16.1 19.4 62.7 9.1 8.2 22.7 0.3 20.1 5.4 14.9 9.5 2.3 10.9 -12.6 12.9 -0.7 7.8 2.4 -34.9 -1752.1 -14.4 21.1 45.1 25.3 20.7 1.2 -0.6 8.7 10.7 7.1 11.3 -14.6 8.1 -0.6 29.4 5.5 21.7 1.9 -303.8 21.2 27.2 -42.1 10.6 21.6 7.9 15.0 41.0 13.9 6.0 30.0 0.7 18.4 2.3 14.6 9.6 6.2 24.7 -5.1 16.6 113.7 19.0 -9.2 -126.1 -51.1 25.1 20.0 12.4 19.3 1.9 -1.0 10.5 3.6 -8.4 17.2 18.3 5.3 -15.2 20.7 Return On Assets (%) Return On Common Equity (%) Profit Margin (%) Operating Margin (%) EPS 1-Yr Change (%) 1-Yr Change (%) 1.1 1.1 1.8 0.3 4.1 1.4 1.2 2.7 0.5 0.7 1.7 2.6 3.0 2.6 1.2 1.1 0.3 1.3 2.7 1.3 1.4 0.4 0.8 2.5 0.8 0.4 0.3 1.1 1.7 154.6 1.8 2.5 7.5 1.5 1.2 0.4 0.3 1.2 1.4 0.4 2.2 1.0 0.5 Recent Fiscal Yr ($mil) 8.0 7.5 5.0 6.7 6.3 17.5 5.0 5.4 3.4 9.7 10.2 13.5 5.8 96.2 20.2 10.3 5.8 10.0 35.2 8.4 12.8 9.1 7.5 104.9 6.8 96.9 6.4 3.8 9.9 7.7 8.7 8.4 5.6 6.2 11.4 8.9 12.9 8.9 Price/Book Market Cap ($mil) December 31, 2008 103 518 726 88 133 26,368 1,925 126 3,011 96 11,152 12,409 218 93 810 684 431 1,049 117 357 20,260 784 6,303 388 36,766 255 417 801 666 4,997 122 204 136 89 188 356 200 27,017 150 2,381 419 1,376 1,631 117 5,216 603 2,065 16,852 115 188 19,536 Price/Sales 18.8 10.8 15.3 0.8 10.1 0.9 1.6 18.9 2.2 3.6 18.2 7.4 10.8 5.8 3.2 2.4 10.6 5.6 10.4 1.3 6.2 11.4 7.9 14.7 15.5 22.0 0.5 21.8 20.2 34.3 18.4 30.1 1.5 5.9 2.2 5.9 Price/Earnings 0.90 7.16 5.12 8.15 6.10 48.75 17.89 1.62 13.66 1.79 21.45 12.18 2.92 3.17 25.00 8.63 15.36 9.90 2.50 8.77 25.13 9.95 40.98 12.45 43.45 19.67 24.90 11.65 10.70 31.30 1.65 7.75 7.98 6.99 3.18 5.59 6.25 89.54 1.60 9.35 12.92 5.35 10.50 7.51 13.57 3.64 8.10 23.90 4.50 2.21 20.70 Dividend Yield (%)‡ Industry Food Products -31.8 Capital Markets -31.9 Oil, Gas & Consumable Fuels -32.2 -9.9 Hotels Restaurants & Leisure -32.3 16.6 Hotels Restaurants & Leisure -32.4 Oil, Gas & Consumable Fuels -32.4 25.2 Multiline Retail -32.5 18.3 Metals & Mining -32.5 Real Estate Investment Trusts -32.7 4.3 Metals & Mining -32.7 Oil, Gas & Consumable Fuels -32.8 13.4 Oil, Gas & Consumable Fuels -32.9 9.3 Biotechnology -33.3 -34.6 Paper & Forest Products -33.8 Containers & Packaging -34.0 7.6 Oil, Gas & Consumable Fuels -34.1 1.7 Beverages -34.2 3.3 Oil, Gas & Consumable Fuels -34.3 1.5 Real Estate Management & Development -34.4 Professional Services -34.6 Diversified Telecommunication Services -35.0 1.3 Commercial Services & Supplies -35.0 -15.0 Road & Rail -35.0 3.8 Real Estate Investment Trusts -35.1 6.9 Commercial Banks -35.2 3.1 Machinery -35.7 Media -36.3 10.3 Specialty Retail -36.5 16.2 Real Estate Investment Trusts -36.5 5.9 Commercial Banks -36.6 -2.5 Metals & Mining -36.8 29.1 Machinery -36.8 Food Products -36.8 6.0 Commercial Services & Supplies -36.9 Independent Power Producers & Energy -37.2 Traders -12.3 Pharmaceuticals -37.3 3.9 Auto Components -37.3 3.6 Chemicals -37.4 37.6 Communications Equipment -37.5 -17.1 Oil, Gas & Consumable Fuels -37.6 Personal Products -37.7 Oil, Gas & Consumable Fuels -37.8 -2.8 Oil, Gas & Consumable Fuels -38.1 9.7 Hotels Restaurants & Leisure -38.2 0.0 Oil, Gas & Consumable Fuels -38.2 5.9 Metals & Mining -38.3 79.9 Aerospace & Defense -38.5 7.7 Insurance -38.7 2.4 Software -38.9 -10.6 Metals & Mining -39.3 -26.4 Insurance -39.4 1.3 Share Price ($) December 31, 2008 5-Yr Annualized (%) Company Name China One Corp. IND ■ Uranium Participation Corp. U Advantage Energy Income Fund AVN.UN Gamehost Income Fund GH.UN Pizza Pizza Royalty Income Fund PZA.UN Canadian Natural Resources Ltd. CNQ Sears Canada Inc. SCC Premier Gold Mines Ltd. PG RioCan Real Estate Investment Trust REI.UN Norsemont Mining Inc. NOM Nexen Inc. NXY Talisman Energy Inc. TLM QLT Inc. QLT Supremex Income Fund SXP.UN CCL Industries CCL.B NuVista Energy Ltd. NVA Corby Distilleries Ltd. CDL.A Peyto Energy Trust PEY.UN PlazaCorp Retail Properties Ltd. PLZ ■ Morneau Sobeco Income Fund MSI.UN BCE Inc. BCE Transcontinental Inc. TCL.A Canadian Pacific Railway Ltd. CP Allied Properties Real Estate Investment Trust AP.UN Toronto-Dominion Bank TD AG Growth Income Fund AFN.UN Cogeco Inc. CGO Reitmans Canada Ltd. RET.A Primaris Retail Real Estate Investment Trust PMZ.UN National Bank of Canada NA PDX Resources Inc. PLG GLV Inc. GLV.A Premium Brands Income Fund PBI.UN Black Diamond Income Fund BDI.UN Boralex Power Income Fund BPT.UN Cardiome Pharma Corp. COM Westport Innovations Inc. WPT Potash Corp. of Saskatchewan POT Wi-Lan Inc. WIN Pengrowth Energy Trust PGF.UN Atrium Innovations Inc. ATB Provident Energy Trust PVE.UN Harvest Energy Trust HTE.UN Boston Pizza Royalties Income Fund BPF.UN Penn West Energy Trust PWT.UN Osisko Mining Corp. OSK CAE Inc. CAE Power Financial Corp. PWF Enghouse Systems Ltd. ESL North American Palladium Ltd. PDL Great-West Lifeco Inc. GWO 1-Yr (%) Ticker Rank 201 202 203 204 205 206 207 208 209 210 211 212 213 214 215 216 217 218 219 220 221 222 223 224 225 226 227 228 229 230 231 232 233 234 235 236 237 238 239 240 241 242 243 244 245 246 247 248 249 250 251 (■TSX Venture) REVENUE Recent Fiscal Yr ($) RETURN -0.3 10.7 5.4 7.5 0.7 -196.6 6.2 9.7 -18.5 7.1 9.8 4.1 13.0 17.9 1.4 3.6 10.5 0.3 7.6 0.9 0.8 6.5 0.9 18.8 -2.0 0.6 102.5 11.1 -6.6 -100.7 -14.9 13.9 18.0 7.3 7.5 0.7 -0.5 10.3 2.1 -8.0 7.3 1.7 3.8 -10.1 1.0 MARKET VALUE PERFORMANCE 25.56 13.45 21.01 21.10 13.97 6.00 43.45 1.57 4.79 3.24 3.69 18.50 6.63 31.25 8.74 8.00 13.12 7.34 22.42 2.93 41.47 4.60 23.55 6.35 5.70 8.18 23.31 14.50 6.44 0.03 20.00 19.63 1.75 18.55 7.45 12.01 6.13 5.85 6.69 5.29 19.45 15.76 7.36 21.05 5.40 28.44 24.40 3.09 7.60 4.47 20.80 7.0 14.2 4.3 6.7 1.9 21.9 2.3 9.0 14.2 8.0 5.2 0.3 19.4 4.4 4.2 20.8 4.2 3.3 4.7 7.3 1.0 3.4 9.4 13.1 14.4 17.5 18.9 14.7 1.1 13.7 5.1 2.0 12.5 5.0 1,373 132 1,697 10,161 1,118 193 3,547 338 239 581 149 199 158 16,895 986 266 1,677 140 10,232 174 6,535 209 111 116 96 223 1,873 4,367 355 91 281 1,266 112 10,693 209 136 362 477 3,423 113 1,220 589 238 7,698 533 15,918 1,367 163 103 152 33,485 37.0 17.0 15.8 5.6 10.3 6.5 9.3 12.1 265.1 8.7 7.7 8.3 6.2 9.2 9.6 14.7 8.2 10.0 3.9 17.0 17.5 7.0 21.9 6.7 7.9 7.3 4.9 11.0 13.5 11.6 4.9 7.0 13.6 6.8 4.0 1,945.0 14.5 13.5 9.2 34.3 9.1 9.0 3.4 1.9 3.6 2.1 1.5 0.2 0.4 41.5 1.6 6.8 2.1 0.9 1.3 0.8 0.5 0.8 0.7 4.1 0.3 1.1 0.6 4.8 0.7 0.9 0.6 0.7 0.4 2.5 0.2 0.3 0.2 1.7 0.7 0.5 0.5 0.2 2.1 0.5 1.7 3.0 0.7 1.0 1.6 50.5 0.1 1.5 1.0 26.0 2.0 1.9 2.5 1.2 0.5 1.1 1.4 0.6 0.8 0.6 0.9 1.2 1.0 2.3 1.5 3.0 1.1 1.0 1.3 2.2 3.0 0.6 0.6 0.8 1.1 3.0 0.4 3.1 1.0 1.2 1.5 1.3 1.0 2.9 0.6 0.8 2.5 6.9 0.7 2.3 0.7 1.1 1.0 1.3 0.4 0.9 1.3 375 68 323 3,633 787 900 8,621 0 123 93 35 237 112 10,205 1,739 287 2,127 31 29,408 94 5,660 31 117 143 166 321 4,971 1,655 2,186 754 9,383 64 10,034 336 180 0 1,804 1,624 232 0 0 99 2,310 644 21,188 865 3 720 89 34,550 17.4 49.5 17.9 35.0 2.4 4.8 4.3 36.6 64.8 608.9 11.4 5.2 9.2 13.5 15.2 21.5 38.8 3.4 24.9 25.7 26.9 -18.1 11.5 0.3 0.7 25.1 6.2 42.2 -4.4 25.3 35.5 10.6 18.4 4.1 17.3 -18.2 85.5 26.1 84.7 -12.8 35.1 -13.9 30.4 25.7 3.8 0.56 80.7 1.39 63.5 1.1 45.7 0.82 -55.0 1.36 9.2 0.68 -50.0 4.89 16.7 -0.32 -190.9 0.62 119.6 0.16 275.0 -0.4 -11.1 1.84 -13.2 0.49 -35.5 3.75 -13.0 1.31 50.7 0.66 164.0 1.37 57.5 0.45 50.0 2.87 28.1 0.23 -51.2 3.37 278.3 0.21 1.8 1.1 -38.2 0.29 1350.0 0.38 -62.0 2.99 13.3 2.08 92.6 -1.14 2.42 46.7 1.37 -28.7 0.13 -51.5 1.33 -34.7 1.39 32.4 1.86 41.0 -0.42 4.9 1.04 0.95 11.8 1.57 -35.9 -0.38 -35.7 -0.15 -0.17 81.9 1.68 124.0 -0.6 -142.7 3.98 11.2 2.63 12.4 0.05 -16.7 1.07 -32.0 -0.18 -0.5 2.82 12.4 62.8 18.4 29.4 35.5 29.2 4.4 8.1 18.9 26.6 61.9 9.1 12.5 9.9 8.3 8.8 15.8 40.6 14.3 39.5 13.6 35.4 18.7 18.7 15.8 10.2 6.3 37.9 0.9 6.4 8.3 13.7 31.0 16.0 14.7 8.7 39.9 16.0 68.0 29.2 27.9 15.1 30.8 -5.5 3.4 60.4 19.4 -15.8 11.4 29.5 20.5 16.5 3.0 4.8 4.4 26.9 -26.6 8.3 8.5 10.0 8.8 6.8 9.1 30.0 5.0 14.6 8.4 25.1 5.0 14.5 2.9 -4.8 5.0 37.8 -0.9 4.4 -10.3 12.7 8.4 10.0 8.9 3.9 32.5 23.9 6.2 18.0 -10.5 10.8 20.5 92.1 2.0 -6.1 12.5 -25.7 14.9 16.0 18.3 13.3 8.0 14.2 1.7 5.8 -6.2 9.6 8.3 12.6 90.1 17.7 22.0 26.6 16.7 11.4 20.4 7.4 11.5 2.9 -4.8 15.3 41.7 -2.0 72.8 -111.0 9.5 12.3 28.0 15.5 -18.6 9.1 45.6 -7.7 2.4 15.2 -9.3 14.1 14.7 3.2 7.5 -3.6 17.6 Return On Assets (%) Return On Common Equity (%) Profit Margin (%) Operating Margin (%) EPS 1-Yr Change (%) 1-Yr Change (%) Recent Fiscal Yr ($mil) Price/Book Price/Sales Price/Earnings Market Cap ($mil) December 31, 2008 Dividend Yield (%)‡ Company Name Industry Boardwalk Real Estate Investment Trust BEI.UN Real Estate Investment Trusts -39.5 12.9 Logibec Groupe Informatique Ltd. LGI Health Care Technology -39.6 19.6 PAN American Silver Corp. PAA Metals & Mining -40.0 2.6 Canadian Oil Sands Trust COS.UN Oil, Gas & Consumable Fuels -40.0 24.2 Corus Entertainment Inc. CJR.B Media -40.2 1.8 Samuel Manu-Tech Inc. SMT Metals & Mining -40.4 -0.3 Canadian Tire Corp. Ltd. CTC.A Multiline Retail -40.6 3.1 Great Basin Gold Ltd. GBG Metals & Mining -40.8 -14.3 Macquarie Power & Infrastructure Income Fund MPT.UN Independent Power Producers & Energy -40.8 Traders European Goldfields Ltd. EGU Metals & Mining -40.9 5.3 InStorage Real Estate Investment Trust IS.UN Real Estate Investment Trusts -40.9 Arbor Memorial Services ABO.B Diversified Consumer Services -41.0 Miranda Technologies Inc. MT Electronic Equip., Instruments & Components -41.2 Bank of Montreal BMO Commercial Banks -41.3 -6.7 Energy Savings Income Fund SIF.UN Multi-Utilities -41.3 -2.0 Marsulex Inc. MLX Commercial Services & Supplies -41.6 11.2 Westjet Airlines Ltd. WJA Airlines -41.7 -7.1 MTY Food Group Inc. MTY ■ Hotels Restaurants & Leisure -41.9 69.1 Power Corp. of Canada POW Insurance -42.0 1.0 Transglobe Energy Corp. TGL Oil, Gas & Consumable Fuels -42.0 -1.6 Agrium Inc. AGU Chemicals -42.0 14.6 5N Plus Inc. VNP Electronic Equip., Instruments & Components -42.2 Keystone North America Inc. KNA.UN Diversified Consumer Services -42.4 Akita Drilling Ltd. AKT.A Energy Equipment & Services -42.6 -10.5 Clublink Corp. LNK Hotels Restaurants & Leisure -42.8 -2.9 Livingston International Income Fund LIV.UN Air Freight & Logistics -43.6 -4.8 Industrial Alliance Insurance and Financial IAG Services Inc. Insurance -43.6 3.3 CI Financial Income Fund CIX.UN Capital Markets -44.1 6.5 Kingsway Financial Services Inc. KFS Insurance -44.2 -13.8 MP Western Properties Inc. MPW.H ■ Real Estate Management & Development -44.4 -66.9 Bird Construction Income Fund BDT.UN Construction & Engineering -44.6 Quebecor Inc. QBR.B Media -44.6 -3.1 Axia NetMedia Corp. AXX Software -45.0 27.4 Brookfield Asset Management Inc. BAM.A Real Estate Management & Development -45.1 12.0 Le Chateau Inc. CTU.A Specialty Retail -45.1 24.4 IBI Income Fund IBG.UN Professional Services -45.2 Minefinders Corp. MFL Metals & Mining -45.4 -10.4 Extendicare Real Estate Investment Trust EXE.UN Real Estate Investment Trusts -45.4 -0.4 Yellow Pages Income Fund YLO.UN Media -45.5 -2.7 Foremost Income Fund FMO.UN Machinery -45.8 19.6 Silver Standard Resources Inc. SSO Metals & Mining -46.1 6.1 Seabridge Gold Inc. SEA Metals & Mining -46.2 24.3 Artis Real Estate Investment Trust AX.UN Real Estate Investment Trusts -46.3 Cameco Corp. CCO Oil, Gas & Consumable Fuels -46.3 11.7 Chartwell Seniors Housing Real Estate Investment CSH.UNTrust Real Estate Investment Trusts -46.9 -8.3 Sun Life Financial Inc. SLF Insurance -46.9 0.2 Astral Media Inc. ACM.A Media -46.9 -1.9 Comaplex Minerals Corp. CMF Oil, Gas & Consumable Fuels -46.9 -6.2 Vitran Corp. Inc. VTN Road & Rail -47.0 -16.1 Killam Properties Inc. KMP Real Estate Management & Development -47.1 -5.9 Manulife Financial Corp. MFC Insurance -47.1 2.1 Share Price ($) December 31, 2008 5-Yr Annualized (%) 1-Yr (%) Ticker Rank 252 253 254 255 256 257 258 259 260 261 262 263 264 265 266 267 268 269 270 271 272 273 274 275 276 277 278 279 280 281 282 283 284 285 286 287 288 289 290 291 292 293 294 295 296 297 298 299 300 301 302 (■TSX Venture) REVENUE Recent Fiscal Yr ($) RETURN -2.9 7.2 12.3 10.8 6.5 4.8 6.7 1.0 4.2 -2.9 1.8 7.1 0.5 28.7 4.8 6.8 20.4 1.2 8.0 9.7 1.6 9.3 0.9 -2.0 1.1 19.4 -0.4 12.4 -7.7 7.1 1.5 17.3 7.3 -9.8 5.1 5.8 29.1 -7.0 0.7 7.9 -2.9 1.2 8.3 3.1 3.6 -0.8 1.2 MARKET VALUE PERFORMANCE FSV SCL.A HPX MDA OCX CPQ ■ WGI MX PCA CWT.UN DGI.UN TFI FTT JAZ.UN BPO SVY MSD POU LIF.UN X NIF.UN CFW VGQ EH MGO ARE LIQ.UN HCG SW CAM NKO SLW OZN TS.B FR PAR ET PTM MG.A GVC WTN MRC KHD TRE TDG BPP GCT PKI.UN AIF.UN SU CKI 15.99 18.41 5.25 21.80 18.19 1.83 1.96 13.70 26.72 11.35 4.29 4.15 14.25 3.24 9.30 8.00 8.50 6.87 21.32 25.19 4.15 8.70 4.00 9.50 5.70 11.00 10.45 19.80 7.07 6.65 42.49 8.00 0.57 8.37 2.17 5.82 13.75 1.86 36.75 2.15 0.71 17.83 2.98 9.87 4.47 24.00 0.50 6.40 7.50 23.72 3.27 1.4 0.6 5.6 3.0 13.6 27.0 9.6 3.1 31.0 7.4 1.3 11.8 9.4 6.0 24.6 1.1 3.6 1.8 15.5 2.6 2.4 0.3 8.8 2.3 2.4 3.4 13.4 2.5 19.7 15.8 0.8 2.5 468 1,273 351 880 2,223 104 268 1,272 12,946 1,061 101 360 2,429 398 3,637 474 87 465 682 1,899 156 329 110 100 249 560 193 683 219 312 2,091 2,012 204 660 160 247 994 126 4,138 201 149 248 428 1,807 430 680 150 359 117 22,180 86 16.8 11.4 5.4 9.6 11.3 10.7 3.2 3.3 32.2 4.4 4.7 9.1 2.9 14.9 10.5 141.7 31.2 4.0 9.4 4.8 23.5 9.7 8.8 10.4 7.2 6.6 4.5 6.7 4,249.0 17.2 6.3 18.2 10.4 5.4 5.4 71.0 4.4 74.5 6.8 7.3 12.4 4.2 7.0 16.0 7.1 - 0.2 1.1 0.8 0.8 0.1 3.1 0.4 0.5 2.5 0.3 0.2 0.4 0.2 1.0 1.1 1.6 1.6 5.0 3.7 0.2 0.7 0.6 1.3 0.3 0.4 1.6 0.3 0.4 32.3 7.9 0.4 3.1 1.7 3.5 0.1 0.8 0.2 0.7 5.7 1.6 0.6 1.9 0.6 0.1 0.6 0.8 0.3 1.5 2.0 0.5 2.0 1.3 5.1 3.0 0.8 0.8 0.7 0.5 0.7 1.5 0.4 1.0 0.5 0.8 0.5 1.7 2.4 1.1 0.9 1.6 1.2 1.5 1.6 0.7 1.6 0.6 0.8 1.8 1.8 0.6 0.7 0.9 1.4 4.3 3.9 0.4 0.7 0.3 0.5 0.9 1.0 0.5 1.4 0.6 1.6 0.7 1.5 0.5 1,624 1,048 287 1,204 23,433 0 5 2,434 21,710 386 399 1,940 5,662 882 3,080 373 55 241 67 425 1,001 460 0 144 187 1,493 383 194 472 870 74 188 0 1,547 43 77 273 0 27,994 216 252 326 64 767 630 341 216 1,698 132 17,903 196 33.2 -1.1 61.8 14.4 25.9 -40.6 7.5 14.8 28.9 39.1 8.1 16.7 53.6 51.2 -8.2 -9.0 -18.9 20.4 -5.1 8.0 20.2 83.7 34.1 72.6 27.1 98.8 17.5 -20.0 10.7 1.2 932.0 279.8 35.8 7.8 16.2 88.3 -15.5 32.3 28.5 8.6 2.6 41.5 37.2 16.4 9.7 0.95 1.6 -0.19 2.18 -4.22 -0.02 -0.12 3.95 5.12 0.29 0.87 0.9 1.55 0.88 0.53 0.93 0.99 0.34 2.11 2.39 1.08 1.07 -0.02 1.14 0.63 0.97 1.24 2.59 1.25 1 -0.09 0.4 -0.01 1.29 -0.11 -0.18 1.17 -0.08 8.02 0.33 -0.74 1.06 0.06 1.03 0.67 1.52 0.1 1.8 0.55 2.38 1.4 -28.7 28.0 -375.0 11.8 -42.1 35.3 -11.8 32.0 -14.7 -43.5 -40.4 17.9 45.3 -10.6 -53.3 325.0 -19.5 16.6 21.4 -46.0 32.6 96.9 212.9 -6.1 32.8 205.3 8.7 88.6 0.0 55.4 26.7 41.0 20.0 28.4 83.3 -428.6 -51.4 -14.3 43.8 -53.5 16.0 21.8 -16.7 -4.6 374.6 5.0 15.3 1.4 12.6 4.2 23.8 24.4 68.2 6.5 7.0 8.0 69.8 22.5 29.6 -37.5 68.1 57.2 5.7 13.7 14.3 16.2 3.3 6.8 36.4 8.8 9.2 -3.7 52.8 11.0 -10.1 1.2 44.3 4.4 17.7 -26.9 22.7 35.5 27.7 23.2 58.7 18.0 5.3 6.9 17.4 0.2 2.2 8.3 -120.3 7.9 1.0 -1078.2 16.6 12.6 7.9 1.9 2.3 4.9 8.4 14.9 33.6 172.9 120.0 35.0 2.7 8.4 8.1 14.6 3.2 2.6 24.5 7.4 5.5 -31.5 52.4 6.6 -16.8 -8.4 32.0 2.5 14.1 -42.0 7.3 13.1 21.3 12.6 40.8 13.9 4.8 4.9 15.8 32.6 13.0 14.4 -41.4 21.3 13.0 -18.6 29.5 24.5 2.1 3.7 8.4 17.2 7.8 6.0 15.1 56.5 21.8 74.6 17.8 11.8 -0.6 15.7 21.8 25.6 4.5 28.9 14.5 13.4 -2.7 12.9 11.3 -8.2 -6.3 58.1 -24.0 8.4 12.1 -79.5 4.8 2.0 17.3 12.2 19.8 54.6 5.5 27.5 37.5 Return On Assets (%) Return On Common Equity (%) Profit Margin (%) Operating Margin (%) EPS 1-Yr Change (%) 1-Yr Change (%) Recent Fiscal Yr ($mil) Price/Book Price/Sales Price/Earnings Market Cap ($mil) December 31, 2008 Dividend Yield (%)‡ Industry Real Estate Management & Development -47.2 6.5 Energy Equipment & Services -47.4 4.1 Oil, Gas & Consumable Fuels -47.4 Software -47.8 -1.7 Diversified Financial Services -47.8 4.9 Metals & Mining -48.0 36.9 Metals & Mining -48.6 Chemicals -48.7 1.2 Oil, Gas & Consumable Fuels -49.0 -2.5 Real Estate Investment Trusts -49.2 3.2 Commercial Services & Supplies -49.2 Road & Rail -49.3 -5.0 Trading Companies & Distributors -49.3 0.4 Airlines -49.3 Real Estate Management & Development -49.6 -8.6 Energy Equipment & Services -49.7 -3.7 Semiconductors & Semiconductor Equipment -49.7 -6.7 Oil, Gas & Consumable Fuels -49.9 7.4 Metals & Mining -50.0 11.4 Diversified Financial Services -50.3 6.4 Metals & Mining -50.5 -10.0 Energy Equipment & Services -50.6 2.6 Metals & Mining -50.6 Specialty Retail -50.7 11.9 Chemicals -50.8 Construction & Engineering -51.5 19.8 Food & Staples Retailing -51.8 Thrifts & Mortgage Finance -52.0 4.5 Communications Equipment -52.1 -18.8 Metals & Mining -52.2 11.8 Oil, Gas & Consumable Fuels -52.3 9.6 Metals & Mining -52.4 Metals & Mining -52.5 -14.8 Media -52.7 -18.9 Metals & Mining -52.8 23.0 Oil, Gas & Consumable Fuels -52.9 Electronic Equip., Instruments & Components -52.9 Metals & Mining -53.0 3.2 Auto Components -53.1 -17.2 Media -53.2 6.6 Metals & Mining -53.3 3.4 Real Estate Management & Development -53.3 -4.4 Independent Power Producers & Energy -53.4 Traders 6.3 Paper & Forest Products -54.0 13.8 Energy Equipment & Services -54.4 -0.3 Real Estate Management & Development -54.4 3.2 Media -54.5 Oil, Gas & Consumable Fuels -54.8 12.4 Real Estate Management & Development -55.5 Oil, Gas & Consumable Fuels -55.8 8.3 Air Freight & Logistics -56.0 3.3 Share Price ($) December 31, 2008 5-Yr Annualized (%) 1-Yr (%) Company Name FirstService Corp. ShawCor Ltd. Highpine Oil & Gas Ltd. MacDonald Dettwiler & Associates Ltd. Onex Corp. Canplats Resources Corp. Western Goldfields Inc. Methanex Corp. Petro-Canada Calloway Real Estate Investment Trust The Data Group Income Fund TransForce Inc. Finning International Inc. Jazz Air Income Fund Brookfield Properties Corp. Savanna Energy Services Corp. Mosaid Technologies Inc. Paramount Resources Ltd. Labrador Iron Ore Royalty Income Fund TMX Group Inc. Noranda Income Fund Calfrac Well Services Ltd. Virginia Mines Inc. easyhome Ltd. Migao Corp. Aecon Group Inc. Liquor Stores Income Fund Home Capital Group Inc. Sierra Wireless Inc. Canam Group Inc. Niko Resources Ltd. Silver Wheaton Corp. Orezone Resources Inc. Torstar Corp. First Majestic Silver Corp. Petro Andina Resources Inc. Evertz Technologies Ltd. Platinum Group Metals Ltd. Magna International Inc. Glacier Media Inc. Western Canadian Coal Corp. Morguard Corp. Canadian Hydro Developers Inc. Sino-Forest Corp. Trinidad Drilling Ltd. BPO Properties Ltd. GVIC Communications Corp. Parkland Income Fund Altus Group Income Fund Suncor Energy Inc. Clarke Inc. Ticker Rank 303 304 305 306 307 308 309 310 311 312 313 314 315 316 317 318 319 320 321 322 323 324 325 326 327 328 329 330 331 332 333 334 335 336 337 338 339 340 341 342 343 344 345 346 347 348 349 350 351 352 353 (■TSX Venture) REVENUE Recent Fiscal Yr ($) RETURN 2.9 8.9 -28.1 7.8 0.9 -17.5 14.1 11.8 0.8 1.9 3.4 6.7 1.2 4.7 10.4 30.6 15.9 9.6 4.4 7.6 -0.6 11.0 17.7 5.9 3.1 2.0 10.9 8.0 -2.3 9.8 5.1 -4.9 -4.6 47.9 -21.0 4.7 6.5 -23.8 1.2 1.0 10.0 5.8 6.4 29.0 2.7 13.2 16.4 MARKET VALUE PERFORMANCE 4.2 4.8 2.6 4.7 20.0 3.4 1.3 34.7 9.7 3.3 19.4 17.4 3.6 2.2 3.5 5.8 3.8 3.8 20.9 2.4 - 13.0 13.3 6.7 13.6 11.4 3.8 23.4 4.4 12.4 9.9 9.8 7.0 7.8 7.8 5.0 25.7 5.9 12.3 11.7 6.5 3.9 12.1 16.0 3.2 5.9 11.9 5.0 9.1 7.2 8.5 7.9 2.4 1.5 0.2 0.6 1.0 70.0 0.1 0.4 0.7 1.1 0.5 1.7 0.4 961.3 1.3 2.8 1.5 3.8 1.2 0.6 0.8 0.1 0.6 0.2 11.0 1.4 0.3 1.9 0.3 1.4 0.9 1.8 0.3 6.3 0.1 1.0 1.6 2.6 0.7 2.2 0.3 2.4 1.1 4.4 4.3 0.9 0.7 1.0 1.6 1.7 1.4 1.9 0.3 0.2 0.7 1.3 0.5 0.7 0.5 7.5 1.0 2.5 0.8 0.7 0.3 1.2 1.4 0.3 0.7 0.5 0.5 0.7 1.4 1.6 1.0 3.6 0.5 0.6 0.6 0.5 1.3 2.8 0.7 3.3 1.2 0.9 1.0 0.4 0.6 2.0 0.7 0.3 1.7 0 6,281 165 1,331 917 105 0 0 2 3,929 211 62 836 500 582 506 2 126 0 41 158 4 293 270 68 588 1,351 1,814 32 0 141 402 47 581 710 125 47 9 0 415 41 110 401 52 102 229 607 0 1,262 97.9 32.5 5.3 18.9 127.0 133.5 19.9 25.1 3.9 -1.3 13.3 10.0 30.3 -54.5 16.6 -1.5 49.1 9.4 20.5 34.3 29.2 8.7 24.6 53.5 136.1 25.0 16.2 5.9 -7.8 5.6 13.0 6.2 2.5 5.6 36.5 159.6 1.0 29.6 -0.43 2.36 0.62 1.35 0.61 0.33 -0.12 -0.16 -0.7 0.41 -0.42 2.71 0.91 1.25 0.71 0.53 -0.06 0.27 -0.06 -0.07 1.4 -0.21 1.59 2.03 0.03 -0.82 0.22 1.05 0.09 -0.07 0.34 0.86 -0.29 13.48 0.65 0.35 -0.14 0.01 -0.19 1.45 -0.06 0.62 0.19 0.17 0.22 0.99 2.11 -0.37 1.46 21.5 13.0 3.6 3.5 7.2 -1009.5 2.4 -7.8 16.8 13.4 12.2 -0.4 8.2 -678.3 13.0 -24.5 482.2 -922.7 16.1 9.5 3.2 -4.8 -17.7 2.8 23.3 13.8 5.8 -9.1 9.0 -3.6 -89.9 6.9 9.2 -8.1 -4.3 -24.8 44.5 10.7 35.6 5.9 11.6 -127.6 40.3 9.2 13.9 4.8 15.7 -27.3 -28.3 8.1 -3.5 17.7 18.3 12.7 -0.2 8.1 -52.6 11.7 -32.4 -5.9 117.6 -8.8 16.0 22.0 0.8 -20.9 -14.1 6.3 1.0 -4.3 15.0 -91.7 15.1 -1.2 11.6 -18.4 19.4 -4.4 -16.0 -3.3 -12.8 8.4 8.2 25.3 14.1 19.6 Return On Assets (%) 28.9 8.9 5.9 12.5 10.5 -1239.7 3.3 -26.7 22.1 15.8 10.7 68.4 28.6 -595.2 100.0 -34.7 64.8 -1027.3 23.1 16.9 -5.9 4.2 0.0 5.4 96.8 13.2 8.2 100.0 12.2 13.1 21.2 -50.2 11.5 11.2 -11.7 2.0 31.3 15.0 68.4 12.4 43.7 7.3 15.4 Return On Common Equity (%) 15.7 104.8 29.2 28.6 -1.6 94.1 -7.1 19.5 -50.6 72.7 19.9 -36.8 -39.6 9.2 -29.7 0.0 3.9 40.0 22.2 90.1 8.9 15.3 -58.3 -40.0 -45.0 12.5 126.7 48.2 26.1 59.2 -62.5 130.2 62.5 -20.5 -5.3 -45.2 10.0 200.0 19.2 12.4 Profit Margin (%) 1-Yr Change (%) Recent Fiscal Yr ($mil) Price/Book Price/Sales Price/Earnings Market Cap ($mil) December 31, 2008 118 28,014 285 219 615 121 95 100 110 339 94 175 999 270 1,091 172 287 218 164 122 202 255 257 786 206 100 112 907 330 813 93 346 136 88 198 1,736 131 162 135 269 126 248 397 131 960 126 89 1,695 176 377 1,711 Operating Margin (%) 2.36 49.50 7.55 7.18 10.50 4.57 2.90 1.06 4.74 3.44 1.20 11.75 7.96 6.40 7.45 4.50 3.86 0.90 2.65 0.95 1.20 12.60 0.65 12.38 16.40 1.15 3.80 7.55 7.04 10.24 3.18 5.63 5.00 6.10 51.00 8.68 2.40 0.58 1.85 5.47 5.23 4.45 12.15 3.70 4.44 0.86 1.81 20.31 11.89 1.77 14.19 Dividend Yield (%)‡ Share Price ($) December 31, 2008 5-Yr Annualized (%) Industry Metals & Mining -56.0 16.9 Communications Equipment -56.0 27.9 Independent Power Producers & Energy -56.2 Traders 12.8 Specialty Retail -56.6 -14.7 Commercial Services & Supplies -56.8 -2.1 Energy Equipment & Services -57.1 39.5 Metals & Mining -57.4 38.9 Metals & Mining -57.8 -9.0 Biotechnology -58.1 12.3 Containers & Packaging -58.1 -21.3 Oil, Gas & Consumable Fuels -58.1 -29.1 Thrifts & Mortgage Finance -58.2 Energy Equipment & Services -58.2 11.9 Commercial Services & Supplies -58.2 -8.2 Real Estate Investment Trusts -58.3 -7.6 Capital Markets -58.4 -6.7 Real Estate Investment Trusts -58.4 -10.7 Metals & Mining -58.5 27.2 Real Estate Management & Development -58.6 Metals & Mining -58.7 -32.4 Oil, Gas & Consumable Fuels -58.8 -18.1 Real Estate Investment Trusts -58.9 -4.3 Metals & Mining -59.4 -11.0 Commercial Banks -59.6 6.3 Paper & Forest Products -59.6 Oil, Gas & Consumable Fuels -60.1 Media -60.6 -23.8 Life Sciences Tools & Services -60.7 -17.4 Energy Equipment & Services -61.1 -7.7 Capital Markets -61.2 28.0 Metals & Mining -61.4 -5.9 Chemicals -61.4 13.0 Construction & Engineering -61.5 Real Estate Management & Development -61.6 9.6 Marine -61.9 -2.7 Media -62.0 Independent Power Producers & Energy -62.4 Traders -10.6 Oil, Gas & Consumable Fuels -62.6 -34.6 Personal Products -62.6 Metals & Mining -63.0 18.7 Media -63.4 -23.3 Metals & Mining -64.5 -0.2 Airlines -64.5 2.7 Semiconductors & Semiconductor Equipment -64.5 -22.2 Metals & Mining -64.7 Diversified Financial Services -64.8 -9.4 Insurance -65.0 -9.2 Oil, Gas & Consumable Fuels -65.1 48.6 Communications Equipment -65.1 -6.9 Metals & Mining -65.3 -26.1 Textiles, Apparel & Luxury Goods -65.3 7.2 EPS 1-Yr Change (%) XRC ■ RIM BLX FGL BFC ZCL DMM ETG TTH CAS TUI.UN ETC TCW NAL.UN HR.UN GCG.A INN.UN ECU PRK NSU SNG D.UN RML ■ CWB SJ AXL MDZ.A MDS FES BNB CKG ■ HF LH MEQ ALC AER MXG IE GLG MAG TVA.B KGI TRZ.B GND CG QC WES PBG AAH NGD GIL 1-Yr (%) Company Name Exeter Resource Corp. Research In Motion Ltd. Boralex Inc. The Forzani Group Ltd. BFI Canada Ltd. ZCL Composites Inc. Dynasty Metals & Mining Inc. Entree Gold Inc. Transition Therapeutics Inc. Cascades Inc. True Energy Trust Equitable Group Inc. Trican Well Service Ltd. Newalta Income Fund H&R Real Estate Investment Trust Guardian Capital Group Ltd. InnVest Real Estate Investment Trust ECU Silver Mining Inc. Parkbridge Lifestyles Communities Inc. Nevsun Resources Ltd. Canadian Superior Energy Inc. Dundee Real Estate Investment Trust Rusoro Mining Ltd. Canadian Western Bank Stella-Jones Inc. Anderson Energy Ltd. MDC Partners Inc. MDS Inc. Flint Energy Services Ltd. BAM Investments Ltd. Chesapeake Gold Corp. Hanfeng Evergreen Inc. Lockerbie & Hole Inc. Mainstreet Equity Corp. Algoma Central Corp. Groupe Aeroplan Inc. Maxim Power Corp. Ivanhoe Energy Inc. GLG Life Tech Corp. MAG Silver Corp. TVA Group Inc. Kirkland Lake Gold Inc. Transat AT Inc. Gennum Corp. Centerra Gold Inc. Quest Capital Corp. Western Financial Group Inc. Petrobank Energy & Resources Ltd. Aastra Technologies Ltd. New Gold Inc. Gildan Activewear Inc. Ticker Rank 354 355 356 357 358 359 360 361 362 363 364 365 366 367 368 369 370 371 372 373 374 375 376 377 378 379 380 381 382 383 384 385 386 387 388 389 390 391 392 393 394 395 396 397 398 399 400 401 402 403 404 (■TSX Venture) REVENUE Recent Fiscal Yr ($) RETURN -109.5 30.1 4.4 6.6 1.7 11.5 -27.0 -20.3 2.5 -1.8 1.0 12.5 6.7 0.0 2.5 -33.8 4.5 -19.4 -4.1 46.4 -6.2 1.0 11.2 0.5 -5.2 -9.0 3.4 0.6 -3.4 12.3 13.4 -2.2 10.0 -0.7 6.1 -16.2 8.2 -3.9 -4.3 -2.9 -11.5 7.5 2.1 10.2 7.8 14.6 MARKET VALUE PERFORMANCE NDM CFX.UN AGF.B NGX MIM.A DW GO EIS.UN PCC CS INE DC.A UEG CUQ BNK APF.UN HII.B GSL IVN NOA PXX BRK.UN GS TCM ITX HRX PMG SVM URB CCI NUS CRW.UN HNL POM GUY BLD TWF.UN NEM PRE CDH CTL WZR ■ EQN MRD IMN S FRG ACE.A BCB ADM ■ GC 4.50 3.13 9.50 1.02 9.09 5.88 5.10 1.11 2.45 0.91 4.00 6.05 5.52 7.19 0.74 2.31 11.50 1.91 3.27 4.10 0.78 2.17 7.35 4.90 1.37 2.79 5.74 2.61 1.51 4.04 1.00 1.52 0.87 0.85 1.90 1.34 3.54 1.27 2.19 2.22 0.30 0.60 1.36 4.58 19.58 3.16 2.38 6.75 1.54 1.08 3.61 15.3 10.5 8.1 1.4 14.4 13.6 10.4 39.0 27.7 6.5 3.1 7.4 1.0 4.6 - 416 111 851 261 426 857 379 112 108 150 95 437 200 129 135 179 235 88 1,235 148 148 118 231 601 227 88 574 396 107 220 156 91 96 117 97 110 275 151 461 195 115 102 806 143 945 923 199 237 111 86 298 2.8 4.8 4.3 4.3 7.0 4.7 1.7 13.2 3.9 12.9 19.3 2.7 2.2 2.8 5.7 2.2 7.2 4.2 3.5 7.1 7.5 17.4 3.5 3.7 10.2 2.8 3.0 2.1 119.0 14.4 - 1,659.2 0.4 0.9 0.7 0.5 0.5 0.5 0.2 1.0 0.8 1.0 0.6 0.2 0.4 1.7 0.6 0.6 0.4 0.4 0.4 0.5 2.3 0.2 1.4 1.0 0.8 0.9 0.5 0.3 0.4 2.0 2.3 0.1 0.5 1.0 0.3 0.1 0.3 2.1 3.8 0.5 0.6 0.7 0.3 0.3 0.5 1.6 1.3 2.8 1.8 0.3 0.5 0.4 0.0 1.3 0.6 0.4 1.4 1.5 1.7 0.6 1.1 2.1 0.4 0.7 0.7 0.3 2.6 0.7 0.1 0.1 0.4 1.5 1.1 0.5 0.9 0.6 0.5 0.2 0.6 0.0 0.1 0.1 0.3 0.8 0.7 0.7 0 0 770 363 853 983 204 519 0 62 1,327 394 736 59 186 442 0 0 990 73 1,448 102 982 82 308 119 112 17 732 0 2,149 96 0 0 70 409 258 86 33 1,715 0 0 207 1,104 1,340 0 10,826 1,908 0 397 27.6 -17.9 7.6 11.9 51.5 36.7 24.2 73.4 38.6 97.0 -3.7 154.4 57.2 2297.4 9.0 506.2 57.4 8.7 174.8 172.4 -3.4 3.1 314.6 31.5 -14.5 47.9 586.9 -8.9 1.8 1.5 20.3 2.6 0.3 3.1 -1.13 -50.7 1.82 1.93 101.0 0.25 -56.6 0.91 269.6 0.64 -12.3 0.13 -48.0 0.22 -50.0 -0.29 -383.3 0.3 2.36 103.5 -0.11 86.8 1.17 160.0 0 0.69 50.0 4.68 138.1 -0.35 14.6 -1.11 -56.1 1.08 20.0 -0.37 -60.9 0.84 21.7 1.34 1.51 -0.17 -54.6 0.59 110.7 0.57 211.8 0.41 140.0 1.47 1.45 -25.3 -0.26 -50.0 -0.95 0.05 400.0 -0.03 81.3 -0.02 80.0 -0.5 6.0 -0.47 0.34 -3.0 0.32 0.05 4900.0 -0.27 -218.2 -0.06 -0.06 -8.3 2 9.3 8.51 3.7 1.81 29.3 -0.09 -125.0 2.01 -13.0 0.19 -53.9 0.03 0.25 25.0 23.8 9.9 5.2 17.1 17.1 7.5 41.1 17.8 13.6 3.8 20.8 18.9 89.8 9.4 -356.1 3.5 58.8 28.9 -16.0 9.0 52.9 67.3 94.4 18.4 5.1 7.4 -94.3 12.8 21.4 23.5 21.2 -4.9 100.0 47.4 44.8 4.3 2.1 16.1 19.0 11.7 5.0 -5.8 4.1 2.6 41.0 21.5 -0.4 2.9 -4.3 12.7 17.9 4.0 -59.9 0.3 17.2 -11.6 6.2 43.1 55.3 79.8 4.3 -15.0 6.3 -87.4 -7.8 11.7 22.2 12.1 -1.8 30.8 37.8 27.6 12.9 -4.0 9.0 -67.8 10.3 17.4 8.4 2.3 -6.3 1.9 5.1 -23.9 35.3 30.3 -1.7 36.0 -1.8 5.9 16.6 -31.0 15.1 1.2 58.8 44.2 -4.8 11.1 22.2 52.9 8.6 -14.1 -94.4 2.7 -7.5 1.8 -20.4 -87.6 35.5 6.2 2.7 -3.2 -8.3 24.4 33.9 17.5 8.7 63.9 -15.5 4.1 8.9 Return On Assets (%) Return On Common Equity (%) Profit Margin (%) Operating Margin (%) EPS 1-Yr Change (%) 1-Yr Change (%) Recent Fiscal Yr ($mil) Price/Book Price/Sales Price/Earnings Market Cap ($mil) December 31, 2008 Dividend Yield (%)‡ Industry Metals & Mining -65.5 -4.8 Paper & Forest Products -65.6 Capital Markets -65.8 -8.8 Metals & Mining -66.0 -17.5 Real Estate Management & Development -66.1 -22.5 Capital Markets -67.0 -5.4 Oil, Gas & Consumable Fuels -67.1 Energy Equipment & Services -67.5 Independent Power Producers & Energy -67.6 Traders Metals & Mining -67.6 -1.9 Independent Power Producers & Energy -67.9 Traders Capital Markets -67.9 -4.2 Electric Utilities -68.0 Construction & Engineering -68.0 25.0 Oil, Gas & Consumable Fuels -68.2 Independent Power Producers & Energy -69.1 Traders -18.7 Real Estate Management & Development -69.1 Metals & Mining -69.7 -7.4 Metals & Mining -69.7 -20.5 Energy Equipment & Services -70.0 Oil, Gas & Consumable Fuels -70.0 50.7 Specialty Retail -70.6 Capital Markets -71.0 Metals & Mining -71.1 65.8 Oil, Gas & Consumable Fuels -71.2 -23.1 Aerospace & Defense -71.2 -12.4 Oil, Gas & Consumable Fuels -71.3 Metals & Mining -71.8 10.5 Capital Markets -72.0 10.9 Capital Markets -72.5 Metals & Mining -73.3 -15.6 Media -73.5 -41.1 Commercial Services & Supplies -73.7 Metals & Mining -73.8 24.0 Metals & Mining -73.8 18.3 Auto Components -74.3 -38.6 Paper & Forest Products -74.4 -16.9 Chemicals -74.7 1.1 Oil, Gas & Consumable Fuels -74.8 Oil, Gas & Consumable Fuels -74.9 15.3 Paper & Forest Products -74.9 -37.6 Oil, Gas & Consumable Fuels -75.0 Metals & Mining -75.1 Real Estate Management & Development -75.5 2.7 Metals & Mining -75.5 2.7 Metals & Mining -75.7 -14.1 Metals & Mining -76.1 21.4 Airlines -76.2 Beverages -76.5 -46.8 Metals & Mining -76.5 -23.9 Hotels Restaurants & Leisure -76.7 -14.5 Share Price ($) December 31, 2008 5-Yr Annualized (%) 1-Yr (%) Company Name Northern Dynasty Minerals Canfor Pulp Income Fund AGF Management Ltd. Northgate Minerals Corp. MI Developments Inc. DundeeWealth Inc. Galleon Energy Inc. Eveready Income Fund Plutonic Power Corp. Capstone Mining Corp. Innergex Renewable Energy Inc. Dundee Corp. Universal Energy Group Ltd. The Churchill Corp. Bankers Petroleum Ltd. Algonquin Power Income Fund Homburg Invest Inc. Greystar Resources Ltd. Ivanhoe Mines Ltd. North American Energy Partners Inc. Pearl Exploration and Production Ltd. The Brick Group Income Fund Gluskin Sheff + Associates Inc. Thompson Creek Metals Co Inc. Iteration Energy Ltd. Heroux-Devtek Inc. Petrominerales Ltd. SilverCorp Metals Inc. Urbana Corp. Canaccord Capital Inc. Nautilus Minerals Inc. Cinram International Income Fund Horizon North Logistics Inc. Polymet Mining Corp. Guyana Goldfields Inc. Ballard Power Systems Inc. Timberwest Forest Corp. Neo Material Technologies Inc. Pacific Rubiales Energy Corp. Corridor Resources Inc. Catalyst Paper Corp. WesternZagros Resources Ltd. Equinox Minerals Ltd. Melcor Developments Ltd. Inmet Mining Corp. Sherritt International Corp. Fronteer Development Group Inc. ACE Aviation Holdings Inc. Cott Corp. Andina Minerals Inc. Great Canadian Gaming Corp. Ticker Rank 405 406 407 408 409 410 411 412 413 414 415 416 417 418 419 420 421 422 423 424 425 426 427 428 429 430 431 432 433 434 435 436 437 438 439 440 441 442 443 444 445 446 447 448 449 450 451 452 453 454 455 (■TSX Venture) REVENUE Recent Fiscal Yr ($) RETURN -43.6 9.4 3.7 6.9 1.4 -2.4 1.2 2.5 -15.2 23.4 8.2 -0.4 9.8 -1.4 2.4 2.8 -30.5 5.3 0.5 32.8 15.7 -3.3 5.5 15.3 42.2 1.3 -13.8 -18.4 2.2 -5.4 1.8 -17.7 -2.4 13.6 4.5 2.2 -1.2 -5.0 10.2 23.3 9.2 7.7 10.3 -6.2 3.9 3.8 MARKET VALUE PERFORMANCE -77.2 -77.4 -77.8 -78.2 -78.7 -79.1 -79.4 -79.7 -79.8 -80.5 -80.8 -81.2 -81.4 -81.5 -81.5 -81.6 -81.8 -82.0 -82.5 -82.8 -83.6 -83.9 -84.0 -84.2 -84.3 -84.6 -85.1 -85.3 -85.4 -85.4 -85.8 -86.3 -86.7 -87.0 -87.5 -88.3 -89.2 -89.2 -89.4 -89.8 -90.0 -90.0 -94.2 -94.9 -97.9 11.8 3.0 3.2 6.5 6.8 4.3 - 326 144 154 190 135 1,211 145 840 296 156 108 108 240 164 486 116 88 160 345 2,943 288 368 143 184 468 96 379 112 177 124 95 102 132 99 465 228 353 136 105 121 258 121 85 86 159 4.8 5.8 4.8 1.5 3.4 12.3 3.1 4.7 1.4 1.5 1.6 0.8 3.4 40.0 12.2 2.5 2.0 27.4 1.0 5.7 - 0.9 1.3 103.8 1.7 0.5 0.8 3.1 0.5 0.3 0.1 0.1 0.1 148.7 2.1 3.7 0.4 0.4 1.8 1.7 25.5 0.2 0.4 0.0 0.0 0.1 41.6 0.5 0.4 1.3 0.0 0.1 0.2 0.6 0.0 0.3 0.0 1.2 0.5 1.2 0.3 0.7 0.6 0.2 0.6 0.8 0.3 0.2 0.9 0.3 0.2 0.3 1.9 0.5 0.4 0.3 0.3 3.7 0.8 0.2 0.3 0.2 0.5 0.2 0.1 0.4 0.5 0.4 0.7 0.5 0.1 0.2 0.2 0.2 0.4 0.1 0.3 0.9 0.2 0.1 - 460 0 22 1 52 1,653 122 144 590 344 -101 0 2,314 2,002 7,230 1 36 38 720 6,371 82 166 6 530 1,270 2,376 0 0 10,599 864 0 221 0 0 1,138 115 0 3,146 1,186 398 322 0 544 117 11,757 31.2 1986.7 -37.1 56.7 40.6 10.4 42.1 41.1 2.3 129.8 3.3 223.9 54.7 88.0 21.6 -2.6 689.6 -8.6 20.3 12.5 -13.6 4.3 34.5 1.2 96.3 736.1 9.8 -11.8 -4.5 89.5 -34.2 11.9 -4.1 2.15 10.8 -1.07 -664.3 0.11 -0.17 5.6 0.25 53.3 8.17 27.1 -0.15 -0.06 3.12 57.6 0.08 100.0 -0.94 -0.07 46.2 1.44 0.7 0.84 35.5 4.26 82.1 -0.71 -18.3 -0.24 26.7 -0.15 -15.4 2.14 37.4 3.89 -25.4 -0.05 78.3 -0.16 44.8 0.2 -52.4 3.08 -1.9 1.87 -50.4 -1.76 -49.2 0.02 0.0 -0.38 -2.7 4.15 4050.0 0.01 -94.7 -0.02 75.0 0.3 -14.3 -0.11 52.2 -0.24 -300.0 0.9 -16.0 -0.02 33.3 -0.1 -66.7 -1.74 -0.33 0.16 -63.6 0.96 47.7 -0.03 0.0 -43.35 -202.0 -0.05 0.59 - 34.9 40.6 -1961.4 43.4 56.2 -10.2 6.3 18.6 7.1 148.2 7.5 4.9 9.5 -6273.8 -36.3 -21.4 32.0 39.1 -9.1 -8.3 3.3 40.7 29.8 -4.3 4.7 0.6 39.5 39.4 -6.7 14.5 -4.2 22.0 40.0 -23.8 1.6 3.5 30.8 21.6 -4203.4 48.4 33.8 12.6 -13.1 12.6 11.9 96.8 4.7 3.0 5.2 -5891.5 -26.4 -22.2 15.7 25.4 61.5 -10.9 218.7 17.9 -6.3 4.1 0.1 19.5 -14.6 -10.2 -33.1 -4.1 32.5 34.1 -39.8 -8.7 52.6 -53.6 5.9 -8.3 18.1 41.5 3.7 29.1 9.5 -21.7 -6.5 12.6 9.4 42.1 -68.1 -7.3 19.8 22.6 7.2 -25.1 7.6 41.1 21.1 -27.6 26.1 -9.7 20.0 0.2 -47.2 52.5 -5.7 -8.6 -5.4 -1.6 -0.6 -93.2 -11.3 16.1 16.0 -4.2 -141.1 -3.4 -49.3 Return On Assets (%) Return On Common Equity (%) Profit Margin (%) Operating Margin (%) EPS 1-Yr Change (%) 1-Yr Change (%) Recent Fiscal Yr ($mil) Price/Book Price/Sales Price/Earnings 5.07 0.77 3.37 1.77 1.35 17.61 1.49 1.79 12.50 0.74 0.82 1.73 3.70 2.26 5.85 2.00 1.91 3.31 5.62 6.02 1.46 3.53 4.62 2.79 3.06 0.96 0.80 0.94 1.75 1.93 0.16 0.71 1.80 1.86 1.19 0.34 1.80 0.78 0.70 0.93 3.04 0.66 0.94 0.14 0.32 Market Cap ($mil) December 31, 2008 -2.0 19.2 62.1 -22.9 -0.7 5.2 -25.0 -22.1 5.4 -14.3 12.3 8.5 -18.9 -18.6 -29.2 -11.6 -16.6 54.5 -33.4 -9.7 -1.7 25.3 15.0 -16.7 -64.1 4.2 32.5 -30.5 -19.9 -9.1 -43.7 -31.6 -31.1 -19.0 11.1 -52.9 -40.5 -64.2 Dividend Yield (%)‡ Share Price ($) December 31, 2008 Industry Capital Markets Oil, Gas & Consumable Fuels Oil, Gas & Consumable Fuels Metals & Mining Oil, Gas & Consumable Fuels Metals & Mining Metals & Mining Oil, Gas & Consumable Fuels Metals & Mining Oil, Gas & Consumable Fuels Capital Markets Metals & Mining Auto Components Auto Components Chemicals Biotechnology Commercial Services & Supplies Software Metals & Mining Metals & Mining Oil, Gas & Consumable Fuels Metals & Mining Metals & Mining Metals & Mining Metals & Mining Paper & Forest Products Oil, Gas & Consumable Fuels Metals & Mining Airlines Food Products Metals & Mining Metals & Mining Oil, Gas & Consumable Fuels Oil, Gas & Consumable Fuels Metals & Mining Metals & Mining Oil, Gas & Consumable Fuels Media Paper & Forest Products Oil, Gas & Consumable Fuels Metals & Mining Oil, Gas & Consumable Fuels Paper & Forest Products Metals & Mining Communications Equipment 5-Yr Annualized (%) GMP.UN MGA POE ■ NG CVI.A FM DPM UUU MDI CLL PNP AQI LNR MRE NCX TH IMP ABT HW TCK.B DML TIM ALS QUA HBM TMB UTS CLM AC.A SOY ORA TKO AXU ELC LUN ELR OPC CGS NBD CMT FNX UEX ANS HRG NT 1-Yr (%) Company Name GMP Capital Trust Mega Uranium Ltd. Pan Orient Energy Corp. Novagold Resources Inc. Calvalley Petroleums Inc. First Quantum Minerals Ltd. Dundee Precious Metals Inc. Uranium One Inc. Major Drilling Group International Connacher Oil and Gas Ltd. Pinetree Capital Ltd. Aquiline Resources Inc. Linamar Corp. Martinrea International Inc. Nova Chemicals Corp. Theratechnologies Inc. Intermap Technologies Corp. Absolute Software Corp. Harry Winston Diamond Corp. Teck ComInco Ltd. Denison Mines Corp. TimmInco Ltd. Altius Minerals Corp. Quadra Mining Ltd. HudBay Minerals Inc. Tembec Inc. UTS Energy Corp. Consolidated Thompson Iron Mines Ltd. Air Canada SunOpta Inc. Aura Minerals Inc. Taseko Mines Ltd. Aurora Energy Resources Inc. CIC Energy Corp. Lundin Mining Corp. Eastern Platinum Ltd. OPTI Canada Inc. CanWest Global Communications Corp. Norbord Inc. Compton Petroleum Corp. FNX Mining Co Inc. Uex Corp. Ainsworth Lumber Co Ltd. High River Gold Mines Ltd. Nortel Networks Corp. Ticker Rank 456 457 458 459 460 461 462 463 464 465 466 467 468 469 470 471 472 473 474 475 476 477 478 479 480 481 482 483 484 485 486 487 488 489 490 491 492 493 494 495 496 497 498 499 500 (■TSX Venture) REVENUE Recent Fiscal Yr ($) RETURN 13.7 -41.5 4.4 -5.2 15.9 23.6 3.1 19.6 4.2 -15.6 -5.8 6.4 4.4 7.8 -59.9 -6.7 -10.1 7.7 12.9 5.7 -12.0 5.8 24.3 15.8 -7.0 21.3 -9.5 3.6 0.1 -44.5 14.3 -5.5 -8.4 -4.1 -1.2 -0.3 -15.3 -3.3 5.9 12.0 -3.8 -16.6 -2.0 -5.3