Performance

While a look back on the history of our firm fills us with pride, looking back on the historic performance of our funds evokes something else – a sense of confidence.

The aggregate historical performance of our funds since their respective inception dates can be viewed below. Performance figures for McLean Budden’s Mutual Funds are available here.

We are always here to help answer specific questions about any of the funds.  

Fund Name

YTD (%) 1
Mth (%)
QTR (%) Average Annual Total Returns as of 08/31/2010* Inception Date
1
YR (%)
2
YR (%)
3
YR (%)
4
YR (%)
5
YR (%)
10
YR (%)
Since Inception
MB Canadian Equity 0.56 0.03 0.73 8.69 -2.54 -2.77 2.82 4.81 6.49 10.89 01-01-1994
MB Canadian Equity Growth -1.71 -1.64 -1.29 6.52 -6.74 -4.80 2.27 4.36 5.12 11.03 10-01-1980
MB Canadian Equity Value 3.12 1.29 2.38 11.25 1.46 -0.88 3.34 5.14 8.28 11.73 01-01-1994
MB Select Canadian Equity 1.35 0.95 1.46 9.57 -2.96 -3.39 2.29 4.38 5.60 5.60 09-01-2000
BMO/TSX Composite CAP 10% 3.23 1.90 2.00 12.73 -3.98 -1.55 2.56 5.06 4.90
S&P/TSX Composite Index 3.23 1.90 2.00 12.73 -3.98 -1.55 2.56 5.06 2.84
MB Canadian Equity Plus -1.54 -0.04 1.31 5.16 -3.58 -4.12 1.03 3.06 4.09 6.70 01-07-1997
Benchmark: 75% BMO, 25% MSCIW 1.36 1.32 2.08 9.22 -4.73 -3.21 1.07 3.50 2.91
MB International Equity -6.09 0.39 6.93 -2.00 -3.51 -6.61 -2.89 0.37 -1.92 0.07 07-01-1999
MSCI EAFE Index C$ -6.08 0.20 6.85 -4.86 -8.36 -10.09 -4.64 -0.80 -1.72
MB Global Equity -6.42 -0.06 2.49 -1.93 -5.78 -7.34 -3.27 -1.11 -2.16 4.18 01-04-1996
MB Global Equity Growth -7.20 -1.63 1.01 -1.68 -4.52 -7.06 -3.05 -1.28 0.38 01-08-2002
MB Global Equity Value -6.19 0.55 2.67 -3.50 -6.65 -8.53 -4.63 -1.90 0.86 01-08-2002
MB Select Global Equity -6.28 -0.13 2.60 -2.08 -6.68 -8.01 -4.05 -1.72 -3.22 -3.22 09-01-2000
MSCI World Index C$ -4.25 -0.43 2.31 -0.99 -7.70 -8.84 -3.98 -1.64 -3.35
MB Global Equity (C$ - Hedged) -7.37 -3.21 -1.79 -3.61 10-01-2009
MSCI World Hedged Index C$ -4.58 -0.29 -0.76
MB Fixed Income 7.19 2.16 4.24 7.84 8.18 7.76 6.28 5.35 6.79 9.98 01-01-1981
MB Select Fixed Income 7.05 2.14 4.19 7.58 7.99 7.65 6.17 5.26 6.62 6.62 09-01-2000
DEX Universe Bond Index 6.81 2.01 4.32 7.60 7.41 7.43 6.03 5.24 6.67
MB Short Term Fixed Income 3.87 1.07 2.78 4.76 6.50 6.52 5.61 4.74 4.74 03-01-2005
DEX Short Term Bond Index 3.76 1.09 3.02 4.72 6.03 6.43 5.58 4.81 5.62
MB Long Term Fixed Income 12.42 3.71 6.03 12.77 10.32 9.07 6.90 6.04 8.10 7.72 02-01-1998
DEX Long Term Bond Index 11.85 3.51 5.88 12.18 9.18 8.51 6.45 5.75 7.98
MB Fixed Income Plus 8.65 3.47 5.19 6.92 9.53 8.82 7.00 5.08 6.08 6.70 01-04-1996
Benchmark: 70% DEXU, 30% CITIGR 8.00 3.03 5.07 7.35 8.05 7.83 6.23 4.89 5.73
MB Money Market Fund Class A 0.40 0.07 0.19 0.57 1.17 2.19 2.72 2.87 3.11 3.86 01-01-1995
DEX 91 Day T-Bill Index 0.27 0.07 0.16 0.38 0.97 1.87 2.49 2.70 2.95
MB Balanced 0.85 0.82 2.79 5.03 0.73 0.17 2.54 3.51 4.47 6.13 03-01-1999
MB Balanced Growth 0.00 -0.17 1.55 4.40 0.05 -0.19 2.62 3.45 3.98 8.75 09-01-1991
MB Balanced Value 1.68 1.41 3.21 5.09 1.67 0.23 2.15 3.25 5.08 08-01-2001
MB Select Balanced 1.10 1.09 2.87 4.91 0.46 -0.22 2.15 3.17 3.74 3.74 09-01-2000
Benchmark: 30% BMO, 30% MSCIW, + 35% DEXU, 5% 91TB 2.19 1.15 2.86 6.32 -0.48 -0.13 2.10 3.30 3.50
MB Balanced Plus Fund 0.99 1.12 3.06 4.21 1.19 0.38 2.30 2.98 3.52 5.65
Benchmark: 20% BMO, 35% MSCIW, 35% DEXU, 5% CITIGR, 5% 91TB 2.18 1.21 3.12 5.36 -0.01 -0.02 2.02 2.93 2.81
MB LifePlan® Income 3.19 1.37 3.30 5.94 3.81 3.17 4.00 4.23 6.34 01-10-2002
Benchmark: 17.5% BMO, 17.5% MSCIW, 60% DEXU, 5% 91TB 4.01 1.47 3.40 6.78 2.76 2.96 3.80 4.21
MB LifePlan® Growth -0.68 0.55 2.33 4.20 -1.10 -1.82 1.73 3.17 7.09 01-10-2002
Benchmark: 37.5% BMO, 37.5% MSCIW, 20% DEXU, 5% 91 Day T-Bill 1.07 0.96 2.53 6.00 -2.47 -2.02 1.23 3.02
MB LifePlan® Growth & Income 1.30 0.97 2.83 5.12 1.57 0.89 3.10 3.93 6.93 01-10-2002
Benchmark: 27.5% BMO, 27.5% MSCIW, 40% DEXU, 5% 91TB 2.56 1.21 2.97 6.42 0.18 0.50 2.55 3.66
MB LifePlan® Retirement 2015 2.02 1.07 2.95 5.35 2.05 1.27 3.05 3.72 4.08 01-07-2005
Benchmark: 22.9% BMO, 22.9% MSCIW, 46% DEXU, 8.2% 91TB 3.42 1.41 3.46 6.86 1.04 1.24 2.96 3.83
MB LifePlan® Retirement 2020 1.40 0.95 2.84 5.08 1.23 0.44 2.57 3.44 3.85 01-07-2005
Benchmark: 26.2% BMO, 26.2% MSCIW, 40.5% DEXU, 7.1% 91TB 2.59 1.21 2.92 6.35 0.09 0.40 2.48 3.56
MB LifePlan® Retirement 2025 0.86 0.84 2.71 4.84 0.58 -0.28 2.21 3.24 3.69 01-07-2005
Benchmark: 29.2% BMO, 29.2% MSCIW, 35.5% DEXU, 6.1% 91TB 2.21 1.15 2.84 6.31 -0.63 -0.29 2.12 3.37
MB LifePlan® Retirement 2030 0.29 0.73 2.59 4.59 -0.24 -1.07 1.89 3.08 3.58 01-07-2005
Benchmark: 32.2% BMO, 32.2% MSCIW, 30.5% DEXU, 5.1% 91TB 1.83 1.09 2.75 6.26 -1.37 -0.99 1.74 3.18
MB LifePlan® Retirement 2035 -0.20 0.63 2.49 4.37 -0.95 -1.78 1.47 2.84 3.38 01-07-2005
Benchmark: 35.2% BMO, 35.2% MSCIW, 25.5% DEXU, 4.1% 91TB 1.45 1.03 2.66 6.20 -2.11 -1.70 1.36 2.98
MB LifePlan® Retirement 2040 -0.72 0.50 2.38 4.19 -1.71 -2.61 1.00 2.55 3.13 01-07-2005
Benchmark: 38.2% BMO, 38.2% MSCIW,20.5% DEXU, 3.1% 91TB 1.06 0.98 2.56 6.14 -2.85 -2.41 0.97 2.77
MB LifePlan® Retirement 2045 -1.41 0.38 2.16 3.82 11.00 01-01-2009
Benchmark: 41.2% BMO, 41.2% MSCIW, 15.5% DEXU, 2.1% 91TB 0.67 0.92 2.47 6.08
MB LifePlan® Retirement 2050 -2.02 0.24 2.04 3.51 11.21 01-01-2009
Benchmark: 44.2% BMO, 44.2% MSCIW, 10.5% DEXU, 1.1% 91TB 0.28 0.86 2.37 6.01
MB LifePlan® Retiree 3.00 1.26 3.17 5.59 3.44 2.87 3.76 4.00 4.24 07-01-2005
Benchmark: 17.5% BMO, 17.5% MSCIW, 55% DEXU, 10% 91TB 3.68 1.37 3.19 6.40 2.45 2.69 3.61 4.03

Benchmark Reference:

BMO: BMO/TSX CAP 10% Index
MSCIW: MSCI World Index C$
DEXU: DEX Universe Bond Index
CITIGR: Citigroup Broad Investment Grade Bond Index (ex-Mortgages)
91TB: DEX 91 Day T-Bill Index

* Pooled fund performance is gross (before) fees.