Maple Leaf 2014-II Flow-Through Limited Partnership
QUEBEC CLASS | PROSPECTUS
Maple
Leaf 2014-II Flow-Through Limited Partnership - Quebec Class (the
“Partnership”) has completed a transaction (“Liquidity
Transaction”) on September 30, 2015 to which the assets of the Partnership
(the “Assets”) transferred to the Maple Leaf Resource Class mutual fund (the “Mutual Fund” and or “CDO100”)
of Maple Leaf Corporate Funds Ltd., an open-ended mutual fund
corporation, in exchange for Resource Class - Series A shares of the
Mutual Fund.
LIMITED PARTNERSHIP DETAILS
MAPLE LEAF 2014-II FLOW-THROUGH LIMITED PARTNERSHIP - QUEBEC CLASS |
PARTNERSHIP CUSIP: | 56531P112 |
FEDERAL TAX SHELTER: | TS 082495 |
QUEBEC TAX SHELTER: | QAF-14-01556 |
PARTNERSHIP INCEPTION: | October 2, 2014 |
OFFERING CLOSED: | November 28, 2014 |
ROLLOVER COMPLETED: | September 30, 2015 |
NAV PER LP UNIT AT ROLLOVER: | $14.93829 |
ACB PER LP UNIT AT ROLLOVER: | $11.01404 |
CONVERSION FACTOR / RATIO: | 4.02033(1) |
BEFORE-TAX RETURN: | -40.20% |
AFTER-TAX RETURN: | 41.79%(2)(3) |
(1) To determine the number of Maple
Leaf Resource Class (CDO100) shares received after the rollover,
multiply your number of Limited Partnership units by the conversion
factor.
(2) After-tax return is after capital gains tax has been paid on divestiture and is based on at-risk capital. At-risk capital is after tax savings from tax credits, CEE, CDE and other deductions.
(3) After-tax return assumes a Federal marginal tax rate of 24.22% for Québec residents and a Québec provincial marginal tax rate of 25.75%. The tax savings are calculated by multiplying the total estimated income tax deductions for each year by the assumed marginal tax rate for that year.
Mutual Fund Details
MAPLE LEAF RESOURCE CLASS |
RESOURCE CLASS FUND CODE: | CDO100 |
NAV PER SHARE AT ROLLOVER: | $3.71569
3.71569#sthash.wHRq8C8T.dpuf |
ACB PER SHARE AT ROLLOVER: | $2.73960(4) |
(4) When
you sell any shares of Maple Leaf Resource Class (CDO100) you need to
know the adjusted cost base (ACB) per share to determine capital gains
or losses for tax reporting.
Additional information about the Mutual Fund is available on the Maple Leaf Resource Class Fund Profile page which includes the Mutual Fund’s Simplified Prospectus, Annual Information Form, Quarterly Summaries of Investment Portfolio and more.
Investor Information
For
information on Maple Leaf Resource Class mutual fund please click here.
- See more at:
http://www.mapleleaffunds.ca/shortduration/funds/rolledfunds/2013-ii-fund_na.aspx#sthash.gKl6cyQZ.dpuf
For information on Maple Leaf Resource Class mutual fund, please click here.