Amendment No. 2 dated October 29, 2018 to the Annual Information Form dated April 25, 2018

THE FUNDS 3
INVESTMENT RESTRICTIONS 9
Exemptions 9
Dealer Managed Funds 9
Changes to Fundamental Investment Objectives 10
FUNDAMENTAL CHANGES 10
CAPITALIZATION AND DESCRIPTION OF UNITS 11
Net Asset Value per Unit 12
INVESTING IN THE FUNDS 14
Mechanics of the Issuance of Units 14
Cash Purchases 15
Pre-authorized Payment Plan 16
Automatic Withdrawal Plan 16
Deferred Income Plans 16
Sales Commissions and Redemption Fees 17
SWITCHES, CONVERSIONS AND REDEMPTIONS OF UNITS 19
Switching Between Funds 19
Conversion of Units 19
Mechanics of Redemption 20
Suspension of Redemptions 21
Redemption Fees 22
Short-Term Trading Fee 24
RESPONSIBILITY FOR PRINCIPAL FUNCTIONS 24
Manager 24
Principal Distributor 26
Independent Review Committee 26
Portfolio Manager and Portfolio Sub-Advisors 27
Brokerage Arrangements 30
Registrar 31
Auditor 31
Custodian 31
Securities Lending and Repurchase Transactions 31
INCOME TAX CONSIDERATIONS 32
Tax Records 34
PRINCIPAL HOLDERS OF SECURITIES 34
AFFILIATED ENTITIES 35
FUND GOVERNANCE 36
MATERIAL CONTRACTS 38
REMUNERATION OF DIRECTORS, OFFICERS AND TRUSTEE 38
CERTIFICATE OF THE FUNDS, MANAGER AND PROMOTER 40
CERTIFICATE OF THE PRINCIPAL DISTRIBUTOR 41

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