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Jov Winslow Global Green Growth Fund

Invests globally in “green solutions” companies – target 40% ex-US • Multi-cap growth strategy, focused on

profitable

and $10B in market capitalization mid-cap companies between $1B • Maximum security weighting 10% • Early stage companies limited to 1% weighting • • Benchmark: 70% Russell Growth 2500 Index and 30% MSCI EAFE Index Portfolio Turnover is 35-40% • Inception: December 2007 • Capacity $2-$4B

Key Features Green Investing

Experienced Management

Disciplined Investment Approach

The Difference Between SRI and Green

SRI Focused on ethics and social change GREEN Focused on MAKING MONEY in the new green economy 1) Avoid companies engaged in “bad” social, ethical, or environmental behavior, such as: •Tobacco / Alcohol •Nuclear •Defense / weapons •Pollution •Unfair labor •Animal testing •Etc.

2) Practice “shareholder advocacy” to change corporate behavior 3) Engage in community development investing Build portfolios that exclusively focus on a clearly-defined set of green solutions investment themes, each of which are expected to grow rapidly: •Clean Energy •Water Management •Green Building Products •Green Transport •Sustainable Living •Environmental Services •Resource Efficiency

What is Green Investing

Investing in products or services that reduce resource consumption; decrease pollution such as climate changing greenhouse gases; or contribute to natural and sustainable nutrition and health.

Clean Companies

○ Companies with a neutral environmental impact and/or responsible environment behaviour

Green Companies

○ ○ Companies that develop environmental solutions Companies building a competitive advantage through clean and efficient business practices

Where Are Green Companies Found

Portfolio Management: Unparalleled green investing experience

○ Founded in 1983, one of the oldest green investing firms in the world

Established expertise in green market sectors

○ ○ Portfolio managers each have >20 years green investing experience Supported by strong research team – skilled in both fundamental and environmental analysis – as well as deep external network within green industries

Alpha-driven strategy

○ Fundamental approach seeks a concentrated portfolio of leaders and innovators in green market sectors – correlation with an index is not a goal

Proven long-term track record

Winslow Investment Philosophy

Green investing is about more than beliefs and values – our green investing approach adds immeasurable value to our portfolio decisions.

Ideal portfolio companies have:

○ ○ ○ Sustainable environmental profiles Strong positions within growing green market segments Long-term growth potential, propelled by near-term catalysts

Strategy utilizes:

○ ○ ○ Integrated financial and environmental analytical process Focused expertise and contacts within seven key green market sectors Intensive bottom-up research approach

Why Invest Green?

• Increased focus on climate change leading to a demand for alternative energy sources and energy efficiency • Rapid increase in demand for clean water • Growing need for resource efficiency • Shift towards healthy, natural and organic food and consumer products • Rising demand for specialized services to meet new regulations

Fund Is Ideal For Investors Who:

• Want their assets invested in companies whose businesses will profit by helping promote and sustain a healthy environment • Are bullish on investment opportunities in the green economy • Are seeking to diversify portfolio • Have a long term investment horizon • Are willing to accept higher short-term volatility

Summary

• Winslow has been investing for 25 years in the green space, with a proven track record • Opportune time to invest in green companies and industries as they are gaining recognition, yet many are past start up stage • Environmental issues creating new industries and forcing business to “Think Green” • Increased global focus on environmental issues by governments, corporations, and citizens

Fund Details

Investment Manager: Minimum Investment: Minimum Subsequent: Minimum Pre-Authorized Payment:

Winslow Management Company LLC $1,000 $500 $50

Minimum Automatic Withdrawal Plan:

$50

Currency:

CAD

Distributions: Commissions: Management Fees: Trailer: Fund Codes:

Annually (if any) Up to 5% 2% + 20% Performance Fee* 1% JOV109 Class A units JOV209 DSC JOV309 Class F units *20% of the amount by which the Fund outperforms a benchmark comprised of

70% Russell Growth 2500 Index and 30% MSCI EAFE Index

About Evergreen

Company Profile

○ National non-profit charity, founded 1991 ○ ○ Bring nature to Canadian cities through naturalization projects Motivate people to create and sustain healthy, natural, outdoor spaces

JovFunds Partnership

○ For every $1,000 invested in the Fund, JovFunds will make a contribution to Evergreen

Disclaimer

Note: Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing. The indicated rate(s) of return is (are) the historical annual compounded total return(s) including changes in (share or unit) value and reinvestment of all (dividends or distributions) and does (do) not take into account sales, redemptions, distribution or optional charges or income taxes payable by any security holder that would have reduced returns. Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated.

The opinions expressed in the commentary are those of the author and do not necessarily reflect the views and opinions of the Manager or any distributor of the Manager Funds. The views expressed are of a general nature should not be interpreted as investment advice to you in anyway. Please consult a qualified financial advisor before making an investment decision.