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T5013/R15 Form SUBMITTED (see comment):Reporting Format:T5013ADDRESS (1):CALCULATION METHOD:TAXATION YEAR:REPORTING METHOD: DISTRIBUTION PER UNITGeneral Information: PARTNERSHIP NAME:YEAREND POSITIONPERCENTAMENDED
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Maple Leaf Funds refer to a type of investment fund that focuses on investing in Canadian assets, such as stocks and bonds, and are typically managed by a Canadian investment manager.
Investment managers or firms who manage Maple Leaf Funds are required to file the necessary documents and reports with the relevant regulatory authorities.
To fill out Maple Leaf Funds, investment managers need to provide detailed information about the fund's holdings, performance, and compliance with regulations.
The purpose of Maple Leaf Funds is to provide investors with exposure to Canadian assets and to potentially generate returns through the fund's investments.
Information such as the fund's assets under management, performance data, holdings, fees, and compliance with regulatory requirements must be reported on Maple Leaf Funds.
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