b'Asset CASH & FIXED INCOME ___13.7 Allocation EQUITY$MCanada ____________12.4 US ________________10.9 Europe____________8.4 Asia Pacific ________1.6 Emerging Markets __0.5 Sector Cash & Fixed Income ___11.6 Allocation Industrials ____________5.9 $MFinancials____________6.3 Consumer____________4.8 Other _________________5.8 Technology ___________6.0 Communications______4.0 Energy _______________1.7 Materials _____________1.6 Geographic Canada _______________26.1 US 10.9 Allocation ___________________ $MEurope_______________8.4 Asia Pacific ___________1.6 5YR20222021202020192018 Emerging Markets _____0.5 Investments, $M*50.2047.636.939.537.7Grants Paid, $M7.42.11.41.211.7 Annualized ROR8.6%**6.8%23.4%-2.0%8.0%7.0% *MARKET VALUE OF INVESTMENTS, NET OF GRANTS PAID** 5 YEAR ANNUALIZED RATE OF RETURN SHEVCHENKO FOUNDATION ANNUAL REPORT /49'