Communiqués de presse

Estimated 2015 Annual Special Distributions For First Asset ETFs

TORONTO, December 8 2015 - First Asset Investment Management Inc. ("First Asset") announces the estimated annual special year-end distributions (the "Special Distributions") for the 2015 tax year for the First Asset ETFs listed below. Please note that these are estimated amounts only as of November 30, 2015 and include certain forward-looking information which may cause the estimated Special Distributions to change before the First Asset ETFs' tax year-end on December 15, 2015. These estimated amounts are for the Special Distributions only and do not include the ongoing regular monthly or quarterly cash distribution amounts which are expected to be announced in a separate press release on or before December 17, 2015.

Each of the First Asset ETFs is required to distribute any net income and capital gains that it has earned in the year. The Special Distributions will generally consist of capital gains and/or any excess net income at year end. The Special Distributions will not be paid in cash, but will be reinvested and the resulting units immediately consolidated so that the number of units held by each investor will not change. Investors holding their units outside registered plans will have taxable amounts to report and an increase in the adjusted cost base of their investment. In all cases, the Special Distributions will be paid to unitholders of record on December 30, 2015. The ex-dividend date in each case is December 24, 2015.

First Asset expects to announce the final Special Distribution amounts (subject to any further revisions to per unit amounts resulting from subscription and redemption activity prior to the record date) on or about December 30, 2015. The actual taxable amounts of all distributions for 2015, including the tax characteristics of the distributions, will be reported to brokers (through CDS Clearing and Depository Services Inc. or "CDS") in early 2016.

Fund Name TSX Trading Symbol Estimated Special Distributions per Fund Unit as at November 30, 2015
First Asset Morningstar National Bank Quebec Index ETF QXM $0.9700
QXM.A $0.9700
First Asset Morningstar Canada Momentum Index ETF WXM $0.1000
WXM.A $0.1400
First Asset Morningstar US Value Index ETF XXM $0.2700
XXM.A $0.3600
XXM.B $0.2300
XXM.D $0.3500
First Asset Morningstar US Dividend Target 50 Index ETF UXM $0.0400
UXM.A $0.0200
UXM.B $0.0000
UXM.D $0.0000
First Asset MSCI World Low Risk Weighted ETF RWW $0.0500
RWW.A $0.0500
RWW.B $0.1100
RWW.D $0.1100
First Asset Canadian REIT ETF RIT $0.5800
RIT.A $0.1900
First Asset Can-Energy Covered Call ETF OXF $0.0000
OXF.A $0.0000
First Asset Can-Materials Covered Call ETF MXF $0.0000
MXF.A $0.0000
First Asset Canadian Convertible Bond ETF CXF $0.0000
CXF.A $0.0000
First Asset Tech Giants Covered Call ETF TXF $0.0000
TXF.A $0.0000
First Asset Energy Giants Covered Call ETF NXF $0.0000
NXF.A $0.0000
NXF.B $0.0000
NXF.D $0.0000
First Asset Morningstar Canada Dividend Target 30 Index ETF DXM $0.0000
DXM.A $0.0000
First Asset Morningstar Canada Value Index ETF FXM $0.0000
FXM.A $0.0000
First Asset Morningstar US Momentum Index ETF YXM $0.0000
YXM.A $0.0000
YXM.B $0.0000
YXM.D $0.0000
First Asset Morningstar International Value Index ETF VXM $0.0000
VXM.A $0.0000
VXM.B $0.0000
VXM.D $0.0000
First Asset Morningstar International Momentum Index ETF ZXM $0.0000
ZXM.A $0.0000
ZXM.B $0.0000
ZXM.D $0.0000
First Asset Provincial Bond Index ETF PXF $0.0000
PXF.A $0.0000
First Asset 1-5 Year Laddered Government Strip Bond Index ETF BXF $0.0000
BXF.A $0.0000
First Asset MSCI Canada Low Risk Weighted ETF RWC $0.0000
RWC.A $0.0000
First Asset MSCI USA Low Risk Weighted ETF RWU $0.0000
RWU.A $0.0000
RWU.B $0.0000
RWU.D $0.0000
First Asset MSCI Europe Low Risk Weighted ETF RWE $0.0000
RWE.A $0.0000
RWE.B $0.0000
RWE.D $0.0000
First Asset Hamilton Capital European Bank ETF FHB $0.0000
FHB.A $0.0000
First Asset Active Canadian Dividend ETF FDV $0.0000
FDV.A $0.0000
First Asset U.S. & Canada Lifeco Income ETF FLI $0.0000
FLI.A $0.0000
First Asset Active Utility & Infrastructure ETF FAI $0.0000
FAI.A $0.0000
First Asset Active Credit ETF FAO $0.0000
FAO.A $0.0000
FAO.U $0.0000
FAO.V $0.0000
First Asset Core Canadian Equity ETF CED $0.0000
CED.A $0.0000
First Asset Core U.S. Equity ETF CES $0.0000
CES.A $0.0000
CES.B $0.0000
CES.D $0.0000
CES.U $0.0000
CES.V $0.0000
First Asset Core Balanced ETF CBB $0.0000
CBB.A $0.0000
First Asset CanBanc Income ETF CIC $0.0000
CIC.A $0.0000
First Asset Core Canadian Equity Income ETF CSY $0.0000
CSY.A $0.0000

First Asset provides estimated distributions for information purposes only. These estimates are not intended to be, nor should they be construed to be, legal or tax advice to any particular person.

Forward-looking information
This press release contains forward-looking statements with respect to the estimated Special Distributions for the First Asset ETFs. By their nature, these forward-looking statements involve certain risks and uncertainties that could cause the actual distributions to differ materially from those contemplated by the forward-looking statements. Material factors that could cause the actual Special Distributions to differ from the estimated Special Distributions between now and December 15, 2015 (the First Asset ETFs' tax year-ends) include, without limitation: the actual amounts of distributions received by the First Asset ETFs; the actual amount of capital gains generated from sales of securities; and subscription and redemption activity in the First Asset ETFs.

For further information, please contact Investor Relations, First Asset at 416-642-1289 or 1-877-642-1289 or visit

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First Asset is an investment firm focused on providing smart, low cost solutions that address the real-world investment needs of Canadians - capital appreciation, income generation and risk mitigation. Rooted in strong fundamentals, First Asset's smart solutions strive to deliver better risk-adjusted returns than the broad market while helping investors achieve their personal financial goals.

This communication is intended for informational purposes only. Commissions, management fees and expenses all may be associated with investments in exchange-traded funds. Please read the prospectus before investing. The funds are not guaranteed, their values change frequently and past performance may not be repeated.

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