Sep. 9, 2010
Canadian General Investments: Investment Update - Unaudited

March 03, 2010

NEWS RELEASE TRANSMITTED BY MARKETWIRE

FOR: CANADIAN GENERAL INVESTMENTS, LIMITED

TSX SYMBOLS: CGI, CGI.PR.B, CGI.PR.C

LONDON STOCK EXCHANGE: CGI

Canadian General Investments: Investment Update - Unaudited

TORONTO, CANADA – Canadian General Investments, Limited (CGI) reports on an unaudited basis that its net asset value per share (NAV) at February 28, 2010 was $19.36 resulting in year-to-date and 12-month NAV returns, with dividends reinvested, of 0.5% and 56.7%, respectively. These compare with the -0.6% and 47.6% returns of the benchmark S&P/TSX Composite Index on a total return basis for the same periods.

The closing price for CGI’s common shares at February 28, 2010 was $15.55, resulting in year-to-date and 12-month market returns, with dividends reinvested, of -1.8% and 78.9%, respectively.

The sector weightings of CGI’s investment portfolio at market as of February 28, 2010 were as follows:

Materials

26.9%

Energy

25.5%

Financials

16.3%

Industrials

6.9%

Consumer Discretionary

6.5%

Information Technology

5.8%

Cash & Cash Equivalents

4.7%

Consumer Staples

3.2%

Telecommunication Services

2.3%

Utilities

1.9%

The top ten investments which comprised 28.3% of the investment portfolio at market as of February 28, 2010 were as follows:

BMTC Group Inc.

3.9%

Labrador Iron Ore Royalty Income Fund

3.3%

BPO Properties Ltd.

3.1%

Royal Bank of Canada

2.8%

Canadian Treasury Bills

2.7%

Pacific Rubiales Energy Corp.

2.7%

Bank of Montreal

2.5%

Petrobank Energy and Resources Ltd.

2.5%

Franco-Nevada Corporation

2.5%

Enbridge Inc.

2.3%


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FOR FURTHER INFORMATION PLEASE CONTACT:

Canadian General Investments, Limited

Jonathan A. Morgan

President and CEO

Phone: (416) 366-2931

Fax: (416) 366-2729

e-mail: cgifund@mmainvestments.com

website: www.mmainvestments.com

Closed-End Funds
  Balanced Market Change
 CGI $15.38  -$0.37 
PREFERRED SHARES
 CWF $ 3.55  $0.02 
 THD $27.75  $0.21 
Pooled Funds
  NAV Change
Income $13.60  -$0.03
Growth $11.77  $0.32
Global $ 9.80  $0.32
Balanced $ 9.45  $0.14