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Acuity 2007 Flow-Through Limited Partnership

The Partnership is an Ontario limited partnership with an investment objective to provide for a tax-assisted investment in a diversified portfolio of flow-through shares of resource issuers with a view to earning income and achieving capital appreciation for the limited partners of the Partnership.

Net Asset Value

The net asset value ("NAV") per unit is updated monthly and posted to the website.

Date NAV PU
April 30, 2008 $15.61
March 31, 2008 $13.93
February 29, 2008 $14.23
January 31, 2008 $12.08
December 31, 2007 $12.38
November 30, 2007 $12.44
October 31, 2007 $14.39
September 28, 2007 $13.91
August 31, 2007 $13.53
July 31, 2007 $15.84
June 30, 2007 $17.15
May 31, 2007 $18.65

Financial Reports, Prospectus and Press Releases

Quarterly Portfolio Disclosure
March 31, 2008

Quarterly Portfolio Disclosure
December 31, 2007

Acuity 2007 Flow-Through Limited Partnership Annual Management Report of Fund Performane for the year ended December 31, 2007

Acuity 2007 Flow-Through Limited Partnership Financial Statements

Management Report of Fund Performance for the six months ended
June 30, 2007

Acuity 2007 Flow-Through Limited Partnership Financial Statements

Quarterly Portfolio Disclosure
September 30, 2007

Quarterly Portfolio Disclosure
March 31, 2007

Acuity 2007 Flow-Through Limited Partnership Prospectus
January 30, 2007