SMG » Topics » Performance Graph

This excerpt taken from the SMG DEF 14A filed Dec 20, 2006.
Performance Graph
 
The following line graph compares the yearly percentage change in the Company’s cumulative total shareholder return (as measured by dividing (i) the sum of (A) the cumulative amount of dividends for the measurement period, assuming dividend reinvestment, and (B) the difference between the price of the Company’s common shares at the end and the beginning of the measurement period; by (ii) the price of the Company’s common shares at the beginning of the measurement period) against the cumulative total return of (a) Standard & Poor’s Household Products Index (“S&P Household Products”); and (b) the Russell 2000 Index (the “Russell 2000”); each for the period from September 28, 2001 (the last trading day of the Company’s fiscal year ended September 30, 2001) to September 30, 2006 (the last trading day of the 2006 fiscal year was September 29, 2006). The comparison assumes $100 was invested on September 28, 2001 in the Company’s common shares and in each of the foregoing indices, assumes reinvestment of any dividends paid and takes into account all stock splits during such period.
 
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