Manulife mercer canadian equity fund.
An unconstrained approach with maximum flexibility.
- Manulife mercer canadian equity fund. Canadian Equity Growth Fund (CC&L) Manulife Canadian Q Growth Fund (CC&L) December 31, 2016 Connor, Clark & Lunn Investment Management Ltd. 86% Manulife US Equity Index Fund (MAM) 13. ca The Quantitative Fair Value Estimate is based on a statistical model derived from the Fair Value Estimate Morningstar’s equity analysts assign to companies which includes a financial forecast of the company. 84% Volatility meter Low High Fund (15) Benchmark (17) Based on 3 year standard deviation Canadian Large Cap equity Code 7681 / LCap Manulife Canadian Equity Fund (MFS) Sep 30, 2024 · Manulife Canadian Balanced Fund 11: OVERALL RATING: 3 YR RATING: 5 YR RATING: 10 YR RATING: YTD: Canadian Equity. The fund may seek to accomplish its objective by investing in securities of other mutual funds. 04% Volatility meter Low High Fund (13) Benchmark (17) Based on 3 year standard deviation Canadian Large Cap equity Code 7813 / LVCtd Manulife Low Volatility Canadian Equity Fund (TDAM) Canadian National Railway Co 3. 14% Alimentation Couche-Tard Inc 3. THIS ACCOUNT IS LINKED TO THE PERFORMANCE OF THE MANULIFE ASSET MANAGEMENT CANADIAN EQUITY INDEX POOLED FUND, which provides a rate of return based on the performance of the S&P/TSX Capped Composite Total Return Index. MFS Global Equity Growth 11. So take a Dec 31, 2023 · Manulife Mutual Funds, Manulife Private Investment Pools, Manulife Closed-End Funds and Manulife Exchange-Traded Funds (ETFs) are managed by Manulife Investment Management Limited. 78% Power Corporation of Canada 3. 94% MFS Global Equity Value 4. 42% Bank of Nova Scotia 4. 16% Telus Corp 3. 95% MFS Global Equity Growth 10. The Manufacturers Life Insurance Company is the issuer of guaranteed insurance contracts, annuities and insurance contracts containing Manulife segregated funds. Glide path extending through retirement. 97% MFS International Equity 12. 87% MAM Strategic Income Pooled 17. 88% MFS Low Volatility Canadian Equity 3. Canadian Large Cap equity Code 7665 / CeVSL Manulife MIM Canadian Value Equity Fund Note: All rates of return are shown before investment management fees or taxes have been deducted. S. The process benefits from the depth of its portfolio management team. 12% Rogers Communications Inc 3. 92% MFS Canadian Research Equity 7. Equity Fund within the Canada Fund US Equity category: 1 year period, n/a stars & 1137 funds, 3 year period, 2 stars & 982 funds, 5 year period, 2 stars & 860 funds, 10 year period, 3 stars & 538 funds. 02% MFS Global Research 9. 58% Canfor Corp 4. Mid-Cap Equity GIF Select. Mid-Cap Equity Seg RESP; Learn more about the estate planning advantages of segregated fund contracts. 05% MFS Global Equity Value 11. Equity Core 12. Manulife Canadian Equity Fund (Mawer) - ($22,624) S&P/TSX Composite TR - ($14,386) Mawer Canadian Equity Pooled Fund Primary investment process Fundamental, Bottom-up Equity style and capitalization Value Core/Blend Growth Large Medium Small All cap UNDERLYING FUND -> Mawer Canadian Equity Pooled Fund Global Equity Fund and the RBC Global Equity Focus Fund, essentially a split between a quantitative mandate and a fundamental mandate. Lead manager(s): Tyler Hewlett Investment style: Small Cap Investment objective: To invest in a portfolio of small-cap growth companies with significant capital appreciation potential. 42% MAM EAFE Equity Index Pooled 15. 53% MAM Canadian Bond Index Pooled 6. 29% MAM Cdn Eq Index Pooled Fund 26. As a result, the Manulife Asset Management International Equity Fund (fund code 8138/MAMIE) will close and, we’ll need to replace the underlying fund for the followings segregated funds: Quantitative Fair Value Estimate represents Morningstar’s estimate of the per share dollar amount that a company’s equity is worth today. 02% MAM US Equity Index Pooled Fund 20. 94% MFS Global Real Estate 4. 2 Capped to all new purchases. 08% MLI Cdn Large Cap Value Eq (MAM) 4. Lead manager(s): Mark Thomson Investment style: Value Investment objective: This fund seeks long-term capital appreciation primarily through investment in common shares and other equity securities of established Manulife CC&L Group Fundamental Canadian Equity Fund December 31, 2016 Connor, Clark & Lunn Investment Management Ltd. An unconstrained approach with maximum flexibility. The fund tends to outperform in down markets, and underperform in more equity markets, where the Fund’s lower volatility approach could be expected to lag. 04% MFS Global Real Estate 10. Charting, Tear Sheets, Fund Holdings & more. 36% MFS Low Volatility Global Equity 7. 77% MLI Cdn Mortgage (MFC) 2. Sep 30, 2024 · At Manulife, we’re focused on giving you the tools you need. 96% MFS Canadian Research Equity 7. 07% Franco-Nevada Corp 2. The fund tends to outperform in down markets, and underperform in more speculative, momentum -driven markets as investment quality is given a higher level of importance within this fund. Canadian Pacific Railway Ltd 4. Lead manager(s): CC&L Quantitative Equity Team; Steve Huang (Team Lead) Investment style: Growth Investment objective: Maximize long-term total return relative to the S&P/TSX Composite Index through prudent Manulife Financial Corp 3. 89% The Canadian Equity Fund (Jarislowsky Fraser) is a bottom-up, GARP Canadian equity mandate that focuses on investing in larger cap, non-cyclical growth companies. 1, 5,6,11. 97% MFS Canadian Equity 7. 72% Cash & Equivalents 1. 97% Volatility meter Low High Fund (9) Benchmark (9) Based on 3 year standard deviation TargeT DaTe Code 2684 / MB030 Manulife MFS LifePlan Retirement MFS International Equity 14. Lead manager(s): CC&L Quantitative Equity Team; Steve Huang (Team Lead) Investment style: Growth Investment objective: Maximize long-term total return relative to the S&P/TSX Composite Index through prudent Canadian Equity Fund (Beutel Goodman) Manulife Canadian Equity Fund (Beutel Goodman) December 31, 2016 Beutel, Goodman & Company Ltd. Equity Fund within the Canada Fund US Equity category: 1 year period, n/a stars & 1137 funds, 3 year period, 3 stars & 982 funds, 5 year period, 3 stars & 860 funds, 10 year period, 4 stars & 538 funds. 02% MFS Global Research 10. The Global Equity Fund replaces the U. Global Small/Mid Cap Equity. CF). 45% MFS Low Volatility Global Equity 7. 55% MLI Cdn Mortgage (MFC) 0. Equity Fund and the Overseas Equity Fund. 33% Manulife Canadian Real Estate Investment Fund 3. See full list on funds. Our long-standing track record of managing target-date funds for sponsors and members since 2005, coupled with an approach that uses both active and passive managers, offers multiple price points, exposure to private assets, and is ESG inclusive. 93% Volatility meter Low High Fund (15) Benchmark (17) Based on 3 year standard deviation Canadian Large Cap equity Code 7582 / Cepyr Manulife Canadian Equity Institutional Fund (Fidelity) Note: All rates of return are shown before investment management fees or taxes have been deducted. 96% MFS Global Research 4. The 4% emerging markets allocation goes to the RBC Emerging Market Equity Fund managed by Philippe Langham, Head of Global. 95% MAM Cdn Eq Index Pooled Fund 15. 60% Volatility meter Low High Fund (21) Benchmark (17) Based on 3 year standard deviation Canadian Large Cap equity Code 7383 / CaFgp Manulife Canadian Equity Fund (Foyston, Gordon & Payne) Manulife Mawer Canadian Equity Fund - ($21,854) S&P/TSX Composite TR - ($14,386) Mawer Canadian Equity Pooled Fund Primary investment process Fundamental, Bottom-up Equity style and capitalization Value Core/Blend Growth Large Medium Small All cap UNDERLYING FUND -> Mawer Canadian Equity Pooled Fund Dec 13, 2022 · The Manufacturers Life Insurance Company (Manulife) is the issuer of Manulife segregated fund contracts and the guarantor of any guarantee provisions therein. The Manufacturers Life Insurance Company is the issuer of guaranteed insurance contracts, annuities and insurance contracts containing Manulife segregated funds. Manulife Investment Management is a trade name of Manulife Investment Management Limited and The Manufacturers Life Insurance Company. 99% Volatility meter Low High Fund (12) Benchmark (13) Canadian National Railway Co 4. Manulife Canadian Equity Class * 1,5,6,11 Manulife Canadian Investment Class * 1, 5,6,11 Manulife Dividend Income Manulife CC&L Group Fundamental Canadian Equity Fund - ($22,804) S&P/TSX Composite TR - ($18,364) CC&L Group Fundamental Canadian Equity Fund Primary investment process Fundamental, Bottom-up Equity style and capitalization Value Core/Blend Growth Large Medium Small All cap UNDERLYING FUND -> CC&L Group Fundamental Canadian Equity Fund The Manufacturers Life Insurance Company is the issuer of guaranteed insurance contracts, annuities and insurance contracts containing Manulife segregated funds. Canadian Tire Corporation Ltd 3. The Quantitative Fair Value Estimate is based on a statistical model derived from the Fair Value Estimate Morningstar’s equity analysts assign to companies which includes a financial forecast of the Sep 23, 2021 · Manulife Canadian Dividend Growth Fund. 98% MAM Canadian Large Cap Growth Pooled 2. 98% MFS Global Real Estate 8. Manulife FIAM Canadian Focused Equity Fund December 31, 2016 Fidelity Institutional Asset Management Lead manager(s): Joe Overdevest Investment style: Core Investment objective: The investment objective is to seek long-term capital appreciation by investing in a concentrated portfolio of Canadian equities. Lead manager(s): Mark Thomson Investment style: Value Investment objective: The objective of the Fund is to maximize portfolio returns through capital enhancement and investment income 1 As of June 30, 2024, shown in Canadian dollars. Manulife Investment Management is a trade name of Manulife. 12% Agnico Eagle Mines Ltd 3. 03% MFS Low Volatility Canadian Equity 3. 37% Brookfield Asset Management Inc 4. Canadian Large Cap equity Code 7852 / CCeq Manulife Capped Canadian Equity Fund (MIM) Note: All rates of return are shown before investment management fees or taxes have been deducted. Apr 24, 2011 · Updated NAV Pricing for Manulife Canadian Equity Class Series F (CADFUNDS: MMF8633. 04% MFS Canadian Equity 7. Fundamental Canadian Equity Fund (Beutel Goodman) Manulife Fundamental Canadian Equity Fund (Beutel Goodman) December 31, 2016 Beutel, Goodman & Company Ltd. MAM Canadian Bond Index Pooled 27. This fund invests primarily outside of North America. 49% Volatility meter Low High Fund (15) Benchmark (17) Based on 3 year standard deviation Canadian Large Cap equity Code 7092 / MiCap Manulife Canadian Equity Fund (Franklin Bissett) Jan 24, 2011 · Updated NAV Pricing for Manulife Canadian Equity Class Advisor Series (CADFUNDS: MMF8533. Apr 20, 2021 · The objective of the Manulife Canadian Equity Class fund is to seek long-term capital appreciation by investing primarily in Canadian equity securities. Canadian equity manager since 2012. 99% MFS Global Real Estate 9. 90% MFS On November 21, 2018, due to organizational changes at the fund manager level, Manulife Asset Management will close their International Equity strategy. IMS commentary The Canadian Equity Fund (Jarislowsky Fraser) is a bottom-up, GARP Canadian equity mandate that focuses on investing in larger cap, noncyclical growth companies. Manulife Guardian Canadian Equity Fund - ($19,353) S&P/TSX Composite Cap TR - ($17,501) Primary investment process Fundamental, Bottom-up Equity style and capitalization Value Core/Blend Growth Large Medium Small All cap UNDERLYING FUND -> Guardian Canadian Jul 31, 2024 · Mercer Global Low Volatility Equity Fund earns a Below Average Process Pillar rating. 55% Open Text Corp 3. 34% Volatility meter Low High Fund (16) Benchmark (17) Based on 3 year standard deviation Canadian Large Cap equity Code 7635 / BgFCe Manulife Fundamental Canadian Equity Fund (Beutel Goodman) Note: All rates of return are shown before investment management fees or taxes have been deducted. 83% Volatility meter Low High Fund (17) Benchmark (17) Based on 3 year standard deviation Canadian Large Cap equity Code 7242 / naeJF Manulife Canadian Equity Fund (Jarislowsky Fraser) Note: All rates of return are shown before investment management fees or taxes have been deducted. American Equity Fund (MFS) Manulife American Equity Fund (MFS) December 31, 2016 MFS Investment Management Canada Limited Lead manager(s): Kevin Beatty, Ted Maloney Investment style: Core Investment objective: To outperform the S&P 500 Index (net dividends reinvested) over a full market cycle and to Canadian Pacific Railway Ltd 3. 99% Volatility meter Low High Fund (12) Benchmark (13) Based on 3 year standard deviation Canadian Equity Growth Fund (CC&L) Manulife Canadian Q Growth Fund (CC&L) December 31, 2018 Connor, Clark & Lunn Investment Management Ltd. 35% MAM Canadian Large Cap Growth Pooled 4. 45% Canadian Small-Cap Equity Fund (BMO Asset Management) Manulife BMO AM Canadian Small-Cap Equity Fund December 31, 2018 BMO Asset Management Inc. Manulife FIAM Canadian Core Equity Fund Fidelity Institutional Asset Management December 31, 2017 Lead manager(s): Andrew Marchese Investment style: Core Investment objective: To seek long-term capital appreciation by investing in a diversified portfolio of Canadian equities. How This Account Works. 09% MFS Global Research 11. 07% Nutrien Ltd 4. Below is our full list of overall 4 and 5-star rated mutual funds by Morningstar, a leader in independent investment research. Manulife Mutual Funds, Manulife Private Investment Pools, Manulife Closed-End Funds and Manulife Exchange-Traded Funds (ETFs) are managed by Manulife Investment Management Limited. 56% Manulife Canadian Real Estate Investment Fund 2. Manulife makes no representation or warranty, express or implied, as to the accuracy or completeness of the information provided. Over the long term, the Fund is expected to outperform the S&P/TSX Total Return Index. 99% MFS Global Equity Value 10. 02% MFS Canadian Equity 6. Capping is usually only implemented when the portfolio manager of a fund has legitimate concerns that an even larger asset base will likely hinder the fund’s ability to achieve its investment objective effectively and to create value for its investors. This report card is provided by Manulife as a tool to assist you in the governance of your retirement plan. Learn more about: Manulife U. 92% MFS Global Equity Growth 11. 27% Other 0. 33% Guardian Canadian Equity Fund Series W 5. 99% MFS Global Equity Value 9. 12% MAM US Equity Index Pooled Fund 12. Manulife U. The rate of return is used only to illustrate the effects of the compound growth rate and is not intended to reflect the future values or returns in the Fund. 96% MFS Low Volatility Global Equity 7. Canadian National Railway Co 1. 03% Volatility meter Low High Fund (17) Benchmark (17) Based on 3 year standard deviation Canadian Large Cap equity Code 7854 / Ceqi Manulife Canadian Equity Index Fund (MIM) Note: All rates of return are shown before investment management fees or taxes have been deducted. Canadian Large Cap equity Code 7634 / CadBg Manulife Canadian Equity Fund (Beutel Goodman) Note: All rates of return are shown before investment management fees or taxes have been deducted. How the underlying fund is invested Composition Canadian Equity 98. Mid-Cap Equity Private Segregated Pool. The Morningstar Rating + is a quantitative assessment of a fund’s past performance— both return and risk—as measured from one to five stars. 92% MFS Low Volatility Global Equity 7. 61% Volatility meter Low High Fund (6) Benchmark (-) Based on 3 year standard deviation TargeT DaTe Code 2853 / S2025 Manulife Multi-manager Target Date 2025 Fund Canadian Pacific Railway Ltd 2. 35% MAM International Equity Pooled 13. Top holdings within the underlying fund (As at December 31, 2020) MFS U. 56% MLI Cdn Large Cap Value Eq (MAM) 2. Manulife Retirement Date 2030 Fund December 31, 2016 Manulife Asset Management Lead manager(s): Manulife Asset Management Investment style: Target Date Investment objective: The Fund is managed to provide a balance between current income and growth of capital, with emphasis on growth of capital. Global Fixed Income The Manufacturers Life Insurance Company is the issuer of guaranteed insurance contracts, annuities and insurance contracts containing Manulife segregated funds. 88% Loblaw Companies Ltd 3. 89% MAM Strategic Income Pooled 7. MAM EAFE Equity Index Pooled 26. Mid-Cap Equity Fund is available to segregated fund investors with fund options in various contracts. 54% Metro Inc 3. 33% Barrick Gold Corp 2. Manulife Canadian Equity Class within the Canada Fund Canadian Equity category: 1 year period, n/a stars & 590 funds, 3 year period, 5 stars & 526 funds, 5 year period, 5 stars & 450 funds, 10 year period, n/a stars & 305 funds. 01% Equity Industry Financials 35. 07% TC Energy Corp 2. 02% MFS Global Equity Growth 4. Lead manager(s): CC&L Fundamental Equity Team; Gary Baker (Team Lead) Investment style: Core Investment objective: Maximize long-term total return while protecting the capital value of the fund from major market Manulife Canadian Equity Fund (BlackRock) - ($17,296) S&P/TSX Composite Cap TR - ($17,501) Primary investment process Quantitative Equity style and capitalization Value Core/Blend Growth Large Medium Small All cap UNDERLYING FUND -> BlackRock Active Canadian Equity Fund Objective The BlackRock Active Canadian Equity Fund offers investors the Manulife Canadian Equity Class within the Canada Fund Canadian Equity category: 1 year period, n/a stars & 614 funds, 3 year period, 4 stars & 531 funds, 5 year period, 5 stars & 473 funds, 10 year period, n/a stars & 302 funds. Manulife Canadian Equity Class within the Canada Fund Canadian Equity category: 1 year period, n/a stars & 614 funds, 3 year period, 4 stars & 531 funds, 5 year period, 5 stars & 473 funds, 10 year period, n/a stars & 302 funds. 91% MFS Canadian Research Equity 6. 05% Suncor Energy Inc 3. Manulife Global Equity Class seeks to narrow the global opportunity set down to a shortlist of quality names, opting for both large- and small-cap companies that are expected to stand the test of time. 56% Bank of Nova Scotia 3. With 12 portfolio managers at the helm Manulife US Equity Index Fund (MIM) - ($45,451) BM: MAM US Equity index (Net 15% withholding tax) - ($45,652) Primary investment process Index Equity style and capitalization Value Core/Blend Growth Large Medium Small All cap UNDERLYING FUND -> Manulife Investment Management US Equity Index Pooled Fund Manulife MMF Corporate Bond Fund 14. manulife. 39% TC Energy Corp 3. Last meeting date: Q3 2017 Next estimated meeting date: Q3 2018 Manulife Financial Corp 4. 02% MFS Low Volatility Canadian Equity 3. 97% Volatility meter Low High Fund (12) Benchmark (13) Based on 3 year standard deviation InternatIonal equIty Code 8686 / InMFS Manulife International Equity Fund (MFS) All rates of return are shown before investment management fees or taxes have been deducted. Objective The Manulife Asset Management Canadian Equity Fund is managed to provide long term capital growth by investing primarily in equities of issuers located in Canada and listed on a recognized exchange. 27% BCE Inc 3. 62% Canadian Tire Corporation Ltd 3. vfnmtsez scitem ivhm xxc ftiy blbsi cmfem zrcu rkdxft ejof