Overview

Quick Facts

Daily Price

$10.9114
-0.17% (-$0.02)
June 28, 2024

Summary Stats

Asset Class Global Neutral Balanced
Risk Low to Medium
MER 1 2.32%
Net Assets $294.62 M
Inception Date May 25, 2021
Fund Status Open
Geographic Allocation
A map of the world.
A map of the world.

Geographic Allocation

A map of the world.
A map of the world.

Growth of $10,000

A chart thumbnail displaying change in value of $10,000 invested in this fund.
A chart thumbnail displaying change in value of $10,000 invested in this fund. 

Underlying Fund

Manulife Global Monthly High Income Fund

Underlying Fund Manager

Manulife Investment Management Limited

Portfolio Sub-Advisor

Manulife Investment Management (US) LLC

Portfolio Managers

Prakash Chaudhari, Jonathan Popper, Thomas C. Goggins, Kisoo Park, Christopher Chapman

Investment Objective

The Fund seeks to provide long-term total return by investing primarily in a diversified portfolio of Canadian and foreign equity, fixed income and money market securities.

Fund Codes

LL FE NLCB4 NLCB2 F-Class PSF
MPS4611 MPS4619
Fund Status Open Open
MPS4609 MPS4620 MPS4503
Fund Status Open SWO Open
MPS4610
Fund Status SWO

F-Class, PSF

LL
FE
NLCB4
NLCB2
F-Class MPS4611 Open
PSF MPS4619 Open

Front-end, NLCB (selected)

LL
FE MPS4609 Open
NLCB4 MPS4620 SWO
NLCB2 MPS4503 Open
F-Class
PSF

Low-load

LL MPS4610 SWO
FE
NLCB4
NLCB2
F-Class
PSF
LL FE NLCB4 NLCB2 F-Class PSF
F-Class, PSF MPS4611 MPS4619
Fund Status Open Open
Front-end, NLCB MPS4609 MPS4620 MPS4503
Fund Status Open SWO Open
Low-load MPS4610
Fund Status SWO

Performance ±

Growth Chart

Jump to Range
Total return for this timeframe
Growth Chart

Compound Returns (%)

1 month 3 months 6 months YTD 1 year 3 years 5 years 10 years Inception
2.38 0.83 7.84 5.39 14.87 3.30 3.55
2.28 0.55 7.24 4.90 13.60 2.16 2.41
2.27 0.50 7.14 4.82 13.39 1.97 2.22

F-Class, PSF

1 month 2.38
3 months 0.83
6 months 7.84
YTD 5.39
1 year 14.87
3 years 3.30
5 years
10 years
Inception 3.55

Front-end, NLCB

1 month 2.28
3 months 0.55
6 months 7.24
YTD 4.90
1 year 13.60
3 years 2.16
5 years
10 years
Inception 2.41

Low-load

1 month 2.27
3 months 0.50
6 months 7.14
YTD 4.82
1 year 13.39
3 years 1.97
5 years
10 years
Inception 2.22
1 month 3 months 6 months YTD 1 year 3 years 5 years 10 years Inception
F-Class, PSF 2.38 0.83 7.84 5.39 14.87 3.30 3.55
Front-end, NLCB (selected) 2.28 0.55 7.24 4.90 13.60 2.16 2.41
Low-load 2.27 0.50 7.14 4.82 13.39 1.97 2.22

Calendar Returns (%)

2021 2022 2023
-18.12 17.19
-19.02 15.90
-19.17 15.69

F-Class, PSF

2021
2022 -18.12
2023 17.19

Front-end, NLCB

2021
2022 -19.02
2023 15.90

Low-load

2021
2022 -19.17
2023 15.69
2021 2022 2023
F-Class, PSF -18.12 17.19
Front-end, NLCB (selected) -19.02 15.90
Low-load -19.17 15.69

Portfolio Allocation as of April 30, 2024

Asset Allocation (%)

Asset Allocation pie chart. See following table for detailed information. The pie slices display the relative value of each table entry.

Asset Allocation pie chart.
Name Weight %
Equities 59.69
Fixed income 34.00
Cash and equivalents 6.58

Geographic Allocation (%)

Geographic Allocation pie chart. See following table for detailed information. The pie slices display the relative value of each table entry.

Geographic Allocation pie chart.
Name Weight %
United States 45.77
Canada 25.87
United Kingdom 9.10
Ireland 2.88
Bermuda 2.68
France 1.94
Indonesia 1.36
Netherlands 1.16
New Zealand 1.00
Australia 0.89
Other 7.34

Sector Allocation (%)

Sector Allocation pie chart. See following table for detailed information. The pie slices display the relative value of each table entry.

Sector Allocation pie chart.
Name Weight %
Information tech. 24.20
Financials 21.22
Industrials 14.13
Communication serv. 11.91
Consumer staples 7.81
Health care 6.52
Cons. discrectionary 5.48
Utilities 4.99
Energy 3.73

Fixed Income Allocation (%)

Fixed Income Allocation table combined with a bar chart. The bars are under each row, representing the relative value of each table entry.

International government bonds 20.18
U.S. investment grade bonds 15.39
U.S. high yield bonds 15.11
U.S. Mortgage-backed Securities 13.07
U.S. government bonds 10.85
International investment grade bonds 6.09
U.S. Corporate Bonds 3.39
International high yield bonds 2.73
Floating rate bank loans 2.67
U.S. municipal bonds 1.94
Other 8.58

Top 10 Holdings (%)

Name Weight %
Microsoft Corp. 2.89
Brookfield Corporation Vtg Shs Cl A 2.84
Alphabet Inc. Cl A 2.83
UnitedHealth Group Inc. 2.79
Bunzl PLC Shs 2.69
Brookfield Infrastructure Partners L.P. Partnership Units 2.69
Berkshire Hathaway Inc. Cl B New 2.66
Alimentation Couche-Tard Inc. 2.65
Charter Communications Inc. Cl A 2.62
Aon PLC Shs Cl A 2.62

Historical Net Asset Values

Fees

 
Low-load
Front-end, NLCB (selected)
F-Class, PSF
Management Fee (%) Insurance Fee (%) Management Expense Ratio (%)
2.21 0.00 2.50
2.07 0.00 2.32
1.07 0.00 1.20

Low-load

Management Fee (%) 2.21
Insurance Fee (%) 0.00
Management Expense Ratio (%) 2.50

Front-end, NLCB

Management Fee (%) 2.07
Insurance Fee (%) 0.00
Management Expense Ratio (%) 2.32

F-Class, PSF

Management Fee (%) 1.07
Insurance Fee (%) 0.00
Management Expense Ratio (%) 1.20
Management Fee (%) Insurance Fee (%) Management Expense Ratio (%)
F-Class, PSF 1.07 0.00 1.20
Front-end, NLCB (selected) 2.07 0.00 2.32
Low-load 2.21 0.00 2.50