Overview

How This Account Works

THIS ACCOUNT IS LINKED TO THE PERFORMANCE OF THE S&P 500 TOTAL RETURN INDEX (CAD). When you invest in this account, you do not acquire an interest in this underlying index or purchase any units or legal interest in any security.

Account Details

Inception date May 23, 2014
Asset class U.S. Equity

About the Index

The S&P 500 Composite Index tracks the common share price of 500 leading American companies. These are generally large companies that dominate their industries in the United States. The S&P 500 represents approximately 90 different industries from the industrial, transportation, finance and utility sectors.

Index Details

Benchmark name S&P 500 Total Return Index (CAD)
Managed by Manulife Investment Division - General Account

Performance

Performance of American Equity Index Account

Compound Returns (%)

Product 1 mth 3 mth 6 mth YTD 1 yr 3 yr 5 yr 10 yr Inception
Manulife UL (1.15%*) -0.65 -1.96 5.66 -0.07 9.08 20.38 14.43 14.26 14.43

Manulife UL (1.15%*)

1 mth -0.65
3 mth -1.96
6 mth 5.66
YTD -0.07
1 yr 9.08
3 yr 20.38
5 yr 14.43
10 yr 14.26
Inception 14.43

Calendar Returns (%)

Product 2018 2019 2020 2021 2022 2023 2024 2025
Manulife UL (1.15%*) 2.53 23.82 14.65 26.34 -13.17 21.98 34.23 11.12

Manulife UL (1.15%*)

2018 2.53
2019 23.82
2020 14.65
2021 26.34
2022 -13.17
2023 21.98
2024 34.23
2025 11.12

Performance of S&P 500 Total Return Index (CAD)

Growth of $10,000 over 10 years ±

Start Date
End Date

Compound Returns (%)

1 mth 3 mth 6 mth YTD 1 yr 3 yr 5 yr 10 yr Inception
-0.56 -1.69 6.26 0.11 10.35 21.78 15.76 15.58
1 mth -0.56
3 mth -1.69
6 mth 6.26
YTD 0.11
1 yr 10.35
3 yr 21.78
5 yr 15.76
10 yr 15.58
Inception

Calendar Returns (%)

2018 2019 2020 2021 2022 2023 2024 2025
3.72 25.26 15.98 27.81 -12.17 23.39 35.80 12.42
2018 3.72
2019 25.26
2020 15.98
2021 27.81
2022 -12.17
2023 23.39
2024 35.80
2025 12.42

Portfolio Allocation as of January 31, 2026

Geographic Allocation (%)

Name Weight %
United States 100.00%

Top 10 Holdings (%)

Name Weight %
S&P 500 Composite Total Return Index ($Cdn) 100.00%

Distributions

Start Date
End Date
Effective Date Net Asset Value
2026/04/02 $475.3790
2026/04/01 $473.3600
2026/03/31 $460.2043
2026/03/30 $461.0164
2026/03/27 $467.7847
2026/03/26 $474.3744
2026/03/25 $470.1809
2026/03/24 $470.7299
2026/03/23 $465.2571
2026/03/20 $472.9693
2026/03/19 $474.0253
2026/03/18 $479.1500
2026/03/17 $477.7875
2026/03/16 $474.0752
2026/03/13 $474.2468
2026/03/12 $479.8877
2026/03/11 $479.8357
2026/03/10 $481.1151
2026/03/09 $476.4262
2026/03/06 $486.7054
2026/03/05 $488.2575
2026/03/04 $485.7930
2026/03/03 $490.2845
2026/03/02 $488.7811
2026/02/27 $492.3633
2026/02/26 $494.8585
2026/02/25 $491.7340
2026/02/24 $487.8857
2026/02/23 $492.4382
2026/02/20 $489.0151
2026/02/19 $490.9277
2026/02/18 $486.0753
2026/02/17 $485.5326
2026/02/13 $484.3161
2026/02/12 $490.7741
2026/02/11 $489.9394
2026/02/10 $491.8119
2026/02/09 $493.6799
2026/02/06 $485.4569
2026/02/05 $489.7404
2026/02/04 $491.4284
2026/02/03 $497.1025
2026/02/02 $491.9793
2026/01/30 $489.6304
2026/01/29 $492.7150
2026/01/28 $493.4641
2026/01/27 $496.2222
2026/01/26 $493.4848
2026/01/23 $496.4348
2026/01/22 $495.4589
2026/01/21 $489.9032
2026/01/20 $501.3846
2026/01/19 $503.0347
2026/01/16 $502.5135
2026/01/15 $500.9056
2026/01/14 $503.9308
2026/01/13 $504.4876
2026/01/12 $504.9076
2026/01/09 $499.8944
2026/01/08 $499.7705
2026/01/07 $499.8514
2026/01/06 $495.2130
2026/01/05 $490.7139
2026/01/02 $489.1245
2025/12/31 $492.0157
2025/12/30 $492.4992
2025/12/29 $493.5467
2025/12/24 $492.6620
2025/12/23 $492.6370
2025/12/22 $491.3661
2025/12/19 $486.1999
2025/12/18 $482.7394
2025/12/17 $487.2447
2025/12/16 $488.9100
2025/12/15 $489.7742
2025/12/12 $495.0105
2025/12/11 $494.7899
2025/12/10 $493.3675
2025/12/09 $494.2106
2025/12/08 $494.4845
2025/12/05 $498.5124
2025/12/04 $497.6780
2025/12/03 $496.9171
2025/12/02 $496.7362
2025/12/01 $498.5725
2025/11/28 $497.8376
2025/11/27 $498.3218
2025/11/26 $496.8210
2025/11/25 $492.7003
2025/11/24 $484.9703
2025/11/21 $480.0681
2025/11/20 $486.0212
2025/11/19 $482.1076
2025/11/18 $488.4017
2025/11/17 $491.7701
2025/11/14 $492.3919
2025/11/13 $499.6195
2025/11/12 $499.7356
2025/11/11 $498.8299
2025/11/10 $492.0302
2025/11/07 $493.9364
2025/11/06 $499.2566
2025/11/05 $497.2833
2025/11/04 $501.4945
2025/11/03 $498.9866
2025/10/31 $496.8179
2025/10/30 $500.2655
2025/10/29 $500.4148
2025/10/28 $500.8685
2025/10/27 $495.0197
2025/10/24 $490.9986
2025/10/23 $488.2392
2025/10/22 $491.8913
2025/10/21 $492.3872
2025/10/20 $486.6137
2025/10/17 $485.2490
2025/10/16 $487.9615
2025/10/15 $486.0594
2025/10/14 $486.5240
2025/10/10 $491.7979
2025/10/09 $490.7355
2025/10/08 $487.8797
2025/10/07 $489.5195
2025/10/06 $488.0427