Overview

How This Account Works

THIS ACCOUNT IS BASED ON A BLENDED PERFORMANCE OF GOVERNMENT OF CANADA 91-DAY TREASURY BILLS (40%), THE FTSE UNIVERSE BOND TOTAL RETURN INDEX (40%) AND THE S&P/TSX 60 TOTAL RETURN INDEX(20%). 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 June 23, 2001
Asset class Canadian Balanced

About the Index

ABOUT THE FTSE CANADA UNIVERSE BOND INDEX The FTSE Canada Universe Bond Index tracks the bond price of all investment grade (BBB or better) government and corporate bonds in Canada.

ABOUT THE S&P/TSX 60 INDEX The S&P/TSX 60 index tracks the common share price of 60 leading companies in leading industries represented on the TSX 300. The companies selected represent important industry segments within Canada. The S&P/TSX 60 provides economic diversity over eleven market sectors that cover everything from Technology to Communication Services and Health Care.

Index Details

Benchmark name Conservative Balanced Total Return Index (CAD)
Managed by Manulife Investment Division - General Account

Performance

Performance of Conservative Balanced Index Account

Compound Returns (%)

Product 1 mth 3 mth 6 mth YTD 1 yr 3 yr 5 yr 10 yr Inception
Navi-vision (Prior to June 9, 1999) (2.50%*) 1.84 1.51 4.13 1.91 5.41 5.02 2.19 1.83 1.95
Navi-vision (On or after June 9, 1999) (2.50%*) 1.84 1.51 4.13 1.91 5.41 5.02 2.19 1.83 1.95

Navi-vision (Prior to June 9, 1999) (2.50%*)

1 mth 1.84
3 mth 1.51
6 mth 4.13
YTD 1.91
1 yr 5.41
3 yr 5.02
5 yr 2.19
10 yr 1.83
Inception 1.95

Navi-vision (On or after June 9, 1999) (2.50%*)

1 mth 1.84
3 mth 1.51
6 mth 4.13
YTD 1.91
1 yr 5.41
3 yr 5.02
5 yr 2.19
10 yr 1.83
Inception 1.95

Calendar Returns (%)

Product 2018 2019 2020 2021 2022 2023 2024 2025
Navi-vision (Prior to June 9, 1999) (2.50%*) -2.83 4.97 3.09 1.58 -7.37 4.48 4.91 4.95
Navi-vision (On or after June 9, 1999) (2.50%*) -2.83 4.97 3.09 1.58 -7.37 4.48 4.91 4.95

Navi-vision (Prior to June 9, 1999) (2.50%*)

2018 -2.83
2019 4.97
2020 3.09
2021 1.58
2022 -7.37
2023 4.48
2024 4.91
2025 4.95

Navi-vision (On or after June 9, 1999) (2.50%*)

2018 -2.83
2019 4.97
2020 3.09
2021 1.58
2022 -7.37
2023 4.48
2024 4.91
2025 4.95

Performance of Conservative Balanced 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
2.05 2.14 5.48 2.32 8.07 7.75 4.79 4.37
1 mth 2.05
3 mth 2.14
6 mth 5.48
YTD 2.32
1 yr 8.07
3 yr 7.75
5 yr 4.79
10 yr 4.37
Inception

Calendar Returns (%)

2018 2019 2020 2021 2022 2023 2024 2025
-0.38 7.66 5.30 4.19 -5.18 7.12 7.78 7.63
2018 -0.38
2019 7.66
2020 5.30
2021 4.19
2022 -5.18
2023 7.12
2024 7.78
2025 7.63

Portfolio Allocation as of January 31, 2026

Asset Allocation (%)

Name Weight %
Cash and equivalents 40.58%
Fixed income 39.97%
Equities 19.45%

Geographic Allocation (%)

Name Weight %
Canada 98.77%
United States 0.98%
Bermuda 0.11%
Philippines 0.10%
France 0.05%

Top 5 Bond Holdings (%)

Name Weight %
Government of Canada 91-Day Treasury Bills Rate 40.00%
Gov. of Canada, 3%, 6/1/2034 0.76%
Gov. of Canada, 1%, 6/1/2027 0.64%
Gov. of Canada, 2.75%, 5/1/2027 0.55%
Gov. of Canada, 1.25%, 6/1/2030 0.49%

Top 5 Equity Holdings (%)

Name Weight %
Royal Bank of Canada Com 1.36%
Shopify Inc. Cl A Sub Vtg Shs 0.93%
Toronto-Dominion Bank Com New 0.92%
Enbridge Inc. Com 0.62%
Brookfield Corporation Vtg Shs Cl A 0.57%

Distributions

Start Date
End Date
Effective Date Net Asset Value
2026/04/02 $158.6722
2026/04/01 $158.6792
2026/03/31 $157.7753
2026/03/30 $157.4972
2026/03/27 $157.5706
2026/03/26 $158.3126
2026/03/25 $157.4831
2026/03/24 $157.6888
2026/03/23 $156.9829
2026/03/20 $158.0397
2026/03/19 $158.3849
2026/03/18 $159.1376
2026/03/17 $158.9378
2026/03/16 $158.2569
2026/03/13 $158.4266
2026/03/12 $158.8737
2026/03/11 $159.3606
2026/03/10 $159.4454
2026/03/09 $159.1396
2026/03/06 $159.9367
2026/03/05 $160.4875
2026/03/04 $160.3691
2026/03/03 $161.0401
2026/03/02 $161.1591
2026/02/27 $161.2652
2026/02/26 $160.8866
2026/02/25 $160.7400
2026/02/24 $160.6291
2026/02/23 $160.6243
2026/02/20 $160.4274
2026/02/19 $160.3089
2026/02/18 $159.8426
2026/02/17 $159.8959
2026/02/13 $159.2918
2026/02/12 $159.6855
2026/02/11 $159.6993
2026/02/10 $159.3395
2026/02/09 $158.8310
2026/02/06 $158.4540
2026/02/05 $158.7908
2026/02/04 $158.5571
2026/02/03 $158.5332
2026/02/02 $158.2439
2026/01/30 $159.1704
2026/01/29 $159.1765
2026/01/28 $159.1670
2026/01/27 $159.3827
2026/01/26 $159.2382
2026/01/23 $159.1515
2026/01/22 $158.9861
2026/01/21 $158.8104
2026/01/20 $159.4229
2026/01/19 $159.4866
2026/01/16 $159.5844
2026/01/15 $159.4062
2026/01/14 $159.2200
2026/01/13 $159.2625
2026/01/12 $159.1378
2026/01/09 $158.8505
2026/01/08 $158.6196
2026/01/07 $158.6950
2026/01/06 $158.5943
2026/01/05 $158.0910
2026/01/02 $158.1353
2025/12/31 $158.3220
2025/12/30 $158.4792
2025/12/29 $158.4727
2025/12/24 $158.4275
2025/12/23 $158.1761
2025/12/22 $157.9787
2025/12/19 $157.8450
2025/12/18 $157.5703
2025/12/17 $157.7142
2025/12/16 $157.8899
2025/12/15 $157.7727
2025/12/12 $157.9037
2025/12/11 $157.7508
2025/12/10 $157.3247
2025/12/09 $157.4448
2025/12/08 $157.5848
2025/12/05 $158.3692
2025/12/04 $158.2139
2025/12/03 $158.0657
2025/12/02 $158.0850
2025/12/01 $158.7565
2025/11/28 $158.6636
2025/11/27 $158.6217
2025/11/26 $158.2946
2025/11/25 $157.8372
2025/11/24 $157.3884
2025/11/21 $157.0218
2025/11/20 $157.1834
2025/11/19 $156.9767
2025/11/18 $157.1310
2025/11/17 $157.4335
2025/11/14 $157.5145
2025/11/13 $158.2189
2025/11/12 $157.6972
2025/11/11 $157.5682
2025/11/10 $157.1993
2025/11/07 $157.4104
2025/11/06 $157.4583
2025/11/05 $157.1163
2025/11/04 $157.6168
2025/11/03 $157.6626
2025/10/31 $157.5600
2025/10/30 $157.4542
2025/10/29 $158.1972
2025/10/28 $158.0068
2025/10/27 $157.8369
2025/10/24 $157.6143
2025/10/23 $157.5307
2025/10/22 $157.4324
2025/10/21 $157.9408
2025/10/20 $157.4932
2025/10/17 $157.7555
2025/10/16 $157.8204
2025/10/15 $157.4787
2025/10/14 $156.8315
2025/10/10 $157.1696
2025/10/09 $157.3903
2025/10/08 $157.3732
2025/10/07 $157.4572
2025/10/06 $157.5758