Overview

How This Account Works

THIS ACCOUNT IS LINKED TO THE PERFORMANCE OF THE MANULIFE ASSET MANAGEMENT CANADIAN BOND INDEX POOLED FUND, which provides a rate of return based on the performance of the FTSE Canada Universe Bond Index Total Return. 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 Canadian Bond

About the Index

The FTSE Canada Universe Bond Index tracks the performance of investment-grade (BBB or better), government and corporate bonds in Canada.

Index Details

Benchmark name FTSE Canada Universe Bond Total Return Index
Managed by Manulife Investment Division - General Account

Performance

Performance of Canadian Bond Index Account

Compound Returns (%)

Product 1 mth 3 mth 6 mth YTD 1 yr 3 yr 5 yr 10 yr Inception
Manulife UL (1.10%*) -0.84 -0.94 -1.05 0.04 1.78 1.67 -1.82 0.56 -0.19

Manulife UL (1.10%*)

1 mth -0.84
3 mth -0.94
6 mth -1.05
YTD 0.04
1 yr 1.78
3 yr 1.67
5 yr -1.82
10 yr 0.56
Inception -0.19

Calendar Returns (%)

Product 2017 2018 2019 2020 2021 2022 2023 2024
Manulife UL (1.10%*) 1.42 0.25 5.71 7.44 -3.64 -12.56 5.61 3.12

Manulife UL (1.10%*)

2017 1.42
2018 0.25
2019 5.71
2020 7.44
2021 -3.64
2022 -12.56
2023 5.61
2024 3.12

Performance of FTSE Canada Universe Bond Total Return Index

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
-0.74 -0.67 -0.51 0.68 2.89 2.74 -0.77 1.66
1 mth -0.74
3 mth -0.67
6 mth -0.51
YTD 0.68
1 yr 2.89
3 yr 2.74
5 yr -0.77
10 yr 1.66
Inception

Calendar Returns (%)

2017 2018 2019 2020 2021 2022 2023 2024
2.52 1.40 6.87 8.67 -2.53 -11.69 6.69 4.23
2017 2.52
2018 1.40
2019 6.87
2020 8.67
2021 -2.53
2022 -11.69
2023 6.69
2024 4.23

Portfolio Allocation as of June 30, 2025

Asset Allocation (%)

Name Weight %
Mutual funds 100.00%

Geographic Allocation (%)

Name Weight %
Canada 100.00%

Top 10 Holdings (%)

Name Weight %
FTSE TMX Universe Bond Total Return Index 100.00%

Distributions

Start Date
End Date
Effective Date Net Asset Value
2025/09/08 $98.9069
2025/09/05 $98.4109
2025/09/04 $98.1479
2025/09/03 $97.7865
2025/09/02 $98.1606
2025/08/29 $97.8534
2025/08/28 $97.6918
2025/08/27 $97.6982
2025/08/26 $97.5839
2025/08/25 $97.7841
2025/08/22 $97.5161
2025/08/21 $97.7586
2025/08/20 $97.7277
2025/08/19 $97.4284
2025/08/18 $97.6488
2025/08/15 $97.9598
2025/08/14 $98.1028
2025/08/13 $97.8367
2025/08/12 $98.1487
2025/08/11 $98.2093
2025/08/08 $98.1643
2025/08/07 $98.1335
2025/08/06 $98.2585
2025/08/05 $98.2286
2025/08/01 $97.8557
2025/07/31 $97.5623
2025/07/30 $97.6501
2025/07/29 $97.3044
2025/07/28 $97.2966
2025/07/25 $97.0805
2025/07/24 $97.0245
2025/07/23 $97.4110
2025/07/22 $97.2956
2025/07/21 $96.8964
2025/07/18 $96.9349
2025/07/17 $96.9009
2025/07/16 $96.7794
2025/07/15 $97.2848
2025/07/14 $97.3585
2025/07/11 $97.9596
2025/07/10 $98.1421
2025/07/09 $97.7800
2025/07/08 $97.9081
2025/07/07 $98.2285
2025/07/04 $98.0255
2025/07/03 $98.1838
2025/07/02 $98.6814
2025/06/30 $98.3827
2025/06/27 $98.2692
2025/06/26 $98.1051
2025/06/25 $98.4489
2025/06/24 $98.4093
2025/06/23 $98.2103
2025/06/20 $98.0069
2025/06/19 $97.9673
2025/06/18 $97.7100
2025/06/17 $97.5435
2025/06/16 $97.7056
2025/06/13 $97.9855
2025/06/12 $97.9429
2025/06/11 $97.9802
2025/06/10 $97.8287
2025/06/09 $97.9688
2025/06/06 $98.5215
2025/06/05 $98.5848
2025/06/04 $98.3594
2025/06/03 $98.6025
2025/06/02 $98.7277
2025/05/30 $98.5652
2025/05/29 $98.3307
2025/05/28 $98.2731
2025/05/27 $97.8367
2025/05/26 $97.6802
2025/05/23 $97.4926
2025/05/22 $97.3410
2025/05/21 $97.8919
2025/05/20 $98.6459
2025/05/16 $98.6732
2025/05/15 $98.0718
2025/05/14 $98.2930
2025/05/13 $98.3463
2025/05/12 $98.5556
2025/05/09 $98.2350
2025/05/08 $98.8002
2025/05/07 $98.4006
2025/05/06 $98.2540
2025/05/05 $98.2203
2025/05/02 $98.6116
2025/05/01 $98.7870
2025/04/30 $98.4593
2025/04/29 $98.2006
2025/04/28 $98.0839
2025/04/25 $98.0382
2025/04/24 $97.7475
2025/04/23 $97.9318
2025/04/22 $97.6210
2025/04/21 $98.3026
2025/04/17 $98.5690
2025/04/16 $98.3672
2025/04/15 $98.2755
2025/04/14 $97.3483
2025/04/11 $97.5808
2025/04/10 $97.9713
2025/04/09 $98.4119
2025/04/08 $98.8045
2025/04/07 $99.8236
2025/04/04 $99.6108
2025/04/03 $99.7974
2025/04/02 $99.8878
2025/04/01 $99.5249
2025/03/31 $99.1959
2025/03/28 $98.7388
2025/03/27 $98.5426
2025/03/26 $98.9501
2025/03/25 $98.9892
2025/03/24 $99.2775
2025/03/21 $99.2988
2025/03/20 $99.3458
2025/03/19 $99.1188
2025/03/18 $99.1301
2025/03/17 $98.8197
2025/03/14 $98.9352
2025/03/13 $98.7360
2025/03/12 $99.1337
2025/03/11 $99.2851
2025/03/10 $99.0152