Overview

How This Account Works

THIS ACCOUNT IS LINKED TO THE PERFORMANCE OF THE MANULIFE CANADIAN INVESTMENT CLASS FUND. When you invest in this account, you do not acquire an interest in this designated fund or purchase any units or legal interest in any security.

Account Details

Inception date May 23, 2014
Asset class Canadian Equity

Underlying Fund Objective

The Fund’s investment objective is long-term capital growth. The Fund seeks to, provide above average long-term returns by investing in large-cap securities of Canadian, companies. Treasury bills or short-term investments, not exceeding three years to maturity may also be used from time to time. The Fund does not invest in foreign securities.

Designated Fund Details

Fund name Manulife Canadian Investment Class
Inception date June 27, 2008
AUM $244.33 million
MER (audited) 2.41%
Number of Positions 51
Managed by Manulife Asset Management Limited
Sub-advisor Mawer Investment Management Ltd.

Performance

Performance of Manulife Canadian Investment Class Account

Compound Returns (%)

Product 1 mth 3 mth 6 mth YTD 1 yr 3 yr 5 yr 10 yr Inception
Manulife UL (0.00%*) 1.80 8.04 8.21 8.21 19.97 12.91 12.58 8.21 8.28

Manulife UL (0.00%*)

1 mth 1.80
3 mth 8.04
6 mth 8.21
YTD 8.21
1 yr 19.97
3 yr 12.91
5 yr 12.58
10 yr 8.21
Inception 8.28

Calendar Returns (%)

Product 2017 2018 2019 2020 2021 2022 2023 2024
Manulife UL (0.00%*) 9.16 -10.15 20.94 2.32 23.56 -5.93 8.94 17.32

Manulife UL (0.00%*)

2017 9.16
2018 -10.15
2019 20.94
2020 2.32
2021 23.56
2022 -5.93
2023 8.94
2024 17.32

Performance of Manulife Canadian Investment Class

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
1.71 7.76 7.67 7.67 18.77 11.78 11.45 7.13 7.74
1 mth 1.71
3 mth 7.76
6 mth 7.67
YTD 7.67
1 yr 18.77
3 yr 11.78
5 yr 11.45
10 yr 7.13
Inception 7.74

Calendar Returns (%)

2017 2018 2019 2020 2021 2022 2023 2024
8.07 -11.04 19.73 1.29 22.32 -6.87 7.86 16.14
2017 8.07
2018 -11.04
2019 19.73
2020 1.29
2021 22.32
2022 -6.87
2023 7.86
2024 16.14

Portfolio Allocation as of May 31, 2025

Geographic Allocation (%)

Name Weight %
Canada 94.91%
Netherlands 3.41%
United States 1.67%

Sector Allocation (%)

Name Weight %
Financials 35.88%
Industrials 16.98%
Information technology 12.72%
Materials 8.76%
Energy 6.77%
Utilities 6.25%
Consumer discretionary 4.92%
Consumer staples 4.80%
Real Estate 2.07%
Communication services 0.84%

Top 10 Holdings (%)

Name Weight %
Royal Bank of Canada Com 4.69%
Canadian Pacific Kansas City Limited Com 4.23%
Toronto-Dominion Bank Com New 4.12%
Canadian Natural Resources Ltd. Com 3.91%
Topicus.com Inc. Sub Vtg Shs 3.41%
Brookfield Corporation Vtg Shs Cl A 3.18%
iA Financial Corp. Inc. Com 3.13%
Intact Financial Corporation Com 3.09%
AltaGas Ltd. Com 3.09%
Constellation Software Inc. Com 3.00%

Distributions

Start Date
End Date
Effective Date Net Asset Value
2025/08/15 $246.4042
2025/08/14 $247.5626
2025/08/13 $246.7572
2025/08/12 $245.7561
2025/08/11 $245.7517
2025/08/08 $245.7770
2025/08/07 $248.1072
2025/08/06 $246.8726
2025/08/05 $243.0713
2025/08/01 $245.3650
2025/07/31 $246.2435
2025/07/30 $247.5514
2025/07/29 $246.4209
2025/07/28 $247.4263
2025/07/25 $246.1029
2025/07/24 $245.8258
2025/07/23 $245.5136
2025/07/22 $245.7629
2025/07/21 $246.8005
2025/07/18 $247.3399
2025/07/17 $244.8279
2025/07/16 $243.4038
2025/07/15 $244.9608
2025/07/14 $243.5786
2025/07/11 $244.9223
2025/07/10 $243.6563
2025/07/09 $243.4981
2025/07/08 $242.7828
2025/07/07 $243.4773
2025/07/04 $243.6025
2025/07/03 $242.1682
2025/07/02 $241.9345
2025/06/30 $240.6299
2025/06/27 $239.8811
2025/06/26 $238.7371
2025/06/25 $240.6280
2025/06/24 $239.6244
2025/06/23 $238.5546
2025/06/20 $238.5251
2025/06/19 $238.8115
2025/06/18 $238.7168
2025/06/17 $239.2126
2025/06/16 $238.7436
2025/06/13 $239.8886
2025/06/12 $239.1499
2025/06/11 $238.1272
2025/06/10 $237.2878
2025/06/09 $238.2469
2025/06/06 $237.3369
2025/06/05 $237.5630
2025/06/04 $238.5311
2025/06/03 $238.1093
2025/06/02 $237.6523
2025/05/30 $237.5812
2025/05/29 $237.8688
2025/05/28 $238.1445
2025/05/27 $235.9696
2025/05/26 $234.3038
2025/05/23 $235.1200
2025/05/22 $234.7063
2025/05/21 $237.4676
2025/05/20 $237.5301
2025/05/16 $236.7436
2025/05/15 $234.7891
2025/05/14 $233.4273
2025/05/13 $233.0439
2025/05/12 $229.5295
2025/05/09 $229.7152
2025/05/08 $227.4776
2025/05/07 $225.2323
2025/05/06 $225.6483
2025/05/05 $227.4777
2025/05/02 $225.1477
2025/05/01 $225.7114
2025/04/30 $225.3634
2025/04/29 $223.7647
2025/04/28 $223.0765
2025/04/25 $223.0369
2025/04/24 $221.0030
2025/04/23 $219.2081
2025/04/22 $216.5158
2025/04/21 $218.2242
2025/04/17 $217.2389
2025/04/16 $217.1983
2025/04/15 $215.8710
2025/04/14 $213.4704
2025/04/11 $208.7241
2025/04/10 $215.1891
2025/04/09 $205.7005
2025/04/08 $208.6505
2025/04/07 $211.8836
2025/04/04 $219.8609
2025/04/03 $227.7303
2025/04/02 $225.1590
2025/04/01 $223.9290
2025/03/31 $221.8939
2025/03/28 $225.1244
2025/03/27 $225.4407
2025/03/26 $226.1410
2025/03/25 $226.2212
2025/03/24 $223.3624
2025/03/21 $223.9173
2025/03/20 $224.3879
2025/03/19 $221.3867
2025/03/18 $222.2974
2025/03/17 $221.0450
2025/03/14 $217.7879
2025/03/13 $221.5426
2025/03/12 $220.3477
2025/03/11 $222.9581
2025/03/10 $226.0860
2025/03/07 $224.0878
2025/03/06 $225.4356
2025/03/05 $223.5612
2025/03/04 $227.5925
2025/03/03 $230.6099
2025/02/28 $228.9842
2025/02/27 $229.4888
2025/02/26 $228.9901
2025/02/25 $227.7420
2025/02/24 $227.7316
2025/02/21 $230.4067
2025/02/20 $232.6036
2025/02/19 $232.5650
2025/02/18 $231.1730