Overview

How This Account Works

THIS ACCOUNT IS LINKED TO THE PERFORMANCE OF THE MANULIFE DIVIDEND INCOME FUND. When you invest in this account you do not acquire an interest in this underlying Manulife Dividend Income Fund or purchase any unit or legal interest in any security.

Account Details

Inception date May 5, 2017
Asset class Canadian Equity

Underlying Fund Objective

The Fund seeks to provide a combination of income and capital appreciation by investing primarily in a diversified portfolio of Canadian dividend paying common and preferred equity securities. The Fund may also invest in real estate investment trusts (“REITs”) and royalty trusts.

Designated Fund Details

Fund name Manulife Dividend Income Fund
Inception date March 22, 2012
AUM $5.36 billion
MER (audited) 2.28%
Number of Positions 153
Managed by Manulife Asset Management Limited
Sub-advisor Manulife Asset Management Limited

Performance

Performance of Manulife Dividend Income Account

Compound Returns (%)

Product 1 mth 3 mth 6 mth YTD 1 yr 3 yr 5 yr 10 yr Inception
InnoVision Valued Client (2.00%*) 5.29 5.67 10.82 5.41 12.85 10.45 5.97 7.73
InnoVision Investment Accelerator (0.00%*) 5.45 6.19 11.93 5.75 15.14 12.70 8.12 9.91

InnoVision Valued Client (2.00%*)

1 mth 5.29
3 mth 5.67
6 mth 10.82
YTD 5.41
1 yr 12.85
3 yr 10.45
5 yr 5.97
10 yr
Inception 7.73

InnoVision Investment Accelerator (0.00%*)

1 mth 5.45
3 mth 6.19
6 mth 11.93
YTD 5.75
1 yr 15.14
3 yr 12.70
5 yr 8.12
10 yr
Inception 9.91

Calendar Returns (%)

Product 2018 2019 2020 2021 2022 2023 2024 2025
InnoVision Valued Client (2.00%*) -6.44 20.12 18.72 17.99 -19.00 7.60 12.81 8.26
InnoVision Investment Accelerator (0.00%*) -4.55 22.55 21.13 20.38 -17.36 9.78 15.11 10.46

InnoVision Valued Client (2.00%*)

2018 -6.44
2019 20.12
2020 18.72
2021 17.99
2022 -19.00
2023 7.60
2024 12.81
2025 8.26

InnoVision Investment Accelerator (0.00%*)

2018 -4.55
2019 22.55
2020 21.13
2021 20.38
2022 -17.36
2023 9.78
2024 15.11
2025 10.46

Performance of Manulife Dividend Income Fund

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
5.45 6.19 11.93 5.75 15.14 12.70 8.12 10.55 10.91
1 mth 5.45
3 mth 6.19
6 mth 11.93
YTD 5.75
1 yr 15.14
3 yr 12.70
5 yr 8.12
10 yr 10.55
Inception 10.91

Calendar Returns (%)

2018 2019 2020 2021 2022 2023 2024 2025
-4.55 22.51 21.13 20.38 -17.36 9.78 15.11 10.46
2018 -4.55
2019 22.51
2020 21.13
2021 20.38
2022 -17.36
2023 9.78
2024 15.11
2025 10.46

Portfolio Allocation as of January 31, 2026

Geographic Allocation (%)

Name Weight %
Canada 74.56%
United States 24.55%
Bermuda 0.48%
Ireland 0.40%

Sector Allocation (%)

Name Weight %
Financials 30.81%
Materials 15.45%
Information technology 14.50%
Energy 11.98%
Industrials 7.54%
Consumer discretionary 5.34%
Consumer staples 4.02%
Communication services 3.38%
Health care 3.01%
Utilities 2.93%
Real Estate 1.05%

Top 10 Holdings (%)

Name Weight %
Royal Bank of Canada Com 7.13%
Toronto-Dominion Bank Com New 5.40%
Suncor Energy Inc. Com 2.89%
Shopify Inc. Cl A Sub Vtg Shs 2.76%
Agnico-Eagle Mines Ltd. Com 2.69%
National Bank of Canada Com 2.60%
Bank of Nova Scotia (The) Com 2.60%
Power Corp. of Canada Com 2.55%
Canadian Natural Resources Ltd. Com 2.37%
Barrick Gold Corporation Com 2.32%

Distributions

Start Date
End Date
Effective Date Net Asset Value
2026/04/02 $185.7760
2026/04/01 $184.9813
2026/03/31 $180.3050
2026/03/30 $180.6036
2026/03/27 $180.8728
2026/03/26 $183.3466
2026/03/25 $181.1351
2026/03/24 $180.6791
2026/03/23 $178.1882
2026/03/20 $180.7004
2026/03/19 $182.5986
2026/03/18 $185.7765
2026/03/17 $185.4734
2026/03/16 $184.0432
2026/03/13 $185.1219
2026/03/12 $186.7473
2026/03/11 $187.0728
2026/03/10 $186.8769
2026/03/09 $186.4146
2026/03/06 $189.4636
2026/03/05 $191.0091
2026/03/04 $190.1746
2026/03/03 $193.7752
2026/03/02 $192.8295
2026/02/27 $193.9332
2026/02/26 $192.9676
2026/02/25 $192.2200
2026/02/24 $191.2086
2026/02/23 $191.5456
2026/02/20 $190.4217
2026/02/19 $189.7027
2026/02/18 $187.2827
2026/02/17 $187.7128
2026/02/13 $185.2910
2026/02/12 $189.1096
2026/02/11 $188.8749
2026/02/10 $188.6426
2026/02/09 $186.2251
2026/02/06 $183.4071
2026/02/05 $186.3534
2026/02/04 $186.1183
2026/02/03 $185.3490
2026/02/02 $183.1374
2026/01/30 $188.0036
2026/01/29 $188.6276
2026/01/28 $188.8306
2026/01/27 $188.8949
2026/01/26 $189.0273
2026/01/23 $188.6868
2026/01/22 $188.1330
2026/01/21 $187.0530
2026/01/20 $189.0538
2026/01/19 $189.4953
2026/01/16 $189.6039
2026/01/15 $189.3048
2026/01/14 $189.2430
2026/01/13 $189.1319
2026/01/12 $188.0843
2026/01/09 $186.6565
2026/01/08 $185.4431
2026/01/07 $186.6788
2026/01/06 $185.7304
2026/01/05 $184.0355
2026/01/02 $182.9352
2025/12/31 $183.7783
2025/12/30 $183.8379
2025/12/29 $184.3917
2025/12/24 $184.5893
2025/12/23 $184.2282
2025/12/22 $183.1460
2025/12/19 $181.3918
2025/12/18 $180.2373
2025/12/17 $180.5808
2025/12/16 $181.9920
2025/12/15 $182.3003
2025/12/12 $183.3551
2025/12/11 $182.8451
2025/12/10 $181.3356
2025/12/09 $181.2175
2025/12/08 $182.1217
2025/12/05 $183.0134
2025/12/04 $181.4772
2025/12/03 $180.9987
2025/12/02 $181.1653
2025/12/01 $182.4759
2025/11/28 $181.9925
2025/11/27 $182.0345
2025/11/26 $180.6850
2025/11/25 $179.0702
2025/11/24 $176.8187
2025/11/21 $175.2273
2025/11/20 $177.2561
2025/11/19 $176.1445
2025/11/18 $176.6661
2025/11/17 $178.0474
2025/11/14 $177.5129
2025/11/13 $180.8403
2025/11/12 $179.1031
2025/11/11 $178.5137
2025/11/10 $176.1426
2025/11/07 $176.1395
2025/11/06 $177.8795
2025/11/05 $176.1951
2025/11/04 $178.8997
2025/11/03 $178.5914
2025/10/31 $177.9523
2025/10/30 $177.9163
2025/10/29 $179.2706
2025/10/28 $178.7937
2025/10/27 $178.5795
2025/10/24 $177.4807
2025/10/23 $176.8355
2025/10/22 $176.6062
2025/10/21 $178.8298
2025/10/20 $177.4255
2025/10/17 $178.8413
2025/10/16 $180.1394
2025/10/15 $179.2140
2025/10/14 $176.7459
2025/10/10 $179.5618
2025/10/09 $180.3069
2025/10/08 $179.6442
2025/10/07 $180.5405
2025/10/06 $180.3044