Overview

How This Account Works

THIS ACCOUNT IS LINKED TO THE PERFORMANCE OF THE MANULIFE GLOBAL EQUITY CLASS FUND. When you invest in this account you do not acquire an interest in this underlying Manulife Global Equity Class Fund or purchase any unit or legal interest in any security.

Account Details

Inception date May 5, 2017
Asset class Global Equity

Underlying Fund Objective

The Fund will systematically invest in a broadly diversified portfolio of wealth-creating companies from around the world bought at discounts to their intrinsic values. Holdings are well diversified by both country and industry.

Designated Fund Details

Fund name Manulife Global Equity Class
Inception date November 3, 2009
AUM $6.18 billion
MER (audited) 2.31%
Number of Positions 65
Managed by Manulife Asset Management Limited
Sub-advisor Mawer Investment Management Ltd.

Performance

Performance of Manulife Global Equity Class Account

Compound Returns (%)

Product 1 mth 3 mth 6 mth YTD 1 yr 3 yr 5 yr 10 yr Inception
InnoVision Investment Accelerator (0.00%*) 0.54 -0.26 -5.11 -4.16 -3.90 8.48 5.97 7.22
InnoVision Valued Client (2.00%*) 0.38 -0.77 -6.07 -5.44 -5.81 6.33 3.86 5.09

InnoVision Investment Accelerator (0.00%*)

1 mth 0.54
3 mth -0.26
6 mth -5.11
YTD -4.16
1 yr -3.90
3 yr 8.48
5 yr 5.97
10 yr
Inception 7.22

InnoVision Valued Client (2.00%*)

1 mth 0.38
3 mth -0.77
6 mth -6.07
YTD -5.44
1 yr -5.81
3 yr 6.33
5 yr 3.86
10 yr
Inception 5.09

Calendar Returns (%)

Product 2017 2018 2019 2020 2021 2022 2023 2024
InnoVision Investment Accelerator (0.00%*) 3.23 2.75 19.68 9.15 20.25 -11.99 16.11 9.50
InnoVision Valued Client (2.00%*) 1.89 0.71 17.30 6.97 17.86 -13.73 13.81 7.32

InnoVision Investment Accelerator (0.00%*)

2017 3.23
2018 2.75
2019 19.68
2020 9.15
2021 20.25
2022 -11.99
2023 16.11
2024 9.50

InnoVision Valued Client (2.00%*)

2017 1.89
2018 0.71
2019 17.30
2020 6.97
2021 17.86
2022 -13.73
2023 13.81
2024 7.32

Performance of Manulife Global Equity 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
0.54 -0.26 -5.11 -4.16 -3.90 8.48 5.97 7.97 9.96
1 mth 0.54
3 mth -0.26
6 mth -5.11
YTD -4.16
1 yr -3.90
3 yr 8.48
5 yr 5.97
10 yr 7.97
Inception 9.96

Calendar Returns (%)

2017 2018 2019 2020 2021 2022 2023 2024
16.25 2.73 19.68 9.15 20.25 -11.99 16.11 9.50
2017 16.25
2018 2.73
2019 19.68
2020 9.15
2021 20.25
2022 -11.99
2023 16.11
2024 9.50

Portfolio Allocation as of July 31, 2025

Geographic Allocation (%)

Name Weight %
United States 48.97%
Canada 7.59%
United Kingdom 6.90%
France 6.80%
Netherlands 4.74%
Switzerland 3.90%
Taiwan 3.66%
Japan 3.17%
Ireland 3.01%
Norway 2.98%
Other 8.29%

Sector Allocation (%)

Name Weight %
Financials 19.66%
Information technology 19.18%
Industrials 17.76%
Communication services 16.41%
Consumer discretionary 12.55%
Consumer staples 7.76%
Health care 6.67%

Top 10 Holdings (%)

Name Weight %
Microsoft Corp. Com 5.45%
Marsh & McLennan Cos. Com 4.06%
Booking Holdings Inc. Com 3.94%
Amazon.com Inc. Com 3.87%
Taiwan Semiconductor Manufacturing Co. Ltd. Twse Listed Stocks 3.66%
Publicis Groupe S.A. Publicis Groupe 3.64%
Alphabet Inc. Cap Stk Cl C 3.26%
Wolters Kluwer N.V. Shs 2.94%
Meta Platforms Inc. Cl A 2.73%
Berkshire Hathaway Inc. Cl A 2.71%

Distributions

Start Date
End Date
Effective Date Net Asset Value
2025/10/02 $182.8571
2025/10/01 $181.6941
2025/09/30 $180.8677
2025/09/29 $180.5443
2025/09/26 $179.4928
2025/09/25 $180.6902
2025/09/24 $180.3959
2025/09/23 $180.6708
2025/09/22 $180.3523
2025/09/19 $181.2752
2025/09/18 $181.0360
2025/09/17 $180.8051
2025/09/16 $181.3373
2025/09/15 $181.3584
2025/09/12 $181.7532
2025/09/11 $180.2100
2025/09/10 $181.2853
2025/09/09 $181.0628
2025/09/08 $181.0060
2025/09/05 $181.4571
2025/09/04 $179.5135
2025/09/03 $178.3809
2025/09/02 $178.6778
2025/08/29 $179.7796
2025/08/28 $180.0496
2025/08/27 $180.1087
2025/08/26 $180.2439
2025/08/25 $181.1474
2025/08/22 $179.6637
2025/08/21 $179.8787
2025/08/20 $179.3580
2025/08/19 $178.5734
2025/08/18 $178.2871
2025/08/15 $177.9298
2025/08/14 $177.7589
2025/08/13 $176.1298
2025/08/12 $175.2756
2025/08/11 $175.6990
2025/08/08 $175.6752
2025/08/07 $175.2602
2025/08/06 $175.4201
2025/08/05 $173.9602
2025/08/01 $177.7184
2025/07/31 $177.8985
2025/07/30 $178.0153
2025/07/29 $179.0990
2025/07/28 $180.5038
2025/07/25 $179.2003
2025/07/24 $179.3615
2025/07/23 $177.9545
2025/07/22 $176.5095
2025/07/21 $176.8615
2025/07/18 $177.3302
2025/07/17 $176.5651
2025/07/16 $175.9571
2025/07/15 $176.9853
2025/07/14 $176.9606
2025/07/11 $178.4510
2025/07/10 $178.1329
2025/07/09 $177.2999
2025/07/08 $176.8465
2025/07/07 $176.8910
2025/07/04 $177.3620
2025/07/03 $177.5250
2025/07/02 $176.7250
2025/06/30 $176.5866
2025/06/27 $174.8721
2025/06/26 $174.8214
2025/06/25 $176.0117
2025/06/24 $174.4223
2025/06/23 $173.5413
2025/06/20 $173.5774
2025/06/19 $174.1805
2025/06/18 $173.8910
2025/06/17 $175.2982
2025/06/16 $174.8652
2025/06/13 $178.0035
2025/06/12 $177.8493
2025/06/11 $178.8428
2025/06/10 $177.8635
2025/06/09 $178.4150
2025/06/06 $177.8862
2025/06/05 $178.3974
2025/06/04 $178.1525
2025/06/03 $178.5933
2025/06/02 $179.1517
2025/05/30 $179.5447
2025/05/29 $179.0662
2025/05/28 $179.8329
2025/05/27 $178.8076
2025/05/26 $177.1934
2025/05/23 $179.1839
2025/05/22 $178.9073
2025/05/21 $181.9635
2025/05/20 $181.4283
2025/05/16 $180.8042
2025/05/15 $179.8291
2025/05/14 $180.3755
2025/05/13 $181.3432
2025/05/12 $177.4743
2025/05/09 $177.3175
2025/05/08 $175.9932
2025/05/07 $175.1306
2025/05/06 $176.4949
2025/05/05 $176.7814
2025/05/02 $174.2170
2025/05/01 $174.4773
2025/04/30 $174.4810
2025/04/29 $173.6537
2025/04/28 $173.3218
2025/04/25 $173.7782
2025/04/24 $171.7654
2025/04/23 $170.3035
2025/04/22 $166.5832
2025/04/21 $169.3452
2025/04/17 $171.6826
2025/04/16 $174.7871
2025/04/15 $174.5600
2025/04/14 $173.7322
2025/04/11 $170.7320
2025/04/10 $176.7703
2025/04/09 $164.8921
2025/04/08 $167.1053
2025/04/07 $169.6934
2025/04/04 $175.3543
2025/04/03 $182.0220