Overview

How This Account Works

THIS ACCOUNT IS LINKED TO THE PERFORMANCE OF THE MANULIFE CONSERVATIVE PORTFOLIO FUND. When you invest in this account you do not acquire an interest in this underlying Manulife Conservative Portfolio or purchase any unit or legal interest in any security.

Account Details

Inception date May 5, 2017
Asset class Asset Allocation

Underlying Fund Objective

The Funds investment objective is to primarily preserve capital with a secondary focus on income. The Fund seeks to accomplish its objective by primarily investing in securities of Underlying Funds and/or ETFs. These Underlying Funds and/or ETFs generally invest in domestic and global fixed income securities and/or domestic and global equity securities.

Designated Fund Details

Fund name Manulife Conservative Portfolio
Inception date May 5, 2017
AUM $613.00 million
MER (audited) 1.80%
Managed by Manulife Asset Management Limited
Sub-advisor Manulife Asset Management Limited

Performance

Performance of Manulife Conservative Portfolio Account

Compound Returns (%)

Product 1 mth 3 mth 6 mth YTD 1 yr 3 yr 5 yr 10 yr Inception
UltraVision (0.00%*) -2.31 0.45 0.63 0.45 4.11 5.96 3.02 3.60

UltraVision (0.00%*)

1 mth -2.31
3 mth 0.45
6 mth 0.63
YTD 0.45
1 yr 4.11
3 yr 5.96
5 yr 3.02
10 yr
Inception 3.60

Calendar Returns (%)

Product 2018 2019 2020 2021 2022 2023 2024 2025
UltraVision (0.00%*) -0.15 11.29 6.29 2.41 -9.48 7.59 8.19 5.00

UltraVision (0.00%*)

2018 -0.15
2019 11.29
2020 6.29
2021 2.41
2022 -9.48
2023 7.59
2024 8.19
2025 5.00

Performance of Manulife Conservative Portfolio

Growth of $10,000 since inception ±

Start Date
End Date

Compound Returns (%)

1 mth 3 mth 6 mth YTD 1 yr 3 yr 5 yr 10 yr Inception
-2.31 0.45 0.63 0.45 4.11 5.96 3.02 3.11
1 mth -2.31
3 mth 0.45
6 mth 0.63
YTD 0.45
1 yr 4.11
3 yr 5.96
5 yr 3.02
10 yr
Inception 3.11

Calendar Returns (%)

2018 2019 2020 2021 2022 2023 2024 2025
-2.09 10.15 6.29 2.41 -9.48 7.59 8.19 5.00
2018 -2.09
2019 10.15
2020 6.29
2021 2.41
2022 -9.48
2023 7.59
2024 8.19
2025 5.00

Portfolio Allocation as of February 28, 2026

Asset Allocation (%)

Name Weight %
Fixed income 70.27%
Equities 27.66%
Cash and equivalents 2.07%
Other 0.00%

Geographic Allocation (%)

Name Weight %
Canada 50.06%
United States 31.96%
United Kingdom 2.14%
France 1.25%
Japan 1.21%
Mexico 1.19%
Australia 0.96%
Ireland 0.71%
New Zealand 0.67%
Luxembourg 0.62%
Other 9.23%

Sector Allocation (%)

Name Weight %
Financials 19.68%
Energy 13.28%
Industrials 12.42%
Information technology 11.58%
Materials 10.46%
Utilities 8.83%
Communication services 6.34%
Consumer discretionary 5.86%
Health care 4.70%
Consumer staples 4.24%
Real Estate 2.60%

Top 10 Holdings (%)

Name Weight %
VANGUARD CANADIAN AGGREGATE BOND INDEX 2.00%
United States Treasury Note, 3.63%, 9/30/2030 0.79%
Microsoft Corp. Com 0.57%
Gov. of Canada, 3.25%, 12/1/2035 0.49%
Royal Bank of Canada Com 0.45%
Gov. of Canada, 2.75%, 6/1/2033 0.42%
Canadian Natural Resources Ltd. Com 0.42%
BPDX0BBS CDS USD R V 03MEVENT 1% 20 Dec 2030 0.41%
Toronto-Dominion Bank Com New 0.39%
Suncor Energy Inc. Com 0.39%

Distributions

Start Date
End Date
Effective Date Net Asset Value
2026/04/16 $139.0142
2026/04/15 $139.1186
2026/04/14 $138.7067
2026/04/13 $138.5626
2026/04/10 $138.5667
2026/04/09 $138.6614
2026/04/08 $137.5687
2026/04/07 $137.6291
2026/04/06 $137.4301
2026/04/02 $137.1720
2026/04/01 $137.0155
2026/03/31 $135.8061
2026/03/30 $135.4245
2026/03/27 $135.7841
2026/03/26 $136.5977
2026/03/25 $135.6928
2026/03/24 $135.7541
2026/03/23 $135.1272
2026/03/20 $136.3729
2026/03/19 $136.6495
2026/03/18 $137.4686
2026/03/17 $137.1511
2026/03/16 $136.6454
2026/03/13 $136.5827
2026/03/12 $137.3255
2026/03/11 $137.6908
2026/03/10 $137.6921
2026/03/09 $137.6185
2026/03/06 $138.5044
2026/03/05 $139.1232
2026/03/04 $139.0482
2026/03/03 $139.9831
2026/03/02 $140.2503
2026/02/27 $140.3130
2026/02/26 $139.9777
2026/02/25 $139.9545
2026/02/24 $139.7174
2026/02/23 $139.8482
2026/02/20 $139.5334
2026/02/19 $139.4434
2026/02/18 $139.2322
2026/02/17 $139.1709
2026/02/13 $138.5576
2026/02/12 $138.8574
2026/02/11 $138.5930
2026/02/10 $138.5071
2026/02/09 $138.2645
2026/02/06 $137.7657
2026/02/05 $138.0642
2026/02/04 $137.8775
2026/02/03 $137.8325
2026/02/02 $137.3787
2026/01/30 $137.9606
2026/01/29 $137.9879
2026/01/28 $138.0874
2026/01/27 $138.2332
2026/01/26 $138.0424
2026/01/23 $138.1255
2026/01/22 $137.8189
2026/01/21 $137.4563
2026/01/20 $138.0506
2026/01/19 $138.2727
2026/01/16 $138.2591
2026/01/15 $138.0887
2026/01/14 $137.8448
2026/01/13 $137.9143
2026/01/12 $137.8625
2026/01/09 $137.4427
2026/01/08 $137.1947
2026/01/07 $137.2192
2026/01/06 $136.9562
2026/01/05 $136.4696
2026/01/02 $136.3960
2025/12/31 $136.5623
2025/12/30 $136.5841
2025/12/29 $136.5269
2025/12/24 $136.5078
2025/12/23 $136.2863
2025/12/22 $136.1057
2025/12/19 $136.0021
2025/12/18 $135.7923
2025/12/17 $135.8826
2025/12/16 $136.0990
2025/12/15 $135.9742
2025/12/12 $136.1893
2025/12/11 $136.1070
2025/12/10 $135.7764
2025/12/09 $136.0008
2025/12/08 $136.1906
2025/12/05 $136.8665
2025/12/04 $136.8612
2025/12/03 $136.6912
2025/12/02 $136.7497
2025/12/01 $137.2715
2025/11/28 $137.3166
2025/11/27 $137.2994
2025/11/26 $137.0617
2025/11/25 $136.5585
2025/11/24 $136.1402
2025/11/21 $135.5626
2025/11/20 $135.7790
2025/11/19 $135.7326
2025/11/18 $136.0273
2025/11/17 $136.3699
2025/11/14 $136.4549
2025/11/13 $137.0657
2025/11/12 $136.7390
2025/11/11 $136.5292
2025/11/10 $136.2238
2025/11/07 $136.4390
2025/11/06 $136.4721
2025/11/05 $136.1681
2025/11/04 $136.5213
2025/11/03 $136.5173
2025/10/31 $136.3765
2025/10/30 $136.3752
2025/10/29 $137.0511
2025/10/28 $137.1892
2025/10/27 $136.9130
2025/10/24 $136.6262
2025/10/23 $136.5731
2025/10/22 $136.6209
2025/10/21 $136.8705
2025/10/20 $136.5186
2025/10/17 $136.6009