Overview

How This Account Works

THIS ACCOUNT IS LINKED TO THE PERFORMANCE OF THE MANULIFE BALANCED PORTFOLIO FUND. When you invest in this account you do not acquire an interest in this underlying Manulife Balanced 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 provide a combination of long-term capital, appreciation with a secondary focus on income generation. 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 equity securities and/or domestic and global fixed income securities.

Designated Fund Details

Fund name Manulife Balanced Portfolio
Inception date May 5, 2017
AUM $1.01 billion
MER (audited) 2.21%
Managed by Manulife Asset Management Limited
Sub-advisor Manulife Asset Management Limited

Performance

Performance of Manulife Balanced Portfolio Account

Compound Returns (%)

Product 1 mth 3 mth 6 mth YTD 1 yr 3 yr 5 yr 10 yr Inception
UL100 (Prior to Sept 18, 1994) (2.00%*) 1.80 1.81 2.74 2.74 8.04 7.95 4.05 3.63
UL100 (On or after Sept 18, 1994) (2.00%*) 1.80 1.81 2.74 2.74 8.04 7.95 4.05 3.63

UL100 (Prior to Sept 18, 1994) (2.00%*)

1 mth 1.80
3 mth 1.81
6 mth 2.74
YTD 2.74
1 yr 8.04
3 yr 7.95
5 yr 4.05
10 yr
Inception 3.63

UL100 (On or after Sept 18, 1994) (2.00%*)

1 mth 1.80
3 mth 1.81
6 mth 2.74
YTD 2.74
1 yr 8.04
3 yr 7.95
5 yr 4.05
10 yr
Inception 3.63

Calendar Returns (%)

Product 2017 2018 2019 2020 2021 2022 2023 2024
UL100 (Prior to Sept 18, 1994) (2.00%*) 5.63 -6.42 12.33 6.91 6.37 -13.40 8.09 10.09
UL100 (On or after Sept 18, 1994) (2.00%*) 5.63 -6.42 12.33 6.91 6.37 -13.40 8.09 10.09

UL100 (Prior to Sept 18, 1994) (2.00%*)

2017 5.63
2018 -6.42
2019 12.33
2020 6.91
2021 6.37
2022 -13.40
2023 8.09
2024 10.09

UL100 (On or after Sept 18, 1994) (2.00%*)

2017 5.63
2018 -6.42
2019 12.33
2020 6.91
2021 6.37
2022 -13.40
2023 8.09
2024 10.09

Performance of Manulife Balanced 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
1.98 2.33 3.78 3.78 10.24 10.14 6.16 5.07
1 mth 1.98
3 mth 2.33
6 mth 3.78
YTD 3.78
1 yr 10.24
3 yr 10.14
5 yr 6.16
10 yr
Inception 5.07

Calendar Returns (%)

2017 2018 2019 2020 2021 2022 2023 2024
-4.53 14.64 9.09 8.53 -11.65 10.27 12.34
2017
2018 -4.53
2019 14.64
2020 9.09
2021 8.53
2022 -11.65
2023 10.27
2024 12.34

Portfolio Allocation as of May 31, 2025

Asset Allocation (%)

Name Weight %
Equities 56.23%
Fixed income 41.26%
Cash and equivalents 2.51%
Other 0.00%

Geographic Allocation (%)

Name Weight %
Canada 36.01%
United States 33.48%
Japan 3.52%
United Kingdom 3.52%
China 2.27%
France 1.89%
India 1.59%
Netherlands 1.41%
Ireland 1.22%
Germany 1.11%
Other 14.00%

Sector Allocation (%)

Name Weight %
Financials 22.93%
Industrials 15.21%
Information technology 14.63%
Energy 9.88%
Consumer discretionary 9.37%
Health care 6.43%
Communication services 6.36%
Materials 5.36%
Consumer staples 5.33%
Utilities 3.31%
Real Estate 1.16%
Other 0.02%

Top 10 Holdings (%)

Name Weight %
Microsoft Corp. Com 0.90%
Canadian Natural Resources Ltd. Com 0.87%
Suncor Energy Inc. Com 0.84%
Tencent Holdings Ltd. Shs Par New Hkd 0.00002 0.66%
Taiwan Semiconductor Manufacturing Co. Ltd. Twse Listed Stocks 0.64%
Amazon.com Inc. Com 0.62%
Toronto-Dominion Bank Com New 0.60%
Gov. of Canada, 2.5%, 12/1/2032 0.59%
Alphabet Inc. Cl A 0.58%
Gov. of Canada, 2.75%, 12/1/2055 0.55%

Distributions

Start Date
End Date
Effective Date Net Asset Value
2025/08/08 $134.6593
2025/08/07 $134.5128
2025/08/06 $134.4614
2025/08/05 $133.4470
2025/08/01 $134.2735
2025/07/31 $134.6396
2025/07/30 $134.9288
2025/07/29 $134.5265
2025/07/28 $134.9040
2025/07/25 $134.3420
2025/07/24 $134.3527
2025/07/23 $133.8268
2025/07/22 $133.7991
2025/07/21 $133.7894
2025/07/18 $133.9699
2025/07/17 $133.4631
2025/07/16 $133.2563
2025/07/15 $133.7642
2025/07/14 $133.6877
2025/07/11 $134.1787
2025/07/10 $134.1419
2025/07/09 $133.7640
2025/07/08 $133.5651
2025/07/07 $133.7559
2025/07/04 $133.9049
2025/07/03 $133.7649
2025/07/02 $133.6906
2025/06/30 $133.4961
2025/06/27 $133.0998
2025/06/26 $132.8156
2025/06/25 $133.0428
2025/06/24 $132.2892
2025/06/23 $131.8850
2025/06/20 $131.6404
2025/06/19 $131.8710
2025/06/18 $131.4073
2025/06/17 $131.7094
2025/06/16 $131.5191
2025/06/13 $132.3489
2025/06/12 $132.2403
2025/06/11 $132.1159
2025/06/10 $131.8461
2025/06/09 $131.9134
2025/06/06 $131.6016
2025/06/05 $131.6166
2025/06/04 $131.6101
2025/06/03 $131.5071
2025/06/02 $131.3235
2025/05/30 $131.6849
2025/05/29 $131.5523
2025/05/28 $131.6957
2025/05/27 $131.0236
2025/05/26 $130.4389
2025/05/23 $131.0696
2025/05/22 $131.0210
2025/05/21 $132.2756
2025/05/20 $132.4169
2025/05/16 $132.0763
2025/05/15 $131.3505
2025/05/14 $131.4110
2025/05/13 $131.2896
2025/05/12 $129.9371
2025/05/09 $129.6292
2025/05/08 $128.9961
2025/05/07 $128.6414
2025/05/06 $128.8439
2025/05/05 $128.9213
2025/05/02 $128.2424
2025/05/01 $128.1093
2025/04/30 $128.2788
2025/04/29 $127.7601
2025/04/28 $127.6895
2025/04/25 $127.7111
2025/04/24 $126.6301
2025/04/23 $125.9233
2025/04/22 $124.4687
2025/04/21 $125.6043
2025/04/17 $125.2467
2025/04/16 $125.9773
2025/04/15 $125.3544
2025/04/14 $124.3068
2025/04/11 $123.3865
2025/04/10 $125.9561
2025/04/09 $121.8564
2025/04/08 $123.0380
2025/04/07 $124.7518
2025/04/04 $128.1117
2025/04/03 $131.7558
2025/04/02 $131.3916
2025/04/01 $131.3178
2025/03/31 $130.7722
2025/03/28 $131.8948
2025/03/27 $131.6125
2025/03/26 $132.4277
2025/03/25 $132.2935
2025/03/24 $131.9325
2025/03/21 $132.1220
2025/03/20 $132.3458
2025/03/19 $131.6575
2025/03/18 $131.8961
2025/03/17 $131.4026
2025/03/14 $130.2168
2025/03/13 $130.9971
2025/03/12 $130.9516
2025/03/11 $131.2496
2025/03/10 $132.3381
2025/03/07 $131.3904
2025/03/06 $132.7880
2025/03/05 $132.2843
2025/03/04 $132.6087
2025/03/03 $133.1032
2025/02/28 $132.6528
2025/02/27 $133.0298
2025/02/26 $132.6203
2025/02/25 $132.1184
2025/02/24 $132.1632
2025/02/21 $132.7207
2025/02/20 $133.0761
2025/02/19 $133.0320
2025/02/18 $132.7034
2025/02/14 $132.7495
2025/02/13 $132.3671
2025/02/12 $132.8004
2025/02/11 $132.9401