Overview

How This Account Works

THIS ACCOUNT IS LINKED TO THE PERFORMANCE OF THE MANULIFE GROWTH PORTFOLIO FUND. When you invest in this account you do not acquire an interest in this underlying Manulife Growth 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 achieve long-term capital appreciation. 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 Growth Portfolio
Inception date May 5, 2017
AUM $673.24 million
MER (audited) 2.26%
Number of Holdings 33
Managed by Manulife Asset Management Limited
Sub-advisor Manulife Asset Management Limited

Performance

Performance of Manulife Growth Portfolio 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%*) 3.37 4.43 9.01 5.11 13.86 12.87 7.79 7.64
InnoVision Valued Client (2.00%*) 3.22 3.93 7.94 4.77 11.59 10.63 5.64 5.51

InnoVision Investment Accelerator (0.00%*)

1 mth 3.37
3 mth 4.43
6 mth 9.01
YTD 5.11
1 yr 13.86
3 yr 12.87
5 yr 7.79
10 yr
Inception 7.64

InnoVision Valued Client (2.00%*)

1 mth 3.22
3 mth 3.93
6 mth 7.94
YTD 4.77
1 yr 11.59
3 yr 10.63
5 yr 5.64
10 yr
Inception 5.51

Calendar Returns (%)

Product 2018 2019 2020 2021 2022 2023 2024 2025
InnoVision Investment Accelerator (0.00%*) -5.78 16.59 10.50 11.27 -12.02 11.21 14.96 11.12
InnoVision Valued Client (2.00%*) -7.65 14.27 8.30 9.06 -13.77 9.01 12.67 8.90

InnoVision Investment Accelerator (0.00%*)

2018 -5.78
2019 16.59
2020 10.50
2021 11.27
2022 -12.02
2023 11.21
2024 14.96
2025 11.12

InnoVision Valued Client (2.00%*)

2018 -7.65
2019 14.27
2020 8.30
2021 9.06
2022 -13.77
2023 9.01
2024 12.67
2025 8.90

Performance of Manulife Growth 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
3.37 4.43 9.01 5.11 13.86 12.87 7.79 7.01
1 mth 3.37
3 mth 4.43
6 mth 9.01
YTD 5.11
1 yr 13.86
3 yr 12.87
5 yr 7.79
10 yr
Inception 7.01

Calendar Returns (%)

2018 2019 2020 2021 2022 2023 2024 2025
-5.78 16.57 10.50 11.27 -12.02 11.21 14.96 11.12
2018 -5.78
2019 16.57
2020 10.50
2021 11.27
2022 -12.02
2023 11.21
2024 14.96
2025 11.12

Portfolio Allocation as of January 31, 2026

Asset Allocation (%)

Name Weight %
Equities 75.01%
Fixed income 23.16%
Cash and equivalents 1.83%
Other 0.00%

Geographic Allocation (%)

Name Weight %
United States 35.71%
Canada 32.54%
Japan 3.75%
United Kingdom 3.10%
China 2.26%
Mexico 1.97%
Taiwan 1.97%
South Korea 1.73%
France 1.68%
India 1.41%
Other 13.88%

Sector Allocation (%)

Name Weight %
Financials 20.00%
Information technology 15.79%
Industrials 14.06%
Materials 8.70%
Energy 8.55%
Consumer discretionary 7.98%
Communication services 7.97%
Health care 6.83%
Consumer staples 4.41%
Utilities 3.19%
Real Estate 2.53%

Top 10 Holdings (%)

Name Weight %
Microsoft Corp. Com 1.44%
Alphabet Inc. Cl A 1.21%
Taiwan Semiconductor Manufacturing Co. Ltd. Twse Listed Stocks 1.03%
Royal Bank of Canada Com 0.97%
NVIDIA Corp. Com 0.95%
Amazon.com Inc. Com 0.95%
Toronto-Dominion Bank Com New 0.83%
Suncor Energy Inc. Com 0.78%
Canadian Natural Resources Ltd. Com 0.76%
Tencent Holdings Ltd. Shs Par New Hkd 0.00002 0.74%

Distributions

Start Date
End Date
Effective Date Net Asset Value
2026/04/02 $184.9698
2026/04/01 $184.1558
2026/03/31 $180.3726
2026/03/30 $180.1924
2026/03/27 $181.1689
2026/03/26 $183.4033
2026/03/25 $181.3683
2026/03/24 $181.2003
2026/03/23 $179.1120
2026/03/20 $182.0006
2026/03/19 $182.6644
2026/03/18 $184.7417
2026/03/17 $184.0083
2026/03/16 $182.6343
2026/03/13 $182.6562
2026/03/12 $184.7731
2026/03/11 $184.9753
2026/03/10 $184.7813
2026/03/09 $184.4194
2026/03/06 $186.8600
2026/03/05 $188.3228
2026/03/04 $187.8338
2026/03/03 $191.2592
2026/03/02 $191.4709
2026/02/27 $192.0964
2026/02/26 $191.5241
2026/02/25 $191.1185
2026/02/24 $190.0737
2026/02/23 $191.1158
2026/02/20 $190.0095
2026/02/19 $189.8975
2026/02/18 $188.8199
2026/02/17 $188.7967
2026/02/13 $187.4296
2026/02/12 $189.3935
2026/02/11 $188.5604
2026/02/10 $188.6041
2026/02/09 $187.8010
2026/02/06 $185.6704
2026/02/05 $187.1291
2026/02/04 $186.7016
2026/02/03 $186.7316
2026/02/02 $185.2197
2026/01/30 $187.1059
2026/01/29 $187.5579
2026/01/28 $187.9076
2026/01/27 $187.9991
2026/01/26 $187.7478
2026/01/23 $188.2121
2026/01/22 $187.5183
2026/01/21 $186.1512
2026/01/20 $187.7696
2026/01/19 $188.5495
2026/01/16 $188.4566
2026/01/15 $187.8434
2026/01/14 $187.4459
2026/01/13 $187.8707
2026/01/12 $187.3940
2026/01/09 $186.1621
2026/01/08 $185.3591
2026/01/07 $185.9272
2026/01/06 $184.7677
2026/01/05 $183.3036
2026/01/02 $182.1632
2025/12/31 $182.6617
2025/12/30 $182.7108
2025/12/29 $182.7778
2025/12/24 $182.8775
2025/12/23 $182.6960
2025/12/22 $182.1478
2025/12/19 $181.3157
2025/12/18 $180.5360
2025/12/17 $180.9677
2025/12/16 $181.9646
2025/12/15 $182.0091
2025/12/12 $182.8962
2025/12/11 $182.7509
2025/12/10 $181.6703
2025/12/09 $181.9437
2025/12/08 $182.3493
2025/12/05 $183.2743
2025/12/04 $182.8464
2025/12/03 $182.4775
2025/12/02 $182.6031
2025/12/01 $183.3410
2025/11/28 $183.2337
2025/11/27 $183.2860
2025/11/26 $182.7941
2025/11/25 $181.2451
2025/11/24 $180.0689
2025/11/21 $178.2883
2025/11/20 $179.6986
2025/11/19 $179.3794
2025/11/18 $180.2861
2025/11/17 $181.5918
2025/11/14 $181.6847
2025/11/13 $183.3737
2025/11/12 $182.7601
2025/11/11 $182.2446
2025/11/10 $180.9821
2025/11/07 $181.1836
2025/11/06 $182.1622
2025/11/05 $181.0606
2025/11/04 $182.5743
2025/11/03 $182.1099
2025/10/31 $181.5892
2025/10/30 $181.7645
2025/10/29 $182.8360
2025/10/28 $183.4286
2025/10/27 $182.8347
2025/10/24 $181.9437
2025/10/23 $181.2739
2025/10/22 $181.7095
2025/10/21 $182.4291
2025/10/20 $181.2568
2025/10/17 $181.4636
2025/10/16 $181.8574
2025/10/15 $181.0279
2025/10/14 $178.6140
2025/10/10 $181.5525
2025/10/09 $182.0523
2025/10/08 $181.4701
2025/10/07 $182.3140
2025/10/06 $182.1949