Manulife U.S. Dollar Strategic Balanced Yield Fund

as of April 30, 2023

Advisor Series

$7.5360
-0.25% (-$0.02)
June 5, 2023
+1.83%
7-Day Performance
June 5, 2023
2.26%
MER
(as at 2022-12-31, includes HST)

Overall Morningstar RatingTM 1

Risk:

Low to Medium

Low
Medium
High

Fund code:

MMF9322

Management

U.S. Core Value Equity Team

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Michael Mattioli

Michael J. Mattioli, CFA, is a managing director and portfolio manager for Manulife Investment Management. He is a member of the US Core Value Equity Team, which manages large cap value, large cap core and all cap core strategies. Mike is focused on the financials and payments sectors. Prior to join...read more

Michael J. Mattioli, CFA, is a managing director and portfolio manager for Manulife Investment Management. He is a member of the US Core Value Equity Team, which manages large cap value, large cap core and all cap core strategies. Mike is focused on the financials and payments sectors. Prior to joining the company, Mike was an associate at Blackrock. Earlier in his career, he held positions with Merrill Lynch. He is a CFA charterholder and a member of the CFA Society Boston, Inc.
18 years of experience

1987

8 years on fund

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Sandy Sanders

Emory W. (Sandy) Sanders, Jr., CFA, is a senior managing director and senior portfolio manager for Manulife Investment Management. He is the leader of the US Core Value Equity Team, which manages large cap value, large cap core and all cap core strategies. He was most recently a director, portfolio ...read more

Emory W. (Sandy) Sanders, Jr., CFA, is a senior managing director and senior portfolio manager for Manulife Investment Management. He is the leader of the US Core Value Equity Team, which manages large cap value, large cap core and all cap core strategies. He was most recently a director, portfolio manager and senior equity analyst with the large cap equity research team at Wells Capital Management. He began his career with Evergreen Investments. He is a member of the CFA Society Boston, Inc. and a CFA charterholder.
26 years of experience

1987

8 years on fund

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Thomas C. Goggins

Thomas C. Goggins is a senior managing director and senior portfolio manager on the Global Multi-Sector Fixed Income Team at Manulife Investment Management. He is responsible for portfolio management, global bond research, security selection and risk management for the company’s global multi-sector ...read more

Thomas C. Goggins is a senior managing director and senior portfolio manager on the Global Multi-Sector Fixed Income Team at Manulife Investment Management. He is responsible for portfolio management, global bond research, security selection and risk management for the company’s global multi-sector fixed income strategies. Prior to joining the company, Tom held positions at Putnam Investments, Transamerica Investments, SAC Capital and Fontana Capital.
36 years of experience

1987

8 years on fund

Equity Style Box2

Large
Medium
Small
Value
Blend
Growth
The fund's portfolio is biased toward large-cap blend stocks.

Performance3, Prices & Distributions

as of 04/30/2023
Compare category average:
Effective dateNet Asset Value IncomeCapital gainsTotal distributionsReinvestment price


Annual Distributions 4
IncomeDividendsCapital GainsReturn of CapitalTotal
2020$0.1274$0.0047$0.2118$0.2365$0.5804
2019$0.0021$0.0651$0.0025$0.3263$0.3960
2018$0.1612$0.0044$0.1514$0.2089$0.5259
2017$0.1764$0.0040$0.2262$0.1965$0.6032
2016$0.1974$0.0040$0.0723$0.1754$0.4492
Compare benchmark :
Annual Distributions 4
IncomeDividendsCapital GainsReturn of CapitalTotal
2020$0.13$0.00$0.21$0.24$0.58
2019$0.00$0.07$0.00$0.33$0.40
2018$0.16$0.00$0.15$0.21$0.53
2017$0.18$0.00$0.23$0.20$0.60
2016$0.20$0.00$0.07$0.18$0.45
  • 3 The “Growth of $10,000 invested” chart shows the final value of a hypothetical $10,000 investment in securities in this class/series of the fund without any withdrawal as at the end of the investment period indicated. This compound growth chart is for illustrative purposes only and is not intended to reflect future values or returns on investment in such securities.

Calendar Returns

% as of 2023-04-30
2013201420152016201720182019202020212022
Manulife U.S. Dollar Strategic Balanced Yield Fund5.28-1.567.9610.67-11.5821.835.6713.65-13.44

Compound Returns

% as of 2023-04-30
1 Mth3 Mth6 MthYTD1 Yr3 Yrs5 Yrs10 YrsInception
Manulife U.S. Dollar Strategic Balanced Yield Fund0.52-0.088.376.601.596.974.25 4.29

  • Management Team:
    U.S. Core Value Equity Team
  • Inception date:
    December 24, 2013
  • AUM5:
    $57.90M
  • CIFSC category:
    Global Neutral Balanced
  • Distribution frequency 4:
    Monthly
  • Distribution yield6:
    3.72%
  • Positions:
    307
  • Management fee:
    1.84%
  • MER:
    2.26%
  • Min. investment:
    $500 initial; n/a PAC
  • Fund Status:
    Open
  • Risk:
    Low to Medium

Equity Characteristics

as of 2023-04-30
  • P/E Ratio
    19.88
  • P/B Ratio
    2.74
  • P/CF Ratio
    12.14
  • ROE
    21.14%
  • Average Market Cap
    $129.87B
  • Dividend Yield
    1.95%

Portfolio Allocation

as of 2023-03-31
swatchNamevalue
Equities
Fixed Income
Cash and Equivalents
Other
swatchnamevalue
United States
Canada
Indonesia
Spain
United Kingdom
Belgium
Brazil
Mexico
Italy
Other
Norway
Netherlands
China
France
Switzerland
South Korea
Germany
Malaysia
Philippines
Colombia
Ireland
Australia
swatchnamevalue
Information Technology
Financials
Communication Services
Consumer Discretionary
Consumer Staples
Real Estate
Health Care
Energy
Industrials
Utilities
Materials
swatchnamevalue
International Government Bonds
U.S. High Yield Bonds
U.S. Investment Grade Bonds
U.S. Government Bonds
International Investment Grade Bonds
Canadian Investment Grade Bonds
U.S. Mortgage-Backed Securities
U.S. Corporate Bonds
Canadian Government Bonds
Canadian Provincial Bonds
Preferred Shares
U.S. Federal Bonds
International High Yield Bonds
U.S. Asset-Backed Securities
Convertible Bonds
U.S. Municipal Bonds
Floating Rate Bank Loans
Canadian Corporate Bonds
Bank Loans
International Corporate Bonds
Securitized
Mortgage Backed Securities
Asset Backed Securities
Canadian Agency Bonds
International Provincial/State Bonds
0
swatchnamevalue
AAA
AA
A
BBB
BB
B
CCC
NR (Non-rated)
swatchnamevalue
Between 5 and 10 years
Between 1 and 5 years
More than 20 years
Between 10 and 20 years

Top 10 Holdings 7

as of 2023-03-31
NameWeight %
KKR & Co. Inc. Com3.49
Crown Castle Inc. REIT Com2.56
Alphabet Inc. Cl A2.56
Amazon.com Inc. Com2.38
Apple Inc. Com2.33
American Tower Corp. REIT Com2.15
Walmart Inc. Com2.04
Comcast Corp. Cl A1.91
Lennar Corp. Cl A1.76
Analog Devices Inc. Com1.76
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Documents
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Know Your Product
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Fund Profile
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Fund Facts
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Prospectus
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Annual Information Form (AIF)
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Financial Statement
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Management Report on Fund Performance (MRFP)
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Passive Foreign Investment Company (PFIC)
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Fund Codes
SeriesFELL2LL3DSCNL
Advisor9322915096229605
F9323
FT69033
T69024915191249923
  •  DSC/LL2/LL3 load options are available for switches only and are not available for new purchases.

    Related
    Fees
    • Management fee
      1.84%
    • MER

      (as at 2022-12-31, includes HST)

      2.26%
    Management Fee Reduction8
    Account/Household Value TiersAll Qualifying Investments
    $250K+ to $499K2.50 basis points
    $500K+ to $999K5.00 basis points
    $1M+ to $4.9M7.50 basis points
    $5M+ to $9.9M10.00 basis points
    $10M+12.50 basis points

    Title

    • 1 © 2022 Morningstar, Inc. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.
      The Morningstar Rating, commonly referred to as the Star Rating, relates how a fund has performed on a risk-adjusted basis against its Morningstar category peers and is subject to change every month. Calculations are based on the funds in each Morningstar category to better measure fund manager skill. The Star Ratings as of April 30, 2023 for the Funds shown and the number of funds within their categories for each period are: Manulife U.S. Dollar Strategic Balanced Yield Fund within the n/a category: 1 year period, n/a stars & 1636 funds, 3 year period, 4 stars & 1349 funds, 5 year period, 4 stars & 1164 funds, 10 year period, n/a stars & 530 funds. Funds are ranked by their Morningstar Risk-Adjusted Return scores with the top 10% of funds in a category receiving 5 stars, the top 22.5% receiving 4 stars; a fund in the middle 35% receiving 3 stars; a fund in the next 22.5% receiving 2 stars and a fund in the bottom 10% receiving 1 star. The Overall Star Rating for a fund is a weighted combination of its 3, 5 and 10 year ratings. Overall ratings are adjusted where a fund has less than 5 or 10 years of history. Please refer to www.morningstar.ca for greater detail on the calculation of the Star Ratings.
    • 2 The Equity style box information is determined by Morningstar Research Inc., an independent research firm. Morningstar information contained herein is proprietary to Morningstar and is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. © 2022 Morningstar Research Inc.
    • 3 The “Growth of $10,000 invested” chart shows the final value of a hypothetical $10,000 investment in securities in this class/series of the fund without any withdrawal as at the end of the investment period indicated. This compound growth chart is for illustrative purposes only and is not intended to reflect future values or returns on investment in such securities.
    • 4 The payment of distributions is not guaranteed and may fluctuate. If distributions paid by the fund are greater than the performance of the fund, then your original investment will shrink. Distributions should not be confused with a fund’s performance, rate of return, or yield. You may also receive return of capital distributions from a fund. Please consult with your tax advisor regarding the tax implications of receiving distributions. See the fund facts as well as the prospectus for more information on a fund’s distributions policy.
    • 5 All classes/series combined. Assets as at May 31, 2023.
    • 6 Distribution yield is calculated based on prior 12-month rolling average of paid distributions and using average month-end net asset value, per security. The distribution yield excludes any year-end capital gains distributions paid. Distribution yield should not be confused with a fund’s performance or rate of return.
    • 7 Holdings are subject to change. They are not recommendations to buy or sell any security.
    • 8 Investors with a minimum investment in Manulife mutual funds, Manulife Private Mutual Funds and Manulife Private Investment Pools ("Qualifying Investments") of $250,000, either in a single account or in the aggregate based on the total assets of a financial group, are entitled to receive a reduction in the management fees that apply to their Funds. Such reductions are paid in the form of a distribution to investors (first out of net income and net realized capital gains of the Fund and, thereafter, as a return of capital) and in the form of a rebate to Manulife Corporate Class investors. In both cases, the reductions are automatically reinvested in additional securities of the relevant series. The amount of the distribution or rebate, as applicable, is based on the aggregate amount invested in the Qualifying Investments and begins on the first dollar invested. A financial group includes all accounts belonging to a single investor, their spouse, their respective family members residing at the same address and corporate accounts for which the investor and other members of the financial group beneficially own more than 50% of the corporation’s voting equity. Rates that are listed do not include applicable (HST). A basis point (BPS) is a unit that is equal to 1/100th of 1 per cent.
    •  Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the fund facts as well as the prospectus before investing.  The indicated rates of return are the historical annual compounded total returns including changes in unit value and reinvestment of all distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns.  Mutual funds are not guaranteed, their values change frequently and past performance may not be repeated. Manulife Funds are managed by Manulife Investment Management Limited (formerly named Manulife Asset Management Limited). Manulife Investment Management is a trade name of Manulife Investment Management Limited. Manulife, Manulife Investment Management, the Stylized M Design, and Manulife Investment Management & Stylized M Design are trademarks of The Manufacturers Life Insurance Company and are used by it, and by its affiliates under license.
    •  Source for all Data: Data Front, as at May 31, 2023.