globeandmail.com
    globeandmail.com/globe-investor/portfolio-and-tools

Manulife Canadian Focused
  Profiles Help     Click here to print this page

Fund Sponsor: Manulife Mutual Funds
Portfolio Manager: Manulife Mutual Funds
Fund Type: Open-Ended

Asset Class: Canadian Focused Equity
5-Star Rating:
RRSP Eligible: Yes

Inception Date: August, 2000
Total Assets: $943.14Million  
Sales Fee Type: Optional
Mgmt Expense Ratio (MER): 2.29%
Closed: No

Min. Invest (initial): $500.00
Subsequent: $50.00
Min. Invest (initial RRSP): $250.00
Subsequent RRSP: $50.00
Restricted: No


Statistics


As of January 18, 2018

Current Price: $9.79
Daily Change $: -$0.01
1 day: -0.08%
7 day: 1.58%
Month-to-Date: 5.49%
30 day: 7.74%
Year-to-Date: 5.49%

Returns as of December 31, 2017
Fund Group Avg Index*
1 month 4.21% 0.24% 1.20%
3 month 12.58% 3.56% 4.45%
6 month 19.86% 5.83% 8.30%
1 year 26.54% 8.03% 9.10%
3 year 10.55% 5.27% 6.59%
5 year 15.08% 9.00% 8.63%
10 year n/a 4.00% 4.65%
15 year n/a 7.05% 9.02%
20 year n/a 6.19% 7.03%
Since Inception n/a n/a n/a
3 year risk 9.42 8.43 7.35
3 year beta 0.98 0.84 1.00
* Index refers to S&P/TSX Total Return

Top Holdings as of Nov 30, 2017
Constellation Software Inc Ord       5.90%
Blackberry Ltd 3.750% 13-Nov-2020       5.85%
Dollarama Inc. Ord       5.35%
CI Financial Corp Ord       4.84%
Google Inc Cl C Ord       4.25%
Mty Food Group Inc.       4.22%
Telus Corp Ord       3.86%
Cognizant Technology Solutions Corp Ord       3.80%
Aritzia Inc Ord       3.32%
Henry Schein Inc Ord       3.10%
Extras

Fund Report
Review and compare the current price and performance of all Manulife Mutual Funds

Charting
Generate different performance charts for this Mutual Fund

PDF Fund Profile
Generate a full-color, print-ready profile in PDF format for this Mutual Fund

Fund Codes & Fees
View fund code, load type, trailer fee and fee schedule data for this Mutual Fund.

Fund Price History
View a 30-day price history for this fund


Distribution Report (18 Months Up To January 18, 2018)

Frequency of Income Distributions:  Annually
Frequency of Capital Gain Distributions:  Annually

Date Income
Dividend
Capital
Gain
Total 
(Current Period)
Trailing 12-
Months Total
Reinvestment
Price
Dec 21, 2016   0.1535 0.1535 0.1535 7.883
Dec 22, 2017   0.6522 0.6522 0.6522 9.158

Investment Objectives
To obtain capital preservation and appreciation by investing primarily in a select number of Canadian equities.

Portfolio Composition
as of Nov 30, 2017

Sector Weightings
as of Nov 30, 2017

Stock 91.88% Consumer Discretionary 32.51%
Bond 9.20% Information Technology 27.32%
Other 0.22% Health Care 11.59%
Cash and Short Term Securities -1.29% Industrials 8.16%
Financials 5.37%
Telecommunication Services 3.86%
Consumer Staples 3.06%

Portfolio Manager(s)

Duncan Anderson, Prakash Chaudhari Manager
Manulife Mutual Funds
Start Date: August, 2016
Fund Return: 21.67%
Also manages: Manulife Canadian Focused Cl