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Manulife Dividend Inc Pls Cl Adv Sr
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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: April, 2001
Total Assets: $97.98Million  
Sales Fee Type: Optional
Mgmt Expense Ratio (MER): 2.32%
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 December 3, 2018

Current Price: $14.33
Daily Change $: $0.06
1 day: 0.42%
7 day: 2.28%
Month-to-Date: 0.42%
30 day: -2.30%
Year-to-Date: 2.45%

Returns as of October 31, 2018
Fund Group Avg Index*
1 month -5.56% -6.09% -6.27%
3 month -3.45% -6.43% -7.87%
6 month 1.70% -2.46% -2.28%
1 year 12.48% -3.16% -3.41%
3 year 12.63% 4.16% 6.67%
5 year 10.40% 4.64% 5.44%
10 year 11.21% 6.70% 7.56%
15 year 8.57% 5.89% 7.37%
20 year n/a 6.22% 7.10%
Since Inception 7.90% n/a n/a
3 year risk 8.61 8.05 7.40
3 year beta n/a n/a 1.00
* Index refers to S&P/TSX Total Return

Top Holdings as of Oct 31, 2018
Manulife Dividend Income Plus Series X       99.65%
Other       0.19%
Cad Cash       0.16%
Extras

Fund Report
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Fund Codes & Fees
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Fund Price History
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Distribution Report (18 Months Up To December 3, 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
Apr 30, 2018 0.0749   0.0749 0.3529 15.489
Jun 1, 2018   1.3774 1.3774 1.4523 14.839

Investment Objectives
The fundamental investment objective of the Fund is to obtain capital appreciation, preservation and dividend income. The Fund will invest in a diversified portfolio, of which the equity portion will be comprised of mainly Canadian and U.S. equity securities. A portion of the Funds assets may also be held in securities outside of North America.

Portfolio Composition
as of Oct 31, 2018

Sector Weightings
as of Oct 31, 2018

Stock 82.88% Consumer Discretionary 21.33%
Bond 16.50% Information Technology 19.19%
Cash and Short Term Securities 0.84% Industrials 14.98%
Other -0.23% Financials 12.43%
Consumer Staples 5.69%
Health Care 5.24%
Materials 3.64%
Energy 0.39%

Portfolio Manager(s)

Duncan Anderson, Alan Wicks, Chris Hensen, Conrad Dabiet, Jonathan Popper, Prakash Chaudhari Manager
Manulife Mutual Funds
Start Date: August, 2016
Fund Return: 14.70%
Also manages: Manulife Dividend Income Pls Adv Sr
  
Duncan Anderson, Prakash Chaudhari Manager
Manulife Mutual Funds
Start Date: August, 2016
Fund Return: 14.70%
Also manages: Manulife Dividend Income Pls Adv Sr