Manulife Corporate Bond GIF Select

High Yield Fixed Income

FIXED INCOME FUNDS

VOLATILITY METER

Low (1) High (25)
Volatility Meter: 6

Based on 3 year standard deviation from Globefund.com

UNDERLYING FUNDà Manulife Corporate Bond Fund

OBJECTIVE The investment objective of the Fund is to generate a consistent level of current income and capital growth by investing in Canadian and U.S. corporate and high yield bonds.

MANAGED BY MFC Global Investment Management (Canada)

SUB-ADVISORS MFC Global Investment Management (Canada)


FUND MANAGERS Terry Carr, CFA

INCEPTION DATE August 2003

TOTAL ASSETS $831.0 million


 

How the underlying fund is invested
(as at January 31, 2010)

Top holdings within the underlying fund
(as at January 31, 2010)

Hydro One, 5.18%, October 18, 2017 1.81%
General Electric, 5.53%, August 17, 2017 1.69%
Omega Healthcare, 7.00%, January 15, 2016 1.28%
Novelis Inc., 7.25%, February 15, 2015 1.15%
Canadian Oil Sands Trust, 7.75%, May 15, 2019 1.14%
Teekay Corp., 8.88%, July 15, 2011 1.14%
Geokinetics Inc, 9.75%, December 15, 2014 1.13%
Smithfield Foods, 7.75%, July 1, 2017 1.13%
Cascades Inc., 7.75%, December 15, 2016 1.10%
ASG Consolidated LLC, 11.50%, November 1, 2011 1.09%
Total 12.66%

PERFORMANCE DATA

The performance data shown assumes that all income/realized net gains are retained by the segregated fund and are reflected in higher unit values of the segregated fund. It does not take into account any charges or income taxes payable that would have reduced performance. Performance histories are not indicative of future performance. Investment returns will fluctuate and are not guaranteed. Any subsequent offerings have different returns and growth values due to the different inception dates and MERs.

YEAR BY YEAR RETURNS*

This chart shows you the fund's annual performance and how an investment made on January 1st would have changed by December 31st.


OVERALL PAST PERFORMANCE* (as at January 31, 2010)

This graph shows how a $10,000 investment in this fund would have changed in value compared with the Globe High Yield Fixed Income Peer Index.


*For illustration purposes only. Includes mutual/pooled fund performance as indicated. Actual segregated fund performance could be expected to vary.


ANNUAL COMPOUND RETURNS (as at January 31, 2010)

This table shows the historical annual compound total return of the segregated fund compared with the Globe High Yield Fixed Income Peer Index.
1 Year 3 Year 5 Year 10 Year Since Inception Date of Inception MER(%)
GIF Select 23.64%  4.78%  4.88%  Oct 2006 2.03
GIF Select Elite Sales Charge Option 24.24%  7.16%  Oct 2007 1.54
Globe High Yield Fixed Income Peer Index 26.93%  2.29%  2.92%  4.30%  -

Investment Strategy

This Fund will invest in units of the underlying mutual fund or a substantially similar fund.

Fund Codes

Investment Option Sales Charge Option Fund Number
GIF Select IncomePlus BE MGS2412
GIF Select 75 Series BE MGS2112
GIF Select IncomePlus FE MGS2312
GIF Select 75 Series FE MGS2012
GIF Select IncomePlus LL MGS2512
GIF Select 75 Series LL MGS2212
GIF Select IncomePlus Elite FE MGS2712
GIF Select 75 Series Elite FE MGS2612