Manulife Balanced GIF Select (Multi-Manager)

Canadian Neutral Balanced

BALANCED FUNDS

VOLATILITY METER

No graph based on segregated fund inception date

OBJECTIVE The Fund invests in a combination of Equity and Fixed Income Securities in order to provide a high rate of return and maximum security of principal.

MANAGED BY Manulife Financial

SUB-ADVISORS CIBC Global Asset Management Inc., Genus Capital Management, Greystone Managed Investments Inc., Jarislowsky Fraser Ltd., Montrusco Bolton Inc., Pictet Asset Mangement Inc., Wellington Management Company, LLP


FUND MANAGERS Wayne Wachell, CFA, MBA, Len Racioppo, MBA, CFA, Peter Harrison, MBA, CFA, BComm, Paul Marrkand, John W. Braive, BComm, John Montgomery, CFA, MBA and Greystone Mgd. Invest. - Mgmt. Team

INCEPTION DATE October 2009

TOTAL ASSETS $2.2 million


 

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

Top Holdings
(as at January 31, 2010)

MLI Canadian Diversified 32.72%
Manulife GIF MLIA A Bond 27.18%
MLI Int'nl Equity-Boston 11.59%
Manulife Ser R A U.S. Equity 9.40%
MLI Canadian Large Cap-UT 6.06%
MLI High Yield Bond 5.92%
MLI CANADIAN EQUITY (41B) 5.79%
Manulife ML Elite Small Cap Cdn 1.36%
Total 100.02%

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 Cdn Neutral Balanced 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 Cdn Neutral Balanced Peer Index.
1 Year 3 Year 5 Year 10 Year Since Inception Date of Inception MER(%)
GIF Select 1.03%  Oct 2009 2.48
GIF Select Elite Sales Charge Option 1.31%  Oct 2009 1.73
Globe Cdn Neutral Balanced Peer Index 18.64%  -1.91%  2.44%  3.35%  -

Investment Strategy

The Fund invests in a combination of Canadian, U.S. and international stocks, along with fixed income and short-term securities. The Fund's asset breakdown is a fixed 33% equities, 33% fixed income and 33% swing, which will optimize both Canadian equities and Canadian fixed income securities.

Fund Codes

Investment Option Sales Charge Option Fund Number
GIF Select IncomePlus BE MGF8422
GIF Select InvestmentPlus BE MGF8122
GIF Select EstatePlus BE MGF8922
GIF Select IncomePlus FE MGF8322
GIF Select InvestmentPlus FE MGF8022
GIF Select EstatePlus FE MGF8822
GIF Select IncomePlus LL MGF8522
GIF Select InvestmentPlus LL MGF8222
GIF Select EstatePlus LL MGF9022
GIF Select IncomePlus Elite FE MGF8722
GIF Select InvestmentPlus Elite FE MGF8622
GIF Select EstatePlus Elite FE MGF9122