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Fund Report - Standard
For Manulife Financial
Funds 1 to 50 from 879 found.   Reports Help
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StandardShort-termLong-termSimple Annual ReturnsQuartile Rankings5-Star RatingsKey Facts Next

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As of August 17, 2018 As of July 31, 2018

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Price $

1 day
$ Chg

30 day %

3 mo %

6 mo %

1 yr %

3 yr %

Incep  (mm/yy)

Charts
/Info
NAL-Investor Monthly High Income 15.815 0.040 0.70 2.38 -1.07 5.23 3.55 7.36 (04/12) Chart   Price History        
NAL-Canadian Money Market 22.733 0.000 0.03 0.05 0.08 -0.03 -0.34 2.81 (01/89) Chart   Price History        
NAL-Canadian Equity 57.527 0.156 -0.76 3.50 2.27 7.38 3.90 5.77 (04/87) Chart   Price History        
NAL- NAL-Investor Monthly High In 2 16.147 0.043 0.96 3.18 0.46 8.53 6.80 10.10 (10/13) Chart   Price History        
NAL- NAL-Investor Cdn Money Mkt 2 10.574 0.001 0.15 0.41 0.80 1.38 1.09 1.15 (10/13) Chart   Price History        
NAL- NAL-Investor Canadian Equity 2 14.132 0.040 -0.48 4.37 3.96 10.95 7.38 7.47 (10/13) Chart   Price History        
MLI Strategic Income RESP 11.803 -0.012 -0.15 -0.32 -0.16 -0.61 1.00 3.28 (05/13) Chart   Price History        
MLI Strategic Balanced Yield RESP 15.595 0.035 0.40 2.68 -0.37 4.48 4.90 8.87 (05/13) Chart   Price History        
MLI Schroders Dvsfd Growth (06/29) 9.850






Chart   Price History        
MLI RtmPlus U.S. Unconstrained Bd 12.743 0.007 0.70 0.71 1.21 2.40 4.58 5.18 (10/13) Chart   Price History        
MLI RtmPlus Dividend Income Plus 16.094 0.074 -4.23 5.35 0.43 25.27 11.03 10.63 (10/13) Chart   Price History        
MLI RetPlus U.S. All Cap Eqty 18.930 0.083 -0.52 7.87 2.10 15.61 9.24 13.98 (10/13) Chart   Price History        
MLI RetPlus TD Dividend Inc 13.163 0.057 0.92 4.49 1.20 6.07 5.90 5.82 (10/13) Chart   Price History        
MLI RetPlus Strategic Income 11.687 -0.012 -0.18 -0.39 -0.31 -0.91 0.69 3.41 (10/13) Chart   Price History        
MLI RetPlus Monthly High Inc 13.600 0.035 0.72 2.44 -0.95 5.48 3.79 6.35 (10/13) Chart   Price History        
MLI RetPlus Global Infrastr 12.811 0.068 -0.58 4.06 3.43 0.51 0.48 5.37 (10/13) Chart   Price History        
MLI RetPlus Global Equity Cl 16.928 -0.011 -1.32 5.10 4.83 16.68 7.76 11.81 (10/13) Chart   Price History        
MLI RetPlus Global Balanced 14.804 -0.009 -1.01 3.52 3.34 11.37 5.62 8.68 (10/13) Chart   Price History        
MLI RetPlus Corporate Bond 11.281 -0.007 -0.03 0.60 -0.12 0.66 2.24 2.52 (10/13) Chart   Price History        
MLI RetPl TD Dividend Grth 13.497 0.090 1.09 5.92 2.42 8.26 6.74 6.44 (10/13) Chart   Price History        
MLI RetPl TD Cdn Core Pl Bd 10.720 -0.010 -0.74 0.23 -0.17 -0.06 -0.64 1.42 (10/13) Chart   Price History        
MLI RetPl Glbl Mgd Volatility 12.172 0.013 -0.71 2.55 1.98 7.26 2.06 4.27 (10/13) Chart   Price History        
MLI RetPl Fidelity Cdn Dis Eq 13.363 0.050 -1.52 5.93 4.27 8.64 3.41 6.29 (10/13) Chart   Price History        
MLI RetPl Fidelity Cdn Bond 10.595 -0.007 -0.79 0.06 -0.42 -0.05 -0.76 1.14 (10/13) Chart   Price History        
MLI RetPl Fid US Monthly Inc 14.633 -0.074 0.05 4.29 3.81 6.79 3.21 8.13 (10/13) Chart   Price History        
MLI RetPl Fid U.S. All Cap 16.572 -0.059 -0.62 5.14 4.43 16.14 6.93 11.08 (10/13) Chart   Price History        
MLI RetPl Fid Mthly Income 11.634 0.006 -0.62 1.92 0.89 1.17 1.50 3.22 (10/13) Chart   Price History        
MLI RetPl Dollar-Cost Av Adv 10.583 0.000 0.12 0.31 0.62 1.17 1.04 1.18 (10/13) Chart   Price History        
MLI Monthly High Income RESP 14.488 0.037 0.74 2.50 -0.84 5.70 4.01 7.04 (05/13) Chart   Price History        
MLI Ideal Tactical Inc 75/75 PLTN 11.206 0.011 -0.22 3.12 0.96 4.91
5.31 (05/16) Chart   Price History        
MLI Ideal Fdmt Dividend 75/75 PLTN 12.066 0.036 1.49 5.18 2.62 7.51
8.38 (05/16) Chart   Price History        
MLI Ideal Fdmt Dividend 75/75 F 12.314 0.037 1.57 5.41 3.06 8.48
9.36 (05/16) Chart   Price History        
MLI Ideal Cdn Uncons Bd 75/100 F 10.346 -0.006 -0.44 0.62 0.13 1.03
1.40 (05/16) Chart   Price History        
MLI Ideal Cdn Uncons Bd 100/100 F 10.300 -0.006 -0.45 0.57 0.02 0.84
1.20 (05/16) Chart   Price History        
MLI Id S2.1 Tact Inc 75/75 PLTN 11.387 0.012 -0.16 3.32 1.34 5.68
6.06 (05/16) Chart   Price History        
MLI High Interest Savings RESP 10.487 0.000 0.09 0.23 0.45 0.82 0.69 0.90 (05/13) Chart   Price History        
MLI GIF Select InvPl U.S. Uncons Bd 13.163 0.008 0.72 0.78 1.35 2.68 4.92 5.82 (10/13) Chart   Price History        
MLI GIF Sel Orig IncPlus Fdmt Inc 11.429 0.014 0.21 3.77 1.42 4.44
4.50 (08/15) Chart   Price History        
MLI GIF Sel Orig 75 Fdmt Income 11.429 0.014 0.21 3.77 1.42 4.44
4.50 (08/15) Chart   Price History        
MLI GIF Sel InvestmentPlus Fdmt Inc 11.416 0.014 0.21 3.76 1.40 4.40
4.46 (08/15) Chart   Price History        
MLI GIF Sel EstatePlus Fdmt Inc 11.416 0.014 0.21 3.76 1.40 4.40
4.46 (08/15) Chart   Price History        
MLI GIF 2.2Sel IncPlus Fdmt Inc 11.425 0.014 0.21 3.77 1.41 4.42
4.49 (08/15) Chart   Price History        
MLI GIF 2.1Sel IncPlus Fdmt Inc 11.419 0.014 0.21 3.76 1.40 4.37
4.47 (08/15) Chart   Price History        
MLI GIF 2.0Sel IncPlus Fdmt Inc 11.416 0.014 0.21 3.76 1.40 4.40
4.46 (08/15) Chart   Price History        
MLI Dividend Income RESP 17.649 0.065 1.64 5.37 3.28 9.04 8.87 11.14 (05/13) Chart   Price History        
MLI Corporate Bond RESP 11.228 -0.007 -0.03 0.61 -0.09 0.71 2.30 2.20 (05/13) Chart   Price History        
MLI Cdn Bond Fund (Ridgewood (06/29) 12.379






Chart   Price History        
MLF RetPlus Str Inv Gr Glo Bnd 10.250 -0.008 -0.34 -0.38 -0.12 -0.72 0.15 0.84 (04/15) Chart   Price History        
Mlf Id Sel S2.1 Dv Gr&In Pt 75/10PL 11.149 -0.003 -1.46 2.19 0.43 5.23
5.53 (05/16) Chart   Price History        
Mlf Id Sel S2.1 Dv Gr&In Pt 75/100F 11.268 -0.003 -1.42 2.34 0.72 5.81
6.03 (05/16) Chart   Price History        
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Click the Fund Name link to view a Fund Profile. Funds highlighted in yellow are offered by Globefund Partners.  To view a chart select . To view fund price history, click  . To order free mutual fund prospectuses for selected funds, click . To view detailed fund information provided by the fund company, click . To view video clips provided by the fund company, click .

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