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    Manulife Investment Management Recognized Again by Fundata Canada with 34 Funds Receiving Awards for Risk-Adjusted Performance

    2/7/25 9:25:00 AM ET
    $MFC
    Life Insurance
    Finance
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    TORONTO, Feb. 7, 2025 /CNW/ - Manulife Investment Management, a company of Manulife Wealth & Asset Management, announced today that Fundata Canada has recognized 34 of its funds, including 23 segregated funds, 7 mutual funds and 4 ETFs for earning FundGrade A+® Ratings. Manulife Investment Management has received recognition from Fundata Canada for 13 consecutive years – every year since the awards' debut in 2012.

    Manulife Investment Management Logo (CNW Group/Manulife Investment Management)

    The FundGrade A+® Award is given annually to investment funds and managers who have shown consistent, outstanding, risk-adjusted performance incorporating up to10 years of history. Achieving a FundGrade A+® Rating is a distinction for these funds as the honour is considered objective and independent based on Fundata's criteria and ratings system.

    "We are excited to share this accolade for a combined total of 34 Manulife Investment Management funds which we feel will help investors build more resilient portfolios as a result of consistent performance over the long-term," said Jordy Chilcott, Head of Retail Intermediary Distribution, Manulife Investment Management, Canada. "As a result of the strong convictions and expertise of the investment and product teams that helped to achieve the recognition for these funds, we are grateful to them for their work and we are thrilled to be recognized again by Fundata. We will continue to bring diverse investment options to our clients across asset classes to help people invest for their future savings goals."

    The following Manulife segregated funds, mutual funds and ETFs were awarded Fundata's FundGrade A+® rating:

    Segregated Funds*

    FundGrade start date

    FundGrade

    Calc date 

    Fund count 

    1Y return

    3Y return

    5Y return

    10Y return

    Total return

    since

    inception

    Inception date

    Canadian Dividend & Income Equity category



















    Manulife Smart Dividend ETF GIF Select**

    12/31/2021

    12/31/2024

    30

    13.15

    5.76

    —

    —

    5.22

    9/13/2021

    Manulife Smart Dividend ETF Private Segregated

    Pools**

    12/31/2021

    12/31/2024

    30

    13.57

    6.09

    —

    —

    5.55

    9/13/2021

    Canadian Equity category



















    Manulife Canadian Equity Private Segregated Pool

    12/31/2014

    12/31/2024

    64

    15.75

    7.74

    10.47

    8.73

    8.96

    10/6/2014

    Canadian Focused Equity category



















    Manulife Fundamental Equity GIF

    12/31/2014

    12/31/2024

    67

    17.84

    7.77

    11.32

    9.09

    7.4

    1/26/2004

    Manulife Ideal Canadian Equity Fund

    12/31/2014

    12/31/2024

    67

    17.37

    6.98

    10.45

    8.06

    9.36

    12/12/2012

    Manulife RetirementPlus Fundamental Equity

    12/31/2014

    12/31/2024

    64

    18.11

    8.03

    11.59

    9.36

    9.88

    10/28/2013

    Global Equity category



















    Manulife Climate Action GIF Select**

    12/31/2021

    12/31/2024

    148

    24.14

    7.28

    —

    —

    10.82

    5/25/2021

    Manulife Climate Action Private Segregated Pool**

    12/31/2021

    12/31/2024

    148

    24.78

    7.81

    —

    —

    11.35

    5/25/2021

    Manulife Global Equity Private Segregated Pool

    12/31/2014

    12/31/2024

    148

    9.34

    3.61

    7.91

    9.17

    9.84

    10/6/2014

    Canadian Equity Balanced category



















    Manulife Fundamental Balanced Class GIF Select**

    12/31/2020

    12/31/2024

    81

    13.78

    5.94

    —

    —

    9.4

    5/4/2020

    Manulife Fundamental Balanced Class Private

    Segregated Pool**

    12/31/2020

    12/31/2024

    81

    14.07

    —

    —

    —

    12.43

    2/21/2023

    Canadian Fixed Income Balanced category



















    Manulife Simplicity Moderate Portfolio GIF

    12/31/2014

    12/31/2024

    66

    8.75

    1.24

    3.11

    3.32

    3.29

    12/26/2000

    Global Fixed Income Balanced category



















    Manulife Balanced Income Portfolio GIF Select 

    12/31/2014

    12/31/2024

    58

    10.56

    1.94

    4.19

    4.42

    5.26

    10/2/2009

    Manulife Moderate Portfolio GIF Select**

    12/31/2017

    12/31/2024

    58

    9.13

    1.53

    3.22

    —

    3.16

    5/19/2017

    Manulife Moderate Private Segregated Portfolio**

    12/31/2017

    12/31/2024

    58

    9.47

    1.86

    3.55

    —

    4.52

    11/29/2018

    Manulife Canadian Growth & Income Private

    Segregated Pool

    12/31/2015

    12/31/2024

    81

    12.06

    4.44

    6.29

    —

    6.05

    8/24/2015

    Manulife Ideal Balanced Fund

    12/31/2014

    12/31/2024

    102

    12.92

    4.53

    6.72

    5.13

    3.41

    10/10/2000

    Manulife Ideal Core Plus Bond Fund

    12/31/2014

    12/31/2024

    63

    3.37

    -1.69

    -0.2

    —

    0.49

    5/17/2016

    Manulife Monthly High Income GIF

    12/31/2014

    12/31/2024

    102

    17.99

    4.24

    6.35

    5.31

    7.6

    12/26/2000

    Canadian Neutral Balanced category



















    Manulife Canadian Balanced Private Segregated Pool

    12/31/2014

    12/31/2024

    102

    18.15

    4.41

    6.42

    5.34

    5.64

    10/6/2014

    Global Neutral Balanced category



















    Manulife Strategic Balanced Yield GIF

    12/31/2014

    12/31/2024

    152

    12.23

    3.09

    4.76

    5.96

    6.02

    9/19/2014

    Manulife U.S. Balanced Private Segregated Pool

    12/31/2014

    12/31/2024

    152

    11.59

    4.46

    6.09

    6.12

    6.62

    10/6/2014

    Manulife Global Balanced Private Segregated Pool

    12/31/2014

    12/31/2024

    152

    7.22

    1.67

    5.08

    6.49

    6.91

    10/6/2014

    Manulife Global Monthly High Income GIF Select**

    12/31/2014

    12/31/2024

    102

    18.58

    3.48

    9.3

    7.42

    7.1

    10/7/2013

    Manulife Global Monthly High Income Private

    Segregated Pool**

    12/31/2014

    12/31/2024

    102

    18.87

    3.71

    —

    —

    5.62

    5/25/2021

    Manulife Global Strategic Balanced Yield GIF Select

    12/31/2014

    12/31/2024

    152

    12.23

    3.09

    4.76

    5.96

    6.02

    9/19/2014

    Multi-Sector Fixed Income category



















    Manulife Corporate Fixed Income Private Segregated

    Pool

    12/31/2014

    12/31/2024

    13

    7.52

    1.68

    2.49

    2.95

    2.83

    10/6/2014

    Tactical Balanced category



















    Manulife Ideal Tactical Income Fund

    12/31/2014

    12/31/2024

    21

    14.26

    6.06

    7.79

    —

    6.59

    5/17/2016





















    Mutual Funds***

    FundGrade start date 

    FundGrade

    Calc date

    Fund count

    1Y return

    3Y return

    5Y return

    10Y return

    Total return

    since

    inception

    Inception date

    Canadian Equity Balanced category



















    Manulife Fundamental Balanced Class

    12/31/2014

    12/31/2024

    52

    14.42

    6.39

    8.59

    7.22

    7.41

    3/22/2012

    Canadian Equity category



















    Manulife Canadian Equity Private Pool

    12/31/2014

    12/31/2024

    158

    16.19

    8.14

    10.86

    9.12

    9.86

    12/14/2012

    Canadian Focused Equity category



















    Manulife Fundamental Equity Fund 

    12/31/2014

    12/31/2024

    70

    19.00

    8.81

    12.37

    10.12

    8.86

    8/26/2003

    Tactical Balanced category



















    Manulife Tactical Income Fund 

    12/31/2014

    12/31/2024

    56

    14.51

    6.30

    8.03

    6.10

    4.65

    7/6/2007

    Canadian Neutral Balanced



















    Manulife Canadian Growth and Income Private Trust

    12/31/2015

    12/31/2024

    55

    12.35

    4.70

    6.53

    —

    5.68

    8/10/2015

    Manulife Canadian Balanced Private Pool 

    12/31/2014

    12/31/2024

    55

    18.51

    4.71

    6.71

    5.64

    7.30

    12/14/2012

    Global Neutral Balanced



















    Manulife Global Monthly High Income Fund

    12/31/2014

    12/31/2024

    224

    18.90

    3.72

    9.49

    7.58

    8.01

    8/19/2011





















    ETFs****

    FundGrade start date

    FundGrade

    calc date

    Fund count

    1Y return

    3Y return

    5Y return

    10Y return

    Total return

    since

    inception

    Inception date

    Canadian Equity category



















    Manulife Multifactor Canadian Large Cap Index ETF (MCLC)

    12/31/2017

    12/31/2024

    158

    21.35

    10.57

    11.55

    —

    9.52

    4/17/2017

    Canadian Fixed Income category



















    Manulife Smart Core Bond ETF (BSKT)

    12/31/2020

    12/31/2024

    137

    4.74

    0

    —

    —

    -0.34

    11/25/2020

    Canadian Corporate Fixed Income category



















    Manulife Smart Corporate Bond ETF (CBND)

    12/31/2020

    12/31/2024

    36

    7.12

    1.68

    —

    —

    1.38

    11/25/2020

    Canadian Short Term Fixed Income



















    Manulife Smart Short-Term Bond ETF (TERM)

    12/31/2020

    12/31/2024

    86

    7.37

    3.06

    —

    —

    2.19

    11/25/2020

    *Segregated fund performance shown for Manulife GIF Select InvestmentPlus, MPIP Segregated Pools, Manulife Guaranteed Investment Funds (GIF) and Manulife RetirementPlus funds are for the front-end sales charge. For Ideal funds, the performance shown is for the no-load sales charge. Performance for the winning segregated funds is for the period ending December 31, 2024. The Manulife RetirementPlus and Manulife Ideal segregated fund contracts are no longer open to new deposits effective October 2022. Refer to the price and performance tool  to learn more about the underlying funds available in active contracts.

    ** The Fundgrade A+ award applies to an entire fund family, including every segregated fund product and series where a fund is available. This fund has been listed twice to highlight that it is available in both GIF Select and MPIP Segregated Pools contracts.

    *** Mutual fund performance shown is for advisor series.  Performance for the winning mutual funds is for the period ending December 31, 2024.

    **** Performance for the winning ETFs is for the period ending December 31, 2024.

    FundGrade A+® is used with permission from Fundata Canada Inc., all rights reserved. The annual FundGrade A+® Awards are presented by Fundata Canada Inc. to recognize the "best of the best" among Canadian investment funds. The FundGrade A+® calculation is supplemental to the monthly FundGrade ratings and is calculated at the end of each calendar year. The FundGrade rating system evaluates funds based on their risk-adjusted performance, measured by Sharpe Ratio, Sortino Ratio, and Information Ratio. The score for each ratio is calculated individually, covering all time periods from 2 to 10 years. The scores are then weighted equally in calculating a monthly FundGrade. The top 10% of funds earn an A Grade; the next 20% of funds earn a B Grade; the next 40% of funds earn a C Grade; the next 20% of funds receive a D Grade; and the lowest 10% of funds receive an E Grade. To be eligible, a fund must have received a FundGrade rating every month in the previous year. The FundGrade A+® uses a GPA-style calculation, where each monthly FundGrade from "A" to "E" receives a score from 4 to 0, respectively. A fund's average score for the year determines its GPA. Any fund with a GPA of 3.5 or greater is awarded a FundGrade A+® Award. For more information, see www.FundGradeAwards.com. Although Fundata makes every effort to ensure the accuracy and reliability of the data contained herein, the accuracy is not guaranteed by Fundata.

    Manulife Investment Management is a trade name of Manulife Investment Management Limited and The Manufacturers Life Insurance Company.  The Manufacturers Life Insurance Company (Manulife) is the issuer of Manulife Investment Management insurance contracts and the guarantor of any guarantee provisions therein. Manulife Mutual Funds are managed by Manulife Investment Management Limited. 

    Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund, ETFs and segregated fund investments. Please read the fund facts as well as the prospectus before investing in mutual funds, the ETF Facts as well as the prospectus before investing in ETFs and information folder, contract and fund facts before investing in segregated fund contracts. The indicated rates of return are the historical annual compounded total returns including changes in unit value and reinvestment of all distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any securityholder that would have reduced returns. Mutual funds and ETFs are not guaranteed, their values change frequently, and past performance may not be repeated. Any amount that is allocated to a segregated fund is invested at the risk of the contract holder and may increase or decrease in value.

    Manulife, Manulife Investment Management, the Stylized M Design, and Manulife Investment Management & Stylized M Design are trademarks of The Manufacturers Life Insurance Company and are used by it, and by its affiliates under license.

    About Manulife 

    Manulife Financial Corporation is a leading international financial services provider, helping people make their decisions easier and lives better. With our global headquarters in Toronto, Canada, we provide financial advice and insurance, operating as Manulife across Canada, Asia, and Europe, and primarily as John Hancock in the United States. Through Manulife Wealth & Asset Management, we offer global investment, financial advice, and retirement plan services to individuals, institutions, and retirement plan members worldwide. At the end of 2023, we had more than 38,000 employees, over 98,000 agents, and thousands of distribution partners, serving over 35 million customers. We trade as 'MFC' on the Toronto, New York, and the Philippine stock exchanges, and under '945' in Hong Kong. 

    Not all offerings are available in all jurisdictions. For additional information, please visit manulife.com.



    About Manulife Wealth & Asset Management

    As part of Manulife Financial Corporation, Manulife Wealth & Asset Management provides global investment, financial advice, and retirement plan services to 19 million individuals, institutions, and retirement plan members worldwide. Our mission is to make decisions easier and lives better by empowering people today to invest for a better tomorrow. As a committed partner to our clients and as a responsible steward of investor capital, we offer a heritage of risk management, deep expertise across public and private markets, and comprehensive retirement plan services. We seek to provide better investment and impact outcomes and to help people confidently save and invest for a more secure financial future. Not all offerings are available in all jurisdictions. For additional information, please visit manulifeim.com.

    Media Contact

    Elizabeth Bartlett

    Manulife

    857 210 2286

    [email protected] 

    SOURCE Manulife Investment Management

    Cision View original content to download multimedia: http://www.newswire.ca/en/releases/archive/February2025/07/c1666.html

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