17.08 Up +0.04 +0.23%
DETAILS
Symbol Value ($)
Morningstar Rating
Previous Close 17.04
Category Aggressive Allocation
Net Assets 12.20 Bil
Yield 2.67%
Morningstar Risk Average
Morningstar Return Above Average
  • Last NAV update 8/26/2014 4:00 PM ET
INVESTMENT OBJECTIVE
NA
The investment seeks long-term growth of capital, with current income as a secondary consideration. The fund normally invests approximately 20% of its assets in underlying funds that invest primarily in fixed-income securities and approximately 80% of its assets in underlying funds that invest primarily in equity securities. It may have an equity/fixed-income underlying funds allocation ranging between 90%/10% and 70%/30%. The fund may invest in various underlying funds that, as a group, hold a wide range of equity-type securities. These include small-, mid-, and large-capitalization stocks; domestic and foreign securities; and sector holdings.
CUMULATIVE PERFORMANCE OF $10,000
  2010 2011 2012 2013 2014
Return 15.30% -4.84% 15.50% 22.31% 6.55%
Value ($) 11,530.07 10,971.87 12,672.83 15,500.27 16,515.57
  • Year to date performance as of 8/26/2014 12:00 AM ET
MANAGEMENT & PURCHASE INFO
Symbol Value ($)
Fund Family John Hancock
Fund Manager Robert"Bob" Boyda
Tenure (Years) 5
Fund Status Open
Minimum Initial Purchase 0.00
Minimum IRA Investment NA
Front Load 0.00
Expense Ratio 0.11%
PERFORMANCE
Symbol Value ($)
1 Month 0.95%
3 Months 3.89%
1 Year 16.87%
3 Years* 15.52%
5 Years* 12.57%
  • * Annualized returns
  • Performance as of 8/26/2014 12:00 AM ET
PEER COMPARISON
  JILGX Aggressive Allocation
5-Yr Return 12.57% 12.01%
Sharpe Ratio 0.91 1.49
Net Assets 12.20 Bil 346.12 Mil
Avg Market Cap 22.31 Bil 35.54 Bil
Avg P/E 16.73 17.83
Portfolio Turnover 20 43
HOLDINGS
Symbol Value ($)
Stocks 75.69%
Cash 7.66%
Fixed Income 18.56%
Other 3.08%
TOP 10 HOLDINGS
NAME % NET ASSETS
JHancock Emerging Markets NAV 5.06%
JHFunds2 Alpha Opportunities NAV 4.78%
JHFunds2 Blue Chip Growth NAV 4.56%
JHancock Strategic Growth NAV 4.24%
JHFunds2 Capital Appreciation Value NAV 4.16%
JHFunds2 Capital App NAV 4.16%
JHFunds2 International Value NAV 3.92%
JHFunds2 Equity-Income NAV 3.84%
JHFunds2 Mid Cap Stock NAV 3.43%
JHancock Floating Rate Income NAV 3.08%
DATA PROVIDERS

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