10.18 Down -0.01 -0.10%
DETAILS
Symbol Value ($)
Morningstar Rating
Previous Close 10.19
Category Target Date 2000-2010
Net Assets 437,898.00
Yield 2.89%
Morningstar Risk High
Morningstar Return Average
  • Last NAV update 5/24/2013 3:00 AM ET
INVESTMENT OBJECTIVE
NA
The investment seeks high total return through the fund's target retirement date, with a greater focus on income beyond the target date. The fund invests normally substantially all of its assets in underlying funds using an asset allocation strategy designed for investors expected to retire in 2010. It has a target asset allocation of 47.5% of its assets in underlying funds that invest primarily in equity securities. In addition to investing in ETFs, the fund may also invest in U.S. government securities and derivatives, such as credit default swaps and options on equity index futures, interest-rate swaps and foreign currency forward contracts.
CUMULATIVE PERFORMANCE OF $10,000
  2009 2010 2011 2012 2013
Return 31.06% 12.24% -0.18% 12.60% 6.26%
Value ($) 13,106.00 14,710.17 14,683.69 16,533.83 17,568.85
  • Year to date performance as of 5/23/2013 8:00 PM ET
MANAGEMENT & PURCHASE INFO
Symbol Value ($)
Fund Family John Hancock
Fund Manager Bob Boyda
Tenure (Years) 3
Fund Status Open
Minimum Initial Purchase 0.00
Minimum IRA Investment NA
Front Load 0.00
Expense Ratio 0.35%
PERFORMANCE
Symbol Value ($)
1 Month 1.50%
3 Months 3.67%
1 Year 15.19%
3 Years* 10.64%
5 Years* 4.60%
  • * Annualized returns
  • Performance as of 5/23/2013 8:00 PM ET
PEER COMPARISON
  JLAGX Target Date 2000-2010
5-Yr Return 4.60% 3.88%
Sharpe Ratio 0.88 0.96
Net Assets 437,898.00 265.04 Mil
Avg Market Cap 24.76 Bil 26.08 Bil
Avg P/E 15.61 14.12
Portfolio Turnover 55 28
HOLDINGS
Symbol Value ($)
Stocks 41.73%
Cash 5.65%
Fixed Income 49.45%
Other 3.19%
TOP 10 HOLDINGS
NAME % NET ASSETS
JHFunds2 Strategic Equity Allc NAV 18.41%
JHFunds2 Active Bond NAV 9.01%
JHFunds2 Total Return NAV 9.01%
JHancock2 Floating Rate Income NAV 7.90%
JHancock2 Strategic Income Opps NAV 4.73%
JHFunds2 Spectrum Income NAV 4.14%
JHancock2 Short Duration Credit Opps NAV 4.14%
JHFunds2 Capital Appreciation Value NAV 3.66%
JHancock2 US Equity NAV 2.97%
JHFunds2 High Yield NAV 2.64%
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Financial data in US dollars | Page generated 5:07 AM ET
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