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John Hancock Funds II Multimanager Lifestyle Aggressive Portfolio Class R1 (JPLAX)
At close: December 17 at 8:00 PM EST
Performance Overview
Morningstar Return Rating | 3 |
YTD Return | 9.38% |
5y Average Return | 6.26% |
Number of Years Up | 9 |
Number of Years Down | 4 |
Best 1Y Total Return (Feb 4, 2019) | 35.66% |
Worst 1Y Total Return (Feb 4, 2019) | -42.56% |
Best 3Y Total Return | 35.66% |
Worst 3Y Total Return | -5.61% |
Trailing Returns (%) Vs. Benchmarks
Monthly Total Returns
JPLAX
Category
- YTD
- 1.53%
- 13.38%
- 1-Month
- -3.11%
- 1.16%
- 3-Month
- 7.41%
- 6.75%
- 1-Year
- 10.42%
- 40.77%
- 3-Year
- 5.85%
- 13.59%
- 5-Year
- 9.01%
- 13.52%
- 10-Year
- 8.30%
- 10.48%
- Last Bull Market
- 20.85%
- 21.11%
- Last Bear Market
- -21.21%
- -19.34%
Annual Total Return (%) History
Year
JPLAX
Category
Past Quarterly Returns
Year | Q1 | Q2 | Q3 | Q4 |
---|---|---|---|---|
2020 | -22.47% | 21.91% | 7.41% | -- |
2019 | 12.80% | 2.91% | -1.31% | 8.76% |
2018 | 0.00% | 0.85% | 3.06% | -13.96% |
2017 | 6.78% | 4.32% | 4.81% | 4.87% |
2016 | -1.28% | 1.22% | 5.71% | 0.80% |
2015 | 3.00% | 0.71% | -9.39% | 4.37% |
2014 | 1.38% | 3.70% | -2.38% | 1.16% |
2013 | 7.01% | 0.50% | 8.38% | 7.39% |
2012 | 12.80% | -5.32% | 5.70% | 2.24% |
2011 | 5.17% | -0.69% | -18.10% | 8.15% |
2010 | 4.42% | -12.07% | 13.23% | 10.61% |
2009 | -9.07% | 20.63% | 17.78% | 5.00% |
2008 | -10.48% | -0.29% | -14.82% | -24.46% |
2007 | 2.44% | 6.81% | 1.49% | -2.81% |
2006 | 8.18% | -- | -- | -- |
Rank in Category (By Total Return)
YTD | 40 |
1-Month | 69 |
3-Month | 44 |
1-Year | 31 |
3-Year | 50 |
5-Year | 45 |
Load Adjusted Returns
1-Year | 10.42% |
3-Year | 5.85% |
5-Year | 9.01% |
10-Year | 8.30% |
Performance & Risk
YTD Return | 9.38% |
5y Average Return | 6.26% |
Rank in Category (ytd) | 40 |
% Rank in Category (ytd) | -- |
Beta (5Y Monthly) | 1.68 |
Morningstar Risk Rating |
Fund Overview
Category | Allocation--85%+ Equity |
Fund Family | John Hancock |
Net Assets | 3.44B |
YTD Return | 1.53% |
Yield | 0.81% |
Morningstar Rating | |
Inception Date | Sep 18, 2006 |
Fund Summary
The investment seeks long-term growth of capital. The fund normally invests approximately 100% of its assets in underlying funds that invest primarily in equity securities. It may have an equity/fixed-income underlying fund allocation of 90%/10%. The fund may invest in various actively managed 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 (including emerging-market securities); and sector holdings. The fund is non-diversified.
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