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    Manulife Canadian Bal GIF Sel IncPv2.2 (F00000PG9T.TO)

    14.30 Up 0.03(0.21%) Feb 16

    Risk as of Apr 29, 2016Get Risk for:
    Risk Overview 
    Morningstar Risk Rating:4
    Number of Years Up2
    Number of Years Down0
    Best 1 Yr Total Return(Dec 30, 2014):10.62%
    Worst 1 Yr Total Return(Dec 30, 2015):5.90%
    Risk (Modern Portfolio Theory) Statistics 
    3 Years
    Alpha (against Standard Index)4.320.59
    Beta (against Standard Index)0.840.93
    Mean Annual Return0.710.44
    R-squared (against Standard Index)54.7263.31
    Standard Deviation5.505.13
    Sharpe Ratio1.430.91
    Treynor Ratio9.545.01
    5 Years
    Alpha (against Standard Index)N/A1.77
    Beta (against Standard Index)N/A0.88
    Mean Annual ReturnN/A0.51
    R-squared (against Standard Index)N/A62.18
    Standard DeviationN/A4.73
    Sharpe RatioN/A1.14
    Treynor RatioN/A6.22
    10 Years
    Alpha (against Standard Index)N/A-0.05
    Beta (against Standard Index)N/A0.94
    Mean Annual ReturnN/A0.38
    R-squared (against Standard Index)N/A76.26
    Standard DeviationN/A6.91
    Sharpe RatioN/A0.47
    Treynor RatioN/A3.34