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Manulife Diversified Investment Seg Fund MLIP B (0P0000HKS7.TO)

Toronto - Toronto Delayed Price. Currency in CAD
21.10+0.10 (+0.47%)
At close: 03:00PM EST
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Performance Overview

Morningstar Return Rating★★★★
Year-to-Date ReturnN/A
5-Year Average ReturnN/A
Number of Years Up11
Number of Years Down1
Best 1 Yr Total Return (Invalid Date)18.06%
Worst 1 Yr Total Return (Invalid Date)-2.71%
Best 3-Yr Total Return18.06%
Worst 3-Yr Total Return2.24%

Trailing Returns (%) Vs. Benchmarks

Return0P0000HKS7.TOCategory
YTD-11.92%3.59%
1-Month4.83%1.07%
3-Month4.87%3.59%
1-Year-9.70%11.18%
3-Year0.69%6.56%
5-Year3.54%8.97%
10-Year5.95%4.04%
Last Bull Market0.00%0.00%
Last Bear Market0.00%0.00%

Annual Total Return (%) History

Year
0P0000HKS7.TOCategory
2022
N/AN/A
2021
7.05%N/A
2020
8.29%N/A
2019
13.38%N/A
2018
-2.71%N/A
2017
8.20%N/A
2016
1.54%N/A
2015
8.71%6.42%
2014
10.40%8.57%
2013
18.06%18.76%
2012
9.10%9.47%
2011
0.20%-4.77%
2010
8.00%8.89%
2009
12.82%18.96%
2008
N/A-22.90%

Past Quarterly Returns (%)

YearQ1Q2Q3Q4
2022-8.26%-9.78%-1.07%N/A
2021-0.45%3.07%0.73%3.57%
2020-8.23%9.20%4.02%3.87%
20197.32%2.39%0.89%2.26%
20180.20%1.41%0.22%-4.46%
20173.15%1.87%-0.78%3.78%
2016-1.27%1.48%3.06%-1.67%
20157.47%-1.69%-1.24%4.18%
20143.94%1.73%0.20%4.20%
20134.87%0.82%3.95%7.41%
20124.49%-1.35%2.88%2.87%
20112.12%0.37%-6.20%4.21%
20100.50%-3.62%7.49%3.72%
2009-3.88%8.32%6.94%1.32%
2008-5.55%N/AN/AN/A

Rank In Category (By Total Return)

YTD98
1-Month62
3-Month90
1-Year97
3-Year56
5-Year67

Load Adjusted Returns

1-Year10.87%
3-Year6.45%
5-Year6.09%
10-Year7.36%
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