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Manulife Global Managed Volatility

MRPGL10:CN
12.09
CAD
0.07
0.58%
As of 1/17/2018
Fund Type
Open-End Fund
52Wk Range
11.21 - 12.08
1 Yr Return
6.64%
YTD Return
1.85%
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Previous Close
12.02
52Wk Range
11.21 - 12.08
1 Yr Return
6.85%
YTD Return
1.85%
Fund Type
Open-End Fund
Objective
-
Asset Class Focus
-
Geographic Focus
-
NAV (on 01/17/2018)
12.0866
Total Assets (m CAD) (on 02/28/2017)
4.700
Inception Date
10/28/2013
Last Dividend (on -)
-
Dividend Indicated Gross Yield
-
Fund Managers
-
Front Load Fee
-
Back Load Fee
-
Redemption Fee
-
12b-1 Fee
-
Current Mgmt Fee
-
Expense Ratio
-

Top Fund Holdings

Name Position Value % of Fund
7.90 m 89.78 m 100.08
Profile
Manulife Global Managed Volatility is a Segregated Fund incorporated in Canada. The Fund's investment objective seeks to provide a balance between income and long-term capital growth while seeking to manage overall portoflio volatility. The Fund invests in the Manulife Global Managed Volatility Portfolio.
Address
Manulife Investments
200 Bloor Street East
North Tower 3
Toronto, ON M4W 1E5
Phone
1-888-588-7999