Total net assets ($CAD):
$3.41 million

The top 1 holdings make up 99.83% of the Fund.
Foreign Corporate Bonds
US Equity
Canadian Government Bonds
Canadian Corporate Bonds
International Equity
Canadian Equity
Foreign Government Bonds
Cash and Equivalents
Commodities
Other
Canada
United States
Other
United Kingdom
Multi-National
France
Japan
Europe
Africa
Netherlands
Fixed Income
Other
Exchange Traded Fund
Cash and Cash Equivalent
Technology
Financial Services
Industrial Services
Utilities
Consumer Services
Healthcare
Top holdings Sector allocation (%)
Manulife Moderate Portfolio Advisor Series Mutual Fund 99.83%
Asset allocation

Foreign Corporate Bonds 21.26%

US Equity 15.15%

Canadian Government Bonds 14.46%

Canadian Corporate Bonds 11.85%

International Equity 9.56%

Canadian Equity 9.16%

Foreign Government Bonds 7.65%

Cash and Equivalents 5.74%

Commodities 3.20%

Other 1.97%

Geographic allocation

Canada 39.78%

United States 39.24%

Other 13.50%

United Kingdom 2.15%

Multi-National 1.56%

France 0.96%

Japan 0.77%

Europe 0.70%

Africa 0.68%

Netherlands 0.66%

Sector allocation

Fixed Income 55.94%

Other 10.81%

Exchange Traded Fund 6.56%

Cash and Cash Equivalent 5.74%

Technology 5.29%

Financial Services 3.60%

Industrial Services 3.54%

Utilities 3.38%

Consumer Services 3.02%

Healthcare 2.12%