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Manulife Strategic Income Adv

Performance

Growth of 10,000

A chart contrasting Fund Growth of 10k over 10 years versus Category and Index
Manager Change : Full Partial

Returns

Price

Cost Illustration

Selected Option

Alternative Options

Sustainability

ESG Risk Rating

2/5

Corporate Sustainability Score
23.54 23.77
Sovereign Sustainability Score
16.43 16.48
Low Carbon Designation

Carbon Risk Score

Strategy

The fund seeks income generation with an emphasis on capital preservation. This Fund invests primarily in government and corporate debt securities from developed and emerging markets. It also invests in U.S. government and agency securities and high yield bonds. The Fund may also invest in preferred shares and other types of debt securities.

Related Investments

Investment Name
Ticker
Inception
Net Assets
Front Load %
Deferred Load %
Expense Ratio %
Minimum Initial Purchase
12b-1 Actual
Purchase Constraint
Shareclass Attributes
Manulife Strategic Income Adv
Manulife Strategic Income Adv
MMF9400
Nov 25, 2005
Manulife Strategic Income Adv
Manulife Strategic Income Adv
MMF459
Nov 25, 2005
1.27 Bil
500.00
Manulife Strategic Income F
Manulife Strategic Income F
MMF9000
Jan 11, 2007
Manulife Strategic Income F
Manulife Strategic Income F
MMF659
Jan 11, 2007
3.49 Bil
500.00
Manulife Strategic Income FT6
Manulife Strategic Income FT6
MMF1030
Aug 09, 2012
39.49 Mil
500.00
Manulife Strategic Income H
Manulife Strategic Income H
MMF359
Nov 19, 2010
1.04 Mil
500.00
C/L Closed to New/All Investments
Manulife Strategic Income H
Manulife Strategic Income H
MMF9600
Nov 19, 2010
C/L Closed to New/All Investments
Manulife Strategic Income T6
Manulife Strategic Income T6
MMF1230
Aug 09, 2012
23.52 Mil
500.00

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