JHancock Lifestyle Growth 1
(JILGX)
US Markets Open In1 hr 15 min
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16.42
+0.15
+0.92%
:

Previous Close

16.27

Net Assets

11.30B

Yield

2.67%

Front load

None

Expenses

0.11%

Category

Aggressive Allocation

Morningstar Risk

Average

Morningstar Rating ★★★
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Performance
Returns %
Key statistics
  • Composition
  • Performance
  • Top Holdings
  • Top Rated Funds
  • Fund vs. Category
Quarterly Returns
  • Annual

  • JILGX

  • Category

    • 2013

    • 22.31%

    • -

    • 2012

    • 15.50%

    • -

    • 2011

    • -4.84%

    • -

    • 2010

    • 15.30%

    • -

    • 2013

    • 2012

    • 2011

      • Q1

      • 6.46%

      • 11.34%

      • 4.67%

      • Q2

      • 0.49%

      • -3.85%

      • -0.07%

      • Q3

      • 7.22%

      • 5.57%

      • -15.56%

      • Q4

      • 6.64%

      • 2.20%

      • 7.75%

      Composition
      Sector Weightings
      Equity Investment Style
      Bond Investment Style
      The two dimensions of the Fund Style box measure the average size of companies that have been in the FUND, from the top to bottom, and the average valuation characteristics of the FUND's past stock holdings, from left to right.
      • Name

      • % Portfolio Weight

      • Shares Held

      • Change

        • JHancock Emerging Markets NAV

        • 5.23

        • 68,794,989

        • 0

        • JHFunds2 Alpha Opportunities NAV

        • 4.77

        • 52,318,292

        • 91,195

        • JHFunds2 Blue Chip Growth NAV

        • 4.66

        • 19,294,106

        • -21,836

        • JHFunds2 Equity-Income NAV

        • 4.38

        • 30,447,231

        • 3,807,195

        • JHancock Strategic Growth NAV

        • 4.24

        • 38,266,331

        • -827,022

        • JHFunds2 Capital App NAV

        • 4.22

        • 34,356,837

        • -139,004

        • JHFunds2 Capital Appreciation Value NAV

        • 4.22

        • 49,509,247

        • -63,154

        • JHFunds2 International Value NAV

        • 3.89

        • 32,069,147

        • 165,654

        • JHFunds2 Mid Cap Stock NAV

        • 3.36

        • 22,077,486

        • -321,076

        • JHancock Fundamental Large Cap Val NAV

        • 3.32

        • 34,688,564

        • 3,126,441

        • Name

        • Rating

        • YTD Return %

          • ISI Strategy Load Waived

          • ★★★★★
          • 3.42

          • PIMCO StocksPLUS Long Duration Instl

          • ★★★★★
          • 23.89

          • Wells Fargo Advantage Idx Asst Allo A LW

          • ★★★★★
          • 10.89

          • Ivy Balanced I

          • ★★★★★
          • 3.17

          • SEI Moderate Strategy Allc A (SAAT)

          • ★★★★★
          • 6.94

          • Waddell & Reed Continental Inc A LW

          • ★★★★★
          • 2.85

          • Invesco Equity and Income A Load Waived

          • ★★★★★
          • 4.25

          • Wells Fargo Advantage Idx Asst Allo Adm

          • ★★★★★
          • 11.12

          • VY Invesco Equity and Income I

          • ★★★★★
          • 4.12

          • VY Invesco Equity and Income S

          • ★★★★★
          • 3.92

          • Name

          • JILGX

          • Category

            • Expense Ratio

            • 0.11%

            • 0.87%

            • Net Assets

            • 11.30B

            • 346.12M

            • Dividend Yield

            • 1.87%

            • 2.27

            • Price/Book

            • 2.01

            • 2.03

            • Price/Sales

            • 1.34

            • 1.44

            • Price/Cash Flow

            • 7.04

            • 6.48

            Profile

            Name of Issuer

            John Hancock

            Fund Style

            Open

            Fund Manager

            Robert"Bob" Boyda

            Investment Style

            Large Growth

            The investment seeks long-term growth of capital, with current income as a secondary consideration. The fund normally invests approximately 20% of its assets in underlying funds that invest primarily in fixed-income securities and approximately 80% of its assets in underlying funds that invest primarily in equity securities. It may have an equity/fixed-income underlying funds allocation ranging between 90%/10% and 70%/30%. The fund may invest in various underlying funds that, as a group, hold a wide range of equity-type securities. These include small-, mid-, and large-capitalization stocks; domestic and foreign securities; and sector holdings.

            Purchase Information

            Initial Purchase 0
            Initial Purchase: IRA NA
            Initial Purchase: AIP NA
            Front load None
            Back Load None

            Inception

            10/14/2005