Mutual Funds

The past performance shown here reflects reinvested distributions and the beneficial effect of any expense reductions, and does not guarantee future results. Returns for periods shorter than one year are cumulative, and results for other share classes will vary. Shares will fluctuate in value and, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance cited.

Performance figures assume that all distributions are reinvested. POP (public offering price) figures for Class A shares reflect the maximum sales charge, which is 5.0% for equity, asset allocation, and alternative/specialty funds and 4.0% for fixed-income funds (reduced from 4.5%, effective 2/3/14), with the following exceptions: John Hancock Absolute Return Currency Fund and John Hancock Global Conservative Absolute Return Fund have a maximum sales charge of 3.0%, and John Hancock Floating Rate Income Fund and John Hancock Short Duration Credit Opportunities Fund have a maximum sales charge of 2.5% (reduced from 3.0% and 4.5%, respectively, effective 2/3/14). Performance quoted without sales charges would be reduced if the sales charges were applied. Performance for other share classes will vary. For money market funds, the yield quoted more closely reflects the current earnings of the fund than the total return performance shown. Sales charges do not apply to money market funds and as a result, those funds do not quote POP performance figures.

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Domestic equity

 Prices & YTD Returns
Avg Annual Total Returns (%):Month-EndQuarter-End
 NAV as of 8/18/17NAV as of 7/31/17POP as of 7/31/17 
Symbol Fund Name Price ($) Chg YTD (%) 1YR 3YR 5YR 10YR Life of Fund 1YR 3YR 5YR 10YR Life of Fund Life of Fund Date
SVBAX Balanced1 19.60 0.03 5.748.825.489.036.457.243.373.697.925.917.0210/5/92
JBGAX Blue Chip Growth2 37.61 0.00 22.5125.5013.6317.519.9410.4719.2311.7016.319.389.9910/15/05
PZFVX Classic Value3 30.01 0.03 2.5625.308.4515.433.948.2919.056.6114.253.408.036/24/96
JVLAX Disciplined Value4 21.09 0.05 5.7117.807.4113.447.148.3211.915.5912.296.598.051/16/97
JVMAX Disciplined Value Mid Cap5 21.60 0.03 4.1514.9710.6816.6310.4510.099.218.8015.459.899.816/2/97
JHEIX Equity Income2 19.98 0.00 4.8115.527.0111.995.917.329.755.1910.855.376.8610/15/05
JHKAX ESG All Cap Core 11.25 0.04 6.9414.14NANANA14.388.42NANANA9.376/6/16
JHJAX ESG Large Cap Core 11.21 0.03 6.8613.61NANANA13.357.89NANANA8.386/6/16
JFCAX Fundamental All Cap Core6 17.67 0.01 12.3320.0710.7016.03NA12.8814.078.8214.84NA11.946/1/11
TAGRX Fundamental Large Cap Core7 48.84 0.11 10.6020.4511.4515.148.4810.7714.439.5713.967.9310.599/30/84
JFVAX Fundamental Large Cap Value6 14.12 0.02 4.6716.406.7513.48NA11.4010.584.9412.32NA10.476/1/11
JASOX New Opportunities8 26.57 0.01 -0.9716.767.3313.396.166.4310.915.5012.245.625.9610/15/05
JSCAX Small Cap Value9 19.70 0.03 -8.037.608.4012.11NA14.642.246.5710.97NA13.9512/16/08
JCSAX Small Company10 28.30 0.02 1.2515.388.5112.406.7910.399.636.6811.256.2510.177/31/91
JSGAX Strategic Growth11 18.15 0.02 17.0218.3211.1514.48NA15.5812.409.2713.31NA14.5312/19/11
USGLX U.S. Global Leaders Growth12 44.96 0.09 15.5813.4412.2813.249.309.347.7710.3712.098.749.089/29/95
JHUAX U.S. Growth13 9.55 0.00 17.0315.769.2911.836.836.809.957.4410.696.286.3310/29/05
JVEAX Value Equity 11.81 0.03 6.3018.968.53NANA7.3713.006.70NANA5.596/26/14

Global and international

 Prices & YTD Returns
Avg Annual Total Returns (%):Month-EndQuarter-End
 NAV as of 8/18/17NAV as of 7/31/17POP as of 7/31/17 
Symbol Fund Name Price ($) Chg YTD (%) 1YR 3YR 5YR 10YR Life of Fund 1YR 3YR 5YR 10YR Life of Fund Life of Fund Date
JDIBX Disciplined Value Intl14 13.39 0.01 14.3517.112.939.83NA9.8011.261.198.71NA8.8012/30/11
JEVAX Emerging Markets15 11.18 0.05 23.4020.232.194.761.913.1714.230.463.701.392.655/1/07
JEMQX Emerging Markets Equity 11.05 0.08 27.1622.25NANANA5.2516.14NANANA2.726/16/15
JTQAX ESG International Equity 12.20 0.02 21.64NANANANA22.50NANANANA16.3312/14/16
JFGAX Fundamental Global Franchise16 13.85 0.04 17.8712.8912.1013.21NA13.607.2510.2012.06NA12.466/29/12
JHGEX Global Equity17 11.90 0.01 9.2714.075.81NANA7.688.364.01NANA6.375/16/13
JGYAX Global Shareholder Yield18 11.15 0.01 9.387.183.968.555.235.451.802.207.434.704.933/1/07
JCOAX Greater China Opportunities19 23.12 0.11 33.0329.257.2211.783.0110.1622.795.4110.642.489.706/9/05
GOIGX International Growth20 25.41 0.04 24.9316.438.3811.664.326.4010.616.5410.523.785.916/12/06
JISAX International Small Company21 12.13 0.01 19.1620.856.0812.222.814.1514.814.2811.072.293.684/28/06
JIEAX International Value Equity22 8.47 0.00 12.9318.431.537.021.084.9812.51-0.195.920.574.703/31/98

Income

 Prices & YTD Returns
Avg Annual Total Returns (%):Month-EndQuarter-End
 NAV as of 8/18/17NAV as of 7/31/17POP as of 7/31/17 
Symbol Fund Name Price ($) Chg YTD (%) 1YR 3YR 5YR 10YR Life of Fund 1YR 3YR 5YR 10YR Life of Fund Life of Fund Date
JHNBX Bond23 15.99 0.00 4.211.873.043.716.017.36-2.181.632.875.587.2611/9/73
TACAX California Tax-Free Income24 10.92 0.01 4.77-0.773.693.554.545.62-4.712.302.714.115.4612/29/89
JMKAX Emerging Markets Debt25 9.79 0.01 10.688.423.944.32NA5.924.032.553.48NA5.351/4/10
JBOAX ESG Core Bond 10.16 0.00 2.09NANANANA2.55NANANANA-1.5912/14/16
JFIAX Floating Rate Income26 8.45 0.01 0.946.011.813.07NA4.043.360.952.55NA3.771/2/08
JYGAX Global Income27 9.49 0.00 6.196.983.173.85NA5.952.701.793.00NA5.3911/2/09
JHGIX Government Income28 9.42 0.00 1.95-1.891.381.113.654.84-5.840.010.283.234.659/30/94
JHHBX High Yield29 3.51 0.01 4.7211.203.347.323.756.116.781.966.473.335.936/30/93
JHTFX High Yield Municipal Bond24 8.04 0.00 4.81-0.444.283.204.224.61-4.412.862.363.794.4312/31/93
JHFIX Income30 6.49 0.00 3.501.892.393.455.876.85-2.140.992.605.446.718/18/86
TAUSX Investment Grade Bond31 10.52 0.00 3.580.162.572.675.015.23-3.871.191.844.585.0612/31/91
JHMXX Money Market32 1.00 0.00 0.160.140.050.030.401.980.000.000.000.000.009/13/95
JMBAX Short Duration Credit Opps33 9.72 0.00 3.114.851.542.36NA3.412.180.701.85NA3.0711/2/09
JHSIX Spectrum Income34 10.80 0.01 4.684.293.194.105.405.580.071.803.244.975.2110/29/05
JIPAX Strategic Income Opportunities35 10.89 0.01 4.164.423.504.156.476.090.202.093.306.045.704/28/06
TAMBX Tax-Free Bond24 9.86 0.01 4.38-0.813.302.684.085.44-4.791.891.843.655.281/5/90

Alternative and specialty

 Prices & YTD Returns
Avg Annual Total Returns (%):Month-EndQuarter-End
 NAV as of 8/18/17NAV as of 7/31/17POP as of 7/31/17 
Symbol Fund Name Price ($) Chg YTD (%) 1YR 3YR 5YR 10YR Life of Fund 1YR 3YR 5YR 10YR Life of Fund Life of Fund Date
JCUAX Absolute Return Currency36 9.40 0.04 -0.844.830.853.22NA1.011.70-0.182.60NA0.578/2/10
JAAAX Alternative Asset Allocation37 14.49 0.00 4.095.321.182.88NA7.520.06-0.541.83NA6.881/2/09
JEEBX Enduring Assets 12.19 0.04 17.698.095.39NANA7.232.693.60NANA5.7212/20/13
FIDAX Financial Industries38 19.65 0.03 2.9933.839.3415.634.187.5127.157.4914.453.657.253/14/96
JHAAX Global Absolute Return Strat39 10.28 0.01 1.783.620.802.11NA2.92-1.56-0.911.07NA1.9812/19/11
JHRAX Global Conservative Abs Return40 9.35 0.00 0.430.610.25NANA0.48-2.41-0.77NANA-0.287/16/13
JGFOX Global Focused Strategies 9.79 0.01 1.981.88NANANA-0.52-3.19NANANA-4.394/13/16
JNRAX Natural Resources41 10.64 0.05 -12.571.41-14.44-5.89-5.60-1.09-3.70-15.89-6.84-6.08-1.5210/15/05
JTRAX Redwood42 10.47 0.01 2.854.791.503.06NA3.67-0.45-0.222.00NA2.759/29/11
FRBAX Regional Bank43 24.73 0.01 -2.7937.6817.7519.407.4411.7930.7815.7518.186.8911.561/3/92
JSFBX Seaport 11.63 0.02 12.1512.086.10NANA4.926.484.30NANA3.4412/20/13
JTCAX Technical Opportunities44 12.46 0.02 21.0922.656.5613.63NA8.4316.484.7712.46NA7.748/3/09

Asset allocation

 Prices & YTD Returns
Avg Annual Total Returns (%):Month-EndQuarter-End
 NAV as of 8/18/17NAV as of 7/31/17POP as of 7/31/17 
Symbol Fund Name Price ($) Chg YTD (%) 1YR 3YR 5YR 10YR Life of Fund 1YR 3YR 5YR 10YR Life of Fund Life of Fund Date
JIAFX Income Allocation 9.87 0.01 5.335.17NANANA3.630.92NANANA2.0711/14/14
JLAAX Multimanager 2010 Lifetime45 9.46 0.00 6.537.944.136.334.374.632.512.365.253.844.1310/30/06
JLBAX Multimanager 2015 Lifetime46 10.03 0.00 7.049.034.557.144.364.763.632.766.033.834.2510/30/06
JLDAX Multimanager 2020 Lifetime47 10.80 0.00 7.8910.745.118.174.454.995.173.337.063.924.4910/30/06
JLEAX Multimanager 2025 Lifetime48 11.46 0.00 9.0412.545.769.244.575.176.913.968.134.034.6710/30/06
JLFAX Multimanager 2030 Lifetime49 11.73 0.00 10.0414.176.2310.054.675.348.504.458.924.134.8310/30/06
JLHAX Multimanager 2035 Lifetime50 12.07 0.00 10.7315.376.6010.624.875.599.584.789.494.335.0810/30/06
JLIAX Multimanager 2040 Lifetime51 12.07 0.01 11.3516.146.8610.834.985.6910.385.059.704.455.1910/30/06
JLJAX Multimanager 2045 Lifetime52 11.95 0.00 11.2716.176.8610.844.955.6710.355.049.704.425.1710/30/06
JLKAX Multimanager 2050 Lifetime53 12.49 0.00 11.3216.106.8510.83NA7.4410.305.049.69NA6.564/29/11
JLKLX Multimanager 2055 Lifetime54 11.38 0.00 11.3516.106.85NANA7.1710.275.05NANA5.533/26/14
JJERX Multimanager 2060 Lifetime 11.90 0.00 11.2115.96NANANA16.2410.12NANANA11.853/30/16
JALAX Multimanager Lifestyle Aggress55 16.54 0.00 12.3617.346.7611.284.586.2111.454.9410.144.055.7610/18/05
JALBX Multimanager Lifestyle Balance55 15.49 0.00 8.5811.395.018.014.945.865.813.246.914.405.4010/18/05
JALRX Multimanager Lifestyle Conserv55 13.13 0.01 4.984.642.814.094.634.87-0.611.073.034.104.4210/18/05
JALGX Multimanager Lifestyle Growth55 16.32 0.00 10.4914.546.009.945.016.188.814.208.814.475.7210/18/05
JALMX Multimanager Lifestyle Moderat55 14.10 0.00 6.657.823.946.064.925.442.412.194.974.394.9910/18/05
1 10/5/92 is the inception date for the oldest class of shares, Class A shares. Class R1, R3, R4 and R5 shares were first offered on 9/8/08; Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; returns prior to these dates are those of the Class A shares that have been recalculated to reflect the gross fees and expenses of Class R1, R2, R3, R4, R5 and R6 shares.
2 10/15/05 is the inception date for the oldest class of shares, Class NAV shares. Class A and Class C shares were first offered on 3/27/15; returns prior to this date are those of Class NAV shares.
3 6/24/96 is the inception date for the oldest class of shares, Class A shares. Class R1 shares were first offered on 8/5/03; Class R3, R4 and R5 shares were first offered on 5/22/09; Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; returns prior to these dates are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Class R1, R3, R4, R5, R6 and R2 shares.
4 Returns prior to the commencement date of Class A, Class C, and Class I shares are those of Robeco Boston Partners Large Cap Value Fund (predecessor fund). Returns prior to the commencement date of R class shares are those of the predecessor fund prior to 12/22/08 and the fund’s Class A shares from 12/22/08 and have not been adjusted for expenses; otherwise, returns would vary.
5 Effective 1/31/14, the fund is closed to new investors. Returns prior to the commencement date of Class A and Class I shares are those of Robeco Boston Partners Mid Cap Value Fund (predecessor fund). Returns prior to the commencement date of Class C, and R class shares are those of the predecessor fund prior to 7/12/10 and the fund’s Class A shares from 7/12/10 and have not been adjusted for expenses; otherwise, returns would vary.
6 Class C shares were first offered on 6/27/14. The returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Class C shares. Class R2, R4, and R6 shares were first offered on 3/27/15. The returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Class R2, R4, and R6 shares.
7 9/30/84 is the beginning of the performance reporting for the oldest class of shares, Class A shares. Class R1, R3, R4 and R5 shares were first offered on 5/22/09; Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; returns prior to these dates are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R1, R3, R4, R5, R6 and R2 shares.
8 On 6/1/15, the fund’s name changed from John Hancock Small Cap Opportunities Fund (predecessor fund) to John Hancock New Opportunities Fund. The performance shown includes that of the predecessor fund.

Class A, I, R1, R2, R3, R4, R5, and R6 shares were first offered on 6/16/15. The returns prior to this date are those of Class NAV shares, which have lower expenses than the other share classes listed. Had the returns reflected Class A, C, I, R1, R2, R3, R4, R5, and R6 share expenses, returns would be lower.

On 9/27/14, Brandywine Global Investment Management, LLC and Gannet Welsh & Kotler, LLC were added as managers of the fund. Performance prior to that date reflects a different investment strategy and is attributable solely to Dimensional Fund Advisors LP and Invesco Advisers, Inc.
9 12/16/08 is the inception date for the oldest class of shares, Class NAV shares. Class A, I and R6 shares were first offered on 12/30/13; returns prior to these dates are those of Class NAV shares that have been recalculated to apply the gross fees and expenses of Class A, I and R6 shares.
10 On 4/1/16, Mesirow Financial Investment Management acquired Fiduciary Management Associates (predecessor manager). Performance prior to 4/1/16 reflects the performance of the predecessor manager. Returns prior to the commencement date of Class A and Class I shares are those of FMA Small Company Portfolio (predecessor fund). Returns prior to the commencement date of Class C and R class shares are those of the predecessor fund prior to 12/14/09 and the fund’s Class A shares from 12/14/09 and have not been adjusted for expenses; otherwise, returns would vary.
11 The inception date for Class C shares is 8/28/14. For periods prior to this date, the performance shown reflects the performance of Class A shares. Class C shares have higher expenses than Class A shares. Had the performance for periods prior to 8/28/14 reflected Class C expenses, performance would be lower. 12/19/11 is the inception date for the oldest class of shares, Class A shares. Classes R2, R4, and R6 shares were first offered on 3/27/15; returns prior to this date are those of Class A shares.
12 Performance results reflect any expense reductions. Without these reductions, performance would have been less favorable. 9/29/95 is the inception date for the oldest class of shares, Class A shares. Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R6 and R2 shares.
13 Results reflect any expense reductions, which can be terminated in the future. Without these reductions, expenses increase and results would have been less favorable. 10/29/05 is the inception date for the oldest class of shares, Class NAV shares. Class A and Class I shares were first offered on 10/31/11; Class C shares were first offered on 8/28/14; Class R6 shares were first offered on 11/8/16; returns prior to these dates are those of Class NAV shares that have been recalculated to apply the gross fees and expenses of Class A, Class I, Class C, and Class R6 shares.
14 The fund is the successor to Robeco Boston Partners International Equity Fund (predecessor fund) and was first offered on 9/29/14. Returns prior to this date are those of the predecessor fund’s institutional class shares, launched on 12/30/11, and may be higher than if adjusted to reflect the expenses of any other share classes.
15 5/1/07 is the inception date for the oldest class of shares, Class NAV. Class A shares were first offered on 3/31/11; returns prior to this date are those of Class NAV shares that have been recalculated to apply the gross fees and expenses of Class A shares. Class R6 shares were first offered on 9/1/11; the returns prior to this date are those of Class A and Class NAV shares that have been recalculated to apply the gross fees and expenses of Class R6 shares.
Class C shares were first offered on 6/27/14. The returns prior to this date are those of Class NAV shares that have been recalculated to reflect the gross fees and expenses of Class C shares.
16 6/29/12 is the inception date for the oldest class of shares, Class A shares. Class R6 shares were first offered on 2/13/17; returns prior to this date are those of Class A shares.
17 5/16/13 is the inception date for the oldest class of shares, Class A shares. Classes C, R2, R4, and R6 shares were first offered on 3/27/15; returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Classes C, R2, R4, and R6 shares.
18 Returns prior to the commencement date of Class R2 and Class R6 shares are those of the fund’s Class A shares and have not been adjusted for expenses; otherwise, returns would vary.
19 These results reflect any applicable expense reductions, which can be terminated in the future. Without these reductions expenses increase and results would have been less favorable.
20 6/11/06 is the inception date for the oldest class of shares, Class A shares. Class R2, R4, and R6 shares were first offered on 3/27/15; returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R2, R4, and R6 shares. Results reflect any expense reductions, which can be terminated in the future. Without these reductions, expenses increase and results would have been less favorable.
21 4/28/06 is the inception date for the oldest class of shares, Class NAV shares. Class A shares and Class I shares were first offered on 6/27/13; returns prior to this date are those of Class NAV shares that have been recalculated to apply the gross fees and expenses of Class A and Class I shares.
Class C shares were first offered on 6/27/14. The returns prior to this date are those of Class NAV shares that have been recalculated to reflect the gross fees and expenses of Class C shares.
22 Returns prior to the commencement date of Class A and I shares are those of Optique International Value Fund (predecessor fund). Returns prior to the commencement date of Class C and R class shares are those of the predecessor fund prior to 2/14/11 and the fund’s Class A shares from 2/14/11 and have not been adjusted for expenses; otherwise, returns would vary.
23 Performance results reflect any expense reductions. Without these reductions, performance would have been less favorable. 11/9/73 is the inception date for the oldest class of shares, Class A shares. Class I shares were first offered on 9/4/01; Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; returns prior to these dates are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class I, R6 and R2 shares. Class R4 shares were first offered on 3/27/15. The returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Class R4 shares.
24 Class I shares were first offered on 2/13/17. Returns prior to this date are those of Class A shares. Returns for Class A shares have been adjusted to reflect the reduction in the maximum sales charge from 4.5% to 4.0%, effective 2/3/14.
25 Class C shares were first offered on 8/28/14. The returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Class C shares. Class R2, R4, and R6 shares were first offered on 3/27/15. The returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Class R2, R4, and R6 shares.
26 1/2/08 is the inception date for the oldest class of shares, Class A shares. Class R6 shares were first offered on 9/1/11; returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R6 shares.
27 Effective December 1, 2013, John Hancock Global High Yield Fund changed its name to John Hancock Global Income Fund. Performance results reflect any expense reductions. Without these reductions, performance would have been less favorable.
28 These results reflect any applicable expense reductions, which can be terminated in the future. Without these reductions expenses increase and results would have been less favorable. Class I shares were first offered on 9/9/16. Returns prior to this date are those of Class A shares.
29 Performance results reflect any expense reductions. Without these reductions, performance would have been less favorable.
6/30/93 is the inception date for the oldest class of shares, Class A shares. Class I shares were first offered on 8/28/07; Class R6 shares were first offered on 10/31/16; the returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class I and Class R6 shares.
30 Effective June 29, 2012, John Hancock Strategic Income Fund changed its name to John Hancock Income Fund. 8/18/86 is the inception date for the oldest class of shares, Class A. Class I shares were first offered on 9/4/01; Class R1 shares were first offered on 8/5/03; Class R3, R4 and R5 shares were first offered on 5/22/09; Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; returns prior to these dates are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class I, R1, R3, R4, R5, R6 and R2 shares.
31 Classes R2, R4, and R6 shares were first offered on 3/27/15. The returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Classes R2, R4, and R6 shares. 12/31/91 is the inception date for the oldest class of shares, A shares. Class I shares were first offered on 7/28/03; returns prior to this date are those of the Class A shares that have been recalculated to reflect the gross fees and expenses of Class I. Results reflect any expense reductions, which can be terminated in the future. Without these reductions, expenses increase and results would have been less favorable.
32 You could lose money by investing in the fund. Because the share price of the fund will fluctuate, when you sell your shares they may be worth more or less than what you originally paid for them. The fund may impose a fee upon sale of your shares or may temporarily suspend your ability to sell shares if the fund's liquidity falls below required minimums because of market conditions or other factors. An investment in the fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The fund's sponsor has no legal obligation to provide financial support to the fund, and you should not expect that the sponsor will provide financial support to the fund at any time.
33 Effective March 28, 2013, John Hancock Multi Sector Bond Fund changed its name to John Hancock Short Duration Credit Opportunities Fund. Performance results reflect any expense reductions. Without these reductions, performance would have been less favorable. Class C shares were first offered on 6/27/14. The returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Class C shares. Classes R2, R4, and R6 shares were first offered on 3/27/15. The returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Classes R2, R4, and R6 shares.
34 10/29/05 is the inception date for the oldest class of shares, Class NAV shares. Class A and Class C shares were first offered on 3/27/15; returns prior to this date are those of Class NAV shares.
35 4/28/06 is the inception date for the oldest class of shares, Class NAV shares. Class A, C and I shares were first offered on 12/31/09; returns prior to this date are those of Class NAV shares that have been recalculated to apply the gross fees and expenses of Class A, C and I shares. Class R6 shares were first offered on 9/1/11 and Class R2 shares were first offered on 3/1/12; returns prior to this date are those of Class A and Class NAV shares that have been recalculated to apply the gross fees and expenses of Class R6 and R2 shares.
36 Effective January 3, 2014, John Hancock Currency Strategies Fund changed its name to John Hancock Absolute Return Currency Fund. Performance results reflect any expense reductions. Without these reductions, performance would have been less favorable.
8/2/10 is the inception date for the oldest class of shares, Class A shares. Class R6 shares were first offered on 11/1/11; returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R6 shares. Class C shares were first offered on 8/28/14. The returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Class C shares. Class R2 and Class R4 shares were first offered on 3/27/15; returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R2 and Class R4 shares.
37 Performance information prior to 12/20/10 reflects an allocation to a different mix of underlying funds and would have been different if the fund had been allocated to its current mix of underlying funds. 1/2/2009 is the inception date for the oldest class of shares, Class A shares. Class I shares were first offered on 12/31/10, Class C shares were first offered on 6/15/11, Class R6 shares were first offered on 9/1/11, Class R2 shares were first offered on 3/1/12 and Class R4 shares were first offered on 6/27/13. The returns prior to these dates are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class I , C, R6, R2 and R4 shares.
38 Results reflect any expense reductions, which can be terminated in the future. Without these reductions, expenses increase and results would have been less favorable. For some periods, the Fund’s performance may have been influenced by investments in unusually hot industries, IPOs or other factors. Similar opportunities may or may not be available in the future. Class I shares were first offered on 9/9/16. The returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Class I shares.
39 12/19/11 is the inception date for the oldest class of shares, Class A shares. Class R2 and R6 shares were first offered on 3/1/12; Class C shares were first offered on 8/1/12. Returns prior to these dates are those of Class A shares that been recalculated to apply the gross fees and expenses of Class R2, R6 and C shares.
40 The inception date for Class C shares is 6/27/14. The performance shown prior to this date reflects that of the fund's Class A shares. Class C shares have higher expenses than Class A shares; had the performance for periods prior to 6/27/14 reflected the expenses of Class C shares, performance would be lower than that shown here.
41 10/14/05 is the inception date for the oldest class of shares, Class NAV shares. Class A and I shares were first offered on 12/31/09 and Class R6 shares were first offered on 11/1/11; returns prior to these dates are those of Class NAV shares that have been recalculated to apply the gross fees and expenses of Class A, I and R6 shares.
42 09/29/11 is the inception date for the oldest class of shares, Class NAV shares. Class A, C, I and R6 shares were first offered on 6/27/14; returns prior to these dates are those of Class NAV shares that have been recalculated to apply the gross fees and expenses of Class A, C, I and R6 shares.
43 For some periods, the Fund's performance may have been influenced by investments in unusually hot industries, IPOs, or other factors. Similar opportunities may or may not be available in the future. Class I shares were first offered on 9/9/16. Returns prior to this date are those of Class A shares.
44 These results reflect any applicable expense reductions, which can be terminated in the future. Without these reductions expenses increase and results would have been less favorable. Class C shares were first offered on 8/28/14. The returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Class C shares. Class R6 shares were first offered on 2/13/17. Returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Class R6 shares.
45 Effective May 1, 2012, John Hancock Lifecycle 2010 Portfolio changed its name to John Hancock Retirement Living through 2010 Portfolio. 10/30/06 is the inception date for the oldest class of shares, Class A shares. Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; Class I shares were first offered on 3/27/15; returns prior to these dates are those of Class A shares, which have been recalculated to apply the gross fees and expenses of Class R6, R2, or I shares, respectively.
46 Effective May 1, 2012, John Hancock Lifecycle 2015 Portfolio changed its name to John Hancock Retirement Living through 2015 Portfolio. 10/30/06 is the inception date for the oldest class of shares, Class A shares. Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; Class I shares were first offered on 3/27/15; returns prior to these dates are those of Class A shares, which have been recalculated to apply the gross fees and expenses of Class R6, R2, or I shares, respectively.
47 Effective May 1, 2012, John Hancock Lifecycle 2020 Portfolio changed its name to John Hancock Retirement Living through 2020 Portfolio. 10/30/06 is the inception date for the oldest class of shares, Class A shares. Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; Class I shares were first offered on 3/27/15; returns prior to these dates are those of Class A shares, which have been recalculated to apply the gross fees and expenses of Class R6, R2, or I shares, respectively.
48 Effective May 1, 2012, John Hancock Lifecycle 2025 Portfolio changed its name to John Hancock Retirement Living through 2025 Portfolio. 10/30/06 is the inception date for the oldest class of shares, Class A shares. Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; Class I shares were first offered on 3/27/15; returns prior to these dates are those of Class A shares, which have been recalculated to apply the gross fees and expenses of Class R6, R2, or I shares, respectively.
49 Effective May 1, 2012, John Hancock Lifecycle 2030 Portfolio changed its name to John Hancock Retirement Living through 2030 Portfolio. 10/30/06 is the inception date for the oldest class of shares, Class A shares. Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; Class I shares were first offered on 3/27/15; returns prior to these dates are those of Class A shares, which have been recalculated to apply the gross fees and expenses of Class R6, R2, or I shares, respectively.
50 Effective May 1, 2012, John Hancock Lifecycle 2035 Portfolio changed its name to John Hancock Retirement Living through 2035 Portfolio. 10/30/06 is the inception date for the oldest class of shares, Class A shares. Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; Class I shares were first offered on 3/27/15; returns prior to these dates are those of Class A shares, which have been recalculated to apply the gross fees and expenses of Class R6, R2, or I shares, respectively.
51 Effective May 1, 2012, John Hancock Lifecycle 2040 Portfolio changed its name to John Hancock Retirement Living through 2040 Portfolio. 10/30/06 is the inception date for the oldest class of shares, Class A shares. Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; Class I shares were first offered on 3/27/15; returns prior to these dates are those of Class A shares, which have been recalculated to apply the gross fees and expenses of Class R6, R2, or I shares, respectively.
52 Effective May 1, 2012, John Hancock Lifecycle 2045 Portfolio changed its name to John Hancock Retirement Living through 2045 Portfolio. 10/30/06 is the inception date for the oldest class of shares, Class A shares. Class R6 shares were first offered on 9/1/11; Class R2 shares were first offered on 3/1/12; Class I shares were first offered on 3/27/15; returns prior to these dates are those of Class A shares, which have been recalculated to apply the gross fees and expenses of Class R6, R2, or I shares, respectively.
53 4/29/11 is the inception date for the oldest class of shares, Class 1 shares. Class A, R1, R2, R3, R4, R5, and R6 shares were first offered on 3/1/12; Class I shares were first offered on 3/27/15; returns prior to these dates are those of Class 1 which have been recalculated to apply the gross fees and expenses of Class A, R1, R2, R3, R4, R5, R6 or I shares, respectively.
54 3/26/14 is the inception date for the oldest class of shares, Class A shares. Class I shares were first offered on 3/27/15; returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class I.
55 Performance results reflect any expense reductions. Without these reductions, performance would have been less favorable. 10/15/05 is the inception date for the oldest class of shares, Class 1 shares. Class I shares were first offered on 5/1/15; returns prior to this date are those of Class 1 shares that have been recalculated to apply the gross fees and expenses of Class I shares. Class R6 shares were first offered on 9/1/11; returns prior to this date are those of Class 1 shares that have been recalculated to apply the gross fees and expenses of Class R6 shares. 10/17/05 is the inception date for Class A shares. Class R2 shares were first offered on 3/1/12; returns prior to this date are of Class A that have been recalculated to apply the gross fees and expenses of Class R2 shares.
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