(As of 12/31/2025)

Manulife Tax-Managed Growth GIF Series 1

(Global Equity)
FundGrade A+® Rating recipient
For more information about FundGrade click here
2016





Inception Return
(7/15/2002)
6.34 %
YTD Return 9.78 %
NAVPS
(1/20/2026)
$43.50
Change ($0.44) / -1.01 %
Growth of $10,000 (As of December 31, 2025)
MER 3.47 %
Assets ($mil) $16.85
Rank (1Yr) 623/1033
Std Dev (3Yr) 12.38 %
Volatility Ranking (3Yr) 5/10
RRSP Eligibility Yes
Load Choice of Front or No Load
Max Front End 3.00 %
Max Back End 5.50 %
Sales Status Capped
 
Objective
The E&P Manulife Tax-Managed Growth Portfolio investment objective is to provide investors with long-term tax-managed growth Using one or more portfolio sub-advisors, the Portfolio invests directly in high quality small-, mid- and large-cap Canadian, U.S. and international equities.
Fund Manager

Manulife Investment Management Limited

Portfolio Manager

Travis Goldfeldt, Manulife Asset Management Limited

Sub-Advisor

Craig Senyk, Mawer Investment Management Ltd.

 
Asset Allocation
(As of November 30, 2025)
Sector Allocation
(As of November 30, 2025)
Geographic Allocation
(As of November 30, 2025)
Top 10 Holdings
NameAssetSectorGeographicPercent
Manulife Global Small Cap Fund Advisor SeriesInternational EquityMutual FundMulti-National7.35%
Taiwan Semiconductor Manufactrg Co Ltd - ADRInternational EquityTechnologyAsia/Pacific Rim2.10%
Royal Bank of CanadaCanadian EquityFinancial ServicesCanada1.86%
Tencent Holdings LtdInternational EquityTechnologyAsia/Pacific Rim1.76%
Toronto-Dominion BankCanadian EquityFinancial ServicesCanada1.60%
Canadian Natural Resources LtdCanadian EquityEnergyCanada1.31%
Shopify Inc Cl ACanadian EquityTechnologyCanada1.27%
Amphenol Corp Cl AUS EquityTechnologyUnited States1.26%
Brookfield Corp Cl ACanadian EquityFinancial ServicesCanada1.24%
Stella-Jones IncCanadian EquityBasic MaterialsCanada1.13%

Performance Data (As of December 31, 2025)
  Return (%) Annualized Return (%)
Return 1 Mth 3 Mth 6 Mth YTD 1 Yr 3 Yr 5 Yr 10 Yr
Fund -0.81 -0.94 2.77 9.78 9.78 11.08 5.89 6.87
Benchmark -0.91 1.63 11.64 16.60 16.60 20.86 12.65 11.59
Quartile Ranking 2 4 4 3 3 4 4 3

Calendar Return (%) 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
Fund 9.78 13.18 10.29 -14.73 13.93 9.46 19.61 -4.29 13.25 2.90
Benchmark 16.60 26.84 19.37 -12.64 17.62 13.15 21.41 -1.79 16.29 5.18
Quartile Ranking 3 4 3 3 3 2 2 2 2 2

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