INTERNATIONAL EQUITIES. Charting a course for global opportunities

Size: px
Start display at page:

Download "INTERNATIONAL EQUITIES. Charting a course for global opportunities"

Transcription

1 INTERNATIONAL EQUITIES Charting a course for global opportunities

2 Three things to know about investing abroad 1 International markets have periods of outperformance Historically, non-u.s. stocks and U.S. stocks have alternated in cycles of performance, with one leading the other for an extended period of time before reversing. 2 Nearly half the world s opportunities are overseas The share of the global stock market represented by non-u.s. companies is large and growing. What s more, many of the world s largest and most successful companies are headquartered outside our borders industry leaders such as HSBC Holdings, Novartis, Vodafone, and Royal Dutch Shell. If your equity portfolio is limited to U.S. companies, you re leaving nearly half of the world s investment opportunities on the table. After their longest period of underperformance, international equities may now be leading Cumulative relative performance of the MSCI EAFE Index against the S&P 5 Index MSCI EAFE Index relative return 36% Length of cycle in months Cumulative outperformance of international equities Cumulative underperformance of international equities Recent outperformance of international stocks may mark the beginning of a longer-term trend. Source: Bloomberg, FactSet, as of 12/31/17. International equities are represented by the MSCI Europe, Australasia, and Far East (EAFE) Index, which tracks the performance of publicly traded large- and mid-cap stocks of companies in those regions. Total returns are calculated gross of foreign withholding tax on dividends. U.S. equities are represented by the S&P 5 Index, which tracks the performance of 5 of the largest publicly traded companies in the United States. Japan, the United Kingdom, France, Switzerland, and Germany are represented by the MSCI Japan Index, the MSCI United Kingdom Index, the MSCI France Index, the MSCI Switzerland Index, and the MSCI Germany Index, respectively, which track the performance of publicly traded large- and mid-cap stocks of companies in those countries. It is not possible to invest directly in an index. Forward price-toearnings (P/E) ratio is a stock valuation measure comparing the current share price of a stock with the underlying company s estimated earnings per share over the next 12 months. Performance of the Investments funds will differ. Past performance does not guarantee future results International markets are home to nearly half of the world s investment opportunities Global market capitalization (%) United States Europe (ex-u.k.) Emerging markets Japan Other United Kingdom Yet most individual investors allocate a far smaller percentage of their portfolio to international stocks Average asset allocation (%) Fixed income 22 U.S. equity 4 Cash 16 Individual investors Hybrid International equity U.S. equity 16 4 Alternatives 53 Endowment funds Fixed income Cash 3 The future looks bright for overseas A lack of international exposure could also mean missing out on one of the most important forces in the economy: the rise of the global middle class. Across most of the world, the ranks of the middle class have expanded since 2 at much faster rates than they have in the United States. This trend is expected to continue, driving significant changes in consumer spending worldwide. The middle class is growing much faster overseas Increases in number of middle-class adults by region and selected countries, (%) China India Latin America 36.4 Asia- Pacific 22.1 United States 1.2 Europe 3. Africa Source: MSCI AC World Index, as of 12/31/17. Data may not equal 1% due to rounding. Source: Investment Company Institute, National Association of College and University Business Officers,. Source: Credit Suisse Global Wealth Databook 215, Credit Suisse Research Institute, October 215. Middle class is defined as those with wealth between US$5, and US$5,. Data is the latest available. 2 3

3 The case for international investing has never been stronger Growth and earnings are turning up Supported by broadly accommodative monetary policy, economic has accelerated across key markets, with six of the largest non-u.s. developed economies showing expansionary Purchasing Managers Index (PMI) readings, led by Germany. We ve also seen a sharp improvement in earnings expectations from non-u.s. companies, albeit off low levels. Six of the largest international developed economies are showing expansionary PMI readings International developed economies are seeing a synchronized rebound in economic Germany Valuations and dividend yields are more attractive overseas After lagging U.S. markets as a whole since the financial crisis of 2 29, the valuations of many international stocks, measured by forward P/E ratios, are lower than their counterparts in the United States, while their dividend yields are higher. Even after recent gains, many international markets are cheaper than U.S. stocks Top 5 countries in the MSCI EAFE Index by market capitalization 25.45x 21.46x 19.45x 17.95x 16.15x 3.79% More attractive Yield P/E 3.2% 3.5% 2.51% 1.91% 24.42x U.S. forward P/E Forward P/E (x) Dividend yield (%) 1.6% U.S. dividend yield 6 Germany Japan United Kingdom France Switzerland United States France 57.4 Italy 56.3 U.K. 55. Spain 54.2 Japan Source: Bloomberg, FactSet, as of 12/31/17. The MSCI Europe, Australasia, and Far East (EAFE) Index tracks the performance of publicly traded large- and mid-cap stocks of companies in those regions. Total returns are calculated gross of foreign withholding tax on dividends. It is not possible to invest directly in an index. Past performance does not guarantee future results. Key foreign currencies have strengthened versus the dollar Currency markets reflected a shift in economic momentum entering, and the euro and other currencies rallied relative to the U.S. dollar. This reversal turned what had been a negative for investment returns into a positive, as strength in foreign currencies is favorable for U.S. investors international equity returns after local currencies are translated into dollars. Contractionary Expansionary Strengthening currencies can provide a tailwind for international equities Returns of selected foreign currencies vs. the U.S. dollar, 1/1/17 12/31/17 Currency returns, indexed to Euro: Emerging-market currency basket: 1. U.K. pound: 1.6 Japanese yen, 14. Source: Markit, World Bank, FactSet, as of 12/31/17. The Purchasing Managers Index (PMI) is an indicator of the economic health of the manufacturing sector based on five major indicators: new orders, inventory levels, production, supplier deliveries, and the employment environment. Earnings per share (EPS) is a measure of how much profit a company has generated calculated by dividing the company s net income by its total number of outstanding shares. Past performance does not guarantee future results. 9 U.S. dollar: /17 2/17 3/17 4/17 5/17 6/17 7/17 /17 9/17 1/17 11/17 12/17 Source: Bloomberg,. Past performance does not guarantee future results. 4 5

4 Investing abroad with Investments Our multimanager approach puts us in a position to hire some of the world s best portfolio teams for our funds and to develop unique strategies both passively and actively managed designed to deliver results for investors. Holdings by investment style Five largest countries as of 12/31/17 1 (%) Key data 2 Average annual total returns as of 12/31/17 (%) Expense ratios (%) Morningstar ratings 3 Fund Benchmark 1 year 3 year 5 year Life of fund Life of fund date Gross Net Class I as of 12/31/17 Disciplined Value International Fund 4 Boston Partners Japan 23. United Kingdom 2.5 France Germany.34 Switzerland 4.9 P/E ratio (trailing) 17.2x 17.4x Number Active share (%) 5.5 Developed/emerging (%) 92/ 1/ FCF yield (%) Class I (without sales charge) /3/11 Class A (without sales charge) /3/11 Class A (with 5.% sales charge) /3/11 MSCI EAFE Index Share classes A: JDIBX C: JDICX I: JDVIX R2: JDISX R4: JDITX R6: JDIUX Overall Category Foreign large blend (Based on Morningstar Risk-Adjusted Returns) ESG International Equity Fund Boston Common Asset Management Japan United Kingdom.43 Germany 7.2 China 6.34 Switzerland 5.94 P/E ratio (trailing) 19.9x 16.7x Number 72 1,66 Active share (%). Developed/emerging (%) 72/2 7/3 Class I (without sales charge) /14/16 Class A (without sales charge) /14/16 Class A (with 5.% sales charge) /14/16 MSCI AC World ex-usa Index Share classes A: JTQAX I: JTQIX R6: JTQRX Overall Category Foreign large blend Multifactor Developed International ETF Dimensional Fund Advisors Japan United Kingdom Germany 1.5 France 9.75 Switzerland.15 P/E ratio (trailing) 15.1x 17.4x Number market cap ($B) Developed/emerging (%) 1/ 1/ Net asset /15/16 Market price /15/16 Dimensional Developed International Index MSCI EAFE Index Ticker JHMD Overall Category Foreign large blend -cap stocks may be poised to build on their historical performance advantage over large caps Rolling 12-month excess returns of international small-cap stocks vs. international large-cap stocks 2% Median 12-month excess return vs. MSCI EAFE Index % of periods with positive excess returns MSCI EAFE SMID Cap Index 3.55% % Ask your advisor Ask your financial advisor how international equity funds can help you better position your portfolio for building wealth. 1 Listed holdings are a portion of the fund s total and may change at any time. They are not recommendations to buy or sell any security. Data is expressed as a percentage of net assets and excludes cash and cash equivalents. 2 Price to earnings (P/E) is a valuation measure comparing the ratio of a stock s price with its earnings per share. Active share is a measure of how much an equity portfolio s holdings differ from the portfolio s benchmark index. Free cash flow (FCF) yield is a measure of a company s cash available for distribution to shareholders per share after capital expenditures and taxes, divided by its share price. 3 For each managed product, including mutual funds, variable annuity and variable life subaccounts, exchange-traded funds, closed-end funds, and separate accounts, with at least a 3-year history, Morningstar calculates a Morningstar Rating TM based on a Morningstar Risk-Adjusted Return that accounts for variation in a fund s monthly excess performance, placing more emphasis on downward variations and rewarding consistent performance. Exchange-traded funds and open-end mutual funds are considered a single population for comparative purposes. The top 1.% of funds in each category, the next 22.5%, 35.%, 22.5%, and bottom 1.% receive 5, 4, 3, 2, or 1 star(s), respectively. The overall Morningstar Rating for a managed product is derived from a weighted average of the performance figures associated with its 3-, 5-, and 1-year (if applicable) Morningstar Rating metrics. The rating formula most heavily weights the 3-year rating, using the following calculation: 1% 3-year rating for 36 to 59 months of total returns, 6% 5-year rating/4% 3-year rating for 6 to 119 months of total returns, and 5% 1-year rating/3% 5-year rating/2% 3-year rating for 12 or more months of total returns. Star ratings do not reflect the effect of any applicable sales load. As of 12/31/17, Disciplined Value International Fund was rated 4 and 5 stars out of 597 and 535 foreign large blend funds for the 3- and 5-year periods, respectively. Please note that Class I shares may not be available to all investors and that performance of other share classes may vary. Past performance does not guarantee future results. 4 Disciplined Value International Fund is the successor to Robeco Investment Management 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 12/3/11, and may be higher than if adjusted to reflect the expenses of any other share classes. 5 Represents the effect of a fee waiver and/or expense reimbursement through 2/2/1 for Disciplined Value International Fund, through 2/2/19 for ESG International Equity Fund, and through /31/1 for Developed International ETF. 6 The MSCI Europe, Australasia, and Far East (EAFE) Index tracks the performance of publicly traded large- and mid-cap stocks of companies in those regions. The MSCI All Country (AC) World ex-usa Index tracks the performance of publicly traded large- and mid-cap stocks in 22 developed markets and 24 emerging markets. It is not possible to invest directly in an index. Multifactor ETF shares are bought and sold at market price (not NAV), and are not individually redeemed from the fund. Brokerage commissions will reduce returns. Market performance is determined using the bid/ask midpoint at 4 P.M., Eastern time, when the NAV is typically calculated; your returns may differ if you traded shares at other times. NAV is calculated by dividing the total of all the securities in the fund s portfolio plus cash, interest, and receivables, minus any liabilities, by the number of fund shares outstanding. 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 and, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance cited. For the most recent month-end performance, visit jhinvestments.com. Source: FactSet, as of 12/31/17. The MSCI Europe, Australasia, and Far East (EAFE) Mid (SMID) Cap Index tracks the performance of publicly traded small- and mid-cap stocks of companies in those regions. Total returns are calculated gross of foreign withholding tax on dividends. The MSCI EAFE Index tracks the performance of publicly traded large- and mid-cap stocks of companies in those regions. 6 Total returns are calculated gross of foreign withholding tax on dividends. It is not possible to invest directly in an index. Past performance does not guarantee future results. 7

5 Investments A trusted brand Investments is a premier asset manager representing one of America s most trusted brands, with a heritage of financial stewardship dating back to 162. Helping our shareholders pursue their financial goals is at the core of everything we do. It s why we support the role of professional financial advice and operate with the highest standards of conduct and integrity. A better way to invest We serve investors globally through a unique multimanager approach: We search the world to find proven portfolio teams with specialized expertise for every strategy we offer, then we apply robust investment oversight to ensure they continue to meet our uncompromising standards and serve the best interests of our shareholders. Results for investors Our unique approach to asset management enables us to provide a diverse set of investments backed by some of the world s best managers, along with strong risk-adjusted returns across asset classes. Foreign investing, especially in emerging markets, has additional risks, such as currency and market volatility and political and social instability. Value stocks may decline in price. Hedging and other strategic transactions may increase volatility and result in losses if not successful. company stocks could fall out of favor, and illiquid securities may be difficult to sell at a price approximating their. The stock prices of small and midsize companies can change more frequently and dramatically than those of large companies. The fund may invest its assets in a small number of issuers. Performance could suffer significantly from adverse events affecting these issuers. The fund s ESG policy could cause it to perform differently than similar funds that do not have such a policy. Investing involves risks, including the potential loss of principal. There is no guarantee that a fund s investment strategy will be successful. The fund is nondiversified, and a portfolio concentrated in one industry or sector or that holds a limited number of securities may fluctuate more than a diversified portfolio. Shares may trade at a premium or discount to their NAV in the secondary market, and a fund s holdings and returns may deviate from those of its index. These variations may be greater when markets are volatile or subject to unusual conditions. Errors in the construction or calculation of a fund s index may occur from time to time. Please see the funds prospectuses for additional risks. Dimensional Fund Advisors LP receives compensation from in connection with licensing rights to the Dimensional indexes. Neither Advisers, LLC nor Dimensional Fund Advisors LP guarantees the accuracy and/or completeness of an index (each an underlying index) or any data included therein, and neither Advisers, LLC nor Dimensional Fund Advisors LP shall have any liability for any errors, omissions, or interruptions therein. Neither Advisers, LLC nor Dimensional Fund Advisors LP makes any warranty, express or implied, as to results to be obtained by a fund, owners of the shares of a fund, or any other person or entity from the use of an underlying index, trading based on an underlying index, or any data included therein, either in connection with a fund or for any other use. Neither Advisers, LLC nor Dimensional Fund Advisors LP makes any express or implied warranties, and expressly disclaims all warranties, of merchantability or fitness for a particular purpose or use with respect to an underlying index or any data included therein. Without limiting any of the foregoing, in no event shall either Advisers, LLC or Dimensional Fund Advisors LP have any liability for any special, punitive, direct, indirect, or consequential damages, including lost profits, arising out of matters relating to the use of an underlying index, even if notified of the possibility of such damages. ETFs are distributed by Foreside Fund Services, LLC, and are subadvised by Dimensional Fund Advisors LP. Foreside is not affiliated with Funds, LLC or Dimensional Fund Advisors LP. Request a prospectus or summary prospectus from your financial advisor, by visiting jhinvestments.com, or by calling us at The prospectus includes investment objectives, risks, fees, expenses, and other information that you should consider carefully before investing. Connect with jhinvestmentsblog.com Funds, LLC Member FINRA, SIPC 61 Congress Street Boston, MA jhinvestments.com NOT FDIC INSURED. MAY LOSE VALUE. NO BANK GUARANTEE. NOT INSURED BY ANY GOVERNMENT AGENCY. MF JHAN PIINTLBR 1/1

EQUITIES. Making the most of the market s long-term potential

EQUITIES. Making the most of the market s long-term potential EQUITIES Making the most of the market s long-term potential Three things to know about the stock market 1 It s one of the best ways to build wealth Stocks have outpaced bonds and inflation over time,

More information

Investment objective The Fund seeks to achieve long-term capital appreciation primarily through investment in equities of non-us companies.

Investment objective The Fund seeks to achieve long-term capital appreciation primarily through investment in equities of non-us companies. INVESTMENT INSIGHTS International Opportunities Fund HFOAX HFOCX HFOIX HFORX December 3, 06 Investment strategy The Fund primarily invests in equities listed on European, Australasian and Far Eastern (EAFE)

More information

MULTIFACTOR INVESTING. Seeking to build a better index EXCHANGE-TRADED FUNDS

MULTIFACTOR INVESTING. Seeking to build a better index EXCHANGE-TRADED FUNDS MULTIFACTOR INVESTING Seeking to build a better index EXCHANGE-TRADED FUNDS Three things to know about factor-based investing Consider this: 1 It represents an important segment of the evolving strategic

More information

Non-US US Non-US US Non-US US. What does that mean for you as an investor? Why Invesco International Growth Fund? 1 Consistency of performance

Non-US US Non-US US Non-US US. What does that mean for you as an investor? Why Invesco International Growth Fund? 1 Consistency of performance Invesco International Growth Fund Seeking quality growth abroad Equity Objective Seeks long-term growth of capital A: AIIEX C: AIECX Y: AIIYX R: AIERX R5: AIEVX R6: IGFRX Fund facts and figures 26 years

More information

Inception date 8/01/12 Minimum initial investment $500

Inception date 8/01/12 Minimum initial investment $500 INVESTMENT INSIGHTS Dividend & Income Builder Fund HDAVX HDCVX HDIVX December 31, 2016 Investment strategy The Fund is a global diversified portfolio of income-producing securities, primarily dividend

More information

Additional series available. Morningstar TM Rating - Funds in category - Equity style Market cap %

Additional series available. Morningstar TM Rating - Funds in category - Equity style Market cap % Sun Life MFS Low Volatility International Equity Fund Investment objective Series A $8.7749 Net asset value per security (NAVPS) as of April 1, 2018 $0.0005 0.01% Benchmark MSCI EAFE C$ Index Fund category

More information

Global Equity Income Fund

Global Equity Income Fund INVESTMENT INSIGHTS Global Equity Income Fund HFQAX HFQCX HFQIX December 31, 2016 Investment strategy The Fund primarily invests in global income-producing equities with an international bias. The Fund

More information

ETFs. Multifactor Investing. Seeking to build a better index

ETFs. Multifactor Investing. Seeking to build a better index ETFs Multifactor Investing Seeking to build a better index Three things to know about active and passive investing 1 Active investing has advantages, but requires both skill and discipline The premise

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Micro 0.0. Global equity sectors * %

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Micro 0.0. Global equity sectors * % Sun Life Dynamic Energy Fund Series A $9.3147 CAD Net asset value per security (NAVPS) as of September 14, 2018 $-0.0059-0.06% Benchmark S&P/TSX Capped Energy Index Fund category Energy Equity Additional

More information

Additional series available. Morningstar TM Rating. Funds in category 447. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category 447. Equity style Market cap % Sun Life MFS International Growth Fund Investment objective Series A $15.6992 CAD Net asset value per security (NAVPS) as of April 05, 2019 $0.0574 0.37% Benchmark MSCI EAFE C$ Index Fund category International

More information

Seek to Improve US Equity Exposure

Seek to Improve US Equity Exposure Seek to Improve US Equity Exposure Seek Higher Returns by Investing Beyond Mega Caps Large US companies (ex mega caps) historically provided stronger returns than mega caps, 1 yet are under represented

More information

EUROPE DIVIDEND STRATEGY SERIES:

EUROPE DIVIDEND STRATEGY SERIES: EUROPE DIVIDEND STRATEGY SERIES: The Power of Dividend Investing Q1 2019 60 State Street Boston, MA 02109 info@oshares.com // THE POWER OF DIVIDEND INVESTING 03 04 05 06 07 08 The Most Powerful Force in

More information

Additional series available. Morningstar TM Rating. Funds in category 431. Credit quality %

Additional series available. Morningstar TM Rating. Funds in category 431. Credit quality % Sun Life MFS Dividend Income Fund Investment objective Series A $12.9438 CAD Net asset value per security (NAVPS) as of October 05, 2018 $-0.0365-0.28% Benchmark S&P/TSX Capped Composite Index Fund category

More information

John Hancock Disciplined Value International Fund

John Hancock Disciplined Value International Fund Click here for the prospectus. Click here for the Statement of Additional Information. John Hancock Disciplined Value International Fund Summary prospectus 3/1/18 (as revised 10/1/18) Before you invest,

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Sun Life MFS Canadian Equity Growth Fund Series A $48.7284 Net asset value per security (NAVPS) as of February 12, 2018 $0.6295 1.31% Benchmark Blended benchmark Fund category Canadian Focused Equity Additional

More information

Schwab Institutional Diversified International Trust Fund

Schwab Institutional Diversified International Trust Fund Fund Facts Trustee Fund Type Charles Schwab Bank Collective Trust Fund Morningstar Category Foreign Large Blend Benchmark MSCI EAFE Index (Net) 1 Unit Class Inception Date 10/26/2010 Fund Inception Date

More information

Additional series available. Morningstar TM Rating. Funds in category Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category Equity style Market cap % Sun Life MFS Global Growth Fund Investment objective Series A $20.3181 CAD Net asset value per security (NAVPS) as of September 14, 2018 $0.0919 0.45% Benchmark MSCI AC World C$ Index Fund category Global

More information

Additional series available. Morningstar TM Rating. Funds in category 403. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category 403. Equity style Market cap % Sun Life MFS International Value Fund Investment objective Series A $19.6632 CAD Net asset value per security (NAVPS) as of December 24, 2018 $-0.0015-0.01% Benchmark MSCI EAFE C$ Index Fund category International

More information

4Q17 Global & International Equity GLOBAL EQUITY. 10+ Years of Providing High Income Through Global Dividends

4Q17 Global & International Equity GLOBAL EQUITY. 10+ Years of Providing High Income Through Global Dividends 4Q17 Global & International Equity GLOBAL EQUITY INCOME FUND 10+ Years of Providing High Income Through Global Dividends A: HFQAX C: HFQCX I: HFQIX N: HFQRX S: HFQSX T: HFQTX Overall Morningstar Rating

More information

Additional series available. Morningstar TM Rating. Funds in category Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category Equity style Market cap % Sun Life MFS U.S. Growth Class Series A Additional series available NOTE: This Fund is a class of mutual fund shares of Sun Life Global Investments Corporate Class Inc. $23.0172 CAD Net asset value per

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Giant 0.0 Large 1.9 Medium 58.5 Small 37.1 Micro 2.

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Giant 0.0 Large 1.9 Medium 58.5 Small 37.1 Micro 2. Sun Life Schroder Global Mid Cap Fund Series A $11.6434 CAD Net asset value per security (NAVPS) as of September 27, 2018 $0.0408 0.35% Benchmark MSCI World Small Cap Index Fund category Global Small/Mid

More information

Smart Beta ETFs: 3 ways to address investor needs

Smart Beta ETFs: 3 ways to address investor needs Smart Beta ETFs: 3 ways to address investor needs Help achieve investor goals with smart beta ETFs This guide highlights three ways investors are using ishares smart beta ETFs: 1 Lower volatility can help

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Sun Life MFS Dividend Income Fund Series A $13.3108 Net asset value per security (NAVPS) as of December 22, 2017 $-0.0115-0.09% Benchmark S&P/TSX Capped Composite Index Fund category Canadian Dividend

More information

This notice also includes a Q&A section that we hope will address many of your questions and concerns.

This notice also includes a Q&A section that we hope will address many of your questions and concerns. November 13, 2017 2017 estimated capital gain and income distributions To assist you with your tax planning, John Hancock Investments is providing you with advance notice of estimated capital gain distributions,

More information

Additional series available. Morningstar TM Rating. Funds in category 797. Fixed income % of fixed income allocation

Additional series available. Morningstar TM Rating. Funds in category 797. Fixed income % of fixed income allocation Sun Life Granite Growth Portfolio Investment objective Series A $14.1960 CAD Net asset value per security (NAVPS) as of September 14, 2018 $0.0440 0.31% Benchmark Blended benchmark Fund category Global

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Sun Life BlackRock Canadian Equity Fund Series A $13.5549 Net asset value per security (NAVPS) as of January 04, 2018 $0.0452 0.33% Benchmark S&P/TSX Capped Composite Index Fund category Canadian Focused

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Sun Life BlackRock Canadian Composite Equity Class Series A $11.6889 CAD Net asset value per security (NAVPS) as of August 31, 2018 $-0.0752-0.64% Benchmark S&P/TSX Capped Composite Index Fund category

More information

Additional series available. Morningstar TM Rating. Funds in category Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category Equity style Market cap % Sun Life MFS Global Value Fund Investment objective Series A $21.8820 CAD Net asset value per security (NAVPS) as of January 04, 2019 $0.3356 1.56% Benchmark MSCI World C$ Index Fund category Global Equity

More information

Vanguard FTSE Europe ETF

Vanguard FTSE Europe ETF Vanguard Product Summary Seeks to track the performance of the Developed All Cap Index. Targets an common stocks. Diversified across developed markets. Employs a passively managed, full-replication strategy.

More information

Additional series available. Morningstar TM Rating. Funds in category Fixed income % of fixed income allocation

Additional series available. Morningstar TM Rating. Funds in category Fixed income % of fixed income allocation Sun Life Granite Moderate Portfolio Series A $12.0677 CAD Net asset value per security (NAVPS) as of January 15, 2019 $0.0353 0.29% Benchmark Blended benchmark Fund category Global Neutral Balanced Additional

More information

Boston Partners Managed Mutual Funds

Boston Partners Managed Mutual Funds Percentile Rankings vs. Morningstar Category: September 0, 08 Strategy Institutional Shares Ticker Overall Morningstar Rating Return Rank Return Rank Return Rank Return Rank Return Rank BP All-Cap Value

More information

Additional series available. Morningstar TM Rating. Funds in category 70. Equity style Market cap % Micro 0.0. Italy 28.5 as of January 31, 2019

Additional series available. Morningstar TM Rating. Funds in category 70. Equity style Market cap % Micro 0.0. Italy 28.5 as of January 31, 2019 Sun Life Infrastructure Fund Investment objective Series A $7.9677 CAD Net asset value per security (NAVPS) as of March 25, 2019 $-0.0074-0.09% Benchmark S&P Global Infrastructure Index Fund category Global

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Sun Life Dynamic American Fund Series A Additional series available Note: Effective February 10, 2017, Sun Life Dynamic American Value Fund was renamed Sun Life Dynamic American Fund. $13.5130 Net asset

More information

Additional series available. Morningstar TM Rating. Funds in category Fixed income % of fixed income allocation

Additional series available. Morningstar TM Rating. Funds in category Fixed income % of fixed income allocation Sun Life Granite Moderate Portfolio Series A $12.2384 CAD Net asset value per security (NAVPS) as of December 20, 2018 $-0.0639-0.52% Benchmark Blended benchmark Fund category Global Neutral Balanced Additional

More information

Important information on BlackRock MSCI ACWI ex-u.s. IMI Ind Fund

Important information on BlackRock MSCI ACWI ex-u.s. IMI Ind Fund Important information on BlackRock MSCI ACWI ex-u.s. IMI Ind Fund The information provided on the following pages has been provided by BlackRock, Inc. Neither TIAA nor its affiliates has independently

More information

Additional series available. Morningstar TM Rating. Funds in category 345. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category 345. Equity style Market cap % Sun Life MFS International Growth Fund Investment objective Series A $16.3429 Net asset value per security (NAVPS) as of April 03, 2018 $-0.2047-1.24% Benchmark MSCI EAFE C$ Index Fund category International

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Fixed inc style. of fixed income allocation

Additional series available. Morningstar TM Rating. Funds in category. Equity style Fixed inc style. of fixed income allocation Sun Life Granite Conservative Class Series A Additional series available NOTE: This Fund is a class of mutual fund shares of Sun Life Global Investments Corporate Class Inc. $11.5381 Net asset value per

More information

Additional series available. Morningstar TM Rating. Funds in category 192. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category 192. Equity style Market cap % Sun Life Sionna Canadian Small Cap Equity Class Series A Additional series available Note: Sun Life Sionna Canadian Small Cap Equity Class will be closed effective November 16, 2018. View press release.

More information

Smart Beta Dashboard. Thoughts at a Glance. January By the SPDR Americas Research Team

Smart Beta Dashboard. Thoughts at a Glance. January By the SPDR Americas Research Team By the SPDR Americas Research Team Thoughts at a Glance 2017 marked another year of factor performance shifts. s comeback in the US on the heels of the US election and the potential for a Trump-flation

More information

Boston Partners Managed Mutual Funds

Boston Partners Managed Mutual Funds Percentile Rankings vs. Morningstar Category: June 0, 08 Strategy Institutional Shares Ticker Overall Morningstar Rating Return Rank Return Rank Return Rank Return Rank Return Rank BP All-Cap Value Fund

More information

Additional series available. Morningstar TM Rating. Funds in category 964. Fixed income % of fixed income allocation

Additional series available. Morningstar TM Rating. Funds in category 964. Fixed income % of fixed income allocation Sun Life Granite Balanced Portfolio Investment objective Series A $13.0649 CAD Net asset value per security (NAVPS) as of September 06, 2018 $-0.0100-0.08% Benchmark Blended benchmark Fund category Global

More information

Additional series available. Morningstar TM Rating. Funds in category 411. Equity style Market cap % Micro 2.0. Canada 56.9 as of February 28, 2018

Additional series available. Morningstar TM Rating. Funds in category 411. Equity style Market cap % Micro 2.0. Canada 56.9 as of February 28, 2018 Sun Life Dynamic Equity Income Fund Investment objective Series A $10.6262 Net asset value per security (NAVPS) as of June 06, 2018 $0.0277 0.26% Benchmark S&P/TSX Composite Index Fund category Canadian

More information

Additional series available. Morningstar TM Rating - Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating - Funds in category. Equity style Market cap % Sun Life JPMorgan International Equity fund Series A $9.249 CAD Net asset value per security (NAVPS) as of September 12, 2018 $-0.0659-0.71% Benchmark MSCI ACWI ex US Index C$ Fund category International

More information

This notice also includes a Q&A section that we hope will address many of your questions and concerns.

This notice also includes a Q&A section that we hope will address many of your questions and concerns. October 16, 2018 2018 estimated capital gain and income distributions To assist you with your tax planning, John Hancock Investments is providing you with advance notice of estimated capital gain distributions,

More information

Important information on BlackRock U.S. Debt Index Fund

Important information on BlackRock U.S. Debt Index Fund Important information on BlackRock U.S. Debt Index Fund The information provided on the following pages has been provided by BlackRock, Inc. Neither TIAA nor its affiliates has independently verified the

More information

Additional series available. Morningstar TM Rating. Funds in category 437. Fixed income % of fixed income allocation

Additional series available. Morningstar TM Rating. Funds in category 437. Fixed income % of fixed income allocation Sun Life Granite Conservative Portfolio Investment objective Series A $11.3234 CAD Net asset value per security (NAVPS) as of April 18, 2019 $0.0289 0.26% Benchmark Blended benchmark Fund category Global

More information

Additional series available. Morningstar TM Rating. Funds in category. Fixed income %

Additional series available. Morningstar TM Rating. Funds in category. Fixed income % Sun Life Granite Growth Portfolio Series A $13.8069 Net asset value per security (NAVPS) as of March 06, 2018 $0.0088 0.06% Benchmark Blended benchmark Fund category Global Equity Balanced Additional series

More information

Additional series available. Morningstar TM Rating. Funds in category 959. Equity style Market cap % Micro 0.0

Additional series available. Morningstar TM Rating. Funds in category 959. Equity style Market cap % Micro 0.0 Sun Life MFS U.S. Growth Fund Investment objective Series A $31.1589 CAD Net asset value per security (NAVPS) as of November 14, 2018 $-0.2562-0.82% Benchmark Russell 1000 C$ Index Fund category US Equity

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Sun Life Excel Emerging Markets Fund Series A $11.1198 Net asset value per security (NAVPS) as of June 22, 18 $0.0811 0.73% Benchmark MSCI Emerging Markets C$ Index Fund category Emerging Markets Equity

More information

Additional series available. Morningstar TM Rating. Funds in category 987. Fixed inc style Credit quality %

Additional series available. Morningstar TM Rating. Funds in category 987. Fixed inc style Credit quality % Sun Life MFS Monthly Income Fund Investment objective Series A $10.3431 CAD Net asset value per security (NAVPS) as of November 14, 2018 $-0.0079-0.08% Benchmark Blended benchmark Fund category Global

More information

Additional series available. Morningstar TM Rating - Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating - Funds in category. Equity style Market cap % Sun Life Infrastructure Fund Series A $7.6099 Net asset value per security (NAVPS) as of February 07, 2018 $0.0792 1.05% Benchmark S&P Global Infrastructure Total Return C$ Index Fund category Global Infrastructure

More information

Nuance Mid Cap Value Fund (NMVLX)

Nuance Mid Cap Value Fund (NMVLX) Value Fund (NMVLX) Third Quarter Investment Objective The Value Fund seeks long term capital appreciation. The performance focus is on absolute return and Sharpe vs the Russell Midcap Value, primary benchmark,

More information

Important information on BlackRock Strategic Completion Non- Lendable Fund

Important information on BlackRock Strategic Completion Non- Lendable Fund Important information on BlackRock Strategic Completion Non- Lendable Fund The information provided on the following pages has been provided by BlackRock Institutional Trust Company, N.A.. Neither TIAA

More information

Additional series available. Morningstar TM Rating. Funds in category 529. Equity style Market cap % Micro 11.7

Additional series available. Morningstar TM Rating. Funds in category 529. Equity style Market cap % Micro 11.7 Sun Life Sentry Value Fund Investment objective Series A $13.5020 CAD Net asset value per security (NAVPS) as of November 09, 2018 $-0.0924-0.68% Benchmark S&P/TSX Composite Index Fund category Canadian

More information

TIAA Access Accounts - TIAA-CREF Lifecycle Funds - Level 4

TIAA Access Accounts - TIAA-CREF Lifecycle Funds - Level 4 TIAA Accounts - TIAA-CREF Funds - Level 4 Glidepath Strategy Target-date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income investments)

More information

ASSET ALLOCATION. Redefining diversification in your portfolio MULTIMANAGER LIFESTYLE PORTFOLIOS

ASSET ALLOCATION. Redefining diversification in your portfolio MULTIMANAGER LIFESTYLE PORTFOLIOS ASSET ALLOCATION Redefining diversification in your MULTIMANAGER LIFESTYLE PORTFOLIOS Three things to know about asset allocation 1 Different assets play different roles While stocks have significant appreciation

More information

TIAA Access Accounts - TIAA-CREF Lifecycle Funds - Level 2

TIAA Access Accounts - TIAA-CREF Lifecycle Funds - Level 2 Glidepath Strategy Target-date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income investments) along specific points in time. A

More information

ASSET ALLOCATION. Redefining diversification in your portfolio MULTIMANAGER LIFESTYLE PORTFOLIOS

ASSET ALLOCATION. Redefining diversification in your portfolio MULTIMANAGER LIFESTYLE PORTFOLIOS ASSET ALLOCATION Redefining diversification in your MULTIMANAGER LIFESTYLE PORTFOLIOS Three things to know about asset allocation 1 Different assets play different roles While stocks have significant appreciation

More information

Additional series available. Morningstar TM Rating. Funds in category. Fixed income % of fixed income allocation

Additional series available. Morningstar TM Rating. Funds in category. Fixed income % of fixed income allocation Sun Life Granite Balanced Portfolio Series A $13.1649 Net asset value per security (NAVPS) as of November 27, 2017 $-0.0102-0.08% Benchmark Blended benchmark Fund category Global Neutral Balanced Additional

More information

Additional series available. Morningstar TM Rating. Funds in category 321. Fixed income % of fixed income allocation

Additional series available. Morningstar TM Rating. Funds in category 321. Fixed income % of fixed income allocation Sun Life Granite Conservative Portfolio Investment objective Series A $11.4092 Net asset value per security (NAVPS) as of August 21, 2018 $-0.0023-0.02% Benchmark Blended benchmark Fund category Global

More information

HOW DO YOU DEFINE YOUR BORDERS? THE MODERN INDEX STRATEGY. msci.com

HOW DO YOU DEFINE YOUR BORDERS? THE MODERN INDEX STRATEGY. msci.com HOW DO YOU DEFINE YOUR BORDERS? THE MODERN INDEX STRATEGY msci.com MSCI DELIVERS THE MODERN INDEX STRATEGY The MSCI EAFE Index is designed to represent the performance of large- and mid-cap securities

More information

Additional series available. Morningstar TM Rating. Funds in category 960. Fixed income % of fixed income allocation

Additional series available. Morningstar TM Rating. Funds in category 960. Fixed income % of fixed income allocation Sun Life Granite Moderate Portfolio Investment objective Series A $12.6002 Net asset value per security (NAVPS) as of April 20, 2018 $-0.0024-0.02% Benchmark Blended benchmark Fund category Global Neutral

More information

Additional series available. Morningstar TM Rating. Funds in category. Fixed income %

Additional series available. Morningstar TM Rating. Funds in category. Fixed income % Sun Life Granite Conservative Portfolio Series A $11.2161 Net asset value per security (NAVPS) as of April 04, 2018 $0.0083 0.07% Benchmark Blended benchmark Fund category Global Fixed Income Balanced

More information

TIAA-CREF Lifecycle Index 2010 Fund

TIAA-CREF Lifecycle Index 2010 Fund TIAA-CREF Lifecycle Index 2010 Institutional Class (TLTIX) As of 12/31/17 Portfolio Strategies The Lifecycle Index 2010 seeks high total return over time through a combination of capital appreciation and

More information

Fidelity Global ex U.S. Index Fund

Fidelity Global ex U.S. Index Fund QUARTERLY FUND REVIEW AS OF DECEMBER 31, 2017 Fidelity Global ex U.S. Fund Investment Approach Fidelity Global ex U.S. Fund is a diversified international equity strategy that seeks to closely track the

More information

SPDR MSCI Strategic Factors Monthly Performance Update

SPDR MSCI Strategic Factors Monthly Performance Update SPDR MSCI Strategic Factors Monthly Performance Update September 2017 Public Use IBG-25389 SPDR MSCI StrategicFactors Suite The funds seek to track an index that blends low volatility, quality and value

More information

Factor Investing by ishares

Factor Investing by ishares Factor Investing by ishares Smart Beta strategies for the core of your portfolio ICRMH0219U-732979-1/24 Active funds are under pressure Underperformance. High fees. Capital gains distributions. Active

More information

Introduction to the KraneShares CICC China Leaders 100 Index ETF: A Smart Beta Approach to Investing in Mainland China s Top 100 Companies

Introduction to the KraneShares CICC China Leaders 100 Index ETF: A Smart Beta Approach to Investing in Mainland China s Top 100 Companies KFYP 12/31/2018 Introduction to the KraneShares CICC China Leaders 100 Index ETF: A Smart Beta Approach to Investing in Mainland China s Top 100 Companies info@kraneshares.com 1 Introduction to China International

More information

Additional series available. Morningstar TM Rating. Funds in category 363. Fixed income % of fixed income allocation

Additional series available. Morningstar TM Rating. Funds in category 363. Fixed income % of fixed income allocation Sun Life BlackRock Canadian Balanced Fund Investment objective Series A $12.4584 Net asset value per security (NAVPS) as of August 20, 2018 $0.0128 0.10% Benchmark Blended benchmark Fund category Canadian

More information

Calamos Phineus Long/Short Fund

Calamos Phineus Long/Short Fund Calamos Phineus Long/Short Fund Performance Update SEPTEMBER 18 FOR INVESTMENT PROFESSIONAL USE ONLY Why Calamos Phineus Long/Short Equity-Like Returns with Superior Risk Profile Over Full Market Cycle

More information

Smart Beta Dashboard. Thoughts at a Glance. June By the SPDR Americas Research Team

Smart Beta Dashboard. Thoughts at a Glance. June By the SPDR Americas Research Team By the SPDR Americas Research Team Thoughts at a Glance Factor performance diverged across regions in Q2. In the US, all factors with the exception of underperformed broad US equities. As volatility in

More information

Smart Beta Dashboard. Thoughts at a Glance. March By the SPDR Americas Research Team

Smart Beta Dashboard. Thoughts at a Glance. March By the SPDR Americas Research Team By the SPDR Americas Research Team Thoughts at a Glance For the first two months of Q1, US outperformed the broader market by nearly 5%. However, as 10-year Treasury yields and inflation expectations came

More information

MSCI EAFE Index. An index that provides access to developed markets outside the United States. Nationwide New Heights Fixed Indexed Annuity

MSCI EAFE Index. An index that provides access to developed markets outside the United States. Nationwide New Heights Fixed Indexed Annuity Nationwide New Heights Fixed Indexed Annuity International Index Option MSCI EAFE Index An index that provides access to developed markets outside the United States MSCI EAFE The MSCI EAFE Index is a widely

More information

Aspiriant Risk-Managed Equity Allocation Fund RMEAX Q4 2018

Aspiriant Risk-Managed Equity Allocation Fund RMEAX Q4 2018 Aspiriant Risk-Managed Equity Allocation Fund Q4 2018 Investment Objective Description The Aspiriant Risk-Managed Equity Allocation Fund ( or the Fund ) seeks to achieve long-term capital appreciation

More information

Global Allocation Fund

Global Allocation Fund INST: MALOX A: MDLOX C: MCLOX K: MKLOX Allocation Fund Morningstar Analyst Rating Scour the world to reach your goals Think outside the (style) box: Broaden your universe to find opportunities. Morningstar

More information

DIVIDEND STRATEGY SERIES:

DIVIDEND STRATEGY SERIES: DIVIDEND STRATEGY SERIES: The Power of Dividend Investing Q1 2019 60 State Street Boston, MA 02109 info@oshares.com // THE POWER OF DIVIDEND INVESTING Dividends 04 The Most Powerful Force in the Universe?

More information

Active M Emerging Markets Equity Fund (NMMEX) (Formerly known as Multi-Manager Emerging Markets Equity Fund)

Active M Emerging Markets Equity Fund (NMMEX) (Formerly known as Multi-Manager Emerging Markets Equity Fund) NORTHERN FUNDS Active M Emerging Markets Equity Fund (NMMEX) (Formerly known as Multi-Manager Emerging Markets Equity Fund) 2Q 2018 Performance Review June 30, 2018 Please carefully read the prospectus

More information

First Trust AlphaDEX Family of ETFs Fundamentally Different

First Trust AlphaDEX Family of ETFs Fundamentally Different First Trust AlphaDEX Family of ETFs Fundamentally Different Dan Waldron ETF Strategist, Sr. Vice President First Trust ETF Assets $32,000,000,000 $28,000,000,000 $24,000,000,000 $20,000,000,000 AlphaDEX

More information

Diversification Opportunities From Capturing China as an Asset Class An Overview of the KraneShares MSCI All China Index ETF (Ticker: KALL)

Diversification Opportunities From Capturing China as an Asset Class An Overview of the KraneShares MSCI All China Index ETF (Ticker: KALL) KALL 9/30/2018 Diversification Opportunities From Capturing as an Asset Class An Overview of the KraneShares MSCI All Index ETF (Ticker: KALL) Info@kraneshares.com Diversification may not protect against

More information

Additional series available. Morningstar TM Rating - Funds in category. Equity style Market cap % Micro 0.2. as of October 31, 2018

Additional series available. Morningstar TM Rating - Funds in category. Equity style Market cap % Micro 0.2. as of October 31, 2018 Sun Life Excel India Fund Series A Additional series available Note: On June 18, 2018, the Excel India Fund changed its name to the Sun Life Excel India Fund. $35.1566 CAD Net asset value per security

More information

Schwab Institutional Large Cap Value Trust Fund (Closed to new investors)

Schwab Institutional Large Cap Value Trust Fund (Closed to new investors) Fund Facts Trustee Fund Type Charles Schwab Bank Collective Trust Fund Morningstar Category Large Value Benchmark Russell 1000 Value Index 1 Unit Class Inception Date 1/3/2002 Fund Inception Date 1/3/2002

More information

Fidelity International Index Fund

Fidelity International Index Fund QUARTERLY FUND REVIEW AS OF SEPTEMBER 30, 2017 Fidelity International Fund Investment Approach Fidelity International Fund is a diversified international equity strategy that seeks to closely track the

More information

HOW DO YOU DEFINE YOUR BORDERS? THE MODERN INDEX STRATEGY. msci.com

HOW DO YOU DEFINE YOUR BORDERS? THE MODERN INDEX STRATEGY. msci.com HOW DO YOU DEFINE YOUR BORDERS? THE MODERN INDEX STRATEGY msci.com MSCI DELIVERS THE MODERN INDEX STRATEGY The MSCI EAFE Index is designed to represent the performance of large- and mid-cap securities

More information

EXPERT SERIES STRATEGIC BETA IN EMERGING MARKETS

EXPERT SERIES STRATEGIC BETA IN EMERGING MARKETS NOVEMBER 2016 EXPERT SERIES STRATEGIC BETA IN EMERGING MARKETS Highlights There is an opportunity for investors in EM to implement a rules-based investment process that reflects the systemization of alpha

More information

WisdomTree Dividend Growth Indexes FOR REGISTERED REPRESENTATIVE OR INSTITUTIONAL USE ONLY. NOT FOR PUBLIC USE OR VIEWING.

WisdomTree Dividend Growth Indexes FOR REGISTERED REPRESENTATIVE OR INSTITUTIONAL USE ONLY. NOT FOR PUBLIC USE OR VIEWING. WisdomTree Dividend Growth Indexes Important Information This information is provided to further analyze the long term performance of the WisdomTree Funds, specific components, characteristics of the funds

More information

WisdomTree.com Currency Hedged Equities Q2 2018

WisdomTree.com Currency Hedged Equities Q2 2018 WisdomTree.com 866.909.9473 Q2 2018 Ratio of MSCI to S&P The Dollar s Impact on Equities: ACWX (Unhedged) Relative to the S&P 500 1.7 1.6 1.5 1.4 1.3 U.S. Dollar Depreciation Cumulative: -25.52% Annualized:

More information

Schwab Indexed Retirement Trust Fund 2040

Schwab Indexed Retirement Trust Fund 2040 Fund Facts Trustee Fund Type Charles Schwab Bank Collective Trust Fund Category Target Date 2036-2040 Benchmark 2040 Custom Index 1 Unit Class Inception Date Fund Inception Date 1/5/2009 Net Asset Value

More information

Additional series available. Morningstar TM Rating. Funds in category. Fixed income % of fixed income allocation

Additional series available. Morningstar TM Rating. Funds in category. Fixed income % of fixed income allocation Sun Life MFS Global Total Return Fund Series A $16.7327 Net asset value per security (NAVPS) as of January 19, 2018 $0.0201 0.12% Benchmark Blended benchmark Fund category Global Neutral Balanced Additional

More information

Vanguard Institutional Target Retirement Funds

Vanguard Institutional Target Retirement Funds Vanguard Funds Date AS OF 09/30/2017 Glidepath Strategy -date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income investments) along

More information

Vanguard Target Retirement Funds - Investor Share Class

Vanguard Target Retirement Funds - Investor Share Class Vanguard Funds - Investor Share Class Date AS OF 09/30/2017 Glidepath Strategy -date funds employ glidepaths, which are the planned progression of asset allocation changes (e.g., mix of equity and fixed-income

More information

Xtrackers MSCI ESG Leaders Equity ETFs

Xtrackers MSCI ESG Leaders Equity ETFs 4Q.208 Xtrackers Xtrackers MSCI ESG Leaders Equity ETFs Seeking exposure to the highest ESG rated companies Best-in-class approach Indices target companies with the highest environmental, social, and governance

More information

MSCI EAFE Index. An index that provides access to developed markets outside the United States. Nationwide New Heights Fixed Indexed Annuities

MSCI EAFE Index. An index that provides access to developed markets outside the United States. Nationwide New Heights Fixed Indexed Annuities Nationwide New Heights Fixed Indexed Annuities International Index Option Guide MSCI EAFE Index An index that provides access to developed markets outside the United States MSCI EAFE The MSCI EAFE Index

More information

O SHARES ETF INVESTMENTS

O SHARES ETF INVESTMENTS O SHARES ETF INVESTMENTS Annual Report Before investing you should carefully consider a Fund s investment objectives, risks, charges and expenses. This and other information is available in the Fund s

More information

BUILDING STRONGER PORTFOLIOS WITH MULTI-ASSET SOLUTIONS

BUILDING STRONGER PORTFOLIOS WITH MULTI-ASSET SOLUTIONS NOT FDIC INSURED NO BANK GUARANTEE MAY LOSE VALUE BUILDING STRONGER PORTFOLIOS WITH MULTI-ASSET SOLUTIONS Leveraging the best ideas of J.P. Morgan Stronger portfolios for better client results It takes

More information

Fidelity Global ex U.S. Index Fund

Fidelity Global ex U.S. Index Fund QUARTERLY FUND REVIEW AS OF SEPTEMBER 30, 2017 Fidelity Global ex U.S. Fund Investment Approach Fidelity Global ex U.S. Fund is a diversified international equity strategy that seeks to closely track the

More information

Brandes Quarterly Letter: What a Difference a Year Can Make

Brandes Quarterly Letter: What a Difference a Year Can Make Brandes Quarterly Letter: What a Difference a Year Can Make January 9, 2019 by Team of Brandes Investment Partners By the close of 2018, the investment climate had changed significantly from just a year

More information

Vanguard Developed Markets Index Fund

Vanguard Developed Markets Index Fund Vanguard Product Summary Seeks to track FTSE All Cap ex. International equity diversified across growth and value styles. markets in Canada and the major markets of Europe and the Pacific region. Passively

More information

Additional series available. Morningstar TM Rating - Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating - Funds in category. Equity style Market cap % Sun Life Excel New India Leaders Fund Series A Additional series available Note: On June 18, 2018, the Excel New India Leaders Fund changed its name to the Sun Life Excel New India Leaders Fund. $5.7880

More information

An All-Cap Core Investment Approach

An All-Cap Core Investment Approach An All-Cap Core Investment Approach A White Paper by Manning & Napier www.manning-napier.com Unless otherwise noted, all figures are based in USD. 1 What is an All-Cap Core Approach An All-Cap Core investment

More information

SPDR MSCI USA Value UCITS ETF

SPDR MSCI USA Value UCITS ETF SSGA SPDR ETFs Europe II Plc 11 July 2018 SPDR MSCI USA Value UCITS ETF Supplement No. 28 (A sub-fund of SSGA SPDR ETFs Europe II plc (the Company ) an open-ended investment company constituted as an umbrella

More information