Manulife (Manufacturers Life Insurance)

Manulife (Manufacturers Life Insurance) Portfolio holdings

AUM $112B
1-Year Return 19.76%
This Quarter Return
+4.59%
1 Year Return
+19.76%
3 Year Return
+56.91%
5 Year Return
+121.6%
10 Year Return
+261.3%
AUM
$60M
AUM Growth
-$53B
Cap. Flow
-$11.8B
Cap. Flow %
-19,681.88%
Top 10 Hldgs %
29.92%
Holding
3,854
New
255
Increased
1,418
Reduced
1,458
Closed
145
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BBWI icon
451
Bath & Body Works
BBWI
$6.06B
$16.3K 0.03%
329,826
+18,796
+6% +$928
TREX icon
452
Trex
TREX
$6.93B
$16.2K 0.03%
2,622,856
+1,496,000
+133% +$9.26K
HBAN icon
453
Huntington Bancshares
HBAN
$25.7B
$16.2K 0.03%
1,963,690
+721,148
+58% +$5.96K
EIX icon
454
Edison International
EIX
$21B
$16.2K 0.03%
351,388
+10,861
+3% +$500
MD icon
455
Pediatrix Medical
MD
$1.49B
$16.2K 0.03%
322,332
+5,376
+2% +$270
AGO icon
456
Assured Guaranty
AGO
$3.91B
$16.2K 0.03%
+862,816
New +$16.2K
ROK icon
457
Rockwell Automation
ROK
$38.2B
$16.1K 0.03%
150,985
+4,556
+3% +$487
NXPI icon
458
NXP Semiconductors
NXPI
$57.2B
$16.1K 0.03%
+433,086
New +$16.1K
MOS icon
459
The Mosaic Company
MOS
$10.3B
$16K 0.03%
371,235
+77,473
+26% +$3.33K
COO icon
460
Cooper Companies
COO
$13.5B
$15.9K 0.03%
490,872
+38,136
+8% +$1.24K
RYN icon
461
Rayonier
RYN
$4.12B
$15.9K 0.03%
402,259
+178,575
+80% +$7.06K
HUM icon
462
Humana
HUM
$37B
$15.9K 0.03%
170,389
+4,661
+3% +$435
VTRS icon
463
Viatris
VTRS
$12.2B
$15.9K 0.03%
416,367
+19,899
+5% +$760
ADI icon
464
Analog Devices
ADI
$122B
$15.8K 0.03%
336,812
+14,699
+5% +$692
HOG icon
465
Harley-Davidson
HOG
$3.67B
$15.7K 0.03%
245,101
+8,338
+4% +$536
SWK icon
466
Stanley Black & Decker
SWK
$12.1B
$15.7K 0.03%
173,600
+4,959
+3% +$449
L icon
467
Loews
L
$20B
$15.7K 0.03%
335,691
+8,680
+3% +$406
CAM
468
DELISTED
CAMERON INTERNATIONAL CORPORATION
CAM
$15.6K 0.03%
267,772
+7,669
+3% +$448
MAT icon
469
Mattel
MAT
$6.06B
$15.6K 0.03%
372,432
+11,616
+3% +$486
BRCM
470
DELISTED
BROADCOM CORP CL-A
BRCM
$15.6K 0.03%
597,979
+48,830
+9% +$1.27K
SNDK
471
DELISTED
SANDISK CORP
SNDK
$15.5K 0.03%
261,280
+8,414
+3% +$501
GAS
472
DELISTED
AGL RESOURCES INC (HOLDING CO)
GAS
$15.5K 0.03%
337,641
+4,655
+1% +$214
CNQR
473
DELISTED
CONCUR TECHNOLOGIES INC
CNQR
$15.5K 0.03%
140,154
-62,414
-31% -$6.9K
BNNY
474
DELISTED
ANNIES INC COMMON STOCK (DE)
BNNY
$15.4K 0.03%
313,974
-16,444
-5% -$807
HIG icon
475
Hartford Financial Services
HIG
$37B
$15.4K 0.03%
494,180
+14,397
+3% +$448