Mutual Funds

The performance data shown represents past performance, which is not a guarantee of future results. Investment returns and principal value will fluctuate, so that investors' shares, when sold, may be worth more or less than their original cost. See performance data current to the most recent month-end, which may be higher or lower than that cited.

Performance figures assume that all distributions are reinvested. Performance for other share classes will vary.

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Domestic equity

 Prices & YTD Returns
Avg Annual Total Returns (%):Month-EndQuarter-End
 NAV as of 6/22/18NAV as of 5/31/18 
Symbol Fund Name Price ($) Chg YTD (%) 1YR 3YR 5YR 10YR Life of Fund 1YR 3YR 5YR 10YR Life of Fund Life of Fund Date
SVBIX Balanced1 20.48 0.06 0.657.475.707.515.937.343/1/02
JCVIX Classic Value3 33.52 0.22 -0.8012.228.9410.637.338.3411/11/02
JVLIX Disciplined Value4 21.66 0.11 -0.8212.527.5410.258.838.761/2/97
JVMIX Disciplined Value Mid Cap5 23.47 0.09 0.6910.358.6512.8911.6410.296/2/97
JHKIX ESG All Cap Core 12.77 0.03 5.1014.16NANANA14.236/6/16
JHJIX ESG Large Cap Core 12.72 0.00 5.3013.30NANANA13.136/6/16
JFCIX Fundamental All Cap Core6 19.90 0.07 4.3517.9811.2113.33NA13.546/1/11
JLVIX Fundamental Large Cap Core7 51.98 0.15 2.0411.7610.5412.136.706.933/1/01
JFVIX Fundamental Large Cap Value6 14.14 0.07 -2.289.565.708.58NA11.026/1/11
JHSOX New Opportunities8 31.03 0.04 8.8019.349.5310.778.617.2410/15/05
JCCIX Small Cap Core9 12.97 0.01 2.949.3812.09NANA9.1612/20/13
JSJIX Small Cap Growth10 18.30 0.23 6.7617.389.1612.8410.0910.2910/31/05
JSCBX Small Cap Value11 22.22 0.08 5.5611.238.249.83NA14.9912/16/08
JSGIX Strategic Growth12 19.48 0.08 11.1922.2813.2315.41NA16.8312/19/11
USLIX U.S. Global Leaders Growth13 52.94 0.19 8.8013.9211.4412.8610.737.485/20/02
JHUIX U.S. Growth14 11.52 0.04 14.0624.6313.4812.969.948.4210/29/05
JVEIX Value Equity 12.42 0.09 0.659.987.15NANA7.566/26/14

Global and international

 Prices & YTD Returns
Avg Annual Total Returns (%):Month-EndQuarter-End
 NAV as of 6/22/18NAV as of 5/31/18 
Symbol Fund Name Price ($) Chg YTD (%) 1YR 3YR 5YR 10YR Life of Fund 1YR 3YR 5YR 10YR Life of Fund Life of Fund Date
JDVIX Disciplined Value Intl15 13.70 0.18 -3.994.993.316.31NA9.1712/30/11
JEVIX Emerging Markets16 11.26 0.09 -6.7110.985.743.852.393.805/1/07
JEMMX Emerging Markets Equity 11.61 0.11 -4.2916.77NANANA6.686/16/15
JTQIX ESG International Equity 12.93 0.16 -0.3910.08NANANA19.9212/14/16
JFGIX Fundamental Global Franchise17 12.79 0.09 1.677.1110.6810.90NA12.626/29/12
JGEFX Global Equity18 11.32 0.08 -3.172.624.527.45NA6.935/16/13
JGYIX Global Shareholder Yield19 11.23 0.11 -4.230.843.526.145.825.473/1/07
JCOIX Greater China Opportunities20 25.82 0.10 1.4132.037.9410.835.0711.266/9/05
GOGIX International Growth21 28.77 0.19 3.9018.819.1410.915.897.486/12/06
JSCIX International Small Company22 12.81 0.14 -1.4611.828.819.674.824.894/28/06
JIEEX International Value Equity23 8.45 0.10 -2.995.893.264.882.095.033/31/98

Income

 Prices & YTD Returns
Avg Annual Total Returns (%):Month-EndQuarter-End
 NAV as of 6/22/18NAV as of 5/31/18 
Symbol Fund Name Price ($) Chg YTD (%) 1YR 3YR 5YR 10YR Life of Fund 1YR 3YR 5YR 10YR Life of Fund Life of Fund Date
JHBIX Bond24 15.35 0.00 -1.820.192.152.835.997.3611/9/73
JCAFX California Tax-Free Income25 10.70 0.01 -0.361.913.073.244.565.5012/29/89
JMKIX Emerging Markets Debt26 9.00 0.04 -6.13-0.714.423.28NA5.401/4/10
JBOIX ESG Core Bond 9.81 0.00 -1.33-1.06NANANA0.9512/14/16
JFIIX Floating Rate Income27 8.44 0.00 1.843.652.792.714.234.331/2/08
JGIFX Government Income28 9.06 0.00 -1.46-1.130.370.932.874.639/30/94
JYHIX High Yield29 3.42 0.00 0.362.144.303.895.566.066/30/93
JHYMX High Yield Municipal Bond25 7.92 0.01 0.343.713.733.104.634.5812/31/93
JSTIX Income30 6.21 0.01 -2.01-0.291.702.075.556.818/18/86
TIUSX Investment Grade Bond31 10.14 0.00 -1.57-0.101.632.254.875.2312/31/91
JMBIX Short Duration Credit Opps32 9.44 0.01 -0.871.482.211.92NA3.4311/2/09
JIPIX Strategic Income Opportunities33 10.41 0.01 -2.460.752.352.696.276.034/28/06
JTBDX Tax-Free Bond25 9.63 0.00 -0.441.772.512.633.985.331/5/90

Alternative and specialty

 Prices & YTD Returns
Avg Annual Total Returns (%):Month-EndQuarter-End
 NAV as of 6/22/18NAV as of 5/31/18 
Symbol Fund Name Price ($) Chg YTD (%) 1YR 3YR 5YR 10YR Life of Fund 1YR 3YR 5YR 10YR Life of Fund Life of Fund Date
JCUIX Absolute Return Currency34 8.83 0.02 -7.92-10.162.40-0.06NA0.158/2/10
JAAIX Alternative Asset Allocation35 14.47 0.05 -0.821.951.802.06NA7.151/2/09
JEEIX Enduring Assets 12.02 0.16 0.404.124.93NANA6.2712/20/13
JFIFX Financial Industries36 20.31 0.04 1.9114.329.1310.566.547.593/14/96
JHAIX Global Absolute Return Strat37 10.17 0.03 -3.33-1.65-1.460.92NA2.4812/19/11
JHRIX Global Conservative Abs Return38 9.29 0.00 0.22-1.490.16NANA0.307/16/13
JGFGX Global Focused Strategies 9.49 0.03 -3.16-2.78NANANA-1.684/13/16
JNRIX Natural Resources39 12.96 0.35 2.5321.201.05-4.17-6.500.6310/15/05
JTRIX Redwood40 11.05 0.00 2.034.691.922.66NA3.949/29/11
JRBFX Regional Bank41 29.67 0.21 7.6122.2519.4817.7511.2712.031/3/92
JSFDX Seaport Long/Short 11.51 0.05 2.686.903.95NANA5.0012/20/13
JTCIX Technical Opportunities42 13.26 0.08 10.5925.407.2212.08NA9.988/3/09

Asset allocation

 Prices & YTD Returns
Avg Annual Total Returns (%):Month-EndQuarter-End
 NAV as of 6/22/18NAV as of 5/31/18 
Symbol Fund Name Price ($) Chg YTD (%) 1YR 3YR 5YR 10YR Life of Fund 1YR 3YR 5YR 10YR Life of Fund Life of Fund Date
JIAIX Income Allocation 9.67 0.03 -2.001.693.12NANA3.0811/14/14
JHRLX Multimanager 2010 Lifetime43 9.13 0.02 -0.444.344.244.874.364.4210/30/06
JHREX Multimanager 2015 Lifetime43 9.62 0.02 0.005.314.725.544.494.6010/30/06
JHRVX Multimanager 2020 Lifetime43 10.51 0.03 0.486.775.426.464.784.9210/30/06
JHRNX Multimanager 2025 Lifetime43 11.24 0.03 0.908.376.167.425.065.1710/30/06
JHRGX Multimanager 2030 Lifetime43 11.65 0.05 1.489.766.838.175.275.4210/30/06
JHRMX Multimanager 2035 Lifetime43 12.23 0.05 1.8311.067.408.765.605.7610/30/06
JHRDX Multimanager 2040 Lifetime43 12.40 0.06 2.1411.897.859.065.765.9110/30/06
JHROX Multimanager 2045 Lifetime43 12.24 0.06 2.2612.097.919.125.775.9110/30/06
JHRPX Multimanager 2050 Lifetime44 13.06 0.06 2.1912.067.929.39NA8.264/29/11
JHRTX Multimanager 2055 Lifetime45 11.98 0.05 2.1312.047.90NANA7.953/26/14
JMENX Multimanager 2060 Lifetime 12.69 0.06 2.1712.05NANANA14.193/30/16
JTAIX Multimanager Lifestyle Aggress46 16.92 0.07 2.7313.187.839.205.236.0510/15/05
JTBIX Multimanager Lifestyle Balance46 15.30 0.04 0.887.585.476.254.905.3910/15/05
JTOIX Multimanager Lifestyle Conserv46 12.82 0.02 -1.321.812.742.833.894.1010/15/05
JTGIX Multimanager Lifestyle Growth46 16.35 0.06 1.7410.336.647.865.305.8510/15/05
JTMIX Multimanager Lifestyle Moderat46 13.68 0.03 -0.414.434.114.504.564.7910/15/05
1 Inception dates for Class R1, Class R2, Class R3, Class R4, Class R5, and Class R6 shares are 9/8/08, 3/1/12, 9/8/08, 9/8/08, 9/8/08, and 9/1/11, respectively. Returns prior to these dates are those of Class A shares (inception 10/5/92) and have not been adjusted for expenses; otherwise, returns would vary.
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 Inception dates for Class R1, Class R2, Class R3, Class R4, Class R5, and Class R6 shares are 8/6/03, 3/1/12, 5/22/09, 5/22/09, 5/22/09, and 9/1/11, respectively. Returns prior to these dates are those of Class A shares (inception 6/24/96) and have not been adjusted for expenses; otherwise, returns would vary.
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 The inception date for Class C shares is 6/27/14 and 3/27/15 for R share classes. Returns prior to these dates are those of Class A shares (inception 6/1/11) and have not been adjusted for expenses; otherwise, returns would vary.
7 Inception dates for Class R1, Class R2, Class R3, Class R4, Class R5, and Class R6 shares are 5/22/09, 3/1/12, 5/22/09, 5/22/09, 5/22/09 and 9/1/11, respectively. Returns prior to these dates are those of Class A shares (inception 9/30/84) and have not been adjusted for expenses; otherwise, returns would vary.
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 GW&K Investment Management 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. Effective 12/14/17, Invesco was removed as one of the subadvisors on this fund.
9 Class A and Class I shares were first offered on 12/20/13. Class R6 shares were first offered on 8/30/17. Class A shares ceased operations between 3/10/16 and 8/30/17. Returns for Class A shares during that time are those of Class I shares but reflect Class A share sales charges. Returns for Class R6 shares prior to 8/30/17 are those of Class A shares and have not been adjusted for expenses; otherwise, returns would vary.
10 Class A, Class C, Class I, and Class R6 shares were first offered on 3/27/18. Returns prior to this date are those of Class NAV shares, which commenced operations on 10/31/05.
11 The inception date for Class A, Class I, and Class R6 shares is 12/30/13. Returns prior to this date are those of Class NAV shares (inception 12/16/08) and have not been adjusted for expenses; otherwise, returns would vary.
12 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.
13 Inception dates for Class R2 and Class R6 shares are 3/1/12 and 9/1/11, respectively. Returns prior to these dates are those of Class A shares (inception 9/29/95) and have not been adjusted for expenses; otherwise, returns would vary.
14 The inception date for Class A and Class I shares is 10/31/11. Inception dates for Class C and Class R6 shares are 9/28/14 and 11/8/16, respectively. Returns prior to these dates are those of Class NAV shares (inception 10/29/05) and have not been adjusted for expenses; otherwise, returns would vary.
15 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.
16 Inception dates for Class A and Class I, Class C, and Class R6 shares are 3/31/11, 6/27/14, and 9/1/11, respectively. Returns prior to these dates are those of Class NAV shares (inception 5/1/07) and have not been adjusted for expenses; otherwise, returns would vary.
17 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.
18 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.
19 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.
20 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.
21 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. Effective 2/23/18, the fund is closed to new investors.
22 Inception dates for Class A and Class I, Class C, and Class R6 shares are 6/27/13, 6/27/14, and 8/30/17, respectively. Returns prior to these dates are those of Class NAV shares (inception 4/28/06) and have not been adjusted for expenses; otherwise, returns would vary.
23 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.
24 Inception dates for Class B, C, I, R2, R4 and R6 shares are 11/23/93; 10/1/98; 9/4/01; 3/1/12; 3/27/15 and 9/1/11, respectively. Returns prior to the commencement date of these share classes are those of the fund’s Class A shares (inception 11/9/73) and have not been adjusted for expenses; otherwise, returns would vary.
25 Class I and Class R6 shares were first offered on 2/13/17 and 8/30/17, respectively. Returns prior to this date are those of Class A shares except they do not include sales charges.
26 The inception date for Class C shares is 8/28/14 and 3/27/15 for R share classes. Returns prior to these dates are those of Class A shares (inception 1/4/10) and have not been adjusted for expenses; otherwise, returns would vary.
27 The inception date for Class R6 shares is 9/1/11. Returns prior to this date are those of Class C shares (inception 1/2/08) and have not been adjusted for expenses; otherwise, returns would vary.
28 Class I and Class R6 shares were first offered on 9/9/16 and 8/30/17, respectively. Returns prior to this date are those of Class A shares except they do not include sales charges.
29 Inception dates for Class B, C, I, and R6 shares are 10/26/87; 5/1/98; 8/28/07; and 10/31/16 respectively. Returns prior to the commencement date of these share classes are those of the fund’s Class A shares (inception 6/30/93) and have not been adjusted for expenses; otherwise, returns would vary.
30 Inception dates for Class B, C, I, R1, R2, R3, R4, R5 and R6 shares are 10/4/93; 5/1/98; 9/4/01; 8/5/03; 3/1/12; 5/21/09; 5/29/01; 5/29/01 and 9/1/11, respectively. Returns prior to the commencement date of these share classes are those of the fund’s Class A shares (inception 8/18/86) and have not been adjusted for expenses; otherwise, returns would vary.
31 Inception dates for Class C, I, R2, R4 and R6 shares are 4/1/99; 7/28/03; 3/27/15; 3/27/15; and 3/27/15, respectively. Returns prior to the commencement date of these share classes are those of the fund’s Class A shares (inception 12/31/91) and have not been adjusted for expenses; otherwise, returns would vary.
32 The inception date for Class C shares is 6/27/14 and 3/27/15 for R share classes. Returns prior to these dates are those of Class A shares (inception 11/2/09) and have not been adjusted for expenses; otherwise, returns would vary.
33 The inception date for Class A, Class C, and Class I shares is 1/4/10. Inception dates for Class R2 and Class R6 shares is 3/1/12 and 9/1/11, respectively. Returns prior to these dates are those of Class NAV shares (inception 4/28/06) and have not been adjusted for expenses; otherwise, returns would vary.
34 Inception dates for Class C, Class R2, Class R4, and Class R6 shares are 8/28/14, 3/27/15, 3/27/15, and 11/1/11, respectively. Returns prior to these dates are those of Class A shares (inception 8/2/10) and have not been adjusted for expenses; otherwise, returns would vary.
35 Inception dates for Class C, Class I, Class R2, Class R4, and Class R6 shares are 6/14/11, 12/31/10, 3/1/12, 6/27/13, and 9/1/11, respectively. Returns prior to these dates are those of Class A shares (inception 1/2/09) and have not been adjusted for expenses; otherwise, returns would vary.
36 Inception date for Class I shares is 9/9/16. Returns prior to this date are those of Class A shares (inception 3/14/96) and have not been adjusted for expenses; otherwise, returns would vary.
37 The inception date for Class C shares is 8/1/12 and 3/1/12 for R share classes. Returns prior to these dates are those of Class A shares (inception 12/19/11) and have not been adjusted for expenses; otherwise, returns would vary.
38 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.
39 The inception date for Class A and Class I shares is 1/4/10. Returns prior to this date are those of Class 1 shares (inception 10/15/05) and have not been adjusted for expenses; otherwise, returns would vary.
40 The inception date for Class A, Class I, and Class R6 shares is 12/30/13 and 6/27/14 for Class C shares. Returns prior to these dates are those of Class NAV shares (inception 9/29/11) and have not been adjusted for expenses; otherwise, returns would vary.
41 Class A shares were first offered on 1/3/1992. Class I and Class R6 shares were first offered on 9/9/2016 and 8/30/2017, respectively. Returns prior to these dates are those of Class A shares that do not include sales charges.
42 The inception date for Class C shares is 8/28/14 and 2/13/17 for Class R6 shares. Returns prior to these dates are those of Class A shares (inception 8/3/09) and have not been adjusted for expenses; otherwise, returns would vary.
43 Inception dates for Class I, Class R2, and Class R6 shares are 3/27/15, 3/1/12, and 9/1/11, respectively. Returns prior to these dates are those of Class R1 shares (inception 10/30/06) and have not been adjusted for expenses; otherwise, returns would vary.
44 Inception dates for Class A and Class I shares are 3/1/12 and 3/27/15, respectively. Returns prior to these dates are those of Class 1 shares (inception 4/29/11) and have not been adjusted for expenses; otherwise, returns would vary.
45 The inception date for Class I shares is 3/27/15. Returns prior to this date are those of Class A shares (inception 3/26/14) and have not been adjusted for expenses; otherwise, returns would vary.
46 Inception dates for Class I, Class R2, and Class R6 shares are 5/1/15, 3/1/12, and 9/1/11, respectively. Returns prior to these dates are those of Class C shares (inception 10/17/05) and have not been adjusted for expenses; otherwise, returns would vary.
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