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Mutual Fund Insights: JHancock2 Lifecycle 2015 A Fund (JLBAX)

In-depth Analysis of JHancock2 Lifecycle 2015 A Fund (JLBAX)

Mutual fund chart: JHancock2 Lifecycle 2015 A Fund (JLBAX)

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See JHancock2 Lifecycle 2015 A Fund (JLBAX) performance details as of January 31, 2010

  

    Last Trade: $8.97 on 3/19/2010, Change: -0.05 (-0.55%)

  

Fund ManagerFund Manager - Bob Boyda

Fund Manager Tenure: 0.2 years   [Similar Funds: JLBDX  JLBFX  JLBGX  JLBHX  JLBOX ]
Fundmojo Fund Grade: N/A (Score: *manager is new*)     (What does this score mean?)

  

What we like about JHancock2 Lifecycle 2015 A Fund (JLBAX) What we like about JHancock2 Lifecycle 2015 A Fund (JLBAX)

Data for JHancock2 Lifecycle 2015 A Fund (JLBAX) as of January 31, 2010

  • JHancock2 Lifecycle 2015 A Fund (JLBAX) has good short-term performance (1-year return 37.04% vs 27.60% Target Date 2011-2015 category average)
  • JHancock2 Lifecycle 2015 A Fund (JLBAX) has good mid-term performance (3-year return -3.01% vs -3.32% Target Date 2011-2015 category average)
  • JHancock2 Lifecycle 2015 A Fund (JLBAX) has an annual stock turnover rate of 28.00% vs Target Date 2011-2015 average of 37.13%. It is good that JHancock2 Lifecycle 2015 A management does not trade extensively for its return.

  

What we are cautious about JHancock2 Lifecycle 2015 A Fund (JLBAX) What we are cautious about JHancock2 Lifecycle 2015 A Fund (JLBAX)

Data for JHancock2 Lifecycle 2015 A Fund (JLBAX) as of January 31, 2010

  • JHancock2 Lifecycle 2015 A Fund (JLBAX) management has been with JHancock2 Lifecycle 2015 A Fund for only 0.2 years, it is hard to judge manager's ability based on this fund's operation record
  • JHancock2 Lifecycle 2015 A Fund is a focused fund with 60.82% of the portfolio on top 10 securities. This tends to produce more volatility compared to a diversified fund. See fund top 10 holdings.
  • JHancock2 Lifecycle 2015 A Fund (JLBAX) ratio of up-years vs down years can be improved
  • JHancock2 Lifecycle 2015 A Fund (JLBAX) has a Morningstar rating of 3 and below
  • JHancock2 Lifecycle 2015 A Fund (JLBAX) is more volatile than its peers as it has a 3-year Standard Deviation of 18.01 that is higher than category average of 15.14
  • JHancock2 Lifecycle 2015 A Fund (JLBAX) has a higher management fee of 1.26% than its Target Date 2011-2015 average of 0.62%
  • JHancock2 Lifecycle 2015 A Fund (JLBAX) carries a 5% load
See JHancock2 Lifecycle 2015 A Fund (JLBAX) performance details as of January 31, 2010

  

  

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Below are some additional Target Date 2011-2015 mutual funds generated out of our database

  

JHancock2 Lifecycle 2015 A Fund (JLBAX) Net Asset

Track net asset change of JHancock2 Lifecycle 2015 A fund (JLBAX)

DateNet Asset
01/2010$11.34M
11/2009$10.38M
10/2009$9.15M
More historic net asset information on JHancock2 Lifecycle 2015 A Fund (JLBAX)

  

JHancock2 Lifecycle 2015 A Fund (JLBAX) Portfolio Allocation

Track portfolio allocation change of JHancock2 Lifecycle 2015 A fund (JLBAX)

DateCashStockBondOther
11/20096.05%60.1%32.13%1.73%
09/20095.51%63.91%28.72%1.87%
08/20094.91%64.21%29.17%1.71%
Click here to see more historic asset allocation information on JHancock2 Lifecycle 2015 A Fund (JLBAX)

  

Most Recent Top 10 Holdings in JHancock2 Lifecycle 2015 A Fund (JLBAX)

Discover what JHancock2 Lifecycle 2015 A Fund (JLBAX) manager is buying

30-Nov-09
JHFunds2 Index 500 NAV [22.38%]
JHFunds2 Total Bond Market NAV [7.79%]
JHFunds2 Intl Equity Index NAV [4.71%]
JHFunds2 High Yield NAV [4.52%]
JHFunds2 Real Return Bond NAV [4.51%]
JHFunds2 Emerging Markets Value NAV [3.63%]
JHancock2 Floating Rate Income NAV [3.49%]
JHFunds2 Blue Chip Growth NAV [3.45%]
JHFunds2 Capital App NAV [3.44%]
JHFunds2 Spectrum Income NAV [2.9%]

30-Sep-09
JHFunds2 Index 500 NAV [23.49%]
JHFunds2 Total Bond Market NAV [6.14%]
JHFunds2 Intl Equity Index NAV [5.01%]
JHFunds2 Real Return Bond NAV [4.61%]
JHFunds2 High Yield NAV [4.19%]
JHFunds2 Emerging Markets Value NAV [3.91%]
JHancock2 Floating Rate Income NAV [3.87%]
JHFunds2 Blue Chip Growth NAV [3.62%]
JHFunds2 Capital App NAV [3.62%]
JHFunds2 Fundamental Value NAV [2.99%]

31-Aug-09
JHFunds2 Index 500 NAV [23.34%]
JHFunds2 Total Bond Market NAV [6.11%]
JHFunds2 Intl Equity Index NAV [4.95%]
JHFunds2 Real Return Bond NAV [4.54%]
JHFunds2 High Yield NAV [4.15%]
JHancock2 Floating Rate Income NAV [3.9%]
JHFunds2 Emerging Markets Value NAV [3.82%]
JHFunds2 Capital App NAV [3.57%]
JHFunds2 Blue Chip Growth NAV [3.57%]
JHFunds2 Alpha Opportunities NAV [2.95%]
Click here for Stock Holding Change Map in JHancock2 Lifecycle 2015 A Fund (JLBAX)

  

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