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Fund Intelligence | Best Managers | JLJFX Insights | JLJFX Score | JLJFX Performance | JLJFX Manager | JLJFX News | JLJFX Allocation | JLJFX Holdings Change
Fund Intelligence | Best Managers | JLJFX Insights | JLJFX Score | JLJFX Performance | JLJFX Manager | JLJFX News | JLJFX Allocation | JLJFX Holdings Change
Mutual Fund Insights: JHancock2 Lifecycle 2045 R3 Fund (JLJFX)
In-depth Analysis of JHancock2 Lifecycle 2045 R3 Fund (JLJFX)
6 months 1 year 3 year 5 year |
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Last Trade: $8.84 on 3/18/2010, Change: -0.03 (-0.34%)
Fund Manager - Bob Boyda
Fund Manager Tenure: 0.2 years [Similar Funds: JLJAX JLJDX JLJGX JLJHX JLJOX ]Fundmojo Fund Grade: N/A (Score: *manager is new*) (What does this score mean?)
What we like about JHancock2 Lifecycle 2045 R3 Fund (JLJFX)
Data for JHancock2 Lifecycle 2045 R3 Fund (JLJFX) as of January 31, 2010
- JHancock2 Lifecycle 2045 R3 Fund (JLJFX) has good short-term performance (1-year return 40.97% vs 36.78% Target Date 2041-2045 category average)
- JHancock2 Lifecycle 2045 R3 Fund (JLJFX) has good mid-term performance (3-year return -5.94% vs -6.89% Target Date 2041-2045 category average)
- JHancock2 Lifecycle 2045 R3 Fund (JLJFX) has an annual stock turnover rate of 22.00% vs Target Date 2041-2045 average of 32.63%. It is good that JHancock2 Lifecycle 2045 R3 management does not trade extensively for its return.
What we are cautious about JHancock2 Lifecycle 2045 R3 Fund (JLJFX)
Data for JHancock2 Lifecycle 2045 R3 Fund (JLJFX) as of January 31, 2010
- JHancock2 Lifecycle 2045 R3 Fund (JLJFX) management has been with JHancock2 Lifecycle 2045 R3 Fund for only 0.2 years, it is hard to judge manager's ability based on this fund's operation record
- JHancock2 Lifecycle 2045 R3 Fund is a focused fund with 65.42% 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 2045 R3 Fund (JLJFX) ratio of up-years vs down years can be improved
- JHancock2 Lifecycle 2045 R3 Fund (JLJFX) has a Morningstar rating of 3 and below
- JHancock2 Lifecycle 2045 R3 Fund (JLJFX) is more volatile than its peers as it has a 3-year Standard Deviation of 22.25 that is higher than category average of 21.04
- JHancock2 Lifecycle 2045 R3 Fund (JLJFX) has a higher management fee of 1.35% than its Target Date 2041-2045 average of 0.57%
- Even though JHancock2 Lifecycle 2045 R3 Fund carries no load, it does have a 0.50% of 12b1 promotion, distributions, marketing expenses
Interested in other top mutual funds in similar Target Date 2041-2045 category?
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JHancock2 Lifecycle 2045 R3 Fund (JLJFX) Net Asset
Track net asset change of JHancock2 Lifecycle 2045 R3 fund (JLJFX)
| Date | Net Asset |
| 01/2010 | $380.00K |
| 11/2009 | $340.00K |
| 10/2009 | $270.00K |
JHancock2 Lifecycle 2045 R3 Fund (JLJFX) Portfolio Allocation
Track portfolio allocation change of JHancock2 Lifecycle 2045 R3 fund (JLJFX)
| Date | Cash | Stock | Bond | Other |
| 11/2009 | 3.14% | 91.65% | 3.94% | 1.26% |
| 09/2009 | 3.08% | 91.84% | 4.42% | 0.66% |
| 08/2009 | 2.65% | 91.78% | 4.96% | 0.61% |
Most Recent Top 10 Holdings in JHancock2 Lifecycle 2045 R3 Fund (JLJFX)
Discover what JHancock2 Lifecycle 2045 R3 Fund (JLJFX) manager is buying
JHFunds2 Intl Equity Index NAV [10.09%] JHFunds2 Emerging Markets Value NAV [6.34%] JHFunds2 Blue Chip Growth NAV [4.72%] JHFunds2 Capital App NAV [4.46%] JHFunds2 Mid Cap Index NAV [4.03%] JHFunds2 Fundamental Value NAV [3.47%] JHFunds2 Mid Cap Stock NAV [3.02%] JHFunds2 Alpha Opportunities NAV [2.98%] JHFunds2 Val & Restructuring NAV [2.96%] | JHFunds2 Intl Equity Index NAV [10.21%] JHFunds2 Emerging Markets Value NAV [6.31%] JHFunds2 Blue Chip Growth NAV [4.74%] JHFunds2 Capital App NAV [4.49%] JHFunds2 Mid Cap Index NAV [3.98%] JHFunds2 Large Cap Value NAV [3.48%] JHFunds2 Val & Restructuring NAV [3.48%] JHFunds2 Fundamental Value NAV [3.48%] JHFunds2 Mid Cap Stock NAV [3%] | JHFunds2 Intl Equity Index NAV [10.12%] JHFunds2 Emerging Markets Value NAV [6.21%] JHFunds2 Blue Chip Growth NAV [4.68%] JHFunds2 Capital App NAV [4.43%] JHFunds2 Mid Cap Index NAV [3.94%] JHFunds2 Fundamental Value NAV [3.45%] JHFunds2 Val & Restructuring NAV [3.45%] JHFunds2 Large Cap Value NAV [3.45%] JHFunds2 Mid Cap Stock NAV [2.96%] |
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See more information on JHancock2 Lifecycle 2045 R3 Fund (JLJFX)
- JHancock2 Lifecycle 2045 R3 Fund Insights
- JHancock2 Lifecycle 2045 R3 Fund Performance Data
- JHancock2 Lifecycle 2045 R3 Fund News
- JHancock2 Lifecycle 2045 R3 Fund Score Explaination
- JHancock2 Lifecycle 2045 R3 Fund Manager Information
- Historic JHancock2 Lifecycle 2045 R3 Fund Asset Allocation Report
- Historic JHancock2 Lifecycle 2045 R3 Fund Top 10 Holding Tracking
- Historic JHancock2 Lifecycle 2045 R3 Fund Asset Under Management Tracking


