John Hancock Funds Retirement Choices at 2010 Portfolio

Scorecard
1 / 5 Stars
Lipper
1 1 5 3 5
Zacks Investment Research
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Standard & Poor's
2 / 5 Stars
TheStreet.com
C (Hold)

Risk

Volatility Measurements

Updated 06.30.2014

Standard Deviation 2.16
Mean 0.34
Sharpe Ratio 1.86
Bear Market Decile Rank 1

Modern Portfolio Theory Statistics

Updated 06.30.2014

Standard Index
Morningstar Moderate Target Risk
Best Fit Index
Morningstar Lifetime Moderate Income
R-Squared 12.45 27.78
Beta 0.09 0.22
Alpha 3.17 2.58