John Hancock Funds Retirement Living through 2010 Portfolio

Scorecard
3 / 5 Stars
Lipper
5 5 4 1 1
Zacks Investment Research
4 (Sell)
Standard & Poor's
3 / 5 Stars
TheStreet.com
D+ (Sell)

Fund Holdings

Asset Allocation

% Long % Short % Net
Cash 9.27 2.51 6.76
Stocks 27.99 0.0 27.99
Bonds 29.51 0.08 29.43
Other 2.37 0.26 2.11
Foreign Bonds 25.26 6.6 18.66
Foreign Stocks 14.76 0.59 14.17
Convertible 0.24 0.0 0.24
Preferred 0.66 0.0 0.66

Updated 12.31.2013

Top 10 Holdings

Performance as of 02.28.2014

Portfolio as of 12.31.2013

% Net Assets
JHFunds2 Strategic Equity Allc NAV 18.36
JHFunds2 Total Return NAV 9.02
JHFunds2 Active Bond NAV 9.0
JHancock Floating Rate Income NAV 8.32
JHancock Strategic Income Opps NAV 4.39
JHFunds2 Capital Appreciation Value NAV 3.84
JHancock Short Duration Credit Opps NAV 3.83
JHFunds2 Spectrum Income NAV 3.65
JHFunds2 US High Yield Bd NAV 2.72
JHFunds2 High Yield NAV 2.7

Bond Ratings (%)

Updated 12.31.2013

Sector JLAAX
AAA 31.96
AA 4.41
A 5.4
BBB 13.67
BB 16.6
B 19.55
Below B 5.96
Other 2.45