MCLC (Canada) - Manulife Multifactor Canadian Large Cap Index ETF has been performing well over the last 12 months making 70 new higher highs and is now up around 21.69%. If you had invested $1,000 into it 12 months ago, you would now have around a $216.89 profit. A nice return on your investment. If however you had managed to pick the lowest price over the last 12 months you would be up 23.78% or around $237.76 profit in your pocket.
Performance
# of Higher Highs
% Price Change
This provides key insights into an ETF’s structure and performance, including financial costs, dividend details, and portfolio composition. Investors can assess metrics like turnover, asset size, holdings count, and charges to make informed decisions. Additional information includes the ETF’s inception date, domicile, and official links for further details.
Annual Holdings Turnover
0.25700
Average Market Cap (Million)
53807.69862
Company Name
Manulife Investments
Company URL
http://www.manulifemutualfunds.ca
Date of Ongoing Charge
0000-00-00
Dividend Paying Frequency
Half-yearly
Index_Name
Morningstar Canada GR CAD
Max Annual Management Charge
0.00
39.46323
19.69543
39.46323
0
Ratio
Category Benchmark
Sustainability Ratio
Morningstar Canada GR CAD
2
Name
Fund
Relative to category
Name
Long_%
Short_%
Net_Assets_%
Name
Equity_%
Relative to Category
Real Estate
0.98638
2.40235
Consumer Defensive
4.38463
5.50669
Consumer Cyclicals
5.3004
6.52731
Communication Services
1.38504
2.89614
Basic Materials
11.29209
9.02683
Technology
8.12655
10.06967
Industrials
12.4062
14.9177
Financial Services
34.28323
30.94178
Company
Code
Exchange
Name
Sector
Industry
Country
Region
Assets
NA.TO
NA
TO
National Bank of Canada
Financial Services
Banks - Diversified
Canada
North America
3.536
ENB.TO
ENB
TO
Enbridge Inc
Energy
Oil & Gas Midstream
Canada
North America
3.424
BN.TO
BN
TO
Brookfield Corporation
Financial Services
Asset Management
Canada
North America
3.162
TD.US
TD
US
Toronto Dominion Bank
Financial Services
Banks - Diversified
United States
North America
3.615
CNQ.TO
CNQ
TO
Canadian Natural Resources Ltd
Energy
Oil & Gas E&P
Canada
North America
2.951
SLF.TO
SLF
TO
Sun Life Financial Inc.
Financial Services
Insurance - Diversified
Canada
North America
2.853
BMO.TO
BMO
TO
Bank of Montreal
Financial Services
Banks - Diversified
Canada
North America
2.674
RY.US
RY
US
Royal Bank of Canada
Financial Services
Banks - Diversified
United States
North America
4.359
SHOP.TO
SHOP
TO
Shopify Inc
Technology
Software - Application
Canada
North America
2.880
SU.TO
SU
TO
Suncor Energy Inc
Energy
Oil & Gas Integrated
Canada
North America
3.760
Company
Code
Exchange
Name
Sector
Industry
Country
Region
Assets
RY.US
RY
US
Royal Bank of Canada
Financial Services
Banks - Diversified
United States
North America
4.359
CNQ.TO
CNQ
TO
Canadian Natural Resources Ltd
Energy
Oil & Gas E&P
Canada
North America
2.951
SU.TO
SU
TO
Suncor Energy Inc
Energy
Oil & Gas Integrated
Canada
North America
3.760
ENB.TO
ENB
TO
Enbridge Inc
Energy
Oil & Gas Midstream
Canada
North America
3.424
NA.TO
NA
TO
National Bank of Canada
Financial Services
Banks - Diversified
Canada
North America
3.536
TD.US
TD
US
Toronto Dominion Bank
Financial Services
Banks - Diversified
United States
North America
3.615
SHOP.TO
SHOP
TO
Shopify Inc
Technology
Software - Application
Canada
North America
2.880
SLF.TO
SLF
TO
Sun Life Financial Inc.
Financial Services
Insurance - Diversified
Canada
North America
2.853
BMO.TO
BMO
TO
Bank of Montreal
Financial Services
Banks - Diversified
Canada
North America
2.674
BN.TO
BN
TO
Brookfield Corporation
Financial Services
Asset Management
Canada
North America
3.162
Region
Equity %
Relative to Category
1Y Volatility
3Y Volatility
3Y ExpReturn
3Y SharpRatio
Returns YTD
Returns 1Y
Returns 3Y
Returns 5Y
Returns 10Y
8.94
11.93
13.18
0.75
22.71
11.59
0.75
11.46
0.00
Technical indicators help investors analyze stock price trends and volatility. The 200 and 50-day moving averages show the average stock price over longer and shorter periods, highlighting potential support and resistance levels. The 52-week high and low indicate the stock's price range over the past year, providing a sense of its volatility. Beta measures the stock's sensitivity to market movements, with values below 1 indicating less volatility than the market.
200-day moving average
39.228
50-day moving average
42.172