John Hancock Funds II Multimanager Lifestyle Conservative Portfolio Class 1 (JILCX)
NASDAQ · Mutual Fund
· Delayed Price · Currency is USD
12.07
0.00 (0.00%)
Jul 3, 2025, 4:00 PM EDT
4.05% (1Y)
Fund Assets | 2.51B |
Expense Ratio | 0.86% |
Min. Investment | $0.00 |
Turnover | n/a |
Dividend (ttm) | 0.49 |
Dividend Yield | 4.06% |
Dividend Growth | 4.57% |
Payout Frequency | Quarterly |
Ex-Dividend Date | Jun 30, 2025 |
Previous Close | 12.07 |
YTD Return | 4.82% |
1-Year Return | 8.41% |
5-Year Return | 20.17% |
52-Week Low | 11.34 |
52-Week High | 12.20 |
Beta (5Y) | n/a |
Holdings | 28 |
Inception Date | Oct 15, 2005 |
About JILCX
JILCX was founded on 2005-10-15. The Fund's investment strategy focuses on Income with 0.22% total expense ratio. John Hancock Funds II: Multimanager Lifestyle Conservative Portfolio; Class 1 Shares seeks a high level of current income and growth of capital, with a greater emphasis on income. JILCX normally invests approximately 20% of its assets in underlying funds which invest primarily in equity securities and approximately 80% in underlying funds which invest primarily in fixed-income securities.
Fund Family John Hancock Class 1
Category Mix Tgt Alloc Con
Stock Exchange NASDAQ
Ticker Symbol JILCX
Share Class Class 1
Index Index is not available on Lipper Database
Performance
JILCX had a total return of 8.41% in the past year, including dividends. Since the fund's inception, the average annual return has been 4.53%.
Equivalent Funds
These are funds that follow the same index from the other major fund companies.
Top 10 Holdings
77.98% of assetsName | Symbol | Weight |
---|---|---|
JHancock Bond NAV | n/a | 17.96% |
JHFunds2 Core Bond NAV | JHCDX | 15.25% |
JHancock Strategic Income Opps NAV | JHSEX | 8.56% |
JHancock Short Duration Bond NAV | n/a | 8.27% |
JHancock Emerging Markets Debt NAV | n/a | 6.48% |
JHancock Floating Rate Income NAV | JFIDX | 5.98% |
JHancock High Yield NAV | n/a | 5.07% |
United States Treasury Notes 2.125% | TII.2.125 04.15.29 | 3.94% |
JHancock U.S. Sector Rotation NAV | n/a | 3.65% |
United States Treasury Notes 1.25% | TII.1.25 04.15.28 | 2.83% |
Dividend History
Ex-Dividend | Amount | Pay Date |
---|---|---|
Jun 30, 2025 | $0.11627 | Jul 1, 2025 |
Mar 31, 2025 | $0.09564 | Apr 1, 2025 |
Dec 30, 2024 | $0.16596 | Dec 31, 2024 |
Sep 30, 2024 | $0.1122 | Oct 1, 2024 |
Jun 28, 2024 | $0.12485 | Jul 1, 2024 |
Mar 28, 2024 | $0.08582 | Apr 1, 2024 |