Mutual Funds

The performance data shown represents past performance, which is not a guarantee of future results. Investment returns and principal value will fluctuate, so that investors' shares, when sold, may be worth more or less than their original cost. See performance data current to the most recent month-end, which may be higher or lower than that cited.

Performance figures assume that all distributions are reinvested. POP (Public offering Price) figures reflect maximum sales charge in class A shares of 5% for equity funds and 4.5% for fixed income funds with the exception of the Floating Rate Income fund and the Currency Strategies fund, which have a maximum sales charge of 3%. Performance quoted without sales charges would be reduced if the sales charges were applied. Performance for other share classes will vary. For money market funds, the yield quoted more closely reflect the current earnings of the fund than the total return performance shown. Sales charges do not apply to money market funds and as a result, those funds do not quote POP performance figures.

Domestic Equity Funds

 Prices & YTD Returns
Avg Annual Total Returns (%):MonthlyQuarterly
 NAV as of 9/1/10NAV as of 7/31/10POP as of 7/31/10 
Symbol Fund NamePrice ($) Chg YTD (%)1YR3YR5YR10YRSince Inception1YR3YR5YR10YRSince InceptionInception Date
SVBAX Balanced1 14.10 0.22 0.949.581.316.764.07NA4.09-0.415.663.54NA10/5/92
PZFVX Classic Value2 14.13 0.43 -1.8116.26-13.66-5.035.50NA10.43-15.12-6.004.96NA6/24/96
JMEAX Classic Value Mega Cap3 5.89 0.18 -4.2314.96-12.86NANA-11.749.27-14.34NANA-13.073/1/07
JVLAX Disciplined Value4 11.28 0.34 -2.5112.70-5.421.644.94NA7.06-7.020.604.40NA1/16/97
JVMAX Disciplined Value Mid Cap5 8.95 0.29 0.1319.13-1.663.697.91NA13.23-3.312.637.36NA6/2/97
GMSGX Growth Opportunities6 17.34 0.63 4.7720.82-9.42NANA-3.7714.80-10.96NANA-4.789/16/05
TAGRX Large Cap Equity7 22.52 0.62 -2.2110.80-1.547.891.65NA5.24-3.216.791.13NA10/4/49
JCEAX Mid Cap Equity8 11.55 0.37 -3.1013.94-5.870.44NA5.908.24-7.46-0.58NA5.128/4/03
RGROX Rainier Growth9 16.94 0.56 -3.4210.95-7.880.08-3.91NA5.42-9.43-0.94-4.40NA6/15/00
SPVAX Small Cap Equity10 18.02 0.61 -3.4314.66-7.22-2.04-1.47NA8.95-8.79-3.04-1.98NA1/3/94
JHIAX Small Cap Intrinsic Value8 10.34 0.31 6.1627.53-8.793.05NA4.4621.16-10.342.00NA3.472/28/05
JCSAX Small Company11 16.44 0.60 0.3119.65-3.311.666.29NA13.67-4.950.635.74NA7/31/91
SOVIX Sovereign Investors 13.83 0.38 -6.067.80-5.140.780.92NA2.42-6.74-0.250.40NA5/1/36
GOCGX U.S. Core12 16.46 0.41 -5.787.88-7.55NANA-2.562.46-9.12NANA-3.756/12/06
USGLX U.S. Global Leaders Growth13 24.52 0.73 -7.999.71-2.57-1.520.34NA4.21-4.23-2.53-0.17NA9/29/95
GOUGX Value Opportunities3 14.58 0.56 2.1019.49-8.75NANA-4.7913.55-10.30NANA-5.966/12/06

Specialty Funds

 Prices & YTD Returns
Avg Annual Total Returns (%):MonthlyQuarterly
 NAV as of 9/1/10NAV as of 7/31/10POP as of 7/31/10 
Symbol Fund NamePrice ($) Chg YTD (%)1YR3YR5YR10YRSince Inception1YR3YR5YR10YRSince InceptionInception Date
JCUAX Currency Strategies 9.92 0.10 NANANANANANANANANANANA7/31/10
FIDAX Financial Industries14 9.28 0.37 -3.9310.79-13.25-4.21-1.11NA5.29-14.73-5.19-1.61NA3/14/96
JNRAX Natural Resources15 19.05 0.71 -7.979.94-6.08NANA5.544.45-7.67NANA4.4210/15/05
FRBAX Regional Bank16 13.62 0.52 -1.1615.18-8.76-4.494.26NA9.44-10.31-5.463.73NA1/3/92
JTCAX Technical Opportunities17 9.73 0.18 -10.16-1.40NANANA-1.40-6.36NANANA-6.367/31/09

International/Global Funds and Portfolios

 Prices & YTD Returns
Avg Annual Total Returns (%):MonthlyQuarterly
 NAV as of 9/1/10NAV as of 7/31/10POP as of 7/31/10 
Symbol Fund NamePrice ($) Chg YTD (%)1YR3YR5YR10YRSince Inception1YR3YR5YR10YRSince InceptionInception Date
JGPAX Global Opportunities8 16.46 0.39 12.1333.335.6113.56NA14.1526.663.8212.40NA13.082/28/05
JGYAX Global Shareholder Yield14 8.30 0.20 0.6813.14-4.14NANA-2.427.44-5.75NANA-3.893/1/07
JCOAX Greater China Opportunities17 17.99 0.27 -4.006.93-5.8913.68NA14.501.58-7.4912.52NA13.366/8/05
JAIAX International Allocation3 6.98 0.22 -2.388.32-9.30NANA-5.842.92-10.84NANA-7.1812/29/06
GIDEX International Core18 25.79 0.91 -4.482.71-11.52NANA-0.27-2.44-13.02NANA-1.319/16/05
GOIGX International Growth3 17.72 0.59 -2.057.32-8.64NANA-0.071.93-10.19NANA-1.306/12/06

Income Funds

 Prices & YTD Returns
Avg Annual Total Returns (%):MonthlyQuarterly
 NAV as of 9/1/10NAV as of 7/31/10POP as of 7/31/10 
Symbol Fund NamePrice ($) Chg YTD (%)1YR3YR5YR10YRSince Inception1YR3YR5YR10YRSince InceptionInception Date
JHNBX Bond19 15.48 0.04 10.2519.378.556.316.60NA13.976.895.346.11NA11/9/73
JFIAX Floating Rate Income 9.44 0.01 3.8010.35NANANA3.897.04NANANA2.6712/31/07
JHGIX Government Income17 9.69 0.02 6.508.047.075.335.53NA3.235.424.375.05NA9/30/94
JHHBX High Yield20 3.57 0.02 10.3248.98-2.083.495.71NA42.16-3.572.565.23NA6/30/93
TAUSX Investment Grade Bond21 10.32 0.04 9.2015.067.735.806.15NA9.896.104.835.66NA12/31/91
JHFIX Strategic Income22 6.47 0.04 8.1717.918.636.817.10NA12.596.955.836.61NA8/18/86
JIPAX Strategic Income Opportunities23 10.62 0.09 8.4718.889.54NANA7.5913.537.87NANA6.434/28/06

Tax-Free Income Funds

 Prices & YTD Returns
Avg Annual Total Returns (%):MonthlyQuarterly
 NAV as of 9/1/10NAV as of 7/31/10POP as of 7/31/10 
Symbol Fund NamePrice ($) Chg YTD (%)1YR3YR5YR10YRSince Inception1YR3YR5YR10YRSince InceptionInception Date
TACAX California Tax-Free Income24 10.58 0.02 8.6813.723.663.484.62NA8.602.072.534.14NA12/29/89
JHTFX High Yield Municipal Bond24 8.29 0.01 8.4914.923.483.934.96NA9.731.912.994.48NA12/31/93
JHMAX MA Tax-Free Income24 12.81 0.01 5.998.374.573.915.23NA3.482.972.964.74NA9/3/87
JHNYX New York Tax-Free Income24 12.46 0.00 6.429.764.583.824.93NA4.793.002.874.45NA9/13/87
TAMBX Tax-Free Bond24 10.18 0.01 6.309.714.473.924.70NA4.762.892.974.22NA1/5/90

Money Market Funds

 Prices & YTD Returns
Avg Annual Total Returns (%):MonthlyQuarterly
 NAV as of 9/1/10NAV as of 7/31/10POP as of 7/31/10 
Symbol Fund NamePrice ($) Chg YTD (%)1YR3YR5YR10YRSince Inception1YR3YR5YR10YRSince InceptionInception Date
JHMXX Money Market25 1.00 0.00 0.00NA1.292.392.06NANANANANANA9/13/95

Lifestyle Portfolios

 Prices & YTD Returns
Avg Annual Total Returns (%):MonthlyQuarterly
 NAV as of 9/1/10NAV as of 7/31/10POP as of 7/31/10 
Symbol Fund NamePrice ($) Chg YTD (%)1YR3YR5YR10YRSince Inception1YR3YR5YR10YRSince InceptionInception Date
JALAX Lifestyle Aggressive26 10.56 0.32 -2.4012.73-7.62NANA0.527.14-9.18NANA-0.5510/17/05
JALBX Lifestyle Balanced26 11.95 0.21 1.6714.20-1.65NANA2.948.49-3.32NANA1.8510/17/05
JALRX Lifestyle Conservative26 12.64 0.07 5.4613.284.00NANA4.827.622.24NANA3.7110/17/05
JALGX Lifestyle Growth26 11.49 0.28 -0.0913.62-4.36NANA1.787.91-5.99NANA0.7010/17/05
JALMX Lifestyle Moderate26 12.08 0.14 3.8814.401.25NANA3.878.65-0.46NANA2.7610/17/05

Lifecycle Portfolios

 Prices & YTD Returns
Avg Annual Total Returns (%):MonthlyQuarterly
 NAV as of 9/1/10NAV as of 7/31/10POP as of 7/31/10 
Symbol Fund NamePrice ($) Chg YTD (%)1YR3YR5YR10YRSince Inception1YR3YR5YR10YRSince InceptionInception Date
JLAAX Lifecycle 201026 9.11 0.13 2.3614.30-1.09NANA0.708.58-2.76NANA-0.6710/30/06
JLBAX Lifecycle 201526 8.82 0.16 1.5014.28-2.50NANA-0.088.55-4.17NANA-1.4510/30/06
JLDAX Lifecycle 202026 8.71 0.19 0.2314.47-3.82NANA-0.758.78-5.47NANA-2.1110/30/06
JLEAX Lifecycle 202526 8.49 0.21 -0.5913.95-5.15NANA-1.668.29-6.77NANA-3.0010/30/06
JLFAX Lifecycle 203026 8.36 0.23 -1.1813.70-6.00NANA-2.177.98-7.59NANA-3.5110/30/06
JLHAX Lifecycle 203526 8.38 0.24 -1.5313.77-6.19NANA-2.158.06-7.78NANA-3.4910/30/06
JLIAX Lifecycle 204026 8.36 0.24 -1.4213.66-6.17NANA-2.147.94-7.75NANA-3.4810/30/06
JLJAX Lifecycle 204526 8.35 0.24 -1.4213.80-6.22NANA-2.178.07-7.80NANA-3.5010/30/06

Retirement Income

 Prices & YTD Returns
Avg Annual Total Returns (%):MonthlyQuarterly
 NAV as of 9/1/10NAV as of 7/31/10POP as of 7/31/10 
Symbol Fund NamePrice ($) Chg YTD (%)1YR3YR5YR10YRSince Inception1YR3YR5YR10YRSince InceptionInception Date
JRDAX Retirement Distribution26 11.36 0.08 5.5114.30NANANA0.238.58NANANA-1.7412/31/07
JRRAX Retirement Rising Distribution26 11.61 0.08 4.9314.10NANANA0.428.39NANANA-1.5512/31/07
1 October 5, 1992 is the inception date for the oldest Class of shares, Class A shares. Class R1, R3, R4 and R5 shares were first offered on September 8, 2008, the returns prior to this date are those of Class A shares that have been recalculated to apply the fees and expenses of Class R1, R3, R4 and R5 shares, respectively.

For some periods, the Fund’s performance may have been influenced by investments in unusually hot industries, IPOs or other factors. Similar opportunities may or may not be available in the future.
2 On 11/8/02, the Fund acquired all of the assets of the Pzena Focused Value Fund, the Fund’s predecessor, pursuant to a reorganization. Performance prior to 11/8/02 reflects the performance of the Fund’s predecessor. Performance of the Pzena Focused Value Fund reflects stocks selected from the largest 1,000 publicly traded companies, whereas the Fund invests in stocks selected from the 500 largest such companies.

June 24, 1996 is the inception date for the oldest class of shares, Class A shares. Class R3, R4 and R5 shares were first offered on May 22, 2009, the returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R3, R4 and R5 shares, respectively.
3 Results reflect any expense reductions, which can be terminated in the future. Without these reductions, expenses increase and results would have been less favorable.
4 On December 19, 2008, through a reorganization the Fund acquired all of the assets of the Robeco Boston Partners Large Cap Value Fund (the predecessor fund). The predecessor fund offered its Investor share class in exchange for Class A shares and its Institutional share class in exchange for Class I shares, which were first offered on January 16, 1997 and January 2, 1997 respectively. The predecessor fund’s Investor share class returns have been recalculated to reflect the gross fees and expenses of Class A, B, C, and ADV shares. The predecessor fund’s Institutional share class returns have been recalculated to reflect the gross fees and expenses of Class I and I2 shares. Class A, B, C, ADV, I and I2 shares were first offered on December 22, 2008, the returns prior to this date are those of the predecessor fund's respective share classes that have been recalculated to apply the fees and gross expenses of the Fund's respective share classes. Class R3, R4 and R5 shares were first offered on May 22, 2009 and Class R1 shares were first offered on July 10, 2009, the returns prior to these dates are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R1, R3, R4 and R5 shares, respectively.
5 On 7/09/10, the Fund acquired all of the assets of the Robeco Boston Partners Mid Cap Value Fund, whose Investor Share Class was first offered on 6/2/97. The Investor Share Class performance has been recalculated to reflect the gross fees and expenses of the Fund’s Class A shares, first offered on 7/12/10.
6 On 6/12/06, the Fund acquired all of the assets of the GMO Small/Mid Cap Growth Fund Class III, the Fund’s predecessor, pursuant to a reorganization. Performance prior to 6/12/06 reflects the performance of the Fund’s predecessor. Performance results reflect any expense reductions, which can be terminated in the future. Without this, expenses increase and results would have been less favorable.
7 For some periods, the Fund’s performance may have been influenced by investments in unusually hot industries, IPOs or other factors. Similar opportunities may or may not be available in the future.

October 4, 1949 is the inception date for the oldest class of shares, Class A shares. Class R1, R3, R4 and R5 shares were first offered on May 22, 2009, the returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R1, R3, R4 and R5 shares, respectively.
8 These results reflect any applicable expense reductions, which can be terminated in the future. Without these reductions expenses increase and results would have been less favorable. For some periods, the Fund’s performance may have been influenced by investments in unusually hot industries, IPOs or other factors. Similar opportunities may or may not be available in the future.
9 On April 25, 2008, through a reorganization the John Hancock Rainier Growth Fund acquired all of the assets of the Rainier Large Cap Growth Equity Portfolio (the predecessor fund). The predecessor fund offered its Original share class, inception date June 15, 2000, in exchange for Class A shares, first offered on April 28, 2008. The predecessor fund’s Original share class returns have been recalculated to reflect the fees and expenses of Class A shares. Class B, C, I, R1, R3, R4, R5, ADV shares and Class T shares were first offered on April 28, 2008, and October 6, 2008, respectively, the returns prior to this date are those of Class A shares that have been recalculated to apply the fees and expenses of the respective Class of shares.
10 For some periods, the Fund’s performance may have been influenced by investments in unusually hot industries, IPOs or other factors. Similar opportunities may or may not be available in the future.
11 On 12/11/2009, through a reorganization, the Fund acquired all of the assets of the FMA Small Company Portfolio (the predecessor fund). The predecessor fund offered its Investor share class in exchange for Class A shares and its Institutional share class in exchange for Class I shares on 7/31/1991 and 5/1/2008 respectively. The predecessor fund’s Investor share class returns have been recalculated to reflect the gross fees and expenses of Class A and ADV shares. The predecessor fund’s Institutional share class returns have been recalculated to reflect the gross fees and expenses of Class I shares. Class A, ADV, and I shares were first offered on 12/14/2009, and the returns prior to this date are those of the predecessor fund's respective share classes that have been recalculated to apply the fees and gross expenses of the Fund's respective share classes. The returns prior to 5/1/2008, the inception date of the predecessor fund’s Institutional share class, are those of the predecessor fund’s Investor Shares class that have been recalculated to apply the gross fees and expenses of Class I shares. July 31, 1991 is the inception date for the oldest class of shares, Class A shares. Class R1, R3, R4 and R5 shares were first offered on April 30, 2010; the returns prior to this date are those of Class A shares that have been recalculated to reflect the gross fees and expenses of Class R1, R3, R4 and R5 shares, respectively.
12 Results reflect any expense reductions, which can be terminated in the future. Without these reductions, expenses increase and results would have been less favorable.

June 12, 2006 is the inception date for the oldest class of shares, Class A shares. Class R3, R4 and R5 shares were first offered on May 22, 2009, the returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R3, R4 and R5 shares, respectively.
13 On 5/17/02, the Fund acquired all of the assets of the U.S. Global Leaders Growth Fund, the Fund's predecessor, pursuant to a reorganization. Performance prior to 5/17/02 reflects the performance of the Fund's predecessor.

These results reflect any applicable expense reductions, which can be terminated in the future. Without these reductions expenses increase and results would have been less favorable.
14 Results reflect any expense reductions, which can be terminated in the future. Without these reductions, expenses increase and results would have been less favorable. For some periods, the Fund’s performance may have been influenced by investments in unusually hot industries, IPOs or other factors. Similar opportunities may or may not be available in the future.
15 October 14, 2005 is the inception date for the oldest class of shares, Class NAV shares. Class A, and I shares were first offered on December 31, 2009, the returns prior to this date are those of Class NAV shares that have been recalculated to apply the gross fees and expenses of Class A and I shares respectively.
16 For some periods, the Fund's performance may have been influenced by investments in unusually hot industries, IPOs or other factors. Similar opportunities may or may not be available in the future.
17 These results reflect any applicable expense reductions, which can be terminated in the future. Without these reductions expenses increase and results would have been less favorable.
18 On June 9, 2006, through a reorganization the fund acquired all of the assets of the GMO International Disciplined Equity Fund (the predecessor fund). The predecessor fund offered its Class III shares, inception date September 16, 2005, in exchange for Class A shares, which were first offered on June 12, 2006. The predecessor fund's Class III shares returns have been recalculated to reflect the gross fees and expenses of Class A shares. Class B, Class C, Class I, and Class R1 shares were first offered on June 12, 2006 and Class R3, Class R4, and Class R5 shares were first offered on May 15, 2009. The returns prior to these dates are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class B, Class C, Class I, Class R1, Class R3, Class R4, and Class R5 shares, respectively.
19 November 9, 1973 is the inception date for the oldest class of shares, Class A shares.Class I shares were first offered on September 4, 2001; the returns prior to this date are those of Class A shares that have been recalculated to apply the fees and expenses of Class I shares.
20 June 30, 1993 is the inception date for the oldest class of shares, Class A shares. Class I shares were first offered on August 24, 2007; the returns prior to this date are those of Class A shares that have been recalculated to apply the fees and expenses of Class I shares.
21 Performance reflects a total annual fund operating expense ratio of 0.99%. There is currently no contractual expense reimbursement in effect for Class A shares; therefore, the net and gross expense ratio is the same figure. Expenses for other share classes will vary, which will affect returns. Performance figures assume that all distributions are reinvested. Performance quoted without sales charges would be reduced if the sales charges were applied.
22 August 18, 1986 is the inception date for the oldest class of shares, Class A shares. Class R3, R4 and R5 shares were first offered on May 22, 2009, the returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R3, R4 and R5 shares, respectively.
23 April 28, 2006 is the inception date for the oldest class of shares, Class NAV shares. Class A, C and I shares were first offered on December 31, 2009. The returns prior to this date are those of Class NAV shares that have been recalculated to apply the gross fees and expenses of Class A, C and I shares, respectively.
24 These results reflect expense reductions that were terminated on 12/31/01. Without these reductions expenses increase and results would have been less favorable.
25 An investment in the Fund is not insured or guaranteed by the FDIC or any other government agency. Although the Fund seeks to preserve the value of your investment a $1.00 per share, it is possible to lose money by investing in the fund.
26 The performance results are for a very short period and may not be indicative of how the portfolio will perform in the future or for longer periods. Results reflect any expense reductions, which can be terminated in the future. Without these reductions, expenses increase and results would have been less favorable.
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