John Hancock Funds II Multimanager Lifestyle Growth Portfolio Class 1 is an open-end mutual fund that serves as a target-risk, fund‑of‑funds solution emphasizing long‑term capital growth with current income as a secondary goal. The portfolio typically allocates about **80%** of assets to underlying equity funds and **20%** to underlying fixed‑income funds, positioning it in the allocation category of roughly 70%–85% equity exposure. Managed through a multimanager approach, it blends U.S. large‑cap core, growth, and value strategies with mid‑cap, international equity, sector rotation, and dedicated bond sleeves, creating diversified exposure across styles and regions within a single vehicle. As a lifestyle portfolio, it seeks to maintain a consistent risk profile over time while relying on underlying managers for security selection and income generation from bond holdings. The fund’s structure streamlines access to asset allocation and manager diversification, making it a comprehensive building block for investors seeking a growth‑tilted balanced allocation without managing individual sleeves. Morningstar classifies the approach within moderately aggressive allocation, reflecting its equity‑heavy stance and role in pursuing growth while retaining some ballast from fixed income.
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