John Hancock 2050 Lifetime Blend Portfolio Q3 2025 Commentary

**John Hancock Investment Management: Third Quarter Performance and Market Commentary**

Positive investment conditions led to broad-based gains for financial markets in the third quarter. The fund produced a positive absolute return and outperformed its benchmark, driven primarily by an overweight position in equities.

Financial assets delivered strong returns throughout the quarter, with both stocks and bonds registering gains. We continue to maintain a diversified portfolio designed to perform well across a wide range of possible market outcomes.

**About John Hancock Investment Management**

John Hancock Investment Management, a company of Manulife Investment Management, serves investors through a unique multimanager approach. This approach complements our extensive in-house capabilities with an unrivaled network of specialized asset managers, all supported by some of the most rigorous investment oversight in the industry.

The result is a diverse lineup of time-tested investments from a premier asset manager with a strong heritage of financial stewardship.

For inquiries or communication, please contact John Hancock Investment Management through their official channels.

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