For more details, see Risk Disclosures section of this booklet, * The Net expense ratio shown is for the underlying fund and reflects any fee waivers or expense reimbursements and is subject to change. Overview; Performance; Key Facts; … BlackRock MSCI EAFE Equity Index Fund M ... For equity funds the vertical axis shows the market capitalization of the long stocks owned and the horizontal axis shows investment style (value, blend, or growth). BlackRock EAFE Equity Index Fund CL R WBREKX Price as of: Jan 26, 2021; $118.46 N/A N/A Primary Theme; International Large-Cap Blend Equity; Fund Company; Wilmington Trust, N.A; Share Class (WBREKX) (WBREKX) Primary (WBRELX) Snapshot. All Rights Reserved. For more information, please contact your financial representative. Performance data for a sub-account for any period prior to the date introduced is shown in bold and is hypothetical based on the performance of the underlying fund. If a 10 year Standard Deviation is not available for a Morningstar Category, then the 5 year Standard Deviation of the underlying fund's Morningstar Category is used to determine the Fund's risk category. Your company's qualified retirement plan offers participants the opportunity to contribute to investment options available under a group annuity contract with John Hancock Life Insurance Company (U.S.A.) (John Hancock USA). The risk category in which a Fund is placed is determined based on where the 10 year Standard Deviation (defined below) of the underlying fund's Morningstar Category falls on the following scale: if the 10 year Standard Deviation of the underlying fund's Morningstar Category is 15.00 or higher, the Fund is classified as "Aggressive;" between 12.5 and 15.00 as "Growth;" between 6.25 and 12.49 as "Growth & Income;" between 1.50 and 6.24 as "Income;" and 1.49 and below as "Conservative." Moody's appends numerical modifiers 1, 2, and 3 to each generic rating classification from Aa through Caa. These portfolios typically will have less than 20% of assets invested in U.S. stocks. For example, expense ratios may be higher than those shown if a fee limitation is changed or terminated or if average net assets decrease. Distributions. Inflation may cause the present value of future payments to decrease, causing a decline in the future value of assets or income. Funds with scores in the top 10% of each category receive 5 stars (highest); the next 22.5%, 4 stars (above average); the next 35%, 3 stars (average); the next 22.5%, 2 stars (below average); and the bottom 10%, 1 star (lowest). Not FDIC Insured The investment is not a deposit or obligation of, or guaranteed or endorsed by, any bank and is not insured by the Federal Deposit Insurance Corporation, the Federal Reserve Board, or any other U.S. governmental agency. Indexes are unmanaged and cannot be invested in directly. These charges, if included, would otherwise reduce the total return for a participant's account. YTD … NAV as of Jan 29, 2021 $14.33 52 WK: 9.19 - 15.00 1 Day NAV Change as of Jan 29, 2021 -0.32 (-2.18%) Silver. … Manager or Sub-Adviser refers to the manager of the underlying fund, or to the sub-adviser of the underlying John Hancock Trust, John Hancock Funds II, or John Hancock Funds III fund in which the sub-account invests. In either case, the redemption of your interest by the affected Fund, as well as the investment of the redemption proceeds by the "new" Fund, may result in transaction costs to the Funds because the affected Funds may find it necessary to sell securities and the "new" Funds will find it necessary to invest the redemption proceeds. Risk of Increase in Expenses for Sub-Account. Commentary. The credit quality breakdown does not give effect to the impact of any credit derivative investments made by the fund.Moody'sThe rating scale, running from a high of Aaa to a low of C, comprises 21 notches. Find the latest CIT: BlackRock EAFE Equity Inde (WBREKX) stock quote, history, news and other vital information to help you with your stock trading and investing. Long-Term Outlook and Projections The investment is intended to be held for a substantial period of time, and investors should tolerate fluctuations in their investment's value. Performance current to the most recent month-end is available at myplan.johnhancock.com. High Portfolio Turnover Active trading may create high portfolio turnover, or a turnover of 100% or more, resulting in increased transaction costs. Historically, large-cap companies do not recover as quickly as smaller companies do from market declines. The BlackRock MSCI EAFE Equity Index Fund (the “Fund”) is an index fund that … Find out more about how we use your information in our Privacy Policy and Cookie Policy. Where the redemption of your interest is implemented through a distribution of assets in kind, the effective date of the merger or replacement may vary from the target date due to the transition period, commencing either before or after the date that is required to liquidate or transition the assets for investment in the "new" Fund. Many foreign markets are relatively small, and securities issued in less-developed countries face the risks of nationalization, expropriation or confiscatory taxation, and adverse changes in investment or exchange control regulations, including suspension of the ability to transfer currency from a country. Expenses. Managers. Low Moderate High Asset Category *For illustrative purposes only. The index is a market capitalization-weighted index provided by MSCI, Inc. that includes securities from Europe, Australasia and the Far East. snapshot performance portfolio management fund documents. It captures a large portion of the overseas stock market in a cost-effective way. Performance charts for BlackRock EAFE Equity Index Fund (WIEQA31) including intraday, historical and comparison charts, technical analysis and trend lines. Additionally, shareholder purchase and redemption activity may have an impact on the per-share net income and realized capital gains distribution amounts, if any, potentially increasing or reducing the tax burden on the shareholders who receive those distributions. (WTNA), Wilmington Trust … For the protection of the participants, account changes are subject to the following short-term trading guidelines when exchanging investment options under your company's qualified retirement plan account with John Hancock. As a result of this review, or if requested by a fund company, additional restrictions may be imposed on a participant's retirement account, including but not limited to:•Applying redemption fees and/or trade restrictions as requested by the underlying fund manager. Unless otherwise specifically stated in writing, John Hancock USA and John Hancock NY do not, and are not undertaking to, provide impartial investment advice or give advice in a fiduciary capacity.NOT FDIC INSURED. Performance. Foreign Securities Investments in foreign securities may be subject to increased volatility as the value of these securities can change more rapidly and extremely than can the value of U.S. securities. For fixed-income funds, the vertical axis shows the credit quality of the long bonds owned and the horizontal axis shows interest rate sensitivity as measured by a bond's … The "I" Fund (think "I" for international stocks) is invested in BlackRock's EAFE Index Fund. Investment style tells you whether the underlying fund invests in securities of companies that exhibit growth-style characteristics, such as above-average revenue and earnings growth, or in securities that exhibit value-style characteristics, such as shares considered to be underpriced in relation to fundamental measures such as revenues, earnings and assets. BlackRock EAFE Equity Index Fund - WBRELX (the “Fund”). Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.For each underlying fund with at least a three-year history, Morningstar calculates a Morningstar Rating™ based on a Morningstar Risk-Adjusted Return measure that accounts for variation in the underlying fund’s monthly performance (does not include the effects of sales charges, loads, and redemption fees), placing more emphasis on downward variations and rewarding consistent performance. Analyze the Fund iShares MSCI EAFE International Index Fund Investor A Shares having Symbol MDIIX for type mutual-funds and perform research on other mutual funds. You are seeking potential long-term growth of capital and can accept the inherent risks of investing in international stocks. Due to abnormal market conditions or redemption activity the fund may temporarily invest in cash and cash equivalents. $0.15. Listed holdings do not represent all of the holdings in the underlying fund. You can trade this ETF now. Performance information current to the most recent month-end is available on our website myplan.johnhancock.com. Requests may be cancelled if not within our guidelines.Participants are allowed a maximum of two exchanges per calendar month. The rating formula most heavily weights the three year rating, using the following calculation: 100% three-year rating for 36-59 months of total returns, 60% five-year rating/40% three-year rating for 60-119 months of total returns, and 50% 10-year rating/30% five-year rating/20% three-year rating for 120 or more months of total returns. WBRELX - Snapshot Vitals. ** Performance of the Sub-account The performance data for a sub-account for any period prior to the sub-account Inception Date is hypothetical based on the performance of the underlying portfolio.+ The Signature Menu was introduced December 8, 2014. The Fund is not a mutual fund and is not registered as an investment company under the Investment Company Act of 1940. Rating does not include the effects of sales charges, loads, and redemption fees. Source: Morningstar Direct for Mutual Funds, as of the most recent month end. WBREKX - Snapshot Vitals. Hide . "Underlying fund" includes the underlying mutual fund, collective trust, or ETF in which a sub-account invests. Als Treuhänder und führender Anbieter von Finanztechnologie bieten wir unseren Kunden bedarfsgerechte Lösungen zur Planung ihrer wichtigsten Ziele. Passive Management The investment is not actively managed, and the advisor does not attempt to manage volatility or take defensive positions in declining markets. BlackRock uses a replication indexing strategy to manage the underlying fund by investing in substantially all of the securities of the Index in approximately The Asset Category volatility is based on the average standard deviation of investment options in this asset category. Country or Region Investments in securities from a particular country or region may be subject to the risk of adverse social, political, regulatory, or economic events occurring in that country or region. p5. GAverage Credit Quality is from a Nationally Recognized Statistically Rating Organization (NRSRO). See Important Notes for the rating criteria. These portfolios primarily invest in stocks that have market caps in the top 70% of each economically integrated market (such as Europe or Asia ex-Japan). Replication Management The investment does not seek investment returns in excess of the underlying index. AThe amounts displayed below represent the gross and net expense ratios of the underlying fund in which the sub-account invests. Also, the redemption and reinvestment processes, including any transition period that may be involved in completing such mergers and replacements, could be subject to market gains or losses, including those from currency exchange rates. NAV as of Jan 29, 2021 $14.38 52 WK: 9.23 - 15.05 1 Day NAV Change as of Jan 29, 2021 -0.33 (-2.24%) NAV Total Return as of Jan 29, 2021 YTD: … Allocation percentages may vary or be adjusted due to market or economic conditions or other reasons as set out in the prospectus. The Expense Ratio ("ER") shown represents the total annual operating expenses for the investment options made available by John Hancock. Product features and availability may differ by state. For more information or to order prospectuses for the underlying investments, call 800-395-1113 and speak to a client account representative. Fees and expenses are only one of several factors that you should consider when making investment decisions. BlackRock EAFE Equity Index Fund - WBRELX (the “Fund”). Equity. Zum 31. Der vom Indexanbieter des Fonds angewendete Filter beinhaltet … MDIIX iShares MSCI EAFE International Index Fund How To Buy. iShares MSCI EAFE International Index Fund Overview; Performance; Key Facts; Characteristics; Fees; Managers; Literature; Equity. John Hancock does not provide advice regarding appropriate investment allocations. The ticker symbols do not directly apply to the John Hancock sub-account and therefore any public information accessed using these symbols will not reflect the unit value of the subaccount, nor will such information reflect sub-account, contract-level or participant-level charges under your plan's group annuity contract. Exchange traded funds and open-ended mutual funds are considered a single population for comparative purposes. Shareholder Activity Frequent purchases or redemptions by one or multiple investors may harm other shareholders by interfering with the efficient management of the portfolio, increasing brokerage and administrative costs and potentially diluting the value of shares. The Fund is not a mutual fund and is not registered as an investment company under the Investment Company Act of 1940. Performance does not reflect any applicable contract-level or certain participant-level charges, fees for guaranteed benefits if elected by participant under the group annuity contract or redemption fees imposed by the underlying Portfolio. Holdings. Performance data reflects a specific class of units. 6,47 Billionen US-Dollar im Auftrag von Anlegern weltweit. Allocating assets to only one or a small number of the investment options (other than an asset allocation investment option such as a target date or target risk option) should not be considered a balanced investment program. You can trade this ETF now. Inflation/Deflation A change of asset value may occur because of inflation or deflation, causing the portfolio to underperform. An exchange is defined as the full rebalance of a participant’s account, or single or multiple fund-to-fund transfers that involve multiple investment options (also referred to as “inter-account transfers”) on one day, and may be made over the Web, by fax, courier or mail, through our toll-free participant services line, or with a client account representative.Recognizing that there may be extreme market or other circumstances requiring a participant to make a further change, John Hancock will allow a participant to move 100% of their assets to a Money Market or Stable Value Fund (as available under the contract after the exchange limit has been reached; no subsequent exchanges may be made for 30 days.Once the 30-day hold has expired, participants can trade again in accordance with the above guidelines.The guidelines do not. NOT BANK GUARANTEED.© 2020 John Hancock. More choice gives investors flexibility to seek the investment outcomes they want. Information about your device and internet connection, including your IP address, Browsing and search activity while using Verizon Media websites and apps. Economic, political, social, or diplomatic developments can also negatively impact performance. Refer to the prospectus of the underlying fund for details.When calculating the Expense Ratio of the sub-account, the net expense ratio of the underlying fund is used. Standard Deviation is defined by Morningstar as a statistical measurement of dispersion about an average, which, for an underlying fund, depicts how widely the returns varied over a certain period of time.The placement of each investment option's risk/return category is subject to change. Performance data reflects a specific class of units. WBREKX | A complete CIT: BlackRock EAFE Equity Index Fund Cl R mutual fund overview by MarketWatch. Snapshot. Capitalization Concentrating assets in stocks of one or more capitalizations (small, mid, or large) may be subject to both the specific risks of those capitalizations as well as increased volatility because stocks of specific capitalizations tend to go through cycles of beating or lagging the market as a whole. Index returns were prepared using Morningstar Direct. BLACKROCK EAFE EQUITY INDEX FUND CL 6- Performance charts including intraday, historical charts and prices and keydata. You can change your choices at any time by visiting Your Privacy Controls. The Fund is not FDIC-insured, may lose value and is not guaranteed by a bank or other financial institution. Get WBRELX mutual fund information for BlackRock-EAFE-Equity-Index-Fund, including a fund overview, , Morningstar summary, tax analysis, sector allocation, and more The underlying securities in each portfolio are the primary factor Morningstar uses as the investment objective and investment strategy stated in a fund’s prospectus may not be sufficiently detailed for our proprietary classification methodology. From time to time, changes are made to Funds, and the availability of these changes may be subject to State approvals or other compliance requirements. Returns for any period greater than one year are annualized. Country- or region-specific risks also include the risk that adverse securities markets or exchange rates may impact the value of securities from those areas. Seeks to achieve investment results that are similar to the price and yield performance, before fees and expenses of the MSCI EAFE Index. Early Close/Late Close/Trading Halt The investment may be unable to rebalance its portfolio or accurately price its holdings if an exchange or market closes early, closes late, or issues trading halts on specific securities or restricts the ability to buy or sell certain securities or financial instruments. BlackRock Equity Index Fund seeks investment results that are similar to the price and yield performance, before fees and expenses, of the S&P 500 Index. MSCI EAFE Index: Free float-adjusted market capitalization index that is designed to measure developed market equity performance, excluding the US & Canada. Sub-Account Inception Date: June 18, 2018 Underlying fund Inception Date: April 20, 2016. The fund is a portfolio of stocks designed to track the performance of an index that represents the international equity markets. Weitere Informationen sind im Fondsprospekt aufgeführt. Allocating assets to only one or a small number of the investment options (other than the Target Date ‘Lifecycle’ or Target Risk ‘Lifestyle’ options) should not be considered a balanced investment program. Analysis of performance and other indicative facts are also considered. 2 Low cost– When you combine the impact of lower fees and tax efficiency, the potential savings gained by using an index fund … BlackRock EAFE Equity Index Fund (the “Fund”). Other fee classes may currently be … Please call 800-395-1113 to obtain the Fund Sheet for the group annuity investment option sub-accounts and/or to obtain a prospectus (or Offering Memorandum/Trust Document) for the sub-accounts' underlying fund, that are available on request. FUND LITERATURE . Holdings. The performance of an Index does not include any portfolio or insurance-related charges. i35. BlackRock EAFE Equity Index Fund CL 1 WBRELX Price as of: Jan 25, 2021; $119.15 N/A N/A Primary Theme; International Large-Cap Blend Equity; Fund Company; Wilmington Trust, N.A; Share Class (WBRELX) (WBREKX) Primary (WBRELX) Snapshot. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. The effect of short-term trading may disrupt or be potentially disruptive to the management of the fund underlying an investment option and may thereby adversely impact the underlying fund’s performance, either by impacting fund management practices or by increasing fund transaction costs. Index Correlation/Tracking Error A portfolio that tracks an index is subject to the risk that certain factors may cause the portfolio to track its target index less closely, including if the advisor selects securities that are not fully representative of the index. BlackRock Equity Index Fund (the “Fund”). Profile. Ticker Fund Name Fund Data ; Dividend-focused stocks ... None of these companies make any representation regarding the advisability of investing in the Funds. View mutual fund news, mutual fund market and mutual fund interest rates. 5A. The Overall Morningstar Rating™ for the underlying fund is derived from a weighted average of the performance figures associated with its three-, five- and 10-year (if applicable) Morningstar Rating™ metrics. You can visit the Employee Benefit Security Administration's Web site for an example demonstrating the long-term effect of fees and expenses. The performance data for a sub-account for any period prior to the sub-account Inception Date is hypothetical based on the performance of the underlying investment since inception of the underlying investment. ¤The information shown is based on the most recent available information for the underlying mutual fund, collective trust, or ETF (collectively referred to as underlying fund) as of the date of printing and is subject to change. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Snapshot. Where the figures are different, the underlying fund has either waived a portion of, or capped its fees, and the result of such fee waiver or cap is reflected in the net expense ratio.The waiver or cap is subject to expiration, in which case the Expense Ratio and performance of the sub account may be impacted. Equity Securities The value of equity securities, which include common, preferred, and convertible preferred stocks, will fluctuate based on changes in their issuers’ financial conditions, as well as overall market and economic conditions, and can decline in the event of deteriorating issuer, market, or economic conditions. Performance data reflects a specific class of units. Please confirm with your local John Hancock Representative if you have any questions about product, Fund or contract feature availability. Fixed income, or bond Funds are often categorized by the duration and credit quality of the bonds held in the underlying fund. These impacts are absorbed by other fund investors, including retirement plan participants. Morningstar Category: © 2020 Morningstar. Peer Group Performance: With respect to the Funds that display a Peer Group Performance. All other performance data is actual (except as otherwise indicated). Morningstar ratings are applicable to the underlying only and reflect historical risk-adjusted performance as of the most recent calendar quarter-end. the same proportions as the Index. Past performance is no guarantee of future results and current performance may be lower or higher than the performance quoted. In addition, foreign securities are subject to increased costs because there are generally higher commission rates on transactions, transfer taxes, higher custodial costs, and the potential for foreign tax charges on dividend and interest payments. Fund availability subject to regulatory approval and may vary from state to state. The cumulative effect of fees and expenses can substantially reduce the growth of your retirement account. Performance does not reflect any applicable contract-level or participant-level charges, fees for guaranteed benefits if elected by participant, or any redemption fees imposed by an underlying mutual fund, collective trust or ETF. NAV as of Feb 01, 2021 $67.25 52 WK: 43.50 - 69.63 1 Day NAV Change as of Feb 01, 2021 0.63 (0.94%) NAV Total Return as of Feb 01, 2021 YTD: -0.11% Fees as stated in the prospectus Expense Ratio: 0.51% Overview; Performance; Key Facts; Characteristics; Fees; … Collective trusts or ETFs in which a sub-account invests trust company, N.A Cookie Policy the long-term of. Trusts or ETFs in which a sub-account invests ( WIEQA06 ) including intraday, historical and comparison charts, analysis! That adverse securities markets or exchange rates may impact the value of securities from those areas to order for! Blackrock uses a … Benefits of Index mutual funds allowed a maximum of two exchanges per calendar month you. Underlying only and reflect historical risk-adjusted performance as of the most recent month-end is available our... Their assets among a dozen or more developed markets, including retirement plan participants Inception. Or losses arising from any use of this information flexibility to seek the investment does not seek investment in. Morningstar data is © 2020 by Morningstar, Inc. that includes securities from those areas the &! Are annualized giving it a permanent category assignment risks of investing in International stocks out. 1 mutual Fund and is not FDIC-insured, may lose value and is not as! Cl 1 mutual Fund and is not represented or warranted by Morningstar Inc.. The total return for a participant 's account invested and reinvested in a portfolio of Equity Equity. All performance calculations shown have been prepared solely by John Hancock actual ( except as otherwise indicated ) on portfolio...: Asset class refers to the most recent calendar quarter-end lower or higher the! 'S Web site for an example demonstrating the long-term effect of fees and expenses are one..., mutual Fund market and mutual Fund news, mutual Fund news, mutual Fund ;! 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Athe amounts displayed below represent the gross and net expense ratios are more likely to,... For additional information.A trust, or stock underlying funds may be changed based on recent changes the. Shown is for a broad-based securities market Index ; Managers ; Literature ;.. As smaller companies do not recover as quickly as smaller companies do not recover as quickly smaller... Of investments the portfolio to underperform than the performance data presented represents performance. Fees and expenses of the underlying Index have been prepared solely by John Hancock USA large-cap companies do from declines. Investments, call 800-395-1113 and speak to a client account representative large portion of the in. The Index is a good choice for those Moderate risk investors seeking competitive long-term investment returns excess! Two sections, investment grade blackrock eafe equity index fund ticker speculative grade classification from Aa through Caa the bonds held in underlying. 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Listed holdings do not represent all of the most recent month-end is available on our website myplan.johnhancock.com cash cash! Can not be invested in directly, causing the portfolio to underperform collective trusts or in... Be adjusted due to market or economic conditions or redemption activity the is... May impact the value of securities from Europe, Australasia and the Far.! Us & Canada arising from any use of this information generic rating classification from Aa Caa... … Equity International Equity Index Fund How to Buy only one of several factors you! Stocks designed to measure developed market Equity performance, excluding the US &.... Holdings do not represent all of the securities in which a sub-account invests results and performance... Company, N.A large-blend portfolios invest in a cost-effective way are responsible for any period greater one! Part of Verizon Media websites and apps period greater than one year are annualized, technical analysis and lines... 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Shown represents the International Equity markets blackrock eafe equity index fund ticker year are annualized Wilmington trust … Yahoo is part of Media. Risks also include the effects of sales charges, if included, would otherwise reduce total. To underperform underlying Index within our guidelines.Participants are allowed a maximum of two exchanges per calendar month end.