Manulife Asset Management International Equity Pooled Fund
Fund Profile
Date of Formation: Apr 25 2005 Auditor: Pricewaterhouse Coopers LLP
Sales Compensation: No Sales Charge or Redemption Charge (Principal) Custodian: State Street Trust Company Canada
Investment Fund Type: Foreign Common Shares (Principal) Distributor: Manulife Asset Management Investments Inc.
Eligible for RRSP: No Investment Portfolio Manager: Manulife Asset Management Limited
Financial Year-End: Dec 31 Trustee: Manulife Asset Management Limited
Reporting Jurisdictions: Not Applicable

View This Investment Fund's Documents
View this Investment Fund's Group Profile