Daily Performance

The performance and prices for each portfolio are shown below. Net Asset Value (NAV) is the value of one share of the portfolio excluding sales charges. Public Offering Price (POP) is the price of one share of the portfolio including sales charges. Performance does not reflect the annual account maintenance fee of $25.

Year-to-Date NAV and POP returns and yield are as of September 08, 2010.

Static Portfolios

» Disclosure
  NAV as of September 08, 2010 POP as of September 08, 2010  
Portfolio Name Price Change YTD Price Change YTD Inception
Future Trends Portfolio:C 5 14.22 0.12 -0.84 14.22 0.12 -0.84 07/02/01
Equity Portfolio:C 5 14.68 0.12 -0.88 14.68 0.12 -0.88 07/02/01
Fixed Income Portfolio:C 5 21.51 -0.05 6.54 21.51 -0.05 6.54 07/02/01
Short-Term Bond Portfolio:C 5 16.69 0.00 2.33 16.69 0.00 2.33 07/02/01

The performance data presented represents past performance. Past performance is not a guarantee of future results and current performance may be lower or higher than the performance quoted. Investment returns in John Hancock Freedom 529 portfolios and the value of an investor’s units will fluctuate and may be worth more or less than original cost when redeemed.

5 Class C and Class C2 units do not have a sales charge. For accounts established on or after October 1, 2002, Class C units are referred to as Class C2. Class C2 has an inception date of 9/30/02. Returns for Class C and Class C2 units reflect an annual program management fee of 0.35%.

In addition to the sales charge and program expenses, each portfolio will bear its pro rata share of the investment management fees and other expenses of the underlying mutual funds in which it invests. Performance does not reflect the annual account maintenance fee of $25.00.

Version v2007.11.16