Quarterly Performance

Year-to-Date NAV and POP returns and yield are as of June 30, 2010.
All other returns are as of June 30, 2010.

Year-to-date returns are cumulative. All other performance is an average annual total return except for portfolios that are less than one year old, in which case the inception-to-date returns are cumulative.

Class A shares are subject to a maximum initial sales charge of 5.25%. Class B shares are subject to a contingent deferred sales charge (decreasing over 6 years).

Individual Portfolios

» Disclosure
  NAV as of June 30, 2010 POP as of June 30, 2010    
Portfolio Name Price YTD 1YR 3YR 5YR ITD Price YTD 1YR 3YR 5YR ITD Exp.
Ratio
Inception
T. Rowe Price New Horizons 529 Portfolio :B 4 11.75 -0.93 22.52 -6.47 0.14 2.85 11.75 -5.88 18.52 -7.41 -0.06 2.69 2.24 09/30/04
T. Rowe Price Small-Cap Stock 529 Portfolio :B 4 13.51 -0.73 24.52 -6.78 0.76 4.56 13.51 -5.70 20.52 -7.73 0.56 4.56 2.33 09/30/03
T. Rowe Price Blue Chip Growth 529 Portfolio :B 4 10.80 -9.24 10.32 -9.40 -1.52 1.15 10.80 -13.78 6.32 -10.31 -1.72 1.15 2.20 09/30/03
T. Rowe Price Mid-Cap Value 529 Portfolio :B 4 15.20 -5.00 21.31 -7.10 1.98 6.40 15.20 -9.75 17.31 -8.04 1.80 6.40 2.23 09/30/03
American Mutual 529 Portfolio :B 4 11.53 -6.11 12.60 -8.82 -0.75 2.13 11.53 -10.80 8.60 -9.74 -0.95 2.13 2.04 09/30/03
T. Rowe Price Equity Income 529 Portfolio :B 4 11.41 -6.40 15.49 -11.35 -1.93 1.97 11.41 -11.08 11.49 -12.25 -2.13 1.97 2.11 09/30/03
Jennison Capital Appreciation 529 Portfolio :B 4 7.62 -11.09 9.48 N/A N/A -9.99 7.62 -15.53 5.48 N/A N/A -11.40 2.15 11/30/07
Templeton International Value 529 Portfolio :B 4 6.61 -13.48 8.36 N/A N/A -14.81 6.61 -17.81 4.36 N/A N/A -16.15 2.33 11/30/07

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.

4 All Class B portfolios carry a 6-year contingent deferred sales charge (maximum of 5%, declining over 6 years). POP returns for Class B portfolios reflect the applicable sales charge for the period shown. Class B units of each portfolio are charged an annual program management fee of 0.35%, an annual trust fee of 0.05% and an annual distribution and service fee of 0.25%. Class B units carry a six year Contingent Deferred Sales Charge (CDSC) of 5%, 4%, 4%, 3%, 2%, 1%, 0%, so that withdrawals made within six years of the contribution will be charged as follows: withdrawals made in year 1 will be assessed a 5% charge, in years 2 and 3, a 4% charge, in year 4 a 3% charge, in year 5 a 2% charge and in year 6 a 1% charge. On the first month of the seventh year, B shares will automatically convert to A shares on the 15th of the first month in the seventh year.

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.

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