0001145443-15-001059.txt : 20150901 0001145443-15-001059.hdr.sgml : 20150901 20150901135422 ACCESSION NUMBER: 0001145443-15-001059 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 25 CONFORMED PERIOD OF REPORT: 20150630 FILED AS OF DATE: 20150901 DATE AS OF CHANGE: 20150901 EFFECTIVENESS DATE: 20150901 FILER: COMPANY DATA: COMPANY CONFORMED NAME: John Hancock Funds II CENTRAL INDEX KEY: 0001331971 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 0831 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-21779 FILM NUMBER: 151086947 BUSINESS ADDRESS: STREET 1: 601 CONGRESS STREET CITY: BOSTON STATE: MA ZIP: 02210 BUSINESS PHONE: 617-663-2166 MAIL ADDRESS: STREET 1: 601 CONGRESS STREET CITY: BOSTON STATE: MA ZIP: 02210 0001331971 S000003335 Lifestyle Aggressive Portfolio C000009050 Class A JALAX C000009051 Class B JBLAX C000009052 Class C JCLAX C000009053 Class R3 JRLAX C000009054 Class R4 JSLAX C000009055 Class R5 JTLAX C000009056 Class 1 JILAX C000036288 Class R1 JPLAX C000106452 Class R6 JULAX C000113497 Class R2 JQLAX C000155628 Class I JTAIX 0001331971 S000003337 Lifestyle Balanced Portfolio C000009062 Class A JALBX C000009063 Class B JBLBX C000009064 Class C JCLBX C000009065 Class R3 JRLBX C000009066 Class R4 JSLBX C000009067 Class R5 JTSBX C000009068 Class 1 JILBX C000034075 Class 5 JHLAX C000036291 Class R1 JPLBX C000106453 Class R6 JULBX C000113498 Class R2 JQLBX C000155629 Class I JTBIX 0001331971 S000003338 Lifestyle Conservative Portfolio C000009071 Class A JALRX C000009072 Class B JBLCX C000009073 Class C JCLCX C000009074 Class R3 JRLCX C000009075 Class R4 JSLCX C000009076 Class R5 JTLRX C000009077 Class 1 JILCX C000036294 Class R1 JPLCX C000106454 Class R6 JULCX C000113499 Class R2 JQLCX C000155630 Class I JTOIX 0001331971 S000003339 Lifestyle Growth Portfolio C000009080 Class A JALGX C000009081 Class B JBLGX C000009082 Class C JCLGX C000009083 Class R3 JRLGX C000009084 Class R4 JSLGX C000009085 Class R5 JTLGX C000009086 Class 1 JILGX C000034076 Class 5 JHLGX C000036297 Class R1 JPLGX C000106455 Class R6 JULGX C000113500 Class R2 JQLGX C000155631 Class I JTGIX 0001331971 S000003342 Lifestyle Moderate Portfolio C000009099 Class A JALMX C000009100 Class B JBLMX C000009101 Class C JCLMX C000009102 Class R3 JRLMX C000009103 Class R4 JSLMX C000009104 Class R5 JTLMX C000009105 Class 1 JILMX C000034077 Class 5 JHLMX C000036300 Class R1 JPLMX C000106456 Class R6 JULMX C000113501 Class R2 JQLMX C000155632 Class I JTMIX N-CSRS 1 d290961.htm N-CSRS

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM N-CSR

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number 811-21779

 

JOHN HANCOCK FUNDS II

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(Exact name of registrant as specified in charter)

 

601 CONGRESS STREET, BOSTON, MA 02210-2805

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(Address of principal executive offices)    (Zip code)

 

SALVATORE SCHIAVONE, 601 CONGRESS STREET, BOSTON, MA 02210-2805

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(Name and address of agent for service)

 

Registrant's telephone number, including area code: (617) 663-4497

--------------

Date of fiscal year end: 12/31

 

Date of reporting period: 6/30/15

 


 

ITEM 1. REPORTS TO STOCKHOLDERS.

 

The Registrant prepared one semiannual report to shareholders for the period ended June 30, 2015. The report applies to the 5 Lifestyle Portfolios.

 

 


 


John Hancock

Lifestyle Portfolios


Semiannual report 6/30/15

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A message to shareholders

Dear shareholder,

Despite improving economic conditions in many developed countries and continued central bank stimulus, global market volatility crept up near the end of the period. European markets were shaken by the ongoing debt crisis in Greece, including that country's default on debt payments and initial vote to reject the terms of a bailout package from European creditors. A subsequent deal offered hope of an orderly resolution. Meanwhile, in China, the stock market rally fizzled in June, and the ensuing sell-off was stemmed only as a result of massive government intervention. In the United States, a stronger economy has increased the chances that the U.S. Federal Reserve will raise short-term interest rates this year—an event investors have viewed with trepidation for some time.

We may be in for a period of rising volatility as markets adjust to the idea of more normalized monetary policy in the United States and as the European debt situation continues to play out. Unpleasant as they are, these periods can ultimately be beneficial to the long-term health of markets, resetting valuations and investor expectations on a more realistic trajectory. The near-term challenge for many investors will be maintaining the discipline to stick to a well-constructed long-term financial plan in the face of short-term market disruptions. As always, we recommend that your first course of action be a conversation with your financial advisor. We also believe investors can be well served by owning broadly diversified asset allocation funds or by adding alternative strategies such as absolute return funds to a diversified portfolio.

At John Hancock Investments, one of the ways we seek to maximize the value shareholders receive is by lowering expenses where possible. To that end, we were pleased to announce a sweeping package of expense reductions across a wide range of funds. Details can be found at jhinvestments.com.

On behalf of everyone at John Hancock Investments, I'd like to take this opportunity to welcome new shareholders and thank existing shareholders for the continued trust you've placed in us.

Sincerely,

andrewarnott_sig.jpg

Andrew G. Arnott
President and Chief Executive Officer
John Hancock Investments

This commentary reflects the CEO's views as of June 30, 2015. They are subject to change at any time. For more up-to-date information, you can visit our website at jhinvestments.com.


John Hancock
Lifestyle Portfolios

Table of contents

     
2   Lifestyle Portfolios at a glance
5   Discussion of portfolio performance
8   John Hancock Lifestyle Aggressive Portfolio
9   John Hancock Lifestyle Growth Portfolio
10   John Hancock Lifestyle Balanced Portfolio
11   John Hancock Lifestyle Moderate Portfolio
12   John Hancock Lifestyle Conservative Portfolio
13   Your expenses
17   Portfolios' investments
22   Financial statements
27   Financial highlights
37   Notes to financial statements
57   Evaluation of advisory and subadvisory agreements
62   More information

1


Lifestyle Portfolios at a glance

PERFORMANCE HIGHLIGHTS OVER THE LAST SIX MONTHS


Portfolios produced positive returns

Each portfolio generated positive total returns for the six months ended June 30, 2015, a period of mixed results in the global capital markets.

International stocks stole the spotlight

Ending an extended streak of relative leadership for domestic equities, international markets outpaced shares in the United States during the period.

Bonds struggled as rates rose

An increase in interest rates created a challenging environment for core fixed-income assets, which, on balance, declined.

PORTFOLIO ALLOCATION AS OF 6/30/15 (%)


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2


AVERAGE ANNUAL TOTAL RETURNS AS OF 6/30/15 (%)


Lifestyle Aggressive Portfolio

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Lifestyle Growth Portfolio

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Lifestyle Balanced Portfolio

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3


AVERAGE ANNUAL TOTAL RETURNS AS OF 6/30/15 (%)


Lifestyle Moderate Portfolio

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Lifestyle Conservative Portfolio

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Lifestyle Aggressive Blended Index is composed of 70% Russell 3000 Index and 30% MSCI All Country World ex-USA Index.

Lifestyle Growth Blended Index is composed of 56% Russell 3000 Index, 24% MSCI All Country World ex-USA Index, 16% Barclays U.S. Aggregate Bond Index, and 4% Bank of America Merrill Lynch U.S. High Yield Master II Index.

Lifestyle Balanced Blended Index is composed of 42% Russell 3000 Index, 18% MSCI All Country World ex-USA Index, 32% Barclays U.S. Aggregate Bond Index, and 8% Bank of America Merrill Lynch U.S. High Yield Master II Index.

Lifestyle Moderate Blended Index is composed of 28% Russell 3000 Index, 12% MSCI All Country World ex-USA Index, 48% Barclays U.S. Aggregate Bond Index, and 12% Bank of America Merrill Lynch U.S. High Yield Master II Index.

Lifestyle Conservative Blended Index is composed of 14% Russell 3000 Index, 6% MSCI All Country World ex-USA Index, 64% Barclays U.S. Aggregate Bond Index, and 16% Bank of America Merrill Lynch U.S. High Yield Master II Index.

It is not possible to invest directly in an index. Index figures do not reflect expenses or sales charges, which would result in lower values.

Figures from Morningstar, Inc. include reinvested distributions and do not take into account sales charges. Actual load-adjusted performance is lower.

The past performance shown here reflects reinvested distributions and the beneficial effect of any expense reductions, and does not guarantee future results. Returns for periods shorter than one year are cumulative, and results for other share classes will vary. Shares will fluctuate in value and, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance cited, and can be found at jhinvestments.com or by calling 800-225-5291. For further information on the portfolios' objectives, risks, and strategy, see the portfolios' prospectuses.

4


Discussion of portfolio performance

An interview with Portfolio Manager Robert M. Boyda, John Hancock Asset Management a division of Manulife Asset Management (US) LLC

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Robert M. Boyda
Portfolio Manager
John Hancock Asset Management

What market themes surfaced over the course of the six months ended June 30, 2015?

Most global stock indexes were up modestly for the period while many core bond markets were slightly down as interest rates rose throughout much of the world. Meanwhile, commodities as a group, represented by the S&P/Goldman Sachs Commodity Index, were essentially flat. Still, there was a great deal of intra-asset class differentiation just beneath the surface. For example, in the equity markets, growth stocks handily outpaced value-oriented shares. Meanwhile, smaller-capitalization companies beat their larger-cap counterparts. Representing a major shift in leadership, international developed-market equities, led by Japan, finished the period ahead of U.S. stocks, which, prior to this period, had been on an extended streak of relative strength.

While many of the more credit-oriented sectors such as bank loans, high-yield bonds, and emerging-market debt posted positive returns, other fixed-income assets, particularly those with greater embedded interest-rate risk, did not fare as well. The commodity market was also bifurcated; oil prices rose while industrial metals suffered double-digit percentage price declines.

Recognizing that each one is unique, would you share some summary observations that apply across the suite of Lifestyle Portfolios?

As a group, the Lifestyle Portfolios demonstrated resilience, with each one posting positive absolute returns for the six months ended June 30, 2015, a period generating mixed results across the global capital markets. We elected to increase the portfolios' exposure to international developed-market equities during the period, a decision that served shareholders well.

One of the key challenges capital market participants faced in this environment was deciding where to deploy investment dollars. As central bankers continued to pump liquidity into the system, the wave of money washing over the world had already found the more obvious investment bargains, driving many global asset prices up and yields down. On the whole, valuations were running on the high side of their long-run ranges, and most financial assets didn't appear cheap in absolute terms. However, as global asset allocators, we had the benefit of examining a vast opportunity set of investments, in search of the most appealing areas in the world's markets, those pockets where we saw signs of potential strength.

As investors, we recognize that a market with ample liquidity is likely to present better values in areas fraught with more risk. With that in mind, we spent much of the period analyzing Europe and other areas that have been under stress, which, in our view, held the most attractive asset values and the greatest long-term potential on a risk-adjusted basis. Acknowledging the difficulties of Greece and its neighbors, we favored equities in Europe as well as those in Japan, another economy experimenting with unprecedented stimulus.

As the period closed, we continued to hold a positive view of assets higher up the risk curve. Each portfolio maintained an overweight allocation to equities and an underweight allocation to fixed income. Still, our core belief in the diversification benefits of global asset allocation means that the portfolios maintain ownership in a broad swath of the world's capital markets at all times.

We also like the diversifying characteristics of alternative investments, including absolute return strategies that target consistent, positive returns without relying on rising stock or bond markets.

5


While the portfolios' primary benchmark indexes remain the same, what has changed with respect to the secondary benchmarks?

We did indeed make changes to the portfolios' secondary benchmarks. More specifically, prior to May 1, 2015, we compared performance to a series of secondary custom composite blends of the S&P 500 Index and the Barclays U.S. Aggregate Bond Index, with relative weightings varying by portfolio.

After that date, to better reflect the universe of investment opportunities based on each portfolio's investment strategy, we replaced the custom indexes with new composite blends, including a wider variety of asset classes—namely, those represented by the Russell 3000 Index, the MSCI All Country World ex-USA Index, the Barclays U.S. Aggregate Bond Index, and the Bank of America Merrill Lynch U.S. High Yield Master II Index.

The relative proportions reflected in each new secondary custom benchmark index vary according to the accompanying portfolio's mandate; you'll find portfolio-specific details in the discussion that follows.

LIFESTYLE AGGRESSIVE PORTFOLIO

The portfolio's Class A shares returned 3.93%, excluding sales charges, and the new custom blended benchmark was up 2.70% for the period.

Our decision to modestly increase the portfolio's exposure to international developed-market equities proved beneficial, and an allocation to international small-cap stocks was particularly helpful to this period's results. Also contributing to performance was a dedicated allocation to healthcare equities, which continued to demonstrate relative strength.

On balance, active management contributed to results; top performers included Capital Appreciation Fund (Jennison), Technical Opportunities Fund (Wellington), and Fundamental Large Cap Value Fund (John Hancock). Still, a handful of actively managed holdings detracted from performance during the period; they included Absolute Return Currency Fund (First Quadrant), Emerging Markets Fund (DFA), and International Growth Stock Fund (Invesco).

LIFESTYLE GROWTH PORTFOLIO

The portfolio's Class A shares returned 3.18%, excluding sales charges, and the new custom blended benchmark was up 2.28% for the period.

Our decision to modestly increase the portfolio's exposure to international developed-market equities proved beneficial, and an allocation to international small-cap stocks was particularly helpful to this period's results. Also contributing to results was a dedicated allocation to healthcare equities, which continued to demonstrate relative strength. Within fixed income, an emphasis on credit-oriented sectors helped buffer the portfolio against interest-rate risk during this period of rising yields.

On balance, active management contributed to results; top performers included Capital Appreciation Fund (Jennison), Technical Opportunities Fund (Wellington), Fundamental Large Cap Value Fund (John Hancock), and Strategic Income Opportunities Fund (John Hancock). Still, a handful of actively managed holdings detracted from performance during the period; they included Absolute Return Currency Fund (First Quadrant), Floating Rate Income Fund (WAMCO), Emerging Markets Fund (DFA), International Growth Stock Fund (Invesco), and Spectrum Income Fund (T. Rowe Price).

LIFESTYLE BALANCED PORTFOLIO

The portfolio's Class A shares returned 2.44%, excluding sales charges, and the new custom blended benchmark was up 1.85% for the period.

Our decision to modestly increase the portfolio's exposure to international developed-market equities proved beneficial, and an allocation to international small-cap stocks was particularly helpful to this period's results. Also contributing to results was a dedicated allocation to healthcare equities, which continued to demonstrate relative strength. Within fixed income, an emphasis on credit-oriented sectors helped buffer the portfolio against interest-rate risk during this period of rising yields.

6


On balance, active management contributed to results; top performers included Capital Appreciation Fund (Jennison), Technical Opportunities Fund (Wellington), Fundamental Large Cap Value Fund (John Hancock), Strategic Income Opportunities Fund (John Hancock), and Total Return Fund (PIMCO). Still, a handful of actively managed holdings detracted from performance during the period; they included Absolute Return Currency Fund (First Quadrant), Floating Rate Income Fund (WAMCO), Emerging Markets Fund (DFA), International Growth Stock Fund (Invesco), and Spectrum Income Fund (T. Rowe Price).

LIFESTYLE MODERATE PORTFOLIO

The portfolio's Class A shares returned 1.37%, excluding sales charges, and the new custom blended benchmark was up 1.57% for the period.

Our decision to modestly increase the portfolio's exposure to international developed-market equities proved beneficial, and an allocation to international small-cap stocks was particularly helpful to this period's results. Within fixed income, an emphasis on certain credit-oriented sectors helped buffer the portfolio against interest-rate risk during this period of rising yields. However, on a relative basis, the portfolio's overweight allocation to global bonds and its underweight allocation to U.S. high-yield debt weighed down returns versus the benchmark.

On balance, active management contributed to results; top performers included Capital Appreciation Fund (Jennison), Fundamental Large Cap Value Fund (John Hancock), Strategic Income Opportunities Fund (John Hancock), and Total Return Fund (PIMCO). Still, a handful of actively managed holdings detracted from performance during the period; they included Absolute Return Currency Fund (First Quadrant), Floating Rate Income Fund (WAMCO), Emerging Markets Fund (DFA), and Spectrum Income Fund (T. Rowe Price).

LIFESTYLE CONSERVATIVE PORTFOLIO

The portfolio's Class A shares returned 0.49%, excluding sales charges, and the new custom blended benchmark was up 0.92% for the period.

During the period, we modestly increased the portfolio's exposure to international developed-market equities, which outpaced U.S. stocks. Within fixed income, an emphasis on certain credit-oriented sectors helped buffer the portfolio against interest-rate risk during this period of rising yields. However, on a relative basis, the portfolio's overweight allocation to global bonds and its underweight allocation to U.S. high-yield debt weighed down returns versus the benchmark.

In terms of individual positions, top performers included Capital Appreciation Fund (Jennison), Fundamental Large Cap Value Fund (John Hancock), Strategic Income Opportunities Fund (John Hancock), and Total Return Fund (PIMCO). A handful of holdings detracted from performance during the period; they included Absolute Return Currency Fund (First Quadrant), Floating Rate Income Fund (WAMCO), and Spectrum Income Fund (T. Rowe Price).

MANAGED BY


   
 robertmboyda.jpg Robert M. Boyda
On the portfolio since 2010
Investing since 1979
 marcelledaher.jpg Marcelle Daher, CFA
On the portfolio since 2013
Investing since 1999
 stevenemedina.jpg Steven E. Medina, CFA
On the portfolio since 2010
Investing since 1994
 nathanwthooft.jpg Nathan W. Thooft, CFA
On the portfolio since 2013
Investing since 2000

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The portfolios' performance depends on the subadvisors' ability to determine the strategic asset class allocations, the mix of underlying funds, and the performance of those underlying funds. The underlying funds' performance may be lower than the performance of the asset class that they were selected to represent. The portfolios are subject to the same risks as the underlying funds in which they invest, which include the following: Stocks, bonds, and derivatives can decline due to adverse issuer, market, regulatory, or economic developments; foreign investing, especially in emerging markets, has additional risks, such as currency and market volatility and political and social instability; the securities of small-capitalization companies are subject to higher volatility than larger, more established companies; and high-yield bonds are subject to additional risks, such as increased risk of default and interest-rate risk. Events in the financial markets have resulted, and may continue to result, in an unusually high degree of volatility in the financial markets, both domestic and foreign. In addition, reduced liquidity in credit and fixed-income markets may adversely affect issuers worldwide. Certain market conditions, including reduced trading volume, heightened volatility, and rising interest rates, may impair liquidity, the ability of the portfolio to sell securities or close derivative positions at advantageous prices. Hedging and other strategic transactions may increase volatility and result in losses if not successful. For additional information on these and other risk considerations, please see the portfolios' prospectuses.
The views expressed in this report are exclusively those of Robert M. Boyda, John Hancock Asset Management, and are subject to change. They are not meant as investment advice. Please note that the holdings discussed in this report may not have been held by the portfolio for the entire period. Portfolio composition is subject to review in accordance with the portfolio's investment strategy and may vary in the future. Current and future portfolio holdings are subject to risk.

7


John Hancock Lifestyle Aggressive Portfolio

GROWTH OF $10,000


This chart shows what happened to a hypothetical $10,000 investment in John Hancock Lifestyle Aggressive Portfolio for the share classes and periods indicated, assuming all distributions were reinvested. For comparison, we've shown the same investment in a blended index and two separate indexes.

jhlssa2cvl_growthof10k.jpg

Index 1 is the S&P 500, an unmanaged index that includes 500 widely traded common stocks.

Index 2 is the MSCI EAFE Index (Europe, Australasia, Far East) (gross of foreign withholding taxes on dividends) is a free-float-adjusted market capitalization index that is designed to measure developed market equity performance.

Index 3 is 70% Russell 3000 Index and 30% MSCI All Country World ex-USA Index.

It is not possible to invest directly in an index. Index figures do not reflect expenses or sales charges, which would result in lower values.

Prior to May 1, 2015, the fund compared its performance to the S&P 500 Index and the MSCI EAFE Index. After this date, to better reflect the universe of investment opportunities based on the fund's investment strategy, the fund added this custom blended benchmark as the secondary benchmark index to which the fund compares its performance.

ASSET ALLOCATION (%)


     
Equity 84.8
  U.S. Large Cap 36.7
  International Large Cap 13.7
  U.S. Mid Cap 8.7
  Large Blend 8.0
  Emerging Markets 7.5
  U.S. Small Cap 4.7
  International Small Cap 4.5
  Global Large Cap 1.0
Alternative and specialty 15.2
  Science & Technology 2.9
  Technical Opportunities 2.8
  Financial Industries 2.4
  Natural Resources 1.6
  Health Sciences 1.3
  Global Absolute Return Strategies 1.1
  Real Estate 1.0
  Currency 0.9
  Redwood 0.7
  Seaport 0.5

As a percentage of net assets.

PERFORMANCE CHART


Total returns with maximum sales charge for the period ended 6-30-15 (%)

                             
  Class A Class B Class C Class I1,2 Class R11 Class R21,2 Class R31 Class R41 Class R51 Class R61,2 Class 11 Index 13 Index 23 Index 33
Inception 10-18-05 10-18-05 10-18-05 10-15-05 9-18-06 10-18-05 10-18-05 10-18-05 10-18-05 10-15-05 10-15-05 10-18-05 10-18-05 10-18-05
Average annual total returns
1 year -2.24 -2.91 1.18 2.37 2.44 2.80 2.49 2.92 3.16 3.36 3.25 7.42 -3.82 3.59
5 year 11.84 11.84 12.18 12.34 12.51 12.48 12.61 12.97 13.30 12.94 13.46 17.34 10.03 14.74
Since inception 5.41 5.32 5.23 5.38 4.88 5.13 5.69 6.01 6.31 5.12 6.45 8.10 5.06 7.55
Cumulative returns
6 months -1.28 -1.51 2.61 3.78 3.74 3.88 3.75 4.00 4.06 4.19 4.13 1.23 5.88 2.70
5 year 74.99 75.00 77.64 78.92 80.30 80.08 81.06 84.00 86.69 83.76 87.99 122.47 61.26 98.90
Since inception 66.79 65.39 63.97 66.37 52.07 62.46 71.06 76.13 81.06 62.38 83.46 112.90 61.41 102.69

Performance figures assume all distributions have been reinvested. Returns with maximum sales charge reflect a sales charge on Class A shares of 5%, and the applicable contingent deferred sales charge (CDSC) on Class B and Class C shares. The Class B shares' CDSC declines annually between years 1-6 according to the following schedule: 5%, 4%, 3%, 3%, 2%, 1%. No sales charges will be assessed after the sixth year. Class C shares held for less than one year are subject to a 1% CDSC. Sales charges are not applicable to Class I, Class R1, Class R2, Class R3, Class R4, Class R5, Class R6, and Class 1 shares.

Performance of the classes will vary based on the difference in sales charges paid by shareholders investing in the different classes and the fee structure of those classes.

The expense ratios of the portfolio, both net (including any fee waivers and/or expense limitations) and gross (excluding any fee waivers and/or expense limitations), are set forth according to the most recent publicly available prospectuses for the portfolio and may differ from those disclosed in the Financial highlights tables in this report. Had the fee waivers and expense limitations not been in place, gross expenses would apply. The following expense ratios include expenses of the affiliated underlying funds in which the portfolio invests. The expense ratios are as follows:

                       
  Class A Class B Class C Class I* Class R1 Class R2 Class R3 Class R4 Class R5 Class R6 Class 1
Gross (%) 1.44 2.13 2.14 1.14 1.78 1.52 1.68 1.37 1.07 1.02 1.06
Net (%) 1.42 2.13 2.14 1.12 1.78 1.52 1.68 1.27 1.07 1.01 1.06

* Expenses have been estimated for the fund's first year of operations.

Please refer to the most recent prospectus and annual or semiannual report for more information on expenses and any expense limitation arrangements for each class.

The returns reflect past results and should not be considered indicative of future performance. The return and principal value of an investment will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Due to market volatility, the portfolio's current performance may be higher or lower than the performance shown. For performance data current to the most recent month end, please call 800-225-5291 or visit the portfolio's website at jhinvestments.com.

This performance information does not reflect the deduction of taxes that a shareholder may pay on portfolio distributions or the redemption of portfolio shares. The portfolio's performance results reflect any applicable fee waivers or expense reductions, without which the expenses would increase and results would have been less favorable.

1 For certain types of investors as described in the portfolio's prospectuses.
2 Class R2 shares were first offered on 3-1-12. The returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R2 shares. Class R6 and Class I shares were first offered on 9-1-11 and 5-1-15, respectively. The returns prior to this date are those of Class 1 shares that have been recalculated to apply the gross fees and expenses of Class R6 and Class I shares, as applicable.
3 Index 1, Index 2, and Index 3 returns at 6-30-15 for the period beginning 10-15-05 (inception date for Class 1, Class R6, and Class I shares) are 8.13%, 4.71%, and 7.56% (respectively, annualized), and 113.53%, 56.34%, and 102.98% (respectively, cumulative). Index 1, Index 2, and Index 3 returns at 6-30-15 for the period beginning 9-18-06 (inception date for Class R1 shares) are 7.49%, 4.83%, and 6.59% (respectively, annualized) and 88.59%, 51.29%, and 75.11% (respectively, cumulative).

8


John Hancock Lifestyle Growth Portfolio

GROWTH OF $10,000


This chart shows what happened to a hypothetical $10,000 investment in John Hancock Lifestyle Growth Portfolio for the share classes and periods indicated, assuming all distributions were reinvested. For comparison, we've shown the same investment in two blended indexes and two separate indexes.

jhlssa2cvj_growthof10k.jpg

Index 1 is the S&P 500, an unmanaged index that includes 500 widely traded common stocks.

Index 2 is the Barclays U.S. Aggregate Bond Index, an unmanaged index of dollar-denominated and non-convertible investment-grade debt issues.

Index 3 is 80% S&P 500 Index and 20% Barclays U.S. Aggregate Bond Index.

Index 4 is 56% Russell 3000 Index, 24% MSCI All Country World ex-USA Index, 16% Barclays U.S. Aggregate Bond Index, and 4% Bank of America Merrill Lynch U.S. High Yield Master II Index.

It is not possible to invest directly in an index. Index figures do not reflect expenses or sales charges, which would result in lower values.

Prior to May 1, 2015, the fund compared its performance to the S&P 500 Index, the Barclays U.S. Aggregate Bond Index and a composite of these indices. After this date, to better reflect the universe of investment opportunities based on the fund's investment strategy, the fund replaced the composite of these indices with the new custom blended benchmark.

ASSET ALLOCATION (%)


     
Equity 71.0
  U.S. Large Cap 33.7
  International Large Cap 11.2
  U.S. Mid Cap 7.0
  Large Blend 6.4
  Emerging Markets 5.3
  International Small Cap 3.3
  U.S. Small Cap 3.1
  Global Large Cap 1.0
Fixed income 14.2
  Multi-Sector Bond 4.3
  Bank Loan 2.8
  Intermediate Bond 2.6
  High Yield Bond 2.0
  Global Bond 1.8
  Treasury Inflation-Protected Securities 0.7
Alternative and specialty 14.8
  Science & Technology 2.4
  Technical Opportunities 2.4
  Financial Industries 2.0
  Global Absolute Return Strategies 1.9
  Currency 1.7
  Natural Resources 1.2
  Health Sciences 1.1
  Real Estate 0.9
  Redwood 0.9
  Seaport 0.3

As a percentage of net assets.

PERFORMANCE CHART


Total returns with maximum sales charge for the period ended 6-30-15 (%)

                                 
  Class A Class B Class C Class I1,2 Class R11 Class R21,2 Class R31 Class R41 Class R51 Class R61,2 Class 11 Class 51 Index 13 Index 23 Index 33 Index 43
Inception 10-18-05 10-18-05 10-18-05 10-15-05 9-18-06 10-18-05 10-18-05 10-18-05 10-18-05 10-15-05 10-15-05 7-3-06 10-18-05 10-18-05 10-18-05 10-18-05
Average annual total returns
1 year -2.66 -3.22 0.72 2.05 2.03 2.32 2.13 2.59 2.75 2.94 2.89 2.88 7.42 1.86 6.37 3.21
5 year 10.46 10.50 10.79 11.01 11.19 11.12 11.28 11.68 11.97 11.76 12.06 12.11 17.34 3.35 14.56 12.74
Since inception 5.53 5.45 5.34 5.53 5.21 5.34 5.83 6.17 6.45 5.76 6.55 6.12 8.10 4.71 7.62 7.32
Cumulative returns
6 months -1.98 -2.13 1.87 3.11 2.99 3.13 3.06 3.31 3.36 3.44 3.44 3.44 1.23 -0.10 1.03 2.28
5 year 64.43 64.75 66.95 68.55 69.99 69.45 70.63 73.77 76.02 74.35 76.68 77.08 122.47 17.90 97.30 82.11
Since inception 68.54 67.31 65.69 68.68 56.27 65.72 73.21 78.80 83.42 72.19 85.13 70.71 112.90 56.28 103.81 98.42

Performance figures assume all distributions have been reinvested. Returns with maximum sales charge reflect a sales charge on Class A shares of 5%, and the applicable contingent deferred sales charge (CDSC) on Class B and Class C shares. The Class B shares' CDSC declines annually between years 1-6 according to the following schedule: 5%, 4%, 3%, 3%, 2%, 1%. No sales charges will be assessed after the sixth year. Class C shares held for less than one year are subject to a 1% CDSC. Sales charges are not applicable to Class I, Class R1, Class R2, Class R3, Class R4, Class R5, Class R6, Class 1, and Class 5 shares.

Performance of the classes will vary based on the difference in sales charges paid by shareholders investing in the different classes and the fee structure of those classes.

The expense ratios of the portfolio, both net (including any fee waivers and/or expense limitations) and gross (excluding any fee waivers and/or expense limitations), are set forth according to the most recent publicly available prospectuses for the portfolio and may differ from those disclosed in the Financial highlights tables in this report. Had the fee waivers and expense limitations not been in place, gross expenses would apply. The following expense ratios include expenses of the affiliated underlying funds in which the portfolio invests. The expense ratios are as follows:

                         
  Class A Class B Class C Class I* Class R1 Class R2 Class R3 Class R4 Class R5 Class R6 Class 1 Class 5
Gross (%) 1.38 2.08 2.08 1.09 1.73 1.47 1.62 1.32 1.02 0.97 1.01 0.96
Net (%) 1.37 2.08 2.08 1.07 1.73 1.47 1.62 1.22 1.02 0.96 1.01 0.96

* Expenses have been estimated for the fund's first year of operations.

Please refer to the most recent prospectus and annual or semiannual report for more information on expenses and any expense limitation arrangements for each class.

The returns reflect past results and should not be considered indicative of future performance. The return and principal value of an investment will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Due to market volatility, the portfolio's current performance may be higher or lower than the performance shown. For performance data current to the most recent month end, please call 800-225-5291 or visit the portfolio's website at jhinvestments.com.

This performance information does not reflect the deduction of taxes that a shareholder may pay on portfolio distributions or the redemption of portfolio shares. The portfolio's performance results reflect any applicable fee waivers or expense reductions, without which the expenses would increase and results would have been less favorable.

1 For certain types of investors as described in the portfolio's prospectuses.
2 Class R2 shares were first offered on 3-1-12. The returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R2 shares. Class R6 and Class I shares were first offered on 9-1-11 and 5-1-15, respectively. The returns prior to this date are those of Class 1 shares that have been recalculated to apply the gross fees and expenses of Class R6 and Class I shares, as applicable.
3 Index 1, Index 2, Index 3, and Index 4 returns at 6-30-15 for the period beginning 10-15-05 (inception date for Class 1, Class R6, and Class I shares) are 8.13%,4.71%, 7.64%, and 7.33% (respectively, annualized), and 113.53%, 56.34%, 104.32%, and 98.70% respectively, cumulative). Index 1, Index 2, Index 3, and Index 4 returns at 6-30-15 for the period beginning 7-3-06 (inception date for Class 5 shares) are 7.82%, 5.04%, 7.47%, and 6.79% (respectively, annualized), and 96.79%, 55.63%, 91.17%, and 80.59% (respectively, cumulative). Index 1, Index 2, Index 3, and Index 4 returns at 6-30-15 for the period beginning 9-18-06 (inception date of Class R1 shares) are 7.49%, 4.83%, 7.17%, and 6.58% (respectively, annualized) and 88.59%, 51.29%,83.72%, and 74.97% (respectively, cumulative).

9


John Hancock Lifestyle Balanced Portfolio

 

GROWTH OF $10,000


This chart shows what happened to a hypothetical $10,000 investment in John Hancock Lifestyle Balanced Portfolio for the share classes and periods indicated, assuming all distributions were reinvested. For comparison, we've shown the same investment in two blended indexes and two separate indexes.

jhlssa2cvi_growthof10k.jpg

Index 1 is the S&P 500, an unmanaged index that includes 500 widely traded common stocks.

Index 2 is the Barclays U.S. Aggregate Bond Index, an unmanaged index of dollar-denominated and non-convertible investment-grade debt issues.

Index 3 is 60% S&P 500 Index and 40% Barclays U.S. Aggregate Bond Index.

Index 4 is 42% Russell 3000 Index, 18% MSCI All Country World ex-USA Index, 32% Barclays U.S. Aggregate Bond Index, and 8% Bank of America Merrill Lynch U.S. High Yield Master II Index.

It is not possible to invest directly in an index. Index figures do not reflect expenses or sales charges, which would result in lower values.

Prior to May 1, 2015, the fund compared its performance to the S&P 500 Index, the Barclays U.S. Aggregate Bond Index and a composite of these indices. After this date, to better reflect the universe of investment opportunities based on the fund's investment strategy, the fund replaced the composite of these indices with the new custom blended benchmark.

ASSET ALLOCATION (%)


     
Equity 52.8
  U.S. Large Cap 25.2
  International Large Cap 8.9
  U.S. Mid Cap 5.0
  Large Blend 4.6
  Emerging Markets 3.4
  International Small Cap 2.4
  U.S. Small Cap 2.4
  Global Large Cap 0.9
Fixed income 33.9
  Multi-Sector Bond 10.3
  Intermediate Bond 9.8
  Bank Loan 5.8
  Global Bond 3.5
  High Yield Bond 3.5
  Treasury Inflation-Protected Securities 1.0
Alternative and specialty 13.3
  Global Absolute Return Strategies 2.0
  Science & Technology 2.0
  Currency 1.9
  Financial Industries 1.7
  Technical Opportunities 1.4
  Natural Resources 1.2
  Real Estate 1.1
  Health Sciences 0.9
  Redwood 0.8
  Seaport 0.3

As a percentage of net assets.

PERFORMANCE CHART


Total returns with maximum sales charge for the period ended 6-30-15 (%)

                                 
  Class A Class B Class C Class I1,2 Class R11 Class R21,2 Class R31 Class R41 Class R51 Class R61,2 Class 11 Class 51 Index 13 Index 23 Index 33 Index 43
Inception 10-18-05 10-18-05 10-18-05 10-15-05 9-18-06 10-18-05 10-18-05 10-18-05 10-18-05 10-15-05 10-15-05 7-3-06 10-18-05 10-18-05 10-18-05 10-18-05
Average annual total returns
1 year -3.62 -4.23 -0.25 1.04 1.01 1.29 1.19 1.60 1.85 1.91 1.86 1.91 7.42 1.86 5.28 2.79
5 year 8.60 8.62 8.94 9.17 9.30 9.24 9.42 9.84 10.10 9.88 10.16 10.23 17.34 3.35 11.76 10.69
Since inception 5.30 5.20 5.12 5.32 4.99 5.10 5.60 5.95 6.22 5.51 6.29 6.05 8.10 4.71 7.03 6.99
Cumulative returns
6 months -2.69 -2.92 1.14 2.31 2.26 2.33 2.31 2.50 2.66 2.67 2.64 2.67 1.23 -0.10 0.79 1.85
5 year 51.06 51.21 53.47 55.06 55.98 55.58 56.88 59.88 61.75 60.14 62.26 62.75 122.47 17.90 74.38 66.19
Since inception 65.06 63.48 62.36 65.38 53.36 61.98 69.69 75.17 79.63 68.33 80.86 69.60 112.90 56.28 93.32 92.56

Performance figures assume all distributions have been reinvested. Returns with maximum sales charge reflect a sales charge on Class A shares of 5%, and the applicable contingent deferred sales charge (CDSC) on Class B and Class C shares. The Class B shares' CDSC declines annually between years 1-6 according to the following schedule: 5%, 4%, 3%, 3%, 2%, 1%. No sales charges will be assessed after the sixth year. Class C shares held for less than one year are subject to a 1% CDSC. Sales charges are not applicable to Class I, Class R1, Class R2, Class R3, Class R4, Class R5, Class R6, Class 1, and Class 5 shares.

Performance of the classes will vary based on the difference in sales charges paid by shareholders investing in the different classes and the fee structure of those classes.

The expense ratios of the portfolio, both net (including any fee waivers and/or expense limitations) and gross (excluding any fee waivers and/or expense limitations), are set forth according to the most recent publicly available prospectuses for the portfolio and may differ from those disclosed in the Financial highlights tables in this report. Had the fee waivers and expense limitations not been in place, gross expenses would apply. The following expense ratios include expenses of the affiliated underlying funds in which the portfolio invests. The expense ratios are as follows:

                         
  Class A Class B Class C Class I* Class R1 Class R2 Class R3 Class R4 Class R5 Class R6 Class 1 Class 5
Gross (%) 1.34 2.05 2.04 1.05 1.68 1.43 1.59 1.28 0.99 0.93 0.97 0.92
Net (%) 1.33 2.05 2.04 1.03 1.68 1.43 1.59 1.18 0.99 0.92 0.97 0.92

* Expenses have been estimated for the fund's first year of operations.

Please refer to the most recent prospectus and annual or semiannual report for more information on expenses and any expense limitation arrangements for each class.

The returns reflect past results and should not be considered indicative of future performance. The return and principal value of an investment will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Due to market volatility, the portfolio's current performance may be higher or lower than the performance shown. For performance data current to the most recent month end, please call 800-225-5291 or visit the portfolio's website at jhinvestments.com.

This performance information does not reflect the deduction of taxes that a shareholder may pay on portfolio distributions or the redemption of portfolio shares. The portfolio's performance results reflect any applicable fee waivers or expense reductions, without which the expenses would increase and results would have been less favorable.

1 For certain types of investors as described in the portfolio's prospectuses.
2 Class R2 shares were first offered on 3-1-12. The returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R2 shares. Class R6 and Class I shares were first offered on 9-1-11 and 5-1-15, respectively. The returns prior to this date are those of Class 1 shares that have been recalculated to apply the gross fees and expenses of Class R6 and Class I shares, as applicable.
3 Index 1, Index 2, Index 3, and Index 4 returns at 6-30-15 for the period beginning 10-15-05 (inception date for Class 1, Class R6, and Class I shares) are 8.13%, 4.71%, 7.05%, and 7.00% (respectively, annualized), and 113.53%, 56.34%, 93.70%, and 92.83% (respectively, cumulative). Index 1, Index 2, Index 3, and Index 4 returns at 6-30-15 for the period beginning 7-3-06 (inception date for Class 5 shares) are 7.82%, 5.04%, 7.02%, and 6.68% (respectively, annualized), and 96.79%, 55.63%, 84.03%, and 78.83% (respectively, cumulative). Index 1, Index 2, Index 3, and Index 4 returns at 6-30-15 for the period beginning 9-18-06 (inception date of Class R1 shares) are 7.49%, 4.83%, 6.74%, and 6.46% (respectively, annualized) and 88.59%, 51.29%, 77.36%, and 73.36% (respectively, cumulative).

10


John Hancock Lifestyle Moderate Portfolio

 

GROWTH OF $10,000


This chart shows what happened to a hypothetical $10,000 investment in John Hancock Lifestyle Moderate Portfolio for the share classes and periods indicated, assuming all distributions were reinvested. For comparison, we've shown the same investment in two blended indexes and two separate indexes.

jhlssa2cvh_growthof10k.jpg

Index 1 is the S&P 500, an unmanaged index that includes 500 widely traded common stocks.

Index 2 is the Barclays U.S. Aggregate Bond Index, an unmanaged index of dollar-denominated and non-convertible investment-grade debt issues.

Index 3 is 40% S&P 500 Index and 60% Barclays U.S. Aggregate Bond Index.

Index 4 is 28% Russell 3000 Index, 12% MSCI All Country World ex-USA Index, 48% Barclays U.S. Aggregate Bond Index, and 12% Bank of America Merrill Lynch U.S. High Yield Master II Index.

It is not possible to invest directly in an index. Index figures do not reflect expenses or sales charges, which would result in lower values.

Prior to May 1, 2015, the fund compared its performance to the S&P 500 Index, the Barclays U.S. Aggregate Bond Index and a composite of these indices. After this date, to better reflect the universe of investment opportunities based on the fund's investment strategy, the fund replaced the composite of these indices with the new custom blended benchmark.

ASSET ALLOCATION (%)


     
Equity 37.9
  U.S. Large Cap 20.0
  International Large Cap 5.7
  U.S. Mid Cap 3.2
  Large Blend 3.0
  Emerging Markets 2.0
  International Small Cap 1.7
  U.S. Small Cap 1.4
  Global Large Cap 0.9
Fixed income 54.4
  Intermediate Bond 20.9
  Multi-Sector Bond 12.7
  Bank Loan 8.5
  Global Bond 5.9
  High Yield Bond 4.9
  Treasury Inflation-Protected Securities 1.5
Alternative and specialty 7.7
  Global Absolute Return Strategies 2.3
  Currency 2.1
  Real Estate 0.9
  Natural Resources 0.8
  Redwood 0.8
  Enduring Equity 0.5
  Seaport 0.3

As a percentage of net assets.

PERFORMANCE CHART


Total returns with maximum sales charge for the period ended 6-30-15 (%)

                                 
  Class A Class B Class C Class I1,2 Class R11 Class R21,2 Class R31 Class R41 Class R51 Class R61,2 Class 11 Class 51 Index 13 Index 23 Index 33 Index 43
Inception 10-18-05 10-18-05 10-18-05 10-18-05 9-18-06 10-18-05 10-18-05 10-18-05 10-18-05 10-15-05 10-15-05 7-3-06 10-18-05 10-18-05 10-18-05 10-18-05
Average annual total returns
1 year -4.70 -5.24 -1.33 -0.04 -0.22 0.17 0.02 0.35 0.62 0.71 0.73 0.71 7.42 1.86 4.17 2.35
5 year 6.80 6.80 7.15 7.44 7.44 7.45 7.58 7.94 8.23 7.84 8.38 8.43 17.34 3.35 8.96 8.62
Since inception 4.97 4.86 4.78 5.04 4.85 4.78 5.22 5.53 5.84 4.59 5.97 5.92 8.10 4.71 6.35 6.56
Cumulative returns
6 months -3.68 -4.00 0.07 1.31 1.16 1.39 1.29 1.42 1.59 1.66 1.63 1.58 1.23 -0.10 0.52 1.39
5 year 38.97 38.96 41.27 43.18 43.19 43.25 44.09 46.51 48.48 45.87 49.54 49.86 122.47 17.90 53.58 51.17
Since inception 60.04 58.45 57.36 61.14 51.58 57.24 63.82 68.54 73.40 54.64 75.55 67.76 112.90 56.28 81.71 85.29

Performance figures assume all distributions have been reinvested. Returns with maximum sales charge reflect a sales charge on Class A shares of 5%, and the applicable contingent deferred sales charge (CDSC) on Class B and Class C shares. The Class B shares' CDSC declines annually between years 1-6 according to the following schedule: 5%, 4%, 3%, 3%, 2%, 1%. No sales charges will be assessed after the sixth year. Class C shares held for less than one year are subject to a 1% CDSC. Sales charges are not applicable to Class I, Class R1, Class R2, Class R3, Class R4, Class R5, Class R6, Class 1, and Class 5 shares.

Performance of the classes will vary based on the difference in sales charges paid by shareholders investing in the different classes and the fee structure of those classes.

The expense ratios of the portfolio, both net (including any fee waivers and/or expense limitations) and gross (excluding any fee waivers and/or expense limitations), are set forth according to the most recent publicly available prospectuses for the portfolio and may differ from those disclosed in the Financial highlights tables in this report. Had the fee waivers and expense limitations not been in place, gross expenses would apply. The following expense ratios include expenses of the affiliated underlying funds in which the portfolio invests. The expense ratios are as follows:

                         
  Class A Class B Class C Class I* Class R1 Class R2 Class R3 Class R4 Class R5 Class R6 Class 1 Class 5
Gross (%) 1.31 2.01 2.01 1.01 1.65 1.40 1.55 1.26 0.95 0.90 0.93 0.88
Net (%) 1.29 2.01 2.01 0.99 1.65 1.40 1.55 1.16 0.95 0.88 0.93 0.88

* Expenses have been estimated for the fund's first year of operations.

Please refer to the most recent prospectus and annual or semiannual report for more information on expenses and any expense limitation arrangements for each class.

The returns reflect past results and should not be considered indicative of future performance. The return and principal value of an investment will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Due to market volatility, the portfolio's current performance may be higher or lower than the performance shown. For performance data current to the most recent month end, please call 800-225-5291 or visit the portfolio's website at jhinvestments.com.

This performance information does not reflect the deduction of taxes that a shareholder may pay on portfolio distributions or the redemption of portfolio shares. The portfolio's performance results reflect any applicable fee waivers or expense reductions, without which the expenses would increase and results would have been less favorable.

1 For certain types of investors as described in the portfolio's prospectuses.
2 Class R2 shares were first offered on 3-1-12. The returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R2 shares. Class R6 and Class I shares were first offered on 9-1-11 and 5-1-15, respectively. The returns prior to this date are those of Class 1 shares that have been recalculated to apply the gross fees and expenses of Class R6 and Class I shares, as applicable.
3 Index 1, Index 2, Index 3, and Index 4 returns at 6-30-15 for the period beginning 10-15-05 (inception date for Class 1, Class R6, and Class I shares) are 8.13%, 4.71%, 6.36%, and 6.57% (respectively, annualized), and 113.53%, 56.34%, 81.97%, and 85.54% (respectively, cumulative). Index 1, Index 2, Index 3, and Index 4 returns at 6-30-15 for the period beginning 7-3-06 (inception date for Class 5 shares) are 7.82%, 5.04%, 6.46%, and 6.46% (respectively, annualized), and 96.79%, 55.63%, 75.57%, and 75.62% (respectively, cumulative). Index 1, Index 2, Index 3, and Index 4 returns at 6-30-15 for the period beginning 9-18-06 (inception date of Class R1 shares) are 7.49%, 4.83%, 6.21%, and 6.25% (respectively, annualized) and 88.59%, 51.29%, 69.69%, and 70.33% (respectively, cumulative).

11


John Hancock Lifestyle Conservative Portfolio

 

GROWTH OF $10,000


This chart shows what happened to a hypothetical $10,000 investment in John Hancock Lifestyle Conservative Portfolio for the share classes and periods indicated, assuming all distributions were reinvested. For comparison, we've shown the same investment in two blended indexes and two separate indexes.

jhlssa2cvg_growthof10k.jpg

Index 1 is the S&P 500, an unmanaged index that includes 500 widely traded common stocks.

Index 2 is the Barclays U.S. Aggregate Bond Index, an unmanaged index of dollar-denominated and non-convertible investment-grade debt issues.

Index 3 is 20% S&P 500 Index and 80% Barclays U.S. Aggregate Bond Index.

Index 4 is 14% Russell 3000 Index, 6% MSCI All Country World ex-USA Index, 64% Barclays U.S. Aggregate Bond Index, and 16% Bank of America Merrill Lynch U.S. High Yield Master II Index.

It is not possible to invest directly in an index. Index figures do not reflect expenses or sales charges, which would result in lower values.

Prior to May 1, 2015, the fund compared its performance to the S&P 500 Index, the Barclays U.S. Aggregate Bond Index and a composite of these indices. After this date, to better reflect the universe of investment opportunities based on the fund's investment strategy, the fund replaced the composite of these indices with the new custom blended benchmark.

ASSET ALLOCATION (%)


     
Equity 17.9
  U.S. Large Cap 9.7
  International Large Cap 4.2
  U.S. Mid Cap 1.3
  Emerging Markets 0.8
  Large Blend 0.8
  Global Large Cap 0.6
  U.S. Small Cap 0.5
Fixed income 71.4
  Intermediate Bond 29.2
  Multi-Sector Bond 14.2
  Bank Loan 9.8
  Global Bond 7.6
  Short-Term Bond 4.0
  High Yield Bond 3.7
  Treasury Inflation-Protected Securities 2.9
Alternative and specialty 10.7
  Global Absolute Return Strategies 3.5
  Currency 3.0
  Enduring Equity 2.0
  Real Estate 1.0
  Redwood 0.6
  Natural Resources 0.4
  Seaport 0.2

As a percentage of net assets.

PERFORMANCE CHART


Total returns with maximum sales charge for the period ended 6-30-15 (%)

                               
  Class A Class B Class C Class I1,2 Class R11 Class R21,2 Class R31 Class R41 Class R51 Class R61,2 Class 11 Index 13 Index 23 Index 33 Index 43
Inception 10-18-05 10-18-05 10-18-05 10-15-05 9-18-06 10-18-05 10-18-05 10-18-05 10-18-05 10-15-05 10-15-05 10-18-05 10-18-05 10-18-05 10-18-05
Average annual total returns
1 year -5.30 -5.80 -1.96 -0.73 -0.74 -0.48 -0.69 -0.32 -0.06 0.07 0.02 7.42 1.86 3.02 1.88
5 year 4.77 4.75 5.12 5.40 5.38 5.41 5.51 5.86 6.18 5.70 6.31 17.34 3.35 6.15 6.51
Since inception 4.52 4.42 4.33 4.60 4.54 4.33 4.78 5.06 5.39 3.93 5.51 8.10 4.71 5.57 6.05
Cumulative returns
6 months -4.53 -4.81 -0.81 0.43 0.37 0.51 0.42 0.60 0.73 0.77 0.75 1.23 -0.10 0.22 0.92
5 year 26.23 26.10 28.38 30.10 29.94 30.14 30.74 32.94 34.98 31.96 35.76 122.47 17.90 34.80 37.06
Since inception 53.49 52.19 50.83 54.82 47.69 50.81 57.24 61.39 66.44 45.44 68.36 112.90 56.28 69.27 76.78

Performance figures assume all distributions have been reinvested. Returns with maximum sales charge reflect a sales charge on Class A shares of 5%, and the applicable contingent deferred sales charge (CDSC) on Class B and Class C shares. The Class B shares' CDSC declines annually between years 1-6 according to the following schedule: 5%, 4%, 3%, 3%, 2%, 1%. No sales charges will be assessed after the sixth year. Class C shares held for less than one year are subject to a 1% CDSC. Sales charges are not applicable to Class I, Class R1, Class R2, Class R3, Class R4, Class R5, Class R6, Class 1, and Class 5 shares.

Performance of the classes will vary based on the difference in sales charges paid by shareholders investing in the different classes and the fee structure of those classes.

The expense ratios of the portfolio, both net (including any fee waivers and/or expense limitations) and gross (excluding any fee waivers and/or expense limitations), are set forth according to the most recent publicly available prospectuses for the portfolio and may differ from those disclosed in the Financial highlights tables in this report. Had the fee waivers and expense limitations not been in place, gross expenses would apply. The following expense ratios include expenses of the affiliated underlying funds in which the portfolio invests. The expense ratios are as follows:

                       
  Class A Class B Class C Class I* Class R1 Class R2 Class R3 Class R4 Class R5 Class R6 Class 1
Gross (%) 1.29 1.98 1.99 0.99 1.63 1.38 1.52 1.23 0.92 0.87 0.91
Net (%) 1.27 1.98 1.99 0.97 1.63 1.38 1.52 1.13 0.92 0.86 0.91

* Expenses have been estimated for the fund's first year of operations.

Please refer to the most recent prospectus and annual or semiannual report for more information on expenses and any expense limitation arrangements for each class.

The returns reflect past results and should not be considered indicative of future performance. The return and principal value of an investment will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Due to market volatility, the portfolio's current performance may be higher or lower than the performance shown. For performance data current to the most recent month end, please call 800-225-5291 or visit the portfolio's website at jhinvestments.com.

This performance information does not reflect the deduction of taxes that a shareholder may pay on portfolio distributions or the redemption of portfolio shares. The portfolio's performance results reflect any applicable fee waivers or expense reductions, without which the expenses would increase and results would have been less favorable.

1 For certain types of investors as described in the portfolio's prospectuses.
2 Class R2 shares were first offered on 3-1-12. The returns prior to this date are those of Class A shares that have been recalculated to apply the gross fees and expenses of Class R2 shares. Class R6 and Class I shares were first offered on 9-1-11 and 5-1-15, respectively. The returns prior to this date are those of Class 1 shares that have been recalculated to apply the gross fees and expenses of Class R6 and Class I shares, as applicable.
3 Index 1, Index 2, Index 3, and Index 4 returns at 6-30-15 for the period beginning 10-15-05 (inception date for Class 1, Class R6, and Class I shares) are 8.13%, 4.71%, 5.58%, and 6.06% (respectively, annualized), and 113.53%, 56.34%, 69.42%, and 77.02% (respectively, cumulative). Index 1, Index 2, Index 3, and Index 4 returns at 6-30-15 for the period beginning 9-18-06 (inception date of Class R1 shares) are 7.49%, 4.83%, 5.57%, and 5.94% (respectively, annualized) and 88.59%, 51.29%, 60.93%, and 65.98% (respectively, cumulative).

12


Your expenses

As a shareholder of a John Hancock Funds II Lifestyle Portfolios, you incur two types of costs: (1) transaction costs, including sales charges (loads) on certain purchases or redemptions, and (2) ongoing costs, including management fees, distribution and service (Rule 12b-1) fees, and other portfolio expenses. In addition to the operating expenses which each portfolio bears directly, the portfolio indirectly bears a pro rata share of the operating expenses of the underlying funds in which each portfolio invests. Because underlying funds have varied operating expenses and transaction costs and the portfolio may own different proportions of the underlying funds at different times, the amount of expenses incurred indirectly by the portfolio will vary. Had these indirect expenses been reflected in the following analysis, total expenses would have been higher than the amounts shown.

These examples are intended to help you understand your ongoing costs (in dollars) of investing in a portfolio so you can compare these costs with the ongoing costs of investing in other mutual funds. The examples are based on an investment of $1,000 at the beginning of the period and held for the entire period (January 1, 2015 through June 30, 2015).

Actual expenses:

The first line of each share class in the tables below and on the following pages provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line under the heading entitled "Expenses paid during period" to estimate the expenses you paid on your account during this period.

Hypothetical example for comparison purposes:

The second line of each share class in the tables on the following pages provides information about hypothetical account values and hypothetical expenses based on the actual expense ratio for the share class and an assumed annualized rate of return of 5% per year before expenses, which is not the actual return of the share class. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in a portfolio and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

Please note that the expenses shown in the tables are meant to highlight your ongoing costs only and do not reflect any transactional costs. Therefore, the second line of each share class in the table is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher. See the portfolios' prospectuses for details regarding transaction costs.

13


SHAREHOLDER EXPENSE EXAMPLE CHART


           
  Beginning
account value
1-1-2015
Ending
account value
6-30-2015
Expenses paid
during period1
1-1-2015–6-30-2015
Annualized
expense
ratio2
Lifestyle Aggressive Portfolio
Class A Actual $1,000.00 $1,039.30 $2.38 0.47%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,022.50 2.36 0.47%
Class B Actual 1,000.00 1,034.90 6.21 1.23%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,018.70 6.16 1.23%
Class C Actual 1,000.00 1,036.10 6.06 1.20%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,018.80 6.01 1.20%
Class I Actual3 1,000.00 990.60 0.28 0.17%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.00 0.85 0.17%
Class R1 Actual 1,000.00 1,037.40 4.60 0.91%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,020.30 4.56 0.91%
Class R2 Actual 1,000.00 1,038.80 3.08 0.61%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,021.80 3.06 0.61%
Class R3 Actual 1,000.00 1,037.50 4.24 0.84%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,020.60 4.21 0.84%
Class R4 Actual 1,000.00 1,040.00 2.17 0.43%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,022.70 2.16 0.43%
Class R5 Actual 1,000.00 1,040.60 0.96 0.19%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,023.90 0.95 0.19%
Class R6 Actual 1,000.00 1,041.90 0.30 0.06%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.50 0.30 0.06%
Class 1 Actual 1,000.00 1,041.30 0.56 0.11%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.20 0.55 0.11%
Lifestyle Growth Portfolio
Class A Actual $1,000.00 $1,031.80 $2.37 0.47%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,022.50 2.36 0.47%
Class B Actual 1,000.00 1,028.70 6.04 1.20%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,018.80 6.01 1.20%
Class C Actual 1,000.00 1,028.70 5.99 1.19%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,018.90 5.96 1.19%
Class I Actual3 1,000.00 991.20 0.28 0.17%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.00 0.85 0.17%
Class R1 Actual 1,000.00 1,029.90 4.38 0.87%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,020.50 4.36 0.87%
Class R2 Actual 1,000.00 1,031.30 3.07 0.61%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,021.80 3.06 0.61%
Class R3 Actual 1,000.00 1,030.60 3.78 0.75%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,021.10 3.76 0.75%
Class R4 Actual 1,000.00 1,033.10 1.81 0.36%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,023.00 1.81 0.36%
Class R5 Actual 1,000.00 1,033.60 0.76 0.15%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.10 0.75 0.15%
Class R6 Actual 1,000.00 1,034.40 0.30 0.06%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.50 0.30 0.06%
Class 1 Actual 1,000.00 1,034.40 0.55 0.11%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.20 0.55 0.11%
Class 5 Actual 1,000.00 1,034.40 0.30 0.06%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.50 0.30 0.06%

14


SHAREHOLDER EXPENSE EXAMPLE CHART (continued)

           
  Beginning
account value
1-1-2015
Ending
account value
6-30-2015
Expenses paid
during period1
1-1-2015–6-30-2015
Annualized
expense
ratio2
Lifestyle Balanced Portfolio
Class A Actual $1,000.00 $1,024.40 $2.36 0.47%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,022.50 2.36 0.47%
Class B Actual 1,000.00 1,020.80 6.01 1.20%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,018.80 6.01 1.20%
Class C Actual 1,000.00 1,021.40 5.96 1.19%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,018.90 5.96 1.19%
Class I Actual3 1,000.00 989.60 0.28 0.17%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.00 0.85 0.17%
Class R1 Actual 1,000.00 1,022.60 4.36 0.87%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,020.50 4.36 0.87%
Class R2 Actual 1,000.00 1,023.30 3.06 0.61%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,021.80 3.06 0.61%
Class R3 Actual 1,000.00 1,023.10 3.76 0.75%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,021.10 3.76 0.75%
Class R4 Actual 1,000.00 1,025.00 1.76 0.35%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,023.10 1.76 0.35%
Class R5 Actual 1,000.00 1,026.60 0.70 0.14%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.10 0.70 0.14%
Class R6 Actual 1,000.00 1,026.70 0.30 0.06%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.50 0.30 0.06%
Class 1 Actual 1,000.00 1,026.40 0.55 0.11%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.20 0.55 0.11%
Class 5 Actual 1,000.00 1,026.70 0.30 0.06%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.50 0.30 0.06%
Lifestyle Moderate Portfolio
Class A Actual $1,000.00 $1,013.70 $2.35 0.47%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,022.50 2.36 0.47%
Class B Actual 1,000.00 1,010.00 6.08 1.22%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,018.70 6.11 1.22%
Class C Actual 1,000.00 1,010.70 5.98 1.20%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,018.80 6.01 1.20%
Class I Actual3 1,000.00 986.90 0.28 0.17%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.00 0.85 0.17%
Class R1 Actual 1,000.00 1,011.60 4.49 0.90%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,020.30 4.51 0.90%
Class R2 Actual 1,000.00 1,013.90 3.10 0.62%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,021.70 3.11 0.62%
Class R3 Actual 1,000.00 1,012.90 3.94 0.79%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,020.90 3.96 0.79%
Class R4 Actual 1,000.00 1,014.20 1.95 0.39%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,022.90 1.96 0.39%
Class R5 Actual 1,000.00 1,015.90 0.95 0.19%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,023.90 0.95 0.19%
Class R6 Actual 1,000.00 1,016.60 0.30 0.06%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.50 0.30 0.06%
Class 1 Actual 1,000.00 1,016.30 0.55 0.11%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.20 0.55 0.11%
Class 5 Actual 1,000.00 1,015.80 0.30 0.06%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.50 0.30 0.06%

15


SHAREHOLDER EXPENSE EXAMPLE CHART (continued)

           
  Beginning
account value
1-1-2015
Ending
account value
6-30-2015
Expenses paid
during period1
1-1-2015–6-30-2015
Annualized
expense
ratio2
Lifestyle Conservative Portfolio
Class A Actual $1,000.00 $1,004.90 $2.34 0.47%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,022.50 2.36 0.47%
Class B Actual 1,000.00 1,001.80 6.01 1.21%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,018.80 6.06 1.21%
Class C Actual 1,000.00 1,001.90 5.96 1.20%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,018.80 6.01 1.20%
Class I Actual3 1,000.00 986.40 0.28 0.17%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.00 0.85 0.17%
Class R1 Actual 1,000.00 1,003.70 4.37 0.88%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,020.40 4.41 0.88%
Class R2 Actual 1,000.00 1,005.10 3.08 0.62%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,021.70 3.11 0.62%
Class R3 Actual 1,000.00 1,004.20 3.88 0.78%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,020.90 3.91 0.78%
Class R4 Actual 1,000.00 1,006.00 2.04 0.41%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,022.80 2.06 0.41%
Class R5 Actual 1,000.00 1,007.30 0.95 0.19%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,023.90 0.95 0.19%
Class R6 Actual 1,000.00 1,007.70 0.30 0.06%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.50 0.30 0.06%
Class 1 Actual 1,000.00 1,007.50 0.55 0.11%
  Hypothetical (5% annualized return before expenses) 1,000.00 1,024.20 0.55 0.11%

   
1 Expenses are equal to the annualized expense ratio, multiplied by the average account value over the period, multiplied by the number of days in the period (181) and divided by 365 (to reflect the one-half year period).
2 The portfolios' expense ratios do not include fees and expenses indirectly incurred by the underlying funds and can vary based on the mix of underlying funds held by the portfolios. The range of expense ratios of the underlying funds held by the portfolios was as follows:

           
Period ended Lifestyle Aggressive Lifestyle Growth Lifestyle Balanced Lifestyle Moderate Lifestyle Conservative
6-30-15 0.65%-3.11% 0.55%-3.11% 0.55%-3.11% 0.55%-3.11% 0.61%-3.11%

   
3 Expenses are equal to the annualized expense ratio, multiplied by the average account value over the period, multiplied by the number of days in the period (61) and divided by 365 (to reflect the period).

16


Portfolios’ investments

 

INVESTMENT COMPANIES




                 
  Underlying Funds' Investment Managers  
  Allianz Life Insurance Company of New York           (Allianz)  
  Baillie Gifford Overseas Ltd.           (Baillie Gifford)  
  Barrow, Hanley, Mewhinney & Strauss, LLC           (Barrow Hanley)  
  Brandywine Asset Management, Inc.           (Brandywine)  
  Declaration Management & Research, LLC           (Declaration)  
  Deutsche Investment Management Americas, Inc.           (Deutsche)  
  Dimensional Fund Advisors LP           (DFA)  
  Epoch Investment Partners, Inc.           (Epoch)  
  First Quadrant, L.P.           (First Quadrant)  
  Franklin Templeton Investments Corp.           (Franklin Templeton)  
  Grantham, Mayo, Van Otterloo & Co. LLC           (GMO)  
  Invesco Advisers, Inc.           (Invesco)  
  Jennison Associates LLC           (Jennison)  
  John Hancock Asset Management           (John Hancock)  
  Pacific Investment Management Company LLC           (PIMCO)  
  QS Investors, Inc.           (QS Investors)  
  Robeco Investment Management, Inc.           (Robeco)  
  Standard Life Investments (Corporate Funds) Limited           (Standard Life)  
  Stone Harbor Investment Partners LP           (Stone Harbor)  
  T. Rowe Price Associates, Inc           (T.Rowe Price)  
  Templeton Investment Counsel, LLC           (Templeton)  
  Wellington Management Company, LLP           (Wellington)  
  Wells Capital Management, Incorporated           (Wells Capital)  
  Western Asset Management Company           (WAMCO)  

LIFESTYLE AGGRESSIVE PORTFOLIO




                             
  As of 6-30-15  
        Shares or
Principal
Amount
          Value  
  AFFILIATED INVESTMENT COMPANIES (G) - 100.0%  
  Equity - 84.8%  
  All Cap Core, Class NAV (QS Investors)           10,496,050           $147,154,617  
  Alpha Opportunities, Class NAV (Wellington)           20,801,589           260,227,881  
  Blue Chip Growth, Class NAV (T. Rowe Price)           6,365,269           224,566,693  
  Capital Appreciation Value, Class NAV (T.Rowe Price)           16,199,254           194,553,035  
  Capital Appreciation, Class NAV (Jennison)           11,185,588           209,170,505  
  Disciplined Value, Class NAV (Robeco)           5,188,122           98,522,437  
  Emerging Markets Equity, Class NAV (John Hancock) (A)(1)(I)           3,285,395           32,459,704  
  Emerging Markets, Class NAV (DFA)           29,868,840           301,973,973  
  Equity Income, Class NAV (T. Rowe Price)           11,734,859           230,707,326  
  Fundamental Global Franchise, Class NAV (John Hancock) (A)(1)           3,492,360           45,470,522  
  Fundamental Large Cap Value, Class NAV (John Hancock) (A)(1)           13,576,748           188,309,492  
  Global Equity, Class NAV (John Hancock) (A)(1)           4,175,295           45,218,440  
  Global Shareholder Yield, Class NAV (Epoch)           4,071,199           44,742,479  
  Greater China Opportunities, Class NAV (John Hancock) (A)(1)           589,864           13,696,652  
  International Core, Class NAV (GMO)           4,521,358           149,114,393  
  International Growth Opportunities, Class NAV (Baillie Gifford)           8,293,725           111,135,914  
  International Growth Stock, Class NAV (Invesco)           9,046,130           120,675,372  
  International Small Cap, Class NAV (Franklin Templeton)           5,339,718           103,376,934  
  International Small Company, Class NAV (DFA)           9,928,099           103,152,950  
  International Value Equity, Class NAV (John Hancock) (A)(1)           9,641,917           80,992,103  
  International Value, Class NAV (Templeton)           14,817,495           233,968,246  
  Mid Cap Stock, Class NAV (Wellington)           8,707,162           190,338,554  
  Mid Value, Class NAV (T. Rowe Price)           8,998,857           147,851,223  
  Select Growth, Class NAV (Baillie Gifford)           532,601           11,504,172  
  Small Cap Core, Class NAV (Wellington)           3,292,022           34,664,994  
  Small Cap Growth, Class NAV (Wellington)           3,379,385           36,125,624  
  Small Cap Opportunities, Class NAV (Brandywine/Invesco/DFA)           1,265,240           34,515,757  
  Small Cap Value, Class NAV (Wellington)           2,279,648           46,550,413  
  Small Company Growth, Class NAV (Invesco)           1,552,100           32,982,133  
  Small Company Value, Class NAV (T. Rowe Price)           925,291           31,922,539  
  Strategic Growth, Class NAV (John Hancock) (A)(1)           12,634,092           207,830,821  
  U.S. Equity, Class NAV (GMO)           7,278,396           85,957,858  
  Value Equity, Class NAV (Barrow Hanley)           5,172,314           54,981,696  
  Value, Class NAV (Invesco)           5,022,910           63,539,805  
  Alternative and specialty - 15.2%  
  Absolute Return Currency, Class NAV (First Quadrant)           4,954,638           42,263,059  
  Financial Industries, Class NAV (John Hancock) (A)(1)           6,091,971           110,630,186  
  Global Absolute Return Strategies, Class NAV (Standard Life)           4,526,720           50,518,197  
  Global Real Estate, Class NAV (Deutsche)           2,493,697           22,543,017  
  Health Sciences, Class NAV (T. Rowe Price)           2,954,161           57,901,561  

SEE NOTES TO FINANCIAL STATEMENTS17

                             
        Shares or
Principal
Amount
          Value  
  Alternative and specialty - (continued)                          
  Natural Resources, Class NAV (Jennison)           5,763,056           $72,268,717  
  Real Estate Equity, Class NAV (T. Rowe Price)           1,975,248           22,577,081  
  Redwood, Class NAV (Robeco)           3,100,093           34,473,033  
  Science & Technology, Class NAV (T. Rowe Price/Allianz)           10,211,389           136,015,706  
  Seaport, Class NAV (Wellington) (I)           2,116,158           23,298,899  
  Technical Opportunities, Class NAV (Wellington)           9,141,382           131,727,320  
        4,622,172,033  
  TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $3,495,945,073)     $4,622,172,033  
  Total Investments (Lifestyle Aggressive Portfolio) (Cost $3,495,945,073) - 100.0%     $4,622,172,033  
  Other assets and liabilities, net - 0.0%     784,546  
  TOTAL NET ASSETS - 100.0%     $4,622,956,579  

LIFESTYLE GROWTH PORTFOLIO




                             
  As of 6-30-15  
        Shares or
Principal
Amount
          Value  
  AFFILIATED INVESTMENT COMPANIES (G) - 100.0%  
  Equity - 71.0%  
  All Cap Core, Class NAV (QS Investors)           27,025,576           $378,898,582  
  Alpha Opportunities, Class NAV (Wellington)           51,274,169           641,439,850  
  Blue Chip Growth, Class NAV (T. Rowe Price)           17,495,456           617,239,676  
  Capital Appreciation Value, Class NAV (T.Rowe Price)           55,766,197           669,752,028  
  Capital Appreciation, Class NAV (Jennison)           30,067,092           562,254,626  
  Disciplined Value, Class NAV (Robeco)           14,366,505           272,819,937  
  Emerging Markets Equity, Class NAV (John Hancock) (A)(1)(I)           7,195,681           71,093,326  
  Emerging Markets, Class NAV (DFA)           67,472,763           682,149,629  
  Equity Income, Class NAV (T. Rowe Price)           31,697,694           623,176,661  
  Fundamental Global Franchise, Class NAV (John Hancock) (A)(1)           11,162,375           145,334,125  
  Fundamental Large Cap Value, Class NAV (John Hancock) (A)(1)           34,389,651           476,984,458  
  Global Equity, Class NAV (John Hancock) (A)(1)           13,653,660           147,869,136  
  Global Shareholder Yield, Class NAV (Epoch)           18,500,890           203,324,780  
  International Core, Class NAV (GMO)           11,382,578           375,397,427  
  International Growth Opportunities, Class NAV (Baillie Gifford)           20,843,580           279,303,973  
  International Growth Stock, Class NAV (Invesco)           22,599,123           301,472,298  
  International Small Cap, Class NAV (Franklin Templeton)           12,412,813           240,312,059  
  International Small Company, Class NAV (DFA)           23,021,536           239,193,760  
  International Value Equity, Class NAV (John Hancock) (A)(1)           24,379,966           204,791,714  
  International Value, Class NAV (Templeton)           36,569,868           577,438,221  
  Mid Cap Stock, Class NAV (Wellington)           21,892,337           478,566,494  
  Mid Value, Class NAV (T. Rowe Price)           22,476,890           369,295,296  
  Small Cap Core, Class NAV (Wellington)           6,844,637           72,074,032  
  Small Cap Growth, Class NAV (Wellington)           6,971,864           74,529,227  
  Small Cap Opportunities, Class NAV (Brandywine/Invesco/DFA)           2,631,399           71,784,577  
  Small Cap Value, Class NAV (Wellington)           4,857,050           $99,180,953  
  Small Company Growth, Class NAV (Invesco)           3,182,800           67,634,501  
  Small Company Value, Class NAV (T. Rowe Price)           1,972,452           68,049,580  
  Strategic Growth, Class NAV (John Hancock) (A)(1)           34,073,565           560,510,151  
  U.S. Equity, Class NAV (GMO)           26,331,996           310,980,871  
  Value Equity, Class NAV (Barrow Hanley)           17,954,781           190,859,326  
  Value, Class NAV (Invesco)           12,868,412           162,785,409  
  Fixed income - 14.2%  
  Active Bond, Class NAV (John Hancock/Declaration) (A)(1)           14,892,463           150,413,880  
  Asia Pacific Total Return Bond, Class NAV (John Hancock) (A)(1)           9,463,763           87,255,899  
  Core Bond, Class NAV (Wells Capital)           2,972,163           38,459,793  
  Emerging Markets Debt, Class NAV (John Hancock) (A)(1)           15,469,409           142,009,177  
  Floating Rate Income, Class NAV (WAMCO)           46,798,050           417,906,586  
  Focused High Yield, Class NAV (John Hancock) (A)(1)           23,894,304           84,824,779  
  Global Bond, Class NAV (PIMCO) (I)           3,445,911           40,523,918  
  Global Income, Class NAV (Stone Harbor)           10,282,084           96,857,228  
  Global Short Duration Credit, Class NAV (John Hancock) (A)(1)           7,489,060           69,198,918  
  High Yield, Class NAV (WAMCO)           5,337,281           45,580,377  
  Real Return Bond, Class NAV (PIMCO)           8,716,958           96,758,237  
  Short Duration Credit Opportunities Fund, Class NAV (Stone Harbor)           23,306,386           228,635,649  
  Spectrum Income, Class NAV (T. Rowe Price)           14,380,012           150,127,322  
  Strategic Income Opportunities, Class NAV (John Hancock) (A)(1)           21,890,179           237,727,349  
  Total Return, Class NAV (PIMCO)           8,198,280           111,660,571  
  U.S. High Yield Bond, Class NAV (Wells Capital)           4,846,751           55,446,826  
  Alternative and specialty - 14.8%  
  Absolute Return Currency, Class NAV (First Quadrant)           28,200,814           240,552,945  
  Financial Industries, Class NAV (John Hancock) (A)(1)           16,196,463           294,127,772  
  Global Absolute Return Strategies, Class NAV (Standard Life)           24,700,932           275,662,402  
  Global Real Estate, Class NAV (Deutsche)           7,478,114           67,602,147  
  Health Sciences, Class NAV (T. Rowe Price)           8,094,582           158,653,813  
  Natural Resources, Class NAV (Jennison)           13,951,560           174,952,564  
  Real Estate Equity, Class NAV (T. Rowe Price)           5,904,448           67,487,845  
  Redwood, Class NAV (Robeco)           10,623,993           118,138,804  
  Science & Technology, Class NAV (T. Rowe Price/Allianz)           26,374,737           351,311,494  
  Seaport, Class NAV (Wellington) (I)           4,475,646           49,276,859  
  Technical Opportunities, Class NAV (Wellington)           23,614,665           340,287,322  
  TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $11,518,884,733)     $14,427,937,159  
  Total Investments (Lifestyle Growth Portfolio) (Cost $11,518,884,733) - 100.0%     $14,427,937,159  
  Other assets and liabilities, net - 0.0%     (808,293)  
  TOTAL NET ASSETS - 100.0%     $14,427,128,866  

18SEE NOTES TO FINANCIAL STATEMENTS

LIFESTYLE BALANCED PORTFOLIO




                             
  As of 6-30-15  
        Shares or
Principal
Amount
          Value  
  AFFILIATED INVESTMENT COMPANIES (G) - 100.0%  
  Equity - 52.8%  
  All Cap Core, Class NAV (QS Investors)           17,056,659           $239,134,362  
  Alpha Opportunities, Class NAV (Wellington)           36,335,212           454,553,495  
  Blue Chip Growth, Class NAV (T. Rowe Price)           13,208,103           465,981,880  
  Capital Appreciation Value, Class NAV (T.Rowe Price)           55,391,283           665,249,305  
  Capital Appreciation, Class NAV (Jennison)           21,074,072           394,085,146  
  Disciplined Value, Class NAV (Robeco)           11,146,472           211,671,508  
  Emerging Markets Equity, Class NAV (John Hancock) (A)(1)(I)           5,053,399           49,927,587  
  Emerging Markets, Class NAV (DFA)           45,686,294           461,888,429  
  Equity Income, Class NAV (T. Rowe Price)           23,632,317           464,611,345  
  Fundamental Global Franchise, Class NAV (John Hancock) (A)(1)           10,533,752           137,149,445  
  Fundamental Large Cap Value, Class NAV (John Hancock) (A)(1)           24,936,859           345,874,237  
  Global Equity, Class NAV (John Hancock) (A)(1)           13,354,359           144,627,707  
  Global Shareholder Yield, Class NAV (Epoch)           18,202,503           200,045,505  
  International Core, Class NAV (GMO)           9,517,734           313,894,864  
  International Growth Opportunities, Class NAV (Baillie Gifford)           17,258,992           231,270,494  
  International Growth Stock, Class NAV (Invesco)           18,672,001           249,084,499  
  International Small Cap, Class NAV (Franklin Templeton)           9,479,887           183,530,606  
  International Small Company, Class NAV (DFA)           17,560,681           182,455,472  
  International Value Equity, Class NAV (John Hancock) (A)(1)           19,978,427           167,818,788  
  International Value, Class NAV (Templeton)           29,906,102           472,217,358  
  Mid Cap Stock, Class NAV (Wellington)           15,913,221           347,863,006  
  Mid Value, Class NAV (T. Rowe Price)           16,693,002           274,266,022  
  Small Cap Core, Class NAV (Wellington)           5,356,521           56,404,164  
  Small Cap Growth, Class NAV (Wellington)           5,475,447           58,532,526  
  Small Cap Opportunities, Class NAV (Brandywine/Invesco/DFA)           2,062,635           56,268,691  
  Small Cap Value, Class NAV (Wellington)           3,919,454           80,035,249  
  Small Company Growth, Class NAV (Invesco)           2,483,361           52,771,411  
  Small Company Value, Class NAV (T. Rowe Price)           1,598,074           55,133,557  
  Strategic Growth, Class NAV (John Hancock) (A)(1)           23,924,247           393,553,870  
  U.S. Equity, Class NAV (GMO)           25,004,168           295,299,229  
  Value Equity, Class NAV (Barrow Hanley)           12,176,803           129,439,411  
  Value, Class NAV (Invesco)           9,807,792           124,068,565  
  Fixed income - 33.9%  
  Active Bond, Class NAV (John Hancock/Declaration) (A)(1)           53,553,657           540,891,940  
  Asia Pacific Total Return Bond, Class NAV (John Hancock) (A)(1)           16,906,695           155,879,731  
  Core Bond, Class NAV (Wells Capital)           15,661,428           202,658,884  
  Emerging Markets Debt, Class NAV (John Hancock) (A)(1)           21,626,028           198,526,939  
  Floating Rate Income, Class NAV (WAMCO)           97,549,291           871,115,171  
  Focused High Yield, Class NAV (John Hancock) (A)(1)           44,328,999           157,367,948  
  Global Bond, Class NAV (PIMCO) (I)           15,140,434           178,051,498  
  Global Income, Class NAV (Stone Harbor)           18,005,619           $169,612,930  
  Global Short Duration Credit, Class NAV (John Hancock) (A)(1)           17,733,936           163,861,572  
  High Yield, Class NAV (WAMCO)           10,292,654           87,899,269  
  Investment Quality Bond, Class NAV (Wellington)           16,605,266           202,418,196  
  Real Return Bond, Class NAV (PIMCO)           13,340,343           148,077,812  
  Short Duration Credit Opportunities, Class NAV (Stone Harbor)           55,546,590           544,912,044  
  Spectrum Income, Class NAV (T. Rowe Price)           37,308,538           389,501,141  
  Strategic Income Opportunities, Class NAV (John Hancock) (A)(1)           56,782,818           616,661,404  
  Total Return, Class NAV (PIMCO)           27,364,007           372,697,770  
  U.S. High Yield Bond, Class NAV (Wells Capital)           9,667,826           110,599,930  
  Alternative and specialty - 13.3%  
  Absolute Return Currency, Class NAV (First Quadrant)           32,260,848           275,185,033  
  Financial Industries, Class NAV (John Hancock) (A)(1)           14,284,709           259,410,320  
  Global Absolute Return Strategies, Class NAV (Standard Life)           27,675,768           308,861,568  
  Global Real Estate, Class NAV (Deutsche)           11,516,411           104,108,356  
  Health Sciences, Class NAV (T. Rowe Price)           7,298,047           143,041,718  
  Natural Resources, Class NAV (Jennison)           13,860,182           173,806,686  
  Real Estate Equity, Class NAV (T. Rowe Price)           5,949,070           67,997,867  
  Redwood, Class NAV (Robeco)           10,694,023           118,917,533  
  Science & Technology, Class NAV (T. Rowe Price/Allianz)           22,102,735           294,408,432  
  Seaport, Class NAV (Wellington) (I)           4,439,014           48,873,540  
  Technical Opportunities, Class NAV (Wellington)           14,545,081           209,594,619  
  TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $12,724,259,251)     $15,073,647,584  
  Total Investments (Lifestyle Balanced Portfolio) (Cost $12,724,259,251) - 100.0%     $15,073,647,584  
  Other assets and liabilities, net - 0.0%     (1,054,266)  
  TOTAL NET ASSETS - 100.0%     $15,072,593,318  

LIFESTYLE MODERATE PORTFOLIO




                             
  As of 6-30-15  
        Shares or
Principal
Amount
          Value  
  AFFILIATED INVESTMENT COMPANIES (G) - 100.0%  
  Equity - 37.9%  
  Alpha Opportunities, Class NAV (Wellington)           7,464,535           $93,381,333  
  Blue Chip Growth, Class NAV (T. Rowe Price)           3,304,988           116,599,976  
  Capital Appreciation Value, Class NAV (T.Rowe Price)           15,838,738           190,223,241  
  Capital Appreciation, Class NAV (Jennison)           5,006,099           93,614,060  
  Emerging Markets Equity, Class NAV (John Hancock) (A)(1)(I)           953,137           9,416,989  
  Emerging Markets, Class NAV (DFA)           8,337,593           84,293,065  
  Equity Income, Class NAV (T. Rowe Price)           7,295,212           143,423,872  
  Fundamental Global Franchise, Class NAV (John Hancock) (A)(1)           3,114,161           40,546,373  
  Fundamental Large Cap Value, Class NAV (John Hancock) (A)(1)           10,111,238           140,242,876  

SEE NOTES TO FINANCIAL STATEMENTS19

                             
        Shares or
Principal
Amount
          Value  
  Equity - (continued)                          
  Global Equity, Class NAV (John Hancock) (A)(1)           3,779,168           $40,928,395  
  Global Shareholder Yield, Class NAV (Epoch)           5,126,546           56,340,738  
  International Core, Class NAV (GMO)           1,606,464           52,981,193  
  International Growth Opportunities, Class NAV (Baillie Gifford)           3,247,993           43,523,103  
  International Growth Stock, Class NAV (Invesco)           3,530,409           47,095,656  
  International Small Cap, Class NAV (Franklin Templeton)           2,014,703           39,004,658  
  International Small Company, Class NAV (DFA)           3,758,310           39,048,845  
  International Value Equity, Class NAV (John Hancock) (A)(1)           3,601,458           30,252,249  
  International Value, Class NAV (Templeton)           5,815,654           91,829,169  
  Mid Cap Stock, Class NAV (Wellington)           3,183,691           69,595,476  
  Mid Value, Class NAV (T. Rowe Price)           4,609,155           75,728,422  
  Small Cap Growth, Class NAV (Wellington)           1,420,994           15,190,424  
  Small Cap Value, Class NAV (Wellington)           1,023,471           20,899,278  
  Small Company Growth, Class NAV (Invesco)           631,460           13,418,534  
  Small Company Value, Class NAV (T. Rowe Price)           419,826           14,483,999  
  Strategic Growth, Class NAV (John Hancock) (A)(1)           5,686,649           93,545,374  
  U.S. Equity, Class NAV (GMO)           7,344,321           86,736,435  
  Fixed income - 54.4%  
  Active Bond, Class NAV (John Hancock/Declaration) (A)(1)           36,342,604           367,060,302  
  Asia Pacific Total Return Bond, Class NAV (John Hancock) (A)(1)           8,464,238           78,040,274  
  Core Bond, Class NAV (Wells Capital)           11,372,231           147,156,672  
  Emerging Markets Debt, Class NAV (John Hancock) (A)(1)           9,370,795           86,023,894  
  Floating Rate Income, Class NAV (WAMCO)           43,935,727           392,346,040  
  Focused High Yield, Class NAV (John Hancock) (A)(1)           18,490,933           65,642,814  
  Global Bond, Class NAV (PIMCO) (I)           8,953,386           105,291,823  
  Global Income, Class NAV (Stone Harbor)           7,147,533           67,329,765  
  Global Short Duration Credit, Class NAV (John Hancock) (A)(1)           5,222,320           48,254,234  
  High Yield, Class NAV (WAMCO)           4,974,200           42,479,669  
  Investment Quality Bond, Class NAV (Wellington)           12,040,155           146,769,492  
  Real Return Bond, Class NAV (PIMCO)           6,108,021           67,799,030  
  Short Duration Credit Opportunities Fund, Class NAV (Stone Harbor)           19,834,263           194,574,123  
  Spectrum Income, Class NAV (T. Rowe Price)           14,354,911           149,865,268  
  Strategic Income Opportunities, Class NAV (John Hancock) (A)(1)           21,748,783           236,191,778  
  Total Return, Class NAV (PIMCO)           18,520,577           252,250,261  
  U.S. High Yield Bond, Class NAV (Wells Capital)           4,264,210           48,782,565  
  Alternative and specialty - 7.7%  
  Absolute Return Currency, Class NAV (First Quadrant)           10,989,573           93,741,056  
  Enduring Equity, Class NAV (Wellington)           2,088,844           22,058,190  
  Global Absolute Return Strategies, Class NAV (Standard Life)           9,500,891           106,029,946  
  Global Real Estate, Class NAV (Deutsche)           2,396,196           21,661,616  
  Natural Resources, Class NAV (Jennison)           3,016,346           37,824,975  
  Real Estate Equity, Class NAV (T. Rowe Price)           1,863,911           $21,304,504  
  Redwood, Class NAV (Robeco)           3,152,099           35,051,346  
  Seaport, Class NAV (Wellington) (I)           1,292,187           14,226,977  
  TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $4,141,142,683)     $4,590,100,347  
  Total Investments (Lifestyle Moderate Portfolio) (Cost $4,141,142,683) - 100.0%     $4,590,100,347  
  Other assets and liabilities, net - 0.0%     546,647  
  TOTAL NET ASSETS - 100.0%     $4,590,646,994  

LIFESTYLE CONSERVATIVE PORTFOLIO




                                   
  As of 6-30-15  
        Shares or
Principal
Amount
          Value  
  AFFILIATED INVESTMENT COMPANIES (G) - 100.0%  
  Equity - 17.9%  
  Alpha Opportunities, Class NAV (Wellington)           2,273,170           $28,437,353  
  Blue Chip Growth, Class NAV (T. Rowe Price)           1,349,225           47,600,644  
  Capital Appreciation Value, Class NAV (T.Rowe Price)           8,427,310           101,211,994  
  Capital Appreciation, Class NAV (Jennison)           673,469           12,593,866  
  Emerging Markets Equity, Class NAV (John Hancock) (A)(1)(I)           315,160           3,113,782  
  Emerging Markets, Class NAV (DFA)           2,431,412           24,581,574  
  Equity Income, Class NAV (T. Rowe Price)           2,553,206           50,196,031  
  Fundamental Global Franchise, Class NAV (John Hancock) (A)(1)           1,730,241           22,527,735  
  Fundamental Large Cap Value, Class NAV (John Hancock) (A)(1)           3,256,425           45,166,617  
  Global Equity, Class NAV (John Hancock) (A)(1)           2,791,999           30,237,349  
  Global Shareholder Yield, Class NAV (Epoch)           2,757,451           30,304,391  
  International Core, Class NAV (GMO)           783,423           25,837,291  
  International Growth Stock, Class NAV (Invesco)           2,949,534           39,346,789  
  International Value, Class NAV (Templeton)           3,194,379           50,439,247  
  Mid Cap Stock, Class NAV (Wellington)           1,188,802           25,987,222  
  Mid Value, Class NAV (T. Rowe Price)           1,114,721           18,314,871  
  Small Cap Growth, Class NAV (Wellington)           803,524           8,589,675  
  Small Cap Value, Class NAV (Wellington)           260,171           5,312,690  
  Small Company Value, Class NAV (T. Rowe Price)           103,983           3,587,397  
  Strategic Growth, Class NAV (John Hancock) (A)(1)           774,463           12,739,920  
  U.S. Equity, Class NAV (GMO)           3,712,896           43,849,306  
  Fixed income - 71.4%  
  Active Bond, Class NAV (John Hancock/Declaration) (A)(1)           39,003,112           393,931,432  
  Asia Pacific Total Return Bond, Class NAV (John Hancock) (A)(1)           7,198,186           66,367,274  
  Core Bond, Class NAV (Wells Capital)           12,628,079           163,407,342  

20SEE NOTES TO FINANCIAL STATEMENTS

                                   
        Shares or
Principal
Amount
          Value  
  Fixed income - (continued)                          
  Core High Yield, Class NAV (John Hancock) (A)(2)           6,299,178           $65,007,513  
  Emerging Markets Debt, Class NAV (John Hancock) (A)(1)           9,773,696           89,722,527  
  Floating Rate Income, Class NAV (WAMCO)           38,416,305           343,057,605  
  Global Bond, Class NAV (PIMCO) (I)           9,424,767           110,835,256  
  Global Income, Class NAV (Stone Harbor)           3,793,646           35,736,149  
  Global Short Duration Credit, Class NAV (John Hancock) (A)(1)           3,542,820           32,735,660  
  High Yield, Class NAV (WAMCO)           1,208,979           10,324,679  
  Investment Quality Bond, Class NAV (Wellington)           13,405,032           163,407,342  
  Real Return Bond, Class NAV (PIMCO)           9,231,639           102,471,194  
  Short Duration Credit Opportunities, Class NAV (Stone Harbor)           16,844,905           165,248,519  
  Short Term Government Income, Class NAV (John Hancock) (A)(1)           14,522,515           140,868,398  
  Spectrum Income, Class NAV (T. Rowe Price)           12,304,058           128,454,370  
  Strategic Income Opportunities, Class NAV (John Hancock) (A)(1)           18,633,283           202,357,454  
  Total Return, Class NAV (PIMCO)           20,042,977           272,985,347  
  U.S. High Yield Bond, Class NAV (Wells Capital)           1,625,224           18,592,568  
  Alternative and specialty - 10.7%  
  Absolute Return Currency, Class NAV (First Quadrant)           12,463,278           106,311,757  
  Enduring Equity, Class NAV (Wellington)           6,434,271           67,945,897  
  Global Absolute Return Strategies, Class NAV (Standard Life)           11,160,880           124,555,424  
  Global Real Estate, Class NAV (Deutsche)           1,886,768           17,056,381  
  Natural Resources, Class NAV (Jennison)           1,224,147           15,350,804  
  Real Estate Equity, Class NAV (T. Rowe Price)           1,492,864           17,063,432  
  Redwood, Class NAV (Robeco)           1,821,387           20,253,824  
  Seaport, Class NAV (Wellington) (I)           751,000           8,268,510  
  TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $3,363,468,149)     $3,512,292,402  
  Total Investments (Lifestyle Conservative Portfolio) (Cost $3,363,468,149) - 100.0%     $3,512,292,402  
  Other assets and liabilities, net - 0.0%     (741,912)  
  TOTAL NET ASSETS - 100.0%     $3,511,550,490  

           
(A) The subadvisor is an affiliate of the advisor.
(G) The portfolio's subadvisor is shown parenthetically.
(I) Non-income producing.
(1) Manulife Asset Management (US) LLC is doing business as John Hancock Asset Management.
(2) Manulife Asset Management (North America) Limited is doing business as John Hancock Asset Management.

SEE NOTES TO FINANCIAL STATEMENTS21

Financial statements

STATEMENTS OF ASSETS AND LIABILITIES 6-30-15 (unaudited)


                                                                                               
   
   
              Lifestyle Aggressive Portfolio                 Lifestyle Growth Portfolio                 Lifestyle Balanced Portfolio                 Lifestyle Moderate Portfolio                 Lifestyle Conservative Portfolio  
  Assets                                                                                      
  Investments in affiliated underlying funds, at value           $4,622,172,033                 $14,427,937,159                 $15,073,647,584                 $4,590,100,347                 $3,512,292,402  
  Cash           686                 3,551                 3,005                 1,100                 944  
  Receivable for investments sold           17,331,632                 42,749,269                 56,129,919                 16,073,940                 11,599,077  
  Receivable for fund shares sold           1,971,138                 3,937,376                 4,026,620                 2,586,879                 2,083,846  
  Dividends and interest receivable           177,379                 4,922,243                 10,221,213                 4,056,787                 3,361,590  
  Receivable due from advisor           216                 822                 954                 350                 601  
  Other assets           97,659                 163,156                 207,126                 108,657                 108,271  
  Total assets           4,641,750,743                 14,479,713,576                 15,144,236,421                 4,612,928,060                 3,529,446,731  
  Liabilities                                                                                      
  Payable for investments purchased           1,990,000                 15,169,031                 24,286,405                 8,923,032                 9,470,691  
  Payable for fund shares repurchased           16,492,833                 36,461,986                 46,263,789                 12,829,605                 7,777,783  
  Distributions payable                                           68,587                 146,837                 320,400  
  Payable to affiliates                                                                                      
  Accounting and legal services fees           144,071                 449,276                 468,925                 142,841                 109,436  
  Transfer agent fees           65,955                 264,483                 306,262                 119,874                 107,213  
  Trustees' fees           2,389                 6,975                 7,804                 2,567                 2,244  
  Distribution and service fees           15,376                 44,363                 46,785                 17,821                 16,603  
  Other liabilities and accrued expenses           83,540                 188,596                 194,546                 98,489                 91,871  
  Total liabilities           18,794,164                 52,584,710                 71,643,103                 22,281,066                 17,896,241  
  Net assets           $4,622,956,579                 $14,427,128,866                 $15,072,593,318                 $4,590,646,994                 $3,511,550,490  
  Net assets consist of                                                                                      
  Paid-in capital           $3,361,398,424                 $11,048,899,478                 $12,462,808,688                 $4,072,660,844                 $3,332,283,928  
  Undistributed net investment income (loss)           (1,429,867 )               31,560,183                 1,221,315                 507,762                 415,896  
  Accumulated undistributed net realized gain (loss) on investments           136,761,062                 437,616,779                 259,174,982                 68,520,724                 30,026,413  
  Net unrealized appreciation (depreciation) on investments           1,126,226,960                 2,909,052,426                 2,349,388,333                 448,957,664                 148,824,253  
  Net assets           $4,622,956,579                 $14,427,128,866                 $15,072,593,318                 $4,590,646,994                 $3,511,550,490  
  Investments in affiliated underlying funds, at cost           $3,495,945,073                 $11,518,884,733                 $12,724,259,251                 $4,141,142,683                 $3,363,468,149  
  Net asset value per share                                                                                      
  The portfolios have an unlimited number of shares authorized with par value of $0.01 per share. Net asset value is calculated by dividing the net assets of each class of shares by the number of outstanding shares in the class.                                                                                      
  Class A1                                                                                      
  Net assets           $422,589,532                 $1,631,979,345                 $1,882,734,858                 $687,239,570                 $601,893,828  
  Shares outstanding           24,958,761                 96,724,249                 118,659,865                 48,347,783                 45,376,644  
  Net asset value and redemption price per share           $16.93                 $16.87                 $15.87                 $14.21                 $13.26  
  Class B1                                                                                      
  Net assets           $19,485,734                 $90,037,191                 $90,215,554                 $34,634,172                 $33,991,859  
  Shares outstanding           1,152,679                 5,341,580                 5,688,349                 2,438,386                 2,561,255  
  Net asset value, offering price and redemption price per share           $16.90                 $16.86                 $15.86                 $14.20                 $13.27  
  Class C1                                                                                      
  Net assets           $175,589,857                 $768,916,606                 $923,935,092                 $414,914,573                 $380,530,613  
  Shares outstanding           10,380,342                 45,657,543                 58,199,398                 29,185,063                 28,684,003  
  Net asset value, offering price and redemption price per share           $16.92                 $16.84                 $15.88                 $14.22                 $13.27  
  Class I                                                                                      
  Net assets           $997,662                 $7,391,909                 $4,422,357                 $1,837,154                 $4,178,858  
  Shares outstanding           58,991                 439,439                 280,099                 129,670                 315,547  
  Net asset value, offering price and redemption price per share           $16.91                 $16.82                 $15.79                 $14.17                 $13.24  
  Class R1                                                                                      
  Net assets           $7,735,672                 $21,820,609                 $18,415,269                 $8,227,923                 $9,999,566  
  Shares outstanding           456,983                 1,290,849                 1,165,305                 579,687                 754,274  
  Net asset value, offering price and redemption price per share           $16.93                 $16.90                 $15.80                 $14.19                 $13.26  
  Class R2                                                                                      
  Net assets           $6,251,609                 $15,101,258                 $14,447,070                 $6,928,174                 $5,565,927  
  Shares outstanding           371,095                 900,014                 914,676                 488,921                 420,117  
  Net asset value, offering price and redemption price per share           $16.85                 $16.78                 $15.79                 $14.17                 $13.25  

 
   

22SEE NOTES TO FINANCIAL STATEMENTS

STATEMENTS OF ASSETS AND LIABILITIES 6-30-15 (unaudited)


Continued

                               
 
 
    Lifestyle Aggressive Portfolio     Lifestyle Growth Portfolio     Lifestyle Balanced Portfolio     Lifestyle Moderate Portfolio     Lifestyle Conservative Portfolio
Class R3                            
Net assets   $6,407,465     $23,143,663     $28,496,861     $9,964,591     $10,230,141
Shares outstanding   379,676     1,375,106     1,800,276     702,423     773,255
Net asset value, offering price and redemption price per share   $16.88     $16.83     $15.83     $14.19     $13.23
Class R4                            
Net assets   $7,726,360     $21,591,359     $25,172,947     $12,569,684     $6,715,247
Shares outstanding   457,548     1,280,223     1,589,473     887,487     507,159
Net asset value, offering price and redemption price per share   $16.89     $16.87     $15.84     $14.16     $13.24
Class R5                            
Net assets   $11,576,604     $37,457,032     $39,730,346     $12,070,341     $10,466,848
Shares outstanding   684,053     2,216,042     2,505,724     851,461     790,101
Net asset value, offering price and redemption price per share   $16.92     $16.90     $15.86     $14.18     $13.25
Class R6                            
Net assets   $20,580,717     $46,750,555     $62,687,315     $28,236,344     $12,798,055
Shares outstanding   1,217,137     2,776,904     3,970,482     1,994,045     966,887
Net asset value, offering price and redemption price per share   $16.91     $16.84     $15.79     $14.16     $13.24
Class 1                            
Net assets   $3,944,015,367     $11,512,529,565     $11,834,917,856     $3,319,678,309     $2,435,179,548
Shares outstanding   233,450,256     683,784,295     749,908,057     234,168,525     183,934,147
Net asset value, offering price and redemption price per share   $16.89     $16.84     $15.78     $14.18     $13.24
Class 5                            
Net assets       $250,409,774     $147,417,793     $54,346,159    
Shares outstanding       14,886,745     9,337,328     3,837,436    
Net asset value, offering price and redemption price per share       $16.82     $15.79     $14.16    
Maximum Public Offering Price Per Share:                            
Class A (net asset value per share ÷ 95%)2   $17.82     $17.76     $16.71     $14.96     $13.96

                                 
1 Redemption price per share is equal to net asset value less any applicable contingent deferred sales charge.
2 On single retail sales of less than $50,000. On sales of $50,000 or more and on group sales the offering price is reduced.

SEE NOTES TO FINANCIAL STATEMENTS23

STATEMENTS OF OPERATIONS For the six months ended 6-30-15 (unaudited)


                                                                                                                 
   
   
                    Lifestyle Aggressive Portfolio                 Lifestyle Growth Portfolio                 Lifestyle Balanced Portfolio                 Lifestyle Moderate Portfolio                 Lifestyle Conservative Portfolio  
  Investment income                                                                                            
  Income distributions received from affiliated underlying funds                 $2,945,668                 $46,974,772                 $94,225,236                 $41,884,982                 $36,914,771  
  Expenses                                                                                            
  Investment management fees                 1,477,082                 4,675,708                 4,968,641                 1,309,363                 994,626  
  Distribution and service fees                 2,671,385                 9,826,572                 11,074,538                 4,226,483                 3,718,452  
  Transfer agent fees                 386,271                 1,554,728                 1,805,790                 715,832                 646,246  
  Accounting and legal services fees                 273,032                 853,457                 894,270                 274,308                 211,240  
  State registration fees                 72,789                 116,251                 130,571                 92,672                 89,852  
  Professional fees                 44,008                 89,209                 93,071                 43,742                 39,896  
  Printing and postage                 27,900                 96,442                 94,525                 39,541                 35,208  
  Custodian fees                 5,255                 5,255                 5,255                 5,255                 5,255  
  Trustees' fees                 32,326                 100,752                 106,584                 33,079                 25,953  
  Registration and filing fees                 15,406                 16,313                 16,347                 16,054                 15,574  
  Other                 14,653                 37,862                 39,937                 15,102                 12,688  
  Total expenses before reductions                 5,020,107                 17,372,549                 19,229,529                 6,771,431                 5,794,990  
  Less expense reductions                 (644,572 )               (1,957,960 )               (2,077,982 )               (434,325 )               (374,433 )
  Net expenses                 4,375,535                 15,414,589                 17,151,547                 6,337,106                 5,420,557  
  Net investment income (loss)                 (1,429,867 )               31,560,183                 77,073,689                 35,547,876                 31,494,214  
  Realized and unrealized gain (loss)                                                                                            
  Net realized gain (loss) on                                                                                            
  Investments in affiliated underlying funds                 5,899,850                 23,148,749                 50,892,933                 (1,836,109 )               1,707,510  
                    5,899,850                 23,148,749                 50,892,933                 (1,836,109 )               1,707,510  
  Change in net unrealized appreciation (depreciation) of                                                                                            
  Investments in affiliated underlying funds                 181,579,363                 424,576,902                 260,596,414                 38,644,853                 (8,668,923 )
                    181,579,363                 424,576,902                 260,596,414                 38,644,853                 (8,668,923 )
  Net realized and unrealized gain (loss)                 187,479,213                 447,725,651                 311,489,347                 36,808,744                 (6,961,413 )
  Increase (decrease) in net assets from operations                 $186,049,346                 $479,285,834                 $388,563,036                 $72,356,620                 $24,532,801  

24SEE NOTES TO FINANCIAL STATEMENTS

STATEMENTS OF CHANGES IN NET ASSETS


     
                    Lifestyle Aggressive Portfolio                 Lifestyle Growth Portfolio                 Lifestyle Balanced Portfolio  
                    Six months ended
6-30-15
                Year ended
12-31-14
                Six months ended
6-30-15
                Year ended
12-31-14
                Six months ended
6-30-15
                Year ended
12-31-14
 
                    (unaudited)                                   (unaudited)                                   (unaudited)                    
  Increase (decrease) in net assets                                                                                                              
  From operations                                                                                                              
  Net investment income (loss)                 ($1,429,867 )               $37,741,951                 $31,560,183                 $191,481,603                 $77,073,689                 $295,209,874  
  Net realized gain (loss)                 5,899,850                 446,189,677                 23,148,749                 1,208,598,509                 50,892,933                 1,016,616,255  
  Change in net unrealized appreciation (depreciation)                 181,579,363                 (270,830,241 )               424,576,902                 (736,837,677 )               260,596,414                 (679,174,213 )
  Increase (decrease) in net assets resulting from operations                 186,049,346                 213,101,387                 479,285,834                 663,242,435                 388,563,036                 632,651,916  
  Distributions to shareholders                                                                                                              
  From net investment income                                                                                                              
  Class A                                 (2,118,650 )                               (16,454,555 )               (7,061,652 )               (29,129,870 )
  Class B                                                                 (339,160 )               (16,224 )               (901,230 )
  Class C                                                                 (2,570,439 )               (157,697 )               (8,391,473 )
  Class I1                                                                                 (12,185 )                
  Class R1                                 (5,068 )                               (142,144 )               (35,367 )               (251,058 )
  Class R2                                 (18,893 )                               (114,068 )               (45,528 )               (141,280 )
  Class R3                                 (6,961 )                               (167,702 )               (70,246 )               (422,560 )
  Class R4                                 (33,740 )                               (327,672 )               (140,622 )               (700,724 )
  Class R5                                 (91,439 )                               (515,684 )               (214,850 )               (815,466 )
  Class R6                                 (144,827 )                               (551,171 )               (327,209 )               (738,819 )
  Class 1                                 (35,522,058 )                               (166,874,083 )               (66,930,197 )               (250,847,955 )
  Class 5                                                                 (3,440,644 )               (854,396 )               (2,854,396 )
  From net realized gain                                                                                                              
  Class A                                 (6,195,870 )                               (26,018,189 )                               (18,299,499 )
  Class B                                 (297,396 )                               (1,714,620 )                               (1,003,173 )
  Class C                                 (2,362,421 )                               (12,625,482 )                               (9,097,013 )
  Class R1                                 (123,013 )                               (365,396 )                               (199,944 )
  Class R2                                 (75,542 )                               (209,131 )                               (105,996 )
  Class R3                                 (108,790 )                               (380,162 )                               (301,461 )
  Class R4                                 (116,196 )                               (486,939 )                               (409,929 )
  Class R5                                 (191,899 )                               (644,305 )                               (417,111 )
  Class R6                                 (244,491 )                               (633,588 )                               (396,008 )
  Class 1                                 (63,217,911 )                               (198,435,263 )                               (124,295,986 )
  Class 5                                                                 (3,955,133 )                               (1,421,827 )
  Total distributions                                 (110,875,165 )                               (436,965,530 )               (75,866,173 )               (451,142,778 )
  From portfolio share transactions                 (138,542,392 )               (143,712,179 )               (396,929,965 )               (22,997,756 )               (375,948,124 )               9,194,090  
  Total increase (decrease)                 47,506,954                 (41,485,957 )               82,355,869                 203,279,149                 (63,251,261 )               190,703,228  
  Net assets                                                                                                              
  Beginning of period                 4,575,449,625                 4,616,935,582                 14,344,772,997                 14,141,493,848                 15,135,844,579                 14,945,141,351  
  End of period                 $4,622,956,579                 $4,575,449,625                 $14,427,128,866                 $14,344,772,997                 $15,072,593,318                 $15,135,844,579  
  Undistributed net investment income (loss)                 ($1,429,867 )                               $31,560,183                                 $1,221,315                 $13,799  

SEE NOTES TO FINANCIAL STATEMENTS25

STATEMENTS OF CHANGES IN NET ASSETS 


Continued

   
                    Lifestyle Moderate Portfolio                 Lifestyle Conservative Portfolio  
                    Six months ended
6-30-15
                Year ended
12-31-14
                Six months ended
6-30-15
                Year ended
12-31-14
 
                    (unaudited)                                   (unaudited)                    
  Increase (decrease) in net assets                                                                          
  From operations                                                                          
  Net investment income (loss)                 $35,547,876                 $118,271,194                 $31,494,214                 $104,128,205  
  Net realized gain (loss)                 (1,836,109 )               196,587,327                 1,707,510                 154,238,297  
  Change in net unrealized appreciation (depreciation)                 38,644,853                 (139,447,482 )               (8,668,923 )               (125,714,439 )
  Increase (decrease) in net assets resulting from operations                 72,356,620                 175,411,039                 24,532,801                 132,652,063  
  Distributions to shareholders                                                                          
  From net investment income                                                                          
  Class A                 (4,490,033 )               (14,634,395 )               (4,772,482 )               (15,214,977 )
  Class B                 (101,522 )               (619,812 )               (143,093 )               (760,189 )
  Class C                 (1,198,147 )               (6,312,704 )               (1,593,942 )               (6,980,446 )
  Class I1                 (7,855 )                               (20,984 )                
  Class R1                 (37,354 )               (164,644 )               (59,669 )               (200,543 )
  Class R2                 (38,396 )               (80,799 )               (39,919 )               (86,316 )
  Class R3                 (50,042 )               (196,401 )               (66,778 )               (250,455 )
  Class R4                 (91,114 )               (297,984 )               (63,962 )               (233,794 )
  Class R5                 (95,065 )               (298,432 )               (103,294 )               (382,522 )
  Class R6                 (230,566 )               (489,660 )               (124,238 )               (205,322 )
  Class 1                 (28,244,382 )               (93,767,521 )               (24,089,957 )               (79,821,425 )
  Class 5                 (464,516 )               (1,399,599 )                                
  From net realized gain                                                                          
  Class A                                 (16,532,992 )                               (20,731,473 )
  Class B                                 (974,299 )                               (1,350,991 )
  Class C                                 (10,313,452 )                               (13,220,884 )
  Class R1                                 (207,153 )                               (334,521 )
  Class R2                                 (109,708 )                               (178,596 )
  Class R3                                 (253,873 )                               (381,078 )
  Class R4                                 (339,944 )                               (324,521 )
  Class R5                                 (295,766 )                               (435,897 )
  Class R6                                 (503,733 )                               (292,139 )
  Class 1                                 (87,194,751 )                               (90,670,250 )
  Class 5                                 (1,312,858 )                                
  Total distributions                 (35,048,992 )               (236,300,480 )               (31,078,318 )               (232,056,339 )
  From portfolio share transactions                 (134,634,422 )               116,724,948                 (137,770,309 )               14,875,041  
  Total increase (decrease)                 (97,326,794 )               55,835,507                 (144,315,826 )               (84,529,235 )
  Net assets                                                                          
  Beginning of period                 4,687,973,788                 4,632,138,281                 3,655,866,316                 3,740,395,551  
  End of period                 $4,590,646,994                 $4,687,973,788                 $3,511,550,490                 $3,655,866,316  
  Undistributed net investment income (loss)                 $507,762                 $8,878                 $415,896                  

1The inception date for Class I shares is 5-1-15.

26SEE NOTES TO FINANCIAL STATEMENTS

Financial Highlights

                                                                                                                                                                                                     
  Lifestyle Aggressive Portfolio  
  Per share operating performance for a share outstanding throughout each period     Ratios and supplemental data  
        Income (loss) from
investment operations
          Less Distributions           Ratios to average net assets        
  Period ended     Net asset
value,
beginning
of period
($)
    Net
invest-
ment
income
(loss)
($)1,2
    Net
realized
and
unrealized
gain (loss)
on invest-
ments
($)
    Total
from
invest-
ment
operations
($)
    From net
invest-
ment
income
($)
    From net
realized
gain
($)
    From tax
return
of capital
($)
    Total
distribu-
tions
($)
    Net asset
value, end
of period
($)
    Total
return
(%)3,4
    Expenses
before
reductions
(%)5
    Expenses
including
reductions
(%)5
    Net
investment
income
(loss) (%)1
    Net
assets,
end of
period (in
millions)
    Portfolio
turnover
(%)
 
  CLASS A                                                                                            
  06-30-20156           16.29           (0.03 )         0.67           0.64                                                   16.93           3.93  7         0.52  8         0.47  8         (0.34 8         423           4        
  12-31-2014           15.94           0.10           0.60           0.70           (0.09 )         (0.26 )                   (0.35 )         16.29           4.39           0.53           0.47           0.59           393           18        
  12-31-2013           12.95           0.09           3.24           3.33           (0.09 )         (0.25 )                   (0.34 )         15.94           25.70           0.54           0.52           0.58           337           21        
  12-31-2012           11.30           0.08           1.71           1.79           (0.08 )         (0.06 )                   (0.14 )         12.95           15.83           0.58           0.57           0.66           239           21        
  12-31-2011           12.34           0.05           (0.92 )         (0.87 )         (0.05 )         (0.12 )                   (0.17 )         11.30           (7.09 )         0.58           0.58           0.39           200           25        
  12-31-2010           10.82           0.04           1.64           1.68           (0.04 )         (0.12 )                   (0.16 )         12.34           15.50           0.62  9         0.61           0.34           185           19        
  CLASS B                                                                                            
  06-30-20156           16.33           (0.09 )         0.66           0.57                                                   16.90           3.49  7         1.25  8         1.23  8         (1.11 8         19           4        
  12-31-2014           15.98           (0.06 )         0.63           0.57                     (0.22 )                   (0.22 )         16.33           3.58           1.28           1.26           (0.36 )         22           18        
  12-31-2013           12.98           (0.05 )         3.26           3.21                     (0.21 )                   (0.21 )         15.98           24.73           1.32  9         1.32           (0.33 )         27           21        
  12-31-2012           11.33           (0.02 )         1.71           1.69                     (0.04 )                   (0.04 )         12.98           14.94           1.37  9         1.35           (0.18 )         24           21        
  12-31-2011           12.37           (0.05 )         (0.92 )         (0.97 )                   (0.07 )                   (0.07 )         11.33           (7.83 )         1.38  9         1.35           (0.45 )         23           25        
  12-31-2010           10.86           (0.05 )         1.64           1.59                     (0.08 )                   (0.08 )         12.37           14.61           1.40  9         1.35           (0.46 )         24           19        
  CLASS C                                                                                            
  06-30-20156           16.33           (0.09 )         0.68           0.59                                                   16.92           3.61  7         1.22  8         1.20  8         (1.07 8         176           4        
  12-31-2014           15.99           (0.03 )         0.60           0.57                     (0.23 )                   (0.23 )         16.33           3.56           1.23           1.21           (0.19 )         169           18        
  12-31-2013           12.98           (0.02 )         3.25           3.23                     (0.22 )                   (0.22 )         15.99           24.90           1.24           1.23           (0.17 )         159           21        
  12-31-2012           11.33           (0.01 )         1.71           1.70                     (0.05 )                   (0.05 )         12.98           15.00           1.28           1.27           (0.11 )         121           21        
  12-31-2011           12.37           (0.04 )         (0.92 )         (0.96 )                   (0.08 )                   (0.08 )         11.33           (7.76 )         1.29           1.28           (0.36 )         112           25        
  12-31-2010           10.86           (0.04 )         1.63           1.59                     (0.08 )                   (0.08 )         12.37           14.61           1.34  9         1.33           (0.39 )         111           19        
  CLASS I                                                                                            
  06-30-20156,10           17.07           0.01           (0.17 )         (0.16 )                                                 16.91           (0.94 7         0.19  8         0.17  8         0.42  8         1           4  11      
  CLASS R1                                                                                            
  06-30-20156           16.32           (0.07 )         0.68           0.61                                                   16.93           3.74  7         0.93  8         0.91  8         (0.78 8         8           4        
  12-31-2014           15.98           (0.03 )         0.64           0.61           (0.01 )         (0.26 )                   (0.27 )         16.32           3.82           1.02           1.00           (0.18 )         8           18        
  12-31-2013           12.98           0.01           3.26           3.27           (0.02 )         (0.25 )                   (0.27 )         15.98           25.18           0.95           0.94           0.10           10           21        
  12-31-2012           11.33           0.02           1.73           1.75           (0.04 )         (0.06 )                   (0.10 )         12.98           15.42           0.97           0.96           0.19           9           21        
  12-31-2011           12.38           (0.02 )         (0.91 )         (0.93 )                   (0.12 )                   (0.12 )         11.33           (7.49 )         0.99           0.98           (0.14 )         8           25        
  12-31-2010           10.87            12         1.63           1.63                     (0.12 )                   (0.12 )         12.38           14.99           0.96  9         0.96           (0.03 )         8           19        
  CLASS R2                                                                                            
  06-30-20156           16.22           (0.04 )         0.67           0.63                                                   16.85           3.88  7         0.69  8         0.61  8         (0.48 8         6           4        
  12-31-2014           15.88           0.14           0.53           0.67           (0.07 )         (0.26 )                   (0.33 )         16.22           4.19           1.01           0.62           0.85           5           18        
  12-31-2013           12.89           0.13           3.18           3.31           (0.07 )         (0.25 )                   (0.32 )         15.88           25.66           1.59           0.62           0.89           2           21        
  12-31-201213           12.49           0.09           0.44           0.53           (0.07 )         (0.06 )                   (0.13 )         12.89           4.27  7         16.29  8         0.62  8         0.69  7          14         21  15      
  CLASS R3                                                                                            
  06-30-20156           16.27           (0.06 )         0.67           0.61                                                   16.88           3.75  7         0.87  8         0.84  8         (0.72 8         6           4        
  12-31-2014           15.92           (0.01 )         0.64           0.63           (0.02 )         (0.26 )                   (0.28 )         16.27           3.94           0.94           0.92           (0.06 )         7           18        
  12-31-2013           12.93            12         3.27           3.27           (0.03 )         (0.25 )                   (0.28 )         15.92           25.29           0.85           0.85           0.02           9           21        
  12-31-2012           11.28           0.03           1.72           1.75           (0.04 )         (0.06 )                   (0.10 )         12.93           15.53           0.88           0.88           0.27           10           21        
  12-31-2011           12.33           (0.01 )         (0.90 )         (0.91 )         (0.02 )         (0.12 )                   (0.14 )         11.28           (7.41 )         0.87           0.87           (0.06 )         10           25        
  12-31-2010           10.82           0.01           1.63           1.64           (0.01 )         (0.12 )                   (0.13 )         12.33           15.21           0.85           0.84           0.06           12           19        
  CLASS R4                                                                                            
  06-30-20156           16.24           (0.03 )         0.68           0.65                                                   16.89           4.00  7         0.55  8         0.43  8         (0.30 8         8           4        
  12-31-2014           15.90           0.09           0.59           0.68           (0.08 )         (0.26 )                   (0.34 )         16.24           4.25           0.68           0.56           0.53           7           18        
  12-31-2013           12.91           0.07           3.25           3.32           (0.08 )         (0.25 )                   (0.33 )         15.90           25.76           0.59           0.48           0.45           8           21        
  12-31-2012           11.27           0.06           1.73           1.79           (0.09 )         (0.06 )                   (0.15 )         12.91           15.86           0.59           0.53           0.52           8           21        
  12-31-2011           12.32           0.04           (0.92 )         (0.88 )         (0.05 )         (0.12 )                   (0.17 )         11.27           (7.13 )         0.61           0.61           0.33           8           25        
  12-31-2010           10.81           0.04           1.64           1.68           (0.05 )         (0.12 )                   (0.17 )         12.32           15.56           0.55           0.55           0.34           8           19        

SEE NOTES TO FINANCIAL STATEMENTS27

Financial Highlights continued

                                                                                                                                                                                               
  Lifestyle Aggressive Portfolio (continued)
  Per share operating performance for a share outstanding throughout each period     Ratios and supplemental data
        Income (loss) from
investment operations
          Less Distributions           Ratios to average net assets      
  Period ended     Net asset
value,
beginning
of period
($)
    Net
invest-
ment
income
(loss)
($)1,2
    Net
realized
and
unrealized
gain (loss)
on invest-
ments
($)
    Total
from
invest-
ment
operations
($)
    From net
invest-
ment
income
($)
    From net
realized
gain
($)
    From tax
return
of capital
($)
    Total
distribu-
tions
($)
    Net asset
value, end
of period
($)
    Total
return
(%)3,4
    Expenses
before
reductions
(%)5
    Expenses
including
reductions
(%)5
    Net
investment
income
(loss) (%)1
    Net
assets,
end of
period (in
millions)
    Portfolio
turnover
(%)
  CLASS R5                                                                                          
  06-30-20156           16.26           (0.01 )         0.67           0.66                                                   16.92           4.06  7         0.22  8         0.19  8         (0.07 8         12           4  
  12-31-2014           15.92           0.12           0.61           0.73           (0.13 )         (0.26 )                   (0.39 )         16.26           4.56           0.28           0.26           0.75           12           18  
  12-31-2013           12.92           0.12           3.25           3.37           (0.12 )         (0.25 )                   (0.37 )         15.92           26.08           0.25           0.25           0.81           11           21  
  12-31-2012           11.27           0.08           1.75           1.83           (0.12 )         (0.06 )                   (0.18 )         12.92           16.22           0.27           0.26           0.62           9           21  
  12-31-2011           12.31           0.08           (0.91 )         (0.83 )         (0.09 )         (0.12 )                   (0.21 )         11.27           (6.76 )         0.26           0.25           0.67           12           25  
  12-31-2010           10.80           0.08           1.63           1.71           (0.08 )         (0.12 )                   (0.20 )         12.31           15.84           0.26           0.25           0.68           11           19  
  CLASS R6                                                                                          
  06-30-20156           16.23           0.01           0.67           0.68                                                   16.91           4.19  7         0.15  8         0.06  8         0.08  8         21           4  
  12-31-2014           15.89           0.20           0.56           0.76           (0.16 )         (0.26 )                   (0.42 )         16.23           4.76           0.26           0.06           1.24           15           18  
  12-31-2013           12.89           0.18           3.21           3.39           (0.14 )         (0.25 )                   (0.39 )         15.89           26.30           0.38           0.11           1.26           5           21  
  12-31-2012           11.24           0.36           1.49           1.85           (0.14 )         (0.06 )                   (0.20 )         12.89           16.43           2.57           0.11           2.88           2           21  
  12-31-201116           11.68           0.11           (0.33 )         (0.22 )         (0.10 )         (0.12 )                   (0.22 )         11.24           (1.87 7         16.56  8         0.11  8         0.95  7          14         25  17
  CLASS 1                                                                                          
  06-30-20156           16.22           12         0.67           0.67                                                   16.89           4.13  7         0.13  8         0.11  8         0.02  8         3,944           4  
  12-31-2014           15.88           0.14           0.61           0.75           (0.15 )         (0.26 )                   (0.41 )         16.22           4.71           0.13           0.11           0.88           3,937           18  
  12-31-2013           12.89           0.13           3.25           3.38           (0.14 )         (0.25 )                   (0.39 )         15.88           26.23           0.11           0.11           0.91           4,048           21  
  12-31-2012           11.24           0.13           1.72           1.85           (0.14 )         (0.06 )                   (0.20 )         12.89           16.43           0.12           0.11           1.05           3,375           21  
  12-31-2011           12.28           0.10           (0.92 )         (0.82 )         (0.10 )         (0.12 )                   (0.22 )         11.24           (6.66 )         0.11           0.11           0.78           3,164           25  
  12-31-2010           10.77           0.09           1.63           1.72           (0.09 )         (0.12 )                   (0.21 )         12.28           16.01           0.12           0.11           0.79           3,499           19  

                                                                 
1 Recognition of net investment income by the portfolio is affected by the timing and frequency of the declaration of dividends by the underlying funds in which the portfolio invests.
2 Based on average daily shares outstanding.
3 Does not reflect the effect of sales charges, if any.
4 Total returns would have been lower had certain expenses not been reduced during the applicable periods.
5 Ratios do not include expenses indirectly incurred from underlying funds and can vary based on the mix of underlying funds held by the portfolio. The range of expense ratios of the underlying funds held by the portfolio was as follows: 0.65% - 3.11%, 0.67% - 2.85%, 0.69% - 3.11%, 0.73% - 1.48%, 0.48% - 1.40% and 0.48% - 1.39%, for the periods ended 6-30-15, 12-31-14, 12-31-13, 12-31-12, 12-31-11 and 12-31-10, respectively.
6 Six months ended 6-30-15. Unaudited.
7 Not annualized.
8 Annualized.
9 Includes the impact of expense recapture for the following periods ended: 12-31-13: 0.04% of average net assets for Cass B shares. 12-31-12: 0.04% of average net assets for Class B shares. 12-31-11: 0.05% of average net assets for Class B shares. 12-31-10: 0.03%, 0.03%, 0.05%, and 0.05% of average net assets for Class A, Class B, Class C and Class R1 shares, respectively.
10 The inception date for Class I shares is 5-1-15.
11 The portfolio turnover is shown for the period from 1-1-15 to 6-30-15.
12 Less than $0.005 per share.
13 The inception date for Class R2 shares is 3-1-12.
14 Less than $500,000.
15 The portfolio turnover is shown for the period from 1-1-12 to 12-31-12.
16 The inception date for Class R6 shares is 9-1-11.
17 The portfolio turnover is shown for the period from 1-1-11 to 12-31-11.

28SEE NOTES TO FINANCIAL STATEMENTS

                                                                                                                                                                                                     
  Lifestyle Growth Portfolio  
  Per share operating performance for a share outstanding throughout each period     Ratios and supplemental data  
        Income (loss) from
investment operations
          Less Distributions           Ratios to average net assets        
  Period ended     Net asset
value,
beginning
of period
($)
    Net
invest-
ment
income
(loss)
($)1,2
    Net
realized
and
unrealized
gain (loss)
on invest-
ments
($)
    Total
from
invest-
ment
operations
($)
    From net
invest-
ment
income
($)
    From net
realized
gain
($)
    From tax
return
of capital
($)
    Total
distribu-
tions
($)
    Net asset
value, end
of period
($)
    Total
return
(%)3,4
    Expenses
before
reductions
(%)5
    Expenses
including
reductions
(%)5
    Net
investment
income
(loss) (%)1
    Net
assets,
end of
period (in
millions)
    Portfolio
turnover
(%)
 
  CLASS A                                                                                            
  06-30-20156           16.35           0.02           0.50           0.52                                                   16.87           3.18  7         0.51  8         0.47  8         0.18  8         1,632           5        
  12-31-2014           16.09           0.19           0.54           0.73           (0.18 )         (0.29 )                   (0.47 )         16.35           4.48           0.52           0.47           1.14           1,535           16        
  12-31-2013           13.53           0.17           2.78           2.95           (0.17 )         (0.22 )                   (0.39 )         16.09           21.81           0.53           0.52           1.13           1,274           20        
  12-31-2012           11.96           0.17           1.62           1.79           (0.16 )         (0.06 )                   (0.22 )         13.53           15.01           0.57           0.56           1.28           890           23        
  12-31-2011           12.89           0.15           (0.83 )         (0.68 )         (0.14 )         (0.11 )                   (0.25 )         11.96           (5.30 )         0.58           0.57           1.14           699           24        
  12-31-2010           11.50           0.19           1.51           1.70           (0.18 )         (0.13 )                   (0.31 )         12.89           14.77           0.56           0.55           1.58           593           19        
  CLASS B                                                                                            
  06-30-20156           16.39           (0.05 )         0.52           0.47                                                   16.86           2.87  7         1.22  8         1.20  8         (0.56 8         90           5        
  12-31-2014           16.14           0.04           0.56           0.60           (0.06 )         (0.29 )                   (0.35 )         16.39           3.65           1.23           1.21           0.23           100           16        
  12-31-2013           13.57           0.04           2.80           2.84           (0.05 )         (0.22 )                   (0.27 )         16.14           20.93           1.24           1.24           0.29           119           20        
  12-31-2012           12.00           0.06           1.64           1.70           (0.07 )         (0.06 )                   (0.13 )         13.57           14.18           1.28           1.28           0.50           108           23        
  12-31-2011           12.92           0.05           (0.81 )         (0.76 )         (0.05 )         (0.11 )                   (0.16 )         12.00           (5.91 )         1.31  9         1.30           0.37           93           24        
  12-31-2010           11.54           0.08           1.51           1.59           (0.08 )         (0.13 )                   (0.21 )         12.92           13.81           1.36  9         1.35           0.69           89           19        
  CLASS C                                                                                            
  06-30-20156           16.37           (0.05 )         0.52           0.47                                                   16.84           2.87  7         1.22  8         1.19  8         (0.54 8         769           5        
  12-31-2014           16.12           0.06           0.54           0.60           (0.06 )         (0.29 )                   (0.35 )         16.37           3.66           1.22           1.20           0.38           739           16        
  12-31-2013           13.56           0.06           2.77           2.83           (0.05 )         (0.22 )                   (0.27 )         16.12           20.88           1.23           1.23           0.39           646           20        
  12-31-2012           11.99           0.07           1.63           1.70           (0.07 )         (0.06 )                   (0.13 )         13.56           14.21           1.27           1.26           0.52           485           23        
  12-31-2011           12.91           0.05           (0.81 )         (0.76 )         (0.05 )         (0.11 )                   (0.16 )         11.99           (5.90 )         1.28           1.27           0.38           422           24        
  12-31-2010           11.53           0.10           1.51           1.61           (0.10 )         (0.13 )                   (0.23 )         12.91           13.93           1.25           1.25           0.84           404           19        
  CLASS I                                                                                            
  06-30-20156,10           16.97           0.04           (0.19 )         (0.15 )                                                 16.82           (0.88 7         0.19  8         0.17  8         1.50  8         7           5  11      
  CLASS R1                                                                                            
  06-30-20156           16.41           (0.02 )         0.51           0.49                                                   16.90           2.99  7         0.90  8         0.87  8         (0.22 8         22           5        
  12-31-2014           16.15           0.10           0.56           0.66           (0.11 )         (0.29 )                   (0.40 )         16.41           4.04           0.89           0.87           0.62           22           16        
  12-31-2013           13.58           0.10           2.80           2.90           (0.11 )         (0.22 )                   (0.33 )         16.15           21.36           0.88           0.88           0.69           23           20        
  12-31-2012           12.01           0.13           1.63           1.76           (0.13 )         (0.06 )                   (0.19 )         13.58           14.67           0.87           0.86           0.97           19           23        
  12-31-2011           12.95           0.09           (0.81 )         (0.72 )         (0.11 )         (0.11 )                   (0.22 )         12.01           (5.59 )         0.92           0.92           0.70           16           24        
  12-31-2010           11.57           0.15           1.50           1.65           (0.14 )         (0.13 )                   (0.27 )         12.95           14.28           0.87           0.86           1.24           15           19        
  CLASS R2                                                                                            
  06-30-20156           16.27            12         0.51           0.51                                                   16.78           3.13  7         0.64  8         0.61  8         0.05  8         15           5        
  12-31-2014           16.02           0.18           0.51           0.69           (0.15 )         (0.29 )                   (0.44 )         16.27           4.29           0.73           0.62           1.07           12           16        
  12-31-2013           13.47           0.26           2.66           2.92           (0.15 )         (0.22 )                   (0.37 )         16.02           21.67           0.90  9         0.62           1.72           9           20        
  12-31-201213           13.05           0.16           0.48           0.64           (0.16 )         (0.06 )                   (0.22 )         13.47           4.90  7         16.20  8         0.62  8         1.21  7          14         23  15      
  CLASS R3                                                                                            
  06-30-20156           16.33           (0.01 )         0.51           0.50                                                   16.83           3.06  7         0.77  8         0.75  8         (0.10 8         23           5        
  12-31-2014           16.08           0.11           0.55           0.66           (0.12 )         (0.29 )                   (0.41 )         16.33           4.09           0.82           0.80           0.69           23           16        
  12-31-2013           13.52           0.12           2.78           2.90           (0.12 )         (0.22 )                   (0.34 )         16.08           21.45           0.79           0.79           0.79           24           20        
  12-31-2012           11.95           0.11           1.65           1.76           (0.13 )         (0.06 )                   (0.19 )         13.52           14.77           0.81           0.81           0.83           19           23        
  12-31-2011           12.88           0.10           (0.81 )         (0.71 )         (0.11 )         (0.11 )                   (0.22 )         11.95           (5.50 )         0.81           0.81           0.80           22           24        
  12-31-2010           11.50           0.15           1.51           1.66           (0.15 )         (0.13 )                   (0.28 )         12.88           14.46           0.81           0.81           1.24           23           19        
  CLASS R4                                                                                            
  06-30-20156           16.33           0.02           0.52           0.54                                                   16.87           3.31  7         0.48  8         0.36  8         0.27  8         22           5        
  12-31-2014           16.08           0.21           0.52           0.73           (0.19 )         (0.29 )                   (0.48 )         16.33           4.49           0.51           0.39           1.26           29           16        
  12-31-2013           13.51           0.18           2.79           2.97           (0.18 )         (0.22 )                   (0.40 )         16.08           21.99           0.50           0.40           1.20           24           20        
  12-31-2012           11.95           0.16           1.65           1.81           (0.19 )         (0.06 )                   (0.25 )         13.51           15.11           0.50           0.44           1.21           19           23        
  12-31-2011           12.88           0.14           (0.81 )         (0.67 )         (0.15 )         (0.11 )                   (0.26 )         11.95           (5.18 )         0.52           0.52           1.08           17           24        
  12-31-2010           11.50           0.19           1.51           1.70           (0.19 )         (0.13 )                   (0.32 )         12.88           14.80           0.48           0.48           1.57           19           19        

SEE NOTES TO FINANCIAL STATEMENTS29

Financial Highlights continued

                                                                                                                                                                                               
  Lifestyle Growth Portfolio (continued)
  Per share operating performance for a share outstanding throughout each period     Ratios and supplemental data
        Income (loss) from
investment operations
          Less Distributions           Ratios to average net assets      
  Period ended     Net asset
value,
beginning
of period
($)
    Net
invest-
ment
income
(loss)
($)1,2
    Net
realized
and
unrealized
gain (loss)
on invest-
ments
($)
    Total
from
invest-
ment
operations
($)
    From net
invest-
ment
income
($)
    From net
realized
gain
($)
    From tax
return
of capital
($)
    Total
distribu-
tions
($)
    Net asset
value, end
of period
($)
    Total
return
(%)3,4
    Expenses
before
reductions
(%)5
    Expenses
including
reductions
(%)5
    Net
investment
income
(loss) (%)1
    Net
assets,
end of
period (in
millions)
    Portfolio
turnover
(%)
  CLASS R5                                                                                          
  06-30-20156           16.35           0.04           0.51           0.55                                                   16.90           3.36  7         0.17  8         0.15  8         0.50  8         37           5  
  12-31-2014           16.10           0.22           0.55           0.77           (0.23 )         (0.29 )                   (0.52 )         16.35           4.71           0.19           0.17           1.34           38           16  
  12-31-2013           13.52           0.21           2.80           3.01           (0.21 )         (0.22 )                   (0.43 )         16.10           22.29           0.18           0.18           1.40           37           20  
  12-31-2012           11.95           0.21           1.63           1.84           (0.21 )         (0.06 )                   (0.27 )         13.52           15.43           0.18           0.18           1.58           32           23  
  12-31-2011           12.88           0.19           (0.82 )         (0.63 )         (0.19 )         (0.11 )                   (0.30 )         11.95           (4.92 )         0.21           0.20           1.49           26           24  
  12-31-2010           11.50           0.21           1.52           1.73           (0.22 )         (0.13 )                   (0.35 )         12.88           15.06           0.21           0.21           1.80           22           19  
  CLASS R6                                                                                          
  06-30-20156           16.28           0.05           0.51           0.56                                                   16.84           3.44  7         0.12  8         0.06  8         0.60  8         47           5  
  12-31-2014           16.03           0.30           0.49           0.79           (0.25 )         (0.29 )                   (0.54 )         16.28           4.86           0.17           0.06           1.81           37           16  
  12-31-2013           13.47           0.29           2.71           3.00           (0.22 )         (0.22 )                   (0.44 )         16.03           22.31           0.19           0.11           1.95           19           20  
  12-31-2012           11.90           0.58           1.27           1.85           (0.22 )         (0.06 )                   (0.28 )         13.47           15.60           2.23           0.11           4.39           3           23  
  12-31-201116           12.34           0.19           (0.32 )         (0.13 )         (0.20 )         (0.11 )                   (0.31 )         11.90           (1.07 7         15.94  8         0.10  8         1.58  7          14         24  17
  CLASS 1                                                                                          
  06-30-20156           16.28           0.05           0.51           0.56                                                   16.84           3.44  7         0.13  8         0.11  8         0.54  8         11,513           5  
  12-31-2014           16.03           0.23           0.55           0.78           (0.24 )         (0.29 )                   (0.53 )         16.28           4.80           0.13           0.11           1.41           11,576           16  
  12-31-2013           13.47           0.22           2.78           3.00           (0.22 )         (0.22 )                   (0.44 )         16.03           22.31           0.11           0.11           1.45           11,766           20  
  12-31-2012           11.91           0.21           1.63           1.84           (0.22 )         (0.06 )                   (0.28 )         13.47           15.50           0.11           0.11           1.64           10,106           23  
  12-31-2011           12.84           0.19           (0.81 )         (0.62 )         (0.20 )         (0.11 )                   (0.31 )         11.91           (4.84 )         0.11           0.11           1.50           9,411           24  
  12-31-2010           11.45           0.23           1.52           1.75           (0.23 )         (0.13 )                   (0.36 )         12.84           15.30           0.11           0.11           1.92           10,305           19  
  CLASS 5                                                                                          
  06-30-20156           16.26           0.05           0.51           0.56                                                   16.82           3.44  7         0.08  8         0.06 8          0.59  8         250           5  
  12-31-2014           16.01           0.25           0.54           0.79           (0.25 )         (0.29 )                   (0.54 )         16.26           4.86           0.08           0.06           1.53           233           16  
  12-31-2013           13.46           0.24           2.76           3.00           (0.23 )         (0.22 )                   (0.45 )         16.01           22.31           0.06           0.06           1.60           201           20  
  12-31-2012           11.90           0.23           1.62           1.85           (0.23 )         (0.06 )                   (0.29 )         13.46           15.57           0.06           0.06           1.78           142           23  
  12-31-2011           12.82           0.21           (0.81 )         (0.60 )         (0.21 )         (0.11 )                   (0.32 )         11.90           (4.72 )         0.06           0.06           1.63           111           24  
  12-31-2010           11.44           0.25           1.50           1.75           (0.24 )         (0.13 )                   (0.37 )         12.82           15.28           0.06           0.06           2.07           98           19  

                                                                 
1 Recognition of net investment income by the portfolio is affected by the timing and frequency of the declaration of dividends by the underlying funds in which the portfolio invests.
2 Based on average daily shares outstanding.
3 Does not reflect the effect of sales charges, if any.
4 Total returns would have been lower had certain expenses not been reduced during the applicable periods.
5 Ratios do not include expenses indirectly incurred from underlying funds and can vary based on the mix of the underlying funds held by the portfolio. The range of expense ratio of the underlying funds held by the portfolio was as follows: 0.55% - 3.11%, 0.55% - 2.85%, 0.63%-3.11%, 0.63%-1.48%, 0.48%-1.40% and 0.48%-1.39% for the periods ended 6-30-15, 12-31-14, 12-31-13, 12-31-12, 12-31-11 and 12-31-10, respectively.
6 Six months ended 6-30-15. Unaudited.
7 Not annualized.
8 Annualized.
9 Includes the impact of expense recapture for the following periods ended: 12-31-13: 0.01% of average net assets for Class R2 shares. 12-31-11: 0.02% of average net assets for Class B shares. 12-31-10: 0.07% of average net assets for Class B shares.
10 The inception date for Class I shares is 5-1-15.
11 The portfolio turnover is shown for the period from 1-1-15 to 6-30-15.
12 Less than $0.005 per share.
13 The inception date for Class R2 shares is 3-1-12.
14 Less than $500,000.
15 The portfolio turnover is shown for the period from 1-1-12 to 12-31-12.
16 The inception date for Class R6 shares is 9-1-11.
17 The portfolio turnover is shown for the period from 1-1-11 to 12-31-11.

30SEE NOTES TO FINANCIAL STATEMENTS

                                                                                                                                                                                                     
  Lifestyle Balanced Portfolio  
  Per share operating performance for a share outstanding throughout each period     Ratios and supplemental data  
        Income (loss) from
investment operations
          Less Distributions           Ratios to average net assets        
  Period ended     Net asset
value,
beginning
of period
($)
    Net
invest-
ment
income
(loss)
($)1,2
    Net
realized
and
unrealized
gain (loss)
on invest-
ments
($)
    Total
from
invest-
ment
operations
($)
    From net
invest-
ment
income
($)
    From net
realized
gain
($)
    From tax
return
of capital
($)
    Total
distribu-
tions
($)
    Net asset
value, end
of period
($)
    Total
return
(%)3,4
    Expenses
before
reductions
(%)5
    Expenses
including
reductions
(%)5
    Net
investment
income
(loss) (%)1
    Net
assets,
end of
period (in
millions)
    Portfolio
turnover
(%)
 
  CLASS A                                                                                            
  06-30-20156           15.55           0.06           0.32           0.38           (0.06 )                             (0.06 )         15.87           2.44  7         0.52  8         0.47  8         0.78  8         1,883           4        
  12-31-2014           15.36           0.28           0.34           0.62           (0.27 )         (0.16 )                   (0.43 )         15.55           4.00           0.52           0.47           1.77           1,786           15        
  12-31-2013           13.61           0.25           1.89           2.14           (0.24 )         (0.15 )                   (0.39 )         15.36           15.76           0.53           0.51           1.69           1,461           19        
  12-31-2012           12.26           0.26           1.40           1.66           (0.24 )         (0.07 )                   (0.31 )         13.61           13.59           0.56           0.56           1.96           1,043           20        
  12-31-2011           12.96           0.28           (0.62 )         (0.34 )         (0.26 )         (0.10 )                   (0.36 )         12.26           (2.62 )         0.57           0.57           2.17           751           23        
  12-31-2010           11.85           0.31           1.23           1.54           (0.30 )         (0.13 )                   (0.43 )         12.96           13.13           0.54           0.54           2.55           588           19        
  CLASS B                                                                                            
  06-30-20156           15.54            9         0.32           0.32            9                             9         15.86           2.08  7         1.22  8         1.20  8         0.03  8         90           4        
  12-31-2014           15.35           0.13           0.37           0.50           (0.15 )         (0.16 )                   (0.31 )         15.54           3.21           1.24           1.22           0.85           98           15        
  12-31-2013           13.61           0.12           1.90           2.02           (0.13 )         (0.15 )                   (0.28 )         15.35           14.84           1.28           1.28           0.81           116           19        
  12-31-2012           12.26           0.16           1.41           1.57           (0.15 )         (0.07 )                   (0.22 )         13.61           12.80           1.29           1.28           1.18           107           20        
  12-31-2011           12.96           0.18           (0.61 )         (0.43 )         (0.17 )         (0.10 )                   (0.27 )         12.26           (3.30 )         1.29           1.29           1.41           85           23        
  12-31-2010           11.85           0.20           1.24           1.44           (0.20 )         (0.13 )                   (0.33 )         12.96           12.23           1.31  10         1.31           1.67           74           19        
  CLASS C                                                                                            
  06-30-20156           15.55            9         0.33           0.33            9                             9         15.88           2.14  7         1.22  8         1.19  8         0.05  8         924           4        
  12-31-2014           15.37           0.16           0.33           0.49           (0.15 )         (0.16 )                   (0.31 )         15.55           3.18           1.22           1.20           1.00           892           15        
  12-31-2013           13.62           0.14           1.89           2.03           (0.13 )         (0.15 )                   (0.28 )         15.37           14.93           1.23           1.23           0.96           767           19        
  12-31-2012           12.27           0.16           1.41           1.57           (0.15 )         (0.07 )                   (0.22 )         13.62           12.81           1.26           1.26           1.19           579           20        
  12-31-2011           12.97           0.18           (0.61 )         (0.43 )         (0.17 )         (0.10 )                   (0.27 )         12.27           (3.29 )         1.27           1.27           1.37           484           23        
  12-31-2010           11.86           0.22           1.23           1.45           (0.21 )         (0.13 )                   (0.34 )         12.97           12.34           1.24           1.24           1.82           448           19        
  CLASS I                                                                                            
  06-30-20156,11           16.00           0.07           (0.24 )         (0.17 )         (0.04 )                             (0.04 )         15.79           (1.04 )         0.19           0.17           2.67           4           4  12      
  CLASS R1                                                                                            
  06-30-20156           15.48           0.03           0.32           0.35           (0.03 )                             (0.03 )         15.80           2.26  7         0.89  8         0.87  8         0.37  8         18           4        
  12-31-2014           15.30           0.19           0.35           0.54           (0.20 )         (0.16 )                   (0.36 )         15.48           3.52           0.92           0.91           1.22           20           15        
  12-31-2013           13.57           0.18           1.88           2.06           (0.18 )         (0.15 )                   (0.33 )         15.30           15.23           0.90           0.90           1.21           19           19        
  12-31-2012           12.22           0.20           1.42           1.62           (0.20 )         (0.07 )                   (0.27 )         13.57           13.29           0.86           0.86           1.52           17           20        
  12-31-2011           12.92           0.22           (0.60 )         (0.38 )         (0.22 )         (0.10 )                   (0.32 )         12.22           (2.94 )         0.94           0.94           1.68           16           23        
  12-31-2010           11.82           0.26           1.23           1.49           (0.26 )         (0.13 )                   (0.39 )         12.92           12.75           0.88           0.88           2.17           15           19        
  CLASS R2                                                                                            
  06-30-20156           15.48           0.05           0.31           0.36           (0.05 )                             (0.05 )         15.79           2.33  7         0.65  8         0.61  8         0.66  8         14           4        
  12-31-2014           15.29           0.29           0.30           0.59           (0.24 )         (0.16 )                   (0.40 )         15.48           3.87           0.79           0.62           1.86           10           15        
  12-31-2013           13.56           0.34           1.76           2.10           (0.22 )         (0.15 )                   (0.37 )         15.29           15.59           1.09  10         0.62           2.30           5           19        
  12-31-201213           13.15           0.24           0.48           0.72           (0.24 )         (0.07 )                   (0.31 )         13.56           5.48  7         16.33  8         0.61  8         1.78  7          14         20  15      
  CLASS R3                                                                                            
  06-30-20156           15.51           0.04           0.32           0.36           (0.04 )                             (0.04 )         15.83           2.31  7         0.77  8         0.75  8         0.49  8         28           4        
  12-31-2014           15.33           0.20           0.36           0.56           (0.22 )         (0.16 )                   (0.38 )         15.51           3.64           0.80           0.78           1.27           30           15        
  12-31-2013           13.59           0.19           1.90           2.09           (0.20 )         (0.15 )                   (0.35 )         15.33           15.43           0.77           0.77           1.31           35           19        
  12-31-2012           12.24           0.21           1.42           1.63           (0.21 )         (0.07 )                   (0.28 )         13.59           13.38           0.78           0.77           1.62           33           20        
  12-31-2011           12.94           0.23           (0.59 )         (0.36 )         (0.24 )         (0.10 )                   (0.34 )         12.24           (2.82 )         0.79           0.78           1.79           36           23        
  12-31-2010           11.83           0.28           1.23           1.51           (0.27 )         (0.13 )                   (0.40 )         12.94           12.89           0.79           0.79           2.28           39           19        
  CLASS R4                                                                                            
  06-30-20156           15.52           0.07           0.32           0.39           (0.07 )                             (0.07 )         15.84           2.50  7         0.47  8         0.35  8         0.83  8         25           4        
  12-31-2014           15.33           0.28           0.35           0.63           (0.28 )         (0.16 )                   (0.44 )         15.52           4.12           0.49           0.37           1.78           40           15        
  12-31-2013           13.59           0.26           1.89           2.15           (0.26 )         (0.15 )                   (0.41 )         15.33           15.90           0.46           0.35           1.76           77           19        
  12-31-2012           12.24           0.28           1.40           1.68           (0.26 )         (0.07 )                   (0.33 )         13.59           13.77           0.46           0.39           2.10           70           20        
  12-31-2011           12.94           0.28           (0.60 )         (0.32 )         (0.28 )         (0.10 )                   (0.38 )         12.24           (2.52 )         0.50           0.50           2.13           26           23        
  12-31-2010           11.84           0.31           1.23           1.54           (0.31 )         (0.13 )                   (0.44 )         12.94           13.19           0.45           0.45           2.53           29           19        

SEE NOTES TO FINANCIAL STATEMENTS31

Financial Highlights continued

                                                                                                                                                                                               
  Lifestyle Balanced Portfolio (continued)
  Per share operating performance for a share outstanding throughout each period     Ratios and supplemental data
        Income (loss) from
investment operations
          Less Distributions           Ratios to average net assets      
  Period ended     Net asset
value,
beginning
of period
($)
    Net
invest-
ment
income
(loss)
($)1,2
    Net
realized
and
unrealized
gain (loss)
on invest-
ments
($)
    Total
from
invest-
ment
operations
($)
    From net
invest-
ment
income
($)
    From net
realized
gain
($)
    From tax
return
of capital
($)
    Total
distribu-
tions
($)
    Net asset
value, end
of period
($)
    Total
return
(%)3,4
    Expenses
before
reductions
(%)5
    Expenses
including
reductions
(%)5
    Net
investment
income
(loss) (%)1
    Net
assets,
end of
period (in
millions)
    Portfolio
turnover
(%)
  CLASS R5                                                                                          
  06-30-20156           15.53           0.09           0.32           0.41           (0.08 )                             (0.08 )         15.86           2.66  7         0.17  8         0.14  8         1.09  8         40           4  
  12-31-2014           15.35           0.31           0.34           0.65           (0.31 )         (0.16 )                   (0.47 )         15.53           4.25           0.19           0.17           1.96           41           15  
  12-31-2013           13.60           0.28           1.91           2.19           (0.29 )         (0.15 )                   (0.44 )         15.35           16.20           0.17           0.17           1.93           41           19  
  12-31-2012           12.26           0.28           1.42           1.70           (0.29 )         (0.07 )                   (0.36 )         13.60           13.96           0.17           0.17           2.13           39           20  
  12-31-2011           12.96           0.31           (0.60 )         (0.29 )         (0.31 )         (0.10 )                   (0.41 )         12.26           (2.23 )         0.18           0.18           2.42           42           23  
  12-31-2010           11.85           0.35           1.23           1.58           (0.34 )         (0.13 )                   (0.47 )         12.96           13.52           0.18           0.18           2.89           38           19  
  CLASS R6                                                                                          
  06-30-20156           15.47           0.10           0.31           0.41           (0.09 )                             (0.09 )         15.79           2.67  7         0.12  8         0.06  8         1.24  8         63           4  
  12-31-2014           15.29           0.36           0.31           0.67           (0.33 )         (0.16 )                   (0.49 )         15.47           4.38           0.16           0.06           2.29           39           15  
  12-31-2013           13.55           0.36           1.83           2.19           (0.30 )         (0.15 )                   (0.45 )         15.29           16.26           0.17           0.11           2.49           21           19  
  12-31-2012           12.21           0.46           1.25           1.71           (0.30 )         (0.07 )                   (0.37 )         13.55           14.09           1.15           0.11           3.50           5           20  
  12-31-201116           12.56           0.21           (0.24 )         (0.03 )         (0.22 )         (0.10 )                   (0.32 )         12.21           (0.22 7         16.36  8         0.10  8         1.69  7          14         23  17
  CLASS 1                                                                                          
  06-30-20156           15.46           0.09           0.32           0.41           (0.09 )                             (0.09 )         15.78           2.64  7         0.13  8         0.11  8         1.13  8         11,835           4  
  12-31-2014           15.28           0.32           0.34           0.66           (0.32 )         (0.16 )                   (0.48 )         15.46           4.33           0.13           0.11           2.02           12,041           15  
  12-31-2013           13.55           0.29           1.89           2.18           (0.30 )         (0.15 )                   (0.45 )         15.28           16.18           0.11           0.11           2.00           12,284           19  
  12-31-2012           12.21           0.30           1.41           1.71           (0.30 )         (0.07 )                   (0.37 )         13.55           14.09           0.11           0.11           2.31           10,974           20  
  12-31-2011           12.90           0.32           (0.59 )         (0.27 )         (0.32 )         (0.10 )                   (0.42 )         12.21           (2.10 )         0.11           0.11           2.49           9,822           23  
  12-31-2010           11.80           0.35           1.23           1.58           (0.35 )         (0.13 )                   (0.48 )         12.90           13.57           0.11           0.11           2.88           10,003           19  
  CLASS 5                                                                                          
  06-30-20156           15.47           0.09           0.32           0.41           (0.09 )                             (0.09 )         15.79           2.67  7         0.08  8         0.06  8         1.19  8         147           4  
  12-31-2014           15.29           0.34           0.33           0.67           (0.33 )         (0.16 )                   (0.49 )         15.47           4.38           0.08           0.06           2.14           139           15  
  12-31-2013           13.55           0.31           1.89           2.20           (0.31 )         (0.15 )                   (0.46 )         15.29           16.31           0.06           0.06           2.15           118           19  
  12-31-2012           12.21           0.33           1.39           1.72           (0.31 )         (0.07 )                   (0.38 )         13.55           14.14           0.06           0.06           2.49           85           20  
  12-31-2011           12.91           0.34           (0.61 )         (0.27 )         (0.33 )         (0.10 )                   (0.43 )         12.21           (2.13 )         0.06           0.06           2.65           60           23  
  12-31-2010           11.80           0.37           1.23           1.60           (0.36 )         (0.13 )                   (0.49 )         12.91           13.71           0.06           0.06           3.07           49           19  

                                                                 
1 Recognition of net investment income by the portfolio is affected by the timing and frequency of the declaration of dividends by the underlying funds in which the portfolio invests.
2 Based on average daily shares outstanding.
3 Does not reflect the effect of sales charges, if any.
4 Total returns would have been lower had certain expenses not been reduced during the applicable periods.
5 Ratios do not include expenses indirectly incurred from underlying funds and can vary based on the mix of underlying funds held by the portfolio. The range of expense ratios of the underlying funds held by the portfolio was as follows: 0.55% - 3.11%, 0.55% - 2.85%, 0.62% - 3.11%, 0.63% - 1.48%, 0.48% - 1.40% and 0.48% - 1.39%, for the periods ended 6-30-14, 12-31-14, 12-31-13, 12-31-12, 12-31-11 and 12-31-10, respectively.
6 Six months ended 6-30-15. Unaudited.
7 Not annualized.
8 Annualized.
9 Less than $0.005 per share.
10 Includes the impact of expense recapture for the following periods ended: 12-31-13: 0.005% of average net assets for R2. 12-31-10: 0.03% of average net assets for Class B shares.
11 The inception date for Class I shares is 5-1-15.
12 The portfolio turnover is shown for the period from 1-1-15 to 6-30-15.
13 The inception date for Class R2 shares is 3-1-12.
14 Less than $500,000.
15 The portfolio turnover is shown for the period from 1-1-12 to 12-31-12.
16 The inception date for Class R6 shares is 9-1-11.
17 The portfolio turnover is shown for the period from 1-1-11 to 12-31-11.

32SEE NOTES TO FINANCIAL STATEMENTS

                                                                                                                                                                                                     
  Lifestyle Moderate Portfolio  
  Per share operating performance for a share outstanding throughout each period     Ratios and supplemental data  
        Income (loss) from
investment operations
          Less Distributions           Ratios to average net assets        
  Period ended     Net asset
value,
beginning
of period
($)
    Net
invest-
ment
income
(loss)
($)1,2
    Net
realized
and
unrealized
gain (loss)
on invest-
ments
($)
    Total
from
invest-
ment
operations
($)
    From net
invest-
ment
income
($)
    From net
realized
gain
($)
    From tax
return
of capital
($)
    Total
distribu-
tions
($)
    Net asset
value, end
of period
($)
    Total
return
(%)3,4
    Expenses
before
reductions
(%)5
    Expenses
including
reductions
(%)5
    Net
investment
income
(loss) (%)1
    Net
assets,
end of
period (in
millions)
    Portfolio
turnover
(%)
 
  CLASS A                                                                                            
  06-30-20156           14.11           0.10           0.09           0.19           (0.09 )                             (0.09 )         14.21           1.37  7         0.51  8         0.47  8         1.33  8         687           4        
  12-31-2014           14.29           0.35           0.17           0.52           (0.33 )         (0.37 )                   (0.70 )         14.11           3.63           0.52           0.47           2.36           662           14        
  12-31-2013           13.35           0.31           1.02           1.33           (0.30 )         (0.09 )                   (0.39 )         14.29           10.05           0.53           0.52           2.22           551           17        
  12-31-2012           12.28           0.33           1.13           1.46           (0.31 )         (0.08 )                   (0.39 )         13.35           11.94           0.57           0.57           2.50           399           18        
  12-31-2011           12.63           0.38           (0.29 )         0.09           (0.35 )         (0.09 )                   (0.44 )         12.28           0.73           0.58           0.58           2.96           299           19        
  12-31-2010           11.77           0.41           0.97           1.38           (0.39 )         (0.13 )                   (0.52 )         12.63           11.85           0.55           0.55           3.37           220           20        
  CLASS B                                                                                            
  06-30-20156           14.10           0.04           0.10           0.14           (0.04 )                             (0.04 )         14.20           1.00  7         1.23  8         1.22  8         0.56  8         35           4        
  12-31-2014           14.28           0.21           0.20           0.41           (0.22 )         (0.37 )                   (0.59 )         14.10           2.84           1.25           1.24           1.43           39           14        
  12-31-2013           13.34           0.19           1.04           1.23           (0.20 )         (0.09 )                   (0.29 )         14.28           9.23           1.26           1.25           1.36           45           17        
  12-31-2012           12.27           0.23           1.14           1.37           (0.22 )         (0.08 )                   (0.30 )         13.34           11.14           1.30           1.30           1.74           45           18        
  12-31-2011           12.63           0.28           (0.29 )         (0.01 )         (0.26 )         (0.09 )                   (0.35 )         12.27           (0.08 )         1.32           1.32           2.22           35           19        
  12-31-2010           11.76           0.30           0.99           1.29           (0.29 )         (0.13 )                   (0.42 )         12.63           11.05           1.34  9         1.34           2.50           26           20        
  CLASS C                                                                                            
  06-30-20156           14.11           0.04           0.11           0.15           (0.04 )                             (0.04 )         14.22           1.07  7         1.21  8         1.20  8         0.61  8         415           4        
  12-31-2014           14.30           0.23           0.17           0.40           (0.22 )         (0.37 )                   (0.59 )         14.11           2.79           1.22           1.21           1.59           411           14        
  12-31-2013           13.35           0.20           1.04           1.24           (0.20 )         (0.09 )                   (0.29 )         14.30           9.34           1.23           1.23           1.47           366           17        
  12-31-2012           12.28           0.23           1.14           1.37           (0.22 )         (0.08 )                   (0.30 )         13.35           11.17           1.27           1.27           1.77           288           18        
  12-31-2011           12.64           0.28           (0.29 )         (0.01 )         (0.26 )         (0.09 )                   (0.35 )         12.28           (0.05 )         1.28           1.28           2.21           227           19        
  12-31-2010           11.77           0.32           0.98           1.30           (0.30 )         (0.13 )                   (0.43 )         12.64           11.15           1.25           1.25           2.67           183           20        
  CLASS I                                                                                            
  06-30-20156,10           14.42           0.11           (0.30 )         (0.19 )         (0.06 )                             (0.06 )         14.17           (1.31 )         0.19           0.17           4.89           2           4  11      
  CLASS R1                                                                                            
  06-30-20156           14.09           0.06           0.10           0.16           (0.06 )                             (0.06 )         14.19           1.16  7         0.91  8         0.90  8         0.90  8         8           4        
  12-31-2014           14.28           0.24           0.20           0.44           (0.26 )         (0.37 )                   (0.63 )         14.09           3.07           1.01           1.00           1.65           8           14        
  12-31-2013           13.35           0.23           1.04           1.27           (0.25 )         (0.09 )                   (0.34 )         14.28           9.55           0.94           0.94           1.68           10           17        
  12-31-2012           12.27           0.27           1.15           1.42           (0.26 )         (0.08 )                   (0.34 )         13.35           11.58           0.96           0.96           2.10           10           18        
  12-31-2011           12.63           0.30           (0.27 )         0.03           (0.30 )         (0.09 )                   (0.39 )         12.27           0.21           1.03           1.03           2.32           7           19        
  12-31-2010           11.76           0.33           1.00           1.33           (0.33 )         (0.13 )                   (0.46 )         12.63           11.45           0.98  9         0.98           2.72           7           20        
  CLASS R2                                                                                            
  06-30-20156           14.06           0.09           0.11           0.20           (0.09 )                             (0.09 )         14.17           1.39  7         0.69  8         0.62  8         1.26  8         7           4        
  12-31-2014           14.25           0.36           0.13           0.49           (0.31 )         (0.37 )                   (0.68 )         14.06           3.41           1.02           0.62           2.50           4           14        
  12-31-2013           13.32           0.39           0.92           1.31           (0.29 )         (0.09 )                   (0.38 )         14.25           9.92           1.68  9         0.62           2.82           2           17        
  12-31-201212           12.96           0.30           0.45           0.75           (0.31 )         (0.08 )                   (0.39 )         13.32           5.80  7         16.03  8         0.62  8         2.29  7          13         18  14      
  CLASS R3                                                                                            
  06-30-20156           14.08           0.07           0.11           0.18           (0.07 )                             (0.07 )         14.19           1.29  7         0.80  8         0.79  8         1.00  8         10           4        
  12-31-2014           14.27           0.27           0.19           0.46           (0.28 )         (0.37 )                   (0.65 )         14.08           3.16           0.89           0.87           1.82           10           14        
  12-31-2013           13.33           0.25           1.04           1.29           (0.26 )         (0.09 )                   (0.35 )         14.27           9.70           0.84           0.84           1.82           11           17        
  12-31-2012           12.26           0.27           1.16           1.43           (0.28 )         (0.08 )                   (0.36 )         13.33           11.64           0.88           0.88           2.08           10           18        
  12-31-2011           12.62           0.32           (0.27 )         0.05           (0.32 )         (0.09 )                   (0.41 )         12.26           0.38           0.88           0.88           2.54           10           19        
  12-31-2010           11.76           0.35           0.99           1.34           (0.35 )         (0.13 )                   (0.48 )         12.62           11.56           0.87           0.87           2.87           10           20        
  CLASS R4                                                                                            
  06-30-20156           14.06           0.10           0.10           0.20           (0.10 )                             (0.10 )         14.16           1.42  7         0.50  8         0.39  8         1.39  8         13           4        
  12-31-2014           14.25           0.34           0.18           0.52           (0.34 )         (0.37 )                   (0.71 )         14.06           3.60           0.57           0.45           2.36           14           14        
  12-31-2013           13.31           0.31           1.03           1.34           (0.31 )         (0.09 )                   (0.40 )         14.25           10.17           0.55           0.44           2.19           13           17        
  12-31-2012           12.24           0.33           1.14           1.47           (0.32 )         (0.08 )                   (0.40 )         13.31           12.02           0.57           0.51           2.51           11           18        
  12-31-2011           12.60           0.36           (0.28 )         0.08           (0.35 )         (0.09 )                   (0.44 )         12.24           0.65           0.63           0.63           2.81           8           19        
  12-31-2010           11.74           0.40           0.97           1.37           (0.38 )         (0.13 )                   (0.51 )         12.60           11.84           0.60  9         0.60           3.30           7           20        

SEE NOTES TO FINANCIAL STATEMENTS33

Financial Highlights continued

                                                                                                                                                                                               
  Lifestyle Moderate Portfolio (continued)
  Per share operating performance for a share outstanding throughout each period     Ratios and supplemental data
        Income (loss) from
investment operations
          Less Distributions           Ratios to average net assets      
  Period ended     Net asset
value,
beginning
of period
($)
    Net
invest-
ment
income
(loss)
($)1,2
    Net
realized
and
unrealized
gain (loss)
on invest-
ments
($)
    Total
from
invest-
ment
operations
($)
    From net
invest-
ment
income
($)
    From net
realized
gain
($)
    From tax
return
of capital
($)
    Total
distribu-
tions
($)
    Net asset
value, end
of period
($)
    Total
return
(%)3,4
    Expenses
before
reductions
(%)5
    Expenses
including
reductions
(%)5
    Net
investment
income
(loss) (%)1
    Net
assets,
end of
period (in
millions)
    Portfolio
turnover
(%)
  CLASS R5                                                                                          
  06-30-20156           14.07           0.11           0.11           0.22           (0.11 )                             (0.11 )         14.18           1.59  7         0.21  8         0.19  8         1.61  8         12           4  
  12-31-2014           14.26           0.36           0.18           0.54           (0.36 )         (0.37 )                   (0.73 )         14.07           3.78           0.27           0.26           2.45           12           14  
  12-31-2013           13.32           0.35           1.02           1.37           (0.34 )         (0.09 )                   (0.43 )         14.26           10.39           0.25           0.25           2.53           13           17  
  12-31-2012           12.26           0.31           1.19           1.50           (0.36 )         (0.08 )                   (0.44 )         13.32           12.26           0.27           0.27           2.41           9           18  
  12-31-2011           12.62           0.41           (0.28 )         0.13           (0.40 )         (0.09 )                   (0.49 )         12.26           1.00           0.24           0.24           3.21           15           19  
  12-31-2010           11.75           0.46           0.97           1.43           (0.43 )         (0.13 )                   (0.56 )         12.62           12.35           0.24           0.24           3.75           11           20  
  CLASS R6                                                                                          
  06-30-20156           14.05           0.13           0.10           0.23           (0.12 )                             (0.12 )         14.16           1.66  7         0.13  8         0.06  8         1.80  8         28           4  
  12-31-2014           14.24           0.42           0.15           0.57           (0.39 )         (0.37 )                   (0.76 )         14.05           3.99           0.21           0.06           2.90           20           14  
  12-31-2013           13.31           0.45           0.93           1.38           (0.36 )         (0.09 )                   (0.45 )         14.24           10.49           0.32           0.11           3.22           11           17  
  12-31-2012           12.24           0.62           0.90           1.52           (0.37 )         (0.08 )                   (0.45 )         13.31           12.50           4.79           0.11           4.66           2           18  
  12-31-201115           12.51           0.24           (0.17 )         0.07           (0.25 )         (0.09 )                   (0.34 )         12.24           0.60  7         16.24  8         0.11  8         1.94  7          13         19  16
  CLASS 1                                                                                          
  06-30-20156           14.07           0.12           0.11           0.23           (0.12 )                             (0.12 )         14.18           1.63  7         0.12  8         0.11  8         1.68  8         3,320           4  
  12-31-2014           14.26           0.38           0.18           0.56           (0.38 )         (0.37 )                   (0.75 )         14.07           3.93           0.12           0.11           2.62           3,455           14  
  12-31-2013           13.32           0.35           1.04           1.39           (0.36 )         (0.09 )                   (0.45 )         14.26           10.55           0.11           0.11           2.51           3,562           17  
  12-31-2012           12.25           0.37           1.15           1.52           (0.37 )         (0.08 )                   (0.45 )         13.32           12.49           0.11           0.11           2.87           3,414           18  
  12-31-2011           12.61           0.41           (0.27 )         0.14           (0.41 )         (0.09 )                   (0.50 )         12.25           1.12           0.11           0.11           3.26           3,057           19  
  12-31-2010           11.74           0.44           1.00           1.44           (0.44 )         (0.13 )                   (0.57 )         12.61           12.43           0.11           0.11           3.66           3,026           20  
  CLASS 5                                                                                          
  06-30-20156           14.06           0.12           0.10           0.22           (0.12 )                             (0.12 )         14.16           1.58  7         0.08  8         0.06  8         1.75  8         54           4  
  12-31-2014           14.24           0.40           0.18           0.58           (0.39 )         (0.37 )                   (0.76 )         14.06           4.06           0.07           0.06           2.72           52           14  
  12-31-2013           13.31           0.36           1.03           1.39           (0.37 )         (0.09 )                   (0.46 )         14.24           10.54           0.06           0.06           2.62           48           17  
  12-31-2012           12.24           0.39           1.14           1.53           (0.38 )         (0.08 )                   (0.46 )         13.31           12.56           0.06           0.06           3.03           39           18  
  12-31-2011           12.60           0.44           (0.29 )         0.15           (0.42 )         (0.09 )                   (0.51 )         12.24           1.17           0.06           0.06           3.43           27           19  
  12-31-2010           11.73           0.47           0.97           1.44           (0.44 )         (0.13 )                   (0.57 )         12.60           12.50           0.06           0.06           3.87           22           20  

                                                                 
1 Recognition of net investment income by the portfolio is affected by the timing and frequency of the declaration of dividends by the underlying funds in which the portfolio invests.
2 Based on average daily shares outstanding.
3 Does not reflect the effect of sales charges, if any.
4 Total returns would have been lower had certain expenses not been reduced during the applicable periods.
5 Ratios do not include expenses indirectly incurred from underlying funds and can vary based on the mix of the underlying funds held by the portfolio. The range of expense ratio of the underlying funds held by the portfolio was as follows: 0.55% - 3.11%, 0.55% - 2.85%, 0.62%-3.11%, 0.63%-1.48%, 0.48%-1.40% and 0.48%-1.14% for the periods ended 6-30-15, 12-31-14, 12-31-13, 12-31-12, 12-31-11 and 12-31-10, respectively.
6 Six months ended 6-30-15. Unaudited.
7 Not annualized.
8 Annualized.
9 Includes the impact of expense recapture for the following periods ended: 12-31-13: 0.01% of average net assets for Class R2 shares. 12-31-10: 0.04%, 0.05% and 0.02%, for Class B, Class R1, and Class R4 shares, respectively, of average net assets.
10 The inception date for Class I shares is 5-1-15.
11 The portfolio turnover is shown for the period from 1-1-15 to 6-30-15.
12 The inception date for Class R2 shares is 3-1-12.
13 Less than $500,000.
14 The portfolio turnover is shown for the period from 1-1-12 to 12-31-12.
15 The inception date for Class R6 shares is 9-1-11.
16 The portfolio turnover is shown for the period from 1-1-11 to 12-31-11.

34SEE NOTES TO FINANCIAL STATEMENTS

                                                                                                                                                                                                     
  Lifestyle Conservative Portfolio  
  Per share operating performance for a share outstanding throughout each period     Ratios and supplemental data  
        Income (loss) from
investment operations
          Less Distributions           Ratios to average net assets        
  Period ended     Net asset
value,
beginning
of period
($)
    Net
invest-
ment
income
(loss)
($)1,2
    Net
realized
and
unrealized
gain (loss)
on invest-
ments
($)
    Total
from
invest-
ment
operations
($)
    From net
invest-
ment
income
($)
    From net
realized
gain
($)
    From tax
return
of capital
($)
    Total
distribu-
tions
($)
    Net asset
value, end
of period
($)
    Total
return
(%)3,4
    Expenses
before
reductions
(%)5
    Expenses
including
reductions
(%)5
    Net
investment
income
(loss) (%)1
    Net
assets,
end of
period (in
millions)
    Portfolio
turnover
(%)
 
  CLASS A                                                                                            
  06-30-20156           13.30           0.11           (0.04 )         0.07           (0.11 )                             (0.11 )         13.26           0.49  7         0.51  8         0.47  8         1.59  8         602           4        
  12-31-2014           13.68           0.37           0.10           0.47           (0.37 )         (0.48 )                   (0.85 )         13.30           3.44           0.53           0.47           2.67           600           22        
  12-31-2013           13.44           0.33           0.29           0.62           (0.33 )         (0.05 )                   (0.38 )         13.68           4.66           0.54           0.52           2.44           530           17        
  12-31-2012           12.63           0.38           0.88           1.26           (0.37 )         (0.08 )                   (0.45 )         13.44           10.03           0.56           0.56           2.89           472           14        
  12-31-2011           12.77           0.46           (0.11 )         0.35           (0.43 )         (0.06 )                   (0.49 )         12.63           2.75           0.58           0.58           3.61           340           15        
  12-31-2010           12.15           0.48           0.71           1.19           (0.45 )         (0.12 )                   (0.57 )         12.77           9.96           0.55           0.55           3.78           218           24        
  CLASS B                                                                                            
  06-30-20156           13.30           0.06           (0.04 )         0.02           (0.05 )                             (0.05 )         13.27           0.18  7         1.23  8         1.21  8         0.82  8         34           4        
  12-31-2014           13.68           0.24           0.12           0.36           (0.26 )         (0.48 )                   (0.74 )         13.30           2.65           1.25           1.24           1.75           39           22        
  12-31-2013           13.44           0.22           0.30           0.52           (0.23 )         (0.05 )                   (0.28 )         13.68           3.87           1.26           1.26           1.65           47           17        
  12-31-2012           12.63           0.28           0.88           1.16           (0.27 )         (0.08 )                   (0.35 )         13.44           9.24           1.30           1.30           2.13           48           14        
  12-31-2011           12.77           0.35           (0.10 )         0.25           (0.33 )         (0.06 )                   (0.39 )         12.63           2.01           1.31           1.31           2.75           37           15        
  12-31-2010           12.15           0.37           0.73           1.10           (0.36 )         (0.12 )                   (0.48 )         12.77           9.16           1.29  9         1.29           2.96           28           24        
  CLASS C                                                                                            
  06-30-20156           13.30           0.06           (0.03 )         0.03           (0.06 )                             (0.06 )         13.27           0.19  7         1.21  8         1.20  8         0.87  8         381           4        
  12-31-2014           13.68           0.27           0.09           0.36           (0.26 )         (0.48 )                   (0.74 )         13.30           2.66           1.23           1.21           1.91           378           22        
  12-31-2013           13.43           0.23           0.30           0.53           (0.23 )         (0.05 )                   (0.28 )         13.68           3.98           1.24           1.24           1.71           355           17        
  12-31-2012           12.62           0.29           0.88           1.17           (0.28 )         (0.08 )                   (0.36 )         13.43           9.28           1.26           1.26           2.17           335           14        
  12-31-2011           12.77           0.36           (0.11 )         0.25           (0.34 )         (0.06 )                   (0.40 )         12.62           1.95           1.28           1.28           2.81           254           15        
  12-31-2010           12.14           0.39           0.72           1.11           (0.36 )         (0.12 )                   (0.48 )         12.77           9.28           1.24           1.24           3.10           189           24        
  CLASS I                                                                                            
  06-30-20156,10           13.49           0.14           (0.32 )         (0.18 )         (0.07 )                             (0.07 )         13.24           (1.36 )         0.19           0.17           6.43           4           4  11      
  CLASS R1                                                                                            
  06-30-20156           13.29           0.08           (0.03 )         0.05           (0.08 )                             (0.08 )         13.26           0.37  7         0.90  8         0.88  8         1.20  8         10           4        
  12-31-2014           13.68           0.30           0.09           0.39           (0.30 )         (0.48 )                   (0.78 )         13.29           2.86           1.00           0.99           2.14           10           22        
  12-31-2013           13.43           0.27           0.30           0.57           (0.27 )         (0.05 )                   (0.32 )         13.68           4.31           0.91           0.91           1.97           9           17        
  12-31-2012           12.62           0.31           0.88           1.19           (0.30 )         (0.08 )                   (0.38 )         13.43           9.52           1.07           1.07           2.36           9           14        
  12-31-2011           12.78           0.33           (0.05 )         0.28           (0.38 )         (0.06 )                   (0.44 )         12.62           2.19           1.06           1.06           2.57           7           15        
  12-31-2010           12.15           0.41           0.74           1.15           (0.40 )         (0.12 )                   (0.52 )         12.78           9.56           0.93  9         0.93           3.24           8           24        
  CLASS R2                                                                                            
  06-30-20156           13.28           0.10           (0.03 )         0.07           (0.10 )                             (0.10 )         13.25           0.51  7         0.70  8         0.62  8         1.45  8         6           4        
  12-31-2014           13.67           0.46           (0.02 )         0.44           (0.35 )         (0.48 )                   (0.83 )         13.28           3.21           1.13           0.62           3.30           5           22        
  12-31-2013           13.42           0.39           0.23           0.62           (0.32 )         (0.05 )                   (0.37 )         13.67           4.67           2.55           0.62           2.86           2           17        
  12-31-201212           13.12           0.35           0.39           0.74           (0.36 )         (0.08 )                   (0.44 )         13.42           5.73  7         10.39  8         0.62  8         2.64  7          13         14  14      
  CLASS R3                                                                                            
  06-30-20156           13.26           0.08           (0.02 )         0.06           (0.09 )                             (0.09 )         13.23           0.42  7         0.80  8         0.78  8         1.26  8         10           4        
  12-31-2014           13.65           0.31           0.10           0.41           (0.32 )         (0.48 )                   (0.80 )         13.26           3.01           0.88           0.86           2.21           11           22        
  12-31-2013           13.41           0.30           0.28           0.58           (0.29 )         (0.05 )                   (0.34 )         13.65           4.39           0.75           0.75           2.18           11           17        
  12-31-2012           12.60           0.31           0.91           1.22           (0.33 )         (0.08 )                   (0.41 )         13.41           9.71           0.97           0.97           2.38           11           14        
  12-31-2011           12.76           0.40           (0.11 )         0.29           (0.39 )         (0.06 )                   (0.45 )         12.60           2.30           0.88           0.88           3.08           10           15        
  12-31-2010           12.14           0.42           0.74           1.16           (0.42 )         (0.12 )                   (0.54 )         12.76           9.68           0.86           0.86           3.36           11           24        
  CLASS R4                                                                                            
  06-30-20156           13.27           0.11           (0.03 )         0.08           (0.11 )                             (0.11 )         13.24           0.60  7         0.53  8         0.41  8         1.59  8         7           4        
  12-31-2014           13.66           0.36           0.10           0.46           (0.37 )         (0.48 )                   (0.85 )         13.27           3.36           0.63           0.51           2.62           9           22        
  12-31-2013           13.42           0.34           0.29           0.63           (0.34 )         (0.05 )                   (0.39 )         13.66           4.72           0.58           0.48           2.51           9           17        
  12-31-2012           12.61           0.36           0.90           1.26           (0.37 )         (0.08 )                   (0.45 )         13.42           10.06           0.60           0.54           2.72           8           14        
  12-31-2011           12.76           0.45           (0.11 )         0.34           (0.43 )         (0.06 )                   (0.49 )         12.61           2.65           0.63           0.63           3.50           9           15        
  12-31-2010           12.13           0.47           0.72           1.19           (0.44 )         (0.12 )                   (0.56 )         12.76           9.90           0.67  9         0.67           3.77           7           24        

SEE NOTES TO FINANCIAL STATEMENTS35

Financial Highlights continued

                                                                                                                                                                                               
  Lifestyle Conservative Portfolio (continued)
  Per share operating performance for a share outstanding throughout each period     Ratios and supplemental data
        Income (loss) from
investment operations
          Less Distributions           Ratios to average net assets      
  Period ended     Net asset
value,
beginning
of period
($)
    Net
invest-
ment
income
(loss)
($)1,2
    Net
realized
and
unrealized
gain (loss)
on invest-
ments
($)
    Total
from
invest-
ment
operations
($)
    From net
invest-
ment
income
($)
    From net
realized
gain
($)
    From tax
return
of capital
($)
    Total
distribu-
tions
($)
    Net asset
value, end
of period
($)
    Total
return
(%)3,4
    Expenses
before
reductions
(%)5
    Expenses
including
reductions
(%)5
    Net
investment
income
(loss) (%)1
    Net
assets,
end of
period (in
millions)
    Portfolio
turnover
(%)
  CLASS R5                                                                                          
  06-30-20156           13.28           0.12           (0.02 )         0.10           (0.13 )                             (0.13 )         13.25           0.73  7         0.21  8         0.19  8         1.84  8         10           4  
  12-31-2014           13.67           0.38           0.12           0.50           (0.41 )         (0.48 )                   (0.89 )         13.28           3.64           0.26           0.24           2.75           13           22  
  12-31-2013           13.43           0.37           0.30           0.67           (0.38 )         (0.05 )                   (0.43 )         13.67           5.03           0.17           0.17           2.70           15           17  
  12-31-2012           12.62           0.41           0.89           1.30           (0.41 )         (0.08 )                   (0.49 )         13.43           10.37           0.31           0.31           3.11           15           14  
  12-31-2011           12.77           0.50           (0.12 )         0.38           (0.47 )         (0.06 )                   (0.53 )         12.62           3.00           0.24           0.24           3.91           16           15  
  12-31-2010           12.15           0.50           0.74           1.24           (0.50 )         (0.12 )                   (0.62 )         12.77           10.34           0.23           0.23           3.96           9           24  
  CLASS R6                                                                                          
  06-30-20156           13.27           0.14           (0.04 )         0.10           (0.13 )                             (0.13 )         13.24           0.77  7         0.17  8         0.06  8         2.05  8         13           4  
  12-31-2014           13.65           0.47           0.06           0.53           (0.43 )         (0.48 )                   (0.91 )         13.27           3.87           0.42           0.06           3.41           8           22  
  12-31-2013           13.42           0.43           0.24           0.67           (0.39 )         (0.05 )                   (0.44 )         13.65           5.05           0.43           0.11           3.19           5           17  
  12-31-2012           12.61           0.51           0.81           1.32           (0.43 )         (0.08 )                   (0.51 )         13.42           10.56           2.50           0.11           3.83           2           14  
  12-31-201115           12.81           0.27           (0.12 )         0.15           (0.29 )         (0.06 )                   (0.35 )         12.61           1.16  7         16.16  8         0.11  8         2.13  7          13         15  16
  CLASS 1                                                                                          
  06-30-20156           13.27           0.13           (0.03 )         0.10           (0.13 )                             (0.13 )         13.24           0.75  7         0.13  8         0.11  8         1.94  8         2,435           4  
  12-31-2014           13.66           0.41           0.10           0.51           (0.42 )         (0.48 )                   (0.90 )         13.27           3.74           0.13           0.11           2.94           2,584           22  
  12-31-2013           13.42           0.38           0.30           0.68           (0.39 )         (0.05 )                   (0.44 )         13.66           5.12           0.11           0.11           2.77           2,758           17  
  12-31-2012           12.61           0.43           0.89           1.32           (0.43 )         (0.08 )                   (0.51 )         13.42           10.56           0.11           0.11           3.28           3,090           14  
  12-31-2011           12.76           0.50           (0.10 )         0.40           (0.49 )         (0.06 )                   (0.55 )         12.61           3.16           0.11           0.11           3.85           2,626           15  
  12-31-2010           12.13           0.51           0.75           1.26           (0.51 )         (0.12 )                   (0.63 )         12.76           10.51           0.11           0.11           4.08           2,391           24  

                                                                 
1 Recognition of net investment income by the portfolio is affected by the timing and frequency of the declaration of dividends by the underlying funds in which the portfolio invests.
2 Based on average daily shares outstanding.
3 Does not reflect the effect of sales charges, if any.
4 Total returns would have been lower had certain expenses not been reduced during the applicable periods.
5 Ratios do not include expenses indirectly incurred from underlying funds and can vary based on the mix of the underlying funds held by the portfolio. The range of expense ratio of the underlying funds held by the portfolio was as follows: 0.61% - 3.11%, 0.62% - 2.85%, 0.62%-3.11%, 0.63%-1.48%, 0.48%-1.40% and 0.48%-1.13% for the periods ended 6-30-15, 12-31-14, 12-31-13, 12-31-12, 12-31-11 and 12-31-10, respectively.
6 Six months ended 6-30-15. Unaudited.
7 Not annualized.
8 Annualized.
9 Includes the impact of expense recapture, which amounted to less than 0.005%, 0.05% and 0.06% of average net assets for Class B, Class R1 and Class R4 shares, respectively.
10 The inception date for Class I shares is 5-1-15.
11 The portfolio turnover is shown for the period from 1-1-15 to 6-30-15.
12 The inception date for Class R2 shares is 3-1-12.
13 Less than $500,000.
14 The portfolio turnover is shown for the period from 1-1-12 to 12-31-12.
15 The inception date for Class R6 shares is 9-1-11.
16 The portfolio turnover is shown for the period from 1-1-11 to 12-31-11.

36SEE NOTES TO FINANCIAL STATEMENTS

Notes to financial statements (unaudited)

Note 1 — Organization

John Hancock Funds II (the Trust) is an open-end management investment company organized as a Massachusetts business trust and registered under the Investment Company Act of 1940, as amended (the 1940 Act). It is a series company with multiple investment series (the funds), five of which (collectively, Lifestyle Portfolios, or the portfolios, and individually the portfolio) are presented in this report. The Lifestyle Portfolios operate as "funds of funds" that invest in other series of the Trust and other John Hancock group of funds.

The portfolios may offer multiple classes of shares. The shares currently offered by the Trust are detailed in the Statements of assets and liabilities. Class A and Class C are open to all investors. Class B shares are closed to new investors. Class I shares are offered to institutions and certain investors. Class R1, Class R2, Class R3, Class R4 and Class R5 shares are available only to certain retirement plans. Class R6 shares are only available to certain retirement plans, institutions and other investors. Class 1 shares are offered only to certain affiliates of Manulife Financial Corporation (MFC). Class 5 shares are available only to the John Hancock Freedom 529 plan. Shareholders of each class have exclusive voting rights to matters that affect that class. The distribution and service fees, if any, transfer agent fees, state registration fees and printing and postage for each class may differ. Class B shares convert to Class A shares eight years after purchase.

The accounting policies of the John Hancock underlying funds in which the portfolios invest are outlined in the underlying funds' shareholder reports, which include the underlying funds' financial statements, available without charge by calling 800-344-1029 or visiting jhinvestments.com, on the Securities and Exchange Commission (SEC) website at sec.gov or at the SEC's public reference room in Washington, D.C. The underlying funds are not covered by this report.

Note 2 — Significant accounting policies

The financial statements have been prepared in conformity with accounting principles generally accepted in the United States of America (US GAAP), which require management to make certain estimates and assumptions as of the date of the financial statements. Actual results could differ from those estimates and those differences could be significant. The portfolios qualify as investment companies under Topic 946 of Accounting Standards Codification of US GAAP.

Events or transactions occurring after the end of the fiscal period through the date that the financial statements were issued have been evaluated in the preparation of the financial statements. The following summarizes the significant accounting policies of the portfolios:

Security valuation. Investments are stated at value as of the close of regular trading on the New York Stock Exchange (NYSE), normally at 4:00 p.m., Eastern Time. In order to value the securities, the fund uses the following valuation techniques: Investments by the portfolios in underlying affiliated funds and/or other open-end management investment companies are valued at their respective net asset values each business day.

The portfolios use a three-tier hierarchy to prioritize the pricing assumptions, referred to as inputs, used in valuation techniques to measure fair value. Level 1 includes securities valued using quoted prices in active markets for identical securities, including registered investment companies. Level 2 includes securities valued using other significant observable inputs. Observable inputs may include quoted prices for similar securities, interest rates, prepayment speeds and credit risk. Prices for securities valued using these inputs are received from independent pricing vendors and brokers and are based on an evaluation of the inputs described. Level 3 includes securities valued using significant unobservable inputs when market prices are not readily available or reliable, including the portfolios' own assumptions in determining the fair value of investments. Factors used in determining value may include market or issuer specific events or trends, changes in interest rates and credit quality. The inputs or methodology used for valuing securities are not necessarily an indication of the risks associated with investing in those securities. Changes in valuation techniques and related inputs may result in transfers into or out of an assigned level within the disclosure hierarchy.

As of June 30, 2015, all investments are categorized as Level 1 under the hierarchy described above.

Security transactions and related investment income. Investment security transactions are accounted for on a trade date plus one basis for daily net asset value calculations. However, for financial reporting purposes, investment transactions are reported on trade date. Income and capital gain distributions from underlying funds are recorded on ex-date. Gains and losses on securities sold are determined on the basis of identified cost and may include proceeds from litigation.

Line of credit. The portfolios may borrow from banks for temporary or emergency purposes, including meeting redemption requests that otherwise might require the untimely sale of securities. Pursuant to the portfolios' custodian agreement, the custodian may loan money to the portfolios to make properly authorized payments. The portfolios are obligated to repay the custodian for any overdraft, including any related costs or expenses. The custodian may have a lien, security interest or security entitlement in any portfolio property that is not otherwise segregated or pledged, to the extent of any overdraft, to the maximum extent permitted by law.

In addition, during the six months ended June 30, 2015, the portfolios and other affiliated funds had an agreement with Citibank N.A. that enabled them to participate in a $300 million unsecured committed line of credit. Effective June 30, 2015, the portfolios and other affiliated funds entered into a syndicated line of credit agreement, with Citibank as administrative agent, that enables them to participate in a $750 million unsecured committed line of credit. A commitment fee, payable at the end of each calendar quarter, based on the average daily unused portion of the effective line of credit, is charged to each participating fund on a pro rata basis and is reflected in other expenses on the Statements of operations.

Commitment fees for the six months ended June 30, 2015 were as follows:

         
Portfolio Commitment fee   Portfolio Commitment fee
Lifestyle Aggressive Portfolio $1,046   Lifestyle Moderate Portfolio $1,053
Lifestyle Growth Portfolio 2,748   Lifestyle Conservative Portfolio 876
Lifestyle Balanced Portfolio 2,889      

For the six months ended June 30, 2015, the portfolios had no borrowings under the line of credit.

37


Expenses. Within the John Hancock group of funds complex, expenses that are directly attributable to an individual fund are allocated to such fund. Expenses that are not readily attributable to a specific fund are allocated among all funds in an equitable manner, taking into consideration, among other things, the nature and type of expense and the fund's relative net assets. Expense estimates are accrued in the period to which they relate and adjustments are made when actual amounts are known.

Class allocations. Income, common expenses and realized and unrealized gains (losses) are determined at the portfolio level and allocated daily to each class of shares based on the net assets of the class. Class-specific expenses, such as distribution and service fees, if any, and transfer agent fees, for all classes, are calculated daily at the class level based on the net assets of each class and the specific expense rates applicable to each class. Through April 30, 2015, class-specific expenses, such as state registration fees and printing and postage, for all classes were calculated daily at the class level based on the net assets of each class and the specific expense rates applicable to each class.

Federal income taxes. The portfolios intend to continue to qualify as regulated investment companies by complying with the applicable provisions of the Internal Revenue Code and will not be subject to federal income tax on taxable income that is distributed to shareholders. Therefore, no federal income tax provision is required.

As of December 31, 2014, the portfolios had no uncertain tax positions that would require financial statement recognition, derecognition or disclosure. The portfolios' federal tax returns are subject to examination by the Internal Revenue Service for a period of three years.

The costs of investments owned on June 30, 2015, including short-term investments, for federal income tax purposes, were as follows:

                             
  Portfolio     Aggregate cost     Unrealized
appreciation
    Unrealized
(depreciation)
    Net unrealized
appreciation/
(depreciation)
 
  Lifestyle Aggressive Portfolio     $3,585,891,566     $1,056,476,723     ($20,196,256 )   $1,036,280,467  
  Lifestyle Growth Portfolio     11,790,506,508     2,736,000,937     (98,570,286 )   2,637,430,651  
  Lifestyle Balanced Portfolio     13,028,415,811     2,203,168,332     (157,936,559 )   2,045,231,773  
  Lifestyle Moderate Portfolio     4,191,784,996     471,434,457     (73,119,106 )   398,315,351  
  Lifestyle Conservative Portfolio     3,407,683,473     169,874,868     (65,265,939 )   104,608,929  

Distribution of income and gains. Distributions to shareholders from net investment income and net realized gains, if any, are recorded on the ex-date. The Lifestyle Aggressive and Lifestyle Growth portfolios generally declare and pay income dividends and capital gain distributions, if any, at least annually. The Lifestyle Balanced, Lifestyle Moderate and Lifestyle Conservative portfolios generally declare and pay income dividends quarterly and capital gain distributions, if any, at least annually.

Distributions paid by the portfolios with respect to each class of shares are calculated in the same manner, at the same time and in the same amount, except for the effect of class level expenses that may be applied differently to each class.

Such distributions, on a tax basis, are determined in conformity with income tax regulations, which may differ from US GAAP. Short-term gains from underlying funds are treated as ordinary income for tax purposes.

Capital accounts within the financial statements are adjusted for permanent book-tax differences. These adjustments have no impact on net assets or the results of operations. Temporary book-tax differences, if any, will reverse in a subsequent period. Book-tax differences are primarily attributable to wash sale loss deferrals.

Note 3 — Guarantees and indemnifications

Under the Trust's organizational documents, its Officers and Trustees are indemnified against certain liabilities arising out of the performance of their duties to the Trust, including the portfolios. Additionally, in the normal course of business, the Trust enters into contracts with service providers that contain general indemnification clauses. The Trust's maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Trust that have not yet occurred. The risk of material loss from such claims is considered remote.

Note 4 — Fees and transactions with affiliates

John Hancock Advisers, LLC (the Advisor) serves as investment advisor for the portfolios. John Hancock Funds, LLC (the Distributor), an affiliate of the Advisor, serves as principal underwriter of the portfolios. The Advisor and the Distributor are indirect, wholly owned subsidiaries of MFC.

Management fee. The portfolios have an investment management agreement with the Advisor under which the portfolios pay a daily management fee to the Advisor equivalent, on an annual basis, as detailed below. Aggregate net assets include the net assets of the portfolios and the net assets of similar funds of John Hancock Variable Insurance Trust (JHVIT) and net assets of similar funds of the Trust. The Advisor has subadvisory agreements with John Hancock Asset Management, a division of Manulife Asset management (North America) Limited and John Hancock Asset Management, a division of Manulife Asset Management (US) LLC, which are indirect owned subsidiaries of MFC and affiliates of the Advisor.

Under the advisory agreement, the portfolios pay a daily management fee to the Advisor as outlined below:

     
  First $7.5 billion of aggregate net assets Excess over $7.5 billion of aggregate net assets
Affiliated fund assets 0.050% 0.040%
Other assets 0.500% 0.490%

38


The advisory fee has two components: (a) a fee on assets invested in affiliated funds (Affiliated fund assets) and (b) a fee on assets not invested in affiliated funds (Other assets). Affiliated funds are any funds of the Trust, JHVIT and John Hancock Funds III excluding John Hancock Money Market Trust B, John Hancock 500 Index Trust B, John Hancock Total Bond Market Trust B and John Hancock International Equity Index Trust B.

Expense reimbursements. The Advisor has contractually agreed to waive and/or reimburse all class-specific expenses for Class A, Class I, Class R2 and Class R6 shares of the fund to the extent they exceed 0.41%, 0.11%, 0.56% and 0.00%, respectively, of average net assets (on an annualized basis) attributable to the classes (the class expense waiver). The class expense waiver expires on April 30, 2016, unless renewed by mutual agreement of the portfolio and the Advisor based upon a determination that this is appropriate under the circumstances at that time.

The Advisor has contractually agreed to reduce its management fee and/ or make payment to each portfolio in an amount equal to the amount by which "Other expenses" of a portfolio exceed 0.05% of the average annual net assets (on an annualized basis) of the portfolio. "Other expenses" means all of the expenses of a portfolio, excluding certain expenses such as advisory fees, taxes, brokerage commissions, interest expense, litigation and indemnification expenses and other extraordinary expenses not incurred in the ordinary course of the portfolio's business, distribution and service (Rule 12b-1) fees, transfer agency and service fees, underlying fund expenses (acquired fund fees), and short dividend expense. The current expense limitation agreement expires on April 30, 2016, unless renewed by mutual agreement of a portfolio and the Advisor based upon a determination that this is appropriate under the circumstances at that time.

Effective February 18, 2015, the Advisor has contractually agreed to waive its advisory fees and/or reduce expenses by 0.002% of each portfolio's average net assets. This expense limitation agreement expires on April 30, 2016, unless renewed by mutual agreement of the portfolio and the Advisor based upon a determination that this is appropriate under the circumstances at that time.

The Advisor voluntarily agreed to waive its advisory fee or reimburse each portfolio so that the aggregate advisory fee retained by the Advisor with respect to both the portfolio and the underlying investments (after payment of any subadvisory fees) does not exceed 0.50% of the portfolio's first $7.5 billion of average daily net assets and 0.49% of the portfolio's average daily net assets in excess of $7.5 billion. This voluntary waiver may be terminated at any time by the Advisor upon notice to the Trust.

For the six months ended June 30, 2015, the expense reductions related to these agreements amounted to the following and are reflected as a reduction of total expenses in the Statements of operations:

                           
Portfolio Class A Class B Class C Class I Class R1 Class R2 Class R3 Class R4 Class R5 Class R6 Class 1 Class 5 Total
Lifestyle Aggressive Portfolio $105,211 $2,604 $21,860 $17 $991 $2,295 $818 $931 $1,465 $8,680 $495,972 $640,844
Lifestyle Growth Portfolio 382,885 11,466 91,299 90 2,622 2,732 2,803 3,127 4,554 14,190 1,399,787 $29,356 1,944,911
Lifestyle Balanced Portfolio 438,358 11,390 109,872 61 2,338 2,846 3,547 4,598 4,978 15,291 1,448,121 17,434 2,058,834
Lifestyle Moderate Portfolio 134,642 2,612 29,563 14 598 2,217 728 969 858 8,542 242,992 3,808 427,543
Lifestyle Conservative Portfolio 124,208 2,895 30,357 32 783 2,305 850 704 905 6,552 200,407 369,998

The investment management fees, including the impact of the waivers and reimbursements as described above, incurred for the six months ended June 30, 2015 were equivalent to a net annual effective rate of the portfolios' average daily net assets as follows:

   
Portfolio Annual effective rate
Lifestyle Aggressive Portfolio 0.04%
Lifestyle Growth Portfolio 0.04%
Lifestyle Balanced Portfolio 0.04%
Lifestyle Moderate Portfolio 0.04%
Lifestyle Conservative Portfolio 0.03%

Accounting and legal services. Pursuant to a service agreement, the portfolios reimburse the Advisor for all expenses associated with providing the administrative, financial, legal, accounting and recordkeeping services to the portfolios, including the preparation of all tax returns, periodic reports to shareholders and regulatory reports, among other services. These expenses are allocated to each share class based on its relative net assets at the time the expense was incurred. These accounting and legal services fees incurred for the six months ended June 30, 2015 amounted to an annual rate of 0.01% of the portfolios' average daily net assets.

Distribution and service plans. The portfolios have a distribution agreement with the Distributor. The portfolios have adopted distribution and service plans with respect to Class A, Class B, Class C, Class R1, Class R2, Class R3, Class R4 and Class 1 shares pursuant to Rule 12b-1 under the 1940 Act, to pay the Distributor for services provided as the distributor of shares of the portfolios. In addition, under a service plan for Class R1, Class R2, Class R3, Class R4 and Class R5 shares, the portfolios pay for certain other services. The portfolios may pay up to the following contractual rates of distribution and service fees under these arrangements, expressed as an annual percentage of average daily net assets for each class of the portfolios' shares:

             
Class Rule 12b-1 fee Service fee   Class Rule 12b-1 fee Service fee
Class A 0.30%   Class R3 0.50% 0.15%
Class B 1.00%   Class R4 0.25% 0.10%
Class C 1.00%   Class R5 0.05%
Class R1 0.50% 0.25%   Class 1 0.05%
Class R2 0.25% 0.25%        

39


The portfolios' Distributor has contractually agreed to waive 0.10% of Rule 12b-1 fees for Class R4 shares. The current waiver agreement expires on April 30, 2016, unless renewed by mutual agreement of the portfolios and the Distributor based upon a determination that this is appropriate under the circumstances at that time. Reimbursements related to this contractual waiver amounted to the following for the six months ended June 30, 2015:

         
Portfolio Class R4   Portfolio Class R4
Lifestyle Aggressive Portfolio $3,728   Lifestyle Moderate Portfolio $6,782
Lifestyle Growth Portfolio 13,049   Lifestyle Conservative Portfolio 4,435
Lifestyle Balanced Portfolio 19,148      

Sales charges. Class A shares are assessed up-front sales charges of up to 5.00% of the net asset value of such shares. The following summarizes the net up-front sales charges received by the Distributor during the six months ended June 30, 2015:

           
  Lifestyle
Aggressive
Lifestyle
Growth
Lifestyle
Balanced
Lifestyle
Moderate
Lifestyle
Conservative
Net sales charges $580,659 $3,667,968 $4,055,055 $1,366,202 $916,462
Retained for printing prospectuses, advertising and sales literature 92,352 593,895 672,202 227,064 153,485
Sales commission to unrelated broker-dealers 478,793 3,035,952 3,343,018 1,124,523 750,874
Sales commission to affiliated sales personnel 9,514 38,121 39,835 14,615 12,103

Class A, Class B and Class C shares may be subject to contingent deferred sales charges (CDSCs). Certain Class A shares that are acquired through purchases of $1 million or more and are redeemed within one year of purchase are subject to a 1.00% sales charge. Class B shares that are redeemed within six years of purchase are subject to CDSCs, at declining rates, beginning at 5.00%. Class C shares that are redeemed within one year of purchase are subject to a 1.00% CDSC. CDSCs are applied to the lesser of the current market value at the time of redemption or the original purchase cost of the shares being redeemed. Proceeds from CDSCs are used to compensate the Distributor for providing distribution-related services in connection with the sale of these shares. During the six months ended June 30, 2015, CDSCs received by the Distributor were as follows:

       
Portfolio Class A Class B Class C
Lifestyle Aggressive Portfolio $239 $7,664 $9,618
Lifestyle Growth Portfolio 3,842 38,771 41,205
Lifestyle Balanced Portfolio 8,319 39,630 53,256
Lifestyle Moderate Portfolio 13,357 27,221 37,494
Lifestyle Conservative Portfolio 300 28,672 28,450

Transfer agent fees. The portfolios have a transfer agent agreement with John Hancock Signature Services, Inc. (Signature Services), an affiliate of the Advisor. The transfer agent fees paid to Signature Services are determined based on the cost to Signature Services (Signature Services Cost) of providing recordkeeping services. It also includes out-of-pocket expenses, including payments made to third-parties for recordkeeping services provided to their clients who invest in one or more John Hancock funds. In addition, Signature Services Cost may be reduced by certain fees that Signature Services receives in connection with retirement and small accounts. Signature Services Cost is calculated monthly and allocated, as applicable, to five categories of share classes: Retail Share and Institutional Classes of Non-Municipal Bond Funds, Class R6 Shares, Retirement Share Classes and Municipal Bond Share Classes. Within each of these categories, the applicable costs are allocated to the affected John Hancock affiliated funds and/or classes, based on the relative average daily net assets.

Class level expenses. Class level expenses for the six months ended June 30, 2015 were:

                                   
        Class     Distribution and
service fees
    Transfer
agent fees
    State
registration fees
    Printing
and postage
 
  Lifestyle Aggressive Portfolio     Class A     $616,198     $258,220     $11,225     $10,376  
        Class B     104,574     13,138     3,775     950  
        Class C     875,440     110,041     5,622     5,528  
        Class I         69          
        Class R1     29,212     654     3,750     274  
        Class R2     14,885     480     2,362     70  
        Class R3     21,248     540     3,724     246  
        Class R4     13,065     613     3,724     164  
        Class R5     2,944     967     3,724     257  
        Class R6         1,549     4,144     632  
        Class 1     993,819              
        Total     $2,671,385     $386,271     $42,050     $18,497  
  Lifestyle Growth Portfolio     Class A     $2,395,476     $1,003,795     $29,300     $35,924  
        Class B     477,757     60,020     3,986     3,829  
        Class C     3,794,555     476,956     11,835     21,582  
        Class I         372          

40


                                   
        Class     Distribution and
service fees
    Transfer
agent fees
    State
registration fees
    Printing
and postage
 
        Class R1     82,881     1,796     3,909     445  
        Class R2     34,902     1,143     3,029     124  
        Class R3     74,530     1,918     3,856     446  
        Class R4     45,966     2,146     3,744     334  
        Class R5     9,367     3,119     3,900     521  
        Class R6         3,463     4,933     734  
        Class 1     2,911,138              
        Total     $9,826,572     $1,554,728     $68,492     $63,939  
  Lifestyle Balanced Portfolio     Class A     $2,763,602     $1,157,878     $36,399     $35,119  
        Class B     473,122     59,440     3,986     3,433  
        Class C     4,554,707     572,473     13,799     21,490  
        Class I         250          
        Class R1     72,860     1,600     3,862     335  
        Class R2     33,934     1,106     3,237     91  
        Class R3     94,523     2,421     3,857     523  
        Class R4     67,180     3,149     3,748     410  
        Class R5     10,160     3,400     3,855     509  
        Class R6         4,073     4,473     758  
        Class 1     3,004,450              
        Total     $11,074,538     $1,805,790     $77,216     $62,668  
  Lifestyle Moderate Portfolio     Class A     $1,017,827     $426,461     $19,927     $12,962  
        Class B     183,486     23,048     3,903     1,420  
        Class C     2,069,890     260,125     8,639     10,045  
        Class I         94          
        Class R1     30,219     690     3,949     269  
        Class R2     14,370     472     2,849     52  
        Class R3     32,274     840     3,819     285  
        Class R4     23,659     1,116     3,819     223  
        Class R5     2,953     989     3,819     300  
        Class R6         1,997     4,139     659  
        Class 1     851,805              
        Total     $4,226,483     $715,832     $54,863     $26,215  
  Lifestyle Conservative Portfolio     Class A     $905,974     $379,534     $17,420     $11,230  
        Class B     181,841     22,838     3,848     1,356  
        Class C     1,901,269     238,917     9,729     9,060  
        Class I         195          
        Class R1     35,365     805     3,807     248  
        Class R2     14,007     446     2,553     43  
        Class R3     33,471     879     3,786     306  
        Class R4     15,389     730     3,800     180  
        Class R5     2,629     934     3,777     310  
        Class R6         968     4,033     609  
        Class 1     628,507              
        Total     $3,718,452     $646,246     $52,753     $23,342  

Effective May 1, 2015, state registration fees and printing and postage are treated as fund level expenses and are not included in the table above. For the period May 1, 2015 to June 30, 2015, state registration fees and printing and postage were as follows:

     
Portfolio State registration fees Printing and postage
Lifestyle Aggressive Portfolio $30,739 $9,403
Lifestyle Growth Portfolio 47,759 32,503
Lifestyle Balanced Portfolio 53,355 31,857
Lifestyle Moderate Portfolio 37,809 13,326
Lifestyle Conservative Portfolio 37,099 11,866

41


Trustee expenses. The Trust compensates each Trustee who is not an employee of the Advisor or its affiliates. The costs of paying Trustee compensation and expenses are allocated to each portfolio based on its net assets relative to other funds within the John Hancock group of funds complex.

Note 5 — Portfolio share transactions

Transactions in portfolios' shares for the six months ended June 30, 2015 and for the year ended December 31, 2014 were as follows:

Lifestyle Aggressive Portfolio

                                                     
                 
              Six months ended 6-30-15                       Year ended 12-31-14  
        Shares     Amount                 Shares     Amount  
  Class A shares                                      
  Sold     3,547,861     $59,896,253                 7,463,253     $121,828,607  
  Distributions reinvested                         500,005     8,235,086  
  Repurchased     (2,707,490 )   (45,647,752 )               (4,980,238 )   (81,267,687 )
  Net increase     840,371     $14,248,501                 2,983,020     $48,796,006  
  Class B shares                                      
  Sold     11,884     $201,064                 7,691     $123,865  
  Distributions reinvested                         17,476     288,355  
  Repurchased     (200,760 )   (3,393,043 )               (365,019 )   (5,925,994 )
  Net decrease     (188,876 )   ($3,191,979 )               (339,852 )   ($5,513,774 )
  Class C shares                                      
  Sold     1,010,463     $17,050,452                 1,896,516     $30,905,605  
  Distributions reinvested                         139,681     2,306,100  
  Repurchased     (1,007,222 )   (17,055,172 )               (1,632,408 )   (26,726,517 )
  Net increase (decrease)     3,241     ($4,720 )               403,789     $6,485,188  
  Class I shares1                                      
  Sold     59,223     $1,009,138                      
  Repurchased     (232 )   (4,000 )                    
  Net increase     58,991     $1,005,138                      
  Class R1 shares                                      
  Sold     60,563     $1,011,219                 166,901     $2,719,447  
  Distributions reinvested                         6,846     112,965  
  Repurchased     (85,150 )   (1,435,490 )               (338,187 )   (5,530,524 )
  Net decrease     (24,587 )   ($424,271 )               (164,440 )   ($2,698,112 )
  Class R2 shares                                      
  Sold     125,871     $2,106,002                 166,053     $2,711,722  
  Distributions reinvested                         4,796     78,653  
  Repurchased     (41,541 )   (701,891 )               (30,796 )   (501,437 )
  Net increase     84,330     $1,404,111                 140,053     $2,288,938  
  Class R3 shares                                      
  Sold     53,597     $900,591                 115,052     $1,872,921  
  Distributions reinvested                         7,041     115,751  
  Repurchased     (95,500 )   (1,598,923 )               (249,763 )   (4,048,604 )
  Net decrease     (41,903 )   ($698,332 )               (127,670 )   ($2,059,932 )
  Class R4 shares                                      
  Sold     45,424     $761,440                 113,068     $1,827,724  
  Distributions reinvested                         9,131     149,931  
  Repurchased     (38,868 )   (644,370 )               (154,349 )   (2,483,751 )
  Net increase (decrease)     6,556     $117,070                 (32,150 )   ($506,096 )
  Class R5 shares                                      
  Sold     54,642     $918,583                 152,474     $2,478,477  
  Distributions reinvested                         17,235     283,338  
  Repurchased     (112,067 )   (1,870,818 )               (131,365 )   (2,140,939 )
  Net increase (decrease)     (57,425 )   ($952,235 )               38,344     $620,876  

42


                                                     
                 
              Six months ended 6-30-15                       Year ended 12-31-14  
        Shares     Amount                 Shares     Amount  
  Class R6 Shares                                      
  Sold     381,453     $6,291,598                 760,103     $12,444,526  
  Distributions reinvested                         23,724     389,318  
  Repurchased     (110,768 )   (1,839,993 )               (176,926 )   (2,920,390 )
  Net Increase     270,685     $4,451,605                 606,901     $9,913,454  
  Class 1 shares                                      
  Sold     1,544,574     $26,040,475                 4,804,526     $77,905,560  
  Distributions reinvested                         6,020,730     98,739,969  
  Repurchased     (10,749,362 )   (180,537,755 )               (23,081,812 )   (377,684,256 )
  Net decrease     (9,204,788 )   ($154,497,280 )               (12,256,556 )   ($201,038,727 )
  Total net decrease     (8,253,405 )   ($138,542,392 )               (8,748,561 )   ($143,712,179 )

1 The inception date for Class I shares is 5-1-15.

Lifestyle Growth Portfolio

                                                     
                 
              Six months ended 6-30-15                       Year ended 12-31-14  
        Shares     Amount                 Shares     Amount  
  Class A shares                                      
  Sold     12,054,951     $203,001,069                 26,969,434     $445,428,278  
  Distributions reinvested                         2,534,386     41,817,306  
  Repurchased     (9,221,121 )   (155,340,548 )               (14,753,641 )   (243,754,895 )
  Net increase     2,833,830     $47,660,521                 14,750,179     $243,490,689  
  Class B shares                                      
  Sold     40,814     $688,571                 127,997     $2,098,589  
  Distributions reinvested                         118,825     1,965,361  
  Repurchased     (829,749 )   (13,959,305 )               (1,489,102 )   (24,511,639 )
  Net decrease     (788,935 )   ($13,270,734 )               (1,242,280 )   ($20,447,689 )
  Class C shares                                      
  Sold     3,992,813     $67,139,734                 9,870,021     $162,535,557  
  Distributions reinvested                         890,567     14,721,052  
  Repurchased     (3,471,839 )   (58,394,837 )               (5,696,416 )   (93,883,385 )
  Net increase     520,974     $8,744,897                 5,064,172     $83,373,224  
  Class I shares1                                      
  Sold     442,172     $7,493,022                      
  Repurchased     (2,733 )   (46,562 )                    
  Net increase     439,439     $7,446,460                      
  Class R1 shares                                      
  Sold     168,764     $2,815,383                 363,983     $6,018,053  
  Distributions reinvested                         25,741     426,273  
  Repurchased     (190,912 )   (3,179,862 )               (498,325 )   (8,210,979 )
  Net decrease     (22,148 )   ($364,479 )               (108,601 )   ($1,766,653 )
  Class R2 shares                                      
  Sold     247,506     $4,165,514                 317,402     $5,210,428  
  Distributions reinvested                         17,542     288,042  
  Repurchased     (102,043 )   (1,711,720 )               (121,127 )   (2,012,311 )
  Net increase     145,463     $2,453,794                 213,817     $3,486,159  
  Class R3 shares                                      
  Sold     183,148     $3,091,287                 432,785     $7,102,156  
  Distributions reinvested                         33,111     545,668  
  Repurchased     (238,513 )   (3,996,875 )               (513,309 )   (8,437,211 )
  Net decrease     (55,365 )   ($905,588 )               (47,413 )   ($789,387 )

43


                                                     
                 
              Six months ended 6-30-15                       Year ended 12-31-14  
        Shares     Amount                 Shares     Amount  
  Class R4 shares                                      
  Sold     163,992     $2,765,584                 503,791     $8,350,258  
  Distributions reinvested                         49,430     814,611  
  Repurchased     (647,675 )   (10,932,373 )               (259,843 )   (4,292,537 )
  Net increase (decrease)     (483,683 )   ($8,166,789 )               293,378     $4,872,332  
  Class R5 shares                                      
  Sold     219,889     $3,700,948                 459,234     $7,522,575  
  Distributions reinvested                         69,773     1,151,261  
  Repurchased     (334,738 )   (5,632,115 )               (506,904 )   (8,437,771 )
  Net increase (decrease)     (114,849 )   ($1,931,167 )               22,103     $236,065  
  Class R6 Shares                                      
  Sold     989,779     $16,463,307                 1,452,555     $23,989,859  
  Distributions reinvested                         72,110     1,184,760  
  Repurchased     (502,388 )   (8,374,573 )               (424,304 )   (6,968,434 )
  Net Increase     487,391     $8,088,734                 1,100,361     $18,206,185  
  Class 1 shares                                      
  Sold     2,477,875     $41,490,684                 10,974,898     $178,827,030  
  Distributions reinvested                         22,234,288     365,309,346  
  Repurchased     (29,639,933 )   (497,340,845 )               (56,200,273 )   (926,931,194 )
  Net decrease     (27,162,058 )   ($455,850,161 )               (22,991,087 )   ($382,794,818 )
  Class 5 shares                                      
  Sold     712,424     $11,924,136                 1,705,227     $27,926,409  
  Distributions reinvested                         450,687     7,395,777  
  Repurchased     (164,681 )   (2,759,589 )               (374,113 )   (6,186,049 )
  Net increase     547,743     $9,164,547                 1,781,801     $29,136,137  
  Total net decrease     (23,652,198 )   ($396,929,965 )               (1,163,570 )   ($22,997,756 )

1 The inception date for Class I shares is 5-1-15.

Lifestyle Balanced Portfolio

                                                     
                 
              Six months ended 6-30-15                       Year ended 12-31-14  
        Shares     Amount                 Shares     Amount  
  Class A shares                                      
  Sold     14,786,837     $235,520,658                 36,613,085     $576,162,973  
  Distributions reinvested     439,067     6,971,993                 2,983,348     46,811,077  
  Repurchased     (11,439,242 )   (182,020,142 )               (19,818,252 )   (311,574,083 )
  Net increase     3,786,662     $60,472,509                 19,778,181     $311,399,967  
  Class B shares                                      
  Sold     89,380     $1,428,841                 116,144     $1,822,128  
  Distributions reinvested     990     15,707                 116,843     1,830,214  
  Repurchased     (713,716 )   (11,345,111 )               (1,465,461 )   (22,978,282 )
  Net decrease     (623,346 )   ($9,900,563 )               (1,232,474 )   ($19,325,940 )
  Class C shares                                      
  Sold     5,172,952     $82,346,962                 13,541,720     $212,832,704  
  Distributions reinvested     9,698     154,005                 1,087,203     17,042,663  
  Repurchased     (4,334,607 )   (68,884,861 )               (7,185,558 )   (113,082,026 )
  Net increase     848,043     $13,616,106                 7,443,365     $116,793,341  
  Class I shares1                                      
  Sold     287,050     $4,578,457                      
  Distributions reinvested     740     11,692                      
  Repurchased     (7,691 )   (123,157 )                    
  Net increase     280,099     $4,466,992                      

44


                                                     
                 
              Six months ended 6-30-15                       Year ended 12-31-14  
        Shares     Amount                 Shares     Amount  
  Class R1 shares                                      
  Sold     146,589     $2,304,709                 472,628     $7,377,098  
  Distributions reinvested     1,599     25,279                 21,804     340,609  
  Repurchased     (249,939 )   (3,963,839 )               (480,783 )   (7,522,538 )
  Net increase (decrease)     (101,751 )   ($1,633,851 )               13,649     $195,169  
  Class R2 shares                                      
  Sold     437,456     $6,932,754                 443,996     $6,893,652  
  Distributions reinvested     1,892     29,906                 13,733     214,355  
  Repurchased     (199,659 )   (3,181,153 )               (130,654 )   (2,055,087 )
  Net increase     239,689     $3,781,507                 327,075     $5,052,920  
  Class R3 shares                                      
  Sold     180,035     $2,860,517                 445,615     $6,973,992  
  Distributions reinvested     4,392     69,556                 45,877     717,921  
  Repurchased     (291,801 )   (4,633,219 )               (860,506 )   (13,551,588 )
  Net decrease     (107,374 )   ($1,703,146 )               (369,014 )   ($5,859,675 )
  Class R4 shares                                      
  Sold     345,255     $5,471,172                 782,668     $12,275,180  
  Distributions reinvested     8,871     140,622                 70,901     1,110,652  
  Repurchased     (1,358,238 )   (21,802,971 )               (3,310,368 )   (50,907,556 )
  Net decrease     (1,004,112 )   ($16,191,177 )               (2,456,799 )   ($37,521,724 )
  Class R5 shares                                      
  Sold     323,342     $5,130,747                 574,937     $9,018,487  
  Distributions reinvested     13,500     214,173                 78,299     1,228,481  
  Repurchased     (466,275 )   (7,423,016 )               (700,755 )   (11,036,488 )
  Net decrease     (129,433 )   ($2,078,096 )               (47,519 )   ($789,520 )
  Class R6 Shares                                      
  Sold     1,963,238     $31,109,112                 1,568,373     $24,497,056  
  Distributions reinvested     20,712     327,209                 72,635     1,134,486  
  Repurchased     (517,301 )   (8,196,139 )               (521,857 )   (8,205,429 )
  Net Increase     1,466,649     $23,240,182                 1,119,151     $17,426,113  
  Class 1 shares                                      
  Sold     1,780,411     $28,107,467                 12,044,635     $187,483,354  
  Distributions reinvested     4,238,906     66,930,197                 24,015,291     375,143,941  
  Repurchased     (34,773,836 )   (550,226,546 )               (61,351,952 )   (960,824,470 )
  Net decrease     (28,754,519 )   ($455,188,882 )               (25,292,026 )   ($398,197,175 )
  Class 5 shares                                      
  Sold     420,849     $6,655,251                 1,398,983     $21,829,809  
  Distributions reinvested     54,078     854,396                 273,730     4,276,280  
  Repurchased     (147,545 )   (2,339,352 )               (386,836 )   (6,085,475 )
  Net increase     327,382     $5,170,295                 1,285,877     $20,020,614  
  Total net increase (decrease)     (23,772,011 )   ($375,948,124 )               569,466     $9,194,090  

1 The inception date for Class I shares is 5-1-15.

Lifestyle Moderate Portfolio

                                                     
                 
              Six months ended 6-30-15                       Year ended 12-31-14  
        Shares     Amount                 Shares     Amount  
  Class A shares                                      
  Sold     5,850,920     $83,968,736                 15,428,520     $225,463,766  
  Distributions reinvested     302,677     4,317,472                 2,091,161     29,853,016  
  Repurchased     (4,753,449 )   (68,199,863 )               (9,095,114 )   (132,955,077 )
  Net increase     1,400,148     $20,086,345                 8,424,567     $122,361,705  

45


                                                     
                 
              Six months ended 6-30-15                       Year ended 12-31-14  
        Shares     Amount                 Shares     Amount  
  Class B shares                                      
  Sold     11,386     $163,378                 104,659     $1,518,559  
  Distributions reinvested     6,460     92,041                 101,385     1,443,123  
  Repurchased     (330,560 )   (4,724,943 )               (637,026 )   (9,286,379 )
  Net decrease     (312,714 )   ($4,469,524 )               (430,982 )   ($6,324,697 )
  Class C shares                                      
  Sold     2,575,915     $36,935,401                 6,992,026     $101,950,163  
  Distributions reinvested     79,792     1,138,266                 1,104,514     15,733,881  
  Repurchased     (2,602,464 )   (37,318,628 )               (4,539,466 )   (66,185,498 )
  Net increase     53,243     $755,039                 3,557,074     $51,498,546  
  Class I shares1                                      
  Sold     129,211     $1,852,438                      
  Distributions reinvested     502     7,116                      
  Repurchased     (43 )   (604 )                    
  Net increase     129,670     $1,858,950                      
  Class R1 shares                                      
  Sold     86,035     $1,229,260                 165,773     $2,416,809  
  Distributions reinvested     1,904     27,111                 20,342     290,229  
  Repurchased     (99,536 )   (1,425,856 )               (315,224 )   (4,576,112 )
  Net decrease     (11,597 )   ($169,485 )               (129,109 )   ($1,869,074 )
  Class R2 shares                                      
  Sold     214,874     $3,075,021                 153,930     $2,250,160  
  Distributions reinvested     2,072     29,462                 11,095     157,594  
  Repurchased     (39,491 )   (563,780 )               (27,003 )   (395,445 )
  Net increase     177,455     $2,540,703                 138,022     $2,012,309  
  Class R3 shares                                      
  Sold     82,343     $1,178,320                 222,416     $3,231,705  
  Distributions reinvested     3,515     50,042                 31,615     450,274  
  Repurchased     (121,168 )   (1,734,600 )               (317,478 )   (4,633,623 )
  Net decrease     (35,310 )   ($506,238 )               (63,447 )   ($951,644 )
  Class R4 shares                                      
  Sold     151,422     $2,162,586                 324,884     $4,755,541  
  Distributions reinvested     6,410     91,114                 44,851     637,928  
  Repurchased     (236,393 )   (3,394,389 )               (296,673 )   (4,290,347 )
  Net increase (decrease)     (78,561 )   ($1,140,689 )               73,062     $1,103,122  
  Class R5 shares                                      
  Sold     113,828     $1,631,972                 221,030     $3,204,591  
  Distributions reinvested     6,681     95,065                 41,667     594,198  
  Repurchased     (111,461 )   (1,590,903 )               (324,597 )   (4,720,679 )
  Net increase (decrease)     9,048     $136,134                 (61,900 )   ($921,890 )
  Class R6 Shares                                      
  Sold     750,970     $10,724,298                 924,036     $13,515,136  
  Distributions reinvested     16,223     230,566                 69,757     992,919  
  Repurchased     (171,063 )   (2,430,558 )               (351,631 )   (5,071,403 )
  Net Increase     596,130     $8,524,306                 642,162     $9,436,652  
  Class 1 shares                                      
  Sold     845,300     $12,084,117                 6,381,592     $92,901,420  
  Distributions reinvested     1,984,598     28,244,382                 12,682,043     180,962,272  
  Repurchased     (14,264,678 )   (204,211,030 )               (23,301,415 )   (338,830,310 )
  Net decrease     (11,434,780 )   ($163,882,531 )               (4,237,780 )   ($64,966,618 )

46


                                                     
                 
              Six months ended 6-30-15                       Year ended 12-31-14  
        Shares     Amount                 Shares     Amount  
  Class 5 shares                                      
  Sold     228,923     $3,279,036                 453,113     $6,585,441  
  Distributions reinvested     32,678     464,516                 190,368     2,712,457  
  Repurchased     (147,632 )   (2,110,984 )               (271,398 )   (3,951,361 )
  Net increase     113,969     $1,632,568                 372,083     $5,346,537  
  Total net increase (decrease)     (9,393,299 )   ($134,634,422 )               8,283,752     $116,724,948  

1 The inception date for Class I shares is 5-1-15.

Lifestyle Conservative Portfolio

                                                     
                 
              Six months ended 6-30-15                       Year ended 12-31-14  
        Shares     Amount                 Shares     Amount  
  Class A shares                                      
  Sold     5,830,103     $78,332,090                 14,073,672     $196,470,771  
  Distributions reinvested     340,637     4,544,501                 2,531,579     34,109,844  
  Repurchased     (5,912,060 )   (79,406,658 )               (10,245,865 )   (142,944,646 )
  Net increase     258,680     $3,469,933                 6,359,386     $87,635,969  
  Class B shares                                      
  Sold     28,558     $382,407                 90,416     $1,249,764  
  Distributions reinvested     9,061     120,900                 132,762     1,785,109  
  Repurchased     (374,476 )   (5,024,618 )               (758,552 )   (10,569,522 )
  Net decrease     (336,857 )   ($4,521,311 )               (535,374 )   ($7,534,649 )
  Class C shares                                      
  Sold     3,214,883     $43,178,027                 7,670,977     $107,037,077  
  Distributions reinvested     98,705     1,316,748                 1,247,312     16,756,180  
  Repurchased     (3,049,739 )   (40,954,615 )               (6,440,036 )   (89,613,856 )
  Net increase     263,849     $3,540,160                 2,478,253     $34,179,401  
  Class I shares1                                      
  Sold     315,064     $4,213,144                      
  Distributions reinvested     1,323     17,515                      
  Repurchased     (840 )   (11,215 )                    
  Net increase     315,547     $4,219,444                      
  Class R1 shares                                      
  Sold     102,026     $1,370,174                 336,344     $4,719,602  
  Distributions reinvested     3,131     41,743                 28,050     377,362  
  Repurchased     (74,636 )   (1,000,625 )               (278,271 )   (3,884,067 )
  Net increase     30,521     $411,292                 86,123     $1,212,897  
  Class R2 shares                                      
  Sold     96,754     $1,298,601                 271,371     $3,793,396  
  Distributions reinvested     2,663     35,482                 18,423     246,374  
  Repurchased     (66,719 )   (896,092 )               (21,721 )   (302,332 )
  Net increase     32,698     $437,991                 268,073     $3,737,438  
  Class R3 shares                                      
  Sold     99,816     $1,336,133                 202,620     $2,823,298  
  Distributions reinvested     5,020     66,778                 47,041     631,533  
  Repurchased     (157,269 )   (2,104,364 )               (247,155 )   (3,448,231 )
  Net increase (decrease)     (52,433 )   ($701,453 )               2,506     $6,600  
  Class R4 shares                                      
  Sold     55,275     $740,965                 363,265     $5,085,431  
  Distributions reinvested     4,800     63,962                 41,508     558,317  
  Repurchased     (266,523 )   (3,575,819 )               (349,113 )   (4,839,679 )
  Net increase (decrease)     (206,448 )   ($2,770,892 )               55,660     $804,069  

47


                                                     
                 
              Six months ended 6-30-15                       Year ended 12-31-14  
        Shares     Amount                 Shares     Amount  
  Class R5 shares                                      
  Sold     144,273     $1,933,853                 183,085     $2,546,530  
  Distributions reinvested     7,676     102,315                 60,132     811,123  
  Repurchased     (303,252 )   (4,074,838 )               (380,326 )   (5,307,729 )
  Net decrease     (151,303 )   ($2,038,670 )               (137,109 )   ($1,950,076 )
  Class R6 Shares                                      
  Sold     421,239     $5,626,871                 385,731     $5,368,235  
  Distributions reinvested     9,331     124,238                 37,016     496,946  
  Repurchased     (98,372 )   (1,316,713 )               (139,909 )   (1,953,353 )
  Net Increase     332,198     $4,434,396                 282,838     $3,911,828  
  Class 1 shares                                      
  Sold     1,221,869     $16,399,937                 5,620,316     $78,117,518  
  Distributions reinvested     1,808,670     24,089,957                 12,652,433     170,491,675  
  Repurchased     (13,776,774 )   (184,741,093 )               (25,590,379 )   (355,737,629 )
  Net decrease     (10,746,235 )   ($144,251,199 )               (7,317,630 )   ($107,128,436 )
  Total net increase (decrease)     (10,259,783 )   ($137,770,309 )               1,542,726     $14,875,041  

1 The inception date for Class I shares is 5-1-15.

Affiliates of the Trust owned shares of beneficial interest of the following portfolios on June 30, 2015:

     
Portfolio Class % by Class
Lifestyle Moderate Portfolio R2 2%
Lifestyle Conservative Portfolio R2 2%

Affiliates of the Trust owned 100% of shares of beneficial interest of Class 1 shares in each portfolio and 100% of Class 5 shares of Lifestyle Growth, Lifestyle Balanced and Lifestyle Moderate on June 30, 2015.

Note 6 — Purchase and sale of securities

The following summarizes the purchases and sales of the underlying funds for the six months ended June 30, 2015:

     
Portfolio Purchases Sales
Lifestyle Aggressive Portfolio $200,905,424 $340,767,663
Lifestyle Growth Portfolio 716,899,287 1,078,881,208
Lifestyle Balanced Portfolio 664,861,336 1,036,375,693
Lifestyle Moderate Portfolio 168,514,678 302,714,689
Lifestyle Conservative Portfolio 151,650,356 287,765,852

Note 7 — Investment in affiliated underlying funds

The portfolios invest primarily in affiliated underlying funds that are managed by the Advisor and its affiliates. The portfolios do not invest in the affiliated underlying funds for the purpose of exercising management or control; however, the portfolios' investment may represent a significant portion of each underlying fund's net assets. At June 30, 2015, the following portfolios held 5% or more of the net assets of the underlying funds shown below:

   

                 
  Portolio Affiliate Class NAV     Percentage of
Underlying Funds'
Net Assets
 
  Lifestyle Aggressive Portfolio        
        Small Cap Core     21.2%  
        All Cap Core     19.2%  
        Greater China Opportunities     17.7%  
        Small Company Growth     16.8%  
        Emerging Markets Equity     16.3%  
        Value     15.9%  
        Small Cap Growth     15.7%  
        Technical Opportunities     15.6%  
        Alpha Opportunities     15.2%  
        International Small Company     15.0%  
        International Growth Stock     14.9%  
        International Value Equity     14.8%  
        Mid Value     14.6%  
        Science & Technology     14.1%  
        Small Cap Value     13.4%  
        Health Sciences     13.1%  
        Value Equity     13.1%  
        Small Cap Opportunities     13.0%  

48


                 
  Portolio Affiliate Class NAV     Percentage of
Underlying Funds'
Net Assets
 
  Lifestyle Aggressive Portfolio (continued)        
        International Small Cap     12.9%  
        Emerging Markets     12.7%  
        International Value     12.4%  
        International Growth Opportunities     11.9%  
        Equity Income     11.6%  
        Mid Cap Stock     11.6%  
        Fundamental Large Cap Value     11.1%  
        Natural Resources     10.6%  
        Small Company Value     10.6%  
        Strategic Growth     10.5%  
        Fundamental Global Franchise     9.8%  
        Real Estate Equity     9.6%  
        Capital Appreciation     9.4%  
        Global Equity     9.1%  
        Capital Appreciation Value     9.1%  
        Financial Industries     9.0%  
        International Core     8.7%  
        Blue Chip Growth     8.6%  
        Seaport     7.7%  
        Global Real Estate     7.5%  
        U.S. Equity     7.4%  
        Redwood     6.1%  
  Lifestyle Growth Portfolio        
        All Cap Core     49.5%  
        Value Equity     45.4%  
        Small Cap Core     44.0%  
        Value     40.8%  
        Technical Opportunities     40.3%  
        Alpha Opportunities     37.4%  
        International Value Equity     37.3%  
        International Growth Stock     37.2%  
        Mid Value     36.4%  
        Science & Technology     36.3%  
        Health Sciences     36.0%  
        Emerging Markets Equity     35.7%  
        International Small Company     34.7%  
        Small Company Growth     34.4%  
        Small Cap Growth     32.4%  
        Fundamental Global Franchise     31.5%  
        Capital Appreciation Value     31.3%  
        Equity Income     31.2%  
        International Value     30.5%  
        International Small Cap     30.1%  
        Global Equity     29.9%  
        International Growth Opportunities     29.9%  
        Mid Cap Stock     29.1%  
        Emerging Markets     28.7%  
        Real Estate Equity     28.6%  
        Small Cap Value     28.5%  
        Strategic Growth     28.4%  
        Fundamental Large Cap Value     28.0%  
        Small Cap Opportunities     27.1%  
        U.S. Equity     26.7%  
        Natural Resources     25.8%  
        Capital Appreciation     25.2%  
        Emerging Markets Debt     24.4%  
        Financial Industries     24.1%  
        Blue Chip Growth     23.6%  
        Global Real Estate     22.6%  
        Small Company Value     22.5%  
        International Core     21.9%  
        Redwood     20.8%  
        Asia Pacific Total Return Bond     20.0%  
        Global Income     19.4%  
        Global Short Duration Credit     18.4%  
        Real Return Bond     16.9%  
        Absolute Return Currency     16.5%  
        Seaport     16.4%  
        Spectrum Income     16.1%  
        Short Duration Credit Opportunities     15.6%  
        U.S. High Yield Bond     15.2%  
        Floating Rate Income     13.5%  
        Focused High Yield     10.9%  
        Active Bond     8.2%  
        Global Shareholder Yield     7.9%  
        Global Bond     7.5%  
        High Yield     7.1%  
        Total Return     5.1%  
  Lifestyle Balanced Portfolio        
        Global Short Duration Credit     43.7%  
        Spectrum Income     41.9%  
        Short Duration Credit Opportunities     37.1%  
        Asia Pacific Total Return Bond     35.8%  
        Global Real Estate     34.8%  
        Investment Quality Bond     34.7%  
        Small Cap Core     34.5%  
        Emerging Markets Debt     34.0%  
        Global Income     33.9%  
        Global Bond     32.8%  
        Health Sciences     32.4%  
        All Cap Core     31.2%  
        Value     31.1%  

49


                 
  Portolio Affiliate Class NAV     Percentage of
Underlying Funds'
Net Assets
 
  Lifestyle Balanced Portfolio (continued)        
        Capital Appreciation Value     31.0%  
        Value Equity     30.8%  
        International Growth Stock     30.8%  
        International Value Equity     30.6%  
        Science & Technology     30.4%  
        U.S. High Yield Bond     30.3%  
        Fundamental Global Franchise     29.7%  
        Active Bond     29.4%  
        Global Equity     29.2%  
        Real Estate Equity     28.8%  
        Floating Rate Income     28.1%  
        Mid Value     27.0%  
        Small Company Growth     26.8%  
        Alpha Opportunities     26.5%  
        International Small Company     26.5%  
        Real Return Bond     25.8%  
        Natural Resources     25.6%  
        Small Cap Growth     25.4%  
        U.S. Equity     25.4%  
        Emerging Markets Equity     25.1%  
        International Value     25.0%  
        Technical Opportunities     24.8%  
        International Growth Opportunities     24.8%  
        Equity Income     23.3%  
        International Small Cap     23.0%  
        Small Cap Value     23.0%  
        Small Cap Opportunities     21.2%  
        Financial Industries     21.2%  
        Mid Cap Stock     21.1%  
        Redwood     20.9%  
        Fundamental Large Cap Value     20.3%  
        Focused High Yield     20.1%  
        Strategic Growth     19.9%  
        Emerging Markets     19.4%  
        Absolute Return Currency     18.9%  
        International Core     18.3%  
        Small Company Value     18.2%  
        Blue Chip Growth     17.8%  
        Capital Appreciation     17.7%  
        Total Return     17.2%  
        Core Bond     16.6%  
        Seaport     16.2%  
        High Yield     13.7%  
        Strategic Income Opportunities     12.0%  
        Global Shareholder Yield     7.8%  
  Lifestyle Moderate Portfolio        
        Investment Quality Bond     25.1%  
        Active Bond     19.9%  
        Global Bond     19.4%  
        Asia Pacific Total Return Bond     17.9%  
        Spectrum Income     16.1%  
        Enduring Equity     14.8%  
        Emerging Markets Debt     14.8%  
        Global Income     13.5%  
        U.S. High Yield Bond     13.4%  
        Short Duration Credit Opportunities     13.2%  
        Global Short Duration Credit     12.9%  
        Floating Rate Income     12.7%  
        Core Bond     12.1%  
        Real Return Bond     11.8%  
        Total Return     11.6%  
        Real Estate Equity     9.0%  
        Capital Appreciation Value     8.9%  
        Fundamental Global Franchise     8.8%  
        Focused High Yield     8.4%  
        Global Equity     8.3%  
        Fundamental Large Cap Value     8.2%  
        Mid Value     7.5%  
        U.S. Equity     7.5%  
        Global Real Estate     7.2%  
        Equity Income     7.2%  
        Small Company Growth     6.8%  
        High Yield     6.6%  
        Small Cap Growth     6.6%  
        Absolute Return Currency     6.4%  
        Redwood     6.2%  
        Small Cap Value     6.0%  
        International Growth Stock     5.8%  
        International Small Company     5.7%  
        Natural Resources     5.6%  
        International Value Equity     5.5%  
        Alpha Opportunities     5.5%  
  Lifestyle Conservative Portfolio        
        Short Term Government Income     61.2%  
        Enduring Equity     45.6%  
        Investment Quality Bond     28.0%  
        Active Bond     21.4%  
        Global Bond     20.4%  
        Real Return Bond     17.9%  
        Emerging Markets Debt     15.4%  
        Asia Pacific Total Return Bond     15.2%  
        Spectrum Income     13.8%  

50


                 
  Portolio Affiliate Class NAV     Percentage of
Underlying Funds'
Net Assets
 
  Lifestyle Conservative Portfolio (continued)        
        Core Bond     13.4%  
        Total Return     12.6%  
        Short Duration Credit Opportunities     11.2%  
        Floating Rate Income     11.1%  
        Global Short Duration Credit     8.7%  
        Core High Yield     8.0%  
        Absolute Return Currency     7.3%  
        Real Estate Equity     7.2%  
        Global Income     7.1%  
        Global Equity     6.1%  
        Global Real Estate     5.7%  
        U.S. High Yield Bond     5.1%  

Information regarding the portfolios' fiscal year to date purchases and sales of the affiliated underlying funds as well as income and capital gains earned by the portfolios' from their investments in affiliated underlying funds is as follows:

                                                     
                                Dividends and distributions              
  Portfolio     Beginning
share
amount
    Shares
purchased
    Shares
sold
    Ending
share
amount
    Income
distributions
received
    Capital gains
distributions
received
    Realized
gain (loss)
    Ending
value
 
  Lifestyle Aggressive Portfolio                                                  
  Absolute Return Currency     5,308,985     375,447     (729,794 )   4,954,638             ($661,070 )   $42,263,059  
  All Cap Core     11,221,366         (725,316 )   10,496,050             457,052     147,154,617  
  Alpha Opportunities     22,776,609         (1,975,020 )   20,801,589             446,640     260,227,881  
  Blue Chip Growth     7,146,588         (781,319 )   6,365,269             3,725,109     224,566,693  
  Capital Appreciation     12,805,081         (1,619,493 )   11,185,588             2,165,011     209,170,505  
  Capital Appreciation Value     15,628,953     1,021,031     (450,730 )   16,199,254             (112,499 )   194,553,035  
  Disciplined Value     5,551,366         (363,244 )   5,188,122             84,395     98,522,437  
  Emerging Markets     38,100,491         (8,231,651 )   29,868,840             (6,893,824 )   301,973,973  
  Emerging Markets Equity         3,285,395         3,285,395                 32,459,704  
  Equity Income     12,308,384     106,968     (680,493 )   11,734,859     $2,134,785         (829,285 )   230,707,326  
  Financial Industries     6,091,971             6,091,971                 110,630,186  
  Fundamental Global Franchise     3,619,481         (127,121 )   3,492,360             (10,197 )   45,470,522  
  Fundamental Large Cap Value     14,611,663         (1,034,915 )   13,576,748             37,988     188,309,492  
  Global Absolute Return Strategies     4,088,162     438,558         4,526,720                 50,518,197  
  Global Equity     4,381,680         (206,385 )   4,175,295             57,203     45,218,440  
  Global Real Estate     2,471,014     193,395     (170,712 )   2,493,697             348,675     22,543,017  
  Global Shareholder Yield     4,032,452     155,233     (116,486 )   4,071,199     810,883         31,653     44,742,479  
  Greater China Opportunities     589,864             589,864                 13,696,652  
  Health Sciences     3,517,552         (563,391 )   2,954,161             1,982,644     57,901,561  
  International Core     3,554,419     966,939         4,521,358                 149,114,393  
  International Growth Opportunities     6,991,857     1,301,868         8,293,725                 111,135,914  
  International Growth Stock     7,665,484     1,380,646         9,046,130                 120,675,372  
  International Small Cap     4,610,376     756,935     (27,593 )   5,339,718             (13,011 )   103,376,934  
  International Small Company     8,489,395     1,438,704         9,928,099                 103,152,950  
  International Value     14,122,049     695,446         14,817,495                 233,968,246  
  International Value Equity     7,912,226     1,729,691         9,641,917                 80,992,103  
  Mid Cap Stock     9,473,811         (766,649 )   8,707,162             (260,573 )   190,338,554  
  Mid Value     9,329,141         (330,284 )   8,998,857             80,703     147,851,223  
  Natural Resources     5,404,149     358,907         5,763,056                 72,268,717  
  Real Estate Equity     1,913,905     211,919     (150,576 )   1,975,248             449,734     22,577,081  
  Redwood     3,105,624     20,192     (25,723 )   3,100,093             (13,571 )   34,473,033  
  Science & Technology     10,842,957         (631,568 )   10,211,389             289,607     136,015,706  
  Seaport     2,020,708     95,450         2,116,158                 23,298,899  
  Select Growth     552,742         (20,141 )   532,601             99,522     11,504,172  
  Small Cap Core     3,482,110     31,488     (221,576 )   3,292,022             87,292     34,664,994  
  Small Cap Growth     3,565,456     31,043     (217,114 )   3,379,385             56,113     36,125,624  
  Small Cap Opportunities     1,311,508         (46,268 )   1,265,240             (155,609 )   34,515,757  

51


                                                     
                                Dividends and distributions              
  Portfolio     Beginning
share
amount
    Shares
purchased
    Shares
sold
    Ending
share
amount
    Income
distributions
received
    Capital gains
distributions
received
    Realized
gain (loss)
    Ending
value
 
  Small Cap Value     2,009,699     345,329     (75,380 )   2,279,648             50,488     46,550,413  
  Small Company Growth     1,685,315         (133,215 )   1,552,100             153,586     32,982,133  
  Small Company Value     1,134,518     7,266     (216,493 )   925,291             2,072,487     31,922,539  
  Strategic Growth     13,899,338         (1,265,246 )   12,634,092             1,587,599     207,830,821  
  Technical Opportunities     10,514,061         (1,372,679 )   9,141,382             273,571     131,727,320  
  U.S. Equity     7,290,764         (12,368 )   7,278,396             (19,102 )   85,957,858  
  Value     5,291,183         (268,273 )   5,022,910             92,844     63,539,805  
  Value Equity     5,571,558         (399,244 )   5,172,314             238,675     54,981,696  
                                2,945,668         $5,899,850     $4,622,172,033  
  Lifestyle Growth Portfolio                                                  
  Absolute Return Currency     36,120,341     2,269,260     (10,188,787 )   28,200,814             ($12,730,726 )   $240,552,945  
  Active Bond     15,085,292     436,663     (629,492 )   14,892,463     $2,300,658         (85,817 )   150,413,880  
  All Cap Core     28,858,658         (1,833,082 )   27,025,576             484,443     378,898,582  
  Alpha Opportunities     57,261,066         (5,986,897 )   51,274,169             1,168,047     641,439,850  
  Asia Pacific Total Return Bond     9,463,763             9,463,763                 87,255,899  
  Blue Chip Growth     20,522,391         (3,026,935 )   17,495,456             13,941,350     617,239,676  
  Capital Appreciation     35,257,206         (5,190,114 )   30,067,092             7,697,597     562,254,626  
  Capital Appreciation Value     56,547,253     522,830     (1,303,886 )   55,766,197             (184,121 )   669,752,028  
  Core Bond     2,939,663     75,602     (43,102 )   2,972,163     231,686         7,650     38,459,793  
  Disciplined Value     15,161,743         (795,238 )   14,366,505             388,140     272,819,937  
  Emerging Markets     80,550,870         (13,078,107 )   67,472,763             (6,369,696 )   682,149,629  
  Emerging Markets Debt     14,930,715     538,694         15,469,409     2,974,122             142,009,177  
  Emerging Markets Equity         7,195,681         7,195,681                 71,093,326  
  Equity Income     33,040,921     286,947     (1,630,174 )   31,697,694     5,739,560         (1,887,231 )   623,176,661  
  Financial Industries     16,196,463             16,196,463                 294,127,772  
  Floating Rate Income     46,732,522     1,158,424     (1,092,896 )   46,798,050     10,415,352         (532,941 )   417,906,586  
  Focused High Yield     24,461,030     1,212,675     (1,779,401 )   23,894,304     3,092,969         (402,364 )   84,824,779  
  Fundamental Global Franchise     11,723,181     219,752     (780,558 )   11,162,375             (124,735 )   145,334,125  
  Fundamental Large Cap Value     36,820,324         (2,430,673 )   34,389,651             156,965     476,984,458  
  Global Absolute Return Strategies     15,785,926     8,915,006         24,700,932                 275,662,402  
  Global Bond     4,469,993     314,366     (1,338,448 )   3,445,911             359,890     40,523,918  
  Global Equity     13,762,980     578,050     (687,370 )   13,653,660             (567,097 )   147,869,136  
  Global Income     10,685,892     329,208     (733,016 )   10,282,084     2,975,584         (662,226 )   96,857,228  
  Global Real Estate     7,798,535     223,679     (544,100 )   7,478,114             1,258,527     67,602,147  
  Global Shareholder Yield     18,436,659     584,626     (520,395 )   18,500,890     3,731,475         (432,542 )   203,324,780  
  Global Short Duration Credit     7,775,251     225,354     (511,545 )   7,489,060     2,098,972         (402,983 )   69,198,918  
  Health Sciences     9,943,780         (1,849,198 )   8,094,582             6,279,558     158,653,813  
  High Yield     5,920,552     234,971     (818,242 )   5,337,281     1,557,631         1,205,244     45,580,377  
  International Core     8,558,206     2,824,372         11,382,578                 375,397,427  
  International Growth Opportunities     17,265,301     3,578,279         20,843,580                 279,303,973  
  International Growth Stock     18,803,446     3,795,677         22,599,123                 301,472,298  
  International Small Cap     10,732,390     1,680,423         12,412,813                 240,312,059  
  International Small Company     19,756,195     3,265,341         23,021,536                 239,193,760  
  International Value     34,325,714     2,244,154         36,569,868                 577,438,221  
  International Value Equity     19,312,324     5,067,642         24,379,966                 204,791,714  
  Mid Cap Stock     24,342,443         (2,450,106 )   21,892,337             (606,813 )   478,566,494  
  Mid Value     23,780,887         (1,303,997 )   22,476,890             427,481     369,295,296  
  Natural Resources     12,273,998     1,677,562         13,951,560                 174,952,564  
  Real Estate Equity     6,047,596     349,907     (493,055 )   5,904,448             1,210,851     67,487,845  
  Real Return Bond     6,151,888     2,565,070         8,716,958                 96,758,237  
  Redwood     10,971,653         (347,660 )   10,623,993             (156,448 )   118,138,804  
  Science & Technology     28,665,217         (2,290,480 )   26,374,737             1,251,751     351,311,494  
  Seaport     4,475,646             4,475,646                 49,276,859  

52


                                                     
                                Dividends and distributions              
  Portfolio     Beginning
share
amount
    Shares
purchased
    Shares
sold
    Ending
share
amount
    Income
distributions
received
    Capital gains
distributions
received
    Realized
gain (loss)
    Ending
value
 
  Short Duration Credit Opportunities     22,293,162     1,154,496     (141,272 )   23,306,386     4,101,254         (68,291 )   228,635,649  
  Small Cap Core     7,398,678         (554,041 )   6,844,637             227,954     72,074,032  
  Small Cap Growth     7,533,925         (562,061 )   6,971,864             169,310     74,529,227  
  Small Cap Opportunities     2,797,779         (166,380 )   2,631,399             (553,614 )   71,784,577  
  Small Cap Value     4,337,375     745,067     (225,392 )   4,857,050             178,066     99,180,953  
  Small Company Growth     3,537,444         (354,644 )   3,182,800             490,016     67,634,501  
  Small Company Value     2,478,926         (506,474 )   1,972,452             5,177,205     68,049,580  
  Spectrum Income     13,179,629     1,200,383         14,380,012     1,863,232             150,127,322  
  Strategic Growth     38,223,128         (4,149,563 )   34,073,565             4,737,583     560,510,151  
  Strategic Income Opportunities     20,772,203     1,371,593     (253,617 )   21,890,179     3,715,412         7,960     237,727,349  
  Technical Opportunities     27,863,282         (4,248,617 )   23,614,665             1,403,724     340,287,322  
  Total Return     8,299,431     264,346     (365,497 )   8,198,280     581,085         (56,981 )   111,660,571  
  U.S. Equity     27,070,909         (738,913 )   26,331,996             (400,821 )   310,980,871  
  U.S. High Yield Bond     5,050,026     138,541     (341,816 )   4,846,751     1,595,780         97,010     55,446,826  
  Value     13,853,078         (984,666 )   12,868,412             427,576     162,785,409  
  Value Equity     18,993,069         (1,038,288 )   17,954,781             620,298     190,859,326  
                                46,974,772         $23,148,749     $14,427,937,159  
  Lifestyle Balanced Portfolio                                                  
  Absolute Return Currency     38,174,313     2,518,350     (8,431,815 )   32,260,848             ($10,240,906 )   $275,185,033  
  Active Bond     52,703,716     1,047,066     (197,125 )   53,553,657     $8,182,707         7,885     540,891,940  
  All Cap Core     18,314,663         (1,258,004 )   17,056,659             217,872     239,134,362  
  Alpha Opportunities     41,403,053         (5,067,841 )   36,335,212             (1,701,199 )   454,553,495  
  Asia Pacific Total Return Bond     16,906,695             16,906,695                 155,879,731  
  Blue Chip Growth     15,783,054         (2,574,951 )   13,208,103             18,985,432     465,981,880  
  Capital Appreciation     25,370,046         (4,295,974 )   21,074,072             22,456,729     394,085,146  
  Capital Appreciation Value     56,661,302     535,527     (1,805,546 )   55,391,283             (892,539 )   665,249,305  
  Core Bond     15,079,228     582,200         15,661,428     1,214,898             202,658,884  
  Disciplined Value     12,273,904         (1,127,432 )   11,146,472             550,989     211,671,508  
  Emerging Markets     55,752,323         (10,066,029 )   45,686,294             4,065,499     461,888,429  
  Emerging Markets Debt     21,087,058     538,970         21,626,028     4,182,096             198,526,939  
  Emerging Markets Equity         5,053,399         5,053,399                 49,927,587  
  Equity Income     25,165,019     217,346     (1,750,048 )   23,632,317     4,347,358         (1,827,192 )   464,611,345  
  Financial Industries     14,284,709             14,284,709                 259,410,320  
  Floating Rate Income     99,612,529     2,447,878     (4,511,116 )   97,549,291     22,011,430         (2,638,777 )   871,115,171  
  Focused High Yield     46,513,241     1,640,680     (3,824,922 )   44,328,999     5,847,174         (890,251 )   157,367,948  
  Fundamental Global Franchise     10,922,464     470,156     (858,868 )   10,533,752             118,219     137,149,445  
  Fundamental Large Cap Value     27,247,049         (2,310,190 )   24,936,859             629,043     345,874,237  
  Global Absolute Return Strategies     19,535,967     8,139,801         27,675,768                 308,861,568  
  Global Bond     15,162,448     63,237     (85,251 )   15,140,434             (46,316 )   178,051,498  
  Global Equity     13,262,545     1,005,062     (913,248 )   13,354,359             (813,337 )   144,627,707  
  Global Income     19,287,222     555,288     (1,836,891 )   18,005,619     5,323,850         (1,720,816 )   169,612,930  
  Global Real Estate     12,359,581         (843,170 )   11,516,411             2,082,645     104,108,356  
  Global Shareholder Yield     18,119,666     742,030     (659,193 )   18,202,503     3,684,703         (290,188 )   200,045,505  
  Global Short Duration Credit     18,071,510     526,476     (864,050 )   17,733,936     4,903,162         (689,258 )   163,861,572  
  Health Sciences     9,080,630         (1,782,583 )   7,298,047             5,812,050     143,041,718  
  High Yield     12,246,463     356,185     (2,309,994 )   10,292,654     3,068,492         4,392,813     87,899,269  
  International Core     7,161,571     2,356,163         9,517,734                 313,894,864  
  International Growth Opportunities     14,146,749     3,112,243         17,258,992                 231,270,494  
  International Growth Stock     15,365,863     3,306,138         18,672,001                 249,084,499  
  International Small Cap     8,228,088     1,251,799         9,479,887                 183,530,606  
  International Small Company     15,096,820     2,463,861         17,560,681                 182,455,472  
  International Value     28,361,797     1,544,305         29,906,102                 472,217,358  
  International Value Equity     15,871,023     4,107,404         19,978,427                 167,818,788  

53


                                                     
                                Dividends and distributions              
  Portfolio     Beginning
share
amount
    Shares
purchased
    Shares
sold
    Ending
share
amount
    Income
distributions
received
    Capital gains
distributions
received
    Realized
gain (loss)
    Ending
value
 
  Investment Quality Bond     15,874,804     730,462         16,605,266     1,729,433             202,418,196  
  Mid Cap Stock     17,879,075         (1,965,854 )   15,913,221             (476,473 )   347,863,006  
  Mid Value     17,823,947         (1,130,945 )   16,693,002             305,812     274,266,022  
  Natural Resources     12,385,561     1,474,621         13,860,182                 173,806,686  
  Real Estate Equity     6,382,013     63,693     (496,636 )   5,949,070             1,820,316     67,997,867  
  Real Return Bond     13,349,453     90,498     (99,608 )   13,340,343             (33,867 )   148,077,812  
  Redwood     11,119,638         (425,615 )   10,694,023             (174,189 )   118,917,533  
  Science & Technology     24,224,245         (2,121,510 )   22,102,735             1,136,412     294,408,432  
  Seaport     4,439,014             4,439,014                 48,873,540  
  Short Duration Credit Opportunities     54,067,343     2,038,033     (558,786 )   55,546,590     9,941,889         (352,875 )   544,912,044  
  Small Cap Core     5,858,570         (502,049 )   5,356,521             219,845     56,404,164  
  Small Cap Growth     5,982,643         (507,196 )   5,475,447             169,673     58,532,526  
  Small Cap Opportunities     2,221,554         (158,919 )   2,062,635             (525,261 )   56,268,691  
  Small Cap Value     3,528,159     597,591     (206,296 )   3,919,454             172,044     80,035,249  
  Small Company Growth     2,790,140         (306,779 )   2,483,361             471,131     52,771,411  
  Small Company Value     2,029,769         (431,695 )   1,598,074             4,626,620     55,133,557  
  Spectrum Income     35,470,819     1,936,200     (98,481 )   37,308,538     4,878,175         (2,078 )   389,501,141  
  Strategic Growth     27,529,692         (3,605,445 )   23,924,247             5,003,761     393,553,870  
  Strategic Income Opportunities     55,931,757     2,545,970     (1,694,909 )   56,782,818     9,751,647         (383,760 )   616,661,404  
  Technical Opportunities     17,621,949         (3,076,868 )   14,545,081             210,932     209,594,619  
  Total Return     27,283,892     361,806     (281,691 )   27,364,007     1,939,532         103,715     372,697,770  
  U.S. Equity     25,974,572         (970,404 )   25,004,168             (529,905 )   295,299,229  
  U.S. High Yield Bond     10,532,498     279,434     (1,144,106 )   9,667,826     3,218,690         346,569     110,599,930  
  Value     10,658,702         (850,910 )   9,807,792             378,555     124,068,565  
  Value Equity     13,560,434         (1,383,631 )   12,176,803             837,559     129,439,411  
                                94,225,236         $50,892,933     $15,073,647,584  
  Lifestyle Moderate Portfolio                                                  
  Absolute Return Currency     11,747,892     780,629     (1,538,948 )   10,989,573             ($1,963,200 )   $93,741,056  
  Active Bond     36,930,439     548,244     (1,136,079 )   36,342,604     $5,595,942         (179,432 )   367,060,302  
  Alpha Opportunities     8,448,036         (983,501 )   7,464,535             (117,267 )   $93,381,333  
  Asia Pacific Total Return Bond     8,464,238             8,464,238                 78,040,274  
  Blue Chip Growth     3,865,064         (560,076 )   3,304,988             1,291,543     116,599,976  
  Capital Appreciation     5,969,754         (963,655 )   5,006,099             3,068,353     93,614,060  
  Capital Appreciation Value     16,641,788     141,186     (944,236 )   15,838,738             (380,910 )   190,223,241  
  Core Bond     10,882,488     489,743         11,372,231     889,232             147,156,672  
  Emerging Markets     9,732,275         (1,394,682 )   8,337,593             (2,344,223 )   84,293,065  
  Emerging Markets Debt     9,137,253     233,542         9,370,795     1,812,148             86,023,894  
  Emerging Markets Equity         953,137         953,137                 9,416,989  
  Enduring Equity     2,223,322     22,396     (156,874 )   2,088,844     243,221         180,187     22,058,190  
  Equity Income     7,785,636     66,696     (557,120 )   7,295,212     1,334,061         (248,997 )   143,423,872  
  Floating Rate Income     45,762,612     1,117,703     (2,944,588 )   43,935,727     10,051,184         (2,291,157 )   392,346,040  
  Focused High Yield     19,734,978     693,193     (1,937,238 )   18,490,933     2,470,554         (447,656 )   65,642,814  
  Fundamental Global Franchise     3,212,952     193,402     (292,193 )   3,114,161             (46,458 )   40,546,373  
  Fundamental Large Cap Value     11,329,665         (1,218,427 )   10,111,238             75,464     140,242,876  
  Global Absolute Return Strategies     7,414,353     2,086,538         9,500,891                 106,029,946  
  Global Bond     8,992,596     28,991     (68,201 )   8,953,386             (33,564 )   105,291,823  
  Global Equity     3,663,615     419,647     (304,094 )   3,779,168             (250,267 )   40,928,395  
  Global Income     7,842,103     223,849     (918,419 )   7,147,533     2,146,430         (947,676 )   67,329,765  
  Global Real Estate     2,569,596         (173,400 )   2,396,196             654,150     21,661,616  
  Global Shareholder Yield     5,115,861     267,664     (256,979 )   5,126,546     1,041,883         (140,319 )   56,340,738  
  Global Short Duration Credit     5,577,807     160,007     (515,494 )   5,222,320     1,490,525         (405,014 )   48,254,234  
  High Yield     5,609,743     170,628     (806,171 )   4,974,200     1,469,920         52,335     42,479,669  
  International Core     1,461,546     205,653     (60,735 )   1,606,464             (4,959 )   52,981,193  

54


                                                     
                                Dividends and distributions              
  Portfolio     Beginning
share
amount
    Shares
purchased
    Shares
sold
    Ending
share
amount
    Income
distributions
received
    Capital gains
distributions
received
    Realized
gain (loss)
    Ending
value
 
  International Growth Opportunities     2,850,400     397,593         3,247,993                 43,523,103  
  International Growth Stock     3,094,207     436,202         3,530,409                 47,095,656  
  International Small Cap     1,770,496     244,207         2,014,703                 39,004,658  
  International Small Company     3,294,259     464,051         3,758,310                 39,048,845  
  International Value     5,943,123         (127,469 )   5,815,654             (307,416 )   91,829,169  
  International Value Equity     3,262,367     459,139     (120,048 )   3,601,458             (77,088 )   30,252,249  
  Investment Quality Bond     11,465,478     574,677         12,040,155     1,265,696             146,769,492  
  Mid Cap Stock     3,645,628         (461,937 )   3,183,691             175,171     69,595,476  
  Mid Value     5,015,859         (406,704 )   4,609,155             125,920     75,728,422  
  Natural Resources     2,735,344     281,002         3,016,346                 37,824,975  
  Real Estate Equity     1,990,261     31,418     (157,768 )   1,863,911             971,131     21,304,504  
  Real Return Bond     5,489,534     638,009     (19,522 )   6,108,021             (7,809 )   67,799,030  
  Redwood     3,333,133         (181,034 )   3,152,099             76,446     35,051,346  
  Seaport     1,292,187             1,292,187                 14,226,977  
  Short Duration Credit Opportunities     19,727,274     763,732     (656,743 )   19,834,263     3,603,379         (334,216 )   194,574,123  
  Small Cap Growth     1,582,268         (161,274 )   1,420,994             63,415     15,190,424  
  Small Cap Value     958,885     137,898     (73,312 )   1,023,471             56,430     20,899,278  
  Small Company Growth     723,081         (91,621 )   631,460             135,213     13,418,534  
  Small Company Value     543,228         (123,402 )   419,826             1,171,866     14,483,999  
  Spectrum Income     13,995,897     765,558     (406,544 )   14,354,911     1,912,710         (43,830 )   149,865,268  
  Strategic Growth     6,476,831         (790,182 )   5,686,649             1,123,636     93,545,374  
  Strategic Income Opportunities     21,717,775     996,906     (965,898 )   21,748,783     3,801,967         (118,807 )   236,191,778  
  Total Return     20,156,289     97,254     (1,732,966 )   18,520,577     1,323,631         (95,930 )   252,250,261  
  U.S. Equity     7,765,351         (421,030 )   7,344,321             42,004     86,736,435  
  U.S. High Yield Bond     4,689,932     124,361     (550,083 )   4,264,210     1,432,499         (313,178 )   48,782,565  
                                $41,884,982         ($1,836,109 )   $4,590,100,347  
  Lifestyle Conservative Portfolio                                                  
  Absolute Return Currency     14,287,229     577,233     (2,401,184 )   12,463,278             ($3,653,035 )   $106,311,757  
  Active Bond     41,206,273     597,174     (2,800,335 )   39,003,112     $6,096,309         (307,118 )   393,931,432  
  Alpha Opportunities     2,759,454         (486,284 )   2,273,170             (416,788 )   28,437,353  
  Asia Pacific Total Return Bond     7,198,186             7,198,186                 66,367,274  
  Blue Chip Growth     1,698,804         (349,579 )   1,349,225             4,908,052     47,600,644  
  Capital Appreciation     863,699         (190,230 )   673,469             8,048     12,593,866  
  Capital Appreciation Value     9,272,222     138,254     (983,166 )   8,427,310             (672,480 )   101,211,994  
  Core Bond     12,142,221     603,440     (117,582 )   12,628,079     988,320         (34,412 )   163,407,342  
  Core High Yield     7,288,442     223,344     (1,212,608 )   6,299,178     2,319,208         (777,848 )   65,007,513  
  Emerging Markets     3,036,374         (604,962 )   2,431,412             331,172     24,581,574  
  Emerging Markets Debt     9,530,113     243,583         9,773,696     1,890,062             89,722,527  
  Emerging Markets Equity         315,160         315,160                 3,113,782  
  Enduring Equity     6,907,183     195,787     (668,699 )   6,434,271     743,607         771,762     67,945,897  
  Equity Income     2,912,761     23,811     (383,366 )   2,553,206     476,264         1,913,627     50,196,031  
  Floating Rate Income     41,250,877     991,066     (3,825,638 )   38,416,305     8,914,042         (1,901,618 )   343,057,605  
  Fundamental Global Franchise     1,743,784     218,479     (232,022 )   1,730,241             (43,371 )   22,527,735  
  Fundamental Large Cap Value     3,884,677         (628,252 )   3,256,425             (179,998 )   45,166,617  
  Global Absolute Return Strategies     8,353,235     2,807,645         11,160,880                 124,555,424  
  Global Bond     9,607,335     110,464     (293,032 )   9,424,767             (138,755 )   110,835,256  
  Global Equity     2,652,709     463,211     (323,921 )   2,791,999             (264,391 )   30,237,349  
  Global Income     4,680,293     126,636     (1,013,283 )   3,793,646     1,215,168         (357,424 )   35,736,149  
  Global Real Estate     1,995,738     54,705     (163,675 )   1,886,768             673,224     17,056,381  
  Global Shareholder Yield     2,725,983     254,102     (222,634 )   2,757,451     558,200         (128,949 )   30,304,391  
  Global Short Duration Credit     3,986,943     112,004     (556,127 )   3,542,820     1,043,689         (427,633 )   32,735,660  
  High Yield     1,941,075     46,157     (778,253 )   1,208,979     397,656         1,887,112     10,324,679  
  International Core     601,305     213,845     (31,727 )   783,423             (60,786 )   25,837,291  

55


                                                     
                                Dividends and distributions              
  Portfolio     Beginning
share
amount
    Shares
purchased
    Shares
sold
    Ending
share
amount
    Income
distributions
received
    Capital gains
distributions
received
    Realized
gain (loss)
    Ending
value
 
  International Growth Stock     2,162,179     787,355         2,949,534                 39,346,789  
  International Value     3,337,783         (143,404 )   3,194,379             (155,461 )   50,439,247  
  Investment Quality Bond     12,790,592     711,598     (97,158 )   13,405,032     1,407,215         (29,919 )   163,407,342  
  Mid Cap Stock     1,406,479     2,144     (219,821 )   1,188,802             (7,892 )   25,987,222  
  Mid Value     1,252,918     1,746     (139,943 )   1,114,721             69,329     18,314,871  
  Natural Resources     1,047,873     176,274         1,224,147                 15,350,804  
  Real Estate Equity     1,545,784     92,269     (145,189 )   1,492,864             909,267     17,063,432  
  Real Return Bond     8,666,245     805,536     (240,142 )   9,231,639             (354,845 )   102,471,194  
  Redwood     1,984,264         (162,877 )   1,821,387             80,107     20,253,824  
  Seaport     751,000             751,000                 8,268,510  
  Short Duration Credit Opportunities     16,978,600     609,313     (743,008 )   16,844,905     3,088,265         (190,064 )   165,248,519  
  Short Term Government Income     15,382,657     85,558     (945,700 )   14,522,515     829,648         (309,739 )   140,868,398  
  Small Cap Growth     917,094     22,287     (135,857 )   803,524             68,763     8,589,675  
  Small Cap Value     248,247     37,161     (25,237 )   260,171             16,886     5,312,690  
  Small Company Value     139,555         (35,572 )   103,983             357,907     3,587,397  
  Spectrum Income     12,318,101     620,413     (634,456 )   12,304,058     1,653,993         (16,394 )   128,454,370  
  Strategic Growth     947,632         (173,169 )   774,463             97,301     12,739,920  
  Strategic Income Opportunities     19,130,248     780,825     (1,277,790 )   18,633,283     3,303,029         (54,518 )   202,357,454  
  Total Return     21,351,049     104,973     (1,413,045 )   20,042,977     1,428,673         (132,308 )   272,985,347  
  U.S. Equity     4,036,469     5,205     (328,778 )   3,712,896             36,318     43,849,306  
  U.S. High Yield Bond     2,003,370     48,736     (426,882 )   1,625,224     561,423         194,381     18,592,568  
                                $36,914,771         $1,707,510     $3,512,292,402  

56


EVALUATION OF ADVISORY AND SUBADVISORY AGREEMENTS BY THE BOARD OF TRUSTEES


This section describes the evaluation by the Board of Trustees (the Board) of John Hancock Funds II (the Trust) of the Advisory Agreement (the Advisory Agreement) and each Subadvisory Agreement (collectively, the Subadvisory Agreements) with respect to each of the portfolios of the Trust included in this report (the Funds). The Advisory and Subadvisory Agreements are collectively referred to as the Agreements. Prior to the June 23-25, 2015 in-person meeting at which the Agreements were approved, the Board also discussed and considered information regarding the proposed continuation of the Agreements at an in-person meeting held on May 21-22, 2015.

Approval of Advisory and Subadvisory Agreements

At in-person meetings held on June 23-25, 2015, the Board, including the Trustees who are not considered to be interested persons of the Trust under the Investment Company Act of 1940, as amended (the 1940 Act) (the Independent Trustees), reapproved for an annual period, the continuation of the Advisory Agreement between the Trust and the Advisor and the applicable Subadvisory Agreements between the Advisor and the sub-advisers (each, a "Subadvisor" and collectively, the "Subadvisors") with respect to each of the Funds identified below.

In considering the Advisory Agreement and the Subadvisory Agreements with respect to each Fund, the Board received in advance of the meetings a variety of materials relating to each Fund, the Advisor and each Subadvisor, including comparative performance, fee and expense information for peer groups of similar mutual funds prepared by an independent third-party provider of mutual fund data; performance information for the Funds' benchmark indices; and, with respect to each Subadvisor, comparative performance information for comparably managed accounts, as applicable; and other information provided by the Advisor and the Subadvisors regarding the nature, extent and quality of services provided by the Advisor and the Subadvisors under their respective Agreements, as well as information regarding the Advisor's revenues and costs of providing services to the Funds and any compensation paid to affiliates of the Advisor. At the meetings at which the renewal of the Advisory Agreement and Subadvisory Agreements are considered, particular focus is given to information concerning Fund performance, comparability of fees and total expenses, and profitability. However, the Board notes that the evaluation process with respect to the Advisor and the Subadvisors is an ongoing one. In this regard, the Board also took into account discussions with management and information provided to the Board at prior meetings with respect to the services provided by the Advisor and the Subadvisors to the Funds, including quarterly performance reports prepared by management containing reviews of investment results, and periodic presentations from the Subadvisors with respect to the Funds they manage. The Board noted the affiliation of the Subadvisors with the Advisor, noting any potential conflicts of interest. The Board also considered the nature, quality, and extent of the non-advisory services, if any, to be provided to the Funds by the Advisor's affiliates, including distribution services.

Throughout the process, the Board asked questions of and requested additional information from management. The Board is assisted by counsel for the Trust and the Independent Trustees are also separately assisted by independent legal counsel throughout the process. The Independent Trustees also received a memorandum from their independent counsel discussing the legal standards for their consideration of the proposed continuation of the Agreements and discussed the proposed continuation of the Agreements in private sessions with their independent legal counsel at which no representatives of management were present.

Approval of Advisory Agreement

In approving the Advisory Agreement with respect to each Fund, the Board, including the Independent Trustees, considered a variety of factors, including those discussed below. The Board also considered other factors (including conditions and trends prevailing generally in the economy, the securities markets and the industry) and does not treat any single factor as determinative, and each Trustee may attribute different weights to different factors. The Board's conclusions may be based in part on its consideration of the advisory and subadvisory arrangements in prior years and on the Board's ongoing regular review of Fund performance and operations throughout the year.

Nature, Extent and Quality of Services. Among the information received by the Board from the Advisor relating to the nature, extent and quality of services provided to the Funds, the Board reviewed information provided by the Advisor relating to its operations and personnel, descriptions of its organizational and management structure, and information regarding the Advisor's compliance and regulatory history, including its Form ADV. The Board also noted that on a regular basis it receives and reviews information from the Trust's Chief Compliance Officer (CCO) regarding the Funds' compliance policies and procedures established pursuant to Rule 38a-1 under the 1940 Act. The Board also considered the Advisor's risk management processes. The Board considered that the Advisor is responsible for the management of the day-to-day operations of the Funds, including but not limited to, general supervision of and coordination of the services provided by the Subadvisors, and is also responsible for monitoring and reviewing the activities of the Subadvisors and other third-party service providers.

In considering the nature, extent and quality of the services provided by the Advisor, the Trustees also took into account their knowledge of the Advisor's management and the quality of the performance of the Advisor's duties, through Board meetings, discussions and reports during the preceding year and through each Trustee's experience as a Trustee of the Trust and of the other trusts in the complex.

In the course of their deliberations regarding the Advisory Agreement, the Board considered, among other things:

                 
        (a)     the skills and competency with which the Advisor has in the past managed the Trust's affairs and its subadvisory relationships, the Advisor's oversight and monitoring of the Subadvisors' investment performance and compliance programs, such as the Subadvisors' compliance with fund policies and objectives, review of brokerage matters including with respect to trade allocation and best execution, and the Advisor's timeliness in responding to performance issues;  
        (b)     the background, qualifications and skills of the Advisor's personnel;  
        (c)     the Advisor's compliance policies and procedures and its responsiveness to regulatory changes and mutual fund industry developments;  

57


                 
        (d)     the Advisor's administrative capabilities, including its ability to supervise the other service providers for the Funds;  
        (e)     the financial condition of the Advisor and whether it has the financial wherewithal to provide a high level and quality of services to the Funds; and  
        (f)     the Advisor's reputation and experience in serving as an investment adviser to the Trust and the benefit to shareholders of investing in funds that are part of a family of funds offering a variety of investments.  

The Board concluded that the Advisor may reasonably be expected to continue to provide a high quality of services under the Advisory Agreement with respect to the Funds.

Investment Performance. In considering each Fund's performance, the Board noted that it reviews at its regularly scheduled meetings information about the Funds' performance results. In connection with the consideration of the Advisory Agreement, the Board:

     
  (a) reviewed information prepared by management regarding the Funds' performance;
  (b) considered the comparative performance of each Fund's respective benchmark;
  (c) considered the performance of comparable funds, if any, as included in the report prepared by an independent third-party provider of mutual fund data; and
  (d) took into account the Advisor's analysis of each Fund's performance and its plans and recommendations regarding the Trust's subadvisory arrangements generally and with respect to particular Funds.

The Board concluded that the performance of each of the Funds has been in line with or outperformed the historical performance of comparable funds, with certain exceptions noted in Appendix A, and also reviewed Fund performance against each Fund's respective benchmarks. The Board concluded that such performance is being monitored and reasonably addressed.

Fees and Expenses. The Board reviewed comparative information prepared by an independent third-party provider of mutual fund data including, among other data, each Fund's contractual and net management fees (and subadvisory fees, to the extent available) and total expenses as compared to similarly situated investment companies deemed to be comparable to the Fund. The Board considered each Fund's ranking within a smaller group of peer funds chosen by the independent third-party provider, as well as the Fund's ranking within broader groups of funds. In comparing each Fund's contractual and net management fees to that of comparable funds, the Board noted that such fee includes both advisory and administrative costs.

The Board took into account management's discussion with respect to the advisory/subadvisory fee structure, including the amount of the advisory fee retained by the Advisor after payment of the subadvisory fees. The Board also noted that, in addition, the Advisor is currently waiving fees and/or reimbursing expenses with respect to the Funds. The Board also noted that the Advisor pays the subadvisory fees of the Funds. In addition, the Board noted that the Advisor effected or continued advisory fee reductions in the past year with respect to the Funds. The Board also took into account that management had agreed to implement an overall fee waiver across the complex, which is discussed further below. The Board also noted management's discussion of the Funds' expenses, as well as certain actions taken over the past several years to reduce the Funds' operating expenses. The Board reviewed information provided by the Advisor concerning investment advisory fees charged to other clients (including other funds in the complex) having similar investment mandates, if any. The Board considered any differences between the Advisor's and a Subadvisor's services to a Fund and the services they provide to other such comparable clients or funds. The Board concluded that the advisory fee paid with respect to each of the Funds is reasonable.

In addition, the Trustees reviewed the advisory fee to be paid to the Advisor for each Fund, each of which is a fund of funds, and concluded that the advisory fee to be paid to the Advisor with respect to each Fund is based on services provided that are in addition to, rather than duplicative of, the services provided pursuant to the advisory agreements for the underlying portfolios of the Fund and that the additional services are necessary because of the differences between the investment policies, strategies and techniques of a Fund and those of its underlying portfolios.

Profitability/Indirect Benefits. In considering the costs of the services to be provided and the profits to be realized by the Advisor and its affiliates (including the Subadvisors which are affiliated with the Advisor) from the Advisor's relationship with the Trust, the Board:

                 
        (a)     reviewed financial information of the Advisor;  
        (b)     reviewed and considered information presented by the Advisor regarding the net profitability to the Advisor and its affiliates, of each Fund;  
        (c)     received and reviewed profitability information with respect to the John Hancock fund complex as a whole;  
        (d)     received information with respect to the Advisor's allocation methodologies used in preparing the profitability data;  
        (e)     considered that the John Hancock insurance companies that are affiliates of the Advisor, as shareholders of the Trust directly or through their separate accounts, receive certain tax credits or deductions relating to foreign taxes paid and dividends received by certain Funds of the Trust and noted that these tax benefits, which are not available to participants in qualified retirement plans under applicable income tax law, are reflected in the profitability analysis reviewed by the Board;  
        (f)     considered that the Advisor also provides administrative services to the Funds on a cost basis pursuant to an administrative services agreement;  
        (g)     noted that the Funds' Subadvisors are affiliates of the Advisor;  
        (h)     noted that affiliates of the Advisor provide transfer agency services and distribution services to the Funds, and that the Trust's distributor also receives Rule 12b-1 payments to support distribution of the products;  

58


                 
        (i)     noted that the Advisor also derives reputational and other indirect benefits from providing advisory services to the Funds;  
        (j)     noted that the subadvisory fees for the Funds are paid by the Advisor;  
        (k)     with respect to each Fund, the Board noted that the advisory fee is in addition to the fees received by the Advisor and its affiliates with regard to the underlying portfolios in which the Funds may invest; and  
        (l)     considered that the Advisor should be entitled to earn a reasonable level of profits in exchange for the level of services it provides to each Fund and the entrepreneurial risk that it assumes as Advisor.  

Based upon its review, the Board concluded that the level of profitability, if any, of the Advisor and its affiliates (including Subadvisors that are affiliated with the Advisor), from their relationship with each Fund was reasonable and not excessive.

Economies of Scale. In considering the extent to which economies of scale would be realized as a Fund grows and whether fee levels reflect these economies of scale for the benefit of Fund shareholders, the Board:

     
  (a) considered that with respect to the John Hancock underlying portfolios in which the Funds invest, the Advisor has agreed to waive a portion of its management fee for such funds and for each of the other John Hancock funds in the complex (except as discussed below) (the Participating Portfolios) or otherwise reimburse the expenses of the Participating Portfolios (the Reimbursement), and that this waiver is based upon the aggregate net assets of all the Participating Portfolios. The Funds that are not Participating Portfolios are the Funds and each of the funds of funds of John Hancock Funds II and John Hancock Variable Insurance Trust. The Funds also benefit from such overall management fee waiver through their investment in underlying portfolios that include certain of the Participating Portfolios, which are subject to the Reimbursement.
  (b) reviewed the Trust's advisory fee structure and concluded that (i) the Funds' fee structures contain breakpoints at the advisory fee level and (ii) although economies of scale cannot be measured with precision, these arrangements permit shareholders of the Funds to benefit from economies of scale if those Funds grow. The Board also took into account management's discussion of the Funds' advisory fee structure; and
  (c) the Board also considered the effect of the Funds' growth in size on their performance and fees. The Board also noted that if the Funds' assets increase over time, the Funds may realize other economies of scale.

Approval of Subadvisory Agreements

In making its determination with respect to approval of the Subadvisory Agreements, the Board reviewed:

     
  (1) information relating to each Subadvisor's business, including current subadvisory services to the Trust (and other funds in the John Hancock family of funds);
  (2) the historical and current performance of each Fund and comparative performance information relating to the Fund's benchmark and comparable funds; and
  (3) the subadvisory fee for each Fund, including any breakpoints, and comparative fee information, where available, prepared by an independent third party provider of mutual fund data.

Nature, Extent and Quality of Services. With respect to the services provided by each of the Subadvisors with respect to each Fund, the Board received information provided to the Board by each Subadvisor, including each Subadvisor's Form ADV, as well as took into account information presented throughout the past year. The Board considered each Subadvisor's current level of staffing and its overall resources, as well as received information relating to a Subadvisor's compensation program. The Board reviewed each Subadvisor's history and investment experience, as well as information regarding the qualifications, background and responsibilities of the Subadvisor's investment and compliance personnel who provide services to the Funds. The Board also considered, among other things, the Subadvisor's compliance program and any disciplinary history. The Board also considered the Subadvisor's risk assessment and monitoring process. The Board reviewed each Subadvisor's regulatory history, including whether it was currently involved in any regulatory actions or investigations as well as material litigation, and any settlements and amelioratory actions undertaken, as appropriate. The Board noted that the Advisor conducts regular, periodic reviews of each Subadvisor and its operations, including regarding investment processes and organizational and staffing matters. The Board also noted that the CCO and his staff conduct regular, periodic compliance reviews with each of the Subadvisors and present reports to the Independent Trustees regarding the same, which includes evaluating the regulatory compliance systems of the Subadvisors and procedures reasonably designed by them to assure compliance with the federal securities laws. The Board also took into account the financial condition of each Subadvisor.

The Board considered each Subadvisor's investment process and philosophy. The Board took into account that each Subadvisor's responsibilities include the development and maintenance of an investment program for the applicable Fund which is consistent with the Fund's investment objectives, the selection of investment securities and the placement of orders for the purchase and sale of such securities, as well as the implementation of compliance controls related to performance of these services. The Board also received information with respect to each Subadvisor's brokerage policies and practices, including with respect to best execution and soft dollars.

Subadvisor Compensation. In considering the cost of services to be provided by each Subadvisor and the profitability to that Subadvisor of its relationship with the Fund, the Board noted that the fees under the Subadvisory Agreements are paid by the Advisor and not the Funds. The Board also noted that the Subadvisors are affiliated with the Advisor and took into account potential conflicts of interests the Advisor might have in connection with the Subadvisory Agreements.

59


In addition, the Board considered other potential indirect benefits that the Subadvisors and their affiliates may receive from the Subadvisor's relationship with the Fund, such as the opportunity to provide advisory services to additional portfolios of the Trusts and reputational benefits.

Subadvisory Fees. The Board considered that the Fund pays an advisory fee to the Advisor and that, in turn, the Advisor pays a subadvisory fee to each Subadvisor. As noted above, the Board also considered, if available, each Fund's sub-advisory fees as compared to similarly situated investment companies deemed to be comparable to the Fund as included in the report prepared by the independent third party provider of mutual fund data. The Board also took into account the sub-advisory fees paid by the Advisor to fees charged by each Fund's Subadvisor to manage other sub-advised portfolios and portfolios not subject to regulation under the 1940 Act, as applicable.

Subadvisor Performance. As noted above, the Board considered each Fund's performance as compared to the Fund's respective peer group and benchmark and noted that the Board reviews information about the Fund's performance results at its regularly scheduled meetings. The Board noted the Advisor's expertise and resources in monitoring the performance, investment style, and risk-adjusted performance of each Subadvisor. The Board was mindful of the Advisor's focus on each Subadvisor's performance. The Board also noted each Subadvisor's long-term performance record for similar accounts, as applicable.

The Board's decision to approve the Subadvisory Agreement with respect to each Fund was based on a number of determinations, including the following:

     
  (1) Each Subadvisor has extensive experience and demonstrated skills as a manager;
  (2) Although not without variation, the performance of each Fund managed by a Subadvisor generally has been in line with or outperformed the historical performance of comparable funds, with the exceptions noted in Appendix A, with respect to such exceptions, the Board concluded that performance is being monitored and reasonably addressed;
  (3) The subadvisory fees are reasonable in relation to the level and quality of services being provided; and
  (4) The subadvisory fees are paid by the Advisor and not the Funds and the advisory fee for each of the Funds contains breakpoints that permit shareholders to benefit from economies of scale.

In addition, in the case of each Fund, the Trustees reviewed the subadvisory fee to be paid to the Subadvisors for the Fund and concluded that the subadvisory fee to be paid to the Subadvisor with respect to each Fund is based on services provided that are in addition to, rather than duplicative of, the services provided pursuant to the subadvisory agreements for the underlying portfolios of the Fund and that the additional services are necessary because of the differences between the investment policies, strategies and techniques of a Fund and those of its underlying portfolios.

Additional information relating to each Fund's fees and expenses and performance that the Board considered in approving the Advisory Agreement and Subadvisory Agreement for a particular Fund is set forth in Appendix A.

* * *

Based on their evaluation of all factors that they deemed to be material, including those factors described above, the Board, including the Independent Trustees, concluded that renewal of the Advisory Agreement and each of the Subadvisory Agreements with respect to each Fund would be in the best interest of each of the respective Funds and its shareholders. Accordingly, the Board, and the Independent Trustees voting separately, approved the Advisory Agreement and Subadvisory Agreement with respect to each Fund for an additional one-year period.

60


APPENDIX A


       
Portfolio (subadviser) Performance of trust,
as of 12.31.2014
Fees and expenses Comments

JHF II Lifestyle Aggressive

(Manulife Asset Management (US))

(Manulife Asset Management (North America))

Benchmark Index - The Fund underperformed for the one-, three- and five-year periods.

Lipper Category - The Fund underperformed the average for the one-year period and outperformed the average for the three- and five-year periods.

Subadviser fee comparative data not provided due to limited size of Lipper peer group for this purpose.

Net management fees for this Fund are lower than the peer group median.

Total expenses for this Fund are lower than the peer group median.

The Board took into account management's discussion of the Fund's performance, including the favorable performance relative to the peer group for the three- and five-year periods.

JHF II Lifestyle Balanced Fund

(Manulife Asset Management (US))

(Manulife Asset Management (North America))

Benchmark Index - The Fund underperformed for the one-, three- and five-year periods.

Lipper Category - The Fund underperformed the average for the one-year period and outperformed the average for the three- and five-year periods.

Subadviser fee comparative data not provided due to limited size of Lipper peer group for this purpose.

Net management fees for this Fund are lower than the peer group median.

Total expenses for this Fund are lower than the peer group median.

The Board took into account management's discussion of the Fund's performance, including the favorable performance relative to the peer group for the three- and five-year periods.

JHF II Lifestyle Conservative Fund

(Manulife Asset Management (US))

(Manulife Asset Management (North America))

Benchmark Index - The Fund underperformed for the one- and five-year periods and outperformed for the three-year period.

Lipper Category - The Fund underperformed the average for the one- and three-year periods and outperformed the average for the five-year period.

Subadviser fee comparative data not provided due to limited size of Lipper peer group for this purpose.

Net management fees for this Fund are lower than the peer group median.

Total expenses for this Fund are lower than the peer group median.

The Board took into account management's discussion of the Fund's performance, including the favorable performance relative to the benchmark index for the three-year period and to the peer group for the five-year period.

JHF II Lifestyle Growth Fund

(Manulife Asset Management (US))

(Manulife Asset Management (North America))

Benchmark Index - The Fund underperformed for the one-, three- and five-year periods.

Lipper Category - The Fund underperformed the average for the one-year period and outperformed the average for the three- and five-year periods.

Subadviser fee comparative data not provided due to limited size of Lipper peer group for this purpose.

Net management fees for this Fund are lower than the peer group median.

Total expenses for this Fund are lower than the peer group median.

The Board took into account management's discussion of the Fund's performance, including the favorable performance relative to the peer group index for the three- and five-year periods.

JHF II Lifestyle Moderate Fund

(Manulife Asset Management (US))

(Manulife Asset Management (North America))

Benchmark Index - The Fund underperformed for the one-, three- and five-year periods.

Lipper Category - The Fund underperformed the average for the one-, three- and five-year periods.

Subadviser fee comparative data not provided due to limited size of Lipper peer group for this purpose.

Net management fees for this Fund are lower than the peer group median.

Total expenses for this Fund are lower than the peer group median.

The Board took into account management's discussion of the Fund's performance, including differences in the Fund's investment strategies relative to the Lipper peer group.

61


More information

   

Trustees

James M. Oates, Chairperson
Steven R. Pruchansky, Vice Chairperson
Charles L. Bardelis*
James R. Boyle†#
Craig Bromley†
Peter S. Burgess*
William H. Cunningham
Grace K. Fey
Theron S. Hoffman*
Deborah C. Jackson
Hassell H. McClellan
Gregory A. Russo
Warren A. Thomson†

Officers

Andrew G. Arnott
President

John J. Danello
Senior Vice President, Secretary,
and Chief Legal Officer

Francis V. Knox, Jr.
Chief Compliance Officer

Charles A. Rizzo
Chief Financial Officer

Salvatore Schiavone
Treasurer

Investment advisor

John Hancock Advisers, LLC

Subadvisors

John Hancock Asset Management a division of Manulife Asset Management (US) LLC
John Hancock Asset Management a division of Manulife Asset Management (North America) Limited

Principal distributor

John Hancock Funds, LLC

Custodian

State Street Bank and Trust Company

Transfer agent

John Hancock Signature Services, Inc.

Legal counsel

K&L Gates LLP

*Member of the Audit Committee
†Non-Independent Trustee
#Effective 3-10-15

The fund's proxy voting policies and procedures, as well as the fund proxy voting record for the most recent twelve-month period ended June 30, are available free of charge on the Securities and Exchange Commission (SEC) website at sec.gov or on our website.

The fund's complete list of portfolio holdings, for the first and third fiscal quarters, is filed with the SEC on Form N-Q. The fund's Form N-Q is available on our website and the SEC's website, sec.gov, and can be reviewed and copied (for a fee) at the SEC's Public Reference Room in Washington, DC. Call 800-SEC-0330 to receive information on the operation of the SEC's Public Reference Room.

We make this information on your fund, as well as monthly portfolio holdings, and other fund details available on our website at jhinvestments.com or by calling 800-225-5291.

       
  You can also contact us:
  800-225-5291
jhinvestments.com

Regular mail:

John Hancock Signature Services, Inc.
P.O. Box 55913
Boston, MA 02205-5913

Express mail:

John Hancock Signature Services, Inc.
Suite 55913
30 Dan Road
Canton, MA 02021

62


Family of funds

     

DOMESTIC EQUITY FUNDS



Balanced

Blue Chip Growth

Classic Value

Disciplined Value

Disciplined Value Mid Cap

Equity Income

Fundamental All Cap Core

Fundamental Large Cap Core

Fundamental Large Cap Value

Large Cap Equity

New Opportunities

Select Growth

Small Cap Equity

Small Cap Value

Small Company

Strategic Growth

U.S. Equity

U.S. Global Leaders Growth

Value Equity

GLOBAL AND INTERNATIONAL EQUITY FUNDS



Disciplined Value International

Emerging Markets

Emerging Markets Equity

Global Equity

Global Shareholder Yield

Greater China Opportunities

International Core

International Growth

International Small Company

International Value Equity

INCOME FUNDS



Bond

California Tax-Free Income

Core High Yield

Emerging Markets Debt

Floating Rate Income

Focused High Yield

Global Income

Government Income

High Yield Municipal Bond

Income

 

INCOME FUNDS (continued)



Investment Grade Bond

Money Market

Short Duration Credit Opportunities

Spectrum Income

Strategic Income Opportunities

Tax-Free Bond

ALTERNATIVE AND SPECIALTY FUNDS



Absolute Return Currency

Alternative Asset Allocation

Enduring Equity

Financial Industries

Global Absolute Return Strategies

Global Conservative Absolute Return

Natural Resources

Redwood

Regional Bank

Seaport

Technical Opportunities

ASSET ALLOCATION



Income Allocation Fund

Lifestyle Aggressive Portfolio

Lifestyle Balanced Portfolio

Lifestyle Conservative Portfolio

Lifestyle Growth Portfolio

Lifestyle Moderate Portfolio

Retirement Choices Portfolios (2010-2055)

Retirement Living Portfolios (2010-2055)

Retirement Living II Portfolios (2010-2055)

CLOSED-END FUNDS



Financial Opportunities

Hedged Equity & Income

Income Securities Trust

Investors Trust

Preferred Income

Preferred Income II

Preferred Income III

Premium Dividend

Tax-Advantaged Dividend Income

Tax-Advantaged Global Shareholder Yield

The fund's investment objectives, risks, charges, and expenses are included in the prospectus and should be considered carefully before investing. For a prospectus, contact your financial professional, call John Hancock Investments at 800-225-5291, or visit the fund's website at jhinvestments.com. Please read the prospectus carefully before investing or sending money.


John Hancock Investments

A trusted brand

John Hancock has helped individuals and institutions build and
protect wealth since 1862. Today, we are one of America's strongest
and most-recognized brands.

A better way to invest

As a manager of managers, we search the world to find proven
portfolio teams with specialized expertise for every fund we offer,
then apply vigorous investment oversight to ensure they continue
to meet our uncompromising standards.

Results for investors

Our unique approach to asset management has led to a diverse set
of investments deeply rooted in investor needs, along with strong
risk-adjusted returns across asset classes.

jhsocialmedialogo.jpg

     
 
jhbclogo.jpg
John Hancock Funds, LLC n Member FINRA, SIPC
601 Congress Street n Boston, MA 02210-2805
800-225-5291 n jhinvestments.com
  This report is for the information of the shareholders of John Hancock Lifestyle Portfolios. It is not authorized for distribution to prospective investors unless preceded or accompanied by a prospectus.
  MF212226 LSSA 6/15
8/15


 

ITEM 2. CODE OF ETHICS.

 

(a) Not Applicable
(b) Not Applicable
(c) Not Applicable
(d) Not Applicable
(e) Not Applicable
(f) Not Applicable

 

ITEM 3. AUDIT COMMITTEE FINANCIAL EXPERT.

 

Not Applicable

 

ITEM 4. PRINCIPAL ACCOUNTANT FEES AND SERVICES.

(a) Not Applicable
(b) Not Applicable
(c) Not Applicable
(d) Not Applicable
(e) Not Applicable
(f) Not Applicable
(g) Not Applicable
(h) Not Applicable

 

ITEM 5. AUDIT COMMITTEE OF LISTED REGISTRANTS

 

Not Applicable.

 

ITEM 6. SCHEDULE OF INVESTMENTS.

 

(a) Included with Item 1.
(b) Not Applicable

 

ITEM 7. DISCLOSURE OF PROXY VOTING POLICIES AND PROCEDURES FOR CLOSED-END MANAGEMENT INVESTMENT COMPANIES.

 

Not Applicable.

 

ITEM 8. PORTFOLIO MANAGERS OF CLOSED-END MANAGEMENT INVESTMENT COMPANIES.

 

Not Applicable.

 

ITEM 9. PURCHASE OF EQUITY SECURITIES BY CLOSED-END MANAGEMENT INVESTMENT COMPANIES AND AFFILIATED PURCHASERS.

 

Not Applicable.

 

ITEM 10. SUBMISSION OF MATTERS TO VOTE OF SECURITY HOLDERS.

 

Not Applicable.

 

ITEM 11. CONTROLS AND PROCEDURES.

 

(a) EVALUATION OF DISCLOSURE CONTROLS AND PROCEDURES. The Registrant maintains disclosure controls and procedures that are designed to ensure that information required to be disclosed in this Form N-CSR is recorded, processed, summarized and reported within the periods specified in the rules and forms of the Securities and Exchange Commission. Such disclosure controls and procedures include controls and procedures designed to ensure that such information is accumulated and communicated to the Registrant's management, including its principal executive officer and principal financial officer, as appropriate, to allow timely decisions regarding required disclosure.

 

Within 90 days prior to the filing date of this Form N-CSR, the Registrant had carried out an evaluation, under the supervision and with the participation of the Registrant's management, including the Registrant's principal executive

 


 

officer and the Registrant's principal financial officer, of the effectiveness of the design and operation of the Registrant's disclosure controls and procedures relating to information required to be disclosed on Form N-CSR. Based on such evaluation, the Registrant's principal executive officer and principal financial officer concluded that the Registrant's disclosure controls and procedures are operating effectively to ensure that:

 

(i) information required to be disclosed in this Form N-CSR is recorded, processed, summarized and reported within the periods specified in the rules and forms of the Securities and Exchange Commission, and

(ii) information is accumulated and communicated to the Registrant’s management, including its principal executive officer and principal financial officer, as appropriate, to allow timely decisions regarding required disclosure.

 

 

(b) CHANGE IN REGISTRANT’S INTERNAL CONTROL: Not Applicable.

 

ITEM 12. EXHIBITS.

 

(a)(1) Not applicable

 

(a)(2)(i) CERTIFICATION OF PRINCIPAL EXECUTIVE OFFICER.

 

(a)(2)(ii) CERTIFICATION OF PRINCIPAL FINANCIAL OFFICER.

 

(b) CERTIFICATION PURSUANT TO Rule 30a-2(b) OF THE INVESTMENT COMPANY ACT OF 1940

 


 

SIGNATURES

 

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

 

JOHN HANCOCK FUNDS II

 

 

/s/ Andrew Arnott
Andrew Arnott
President
Date: August 19, 2015

 

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

 

/s/ Andrew Arnott
Andrew Arnott
President
Date: August 19, 2015

 

 

/s/ Charles A. Rizzo
Charles A. Rizzo
Chief Financial Officer
Date: August 19, 2015

 


 

EX-12.(A)(2)(I) 2 d290961_ex12-a2i.htm EX-12.(A)(2)(I)

 

Exhibit 12(a) (2) (i)

 

I, Andrew Arnott, certify that:

 

1. I have reviewed this report on Form N-CSR of John Hancock Funds II;

 

2. Based on my knowledge, this report does not contain any untrue statements of a material fact or omit to state a material fact necessary to make the statement made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial conditions, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and
(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and
b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

 

 

Date: August 19, 2015 /s/ Andrew Arnott
  Andrew Arnott
  President

 


 

EX-12.(A)(2)(II) 3 d290961_ex12-a2ii.htm EX-12.(A)(2)(II)

 

Exhibit 12(a) (2) (ii)

 

I, Charles A. Rizzo, certify that:

 

  1. I have reviewed this report on Form N-CSR of John Hancock Funds II;

 

  1. Based on my knowledge, this report does not contain any untrue statements of a material fact or omit to state a material fact necessary to make the statement made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

  1. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial conditions, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

  1. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

  1. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and
b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

 

 

Date: August 19, 2015 /s/ Charles A. Rizzo
  Charles A. Rizzo
  Chief Financial Officer

 


 

EX-12.(B) 4 d290961_ex12-b.htm EX-12.(B)

 

Exhibit 12(b)

 

CERTIFICATIONS*

 

CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350
AS ADOPTED PURUSANT TO SECTION 906
OF THE SARBANES-OXLEY ACT OF 2002

I, Andrew Arnott, Chief Executive Officer of John Hancock Funds II (the "Registrant"), certify, pursuant to 18 U.S.C. Section 1350 as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

 

1. The Registrant's periodic report on Form N-CSR for the period ended 6/30/2015 (the "Form N-CSR") fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
2. The information contained in the Form N-CSR fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

 

Dated: August 19, 2015

 

 

/s/ Andrew Arnott
Andrew Arnott
President

 

A signed original of this written statement required by Section 906 has been provided to John Hancock Funds II and will be retained by John Hancock Funds II and furnished to the Securities and Exchange Commission or its Staff upon request.

CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350
AS ADOPTED PURUSANT TO SECTION 906
OF THE SARBANES-OXLEY ACT OF 2002

I, Charles A. Rizzo, Chief Financial Officer of John Hancock Funds II (the "Registrant"), certify, pursuant to 18 U.S.C. Section 1350 as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

 

1. The Registrant's periodic report on Form N-CSR for the period ended 6/30/2015 (the "Form N-CSR") fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
2. The information contained in the Form N-CSR fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

 

Dated: August 19, 2015

 

 

/s/ Charles A. Rizzo
Charles A. Rizzo
Chief Financial Officer

 

A signed original of this written statement required by Section 906 has been provided to John Hancock Funds II and will be retained by John Hancock Funds II and furnished to the Securities and Exchange Commission or its Staff upon request.

 

____________

 

*These certifications are being furnished solely pursuant to 18 U.S.C. Section 1350 and are not being filed as part of this Form N-CSR or as a separate disclosure document.

 


 

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