July 3 (Reuters) - Manulife Financial Corp MFC.TO :
* MANULIFE INVESTMENTS ANNOUNCES TERMINATION AND FINAL VALUATION OF OIL SANDS SECTOR FUND
* FUND'S FINAL NET ASSET VALUE PER UNIT WAS $ 4.613778
July 3 (Reuters) - Manulife Financial Corp MFC.TO :
* MANULIFE INVESTMENTS ANNOUNCES TERMINATION AND FINAL VALUATION OF OIL SANDS SECTOR FUND
* FUND'S FINAL NET ASSET VALUE PER UNIT WAS $ 4.613778