Press Release: JOHN HANCOCK CLOSED-END FUNDS RELEASE EARNINGS DATA

Dow Jones
15 Nov 2024

JOHN HANCOCK CLOSED-END FUNDS RELEASE EARNINGS DATA

PR Newswire

BOSTON, Nov. 14, 2024

BOSTON, Nov. 14, 2024 /PRNewswire/ - The John Hancock Closed-End Funds listed in the table below announced earnings(1) for the three months ended October 31, 2024. The same data for the comparable three-month period ended October 31, 2023 is also available below.

 
                            Current 
                            Fiscal       Net          Per                   Total 
                             Year     Investment     Common                Managed            Total Net 
 Ticker      Fund Name        End       Income        Share      NAV        Assets              Assets 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
          Preferred 
HPI        Income Fund       7/31    $ 6,878,402  $     0.258  $16.76  $  704,458,262   *  $   447,358,262 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
          Preferred 
           Income Fund 
HPF        II                7/31    $ 5,567,231  $     0.258  $16.61  $  565,006,713   *  $   358,306,713 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
          Preferred 
           Income Fund 
HPS        III               7/31    $ 7,430,608  $     0.232  $14.94  $  752,451,157   *  $   478,151,157 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
          Income 
           Securities 
JHS        Trust            10/31    $ 1,387,615  $     0.119  $12.12  $  232,412,539   *  $   141,112,539 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
JHI       Investors Trust   10/31    $ 1,966,022  $     0.225  $14.88  $  217,030,285   *  $   130,130,285 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
          Premium 
PDT        Dividend Fund    10/31    $ 6,918,725  $     0.141  $13.59  $1,042,180,692   *  $   668,480,692 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
          Tax-Advantaged 
           Dividend 
HTD        Income Fund      10/31    $ 8,825,606  $     0.249  $24.73  $1,295,238,098   *  $   876,338,098 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
 
 Three Months Ended 10/31/2023 
---------------------------------------------------------------------------------------------------------- 
                            Current 
                            Fiscal       Net          Per 
                             Year     Investment     Common             Total Managed         Total Net 
 Ticker      Fund Name        End       Income        Share      NAV        Assets              Assets 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
          Preferred 
HPI        Income Fund       7/31     $6,961,141  $     0.262  $13.72  $  621,188,250   *     $364,088,250 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
          Preferred 
           Income Fund 
HPF        II                7/31     $5,663,914  $     0.263  $13.61  $  499,492,341   *     $292,792,341 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
          Preferred 
           Income Fund 
HPS        III               7/31     $7,559,044  $     0.237  $12.30  $  667,097,267   *     $392,797,267 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
          Income 
           Securities 
JHS        Trust            10/31     $1,083,779  $     0.093  $10.96  $  218,944,918   *     $127,644,918 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
JHI       Investors Trust   10/31     $1,875,134  $     0.214  $13.51  $  205,053,711   *     $118,153,711 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
          Premium 
PDT        Dividend Fund    10/31     $6,181,817  $     0.126  $10.58  $  894,258,103   *     $520,558,103 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
          Tax-Advantaged 
           Dividend 
HTD        Income Fund      10/31     $7,799,316  $     0.220  $19.02  $1,092,852,827   *     $673,952,827 
--------  ---------------  --------  -----------  -----------  ------  --------------      --------------- 
*Total managed assets include assets attributable to borrowings under the Committed Facility Agreement or 
Liquidity Agreement, as applicable. 
 
 
  (1) Earnings refer to net investment income, which is comprised of the 
  Fund's interest and dividend income, less expenses. Earnings presented 
  represent past earnings and there is no guarantee of future results. 
 

Amounts distributed by the Funds may vary from the earnings shown above and will be announced in separate press releases. Up-to-date distribution rate information is available on John Hancock Investment Management's web site at www.jhinvestments.com by clicking on "Closed-End Funds" under the "Daily Prices" tab.

Statements in this press release that are not historical facts are forward-looking statements as defined by the United States securities laws. You should exercise caution in interpreting and relying on forward-looking statements because they are subject to uncertainties and other factors which are, in some cases, beyond the Fund's control and could cause actual results to differ materially from those set forth in the forward-looking statements.

An investor should consider a Fund's investment objectives, risks, charges, and expenses carefully before investing.

About John Hancock Investment Management

A company of Manulife Investment Management, we serve investors through a unique multimanager approach, complementing our extensive in-house capabilities with an unrivaled network of specialized asset managers, backed by some of the most rigorous investment oversight in the industry. The result is a diverse lineup of time-tested investments from a premier asset manager with a heritage of financial stewardship.

About Manulife Investment Management

Manulife Investment Management is the global brand for the global wealth and asset management segment of Manulife Financial Corporation. We draw on more than a century of financial stewardship and the full resources of our parent company to serve individuals, institutions, and retirement plan members worldwide. Headquartered in Toronto, our leading capabilities in public and private markets are strengthened by an investment footprint that spans 18 geographies. We complement these capabilities by providing access to a network of unaffiliated asset managers from around the world. We're committed to investing responsibly across our businesses. We develop innovative global frameworks for sustainable investing, collaboratively engage with companies in our securities portfolios, and maintain a high standard of stewardship where we own and operate assets, and we believe in supporting financial well-being through our workplace retirement plans. Today, plan sponsors around the world rely on our retirement plan administration and investment expertise to help their employees plan for, save for, and live a better retirement. Not all offerings are available in all jurisdictions. For additional information, please visit manulifeim.com.

View original content:https://www.prnewswire.com/news-releases/john-hancock-closed-end-funds-release-earnings-data-302306383.html

SOURCE John Hancock Investment Management

/CONTACT: Media Contact: Gordon Haight, (617) 572-0034; Investor Contact: (800) 843-0090

 

(END) Dow Jones Newswires

November 14, 2024 16:08 ET (21:08 GMT)

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