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Last Close
May 07  •  12:54PM ET
11.18
Dollar change
+0.01
Percentage change
0.04
%
Index
-
P/E
11.77
EPS (ttm)
0.95
Insider Own
0.12%
Shs Outstand
11.65M
Perf Week
0.43%
Market Cap
130.21M
Forward P/E
-
EPS next Y
-
Insider Trans
15.54%
Shs Float
11.63M
Perf Month
0.36%
Enterprise Value
-
PEG
-
EPS next Q
-
Inst Own
62.32%
Perf Quarter
-4.61%
Income
-
P/S
10.39
EPS this Y
-
Inst Trans
-
Perf Half Y
-2.95%
Sales
12.53M
P/B
0.90
EPS next Y
-
ROA
-
Perf YTD
-4.53%
Book/sh
12.45
P/C
-
EPS next 5Y
-
ROE
-
52W High
12.09 -7.53%
Perf Year
-0.36%
Cash/sh
-
P/FCF
-
EPS past 3/5Y
- -
ROIC
-
52W Low
10.74 4.10%
Perf 3Y
1.82%
EV/EBITDA
-
Sales past 3/5Y
- -
Gross Margin
-
Volatility
0.77% 0.78%
Perf 5Y
-28.64%
EV/Sales
-
EPS Y/Y TTM
-
Oper. Margin
-
ATR (14)
0.10
Perf 10Y
-20.28%
Quick Ratio
-
Sales Y/Y TTM
-
Profit Margin
-
RSI (14)
51.80
Recom
-
Current Ratio
-
EPS Q/Q
6.40%
SMA20
-0.06%
Beta
0.53
Target Price
-
Debt/Eq
-
Sales Q/Q
2.60%
SMA50
0.31%
Rel Volume
15.12
Prev Close
11.18
Employees
-
LT Debt/Eq
-
Earnings
-
SMA200
-2.86%
Avg Volume
17.21K
Price
11.18
IPO
Jun 13, 1973
Option/Short
No / Yes
EPS/Sales Surpr.
- -
Trades
Volume
191,163
Change
0.04%
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John Hancock Income Securities Trust is a closed ended fixed income mutual fund launched and managed by John Hancock Investment Management LLC. It is co-managed by John Hancock Asset Management. The fund invests in the fixed income markets of United States. It invests primarily in corporate and government bonds with average maturity of 7.57 years. The fund benchmarks the performance of its portfolios against the Lehman Brothers Government/ Credit Bond Index. John Hancock Income Securities Trust was formed in February 14, 1973 and is domiciled in United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Hurtsellers ChristineDirectorMay 06 '26Buy11.201,07112,0001,071May 07 12:47 PM
Phelan Kenneth JDirectorJan 27 '26Buy11.787258,540855Jan 27 04:25 PM
Phelan Kenneth JDirectorJan 26 '26Buy11.751301,528130Jan 27 04:18 PM
Last Close
May 07  •  02:13PM ET
16.14
Dollar change
-0.02
Percentage change
-0.12
%
HPF John Hancock Preferred Income Fund II daily Stock Chart
Index
-
P/E
12.42
EPS (ttm)
1.30
Insider Own
0.05%
Shs Outstand
21.65M
Perf Week
0.37%
Market Cap
349.44M
Forward P/E
-
EPS next Y
-
Insider Trans
13.76%
Shs Float
21.64M
Perf Month
3.53%
Enterprise Value
-
PEG
-
EPS next Q
-
Inst Own
11.49%
Perf Quarter
0.25%
Income
-
P/S
9.08
EPS this Y
-
Inst Trans
-
Perf Half Y
-3.00%
Sales
38.49M
P/B
1.01
EPS next Y
-
ROA
-
Perf YTD
0.44%
Book/sh
15.96
P/C
-
EPS next 5Y
-
ROE
-
52W High
17.13 -5.78%
Perf Year
-0.25%
Cash/sh
-
P/FCF
-
EPS past 3/5Y
- -
ROIC
-
52W Low
15.06 7.14%
Perf 3Y
4.26%
EV/EBITDA
-
Sales past 3/5Y
- -
Gross Margin
-
Volatility
0.70% 0.89%
Perf 5Y
-24.76%
EV/Sales
-
EPS Y/Y TTM
-
Oper. Margin
-
ATR (14)
0.15
Perf 10Y
-27.40%
Quick Ratio
-
Sales Y/Y TTM
-
Profit Margin
-
RSI (14)
63.60
Recom
-
Current Ratio
-
EPS Q/Q
-7.10%
SMA20
1.33%
Beta
0.66
Target Price
-
Debt/Eq
-
Sales Q/Q
1.30%
SMA50
2.11%
Rel Volume
0.89
Prev Close
16.16
Employees
-
LT Debt/Eq
-
Earnings
-
SMA200
-0.38%
Avg Volume
37.46K
Price
16.14
IPO
Nov 26, 2002
Option/Short
No / Yes
EPS/Sales Surpr.
- -
Trades
Volume
24,748
Change
-0.12%
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John Hancock Preferred Income Fund II is a closed ended fixed income mutual fund launched and managed by John Hancock Investment Management LLC. It is co-managed by John Hancock Asset Management. The fund invests in the fixed income markets of the United States. It seeks to invest in securities of companies operating across diversified sectors. The fund primarily invests in preferred value stocks of companies, convertible preferred securities, and investment grade fixed-income securities rated investment grade or higher by Moody's or Standard & Poor's. It benchmarks the performance of its portfolio against the Bank of America Merrill Lynch Hybrid Preferred Securities Index and Barclays U.S. Aggregate Bond Index. John Hancock Preferred Income Fund II was formed on November 29, 2002 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Hurtsellers ChristineDirectorMay 06 '26Buy16.1374412,000744May 07 12:43 PM
Phelan Kenneth JDirectorJan 26 '26Buy16.1861810,001618Jan 27 04:04 PM
Last Close
May 07  •  02:14PM ET
11.45
Dollar change
-0.19
Percentage change
-1.61
%
HEQ John Hancock Diversified Income Fund daily Stock Chart
Index
-
P/E
7.34
EPS (ttm)
1.56
Insider Own
0.13%
Shs Outstand
12.06M
Perf Week
-0.68%
Market Cap
138.10M
Forward P/E
-
EPS next Y
-
Insider Trans
13.66%
Shs Float
12.04M
Perf Month
4.20%
Enterprise Value
-
PEG
-
EPS next Q
-
Inst Own
37.06%
Perf Quarter
3.17%
Income
-
P/S
-
EPS this Y
-
Inst Trans
-
Perf Half Y
7.94%
Sales
-
P/B
-
EPS next Y
-
ROA
-
Perf YTD
6.53%
Book/sh
-
P/C
-
EPS next 5Y
-
ROE
-
52W High
11.72 -2.29%
Perf Year
11.29%
Cash/sh
-
P/FCF
-
EPS past 3/5Y
- -
ROIC
-
52W Low
10.27 11.51%
Perf 3Y
4.13%
EV/EBITDA
-
Sales past 3/5Y
- -
Gross Margin
-
Volatility
1.00% 1.63%
Perf 5Y
-7.41%
EV/Sales
-
EPS Y/Y TTM
-
Oper. Margin
-
ATR (14)
0.18
Perf 10Y
-20.32%
Quick Ratio
-
Sales Y/Y TTM
-
Profit Margin
-
RSI (14)
53.83
Recom
-
Current Ratio
-
EPS Q/Q
-
SMA20
-0.11%
Beta
0.62
Target Price
-
Debt/Eq
-
Sales Q/Q
-
SMA50
2.55%
Rel Volume
1.41
Prev Close
11.64
Employees
-
LT Debt/Eq
-
Earnings
-
SMA200
5.06%
Avg Volume
50.37K
Price
11.45
IPO
May 26, 2011
Option/Short
No / Yes
EPS/Sales Surpr.
- -
Trades
Volume
52,578
Change
-1.61%
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John Hancock Hedged Equity & Income Fund is a closed-ended equity mutual fund launched and managed by John Hancock Investment Management LLC. The fund is co-managed by Wellington Management Company LLP. It invests in the public equity markets of the United States. The fund seeks to invest in stocks of companies operating across diversified sectors. It invests in stocks of companies across all market capitalizations. The fund also invests through derivatives such as call options and equity futures. John Hancock Hedged Equity & Income Fund was formed on May 26, 2011 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Hurtsellers ChristineDirectorMay 06 '26Buy11.571,03712,0001,037May 07 12:36 PM
Phelan Kenneth JDirectorJan 27 '26Buy11.1090510,046905Jan 27 04:58 PM
Last Close
May 07  •  02:11PM ET
16.25
Dollar change
-0.09
Percentage change
-0.55
%
HPI John Hancock Preferred Income Fund daily Stock Chart
Index
-
P/E
12.60
EPS (ttm)
1.29
Insider Own
0.05%
Shs Outstand
26.79M
Perf Week
-0.61%
Market Cap
435.38M
Forward P/E
-
EPS next Y
-
Insider Trans
10.75%
Shs Float
26.78M
Perf Month
3.50%
Enterprise Value
-
PEG
-
EPS next Q
-
Inst Own
13.95%
Perf Quarter
0.62%
Income
-
P/S
9.14
EPS this Y
-
Inst Trans
-
Perf Half Y
-5.80%
Sales
47.65M
P/B
1.01
EPS next Y
-
ROA
-
Perf YTD
0.37%
Book/sh
16.10
P/C
-
EPS next 5Y
-
ROE
-
52W High
17.61 -7.72%
Perf Year
0.19%
Cash/sh
-
P/FCF
-
EPS past 3/5Y
- -
ROIC
-
52W Low
15.26 6.49%
Perf 3Y
8.19%
EV/EBITDA
-
Sales past 3/5Y
- -
Gross Margin
-
Volatility
0.91% 1.05%
Perf 5Y
-22.43%
EV/Sales
-
EPS Y/Y TTM
-
Oper. Margin
-
ATR (14)
0.17
Perf 10Y
-27.42%
Quick Ratio
-
Sales Y/Y TTM
-
Profit Margin
-
RSI (14)
58.17
Recom
-
Current Ratio
-
EPS Q/Q
-9.10%
SMA20
0.93%
Beta
0.78
Target Price
-
Debt/Eq
-
Sales Q/Q
1.20%
SMA50
1.72%
Rel Volume
0.90
Prev Close
16.34
Employees
-
LT Debt/Eq
-
Earnings
-
SMA200
-1.20%
Avg Volume
61.63K
Price
16.25
IPO
Aug 23, 2002
Option/Short
No / Yes
EPS/Sales Surpr.
- -
Trades
Volume
40,870
Change
-0.55%
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John Hancock Preferred Income Fund is a closed ended balanced mutual fund launched and managed by John Hancock Investment Management LLC. It is co-managed by John Hancock Asset Management. The fund invests in the public equity and fixed income markets of the United States. It seeks to invest in securities of companies operating across diversified sectors. The fund primarily invests in preferred value stocks of companies, convertible preferred securities, and investment grade fixed-income securities rated investment grade or higher by Moody's or Standard & Poor's. It benchmarks the performance of its portfolio against the Bank of America Merrill Lynch Hybrid Preferred Securities Index and Barclays U.S. Aggregate Bond Index. John Hancock Preferred Income Fund was formed on August 27, 2002 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Hurtsellers ChristineDirectorMay 06 '26Buy16.2573812,000738May 07 12:30 PM
Phelan Kenneth JDirectorJan 26 '26Buy16.3061410,001614Jan 27 03:54 PM
Last Close
May 07  •  02:09PM ET
37.08
Dollar change
-0.47
Percentage change
-1.25
%
BTO John Hancock Financial Opportunities Fund daily Stock Chart
Index
-
P/E
10.50
EPS (ttm)
3.53
Insider Own
0.04%
Shs Outstand
19.82M
Perf Week
-0.03%
Market Cap
734.81M
Forward P/E
-
EPS next Y
-
Insider Trans
7.45%
Shs Float
19.81M
Perf Month
-1.33%
Enterprise Value
-
PEG
-
EPS next Q
-
Inst Own
24.58%
Perf Quarter
-5.24%
Income
-
P/S
28.04
EPS this Y
-
Inst Trans
-
Perf Half Y
13.26%
Sales
26.21M
P/B
-
EPS next Y
-
ROA
-
Perf YTD
5.70%
Book/sh
-
P/C
-
EPS next 5Y
-
ROE
-
52W High
39.85 -6.95%
Perf Year
13.53%
Cash/sh
-
P/FCF
-
EPS past 3/5Y
- -
ROIC
-
52W Low
32.01 15.84%
Perf 3Y
57.44%
EV/EBITDA
-
Sales past 3/5Y
- -
Gross Margin
-
Volatility
1.55% 2.03%
Perf 5Y
-4.81%
EV/Sales
-
EPS Y/Y TTM
-
Oper. Margin
-
ATR (14)
0.79
Perf 10Y
53.47%
Quick Ratio
-
Sales Y/Y TTM
-
Profit Margin
-
RSI (14)
52.92
Recom
-
Current Ratio
-
EPS Q/Q
-55.60%
SMA20
-0.25%
Beta
0.99
Target Price
-
Debt/Eq
-
Sales Q/Q
-1.60%
SMA50
3.25%
Rel Volume
1.14
Prev Close
37.55
Employees
-
LT Debt/Eq
-
Earnings
-
SMA200
3.54%
Avg Volume
49.22K
Price
37.08
IPO
Aug 16, 1994
Option/Short
No / Yes
EPS/Sales Surpr.
- -
Trades
Volume
41,129
Change
-1.25%
Apr-16-26 05:34PM
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John Hancock Financial Opportunities Fund is a closed-ended equity mutual fund launched and managed by John Hancock Investment Management LLC. It is co-managed by John Hancock Asset Management. The fund invests in the public equity markets across the globe. It seeks to invest in the stocks of companies operating across the financial services sector. The fund invests in companies across all market capitalizations. It benchmarks the performance of its portfolio against the S&P Composite 1500 Banks Index. The fund was formerly known as John Hancock Bank and Thrift Opportunity Fund. John Hancock Financial Opportunities Fund was formed on August 23, 1994 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Hurtsellers ChristineDirectorMay 06 '26Buy37.3832112,000321May 07 12:25 PM
Phelan Kenneth JDirectorJan 26 '26Buy37.1027010,001270Jan 27 04:53 PM
Last Close
May 07  •  02:12PM ET
14.82
Dollar change
-0.03
Percentage change
-0.24
%
HPS John Hancock Preferred Income Fund III daily Stock Chart
Index
-
P/E
12.67
EPS (ttm)
1.17
Insider Own
0.04%
Shs Outstand
32.17M
Perf Week
-0.03%
Market Cap
476.90M
Forward P/E
-
EPS next Y
-
Insider Trans
12.75%
Shs Float
32.16M
Perf Month
3.74%
Enterprise Value
-
PEG
-
EPS next Q
-
Inst Own
13.21%
Perf Quarter
1.61%
Income
-
P/S
9.31
EPS this Y
-
Inst Trans
-
Perf Half Y
-3.04%
Sales
51.25M
P/B
1.03
EPS next Y
-
ROA
-
Perf YTD
2.88%
Book/sh
14.37
P/C
-
EPS next 5Y
-
ROE
-
52W High
15.68 -5.45%
Perf Year
3.02%
Cash/sh
-
P/FCF
-
EPS past 3/5Y
- -
ROIC
-
52W Low
13.80 7.43%
Perf 3Y
6.42%
EV/EBITDA
-
Sales past 3/5Y
- -
Gross Margin
-
Volatility
0.96% 1.28%
Perf 5Y
-21.23%
EV/Sales
-
EPS Y/Y TTM
-
Oper. Margin
-
ATR (14)
0.18
Perf 10Y
-23.58%
Quick Ratio
-
Sales Y/Y TTM
-
Profit Margin
-
RSI (14)
62.10
Recom
-
Current Ratio
-
EPS Q/Q
-4.80%
SMA20
1.44%
Beta
0.69
Target Price
-
Debt/Eq
-
Sales Q/Q
1.10%
SMA50
2.23%
Rel Volume
0.75
Prev Close
14.86
Employees
-
LT Debt/Eq
-
Earnings
-
SMA200
0.35%
Avg Volume
58.58K
Price
14.82
IPO
Jun 17, 2003
Option/Short
No / Yes
EPS/Sales Surpr.
- -
Trades
Volume
32,538
Change
-0.24%
Apr-01-26 04:46PM
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John Hancock Preferred Income Fund III is a closed ended fixed income mutual fund launched and managed by John Hancock Investment Management LLC. It is co-managed by John Hancock Asset Management. The fund invests in the fixed income markets of the United States. It seeks to invest in securities of companies operating across diversified sectors. The fund primarily invests in preferred securities or other fixed-income securities rated investment grade or higher by Moody's or Standard & Poor's. It benchmarks the performance of its portfolio against the Bank of America Merrill Lynch Hybrid Preferred Securities Index and Barclays U.S. Aggregate Bond Index. John Hancock Preferred Income Fund III was formed on June 19, 2003 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Hurtsellers ChristineDirectorMay 06 '26Buy14.8380912,000809May 07 12:19 PM
Phelan Kenneth JDirectorJan 26 '26Buy14.6568310,001683Jan 27 04:12 PM
Last Close
May 07  •  01:41PM ET
13.38
Dollar change
+0.01
Percentage change
0.07
%
JHI John Hancock Investors Trust daily Stock Chart
Index
-
P/E
11.53
EPS (ttm)
1.16
Insider Own
0.15%
Shs Outstand
8.74M
Perf Week
0.38%
Market Cap
117.00M
Forward P/E
-
EPS next Y
-
Insider Trans
12.61%
Shs Float
8.73M
Perf Month
0.75%
Enterprise Value
-
PEG
-
EPS next Q
-
Inst Own
34.45%
Perf Quarter
-2.62%
Income
-
P/S
7.69
EPS this Y
-
Inst Trans
-
Perf Half Y
-3.11%
Sales
15.22M
P/B
0.90
EPS next Y
-
ROA
-
Perf YTD
-2.12%
Book/sh
14.84
P/C
-
EPS next 5Y
-
ROE
-
52W High
14.51 -7.79%
Perf Year
0.87%
Cash/sh
-
P/FCF
-
EPS past 3/5Y
- -
ROIC
-
52W Low
12.50 7.04%
Perf 3Y
6.11%
EV/EBITDA
-
Sales past 3/5Y
- -
Gross Margin
-
Volatility
0.59% 0.80%
Perf 5Y
-27.73%
EV/Sales
-
EPS Y/Y TTM
-
Oper. Margin
-
ATR (14)
0.12
Perf 10Y
-14.34%
Quick Ratio
-
Sales Y/Y TTM
-
Profit Margin
-
RSI (14)
53.56
Recom
-
Current Ratio
-
EPS Q/Q
19.80%
SMA20
-0.03%
Beta
0.72
Target Price
-
Debt/Eq
-
Sales Q/Q
5.50%
SMA50
0.58%
Rel Volume
1.96
Prev Close
13.37
Employees
-
LT Debt/Eq
-
Earnings
-
SMA200
-2.71%
Avg Volume
22.05K
Price
13.38
IPO
Jun 14, 1971
Option/Short
No / Yes
EPS/Sales Surpr.
- -
Trades
Volume
31,818
Change
0.07%
Mar-02-26 04:39PM
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John Hancock Investors Trust is a closed-ended fixed income mutual fund launched and managed by John Hancock Investment Management LLC. It is co-managed by John Hancock Asset Management. It invests in the fixed income markets across the globe. The fund primarily invests in a diversified portfolio of corporate and government bonds, debt securities. It benchmarks the performance of its portfolio against the Barclays Capital U.S. Aggregate Bond Index. John Hancock Investors Trust was formed on January 29, 1971 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Hurtsellers ChristineDirectorMay 06 '26Buy13.3674910,000749May 07 12:13 PM
Phelan Kenneth JDirectorJan 27 '26Buy13.7573010,037730Jan 27 04:34 PM
Last Close
May 07  •  02:13PM ET
25.50
Dollar change
-0.28
Percentage change
-1.07
%
HTD John Hancock Tax- Advantaged Dividend Income daily Stock Chart
Index
-
P/E
8.56
EPS (ttm)
2.98
Insider Own
0.03%
Shs Outstand
35.43M
Perf Week
-1.68%
Market Cap
903.69M
Forward P/E
-
EPS next Y
-
Insider Trans
8.74%
Shs Float
35.42M
Perf Month
0.37%
Enterprise Value
-
PEG
-
EPS next Q
-
Inst Own
17.04%
Perf Quarter
3.22%
Income
-
P/S
12.70
EPS this Y
-
Inst Trans
-
Perf Half Y
3.55%
Sales
71.13M
P/B
0.98
EPS next Y
-
ROA
-
Perf YTD
7.80%
Book/sh
25.97
P/C
-
EPS next 5Y
-
ROE
-
52W High
26.20 -2.67%
Perf Year
10.17%
Cash/sh
-
P/FCF
-
EPS past 3/5Y
- -
ROIC
-
52W Low
22.23 14.71%
Perf 3Y
24.15%
EV/EBITDA
-
Sales past 3/5Y
- -
Gross Margin
-
Volatility
1.90% 1.50%
Perf 5Y
5.99%
EV/Sales
-
EPS Y/Y TTM
-
Oper. Margin
-
ATR (14)
0.40
Perf 10Y
10.92%
Quick Ratio
-
Sales Y/Y TTM
-
Profit Margin
-
RSI (14)
53.05
Recom
-
Current Ratio
-
EPS Q/Q
-41.50%
SMA20
0.46%
Beta
0.81
Target Price
-
Debt/Eq
-
Sales Q/Q
11.10%
SMA50
1.05%
Rel Volume
0.83
Prev Close
25.78
Employees
-
LT Debt/Eq
-
Earnings
-
SMA200
3.51%
Avg Volume
59.88K
Price
25.50
IPO
Feb 25, 2004
Option/Short
No / Yes
EPS/Sales Surpr.
- -
Trades
Volume
36,690
Change
-1.07%
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John Hancock Tax-Advantaged Dividend Income Fund is a closed ended equity mutual fund launched and managed by John Hancock Investment Management LLC. It is co-managed by John Hancock Asset Management and Analytic Investors, LLC. The fund invests in the public equity markets of the United States. It seeks to invest in stocks of companies operating across diversified sectors, with an emphasis on the utilities sector. The fund primarily invests in dividend-paying common and preferred stocks of companies which have dividends that qualify for a more favorable long-term capital gains tax rate. It invests in stocks of companies across diversified market capitalizations. The fund benchmarks the performance of its portfolio against a composite benchmark comprised of 55% Bank of America Merrill Lynch Preferred Stock DRD Eligible Index and 45% S&P 500 Utilities Index. John Hancock Tax-Advantaged Dividend Income Fund was formed on February 27, 2004 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Hurtsellers ChristineDirectorMay 06 '26Buy25.6646812,000468May 07 12:09 PM
Phelan Kenneth JDirectorJan 26 '26Buy24.0941510,001415Jan 27 04:47 PM
Last Close
May 07  •  02:14PM ET
12.97
Dollar change
-0.15
Percentage change
-1.14
%
PDT John Hancock Premium Dividend Fund daily Stock Chart
Index
-
P/E
9.33
EPS (ttm)
1.39
Insider Own
0.03%
Shs Outstand
49.19M
Perf Week
-1.97%
Market Cap
637.93M
Forward P/E
-
EPS next Y
-
Insider Trans
11.22%
Shs Float
49.17M
Perf Month
-2.70%
Enterprise Value
-
PEG
-
EPS next Q
-
Inst Own
12.51%
Perf Quarter
-1.59%
Income
-
P/S
10.85
EPS this Y
-
Inst Trans
-
Perf Half Y
0.78%
Sales
58.81M
P/B
0.93
EPS next Y
-
ROA
-
Perf YTD
2.13%
Book/sh
13.99
P/C
-
EPS next 5Y
-
ROE
-
52W High
13.65 -4.98%
Perf Year
1.89%
Cash/sh
-
P/FCF
-
EPS past 3/5Y
- -
ROIC
-
52W Low
12.42 4.43%
Perf 3Y
6.43%
EV/EBITDA
-
Sales past 3/5Y
- -
Gross Margin
-
Volatility
1.28% 0.98%
Perf 5Y
-18.92%
EV/Sales
-
EPS Y/Y TTM
-
Oper. Margin
-
ATR (14)
0.15
Perf 10Y
-12.68%
Quick Ratio
-
Sales Y/Y TTM
-
Profit Margin
-
RSI (14)
39.17
Recom
-
Current Ratio
-
EPS Q/Q
-40.50%
SMA20
-1.43%
Beta
0.71
Target Price
-
Debt/Eq
-
Sales Q/Q
6.70%
SMA50
-1.70%
Rel Volume
1.19
Prev Close
13.12
Employees
-
LT Debt/Eq
-
Earnings
-
SMA200
-1.22%
Avg Volume
117.46K
Price
12.97
IPO
Dec 15, 1989
Option/Short
No / Yes
EPS/Sales Surpr.
- -
Trades
Volume
104,010
Change
-1.14%
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John Hancock Premium Dividend Fund is a closed ended equity mutual fund launched and managed by John Hancock Investment Management LLC. It is co-managed by John Hancock Asset Management. The fund invests in the public equity markets of the United States. It seeks to invest in stocks of companies operating across diversified sectors, with an emphasis on the utilities sector. The fund primarily invests in dividend paying preferred stocks and common stocks of companies. It benchmarks the performance of its portfolio against a composite benchmark comprised of 70% Bank of America Merrill Lynch Preferred Stock DRD Eligible Index and 30% S&P 500 Utilities Index. The fund was formerly known as John Hancock Patriot Premium Dividend Fund II. John Hancock Premium Dividend Fund was formed on December 21, 1989 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Hurtsellers ChristineDirectorMay 06 '26Buy13.1491312,000913May 07 12:03 PM
Phelan Kenneth JDirectorJan 26 '26Buy12.9277410,001774Jan 27 04:42 PM