NYSE: HPI - John Hancock Preferred Income Fund

Rentabilité sur six mois: -2.32%
Secteur: Нефтегаз

Calendrier des promotions John Hancock Preferred Income Fund


À propos de l'entreprise

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.

plus de détails
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.

ISIN US41013W1080
Валюта usd
Див.доход ао 8.68
Дивиденд ао 0.6175
Сайт https://www.jhinvestments.com/Fund/Overview.aspxProductType=ClosedEnd&FundID=34000&BackToFundTableType=Price&ClassCode=CE
Цена ао 16.65
Changement de prix par jour: -0.4237% (16.52)
Changement de prix par semaine: -0.303% (16.5)
Changement de prix par mois: -5.73% (17.45)
Changement de prix sur 3 mois: -10.84% (18.45)
Changement de prix sur six mois: -2.32% (16.84)
Changement de prix par an: +4.25% (15.78)
Evolution du prix sur 3 ans: -19.44% (20.42)
Evolution du prix sur 5 ans: -25.63% (22.12)
Evolution des prix sur 10 ans: 0% (16.45)
Evolution des prix depuis le début de l'année: -5.08% (17.33)

Sous-estimation

Nom Signification Grade
P/S 0 0
P/BV 0 0
P/E 0 0
EV/EBITDA 0 0
Total: 2.5

Efficacité

Nom Signification Grade
ROA, % 0 0
ROE, % 0 0
Total: 0

Dividendes

Nom Signification Grade
Div yield, % 8.7 10
DSI 0.8571 8.57
Total: 5.51

Devoir

Nom Signification Grade
Debt/EBITDA 0 10
Total: 10

Impulsion de croissance

Nom Signification Grade
Rentabilité Revenue, % 0 0
Rentabilité Ebitda, % 0 0
Rentabilité EPS, % 0 0
Total: 0

Dividende, % Dividende Sur la base des résultats de la période Acheter avant Date de clôture du registre Paiement avant
0.72% 0.12 I кв. 2024 08.04.2024 10.04.2024 25.04.2024

Établissements Volume Partager, %
Morgan Stanley 484332 1.82
Royal Bank of Canada 480003 1.81
UBS Group AG 345170 1.3
Commonwealth Equity Services, LLC 250293 0.94
Invesco Ltd. 236508 0.89
Guggenheim Capital, LLC 206854 0.78
LPL Financial LLC 156950 0.59
Advisory Resource Group 130131 0.49
TSP Capital Management Group, LLC 113515 0.43
Kestra Advisory Services, LLC 108083 0.41

ETF Partager, % Rentabilité pour l'année, % Dividendes, %
Cambria Global Real Estate ETF 1.44527 -0.6808 5.33925
ETRACS Monthly Pay 1.5x Leveraged Closed-End Fund Index ETN 0.47 16.44
Invesco CEF Income Composite ETF 0.40595 6.31 1.78304
SPDR S&P International Small Cap ETF 0.04263 8.94 3.10348
Avantis Real Estate ETF 0.0245 12.69 3.98939
Schwab International Small-Cap Equity ETF 0.02275 10.07 3.20638
Vanguard FTSE All-World ex-US Small-Cap ETF 0.01 9.39 3.09932
Vanguard ESG International Stock ETF 0 4.9 3.07501



Adresse: United States, Boston. MA, 200 Berkeley Street - ouvrir dans Google Maps, ouvrir les cartes Yandex
Site web: https://www.jhinvestments.com/Fund/Overview.aspxProductType=ClosedEnd&FundID=34000&BackToFundTableType=Price&ClassCode=CE