JOHN HANCOCK CLOSED-END FUNDS RELEASE EARNINGS DATA

In This Article:

BOSTON, May 13, 2025 /PRNewswire/ - The John Hancock Closed-End Funds listed in the table below announced earnings1 for the three months ended April 30, 2025. The same data for the comparable three-month period ended April 30, 2024 is also available below.

Three Months Ended 04/30/2025

Ticker

Fund Name

Current
Fiscal
Year End

Net
Investment
Income

Per
Common
Share

NAV

Total Managed
Assets


Total Net Assets

HPI

Preferred Income Fund

7/31

$  7,378,468

$      0.276

$15.42

$   669,610,890

 * 

$    412,510,890

HPF

Preferred Income Fund II

7/31

$  5,967,608

$      0.276

$15.29

$   537,068,758

 * 

$    330,368,758

HPS

Preferred Income Fund III

7/31

$  7,969,263

$      0.248

$13.74

$   715,117,118

 * 

$    440,817,118

JHS

Income Securities Trust

10/31

$  1,694,294

$      0.145

$12.04

$   231,546,319

 * 

$    140,246,319

JHI

Investors Trust

10/31

$  2,484,679

$      0.284

$14.32

$   212,105,861

 * 

$    125,205,861

PDT

Premium Dividend Fund

10/31

$  7,929,127

$      0.161

$13.35

$1,030,410,349

 * 

$    656,710,349

HTD

Tax-Advantaged Dividend Income Fund

10/31

$10,337,554

$      0.292

$24.63

$   872,590,350

 * 

$    872,590,350


Three Months Ended 04/30/2024

Ticker

Fund Name

Current
Fiscal
Year End

Net
Investment
Income

Per
Common
Share

NAV

Total Managed
Assets


Total Net Assets

HPI

Preferred Income Fund

7/31

$7,056,729

$      0.265

$15.77

$   676,879,021

 * 

$419,779,021

HPF

Preferred Income Fund II

7/31

$5,717,305

$      0.265

$15.64

$   543,541,084

 * 

$336,841,084

HPS

Preferred Income Fund III

7/31

$7,666,481

$      0.240

$14.09

$   724,580,184

 * 

$450,280,184

JHS

Income Securities Trust

10/31

$1,327,843

$      0.114

$11.69

$   227,496,045

 * 

$136,196,045

JHI

Investors Trust

10/31

$1,855,394

$      0.212

$14.47

$   213,410,793

 * 

$126,510,793

PDT

Premium Dividend Fund

10/31

$7,066,123

$      0.144

$12.18

$   972,612,647

 * 

$598,912,647

HTD

Tax-Advantaged Dividend Income Fund

10/31

$8,833,669

$      0.249

$21.71

$1,188,214,154

 * 

$769,314,154

*Total managed assets include assets attributable to borrowings under the Committed Facility Agreement or Liquidity Agreement, as applicable.