HPF

John Hancock Pfd Income Fund II

17.21

Top Statistics
Market Cap 371 M Forward PE 0.0000 Revenue Growth 1.50 %
Current Ratio 5.94 Trailing PE 7.48 Earnings Growth 0.00 %
Profit Margins 127.08 % Peg Ratio Dividend Yield 8.61 %
Enterprice / EBITA Enterprise / Revenue 14.82 Price To Sales Trailing12 Months 9.52
Profitability
Profit Margins 127.08 % Operating Margins 88.72 %
Balance Sheet
Total Cash 239620 Total Cash Per Share 0.0110 Total Debt 206 M
Total Debt To Equity 59.93 Current Ratio 5.94 Book Value Per Share 15.99
All Measures
Short Ratio 51.00 % Message Board Id finmb_3605742 Shares Short Prior Month 35935
Return On Equity 0.1476 City Boston Uuid 3062fdf5-ee08-3195-8309-15132c216460
Previous Close 17.08 First Trade Date Epoch Utc 1 B Book Value 15.99
Beta 0.9020 Total Debt 206 M Volume 27806
Price To Book 1.08 Fifty Two Week Low 14.74 Total Cash Per Share 0.0110
Total Revenue 38 M Shares Short Previous Month Date 1 B Max Age 86400
Sand P52 Week Change 0.3133 Operating Margins 88.72 % Last Dividend Value 0.1240
Net Income To Common 49 M Ask 17.68 Implied Shares Outstanding 21 M
Trailing Peg Ratio None Last Fiscal Year End 1 B Average Daily Volume10 Day 31600
Average Volume10days 31600 Total Cash 239620 Next Fiscal Year End 1 B
Revenue Per Share 1.81 Held Percent Insiders 0.0005 Dividend Rate 1.48
Trailing PE 7.48 Date Short Interest 1 B Most Recent Quarter 1 B
Regular Market Previous Close 17.08 Target Low Price 0.0000 Gmt Off Set Milliseconds -18000000
Fifty Day Average 18.07 Open 17.13 Dividend Yield 8.61 %
State MA Free Cashflow 15 M Return On Assets 0.0397
Time Zone Short Name EST Trailing Eps 2.30 Day Low 17.11
Address1 200 Berkeley Street Trailing Annual Dividend Rate 1.48 Price Hint 2
Shares Outstanding 21 M Target High Price 0.0000 Website https://www.jhinvestments.com/Fund/ManagementCommentary.aspx?ProductType=ClosedEnd&FundID=34100&ClassCode=CE&BackToFundTableType=Price
52 Week Change 0.1125 Average Volume 35862 Recommendation Key none
Forward Eps 0.0000 Quick Ratio 471.00 % Is_sp_500 False
Regular Market Day High 17.37 Profit Margins 127.08 % Debt To Equity 59.93
Fifty Two Week High 19.00 Day High 17.37 Shares Short 15865
Regular Market Open 17.13 Industry Key asset-management Bid 16.63
Earnings Growth 0.00 % Enterprise To Revenue 14.82 Revenue Growth 1.50 %
Shares Percent Shares Out 0.0007 Operating Cashflow 33 M Five Year Avg Dividend Yield 838.00 %
Currency USD Market Cap 371 M Time Zone Full Name America/New_York
Is_nasdaq_100 False Zip 02116 Payout Ratio 62.65 %
Quote Type EQUITY Industry Asset Management Ex Dividend Date 1 B
Regular Market Day Low 17.11 Held Percent Institutions 0.0980 Long Name John Hancock Preferred Income Fund II
Current Price 17.21 Financial Currency USD Trailing Annual Dividend Yield 8.68 %
Current Ratio 5.94 Gross Margins 100.00 % Industry Disp Asset Management
Country United States Two Hundred Day Average 17.09 Enterprise Value 577 M
Price To Sales Trailing12 Months 9.52 Forward PE 0.0000 Regular Market Volume 27806
Last Dividend Date 1 B Exchange NYQ
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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.