HPI - John Hancock Preferred Income Fund
A closed-end fund run by John Hancock. Invests in preferred shares. Listed on the New York Stock Exchange.
Is anyone targeting this fund?
No - nobody has reported owning 5% or more of this fund.
Is the fund doing anything you need to act on?
Nothing right now.
What this means for you
No investor has reported owning 5% or more of this fund. That is the normal state for most closed-end funds.
Nothing is required of you. If that changes, the notice appears here within a day of being filed with the regulator.
What happened, and when
Nothing on file yet. No large investor has reported a stake in this fund, and the fund has not announced a buy-back, a vote or a closing.
About this fund
- Run by John Hancock Investment Management LLC. Part of the John Hancock Group of Funds fund family. As of July 31, 2025, from the fund's yearly report. Original document →
- Size: about $422 million of holdings, as of April 30, 2026. As of April 30, 2026, from the fund's quarterly holdings report. Original document →
- Borrowing: the fund borrows about 39% on top of its own money, as of April 30, 2026. Borrowed money makes gains and losses bigger. As of April 30, 2026, from the fund's quarterly holdings report. Original document →
- Costs: 1.2% a year in management fees; 4.5% a year in total, including interest on borrowed money. Fiscal year ended July 31, 2025. As of July 31, 2025, from the fund's yearly report. Original document →
- Payouts: last fiscal year (ended July 31, 2025) the fund paid $1.48 a share. $1.15 of that was income; $0.33 was your own money back, not income. As of July 31, 2025, from the fund's annual report. Original document →
- Value of holdings per share at the last fiscal year end (July 31, 2025): $16.02. The shares traded at $16.06, about 0.3% above that. As of July 31, 2025, from the fund's yearly report. Original document →
- How the holdings did: up 3.3% over the last three months we have (Feb-April 2026), before the share price is taken into account. Over the last 12 months: +12.8%. As of April 30, 2026, from the fund's quarterly holdings report. Original document →
- How the holdings did over the fiscal year (ended July 31, 2025): the value of the holdings returned +8.7%. How the share price did: the shares returned +0.5% over the same year, counting payouts and the change in the market price. As of July 31, 2025, from the fund's annual report. Original document →
- First reported to the regulator in 2002.
What the fund holds
Mostly preferred shares (55%), the rest bonds and cash and short-term holdings. About 89% issued in the U.S.
- Wells Fargo and Company, WELLS FARGO and CO PREFERRED STOCK 7.5 - 2.7%
- Bank of America Corp Preferred Stock 7.25 - 2.5%
- Athene Holding Ltd Preferred Stock Var - 4.1%
- Vistra Corp Jr Subordina 144A 12/99 Var - 2.2%
- Energy Transfer LP Jr Subordina 12/99 Var - 2%
- Venture Global Lng Inc Jr Subordina 144A 12/99 Var - 1.9%
- Citigroup Capital Xiii Preferred Stock 10/40 Var - 1.9%
- Cms Energy Corp Preferred Stock 03/79 5.875 - 1.8%
- Telephone and Data Systems Inc Preferred Stock 6 - 1.8%
- Citizens Financial Group Inc Jr Subordina 12/99 Var - 1.8%
Show all 24
- Nrg Energy Inc Jr Subordina 144A 12/99 Var - 1.7%
- Sempra Preferred Stock 07/79 5.75 - 1.7%
- Cash and short-term - 1.7%
- Duke Energy Corp Preferred Stock 5.75 - 1.7%
- Citigroup Inc Jr Subordina 12/99 Var - 1.6%
- Enbridge Inc Subordinated 01/84 Var - 1.6%
- Sbl Holdings Inc Jr Subordina 144A 12/99 Var - 1.6%
- Sce Trust VII Preferred Stock 7.5 - 1.6%
- Citizens Financial Group Inc Preferred Stock 7.375 - 1.6%
- Morgan Stanley Preferred Stock 7.125 - 1.5%
- Sbl Holdings Inc Jr Subordina 144A Var - 1.5%
- AEGON Funding Company LLC, Aegon Funding Co LLC Preferred Stock 12/49 5.1 - 1.5%
- Affiliated Managers Group Inc Preferred Stock 03/64 6.75 - 1.5%
- Tpg Operating Group II LP Preferred Stock 03/64 6.95 - 1.4%
As of April 30, 2026, from the fund's quarterly holdings report. Original document →
Details: all notices, events and fund facts
No notices from large investors on file.
No announcements from the fund on file.
- Run by
- John Hancock Investment Management LLC
- Fund family
- John Hancock Group of Funds
- Exchange
- New York Stock Exchange
- Regulator's file number
- 811-21131
- Auditor
- PricewaterhouseCoopers LLP
- Fiscal year end
- July 31, 2025
- Number of holdings
- 179
- Preferred share classes
- none
Email me when something new is filed for HPI
Free. One email per notice or announcement, usually within a day. No password.