John Hancock Investors Closed Fund(JHI) USD 12.77
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.51%USD 0.193USD0.19252023-03-10
20229.28%USD 1.185USD0.25892022-12-09
USD0.2622022-09-09
USD0.32042022-06-10
USD0.34352022-03-10
202111.47%USD 1.465USD0.39062021-12-10
USD0.36742021-09-10
USD0.38642021-06-10
USD0.32092021-03-10
202010.76%USD 1.374USD0.35472020-12-10
USD0.34552020-09-10
USD0.37782020-06-10
USD0.29562020-03-11
20199.47%USD 1.209USD0.32742019-12-11
USD0.32462019-09-12
USD0.31112019-06-12
USD0.24582019-03-08
20189.42%USD 1.203USD0.31672018-12-12
USD0.26892018-09-13
USD0.31282018-06-08
USD0.30482018-03-09
201710.41%USD 1.329USD0.3562017-12-08
USD0.32942017-09-08
USD0.32092017-06-08
USD0.32252017-03-09
201610.56%USD 1.348USD0.32682016-12-08
USD0.34282016-09-08
USD0.34112016-06-09
USD0.33742016-03-09
201511.35%USD 1.449USD0.37352015-12-09
USD0.35952015-09-09
USD0.34942015-06-09
USD0.36652015-03-10
201412.54%USD 1.601USD0.40972014-12-09
USD0.4022014-09-10
USD0.41692014-06-10
USD0.37262014-03-11
201313.02%USD 1.663USD0.44682013-12-10
USD0.38152013-09-11
USD0.41362013-06-11
USD0.42082013-03-07
201215.17%USD 1.937USD0.4992012-12-11
USD0.47442012-09-12
USD0.46442012-06-07
USD0.49952012-03-08
201115.42%USD 1.969USD0.50022011-12-08
USD0.50812011-09-08
USD0.49642011-06-09
USD0.46422011-03-09
201016.24%USD 2.074USD0.50542010-12-09
USD0.49852010-09-09
USD0.54782010-06-09
USD0.52182010-03-09
200914.19%USD 1.812USD0.50182009-12-09
USD0.42742009-09-09
USD0.42322009-06-09
USD0.45982009-03-10
200812.39%USD 1.582USD0.37772008-12-11
USD0.45252008-09-12
USD0.39552008-06-09
USD0.35592008-03-19
200710.26%USD 1.31USD0.322007-12-12
USD0.3452007-09-19
USD0.3352007-06-13
USD0.312007-03-26
200610.22%USD 1.305USD0.30252006-12-13
USD0.3252006-09-20
USD0.3352006-06-15
USD0.34252006-03-15
200511.49%USD 1.468USD0.35252005-12-14
USD0.362005-09-21
USD0.3652005-06-15
USD0.392005-03-16
200413.04%USD 1.665USD0.4152004-12-22
USD0.422004-09-22
USD0.422004-06-23
USD0.412004-03-17
200315.78%USD 2.015USD0.9972003-12-17
USD0.352003-09-03
USD0.33752003-05-28
USD0.332003-03-05
20029.51%USD 1.215USD0.29752002-11-26
USD0.30252002-09-04
USD0.3152002-05-30
USD0.32002-03-06
200110.51%USD 1.343USD0.32252001-11-28
USD0.342001-09-20
USD0.33752001-05-30
USD0.34252001-03-08
200011.08%USD 1.415USD0.352000-12-20
USD0.3552000-09-20
USD0.352000-06-15
USD0.362000-03-16