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13.35 USD
P/E
14.11
EPS
0.96
Yield
8.99%
P/B
0.95
ROE
6.72
Beta
0.73
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Key Metrics
P/E14.11
EPS0.96
Book Value14.32
Price to Book0.95
Debt/Equity69.41
% Insiders0.151%
Growth
Revenue Growth0.10%
Earnings Growth-0.99%
Dividend
Dividend Yield8.99%
Annual dividends1.21 USD
Ex-Div. DateSept. 11, 2026
Payout115.43%
5y avg Yield8.04%

DCF Valuation

Tweak assumptions to recompute fair value for John Hancock Investors Trust (JHI)
Currency: USD
DCF Assumptions
Decimal (e.g., 0.10 = 10%). Range allows declines (−50%) to strong growth (+50%).
Decimal (e.g., 0.30 = 30%).
Decimal (e.g., 0.04 = 4%).
Decimal (e.g., 0.20 = 20%).
Percent number (e.g., 3 = 3%).
Percent number (e.g., 10 = 10%).
Percent number (e.g., 5 = 5%).
DCF Result

Fair Value (DCF)
Current Price
Upside
WACC
Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

John Hancock Investors Trust Logo John Hancock Investors Trust Analysis (JHI)

United States Financials Official Website Stock

Is John Hancock Investors Trust a good investment? John Hancock Investors Trust (JHI) is currently trading at 13.35 USD.

In terms of valuation, the stock trades at a P/E ratio of 14.11. This relatively low multiple may signal that John Hancock Investors Trust is undervalued compared to historical market norms.

For income investors, John Hancock Investors Trust pays a dividend yield of 8.99%. With a payout ratio of 115%, the dividend appears to be under pressure.

Investor FAQ

Does John Hancock Investors Trust pay a dividend?

Yes, it pays an annual dividend of 1.21 USD (8.99% yield).

What asset class is John Hancock Investors Trust?

John Hancock Investors Trust is classified as a Stock. You can compare it against its peer in the "Related Symbols" list.

Company Profile

John Hancock Investors Trust 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. It invests in the fixed income markets across the globe. The fund primarily invests in a diversified portfolio of corporate and government bonds, debt securities. It benchmarks the performance of its portfolio against the Barclays Capital U.S. Aggregate Bond Index. John Hancock Investors Trust was formed on January 29, 1971 and is domiciled in the United States.

Exchange Ticker
NYQ (United States) JHI
Trades
Dividend Yield
8.99%
5y avg 8.04%
Annual Dividends
1.21USD
Next Ex. Div Date
Sept. 11, 2026
Payout Ratio
115.43%
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2027
0.51 USD
June 30, 2027 (estimated) 0.2639
March 31, 2027 (estimated) 0.2471
2026
1.23 USD
Dec. 31, 2026 (estimated) 0.3735
Sept. 30, 2026 0.2940
June 30, 2026 0.2970
March 31, 2026 0.2630
2025
1.21 USD
Dec. 31, 2025 0.3650
Sept. 30, 2025 0.3160
June 30, 2025 0.2990
March 31, 2025 0.2350
2024
1.08 USD
Dec. 31, 2024 0.3460
Sept. 30, 2024 0.3130
June 28, 2024 0.2220
March 28, 2024 0.2010
2023
0.88 USD
Dec. 29, 2023 0.2650
Sept. 29, 2023 0.2080
June 30, 2023 0.2150
March 31, 2023 0.1930
2022
1.19 USD
Dec. 30, 2022 0.2590
Sept. 30, 2022 0.2620
June 30, 2022 0.3200
March 31, 2022 0.3440
2021
1.47 USD
Dec. 31, 2021 0.3910
Sept. 30, 2021 0.3670
June 30, 2021 0.3860
March 31, 2021 0.3210
2020
1.38 USD
Dec. 31, 2020 0.3550
Sept. 30, 2020 0.3460
June 30, 2020 0.3780
March 31, 2020 0.2960
2019
1.21 USD
Dec. 31, 2019 0.3270
Sept. 30, 2019 0.3250
June 28, 2019 0.3110
March 29, 2019 0.2460
2018
1.20 USD
Dec. 31, 2018 0.3170
Sept. 28, 2018 0.2690
June 29, 2018 0.3130
March 29, 2018 0.3050
2017
1.33 USD
Dec. 29, 2017 0.3560
Sept. 29, 2017 0.3290
June 30, 2017 0.3210
March 31, 2017 0.3230
2016
1.35 USD
Dec. 30, 2016 0.3270
Sept. 30, 2016 0.3430
June 30, 2016 0.3410
March 31, 2016 0.3370
2015
1.45 USD
Dec. 31, 2015 0.3740
Sept. 30, 2015 0.3600
June 30, 2015 0.3490
March 31, 2015 0.3660
2014
1.60 USD
Dec. 31, 2014 0.4100
Sept. 30, 2014 0.4020
June 30, 2014 0.4170
March 31, 2014 0.3730
2013
1.66 USD
Dec. 31, 2013 0.4470
Sept. 30, 2013 0.3820
June 28, 2013 0.4140
March 28, 2013 0.4210
2012
1.94 USD
Dec. 31, 2012 0.4990
Sept. 28, 2012 0.4740
June 29, 2012 0.4640
March 30, 2012 0.5000
2011
1.97 USD
Dec. 30, 2011 0.5000
Sept. 30, 2011 0.5080
June 30, 2011 0.4960
March 31, 2011 0.4640
2010
2.07 USD
Dec. 31, 2010 0.5050
Sept. 30, 2010 0.4990
June 30, 2010 0.5480
March 31, 2010 0.5220
2009
1.81 USD
Dec. 31, 2009 0.5020
Sept. 30, 2009 0.4270
June 30, 2009 0.4230
March 31, 2009 0.4600
2008
1.58 USD
Dec. 31, 2008 0.3780
Sept. 30, 2008 0.4530
June 30, 2008 0.3960
March 31, 2008 0.3560
2007
1.31 USD
Dec. 31, 2007 0.3200
Sept. 28, 2007 0.3450
June 29, 2007 0.3350
March 30, 2007 0.3100
2006
1.31 USD
Dec. 29, 2006 0.3030
Sept. 29, 2006 0.3250
June 30, 2006 0.3350
March 31, 2006 0.3430
2005
1.47 USD
Dec. 30, 2005 0.3530
Sept. 30, 2005 0.3600
June 30, 2005 0.3650
March 31, 2005 0.3900
2004
1.66 USD
Dec. 31, 2004 0.4150
Sept. 30, 2004 0.4200
June 30, 2004 0.4200
March 31, 2004 0.4100
2003
2.02 USD
Dec. 31, 2003 0.9970
Sept. 30, 2003 0.3500
June 30, 2003 0.3380
March 31, 2003 0.3300
2002
1.22 USD
Dec. 31, 2002 0.2980
Sept. 30, 2002 0.3030
June 28, 2002 0.3150
March 28, 2002 0.3000
2001
1.34 USD
Dec. 28, 2001 0.3230
Sept. 28, 2001 0.3400
June 29, 2001 0.3380
March 30, 2001 0.3430
2000
1.42 USD
Dec. 29, 2000 0.3500
Sept. 29, 2000 0.3550
June 30, 2000 0.3500
March 31, 2000 0.3600
1999
1.47 USD
Dec. 30, 1999 0.3680
Sept. 30, 1999 0.3730
June 30, 1999 0.3660
March 30, 1999 0.3620
1998
1.41 USD
Dec. 30, 1998 0.3600
Sept. 30, 1998 0.3780
June 30, 1998 0.3800
March 31, 1998 0.2950
1997
1.59 USD
Dec. 30, 1997 0.3980
Sept. 30, 1997 0.3980
June 30, 1997 0.3980
March 31, 1997 0.3980
1996
1.63 USD
Dec. 30, 1996 0.4000
Sept. 30, 1996 0.4100
June 28, 1996 0.4100
March 29, 1996 0.4100
1995
1.68 USD
Dec. 28, 1995 0.4200
Sept. 29, 1995 0.4200
June 30, 1995 0.4200
March 31, 1995 0.4200
1994
1.71 USD
Dec. 30, 1994 0.4200
Sept. 30, 1994 0.4200
June 30, 1994 0.4200
March 31, 1994 0.4480
1993
2.30 USD
Dec. 31, 1993 0.9747
Sept. 30, 1993 0.4400
June 30, 1993 0.4450
March 31, 1993 0.4450
1992
1.88 USD
Dec. 31, 1992 0.4550
Sept. 30, 1992 0.4720
June 30, 1992 0.4750
March 31, 1992 0.4770
1991
1.93 USD
Dec. 31, 1991 0.4800
Sept. 30, 1991 0.4800
June 28, 1991 0.4800
March 29, 1991 0.4900
1990
1.52 USD
Dec. 31, 1990 0.5000
Sept. 28, 1990 0.0400
June 29, 1990 0.4900
March 30, 1990 0.4900
1989
1.99 USD
Dec. 12, 1989 0.5100
Sept. 12, 1989 0.5100
June 13, 1989 0.5100
March 14, 1989 0.4600
1988
1.99 USD
Dec. 13, 1988 0.5100
Sept. 13, 1988 0.5100
June 14, 1988 0.5100
March 15, 1988 0.4600
1987
2.59 USD
Dec. 11, 1987 0.5600
Oct. 19, 1987 0.5100
July 20, 1987 0.5100
April 20, 1987 0.4600
Jan. 16, 1987 0.5500
1986
1.97 USD
Oct. 20, 1986 0.5200
July 11, 1986 0.4000
April 14, 1986 0.5000
Jan. 17, 1986 0.5500
1985
0.96 USD
Oct. 10, 1985 0.4000
July 15, 1985 0.5600
Upcoming Dividends
Name Payment Date Status Amount
John Hancock Investors Trust Sep 30, 2026 Upcoming 0.294 USD
John Hancock Investors Trust Jun 30, 2026 0.297 USD
John Hancock Investors Trust Mar 31, 2026 0.263 USD
John Hancock Investors Trust Dec 31, 2025 0.365 USD
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