JOHN HANCOCK TAX-ADVANTAGED DIVIDEND INCOME FUND - NOTICE TO SHAREHOLDERS - SOURCES OF DISTRIBUTION UNDER SECTION 19(a)
JOHN HANCOCK TAX-ADVANTAGED DIVIDEND INCOME FUND - NOTICE TO SHAREHOLDERS - SOURCES OF DISTRIBUTION UNDER SECTION 19(a)
BOSTON, Dec. 31, 2024 /PRNewswire/ - John Hancock Tax-Advantaged Dividend Income Fund (NYSE: HTD) (the "Fund"), a closed-end fund managed by John Hancock Investment Management LLC and subadvised by Manulife Investment Management (US) LLC, announced today sources of its monthly distribution of $0.1380 per share paid to all shareholders of record as of December 12, 2024, pursuant to the Fund's managed distribution plan. This press release is issued as required by an exemptive order granted to the Fund by the U.S. Securities and Exchange Commission.
BOSTON, Dec. 31, 2024 /PRNewswire/ - John Hancock Tax-Advantaged Dividend Income Fund (NYSE: HTD) (the "Fund"), a closed-end fund managed by John Hancock Investment Management LLC and subadvised by Manulife Investment Management (US) LLC, announced today sources of its monthly distribution of $0.1380 per share paid to all shareholders of record as of December 12, 2024, pursuant to the Fund's managed distribution plan. This press release is issued as required by an exemptive order granted to the Fund by the U.S. Securities and Exchange Commission.
Notification of Sources of Distribution
Notification of Sources of Distribution
This notice provides shareholders of the John Hancock Tax-Advantaged Dividend Income Fund (NYSE: HTD) with important information concerning the distribution declared on December 2, 2024, and payable on December 31, 2024. No action is required on your part.
This notice provides shareholders of the John Hancock Tax-Advantaged Dividend Income Fund (NYSE: HTD) with important information concerning the distribution declared on December 2, 2024, and payable on December 31, 2024. No action is required on your part.
Distribution Period: December 2024
Distribution Period: December 2024
Distribution Amount Per Common Share: $0.1380
Distribution Amount Per Common Share: $0.1380
The following table sets forth the estimated sources of the current distribution, payable December 31, 2024, and the cumulative distributions paid this fiscal year to date from the following sources: net investment income; net realized short term capital gains; net realized long term capital gains; and return of capital or other capital source. All amounts are expressed on a per common share basis and as a percentage of the distribution amount.
The following table sets forth the estimated sources of the current distribution, payable December 31, 2024, and the cumulative distributions paid this fiscal year to date from the following sources: net investment income; net realized short term capital gains; net realized long term capital gains; and return of capital or other capital source. All amounts are expressed on a per common share basis and as a percentage of the distribution amount.
For the period 12/1/2024-12/31/2024 |
For the fiscal year-to-date period 11/1/2024-12/31/2024 1 |
|||||||
Source |
Current Distribution ($) |
% Breakdown of the Current Distribution |
Total Cumulative Distributions ($) |
% Breakdown of the Total Cumulative Distributions |
||||
Net Investment Income |
0.1079 |
78 % |
0.2675 |
97 % |
||||
Net Realized Short- Term Capital Gains |
0.0236 |
17 % |
0.0085 |
3 % |
||||
Net Realized Long- Term Capital Gains |
0.0065 |
5 % |
0.0000 |
0 % |
||||
Return of Capital or Other Capital Source |
0.0000 |
0 % |
0.0000 |
0 % |
||||
Total per common share |
0.1380 |
100 % |
0.2760 |
100 % |
||||
Average annual total return (in relation to NAV) for the 5 years ended on November 30, 2024 |
7.51 % |
|||||||
Annualized current distribution rate expressed as a percentage of NAV as of November 30, 2024 |
6.43 % |
|||||||
Cumulative total return (in relation to NAV) for the fiscal year through November 30, 2024 |
4.78 % |
|||||||
Cumulative fiscal year-to-date distribution rate expressed as a percentage of NAV as of November 30, 2024 |
1.07 % |
For the period 12/1/2024-12/31/2024 |
截至本財年目前爲止 11/1/2024-12/31/2024 1 |
|||||||
來源 |
流動 分配($) |
% 分類 當前的 分配 |
總累計 分配($) |
% 分類 總計的 累積 分配 |
||||
淨投資收益 |
0.1079 |
78 % |
0.2675 |
97 % |
||||
淨實現短期資本收益 |
0.0236 |
17 % |
0.0085 |
3 % |
||||
淨實現長期資本收益 |
0.0065 |
5 % |
0.0000 |
0 % |
||||
資本回報或其他資本來源 |
0.0000 |
0 % |
0.0000 |
0 % |
||||
每股總計 |
0.1380 |
100 % |
0.2760 |
100 % |
||||
截至2024年11月30日的5年平均年總回報(相對於淨資產價值) |
7.51 % |
|||||||
截至2024年11月30日的年化當前分配率,按淨資產價值的百分比表示 |
6.43 % |
|||||||
截至2024年11月30日的財年累計總回報(與淨資產值相關) |
4.78 % |
|||||||
截至2024年11月30日的財年累計分配率,表示爲淨資產值的百分比 |
1.07 % |
_____________________________________________________
_____________________________________________________
1 The Fund's current fiscal year began on November 1, 2024 and will end on October 31, 2025. |
本基金當前的財政年度於2024年11月1日開始,將於2025年10月31日結束。 |
You should not draw any conclusions about the Fund's investment performance from the amount of this distribution or from the terms of the Fund's managed distribution plan.
您不應根據此次分配的金額或基金的管理分配計劃的條款對基金的投資表現得出任何結論。
The amounts and sources of distributions reported in this Notice are only estimates and are not being provided for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes.
本通知中報告的分配金額和來源僅爲估算,並不用於稅務報告目的。稅務報告目的的實際金額和來源將取決於基金在其財政年度剩餘時間的投資表現,並可能會根據稅收法規的變化而有所調整。基金將在日歷年內向您發送1099-DIV表格,以告知您如何進行聯邦所得稅的分配報告。
The Fund has declared the December 2024 distribution pursuant to the Fund's managed distribution plan (the "Plan"). Under the Plan, the Fund makes fixed monthly distributions in the amount of $0.1380 per share, which will continue to be paid monthly until further notice.
該基金已經根據基金的管理分配計劃("計劃")宣佈了2024年12月的分配。在計劃下,基金每月固定分配每股0.1380美元的金額,將繼續按月支付,直到另行通知。
If you have questions or need additional information, please contact your financial professional or call the John Hancock Investment Management Closed-End Fund Information Line at 1-800-843-0090, Monday through Friday between 8:00 a.m. and 7:00 p.m., Eastern Time.
如果您有任何問題或需要更多信息,請聯繫您的財務專業人士或撥打約翰漢考克投資管理封閉式基金信息熱線,電話爲1-800-843-0090,工作時間爲週一至週五,東部時間上午8:00至晚上7:00。
Statements in this press release that are not historical facts are forward-looking statements as defined by the United States securities laws. You should exercise caution in interpreting and relying on forward-looking statements because they are subject to uncertainties and other factors which are, in some cases, beyond the Fund's control and could cause actual results to differ materially from those set forth in the forward-looking statements.
本新聞稿中並非歷史事實的聲明屬於前瞻性聲明,根據美國證券法的定義。您在解釋和依賴前瞻性聲明時應謹慎,因爲它們受到不確定性和其他一些超出基金控制的因素的影響,並可能導致實際結果與前瞻性聲明中所列的結果顯著不同。
An investor should consider a Fund's investment objectives, risks, charges and expenses carefully before investing.
投資者在投資前應仔細考慮基金的投資目標、風險、收費和費用。
About John Hancock Investment Management
關於John Hancock投資管理
A company of Manulife Investment Management, we serve investors through a unique multimanager approach, complementing our extensive in-house capabilities with an unrivaled network of specialized asset managers, backed by some of the most rigorous investment oversight in the industry. The result is a diverse lineup of time-tested investments from a premier asset manager with a heritage of financial stewardship.
作爲宏利投資管理旗下的一家公司,我們通過獨特的多經理方法爲投資者服務,利用我們廣泛的內部能力,配合一流的專業資產管理網絡,並得到業內最嚴格的投資監督。其結果是一個多樣化的、經過時間考驗的投資組合,來自具有財務管理傳統的頂級資產管理公司。
About Manulife Investment Management
關於宏利投資管理
Manulife Investment Management is the global brand for the global wealth and asset management segment of Manulife Financial Corporation. We draw on more than a century of financial stewardship and the full resources of our parent company to serve individuals, institutions, and retirement plan members worldwide. Headquartered in Toronto, our leading capabilities in public and private markets are strengthened by an investment footprint that spans 18 geographies. We complement these capabilities by providing access to a network of unaffiliated asset managers from around the world. We're committed to investing responsibly across our businesses. We develop innovative global frameworks for sustainable investing, collaboratively engage with companies in our securities portfolios, and maintain a high standard of stewardship where we own and operate assets, and we believe in supporting financial well-being through our workplace retirement plans. Today, plan sponsors around the world rely on our retirement plan administration and investment expertise to help their employees plan for, save for, and live a better retirement. Not all offerings are available in all jurisdictions. For additional information, please visit manulife.com.
宏利投資管理是宏利金融公司全球財富和資產管理部門的全球品牌。我們借鑑了超過一個世紀的財務管理經驗以及我們母公司的全部資源,爲全球的個人、機構和養老計劃成員提供服務。總部位於多倫多,我們在公共和私人市場的領先能力受到跨越18個地區的投資足跡的加強。我們通過提供來自全球無關資產管理者的網絡訪問補充這些能力。我們致力於在業務中負責任地投資。我們開發可持續投資的全球創新框架,與證券投資組合中的公司進行合作參與,並在我們擁有和運營的資產中保持高標準的管理,我們相信通過我們的工作場所養老計劃支持財務福祉是必要的。如今,全球的計劃發起人依賴我們的養老金計劃管理和投資專業知識,幫助其員工規劃、儲蓄和過上更好的養老生活。並非所有產品在所有管轄區都可用。如需更多信息,請訪問manulife.com。
SOURCE John Hancock Investment Management
來源:John Hancock 投資管理