Nasdaq - Delayed Quote • USD
John Hancock Funds II - John Hancock Short Duration Credit Opportunities Fund (JMBCX)
At close: December 14 at 8:00 PM EST
Performance Overview
Morningstar Return Rating | 1 |
YTD Return | 2.80% |
5y Average Return | 0.00% |
Number of Years Up | 4 |
Number of Years Down | 2 |
Best 1Y Total Return (Feb 4, 2019) | 7.51% |
Worst 1Y Total Return (Feb 4, 2019) | -2.94% |
Best 3Y Total Return | 7.51% |
Worst 3Y Total Return | 1.92% |
Trailing Returns (%) Vs. Benchmarks
Monthly Total Returns
JMBCX
Category
- YTD
- -0.57%
- 1.94%
- 1-Month
- -0.25%
- 0.65%
- 3-Month
- -1.56%
- 2.15%
- 1-Year
- -0.01%
- 9.23%
- 3-Year
- 3.52%
- 5.23%
- 5-Year
- 2.70%
- 4.63%
- 10-Year
- 0.00%
- 4.32%
- Last Bull Market
- 6.34%
- 8.16%
- Last Bear Market
- -5.24%
- -3.23%
Annual Total Return (%) History
Year
JMBCX
Category
Past Quarterly Returns
Year | Q1 | Q2 | Q3 | Q4 |
---|---|---|---|---|
2021 | -0.22% | 1.04% | -- | -- |
2020 | -10.21% | 9.51% | 2.20% | 3.75% |
2019 | 3.86% | 2.00% | 0.24% | 1.24% |
2018 | 0.02% | -1.50% | 0.76% | -2.06% |
2017 | 1.00% | 1.01% | 1.26% | 0.12% |
2016 | 1.29% | 1.68% | 2.14% | 0.25% |
2015 | 1.12% | -0.73% | -2.78% | -0.55% |
2014 | -1.31% | -1.50% | -- | -- |
Rank in Category (By Total Return)
YTD | 85 |
1-Month | 20 |
3-Month | 60 |
1-Year | 81 |
3-Year | 88 |
5-Year | 95 |
Load Adjusted Returns
1-Year | -0.19% |
3-Year | 3.49% |
5-Year | 2.52% |
10-Year | 2.40% |
Performance & Risk
YTD Return | 2.80% |
5y Average Return | 0.00% |
Rank in Category (ytd) | 85 |
% Rank in Category (ytd) | -- |
Beta (5Y Monthly) | 0.56 |
Morningstar Risk Rating |
Fund Overview
Category | Multisector Bond |
Fund Family | John Hancock |
Net Assets | 121.78M |
YTD Return | -0.57% |
Yield | 1.66% |
Morningstar Rating | |
Inception Date | Jun 27, 2014 |
Fund Summary
The investment seeks to maximize total return, which consists of income on its investments and capital appreciation. The fund will normally invest in a portfolio of fixed-income securities. Under normal circumstances, it will invest at least 80% of its assets in bonds and related investments and maintain an average portfolio duration of approximately three years or less. The fund may invest in securities of any duration and maturity. Duration is an approximate measure of the sensitivity of a fixed-income security to interest-rate risk.
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