JOHN HANCOCK PREMIUM DIVIDEND FUND NOTICE TO SHAREHOLDERS - SOURCES OF DISTRIBUTION UNDER SECTION 19(a)

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BOSTON, Nov. 29, 2024 /PRNewswire/ - John Hancock Premium Dividend Fund (NYSE: PDT) (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 $0.0825 per share paid to all shareholders of record as of November 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

This notice provides shareholders of the John Hancock Premium Dividend Fund (NYSE: PDT) with important information concerning the distribution declared on November 1, 2024, and payable on November 29, 2024. No action is required on your part.

Distribution Period:                                     

November 2024

Distribution Amount Per Common Share:                        

$0.0825

The following table sets forth the estimated sources of the current distribution, payable November 29, 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 11/1/2024-11/30/2024

 


 

For the fiscal year-to-date period
11/1/2024-11/30/2024
 1

 

Source


Current
Distribution ($)


% Breakdown
of the Current
Distribution


Total Cumulative
Distributions ($)


% Breakdown
of the Total
Cumulative
Distributions

Net Investment Income


0.0672


81 %


0.0672


81 %

Net Realized Short- Term Capital Gains


0.0038


5 %


0.0038


5 %

Net Realized Long- Term Capital Gains


0.0115


14 %


0.0115


14 %

Return of Capital or Other Capital Source


0.0000


0 %


0.0000


 

0 %

 

Total per common share


0.0825


100 %


0.0825


100 %










 

 

Average annual total return (in relation to NAV) for the 5 years ended on October 31, 2024


5.76 %




Annualized current distribution rate expressed as a percentage of NAV as of October 31, 2024


7.28 %




Cumulative total return (in relation to NAV) for the fiscal year through October 31, 2024


39.63 %




Cumulative fiscal year-to-date distribution rate expressed as a percentage of NAV as of October 31, 2024


0.61 %


________________


1  The Fund's current fiscal year began on November 1, 2024 and will end on October 31, 2025.

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.