JOHN HANCOCK PREFERRED INCOME FUND II - COM (HPF)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / COM
Symbol
HPF on NYSE
Price per share
$16.13
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
2,462,814
Total reported value
$41,475,246
% of total 13F portfolios
0%
Share change
+302,483
Value change
+$5,161,284
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
47
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, JOHN HANCOCK PREFERRED INCOME FUND II - COM (HPF) has 47 institutional shareholders filing 13F forms. They hold 2,462,814 shares. .

Institutional Holders of JOHN HANCOCK PREFERRED INCOME FUND II - COM (HPF) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 18,498 $298,463 +$549 1,613.49% 1
2025 Q3 2,462,814 $41,475,246 +$5,161,284 1,685% 47
2025 Q2 2,179,278 $34,460,478 +$1,533,629 1,581% 51
2025 Q1 2,003,174 $33,293,755 +$2,368,011 1,662% 42
2024 Q4 1,914,564 $31,772,674 -$2,405,154 1,655% 46
2024 Q3 2,047,682 $38,132,653 +$402,996 1,865% 46
2024 Q2 1,952,312 $33,122,220 +$7,366,109 1,697% 46
2024 Q1 1,530,838 $25,164,705 +$746,720 1,653% 42
2023 Q4 12,358 $195,009 -$8,379 1,578% 1
2023 Q3 1,363,224 $19,724,456 +$1,227,326 1,447% 45
2023 Q2 1,278,838 $19,299,226 -$651,387 1,509% 41
2023 Q1 1,316,458 $20,425,688 +$108,074 1,552% 44
2022 Q4 1,312,835 $20,572,336 -$1,240,958 1,568% 49
2022 Q3 1,411,519 $23,229,987 +$730,186 1,645% 42
2022 Q2 1,455,522 $26,066,636 +$2,306,959 1,798.07% 49
2022 Q1 1,321,551 $25,149,170 -$2,125,481 1,902.9% 43
2021 Q4 1,460,199 $30,481,927 -$335,289 2,087.19% 47
2021 Q3 1,489,959 $32,331,186 -$2,754,803 2,170% 48
2021 Q2 1,617,194 $34,931,219 -$7,007,660 2,160% 54
2021 Q1 1,945,178 $40,370,907 -$1,074,439 2,080.16% 52
2020 Q4 1,998,563 $37,974,839 +$3,525,766 1,900.93% 56
2020 Q3 1,575,476 $28,124,197 +$1,026,612 1,782.27% 40
2020 Q2 1,686,699 $30,414,305 +$925,092 1,802.98% 41
2020 Q1 1,610,880 $24,807,278 +$1,214,299 1,539.96% 48
2019 Q4 1,617,422 $36,030,144 +$3,196,083 2,227.27% 51
2019 Q3 1,460,792 $34,146,265 -$971,626 2,337.25% 45
2019 Q2 1,555,438 $35,816,861 +$6,003,031 2,301.5% 45
2019 Q1 1,278,190 $27,879,215 +$1,115,972 2,186.93% 42
2018 Q4 1,231,260 $23,082,417 -$2,124,376 1,874.96% 46
2018 Q3 1,242,433 $26,299,485 +$2,420,964 2,116.83% 44
2018 Q2 1,124,233 $23,955,445 -$1,097,423 2,132.7% 39
2018 Q1 1,182,196 $23,695,621 +$635,682 2,004.41% 42
2017 Q4 1,184,221 $25,448,728 -$2,079,006 2,148.94% 44
2017 Q3 1,239,450 $27,155,078 -$312,089 2,191.02% 40
2017 Q2 1,255,752 $27,574,587 -$4,865,324 2,196% 43
2017 Q1 1,490,016 $31,420,937 +$1,027,385 2,109.88% 40
2016 Q4 1,444,312 $29,253,088 -$886,263 2,024.76% 43
2016 Q3 1,482,765 $33,402,782 -$70,668 2,253.93% 46
2016 Q2 1,485,804 $33,755,149 -$1,216,804 2,269.72% 46
2016 Q1 1,507,291 $31,961,211 +$201,273 2,125.76% 46
2015 Q4 1,503,609 $29,518,000 +$650,016 1,961.1% 48
2015 Q3 1,467,884 $28,073,000 -$2,086,985 1,912.4% 42
2015 Q2 1,513,499 $29,180,050 +$382,379 1,925.38% 45
2015 Q1 1,512,315 $31,761,003 -$1,409,470 2,099.99% 48
2014 Q4 1,568,602 $31,909,912 +$958,655 2,033.74% 42
2014 Q3 1,478,261 $29,605,056 +$1,624,015 2,001.15% 41
2014 Q2 1,397,167 $28,878,270 -$2,648,092 2,068.54% 42
2014 Q1 1,528,492 $30,495,814 +$1,619,446 1,996.4% 41