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    JHancock Emerging Markets Debt A (JMKAX)

    9.08 0.00(0.00%) May 5

    Profile as of Apr 29, 2016Get Profile for:
    JHancock Emerging Markets Debt A
    John Hancock Funds601 Congress StreetBoston MA 02210
    Phone: 800-225-5291
    Fund Overview 
    Category:Emerging Markets Bond
    Fund Family:John Hancock
    Net Assets:554.83M
    Year-to-Date Return:9.88%
    Morningstar Rating:2 stars
    Fund Inception Date:Dec 31, 2009
    Morningstar Style Box 
    Emerging Markets Bond
    [View Category Definition]
    View Top Emerging Markets Bond Funds
    About the Morningstar Style Box
    Management Information 
    Paolo H. Valle
    Lead Manager since May 10, 2013
    Paolo H. Valle is a managing director and senior portfolio manager at Manulife Asset Management, providing both portfolio management and investment analysis on the Emerging Markets Debt strategies. Prior to joining Manulife Asset Management, Paolo was a senior portfolio manager at Federated Investment Management Company in Pittsburgh, Pennsylvania from 2004 to 2013. Previously he was Chief Investment Officer of Ramirez Asset Management in New York City, from 2001 to 2004. Prior to that he was a managing partner with Valle Advisors (1999-2000), and a first vice president with Merrill Lynch Investment Management (1992-1999), both in Princeton, New Jersey. Paolo began his career at PNC Financial Corporation in 1982 and over a 10 year career rose to become vice president and head of the emerging markets group.
    Investment Information 
    Min Initial Investment:1,000
    Min Initial Investment, IRA:1,000
    Min Initial Investment, AIP:1,000
    Min Subsequent Investment:N/A
    Min Subsequent Investment, IRA:N/A
    Min Subsequent Investment, AIP:25
    JMKAX can be purchased from 32 brokerages.

    Fund Summary 
    The investment seeks total return with an emphasis on current income as well as capital appreciation. The fund normally invests at least 80% of its net assets in fixed-income securities and debt instruments of emerging-market issuers. The manager uses proprietary research to identify specific countries, corporate sectors, and issuers that are attractively priced. The manager's investment decisions are not constrained by market capitalization, company fundamentals, security valuation or seasoning, or similar characteristics. The fund is non-diversified.

    Fund Operations 
    Last Dividend (Dec 22, 2015) : 0.04
    Last Cap Gain : 0.00
    Annual Holdings Turnover (May 3, 2016) : 27.00%
    Average for Category:98.16%
    Fees & Expenses 
    ExpenseJMKAXCategory Avg
    Annual Report Expense Ratio (net):1.35%1.17%
    Prospectus Net Expense Ratio:1.20%N/A
    Prospectus Gross Expense Ratio:1.20%N/A
    Max 12b1 Fee:0.30%N/A
    Max Front End Sales Load:4.00%4.09%
    Max Deferred Sales Load: N/A1.48%
    3 Yr Expense Projection*:766601
    5 Yr Expense Projection*:1,0331,009
    10 Yr Expense Projection*:1,7962,095
    * Per $10,000 invested