Nasdaq - Delayed Quote USD

John Hancock Regional Bank Fund Class B (FRBFX)

17.52 -0.28 (-1.57%)
At close: December 17 at 8:01 PM EST

Performance Overview

Morningstar Return Rating 3
YTD Return 13.30%
5y Average Return 10.80%
Number of Years Up 25
Number of Years Down 9
Best 1Y Total Return (Feb 4, 2019) 37.94%
Worst 1Y Total Return (Feb 4, 2019) -26.02%
Best 3Y Total Return 37.94%
Worst 3Y Total Return -14.28%

Trailing Returns (%) Vs. Benchmarks

Monthly Total Returns
FRBFX
Category
YTD
-33.80%
23.64%
1-Month
3.64%
-3.05%
3-Month
2.46%
5.29%
1-Year
-22.18%
61.45%
3-Year
-8.16%
10.74%
5-Year
1.57%
14.55%
10-Year
7.93%
11.64%
Last Bull Market
37.80%
28.35%
Last Bear Market
-25.91%
-25.24%

Annual Total Return (%) History

Year
FRBFX
Category
2020
--
-1.15%
2019
26.74%
28.39%
2018
-18.18%
-14.21%
2017
9.76%
16.72%
2016
36.98%
19.09%
2015
5.98%
-0.87%
2014
8.48%
4.90%
2013
37.94%
34.57%

2012
23.69%
24.77%
2011
-12.12%
-15.12%
2010
14.11%
11.13%
2009
6.22%
25.26%
2008
-26.02%
-43.91%
2007
-19.84%
-11.64%
2006
13.85%
16.90%
2005
0.35%
6.74%
2004
13.59%
14.02%
2003
27.57%
33.56%
2002
-3.59%
-10.28%
2001
1.57%
-2.05%
2000
20.99%
27.74%
1999
-16.38%
-1.79%
1998
0.73%
6.05%
1997
52.83%
47.00%
1996
28.43%
31.88%
1995
47.56%
46.02%
1994
-0.19%
-2.68%
1993
20.54%
16.92%
1992
47.37%
34.71%
1991
63.78%
57.77%
1990
-20.57%
-17.82%
1989
17.34%
22.39%
1988
29.98%
20.18%
1987
-0.29%
-10.77%
1986
20.24%
16.09%

Past Quarterly Returns

YearQ1Q2Q3Q4
2020 -42.09% 13.72% -5.19% --
2019 8.55% 5.25% 0.21% 10.71%
2018 2.21% 1.08% -1.09% -19.94%
2017 -0.58% 1.70% 4.47% 3.91%
2016 -6.45% 3.47% 9.78% 28.90%
2015 -0.67% 6.31% -4.87% 5.51%
2014 4.62% -1.83% -2.31% 8.11%
2013 10.19% 7.46% 4.98% 10.96%
2012 19.49% -2.65% 6.02% 0.29%
2011 2.10% -5.08% -22.21% 16.58%

2010 13.17% -9.93% -0.65% 12.69%
2009 -22.90% 16.65% 18.17% -0.05%
2008 -6.86% -20.24% 24.33% -19.90%
2007 -1.87% -0.95% -4.06% -14.04%
2006 4.43% 0.97% 3.34% 4.48%
2005 -6.14% 2.89% -1.43% 5.42%
2004 2.26% 0.74% 3.18% 6.87%
2003 -4.36% 13.65% 4.05% 12.79%
2002 7.50% -0.24% -11.20% 1.23%
2001 -3.15% 8.03% -5.26% 2.45%
2000 -6.20% -5.90% 20.39% 13.86%
1999 -3.32% 4.51% -13.06% -4.80%
1998 6.24% -1.58% -16.51% 15.40%
1997 4.62% 13.35% 15.12% 11.94%
1996 4.21% 0.71% 9.68% 11.58%
1995 11.77% 10.54% 12.71% 5.97%
1994 0.89% 8.05% 0.89% -9.26%
1993 13.58% -0.97% 9.57% -2.20%
1992 12.45% 9.11% 4.04% 15.45%
1991 19.45% 12.56% 12.24% 8.53%
1990 -3.70% 0.00% -20.91% 4.28%
1989 6.32% 7.31% 11.73% -7.94%
1988 17.41% 5.67% 4.66% 0.10%
1987 16.82% 0.56% 3.10% -17.67%
1986 19.70% 12.50% -8.20% -2.72%

Rank in Category (By Total Return)

YTD 99
1-Month 56
3-Month 90
1-Year 93
3-Year 88
5-Year 75

Load Adjusted Returns

1-Year -25.99%
3-Year -9.05%
5-Year 1.21%
10-Year 7.93%

Performance & Risk

YTD Return 13.30%
5y Average Return 10.80%
Rank in Category (ytd) 99
% Rank in Category (ytd) --
Beta (5Y Monthly) 1.43
Morningstar Risk Rating

Fund Overview

Category Financial
Fund Family John Hancock
Net Assets 798.94M
YTD Return -33.80%
Yield 1.78%
Morningstar Rating
Inception Date Oct 04, 1985

Fund Summary

The investment seeks long-term capital appreciation; moderate income is a secondary consideration. The fund normally invests at least 80% of its net assets in equity securities of regional banks. Such regional banks may be of any size and may include, but are not limited to, commercial banks, industrial banks, savings and loan associations, and financial and bank holding companies. It may also invest in other U.S. and foreign financial services companies. The fund may invest up to 5% of net assets in stocks of companies outside the financial services sector and up to 5% of net assets in below-investment-grade bonds rated as low as CCC.

Related Tickers