HPS
John Hancock Preferred Income Fund Iii·NYSE
--
--(--)
--
--(--)
HPS fundamentals
John Hancock Preferred Income Fund Iii (HPS) Dividend Overview: Payouts, Yield & History
John Hancock Preferred Income Fund Iii (HPS) last paid a dividend of 0.11 USD per share, with the ex-dividend date on Mar 31,2026. As of today, the trailing twelve-month (TTM) dividend yield is 9.34%, and the payout ratio stands at 108.55%. Explore John Hancock Preferred Income Fund Iii's dividend history, payout trends, and yield performance.
John Hancock Preferred Income Fund Iii (HPS) last paid a dividend of 0.11 USD per share, with the ex-dividend date on Mar 31,2026. As of today, the trailing twelve-month (TTM) dividend yield is 9.34%, and the payout ratio stands at 108.55%. Explore John Hancock Preferred Income Fund Iii's dividend history, payout trends, and yield performance.
Mar 12,2026
Mar 31,2026
$0.11
9.34%
108.55%
Dividend
Payout Ratio
Dividend Yield
Dividend Payout History
Declaration Date
Ex-Div Date
Record data
Pay date
Amount
| Mar 02,2026 | Mar 12,2026 | Mar 12,2026 | Mar 31,2026 | Cash dividend: $0.110 |
| Feb 02,2026 | Feb 12,2026 | Feb 12,2026 | Feb 27,2026 | Cash dividend: $0.110 |
| Jan 02,2026 | Jan 12,2026 | Jan 12,2026 | Jan 30,2026 | Cash dividend: $0.110 |
| Dec 01,2025 | Dec 11,2025 | Dec 11,2025 | Dec 31,2025 | Cash dividend: $0.110 |
| Nov 03,2025 | Nov 13,2025 | Nov 13,2025 | Nov 28,2025 | Cash dividend: $0.110 |
| Oct 01,2025 | Oct 14,2025 | Oct 14,2025 | Oct 31,2025 | Cash dividend: $0.110 |
| Sep 02,2025 | Sep 12,2025 | Sep 12,2025 | Sep 30,2025 | Cash dividend: $0.110 |
| Aug 01,2025 | Aug 11,2025 | Aug 11,2025 | Aug 29,2025 | Cash dividend: $0.110 |
| Jul 01,2025 | Jul 11,2025 | Jul 11,2025 | Jul 31,2025 | Cash dividend: $0.110 |
| Jun 02,2025 | Jun 12,2025 | Jun 12,2025 | Jun 30,2025 | Cash dividend: $0.110 |
| May 01,2025 | May 12,2025 | May 12,2025 | May 30,2025 | Cash dividend: $0.110 |
| Apr 01,2025 | Apr 11,2025 | Apr 11,2025 | Apr 30,2025 | Cash dividend: $0.110 |
| Mar 03,2025 | Mar 13,2025 | Mar 13,2025 | Mar 31,2025 | Cash dividend: $0.110 |
| Feb 03,2025 | Feb 13,2025 | Feb 13,2025 | Feb 28,2025 | Cash dividend: $0.110 |
| Jan 02,2025 | Jan 13,2025 | Jan 13,2025 | Jan 31,2025 | Cash dividend: $0.110 |
| Dec 02,2024 | Dec 12,2024 | Dec 12,2024 | Dec 31,2024 | Cash dividend: $0.110 |
| Nov 01,2024 | Nov 12,2024 | Nov 12,2024 | Nov 29,2024 | Cash dividend: $0.110 |
| Oct 01,2024 | Oct 11,2024 | Oct 11,2024 | Oct 31,2024 | Cash dividend: $0.110 |
| Sep 03,2024 | Sep 13,2024 | Sep 13,2024 | Sep 30,2024 | Cash dividend: $0.110 |
| Aug 01,2024 | Aug 12,2024 | Aug 12,2024 | Aug 30,2024 | Cash dividend: $0.110 |
| Jul 01,2024 | Jul 11,2024 | Jul 11,2024 | Jul 31,2024 | Cash dividend: $0.110 |
| Jun 03,2024 | Jun 13,2024 | Jun 13,2024 | Jun 28,2024 | Cash dividend: $0.110 |
| May 01,2024 | May 10,2024 | May 13,2024 | May 31,2024 | Cash dividend: $0.110 |
| Apr 01,2024 | Apr 10,2024 | Apr 11,2024 | Apr 30,2024 | Cash dividend: $0.110 |
| Dec 01,2022 | Dec 09,2022 | Dec 12,2022 | Dec 30,2022 | Cash dividend: $0.110 |
| Nov 01,2022 | Nov 10,2022 | Nov 14,2022 | Nov 30,2022 | Cash dividend: $0.110 |
| Oct 03,2022 | Oct 12,2022 | Oct 13,2022 | Oct 31,2022 | Cash dividend: $0.110 |
| Sep 01,2022 | Sep 09,2022 | Sep 12,2022 | Sep 30,2022 | Cash dividend: $0.110 |
| Aug 01,2022 | Aug 10,2022 | Aug 11,2022 | Aug 31,2022 | Cash dividend: $0.110 |
| Jul 01,2022 | Jul 08,2022 | Jul 11,2022 | Jul 29,2022 | Cash dividend: $0.110 |
| Jun 01,2022 | Jun 10,2022 | Jun 13,2022 | Jun 30,2022 | Cash dividend: $0.110 |
| May 02,2022 | May 11,2022 | May 12,2022 | May 31,2022 | Cash dividend: $0.110 |
| Apr 01,2022 | Apr 08,2022 | Apr 11,2022 | Apr 29,2022 | Cash dividend: $0.110 |
| Mar 01,2022 | Mar 10,2022 | Mar 11,2022 | Mar 31,2022 | Cash dividend: $0.110 |
| Feb 01,2022 | Feb 10,2022 | Feb 11,2022 | Feb 28,2022 | Cash dividend: $0.110 |
| Jan 03,2022 | Jan 12,2022 | Jan 13,2022 | Jan 31,2022 | Cash dividend: $0.110 |
| Dec 01,2021 | Dec 10,2021 | Dec 13,2021 | Dec 31,2021 | Cash dividend: $0.110 |
| Nov 01,2021 | Nov 10,2021 | Nov 12,2021 | Nov 30,2021 | Cash dividend: $0.110 |
| Oct 01,2021 | Oct 08,2021 | Oct 12,2021 | Oct 29,2021 | Cash dividend: $0.110 |
| Sep 01,2021 | Sep 10,2021 | Sep 13,2021 | Sep 30,2021 | Cash dividend: $0.110 |
| Aug 02,2021 | Aug 11,2021 | Aug 12,2021 | Aug 31,2021 | Cash dividend: $0.110 |
| Jul 01,2021 | Jul 09,2021 | Jul 12,2021 | Jul 30,2021 | Cash dividend: $0.110 |
| Jun 01,2021 | Jun 10,2021 | Jun 11,2021 | Jun 30,2021 | Cash dividend: $0.110 |
| May 03,2021 | May 12,2021 | May 13,2021 | May 28,2021 | Cash dividend: $0.110 |
| Apr 01,2021 | Apr 09,2021 | Apr 12,2021 | Apr 30,2021 | Cash dividend: $0.110 |
| Mar 01,2021 | Mar 10,2021 | Mar 11,2021 | Mar 31,2021 | Cash dividend: $0.110 |
| Feb 01,2021 | Feb 10,2021 | Feb 11,2021 | Feb 26,2021 | Cash dividend: $0.110 |
| Jan 04,2021 | Jan 13,2021 | Jan 14,2021 | Jan 29,2021 | Cash dividend: $0.110 |
| Dec 01,2020 | Dec 10,2020 | Dec 11,2020 | Dec 31,2020 | Cash dividend: $0.110 |
| Nov 02,2020 | Nov 10,2020 | Nov 12,2020 | Nov 30,2020 | Cash dividend: $0.110 |
| Oct 01,2020 | Oct 09,2020 | Oct 13,2020 | Oct 30,2020 | Cash dividend: $0.110 |
| Sep 01,2020 | Sep 10,2020 | Sep 11,2020 | Sep 30,2020 | Cash dividend: $0.110 |
| Aug 03,2020 | Aug 12,2020 | Aug 13,2020 | Aug 31,2020 | Cash dividend: $0.110 |
| Jul 01,2020 | Jul 10,2020 | Jul 13,2020 | Jul 31,2020 | Cash dividend: $0.110 |
| Jun 01,2020 | Jun 10,2020 | Jun 11,2020 | Jun 30,2020 | Cash dividend: $0.110 |
| May 01,2020 | May 08,2020 | May 11,2020 | May 29,2020 | Cash dividend: $0.110 |
| Apr 01,2020 | Apr 09,2020 | Apr 13,2020 | Apr 30,2020 | Cash dividend: $0.110 |
| Mar 03,2020 | Mar 11,2020 | Mar 12,2020 | Mar 31,2020 | Cash dividend: $0.110 |
| Feb 03,2020 | Feb 12,2020 | Feb 13,2020 | Feb 28,2020 | Cash dividend: $0.110 |
| Jan 02,2020 | Jan 10,2020 | Jan 13,2020 | Jan 31,2020 | Cash dividend: $0.110 |
| Dec 02,2019 | Dec 11,2019 | Dec 12,2019 | Dec 31,2019 | Cash dividend: $0.110 |
| Nov 01,2019 | Nov 08,2019 | Nov 12,2019 | Nov 29,2019 | Cash dividend: $0.110 |
| Oct 01,2019 | Oct 10,2019 | Oct 11,2019 | Oct 31,2019 | Cash dividend: $0.110 |
| Sep 03,2019 | Sep 12,2019 | Sep 13,2019 | Sep 30,2019 | Cash dividend: $0.122 |
| Aug 01,2019 | Aug 09,2019 | Aug 12,2019 | Aug 30,2019 | Cash dividend: $0.122 |
| Jul 01,2019 | Jul 10,2019 | Jul 11,2019 | Jul 31,2019 | Cash dividend: $0.122 |
| Jun 03,2019 | Jun 12,2019 | Jun 13,2019 | Jun 28,2019 | Cash dividend: $0.122 |
| May 01,2019 | May 10,2019 | May 13,2019 | May 31,2019 | Cash dividend: $0.122 |
| Apr 01,2019 | Apr 10,2019 | Apr 11,2019 | Apr 30,2019 | Cash dividend: $0.122 |
| Mar 01,2019 | Mar 08,2019 | Mar 11,2019 | Mar 29,2019 | Cash dividend: $0.122 |
| Feb 01,2019 | Feb 08,2019 | Feb 11,2019 | Feb 28,2019 | Cash dividend: $0.122 |
| Jan 02,2019 | Jan 11,2019 | Jan 14,2019 | Jan 31,2019 | Cash dividend: $0.122 |
| Dec 03,2018 | Dec 12,2018 | Dec 13,2018 | Dec 31,2018 | Cash dividend: $0.122 |
| Nov 01,2018 | Nov 09,2018 | Nov 13,2018 | Nov 30,2018 | Cash dividend: $0.122 |
| Oct 01,2018 | Oct 10,2018 | Oct 11,2018 | Oct 31,2018 | Cash dividend: $0.122 |
| Aug 22,2018 | Sep 13,2018 | Sep 14,2018 | Sep 28,2018 | Cash dividend: $0.122 |
| Aug 01,2018 | Aug 10,2018 | Aug 13,2018 | Aug 31,2018 | Cash dividend: $0.122 |
| Jul 02,2018 | Jul 11,2018 | Jul 12,2018 | Jul 31,2018 | Cash dividend: $0.122 |
| Jun 01,2018 | Jun 08,2018 | Jun 11,2018 | Jun 29,2018 | Cash dividend: $0.122 |
| May 01,2018 | May 10,2018 | May 11,2018 | May 31,2018 | Cash dividend: $0.122 |
| Apr 02,2018 | Apr 11,2018 | Apr 12,2018 | Apr 30,2018 | Cash dividend: $0.122 |
| Mar 01,2018 | Mar 09,2018 | Mar 12,2018 | Mar 29,2018 | Cash dividend: $0.122 |
| Feb 01,2018 | Feb 09,2018 | Feb 12,2018 | Feb 28,2018 | Cash dividend: $0.122 |
| Jan 02,2018 | Jan 11,2018 | Jan 12,2018 | Jan 31,2018 | Cash dividend: $0.122 |
| Dec 01,2017 | Dec 08,2017 | Dec 11,2017 | Dec 29,2017 | Cash dividend: $0.122 |
| Nov 01,2017 | Nov 10,2017 | Nov 13,2017 | Nov 30,2017 | Cash dividend: $0.122 |
| Oct 02,2017 | Oct 11,2017 | Oct 12,2017 | Oct 31,2017 | Cash dividend: $0.122 |
| Sep 01,2017 | Sep 08,2017 | Sep 11,2017 | Sep 29,2017 | Cash dividend: $0.122 |
| Aug 01,2017 | Aug 09,2017 | Aug 11,2017 | Aug 31,2017 | Cash dividend: $0.122 |
| Jul 03,2017 | Jul 11,2017 | Jul 13,2017 | Jul 31,2017 | Cash dividend: $0.122 |
| Jun 01,2017 | Jun 08,2017 | Jun 12,2017 | Jun 30,2017 | Cash dividend: $0.122 |
| May 01,2017 | May 09,2017 | May 11,2017 | May 31,2017 | Cash dividend: $0.122 |
| Apr 03,2017 | Apr 11,2017 | Apr 13,2017 | Apr 28,2017 | Cash dividend: $0.122 |
| Feb 23,2017 | Mar 09,2017 | Mar 13,2017 | Mar 31,2017 | Cash dividend: $0.122 |
| Feb 01,2017 | Feb 09,2017 | Feb 13,2017 | Feb 28,2017 | Cash dividend: $0.122 |
| Jan 03,2017 | Jan 11,2017 | Jan 13,2017 | Jan 31,2017 | Cash dividend: $0.122 |
| Dec 01,2016 | Dec 08,2016 | Dec 12,2016 | Dec 30,2016 | Cash dividend: $0.122 |
| Nov 01,2016 | Nov 09,2016 | Nov 14,2016 | Nov 30,2016 | Cash dividend: $0.122 |
| Oct 03,2016 | Oct 11,2016 | Oct 13,2016 | Oct 31,2016 | Cash dividend: $0.122 |
| Sep 01,2016 | Sep 08,2016 | Sep 12,2016 | Sep 30,2016 | Cash dividend: $0.122 |
You can ask Aime
Did John Hancock Preferred Income Fund Iii beat or miss consensus estimates last quarter?What were the key takeaways from John Hancock Preferred Income Fund Iii's earnings call?What does John Hancock Preferred Income Fund Iii do and what are its main business segments?What is the market's earnings forecast for John Hancock Preferred Income Fund Iii next quarter?What is John Hancock Preferred Income Fund Iii's gross profit margin?What were the key takeaways from John Hancock Preferred Income Fund Iii’s earnings call?What is the revenue and EPS growth rate for John Hancock Preferred Income Fund Iii year over year?What factors drove the changes in John Hancock Preferred Income Fund Iii's revenue and profit?
