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HPS

John Hancock Preferred Income Fund III
1W: -1.9% 1M: -4.3% 3M: -1.5% YTD: -1.4% 1Y: +0.1% 3Y: +30.8% 5Y: +22.3%
$14.07
-0.26 (-1.81%)
After Hours: $14.63 (+0.56, +4.02%)
ETF NYSE · AUM $451.8M
ETF-Level Metrics
AUM$452M
Holdings69
Top 10 Wt20.5%
Beta0.71
% Profitable35%
Coverage60%
Portfolio Valuation
P/E9.4
P/B1.0
P/S1.3
EV/EBITDA16.3
P/FCF20.6
PEG0.36
Profitability & Returns
Gross Margin54.0%
Net Margin13.5%
ROE10.8%
ROA1.0%
ROIC11.3%
Div Yield3.01%
Leverage & Liquidity
Debt/Equity2.43
Debt/Assets0.21
Net Debt/EBITDA-2.4x
Interest Cov0.6x
Current Ratio0.52
Quick Ratio0.52
Growth (YoY)
Revenue+14.9%
Net Income+26.7%
EPS+26.1%
FCF+27.4%
EBITDA+22.8%
Rev CAGR 3Y+14.4%
Quality Scores
Piotroski F5.9
Altman Z1.37
IS Quality53.7
IS Overall49.5
IS Value77.0
Median P/E11.6

Sector Breakdown

5 sectors
Sector # Holdings Total Weight % Avg P/E
Other 96 89.0%
Financial Services 53 53.6% 16.7
Utilities 10 11.1% 22.6
Real Estate 3 2.3% 3.4
Communication Services 3 2.2% -240.9

Smart Money Overlap

0 holdings with signals
No holdings with active convergence signals
Showing 50 of 165 holdings · Page 1 of 4
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 Wells Fargo and Company WFC-PL 2.93% $13.6M 11,000 11.6 $238.2B Financial Services
2 Bank of America Corporation BAC-PL 2.58% $12.0M 9,500 11.4 $449.4B Financial Services
3 The Phoenix Companies Inc. Private 2.28% $10.6M 574,500
4 CITIGROUP CAPITAL XIII C-PN 2.19% $10.2M 338,275 14.0 $173.8B Financial Services
5 Athene Holding Ltd. ATH-PE 2.18% $10.1M 393,900 5.9 $5.1B Financial Services
6 Vistra Corp. Private 2.13% $9.9M 8,982,000
7 CMS Energy Corporation CMSD 1.92% $8.9M 372,250 20.9 $6.9B Utilities
8 Athene Holding Ltd. ATH-PA 1.88% $8.7M 350,000 5.9 $4.7B Financial Services
9 Telephone and Data Systems Inc. TDS-PV 1.85% $8.6M 469,125 -749.7 $4.1B Communication Services
10 Energy Transfer LP Private 1.83% $8.5M 8,245,000
11 Sempra SREA 1.81% $8.4M 370,000 32.6 $14.1B Utilities
12 Venture Global LNG Inc Private 1.77% $8.2M 8,809,000
13 NRG Energy Inc. Private 1.71% $7.9M 7,240,000
14 The PNC Financial Services Group Inc. Private 1.71% $7.9M 7,794,000
15 T-Mobile USA Inc. Private 1.69% $7.9M 314,825
16 SBL Holdings LLC Private 1.66% $7.7M 8,000,000
17 Citizens Financial Group Inc. Private 1.61% $7.5M 7,500,000
18 SBL Holdings LLC Private 1.60% $7.4M 7,200,000
19 Duke Energy Corporation DUK-PA 1.59% $7.4M 294,775 19.9 $96.4B Utilities
20 Enbridge Inc. Private 1.57% $7.3M 6,325,000
21 Reinsurance Group of America Incorporated RZC 1.56% $7.2M 282,875 11.1 $1.7B Financial Services
22 Rogers Communications Inc. Private 1.56% $7.2M 6,750,000
23 Apollo Global Management Inc. APOS 1.56% $7.2M 275,484 15.2 $14.8B Financial Services
24 JH COLLATERAL Cash 1.55% $7.2M 718,692
25 Citizens Financial Group Inc. CFG-PH 1.55% $7.2M 271,975 13.4 $12.0B Financial Services
26 AEGON Funding Company LLC AEFC 1.51% $7.0M 347,450 Financial Services
27 Affiliated Managers Group Inc. MGRE 1.48% $6.9M 282,125 10.8 $624M Financial Services
28 The Goldman Sachs Group Inc. Private 1.47% $6.8M 6,450,000
29 Morgan Stanley MS-PE 1.46% $6.8M 264,203 15.0 $64.8B Financial Services
30 TPG Operating Group II L.P. TPGXL 1.45% $6.7M 261,675 36.9 $22.6B Financial Services
31 PGandE Corporation Private 1.44% $6.7M 162,000
32 PGandE Corporation Private 1.42% $6.6M 6,400,000
33 Lincoln National Corporation LNC-PD 1.39% $6.5M 238,825 5.5 $5.0B Financial Services
34 Synchrony Financial SYF-PB 1.39% $6.4M 244,125 6.7 $9.3B Financial Services
35 Banco Santander SA Private 1.34% $6.2M 5,100,000
36 Citigroup Inc. Private 1.34% $6.2M 6,000,000
37 American National Group Inc. Private 1.32% $6.1M 240,700
38 Strategy Inc STRD 1.31% $6.1M 78,700 -9.9 $20.2B Financial Services
39 KKR Group Finance Co. IX LLC KKRS 1.30% $6.0M 334,149 $14.8B Financial Services
40 SCE Trust VII SCE-PM 1.29% $6.0M 256,600 Financial Services
41 DTE Energy Company DTK 1.29% $6.0M 237,500 $5.0B Utilities
42 Northwest Natural Holding Company Private 1.28% $5.9M 5,700,000
43 The Goldman Sachs Group Inc. Private 1.26% $5.9M 5,531,000
44 FandG Annuities and Life Inc. FGN 1.26% $5.9M 224,000 11.8 $4.4B Financial Services
45 Wells Fargo and Company Private 1.26% $5.8M 5,462,000
46 MandT Bank Corporation MTB-PJ 1.23% $5.7M 214,100 11.3 $4.0B Financial Services
47 The AES Corporation Private 1.22% $5.7M 5,567,000
48 Bank of America Corporation Private 1.18% $5.5M 5,250,000
49 METLIFE CAPITAL TRUST IV Private 1.18% $5.5M 4,860,000
50 CMS Energy Corporation CMSA 1.17% $5.4M 235,000 20.9 $6.0B Utilities

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms