| Ex-Date | Pay Date | Amount | Change |
|---|---|---|---|
| No dividends history available for John Hancock Variable Insurance Trust Managed Volatility Conservative Portfolio I. | |||
John Hancock Variable Insurance Trust Managed Volatility Conservative Portfolio I currently pays no dividends.
- ISIN
- WKN
- -
- Symbol / Exchange
- / XNAS
- Value
- €9.08
- Dividend frequency
- none
- Security Type
- Fund
- Dividend Currency
- -
- 41 Countries
United States
65.33%Japan
5.49%United Kingdom
4.31%Taiwan
2.80%Switzerland
2.72%South Korea
2.53%France
2.15%Netherlands
1.98%China
1.69%Germany
1.66%
- 11 Sectors
Information Technology
27.37%Financials
16.49%Industrials
12.71%Health Care
10.38%Consumer Discretionary
9.37%Communication Services
7.33%Consumer Staples
4.32%Materials
3.81%Energy
3.59%Utilities
2.69%
- 10 Holdings
- JHancock Core Bond ETF26.00%
- John Hancock Variable Insurance Trust Managed Volatility Conservative Portfolio I does not currently pay dividends.
- John Hancock Variable Insurance Trust Managed Volatility Conservative Portfolio I does not currently pay dividends. Therefore, the dividend yield is 0%.
- John Hancock Variable Insurance Trust Managed Volatility Conservative Portfolio I does not currently pay dividends.
- The largest sectors of John Hancock Variable Insurance Trust Managed Volatility Conservative Portfolio I are Information Technology, Financials, Industrials.
- There are currently no known stock splits for John Hancock Variable Insurance Trust Managed Volatility Conservative Portfolio I.
- To date, John Hancock Variable Insurance Trust Managed Volatility Conservative Portfolio I has not paid any dividends.
- In John Hancock Variable Insurance Trust Managed Volatility Conservative Portfolio I, the United States, Japan and the United Kingdom are represented as the three largest countries.

