NYSE : HTD

John Hancock Tax-Advantaged Dividend Income Fund

$25.76 USD

$0.12 (0.47%)

Volume
86.09K
Average Volume
66.38K
Market Capitalization
$912.72M
P/E Ratio
5.33
Dividend Yield
7.36%
Price Target
Year High
$26.35
Year Low
$23.15
Day High
Day Low
Payout Ratio
$0.38
Current Ratio
$0.03
Institutional Ownership Summary
Institutional Ownership %

0.67%

Investors Holding

12

change: -82 | last: 94
Increased Positions

7

change: -34 | last: 41
Reduced Positions

2

change: -29 | last: 31
New Positions

2

change: -10 | last: 12
Sold Positions

84

change: 70 | last: 14
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: 0 | last: 0
Total Invested

6.09M

HTD Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-10-31 $24.90 35.43M $882.25M -$ $427.9M $1.31B
2024-10-31 $23.01 35.43M $815.29M $342.03K $418.9M $1.23B
2023-10-31 $16.48 35.43M $583.92M -$1.07M $418.9M $1B
2022-10-31 $22.76 35.42M $806.22M $105.96K $418.9M $1.23B
2021-10-31 $24.56 35.41M $869.65M $192 $418.9M $1.29B
2020-10-31 $18.99 35.4M $672.26M -$15.36M $418.97M $1.11B
2019-10-31 $27.44 35.39M $971.18M $107.22K $427.9M $1.4B
2018-10-31 $22.37 31.28M $699.69M -$6.68M $436.36M $1.14B
2017-10-31 $25.60 35.38M $905.86M -$8.1M $428.06M $1.34B
2016-10-31 $23.83 35.38M $843.22M -$14.21M $427.93M $1.29B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-04-30 $25.94 35.43M $919.1M -$ $427.9M $1.35B
2025-10-31 $24.90 35.43M $882.25M -$ $427.9M $1.31B
2025-04-30 $22.91 35.43M $811.74M -$ $418.9M $1.23B
2024-10-31 $23.01 35.43M $815.29M $342.03K $418.9M $1.23B
2024-04-30 $19.52 35.43M $691.63M -$ $418.9M $1.11B
2023-10-31 $16.48 35.43M $583.92M -$ $418.9M $1B
2023-04-30 $21.33 35.43M $755.76M -$26.62M $418.9M $1.2B
2022-10-31 $22.76 35.42M $806.22M $105.96K $418.9M $1.23B
2022-04-30 $24.98 35.42M $884.75M $198 $418.9M $1.3B
2021-10-31 $24.56 35.41M $869.65M $192 $418.9M $1.29B
2021-04-30 $24.37 35.4M $862.72M -$8.64M $419.15M $1.29B
2020-10-31 $18.99 35.4M $672.26M -$15.36M $418.97M $1.11B