John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV (JAIZX) dividends are paid annual. The latest dividend per share was $0.24 with an ex date of December 30, 2025 and a payment date of December 31, 2025. The next dividend per share will be $0.73 with an ex date of October 23, 2026 and a payment date of October 23, 2026. The curreny dividend yield of John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV (JAIZX) is 5.94%.
FAQ
How much dividend does John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV pay?▼
John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV pays an annual dividend of $0.73 per share, with a dividend yield of 5.94%.
What is the dividend yield of John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV?▼
The current dividend yield of John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV is 5.94%.
When does John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV pay dividends?▼
John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV pays dividends annual. The next payment is expected on October 23, 2026.
When is the next dividend from John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV?▼
The next dividend payment from John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV is estimated for October 23, 2026.
How safe is the dividend of John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV?▼
John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV paid dividend every year within the last 4 years.
What is the dividend of John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV?▼
John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV currently pays a dividend of $0.24 per share.
When did I have to buy the shares of John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV to receive the previous dividend?▼
To receive the previous dividend from John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV, you needed to own the shares before the ex-dividend date of December 30, 2025.
When did John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV pay the last dividend?▼
The last dividend payment from John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV was made on December 31, 2025.
What was the dividend of John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV in 2025?▼
In 2025, John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV paid a total dividend of $0.97 per share.
In which currency does John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV distribute the dividend?▼
John Hancock Variable Insurance Trust Managed Volatility Growth Portfolio – NAV distributes its dividends in USD.
Where can I find more information on dividend safety?▼
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