JSNRX Mutual Fund

JSNRX Mutual Fund

NAV$9.14
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Fund Essentials - as of Jul 31, 2026

Net Assets
$1.2B
Expense Ratio
0.27%
Dividend Yield (Current)
5.08%
Holdings
539
Inception Date
Jul 16, 2019
Fund Family
John Hancock Investment Management
Investment Style
PRO
Asset Class
PRO
Legal Structure
PRO
Dividend Frequency
Monthly
SEC 30-Day Yield
PRO

Performance

YTD+1.54%
1 Year+3.13%
3 Year+5.38%
5 Year+2.87%

Asset Allocation

Bonds: 99.95%
Other: 0.05%
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Top Holdings

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TickerNameWeight
-Us Treas Nts 4.125% 07/15/291.86%
-Us Treasury N/B 3.875 5/15/20291.82%
T 4.375 08/31/28United States Treasuryu.S. Treasury Notes 08/31/20281.81%
T 3.75 04/15/28United States Treasury Note/Bond - When Issued 3.75% 15Apr20281.73%
T 4 05/31/30Us Treasury N/B 05/30 41.07%
Top 10 Concentration: 12.20%Report Date: Jul 31, 2026
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Dividend Summary

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Dividend Yield (Current)
5.08%
Frequency
Monthly
Latest Distribution
$0.02
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Peer Comparison

Benchmark
PRO
Peer outperformance: PRO
Category rank: PRO
This Mutual Fund
PRO
Peer Avg
PRO

JSNRX Mutual Fund Overview

JSNRX Mutual Fund (John Hancock Short Duration Bond Fund Class R6) is managed by John Hancock Investment Management with $1.17B in net assets. JSNRX expense ratio is 0.27%, holding 539 positions across sectors including Financials, Industrials, Real Estate. Inception date: 2019-07-16.

JSNRX performance shows a YTD return of 1.54%. The 1-year return is 3.13% and the 5-year return is 2.87%. JSNRX dividend yield stands at 5.08%, paid monthly.

JSNRX top holdings include Us Treas Nts 4.125% 07/15/29 (1.9%), Us Treasury N/B 3.875 5/15/2029 (1.8%), United States Treasuryu.S. Treasury Notes 08/31/2028 (1.8%), United States Treasury Note/Bond - When Issued 3.75% 15Apr2028 (1.7%), Us Treasury N/B 05/30 4 (1.1%). Go to all JSNRX holdings, JSNRX sectors, or JSNRX dividends.

JSNRX can be compared against other funds. Use JSNRX overlap to find shared positions, or JSNRX vs another fund for a side-by-side view. JSNRX alternatives are available via the screener, along with tax-loss harvesting opportunities.