John Hancock Funds II Strategic Income Opportunities Fund Class I is an actively managed multisector bond mutual fund designed to maximize total return through a combination of current income and capital appreciation. The strategy invests at least 80% of assets in a diversified mix of fixed-income securities, allocating dynamically across sectors such as U.S. Treasuries, corporate credit, securitized debt, and global bonds based on macroeconomic analysis and relative value assessments. The fund targets moderate interest-rate sensitivity while seeking flexible credit exposure, reflected in a category profile of medium credit quality and moderate duration. It is structured as an institutional share class with a minimum initial investment and expense ratio aligned with peers in its distribution group. Portfolio characteristics typically include broad sector rotation, measured duration management, and a diversified top holdings mix that can incorporate high-quality government issues alongside selective corporate and securitized positions. Within the fixed-income market, it serves as a core-plus allocation option, aiming to provide diversified income sources and risk-managed participation across changing rate and credit cycles.
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