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Principal Occupation(s) During the Past 5 Years |
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Chief Financial Officer (since 2024) |
Assistant Treasurer, John Hancock Investment Management LLC and John Hancock Variable Trust Advisers LLC (since 2020); Assistant Vice President, John Hancock Life & Health Insurance
Company, John Hancock Life Insurance Company (U.S.A.) and John Hancock Life Insurance
Company of New York (since 2021); Chief Financial Officer of various trusts within
the John Hancock Fund Complex (since 2024). |
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Each officer holds office for an indefinite term until his or her successor is duly
elected and qualified or until he or she dies, retires, resigns, is removed or becomes disqualified.
Applicable disclosure under the heading “THOSE RESPONSIBLE FOR
MANAGEMENT” in the “Additional Information about the Trustees” section of each SAI is also modified and supplemented as follows, effective
immediately:
In addition to the description of each New
Trustee’s Principal Occupation(s) and Other Directorships set forth above, the following provides further information about each New Trustee’s specific
experience, qualifications, attributes or skills with respect to each fund. The information in this section should not be understood to mean that either of the New Trustees
is an “expert” within the meaning of the federal securities laws.
William K. Bacic – As a retired Certified Public Accountant, Mr. Bacic served as New
England Managing Partner of a major independent registered public accounting firm, as well as a member of its U.S. Executive Committee, and has deep financial and accounting
expertise. He served as the lead partner on the firm’s largest financial services companies, primarily focused on the investment management industry and mutual funds.
He also has expertise in corporate governance and regulatory matters as well as prior experience serving as a board member and audit committee chair of a large global asset management company.
Thomas R. Wright – As a retired Chief Operating Officer of a significant capital markets firm and a former Director of Equities and Executive Committee Member, Mr. Wright has deep executive, investment banking, portfolio management, securities brokerage, and equity research expertise. Mr. Wright has also served as the Global Head of Trading and Head of European Equity Trading and Salestrading at an investment bank and asset manager and has substantial securities industry and international trading and markets expertise.
In addition, certain information in the “Board Committees” sub-section of the “Duties of Trustees; Committee Structure” section
is amended, effective immediately, to reflect updated Committee memberships and Chairpersons, as applicable, for certain of the Committees as set forth below:
Audit Committee. The Board has a standing Audit Committee composed solely of Independent Trustees (Messrs. Cunningham and McClellan and Ms. Rathke). Ms. Rathke serves as Chairperson of this Committee.
Compliance Committee. The Board also has a standing Compliance Committee (Ms. Fey, Mr.
Garfield and Ms. Jackson). Ms. Fey serves as Chairperson of this Committee.
Contracts, Legal & Risk Committee. The Board also has a
standing Contracts, Legal & Risk Committee (Mr. Boyle, Ms. Ellison, and Mr. Pruchansky). Mr. Boyle serves as Chairperson of this Committee.
Investment Committee. The Board also has an Investment Committee composed of all of the Trustees. The Investment Committee has four subcommittees with the Trustees divided among the four subcommittees (each an “Investment Sub-Committee”). Ms. Jackson and Messrs. Boyle, Cunningham and Pruchansky serve as Chairpersons of the Investment Sub-Committees.
You should read this supplement in conjunction with the SAI and retain it for your future reference.