John Hancock California Municipal Bond Fund annual report
The following includes annual tailored shareholder reports for the fund or share class, which include information on fund or share class expenses, performance, portfolio composition and fund statistics. The following also includes Form N-CSR Items 7-11, which include annual portfolio holdings and financial statements as well as shareholder proxy voting results and other important information, if applicable.
-
Fund
-
Class A
-
Class C
-
Class I
-
Class R6
Approved for use with investors
Additional information regarding gross and net expense ratios according to the most recent publicly available prospectus can be found here.
Accept Terms Of Use
Thank you for requesting the pre-inception information. After you certify that you agree with the statements below, we will provide the relevant documents to you.
You are an institutional investor, a registered investment advisor, or a registered financial advisor as defined by FINRA Rule 2210(a)(4). This information will not be communicated, shared, or distributed to the public, an individual investor, or any person who does not meet FINRA's definition of an institutional investor. No part of this information may be reproduced or transmitted in any form or by any means.
If you have any questions, please call a John Hancock Investment Management representative at 800-225-6020. Thank you for your interest in John Hancock Investment Management.