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HEQ John Hancock Diversified Income Fund

Asset Management NYSE

$10.67 +0.01 (0.09%)
update: 2025-07-05
Prev Close $10.66
Market Cap $123.83M
Day Range $10.65 - $10.73
Open $10.67
P/E Ratio 10.08
52W Change 0.49%
24H Volume 14.03K
Dividend Yield 11.94%
EPS
DAY WEEK PRICE LEVEL

Trading Signals (HEQ)

Overall Signal

BUY

Strong buyish signal based on multiple indicators.

Confidence: 80%
Updated: 2025-07-05

Key Price Levels

Support Levels

  • Strong Support $10.41
  • Medium Support $10.49
  • Weak Support $10.58

Resistance Levels

  • Weak Resistance $10.76
  • Medium Resistance $10.85
  • Strong Resistance $10.93

Stop Loss Suggestions

  • Conservative $10.41
  • Moderate $10.54
  • Aggressive $10.45

Signal Indicator

Indicator Signal Strength Timeframe
Moving Averages BUY
Short & Medium Term
Oscillators BUY
Short Term
Trend Indicators BUY
Short & Medium Term
Volume Indicators BUY
Short & Medium Term
Support/Resistance NEUTRAL
Short Term
Data Source: Consolidated ratings from various investment bank analysts. Ratings may change over time.

Stock Price Prediction Price Target Probabilities (HEQ)

Quarterly Outlook :

Annual Outlook

Technical Analysis (HEQ)

Trend Identification

Momentum Measurement

RSI (2025-07-05)

Relative Strength Index

BUY
Current RSI(14) 61.51
Oversold Neutral Overbought

RSI (61.51) is in the bullish territory, but not yet overbought. This indicates upward momentum. Monitor for continuation or signs of weakness.

OBV (2025-07-05)

On-Balance Volume

Rising
OBV Trend Upward
OBV vs Price Confirming

OBV (171702.00) is rising, indicating buying pressure and accumulation. Price is rising and OBV is rising. This is bullish confirmation, indicating buying pressure supports the price increase. Consider holding long positions or initiating new ones. Volume is supporting the trend.

Stochastic (2025-07-05)

Stochastic Oscillator

SELL
%K Line 83.1
%D Line 84.83

Stochastics (%K: 83.10, %D: 84.83) are in the overbought zone (above 80). This suggests the asset may be losing upward momentum. No clear bullish or bearish crossover signal currently. The lines are close or moving sideways. This is a strong sell signal, indicating potential downside.

CCI (2025-07-05)

Commodity Channel Index

SELL
CCI(20) 146.24

CCI (146.24) is above +100. This suggests a strong upward momentum and an overbought condition. Consider profit-taking or looking for short entries cautiously. Confirm with price action; if price is making higher highs, momentum is strong. Look for pullbacks to enter long.

Volatility Measurement

ATR (2025-07-05)

Average True Range

0.1
ATR(14) 0.1
ATR % of Price ...%

Current ATR is 0.1000. ATR indicates average volatility. Market conditions are relatively stable.

Bollinger Bands (2025-07-05)

Volatility Bands

BUY
Upper Band 10.73
Middle Band (MA20) 10.56
Lower Band 10.38
Band Width 3%

Current price (10.67) is within the Bollinger Bands (10.38 - 10.73). This suggests the price is trading within its typical volatility range. Price is above the Middle Band (10.56), indicating short-term bullish bias.

Risk Management & Potential Reversals (HEQ)

SAR (2025-07-05)

Parabolic Stop and Reverse

BUY
Current SAR 10.41
Distance from Price 2.44%

SAR points below price indicate bullish trend. Current SAR at 10.41 is 2.44% from price. Consider SAR as a potential stop-loss level to protect gains in an uptrend.

Stochastic (2025-07-05)

Overbought

Approaching Overbought
Stochastic Position 83.1
Crossover Status No Crossover

Stochastic is in overbought territory (83.1). Monitor for potential bearish crossover or movement below 80, which could signal a reversal.

RSI (2025-07-05)

Reversal Perspective

No Divergence
RSI Divergence None
Overbought/Oversold Neither

Current RSI level is in neutral territory. No RSI divergence detected. Current RSI level doesn't suggest imminent reversal.

Bollinger Bands (2025-07-05)

Reversal Perspective

Bullish Bias
Band Position Upper Half
Band Squeeze None

Bands show normal bandwidth. Price is in the upper half of the bands, suggesting a bullish bias.No indication of imminent volatility expansion or reversal.

Holder List Top 20 (HEQ)

Holder Name Holder Type Shares Pct. Held Date Reported
Morgan Stanley INSTITUTIONAL 424376 3.51% 2025-03-31
Bank of America Corporation INSTITUTIONAL 258179 2.13% 2025-03-31
Shaker Financial Services, LLC INSTITUTIONAL 244857 2.02% 2025-03-31
Saba Capital Management, L.P. INSTITUTIONAL 212009 1.75% 2025-03-31
Commonwealth Equity Services, LLC INSTITUTIONAL 153537 1.27% 2025-03-31
Principal Securities, Inc. INSTITUTIONAL 149241 1.23% 2025-03-31
1607 Capital Partners, LLC INSTITUTIONAL 143675 1.19% 2025-03-31
AQR Arbitrage LLC INSTITUTIONAL 134107 1.11% 2025-03-31
Envestnet Asset Management INSTITUTIONAL 130522 1.08% 2025-03-31
Guggenheim Capital, LLC INSTITUTIONAL 100570 0.83% 2025-03-31
INVESTMENT MANAGERS SERIES TRUST-Robinson Opportunistic Income Fund MUTUALFUND 30108 0.25% 2025-03-31
AQR Funds-AQR Diversified Arbitrage Fund MUTUALFUND 26681 0.22% 2025-03-31
Rydex Variable Trust-Multi-Hedge Strategies Fund MUTUALFUND 4444 0.04% 2025-03-31
Exchange Listed Funds Trust-Saba Closed-End Funds ETF MUTUALFUND 4044 0.03% 2025-02-28
Rydex Series Funds-Guggenheim Multi-Hedge Strategies Fund MUTUALFUND 3417 0.03% 2025-03-31
Saba Capital Income & Opportunities Fund II MUTUALFUND 137 0% 2025-01-31
insidersPercentHeld MAJOR 0%
institutionsPercentHeld MAJOR 0%
institutionsFloatPercentHeld MAJOR 0%
institutionsCount MAJOR 0%