Manulife (International) Ltd - 31 Dec 2025 Form 4 Insider Report for John Hancock GA Mortgage Trust

Source evidence Original filing metadata and source links for verification. 5 source fields
SEC form
4
Accepted by SEC
05 Jan 2026, 13:49:46 UTC
Prior SEC filing
02 Dec 2025
Next SEC filing
03 Mar 2026
Source filing
View source filing
Reporting owner 1 detail
Reporting owner signature
Betsy Anne Seel, by Power of Attorney

Key filing fact

Manulife (International) Ltd filed Form 4 for John Hancock GA Mortgage Trust on 05 Jan 2026.

Key facts

  • This page summarizes Manulife (International) Ltd's Form 4 filing for John Hancock GA Mortgage Trust.
  • 1 reported transaction and 0 derivative rows are listed below.
  • Accepted by SEC: 05 Jan 2026, 13:49.

Change

  • Previous filing in this sequence was filed on 02 Dec 2025.
  • Current net transaction value: +$9,999,912.

Research use

  • This tells you what this filing adds before you inspect full transaction and derivative tables.
  • You can trace every row back to the original SEC filing document.

Evidence

Filed on Form 4

Ownership activity is grounded in SEC Form 4 disclosures.

View source filing

Reporting Owners (1)

CIK 0001765518 Primary reporting owner

Manulife (International) Ltd

Relationship
10%+ Owner
Address
22 F MANULIFE FINANCIAL CENTER, 223-231 WAI YIP STREET, KWUN TONG KOWLOON, HONG KONG
Signature
Betsy Anne Seel, by Power of Attorney
Signature date
05 Jan 2026

Reported non-derivative transactions

Shares, units, or other non-derivative securities reported in this filing.

No ticker transaction

Common Share of Beneficial Interest

Purchase

Transaction value
$9,999,912
Shares
+537,659
Change %
+1.2%
Price
$18.60
Shares after
44,782,418
Date
31 Dec 2025
Ownership
Direct
Footnotes
F1
* marks a reported price that did not pass the local price check.

Additional SEC filing notes

Filing notes and footnotes

Explanation of responses 1 footnote

Footnote F1

This figure is approximate. Due to the timing of the Fund's determination of its net asset value, the price per share, and the number of shares of the Fund that corresponds to, or held as a result of, the purchase cannot be determined at the time of this filing.

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