JOHN HANCOCK INVESTMENT MANAGEMENT LLC of BOSTON, MA is an SEC-registered investment adviser (CRD 105790). Regulatory assets under management: $212.1B.
Compensation: % of AUM.
Clients served: High net worth.
Showing 25 of 48 people.
| Name | Role | Location |
|---|---|---|
| Trevor Edmund Swanberg | CHIEF COMPLIANCE OFFICER | — |
| Philip Joseph Fontana | DIRECTOR | — |
| Kristie Marie Feinberg | DIRECTOR, PRESIDENT AND CHIEF EXECUTIVE OFFICER | — |
| Andrew John Mcfetridge | DIRECTOR | — |
| Betsy Anne Seel | CHIEF LEGAL COUNSEL | — |
| Effie E Georgountzos | CHIEF FINANCIAL OFFICER | — |
| Jeffrey Howard Nataupsky | CHIEF FINANCIAL OFFICER | — |
| BROWN KEITH ALAN | CHIEF FINANCIAL OFFICER, SENIOR VICE PRESIDENT | — |
| LONG JEFFREY HAROLD | CHIEF FINANCIAL OFFICER | — |
| COSTANTINI MARC | DIRECTOR | — |
| SHEPHERDSON JAMES ARDEN | PRESIDENT/CEO, DIRECTOR; PRESIDENT/CEO, DIRECTOR/CHAIRMAN | — |
| KNOX FRANCIS VINCENT | CHIEF COMPLIANCE OFFICER; VICE PRESIDENT AND CHIEF COMPLIANCE OFFICER | — |
| VRYSEN JOHN GYSBERTUS | DIRECTOR, EXECUTIVE VICE PRESIDENT AND CHIEF FINANCIAL OFFICER; DIRECTOR, EXECUTIVE VICE PRESIDENT AND CHIEF OPERATING OFFICER; EXECUTIVE VICE PRESIDENT AND CHIEF FINANCIAL OFFICER | — |
| BOYLE JAMES RICHARD | DIRECTOR AND CHAIRMAN | — |
| HARTSTEIN KEITH FREDERICK | PRESIDENT, CEO AND DIRECTOR; PRESIDENT/CEO, DIRECTOR/CHAIRMAN | — |
| DANELLO JOHN JOSEPH | SECRETARY AND CHIEF LEGAL COUNSEL; SENIOR VICE PRESIDENT; VICE PRESIDENT, CHIEF LEGAL COUNSEL (+1 more) | — |
| SPECA BRUCE ROBERT | CHIEF INVESTMENT OFFICER | — |
| BOYLE JAMES R | DIRECTOR AND CHAIRMAN | — |
| SCHMEER MARK ALLEN | SENIOR VICE PRESIDENT AND CHIEF INVESTMENT OFFICER | — |
| DESPREZ JOHN DAVID | CHAIRMAN AND DIRECTOR; DIRECTOR | — |
| LAPMAN MARK CHARLES | DIRECTOR | — |
| DECICCIO JOHN MICHAEL | DIRECTOR | — |
| BROWN TIMOTHY LEE | DIRECTOR/CHAIRMAN | — |
| KING SHANNON ALAN | DIRECTOR | — |
| BRAMAN WILLIAM LAWRENCE | CHIEF INVESTMENT OFFICER/EXECUTIVE VICE PRESIDENT | — |
Showing 10 of 16 distinct disclosure events.
| Initiated | Type | Allegations | Status | Amount |
|---|---|---|---|---|
| 2026-02-23 | regulatory | BC FINANCIAL SERVICES AUTHORITY FOUND THE CONTRACT AND RELATED ADVERTISING UNFAIR AND POTENTIALLY MISLEADING; FAILURES IN PRIVACY / OUTSOURCING COMPLIANCE; FAILURES IN COMMUNICATION WITH INSURED CAUSING HARM. | Final | — |
| 2025-07-15 | regulatory | AS THE RESULT OF A MARKET CONDUCT EXAMINATION COVERING THE PERIOD OF JULY 1, 2022 THROUGH DECEMBER 31, 2023, JOHN HANCOCK LIFE INSURANCE COMPANY (U.S.A.) WAS FOUND TO HAVE FAILED TO INSTITUTE AND MAINTAIN POLICIES AND PROCEDURES TO COMPLY WITH CERTAIN SECTIONS OF THE ILLINOIS INSURANCE CODE AND ILLI… | Final | $81K |
| 2025-06-23 | regulatory | JOHN HANCOCK LIFE INSURANCE COMPANY (U.S.A,), FAILED TO NOTIFY THE STATE OF RHODE ISLAND DEPARTMENT OF BUSINESS REGULATION INSURANCE DIVISION ("THE DIVISION") WHEN IT TERMINATED ITS INSURANCE APPOINTMENT CONTRACT WITH AT LEAST NINE PRODUCERS FOR CAUSE FOR REASONS THAT WOULD REQUIRE NOTIFICATION TO T… | Final | $65K |
| 2023-10-16 | regulatory | THE VIRGINIA BUREAU OF INSURANCE ALLEGED THAT JOHN HANCOCK LIFE INSURANCE COMPANY (U.S.A.) IN CERTAIN INSTANCES VIOLATED THE CODE OF VIRGINIA, AND THE VIRGINIA ADMINISTRATIVE CODE, RELATING TO THE CONDITIONS OF A RATE INCREASE FOR A LONG-TERM CARE RATE INSURANCE POLICY BY FAILING TO FILE A NOTICE WI… | Final | $9K |
| 2023-05-17 | regulatory | PURSUANT TO A TARGETED MARKET CONDUCT EXAMINATION, THE RHODE ISLAND DEPARTMENT OF BUSINESS REGULATION INSURANCE DIVISION ALLEGED THAT JOHN HANCOCK LIFE INSURANCE COMPANY (U.S.A) FAILED TO COMPLY WITH RHODE ISLAND LAWS AND REGULATIONS RELATED TO THE OVERSIGHT OF REPLACEMENT TRANSACTIONS. | Final | $95K |
| 2023-03-21 | regulatory | A MARKET CONDUCT EXAM FOUND THAT JOHN HANCOCK LIFE INSURANCE COMPANY (U.S.A) VIOLATED REQUIREMENTS RELATING TO INDIVIDUAL LIFE INSURANCE BUSINESS PRACTICES FROM JANUARY 1, 2021, THROUGH DECEMBER 31, 2022. | Final | $53K |
| 2022-03-17 | regulatory | PURSUANT TO A MARKET CONDUCT EXAMINATION, THE STATE OF CONNECTICUT INSURANCE DEPARTMENT ALLEGED THAT JOHN HANCOCK LIFE INSURANCE COMPANY (U.S.A.) FAILED TO FOLLOW ESTABLISHED PRACTICES AND PROCEDURES TO ENSURE COMPLIANCE WITH STATUTORY REQUIREMENTS RELATED TO PRODUCER APPOINTMENTS. | Final | $68K |
| 2021-02-01 | regulatory | THE STATE OF WASHINGTON INSURANCE OFFICE OF THE INSURANCE COMMISSIONER IDENTIFIED A VIOLATION OF RCW 48.23A.080(8) IN WHICH JOHN HANCOCK LIFE INSURANCE COMPANY (USA) FAILED TO PROMPTLY NOTIFY THE COMMISSIONER UPON CHANGES TO THE ILLUSTRATION ACTUARY. | Final | $1K |
| 2019-11-26 | regulatory | STARTING IN JANUARY 2013, JOHN HANCOCK LIFE INSURANCE COMPANY (U.S.A.) MISINTERPRETED THE STATE OF VERMONT'S STATUTE REGARDING HOW DEATH CLAIM INTEREST WAS TO BE CALCULATED, AND OVERLOOKED A PREVIOUS CONSENT ORDER WITH THE VERMONT DEPARTMENT OF FINANCIAL REGULATION COVERING DEATH CLAIM INTEREST. UPO… | Final | $800K |
| 2017-12-12 | regulatory | THE OREGON DIVISION OF FINANCIAL REGULATION HAS COMPLETED AN INVESTIGATION INTO JOHN HANCOCK'S HANDLING OF ADULT FOSTER HOME CLAIMS IN OREGON. THE DIVISION'S INVESTIGATION REVEALED THAT JOHN HANCOCK VIOLATED ORS 743.656 (1)(B)(D) ON SEVEN OCCASIONS WHEN IT INCORRECTLY DENIED COVERED SERVICES. THE CO… | Final | $49K |