-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, GONyJ5r0Fr+/uyQL0usKAEbPulpebjbO+T7n5Ct968uBg/anm+ed6yrarmF/7tYs 717peyqremyfc5SBRjtn2w== 0000928816-06-001354.txt : 20061027 0000928816-06-001354.hdr.sgml : 20061027 20061027103846 ACCESSION NUMBER: 0000928816-06-001354 CONFORMED SUBMISSION TYPE: N-Q PUBLIC DOCUMENT COUNT: 4 CONFORMED PERIOD OF REPORT: 20060831 FILED AS OF DATE: 20061027 DATE AS OF CHANGE: 20061027 EFFECTIVENESS DATE: 20061027 FILER: COMPANY DATA: COMPANY CONFORMED NAME: HANCOCK JOHN SOVEREIGN BOND FUND CENTRAL INDEX KEY: 0000045288 IRS NUMBER: 042528977 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-Q SEC ACT: 1940 Act SEC FILE NUMBER: 811-02402 FILM NUMBER: 061167580 BUSINESS ADDRESS: STREET 1: JOHN HANCOCK FUNDS STREET 2: 601 CONGRESS STREET CITY: BOSTON STATE: MA ZIP: 02210 BUSINESS PHONE: 617-663-3000 MAIL ADDRESS: STREET 1: C/O JOHN HANCOCK FUNDS STREET 2: 601 CONGRESS STREET CITY: BOSTON STATE: MA ZIP: 02210 FORMER COMPANY: FORMER CONFORMED NAME: HANCOCK JOHN BONDS DATE OF NAME CHANGE: 19930921 FORMER COMPANY: FORMER CONFORMED NAME: HANCOCK JOHN BOND TRUST DATE OF NAME CHANGE: 19910704 FORMER COMPANY: FORMER CONFORMED NAME: HANCOCK JOHN BOND FUND INC DATE OF NAME CHANGE: 19841225 0000045288 S000000646 Bond Fund C000001854 Class A JHNBX C000001855 Class B JHBBX C000001856 Class C JHCBX C000001857 Class I JHBIX C000001858 Class R JHBRX N-Q 1 a_sovereignbondfund.htm JOHN HANCOCK SOVEREIGN BOND FUND

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF
REGISTERED
MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number 811- 2402

John Hancock Sovereign Bond Fund
(Exact name of registrant as specified in charter)

601 Congress Street, Boston, Massachusetts 02210
(Address of principal executive offices) (Zip code)

Alfred P. Ouellette, Senior Attorney and Assistant Secretary

601 Congress Street

Boston, Massachusetts 02210

(Name and address of agent for service)

Registrant's telephone number, including area code: 617-663-4324

Date of fiscal year end:  May 31 
Date of reporting period:  August 31, 2006 

ITEM 1. SCHEDULE OF INVESTMENTS




John Hancock
Bond Fund
Securities owned by the Fund on
August 31, 2006 (unaudited)

      Interest  Maturity  Credit  Par value   
Issuer, description      rate (%)  date  rating (A)  ($000)  Value 

Bonds 54.61%            $545,797,446 
(Cost $550,179,682)               
 
Airlines 0.34%              3,422,257 

Continental Airlines, Inc.,             
Pass Thru Ctf Ser 1999-1A (L)    6.545  02-02-19  A-  976  987,138 
Pass Thru Ctf Ser 2000-2 Class B    8.307  04-02-18  BB-  1,302  1,294,195 
Pass Thru Ctf Ser 2001-1 Class C    7.033  06-15-11  BB-  1,151  1,140,344 
Jet Equipment Trust,               
Equip Trust Ctf Ser 1995-B2 (B)(H)(S)    10.910  08-15-14  D  5,800  580 
 
Asset Management & Custody Banks 0.39%          3,925,588 

Rabobank Capital Fund II,             
Perpetual Bond (5.260% to 12-31-13 then           
variable) (L)(S)      5.260  12-29-49  AA  4,050  3,925,588 
 
Broadcasting & Cable TV 1.28%            12,764,673 

Clear Channel Communications, Inc.,             
Note (L)      5.500  09-15-14  BBB-  1,900  1,757,855 
Comcast Corp.,               
Gtd Note      5.900  03-15-16  BBB+  1,860  1,843,825 
Cox Communications, Inc.,             
Note      7.125  10-01-12  BBB-  2,295  2,427,965 
Shaw Communications, Inc.,             
Sr Note (Canada)      8.250  04-11-10  BB+  2,040  2,144,550 
TCI Communications, Inc.,             
Deb      9.800  02-01-12  BBB  1,990  2,343,878 
XM Satellite Radio Holdings, Inc.,             
Sr Note (S)      9.750  05-01-14  CCC  2,390  2,246,600 
 
Building Products 0.14%            1,358,293 

Hanson Plc,               
Note      6.125  08-15-16  BBB+  1,345  1,358,293 
 
Casinos & Gaming 1.37%            13,696,275 

Caesars Entertainment, Inc.,             
Sr Note      7.000  04-15-13  BBB-  2,225  2,296,732 
Chukchansi Economic Development Authority,           
Sr Note (S)      8.000  11-15-13  BB-  570  575,700 
Jacobs Entertainment, Inc.,             
Sr Note (S)      9.750  06-15-14  B-  1,235  1,233,456 
Little Traverse Bay Bands of Odawa Indians,           
Sr Note (S)      10.250  02-15-14  B  1,655  1,646,725 
Majestic Star Casino, LLC/Cap II,             
Sr Note      9.750  01-15-11  CCC+  2,060  2,013,650 
Mashantucket West Pequot,             
Bond (S)      5.912  09-01-21  BBB-  1,250  1,204,188 

Page 1


John Hancock
Bond Fund
Securities owned by the Fund on
August 31, 2006 (unaudited)

Mohegan Tribal Gaming Authority,           
Sr Sub Note    7.125  08-15-14  B+  1,050  1,023,750 
MTR Gaming Group, Inc.,             
Gtd Sr Note Ser B    9.750  04-01-10  B+  1,595  1,676,744 
Sr Sub Note (S)    9.000  06-01-12  B-  420  423,150 
Pokagon Gaming Authority,           
Sr Note (S)    10.375  06-15-14  B  690  729,675 
Waterford Gaming LLC,             
Sr Note (S)    8.625  09-15-12  BB-  828  872,505 
 
Commercial Printing 0.08%          752,000 

Quebecor World Capital Corp.,           
Sr Note (Canada) (L)(S)  8.750  03-15-16  BB-  800  752,000 
 
Commodity Chemicals 0.24%          2,366,400 

Lyondell Chemical Co.,             
Gtd Sr Sub Note    10.875  05-01-09  B  2,320  2,366,400 
 
Construction Materials 0.33%          3,299,401 

Duke Capital LLC,             
Sr Note    6.250  02-15-13  BBB  3,255  3,299,401 
 
Construction-Farm Machinery-Heavy 0.21%          2,130,999 

Caterpillar Inc.,             
Sr Deb    6.050  08-15-36  A  2,070  2,130,999 
 
Consumer Finance 1.35%          13,475,286 

American General Finance Corp.,           
Med Term Note Ser I    4.875  07-15-12  A+  3,250  3,141,733 
GMAC LLC,             
Note (L)    6.750  12-01-14  BB  2,175  2,085,144 
Household Finance Corp.,             
Note    6.375  10-15-11  A  1,725  1,794,938 
HSBC Finance Capital Trust IX,           
Note (5.911% to 11-30-15 then variable)  5.911  11-30-35  BBB+  2,500  2,478,723 
HSBC Finance Corp.,             
Sr Note    6.750  05-15-11  A  3,765  3,974,748 
 
Department Stores 0.15%          1,501,857 

J.C. Penney Co., Inc.,             
Deb    8.125  04-01-27  BBB-  1,455  1,501,857 
 
Diversified Banks 1.69%          16,852,267 

Bank of New York,             
Cap Security (S)    7.780  12-01-26  A-  4,100  4,275,451 
BNP Paribas Capital Trust,           
Sub Bond (9.003% to 10-27-10 then           
variable) (S)    9.003  12-29-49  A+  2,560  2,877,688 
Chuo Mitsui Trust & Banking Co., Ltd,           
Perpetual Sub Note (5.506% to 4-15-15 then           
variable) (Japan) (S)    5.506  12-15-49  Baa2  2,530  2,409,112 

Page 2


John Hancock
Bond Fund
Securities owned by the Fund on
August 31, 2006 (unaudited)

HBOS Plc,           
Perpetual Bond (6.413% to 10-1-35 then           
variable) (United Kingdom) (S)  6.413  09-29-49  A  3,410  3,244,271 
Royal Bank of Scotland Group Plc,           
Perpetual Bond (7.648% to 9-30-31 then           
variable) (United Kingdom)  7.648  08-29-49  A  3,570  4,045,745 
 
Diversified Financial Services 2.09%          20,862,330 

American Express Co.,           
Note (L)  6.800  09-01-66  A  2,125  2,207,469 
CIT Group, Inc.,           
Sr Note  5.600  04-27-11  A  2,515  2,530,601 
Ford Motor Credit Co.,           
Sr Note (S)  9.750  09-15-10  B+  3,237  3,350,635 
Sr Note  9.875  08-10-11  B+  1,135  1,185,850 
Nissan Motor Acceptance Corp.,           
Sr Note (S)  5.625  03-14-11  BBB+  2,625  2,625,958 
Siemens Financierings NV,           
Note (Netherlands) (S)  6.125  08-17-26  AA-  4,065  4,153,003 
St. George Funding Co.,           
Perpetual Bond (8.485% to 6-30-17 then           
variable) (Australia) (S)  8.485  12-31-49  Baa1  4,555  4,808,814 
 
Diversified Metals & Mining 0.33%          3,289,781 

Freeport-McMoRan Copper & Gold, Inc.,           
Sr Note  10.125  02-01-10  B+  2,000  2,127,000 
Vedanta Resources Plc,           
Sr Note (United Kingdom) (S)  6.625  02-22-10  BB  1,185  1,162,781 
 
Electric Utilities 5.03%          50,230,460 

AES Eastern Energy LP,           
Pass Thru Ctf Ser 1999-A  9.000  01-02-17  BB+  3,617  3,979,203 
Beaver Valley Funding Corp.,           
Sec Lease Obligation Bond  9.000  06-01-17  BBB-  3,919  4,420,123 
BVPS II Funding Corp.,           
Collateralized Lease Bond  8.890  06-01-17  BB+  6,047  6,933,127 
East Coast Power LLC,           
Sr Sec Note Ser B  7.066  03-31-12  BBB-  3,062  3,170,634 
Empresa Electrica Guacolda SA,           
Sr Sec Note (Chile) (S)  8.625  04-30-13  BBB-  1,872  2,060,689 
Entergy Gulf States, Inc.,           
1st Mtg Note  5.700  06-01-15  BBB+  1,240  1,200,755 
HQI Transelect Chile SA,           
Sr Note (Chile)  7.875  04-15-11  A-  2,655  2,793,474 
Indiantown Cogeneration LP,           
1st Mtg Note Ser A-9  9.260  12-15-10  BB+  1,357  1,427,638 
IPALCO Enterprises, Inc.,           
Sr Sec Note  8.625  11-14-11  BB-  2,980  3,196,050 
Monterrey Power SA de CV,           
Sr Sec Bond (Mexico) (S)  9.625  11-15-09  BBB  2,445  2,671,474 
National Grid Plc,           
Note (United Kingdom)  6.300  08-01-16  A-  1,775  1,819,393 

Page 3


John Hancock
Bond Fund
Securities owned by the Fund on
August 31, 2006 (unaudited)

Nevada Power Co.,             
Mtg Backed Note (S)    6.500  05-15-18  BB  2,215  2,265,544 
PNPP II Funding Corp.,             
Deb    9.120  05-30-16  BB+  210  239,610 
System Energy Resources, Inc.,           
Sec Bond (S)    5.129  01-15-14  BBB  3,117  3,039,188 
Texas-New Mexico Power Co.,           
Sr Note    6.125  06-01-08  BBB  3,250  3,262,948 
TransAlta Corp.,             
Note (Canada)    5.750  12-15-13  BBB-  2,640  2,605,698 
Waterford 3 Funding Corp.,           
Sec Lease Obligation Bond  8.090  01-02-17  BBB-  4,974  5,144,912 
 
Electrical Components & Equipment 0.60%          6,015,506 

AMETEK, Inc.,             
Sr Note    7.200  07-15-08  BBB  2,425  2,478,491 
Dominion Resources, Inc.,           
Jr Sub Note (7.500% to 6-30-16 then           
variable)    7.500  06-30-66  BB+  3,425  3,537,015 
 
Food Distributors 0.22%          2,196,914 

Tyson Foods, Inc.,             
Sr Note    6.600  04-01-16  BBB  2,165  2,196,914 
 
Food Retail 0.18%            1,801,752 

Delhaize America, Inc.,             
Gtd Note    9.000  04-15-31  BB+  1,540  1,801,752 
 
Gas Utilities 0.37%            3,696,460 

Energy Transfer Partners LP,           
Gtd Sr Note (L)    5.950  02-01-15  Baa3  2,790  2,775,260 
KN Capital Trust I,             
Gtd Cap Security Ser B  8.560  04-15-27  BB+  940  921,200 
 
Health Care Equipment 0.27%          2,742,975 

Boston Scientific Corp.,             
Sr Note (L)    6.400  06-15-16  BBB+  2,710  2,742,975 
 
Health Care Facilities 0.19%          1,876,526 

Manor Care, Inc.,             
Gtd Note    6.250  05-01-13  BBB  1,870  1,876,526 
 
Health Care Services 0.80%          8,041,420 

Alliance Imaging, Inc.,             
Sr Sub Note (L)    7.250  12-15-12  B-  1,820  1,692,600 
Caremark Rx, Inc.,             
Sr Note    7.375  10-01-06  BBB-  1,335  1,336,465 
Health Management Associates, Inc.,           
Sr Sub Note    6.125  04-15-16  A-  3,390  3,234,806 
Nationwide Health Properties, Inc.,           
Note    6.500  07-15-11  BBB-  1,745  1,777,549 

Page 4


John Hancock
Bond Fund
Securities owned by the Fund on
August 31, 2006 (unaudited)

Hotels, Resorts & Cruise Lines 0.16%          1,585,680 

Hyatt Equities LLC,             
Note (S)    6.875  06-15-07  BBB  1,575  1,585,680 
 
Industrial Conglomerates 0.52%          5,242,027 

General Electric Co.,             
Note    5.000  02-01-13  AAA  5,340  5,242,027 
 
Industrial Machinery 0.52%          5,194,781 

Kennametal, Inc.,             
Sr Note    7.200  06-15-12  BBB  2,765  2,917,692 
Trinity Industries, Inc.,             
Pass Thru Ctf (S)    7.755  02-15-09  Ba1  2,266  2,277,089 
 
Integrated Oil & Gas 0.22%          2,218,850 

Pemex Project Funding Master Trust,           
Gtd Note    9.125  10-13-10  BBB  1,990  2,218,850 
 
Integrated Telecommunication Services 0.76%          7,633,403 

AT&T Corp.,             
Gtd Sr Note    8.000  11-15-31  A  3,245  3,876,886 
Intelsat Subsidiary Holding Co., Ltd.,           
Gtd Floating Rate Sr Note (Bermuda) (P)  10.484  01-15-12  B+  1,000  1,015,000 
Sprint Capital Corp.,             
Gtd Sr Note    6.875  11-15-28  BBB+  2,715  2,741,517 
 
Investment Banking & Brokerage 0.63%          6,280,445 

Merrill Lynch & Co., Inc.,           
Sub Note    6.050  05-16-16  A  2,500  2,576,045 
Mizuho Finance,             
Gtd Sub Bond (Cayman Islands)  8.375  12-29-49  A2  3,500  3,704,400 
 
Leisure Facilities 0.36%          3,625,463 

AMC Entertainment, Inc.,           
Sr Sub Note (L)    9.500  02-01-11  CCC+  1,450  1,446,375 
HRP Myrtle Beach Operations LLC,           
Floating Rate Sr Sec Note (P)(S)  9.818  04-01-12  B  1,075  1,069,625 
TDS Investor Corp.,             
Sr Note (S)    9.875  09-01-14  B-  1,135  1,109,463 
 
Life & Health Insurance 0.41%          4,121,094 

AmerUs Group Co.,             
Sr Note    6.583  05-16-11  Baa3  1,870  1,902,370 
Phoenix Cos., Inc. (The),           
Bond    6.675  02-16-08  BBB  2,205  2,218,724 
 
Managed Health Care 0.16%          1,608,038 

HealthSouth Corp.             
Sr Note (P)(S)    11.418  06-15-14  CCC+  1,565  1,608,038 

Page 5


John Hancock
Bond Fund
Securities owned by the Fund on
August 31, 2006 (unaudited)

Marine 0.26%          2,636,550 

CMA CGM SA,           
Sr Note (France) (S)  7.250  02-01-13  BB+  2,790  2,636,550 
 
Meat, Poultry & Fish 0.28%          2,776,000 

ASG Consolidated LLC,           
Sr Disc Note (Zero to 11-1-08 then           
11.500%) (L)(O)  Zero  11-01-11  B-  3,200  2,776,000 
 
Metal & Glass Containers 0.20%          1,995,000 

BWAY Corp.,           
Gtd Sr Sub Note  10.000  10-15-10  B-  1,900  1,995,000 
 
Multi-Line Insurance 0.84%          8,343,059 

American International Group,           
Note  5.050  10-01-15  AA  2,750  2,659,555 
Horace Mann Educators Corp.,           
Sr Note  6.850  04-15-16  BBB  1,550  1,569,425 
Liberty Mutual Group,           
Bond (S)  7.500  08-15-36  BBB  1,345  1,389,147 
Zurich Capital Trust I,           
Gtd Cap Security (S)  8.376  06-01-37  A-  2,580  2,724,932 
 
Multi-Media 0.58%          5,745,192 

News America Holdings, Inc.,           
Gtd Sr Deb  8.250  08-10-18  BBB-  3,000  3,506,136 
Time Warner Entertainment Co., LP,           
Sr Deb  8.375  03-15-23  BBB+  1,990  2,239,056 
 
Multi-Utilities 0.59%          5,913,294 

Dynegy-Roseton Danskamme,           
Gtd Pass Thru Ctf Ser B  7.670  11-08-16  B  2,390  2,354,150 
Salton Sea Funding Corp.,           
Gtd Sr Sec Note Ser E  8.300  05-30-11  BB+  1,043  1,100,989 
Sr Sec Bond Ser F  7.475  11-30-18  BB+  2,349  2,458,155 
 
Oil & Gas Drilling 0.14%          1,400,460 

Delek & Avner-Yam Tethys Ltd.,           
Sr Sec Note (Israel) (S)  5.326  08-01-13  BBB-  1,438  1,400,460 
 
Oil & Gas Refining & Marketing 0.57%          5,636,944 

Enterprise Products Operating LP,           
Gtd Sr Note Ser B  6.375  02-01-13  BB+  4,265  4,353,571 
Premcor Refining Group, Inc., (The),           
Sr Note  9.500  02-01-13  BBB-  1,175  1,283,373 
 
Oil & Gas Storage & Transportation 0.18%          1,827,563 

Markwest Energy Partners LP,           
Sr Note (S)  8.500  07-15-16  B  1,805  1,827,563 

Page 6


John Hancock
Bond Fund
Securities owned by the Fund on
August 31, 2006 (unaudited)

Packaged Foods & Meats 0.11%          1,145,804 

General Foods Corp.,           
Deb  7.000  06-15-11  A-  1,145  1,145,804 
 
Paper Packaging 0.19%          1,904,844 

MDP Acquisitions Plc,           
Sr Note (Ireland)  9.625  10-01-12  B-  1,825  1,904,844 
 
Paper Products 0.51%          5,067,661 

Abitibi-Consolidated, Inc.,           
Note (Canada)  6.000  06-20-13  B+  1,369  1,129,425 
Plum Creek Timber Co., Inc.,           
Gtd Note  5.875  11-15-15  BBB-  1,910  1,878,586 
Verso Paper Holdings LLC,           
Sr Sec Note (S)  9.125  08-01-14  B+  2,070  2,059,650 
 
Pharmaceuticals 0.25%          2,488,361 

Medco Health Solutions, Inc.,           
Sr Note  7.250  08-15-13  BBB  2,300  2,488,361 
 
Property & Casualty Insurance 0.48%          4,791,896 

Markel Corp.,           
Sr Note  7.350  08-15-34  BBB-  2,290  2,331,502 
Ohio Casualty Corp.,           
Sr Note  7.300  06-15-14  BBB-  2,330  2,460,394 
 
Real Estate Management & Development 0.82%          8,226,948 

Equity One, Inc.,           
Sr Note  6.250  01-15-17  BBB-  1,760  1,786,499 
Healthcare Realty Trust, Inc.,           
Sr Note  8.125  05-01-11  BBB-  2,515  2,730,933 
Health Care REIT, Inc.,           
Sr Note  6.200  06-01-16  BBB-  1,525  1,521,779 
Socgen Real Estate Co., LLC,           
Perpetual Bond Ser A (7.640% to 9-30-07           
then variable) (S)  7.640  12-29-49  A  2,140  2,187,737 
 
Regional Banks 1.04%          10,387,343 

BankAmerica Institutional Bank,           
Gtd Cap Security Ser B (S)  7.700  12-31-26  A  1,060  1,105,028 
Mainstreet Capital Trust I,           
Gtd Jr Sub Cap Security Ser B (G)  8.900  12-01-27  A3  2,380  2,547,742 
NB Capital Trust IV,           
Gtd Cap Security  8.250  04-15-27  A  3,030  3,181,530 
State Street Institutional Capital Trust,           
Gtd Cap Security Ser A (S)  7.940  12-30-26  A  1,180  1,232,732 
Wachovia Capital Trust II,           
Gtd Floating Rate Cap Security (P)  6.007  01-15-27  A-  2,420  2,320,311 
 
Soft Drinks 0.14%          1,382,880 

Panamerican Beverages, Inc.,           
Sr Note (Panama)  7.250  07-01-09  BBB  1,340  1,382,880 

Page 7


John Hancock
Bond Fund
Securities owned by the Fund on
August 31, 2006 (unaudited)

Specialized Finance 1.74%          17,338,841 

Astoria Depositor Corp.,           
Pass Thru Ctf Ser B (G)(S)  8.144  05-01-21  BB  3,640  3,969,165 
Bosphorous Financial Services,           
Sec Floating Rate Note (P)(S)  7.205  02-15-12  Baa2  2,660  2,640,042 
Drummond Co., Inc.,           
Sr Note (L)(S)  7.375  02-15-16  BB-  1,330  1,250,200 
ESI Tractebel Acquistion Corp.,           
Gtd Sec Bond Ser B  7.990  12-30-11  BB  3,700  3,830,196 
Humpuss Funding Corp.,           
Gtd Note (S)  7.720  12-15-09  B2  679  672,270 
Specialty Underwriting & Residential Finance           
Trust,           
Mtg Pass Thru Ctf Ser 2003 BC4 Class A3B  4.788  11-25-34  AAA  3,001  2,971,468 
UCAR Finance, Inc.,           
Gtd Sr Note (L)  10.250  02-15-12  B-  1,910  2,005,500 
 
Specialty Chemicals 0.15%          1,523,381 

Nova Chemicals Ltd.,           
Note (Canada)  7.875  09-15-25  BB+  1,695  1,523,381 
 
Steel 0.24%          2,435,400 

Metallurg Holdings, Inc.,           
Sr Sec Note (G)(S)  10.500  10-01-10  B-  2,460  2,435,400 
 
Thrifts & Mortgage Finance 21.61%          215,988,811 

Banc of America Commercial Mortgage, Inc.,           
Mtg Pass Thru Ctf Ser 2005-4 Class A5A  4.933  07-10-45  AAA  1,595  1,535,302 
Mtg Pass Thru Ctf Ser 2005-6 Class A4 (P)  5.354  09-10-47  AAA  3,490  3,438,088 
Mtg Pass Thru Ctf Ser 2006-3 Class A4  5.889  07-10-44  AAA  5,260  5,420,006 
Mtg Pass Thru Ctf Ser 2006-2 Class A3 (P)  5.902  05-10-45  AAA  9,335  9,519,981 
Banc of America Funding Corp.,           
Mtg Pass Thru Ctf Ser 2006-B Class 6A1 (P)  5.900  03-20-36  AAA  4,121  4,137,117 
Mtg Pass Thru Ctf Ser 2006-D Class 6B1 (P)  5.979  05-20-36  AA+  2,119  2,116,542 
Bank of America Commercial Mortgage Inc.,           
Mtg Pass Thru Ctf Ser 2006-4 Class A3A  5.600  08-10-13  AAA  4,845  4,845,757 
Bear Stearns Alt-A Trust,           
Mtg Pass Thru Ctf Ser 2005-3 Class B2 (P)  5.330  04-25-35  AA+  1,262  1,246,678 
Mtg Pass Thru Ctf Ser 2006-1 Class 23A1 (P)  5.645  02-25-36  AAA  4,416  4,406,893 
Mtg Pass Thru Ctf Ser 2006-3 Class 34A1 (P)  6.220  05-25-36  AAA  4,810  4,857,141 
Bear Stearns Commercial Mortgage Securities, Inc.,           
Mtg Pass Thru Ctf Ser 2002-T0P8 Class A2  4.830  08-15-38  AAA  5,960  5,801,092 
Mtg Pass Thru Ctf Ser 2005-T20 Class A4A (P)  5.303  10-12-42  Aaa  1,640  1,613,428 
Chaseflex Trust,           
Mtg Pass Thru Ctf Ser 2005-2 Class 4A1  5.000  05-25-20  AAA  4,643  4,510,619 
Citigroup Commercial Mortgage Trust,           
Mtg Pass Thru Ctf Ser 2006-C4 Class A3 (P)  5.911  03-15-49  Aaa  3,950  4,045,507 
Citigroup/Deutsche Bank Commercial Mortgage Trust,           
Mtg Pass Thru Ctf Ser 2005-CD1 Class A4           
(L)(P)  5.400  07-15-44  AAA  2,470  2,440,301 

Page 8


John Hancock
Bond Fund
Securities owned by the Fund on
August 31, 2006 (unaudited)

Mtg Pass Thru Ctf Ser 2005-CD1 Class C (P)  5.400  07-15-44  AA  1,030  1,009,931 
Citigroup Mortgage Loan Trust, Inc.,           
Mtg Pass Thru Ctf Ser 2005-5 Class 2A3  5.000  08-25-35  AAA  2,921  2,845,452 
Mtg Pass Thru Ctf Ser 2005-10 Class 1A5A (P)  5.887  12-25-35  AAA  4,307  4,316,228 
Commercial Mortgage,           
Mtg Pass Thru Ctf Ser 2006-C7 Class A3  5.707  06-10-46  AAA  3,775  3,853,911 
ContiMortgage Home Equity Loan Trust,           
Mtg Pass Thru Ctf Ser 1995-2 Class A-5  8.100  08-15-25  AAA  574  589,883 
Countrywide Alternative Loan Trust,           
Mtg Pass Thru Ctf Ser 2004-24CB Class 1A1  6.000  11-25-34  AAA  3,598  3,578,086 
Mtg Pass Thru Ctf Ser 2005-6 Class 2A1  5.500  04-25-35  Aaa  2,877  2,783,935 
Mtg Pass Thru Ctf Ser 2005-J1 Class 3A1  6.500  08-25-32  AAA  2,225  2,240,803 
Mtg Pass Thru Ctf Ser 2006-11CB Class 3A1  6.500  05-25-36  Aaa  6,846  6,895,907 
DB Master Finance LLC,           
Mtg Pass Thru Ctf Ser 2006-1 Class A2 (S)  5.779  06-20-31  AAA  1,535  1,552,795 
Mtg Pass Thru Ctf Ser 2006-1 Class M1 (S)  8.285  06-20-31  BB  855  870,386 
First Horizon Alternative Mortgage Securities,           
Mtg Pass Thru Ctf Ser 2004-AA5 Class B1 (P)  5.233  12-25-34  AA  1,422  1,404,507 
Mtg Pass Thru Ctf Ser 2006-AA2           
Class B1 (G)(P)  6.239  05-25-36  AA  1,329  1,341,721 
Global Signal Trust,           
Sub Bond Ser 2004-2A Class D (S)  5.093  12-15-14  Baa2  1,925  1,898,695 
Sub Bond Ser 2006-1 Class E (S)  6.495  02-15-36  Baa3  1,850  1,871,461 
GMAC Commercial Mortgage Securities, Inc.,           
Mtg Pass Thru Ctf Ser 2002-C1 Class A1  5.785  11-15-39  AAA  3,387  3,417,289 
GMAC Mortgage Corporation Loan Trust,           
Mtg Pass Thru Ctf Ser 2006-AR1 Class 2A1 (P)  5.653  04-19-36  AAA  2,950  2,945,826 
Greenwich Capital Commercial Funding Corp.,           
Mtg Pass Thru Ctf Ser 2003-C2 Class A-2  4.022  01-05-36  AAA  2,410  2,340,122 
Mtg Pass Thru Ctf Ser 2005-GG5 Class A2  5.117  04-10-37  AAA  5,150  5,121,163 
Mtg Pass Thru Ctf Ser 2006-GG7 Class A4 (P)  6.110  07-10-38  AAA  5,030  5,219,551 
GSR Mortgage Loan Trust,           
Mtg Pass Thru Ctf Ser 2004-9 Class B1 (G)(P)  4.572  08-25-34  AA  3,205  3,143,308 
Mtg Pass Thru Ctf Ser 2006-AR1 Class 3A1 (P)  5.419  01-25-36  AAA  7,244  7,178,370 
Indymac Index Mortgage Loan Trust,           
Mtg Pass Thru Ctf Ser 2004-AR13 Class B1  5.296  01-25-35  AA  2,178  2,159,529 
Mtg Pass Thru Ctf Ser 2005-AR5 Class B1 (P)  5.399  05-25-35  AA  2,355  2,318,866 
Mtg Pass Thru Ctf Ser 2006-AR19 Class 1B1           
(P)  6.448  08-25-36  AA  1,787  1,787,435 
JP Morgan Chase Commercial Mortgage Security           
Corp.,           
Mtg Pass Thru Ctf Ser 2005-LDP3 Class A4B  4.996  08-15-42  AAA  3,995  3,851,999 
Mtg Pass Thru Ctf Ser 2005-LDP4 Class B  5.129  10-15-42  Aa2  2,126  2,060,367 
Mtg Pass Thru Ctf Ser 2006-LDP7 Class A4 (P)  6.066  04-15-45  AAA  3,345  3,462,813 
JP Morgan Mortgage Trust,           
Mtg Pass Thru Ctf Ser 2005-S2 Class 2A16  6.500  09-25-35  AAA  4,122  4,188,464 
Mtg Pass Thru Ctf Ser 2005-S3 Class 2A2  5.500  01-25-21  AAA  4,459  4,411,438 
LB-UBS Commercial Mortgage Trust,           
Mtg Pass Thru Ctf Ser 2006-C4 Class A4 (P)  6.098  06-15-38  AAA  3,950  4,098,104 
Master Adjustable Rate Mortgages Trust,           
Mtg Pass Thru Ctf Ser 2006-2 Class 4A1 (P)  4.989  02-25-36  AAA  5,402  5,328,810 
Merrill Lynch Mortgage Trust,           
Mtg Pass Thru Ctf Ser 2005-CKI1 Class A6 (P)  5.417  11-12-37  AAA  3,685  3,643,312 

Page 9


John Hancock
Bond Fund
Securities owned by the Fund on
August 31, 2006 (unaudited)

Merrill Lynch/Countrywide Commercial Mortgage           
Trust,           
Mtg Pass Thru Ctf Ser 2006-2 Class A4 (P)  6.105  06-12-46  AAA  5,535  5,736,670 
Morgan Stanley Capital I,           
Mtg Pass Thru Ctf Ser 2005-HQ7 Class A4 (P)  5.375  11-14-42  AAA  3,765  3,713,789 
Mtg Pass Thru Ctf Ser 2005-IQ10 Class A4A  5.230  09-15-42  AAA  5,270  5,178,510 
Mtg Pass Thru Ctf Ser 2006-T23 Class A4  5.983  08-12-41  AAA  3,085  3,179,306 
Nomura Asset Acceptance Corp.,           
Mtg Pass Thru Ctf Ser 2006-AF1 Class CB1  6.540  06-25-36  AA  1,615  1,649,071 
Mtg Pass Thru Ctf Ser 2006-AF2 Class 4A  6.738  08-25-36  AAA  3,994  4,051,509 
Provident Funding Mortgage Loan Trust,           
Mtg Pass Thru Ctf Ser 2005-1 Class B1 (P)  4.364  05-25-35  AA  1,617  1,563,189 
Renaissance Home Equity Loan Trust,           
Mtg Pass Thru Ctf Ser 2005-2 Class AF3  4.499  08-25-35  AAA  2,080  2,045,468 
Mtg Pass Thru Ctf Ser 2005-2 Class AF4  4.934  08-25-35  AAA  2,365  2,315,329 
Residential Accredit Loans, Inc.,           
Mtg Pass Thru Ctf Ser 2005-QA12           
Class NB5 (P)  5.990  12-25-35  AAA  4,131  4,180,197 
Residential Asset Securitization Trust,           
Mtg Pass Thru Ctf Ser 2006-A7CB Class 2A1  6.500  07-25-36  AAA  5,081  5,120,980 
SBA CMBS Trust,           
Sub Bond Ser 2005-1A Class A (S)  5.369  11-15-35  Aaa  1,310  1,308,272 
Sub Bond Ser 2005-1A Class B (S)  5.565  11-15-35  Aa2  1,300  1,302,183 
Sub Bond Ser 2005-1A Class D (S)  6.219  11-15-35  Baa2  750  755,926 
Sub Bond Ser 2005-1A Class E (S)  6.706  11-15-35  Baa3  795  808,502 
Sovereign Capital Trust I,           
Gtd Cap Security  9.000  04-01-27  BB  3,840  4,025,787 
Washington Mutual Alternative Loan Trust,           
Mtg Pass Thru Ctf Ser 2005-6 Class 1CB  6.500  08-25-35  AAA  2,498  2,515,099 
Wells Fargo Mortgage Backed Securites Trust,           
Mtg Pass Thru Ctf Ser 2004-7 Class 2A2  5.000  07-25-19  AAA  2,949  2,874,105 
 
Tobacco 0.17%          1,695,274 

Reynolds American, Inc.,           
Sr Sec Note (S)  7.250  06-01-13  BB  1,655  1,695,274 
 
Utilities Other 0.24%          2,409,559 

Magellan Midstream Partners LP,           
Note  6.450  06-01-14  BBB  2,335  2,409,559 
 
Wireless Telecommunication Service 1.89%          18,927,180 

America Movil SA de CV,           
Sr Note (Mexico)  5.750  01-15-15  BBB  1,860  1,830,701 
AT&T Wireless Services , Inc.,           
Sr Note  8.125  05-01-12  A  1,630  1,824,974 
Citizens Communications Co.,           
Sr Note  6.250  01-15-13  BB+  1,805  1,744,081 
Crown Castle Towers LLC,           
Sub Bond Ser 2005-1A Class A (L)  4.643  06-15-35  Aaa  2,050  2,004,157 
Sub Bond Ser 2005-1A Class D  5.612  06-15-35  Baa2  2,460  2,452,085 
Embarq Corp.,           
Sr Note  7.082  06-01-16  BBB-  2,405  2,453,913 

Page 10


John Hancock
Bond Fund
Securities owned by the Fund on
August 31, 2006 (unaudited)

Nextel Partners, Inc.,             
Sr Note    8.125  07-01-11  BB-  2,820  2,961,000 
Rogers Wireless, Inc.,             
Sr Sub Note (Canada)  8.000  12-15-12  B+  1,435  1,499,575 
Telecom Italia Capital,             
Sr Gtd Note (Luxembourg)  7.200  07-18-36  BBB+  2,065  2,156,694 
 
        Credit     
Issuer, description        rating (A)  Shares  Value 

Preferred stocks 0.18%          $1,832,095 
(Cost $1,886,000)             
 
Agricultural Products  0.18%          1,832,095 

Ocean Spray Cranberries, Inc., 6.25%, Ser A (S)      BB+  23,000  1,832,095 
 
    Interest  Maturity  Credit  Par value   
Issuer, description    rate (%)  date  rating (A)  ($000)  Value 

U.S. government and agencies securities 44.18%        $441,481,756 
(Cost $443,611,895)             
 
Government U.S. 9.65%          96,418,634 

United States Treasury,             
Bond (L)    6.875  08-15-25  AAA  25,545  31,528,124 
Bond (L)    5.375  02-15-31  AAA  4,285  4,558,837 
Bond (L)    4.500  02-15-36  AAA  8,065  7,590,552 
Note (L)    5.125  05-15-16  AAA  9,300  9,564,101 
Note    4.875  08-15-16  AAA  7,650  7,736,659 
Note    4.625  08-31-11  AAA  29,660  29,569,626 
Note (L)    4.250  11-15-13  AAA  6,045  5,870,735 
 
Government U.S. Agency 34.53%          345,063,122 

Federal Home Loan Mortgage Corp.,           
20 Yr Pass Thru Ctf    11.250  01-01-16  AAA  55  57,748 
30 Yr Adj Rate Pass Thru Ctf (P)  5.281  12-01-35  AAA  9,144  8,939,779 
30 Yr Adj Rate Pass Thru Ctf (P)  5.161  11-01-35  AAA  9,297  9,075,241 
30 Yr Pass Thru Ctf    6.000  01-01-36  AAA  21,932  21,968,394 
30 Yr Pass Thru Ctf    5.000  07-01-35  AAA  10,397  9,973,430 
30 Yr Pass Thru Ctf    5.000  09-01-35  AAA  1,199  1,150,509 
CMO REMIC 2489-PE  6.000  08-15-32  AAA  2,785  2,817,446 
CMO REMIC 2640-WA  3.500  03-15-33  AAA  1,314  1,260,469 
CMO REMIC 3153-NE  5.500  05-15-34  AAA  5,160  5,035,738 
CMO REMIC 3154-PM  5.500  05-15-34  AAA  4,435  4,328,197 
CMO REMIC 3184-PD (M)  5.500  07-15-34  AAA  15,145  14,869,681 
Federal National Mortgage Assn.,           
15 Yr Pass Thru Ctf    9.000  06-01-10  AAA  485  522,677 
15 Yr Pass Thru Ctf    7.500  02-01-08  AAA  43  43,461 
15 Yr Pass Thru Ctf    7.000  09-01-10  AAA  123  124,812 
15 Yr Pass Thru Ctf    7.000  04-01-17  AAA  614  630,231 
15 Yr Pass Thru Ctf    7.000  06-01-17  AAA  156  160,066 
15 Yr Pass Thru Ctf    5.500  11-01-20  AAA  1,548  1,542,730 
15 Yr Pass Thru Ctf    5.500  12-01-20  AAA  10,902  10,866,260 
15 Yr Pass Thru Ctf    5.000  05-01-18  AAA  7,218  7,087,897 

Page 11


John Hancock
Bond Fund
Securities owned by the Fund on
August 31, 2006 (unaudited)

15 Yr Pass Thru Ctf  5.000  08-01-19  AAA  9,440  9,244,482 
15 Yr Pass Thru Ctf  5.000  10-01-19  AAA  7,276  7,135,897 
15 Yr Pass Thru Ctf  4.500  10-01-18  AAA  3,080  2,967,221 
30 Yr Pass Thru Ctf  6.500  07-01-36  AAA  39,426  40,027,836 
30 Yr Pass Thru Ctf  6.000  11-01-34  AAA  707  709,279 
30 Yr Pass Thru Ctf  6.000  09-01-35  AAA  9,944  9,957,200 
30 Yr Pass Thru Ctf  6.000  10-01-35  AAA  477  477,335 
30 Yr Pass Thru Ctf  6.000  04-01-36  AAA  3,438  3,441,657 
30 Yr Pass Thru Ctf  6.000  05-01-36  AAA  20,051  20,072,668 
30 Yr Pass Thru Ctf  6.000  08-01-36  AAA  41,535  41,579,563 
30 Yr Pass Thru Ctf  5.500  05-01-35  AAA  30,437  29,966,551 
30 Yr Pass Thru Ctf  5.500  01-01-36  AAA  14,309  14,047,269 
30 Yr Pass Thru Ctf  5.500  02-01-36  AAA  16,677  16,374,527 
30 Yr Pass Thru Ctf  5.000  08-01-35  AAA  2,443  2,340,928 
30 Yr Pass Thru Ctf  5.000  03-01-36  AAA  5,475  5,244,684 
CMO REMIC 2003-33-AC  4.250  03-25-33  AAA  1,066  1,015,716 
CMO REMIC 2003-49-JE  3.000  04-25-33  AAA  2,965  2,621,519 
CMO REMIC 2003-58-AD  3.250  07-25-33  AAA  2,924  2,652,614 
CMO REMIC 2003-63-PE  3.500  07-25-33  AAA  2,418  2,183,528 
CMO REMIC 2006-57-PD (M)  5.500  01-25-35  AAA  5,985  5,841,103 
CMO REMIC 2006-64-PC  5.500  10-25-34  AAA  4,520  4,410,813 
CMO REMIC 2006-65-HE  5.500  02-25-35  AAA  6,475  6,308,322 
CMO REMIC 2006-67-PD (M)  5.500  12-25-34  AAA  4,875  4,757,325 
Note  5.750  05-01-13  AAA  5,140  5,153,071 
Financing Corp.,           
Bond  10.350  08-03-18  Aaa  3,545  5,172,765 
Government National Mortgage Assn.,           
30 Yr Pass Thru Ctf  10.500  01-15-16  AAA  24  26,710 
30 Yr Pass Thru Ctf  10.000  06-15-20  AAA  29  31,678 
30 Yr Pass Thru Ctf  10.000  11-15-20  AAA  11  12,661 
30 Yr Pass Thru Ctf  9.500  03-15-20  AAA  37  40,480 
30 Yr Pass Thru Ctf  9.500  06-15-20  AAA  9  9,836 
30 Yr Pass Thru Ctf  9.500  01-15-21  AAA  46  50,478 
30 Yr Pass Thru Ctf  9.500  05-15-21  AAA  21  23,549 
CMO Remic 2003-42-XA  3.750  05-16-33  AAA  762  709,091 

  Interest  Par value   
Issuer, description, maturity date  rate (%)  ($000)  Value 

Short-term investments 1.03%      $10,273,000 
(Cost $10,273,000)       
 
Joint Repurchase Agreement 1.03%      10,273,000 

Investment in a joint repurchase agreement       
transaction with Barclays Capital, Inc. — Dated       
8-31-06, due 9-1-06 (Secured by U.S. Treasury       
Inflation Indexed Note 2.000%, due 1-15-16)  5.240  10,273  10,273,000 
 
Total investments 100.00%  $999,384,297 

   

Page 12


John Hancock
Bond Fund
Footnotes to Schedule of Investments
August 31, 2006 (unaudited)

(A) Credit ratings are unaudited and are rated by Moody's Investors Service where Standard & Poor's ratings are not available unless indicated otherwise.

(B) This security is fair valued in good faith under procedures established by the Board of Trustees.

(G) Security rated internally by John Hancock Advisers, LLC.

(H) Non-income-producing issuer filed for protection under the Federal Bankruptcy Code or is in default of interest payment.

(L) All or a portion of this security is on loan as of August 31, 2006.

(M) A portion of these securities having an aggregate value of $14,653,349, or 1.47% of the Fund's total investments, have been purchased as a forward commitments—that is, the Fund has agreed on trade date to take delivery of and to make payment for these securities on a delayed basis subsequent to the date of this schedule. The purchase price and interest rate of these securities are fixed at trade date, although the Fund does not earn any interest on these until settlement date. The Fund has segregated assets with a current value at least equal to the amount of the forward commitments. Accordingly, the market value of $15,014,289 of Federal National Mortgage Association, 5.500%, 5-1-35, has been segregated to cover the forward commitments.

(O) Cash interest will be paid on this obligation at the stated rate beginning on the stated date.

(P) Represents rate in effect on August 31, 2006.

(S) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration. Rule 144A securities amounted to $101,631,135 or 10.17% of the Fund's total investments as of August 31, 2006.

Parenthetical disclosure of a foreign country in the security description represents country of a foreign issuer; however, security is U.S. dollar-denominated.

The percentage shown for each investment category is the total value of that category as a percentage of the total investments of the Fund.

The cost of investments owned on August 31, 2006, including short-term investments, was $1,005,950,577. Gross unrealized appreciation and depreciation of investments aggregated $11,551,349 and $18,117,629, respectively, resulting in net unrealized depreciation of $6,566,280.

Footnotes to Schedule of Investments - Page 1




ITEM 2. CONTROLS AND PROCEDURES.

(a) Based upon their evaluation of the registrant's disclosure controls and procedures as conducted within 90 days of the filing date of this Form N-Q, the registrant's principal executive officer and principal financial officer have concluded that those disclosure controls and procedures provide reasonable assurance that the material information required to be disclosed by the registrant on this report is recorded, processed, summarized and reported within the time periods specified in the Securities and Exchange Commission's rules and forms.

(b) There were no changes in the registrant's internal control over financial reporting that occurred during the registrant's last fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting.

ITEM 3. EXHIBITS.

Separate certifications for the registrant's principal executive officer and principal financial officer, as required by Rule 30a-2(a) under the Investment Company Act of 1940, are attached.


SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

John Hancock Sovereign Bond Fund

By: /s/ Keith F. Hartstein
-------------------------------------
Keith F. Hartstein
President and Chief Executive Officer

Date: October 27, 2006

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

By: /s/ Keith F. Hartstein
-------------------------------------
Keith F. Hartstein
President and Chief Executive Officer

Date: October 27, 2006

By: /s/ John G. Vrysen
- -------------------------------------
John G. Vrysen
Executive Vice President and Chief Financial Officer

Date: October 27, 2006


EX-99.CERT 2 b_exnncert.htm CERTIFICATION

CERTIFICATION

I, Keith F. Hartstein, certify that:

1. I have reviewed this report on Form N-Q of John Hancock Sovereign Bond Fund (the “registrant”);

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the schedules of investments included in this report fairly present in all material respects the investments of the registrant as of the end of the fiscal quarter for which the report is filed;

4. The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report, based on such evaluation; and

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and


(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Date: October 27, 2006

/s/ Keith F. Hartstein
-------------------------------------
Keith F. Hartstein
President and Chief Executive Officer

CERTIFICATION

I, John G. Vrysen, certify that:

1. I have reviewed this report on Form N-Q of John Hancock Sovereign Bond Fund (the “registrant”);

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the schedules of investments included in this report fairly present in all material respects the investments of the registrant as of the end of the fiscal quarter for which the report is filed;

4. The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report, based on such evaluation; and

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and


5. The registrant’s other certifying officer and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Date: October 27 , 2006

/s/ John G. Vrysen
- -------------------------------------
John G. Vrysen
Executive Vice President and Chief Financial Officer


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