-----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, FPiS83EYVOXg1kbgXgpXtV5xMGi/HmiKuOiyfhrNyF/BnLgwdeHlLcDxn4X31vKd pgLTaQagU2u4fj0K+R+SXQ== 0000927016-03-002367.txt : 20030506 0000927016-03-002367.hdr.sgml : 20030506 20030506151219 ACCESSION NUMBER: 0000927016-03-002367 CONFORMED SUBMISSION TYPE: 424B2 PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 20030506 FILER: COMPANY DATA: COMPANY CONFORMED NAME: HANCOCK JOHN LIFE INSURANCE CO CENTRAL INDEX KEY: 0000917406 STANDARD INDUSTRIAL CLASSIFICATION: LIFE INSURANCE [6311] IRS NUMBER: 041414660 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 424B2 SEC ACT: 1933 Act SEC FILE NUMBER: 333-85488 FILM NUMBER: 03684147 BUSINESS ADDRESS: STREET 1: CORPORATE LAW DIVISION T-55 STREET 2: P O BOX 111 CITY: BOSTON STATE: MA ZIP: 02117 BUSINESS PHONE: 6175726000 MAIL ADDRESS: STREET 1: CORPORATE LAW DIVISION T-55 STREET 2: P O BOX 111 CITY: BOSTON STATE: MA ZIP: 02117 FORMER COMPANY: FORMER CONFORMED NAME: HANCOCK JOHN MUTUAL LIFE INSURANCE CO / MA DATE OF NAME CHANGE: 19940111 424B2 1 d424b2.htm FORM 424(B)(2) DATED 05/05/03 FORM 424(b)(2) DATED 05/05/03

 

Registration No. 333-85488

Filed Pursuant to Rule 424(b)(2)

 

John Hancock Life Insurance Company

SignatureNotes

With Maturities of Twelve Months or More from Date of Issue

 

Pricing Supplement No. 40

     

Trade Date: 5/5/2003

(To Prospectus dated July 22, 2002 as supplemented

by Prospectus Supplement dated January 10, 2003)

 

Issue Date: 5/8/2003

The date of this Pricing Supplement is May 5, 2003

   

CUSIP or Common Code:

 

41013MND8

   

Price to Public:

 

100.000% of the principal amount

   

Proceeds to Issuer:

 

$579,090.00

   

Discounts and Commissions:

 

0.500%

   

Reallowance:

 

0.150%

   

Dealer:

 

99.625%

   

Maturity Date:

 

11/15/2005

   

Stated Annual Interest Rate:

 

Floating Rate Note

   

Interest Reset Periods:

 

Quarterly, commencing on the 15th day of August, November, February and May (or, if such day is not a Business Day, the next following Business Day)

Interest Reset Dates:

 

The 15th day of August, November, February and May (or, if such day is not a Business Day, the next following Business Day)

Day Count Convention:

 

Actual/365 (Fixed)

   

Interest Rate Basis:

 

Treasury Rate

   

Index Maturity:

 

3 month

   

Spread:

 

+0.35%

   

Initial Interest Rate:

 

1.44826%

   

Maximum Interest Rate:

 

3.25% per annum with respect to each Interest Reset Period

Minimum Interest Rate:

 

N/A

   

Interest Payment Frequency and Dates:

 

Quarterly, on the 15th day of August, November, February and May (or, if such day is not a Business Day, the next following Business Day)

First Interest Payment Date:

 

8/15/2003

   

Additional Amounts:

 

N/A

   

Survivor’s Option:

 

Yes

   

Callable by Issuer:

 

No

   

If Callable by Issuer, dates and terms of redemption (including the redemption price)

 

N/A

   

Original Issue Discount1:

 

N/A

   

Other Material Terms (if any):

 

N/A

   

1   For information regarding certain tax provisions applicable to Original Issue Discount notes, including zero-coupon notes, see "Tax Consequences to U.S. Holders — Original Issue Discount Notes" in the Prospectus.

 

Page 1 of 3


 

Registration No. 333-85488

Filed Pursuant to Rule 424(b)(2)

 

John Hancock Life Insurance Company

SignatureNotes

With Maturities of Twelve Months or More from Date of Issue

 

Pricing Supplement No. 40

 

Trade Date: 5/5/2003

(To Prospectus dated July 22, 2002)

 

Issue Date: 5/8/2003

The date of this Pricing Supplement is May 5, 2003

   

CUSIP or Common Code:

 

41013MNE6

 

41013MNF3

 

41013MNG1

 

41013MNH9

 

41013MNJ5

Price to Public:

 

100.000%

 

100.000%

 

100.000%

 

100.000%

 

100.000%

Proceeds to Issuer:

 

$349,800.00

 

$557,504.00

 

$425,700.00

 

$475,252.00

 

$143,956.00

Discounts and Commissions:

 

0.625%

 

0.800%

 

1.000%

 

1.400%

 

1.400%

Reallowance:

 

0.150%

 

0.150%

 

0.150%

 

0.200%

 

0.200%

Dealer:

 

99.500%

 

99.350%

 

99.200%

 

98.800%

 

98.800%

Maturity Date:

 

5/15/2006

 

5/15/2007

 

5/15/2008

 

5/15/2011

 

5/15/2011

Stated Annual Interest Rate:

 

2.100%

 

2.550%

 

3.000%

 

Step: 2.600% through 5/14/2005, and 5.000% thereafter (unless called)

 

3.800%

Interest Payment Frequency:

 

Monthly

 

Monthly

 

Monthly

 

Monthly

 

Monthly

First Payment Date:

 

6/15/2003

 

6/15/2003

 

6/15/2003

 

6/15/2003

 

6/15/2003

Additional Amounts:

 

N/A

 

N/A

 

N/A

 

N/A

 

N/A

Survivor’s Option:

 

Yes

 

Yes

 

Yes

 

Yes

 

Yes

Callable by Issuer:

 

No

 

No

 

No

 

Yes

 

No

If Callable by Issuer, dates and terms of redemption (including the redemption price)

 

N/A

 

N/A

 

N/A

 

5/15/2005

Callable one time only at 100% on call date above with 30 days notice.

 

N/A

Original Issue Discount2:

 

N/A

 

N/A

 

N/A

 

N/A

 

N/A

Other Material Terms (if any):

 

N/A

 

N/A

 

N/A

 

N/A

 

N/A


2   For information regarding certain tax provisions applicable to Original Issue Discount notes, including zero-coupon notes, see "Tax Consequences to U.S. Holders — Original Issue Discount Notes" in the Prospectus.

 

Page 2 of 3


 

Registration No. 333-85488

Filed Pursuant to Rule 424(b)(2)

 

John Hancock Life Insurance Company

SignatureNotes

With Maturities of Twelve Months or More from Date of Issue

 

Pricing Supplement No. 40

 

Trade Date: 5/5/2003

(To Prospectus dated July 22, 2002)

 

Issue Date: 5/8/2003

The date of this Pricing Supplement is May 5, 2003

   

CUSIP or Common Code:

 

41013MNK2

 

41013MNL0

 

41013MNM8

 

41013MNN6

 

41013MNP1

Price to Public:

 

100.000%

 

100.000%

 

100.000%

 

100.000%

 

100.000%

Proceeds to Issuer:

 

$405,820.00

 

$215,167.50

 

$78,400.00

 

$108,225.00

 

$822,735.00

Discounts and Commissions:

 

1.500%

 

1.750%

 

2.000%

 

2.500%

 

2.750%

Reallowance:

 

0.200%

 

0.275%

 

0.350%

 

0.350%

 

0.350%

Dealer:

 

98.800%

 

98.600%

 

98.350%

 

97.850%

 

97.600%

Maturity Date:

 

5/15/2013

 

5/15/2015

 

5/15/2018

 

5/15/2023

 

5/15/2028

Stated Annual Interest Rate:

 

4.300%

 

4.600%

 

4.800%

 

5.000%

 

5.100%

Interest Payment Frequency:

 

Monthly

 

Monthly

 

Monthly

 

Semi

 

Monthly

First Payment Date:

 

6/15/2003

 

6/15/2003

 

6/15/2003

 

11/15/2003

 

6/15/2003

Additional Amounts:

 

N/A

 

N/A

 

N/A

 

N/A

 

N/A

Survivor’s Option:

 

Yes

 

Yes

 

Yes

 

Yes

 

Yes

Callable by Issuer:

 

No

 

Yes

 

Yes

 

No

 

Yes

If Callable by Issuer, dates and terms of redemption (including the redemption price)

 

N/A

 

11/15/2005

Callable one time only at 100% on call date above with 30 days notice.

 

5/15/2006

Callable one time only at 100% on call date above with 30 days notice.

 

N/A

 

5/15/2008

Callable one time only at 100% on call date above with 30 days notice.

Original Issue Discount3:

 

N/A

 

N/A

 

N/A

 

N/A

 

N/A

Other Material Terms (if any):

 

N/A

 

N/A

 

N/A

 

N/A

 

N/A


3   For information regarding certain tax provisions applicable to Original Issue Discount notes, including zero-coupon notes, see "Tax Consequences to U.S. Holders — Original Issue Discount Notes" in the Prospectus.

 

Page 3 of 3

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