ETF:JHML | ETF Holdings Page 3 | John Hancock Multifactor Large Cap ETF

JHML ETF holdings Page 3

Weights reproduce the dated portfolio and may not sum to exactly 100% because of cash, derivatives, rounding, liabilities, or other positions. Provenance stays internal.

Snapshot fieldReported value
FundJohn Hancock Multifactor Large Cap ETF
Report date2026-03-31
Reported holdings781
SEC series IDS000050077

Positions 201–300 of 781

TickerIssuerWeightValue (USD)Balance
SBUXStarbucks Corporation0.133909%1,361,76815,200 NS
DGXQuest Diagnostics Incorporated0.133495%1,357,553.466,927 NS
VRTXVertex Pharmaceuticals Incorporated0.133312%1,355,695.443,036 NS
CIENCiena Corporation0.132664%1,349,099.253,475 NS
DVNDevon Energy Corporation0.132478%1,347,217.3626,773 NS
CTASCintas Corporation0.132011%1,342,464.187,937 NS
MTB USMandT Bank Corporation0.131785%1,340,165.766,483 NS
PPL USPPL Corporation0.131477%1,337,038.235,001 NS
BA USThe Boeing Company0.131091%1,333,102.946,698 NS
ULTAUlta Beauty Inc.0.130866%1,330,819.662,546 NS
DHI USD.R. Horton Inc.0.13059%1,328,015.169,678 NS
MET USMetLife Inc.0.130392%1,326,00018,750 NS
PANWPalo Alto Networks Inc.0.130298%1,325,044.88,265 NS
DOVDover Corporation0.130039%1,322,406.86,344 NS
CARRCarrier Global Corporation0.129499%1,316,921.9723,387 NS
WSMWilliams-Sonoma Inc.0.129074%1,312,593.677,199 NS
VSTVistra Corp.0.128994%1,311,779.588,726 NS
ADPAutomatic Data Processing Inc.0.128989%1,311,730.086,456 NS
REGNRegeneron Pharmaceuticals Inc.0.128402%1,305,761.61,690 NS
MDLZMondelez International Inc.0.128245%1,304,162.6422,626 NS
RF USRegions Financial Corporation0.128207%1,303,779.849,915 NS
BSXBoston Scientific Corporation0.12818%1,303,505.7520,773 NS
IDXXIDEXX Laboratories Inc.0.127912%1,300,775.352,315 NS
MLMMartin Marietta Materials Inc.0.127758%1,299,216.762,207 NS
FIXComfort Systems USA Inc.0.127602%1,297,629.59941 NS
NDAQNasdaq Inc.0.126792%1,289,394.2115,189 NS
TSCOTractor Supply Company0.126452%1,285,931.128,387 NS
BDX USBecton Dickinson and Company0.125993%1,281,267.278,149 NS
WECWEC Energy Group Inc.0.125818%1,279,490.0411,052 NS
ECLEcolab Inc.0.125799%1,279,290.184,809 NS
UPSUnited Parcel Service Inc.0.125513%1,276,382.1212,974 NS
TDGTransDigm Group Incorporated0.124679%1,267,902.241,094 NS
RMD USResMed Inc.0.124631%1,267,414.085,646 NS
CTRA USCoterra Energy Inc.0.12455%1,266,586.1636,044 NS
AON USAon Public Limited Company0.124518%1,266,265.943,923 NS
ELVElevance Health Inc.0.124506%1,266,143.754,325 NS
RSGRepublic Services Inc.0.124033%1,261,336.185,759 NS
PHM USPulteGroup Inc.0.123979%1,260,779.210,720 NS
WTW USWillis Towers Watson Public Limited Company0.123863%1,259,603.14,333 NS
CCLCarnival Corporation0.123718%1,258,130.3248,614 NS
AEEAmeren Corporation0.12319%1,252,758.2411,397 NS
DTE USDTE Energy Company0.122821%1,249,011.248,542 NS
FLEXFlex Ltd.0.122445%1,245,180.1219,022 NS
ESEversource Energy0.120747%1,227,918.7217,724 NS
APD USAir Products and Chemicals Inc.0.120574%1,226,158.294,221 NS
VMCVulcan Materials Company0.120307%1,223,443.94,493 NS
FEFirstEnergy Corp.0.119888%1,219,183.5624,066 NS
AMPAmeriprise Financial Inc.0.119694%1,217,211.62,739 NS
NTRS USNorthern Trust Corporation0.119473%1,214,956.858,705 NS
CRWDCrowdStrike Holdings Inc.0.119165%1,211,832.643,104 NS
OMCOmnicom Group Inc.0.119089%1,211,060.1116,081 NS
CNPCenterPoint Energy Inc.0.11887%1,208,825.2828,008 NS
ADBEAdobe Inc.0.11868%1,206,892.24,965 NS
HCAHCA Healthcare Inc.0.11862%1,206,288.762,549 NS
EQIXEquinix Inc.0.118465%1,204,714.961,229 NS
EQTEQT Corporation0.117908%1,199,041.2418,841 NS
AAgilent Technologies Inc.0.116745%1,187,215.6810,416 NS
IQVIQVIA Holdings Inc.0.116585%1,185,594.086,952 NS
EMEEMCOR Group Inc.0.116308%1,182,772.621,602 NS
SYYSysco Corporation0.116163%1,181,296.1316,561 NS
YUMYUM! Brands Inc.0.116151%1,181,181.567,597 NS
EXPEExpedia Group Inc.0.116066%1,180,309.685,112 NS
CLColgate-Palmolive Company0.115793%1,177,537.6813,816 NS
NVRNVR Inc.0.115346%1,172,989.74178 NS
CFCF Industries Holdings Inc.0.115306%1,172,585.049,031 NS
DRIDarden Restaurants Inc.0.114374%1,163,105.325,933 NS
LHLabcorp Holdings Inc.0.11434%1,162,757.984,358 NS
AJG USArthur J. Gallagher and Co.0.113366%1,152,855.345,323 NS
RJFRaymond James Financial Inc.0.112465%1,143,696.217,899 NS
DLR USDigital Realty Trust Inc.0.112457%1,143,612.666,346 NS
SNPSSynopsys Inc.0.112363%1,142,655.362,882 NS
EWEdwards Lifesciences Corporation0.112332%1,142,341.214,265 NS
GEHCGE HealthCare Technologies Inc.0.112062%1,139,591.816,010 NS
AZOAutoZone Inc.0.111604%1,134,934.08336 NS
DOWDow Inc.0.111434%1,133,213.227,208 NS
KMI USKinder Morgan Inc.0.111329%1,132,140.4533,765 NS
LLoews Corporation0.111281%1,131,657.4810,602 NS
HSYThe Hershey Company0.111127%1,130,090.045,436 NS
NTAPNetApp Inc.0.110905%1,127,825.8511,015 NS
ADMArcher-Daniels-Midland Company0.110693%1,125,677.3415,486 NS
CFG USCitizens Financial Group Inc.0.110153%1,120,179.6318,679 NS
SPG USSimon Property Group Inc.0.109376%1,112,278.395,963 NS
FTNTFortinet Inc.0.109297%1,111,473.7213,601 NS
CTSHCognizant Technology Solutions Corporation0.108893%1,107,367.518,050 NS
ORealty Income Corporation0.107502%1,093,225.4217,869 NS
MKLMarkel Group Inc.0.107285%1,091,019.9570 NS
HPE USHewlett Packard Enterprise Company0.1063%1,080,997.8145,401 NS
HALHalliburton Company0.105107%1,068,871.8627,414 NS
MNSTMonster Beverage Corporation0.104664%1,064,364.9414,689 NS
MTDMettler-Toledo International Inc.0.102068%1,037,967.6823 NS
APO USApollo Global Management Inc.0.101928%1,036,540.269,303 NS
HOODRobinhood Markets Inc.0.101667%1,033,886.714,919 NS
IRIngersoll Rand Inc.0.101642%1,033,628.1212,901 NS
MSCIMSCI Inc.0.100813%1,025,197.021,902 NS
VRSKVerisk Analytics Inc.0.100684%1,023,8915,396 NS
PPGPPG Industries Inc.0.099404%1,010,871.049,458 NS
HUBBHubbell Incorporated0.098589%1,002,581.822,043 NS
ODFLOld Dominion Freight Line Inc.0.098533%1,002,011.25,128 NS
HBAN USHuntington Bancshares Incorporated0.098186%998,485.6563,801 NS
NRGNRG Energy Inc.0.097893%995,505.686,812 NS

Research interface only. Not investment advice. Prices are a checked-in snapshot, not live quotes.