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

Companies included in JHML

This is JHML's own dated portfolio constitution. Share counts are the calculation basis for constituent revenue and earnings analytics; rounded weights are reference values only. This page shows positions 1–100 of 781.

TickerIssuerShares ownedUnitReported weight
NVDANVIDIA Corporation233,176NS3.998876%
AAPLApple Inc.159,920NS3.991029%
MSFTMicrosoft Corporation78,102NS2.842961%
AMZNAmazon.com Inc.133,309NS2.730196%
GOOGAlphabet Inc.86,007NS2.432035%
METAMeta Platforms Inc.32,284NS1.816309%
AVGOBroadcom Inc.53,750NS1.635915%
JPM USJPMorgan Chase and Co.40,000NS1.157047%
BRK/B USBerkshire Hathaway Inc.20,710NS0.975898%
LLY USEli Lilly and Company10,502NS0.949858%
XOM USExxon Mobil Corporation53,296NS0.889164%
WMTWalmart Inc.68,477NS0.836861%
TSLATesla Inc.22,057NS0.806315%
JNJ USJohnson and Johnson33,011NS0.793485%
GOOGLAlphabet Inc.27,470NS0.774883%
VVisa Inc.21,302NS0.633111%
CATCaterpillar Inc.7,836NS0.545905%
MAMastercard Incorporated11,001NS0.540523%
MUMicron Technology Inc.16,247NS0.539749%
PG USThe Procter and Gamble Company35,039NS0.497676%
COSTCostco Wholesale Corporation4,937NS0.483746%
CVXChevron Corporation23,054NS0.469045%
WFC USWells Fargo and Company59,784NS0.468015%
BAC USBank of America Corporation94,687NS0.453913%
ABBVAbbVie Inc.20,566NS0.439842%
LRCXLam Research Corporation20,319NS0.426907%
CSCOCisco Systems Inc.54,935NS0.419143%
RTXRTX Corporation21,919NS0.415777%
NFLXNetflix Inc.43,948NS0.415524%
AMDAdvanced Micro Devices Inc.20,744NS0.414968%
GS USThe Goldman Sachs Group Inc.4,980NS0.414288%
MRK USMerck and Co. Inc.34,536NS0.408516%
AMATApplied Materials Inc.11,719NS0.393874%
IBMInternational Business Machines Corporation16,184NS0.385752%
HDThe Home Depot Inc.11,885NS0.384377%
KOThe Coca-Cola Company50,678NS0.378989%
VZVerizon Communications Inc.76,752NS0.378879%
GEGeneral Electric Company12,315NS0.343644%
MS USMorgan Stanley21,181NS0.342771%
C USCitigroup Inc.30,708NS0.34246%
KLACKLA Corporation2,323NS0.336345%
ORCL USOracle Corporation22,963NS0.332184%
COPConocoPhillips25,050NS0.325154%
UNHUnitedHealth Group Incorporated11,904NS0.316747%
AMGNAmgen Inc.8,941NS0.309351%
GILDGilead Sciences Inc.22,550NS0.309046%
T USATandT Inc.106,725NS0.304244%
TJXThe TJX Companies Inc.18,949NS0.297577%
PLTRPalantir Technologies Inc.20,517NS0.295125%
INTCIntel Corporation67,392NS0.292449%
PEPPepsiCo Inc.18,897NS0.288565%
KRThe Kroger Co.40,507NS0.288228%
LIN USLinde Public Limited Company5,850NS0.28519%
TXNTexas Instruments Incorporated14,832NS0.283154%
APHAmphenol Corporation22,773NS0.282946%
MCD USMcDonald's Corporation9,202NS0.281227%
DE USDeere and Company4,863NS0.269371%
ADIAnalog Devices Inc.8,477NS0.265197%
VRTVertiv Holdings Co10,695NS0.263533%
TMOThermo Fisher Scientific Inc.5,441NS0.262988%
PMPhilip Morris International Inc.16,030NS0.260627%
AXPAmerican Express Company8,747NS0.260174%
NEM USNewmont Corporation23,755NS0.252866%
ETREntergy Corporation22,538NS0.24902%
WDCWestern Digital Corporation9,359NS0.248936%
PFEPfizer Inc.89,898NS0.24823%
HIG USThe Hartford Insurance Group Inc.18,634NS0.247792%
UNPUnion Pacific Corporation10,167NS0.242564%
ABTAbbott Laboratories23,882NS0.241114%
QCOMQUALCOMM Incorporated18,926NS0.239671%
WMWaste Management Inc.10,564NS0.238708%
CMICummins Inc.4,475NS0.236755%
DUK USDuke Energy Corporation17,997NS0.231729%
BMY USBristol-Myers Squibb Company38,762NS0.231177%
GMGeneral Motors Company31,446NS0.230372%
BK USThe Bank of New York Mellon Corporation19,357NS0.225808%
ETN USEaton Corporation Public Limited Company6,373NS0.224148%
GEVGE Vernova Inc.2,602NS0.223347%
HONHoneywell International Inc.10,006NS0.2224%
EXCExelon Corporation45,968NS0.221583%
EBAYeBay Inc.24,637NS0.220512%
MRVLMarvell Technology Inc.22,521NS0.219356%
STX USSeagate Technology Holdings Public Limited Company5,678NS0.218737%
TT USTrane Technologies Public Limited Company5,279NS0.216334%
TRVThe Travelers Companies Inc.7,480NS0.214544%
ROSTRoss Stores Inc.9,915NS0.211212%
PHParker-Hannifin Corporation2,388NS0.210224%
LMTLockheed Martin Corporation3,520NS0.209203%
EOGEOG Resources Inc.14,612NS0.207728%
CBRECBRE Group Inc.15,396NS0.205082%
DISThe Walt Disney Company21,578NS0.204506%
TGTTarget Corporation17,071NS0.203455%
ALL USThe Allstate Corporation9,909NS0.202032%
OXY USOccidental Petroleum Corporation31,545NS0.201628%
KEYSKeysight Technologies Inc.7,231NS0.200782%
CAHCardinal Health Inc.9,536NS0.19815%
LNGCheniere Energy Inc.7,078NS0.197501%
CRMSalesforce Inc.10,666NS0.195787%
PWRQuanta Services Inc.3,618NS0.195328%
SCHW USThe Charles Schwab Corporation20,974NS0.193831%

SEC N-PORT snapshot as of .

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