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JHCB · John Hancock Corporate Bond ETF ETF

John Hancock Exchange-Traded Fund Trust

SEC fund profile
$20.66 -0.07% At close · Sep 4
Net assets $109,066,251
Holdings179
1 month
-1.01%
Year to date
-1.79%
52-week range
$20.57–$22.04
30-session avg volume
48,246

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000071291
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings15.78%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

DBT97.73%
STIV0.95%

Country allocation

US86.22%
FR4.17%
CA2.03%
IE1.37%
GB1.05%
NO0.99%
CH0.65%
Other2.20%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Bank of America Corporation$2,332,7152.14%
Microsoft Corporation$1,947,5191.79%
Amazon.com Inc.$1,901,1451.74%
Constellation Energy Generation LLC$1,802,9691.65%
Eli Lilly and Company$1,668,4941.53%
The Southern Company$1,626,6061.49%
The Charles Schwab Corporation$1,595,1761.46%
Truist Financial Corporation$1,482,2061.36%
Meta Platforms Inc.$1,429,4521.31%
Wells Fargo and Company$1,426,8291.31%
Apple Inc.$1,393,3211.28%
WMG Acquisition Corp.$1,358,4301.25%
Fifth Third Bank National Association$1,340,5051.23%
Amgen Inc.$1,333,4251.22%
UNITED AIRLINES 2024-1 CLASS A PASS THRU CE 08/38 5.875$1,290,5041.18%
BNP Paribas$1,265,5341.16%
Ares Strategic Income Fund$1,240,1851.14%
Citizens Financial Group Inc.$1,224,4771.12%
MSCI Inc.$1,221,6031.12%
Enbridge Inc.$1,197,0761.10%
BPCE$1,179,4281.08%
Morgan Stanley$1,171,6141.07%
JPMorgan Chase and Co.$1,157,0191.06%
Hexcel Corporation$1,097,9461.01%
News Corporation$1,091,4151.00%
CoStar Group Inc.$1,087,7651.00%
Corebridge Financial Inc.$1,060,1420.97%
U.S. Bancorp$1,049,3210.96%
Ashtead Capital Inc.$1,041,8410.96%
JH COLLATERAL$1,034,9120.95%
Oracle Corporation$1,028,1760.94%
Wells Fargo and Company$1,018,5160.93%
Credit Agricole SA$991,3740.91%
Energy Transfer LP$957,1450.88%
Vistra Operations Company LLC$915,8320.84%
Deutsche Bank Aktiengesellschaft$912,1570.84%
Air Products and Chemicals Inc.$908,1170.83%
Var Energi ASA$876,3640.80%
Beacon Point DC LLC$874,4460.80%
Space Exploration Technologies Corp.$872,7690.80%
HUT 8 DC LLC$866,0140.79%
Blackstone Private Credit Fund$857,6670.79%
Qorvo Inc.$855,8590.78%
QTS FAYETTEVILLE I DC1-2 LLC / SR SECURED 144A 04/36 5.7$846,2060.78%
VICI Properties L.P.$839,0440.77%
Ally Financial Inc.$838,5690.77%
Apollo Debt Solutions BDC$830,7750.76%
DELTA AIR LINES INC / SKYMILES SR SECURED 144A 10/28 4.75$800,1430.73%
CDW LLC / CDW FINANCE CORP COMPANY GUAR 08/34 5.55$799,7750.73%
JPMorgan Chase and Co.$796,4660.73%