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JHDG · John Hancock Hedged Equity ETF ETF

John Hancock Exchange-Traded Fund Trust

SEC fund profile
$28.01 +0.07% At close · Sep 4
Net assets $89,859,133
Holdings134
1 month
-1.96%
Year to date
52-week range
$25.62–$28.81
30-session avg volume
15,997

Market performance

Adjusted close · up to five years

Since Apr 2026

Fund profile

Structure
Open-end / ETF
SEC series
S000102317
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings44.64%

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

Asset allocation

EC97.16%
STIV1.11%
DE0.12%

Country allocation

US89.01%
FR2.38%
IE2.30%
CH1.71%
GB1.03%
BM0.92%
CA0.67%
JP0.38%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Alphabet Inc.$6,256,8346.96%
Microsoft Corporation$5,397,2266.01%
Amazon.com Inc.$5,191,0455.78%
NVIDIA Corporation$3,930,1684.37%
JPMorgan Chase and Co.$3,663,4774.08%
Applied Materials Inc.$3,488,4753.88%
Broadcom Inc.$3,230,1403.59%
Costco Wholesale Corporation$3,212,4043.57%
Eli Lilly and Company$3,034,5583.38%
Micron Technology Inc.$2,705,6563.01%
Berkshire Hathaway Inc.$2,504,9522.79%
Walmart Inc.$2,189,2032.44%
Palo Alto Networks Inc.$2,152,5182.40%
Qnity Electronics Inc.$2,110,1292.35%
Marvell Technology Inc.$1,881,4732.09%
Arista Networks Inc.$1,721,9041.92%
EQT Corporation$1,630,1921.81%
Valero Energy Corporation$1,618,8951.80%
Burlington Stores Inc.$1,539,3311.71%
Freeport-McMoRan Inc.$1,521,1201.69%
Linde Public Limited Company$1,378,8241.53%
AMETEK Inc.$1,360,9131.51%
Schneider Electric SE$1,284,8931.43%
Medtronic Public Limited Company$1,261,5371.40%
Guardant Health Inc.$1,209,9921.35%
SharkNinja Inc.$1,205,3691.34%
Amrize Ltd$1,178,9431.31%
McKesson Corporation$1,042,7281.16%
American Tower Corporation$1,039,1601.16%
Federal Signal Corporation$1,035,8861.15%
Cummins Inc.$1,015,6111.13%
ConocoPhillips$1,010,4911.12%
Lowe`s Companies Inc.$1,001,0251.11%
State Street Bank and Trust Company$1,000,7751.11%
Advanced Micro Devices Inc.$986,9661.10%
Pinnacle Financial Partners Inc.$980,5541.09%
AstraZeneca PLC$921,3641.03%
Deere and Company$903,2861.01%
The Cigna Group$882,7270.98%
Digital Realty Trust Inc.$872,7590.97%
Vinci SA$849,8530.95%
Viking Holdings Ltd$835,0570.93%
T-Mobile US Inc.$815,1680.91%
Trane Technologies Public Limited Company$813,8520.91%
Old National Bancorp$752,3690.84%
BrightSpring Health Services Inc.$734,4320.82%
Morgan Stanley$669,3460.74%
UGI Corporation$645,9670.72%
Suncor Energy Inc.$604,7590.67%
Galderma Group AG$366,4430.41%