Skip to main content

JHDV · John Hancock U.S. High Dividend ETF ETF

John Hancock Exchange-Traded Fund Trust

SEC fund profile
$47.67 +0.17% At close · Sep 4
Net assets $12,165,727
Holdings73
1 month
-0.34%
Year to date
+20.98%
52-week range
$38.46–$48.29
30-session avg volume
494

Market performance

Adjusted close · up to five years

Since Sep 2022

Fund profile

Structure
Open-end / ETF
SEC series
S000077441
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings33.18%

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

Asset allocation

EC98.87%
STIV1.30%

Country allocation

US96.79%
PE1.83%
IE0.92%
CH0.63%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
NVIDIA Corporation$837,5776.88%
Apple Inc.$614,3115.05%
Microsoft Corporation$483,4343.97%
Micron Technology Inc.$480,1853.95%
Lam Research Corporation$341,4642.81%
Broadcom Inc.$292,3792.40%
T. Rowe Price Group Inc.$259,8952.14%
Simon Property Group Inc.$244,4492.01%
Altria Group Inc.$242,9032.00%
Paychex Inc.$239,8271.97%
The Progressive Corporation$239,2031.97%
American Financial Group Inc.$233,2801.92%
Cisco Systems Inc.$231,8661.91%
The Goldman Sachs Group Inc.$230,5921.90%
Vertiv Holdings Co$229,3521.89%
United Parcel Service Inc.$228,6531.88%
KLA Corporation$228,3941.88%
Comfort Systems USA Inc.$227,9241.87%
Edison International$227,0731.87%
Credicorp Ltd.$223,2291.83%
Conagra Brands Inc.$208,3341.71%
VICI Properties Inc.$207,0631.70%
Gaming and Leisure Properties Inc.$206,5751.70%
Verizon Communications Inc.$205,3911.69%
Bristol-Myers Squibb Company$195,9661.61%
Chevron Corporation$195,4311.61%
Pfizer Inc.$194,8071.60%
Texas Instruments Incorporated$194,6401.60%
Columbia Banking System Inc.$194,2231.60%
Best Buy Co. Inc.$187,0441.54%
International Business Machines Corporation$185,8801.53%
JPMorgan Chase and Co.$184,2871.51%
BlackRock Inc.$179,8121.48%
Philip Morris International Inc.$179,4631.48%
Seagate Technology Holdings Public Limited Company$174,6651.44%
The Kraft Heinz Company$174,1741.43%
Omnicom Group Inc.$166,9991.37%
JH COLLATERAL$158,1671.30%
The Home Depot Inc.$153,4161.26%
Oracle Corporation$149,0411.23%
Morgan Stanley$145,0741.19%
Johnson and Johnson$143,2391.18%
Comcast Corporation$136,6701.12%
UnitedHealth Group Incorporated$129,6771.07%
Automatic Data Processing Inc.$118,9170.98%
Eli Lilly and Company$116,3450.96%
Monolithic Power Systems Inc.$102,2950.84%
Garmin Ltd.$76,2500.63%
Kinder Morgan Inc.$71,8050.59%
Emerson Electric Co.$71,4320.59%