Skip to main content

JHML · John Hancock Multifactor Large Cap ETF ETF

John Hancock Exchange-Traded Fund Trust

SEC fund profile
$90.98 -0.24% At close · Sep 4
Net assets $1,172,883,183
Holdings782
1 month
-0.76%
Year to date
+14.45%
52-week range
$75.90–$92.58
30-session avg volume
29,505

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000050077
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings23.04%

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

Asset allocation

EC99.89%
STIV0.11%

Country allocation

US97.60%
IE1.05%
GB0.40%
CH0.37%
BM0.26%
NL0.17%
SE0.04%
Other0.10%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
NVIDIA Corporation$47,142,6054.02%
Apple Inc.$46,756,8143.99%
Amazon.com Inc.$32,084,6162.74%
Alphabet Inc.$31,056,5252.65%
Microsoft Corporation$29,437,2462.51%
Broadcom Inc.$20,515,9801.75%
Micron Technology Inc.$18,949,9791.62%
Meta Platforms Inc.$18,364,9441.57%
JPMorgan Chase and Co.$13,229,6971.13%
Eli Lilly and Company$12,728,3511.09%
Advanced Micro Devices Inc.$12,175,8741.04%
Berkshire Hathaway Inc.$10,471,1610.89%
Alphabet Inc.$9,807,3810.84%
Intel Corporation$9,507,9650.81%
Tesla Inc.$9,365,9210.80%
Lam Research Corporation$8,896,6980.76%
Applied Materials Inc.$8,561,0430.73%
Johnson and Johnson$8,471,4230.72%
Caterpillar Inc.$8,431,8780.72%
Walmart Inc.$7,836,5730.67%
Visa Inc.$7,384,6690.63%
Exxon Mobil Corporation$7,362,6450.63%
KLA Corporation$7,081,1340.60%
Marvell Technology Inc.$6,778,7850.58%
Cisco Systems Inc.$6,519,9700.56%
Western Digital Corporation$6,040,3750.52%
Mastercard Incorporated$5,709,1780.49%
Seagate Technology Holdings Public Limited Company$5,537,1700.47%
Bank of America Corporation$5,451,5620.46%
AbbVie Inc.$5,229,3310.45%
The Procter and Gamble Company$5,182,5510.44%
The Goldman Sachs Group Inc.$5,089,2140.43%
UnitedHealth Group Incorporated$4,999,1980.43%
Wells Fargo and Company$4,992,0340.43%
Costco Wholesale Corporation$4,666,1240.40%
General Electric Company$4,650,6960.40%
International Business Machines Corporation$4,598,6270.39%
Merck and Co. Inc.$4,484,1360.38%
Morgan Stanley$4,473,8740.38%
Texas Instruments Incorporated$4,466,8770.38%
Citigroup Inc.$4,342,6790.37%
The Home Depot Inc.$4,240,2720.36%
RTX Corporation$4,206,5040.36%
The Coca-Cola Company$4,161,5120.35%
Amphenol Corporation$4,061,8840.35%
Chevron Corporation$3,861,2130.33%
Vertiv Holdings Co$3,623,0870.31%
QUALCOMM Incorporated$3,533,7390.30%
Analog Devices Inc.$3,404,9380.29%
Oracle Corporation$3,389,8480.29%