JHML Holdings — John Hancock Multifactor Large Cap ETF

All 782 reported holdings of John Hancock Multifactor Large Cap ETF (JHML) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corporation4.02%$47.14M
Apple Inc.3.99%$46.76M
Amazon.com Inc.2.74%$32.08M
Alphabet Inc.2.65%$31.06M
Microsoft Corporation2.51%$29.44M
Broadcom Inc.1.75%$20.52M
Micron Technology Inc.1.62%$18.95M
Meta Platforms Inc.1.57%$18.36M
JPMorgan Chase and Co.1.13%$13.23M
Eli Lilly and Company1.09%$12.73M
Advanced Micro Devices Inc.1.04%$12.18M
Berkshire Hathaway Inc.0.89%$10.47M
Alphabet Inc.0.84%$9.81M
Intel Corporation0.81%$9.51M
Tesla Inc.0.80%$9.37M
Lam Research Corporation0.76%$8.90M
Applied Materials Inc.0.73%$8.56M
Johnson and Johnson0.72%$8.47M
Caterpillar Inc.0.72%$8.43M
Walmart Inc.0.67%$7.84M
Visa Inc.0.63%$7.38M
Exxon Mobil Corporation0.63%$7.36M
KLA Corporation0.60%$7.08M
Marvell Technology Inc.0.58%$6.78M
Cisco Systems Inc.0.56%$6.52M
Western Digital Corporation0.52%$6.04M
Mastercard Incorporated0.49%$5.71M
Seagate Technology Holdings Public Limited Company0.47%$5.54M
Bank of America Corporation0.46%$5.45M
AbbVie Inc.0.45%$5.23M
The Procter and Gamble Company0.44%$5.18M
The Goldman Sachs Group Inc.0.43%$5.09M
UnitedHealth Group Incorporated0.43%$5.00M
Wells Fargo and Company0.43%$4.99M
Costco Wholesale Corporation0.40%$4.67M
General Electric Company0.40%$4.65M
International Business Machines Corporation0.39%$4.60M
Merck and Co. Inc.0.38%$4.48M
Morgan Stanley0.38%$4.47M
Texas Instruments Incorporated0.38%$4.47M
Citigroup Inc.0.37%$4.34M
The Home Depot Inc.0.36%$4.24M
RTX Corporation0.36%$4.21M
The Coca-Cola Company0.35%$4.16M
Amphenol Corporation0.35%$4.06M
Chevron Corporation0.33%$3.86M
Vertiv Holdings Co0.31%$3.62M
QUALCOMM Incorporated0.30%$3.53M
Analog Devices Inc.0.29%$3.40M
Oracle Corporation0.29%$3.39M
Verizon Communications Inc.0.28%$3.29M
Amgen Inc.0.28%$3.27M
Cummins Inc.0.28%$3.23M
Netflix Inc.0.27%$3.16M
Corning Incorporated0.27%$3.15M
Deere and Company0.27%$3.12M
Flex Ltd.0.27%$3.12M
Teradyne Inc.0.26%$3.10M
GE Vernova Inc.0.26%$3.09M
Linde Public Limited Company0.26%$3.07M
American Express Company0.26%$2.99M
Philip Morris International Inc.0.25%$2.93M
United Rentals Inc.0.25%$2.92M
The TJX Companies Inc.0.25%$2.90M
Gilead Sciences Inc.0.25%$2.88M
Palo Alto Networks Inc.0.24%$2.85M
The Bank of New York Mellon Corporation0.24%$2.83M
Union Pacific Corporation0.24%$2.80M
eBay Inc.0.24%$2.79M
Thermo Fisher Scientific Inc.0.24%$2.76M
Eaton Corporation Public Limited Company0.23%$2.75M
Quanta Services Inc.0.22%$2.64M
ConocoPhillips0.22%$2.63M
Trane Technologies Public Limited Company0.22%$2.62M
Entergy Corporation0.22%$2.62M
PepsiCo Inc.0.22%$2.59M
Keysight Technologies Inc.0.22%$2.56M
McDonald's Corporation0.21%$2.52M
The Hartford Insurance Group Inc.0.21%$2.50M
The Travelers Companies Inc.0.21%$2.50M
General Motors Company0.21%$2.45M
Palantir Technologies Inc.0.21%$2.42M
CVS Health Corporation0.21%$2.42M
CrowdStrike Holdings Inc.0.20%$2.40M
Nucor Corporation0.20%$2.38M
Waste Management Inc.0.20%$2.38M
The Allstate Corporation0.20%$2.37M
Parker-Hannifin Corporation0.20%$2.37M
Rockwell Automation Inc.0.20%$2.34M
Arista Networks Inc.0.20%$2.33M
Cardinal Health Inc.0.20%$2.29M
Duke Energy Corporation0.20%$2.29M
The Kroger Co.0.19%$2.28M
CSX Corporation0.19%$2.27M
Bristol-Myers Squibb Company0.19%$2.26M
Newmont Corporation0.19%$2.24M
Target Corporation0.19%$2.24M
Jabil Inc.0.19%$2.24M
ATandT Inc.0.19%$2.23M
Royal Caribbean Cruises Ltd.0.19%$2.22M
Howmet Aerospace Inc.0.19%$2.21M
W.W. Grainger Inc.0.19%$2.20M
State Street Corporation0.19%$2.19M
Abbott Laboratories0.19%$2.19M
Dell Technologies Inc.0.19%$2.19M
Pfizer Inc.0.19%$2.19M
Devon Energy Corporation0.18%$2.16M
Capital One Financial Corporation0.18%$2.15M
Exelon Corporation0.18%$2.15M
Ross Stores Inc.0.18%$2.14M
Fifth Third Bancorp0.18%$2.13M
Cadence Design Systems Inc.0.18%$2.11M
Fortinet Inc.0.18%$2.11M
The Walt Disney Company0.18%$2.10M
AMETEK Inc.0.18%$2.10M
CBRE Group Inc.0.18%$2.10M
Hewlett Packard Enterprise Company0.18%$2.07M
American Electric Power Company Inc.0.18%$2.07M
Microchip Technology Incorporated0.18%$2.05M
Chubb Limited0.17%$2.05M
NXP Semiconductors N.V.0.17%$2.04M
The PNC Financial Services Group Inc.0.17%$2.04M
AppLovin Corporation0.17%$2.00M
Marathon Petroleum Corporation0.17%$2.00M
Datadog Inc.0.17%$1.99M
Norfolk Southern Corporation0.17%$1.99M
Welltower Inc.0.17%$1.98M
Freeport-McMoRan Inc.0.17%$1.98M
Steel Dynamics Inc.0.17%$1.97M
The Charles Schwab Corporation0.17%$1.96M
Ford Motor Company0.17%$1.94M
U.S. Bancorp0.16%$1.93M
Targa Resources Corp.0.16%$1.92M
Booking Holdings Inc.0.16%$1.92M
EOG Resources Inc.0.16%$1.92M
Monolithic Power Systems Inc.0.16%$1.92M
The Southern Company0.16%$1.91M
Corteva Inc.0.16%$1.90M
The Sherwin-Williams Company0.16%$1.90M
Synchrony Financial0.16%$1.88M
Comfort Systems USA Inc.0.16%$1.87M
American International Group Inc.0.16%$1.87M
Emerson Electric Co.0.16%$1.86M
The Williams Companies Inc.0.16%$1.84M
Johnson Controls International Public Limited Company0.16%$1.83M
Lockheed Martin Corporation0.15%$1.81M
SandP Global Inc.0.15%$1.79M
Illinois Tool Works Inc.0.15%$1.78M
Electronic Arts Inc.0.15%$1.78M
Xcel Energy Inc.0.15%$1.75M
Prudential Financial Inc.0.15%$1.74M
Aflac Incorporated0.15%$1.73M
NetApp Inc.0.15%$1.72M
Fastenal Company0.15%$1.72M
General Dynamics Corporation0.15%$1.72M
Carrier Global Corporation0.15%$1.72M
Consolidated Edison Inc.0.15%$1.72M
Cheniere Energy Inc.0.15%$1.71M
Ciena Corporation0.15%$1.71M
NextEra Energy Inc.0.14%$1.70M
Williams-Sonoma Inc.0.14%$1.70M
FedEx Corporation0.14%$1.70M
Lowe`s Companies Inc.0.14%$1.69M
Salesforce Inc.0.14%$1.69M
Elevance Health Inc.0.14%$1.69M
Public Service Enterprise Group Incorporated0.14%$1.68M
Altria Group Inc.0.14%$1.67M
Sandisk Corporation0.14%$1.67M
Warner Bros. Discovery Inc.0.14%$1.65M
Ferguson Enterprises Inc.0.14%$1.65M
PACCAR Inc0.14%$1.64M
Valero Energy Corporation0.14%$1.64M
Danaher Corporation0.14%$1.63M
Westinghouse Air Brake Technologies Corporation0.14%$1.63M
Truist Financial Corporation0.14%$1.63M
Prologis Inc.0.14%$1.62M
Comcast Corporation0.14%$1.61M
The Progressive Corporation0.14%$1.61M
Marriott International Inc.0.14%$1.60M
D.R. Horton Inc.0.14%$1.59M
Moody's Corporation0.14%$1.59M
MetLife Inc.0.14%$1.59M
Intuitive Surgical Inc.0.14%$1.59M
Coherent Corp.0.14%$1.59M
O'Reilly Automotive Inc.0.13%$1.57M
Dominion Energy Inc.0.13%$1.57M
Starbucks Corporation0.13%$1.57M
3M Company0.13%$1.57M
TE Connectivity plc0.13%$1.56M
MandT Bank Corporation0.13%$1.56M
Tapestry Inc.0.13%$1.55M
Phillips 660.13%$1.55M
The Cigna Group0.13%$1.55M
Occidental Petroleum Corporation0.13%$1.54M
T-Mobile US Inc.0.13%$1.53M
Northern Trust Corporation0.13%$1.53M
Humana Inc.0.13%$1.53M
Hilton Worldwide Holdings Inc.0.13%$1.53M
Vertex Pharmaceuticals Incorporated0.13%$1.53M
Regions Financial Corporation0.13%$1.52M
Motorola Solutions Inc.0.13%$1.52M
Robinhood Markets Inc.0.13%$1.51M
BlackRock Inc.0.13%$1.51M
Garmin Ltd.0.13%$1.50M
Uber Technologies Inc.0.13%$1.50M
PulteGroup Inc.0.13%$1.49M
Quest Diagnostics Incorporated0.13%$1.48M
Edison International0.13%$1.47M
TransDigm Group Incorporated0.13%$1.47M
The Boeing Company0.13%$1.47M
Automatic Data Processing Inc.0.12%$1.46M
Arch Capital Group Ltd.0.12%$1.46M
Dover Corporation0.12%$1.44M
ONEOK Inc.0.12%$1.43M
L3Harris Technologies Inc.0.12%$1.43M
Monster Beverage Corporation0.12%$1.43M
Sempra0.12%$1.42M
Stryker Corporation0.12%$1.41M
ON Semiconductor Corporation0.12%$1.40M
Sysco Corporation0.12%$1.40M
Vistra Corp.0.12%$1.40M
Diamondback Energy Inc.0.12%$1.40M
United Parcel Service Inc.0.12%$1.40M
Carnival Corporation Ltd.0.12%$1.39M
Cencora Inc.0.12%$1.39M
Agilent Technologies Inc.0.12%$1.38M
Marsh and McLennan Companies Inc.0.12%$1.37M
Cintas Corporation0.12%$1.37M
Constellation Energy Corporation0.12%$1.36M
Ecolab Inc.0.12%$1.35M
Simon Property Group Inc.0.12%$1.35M
IQVIA Holdings Inc.0.11%$1.34M
Vulcan Materials Company0.11%$1.34M
J.B. Hunt Transport Services Inc.0.11%$1.34M
PGandE Corporation0.11%$1.34M
EMCOR Group Inc.0.11%$1.33M
Northrop Grumman Corporation0.11%$1.33M
Mondelez International Inc.0.11%$1.32M
Citizens Financial Group Inc.0.11%$1.32M
Expedia Group Inc.0.11%$1.32M
Aon Public Limited Company0.11%$1.32M
DTE Energy Company0.11%$1.32M
WEC Energy Group Inc.0.11%$1.31M
Medtronic Public Limited Company0.11%$1.30M
Ameren Corporation0.11%$1.30M
Synopsys Inc.0.11%$1.30M
Equinix Inc.0.11%$1.29M
Snowflake Inc.0.11%$1.29M
Edwards Lifesciences Corporation0.11%$1.29M
PPL Corporation0.11%$1.29M
Martin Marietta Materials Inc.0.11%$1.29M
Colgate-Palmolive Company0.11%$1.28M
Eversource Energy0.11%$1.28M
Ameriprise Financial Inc.0.11%$1.27M
Take-Two Interactive Software Inc.0.11%$1.27M
Intercontinental Exchange Inc.0.11%$1.26M
Baker Hughes Company0.11%$1.26M
Air Products and Chemicals Inc.0.11%$1.25M
CenterPoint Energy Inc.0.11%$1.25M
McKesson Corporation0.11%$1.24M
Republic Services Inc.0.11%$1.24M
Darden Restaurants Inc.0.11%$1.24M
Arthur J. Gallagher and Co.0.11%$1.24M
Labcorp Holdings Inc.0.11%$1.23M
Becton Dickinson and Company0.11%$1.23M
IDEXX Laboratories Inc.0.10%$1.23M
Yum! Brands Inc.0.10%$1.23M
Raymond James Financial Inc.0.10%$1.21M
Loews Corporation0.10%$1.21M
NVR Inc.0.10%$1.21M
Waters Corporation0.10%$1.20M
Nasdaq Inc.0.10%$1.20M
Qnity Electronics Inc.0.10%$1.19M
Omnicom Group Inc.0.10%$1.18M
Archer-Daniels-Midland Company0.10%$1.18M
CME Group Inc.0.10%$1.17M
Ulta Beauty Inc.0.10%$1.16M
Cincinnati Financial Corporation0.10%$1.16M
FirstEnergy Corp.0.10%$1.16M
Digital Realty Trust Inc.0.10%$1.15M
Principal Financial Group Inc.0.10%$1.15M
Accenture Public Limited Company0.10%$1.15M
PPG Industries Inc.0.10%$1.15M
Willis Towers Watson Public Limited Company0.10%$1.15M
Expeditors International of Washington Inc.0.10%$1.14M
Honeywell International Inc.0.10%$1.13M
Huntington Bancshares Incorporated0.10%$1.13M
Markel Group Inc.0.10%$1.12M
Realty Income Corporation0.10%$1.12M
Astera Labs Inc.0.10%$1.12M
Honeywell Aerospace Inc.0.10%$1.12M
Apollo Global Management Inc.0.09%$1.11M
Old Dominion Freight Line Inc.0.09%$1.11M
Dollar Tree Inc.0.09%$1.10M
ResMed Inc.0.09%$1.10M
Kinder Morgan Inc.0.09%$1.09M
Centene Corporation0.09%$1.08M
Hubbell Incorporated0.09%$1.08M
MSCI Inc.0.09%$1.08M
AutoZone Inc.0.09%$1.08M
C.H. Robinson Worldwide Inc.0.09%$1.07M
Ingersoll Rand Inc.0.09%$1.07M
Mettler-Toledo International Inc.0.09%$1.07M
Regeneron Pharmaceuticals Inc.0.09%$1.07M
Biogen Inc.0.09%$1.07M
Cloudflare Inc.0.09%$1.05M
Corpay Inc.0.09%$1.05M
Teledyne Technologies Incorporated0.09%$1.05M
Chipotle Mexican Grill Inc.0.09%$1.05M
Packaging Corporation of America0.09%$1.05M
Best Buy Co. Inc.0.09%$1.04M
F5 Inc.0.09%$1.03M
Adobe Inc.0.09%$1.03M
GE HealthCare Technologies Inc.0.09%$1.02M
Reliance Inc.0.09%$1.01M
Fair Isaac Corporation0.09%$1.01M
Intuit Inc.0.09%$1.01M
Kimberly-Clark Corporation0.09%$1.01M
HCA Healthcare Inc.0.09%$1.01M
EQT Corporation0.09%$997.74K
KeyCorp0.09%$997.07K
Casey's General Stores Inc.0.09%$996.67K
Ventas Inc.0.08%$993.05K
NRG Energy Inc.0.08%$990.87K
Twilio Inc.0.08%$990.80K
CF Industries Holdings Inc.0.08%$988.74K
Verisk Analytics Inc.0.08%$979.52K
T. Rowe Price Group Inc.0.08%$978.19K
Block Inc.0.08%$973.10K
First Citizens BancShares Inc.0.08%$971.73K
State Street Bank and Trust Company0.08%$971.01K
W. R. Berkley Corporation0.08%$968.24K
Evergy Inc.0.08%$962.83K
Xylem Inc.0.08%$958.80K
The Hershey Company0.08%$949.89K
NiSource Inc.0.08%$946.39K
Iron Mountain Incorporated0.08%$945.56K
ServiceNow Inc.0.08%$935.32K
Live Nation Entertainment Inc.0.08%$926.35K
Halliburton Company0.08%$926.09K
CMS Energy Corporation0.08%$920.60K
Entegris Inc.0.08%$916.75K
Snap-on Incorporated0.08%$913.85K
Carlisle Companies Incorporated0.08%$910.87K
Tractor Supply Company0.08%$907.49K
Dollar General Corporation0.08%$906.38K
US Foods Holding Corp.0.08%$902.46K
United Therapeutics Corporation0.08%$900.52K
Boston Scientific Corporation0.08%$897.09K
American Tower Corporation0.08%$896.69K
SLB Ltd0.08%$884.75K
CRH Public Limited Company0.07%$879.43K
Blackstone Inc.0.07%$879.35K
Paychex Inc.0.07%$877.60K
Interactive Brokers Group Inc.0.07%$875.45K
LPL Financial Holdings Inc.0.07%$871.80K
Atmos Energy Corporation0.07%$858.77K
Genuine Parts Company0.07%$852.52K
Public Storage0.07%$846.07K
Church and Dwight Co. Inc.0.07%$843.24K
West Pharmaceutical Services Inc.0.07%$839.34K
Textron Inc.0.07%$836.03K
DoorDash Inc.0.07%$832.23K
Kenvue Inc.0.07%$827.71K
VeriSign Inc.0.07%$826.88K
Ball Corporation0.07%$822.93K
DexCom Inc.0.07%$813.59K
Globe Life Inc.0.07%$804.60K
First Solar Inc.0.07%$804.15K
Owens Corning0.07%$801.48K
Texas Pacific Land Corporation0.07%$795.19K
Ally Financial Inc.0.07%$791.03K
Alnylam Pharmaceuticals Inc.0.07%$788.40K
Otis Worldwide Corporation0.07%$788.67K
Curtiss-Wright Corporation0.07%$786.55K
Akamai Technologies Inc.0.07%$785.39K
Burlington Stores Inc.0.07%$781.86K
Lumentum Holdings Inc.0.07%$779.98K
East West Bancorp Inc.0.07%$773.89K
Cboe Global Markets Inc.0.06%$759.80K
NIKE Inc.0.06%$758.40K
Viatris Inc.0.06%$758.22K
nVent Electric PLC0.06%$754.93K
Dow Inc.0.06%$753.11K
Autodesk Inc.0.06%$751.43K
Alliant Energy Corporation0.06%$750.62K
Delta Air Lines Inc.0.06%$750.78K
STERIS plc0.06%$749.84K
Carvana Co.0.06%$747.45K
American Water Works Company Inc.0.06%$742.77K
Bloom Energy Corporation0.06%$742.22K
KKR and Co. Inc.0.06%$739.93K
XPO Inc.0.06%$739.66K
TechnipFMC plc0.06%$738.78K
Roper Technologies Inc.0.06%$737.35K
Expand Energy Corporation0.06%$738.00K
Lennox International Inc.0.06%$736.24K
Dick's Sporting Goods Inc.0.06%$735.09K
HP Inc.0.06%$730.21K
Equifax Inc.0.06%$728.84K
Extra Space Storage Inc.0.06%$726.06K
CDW Corporation0.06%$719.80K
Fortive Corporation0.06%$719.88K
Credo Technology Group Holding Ltd0.06%$714.96K
Cognizant Technology Solutions Corporation0.06%$706.98K
Jones Lang LaSalle Incorporated0.06%$706.38K
International Paper Company0.06%$703.59K
AvalonBay Communities Inc.0.06%$683.81K
PayPal Holdings Inc.0.06%$680.86K
Woodward Inc.0.06%$679.85K
Incyte Corporation0.06%$679.25K
Masco Corporation0.06%$677.81K
Deckers Outdoor Corporation0.06%$677.65K
Veralto Corp0.06%$674.41K
Tenet Healthcare Corporation0.06%$672.37K
Amcor PLC0.06%$670.10K
VICI Properties Inc.0.06%$666.30K
Allegion plc0.06%$665.50K
FTAI Aviation Ltd.0.06%$660.36K
DuPont de Nemours Inc.0.06%$657.31K
MongoDB Inc.0.06%$657.36K
LyondellBasell Industries N.V.0.06%$657.07K
Constellation Brands Inc.0.06%$653.86K
Zoom Communications Inc.0.06%$649.14K
Bunge Global SA0.06%$648.17K
General Mills Inc.0.06%$646.76K
Pinnacle West Capital Corporation0.06%$644.57K
International Flavors and Fragrances Inc.0.05%$640.34K
Natera Inc.0.05%$637.91K
ATI Inc.0.05%$637.42K
Ralph Lauren Corporation0.05%$634.63K
Gen Digital Inc.0.05%$633.28K
WESCO International Inc.0.05%$631.10K
Ovintiv Inc.0.05%$629.48K
Equity Residential0.05%$628.62K
Rocket Lab Corporation0.05%$627.99K
IDEX Corporation0.05%$625.93K
MasTec Inc.0.05%$625.75K
Zimmer Biomet Holdings Inc.0.05%$624.67K
Crown Holdings Inc.0.05%$621.27K
Aramark0.05%$620.67K
Smurfit Westrock plc0.05%$617.62K
United Airlines Holdings Inc.0.05%$616.99K
Keurig Dr Pepper Inc.0.05%$615.98K
Leidos Holdings Inc.0.05%$614.32K
Axon Enterprise Inc.0.05%$614.99K
Royalty Pharma plc0.05%$611.89K
RPM International Inc.0.05%$608.55K
Everest Group Ltd.0.05%$606.22K
Everpure Inc.0.05%$603.85K
Fox Corporation0.05%$602.50K
Weyerhaeuser Company0.05%$601.64K
Carpenter Technology Corporation0.05%$600.80K
Fidelity National Financial Inc.0.05%$599.78K
Renaissancere Holdings Ltd.0.05%$599.57K
Broadridge Financial Solutions Inc.0.05%$593.27K
Stanley Black and Decker Inc.0.05%$592.30K
Service Corporation International0.05%$592.79K
Builders FirstSource Inc.0.05%$588.51K
Unum Group0.05%$588.79K
Okta Inc.0.05%$585.51K
Lincoln Electric Holdings Inc.0.05%$584.65K
Tyson Foods Inc.0.05%$583.32K
Global Payments Inc.0.05%$580.55K
Lennar Corporation0.05%$578.59K
Fidelity National Information Services Inc.0.05%$577.45K
Reinsurance Group of America Incorporated0.05%$577.13K
Crown Castle Inc.0.05%$568.81K
Brown and Brown Inc.0.05%$564.46K
Veeva Systems Inc.0.05%$563.11K
Airbnb Inc.0.05%$563.24K
HEICO Corporation0.05%$556.05K
Nordson Corporation0.05%$556.32K
Performance Food Group Company0.05%$553.92K
Zoetis Inc.0.05%$552.39K
TD SYNNEX Corporation0.05%$550.19K
Clean Harbors Inc.0.05%$548.50K
Assurant Inc.0.05%$541.09K
Roku Inc.0.05%$538.06K
Moderna Inc.0.05%$536.15K
Universal Health Services Inc.0.05%$530.08K
Hasbro Inc.0.04%$527.67K
Aptiv PLC0.04%$520.81K
Copart Inc.0.04%$518.13K
Revvity Inc.0.04%$515.36K
Neurocrine Biosciences Inc.0.04%$514.71K
SSandC Technologies Holdings Inc.0.04%$515.33K
MACOM Technology Solutions Holdings Inc.0.04%$514.26K
Fiserv Inc.0.04%$511.44K
Albemarle Corporation0.04%$507.31K
The Cooper Companies Inc.0.04%$504.62K
Equitable Holdings Inc.0.04%$504.01K
Zebra Technologies Corporation0.04%$503.62K
SEI Investments Company0.04%$498.37K
Texas Roadhouse Inc.0.04%$498.34K
Avery Dennison Corporation0.04%$493.22K
McCormick and Company Incorporated0.04%$493.46K
ITT Inc.0.04%$490.44K
Illumina Inc.0.04%$489.69K
TransUnion0.04%$488.32K

JHML overview: performance, fees, allocation and SEC filings