JHSGX Holdings — John Hancock U.S. Growth Fund

All 49 reported holdings of John Hancock U.S. Growth Fund (JHSGX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corporation12.59%$427.03M
Alphabet Inc.9.01%$305.54M
Apple Inc.5.18%$175.81M
Broadcom Inc.4.76%$161.41M
KLA Corporation4.45%$150.94M
Eli Lilly and Company3.93%$133.40M
Tesla Inc.3.65%$123.89M
Advanced Micro Devices Inc.3.55%$120.26M
Micron Technology Inc.3.18%$107.89M
Microsoft Corporation3.05%$103.35M
Mastercard Incorporated2.75%$93.11M
Amazon.com Inc.2.25%$76.24M
Corning Incorporated2.09%$70.95M
Sandisk Corporation2.07%$70.15M
Flex Ltd.1.95%$66.28M
Meta Platforms Inc.1.79%$60.57M
Jabil Inc.1.56%$52.89M
Simon Property Group Inc.1.50%$50.83M
Arista Networks Inc.1.50%$50.73M
Viking Holdings Ltd1.41%$47.67M
Welltower Inc.1.35%$45.66M
Philip Morris International Inc.1.31%$44.36M
Booking Holdings Inc.1.31%$44.28M
Merck and Co. Inc.1.29%$43.85M
Parker-Hannifin Corporation1.29%$43.65M
Cadence Design Systems Inc.1.25%$42.41M
Starbucks Corporation1.25%$42.33M
Keysight Technologies Inc.1.23%$41.56M
Targa Resources Corp.1.19%$40.37M
Elevance Health Inc.1.12%$38.04M
L3Harris Technologies Inc.1.08%$36.77M
Monster Beverage Corporation1.07%$36.42M
Interactive Brokers Group Inc.1.07%$36.23M
FTAI Aviation Ltd.1.00%$34.01M
Freeport-McMoRan Inc.0.97%$33.06M
C.H. Robinson Worldwide Inc.0.97%$32.77M
Waters Corporation0.93%$31.47M
Microchip Technology Incorporated0.91%$30.94M
PACCAR Inc0.84%$28.52M
Dell Technologies Inc.0.83%$28.10M
US Foods Holding Corp.0.79%$26.89M
Five Below Inc.0.71%$24.11M
Axon Enterprise Inc.0.70%$23.83M
Cameco Corporation0.68%$22.98M
Veeva Systems Inc.0.66%$22.41M
Illumina Inc.0.61%$20.60M
United Therapeutics Corporation0.57%$19.19M
EchoStar Corporation0.55%$18.75M
State Street Bank and Trust Company0.22%$7.37M

JHSGX overview: performance, fees, allocation and SEC filings