JOHN HANCOCK EXCHANGE TRADED - MULTIFACTOR MI (JHMM)

Historical Portfolio Holders from Q3 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / MULTIFACTOR MI
Shares, excl. options Q1 2024
43.5 M
Holdings value Q1 2024
$2.49 B
Value change Q1 2024
-$288 M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
210
Number of buys Q1 2024
102
Number of sells Q1 2024
-86
Average buys Q1 2024 %
+0.003%
Average sells Q1 2024 %
-0.001%
CUSIP
47804J206
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 43.5 M $2.49 B -$288 M $57.38 210
2023 Q4 48.5 M $2.54 B +$125 M $52.66 209
2023 Q3 45.9 M $2.18 B +$144 M $47.32 189
2023 Q2 42.7 M $2.12 B +$97 M $49.69 186
2023 Q1 43.4 M $2.07 B +$40.4 M $47.88 178
2022 Q4 41.1 M $1.92 B +$176 M $46.54 172
2022 Q3 38.5 M $1.64 B +$58.6 M $42.60 162
2022 Q2 36.8 M $1.63 B +$48.5 M $44.18 145
2022 Q1 35.3 M $1.85 B +$59.9 M $52.55 156
2021 Q4 34.5 M $1.92 B +$93.8 M $55.59 146
2021 Q3 32.1 M $1.66 B +$30.3 M $51.65 134
2021 Q2 31.4 M $1.63 B +$86.5 M $51.84 119
2021 Q1 29.8 M $1.46 B -$144 M $49.13 110
2020 Q4 30.2 M $1.36 B +$32.7 M $44.97 100
2020 Q3 30.7 M $1.16 B +$4.95 M $37.62 91
2020 Q2 30.6 M $1.07 B -$14 M $35.12 89
2020 Q1 30.8 M $875 M -$48.8 M $28.41 89
2019 Q4 31.8 M $1.25 B +$72.4 M $39.16 92
2019 Q3 29.4 M $1.08 B +$194 M $36.82 76
2019 Q2 24.3 M $888 M +$102 M $36.50 63
2019 Q1 21.5 M $757 M +$138 M $35.14 66
2018 Q4 17.6 M $537 M +$225 M $30.44 56
2018 Q3 10.1 M $370 M +$58.6 M $36.50 53
2018 Q2 8.54 M $297 M +$46.1 M $34.84 49
2018 Q1 7.21 M $247 M +$29.8 M $34.29 40
2017 Q4 6.37 M $217 M +$23.2 M $34.11 37
2017 Q3 5.24 M $169 M +$5.39 M $32.28 29
2017 Q2 5.07 M $158 M +$19.8 M $31.15 24
2017 Q1 4.44 M $135 M +$3.3 M $30.43 23
2016 Q4 4.33 M $124 M -$9.74 M $28.70 15
2016 Q3 4.66 M $129 M +$103 M $27.76 9
2016 Q2 962 K $25.4 M -$971 K $26.36 8
2016 Q1 999 K $26 M +$912 K $25.97 7
2015 Q4 963 K $24.6 M +$17.2 M $25.58 6
2015 Q3 291 K $7.16 M +$7.16 M $24.65 3