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JHEM | John Hancock Multifactor Emerging Markets ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
INFY Infosys Limited 94.05B 6.84%
22.65 0.76% 37.57% 99.46%
A000660 SK HYNIX INC 6.10%
2454 MEDIATEK INC 5.27%
1398 IND + COMM BK OF CHINA H 5.02%
MTN Vail Resorts, Inc. 7.04B 3.64%
187.04 2.01% 40.61% 85.85%
3988 BANK OF CHINA LTD H 3.41%
NPNj NASPERS LTD N SHS 2.68%
A105560 KB FINANCIAL GROUP INC 2.43%
BBCA JPMorgan BetaBuilders Canada ETF 2.29% 71.99 1.42% 9.60% 11.47%
AMX L AMERICA MOVIL SAB DE C SER L 2.20%
2020 ANTA SPORTS PRODUCTS LTD 2.19%
2010 SAUDI BASIC INDUSTRIES CORP 2.11%
JSTL JSW STEEL LTD 2.00%
035420 NAVER CORP 1.88%
A086790 HANA FINANCIAL GROUP 1.82%
ITUB4 ITAU UNIBANCO HOLDING S PREF 1.75%
1288 AGRICULTURAL BANK OF CHINA H 1.75%
175 GEELY AUTOMOBILE HOLDINGS LT 1.66%
2269 WUXI BIOLOGICS CAYMAN INC 1.64%
2007 COUNTRY GARDEN HOLDINGS CO 1.48%
A035720 KAKAO CORP 1.30%
ANG ANGLOGOLD ASHANTI LTD 1.30%
JBSS3 JBS SA 1.27%
2308 DELTA ELECTRONICS INC 1.13%
FEMSA UBD FOMENTO ECONOMICO MEXICA UBD 1.07%
1658 POSTAL SAVINGS BANK OF CHI H 1.06%
UPLL UPL LTD 0.95%
2338 WEICHAI POWER CO LTD H 0.90%
3481 INNOLUX CORP 0.87%
A051900 LG HOUSEHOLD + HEALTH CARE 0.86%
PKN POLSKI KONCERN NAFTOWY ORLEN 0.84%
ADVANC ADVANCED INFO SERVICE NVDR 0.84%
GGBR4 GERDAU SA PREF 0.80%
NVTK NOVATEK PJSC SPONS GDR REG S 0.79%
300750 CONTEMPORARY AMPEREX TECHN A 0.79%
VOD Vodafone Group Public Limited Company 26.34B 0.77%
10.07 -1.61% 31.88% 32.57%
6505 FORMOSA PETROCHEMICAL CORP 0.63%
GCPL GODREJ CONSUMER PRODUCTS LTD 0.62%
7020 ETIHAD ETISALAT CO 0.58%
BRITANNIA BRITANNIA INDUSTRIES LTD 0.55%
GFINBUR O GRUPO FINANCIERO INBURSA O 0.53%
A207940 SAMSUNG BIOLOGICS CO LTD 0.52%
LPP LPP SA 0.52%
6669 WIWYNN CORP 0.51%
011170 LOTTE CHEMICAL CORP 0.50%
BANDHANBNK BANDHAN BANK LTD 0.49%
2359 WUXI APPTEC CO LTD H 0.49%
POLYUS PJSC REG S GDR 0.48%
AMBUJACEM AMBUJA CEMENTS LTD 0.48%
000001 PING AN BANK CO LTD A 0.48%
DMART AVENUE SUPERMARTS LTD 0.47%
LREN3 LOJAS RENNER S.A. 0.47%
ORBIA * ORBIA ADVANCE CORP SAB DE CV 0.46%
CPIN CHAROEN POKPHAND INDONESI PT 0.46%
SBSP3 CIA SANEAMENTO BASICO DE SP 0.45%
1476 ECLAT TEXTILE COMPANY LTD 0.45%
600309 WANHUA CHEMICAL GROUP CO A 0.45%
EICHERMOT EICHER MOTORS LTD 0.44%
2290 YANBU NATIONAL PETROCHEMICAL 0.41%
ICT INTL CONTAINER TERM SVCS INC 0.39%
A000720 HYUNDAI ENGINEERING + CONST 0.39%
HTHT H World Group Limited 9.32B 0.35%
29.50 2.01% 51.46% 48.37%
A090430 AMOREPACIFIC CORP 0.35%
LTI LARSEN + TOUBRO INFOTECH LTD 0.35%
MOTHERSUMI MOTHERSON SUMI SYSTEMS LTD 0.34%
KOF UBL COCA COLA FEMSA SAB DE CV 0.32%
HLBANK HONG LEONG BANK BERHAD 0.31%
CHILE BANCO DE CHILE 0.31%
000725 BOE TECHNOLOGY GROUP CO LT A 0.31%
DIGI DIGI.COM BHD 0.30%
MER MANILA ELECTRIC COMPANY 0.30%
COPEC EMPRESAS COPEC SA 0.28%
RDOR3 REDE D OR SAO LUIZ SA 0.28%
BIMAS BIM BIRLESIK MAGAZALAR AS 0.27%
CLGT COLGATE PALMOLIVE (INDIA) 0.27%
GENM GENTING MALAYSIA BHD 0.27%
VBBR3 VIBRA ENERGIA SA 0.27%
CMIG4 CIA ENERGETICA MINAS GER PRF 0.26%
EMTK ELANG MAHKOTA TEKNOLOGI TBK 0.26%
3993 CHINA MOLYBDENUM CO LTD H 0.25%
SIEMENS SIEMENS LTD 0.25%
A078930 GS HOLDINGS 0.25%
ELEKTRA * GRUPO ELEKTRA SAB DE CV 0.24%
HARTA HARTALEGA HOLDINGS BHD 0.24%
SIME SIME DARBY BERHAD 0.23%
SRF SRF LTD 0.23%
PETDAG PETRONAS DAGANGAN BHD 0.23%
SMGR SEMEN INDONESIA PERSERO TBK 0.23%
1060 SAUDI BRITISH BANK 0.22%
300122 CHONGQING ZHIFEI BIOLOGICA A 0.22%
BRKM5 BRASKEM SA PREF A 0.22%
TOP-R THAI OIL PCL NVDR 0.21%
002352 S F HOLDING CO LTD A 0.21%
168 TSINGTAO BREWERY CO LTD H 0.21%
881 ZHONGSHENG GROUP HOLDINGS 0.19%
PGE PGE SA 0.19%
9626 BILIBILI INC CLASS Z 0.19%
EGCO ELECTRICITY GENERA PCL NVDR 0.19%
ICBP INDOFOOD CBP SUKSES MAKMUR T 0.19%
TOWR SARANA MENARA NUSANTARA PT 0.18%
Total holdings: 140 Recognized Stocks: 7 Recognized ETFs: 1 Others: 132
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