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JHMM | John Hancock Multifactor Mid Cap ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
COG Cabot Oil & Gas Corporation 1.89%
COLD Americold Realty Trust, Inc. 6.34B 1.89%
22.29 4.16% 37.38% 45.62%
ESTC Elastic N.V. 10.40B 1.89%
100.36 -0.03% 41.82% 13.02%
GH Guardant Health, Inc. 5.58B 1.89%
45.13 23.10% 59.19% 18.75%
SF Stifel Financial Corp. 11.90B 1.89%
116.23 2.06% 27.68% 24.81%
ACC American Campus Communities, Inc. 1.65%
AIRC Apartment Income REIT Corp. 1.65%
AMG Affiliated Managers Group, Inc. 5.70B 1.65%
188.73 0.93% 33.18% 71.10%
APO Apollo Global Management, Inc. 95.76B 1.65%
169.24 1.35% 37.67% 45.69%
ARES Ares Management Corporation 38.63B 1.65%
194.72 1.78% 30.39% 48.22%
ARWR Arrowhead Pharmaceuticals, Inc. 2.46B 1.65%
19.76 1.02% 48.52% 33.92%
BJ BJ's Wholesale Club Holdings, Inc. 12.88B 1.65%
97.50 2.58% 29.57% 22.30%
COHR Coherent, Inc. 15.96B 1.65%
103.20 5.00% 66.59% 54.79%
DKNG DraftKings Inc. 20.24B 1.65%
41.51 5.65% 50.56% 41.46%
ERIE Erie Indemnity Company 17.60B 1.65%
381.07 -6.04% 28.21% 34.79%
FR First Industrial Realty Trust, Inc. 7.04B 1.65%
53.20 4.77% 72.95% 60.75%
IART Integra LifeSciences Holdings Corporatio... 1.94B 1.65%
25.12 4.23% 60.02% 40.06%
IONS Ionis Pharmaceuticals, Inc. 5.16B 1.65%
32.68 3.98% 47.94% 47.62%
LSCC Lattice Semiconductor Corporation 8.16B 1.65%
59.12 1.37% 54.64% 34.52%
LYFT Lyft, Inc. 5.55B 1.65%
13.67 1.94% 84.97% 75.50%
MAT Mattel, Inc. 6.06B 1.65%
18.00 0.39% 36.97% 55.74%
NTRA Natera, Inc. 22.11B 1.65%
167.46 5.75% 47.13% 21.76%
PLNT Planet Fitness, Inc. 9.10B 1.65%
108.05 3.44% 26.86% 13.67%
REXR Rexford Industrial Realty, Inc. 9.03B 1.65%
40.59 4.08% 34.64% 28.39%
SC Santander Consumer USA Holdings Inc. 1.65%
SNV Synovus Financial Corp. 7.84B 1.65%
55.35 1.36% 29.91% 0.65%
TXG 10x Genomics, Inc. 1.96B 1.65%
16.16 7.16% 87.24% 49.13%
VMEO Vimeo, Inc. 1.05B 1.65%
6.35 1.44% 104.52% 47.79%
APPS Digital Turbine, Inc. 224.05M 1.42%
2.1600 8.00% 128.69% 61.25%
BL BlackLine, Inc. 3.82B 1.42%
61.20 2.60% 36.26% 25.63%
BYND Beyond Meat, Inc. 260.81M 1.42%
4.00 -1.96% 99.35% 33.38%
COLM Columbia Sportswear Company 4.99B 1.42%
87.23 4.32% 36.76% 43.86%
COR Cencora 47.37B 1.42%
245.07 1.25% 23.86% 65.32%
DEI Douglas Emmett, Inc. 2.96B 1.42%
17.67 0.97% 37.70% 21.45%
DT Dynatrace, Inc. 15.89B 1.42%
53.22 3.74% 43.56% 38.27%
EGP EastGroup Properties, Inc. 8.41B 1.42%
169.80 5.20% 23.30% 77.54%
FOX Fox Corporation 21.36B 1.42%
45.64 -0.04% 34.72% 40.16%
FOXF Fox Factory Holding Corp. 1.22B 1.42%
29.33 2.48% 51.47% 30.52%
FSLY Fastly, Inc. 1.35B 1.42%
9.60 3.34% 81.86% 34.99%
GME GameStop Corp. 12.27B 1.42%
27.47 -0.15% 78.40% 8.23%
HAE Haemonetics Corporation 3.78B 1.42%
75.24 2.38% 57.13% 70.56%
HALO Halozyme Therapeutics, Inc. 7.12B 1.42%
55.94 2.08% 36.82% 16.72%
HTA Healthcare Trust of America, Inc. 1.42%
MRTX Mirati Therapeutics, Inc. 1.42%
NEO NeoGenomics, Inc. 1.82B 1.42%
14.18 -0.21% 52.13% 33.92%
NTNX Nutanix, Inc. 17.53B 1.42%
65.44 0.46% 35.35% 15.78%
QTWO Q2 Holdings, Inc. 5.76B 1.42%
95.35 1.53% 42.07% 28.69%
RARE Ultragenyx Pharmaceutical Inc. 3.81B 1.42%
41.28 3.20% 76.41% 39.63%
RCM R1 RCM Inc. 1.42%
UAL United Airlines Holdings, Inc. 36.35B 1.42%
110.52 2.92% 53.79% 79.79%
WMS Advanced Drainage Systems, Inc. 9.71B 1.42%
125.25 -0.19% 45.91% 56.06%
BEPC Brookfield Renewable Corporation 3.67B 1.18%
25.32 -0.12% 42.30% 59.93%
CHH Choice Hotels International, Inc. 6.76B 1.18%
144.08 1.65% 31.02% 49.11%
CLF Cleveland-Cliffs Inc. 4.98B 1.18%
10.09 -1.75% 63.47% 61.84%
DISCA Discovery, Inc. 1.18%
DNLI Denali Therapeutics Inc. 3.32B 1.18%
23.04 5.06% 123.33% 4.46%
FCNCA First Citizens BancShares, Inc. 30.82B 1.18%
2,231.14 1.93% 37.50% 74.25%
FRPT Freshpet, Inc. 7.59B 1.18%
156.30 -0.42% 30.70% 12.23%
PEGA Pegasystems Inc. 9.07B 1.18%
105.79 2.42% 54.38% 56.28%
PLAN Anaplan, Inc. 1.18%
PNFP Pinnacle Financial Partners, Inc. 9.29B 1.18%
120.22 0.26% 28.40% 1.47%
PPD PPD, Inc. 1.18%
PSTG Pure Storage, Inc. 22.86B 1.18%
70.08 5.70% 44.03% 22.37%
RDFN Redfin Corporation 967.04M 1.18%
7.80 1.43% 75.66% 14.49%
TNDM Tandem Diabetes Care, Inc. 2.32B 1.18%
35.30 0.43% 66.28% 16.56%
TNET TriNet Group, Inc. 4.65B 1.18%
93.73 3.72% 40.53% 62.60%
WSC WillScot Mobile Mini Holdings Corp. 7.13B 1.18%
38.57 5.27% 39.69% 45.27%
XEC Cimarex Energy Co. 1.18%
Total holdings: 68 Recognized Stocks: 57 Others: 11
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