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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. 8.14B 1.89%
28.63 -1.34% 32.64% 41.12%
ESTC Elastic N.V. 7.79B 1.89%
75.80 0.74% 44.18% 14.33%
GH Guardant Health, Inc. 3.12B 1.89%
25.38 -5.26% 68.14% 37.05%
SF Stifel Financial Corp. 9.10B 1.89%
88.77 3.47% 27.98% 30.77%
ACC American Campus Communities, Inc. 1.65%
AIRC Apartment Income REIT Corp. 1.65%
AMG Affiliated Managers Group, Inc. 5.18B 1.65%
173.82 2.69% 23.98% 52.53%
APO Apollo Global Management, Inc. 66.73B 1.65%
117.16 2.42% 33.13% 37.18%
ARES Ares Management Corporation 29.31B 1.65%
149.39 1.99% 32.17% 45.33%
ARWR Arrowhead Pharmaceuticals, Inc. 2.54B 1.65%
20.45 -4.84% 37.98% 49.82%
BJ BJ's Wholesale Club Holdings, Inc. 10.68B 1.65%
80.57 -1.10% 27.68% 15.72%
COHR Coherent, Inc. 11.54B 1.65%
75.25 -3.50% 51.09% 25.25%
DKNG DraftKings Inc. 18.57B 1.65%
38.24 1.16% 50.23% 25.42%
ERIE Erie Indemnity Company 24.38B 1.65%
527.90 1.33% 29.32% 56.36%
FR First Industrial Realty Trust, Inc. 7.50B 1.65%
56.67 0.59% 43.34% 36.47%
IART Integra LifeSciences Holdings Corporatio... 1.34B 1.65%
17.32 -0.86% 195.33% 39.30%
IONS Ionis Pharmaceuticals, Inc. 6.42B 1.65%
40.70 -3.53% 33.72% 36.42%
LSCC Lattice Semiconductor Corporation 6.93B 1.65%
50.31 12.32% 57.54% 42.77%
LYFT Lyft, Inc. 4.61B 1.65%
11.68 2.91% 72.27% 30.55%
MAT Mattel, Inc. 6.46B 1.65%
19.02 0.05% 37.12% 41.96%
NTRA Natera, Inc. 16.04B 1.65%
129.67 2.50% 40.50% 24.43%
PLNT Planet Fitness, Inc. 7.00B 1.65%
82.78 0.47% 27.92% 17.82%
REXR Rexford Industrial Realty, Inc. 11.25B 1.65%
51.23 1.27% 35.12% 48.00%
SC Santander Consumer USA Holdings Inc. 1.65%
SNV Synovus Financial Corp. 6.45B 1.65%
44.79 0.38% 40.50% 40.81%
TXG 10x Genomics, Inc. 2.59B 1.65%
21.52 -3.80% 58.64% 30.73%
VMEO Vimeo, Inc. 840.59M 1.65%
5.07 -2.87% 43.82% 10.27%
APPS Digital Turbine, Inc. 300.11M 1.42%
2.9200 -0.68% 110.43% 50.58%
BL BlackLine, Inc. 3.11B 1.42%
50.06 0.10% 38.74% 29.51%
BYND Beyond Meat, Inc. 399.99M 1.42%
6.15 -1.76% 218.72% 67.50%
COLM Columbia Sportswear Company 4.88B 1.42%
83.32 0.79% 32.17% 23.23%
COR Cencora 47.54B 1.42%
241.24 0.57% 21.66% 55.07%
DEI Douglas Emmett, Inc. 2.83B 1.42%
16.91 0.65% 35.69% 5.45%
DT Dynatrace, Inc. 15.36B 1.42%
51.55 1.60% 26.33% 17.21%
EGP EastGroup Properties, Inc. 9.27B 1.42%
190.26 1.47% 16.92% 42.56%
FOX Fox Corporation 17.57B 1.42%
36.77 -0.03% 40.02% 55.83%
FOXF Fox Factory Holding Corp. 1.66B 1.42%
39.71 0.81% 56.21% 32.71%
FSLY Fastly, Inc. 963.27M 1.42%
6.95 3.73% 94.31% 24.25%
GME GameStop Corp. 8.57B 1.42%
20.09 -2.71% 88.45% 8.04%
HAE Haemonetics Corporation 3.93B 1.42%
76.72 0.83% 39.38% 26.35%
HALO Halozyme Therapeutics, Inc. 7.97B 1.42%
62.91 0.98% 37.89% 24.65%
HTA Healthcare Trust of America, Inc. 1.42%
MRTX Mirati Therapeutics, Inc. 1.42%
NEO NeoGenomics, Inc. 2.09B 1.42%
16.33 -0.43% 55.57% 10.81%
NTNX Nutanix, Inc. 14.63B 1.42%
59.33 0.46% 33.62% 14.71%
QTWO Q2 Holdings, Inc. 4.50B 1.42%
74.61 -0.25% 39.85% 11.45%
RARE Ultragenyx Pharmaceutical Inc. 5.47B 1.42%
59.36 1.06% 58.24% 28.80%
RCM R1 RCM Inc. 5.99B 1.42%
14.18 0.42% 24.03% 0.57%
UAL United Airlines Holdings, Inc. 16.88B 1.42%
51.34 2.23% 45.29% 59.56%
WMS Advanced Drainage Systems, Inc. 11.51B 1.42%
148.42 0.57% 40.08% 40.28%
BEPC Brookfield Renewable Corporation 5.46B 1.18%
30.37 1.23% 42.00% 45.15%
CHH Choice Hotels International, Inc. 5.92B 1.18%
125.30 0.17% 21.22% 41.96%
CLF Cleveland-Cliffs Inc. 5.50B 1.18%
11.75 -1.34% 72.45% 93.53%
DISCA Discovery, Inc. 1.18%
DNLI Denali Therapeutics Inc. 4.34B 1.18%
30.33 -1.43% 64.76% 39.75%
FCNCA First Citizens BancShares, Inc. 26.89B 1.18%
1,871.32 2.11% 28.59% 39.98%
FRPT Freshpet, Inc. 6.82B 1.18%
140.62 0.52% 38.90% 28.39%
PEGA Pegasystems Inc. 5.76B 1.18%
67.44 0.22% 33.83% 8.99%
PLAN Anaplan, Inc. 1.18%
PNFP Pinnacle Financial Partners, Inc. 7.37B 1.18%
95.38 0.50% 40.81% 42.13%
PPD PPD, Inc. 1.18%
PSTG Pure Storage, Inc. 16.25B 1.18%
49.58 1.39% 42.04% 31.56%
RDFN Redfin Corporation 1.66B 1.18%
13.64 -5.61% 103.31% 62.54%
TNDM Tandem Diabetes Care, Inc. 2.80B 1.18%
42.70 -2.89% 74.08% 24.82%
TNET TriNet Group, Inc. 4.87B 1.18%
97.98 0.13% 31.69% 51.63%
WSC WillScot Mobile Mini Holdings Corp. 7.43B 1.18%
39.40 0.61% 40.02% 43.09%
XEC Cimarex Energy Co. 1.18%
Total holdings: 68 Recognized Stocks: 58 Others: 10
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