JACFX
Mid Cap Growth Fund
John Hancock Investment Trust

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
67
Top-10 weight
33.61%
Effective holdings ?
46
Crowding ?
665.7

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 VERTIV HOLDINGS CO 237,978 $59.63M 5.20%
2 CLOUDFLARE INC-A 242,882 $50.12M 4.37%
3 HOWMET AEROSPACE INC 187,502 $43.21M 3.77%
4 ROYAL CARIBBEAN 154,596 $42.54M 3.71%
5 NATERA INC 197,719 $39.54M 3.45%
6 CORNING INC 290,055 $39.44M 3.44%
7 AXON ENTERPRISE INC 69,877 $29.68M 2.59%
8 FLEX LTD 428,092 $28.02M 2.44%
9 FTAI AVIATION LTD COMMON STOCK USD1.0 FTAI US 111,196 $27.24M 2.38%
10 ECHOSTAR CORP CL A 227,977 $26.69M 2.33%
11 QUANTA SVCS INC 46,811 $25.70M 2.24%
12 DRAFTKINGS INC 1,179,330 $25.50M 2.22%
13 NRG ENERGY INC 172,653 $25.23M 2.20%
14 CELESTICA INC SUB VTG 87,126 $24.54M 2.14%
15 DATADOG INC CL A 187,522 $22.14M 1.93%
16 TRIMBLE INC 333,359 $21.75M 1.90%
17 ENSIGN GROUP INC 107,242 $21.61M 1.88%
18 TARGA RESOURCES CORP 86,047 $21.57M 1.88%
19 REDDIT INC-A 153,388 $20.65M 1.80%
20 SAMSARA INC-CL A 627,556 $19.89M 1.73%
21 On Holding AG 565,050 $19.22M 1.68%
22 MARRIOTT INTL-A 58,589 $19.16M 1.67%
23 VEEVA SYSTEMS-A 107,902 $18.95M 1.65%
24 EVERCORE INC A 60,252 $17.99M 1.57%
25 ARITZIA INC-SUB 216,885 $17.70M 1.54%
26 OLLIES BARGAIN OUTLET HOLDINGS INC 187,794 $17.28M 1.51%
27 DOORDASH INC-A 113,857 $17.10M 1.49%
28 CARVANA CO CL A 52,995 $16.66M 1.45%
29 GUIDEWIRE SOFTWARE INC 109,741 $16.41M 1.43%
30 LIFE TIME GROUP HOLDINGS INC 586,440 $15.80M 1.38%
31 ILLUMINA INC 125,873 $15.52M 1.35%
32 LIBERTY MEDIA CORP LIBERTY FORMULA ONE CL C 167,315 $14.23M 1.24%
33 FIVE BELOW INC 61,508 $14.05M 1.23%
34 ROBLOX CORP - A 246,240 $13.93M 1.21%
35 TRADEWEB MARKETS INC A 116,810 $13.74M 1.20%
36 SANDISK CORPORATION 21,525 $13.68M 1.19%
37 SSC GOVERNMENT MM GVMXX / 7839989D1010 13,605,226 $13.61M 1.19%
38 MKS INSTRUMENTS INC 59,020 $13.56M 1.18%
39 CLEAN HARBORS INC 46,870 $13.44M 1.17%
40 CAMECO CORP 119,338 $12.96M 1.13%
41 KRATOS DEFENSE and SEC SOLTN INC 182,914 $12.90M 1.12%
42 CARPENTER TECHNOLOGY CORP 31,979 $12.60M 1.10%
43 ARGENX SE SPONSORED ADR 16,875 $12.32M 1.07%
44 CH ROBINSON WORLDWIDE INC 73,686 $12.24M 1.07%
45 UNITED THERAPEUTICS CORP DEL 20,537 $12.18M 1.06%
46 MEDPACE HOLDINGS INC 25,066 $12.04M 1.05%
47 KKR & CO INC 127,930 $11.83M 1.03%
48 EXPEDIA INC 47,544 $10.98M 0.96%
49 AST SPACEMOBILE INC 129,610 $10.74M 0.94%
50 Amer Sports Inc. COM SHS AS US 317,973 $10.47M 0.91%
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