JCCAX
Small Cap Core Fund
John Hancock Investment Trust

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
77
Top-10 weight
18.82%
Effective holdings ?
71
Crowding ?
422.3

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 SOUTHSTATE BANK CORP 434,005 $44.41M 2.27%
2 CULLEN FROST BANKERS INC 278,216 $38.34M 1.96%
3 TIMKEN CO 406,663 $37.90M 1.93%
4 BANNER CORPORATI 595,978 $36.86M 1.88%
5 KULICKE and SOFFA INDUSTRIES INC 641,000 $36.75M 1.88%
6 MASTEC INC 149,637 $35.98M 1.84%
7 MKS INSTRUMENTS INC 151,823 $35.74M 1.82%
8 REGAL REXNORD CORP 218,985 $35.37M 1.81%
9 EVERCORE INC A 96,762 $34.18M 1.75%
10 ALKAMI TECHNOLOGY INC 1,555,371 $32.96M 1.68%
11 CRANE CO 179,820 $32.84M 1.68%
12 LIFE TIME GROUP HOLDINGS INC 1,120,990 $32.70M 1.67%
13 AVIENT CORP 899,003 $32.50M 1.66%
14 ATMUS FILTRATION TECHNOLOGIES INC 556,214 $32.24M 1.65%
15 OLD NATL BANCORP 1,316,878 $32.17M 1.64%
16 MADISON SQUARE GARDEN SPORTS CORP 113,244 $32.11M 1.64%
17 JH COLLATERAL 3,157,533 $31.59M 1.61%
18 PROGRESS SOFTWARE CORP 749,821 $30.68M 1.57%
19 EASTGROUP PROP 166,913 $30.32M 1.55%
20 ADEIA INC 1,673,788 $30.28M 1.55%
21 FIRST INDUSTRIAL REALTY TRUST 521,011 $30.23M 1.54%
22 KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 538,891 $29.69M 1.52%
23 MISTER CAR WASH INC 5,272,859 $29.26M 1.49%
24 UNIVEST FINANCIAL CORP 880,849 $29.19M 1.49%
25 MOELIS & CO-CL A 406,357 $29.12M 1.49%
26 Q2 HOLDINGS INC 475,127 $29.10M 1.49%
27 INTEGER HOLDINGS CORP 327,123 $28.41M 1.45%
28 SMITH (AO) CORP 380,194 $27.94M 1.43%
29 TENABLE HOLDINGS INC 1,263,110 $27.86M 1.42%
30 LITHIA MOTORS INC CL A 85,385 $27.62M 1.41%
31 CENTRAL GARDEN and PET CO CL A 889,691 $27.29M 1.39%
32 FIRST WATCH RESTAURANT GROUP INC 1,684,679 $26.94M 1.38%
33 MAGNOLIA OIL and GAS CORPO CL A 1,039,738 $26.52M 1.35%
34 AMBARELLA INC 413,213 $26.46M 1.35%
35 VEECO INSTRUMENT 841,296 $26.27M 1.34%
36 OPTION CARE HEALTH INC 770,104 $26.18M 1.34%
37 Genius Sports Ltd. COM NPV GENI US 3,002,005 $26.12M 1.33%
38 CONCENTRA GROUP HOLDINGS PARENT INC 1,168,324 $25.91M 1.32%
39 ARCOSA INC 224,658 $25.72M 1.31%
40 SYNAPTICS INC 304,849 $25.15M 1.28%
41 PRESTIGE CONSUMER HEALTHCARE INC 387,456 $24.98M 1.28%
42 BRAZE INC-A 1,182,552 $24.62M 1.26%
43 GENERAC HOLDINGS INC 146,129 $24.56M 1.25%
44 BELLRING BRANDS INC 983,028 $24.45M 1.25%
45 BIO RAD LABS CL A 82,725 $24.30M 1.24%
46 GREEN BRICK PARTNERS INC 347,861 $24.14M 1.23%
47 SIMPSON MFG 134,668 $23.81M 1.22%
48 TORO CO 259,912 $23.78M 1.21%
49 ADV ENERGY INDS 92,673 $23.66M 1.21%
50 VICOR CORPORATION 147,237 $23.21M 1.19%
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