JFLGX
Fundamental All Cap Core Trust
John Hancock Variable Insurance Trust

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
BROADCOM INC 0 100,130 100,130 1.35% $30.99M
ALNYLAM PHARMACEUTICALS INC 0 73,947 73,947 1.07% $24.47M
VULCAN MATERIALS CO 0 85,457 85,457 1.01% $23.27M
TRANSDIGM GROUP INC 0 19,841 19,841 1.00% $22.99M
WATERS CORP 0 17,743 17,743 0.23% $5.28M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
HOLOGIC INC 1,135,905 0 -1,135,905 0.00% -$84.61M
MORGAN STANLEY 164,184 0 -164,184 0.00% -$29.15M
SAMSUNG ELECTRONICS CO LTD COMMON STOCK KRW100.0 326,592 0 -326,592 0.00% -$27.37M
ANALOG DEVICES INC 93,271 0 -93,271 0.00% -$25.30M
AVANTOR INC 1,805,469 0 -1,805,469 0.00% -$20.69M
ORACLE CORP 94,683 0 -94,683 0.00% -$18.45M
DIAGEO PLC-SPONSORED ADR DEPOSITARY RECEIPT 154,170 0 -154,170 0.00% -$13.30M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
MICROSOFT CORP 348,255 424,623 76,368 6.85% -$11.24M
TAIWAN SEMIC MFG CO LTD SP ADR 189,285 268,601 79,316 3.96% $33.25M
KKR & CO INC 762,552 903,169 140,617 3.64% -$13.67M
META PLATFORMS INC CL A 88,757 129,521 40,764 3.23% $15.52M
ROPER TECHNOLOGIES INC 80,584 201,283 120,699 3.10% $35.36M
SALESFORCE INC 253,253 313,959 60,706 2.55% -$8.48M
LIBERTY MEDIA CORP LIBERTY FORMULA ONE CL C 377,382 500,636 123,254 1.85% $5.39M
JH COLLATERAL 3,434,506 3,747,075 312,569 1.63% $3.12M
ADOBE INC 117,806 152,705 34,899 1.62% -$4.11M
VAIL RESORTS INC 207,409 284,602 77,193 1.59% $8.98M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
AMAZON.COM INC 864,031 853,361 -10,670 7.75% -$21.71M
ALPHABET INC CL A 593,609 494,375 -99,234 6.20% -$43.64M
CHENIERE ENERGY INC 403,486 364,612 -38,874 4.51% $25.03M
NVIDIA CORP 535,289 520,516 -14,773 3.96% -$9.05M
LENNAR CORP CL A 748,278 736,724 -11,554 2.79% -$12.95M
ELEVANCE HEALTH INC 201,344 195,787 -5,557 2.50% -$13.26M
REGAL REXNORD CORP 303,458 295,083 -8,375 2.41% $12.68M
MCKESSON CORP 56,960 55,389 -1,571 2.09% $1.21M
THERMO FISHER SCIENTIFIC INC 115,270 92,861 -22,409 1.99% -$21.15M
UNITED RENTALS INC 58,978 57,351 -1,627 1.82% -$5.95M
GROUP 1 AUTOMOTIVE INC 129,558 125,983 -3,575 1.82% -$9.30M
WORKDAY INC CL A 322,623 313,720 -8,903 1.78% -$28.53M
APPLE INC 191,829 149,013 -42,816 1.65% -$14.33M
ZIMMER BIOMET HO 398,646 393,723 -4,923 1.55% -$245.81K
POST HOLDINGS INC 363,111 353,089 -10,022 1.52% -$1.06M
CARMAX INC 846,784 823,412 -23,372 1.49% $1.52M
UNITEDHEALTH GRP 128,577 125,029 -3,548 1.47% -$8.61M
FIRST HAWAIIAN INC 2,064,337 1,372,853 -691,484 1.47% -$18.40M
S&P GLOBAL INC 77,699 76,740 -959 1.42% -$7.96M
ELANCO ANIMAL HEALTH INC 1,399,679 1,361,048 -38,631 1.42% $895.14K
FORTIVE CORP 586,554 570,366 -16,188 1.37% -$853.81K
CROWN CASTLE INC 398,338 387,344 -10,994 1.37% -$3.91M
TEXAS INSTRUMENTS INC 163,553 159,040 -4,513 1.35% $2.50M
AMERICAN TOWER CORP 199,185 157,324 -41,861 1.18% -$7.82M
MILLROSE PROPERTIES INC 902,198 877,298 -24,900 1.07% -$2.38M
GE HEALTHCARE TECHNOLOGIES INC WI 341,038 331,626 -9,412 1.03% -$4.37M
FERRARI NV /EUR/ 0.00000000 65,060 64,257 -803 0.95% -$2.30M
CARGURUS INC CL A 644,486 626,698 -17,788 0.93% -$3.38M
BECTON DICKINSON and CO 134,807 131,087 -3,720 0.90% -$5.55M
ACCENTURE PLC-A 103,327 101,732 -1,595 0.88% -$7.55M
MOBILEYE GLOBAL INC A 2,014,915 1,959,302 -55,613 0.59% -$7.58M
ALIGN TECHNOLOGY INC 79,285 78,306 -979 0.59% $1.04M
CANADA GOOSE HOL 1,158,250 1,126,282 -31,968 0.54% -$2.64M
FIVE POINT HOLDINGS LLC COMMON STOCK 1,710,502 1,663,291 -47,211 0.35% -$1.51M
BELLRING BRANDS INC 501,014 494,827 -6,187 0.35% -$5.43M
FOX FACTORY HOLDING CORP 388,202 377,488 -10,714 0.27% -$428.68K

No positions in this category.

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