JORSX
Small Cap Core Fund
John Hancock Investment 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.

Oct 31, 2025 → Jan 31, 2026

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

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
SYNAPTICS INC 0 304,849 304,849 1.28% $25.15M
VICOR CORPORATION 0 147,237 147,237 1.19% $23.21M
RANGE RESOURCES CORP 0 566,732 566,732 1.10% $21.45M
MAXIMUS INC 0 224,477 224,477 1.08% $21.20M
HAMILTON LANE INC - A 0 134,848 134,848 0.97% $19.05M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
PINNACLE FINL PARTNERS INC 335,843 0 -335,843 0.00% -$28.62M
EXACT SCIENCES CORP 316,634 0 -316,634 0.00% -$20.48M
HAEMONETICS CORP MASS 133,070 0 -133,070 0.00% -$6.65M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ALKAMI TECHNOLOGY INC 1,376,500 1,555,371 178,871 1.68% $5.03M
CRANE CO 173,802 179,820 6,018 1.68% -$180.06K
LIFE TIME GROUP HOLDINGS INC 809,860 1,120,990 311,130 1.67% $12.67M
JH COLLATERAL 2,552,095 3,157,533 605,438 1.61% $6.06M
MOELIS & CO-CL A 399,937 406,357 6,420 1.49% $3.80M
TENABLE HOLDINGS INC 1,131,159 1,263,110 131,951 1.42% -$4.96M
CENTRAL GARDEN and PET CO CL A 688,923 889,691 200,768 1.39% $8.13M
FIRST WATCH RESTAURANT GROUP INC 1,428,553 1,684,679 256,126 1.38% $3.38M
AMBARELLA INC 294,898 413,213 118,315 1.35% $1.33M
OPTION CARE HEALTH INC 759,647 770,104 10,457 1.34% $6.41M
Genius Sports Ltd. COM NPV 2,942,635 3,002,005 59,370 1.33% -$7.02M
CONCENTRA GROUP HOLDINGS PARENT INC 1,001,022 1,168,324 167,302 1.32% $5.97M
PRESTIGE CONSUMER HEALTHCARE INC 339,433 387,456 48,023 1.28% $4.41M
BRAZE INC-A 1,158,394 1,182,552 24,158 1.26% -$8.58M
BELLRING BRANDS INC 527,737 983,028 455,291 1.25% $8.55M
BIO RAD LABS CL A 62,902 82,725 19,823 1.24% $4.20M
COMMVAULT SYSTEMS INC 229,264 254,939 25,675 1.12% -$10.07M
VARONIS SYSTEMS INC 618,955 694,218 75,263 1.06% -$1.09M
MERIT MEDICAL SYSTEMS INC 242,731 247,636 4,905 1.03% -$1.17M
WINGSTOP INC 68,061 72,082 4,021 0.98% $4.39M
TREX CO INC 417,493 455,657 38,164 0.96% -$1.30M
TELEFLEX INC 158,391 170,201 11,810 0.91% -$1.95M
ULTRAGENYX PHARMA INC 222,590 321,609 99,019 0.40% $39.51K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
SOUTHSTATE BANK CORP 466,955 434,005 -32,950 2.27% $3.02M
CULLEN FROST BANKERS INC 330,857 278,216 -52,641 1.96% -$2.40M
TIMKEN CO 522,774 406,663 -116,111 1.94% -$3.15M
BANNER CORPORATI 641,224 595,978 -45,246 1.88% -$1.87M
KULICKE and SOFFA INDUSTRIES INC 902,132 641,000 -261,132 1.88% $726.40K
MASTEC INC 160,995 149,637 -11,358 1.84% $3.12M
MKS INSTRUMENTS INC 254,046 151,823 -102,223 1.82% -$768.30K
REGAL REXNORD CORP 235,609 218,985 -16,624 1.81% $2.17M
EVERCORE INC A 117,988 96,762 -21,226 1.75% -$571.43K
AVIENT CORP 967,255 899,003 -68,252 1.66% $1.48M
ATMUS FILTRATION TECHNOLOGIES INC 799,158 556,214 -242,944 1.65% -$4.10M
OLD NATL BANCORP 1,416,857 1,316,878 -99,979 1.64% $3.22M
MADISON SQUARE GARDEN SPORTS CORP 146,371 113,244 -33,127 1.64% $729.86K
PROGRESS SOFTWARE CORP 752,956 749,821 -3,135 1.57% -$1.42M
EASTGROUP PROP 231,095 166,913 -64,182 1.55% -$10.01M
ADEIA INC 1,859,045 1,673,788 -185,257 1.55% -$1.40M
FIRST INDUSTRIAL REALTY TRUST 737,968 521,011 -216,957 1.54% -$10.56M
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 579,803 538,891 -40,912 1.52% $3.53M
MISTER CAR WASH INC 5,410,317 5,272,859 -137,458 1.49% -$979.30K
UNIVEST FINANCIAL CORP 1,084,564 880,849 -203,715 1.49% -$2.65M
Q2 HOLDINGS INC 480,150 475,127 -5,023 1.49% -$552.54K
INTEGER HOLDINGS CORP 398,743 327,123 -71,620 1.45% $2.67M
SMITH (AO) CORP 409,057 380,194 -28,863 1.43% $946.79K
LITHIA MOTORS INC CL A 102,535 85,385 -17,150 1.41% -$4.59M
MAGNOLIA OIL and GAS CORPO CL A 1,583,661 1,039,738 -543,923 1.35% -$9.05M
VEECO INSTRUMENT 1,112,350 841,296 -271,054 1.34% -$5.71M
ARCOSA INC 414,016 224,658 -189,358 1.31% -$16.51M
GENERAC HOLDINGS INC 188,989 146,129 -42,860 1.25% -$7.20M
GREEN BRICK PARTNERS INC 378,436 347,861 -30,575 1.23% -$361.87K
SIMPSON MFG 144,891 134,668 -10,223 1.22% -$1.77M
TORO CO 393,655 259,912 -133,743 1.21% -$5.64M
ADV ENERGY INDS 157,370 92,673 -64,697 1.21% -$8.24M
LEVI STRAUSS and COMPANY CL A 1,473,190 1,148,946 -324,244 1.17% -$7.04M
Bath & Body Works Inc 1,028,185 1,028,048 -137 1.14% -$2.76M
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 261,999 100,535 -161,464 1.12% -$16.79M
BRIGHTSPRING HEALTH SERVICES INC 677,255 559,694 -117,561 1.12% -$404.09K
HEXCEL CORPORATION 366,328 263,967 -102,361 1.12% -$4.30M
UNITIL CORP 444,665 416,511 -28,154 1.08% -$472.84K
On Holding AG 490,829 456,196 -34,633 1.05% $2.41M
LIBERTY ENERGY INC CL A 1,413,511 824,079 -589,432 1.04% -$5.29M
GLOBUS MEDICAL INC 329,745 220,300 -109,445 1.02% $63.50K
REVVITY INC 185,438 172,354 -13,084 0.96% $1.40M
ALPHA & OMEGA SE 635,088 612,171 -22,917 0.69% -$4.29M
MOLINA HEALTHCARE INC 90,565 74,593 -15,972 0.68% -$465.72K
AXSOME THERAPEUTICS INC 75,860 64,803 -11,057 0.61% $1.70M
JAZZ PHARMACEUTI 100,157 70,912 -29,245 0.60% -$2.12M
XPERI INC 2,111,811 2,050,323 -61,488 0.59% -$2.59M
ACADIA PHARMACEUTICALS INC 390,175 362,644 -27,531 0.47% $256.27K
YEXT INC 2,409,158 1,248,677 -1,160,481 0.46% -$11.47M

No positions in this category.

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.