JVLCX
Disciplined Value Fund
John Hancock Funds III

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
VISA INC-CLASS A 0 574,201 574,201 1.02% $173.55M
AstraZeneca PLC ORD USD0.25 0 834,726 834,726 0.97% $164.62M
MARVELL TECHNOLOGY INC 0 1,444,218 1,444,218 0.84% $143.05M
NVIDIA CORP 0 691,229 691,229 0.71% $120.55M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
UNITEDHEALTH GRP 714,518 0 -714,518 0.00% -$235.87M
Medtronic plc (Ireland) 2,031,102 0 -2,031,102 0.00% -$195.11M
ASTRAZENECA PLC SPONS ADR 1,818,550 0 -1,818,550 0.00% -$167.18M
AUTOZONE INC 40,787 0 -40,787 0.00% -$138.33M
EMERSON ELECTRIC CO 789,919 0 -789,919 0.00% -$104.84M
OPTION 1,832,688 0 -1,832,688 0.00% -$93.25M
BLUE OWL CAPITAL INC A 6,183,005 0 -6,183,005 0.00% -$92.37M
AUTONATION INC 430,303 0 -430,303 0.00% -$88.85M
JH COLLATERAL 1,763,950 0 -1,763,950 0.00% -$17.65M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
SSC GOVERNMENT MM GVMXX / 433,827,400 519,832,561 86,005,161 3.06% $86.01M
AMAZON.COM INC 2,159,802 2,192,504 32,702 2.69% -$41.89M
CENCORA INC 939,743 990,495 50,752 1.83% -$6.24M
MORGAN STANLEY 1,626,963 1,749,806 122,843 1.70% -$869.17K
META PLATFORMS INC CL A 417,791 471,906 54,115 1.59% -$5.79M
UBER TECHNOLOGIES INC 3,499,301 3,706,763 207,462 1.57% -$19.30M
NXP SEMICONDUCTO 1,234,522 1,259,595 25,073 1.46% -$20.00M
GOLDMAN SACHS GROUP INC 213,690 271,777 58,087 1.35% $42.09M
UNITED RENTALS INC 300,628 305,868 5,240 1.31% -$20.46M
CENOVUS ENERGY INC 6,179,106 7,202,732 1,023,626 1.13% $86.54M
FLEX LTD 2,808,182 2,876,935 68,753 1.11% $18.65M
THE BOOKING HOLDINGS INC 27,300 41,754 14,454 1.04% $29.60M
IQVIA HOLDINGS INC 935,682 952,232 16,550 0.96% -$48.52M
FREEPORT MCMORAN INC 2,441,794 2,543,645 101,851 0.88% $25.50M
CORPAY INC 475,153 489,118 13,965 0.84% -$659.35K
SLB LTD 2,142,415 2,668,407 525,992 0.81% $54.90M
UNITED AIRLINES HOLDINGS INC 1,002,795 1,406,458 403,663 0.76% $17.36M
NRG ENERGY INC 535,604 677,788 142,184 0.58% $13.76M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
JPMORGAN CHASE and CO 2,495,368 2,372,092 -123,276 4.11% -$106.28M
PHILIP MORRIS INTL INC 2,774,546 2,355,759 -418,787 2.29% -$55.54M
KINROSS GOLD CORP 14,886,722 12,384,898 -2,501,824 2.23% -$41.22M
MARATHON PETROLEUM CORP 1,580,325 1,450,756 -129,569 2.09% $97.24M
US FOODS HOLDING CORP 4,141,181 3,801,646 -339,535 2.07% $38.64M
MICRON TECHNOLOGY INC 1,303,084 1,021,804 -281,280 2.03% -$26.71M
APPLIED MATERIALS INC 1,061,945 974,878 -87,067 1.96% $60.29M
CRH PLC 3,237,348 3,138,020 -99,328 1.94% -$74.15M
HONEYWELL INTL INC 1,562,774 1,347,806 -214,968 1.79% -$236.99K
DIAMONDBACK ENERGY INC 1,586,987 1,456,872 -130,115 1.70% $49.58M
CONOCOPHILLIPS 2,287,529 2,099,977 -187,552 1.63% $63.06M
MCKESSON CORP 346,778 318,349 -28,429 1.62% -$8.97M
FIRSTENERGY CORP 5,833,305 5,355,033 -478,272 1.60% $10.13M
WELLS FARGO & CO 3,486,463 3,200,608 -285,855 1.50% -$70.14M
AMERICAN EXPRESS CO 894,406 821,075 -73,331 1.46% -$82.53M
FEDEX CORP 713,706 655,190 -58,516 1.37% $27.20M
GILEAD SCIENCES INC 1,804,414 1,656,471 -147,943 1.36% $9.39M
NEWMONT CORP 2,883,584 2,132,580 -751,004 1.36% -$57.07M
LPL FINL HLDGS INC 758,393 754,161 -4,232 1.34% -$44.00M
L3HARRIS TECHNOLOGIES INC 709,156 651,015 -58,141 1.32% $16.51M
MICROCHIP TECHNOLOGY 3,751,989 3,444,366 -307,623 1.31% -$16.54M
DELL TECHNOLOGIES INC CL C 1,660,761 1,350,267 -310,494 1.31% $12.56M
WALT DISNEY CO/T 2,437,356 2,237,519 -199,837 1.27% -$61.65M
PPL CORPORATION 6,039,194 5,544,042 -495,152 1.25% $289.83K
QUEST DIAGNOSTICS INC 1,160,097 1,064,982 -95,115 1.23% $7.40M
GENERAL DYNAMICS CORPORATION 661,381 607,155 -54,226 1.23% -$14.27M
INTERCONTINENTAL EXCHANGE INC 1,381,424 1,268,163 -113,261 1.18% -$24.28M
HUNTINGTON BANCSHARES INC 13,752,637 12,625,058 -1,127,579 1.16% -$41.03M
COCA-COLA CO/THE 3,038,933 2,569,461 -469,472 1.15% -$17.04M
HUBBELL INC 427,216 392,191 -35,025 1.13% $2.73M
CUMMINS INC 388,703 356,835 -31,868 1.13% -$6.43M
ABBVIE INC 928,856 852,701 -76,155 1.09% -$26.78M
ENTERGY CORP 1,781,339 1,635,289 -146,050 1.08% $19.09M
AON PLC-CLASS A 613,929 563,595 -50,334 1.07% -$34.73M
SCHWAB CHARLES CORP 2,009,489 1,844,733 -164,756 1.02% -$27.40M
CH ROBINSON WORLDWIDE INC 1,114,920 1,023,509 -91,411 1.00% -$9.26M
SYSCO CORP 2,539,243 2,331,052 -208,191 0.98% -$20.84M
OLD DOMINION FRT 904,320 830,176 -74,144 0.96% $20.42M
KEYSIGHT TECHNOLOGIES INC 827,456 570,489 -256,967 0.95% -$7.04M
WESTINGHOUSE AIR BRAKE TECH CORP 693,881 636,992 -56,889 0.94% $11.08M
T-MOBILE US INC 870,681 708,589 -162,092 0.88% -$27.96M
CENTERPOINT ENERGY INC 4,428,968 3,420,468 -1,008,500 0.87% -$22.18M
CAPITAL ONE FINANCIAL CORP 869,544 798,252 -71,292 0.86% -$65.12M
APOLLO GLOBAL MANAGEMENT INC 1,418,147 1,301,875 -116,272 0.85% -$60.24M
ALLSTATE CORPORATION 703,305 645,643 -57,662 0.79% -$12.53M
RELIANCE STEEL and ALUMINUM CO 451,266 414,269 -36,997 0.74% -$4.45M
STEEL DYNAMICS INC 750,919 689,353 -61,566 0.73% -$3.16M
JACOBS SOLUTIONS INC 1,014,333 931,170 -83,163 0.70% -$15.84M
HOME DEPOT INC 371,153 340,724 -30,429 0.66% -$15.65M
CAN NATURAL RES 2,386,816 2,191,123 -195,693 0.63% $25.98M
TENET HEALTHCARE CORP 568,430 564,543 -3,887 0.63% -$6.42M
LABCORP HOLDINGS INC 429,816 394,576 -35,240 0.62% -$2.56M
COCA-COLA EUROPACIFIC PARTNERS COMMON STOCK EUR.01 1,218,596 1,118,685 -99,911 0.60% -$9.10M
ORACLE CORP 741,006 680,253 -60,753 0.59% -$44.36M
LEIDOS HOLDINGS INC 654,555 600,891 -53,664 0.55% -$24.63M
APTIV PLC 1,406,935 1,291,583 -115,352 0.53% -$17.37M
ALLEGION PLC 580,292 532,715 -47,577 0.46% -$15.00M
TRIMBLE INC 1,192,272 1,094,520 -97,752 0.42% -$22.02M
ARTHUR J GALLAGHAR AND CO 355,877 326,701 -29,176 0.42% -$21.34M
LULULEMON ATHLETICA INC 402,678 41,311 -361,367 0.04% -$77.36M

No positions in this category.

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