JOHN HANCOCK EXCHANGE TRADED - MULTFCTR EMRNG (JHEM)

Historical Holders from Q3 2018 to Q3 2025

Symbol
JHEM
Type / Class
Equity / MULTFCTR EMRNG
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
19,890,293
Holdings value
$629,519,147
% of all portfolios
0%
Number of holders
43
Number of buys
18
Number of sells
-21
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of JOHN HANCOCK EXCHANGE TRADED - MULTFCTR EMRNG (JHEM)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 19,890,293 $629,519,147 -$42,938,352 $31.66 43
2025 Q2 21,246,867 $621,490,948 -$23,158,161 $29.19 42
2025 Q1 22,050,903 $589,495,309 -$58,193,085 $26.66 37
2024 Q4 24,238,378 $628,852,627 -$4,318,738 $25.85 39
2024 Q3 23,993,494 $687,221,310 -$11,618,634 $28.6 36
2024 Q2 24,444,224 $653,512,947 -$37,383,158 $26.73 36
2024 Q1 25,843,638 $669,745,263 -$127,253 $25.93 35
2023 Q4 25,888,917 $658,344,080 -$17,957,008 $25.43 36
2023 Q3 26,597,356 $631,320,324 -$7,757,962 $23.75 35
2023 Q2 26,925,321 $666,135,590 -$40,696,154 $24.73 34
2023 Q1 28,842,090 $698,797,987 -$1,572,362 $24.23 35
2022 Q4 28,911,302 $671,386,872 +$1,794,862 $23.19 33
2022 Q3 28,817,206 $626,746,995 +$84,815,331 $21.75 32
2022 Q2 24,909,190 $608,590,959 +$1,135,114 $24.43 28
2022 Q1 24,835,326 $685,952,793 +$25,983,806 $27.62 31
2021 Q4 23,891,533 $693,813,520 +$205,307,938 $29.04 34
2021 Q3 16,685,194 $493,916,800 -$188,057,237 $29.6 26
2021 Q2 23,032,065 $729,762,843 -$4,899,408 $31.68 26
2021 Q1 23,186,580 $709,715,305 -$55,351,415 $30.61 23
2020 Q4 25,012,915 $730,375,600 -$55,211,045 $29.2 24
2020 Q3 26,906,229 $660,805,280 -$43,925,495 $24.56 22
2020 Q2 28,720,563 $657,400,360 -$64,616,756 $22.72 25
2020 Q1 31,540,739 $624,188,895 +$25,463,458 $19.79 19
2019 Q4 30,232,237 $806,501,000 -$51,411,893 $26.68 20
2019 Q3 32,105,656 $780,410,000 +$12,089,059 $24.43 17
2019 Q2 31,610,133 $809,819,000 +$11,451,437 $25.62 14
2019 Q1 31,163,440 $796,073,000 +$484,980,488 $25.54 11
2018 Q4 12,186,702 $282,975,000 +$280,871,067 $23.22 8
2018 Q3 90,589 $2,277,000 +$2,277,000 $25.14 1