JOHN HANCOCK EXCHANGE TRADED - MULTI INTL ETF (JHMD)

Historical Holders from Q4 2016 to Q3 2025

Symbol
JHMD
Type / Class
Equity / MULTI INTL ETF
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
17,470,318
Holdings value
$698,385,412
% of all portfolios
0%
Number of holders
77
Number of buys
40
Number of sells
-23
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 - MULTI INTL ETF (JHMD)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 17,470,318 $698,385,412 +$45,502,900 $39.98 77
2025 Q2 16,374,017 $626,620,911 -$11,093,322 $38.27 71
2025 Q1 16,832,121 $588,304,114 -$30,975,052 $34.95 61
2024 Q4 17,779,515 $570,188,305 +$968,414 $32.07 60
2024 Q3 17,823,808 $630,206,591 -$15,422,155 $35.36 63
2024 Q2 18,265,672 $609,168,773 -$3,221,487 $33.35 61
2024 Q1 18,360,189 $632,793,683 +$66,785,972 $34.53 62
2023 Q4 16,436,831 $535,841,127 +$34,024,882 $32.6 65
2023 Q3 15,383,981 $460,130,656 -$5,575,263 $29.91 57
2023 Q2 15,570,235 $484,234,999 +$33,023,555 $31.1 52
2023 Q1 14,485,039 $445,434,222 +$4,959,496 $30.7 46
2022 Q4 14,290,865 $402,596,463 +$8,831,606 $28.17 43
2022 Q3 13,989,202 $336,858,481 -$21,798,047 $24.08 36
2022 Q2 14,849,595 $401,217,588 +$2,404,115 $27.02 40
2022 Q1 14,741,273 $466,750,573 +$23,480,729 $31.66 41
2021 Q4 13,989,511 $471,323,000 +$228,207,995 $33.69 39
2021 Q3 7,138,491 $238,116,000 -$209,440,106 $33.36 32
2021 Q2 13,417,973 $452,724,000 -$26,971,740 $33.74 34
2021 Q1 14,227,607 $461,682,000 -$25,120,178 $32.45 30
2020 Q4 15,002,050 $466,566,000 -$26,700,886 $31.1 32
2020 Q3 15,870,376 $431,022,000 -$16,139,443 $27.16 30
2020 Q2 16,466,689 $427,282,000 -$21,586,452 $25.95 33
2020 Q1 17,304,038 $392,800,000 +$11,324,877 $22.7 29
2019 Q4 16,777,161 $496,601,000 -$16,300,904 $29.6 33
2019 Q3 17,327,829 $481,400,000 +$3,360,266 $27.83 30
2019 Q2 17,207,276 $486,108,000 +$14,273,575 $28.25 26
2019 Q1 16,702,408 $468,990,000 +$4,388,643 $28.08 27
2018 Q4 16,551,555 $422,434,000 +$380,416,165 $25.52 28
2018 Q3 1,600,520 $47,008,000 -$36,554,304 $29.37 22
2018 Q2 2,845,105 $82,474,000 +$4,731,776 $28.99 20
2018 Q1 2,681,523 $81,411,000 -$3,150,138 $30.36 19
2017 Q4 2,785,091 $84,721,000 +$8,415,235 $30.42 15
2017 Q3 2,498,597 $73,709,000 +$9,913,103 $29.5 10
2017 Q2 2,166,119 $60,675,000 -$116,601 $28.02 8
2017 Q1 2,170,297 $57,904,000 +$4,632,393 $26.68 7
2016 Q4 1,996,677 $49,757,000 +$49,757,000 $24.92 2