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JHHY Holdings Changes

John Hancock Investments - High Yield ETF
1W: -0.8% 1M: -2.9% 3M: -4.0% YTD: -3.7% 1Y: -4.6%
$24.68
-0.01 (-0.04%)
 
Weekly Expected Move ±0.7%
$24 $25 $25 $25 $25
ETF AMEX · AUM $93.2M
Total Changes (90d)
57
New Holdings
25
Removed Holdings
25
78 changes · Page 1 of 2
Date Holding Name Ticker Change Type Old Value New Value
2026-09-25 AADH6235677 AADH6235677 Removed 325000 shares —
2026-09-25 DEXK6369902 DEXK6369902 Removed 70537 shares —
2026-09-25 MRP6521896 MRP6521896 New — 61000 shares
2026-09-25 SOEG6521461 SOEG6521461 New — 243000 shares
2026-09-25 MGLL5581296 MGLL5581296 New — 134000 shares
2026-09-25 OPI6511184 OPI6511184 Removed 61000 shares —
2026-09-21 TTMI6511227 TTMI6511227 Removed 121000 shares —
2026-09-21 TDG6513641 TDG6513641 Removed 243000 shares —
2026-09-21 CLYX6513633 CLYX6513633 Removed 61000 shares —
2026-09-21 GUGG5205785 GUGG5205785 New — 221000 shares
2026-09-21 DEXK6369902 DEXK6369902 New — 70537 shares
2026-09-21 OHMH3863828 OHMH3863828 New — 358000 shares
2026-09-21 ABR4962345 ABR4962345 New — 152000 shares
2026-09-18 OPI6511184 OPI6511184 New — 61000 shares
2026-09-18 ABR4962345 ABR4962345 Removed 152000 shares —
2026-09-18 IHRT5970177 IHRT5970177 Removed 78133 shares —
2026-09-18 CLYX6513633 CLYX6513633 New — 61000 shares
2026-09-18 TDG6513641 TDG6513641 New — 243000 shares
2026-09-18 TTMI6511227 TTMI6511227 New — 121000 shares
2026-09-18 USAC6509748 USAC6509748 Removed 121000 shares —
2026-09-18 IQV6509734 IQV6509734 Removed 91000 shares —
2026-09-18 MPLN5996364 MPLN5996364 Removed 1192 shares —
2026-09-18 MGLL5581296 MGLL5581296 Removed 134000 shares —
2026-09-18 OHMH3863828 OHMH3863828 Removed 358000 shares —
2026-09-18 NGLpB NGLpB shares 13132 16992
2026-09-15 DAC6202571 DAC6202571 Removed 300000 shares —
2026-09-15 IHRT5970177 IHRT5970177 New — 78133 shares
2026-09-15 CG6221070 CG6221070 Removed 33000 shares —
2026-09-15 DEXK6369902 DEXK6369902 Removed 57537 shares —
2026-09-15 ACUE6094735 ACUE6094735 Removed 25000 shares —
2026-09-15 ABR4962345 ABR4962345 shares 102000 152000
2026-09-15 USAC6509748 USAC6509748 New — 121000 shares
2026-09-15 MPLN5996364 MPLN5996364 New — 1192 shares
2026-09-15 OHMH3863828 OHMH3863828 New — 358000 shares
2026-09-15 IQV6509734 IQV6509734 New — 91000 shares
2026-09-15 MGLL5581296 MGLL5581296 shares 131000 134000
2026-09-15 OMI6432138 OMI6432138 shares 54346 81346
2026-09-15 GTN5818151 GTN5818151 Removed 61000 shares —
2026-09-01 DEXK6369902 DEXK6369902 New — 57537 shares
2026-09-01 GTN5818151 GTN5818151 New — 61000 shares
2026-09-01 OMI5385351 OMI5385351 New — 2000 shares
2026-09-01 DAC6202571 DAC6202571 New — 300000 shares
2026-09-01 ACUE6094735 ACUE6094735 New — 25000 shares
2026-09-01 MGLL5581296 MGLL5581296 New — 131000 shares
2026-08-28 CBB.GI CBB.GI Removed 411000 shares —
2026-08-28 CDK5628765 CDK5628765 Removed 60000 shares —
2026-08-28 DEXK6369902 DEXK6369902 Removed 57537 shares —
2026-08-28 ZAYO6194825 ZAYO6194825 Removed 70605 shares —
2026-08-28 NGLpB NGLpB shares 11732 13132
2026-08-28 CG6221070 CG6221070 shares 31000 33000

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms