Managed Volatility Conservative Portfolio

Managed Volatility Conservative Portfolio is a registered fund series of John Hancock Variable Insurance Trust (series S000008281). Net assets $445.3M as of 2026-03-31.

Profile

Advisers

Top holdings (38 reported)

Showing 15 of 38 holdings by value.

HoldingTickerValue% of fund
JOHN HANCOCK CORE BOND ETF JOHN HANCOCK CORE BOND ETF$116.5M2616.59%
HANCOCK JOHN SOVEREIGN BD FD MUTUAL FUND$72.2M1620.83%
John Hancock Variable Insurance Trust-Select Bond Trust$51.7M1160.17%
JOHN HANCOCK VIT STRATEGIC EQU JHVIT STRAT EQTY ALLOC-NAV$36.9M829.01%
John Hancock Variable Insurance Trust-Core Bond Trust$27.5M617.44%
JOHN HANCOCK GLOBAL SENIOR LOA JH GLOBAL SENIOR LOAN ETF$24.8M556.09%
John Hancock Investors Trust$12.4M278.57%
John Hancock Investors Trust$11.5M257.59%
JOHN HANCOCK FUNDAMENTAL LARGE JH FNDMNTL LRG CAP CORE-NAV$10.1M227.33%
JOHN HANCOCK BD TR MUTUAL FUND$7.4M166.30%
John Hancock Variable Insurance Trust-Blue Chip Growth Trust$6.4M144.77%
JOHN HANCOCK DISCIPLINED VALUE JH DISC VALUE SELECT ETF$6.3M140.51%
JOHN HANCOCK MULTI-FACTOR MID JOHN HANCOCK MULTI FACT MID$6.2M140.06%
JOHN HANCOCK CAPITAL APPRECIAT JOHN HANCOCK II-CAP APP VA-N$6.1M137.86%
UNITED STATES TREASURY INFLATI 04/28 1.25$5.9M133.05%

Net asset history

Report dateNet assets
2026-03-31$445.3M
2025-12-31$467.2M
2025-09-30$480.8M
2025-06-30$487.6M
2025-03-31$492.4M
2024-12-31$510.7M
2024-09-30$544.2M
2024-06-30$535.9M

More