John Hancock
Seaport Long/Short Fund
Quarterly portfolio holdings 7/31/2023

Fund’s investments  
As of 7-31-23 (unaudited)
        Shares Value
Common stocks 74.9%         $545,870,265
(Cost $460,022,313)          
Communication services 3.4%     24,906,216
Entertainment 0.8%      
Activision Blizzard, Inc. (A)     11,570 1,073,233
Liberty Media Corp.-Liberty Formula One, Series C (A)     28,554 2,073,020
Netflix, Inc. (A)     1,896 832,287
Roku, Inc. (A)     3,057 294,297
Spotify Technology SA (A)     1,379 206,036
Take-Two Interactive Software, Inc. (A)     10,987 1,680,352
Interactive media and services 1.7%      
Alphabet, Inc., Class A (A)     24,090 3,197,225
Alphabet, Inc., Class C (A)     509 67,753
Meta Platforms, Inc., Class A (A)     19,696 6,275,146
Pinterest, Inc., Class A (A)     30,716 890,457
Tencent Holdings, Ltd.     44,200 2,031,482
Media 0.3%      
Charter Communications, Inc., Class A (A)     2,821 1,143,041
Publicis Groupe SA     12,354 996,046
Wireless telecommunication services 0.6%      
Bharti Airtel, Ltd. (A)     232,097 2,511,062
T-Mobile US, Inc. (A)     11,866 1,634,779
Consumer discretionary 5.2%     37,820,360
Automobiles 0.2%      
Honda Motor Company, Ltd.     10,700 341,131
Rivian Automotive, Inc., Class A (A)     9,761 269,794
Subaru Corp.     12,400 235,024
Suzuki Motor Corp.     7,000 281,159
XPeng, Inc., A Shares (A)     5,674 60,524
Broadline retail 2.4%      
Alibaba Group Holding, Ltd. (A)     633,690 8,098,164
Amazon.com, Inc. (A)     67,235 8,987,975
JD.com, Inc., Class A     2,271 47,018
MercadoLibre, Inc. (A)     33 40,856
Diversified consumer services 0.0%      
Hope Education Group Company, Ltd. (A)(B)     162,374 12,356
Hotels, restaurants and leisure 0.5%      
Airbnb, Inc., Class A (A)     4,547 692,008
Booking Holdings, Inc. (A)     458 1,360,626
Wingstop, Inc.     8,740 1,473,389
Household durables 0.7%      
Nikon Corp.     32,865 434,402
Panasonic Holdings Corp.     13,621 168,129
Skyline Champion Corp. (A)     22,993 1,601,692
Sony Group Corp.     33,600 3,147,185
Specialty retail 0.8%      
Bath & Body Works, Inc.     34,205 1,267,637
Burlington Stores, Inc. (A)     8,616 1,530,374
RH (A)     2,500 970,425
Ross Stores, Inc.     18,726 2,146,749
2 JOHN HANCOCK SEAPORT LONG/SHORT FUND |QUARTERLY REPORT SEE NOTES TO FUND’S INVESTMENTS

        Shares Value
Consumer discretionary (continued)      
Textiles, apparel and luxury goods 0.6%      
ANTA Sports Products, Ltd.     92,800 $1,099,765
Cie Financiere Richemont SA, A Shares     14,650 2,359,131
Deckers Outdoor Corp. (A)     84 45,670
Li Ning Company, Ltd.     188,500 1,149,177
Consumer staples 1.7%     12,707,775
Consumer staples distribution and retail 0.1%      
BJ’s Wholesale Club Holdings, Inc. (A)     13,579 900,423
Food products 0.6%      
Cranswick PLC     52,921 2,270,427
Lamb Weston Holdings, Inc.     19,141 1,983,582
Personal care products 0.8%      
Haleon PLC     556,122 2,400,457
Proya Cosmetics Company, Ltd., Class A     66,160 1,046,128
Shiseido Company, Ltd.     47,600 2,086,978
The Estee Lauder Companies, Inc., Class A     3,996 719,280
Tobacco 0.2%      
British American Tobacco PLC     38,673 1,300,500
Energy 5.6%     41,076,612
Energy equipment and services 0.7%      
Diamond Offshore Drilling, Inc. (A)     44,289 701,095
John Wood Group PLC (A)     21,307 40,500
Schlumberger, Ltd.     16,498 962,493
Seadrill, Ltd. (A)     40,800 1,995,528
Transocean, Ltd. (A)     34,064 299,763
Valaris, Ltd. (A)     16,152 1,240,474
Oil, gas and consumable fuels 4.9%      
Antero Resources Corp. (A)     86,287 2,308,177
ARC Resources, Ltd.     116,243 1,756,008
Cenovus Energy, Inc.     191,090 3,634,532
Cheniere Energy, Inc.     16,520 2,673,927
Chesapeake Energy Corp.     62,729 5,290,564
ConocoPhillips     7,454 877,485
Coterra Energy, Inc.     99,123 2,729,847
Diamondback Energy, Inc.     24,881 3,665,469
EOG Resources, Inc.     20,406 2,704,407
EQT Corp.     81,169 3,423,708
Inpex Corp.     29,000 374,454
Phillips 66     7,692 858,043
Shell PLC     139,723 4,234,690
Southwestern Energy Company (A)     201,458 1,305,448
Financials 17.0%     124,124,399
Banks 6.9%      
AIB Group PLC     894,284 4,206,410
Axis Bank, Ltd.     17,796 206,819
Banco Bradesco SA, ADR     3,750 13,238
Banco Santander SA     90,842 368,117
BAWAG Group AG (A)(B)     83,737 4,079,450
BNP Paribas SA     23,236 1,532,363
China Merchants Bank Company, Ltd., H Shares     153,657 764,095
Citizens Financial Group, Inc.     122,243 3,943,559
SEE NOTES TO FUND’S INVESTMENTS QUARTERLY REPORT |JOHN HANCOCK SEAPORT LONG/SHORT FUND 3

        Shares Value
Financials (continued)      
Banks (continued)      
Commerzbank AG     40,393 $483,160
Concordia Financial Group, Ltd.     472,700 2,162,139
Erste Group Bank AG     31,452 1,188,756
FinecoBank SpA     88,450 1,373,384
FNB Corp.     139,398 1,782,900
ING Groep NV     104,839 1,530,300
JPMorgan Chase & Co.     53,025 8,375,829
Kasikornbank PCL     207,801 765,922
KBC Group NV     36,019 2,710,962
Mizuho Financial Group, Inc.     20,200 342,700
Permanent TSB Group Holdings PLC (A)     159,729 400,418
Resona Holdings, Inc.     147,900 805,180
Security Bank Corp.     7,171 10,844
Societe Generale SA     28,357 771,218
The Chiba Bank, Ltd.     337,900 2,375,893
The Shiga Bank, Ltd.     57,100 1,223,271
UniCredit SpA     87,530 2,216,281
Wells Fargo & Company     148,257 6,843,543
Capital markets 4.2%      
Ares Management Corp., Class A     91,832 9,111,571
Banca Generali SpA     10,659 399,292
BlackRock, Inc.     2,244 1,657,979
Cboe Global Markets, Inc.     6,000 838,080
Houlihan Lokey, Inc.     21,278 2,124,608
Intercontinental Exchange, Inc.     14,773 1,695,940
KKR & Company, Inc.     46,105 2,737,715
S&P Global, Inc.     11,496 4,535,287
Tradeweb Markets, Inc., Class A     80,449 6,579,924
WisdomTree, Inc.     178,670 1,243,543
Consumer finance 1.6%      
American Express Company     67,670 11,428,102
Financial services 2.9%      
Block, Inc. (A)     110,625 8,908,631
EXOR NV     61,232 5,721,857
PagSeguro Digital, Ltd., Class A (A)     62,549 710,557
Shift4 Payments, Inc., Class A (A)     19,593 1,351,721
Visa, Inc., Class A     3,385 804,716
WEX, Inc. (A)     18,096 3,426,478
Insurance 1.4%      
Admiral Group PLC     39,849 1,087,997
AIA Group, Ltd.     173,200 1,732,820
Allianz SE     3,304 789,654
ASR Nederland NV     46,990 2,130,029
Lancashire Holdings, Ltd.     73,776 564,676
Muenchener Rueckversicherungs-Gesellschaft AG     4,895 1,842,703
Ping An Insurance Group Company of China, Ltd., H Shares     4,559 33,220
Talanx AG     10,198 624,524
Trupanion, Inc. (A)     47,499 1,465,344
Mortgage real estate investment trusts 0.0%      
Hannon Armstrong Sustainable Infrastructure Capital, Inc.     3,856 100,680
4 JOHN HANCOCK SEAPORT LONG/SHORT FUND |QUARTERLY REPORT SEE NOTES TO FUND’S INVESTMENTS

        Shares Value
Health care 20.0%     $145,945,341
Biotechnology 8.0%      
Abcam PLC, ADR (A)     20,116 471,519
Akero Therapeutics, Inc. (A)     16,104 698,914
Alkermes PLC (A)     52,607 1,540,333
Alnylam Pharmaceuticals, Inc. (A)     11,845 2,314,513
Amicus Therapeutics, Inc. (A)     1,845 25,129
Amoy Diagnostics Company, Ltd., Class A     104,349 352,744
Apellis Pharmaceuticals, Inc. (A)     23,558 606,619
Argenx SE, ADR (A)     6,234 3,144,928
Ascendis Pharma A/S, ADR (A)     18,672 1,683,281
Biogen, Inc. (A)     14,399 3,890,466
Bioxcel Therapeutics, Inc. (A)     21,620 197,607
Blueprint Medicines Corp. (A)     6,681 440,946
Celldex Therapeutics, Inc. (A)     2,448 86,561
Clementia Pharmaceuticals, Inc. (A)(C)     9,185 0
Crinetics Pharmaceuticals, Inc. (A)     36,547 694,393
Cytokinetics, Inc. (A)     57,802 1,927,697
Denali Therapeutics, Inc. (A)     18,741 532,807
Exact Sciences Corp. (A)     57,177 5,577,045
Genmab A/S (A)     3,628 1,495,460
Genus PLC     14,562 460,621
Geron Corp. (A)     252,039 816,606
Gilead Sciences, Inc.     21,562 1,641,731
Immatics NV (A)     1,775 21,140
Immunocore Holdings PLC, ADR (A)     554 36,553
ImmunoGen, Inc. (A)     80,407 1,432,853
Intellia Therapeutics, Inc. (A)     1,425 60,320
Karuna Therapeutics, Inc. (A)     9,467 1,891,223
Kymera Therapeutics, Inc. (A)     22,046 482,366
Legend Biotech Corp., ADR (A)     10,445 788,806
Merus NV (A)     40,902 1,073,268
Mirati Therapeutics, Inc. (A)     8,205 248,365
Moderna, Inc. (A)     9,599 1,129,418
Morphic Holding, Inc. (A)     523 29,670
Nuvalent, Inc., Class A (A)     23,159 1,154,476
Prothena Corp. PLC (A)     13,789 949,648
PTC Therapeutics, Inc. (A)     2,476 99,882
Regeneron Pharmaceuticals, Inc. (A)     1,613 1,196,701
Remegen Company, Ltd., H Shares (A)(B)(D)     41,359 236,033
REVOLUTION Medicines, Inc. (A)     1,946 51,083
Rocket Pharmaceuticals, Inc. (A)     42,775 772,089
Roivant Sciences, Ltd. (A)     122,918 1,472,558
Sage Therapeutics, Inc. (A)     4,017 139,310
Sarepta Therapeutics, Inc. (A)     420 45,524
Seagen, Inc. (A)     15,222 2,919,275
Sichuan Kelun-Biotech Biopharmaceutical Company, Ltd. (A)     32,300 312,899
Syndax Pharmaceuticals, Inc. (A)     1,029 21,938
Ultragenyx Pharmaceutical, Inc. (A)     421 18,154
United Therapeutics Corp. (A)     12,757 3,096,379
Vaxcyte, Inc. (A)     736 35,372
Veracyte, Inc. (A)     12,165 333,929
Vertex Pharmaceuticals, Inc. (A)     22,311 7,861,058
Xenon Pharmaceuticals, Inc. (A)     19,839 732,456
Zai Lab, Ltd., ADR (A)     26,952 810,177
SEE NOTES TO FUND’S INVESTMENTS QUARTERLY REPORT |JOHN HANCOCK SEAPORT LONG/SHORT FUND 5

        Shares Value
Health care (continued)      
Health care equipment and supplies 3.3%      
Abbott Laboratories     23,723 $2,641,082
Alcon, Inc.     20,223 1,720,808
AtriCure, Inc. (A)     23,981 1,327,348
Becton, Dickinson and Company     6,100 1,699,582
Boston Scientific Corp. (A)     18,370 952,485
DexCom, Inc. (A)     38,589 4,806,646
DiaSorin SpA     12,996 1,458,049
Edwards Lifesciences Corp. (A)     13,856 1,137,162
Glaukos Corp. (A)     4,361 336,408
Hologic, Inc. (A)     20,687 1,642,962
Inari Medical, Inc. (A)     1,995 113,855
Insulet Corp. (A)     8,085 2,237,524
Intuitive Surgical, Inc. (A)     5,283 1,713,805
Lifetech Scientific Corp. (A)     359,894 125,818
QuidelOrtho Corp. (A)     3,170 276,931
Shandong Weigao Group Medical Polymer Company, Ltd., H Shares     89,862 116,052
Shockwave Medical, Inc. (A)     5,490 1,430,694
Stryker Corp.     461 130,652
Teleflex, Inc.     102 25,619
Venus MedTech Hangzhou, Inc., H Shares (A)(B)     408,000 381,963
Health care providers and services 2.6%      
Acadia Healthcare Company, Inc. (A)     20,100 1,588,503
Addus HomeCare Corp. (A)     9,645 883,193
agilon health, Inc. (A)     28,618 548,035
Alignment Healthcare, Inc. (A)     165,082 1,025,159
AmerisourceBergen Corp.     10,567 1,974,972
Centene Corp. (A)     24,810 1,689,313
Encompass Health Corp.     6,254 412,952
Guardant Health, Inc. (A)     8,300 323,866
Hapvida Participacoes e Investimentos SA (A)(B)     937,530 951,656
HCA Healthcare, Inc.     4,155 1,133,526
Humana, Inc.     5,125 2,341,254
Laboratory Corp. of America Holdings     2,048 438,129
Molina Healthcare, Inc. (A)     894 272,214
Owens & Minor, Inc. (A)     23,231 446,964
Privia Health Group, Inc. (A)     34,964 976,195
Surgery Partners, Inc. (A)     32,986 1,274,249
UnitedHealth Group, Inc.     4,613 2,335,885
Health care technology 0.6%      
Health Catalyst, Inc. (A)     45,158 633,567
Veeva Systems, Inc., Class A (A)     19,742 4,031,711
Life sciences tools and services 1.5%      
Agilent Technologies, Inc.     733 89,257
Avantor, Inc. (A)     6,695 137,716
Danaher Corp.     12,305 3,138,513
Hangzhou Tigermed Consulting Company, Ltd., A Shares     1,081 10,419
ICON PLC (A)     7,734 1,944,405
Illumina, Inc. (A)     15,526 2,983,321
Repligen Corp. (A)     4,548 780,255
Tecan Group AG     2,004 797,454
Thermo Fisher Scientific, Inc.     620 340,169
Waters Corp. (A)     110 30,383
6 JOHN HANCOCK SEAPORT LONG/SHORT FUND |QUARTERLY REPORT SEE NOTES TO FUND’S INVESTMENTS

        Shares Value
Health care (continued)      
Life sciences tools and services (continued)      
WuXi AppTec Company, Ltd., H Shares (B)     90,300 $858,971
Pharmaceuticals 4.0%      
Aclaris Therapeutics, Inc. (A)     65,898 650,413
AstraZeneca PLC     33,573 4,823,641
Bayer AG     6,904 403,770
Chugai Pharmaceutical Company, Ltd.     68,100 2,026,740
Daiichi Sankyo Company, Ltd.     46,009 1,417,059
Eisai Company, Ltd.     16,318 1,029,561
Elanco Animal Health, Inc. (A)     67,170 810,742
Eli Lilly & Company     13,999 6,363,245
Merck & Company, Inc.     34,005 3,626,633
Novartis AG     12,869 1,347,347
Otsuka Holdings Company, Ltd.     42,800 1,573,641
Pfizer, Inc.     1,505 54,270
Reata Pharmaceuticals, Inc., Class A (A)     6,560 1,086,205
UCB SA     25,437 2,252,377
Verona Pharma PLC, ADR (A)     41,160 909,224
Zoetis, Inc.     4,519 849,979
Industrials 4.9%     35,307,621
Aerospace and defense 0.8%      
BWX Technologies, Inc. (E)     46,940 3,238,860
Dassault Aviation SA     6,936 1,347,397
Rheinmetall AG     3,494 989,662
Building products 0.5%      
Builders FirstSource, Inc. (A)     17,548 2,534,458
The AZEK Company, Inc. (A)     42,398 1,322,818
Construction and engineering 0.3%      
Fluor Corp. (A)     16,156 500,513
MasTec, Inc. (A)     10,222 1,203,641
Taisei Corp.     4,900 185,692
Electrical equipment 0.6%      
Contemporary Amperex Technology Company, Ltd., Class A     105,231 3,508,502
Shoals Technologies Group, Inc., Class A (A)     11,813 306,665
Stem, Inc. (A)     25,421 179,726
Sunrun, Inc. (A)     13,615 258,413
Vicor Corp. (A)     189 17,439
Zhejiang HangKe Technology, Inc., Company, Class A     3,277 13,952
Ground transportation 1.2%      
ALD SA (B)     214,904 2,283,244
Uber Technologies, Inc. (A)     126,752 6,269,154
Machinery 0.3%      
Ebara Corp.     18,800 888,450
IMI PLC     66,265 1,385,430
Zoomlion Heavy Industry Science and Technology Company, Ltd., Class A     16,760 16,169
Marine transportation 0.6%      
Irish Continental Group PLC     821,516 4,353,700
Professional services 0.4%      
Ceridian HCM Holding, Inc. (A)     30,676 2,172,168
Paycom Software, Inc.     2,780 1,025,153
SEE NOTES TO FUND’S INVESTMENTS QUARTERLY REPORT |JOHN HANCOCK SEAPORT LONG/SHORT FUND 7

        Shares Value
Industrials (continued)      
Trading companies and distributors 0.2%      
Applied Industrial Technologies, Inc.     6,643 $963,169
Sumitomo Corp.     16,000 343,246
Information technology 12.4%     90,263,223
Communications equipment 0.0%      
Ciena Corp. (A)     4,117 173,737
Electronic equipment, instruments and components 0.4%      
Flex, Ltd. (A)     89,899 2,459,637
IT services 1.3%      
MongoDB, Inc. (A)     6,650 2,815,610
NEC Corp.     3,900 197,322
Okta, Inc. (A)     30,304 2,329,165
Shopify, Inc., Class A (A)     34,321 2,319,413
VeriSign, Inc. (A)     9,032 1,905,300
Semiconductors and semiconductor equipment 6.2%      
Advanced Micro Devices, Inc. (A)     26,027 2,977,489
ASML Holding NV, NYRS     356 255,042
Broadcom, Inc.     416 373,838
Disco Corp.     361 67,859
Enphase Energy, Inc. (A)     1,371 208,159
Infineon Technologies AG     14,507 637,372
Intel Corp. (E)     134,694 4,818,004
Kinsus Interconnect Technology Corp.     4,337 14,321
KLA Corp.     6,981 3,587,885
Marvell Technology, Inc.     103,391 6,733,856
Maxeon Solar Technologies, Ltd. (A)     6,762 166,954
Meyer Burger Technology AG (A)     394,786 237,357
Micron Technology, Inc.     12,572 897,515
Nova, Ltd. (A)     10,848 1,344,501
NVIDIA Corp.     23,933 11,183,652
ON Semiconductor Corp. (A)     19,615 2,113,516
Rambus, Inc. (A)     2,624 164,289
Renesas Electronics Corp. (A)     15,030 289,986
SCREEN Holdings Company, Ltd.     5,200 560,700
Shibaura Mechatronics Corp.     830 138,936
Skyworks Solutions, Inc.     1,118 127,866
SolarEdge Technologies, Inc. (A)     8,728 2,107,463
Taiwan Semiconductor Manufacturing Company, Ltd.     181,271 3,273,319
Taiwan Semiconductor Manufacturing Company, Ltd., ADR     8,925 884,914
Tokyo Electron, Ltd.     3,016 452,662
Ulvac, Inc.     27,405 1,176,798
Wolfspeed, Inc. (A)     9,590 631,981
Software 4.2%      
Atlassian Corp., Class A (A)     3,169 576,568
BILL Holdings, Inc. (A)     1,775 222,479
Datadog, Inc., Class A (A)     25,364 2,960,486
Dynatrace, Inc. (A)     61,992 3,390,342
HubSpot, Inc. (A)     7,745 4,496,360
Intuit, Inc.     4,743 2,426,993
Microsoft Corp.     15,284 5,134,201
Palo Alto Networks, Inc. (A)     1,603 400,686
Salesforce, Inc. (A)     10,927 2,458,684
8 JOHN HANCOCK SEAPORT LONG/SHORT FUND |QUARTERLY REPORT SEE NOTES TO FUND’S INVESTMENTS

        Shares Value
Information technology (continued)      
Software (continued)      
ServiceNow, Inc. (A)     8,730 $5,089,590
Splunk, Inc. (A)     3,477 376,663
Workday, Inc., Class A (A)     12,842 3,045,223
Technology hardware, storage and peripherals 0.3%      
Samsung Electronics Company, Ltd.     25,525 1,397,561
Wiwynn Corp.     11,639 660,969
Materials 2.3%     16,647,066
Chemicals 0.8%      
Guangzhou Tinci Materials Technology Company, Ltd., Class A     2,224 11,478
Hansol Chemical Company, Ltd.     4,406 677,206
Hanwha Solutions Corp. (A)     6,664 197,782
Mitsubishi Gas Chemical Company, Inc.     3,900 58,494
Sinoma Science & Technology Company, Ltd., Class A     654,180 2,119,655
SKC Company, Ltd.     1,362 106,027
Wacker Chemie AG     18,402 2,859,446
Yunnan Energy New Material Company, Ltd., Class A (A)     2,620 35,448
Construction materials 0.0%      
Ambuja Cements, Ltd.     5,274 29,697
Anhui Conch Cement Company, Ltd., H Shares     8,586 25,920
China National Building Material Company, Ltd., H Shares     35,789 22,621
Metals and mining 1.5%      
Anglo American PLC     86,106 2,647,912
Barrick Gold Corp.     193,280 3,341,811
Foran Mining Corp. (A)     98,900 299,254
Fresnillo PLC     125,198 992,225
Glencore PLC     529,824 3,222,090
Real estate 0.2%     1,432,456
Health care REITs 0.1%      
Welltower, Inc.     8,916 732,449
Real estate management and development 0.1%      
CBRE Group, Inc., Class A (A)     2,422 201,777
Vonovia SE     17,625 410,662
Specialized REITs 0.0%      
Weyerhaeuser Company     2,571 87,568
Utilities 2.2%     15,639,196
Electric utilities 1.4%      
American Electric Power Company, Inc. (E)     41,998 3,558,911
NextEra Energy, Inc.     34,923 2,559,856
PG&E Corp. (A)     205,303 3,615,386
Gas utilities 0.4%      
Atmos Energy Corp.     20,052 2,440,529
China Gas Holdings, Ltd.     60,600 67,884
China Resources Gas Group, Ltd.     36,400 126,098
ENN Energy Holdings, Ltd.     13,900 168,952
Kunlun Energy Company, Ltd.     182,000 148,930
Independent power and renewable electricity producers 0.1%      
Brookfield Renewable Corp., Class A     8,213 255,999
China Longyuan Power Group Corp., Ltd., H Shares     186,000 180,077
Ormat Technologies, Inc.     2,274 184,876
SEE NOTES TO FUND’S INVESTMENTS QUARTERLY REPORT |JOHN HANCOCK SEAPORT LONG/SHORT FUND 9

        Shares Value
Utilities (continued)      
Independent power and renewable electricity producers (continued)      
Sunnova Energy International, Inc. (A)     7,587 $133,986
The AES Corp.     10,297 222,724
Multi-utilities 0.3%      
Engie SA     120,387 1,974,988
Preferred securities 0.2%         $1,440,726
(Cost $916,770)          
Energy 0.2%     1,440,726
Oil, gas and consumable fuels 0.2%      
Raizen SA   1,637,700 1,440,726
Exchange-traded funds 0.6%         $4,432,485
(Cost $4,048,382)          
VanEck Gold Miners ETF       141,117 4,432,485
    
        Contracts/Notional amount Value
Purchased options 0.3%         $2,557,642
(Cost $3,244,434)          
Calls 0.2%         1,455,744
Exchange Traded Option on Apellis Pharmaceuticals, Inc. (Expiration Date: 8-18-23; Strike Price: $50.00; Notional Amount: 14,100) (A)       141 3,173
Exchange Traded Option on ARK Innovation ETF (Expiration Date: 8-18-23; Strike Price: $51.00; Notional Amount: 164,000) (A)       1,640 241,080
Exchange Traded Option on KraneShares CSI China Internet ETF (Expiration Date: 9-15-23; Strike Price: $36.00; Notional Amount: 55,200) (A)       552 38,797
Exchange Traded Option on Rivian Automotive, Inc., Class A (Expiration Date: 8-18-23; Strike Price: $30.00; Notional Amount: 23,900) (A)       239 37,165
Over the Counter Option on Alibaba Group Holding, Ltd. (Expiration Date: 9-28-23; Strike Price: HKD 90.88; Counterparty: JPMorgan Chase Bank, N.A.) (A)(F)       8,500 11,825
Over the Counter Option on Anhui Conch Cement Company, Ltd., H Shares (Expiration Date: 9-28-23; Strike Price: HKD 27.14; Counterparty: Morgan Stanley & Company International PLC) (A)(F)       26,200 1,089
Over the Counter Option on China Overseas Land & Investment, Ltd. (Expiration Date: 9-28-23; Strike Price: HKD 19.05; Counterparty: Goldman Sachs International) (A)(F)       36,970 4,019
Over the Counter Option on China Vanke Company, Ltd., H Shares (Expiration Date: 12-28-23; Strike Price: CNY 16.11; Counterparty: Goldman Sachs International) (A)(F)       23,400 1,760
Over the Counter Option on Contemporary Amperex Technology Company, Ltd., Class A (Expiration Date: 9-15-23; Strike Price: CNY 249.39; Counterparty: Goldman Sachs International) (A)(F)       144,400 97,798
Over the Counter Option on JD.com, Inc., Class A (Expiration Date: 12-28-23; Strike Price: HKD 165.88; Counterparty: Morgan Stanley & Company International PLC) (A)(F)       3,650 8,323
Over the Counter Option on Kweichow Moutai Company, Ltd., Class A (Expiration Date: 9-27-23; Strike Price: CNY 1,854.38; Counterparty: Morgan Stanley & Company International PLC) (A)(F)       9,400 48,084
Over the Counter Option on Meituan, Class B (Expiration Date: 9-28-23; Strike Price: HKD 145.51; Counterparty: JPMorgan Chase Bank, N.A.) (A)(F)       272,400 433,716
Over the Counter Option on Ping An Insurance Group Company of China, Ltd., H Shares (Expiration Date: 12-28-23; Strike Price: HKD 54.89; Counterparty: Morgan Stanley & Company International PLC) (A)(F)       12,500 9,454
Over the Counter Option on Ping An Insurance Group Company of China, Ltd., H Shares (Expiration Date: 9-28-23; Strike Price: HKD 56.18; Counterparty: BNP Paribas) (A)(F)       890,980 384,514
Over the Counter Option on Russell 2000 Index vs. Nasdaq 100 Index (Expiration Date: 9-15-23; Strike Rate: 2.000%; Counterparty: BNP Paribas) (A)(F)       7,728,295 133,135
10 JOHN HANCOCK SEAPORT LONG/SHORT FUND |QUARTERLY REPORT SEE NOTES TO FUND’S INVESTMENTS

        Contracts/Notional amount Value
Calls (continued)          
Over the Counter Option on Shenzhen Mindray Bio-Medical Electronics Company, Ltd., Class A (Expiration Date: 10-30-23; Strike Price: CNY 322.13; Counterparty: Goldman Sachs International) (A)(F)       1,637 $1,510
Over the Counter Option on Yunnan Energy New Material Company, Ltd., Class A (Expiration Date: 9-15-23; Strike Price: CNY 112.31; Counterparty: Morgan Stanley & Company International PLC) (A)(F)       2,700 302
Puts 0.1%         1,101,898
Exchange Traded Option on Advanced Micro Devices, Inc. (Expiration Date: 8-4-23; Strike Price: $108.00; Notional Amount: 15,300) (A)       153 26,010
Exchange Traded Option on Affirm Holdings, Inc. (Expiration Date: 9-15-23; Strike Price: $15.00; Notional Amount: 46,800) (A)       468 37,674
Exchange Traded Option on Atlassian Corp., Class A (Expiration Date: 8-18-23; Strike Price: $160.00; Notional Amount: 6,800) (A)       68 26,520
Exchange Traded Option on BILL Holdings, Inc. (Expiration Date: 8-18-23; Strike Price: $105.00; Notional Amount: 4,900) (A)       49 11,638
Exchange Traded Option on Block, Inc. (Expiration Date: 8-18-23; Strike Price: $65.00; Notional Amount: 16,300) (A)       163 4,483
Exchange Traded Option on HubSpot, Inc. (Expiration Date: 8-18-23; Strike Price: $510.00; Notional Amount: 2,200) (A)       22 9,460
Exchange Traded Option on Invesco QQQ Trust Series 1 (Expiration Date: 8-18-23; Strike Price: $372.00; Notional Amount: 9,500) (A)       95 17,528
Exchange Traded Option on Invesco QQQ Trust Series 1 (Expiration Date: 8-18-23; Strike Price: $375.00; Notional Amount: 15,900) (A)       159 38,637
Exchange Traded Option on Invesco QQQ Trust Series 1 (Expiration Date: 8-18-23; Strike Price: $377.00; Notional Amount: 21,100) (A)       211 61,612
Exchange Traded Option on Invesco QQQ Trust Series 1 (Expiration Date: 9-15-23; Strike Price: $370.00; Notional Amount: 33,200) (A)       332 147,287
Exchange Traded Option on iShares MSCI EAFE ETF (Expiration Date: 9-15-23; Strike Price: $71.00; Notional Amount: 356,700) (A)       3,567 119,495
Exchange Traded Option on iShares Semiconductor ETF (Expiration Date: 8-18-23; Strike Price: $500.00; Notional Amount: 11,800) (A)       118 24,190
Exchange Traded Option on Microsoft Corp. (Expiration Date: 8-18-23; Strike Price: $330.00; Notional Amount: 3,500) (A)       35 15,488
Exchange Traded Option on S&P 500 E-Mini Index (Expiration Date: 8-18-23; Strike Price: $447.00; Notional Amount: 700) (A)       7 805
Exchange Traded Option on S&P 500 Index (Expiration Date: 8-18-23; Strike Price: $4,150.00; Notional Amount: 1,800) (A)       18 3,015
Exchange Traded Option on S&P 500 Index (Expiration Date: 8-18-23; Strike Price: $4,250.00; Notional Amount: 700) (A)       7 1,645
Exchange Traded Option on S&P 500 Index (Expiration Date: 9-15-23; Strike Price: $4,250.00; Notional Amount: 1,300) (A)       13 15,925
Exchange Traded Option on S&P 500 Index (Expiration Date: 9-15-23; Strike Price: $4,425.00; Notional Amount: 7,800) (A)       78 203,970
Exchange Traded Option on Uber Technologies, Inc. (Expiration Date: 8-11-23; Strike Price: $47.50; Notional Amount: 32,400) (A)       324 46,111
Over the Counter Option on the USD vs. BRL (Expiration Date: 5-16-24; Strike Price: $4.80; Counterparty: Deutsche Bank AG) (A)(F)       3,912,000 149,294
Over the Counter Option on the USD vs. BRL (Expiration Date: 6-13-24; Strike Price: $4.50; Counterparty: Morgan Stanley & Company International PLC) (A)(F)       8,646,000 141,111
    
  Rate (%) Maturity date   Par value^ Value
Corporate bonds 0.1%     $906,623
(Cost $853,626)          
Health care 0.1%     906,623
Health care providers and services 0.1%      
AthenaHealth Group, Inc. (B) 6.500 02-15-30   1,070,000 906,623
    
SEE NOTES TO FUND’S INVESTMENTS QUARTERLY REPORT |JOHN HANCOCK SEAPORT LONG/SHORT FUND 11

  Yield* (%) Maturity date   Par value^ Value
Short-term investments 24.3%         $176,831,892
(Cost $176,848,098)          
U.S. Government 16.7%         121,673,618
U.S. Treasury Bill (E) 4.752 09-14-23   15,385,000 15,285,969
U.S. Treasury Bill 4.811 09-07-23   900,000 895,131
U.S. Treasury Bill (E) 4.945 08-29-23   5,920,000 5,895,775
U.S. Treasury Bill (E) 4.946 08-22-23   12,990,000 12,950,190
U.S. Treasury Bill 5.005 09-12-23   13,089,900 13,009,763
U.S. Treasury Bill (E) 5.017 09-05-23   11,105,000 11,048,423
U.S. Treasury Bill 5.051 08-15-23   4,400,000 4,390,980
U.S. Treasury Bill 5.058 08-01-23   4,455,000 4,455,000
U.S. Treasury Bill (E) 5.087 08-10-23   19,715,000 19,689,044
U.S. Treasury Bill (E) 5.145 08-08-23   10,605,000 10,594,208
U.S. Treasury Bill 5.151 08-17-23   4,040,000 4,030,587
U.S. Treasury Bill (E) 5.162 09-19-23   2,190,000 2,174,321
U.S. Treasury Bill 5.213 09-26-23   1,695,000 1,681,092
U.S. Treasury Bill 5.215 08-31-23   11,950,000 11,897,659
U.S. Treasury Bill 5.264 10-12-23   2,665,000 2,636,898
U.S. Treasury Bill 5.277 01-18-24   1,065,000 1,038,578
    
    Yield (%)   Shares Value
Short-term funds 7.6%         55,158,274
John Hancock Collateral Trust (G) 5.2927(H)   30,495 304,801
State Street Institutional U.S. Government Money Market Fund, Premier Class 5.1769(H)   54,853,473 54,853,473
    
Total investments (Cost $645,933,623) 100.4%     $732,039,633
Other assets and liabilities, net (0.4%)       (3,213,026)
Total net assets 100.0%         $728,826,607
    
The percentage shown for each investment category is the total value of the category as a percentage of the net assets of the fund.
^All par values are denominated in U.S. dollars unless otherwise indicated.
Currency Abbreviations
BRL Brazilian Real
CNY Chinese Yuan Renminbi
HKD Hong Kong Dollar
    
Security Abbreviations and Legend
ADR American Depositary Receipt
NYRS New York Registry Shares
(A) Non-income producing security.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(D) All or a portion of this security is on loan as of 7-31-23. The value of securities on loan amounted to $290,049.
(E) All or a portion of this security is segregated at the custodian as collateral for certain derivatives.
(F) For this type of option, notional amounts are equivalent to number of contracts.
(G) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
(H) The rate shown is the annualized seven-day yield as of 7-31-23.
* Yield represents either the annualized yield at the date of purchase, the stated coupon rate or, for floating rate securities, the rate at period end.
The fund had the following country composition as a percentage of net assets on 7-31-23:
United States 75.2%
Japan 3.4%
China 3.2%
United Kingdom 3.1%
Netherlands 1.9%
12 JOHN HANCOCK SEAPORT LONG/SHORT FUND |QUARTERLY REPORT SEE NOTES TO FUND’S INVESTMENTS

Ireland 1.8%
Canada 1.7%
Switzerland 1.3%
Germany 1.2%
France 1.2%
Other countries 6.0%
TOTAL 100.0%
SEE NOTES TO FUND’S INVESTMENTS QUARTERLY REPORT |JOHN HANCOCK SEAPORT LONG/SHORT FUND 13

DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
TOPIX Index Futures 3 Short Sep 2023 $(474,252) $(490,704) $(16,452)
            $(16,452)
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
FORWARD FOREIGN CURRENCY CONTRACTS
Contract to buy Contract to sell Counterparty (OTC) Contractual
settlement
date
Unrealized
appreciation
Unrealized
depreciation
AUD 9,000,000 USD 6,076,927 JPM 8/31/2023 $(25,609)
CAD 10,980,000 USD 8,307,043 MSI 8/31/2023 $23,104
CAD 3,100,000 USD 2,319,738 BNP 9/20/2023 32,721
CHF 4,805,000 USD 5,555,061 GSI 8/31/2023 (28,610)
CNY 1,149,000 USD 161,029 BNP 9/20/2023 436
DKK 10,480,000 USD 1,561,602 GSI 8/31/2023 (12,635)
EUR 8,656,000 USD 9,328,456 DB 9/20/2023 211,490
EUR 183,000 USD 201,106 JPM 9/20/2023 582
GBP 6,735,000 USD 8,655,708 GSI 8/31/2023 (11,142)
GBP 4,975,000 USD 6,195,860 MSI 9/20/2023 190,133
HKD 15,665,000 USD 2,005,736 GSI 8/31/2023 3,268
JPY 1,574,700,000 USD 11,195,170 JPM 8/31/2023 (76,740)
JPY 821,400,000 USD 5,905,989 JPM 9/20/2023 (88,081)
JPY 346,500,000 USD 2,465,310 SCB 9/20/2023 (11,080)
KRW 5,255,910,000 USD 4,126,133 MSI 8/31/2023 (6,343)
SEK 20,280,000 USD 1,956,200 GSI 8/31/2023 (26,926)
USD 2,343,498 CAD 3,100,000 GSI 9/20/2023 (8,961)
USD 6,962,437 CNY 49,285,000 MSI 9/20/2023 36,592
USD 10,982,744 EUR 9,906,000 DB 8/31/2023 75,976
USD 5,793,370 JPY 794,473,000 SCB 9/20/2023 166,184
            $740,486 $(296,127)
WRITTEN OPTIONS
Options on securities
Counterparty (OTC)/
Exchange-
traded
Name of issuer Currency Exercise
price
Expiration
date
Number
of
contracts
Notional
amount
Premium Value
Calls              
JPM Alibaba Group Holding, Ltd. HKD 103.27 Sep 2023 8,500 8,500 $3,399 $(5,323)
MSI Anhui Conch Cement Company, Ltd., H Shares HKD 30.84 Sep 2023 26,200 26,200 659 (273)
GSI China Overseas Land & Investment, Ltd. HKD 21.65 Sep 2023 36,970 36,970 1,001 (1,428)
GSI China Vanke Company, Ltd., H Shares CNY 19.04 Dec 2023 23,400 23,400 481 (581)
GSI Contemporary Amperex Technology Company, Ltd., Class A CNY 283.40 Sep 2023 144,400 144,400 93,763 (2,282)
MSI JD.com, Inc., Class A HKD 187.52 Dec 2023 3,650 3,650 3,972 (5,073)
MSI Kweichow Moutai Company, Ltd., Class A CNY 2,119.30 Sep 2023 9,400 9,400 2,315 (5,462)
JPM Meituan, Class B HKD 165.36 Sep 2023 272,400 272,400 257,068 (197,731)
BNP Ping An Insurance Group Company of China, Ltd., H Shares HKD 63.84 Sep 2023 890,980 890,980 119,415 (146,844)
MSI Ping An Insurance Group Company of China, Ltd., H Shares HKD 62.37 Dec 2023 12,500 12,500 1,895 (5,032)
GSI Shenzhen Mindray Bio-Medical Electronics Company, Ltd., Class A CNY 381.78 Oct 2023 1,637 1,637 75 (75)
MSI Yunnan Energy New Material Company, Ltd., Class A CNY 127.62 Sep 2023 2,700 2,700 1,045 (31)
              $485,088 $(370,135)
14 JOHN HANCOCK SEAPORT LONG/SHORT FUND |QUARTERLY REPORT SEE NOTES TO FUND’S INVESTMENTS

Options on securities (continued)
Counterparty (OTC)/
Exchange-
traded
Name of issuer Currency Exercise
price
Expiration
date
Number
of
contracts
Notional
amount
Premium Value
Calls (continued)              
Exchange-traded Affirm Holdings, Inc. USD 25.00 Sep 2023 468 46,800 $48,716 $(52,182)
Exchange-traded Apellis Pharmaceuticals, Inc. USD 70.00 Aug 2023 141 14,100 5,789 (1,058)
Exchange-traded Atlassian Corp., Class A USD 210.00 Aug 2023 68 6,800 25,733 (30,260)
Exchange-traded BILL Holdings, Inc. USD 155.00 Aug 2023 49 4,900 9,837 (9,555)
Exchange-traded Block, Inc. USD 90.00 Aug 2023 163 16,300 11,619 (22,087)
Exchange-traded Datadog, Inc., Class A USD 125.00 Aug 2023 123 12,300 41,103 (46,433)
Exchange-traded HubSpot, Inc. USD 630.00 Aug 2023 22 2,200 10,652 (19,690)
Exchange-traded NVIDIA Corp. USD 550.00 Aug 2023 27 2,700 13,278 (4,415)
Exchange-traded Rivian Automotive, Inc., Class A USD 40.00 Aug 2023 239 23,900 8,050 (6,453)
              $174,777 $(192,133)
Puts
JPM Alibaba Group Holding, Ltd. HKD 61.96 Sep 2023 8,500 8,500 $1,843 $(105)
GSI China Overseas Land & Investment, Ltd. HKD 13.86 Sep 2023 36,970 36,970 987 (352)
GSI Contemporary Amperex Technology Company, Ltd., Class A CNY 181.38 Sep 2023 144,400 144,400 73,874 (5,319)
MSI JD.com, Inc., Class A HKD 100.97 Dec 2023 3,650 3,650 1,795 (596)
JPM Meituan, Class B HKD 99.21 Sep 2023 272,400 272,400 140,928 (17,279)
MSI Ping An Insurance Group Company of China, Ltd., H Shares HKD 39.92 Dec 2023 12,500 12,500 1,250 (738)
MSI Yunnan Energy New Material Company, Ltd., Class A CNY 81.68 Sep 2023 2,700 2,700 798 (270)
              $221,475 $(24,659)
Exchange-traded Affirm Holdings, Inc. USD 10.00 Sep 2023 468 46,800 26,760 (4,914)
Exchange-traded Apellis Pharmaceuticals, Inc. USD 25.00 Aug 2023 141 14,100 16,134 (36,308)
Exchange-traded Atlassian Corp., Class A USD 120.00 Aug 2023 68 6,800 4,823 (2,210)
Exchange-traded BILL Holdings, Inc. USD 80.00 Aug 2023 49 4,900 5,040 (1,348)
              $52,757 $(44,780)
              $934,097 $(631,707)
    
Options on index
Counterparty (OTC)/
Exchange-
traded
Name of
issuer
Currency Exercise
price
Expiration
date
Number
of
contracts
Notional
amount
Premium Value
Puts                
Exchange-traded S&P 500 Index USD 3,700.00 Aug 2023 18 1,800 $25,914 $(1,080)
    
Foreign currency options
Description Counterparty (OTC) Currency Exercise
price
Expiration
date
Notional
amount*
Premium Value
Calls              
U.S. Dollar vs. Brazilian Real DB USD 6.00 May 2024 3,912,000 $87,109 $(33,502)
U.S. Dollar vs. Brazilian Real MSI USD 5.50 Jun 2024 2,882,000 88,299 (59,591)
            $175,408 $(93,093)
* For this type of option, notional amounts are equivalent to number of contracts.
SWAPS
Total return swaps
Pay/
receive
total
return*
Reference
entity
Floating/
fixed
rate
Payment
frequency
Currency Notional
amount
Maturity
date
Counterparty
(OTC)
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Pay GS Custom Basket 1-Day USD OBFR - 0.50% Monthly USD 7,791,265 May 2033 GSI $(245,705) $(245,705)
Pay Health Care Select Sector SPDR Fund 1-Day USD OBFR - 0.20% Monthly USD 3,834,638 May 2033 GSI 25,594 25,594
SEE NOTES TO FUND’S INVESTMENTS QUARTERLY REPORT |JOHN HANCOCK SEAPORT LONG/SHORT FUND 15

Total return swaps (continued)
Pay/
receive
total
return*
Reference
entity
Floating/
fixed
rate
Payment
frequency
Currency Notional
amount
Maturity
date
Counterparty
(OTC)
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Pay Invesco QQQ Trust Series 1 1-Day USD OBFR - 0.30% Monthly USD 728,277 May 2033 GSI $(8,798) $(8,798)
Pay iShares iBoxx $ High Yield Corporate Bond ETF 1-Day USD OBFR - 1.20% Monthly USD 1,504 May 2033 GSI 1 1
Pay iShares MSCI EAFE ETF 1-Day USD OBFR - 0.20% Monthly USD 1,529,684 May 2033 GSI (5,002) (5,002)
Pay iShares Russell Mid-Cap Growth ETF 1-Day USD OBFR - 0.55% Monthly USD 8,985,964 May 2033 GSI (207) (207)
Pay iShares Semiconductor ETF 1-Day USD OBFR - 0.96% Monthly USD 1,096,213 May 2033 GSI (56,178) (56,178)
Pay SPDR S&P 500 ETF 1-Day USD OBFR - 0.20% Monthly USD 12,321,453 May 2033 GSI (129,963) (129,963)
Pay SPDR S&P Pharmaceuticals ETF 1-Day USD OBFR - 1.70% Monthly USD 2,675,823 May 2033 GSI (113,731) (113,731)
Pay SPDR S&P Regional Banking ETF 1-Day USD OBFR - 0.70% Monthly USD 11,438,137 May 2033 GSI (434,113) (434,113)
Pay Vanguard FTSE Developed Markets ETF 1-Day USD OBFR - 0.47% Monthly USD 3,650,076 May 2033 GSI (45,147) (45,147)
Pay Industrial Select Sector SPDR Fund 1-Day USD OBFR - 0.20% Monthly USD 3,072,766 May 2028 JPM (94,523) (94,523)
Pay iShares Expanded Tech Sector ETF 1-Day USD OBFR - 1.82% Monthly USD 2,255,506 May 2028 JPM (112,073) (112,073)
Pay iShares MSCI Eurozone ETF 1-Day USD OBFR - 1.07% Monthly USD 103,524 May 2028 JPM (4,027) (4,027)
Pay iShares Russell Mid-Cap Growth ETF 1-Day USD OBFR - 0.82% Monthly USD 2,988,207 May 2028 JPM (96,456) (96,456)
Pay iShares Semiconductor ETF 1-Day USD OBFR - 0.57% Monthly USD 8,473,288 May 2028 JPM (560,043) (560,043)
Pay SPDR S&P Biotech ETF 1-Day USD OBFR - 3.07% Monthly USD 17,212,954 May 2028 JPM (204,817) (204,817)
Pay SPDR S&P Regional Banking ETF 1-Day USD OBFR - 1.00% Monthly USD 2,014,682 May 2028 JPM (165,901) (165,901)
Pay VanEck Semiconductor ETF 1-Day USD OBFR - 0.57% Monthly USD 24,715 May 2028 JPM (1,540) (1,540)
Pay MSCI USA Momentum Index Fixed (0.48%) Monthly USD 584,103 Feb 2024 MSI
Pay ARK Innovation ETF 1-Day USD OBFR - 2.33% Monthly USD 1,198,729 May 2033 MSI (16,385) (16,385)
Pay Consumer Discretionary Select Sector SPDR Fund 1-Day USD OBFR - 0.20% Monthly USD 22,060,357 May 2033 MSI 278,459 278,459
Pay Energy Select Sector SPDR Fund 1-Day USD OBFR - 0.20% Monthly USD 1,760,985 May 2033 MSI (131,013) (131,013)
Pay Financial Select Sector SPDR Fund 1-Day USD OBFR - 0.20% Monthly USD 18,857,468 May 2033 MSI (361,586) (361,586)
Pay Harvest CSI 300 China A-Shares ETF 1-Day USD OBFR - 0.93% Monthly USD 5,764,159 May 2033 MSI
Pay Health Care Select Sector SPDR Fund 1-Day USD OBFR - 0.20% Monthly USD 27,269,193 May 2033 MSI (584,484) (584,484)
Pay Industrial Select Sector SPDR Fund 1-Day USD OBFR - 0.20% Monthly USD 5,475,530 May 2033 MSI (60,290) (60,290)
Pay Invesco QQQ Trust Series 1 1-Day USD OBFR - 0.20% Monthly USD 8,088,375 May 2033 MSI (7,343) (7,343)
Pay iShares Biotechnology ETF 1-Day USD OBFR - 1.93% Monthly USD 8,724,992 May 2033 MSI 11,248 11,248
Pay iShares Expanded Tech-Software Sector ETF 1-Day USD OBFR - 1.33% Monthly USD 3,510,861 May 2033 MSI (4,786) (4,786)
Pay iShares MSCI EAFE ETF 1-Day USD OBFR - 0.20% Monthly USD 110,139 May 2033 MSI (829) (829)
Pay iShares MSCI EAFE Value ETF 1-Day USD OBFR - 0.58% Monthly USD 17,992,080 May 2033 MSI (357,729) (357,729)
Pay iShares MSCI Eurozone ETF 1-Day USD OBFR - 0.78% Monthly USD 8,193,158 May 2033 MSI 18,490 18,490
Pay iShares Russell 1000 ETF 1-Day USD OBFR - 0.53% Monthly USD 2,609,719 May 2033 MSI (34,297) (34,297)
Pay iShares Russell 2000 ETF 1-Day USD OBFR - 0.68% Monthly USD 15,658,105 May 2033 MSI (386,283) (386,283)
Pay iShares Russell 2000 Value ETF 1-Day USD OBFR - 0.58% Monthly USD 9,365,499 May 2033 MSI (349,648) (349,648)
Pay iShares Russell 3000 ETF 1-Day USD OBFR - 0.53% Monthly USD 2,673,723 May 2033 MSI (35,786) (35,786)
Pay iShares Russell Mid-Cap Growth ETF 1-Day USD OBFR - 0.98% Monthly USD 31,640,069 May 2033 MSI 240,643 240,643
Pay iShares Semiconductor ETF 1-Day USD OBFR - 2.03% Monthly USD 11,410,109 May 2033 MSI (80,720) (80,720)
Pay SPDR S&P 500 ETF 1-Day USD OBFR - 0.20% Monthly USD 34,560,944 May 2033 MSI (620,651) (620,651)
Pay SPDR S&P Biotech ETF 1-Day USD OBFR - 3.98% Monthly USD 3,653,466 May 2033 MSI 60,550 60,550
Pay SPDR S&P Oil & Gas Exploration & Production ETF 1-Day USD OBFR - 0.93% Monthly USD 9,925,133 May 2033 MSI (978,147) (978,147)
Pay SPDR S&P Pharmaceuticals ETF 1-Day USD OBFR - 2.53% Monthly USD 4,685,307 May 2033 MSI (293,737) (293,737)
Pay SPDR S&P Regional Banking ETF 1-Day USD OBFR - 1.18% Monthly USD 21,604,079 May 2033 MSI (2,169,867) (2,169,867)
Pay SPDR S&P Retail ETF 1-Day USD OBFR - 1.78% Monthly USD 5,362,542 May 2033 MSI (170,078) (170,078)
Pay STOXX Europe 600 Automobiles & Parts Index 1-Day EUR ESTR Compounded OIS - 0.40% Monthly EUR 1,626,300 May 2033 MSI (52,846) (52,846)
Pay STOXX Europe 600 Industrial Goods & Services Index 1-Day EUR ESTR Compounded OIS - 0.40% Monthly EUR 2,344,383 May 2033 MSI (66,900) (66,900)
Pay VanEck Oil Services ETF 1-Day USD OBFR - 2.18% Monthly USD 1,471,738 May 2033 MSI (89,241) (89,241)
16 JOHN HANCOCK SEAPORT LONG/SHORT FUND |QUARTERLY REPORT SEE NOTES TO FUND’S INVESTMENTS

Total return swaps (continued)
Pay/
receive
total
return*
Reference
entity
Floating/
fixed
rate
Payment
frequency
Currency Notional
amount
Maturity
date
Counterparty
(OTC)
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Pay Vanguard FTSE Developed Markets ETF 1-Day USD OBFR - 0.20% Monthly USD 95,302,490 May 2033 MSI $(696,463) $(696,463)
Pay Vanguard FTSE Europe ETF 1-Day USD OBFR - 0.20% Monthly USD 14,320,737 May 2033 MSI (66,861) (66,861)
Pay Vanguard Real Estate ETF 1-Day USD OBFR - 0.53% Monthly USD 724,350 May 2033 MSI 3,786 3,786
Pay iShares iBoxx $ High Yield Corporate Bond ETF 1-Day USD OBFR - 1.13% Monthly USD 6,886,868 May 2033 MSI (11,190) (11,190)
Receive Agilent Technologies, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,195,057 May 2033 GSI (30,642) (30,642)
Receive AIA Group, Ltd. 1-Day HKD HONIA Compounded OIS + 0.20% Monthly HKD 8,225,550 May 2033 GSI 6,704 6,704
Receive Alcon, Inc. 1-Day CHF SARON Compounded OIS + 0.20% Monthly CHF 439,843 May 2033 GSI 7,618 7,618
Receive Alphabet, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 608,754 May 2033 GSI 65,755 65,755
Receive Amazon.com, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,002,901 May 2033 GSI 23,212 23,212
Receive Amoy Diagnostics Company, Ltd., Class A 1-Day USD OBFR + 0.75% Monthly USD 280,024 May 2033 GSI 6,455 6,455
Receive AstraZeneca PLC 1-Day GBP SONIA Compounded OIS + 0.20% Monthly GBP 310,184 May 2033 GSI 16,558 16,558
Receive Avantor, Inc. 1-Day USD OBFR + 0.25% Monthly USD 808,448 May 2033 GSI (40,784) (40,784)
Receive BAWAG Group AG 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 258,560 May 2033 GSI 3,788 3,788
Receive Bayer AG 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 1,426,315 May 2033 GSI 25,800 25,800
Receive BlackRock, Inc. 1-Day USD OBFR + 0.25% Monthly USD 288,338 May 2033 GSI (6,323) (6,323)
Receive Block, Inc. 1-Day USD OBFR + 0.25% Monthly USD 823,702 May 2033 GSI 42,972 42,972
Receive Boliden AB 1-Month SEK STIBOR + 0.20% Monthly SEK 6,443,042 May 2033 GSI 50,176 50,176
Receive Boston Scientific Corp. 1-Day USD OBFR + 0.25% Monthly USD 3,201,933 May 2033 GSI (113,685) (113,685)
Receive CBRE Group, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 1,402,011 May 2033 GSI (81,393) (81,393)
Receive China Gas Holdings, Ltd. 1-Day HKD HONIA Compounded OIS + 0.20% Monthly HKD 3,955,684 May 2033 GSI 21,773 21,773
Receive China Longyuan Power Group Corp, Ltd., H Shares 1-Day HKD HONIA Compounded OIS + 0.20% Monthly HKD 10,409,610 May 2033 GSI (11,861) (11,861)
Receive China Resources Gas Group, Ltd. 1-Day HKD HONIA Compounded OIS + 0.20% Monthly HKD 7,421,067 May 2033 GSI 75,402 75,402
Receive Contemporary Amperex Technology Company, Ltd., Class A 1-Day USD OBFR + 0.75% Monthly USD 864,472 May 2033 GSI 66,760 66,760
Receive Daiichi Sankyo Company, Ltd. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 315,825,410 May 2033 GSI 230,222 230,222
Receive Datadog, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 1,081,746 May 2033 GSI 61,630 61,630
Receive Edwards Lifesciences Corp. 1-Day USD OBFR + 0.25% Monthly USD 162,138 May 2033 GSI (19,376) (19,376)
Receive Eisai Company, Ltd. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 94,520,340 May 2033 GSI (7,971) (7,971)
Receive Elanco Animal Health, Inc. 1-Day USD OBFR + 0.25% Monthly USD 4,339 May 2033 GSI 166 166
Receive Encompass Health Corp. 1-Day USD OBFR + 0.25% Monthly USD 785,514 May 2033 GSI (31,160) (31,160)
Receive ENN Energy Holdings, Ltd. 1-Day HKD HONIA Compounded OIS + 0.20% Monthly HKD 9,786,470 May 2033 GSI 75,595 75,595
Receive FinecoBank SpA 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 569,688 May 2033 GSI 12,979 12,979
Receive FNB Corp. 1-Day USD OBFR + 0.25% Monthly USD 304,601 May 2033 GSI 4,067 4,067
Receive Genmab A/S 1-Month DKK CIBOR + 0.20% Monthly DKK 3,632,928 May 2033 GSI 2,903 2,903
Receive Genpact, Ltd. 1-Day USD OBFR + 0.25% Monthly USD 1,175,204 May 2033 GSI (52,921) (52,921)
Receive Glaukos Corp. 1-Day USD OBFR + 0.25% Monthly USD 410,461 May 2033 GSI 3,578 3,578
Receive Global Payments, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,174,823 May 2033 GSI (20,181) (20,181)
Receive GSK PLC 1-Day GBP SONIA Compounded OIS + 0.20% Monthly GBP 1,250,575 May 2033 GSI 10,948 10,948
Receive Humana, Inc. 1-Day USD OBFR + 0.25% Monthly USD 122,143 May 2033 GSI 2,161 2,161
SEE NOTES TO FUND’S INVESTMENTS QUARTERLY REPORT |JOHN HANCOCK SEAPORT LONG/SHORT FUND 17

Total return swaps (continued)
Pay/
receive
total
return*
Reference
entity
Floating/
fixed
rate
Payment
frequency
Currency Notional
amount
Maturity
date
Counterparty
(OTC)
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Receive IMI PLC 1-Day GBP SONIA Compounded OIS + 0.20% Monthly GBP 687,440 May 2033 GSI $(1,990) $(1,990)
Receive Immatics NV 1-Day USD OBFR + 0.25% Monthly USD 735,904 May 2033 GSI (1,667) (1,667)
Receive Inari Medical, Inc. 1-Day USD OBFR + 0.25% Monthly USD 126,124 May 2033 GSI 1,188 1,188
Receive Intercontinental Exchange, Inc. 1-Day USD OBFR + 0.25% Monthly USD 2,583,984 May 2033 GSI (27,114) (27,114)
Receive Kunlun Energy Company, Ltd. 1-Day HKD HONIA Compounded OIS + 0.20% Monthly HKD 9,301,871 May 2033 GSI 91,918 91,918
Receive Mirati Therapeutics, Inc. 1-Day USD OBFR + 0.25% Monthly USD 77,662 May 2033 GSI (8,571) (8,571)
Receive Mitsubishi UFJ Financial Group, Inc. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 104,315,400 May 2033 GSI 57,036 57,036
Receive Molina Healthcare, Inc. 1-Day USD OBFR + 0.25% Monthly USD 527,070 May 2033 GSI (23,555) (23,555)
Receive MongoDB, Inc. 1-Day USD OBFR + 0.25% Monthly USD 80,465 May 2033 GSI 1,695 1,695
Receive Nikon Corp. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 69,667,700 May 2033 GSI 21,921 21,921
Receive Nippon Shinyaku Company, Ltd. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 12,061,530 May 2033 GSI 5,075 5,075
Receive Novartis AG 1-Day CHF SARON Compounded OIS + 0.20% Monthly CHF 927,235 May 2033 GSI 4,105 4,105
Receive Panasonic Holdings Corp. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 72,533,813 May 2033 GSI 20,706 20,706
Receive PTC Therapeutics, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,111,664 May 2033 GSI 27,517 27,517
Receive Remegen Company, Ltd., H Shares 1-Day HKD HONIA Compounded OIS + 0.20% Monthly HKD 4,085,250 May 2033 GSI 30,250 30,250
Receive Resona Holdings, Inc. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 204,209,460 May 2033 GSI 130,846 130,846
Receive REVOLUTION Medicines, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,014,279 May 2033 GSI (26,794) (26,794)
Receive RH 1-Day USD OBFR + 0.25% Monthly USD 914,419 May 2033 GSI 25,863 25,863
Receive Rheinmetall AG 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 16,216 May 2033 GSI (46) (46)
Receive Roku, Inc. 1-Day USD OBFR + 0.25% Monthly USD 347,124 May 2033 GSI 105,239 105,239
Receive S&P Global, Inc. 1-Day USD OBFR + 0.25% Monthly USD 50,855 May 2033 GSI (3,979) (3,979)
Receive Sage Therapeutics, Inc. 1-Day USD OBFR + 0.25% Monthly USD 310,515 May 2033 GSI (75,939) (75,939)
Receive ServiceNow, Inc. 1-Day USD OBFR + 0.25% Monthly USD 885,686 May 2033 GSI 1,696 1,696
Receive Shandong Weigao Group Medical Polymer Company, Ltd., H Shares 1-Day HKD HONIA Compounded OIS + 0.20% Monthly HKD 2,184,095 May 2033 GSI (8,445) (8,445)
Receive Shopify, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 1,005,093 May 2033 GSI 27,574 27,574
Receive Skyworks Solutions, Inc. 1-Day USD OBFR + 0.25% Monthly USD 441,461 May 2033 GSI 9,155 9,155
Receive Spotify Technology SA 1-Day USD OBFR + 0.25% Monthly USD 882,408 May 2033 GSI (122,629) (122,629)
Receive Syndax Pharmaceuticals, Inc. 1-Day USD OBFR + 0.25% Monthly USD 768,059 May 2033 GSI (5,910) (5,910)
Receive Taiwan Semiconductor Manufacturing Company, Ltd. 1-Day USD OBFR + 0.55% Monthly USD 354,350 May 2033 GSI (9,162) (9,162)
Receive Tecan Group AG 1-Day CHF SARON Compounded OIS + 0.20% Monthly CHF 7,352 May 2033 GSI 323 323
Receive Teleflex, Inc. 1-Day USD OBFR + 0.25% Monthly USD 137,655 May 2033 GSI (4,254) (4,254)
Receive Tokyo Electron, Ltd. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 67,485,000 May 2033 GSI 20,926 20,926
Receive UCB SA 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 70,671 May 2033 GSI (1,732) (1,732)
Receive Veracyte, Inc. 1-Day USD OBFR + 0.25% Monthly USD 95,940 May 2033 GSI (2,439) (2,439)
Receive Wacker Chemie AG 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 467,287 May 2033 GSI 2,492 2,492
Receive Wells Fargo & Company 1-Day USD OBFR + 0.25% Monthly USD 3,466,270 May 2033 GSI (90,148) (90,148)
Receive WEX, Inc. 1-Day USD OBFR + 0.25% Monthly USD 292,485 May 2033 GSI (10,274) (10,274)
Receive Wolfspeed, Inc. 1-Day USD OBFR + 0.25% Monthly USD 996,198 May 2033 GSI 34,093 34,093
Receive Zhejiang HangKe Technology, Inc., Class A 1-Day USD OBFR + 0.75% Monthly USD 2,107 May 2033 GSI $(3) (9) (12)
18 JOHN HANCOCK SEAPORT LONG/SHORT FUND |QUARTERLY REPORT SEE NOTES TO FUND’S INVESTMENTS

Total return swaps (continued)
Pay/
receive
total
return*
Reference
entity
Floating/
fixed
rate
Payment
frequency
Currency Notional
amount
Maturity
date
Counterparty
(OTC)
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Receive Zoetis, Inc. 1-Day USD OBFR + 0.25% Monthly USD 312,673 May 2033 GSI $29,060 $29,060
Receive Admiral Group PLC 1-Day GBP SONIA Compounded OIS + 0.20% Monthly GBP 1,671,499 May 2028 JPM 48,071 48,071
Receive AES Corp. 1-Day USD OBFR + 0.25% Monthly USD 2,846,415 May 2028 JPM 35,879 35,879
Receive Agilent Technologies, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,045,745 May 2028 JPM 18,152 18,152
Receive Allianz SE 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 1,182,205 May 2028 JPM 58,433 58,433
Receive Alphabet, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 2,306,797 May 2028 JPM 199,727 199,727
Receive Alphabet, Inc., Class C 1-Day USD OBFR + 0.25% Monthly USD 2,588,474 May 2028 JPM 212,098 212,098
Receive Amazon.com, Inc. 1-Day USD OBFR + 0.25% Monthly USD 2,471,614 May 2028 JPM 53,856 53,856
Receive American Electric Power Company, Inc. 1-Day USD OBFR + 0.25% Monthly USD 429,686 May 2028 JPM (6,821) (6,821)
Receive Anglo American PLC 1-Day GBP SONIA Compounded OIS + 0.20% Monthly GBP 307,472 May 2028 JPM 20,883 20,883
Receive Antero Resources Corp. 1-Day USD OBFR + 0.25% Monthly USD 1,529,411 May 2028 JPM 247,851 247,851
Receive ASML Holding NV, NYRS 1-Day USD OBFR + 0.25% Monthly USD 2,389,622 May 2028 JPM (5,943) (5,943)
Receive AstraZeneca PLC 1-Day GBP SONIA Compounded OIS + 0.20% Monthly GBP 1,177,121 May 2028 JPM 76,749 76,749
Receive Atlassian Corp., Class A 1-Day USD OBFR + 0.25% Monthly USD 579,955 May 2028 JPM 28,775 28,775
Receive Banco Santander SA 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 1,322,836 May 2028 JPM $(1,838) 66,308 64,470
Receive BAWAG Group AG 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 26,388 May 2028 JPM 2,535 2,535
Receive Becton Dickinson & Company 1-Day USD OBFR + 0.25% Monthly USD 276,439 May 2028 JPM 18,483 18,483
Receive Blueprint Medicines Corp. 1-Day USD OBFR + 0.25% Monthly USD 238,346 May 2028 JPM 16,103 16,103
Receive Boston Scientific Corp. 1-Day USD OBFR + 0.25% Monthly USD 528,080 May 2028 JPM (15,743) (15,743)
Receive Cboe Global Markets, Inc. 1-Day USD OBFR + 0.25% Monthly USD 773,192 May 2028 JPM 6,294 6,294
Receive Chesapeake Energy Corp. 1-Day USD OBFR + 0.25% Monthly USD 1,080,031 May 2028 JPM 9,550 9,550
Receive China Merchants Bank Company, Ltd., H Shares 1-Day HKD HONIA Compounded OIS + 0.30% Monthly HKD 2,729,682 May 2028 JPM 17,925 17,925
Receive Concordia Financial Group, Ltd. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 70,552,320 May 2028 JPM 60,279 60,279
Receive Daiichi Sankyo Company, Ltd. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 29,995,200 May 2028 JPM 10,917 10,917
Receive Diamondback Energy, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,947,768 May 2028 JPM 242,504 242,504
Receive Disco Corp. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 68,172,214 May 2028 JPM 47,141 47,141
Receive Dynatrace, Inc. 1-Day USD OBFR + 0.25% Monthly USD 255,456 May 2028 JPM 15,399 15,399
Receive Eisai Company, Ltd. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 14,011,330 May 2028 JPM (9,210) (9,210)
Receive Elanco Animal Health, Inc. 1-Day USD OBFR + 0.25% Monthly USD 181,764 May 2028 JPM 39,201 39,201
Receive Eli Lilly & Company 1-Day USD OBFR + 0.25% Monthly USD 405,625 May 2028 JPM (11,140) (11,140)
Receive Encompass Health Corp. 1-Day USD OBFR + 0.25% Monthly USD 246,566 May 2028 JPM (3,230) (3,230)
Receive Engie SA 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 2,455,406 May 2028 JPM (72,276) (72,276)
Receive EQT Corp. 1-Day USD OBFR + 0.25% Monthly USD 1,716,677 May 2028 JPM 69,592 69,592
Receive FinecoBank SpA 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 10,565 May 2028 JPM 1,623 1,623
Receive Fortrea Holdings, Inc. 1-Day USD OBFR + 0.25% Monthly USD 399,637 May 2028 JPM (55,844) (55,844)
Receive HCA Healthcare, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,658,528 May 2028 JPM (147,816) (147,816)
Receive Health Catalyst, Inc. 1-Day USD OBFR + 0.25% Monthly USD 244,996 May 2028 JPM 45,685 45,685
Receive Hologic, Inc. 1-Day USD OBFR + 0.25% Monthly USD 41,070 May 2028 JPM 163 163
Receive Humana, Inc. 1-Day USD OBFR + 0.25% Monthly USD 481,924 May 2028 JPM 12,084 12,084
Receive Immunocore Holdings PLC, ADR 1-Day USD OBFR + 0.25% Monthly USD 1,169,043 May 2028 JPM 102,829 102,829
SEE NOTES TO FUND’S INVESTMENTS QUARTERLY REPORT |JOHN HANCOCK SEAPORT LONG/SHORT FUND 19

Total return swaps (continued)
Pay/
receive
total
return*
Reference
entity
Floating/
fixed
rate
Payment
frequency
Currency Notional
amount
Maturity
date
Counterparty
(OTC)
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Receive ING Groep NV 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 1,109,337 May 2028 JPM $72,232 $72,232
Receive Insulet Corp. 1-Day USD OBFR + 0.25% Monthly USD 201,341 May 2028 JPM (4,450) (4,450)
Receive Kasikornbank PCL 1-Day USD OBFR + 1.00% Monthly USD 228,680 May 2028 JPM (10,885) (10,885)
Receive KBC Group NV 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 319,245 May 2028 JPM 20,570 20,570
Receive Laboratory Corp of America Holdings 1-Day USD OBFR + 0.25% Monthly USD 2,262,161 May 2028 JPM 40,532 40,532
Receive Lancashire Holdings, Ltd. 1-Day GBP SONIA Compounded OIS + 0.20% Monthly GBP 272,329 May 2028 JPM 15,973 15,973
Receive Lifetech Scientific Corp. 1-Day HKD HONIA Compounded OIS + 0.30% Monthly HKD 56,768 May 2028 JPM (243) (243)
Receive Micron Technology, Inc. 1-Day USD OBFR + 0.25% Monthly USD 343,660 May 2028 JPM 41,498 41,498
Receive Microsoft Corp. 1-Day USD OBFR + 0.25% Monthly USD 846,051 May 2028 JPM (8,558) (8,558)
Receive Mitsubishi UFJ Financial Group, Inc. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 18,522,400 May 2028 JPM 5,887 5,887
Receive Muenchener Rueckversicherungs-Gesellschaft AG 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 644,111 May 2028 JPM 13,278 13,278
Receive Nikon Corp. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 139,223,700 May 2028 JPM (3,151) (3,151)
Receive Novartis AG 1-Day CHF SARON Compounded OIS + 0.20% Monthly CHF 747,264 May 2028 JPM 22,551 22,551
Receive ON Semiconductor Corp. 1-Day USD OBFR + 0.25% Monthly USD 323,094 May 2028 JPM 50,307 50,307
Receive Palo Alto Networks, Inc. 1-Day USD OBFR + 0.25% Monthly USD 2,369,401 May 2028 JPM (81,111) (81,111)
Receive Panasonic Holdings Corp. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 14,960,092 May 2028 JPM (1,299) (1,299)
Receive Pfizer, Inc. 1-Day USD OBFR + 0.25% Monthly USD 2,414,564 May 2028 JPM (7,839) (7,839)
Receive QuidelOrtho Corp. 1-Day USD OBFR + 0.25% Monthly USD 446,311 May 2028 JPM 17,833 17,833
Receive Renesas Electronics Corp. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 250,356,015 May 2028 JPM (55,968) (55,968)
Receive S&P Global, Inc. 1-Day USD OBFR + 0.25% Monthly USD 363,236 May 2028 JPM (5,906) (5,906)
Receive Shandong Weigao Group Medical Polymer Company, Ltd., H Shares 1-Day HKD HONIA Compounded OIS + 0.30% Monthly HKD 2,298,274 May 2028 JPM (10,105) (10,105)
Receive Shibaura Mechatronics Corp. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 147,908,440 May 2028 JPM 8,544 8,544
Receive Shopify, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 891,709 May 2028 JPM 18,957 18,957
Receive SKC Company, Ltd. 1-Day USD OBFR + 0.50% Monthly USD 1,193,355 May 2028 JPM (65,821) (65,821)
Receive Societe Generale SA 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 1,991,408 May 2028 JPM 37,524 37,524
Receive Sony Group Corp. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 162,432,716 May 2028 JPM 16,796 16,796
Receive Spotify Technology SA 1-Day USD OBFR + 0.25% Monthly USD 498,424 May 2028 JPM (36,858) (36,858)
Receive Taiwan Semiconductor Manufacturing Company, Ltd. 1-Day USD OBFR + 0.50% Monthly USD 1,258,484 May 2028 JPM (40,578) (40,578)
Receive Talanx AG 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 29,380 May 2028 JPM 2,221 2,221
Receive Teleflex, Inc. 1-Day USD OBFR + 0.25% Monthly USD 763,203 May 2028 JPM 40,868 40,868
Receive The Bank of Kyoto, Ltd. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 185,522,400 May 2028 JPM 183,236 183,236
Receive Thermo Fisher Scientific, Inc. 1-Day USD OBFR + 0.25% Monthly USD 2,080,318 May 2028 JPM 106,202 106,202
Receive Tokyo Electron, Ltd. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 119,637,495 May 2028 JPM 27,905 27,905
Receive Tokyo Seimitsu Company, Ltd. 1-Day JPY TONAR Compounded OIS + 0.20% Monthly JPY 26,290,817 May 2028 JPM 5,693 5,693
Receive Transocean, Ltd. 1-Day USD OBFR + 0.25% Monthly USD 811,396 May 2028 JPM 157,215 157,215
Receive Trupanion, Inc. 1-Day USD OBFR + 0.25% Monthly USD 18,370 May 2028 JPM 7,325 7,325
Receive UBS Group AG 1-Day CHF SARON Compounded OIS + 0.20% Monthly CHF 617,390 May 2028 JPM 18,444 18,444
20 JOHN HANCOCK SEAPORT LONG/SHORT FUND |QUARTERLY REPORT SEE NOTES TO FUND’S INVESTMENTS

Total return swaps (continued)
Pay/
receive
total
return*
Reference
entity
Floating/
fixed
rate
Payment
frequency
Currency Notional
amount
Maturity
date
Counterparty
(OTC)
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Receive UniCredit SpA 1-Day EUR ESTR Compounded OIS + 0.20% Monthly EUR 259,976 May 2028 JPM $(1,492) $(1,492)
Receive Unimicron Technology Corp. 1-Day USD OBFR + 0.50% Monthly USD 711,737 May 2028 JPM 54,878 54,878
Receive UnitedHealth Group, Inc. 1-Day USD OBFR + 0.25% Monthly USD 2,717,526 May 2028 JPM 193,142 193,142
Receive Vaxcyte, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,245,213 May 2028 JPM (14,408) (14,408)
Receive Waters Corp. 1-Day USD OBFR + 0.25% Monthly USD 1,078,502 May 2028 JPM 35,247 35,247
Receive Wells Fargo & Company 1-Day USD OBFR + 0.25% Monthly USD 1,406,187 May 2028 JPM 81,723 81,723
Receive Weyerhaeuser Company 1-Day USD OBFR + 0.25% Monthly USD 1,093,762 May 2028 JPM 23,131 23,131
Receive Wiwynn Corp. 1-Day USD OBFR + 0.50% Monthly USD 532,729 May 2028 JPM 113,822 113,822
Receive Wolfspeed, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,641,645 May 2028 JPM 70,060 70,060
Receive Abcam PLC, ADR 1-Day USD OBFR + 0.25% Monthly USD 744,981 May 2033 MSI (14,478) (14,478)
Receive Accton Technology Corp. 1-Day USD OBFR + 0.55% Monthly USD 642,695 May 2033 MSI (26,577) (26,577)
Receive Activision Blizzard, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,040,130 May 2033 MSI (6,926) (6,926)
Receive Adyen NV 1-Day EUR ESTR Compounded OIS + 0.30% Monthly EUR 1,363,083 May 2033 MSI 134,557 134,557
Receive Affirm Holdings, Inc. 1-Day USD OBFR + 0.25% Monthly USD 792,160 May 2033 MSI 103,585 103,585
Receive Alnylam Pharmaceuticals, Inc. 1-Day USD OBFR + 0.25% Monthly USD 992,650 May 2033 MSI (38,180) (38,180)
Receive Alphabet, Inc., Class C 1-Day USD OBFR + 0.25% Monthly USD 632,053 May 2033 MSI 39,528 39,528
Receive Amicus Therapeutics, Inc. 1-Day USD OBFR + 0.25% Monthly USD 859,980 May 2033 MSI 15,818 15,818
Receive Anglo American PLC 1-Day GBP SONIA Compounded OIS + 0.30% Monthly GBP 1,407,421 May 2033 MSI 80,189 80,189
Receive ASML Holding NV, NYRS 1-Day USD OBFR + 0.25% Monthly USD 740,155 May 2033 MSI (38,712) (38,712)
Receive ASR Nederland NV 1-Day EUR ESTR Compounded OIS + 0.30% Monthly EUR 372,180 May 2033 MSI 15,883 15,883
Receive AstraZeneca PLC 1-Day GBP SONIA Compounded OIS + 0.30% Monthly GBP 1,096,908 May 2033 MSI 134,906 134,906
Receive Atlassian Corp., Class A 1-Day USD OBFR + 0.25% Monthly USD 722,983 May 2033 MSI 4,727 4,727
Receive Bayer AG 1-Day EUR ESTR Compounded OIS + 0.30% Monthly EUR 631,416 May 2033 MSI 40,218 40,218
Receive BILL Holdings, Inc. 1-Day USD OBFR + 0.25% Monthly USD 641,608 May 2033 MSI (24,982) (24,982)
Receive BlackRock, Inc. 1-Day USD OBFR + 0.25% Monthly USD 485,489 May 2033 MSI 6,435 6,435
Receive Block, Inc. 1-Day USD OBFR + 0.25% Monthly USD 629,164 May 2033 MSI 18,756 18,756
Receive BNP Paribas SA 1-Day EUR ESTR Compounded OIS + 0.30% Monthly EUR 643,659 May 2033 MSI 39,936 39,936
Receive Boston Scientific Corp. 1-Day USD OBFR + 0.25% Monthly USD 814,561 May 2033 MSI (13,258) (13,258)
Receive British American Tobacco PLC 1-Day GBP SONIA Compounded OIS + 0.30% Monthly GBP 3,833,115 May 2033 MSI 294,723 294,723
Receive Broadcom, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,205,577 May 2033 MSI (5,390) (5,390)
Receive Burlington Stores, Inc. 1-Day USD OBFR + 0.25% Monthly USD 2,081,321 May 2033 MSI 111,317 111,317
Receive Cboe Global Markets, Inc. 1-Day USD OBFR + 0.25% Monthly USD 197,442 May 2033 MSI (2,251) (2,251)
Receive CBRE Group, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 1,317,814 May 2033 MSI (60,080) (60,080)
Receive Celldex Therapeutics, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,056,188 May 2033 MSI (47,109) (47,109)
Receive Ceridian HCM Holding, Inc. 1-Day USD OBFR + 0.25% Monthly USD 644,449 May 2033 MSI 371 371
Receive Chipotle Mexican Grill, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,480,389 May 2033 MSI 12,688 12,688
Receive Citizens Financial Group, Inc. 1-Day USD OBFR + 0.25% Monthly USD 658,970 May 2033 MSI (14,016) (14,016)
Receive Datadog, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 1,056,204 May 2033 MSI 35,062 35,062
Receive Deckers Outdoor Corp. 1-Day USD OBFR + 0.25% Monthly USD 1,700,380 May 2033 MSI (14,792) (14,792)
Receive Disco Corp. 1-Day JPY TONAR Compounded OIS + 0.35% Monthly JPY 85,517,186 May 2033 MSI 90,639 90,639
Receive Dynatrace, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,028,896 May 2033 MSI (7,311) (7,311)
Receive Ebara Corp. 1-Day JPY TONAR Compounded OIS + 0.35% Monthly JPY 122,085,821 May 2033 MSI (7,892) (7,892)
Receive Eisai Company, Ltd. 1-Day JPY TONAR Compounded OIS + 0.35% Monthly JPY 41,039,488 May 2033 MSI (513) (513)
SEE NOTES TO FUND’S INVESTMENTS QUARTERLY REPORT |JOHN HANCOCK SEAPORT LONG/SHORT FUND 21

Total return swaps (continued)
Pay/
receive
total
return*
Reference
entity
Floating/
fixed
rate
Payment
frequency
Currency Notional
amount
Maturity
date
Counterparty
(OTC)
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Receive Encompass Health Corp. 1-Day USD OBFR + 0.25% Monthly USD 735,646 May 2033 MSI $(17,794) $(17,794)
Receive Erste Group Bank AG 1-Day EUR ESTR Compounded OIS + 0.30% Monthly EUR 211,556 May 2033 MSI 7,898 7,898
Receive EXOR NV 1-Day EUR ESTR Compounded OIS + 0.30% Monthly EUR 313,217 May 2033 MSI 2,362 2,362
Receive FinecoBank SpA 1-Day EUR ESTR Compounded OIS + 0.30% Monthly EUR 317,522 May 2033 MSI 10,175 10,175
Receive First Solar, Inc. 1-Day USD OBFR + 0.25% Monthly USD 374,145 May 2033 MSI 564 564
Receive Fluor Corp. 1-Day USD OBFR + 0.25% Monthly USD 641,615 May 2033 MSI 8,069 8,069
Receive FNB Corp. 1-Day USD OBFR + 0.25% Monthly USD 2,011,652 May 2033 MSI 99,953 99,953
Receive Fortrea Holdings, Inc. 1-Day USD OBFR + 0.25% Monthly USD 18,409 May 2033 MSI (673) (673)
Receive Genpact, Ltd. 1-Day USD OBFR + 0.25% Monthly USD 720,067 May 2033 MSI (60,872) (60,872)
Receive Genus PLC 1-Day GBP SONIA Compounded OIS + 0.30% Monthly GBP 75,313 May 2033 MSI 4,810 4,810
Receive Hangzhou Tigermed Consulting Company, Ltd., Class A 1-Day USD OBFR + 0.70% Monthly USD 352,859 May 2033 MSI 30,948 30,948
Receive HCA Healthcare, Inc. 1-Day USD OBFR + 0.25% Monthly USD 820,127 May 2033 MSI (55,032) (55,032)
Receive HubSpot, Inc. 1-Day USD OBFR + 0.25% Monthly USD 314,891 May 2033 MSI 12,543 12,543
Receive Humana, Inc. 1-Day USD OBFR + 0.25% Monthly USD 43,441 May 2033 MSI 2,251 2,251
Receive Inari Medical, Inc. 1-Day USD OBFR + 0.25% Monthly USD 454,822 May 2033 MSI (5,487) (5,487)
Receive Insulet Corp. 1-Day USD OBFR + 0.25% Monthly USD 1,241,971 May 2033 MSI (50,623) (50,623)
Receive Intellia Therapeutics, Inc. 1-Day USD OBFR + 0.25% Monthly USD 653,521 May 2033 MSI (27,853) (27,853)
Receive Intuitive Surgical, Inc. 1-Day USD OBFR + 0.25% Monthly USD 424,254 May 2033 MSI (36,075) (36,075)
Receive Japan Post Insurance Company, Ltd. 1-Day JPY TONAR Compounded OIS + 0.35% Monthly JPY 49,058,951 May 2033 MSI 2,602 2,602
Receive JPMorgan Chase & Co. 1-Day USD OBFR + 0.25% Monthly USD 1,810,498 May 2033 MSI 66,677 66,677
Receive Kymera Therapeutics, Inc. 1-Day USD OBFR + 0.25% Monthly USD 61,927 May 2033 MSI (1,980) (1,980)
Receive Laboratory Corp of America Holdings 1-Day USD OBFR + 0.25% Monthly USD 118,200 May 2033 MSI 529 529
Receive Lifetech Scientific Corp. 1-Day HKD HONIA Compounded OIS + 0.40% Monthly HKD 4,501,008 May 2033 MSI (48,266) (48,266)
Receive MercadoLibre, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,624,896 May 2033 MSI 78,162 78,162
Receive Micron Technology, Inc. 1-Day USD OBFR + 0.25% Monthly USD 254,971 May 2033 MSI 23,911 23,911
Receive Molina Healthcare, Inc. 1-Day USD OBFR + 0.25% Monthly USD 59,682 May 2033 MSI 802 802
Receive MongoDB, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,704,193 May 2033 MSI 56,148 56,148
Receive Morphic Holding, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,083,608 May 2033 MSI (49,645) (49,645)
Receive Netflix, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,609,484 May 2033 MSI (53,089) (53,089)
Receive Nippon Shinyaku Company, Ltd. 1-Day JPY TONAR Compounded OIS + 0.35% Monthly JPY 40,424,062 May 2033 MSI 14,217 14,217
Receive Nova, Ltd. 1-Day USD OBFR + 0.25% Monthly USD 575,846 May 2033 MSI 25,076 25,076
Receive Owens & Minor, Inc. 1-Day USD OBFR + 0.25% Monthly USD 6,979 May 2033 MSI (27) (27)
Receive Panasonic Holdings Corp. 1-Day JPY TONAR Compounded OIS + 0.35% Monthly JPY 60,029,550 May 2033 MSI 18,703 18,703
Receive Pinterest, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 109,662 May 2033 MSI (803) (803)
Receive QuidelOrtho Corp. 1-Day USD OBFR + 0.25% Monthly USD 57,526 May 2033 MSI 2,822 2,822
Receive Rambus, Inc. 1-Day USD OBFR + 0.25% Monthly USD 522,012 May 2033 MSI (10,130) (10,130)
Receive Regeneron Pharmaceuticals, Inc. 1-Day USD OBFR + 0.25% Monthly USD 2,293,998 May 2033 MSI 60,334 60,334
Receive Rheinmetall AG 1-Day EUR ESTR Compounded OIS + 0.30% Monthly EUR 703,692 May 2033 MSI 11,915 11,915
Receive Rivian Automotive, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 509,572 May 2033 MSI 76,597 76,597
Receive Ross Stores, Inc. 1-Day USD OBFR + 0.25% Monthly USD 658,082 May 2033 MSI 24,999 24,999
Receive S&P Global, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,112,344 May 2033 MSI (63,012) (63,012)
Receive Sage Therapeutics, Inc. 1-Day USD OBFR + 0.25% Monthly USD 699,838 May 2033 MSI (178,839) (178,839)
Receive Sarepta Therapeutics, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,572,442 May 2033 MSI 13,243 13,243
22 JOHN HANCOCK SEAPORT LONG/SHORT FUND |QUARTERLY REPORT SEE NOTES TO FUND’S INVESTMENTS

Total return swaps (continued)
Pay/
receive
total
return*
Reference
entity
Floating/
fixed
rate
Payment
frequency
Currency Notional
amount
Maturity
date
Counterparty
(OTC)
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Receive SCREEN Holdings Company, Ltd. 1-Day JPY TONAR Compounded OIS + 0.35% Monthly JPY 81,997,056 May 2033 MSI $(12,459) $(12,459)
Receive Seagen, Inc. 1-Day USD OBFR + 0.25% Monthly USD 769,850 May 2033 MSI (24,084) (24,084)
Receive ServiceNow, Inc. 1-Day USD OBFR + 0.25% Monthly USD 831,109 May 2033 MSI (14,682) (14,682)
Receive Shandong Weigao Group Medical Polymer Company, Ltd., H Shares 1-Day HKD HONIA Compounded OIS + 0.40% Monthly HKD 44,583 May 2033 MSI (242) (242)
Receive Shopify, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 2,333,405 May 2033 MSI (33,740) (33,740)
Receive Skyworks Solutions, Inc. 1-Day USD OBFR + 0.25% Monthly USD 376,593 May 2033 MSI (2,492) (2,492)
Receive Splunk, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,856,202 May 2033 MSI (49,189) (49,189)
Receive Stryker Corp. 1-Day USD OBFR + 0.25% Monthly USD 1,472,794 May 2033 MSI (74,013) (74,013)
Receive Take-Two Interactive Software, Inc. 1-Day USD OBFR + 0.25% Monthly USD 368,642 May 2033 MSI (120) (120)
Receive Talanx AG 1-Day EUR ESTR Compounded OIS + 0.30% Monthly EUR 1,562,864 May 2033 MSI 85,361 85,361
Receive The Azek Company, Inc. 1-Day USD OBFR + 0.25% Monthly USD 230,412 May 2033 MSI (1,451) (1,451)
Receive The Chiba Bank, Ltd. 1-Day JPY TONAR Compounded OIS + 0.35% Monthly JPY 101,571,340 May 2033 MSI 60,896 60,896
Receive Tokyo Seimitsu Company, Ltd. 1-Day JPY TONAR Compounded OIS + 0.35% Monthly JPY 49,216,000 May 2033 MSI 8,567 8,567
Receive Trupanion, Inc. 1-Day USD OBFR + 0.25% Monthly USD 342,076 May 2033 MSI 54,029 54,029
Receive Ultragenyx Pharmaceutical, Inc. 1-Day USD OBFR + 0.25% Monthly USD 651,709 May 2033 MSI (19,125) (19,125)
Receive Ulvac, Inc. 1-Day JPY TONAR Compounded OIS + 0.35% Monthly JPY 95,989,800 May 2033 MSI 7,229 7,229
Receive Unicaja Banco SA 1-Day EUR ESTR Compounded OIS + 0.30% Monthly EUR 320,426 May 2033 MSI 1,230 1,230
Receive Unimicron Technology Corp. 1-Day USD OBFR + 0.55% Monthly USD 462,911 May 2033 MSI 22,857 22,857
Receive VanEck Gold Miners ETF 1-Day USD OBFR + 0.25% Monthly USD 1,116,936 May 2033 MSI (21,610) (21,610)
Receive Veeva Systems, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 260,863 May 2033 MSI (3,819) (3,819)
Receive Veracyte, Inc. 1-Day USD OBFR + 0.25% Monthly USD 359,908 May 2033 MSI (30,371) (30,371)
Receive Wells Fargo & Company 1-Day USD OBFR + 0.25% Monthly USD 341,098 May 2033 MSI 10,202 10,202
Receive Welltower, Inc. 1-Day USD OBFR + 0.25% Monthly USD 694,334 May 2033 MSI 23,864 23,864
Receive Zoetis, Inc. 1-Day USD OBFR + 0.25% Monthly USD 1,047,258 May 2033 MSI 106,869 106,869
Receive Airbnb, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 126,027 May 2033 MSI 5,691 5,691
Receive Alphabet, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 2,246,025 May 2033 MSI 121,042 121,042
Receive Amazon.com, Inc. 1-Day USD OBFR + 0.25% Monthly USD 659,119 May 2033 MSI (615) (615)
Receive Danaher Corp. 1-Day USD OBFR + 0.25% Monthly USD 72,041 May 2033 MSI 5,192 5,192
Receive FleetCor Technologies, Inc. 1-Day USD OBFR + 0.25% Monthly USD 840,060 May 2033 MSI (32,913) (32,913)
Receive Illumina, Inc. 1-Day USD OBFR + 0.25% Monthly USD 189,296 May 2033 MSI 7,888 7,888
Receive Mastercard, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 2,233,417 May 2033 MSI (44,911) (44,911)
Receive Meta Platforms, Inc., Class A 1-Day USD OBFR + 0.25% Monthly USD 1,589,443 May 2033 MSI 37,924 37,924
Receive Microsoft Corp. 1-Day USD OBFR + 0.25% Monthly USD 820,763 May 2033 MSI (24,792) (24,792)
Receive Mitsubishi UFJ Financial Group, Inc. 1-Day JPY TONAR Compounded OIS + 0.35% Monthly JPY 195,698,100 May 2033 MSI 79,453 79,453
Receive Novartis AG 1-Day CHF SARON Compounded OIS + 0.30% Monthly CHF 631,720 May 2033 MSI 54,434 54,434
Receive NVIDIA Corp. 1-Day USD OBFR + 0.25% Monthly USD 428,370 May 2033 MSI 1,566 1,566
Receive Palo Alto Networks, Inc. 1-Day USD OBFR + 0.25% Monthly USD 865,673 May 2033 MSI (1,896) (1,896)
Receive Spotify Technology SA 1-Day USD OBFR + 0.25% Monthly USD 338,452 May 2033 MSI (56,836) (56,836)
Receive SunPower Corp. 1-Day USD OBFR + 0.25% Monthly USD 315,861 May 2033 MSI (37,089) (37,089)
Receive Uber Technologies, Inc. 1-Day USD OBFR + 0.25% Monthly USD 922,306 May 2033 MSI 78,362 78,362
                $(1,841) $(4,890,491) $(4,892,332)
* Fund will pay or receive the total return of the reference asset depending on whether the return is positive or negative. For contracts where the fund has elected to receive the total return of the reference asset if positive, it will be responsible for paying the floating rate and the total return of the reference asset if negative. If the fund has elected to pay the total return of the reference asset if positive, it will receive (pay) the floating rate and the total return of the reference asset if negative.
SEE NOTES TO FUND’S INVESTMENTS QUARTERLY REPORT |JOHN HANCOCK SEAPORT LONG/SHORT FUND 23

Derivatives Currency Abbreviations
AUD Australian Dollar
CAD Canadian Dollar
CHF Swiss Franc
CNY Chinese Yuan Renminbi
DKK Danish Krone
EUR Euro
GBP Pound Sterling
HKD Hong Kong Dollar
JPY Japanese Yen
KRW Korean Won
SEK Swedish Krona
USD U.S. Dollar
    
Derivatives Abbreviations
ADR American Depositary Receipt
BNP BNP Paribas
CIBOR Copenhagen Interbank Offered Rate
DB Deutsche Bank AG
ESTR Euro Short-Term Rate
GSI Goldman Sachs International
HONIA Hong Kong Overnight Index Average Rate
JPM JPMorgan Chase Bank, N.A.
MSI Morgan Stanley & Co. International PLC
NYRS New York Registry Shares
OBFR Overnight Bank Funding Rate
OIS Overnight Index Swap
OTC Over-the-counter
SARON Swiss Average Rate Overnight
SCB Standard Chartered Bank
SONIA Sterling Overnight Interbank Average Rate
STIBOR Stockholm Interbank Offered Rate
TONAR Tokyo Overnight Average Rate
UBS UBS AG
24 JOHN HANCOCK SEAPORT LONG/SHORT FUND |QUARTERLY REPORT SEE NOTES TO FUND’S INVESTMENTS

Notes to Fund’s investments (unaudited)  
Security valuation. Investments are stated at value as of the scheduled close of regular trading on the New York Stock Exchange (NYSE), normally at 4:00 P.M., Eastern Time. In case of emergency or other disruption resulting in the NYSE not opening for trading or the NYSE closing at a time other than the regularly scheduled close, the net asset value (NAV) may be determined as of the regularly scheduled close of the NYSE pursuant to the Advisor’s Valuation Policies and Procedures.
In order to value the securities, the fund uses the following valuation techniques: Equity securities, including exchange-traded or closed-end funds, are typically valued at the last sale price or official closing price on the exchange or principal market where the security trades. In the event there were no sales during the day or closing prices are not available, the securities are valued using the last available bid price. Investments by the fund in open-end mutual funds, including John Hancock Collateral Trust (JHCT), are valued at their respective NAVs each business day. Debt obligations are typically valued based on evaluated prices provided by an independent pricing vendor. Independent pricing vendors utilize matrix pricing, which takes into account factors such as institutional-size trading in similar groups of securities, yield, quality, coupon rate, maturity, type of issue, trading characteristics and other market data, as well as broker supplied prices. Exchange-traded options are valued at the mid-price of the last quoted bid and ask prices from the exchange where the option trades. Unlisted options are valued using evaluated prices obtained from an independent pricing vendor. Futures contracts whose settlement prices are determined as of the close of the NYSE are typically valued based on the settlement price while other futures contracts are typically valued at the last traded price on the exchange on which they trade. Foreign equity index futures that trade in the electronic trading market subsequent to the close of regular trading may be valued at the last traded price in the electronic trading market as of 4:00 P.M. ET, or may be fair valued based on fair value adjustment factors provided by an independent pricing vendor in order to adjust for events that may occur between the close of foreign exchanges or markets and the close of the NYSE. Swaps are generally valued using evaluated prices obtained from an independent pricing vendor. Forward foreign currency contracts are valued at the prevailing forward rates which are based on foreign currency exchange spot rates and forward points supplied by an independent pricing vendor. Foreign securities and currencies are valued in U.S. dollars based on foreign currency exchange rates supplied by an independent pricing vendor.
In certain instances, the Pricing Committee of the Advisor may determine to value equity securities using prices obtained from another exchange or market if trading on the exchange or market on which prices are typically obtained did not open for trading as scheduled, or if trading closed earlier than scheduled, and trading occurred as normal on another exchange or market.
Other portfolio securities and assets, for which reliable market quotations are not readily available, are valued at fair value as determined in good faith by the Pricing Committee following procedures established by the Advisor and adopted by the Board of Trustees. The frequency with which these fair valuation procedures are used cannot be predicted and fair value of securities may differ significantly from the value that would have been used had a ready market for such securities existed. Trading in foreign securities may be completed before the scheduled daily close of trading on the NYSE. Significant events at the issuer or market level may affect the values of securities between the time when the valuation of the securities is generally determined and the close of the NYSE. If a significant event occurs, these securities may be fair valued, as determined in good faith by the Pricing Committee, following procedures established by the Advisor and adopted by the Board of Trustees. The Advisor uses fair value adjustment factors provided by an independent pricing vendor to value certain foreign securities in order to adjust for events that may occur between the close of foreign exchanges or markets and the close of the NYSE.
The fund uses a three tier hierarchy to prioritize the pricing assumptions, referred to as inputs, used in valuation techniques to measure fair value. Level 1 includes securities valued using quoted prices in active markets for identical securities, including registered investment companies. Level 2 includes securities valued using other significant observable inputs. Observable inputs may include quoted prices for similar securities, interest rates, prepayment speeds and credit risk. Prices for securities valued using these inputs are received from independent pricing vendors and brokers and are based on an evaluation of the inputs described. Level 3 includes securities valued using significant unobservable inputs when market prices are not readily available or reliable, including the Advisor’s assumptions in determining the fair value of investments. Factors used in determining value may include market or issuer specific events or trends, changes in interest rates and credit quality. The inputs or methodology used for valuing securities are not necessarily an indication of the risks associated with investing in those securities. Changes in valuation techniques and related inputs may result in transfers into or out of an assigned level within the disclosure hierarchy.
The following is a summary of the values by input classification of the fund’s investments as of July 31, 2023, by major security category or type:
  Total
value at
7-31-23
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
         
Investments in securities:        
Assets        
Common stocks        
Communication services $24,906,216 $19,367,626 $5,538,590
Consumer discretionary 37,820,360 20,387,195 17,433,165
Consumer staples 12,707,775 3,603,285 9,104,490
Energy 41,076,612 36,426,968 4,649,644
Financials 124,124,399 79,679,945 44,444,454
Health care 145,945,341 122,743,914 23,201,427
Industrials 35,307,621 19,992,177 15,315,444
Information technology 90,263,223 81,158,061 9,105,162
  | 25

  Total
value at
7-31-23
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
 (continued)        
Materials $16,647,066 $3,641,065 $13,006,001
Real estate 1,432,456 1,021,794 410,662
Utilities 15,639,196 12,972,267 2,666,929
Preferred securities 1,440,726 1,440,726
Exchange-traded funds 4,432,485 4,432,485
Purchased options 2,557,642 1,131,708 1,425,934
Corporate bonds 906,623 906,623
Short-term investments 176,831,892 55,158,274 121,673,618
Total investments in securities $732,039,633 $463,157,490 $268,882,143
Derivatives:        
Assets        
Forward foreign currency contracts $740,486 $740,486
Swap contracts 7,999,820 7,999,820
Liabilities        
Futures (16,452) $(16,452)
Forward foreign currency contracts (296,127) (296,127)
Written options (725,880) (237,993) (487,887)
Swap contracts (12,892,152) (12,892,152)
Level 3 includes securities valued at $0. Refer to Fund’s investments.
Investment in affiliated underlying funds. The fund may invest in affiliated underlying funds that are managed by the Advisor and its affiliates. Information regarding the fund’s fiscal year to date purchases and sales of the affiliated underlying funds as well as income and capital gains earned by the fund, if any, is as follows:
              Dividends and distributions
Affiliate Ending
share
amount
Beginning
value
Cost of
purchases
Proceeds
from shares
sold
Realized
gain
(loss)
Change in
unrealized
appreciation
(depreciation)
Income
distributions
received
Capital gain
distributions
received
Ending
value
John Hancock Collateral Trust 30,495 $3,545,902 $21,127,131 $(24,369,801) $1,448 $121 $14,518 $304,801
For additional information on the fund’s significant accounting policies and risks, please refer to the fund’s most recent semiannual or annual shareholder report and prospectus.
26 |  

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