NPORT-EX 2 edgar.htm
John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Asia Pacific Total Return Bond Fund
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS - 40.0%      
India - 1.1%          
Republic of India
7.590%, 01/11/2026
INR 150,000,000   $ 2,147,611
Indonesia - 17.9%          
Republic of Indonesia          
3.700%, 10/30/2049 $ 1,500,000     1,539,239
3.850%, 10/15/2030   2,513,000     2,776,277
4.750%, 02/11/2029 to 07/18/2047   5,000,000     5,783,654
6.125%, 05/15/2028 IDR 120,000,000,000     7,608,663
6.625%, 05/15/2033   86,945,000,000     5,328,406
7.000%, 05/15/2027 to 09/15/2030   74,000,000,000     4,955,035
8.375%, 03/15/2024 to 04/15/2039   113,000,000,000     8,014,437
          36,005,711
Malaysia - 7.1%          
Government of Malaysia          
3.418%, 08/15/2022 MYR 7,500,000     1,769,031
3.757%, 04/20/2023   26,000,000     6,217,515
4.181%, 07/15/2024   18,000,000     4,416,622
4.392%, 04/15/2026   8,000,000     2,013,723
          14,416,891
Philippines - 1.7%          
Republic of the Philippines          
3.625%, 09/09/2025 PHP 42,233,286     867,373
3.900%, 11/26/2022   131,000,000     2,573,742
          3,441,115
Singapore - 1.1%          
Republic of Singapore
2.750%, 07/01/2023
SGD 3,000,000     2,281,877
South Korea - 9.1%          
Export-Import Bank of Korea
6.200%, 08/07/2021
INR 137,000,000     1,813,824
Republic of Korea          
1.875%, 06/10/2029 KRW 7,000,000,000     5,881,716
2.000%, 09/10/2022   4,800,000,000     3,978,752
2.375%, 03/10/2023   8,000,000,000     6,723,733
          18,398,025
Thailand - 2.0%          
Kingdom of Thailand
1.200%, 07/14/2021
THB 129,865,200     3,953,660
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $83,501,486)   $ 80,644,890
CORPORATE BONDS - 60.3%      
China - 8.4%          
21Vianet Group, Inc.
7.875%, 10/15/2021
$ 2,000,000     1,967,510
China Aoyuan Group, Ltd.
7.950%, 09/07/2021
  2,500,000     2,537,523
China Hongqiao Group, Ltd.
7.125%, 07/22/2022
  1,700,000     1,557,965
China SCE Group Holdings, Ltd.
7.375%, 04/09/2024
  3,000,000     2,850,862
Logan Property Holdings Company, Ltd.
5.750%, 01/14/2025
  1,500,000     1,462,930
Longfor Group Holdings, Ltd.
3.950%, 09/16/2029
  2,400,000     2,421,041
Yuzhou Properties Company, Ltd.
8.300%, 05/27/2025
  1,300,000     1,194,958
Zhenro Properties Group, Ltd.
8.650%, 01/21/2023
  3,000,000     3,000,622
          16,993,411
Hong Kong - 16.7%          
AIA Group, Ltd.
4.875%, 03/11/2044
  1,488,000     1,800,565
Asia Pacific Total Return Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Hong Kong (continued)          
Bangkok Bank PCL (3.733% to 9-25-29, then 5 Year CMT + 1.900%)
09/25/2034 (A)
$ 1,053,000   $ 992,497
Chong Hing Bank, Ltd. (3.876% to 7-26-22, then 5 Year CMT + 2.030%)
07/26/2027
  3,000,000     2,903,085
CMB Wing Lung Bank, Ltd. (3.750% to 11-22-22, then 5 Year CMT + 1.750%)
11/22/2027
  3,000,000     3,052,770
CNAC HK Finbridge Company, Ltd.
3.875%, 06/19/2029
  3,000,000     3,153,888
Coastal Emerald, Ltd. (4.300% to 8-1-24, then 5 Year CMT + 7.445%)
08/01/2024 (B)
  3,000,000     3,001,872
Concord New Energy Group, Ltd.
7.900%, 01/23/2021
  3,000,000     2,701,355
Far East Horizon, Ltd. (3 month LIBOR + 2.000%)
3.436%, 07/03/2021 (C)
  2,300,000     2,259,798
GET International Investment Holdings, Ltd.
3.750%, 07/18/2022
  1,151,000     1,148,166
Kasikornbank PCL (3.343% to 10-2-26, then 5 Year CMT + 1.700%)
10/02/2031
  1,700,000     1,597,244
Shanghai Commercial Bank, Ltd. (3.750% to 11-29-22, then 5 Year CMT + 1.705%)
11/29/2027
  3,000,000     3,013,740
Weichai International Hong Kong Energy Group Company, Ltd. (3.750% to 9-14-22, then 5 Year CMT + 6.084%)
09/14/2022 (B)
  2,730,000     2,710,890
Yingde Gases Investment, Ltd.
6.250%, 01/19/2023 (A)
  2,800,000     2,858,133
Zoomlion HK SPV Company, Ltd.
6.125%, 12/20/2022
  2,500,000     2,500,000
          33,694,003
India - 6.1%          
Greenko Investment Company
4.875%, 08/16/2023
  2,100,000     2,000,860
Indian Railway Finance Corp., Ltd.          
3.950%, 02/13/2050 (A)   2,611,000     2,438,245
3.950%, 02/13/2050   2,000,000     1,867,671
NTPC, Ltd.          
3.750%, 04/03/2024   1,000,000     1,025,976
4.250%, 02/26/2026   2,000,000     2,094,253
Oil India, Ltd.
5.125%, 02/04/2029
  824,000     863,355
ReNew Power Synthetic
6.670%, 03/12/2024
  2,000,000     1,946,237
          12,236,597
Indonesia - 6.9%          
ABM Investama Tbk PT
7.125%, 08/01/2022 (A)
  2,800,000     1,540,014
Adaro Indonesia PT
4.250%, 10/31/2024 (A)
  2,217,000     2,011,928
Bayan Resources Tbk PT
6.125%, 01/24/2023 (A)
  2,157,000     1,881,615
Chandra Asri Petrochemical Tbk PT
4.950%, 11/08/2024
  2,500,000     2,300,684
Jasa Marga Persero Tbk PT
7.500%, 12/11/2020 (A)
IDR 11,300,000,000     748,916
 
  1  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Asia Pacific Total Return Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Indonesia (continued)          
Pertamina Persero PT
4.175%, 01/21/2050
$ 2,500,000   $ 2,448,130
Perusahaan Listrik Negara PT
6.150%, 05/21/2048
  2,500,000     2,947,250
          13,878,537
Isle of Man - 1.2%          
Gohl Capital, Ltd.
4.250%, 01/24/2027
  2,500,000     2,464,607
Japan - 0.3%          
Nippon Life Insurance Company (3.400% to 1-23-30, then 5 Year CMT + 2.612%)
01/23/2050 (A)
  672,000     685,924
Malaysia - 2.0%          
Press Metal Labuan, Ltd.
4.800%, 10/30/2022
  2,800,000     2,438,014
SD International Sukuk, Ltd.
6.300%, 05/09/2022
  2,000,000     1,560,050
          3,998,064
Mauritius - 1.4%          
UPL Corp., Ltd.
4.500%, 03/08/2028
  3,000,000     2,899,426
Singapore - 5.5%          
Indika Energy Capital III Pte, Ltd.          
5.875%, 11/09/2024 (A)   1,200,000     1,014,688
5.875%, 11/09/2024   1,800,000     1,522,033
Medco Oak Tree Pte, Ltd.
7.375%, 05/14/2026 (A)
  2,160,000     1,808,913
Oil India International Pte, Ltd.
4.000%, 04/21/2027
  1,040,000     1,014,658
Singapore Post, Ltd. (4.250% to 3-2-22, then 10 Year Singapore Swap Offered Rate + 3.692%)
03/02/2022 (B)
SGD 5,000,000     3,546,762
TBLA International Pte, Ltd.
7.000%, 01/24/2023
$ 2,500,000     2,138,943
          11,045,997
South Korea - 5.3%          
DB Insurance Company, Ltd.
3.865%, 05/25/2027
KRW 8,000,000,000     7,095,139
The Korea Development Bank
7.000%, 11/30/2022 (A)
IDR 52,000,000,000     3,512,936
          10,608,075
Supranational - 2.4%          
Asian Development Bank
6.450%, 08/08/2021
INR 360,000,000     4,841,340
Asia Pacific Total Return Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States - 2.3%          
Incitec Pivot Finance LLC
3.950%, 08/03/2027
$ 2,225,000   $ 2,305,550
Resorts World Las Vegas LLC          
4.625%, 04/16/2029 (A)   2,000,000     1,885,327
4.625%, 04/16/2029   600,000     565,598
          4,756,475
Virgin Islands, British - 1.8%          
Franshion Brilliant, Ltd. (4.000% to 1-3-23, then 5 Year CMT + 5.238%)
01/03/2023 (B)
  2,000,000     1,951,377
New Metro Global, Ltd.
6.500%, 04/23/2021
  1,600,000     1,597,961
          3,549,338
TOTAL CORPORATE BONDS (Cost $125,490,043)   $ 121,651,794
SHORT-TERM INVESTMENTS - 1.7%      
Short-term funds - 1.7%          
Federated Government Obligations Fund, Institutional Class, 0.0914% (D)   3,397,086     3,397,086
TOTAL SHORT-TERM INVESTMENTS (Cost $3,397,086)   $ 3,397,086
Total Investments (Asia Pacific Total Return Bond Fund)
(Cost $212,388,615) - 102.0%
  $ 205,693,770
Other assets and liabilities, net - (2.0%)     (4,111,742)
TOTAL NET ASSETS - 100.0%   $ 201,582,028
Currency Abbreviations
IDR Indonesian Rupiah
INR Indian Rupee
KRW Korean Won
MYR Malaysian Ringgit
PHP Philippine Peso
SGD Singapore Dollar
THB Thai Bhat
Security Abbreviations and Legend
CMT Constant Maturity Treasury
LIBOR London Interbank Offered Rate
(A) 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. Rule 144A securities amounted to $21,379,136 or 10.6% of the fund's net assets as of 5-31-20.
(B) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(C) Variable rate obligation. The coupon rate shown represents the rate at period end.
(D) The rate shown is the annualized seven-day yield as of 5-31-20.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
10-Year U.S. Treasury Note Futures 330 Short Sep 2020 $(45,763,601) $(45,890,625) $(127,024)
            $(127,024)
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
  2  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Capital Appreciation Fund
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 99.6%      
Communication services – 14.6%          
Entertainment – 4.1%      
Netflix, Inc. (A)   166,482   $ 69,877,490
Spotify Technology SA (A)   28,072     5,079,067
          74,956,557
Interactive media and services – 10.5%      
Alphabet, Inc., Class A (A)   32,406     46,454,649
Alphabet, Inc., Class C (A)   32,330     46,196,984
Facebook, Inc., Class A (A)   302,690     68,132,492
Tencent Holdings, Ltd.   529,449     28,672,765
          189,456,890
          264,413,447
Consumer discretionary – 20.8%          
Automobiles – 3.2%      
Tesla, Inc. (A)(B)   68,647     57,320,245
Hotels, restaurants and leisure – 1.5%      
Chipotle Mexican Grill, Inc. (A)   26,810     26,914,827
Internet and direct marketing retail – 9.4%      
Alibaba Group Holding, Ltd., ADR (A)   177,185     36,746,397
Amazon.com, Inc. (A)   54,452     132,991,933
          169,738,330
Specialty retail – 1.7%      
The Home Depot, Inc. (B)   125,154     31,098,266
Textiles, apparel and luxury goods – 5.0%      
Kering SA   37,101     19,450,564
Lululemon Athletica, Inc. (A)   145,729     43,732,544
NIKE, Inc., Class B   279,149     27,518,508
          90,701,616
          375,773,284
Consumer staples – 4.0%          
Beverages – 0.7%      
Constellation Brands, Inc., Class A   68,488     11,827,878
Food and staples retailing – 1.7%      
Costco Wholesale Corp.   99,974     30,838,980
Personal products – 1.6%      
The Estee Lauder Companies, Inc., Class A   151,286     29,874,446
          72,541,304
Financials – 2.7%          
Capital markets – 2.7%      
S&P Global, Inc.   78,789     25,608,001
The Goldman Sachs Group, Inc.   121,613     23,895,738
          49,503,739
Health care – 9.7%          
Biotechnology – 2.2%      
BioMarin Pharmaceutical, Inc. (A)   122,463     13,048,433
Vertex Pharmaceuticals, Inc. (A)(B)   93,705     26,983,292
          40,031,725
Health care equipment and supplies – 2.5%      
Boston Scientific Corp. (A)   227,338     8,636,571
Danaher Corp.   62,667     10,440,949
DexCom, Inc. (A)(B)   49,892     18,874,643
Intuitive Surgical, Inc. (A)(B)   13,068     7,579,832
          45,531,995
Health care providers and services – 0.3%      
Guardant Health, Inc. (A)   65,516     5,921,991
Life sciences tools and services – 0.7%      
Illumina, Inc. (A)   32,168     11,678,592
Pharmaceuticals – 4.0%      
AstraZeneca PLC, ADR (B)   758,459     41,411,861
Capital Appreciation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Eli Lilly & Company   202,645   $ 30,994,553
          72,406,414
          175,570,717
Industrials – 3.5%          
Aerospace and defense – 0.9%      
The Boeing Company   112,485     16,405,937
Road and rail – 2.6%      
Uber Technologies, Inc. (A)   910,442     33,067,253
Union Pacific Corp.   80,994     13,757,641
          46,824,894
          63,230,831
Information technology – 43.6%          
IT services – 14.4%      
Adyen NV (A)(C)   28,139     36,898,152
FleetCor Technologies, Inc. (A)   38,819     9,463,684
Mastercard, Inc., Class A   218,203     65,655,101
PayPal Holdings, Inc. (A)   243,018     37,670,220
Shopify, Inc., Class A (A)   48,500     36,753,300
Twilio, Inc., Class A (A)(B)   108,437     21,427,151
Visa, Inc., Class A (B)   272,156     53,135,737
          261,003,345
Semiconductors and semiconductor equipment – 3.8%      
NVIDIA Corp.   167,012     59,292,600
QUALCOMM, Inc.   103,039     8,333,794
          67,626,394
Software – 20.8%      
Adobe, Inc. (A)   141,174     54,577,868
Atlassian Corp. PLC, Class A (A)   94,900     17,584,970
Coupa Software, Inc. (A)(B)   74,242     16,890,797
Crowdstrike Holdings, Inc., Class A (A)   184,083     16,164,328
Microsoft Corp.   575,334     105,429,956
RingCentral, Inc., Class A (A)   74,921     20,547,084
salesforce.com, Inc. (A)   350,897     61,333,287
ServiceNow, Inc. (A)   43,752     16,972,713
Splunk, Inc. (A)   160,707     29,865,789
The Trade Desk, Inc., Class A (A)(B)   47,524     14,806,577
Workday, Inc., Class A (A)(B)   119,148     21,855,318
          376,028,687
Technology hardware, storage and peripherals – 4.6%      
Apple, Inc.   262,251     83,380,083
          788,038,509
Real estate – 0.7%          
Equity real estate investment trusts – 0.7%      
American Tower Corp.   49,484     12,775,284
TOTAL COMMON STOCKS (Cost $696,767,703)   $ 1,801,847,115
SHORT-TERM INVESTMENTS – 3.4%      
Short-term funds – 3.4%          
John Hancock Collateral Trust, 0.3653% (D)(E)   6,236,222     62,435,182
TOTAL SHORT-TERM INVESTMENTS (Cost $62,403,344)   $ 62,435,182
Total Investments (Capital Appreciation Fund)
(Cost $759,171,047) – 103.0%
  $ 1,864,282,297
Other assets and liabilities, net – (3.0%)     (54,841,641)
TOTAL NET ASSETS – 100.0%   $ 1,809,440,656
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $61,122,478.
 
  3  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Capital Appreciation Fund (continued)
(C) 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.
(D) The rate shown is the annualized seven-day yield as of 5-31-20.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Capital Appreciation Value Fund
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 64.6%      
Communication services – 3.5%          
Interactive media and services – 3.5%      
Alphabet, Inc., Class A (A)   1   $ 1,434
Alphabet, Inc., Class C (A)(B)   19,292     27,566,725
Facebook, Inc., Class A (A)   85,600     19,267,704
          46,835,863
Consumer discretionary – 7.6%          
Auto components – 0.6%      
Aptiv PLC (B)   107,059     8,066,896
Hotels, restaurants and leisure – 5.1%      
Hilton Worldwide Holdings, Inc. (B)   346,574     27,486,784
Marriott International, Inc., Class A   164,389     14,548,427
Yum! Brands, Inc. (B)   294,217     26,400,091
          68,435,302
Internet and direct marketing retail – 1.9%      
Amazon.com, Inc. (A)   10,364     25,312,723
          101,814,921
Consumer staples – 2.4%          
Beverages – 2.4%      
Keurig Dr. Pepper, Inc.   1,154,557     32,235,231
Financials – 5.6%          
Banks – 1.2%      
The PNC Financial Services Group, Inc.   140,814     16,058,429
Capital markets – 1.6%      
Intercontinental Exchange, Inc.   222,459     21,634,138
Insurance – 2.8%      
Marsh & McLennan Companies, Inc.   344,423     36,481,284
          74,173,851
Health care – 13.6%          
Health care equipment and supplies – 5.7%      
Alcon, Inc. (A)   304,367     19,703,428
Becton, Dickinson and Company (B)   85,021     20,994,236
Boston Scientific Corp. (A)   46,496     1,766,383
Danaher Corp.   149,953     24,983,669
Envista Holdings Corp. (A)(C)   394,416     8,337,954
          75,785,670
Health care providers and services – 3.5%      
Humana, Inc. (B)   65,306     26,817,909
UnitedHealth Group, Inc.   65,690     20,025,597
          46,843,506
Life sciences tools and services – 4.4%      
Avantor, Inc. (A)(B)   361,940     6,866,002
PerkinElmer, Inc.   273,070     27,435,343
Thermo Fisher Scientific, Inc.   71,917     25,112,697
          59,414,042
          182,043,218
Industrials – 9.0%          
Commercial services and supplies – 0.7%      
Cintas Corp.   8,643     2,143,118
Capital Appreciation Value Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Commercial services and supplies (continued)      
Waste Connections, Inc.   79,069   $ 7,435,649
          9,578,767
Industrial conglomerates – 5.1%      
General Electric Company   7,642,001     50,207,947
Roper Technologies, Inc. (B)   44,284     17,439,039
          67,646,986
Machinery – 3.2%      
Fortive Corp.   501,664     30,591,471
Ingersoll Rand, Inc. (A)   423,123     11,932,069
          42,523,540
          119,749,293
Information technology – 14.0%          
Electronic equipment, instruments and components – 0.6%      
TE Connectivity, Ltd.   94,168     7,651,150
IT services – 6.4%      
Fiserv, Inc. (A)   307,712     32,854,410
Global Payments, Inc. (B)   143,715     25,795,405
Visa, Inc., Class A (B)   135,522     26,459,315
          85,109,130
Semiconductors and semiconductor equipment – 2.9%      
Maxim Integrated Products, Inc.   228,491     13,179,361
NXP Semiconductors NV (B)   269,330     25,882,613
          39,061,974
Software – 4.1%      
Microsoft Corp. (B)   302,700     55,469,768
          187,292,022
Materials – 1.3%          
Chemicals – 1.3%      
Linde PLC   86,417     17,485,616
Utilities – 7.6%          
Electric utilities – 4.7%      
Alliant Energy Corp.   19,476     961,335
American Electric Power Company, Inc.   449,526     38,322,092
NextEra Energy, Inc. (B)   32,514     8,309,278
Xcel Energy, Inc. (B)   224,766     14,616,533
          62,209,238
Multi-utilities – 2.9%      
Ameren Corp.   281,070     21,004,361
NiSource, Inc.   759,586     18,100,934
          39,105,295
          101,314,533
TOTAL COMMON STOCKS (Cost $710,600,621)   $ 862,944,548
PREFERRED SECURITIES – 4.6%          
Financials – 1.4%          
Banks – 1.3%      
JPMorgan Chase & Co., 5.750%   13,406     361,158
U.S. Bancorp, 5.500%   45,103     1,232,665
U.S. Bancorp (6.500% to 1-15-22, then 3 month LIBOR + 4.468%)   27,000     722,250
Wells Fargo & Company, 7.500%   11,325     15,288,750
          17,604,823
Capital markets – 0.1%      
The Charles Schwab Corp., 5.950%   8,000     210,400
The Charles Schwab Corp., 6.000%   49,668     1,263,057
          1,473,457
          19,078,280
Health care – 1.0%          
 
  4  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Fund (continued)
    Shares or
Principal
Amount
  Value
PREFERRED
SECURITIES (continued)
         
Health care equipment and supplies – 0.2%      
Boston Scientific Corp., 5.500%   19,651   $ 2,145,614
Life sciences tools and services – 0.8%      
Avantor, Inc., 6.250%   177,051     11,377,297
          13,522,911
Industrials – 0.2%          
Machinery – 0.2%      
Fortive Corp., 5.000%   3,052     2,456,097
Utilities – 2.0%          
Electric utilities – 0.9%      
Alabama Power Company, 5.000%   50,000     1,381,500
American Electric Power Company, Inc., 6.125% (C)   32,088     1,677,561
Duke Energy Corp., 5.625%   103,700     2,867,305
NextEra Energy, Inc., 5.279%   79,682     3,542,662
SCE Trust III (5.750% to 3-15-24, then 3 month LIBOR + 2.990%)   4,172     96,582
SCE Trust IV (5.375% to 9-15-25, then 3 month LIBOR + 3.132%)   103,538     2,292,331
          11,857,941
Multi-utilities – 1.1%      
CMS Energy Corp., 5.875%   140,644     3,800,201
CMS Energy Corp., 5.875%   191,300     5,090,493
DTE Energy Company, 5.250%   105,300     2,737,800
NiSource, Inc. (6.500% to 3-15-24, then 5 Year CMT + 3.632%)   99,030     2,609,441
          14,237,935
          26,095,876
TOTAL PREFERRED SECURITIES (Cost $57,219,612)   $ 61,153,164
CORPORATE BONDS - 11.3%          
Communication services - 3.6%          
CCO Holdings LLC          
4.000%, 03/01/2023 (D) $ 1,235,000     1,244,287
5.000%, 02/01/2028 (D)   7,312,000     7,658,369
5.125%, 05/01/2027 (D)   4,930,000     5,176,599
5.875%, 04/01/2024 (D)   1,890,000     1,941,578
Charter Communications Operating LLC
3.579%, 07/23/2020
  575,000     575,029
Level 3 Financing, Inc.
5.375%, 08/15/2022
  414,000     414,985
Netflix, Inc.          
4.375%, 11/15/2026   4,960,000     5,254,525
4.875%, 04/15/2028   5,810,000     6,202,175
5.500%, 02/15/2022   350,000     366,958
5.875%, 02/15/2025 to 11/15/2028   10,243,000     11,618,328
6.375%, 05/15/2029   4,450,000     5,217,625
Sirius XM Radio, Inc.
4.625%, 05/15/2023 (D)
  1,170,000     1,172,785
T-Mobile USA, Inc.          
6.000%, 03/01/2023   715,000     722,400
6.500%, 01/15/2026   330,000     348,249
          47,913,892
Consumer discretionary - 2.8%          
Cedar Fair LP          
5.250%, 07/15/2029 (D)   1,925,000     1,819,837
5.375%, 06/01/2024 to 04/15/2027   4,588,000     4,368,578
Hilton Domestic Operating Company, Inc.
4.250%, 09/01/2024
  280,000     280,000
Capital Appreciation Value Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)          
Consumer discretionary (continued)          
KFC Holding Company/Pizza Hut
Holdings LLC/Taco Bell of America LLC
         
4.750%, 06/01/2027 (D) $ 5,280,000   $ 5,473,723
5.000%, 06/01/2024 (D)   2,635,000     2,697,160
5.250%, 06/01/2026 (D)   3,813,000     3,965,520
Marriott International, Inc.
3.125%, 06/15/2026
  415,000     395,203
Marriott International, Inc. (3 month LIBOR + 0.650%)
1.649%, 03/08/2021 (E)
  575,000     565,656
Service Corp. International
5.375%, 05/15/2024
  1,475,000     1,508,188
Six Flags Entertainment Corp.          
4.875%, 07/31/2024 (D)   2,495,000     2,345,300
5.500%, 04/15/2027 (D)   2,322,000     2,159,460
Yum! Brands, Inc.          
3.750%, 11/01/2021   3,635,000     3,675,894
3.875%, 11/01/2020 to 11/01/2023   3,785,000     3,810,906
4.750%, 01/15/2030 (D)   420,000     435,380
5.350%, 11/01/2043   3,109,000     3,015,730
6.875%, 11/15/2037   925,000     971,250
          37,487,785
Energy - 0.1%          
NuStar Logistics LP
4.800%, 09/01/2020
  1,020,000     1,028,288
Financials - 1.0%          
HUB International, Ltd.
7.000%, 05/01/2026 (D)
  3,066,000     3,148,997
Refinitiv US Holdings, Inc.          
6.250%, 05/15/2026 (D)   1,620,000     1,729,350
8.250%, 11/15/2026 (D)   1,935,000     2,113,988
State Street Corp. (5.250% to 9-15-20, then 3 month LIBOR + 3.597%)
09/15/2020 (F)
  1,550,000     1,460,875
The Bank of New York Mellon Corp. (4.625% to 9-20-26, then 3 month LIBOR + 3.131%)
09/20/2026 (F)
  810,000     789,750
The Bank of New York Mellon Corp. (4.950% to 9-20-20, then 3 month LIBOR + 3.420%)
09/20/2020 (F)
  1,450,000     1,352,778
The PNC Financial Services Group, Inc. (5.000% to 11-1-26, then 3 month LIBOR + 3.300%)
11/01/2026 (F)
  1,660,000     1,660,000
U.S. Bancorp (5.300% to 4-15-27, then 3 month LIBOR + 2.914%)
04/15/2027 (F)
  540,000     544,050
USI, Inc.
6.875%, 05/01/2025 (D)
  575,000     589,139
          13,388,927
Health care - 1.5%          
Avantor, Inc.          
6.000%, 10/01/2024 (D)   2,870,000     3,012,897
9.000%, 10/01/2025 (D)   11,776,000     12,718,080
Elanco Animal Health, Inc.
4.662%, 08/27/2021
  1,775,000     1,806,063
Hologic, Inc.
4.375%, 10/15/2025 (D)
  905,000     925,172
Teleflex, Inc.          
4.625%, 11/15/2027   707,000     737,309
 
  5  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)          
Health care (continued)          
Teleflex, Inc. (continued)          
4.875%, 06/01/2026 $ 1,311,000   $ 1,350,330
          20,549,851
Industrials - 0.9%          
Continental Airlines 2012-1 Class A Pass Through Trust
4.150%, 04/11/2024
  871,774     793,524
General Electric Company (5.000% to 1-21-21, then 3 month LIBOR + 3.330%)
01/21/2021 (F)
  6,766,000     5,190,875
Korn Ferry
4.625%, 12/15/2027 (D)
  480,000     439,200
Lennox International, Inc.
3.000%, 11/15/2023
  510,000     524,091
Sensata Technologies BV          
4.875%, 10/15/2023 (D)   1,057,000     1,086,068
5.000%, 10/01/2025 (D)   975,000     1,011,563
5.625%, 11/01/2024 (D)   415,000     434,156
Sensata Technologies UK Financing Company PLC
6.250%, 02/15/2026 (D)
  350,000     368,375
US Airways 2010-1 Class A Pass Through Trust
6.250%, 04/22/2023
  41,897     34,146
US Airways 2012-2 Class A Pass Through Trust
4.625%, 06/03/2025
  171,129     136,047
US Airways 2012-2 Class B Pass Through Trust
6.750%, 06/03/2021
  239,336     173,518
US Airways 2013-1 Class A Pass Through Trust
3.950%, 11/15/2025
  400,894     322,720
US Airways 2013-1 Class B Pass Through Trust
5.375%, 11/15/2021
  316,614     224,043
Welbilt, Inc.
9.500%, 02/15/2024
  1,692,000     1,522,800
Xylem, Inc.
4.875%, 10/01/2021
  100,000     105,215
          12,366,341
Information technology - 0.7%          
Fiserv, Inc.
2.700%, 06/01/2020
  1,590,000     1,590,000
Solera LLC
10.500%, 03/01/2024 (D)
  8,115,000     8,246,869
          9,836,869
Materials - 0.2%          
Reynolds Group Issuer, Inc.
5.125%, 07/15/2023 (D)
  1,000,000     1,012,500
Reynolds Group Issuer, Inc. (3 month LIBOR + 3.500%)
4.719%, 07/15/2021 (D)(E)
  1,410,000     1,399,425
          2,411,925
Real estate - 0.3%          
SBA Communications Corp.          
3.875%, 02/15/2027 (D)   720,000     731,088
4.000%, 10/01/2022   2,000,000     2,027,920
4.875%, 09/01/2024   1,255,000     1,288,320
          4,047,328
Capital Appreciation Value Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)          
Utilities - 0.2%          
NiSource, Inc. (5.650% to 6-15-23, then 5 Year CMT + 2.843%)
06/15/2023 (F)
$ 2,650,000   $ 2,517,500
TOTAL CORPORATE BONDS (Cost $147,888,991)   $ 151,548,706
TERM LOANS (G) – 8.0%          
Communication services – 0.1%          
Formula One Management, Ltd., 2018 USD Term Loan B (1 month LIBOR + 2.500%)
3.500%, 02/01/2024
  2,265,000     2,131,931
Consumer discretionary – 0.1%          
Four Seasons Hotels, Ltd., New 1st Lien Term Loan (1 month LIBOR + 2.000%)
2.174%, 11/30/2023
  992,513     944,307
Life Time, Inc., 2017 Term Loan B
TBD 06/10/2022 (H)
  75,000     66,094
          1,010,401
Consumer staples – 0.3%          
Prestige Brands, Inc., Term Loan B4 (1 month LIBOR + 2.000%)
2.174%, 01/26/2024
  104,052     101,927
Sunshine Luxembourg VII Sarl, USD Term Loan B1 (6 month LIBOR + 4.250%)
5.322%, 10/01/2026
  4,406,200     4,216,205
          4,318,132
Financials – 4.7%          
Alliant Holdings Intermediate LLC, 2018 Term Loan B (1 month LIBOR + 2.750%)
2.924%, 05/09/2025
  237,087     225,852
AmWINS Group, Inc., 2017 Term Loan B (1 month LIBOR + 2.750%)
3.750%, 01/25/2024
  437,734     429,710
Emerald TopCo, Inc., Term Loan (1 and 3 month LIBOR + 3.500%)
4.259%, 07/24/2026
  3,099,419     2,970,794
HUB International, Ltd., 2018 Term Loan B (3 month LIBOR + 3.000%)
4.020%, 04/25/2025
  21,022,610     20,210,717
HUB International, Ltd., 2019 Incremental Term Loan B (3 month LIBOR + 4.000%)
5.000%, 04/25/2025
  3,491,250     3,412,802
Refinitiv US Holdings, Inc., 2018 USD Term Loan (1 month LIBOR + 3.250%)
3.424%, 10/01/2025
  29,257,779     28,798,140
USI, Inc. 2020 Term Loan
TBD 12/02/2026 (H)
  1,375,000     1,292,500
USI, Inc., 2017 Repriced Term Loan (1 month LIBOR + 3.000%)
3.174%, 05/16/2024
  5,234,375     5,021,074
          62,361,589
Health care – 0.6%          
CPI Holdco LLC, 2019 Term Loan (3 month LIBOR + 4.250%)
5.700%, 11/04/2026
  420,000     405,825
Dino Grandparent, Inc., 2019 Term Loan A3 (1 month LIBOR + 2.250%)
2.688%, 02/20/2023
  3,450,000     3,312,000
 
  6  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Fund (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (G)(continued)          
Health care (continued)          
Loire Finco Luxembourg Sarl, Term Loan (1 month LIBOR + 3.500%)
3.674%, 04/21/2027
$ 4,275,000   $ 4,037,225
          7,755,050
Industrials – 0.1%          
Filtration Group Corp., 2018 1st Lien Term Loan (1 month LIBOR + 3.000%)
3.174%, 03/29/2025
  470,000     455,703
Welbilt, Inc., 2018 Term Loan B (1 month LIBOR + 2.500%)
2.674%, 10/23/2025
  575,000     490,763
          946,466
Information technology – 2.1%          
CCC Information Services, Inc., 2017 1st Lien Term Loan (1 month LIBOR + 3.000%)
4.000%, 04/29/2024
  13,701,498     13,179,197
Gartner, Inc., 2016 Term Loan A (1 month LIBOR + 1.500%)
1.674%, 03/20/2022
  342,698     339,271
Kronos, Inc., 2017 Term Loan B (3 month LIBOR + 3.000%)
3.330%, 11/01/2023
  14,440,560     14,169,800
The Ultimate Software Group, Inc., Term Loan B (1 month LIBOR + 3.750%)
3.924%, 05/04/2026
  691,525     668,089
          28,356,357
Materials – 0.0%          
HB Fuller Company, 2017 Term Loan B (1 month LIBOR + 2.000%)
2.171%, 10/20/2024
  419,852     408,830
TOTAL TERM LOANS (Cost $109,550,735)   $ 107,288,756
SHORT-TERM INVESTMENTS – 11.7%      
Short-term funds – 11.7%          
John Hancock Collateral Trust, 0.3653% (I)(J)   175,654     1,758,598
Capital Appreciation Value Fund (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS (continued)      
Short-term funds (continued)          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (I)   9,698,216   $ 9,698,216
T. Rowe Price Government Reserve Fund, 0.2523% (I)   144,555,145     144,555,145
TOTAL SHORT-TERM INVESTMENTS (Cost $156,011,525)   $ 156,011,959
Total Investments (Capital Appreciation Value Fund)
(Cost $1,181,271,484) – 100.2%
  $ 1,338,947,133
Other assets and liabilities, net – (0.2%)     (3,272,115)
TOTAL NET ASSETS – 100.0%   $ 1,335,675,018
Security Abbreviations and Legend
CMT Constant Maturity Treasury
LIBOR London Interbank Offered Rate
(A) Non-income producing security.
(B) All or a portion of this security is segregated at the custodian as collateral for certain derivatives.
(C) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $1,716,916.
(D) 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.
(E) Variable rate obligation. The coupon rate shown represents the rate at period end.
(F) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(G) Term loans are variable rate obligations. The coupon rate shown represents the rate at period end.
(H) This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate, which is disclosed as TBD (To Be Determined).
(I) The rate shown is the annualized seven-day yield as of 5-31-20.
(J) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
 
DERIVATIVES
WRITTEN OPTIONS
Options on securities
Counterparty (OTC)/
Exchange-traded
Name of issuer   Exercise
price
Expiration
date
Number of
contracts
Notional
amount
Premium Value
Calls              
                 
CITI Alphabet, Inc., Class C USD 1,500.00 Jan 2021 8 800 $64,056 $(84,431)
CITI Alphabet, Inc., Class C USD 1,500.00 Jan 2021 8 800 60,376 (84,431)
CITI Alphabet, Inc., Class C USD 1,500.00 Jan 2021 8 800 59,096 (84,431)
CITI Alphabet, Inc., Class C USD 1,500.00 Jan 2021 5 500 31,885 (52,770)
GSI Alphabet, Inc., Class C USD 1,740.00 Jan 2021 3 300 14,151 (9,753)
GSI Alphabet, Inc., Class C USD 1,740.00 Jan 2021 2 200 9,374 (6,502)
GSI Alphabet, Inc., Class C USD 1,740.00 Jan 2021 3 300 13,281 (9,753)
GSI Alphabet, Inc., Class C USD 1,760.00 Jan 2021 3 300 12,741 (8,693)
GSI Alphabet, Inc., Class C USD 1,760.00 Jan 2021 2 200 8,454 (5,796)
GSI Alphabet, Inc., Class C USD 1,760.00 Jan 2021 3 300 11,991 (8,693)
GSI Alphabet, Inc., Class C USD 1,780.00 Jan 2021 3 300 11,481 (7,729)
GSI Alphabet, Inc., Class C USD 1,780.00 Jan 2021 2 200 7,654 (5,153)
GSI Alphabet, Inc., Class C USD 1,780.00 Jan 2021 3 300 10,761 (7,729)
GSI Alphabet, Inc., Class C USD 1,800.00 Jan 2021 3 300 10,341 (6,854)
GSI Alphabet, Inc., Class C USD 1,800.00 Jan 2021 2 200 6,874 (4,570)
  7  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Fund (continued)
Options on securities (continued)
Counterparty (OTC)/
Exchange-traded
Name of issuer   Exercise
price
Expiration
date
Number of
contracts
Notional
amount
Premium Value
Calls (continued)              
GSI Alphabet, Inc., Class C USD 1,800.00 Jan 2021 3 300 $9,651 $(6,854)
CITI American Electric Power Company, Inc. USD 105.00 Jan 2021 210 21,000 32,970 (20,355)
CITI American Electric Power Company, Inc. USD 105.00 Jan 2021 208 20,800 32,656 (20,161)
CITI American Electric Power Company, Inc. USD 115.00 Jan 2021 115 11,500 20,299 (2,983)
GSI Aptiv PLC USD 97.50 Jan 2021 43 4,300 23,904 (21,673)
GSI Aptiv PLC USD 97.50 Jan 2021 42 4,200 28,034 (21,169)
GSI Aptiv PLC USD 100.00 Jan 2021 43 4,300 20,470 (19,244)
GSI Aptiv PLC USD 100.00 Jan 2021 42 4,200 24,176 (18,797)
CSFB Avantor, Inc. USD 15.00 Jan 2021 118 11,800 13,995 (65,016)
CSFB Avantor, Inc. USD 20.00 Jan 2021 33 3,300 7,296 (8,186)
CSFB Avantor, Inc. USD 20.00 Jan 2021 136 13,600 31,810 (31,810)
CSFB Avantor, Inc. USD 22.50 Jan 2021 33 3,300 3,706 (5,207)
CSFB Avantor, Inc. USD 22.50 Jan 2021 136 13,600 16,646 (16,646)
GSI Becton, Dickinson and Company USD 260.00 Jan 2021 24 2,400 42,154 (36,854)
GSI Becton, Dickinson and Company USD 270.00 Jan 2021 24 2,400 33,735 (27,939)
GSI Becton, Dickinson and Company USD 280.00 Jan 2021 17 1,700 21,513 (14,704)
GSI Becton, Dickinson and Company USD 280.00 Jan 2021 17 1,700 23,551 (14,704)
GSI Becton, Dickinson and Company USD 300.00 Jan 2021 16 1,600 14,972 (7,267)
GSI Becton, Dickinson and Company USD 300.00 Jan 2021 36 3,600 32,897 (16,351)
GSI Becton, Dickinson and Company USD 300.00 Jan 2021 52 5,200 51,963 (23,619)
GSI Becton, Dickinson and Company USD 300.00 Jan 2021 45 4,500 54,590 (20,439)
GSI Becton, Dickinson and Company USD 300.00 Jan 2021 17 1,700 11,439 (7,722)
GSI Becton, Dickinson and Company USD 300.00 Jan 2021 17 1,700 12,735 (7,722)
JPM Danaher Corp. USD 150.00 Jan 2021 35 3,500 38,043 (90,266)
JPM Danaher Corp. USD 160.00 Jan 2021 35 3,500 46,960 (67,301)
JPM Danaher Corp. USD 180.00 Jan 2021 34 3,400 30,521 (31,784)
JPM Danaher Corp. USD 185.00 Jan 2021 68 6,800 32,174 (51,655)
JPM Danaher Corp. USD 190.00 Jan 2021 68 6,800 23,038 (41,560)
JPM Danaher Corp. USD 190.00 Jan 2021 34 3,400 20,275 (20,780)
JPM Facebook, Inc., Class A USD 195.00 Jan 2021 48 4,800 53,813 (210,618)
JPM Facebook, Inc., Class A USD 200.00 Jan 2021 48 4,800 45,947 (194,558)
JPM Facebook, Inc., Class A USD 265.00 Jan 2021 38 3,800 38,076 (41,914)
JPM Facebook, Inc., Class A USD 265.00 Jan 2021 33 3,300 32,736 (36,399)
JPM Facebook, Inc., Class A USD 270.00 Jan 2021 38 3,800 33,706 (37,146)
JPM Facebook, Inc., Class A USD 270.00 Jan 2021 33 3,300 28,941 (32,258)
JPM Facebook, Inc., Class A USD 275.00 Jan 2021 38 3,800 29,716 (32,830)
JPM Facebook, Inc., Class A USD 275.00 Jan 2021 33 3,300 25,311 (28,510)
JPM General Electric Company USD 8.00 Jan 2021 1,180 118,000 142,898 (80,151)
JPM General Electric Company USD 15.00 Jan 2021 1,312 131,200 68,224 (4,593)
JPM General Electric Company USD 15.00 Jan 2021 1,312 131,200 74,154 (4,593)
JPM General Electric Company USD 15.00 Jan 2021 2,441 244,100 205,410 (8,545)
JPM General Electric Company USD 15.00 Jan 2021 1,221 122,100 104,249 (4,274)
JPM General Electric Company USD 15.00 Jan 2021 734 73,400 64,049 (2,570)
GSI Global Payments, Inc. USD 185.00 Dec 2020 16 1,600 22,600 (28,220)
GSI Global Payments, Inc. USD 185.00 Dec 2020 18 1,800 26,076 (31,747)
GSI Global Payments, Inc. USD 195.00 Dec 2020 16 1,600 16,288 (21,480)
GSI Global Payments, Inc. USD 195.00 Dec 2020 18 1,800 19,050 (24,165)
CSFB Hilton Worldwide Holdings, Inc. USD 87.50 Jan 2021 12 1,200 9,068 (10,382)
CSFB Hilton Worldwide Holdings, Inc. USD 90.00 Jan 2021 12 1,200 7,981 (9,219)
CITI Hilton Worldwide Holdings, Inc. USD 125.00 Jan 2021 33 3,300 17,849 (2,836)
CITI Hilton Worldwide Holdings, Inc. USD 125.00 Jan 2021 1 100 551 (86)
CITI Hilton Worldwide Holdings, Inc. USD 130.00 Jan 2021 32 3,200 12,545 (1,848)
CITI Hilton Worldwide Holdings, Inc. USD 130.00 Jan 2021 1 100 398 (58)
CSFB Humana, Inc. USD 370.00 Jan 2021 24 2,400 81,089 (169,874)
CSFB Humana, Inc. USD 380.00 Jan 2021 24 2,400 70,776 (154,451)
CSFB Humana, Inc. USD 420.00 Jan 2021 18 1,800 49,795 (75,572)
CSFB Humana, Inc. USD 430.00 Jan 2021 18 1,800 43,207 (67,074)
JPM Ingersoll Rand, Inc. USD 35.00 Dec 2020 169 16,900 25,666 (25,023)
JPM Intercontinental Exchange, Inc. USD 100.00 Jan 2021 68 6,800 40,276 (48,720)
JPM Intercontinental Exchange, Inc. USD 105.00 Jan 2021 68 6,800 27,474 (34,522)
CITI Keurig Dr. Pepper, Inc. USD 29.00 Oct 2020 230 23,000 24,189 (32,167)
CITI Keurig Dr. Pepper, Inc. USD 30.00 Oct 2020 236 23,600 29,354 (24,530)
CITI Keurig Dr. Pepper, Inc. USD 31.00 Oct 2020 236 23,600 22,885 (17,921)
CITI Microsoft Corp. USD 165.00 Jan 2021 141 14,100 179,387 (401,100)
CSFB Microsoft Corp. USD 165.00 Jan 2021 283 28,300 191,053 (805,045)
  8  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Fund (continued)
Options on securities (continued)
Counterparty (OTC)/
Exchange-traded
Name of issuer   Exercise
price
Expiration
date
Number of
contracts
Notional
amount
Premium Value
Calls (continued)              
CSFB Microsoft Corp. USD 165.00 Jan 2021 270 27,000 $186,840 $(768,064)
CITI Microsoft Corp. USD 170.00 Jan 2021 141 14,100 151,888 (354,395)
JPM Microsoft Corp. USD 170.00 Jan 2021 355 35,500 385,885 (892,271)
JPM Microsoft Corp. USD 170.00 Jan 2021 189 18,900 200,966 (475,040)
CSFB NextEra Energy, Inc. USD 310.00 Jan 2021 26 2,600 21,801 (10,203)
CSFB NextEra Energy, Inc. USD 320.00 Jan 2021 27 2,700 16,033 (7,216)
JPM NXP Semiconductors NV USD 115.00 Jan 2021 29 2,900 29,098 (19,980)
JPM NXP Semiconductors NV USD 125.00 Jan 2021 29 2,900 19,777 (12,865)
CSFB NXP Semiconductors NV USD 140.00 Jan 2021 37 3,700 25,907 (7,918)
CSFB NXP Semiconductors NV USD 140.00 Jan 2021 86 8,600 63,709 (18,403)
CSFB NXP Semiconductors NV USD 140.00 Jan 2021 204 20,400 154,550 (43,654)
JPM PerkinElmer, Inc. USD 110.00 Dec 2020 6 600 3,160 (3,456)
JPM PerkinElmer, Inc. USD 110.00 Dec 2020 39 3,900 22,054 (22,054)
JPM PerkinElmer, Inc. USD 115.00 Dec 2020 6 600 1,551 (2,568)
JPM PerkinElmer, Inc. USD 115.00 Dec 2020 39 3,900 8,589 (8,589)
GSI Roper Technologies, Inc. USD 430.00 Aug 2020 22 2,200 16,687 (17,829)
GSI Roper Technologies, Inc. USD 370.00 Nov 2020 23 2,300 39,250 (106,874)
GSI Roper Technologies, Inc. USD 390.00 Nov 2020 23 2,300 21,369 (79,130)
GSI Roper Technologies, Inc. USD 420.00 Nov 2020 23 2,300 29,256 (46,531)
GSI Roper Technologies, Inc. USD 440.00 Nov 2020 23 2,300 16,574 (30,842)
RBC Thermo Fisher Scientific, Inc. USD 370.00 Jan 2021 22 2,200 30,928 (49,432)
RBC Thermo Fisher Scientific, Inc. USD 390.00 Jan 2021 23 2,300 19,048 (35,864)
RBC Thermo Fisher Scientific, Inc. USD 400.00 Jan 2021 37 3,700 28,848 (47,454)
RBC Thermo Fisher Scientific, Inc. USD 400.00 Jan 2021 69 6,900 48,803 (88,495)
RBC Thermo Fisher Scientific, Inc. USD 400.00 Jan 2021 15 1,500 10,643 (19,238)
RBC Thermo Fisher Scientific, Inc. USD 400.00 Jan 2021 6 600 5,576 (7,695)
JPM UnitedHealth Group, Inc. USD 320.00 Jan 2021 23 2,300 39,425 (51,760)
JPM UnitedHealth Group, Inc. USD 330.00 Jan 2021 23 2,300 31,738 (42,225)
GSI Visa, Inc., Class A USD 185.00 Jan 2021 24 2,400 43,366 (61,088)
GSI Visa, Inc., Class A USD 195.00 Jan 2021 24 2,400 33,143 (47,230)
GSI Visa, Inc., Class A USD 200.00 Jan 2021 46 4,600 51,492 (78,644)
GSI Visa, Inc., Class A USD 210.00 Jan 2021 45 4,500 35,853 (56,626)
GSI Visa, Inc., Class A USD 210.00 Jan 2021 57 5,700 72,080 (71,726)
GSI Visa, Inc., Class A USD 210.00 Jan 2021 23 2,300 29,671 (28,942)
GSI Visa, Inc., Class A USD 220.00 Jan 2021 23 2,300 20,289 (20,550)
CSFB Visa, Inc., Class A USD 230.00 Jan 2021 102 10,200 79,529 (62,255)
CSFB Visa, Inc., Class A USD 230.00 Jan 2021 62 6,200 44,082 (37,841)
GSI Visa, Inc., Class A USD 230.00 Jan 2021 24 2,400 22,625 (14,648)
GSI Visa, Inc., Class A USD 230.00 Jan 2021 29 2,900 29,669 (17,700)
CSFB Visa, Inc., Class A USD 235.00 Jan 2021 102 10,200 64,648 (50,680)
CSFB Visa, Inc., Class A USD 235.00 Jan 2021 62 6,200 35,861 (30,805)
CSFB Visa, Inc., Class A USD 240.00 Jan 2021 102 10,200 52,316 (40,830)
CSFB Visa, Inc., Class A USD 240.00 Jan 2021 62 6,200 28,824 (24,818)
GSI Visa, Inc., Class A USD 240.00 Jan 2021 24 2,400 15,333 (9,607)
GSI Visa, Inc., Class A USD 240.00 Jan 2021 29 2,900 20,406 (11,608)
CSFB Xcel Energy, Inc. USD 60.00 Oct 2020 85 8,500 34,459 (59,785)
CSFB Xcel Energy, Inc. USD 65.00 Oct 2020 85 8,500 17,264 (32,975)
CSFB Xcel Energy, Inc. USD 65.00 Oct 2020 118 11,800 61,419 (45,777)
CSFB Xcel Energy, Inc. USD 70.00 Dec 2020 92 9,200 25,705 (23,934)
CSFB Xcel Energy, Inc. USD 70.00 Dec 2020 91 9,100 13,677 (23,674)
CSFB Xcel Energy, Inc. USD 75.00 Dec 2020 92 9,200 11,353 (10,972)
BOA Yum! Brands, Inc. USD 95.00 Jan 2021 17 1,700 11,237 (11,247)
BOA Yum! Brands, Inc. USD 95.00 Jan 2021 52 5,200 29,254 (34,403)
BOA Yum! Brands, Inc. USD 100.00 Jan 2021 17 1,700 8,279 (8,017)
BOA Yum! Brands, Inc. USD 100.00 Jan 2021 52 5,200 20,928 (24,522)
CITI Yum! Brands, Inc. USD 100.00 Jan 2021 57 5,700 28,320 (26,880)
CITI Yum! Brands, Inc. USD 100.00 Jan 2021 57 5,700 24,418 (24,418)
CITI Yum! Brands, Inc. USD 105.00 Jan 2021 57 5,700 19,464 (18,578)
CITI Yum! Brands, Inc. USD 105.00 Jan 2021 57 5,700 15,637 (15,637)
              $5,584,030 $(8,127,517)
Derivatives Currency Abbreviations
USD U.S. Dollar
Derivatives Abbreviations
  9  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Fund (continued)
BOA Bank of America, N.A.
CITI Citibank, N.A.
CSFB Credit Suisse First Boston International
GSI Goldman Sachs International
JPM JPMorgan Chase Bank, N.A.
OTC Over-the-counter
RBC Royal Bank of Canada
Core Bond Fund
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
54.4%
     
U.S. Government – 14.0%          
U.S. Treasury Bonds          
1.250%, 05/15/2050 $ 15,391,000   $ 14,751,312
2.000%, 02/15/2050   8,089,000     9,247,054
2.375%, 11/15/2049   11,055,000     13,623,560
2.750%, 11/15/2042   58,091,000     74,113,678
2.875%, 05/15/2043   33,130,000     43,164,766
3.125%, 08/15/2044   11,528,000     15,692,040
U.S. Treasury Notes          
0.125%, 04/30/2022 to 05/15/2023   37,007,000     36,978,787
0.250%, 05/31/2025   33,147,000     33,064,133
0.375%, 03/31/2022   6,736,000     6,761,260
0.375%, 04/30/2025 (A)   7,873,000     7,899,756
0.500%, 04/30/2027   10,216,000     10,221,188
0.625%, 05/15/2030   31,710,000     31,620,816
1.125%, 05/15/2040   42,177,000     41,742,050
2.500%, 02/28/2026   16,098,000     18,018,441
2.625%, 03/31/2025   8,153,000     9,059,703
2.875%, 11/30/2025   1,599,000     1,816,489
          367,775,033
U.S. Government Agency – 40.4%          
Federal Home Loan Mortgage Corp.          
2.500%, 05/01/2031 to 03/01/2050   1,518,493     1,605,688
3.000%, 12/01/2049 to 02/01/2050   5,183,359     5,554,583
3.500%, 02/01/2048 to 11/01/2049   15,987,122     17,184,282
4.000%, 01/01/2035 to 11/01/2049   86,687,810     94,820,946
4.500%, 06/01/2039 to 08/01/2049   33,034,217     36,652,407
5.000%, 05/01/2048 to 03/01/2049   14,912,458     16,852,154
Federal National Mortgage Association          
2.000%, TBA (B)   35,900,000     37,006,291
2.500%, TBA (B)   201,000,000     208,120,051
2.500%, 11/01/2028 to 08/01/2031   3,896,704     4,082,507
2.661%, (12 month LIBOR + 1.586%), 01/01/2046 (C)   8,217,983     8,497,882
2.754%, (12 month LIBOR + 1.579%), 06/01/2045 (C)   2,275,336     2,350,246
3.000%, 12/01/2034 to 02/01/2050   6,956,886     7,436,120
3.500%, 06/01/2049 to 11/01/2049   12,485,196     13,282,259
4.000%, 07/01/2033 to 01/01/2059   186,819,393     205,591,757
4.500%, 05/01/2034 to 01/01/2059   88,566,213     99,389,465
5.000%, 07/01/2044 to 11/01/2049   94,169,884     106,885,438
5.500%, 12/01/2048 to 06/01/2049   11,505,771     12,977,411
Government National
Mortgage Association
         
2.000%, TBA (B)   2,500,000     2,579,964
2.500%, TBA (B)   10,300,000     10,835,623
3.000%, TBA (B)   17,000,000     17,996,355
3.000%, 02/20/2050 to 03/20/2050   12,547,174     13,455,577
3.500%, 01/20/2048 to 08/20/2049   6,668,624     7,231,553
4.000%, 04/20/2047 to 07/20/2049   69,478,155     75,043,912
4.500%, 08/15/2047 to 05/20/2049   15,360,242     16,872,357
Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
5.000%, 12/20/2039 to 03/20/2049 $ 31,746,553   $ 34,886,724
          1,057,191,552
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $1,401,173,371)   $ 1,424,966,585
FOREIGN GOVERNMENT OBLIGATIONS – 1.4%      
Indonesia – 0.1%          
Republic of Indonesia
4.450%, 04/15/2070
  1,386,000     1,537,704
Israel – 0.1%          
State of Israel          
3.375%, 01/15/2050   818,000     863,857
4.500%, 04/03/2120   913,000     1,110,098
          1,973,955
Japan – 0.1%          
Japan Bank for International Cooperation
1.750%, 10/17/2024
  2,264,000     2,357,872
Mexico – 0.5%          
Government of Mexico          
3.250%, 04/16/2030   2,838,000     2,799,715
3.900%, 04/27/2025   2,019,000     2,127,017
4.500%, 04/22/2029   4,818,000     5,203,440
4.600%, 02/10/2048   746,000     772,110
4.750%, 03/08/2044   1,050,000     1,095,675
5.000%, 04/27/2051   1,087,000     1,167,438
          13,165,395
Paraguay – 0.1%          
Republic of Paraguay          
4.950%, 04/28/2031 (D)   1,390,000     1,494,250
5.400%, 03/30/2050 (D)   2,269,000     2,503,864
          3,998,114
Peru – 0.1%          
Republic of Peru          
2.392%, 01/23/2026   955,000     987,470
2.783%, 01/23/2031   557,000     587,078
          1,574,548
Qatar – 0.2%          
State of Qatar          
3.400%, 04/16/2025 (D)   3,436,000     3,668,755
3.750%, 04/16/2030 (D)   2,262,000     2,516,475
          6,185,230
United Arab Emirates – 0.2%          
Republic of United Arab Emirates          
2.500%, 04/16/2025 (D)   4,504,000     4,676,278
3.875%, 04/16/2050 (D)   408,000     464,610
          5,140,888
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $33,930,493)   $ 35,933,706
 
  10  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS – 31.7%      
Communication services – 3.1%          
America Movil SAB de CV
2.875%, 05/07/2030
$ 2,400,000   $ 2,498,448
AT&T, Inc.          
2.300%, 06/01/2027   2,532,000     2,561,074
2.750%, 06/01/2031   2,532,000     2,549,465
3.000%, 02/15/2022 to 06/30/2022   3,372,000     3,497,387
3.400%, 05/15/2025   3,262,000     3,517,188
3.500%, 06/01/2041   844,000     849,703
3.600%, 02/17/2023   1,561,000     1,658,860
3.650%, 06/01/2051   802,000     808,118
3.850%, 06/01/2060   844,000     858,196
3.875%, 08/15/2021   1,248,000     1,294,713
3.900%, 03/11/2024   931,000     1,008,406
4.300%, 02/15/2030   1,820,000     2,067,995
4.500%, 03/09/2048   674,000     767,185
4.850%, 03/01/2039   821,000     961,815
5.150%, 02/15/2050   1,550,000     1,937,172
5.250%, 03/01/2037   486,000     593,722
5.350%, 12/15/2043   406,000     492,149
5.375%, 10/15/2041   652,000     796,242
Charter Communications Operating LLC          
4.464%, 07/23/2022   805,000     857,291
4.800%, 03/01/2050   636,000     708,206
Comcast Corp.          
1.950%, 01/15/2031   2,954,000     2,957,875
2.650%, 02/01/2030   1,143,000     1,218,379
2.800%, 01/15/2051   1,292,000     1,271,268
3.100%, 04/01/2025   1,723,000     1,883,089
3.700%, 04/15/2024   1,632,000     1,804,676
3.750%, 04/01/2040   1,923,000     2,203,814
3.950%, 10/15/2025   1,475,000     1,689,743
4.150%, 10/15/2028   1,972,000     2,332,820
4.600%, 10/15/2038   2,067,000     2,565,790
Discovery Communications LLC          
3.625%, 05/15/2030   1,764,000     1,863,650
4.650%, 05/15/2050   1,174,000     1,248,022
The Walt Disney Company          
3.500%, 05/13/2040   960,000     1,050,354
3.600%, 01/13/2051   1,670,000     1,867,055
3.800%, 05/13/2060   599,000     680,829
Time Warner Cable LLC
6.550%, 05/01/2037
  581,000     741,166
T-Mobile USA, Inc.          
3.500%, 04/15/2025 (D)   3,664,000     3,923,668
3.750%, 04/15/2027 (D)   2,786,000     3,012,195
3.875%, 04/15/2030 (D)   1,823,000     1,976,278
Verizon Communications, Inc.          
3.000%, 03/22/2027   799,000     870,206
3.500%, 11/01/2024   1,967,000     2,165,021
4.016%, 12/03/2029   949,000     1,118,157
4.272%, 01/15/2036   362,000     436,162
4.400%, 11/01/2034   1,768,000     2,169,315
4.522%, 09/15/2048   1,028,000     1,339,189
ViacomCBS, Inc.          
4.200%, 05/19/2032   2,477,000     2,557,396
4.375%, 03/15/2043   246,000     234,563
4.600%, 01/15/2045   158,000     152,880
4.750%, 05/15/2025   1,398,000     1,538,071
4.950%, 01/15/2031   799,000     884,119
5.850%, 09/01/2043   591,000     639,897
Vodafone Group PLC
4.250%, 09/17/2050
  1,492,000     1,713,035
          80,392,017
Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary – 1.4%          
Advance Auto Parts, Inc.
3.900%, 04/15/2030 (D)
$ 2,345,000   $ 2,395,056
AutoNation, Inc.
4.750%, 06/01/2030
  1,263,000     1,314,927
Daimler Finance North America LLC
2.125%, 03/10/2025 (D)
  2,381,000     2,298,714
General Motors Company          
5.400%, 04/01/2048   1,256,000     1,209,788
5.950%, 04/01/2049   218,000     223,930
General Motors Financial Company, Inc.          
2.900%, 02/26/2025   2,134,000     2,072,621
3.950%, 04/13/2024   213,000     213,769
4.350%, 04/09/2025   458,000     465,315
5.200%, 03/20/2023   2,608,000     2,714,999
Lowe's Companies, Inc.          
4.000%, 04/15/2025   914,000     1,033,230
5.000%, 04/15/2040   1,030,000     1,314,769
5.125%, 04/15/2050   276,000     371,536
Marriott International, Inc.
4.625%, 06/15/2030
  1,981,000     2,027,244
McDonald's Corp.          
1.450%, 09/01/2025   1,687,000     1,719,874
2.125%, 03/01/2030   240,000     242,803
2.625%, 09/01/2029   500,000     521,382
NIKE, Inc.          
2.400%, 03/27/2025   1,246,000     1,336,615
2.750%, 03/27/2027   831,000     908,615
2.850%, 03/27/2030   819,000     910,041
3.375%, 03/27/2050   949,000     1,097,188
O'Reilly Automotive, Inc.
4.200%, 04/01/2030
  1,732,000     1,954,512
Starbucks Corp.          
1.300%, 05/07/2022   1,000,000     1,013,167
2.550%, 11/15/2030   858,000     876,390
3.350%, 03/12/2050   423,000     419,236
3.500%, 11/15/2050   604,000     616,208
The Home Depot, Inc.          
2.500%, 04/15/2027   1,042,000     1,134,749
2.700%, 04/15/2030   434,000     473,694
2.950%, 06/15/2029   136,000     151,026
3.125%, 12/15/2049   1,845,000     2,013,786
The Leland Stanford Junior University
1.289%, 06/01/2027
  323,000     323,000
The Trustees of the University of Pennsylvania
3.610%, 02/15/2119
  954,000     1,077,984
Toyota Motor Credit Corp.          
1.350%, 08/25/2023   2,418,000     2,439,219
2.150%, 02/13/2030   536,000     543,209
          37,428,596
Consumer staples – 2.0%          
Altria Group, Inc.          
2.350%, 05/06/2025   1,286,000     1,332,140
3.400%, 05/06/2030   1,034,000     1,090,769
4.450%, 05/06/2050   1,054,000     1,137,788
Anheuser-Busch Companies LLC          
4.700%, 02/01/2036   1,530,000     1,744,486
4.900%, 02/01/2046   246,000     285,258
Anheuser-Busch InBev Worldwide, Inc.          
4.150%, 01/23/2025   1,775,000     1,994,800
4.600%, 04/15/2048   1,128,000     1,254,099
Bacardi, Ltd.
5.300%, 05/15/2048 (D)
  209,000     250,599
BAT Capital Corp.          
3.215%, 09/06/2026   890,000     926,751
 
  11  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer staples (continued)          
BAT Capital Corp. (continued)          
3.557%, 08/15/2027 $ 2,607,000   $ 2,739,168
4.390%, 08/15/2037   126,000     132,247
4.700%, 04/02/2027   1,803,000     2,016,516
Constellation Brands, Inc.          
3.200%, 02/15/2023   412,000     437,754
3.700%, 12/06/2026   693,000     765,411
3.750%, 05/01/2050   1,265,000     1,302,346
4.400%, 11/15/2025   124,000     141,327
Costco Wholesale Corp.          
1.600%, 04/20/2030   4,776,000     4,813,064
1.750%, 04/20/2032   1,225,000     1,232,305
Danone SA
2.947%, 11/02/2026 (D)
  4,882,000     5,322,962
Dollar General Corp.          
3.500%, 04/03/2030   955,000     1,067,978
4.125%, 04/03/2050   181,000     215,228
General Mills, Inc.
2.875%, 04/15/2030
  2,571,000     2,763,789
Ingredion, Inc.          
2.900%, 06/01/2030   2,463,000     2,573,467
3.900%, 06/01/2050   762,000     853,345
Keurig Dr Pepper, Inc.
3.800%, 05/01/2050
  822,000     894,807
Mondelez International, Inc.
1.500%, 05/04/2025
  1,667,000     1,699,862
PepsiCo, Inc.          
2.250%, 03/19/2025   1,096,000     1,170,850
2.625%, 03/19/2027   738,000     807,111
Reynolds American, Inc.
5.850%, 08/15/2045
  923,000     1,107,036
Sysco Corp.
6.600%, 04/01/2050
  445,000     574,603
The Coca-Cola Company
2.600%, 06/01/2050
  1,957,000     1,926,456
The Procter & Gamble Company          
2.800%, 03/25/2027   403,000     447,056
3.000%, 03/25/2030   516,000     591,274
3.550%, 03/25/2040   260,000     313,694
3.600%, 03/25/2050   439,000     551,174
Walmart, Inc.          
3.050%, 07/08/2026   792,000     888,328
3.550%, 06/26/2025   1,752,000     1,978,469
3.700%, 06/26/2028   2,061,000     2,437,680
4.050%, 06/29/2048   22,000     28,250
          51,810,247
Energy – 2.9%          
BP Capital Markets America, Inc.          
3.194%, 04/06/2025   2,095,000     2,272,955
3.543%, 04/06/2027   2,111,000     2,300,118
Chevron Corp.          
1.141%, 05/11/2023   3,004,000     3,060,000
1.554%, 05/11/2025   4,178,000     4,306,548
1.995%, 05/11/2027   1,043,000     1,088,884
2.236%, 05/11/2030   2,671,000     2,814,931
3.078%, 05/11/2050   1,758,000     1,887,873
Devon Energy Corp.          
5.000%, 06/15/2045   447,000     396,570
5.600%, 07/15/2041   635,000     588,492
Diamondback Energy, Inc.
3.250%, 12/01/2026
  2,012,000     1,953,834
Ecopetrol SA          
5.875%, 05/28/2045   839,000     872,560
6.875%, 04/29/2030   2,217,000     2,530,706
Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
Enbridge, Inc.          
2.500%, 01/15/2025 $ 3,724,000   $ 3,833,476
3.125%, 11/15/2029   1,715,000     1,776,748
Energy Transfer Operating LP          
6.050%, 06/01/2041   394,000     415,050
6.125%, 12/15/2045   331,000     345,576
Enterprise Products Operating LLC          
3.700%, 01/31/2051   788,000     792,698
3.950%, 01/31/2060   872,000     872,026
4.200%, 01/31/2050   319,000     342,507
EOG Resources, Inc.
4.375%, 04/15/2030
  1,552,000     1,831,189
Equinor ASA          
1.750%, 01/22/2026   1,207,000     1,232,784
2.375%, 05/22/2030   805,000     829,952
3.250%, 11/18/2049   619,000     651,603
Exxon Mobil Corp.          
1.571%, 04/15/2023   3,831,000     3,933,850
2.992%, 03/19/2025   799,000     874,682
3.452%, 04/15/2051   692,000     756,678
Magellan Midstream Partners LP
3.250%, 06/01/2030
  1,612,000     1,673,065
Marathon Oil Corp.
4.400%, 07/15/2027
  1,547,000     1,415,247
Marathon Petroleum Corp.          
3.625%, 09/15/2024   2,220,000     2,307,979
4.500%, 05/01/2023 to 04/01/2048   1,010,000     1,050,547
4.700%, 05/01/2025   1,472,000     1,621,675
4.750%, 12/15/2023   675,000     728,443
Noble Energy, Inc.          
3.850%, 01/15/2028   399,000     362,880
3.900%, 11/15/2024   922,000     911,362
4.200%, 10/15/2049   1,187,000     962,128
4.950%, 08/15/2047   995,000     850,160
ONEOK, Inc.
3.400%, 09/01/2029
  161,000     148,820
Ovintiv, Inc.          
6.500%, 02/01/2038   423,000     322,978
6.625%, 08/15/2037   443,000     329,623
Petroleos Mexicanos          
2.378%, 04/15/2025   437,500     454,089
2.460%, 12/15/2025   2,040,600     2,121,918
Plains All American Pipeline LP          
3.550%, 12/15/2029   1,593,000     1,504,562
4.900%, 02/15/2045   366,000     333,876
Schlumberger Finance Canada, Ltd.
2.650%, 11/20/2022 (D)
  851,000     864,136
Suncor Energy, Inc.          
2.800%, 05/15/2023   2,075,000     2,125,846
3.100%, 05/15/2025   1,672,000     1,749,979
Sunoco Logistics Partners Operations LP          
5.300%, 04/01/2044   529,000     521,951
5.350%, 05/15/2045   108,000     105,460
Tennessee Gas Pipeline Company LLC
2.900%, 03/01/2030 (D)
  2,127,000     2,154,215
The Williams Companies, Inc.          
3.900%, 01/15/2025   597,000     638,573
5.400%, 03/04/2044   845,000     929,288
Total Capital International SA
3.127%, 05/29/2050
  1,233,000     1,245,775
TransCanada PipeLines, Ltd.          
3.750%, 10/16/2023   1,995,000     2,145,455
4.625%, 03/01/2034   589,000     674,924
4.875%, 01/15/2026   247,000     286,265
 
  12  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
Transcontinental Gas Pipe Line
Company LLC
         
3.250%, 05/15/2030 (D) $ 834,000   $ 887,502
3.950%, 05/15/2050 (D)   1,428,000     1,515,534
          75,506,545
Financials – 9.0%          
American Financial Group, Inc.
5.250%, 04/02/2030
  2,170,000     2,416,331
American International Group, Inc.          
2.500%, 06/30/2025   4,773,000     4,937,118
3.400%, 06/30/2030   1,777,000     1,864,685
4.200%, 04/01/2028   1,266,000     1,406,803
4.500%, 07/16/2044   1,128,000     1,266,371
4.750%, 04/01/2048   1,748,000     2,026,301
Ameriprise Financial, Inc.
3.000%, 04/02/2025
  1,418,000     1,522,659
Asian Development Bank
0.625%, 04/07/2022
  7,527,000     7,568,658
Athene Holding, Ltd.
6.150%, 04/03/2030
  2,646,000     2,890,088
Banco Santander Mexico SA
5.375%, 04/17/2025 (D)
  999,000     1,070,179
Banco Santander SA          
2.746%, 05/28/2025   1,600,000     1,633,052
3.490%, 05/28/2030   600,000     614,349
Bank of America Corp.          
4.125%, 01/22/2024   282,000     310,623
4.183%, 11/25/2027   2,388,000     2,678,767
Bank of America Corp. (2.456% to 10-22-24, then 3 month LIBOR + 0.870%) 10/22/2025   5,131,000     5,339,383
Bank of America Corp. (2.592% to 4-29-30, then SOFR + 2.150%) 04/29/2031   761,000     782,188
Bank of America Corp. (3.004% to 12-20-22, then 3 month LIBOR + 0.790%) 12/20/2023   4,472,000     4,672,840
Bank of America Corp. (3.093% to 10-1-24, then 3 month LIBOR + 1.090%) 10/01/2025   3,016,000     3,213,580
Bank of America Corp. (3.419% to 12-20-27, then 3 month LIBOR + 1.040%) 12/20/2028   5,759,000     6,265,973
Bank of America Corp. (4.271% to 7-23-28, then 3 month LIBOR + 1.310%) 07/23/2029   4,245,000     4,885,037
Barclays PLC (5.088% to 6-20-29, then 3 month LIBOR + 3.054%) 06/20/2030   2,779,000     3,096,948
BNP Paribas SA (2.819% to 11-19-24, then 3 month LIBOR + 1.111%) 11/19/2025 (D)   4,984,000     5,118,552
BNP Paribas SA (3.052% to 1-13-30, then SOFR + 1.507%) 01/13/2031 (D)   2,034,000     2,083,225
Brighthouse Financial, Inc.
4.700%, 06/22/2047
  945,000     832,381
Brookfield Finance, Inc.
4.350%, 04/15/2030
  1,672,000     1,829,752
Capital One Financial Corp.          
2.600%, 05/11/2023   5,622,000     5,772,930
3.650%, 05/11/2027   1,598,000     1,667,414
Citigroup, Inc.
3.200%, 10/21/2026
  1,562,000     1,671,363
Citigroup, Inc. (2.572% to 6-3-30, then SOFR + 2.107%) 06/03/2031   3,233,000     3,229,755
Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Citigroup, Inc. (2.976% to 11-5-29, then SOFR + 1.422%) 11/05/2030 $ 2,404,000   $ 2,499,299
Citigroup, Inc. (3.106% to 4-8-25, then SOFR + 2.750%) 04/08/2026   9,059,000     9,537,422
Citigroup, Inc. (4.412% to 3-31-30, then SOFR + 3.914%) 03/31/2031   5,396,000     6,214,765
Credit Agricole SA
2.375%, 01/22/2025 (D)
  3,143,000     3,265,013
Credit Suisse Group AG
3.574%, 01/09/2023 (D)
  4,173,000     4,302,393
Credit Suisse Group AG (2.997% to 12-14-22, then 3 month LIBOR + 1.200%) 12/14/2023 (D)   1,471,000     1,517,183
Credit Suisse Group Funding Guernsey, Ltd.
3.800%, 06/09/2023
  1,326,000     1,407,652
Danske Bank A/S
5.000%, 01/12/2022 (D)
  2,133,000     2,234,802
Danske Bank A/S (3.001% to 9-20-21, then 3 month LIBOR + 1.249%) 09/20/2022 (D)   4,164,000     4,206,239
Danske Bank A/S (3.244% to 12-20-24, then 3 month LIBOR + 1.591%) 12/20/2025 (D)   3,884,000     3,966,637
Element Fleet Management Corp.
3.850%, 06/15/2025 (D)
  1,617,000     1,623,239
Federal Realty Investment Trust
3.950%, 01/15/2024
  1,252,000     1,300,530
GE Capital Funding LLC
3.450%, 05/15/2025 (D)
  3,378,000     3,432,876
GE Capital International Funding Company Unlimited Company
4.418%, 11/15/2035
  3,420,000     3,414,641
Inter-American Development Bank
0.875%, 04/03/2025
  3,328,000     3,383,797
JPMorgan Chase & Co.
2.950%, 10/01/2026
  250,000     269,520
JPMorgan Chase & Co. (1.514% to 6-1-23, then SOFR + 1.455%) 06/01/2024   8,051,000     8,107,576
JPMorgan Chase & Co. (2.182% to 6-1-27, then SOFR + 1.890%) 06/01/2028   2,415,000     2,430,070
JPMorgan Chase & Co. (2.956% to 5-13-30, then SOFR + 2.515%) 05/13/2031   3,344,000     3,442,635
JPMorgan Chase & Co. (3.207% to 4-1-22, then 3 month LIBOR + 0.695%) 04/01/2023   2,751,000     2,857,895
JPMorgan Chase & Co. (4.493% to 3-24-30, then SOFR + 3.790%) 03/24/2031   958,000     1,137,804
Landwirtschaftliche Rentenbank
0.500%, 05/27/2025
  4,831,000     4,825,883
Lincoln National Corp.
3.050%, 01/15/2030
  2,751,000     2,750,333
Lloyds Banking Group PLC (3.870% to 7-9-24, then 1 Year CMT + 3.500%) 07/09/2025   4,678,000     4,968,016
MDGH - GMTN BV
2.875%, 11/07/2029 (D)
  1,466,000     1,519,143
Morgan Stanley
2.750%, 05/19/2022
  3,141,000     3,261,252
 
  13  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Nationwide Building Society (4.363% to 8-1-23, then 3 month LIBOR + 1.392%) 08/01/2024 (D) $ 1,634,000   $ 1,749,085
Nationwide Financial Services, Inc.
3.900%, 11/30/2049 (D)
  2,025,000     1,981,117
Nationwide Mutual Insurance Company
4.350%, 04/30/2050 (D)
  1,055,000     1,072,129
Nomura Holdings, Inc.          
2.648%, 01/16/2025   1,591,000     1,642,937
3.103%, 01/16/2030   4,147,000     4,179,654
Prudential Financial, Inc.          
1.500%, 03/10/2026   3,211,000     3,237,670
4.350%, 02/25/2050   813,000     928,229
Realty Income Corp.
3.250%, 01/15/2031
  1,800,000     1,839,701
Regency Centers LP
3.700%, 06/15/2030
  588,000     604,952
Santander Holdings USA, Inc.
3.450%, 06/02/2025
  2,426,000     2,449,615
Scentre Group Trust
3.625%, 01/28/2026 (D)
  1,248,000     1,266,800
Societe Generale SA
2.625%, 10/16/2024 to 01/22/2025 (D)
  4,385,000     4,403,013
Standard Chartered PLC (4.644% to 4-1-30, then 5 Year CMT + 3.850%) 04/01/2031 (D)   406,000     452,774
State Street Corp. (2.825% to 3-30-22, then SOFR + 2.690%) 03/30/2023 (D)   2,166,000     2,239,761
Swedish Export Credit
0.750%, 04/06/2023
  4,416,000     4,447,458
The Charles Schwab Corp.          
3.250%, 05/22/2029   2,345,000     2,590,696
4.625%, 03/22/2030   1,449,000     1,778,693
The Goldman Sachs Group, Inc.          
3.500%, 04/01/2025 to 11/16/2026   13,072,000     14,045,379
3.850%, 01/26/2027   1,400,000     1,542,436
4.000%, 03/03/2024   364,000     398,707
6.750%, 10/01/2037   1,433,000     1,981,708
The Goldman Sachs Group, Inc. (3.272% to 9-29-24, then 3 month LIBOR + 1.201%) 09/29/2025   412,000     436,062
The Royal Bank of Scotland Group PLC (2.359% to 5-22-23, then 1 Year CMT + 2.150%) 05/22/2024   695,000     701,882
The Royal Bank of Scotland Group PLC (3.073% to 5-22-27, then 1 Year CMT + 2.550%) 05/22/2028   1,258,000     1,287,618
The Royal Bank of Scotland Group PLC (3.754% to 11-1-24, then 5 Year CMT + 2.100%) 11/01/2029   1,384,000     1,400,046
The Royal Bank of Scotland Group PLC (4.445% to 5-8-29, then 3 month LIBOR + 1.871%) 05/08/2030   1,280,000     1,445,266
Truist Bank
2.250%, 03/11/2030
  1,283,000     1,267,681
Trust Fibra Uno
6.390%, 01/15/2050 (D)
  860,000     788,973
UBS Group AG (2.859% to 8-15-22, then 3 month LIBOR + 0.954%) 08/15/2023 (D)   3,903,000     4,023,012
          236,726,974
Health care – 4.4%          
Abbott Laboratories
3.750%, 11/30/2026
  991,000     1,160,887
Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
AbbVie, Inc.          
2.300%, 11/21/2022 (D) $ 6,665,000   $ 6,879,844
2.600%, 11/21/2024 (D)   2,954,000     3,102,702
2.900%, 11/06/2022   2,283,000     2,391,014
2.950%, 11/21/2026 (D)   843,000     903,848
3.200%, 11/21/2029 (D)   2,385,000     2,555,427
3.750%, 11/14/2023   228,000     247,906
3.800%, 03/15/2025 (D)   3,930,000     4,328,669
4.050%, 11/21/2039 (D)   979,000     1,098,550
4.250%, 11/21/2049 (D)   1,624,000     1,860,558
Aetna, Inc.
3.875%, 08/15/2047
  669,000     733,686
Amgen, Inc.          
2.200%, 02/21/2027   1,250,000     1,302,950
2.300%, 02/25/2031   1,673,000     1,728,530
3.150%, 02/21/2040   925,000     965,630
3.375%, 02/21/2050   839,000     888,249
Anthem, Inc.          
2.250%, 05/15/2030   2,083,000     2,138,511
3.125%, 05/15/2050   838,000     861,175
3.650%, 12/01/2027   1,079,000     1,220,849
Becton, Dickinson and Company
2.404%, 06/05/2020
  2,747,000     2,746,731
Biogen, Inc.
3.150%, 05/01/2050
  1,024,000     991,504
Bristol-Myers Squibb Company          
2.600%, 05/16/2022 (D)   1,760,000     1,833,102
2.750%, 02/15/2023 (D)   2,938,000     3,086,163
2.875%, 02/19/2021 (D)   815,000     829,819
2.900%, 07/26/2024 (D)   2,837,000     3,062,690
3.200%, 06/15/2026 (D)   1,705,000     1,912,364
3.400%, 07/26/2029 (D)   674,000     770,718
3.450%, 11/15/2027 (D)   1,217,000     1,392,272
3.875%, 08/15/2025 (D)   939,000     1,066,981
3.900%, 02/20/2028 (D)   1,305,000     1,514,230
4.125%, 06/15/2039 (D)   209,000     264,582
4.250%, 10/26/2049 (D)   687,000     903,279
4.350%, 11/15/2047 (D)   404,000     522,206
Cigna Corp.          
3.400%, 09/17/2021 to 03/15/2050   2,272,000     2,366,622
3.400%, 03/01/2027 (D)   2,052,000     2,252,201
3.750%, 07/15/2023   1,538,000     1,673,389
3.875%, 10/15/2047 (D)   1,670,000     1,890,825
4.375%, 10/15/2028   397,000     465,916
CVS Health Corp.          
3.000%, 08/15/2026   910,000     993,948
3.625%, 04/01/2027   1,302,000     1,429,040
3.700%, 03/09/2023   2,251,000     2,411,377
4.000%, 12/05/2023   1,229,000     1,339,576
4.780%, 03/25/2038   606,000     737,867
Danaher Corp.
3.350%, 09/15/2025
  790,000     869,362
Dentsply Sirona, Inc.
3.250%, 06/01/2030
  1,190,000     1,218,131
DH Europe Finance II Sarl          
2.050%, 11/15/2022   1,347,000     1,387,765
2.200%, 11/15/2024   2,306,000     2,409,890
2.600%, 11/15/2029   2,899,000     3,047,467
3.400%, 11/15/2049   703,000     780,760
Eli Lilly And Company
2.250%, 05/15/2050
  1,191,000     1,120,718
Merck & Company, Inc.
3.700%, 02/10/2045
  587,000     707,951
Novartis Capital Corp.          
2.000%, 02/14/2027   1,575,000     1,664,179
 
  14  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
Novartis Capital Corp. (continued)          
2.200%, 08/14/2030 $ 4,151,000   $ 4,381,804
Pfizer, Inc.          
1.700%, 05/28/2030   2,817,000     2,826,695
2.550%, 05/28/2040   1,610,000     1,627,490
2.700%, 05/28/2050   1,610,000     1,622,432
2.800%, 03/11/2022   811,000     845,537
Shire Acquisitions Investments
Ireland DAC
         
2.875%, 09/23/2023   1,752,000     1,847,601
3.200%, 09/23/2026   1,972,000     2,177,009
Stryker Corp.          
1.150%, 06/15/2025   1,690,000     1,688,311
1.950%, 06/15/2030   1,536,000     1,528,276
2.900%, 06/15/2050   1,183,000     1,187,618
Takeda Pharmaceutical Company, Ltd.
4.400%, 11/26/2023
  1,642,000     1,824,045
Thermo Fisher Scientific, Inc.
4.497%, 03/25/2030
  3,141,000     3,837,832
UnitedHealth Group, Inc.          
2.000%, 05/15/2030   1,261,000     1,298,476
2.375%, 08/15/2024   455,000     483,839
2.750%, 05/15/2040   1,004,000     1,043,386
2.900%, 05/15/2050   672,000     698,006
3.125%, 05/15/2060   418,000     439,960
3.500%, 08/15/2039   289,000     332,641
3.700%, 12/15/2025   910,000     1,036,089
3.750%, 10/15/2047   725,000     857,512
3.875%, 08/15/2059   430,000     517,070
          116,134,239
Industrials – 1.7%          
AerCap Ireland Capital DAC          
3.500%, 05/26/2022   828,000     767,690
3.950%, 02/01/2022   458,000     431,591
4.450%, 04/03/2026   526,000     456,206
4.625%, 07/01/2022   389,000     366,595
4.875%, 01/16/2024   749,000     669,693
Burlington Northern Santa Fe LLC
3.050%, 02/15/2051
  563,000     583,848
Crowley Conro LLC
4.181%, 08/15/2043
  878,900     1,106,004
CSX Corp.          
2.400%, 02/15/2030   254,000     265,592
4.300%, 03/01/2048   108,000     131,401
4.750%, 11/15/2048   585,000     750,736
Deere & Company          
2.750%, 04/15/2025   1,760,000     1,908,331
3.750%, 04/15/2050   774,000     933,815
General Dynamics Corp.          
3.250%, 04/01/2025   1,057,000     1,170,513
4.250%, 04/01/2040   352,000     436,621
General Electric Company          
3.100%, 01/09/2023   295,000     303,833
3.450%, 05/01/2027   2,356,000     2,332,623
3.625%, 05/01/2030   1,288,000     1,273,793
5.875%, 01/14/2038   130,000     145,193
Hutama Karya Persero PT
3.750%, 05/11/2030 (D)
  933,000     968,585
International Lease Finance Corp.
5.875%, 08/15/2022
  609,000     618,087
John Deere Capital Corp.          
1.200%, 04/06/2023   1,986,000     2,011,588
1.750%, 03/09/2027   1,191,000     1,219,823
Northrop Grumman Corp.          
2.550%, 10/15/2022   2,665,000     2,789,863
Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
Northrop Grumman Corp. (continued)          
2.930%, 01/15/2025 $ 120,000   $ 130,049
3.250%, 08/01/2023 to 01/15/2028   3,980,000     4,347,624
4.030%, 10/15/2047   876,000     1,061,398
5.150%, 05/01/2040   1,315,000     1,767,906
Otis Worldwide Corp.
2.565%, 02/15/2030 (D)
  826,000     834,442
The Boeing Company          
2.700%, 02/01/2027   1,209,000     1,125,578
2.950%, 02/01/2030   1,282,000     1,221,069
5.805%, 05/01/2050   902,000     1,020,991
Union Pacific Corp.          
2.150%, 02/05/2027   1,335,000     1,400,880
2.400%, 02/05/2030   1,652,000     1,725,262
2.950%, 03/01/2022   1,496,000     1,557,621
3.150%, 03/01/2024   715,000     772,826
3.250%, 02/05/2050   2,119,000     2,241,541
3.750%, 02/05/2070   268,000     292,317
4.300%, 03/01/2049   221,000     277,835
United Technologies Corp.          
3.650%, 08/16/2023   159,000     172,589
3.950%, 08/16/2025   1,203,000     1,368,573
4.450%, 11/16/2038   1,120,000     1,349,177
          44,309,702
Information technology – 2.7%          
Adobe, Inc.
2.300%, 02/01/2030
  2,997,000     3,199,049
Apple, Inc.          
2.050%, 09/11/2026   2,704,000     2,887,836
2.650%, 05/11/2050   1,117,000     1,145,751
2.950%, 09/11/2049   173,000     186,883
3.200%, 05/13/2025   620,000     696,632
4.250%, 02/09/2047   738,000     960,957
Broadcom Corp.
3.875%, 01/15/2027
  2,045,000     2,151,658
Broadcom, Inc.          
3.150%, 11/15/2025 (D)   4,409,000     4,569,410
4.150%, 11/15/2030 (D)   3,751,000     3,899,012
4.250%, 04/15/2026 (D)   1,447,000     1,549,319
4.700%, 04/15/2025 (D)   1,980,000     2,169,894
5.000%, 04/15/2030 (D)   1,052,000     1,161,343
Fiserv, Inc.          
3.200%, 07/01/2026   1,447,000     1,574,358
3.500%, 07/01/2029   1,446,000     1,595,789
4.200%, 10/01/2028   144,000     166,884
IBM Corp.          
3.300%, 05/15/2026   457,000     511,837
4.150%, 05/15/2039   655,000     778,984
Intel Corp.          
2.450%, 11/15/2029   996,000     1,067,328
4.600%, 03/25/2040   857,000     1,113,334
KLA Corp.
3.300%, 03/01/2050
  1,069,000     1,074,460
Lam Research Corp.          
1.900%, 06/15/2030   1,437,000     1,445,222
2.875%, 06/15/2050   1,417,000     1,434,879
3.125%, 06/15/2060   583,000     604,744
Mastercard, Inc.          
3.300%, 03/26/2027   862,000     977,464
3.850%, 03/26/2050   141,000     178,748
Micron Technology, Inc.
2.497%, 04/24/2023
  2,500,000     2,559,571
Microsoft Corp.          
2.875%, 02/06/2024   514,000     556,896
4.000%, 02/12/2055   1,101,000     1,439,158
 
  15  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology (continued)          
Microsoft Corp. (continued)          
4.100%, 02/06/2037 $ 1,374,000   $ 1,746,516
NVIDIA Corp.
3.500%, 04/01/2040 to 04/01/2050
  3,040,000     3,460,076
NXP BV          
2.700%, 05/01/2025 (D)   798,000     822,981
3.150%, 05/01/2027 (D)   1,357,000     1,387,797
3.400%, 05/01/2030 (D)   1,716,000     1,782,954
3.875%, 06/18/2026 (D)   2,989,000     3,228,335
4.300%, 06/18/2029 (D)   1,130,000     1,238,174
Oracle Corp.          
2.625%, 02/15/2023   1,118,000     1,178,628
2.800%, 04/01/2027   2,575,000     2,792,106
2.950%, 11/15/2024   597,000     649,898
3.800%, 11/15/2037   610,000     693,883
3.850%, 04/01/2060   1,422,000     1,624,458
4.000%, 11/15/2047   1,298,000     1,524,656
PayPal Holdings, Inc.          
1.350%, 06/01/2023   2,172,000     2,206,428
1.650%, 06/01/2025   3,041,000     3,114,657
Texas Instruments, Inc.
1.375%, 03/12/2025
  1,003,000     1,031,182
          70,140,129
Materials – 0.9%          
Air Products and Chemicals, Inc.
2.700%, 05/15/2040
  402,000     416,733
Barrick North America Finance LLC          
5.700%, 05/30/2041   1,030,000     1,367,954
5.750%, 05/01/2043   392,000     538,758
DuPont de Nemours, Inc.          
4.205%, 11/15/2023   2,232,000     2,427,144
4.493%, 11/15/2025   1,589,000     1,802,737
Georgia-Pacific LLC          
1.750%, 09/30/2025 (D)   2,653,000     2,709,720
2.100%, 04/30/2027 (D)   1,281,000     1,303,423
2.300%, 04/30/2030 (D)   2,104,000     2,149,278
International Paper Company
4.400%, 08/15/2047
  801,000     893,739
Newmont Corp.
2.250%, 10/01/2030
  1,349,000     1,334,753
Nucor Corp.          
2.000%, 06/01/2025   842,000     857,098
2.700%, 06/01/2030   842,000     856,155
Nutrien, Ltd.          
2.950%, 05/13/2030   1,082,000     1,129,208
5.000%, 04/01/2049   1,219,000     1,499,689
Packaging Corp. of America
3.000%, 12/15/2029
  736,000     773,147
Teck Resources, Ltd.
6.250%, 07/15/2041
  682,000     687,162
The Mosaic Company          
5.450%, 11/15/2033   116,000     117,893
5.625%, 11/15/2043   564,000     576,186
WRKCo, Inc.
4.900%, 03/15/2029
  961,000     1,105,858
          22,546,635
Real estate – 0.9%          
Alexandria Real Estate Equities, Inc.
4.900%, 12/15/2030
  862,000     1,046,165
Crown Castle International Corp.          
3.300%, 07/01/2030   2,264,000     2,448,977
4.000%, 03/01/2027   396,000     442,823
Equinix, Inc.          
2.625%, 11/18/2024   1,069,000     1,128,009
2.900%, 11/18/2026   2,372,000     2,504,524
Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Real estate (continued)          
GLP Capital LP          
4.000%, 01/15/2030 $ 651,000   $ 567,998
5.300%, 01/15/2029   853,000     818,880
Mid-America Apartments LP          
3.600%, 06/01/2027   126,000     134,559
3.750%, 06/15/2024   1,974,000     2,032,831
3.950%, 03/15/2029   849,000     938,528
4.000%, 11/15/2025   1,034,000     1,074,623
4.300%, 10/15/2023   866,000     904,556
Regency Centers LP
2.950%, 09/15/2029
  1,838,000     1,764,935
Spirit Realty LP          
3.400%, 01/15/2030   1,018,000     874,500
4.000%, 07/15/2029   457,000     414,321
4.450%, 09/15/2026   97,000     92,864
STORE Capital Corp.          
4.500%, 03/15/2028   3,180,000     2,991,994
4.625%, 03/15/2029   1,007,000     936,595
Ventas Realty LP
4.750%, 11/15/2030
  1,744,000     1,814,807
          22,932,489
Utilities – 2.7%          
Alabama Power Company
3.450%, 10/01/2049
  1,690,000     1,837,928
Ameren Corp.
3.500%, 01/15/2031
  377,000     418,861
Arizona Public Service Company
3.150%, 05/15/2025
  1,993,000     2,175,939
Black Hills Corp.          
3.050%, 10/15/2029   2,731,000     2,786,202
3.875%, 10/15/2049   760,000     762,608
CenterPoint Energy Resources Corp.
4.100%, 09/01/2047
  825,000     875,354
CenterPoint Energy, Inc.          
2.500%, 09/01/2022 to 09/01/2024   2,013,000     2,087,576
2.950%, 03/01/2030   801,000     843,434
Consumers Energy Company
2.500%, 05/01/2060
  666,000     625,015
Dominion Energy, Inc.
2.000%, 08/15/2021
  1,189,000     1,204,512
Dominion Resources, Inc.
2.850%, 08/15/2026
  1,022,000     1,077,473
DTE Electric Company
2.950%, 03/01/2050
  1,741,000     1,799,030
DTE Energy Company          
2.529%, 10/01/2024   1,437,000     1,485,126
2.950%, 03/01/2030   1,057,000     1,083,208
3.800%, 03/15/2027   1,593,000     1,714,449
Duke Energy Corp.          
1.800%, 09/01/2021   1,779,000     1,800,109
2.450%, 06/01/2030   1,299,000     1,337,576
2.650%, 09/01/2026   1,103,000     1,180,560
Duke Energy Ohio, Inc.
2.125%, 06/01/2030
  1,207,000     1,240,212
Edison International
4.125%, 03/15/2028
  5,000     5,194
Evergy Kansas Central, Inc.
3.450%, 04/15/2050
  2,131,000     2,312,387
Evergy Metro, Inc.
2.250%, 06/01/2030
  1,609,000     1,652,379
Evergy, Inc.          
2.450%, 09/15/2024   1,579,000     1,651,650
2.900%, 09/15/2029   1,457,000     1,519,144
Exelon Corp.
4.700%, 04/15/2050
  1,791,000     2,233,676
 
  16  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
Exelon Generation Company LLC
3.250%, 06/01/2025
$ 2,232,000   $ 2,310,582
FirstEnergy Corp.          
2.850%, 07/15/2022   370,000     381,751
3.900%, 07/15/2027   1,579,000     1,771,181
4.250%, 03/15/2023   2,146,000     2,317,376
Interstate Power & Light Company
3.500%, 09/30/2049
  648,000     689,358
ITC Holdings Corp.
2.700%, 11/15/2022
  1,701,000     1,766,464
Metropolitan Edison Company
4.300%, 01/15/2029 (D)
  1,335,000     1,555,508
MidAmerican Energy Company
3.650%, 08/01/2048
  898,000     1,039,518
Mississippi Power Company          
3.950%, 03/30/2028   2,072,000     2,305,549
4.250%, 03/15/2042   1,246,000     1,363,698
National Fuel Gas Company
5.500%, 01/15/2026
  421,000     429,456
NextEra Energy Capital Holdings, Inc.          
2.250%, 06/01/2030   2,515,000     2,562,087
2.750%, 05/01/2025   2,588,000     2,767,559
NiSource, Inc.
3.600%, 05/01/2030
  466,000     526,620
Pennsylvania Electric Company
3.250%, 03/15/2028 (D)
  715,000     766,427
PPL Capital Funding, Inc.          
3.100%, 05/15/2026   2,052,000     2,187,025
3.400%, 06/01/2023   244,000     255,286
4.125%, 04/15/2030   2,192,000     2,474,769
5.000%, 03/15/2044   1,132,000     1,345,210
Public Service Electric and Gas Company
2.700%, 05/01/2050
  1,751,000     1,749,455
Southern California Edison Company          
2.850%, 08/01/2029 (A)   860,000     896,208
4.125%, 03/01/2048   1,378,000     1,555,524
4.650%, 10/01/2043   404,000     470,209
Southern California Gas Company          
2.550%, 02/01/2030   1,234,000     1,312,830
2.600%, 06/15/2026   484,000     519,098
Trans-Allegheny Interstate Line Company
3.850%, 06/01/2025 (D)
  593,000     658,013
          71,686,363
TOTAL CORPORATE BONDS (Cost $789,858,354)     $ 829,613,936
MUNICIPAL BONDS – 0.5%          
County of Clark Department of Aviation (Nevada)
6.820%, 07/01/2045
  1,115,000     1,580,858
Los Angeles Community College District (California)
6.750%, 08/01/2049
  2,270,000     3,855,799
North Texas Tollway Authority
6.718%, 01/01/2049
  1,390,000     2,316,449
Port Authority of New York & New Jersey
4.458%, 10/01/2062
  3,060,000     3,862,148
State of California
7.600%, 11/01/2040
  410,000     729,091
Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
MUNICIPAL BONDS (continued)          
The Ohio State University
4.800%, 06/01/2111
$ 600,000   $ 863,898
University of Texas
2.439%, 08/15/2049
  765,000     766,040
TOTAL MUNICIPAL BONDS (Cost $11,974,917)   $ 13,974,283
COLLATERALIZED MORTGAGE OBLIGATIONS – 7.9%      
Commercial and residential – 3.7%          
Angel Oak Mortgage Trust
Series 2020-2, Class A1A
2.531%, 01/26/2065 (D)(E)
  2,177,000     2,176,619
Angel Oak Mortgage Trust I LLC
Series 2019-2, Class A1
3.628%, 03/25/2049 (D)(E)
  1,197,074     1,211,215
Benchmark Mortgage Trust
Series 2018-B1, Class ASB
3.602%, 01/15/2051 (E)
  532,000     578,040
Bunker Hill Loan Depositary Trust          
Series 2019-1, Class A1,
3.613%, 10/26/2048 (D)
  1,447,473     1,469,283
Series 2019-2, Class A1,
2.879%, 07/25/2049 (D)
  2,582,859     2,574,643
CD Mortgage Trust          
Series 2016-CD1, Class A1,
1.443%, 08/10/2049
  164,078     163,926
Series 2017-CD4, Class A4,
3.514%, 05/10/2050 (E)
  4,839,000     5,292,636
Series 2017-CD4, Class ASB,
3.317%, 05/10/2050
  702,000     748,639
Series 2017-CD6, Class ASB,
3.332%, 11/13/2050
  1,764,000     1,885,836
CFCRE Commercial Mortgage Trust          
Series 2016-C3, Class A1,
1.793%, 01/10/2048
  157,753     157,814
Series 2017-C8, Class A1,
1.965%, 06/15/2050
  119,571     119,713
Series 2017-C8, Class ASB,
3.367%, 06/15/2050
  733,000     780,249
Citigroup Commercial Mortgage Trust
Series 2016-P5, Class A1
1.410%, 10/10/2049
  1,023,360     1,022,505
COLT Mortgage Loan Trust          
Series 2019-1, Class A1,
3.705%, 03/25/2049 (D)(E)
  563,180     566,065
Series 2019-2, Class A1,
3.337%, 05/25/2049 (D)(E)
  1,882,263     1,893,605
Series 2019-4, Class A1,
2.579%, 11/25/2049 (D)(E)
  2,260,086     2,257,049
Commercial Mortgage Trust (Cantor
Fitzgerald/Deutsche Bank AG)
         
Series 2015-LC21, Class A4,
3.708%, 07/10/2048
  753,000     819,083
Series 2015-LC23, Class A4,
3.774%, 10/10/2048
  1,507,000     1,647,111
Series 2016-COR1, Class ASB,
2.972%, 10/10/2049
  562,000     587,865
CSAIL Commercial Mortgage Trust          
Series 2015-C2, Class A4,
3.504%, 06/15/2057
  6,737,176     7,185,817
Series 2015-C4, Class A4,
3.808%, 11/15/2048
  1,802,000     1,925,230
Series 2016-C5, Class ASB,
3.533%, 11/15/2048
  279,000     293,022
DBJPM Mortgage Trust
Series 2017-C6, Class ASB
3.121%, 06/10/2050
  416,000     439,465
 
  17  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
GCAT LLC
Series 2019-NQM1, Class A1
2.985%, 02/25/2059 (D)
$ 970,847   $ 976,215
GS Mortgage Securities Trust          
Series 2014-GC18, Class A3,
3.801%, 01/10/2047
  565,161     583,983
Series 2015-GC28, Class A5,
3.396%, 02/10/2048
  675,000     711,939
Series 2015-GC34, Class A4,
3.506%, 10/10/2048
  1,606,000     1,736,320
Series 2020-GC47, Class A5,
2.377%, 05/12/2053
  1,766,000     1,820,607
Impact Funding Affordable Multifamily Housing Mortgage Loan Trust
Series 2010-1, Class A1
5.314%, 01/25/2051 (D)
  3,117,041     3,329,952
JPMBB Commercial Mortgage
Securities Trust
         
Series 2014-C23, Class A4,
3.670%, 09/15/2047
  793,000     846,425
Series 2014-C26, Class A4,
3.494%, 01/15/2048
  1,460,000     1,560,045
Series 2015-C28, Class A3,
2.912%, 10/15/2048
  2,889,381     3,018,203
Series 2015-C29, Class A4,
3.611%, 05/15/2048
  1,130,000     1,220,828
Series 2015-C33, Class A4,
3.770%, 12/15/2048
  437,000     478,667
JPMCC Commercial Mortgage Securities Trust
Series 2017-JP6, Class ASB
3.283%, 07/15/2050
  781,000     832,943
JPMDB Commercial Mortgage
Securities Trust
         
Series 2017-C5, Class ASB,
3.492%, 03/15/2050
  281,000     300,285
Series 2018-C8, Class ASB,
4.145%, 06/15/2051
  841,000     936,713
Morgan Stanley Bank of America Merrill
Lynch Trust
         
Series 2013-C10, Class A4,
4.082%, 07/15/2046 (E)
  260,000     275,571
Series 2015-C20, Class A4,
3.249%, 02/15/2048
  231,000     243,816
Series 2015-C25, Class ASB,
3.383%, 10/15/2048
  842,000     881,220
Series 2015-C27, Class A4,
3.753%, 12/15/2047
  226,000     242,441
Morgan Stanley Capital I Trust          
Series 2016-UB11, Class A1,
1.445%, 08/15/2049
  320,103     319,737
Series 2016-UB11, Class ASB,
2.606%, 08/15/2049
  646,000     665,596
New Residential Mortgage Loan Trust          
Series 2019-NQM2, Class A1,
3.600%, 04/25/2049 (D)(E)
  1,216,113     1,229,313
Series 2019-NQM4, Class A1,
2.492%, 09/25/2059 (D)(E)
  2,017,414     1,967,095
SG Residential Mortgage Trust
Series 2019-3, Class A1
2.703%, 09/25/2059 (D)(E)
  2,172,611     2,168,793
Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Starwood Mortgage Residential Trust          
Series 2019-INV1, Class A1,
2.610%, 09/27/2049 (D)(E)
$ 2,277,370   $ 2,250,402
Series 2020-1, Class A1,
2.275%, 02/25/2050 (D)(E)
  4,053,792     4,048,817
Verus Securitization Trust          
Series 2019-1, Class A1,
3.836%, 02/25/2059 (D)(E)
  1,396,604     1,410,079
Series 2019-2, Class A1,
3.211%, 05/25/2059 (D)(E)
  4,668,429     4,699,990
Series 2019-3, Class A1,
2.784%, 07/25/2059 (D)
  4,406,231     4,459,350
Series 2019-4, Class A1,
2.642%, 11/25/2059 (D)
  6,263,647     6,309,261
Series 2019-INV1, Class A1,
3.402%, 12/25/2059 (D)(E)
  1,248,979     1,267,052
Series 2019-INV2, Class A1,
2.913%, 07/25/2059 (D)(E)
  2,323,714     2,342,241
Series 2019-INV3, Class A1,
2.692%, 11/25/2059 (D)(E)
  2,731,348     2,685,384
Series 2020-1, Class A1,
2.417%, 01/25/2060 (D)(E)
  1,389,558     1,395,190
Series 2020-2, Class A1,
2.226%, 05/25/2060 (D)(E)
  3,445,000     3,441,791
Visio Trust
Series 2019-1, Class A1
3.572%, 06/25/2054 (D)(E)
  1,227,961     1,241,728
          97,693,422
U.S. Government Agency – 4.2%          
Federal Home Loan Mortgage Corp.          
Series 264, Class 30,
3.000%, 07/15/2042
  4,454,225     4,812,760
Series 343, Class F4 (1 month LIBOR + 0.350%),
1.335%, 10/15/2037 (C)
  2,614,056     2,601,543
Series 4205, Class PA,
1.750%, 05/15/2043
  1,862,541     1,914,625
Series 4426, Class QC,
1.750%, 07/15/2037
  2,955,878     3,047,078
Series 4705, Class A,
4.500%, 09/15/2042
  1,477,165     1,532,738
Series 4742, Class PA,
3.000%, 10/15/2047
  4,802,117     5,084,693
Series 4763, Class CA,
3.000%, 09/15/2038
  520,636     559,874
Series 4767, Class KA,
3.000%, 03/15/2048
  824,536     890,707
Series 4786, Class DP,
4.500%, 07/15/2042
  818,200     829,110
Series 4846, Class PF (1 month LIBOR + 0.350%),
0.534%, 12/15/2048 (C)
  862,202     860,986
Series 4880, Class DA,
3.000%, 05/15/2050
  3,848,130     4,116,197
Federal National Mortgage Association          
Series 1998-61, Class PL,
6.000%, 11/25/2028
  211,689     240,916
Series 2012-151, Class NX,
1.500%, 01/25/2043
  2,311,459     2,378,905
Series 2013-11, Class AP,
1.500%, 01/25/2043
  5,582,105     5,686,533
Series 2013-30, Class CA,
1.500%, 04/25/2043
  528,158     537,867
 
  18  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal National
Mortgage Association (continued)
         
Series 2013-43, Class BP,
1.750%, 05/25/2043
$ 2,609,813   $ 2,704,901
Series 2014-73, Class MA,
2.500%, 11/25/2044
  1,556,482     1,654,172
Series 2015-84, Class PA,
1.700%, 08/25/2033
  7,249,769     7,498,091
Series 2016-48, Class MA,
2.000%, 06/25/2038
  9,523,410     9,838,533
Series 2016-57, Class PC,
1.750%, 06/25/2046
  13,710,730     14,127,927
Series 2017-13, Class PA,
3.000%, 08/25/2046
  1,620,142     1,733,568
Series 2017-42, Class H,
3.000%, 11/25/2043
  1,888,457     1,952,489
Series 2017-M7, Class A2,
2.961%, 02/25/2027 (E)
  633,000     697,903
Series 2018-14, Class KC,
3.000%, 03/25/2048
  2,345,228     2,504,221
Series 2018-15, Class AB,
3.000%, 03/25/2048
  683,173     733,832
Series 2018-8, Class KL,
2.500%, 03/25/2047
  2,130,380     2,225,992
Series 2019-25, Class PA,
3.000%, 05/25/2048
  4,300,827     4,591,283
Series 2019-35, Class MB,
3.000%, 07/25/2049
  3,279,089     3,510,067
Series 2019-8, Class GA,
3.000%, 03/25/2049
  7,456,854     7,809,225
Series 414, Class A35,
3.500%, 10/25/2042
  2,230,912     2,504,671
Government National
Mortgage Association
         
Series 2012-141, Class WA,
4.528%, 11/16/2041 (E)
  491,737     568,037
Series 2017-167, Class BQ,
2.500%, 08/20/2044
  2,152,952     2,227,410
Series 2019-132, Class NA,
3.500%, 09/20/2049
  5,306,471     5,630,660
Series 2019-31, Class JC,
3.500%, 03/20/2049
  2,707,749     2,858,355
          110,465,869
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $201,106,916)   $ 208,159,291
ASSET BACKED SECURITIES – 8.3%      
Avis Budget Rental Car Funding
AESOP LLC
         
Series 2017-1A, Class A
3.070%, 09/20/2023 (D)
  939,000     928,608
Series 2019-3A, Class A
2.360%, 03/20/2026 (D)
  1,615,000     1,543,918
CNH Equipment Trust          
Series 2020-A, Class A3
1.160%, 06/16/2025
  1,960,000     1,963,496
Series 2020-A, Class A4
1.510%, 04/15/2027
  551,000     552,221
College Ave Student Loans LLC          
Series 2017-A, Class A1 (1 month LIBOR + 1.650%)
1.818%, 11/26/2046 (C)(D)
  1,002,459     989,349
Series 2018-A, Class A2
4.130%, 12/26/2047 (D)
  1,150,502     1,241,362
Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
College Ave Student
Loans LLC (continued)
         
Series 2019-A, Class A2
3.280%, 12/28/2048 (D)
$ 1,139,375   $ 1,183,655
Ford Credit Auto Owner Trust          
Series 2017-2, Class A
2.360%, 03/15/2029 (D)
  4,660,000     4,704,994
Series 2018-1, Class A
3.190%, 07/15/2031 (D)
  9,678,000     10,133,579
Series 2018-2, Class A
3.470%, 01/15/2030 (D)
  4,408,000     4,577,229
Series 2019-1, Class A
3.520%, 07/15/2030 (D)
  3,514,000     3,691,835
Series 2020-1, Class A
2.040%, 08/15/2031 (D)
  7,009,000     7,038,217
Series 2020-A, Class A3
1.040%, 08/15/2024
  2,036,000     2,057,001
Series 2020-A, Class A4
1.350%, 07/15/2025
  1,013,000     1,029,686
GM Financial Consumer Automobile
Receivables Trust
         
Series 2020-2, Class A3
1.490%, 12/16/2024
  389,000     396,852
Series 2020-2, Class A4
1.740%, 08/18/2025
  594,000     603,369
Honda Auto Receivables 2020-2
Owner Trust
         
Series 2020-2, Class A3
0.820%, 07/15/2024
  3,418,000     3,433,332
Series 2020-2, Class A4
1.090%, 10/15/2026
  1,167,000     1,178,465
Navient Private Education Loan Trust          
Series 2016-AA, Class A2B (1 month LIBOR + 2.150%)
2.334%, 12/15/2045 (C)(D)
  714,165     719,586
Series 2018-BA, Class A2A
3.610%, 12/15/2059 (D)
  1,380,000     1,404,919
Navient Private Education Refi
Loan Trust
         
Series 2018-A, Class A2
3.190%, 02/18/2042 (D)
  7,668,000     7,739,725
Series 2018-CA, Class A2
3.520%, 06/16/2042 (D)
  750,000     762,462
Series 2018-DA, Class A2A
4.000%, 12/15/2059 (D)
  3,186,000     3,332,092
Series 2019-CA, Class A2
3.130%, 02/15/2068 (D)
  3,693,000     3,789,052
Series 2019-D, Class A2A
3.010%, 12/15/2059 (D)
  5,091,000     5,166,115
Series 2019-FA, Class A2
2.600%, 08/15/2068 (D)
  5,797,000     5,927,384
Series 2019-GA, Class A
2.400%, 10/15/2068 (D)
  5,205,180     5,275,926
Series 2020-A, Class A2A
2.460%, 11/15/2068 (D)
  2,761,000     2,746,964
Series 2020-A, Class A2B (1 month LIBOR + 0.900%)
1.084%, 11/15/2068 (C)(D)
  2,393,000     2,241,653
Series 2020-BA, Class A2
2.120%, 01/15/2069 (D)
  2,124,000     2,100,034
Series 2020-CA, Class A2A
2.150%, 11/15/2068 (D)
  2,018,000     2,021,727
Navient Student Loan Trust          
Series 2014-1, Class A3 (1 month LIBOR + 0.510%)
0.678%, 06/25/2031 (C)
  2,067,073     1,978,138
 
  19  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Navient Student Loan Trust (continued)          
Series 2016-1A, Class A (1 month LIBOR + 0.700%)
0.868%, 02/25/2070 (C)(D)
$ 1,174,799   $ 1,102,221
Series 2016-3A, Class A2 (1 month LIBOR + 0.850%)
1.018%, 06/25/2065 (C)(D)
  195,175     195,164
Series 2018-EA, Class A2
4.000%, 12/15/2059 (D)
  1,964,000     2,017,472
Series 2019-BA, Class A2A
3.390%, 12/15/2059 (D)
  3,938,000     4,053,230
Nelnet Student Loan Trust          
Series 2004-3, Class A5 (3 month LIBOR + 0.180%)
1.171%, 10/27/2036 (C)
  627,967     612,109
Series 2004-4, Class A5 (3 month LIBOR + 0.160%)
1.151%, 01/25/2037 (C)
  1,929,708     1,848,570
Series 2005-1, Class A5 (3 month LIBOR + 0.110%)
1.101%, 10/25/2033 (C)
  7,409,336     6,921,060
Series 2005-2, Class A5 (3 month LIBOR + 0.100%)
1.295%, 03/23/2037 (C)
  9,674,773     9,136,430
Series 2005-3, Class A5 (3 month LIBOR + 0.120%)
1.315%, 12/24/2035 (C)
  6,029,210     5,753,439
Series 2005-4, Class A4 (3 month LIBOR + 0.180%)
1.375%, 03/22/2032 (C)
  645,700     596,512
Series 2012-2A, Class A (1 month LIBOR + 0.800%)
0.968%, 12/26/2033 (C)(D)
  4,237,404     4,155,629
Series 2013-1A, Class A (1 month LIBOR + 0.600%)
0.768%, 06/25/2041 (C)(D)
  1,894,851     1,756,582
Series 2014-1A, Class A (1 month LIBOR + 0.570%)
0.738%, 09/25/2041 (C)(D)
  586,411     559,223
Santander Drive Auto Receivables Trust
Series 2020-1, Class A3
2.030%, 02/15/2024
  1,025,000     1,036,624
Santander Revolving Auto Loan Trust
Series 2019-A, Class A
2.510%, 01/26/2032 (D)
  6,020,000     5,962,319
SLC Student Loan Trust
Series 2008-1, Class A4A (3 month LIBOR + 1.600%)
2.341%, 12/15/2032 (C)
  1,653,141     1,626,525
SLM Student Loan Trust          
Series 2003-1, Class A5C (3 month LIBOR + 0.750%)
1.491%, 12/15/2032 (C)(D)
  904,462     823,650
Series 2007-2, Class A4 (3 month LIBOR + 0.060%)
1.051%, 07/25/2022 (C)
  2,294,702     2,144,904
Series 2010-1, Class A (1 month LIBOR + 0.400%)
0.568%, 03/25/2025 (C)
  357,368     328,309
Series 2012-1, Class A3 (1 month LIBOR + 0.950%)
1.118%, 09/25/2028 (C)
  3,284,725     3,100,449
Series 2012-2, Class A (1 month LIBOR + 0.700%)
0.868%, 01/25/2029 (C)
  3,021,209     2,782,833
Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
SLM Student Loan Trust (continued)          
Series 2012-6, Class A3 (1 month LIBOR + 0.750%)
0.918%, 05/26/2026 (C)
$ 591,841   $ 543,049
Series 2013-4, Class A (1 month LIBOR + 0.550%)
0.718%, 06/25/2043 (C)
  4,645,148     4,496,034
SMB Private Education Loan Trust          
Series 2015-A, Class A2B (1 month LIBOR + 1.000%)
1.184%, 06/15/2027 (C)(D)
  832,055     825,785
Series 2015-C, Class A2B (1 month LIBOR + 1.400%)
1.584%, 07/15/2027 (C)(D)
  316,722     317,177
Series 2016-A, Class A2A
2.700%, 05/15/2031 (D)
  1,981,075     1,990,015
Series 2016-A, Class A2B (1 month LIBOR + 1.500%)
1.684%, 05/15/2031 (C)(D)
  5,555,333     5,483,206
Series 2016-B, Class A2A
2.430%, 02/17/2032 (D)
  327,015     331,573
Series 2016-C, Class A2B (1 month LIBOR + 1.100%)
1.284%, 09/15/2034 (C)(D)
  1,008,385     993,164
Series 2017-B, Class A2A
2.820%, 10/15/2035 (D)
  3,144,112     3,219,164
Series 2018-C, Class A2A
3.630%, 11/15/2035 (D)
  1,952,000     2,029,296
Series 2019-A, Class A2A
3.440%, 07/15/2036 (D)
  5,194,000     5,383,145
SoFi Professional Loan Program LLC          
Series 2016-A, Class A2
2.760%, 12/26/2036 (D)
  906,758     907,591
Series 2016-D, Class A1 (1 month LIBOR + 0.950%)
1.118%, 01/25/2039 (C)(D)
  88,994     88,766
Series 2016-E, Class A1 (1 month LIBOR + 0.850%)
1.018%, 07/25/2039 (C)(D)
  195,071     193,622
Series 2017-A, Class A1 (1 month LIBOR + 0.700%)
0.868%, 03/26/2040 (C)(D)
  332,243     329,318
Series 2017-C, Class A1 (1 month LIBOR + 0.600%)
0.768%, 07/25/2040 (C)(D)
  466,472     461,299
Series 2017-D, Class A2FX
2.650%, 09/25/2040 (D)
  1,056,209     1,079,108
Series 2017-E, Class A1 (1 month LIBOR + 0.500%)
0.668%, 11/26/2040 (C)(D)
  139,582     138,591
Series 2017-E, Class A2B
2.720%, 11/26/2040 (D)
  3,269,000     3,309,040
Series 2018-A, Class A2B
2.950%, 02/25/2042 (D)
  1,487,000     1,502,668
SoFi Professional Loan Program Trust          
Series 2018-B, Class A2FX
3.340%, 08/25/2047 (D)
  11,367,000     11,687,657
Series 2020-A, Class A2FX
2.540%, 05/15/2046 (D)
  4,799,000     4,924,837
Series 2020-C, Class AFX
1.950%, 02/15/2046 (D)
  4,105,000     4,105,000
Toyota Auto Receivables 2020-B Owner Trust
Series 2020-B, Class A3
1.360%, 08/15/2024
  1,825,000     1,851,056
 
  20  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Core Bond Fund (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Verizon Owner Trust          
Series 2019-C, Class A1A
1.940%, 04/22/2024
$ 2,176,000   $ 2,229,139
Series 2020-A, Class A1A
1.850%, 07/22/2024
  5,078,000     5,211,384
Volkswagen Auto Loan Enhanced Trust          
Series 2020-1, Class A3
0.980%, 11/20/2024
  2,639,000     2,649,455
Series 2020-1, Class A4
1.260%, 08/20/2026
  925,000     930,956
TOTAL ASSET BACKED SECURITIES (Cost $216,107,395)     $ 216,177,294
SHORT-TERM INVESTMENTS – 6.1%      
Short-term funds – 6.1%          
John Hancock Collateral Trust, 0.3653% (F)(G)   303,211     3,035,661
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (F)   158,277,801     158,277,801
TOTAL SHORT-TERM INVESTMENTS (Cost $161,313,225)   $ 161,313,462
Total Investments (Core Bond Fund)
(Cost $2,815,464,671) – 110.3%
  $ 2,890,138,557
Other assets and liabilities, net – (10.3%)       (270,300,510)
TOTAL NET ASSETS – 100.0%       $ 2,619,838,047
Security Abbreviations and Legend
CMT Constant Maturity Treasury
LIBOR London Interbank Offered Rate
SOFR Secured Overnight Financing Rate
TBA To Be Announced. A forward mortgage-backed securities trade issued by a U.S. Government Agency, to be delivered at an agreed-upon future settlement date.
(A) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $2,974,816.
(B) Security purchased or sold on a when-issued or delayed delivery basis.
(C) Variable rate obligation. The coupon rate shown represents the rate at period end.
(D) 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. Rule 144A securities amounted to $373,583,910 or 14.3% of the fund's net assets as of 5-31-20.
(E) Variable or floating rate security, the interest rate of which adjusts periodically based on a weighted average of interest rates and prepayments on the underlying pool of assets. The interest rate shown is the current rate as of period end.
(F) The rate shown is the annualized seven-day yield as of 5-31-20.
(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.
Health Sciences Fund
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.0%      
Consumer discretionary – 0.1%          
Specialty retail – 0.1%      
JAND, Inc., Class A (A)(B)(C)   16,938   $ 330,174
Financials – 0.1%          
Insurance – 0.1%      
Selectquote, Inc. (C)   18,135     499,075
Health Sciences Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care – 97.5%          
Biotechnology – 37.6%      
AbbVie, Inc.   82,375   $ 7,633,691
Abcam PLC   24,265     451,408
ACADIA Pharmaceuticals, Inc. (C)   76,867     3,818,753
Acceleron Pharma, Inc. (C)   34,309     3,390,758
Acerta Pharma BV, Class B (A)(B)(C)   4,892,850     463,842
ADC Therapeutics SA (C)   5,273     194,837
Adverum Biotechnologies, Inc. (C)   35,077     723,639
Agenus, Inc. (C)   8,863     33,059
Agios Pharmaceuticals, Inc. (C)   16,816     870,060
Aimmune Therapeutics, Inc. (C)   25,897     430,149
Akero Therapeutics, Inc. (C)   4,748     120,694
Alector, Inc. (C)   13,036     426,277
Alexion Pharmaceuticals, Inc. (C)   45,913     5,504,969
Alkermes PLC (C)   35,150     575,054
Allakos, Inc. (C)   2,559     166,335
Allogene Therapeutics, Inc. (C)   22,930     1,104,309
Alnylam Pharmaceuticals, Inc. (C)   32,574     4,406,285
Amarin Corp. PLC, ADR (C)   68,924     472,819
Amgen, Inc.   34,098     7,832,311
Apellis Pharmaceuticals, Inc. (C)   24,119     812,569
Applied Therapeutics, Inc. (C)   800     36,416
Aprea Therapeutics, Inc. (C)   3,100     83,266
Arcturus Therapeutics Holdings, Inc. (C)   7,193     280,095
Arcutis Biotherapeutics, Inc. (C)   6,408     214,988
Ardelyx, Inc. (C)   35,520     260,362
Argenx SE, ADR (C)   20,677     4,534,466
Ascendis Pharma A/S, ADR (C)   26,952     3,921,246
Assembly Biosciences, Inc. (C)   7,523     146,623
Avrobio, Inc. (C)   7,029     142,126
Beam Therapeutics, Inc. (C)   2,518     64,335
BeiGene, Ltd., ADR (C)   6,487     1,073,858
BELLUS Health, Inc. (C)   18,982     199,121
Biogen, Inc. (C)   16,887     5,185,829
BioMarin Pharmaceutical, Inc. (C)   21,606     2,302,119
Bluebird Bio, Inc. (C)   12,726     809,755
Blueprint Medicines Corp. (C)   15,161     987,588
CareDx, Inc. (C)   3,285     105,514
ChemoCentryx, Inc. (C)   4,382     273,393
Constellation Pharmaceuticals, Inc. (C)   6,800     241,604
Cortexyme, Inc. (C)   1,900     87,571
CRISPR Therapeutics AG (C)   7,872     508,374
Cyclerion Therapeutics, Inc. (C)   15,700     62,486
Deciphera Pharmaceuticals, Inc. (C)   13,250     776,053
Denali Therapeutics, Inc. (C)   19,545     543,937
Dicerna Pharmaceuticals, Inc. (C)   27,212     586,963
Enanta Pharmaceuticals, Inc. (C)   11,252     579,365
Epizyme, Inc. (C)   18,157     318,655
Esperion Therapeutics, Inc. (C)   4,200     177,954
Exact Sciences Corp. (C)   34,517     2,964,320
Exelixis, Inc. (C)   125,337     3,097,077
Fate Therapeutics, Inc. (C)   12,657     410,467
FibroGen, Inc. (C)   17,142     573,228
G1 Therapeutics, Inc. (C)   7,497     127,224
Galapagos NV (C)   2,271     460,714
Global Blood Therapeutics, Inc. (C)   22,597     1,579,982
Gritstone Oncology, Inc. (C)   9,300     60,078
Halozyme Therapeutics, Inc. (C)   7,500     182,025
Homology Medicines, Inc. (C)   15,913     226,601
IGM Biosciences, Inc. (C)   6,999     453,395
Immunomedics, Inc. (C)   36,840     1,237,456
Incyte Corp. (C)   61,224     6,239,338
Insmed, Inc. (C)   37,520     911,361
Intercept Pharmaceuticals, Inc. (C)   5,936     428,935
Ionis Pharmaceuticals, Inc. (C)   35,236     1,980,616
 
  21  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Health Sciences Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Iovance Biotherapeutics, Inc. (C)   67,951   $ 2,180,548
Kadmon Holdings, Inc. (C)   56,336     250,132
Karuna Therapeutics, Inc. (C)   11,023     1,034,619
Karyopharm Therapeutics, Inc. (C)   16,836     311,298
Kodiak Sciences, Inc. (C)   30,596     1,976,808
Krystal Biotech, Inc. (C)   7,663     393,955
Mersana Therapeutics, Inc. (C)   9,341     211,480
Mirati Therapeutics, Inc. (C)   10,303     1,021,955
Moderna, Inc. (C)   13,098     805,527
Momenta Pharmaceuticals, Inc. (C)   22,063     694,543
MorphoSys AG (C)   3,745     488,634
Neurocrine Biosciences, Inc. (C)   31,244     3,898,001
Orchard Therapeutics PLC, ADR (C)   18,342     174,249
Passage Bio, Inc. (C)   5,315     117,089
PhaseBio Pharmaceuticals, Inc. (C)   14,617     87,848
Principia Biopharma, Inc. (C)   9,994     638,517
Progenics Pharmaceuticals, Inc. (C)   33,200     140,934
Protagonist Therapeutics, Inc. (C)   15,682     259,223
PTC Therapeutics, Inc. (C)   8,598     436,005
Puma Biotechnology, Inc. (C)   19,196     195,991
Radius Health, Inc. (C)   14,535     184,013
RAPT Therapeutics, Inc. (C)   10,777     197,004
Regeneron Pharmaceuticals, Inc. (C)   13,354     8,183,465
REGENXBIO, Inc. (C)   7,407     278,948
REVOLUTION Medicines, Inc. (C)   3,769     115,784
Rocket Pharmaceuticals, Inc. (C)   17,467     328,554
Sage Therapeutics, Inc. (C)   22,701     810,880
Sarepta Therapeutics, Inc. (C)   15,078     2,295,927
Scholar Rock Holding Corp. (C)   5,074     93,362
Seattle Genetics, Inc. (C)   35,497     5,580,483
Stoke Therapeutics, Inc. (C)   9,148     253,034
Translate Bio, Inc. (C)   15,000     310,800
Turning Point Therapeutics, Inc. (C)   9,993     692,015
Ultragenyx Pharmaceutical, Inc. (C)   32,615     2,232,823
uniQure NV (C)   5,700     382,812
United Therapeutics Corp. (C)   4,600     542,570
Vertex Pharmaceuticals, Inc. (C)   55,936     16,107,331
Xencor, Inc. (C)   23,575     713,144
Zai Lab, Ltd., ADR (C)   4,410     328,104
Zealand Pharma A/S, ADR (C)   3,849     157,809
Zeneca, Inc. (B)(C)   33,315     20,489
Zentalis Pharmaceuticals, Inc. (C)   8,099     422,930
Zymeworks, Inc. (C)   12,812     488,393
          140,906,727
Health care equipment and supplies – 20.4%      
Alcon, Inc. (C)   35,465     2,295,854
AtriCure, Inc. (C)   16,904     808,180
Becton, Dickinson and Company   45,213     11,164,446
Danaher Corp.   46,438     7,737,035
DexCom, Inc. (C)   11,115     4,204,916
DiaSorin SpA   10,065     2,115,180
Envista Holdings Corp. (C)   61,705     1,304,444
GenMark Diagnostics, Inc. (C)   38,687     367,140
Hologic, Inc. (C)   72,702     3,853,206
ICU Medical, Inc. (C)   5,078     1,013,670
Inari Medical, Inc. (C)   4,477     196,988
Insulet Corp. (C)   8,800     1,659,416
Intuitive Surgical, Inc. (C)   22,275     12,920,168
iRhythm Technologies, Inc. (C)   7,451     926,234
Lantheus Holdings, Inc. (C)   22,466     308,458
Nevro Corp. (C)   16,981     2,132,814
Novocure, Ltd. (C)   11,500     775,445
Penumbra, Inc. (C)   9,647     1,663,336
Quidel Corp. (C)   17,958     3,142,650
Shockwave Medical, Inc. (C)   9,928     436,931
Health Sciences Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Stryker Corp.   39,850   $ 7,799,841
Tandem Diabetes Care, Inc. (C)   9,200     764,980
Teleflex, Inc.   7,426     2,694,598
The Cooper Companies, Inc.   7,220     2,288,596
West Pharmaceutical Services, Inc.   14,501     3,132,796
Zimmer Biomet Holdings, Inc.   7,174     906,363
          76,613,685
Health care providers and services – 15.9%      
Acadia Healthcare Company, Inc. (C)   16,917     483,995
Amedisys, Inc. (C)   5,661     1,087,195
Anthem, Inc.   17,097     5,028,399
Cardinal Health, Inc.   11,000     601,590
Centene Corp. (C)   115,731     7,667,179
Cigna Corp.   34,717     6,850,358
Guardant Health, Inc. (C)   9,772     883,291
HCA Healthcare, Inc.   38,697     4,136,709
Humana, Inc.   18,973     7,791,262
McKesson Corp.   4,300     682,281
Molina Healthcare, Inc. (C)   16,162     3,003,223
Option Care Health, Inc. (C)   13,712     208,422
The Pennant Group, Inc. (C)   17,090     435,624
UnitedHealth Group, Inc.   68,184     20,785,886
          59,645,414
Health care technology – 1.1%      
HTG Molecular Diagnostics, Inc. (C)   32,915     17,442
Livongo Health, Inc. (C)   5,800     347,594
Phreesia, Inc. (C)   9,252     271,269
Schrodinger, Inc. (C)   6,890     471,621
Teladoc Health, Inc. (C)   4,800     835,488
Veeva Systems, Inc., Class A (C)   9,514     2,082,329
          4,025,743
Life sciences tools and services – 8.0%      
10X Genomics, Inc., Class A (C)   7,749     604,190
Adaptive Biotechnologies Corp. (C)   13,199     510,801
Agilent Technologies, Inc.   60,740     5,353,624
Avantor, Inc. (C)   110,231     2,091,082
Bruker Corp.   41,463     1,794,519
Compugen, Ltd. (C)   5,600     86,184
Evotec SE (C)   36,895     1,004,230
Lonza Group AG   2,483     1,226,156
Mettler-Toledo International, Inc. (C)   1,381     1,097,895
PPD, Inc. (C)   22,261     606,390
PRA Health Sciences, Inc. (C)   10,508     1,087,578
Quanterix Corp. (C)   19,629     541,564
Repligen Corp. (C)   2,134     279,490
Thermo Fisher Scientific, Inc.   37,961     13,255,602
Wuxi Biologics Cayman, Inc. (C)(D)   29,500     465,857
          30,005,162
Pharmaceuticals – 14.5%      
Arvinas, Inc. (C)   3,000     99,810
Astellas Pharma, Inc.   67,900     1,213,233
AstraZeneca PLC, ADR   119,318     6,514,763
Axsome Therapeutics, Inc. (C)   8,541     657,486
Bayer AG   18,676     1,276,683
Bristol-Myers Squibb Company   65,302     3,899,835
Cara Therapeutics, Inc. (C)   22,624     359,043
Catalent, Inc. (C)   19,623     1,525,296
Chugai Pharmaceutical Company, Ltd.   20,600     3,044,105
Daiichi Sankyo Company, Ltd.   28,800     2,706,199
Eisai Company, Ltd.   17,000     1,334,350
Elanco Animal Health, Inc. (C)   33,519     717,642
Eli Lilly & Company   50,907     7,786,226
GW Pharmaceuticals PLC, ADR (C)   5,791     710,845
Horizon Therapeutics PLC (C)   15,700     796,461
 
  22  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Health Sciences Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Intra-Cellular Therapies, Inc. (C)   15,100   $ 315,288
Ipsen SA   12,639     988,884
Merck & Company, Inc.   62,533     5,047,664
Milestone Pharmaceuticals, Inc. (C)   9,082     28,699
MyoKardia, Inc. (C)   20,107     2,056,745
Nektar Therapeutics (C)   19,098     414,427
Novartis AG   19,054     1,658,763
Novo Nordisk A/S, ADR   11,100     731,934
Odonate Therapeutics, Inc. (C)   10,901     356,136
Perrigo Company PLC   373     20,429
Reata Pharmaceuticals, Inc., Class A (C)   5,286     768,162
Roche Holding AG   17,569     6,098,578
Sanofi   20,521     2,007,257
Tricida, Inc. (C)   22,110     593,875
WaVe Life Sciences, Ltd. (C)   20,428     207,957
Zogenix, Inc. (C)   10,284     299,573
          54,236,348
          365,433,079
Industrials – 0.3%          
Industrial conglomerates – 0.3%      
General Electric Company   149,046     979,232
TOTAL COMMON STOCKS (Cost $270,257,538)   $ 367,241,560
PREFERRED SECURITIES – 1.0%          
Consumer discretionary – 0.2%          
Specialty retail – 0.2%      
JAND, Inc., Series D (A)(B)(C)   37,822     737,268
Health care – 0.6%          
Health care equipment and supplies – 0.6%      
Sartorius AG   5,768     2,150,254
Pharmaceuticals – 0.0%      
Elanco Animal Health, Inc., 5.000%   1,374     52,253
          2,202,507
Information technology – 0.2%          
Software – 0.2%      
Doximity, Inc. (A)(B)(C)   63,738     910,816
TOTAL PREFERRED SECURITIES (Cost $1,772,324)   $ 3,850,591
RIGHTS – 0.1%          
Bristol-Myers Squibb Company (Expiration Date: 3-31-21) (C)(E)   131,655     433,145
TOTAL RIGHTS (Cost $363,553)   $ 433,145
SHORT-TERM INVESTMENTS – 1.2%      
Short-term funds – 1.2%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (F)   913,995     913,995
T. Rowe Price Government Reserve Fund, 0.2523% (F)   3,518,664     3,518,664
TOTAL SHORT-TERM INVESTMENTS (Cost $4,432,659)   $ 4,432,659
Total Investments (Health Sciences Fund)
(Cost $276,826,074) – 100.3%
  $ 375,957,955
Other assets and liabilities, net – (0.3%)     (1,033,658)
TOTAL NET ASSETS – 100.0%   $ 374,924,297
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Restricted security as to resale, excluding 144A securities. For more information on this security refer to the Notes to Portfolio of Investments.
(B) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
Health Sciences Fund (continued)
(C) Non-income producing security.
(D) 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.
(E) Strike price and/or expiration date not available.
(F) The rate shown is the annualized seven-day yield as of 5-31-20.
High Yield Fund
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS – 0.8%      
Argentina – 0.4%          
Provincia de Buenos Aires
7.875%, 06/15/2027
$ 870,000   $ 313,200
Republic of Argentina          
5.625%, 01/26/2022   470,000     185,650
6.875%, 01/26/2027   430,000     156,520
7.500%, 04/22/2026   330,000     126,228
          781,598
Brazil – 0.4%          
Federative Republic of Brazil
10.000%, 01/01/2021 to 01/01/2027
BRL 3,976,000     873,097
Indonesia – 0.0%          
Republic of Indonesia
8.375%, 03/15/2034
IDR 543,000,000     38,400
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $3,374,320)   $ 1,693,095
CORPORATE BONDS – 84.6%      
Communication services – 15.3%          
Allen Media LLC
10.500%, 02/15/2028 (A)
$ 950,000     722,000
Altice France Holding SA
10.500%, 05/15/2027 (A)
  290,000     321,175
Altice France SA
7.375%, 05/01/2026 (A)
  2,930,000     3,091,150
American Media LLC
10.500%, 12/31/2026 (A)
  860,000     920,200
CCO Holdings LLC          
4.500%, 05/01/2032 (A)   260,000     268,531
5.125%, 05/01/2027 (A)   1,270,000     1,333,525
5.750%, 02/15/2026 (A)   215,000     224,176
CenturyLink, Inc.
4.000%, 02/15/2027 (A)
  370,000     368,964
Charter Communications Operating LLC
6.484%, 10/23/2045
  250,000     322,905
Cogent Communications Group, Inc.
5.375%, 03/01/2022 (A)
  1,030,000     1,058,016
CSC Holdings LLC
6.500%, 02/01/2029 (A)
  1,370,000     1,512,425
DISH DBS Corp.
7.750%, 07/01/2026
  2,450,000     2,541,875
iHeartCommunications, Inc.          
4.750%, 01/15/2028 (A)   280,000     268,654
5.250%, 08/15/2027 (A)   780,000     764,166
Intelsat Jackson Holdings SA
8.000%, 02/15/2024 (A)(B)
  330,000     332,888
Lions Gate Capital Holdings LLC
5.875%, 11/01/2024 (A)
  1,000,000     970,000
Match Group, Inc.          
4.625%, 06/01/2028 (A)   660,000     678,150
5.000%, 12/15/2027 (A)   400,000     418,584
Netflix, Inc.          
4.375%, 11/15/2026   320,000     339,002
4.875%, 06/15/2030 (A)   500,000     539,800
5.375%, 11/15/2029 (A)   770,000     854,777
6.375%, 05/15/2029   490,000     574,525
 
  23  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

High Yield Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
Sirius XM Radio, Inc.
4.625%, 07/15/2024 (A)
$ 290,000   $ 296,931
Sprint Capital Corp.
8.750%, 03/15/2032
  1,260,000     1,811,250
Sprint Communications, Inc.
11.500%, 11/15/2021
  841,000     939,397
Sprint Corp.          
7.250%, 09/15/2021   1,000,000     1,049,200
7.625%, 02/15/2025   40,000     46,650
7.875%, 09/15/2023   1,470,000     1,668,450
Telecom Italia SpA
5.303%, 05/30/2024 (A)
  1,000,000     1,047,330
Time Warner Cable LLC
7.300%, 07/01/2038
  680,000     906,717
Twitter, Inc.
3.875%, 12/15/2027 (A)
  480,000     478,200
Univision Communications, Inc.          
5.125%, 02/15/2025 (A)   650,000     621,407
9.500%, 05/01/2025 (A)   650,000     695,500
UPC Holding BV
5.500%, 01/15/2028 (A)
  370,000     357,187
Virgin Media Secured Finance PLC
5.500%, 08/15/2026 to 05/15/2029 (A)
  1,940,000     2,026,275
          30,369,982
Consumer discretionary – 15.7%          
American Axle & Manufacturing, Inc.
6.500%, 04/01/2027
  670,000     626,450
Boyne USA, Inc.
7.250%, 05/01/2025 (A)
  1,130,000     1,194,975
Brinker International, Inc.
5.000%, 10/01/2024 (A)
  420,000     375,900
Carriage Services, Inc.
6.625%, 06/01/2026 (A)
  730,000     762,850
Century Communities, Inc.
5.875%, 07/15/2025
  1,390,000     1,400,425
Delphi Technologies PLC
5.000%, 10/01/2025 (A)
  510,000     526,448
ESH Hospitality, Inc.
4.625%, 10/01/2027 (A)
  420,000     397,425
Fontainebleau Las Vegas Holdings LLC
11.000%, 06/15/2015 (A)(B)
  2,983,778     298
Ford Motor Company          
8.500%, 04/21/2023   20,000     20,744
9.000%, 04/22/2025   1,060,000     1,114,325
Ford Motor Credit Company LLC          
3.087%, 01/09/2023   1,250,000     1,182,500
3.096%, 05/04/2023   790,000     740,799
frontdoor, Inc.
6.750%, 08/15/2026 (A)
  1,000,000     1,070,000
General Motors Company          
5.400%, 10/02/2023   90,000     95,066
6.125%, 10/01/2025   110,000     120,191
Golden Nugget, Inc.
8.750%, 10/01/2025 (A)
  660,000     435,600
Hanesbrands, Inc.          
4.625%, 05/15/2024 (A)   570,000     579,975
4.875%, 05/15/2026 (A)   550,000     556,875
5.375%, 05/15/2025 (A)   190,000     194,750
Hilton Domestic Operating
Company, Inc.
         
5.375%, 05/01/2025 (A)   410,000     419,307
5.750%, 05/01/2028 (A)   290,000     299,425
Hilton Worldwide Finance LLC
4.625%, 04/01/2025
  240,000     238,200
High Yield Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Installed Building Products, Inc.
5.750%, 02/01/2028 (A)
$ 500,000   $ 507,500
IRB Holding Corp.
7.000%, 06/15/2025 (A)
  370,000     383,875
L Brands, Inc.
5.250%, 02/01/2028
  1,560,000     1,320,150
Lennar Corp.          
4.750%, 11/29/2027   150,000     163,500
5.875%, 11/15/2024   640,000     692,800
Levi Strauss & Company
5.000%, 05/01/2025
  160,000     163,200
Macy's, Inc.
8.375%, 06/15/2025 (A)
  200,000     202,750
Marston's Issuer PLC (3 month GBP LIBOR + 2.550%) 3.218%, 07/15/2035 (C) GBP 380,000     380,716
Melco Resorts Finance, Ltd.
5.375%, 12/04/2029 (A)
$ 340,000     333,479
MGM Growth Properties Operating Partnership LP
4.500%, 09/01/2026
  310,000     304,575
Michaels Stores, Inc.
8.000%, 07/15/2027 (A)
  360,000     289,800
Mohegan Gaming & Entertainment
7.875%, 10/15/2024 (A)
  1,060,000     763,200
NCL Corp., Ltd.          
3.625%, 12/15/2024 (A)   450,000     270,000
12.250%, 05/15/2024 (A)   800,000     860,000
Newell Brands, Inc.
4.875%, 06/01/2025
  360,000     373,428
Party City Holdings, Inc.
6.625%, 08/01/2026 (A)
  670,000     103,013
PetSmart, Inc.
8.875%, 06/01/2025 (A)
  320,000     317,600
Royal Caribbean Cruises, Ltd.
11.500%, 06/01/2025 (A)
  420,000     445,347
Sands China, Ltd.
5.400%, 08/08/2028
  200,000     213,016
Scientific Games International, Inc.
7.000%, 05/15/2028 (A)
  860,000     756,800
Service Corp. International          
4.625%, 12/15/2027   680,000     715,564
5.125%, 06/01/2029   500,000     538,750
Silversea Cruise Finance, Ltd.
7.250%, 02/01/2025 (A)
  632,000     593,878
Speedway Motorsports LLC
4.875%, 11/01/2027 (A)
  830,000     697,200
Sugarhouse HSP Gaming Prop Mezz LP
5.875%, 05/15/2025 (A)
  380,000     345,800
Taylor Morrison Communities, Inc.          
5.875%, 01/31/2025 (A)   200,000     202,500
6.000%, 09/01/2023 (A)   600,000     600,372
The ServiceMaster Company LLC
5.125%, 11/15/2024 (A)
  500,000     506,250
The William Carter Company          
5.500%, 05/15/2025 (A)   420,000     432,600
5.625%, 03/15/2027 (A)   390,000     398,381
TopBuild Corp.
5.625%, 05/01/2026 (A)
  560,000     571,200
Viking Cruises, Ltd.          
5.875%, 09/15/2027 (A)   570,000     342,211
13.000%, 05/15/2025 (A)   1,000,000     1,080,000
VOC Escrow, Ltd.
5.000%, 02/15/2028 (A)
  990,000     812,166
 
  24  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

High Yield Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
WW International, Inc.
8.625%, 12/01/2025 (A)
$ 900,000   $ 938,250
Wynn Macau, Ltd.
5.125%, 12/15/2029 (A)
  300,000     295,500
Wynn Resorts Finance LLC
7.750%, 04/15/2025 (A)
  890,000     924,488
          31,192,387
Consumer staples – 3.7%          
Altria Group, Inc.
5.950%, 02/14/2049
  410,000     524,321
Cott Holdings, Inc.
5.500%, 04/01/2025 (A)
  680,000     685,807
Kraft Heinz Foods Company          
3.875%, 05/15/2027 (A)   30,000     31,343
4.250%, 03/01/2031 (A)   170,000     180,892
4.875%, 02/15/2025 (A)   1,520,000     1,557,011
5.200%, 07/15/2045   510,000     522,982
5.500%, 06/01/2050 (A)   520,000     541,187
Lamb Weston Holdings, Inc.
4.875%, 11/01/2026 to 05/15/2028 (A)
  850,000     881,092
Sally Holdings LLC
5.625%, 12/01/2025
  780,000     761,514
Simmons Foods, Inc.
5.750%, 11/01/2024 (A)
  940,000     878,900
Spectrum Brands, Inc.          
5.000%, 10/01/2029 (A)   250,000     244,063
6.125%, 12/15/2024   520,000     533,000
          7,342,112
Energy – 9.1%          
Antero Midstream Partners LP
5.375%, 09/15/2024
  250,000     208,750
Apache Corp.
5.100%, 09/01/2040
  120,000     96,050
Berry Petroleum Company LLC
7.000%, 02/15/2026 (A)
  390,000     293,623
Blue Racer Midstream LLC          
6.125%, 11/15/2022 (A)   920,000     897,874
6.625%, 07/15/2026 (A)   1,190,000     1,056,577
Cenovus Energy, Inc.          
3.000%, 08/15/2022   520,000     494,063
5.400%, 06/15/2047   60,000     47,227
6.750%, 11/15/2039   140,000     125,571
Comstock Resources, Inc.
7.500%, 05/15/2025 (A)
  280,000     247,100
Continental Resources, Inc.          
3.800%, 06/01/2024   230,000     200,100
4.375%, 01/15/2028   1,000,000     842,200
DCP Midstream Operating LP          
6.450%, 11/03/2036 (A)   310,000     254,200
6.750%, 09/15/2037 (A)   700,000     574,000
Endeavor Energy Resources LP          
5.500%, 01/30/2026 (A)   270,000     262,672
5.750%, 01/30/2028 (A)   50,000     48,813
EQM Midstream Partners LP          
5.500%, 07/15/2028   620,000     573,488
6.500%, 07/15/2048   250,000     215,000
EQT Corp.
6.125%, 02/01/2025
  710,000     725,670
MEG Energy Corp.          
7.000%, 03/31/2024 (A)   259,000     249,288
7.125%, 02/01/2027 (A)   1,300,000     1,183,806
Montage Resources Corp.
8.875%, 07/15/2023
  500,000     430,000
NGPL PipeCo LLC          
4.375%, 08/15/2022 (A)   460,000     468,560
High Yield Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
NGPL PipeCo LLC (continued)          
4.875%, 08/15/2027 (A) $ 300,000   $ 326,294
Oasis Petroleum, Inc.
6.875%, 03/15/2022 to 01/15/2023
  1,411,000     248,323
Occidental Petroleum Corp.
2.900%, 08/15/2024
  860,000     683,700
Occidental Petroleum Corp. (3 month LIBOR + 1.450%) 1.842%, 08/15/2022 (C)   110,000     96,250
Petrobras Global Finance BV          
5.750%, 02/01/2029   40,000     40,142
6.850%, 06/05/2115   580,000     543,170
Precision Drilling Corp.
7.125%, 01/15/2026 (A)
  870,000     435,000
Range Resources Corp.          
5.000%, 03/15/2023   450,000     407,066
9.250%, 02/01/2026 (A)   250,000     233,675
Shelf Drilling Holdings, Ltd.
8.250%, 02/15/2025 (A)
  1,000,000     442,500
Teine Energy, Ltd.
6.875%, 09/30/2022 (A)
  510,000     498,525
The Williams Companies, Inc.
7.500%, 01/15/2031
  650,000     792,958
Vesta Energy Corp.
8.125%, 07/24/2023 (A)
CAD 920,000     327,414
Viper Energy Partners LP
5.375%, 11/01/2027 (A)
$ 260,000     258,050
Western Midstream Operating LP          
3.100%, 02/01/2025   1,230,000     1,144,663
3.950%, 06/01/2025   80,000     74,376
4.000%, 07/01/2022   570,000     560,378
WPX Energy, Inc.          
5.250%, 10/15/2027   410,000     399,750
8.250%, 08/01/2023   1,040,000     1,110,200
          18,117,066
Financials – 8.4%          
Allied Universal Holdco LLC
6.625%, 07/15/2026 (A)
  1,320,000     1,386,000
Ally Financial, Inc.
8.000%, 11/01/2031
  480,000     605,693
Barclays PLC (5.088% to 6-20-29, then 3 month LIBOR + 3.054%) 06/20/2030   1,470,000     1,638,184
Barclays PLC (8.000% to 12-15-20, then 5 Year Euro Swap Rate + 6.750%) 12/15/2020 (D) EUR 540,000     600,926
Barclays PLC (8.000% to 6-15-24, then 5 Year CMT + 5.672%) 06/15/2024 (D) $ 600,000     614,916
BNP Paribas SA (7.375% to 8-19-25, then 5 Year U.S. Swap Rate + 5.150%) 08/19/2025 (A)(D)   350,000     383,688
CIT Group, Inc.
5.250%, 03/07/2025
  170,000     170,425
Credit Agricole SA (8.125% to 12-23-25, then 5 Year U.S. Swap Rate + 6.185%) 12/23/2025 (A)(D)   600,000     687,000
Credit Suisse Group AG (6.375% to 8-21-26, then 5 Year CMT + 4.822%) 08/21/2026 (A)(D)   840,000     850,332
DAE Funding LLC
5.750%, 11/15/2023 (A)
  1,030,000     908,975
Diversified Healthcare Trust
9.750%, 06/15/2025
  1,020,000     1,039,125
 
  25  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

High Yield Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Donnelley Financial Solutions, Inc.
8.250%, 10/15/2024
$ 680,000   $ 666,400
Fidelity & Guaranty Life Holdings, Inc.
5.500%, 05/01/2025 (A)
  470,000     502,900
FirstCash, Inc.
5.375%, 06/01/2024 (A)
  710,000     711,924
HSBC Holdings PLC (6.375% to 3-30-25, then 5 Year ICE Swap Rate + 4.368%) 03/30/2025 (D)   200,000     201,876
HSBC Holdings PLC (6.500% to 3-23-28, then 5 Year ICE Swap Rate + 3.606%) 03/23/2028 (D)   720,000     717,300
Intesa Sanpaolo SpA
5.017%, 06/26/2024 (A)
  200,000     200,576
INTL. FCStone, Inc.
8.625%, 06/15/2025 (A)
  300,000     303,750
Ladder Capital Finance Holdings LLLP
4.250%, 02/01/2027 (A)
  530,000     442,550
NatWest Markets NV
7.750%, 05/15/2023
  520,000     583,210
Navient Corp.
5.000%, 03/15/2027
  330,000     282,150
Quicken Loans LLC
5.250%, 01/15/2028 (A)
  890,000     898,179
The Royal Bank of Scotland Group PLC (8.625% to 8-15-21, then 5 Year U.S. Swap Rate + 7.598%) 08/15/2021 (D)   670,000     695,701
UBS Group AG (7.000% to 1-31-24, then 5 Year U.S. Swap Rate + 4.344%) 01/31/2024 (A)(D)   810,000     834,057
UniCredit SpA (7.296% to 4-2-29, then 5 Year ICE Swap Rate + 4.914%) 04/02/2034 (A)   690,000     752,897
          16,678,734
Health care – 7.7%          
Air Methods Corp.
8.000%, 05/15/2025 (A)
  860,000     550,400
AMN Healthcare, Inc.
4.625%, 10/01/2027 (A)
  200,000     193,076
Bausch Health Americas, Inc.
9.250%, 04/01/2026 (A)
  471,000     522,984
Bausch Health Companies, Inc.          
6.250%, 02/15/2029 (A)   1,990,000     2,039,750
9.000%, 12/15/2025 (A)   1,080,000     1,181,250
Centene Corp.          
3.375%, 02/15/2030   250,000     251,750
4.625%, 12/15/2029   390,000     419,835
5.375%, 06/01/2026 (A)   570,000     602,775
Community Health Systems, Inc.          
6.625%, 02/15/2025 (A)   940,000     907,100
8.000%, 03/15/2026 (A)   400,000     390,750
DaVita, Inc.
5.000%, 05/01/2025
  310,000     318,138
HCA, Inc.
5.625%, 09/01/2028
  1,000,000     1,146,250
HLF Financing Sarl LLC
7.250%, 08/15/2026 (A)
  610,000     605,425
LifePoint Health, Inc.
4.375%, 02/15/2027 (A)
  530,000     511,450
Par Pharmaceutical, Inc.
7.500%, 04/01/2027 (A)
  710,000     723,270
Polaris Intermediate Corp. (8.500% Cash or 9.250% PIK) 8.500%, 12/01/2022 (A)   620,000     542,891
High Yield Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
Radiology Partners, Inc.
9.250%, 02/01/2028 (A)
$ 780,000   $ 753,675
RegionalCare Hospital Partners Holdings, Inc.
9.750%, 12/01/2026 (A)
  480,000     519,600
Tenet Healthcare Corp.          
6.750%, 06/15/2023   550,000     576,125
7.500%, 04/01/2025 (A)   650,000     708,500
Teva Pharmaceutical Finance Company LLC
6.150%, 02/01/2036
  250,000     244,375
Teva Pharmaceutical Finance Netherlands III BV
2.800%, 07/21/2023
  800,000     756,000
US Renal Care, Inc.
10.625%, 07/15/2027 (A)
  750,000     780,000
          15,245,369
Industrials – 9.4%          
Ahern Rentals, Inc.
7.375%, 05/15/2023 (A)
  530,000     230,550
Allison Transmission, Inc.
5.000%, 10/01/2024 (A)
  640,000     644,800
Builders FirstSource, Inc.
5.000%, 03/01/2030 (A)
  230,000     215,625
BWX Technologies, Inc.
5.375%, 07/15/2026 (A)
  560,000     575,613
Clark Equipment Company
5.875%, 06/01/2025 (A)
  280,000     288,750
Cleaver-Brooks, Inc.
7.875%, 03/01/2023 (A)
  210,000     175,919
Continental Airlines 2000-1 Class B Pass Through Trust
8.388%, 11/01/2020
  143     139
Covanta Holding Corp.
5.875%, 07/01/2025
  500,000     493,855
Delta Air Lines, Inc.
3.625%, 03/15/2022
  560,000     509,739
FXI Holdings, Inc.
7.875%, 11/01/2024 (A)
  767,000     631,832
GFL Environmental, Inc.          
5.125%, 12/15/2026 (A)   160,000     166,400
7.000%, 06/01/2026 (A)   288,000     303,120
8.500%, 05/01/2027 (A)   818,000     896,733
Global Aircraft Leasing Company, Ltd. (6.500% Cash or 7.250% PIK) 6.500%, 09/15/2024 (A)   2,570,000     1,398,286
Navios Maritime Acquisition Corp.
8.125%, 11/15/2021 (A)
  450,000     279,000
Park-Ohio Industries, Inc.
6.625%, 04/15/2027
  348,000     268,962
Prime Security Services Borrower LLC          
5.750%, 04/15/2026 (A)   1,630,000     1,678,900
6.250%, 01/15/2028 (A)   1,060,000     1,004,350
Sensata Technologies, Inc.
4.375%, 02/15/2030 (A)
  420,000     408,450
Signature Aviation US Holdings, Inc.
5.375%, 05/01/2026 (A)
  790,000     749,860
Standard Industries, Inc.
4.750%, 01/15/2028 (A)
  320,000     322,096
The ADT Security Corp.
4.125%, 06/15/2023
  830,000     832,075
The Azek Company LLC
9.500%, 05/15/2025 (A)
  320,000     342,400
The Boeing Company
5.150%, 05/01/2030
  830,000     886,302
 
  26  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

High Yield Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
TransDigm, Inc.          
6.250%, 03/15/2026 (A) $ 630,000   $ 644,175
8.000%, 12/15/2025 (A)   370,000     399,600
United Rentals North America, Inc.          
3.875%, 11/15/2027   180,000     180,450
5.250%, 01/15/2030   1,100,000     1,146,750
5.500%, 05/15/2027   490,000     519,968
Waste Pro USA, Inc.
5.500%, 02/15/2026 (A)
  580,000     573,342
WESCO Distribution, Inc.          
7.125%, 06/15/2025 (A)   180,000     180,000
7.250%, 06/15/2028 (A)   340,000     337,430
XPO CNW, Inc.
6.700%, 05/01/2034
  740,000     725,200
XPO Logistics, Inc.
6.250%, 05/01/2025 (A)
  540,000     563,544
          18,574,215
Information technology – 4.3%          
Alliance Data Systems Corp.
4.750%, 12/15/2024 (A)
  600,000     536,820
Amkor Technology, Inc.
6.625%, 09/15/2027 (A)
  780,000     824,850
CDK Global, Inc.          
5.250%, 05/15/2029 (A)   20,000     20,400
5.875%, 06/15/2026   520,000     547,300
CDW LLC
4.250%, 04/01/2028
  640,000     651,021
CommScope Technologies LLC          
5.000%, 03/15/2027 (A)   250,000     228,750
6.000%, 06/15/2025 (A)   280,000     272,222
CommScope, Inc.
8.250%, 03/01/2027 (A)
  1,370,000     1,428,225
Entegris, Inc.
4.375%, 04/15/2028 (A)
  700,000     715,414
Fair Isaac Corp.
4.000%, 06/15/2028 (A)
  440,000     441,650
j2 Cloud Services LLC
6.000%, 07/15/2025 (A)
  760,000     791,350
Level 3 Financing, Inc.
5.250%, 03/15/2026
  580,000     600,300
Microchip Technology, Inc.
4.250%, 09/01/2025 (A)
  440,000     442,996
Open Text Holdings, Inc.
4.125%, 02/15/2030 (A)
  400,000     395,000
Western Digital Corp.
4.750%, 02/15/2026
  560,000     589,400
          8,485,698
Materials – 6.6%          
Alcoa Nederland Holding BV
7.000%, 09/30/2026 (A)
  280,000     287,062
ARD Finance SA (6.500% Cash or 7.250% PIK) 6.500%, 06/30/2027 (A)   540,000     533,450
Ardagh Packaging Finance PLC          
5.250%, 08/15/2027 (A)   520,000     512,200
6.000%, 02/15/2025 (A)   800,000     824,760
BHP Billiton Finance USA, Ltd. (6.750% to 10-20-25, then 5 Year U.S. Swap Rate + 5.093%) 10/19/2075 (A)   460,000     527,560
Cascades, Inc.          
5.125%, 01/15/2026 (A)   10,000     10,250
5.375%, 01/15/2028 (A)   610,000     619,150
First Quantum Minerals, Ltd.          
6.875%, 03/01/2026 (A)   620,000     548,700
7.250%, 04/01/2023 (A)   644,000     595,507
High Yield Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Materials (continued)          
First Quantum Minerals, Ltd. (continued)          
7.500%, 04/01/2025 (A) $ 446,000   $ 404,745
Flex Acquisition Company, Inc.
7.875%, 07/15/2026 (A)
  810,000     810,000
Freeport-McMoRan, Inc.          
3.550%, 03/01/2022   337,000     340,370
5.450%, 03/15/2043   1,790,000     1,769,039
Greif, Inc.
6.500%, 03/01/2027 (A)
  1,179,000     1,190,790
Hudbay Minerals, Inc.
7.625%, 01/15/2025 (A)
  510,000     463,636
Mercer International, Inc.          
5.500%, 01/15/2026   590,000     533,950
7.375%, 01/15/2025   220,000     214,546
Midwest Vanadium Pty, Ltd.
11.500%, 02/15/2018 (A)(B)
  1,953,148     2,441
Northwest Acquisitions ULC
7.125%, 11/01/2022 (A)
  1,140,000     11,400
Olin Corp.
5.000%, 02/01/2030
  560,000     481,600
Pactiv LLC
7.950%, 12/15/2025
  1,200,000     1,278,000
Teck Resources, Ltd.
5.200%, 03/01/2042
  970,000     880,490
U.S. Concrete, Inc.
6.375%, 06/01/2024
  260,000     260,650
          13,100,296
Real estate – 4.0%          
CoreCivic, Inc.          
4.625%, 05/01/2023   280,000     271,600
5.000%, 10/15/2022   370,000     362,600
CTR Partnership LP
5.250%, 06/01/2025
  410,000     420,250
Five Point Operating Company LP
7.875%, 11/15/2025 (A)
  1,240,000     1,215,200
Forestar Group, Inc.          
5.000%, 03/01/2028 (A)   700,000     665,000
8.000%, 04/15/2024 (A)   780,000     819,000
MPT Operating Partnership LP          
4.625%, 08/01/2029   380,000     376,200
5.000%, 10/15/2027   720,000     744,300
The GEO Group, Inc.          
5.875%, 10/15/2024   850,000     703,375
6.000%, 04/15/2026   1,500,000     1,170,000
VICI Properties LP
4.625%, 12/01/2029 (A)
  1,080,000     1,077,473
          7,824,998
Utilities – 0.4%          
Talen Energy Supply LLC          
6.625%, 01/15/2028 (A)   510,000     499,994
10.500%, 01/15/2026 (A)   400,000     316,000
          815,994
TOTAL CORPORATE BONDS (Cost $176,016,879)     $ 167,746,851
CONVERTIBLE BONDS – 1.0%      
Communication services – 0.6%          
DISH Network Corp.          
2.375%, 03/15/2024   830,000     714,319
3.375%, 08/15/2026   220,000     193,853
Live Nation Entertainment, Inc.
2.000%, 02/15/2025 (A)
  300,000     250,428
 
  27  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

High Yield Fund (continued)
    Shares or
Principal
Amount
  Value
CONVERTIBLE BONDS (continued)      
Communication services (continued)          
Vonage Holdings Corp.
1.750%, 06/01/2024 (A)
$ 120,000   $ 112,678
          1,271,278
Energy – 0.1%          
Cheniere Energy, Inc.
4.250%, 03/15/2045
  360,000     217,540
Industrials – 0.1%          
Air Canada
4.000%, 07/01/2025 (A)
  130,000     133,413
Information technology – 0.2%          
Vishay Intertechnology, Inc.
2.250%, 06/15/2025
  460,000     421,402
TOTAL CONVERTIBLE BONDS (Cost $2,305,202)     $ 2,043,633
TERM LOANS (E) – 5.9%      
Communication services – 0.4%          
Allen Media LLC, 2020 Term Loan B (3 month LIBOR + 5.500%) 5.823%, 02/10/2027   300,000     282,750
iHeartCommunications, Inc., 2020 Term Loan (1 month LIBOR + 3.000%) 3.174%, 05/01/2026   444,739     414,719
          697,469
Consumer discretionary – 1.4%          
CEOC LLC, Exit Term Loan (1 month LIBOR + 2.000%) 2.174%, 10/07/2024   864,340     838,842
Clarios Global LP, USD Term Loan B (1 month LIBOR + 3.500%) 3.674%, 04/30/2026   577,100     548,245
Michaels Stores, Inc., 2018 Term Loan B (1 and 3 month LIBOR + 2.500%) 3.534%, 01/30/2023   269,230     233,557
Mohegan Gaming & Entertainment, 2016 Term Loan B (3 month LIBOR + 4.375%) 5.375%, 10/13/2023   698,148     517,795
Spencer Spirit IH LLC, Term Loan B (1 month LIBOR + 6.000%) 6.168%, 06/19/2026   790,578     698,341
          2,836,780
Energy – 0.2%          
Chesapeake Energy Corp., 2019 Last Out Term Loan (2 month LIBOR + 8.000%) 9.000%, 06/24/2024   630,000     332,848
Permian Production Partners LLC, Term Loan
0.000%, 05/20/2024 (B)
  807,500     40,375
          373,223
Financials – 0.8%          
Acrisure LLC, 2020 Term Loan B (3 month LIBOR + 3.500%) 3.765%, 02/15/2027   540,000     504,565
Amerilife Holdings LLC, 2020 Term Loan (1 month LIBOR + 4.000%) 4.370%, 03/18/2027   159,545     146,782
Duff + Phelps Corp., 2020 2nd Lien Term Loan (1 month LIBOR + 8.000%) 9.000%, 04/07/2028   620,000     570,400
Jane Street Group LLC, 2020 Term Loan (1 month LIBOR + 3.000%) 3.174%, 01/31/2025   416,839     406,418
          1,628,165
High Yield Fund (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (E) (continued)      
Health care – 1.5%          
Eyecare Partners LLC, 2020 2nd Lien Term Loan (3 month LIBOR + 8.250%) 9.139%, 02/18/2028 $ 430,000   $ 365,500
Eyecare Partners LLC, 2020 Term Loan (3 month LIBOR + 3.750%) 4.822%, 02/05/2027   470,270     427,946
McAfee LLC, 2018 USD Term Loan B (1 month LIBOR + 3.750%) 3.924%, 09/30/2024   823,728     809,313
Option Care Health, Inc., Term Loan B (1 month LIBOR + 4.500%) 4.674%, 08/06/2026   768,075     738,635
US Renal Care, Inc., 2019 Term Loan B (1 month LIBOR + 5.000%) 5.188%, 06/26/2026   623,100     592,612
          2,934,006
Industrials – 1.0%          
Cornerstone Building Brands, Inc., 2018 Term Loan (1 month LIBOR + 3.750%) 3.948%, 04/12/2025   662,963     629,815
Delta Air Lines, Inc., 2020 Term Loan B (3 month LIBOR + 4.750%) 5.750%, 04/29/2023   750,000     739,373
Temple Generation I LLC, 2nd Lien Term Loan (1 month LIBOR + 8.000%) 9.000%, 02/07/2023   667,215     660,543
          2,029,731
Information technology – 0.3%          
Global Tel*Link Corp., 2018 1st Lien Term Loan (3 month LIBOR + 4.250%) 5.700%, 11/29/2025   811,240     675,357
Real estate – 0.3%          
CoreCivic, Inc., 2019 Term Loan (1 month LIBOR + 4.500%) 5.500%, 12/18/2024   513,500     477,555
TOTAL TERM LOANS (Cost $13,602,127)     $ 11,652,286
ASSET BACKED SECURITIES – 4.0%      
Benefit Street Partners CLO, Ltd.
Series 2017-12A, Class C (3 month LIBOR + 3.050%)
4.269%, 10/15/2030 (A)(C)
  250,000     216,264
BlueMountain CLO, Ltd.          
Series 2012-2A, Class ER2 (3 month LIBOR + 5.750%)
6.127%, 11/20/2028 (A)(C)
  500,000     356,218
Series 2016-2A, Class DR (3 month LIBOR + 7.790%)
8.167%, 08/20/2032 (A)(C)
  375,000     291,672
Bowman Park CLO, Ltd.
Series 2014-1A, Class D1R (3 month LIBOR + 3.350%)
3.710%, 11/23/2025 (A)(C)
  500,000     487,845
Cook Park CLO, Ltd.
Series 2018-1A, Class E (3 month LIBOR + 5.400%)
6.535%, 04/17/2030 (A)(C)
  250,000     191,356
Cumberland Park CLO, Ltd.
Series 2015-2A, Class ER (3 month LIBOR + 5.650%)
6.785%, 07/20/2028 (A)(C)
  250,000     192,863
Greenwood Park CLO, Ltd.          
Series 2018-1A, Class D (3 month LIBOR + 2.500%)
3.719%, 04/15/2031 (A)(C)
  530,000     471,401
 
  28  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

High Yield Fund (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Greenwood Park CLO, Ltd. (continued)          
Series 2018-1A, Class E (3 month LIBOR + 4.950%)
6.169%, 04/15/2031 (A)(C)
$ 750,000   $ 580,018
Greywolf CLO, Ltd.
Series 2019-1A, Class C (3 month LIBOR + 3.950%)
5.085%, 04/17/2030 (A)(C)
  430,000     404,180
Halseypoint CLO, Ltd.
Series 2019-1A, Class E (3 month LIBOR + 7.700%)
9.607%, 01/20/2033 (A)(C)
  600,000     521,249
Jackson Mill CLO, Ltd.
Series 2015-1A, Class DR (3 month LIBOR + 2.800%)
4.019%, 04/15/2027 (A)(C)
  250,000     218,117
LCM, Ltd.
Series 2022-A, Class DR (3 month LIBOR + 5.500%)
6.635%, 10/20/2028 (A)(C)
  500,000     343,376
Madison Park Funding, Ltd.
Series 2014-13A, Class DR2 (3 month LIBOR + 2.850%)
3.985%, 04/19/2030 (A)(C)
  1,000,000     907,050
Oaktree CLO, Ltd.
Series 2019-1A, Class D (3 month LIBOR + 3.800%)
4.898%, 04/22/2030 (A)(C)
  250,000     210,796
OZLM, Ltd.
Series 2015-11A, Class CR (3 month LIBOR + 3.600%)
4.360%, 10/30/2030 (A)(C)
  1,000,000     909,100
Shackleton CLO, Ltd.
Series 2013-3A, Class DR (3 month LIBOR + 3.020%)
4.239%, 07/15/2030 (A)(C)
  500,000     417,509
TCI-Symphony CLO, Ltd.
Series 2016-1A, Class DR (3 month LIBOR + 3.000%)
4.311%, 10/13/2029 (A)(C)
  540,000     485,607
Thayer Park CLO, Ltd.
Series 2017-1A, Class C (3 month LIBOR + 3.700%)
4.835%, 04/20/2029 (A)(C)
  250,000     240,658
Voya CLO, Ltd.
Series 2017-1A, Class C (3 month LIBOR + 3.330%)
4.465%, 04/17/2030 (A)(C)
  500,000     458,129
TOTAL ASSET BACKED SECURITIES (Cost $9,014,500)     $ 7,903,408
COMMON STOCKS – 0.8%        
Communication services – 0.0%          
New Cotai, Inc., Class B (F)(G)(H)   11     0
Energy – 0.8%          
Berry Corp.   211,334     896,046
Hercules Offshore, Inc. (G)(H)   120,022     106,183
KCAD Holdings I, Ltd. (F)(G)(H)   752,218,031     752
Montage Resources Corp. (H)(I)   66,492     406,931
MWO Holdings LLC (F)(G)(H)   1,134     65,851
          1,475,763
TOTAL COMMON STOCKS (Cost $22,029,823)   $ 1,475,763
PREFERRED SECURITIES – 0.8%        
Financials – 0.7%          
B. Riley Financial, Inc., 6.875%   16,425     397,157
High Yield Fund (continued)
    Shares or
Principal
Amount
  Value
PREFERRED SECURITIES (continued)        
Financials (continued)          
GMAC Capital Trust I (3 month LIBOR + 5.785%), 6.177% (C)   43,100   $ 973,629
          1,370,786
Industrials – 0.1%          
Stanley Black & Decker, Inc. (5.000% to 5-15-23, then 10.000% thereafter)   250     261,250
TOTAL PREFERRED SECURITIES (Cost $1,784,125)   $ 1,632,036
SHORT-TERM INVESTMENTS – 0.3%      
Short-term funds – 0.3%          
John Hancock Collateral Trust, 0.3653% (J)(K)   39,454     395,001
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 0.1486% (J)   214,665     214,665
TOTAL SHORT-TERM INVESTMENTS (Cost $609,630)   $ 609,666
Total Investments (High Yield Fund)
(Cost $228,736,606) – 98.2%
  $ 194,756,738
Other assets and liabilities, net – 1.8%       3,514,691
TOTAL NET ASSETS – 100.0%       $ 198,271,429
Currency Abbreviations
BRL Brazilian Real
CAD Canadian Dollar
EUR Euro
GBP Pound Sterling
IDR Indonesian Rupiah
Security Abbreviations and Legend
CMT Constant Maturity Treasury
ICE Intercontinental Exchange
LIBOR London Interbank Offered Rate
PIK Pay-in-Kind Security - Represents a payment-in-kind which may pay interest in additional par and/or cash. Rates shown are the current rate and most recent payment rate.
(A) 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. Rule 144A securities amounted to $113,854,686 or 57.4% of the fund's net assets as of 5-31-20.
(B) Non-income producing - Issuer is in default.
(C) Variable rate obligation. The coupon rate shown represents the rate at period end.
(D) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(E) Term loans are variable rate obligations. The coupon rate shown represents the rate at period end.
(F) Restricted security as to resale, excluding 144A securities. For more information on this security refer to the Notes to Portfolio of Investments.
(G) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(H) Non-income producing security.
(I) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $385,746.
(J) The rate shown is the annualized seven-day yield as of 5-31-20.
(K) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
 
  29  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

High Yield Fund (continued)
    
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
5-Year U.S. Treasury Note Futures 177 Long Sep 2020 $22,224,210 $22,235,625 $11,415
10-Year U.S. Treasury Note Futures 61 Short Sep 2020 (8,462,812) (8,482,813) (20,001)
U.S. Treasury Long Bond Futures 16 Short Sep 2020 (2,852,323) (2,854,000) (1,677)
            $(10,263)
^ 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
GBP 587,667  USD 729,187  JPM 7/16/2020  —  $(3,283)
MXN 3,526,523  USD 140,948  JPM 7/16/2020  $17,041  — 
USD 2,831,972  CAD 3,950,827  BNP 7/16/2020  —  (37,559)
USD 773,145  EUR 708,000  BNP 7/16/2020  —  (13,484)
USD 177,466  EUR 161,743  JPM 7/16/2020  —  (2,240)
            $17,041  $(56,566)
SWAPS
Credit default swaps - Seller
Counterparty
(OTC)/
Centrally
cleared
Reference
obligation
Implied
credit
spread
Notional
amount
Currency USD
notional
amount
Received
fixed
rate
Fixed
payment
frequency
Maturity
date
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Centrally cleared Ford Motor Credit Company LLC 4.220% 643,000 USD $643,000 5.000% Quarterly Jun 2023 $(41,554) $61,595 $20,041
          $643,000       $(41,554) $61,595 $20,041
Derivatives Currency Abbreviations
CAD Canadian Dollar
EUR Euro
GBP Pound Sterling
MXN Mexican Peso
USD U.S. Dollar
Derivatives Abbreviations
BNP BNP Paribas
JPM JPMorgan Chase Bank, N.A.
OTC Over-the-counter
International Strategic Equity Allocation Fund
    Shares or
Principal
Amount
  Value
COMMON STOCKS - 91.1%      
Australia - 4.2%          
AGL Energy, Ltd.   51,663   $ 578,811
Alumina, Ltd.   194,336     192,393
AMP, Ltd. (A)   272,273     296,905
Ampol, Ltd.   20,003     361,884
APA Group   94,514     732,464
Aristocrat Leisure, Ltd.   46,055     794,413
ASX, Ltd.   15,641     921,852
Aurizon Holdings, Ltd.   157,983     501,176
AusNet Services   144,763     169,739
Australia & New Zealand Banking Group, Ltd.   226,570     2,696,533
Bendigo & Adelaide Bank, Ltd.   42,222     173,418
BHP Group PLC   115,642     2,274,188
BHP Group, Ltd.   236,425     5,564,473
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Australia (continued)          
BlueScope Steel, Ltd.   40,646   $ 299,464
Boral, Ltd.   93,373     194,341
Brambles, Ltd.   124,753     971,078
Challenger, Ltd.   46,349     155,303
CIMIC Group, Ltd.   7,461     124,405
Coca-Cola Amatil, Ltd.   40,116     234,597
Cochlear, Ltd.   5,129     661,487
Coles Group, Ltd.   106,811     1,093,428
Commonwealth Bank of Australia   142,213     6,038,953
Computershare, Ltd.   39,046     341,943
Crown Resorts, Ltd.   30,488     195,350
CSL, Ltd.   36,393     6,739,771
Dexus   87,618     527,077
 
  30  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Australia (continued)          
Flight Centre Travel Group, Ltd.   11,122   $ 97,502
Fortescue Metals Group, Ltd.   111,600     1,033,130
Goodman Group   132,175     1,357,875
Harvey Norman Holdings, Ltd.   45,362     98,436
Incitec Pivot, Ltd.   132,580     177,770
Insurance Australia Group, Ltd.   189,365     773,265
Lendlease Group   45,273     391,372
Macquarie Group, Ltd.   27,195     2,000,206
Magellan Financial Group, Ltd.   10,574     413,497
Medibank Pvt., Ltd.   228,488     433,905
Mirvac Group   314,463     493,356
National Australia Bank, Ltd.   231,586     2,730,742
Newcrest Mining, Ltd.   61,520     1,246,578
Oil Search, Ltd.   154,195     358,507
Orica, Ltd.   32,731     375,898
Origin Energy, Ltd.   140,689     553,039
Qantas Airways, Ltd.   60,495     161,487
QBE Insurance Group, Ltd.   122,665     722,745
Ramsay Health Care, Ltd.   16,632     777,821
REA Group, Ltd.   4,117     276,861
Santos, Ltd.   141,919     508,417
Scentre Group   420,134     626,278
SEEK, Ltd.   26,355     354,038
Sonic Healthcare, Ltd.   36,259     681,617
South32, Ltd.   394,030     498,199
Stockland   189,692     452,900
Suncorp Group, Ltd.   104,289     643,136
Sydney Airport   88,967     348,086
Tabcorp Holdings, Ltd.   160,587     345,577
Telstra Corp., Ltd.   334,371     716,136
The GPT Group   155,036     412,895
TPG Telecom, Ltd.   29,365     165,080
Transurban Group   219,466     2,096,198
Treasury Wine Estates, Ltd.   57,970     372,718
Vicinity Centres   254,879     274,185
Washington H Soul Pattinson & Company, Ltd.   9,601     121,757
Wesfarmers, Ltd.   90,726     2,443,649
Westpac Banking Corp.   285,285     3,253,941
WiseTech Global, Ltd.   11,442     156,002
Woodside Petroleum, Ltd.   74,762     1,127,973
Woolworths Group, Ltd.   101,012     2,379,490
Worley, Ltd.   26,580     149,308
          65,437,018
Austria - 0.2%          
ANDRITZ AG (B)   9,193     344,423
Erste Group Bank AG   38,724     856,533
OMV AG   18,754     619,704
Raiffeisen Bank International AG   18,682     342,303
Verbund AG   8,618     384,236
voestalpine AG   14,723     287,534
          2,834,733
Belgium - 0.2%          
Ageas SA/NV   7,481     255,358
Anheuser-Busch InBev SA/NV (B)   26,828     1,251,932
Colruyt SA   1,863     112,448
Galapagos NV (A)   1,601     324,793
Groupe Bruxelles Lambert SA   2,845     230,906
KBC Group NV   8,578     450,064
Proximus SADP   5,242     108,762
Solvay SA (B)   2,554     195,024
Telenet Group Holding NV   1,471     60,183
UCB SA   4,485     448,882
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Belgium (continued)          
Umicore SA (B)   6,768   $ 300,736
          3,739,088
Brazil - 0.8%          
Ambev SA   294,500     688,747
Atacadao SA   23,700     82,119
B2W Cia Digital (A)   12,800     219,766
B3 SA - Brasil Bolsa Balcao   129,020     1,101,299
Banco Bradesco SA   82,536     275,310
Banco BTG Pactual SA   15,900     145,523
Banco do Brasil SA   53,700     310,348
Banco Santander Brasil SA   25,500     121,854
BB Seguridade Participacoes SA   45,600     216,024
BR Malls Participacoes SA   49,635     91,247
BRF SA (A)   35,600     154,307
CCR SA   75,300     207,430
Centrais Eletricas Brasileiras SA   16,200     86,915
Cia Brasileira de Distribuicao   9,800     115,661
Cia de Saneamento Basico do Estado de Sao Paulo   21,200     215,802
Cia Siderurgica Nacional SA   37,500     72,522
Cielo SA   74,960     57,453
Cogna Educacao   111,000     109,413
Cosan SA (A)   10,000     123,400
Embraer SA (A)   44,500     59,625
Energisa SA   10,000     89,013
Engie Brasil Energia SA   11,925     94,773
Equatorial Energia SA (A)   52,600     197,633
Hapvida Participacoes e Investimentos SA (C)   13,900     142,899
Hypera SA   23,700     143,098
IRB Brasil Resseguros SA   46,900     72,948
JBS SA   68,200     280,785
Klabin SA   43,000     158,824
Localiza Rent a Car SA   37,745     272,179
Lojas Renner SA   48,839     352,818
Magazine Luiza SA   45,400     547,475
Multiplan Empreendimentos Imobiliarios SA   17,200     66,688
Natura & Company Holding SA   40,300     280,785
Notre Dame Intermedica Participacoes SA   30,300     353,745
Petrobras Distribuidora SA   43,200     175,187
Petroleo Brasileiro SA   229,900     897,835
Porto Seguro SA   6,200     54,956
Raia Drogasil SA   14,300     293,273
Rumo SA (A)   67,400     284,565
Sul America SA   19,096     160,496
Suzano SA (A)   33,627     238,577
TIM Participacoes SA   53,100     135,529
Ultrapar Participacoes SA   44,600     143,086
Vale SA   197,370     1,960,274
WEG SA   52,320     410,124
          12,262,330
Canada - 8.0%          
Agnico Eagle Mines, Ltd.   25,115     1,606,842
Air Canada (A)   14,288     164,999
Algonquin Power & Utilities Corp. (B)   56,617     792,807
Alimentation Couche-Tard, Inc., Class B (B)   91,634     2,868,450
AltaGas, Ltd.   30,364     325,947
Atco, Ltd., Class I   8,912     251,207
Aurora Cannabis, Inc. (A)(B)   9,766     136,682
Bank of Montreal   67,804     3,344,771
 
  31  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
BCE, Inc.   17,371   $ 722,041
BlackBerry, Ltd. (A)(B)   56,251     261,471
Bombardier, Inc., Class B (A)(B)   229,701     74,240
Brookfield Asset Management, Inc., Class A   141,914     4,455,781
CAE, Inc.   28,565     428,625
Cameco Corp.   42,042     456,802
Canadian Apartment Properties REIT   9,167     312,524
Canadian Imperial Bank of Commerce   47,538     3,048,357
Canadian National Railway Company   75,491     6,502,693
Canadian Natural Resources, Ltd.   124,640     2,276,716
Canadian Pacific Railway, Ltd.   14,514     3,637,856
Canadian Tire Corp., Ltd., Class A (B)   6,522     557,154
Canadian Utilities, Ltd., Class A   14,696     352,657
Canopy Growth Corp. (A)(B)   22,135     389,213
CCL Industries, Inc., Class B   16,203     545,925
Cenovus Energy, Inc.   110,819     482,924
CGI, Inc. (A)   25,485     1,628,478
CI Financial Corp.   25,366     300,667
Constellation Software, Inc.   2,124     2,414,450
Cronos Group, Inc. (A)(B)   20,378     133,648
Dollarama, Inc.   31,515     1,068,468
Emera, Inc. (B)   25,822     1,026,616
Empire Company, Ltd., Class A   18,766     424,700
Enbridge, Inc.   212,681     6,917,133
Fairfax Financial Holdings, Ltd.   2,930     813,914
First Capital Real Estate Investment Trust (B)   12,752     121,236
First Quantum Minerals, Ltd.   73,099     428,448
Fortis, Inc.   47,166     1,815,935
Franco-Nevada Corp.   19,812     2,780,889
George Weston, Ltd.   8,282     598,270
Gildan Activewear, Inc. (B)   22,098     306,549
Great-West Lifeco, Inc.   35,058     570,869
H&R Real Estate Investment Trust   16,211     114,208
Husky Energy, Inc.   37,579     105,899
Hydro One, Ltd. (C)   36,000     697,592
iA Financial Corp., Inc.   13,413     428,347
IGM Financial, Inc.   10,607     251,915
Imperial Oil, Ltd.   28,401     443,698
Intact Financial Corp.   15,007     1,432,633
Inter Pipeline, Ltd. (B)   44,690     409,297
Keyera Corp. (B)   23,252     368,492
Kinross Gold Corp. (A)   131,934     857,617
Kirkland Lake Gold, Ltd.   28,556     1,100,262
Linamar Corp.   319     8,860
Loblaw Companies, Ltd.   19,704     975,433
Lundin Mining Corp. (B)   72,696     334,744
Magna International, Inc.   31,373     1,322,959
Methanex Corp.   7,912     128,203
Metro, Inc.   27,276     1,137,515
National Bank of Canada (B)   35,757     1,557,170
Nutrien, Ltd.   60,829     2,076,452
Onex Corp.   9,469     444,342
Open Text Corp.   29,209     1,213,462
Parkland Corp.   15,938     448,211
Pembina Pipeline Corp.   57,869     1,445,832
Power Corp. of Canada   63,392     1,031,786
PrairieSky Royalty, Ltd.   23,786     156,863
Quebecor, Inc., Class B   19,343     425,255
Restaurant Brands International, Inc.   30,069     1,642,728
RioCan Real Estate Investment Trust (B)   19,470     205,893
Rogers Communications, Inc., Class B   38,380     1,608,400
Royal Bank of Canada   151,768     9,846,705
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
Saputo, Inc. (B)   26,421   $ 649,179
Shaw Communications, Inc., Class B   50,908     858,912
Shopify, Inc., Class A (A)   10,865     8,246,068
SmartCentres Real Estate Investment Trust   9,236     134,832
Sun Life Financial, Inc.   66,188     2,270,443
Suncor Energy, Inc.   161,628     2,778,614
TC Energy Corp.   98,499     4,439,019
Teck Resources, Ltd., Class B   52,126     495,194
TELUS Corp. (B)   44,028     762,979
The Bank of Nova Scotia   128,769     5,159,738
The Toronto-Dominion Bank   190,572     8,163,516
Thomson Reuters Corp.   21,605     1,447,081
West Fraser Timber Company, Ltd.   5,876     159,015
Wheaton Precious Metals Corp. (B)   47,000     2,024,941
WSP Global, Inc.   11,485     741,226
          125,898,484
Chile - 0.2%          
Aguas Andinas SA, Class A   236,050     69,335
Antofagasta PLC   21,801     238,042
Banco de Chile   4,202,759     357,109
Banco de Credito e Inversiones SA   4,652     157,508
Banco Santander Chile   5,841,998     237,942
Cencosud SA   135,436     158,212
Cia Cervecerias Unidas SA   13,876     100,343
Colbun SA   733,269     119,940
Empresa Nacional de Telecomunicaciones SA   14,564     92,799
Empresas CMPC SA   104,907     213,641
Empresas COPEC SA   36,371     229,477
Enel Americas SA   3,553,060     517,156
Enel Chile SA   2,564,851     192,236
Falabella SA   70,514     164,304
Itau CorpBanca Chile SA   12,517,754     29,089
Latam Airlines Group SA (A)   23,703     25,468
          2,902,601
China - 8.2%          
3SBio, Inc. (A)(C)   100,100     119,842
51job, Inc., ADR (A)   2,100     135,429
58.com, Inc., ADR (A)   7,400     355,274
AAC Technologies Holdings, Inc. (B)   57,600     298,617
Agile Group Holdings, Ltd.   107,900     111,985
Agricultural Bank of China, Ltd., H Shares   2,312,200     938,364
Air China, Ltd., H Shares   133,300     80,733
Alibaba Group Holding, Ltd., ADR (A)   137,800     28,578,342
A-Living Services Company, Ltd., H Shares (C)   34,250     185,206
Aluminum Corp. of China, Ltd., H Shares (A)   306,600     56,845
Anhui Conch Cement Company, Ltd., H Shares   97,100     732,182
ANTA Sports Products, Ltd.   85,500     766,253
Autohome, Inc., ADR (B)   4,600     353,878
AviChina Industry & Technology Company, Ltd., H Shares   192,000     87,824
BAIC Motor Corp., Ltd., H Shares (C)   135,500     54,928
Baidu, Inc., ADR (A)   21,800     2,322,790
Bank of China, Ltd., H Shares   6,291,600     2,312,679
Bank of Communications Company, Ltd., H Shares   674,900     411,209
Baozun, Inc., ADR (A)(B)   3,400     90,066
BBMG Corp., H Shares   174,000     36,445
 
  32  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
BeiGene, Ltd., ADR (A)(B)   2,900   $ 480,066
Beijing Capital International Airport Company, Ltd., H Shares   134,900     84,515
BEST, Inc., ADR (A)   15,600     80,808
BYD Company, Ltd., H Shares   50,000     286,948
BYD Electronic International Company, Ltd.   53,900     104,293
CGN Power Company, Ltd., H Shares (C)   827,900     190,723
China Aoyuan Group, Ltd.   96,000     102,938
China Cinda Asset Management Company, Ltd., H Shares   748,200     139,372
China CITIC Bank Corp., Ltd., H Shares   695,000     303,718
China Coal Energy Company, Ltd., H Shares   166,000     39,984
China Communications Construction Company, Ltd., H Shares   349,500     223,541
China Communications Services Corp., Ltd., H Shares   187,200     124,840
China Conch Venture Holdings, Ltd.   128,300     579,066
China Construction Bank Corp., H Shares   7,622,500     6,011,815
China East Education Holdings, Ltd. (C)   43,000     84,970
China Eastern Airlines Corp., Ltd., H Shares (B)   134,000     45,708
China Everbright Bank Company, Ltd., H Shares   253,000     103,025
China Evergrande Group (B)   146,900     309,626
China Galaxy Securities Company, Ltd., H Shares   297,500     144,199
China Hongqiao Group, Ltd.   138,000     61,228
China Huarong Asset Management Company, Ltd., H Shares (C)   834,600     85,851
China Huishan Dairy Holdings Company, Ltd. (A)(D)   175,000     0
China International Capital Corp., Ltd., H Shares (A)(B)(C)   108,000     176,222
China Lesso Group Holdings, Ltd.   85,000     103,339
China Life Insurance Company, Ltd., H Shares   609,200     1,154,387
China Literature, Ltd. (A)(C)   20,000     114,299
China Longyuan Power Group Corp., Ltd., H Shares   249,700     121,947
China Medical System Holdings, Ltd.   108,300     124,194
China Merchants Bank Company, Ltd., H Shares   307,200     1,447,545
China Minsheng Banking Corp., Ltd., H Shares   542,520     378,792
China Molybdenum Company, Ltd., H Shares   288,100     89,335
China National Building Material Company, Ltd., H Shares   307,700     349,083
China Oilfield Services, Ltd., H Shares   129,700     113,554
China Pacific Insurance Group Company, Ltd., H Shares   219,600     610,380
China Petroleum & Chemical Corp., H Shares   2,017,300     941,213
China Railway Construction Corp., Ltd., H Shares   155,000     139,172
China Railway Group, Ltd., H Shares   298,600     163,936
China Railway Signal & Communication Corp., Ltd., H Shares (C)   115,000     50,998
China Reinsurance Group Corp., H Shares   507,000     53,331
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
China Resources Pharmaceutical Group, Ltd. (C)   126,100   $ 68,944
China Shenhua Energy Company, Ltd., H Shares   268,000     490,896
China Southern Airlines Company, Ltd., H Shares (B)   118,800     49,482
China Telecom Corp., Ltd., H Shares   1,111,100     368,588
China Tower Corp., Ltd., H Shares (C)   3,328,000     675,915
China Vanke Company, Ltd., H Shares   116,900     381,619
China Zhongwang Holdings, Ltd.   122,400     23,199
Chongqing Rural Commercial Bank Company, Ltd., H Shares   201,700     77,719
CIFI Holdings Group Company, Ltd.   216,000     156,915
CITIC Securities Company, Ltd., H Shares   164,700     299,122
CNOOC, Ltd.   1,416,500     1,618,297
COSCO SHIPPING Energy Transportation Company, Ltd., H Shares   94,000     46,853
COSCO SHIPPING Holdings Company, Ltd., H Shares (A)(B)   189,000     48,111
Country Garden Holdings Company, Ltd.   608,300     761,435
Country Garden Services Holdings Company, Ltd. (A)   96,000     454,849
CRRC Corp., Ltd., H Shares   352,500     165,650
CSPC Pharmaceutical Group, Ltd.   370,300     729,970
Dali Foods Group Company, Ltd. (C)   160,500     102,089
Datang International Power Generation Company, Ltd., H Shares   222,000     29,934
Dongfeng Motor Group Company, Ltd., H Shares   217,300     137,471
ENN Energy Holdings, Ltd.   62,400     732,577
Fosun International, Ltd.   206,500     267,290
Fuyao Glass Industry Group Company, Ltd., H Shares (B)(C)   36,500     80,605
GDS Holdings, Ltd., ADR (A)(B)   4,800     273,600
Genscript Biotech Corp. (A)(B)   74,000     163,344
GF Securities Company, Ltd., H Shares   114,200     117,464
GOME Retail Holdings, Ltd. (A)   723,200     90,149
Great Wall Motor Company, Ltd., H Shares   244,400     155,651
Greentown Service Group Company, Ltd.   84,000     113,196
Guangzhou Automobile Group Company, Ltd., H Shares   231,080     191,390
Guangzhou R&F Properties Company, Ltd., H Shares   103,600     128,734
Guotai Junan Securities Company, Ltd., H Shares (C)   71,000     94,026
Haidilao International Holding, Ltd. (B)(C)   28,000     136,206
Haitian International Holdings, Ltd.   50,400     107,249
Haitong Securities Company, Ltd., H Shares   231,300     176,827
Hansoh Pharmaceutical Group Company, Ltd. (A)(C)   40,000     174,789
Hengan International Group Company, Ltd.   56,100     461,988
Hua Hong Semiconductor, Ltd. (A)(B)(C)   35,000     65,769
Huadian Power International Corp., Ltd., H Shares   124,000     38,187
Huaneng Power International, Inc., H Shares   303,700     113,363
 
  33  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Huatai Securities Company, Ltd., H Shares (C)   133,700   $ 211,035
Huazhu Group, Ltd., ADR   10,500     355,110
HUYA, Inc., ADR (A)   4,900     76,048
Industrial & Commercial Bank of China, Ltd., H Shares   5,134,800     3,325,902
Inner Mongolia Yitai Coal Company, Ltd., Class B   83,300     48,843
Innovent Biologics, Inc. (A)(C)   73,500     403,624
iQIYI, Inc., ADR (A)(B)   9,900     164,241
JD.com, Inc., ADR (A)   58,500     3,178,305
Jiangsu Expressway Company, Ltd., H Shares   94,900     112,101
Jiangxi Copper Company, Ltd., H Shares   94,400     86,810
JOYY, Inc., ADR (A)   4,600     280,830
Kaisa Group Holdings, Ltd.   198,000     73,019
Kingdee International Software Group Company, Ltd. (A)   182,000     323,841
Kingsoft Cloud Holdings, Ltd., ADR (A)   52     1,051
Kingsoft Corp., Ltd.   65,200     212,792
KWG Group Holdings, Ltd. (A)   100,500     141,116
Legend Holdings Corp., H Shares (C)   32,800     39,892
Lenovo Group, Ltd.   572,000     312,799
Li Ning Company, Ltd.   155,500     526,794
Logan Property Holdings Company, Ltd.   110,000     165,323
Longfor Group Holdings, Ltd. (C)   140,900     644,355
Luye Pharma Group, Ltd. (B)(C)   92,500     46,486
Maanshan Iron & Steel Company, Ltd., H Shares   56,000     16,118
Meituan Dianping, Class B (A)   80,300     1,529,398
Metallurgical Corp. of China, Ltd., H Shares   225,000     34,974
Momo, Inc., ADR   11,900     230,860
NetEase, Inc., ADR   5,600     2,144,240
New China Life Insurance Company, Ltd., H Shares   72,500     227,607
New Oriental Education & Technology Group, Inc., ADR (A)   11,300     1,355,548
NIO, Inc., ADR (A)(B)   51,800     206,164
Noah Holdings, Ltd., ADR (A)(B)   2,900     76,937
PetroChina Company, Ltd., H Shares   1,660,700     572,930
PICC Property & Casualty Company, Ltd., H Shares   576,950     504,789
Pinduoduo, Inc., ADR (A)   15,300     1,023,111
Ping An Healthcare and Technology Company, Ltd. (A)(B)(C)   25,400     337,460
Ping An Insurance Group Company of China, Ltd., H Shares   443,800     4,391,901
Postal Savings Bank of China Company, Ltd., H Shares (C)   634,000     406,074
Seazen Group, Ltd. (A)   172,000     160,665
Semiconductor Manufacturing International Corp. (A)   239,800     525,735
Shandong Weigao Group Medical Polymer Company, Ltd., H Shares   160,000     280,644
Shanghai Electric Group Company, Ltd., H Shares   198,000     55,082
Shanghai Fosun Pharmaceutical Group Company, Ltd., H Shares   41,100     131,825
Shanghai Lujiazui Finance & Trade Zone Development Company, Ltd., B Shares   82,380     58,338
Shanghai Pharmaceuticals Holding Company, Ltd., H Shares   65,800     104,312
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Shenzhen Expressway Company, Ltd., H Shares   54,000   $ 54,809
Shenzhou International Group Holdings, Ltd.   59,400     714,785
Shui On Land, Ltd.   295,500     49,022
SINA Corp. (A)   4,900     153,419
Sino-Ocean Group Holding, Ltd.   236,500     55,095
Sinopec Engineering Group Company, Ltd., H Shares   116,500     48,988
Sinopec Shanghai Petrochemical Company, Ltd., H Shares   255,700     63,655
Sinopharm Group Company, Ltd., H Shares   107,900     266,483
Sinotrans, Ltd., H Shares   171,000     35,602
Sinotruk Hong Kong, Ltd. (B)   54,500     132,843
SOHO China, Ltd. (A)   161,700     54,848
Sunac China Holdings, Ltd.   193,300     817,081
Sunny Optical Technology Group Company, Ltd.   56,400     757,954
TAL Education Group, ADR (A)   30,500     1,722,030
Tencent Holdings, Ltd.   454,300     24,603,011
Tencent Music Entertainment Group, ADR (A)   7,200     93,024
The People's Insurance Company Group of China, Ltd., H Shares   702,200     212,416
Tingyi Cayman Islands Holding Corp.   154,700     266,327
Topsports International Holdings, Ltd. (C)   97,000     138,758
TravelSky Technology, Ltd., H Shares   73,500     148,883
Trip.com Group, Ltd., ADR (A)   37,400     993,718
Tsingtao Brewery Company, Ltd., H Shares   31,000     215,745
Uni-President China Holdings, Ltd.   102,000     106,058
Vipshop Holdings, Ltd., ADR (A)   34,900     605,166
Want Want China Holdings, Ltd.   391,500     283,892
Weibo Corp., ADR (A)(B)   4,280     131,696
Weichai Power Company, Ltd., H Shares   149,000     258,118
WuXi AppTec Company, Ltd., H Shares (C)   16,436     174,819
Wuxi Biologics Cayman, Inc. (A)(C)   61,500     971,193
Xiaomi Corp., Class B (A)(C)   826,800     1,294,266
Xinjiang Goldwind Science & Technology Company, Ltd., H Shares   59,000     53,486
Xinyi Solar Holdings, Ltd.   320,000     233,194
Yangzijiang Shipbuilding Holdings, Ltd.   70,600     47,117
Yanzhou Coal Mining Company, Ltd., H Shares   132,700     101,874
Yihai International Holding, Ltd. (A)   37,000     332,616
Yum China Holdings, Inc.   28,284     1,310,681
Yuzhou Properties Company, Ltd.   147,000     60,615
Zai Lab, Ltd., ADR (A)   3,000     223,200
Zhaojin Mining Industry Company, Ltd., H Shares   78,000     94,481
Zhejiang Expressway Company, Ltd., H Shares   117,800     82,983
Zhenro Properties Group, Ltd.   117,000     74,580
ZhongAn Online P&C Insurance Company, Ltd., H Shares (A)(C)   25,200     90,095
Zhongsheng Group Holdings, Ltd.   44,500     230,235
Zhuzhou CRRC Times Electric Company, Ltd., H Shares   43,800     113,969
Zijin Mining Group Company, Ltd., H Shares   437,200     174,600
 
  34  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Zoomlion Heavy Industry Science and Technology Company, Ltd., H Shares   105,200   $ 86,563
ZTE Corp., H Shares (A)   59,700     153,048
ZTO Express Cayman, Inc., ADR   25,000     815,500
          128,924,884
Colombia - 0.0%          
Bancolombia SA   20,140     134,987
Ecopetrol SA   454,826     242,655
Grupo Argos SA   26,598     62,038
Grupo de Inversiones Suramericana SA   22,520     109,883
Interconexion Electrica SA ESP   40,421     212,400
          761,963
Czech Republic - 0.0%          
CEZ AS   13,647     268,532
Komercni banka AS (A)   6,405     137,250
Moneta Money Bank AS (C)   43,894     97,618
          503,400
Denmark - 1.9%          
A.P. Moller - Maersk A/S, Series A   430     394,933
A.P. Moller - Maersk A/S, Series B (B)   620     611,272
Carlsberg A/S, Class B   10,828     1,403,454
Chr. Hansen Holding A/S (B)   10,605     1,029,906
Coloplast A/S, B Shares   11,943     2,019,983
Danske Bank A/S (A)(B)   65,824     816,583
Demant A/S (A)(B)   11,133     315,734
DSV Panalpina A/S (B)   21,413     2,269,745
Genmab A/S (A)   6,570     2,034,255
H Lundbeck A/S   6,970     269,063
ISS A/S (A)   16,093     268,900
Novo Nordisk A/S, B Shares   178,753     11,709,158
Novozymes A/S, B Shares   21,483     1,173,396
Orsted A/S (C)   19,075     2,243,311
Pandora A/S   10,118     506,958
Tryg A/S   12,269     344,687
Vestas Wind Systems A/S (B)   19,106     1,951,405
          29,362,743
Finland - 0.8%          
Elisa OYJ   11,339     706,564
Fortum OYJ   35,882     691,034
Kone OYJ, B Shares   27,335     1,837,385
Metso OYJ   8,437     275,115
Neste OYJ   34,025     1,386,483
Nokia OYJ   455,901     1,812,935
Nokian Renkaat OYJ   9,943     231,609
Nordea Bank ABP   290,806     1,980,634
Orion OYJ, Class B   8,390     449,063
Sampo OYJ, A Shares   36,967     1,328,243
Stora Enso OYJ, R Shares   46,916     575,811
UPM-Kymmene OYJ   43,001     1,240,742
Wartsila OYJ ABP   35,775     280,704
          12,796,322
France - 2.8%          
Accor SA (A)   5,910     167,075
Aeroports de Paris   958     99,863
Air Liquide SA   16,043     2,181,526
Airbus SE (A)   19,928     1,273,539
Alstom SA   6,465     272,109
Amundi SA (A)(C)   2,242     167,455
Arkema SA   2,351     206,160
Atos SE (A)   3,334     253,747
AXA SA   72,210     1,324,975
BioMerieux (B)   1,391     199,876
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
France (continued)          
BNP Paribas SA (A)   38,904   $ 1,399,977
Bollore SA   27,200     78,105
Bouygues SA (A)   7,506     230,289
Bureau Veritas SA (A)   9,573     195,848
Capgemini SE   5,419     559,754
Carrefour SA   20,411     310,567
Casino Guichard Perrachon SA (A)(B)   1,752     66,001
Cie de Saint-Gobain   16,875     552,243
Cie Generale des Etablissements Michelin SCA   5,780     584,999
CNP Assurances (A)   12,322     130,363
Covivio   1,538     89,861
Credit Agricole SA (A)   40,809     358,269
Danone SA   20,930     1,439,994
Dassault Aviation SA (A)   85     71,799
Dassault Systemes SE   4,406     752,245
Edenred (B)   7,974     333,667
Eiffage SA (A)   2,654     242,271
Electricite de France SA   20,931     186,766
Engie SA   61,747     733,820
EssilorLuxottica SA (A)   9,591     1,248,250
Eurazeo SE (A)   1,302     63,485
Eutelsat Communications SA   5,785     57,920
Faurecia SE (A)   2,464     95,534
Gecina SA   1,517     194,913
Getlink SE (A)   14,694     212,493
Hermes International   1,065     890,018
ICADE   884     63,374
Iliad SA   503     88,111
Ingenico Group SA   2,074     288,680
Ipsen SA   1,272     99,522
JCDecaux SA (A)   2,604     53,357
Kering SA   2,574     1,349,445
Klepierre SA   6,473     123,109
Legrand SA   8,913     610,690
L'Oreal SA   8,529     2,501,655
LVMH Moet Hennessy Louis Vuitton SE   9,447     3,963,257
Natixis SA (A)   35,141     78,801
Orange SA (B)   67,164     807,747
Pernod Ricard SA   7,192     1,120,778
Peugeot SA (A)   20,241     290,568
Publicis Groupe SA   7,375     210,152
Remy Cointreau SA (B)   734     87,315
Renault SA   6,426     145,668
Safran SA (A)   11,225     1,081,628
Sanofi (B)   38,378     3,753,938
Sartorius Stedim Biotech   916     249,316
Schneider Electric SE   18,850     1,866,391
SCOR SE (A)   5,813     145,776
SEB SA   728     100,390
Societe Generale SA (A)   28,844     426,685
Sodexo SA   2,967     200,169
Suez SA   10,683     121,808
Teleperformance   1,958     466,234
Thales SA (B)   3,610     276,319
TOTAL SA   81,587     3,093,845
Ubisoft Entertainment SA (A)(B)   3,041     235,962
Unibail-Rodamco-Westfield   4,622     245,141
Valeo SA   8,109     200,445
Veolia Environnement SA (B)   18,016     396,712
Vinci SA   17,432     1,626,322
Vivendi SA   27,776     635,108
Wendel SE   844     77,898
 
  35  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
France (continued)          
Worldline SA (A)(C)   4,330   $ 325,124
          44,633,216
Germany - 5.9%          
adidas AG (A)(B)   16,109     4,272,229
Allianz SE   37,853     6,860,333
BASF SE   82,165     4,472,062
Bayer AG   87,875     6,007,102
Bayerische Motoren Werke AG   29,648     1,737,555
Beiersdorf AG   8,911     936,004
Brenntag AG   13,686     728,142
Carl Zeiss Meditec AG, Bearer Shares   3,586     366,962
Commerzbank AG (A)   87,403     338,857
Continental AG   9,744     963,610
Covestro AG (C)   15,522     577,062
Daimler AG   81,392     3,032,790
Delivery Hero SE (A)(C)   10,080     969,820
Deutsche Bank AG (A)(B)   176,375     1,476,457
Deutsche Boerse AG   17,029     2,803,855
Deutsche Lufthansa AG (A)(B)   21,088     214,373
Deutsche Post AG   88,297     2,765,306
Deutsche Telekom AG   297,503     4,668,905
Deutsche Wohnen SE   31,964     1,431,293
E.ON SE   199,837     2,119,804
Evonik Industries AG   18,765     463,686
Fraport AG Frankfurt Airport Services Worldwide (A)(B)   3,588     179,510
Fresenius Medical Care AG & Company KGaA   19,078     1,613,939
Fresenius SE & Company KGaA   37,421     1,809,061
GEA Group AG   13,570     406,713
Hannover Rueck SE   5,737     926,514
HeidelbergCement AG   13,386     669,584
Henkel AG & Company KGaA   9,291     747,200
HOCHTIEF AG   2,154     190,842
Infineon Technologies AG   111,978     2,360,243
KION Group AG   5,792     324,258
Knorr-Bremse AG   4,211     445,998
LANXESS AG   7,515     390,057
Merck KGaA   11,551     1,331,542
METRO AG   15,635     146,251
MTU Aero Engines AG   4,687     757,543
Muenchener Rueckversicherungs-Gesellschaft AG (B)   13,188     3,007,379
Puma SE (A)   7,387     531,437
RWE AG   52,174     1,738,709
SAP SE   87,844     11,210,857
Siemens AG   68,385     7,539,772
Siemens Healthineers AG (C)   13,275     689,252
Symrise AG   11,377     1,252,580
Telefonica Deutschland Holding AG   76,448     233,143
thyssenkrupp AG (A)   35,881     243,862
TUI AG (B)   25,345     138,210
Uniper SE   17,835     557,815
United Internet AG   9,068     373,535
Volkswagen AG   2,838     451,535
Vonovia SE   45,767     2,632,429
Wirecard AG   10,489     1,112,566
Zalando SE (A)(C)   12,389     842,439
          92,060,982
Hong Kong - 2.9%          
AIA Group, Ltd.   909,200     7,460,697
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
Alibaba Health Information Technology, Ltd. (A)   287,100   $ 678,440
Alibaba Pictures Group, Ltd. (A)(B)   1,135,600     138,394
ASM Pacific Technology, Ltd.   22,600     207,354
Beijing Enterprises Holdings, Ltd.   42,000     140,216
Beijing Enterprises Water Group, Ltd. (A)   388,500     147,684
BOC Hong Kong Holdings, Ltd.   278,000     783,019
Bosideng International Holdings, Ltd.   256,000     66,217
Brilliance China Automotive Holdings, Ltd.   241,500     212,608
Budweiser Brewing Company APAC, Ltd. (C)   98,800     278,504
China Education Group Holdings, Ltd.   46,000     79,958
China Everbright International, Ltd.   296,200     153,334
China Everbright, Ltd.   79,100     111,837
China Gas Holdings, Ltd.   144,400     510,505
China Jinmao Holdings Group, Ltd. (B)   412,900     288,267
China Mengniu Dairy Company, Ltd. (A)   217,900     785,915
China Merchants Port Holdings Company, Ltd.   112,300     137,717
China Mobile, Ltd.   487,400     3,446,280
China Overseas Land & Investment, Ltd.   305,000     935,368
China Power International Development, Ltd.   323,000     70,943
China Resources Beer Holdings Company, Ltd.   115,200     614,318
China Resources Cement Holdings, Ltd.   194,000     245,103
China Resources Gas Group, Ltd.   69,100     378,547
China Resources Land, Ltd.   253,700     1,011,708
China Resources Power Holdings Company, Ltd.   155,100     180,679
China State Construction International Holdings, Ltd.   161,500     100,042
China Taiping Insurance Holdings Company, Ltd.   147,000     219,910
China Traditional Chinese Medicine Holdings Company, Ltd.   180,000     76,687
China Unicom Hong Kong, Ltd.   491,300     285,688
CITIC, Ltd.   465,600     446,694
CK Asset Holdings, Ltd.   194,000     1,065,556
CK Hutchison Holdings, Ltd.   203,500     1,252,925
CK Infrastructure Holdings, Ltd.   49,500     248,734
CLP Holdings, Ltd.   122,000     1,197,521
COSCO SHIPPING Ports, Ltd.   143,700     72,148
Dairy Farm International Holdings, Ltd.   24,900     105,225
Far East Horizon, Ltd.   172,800     153,735
Galaxy Entertainment Group, Ltd.   162,000     1,107,357
Geely Automobile Holdings, Ltd.   397,300     548,955
Guangdong Investment, Ltd.   232,900     460,542
Haier Electronics Group Company, Ltd.   98,700     276,348
Hang Lung Properties, Ltd.   149,000     315,352
Hang Seng Bank, Ltd.   56,700     870,826
Henderson Land Development Company, Ltd.   107,041     385,115
HK Electric Investments & HK Electric Investments, Ltd.   181,500     180,033
HKT Trust & HKT, Ltd.   280,000     398,328
Hong Kong & China Gas Company, Ltd.   752,646     1,269,805
Hong Kong Exchanges & Clearing, Ltd.   90,100     3,170,926
Hongkong Land Holdings, Ltd.   87,600     330,530
Hutchison China MediTech, Ltd., ADR (A)   4,800     104,688
Jardine Matheson Holdings, Ltd.   16,500     663,518
 
  36  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
Jardine Strategic Holdings, Ltd.   16,700   $ 333,709
Kerry Properties, Ltd.   49,000     116,537
Kingboard Holdings, Ltd.   53,700     130,765
Kingboard Laminates Holdings, Ltd.   86,500     76,408
Kunlun Energy Company, Ltd.   280,900     173,247
Lee & Man Paper Manufacturing, Ltd.   106,500     57,638
Link REIT (B)   156,000     1,178,062
Melco Resorts & Entertainment, Ltd., ADR   16,300     261,289
MTR Corp., Ltd.   113,500     547,694
New World Development Company, Ltd.   454,000     461,433
Nine Dragons Paper Holdings, Ltd.   130,900     115,100
NWS Holdings, Ltd.   114,000     89,918
PCCW, Ltd.   288,000     158,350
Power Assets Holdings, Ltd.   103,500     579,560
Shanghai Industrial Holdings, Ltd.   40,900     63,954
Shenzhen International Holdings, Ltd.   76,500     128,123
Shenzhen Investment, Ltd.   232,000     71,909
Shimao Property Holdings, Ltd.   91,400     383,317
Sino Biopharmaceutical, Ltd.   547,900     865,754
Sino Land Company, Ltd.   231,000     271,139
SJM Holdings, Ltd.   142,000     158,663
SSY Group, Ltd. (B)   120,000     73,979
Sun Art Retail Group, Ltd.   187,200     288,154
Sun Hung Kai Properties, Ltd.   119,500     1,399,663
Swire Pacific, Ltd., Class A   37,500     197,298
Swire Properties, Ltd.   87,400     196,104
Techtronic Industries Company, Ltd.   102,500     894,198
The Bank of East Asia, Ltd.   96,800     175,460
The Wharf Holdings, Ltd.   86,000     154,538
Towngas China Company, Ltd. (A)   83,000     38,334
Vitasoy International Holdings, Ltd.   56,000     209,028
WH Group, Ltd. (C)   717,000     623,750
Wharf Real Estate Investment Company, Ltd. (B)   90,000     349,009
Wheelock & Company, Ltd.   62,000     420,875
Yue Yuen Industrial Holdings, Ltd.   54,500     78,477
Yuexiu Property Company, Ltd.   538,000     97,141
          45,789,377
Hungary - 0.1%          
MOL Hungarian Oil & Gas PLC   42,322     267,992
OTP Bank NYRT (A)   23,449     788,235
Richter Gedeon NYRT   14,603     319,156
          1,375,383
Indonesia - 0.3%          
Ace Hardware Indonesia Tbk PT (A)   390,900     41,644
Adaro Energy Tbk PT   906,500     68,515
Astra International Tbk PT   1,252,700     409,961
Bank Central Asia Tbk PT   599,700     1,067,099
Bank Mandiri Persero Tbk PT   1,130,900     347,530
Bank Negara Indonesia Persero Tbk PT   481,000     126,605
Bank Rakyat Indonesia Persero Tbk PT   3,357,600     679,863
Bank Tabungan Negara Persero Tbk PT   269,500     14,078
Barito Pacific Tbk PT (A)   1,628,000     150,788
Bukit Asam Tbk PT (A)   211,500     28,305
Bumi Serpong Damai Tbk PT (A)   513,600     22,395
Charoen Pokphand Indonesia Tbk PT   448,700     177,938
Gudang Garam Tbk PT   30,400     101,575
Hanjaya Mandala Sampoerna Tbk PT   573,700     76,424
Indah Kiat Pulp & Paper Corp. Tbk PT   169,500     61,138
Indocement Tunggal Prakarsa Tbk PT (A)   113,800     94,461
Indofood CBP Sukses Makmur Tbk PT   140,000     78,290
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Indonesia (continued)          
Indofood Sukses Makmur Tbk PT   272,500   $ 107,539
Jasa Marga Persero Tbk PT (A)   128,400     31,268
Kalbe Farma Tbk PT   1,268,500     123,042
Pabrik Kertas Tjiwi Kimia Tbk PT   86,100     23,465
Pakuwon Jati Tbk PT   1,082,400     26,918
Perusahaan Gas Negara Tbk PT   657,700     38,868
Semen Indonesia Persero Tbk PT   184,000     123,681
Telekomunikasi Indonesia Persero Tbk PT   3,039,500     655,911
Unilever Indonesia Tbk PT   454,600     241,580
United Tractors Tbk PT   102,700     110,540
XL Axiata Tbk PT (A)   235,200     41,747
          5,071,168
Ireland - 0.7%          
AerCap Holdings NV (A)   12,700     409,448
AIB Group PLC (A)   69,821     77,008
Bank of Ireland Group PLC (A)   87,479     156,240
CRH PLC   68,355     2,201,148
DCC PLC   5,409     453,723
Experian PLC   49,702     1,743,166
Flutter Entertainment PLC   6,744     860,628
Flutter Entertainment PLC (London Stock Exchange)   5,489     698,401
James Hardie Industries PLC, CHESS Depositary Interest   35,319     610,137
Kerry Group PLC, Class A   13,681     1,695,087
Kingspan Group PLC   12,647     781,332
Smurfit Kappa Group PLC   19,501     636,818
          10,323,136
Isle of Man - 0.0%          
GVC Holdings PLC   32,174     315,843
Israel - 0.4%          
Azrieli Group, Ltd.   3,208     169,155
Bank Hapoalim BM   83,612     514,762
Bank Leumi Le-Israel BM   106,902     567,804
Check Point Software Technologies, Ltd. (A)   8,700     954,129
CyberArk Software, Ltd. (A)   2,700     280,206
ICL Group, Ltd.   52,205     182,028
Isracard, Ltd.   4,005     10,948
Israel Discount Bank, Ltd., Class A   89,552     284,336
Mizrahi Tefahot Bank, Ltd.   10,881     213,000
Nice, Ltd. (A)   4,444     824,629
Teva Pharmaceutical Industries, Ltd., ADR (A)   77,100     966,063
Wix.com, Ltd. (A)   3,400     755,922
          5,722,982
Italy - 1.0%          
Assicurazioni Generali SpA   75,818     1,056,987
Atlantia SpA (A)(B)   30,998     509,600
Davide Campari-Milano SpA (B)   36,095     294,536
Enel SpA (B)   509,359     3,938,225
Eni SpA   158,526     1,441,722
Ferrari NV   7,535     1,281,148
FinecoBank Banca Fineco SpA (A)   37,687     441,441
Intesa Sanpaolo SpA (A)   927,879     1,614,574
Leonardo SpA   26,434     165,948
Mediobanca Banca di Credito Finanziario SpA   39,260     258,266
Moncler SpA (A)   11,270     422,298
Pirelli & C. SpA (A)(B)(C)   24,028     108,139
Poste Italiane SpA (C)   33,862     299,603
 
  37  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Italy (continued)          
Prysmian SpA   15,040   $ 322,352
Recordati SpA   6,381     290,591
Snam SpA   123,799     579,919
Telecom Italia SpA (A)(B)   556,527     206,593
Telecom Italia SpA, Savings Shares   393,152     152,147
Terna Rete Elettrica Nazionale SpA (B)   85,330     579,708
UniCredit SpA (A)   125,176     1,071,527
          15,035,324
Japan - 20.5%          
ABC-Mart, Inc.   3,100     188,303
Acom Company, Ltd.   38,000     155,251
Advantest Corp.   19,100     947,924
Aeon Company, Ltd.   62,400     1,382,813
AEON Financial Service Company, Ltd.   10,600     119,616
Aeon Mall Company, Ltd.   9,800     137,698
AGC, Inc.   17,500     496,359
Air Water, Inc.   17,300     251,841
Aisin Seiki Company, Ltd.   15,500     490,818
Ajinomoto Company, Inc.   41,900     714,840
Alfresa Holdings Corp.   18,000     363,332
Alps Alpine Company, Ltd.   20,300     246,027
Amada Company, Ltd.   32,300     288,636
ANA Holdings, Inc. (A)   10,900     263,349
Aozora Bank, Ltd.   11,500     213,571
Asahi Group Holdings, Ltd.   34,800     1,309,518
Asahi Intecc Company, Ltd.   18,600     570,995
Asahi Kasei Corp.   120,900     960,886
Astellas Pharma, Inc.   181,200     3,237,671
Bandai Namco Holdings, Inc.   19,100     1,061,898
Benesse Holdings, Inc.   6,800     184,490
Bridgestone Corp.   54,500     1,808,865
Brother Industries, Ltd.   21,600     408,756
Calbee, Inc.   7,600     220,067
Canon, Inc.   95,800     1,967,214
Casio Computer Company, Ltd.   18,600     328,489
Central Japan Railway Company   13,800     2,365,070
Chubu Electric Power Company, Inc.   61,300     826,310
Chugai Pharmaceutical Company, Ltd.   21,400     3,162,324
Coca-Cola Bottlers Japan Holdings, Inc.   11,700     232,322
Concordia Financial Group, Ltd.   103,300     338,670
Credit Saison Company, Ltd.   15,300     182,904
CyberAgent, Inc.   9,600     485,457
Dai Nippon Printing Company, Ltd.   23,200     528,882
Daicel Corp.   24,000     203,690
Daifuku Company, Ltd.   9,700     758,854
Dai-ichi Life Holdings, Inc.   106,400     1,395,827
Daiichi Sankyo Company, Ltd.   54,400     5,111,713
Daikin Industries, Ltd.   23,800     3,504,437
Daito Trust Construction Company, Ltd.   6,800     719,517
Daiwa House Industry Company, Ltd.   54,400     1,349,805
Daiwa House REIT Investment Corp.   185     456,226
Daiwa Securities Group, Inc.   148,200     617,466
Denso Corp.   41,500     1,598,500
Dentsu Group, Inc.   20,600     550,517
Disco Corp.   2,600     582,486
East Japan Railway Company   28,900     2,269,885
Eisai Company, Ltd.   24,200     1,899,487
Electric Power Development Company, Ltd.   13,800     261,271
FamilyMart Company, Ltd.   24,300     455,532
FANUC Corp.   18,600     3,323,794
Fast Retailing Company, Ltd.   5,600     3,147,679
Fuji Electric Company, Ltd.   12,300     328,593
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
FUJIFILM Holdings Corp.   34,500   $ 1,582,397
Fujitsu, Ltd.   18,800     1,937,303
Fukuoka Financial Group, Inc.   16,900     275,014
GMO Payment Gateway, Inc.   3,900     439,907
Hakuhodo DY Holdings, Inc.   22,100     275,218
Hamamatsu Photonics KK   13,300     604,273
Hankyu Hanshin Holdings, Inc.   21,800     806,749
Hikari Tsushin, Inc.   2,000     438,646
Hino Motors, Ltd.   28,300     191,890
Hirose Electric Company, Ltd.   3,100     370,606
Hisamitsu Pharmaceutical Company, Inc.   4,900     248,095
Hitachi Chemical Company, Ltd.   9,900     424,532
Hitachi Construction Machinery Company, Ltd.   10,400     274,341
Hitachi Metals, Ltd.   20,500     236,189
Hitachi, Ltd.   93,000     3,003,828
Honda Motor Company, Ltd.   156,500     4,075,042
Hoshizaki Corp.   5,200     419,817
Hoya Corp.   36,300     3,415,592
Hulic Company, Ltd.   28,700     290,612
Idemitsu Kosan Company, Ltd.   18,697     416,266
IHI Corp.   14,400     207,666
Iida Group Holdings Company, Ltd.   14,200     211,051
Inpex Corp.   98,500     689,723
Isetan Mitsukoshi Holdings, Ltd.   31,800     213,432
Isuzu Motors, Ltd.   53,200     499,689
ITOCHU Corp.   129,600     2,786,982
Itochu Techno-Solutions Corp.   9,000     304,609
J Front Retailing Company, Ltd.   21,900     186,424
Japan Airlines Company, Ltd.   11,000     216,004
Japan Airport Terminal Company, Ltd.   4,800     211,279
Japan Exchange Group, Inc.   49,100     1,059,329
Japan Post Bank Company, Ltd.   36,500     302,053
Japan Post Holdings Company, Ltd.   155,300     1,132,856
Japan Post Insurance Company, Ltd.   23,000     293,105
Japan Prime Realty Investment Corp.   74     225,474
Japan Real Estate Investment Corp.   125     680,367
Japan Retail Fund Investment Corp.   249     328,398
Japan Tobacco, Inc.   114,800     2,278,343
JFE Holdings, Inc.   46,500     342,407
JGC Holdings Corp.   21,300     229,695
JSR Corp.   18,500     364,451
JTEKT Corp.   20,100     162,735
JXTG Holdings, Inc.   293,300     1,133,585
Kajima Corp.   43,400     492,805
Kakaku.com, Inc.   12,800     310,841
Kamigumi Company, Ltd.   10,300     201,865
Kansai Paint Company, Ltd.   16,900     350,314
Kao Corp.   46,200     3,719,110
Kawasaki Heavy Industries, Ltd.   13,800     219,200
KDDI Corp.   169,400     4,944,650
Keihan Holdings Company, Ltd.   9,100     433,896
Keikyu Corp.   20,900     350,650
Keio Corp.   9,800     584,292
Keisei Electric Railway Company, Ltd.   12,300     404,137
Keyence Corp.   17,500     7,208,235
Kikkoman Corp.   13,900     701,345
Kintetsu Group Holdings Company, Ltd.   16,300     800,855
Kirin Holdings Company, Ltd.   78,700     1,615,276
Kobayashi Pharmaceutical Company, Ltd.   4,700     420,473
Koito Manufacturing Company, Ltd.   10,000     425,338
Komatsu, Ltd.   88,800     1,795,663
Konami Holdings Corp.   9,000     316,198
 
  38  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Konica Minolta, Inc.   43,800   $ 162,728
Kose Corp.   3,200     402,983
Kubota Corp.   99,500     1,339,871
Kuraray Company, Ltd.   30,600     322,160
Kurita Water Industries, Ltd.   9,500     263,034
Kyocera Corp.   30,800     1,668,424
Kyowa Kirin Company, Ltd.   23,300     632,289
Kyushu Electric Power Company, Inc.   35,500     295,884
Kyushu Railway Company   15,200     431,951
Lawson, Inc.   4,600     255,189
LINE Corp. (A)   5,600     280,386
Lion Corp.   21,200     488,140
LIXIL Group Corp.   25,400     354,842
M3, Inc.   42,300     1,708,680
Makita Corp.   21,500     730,457
Marubeni Corp.   151,300     736,637
Marui Group Company, Ltd.   18,000     325,655
Maruichi Steel Tube, Ltd.   5,200     133,403
Mazda Motor Corp.   54,000     348,598
McDonald's Holdings Company Japan, Ltd.   6,200     329,942
Mebuki Financial Group, Inc.   85,600     194,586
Medipal Holdings Corp.   17,500     346,682
MEIJI Holdings Company, Ltd.   10,900     823,088
Mercari, Inc. (A)   7,300     218,466
MINEBEA MITSUMI, Inc.   35,000     616,995
MISUMI Group, Inc.   27,100     721,342
Mitsubishi Chemical Holdings Corp.   122,900     723,927
Mitsubishi Corp.   129,700     3,031,246
Mitsubishi Electric Corp.   175,400     2,315,533
Mitsubishi Estate Company, Ltd.   113,400     1,802,424
Mitsubishi Gas Chemical Company, Inc.   15,700     234,654
Mitsubishi Heavy Industries, Ltd.   31,000     804,687
Mitsubishi Materials Corp.   10,500     239,536
Mitsubishi Motors Corp.   61,800     175,070
Mitsubishi UFJ Financial Group, Inc.   1,177,500     4,887,960
Mitsubishi UFJ Lease & Finance Company, Ltd.   39,000     191,239
Mitsui & Company, Ltd.   159,200     2,420,971
Mitsui Chemicals, Inc.   17,700     369,103
Mitsui Fudosan Company, Ltd.   84,600     1,627,484
Mitsui OSK Lines, Ltd.   11,400     202,577
Mizuho Financial Group, Inc.   2,311,300     2,884,830
MonotaRO Company, Ltd.   11,900     432,890
MS&AD Insurance Group Holdings, Inc.   47,800     1,407,943
Murata Manufacturing Company, Ltd.   55,100     3,099,253
Nabtesco Corp.   10,800     337,118
Nagoya Railroad Company, Ltd.   17,600     531,059
NEC Corp.   23,700     1,065,606
Nexon Company, Ltd.   47,400     987,618
NGK Insulators, Ltd.   25,500     374,294
NGK Spark Plug Company, Ltd.   15,100     244,309
NH Foods, Ltd.   7,900     292,307
Nidec Corp.   42,900     2,640,781
Nikon Corp.   30,700     282,562
Nintendo Company, Ltd.   10,700     4,350,394
Nippon Building Fund, Inc.   127     794,277
Nippon Express Company, Ltd.   7,500     385,814
Nippon Paint Holdings Company, Ltd.   14,000     979,692
Nippon Prologis REIT, Inc.   187     527,022
Nippon Shinyaku Company, Ltd.   4,400     380,215
Nippon Steel Corp.   76,400     705,438
Nippon Telegraph & Telephone Corp.   123,400     2,808,731
Nippon Yusen KK   14,500     209,675
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Nissan Chemical Corp.   12,000   $ 532,425
Nissan Motor Company, Ltd.   220,800     836,772
Nisshin Seifun Group, Inc.   18,900     294,992
Nissin Foods Holdings Company, Ltd.   6,000     502,934
Nitori Holdings Company, Ltd.   7,600     1,376,009
Nitto Denko Corp.   15,300     830,799
Nomura Holdings, Inc. (B)   322,600     1,390,351
Nomura Real Estate Holdings, Inc.   12,200     225,188
Nomura Real Estate Master Fund, Inc.   390     478,781
Nomura Research Institute, Ltd.   32,400     859,239
NSK, Ltd.   34,700     255,225
NTT Data Corp.   60,500     701,304
NTT DOCOMO, Inc.   127,700     3,509,666
Obayashi Corp.   62,900     583,258
Obic Company, Ltd.   6,200     1,077,191
Odakyu Electric Railway Company, Ltd.   27,900     698,338
Oji Holdings Corp.   82,600     415,485
Olympus Corp.   111,800     1,943,901
Omron Corp.   17,800     1,181,986
Ono Pharmaceutical Company, Ltd.   35,500     1,018,257
Oracle Corp. Japan   3,600     421,191
Oriental Land Company, Ltd.   19,100     2,774,637
ORIX Corp.   129,200     1,709,765
Orix JREIT, Inc.   248     358,449
Osaka Gas Company, Ltd.   35,400     710,560
Otsuka Corp.   9,900     479,422
Otsuka Holdings Company, Ltd.   37,500     1,691,327
Pan Pacific International Holdings Corp.   42,200     850,941
Panasonic Corp.   212,400     1,902,870
Park24 Company, Ltd.   11,000     212,489
PeptiDream, Inc. (A)   9,000     404,613
Persol Holdings Company, Ltd.   17,100     225,991
Pigeon Corp.   11,000     430,134
Pola Orbis Holdings, Inc.   8,600     168,113
Rakuten, Inc.   82,300     749,294
Recruit Holdings Company, Ltd.   130,000     4,478,103
Renesas Electronics Corp. (A)   74,200     385,941
Resona Holdings, Inc.   203,400     735,589
Ricoh Company, Ltd.   64,400     477,343
Rinnai Corp.   3,200     270,344
Rohm Company, Ltd.   9,000     609,657
Ryohin Keikaku Company, Ltd.   22,900     347,289
Sankyo Company, Ltd.   4,100     105,758
Santen Pharmaceutical Company, Ltd.   34,400     637,159
SBI Holdings, Inc.   23,100     497,179
Secom Company, Ltd.   20,100     1,744,660
Sega Sammy Holdings, Inc.   16,500     215,374
Seibu Holdings, Inc.   18,800     245,780
Seiko Epson Corp.   27,000     305,944
Sekisui Chemical Company, Ltd.   35,300     494,803
Sekisui House, Ltd.   59,700     1,139,622
Seven & i Holdings Company, Ltd.   72,200     2,476,540
Seven Bank, Ltd.   55,800     159,481
SG Holdings Company, Ltd.   13,700     447,970
Sharp Corp. (B)   20,400     222,153
Shimadzu Corp.   21,200     576,445
Shimamura Company, Ltd.   2,100     147,872
Shimano, Inc.   7,100     1,305,910
Shimizu Corp.   56,900     481,646
Shin-Etsu Chemical Company, Ltd.   34,000     3,981,842
Shinsei Bank, Ltd.   19,000     243,017
Shionogi & Company, Ltd.   25,800     1,529,964
Shiseido Company, Ltd.   38,300     2,349,706
Showa Denko KK   13,000     312,127
 
  39  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
SMC Corp.   5,500   $ 2,784,641
Softbank Corp.   160,100     2,032,932
SoftBank Group Corp.   150,300     6,865,069
Sohgo Security Services Company, Ltd.   6,800     334,796
Sompo Holdings, Inc.   33,200     1,184,299
Sony Corp.   122,000     7,901,436
Sony Financial Holdings, Inc.   16,200     391,102
Square Enix Holdings Company, Ltd.   8,800     428,683
Stanley Electric Company, Ltd.   12,500     305,377
Subaru Corp.   59,000     1,307,128
SUMCO Corp.   24,000     370,591
Sumitomo Chemical Company, Ltd.   145,000     450,600
Sumitomo Corp.   114,400     1,378,417
Sumitomo Dainippon Pharma Company, Ltd.   15,300     216,689
Sumitomo Electric Industries, Ltd.   72,800     851,723
Sumitomo Heavy Industries, Ltd.   10,900     250,067
Sumitomo Metal Mining Company, Ltd.   22,300     621,646
Sumitomo Mitsui Financial Group, Inc.   124,800     3,621,987
Sumitomo Mitsui Trust Holdings, Inc.   30,500     902,341
Sumitomo Realty & Development Company, Ltd.   32,000     886,110
Sumitomo Rubber Industries, Ltd.   15,900     162,416
Sundrug Company, Ltd.   6,800     229,060
Suntory Beverage & Food, Ltd.   13,200     540,214
Suzuken Company, Ltd.   6,900     251,032
Suzuki Motor Corp.   35,300     1,230,547
Sysmex Corp.   16,000     1,283,996
T&D Holdings, Inc.   55,700     505,934
Taiheiyo Cement Corp.   11,800     279,684
Taisei Corp.   19,400     673,911
Taisho Pharmaceutical Holdings Company, Ltd.   3,200     203,818
Taiyo Nippon Sanso Corp.   12,500     210,137
Takeda Pharmaceutical Company, Ltd.   143,496     5,613,463
TDK Corp.   12,500     1,172,807
Teijin, Ltd.   17,300     283,536
Terumo Corp.   61,900     2,434,759
The Bank of Kyoto, Ltd.   5,100     183,893
The Chiba Bank, Ltd.   53,800     256,816
The Chugoku Electric Power Company, Inc.   25,900     356,217
The Kansai Electric Power Company, Inc.   67,400     672,582
The Shizuoka Bank, Ltd.   43,500     277,754
The Yokohama Rubber Company, Ltd.   11,400     172,844
THK Company, Ltd.   11,500     300,880
Tobu Railway Company, Ltd.   18,100     642,420
Toho Company, Ltd.   10,700     393,405
Toho Gas Company, Ltd.   7,000     347,411
Tohoku Electric Power Company, Inc.   40,000     415,211
Tokio Marine Holdings, Inc.   62,200     2,698,846
Tokyo Century Corp.   4,200     183,781
Tokyo Electric Power Company Holdings, Inc. (A)   147,300     497,967
Tokyo Electron, Ltd.   15,000     3,018,500
Tokyo Gas Company, Ltd.   35,800     857,122
Tokyu Corp.   47,500     755,292
Tokyu Fudosan Holdings Corp.   59,400     300,352
Toppan Printing Company, Ltd.   27,000     462,694
Toray Industries, Inc.   133,500     649,912
Toshiba Corp.   37,000     1,014,751
Tosoh Corp.   25,700     358,383
TOTO, Ltd.   13,400     533,567
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Toyo Seikan Group Holdings, Ltd.   13,900   $ 148,019
Toyo Suisan Kaisha, Ltd.   8,400     440,183
Toyoda Gosei Company, Ltd.   6,200     133,100
Toyota Industries Corp.   14,100     724,440
Toyota Motor Corp.   218,900     13,795,590
Toyota Tsusho Corp.   20,600     524,122
Trend Micro, Inc.   12,100     666,011
Tsuruha Holdings, Inc.   3,500     518,203
Unicharm Corp.   38,600     1,441,357
United Urban Investment Corp.   281     297,507
USS Company, Ltd.   20,700     360,949
Welcia Holdings Company, Ltd.   4,500     378,618
West Japan Railway Company   15,500     1,003,433
Yakult Honsha Company, Ltd.   11,400     700,329
Yamada Denki Company, Ltd.   59,600     290,043
Yamaha Corp.   13,800     673,233
Yamaha Motor Company, Ltd.   27,400     396,897
Yamato Holdings Company, Ltd.   29,600     658,539
Yamazaki Baking Company, Ltd.   11,500     206,160
Yaskawa Electric Corp.   23,000     829,661
Yokogawa Electric Corp.   22,100     319,660
Z Holdings Corp.   254,300     1,045,950
ZOZO, Inc.   10,400     191,808
          320,920,688
Luxembourg - 0.1%          
ArcelorMittal SA (A)   22,499     215,484
Aroundtown SA   108,843     598,644
Eurofins Scientific SE   389     264,479
Millicom International Cellular SA   8,728     208,463
Reinet Investments SCA   11,492     180,472
SES SA   12,257     90,804
Tenaris SA (B)   29,175     183,607
          1,741,953
Macau - 0.1%          
Sands China, Ltd.   180,000     707,057
Wynn Macau, Ltd.   113,600     194,572
          901,629
Malaysia - 0.4%          
AirAsia Group BHD   94,700     15,092
AMMB Holdings BHD   110,300     80,596
Axiata Group BHD   175,200     153,052
Carlsberg Brewery Malaysia BHD   9,800     65,278
CIMB Group Holdings BHD   317,200     275,576
Dialog Group BHD   227,700     209,388
DiGi.Com BHD   191,200     199,938
Fraser & Neave Holdings BHD   9,000     67,397
Gamuda BHD   112,200     100,893
Genting BHD   140,300     129,357
Genting Malaysia BHD   192,800     103,031
Genting Plantations BHD   17,200     40,045
HAP Seng Consolidated BHD   40,300     69,470
Hartalega Holdings BHD   96,400     278,570
Hong Leong Bank BHD   42,900     134,404
Hong Leong Financial Group BHD   15,700     48,492
IHH Healthcare BHD   141,700     177,337
IJM Corp. BHD   177,500     78,638
IOI Corp. BHD   123,000     128,826
Kuala Lumpur Kepong BHD   27,900     141,337
Malayan Banking BHD   248,400     429,146
Malaysia Airports Holdings BHD   61,800     71,227
Maxis BHD   147,800     179,367
MISC BHD   84,900     162,432
Nestle Malaysia BHD   4,000     128,100
 
  40  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Malaysia (continued)          
Petronas Chemicals Group BHD   154,700   $ 224,791
Petronas Dagangan BHD   18,300     98,944
Petronas Gas BHD   49,600     217,094
PPB Group BHD   37,000     147,917
Press Metal Aluminium Holdings BHD   89,600     77,752
Public Bank BHD   199,300     672,922
QL Resources BHD   39,200     91,164
RHB Bank BHD   99,600     109,415
Sime Darby BHD   180,400     86,943
Sime Darby Plantation BHD   133,100     152,175
Telekom Malaysia BHD   73,300     71,137
Tenaga Nasional BHD   199,300     517,123
Top Glove Corp. BHD   97,300     298,272
Westports Holdings BHD   50,300     46,252
YTL Corp. BHD   163,978     39,294
          6,318,184
Mexico - 0.5%          
Alfa SAB de CV, Class A (B)   248,000     131,524
Alsea SAB de CV (A)(B)   43,300     36,535
America Movil SAB de CV, Series L   2,756,700     1,832,454
Arca Continental SAB de CV (B)   35,900     160,327
Cemex SAB de CV   1,235,148     292,432
Coca-Cola Femsa SAB de CV   43,900     193,224
El Puerto de Liverpool SAB de CV, Series C1   14,800     36,976
Fibra Uno Administracion SA de CV   259,100     198,755
Fomento Economico Mexicano SAB de CV   160,400     1,085,319
Gruma SAB de CV, Class B   17,240     171,051
Grupo Aeroportuario del Pacifico SAB de CV, B Shares   29,300     195,029
Grupo Aeroportuario del Sureste SAB de CV, B Shares (B)   16,945     176,010
Grupo Bimbo SAB de CV, Series A (B)   132,200     206,755
Grupo Carso SAB de CV, Series A1 (B)   37,400     86,473
Grupo Financiero Banorte SAB de CV, Series O   212,100     646,119
Grupo Financiero Inbursa SAB de CV, Series O (A)   185,600     126,889
Grupo Mexico SAB de CV, Series B   286,500     617,200
Grupo Televisa SAB (A)   199,700     236,673
Industrias Penoles SAB de CV (B)   10,710     101,282
Infraestructura Energetica Nova SAB de CV   42,700     121,700
Kimberly-Clark de Mexico SAB de CV, Class A   122,900     191,324
Megacable Holdings SAB de CV   25,800     77,954
Orbia Advance Corp. SAB de CV   87,035     126,503
Promotora y Operadora de Infraestructura SAB de CV (A)(B)   18,720     141,423
Wal-Mart de Mexico SAB de CV   428,600     1,072,732
          8,262,663
Netherlands - 3.5%          
ABN AMRO Bank NV (C)   42,598     338,941
Adyen NV (A)(C)   1,061     1,391,270
Aegon NV (B)   191,287     513,357
Akzo Nobel NV   20,604     1,691,955
Altice Europe NV (A)   62,772     247,962
ASML Holding NV   43,223     14,158,983
EXOR NV   7,009     378,124
Heineken Holding NV (B)   11,566     951,049
Heineken NV   26,249     2,404,163
ING Groep NV   395,363     2,570,494
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Netherlands (continued)          
Just Eat Takeaway.com NV (A)(C)   11,673   $ 1,270,896
Koninklijke Ahold Delhaize NV   111,471     2,826,227
Koninklijke DSM NV (B)   18,394     2,352,864
Koninklijke KPN NV   360,491     881,173
Koninklijke Philips NV (A)   91,930     4,179,412
Koninklijke Vopak NV   7,021     384,491
NN Group NV   32,824     1,007,535
NXP Semiconductors NV   28,400     2,729,240
Prosus NV (A)   49,522     4,132,228
QIAGEN NV (A)   20,189     882,238
Randstad NV   12,007     505,172
Royal Dutch Shell PLC, A Shares   230,116     3,642,273
Royal Dutch Shell PLC, B Shares   202,684     3,094,337
Wolters Kluwer NV   27,528     2,197,019
          54,731,403
New Zealand - 0.1%          
a2 Milk Company, Ltd. (A)   27,547     326,201
Auckland International Airport, Ltd.   46,119     186,828
Fisher & Paykel Healthcare Corp., Ltd.   21,487     400,617
Fletcher Building, Ltd.   31,373     68,571
Mercury NZ, Ltd.   26,200     75,888
Meridian Energy, Ltd.   47,514     140,723
Ryman Healthcare, Ltd.   15,381     115,981
Spark New Zealand, Ltd.   69,756     191,757
          1,506,566
Norway - 0.2%          
Aker BP ASA   4,027     65,093
DNB ASA   37,527     512,163
Equinor ASA (B)   38,546     562,141
Gjensidige Forsikring ASA (A)   8,516     155,254
Mowi ASA   16,859     317,760
Norsk Hydro ASA (A)   50,847     129,258
Orkla ASA   29,382     263,902
Schibsted ASA, B Shares (A)   3,808     91,378
Telenor ASA   27,596     418,284
Yara International ASA   6,840     235,295
          2,750,528
Peru - 0.1%          
Cia de Minas Buenaventura SAA, ADR   20,500     160,925
Credicorp, Ltd.   6,553     903,134
Southern Copper Corp.   8,100     294,030
          1,358,089
Philippines - 0.2%          
Aboitiz Equity Ventures, Inc.   165,230     139,886
Aboitiz Power Corp.   122,700     67,712
Altus San Nicolas Corp. (A)(D)   2,753     282
Ayala Corp.   23,880     353,598
Ayala Land, Inc.   622,080     393,938
Bank of the Philippine Islands   78,180     102,623
BDO Unibank, Inc.   165,270     328,436
Globe Telecom, Inc.   2,780     125,991
GT Capital Holdings, Inc.   8,063     61,756
International Container Terminal Services, Inc.   82,770     143,415
JG Summit Holdings, Inc.   242,580     233,751
Jollibee Foods Corp.   36,690     78,910
Manila Electric Company   18,600     104,179
Megaworld Corp.   990,500     55,884
Metro Pacific Investments Corp.   1,181,700     67,699
Metropolitan Bank & Trust Company   154,259     107,500
PLDT, Inc.   7,255     180,559
Robinsons Land Corp.   178,200     52,140
 
  41  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Philippines (continued)          
Security Bank Corp.   16,790   $ 27,205
SM Investments Corp. (A)   20,365     369,056
SM Prime Holdings, Inc. (A)   850,400     507,610
Universal Robina Corp.   73,850     191,082
          3,693,212
Poland - 0.1%          
Bank Millennium SA (A)   24,116     15,098
Bank Polska Kasa Opieki SA   7,763     101,313
CCC SA   1,337     16,214
CD Projekt SA (A)   2,985     300,906
Cyfrowy Polsat SA   10,787     70,355
Dino Polska SA (A)(C)   2,139     97,591
Grupa Lotos SA   4,017     59,656
KGHM Polska Miedz SA (A)   6,310     135,275
LPP SA   57     97,658
mBank SA (A)   709     37,871
Orange Polska SA (A)   28,726     46,532
PGE Polska Grupa Energetyczna SA (A)   36,663     44,218
Polski Koncern Naftowy ORLEN SA   13,295     221,849
Polskie Gornictwo Naftowe i Gazownictwo SA   75,704     79,548
Powszechna Kasa Oszczednosci Bank Polski SA   39,007     215,805
Powszechny Zaklad Ubezpieczen SA   29,574     220,354
Santander Bank Polska SA (A)   1,515     61,593
          1,821,836
Portugal - 0.1%          
EDP - Energias de Portugal SA   204,128     953,602
Galp Energia SGPS SA   39,731     472,727
Jeronimo Martins SGPS SA (A)   19,690     335,748
          1,762,077
Romania - 0.0%          
NEPI Rockcastle PLC   30,003     153,418
Russia - 0.0%          
Evraz PLC   27,780     97,338
Singapore - 0.3%          
Ascendas Real Estate Investment Trust   79,300     176,484
BOC Aviation, Ltd. (C)   17,000     93,834
CapitaLand Commercial Trust   71,600     88,953
CapitaLand Mall Trust   70,600     101,866
CapitaLand, Ltd. (A)   72,800     149,485
City Developments, Ltd.   12,900     70,569
ComfortDelGro Corp., Ltd.   60,600     61,913
DBS Group Holdings, Ltd.   50,000     691,725
Genting Singapore, Ltd.   177,800     99,073
Jardine Cycle & Carriage, Ltd.   3,000     46,579
Keppel Corp., Ltd.   41,800     175,314
Mapletree Commercial Trust   57,900     82,376
Oversea-Chinese Banking Corp., Ltd.   96,400     585,298
SATS, Ltd.   19,100     36,062
Sembcorp Industries, Ltd.   28,100     27,088
Singapore Airlines, Ltd.   14,700     39,788
Singapore Exchange, Ltd.   22,800     133,953
Singapore Press Holdings, Ltd.   43,500     39,523
Singapore Technologies Engineering, Ltd.   42,700     96,702
Singapore Telecommunications, Ltd.   228,960     403,209
Suntec Real Estate Investment Trust   48,100     50,255
United Overseas Bank, Ltd.   35,900     497,232
UOL Group, Ltd.   13,400     65,126
Venture Corp., Ltd.   7,700     83,677
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Singapore (continued)          
Wilmar International, Ltd.   55,300   $ 156,228
          4,052,312
South Africa - 1.0%          
Absa Group, Ltd.   53,186     247,320
Anglo American Platinum, Ltd.   4,048     256,674
AngloGold Ashanti, Ltd.   31,510     767,830
Aspen Pharmacare Holdings, Ltd. (A)   29,783     238,274
Bid Corp., Ltd.   25,439     359,093
Capitec Bank Holdings, Ltd.   3,396     164,722
Clicks Group, Ltd.   19,809     263,067
Discovery, Ltd.   33,367     187,673
Exxaro Resources, Ltd.   19,417     137,731
FirstRand, Ltd.   259,146     595,125
Fortress REIT, Ltd., Class A   82,562     52,185
Gold Fields, Ltd.   62,697     483,905
Growthpoint Properties, Ltd.   229,240     163,399
Impala Platinum Holdings, Ltd.   61,443     410,031
Investec, Ltd.   32,205     56,646
Kumba Iron Ore, Ltd.   4,940     133,414
Liberty Holdings, Ltd.   14,114     50,181
Life Healthcare Group Holdings, Ltd.   101,334     105,264
Momentum Metropolitan Holdings   80,807     79,344
Mr. Price Group, Ltd.   19,188     142,821
MTN Group, Ltd.   130,706     405,181
MultiChoice Group, Ltd. (A)   33,434     165,186
Naspers, Ltd., N Shares   34,154     5,560,032
Nedbank Group, Ltd.   29,266     165,647
Northam Platinum, Ltd. (A)   26,956     169,130
Old Mutual, Ltd.   384,570     246,767
Pepkor Holdings, Ltd. (C)   62,131     42,351
Pick n Pay Stores, Ltd.   27,474     83,337
PSG Group, Ltd.   11,081     102,066
Rand Merchant Investment Holdings, Ltd.   68,800     107,005
Redefine Properties, Ltd.   421,070     46,397
Remgro, Ltd.   39,603     312,999
RMB Holdings, Ltd.   56,653     172,557
Sanlam, Ltd.   145,447     469,795
Sasol, Ltd. (A)   43,582     228,188
Shoprite Holdings, Ltd.   35,863     211,393
Sibanye Stillwater, Ltd. (A)   174,210     319,918
Standard Bank Group, Ltd.   98,344     572,423
Telkom SA SOC, Ltd.   23,002     23,261
The Bidvest Group, Ltd.   21,452     186,211
The Foschini Group, Ltd.   17,653     63,298
The SPAR Group, Ltd.   14,208     142,046
Tiger Brands, Ltd.   12,317     110,168
Vodacom Group, Ltd.   49,137     352,794
Woolworths Holdings, Ltd.   72,636     120,037
          15,272,886
South Korea - 4.6%          
Amorepacific Corp.   3,944     520,967
AMOREPACIFIC Group   3,559     166,885
BGF retail Company, Ltd.   948     127,932
BNK Financial Group, Inc.   36,893     151,873
Celltrion Healthcare Company, Ltd. (A)   6,479     477,312
Celltrion Pharm, Inc. (A)   94     6,986
Celltrion, Inc. (A)   11,554     2,000,554
Cheil Worldwide, Inc.   8,445     113,528
CJ CheilJedang Corp.   1,014     243,680
CJ Corp.   1,829     136,167
CJ ENM Company, Ltd.   1,335     131,079
CJ Logistics Corp. (A)   1,101     143,424
 
  42  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
Coway Company, Ltd.   6,308   $ 339,693
Daelim Industrial Company, Ltd.   3,481     260,487
Daewoo Engineering & Construction Company, Ltd. (A)   24,320     75,535
Daewoo Shipbuilding & Marine Engineering Company, Ltd. (A)   4,572     80,921
DB Insurance Company, Ltd.   6,681     234,915
Doosan Bobcat, Inc.   6,245     119,955
E-MART, Inc.   2,540     233,637
Fila Holdings Corp.   6,042     188,581
GS Engineering & Construction Corp.   7,657     177,253
GS Holdings Corp.   6,375     194,580
GS Retail Company, Ltd.   3,267     112,586
Hana Financial Group, Inc.   37,217     899,226
Hankook Tire & Technology Company, Ltd.   9,329     177,308
Hanmi Pharm Company, Ltd.   781     150,021
Hanon Systems   22,302     175,849
Hanwha Life Insurance Company, Ltd.   12,752     15,781
HDC Hyundai Development Co-Engineering & Construction, Series E   5,020     81,110
Helixmith Company, Ltd. (A)   2,947     149,946
HLB, Inc. (A)   4,503     412,786
Hotel Shilla Company, Ltd.   3,853     247,636
Hyundai Department Store Company, Ltd.   1,754     90,862
Hyundai Engineering & Construction Company, Ltd.   9,680     268,431
Hyundai Glovis Company, Ltd.   2,341     214,343
Hyundai Heavy Industries Holdings Company, Ltd.   1,209     265,262
Hyundai Marine & Fire Insurance Company, Ltd.   8,070     158,484
Hyundai Mobis Company, Ltd.   8,210     1,316,367
Hyundai Motor Company   18,345     1,458,582
Hyundai Steel Company   10,074     178,886
Industrial Bank of Korea   33,896     227,665
Kakao Corp.   6,322     1,350,143
Kangwon Land, Inc.   14,505     284,948
KB Financial Group, Inc.   48,950     1,335,900
KCC Corp.   594     69,159
Kia Motors Corp.   32,469     902,850
KMW Company, Ltd. (A)   3,167     149,796
Korea Aerospace Industries, Ltd.   9,053     186,088
Korea Electric Power Corp. (A)   31,359     549,881
Korea Gas Corp.   3,492     84,565
Korea Investment Holdings Company, Ltd.   5,556     238,022
Korea Shipbuilding & Offshore Engineering Company, Ltd. (A)   4,770     351,805
Korea Zinc Company, Ltd.   1,042     319,132
Korean Air Lines Company, Ltd. (A)   5,641     94,941
KT&G Corp.   14,318     971,739
Kumho Petrochemical Company, Ltd.   2,304     132,568
LG Chem, Ltd.   5,624     1,782,576
LG Corp.   11,808     603,576
LG Display Company, Ltd. (A)   28,068     232,961
LG Electronics, Inc.   13,128     631,216
LG Household & Health Care, Ltd.   1,150     1,274,583
LG Innotek Company, Ltd.   1,769     211,951
LG Uplus Corp.   26,236     279,421
Lotte Chemical Corp.   2,118     322,984
Lotte Corp.   3,168     87,910
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
Lotte Shopping Company, Ltd.   1,356   $ 97,860
Medy-Tox, Inc.   550     75,528
Meritz Securities Company, Ltd.   41,491     110,593
Mirae Asset Daewoo Company, Ltd.   52,848     264,924
NAVER Corp.   17,135     3,133,798
NCSoft Corp.   2,016     1,287,784
Netmarble Corp. (A)(C)   3,120     233,104
NH Investment & Securities Company, Ltd.   19,940     157,550
OCI Company, Ltd. (A)   2,328     74,451
Orion Corp.   2,892     308,399
Ottogi Corp.   152     67,809
Pan Ocean Company, Ltd. (A)   33,960     98,522
Pearl Abyss Corp. (A)   779     128,747
POSCO   9,658     1,420,903
POSCO Chemical Company, Ltd.   2,982     134,357
Posco International Corp.   6,461     83,743
S-1 Corp.   2,014     151,455
Samsung Biologics Company, Ltd. (A)(C)   2,028     1,022,526
Samsung C&T Corp.   10,517     845,216
Samsung Card Company, Ltd.   3,494     83,563
Samsung Electro-Mechanics Company, Ltd.   6,891     699,277
Samsung Electronics Company, Ltd.   584,679     24,080,637
Samsung Engineering Company, Ltd. (A)   19,406     190,651
Samsung Fire & Marine Insurance Company, Ltd.   3,876     572,751
Samsung Heavy Industries Company, Ltd. (A)   53,506     209,057
Samsung Life Insurance Company, Ltd.   9,467     351,025
Samsung SDI Company, Ltd.   6,749     1,965,079
Samsung SDS Company, Ltd.   4,261     658,067
Samsung Securities Company, Ltd.   8,623     195,756
Shinhan Financial Group Company, Ltd.   56,206     1,373,779
Shinsegae, Inc.   908     180,236
SK Holdings Company, Ltd.   4,330     839,518
SK Hynix, Inc.   66,896     4,436,048
SK Innovation Company, Ltd.   6,783     653,211
SK Telecom Company, Ltd.   2,475     432,263
S-Oil Corp.   5,452     312,928
Woori Financial Group, Inc.   66,110     487,838
Yuhan Corp.   5,708     240,146
          72,834,889
Spain - 1.8%          
ACS Actividades de Construccion y Servicios SA   23,021     589,109
Aena SME SA (A)(C)   6,013     858,157
Amadeus IT Group SA   38,545     2,015,573
AmRest Holdings SE (A)   3,314     21,703
Banco Bilbao Vizcaya Argentaria SA   596,378     1,836,759
Banco de Sabadell SA   508,298     155,724
Banco Santander SA   1,483,721     3,392,260
Bankia SA   112,064     98,675
Bankinter SA   59,282     251,850
CaixaBank SA   317,120     589,920
Cellnex Telecom SA (A)(C)   22,386     1,256,039
Enagas SA   21,871     492,966
Endesa SA   28,264     675,123
Ferrovial SA   43,670     1,190,087
Grifols SA   26,593     829,869
Iberdrola SA   549,711     5,951,987
Industria de Diseno Textil SA (B)   97,617     2,718,970
 
  43  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Spain (continued)          
Mapfre SA   111,988   $ 197,478
Naturgy Energy Group SA   26,030     485,424
Red Electrica Corp. SA   38,112     671,082
Repsol SA   126,217     1,188,343
Siemens Gamesa Renewable Energy SA   21,238     360,823
Telefonica SA   417,937     1,957,071
          27,784,992
Sweden - 1.9%          
Alfa Laval AB (A)   28,389     576,923
Assa Abloy AB, B Shares   90,281     1,842,670
Atlas Copco AB, A Shares   60,689     2,400,551
Atlas Copco AB, B Shares   35,177     1,250,266
Boliden AB   24,526     535,927
Electrolux AB, Series B (B)   20,428     336,814
Epiroc AB, A Shares   59,490     665,906
Epiroc AB, B Shares   35,331     396,159
Essity AB, B Shares (A)   54,770     1,814,014
Hennes & Mauritz AB, B Shares (B)   72,726     1,106,056
Hexagon AB, B Shares (A)   23,784     1,319,119
Husqvarna AB, B Shares   37,691     279,507
ICA Gruppen AB   8,033     378,337
Industrivarden AB, C Shares (A)(B)   15,448     346,231
Investor AB, B Shares   41,548     2,229,857
Kinnevik AB, B Shares (B)   22,264     564,448
L E Lundbergforetagen AB, B Shares (A)   7,040     351,239
Lundin Energy AB (B)   16,567     404,208
Sandvik AB (A)   102,150     1,707,701
Securitas AB, B Shares (A)   28,331     378,246
Skandinaviska Enskilda Banken AB, A Shares (A)   146,190     1,272,154
Skanska AB, B Shares (A)   30,615     615,449
SKF AB, B Shares   34,519     638,195
Svenska Handelsbanken AB, A Shares (A)   138,999     1,312,987
Swedbank AB, A Shares (A)(B)   80,594     1,012,158
Swedish Match AB   15,260     1,065,042
Tele2 AB, B Shares   44,838     594,099
Telefonaktiebolaget LM Ericsson, B Shares   277,384     2,540,102
Telia Company AB   245,637     840,166
Volvo AB, B Shares (A)   135,004     1,926,423
          30,700,954
Switzerland - 6.6%          
ABB, Ltd.   142,291     2,823,374
Adecco Group AG   11,865     570,516
Alcon, Inc. (A)   32,204     2,084,751
Baloise Holding AG   4,066     581,826
Barry Callebaut AG   227     457,843
Chocoladefabriken Lindt & Spruengli AG   8     697,617
Chocoladefabriken Lindt & Spruengli AG, Participation Certificates   82     686,915
Cie Financiere Richemont SA (B)   40,310     2,369,411
Clariant AG (A)   15,371     283,850
Coca-Cola HBC AG   10,999     278,523
Credit Suisse Group AG   201,493     1,851,819
Dufry AG (A)   3,129     93,641
EMS-Chemie Holding AG   614     456,216
Geberit AG   2,827     1,383,225
Givaudan SA   709     2,553,165
Glencore PLC (A)   583,399     1,101,776
Julius Baer Group, Ltd.   17,553     755,447
Kuehne + Nagel International AG (A)   4,067     588,201
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Switzerland (continued)          
LafargeHolcim, Ltd. (A)   38,286   $ 1,596,355
Lonza Group AG   5,754     2,841,444
Nestle SA   230,224     24,997,044
Novartis AG   166,244     14,472,533
Pargesa Holding SA, Bearer Shares   2,852     216,595
Partners Group Holding AG (B)   1,456     1,212,957
Roche Holding AG   54,352     18,866,763
Schindler Holding AG   1,434     334,860
Schindler Holding AG, Participation Certificates   3,193     745,970
SGS SA   459     1,082,912
Sika AG (B)   9,847     1,691,617
Sonova Holding AG   4,242     935,190
STMicroelectronics NV   23,376     580,542
Straumann Holding AG   801     653,268
Swiss Life Holding AG   2,759     977,952
Swiss Prime Site AG   5,781     540,287
Swiss Re AG   23,545     1,607,925
Swisscom AG   1,965     1,022,589
Temenos AG   5,023     772,055
The Swatch Group AG   3,532     138,353
The Swatch Group AG, Bearer Shares (B)   2,312     466,402
UBS Group AG   300,513     3,217,178
Vifor Pharma AG   3,519     539,238
Zurich Insurance Group AG   11,893     3,848,597
          102,976,742
Taiwan - 3.2%          
Accton Technology Corp.   38,000     306,302
Acer, Inc.   221,000     120,544
Advantech Company, Ltd.   26,699     264,913
Airtac International Group   9,000     155,163
ASE Technology Holding Company, Ltd.   265,000     545,344
Asia Cement Corp.   168,000     244,103
Asustek Computer, Inc.   54,000     379,132
AU Optronics Corp.   642,000     162,871
Catcher Technology Company, Ltd.   50,000     364,396
Cathay Financial Holding Company, Ltd.   608,000     812,435
Chailease Holding Company, Ltd.   90,954     354,516
Chang Hwa Commercial Bank, Ltd.   420,854     264,297
Cheng Shin Rubber Industry Company, Ltd.   140,000     153,365
Chicony Electronics Company, Ltd.   44,526     127,751
China Airlines, Ltd.   160,000     43,767
China Development Financial Holding Corp.   1,046,000     317,617
China Life Insurance Company, Ltd.   243,990     168,993
China Steel Corp.   891,000     587,879
Chunghwa Telecom Company, Ltd.   288,000     1,060,430
Compal Electronics, Inc.   315,000     200,612
CTBC Financial Holding Company, Ltd.   1,410,000     939,810
Delta Electronics, Inc.   148,000     681,364
E.Sun Financial Holding Company, Ltd.   792,776     705,983
Eclat Textile Company, Ltd.   14,340     147,750
Eva Airways Corp.   179,465     65,822
Evergreen Marine Corp. Taiwan, Ltd. (A)   177,900     64,745
Far Eastern New Century Corp.   245,000     219,876
Far EasTone Telecommunications Company, Ltd.   117,000     252,605
Feng TAY Enterprise Company, Ltd.   25,100     151,790
First Financial Holding Company, Ltd.   745,494     568,514
Formosa Chemicals & Fibre Corp.   268,000     643,901
Formosa Petrochemical Corp.   93,000     272,536
 
  44  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Formosa Plastics Corp.   342,000   $ 947,061
Formosa Taffeta Company, Ltd.   64,000     72,976
Foxconn Technology Company, Ltd.   71,000     127,850
Fubon Financial Holding Company, Ltd.   517,000     731,617
Giant Manufacturing Company, Ltd.   23,000     180,397
Globalwafers Company, Ltd.   17,000     206,097
Highwealth Construction Corp.   55,000     81,386
Hiwin Technologies Corp.   17,696     181,519
Hon Hai Precision Industry Company, Ltd.   951,800     2,407,953
Hotai Motor Company, Ltd.   23,000     412,528
Hua Nan Financial Holdings Company, Ltd.   583,048     378,818
Innolux Corp.   618,000     128,357
Inventec Corp.   189,000     153,699
Largan Precision Company, Ltd.   8,000     1,024,853
Lite-On Technology Corp.   161,000     258,375
MediaTek, Inc.   115,000     1,775,548
Mega Financial Holding Company, Ltd.   822,000     844,510
Micro-Star International Company, Ltd.   51,000     172,074
Nan Ya Plastics Corp.   393,000     825,172
Nanya Technology Corp.   94,000     188,119
Nien Made Enterprise Company, Ltd.   12,000     103,123
Novatek Microelectronics Corp.   44,000     301,271
Pegatron Corp.   150,000     322,855
Phison Electronics Corp.   12,000     110,603
Pou Chen Corp.   174,000     171,593
Powertech Technology, Inc.   58,000     187,842
President Chain Store Corp.   43,000     423,664
Quanta Computer, Inc.   205,000     478,883
Realtek Semiconductor Corp.   37,000     319,593
Ruentex Development Company, Ltd.   43,560     66,487
Ruentex Industries, Ltd.   26,000     56,638
Shin Kong Financial Holding Company, Ltd.   888,988     247,568
SinoPac Financial Holdings Company, Ltd.   810,601     319,551
Standard Foods Corp.   31,600     66,871
Synnex Technology International Corp.   101,000     149,541
Taishin Financial Holding Company, Ltd.   707,437     307,138
Taiwan Business Bank   386,516     136,706
Taiwan Cement Corp.   374,936     532,297
Taiwan Cooperative Financial Holding Company, Ltd.   667,680     454,893
Taiwan High Speed Rail Corp.   143,000     179,659
Taiwan Mobile Company, Ltd.   121,000     432,975
Taiwan Semiconductor Manufacturing Company, Ltd.   1,875,816     18,235,323
Tatung Company, Ltd. (A)   141,000     97,554
The Shanghai Commercial & Savings Bank, Ltd.   252,000     360,321
Uni-President Enterprises Corp.   366,000     888,371
United Microelectronics Corp.   853,000     440,287
Vanguard International Semiconductor Corp.   68,000     167,337
Walsin Technology Corp.   24,000     149,994
Win Semiconductors Corp.   26,000     224,406
Winbond Electronics Corp.   228,000     104,974
Wistron Corp.   220,040     209,783
Wiwynn Corp.   6,000     160,779
WPG Holdings, Ltd.   110,960     145,261
Yageo Corp.   19,556     242,687
Yuanta Financial Holding Company, Ltd.   762,000     413,493
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Zhen Ding Technology Holding, Ltd.   42,000   $ 167,856
          49,826,212
Thailand - 0.5%          
Advanced Info Service PCL, NVDR   75,300     455,852
Airports of Thailand PCL, NVDR   271,000     529,669
B. Grimm Power PCL, NVDR   48,100     79,878
Bangkok Bank PCL, NVDR   31,200     107,334
Bangkok Dusit Medical Services PCL, NVDR   603,400     426,816
Bangkok Expressway & Metro PCL, NVDR   484,400     150,427
Banpu PCL, NVDR   259,800     51,111
Berli Jucker PCL, NVDR   74,600     99,809
BTS Group Holdings PCL, NVDR   443,500     168,935
Bumrungrad Hospital PCL, NVDR   27,000     101,945
Central Pattana PCL, NVDR   145,700     226,789
Central Retail Corp. PCL, NVDR (A)   114,958     139,775
Charoen Pokphand Foods PCL, NVDR   249,600     247,822
CP ALL PCL, NVDR   367,300     815,736
Electricity Generating PCL, NVDR   18,700     162,587
Energy Absolute PCL, NVDR   104,300     128,116
Global Power Synergy PCL, NVDR   44,200     105,006
Gulf Energy Development PCL, NVDR   168,200     199,752
Home Product Center PCL, NVDR   370,400     173,141
Indorama Ventures PCL, NVDR   108,000     97,115
Intouch Holdings PCL, NVDR   142,500     241,407
IRPC PCL, NVDR   658,700     56,121
Kasikornbank PCL, NVDR   114,400     346,888
Krung Thai Bank PCL, NVDR   233,800     76,667
Land & Houses PCL, NVDR   537,200     123,655
Minor International PCL, NVDR (A)   176,400     103,295
Muangthai Capital PCL, NVDR   39,400     69,330
Osotspa PCL, NVDR   46,700     62,596
PTT Exploration & Production PCL, NVDR   88,400     234,558
PTT Global Chemical PCL, NVDR   144,400     195,759
PTT PCL, NVDR   724,100     810,300
Ratch Group PCL, NVDR   46,200     101,754
Srisawad Corp. PCL, NVDR (A)   46,600     83,756
Thai Oil PCL, NVDR   68,300     92,769
Thai Union Group PCL, NVDR   212,300     91,536
The Siam Cement PCL, NVDR   49,700     536,965
The Siam Commercial Bank PCL, NVDR   55,600     129,875
TMB Bank PCL, NVDR   1,525,200     55,378
Total Access Communication PCL, NVDR   44,500     62,061
True Corp. PCL, NVDR   712,100     82,677
          8,024,962
Turkey - 0.1%          
Akbank T.A.S. (A)   112,011     93,746
Anadolu Efes Biracilik Ve Malt Sanayii AS (A)   8,650     23,515
Arcelik AS (A)   7,510     17,384
Aselsan Elektronik Sanayi Ve Ticaret AS   14,271     63,199
BIM Birlesik Magazalar AS   16,378     156,165
Eregli Demir ve Celik Fabrikalari TAS   55,218     65,110
Ford Otomotiv Sanayi AS   2,532     22,999
Haci Omer Sabanci Holding AS   38,565     46,891
KOC Holding AS   30,037     71,018
TAV Havalimanlari Holding AS   7,583     22,634
Tupras Turkiye Petrol Rafinerileri AS (A)   4,806     60,453
Turk Hava Yollari AO (A)   23,894     43,950
 
  45  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Turkey (continued)          
Turkcell Iletisim Hizmetleri AS   44,587   $ 92,640
Turkiye Garanti Bankasi AS (A)   93,232     106,920
Turkiye Is Bankasi AS, Class C (A)   74,265     54,082
          940,706
United Arab Emirates - 0.0%          
NMC Health PLC   5,577     2,013
United Kingdom - 6.3%          
3i Group PLC   55,077     563,626
Admiral Group PLC   11,033     318,681
Anglo American PLC   56,621     1,198,607
Ashtead Group PLC   25,337     756,617
Associated British Foods PLC   19,727     446,184
AstraZeneca PLC   71,675     7,719,351
Auto Trader Group PLC (C)   52,082     362,011
AVEVA Group PLC   3,551     180,418
Aviva PLC   274,042     845,289
BAE Systems PLC   176,310     1,088,151
Barclays PLC   940,557     1,344,567
Barratt Developments PLC   56,874     351,799
BP PLC   1,108,031     4,237,028
British American Tobacco PLC   125,506     4,977,602
BT Group PLC   461,472     664,390
Bunzl PLC   18,323     428,822
Burberry Group PLC   22,577     421,588
Centrica PLC   312,619     141,828
CNH Industrial NV (A)   63,724     388,905
Coca-Cola European Partners PLC   23,237     876,035
Compass Group PLC   86,866     1,273,398
Croda International PLC   7,082     455,631
Diageo PLC   128,394     4,479,634
Direct Line Insurance Group PLC   84,944     278,247
easyJet PLC   9,184     78,035
Ferguson PLC   12,456     982,377
Fiat Chrysler Automobiles NV (A)   69,645     621,617
G4S PLC   87,043     97,433
GlaxoSmithKline PLC   272,633     5,646,952
Halma PLC   20,976     608,718
Hargreaves Lansdown PLC   18,697     426,042
HSBC Holdings PLC   1,110,560     5,114,471
Imperial Brands PLC   51,970     947,939
Informa PLC   68,352     391,553
InterContinental Hotels Group PLC   9,544     458,053
Intertek Group PLC   8,848     605,534
ITV PLC   200,336     199,771
J Sainsbury PLC   98,387     235,915
JD Sports Fashion PLC   24,061     197,261
Johnson Matthey PLC   10,796     284,650
Kingfisher PLC   117,905     286,153
Land Securities Group PLC   38,304     288,049
Legal & General Group PLC   351,843     868,674
Lloyds Banking Group PLC   3,848,251     1,419,243
London Stock Exchange Group PLC   17,279     1,723,452
M&G PLC   142,802     248,533
Marks & Spencer Group PLC   107,825     130,920
Meggitt PLC   45,478     157,199
Melrose Industries PLC   267,174     385,173
Micro Focus International PLC   18,741     92,321
Mondi PLC   27,083     509,574
National Grid PLC   190,258     2,189,017
Next PLC   7,291     440,930
Ocado Group PLC (A)   24,775     673,813
Pearson PLC   43,094     246,455
Persimmon PLC   17,643     503,246
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
Prudential PLC   145,624   $ 1,888,635
Reckitt Benckiser Group PLC   38,782     3,473,556
RELX PLC   105,926     2,465,471
Rentokil Initial PLC   101,499     627,724
Rio Tinto PLC   61,553     3,338,278
Rio Tinto, Ltd.   29,841     1,863,848
Rolls-Royce Holdings PLC (A)   95,183     324,426
RSA Insurance Group PLC   66,989     328,066
Schroders PLC   7,464     274,645
Segro PLC   59,850     621,931
Severn Trent PLC   12,947     392,040
Smith & Nephew PLC   47,868     976,577
Smiths Group PLC   21,726     354,234
Spirax-Sarco Engineering PLC   4,031     494,729
SSE PLC   56,626     870,345
St. James's Place PLC   32,210     367,398
Standard Chartered PLC   147,980     675,085
Standard Life Aberdeen PLC   137,684     442,171
Taylor Wimpey PLC   183,116     328,010
Tesco PLC   537,304     1,525,672
The Berkeley Group Holdings PLC   6,638     338,150
The British Land Company PLC   48,036     243,468
The Royal Bank of Scotland Group PLC   272,383     372,584
The Sage Group PLC   59,488     510,117
The Weir Group PLC   14,252     172,031
Unilever NV   148,819     7,690,658
Unilever PLC   60,737     3,261,175
United Utilities Group PLC   37,187     423,345
Vodafone Group PLC   1,467,571     2,413,410
Whitbread PLC   7,354     230,646
Wm Morrison Supermarkets PLC   134,782     312,700
WPP PLC   70,017     532,860
          98,991,467
United States - 0.3%          
Barrick Gold Corp. (A)   186,614     4,487,627
Bausch Health Companies, Inc. (A)   33,860     623,662
Carnival PLC   9,396     124,087
International Flavors & Fragrances, Inc.   1     120
Nexteer Automotive Group, Ltd.   72,873     40,017
Ovintiv, Inc.   27,681     208,686
          5,484,199
TOTAL COMMON STOCKS (Cost $1,473,896,737)   $ 1,428,662,895
PREFERRED SECURITIES - 1.0%      
Brazil - 0.3%          
Banco Bradesco SA   276,493     981,868
Braskem SA, A Shares   11,700     60,821
Centrais Eletricas Brasileiras SA, B Shares   16,000     92,049
Cia Energetica de Minas Gerais   57,100     115,563
Gerdau SA   68,100     171,389
Itau Unibanco Holding SA   300,400     1,297,007
Itausa - Investimentos Itau SA   272,460     452,373
Lojas Americanas SA   46,600     246,697
Petroleo Brasileiro SA   262,400     1,000,172
Telefonica Brasil SA   27,800     245,581
          4,663,520
Chile - 0.0%          
Embotelladora Andina SA, B Shares   33,391     80,140
Sociedad Quimica y Minera de Chile SA, B Shares   10,688     262,379
          342,519
 
  46  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
PREFERRED SECURITIES (continued)      
Colombia - 0.0%          
Bancolombia SA   41,190   $ 271,655
Grupo Aval Acciones y Valores SA   362,282     81,683
          353,338
Germany - 0.4%          
Bayerische Motoren Werke AG   4,957     228,892
FUCHS PETROLUB SE   6,054     242,359
Henkel AG & Company KGaA   15,888     1,420,933
Porsche Automobil Holding SE   13,956     767,245
Sartorius AG   3,168     1,181,000
Volkswagen AG   16,694     2,471,884
          6,312,313
South Korea - 0.3%          
Amorepacific Corp.   1,102     51,540
Hyundai Motor Company   2,902     132,474
Hyundai Motor Company, 2nd Preferred   4,491     219,189
LG Chem, Ltd.   962     138,095
LG Household & Health Care, Ltd.   252     145,983
Samsung Electronics Company, Ltd.   100,953     3,514,809
          4,202,090
TOTAL PREFERRED SECURITIES (Cost $18,003,084)   $ 15,873,780
EXCHANGE-TRADED FUNDS - 3.7%      
iShares MSCI India ETF (B)   1,225,571     33,690,947
KraneShares Bosera MSCI China A ETF   469,149     14,501,396
VanEck Vectors Russia ETF   231,776     4,779,221
Xtrackers Harvest CSI 300 China A-Shares ETF (B)   177,505     4,833,461
TOTAL EXCHANGE-TRADED FUNDS (Cost $58,266,292)   $ 57,805,025
RIGHTS - 0.0%          
Whitbread PLC (Expiration Date: 6-10-20; Strike Price: GBP 15.00) (A)   3,677     45,502
TOTAL RIGHTS (Cost $65,950)   $ 45,502
WARRANTS - 0.0%          
BTS Group Holdings PCL (Expiration Date: 2-16-21; Strike Price: THB 14.00) (A)   33,620     1,416
BTS Group Holdings PCL (Expiration Date: 2-16-21; Strike Price: THB 14.00) (A)   1,820     77
Minor International PCL (Expiration Date: 10-1-21; Strike Price: THB 48.00) (A)   1,000     54
TOTAL WARRANTS (Cost $0)   $ 1,547
SHORT-TERM INVESTMENTS - 7.6%      
U.S. Government Agency - 3.2%          
Federal Home Loan Bank Discount Note          
0.030%, 09/01/2020 * $ 12,700,000   $ 12,694,807
0.040%, 07/27/2020 *   2,000,000     1,999,596
0.080%, 07/24/2020 *   2,000,000     1,999,617
0.095%, 07/14/2020 *   4,400,000     4,399,317
0.100%, 07/23/2020 *   1,500,000     1,499,718
0.115%, 08/07/2020 *   2,000,000     1,999,442
0.120%, 08/17/2020 *   14,900,000     14,895,220
0.122%, 08/14/2020 *   4,000,000     3,998,767
0.130%, 07/28/2020 *   1,200,000     1,199,753
0.145%, 08/28/2020 *   2,000,000     1,999,267
International Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS (continued)      
U.S. Government Agency (continued)          
Federal National Mortgage Association Discount Note
0.105%, 07/29/2020 *
$ 3,000,000   $ 2,999,372
          49,684,876
Short-term funds - 4.4%          
John Hancock Collateral Trust, 0.3653% (E)(F)   6,959,586     69,677,291
TOTAL SHORT-TERM INVESTMENTS (Cost $119,301,156)   $ 119,362,167
Total Investments (International Strategic Equity Allocation Fund)
(Cost $1,669,533,219) - 103.4%
  $ 1,621,750,916
Other assets and liabilities, net - (3.4%)     (53,082,182)
TOTAL NET ASSETS - 100.0%   $ 1,568,668,734
Currency Abbreviations
GBP Pound Sterling
THB Thai Bhat
Security Abbreviations and Legend
ADR American Depositary Receipt
NVDR Non-Voting Depositary Receipt
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $66,271,139.
(C) 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.
(D) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(E) The rate shown is the annualized seven-day yield as of 5-31-20.
(F) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
* 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.
 
  47  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Strategic Equity Allocation Fund (continued)
    
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Canadian Dollar Currency Futures 76 Long Jun 2020 $5,413,992 $5,518,360 $104,368
Mini MSCI EAFE Index Futures 536 Long Jun 2020 39,611,353 46,216,600 6,605,247
Mini MSCI Emerging Markets Index Futures 377 Long Jun 2020 16,011,126 17,564,430 1,553,304
S&P/TSX 60 Index Futures 37 Long Jun 2020 4,125,256 4,874,750 749,494
            $9,012,413
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
International Value Fund
    Shares or
Principal
Amount
  Value
COMMON STOCKS - 96.4%      
Australia - 0.5%          
Orica, Ltd.   92,076   $ 1,057,443
Bermuda - 1.1%          
Everest Re Group, Ltd.   11,139     2,210,089
Canada - 3.5%          
Barrick Gold Corp.   137,592     3,308,764
Yamana Gold, Inc.   759,939     4,073,273
          7,382,037
China - 0.4%          
Topsports International Holdings, Ltd. (A)   607,000     868,312
Czech Republic - 0.3%          
Avast PLC (A)   100,482     626,856
Denmark - 1.5%          
Novo Nordisk A/S, B Shares   49,283     3,228,267
Finland - 1.6%          
Sampo OYJ, A Shares   93,503     3,359,610
France - 13.5%          
AXA SA   154,240     2,830,137
BNP Paribas SA (B)   91,056     3,276,689
Capgemini SE   42,993     4,440,946
Danone SA   22,736     1,564,248
Eiffage SA (B)   35,727     3,261,351
Peugeot SA (B)(C)   84,252     1,209,472
Rexel SA   76,995     784,978
Sanofi   40,431     3,954,752
TOTAL SA   112,686     4,273,144
Vinci SA   27,427     2,558,808
          28,154,525
Germany - 6.2%          
Allianz SE   19,663     3,563,647
Bayer AG   21,866     1,494,751
Brenntag AG   33,483     1,781,411
Rheinmetall AG   18,615     1,516,106
SAP SE   10,410     1,328,549
Siemens AG   30,442     3,356,376
          13,040,840
Greece - 0.8%          
Hellenic Telecommunications Organization SA   116,308     1,628,423
Hong Kong - 1.5%          
China Overseas Land & Investment, Ltd.   399,000     1,223,645
CK Asset Holdings, Ltd.   181,000     994,153
WH Group, Ltd. (A)   1,077,000     936,931
          3,154,729
Hungary - 0.8%          
OTP Bank NYRT (B)   50,695     1,704,106
International Value Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India - 0.6%          
HDFC Bank, Ltd., ADR   28,631   $ 1,197,635
Indonesia - 0.9%          
Bank Rakyat Indonesia Persero Tbk PT   9,414,000     1,906,191
Ireland - 1.3%          
CRH PLC   83,502     2,722,424
Italy - 1.6%          
Enel SpA   253,494     1,959,947
Leonardo SpA   237,983     1,494,019
          3,453,966
Japan - 22.3%          
Bandai Namco Holdings, Inc.   27,200     1,512,231
Fuji Corp.   84,400     1,566,315
Hitachi Construction Machinery Company, Ltd.   38,300     1,010,314
Hitachi, Ltd.   162,900     5,261,544
Kamigumi Company, Ltd.   48,100     942,690
KDDI Corp.   125,100     3,651,569
Kinden Corp.   65,200     1,092,280
Koito Manufacturing Company, Ltd.   31,800     1,352,574
Kurita Water Industries, Ltd.   36,300     1,005,065
NEC Corp.   55,000     2,472,925
Nintendo Company, Ltd.   2,400     975,789
Nippon Telegraph & Telephone Corp.   96,800     2,203,283
Persol Holdings Company, Ltd.   76,800     1,014,976
Rengo Company, Ltd.   104,600     826,481
Ricoh Company, Ltd.   108,000     800,513
Sankyu, Inc.   36,900     1,506,203
Sanwa Holdings Corp.   260,600     2,239,261
Seven & i Holdings Company, Ltd.   45,100     1,546,980
SoftBank Group Corp.   18,300     835,867
Sony Corp.   70,300     4,553,041
Sumitomo Mitsui Financial Group, Inc.   73,500     2,133,141
Taiheiyo Cement Corp.   65,700     1,557,222
Taisei Corp.   46,900     1,629,198
Taiyo Yuden Company, Ltd.   55,300     1,548,242
TS Tech Company, Ltd.   38,700     1,094,802
Zenkoku Hosho Company, Ltd.   58,100     2,244,441
          46,576,947
Macau - 0.5%          
Wynn Macau, Ltd.   579,600     992,730
Netherlands - 4.7%          
ING Groep NV   368,599     2,396,485
Koninklijke Ahold Delhaize NV   113,465     2,876,783
Koninklijke KPN NV   636,209     1,555,130
NXP Semiconductors NV   12,601     1,210,956
Royal Dutch Shell PLC, A Shares   108,847     1,722,829
          9,762,183
 
  48  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

International Value Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Norway - 0.9%          
DNB ASA   140,267   $ 1,914,343
Singapore - 1.0%          
DBS Group Holdings, Ltd.   72,100     997,467
United Overseas Bank, Ltd.   72,400     1,002,775
          2,000,242
South Korea - 4.7%          
GS Retail Company, Ltd.   22,789     785,346
Hana Financial Group, Inc.   84,799     2,048,888
KB Financial Group, Inc.   65,586     1,789,914
KT Corp., ADR (C)   208,059     2,026,495
Samsung Electronics Company, Ltd.   75,711     3,118,239
          9,768,882
Spain - 1.2%          
Amadeus IT Group SA   24,161     1,263,413
Applus Services SA   156,718     1,241,142
          2,504,555
Sweden - 1.3%          
Husqvarna AB, B Shares   231,515     1,716,857
Loomis AB, B Shares (B)   36,617     925,859
          2,642,716
Switzerland - 8.3%          
Glencore PLC (B)   816,199     1,541,430
Novartis AG   71,862     6,256,016
Roche Holding AG   13,540     4,700,029
SIG Combibloc Group AG (B)   47,651     801,960
STMicroelectronics NV   52,112     1,294,199
UBS Group AG   267,405     2,862,736
          17,456,370
Taiwan - 0.3%          
Simplo Technology Company, Ltd.   67,000     717,816
United Kingdom - 14.3%          
Aviva PLC   510,917     1,575,936
BAE Systems PLC   408,501     2,521,188
BP PLC   560,053     2,141,601
Coca-Cola European Partners PLC   44,283     1,669,469
Direct Line Insurance Group PLC   599,815     1,964,786
GlaxoSmithKline PLC   100,029     2,071,866
Howden Joinery Group PLC   112,374     824,269
Imperial Brands PLC   126,855     2,313,849
Inchcape PLC   130,234     809,684
Next PLC   16,840     1,018,415
Nomad Foods, Ltd. (B)   147,180     3,117,272
Persimmon PLC   71,551     2,040,909
Redrow PLC   227,059     1,321,388
Smith & Nephew PLC   38,976     795,167
Tesco PLC   1,062,074     3,015,753
Unilever PLC   48,645     2,611,915
          29,813,467
United States - 0.8%          
Applied Materials, Inc.   29,854     1,677,196
TOTAL COMMON STOCKS (Cost $211,643,172)   $ 201,522,900
International Value Fund (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS - 4.6%      
Short-term funds - 4.6%          
Fidelity Institutional Money Market Government Portfolio, Institutional Class, 0.0829% (D)   4,741,026   $ 4,741,026
John Hancock Collateral Trust, 0.3653% (D)(E)   476,672     4,772,300
TOTAL SHORT-TERM INVESTMENTS (Cost $9,513,337)   $ 9,513,326
Total Investments (International Value Fund)
(Cost $221,156,509) - 101.0%
  $ 211,036,226
Other assets and liabilities, net - (1.0%)     (2,046,974)
TOTAL NET ASSETS - 100.0%   $ 208,989,252
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) 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.
(B) Non-income producing security.
(C) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $181,577. The fund had pending $4,366,753 market value of securities on loan that settled subsequent to period end.
(D) The rate shown is the annualized seven-day yield as of 5-31-20.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Mid Cap Stock Fund
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 89.3%      
Communication services – 5.5%          
Entertainment – 4.9%      
Live Nation Entertainment, Inc. (A)(B)   75,772   $ 3,724,952
Roku, Inc. (A)(B)   147,744     16,179,445
Spotify Technology SA (A)   344,152     62,267,421
          82,171,818
Interactive media and services – 0.6%      
Match Group, Inc. (A)(B)   124,257     11,063,843
          93,235,661
Consumer discretionary – 17.0%          
Automobiles – 0.6%      
Thor Industries, Inc. (B)   112,363     9,685,691
Diversified consumer services – 1.9%      
Chegg, Inc. (A)(B)   529,412     32,336,485
Hotels, restaurants and leisure – 5.4%      
Aramark (B)   856,948     22,186,384
DraftKings, Inc. (A)(C)   819,041     30,554,073
Planet Fitness, Inc., Class A (A)(B)   365,432     23,617,870
Vail Resorts, Inc.   71,170     14,115,146
          90,473,473
Household durables – 1.0%      
Lennar Corp., A Shares   292,021     17,655,590
Leisure products – 2.1%      
Peloton Interactive, Inc., Class A (A)(B)   594,663     25,088,832
Polaris, Inc.   120,600     10,533,204
          35,622,036
Specialty retail – 6.0%      
Burlington Stores, Inc. (A)(B)   233,730     49,006,169
Five Below, Inc. (A)(B)   280,669     29,372,011
 
  49  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Mid Cap Stock Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
Floor & Decor Holdings, Inc., Class A (A)   416,146   $ 21,639,592
JAND, Inc., Class A (A)(C)(D)   57,523     1,121,302
          101,139,074
          286,912,349
Consumer staples – 4.3%          
Beverages – 4.3%      
Monster Beverage Corp. (A)(B)   598,112     43,010,234
The Boston Beer Company, Inc., Class A (A)(B)   52,702     29,762,400
          72,772,634
Financials – 1.1%          
Capital markets – 1.1%      
The Blackstone Group, Inc., Class A   321,754     18,275,627
Health care – 22.6%          
Biotechnology – 6.6%      
Apellis Pharmaceuticals, Inc. (A)   202,618     6,826,200
Argenx SE, ADR (A)(B)   53,848     11,808,866
Ascendis Pharma A/S, ADR (A)   51,994     7,564,607
Exact Sciences Corp. (A)(B)   503,930     43,277,508
Galapagos NV (A)   98,418     19,965,913
Galapagos NV, ADR (A)(B)   9,593     1,945,269
Kodiak Sciences, Inc. (A)(B)   67,479     4,359,818
Seattle Genetics, Inc. (A)   100,300     15,768,163
          111,516,344
Health care equipment and supplies – 11.0%      
ABIOMED, Inc. (A)(B)   160,817     36,006,926
DexCom, Inc. (A)(B)   134,709     50,961,762
Insulet Corp. (A)(B)   247,367     46,645,995
Novocure, Ltd. (A)   100,345     6,766,263
Tandem Diabetes Care, Inc. (A)   541,096     44,992,132
          185,373,078
Health care technology – 2.6%      
Livongo Health, Inc. (A)(B)   345,513     20,706,594
Veeva Systems, Inc., Class A (A)   105,760     23,147,691
          43,854,285
Life sciences tools and services – 1.0%      
Agilent Technologies, Inc.   197,260     17,386,496
Pharmaceuticals – 1.4%      
Elanco Animal Health, Inc. (A)   826,975     17,705,535
Reata Pharmaceuticals, Inc., Class A (A)(B)   40,829     5,933,270
          23,638,805
          381,769,008
Industrials – 6.5%          
Building products – 1.9%      
Trane Technologies PLC   361,531     32,613,712
Commercial services and supplies – 1.5%      
Copart, Inc. (A)   287,973     25,741,906
Professional services – 3.1%      
CoStar Group, Inc. (A)   78,350     51,460,280
          109,815,898
Information technology – 32.3%          
IT services – 7.1%      
GoDaddy, Inc., Class A (A)   424,071     32,759,485
Leidos Holdings, Inc.   221,997     23,374,064
Square, Inc., Class A (A)   793,790     64,360,493
          120,494,042
Mid Cap Stock Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment – 5.9%      
Advanced Micro Devices, Inc. (A)   1,294,668   $ 69,653,142
Marvell Technology Group, Ltd.   890,927     29,062,039
          98,715,181
Software – 19.3%      
2U, Inc. (A)(B)   501,554     18,291,674
Alteryx, Inc., Class A (A)(B)   131,261     18,893,708
Fair Isaac Corp. (A)   67,115     27,023,855
Guidewire Software, Inc. (A)(B)   461,669     47,358,006
Paycom Software, Inc. (A)   10,100     3,002,023
RingCentral, Inc., Class A (A)   49,282     13,515,589
Slack Technologies, Inc., Class A (A)(B)   1,270,909     44,545,360
Splunk, Inc. (A)   411,367     76,448,443
The Trade Desk, Inc., Class A (A)(B)   30,329     9,449,303
Workday, Inc., Class A (A)   278,604     51,104,332
Zoom Video Communications, Inc., Class A (A)(B)   94,668     16,991,013
          326,623,306
          545,832,529
TOTAL COMMON STOCKS (Cost $1,037,792,634)   $ 1,508,613,706
PREFERRED SECURITIES – 2.4%          
Consumer discretionary – 1.1%          
Diversified consumer services – 0.3%      
The Honest Company, Inc., Series C (A)(C)(D)   142,030     4,611,714
The Honest Company, Inc., Series D (A)(C)(D)   12,795     491,072
          5,102,786
Internet and direct marketing retail – 0.6%      
Coupang LLC (A)(C)(D)   1,381,449     10,830,560
One Kings Lane, Inc. (A)(D)   529,764     84,762
          10,915,322
Specialty retail – 0.2%      
JAND, Inc., Series D (A)(C)(D)   128,449     2,503,869
          18,521,977
Information technology – 1.1%          
Software – 1.1%      
Essence Group Holdings Corp. (A)(C)(D)   2,958,957     9,587,021
Lookout, Inc., Series F (A)(C)(D)   392,767     2,769,007
MarkLogic Corp., Series F (A)(C)(D)   580,011     6,414,922
          18,770,950
Real estate – 0.2%          
Real estate management and development – 0.2%      
The We Company, Inc., Series D1 (A)(C)(D)   184,328     1,292,139
The We Company, Inc., Series D2 (A)(C)(D)   161,782     1,134,092
          2,426,231
TOTAL PREFERRED SECURITIES (Cost $32,776,728)   $ 39,719,158
EXCHANGE-TRADED FUNDS – 4.5%      
iShares Russell Mid-Cap Growth ETF (B)   496,935     76,836,090
TOTAL EXCHANGE-TRADED FUNDS (Cost $60,926,089)   $ 76,836,090
WARRANTS – 0.0%          
DraftKings, Inc. (Expiration Date: 4-25-23) (A)(C)(E)   4,973     129,874
TOTAL WARRANTS (Cost $13,933)   $ 129,874
 
  50  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Mid Cap Stock Fund (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 14.3%      
Short-term funds – 11.7%          
John Hancock Collateral Trust, 0.3653% (F)(G)   19,614,588   $ 196,375,375
Repurchase agreement – 2.6%          
Societe Generale SA Tri-Party Repurchase Agreement dated 5-29-20 at 0.050% to be repurchased at $44,200,184 on 6-1-20, collateralized by $3,033,481 Federal Home Loan Mortgage Corp., 4.000% - 5.950% due 7-15-20 to 7-1-47 (valued at $3,338,892), $2,409,150 Federal National Mortgage Association, 2.234% - 4.500% due 11-1-26 to 2-1-57 (valued at $2,681,019), $106 Government National Mortgage Association, 3.125% due 12-20-26 (valued at $107), $100 U.S. Treasury Bills, 0.000% due 3-25-21 (valued at $100), $18,662,500 U.S. Treasury Bonds, 5.000% - 8.125% due 5-15-21 to 5-15-37 (valued at $30,459,483) and $7,979,300 U.S. Treasury Notes, 1.500% - 2.375% due 3-31-22 to 4-30-26 (valued at $8,604,399) $ 44,200,000     44,200,000
TOTAL SHORT-TERM INVESTMENTS (Cost $240,454,618)   $ 240,575,375
Total Investments (Mid Cap Stock Fund)
(Cost $1,371,964,002) – 110.5%
  $ 1,865,874,203
Other assets and liabilities, net – (10.5%)     (176,562,881)
TOTAL NET ASSETS – 100.0%   $ 1,689,311,322
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $187,451,295.
(C) Restricted security as to resale, excluding 144A securities. For more information on this security refer to the Notes to Portfolio of Investments.
(D) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(E) Strike price and/or expiration date not available.
(F) The rate shown is the annualized seven-day yield as of 5-31-20.
(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.
Mid Value Fund
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.5%      
Communication services – 5.2%          
Media – 4.8%      
AMC Networks, Inc., Class A (A)(B)   116,475   $ 3,292,748
DISH Network Corp., Class A (A)   193,851     6,135,384
Fox Corp., Class A   133,058     3,881,302
News Corp., Class A   2,098,148     25,702,313
Scholastic Corp.   164,789     4,844,797
ViacomCBS, Inc., Class B (B)   613,768     12,729,548
          56,586,092
Wireless telecommunication services – 0.4%      
Telephone & Data Systems, Inc.   226,025     4,631,252
          61,217,344
Mid Value Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer discretionary – 3.1%          
Diversified consumer services – 1.5%      
Strategic Education, Inc.   100,795   $ 17,097,856
Hotels, restaurants and leisure – 0.4%      
Compass Group PLC   303,839     4,454,094
Multiline retail – 0.4%      
Nordstrom, Inc. (B)   260,183     4,196,752
Specialty retail – 0.1%      
Tiffany & Company   14,181     1,817,012
Textiles, apparel and luxury goods – 0.7%      
Ralph Lauren Corp.   111,671     8,432,277
          35,997,991
Consumer staples – 9.3%          
Beverages – 1.0%      
Carlsberg A/S, Class B   69,582     9,018,757
Molson Coors Beverage Company, Class B   48,757     1,850,816
          10,869,573
Food and staples retailing – 1.8%      
Sysco Corp. (B)   310,803     17,143,893
The Kroger Company   130,351     4,252,050
          21,395,943
Food products – 6.5%      
Archer-Daniels-Midland Company (B)   114,307     4,493,408
Bunge, Ltd.   738,226     28,805,579
Campbell Soup Company (B)   121,702     6,204,368
Flowers Foods, Inc.   1,180,482     27,847,570
The Kraft Heinz Company   294,361     8,969,180
          76,320,105
          108,585,621
Energy – 11.9%          
Energy equipment and services – 1.3%      
Frank's International NV (A)   1,516,406     3,411,914
Schlumberger, Ltd.   382,498     7,064,738
SEACOR Holdings, Inc. (A)   107,248     2,874,246
SEACOR Marine Holdings, Inc. (A)(B)   195,011     302,267
Tidewater, Inc. (A)(B)   480,379     2,291,408
          15,944,573
Oil, gas and consumable fuels – 10.6%      
Apache Corp. (B)   173,743     1,874,687
Cameco Corp.   1,383,853     15,042,482
Canadian Natural Resources, Ltd. (B)   779,360     14,106,416
EQT Corp. (B)   2,064,469     27,540,016
Equinor ASA   325,608     4,748,548
Equitrans Midstream Corp. (B)   969,660     7,844,549
Hess Corp.   261,308     12,404,291
Imperial Oil, Ltd. (B)   1,552,225     24,245,755
NAC Kazatomprom JSC, GDR   335,343     4,906,035
NAC Kazatomprom JSC, GDR (London Stock Exchange)   21,217     310,403
Ovintiv, Inc. (B)   1,150,382     8,846,438
Peabody Energy Corp. (B)   631,797     1,990,161
          123,859,781
          139,804,354
Financials – 16.7%          
Banks – 2.7%      
Fifth Third Bancorp   852,992     16,539,515
Popular, Inc.   52,741     2,082,742
Westamerica Bancorporation   226,565     13,362,804
          31,985,061
 
  51  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Mid Value Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets – 5.6%      
Lazard, Ltd., Class A   571,354   $ 15,346,568
Northern Trust Corp.   230,868     18,240,881
State Street Corp.   421,502     25,694,762
TD Ameritrade Holding Corp.   149,297     5,564,299
The Bank of New York Mellon Corp.   33,504     1,245,344
          66,091,854
Consumer finance – 0.6%      
Ally Financial, Inc. (B)   305,448     5,327,013
Synchrony Financial   85,225     1,736,033
          7,063,046
Diversified financial services – 1.1%      
Groupe Bruxelles Lambert SA   29,015     2,354,918
Pargesa Holding SA, Bearer Shares   140,235     10,650,125
          13,005,043
Insurance – 6.0%      
Brighthouse Financial, Inc. (A)   286,521     8,512,539
Brown & Brown, Inc.   368,443     14,811,409
CNA Financial Corp.   387,702     11,720,231
Kemper Corp.   140,297     8,894,830
Loews Corp.   507,226     16,860,192
Marsh & McLennan Companies, Inc.   84,655     8,966,658
          69,765,859
Thrifts and mortgage finance – 0.7%      
Capitol Federal Financial, Inc.   713,686     8,367,968
          196,278,831
Health care – 17.3%          
Biotechnology – 1.3%      
Alkermes PLC (A)   502,911     8,227,624
Incyte Corp. (A)   69,899     7,123,407
          15,351,031
Health care equipment and supplies – 6.7%      
Alcon, Inc. (A)   50,555     3,272,716
Baxter International, Inc.   155,531     13,999,345
Dentsply Sirona, Inc.   394,213     18,338,789
Hologic, Inc. (A)   452,018     23,956,954
Zimmer Biomet Holdings, Inc.   148,069     18,707,037
          78,274,841
Health care providers and services – 6.5%      
Cardinal Health, Inc.   531,703     29,078,836
Covetrus, Inc. (A)(B)   511,083     7,809,348
Patterson Companies, Inc. (B)   1,004,037     19,769,489
Select Medical Holdings Corp. (A)   1,231,035     19,868,905
          76,526,578
Pharmaceuticals – 2.8%      
Jazz Pharmaceuticals PLC (A)   37,075     4,423,789
Perrigo Company PLC   509,360     27,897,647
          32,321,436
          202,473,886
Industrials – 9.1%          
Aerospace and defense – 1.6%      
Textron, Inc.   596,311     18,467,752
Air freight and logistics – 2.1%      
C.H. Robinson Worldwide, Inc. (B)   206,682     16,768,111
Expeditors International of Washington, Inc.   101,955     7,786,303
          24,554,414
Airlines – 0.9%      
Southwest Airlines Company   335,775     10,778,378
Commercial services and supplies – 0.5%      
Cintas Corp.   27,024     6,700,871
Mid Value Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery – 2.7%      
AGCO Corp. (B)   114,671   $ 6,333,279
CNH Industrial NV (A)(B)   595,594     3,634,885
PACCAR, Inc.   181,725     13,422,209
Wabtec Corp.   11,378     694,854
Xylem, Inc.   111,579     7,402,151
          31,487,378
Road and rail – 1.3%      
J.B. Hunt Transport Services, Inc. (B)   82,693     9,895,871
Kansas City Southern   15,364     2,312,589
Ryder System, Inc.   89,601     3,069,730
          15,278,190
          107,266,983
Information technology – 3.1%          
Electronic equipment, instruments and components – 1.1%      
National Instruments Corp.   337,659     13,074,156
IT services – 0.6%      
Cognizant Technology Solutions Corp., Class A (B)   130,229     6,902,137
Semiconductors and semiconductor equipment – 1.4%      
Applied Materials, Inc.   282,458     15,868,490
          35,844,783
Materials – 11.5%          
Chemicals – 2.4%      
Corteva, Inc.   499,387     13,638,259
PPG Industries, Inc.   60,815     6,183,061
Westlake Chemical Corp. (B)   185,133     8,830,844
          28,652,164
Construction materials – 1.0%      
Summit Materials, Inc., Class A (A)(B)   316,627     4,809,564
Vulcan Materials Company   66,110     7,161,035
          11,970,599
Metals and mining – 8.1%      
Barrick Gold Corp.   903,388     21,681,312
Cia de Minas Buenaventura SAA, ADR (B)   926,986     7,276,840
Franco-Nevada Corp.   160,588     22,540,754
Freeport-McMoRan, Inc. (B)   1,405,603     12,748,819
Fresnillo PLC   1,559,463     15,095,268
Gold Fields, Ltd., ADR   752,016     5,805,564
Newmont Corp.   97,884     5,723,277
Nucor Corp.   93,084     3,933,730
          94,805,564
          135,428,327
Real estate – 6.7%          
Equity real estate investment trusts – 6.3%      
Equity Commonwealth   260,009     8,762,303
Equity Residential   140,830     8,528,665
Federal Realty Investment Trust   26,138     2,088,688
Rayonier, Inc.   757,296     17,985,780
Regency Centers Corp.   195,552     8,367,670
Weyerhaeuser Company   1,369,328     27,646,732
          73,379,838
Real estate management and development – 0.4%      
The St. Joe Company (A)(B)   243,541     4,688,164
          78,068,002
Utilities – 4.6%          
Electric utilities – 3.5%      
FirstEnergy Corp. (B)   562,032     23,751,472
PG&E Corp. (A)   1,474,314     17,485,364
          41,236,836
 
  52  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Mid Value Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Gas utilities – 0.2%      
National Fuel Gas Company   64,274   $ 2,697,580
Multi-utilities – 0.9%      
CenterPoint Energy, Inc.   575,387     10,230,381
          54,164,797
TOTAL COMMON STOCKS (Cost $1,102,804,186)   $ 1,155,130,919
PREFERRED SECURITIES – 0.3%          
Consumer staples – 0.3%          
Food products – 0.3%      
Bunge, Ltd., 4.875%   34,849     3,206,108
TOTAL PREFERRED SECURITIES (Cost $3,872,698)   $ 3,206,108
CORPORATE BONDS - 0.1%          
Energy - 0.1%          
Weatherford International, Ltd.
11.000%, 12/01/2024 (C)
$ 1,654,000     1,116,450
TOTAL CORPORATE BONDS (Cost $1,125,516)   $ 1,116,450
SHORT-TERM INVESTMENTS – 9.5%      
Short-term funds – 9.5%          
John Hancock Collateral Trust, 0.3653% (D)(E)   9,787,175     97,986,264
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (D)   2,439,953     2,439,953
T. Rowe Price Government Reserve Fund, 0.2523% (D)   10,479,199     10,479,199
TOTAL SHORT-TERM INVESTMENTS (Cost $110,865,958)   $ 110,905,416
Total Investments (Mid Value Fund)
(Cost $1,218,668,358) – 108.4%
  $ 1,270,358,893
Other assets and liabilities, net – (8.4%)     (98,469,331)
TOTAL NET ASSETS – 100.0%   $ 1,171,889,562
Security Abbreviations and Legend
ADR American Depositary Receipt
GDR Global Depositary Receipt
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $96,518,278.
(C) 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.
(D) The rate shown is the annualized seven-day yield as of 5-31-20.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Multi-Index Lifestyle Aggressive Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 66.8%      
Equity - 66.8%      
Strategic Equity Allocation, Class NAV, JHF II (MIM US) (B) 20,946,735   $ 228,109,939
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $251,850,230)   $ 228,109,939
UNAFFILIATED INVESTMENT COMPANIES - 33.2%      
Exchange-traded funds - 33.2%      
Financial Select Sector SPDR Fund 212,349     4,971,090
iShares Edge MSCI Min Vol USA ETF 238,535     14,698,527
Multi-Index Lifestyle Aggressive Portfolio (continued)
    Shares or
Principal
Amount
  Value
UNAFFILIATED INVESTMENT COMPANIES (continued)      
Exchange-traded funds (continued)      
iShares Global Infrastructure ETF 22,607   $ 882,803
Schwab U.S. Large-Cap Growth ETF 60,099     5,878,884
Vanguard Dividend Appreciation ETF 90,628     10,666,009
Vanguard Energy ETF 63,806     3,277,714
Vanguard FTSE All World ex-US Small-Cap ETF 37,070     3,444,174
Vanguard FTSE Developed Markets ETF 12,375     466,166
Vanguard FTSE Emerging Markets ETF 340,895     12,735,837
Vanguard Global ex-U.S. Real Estate ETF 17,968     821,677
Vanguard Health Care ETF 30,629     6,022,274
Vanguard Information Technology ETF 18,296     4,775,805
Vanguard Materials ETF 14,901     1,773,219
Vanguard Mid-Cap ETF 154,850     24,980,402
Vanguard Real Estate ETF 31,678     2,452,828
Vanguard S&P 500 ETF 10,106     2,827,154
Vanguard Small-Cap ETF 90,495     12,882,868
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $103,672,984)   $ 113,557,431
SHORT-TERM INVESTMENTS - 0.0%      
Short-term funds - 0.0%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (C) 151,877     151,877
TOTAL SHORT-TERM INVESTMENTS (Cost $151,877)   $ 151,877
Total Investments (Multi-Index Lifestyle Aggressive Portfolio) (Cost $355,675,091) - 100.0%     $ 341,819,247
Other assets and liabilities, net - 0.0%       20,530
TOTAL NET ASSETS - 100.0%       $ 341,839,777
Security Abbreviations and Legend
JHF II John Hancock Funds II
MIM US Manulife Investment Management (US) LLC
(A) The underlying funds' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
(C) The rate shown is the annualized seven-day yield as of 5-31-20.
Multi-Index Lifestyle Balanced Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 39.2%      
Equity - 39.2%      
Strategic Equity Allocation, Class NAV, JHF II (MIM US) (B) 31,544,684   $ 343,521,612
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $371,028,578)   $ 343,521,612
UNAFFILIATED INVESTMENT COMPANIES - 60.8%      
Exchange-traded funds - 57.7%      
Financial Select Sector SPDR Fund (C) 354,166     8,291,026
Invesco Senior Loan ETF (C) 841,841     17,981,724
iShares Edge MSCI Min Vol USA ETF (C) 693,037     42,704,940
iShares Global Infrastructure ETF (C) 40,763     1,591,795
iShares JP Morgan USD Emerging Markets Bond ETF (C) 269,081     28,630,218
iShares Preferred & Income Securities ETF (C) 123,346     4,334,378
Schwab U.S. Large-Cap Growth ETF (C) 91,658     8,965,986
VanEck Vectors J.P. Morgan EM Local Currency Bond ETF (C) 134,235     4,138,465
Vanguard Dividend Appreciation ETF 247,008     29,070,372
Vanguard Energy ETF (C) 113,682     5,839,844
 
  53  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Multi-Index Lifestyle Balanced Portfolio (continued)
    Shares or
Principal
Amount
  Value
UNAFFILIATED INVESTMENT COMPANIES (continued)      
Exchange-traded funds (continued)      
Vanguard FTSE All World ex-US Small-Cap ETF (C) 22,942   $ 2,131,541
Vanguard FTSE Developed Markets ETF 69,775     2,628,424
Vanguard FTSE Emerging Markets ETF (C) 313,812     11,724,016
Vanguard Global ex-U.S. Real Estate ETF 33,311     1,523,312
Vanguard Health Care ETF (C) 49,727     9,777,323
Vanguard Information Technology ETF (C) 28,301     7,387,410
Vanguard Intermediate-Term Corporate Bond ETF (C) 1,052,200     98,454,354
Vanguard Materials ETF 27,412     3,262,028
Vanguard Mid-Cap ETF 208,270     33,598,116
Vanguard Real Estate ETF (C) 56,691     4,389,584
Vanguard S&P 500 ETF (C) 14,784     4,135,824
Vanguard Short-Term Bond ETF 112,946     9,375,647
Vanguard Short-Term Corporate Bond ETF 146,679     12,040,879
Vanguard Small-Cap ETF (C) 119,015     16,942,977
Vanguard Total Bond Market ETF (C) 923,664     81,208,539
Xtrackers USD High Yield Corporate Bond ETF 1,188,063     55,934,006
          506,062,728
Fixed income - 3.1%      
Fidelity Inflation Protected Bond Index Fund 2,585,842     27,332,347
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $499,923,733)   $ 533,395,075
SHORT-TERM INVESTMENTS - 9.7%      
Short-term funds - 9.7%          
John Hancock Collateral Trust, 0.3653% (D)(E) 8,443,316     84,531,942
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (D) 1,053     1,053
TOTAL SHORT-TERM INVESTMENTS (Cost $84,492,905)   $ 84,532,995
Total Investments (Multi-Index Lifestyle Balanced Portfolio) (Cost $955,445,216) - 109.7%     $ 961,449,682
Other assets and liabilities, net - (9.7%)       (84,736,986)
TOTAL NET ASSETS - 100.0%       $ 876,712,696
Security Abbreviations and Legend
JHF II John Hancock Funds II
MIM US Manulife Investment Management (US) LLC
(A) The underlying funds' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
(C) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $82,905,076.
(D) The rate shown is the annualized seven-day yield as of 5-31-20.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Multi-Index Lifestyle Conservative Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 10.6%      
Equity - 10.6%      
Strategic Equity Allocation, Class NAV, JHF II (MIM US) (B) 1,746,109   $ 19,015,124
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $18,564,908)   $ 19,015,124
Multi-Index Lifestyle Conservative Portfolio (continued)
    Shares or
Principal
Amount
  Value
UNAFFILIATED INVESTMENT COMPANIES - 89.4%      
Exchange-traded funds - 82.8%      
Invesco Senior Loan ETF (C) 329,041   $ 7,028,316
iShares Edge MSCI Min Vol USA ETF 91,367     5,630,035
iShares Global Infrastructure ETF 5,740     224,147
iShares JP Morgan USD Emerging Markets Bond ETF (C) 82,802     8,810,133
iShares Preferred & Income Securities ETF 52,395     1,841,160
VanEck Vectors J.P. Morgan EM Local Currency Bond ETF (C) 41,310     1,273,587
Vanguard Dividend Appreciation ETF 34,395     4,047,948
Vanguard Energy ETF 17,412     894,454
Vanguard FTSE Developed Markets ETF 63,857     2,405,493
Vanguard FTSE Emerging Markets ETF 6,138     229,316
Vanguard Global ex-U.S. Real Estate ETF 4,809     219,916
Vanguard Intermediate-Term Corporate Bond ETF 495,228     46,338,484
Vanguard Materials ETF 3,729     443,751
Vanguard Mid-Cap ETF 9,402     1,516,731
Vanguard Real Estate ETF 8,475     656,219
Vanguard S&P 500 ETF 1,600     447,600
Vanguard Short-Term Bond ETF 52,804     4,383,260
Vanguard Short-Term Corporate Bond ETF 79,749     6,546,595
Vanguard Small-Cap ETF 6,159     876,795
Vanguard Total Bond Market ETF 431,050     37,897,916
Xtrackers USD High Yield Corporate Bond ETF 364,588     17,164,803
          148,876,659
Fixed income - 6.6%      
Fidelity Inflation Protected Bond Index Fund 1,114,901     11,784,503
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $154,212,346)   $ 160,661,162
SHORT-TERM INVESTMENTS - 3.1%      
Short-term funds - 3.1%          
John Hancock Collateral Trust, 0.3653% (D)(E) 560,031     5,606,867
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (D) 1,053     1,053
TOTAL SHORT-TERM INVESTMENTS (Cost $5,597,136)   $ 5,607,920
Total Investments (Multi-Index Lifestyle Conservative Portfolio) (Cost $178,374,390) - 103.1%     $ 185,284,206
Other assets and liabilities, net - (3.1%)       (5,568,872)
TOTAL NET ASSETS - 100.0%       $ 179,715,334
Security Abbreviations and Legend
JHF II John Hancock Funds II
MIM US Manulife Investment Management (US) LLC
(A) The underlying funds' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
(C) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $5,507,847.
(D) The rate shown is the annualized seven-day yield as of 5-31-20.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
 
  54  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Multi-Index Lifestyle Growth Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 52.6%      
Equity - 52.6%      
Strategic Equity Allocation, Class NAV, JHF II (MIM US) (B) 39,503,649   $ 430,194,733
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $475,950,393)   $ 430,194,733
UNAFFILIATED INVESTMENT COMPANIES - 47.4%      
Exchange-traded funds - 46.0%      
Financial Select Sector SPDR Fund 434,937     10,181,875
Invesco Senior Loan ETF (C) 427,479     9,130,951
iShares Edge MSCI Min Vol USA ETF 657,482     40,514,041
iShares Global Infrastructure ETF 47,082     1,838,552
iShares JP Morgan USD Emerging Markets Bond ETF 136,965     14,573,076
Schwab U.S. Large-Cap Growth ETF 112,728     11,027,053
VanEck Vectors J.P. Morgan EM Local Currency Bond ETF (C) 68,324     2,106,429
Vanguard Dividend Appreciation ETF 240,176     28,266,313
Vanguard Energy ETF 127,750     6,562,518
Vanguard FTSE All World ex-US Small-Cap ETF 21,437     1,991,712
Vanguard FTSE Developed Markets ETF 213,242     8,032,826
Vanguard FTSE Emerging Markets ETF 607,358     22,690,895
Vanguard Global ex-U.S. Real Estate ETF 38,795     1,774,095
Vanguard Health Care ETF 59,712     11,740,573
Vanguard Information Technology ETF 34,080     8,895,902
Vanguard Intermediate-Term Corporate Bond ETF 485,672     45,444,329
Vanguard Materials ETF 30,783     3,663,177
Vanguard Mid-Cap ETF 279,625     45,109,105
Vanguard Real Estate ETF 65,832     5,097,372
Vanguard S&P 500 ETF 15,631     4,372,772
Vanguard Short-Term Bond ETF 50,973     4,231,269
Vanguard Short-Term Corporate Bond ETF 57,386     4,710,817
Vanguard Small-Cap ETF 140,516     20,003,859
Vanguard Total Bond Market ETF 432,111     37,991,199
Xtrackers USD High Yield Corporate Bond ETF 562,363     26,476,050
          376,426,760
Fixed income - 1.4%      
Fidelity Inflation Protected Bond Index Fund 1,044,821     11,043,754
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $359,638,306)   $ 387,470,514
SHORT-TERM INVESTMENTS - 0.7%      
Short-term funds - 0.7%          
John Hancock Collateral Trust, 0.3653% (D)(E) 534,675     5,353,006
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (D) 542,562     542,562
TOTAL SHORT-TERM INVESTMENTS (Cost $5,888,502)   $ 5,895,568
Total Investments (Multi-Index Lifestyle Growth Portfolio) (Cost $841,477,201) - 100.7%     $ 823,560,815
Other assets and liabilities, net - (0.7%)       (5,426,469)
TOTAL NET ASSETS - 100.0%       $ 818,134,346
Security Abbreviations and Legend
JHF II John Hancock Funds II
MIM US Manulife Investment Management (US) LLC
(A) The underlying funds' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
(C) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $5,236,959.
(D) The rate shown is the annualized seven-day yield as of 5-31-20.
Multi-Index Lifestyle Growth Portfolio (continued)
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Multi-Index Lifestyle Moderate Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 25.8%      
Equity - 25.8%      
Strategic Equity Allocation, Class NAV, JHF II (MIM US) (B) 5,803,831   $ 63,203,718
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $66,458,723)   $ 63,203,718
UNAFFILIATED INVESTMENT COMPANIES - 74.2%      
Exchange-traded funds - 69.8%      
Invesco Senior Loan ETF (C) 352,833     7,536,513
iShares Edge MSCI Min Vol USA ETF 213,213     13,138,185
iShares Global Infrastructure ETF 9,467     369,686
iShares JP Morgan USD Emerging Markets Bond ETF 99,526     10,589,566
iShares Preferred & Income Securities ETF 54,709     1,922,474
VanEck Vectors J.P. Morgan EM Local Currency Bond ETF (C) 49,847     1,536,783
Vanguard Dividend Appreciation ETF 75,829     8,924,315
Vanguard Energy ETF 25,493     1,309,575
Vanguard FTSE Developed Markets ETF 84,353     3,177,578
Vanguard FTSE Emerging Markets ETF 8,970     335,119
Vanguard Global ex-U.S. Real Estate ETF 7,730     353,493
Vanguard Intermediate-Term Corporate Bond ETF 490,957     45,938,846
Vanguard Materials ETF 5,815     691,985
Vanguard Mid-Cap ETF 34,102     5,501,335
Vanguard Real Estate ETF 12,803     991,336
Vanguard S&P 500 ETF 3,274     915,902
Vanguard Short-Term Bond ETF 36,161     3,001,725
Vanguard Short-Term Corporate Bond ETF 76,276     6,261,497
Vanguard Small-Cap ETF 15,324     2,181,525
Vanguard Total Bond Market ETF 420,931     37,008,254
Xtrackers USD High Yield Corporate Bond ETF 412,866     19,437,731
          171,123,423
Fixed income - 4.4%      
Fidelity Inflation Protected Bond Index Fund 1,031,454     10,902,469
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $172,926,038)   $ 182,025,892
SHORT-TERM INVESTMENTS - 2.4%      
Short-term funds - 2.4%          
John Hancock Collateral Trust, 0.3653% (D)(E) 583,343     5,840,258
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (D) 136,335     136,335
TOTAL SHORT-TERM INVESTMENTS (Cost $5,967,662)   $ 5,976,593
Total Investments (Multi-Index Lifestyle Moderate Portfolio) (Cost $245,352,423) - 102.4%     $ 251,206,203
Other assets and liabilities, net - (2.4%)       (5,847,545)
TOTAL NET ASSETS - 100.0%       $ 245,358,658
Security Abbreviations and Legend
JHF II John Hancock Funds II
MIM US Manulife Investment Management (US) LLC
(A) The underlying funds' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
(C) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $5,710,254.
(D) The rate shown is the annualized seven-day yield as of 5-31-20.
 
  55  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Multi-Index Lifestyle Moderate Portfolio (continued)
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Opportunistic Fixed Income Fund
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS - 23.9%
         
U.S. Government - 10.3%          
U.S. Treasury Inflation
Protected Securities
         
0.125%, 01/15/2030 $ 642,112   $ 681,485
0.250%, 07/15/2029 (A)   585,307     628,262
0.625%, 01/15/2026 (A)   2,259,650     2,404,577
0.750%, 02/15/2045   32,886     39,479
0.875%, 02/15/2047   203,177     254,345
1.000%, 02/15/2048 (A)   125,614     162,879
          4,171,027
U.S. Government Agency - 13.6%          
Federal National Mortgage Association          
2.500%, TBA (B)   2,971,000     3,078,661
3.000%, TBA (B)   2,354,000     2,473,492
          5,552,153
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $9,687,603)   $ 9,723,180
FOREIGN GOVERNMENT OBLIGATIONS - 44.4%      
Argentina - 0.2%          
Republic of Argentina
5.000%, 01/15/2027
EUR 200,000     76,483
Australia - 2.5%          
Commonwealth of Australia          
2.500%, 09/20/2030 AUD 450,000     461,826
3.000%, 03/21/2047   635,000     542,149
          1,003,975
Brazil - 0.4%          
Federative Republic of Brazil
10.000%, 01/01/2025
BRL 795,000     179,306
Canada - 6.9%          
Government of Canada          
2.750%, 12/01/2048 CAD 375,000     380,376
3.000%, 12/01/2036   397,971     423,765
4.000%, 12/01/2031   239,216     256,267
4.250%, 12/01/2026   1,882,337     1,747,715
          2,808,123
Chile - 0.1%          
Republic of Chile
5.000%, 03/01/2035
CLP 30,000,000     49,246
Colombia - 0.3%          
Republic of Colombia
6.000%, 04/28/2028
COP 381,300,000     105,371
Czech Republic - 0.2%          
Czech Republic
0.250%, 02/10/2027
CZK 2,230,000     89,267
Germany - 6.4%          
Federal Republic of Germany, Inflation
Linked Bond
         
0.100%, 04/15/2026 EUR 1,159,015     1,366,517
0.500%, 04/15/2030   971,925     1,242,760
          2,609,277
Hungary - 0.2%          
Republic of Hungary
2.750%, 12/22/2026
HUF 19,990,000     68,473
Opportunistic Fixed Income Fund (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Iceland - 1.6%          
Republic of Iceland
5.000%, 11/15/2028
ISK 70,880,000   $ 630,959
Indonesia - 4.9%          
Republic of Indonesia          
6.500%, 06/15/2025 IDR 4,662,000,000     314,239
8.250%, 05/15/2029   4,125,000,000     297,587
8.375%, 03/15/2034   16,831,000,000     1,190,266
9.000%, 03/15/2029   2,365,000,000     176,722
          1,978,814
Japan - 5.2%          
Government of Japan, CPI Linked Bond
0.100%, 03/10/2028
JPY 229,807,032     2,122,378
Malaysia - 0.3%          
Government of Malaysia
3.955%, 09/15/2025
MYR 490,000     120,864
Mexico - 2.6%          
Government of Mexico          
4.000%, 11/30/2028 MXN 5,431,548     277,648
7.500%, 06/03/2027   3,795,900     186,595
8.000%, 11/07/2047   11,534,700     573,981
          1,038,224
Peru - 0.2%          
Republic of Peru
6.950%, 08/12/2031
PEN 250,000     89,798
Poland - 0.4%          
Republic of Poland
2.250%, 10/25/2024
PLN 600,000     160,371
Romania - 0.5%          
Government of Romania          
3.875%, 10/29/2035 EUR 110,000     127,953
4.750%, 02/24/2025 RON 240,000     56,879
          184,832
Russia - 4.3%          
Government of Russia
7.750%, 09/16/2026
RUB 9,930,000     161,283
Government of Russia, Inflation Linked Bond
2.500%, 02/02/2028
  109,558,026     1,567,649
          1,728,932
South Africa - 0.3%          
Republic of South Africa
7.000%, 02/28/2031
ZAR 2,880,000     138,354
South Korea - 5.7%          
Republic of Korea
1.375%, 12/10/2029
KRW 2,557,340,000     2,066,094
Republic of Korea, Inflation Linked Bond
1.750%, 06/10/2028
  316,870,415     266,621
          2,332,715
Spain - 0.7%          
Kingdom of Spain
2.700%, 10/31/2048 (C)
EUR 190,000     280,526
Thailand - 0.4%          
Kingdom of Thailand
2.875%, 12/17/2028
THB 4,660,000     167,150
Turkey - 0.1%          
Republic of Turkey
9.000%, 07/24/2024
TRY 400,000     53,992
 
  56  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Fund (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Uruguay - 0.0%          
Republic of Uruguay
8.500%, 03/15/2028
UYU 150,000   $ 3,086
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $18,818,512)   $ 18,020,516
CORPORATE BONDS - 5.5%      
Finland - 0.5%          
Nokia OYJ
6.625%, 05/15/2039
$ 180,000     197,965
Luxembourg - 0.1%          
Codere Finance 2 Luxembourg SA
6.750%, 11/01/2021
EUR 110,000     56,706
United States - 4.9%          
Altria Group, Inc.
3.125%, 06/15/2031
  170,000     201,735
Antero Midstream Partners LP          
5.375%, 09/15/2024 $ 80,000     66,800
5.750%, 03/01/2027 (C)   220,000     173,250
Booking Holdings, Inc.
4.625%, 04/13/2030
  35,000     39,995
Broadcom, Inc.
4.300%, 11/15/2032 (C)
  40,000     42,195
Centennial Resource Production LLC
5.375%, 01/15/2026 (C)
  260,000     122,200
Diamondback Energy, Inc.
4.750%, 05/31/2025
  5,000     5,234
EnLink Midstream Partners LP
4.850%, 07/15/2026
  250,000     201,250
General Motors Company
6.750%, 04/01/2046
  180,000     195,786
Matador Resources Company
5.875%, 09/15/2026
  120,000     89,243
McKesson Corp.
4.750%, 05/30/2029
  35,000     42,212
PDC Energy, Inc.
5.750%, 05/15/2026
  250,000     230,939
QEP Resources, Inc.
5.375%, 10/01/2022
  120,000     68,364
Reynolds American, Inc.
5.850%, 08/15/2045
  130,000     155,921
Sysco Corp.
6.600%, 04/01/2040
  30,000     37,600
The Boeing Company
5.040%, 05/01/2027
  200,000     212,333
United States Steel Corp.
6.250%, 03/15/2026
  100,000     63,750
Viper Energy Partners LP
5.375%, 11/01/2027 (C)
  40,000     39,700
          1,988,507
TOTAL CORPORATE BONDS (Cost $2,527,791)   $ 2,243,178
CONVERTIBLE BONDS - 0.0%      
United States - 0.0%          
Oasis Petroleum, Inc., 2.625%, 09/15/2023   70,000     7,266
TOTAL CONVERTIBLE BONDS (Cost $48,318)   $ 7,266
MUNICIPAL BONDS - 1.6%          
United States - 1.6%          
Chicago Transit Authority, Series A (Illinois)
6.899%, 12/01/2040
  10,000     13,434
City of Austin Airport System Revenue (Texas)
5.000%, 11/15/2032
  25,000     30,110
Opportunistic Fixed Income Fund (continued)
    Shares or
Principal
Amount
  Value
MUNICIPAL BONDS (continued)          
United States (continued)          
City of Austin Airport System Revenue (Texas)
5.000%, 11/15/2044
$ 60,000   $ 69,467
Greater Orlando Aviation Authority (Florida)
5.000%, 10/01/2028
  35,000     40,795
Metropolitan Transportation Authority (New York)
5.000%, 11/15/2050
  25,000     26,972
Metropolitan Transportation Authority (New York)
5.175%, 11/15/2049
  50,000     54,488
New York City Transitional Finance Authority
4.000%, 05/01/2045
  20,000     23,002
Orange County Convention Center (Florida)
5.000%, 10/01/2031
  15,000     16,434
Port Authority of New York & New Jersey
4.000%, 03/15/2030
  50,000     57,060
Port Authority of New York & New Jersey
5.000%, 09/15/2033
  30,000     35,737
Port of Seattle (Washington)
5.000%, 04/01/2039
  40,000     46,813
Port of Seattle (Washington)
5.000%, 10/01/2031
  30,000     34,647
San Francisco City & County Airport Commission (California)
5.000%, 05/01/2050
  75,000     86,755
State of Connecticut
2.547%, 07/01/2028
  25,000     25,228
State of Connecticut
2.677%, 07/01/2030
  45,000     45,625
Triborough Bridge & Tunnel Authority (New York)
5.000%, 11/15/2054
  30,000     37,047
TOTAL MUNICIPAL BONDS (Cost $629,290)   $ 643,614
TERM LOANS (D) - 8.3%      
Canada - 0.2%          
Cineworld, Ltd., Incremental Term Loan, TBD 02/05/2027 (E)   125,000     75,536
United Kingdom - 0.2%          
Formula One Management, Ltd., Term Loan B, TBD 02/01/2024 (E)   100,000     94,125
United States - 7.9%          
Acrisure LLC, 2020 Term Loan B (3 month LIBOR + 3.500%), 3.765%, 02/15/2027   100,000     93,438
AlixPartners LLP, Term Loan B, TBD 04/04/2024 (E)   99,743     96,764
Aretec Group, Inc., 2018 Term Loan (1 month LIBOR + 4.250%), 4.424%, 10/01/2025   99,747     91,768
Asurion LLC, 2017 2nd Lien Term Loan (1 month LIBOR + 6.500%), 6.674%, 08/04/2025   100,000     99,438
Asurion LLC, 2017 Term Loan B4, TBD 08/04/2022 (E)   99,682     97,614
Bass Pro Group LLC, Term Loan B (1 month LIBOR + 5.000%), 6.072%, 09/25/2024   100,000     93,708
 
  57  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Fund (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (D) (continued)      
United States (continued)          
Berlin Packaging LLC, 2018 1st Lien Term Loan (1 and 3 month LIBOR + 3.000%), 3.394%, 11/07/2025 $ 99,746   $ 94,616
Boyd Gaming Corp., Term Loan B, TBD 09/15/2023 (E)   100,000     95,750
Core & Main LP, Term Loan B, TBD 08/01/2024 (E)   99,744     95,380
Dcert Buyer, Inc., 2019 Term Loan B (1 month LIBOR + 4.000%), 4.174%, 10/16/2026   100,000     96,438
Deerfield Dakota Holding LLC 2020 USD Term Loan B (1 month LIBOR + 3.750%), 4.750%, 04/09/2027   220,000     215,464
Deerfield Dakota Holding LLC, 2020 EUR Term Loan B (1 month EURIBOR + 4.000%), 4.000%, 04/09/2027 EUR 150,000     154,436
Diamond BC BV, USD Term Loan, TBD 09/06/2024 (E) $ 100,000     92,350
Elanco Animal Health, Inc., Term Loan B, TBD 02/04/2027 (E)   100,000     96,750
Element Solutions, Inc., 2019 Term Loan B1, TBD 01/31/2026 (E)   100,000     96,281
Gray Television, Inc., 2018 Term Loan C (1 month LIBOR + 2.500%), 2.830%, 01/02/2026   100,000     97,357
HUB International, Ltd., 2018 Term Loan B (3 month LIBOR + 3.000%), 4.020%, 04/25/2025   99,746     95,894
HUB International, Ltd., 2019 Incremental Term Loan B (3 month LIBOR + 4.000%), 5.000%, 04/25/2025   100,000     97,753
ION Media Networks, Inc., 2019 Term Loan B (3 month LIBOR + 3.000%), 3.813%, 12/18/2024   99,749     95,042
Momentive Performance Materials USA LLC, Term Loan, TBD 05/15/2024 (E)   100,000     93,750
MPH Acquisition Holdings LLC, 2016 Term Loan B (3 month LIBOR + 2.750%), 4.200%, 06/07/2023   100,000     95,854
Navistar, Inc., 2017 1st Lien Term Loan B (1 month LIBOR + 3.500%), 3.680%, 11/06/2024   99,745     95,755
NEP Group, Inc., 2018 1st Lien Term Loan (3 month LIBOR + 3.250%), 4.700%, 10/20/2025   100,000     83,833
Quikrete Holdings, Inc., 2016 1st Lien Term Loan (1 month LIBOR + 2.500%), 2.674%, 02/01/2027   99,750     94,626
Science Applications International Corp., 2020 Incremental Term Loan B (1 month LIBOR + 2.250%), 2.424%, 03/12/2027   79,167     77,122
SCIH Salt Holdings, Inc., Term Loan B (3 month LIBOR + 4.500%), 5.500%, 03/16/2027   100,000     96,000
Sedgwick Claims Management Services, Inc., Term Loan B, TBD 12/31/2025 (E)   99,747     93,912
SS&C Technologies, Inc., 2018 Term Loan B3 (1 month LIBOR + 1.750%), 1.924%, 04/16/2025   58,358     56,425
Opportunistic Fixed Income Fund (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (D) (continued)      
United States (continued)          
SS&C Technologies, Inc., 2018 Term Loan B4 (1 month LIBOR + 1.750%), 1.924%, 04/16/2025 $ 40,111   $ 38,783
Telenet Financing USD LLC, 2020 USD Term Loan AR (1 month LIBOR + 2.000%), 2.184%, 04/30/2028   100,000     96,208
The Dun & Bradstreet Corp., Term Loan (1 month LIBOR + 4.000%), 4.174%, 02/06/2026   100,000     97,208
TransDigm, Inc., 2020 Term Loan E (1 month LIBOR + 2.250%), 2.424%, 05/30/2025   99,750     91,209
WW International, Inc., 2017 Term Loan B (1 month LIBOR + 4.750%), 5.500%, 11/29/2024   98,503     95,713
          3,202,639
TOTAL TERM LOANS (Cost $3,348,733)   $ 3,372,300
COLLATERALIZED MORTGAGE OBLIGATIONS - 8.5%      
Commercial and residential - 5.2%          
Arroyo Mortgage Trust          
Series 2018-1, Class A1,
3.763%, 04/25/2048 (C)(F)
  83,906     85,297
Series 2019-1, Class A1,
3.805%, 01/25/2049 (C)(F)
  80,668     82,354
Bunker Hill Loan Depositary Trust, Series 2019-1, Class A1,
3.613%, 10/26/2048 (C)
  81,678     82,909
BX Commercial Mortgage Trust          
Series 2018-IND, Class A (1 month LIBOR + 0.750%),
0.934%, 11/15/2035 (C)(G)
  53,488     52,146
Series 2019-XL, Class A (1 month LIBOR + 0.920%),
1.104%, 10/15/2036 (C)(G)
  95,540     93,625
Series 2019-XL, Class B (1 month LIBOR + 1.080%),
1.264%, 10/15/2036 (C)(G)
  95,540     92,308
Series 2019-XL, Class C, (1 month LIBOR + 1.250%),
1.434%, 10/15/2036 (C)(G)
  95,540     91,829
CAMB Commercial Mortgage Trust, Series 2019-LIFE, Class A, (1 month LIBOR + 1.070%),
1.254%, 12/15/2037 (C)(G)
  100,000     96,282
CFCRE Commercial Mortgage Trust, Series 2011-C2, Class C,
5.739%, 12/15/2047 (C)(F)
  100,000     101,686
COLT Mortgage Loan Trust          
Series 2018-3, Class A3,
3.865%, 10/26/2048 (C)(F)
  36,501     37,012
Series 2019-1, Class A1,
3.705%, 03/25/2049 (C)(F)
  48,425     48,673
Series 2019-2, Class A1,
3.337%, 05/25/2049 (C)(F)
  76,911     77,374
Series 2019-4, Class A1,
2.579%, 11/25/2049 (C)(F)
  72,812     72,714
Commercial Mortgage Trust (Cantor Fitzgerald/Deutsche Bank AG), Series 2013-CR13, Class A4,
4.194%, 11/10/2046 (F)
  30,000     32,351
CSAIL Commercial Mortgage Trust, Series 2015-C3, Class A4,
3.718%, 08/15/2048
  38,000     40,959
 
  58  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Fund (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
FREMF Mortgage Trust          
Series 2015-K49, Class B,
3.721%, 10/25/2048 (C)(F)
$ 75,000   $ 76,813
Series 2019-K735, Class B,
4.020%, 05/25/2026 (C)(F)
  100,000     102,065
GS Mortgage Securities Trust          
Series 2016-GS4, Class A4,
3.442%, 11/10/2049 (F)
  34,000     37,027
Series 2020-GC45, Class A1,
2.019%, 02/13/2053
  24,468     24,865
KKR Industrial Portfolio Trust, Series 2020-AIP, Class A (1 month LIBOR + 1.037%),
1.221%, 03/15/2037 (C)(G)
  100,000     97,244
Metlife Securitization Trust, Series 2018-1A, Class A,
3.750%, 03/25/2057 (C)(F)
  94,536     99,015
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2013-C8, Class B,
3.559%, 12/15/2048 (F)
  45,000     45,110
MSCG Trust, Series 2018-SELF, Class A (1 month LIBOR + 0.900%),
1.084%, 10/15/2037 (C)(G)
  75,000     72,179
Verus Securitization Trust          
Series 2019-1, Class A1,
3.836%, 02/25/2059 (C)(F)
  59,128     59,699
Series 2020-1, Class A1,
2.417%, 01/25/2060 (C)(F)
  94,980     95,365
Wells Fargo Mortgage Backed Securities Trust, Series 2019-3, Class A1,
3.500%, 07/25/2049 (C)(F)
  68,003     69,718
WF-RBS Commercial Mortgage Trust          
Series 2011-C4, Class C,
5.221%, 06/15/2044 (C)(F)
  90,000     83,779
Series 2011-C5, Class C,
5.656%, 11/15/2044 (C)(F)
  100,000     95,669
Series 2013-C13, Class A4,
3.001%, 05/15/2045
  65,000     66,447
          2,112,514
U.S. Government Agency - 3.3%          
Federal Home Loan Mortgage Corp.          
Series 2016-HQA2, Class M2 (1 month LIBOR + 2.250%),
2.418%, 11/25/2028 (G)
  3,705     3,705
Series 2016-HQA4, Class M2, (1 month LIBOR + 1.300%),
1.468%, 04/25/2029 (G)
  60,213     60,071
Series 2017-DNA2, Class M1 (1 month LIBOR + 1.200%),
1.368%, 10/25/2029 (G)
  79,387     79,336
Series 2018-DNA1, Class M2, (1 month LIBOR + 1.800%),
1.968%, 07/25/2030 (G)
  94,595     89,714
Series 2018-HQA1, Class M2 (1 month LIBOR + 2.300%),
2.468%, 09/25/2030 (G)
  30,537     28,469
Series 2020-HQA2, Class M2 (1 month LIBOR + 3.100%),
3.268%, 03/25/2050 (C)(G)
  90,000     76,275
Series K105, Class X1 IO,
1.645%, 01/25/2030
  169,991     19,832
Opportunistic Fixed Income Fund (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal National Mortgage Association          
Series 2015-C04, Class 1M2 (1 month LIBOR + 5.700%),
5.868%, 04/25/2028 (G)
$ 71,896   $ 75,782
Series 2016-C02, Class 1M2 (1 month LIBOR + 6.000%),
6.168%, 09/25/2028 (G)
  54,538     57,022
Series 2017-C02, Class 2M2 (1 month LIBOR + 3.650%),
3.818%, 09/25/2029 (G)
  95,366     95,337
Series 2017-C03, Class 1M2 (1 month LIBOR + 3.000%),
3.168%, 10/25/2029 (G)
  60,000     60,075
Series 2017-C04, Class 2M2 (1 month LIBOR + 2.850%),
3.018%, 11/25/2029 (G)
  74,584     73,275
Series 2017-C05, Class 1B1, (1 month LIBOR + 3.600%),
3.768%, 01/25/2030 (G)
  25,000     19,882
Series 2017-C05, Class 1M2 (1 month LIBOR + 2.200%),
2.368%, 01/25/2030 (G)
  53,885     52,181
Series 2017-C06, Class 2B1, (1 month LIBOR + 4.450%),
4.618%, 02/25/2030 (G)
  10,000     8,098
Series 2017-C06, Class 2M2 (1 month LIBOR + 2.800%),
2.968%, 02/25/2030 (G)
  78,803     76,630
Series 2017-C07, Class 1B1 (1 month LIBOR + 4.000%),
4.168%, 05/25/2030 (G)
  67,000     54,445
Series 2018-C03, Class 1M2 (1 month LIBOR + 2.150%),
2.318%, 10/25/2030 (G)
  75,000     72,743
Series 2018-R07, Class 1B1, (1 month LIBOR + 4.350%),
4.518%, 04/25/2031 (C)(G)
  115,000     95,462
Series 2019-HRP1, Class M2 (1 month LIBOR + 2.150%),
2.318%, 11/25/2039 (C)(G)
  52,369     43,737
Series 2019-R07, Class 1M1, (1 month LIBOR + 0.770%),
0.938%, 10/25/2039 (C)(G)
  51,044     50,733
Series 2020-R01, Class 1M1, (1 month LIBOR + 0.800%),
0.968%, 01/25/2040 (C)(G)
  73,447     72,622
Series 2020-R01, Class 1M2, (1 month LIBOR + 2.050%),
2.218%, 01/25/2040 (C)(G)
  30,000     26,925
Series 2020-R02, Class 2B1, (1 month LIBOR + 3.000%),
3.168%, 01/25/2040 (C)(G)
  35,000     19,239
          1,311,590
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $3,291,146)   $ 3,424,104
ASSET BACKED SECURITIES - 6.1%      
Ally Auto Receivables Trust          
Series 2018-2, Class A3,
2.920%, 11/15/2022
  122,870     124,268
Series 2019-4, Class A3,
1.840%, 06/17/2024
  120,000     122,207
 
  59  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Fund (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Ally Master Owner Trust, Series 2017-3, Class A1 (1 month LIBOR + 0.430%),
0.614%, 06/15/2022 (G)
$ 55,000   $ 54,948
American Credit Acceptance Receivables Trust, Series 2018-3, Class C,
3.750%, 10/15/2024 (C)
  90,965     91,332
American Express Credit Account Master Trust, Series 2017-5, Class B (1 month LIBOR + 0.580%),
0.764%, 02/18/2025 (G)
  100,000     99,381
AmeriCredit Automobile Receivables Trust, Series 2016-1, Class D,
3.590%, 02/08/2022
  100,000     100,382
Canadian Pacer Auto Receivables Trust          
Series 2018-1A, Class A3,
3.000%, 11/19/2021 (C)
  77,099     77,542
Series 2018-2A, Class A2A,
3.000%, 06/21/2021 (C)
  8,473     8,486
CarMax Auto Owner Trust, Series 2020-2, Class A3,
1.700%, 11/15/2024
  25,000     25,535
CCG Receivables Trust, Series 2018-1, Class A2,
2.500%, 06/16/2025 (C)
  82,528     82,833
ECMC Group Student Loan Trust, Series 2020-1A, Class A,
2.260%, 07/25/2069 (C)
  100,000     100,560
First Investors Auto Owner Trust, Series 2020-1A, Class A,
1.490%, 01/15/2025 (C)
  138,898     140,086
Ford Credit Auto Lease Trust, Series 2018-A, Class A3,
2.930%, 06/15/2021
  64,016     64,145
Ford Credit Auto Owner Trust          
Series 2016-1, Class A,
2.310%, 08/15/2027 (C)
  100,000     100,747
Series 2017-A, Class A4,
1.920%, 04/15/2022
  50,000     50,164
Series 2017-C, Class A3,
2.010%, 03/15/2022
  27,583     27,710
Ford Credit Floorplan Master Owner Trust, Series 2015-5, Class A1,
2.420%, 08/15/2022
  50,000     50,016
GM Financial Consumer Automobile
Receivables Trust
         
Series 2018-2, Class A3,
2.810%, 12/16/2022
  82,282     83,588
Series 2020-2, Class A4,
1.740%, 08/18/2025
  10,000     10,158
Honda Auto Receivables Owner Trust, Series 2019-2, Class A3,
2.520%, 06/21/2023
  59,000     60,753
Mercedes-Benz Auto Lease Trust, Series 2019-A, Class A3,
3.100%, 11/15/2021
  50,000     50,522
Mill City Mortgage Loan Trust, Series 2018-3, Class A1,
3.500%, 08/25/2058 (C)(F)
  76,530     79,110
Navient Private Education Refi Loan Trust, Series 2018-A, Class A1,
2.530%, 02/18/2042 (C)
  16,355     16,361
Nissan Auto Receivables Owner Trust, Series 2020-A, Class A3,
1.380%, 12/16/2024
  15,000     15,278
Santander Drive Auto Receivables Trust          
Series 2018-5, Class C,
3.810%, 12/16/2024
  50,000     50,603
Opportunistic Fixed Income Fund (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Santander Drive Auto
Receivables Trust (continued)
         
Series 2020-1, Class A3,
2.030%, 02/15/2024
$ 5,000   $ 5,057
SoFi Professional Loan Program Trust, Series 2020-C, Class AFX,
1.950%, 02/15/2046 (C)
  100,000     100,000
Taco Bell Funding LLC, Series 2018-1A, Class A2I,
4.318%, 11/25/2048 (C)
  98,500     100,498
Towd Point Mortgage Trust          
Series 2017-6, Class A1,
2.750%, 10/25/2057 (C)(F)
  64,931     66,605
Series 2018-2, Class A1,
3.250%, 03/25/2058 (C)(F)
  159,639     164,779
Toyota Auto Receivables Owner Trust          
Series 2016-D, Class A4,
1.420%, 01/15/2022
  30,486     30,529
Series 2019-C, Class A2A,
2.000%, 04/15/2022
  38,978     39,239
Westlake Automobile Receivables Trust          
Series 2020-1A, Class A2,
1.440%, 09/15/2023 (C)
  150,000     150,554
Series 2019-A1, Class D,
3.670%, 03/15/2024 (C)
  50,000     50,994
World Omni Auto Receivables Trust, Series 2019-A, Class A3,
3.040%, 05/15/2024
  90,000     92,442
TOTAL ASSET BACKED SECURITIES (Cost $2,463,725)   $ 2,487,412
EXCHANGE-TRADED FUNDS - 9.1%      
iShares iBoxx High Yield Corporate Bond ETF   15,100     1,244,542
iShares JP Morgan USD Emerging Markets Bond ETF   18,100     1,925,840
SPDR Blackstone/GSO Senior Loan ETF   5,000     215,600
SPDR Bloomberg Barclays Convertible Securities ETF   5,700     323,874
TOTAL EXCHANGE-TRADED FUNDS (Cost $3,949,338)   $ 3,709,856
SHORT-TERM INVESTMENTS - 8.6%      
Short-term funds - 8.6%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (H)   3,485,489     3,485,489
TOTAL SHORT-TERM INVESTMENTS (Cost $3,485,489)   $ 3,485,489
Total Investments (Opportunistic Fixed Income Fund)
(Cost $48,249,945) - 116.0%
  $ 47,116,915
Other assets and liabilities, net - (16.0%)     (6,489,307)
TOTAL NET ASSETS - 100.0%   $ 40,627,608
Currency Abbreviations
AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
CLP Chilean Peso
COP Colombian Peso
CZK Czech Republic Koruna
EUR Euro
HUF Hungarian Forint
IDR Indonesian Rupiah
ISK Icelandic Krona
JPY Japanese Yen
KRW Korean Won
MXN Mexican Peso
 
  60  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Fund (continued)
MYR Malaysian Ringgit
PEN Peruvian Nuevo Sol
PLN Polish Zloty
RON Romanian New Leu
RUB Russian Ruble
THB Thai Bhat
TRY Turkish Lira
UYU Uruguayan Peso
ZAR South African Rand
Security Abbreviations and Legend
CPI Consumer Price Index
EURIBOR Euro Interbank Offered Rate
IO Interest-Only Security - (Interest Tranche of Stripped Mortgage Pool). Rate shown is the annualized yield at the end of the period.
LIBOR London Interbank Offered Rate
TBA To Be Announced. A forward mortgage-backed securities trade issued by a U.S. Government Agency, to be delivered at an agreed-upon future settlement date.
(A) All or a portion of this security is segregated at the custodian as collateral for certain derivatives.
Opportunistic Fixed Income Fund (continued)
(B) Security purchased or sold on a when-issued or delayed delivery basis.
(C) 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. Rule 144A securities amounted to $4,239,106 or 10.4% of the fund's net assets as of 5-31-20.
(D) Term loans are variable rate obligations. The coupon rate shown represents the rate at period end.
(E) This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate, which is disclosed as TBD (To Be Determined).
(F) Variable or floating rate security, the interest rate of which adjusts periodically based on a weighted average of interest rates and prepayments on the underlying pool of assets. The interest rate shown is the current rate as of period end.
(G) Variable rate obligation. The coupon rate shown represents the rate at period end.
(H) The rate shown is the annualized seven-day yield as of 5-31-20.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
10-Year Australian Treasury Bond Futures 9 Long Jun 2020 $906,214 $892,935 $(13,279)
10-Year Canada Government Bond Futures 4 Long Sep 2020 446,111 446,352 241
10-Year U.S. Treasury Note Futures 2 Long Sep 2020 277,669 278,125 456
5-Year U.S. Treasury Note Futures 2 Long Sep 2020 250,723 251,250 527
Ultra U.S. Treasury Bond Futures 3 Long Sep 2020 652,599 654,094 1,495
10-Year Mini Japan Government Bond Futures 4 Short Jun 2020 (573,004) (564,477) 8,527
2-Year U.S. Treasury Note Futures 7 Short Sep 2020 (1,545,424) (1,545,906) (482)
German Euro BUND Futures 12 Short Jun 2020 (2,330,983) (2,297,272) 33,711
U.K. Long Gilt Bond Futures 8 Short Sep 2020 (1,356,859) (1,357,907) (1,048)
U.S. Treasury Long Bond Futures 1 Short Sep 2020 (177,404) (178,375) (971)
            $29,177
^ 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 2,142,000  USD 1,421,690  MSI 6/30/2020  $6,100  — 
BRL 1,810,000  USD 333,752  JPM 6/2/2020  5,434  — 
BRL 1,420,000  USD 263,529  MSI 6/2/2020  2,573  — 
BRL 1,810,000  USD 338,761  JPM 7/2/2020  —  $(124)
CAD 1,125,000  USD 812,604  BARC 6/30/2020  4,495  — 
CLP 188,642,000  USD 235,508  JPM 6/30/2020  163  — 
COP 2,120,175,000  USD 567,104  BARC 6/30/2020  —  (216)
CZK 12,164,000  USD 493,049  BOA 6/30/2020  8,802  — 
CZK 1,337,000  USD 53,841  JPM 6/30/2020  1,320  — 
EUR 1,161,000  USD 1,273,793  JPM 6/30/2020  15,711  — 
GBP 1,284,000  USD 1,574,071  BOA 6/30/2020  11,870  — 
HUF 80,878,000  USD 252,605  BOA 6/30/2020  6,001  — 
IDR 4,929,786,000  USD 331,192  MSI 6/30/2020  3,965  — 
JPY 356,843,000  USD 3,313,650  CITI 6/30/2020  —  (3,453)
KRW 925,336,000  USD 749,069  JPM 6/30/2020  1,552  — 
MXN 12,562,000  USD 564,791  GSI 6/30/2020  —  (700)
NOK 5,791,000  USD 581,071  JPM 6/30/2020  14,798  — 
NZD 458,000  USD 283,467  MSI 6/30/2020  804  — 
PHP 27,397,000  USD 539,470  JPM 6/30/2020  2,520  — 
RUB 5,830,000  USD 81,569  MSI 6/30/2020  831  — 
SEK 2,080,000  USD 215,753  JPM 6/30/2020  5,052  — 
SGD 891,000  USD 629,144  JPM 6/30/2020  1,568  — 
  61  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Fund (continued)
FORWARD FOREIGN CURRENCY CONTRACTS (continued)
Contract to buy Contract to sell Counterparty (OTC) Contractual
settlement
date
Unrealized
appreciation
Unrealized
depreciation
SGD 1,490,000  USD 1,048,513  MSI 6/30/2020  $6,213  — 
TRY 3,777,000  USD 551,782  CITI 6/30/2020  —  $(3,008)
USD 1,679,163  AUD 2,530,000  MSI 6/30/2020  —  (7,256)
USD 339,301  BRL 1,810,000  JPM 6/2/2020  114  — 
USD 261,688  BRL 1,420,000  MSI 6/2/2020  —  (4,414)
USD 185,219  BRL 1,000,000  MSI 6/30/2020  —  (1,892)
USD 3,828,268  CAD 5,300,000  BARC 6/30/2020  —  (21,175)
USD 214,696  CHF 208,000  JPM 6/30/2020  —  (1,732)
USD 154,213  CLP 123,255,000  CITI 6/30/2020  230  — 
USD 411,414  CLP 330,900,000  GSI 6/30/2020  —  (1,981)
USD 245,568  CLP 196,700,000  JPM 6/30/2020  —  (170)
USD 304,940  CNH 2,183,000  BOA 6/30/2020  —  (304)
USD 4,255,853  EUR 3,879,000  JPM 6/30/2020  —  (52,490)
USD 946,404  GBP 772,000  BOA 6/30/2020  —  (7,137)
USD 705,279  IDR 10,483,974,000  GSI 6/30/2020  —  (7,484)
USD 1,900,579  IDR 28,290,113,000  MSI 6/30/2020  —  (22,753)
USD 813,876  ILS 2,860,000  BOA 6/30/2020  —  (948)
USD 98,545  INR 7,486,000  MSI 6/30/2020  —  (337)
USD 2,198,632  JPY 236,768,000  CITI 6/30/2020  2,291  — 
USD 2,371,542  KRW 2,928,285,000  JPM 6/30/2020  —  (3,847)
USD 875,692  MXN 19,477,000  GSI 6/30/2020  1,085  — 
USD 30,493  NOK 302,000  BOA 6/30/2020  —  (582)
USD 108,368  NOK 1,080,000  JPM 6/30/2020  —  (2,760)
USD 559,276  PLN 2,295,000  BOA 6/30/2020  —  (12,847)
USD 305,562  RON 1,355,000  CITI 6/30/2020  —  (4,233)
USD 1,928,575  RUB 137,842,000  MSI 6/30/2020  —  (19,648)
USD 718,806  SEK 6,881,000  BARC 6/30/2020  —  (11,657)
USD 22,613  SEK 218,000  JPM 6/30/2020  —  (530)
USD 289,546  SGD 410,000  MSI 6/30/2020  —  (680)
USD 302,406  TRY 2,070,000  CITI 6/30/2020  1,649  — 
USD 132,700  ZAR 2,324,000  BOA 6/30/2020  680  — 
ZAR 4,452,000  USD 254,830  BARC 6/30/2020  —  (1,925)
            $105,821  $(196,283)
SWAPS
Interest rate swaps
Counterparty (OTC)/
Centrally cleared
Notional
amount
Currency Payments
made
Payments
received
Fixed
payment
frequency
Floating
payment
frequency
Maturity
date
Unamortized
upfront
payment paid
(received)
Unrealized
appreciation
(depreciation)
Value
CITI 6,440,000 CNY CNY CNREPOFIX Reuters Fixed 2.390% Quarterly Quarterly Jun 2025 $18,763 $18,763
                $18,763 $18,763
Credit default swaps - Buyer
Counterparty
(OTC)/
Centrally
cleared
Reference
obligation
Notional
amount
Currency USD
notional
amount
Pay
fixed
rate
Fixed
payment
frequency
Maturity
date
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
CITI People's Republic of China 625,000 USD $625,000 1.000% Quarterly Dec 2024 $(12,675) $(2,425) $(15,100)
GSI Government of Russia 350,000 USD 350,000 1.000% Quarterly Dec 2024 1,298 (758) 540
GSI People's Republic of China 850,000 USD 850,000 1.000% Quarterly Dec 2024 (21,907) 1,371 (20,536)
GSI Republic of Indonesia 470,000 USD 470,000 1.000% Quarterly Dec 2024 1,422 7,625 9,047
GSI Government of Russia 665,000 USD 665,000 1.000% Quarterly Jun 2025 21,583 (17,006) 4,577
JPM Republic of Korea 2,110,000 USD 2,110,000 1.000% Quarterly Dec 2024 (65,936) (9,997) (75,933)
JPM Government of Russia 395,000 USD 395,000 1.000% Quarterly Jun 2025 13,556 (10,837) 2,719
MSI Federative Republic of Brazil 270,000 USD 270,000 1.000% Quarterly Dec 2024 5,848 12,960 18,808
MSI Government of Japan 2,090,000 USD 2,090,000 1.000% Quarterly Dec 2024 (69,563) (8,944) (78,507)
MSI Government of Malaysia 1,370,000 USD 1,370,000 1.000% Quarterly Dec 2024 (19,386) 4,520 (14,866)
MSI Republic of Colombia 290,000 USD 290,000 1.000% Quarterly Dec 2024 2,406 4,668 7,074
MSI CMBX.NA.BBB-.7 440,000 USD 440,000 3.000% Monthly Jan 2047 10,096 103,613 113,709
  62  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Fund (continued)
Credit default swaps - Buyer (continued)
Counterparty
(OTC)/
Centrally
cleared
Reference
obligation
Notional
amount
Currency USD
notional
amount
Pay
fixed
rate
Fixed
payment
frequency
Maturity
date
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
MSI CMBX.NA.BBB-.8 460,000 USD $460,000 3.000% Monthly Oct 2057 $22,233 $127,539 $149,772
        $10,385,000       $(111,025) $212,329 $101,304
Centrally cleared iTraxx Europe Crossover Series 32 Version 1 420,000 EUR 474,873 5.000% Quarterly Dec 2024 (21,748) (6,161) (27,909)
        $474,873       $(21,748) $(6,161) $(27,909)
        $10,859,873       $(132,773) $206,168 $73,395
Credit default swaps - Seller
Counterparty
(OTC)/
Centrally
cleared
Reference
obligation
Implied
credit
spread
Notional
amount
Currency USD
notional
amount
Received
fixed
rate
Fixed
payment
frequency
Maturity
date
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
GSI CDX.NA.HY.34 7.248% 842,800 USD $842,800 5.000% Quarterly Jun 2023 $(20,122) $(6,474) $(26,596)
GSI CDX.NA.HY.34 7.248% 426,300 USD 426,300 5.000% Quarterly Jun 2023 (10,187) (3,265) (13,452)
GSI CDX.NA.HY.34 7.248% 421,400 USD 421,400 5.000% Quarterly Jun 2023 (15,228) 1,930 (13,298)
          $1,690,500       $(45,537) $(7,809) $(53,346)
Centrally cleared CDX.NA.HY.33 6.619% 2,807,250 USD 2,807,250 5.000% Quarterly Dec 2024 24,516 (17,122) 7,394
Centrally cleared CDX.NA.IG.33 0.847% 1,560,000 USD 1,560,000 1.000% Quarterly Dec 2024 (1,160) 34,728 33,568
Centrally cleared iTraxx Europe Series 32 Version 1 0.804% 3,390,000 EUR 3,832,904 1.000% Quarterly Dec 2024 30,320 37,178 67,498
          $8,200,154       $53,676 $54,784 $108,460
          $9,890,654       $8,139 $46,975 $55,114
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
Receive iBoxx $ Liquid Leveraged Loan Index 1-Month USD LIBOR At Maturity USD 1,000,000 Jun 2020 MSI $(47,673) $(47,673)
                $(47,673) $(47,673)
* 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 the floating rate and the total return of the reference asset if negative.
Derivatives Currency Abbreviations
AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
CHF Swiss Franc
CLP Chilean Peso
CNY Chinese Yuan Renminbi
COP Colombian Peso
CZK Czech Republic Koruna
EUR Euro
GBP Pound Sterling
HUF Hungarian Forint
IDR Indonesian Rupiah
ILS Israeli New Shekel
INR Indian Rupee
JPY Japanese Yen
KRW Korean Won
MXN Mexican Peso
NOK Norwegian Krone
NZD New Zealand Dollar
PHP Philippine Peso
PLN Polish Zloty
RON Romanian New Leu
RUB Russian Ruble
  63  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Fund (continued)
SEK Swedish Krona
SGD Singapore Dollar
TRY Turkish Lira
USD U.S. Dollar
ZAR South African Rand
Derivatives Abbreviations
BARC Barclays Bank PLC
BOA Bank of America, N.A.
CITI Citibank, N.A.
CNREPOFIX China Fixing Repo Rate
GSI Goldman Sachs International
JPM JPMorgan Chase Bank, N.A.
LIBOR London Interbank Offered Rate
MSI Morgan Stanley & Co. International PLC
OTC Over-the-counter
Real Estate Securities Fund
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.8%          
Consumer discretionary – 1.2%          
Hotels, restaurants and leisure – 1.2%          
Hotels, resorts and cruise lines – 1.2%          
Hyatt Hotels Corp., Class A (A)   64,567   $ 3,556,996
Real estate – 97.6%          
Equity real estate investment trusts –
97.6%
         
Diversified REITs – 1.3%          
Essential Properties Realty Trust, Inc.   303,915     4,145,401
Health care REITs – 10.7%          
Healthcare Trust of America, Inc., Class A   145,110     3,841,062
Healthpeak Properties, Inc.   158,120     3,896,077
Medical Properties Trust, Inc.   182,804     3,305,096
Omega Healthcare Investors, Inc.   246,411     7,673,239
Sabra Health Care REIT, Inc.   207,935     2,798,805
Welltower, Inc.   224,097     11,354,995
          32,869,274
Hotel and resort REITs – 0.7%          
Apple Hospitality REIT, Inc.   223,078     2,277,626
Industrial REITs – 15.5%          
EastGroup Properties, Inc.   66,728     7,757,130
Prologis, Inc.   336,965     30,832,297
Rexford Industrial Realty, Inc.   225,560     8,977,288
          47,566,715
Office REITs – 9.5%          
Alexandria Real Estate Equities, Inc.   84,318     12,961,363
Cousins Properties, Inc.   230,880     7,184,986
Highwoods Properties, Inc.   213,424     8,167,736
Kilroy Realty Corp.   13,901     794,025
          29,108,110
Residential REITs – 23.3%          
American Homes 4 Rent, Class A   263,587     6,652,936
Equity LifeStyle Properties, Inc.   176,704     11,008,659
Equity Residential   111,651     6,761,585
Essex Property Trust, Inc.   51,146     12,416,714
Invitation Homes, Inc.   422,012     11,098,916
Mid-America Apartment Communities, Inc.   104,492     12,158,689
Sun Communities, Inc.   58,789     8,065,263
UDR, Inc.   97,698     3,612,872
          71,775,634
Real Estate Securities Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)          
Retail REITs – 8.7%          
Agree Realty Corp.   110,766   $ 6,952,782
Kimco Realty Corp.   597,880     6,642,447
Realty Income Corp.   119,783     6,625,198
Regency Centers Corp.   149,351     6,390,729
          26,611,156
Specialized REITs – 27.9%          
American Tower Corp.   21,048     5,433,962
CyrusOne, Inc.   91,403     6,794,899
Digital Realty Trust, Inc.   100,966     14,494,679
Equinix, Inc.   42,746     29,820,892
Extra Space Storage, Inc.   92,979     8,995,718
Gaming and Leisure Properties, Inc.   241,608     8,345,140
Life Storage, Inc.   76,104     7,418,618
SBA Communications Corp.   14,811     4,652,579
          85,956,487
          300,310,403
TOTAL COMMON STOCKS (Cost $258,514,639)   $ 303,867,399
SHORT-TERM INVESTMENTS – 2.2%      
Short-term funds – 2.2%          
John Hancock Collateral Trust, 0.3653% (B)(C)   187,867     1,880,873
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (B)   4,974,701     4,974,701
TOTAL SHORT-TERM INVESTMENTS (Cost $6,853,458)     $ 6,855,574
Total Investments (Real Estate Securities Fund)
(Cost $265,368,097) – 101.0%
      $ 310,722,973
Other assets and liabilities, net – (1.0%)       (3,183,965)
TOTAL NET ASSETS – 100.0%       $ 307,539,008
Security Abbreviations and Legend
(A) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $1,835,161.
(B) The rate shown is the annualized seven-day yield as of 5-31-20.
(C) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
 
  64  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Science & Technology Fund
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 93.9%      
Communication services – 20.0%          
Entertainment – 2.3%      
Activision Blizzard, Inc.   19,010   $ 1,368,340
Electronic Arts, Inc. (A)   2,305     283,238
NetEase, Inc., ADR   1,650     631,785
Netflix, Inc. (A)   6,105     2,562,452
Take-Two Interactive Software, Inc. (A)   2,020     275,063
Zynga, Inc., Class A (A)(B)   193,840     1,773,636
          6,894,514
Interactive media and services – 17.4%      
58.com, Inc., ADR (A)   115,118     5,526,815
Alphabet, Inc., Class C (A)   12,242     17,492,839
Baidu, Inc., ADR (A)   12,612     1,343,809
Facebook, Inc., Class A (A)   90,041     20,267,326
Mail.Ru Group, Ltd., GDR (A)   230,367     4,133,437
NAVER Corp.   14,754     2,698,338
          51,462,564
Media – 0.3%      
News Corp., Class A   65,299     799,913
          59,156,991
Consumer discretionary – 16.8%          
Automobiles – 0.3%      
Tesla, Inc. (A)   965     805,775
Internet and direct marketing retail – 16.5%      
Alibaba Group Holding, Ltd., ADR (A)   27,393     5,681,034
Amazon.com, Inc. (A)   5,756     14,058,282
Booking Holdings, Inc. (A)   4,803     7,874,134
Expedia Group, Inc.   1,785     141,872
GrubHub, Inc. (A)   805     45,676
JD.com, Inc., ADR (A)   5,745     312,126
Naspers, Ltd., N Shares   15,876     2,584,501
Tongcheng-Elong Holdings, Ltd. (A)   606,400     1,096,336
Trip.com Group, Ltd., ADR (A)   275,084     7,308,982
Zalando SE (A)(C)   141,052     9,591,380
          48,694,323
          49,500,098
Health care – 1.4%          
Health care equipment and supplies – 0.9%      
Intuitive Surgical, Inc. (A)   4,611     2,674,518
Health care technology – 0.5%      
Veeva Systems, Inc., Class A (A)   6,365     1,393,108
          4,067,626
Industrials – 0.7%          
Aerospace and defense – 0.6%      
The Boeing Company   12,165     1,774,265
Electrical equipment – 0.1%      
Bloom Energy Corp., Class A (A)   23,560     189,187
          1,963,452
Information technology – 55.0%          
Communications equipment – 0.2%      
F5 Networks, Inc. (A)   1,005     145,645
Telefonaktiebolaget LM Ericsson, ADR (B)   32,475     296,822
          442,467
Electronic equipment, instruments and components – 0.7%      
Amphenol Corp., Class A   2,385     230,296
Cognex Corp. (B)   5,360     304,126
Flex, Ltd. (A)(B)   30,130     292,562
IPG Photonics Corp. (A)   1,920     298,368
Samsung SDI Company, Ltd.   2,900     844,381
          1,969,733
Science & Technology Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
IT services – 10.6%      
Adyen NV (A)(C)   345   $ 452,392
Akamai Technologies, Inc. (A)   1,500     158,700
DXC Technology Company   11,580     164,552
EPAM Systems, Inc. (A)   980     226,027
Fidelity National Information Services, Inc.   9,482     1,316,386
Fiserv, Inc. (A)   13,110     1,399,755
Global Payments, Inc.   8,779     1,575,743
Mastercard, Inc., Class A   9,260     2,786,241
MongoDB, Inc. (A)(B)   18,600     4,317,246
Okta, Inc. (A)   31,215     6,105,030
PayPal Holdings, Inc. (A)   24,425     3,786,119
Shopify, Inc., Class A (A)   575     435,735
Square, Inc., Class A (A)   16,820     1,363,766
Twilio, Inc., Class A (A)   27,370     5,408,312
Wix.com, Ltd. (A)   8,153     1,812,656
          31,308,660
Semiconductors and semiconductor equipment – 12.9%      
Advanced Micro Devices, Inc. (A)   49,920     2,685,696
Applied Materials, Inc.   60,156     3,379,564
ASML Holding NV, NYRS (B)   2,915     960,522
Cree, Inc. (A)(B)   9,775     515,045
Intel Corp.   12,005     755,475
KLA Corp.   1,925     338,723
Lam Research Corp.   10,836     2,965,488
Maxim Integrated Products, Inc.   55,996     3,229,849
Microchip Technology, Inc.   5,765     553,555
Micron Technology, Inc. (A)   143,687     6,884,044
NVIDIA Corp.   19,661     6,980,048
Qorvo, Inc. (A)   4,385     459,285
QUALCOMM, Inc.   54,100     4,375,608
SK Hynix, Inc.   1,200     79,575
Skyworks Solutions, Inc.   13,185     1,562,950
STMicroelectronics NV   8,680     215,567
STMicroelectronics NV, NYRS (B)   40,120     996,982
Taiwan Semiconductor Manufacturing Company, Ltd., ADR   10,695     538,279
Teradyne, Inc. (B)   4,030     270,091
Tokyo Electron, Ltd.   1,900     382,343
          38,128,689
Software – 22.8%      
Alteryx, Inc., Class A (A)(B)   13,395     1,928,076
Atlassian Corp. PLC, Class A (A)   29,720     5,507,116
Autodesk, Inc. (A)   1,405     295,584
Citrix Systems, Inc.   15,336     2,271,568
Coupa Software, Inc. (A)   1,390     316,239
Crowdstrike Holdings, Inc., Class A (A)   41,125     3,611,186
Datadog, Inc., Class A (A)   6,630     472,520
DocuSign, Inc. (A)   2,340     326,992
Elastic NV (A)   3,755     322,630
Fortinet, Inc. (A)   2,105     293,016
HubSpot, Inc. (A)   12,540     2,507,248
Intuit, Inc.   5,038     1,462,632
Microsoft Corp.   90,923     16,661,640
Palo Alto Networks, Inc. (A)   1,250     294,088
Paycom Software, Inc. (A)   11,470     3,409,228
Proofpoint, Inc. (A)   7,375     857,491
RingCentral, Inc., Class A (A)   20,515     5,626,239
salesforce.com, Inc. (A)   43,631     7,626,262
ServiceNow, Inc. (A)   1,935     750,645
Slack Technologies, Inc., Class A (A)   36,070     1,264,254
Smartsheet, Inc., Class A (A)   5,230     301,562
Splunk, Inc. (A)   8,460     1,572,206
Synopsys, Inc. (A)   6,398     1,157,462
TeamViewer AG (A)   27,100     1,375,996
 
  65  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Science & Technology Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
Workday, Inc., Class A (A)   10,719   $ 1,966,186
Zendesk, Inc. (A)   3,600     308,700
Zoom Video Communications, Inc., Class A (A)   10,190     1,828,901
Zscaler, Inc. (A)(B)   30,590     3,000,573
          67,316,240
Technology hardware, storage and peripherals – 7.8%      
Apple, Inc.   26,045     8,280,747
NetApp, Inc.   11,695     520,895
Pure Storage, Inc., Class A (A)   399,057     7,027,394
Samsung Electronics Company, Ltd.   176,245     7,258,839
          23,087,875
          162,253,664
Real estate – 0.0%          
Equity real estate investment trusts – 0.0%      
Equinix, Inc.   230     160,455
TOTAL COMMON STOCKS (Cost $217,625,265)   $ 277,102,286
PREFERRED SECURITIES – 0.6%          
Communication services – 0.3%          
Media – 0.3%      
Airbnb, Inc., Series E (A)(D)(E)   16,398     901,890
Industrials – 0.3%          
Road and rail – 0.3%      
DiDi Chuxing, Inc. (A)(D)(E)   16,798     684,435
TOTAL PREFERRED SECURITIES (Cost $1,987,267)   $ 1,586,325
EXCHANGE-TRADED FUNDS – 0.4%      
Invesco QQQ Trust Series 1 (B)   1,825     425,882
iShares Expanded Tech Sector ETF   1,600     423,376
Technology Select Sector SPDR Fund   4,305     421,761
TOTAL EXCHANGE-TRADED FUNDS (Cost $1,202,359)   $ 1,271,019
TERM LOANS (F) – 0.1%          
Communication services – 0.1%          
Airbnb, Inc., Term Loan (3 month LIBOR + 7.500%)
8.500%, 04/17/2025
$ 320,000     325,200
TOTAL TERM LOANS (Cost $312,012)   $ 325,200
SHORT-TERM INVESTMENTS – 9.2%      
Short-term funds – 7.8%          
John Hancock Collateral Trust, 0.3653% (G)(H)   1,228,209     12,296,460
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (G)   2,042,607     2,042,607
T. Rowe Price Government Reserve Fund, 0.2523% (G)   8,587,459     8,587,459
          22,926,526
Repurchase agreement – 1.4%          
Repurchase Agreement with State Street Corp. dated 5-29-20 at 0.000% to be repurchased at $4,306,000 on 6-1-20, collateralized by $4,165,000 U.S. Treasury Notes, 2.000% due 11-30-22 (valued at $4,392,359) $ 4,306,000     4,306,000
TOTAL SHORT-TERM INVESTMENTS (Cost $27,226,274)   $ 27,232,526
Total Investments (Science & Technology Fund)
(Cost $248,353,177) – 104.2%
  $ 307,517,356
Other assets and liabilities, net – (4.2%)     (12,526,506)
TOTAL NET ASSETS – 100.0%   $ 294,990,850
Science & Technology Fund (continued)
Security Abbreviations and Legend
ADR American Depositary Receipt
GDR Global Depositary Receipt
LIBOR London Interbank Offered Rate
NYRS New York Registry Shares
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $11,171,209.
(C) 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.
(D) Restricted security as to resale, excluding 144A securities. For more information on this security refer to the Notes to Portfolio of Investments.
(E) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(F) Term loans are variable rate obligations. The coupon rate shown represents the rate at period end.
(G) The rate shown is the annualized seven-day yield as of 5-31-20.
(H) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Strategic Equity Allocation Fund
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 94.8%      
Communication services – 8.3%          
Diversified telecommunication services – 1.4%      
Anterix, Inc. (A)(B)   1,380   $ 73,968
AT&T, Inc.   823,159     25,402,687
ATN International, Inc.   1,401     83,219
Bandwidth, Inc., Class A (A)(B)   2,032     225,247
BCE, Inc.   28,151     1,170,121
BT Group PLC   747,815     1,076,645
Cellnex Telecom SA (A)(C)   36,273     2,035,213
CenturyLink, Inc. (B)   110,555     1,086,756
China Telecom Corp., Ltd., H Shares   1,801,296     597,549
China Tower Corp., Ltd., H Shares (C)   5,394,400     1,095,598
China Unicom Hong Kong, Ltd.   793,816     461,599
Chunghwa Telecom Company, Ltd.   466,479     1,717,598
Cincinnati Bell, Inc. (A)   6,270     92,357
Cogent Communications Holdings, Inc.   5,323     407,316
Consolidated Communications Holdings, Inc. (A)   8,983     54,437
Deutsche Telekom AG   482,114     7,566,118
Elisa OYJ   18,375     1,144,995
HKT Trust & HKT, Ltd.   453,322     644,895
IDT Corp., Class B (A)   2,217     14,056
Iliad SA   815     142,764
Iridium Communications, Inc. (A)   12,578     289,294
Koninklijke KPN NV   584,269     1,428,169
LG Uplus Corp.   42,525     452,904
Nippon Telegraph & Telephone Corp.   199,900     4,549,961
Ooma, Inc. (A)   2,644     33,156
Orange Polska SA (A)   46,571     75,439
Orange SA   108,860     1,309,203
ORBCOMM, Inc. (A)   9,991     27,375
PCCW, Ltd.   467,000     256,768
Proximus SADP   8,500     176,360
Singapore Telecommunications, Ltd.   106,650     187,815
Singapore Telecommunications, Ltd.   229,178     403,347
Spark New Zealand, Ltd.   113,104     310,918
Swisscom AG   3,183     1,656,436
Telecom Italia SpA (A)   901,840     334,779
Telecom Italia SpA, Savings Shares   636,925     246,484
Telefonica Deutschland Holding AG   123,978     378,094
 
  66  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified telecommunication services (continued)      
Telefonica SA   677,346   $ 3,171,803
Telekom Malaysia BHD   118,818     115,312
Telekomunikasi Indonesia Persero Tbk PT   4,925,660     1,062,936
Telenor ASA   44,728     677,961
Telia Company AB   398,138     1,361,774
Telkom SA SOC, Ltd.   37,277     37,697
Telstra Corp., Ltd.   541,856     1,160,511
TELUS Corp.   71,343     1,236,332
TPG Telecom, Ltd.   47,548     267,299
True Corp. PCL, NVDR   1,153,500     133,924
United Internet AG   14,689     605,078
Verizon Communications, Inc.   466,036     26,741,146
Vonage Holdings Corp. (A)   28,702     276,400
          94,057,813
Entertainment – 1.4%      
Activision Blizzard, Inc.   107,727     7,754,189
Alibaba Pictures Group, Ltd. (A)   1,840,500     224,298
AMC Entertainment Holdings, Inc., Class A (B)   6,790     34,833
Bollore SA   44,090     126,604
CD Projekt SA (A)   4,835     487,397
Cinemark Holdings, Inc.   28,579     429,542
Electronic Arts, Inc. (A)   40,942     5,030,953
Eros International PLC (A)(B)   9,492     30,659
Gaia, Inc. (A)   1,480     11,588
Glu Mobile, Inc. (A)   14,664     146,347
HUYA, Inc., ADR (A)(B)   7,900     122,608
IMAX Corp. (A)   6,720     84,739
iQIYI, Inc., ADR (A)(B)   16,100     267,099
Konami Holdings Corp.   14,500     509,430
Liberty Media Corp.-Liberty Braves, Class A (A)   1,318     29,774
Liberty Media Corp.-Liberty Braves, Class C (A)   4,582     100,575
Live Nation Entertainment, Inc. (A)(B)   19,759     971,352
LiveXLive Media, Inc. (A)   4,497     12,861
NCSoft Corp.   3,266     2,086,260
NetEase, Inc., ADR   9,104     3,485,922
Netflix, Inc. (A)   61,452     25,793,248
Netmarble Corp. (A)(C)   5,054     377,599
Nexon Company, Ltd.   76,800     1,600,192
Nintendo Company, Ltd.   17,339     7,049,668
Pearl Abyss Corp. (A)   1,261     208,408
Square Enix Holdings Company, Ltd.   14,200     691,738
Take-Two Interactive Software, Inc. (A)   15,870     2,161,018
Tencent Music Entertainment Group, ADR (A)(B)   11,700     151,164
The Marcus Corp.   2,970     40,036
The Walt Disney Company   252,736     29,645,933
Toho Company, Ltd.   17,300     636,066
Ubisoft Entertainment SA (A)   4,926     382,226
Vivendi SA   45,012     1,029,214
World Wrestling Entertainment, Inc., Class A (B)   12,722     588,647
          92,302,187
Interactive media and services – 3.8%      
58.com, Inc., ADR (A)   12,100     580,921
Alphabet, Inc., Class A (A)   42,014     60,227,909
Alphabet, Inc., Class C (A)   41,911     59,887,466
Auto Trader Group PLC (C)   84,423     586,809
Autohome, Inc., ADR (B)   7,500     576,975
Baidu, Inc., ADR (A)   35,300     3,761,215
CarGurus, Inc. (A)   9,519     247,304
Cars.com, Inc. (A)(B)   8,731     53,870
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Interactive media and services (continued)      
DHI Group, Inc. (A)   6,634   $ 17,713
Eventbrite, Inc., Class A (A)(B)   4,763     41,057
EverQuote, Inc., Class A (A)   1,097     59,150
Facebook, Inc., Class A (A)   337,440     75,954,370
JOYY, Inc., ADR (A)   7,400     451,770
Kakaku.com, Inc.   20,800     505,117
Kakao Corp.   10,245     2,187,948
Liberty TripAdvisor Holdings, Inc., Class A (A)   9,722     23,090
LINE Corp. (A)   9,100     455,627
Momo, Inc., ADR   19,300     374,420
NAVER Corp.   27,767     5,078,266
QuinStreet, Inc. (A)   5,916     59,988
REA Group, Ltd.   6,675     448,881
SEEK, Ltd. (B)   42,710     573,740
SINA Corp. (A)   7,900     247,349
Tencent Holdings, Ltd.   736,212     39,870,192
The Meet Group, Inc. (A)   8,674     53,605
TripAdvisor, Inc.   28,168     543,079
TrueCar, Inc. (A)   13,663     36,890
Twitter, Inc. (A)   108,861     3,371,425
Weibo Corp., ADR (A)(B)   7,000     215,390
Yelp, Inc. (A)(B)   25,831     561,566
Z Holdings Corp.   412,107     1,695,019
          258,748,121
Media – 0.9%      
Altice Europe NV (A)   101,729     401,850
AMC Networks, Inc., Class A (A)   11,815     334,010
Boston Omaha Corp., Class A (A)   1,402     22,881
Cable One, Inc.   1,347     2,541,641
Cardlytics, Inc. (A)(B)   1,803     122,766
Central European Media Enterprises, Ltd., Class A (A)   11,214     44,856
Charter Communications, Inc., Class A (A)   21,985     11,959,840
Cheil Worldwide, Inc.   13,697     184,132
China Literature, Ltd. (A)(B)(C)   32,200     184,021
Comcast Corp., Class A   636,583     25,208,687
comScore, Inc. (A)   6,713     25,274
Cumulus Media, Inc., Class A (A)   1,956     10,113
CyberAgent, Inc.   15,600     788,867
Cyfrowy Polsat SA   17,495     114,106
Daily Journal Corp. (A)(B)   141     39,494
Dentsu Group, Inc.   33,344     891,089
Discovery, Inc., Series A (A)(B)   22,158     481,937
Discovery, Inc., Series C (A)   47,051     921,729
DISH Network Corp., Class A (A)   35,898     1,136,172
Emerald Holding, Inc.   3,869     8,589
Entercom Communications Corp., Class A   15,707     26,231
Entravision Communications Corp., Class A   8,025     12,038
Eutelsat Communications SA   9,376     93,874
Fluent, Inc. (A)   6,028     12,026
Fox Corp., Class A   49,711     1,450,070
Fox Corp., Class B   22,769     655,292
Gannett Company, Inc.   15,954     20,900
Gray Television, Inc. (A)   11,536     160,812
Grupo Televisa SAB (A)   323,597     383,509
Hakuhodo DY Holdings, Inc.   35,900     447,073
Hemisphere Media Group, Inc. (A)   2,386     23,383
Informa PLC   110,749     634,425
ITV PLC   324,723     323,807
JCDecaux SA (A)   4,229     86,654
John Wiley & Sons, Inc., Class A   11,728     471,466
 
  67  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Media (continued)      
Liberty Latin America, Ltd., Class A (A)(B)   6,234   $ 62,153
Liberty Latin America, Ltd., Class C (A)   14,155     135,888
Loral Space & Communications, Inc.   1,674     31,521
MDC Partners, Inc., Class A (A)   7,810     10,270
Media General, Inc. (A)(D)   18,354     1,745
Megacable Holdings SAB de CV   41,900     126,600
Meredith Corp. (B)   5,100     76,194
MSG Networks, Inc., Class A (A)(B)   5,463     67,632
MultiChoice Group, Ltd. (A)   54,172     267,646
National CineMedia, Inc.   8,132     22,363
News Corp., Class A   54,513     667,784
News Corp., Class B   17,039     208,898
Omnicom Group, Inc.   30,530     1,672,739
Pearson PLC   69,822     399,313
Publicis Groupe SA   11,949     340,489
Quebecor, Inc., Class B   31,345     689,119
Saga Communications, Inc., Class A   489     12,993
Schibsted ASA, B Shares (A)   6,172     148,105
Scholastic Corp.   3,817     112,220
SES SA   19,859     147,123
Shaw Communications, Inc., Class B   82,488     1,391,725
Singapore Press Holdings, Ltd.   70,400     63,964
TechTarget, Inc. (A)(B)   2,904     79,831
TEGNA, Inc.   85,549     1,002,634
Telenet Group Holding NV   2,393     97,905
The EW Scripps Company, Class A   7,080     61,384
The Interpublic Group of Companies, Inc.   54,366     930,202
The New York Times Company, Class A   38,538     1,511,846
Tribune Publishing Company   2,268     21,546
ViacomCBS, Inc., Class B   75,778     1,571,636
WideOpenWest, Inc. (A)   3,284     21,379
WPP PLC   113,449     863,400
          63,041,861
Wireless telecommunication services – 0.8%      
Advanced Info Service PCL, NVDR   122,100     739,171
America Movil SAB de CV, Series L   4,467,400     2,969,604
Axiata Group BHD   283,953     248,057
Boingo Wireless, Inc. (A)   5,581     76,460
China Mobile, Ltd.   789,970     5,585,670
DiGi.Com BHD   310,020     324,188
Empresa Nacional de Telecomunicaciones SA   23,648     150,681
Far EasTone Telecommunications Company, Ltd.   189,595     409,338
Globe Telecom, Inc.   4,505     204,169
Gogo, Inc. (A)(B)   7,540     15,683
Intouch Holdings PCL, NVDR   230,800     390,994
KDDI Corp.   274,567     8,014,386
Maxis BHD   239,660     290,847
Millicom International Cellular SA   14,145     337,844
MTN Group, Ltd.   211,848     656,716
NTT DOCOMO, Inc.   207,000     5,689,119
PLDT, Inc.   11,755     292,553
Rogers Communications, Inc., Class B   62,194     2,606,380
Shenandoah Telecommunications Company   6,057     318,659
SK Telecom Company, Ltd.   4,011     700,527
Softbank Corp.   259,500     3,295,099
SoftBank Group Corp.   243,552     11,124,418
Spok Holdings, Inc.   2,430     24,956
Taiwan Mobile Company, Ltd.   197,000     704,927
Tele2 AB, B Shares   72,651     962,618
Telephone & Data Systems, Inc.   26,219     537,227
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Wireless telecommunication services (continued)      
TIM Participacoes SA   85,989   $ 219,472
T-Mobile US, Inc. (A)   42,898     4,291,516
Total Access Communication PCL, NVDR   72,200     100,692
Turkcell Iletisim Hizmetleri AS   72,353     150,330
Vodacom Group, Ltd.   79,608     571,569
Vodafone Group PLC   2,378,277     3,911,072
XL Axiata Tbk PT (A)   381,700     67,750
          55,982,692
          564,132,674
Consumer discretionary – 10.7%          
Auto components – 0.5%      
Adient PLC (A)   34,483     586,556
Aisin Seiki Company, Ltd.   25,100     794,809
American Axle & Manufacturing Holdings, Inc. (A)(B)   14,402     102,398
Aptiv PLC   53,703     4,046,521
BorgWarner, Inc.   43,439     1,396,564
Bridgestone Corp.   88,300     2,930,691
Cheng Shin Rubber Industry Company, Ltd.   226,730     248,374
Cie Generale des Etablissements Michelin SCA   9,367     948,041
Continental AG   15,791     1,561,614
Cooper Tire & Rubber Company   6,372     163,952
Cooper-Standard Holdings, Inc. (A)   2,255     23,655
Dana, Inc.   56,900     719,216
Delphi Technologies PLC (A)(B)   23,074     297,193
Denso Corp.   67,316     2,592,882
Dorman Products, Inc. (A)   3,414     238,707
Faurecia SE (A)   3,997     154,971
Fox Factory Holding Corp. (A)(B)   4,762     343,388
Fuyao Glass Industry Group Company, Ltd., H Shares (C)   59,500     131,397
Gentex Corp.   67,817     1,793,081
Gentherm, Inc. (A)   4,185     170,330
Hankook Tire & Technology Company, Ltd.   15,120     287,373
Hanon Systems   36,140     284,960
Hyundai Mobis Company, Ltd.   13,304     2,133,122
JTEKT Corp.   32,600     263,939
Koito Manufacturing Company, Ltd.   16,176     688,026
LCI Industries   3,079     304,605
Lear Corp.   14,752     1,564,450
Linamar Corp.   510     14,165
Magna International, Inc.   50,841     2,143,900
Modine Manufacturing Company (A)   6,486     34,700
Motorcar Parts of America, Inc. (A)   2,427     38,395
Nexteer Automotive Group, Ltd.   117,982     64,788
NGK Spark Plug Company, Ltd.   24,500     396,395
Nokian Renkaat OYJ   16,111     375,284
Pirelli & C. SpA (A)(C)   38,916     175,143
Standard Motor Products, Inc.   2,640     112,332
Stanley Electric Company, Ltd.   20,300     495,933
Stoneridge, Inc. (A)(B)   3,377     69,499
Sumitomo Electric Industries, Ltd.   118,000     1,380,539
Sumitomo Rubber Industries, Ltd.   25,800     263,543
Tenneco, Inc., Class A (A)   6,760     45,698
The Goodyear Tire & Rubber Company   62,346     474,453
The Yokohama Rubber Company, Ltd.   18,500     280,492
Toyoda Gosei Company, Ltd.   10,000     214,677
Toyota Industries Corp.   22,829     1,172,924
Valeo SA   13,150     325,053
 
  68  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Auto components (continued)      
Visteon Corp. (A)   11,032   $ 794,304
          33,643,032
Automobiles – 1.0%      
Astra International Tbk PT   2,029,808     664,279
BAIC Motor Corp., Ltd., H Shares (C)   219,700     89,061
Bayerische Motoren Werke AG   48,037     2,815,264
Brilliance China Automotive Holdings, Ltd.   390,300     343,606
BYD Company, Ltd., H Shares (B)   80,694     463,100
Daimler AG   131,902     4,914,866
Dongfeng Motor Group Company, Ltd., H Shares   351,680     222,484
Ferrari NV   12,211     2,076,191
Fiat Chrysler Automobiles NV (A)   112,850     1,007,243
Ford Motor Company   819,149     4,677,341
Ford Otomotiv Sanayi AS   4,107     37,305
Geely Automobile Holdings, Ltd.   643,000     888,441
General Motors Company   264,494     6,845,105
Great Wall Motor Company, Ltd., H Shares   396,250     252,360
Guangzhou Automobile Group Company, Ltd., H Shares   375,346     310,876
Harley-Davidson, Inc.   32,457     692,632
Honda Motor Company, Ltd.   253,627     6,604,089
Hyundai Motor Company   29,728     2,363,625
Isuzu Motors, Ltd.   86,200     809,647
Kia Motors Corp.   52,615     1,463,041
Mazda Motor Corp.   87,480     564,728
Mitsubishi Motors Corp.   99,900     283,002
NIO, Inc., ADR (A)(B)   83,900     333,922
Nissan Motor Company, Ltd.   357,825     1,356,058
Peugeot SA (A)   32,808     470,972
Renault SA   10,408     235,935
Subaru Corp.   95,600     2,117,990
Suzuki Motor Corp.   57,100     1,990,487
Thor Industries, Inc. (B)   14,798     1,275,588
Toyota Motor Corp.   354,800     22,360,305
Volkswagen AG   4,598     731,557
Winnebago Industries, Inc. (B)   3,922     213,357
Yamaha Motor Company, Ltd.   44,400     643,146
          70,117,603
Distributors – 0.1%      
Core-Mark Holding Company, Inc.   5,743     160,689
Funko, Inc., Class A (A)   2,907     16,425
Genuine Parts Company   33,711     2,811,835
Jardine Cycle & Carriage, Ltd.   4,954     76,918
LKQ Corp. (A)   71,107     1,952,598
Pool Corp.   10,733     2,887,392
Weyco Group, Inc.   819     15,291
          7,921,148
Diversified consumer services – 0.2%      
Adtalem Global Education, Inc. (A)   21,168     708,281
American Public Education, Inc. (A)   1,929     60,628
Benesse Holdings, Inc.   11,000     298,440
Carriage Services, Inc.   2,089     39,106
Chegg, Inc. (A)   14,971     914,429
China East Education Holdings, Ltd. (C)   69,500     137,335
China Education Group Holdings, Ltd.   74,000     128,628
Cogna Educacao   179,780     177,209
Collectors Universe, Inc.   1,163     25,865
Graham Holdings Company, Class B   1,166     417,696
Grand Canyon Education, Inc. (A)   12,928     1,261,644
H&R Block, Inc.   35,464     602,888
Houghton Mifflin Harcourt Company (A)   14,381     22,003
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified consumer services (continued)      
K12, Inc. (A)   4,972   $ 122,411
Laureate Education, Inc., Class A  (A)   14,333     139,460
New Oriental Education & Technology Group, Inc., ADR (A)   18,300     2,195,268
OneSpaWorld Holdings, Ltd.   5,961     38,985
Perdoceo Education Corp. (A)   8,737     142,238
Regis Corp. (A)   3,022     31,791
Service Corp. International   49,001     1,932,109
Strategic Education, Inc.   2,696     457,322
TAL Education Group, ADR (A)   49,462     2,792,625
WW International, Inc. (A)   18,361     438,828
          13,085,189
Hotels, restaurants and leisure – 1.8%      
Accor SA (A)   9,576     270,712
Alsea SAB de CV (A)   70,200     59,232
Altus San Nicolas Corp. (A)(D)   4,667     479
AmRest Holdings SE (A)   5,395     35,331
Aristocrat Leisure, Ltd.   74,632     1,287,341
BBX Capital Corp.   8,990     16,092
BJ's Restaurants, Inc.   2,499     54,278
Bloomin' Brands, Inc.   11,118     126,856
Boyd Gaming Corp.   31,697     677,682
Brinker International, Inc.   14,781     389,479
Caesars Entertainment Corp. (A)   149,626     1,704,240
Carnival Corp. (B)   84,608     1,331,730
Carnival PLC   15,216     200,948
Carrols Restaurant Group, Inc. (A)   4,789     20,545
Century Casinos, Inc. (A)   3,676     20,108
Chipotle Mexican Grill, Inc. (A)   4,645     4,663,162
Choice Hotels International, Inc. (B)   8,516     688,348
Churchill Downs, Inc.   13,944     1,849,950
Chuy's Holdings, Inc. (A)   2,167     34,650
Compass Group PLC   140,768     2,063,573
Cracker Barrel Old Country Store, Inc.   9,497     1,017,414
Crown Resorts, Ltd.   49,399     316,520
Darden Restaurants, Inc.   23,694     1,821,121
Dave & Buster's Entertainment, Inc.   4,027     53,116
Del Taco Restaurants, Inc. (A)   3,975     24,248
Denny's Corp. (A)   7,468     80,990
Dine Brands Global, Inc. (B)   2,034     92,323
Domino's Pizza, Inc.   7,024     2,710,140
Drive Shack, Inc. (A)   8,467     15,071
Dunkin' Brands Group, Inc.   22,209     1,418,489
El Pollo Loco Holdings, Inc. (A)   2,551     35,382
Eldorado Resorts, Inc. (A)(B)   25,873     917,457
Everi Holdings, Inc. (A)   10,282     63,851
Fiesta Restaurant Group, Inc. (A)   3,156     25,974
Flight Centre Travel Group, Ltd.   18,022     157,990
Flutter Entertainment PLC   10,928     1,394,565
Flutter Entertainment PLC (London Stock Exchange)   8,894     1,131,548
Galaxy Entertainment Group, Ltd.   262,000     1,790,910
Genting BHD   227,400     209,663
Genting Malaysia BHD   312,560     167,030
Genting Singapore, Ltd.   288,400     160,702
Golden Entertainment, Inc. (A)   2,302     28,073
GVC Holdings PLC   52,130     511,748
Haidilao International Holding, Ltd. (B)(C)   46,000     223,767
Hilton Worldwide Holdings, Inc.   51,257     4,065,193
Huazhu Group, Ltd., ADR (B)   16,900     571,558
InterContinental Hotels Group PLC   15,466     742,275
Jack in the Box, Inc. (B)   9,274     621,543
Jollibee Foods Corp.   59,480     127,925
Kangwon Land, Inc.   23,502     461,692
 
  69  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Las Vegas Sands Corp.   61,390   $ 2,943,037
Lindblad Expeditions Holdings, Inc. (A)   3,068     24,084
Marriott International, Inc., Class A   49,296     4,362,696
Marriott Vacations Worldwide Corp.   15,273     1,371,974
McDonald's Corp.   136,808     25,490,067
McDonald's Holdings Company Japan, Ltd.   10,100     537,486
Melco Resorts & Entertainment, Ltd., ADR   26,500     424,795
MGM Resorts International   93,552     1,607,223
Minor International PCL, NVDR (A)(B)   286,000     167,474
Monarch Casino & Resort, Inc. (A)   1,481     59,447
Nathan's Famous, Inc.   394     22,076
Noodles & Company (A)   3,801     22,274
Norwegian Cruise Line Holdings, Ltd. (A)(B)   45,254     708,678
Oriental Land Company, Ltd. (B)   31,000     4,503,337
Papa John's International, Inc. (B)   8,707     678,188
Penn National Gaming, Inc. (A)(B)   49,670     1,629,673
PlayAGS, Inc. (A)   3,636     18,944
RCI Hospitality Holdings, Inc.   1,166     16,895
Red Robin Gourmet Burgers, Inc. (A)   1,739     24,103
Red Rock Resorts, Inc., Class A   8,964     123,703
Restaurant Brands International, Inc.   48,720     2,661,669
Royal Caribbean Cruises, Ltd. (B)   31,227     1,619,697
Ruth's Hospitality Group, Inc.   3,631     29,447
Sands China, Ltd.   292,052     1,147,207
Scientific Games Corp. (A)(B)   21,614     339,988
SeaWorld Entertainment, Inc. (A)(B)   6,009     108,523
Shake Shack, Inc., Class A (A)(B)   3,683     204,591
Six Flags Entertainment Corp. (B)   21,073     484,258
SJM Holdings, Ltd.   230,384     257,418
Sodexo SA   4,807     324,304
Starbucks Corp.   214,543     16,732,209
Tabcorp Holdings, Ltd.   260,043     559,601
Target Hospitality Corp. (A)   5,122     12,190
Texas Roadhouse, Inc.   25,861     1,340,893
The Cheesecake Factory, Inc. (B)   16,338     350,940
The Wendy's Company   49,337     1,048,905
TUI AG   41,078     224,004
Twin River Worldwide Holdings, Inc.   2,254     47,131
Whitbread PLC   11,916     373,727
Wingstop, Inc.   3,709     452,313
Wyndham Destinations, Inc.   24,316     773,249
Wyndham Hotels & Resorts, Inc.   25,513     1,171,812
Wynn Macau, Ltd.   184,550     316,094
Wynn Resorts, Ltd.   17,552     1,461,731
Yum China Holdings, Inc.   45,808     2,122,743
Yum! Brands, Inc.   54,945     4,930,215
          120,284,027
Household durables – 0.8%      
Arcelik AS (A)   12,151     28,126
Barratt Developments PLC   92,149     569,997
Bassett Furniture Industries, Inc.   1,485     9,504
Beazer Homes USA, Inc. (A)   3,803     37,345
Casio Computer Company, Ltd.   30,100     531,587
Cavco Industries, Inc. (A)   1,090     207,307
Century Communities, Inc. (A)(B)   3,608     106,580
Coway Company, Ltd.   10,226     550,682
D.R. Horton, Inc.   53,578     2,962,863
Electrolux AB, Series B   33,104     545,814
Ethan Allen Interiors, Inc.   3,043     34,386
Flexsteel Industries, Inc.   1,126     11,181
Garmin, Ltd.   23,084     2,081,484
GoPro, Inc., Class A (A)   16,382     77,159
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Household durables (continued)      
Green Brick Partners, Inc. (A)   3,107   $ 33,245
Haier Electronics Group Company, Ltd.   160,200     448,541
Hamilton Beach Brands Holding Company, Class A   892     8,519
Hamilton Beach Brands Holding Company, Class B   765     7,306
Helen of Troy, Ltd. (A)   9,916     1,803,919
Hooker Furniture Corp.   1,547     25,216
Husqvarna AB, B Shares   61,084     452,983
Iida Group Holdings Company, Ltd.   23,000     341,843
Installed Building Products, Inc. (A)   2,870     184,484
iRobot Corp. (A)   3,512     258,905
KB Home   33,906     1,121,610
La-Z-Boy, Inc.   5,695     146,475
Leggett & Platt, Inc.   21,028     643,247
Lennar Corp., A Shares   44,719     2,703,711
LG Electronics, Inc.   21,277     1,023,034
LGI Homes, Inc. (A)(B)   2,530     211,053
M/I Homes, Inc. (A)   3,424     114,636
MDC Holdings, Inc.   6,343     215,599
Meritage Homes Corp. (A)   4,573     317,824
Mohawk Industries, Inc. (A)   9,499     885,307
Newell Brands, Inc.   60,885     800,638
Nien Made Enterprise Company, Ltd.   20,300     174,449
Nikon Corp.   49,700     457,438
NVR, Inc. (A)   555     1,787,994
Panasonic Corp.   344,220     3,083,831
Persimmon PLC   28,588     815,442
PulteGroup, Inc.   40,701     1,382,613
Purple Innovation, Inc. (A)   1,069     15,329
Rinnai Corp.   5,100     430,860
SEB SA   1,181     162,858
Sekisui Chemical Company, Ltd.   57,100     800,376
Sekisui House, Ltd.   96,700     1,845,919
Sharp Corp.   33,140     360,889
Skyline Champion Corp. (A)   6,377     158,405
Sonos, Inc. (A)   10,197     110,739
Sony Corp.   197,700     12,804,205
Tatung Company, Ltd. (A)   229,000     158,438
Taylor Morrison Home Corp. (A)   51,971     1,004,599
Taylor Wimpey PLC   296,714     531,497
Tempur Sealy International, Inc. (A)(B)   12,180     794,501
The Berkeley Group Holdings PLC   10,754     547,827
The Lovesac Company (A)(B)   1,184     21,679
Toll Brothers, Inc.   32,360     1,045,552
TopBuild Corp. (A)(B)   4,219     483,877
TRI Pointe Group, Inc. (A)   54,807     784,836
Tupperware Brands Corp.   6,421     20,740
Universal Electronics, Inc. (A)   1,708     77,270
Whirlpool Corp. (B)   10,098     1,230,138
ZAGG, Inc. (A)   3,851     11,495
          50,605,906
Internet and direct marketing retail – 2.7%      
1-800-Flowers.com, Inc., Class A (A)   3,148     69,697
Alibaba Group Holding, Ltd., ADR (A)   223,256     46,301,062
Amazon.com, Inc. (A)   34,665     84,664,756
B2W Cia Digital (A)   20,800     357,119
Baozun, Inc., ADR (A)(B)   5,600     148,344
Booking Holdings, Inc. (A)   3,484     5,711,739
CJ ENM Company, Ltd.   2,164     212,476
Delivery Hero SE (A)(C)   16,331     1,571,241
eBay, Inc.   63,649     2,898,575
Etsy, Inc. (A)   31,765     2,572,330
Expedia Group, Inc.   11,632     924,511
Groupon, Inc. (A)   57,949     73,885
 
  70  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Internet and direct marketing retail (continued)      
GrubHub, Inc. (A)(B)   24,516   $ 1,391,038
JD.com, Inc., ADR (A)   94,800     5,150,484
Just Eat Takeaway.com NV (A)(C)   18,915     2,059,367
Liquidity Services, Inc. (A)   3,619     20,664
Meituan Dianping, Class B (A)   130,100     2,477,889
Mercari, Inc. (A)   11,900     356,129
Naspers, Ltd., N Shares   55,343     9,009,451
Ocado Group PLC (A)   40,141     1,091,731
Overstock.com, Inc. (A)   4,472     82,151
PetMed Express, Inc. (B)   2,447     88,337
Pinduoduo, Inc., ADR (A)(B)   24,800     1,658,376
Prosus NV (A)   80,246     6,695,908
Quotient Technology, Inc. (A)   9,617     66,934
Rakuten, Inc.   133,342     1,214,001
Shutterstock, Inc.   2,427     92,032
Stamps.com, Inc. (A)(B)   2,086     413,341
Stitch Fix, Inc., Class A (A)(B)   5,251     121,403
The RealReal, Inc. (A)(B)   6,613     88,680
The Rubicon Project, Inc. (A)   12,414     77,836
Trip.com Group, Ltd., ADR (A)   60,600     1,610,142
Vipshop Holdings, Ltd., ADR (A)   56,600     981,444
Waitr Holdings, Inc. (A)   8,000     19,760
Zalando SE (A)(C)   20,078     1,365,282
ZOZO, Inc.   16,800     309,843
          181,947,958
Leisure products – 0.2%      
Acushnet Holdings Corp. (B)   4,400     147,048
Bandai Namco Holdings, Inc.   30,900     1,717,938
Brunswick Corp.   21,869     1,203,014
Callaway Golf Company (B)   11,809     180,914
Clarus Corp.   3,076     32,299
Escalade, Inc.   1,376     13,870
Giant Manufacturing Company, Ltd.   36,661     287,545
Hasbro, Inc. (B)   20,333     1,494,679
HLB, Inc. (A)   7,297     668,909
Johnson Outdoors, Inc., Class A   675     52,387
Malibu Boats, Inc., Class A (A)   2,584     121,784
Marine Products Corp.   989     11,126
MasterCraft Boat Holdings, Inc. (A)   2,383     35,411
Mattel, Inc. (A)(B)   92,948     856,051
Polaris, Inc.   15,415     1,346,346
Sankyo Company, Ltd.   6,584     169,832
Sega Sammy Holdings, Inc.   26,700     348,513
Shimano, Inc.   11,500     2,115,206
Smith & Wesson Brands, Inc. (A)   6,840     80,849
Sturm Ruger & Company, Inc. (B)   2,099     130,852
Vista Outdoor, Inc. (A)   7,325     71,126
Yamaha Corp.   22,300     1,087,905
YETI Holdings, Inc. (A)(B)   8,851     284,117
          12,457,721
Multiline retail – 0.5%      
Big Lots, Inc. (B)   4,928     190,960
Canadian Tire Corp., Ltd., Class A (B)   10,570     902,962
Central Retail Corp. PCL, NVDR (A)   186,275     226,487
Dillard's, Inc., Class A (B)   3,917     117,549
Dollar General Corp.   37,967     7,271,060
Dollar Tree, Inc. (A)   35,292     3,454,028
Dollarama, Inc.   51,068     1,731,383
El Puerto de Liverpool SAB de CV, Series C1   24,075     60,148
Falabella SA   114,375     266,503
Harvey Norman Holdings, Ltd.   73,474     159,440
Hyundai Department Store Company, Ltd.   2,840     147,120
Isetan Mitsukoshi Holdings, Ltd.   51,640     346,592
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Multiline retail (continued)      
J Front Retailing Company, Ltd.   35,500   $ 302,194
Kohl's Corp.   23,346     448,710
Lojas Renner SA   79,225     572,330
Lotte Shopping Company, Ltd.   2,198     158,626
Magazine Luiza SA   73,600     887,536
Marks & Spencer Group PLC   174,787     212,225
Marui Group Company, Ltd.   29,200     528,285
Next PLC   11,816     714,586
Nordstrom, Inc. (B)   15,974     257,661
Ollie's Bargain Outlet Holdings, Inc. (A)(B)   14,660     1,340,657
Pan Pacific International Holdings Corp.   68,400     1,379,251
Ryohin Keikaku Company, Ltd.   37,100     562,638
Shinsegae, Inc.   1,472     292,189
Target Corp.   75,567     9,244,111
Wesfarmers, Ltd.   147,004     3,959,452
Woolworths Holdings, Ltd.   117,791     194,660
          35,929,343
Specialty retail – 2.0%      
Aaron's, Inc.   26,562     980,403
ABC-Mart, Inc.   4,967     301,709
Abercrombie & Fitch Company, Class A (B)   8,011     93,088
Ace Hardware Indonesia Tbk PT (A)   632,000     67,329
Advance Auto Parts, Inc.   11,537     1,607,335
American Eagle Outfitters, Inc.   62,566     573,105
America's Car-Mart, Inc. (A)   785     62,462
Asbury Automotive Group, Inc. (A)(B)   2,445     176,725
At Home Group, Inc. (A)(B)   6,276     29,748
AutoNation, Inc. (A)   15,785     623,192
AutoZone, Inc. (A)   3,969     4,555,856
Bed Bath & Beyond, Inc. (B)   49,546     360,199
Best Buy Company, Inc.   37,934     2,962,266
Boot Barn Holdings, Inc. (A)(B)   3,618     77,715
Caleres, Inc.   5,123     36,732
Camping World Holdings, Inc., Class A (B)   4,202     88,998
CarMax, Inc. (A)   27,391     2,411,778
Chico's FAS, Inc.   15,263     20,605
Citi Trends, Inc.   1,430     23,223
Conn's, Inc. (A)(B)   2,401     17,335
Designer Brands, Inc., Class A (B)   7,945     48,703
Dick's Sporting Goods, Inc.   17,049     614,787
Dufry AG (A)   5,072     151,789
Express, Inc. (A)   8,531     16,721
Fast Retailing Company, Ltd.   9,100     5,114,975
Five Below, Inc. (A)   14,925     1,561,901
Foot Locker, Inc.   28,695     794,852
GameStop Corp., Class A (A)(B)   8,537     34,660
Genesco, Inc. (A)   1,845     34,114
GOME Retail Holdings, Ltd. (A)(B)   1,170,541     145,911
Group 1 Automotive, Inc. (B)   2,237     140,797
Guess?, Inc. (B)   5,904     56,501
Haverty Furniture Companies, Inc.   2,323     40,188
Hennes & Mauritz AB, B Shares   117,852     1,792,356
Hibbett Sports, Inc. (A)   2,215     42,794
Hikari Tsushin, Inc.   3,200     701,833
Home Product Center PCL, NVDR   600,400     280,653
Hotai Motor Company, Ltd.   37,000     663,633
Hotel Shilla Company, Ltd.   6,245     401,373
Hudson, Ltd., Class A (A)   5,308     26,752
Industria de Diseno Textil SA   158,189     4,406,109
JD Sports Fashion PLC   38,995     319,697
Kingfisher PLC   191,070     463,724
L Brands, Inc.   38,685     626,310
 
  71  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
Lithia Motors, Inc., Class A   2,835   $ 341,873
Lowe's Companies, Inc.   127,680     16,643,088
Lumber Liquidators Holdings, Inc. (A)   3,693     36,708
MarineMax, Inc. (A)   2,693     51,248
Monro, Inc. (B)   4,146     228,445
Mr. Price Group, Ltd.   31,093     231,432
Murphy USA, Inc. (A)   11,429     1,326,907
National Vision Holdings, Inc. (A)(B)   9,929     265,899
Nitori Holdings Company, Ltd.   12,400     2,245,066
Office Depot, Inc.   68,816     169,976
OneWater Marine, Inc. Class A (A)   644     9,499
O'Reilly Automotive, Inc. (A)   12,603     5,258,476
Pepkor Holdings, Ltd. (C)   100,552     68,541
Petrobras Distribuidora SA   70,100     284,273
Rent-A-Center, Inc.   6,247     159,049
RH (A)(B)   6,517     1,413,472
Ross Stores, Inc.   60,258     5,842,616
Sally Beauty Holdings, Inc. (A)   46,017     600,062
Shimamura Company, Ltd.   3,400     239,412
Shoe Carnival, Inc.   1,190     30,928
Signet Jewelers, Ltd. (B)   6,642     70,073
Sleep Number Corp. (A)(B)   3,549     110,622
Sonic Automotive, Inc., Class A (B)   3,082     80,995
Sportsman's Warehouse Holdings, Inc. (A)   5,367     59,949
The Buckle, Inc. (B)   3,671     51,688
The Cato Corp., Class A   2,895     28,082
The Children's Place, Inc. (B)   1,879     78,242
The Foschini Group, Ltd.   28,631     102,661
The Gap, Inc. (B)   35,443     315,443
The Home Depot, Inc.   181,712     45,151,798
The Michaels Companies, Inc. (A)(B)   10,225     39,469
The TJX Companies, Inc.   202,009     10,657,995
Tiffany & Company   17,982     2,304,034
Tilly's, Inc., Class A   2,845     14,566
Topsports International Holdings, Ltd. (C)   157,000     224,588
Tractor Supply Company   19,721     2,406,356
Ulta Beauty, Inc. (A)   9,522     2,323,463
Urban Outfitters, Inc. (A)   18,911     320,352
USS Company, Ltd.   33,600     585,887
Williams-Sonoma, Inc.   20,806     1,731,267
Winmark Corp.   317     45,607
Yamada Denki Company, Ltd.   96,600     470,102
Zhongsheng Group Holdings, Ltd.   72,100     373,033
Zumiez, Inc. (A)(B)   2,552     62,192
          136,606,370
Textiles, apparel and luxury goods – 0.9%      
adidas AG (A)   26,104     6,922,973
ANTA Sports Products, Ltd.   138,000     1,236,759
Bosideng International Holdings, Ltd.   416,000     107,603
Burberry Group PLC   36,589     683,241
Carter's, Inc.   11,835     1,016,745
CCC SA   2,173     26,353
Cie Financiere Richemont SA   65,320     3,839,489
Columbia Sportswear Company (B)   7,784     568,699
Crocs, Inc. (A)   8,738     250,344
Culp, Inc.   1,613     12,436
Deckers Outdoor Corp. (A)   11,047     2,016,409
Eclat Textile Company, Ltd.   23,957     246,837
EssilorLuxottica SA (A)   15,540     2,022,500
Feng TAY Enterprise Company, Ltd.   39,997     241,878
Fila Holdings Corp.   9,792     305,625
Formosa Taffeta Company, Ltd.   104,000     118,586
Fossil Group, Inc. (A)   6,349     19,364
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Textiles, apparel and luxury goods (continued)      
G-III Apparel Group, Ltd. (A)(B)   5,683   $ 58,705
Gildan Activewear, Inc. (B)   35,815     496,834
Hanesbrands, Inc.   57,791     569,819
Hermes International   1,726     1,442,413
Kering SA   4,171     2,186,688
Kontoor Brands, Inc.   5,611     82,033
Li Ning Company, Ltd.   252,500     855,405
LPP SA   93     159,336
LVMH Moet Hennessy Louis Vuitton SE   15,308     6,422,094
Moncler SpA (A)   18,263     684,332
Movado Group, Inc.   2,063     21,662
NIKE, Inc., Class B   199,088     19,626,095
Oxford Industries, Inc. (B)   2,133     90,908
Pandora A/S   16,397     821,564
Pou Chen Corp.   282,971     279,057
Puma SE (A)   11,970     861,147
PVH Corp.   11,846     538,638
Ralph Lauren Corp.   7,946     600,002
Rocky Brands, Inc.   896     18,583
Ruentex Industries, Ltd.   43,079     93,843
Shenzhou International Group Holdings, Ltd.   96,200     1,157,614
Skechers U.S.A., Inc., Class A (A)   35,900     1,124,388
Steven Madden, Ltd.   10,639     250,229
Superior Group of Companies, Inc.   1,458     14,595
Tapestry, Inc.   44,088     599,597
The Swatch Group AG   5,729     224,413
The Swatch Group AG, Bearer Shares (B)   3,747     755,886
Under Armour, Inc., Class A (A)(B)   30,080     263,200
Under Armour, Inc., Class C (A)   31,080     244,289
Unifi, Inc. (A)   1,904     26,142
Vera Bradley, Inc. (A)   2,784     14,616
VF Corp.   52,326     2,935,489
Wolverine World Wide, Inc.   10,104     211,578
Yue Yuen Industrial Holdings, Ltd.   88,500     127,434
          63,494,469
          726,092,766
Consumer staples – 6.5%          
Beverages – 1.3%      
Ambev SA   477,205     1,116,039
Anadolu Efes Biracilik Ve Malt Sanayii AS (A)   14,043     38,175
Anheuser-Busch InBev SA/NV   43,472     2,028,626
Arca Continental SAB de CV   58,142     259,659
Asahi Group Holdings, Ltd.   56,361     2,120,854
Brown-Forman Corp., Class B   21,298     1,404,177
Budweiser Brewing Company APAC, Ltd. (B)(C)   160,200     451,582
Carlsberg A/S, Class B   17,545     2,274,066
Carlsberg Brewery Malaysia BHD   15,900     105,910
Celsius Holdings, Inc. (A)   3,886     36,023
China Resources Beer Holdings Company, Ltd.   187,699     1,000,927
Cia Cervecerias Unidas SA   22,471     162,496
Coca-Cola Amatil, Ltd.   65,021     380,240
Coca-Cola Bottlers Japan Holdings, Inc.   18,900     375,290
Coca-Cola Consolidated, Inc. (B)   597     145,328
Coca-Cola European Partners PLC   37,541     1,415,296
Coca-Cola Femsa SAB de CV   71,158     313,199
Coca-Cola HBC AG   17,826     451,401
Constellation Brands, Inc., Class A   19,579     3,381,293
Craft Brew Alliance, Inc. (A)   1,491     22,529
Davide Campari-Milano SpA   58,480     477,197
Diageo PLC   208,059     7,259,149
 
  72  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Beverages (continued)      
Fomento Economico Mexicano SAB de CV   259,986   $ 1,759,151
Fraser & Neave Holdings BHD   14,600     109,333
Heineken Holding NV   18,744     1,541,282
Heineken NV   42,535     3,895,808
Kirin Holdings Company, Ltd.   127,527     2,617,423
MGP Ingredients, Inc. (B)   1,659     62,229
Molson Coors Beverage Company, Class B   21,959     833,564
Monster Beverage Corp. (A)   44,627     3,209,128
National Beverage Corp. (A)(B)   1,494     85,128
New Age Beverages Corp. (A)(B)   10,271     15,509
Osotspa PCL, NVDR   75,700     101,468
PepsiCo, Inc.   163,006     21,443,439
Pernod Ricard SA   11,653     1,815,965
Primo Water Corp.   2,967     35,693
Remy Cointreau SA   1,189     141,440
Suntory Beverage & Food, Ltd.   21,400     875,800
The Boston Beer Company, Inc., Class A (A)   3,522     1,988,979
The Coca-Cola Company   450,761     21,041,523
Treasury Wine Estates, Ltd.   93,931     603,927
Tsingtao Brewery Company, Ltd., H Shares   49,700     345,888
          87,742,133
Food and staples retailing – 1.6%      
Aeon Company, Ltd.   101,100     2,240,423
Alimentation Couche-Tard, Inc., Class B   148,487     4,648,139
Atacadao SA   38,400     133,054
Berli Jucker PCL, NVDR (B)   120,800     161,620
BGF retail Company, Ltd.   1,538     207,553
Bid Corp., Ltd.   41,220     581,855
BIM Birlesik Magazalar AS   26,545     253,108
BJ's Wholesale Club Holdings, Inc. (A)   46,858     1,686,888
Carrefour SA   33,073     503,228
Casey's General Stores, Inc.   9,861     1,575,098
Casino Guichard Perrachon SA (A)(B)   2,838     106,913
Cencosud SA   219,539     256,458
Cia Brasileira de Distribuicao   15,900     187,655
Clicks Group, Ltd.   32,104     426,346
Coles Group, Ltd.   173,069     1,771,708
Colruyt SA   3,019     182,223
Costco Wholesale Corp.   66,545     20,527,136
CP ALL PCL, NVDR   595,200     1,321,877
Dairy Farm International Holdings, Ltd.   40,400     170,726
Dino Polska SA (A)(C)   3,466     158,135
E-MART, Inc.   4,116     378,602
Empire Company, Ltd., Class A   30,414     688,310
FamilyMart Company, Ltd.   39,400     738,599
George Weston, Ltd.   13,420     969,425
GS Retail Company, Ltd.   5,302     182,715
HF Foods Group, Inc. (A)(B)   2,845     20,370
ICA Gruppen AB   13,019     613,167
Ingles Markets, Inc., Class A   1,785     76,059
J Sainsbury PLC   159,412     382,244
Jeronimo Martins SGPS SA (A)   31,923     544,341
Koninklijke Ahold Delhaize NV   180,629     4,579,654
Lawson, Inc.   7,500     416,069
Loblaw Companies, Ltd. (B)   31,935     1,580,920
METRO AG   25,336     236,995
Metro, Inc.   44,191     1,842,937
Natural Grocers by Vitamin Cottage, Inc.   1,215     17,496
Performance Food Group Company (A)   16,192     431,517
Pick n Pay Stores, Ltd.   44,526     135,061
President Chain Store Corp.   69,274     682,531
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Food and staples retailing (continued)      
PriceSmart, Inc.   2,845   $ 154,711
Raia Drogasil SA   23,186     475,512
Rite Aid Corp. (A)(B)   7,017     92,133
Seven & i Holdings Company, Ltd.   116,946     4,011,374
Shoprite Holdings, Ltd.   58,114     342,551
SpartanNash Company   4,539     97,180
Sprouts Farmers Market, Inc. (A)   31,671     795,892
Sun Art Retail Group, Ltd.   303,300     466,864
Sundrug Company, Ltd.   11,000     370,538
Sysco Corp.   76,855     4,239,322
Tesco PLC   870,679     2,472,297
The Andersons, Inc. (B)   4,056     52,566
The Chefs' Warehouse, Inc. (A)   3,160     46,768
The Kroger Company   120,801     3,940,529
The SPAR Group, Ltd. (B)   23,021     230,154
Tsuruha Holdings, Inc.   5,700     843,930
United Natural Foods, Inc. (A)(B)   6,784     132,966
Village Super Market, Inc., Class A   1,075     25,725
Walgreens Boots Alliance, Inc.   112,933     4,849,343
Wal-Mart de Mexico SAB de CV   694,600     1,738,497
Walmart, Inc.   213,681     26,509,265
Weis Markets, Inc.   1,194     66,542
Welcia Holdings Company, Ltd.   7,300     614,203
Wm Morrison Supermarkets PLC   218,407     506,716
Woolworths Group, Ltd.   163,687     3,855,886
          108,548,619
Food products – 1.7%      
a2 Milk Company, Ltd. (A)   44,641     528,620
Ajinomoto Company, Inc.   68,000     1,160,121
Alico, Inc.   699     22,431
Archer-Daniels-Midland Company   65,075     2,558,098
Associated British Foods PLC   31,968     723,052
B&G Foods, Inc. (B)   7,994     185,621
Barry Callebaut AG   368     742,230
BRF SA (A)   57,610     249,708
Calavo Growers, Inc. (B)   2,067     120,940
Calbee, Inc.   12,300     356,161
Cal-Maine Foods, Inc. (A)   3,985     177,572
Campbell Soup Company   19,747     1,006,702
Charoen Pokphand Foods PCL, NVDR   404,400     401,519
Charoen Pokphand Indonesia Tbk PT   727,303     288,421
China Huishan Dairy Holdings Company, Ltd. (A)(D)   280,500     0
China Mengniu Dairy Company, Ltd. (A)   352,353     1,270,857
Chocoladefabriken Lindt & Spruengli AG   13     1,133,628
Chocoladefabriken Lindt & Spruengli AG, Participation Certificates   133     1,114,143
CJ CheilJedang Corp.   1,643     394,839
Conagra Brands, Inc.   56,888     1,979,134
Dali Foods Group Company, Ltd. (C)   260,300     165,569
Danone SA   33,915     2,333,368
Darling Ingredients, Inc. (A)   64,654     1,507,085
Farmer Brothers Company (A)   1,604     12,367
Flowers Foods, Inc.   51,600     1,217,244
Fresh Del Monte Produce, Inc.   3,891     96,847
Freshpet, Inc. (A)   4,348     335,579
General Mills, Inc.   70,652     4,453,902
Genting Plantations BHD   27,900     64,957
Gruma SAB de CV, Class B   27,923     277,045
Grupo Bimbo SAB de CV, Series A   214,300     335,156
Hormel Foods Corp.   32,505     1,587,219
Hostess Brands, Inc. (A)(B)   15,167     183,142
Indofood CBP Sukses Makmur Tbk PT   226,900     126,885
Indofood Sukses Makmur Tbk PT   441,617     174,279
 
  73  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Food products (continued)      
Ingredion, Inc.   17,898   $ 1,507,549
IOI Corp. BHD   199,100     208,531
J&J Snack Foods Corp. (B)   1,915     246,326
JBS SA   110,481     454,860
John B. Sanfilippo & Son, Inc.   1,083     94,156
Kellogg Company   29,106     1,900,913
Kerry Group PLC, Class A   19,604     2,428,950
Kerry Group PLC, Class A (London Stock Exchange)   2,564     313,557
Kikkoman Corp.   22,600     1,140,315
Kuala Lumpur Kepong BHD   45,200     228,976
Lamb Weston Holdings, Inc.   17,073     1,025,404
Lancaster Colony Corp. (B)   7,690     1,180,107
Landec Corp. (A)   3,382     36,086
Limoneira Company   2,118     28,296
McCormick & Company, Inc.   14,445     2,530,186
MEIJI Holdings Company, Ltd.   17,700     1,336,574
Mondelez International, Inc., Class A   168,311     8,772,369
Mowi ASA   27,318     514,891
Nestle Malaysia BHD   6,400     204,960
Nestle SA   373,067     40,506,496
NH Foods, Ltd.   12,800     473,612
Nisshin Seifun Group, Inc.   30,600     477,605
Nissin Foods Holdings Company, Ltd.   9,817     822,883
Orion Corp.   4,686     499,708
Orkla ASA   47,605     427,576
Ottogi Corp.   245     109,298
Pilgrim's Pride Corp. (A)   14,050     290,414
Post Holdings, Inc. (A)   17,818     1,551,235
PPB Group BHD   59,920     239,545
QL Resources BHD   63,400     147,443
Sanderson Farms, Inc.   7,800     1,029,756
Saputo, Inc.   42,815     1,051,989
Seneca Foods Corp., Class A (A)   849     30,963
Sime Darby Plantation BHD   215,800     246,726
Standard Foods Corp.   50,402     106,660
Thai Union Group PCL, NVDR   344,000     148,320
The Hain Celestial Group, Inc. (A)   21,537     677,985
The Hershey Company   17,337     2,352,284
The J.M. Smucker Company (B)   13,332     1,518,915
The Kraft Heinz Company   72,802     2,218,277
The Simply Good Foods Company (A)   10,461     178,151
Tiger Brands, Ltd.   19,960     178,530
Tingyi Cayman Islands Holding Corp.   251,100     432,286
Tootsie Roll Industries, Inc. (B)   6,750     240,435
Toyo Suisan Kaisha, Ltd.   13,600     712,677
TreeHouse Foods, Inc. (A)   15,070     794,340
Tyson Foods, Inc., Class A   34,506     2,120,049
Uni-President China Holdings, Ltd.   164,900     171,460
Uni-President Enterprises Corp.   592,805     1,438,882
Universal Robina Corp.   119,650     309,586
Vitasoy International Holdings, Ltd.   90,000     335,938
Want Want China Holdings, Ltd.   633,912     459,674
WH Group, Ltd. (C)   1,162,270     1,011,110
Wilmar International, Ltd.   89,600     253,129
Yakult Honsha Company, Ltd.   18,500     1,136,497
Yamazaki Baking Company, Ltd.   18,600     333,442
Yihai International Holding, Ltd. (A)   60,500     543,872
          117,015,195
Household products – 0.7%      
Central Garden & Pet Company (A)   1,319     48,394
Central Garden & Pet Company, Class A (A)   5,024     172,122
Church & Dwight Company, Inc.   17,550     1,317,479
Colgate-Palmolive Company   61,292     4,433,250
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Household products (continued)      
Energizer Holdings, Inc. (B)   17,247   $ 756,798
Essity AB, B Shares (A)   88,752     2,939,516
Henkel AG & Company KGaA   15,052     1,210,510
Kimberly-Clark Corp.   24,515     3,467,402
Kimberly-Clark de Mexico SAB de CV, Class A   199,135     310,002
Lion Corp.   34,400     792,075
Oil-Dri Corp. of America   678     24,022
Pigeon Corp.   17,800     696,034
Reckitt Benckiser Group PLC   62,842     5,628,534
The Clorox Company   8,975     1,851,094
The Procter & Gamble Company   178,349     20,674,216
Unicharm Corp.   62,588     2,337,088
Unilever Indonesia Tbk PT   736,925     391,611
WD-40 Company   1,728     331,517
          47,381,664
Personal products – 0.6%      
Amorepacific Corp.   6,391     844,194
AMOREPACIFIC Group   5,768     270,467
Beiersdorf AG   14,440     1,516,765
BellRing Brands, Inc. Class A (A)   5,048     101,364
Coty, Inc., Class A   21,136     76,724
Edgewell Personal Care Company (A)   21,387     650,593
elf Beauty, Inc. (A)   3,334     57,145
Hengan International Group Company, Ltd.   91,100     750,215
Inter Parfums, Inc.   2,236     103,773
Kao Corp.   74,800     6,021,415
Kobayashi Pharmaceutical Company, Ltd.   7,600     679,914
Kose Corp.   5,200     654,847
LG Household & Health Care, Ltd.   1,863     2,064,823
Lifevantage Corp. (A)   1,786     27,344
L'Oreal SA   13,820     4,053,563
Medifast, Inc. (B)   1,402     143,481
Natura & Company Holding SA   65,380     455,527
Nature's Sunshine Products, Inc. (A)   1,235     11,980
Nu Skin Enterprises, Inc., Class A   14,891     553,647
Pola Orbis Holdings, Inc.   13,900     271,718
Revlon, Inc., Class A (A)(B)   1,018     10,424
Shiseido Company, Ltd.   62,100     3,809,836
The Estee Lauder Companies, Inc., Class A   15,916     3,142,933
Unilever NV   241,157     12,462,493
Unilever PLC   98,425     5,284,790
USANA Health Sciences, Inc. (A)   1,581     133,942
          44,153,917
Tobacco – 0.6%      
22nd Century Group, Inc. (A)   16,034     13,281
Altria Group, Inc.   218,376     8,527,583
British American Tobacco PLC   203,371     8,065,776
Gudang Garam Tbk PT   49,282     164,665
Hanjaya Mandala Sampoerna Tbk PT   930,000     123,888
Imperial Brands PLC   84,216     1,536,114
Japan Tobacco, Inc.   186,000     3,691,389
KT&G Corp.   23,201     1,574,613
Philip Morris International, Inc.   181,876     13,342,423
Swedish Match AB   24,730     1,725,981
Turning Point Brands, Inc.   1,069     25,645
Universal Corp.   3,045     134,163
Vector Group, Ltd. (B)   13,969     159,666
          39,085,187
          443,926,715
Energy – 3.7%          
 
  74  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Energy equipment and services – 0.2%      
Apergy Corp. (A)   20,766   $ 188,348
Archrock, Inc.   16,431     104,337
Baker Hughes Company   133,546     2,204,844
Cactus, Inc., Class A   6,057     115,568
China Oilfield Services, Ltd., H Shares   209,700     183,595
Dialog Group BHD   368,912     339,244
DMC Global, Inc. (B)   1,845     52,675
Dril-Quip, Inc. (A)(B)   4,640     141,010
Era Group, Inc. (A)   2,640     13,226
Exterran Corp. (A)   3,927     25,211
Frank's International NV (A)   14,445     32,501
Geospace Technologies Corp. (A)   1,842     14,515
Halliburton Company   180,381     2,119,477
Helix Energy Solutions Group, Inc. (A)   18,558     62,355
Liberty Oilfield Services, Inc., Class A   7,129     36,714
Matrix Service Company (A)   3,540     39,011
Nabors Industries, Ltd. (B)   958     35,503
National Energy Services Reunited Corp. (A)   3,206     18,210
National Oilwell Varco, Inc.   79,282     988,647
Natural Gas Services Group, Inc. (A)   2,093     13,102
Newpark Resources, Inc. (A)   12,226     24,697
NexTier Oilfield Solutions, Inc. (A)   20,727     60,108
Oceaneering International, Inc. (A)   12,983     83,351
Oil States International, Inc. (A)   8,256     35,005
ProPetro Holding Corp. (A)   10,392     51,440
RPC, Inc. (A)   7,926     25,205
Schlumberger, Ltd.   284,482     5,254,383
SEACOR Holdings, Inc. (A)   2,251     60,327
Select Energy Services, Inc., Class A (A)   7,776     46,189
Solaris Oilfield Infrastructure, Inc., Class A   4,145     28,725
TechnipFMC PLC   86,362     639,079
Tenaris SA   47,255     297,389
Tidewater, Inc. (A)   5,625     26,831
Transocean, Ltd. (A)(B)   154,187     205,069
U.S. Silica Holdings, Inc.   9,939     29,320
Worley, Ltd.   43,075     241,965
          13,837,176
Oil, gas and consumable fuels – 3.5%      
Adaro Energy Tbk PT   1,468,045     110,958
Aker BP ASA   6,534     105,617
Ampol, Ltd.   32,415     586,434
Antero Midstream Corp.   79,625     380,608
Apache Corp.   77,270     833,743
Arch Resources, Inc. (B)   1,932     63,679
Ardmore Shipping Corp.   4,386     25,614
Banpu PCL, NVDR   421,500     82,923
Berry Corp.   8,288     35,141
Bonanza Creek Energy, Inc. (A)   2,439     41,219
BP PLC   1,795,544     6,866,050
Brigham Minerals, Inc., Class A   3,675     48,694
Bukit Asam Tbk PT (A)   342,000     45,770
Cabot Oil & Gas Corp.   83,825     1,663,088
California Resources Corp. (A)(B)   7,070     9,403
Callon Petroleum Company (A)   50,745     33,933
Cameco Corp.   68,120     740,150
Canadian Natural Resources, Ltd.   201,975     3,689,343
Cenovus Energy, Inc.   179,565     782,504
Chevron Corp.   388,561     35,631,044
China Coal Energy Company, Ltd., H Shares   268,900     64,769
China Petroleum & Chemical Corp., H Shares   3,268,139     1,524,816
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
China Shenhua Energy Company, Ltd., H Shares   434,400   $ 795,692
Cimarex Energy Company   27,293     717,260
Clean Energy Fuels Corp. (A)   17,531     36,640
CNOOC, Ltd.   2,295,116     2,622,080
CNX Resources Corp. (A)(B)   73,647     750,463
Comstock Resources, Inc. (A)   2,080     11,149
Concho Resources, Inc.   41,310     2,252,221
ConocoPhillips   225,481     9,510,789
CONSOL Energy, Inc. (A)   3,368     22,936
Cosan SA (A)   16,194     199,834
COSCO SHIPPING Energy Transportation Company, Ltd., H Shares   153,300     76,411
CVR Energy, Inc. (B)   3,759     76,684
Delek US Holdings, Inc. (B)   9,379     184,485
Denbury Resources, Inc. (A)   67,038     14,279
Devon Energy Corp.   79,522     859,633
DHT Holdings, Inc.   13,740     81,616
Diamond S Shipping, Inc. (A)   3,399     37,219
Diamondback Energy, Inc.   33,115     1,410,037
Dorian LPG, Ltd. (A)   3,412     28,047
Ecopetrol SA   736,806     393,095
Empresas COPEC SA   58,950     371,936
Enbridge, Inc.   344,628     11,208,514
Energy Fuels, Inc. (A)(B)   13,196     22,697
Eni SpA   256,896     2,336,351
EOG Resources, Inc.   119,549     6,093,413
EQT Corp.   68,533     914,230
Equinor ASA   62,483     911,229
Equitrans Midstream Corp.   55,321     447,547
Evolution Petroleum Corp.   4,109     10,026
Exxaro Resources, Ltd.   31,480     223,297
Exxon Mobil Corp.   869,463     39,534,483
Falcon Minerals Corp.   5,703     14,200
Formosa Petrochemical Corp.   150,900     442,212
Galp Energia SGPS SA   64,402     766,267
GasLog, Ltd.   5,536     18,988
Golar LNG, Ltd. (B)   12,137     96,246
Goodrich Petroleum Corp. (A)   1,356     10,902
Green Plains, Inc. (A)   4,554     38,937
Grupa Lotos SA   6,509     96,664
GS Holdings Corp.   10,330     315,296
Gulfport Energy Corp. (A)   20,852     31,487
Hess Corp.   53,221     2,526,401
HollyFrontier Corp.   30,510     959,540
Husky Energy, Inc.   60,906     171,635
Idemitsu Kosan Company, Ltd.   30,228     672,989
Imperial Oil, Ltd.   46,012     718,828
Inner Mongolia Yitai Coal Company, Ltd., Class B   135,100     79,216
Inpex Corp.   159,700     1,118,261
Inter Pipeline, Ltd. (B)   72,403     663,109
International Seaways, Inc.   3,152     71,487
IRPC PCL, NVDR   1,068,000     90,993
JXTG Holdings, Inc.   475,150     1,836,422
Keyera Corp. (B)   37,681     597,160
Kinder Morgan, Inc.   400,271     6,324,282
Koninklijke Vopak NV   11,376     622,983
Laredo Petroleum, Inc. (A)   24,078     20,430
Lundin Energy AB   26,861     655,365
Magnolia Oil & Gas Corp., Class A (A)(B)   13,146     72,960
Marathon Oil Corp.   164,377     877,773
Marathon Petroleum Corp.   133,431     4,688,765
 
  75  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Matador Resources Company (A)   43,586   $ 341,714
MOL Hungarian Oil & Gas PLC (B)   68,613     434,472
Montage Resources Corp. (A)   2,854     17,466
Murphy Oil Corp.   40,043     478,514
NACCO Industries, Inc., Class A   481     12,641
Neste OYJ   55,134     2,246,650
Noble Energy, Inc.   98,285     858,028
Nordic American Tankers, Ltd. (B)   17,458     79,783
Northern Oil and Gas, Inc. (A)   39,172     30,527
Oasis Petroleum, Inc. (A)   44,137     20,330
Occidental Petroleum Corp. (B)   183,567     2,377,193
Oil Search, Ltd.   249,895     581,010
OMV AG   30,395     1,004,367
ONEOK, Inc.   84,887     3,114,504
Origin Energy, Ltd.   227,951     896,057
Overseas Shipholding Group, Inc., Class A (A)   8,273     18,283
Ovintiv, Inc.   44,837     338,024
Panhandle Oil and Gas, Inc., Class A   2,551     10,663
Par Pacific Holdings, Inc. (A)   4,620     42,920
Parkland Corp.   25,825     726,255
PBF Energy, Inc., Class A   27,309     290,022
PDC Energy, Inc. (A)   12,798     155,880
Peabody Energy Corp.   8,820     27,783
Pembina Pipeline Corp.   93,769     2,342,778
Penn Virginia Corp. (A)   1,871     16,427
PetroChina Company, Ltd., H Shares   2,689,239     927,768
Petroleo Brasileiro SA   372,409     1,454,379
Petronas Dagangan BHD   29,700     160,581
Phillips 66   91,313     7,146,155
Pioneer Natural Resources Company   34,039     3,117,972
Polski Koncern Naftowy ORLEN SA   21,548     359,564
Polskie Gornictwo Naftowe i Gazownictwo SA   122,686     128,915
PrairieSky Royalty, Ltd.   38,537     254,142
PTT Exploration & Production PCL, NVDR   143,300     380,227
PTT PCL, NVDR   1,173,300     1,312,975
QEP Resources, Inc.   32,077     27,381
Renewable Energy Group, Inc. (A)(B)   4,626     131,610
Repsol SA   204,508     1,925,458
REX American Resources Corp. (A)   722     42,345
Ring Energy, Inc. (A)   8,910     10,603
Royal Dutch Shell PLC, A Shares   372,870     5,901,798
Royal Dutch Shell PLC, B Shares   328,465     5,014,627
Santos, Ltd.   229,965     823,835
Scorpio Tankers, Inc. (B)   5,599     99,326
SFL Corp., Ltd. (B)   10,098     100,172
SK Innovation Company, Ltd.   10,992     1,058,542
SM Energy Company (B)   14,492     51,012
S-Oil Corp.   8,837     507,216
Southwestern Energy Company (A)(B)   68,928     207,473
Suncor Energy, Inc.   261,912     4,502,638
Talos Energy, Inc. (A)   2,660     32,319
TC Energy Corp.   159,607     7,192,951
Teekay Corp. (A)   9,092     26,640
Teekay Tankers, Ltd., Class A (A)(B)   2,974     51,688
Tellurian, Inc. (A)(B)   13,454     13,453
Thai Oil PCL, NVDR   110,800     150,495
The Williams Companies, Inc.   249,068     5,088,459
TOTAL SA   132,204     5,013,279
Tupras Turkiye Petrol Rafinerileri AS (A)   7,798     98,088
Ultrapar Participacoes SA   72,202     231,640
United Tractors Tbk PT   166,437     179,142
Uranium Energy Corp. (A)   24,107     25,312
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Valero Energy Corp.   84,386   $ 5,623,483
W&T Offshore, Inc. (A)   12,422     32,421
Washington H. Soul Pattinson & Company, Ltd. (B)   15,557     197,289
Whiting Petroleum Corp. (A)   13,297     9,307
Woodside Petroleum, Ltd.   121,160     1,827,998
World Fuel Services Corp.   25,699     654,811
WPX Energy, Inc. (A)   111,496     632,182
Yanzhou Coal Mining Company, Ltd., H Shares   216,010     165,832
          239,475,385
          253,312,561
Financials – 13.8%          
Banks – 6.5%      
1st Constitution Bancorp   1,256     16,127
1st Source Corp.   1,741     60,221
ABN AMRO Bank NV (C)   69,009     549,086
Absa Group, Ltd.   86,231     400,983
ACNB Corp.   1,043     25,908
Agricultural Bank of China, Ltd., H Shares   3,747,400     1,520,813
AIB Group PLC (A)   113,097     124,738
Akbank T.A.S. (A)   181,562     151,956
Allegiance Bancshares, Inc.   2,414     61,823
Amalgamated Bank, Class A   1,871     21,011
Amerant Bancorp, Inc. (A)   2,522     32,887
American National Bankshares, Inc.   1,413     35,127
Ameris Bancorp   7,767     188,194
Ames National Corp.   1,213     24,381
AMMB Holdings BHD   178,700     130,575
Aozora Bank, Ltd.   18,670     346,728
Arrow Financial Corp.   1,585     46,361
Associated Banc-Corp.   42,717     598,465
Atlantic Capital Bancshares, Inc. (A)   2,873     32,752
Atlantic Union Bankshares Corp.   10,117     234,209
Australia & New Zealand Banking Group, Ltd.   367,163     4,369,795
Banc of California, Inc.   5,795     63,455
BancFirst Corp.   2,369     90,306
Banco Bilbao Vizcaya Argentaria SA   966,401     2,976,375
Banco Bradesco SA   133,676     445,896
Banco de Chile   6,810,994     578,730
Banco de Credito e Inversiones SA   7,536     255,154
Banco de Sabadell SA   823,755     252,368
Banco do Brasil SA   87,094     503,341
Banco Espirito Santo SA (A)   322,715     516
Banco Santander Brasil SA   41,326     197,480
Banco Santander Chile   9,470,756     385,740
Banco Santander SA   2,404,212     5,496,789
Bancolombia SA   32,687     219,082
BancorpSouth Bank   38,234     849,942
Bangkok Bank PCL, NVDR   51,200     176,138
Bank Central Asia Tbk PT   971,730     1,729,083
Bank First Corp.   729     45,453
Bank Hapoalim BM   135,460     833,967
Bank Leumi Le-Israel BM   173,234     920,121
Bank Mandiri Persero Tbk PT   1,833,356     563,397
Bank Millennium SA (A)   39,008     24,422
Bank Negara Indonesia Persero Tbk PT   779,953     205,294
Bank of America Corp.   1,501,632     36,219,364
Bank of China, Ltd., H Shares   10,195,122     3,747,540
Bank of Commerce Holdings   2,414     18,419
Bank of Communications Company, Ltd., H Shares   1,092,976     665,938
Bank of Hawaii Corp.   10,797     694,571
 
  76  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Bank of Ireland Group PLC (A)   141,792   $ 253,244
Bank of Marin Bancorp   1,695     57,037
Bank of Montreal   109,871     5,419,936
Bank of the Philippine Islands   126,687     166,296
Bank OZK (B)   32,407     728,833
Bank Polska Kasa Opieki SA   12,572     164,074
Bank Rakyat Indonesia Persero Tbk PT   5,441,610     1,101,843
Bank Tabungan Negara Persero Tbk PT   433,800     22,660
BankFinancial Corp.   2,021     18,351
Bankia SA   181,468     159,787
Bankinter SA   96,053     408,065
Bankwell Financial Group, Inc.   968     14,172
Banner Corp.   4,440     166,766
Bar Harbor Bankshares   1,996     39,361
Barclays PLC   1,524,279     2,179,029
Baycom Corp. (A)   1,510     19,902
BCB Bancorp, Inc.   1,979     18,979
BDO Unibank, Inc.   267,790     532,171
Bendigo & Adelaide Bank, Ltd.   68,407     280,966
Berkshire Hills Bancorp, Inc.   5,799     62,745
BNK Financial Group, Inc.   59,724     245,859
BNP Paribas SA (A)   63,032     2,268,233
BOC Hong Kong Holdings, Ltd.   450,500     1,268,884
Boston Private Financial Holdings, Inc.   10,546     72,451
Bridge Bancorp, Inc.   2,103     44,794
Brookline Bancorp, Inc.   9,956     92,591
Bryn Mawr Bank Corp.   2,532     70,314
Business First Bancshares, Inc.   1,729     25,053
Byline Bancorp, Inc.   3,126     37,981
C&F Financial Corp.   465     16,759
Cadence BanCorp   15,993     129,064
CaixaBank SA   513,812     955,814
Cambridge Bancorp   628     36,424
Camden National Corp.   1,882     63,122
Canadian Imperial Bank of Commerce   77,030     4,939,520
Capital Bancorp, Inc. (A)   1,128     12,837
Capital City Bank Group, Inc.   1,721     35,022
Capitec Bank Holdings, Ltd.   5,505     267,019
Capstar Financial Holdings, Inc.   2,094     24,123
Carter Bank & Trust   3,104     21,914
Cathay General Bancorp   29,906     813,144
CBTX, Inc.   2,401     49,028
CenterState Bank Corp.   15,238     240,760
Central Pacific Financial Corp.   3,551     57,207
Central Valley Community Bancorp   1,514     22,801
Century Bancorp, Inc., Class A   372     28,049
Chang Hwa Commercial Bank, Ltd.   681,746     428,137
Chemung Financial Corp.   506     12,812
China CITIC Bank Corp., Ltd., H Shares   1,126,400     492,242
China Construction Bank Corp., H Shares   12,352,296     9,742,173
China Everbright Bank Company, Ltd., H Shares   410,595     167,200
China Merchants Bank Company, Ltd., H Shares   498,174     2,347,426
China Minsheng Banking Corp., Ltd., H Shares   880,200     614,563
Chongqing Rural Commercial Bank Company, Ltd., H Shares   326,800     125,923
CIMB Group Holdings BHD   514,200     446,725
CIT Group, Inc.   25,394     460,647
Citigroup, Inc.   404,955     19,401,394
Citizens & Northern Corp.   1,593     30,554
Citizens Financial Group, Inc.   80,633     1,943,255
City Holding Company   1,930     121,397
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Civista Bancshares, Inc.   2,009   $ 30,617
CNB Financial Corp.   1,907     33,792
Coastal Financial Corp. (A)   1,099     13,957
Codorus Valley Bancorp, Inc.   1,320     17,490
Colony Bankcorp, Inc.   1,099     13,979
Columbia Banking System, Inc. (B)   9,083     221,262
Comerica, Inc.   26,737     971,890
Commerce Bancshares, Inc.   27,803     1,771,885
Commerzbank AG (A)   141,638     549,122
Commonwealth Bank of Australia   230,451     9,785,880
Community Bank System, Inc.   6,349     377,258
Community Bankers Trust Corp.   3,075     17,312
Community Trust Bancorp, Inc.   1,881     61,772
Concordia Financial Group, Ltd.   167,400     548,823
ConnectOne Bancorp, Inc.   4,356     63,859
Credicorp, Ltd. (B)   10,700     1,474,674
Credit Agricole SA (A)   66,136     580,619
CrossFirst Bankshares, Inc. (A)   6,172     60,054
CTBC Financial Holding Company, Ltd.   2,285,090     1,523,086
Cullen/Frost Bankers, Inc. (B)   15,263     1,159,530
Customers Bancorp, Inc. (A)   3,685     40,867
CVB Financial Corp.   16,691     325,641
Danske Bank A/S (A)   106,661     1,323,187
DBS Group Holdings, Ltd.   80,972     1,120,206
Dime Community Bancshares, Inc.   3,952     57,027
DNB ASA   60,821     830,075
E.Sun Financial Holding Company, Ltd.   1,284,646     1,144,002
Eagle Bancorp, Inc.   4,118     133,258
East West Bancorp, Inc.   39,039     1,364,413
Enterprise Bancorp, Inc.   1,175     27,072
Enterprise Financial Services Corp.   3,059     89,843
Equity Bancshares, Inc., Class A (A)   1,999     32,604
Erste Group Bank AG   62,750     1,387,960
Esquire Financial Holdings, Inc. (A)   940     16,102
Evans Bancorp, Inc.   676     16,521
Farmers & Merchants Bancorp, Inc.   1,123     24,403
Farmers National Banc Corp.   3,217     37,800
FB Financial Corp. (B)   2,195     51,824
Fidelity D&D Bancorp, Inc.   366     13,904
Fifth Third Bancorp   131,636     2,552,422
Financial Institutions, Inc.   1,988     35,168
FinecoBank Banca Fineco SpA (A)   61,067     715,299
First Bancorp (North Carolina)   3,697     93,978
First Bancorp (Puerto Rico)   27,276     149,200
First Bank   2,415     18,040
First Busey Corp.   6,434     115,233
First Business Financial Services, Inc.   1,141     18,884
First Capital, Inc.   405     24,887
First Choice Bancorp   1,371     19,263
First Commonwealth Financial Corp.   12,185     99,673
First Community Bankshares, Inc.   2,261     48,318
First Financial Bancorp   12,349     164,118
First Financial Bankshares, Inc. (B)   52,726     1,615,525
First Financial Corp.   1,611     56,546
First Financial Holding Company, Ltd.   1,207,439     920,793
First Financial Northwest, Inc.   1,245     12,164
First Foundation, Inc.   4,926     73,397
First Horizon National Corp. (B)   83,422     779,996
First Internet Bancorp   1,288     20,711
First Interstate BancSystem, Inc., Class A   4,727     147,719
First Merchants Corp.   6,766     189,854
First Mid Bancshares, Inc.   1,846     46,981
First Midwest Bancorp, Inc.   13,458     175,627
First Northwest Bancorp   1,303     17,669
 
  77  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
First Republic Bank   31,259   $ 3,381,286
Flushing Financial Corp.   3,529     40,019
FNB Corp.   87,107     645,463
FNCB Bancorp, Inc.   2,310     12,844
Franklin Financial Network, Inc.   1,682     41,478
Franklin Financial Services Corp.   596     14,900
Fukuoka Financial Group, Inc.   27,400     445,881
Fulton Financial Corp.   64,183     719,491
FVCBankcorp, Inc. (A)   1,737     19,333
German American Bancorp, Inc.   3,059     94,768
Glacier Bancorp, Inc.   10,887     448,436
Great Southern Bancorp, Inc.   1,382     56,054
Great Western Bancorp, Inc.   7,124     101,446
Grupo Financiero Banorte SAB de CV, Series O   343,750     1,047,163
Grupo Financiero Inbursa SAB de CV, Series O (A)   300,800     205,647
Guaranty Bancshares, Inc.   1,026     26,081
Hana Financial Group, Inc.   60,305     1,457,071
Hancock Whitney Corp.   34,373     743,144
Hang Seng Bank, Ltd.   91,895     1,411,367
Hanmi Financial Corp.   3,974     35,885
HarborOne Bancorp, Inc. (A)   3,595     28,652
Hawthorn Bancshares, Inc.   793     15,622
HBT Financial, Inc.   1,205     15,328
Heartland Financial USA, Inc.   4,408     141,100
Heritage Commerce Corp.   6,985     56,788
Heritage Financial Corp.   4,629     87,951
Hilltop Holdings, Inc.   8,797     164,416
Home BancShares, Inc.   61,189     885,405
HomeTrust Bancshares, Inc.   2,092     32,259
Hong Leong Bank BHD   69,500     217,740
Hong Leong Financial Group BHD   25,500     78,761
Hope Bancorp, Inc.   15,269     144,979
Horizon Bancorp, Inc.   4,782     49,063
Howard Bancorp, Inc. (A)   1,852     19,094
HSBC Holdings PLC   1,799,614     8,287,805
Hua Nan Financial Holdings Company, Ltd.   944,108     613,405
Huntington Bancshares, Inc.   191,567     1,703,031
IBERIABANK Corp.   6,630     281,178
Independent Bank Corp. (Massachusetts)   4,161     289,065
Independent Bank Corp. (Michigan)   2,780     38,420
Independent Bank Group, Inc.   4,528     171,521
Industrial & Commercial Bank of China, Ltd., H Shares   8,320,623     5,389,416
Industrial Bank of Korea   54,901     368,746
ING Groep NV   640,612     4,165,005
International Bancshares Corp.   22,387     689,072
Intesa Sanpaolo SpA (A)   1,503,555     2,616,290
Investar Holding Corp.   1,331     17,370
Investors Bancorp, Inc.   28,508     247,449
Israel Discount Bank, Ltd., Class A   145,054     460,560
Itau CorpBanca Chile SA   20,146,516     46,817
Japan Post Bank Company, Ltd. (B)   59,200     489,905
JPMorgan Chase & Co.   581,779     56,612,914
Kasikornbank PCL, NVDR (B)   187,400     568,241
KB Financial Group, Inc.   79,318     2,164,675
KBC Group NV   13,904     729,504
KeyCorp   182,694     2,164,924
Komercni banka AS (A)   10,382     222,472
Krung Thai Bank PCL, NVDR   377,300     123,723
Lakeland Bancorp, Inc.   6,201     68,831
Lakeland Financial Corp.   3,048     130,119
LCNB Corp.   1,599     23,777
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Level One Bancorp, Inc.   782   $ 14,709
Live Oak Bancshares, Inc. (B)   3,437     46,537
Lloyds Banking Group PLC   6,235,931     2,299,830
M&T Bank Corp.   24,477     2,586,240
Macatawa Bank Corp.   3,440     25,422
Mackinac Financial Corp.   1,342     14,104
MainStreet Bancshares, Inc. (A)   1,052     13,960
Malayan Banking BHD   402,433     695,260
Malvern Bancorp, Inc. (A)   1,166     13,852
mBank SA (A)   1,149     61,373
Mebuki Financial Group, Inc.   138,500     314,839
Mediobanca Banca di Credito Finanziario SpA (B)   63,604     418,409
Mega Financial Holding Company, Ltd.   1,331,275     1,367,730
Mercantile Bank Corp.   2,060     47,256
Metrocity Bankshares, Inc.   2,100     24,276
Metropolitan Bank & Trust Company   249,964     174,195
Metropolitan Bank Holding Corp. (A)   953     26,684
Mid Penn Bancorp, Inc.   923     17,223
Midland States Bancorp, Inc.   2,854     42,724
MidWestOne Financial Group, Inc.   1,535     29,457
Mitsubishi UFJ Financial Group, Inc.   1,908,100     7,920,778
Mizrahi Tefahot Bank, Ltd.   17,632     345,153
Mizuho Financial Group, Inc.   3,745,900     4,675,414
Moneta Money Bank AS (C)   71,159     158,253
MVB Financial Corp.   1,306     18,545
National Australia Bank, Ltd.   375,288     4,425,191
National Bank Holdings Corp., Class A   3,706     97,468
National Bank of Canada (B)   57,946     2,523,472
National Bankshares, Inc.   847     26,088
NBT Bancorp, Inc.   5,310     166,309
Nedbank Group, Ltd.   47,438     268,501
Nicolet Bankshares, Inc. (A)   1,157     64,688
Nordea Bank ABP   471,257     3,209,655
Northeast Bank   1,129     19,374
Northrim BanCorp, Inc.   859     19,817
Norwood Financial Corp.   785     19,225
OceanFirst Financial Corp.   6,944     115,965
OFG Bancorp   6,444     78,295
Old National Bancorp   21,173     287,741
Old Second Bancorp, Inc.   4,000     30,800
Opus Bank   2,796     54,494
Origin Bancorp, Inc.   2,554     53,276
Orrstown Financial Services, Inc.   1,445     19,479
OTP Bank NYRT (A)(B)   38,002     1,277,431
Oversea-Chinese Banking Corp., Ltd.   156,178     948,242
Pacific Mercantile Bancorp (A)   3,058     11,620
Pacific Premier Bancorp, Inc. (B)   7,342     158,734
PacWest Bancorp   32,125     556,084
Park National Corp.   1,629     121,963
Parke Bancorp, Inc.   1,337     18,611
PCB Bancorp   1,781     16,065
Peapack-Gladstone Financial Corp.   2,421     45,587
Penns Woods Bancorp, Inc.   920     19,743
Peoples Bancorp of North Carolina, Inc.   694     12,145
Peoples Bancorp, Inc.   2,260     50,782
Peoples Financial Services Corp.   885     29,249
People's United Financial, Inc.   82,378     943,228
People's Utah Bancorp   2,020     50,035
Pinnacle Financial Partners, Inc.   19,294     768,866
Postal Savings Bank of China Company, Ltd., H Shares (C)   1,027,300     657,981
Powszechna Kasa Oszczednosci Bank Polski SA   63,183     349,557
Preferred Bank   1,721     64,658
 
  78  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Premier Financial Bancorp, Inc.   1,719   $ 22,794
Prosperity Bancshares, Inc.   25,308     1,654,890
Public Bank BHD   322,962     1,090,457
QCR Holdings, Inc.   1,869     56,762
Raiffeisen Bank International AG   30,263     554,497
RBB Bancorp   2,203     28,264
Red River Bancshares, Inc.   640     25,760
Regions Financial Corp.   178,925     2,023,642
Reliant Bancorp, Inc.   1,453     20,342
Renasant Corp.   7,036     169,708
Republic Bancorp, Inc., Class A   1,212     38,845
Republic First Bancorp, Inc. (A)   6,657     15,777
Resona Holdings, Inc.   329,400     1,191,263
RHB Bank BHD   161,341     177,241
Richmond Mutual Bancorporation, Inc. (A)   1,874     20,839
Royal Bank of Canada   245,930     15,955,933
S&T Bancorp, Inc.   4,740     105,418
Sandy Spring Bancorp, Inc.   4,319     104,736
Santander Bank Polska SA (A)   2,457     99,890
SB One Bancorp   1,128     19,165
Seacoast Banking Corp. of Florida (A)   6,390     138,983
Security Bank Corp.   27,220     44,104
Select Bancorp, Inc. (A)   2,414     18,105
ServisFirst Bancshares, Inc.   5,954     207,676
Seven Bank, Ltd.   90,500     258,656
Shinhan Financial Group Company, Ltd.   91,074     2,226,016
Shinsei Bank, Ltd.   30,800     393,944
Shore Bancshares, Inc.   1,767     17,670
Sierra Bancorp   1,844     34,741
Signature Bank   14,473     1,489,416
Simmons First National Corp., Class A (B)   12,008     205,937
SinoPac Financial Holdings Company, Ltd.   1,312,772     517,515
Skandinaviska Enskilda Banken AB, A Shares (A)   236,888     2,061,413
SmartFinancial, Inc.   1,733     26,688
Societe Generale SA (A)   46,723     691,166
South State Corp.   4,212     221,425
Southern First Bancshares, Inc. (A)   939     27,287
Southern National Bancorp of Virginia, Inc.   2,641     26,568
Southside Bancshares, Inc.   3,944     111,221
Spirit of Texas Bancshares, Inc. (A)   1,930     23,237
Standard Bank Group, Ltd.   159,409     927,859
Standard Chartered PLC   239,809     1,094,012
Sterling Bancorp   54,165     666,230
Stock Yards Bancorp, Inc.   2,494     84,871
Sumitomo Mitsui Financial Group, Inc.   202,179     5,867,700
Sumitomo Mitsui Trust Holdings, Inc.   49,338     1,459,662
Summit Financial Group, Inc.   1,405     23,604
SVB Financial Group (A)   9,565     2,054,084
Svenska Handelsbanken AB, A Shares (A)   225,249     2,127,706
Swedbank AB, A Shares (A)   130,607     1,640,256
Synovus Financial Corp.   39,286     753,898
Taishin Financial Holding Company, Ltd.   1,147,296     498,105
Taiwan Business Bank   625,307     221,163
Taiwan Cooperative Financial Holding Company, Ltd.   1,082,569     737,558
TCF Financial Corp.   41,125     1,189,335
Texas Capital Bancshares, Inc. (A)   13,490     360,992
The Bancorp, Inc. (A)   6,436     56,637
The Bank of East Asia, Ltd.   156,693     284,022
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
The Bank of Kyoto, Ltd.   8,300   $ 299,277
The Bank of Nova Scotia   208,662     8,361,029
The Bank of NT Butterfield & Son, Ltd.   6,678     163,144
The Bank of Princeton   839     17,325
The Chiba Bank, Ltd.   87,100     415,775
The Community Financial Corp.   704     16,685
The First Bancorp, Inc.   1,316     27,123
The First Bancshares, Inc.   2,406     50,983
The First of Long Island Corp.   2,939     44,879
The PNC Financial Services Group, Inc.   81,275     9,268,601
The Royal Bank of Scotland Group PLC   441,412     603,795
The Shanghai Commercial & Savings Bank, Ltd.   409,000     584,807
The Shizuoka Bank, Ltd.   70,500     450,152
The Siam Commercial Bank PCL, NVDR   90,000     210,230
The Toronto-Dominion Bank   308,814     13,228,638
TMB Bank PCL, NVDR   2,464,700     89,490
Tompkins Financial Corp.   1,783     114,736
Towne Bank   8,387     158,179
TriCo Bancshares   3,329     94,444
TriState Capital Holdings, Inc. (A)   3,524     52,684
Triumph Bancorp, Inc. (A)   2,896     71,097
Truist Financial Corp.   248,755     9,149,209
Trustmark Corp.   25,303     601,958
Turkiye Garanti Bankasi AS (A)   151,071     173,250
Turkiye Is Bankasi AS, Class C (A)   120,291     87,600
U.S. Bancorp   263,633     9,374,789
UMB Financial Corp.   17,170     880,478
Umpqua Holdings Corp.   59,037     672,431
UniCredit SpA (A)   202,812     1,736,103
United Bankshares, Inc.   49,669     1,444,375
United Community Banks, Inc.   9,928     194,092
United Overseas Bank, Ltd.   58,157     805,502
United Security Bancshares   2,023     12,401
Unity Bancorp, Inc.   1,095     15,669
Univest Financial Corp.   3,669     60,318
Valley National Bancorp   153,958     1,228,585
Veritex Holdings, Inc.   6,302     110,411
Washington Trust Bancorp, Inc.   1,903     60,839
Webster Financial Corp.   24,672     698,218
Wells Fargo & Company   713,890     18,896,668
WesBanco, Inc.   8,202     175,687
West Bancorporation, Inc.   2,018     35,598
Westamerica Bancorporation   3,227     190,328
Westpac Banking Corp.   462,305     5,273,007
Wintrust Financial Corp.   15,300     648,108
Woori Financial Group, Inc.   107,121     790,465
Zions Bancorp NA   31,616     1,040,324
          443,890,451
Capital markets – 2.5%      
3i Group PLC   89,241     913,244
Affiliated Managers Group, Inc.   13,209     879,984
Ameriprise Financial, Inc.   17,274     2,419,569
Amundi SA (A)(C)   3,633     271,349
Ares Management Corp., Class A   9,019     340,557
Artisan Partners Asset Management, Inc., Class A   6,296     182,395
Assetmark Financial Holdings, Inc. (A)   1,787     47,713
Associated Capital Group, Inc., Class A   272     11,176
ASX, Ltd.   25,346     1,493,844
B. Riley Financial, Inc.   2,581     49,633
B3 SA - Brasil Bolsa Balcao   209,076     1,784,647
Banco BTG Pactual SA   25,900     237,047
BlackRock, Inc.   20,785     10,987,782
 
  79  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets (continued)      
Blucora, Inc. (A)   6,269   $ 76,168
Brightsphere Investment Group, Inc.   8,338     69,622
Brookfield Asset Management, Inc., Class A (B)   229,959     7,220,197
Cboe Global Markets, Inc.   15,116     1,609,249
China Cinda Asset Management Company, Ltd., H Shares   1,211,100     225,599
China Everbright, Ltd.   126,984     179,539
China Galaxy Securities Company, Ltd., H Shares   482,100     233,674
China Huarong Asset Management Company, Ltd., H Shares (C)   1,354,200     139,300
China International Capital Corp., Ltd., H Shares (A)(C)   175,000     285,544
CI Financial Corp.   41,095     487,105
CITIC Securities Company, Ltd., H Shares   267,100     485,096
CME Group, Inc.   48,860     8,921,836
Cohen & Steers, Inc.   2,868     182,261
Cowen, Inc., Class A   3,652     47,732
Credit Suisse Group AG   326,487     3,000,573
Daiwa Securities Group, Inc.   240,118     1,000,436
Deutsche Bank AG (A)   285,784     2,392,334
Deutsche Boerse AG   27,593     4,543,236
Diamond Hill Investment Group, Inc.   404     42,404
Donnelley Financial Solutions, Inc. (A)   4,093     33,358
E*TRADE Financial Corp.   30,802     1,402,723
Eaton Vance Corp.   30,332     1,093,469
Ellington Financial, Inc.   5,074     51,755
Evercore, Inc., Class A   10,478     577,443
FactSet Research Systems, Inc.   10,172     3,127,992
Federated Hermes, Inc.   37,952     840,257
Focus Financial Partners, Inc., Class A (A)(B)   3,923     109,216
Franklin Resources, Inc.   38,028     717,588
GAIN Capital Holdings, Inc.   2,437     15,304
GF Securities Company, Ltd., H Shares   185,200     190,493
Greenhill & Company, Inc.   2,082     20,758
Guotai Junan Securities Company, Ltd., H Shares (C)   115,300     152,693
Haitong Securities Company, Ltd., H Shares   374,700     286,456
Hamilton Lane, Inc., Class A   2,773     202,900
Hargreaves Lansdown PLC   30,300     690,437
Hong Kong Exchanges & Clearing, Ltd.   145,977     5,137,424
Houlihan Lokey, Inc.   5,284     319,576
Huatai Securities Company, Ltd., H Shares (C)   216,700     342,044
IGM Financial, Inc.   17,188     408,213
Interactive Brokers Group, Inc., Class A   20,575     871,351
Intercontinental Exchange, Inc.   75,923     7,383,512
INTL. FCStone, Inc. (A)   2,028     103,448
Invesco, Ltd.   50,744     404,430
Investec, Ltd.   52,112     91,660
Janus Henderson Group PLC   41,717     899,419
Japan Exchange Group, Inc.   79,598     1,717,321
Julius Baer Group, Ltd.   28,442     1,224,087
Korea Investment Holdings Company, Ltd.   9,002     385,650
Legg Mason, Inc.   21,874     1,089,981
London Stock Exchange Group PLC   28,000     2,792,800
Macquarie Group, Ltd.   44,068     3,241,214
Magellan Financial Group, Ltd.   17,134     670,024
MarketAxess Holdings, Inc.   5,171     2,629,919
Meritz Securities Company, Ltd.   67,209     179,144
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets (continued)      
Mirae Asset Daewoo Company, Ltd.   85,618   $ 429,199
Moelis & Company, Class A (B)   6,000     201,780
Moody's Corp.   22,138     5,919,923
Morgan Stanley   158,788     7,018,430
MSCI, Inc.   11,549     3,797,889
Nasdaq, Inc.   15,644     1,853,188
Natixis SA (A)   56,914     127,625
NH Investment & Securities Company, Ltd.   32,331     255,453
Noah Holdings, Ltd., ADR (A)(B)   4,700     124,691
Nomura Holdings, Inc.   522,800     2,253,177
Northern Trust Corp.   28,889     2,282,520
Oppenheimer Holdings, Inc., Class A   1,242     26,306
Partners Group Holding AG   2,360     1,966,055
Piper Sandler Companies   1,681     100,255
PJT Partners, Inc., Class A   2,858     156,304
Pzena Investment Management, Inc., Class A   2,550     10,404
Raymond James Financial, Inc.   16,833     1,166,190
Reinet Investments SCA   18,607     292,206
S&P Global, Inc.   33,322     10,830,316
Safeguard Scientifics, Inc.   2,771     17,540
Samsung Securities Company, Ltd.   13,967     317,074
SBI Holdings, Inc.   37,464     806,334
Schroders PLC   12,094     445,011
Sculptor Capital Management, Inc.   2,156     27,036
SEI Investments Company   33,836     1,834,588
Silvercrest Asset Management Group, Inc., Class A   1,234     13,907
Singapore Exchange, Ltd.   36,900     216,792
St. James's Place PLC   52,202     595,435
Standard Life Aberdeen PLC   223,070     716,390
State Street Corp.   49,578     3,022,275
Stifel Financial Corp.   26,740     1,275,765
T. Rowe Price Group, Inc.   31,861     3,851,995
The Bank of New York Mellon Corp.   114,420     4,252,991
The Charles Schwab Corp.   155,879     5,597,615
The Goldman Sachs Group, Inc.   43,449     8,537,294
UBS Group AG   486,967     5,213,282
Virtus Investment Partners, Inc.   829     77,080
Waddell & Reed Financial, Inc., Class A (B)   8,540     111,362
Westwood Holdings Group, Inc.   1,087     19,273
WisdomTree Investments, Inc.   17,498     52,319
          165,978,173
Consumer finance – 0.3%      
Acom Company, Ltd.   61,500     251,262
AEON Financial Service Company, Ltd.   17,100     192,966
American Express Company   91,485     8,697,479
Capital One Financial Corp.   63,498     4,320,404
Credit Saison Company, Ltd.   24,900     297,667
Curo Group Holdings Corp.   2,090     13,982
Discover Financial Services   42,739     2,030,530
Encore Capital Group, Inc. (A)   3,915     124,380
Enova International, Inc. (A)   4,131     58,454
EZCORP, Inc., Class A (A)   6,625     34,185
FirstCash, Inc.   16,675     1,163,415
Green Dot Corp., Class A (A)   6,137     234,311
Isracard, Ltd.   6,535     17,865
LendingClub Corp. (A)(B)   8,794     47,048
LendingTree, Inc. (A)(B)   2,056     534,601
Muangthai Capital PCL, NVDR   64,000     112,617
Navient Corp.   45,609     339,331
Nelnet, Inc., Class A   2,275     112,135
PRA Group, Inc. (A)(B)   5,721     195,201
 
  80  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer finance (continued)      
Regional Management Corp. (A)   1,144   $ 18,144
Samsung Card Company, Ltd.   5,664     135,462
SLM Corp.   113,175     857,867
Srisawad Corp. PCL, NVDR (A)   75,700     136,059
Synchrony Financial   76,952     1,567,512
World Acceptance Corp. (A)   709     47,149
          21,540,026
Diversified financial services – 1.0%      
AMP, Ltd. (A)   441,166     481,076
Banco Latinoamericano de Comercio Exterior SA, Class E (B)   3,881     45,796
Berkshire Hathaway, Inc., Class B (A)   266,695     49,493,258
Cannae Holdings, Inc. (A)   9,336     343,845
Chailease Holding Company, Ltd.   147,784     576,025
Challenger, Ltd.   75,104     251,652
Eurazeo SE (A)   2,112     102,980
EXOR NV   11,359     612,799
Far East Horizon, Ltd.   279,300     248,485
FGL Holdings (B)   18,295     152,580
FirstRand, Ltd.   420,020     964,569
Groupe Bruxelles Lambert SA   4,602     373,508
Grupo de Inversiones Suramericana SA   36,460     177,901
Haci Omer Sabanci Holding AS   62,378     75,844
Industrivarden AB, C Shares (A)   25,026     560,899
Investor AB, B Shares   67,317     3,612,861
Jefferies Financial Group, Inc.   64,125     939,431
Kinnevik AB, B Shares   36,070     914,464
L E Lundbergforetagen AB, B Shares (A)   11,399     568,718
M&G PLC   231,388     402,710
Metro Pacific Investments Corp.   1,982,900     113,599
Mitsubishi UFJ Lease & Finance Company, Ltd.   63,200     309,906
NewStar Financial, Inc. (A)(D)   5,608     1,354
Onex Corp.   15,342     719,938
ORIX Corp.   209,300     2,769,766
Pargesa Holding SA, Bearer Shares   4,616     350,561
PSG Group, Ltd.   17,983     165,639
Remgro, Ltd.   64,183     507,265
RMB Holdings, Ltd.   91,749     279,455
Tokyo Century Corp.   6,700     293,175
Wendel SE   1,373     126,723
Yuanta Financial Holding Company, Ltd.   1,234,187     669,721
          67,206,503
Insurance – 3.4%      
Admiral Group PLC   17,877     516,368
Aegon NV   309,957     831,832
Aflac, Inc.   142,129     5,183,445
Ageas SA/NV   12,123     413,809
AIA Group, Ltd. (B)   1,473,509     12,091,288
Alleghany Corp.   3,858     1,979,540
Allianz SE   61,340     11,117,026
Ambac Financial Group, Inc. (A)   5,794     77,755
American Equity Investment Life Holding Company   11,392     247,092
American Financial Group, Inc.   20,065     1,208,716
American International Group, Inc.   168,450     5,063,607
AMERISAFE, Inc.   2,376     145,839
Aon PLC, Class A   45,336     8,928,925
Argo Group International Holdings, Ltd.   4,168     127,916
Arthur J. Gallagher & Company   36,116     3,405,016
Assicurazioni Generali SpA   122,847     1,712,623
Assurant, Inc.   11,740     1,204,289
Aviva PLC   519,229     1,601,578
AXA SA   117,011     2,147,024
Baloise Holding AG   6,586     942,426
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
BB Seguridade Participacoes SA   73,908   $ 350,129
Benefytt Technologies, Inc. (A)   1,235     24,243
Brighthouse Financial, Inc. (A)   29,292     870,265
Brown & Brown, Inc.   62,691     2,520,178
BRP Group, Inc., Class A (A)   2,371     29,400
Cathay Financial Holding Company, Ltd.   983,890     1,314,713
China Development Financial Holding Corp.   1,696,000     514,988
China Life Insurance Company, Ltd.   394,703     273,380
China Life Insurance Company, Ltd., H Shares   987,076     1,870,432
China Pacific Insurance Group Company, Ltd., H Shares   355,979     989,445
China Reinsurance Group Corp., H Shares   819,300     86,182
China Taiping Insurance Holdings Company, Ltd.   238,400     356,644
Chubb, Ltd.   87,754     10,700,723
Cincinnati Financial Corp.   29,418     1,734,191
Citizens, Inc. (A)(B)   6,439     39,149
CNO Financial Group, Inc.   59,238     850,065
CNP Assurances (A)   19,945     211,011
Crawford & Company, Class A   2,268     13,653
Dai-ichi Life Holdings, Inc.   172,400     2,261,660
DB Insurance Company, Ltd.   10,825     380,624
Direct Line Insurance Group PLC   137,654     450,908
Discovery, Ltd.   54,079     304,168
Donegal Group, Inc., Class A   1,290     18,383
eHealth, Inc. (A)(B)   2,880     375,610
Employers Holdings, Inc.   3,983     119,052
Enstar Group, Ltd. (A)   1,450     206,480
Everest Re Group, Ltd.   7,897     1,566,844
Fairfax Financial Holdings, Ltd.   4,747     1,318,651
FBL Financial Group, Inc., Class A   1,225     43,745
FedNat Holding Company   1,546     18,846
First American Financial Corp.   30,115     1,520,506
Fubon Financial Holding Company, Ltd.   836,659     1,183,971
Genworth Financial, Inc., Class A (A)   198,985     606,904
Gjensidige Forsikring ASA (A)   13,799     251,568
Global Indemnity, Ltd.   1,057     25,643
Globe Life, Inc.   19,290     1,485,716
Goosehead Insurance, Inc., Class A (A)(B)   1,439     86,268
Great-West Lifeco, Inc. (B)   56,796     924,840
Greenlight Capital Re, Ltd., Class A (A)   4,080     29,539
Hannover Rueck SE   9,297     1,501,446
Hanwha Life Insurance Company, Ltd.   19,772     24,468
HCI Group, Inc.   762     34,176
Heritage Insurance Holdings, Inc.   3,328     41,733
Horace Mann Educators Corp.   5,207     190,160
Hyundai Marine & Fire Insurance Company, Ltd.   13,075     256,776
iA Financial Corp., Inc.   21,730     693,952
Independence Holding Company   666     19,347
Insurance Australia Group, Ltd.   306,870     1,253,089
Intact Financial Corp.   24,317     2,321,405
Investors Title Company   175     22,068
IRB Brasil Resseguros SA   76,100     118,365
James River Group Holdings, Ltd.   3,729     144,200
Japan Post Holdings Company, Ltd.   251,600     1,835,328
Japan Post Insurance Company, Ltd.   37,300     475,339
Kemper Corp.   16,795     1,064,803
Kinsale Capital Group, Inc.   2,569     383,603
Legal & General Group PLC   570,067     1,407,456
Liberty Holdings, Ltd.   22,881     81,351
 
  81  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
Lincoln National Corp.   38,403   $ 1,456,626
Loews Corp.   49,530     1,646,377
Mapfre SA   181,524     320,096
Marsh & McLennan Companies, Inc.   97,719     10,350,396
MBIA, Inc. (A)(B)   9,747     69,009
Medibank Pvt., Ltd.   370,289     703,188
Mercury General Corp.   7,271     292,512
MetLife, Inc.   151,358     5,450,402
Momentum Metropolitan Holdings   130,920     128,550
MS&AD Insurance Group Holdings, Inc.   77,468     2,281,809
Muenchener Rueckversicherungs-Gesellschaft AG   21,371     4,873,423
National General Holdings Corp.   8,563     173,829
National Western Life Group, Inc., Class A   292     57,212
New China Life Insurance Company, Ltd., H Shares   117,600     369,194
NI Holdings, Inc. (A)   1,291     19,352
NN Group NV   53,181     1,632,394
Old Mutual, Ltd.   623,295     399,950
Old Republic International Corp.   76,499     1,192,619
Palomar Holdings, Inc. (A)   2,279     169,603
PICC Property & Casualty Company, Ltd., H Shares   935,848     818,797
Ping An Insurance Group Company of China, Ltd., H Shares   719,110     7,116,398
Porto Seguro SA   10,023     88,842
Poste Italiane SpA (C)   54,857     485,361
Power Corp. of Canada   102,717     1,671,851
Powszechny Zaklad Ubezpieczen SA   47,928     357,108
Primerica, Inc.   11,088     1,260,040
Principal Financial Group, Inc.   50,003     1,931,116
ProAssurance Corp.   6,799     93,826
ProSight Global, Inc. (A)   1,202     10,650
Protective Insurance Corp., Class B   1,245     17,206
Prudential Financial, Inc.   77,839     4,745,065
Prudential PLC   235,978     3,060,469
QBE Insurance Group, Ltd.   198,778     1,171,202
Rand Merchant Investment Holdings, Ltd.   111,505     173,424
Reinsurance Group of America, Inc.   16,785     1,523,239
RenaissanceRe Holdings, Ltd.   11,839     1,987,295
RLI Corp.   15,734     1,242,357
RSA Insurance Group PLC   108,590     531,801
Safety Insurance Group, Inc.   1,855     141,425
Sampo OYJ, A Shares   59,902     2,152,309
Samsung Fire & Marine Insurance Company, Ltd.   6,281     928,134
Samsung Life Insurance Company, Ltd.   15,339     568,751
Sanlam, Ltd.   235,707     761,335
SCOR SE (A)   9,425     236,356
Selective Insurance Group, Inc.   23,318     1,223,029
Shin Kong Financial Holding Company, Ltd.   1,438,694     400,651
Sompo Holdings, Inc.   53,860     1,921,275
Sony Financial Holdings, Inc.   26,200     632,522
State Auto Financial Corp.   2,216     44,187
Stewart Information Services Corp.   2,966     91,412
Sul America SA   30,994     260,495
Sun Life Financial, Inc.   107,252     3,679,059
Suncorp Group, Ltd.   168,988     1,042,123
Swiss Life Holding AG   4,470     1,584,431
Swiss Re AG   38,154     2,605,594
T&D Holdings, Inc.   90,300     820,211
The Allstate Corp.   62,727     6,135,328
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
The Hanover Insurance Group, Inc.   10,560   $ 1,059,696
The Hartford Financial Services Group, Inc.   69,786     2,672,106
The People's Insurance Company Group of China, Ltd., H Shares   1,137,900     344,215
The Progressive Corp.   113,202     8,793,531
The Travelers Companies, Inc.   49,978     5,346,646
Third Point Reinsurance, Ltd. (A)   9,509     70,176
Tiptree, Inc.   3,248     19,813
Tokio Marine Holdings, Inc.   100,814     4,374,298
Trupanion, Inc. (A)   3,667     110,450
Tryg A/S   19,881     558,540
United Fire Group, Inc.   2,709     72,682
United Insurance Holdings Corp.   2,830     22,187
Universal Insurance Holdings, Inc.   3,757     67,100
Unum Group   39,939     605,076
W.R. Berkley Corp.   28,094     1,628,047
Watford Holdings, Ltd. (A)   2,372     35,034
Willis Towers Watson PLC   24,896     5,051,398
ZhongAn Online P&C Insurance Company, Ltd., H Shares (A)(B)(C)   40,900     146,226
Zurich Insurance Group AG   19,272     6,236,450
          229,058,782
Mortgage real estate investment trusts – 0.0%      
AG Mortgage Investment Trust, Inc.   4,407     10,841
Anworth Mortgage Asset Corp.   13,036     19,033
Apollo Commercial Real Estate Finance, Inc.   19,501     160,493
Ares Commercial Real Estate Corp.   3,959     29,495
Arlington Asset Investment Corp., Class A   5,059     12,142
ARMOUR Residential REIT, Inc.   7,550     59,117
Blackstone Mortgage Trust, Inc., Class A   16,180     381,686
Capstead Mortgage Corp.   11,925     60,341
Cherry Hill Mortgage Investment Corp.   2,176     18,779
Colony Credit Real Estate, Inc.   10,589     52,416
Dynex Capital, Inc.   2,878     37,011
Exantas Capital Corp.   4,336     8,672
Granite Point Mortgage Trust, Inc.   7,084     34,853
Great Ajax Corp.   2,252     18,466
Invesco Mortgage Capital, Inc.   21,249     58,860
KKR Real Estate Finance Trust, Inc.   3,016     48,829
Ladder Capital Corp.   13,052     103,763
New York Mortgage Trust, Inc.   48,025     99,892
Orchid Island Capital, Inc.   8,153     33,998
PennyMac Mortgage Investment Trust   12,484     137,449
Ready Capital Corp.   4,734     27,789
Redwood Trust, Inc.   14,251     76,243
TPG RE Finance Trust, Inc.   6,390     47,350
Western Asset Mortgage Capital Corp.   7,009     13,878
          1,551,396
Thrifts and mortgage finance – 0.1%      
Axos Financial, Inc. (A)(B)   7,316     159,489
Bridgewater Bancshares, Inc. (A)   2,994     31,197
Capitol Federal Financial, Inc.   16,331     191,481
Columbia Financial, Inc. (A)   6,667     94,005
ESSA Bancorp, Inc.   1,313     18,842
Essent Group, Ltd.   40,970     1,354,059
Federal Agricultural Mortgage Corp., Class C   1,141     73,172
First Defiance Financial Corp.   4,728     78,532
Flagstar Bancorp, Inc.   4,379     128,305
FS Bancorp, Inc.   534     22,556
Hingham Institution for Savings   179     29,383
Home Bancorp, Inc.   1,015     24,116
 
  82  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Thrifts and mortgage finance (continued)      
HomeStreet, Inc. (B)   2,808   $ 66,887
Kearny Financial Corp.   10,092     86,488
Luther Burbank Corp.   2,469     25,381
Merchants Bancorp   1,159     19,796
Meridian Bancorp, Inc.   6,206     71,493
Meta Financial Group, Inc.   4,291     77,753
MMA Capital Holdings, Inc. (A)   608     15,176
Mr. Cooper Group, Inc. (A)   9,634     107,419
New York Community Bancorp, Inc.   125,288     1,259,144
NMI Holdings, Inc., Class A (A)   8,397     129,020
Northfield Bancorp, Inc.   5,671     61,984
Northwest Bancshares, Inc.   14,412     143,544
Ocwen Financial Corp. (A)   19,801     14,637
OP Bancorp   2,031     12,877
PCSB Financial Corp.   2,177     29,085
PennyMac Financial Services, Inc.   3,137     105,340
Pioneer Bancorp, Inc. (A)   1,524     14,554
Provident Bancorp, Inc.   1,379     11,749
Provident Financial Holdings, Inc.   888     11,429
Provident Financial Services, Inc.   7,749     100,969
Prudential Bancorp, Inc.   1,269     15,507
Radian Group, Inc.   25,557     405,845
Riverview Bancorp, Inc.   2,947     14,735
Southern Missouri Bancorp, Inc.   1,031     25,074
Territorial Bancorp, Inc.   955     24,286
Timberland Bancorp, Inc.   1,016     18,258
TrustCo Bank Corp.   12,063     75,997
Walker & Dunlop, Inc.   3,508     142,074
Washington Federal, Inc.   30,703     793,980
Waterstone Financial, Inc.   2,848     42,435
Western New England Bancorp, Inc.   3,410     18,005
WSFS Financial Corp.   6,439     178,167
          6,324,225
          935,549,556
Health care – 12.6%          
Biotechnology – 2.0%      
3SBio, Inc. (A)(C)   162,300     194,309
89bio, Inc. (A)   399     10,278
AbbVie, Inc.   247,407     22,927,207
Abeona Therapeutics, Inc. (A)   7,196     23,819
ACADIA Pharmaceuticals, Inc. (A)   14,226     706,748
Acceleron Pharma, Inc. (A)   5,689     562,244
Achillion Pharmaceuticals, Inc. (A)(D)   17,157     7,892
ADMA Biologics, Inc. (A)   9,251     30,436
Aduro Biotech, Inc. (A)   8,631     28,223
Adverum Biotechnologies, Inc. (A)   8,002     165,081
Aeglea BioTherapeutics, Inc. (A)   3,436     30,271
Affimed NV (A)   9,612     31,623
Agenus, Inc. (A)   13,897     51,836
Aimmune Therapeutics, Inc. (A)(B)   5,745     95,424
Akcea Therapeutics, Inc. (A)(B)   1,647     24,540
Akebia Therapeutics, Inc. (A)   14,985     174,425
Akero Therapeutics, Inc. (A)   1,077     27,377
Albireo Pharma, Inc. (A)   1,673     44,769
Alder Biopharmaceuticals, Inc. (A)(B)(D)   9,683     14,302
Aldeyra Therapeutics, Inc. (A)   3,222     15,852
Alector, Inc. (A)(B)   4,374     143,030
Alexion Pharmaceuticals, Inc. (A)   31,053     3,723,255
Allakos, Inc. (A)(B)   2,461     159,965
Allogene Therapeutics, Inc. (A)(B)   4,914     236,658
Amgen, Inc.   83,378     19,151,927
Amicus Therapeutics, Inc. (A)   32,417     404,402
AnaptysBio, Inc. (A)(B)   3,179     60,655
Anavex Life Sciences Corp. (A)   6,369     26,177
Anika Therapeutics, Inc. (A)   1,700     57,001
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Apellis Pharmaceuticals, Inc. (A)   7,243   $ 244,017
Applied Therapeutics, Inc. (A)   1,027     46,749
Aprea Therapeutics, Inc. (A)   828     22,240
Arcus Biosciences, Inc. (A)   4,100     128,535
Arcutis Biotherapeutics, Inc. (A)   1,331     44,655
Ardelyx, Inc. (A)   7,968     58,405
Arena Pharmaceuticals, Inc. (A)   6,395     382,229
Arrowhead Pharmaceuticals, Inc. (A)(B)   39,486     1,273,029
Assembly Biosciences, Inc. (A)   3,633     70,807
Atara Biotherapeutics, Inc. (A)(B)   6,632     76,268
Athenex, Inc. (A)(B)   8,722     94,808
Athersys, Inc. (A)   17,020     49,528
Atreca, Inc., Class A (A)   2,212     40,856
Avid Bioservices, Inc. (A)   7,191     41,995
Avrobio, Inc. (A)   3,013     60,923
Beam Therapeutics, Inc. (A)   1,575     40,241
BeiGene, Ltd., ADR (A)(B)   4,700     778,038
Beyondspring, Inc. (A)   1,690     28,730
BioCryst Pharmaceuticals, Inc. (A)(B)   19,616     88,174
Biogen, Inc. (A)   25,320     7,775,519
Biohaven Pharmaceutical Holding Company, Ltd. (A)(B)   5,424     338,837
BioSpecifics Technologies Corp. (A)   781     48,578
Bioxcel Therapeutics, Inc. (A)   874     40,693
Black Diamond Therapeutics, Inc. (A)   1,533     59,864
Blueprint Medicines Corp. (A)   6,780     441,649
Bridgebio Pharma, Inc. (A)(B)   9,482     278,107
Calithera Biosciences, Inc. (A)   7,181     41,793
CareDx, Inc. (A)(B)   5,197     166,928
CASI Pharmaceuticals, Inc. (A)(B)   6,786     17,915
Castle Biosciences, Inc. (A)   1,205     46,308
Catalyst Pharmaceuticals, Inc. (A)   12,263     52,854
Celltrion, Inc. (A)   18,724     3,242,026
Cellular Biomedicine Group, Inc. (A)   1,618     22,280
CEL-SCI Corp. (A)(B)   4,153     55,359
Checkpoint Therapeutics, Inc. (A)   5,024     10,651
ChemoCentryx, Inc. (A)   5,144     320,934
Chimerix, Inc. (A)   6,379     19,902
Clovis Oncology, Inc. (A)(B)   6,471     44,779
Coherus Biosciences, Inc. (A)   7,920     147,629
Concert Pharmaceuticals, Inc. (A)   3,499     37,159
Constellation Pharmaceuticals, Inc. (A)(B)   2,372     84,277
Corbus Pharmaceuticals Holdings, Inc. (A)(B)   8,431     62,895
Cortexyme, Inc. (A)(B)   1,440     66,370
Crinetics Pharmaceuticals, Inc. (A)   1,463     23,905
CSL, Ltd.   58,971     10,921,056
Cue Biopharma, Inc. (A)   2,519     69,726
Cyclerion Therapeutics, Inc. (A)   3,224     12,832
Cytokinetics, Inc. (A)(B)   7,062     146,254
CytomX Therapeutics, Inc. (A)   5,785     51,255
Deciphera Pharmaceuticals, Inc. (A)   2,647     155,035
Denali Therapeutics, Inc. (A)(B)   6,614     184,068
Dicerna Pharmaceuticals, Inc. (A)   6,766     145,943
Dynavax Technologies Corp. (A)(B)   10,789     66,029
Eagle Pharmaceuticals, Inc. (A)(B)   1,155     59,205
Editas Medicine, Inc. (A)(B)   6,567     177,769
Eidos Therapeutics, Inc. (A)(B)   1,408     68,865
Eiger BioPharmaceuticals, Inc. (A)   3,059     36,922
Emergent BioSolutions, Inc. (A)(B)   5,758     480,735
Enanta Pharmaceuticals, Inc. (A)   2,420     124,606
Epizyme, Inc. (A)   9,843     172,745
Esperion Therapeutics, Inc. (A)(B)   3,214     136,177
Evelo Biosciences, Inc. (A)   1,973     8,622
 
  83  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Exelixis, Inc. (A)   81,455   $ 2,012,753
Fate Therapeutics, Inc. (A)(B)   7,672     248,803
FibroGen, Inc. (A)   9,948     332,661
Five Prime Therapeutics, Inc. (A)   4,587     24,311
Flexion Therapeutics, Inc. (A)(B)   4,379     50,052
Frequency Therapeutics, Inc. (A)   755     14,013
G1 Therapeutics, Inc. (A)   4,341     73,667
Galapagos NV (A)   2,593     526,038
Galectin Therapeutics, Inc. (A)(B)   5,455     16,529
Genmab A/S (A)   10,646     3,296,298
Geron Corp. (A)   24,280     39,091
Gilead Sciences, Inc.   177,530     13,817,160
Global Blood Therapeutics, Inc. (A)(B)   7,327     512,304
GlycoMimetics, Inc. (A)   4,718     13,352
Gossamer Bio, Inc. (A)(B)   5,526     67,141
Grifols SA   43,091     1,344,710
Gritstone Oncology, Inc. (A)   3,400     21,964
Halozyme Therapeutics, Inc. (A)   17,010     412,833
Harpoon Therapeutics, Inc. (A)   963     20,955
Helixmith Company, Ltd. (A)   4,779     243,160
Heron Therapeutics, Inc. (A)(B)   10,687     194,717
Homology Medicines, Inc. (A)   3,205     45,639
Hookipa Pharma, Inc. (A)   1,402     15,296
IGM Biosciences, Inc. (A)   630     40,811
ImmunoGen, Inc. (A)(B)   21,445     100,363
Immunomedics, Inc. (A)   25,779     865,917
Incyte Corp. (A)   25,087     2,556,616
Innovent Biologics, Inc. (A)(C)   119,500     656,231
Inovio Pharmaceuticals, Inc. (A)(B)   11,996     176,941
Insmed, Inc. (A)(B)   11,290     274,234
Intellia Therapeutics, Inc. (A)(B)   4,939     86,482
Intercept Pharmaceuticals, Inc. (A)(B)   3,191     230,582
Invitae Corp. (A)(B)   10,998     184,986
Iovance Biotherapeutics, Inc. (A)   14,811     475,285
Ironwood Pharmaceuticals, Inc. (A)(B)   19,823     192,878
Jounce Therapeutics, Inc. (A)   2,138     11,524
Kadmon Holdings, Inc. (A)(B)   20,368     90,434
KalVista Pharmaceuticals, Inc. (A)   1,693     19,046
Karuna Therapeutics, Inc. (A)(B)   1,328     124,646
Karyopharm Therapeutics, Inc. (A)   7,526     139,156
Kezar Life Sciences, Inc. (A)   4,161     19,848
Kindred Biosciences, Inc. (A)   5,026     21,562
Kiniksa Pharmaceuticals, Ltd., Class A (A)   1,777     37,086
Kodiak Sciences, Inc. (A)   3,538     228,590
Krystal Biotech, Inc. (A)(B)   1,323     68,015
Kura Oncology, Inc. (A)(B)   4,386     74,957
La Jolla Pharmaceutical Company (A)   2,733     12,900
Lexicon Pharmaceuticals, Inc. (A)(B)   5,776     11,032
Ligand Pharmaceuticals, Inc. (A)(B)   6,587     669,042
Lineage Cell Therapeutics, Inc. (A)   15,132     13,342
MacroGenics, Inc. (A)(B)   6,108     117,518
Madrigal Pharmaceuticals, Inc. (A)(B)   1,144     132,727
Magenta Therapeutics, Inc. (A)   2,556     22,595
MannKind Corp. (A)   24,526     37,034
MediciNova, Inc. (A)   5,529     29,525
Medy-Tox, Inc.   892     122,493
MEI Pharma, Inc. (A)   13,121     47,957
MeiraGTx Holdings PLC (A)   2,228     33,064
Mersana Therapeutics, Inc. (A)   4,573     103,533
Minerva Neurosciences, Inc. (A)(B)   3,793     14,072
Mirati Therapeutics, Inc. (A)(B)   3,760     372,954
Mirum Pharmaceuticals, Inc. (A)   704     11,862
Molecular Templates, Inc. (A)   2,577     39,995
Momenta Pharmaceuticals, Inc. (A)(B)   14,345     451,581
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Morphic Holding, Inc. (A)   1,384   $ 28,760
Mustang Bio, Inc. (A)   4,001     14,924
Myriad Genetics, Inc. (A)   9,055     131,569
Natera, Inc. (A)   7,880     345,538
NextCure, Inc. (A)   1,821     56,833
Novavax, Inc. (A)   4,067     187,245
OPKO Health, Inc. (A)(B)   49,218     112,217
Oyster Point Pharma, Inc. (A)   727     20,690
Palatin Technologies, Inc. (A)   31,396     15,915
PDL BioPharma, Inc. (A)   14,328     46,853
PeptiDream, Inc. (A)   14,500     651,876
Pfenex, Inc. (A)   3,867     28,268
Pieris Pharmaceuticals, Inc. (A)   6,180     22,248
Portola Pharmaceuticals, Inc. (A)(B)   9,734     174,725
Precigen, Inc. (A)(B)   9,713     21,369
Precision BioSciences, Inc. (A)   4,652     32,611
Prevail Therapeutics, Inc. (A)   1,814     30,258
Principia Biopharma, Inc. (A)   2,320     148,225
Progenics Pharmaceuticals, Inc. (A)   11,327     48,083
Protagonist Therapeutics, Inc. (A)   2,305     38,102
Prothena Corp. PLC (A)   5,146     54,856
PTC Therapeutics, Inc. (A)   7,642     387,526
Puma Biotechnology, Inc. (A)(B)   3,976     40,595
Radius Health, Inc. (A)(B)   5,769     73,036
Regeneron Pharmaceuticals, Inc. (A)   11,209     6,868,987
REGENXBIO, Inc. (A)   4,232     159,377
Replimune Group, Inc. (A)   1,724     32,377
Retrophin, Inc. (A)   5,317     83,397
REVOLUTION Medicines, Inc. (A)(B)   1,816     55,788
Rhythm Pharmaceuticals, Inc. (A)   3,793     73,546
Rigel Pharmaceuticals, Inc. (A)   22,016     43,041
Rocket Pharmaceuticals, Inc. (A)(B)   4,074     76,632
Rubius Therapeutics, Inc. (A)(B)   4,711     30,386
Sangamo Therapeutics, Inc. (A)(B)   14,612     163,508
Savara, Inc. (A)   4,791     11,690
Scholar Rock Holding Corp. (A)   2,258     41,547
Seres Therapeutics, Inc. (A)   4,873     26,753
Sorrento Therapeutics, Inc. (A)(B)   16,609     83,875
Spectrum Pharmaceuticals, Inc. (A)   14,701     43,221
Spero Therapeutics, Inc. (A)   1,737     20,531
SpringWorks Therapeutics, Inc. (A)   1,331     50,671
Stemline Therapeutics, Inc. (A)(B)   5,969     70,912
Stoke Therapeutics, Inc. (A)(B)   2,165     59,884
Sutro Biopharma, Inc. (A)   1,561     15,626
Syndax Pharmaceuticals, Inc. (A)   2,848     46,138
Syros Pharmaceuticals, Inc. (A)   4,469     43,752
TCR2 Therapeutics, Inc. (A)   1,620     16,362
TG Therapeutics, Inc. (A)(B)   10,914     203,546
Translate Bio, Inc. (A)(B)   4,403     91,230
Turning Point Therapeutics, Inc. (A)(B)   3,498     242,237
Twist Bioscience Corp. (A)(B)   3,308     125,539
Tyme Technologies, Inc. (A)   8,148     12,548
Ultragenyx Pharmaceutical, Inc. (A)(B)   6,921     473,812
United Therapeutics Corp. (A)   11,764     1,387,564
UNITY Biotechnology, Inc. (A)   3,839     31,403
UroGen Pharma, Ltd. (A)(B)   2,426     56,938
Vanda Pharmaceuticals, Inc. (A)   6,605     77,411
VBI Vaccines, Inc. (A)   19,856     43,286
Veracyte, Inc. (A)(B)   5,978     149,091
Vericel Corp. (A)   5,676     81,621
Vertex Pharmaceuticals, Inc. (A)   36,084     10,390,749
Viela Bio, Inc. (A)   695     32,596
Viking Therapeutics, Inc. (A)(B)   8,295     59,309
Vir Biotechnology, Inc. (A)   917     31,343
Voyager Therapeutics, Inc. (A)   3,142     38,018
 
  84  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
X4 Pharmaceuticals, Inc. (A)   2,078   $ 17,746
XBiotech, Inc. (A)(B)   1,620     22,631
Xencor, Inc. (A)   5,996     181,379
Y-mAbs Therapeutics, Inc. (A)   2,995     114,349
Zai Lab, Ltd., ADR (A)(B)   4,800     357,120
ZIOPHARM Oncology, Inc. (A)   23,696     70,140
          136,549,800
Health care equipment and supplies – 2.9%      
Abbott Laboratories   246,693     23,416,100
ABIOMED, Inc. (A)   6,303     1,411,242
Accelerate Diagnostics, Inc. (A)(B)   3,615     30,185
Accuray, Inc. (A)   11,817     24,816
Alcon, Inc. (A)   52,182     3,378,041
Align Technology, Inc. (A)   10,011     2,458,902
Alphatec Holdings, Inc. (A)   5,139     22,869
AngioDynamics, Inc. (A)   4,818     49,192
Antares Pharma, Inc. (A)(B)   20,592     59,099
Apyx Medical Corp. (A)   4,455     19,780
Asahi Intecc Company, Ltd.   30,100     924,029
AtriCure, Inc. (A)   4,810     229,966
Atrion Corp. (B)   182     116,842
Avanos Medical, Inc. (A)(B)   18,856     547,955
Axogen, Inc. (A)(B)   4,404     42,719
Axonics Modulation Technologies, Inc. (A)(B)   2,339     85,771
Baxter International, Inc.   71,262     6,414,293
Becton, Dickinson and Company   41,159     10,163,392
BioLife Solutions, Inc. (A)   958     15,759
BioMerieux   2,254     323,882
BioSig Technologies, Inc. (A)   2,112     19,811
Boston Scientific Corp. (A)   194,549     7,390,917
Cantel Medical Corp.   10,044     422,652
Cardiovascular Systems, Inc. (A)   4,379     169,555
Carl Zeiss Meditec AG, Bearer Shares   5,810     594,548
Cerus Corp. (A)   19,975     124,245
Cochlear, Ltd.   8,311     1,071,866
Coloplast A/S, B Shares   19,354     3,273,443
CONMED Corp.   3,446     252,971
CryoLife, Inc. (A)   4,641     105,490
CryoPort, Inc. (A)(B)   3,991     98,059
Cutera, Inc. (A)   1,835     24,369
CytoSorbents Corp. (A)   3,919     40,013
Danaher Corp.   87,830     14,633,356
Demant A/S (A)   18,040     511,618
Dentsply Sirona, Inc.   31,044     1,444,167
DexCom, Inc. (A)   12,728     4,815,130
Edwards Lifesciences Corp. (A)   29,112     6,542,049
Fisher & Paykel Healthcare Corp., Ltd.   34,820     649,203
GenMark Diagnostics, Inc. (A)   7,040     66,810
Glaukos Corp. (A)(B)   4,939     192,522
Globus Medical, Inc., Class A (A)   30,235     1,652,343
Haemonetics Corp. (A)   19,967     2,189,981
Hartalega Holdings BHD   156,200     451,376
Heska Corp. (A)   893     78,521
Hill-Rom Holdings, Inc.   17,898     1,819,690
Hologic, Inc. (A)   37,426     1,983,578
Hoya Corp.   58,800     5,532,695
ICU Medical, Inc. (A)   5,154     1,028,841
IDEXX Laboratories, Inc. (A)   11,973     3,698,220
Inogen, Inc. (A)   2,322     88,236
Integer Holdings Corp. (A)   4,109     325,351
Integra LifeSciences Holdings Corp. (A)   19,106     995,614
IntriCon Corp. (A)   1,108     15,667
Intuitive Surgical, Inc. (A)   16,132     9,357,044
Invacare Corp.   4,361     26,864
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
iRadimed Corp. (A)   607   $ 14,113
iRhythm Technologies, Inc. (A)(B)   3,348     416,190
Koninklijke Philips NV (A)   148,966     6,772,437
Lantheus Holdings, Inc. (A)   4,910     67,414
LeMaitre Vascular, Inc. (B)   2,084     56,039
LivaNova PLC (A)   19,129     1,023,210
Masimo Corp. (A)   13,152     3,158,979
Medtronic PLC   187,089     18,443,234
Meridian Bioscience, Inc. (A)   5,350     82,711
Merit Medical Systems, Inc. (A)(B)   6,784     305,212
Mesa Laboratories, Inc. (B)   502     132,654
Misonix, Inc. (A)   1,235     17,204
Natus Medical, Inc. (A)   4,297     91,956
Neogen Corp. (A)   6,555     466,847
Nevro Corp. (A)(B)   3,776     474,266
Novocure, Ltd. (A)   10,983     740,584
NuVasive, Inc. (A)   20,531     1,244,179
Olympus Corp.   181,224     3,150,995
OraSure Technologies, Inc. (A)(B)   7,761     112,845
Orthofix Medical, Inc. (A)   2,323     79,168
OrthoPediatrics Corp. (A)(B)   1,269     58,539
Penumbra, Inc. (A)   8,611     1,484,709
Pulse Biosciences, Inc. (A)(B)   1,533     13,935
Quidel Corp. (A)   4,519     790,825
ResMed, Inc.   20,070     3,227,657
Rockwell Medical, Inc. (A)(B)   8,974     19,204
RTI Surgical Holdings, Inc. (A)   7,533     20,490
SeaSpine Holdings Corp. (A)   2,880     30,672
Shandong Weigao Group Medical Polymer Company, Ltd., H Shares   261,200     458,151
Shockwave Medical, Inc. (A)(B)   3,232     142,240
SI-BONE, Inc. (A)   2,475     43,288
Siemens Healthineers AG (C)   21,514     1,117,029
Sientra, Inc. (A)   5,194     20,153
Silk Road Medical, Inc. (A)(B)   2,045     78,262
Smith & Nephew PLC   77,578     1,582,709
Sonova Holding AG   6,873     1,515,218
STAAR Surgical Company (A)   5,626     218,289
STERIS PLC   11,834     1,963,142
Straumann Holding AG   1,298     1,058,604
Stryker Corp.   44,942     8,796,498
Surmodics, Inc. (A)   1,675     61,942
Sysmex Corp.   26,000     2,086,493
Tactile Systems Technology, Inc. (A)(B)   2,321     112,452
Tandem Diabetes Care, Inc. (A)   7,089     589,450
Teleflex, Inc.   6,462     2,344,801
Terumo Corp.   100,246     3,943,049
The Cooper Companies, Inc.   6,919     2,193,185
Top Glove Corp. BHD   157,600     483,121
TransMedics Group, Inc. (A)   1,887     24,927
Utah Medical Products, Inc.   445     44,269
Vapotherm, Inc. (A)(B)   1,909     50,837
Varex Imaging Corp. (A)   4,800     90,048
Varian Medical Systems, Inc. (A)   12,687     1,540,075
ViewRay, Inc. (A)   14,083     24,645
West Pharmaceutical Services, Inc.   10,327     2,231,045
Wright Medical Group NV (A)(B)   15,963     471,707
Zimmer Biomet Holdings, Inc.   28,710     3,627,221
Zynex, Inc. (A)   1,966     38,140
          200,868,907
Health care providers and services – 2.0%      
1Life Healthcare, Inc. (A)(B)   2,442     78,877
Acadia Healthcare Company, Inc. (A)   23,744     679,316
Addus HomeCare Corp. (A)   1,566     154,971
Alfresa Holdings Corp.   29,200     589,406
 
  85  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care providers and services (continued)      
Amedisys, Inc. (A)   12,606   $ 2,420,982
American Renal Associates Holdings, Inc. (A)   2,525     15,630
AmerisourceBergen Corp.   20,982     2,000,424
AMN Healthcare Services, Inc. (A)   5,815     257,953
Anthem, Inc.   35,393     10,409,435
Apollo Medical Holdings, Inc. (A)   1,064     20,099
Bangkok Dusit Medical Services PCL, NVDR   977,700     691,577
BioTelemetry, Inc. (A)   4,195     197,920
Brookdale Senior Living, Inc. (A)   23,790     87,071
Bumrungrad Hospital PCL, NVDR   43,800     165,377
Cardinal Health, Inc.   40,825     2,232,719
Catasys, Inc. (A)(B)   922     18,265
Celltrion Healthcare Company, Ltd. (A)   10,499     773,468
Centene Corp. (A)   81,489     5,398,646
Chemed Corp.   4,292     2,053,765
Cigna Corp.   52,123     10,284,910
Community Health Systems, Inc. (A)   11,165     35,170
CorVel Corp. (A)   1,140     77,395
Cross Country Healthcare, Inc. (A)   4,706     28,565
CVS Health Corp.   181,589     11,906,791
DaVita, Inc. (A)(B)   12,517     1,013,376
Encompass Health Corp.   26,433     1,936,217
Enzo Biochem, Inc. (A)   5,857     16,692
Fresenius Medical Care AG & Company KGaA   30,915     2,615,312
Fresenius SE & Company KGaA   60,639     2,931,500
Genesis Healthcare, Inc. (A)   11,561     9,967
Hanger, Inc. (A)   4,608     84,603
Hapvida Participacoes e Investimentos SA (C)   22,500     231,312
HCA Healthcare, Inc.   36,927     3,947,496
HealthEquity, Inc. (A)   27,766     1,720,659
Henry Schein, Inc. (A)   20,481     1,243,606
Humana, Inc.   18,484     7,590,455
IHH Healthcare BHD   229,609     287,355
Laboratory Corp. of America Holdings (A)   13,553     2,376,112
LHC Group, Inc. (A)   11,743     1,908,355
Life Healthcare Group Holdings, Ltd.   164,304     170,676
Magellan Health, Inc. (A)   2,782     208,622
McKesson Corp.   22,543     3,576,898
Medipal Holdings Corp.   28,400     562,616
MEDNAX, Inc. (A)   22,599     350,962
Molina Healthcare, Inc. (A)   16,809     3,123,448
National HealthCare Corp.   1,524     102,215
National Research Corp.   1,521     86,271
NMC Health PLC   8,800     3,175
Notre Dame Intermedica Participacoes SA   49,100     573,231
Option Care Health, Inc. (A)   3,905     59,356
Owens & Minor, Inc. (B)   7,790     61,775
Patterson Companies, Inc.   33,667     662,903
PetIQ, Inc. (A)   2,513     77,099
Progyny, Inc. (A)   1,515     37,814
Quest Diagnostics, Inc.   18,801     2,223,782
R1 RCM, Inc. (A)(B)   13,179     139,829
RadNet, Inc. (A)   5,328     90,789
Ramsay Health Care, Ltd.   27,056     1,265,312
Ryman Healthcare, Ltd.   24,928     187,970
Select Medical Holdings Corp. (A)   13,897     224,298
Shanghai Pharmaceuticals Holding Company, Ltd., H Shares   106,500     168,832
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care providers and services (continued)      
Sinopharm Group Company, Ltd., H Shares   174,300   $ 430,472
Sonic Healthcare, Ltd.   58,757     1,104,545
Surgery Partners, Inc. (A)   3,121     41,837
Suzuken Company, Ltd.   11,200     407,472
Tenet Healthcare Corp. (A)   40,877     889,484
The Ensign Group, Inc.   6,399     279,764
The Joint Corp. (A)   1,728     26,110
The Pennant Group, Inc. (A)   3,211     81,848
The Providence Service Corp. (A)(B)   1,476     118,818
Tivity Health, Inc. (A)   6,093     64,890
Triple-S Management Corp., Class B (A)(B)   2,881     57,332
UnitedHealth Group, Inc.   132,240     40,313,364
Universal Health Services, Inc., Class B   11,212     1,182,305
US Physical Therapy, Inc. (B)   1,596     118,327
          137,566,190
Health care technology – 0.2%      
Alibaba Health Information Technology, Ltd. (A)   463,100     1,094,341
Allscripts Healthcare Solutions, Inc. (A)   64,134     405,327
Castlight Health, Inc., B Shares (A)   15,345     12,087
Cerner Corp.   43,841     3,196,009
Computer Programs & Systems, Inc.   1,632     36,100
Evolent Health, Inc., Class A (A)(B)   9,502     84,378
Health Catalyst, Inc. (A)(B)   2,433     66,032
HealthStream, Inc. (A)   3,315     75,516
HMS Holdings Corp. (A)   11,128     347,639
Inovalon Holdings, Inc., Class A (A)(B)   9,224     173,596
Inspire Medical Systems, Inc. (A)   1,699     138,536
Livongo Health, Inc. (A)   6,510     390,144
M3, Inc.   68,500     2,767,009
NextGen Healthcare, Inc. (A)   7,008     72,323
Omnicell, Inc. (A)   5,236     350,341
OptimizeRx Corp. (A)   1,803     20,482
Phreesia, Inc. (A)   3,462     101,506
Ping An Healthcare and Technology Company, Ltd. (A)(C)   41,200     547,376
Schrodinger, Inc. (A)   1,748     119,651
Simulations Plus, Inc.   1,466     74,282
Tabula Rasa HealthCare, Inc. (A)(B)   2,469     131,919
Teladoc Health, Inc. (A)(B)   9,127     1,588,646
Vocera Communications, Inc. (A)(B)   3,973     77,990
          11,871,230
Life sciences tools and services – 1.0%      
Agilent Technologies, Inc.   43,020     3,791,783
Bio-Rad Laboratories, Inc., Class A (A)   5,793     2,846,217
Bio-Techne Corp.   10,217     2,705,462
Charles River Laboratories International, Inc. (A)   13,093     2,352,288
ChromaDex Corp. (A)   5,371     25,835
Codexis, Inc. (A)   6,769     84,071
Eurofins Scientific SE   630     428,333
Fluidigm Corp. (A)   9,077     39,576
Genscript Biotech Corp. (A)   119,400     263,557
Illumina, Inc. (A)   20,435     7,418,927
IQVIA Holdings, Inc. (A)   25,086     3,750,859
Lonza Group AG   9,324     4,604,382
Luminex Corp.   5,290     164,836
Medpace Holdings, Inc. (A)   3,480     323,014
Mettler-Toledo International, Inc. (A)   3,386     2,691,870
NanoString Technologies, Inc. (A)   4,322     131,951
NeoGenomics, Inc. (A)   12,036     321,241
Pacific Biosciences of California, Inc. (A)(B)   18,325     64,504
 
  86  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Life sciences tools and services (continued)      
PerkinElmer, Inc.   15,445   $ 1,551,759
Personalis, Inc. (A)   2,455     29,067
PRA Health Sciences, Inc. (A)   16,956     1,754,946
QIAGEN NV (A)   32,715     1,429,610
Quanterix Corp. (A)   1,715     47,317
Repligen Corp. (A)   19,161     2,509,516
Samsung Biologics Company, Ltd. (A)(C)   3,286     1,656,814
Sartorius Stedim Biotech   1,484     403,914
Syneos Health, Inc. (A)   24,570     1,498,524
Thermo Fisher Scientific, Inc.   55,745     19,465,597
Waters Corp. (A)   8,957     1,790,056
WuXi AppTec Company, Ltd., H Shares (C)   26,572     282,628
Wuxi Biologics Cayman, Inc. (A)(C)   99,700     1,574,437
          66,002,891
Pharmaceuticals – 4.5%      
AcelRx Pharmaceuticals, Inc. (A)   10,772     14,973
Aerie Pharmaceuticals, Inc. (A)(B)   5,405     75,832
AMAG Pharmaceuticals, Inc. (A)(B)   4,438     34,217
Amneal Pharmaceuticals, Inc. (A)(B)   15,193     73,990
Amphastar Pharmaceuticals, Inc. (A)   4,577     85,315
ANI Pharmaceuticals, Inc. (A)   1,177     36,558
Arvinas, Inc. (A)(B)   2,673     88,931
Aspen Pharmacare Holdings, Ltd. (A)   48,254     386,048
Astellas Pharma, Inc.   293,600     5,246,025
AstraZeneca PLC   116,148     12,509,102
Aurora Cannabis, Inc. (A)(B)   15,816     221,356
Axsome Therapeutics, Inc. (A)(B)   3,409     262,425
Bausch Health Companies, Inc. (A)   54,868     1,010,606
Bayer AG   142,397     9,734,198
BioDelivery Sciences International, Inc. (A)   10,704     51,165
Bristol-Myers Squibb Company   262,148     15,655,479
Canopy Growth Corp. (A)(B)   35,862     630,584
Cara Therapeutics, Inc. (A)(B)   5,082     80,651
Catalent, Inc. (A)   41,487     3,224,785
Chiasma, Inc. (A)   4,527     28,294
China Medical System Holdings, Ltd.   175,500     201,256
China Resources Pharmaceutical Group, Ltd. (C)   204,000     111,535
China Traditional Chinese Medicine Holdings Company, Ltd.   292,400     124,573
Chugai Pharmaceutical Company, Ltd.   34,700     5,127,691
Collegium Pharmaceutical, Inc. (A)(B)   4,061     89,545
Corcept Therapeutics, Inc. (A)(B)   12,110     183,345
CorMedix, Inc. (A)(B)   3,431     15,165
Cronos Group, Inc. (A)(B)   33,016     216,534
CSPC Pharmaceutical Group, Ltd.   601,100     1,184,944
Cymabay Therapeutics, Inc. (A)   9,112     33,760
Daiichi Sankyo Company, Ltd.   88,100     8,278,337
Eisai Company, Ltd.   39,154     3,073,244
Elanco Animal Health, Inc. (A)(D)   6,772     0
Eli Lilly & Company   94,485     14,451,481
Eloxx Pharmaceuticals, Inc. (A)   3,542     12,007
Endo International PLC (A)   28,614     110,450
Evofem Biosciences, Inc. (A)   1,886     10,298
Evolus, Inc. (A)   2,556     11,681
Fulcrum Therapeutics, Inc. (A)   1,656     32,971
GlaxoSmithKline PLC   441,799     9,150,853
H Lundbeck A/S   11,296     436,060
Hanmi Pharm Company, Ltd.   1,266     243,183
Hansoh Pharmaceutical Group Company, Ltd. (A)(C)   66,000     288,401
Hisamitsu Pharmaceutical Company, Inc.   7,900     399,990
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Hutchison China MediTech, Ltd., ADR (A)   7,700   $ 167,937
Hypera SA   38,379     231,728
Innoviva, Inc. (A)(B)   8,074     112,794
Intersect ENT, Inc. (A)   3,997     44,567
Intra-Cellular Therapies, Inc. (A)   6,679     139,458
Ipsen SA   2,062     161,332
Johnson & Johnson   294,319     43,779,951
Kala Pharmaceuticals, Inc. (A)   3,056     37,619
Kalbe Farma Tbk PT   2,056,110     199,439
Kaleido Biosciences, Inc. (A)(B)   1,575     11,372
Kyowa Kirin Company, Ltd.   37,828     1,026,534
Lannett Company, Inc. (A)   4,126     31,564
Liquidia Technologies, Inc. (A)   1,812     16,743
Luye Pharma Group, Ltd. (C)   150,100     75,433
Mallinckrodt PLC (A)(B)   10,842     30,574
Marinus Pharmaceuticals, Inc. (A)   10,694     27,163
Menlo Therapeutics, Inc. (A)   6,454     15,425
Merck & Company, Inc.   284,713     22,982,033
Merck KGaA   18,718     2,157,718
Mylan NV (A)   57,716     985,212
MyoKardia, Inc. (A)   6,261     640,438
Nektar Therapeutics (A)(B)   47,161     1,023,394
NGM Biopharmaceuticals, Inc. (A)   3,097     61,104
Nippon Shinyaku Company, Ltd.   7,100     613,529
Novartis AG   269,390     23,451,987
Novo Nordisk A/S, B Shares   289,663     18,974,271
Ocular Therapeutix, Inc. (A)   5,469     38,502
Odonate Therapeutics, Inc. (A)   1,237     40,413
Omeros Corp. (A)(B)   6,523     97,062
Ono Pharmaceutical Company, Ltd.   57,600     1,652,157
Optinose, Inc. (A)   3,857     16,662
Orion OYJ, Class B   13,598     727,814
Otsuka Holdings Company, Ltd.   60,700     2,737,694
Pacira BioSciences, Inc. (A)   5,191     228,144
Paratek Pharmaceuticals, Inc. (A)   4,434     19,687
Perrigo Company PLC   15,219     833,545
Pfizer, Inc.   618,874     23,634,798
Phathom Pharmaceuticals, Inc. (A)   1,378     58,262
Phibro Animal Health Corp., Class A   2,595     67,989
Prestige Consumer Healthcare, Inc. (A)   19,820     836,404
Reata Pharmaceuticals, Inc., Class A (A)(B)   2,864     416,196
Recordati SpA   10,340     470,884
Recro Pharma, Inc. (A)   2,591     11,711
Revance Therapeutics, Inc. (A)(B)   6,560     137,104
Richter Gedeon NYRT   23,668     517,275
Roche Holding AG   88,076     30,573,073
Sanofi   62,189     6,083,003
Santen Pharmaceutical Company, Ltd.   55,700     1,031,679
Satsuma Pharmaceuticals, Inc. (A)   594     15,563
Shanghai Fosun Pharmaceutical Group Company, Ltd., H Shares   66,500     213,294
Shionogi & Company, Ltd.   41,863     2,482,513
SIGA Technologies, Inc. (A)   6,976     41,786
Sino Biopharmaceutical, Ltd.   888,350     1,403,709
SSY Group, Ltd.   193,300     119,168
Strongbridge Biopharma PLC (A)   4,897     16,748
Sumitomo Dainippon Pharma Company, Ltd.   24,800     351,235
Supernus Pharmaceuticals, Inc. (A)   6,258     150,943
Taisho Pharmaceutical Holdings Company, Ltd.   5,200     331,204
Takeda Pharmaceutical Company, Ltd.   232,528     9,096,330
 
  87  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Teva Pharmaceutical Industries, Ltd., ADR (A)(B)   125,036   $ 1,566,701
TherapeuticsMD, Inc. (A)(B)   29,269     33,074
Theravance Biopharma, Inc. (A)   6,237     157,484
Tricida, Inc. (A)(B)   2,797     75,127
UCB SA   7,266     727,219
Verrica Pharmaceuticals, Inc. (A)   1,728     19,837
Vifor Pharma AG   5,702     873,753
WaVe Life Sciences, Ltd. (A)   2,975     30,286
Xeris Pharmaceuticals, Inc. (A)   4,814     24,744
Yuhan Corp.   9,250     389,164
Zoetis, Inc.   53,263     7,424,330
Zogenix, Inc. (A)   5,415     157,739
Zynerba Pharmaceuticals, Inc. (A)(B)   3,082     16,211
          306,185,377
          859,044,395
Industrials – 10.0%          
Aerospace and defense – 1.1%      
AAR Corp.   4,268     86,086
Aerojet Rocketdyne Holdings, Inc. (A)   9,216     404,122
AeroVironment, Inc. (A)   2,693     190,745
Airbus SE (A)   32,291     2,063,621
Aselsan Elektronik Sanayi Ve Ticaret AS   23,102     102,307
Astronics Corp. (A)   3,108     28,376
AviChina Industry & Technology Company, Ltd., H Shares   311,300     142,393
Axon Enterprise, Inc. (A)   23,282     1,768,501
BAE Systems PLC   285,693     1,763,246
Bombardier, Inc., Class B (A)   372,355     120,346
CAE, Inc.   46,288     694,564
Cubic Corp.   3,963     163,315
Curtiss-Wright Corp.   11,444     1,147,833
Dassault Aviation SA (A)   137     115,723
Ducommun, Inc. (A)   1,380     44,436
Embraer SA (A)   71,908     96,348
General Dynamics Corp.   30,251     4,441,754
Howmet Aerospace, Inc.   50,002     654,026
Huntington Ingalls Industries, Inc.   5,280     1,055,419
Korea Aerospace Industries, Ltd.   14,669     301,528
Kratos Defense & Security Solutions, Inc. (A)   11,411     211,674
L3Harris Technologies, Inc.   28,536     5,691,505
Leonardo SpA   42,825     268,848
Lockheed Martin Corp.   32,043     12,446,783
Maxar Technologies, Inc.   7,574     114,140
Meggitt PLC   73,717     254,810
Mercury Systems, Inc. (A)   21,741     1,942,558
Moog, Inc., Class A   3,939     213,848
MTU Aero Engines AG   7,593     1,227,228
National Presto Industries, Inc. (B)   616     55,434
Northrop Grumman Corp.   20,233     6,782,102
Park Aerospace Corp.   2,416     29,306
Parsons Corp. (A)   2,405     97,787
Raytheon Technologies Corp.   189,488     12,225,766
Rolls-Royce Holdings PLC (A)   154,285     525,874
Safran SA (A)   18,188     1,752,575
Singapore Technologies Engineering, Ltd.   69,400     157,169
Teledyne Technologies, Inc. (A)   9,777     3,657,771
Textron, Inc.   29,467     912,593
Thales SA   5,851     447,852
The Boeing Company   69,017     10,066,129
TransDigm Group, Inc.   6,428     2,730,743
Triumph Group, Inc.   6,449     48,303
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Aerospace and defense (continued)      
Vectrus, Inc. (A)   1,417   $ 77,822
          77,323,309
Air freight and logistics – 0.5%      
Air Transport Services Group, Inc. (A)   7,425     159,935
Atlas Air Worldwide Holdings, Inc. (A)   2,965     115,813
BEST, Inc., ADR (A)   25,200     130,536
C.H. Robinson Worldwide, Inc.   23,452     1,902,661
Deutsche Post AG   143,087     4,481,229
DSV Panalpina A/S   34,696     3,677,723
Echo Global Logistics, Inc. (A)   3,454     71,498
Expeditors International of Washington, Inc.   29,531     2,255,282
FedEx Corp.   41,624     5,434,429
Forward Air Corp.   3,598     178,749
Hub Group, Inc., Class A (A)   4,091     191,336
Hyundai Glovis Company, Ltd.   3,794     347,380
Radiant Logistics, Inc. (A)   5,317     21,215
SG Holdings Company, Ltd.   22,100     722,638
Sinotrans, Ltd., H Shares   276,200     57,505
United Parcel Service, Inc., Class B   121,516     12,116,360
XPO Logistics, Inc. (A)(B)   24,744     1,950,075
Yamato Holdings Company, Ltd.   48,000     1,067,900
ZTO Express Cayman, Inc., ADR   40,600     1,324,372
          36,206,636
Airlines – 0.2%      
Air Canada (A)   23,152     267,362
Air China, Ltd., H Shares (B)   216,966     131,405
AirAsia Group BHD   154,346     24,598
Alaska Air Group, Inc. (B)   21,359     730,264
Allegiant Travel Company   1,646     175,381
American Airlines Group, Inc. (B)   67,604     709,842
ANA Holdings, Inc. (A)   17,700     427,639
China Airlines, Ltd.   261,000     71,395
China Eastern Airlines Corp., Ltd., H Shares   216,400     73,815
China Southern Airlines Company, Ltd., H Shares (B)   194,900     81,179
Delta Air Lines, Inc.   99,813     2,516,286
Deutsche Lufthansa AG (A)(B)   34,171     347,369
easyJet PLC   14,880     126,434
Eva Airways Corp.   292,066     107,121
Hawaiian Holdings, Inc.   5,809     83,824
Japan Airlines Company, Ltd.   17,800     349,534
JetBlue Airways Corp. (A)   77,393     779,348
Korean Air Lines Company, Ltd. (A)   9,149     153,982
Latam Airlines Group SA (A)   38,423     41,284
Mesa Air Group, Inc. (A)   3,737     12,145
Qantas Airways, Ltd.   98,076     261,806
Singapore Airlines, Ltd.   23,840     64,527
SkyWest, Inc.   6,225     199,636
Southwest Airlines Company   91,349     2,932,303
Spirit Airlines, Inc. (A)(B)   8,769     113,559
Turk Hava Yollari AO (A)   38,666     71,122
United Airlines Holdings, Inc. (A)(B)   43,222     1,211,945
          12,065,105
Building products – 0.5%      
AAON, Inc.   5,178     280,493
Advanced Drainage Systems, Inc.   5,475     242,762
AGC, Inc.   28,384     805,066
Allegion PLC   9,100     907,270
American Woodmark Corp. (A)   2,151     134,997
AO Smith Corp. (B)   13,424     637,640
Apogee Enterprises, Inc. (B)   3,376     69,714
Armstrong Flooring, Inc. (A)   3,030     10,363
 
  88  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Building products (continued)      
Assa Abloy AB, B Shares   146,297   $ 2,985,976
Builders FirstSource, Inc. (A)   14,416     299,997
Caesarstone, Ltd.   2,998     33,398
Carrier Global Corp. (A)   79,471     1,626,771
China Lesso Group Holdings, Ltd.   138,000     167,773
Cie de Saint-Gobain   27,345     894,879
Cornerstone Building Brands, Inc. (A)   6,052     32,802
CSW Industrials, Inc.   1,858     132,958
Daikin Industries, Ltd.   38,600     5,683,664
Fortune Brands Home & Security, Inc.   13,631     830,946
Geberit AG   4,582     2,241,929
Gibraltar Industries, Inc. (A)   4,082     179,649
Griffon Corp.   4,647     78,070
Insteel Industries, Inc.   2,368     41,795
JELD-WEN Holding, Inc. (A)   8,619     117,477
Johnson Controls International PLC   75,563     2,373,434
Kingspan Group PLC   21,241     1,311,471
Lennox International, Inc. (B)   9,400     2,010,096
LIXIL Group Corp.   41,100     574,173
Masco Corp.   27,826     1,298,083
Masonite International Corp. (A)   3,123     207,305
Owens Corning   29,164     1,531,110
Patrick Industries, Inc.   2,863     148,504
PGT Innovations, Inc. (A)   7,243     98,577
Quanex Building Products Corp. (B)   4,290     53,196
Resideo Technologies, Inc. (A)   32,925     232,451
Simpson Manufacturing Company, Inc.   5,633     450,978
TOTO, Ltd.   21,800     868,042
Trane Technologies PLC   23,469     2,117,138
Trex Company, Inc. (A)(B)   23,063     2,770,328
UFP Industries, Inc.   7,515     343,661
          34,824,936
Commercial services and supplies – 0.6%      
ABM Industries, Inc.   8,423     258,839
ACCO Brands Corp.   12,167     75,314
Advanced Disposal Services, Inc. (A)(B)   9,140     284,985
A-Living Services Company, Ltd., H Shares (C)   55,250     298,762
Brady Corp., Class A   6,093     311,535
Brambles, Ltd.   202,166     1,573,656
BrightView Holdings, Inc. (A)   4,009     54,883
Casella Waste Systems, Inc., Class A (A)   5,790     295,001
CECO Environmental Corp. (A)   4,137     21,967
China Everbright International, Ltd.   479,500     248,224
Cimpress PLC (A)(B)   2,375     214,059
Cintas Corp.   11,339     2,811,618
Clean Harbors, Inc. (A)   13,764     817,444
CompX International, Inc.   240     3,377
Copart, Inc. (A)   27,666     2,473,064
Country Garden Services Holdings Company, Ltd. (A)   155,400     736,286
Covanta Holding Corp.   15,059     135,531
Dai Nippon Printing Company, Ltd.   37,600     857,153
Deluxe Corp.   16,701     389,634
Ennis, Inc. (B)   3,279     58,366
G4S PLC   141,054     157,891
Greentown Service Group Company, Ltd.   137,000     184,617
Harsco Corp. (A)   9,966     111,221
Healthcare Services Group, Inc.   29,308     701,047
Heritage-Crystal Clean, Inc. (A)   1,986     33,683
Herman Miller, Inc.   23,315     536,711
HNI Corp.   16,914     430,800
Interface, Inc.   7,436     63,132
ISS A/S (A)   26,072     435,641
KAR Auction Services, Inc.   34,522     495,391
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Commercial services and supplies (continued)      
Kimball International, Inc., Class B   4,599   $ 51,463
Knoll, Inc.   6,275     66,264
Matthews International Corp., Class A   3,899     80,709
McGrath RentCorp   3,058     170,514
Mobile Mini, Inc.   5,572     178,527
MSA Safety, Inc.   14,007     1,665,993
Park24 Company, Ltd.   17,900     345,778
PICO Holdings, Inc. (A)   2,562     21,470
Pitney Bowes, Inc. (B)   21,865     51,820
Quad/Graphics, Inc.   4,598     13,104
Rentokil Initial PLC   164,472     1,017,186
Republic Services, Inc.   28,487     2,434,499
Rollins, Inc.   19,043     795,997
RR Donnelley & Sons Company   9,970     10,867
S-1 Corp.   3,264     245,456
Secom Company, Ltd.   32,494     2,820,446
Securitas AB, B Shares (A)   45,904     612,862
Sohgo Security Services Company, Ltd.   11,000     541,581
SP Plus Corp. (A)   2,932     59,725
Steelcase, Inc., Class A   11,190     129,580
Stericycle, Inc. (A)   24,430     1,339,497
Team, Inc. (A)   4,067     20,050
Tetra Tech, Inc.   21,511     1,697,218
The Brink's Company   19,741     791,614
Toppan Printing Company, Ltd.   43,800     750,592
UniFirst Corp.   1,907     342,879
US Ecology, Inc. (B)   3,094     104,175
Viad Corp.   2,613     47,922
VSE Corp.   1,156     30,056
Waste Management, Inc.   52,786     5,634,906
          37,142,582
Construction and engineering – 0.4%      
ACS Actividades de Construccion y Servicios SA   37,303     954,585
AECOM (A)   42,112     1,632,682
Aegion Corp. (A)   3,953     59,335
Ameresco, Inc., Class A (A)   2,833     60,796
Arcosa, Inc.   6,104     232,990
Argan, Inc.   1,857     68,690
Bouygues SA (A)   12,169     373,353
China Communications Construction Company, Ltd., H Shares   566,865     362,568
China Communications Services Corp., Ltd., H Shares   303,200     202,198
China Conch Venture Holdings, Ltd.   207,400     936,074
China Railway Construction Corp., Ltd., H Shares   251,600     225,908
China Railway Group, Ltd., H Shares   484,200     265,834
China State Construction International Holdings, Ltd.   259,900     160,996
CIMIC Group, Ltd.   12,103     201,805
Comfort Systems USA, Inc.   4,619     170,903
Concrete Pumping Holdings, Inc. (A)   3,873     12,897
Construction Partners, Inc., Class A (A)   2,326     41,170
Daelim Industrial Company, Ltd.   5,641     422,122
Daewoo Engineering & Construction Company, Ltd. (A)   39,456     122,545
Dycom Industries, Inc. (A)   12,310     518,251
Eiffage SA (A)   4,301     392,618
EMCOR Group, Inc.   22,102     1,404,582
Ferrovial SA   70,758     1,928,283
Fluor Corp.   37,578     436,281
Gamuda BHD   181,900     163,568
Granite Construction, Inc. (B)   6,020     105,952
Great Lakes Dredge & Dock Corp. (A)   7,766     71,991
 
  89  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Construction and engineering (continued)      
GS Engineering & Construction Corp.   12,411   $ 287,304
HDC Hyundai Development Co-Engineering & Construction, Series E   8,134     131,424
HOCHTIEF AG   3,493     309,476
Hyundai Engineering & Construction Company, Ltd.   15,691     435,119
IES Holdings, Inc. (A)   1,044     24,430
IJM Corp. BHD   287,300     127,282
Jacobs Engineering Group, Inc.   26,359     2,214,683
JGC Holdings Corp.   34,400     370,962
Kajima Corp.   70,400     799,389
MasTec, Inc. (A)   23,746     929,656
Metallurgical Corp. of China, Ltd., H Shares   364,800     56,704
MYR Group, Inc. (A)   2,060     59,349
Northwest Pipe Company (A)   1,223     30,685
NV5 Global, Inc. (A)   1,320     62,251
Obayashi Corp.   101,900     944,895
Primoris Services Corp.   5,656     94,399
Quanta Services, Inc.   27,681     1,022,259
Samsung Engineering Company, Ltd. (A)   31,453     309,005
Shimizu Corp.   92,100     779,606
Sinopec Engineering Group Company, Ltd., H Shares   189,100     79,515
Skanska AB, B Shares (A)   49,606     997,222
Sterling Construction Company, Inc. (A)   3,391     30,689
Taisei Corp.   31,400     1,090,764
Tutor Perini Corp. (A)   5,157     54,149
Valmont Industries, Inc.   5,771     657,894
Vinci SA   28,249     2,635,495
WillScot Corp. (A)(B)   6,625     88,378
WSP Global, Inc.   18,612     1,201,193
          27,353,154
Electrical equipment – 0.7%      
ABB, Ltd.   230,569     4,575,005
Acuity Brands, Inc.   10,622     915,085
Allied Motion Technologies, Inc.   929     33,621
American Superconductor Corp. (A)   2,959     21,453
AMETEK, Inc.   34,885     3,199,303
Atkore International Group, Inc. (A)   6,001     161,067
AZZ, Inc.   3,299     104,446
Bloom Energy Corp., Class A (A)   7,065     56,732
Eaton Corp. PLC   63,088     5,356,171
Emerson Electric Company   92,962     5,672,541
Encore Wire Corp.   2,597     125,409
EnerSys   16,726     1,058,756
Fuji Electric Company, Ltd.   20,000     534,297
Generac Holdings, Inc. (A)   24,480     2,723,890
Hubbell, Inc.   14,580     1,784,884
Legrand SA   14,444     989,656
Melrose Industries PLC   432,903     624,099
Mitsubishi Electric Corp.   284,318     3,753,406
Neoplux Company, Ltd. (A)   255     412
Nidec Corp.   69,500     4,278,186
nVent Electric PLC   41,718     764,691
Plug Power, Inc. (A)(B)   37,714     158,776
Powell Industries, Inc.   1,153     30,670
Preformed Line Products Company   404     20,051
Prysmian SpA   24,376     522,450
Regal Beloit Corp.   10,976     873,031
Rockwell Automation, Inc.   17,633     3,811,549
Schneider Electric SE   29,059     2,877,212
Schneider Electric SE (Euronext London Exchange)   1,474     147,268
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electrical equipment (continued)      
Shanghai Electric Group Company, Ltd., H Shares   321,436   $ 89,421
Siemens Gamesa Renewable Energy SA   34,406     584,540
Sunrun, Inc. (A)   14,311     238,994
Thermon Group Holdings, Inc. (A)   4,215     67,566
TPI Composites, Inc. (A)   3,698     76,734
Vestas Wind Systems A/S   30,960     3,162,120
Vicor Corp. (A)   2,248     137,083
Vivint Solar, Inc. (A)   5,667     42,616
WEG SA   84,798     664,712
Xinjiang Goldwind Science & Technology Company, Ltd., H Shares   95,600     86,665
Zhuzhou CRRC Times Electric Company, Ltd., H Shares   70,900     184,484
          50,509,052
Industrial conglomerates – 1.2%      
3M Company   104,196     16,300,422
Aboitiz Equity Ventures, Inc.   267,760     226,689
Alfa SAB de CV, Class A   401,900     213,143
Ayala Corp.   38,695     572,968
Carlisle Companies, Inc.   15,193     1,821,033
CITIC, Ltd.   755,333     724,662
CJ Corp.   2,966     220,815
CK Hutchison Holdings, Ltd.   329,472     2,028,518
DCC PLC   8,764     735,152
Far Eastern New Century Corp.   396,133     355,510
Fosun International, Ltd.   334,500     432,971
General Electric Company   1,582,458     10,396,749
Grupo Carso SAB de CV, Series A1   60,500     139,883
GT Capital Holdings, Inc.   13,068     100,090
HAP Seng Consolidated BHD   65,000     112,049
Honeywell International, Inc.   129,470     18,883,200
Jardine Matheson Holdings, Ltd.   26,632     1,070,958
Jardine Strategic Holdings, Ltd.   27,000     539,530
JG Summit Holdings, Inc.   393,140     378,831
Keihan Holdings Company, Ltd.   14,700     700,908
Keppel Corp., Ltd.   67,631     283,652
KOC Holding AS   48,689     115,118
LG Corp.   19,127     977,693
Lotte Corp.   5,132     142,410
NWS Holdings, Ltd.   185,230     146,101
Raven Industries, Inc.   4,590     98,456
Roper Technologies, Inc.   18,855     7,425,099
Samsung C&T Corp.   17,042     1,369,607
Sembcorp Industries, Ltd.   45,500     43,861
Shanghai Industrial Holdings, Ltd.   66,270     103,624
Siemens AG   110,815     12,217,875
Sime Darby BHD   292,800     141,113
SK Holdings Company, Ltd.   7,018     1,360,678
SM Investments Corp. (A)   32,985     597,756
Smiths Group PLC   35,197     573,875
The Bidvest Group, Ltd.   34,766     301,782
Toshiba Corp.   60,000     1,645,542
          83,498,323
Machinery – 2.0%      
AGCO Corp.   16,804     928,085
Airtac International Group   15,000     258,604
Alamo Group, Inc.   1,232     127,290
Albany International Corp., Class A   3,879     233,904
Alfa Laval AB (A)   46,004     934,896
Alstom SA   10,476     440,930
Altra Industrial Motion Corp.   8,161     252,991
Amada Company, Ltd.   52,300     467,358
ANDRITZ AG   14,901     558,278
Astec Industries, Inc. (B)   2,835     120,431
 
  90  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Atlas Copco AB, A Shares   98,339   $ 3,889,794
Atlas Copco AB, B Shares   57,005     2,026,079
Barnes Group, Inc.   5,969     225,509
Blue Bird Corp. (A)   2,010     28,844
Briggs & Stratton Corp.   6,077     9,966
Caterpillar, Inc.   73,677     8,850,818
Chart Industries, Inc. (A)(B)   4,580     179,765
CIRCOR International, Inc. (A)   2,565     41,245
CNH Industrial NV (A)   103,269     630,246
Colfax Corp. (A)(B)   22,414     628,937
Columbus McKinnon Corp.   2,973     90,409
Commercial Vehicle Group, Inc. (A)   4,313     10,912
Crane Company   13,667     761,525
CRRC Corp., Ltd., H Shares   571,700     268,659
Cummins, Inc.   20,424     3,463,910
Daewoo Shipbuilding & Marine Engineering Company, Ltd. (A)   7,416     131,257
Daifuku Company, Ltd.   15,700     1,228,248
Deere & Company   41,977     6,385,541
Donaldson Company, Inc.   33,929     1,609,931
Doosan Bobcat, Inc.   10,121     194,405
Douglas Dynamics, Inc.   2,816     102,897
Dover Corp.   19,366     1,883,344
Energy Recovery, Inc. (A)   4,799     36,880
Enerpac Tool Group Corp.   7,009     125,461
EnPro Industries, Inc.   2,621     118,155
Epiroc AB, A Shares   96,409     1,079,161
Epiroc AB, B Shares   57,243     641,852
ESCO Technologies, Inc.   3,220     266,004
Evoqua Water Technologies Corp. (A)   9,633     181,197
FANUC Corp.   30,100     5,378,825
Federal Signal Corp.   7,534     219,541
Flowserve Corp.   17,445     455,315
Fortive Corp.   39,396     2,402,368
Franklin Electric Company, Inc.   5,832     295,799
GEA Group AG   21,997     659,283
Gencor Industries, Inc. (A)   1,251     14,899
Graco, Inc.   44,711     2,155,517
Graham Corp.   1,351     15,455
Haitian International Holdings, Ltd.   82,200     174,918
Helios Technologies, Inc.   3,735     133,601
Hillenbrand, Inc.   9,259     238,327
Hino Motors, Ltd.   45,900     311,228
Hitachi Construction Machinery Company, Ltd.   16,900     445,804
Hiwin Technologies Corp.   28,169     288,947
Hoshizaki Corp.   8,400     678,166
Hurco Companies, Inc.   837     26,165
Hyster-Yale Materials Handling, Inc.   1,323     48,435
Hyundai Heavy Industries Holdings Company, Ltd.   1,960     430,035
IDEX Corp.   10,140     1,616,012
IHI Corp.   23,300     336,015
Illinois Tool Works, Inc.   38,992     6,724,560
Ingersoll Rand, Inc. (A)   46,132     1,300,922
ITT, Inc.   23,511     1,356,585
John Bean Technologies Corp. (B)   3,948     324,328
Kadant, Inc.   1,383     133,916
Kawasaki Heavy Industries, Ltd.   22,400     355,803
Kennametal, Inc.   32,617     904,796
KION Group AG   9,382     525,240
Knorr-Bremse AG   6,825     722,853
Komatsu, Ltd.   143,900     2,909,861
Kone OYJ, B Shares   44,296     2,977,457
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Korea Shipbuilding & Offshore Engineering Company, Ltd. (A)   7,726   $ 569,821
Kubota Corp.   161,200     2,170,724
Kurita Water Industries, Ltd.   15,389     426,087
LB Foster Company, Class A (A)   1,377     16,827
Lincoln Electric Holdings, Inc. (B)   16,393     1,347,013
Lindsay Corp.   1,357     127,449
Luxfer Holdings PLC   3,535     49,455
Lydall, Inc. (A)   2,290     24,778
Makita Corp.   34,800     1,182,321
Meritor, Inc. (A)(B)   8,955     182,503
Metso OYJ   13,685     446,243
Miller Industries, Inc.   1,397     41,393
MINEBEA MITSUMI, Inc.   56,700     999,531
MISUMI Group, Inc.   43,900     1,168,521
Mitsubishi Heavy Industries, Ltd.   50,240     1,304,112
Mueller Industries, Inc.   7,026     188,156
Mueller Water Products, Inc., Class A   19,819     185,109
Nabtesco Corp.   17,600     549,377
Navistar International Corp. (A)   6,294     158,231
NGK Insulators, Ltd.   41,300     606,210
NN, Inc.   5,615     25,099
Nordson Corp.   13,717     2,583,597
NSK, Ltd.   56,200     413,362
Omega Flex, Inc.   360     36,828
Oshkosh Corp.   18,245     1,310,356
Otis Worldwide Corp.   54,081     2,847,365
PACCAR, Inc.   46,111     3,405,758
Parker-Hannifin Corp.   17,126     3,082,166
Park-Ohio Holdings Corp.   1,195     17,435
Pentair PLC   22,407     877,010
Proto Labs, Inc. (A)(B)   3,408     430,601
RBC Bearings, Inc. (A)   3,066     431,233
REV Group, Inc.   3,730     22,753
Rexnord Corp.   13,433     404,333
Samsung Heavy Industries Company, Ltd. (A)   86,692     338,720
Sandvik AB (A)   165,537     2,767,376
Schindler Holding AG   2,323     542,454
Schindler Holding AG, Participation Certificates   5,176     1,209,250
Sinotruk Hong Kong, Ltd.   88,600     215,962
SKF AB, B Shares   55,940     1,034,231
SMC Corp.   8,896     4,504,028
Snap-on, Inc.   7,312     948,293
Spirax-Sarco Engineering PLC   6,531     801,559
SPX Corp. (A)   5,506     220,130
SPX FLOW, Inc. (A)   5,311     183,654
Standex International Corp. (B)   1,568     82,963
Stanley Black & Decker, Inc.   20,266     2,542,370
Sumitomo Heavy Industries, Ltd.   17,700     406,072
Techtronic Industries Company, Ltd.   166,500     1,452,527
Tennant Company   2,273     145,336
Terex Corp.   25,679     403,674
The Eastern Company   769     14,388
The Gorman-Rupp Company   2,213     67,851
The Greenbrier Companies, Inc. (B)   4,093     86,853
The Manitowoc Company, Inc. (A)   4,574     42,767
The Shyft Group, Inc.   4,230     72,248
The Timken Company   18,174     773,122
The Toro Company   28,578     2,031,038
The Weir Group PLC   23,103     278,869
THK Company, Ltd.   18,700     489,256
TriMas Corp. (A)   5,689     134,545
Trinity Industries, Inc. (B)   26,312     525,451
 
  91  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Volvo AB, B Shares (A)   218,757   $ 3,121,526
Wabash National Corp. (B)   6,714     64,119
Wabtec Corp.   24,277     1,482,596
Wartsila OYJ ABP   57,967     454,830
Watts Water Technologies, Inc., Class A   3,468     288,399
Weichai Power Company, Ltd., H Shares   241,980     419,190
Welbilt, Inc. (A)(B)   16,619     101,044
Woodward, Inc.   15,117     1,036,724
Xylem, Inc.   24,007     1,592,624
Yangzijiang Shipbuilding Holdings, Ltd.   114,400     76,348
Yaskawa Electric Corp.   37,300     1,345,494
Zoomlion Heavy Industry Science and Technology Company, Ltd., H Shares   170,600     140,376
          134,044,708
Marine – 0.1%      
A.P. Moller - Maersk A/S, Series A   698     641,078
A.P. Moller - Maersk A/S, Series B   1,005     990,853
COSCO SHIPPING Holdings Company, Ltd., H Shares (A)   306,300     77,970
Costamare, Inc.   6,561     30,181
Eagle Bulk Shipping, Inc. (A)(B)   6,416     11,356
Evergreen Marine Corp. Taiwan, Ltd. (A)   289,748     105,451
Genco Shipping & Trading, Ltd.   2,169     10,238
Kirby Corp. (A)   16,071     824,121
Kuehne + Nagel International AG (A)   6,591     953,241
Matson, Inc.   5,418     154,792
MISC BHD   137,600     263,258
Mitsui OSK Lines, Ltd.   18,500     328,743
Nippon Yusen KK   23,500     339,817
Pan Ocean Company, Ltd. (A)   55,073     159,774
Scorpio Bulkers, Inc.   774     13,475
          4,904,348
Professional services – 0.7%      
51job, Inc., ADR (A)   3,400     219,266
Acacia Research Corp. (A)   6,828     17,685
Adecco Group AG   19,225     924,414
ASGN, Inc. (A)   20,627     1,270,417
Barrett Business Services, Inc.   932     47,252
BG Staffing, Inc.   1,311     13,687
Bureau Veritas SA (A)   15,514     317,391
CBIZ, Inc. (A)   6,428     145,594
CoreLogic, Inc.   21,318     1,056,520
CRA International, Inc.   977     39,461
Equifax, Inc.   16,375     2,514,545
Experian PLC   80,544     2,824,878
Exponent, Inc.   6,523     484,268
Forrester Research, Inc. (A)   1,417     44,494
Franklin Covey Company (A)   1,287     27,413
FTI Consulting, Inc. (A)   14,779     1,780,278
GP Strategies Corp. (A)   1,827     14,342
Heidrick & Struggles International, Inc.   2,405     53,343
Huron Consulting Group, Inc. (A)   2,842     131,471
ICF International, Inc.   2,297     150,637
IHS Markit, Ltd.   54,233     3,767,024
Insperity, Inc.   14,769     765,625
Intertek Group PLC   14,339     981,328
Kelly Services, Inc., Class A   4,216     63,198
Kforce, Inc.   2,565     77,463
Korn Ferry   7,009     212,092
ManpowerGroup, Inc.   15,807     1,092,896
Mistras Group, Inc. (A)   2,663     10,759
Nielsen Holdings PLC   48,115     668,317
Persol Holdings Company, Ltd.   27,700     366,078
Randstad NV   19,454     818,490
Recruit Holdings Company, Ltd.   210,700     7,257,971
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Professional services (continued)      
RELX PLC   171,655   $ 3,995,352
Resources Connection, Inc.   3,956     43,476
Robert Half International, Inc.   15,899     806,715
SGS SA   744     1,755,307
Teleperformance   3,172     755,308
Thomson Reuters Corp.   35,016     2,345,336
TriNet Group, Inc. (A)   5,561     298,793
TrueBlue, Inc. (A)(B)   4,943     76,419
Upwork, Inc. (A)   7,383     91,845
Verisk Analytics, Inc.   22,162     3,826,934
Willdan Group, Inc. (A)   1,314     32,127
Wolters Kluwer NV   44,610     3,560,337
          45,746,546
Road and rail – 1.3%      
ArcBest Corp.   3,295     73,775
Aurizon Holdings, Ltd.   256,024     812,193
Avis Budget Group, Inc. (A)(B)   22,579     486,126
BTS Group Holdings PCL, NVDR   718,600     273,724
Canadian National Railway Company   122,326     10,536,996
Canadian Pacific Railway, Ltd.   23,518     5,894,659
Central Japan Railway Company   22,388     3,836,896
CJ Logistics Corp. (A)   1,784     232,396
ComfortDelGro Corp., Ltd.   98,400     100,532
Covenant Transportation Group, Inc., Class A (A)   1,743     21,962
CSX Corp.   134,848     9,652,420
Daseke, Inc. (A)   6,609     18,274
East Japan Railway Company   46,800     3,675,800
Hankyu Hanshin Holdings, Inc.   35,400     1,310,042
Heartland Express, Inc.   5,856     128,246
J.B. Hunt Transport Services, Inc.   14,785     1,769,321
Kansas City Southern   17,188     2,587,138
Keikyu Corp.   33,800     567,079
Keio Corp.   15,820     943,213
Keisei Electric Railway Company, Ltd.   19,835     651,712
Kintetsu Group Holdings Company, Ltd.   26,400     1,297,090
Knight-Swift Transportation Holdings, Inc. (B)   32,938     1,370,550
Kyushu Railway Company (B)   24,600     699,078
Landstar System, Inc.   10,579     1,229,915
Localiza Rent a Car SA   61,145     440,916
Marten Transport, Ltd.   4,974     127,285
MTR Corp., Ltd.   183,868     887,255
Nagoya Railroad Company, Ltd.   28,500     859,953
Nippon Express Company, Ltd.   12,080     621,417
Norfolk Southern Corp.   45,215     8,061,382
Odakyu Electric Railway Company, Ltd.   45,200     1,131,357
Old Dominion Freight Line, Inc.   16,610     2,841,805
Rumo SA (A)   109,200     461,045
Ryder System, Inc.   14,287     489,473
Saia, Inc. (A)   3,276     355,249
Seibu Holdings, Inc.   30,500     398,738
Tobu Railway Company, Ltd.   29,400     1,043,488
Tokyu Corp.   76,893     1,222,666
U.S. Xpress Enterprises, Inc., Class A (A)   3,097     15,795
Union Pacific Corp.   120,380     20,447,747
Universal Logistics Holdings, Inc.   1,104     16,405
Werner Enterprises, Inc.   17,556     811,438
West Japan Railway Company   25,200     1,631,386
          90,033,937
Trading companies and distributors – 0.5%      
AerCap Holdings NV (A)   20,500     660,920
Applied Industrial Technologies, Inc.   4,853     281,474
Ashtead Group PLC   41,059     1,226,114
 
  92  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Trading companies and distributors (continued)      
Beacon Roofing Supply, Inc. (A)   6,937   $ 170,789
BMC Stock Holdings, Inc. (A)   8,448     221,084
BOC Aviation, Ltd. (C)   27,600     152,342
Brenntag AG   22,180     1,180,051
Bunzl PLC   29,699     695,062
CAI International, Inc. (A)   2,108     39,651
DXP Enterprises, Inc. (A)   2,154     37,975
EVI Industries, Inc. (A)   634     12,464
Fastenal Company   72,984     3,011,320
Ferguson PLC   20,185     1,591,951
Foundation Building Materials, Inc. (A)   2,646     35,245
GATX Corp.   13,833     867,882
GMS, Inc. (A)   5,106     104,622
H&E Equipment Services, Inc.   4,066     69,691
Herc Holdings, Inc. (A)   3,087     87,980
ITOCHU Corp.   210,037     4,516,735
Kaman Corp.   3,519     140,760
Lawson Products, Inc. (A)   557     17,300
Marubeni Corp.   245,200     1,193,809
Mitsubishi Corp.   210,300     4,914,964
Mitsui & Company, Ltd.   257,900     3,921,910
MonotaRO Company, Ltd.   19,300     702,082
MRC Global, Inc. (A)   10,237     60,603
MSC Industrial Direct Company, Inc., Class A   12,076     837,350
NOW, Inc. (A)   43,171     321,624
Posco International Corp.   10,489     135,951
Rush Enterprises, Inc., Class A   3,361     139,885
Rush Enterprises, Inc., Class B   666     24,382
SiteOne Landscape Supply, Inc. (A)(B)   5,163     548,879
Sumitomo Corp.   185,355     2,233,359
Systemax, Inc.   1,565     32,849
Textainer Group Holdings, Ltd. (A)(B)   6,637     54,291
Titan Machinery, Inc. (A)   2,507     26,248
Toyota Tsusho Corp.   33,393     849,612
Transcat, Inc. (A)   900     22,536
Triton International, Ltd.   6,820     208,010
United Rentals, Inc. (A)   9,564     1,328,344
Veritiv Corp. (A)   1,799     22,416
W.W. Grainger, Inc.   5,552     1,719,010
Watsco, Inc.   8,752     1,557,068
          35,976,594
Transportation infrastructure – 0.2%      
Aena SME SA (A)(C)   9,744     1,390,633
Aeroports de Paris   1,554     161,990
Airports of Thailand PCL, NVDR   439,000     858,024
Atlantia SpA (A)   50,234     825,834
Auckland International Airport, Ltd.   74,688     302,560
Bangkok Expressway & Metro PCL, NVDR   785,800     244,024
Beijing Capital International Airport Company, Ltd., H Shares   216,211     135,456
CCR SA   122,015     336,117
China Merchants Port Holdings Company, Ltd.   180,031     220,777
COSCO SHIPPING Ports, Ltd.   231,108     116,033
Fraport AG Frankfurt Airport Services Worldwide (A)   5,814     290,879
Getlink SE (A)   23,800     344,176
Grupo Aeroportuario del Pacifico SAB de CV, B Shares   47,500     316,174
Grupo Aeroportuario del Sureste SAB de CV, B Shares   27,455     285,179
International Container Terminal Services, Inc.   134,150     232,441
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Transportation infrastructure (continued)      
Japan Airport Terminal Company, Ltd.   7,800   $ 343,328
Jasa Marga Persero Tbk PT (A)   208,054     50,665
Jiangsu Expressway Company, Ltd., H Shares   152,055     179,616
Kamigumi Company, Ltd.   16,800     329,255
Malaysia Airports Holdings BHD   100,122     115,395
Promotora y Operadora de Infraestructura SAB de CV (A)   30,250     228,527
SATS, Ltd.   30,900     58,341
Shenzhen Expressway Company, Ltd., H Shares   88,000     89,318
Shenzhen International Holdings, Ltd.   124,000     207,676
Sydney Airport   144,166     564,052
Taiwan High Speed Rail Corp.   231,632     291,012
TAV Havalimanlari Holding AS   12,260     36,594
Transurban Group   355,623     3,396,674
Westports Holdings BHD   81,500     74,942
Zhejiang Expressway Company, Ltd., H Shares   190,982     134,536
          12,160,228
          681,789,458
Information technology – 18.5%          
Communications equipment – 0.7%      
Acacia Communications, Inc. (A)   4,791     323,393
Accton Technology Corp.   62,000     499,756
ADTRAN, Inc.   6,160     70,224
Applied Optoelectronics, Inc. (A)(B)   2,499     22,066
Arista Networks, Inc. (A)   7,324     1,709,861
BYD Electronic International Company, Ltd.   87,300     168,919
CalAmp Corp. (A)   4,380     33,726
Calix, Inc. (A)   5,921     83,486
Casa Systems, Inc. (A)   4,261     18,535
Ciena Corp. (A)   41,471     2,291,687
Cisco Systems, Inc.   572,770     27,389,861
Clearfield, Inc. (A)   1,511     20,897
Comtech Telecommunications Corp. (B)   3,030     53,964
Digi International, Inc. (A)   3,689     41,059
Extreme Networks, Inc. (A)   15,107     49,853
F5 Networks, Inc. (A)   8,208     1,189,503
Harmonic, Inc. (A)   11,409     61,495
Infinera Corp. (A)(B)   22,758     113,335
Inseego Corp. (A)(B)   5,732     60,874
InterDigital, Inc.   12,302     676,241
Juniper Networks, Inc.   45,187     1,096,237
KMW Company, Ltd. (A)   5,130     242,644
KVH Industries, Inc. (A)   2,245     20,632
Lumentum Holdings, Inc. (A)(B)   30,151     2,210,671
Motorola Solutions, Inc.   23,132     3,130,454
NETGEAR, Inc. (A)(B)   3,785     97,388
NetScout Systems, Inc. (A)   26,640     731,801
Nokia OYJ   738,734     2,937,645
Plantronics, Inc.   4,358     56,785
Ribbon Communications, Inc. (A)   7,812     34,373
Telefonaktiebolaget LM Ericsson, B Shares   449,500     4,116,227
ViaSat, Inc. (A)   15,461     649,362
Viavi Solutions, Inc. (A)   29,094     337,199
ZTE Corp., H Shares (A)   96,915     248,453
          50,788,606
Electronic equipment, instruments and components – 1.4%      
AAC Technologies Holdings, Inc. (B)   93,600     485,252
Airgain, Inc. (A)   1,279     11,549
Akoustis Technologies, Inc. (A)(B)   3,898     28,806
 
  93  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electronic equipment, instruments and
components (continued)
     
Alps Alpine Company, Ltd.   32,900   $ 398,734
Amphenol Corp., Class A   40,031     3,865,393
Anixter International, Inc. (A)(B)   3,836     367,144
Arlo Technologies, Inc. (A)   10,316     22,798
Arrow Electronics, Inc. (A)   21,835     1,508,362
AU Optronics Corp.   1,038,851     263,549
Avnet, Inc.   27,066     737,278
Badger Meter, Inc.   3,604     220,529
Bel Fuse, Inc., Class B   1,402     13,137
Belden, Inc.   15,314     521,289
Benchmark Electronics, Inc.   4,676     99,084
CDW Corp.   19,399     2,151,543
China Railway Signal & Communication Corp., Ltd., H Shares (C)   186,500     82,705
Cognex Corp.   45,814     2,599,486
Coherent, Inc. (A)   6,475     940,235
Corning, Inc.   103,839     2,366,491
CTS Corp.   4,130     88,134
Daktronics, Inc.   4,927     20,890
Delta Electronics, Inc.   239,898     1,104,445
ePlus, Inc. (A)   1,699     125,233
Fabrinet (A)(B)   4,593     293,676
FARO Technologies, Inc. (A)   2,188     123,141
Fitbit, Inc., Class A (A)   29,311     185,832
FLIR Systems, Inc.   18,112     836,774
Foxconn Technology Company, Ltd.   114,180     205,605
Halma PLC   33,989     986,355
Hamamatsu Photonics KK   21,600     981,375
Hexagon AB, B Shares (A)   38,539     2,137,467
Hirose Electric Company, Ltd.   5,030     601,338
Hitachi, Ltd.   150,700     4,867,489
Hon Hai Precision Industry Company, Ltd.   1,542,172     3,901,529
II-VI, Inc. (A)   34,807     1,654,377
Ingenico Group SA   3,360     467,678
Innolux Corp.   1,001,300     207,967
Insight Enterprises, Inc. (A)   4,421     226,620
IPG Photonics Corp. (A)   4,801     746,075
Iteris, Inc. (A)   5,385     25,902
Itron, Inc. (A)   4,336     279,325
Jabil, Inc.   37,241     1,114,251
KEMET Corp.   7,164     193,643
Keyence Corp.   28,306     11,659,207
Keysight Technologies, Inc. (A)   25,326     2,738,500
Kimball Electronics, Inc. (A)   3,153     44,741
Kingboard Holdings, Ltd.   86,600     210,879
Kingboard Laminates Holdings, Ltd.   140,000     123,665
Knowles Corp. (A)   10,328     155,333
Kyocera Corp.   50,000     2,708,480
Largan Precision Company, Ltd.   12,590     1,612,862
LG Display Company, Ltd. (A)   45,482     377,495
LG Innotek Company, Ltd.   2,868     343,626
Littelfuse, Inc.   6,530     1,061,060
Methode Electronics, Inc.   4,603     144,304
MTS Systems Corp.   2,526     44,483
Murata Manufacturing Company, Ltd.   89,197     5,017,134
Napco Security Technologies, Inc. (A)   1,488     33,807
National Instruments Corp.   31,621     1,224,365
nLight, Inc. (A)   4,222     91,026
Novanta, Inc. (A)   4,256     437,134
Omron Corp.   28,867     1,916,875
OSI Systems, Inc. (A)   2,143     162,375
PAR Technology Corp. (A)(B)   1,483     37,090
PC Connection, Inc.   1,404     60,765
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electronic equipment, instruments and
components (continued)
     
Plexus Corp. (A)   3,649   $ 234,339
Rogers Corp. (A)   2,345     253,870
Samsung Electro-Mechanics Company, Ltd.   11,166     1,133,089
Samsung SDI Company, Ltd.   10,936     3,184,189
Sanmina Corp. (A)   8,677     230,895
ScanSource, Inc. (A)   3,262     80,408
Shimadzu Corp.   34,400     935,362
Sunny Optical Technology Group Company, Ltd.   91,350     1,227,642
SYNNEX Corp.   10,954     1,168,244
Synnex Technology International Corp.   163,544     242,143
TDK Corp.   20,200     1,895,255
TE Connectivity, Ltd.   45,159     3,669,169
Tech Data Corp. (A)(B)   13,975     1,903,954
Trimble, Inc. (A)   66,788     2,612,747
TTM Technologies, Inc. (A)(B)   12,541     145,099
Venture Corp., Ltd.   12,400     134,752
Vishay Intertechnology, Inc.   52,234     849,325
Vishay Precision Group, Inc. (A)   1,368     32,312
Walsin Technology Corp.   39,000     243,740
WPG Holdings, Ltd.   179,360     234,805
Yageo Corp.   31,726     393,715
Yokogawa Electric Corp.   35,700     516,374
Zebra Technologies Corp., Class A (A)   7,280     1,902,410
Zhen Ding Technology Holding, Ltd.   67,817     271,035
          91,758,564
IT services – 3.7%      
Accenture PLC, Class A   85,908     17,320,771
Adyen NV (A)(C)   1,720     2,255,404
Akamai Technologies, Inc. (A)   21,860     2,312,788
Alliance Data Systems Corp.   5,544     256,854
Amadeus IT Group SA   62,453     3,265,756
Atos SE (A)   5,398     410,836
Automatic Data Processing, Inc.   58,533     8,574,499
Brightcove, Inc. (A)   5,080     40,792
Broadridge Financial Solutions, Inc.   15,508     1,878,019
CACI International, Inc., Class A (A)   6,713     1,683,486
Capgemini SE   8,777     906,617
Cardtronics PLC, Class A (A)(B)   4,688     113,403
Cass Information Systems, Inc.   1,807     72,894
CGI, Inc. (A)   41,295     2,638,729
Cielo SA   121,224     92,912
Cognizant Technology Solutions Corp., Class A   74,072     3,925,816
Computershare, Ltd.   63,241     553,827
Conduent, Inc. (A)   22,573     53,949
CSG Systems International, Inc. (B)   4,153     196,645
DXC Technology Company   34,630     492,092
Edenred   12,921     540,671
Endurance International Group Holdings, Inc. (A)   9,727     34,823
EVERTEC, Inc.   7,688     223,875
Evo Payments, Inc., Class A (A)(B)   5,114     113,224
ExlService Holdings, Inc. (A)   4,247     259,789
Fidelity National Information Services, Inc.   83,332     11,568,982
Fiserv, Inc. (A)   77,258     8,248,837
FleetCor Technologies, Inc. (A)   11,739     2,861,851
Fujitsu, Ltd.   30,500     3,142,963
Gartner, Inc. (A)   12,101     1,472,692
GDS Holdings, Ltd., ADR (A)(B)   7,900     450,300
Global Payments, Inc.   40,657     7,297,525
GMO Payment Gateway, Inc.   6,300     710,619
 
  94  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
IT services (continued)      
GTT Communications, Inc. (A)(B)   4,442   $ 35,492
I3 Verticals, Inc., Class A (A)(B)   1,884     54,372
IBM Corp.   119,804     14,963,520
International Money Express, Inc. (A)   2,416     26,648
Itochu Techno-Solutions Corp.   14,600     494,144
Jack Henry & Associates, Inc.   10,407     1,882,210
KBR, Inc. (B)   55,892     1,310,667
Leidos Holdings, Inc.   18,001     1,895,325
Limelight Networks, Inc. (A)   14,610     72,173
LiveRamp Holdings, Inc. (A)   26,643     1,343,606
ManTech International Corp., Class A   3,364     261,517
Mastercard, Inc., Class A   120,087     36,132,977
MAXIMUS, Inc.   25,187     1,813,968
NEC Corp.   38,500     1,731,047
NIC, Inc.   8,289     199,433
Nomura Research Institute, Ltd.   52,600     1,394,936
NTT Data Corp.   98,100     1,137,155
Obic Company, Ltd.   10,000     1,737,404
Otsuka Corp.   16,100     779,665
Paychex, Inc.   43,095     3,114,907
PayPal Holdings, Inc. (A)   158,838     24,621,478
Paysign, Inc. (A)(B)   3,837     27,703
Perficient, Inc. (A)   4,040     137,522
Perspecta, Inc.   54,557     1,209,529
PRGX Global, Inc. (A)   3,127     12,320
Sabre Corp.   73,424     511,765
Samsung SDS Company, Ltd.   6,903     1,066,095
Science Applications International Corp.   20,462     1,801,474
Shopify, Inc., Class A (A)   17,605     13,361,439
Sykes Enterprises, Inc. (A)   4,834     131,775
The Hackett Group, Inc.   3,109     42,873
The Western Union Company (B)   56,708     1,135,294
TravelSky Technology, Ltd., H Shares   118,900     240,846
TTEC Holdings, Inc.   2,195     92,980
Tucows, Inc., Class A (A)(B)   1,209     72,625
Unisys Corp. (A)(B)   6,422     72,954
VeriSign, Inc. (A)   13,976     3,060,884
Verra Mobility Corp. (A)   16,261     177,408
Virtusa Corp. (A)   3,665     110,207
Visa, Inc., Class A   231,567     45,211,141
WEX, Inc. (A)   11,605     1,718,468
Wirecard AG (B)   16,997     1,802,868
Wix.com, Ltd. (A)   5,600     1,245,048
Worldline SA (A)(C)   7,011     526,430
          252,744,532
Semiconductors and semiconductor equipment – 4.1%      
Adesto Technologies Corp. (A)   3,416     41,231
Advanced Energy Industries, Inc. (A)   4,816     321,853
Advanced Micro Devices, Inc. (A)   163,973     8,821,747
Advantest Corp. (B)   31,000     1,538,514
Alpha & Omega Semiconductor, Ltd. (A)   2,626     27,626
Ambarella, Inc. (A)   4,099     232,577
Amkor Technology, Inc. (A)   12,427     131,478
Analog Devices, Inc.   51,632     5,831,834
Applied Materials, Inc.   129,500     7,275,310
ASE Technology Holding Company, Ltd.   428,422     881,650
ASM Pacific Technology, Ltd.   36,600     335,803
ASML Holding NV   70,040     22,943,684
Axcelis Technologies, Inc. (A)   4,084     109,655
AXT, Inc. (A)   5,011     26,508
Broadcom, Inc.   55,609     16,197,233
Brooks Automation, Inc.   9,165     366,325
Cabot Microelectronics Corp.   11,467     1,661,110
CEVA, Inc. (A)   2,759     95,103
Cirrus Logic, Inc. (A)   22,847     1,655,951
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
Cohu, Inc. (B)   5,122   $ 77,137
Cree, Inc. (A)(B)   28,875     1,521,424
Diodes, Inc. (A)(B)   5,242     254,971
Disco Corp.   4,200     940,939
DSP Group, Inc. (A)   2,828     50,961
Enphase Energy, Inc. (A)   32,931     1,916,255
First Solar, Inc. (A)(B)   20,346     948,531
FormFactor, Inc. (A)   9,544     240,222
Globalwafers Company, Ltd.   27,000     327,330
GSI Technology, Inc. (A)   2,209     16,634
Hua Hong Semiconductor, Ltd. (A)(B)(C)   57,100     107,297
Ichor Holdings, Ltd. (A)   2,817     64,087
Impinj, Inc. (A)(B)   2,145     55,448
Infineon Technologies AG   181,445     3,824,449
Inphi Corp. (A)   5,676     713,303
Intel Corp.   609,823     38,376,161
KLA Corp.   22,121     3,892,411
Lam Research Corp.   20,338     5,565,900
Lattice Semiconductor Corp. (A)   15,934     396,279
MACOM Technology Solutions Holdings, Inc. (A)(B)   5,821     184,817
Maxim Integrated Products, Inc.   37,935     2,188,091
MaxLinear, Inc. (A)   8,423     145,886
MediaTek, Inc.   186,752     2,883,365
Microchip Technology, Inc. (B)   33,502     3,216,862
Micron Technology, Inc. (A)   155,196     7,435,440
MKS Instruments, Inc.   14,613     1,543,571
Monolithic Power Systems, Inc.   10,830     2,271,593
Nanya Technology Corp.   152,196     304,585
NeoPhotonics Corp. (A)   4,984     43,211
Novatek Microelectronics Corp.   70,900     485,457
NVE Corp.   621     37,589
NVIDIA Corp.   85,796     30,459,296
NXP Semiconductors NV   46,100     4,430,210
Onto Innovation, Inc. (A)   6,089     189,246
PDF Solutions, Inc. (A)   3,605     61,501
Phison Electronics Corp.   18,884     174,052
Photronics, Inc. (A)   8,022     96,184
Power Integrations, Inc.   3,573     387,135
Powertech Technology, Inc.   93,199     301,839
Qorvo, Inc. (A)   16,286     1,705,796
QUALCOMM, Inc.   160,074     12,946,785
Rambus, Inc. (A)   14,019     217,855
Realtek Semiconductor Corp.   59,584     514,665
Renesas Electronics Corp. (A)   120,200     625,203
Rohm Company, Ltd.   14,500     982,225
Semiconductor Manufacturing International Corp. (A)   388,899     852,618
Semtech Corp. (A)   26,103     1,388,158
Silicon Laboratories, Inc. (A)   17,065     1,598,308
SiTime Corp. (A)   641     19,108
SK Hynix, Inc.   108,397     7,188,082
Skyworks Solutions, Inc.   23,885     2,831,328
SMART Global Holdings, Inc. (A)   1,693     45,339
SolarEdge Technologies, Inc. (A)(B)   13,032     1,849,241
STMicroelectronics NV   37,875     940,623
SUMCO Corp.   39,000     602,210
SunPower Corp. (A)(B)   9,480     68,446
Synaptics, Inc. (A)   13,292     846,966
Taiwan Semiconductor Manufacturing Company, Ltd.   3,039,915     29,551,837
Teradyne, Inc.   44,925     3,010,874
Texas Instruments, Inc.   131,045     15,560,283
Tokyo Electron, Ltd.   24,415     4,913,108
 
  95  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
Ultra Clean Holdings, Inc. (A)   4,975   $ 103,132
United Microelectronics Corp.   1,382,774     713,736
Universal Display Corp.   11,367     1,666,402
Vanguard International Semiconductor Corp.   110,302     271,436
Veeco Instruments, Inc. (A)(B)   6,225     73,082
Win Semiconductors Corp.   42,000     362,502
Winbond Electronics Corp.   370,000     170,353
Xilinx, Inc.   35,252     3,241,421
Xinyi Solar Holdings, Ltd.   519,000     378,211
Xperi Corp. (B)   6,253     85,979
          279,950,173
Software – 5.0%      
8x8, Inc. (A)   12,278     178,522
A10 Networks, Inc. (A)   6,395     43,486
ACI Worldwide, Inc. (A)   45,573     1,256,903
Adobe, Inc. (A)   59,770     23,107,082
Agilysys, Inc. (A)(B)   2,644     50,844
Alarm.com Holdings, Inc. (A)   4,660     220,371
Altair Engineering, Inc., Class A (A)(B)   5,074     198,343
American Software, Inc., Class A   3,718     72,315
ANSYS, Inc. (A)   10,567     2,990,461
Appfolio, Inc., Class A (A)   1,985     314,642
Appian Corp. (A)(B)   4,303     245,099
Autodesk, Inc. (A)   27,168     5,715,604
Avaya Holdings Corp. (A)(B)   12,167     177,638
AVEVA Group PLC   5,746     291,942
Benefitfocus, Inc. (A)   3,896     49,596
Blackbaud, Inc.   19,374     1,135,510
BlackBerry, Ltd. (A)   91,061     423,278
Blackline, Inc. (A)   5,461     405,752
Bottomline Technologies DE, Inc. (A)   5,489     277,743
Box, Inc., Class A (A)   18,535     370,329
Cadence Design Systems, Inc. (A)   34,645     3,162,742
CDK Global, Inc.   32,544     1,279,305
Ceridian HCM Holding, Inc. (A)   27,019     1,860,799
ChannelAdvisor Corp. (A)   3,426     47,793
Check Point Software Technologies, Ltd. (A)(B)   14,000     1,535,380
Citrix Systems, Inc.   14,201     2,103,452
Cloudera, Inc. (A)(B)   31,330     321,133
CommVault Systems, Inc. (A)   16,563     670,139
Constellation Software, Inc.   3,442     3,912,683
Cornerstone OnDemand, Inc. (A)   7,230     279,440
CyberArk Software, Ltd. (A)   4,400     456,632
Dassault Systemes SE   7,136     1,218,343
Digimarc Corp. (A)   1,547     26,593
Digital Turbine, Inc. (A)   9,948     63,866
Domo, Inc., Class B (A)(B)   2,291     58,008
Ebix, Inc. (B)   2,975     66,670
eGain Corp. (A)   2,670     27,795
Envestnet, Inc. (A)   6,113     443,865
Everbridge, Inc. (A)   4,199     614,146
Fair Isaac Corp. (A)   7,764     3,126,175
Five9, Inc. (A)   7,556     787,335
ForeScout Technologies, Inc. (A)(B)   5,481     129,297
Fortinet, Inc. (A)   17,528     2,439,898
GTY Technology Holdings, Inc. (A)   5,516     20,685
Intelligent Systems Corp. (A)   852     27,290
Intuit, Inc.   32,140     9,330,885
j2 Global, Inc. (A)(B)   18,303     1,433,125
Kingdee International Software Group Company, Ltd. (A)(B)   294,800     524,550
Kingsoft Corp., Ltd.   105,000     342,686
LivePerson, Inc. (A)   7,872     294,806
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
LogMeIn, Inc.   13,086   $ 1,111,001
Manhattan Associates, Inc. (A)   17,131     1,514,380
Micro Focus International PLC   30,341     149,465
Microsoft Corp.   941,941     172,610,688
MicroStrategy, Inc., Class A (A)   1,031     128,339
Mitek Systems, Inc. (A)   5,063     47,238
MobileIron, Inc. (A)   12,704     57,422
Model N, Inc. (A)   4,200     134,904
Nice, Ltd. (A)   7,198     1,335,661
NortonLifeLock, Inc.   70,793     1,612,665
OneSpan, Inc. (A)   4,160     84,531
Open Text Corp. (B)   47,315     1,965,659
Oracle Corp.   267,496     14,383,260
Oracle Corp. Japan   5,800     678,586
Paycom Software, Inc. (A)   6,057     1,800,322
Paylocity Holding Corp. (A)   9,612     1,249,608
Ping Identity Holding Corp. (A)   1,742     49,316
Progress Software Corp.   5,698     230,199
PROS Holdings, Inc. (A)   4,238     165,070
PTC, Inc. (A)   27,865     2,128,329
Q2 Holdings, Inc. (A)   5,992     495,059
QAD, Inc., Class A   1,461     66,724
Qualys, Inc. (A)(B)   4,249     489,995
Rapid7, Inc. (A)   6,243     305,220
Rimini Street, Inc. (A)   2,862     13,194
Rosetta Stone, Inc. (A)   2,673     49,664
SailPoint Technologies Holdings, Inc. (A)   10,864     248,025
salesforce.com, Inc. (A)   109,519     19,142,826
SAP SE   142,341     18,165,886
SecureWorks Corp., Class A (A)   1,099     14,793
ServiceNow, Inc. (A)   23,287     9,033,726
SharpSpring, Inc. (A)   1,535     15,197
ShotSpotter, Inc. (A)   1,054     24,506
Sprout Social, Inc., Class A (A)   1,236     34,052
SPS Commerce, Inc. (A)(B)   4,426     301,676
SVMK, Inc. (A)   11,008     221,811
Synchronoss Technologies, Inc. (A)   5,538     15,091
Synopsys, Inc. (A)   18,561     3,357,871
Telenav, Inc. (A)   4,459     22,072
Temenos AG (B)   8,137     1,250,690
Tenable Holdings, Inc. (A)   4,800     150,096
Teradata Corp. (A)   30,159     645,704
The Sage Group PLC   96,350     826,216
TiVo Corp.   15,874     96,673
Trend Micro, Inc.   19,600     1,078,828
Tyler Technologies, Inc. (A)   10,451     3,922,365
Upland Software, Inc. (A)(B)   2,913     100,644
Varonis Systems, Inc. (A)(B)   3,798     320,513
Verint Systems, Inc. (A)   8,411     390,018
VirnetX Holding Corp. (B)   7,804     51,897
WiseTech Global, Ltd.   18,532     252,668
Workiva, Inc. (A)   4,667     207,868
Yext, Inc. (A)(B)   12,259     193,570
Zix Corp. (A)   6,910     46,435
Zuora, Inc., Class A (A)   11,310     135,833
          337,255,025
Technology hardware, storage and peripherals – 3.6%      
3D Systems Corp. (A)(B)   14,617     107,727
Acer, Inc.   358,008     195,275
Advantech Company, Ltd.   42,764     424,312
Apple, Inc.   563,911     179,289,863
Asustek Computer, Inc.   88,354     620,330
Avid Technology, Inc. (A)   3,724     26,291
Brother Industries, Ltd.   35,000     662,336
Canon, Inc.   155,296     3,188,937
 
  96  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Technology hardware, storage and peripherals (continued)      
Catcher Technology Company, Ltd.   81,475   $ 593,783
Chicony Electronics Company, Ltd.   72,224     207,220
Compal Electronics, Inc.   510,148     324,894
Diebold Nixdorf, Inc. (A)(B)   9,892     47,383
FUJIFILM Holdings Corp.   56,015     2,569,214
Hewlett Packard Enterprise Company   174,707     1,696,405
HP, Inc.   200,079     3,029,196
Immersion Corp. (A)   4,103     27,716
Inventec Corp.   306,495     249,248
Konica Minolta, Inc.   70,900     263,411
Legend Holdings Corp., H Shares (B)(C)   53,100     64,582
Lenovo Group, Ltd.   925,764     506,255
Lite-On Technology Corp.   260,018     417,281
Micro-Star International Company, Ltd.   83,300     281,054
NCR Corp. (A)   34,207     617,436
NetApp, Inc.   30,814     1,372,456
Pegatron Corp.   243,500     524,101
Quanta Computer, Inc.   333,000     777,892
Ricoh Company, Ltd.   104,400     773,829
Samsung Electronics Company, Ltd.   947,442     39,021,412
Seagate Technology PLC   31,213     1,655,538
Seiko Epson Corp.   43,769     495,958
Stratasys, Ltd. (A)(B)   6,582     117,555
Western Digital Corp.   40,154     1,781,633
Wistron Corp.   356,580     339,958
Wiwynn Corp.   10,000     267,965
Xerox Holdings Corp.   25,100     398,588
Xiaomi Corp., Class B (A)(C)   1,339,900     2,097,468
          245,034,502
          1,257,531,402
Materials – 4.7%          
Chemicals – 2.5%      
Advanced Emissions Solutions, Inc.   2,038     10,272
AdvanSix, Inc. (A)   3,625     42,920
Air Liquide SA   25,996     3,534,935
Air Products & Chemicals, Inc.   40,210     9,716,747
Air Water, Inc.   28,100     409,060
Akzo Nobel NV   33,384     2,741,420
Albemarle Corp. (B)   19,341     1,479,973
American Vanguard Corp.   3,688     49,050
Amyris, Inc. (A)(B)   7,830     29,206
Arkema SA   3,808     333,925
Asahi Kasei Corp.   196,000     1,557,763
Ashland Global Holdings, Inc.   16,146     1,084,365
Balchem Corp.   4,070     409,646
Barito Pacific Tbk PT (A)   2,638,300     244,364
BASF SE   133,145     7,246,789
Cabot Corp.   15,275     545,623
Celanese Corp.   22,048     1,982,336
CF Industries Holdings, Inc.   39,659     1,164,785
Chase Corp.   920     91,678
Chr. Hansen Holding A/S   17,184     1,668,825
Clariant AG (A)   24,895     459,726
Corteva, Inc.   136,518     3,728,307
Covestro AG (C)   25,149     934,964
Croda International PLC   11,474     738,199
Daicel Corp.   38,800     329,298
Dow, Inc.   135,256     5,220,882
DuPont de Nemours, Inc.   135,132     6,855,246
Eastman Chemical Company   24,803     1,688,588
Ecolab, Inc.   45,744     9,724,260
EMS-Chemie Holding AG   995     739,308
Evonik Industries AG   30,402     751,238
Ferro Corp. (A)   10,400     125,008
FMC Corp.   23,643     2,326,708
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Chemicals (continued)      
Formosa Chemicals & Fibre Corp.   434,471   $ 1,043,866
Formosa Plastics Corp.   553,040     1,531,470
FutureFuel Corp.   3,249     42,497
GCP Applied Technologies, Inc. (A)   6,904     139,047
Givaudan SA   1,149     4,137,636
Hawkins, Inc.   1,240     53,196
HB Fuller Company   6,452     242,724
Hitachi Chemical Company, Ltd.   16,100     690,401
ICL Group, Ltd.   84,565     294,860
Incitec Pivot, Ltd.   214,927     288,183
Indorama Ventures PCL, NVDR   175,100     157,452
Ingevity Corp. (A)   16,543     871,320
Innospec, Inc.   3,070     236,666
International Flavors & Fragrances, Inc. (B)   19,477     2,594,142
Intrepid Potash, Inc. (A)   13,340     16,408
Johnson Matthey PLC   17,491     461,173
JSR Corp.   30,000     591,002
Kaneka Corp.   500     13,410
Kansai Paint Company, Ltd.   27,300     565,892
KCC Corp.   962     112,004
Koninklijke DSM NV   29,806     3,812,627
Koppers Holdings, Inc. (A)   2,433     40,315
Kraton Corp. (A)   3,998     60,970
Kronos Worldwide, Inc.   2,890     28,206
Kumho Petrochemical Company, Ltd.   3,735     214,905
Kuraray Company, Ltd.   49,600     522,194
LANXESS AG   12,174     631,877
LG Chem, Ltd.   9,113     2,888,443
Linde PLC   97,988     19,826,892
Livent Corp. (A)(B)   18,715     126,139
Lotte Chemical Corp.   3,432     523,363
LyondellBasell Industries NV, Class A   46,830     2,985,881
Methanex Corp.   12,836     207,990
Minerals Technologies, Inc.   13,721     676,583
Mitsubishi Chemical Holdings Corp.   199,250     1,173,656
Mitsubishi Gas Chemical Company, Inc.   25,400     379,631
Mitsui Chemicals, Inc.   28,700     598,489
Nan Ya Plastics Corp.   637,610     1,338,772
NewMarket Corp.   1,980     863,537
Nippon Paint Holdings Company, Ltd.   22,700     1,588,500
Nissan Chemical Corp.   19,400     860,753
Nitto Denko Corp.   24,744     1,343,613
Novozymes A/S, B Shares   34,812     1,901,422
Nutrien, Ltd.   98,573     3,364,877
OCI Company, Ltd. (A)   3,773     120,662
Olin Corp.   42,805     514,944
Orbia Advance Corp. SAB de CV   141,080     205,056
Orica, Ltd.   53,040     609,134
Orion Engineered Carbons SA   7,686     85,007
Petronas Chemicals Group BHD   250,645     364,206
PolyOne Corp.   35,844     888,214
PPG Industries, Inc.   43,133     4,385,332
PQ Group Holdings, Inc. (A)   4,907     61,583
PTT Global Chemical PCL, NVDR   233,900     317,092
Quaker Chemical Corp. (B)   1,662     283,953
Rayonier Advanced Materials, Inc.   7,135     15,483
RPM International, Inc.   34,765     2,599,727
Sasol, Ltd. (A)   70,617     369,738
Sensient Technologies Corp.   16,708     837,405
Shin-Etsu Chemical Company, Ltd.   55,137     6,457,256
Showa Denko KK (B)   21,100     506,606
Sika AG   15,956     2,741,081
Sinopec Shanghai Petrochemical Company, Ltd., H Shares   416,199     103,609
 
  97  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Chemicals (continued)      
Solvay SA   4,140   $ 316,131
Stepan Company   2,573     249,993
Sumitomo Chemical Company, Ltd.   234,900     729,972
Symrise AG   18,438     2,029,979
Taiyo Nippon Sanso Corp.   20,200     339,582
Teijin, Ltd.   28,000     458,902
The Chemours Company (B)   43,832     574,638
The Mosaic Company   63,775     771,040
The Scotts Miracle-Gro Company   10,622     1,514,379
The Sherwin-Williams Company   14,986     8,899,436
Toray Industries, Inc.   216,200     1,052,516
Tosoh Corp.   41,500     578,712
Trecora Resources (A)   2,915     18,627
Tredegar Corp.   3,316     50,768
Trinseo SA (B)   4,986     102,612
Tronox Holdings PLC, Class A   11,663     77,442
Umicore SA   10,969     487,408
Valvoline, Inc.   50,505     926,767
Yara International ASA   11,087     381,392
          169,034,782
Construction materials – 0.3%      
Anhui Conch Cement Company, Ltd., H Shares   157,610     1,188,457
Asia Cement Corp.   272,687     396,212
BBMG Corp., H Shares   282,000     59,066
Boral, Ltd.   151,280     314,864
Cemex SAB de CV   2,000,688     473,680
China National Building Material Company, Ltd., H Shares   498,900     565,997
China Resources Cement Holdings, Ltd.   311,900     394,060
CRH PLC   110,772     3,567,047
Eagle Materials, Inc.   11,160     745,042
Fletcher Building, Ltd.   50,827     111,091
Forterra, Inc. (A)   2,398     21,150
Grupo Argos SA   43,111     100,554
HeidelbergCement AG   21,690     1,084,960
Indocement Tunggal Prakarsa Tbk PT (A)   184,520     153,163
James Hardie Industries PLC, CHESS Depositary Interest   57,236     988,751
LafargeHolcim, Ltd. (A)   62,037     2,586,665
Martin Marietta Materials, Inc.   11,401     2,190,018
POSCO Chemical Company, Ltd.   4,831     217,665
Semen Indonesia Persero Tbk PT   298,092     200,371
Summit Materials, Inc., Class A (A)(B)   14,438     219,313
Taiheiyo Cement Corp.   19,100     452,708
Taiwan Cement Corp.   608,367     863,699
The Siam Cement PCL, NVDR   80,500     869,731
U.S. Concrete, Inc. (A)   2,083     43,451
United States Lime & Minerals, Inc.   262     19,430
Vulcan Materials Company   24,143     2,615,170
          20,442,315
Containers and packaging – 0.3%      
Amcor PLC   295,541     3,017,474
AptarGroup, Inc.   17,138     1,909,002
Avery Dennison Corp.   15,231     1,685,615
Ball Corp.   59,672     4,252,227
CCL Industries, Inc., Class B   26,254     884,572
Greif, Inc., Class A   10,236     347,819
Greif, Inc., Class B   795     30,480
International Paper Company   71,526     2,435,460
Klabin SA   69,642     257,228
Myers Industries, Inc.   4,559     62,048
O-I Glass, Inc.   41,721     319,583
Packaging Corp. of America   17,266     1,750,945
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Containers and packaging (continued)      
Sealed Air Corp.   28,182   $ 904,642
Silgan Holdings, Inc.   20,786     695,084
Smurfit Kappa Group PLC   31,601     1,031,952
Sonoco Products Company   26,834     1,390,270
Toyo Seikan Group Holdings, Ltd.   22,500     239,598
UFP Technologies, Inc. (A)   854     38,609
Westrock Company   47,044     1,320,055
          22,572,663
Metals and mining – 1.5%      
1911 Gold Corp. (A)   2,060     731
Agnico Eagle Mines, Ltd.   40,699     2,603,897
Allegheny Technologies, Inc. (A)   49,817     432,412
Alumina, Ltd.   314,770     311,622
Aluminum Corp. of China, Ltd., H Shares (A)   496,880     92,123
Anglo American Platinum, Ltd.   6,561     416,017
Anglo American PLC   91,753     1,942,322
AngloGold Ashanti, Ltd.   51,065     1,244,342
Antofagasta PLC   35,316     385,611
ArcelorMittal SA (A)   36,427     348,879
Barrick Gold Corp.   302,401     7,272,032
BHP Group PLC   187,399     3,685,357
BHP Group, Ltd.   383,121     9,017,071
BlueScope Steel, Ltd.   65,858     485,215
Boliden AB   39,740     868,374
Carpenter Technology Corp.   18,792     439,169
Century Aluminum Company (A)   6,602     39,348
China Hongqiao Group, Ltd.   223,300     99,074
China Molybdenum Company, Ltd., H Shares   463,500     143,723
China Steel Corp.   1,442,958     952,059
China Zhongwang Holdings, Ltd.   198,600     37,642
Cia de Minas Buenaventura SAA, ADR (B)   33,200     260,620
Cia Siderurgica Nacional SA   60,866     117,710
Cleveland-Cliffs, Inc. (B)   50,044     261,230
Coeur Mining, Inc. (A)   30,309     174,277
Commercial Metals Company   46,667     800,806
Compass Minerals International, Inc.   13,394     645,323
Eregli Demir ve Celik Fabrikalari TAS   89,447     105,471
Evraz PLC   45,043     157,826
First Quantum Minerals, Ltd.   118,431     694,148
Fortescue Metals Group, Ltd.   180,832     1,674,036
Franco-Nevada Corp.   32,104     4,506,242
Freeport-McMoRan, Inc.   264,660     2,400,466
Glencore PLC (A)   945,441     1,785,515
Gold Fields, Ltd.   101,600     784,164
Gold Resource Corp.   7,849     30,611
Grupo Mexico SAB de CV, Series B   464,300     1,000,230
Haynes International, Inc.   1,627     37,144
Hecla Mining Company   65,879     218,718
Hitachi Metals, Ltd.   33,200     382,510
Hyundai Steel Company   16,338     290,117
Impala Platinum Holdings, Ltd.   99,567     664,445
Industrias Penoles SAB de CV   17,360     164,170
JFE Holdings, Inc.   75,300     554,478
Jiangxi Copper Company, Ltd., H Shares   152,825     140,537
Kaiser Aluminum Corp.   2,008     144,074
KGHM Polska Miedz SA (A)   10,222     219,142
Kinross Gold Corp. (A)   213,819     1,389,897
Kirkland Lake Gold, Ltd.   46,275     1,782,975
Korea Zinc Company, Ltd.   1,688     516,982
Kumba Iron Ore, Ltd.   8,006     216,218
Lundin Mining Corp. (B)   117,791     542,394
 
  98  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Metals and mining (continued)      
Maanshan Iron & Steel Company, Ltd., H Shares   90,500   $ 26,048
Maruichi Steel Tube, Ltd.   8,400     215,497
Materion Corp.   2,578     135,345
Mitsubishi Materials Corp.   17,000     387,819
Newcrest Mining, Ltd.   99,691     2,020,030
Newmont Corp.   149,548     8,744,072
Nippon Steel Corp.   123,778     1,142,902
Norsk Hydro ASA (A)   82,402     209,474
Northam Platinum, Ltd. (A)   43,687     274,105
Novagold Resources, Inc. (A)   29,145     278,626
Nucor Corp.   55,309     2,337,358
Olympic Steel, Inc.   1,274     14,052
POSCO   15,651     2,302,602
Press Metal Aluminium Holdings BHD   145,300     126,087
Reliance Steel & Aluminum Company   17,870     1,733,390
Rio Tinto PLC   99,744     5,409,553
Rio Tinto, Ltd.   48,354     3,020,149
Royal Gold, Inc.   17,584     2,342,189
Ryerson Holding Corp. (A)   2,118     10,569
Schnitzer Steel Industries, Inc., Class A   3,344     52,501
Sibanye Stillwater, Ltd. (A)   282,262     518,343
South32, Ltd.   638,490     807,284
Southern Copper Corp. (B)   13,200     479,160
Steel Dynamics, Inc.   57,759     1,534,079
Sumitomo Metal Mining Company, Ltd.   36,100     1,006,341
SunCoke Energy, Inc.   9,312     31,754
Synalloy Corp. (A)   1,246     11,638
Teck Resources, Ltd., Class B   84,456     802,327
thyssenkrupp AG (A)(B)   58,138     395,129
TimkenSteel Corp. (A)   5,590     19,565
United States Steel Corp. (B)   45,584     366,495
Vale SA   319,871     3,176,951
voestalpine AG   23,859     465,956
Warrior Met Coal, Inc.   6,489     91,365
Wheaton Precious Metals Corp.   76,160     3,281,266
Worthington Industries, Inc.   14,802     442,876
Zhaojin Mining Industry Company, Ltd., H Shares   126,600     153,350
Zijin Mining Group Company, Ltd., H Shares   710,329     283,677
          98,129,420
Paper and forest products – 0.1%      
Boise Cascade Company (B)   4,908     167,019
Clearwater Paper Corp. (A)   2,049     59,360
Domtar Corp.   15,354     313,222
Empresas CMPC SA   169,907     346,013
Indah Kiat Pulp & Paper Corp. Tbk PT   274,900     99,156
Lee & Man Paper Manufacturing, Ltd.   172,500     93,357
Louisiana-Pacific Corp.   45,735     1,079,803
Mondi PLC   43,885     825,711
Neenah, Inc.   2,130     107,693
Nine Dragons Paper Holdings, Ltd.   212,200     186,587
Oji Holdings Corp.   133,900     673,529
Pabrik Kertas Tjiwi Kimia Tbk PT   139,500     38,018
PH Glatfelter Company   5,563     85,726
Schweitzer-Mauduit International, Inc.   3,888     118,156
Stora Enso OYJ, R Shares   76,027     933,097
Suzano SA (A)   54,567     387,142
UPM-Kymmene OYJ   69,679     2,010,503
Verso Corp., Class A (A)(B)   4,426     63,646
West Fraser Timber Company, Ltd.   9,521     257,655
          7,845,393
          318,024,573
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Real estate – 3.2%          
Equity real estate investment trusts – 2.5%      
Acadia Realty Trust   10,947   $ 128,408
Agree Realty Corp.   5,187     325,588
Alexander & Baldwin, Inc.   8,827     100,716
Alexander's, Inc.   268     69,637
Alexandria Real Estate Equities, Inc.   16,665     2,561,744
American Assets Trust, Inc.   6,163     161,286
American Campus Communities, Inc.   36,836     1,189,803
American Finance Trust, Inc.   13,563     99,281
American Tower Corp.   60,209     15,544,158
Apartment Investment & Management Company, A Shares   20,235     746,064
Armada Hoffler Properties, Inc.   7,156     61,685
Ascendas Real Estate Investment Trust   128,500     285,980
Ashford Hospitality Trust, Inc.   15,477     10,679
AvalonBay Communities, Inc.   18,984     2,961,694
Bluerock Residential Growth REIT, Inc.   3,263     20,981
Boston Properties, Inc.   19,547     1,680,651
Braemar Hotels & Resorts, Inc.   4,401     14,963
Brixmor Property Group, Inc.   79,847     891,093
BRT Apartments Corp.   1,391     15,690
Camden Property Trust   25,959     2,377,066
Canadian Apartment Properties REIT (B)   14,850     506,271
CapitaLand Commercial Trust   116,000     144,114
CapitaLand Mall Trust   114,400     165,063
CareTrust REIT, Inc.   12,115     225,702
CatchMark Timber Trust, Inc., Class A   6,459     50,703
Chatham Lodging Trust   6,139     41,438
CIM Commercial Trust Corp.   1,676     16,592
City Office REIT, Inc.   6,792     63,030
Clipper Realty, Inc.   2,080     15,350
Community Healthcare Trust, Inc.   2,413     87,881
CoreCivic, Inc.   46,951     564,821
CorEnergy Infrastructure Trust, Inc.   1,733     17,330
CorePoint Lodging, Inc.   5,774     22,865
CoreSite Realty Corp.   10,805     1,348,680
Corporate Office Properties Trust   30,041     750,124
Cousins Properties, Inc.   39,344     1,224,385
Covivio   2,494     145,717
Crown Castle International Corp.   56,515     9,729,622
CyrusOne, Inc.   30,347     2,255,996
Daiwa House REIT Investment Corp.   300     739,825
Dexus   141,956     853,952
DiamondRock Hospitality Company   25,691     153,889
Digital Realty Trust, Inc.   35,730     5,129,399
Diversified Healthcare Trust   30,344     108,632
Douglas Emmett, Inc.   44,187     1,297,330
Duke Realty Corp.   49,962     1,722,690
Easterly Government Properties, Inc.   9,300     233,151
EastGroup Properties, Inc.   15,133     1,759,211
EPR Properties   21,033     664,012
Equinix, Inc.   11,986     8,361,793
Equity Residential   47,449     2,873,511
Essential Properties Realty Trust, Inc.   11,594     158,142
Essex Property Trust, Inc.   8,982     2,180,560
Extra Space Storage, Inc.   17,604     1,703,187
Farmland Partners, Inc.   3,699     25,523
Federal Realty Investment Trust   9,548     762,981
Fibra Uno Administracion SA de CV   419,700     321,951
First Capital Real Estate Investment Trust   20,660     196,419
First Industrial Realty Trust, Inc.   49,883     1,889,568
Fortress REIT, Ltd., Class A   133,482     84,370
Four Corners Property Trust, Inc.   8,857     191,488
Franklin Street Properties Corp.   13,333     71,198
 
  99  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
Front Yard Residential Corp.   6,309   $ 47,318
Gecina SA   2,456     315,560
Getty Realty Corp.   4,185     111,405
Gladstone Commercial Corp.   4,169     74,708
Gladstone Land Corp.   2,394     34,713
Global Medical REIT, Inc.   4,879     52,303
Global Net Lease, Inc.   11,407     160,040
Goodman Group   214,161     2,200,138
Growthpoint Properties, Ltd.   371,463     264,773
H&R Real Estate Investment Trust   26,273     185,095
Hannon Armstrong Sustainable Infrastructure Capital, Inc.   7,986     231,674
Healthcare Realty Trust, Inc.   52,510     1,612,057
Healthpeak Properties, Inc.   67,274     1,657,631
Hersha Hospitality Trust   4,775     24,066
Highwoods Properties, Inc.   27,812     1,064,365
Host Hotels & Resorts, Inc.   97,480     1,163,911
Hudson Pacific Properties, Inc.   44,667     1,079,601
ICADE   1,434     102,803
Independence Realty Trust, Inc.   11,436     113,102
Industrial Logistics Properties Trust   8,100     151,875
Innovative Industrial Properties, Inc.   2,053     167,771
Investors Real Estate Trust   1,464     103,798
Iron Mountain, Inc.   39,029     1,005,387
iStar, Inc.   7,507     82,052
Japan Prime Realty Investment Corp.   119     362,586
Japan Real Estate Investment Corp.   202     1,099,473
Japan Retail Fund Investment Corp.   403     531,504
JBG SMITH Properties   31,642     940,717
Jernigan Capital, Inc.   2,930     35,365
Kilroy Realty Corp.   26,146     1,493,460
Kimco Realty Corp.   57,392     637,625
Kite Realty Group Trust   10,515     101,996
Klepierre SA   10,495     199,603
Lamar Advertising Company, Class A   23,058     1,528,745
Land Securities Group PLC   62,058     466,683
Lexington Realty Trust   30,263     294,156
Life Storage, Inc.   12,506     1,219,085
Link REIT   252,825     1,909,254
LTC Properties, Inc.   4,963     182,688
Mack-Cali Realty Corp.   35,300     536,913
Mapletree Commercial Trust   93,700     133,309
Medical Properties Trust, Inc.   138,716     2,507,985
Mid-America Apartment Communities, Inc.   15,505     1,804,162
Mirvac Group   509,557     799,434
Monmouth Real Estate Investment Corp.   11,916     154,670
National Health Investors, Inc.   5,368     297,870
National Retail Properties, Inc.   46,013     1,444,348
National Storage Affiliates Trust   7,462     223,935
New Senior Investment Group, Inc.   11,027     31,978
NexPoint Residential Trust, Inc.   2,514     80,398
Nippon Building Fund, Inc.   206     1,288,354
Nippon Prologis REIT, Inc.   303     853,944
Nomura Real Estate Master Fund, Inc.   632     775,871
Office Properties Income Trust   6,048     152,954
Omega Healthcare Investors, Inc.   58,576     1,824,057
One Liberty Properties, Inc.   2,068     32,778
Orix JREIT, Inc.   401     579,589
Park Hotels & Resorts, Inc.   64,175     630,840
Pebblebrook Hotel Trust   51,635     705,334
Pennsylvania Real Estate Investment Trust   10,793     12,196
Physicians Realty Trust   76,628     1,323,366
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
Piedmont Office Realty Trust, Inc., Class A   15,751   $ 262,727
PotlatchDeltic Corp.   26,385     896,826
Preferred Apartment Communities, Inc., Class A   6,079     42,492
Prologis, Inc.   100,350     9,182,025
PS Business Parks, Inc.   7,877     1,052,682
Public Storage   20,420     4,139,951
QTS Realty Trust, Inc., Class A   7,249     497,281
Rayonier, Inc.   37,120     881,600
Realty Income Corp.   46,584     2,576,561
Redefine Properties, Ltd.   682,260     75,177
Regency Centers Corp.   22,779     974,713
Retail Opportunity Investments Corp.   14,617     137,254
Retail Value, Inc.   2,047     23,725
Rexford Industrial Realty, Inc.   14,312     569,618
RioCan Real Estate Investment Trust   31,548     333,616
RLJ Lodging Trust   21,539     222,067
RPT Realty   9,995     57,671
Ryman Hospitality Properties, Inc.   6,220     212,600
Sabra Health Care REIT, Inc.   80,625     1,085,213
Safehold, Inc.   1,574     86,239
Saul Centers, Inc.   1,569     47,666
SBA Communications Corp.   15,306     4,808,074
Scentre Group   680,815     1,014,863
Segro PLC   96,970     1,007,667
Seritage Growth Properties, Class A (A)   4,512     35,509
Service Properties Trust   44,116     297,783
Simon Property Group, Inc.   41,712     2,406,782
SL Green Realty Corp.   11,079     466,647
SmartCentres Real Estate Investment Trust   14,967     218,496
Spirit Realty Capital, Inc.   26,736     760,104
STAG Industrial, Inc.   18,875     507,738
Stockland   307,415     733,968
STORE Capital Corp.   57,281     1,107,815
Summit Hotel Properties, Inc.   13,305     83,156
Sunstone Hotel Investors, Inc.   28,361     250,995
Suntec Real Estate Investment Trust   78,100     81,600
Tanger Factory Outlet Centers, Inc.   11,487     70,645
Taubman Centers, Inc.   16,412     678,472
Terreno Realty Corp.   8,265     423,085
The British Land Company PLC   77,839     394,525
The GEO Group, Inc.   47,506     569,122
The GPT Group   251,238     669,101
The Macerich Company   29,539     201,161
UDR, Inc.   39,833     1,473,024
UMH Properties, Inc.   4,650     58,032
Unibail-Rodamco-Westfield   7,490     397,253
United Urban Investment Corp.   456     482,787
Uniti Group, Inc.   23,482     193,727
Universal Health Realty Income Trust   1,607     150,078
Urban Edge Properties   45,519     443,810
Urstadt Biddle Properties, Inc., Class A   3,813     48,654
Ventas, Inc.   50,667     1,770,812
Vicinity Centres   413,038     444,323
Vornado Realty Trust   21,534     779,746
Washington Prime Group, Inc.   26,712     17,112
Washington Real Estate Investment Trust   10,406     228,204
Weingarten Realty Investors   32,425     579,759
Welltower, Inc.   55,155     2,794,704
Weyerhaeuser Company   101,287     2,044,985
Whitestone REIT   5,109     31,420
Xenia Hotels & Resorts, Inc.   14,524     130,716
          169,523,162
 
  100  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Real estate management and development – 0.7%      
Aeon Mall Company, Ltd.   15,900   $ 223,408
Agile Group Holdings, Ltd.   174,600     181,210
Altisource Portfolio Solutions SA (A)   835     11,882
Aroundtown SA   176,361     969,997
Ayala Land, Inc.   1,008,070     638,369
Azrieli Group, Ltd.   5,196     273,981
BR Malls Participacoes SA   80,419     147,838
Bumi Serpong Damai Tbk PT (A)   830,200     36,200
CapitaLand, Ltd. (A)   117,800     241,886
CBRE Group, Inc., Class A (A)   45,505     2,001,310
Central Pattana PCL, NVDR   237,100     369,057
China Aoyuan Group, Ltd.   156,000     167,274
China Evergrande Group (B)   239,035     503,822
China Jinmao Holdings Group, Ltd.   670,400     468,040
China Overseas Land & Investment, Ltd.   494,297     1,515,900
China Resources Land, Ltd.   410,705     1,637,813
China Vanke Company, Ltd., H Shares   189,500     618,621
CIFI Holdings Group Company, Ltd.   350,700     254,769
City Developments, Ltd.   20,800     113,786
CK Asset Holdings, Ltd.   314,698     1,728,495
Country Garden Holdings Company, Ltd.   986,167     1,234,427
CTO Realty Growth, Inc.   670     27,993
Cushman & Wakefield PLC (A)(B)   14,357     147,159
Daito Trust Construction Company, Ltd.   11,100     1,174,505
Daiwa House Industry Company, Ltd.   88,100     2,185,990
Dalian Wanda Commercial Properties Company, Ltd., H Shares (A)(C)   37,400     254,753
Deutsche Wohnen SE   51,794     2,319,247
eXp World Holdings, Inc. (A)   2,653     28,361
Forestar Group, Inc. (A)   2,212     33,556
FRP Holdings, Inc. (A)   924     36,544
Guangzhou R&F Properties Company, Ltd., H Shares   167,800     208,509
Hang Lung Properties, Ltd.   242,000     512,182
Henderson Land Development Company, Ltd.   173,376     623,776
Highwealth Construction Corp.   88,687     131,235
Hongkong Land Holdings, Ltd.   141,800     535,036
Hulic Company, Ltd.   46,600     471,864
Jones Lang LaSalle, Inc.   13,816     1,414,758
Kaisa Group Holdings, Ltd.   320,800     118,305
Kennedy-Wilson Holdings, Inc.   15,616     218,936
Kerry Properties, Ltd.   79,768     189,713
KWG Group Holdings, Ltd. (A)   163,000     228,874
Land & Houses PCL, NVDR   870,500     200,375
Lendlease Group   73,369     634,252
Logan Property Holdings Company, Ltd.   176,500     265,268
Longfor Group Holdings, Ltd. (C)   228,800     1,046,333
Marcus & Millichap, Inc. (A)   2,940     81,056
Maui Land & Pineapple Company, Inc. (A)   994     10,447
Megaworld Corp.   1,603,700     90,481
Mitsubishi Estate Company, Ltd.   183,800     2,921,386
Mitsui Fudosan Company, Ltd.   137,004     2,635,600
Multiplan Empreendimentos Imobiliarios SA   27,901     108,178
NEPI Rockcastle PLC   48,617     248,599
New World Development Company, Ltd.   736,257     748,310
Newmark Group, Inc., Class A   18,322     77,869
Nomura Real Estate Holdings, Inc.   19,700     363,623
Pakuwon Jati Tbk PT   1,752,700     43,588
Rafael Holdings, Inc., Class B (A)   1,392     24,068
RE/MAX Holdings, Inc., Class A (B)   2,289     64,069
Realogy Holdings Corp. (B)   14,598     88,464
Redfin Corp. (A)(B)   11,349     340,357
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Real estate management and development (continued)      
Robinsons Land Corp.   288,700   $ 84,471
Ruentex Development Company, Ltd.   70,080     106,964
Seazen Group, Ltd. (A)   278,800     260,427
Shanghai Lujiazui Finance & Trade Zone Development Company, Ltd., B Shares   133,451     94,504
Shenzhen Investment, Ltd.   372,900     115,582
Shimao Property Holdings, Ltd.   148,200     621,527
Shui On Land, Ltd.   480,400     79,695
Sino Land Company, Ltd.   374,075     439,075
Sino-Ocean Group Holding, Ltd.   383,358     89,306
SM Prime Holdings, Inc. (A)   1,378,100     822,598
SOHO China, Ltd. (A)   261,500     88,699
Sumitomo Realty & Development Company, Ltd.   51,783     1,433,919
Sun Hung Kai Properties, Ltd.   193,500     2,266,400
Sunac China Holdings, Ltd.   313,700     1,326,012
Swire Pacific, Ltd., Class A   61,000     320,938
Swire Properties, Ltd.   141,400     317,267
Swiss Prime Site AG   9,362     874,964
Tejon Ranch Company (A)   2,772     39,750
The RMR Group, Inc., Class A   1,949     52,545
The St. Joe Company (A)(B)   4,247     81,755
The Wharf Holdings, Ltd. (B)   139,125     250,002
Tokyu Fudosan Holdings Corp.   96,200     486,428
UOL Group, Ltd.   21,700     105,465
Vonovia SE   74,161     4,265,593
Wharf Real Estate Investment Company, Ltd. (B)   146,125     566,655
Wheelock & Company, Ltd.   100,000     678,830
Yuexiu Property Company, Ltd.   871,500     157,358
Yuzhou Properties Company, Ltd.   238,600     98,386
Zhenro Properties Group, Ltd.   189,000     120,475
          50,437,294
          219,960,456
Utilities – 2.8%          
Electric utilities – 1.6%      
ALLETE, Inc.   20,406     1,198,444
Alliant Energy Corp.   24,537     1,211,146
American Electric Power Company, Inc.   50,427     4,298,902
AusNet Services   234,562     275,031
Centrais Eletricas Brasileiras SA   26,200     140,567
CEZ AS   22,122     435,294
Chubu Electric Power Company, Inc.   99,400     1,339,888
CK Infrastructure Holdings, Ltd.   80,000     401,994
CLP Holdings, Ltd.   198,000     1,943,517
Duke Energy Corp.   74,427     6,373,184
Edison International   36,610     2,127,407
EDP - Energias de Portugal SA   330,758     1,545,164
El Paso Electric Company   5,086     345,695
Electricite de France SA   33,899     302,478
Emera, Inc. (B)   41,836     1,663,291
Endesa SA   45,804     1,094,089
Enel Americas SA   5,756,609     837,887
Enel Chile SA   4,154,047     311,346
Enel SpA   825,422     6,381,934
Energisa SA   16,200     144,201
Entergy Corp.   20,325     2,069,492
Equatorial Energia SA (A)   85,290     320,459
Evergy, Inc.   23,267     1,435,341
Eversource Energy   33,052     2,766,452
Exelon Corp.   99,244     3,802,038
FirstEnergy Corp.   55,152     2,330,724
Fortis, Inc.   76,417     2,942,125
Fortum OYJ   58,154     1,119,959
 
  101  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electric utilities (continued)      
Genie Energy, Ltd., B Shares   1,943   $ 16,729
Hawaiian Electric Industries, Inc.   29,214     1,152,784
HK Electric Investments & HK Electric Investments, Ltd.   293,500     291,127
Hydro One, Ltd. (C)   58,324     1,130,177
Iberdrola SA   890,796     9,645,075
IDACORP, Inc.   13,511     1,259,631
Interconexion Electrica SA ESP   65,453     343,935
Korea Electric Power Corp. (A)   50,812     890,990
Kyushu Electric Power Company, Inc. (B)   57,600     480,082
Manila Electric Company   30,130     168,759
Mercury NZ, Ltd.   42,462     122,990
MGE Energy, Inc.   4,424     300,345
NextEra Energy, Inc.   49,898     12,751,933
NRG Energy, Inc.   25,682     925,836
OGE Energy Corp.   53,664     1,680,756
Orsted A/S (C)   30,906     3,634,691
Otter Tail Corp.   4,992     214,207
PGE Polska Grupa Energetyczna SA (A)   59,267     71,480
Pinnacle West Capital Corp.   11,475     893,903
PNM Resources, Inc.   31,410     1,282,156
Portland General Electric Company   11,306     532,626
Power Assets Holdings, Ltd.   167,500     937,934
PPL Corp.   78,385     2,190,077
Red Electrica Corp. SA   61,764     1,087,550
Spark Energy, Inc., Class A   1,613     13,259
SSE PLC   91,763     1,410,408
Tenaga Nasional BHD   323,136     838,440
Terna Rete Elettrica Nazionale SpA   138,300     939,571
The Chugoku Electric Power Company, Inc.   41,900     576,273
The Kansai Electric Power Company, Inc.   109,200     1,089,703
The Southern Company   107,065     6,110,200
Tohoku Electric Power Company, Inc.   64,900     673,680
Tokyo Electric Power Company Holdings, Inc. (A)   238,700     806,957
Verbund AG   13,968     622,766
Xcel Energy, Inc.   53,534     3,481,316
          107,726,395
Gas utilities – 0.3%      
AltaGas, Ltd. (B)   49,190     528,037
APA Group   153,161     1,186,963
Atmos Energy Corp.   12,183     1,252,169
Beijing Enterprises Holdings, Ltd.   68,214     227,730
Chesapeake Utilities Corp. (B)   2,020     182,487
China Gas Holdings, Ltd.   234,000     827,271
China Resources Gas Group, Ltd.   114,100     625,067
Enagas SA   35,447     798,965
ENN Energy Holdings, Ltd.   101,100     1,186,915
Hong Kong & China Gas Company, Ltd.   1,219,989     2,058,268
Infraestructura Energetica Nova SAB de CV   69,135     197,043
Korea Gas Corp.   5,651     136,849
Kunlun Energy Company, Ltd.   456,490     281,543
National Fuel Gas Company   23,142     971,270
Naturgy Energy Group SA   42,197     786,917
New Jersey Resources Corp.   37,638     1,321,847
Northwest Natural Holding Company (B)   3,810     244,259
ONE Gas, Inc.   20,715     1,739,439
Osaka Gas Company, Ltd.   57,300     1,150,144
Perusahaan Gas Negara Tbk PT   1,068,369     63,137
Petronas Gas BHD   80,499     352,336
RGC Resources, Inc.   994     26,242
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Gas utilities (continued)      
Snam SpA   200,648   $ 939,908
South Jersey Industries, Inc.   11,715     332,237
Southwest Gas Holdings, Inc.   21,497     1,632,697
Spire, Inc.   19,917     1,452,348
Toho Gas Company, Ltd.   11,245     558,090
Tokyo Gas Company, Ltd.   58,000     1,388,634
Towngas China Company, Ltd. (A)   134,900     62,304
UGI Corp.   56,032     1,784,059
          24,295,175
Independent power and renewable electricity producers –
0.1%
     
Aboitiz Power Corp.   198,800     109,707
AES Corp.   67,766     846,397
Atlantic Power Corp. (A)   15,005     31,511
B. Grimm Power PCL, NVDR   78,000     129,531
CGN Power Company, Ltd., H Shares (C)   1,341,700     309,087
China Common Rich Renewable Energy Investments, Ltd. (A)(D)   1,136,000     31,509
China Longyuan Power Group Corp., Ltd., H Shares   404,300     197,450
China Power International Development, Ltd.   522,900     114,848
China Resources Power Holdings Company, Ltd.   250,332     291,616
Clearway Energy, Inc., Class A   4,482     90,940
Clearway Energy, Inc., Class C   9,936     217,698
Colbun SA   1,188,587     194,415
Datang International Power Generation Company, Ltd., H Shares   361,200     48,704
Electric Power Development Company, Ltd.   22,400     424,093
Electricity Generating PCL, NVDR   30,300     263,443
Energy Absolute PCL, NVDR   169,100     207,712
Engie Brasil Energia SA   19,383     154,046
Global Power Synergy PCL, NVDR   71,700     170,338
Gulf Energy Development PCL, NVDR (B)   272,600     323,737
Huadian Power International Corp., Ltd., H Shares   199,100     61,315
Huaneng Power International, Inc., H Shares   491,864     183,599
Meridian Energy, Ltd.   76,989     228,019
Ormat Technologies, Inc.   5,000     364,050
Ratch Group PCL, NVDR   74,700     164,524
Sunnova Energy International, Inc. (A)   4,087     61,305
TerraForm Power, Inc., Class A   10,026     184,278
Uniper SE   28,898     903,826
          6,307,698
Multi-utilities – 0.7%      
AGL Energy, Ltd.   83,719     937,950
Algonquin Power & Utilities Corp.   91,722     1,284,381
Ameren Corp.   25,115     1,876,844
Atco, Ltd., Class I   14,446     407,197
Avista Corp.   8,383     328,362
Black Hills Corp.   24,182     1,492,271
Canadian Utilities, Ltd., Class A   23,814     571,460
CenterPoint Energy, Inc.   51,272     911,616
Centrica PLC   506,935     229,984
CMS Energy Corp.   28,974     1,697,297
Consolidated Edison, Inc.   33,937     2,547,311
Dominion Energy, Inc.   84,029     7,143,305
DTE Energy Company   19,612     2,109,663
E.ON SE   323,825     3,435,027
Engie SA   100,071     1,189,273
 
  102  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Multi-utilities (continued)      
MDU Resources Group, Inc.   53,719   $ 1,168,925
National Grid PLC   308,301     3,547,175
NiSource, Inc.   38,131     908,662
NorthWestern Corp.   19,914     1,197,230
Public Service Enterprise Group, Inc.   51,630     2,635,195
RWE AG   84,540     2,817,310
Sempra Energy   28,779     3,635,075
Suez SA   17,339     197,700
Unitil Corp.   1,851     89,163
Veolia Environnement SA   29,206     643,115
WEC Energy Group, Inc.   32,203     2,953,981
YTL Corp. BHD   265,897     63,717
          46,019,189
Water utilities – 0.1%      
Aguas Andinas SA, Class A   382,915     112,473
American States Water Company   4,599     377,164
American Water Works Company, Inc.   18,454     2,343,658
Artesian Resources Corp., Class A   1,037     36,409
Beijing Enterprises Water Group, Ltd. (A)   629,700     239,373
Cadiz, Inc. (A)(B)   1,817     20,114
California Water Service Group   6,076     285,572
Cia de Saneamento Basico do Estado de Sao Paulo   34,298     349,131
Consolidated Water Company, Ltd.   1,864     27,643
Essential Utilities, Inc.   57,863     2,532,085
Global Water Resources, Inc.   1,685     18,114
Guangdong Investment, Ltd.   375,980     743,472
Middlesex Water Company   2,129     144,474
Pure Cycle Corp. (A)   2,640     26,822
Severn Trent PLC   20,981     635,315
SJW Group   3,330     209,257
The York Water Company   1,639     72,772
United Utilities Group PLC   60,257     685,981
          8,859,829
          193,208,286
TOTAL COMMON STOCKS (Cost $6,175,978,732)   $ 6,452,572,842
PREFERRED SECURITIES – 0.4%          
Communication services – 0.0%          
Diversified telecommunication services – 0.0%      
Telefonica Brasil SA   44,954     397,116
Media – 0.0%      
GCI Liberty, Inc., 7.000%   974     25,012
          422,128
Consumer discretionary – 0.1%          
Automobiles – 0.1%      
Bayerische Motoren Werke AG   8,037     371,113
Hyundai Motor Company   4,704     214,733
Hyundai Motor Company, 2nd Preferred   7,278     355,212
Porsche Automobil Holding SE   22,605     1,242,732
Volkswagen AG   27,052     4,005,595
          6,189,385
Internet and direct marketing retail – 0.0%      
Overstock.com, Inc., 1.020%   522     6,264
Multiline retail – 0.0%      
Lojas Americanas SA   75,526     399,829
          6,595,478
Consumer staples – 0.1%          
Beverages – 0.0%      
Embotelladora Andina SA, B Shares   54,148     129,958
Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
PREFERRED
SECURITIES (continued)
         
Household products – 0.1%      
Henkel AG & Company KGaA   25,747   $ 2,302,665
Personal products – 0.0%      
Amorepacific Corp.   1,787     83,577
LG Household & Health Care, Ltd.   408     236,354
          319,931
          2,752,554
Energy – 0.0%          
Oil, gas and consumable fuels – 0.0%      
Petroleo Brasileiro SA   425,333     1,621,212
Financials – 0.1%          
Banks – 0.1%      
Banco Bradesco SA   448,044     1,591,071
Bancolombia SA   66,739     440,155
Grupo Aval Acciones y Valores SA   587,215     132,399
Itau Unibanco Holding SA   486,867     2,102,096
Itausa - Investimentos Itau SA   441,559     733,132
          4,998,853
Health care – 0.0%          
Health care equipment and supplies – 0.0%      
Sartorius AG   5,134     1,913,905
Information technology – 0.1%          
Technology hardware, storage and peripherals – 0.1%      
Samsung Electronics Company, Ltd.   163,584     5,695,383
Materials – 0.0%          
Chemicals – 0.0%      
Braskem SA, A Shares   18,983     98,680
FUCHS PETROLUB SE   9,811     392,762
LG Chem, Ltd.   1,560     223,938
Sociedad Quimica y Minera de Chile SA, B Shares   17,315     425,066
          1,140,446
Metals and mining – 0.0%      
Gerdau SA   110,383     277,804
          1,418,250
Utilities – 0.0%          
Electric utilities – 0.0%      
Centrais Eletricas Brasileiras SA, B Shares   25,879     148,883
Cia Energetica de Minas Gerais   92,548     187,306
          336,189
TOTAL PREFERRED SECURITIES (Cost $29,031,745)   $ 25,753,952
EXCHANGE-TRADED FUNDS – 1.4%      
iShares MSCI India ETF (B)   2,024,027     55,640,502
iShares MSCI Russia ETF (B)   23,491     807,386
KraneShares Bosera MSCI China A ETF (B)   339,628     10,497,901
VanEck Vectors Russia ETF (B)   377,748     7,789,164
Xtrackers Harvest CSI 300 China A-Shares ETF (B)   780,668     21,257,590
TOTAL EXCHANGE-TRADED FUNDS (Cost $96,520,122)   $ 95,992,543
RIGHTS – 0.0%          
Ferrovial SA (Expiration Date: 6-3-20) (A)(D)(E)   70,758     26,171
Pan American Silver Corp. (Expiration Date: 2-22-29) (A)(E)   37,553     24,406
 
  103  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Fund (continued)
    Shares or
Principal
Amount
  Value
RIGHTS (continued)          
Pulse Biosciences, Inc. (Expiration Date: 6-8-20; Strike Price: $7.01) (A)   1,643   $ 3,417
Whitbread PLC (Expiration Date: 6-10-20; Strike Price: GBP 15.00) (A)   5,958     73,728
TOTAL RIGHTS (Cost $144,269)   $ 127,722
WARRANTS – 0.0%          
BTS Group Holdings PCL (Expiration Date: 2-16-21; Strike Price: THB 14.00) (A)   2,410     102
BTS Group Holdings PCL (Expiration Date: 2-16-21; Strike Price: THB 14.00) (A)   63,720     2,684
Minor International PCL (Expiration Date: 10-1-21; Strike Price: THB 48.00) (A)   1,847     99
TOTAL WARRANTS (Cost $0)   $ 2,885
SHORT-TERM INVESTMENTS – 4.9%      
U.S. Government Agency – 1.8%          
Federal Home Loan Bank Discount Note          
0.030%, 09/01/2020 * $ 20,000,000     19,991,822
0.040%, 07/27/2020 *   4,700,000     4,699,050
0.060%, 10/01/2020 *   40,000,000     39,976,956
0.100%, 07/23/2020 *   20,000,000     19,996,244
0.110%, 09/14/2020 *   20,000,000     19,990,667
0.110%, 07/21/2020 *   1,200,000     1,199,783
0.120%, 06/24/2020 *   9,620,000     9,619,324
0.950%, 08/03/2020 *   5,000,000     4,998,688
          120,472,534
Short-term funds – 2.5%          
John Hancock Collateral Trust, 0.3653% (F)(G)   17,307,324     173,275,738
Repurchase agreement – 0.6%          
Repurchase Agreement with State Street Corp. dated 5-29-20 at 0.000% to be repurchased at $38,895,000 on 6-1-20, collateralized by $37,625,000 U.S. Treasury Notes, 2.000% due 11-30-22 (valued at $39,678,874) $ 38,895,000     38,895,000
TOTAL SHORT-TERM INVESTMENTS (Cost $332,464,546)   $ 332,643,272
Total Investments (Strategic Equity Allocation Fund)
(Cost $6,634,139,414) – 101.5%
  $ 6,907,093,216
Other assets and liabilities, net – (1.5%)     (104,570,312)
TOTAL NET ASSETS – 100.0%   $ 6,802,522,904
Strategic Equity Allocation Fund (continued)
Currency Abbreviations
GBP Pound Sterling
THB Thai Bhat
Security Abbreviations and Legend
ADR American Depositary Receipt
NVDR Non-Voting Depositary Receipt
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $168,369,028.
(C) 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.
(D) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(E) Strike price and/or expiration date not available.
(F) The rate shown is the annualized seven-day yield as of 5-31-20.
(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.
* 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.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Canadian Dollar Currency Futures 92 Long Jun 2020 $6,572,748 $6,675,520 $102,772
MSCI EAFE Index Futures 668 Long Jun 2020 53,344,832 57,635,041 4,290,209
MSCI Emerging Markets Index Futures 425 Long Jun 2020 18,818,626 19,824,125 1,005,499
Russell 2000 E-Mini Index Futures 189 Long Jun 2020 13,213,156 13,161,960 (51,196)
S&P 500 Index E-Mini Futures 714 Long Jun 2020 105,030,276 108,465,525 3,435,249
S&P Mid 400 Index E-Mini Futures 113 Long Jun 2020 19,806,255 19,913,990 107,735
S&P/TSX 60 Index Futures 48 Long Jun 2020 5,982,483 6,384,661 402,178
            $9,292,446
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
  104  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

U.S. High Yield Bond Fund
    Shares or
Principal
Amount
  Value
CORPORATE BONDS – 92.2%      
Communication services – 16.3%          
Block Communications, Inc.
4.875%, 03/01/2028 (A)
$ 125,000   $ 124,375
CCO Holdings LLC          
4.000%, 03/01/2023 (A)   50,000     50,376
4.500%, 08/15/2030 to 05/01/2032 (A)   800,000     828,711
5.000%, 02/01/2028 (A)   125,000     130,921
5.125%, 05/01/2027 (A)   250,000     262,505
5.375%, 05/01/2025 (A)   2,150,000     2,209,125
5.750%, 02/15/2026 (A)   2,700,000     2,815,236
5.875%, 04/01/2024 (A)   175,000     179,776
Cinemark USA, Inc.
8.750%, 05/01/2025 (A)
  75,000     78,188
CSC Holdings LLC          
5.375%, 07/15/2023 to 02/01/2028 (A)   1,105,000     1,139,622
5.500%, 05/15/2026 (A)   1,125,000     1,175,288
6.500%, 02/01/2029 (A)   350,000     386,386
7.500%, 04/01/2028 (A)   550,000     609,125
7.750%, 07/15/2025 (A)   1,125,000     1,172,813
Diamond Sports Group LLC          
5.375%, 08/15/2026 (A)   125,000     99,375
6.625%, 08/15/2027 (A)   1,475,000     887,508
Gray Television, Inc.          
5.125%, 10/15/2024 (A)   975,000     987,188
5.875%, 07/15/2026 (A)   2,000,000     2,065,000
7.000%, 05/15/2027 (A)   200,000     211,250
Intelsat Connect Finance SA
9.500%, 02/15/2023 (A)(B)
  275,000     68,750
Intelsat Jackson Holdings SA          
5.500%, 08/01/2023 (B)   3,375,000     1,780,313
8.500%, 10/15/2024 (A)(B)   1,100,000     627,000
Intelsat Luxembourg SA
8.125%, 06/01/2023 (B)
  650,000     34,125
Lamar Media Corp.          
3.750%, 02/15/2028 (A)   700,000     679,000
4.000%, 02/15/2030 (A)   700,000     673,750
5.750%, 02/01/2026   50,000     52,063
Level 3 Financing, Inc.          
5.125%, 05/01/2023   665,000     664,169
5.375%, 08/15/2022 to 01/15/2024   845,000     851,313
5.625%, 02/01/2023   310,000     310,580
Live Nation Entertainment, Inc.
6.500%, 05/15/2027 (A)
  150,000     159,281
Match Group, Inc.
4.125%, 08/01/2030 (A)
  125,000     122,500
Nexstar Broadcasting, Inc.
5.625%, 07/15/2027 (A)
  2,095,000     2,147,375
Nielsen Finance LLC
5.000%, 04/15/2022 (A)
  2,825,000     2,820,621
Outfront Media Capital LLC          
4.625%, 03/15/2030 (A)   1,225,000     1,127,000
5.000%, 08/15/2027 (A)   25,000     24,337
5.625%, 02/15/2024   375,000     376,875
Salem Media Group, Inc.
6.750%, 06/01/2024 (A)(C)
  2,100,000     1,743,000
Scripps Escrow, Inc.
5.875%, 07/15/2027 (A)
  125,000     118,750
Sprint Capital Corp.          
6.875%, 11/15/2028   140,000     172,900
8.750%, 03/15/2032   820,000     1,178,750
The EW Scripps Company
5.125%, 05/15/2025 (A)
  2,050,000     1,906,500
The Nielsen Company Luxembourg SARL
5.000%, 02/01/2025 (A)(C)
  400,000     402,120
U.S. High Yield Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
T-Mobile USA, Inc.          
4.500%, 02/01/2026 $ 75,000   $ 77,090
4.750%, 02/01/2028   325,000     345,316
5.125%, 04/15/2025   250,000     255,000
5.375%, 04/15/2027   875,000     929,688
6.375%, 03/01/2025   1,550,000     1,598,531
Zayo Group Holdings, Inc.
4.000%, 03/01/2027 (A)
  200,000     197,000
          36,856,465
Consumer discretionary – 12.4%          
Asbury Automotive Group, Inc.          
4.500%, 03/01/2028 (A)   360,000     341,100
4.750%, 03/01/2030 (A)   347,000     333,120
Carriage Services, Inc.
6.625%, 06/01/2026 (A)
  1,750,000     1,828,750
CCM Merger, Inc.
6.000%, 03/15/2022 (A)
  3,050,000     2,851,750
Clarios Global LP
6.750%, 05/15/2025 (A)
  75,000     77,828
Connect Finco SARL
6.750%, 10/01/2026 (A)
  450,000     436,500
Cooper Tire & Rubber Company
7.625%, 03/15/2027
  2,410,000     2,506,400
Ford Motor Company          
4.750%, 01/15/2043   1,375,000     1,051,875
9.000%, 04/22/2025   150,000     157,688
9.625%, 04/22/2030 (C)   150,000     166,500
Ford Motor Credit Company LLC          
4.389%, 01/08/2026   1,450,000     1,363,000
5.113%, 05/03/2029   2,000,000     1,867,600
Group 1 Automotive, Inc.
5.000%, 06/01/2022
  925,000     906,500
Hilton Domestic Operating Company, Inc.
4.875%, 01/15/2030
  125,000     124,375
KFC Holding Company/Pizza Hut
Holdings LLC/Taco Bell of America LLC
         
5.000%, 06/01/2024 (A)   650,000     665,334
5.250%, 06/01/2026 (A)   650,000     676,000
Levi Strauss & Company
5.000%, 05/01/2025
  175,000     178,500
Lithia Motors, Inc.          
4.625%, 12/15/2027 (A)   200,000     193,000
5.250%, 08/01/2025 (A)   1,025,000     1,004,500
NCL Corp., Ltd.
3.625%, 12/15/2024 (A)
  250,000     150,000
Panther BF Aggregator 2 LP
6.250%, 05/15/2026 (A)
  100,000     101,750
Penske Automotive Group, Inc.          
3.750%, 08/15/2020   415,000     410,887
5.375%, 12/01/2024   1,125,000     1,096,875
5.750%, 10/01/2022   2,000,000     2,005,000
Royal Caribbean Cruises, Ltd.
3.700%, 03/15/2028
  450,000     303,967
Service Corp. International          
4.625%, 12/15/2027   425,000     447,228
5.125%, 06/01/2029   1,175,000     1,266,063
7.500%, 04/01/2027   450,000     499,500
8.000%, 11/15/2021   2,145,000     2,262,975
Sonic Automotive, Inc.
6.125%, 03/15/2027
  350,000     347,155
Telesat Canada
6.500%, 10/15/2027 (A)
  350,000     343,235
 
  105  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

U.S. High Yield Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
The William Carter Company          
5.500%, 05/15/2025 (A) $ 150,000   $ 154,500
5.625%, 03/15/2027 (A)   375,000     383,059
Wyndham Hotels & Resorts, Inc.
5.375%, 04/15/2026 (A)
  1,270,000     1,206,665
Yum! Brands, Inc.          
4.750%, 01/15/2030 (A)   150,000     155,493
7.750%, 04/01/2025 (A)   150,000     165,750
          28,030,422
Consumer staples – 1.5%          
Albertsons Companies, Inc.          
4.625%, 01/15/2027 (A)   150,000     152,249
4.875%, 02/15/2030 (A)   150,000     155,438
Cott Holdings, Inc.
5.500%, 04/01/2025 (A)
  375,000     378,203
Darling Ingredients, Inc.
5.250%, 04/15/2027 (A)
  500,000     520,000
Pilgrim's Pride Corp.          
5.750%, 03/15/2025 (A)   940,000     961,150
5.875%, 09/30/2027 (A)   125,000     130,000
Prestige Brands, Inc.          
5.125%, 01/15/2028 (A)   125,000     126,875
6.375%, 03/01/2024 (A)   725,000     745,844
Spectrum Brands, Inc.
5.750%, 07/15/2025
  275,000     283,594
          3,453,353
Energy – 16.3%          
Antero Midstream Partners LP
5.750%, 01/15/2028 (A)
  1,875,000     1,465,875
Apache Corp.          
4.250%, 01/15/2030   50,000     43,958
4.750%, 04/15/2043   1,175,000     909,934
Archrock Partners LP          
6.250%, 04/01/2028 (A)   200,000     190,500
6.875%, 04/01/2027 (A)   450,000     429,750
Baytex Energy Corp.          
5.625%, 06/01/2024 (A)   1,400,000     714,000
8.750%, 04/01/2027 (A)   2,100,000     1,060,500
Buckeye Partners LP
5.850%, 11/15/2043
  825,000     687,844
Callon Petroleum Company          
6.125%, 10/01/2024   732,000     241,560
6.250%, 04/15/2023   225,000     73,125
8.250%, 07/15/2025   1,350,000     411,750
Cheniere Corpus Christi Holdings LLC
5.125%, 06/30/2027
  75,000     81,222
Cheniere Energy Partners LP          
4.500%, 10/01/2029 (A)   350,000     342,125
5.250%, 10/01/2025   3,175,000     3,206,750
5.625%, 10/01/2026   400,000     407,120
Denbury Resources, Inc.          
7.750%, 02/15/2024 (A)   743,000     304,630
9.000%, 05/15/2021 (A)   1,300,000     559,000
9.250%, 03/31/2022 (A)   451,000     180,400
Diamond Offshore Drilling, Inc.
4.875%, 11/01/2043 (B)
  1,086,000     120,991
EnLink Midstream LLC
5.375%, 06/01/2029
  1,725,000     1,335,478
EnLink Midstream Partners LP          
4.150%, 06/01/2025   25,000     20,125
4.400%, 04/01/2024   300,000     240,750
5.050%, 04/01/2045   1,175,000     683,263
5.450%, 06/01/2047 (C)   1,175,000     722,860
5.600%, 04/01/2044   750,000     452,730
U.S. High Yield Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
Enviva Partners LP
6.500%, 01/15/2026 (A)
$ 1,550,000   $ 1,639,125
Era Group, Inc.
7.750%, 12/15/2022 (C)
  1,600,000     1,472,000
Hilcorp Energy I LP          
5.000%, 12/01/2024 (A)(C)   1,250,000     1,100,000
5.750%, 10/01/2025 (A)   1,325,000     1,192,500
6.250%, 11/01/2028 (A)   225,000     192,375
MPLX LP          
5.250%, 01/15/2025   425,000     440,627
6.375%, 05/01/2024   275,000     283,994
Murphy Oil Corp.          
5.750%, 08/15/2025 (C)   125,000     117,031
5.875%, 12/01/2027   125,000     116,250
Murphy Oil USA, Inc.
4.750%, 09/15/2029
  75,000     77,078
NGPL PipeCo LLC          
4.375%, 08/15/2022 (A)   225,000     229,187
7.768%, 12/15/2037 (A)(C)   275,000     328,676
Occidental Petroleum Corp.          
4.625%, 06/15/2045   1,575,000     938,621
6.200%, 03/15/2040   500,000     341,250
6.450%, 09/15/2036   3,825,000     2,744,438
6.600%, 03/15/2046   375,000     260,625
Oceaneering International, Inc.
6.000%, 02/01/2028
  1,350,000     904,500
Rockies Express Pipeline LLC          
3.600%, 05/15/2025 (A)   725,000     657,938
4.800%, 05/15/2030 (A)   725,000     661,780
4.950%, 07/15/2029 (A)   350,000     324,555
6.875%, 04/15/2040 (A)   1,506,000     1,458,260
7.500%, 07/15/2038 (A)   201,000     194,468
Southwestern Energy Company          
6.200%, 01/23/2025   15,000     13,473
7.500%, 04/01/2026 (C)   250,000     230,000
7.750%, 10/01/2027 (C)   850,000     792,625
Tallgrass Energy Partners LP
5.500%, 09/15/2024 (A)
  2,500,000     2,387,500
Ultra Resources, Inc.
7.125%, 04/15/2025 (A)(B)
  2,675,000     1,338
USA Compression Partners LP
6.875%, 04/01/2026 to 09/01/2027
  1,150,000     1,103,375
Valaris PLC          
4.875%, 06/01/2022   725,000     72,500
5.750%, 10/01/2044   2,575,000     206,000
Western Midstream Operating LP          
4.050%, 02/01/2030   650,000     583,180
5.250%, 02/01/2050   50,000     40,485
5.300%, 03/01/2048   1,100,000     858,000
          36,849,994
Financials – 4.4%          
AmWINS Group, Inc.
7.750%, 07/01/2026 (A)
  1,175,000     1,260,658
CIT Group, Inc.          
4.125%, 03/09/2021   40,000     39,900
6.125%, 03/09/2028   50,000     51,750
FirstCash, Inc.
5.375%, 06/01/2024 (A)
  1,175,000     1,178,184
HUB International, Ltd.
7.000%, 05/01/2026 (A)
  500,000     513,535
Ladder Capital Finance Holdings LLLP          
4.250%, 02/01/2027 (A)   200,000     167,000
5.250%, 03/15/2022 to 10/01/2025 (A)   1,500,000     1,294,125
LPL Holdings, Inc.          
4.625%, 11/15/2027 (A)   250,000     244,688
 
  106  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

U.S. High Yield Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
LPL Holdings, Inc. (continued)          
5.750%, 09/15/2025 (A) $ 2,425,000   $ 2,521,127
Springleaf Finance Corp.          
5.375%, 11/15/2029   625,000     554,063
6.125%, 03/15/2024   400,000     388,120
6.625%, 01/15/2028   400,000     382,000
7.125%, 03/15/2026   600,000     591,000
8.250%, 10/01/2023   225,000     228,985
USI, Inc.
6.875%, 05/01/2025 (A)
  475,000     486,680
          9,901,815
Health care – 10.1%          
Bausch Health Americas, Inc.
8.500%, 01/31/2027 (A)
  300,000     327,855
Bausch Health Companies, Inc.          
5.000%, 01/30/2028 (A)   250,000     241,558
5.250%, 01/30/2030 (A)   250,000     245,625
5.500%, 03/01/2023 to 11/01/2025 (A)   1,032,000     1,044,080
5.750%, 08/15/2027 (A)   100,000     107,020
5.875%, 05/15/2023 (A)   138,000     137,914
6.125%, 04/15/2025 (A)   1,265,000     1,283,709
6.250%, 02/15/2029 (A)   1,000,000     1,025,000
6.500%, 03/15/2022 (A)   175,000     178,028
7.000%, 03/15/2024 to 01/15/2028 (A)   425,000     441,370
7.250%, 05/30/2029 (A)   50,000     53,900
Centene Corp.
5.375%, 08/15/2026 (A)
  100,000     105,641
Change Healthcare Holdings LLC
5.750%, 03/01/2025 (A)
  2,250,000     2,246,783
Charles River Laboratories
International, Inc.
         
4.250%, 05/01/2028 (A)   75,000     75,633
5.500%, 04/01/2026 (A)   250,000     261,048
Community Health Systems, Inc.
6.625%, 02/15/2025 (A)
  1,500,000     1,447,500
DaVita, Inc.
4.625%, 06/01/2030 (A)
  575,000     573,563
Encompass Health Corp.          
4.500%, 02/01/2028   225,000     228,375
4.750%, 02/01/2030   250,000     253,643
5.125%, 03/15/2023   245,000     246,225
5.750%, 11/01/2024 to 09/15/2025   65,000     66,340
Hill-Rom Holdings, Inc.          
4.375%, 09/15/2027 (A)   650,000     667,063
5.000%, 02/15/2025 (A)   50,000     51,375
Hologic, Inc.          
4.375%, 10/15/2025 (A)   1,300,000     1,328,977
4.625%, 02/01/2028 (A)   150,000     155,250
IQVIA, Inc.
5.000%, 10/15/2026 to 05/15/2027 (A)
  700,000     733,000
MEDNAX, Inc.          
5.250%, 12/01/2023 (A)   150,000     147,000
6.250%, 01/15/2027 (A)   325,000     303,875
MPH Acquisition Holdings LLC
7.125%, 06/01/2024 (A)
  2,225,000     2,102,625
Ortho-Clinical Diagnostics, Inc.
7.250%, 02/01/2028 (A)
  150,000     149,250
Polaris Intermediate Corp. (8.500% Cash or 9.250% PIK) 8.500%, 12/01/2022 (A)   400,000     350,252
Select Medical Corp.
6.250%, 08/15/2026 (A)
  850,000     893,563
Surgery Center Holdings, Inc.
6.750%, 07/01/2025 (A)(C)
  325,000     297,375
U.S. High Yield Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
Tenet Healthcare Corp.          
4.625%, 07/15/2024 $ 775,000   $ 784,688
4.875%, 01/01/2026 (A)   400,000     411,084
5.125%, 11/01/2027 (A)   100,000     103,250
7.000%, 08/01/2025 (C)   350,000     351,677
7.500%, 04/01/2025 (A)   175,000     190,750
Teva Pharmaceutical Finance
Netherlands III BV
         
4.100%, 10/01/2046   500,000     420,500
6.750%, 03/01/2028 (C)   1,600,000     1,712,000
Vizient, Inc.
6.250%, 05/15/2027 (A)
  1,125,000     1,180,271
          22,924,635
Industrials – 11.2%          
ACCO Brands Corp.
5.250%, 12/15/2024 (A)
  25,000     25,125
Advanced Disposal Services, Inc.
5.625%, 11/15/2024 (A)
  1,925,000     1,989,969
Allison Transmission, Inc.          
4.750%, 10/01/2027 (A)   750,000     727,500
5.000%, 10/01/2024 (A)   2,625,000     2,644,658
5.875%, 06/01/2029 (A)   350,000     353,500
Covanta Holding Corp.          
5.875%, 03/01/2024 to 07/01/2025   1,250,000     1,245,730
6.000%, 01/01/2027   475,000     467,875
Fortress Transportation & Infrastructure Investors LLC
6.500%, 10/01/2025 (A)
  1,625,000     1,360,938
IAA, Inc.
5.500%, 06/15/2027 (A)
  2,300,000     2,334,500
KAR Auction Services, Inc.
5.125%, 06/01/2025 (A)
  3,425,000     3,235,906
Navistar International Corp.
9.500%, 05/01/2025 (A)
  150,000     161,250
RBS Global, Inc.
4.875%, 12/15/2025 (A)
  1,825,000     1,815,875
Ritchie Bros Auctioneers, Inc.
5.375%, 01/15/2025 (A)
  2,525,000     2,600,750
Sensata Technologies BV
5.625%, 11/01/2024 (A)
  1,600,000     1,673,856
Sensata Technologies UK Financing Company PLC
6.250%, 02/15/2026 (A)
  250,000     263,125
Signature Aviation US Holdings, Inc.          
4.000%, 03/01/2028 (A)   525,000     464,625
5.375%, 05/01/2026 (A)   1,375,000     1,305,136
Stevens Holding Company, Inc.
6.125%, 10/01/2026 (A)
  1,250,000     1,287,975
Tempo Acquisition LLC
5.750%, 06/01/2025 (A)
  75,000     78,281
TriMas Corp.
4.875%, 10/15/2025 (A)
  1,325,000     1,315,063
          25,351,637
Information technology – 5.6%          
Cardtronics, Inc.
5.500%, 05/01/2025 (A)
  2,350,000     2,209,000
CDK Global, Inc.
5.250%, 05/15/2029 (A)
  100,000     102,000
CommScope Technologies LLC
6.000%, 06/15/2025 (A)
  525,000     510,416
CommScope, Inc.
8.250%, 03/01/2027 (A)
  450,000     469,125
Dell International LLC          
5.875%, 06/15/2021 (A)   1,207,000     1,207,362
7.125%, 06/15/2024 (A)(C)   2,275,000     2,361,723
 
  107  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

U.S. High Yield Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology (continued)          
Fair Isaac Corp.          
4.000%, 06/15/2028 (A) $ 100,000   $ 100,375
5.250%, 05/15/2026 (A)   1,425,000     1,536,407
Gartner, Inc.
5.125%, 04/01/2025 (A)
  615,000     627,552
NCR Corp.          
5.000%, 07/15/2022   1,510,000     1,511,450
5.750%, 09/01/2027 (A)   50,000     49,625
6.375%, 12/15/2023   750,000     766,793
8.125%, 04/15/2025 (A)   150,000     161,438
NortonLifeLock, Inc.
5.000%, 04/15/2025 (A)
  125,000     127,500
Qorvo, Inc.
4.375%, 10/15/2029 (A)
  200,000     204,750
SS&C Technologies, Inc.
5.500%, 09/30/2027 (A)
  700,000     735,217
          12,680,733
Materials – 5.1%          
Ardagh Packaging Finance PLC          
4.125%, 08/15/2026 (A)   600,000     602,070
4.250%, 09/15/2022 (A)   200,000     202,124
5.250%, 04/30/2025 (A)   125,000     130,469
Ball Corp.          
4.875%, 03/15/2026   250,000     275,156
5.000%, 03/15/2022   175,000     182,998
5.250%, 07/01/2025   75,000     84,094
Berry Global, Inc.          
4.875%, 07/15/2026 (A)   350,000     365,862
5.125%, 07/15/2023   250,000     252,500
5.625%, 07/15/2027 (A)   100,000     105,000
6.000%, 10/15/2022   320,000     322,400
Clearwater Paper Corp.
5.375%, 02/01/2025 (A)(C)
  300,000     294,000
Crown Americas LLC          
4.250%, 09/30/2026   775,000     796,313
4.750%, 02/01/2026   800,000     831,304
Flex Acquisition Company, Inc.          
6.875%, 01/15/2025 (A)   1,350,000     1,361,840
7.875%, 07/15/2026 (A)   350,000     350,000
Kaiser Aluminum Corp.          
4.625%, 03/01/2028 (A)   275,000     259,875
6.500%, 05/01/2025 (A)   175,000     179,594
Novelis Corp.
5.875%, 09/30/2026 (A)
  250,000     256,048
OI European Group BV
4.000%, 03/15/2023 (A)
  350,000     345,625
Owens-Brockway Glass Container, Inc.          
5.000%, 01/15/2022 (A)   173,000     174,298
5.875%, 08/15/2023 (A)   600,000     622,500
QVC, Inc.
4.750%, 02/15/2027
  600,000     571,500
Reynolds Group Issuer, Inc.
5.125%, 07/15/2023 (A)
  450,000     455,625
Sealed Air Corp.
5.125%, 12/01/2024 (A)
  1,165,000     1,260,775
Silgan Holdings, Inc.          
4.125%, 02/01/2028 (A)   650,000     653,068
4.750%, 03/15/2025   125,000     127,813
Valvoline, Inc.          
4.250%, 02/15/2030 (A)   325,000     324,188
4.375%, 08/15/2025 (A)   125,000     126,875
          11,513,914
Real estate – 3.9%          
CoreCivic, Inc.          
4.625%, 05/01/2023   300,000     291,000
U.S. High Yield Bond Fund (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Real estate (continued)          
CoreCivic, Inc. (continued)          
5.000%, 10/15/2022 $ 800,000   $ 784,000
GLP Capital LP
5.375%, 11/01/2023
  625,000     626,519
Iron Mountain, Inc.          
4.375%, 06/01/2021 (A)   975,000     974,249
6.000%, 08/15/2023   250,000     252,500
MPT Operating Partnership LP          
4.625%, 08/01/2029   275,000     272,250
5.000%, 10/15/2027   725,000     749,469
5.250%, 08/01/2026   800,000     820,000
5.500%, 05/01/2024   715,000     723,938
6.375%, 03/01/2024   60,000     61,633
SBA Communications Corp.          
3.875%, 02/15/2027 (A)   300,000     304,620
4.000%, 10/01/2022   525,000     532,329
The GEO Group, Inc.          
5.125%, 04/01/2023   210,000     184,275
5.875%, 01/15/2022 to 10/15/2024   1,665,000     1,506,885
6.000%, 04/15/2026   975,000     760,500
          8,844,167
Utilities – 5.4%          
NextEra Energy Operating Partners LP          
4.250%, 07/15/2024 to 09/15/2024 (A)   825,000     851,813
4.500%, 09/15/2027 (A)   725,000     768,500
NSG Holdings LLC
7.750%, 12/15/2025 (A)
  2,371,547     2,395,262
Pattern Energy Group, Inc.
5.875%, 02/01/2024 (A)
  3,800,000     3,847,500
TerraForm Power Operating LLC          
4.250%, 01/31/2023 (A)   2,250,000     2,289,375
4.750%, 01/15/2030 (A)   400,000     415,000
5.000%, 01/31/2028 (A)   1,525,000     1,624,125
          12,191,575
TOTAL CORPORATE BONDS (Cost $217,187,546)     $ 208,598,710
CONVERTIBLE BONDS – 0.3%      
Communication services – 0.2%          
DISH Network Corp.
3.375%, 08/15/2026
  575,000     506,661
Energy – 0.1%          
Denbury Resources, Inc.
6.375%, 12/31/2024 (A)
  531,000     46,170
Whiting Petroleum Corp.
1.250%, 04/01/2020 (B)
  1,345,000     171,488
          217,658
TOTAL CONVERTIBLE BONDS (Cost $2,293,072)     $ 724,319
TERM LOANS (D) – 3.1%      
Communication services – 1.3%          
Ancestry.com Operations, Inc., 2019 Extended Term Loan B (1 month LIBOR + 4.250%) 4.424%, 08/27/2026   2,690,159     2,488,397
Montreign Operating Company, Bridge Term Loan (1 month LIBOR + 2.250%) 2.424%, 03/22/2021   420,089     371,778
          2,860,175
Consumer discretionary – 0.1%          
CCM Merger, Inc., New Term Loan B (1 month LIBOR + 2.250%) 3.000%, 08/08/2021   281,555     260,790
 
  108  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

U.S. High Yield Bond Fund (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (D) (continued)      
Consumer staples – 0.0%          
Atkins Nutritionals Holdings, Inc., 2017 Term Loan B (1 month LIBOR + 3.750%) 4.750%, 07/07/2024 $ 145,423   $ 142,878
Energy – 0.2%          
EPIC Crude Services LP, Term Loan B (3 month LIBOR + 5.000%) 5.370%, 03/02/2026   600,000     448,500
Financials – 1.4%          
Emerald TopCo, Inc., Term Loan (1 and 3 month LIBOR + 3.500%) 4.259%, 07/24/2026   671,625     643,753
HUB International, Ltd., 2019 Incremental Term Loan B (3 month LIBOR + 4.000%) 5.000%, 04/25/2025   448,875     438,789
Nexus Buyer LLC, Term Loan B (1 month LIBOR + 3.750%) 3.934%, 11/09/2026   473,813     464,336
USI, Inc., 2019 Incremental Term Loan B (1 month LIBOR + 4.000%) 4.174%, 12/02/2026   149,625     144,949
VFH Parent LLC, 2019 Term Loan B (1 month LIBOR + 3.000%) 3.222%, 03/01/2026   247,537     242,896
Victory Capital Holdings, Inc., 2020 Term Loan B (3 month LIBOR + 2.500%) 3.937%, 07/01/2026   1,287,909     1,243,901
          3,178,624
Materials – 0.1%          
Clearwater Paper Corp., Term Loan B (3 month LIBOR + 3.250%) 4.250%, 07/26/2026   149,625     148,129
TOTAL TERM LOANS (Cost $7,473,888)     $ 7,039,096
RIGHTS – 0.1%          
Texas Competitive Electric Holdings Company LLC (E)(F)   215,025     215,025
TOTAL RIGHTS (Cost $1,079,996)   $ 215,025
ESCROW CERTIFICATES – 0.0%          
Texas Competitive Electric Holdings Company LLC
11.500%, 10/01/2020 (E)(G)
$ 13,200,000     19,800
TOTAL ESCROW CERTIFICATES (Cost $6,477)   $ 19,800
SHORT-TERM INVESTMENTS – 5.8%      
Short-term funds – 5.8%          
John Hancock Collateral Trust, 0.3653% (H)(I)   694,972     6,957,853
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.1303% (H)   6,068,552     6,068,552
TOTAL SHORT-TERM INVESTMENTS (Cost $13,017,685)   $ 13,026,405
Total Investments (U.S. High Yield Bond Fund)
(Cost $241,058,664) – 101.5%
  $ 229,623,355
Other assets and liabilities, net – (1.5%)       (3,355,900)
TOTAL NET ASSETS – 100.0%       $ 226,267,455
Security Abbreviations and Legend
LIBOR London Interbank Offered Rate
PIK Pay-in-Kind Security - Represents a payment-in-kind which may pay interest in additional par and/or cash. Rates shown are the current rate and most recent payment rate.
U.S. High Yield Bond Fund (continued)
(A) 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. Rule 144A securities amounted to $140,236,483 or 62.0% of the fund's net assets as of 5-31-20.
(B) Non-income producing - Issuer is in default.
(C) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $6,809,723.
(D) Term loans are variable rate obligations. The coupon rate shown represents the rate at period end.
(E) Non-income producing security.
(F) Strike price and/or expiration date not available.
(G) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(H) The rate shown is the annualized seven-day yield as of 5-31-20.
(I) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
U.S. Sector Rotation Fund
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 97.3%      
Communication services – 10.5%          
Diversified telecommunication services – 1.5%      
AT&T, Inc.   265,037   $ 8,179,042
CenturyLink, Inc. (A)   35,596     349,909
Verizon Communications, Inc.   150,052     8,609,984
          17,138,935
Entertainment – 2.0%      
Activision Blizzard, Inc.   34,685     2,496,626
Electronic Arts, Inc. (B)   13,182     1,619,804
Live Nation Entertainment, Inc. (B)   6,362     312,756
Netflix, Inc. (B)   19,786     8,304,778
Take-Two Interactive Software, Inc. (B)   5,110     695,829
The Walt Disney Company   81,375     9,545,288
          22,975,081
Interactive media and services – 5.6%      
Alphabet, Inc., Class A (B)   13,528     19,392,659
Alphabet, Inc., Class C (B)   13,494     19,281,846
Facebook, Inc., Class A (B)   108,647     24,455,353
Twitter, Inc. (B)   35,051     1,085,529
          64,215,387
Media – 1.3%      
Charter Communications, Inc., Class A (B)   7,079     3,850,976
Comcast Corp., Class A   204,964     8,116,574
Discovery, Inc., Series A (A)(B)   7,134     155,165
Discovery, Inc., Series C (B)   15,149     296,769
DISH Network Corp., Class A (B)   11,558     365,811
Fox Corp., Class A   16,006     466,895
Fox Corp., Class B   7,331     210,986
Media General, Inc. (B)(C)   7,175     682
News Corp., Class A   17,552     215,012
News Corp., Class B   5,486     67,258
Omnicom Group, Inc.   9,830     538,586
The Interpublic Group of Companies, Inc.   17,504     299,493
ViacomCBS, Inc., Class B   24,399     506,035
          15,090,242
Wireless telecommunication services – 0.1%      
T-Mobile US, Inc. (B)   13,812     1,381,752
          120,801,397
Consumer discretionary – 9.9%          
Auto components – 0.2%      
Aptiv PLC   17,291     1,302,877
 
  109  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

U.S. Sector Rotation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Auto components (continued)      
BorgWarner, Inc.   13,986   $ 449,650
          1,752,527
Automobiles – 0.3%      
Ford Motor Company   263,745     1,505,984
General Motors Company   85,161     2,203,967
Harley-Davidson, Inc. (A)   10,450     223,003
          3,932,954
Distributors – 0.1%      
Genuine Parts Company   10,854     905,332
LKQ Corp. (B)   22,895     628,697
          1,534,029
Diversified consumer services – 0.0%      
H&R Block, Inc.   11,418     194,106
Hotels, restaurants and leisure – 2.1%      
Carnival Corp. (A)   27,242     428,789
Chipotle Mexican Grill, Inc. (B)   1,496     1,501,849
Darden Restaurants, Inc.   7,629     586,365
Domino's Pizza, Inc.   2,262     872,770
Hilton Worldwide Holdings, Inc.   16,504     1,308,932
Las Vegas Sands Corp.   19,766     947,582
Marriott International, Inc., Class A   15,872     1,404,672
McDonald's Corp.   44,049     8,207,210
MGM Resorts International   30,121     517,479
Norwegian Cruise Line Holdings, Ltd. (A)(B)   14,571     228,182
Royal Caribbean Cruises, Ltd. (A)   10,054     521,501
Starbucks Corp.   69,078     5,387,393
Wynn Resorts, Ltd.   5,651     470,615
Yum! Brands, Inc.   17,691     1,587,413
          23,970,752
Household durables – 0.4%      
D.R. Horton, Inc.   17,251     953,980
Garmin, Ltd.   7,433     670,234
Hamilton Beach Brands Holding Company, Class B   294     2,808
Leggett & Platt, Inc.   6,771     207,125
Lennar Corp., A Shares   14,398     870,503
Mohawk Industries, Inc. (B)   3,058     285,006
Newell Brands, Inc.   19,603     257,779
NVR, Inc. (B)   179     576,668
PulteGroup, Inc.   13,105     445,177
Whirlpool Corp. (A)   3,251     396,037
          4,665,317
Internet and direct marketing retail – 2.6%      
Amazon.com, Inc. (B)   11,161     27,259,292
Booking Holdings, Inc. (B)   1,122     1,839,429
eBay, Inc.   20,494     933,297
Expedia Group, Inc.   3,745     297,653
          30,329,671
Leisure products – 0.0%      
Hasbro, Inc. (A)   6,547     481,270
Multiline retail – 0.6%      
Dollar General Corp.   12,225     2,341,210
Dollar Tree, Inc. (B)   11,363     1,112,097
Kohl's Corp.   7,517     144,477
Nordstrom, Inc. (A)   5,143     82,957
Target Corp.   24,331     2,976,411
          6,657,152
Specialty retail – 2.9%      
Advance Auto Parts, Inc.   3,715     517,574
AutoZone, Inc. (B)   1,278     1,466,965
Best Buy Company, Inc.   12,214     953,791
U.S. Sector Rotation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
CarMax, Inc. (B)   8,819   $ 776,513
L Brands, Inc.   12,455     201,646
Lowe's Companies, Inc.   41,110     5,358,689
O'Reilly Automotive, Inc. (B)   4,058     1,693,160
Ross Stores, Inc.   19,402     1,881,218
The Gap, Inc. (A)   11,412     101,567
The Home Depot, Inc.   58,507     14,537,819
The TJX Companies, Inc.   65,042     3,431,616
Tiffany & Company   5,790     741,873
Tractor Supply Company   6,350     774,827
Ulta Beauty, Inc. (B)   3,066     748,135
          33,185,393
Textiles, apparel and luxury goods – 0.7%      
Hanesbrands, Inc. (A)   18,607     183,465
NIKE, Inc., Class B   64,102     6,319,175
PVH Corp.   3,814     173,423
Ralph Lauren Corp.   2,558     193,155
Tapestry, Inc.   14,195     193,052
Under Armour, Inc., Class A (A)(B)   9,685     84,744
Under Armour, Inc., Class C (B)   10,007     78,655
VF Corp.   16,848     945,173
          8,170,842
          114,874,013
Consumer staples – 5.6%          
Beverages – 1.4%      
Brown-Forman Corp., Class B   6,857     452,082
Constellation Brands, Inc., Class A   6,304     1,088,701
Molson Coors Beverage Company, Class B   7,070     268,377
Monster Beverage Corp. (B)   14,369     1,033,275
PepsiCo, Inc.   52,484     6,904,270
The Coca-Cola Company   145,134     6,774,855
          16,521,560
Food and staples retailing – 1.7%      
Costco Wholesale Corp.   21,426     6,609,278
Sysco Corp.   24,745     1,364,934
The Kroger Company   38,895     1,268,755
Walgreens Boots Alliance, Inc.   36,361     1,561,341
Walmart, Inc.   68,800     8,535,328
          19,339,636
Food products – 0.9%      
Archer-Daniels-Midland Company   20,952     823,623
Campbell Soup Company   6,358     324,131
Conagra Brands, Inc.   18,316     637,214
General Mills, Inc.   22,748     1,434,034
Hormel Foods Corp.   10,466     511,055
Kellogg Company   9,371     612,020
Lamb Weston Holdings, Inc.   5,497     330,150
McCormick & Company, Inc.   4,651     814,669
Mondelez International, Inc., Class A   54,192     2,824,487
The Hershey Company   5,582     757,366
The J.M. Smucker Company   4,293     489,101
The Kraft Heinz Company   23,441     714,247
Tyson Foods, Inc., Class A   11,110     682,598
          10,954,695
Household products – 0.9%      
Church & Dwight Company, Inc.   5,651     424,221
Colgate-Palmolive Company   19,734     1,427,360
Kimberly-Clark Corp.   7,893     1,116,386
The Clorox Company   2,890     596,063
The Procter & Gamble Company   57,424     6,656,590
          10,220,620
 
  110  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

U.S. Sector Rotation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Personal products – 0.1%      
Coty, Inc., Class A   6,805   $ 24,702
The Estee Lauder Companies, Inc., Class A   5,125     1,012,034
          1,036,736
Tobacco – 0.6%      
Altria Group, Inc.   70,312     2,745,684
Philip Morris International, Inc.   58,560     4,295,962
          7,041,646
          65,114,893
Energy – 4.2%          
Energy equipment and services – 0.3%      
Baker Hughes Company   42,998     709,897
Halliburton Company   58,078     682,417
National Oilwell Varco, Inc.   25,527     318,322
Schlumberger, Ltd.   91,596     1,691,778
TechnipFMC PLC   27,807     205,772
          3,608,186
Oil, gas and consumable fuels – 3.9%      
Apache Corp.   24,879     268,444
Cabot Oil & Gas Corp.   26,989     535,462
Chevron Corp.   125,107     11,472,312
Concho Resources, Inc.   13,301     725,171
ConocoPhillips   72,599     3,062,226
Devon Energy Corp.   25,604     276,779
Diamondback Energy, Inc.   10,662     453,988
EOG Resources, Inc.   38,492     1,961,937
Exxon Mobil Corp.   279,945     12,729,099
Hess Corp.   17,136     813,446
HollyFrontier Corp.   9,823     308,933
Kinder Morgan, Inc.   128,877     2,036,257
Marathon Oil Corp.   52,925     282,620
Marathon Petroleum Corp.   42,962     1,509,685
Noble Energy, Inc.   31,645     276,261
Occidental Petroleum Corp. (A)   59,104     765,397
ONEOK, Inc.   27,331     1,002,774
Phillips 66   29,400     2,300,844
Pioneer Natural Resources Company   10,960     1,003,936
The Williams Companies, Inc.   80,194     1,638,363
Valero Energy Corp.   27,170     1,810,609
          45,234,543
          48,842,729
Financials – 12.1%          
Banks – 5.0%      
Bank of America Corp.   483,488     11,661,731
Citigroup, Inc.   130,385     6,246,745
Citizens Financial Group, Inc.   25,962     625,684
Comerica, Inc.   8,609     312,937
Fifth Third Bancorp   42,384     821,826
First Republic Bank   10,065     1,088,731
Huntington Bancshares, Inc.   61,680     548,335
JPMorgan Chase & Co.   187,318     18,227,915
KeyCorp   58,823     697,053
M&T Bank Corp.   7,881     832,706
People's United Financial, Inc.   26,524     303,700
Regions Financial Corp.   57,609     651,558
SVB Financial Group (B)   3,080     661,430
The PNC Financial Services Group, Inc.   26,169     2,984,313
Truist Financial Corp.   80,093     2,945,821
U.S. Bancorp   84,883     3,018,439
Wells Fargo & Company   229,855     6,084,262
Zions Bancorp NA   10,180     334,973
          58,048,159
U.S. Sector Rotation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets – 2.6%      
Ameriprise Financial, Inc.   5,562   $ 779,069
BlackRock, Inc.   6,692     3,537,659
Cboe Global Markets, Inc.   4,867     518,141
CME Group, Inc.   15,732     2,872,663
E*TRADE Financial Corp.   9,917     451,620
Franklin Resources, Inc.   12,244     231,044
Intercontinental Exchange, Inc.   24,445     2,377,276
Invesco, Ltd.   16,338     130,214
MarketAxess Holdings, Inc.   1,665     846,802
Moody's Corp.   7,128     1,906,098
Morgan Stanley   51,126     2,259,769
MSCI, Inc.   3,718     1,222,664
Nasdaq, Inc.   5,037     596,683
Northern Trust Corp.   9,302     734,951
Raymond James Financial, Inc.   5,420     375,498
S&P Global, Inc.   10,729     3,487,140
State Street Corp.   15,963     973,104
T. Rowe Price Group, Inc.   10,258     1,240,192
The Bank of New York Mellon Corp.   36,840     1,369,343
The Charles Schwab Corp.   50,189     1,802,287
The Goldman Sachs Group, Inc.   13,990     2,748,895
          30,461,112
Consumer finance – 0.5%      
American Express Company   29,456     2,800,382
Capital One Financial Corp.   20,445     1,391,078
Discover Financial Services   13,761     653,785
Synchrony Financial   24,777     504,707
          5,349,952
Diversified financial services – 1.4%      
Berkshire Hathaway, Inc., Class B (B)   85,869     15,935,569
NewStar Financial, Inc. (B)(C)   2,317     560
          15,936,129
Insurance – 2.6%      
Aflac, Inc.   45,762     1,668,940
American International Group, Inc.   54,237     1,630,364
Aon PLC, Class A   14,597     2,874,879
Arthur J. Gallagher & Company   11,629     1,096,382
Assurant, Inc.   3,780     387,752
Chubb, Ltd.   28,255     3,445,415
Cincinnati Financial Corp.   9,472     558,374
Everest Re Group, Ltd.   2,542     504,358
Globe Life, Inc.   6,211     478,371
Lincoln National Corp.   12,365     469,004
Loews Corp.   15,947     530,078
Marsh & McLennan Companies, Inc.   31,463     3,332,561
MetLife, Inc.   48,733     1,754,875
Principal Financial Group, Inc.   16,100     621,782
Prudential Financial, Inc.   25,062     1,527,780
The Allstate Corp.   20,197     1,975,469
The Hartford Financial Services Group, Inc.   22,469     860,338
The Progressive Corp.   36,448     2,831,281
The Travelers Companies, Inc.   16,092     1,721,522
Unum Group   12,859     194,814
W.R. Berkley Corp.   9,046     524,216
Willis Towers Watson PLC   8,016     1,626,446
          30,615,001
          140,410,353
Health care – 14.0%          
Biotechnology – 2.4%      
AbbVie, Inc.   79,659     7,382,000
Alexion Pharmaceuticals, Inc. (B)   9,998     1,198,760
Amgen, Inc.   26,846     6,166,526
 
  111  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

U.S. Sector Rotation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Biogen, Inc. (B)   8,153   $ 2,503,705
Gilead Sciences, Inc.   57,160     4,448,763
Incyte Corp. (B)   8,077     823,127
Regeneron Pharmaceuticals, Inc. (B)   3,609     2,211,631
Vertex Pharmaceuticals, Inc. (B)   11,618     3,345,519
          28,080,031
Health care equipment and supplies – 3.9%      
Abbott Laboratories   79,429     7,539,401
ABIOMED, Inc. (B)   2,029     454,293
Align Technology, Inc. (B)   3,223     791,633
Baxter International, Inc.   22,945     2,065,279
Becton, Dickinson and Company   13,252     3,272,316
Boston Scientific Corp. (B)   62,640     2,379,694
Danaher Corp.   28,279     4,711,564
Dentsply Sirona, Inc.   9,995     464,967
DexCom, Inc. (B)   4,098     1,550,314
Edwards Lifesciences Corp. (B)   9,373     2,106,301
Hologic, Inc. (B)   12,050     638,650
IDEXX Laboratories, Inc. (B)   3,855     1,190,732
Intuitive Surgical, Inc. (B)   5,194     3,012,676
Medtronic PLC   60,238     5,938,262
ResMed, Inc.   6,462     1,039,219
STERIS PLC   3,810     632,041
Stryker Corp.   14,470     2,832,213
Teleflex, Inc.   2,081     755,112
The Cooper Companies, Inc.   2,228     706,231
Varian Medical Systems, Inc. (B)   4,085     495,878
West Pharmaceutical Services, Inc.   3,325     718,333
Zimmer Biomet Holdings, Inc.   9,244     1,167,887
          44,462,996
Health care providers and services – 2.9%      
AmerisourceBergen Corp.   6,756     644,117
Anthem, Inc.   11,396     3,351,678
Cardinal Health, Inc.   13,145     718,900
Centene Corp. (B)   26,237     1,738,201
Cigna Corp.   16,782     3,311,424
CVS Health Corp.   58,467     3,833,681
DaVita, Inc. (B)   4,030     326,269
HCA Healthcare, Inc.   11,890     1,271,041
Henry Schein, Inc. (B)   6,594     400,388
Humana, Inc.   5,951     2,443,778
Laboratory Corp. of America Holdings (B)   4,364     765,096
McKesson Corp.   7,258     1,151,627
Quest Diagnostics, Inc.   6,053     715,949
UnitedHealth Group, Inc.   42,578     12,979,903
Universal Health Services, Inc., Class B   3,610     380,675
          34,032,727
Health care technology – 0.1%      
Cerner Corp.   14,116     1,029,056
Life sciences tools and services – 1.1%      
Agilent Technologies, Inc.   13,852     1,220,915
Illumina, Inc. (B)   6,580     2,388,869
IQVIA Holdings, Inc. (B)   8,077     1,207,673
Mettler-Toledo International, Inc. (B)   1,090     866,550
PerkinElmer, Inc.   4,973     499,637
Thermo Fisher Scientific, Inc.   17,948     6,267,262
Waters Corp. (B)   2,884     576,367
          13,027,273
Pharmaceuticals – 3.6%      
Bristol-Myers Squibb Company   84,405     5,040,667
Eli Lilly & Company   30,422     4,653,045
Johnson & Johnson   94,763     14,095,996
U.S. Sector Rotation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Merck & Company, Inc.   91,671   $ 7,399,683
Mylan NV (B)   18,583     317,212
Perrigo Company PLC   4,900     268,373
Pfizer, Inc.   199,262     7,609,816
Zoetis, Inc.   17,149     2,390,399
          41,775,191
          162,407,274
Industrials – 8.3%          
Aerospace and defense – 1.6%      
General Dynamics Corp.   9,740     1,430,124
Howmet Aerospace, Inc.   16,099     210,575
Huntington Ingalls Industries, Inc.   1,700     339,813
L3Harris Technologies, Inc.   9,188     1,832,547
Lockheed Martin Corp.   10,317     4,007,535
Northrop Grumman Corp.   6,514     2,183,493
Raytheon Technologies Corp.   61,010     3,936,365
Textron, Inc.   9,488     293,843
The Boeing Company   22,222     3,241,079
TransDigm Group, Inc.   2,070     879,377
          18,354,751
Air freight and logistics – 0.6%      
C.H. Robinson Worldwide, Inc.   7,551     612,613
Expeditors International of Washington, Inc.   9,508     726,126
FedEx Corp.   13,402     1,749,765
United Parcel Service, Inc., Class B   39,125     3,901,154
          6,989,658
Airlines – 0.2%      
Alaska Air Group, Inc. (A)   6,877     235,125
American Airlines Group, Inc. (A)   21,767     228,554
Delta Air Lines, Inc.   32,137     810,174
Southwest Airlines Company   29,412     944,125
United Airlines Holdings, Inc. (A)(B)   13,917     390,233
          2,608,211
Building products – 0.3%      
Allegion PLC   2,930     292,121
AO Smith Corp.   4,322     205,295
Carrier Global Corp. (B)   25,588     523,786
Fortune Brands Home & Security, Inc.   4,389     267,553
Johnson Controls International PLC   24,329     764,174
Masco Corp.   8,959     417,937
Trane Technologies PLC   7,556     681,627
          3,152,493
Commercial services and supplies – 0.4%      
Cintas Corp.   3,651     905,302
Copart, Inc. (B)   8,908     796,286
Republic Services, Inc.   9,172     783,839
Rollins, Inc.   6,131     256,276
Waste Management, Inc.   16,996     1,814,323
          4,556,026
Construction and engineering – 0.1%      
Jacobs Engineering Group, Inc.   8,487     713,078
Quanta Services, Inc.   8,912     329,120
          1,042,198
Electrical equipment – 0.5%      
AMETEK, Inc.   11,232     1,030,087
Eaton Corp. PLC   20,313     1,724,574
Emerson Electric Company   29,931     1,826,390
Rockwell Automation, Inc.   5,677     1,227,140
          5,808,191
 
  112  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

U.S. Sector Rotation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Industrial conglomerates – 1.5%      
3M Company   33,549   $ 5,248,406
General Electric Company   509,512     3,347,494
Honeywell International, Inc.   41,686     6,079,903
Roper Technologies, Inc.   6,071     2,390,760
          17,066,563
Machinery – 1.4%      
Caterpillar, Inc.   23,722     2,849,724
Cummins, Inc.   6,576     1,115,290
Deere & Company   13,516     2,056,054
Dover Corp.   6,235     606,354
Flowserve Corp.   5,617     146,604
Fortive Corp.   12,685     773,531
IDEX Corp.   3,265     520,343
Illinois Tool Works, Inc.   12,554     2,165,063
Ingersoll Rand, Inc. (B)   14,853     418,855
Otis Worldwide Corp.   17,413     916,794
PACCAR, Inc.   14,847     1,096,599
Parker-Hannifin Corp.   5,514     992,355
Pentair PLC   7,215     282,395
Snap-on, Inc.   2,354     305,290
Stanley Black & Decker, Inc.   6,525     818,561
Wabtec Corp.   7,817     477,384
Xylem, Inc.   7,730     512,808
          16,054,004
Professional services – 0.3%      
Equifax, Inc.   5,272     809,568
IHS Markit, Ltd.   17,462     1,212,911
Nielsen Holdings PLC   15,492     215,184
Robert Half International, Inc.   5,119     259,738
Verisk Analytics, Inc.   7,136     1,232,244
          3,729,645
Road and rail – 1.2%      
CSX Corp.   43,418     3,107,860
J.B. Hunt Transport Services, Inc.   4,760     569,629
Kansas City Southern   5,534     832,978
Norfolk Southern Corp.   14,558     2,595,546
Old Dominion Freight Line, Inc.   5,348     914,989
Union Pacific Corp.   38,759     6,583,604
          14,604,606
Trading companies and distributors – 0.2%      
Fastenal Company   23,499     969,569
United Rentals, Inc. (B)   3,079     427,642
W.W. Grainger, Inc.   1,788     553,601
          1,950,812
          95,917,158
Information technology – 24.4%          
Communications equipment – 1.0%      
Arista Networks, Inc. (B)   2,358     550,499
Cisco Systems, Inc.   184,418     8,818,869
F5 Networks, Inc. (B)   2,643     383,024
Juniper Networks, Inc.   14,549     352,959
Motorola Solutions, Inc.   7,448     1,007,938
          11,113,289
Electronic equipment, instruments and components – 0.5%      
Amphenol Corp., Class A   12,889     1,244,562
CDW Corp.   6,246     692,744
Corning, Inc.   33,434     761,961
FLIR Systems, Inc.   5,832     269,438
IPG Photonics Corp. (B)   1,546     240,248
Keysight Technologies, Inc. (B)   8,154     881,692
TE Connectivity, Ltd.   14,540     1,181,375
U.S. Sector Rotation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electronic equipment, instruments and
components (continued)
     
Zebra Technologies Corp., Class A (B)   2,344   $ 612,534
          5,884,554
IT services – 5.5%      
Accenture PLC, Class A   27,660     5,576,809
Akamai Technologies, Inc. (B)   7,038     744,620
Alliance Data Systems Corp.   1,785     82,699
Automatic Data Processing, Inc.   18,846     2,760,751
Broadridge Financial Solutions, Inc.   4,993     604,652
Cognizant Technology Solutions Corp., Class A   23,849     1,263,997
DXC Technology Company   11,150     158,442
Fidelity National Information Services, Inc.   26,769     3,716,340
Fiserv, Inc. (B)   24,875     2,655,904
FleetCor Technologies, Inc. (B)   3,780     921,526
Gartner, Inc. (B)   3,896     474,143
Global Payments, Inc.   13,090     2,349,524
IBM Corp.   38,574     4,817,893
Jack Henry & Associates, Inc.   3,351     606,062
Leidos Holdings, Inc.   5,796     610,261
Mastercard, Inc., Class A   38,665     11,633,912
Paychex, Inc.   13,875     1,002,885
PayPal Holdings, Inc. (B)   51,142     7,927,521
The Western Union Company   18,259     365,545
VeriSign, Inc. (B)   4,500     985,545
Visa, Inc., Class A   74,559     14,556,899
          63,815,930
Semiconductors and semiconductor equipment – 4.6%      
Advanced Micro Devices, Inc. (B)   52,795     2,840,371
Analog Devices, Inc.   16,624     1,877,681
Applied Materials, Inc.   41,696     2,342,481
Broadcom, Inc.   17,905     5,215,189
Intel Corp.   196,348     12,356,180
KLA Corp.   7,122     1,253,187
Lam Research Corp.   6,548     1,791,991
Maxim Integrated Products, Inc.   12,214     704,504
Microchip Technology, Inc. (A)   10,787     1,035,768
Micron Technology, Inc. (B)   49,969     2,394,015
NVIDIA Corp.   27,624     9,807,072
Qorvo, Inc. (B)   5,244     549,257
QUALCOMM, Inc.   51,540     4,168,555
Skyworks Solutions, Inc.   7,690     911,573
Texas Instruments, Inc.   42,193     5,009,997
Xilinx, Inc.   11,350     1,043,633
          53,301,454
Software – 7.5%      
Adobe, Inc. (B)   19,244     7,439,730
ANSYS, Inc. (B)   3,402     962,766
Autodesk, Inc. (B)   8,747     1,840,194
Cadence Design Systems, Inc. (B)   11,155     1,018,340
Citrix Systems, Inc.   4,572     677,205
Fortinet, Inc. (B)   5,643     785,506
Intuit, Inc.   10,348     3,004,231
Microsoft Corp.   303,281     55,576,243
NortonLifeLock, Inc.   22,793     519,225
Oracle Corp.   86,127     4,631,049
Paycom Software, Inc. (B)   1,950     579,599
salesforce.com, Inc. (B)   35,262     6,163,445
ServiceNow, Inc. (B)   7,498     2,908,699
Synopsys, Inc. (B)   5,976     1,081,118
          87,187,350
Technology hardware, storage and peripherals – 5.3%      
Apple, Inc.   181,565     57,726,770
 
  113  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

U.S. Sector Rotation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Technology hardware, storage and peripherals (continued)      
Hewlett Packard Enterprise Company   56,251   $ 546,197
HP, Inc.   64,421     975,334
NetApp, Inc.   9,921     441,881
Seagate Technology PLC   10,050     533,052
Western Digital Corp.   12,929     573,660
Xerox Holdings Corp.   8,081     128,326
          60,925,220
          282,227,797
Materials – 3.3%          
Chemicals – 2.3%      
Air Products & Chemicals, Inc.   12,946     3,128,401
Albemarle Corp. (A)   6,227     476,490
Celanese Corp.   7,099     638,271
CF Industries Holdings, Inc.   12,769     375,026
Corteva, Inc.   43,955     1,200,411
Dow, Inc.   43,549     1,680,991
DuPont de Nemours, Inc.   43,509     2,207,212
Eastman Chemical Company   7,986     543,687
Ecolab, Inc.   14,728     3,130,878
FMC Corp.   7,612     749,097
International Flavors & Fragrances, Inc. (A)   6,271     835,234
Linde PLC   31,550     6,383,827
LyondellBasell Industries NV, Class A   15,078     961,373
PPG Industries, Inc.   13,888     1,411,993
The Mosaic Company   20,534     248,256
The Sherwin-Williams Company   4,825     2,865,326
          26,836,473
Construction materials – 0.2%      
Martin Marietta Materials, Inc.   3,671     705,162
Vulcan Materials Company   7,774     842,080
          1,547,242
Containers and packaging – 0.4%      
Amcor PLC   95,157     971,553
Avery Dennison Corp.   4,904     542,726
Ball Corp.   19,213     1,369,118
International Paper Company   23,030     784,172
Packaging Corp. of America   5,559     563,738
Sealed Air Corp.   9,074     291,275
Westrock Company   15,147     425,025
          4,947,607
Metals and mining – 0.4%      
Freeport-McMoRan, Inc.   85,214     772,891
Newmont Corp.   48,151     2,815,389
Nucor Corp.   17,808     752,566
          4,340,846
          37,672,168
Real estate – 2.7%          
Equity real estate investment trusts – 2.7%      
Alexandria Real Estate Equities, Inc.   5,366     824,862
American Tower Corp.   19,386     5,004,884
Apartment Investment & Management Company, A Shares   6,515     240,208
AvalonBay Communities, Inc.   6,113     953,689
Boston Properties, Inc.   6,294     541,158
Crown Castle International Corp.   18,196     3,132,623
Digital Realty Trust, Inc.   11,504     1,651,514
Duke Realty Corp.   16,087     554,680
Equinix, Inc.   3,859     2,692,154
Equity Residential   15,278     925,236
Essex Property Trust, Inc.   2,892     702,091
Extra Space Storage, Inc.   5,668     548,379
U.S. Sector Rotation Fund (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
Federal Realty Investment Trust   3,074   $ 245,643
Healthpeak Properties, Inc.   21,660     533,702
Host Hotels & Resorts, Inc.   31,386     374,749
Iron Mountain, Inc.   12,566     323,700
Kimco Realty Corp.   18,479     205,302
Mid-America Apartment Communities, Inc.   4,992     580,869
Prologis, Inc.   32,310     2,956,365
Public Storage   6,575     1,333,016
Realty Income Corp.   14,999     829,595
Regency Centers Corp.   7,334     313,822
SBA Communications Corp.   4,928     1,548,033
Simon Property Group, Inc.   13,430     774,911
SL Green Realty Corp.   3,567     150,242
UDR, Inc.   12,825     474,269
Ventas, Inc.   16,314     570,174
Vornado Realty Trust   6,933     251,044
Welltower, Inc.   17,758     899,798
Weyerhaeuser Company   32,612     658,436
          30,795,148
Real estate management and development – 0.0%      
CBRE Group, Inc., Class A (B)   14,651     644,351
          31,439,499
Utilities – 2.3%          
Electric utilities – 1.5%      
Alliant Energy Corp.   7,900     389,944
American Electric Power Company, Inc.   16,236     1,384,119
Duke Energy Corp.   23,964     2,052,037
Edison International   11,787     684,943
Entergy Corp.   6,544     666,310
Evergy, Inc.   7,491     462,120
Eversource Energy   10,642     890,735
Exelon Corp.   31,954     1,224,158
FirstEnergy Corp.   17,757     750,411
NextEra Energy, Inc.   16,066     4,105,827
NRG Energy, Inc.   8,269     298,097
Pinnacle West Capital Corp.   3,695     287,841
PPL Corp.   25,238     705,150
The Southern Company   34,472     1,967,317
Xcel Energy, Inc.   17,237     1,120,922
          16,989,931
Gas utilities – 0.0%      
Atmos Energy Corp.   3,923     403,206
Independent power and renewable electricity producers –
0.0%
     
AES Corp.   21,819     272,519
Multi-utilities – 0.7%      
Ameren Corp.   8,087     604,342
CenterPoint Energy, Inc.   16,508     293,512
CMS Energy Corp.   9,329     546,493
Consolidated Edison, Inc.   10,927     820,181
Dominion Energy, Inc.   27,055     2,299,946
DTE Energy Company   6,314     679,197
NiSource, Inc.   12,277     292,561
Public Service Enterprise Group, Inc.   16,623     848,438
Sempra Energy   9,266     1,170,388
WEC Energy Group, Inc.   10,368     951,057
          8,506,115
Water utilities – 0.1%      
American Water Works Company, Inc.   5,942     754,634
          26,926,405
TOTAL COMMON STOCKS (Cost $1,049,911,873)   $ 1,126,633,686
 
  114  

John Hancock Funds II
Portfolio of Investments — May 31, 2020 (unaudited) (showing percentage of total net assets)

U.S. Sector Rotation Fund (continued)
    Shares or
Principal
Amount
  Value
PREFERRED SECURITIES – 0.0%          
Communication services – 0.0%          
Media – 0.0%      
GCI Liberty, Inc., 7.000%   361   $ 9,270
TOTAL PREFERRED SECURITIES (Cost $2,897)   $ 9,270
RIGHTS – 0.0%          
Pan American Silver Corp. (Expiration Date: 2-22-29) (B)(D)   13,589     8,831
TOTAL RIGHTS (Cost $4,020)   $ 8,831
SHORT-TERM INVESTMENTS – 2.7%      
U.S. Government Agency – 1.9%          
Federal Home Loan Bank Discount Note          
0.100%, 07/23/2020 * $ 15,000,000     14,997,183
0.122%, 08/14/2020 *   5,000,000     4,998,458
Federal National Mortgage Association Discount Note
0.105%, 07/29/2020 *
  2,700,000     2,699,435
          22,695,076
Short-term funds – 0.5%          
John Hancock Collateral Trust, 0.3653% (E)(F)   539,665     5,402,961
Repurchase agreement – 0.3%          
Repurchase Agreement with State Street Corp. dated 5-29-20 at 0.000% to be repurchased at $3,435,000 on 6-1-20, collateralized by $3,325,000 U.S. Treasury Notes, 2.000% due 11-30-22 (valued at $3,506,505) $ 3,435,000     3,435,000
TOTAL SHORT-TERM INVESTMENTS (Cost $31,529,868)   $ 31,533,037
Total Investments (U.S. Sector Rotation Fund)
(Cost $1,081,448,658) – 100.0%
  $ 1,158,184,824
Other assets and liabilities, net – 0.0%     73,220
TOTAL NET ASSETS – 100.0%   $ 1,158,258,044
U.S. Sector Rotation Fund (continued)
Security Abbreviations and Legend
(A) All or a portion of this security is on loan as of 5-31-20. The value of securities on loan amounted to $5,288,833.
(B) Non-income producing security.
(C) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(D) Strike price and/or expiration date not available.
(E) The rate shown is the annualized seven-day yield as of 5-31-20.
(F) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
* 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.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
S&P 500 Index E-Mini Futures 208 Long Jun 2020 $29,708,274 $31,597,800 $1,889,526
            $1,889,526
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
  115  

John Hancock Funds II
Portfolio of InvestmentsMay 31, 2020 (unaudited) (showing percentage of total net assets)

The following funds had the following country composition as a percentage of net assets on 5-31-20:
Capital Appreciation Fund
United States 85.3%
Canada 4.4%
China 3.6%
United Kingdom 2.3%
Netherlands 2.0%
France 1.1%
Australia 1.0%
Other countries 0.3%
TOTAL 100.0%
Health Sciences Fund
United States 85.8%
Switzerland 3.2%
Japan 2.2%
United Kingdom 2.1%
Netherlands 1.4%
Germany 1.3%
Denmark 1.3%
Other countries 2.7%
TOTAL 100.0%
High Yield Fund
United States 78.1%
Cayman Islands 4.7%
Canada 4.6%
United Kingdom 3.7%
France 2.1%
Netherlands 1.0%
Italy 1.0%
Other countries 4.8%
TOTAL 100.0%
Mid Value Fund
United States 81.6%
Canada 8.3%
Ireland 3.4%
Mexico 1.3%
Switzerland 1.2%
Other countries 4.2%
TOTAL 100.0%
Science & Technology Fund
United States 78.7%
China 7.7%
Germany 3.7%
South Korea 3.7%
Australia 1.9%
Russia 1.4%
Other countries 2.9%
TOTAL 100.0%
Strategic Equity Allocation Fund
United States 63.9%
Japan 7.7%
Canada 3.1%
China 3.1%
United Kingdom 3.0%
Switzerland 2.7%
Germany 2.3%
South Korea 1.8%
Australia 1.6%
Netherlands 1.3%
Other countries 9.5%
TOTAL 100.0%
 
The following funds had the following sector composition as a percentage of net assets on 5-31-20:
International Strategic Equity Allocation Fund
Financials 20.2%
Consumer discretionary 11.6%
Information technology 11.4%
Industrials 10.6%
Health care 10.2%
Consumer staples 8.7%
Communication services 6.9%
Materials 6.5%
Utilities 3.7%
Energy 3.7%
Real estate 2.3%
Short-term investments and other 4.2%
TOTAL 100.0%
International Value Fund
Financials 19.8%
Industrials 15.7%
Information technology 12.2%
Health care 10.7%
Consumer staples 9.7%
Consumer discretionary 8.8%
Materials 7.5%
Communication services 6.2%
Energy 3.8%
Real estate 1.1%
Utilities 0.9%
Short-term investments and other 3.6%
TOTAL 100.0%
116

John Hancock Funds II
Notes to Portfolio of 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 funds' Valuation Policies and Procedures.
In order to value the securities, the funds use 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 in open-end mutual funds, including John Hancock Collateral Trust (JHCT), are valued at their respective NAVs each business day. Debt obligations typically are 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 generally valued using evaluated prices obtained from an independent pricing vendor. 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 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 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 funds' Pricing Committee following procedures established 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 funds' Pricing Committee, following procedures established by the Board of Trustees. The funds use 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 funds use 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 funds' own 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 funds' investments as of May 31, 2020, by major security category or type:
  Total
value at
5-31-20
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Asia Pacific Total Return Bond Fund
Investments in securities:        
Assets        
Foreign government obligations $80,644,890 $80,644,890
Corporate bonds 121,651,794 121,651,794
Short-term investments 3,397,086 $3,397,086
Total investments in securities $205,693,770 $3,397,086 $202,296,684
Derivatives:        
Liabilities        
Futures $(127,024) $(127,024)
 
117

  Total
value at
5-31-20
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Capital Appreciation Fund
Investments in securities:        
Assets        
Common stocks        
Communication services $264,413,447 $235,740,682 $28,672,765
Consumer discretionary 375,773,284 356,322,720 19,450,564
Consumer staples 72,541,304 72,541,304
Financials 49,503,739 49,503,739
Health care 175,570,717 175,570,717
Industrials 63,230,831 63,230,831
Information technology 788,038,509 751,140,357 36,898,152
Real estate 12,775,284 12,775,284
Short-term investments 62,435,182 62,435,182
Total investments in securities $1,864,282,297 $1,779,260,816 $85,021,481
 
Capital Appreciation Value Fund
Investments in securities:        
Assets        
Common stocks        
Communication services $46,835,863 $46,835,863
Consumer discretionary 101,814,921 101,814,921
Consumer staples 32,235,231 32,235,231
Financials 74,173,851 74,173,851
Health care 182,043,218 162,339,790 $19,703,428
Industrials 119,749,293 119,749,293
Information technology 187,292,022 187,292,022
Materials 17,485,616 17,485,616
Utilities 101,314,533 101,314,533
Preferred securities        
Financials 19,078,280 19,078,280
Health care 13,522,911 13,522,911
Industrials 2,456,097 2,456,097
Utilities 26,095,876 26,095,876
Corporate bonds 151,548,706 151,548,706
Term loans 107,288,756 107,288,756
Short-term investments 156,011,959 156,011,959
Total investments in securities $1,338,947,133 $1,057,950,146 $280,996,987
Derivatives:        
Liabilities        
Written options $(8,127,517) $(8,127,517)
 
Core Bond Fund
Investments in securities:        
Assets        
U.S. Government and Agency obligations $1,424,966,585 $1,424,966,585
Foreign government obligations 35,933,706 35,933,706
Corporate bonds 829,613,936 829,613,936
Municipal bonds 13,974,283 13,974,283
Collateralized mortgage obligations 208,159,291 208,159,291
Asset backed securities 216,177,294 216,177,294
Short-term investments 161,313,462 $161,313,462
Total investments in securities $2,890,138,557 $161,313,462 $2,728,825,095
 
118

  Total
value at
5-31-20
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Health Sciences Fund
Investments in securities:        
Assets        
Common stocks        
Consumer discretionary $330,174 $330,174
Financials 499,075 $499,075
Health care 365,433,079 336,112,663 $28,836,085 484,331
Industrials 979,232 979,232
Preferred securities        
Consumer discretionary 737,268 737,268
Health care 2,202,507 52,253 2,150,254
Information technology 910,816 910,816
Rights 433,145 433,145
Short-term investments 4,432,659 4,432,659
Total investments in securities $375,957,955 $342,509,027 $30,986,339 $2,462,589
 
High Yield Fund
Investments in securities:        
Assets        
Foreign government obligations $1,693,095 $1,693,095
Corporate bonds 167,746,851 167,746,851
Convertible bonds 2,043,633 2,043,633
Term loans 11,652,286 11,652,286
Asset backed securities 7,903,408 7,903,408
Common stocks 1,475,763 $1,302,977 $172,786
Preferred securities 1,632,036 1,632,036
Short-term investments 609,666 609,666
Total investments in securities $194,756,738 $3,544,679 $191,039,273 $172,786
Derivatives:        
Assets        
Futures $11,415 $11,415
Forward foreign currency contracts 17,041 $17,041
Swap contracts 20,041 20,041
Liabilities        
Futures (21,678) (21,678)
Forward foreign currency contracts (56,566) (56,566)
 
International Strategic Equity Allocation Fund
Investments in securities:        
Assets        
Common stocks        
Australia $65,437,018 $65,437,018
Austria 2,834,733 2,834,733
Belgium 3,739,088 3,739,088
Brazil 12,262,330 $12,262,330
Canada 125,898,484 125,898,484
Chile 2,902,601 2,664,559 238,042
China 128,924,884 47,811,132 81,113,752
Colombia 761,963 761,963
Czech Republic 503,400 503,400
Denmark 29,362,743 29,362,743
Finland 12,796,322 12,796,322
France 44,633,216 44,633,216
Germany 92,060,982 92,060,982
Hong Kong 45,789,377 365,977 45,423,400
Hungary 1,375,383 1,375,383
119

  Total
value at
5-31-20
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
International Strategic Equity Allocation Fund (continued)
Indonesia $5,071,168 $5,071,168
Ireland 10,323,136 $409,448 9,913,688
Isle of Man 315,843 315,843
Israel 5,722,982 2,956,320 2,766,662
Italy 15,035,324 15,035,324
Japan 320,920,688 320,920,688
Luxembourg 1,741,953 1,741,953
Macau 901,629 901,629
Malaysia 6,318,184 6,318,184
Mexico 8,262,663 8,262,663
Netherlands 54,731,403 2,729,240 52,002,163
New Zealand 1,506,566 1,506,566
Norway 2,750,528 2,750,528
Peru 1,358,089 1,358,089
Philippines 3,693,212 3,692,930 $282
Poland 1,821,836 1,821,836
Portugal 1,762,077 1,762,077
Romania 153,418 153,418
Russia 97,338 97,338
Singapore 4,052,312 4,052,312
South Africa 15,272,886 15,272,886
South Korea 72,834,889 72,834,889
Spain 27,784,992 27,784,992
Sweden 30,700,954 30,700,954
Switzerland 102,976,742 102,976,742
Taiwan 49,826,212 49,826,212
Thailand 8,024,962 8,024,962
Turkey 940,706 940,706
United Arab Emirates 2,013 2,013
United Kingdom 98,991,467 876,035 98,115,432
United States 5,484,199 5,320,095 164,104
Preferred securities        
Brazil 4,663,520 4,663,520
Chile 342,519 342,519
Colombia 353,338 353,338
Germany 6,312,313 6,312,313
South Korea 4,202,090 4,202,090
Exchange-traded funds 57,805,025 57,805,025
Rights 45,502 45,502
Warrants 1,547 1,547
Short-term investments 119,362,167 69,677,291 49,684,876
Total investments in securities $1,621,750,916 $344,565,077 $1,277,185,557 $282
Derivatives:        
Assets        
Futures $9,012,413 $9,012,413
 
International Value Fund
Investments in securities:        
Assets        
Common stocks        
Australia $1,057,443 $1,057,443
Bermuda 2,210,089 $2,210,089
Canada 7,382,037 7,382,037
China 868,312 868,312
Czech Republic 626,856 626,856
Denmark 3,228,267 3,228,267
Finland 3,359,610 3,359,610
120

  Total
value at
5-31-20
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
International Value Fund (continued)
France $28,154,525 $28,154,525
Germany 13,040,840 13,040,840
Greece 1,628,423 1,628,423
Hong Kong 3,154,729 3,154,729
Hungary 1,704,106 1,704,106
India 1,197,635 $1,197,635
Indonesia 1,906,191 1,906,191
Ireland 2,722,424 2,722,424
Italy 3,453,966 3,453,966
Japan 46,576,947 46,576,947
Macau 992,730 992,730
Netherlands 9,762,183 1,210,956 8,551,227
Norway 1,914,343 1,914,343
Singapore 2,000,242 2,000,242
South Korea 9,768,882 2,026,495 7,742,387
Spain 2,504,555 2,504,555
Sweden 2,642,716 2,642,716
Switzerland 17,456,370 17,456,370
Taiwan 717,816 717,816
United Kingdom 29,813,467 4,786,741 25,026,726
United States 1,677,196 1,677,196
Short-term investments 9,513,326 9,513,326
Total investments in securities $211,036,226 $30,004,475 $181,031,751
 
Mid Cap Stock Fund
Investments in securities:        
Assets        
Common stocks        
Communication services $93,235,661 $93,235,661
Consumer discretionary 286,912,349 255,236,974 $30,554,073 $1,121,302
Consumer staples 72,772,634 72,772,634
Financials 18,275,627 18,275,627
Health care 381,769,008 361,803,095 19,965,913
Industrials 109,815,898 109,815,898
Information technology 545,832,529 545,832,529
Preferred securities 39,719,158 39,719,158
Exchange-traded funds 76,836,090 76,836,090
Warrants 129,874 129,874
Short-term investments 240,575,375 196,375,375 44,200,000
Total investments in securities $1,865,874,203 $1,730,183,883 $94,849,860 $40,840,460
 
Mid Value Fund
Investments in securities:        
Assets        
Common stocks        
Communication services $61,217,344 $61,217,344
Consumer discretionary 35,997,991 31,543,897 $4,454,094
Consumer staples 108,585,621 99,566,864 9,018,757
Energy 139,804,354 129,839,368 9,964,986
Financials 196,278,831 183,273,788 13,005,043
Health care 202,473,886 199,201,170 3,272,716
Industrials 107,266,983 103,632,098 3,634,885
Information technology 35,844,783 35,844,783
Materials 135,428,327 120,333,059 15,095,268
Real estate 78,068,002 78,068,002
Utilities 54,164,797 54,164,797
Preferred securities 3,206,108 3,206,108
121

  Total
value at
5-31-20
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Mid Value Fund (continued)
Corporate bonds $1,116,450 $1,116,450
Short-term investments 110,905,416 $110,905,416
Total investments in securities $1,270,358,893 $1,210,796,694 $59,562,199
 
Multi-Index Lifestyle Aggressive Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $228,109,939 $228,109,939
Unaffiliated investment companies 113,557,431 113,557,431
Short-term investments 151,877 151,877
Total investments in securities $341,819,247 $341,819,247
 
Multi-Index Lifestyle Balanced Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $343,521,612 $343,521,612
Unaffiliated investment companies 533,395,075 533,395,075
Short-term investments 84,532,995 84,532,995
Total investments in securities $961,449,682 $961,449,682
 
Multi-Index Lifestyle Conservative Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $19,015,124 $19,015,124
Unaffiliated investment companies 160,661,162 160,661,162
Short-term investments 5,607,920 5,607,920
Total investments in securities $185,284,206 $185,284,206
 
Multi-Index Lifestyle Growth Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $430,194,733 $430,194,733
Unaffiliated investment companies 387,470,514 387,470,514
Short-term investments 5,895,568 5,895,568
Total investments in securities $823,560,815 $823,560,815
 
Multi-Index Lifestyle Moderate Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $63,203,718 $63,203,718
Unaffiliated investment companies 182,025,892 182,025,892
Short-term investments 5,976,593 5,976,593
Total investments in securities $251,206,203 $251,206,203
 
Opportunistic Fixed Income Fund
Investments in securities:        
Assets        
U.S. Government and Agency obligations $9,723,180 $9,723,180
Foreign government obligations 18,020,516 18,020,516
Corporate bonds 2,243,178 2,243,178
Convertible bonds 7,266 7,266
Municipal bonds 643,614 643,614
122

  Total
value at
5-31-20
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Opportunistic Fixed Income Fund (continued)
Term loans $3,372,300 $3,372,300
Collateralized mortgage obligations 3,424,104 3,424,104
Asset backed securities 2,487,412 2,487,412
Exchange-traded funds 3,709,856 $3,709,856
Short-term investments 3,485,489 3,485,489
Total investments in securities $47,116,915 $7,195,345 $39,921,570
Derivatives:        
Assets        
Futures $44,957 $44,957
Forward foreign currency contracts 105,821 $105,821
Swap contracts 433,469 433,469
Liabilities        
Futures (15,780) (15,780)
Forward foreign currency contracts (196,283) (196,283)
Swap contracts (333,870) (333,870)
 
Real Estate Securities Fund
Investments in securities:        
Assets        
Common stocks $303,867,399 $303,867,399
Short-term investments 6,855,574 6,855,574
Total investments in securities $310,722,973 $310,722,973
 
Science & Technology Fund
Investments in securities:        
Assets        
Common stocks        
Communication services $59,156,991 $52,325,216 $6,831,775
Consumer discretionary 49,500,098 36,227,881 13,272,217
Health care 4,067,626 4,067,626
Industrials 1,963,452 1,963,452
Information technology 162,253,664 151,644,571 10,609,093
Real estate 160,455 160,455
Preferred securities 1,586,325 $1,586,325
Exchange-traded funds 1,271,019 1,271,019
Term loans 325,200 325,200
Short-term investments 27,232,526 22,926,526 4,306,000
Total investments in securities $307,517,356 $270,586,746 $35,344,285 $1,586,325
 
Strategic Equity Allocation Fund
Investments in securities:        
Assets        
Common stocks        
Communication services $564,132,674 $409,226,387 $154,904,542 $1,745
Consumer discretionary 726,092,766 511,749,710 214,342,577 479
Consumer staples 443,926,715 245,783,566 198,143,149
Energy 253,312,561 197,905,118 55,407,443
Financials 935,549,556 609,461,126 326,087,076 1,354
Health care 859,044,395 608,601,180 250,421,021 22,194
Industrials 681,789,458 424,664,895 257,124,563
Information technology 1,257,531,402 1,011,448,654 246,082,748
Materials 318,024,573 184,273,954 133,750,619
Real estate 219,960,456 154,956,894 65,003,562
Utilities 193,208,286 121,920,971 71,255,806 31,509
123

  Total
value at
5-31-20
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Strategic Equity Allocation Fund (continued)
Preferred securities        
Communication services $422,128 $422,128
Consumer discretionary 6,595,478 399,829 $6,195,649
Consumer staples 2,752,554 129,958 2,622,596
Energy 1,621,212 1,621,212
Financials 4,998,853 4,998,853
Health care 1,913,905 1,913,905
Information technology 5,695,383 5,695,383
Materials 1,418,250 801,550 616,700
Utilities 336,189 336,189
Exchange-traded funds 95,992,543 95,992,543
Rights 127,722 98,134 3,417 $26,171
Warrants 2,885 2,885
Short-term investments 332,643,272 173,275,738 159,367,534
Total investments in securities $6,907,093,216 $4,758,071,474 $2,148,938,290 $83,452
Derivatives:        
Assets        
Futures $9,343,642 $9,343,642
Liabilities        
Futures (51,196) (51,196)
 
U.S. High Yield Bond Fund
Investments in securities:        
Assets        
Corporate bonds $208,598,710 $208,598,710
Convertible bonds 724,319 724,319
Term loans 7,039,096 7,039,096
Rights 215,025 215,025
Escrow certificates 19,800 $19,800
Short-term investments 13,026,405 $13,026,405
Total investments in securities $229,623,355 $13,026,405 $216,577,150 $19,800
 
U.S. Sector Rotation Fund
Investments in securities:        
Assets        
Common stocks        
Communication services $120,801,397 $120,800,715 $682
Consumer discretionary 114,874,013 114,871,205 $2,808
Consumer staples 65,114,893 65,114,893
Energy 48,842,729 48,842,729
Financials 140,410,353 140,409,793 560
Health care 162,407,274 162,407,274
Industrials 95,917,158 95,917,158
Information technology 282,227,797 282,227,797
Materials 37,672,168 37,672,168
Real estate 31,439,499 31,439,499
Utilities 26,926,405 26,926,405
Preferred securities 9,270 9,270
Rights 8,831 8,831
Short-term investments 31,533,037 5,402,961 26,130,076
Total investments in securities $1,158,184,824 $1,132,050,698 $26,132,884 $1,242
Derivatives:        
Assets        
Futures $1,889,526 $1,889,526
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The following is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value. Transfers into or out of Level 3, if any, represent the beginning value of any security or instrument where a change in the level has occurred from the beginning to the end of the period and in all cases were transferred into or out of Level 2. Securities were transferred out of Level 3 since observable market data became available due to the increased market activity of these securities.
Mid Cap Stock Fund Common
stocks
Preferred
securities
Total
Balance as of 8-31-19 $7,241,730 $56,410,566 $63,652,296
Realized gain (loss) (27,360) 1,289,303 1,261,943
Change in unrealized appreciation (depreciation) (2,347,034) (13,384,706) (15,731,740)
Purchases
Sales (79,341) (4,596,005) (4,675,346)
Transfers into Level 3
Transfers out of Level 3 (3,666,693) (3,666,693)
Balance as of 5-31-20 $1,121,302 $39,719,158 $40,840,460
Change in unrealized at period end1 $160,092 $(13,384,706) $(13,224,614)
   
1 Change in unrealized appreciation (depreciation) attributable to Level 3 securities held at period end.
The valuation techniques and significant amounts of unobservable inputs used in the fair value measurement of the funds' Level 3 securities are outlined in the table below.
Mid Cap Stock Fund Fair Value
at 5-31-20
Valuation technique Significant
unobservable inputs
Input/Range*
Common stocks $1,121,302 Transaction Indicative of Value Prior/recent transactions $19.49
         
Preferred securities $2,426,231 Transaction Indicative of Value
Option Model
Prior/recent transactions
Probability weighting
OPM - Volatility
Discount
$12.52
70.0%
40.0%
20.0%
  20,417,581 Market Comparable EV to revenue multiple
Discount
1.32x - 1.81x (weighted average 1.55x)
17.5%
  2,503,869 Transaction Indicative of Value Prior/recent transactions $19.49
  14,286,715 Market Comparable EV to revenue multiple
Discount
OPM - Volatility
3.17x - 5.54x (weighted average 4.14x)
25.0%
20.0% - 45.0% (weighted average 36.9%)
  84,762 Recovery Value Expected future value
Discount
$0.36
55.0%
  $39,719,158      
         
Total $40,840,460      
         
* A weighted average is an average in which each input in the grouping is assigned a weighting before summing to a single average value. The weighting of the input is determined based on a security’s fair value as a percentage of the total fair value.
A change to unobservable inputs of the funds' Level 3 securities as of May 31, 2020, could have resulted in changes to the fair value measurement, as follows:
Significant Unobservable Input Impact to Valuation
if input had increased
Impact to Valuation
if input had decreased
Discount Decrease Increase
Enterprise value (“EV”) to revenue multiple Increase Decrease
Expected future value Increase Decrease
Options Pricing Method (OPM) - Volatility Variable Variable
Prior/recent transactions Increase Decrease
Probability weighting Variable Variable
Investment in affiliated underlying funds. John Hancock Multi-Index Lifestyle Portfolios invest primarily in affiliated underlying funds that are managed by the Advisor and its affiliates. The funds do not invest in the affiliated underlying funds for the purpose of exercising management or control; however, the funds' investment may represent a significant portion of each underlying funds' net assets.
Information regarding the funds' fiscal year to date purchases and sales of the affiliated underlying funds as well as income and capital gains earned by the funds, if any, is as follows:
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              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
Capital Appreciation Fund
John Hancock Collateral Trust 6,236,222 $25,457,039 $534,260,976 $(497,346,762) $35,662 $28,267 $266,719 $62,435,182
Capital Appreciation Value Fund
John Hancock Collateral Trust 175,654 $141,521,311 $(139,769,594) $6,447 $434 $35,489 $1,758,598
Core Bond Fund
John Hancock Collateral Trust 303,211 $1,019,314 $10,257,558 $(8,240,373) $(1,045) $207 $3,904 $3,035,661
High Yield Fund
John Hancock Collateral Trust 39,454 $877,204 $21,031,575 $(21,508,538) $(5,324) $84 $18,216 $395,001
International Strategic Equity Allocation Fund
John Hancock Collateral Trust 6,959,586 $343,149,925 $(273,531,625) $(7,944) $66,935 $399,327 $69,677,291
International Value Fund
John Hancock Collateral Trust 476,672 $937,826 $35,481,180 $(31,652,366) $5,711 $(51) $14,646 $4,772,300
Mid Cap Stock Fund
John Hancock Collateral Trust 19,614,588 $26,551,791 $723,451,354 $(553,752,334) $3,846 $120,718 $1,285,236 $196,375,375
Mid Value Fund
John Hancock Collateral Trust 9,787,175 $10,825,459 $349,794,822 $(262,665,542) $(5,835) $37,360 $166,578 $97,986,264
Multi-Index Lifestyle Aggressive Portfolio
John Hancock Collateral Trust $196,179,776 $(196,185,586) $5,810 $24,073
Strategic Equity Allocation 20,946,735 $226,266,576 31,841,234 (24,414,377) (4,550,330) $(1,033,164) 5,177,603 $2,568,488 $228,109,939
          $(4,544,520) $(1,033,164) $5,201,676 $2,568,488 $228,109,939
Multi-Index Lifestyle Balanced Portfolio
John Hancock Collateral Trust 8,443,316 $53,581,782 $742,819,956 $(711,756,718) $(151,007) $37,929 $332,748 $84,531,942
Strategic Equity Allocation 31,544,684 343,540,970 46,803,331 (41,784,891) (6,098,931) 1,061,133 7,719,979 $3,829,702 343,521,612
          $(6,249,938) $1,099,062 $8,052,727 $3,829,702 $428,053,554
Multi-Index Lifestyle Conservative Portfolio
John Hancock Collateral Trust 560,031 $12,589,826 $193,773,437 $(200,739,245) $(28,235) $11,084 $111,972 $5,606,867
Strategic Equity Allocation 1,746,109 20,951,644 6,898,210 (8,785,252) (1,330,089) 1,280,611 436,120 $216,349 19,015,124
          $(1,358,324) $1,291,695 $548,092 $216,349 $24,621,991
Multi-Index Lifestyle Growth Portfolio
John Hancock Collateral Trust 534,675 $16,547,429 $521,645,441 $(532,851,031) $4,108 $7,059 $189,289 $5,353,006
Strategic Equity Allocation 39,503,649 434,224,242 46,830,496 (42,252,832) (7,181,368) (1,425,805) 9,856,695 $4,889,677 430,194,733
          $(7,177,260) $(1,418,746) $10,045,984 $4,889,677 $435,547,739
Multi-Index Lifestyle Moderate Portfolio
John Hancock Collateral Trust 583,343 $12,169,739 $302,570,637 $(308,909,502) $391 $8,993 $118,201 $5,840,258
Strategic Equity Allocation 5,803,831 66,838,092 13,821,099 (16,870,256) (2,429,013) 1,843,796 1,454,913 $721,748 63,203,718
          $(2,428,622) $1,852,789 $1,573,114 $721,748 $69,043,976
Real Estate Securities Fund
John Hancock Collateral Trust 187,867 $27,540,771 $(25,660,381) $(1,633) $2,116 $3,804 $1,880,873
126

              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
Science & Technology Fund
John Hancock Collateral Trust 1,228,209 $9,739,733 $82,687,457 $(80,137,918) $941 $6,247 $51,240 $12,296,460
Strategic Equity Allocation Fund
John Hancock Collateral Trust 17,307,324 $80,031,817 $993,671,078 $(900,579,176) $(35,599) $187,618 $1,604,699 $173,275,738
U.S. High Yield Bond Fund
John Hancock Collateral Trust 694,972 $12,857,869 $58,598,181 $(64,497,661) $(7,263) $6,727 $91,496 $6,957,853
U.S. Sector Rotation Fund
John Hancock Collateral Trust 539,665 $4,141,717 $32,613,748 $(31,355,943) $(466) $3,905 $43,063 $5,402,961
Restricted securities. The funds may hold restricted securities which are restricted as to resale and the funds have limited rights to registration under the Securities Act of 1933. Disposal may involve time-consuming negotiations and expenses, and prompt sale at an acceptable price may be difficult to achieve. The following table summarizes the restricted securities held at May 31, 2020:
Issuer,
Description
Original
acquisition date
Acquisition
cost
Beginning
share
amount
Shares
purchased
Shares
sold
Ending
share
amount
Value as a
percentage of
net assets
Ending
value
Health Sciences Fund                
Acerta Pharma BV, Class B 2-8-16 $146,475 4,892,850 4,892,850 0.1% $463,842
Doximity, Inc. 4-10-14 307,268 63,738 63,738 0.2% 910,816
JAND, Inc., Class A 4-23-15 194,538 16,938 16,938 0.1% 330,174
JAND, Inc., Series D 4-23-15 434,397 37,822 37,822 0.2% 737,268
                $2,442,100
High Yield Fund                
KCAD Holdings I, Ltd. 3-21-11 $6,150,520 752,218,031 752,218,031 0.0%* $752
MWO Holdings LLC 8-30-16 1,116,559 1,134 1,134 0.0%* 65,851
New Cotai, Inc., Class B 4-12-13 11 11 0.0%
                $66,603
Mid Cap Stock Fund                
Coupang LLC 11-20-14 $4,300,618 2,300,670 (919,221) 1,381,449 0.6% $10,830,560
DraftKings, Inc. (Common stock) 12-4-14 3,652,759 819,041 819,041 1.8% 30,554,073
DraftKings, Inc. (Warrant) 12-4-14 13,933 4,973 4,973 0.0%* 129,874
Essence Group Holdings Corp. 5-1-14 5,083,384 2,958,957 2,958,957 0.5% 9,587,021
JAND, Inc., Class A 4-23-15 635,744 57,523 57,523 0.1% 1,121,302
JAND, Inc., Series D 4-23-15 1,419,614 128,449 128,449 0.2% 2,503,869
Lookout, Inc., Series F 7-31-14 4,276,874 392,767 392,767 0.2% 2,769,007
MarkLogic Corp., Series F 4-27-15 6,431,120 580,011 580,011 0.4% 6,414,922
The Honest Company, Inc., Series C 8-20-14 3,966,620 142,030 142,030 0.3% 4,611,714
The Honest Company, Inc., Series D 8-3-15 490,560 12,795 12,795 0.0%* 491,072
The We Company, Inc., Series D1 12-8-14 3,335,927 184,328 184,328 0.1% 1,292,139
The We Company, Inc., Series D2 12-8-14 3,472,011 161,782 161,782 0.1% 1,134,092
                $71,439,645
Science & Technology Fund                
Airbnb, Inc., Series E 7-14-15 $1,526,562 16,398 16,398 0.3% $901,890
DiDi Chuxing, Inc. 10-19-15 460,705 16,798 16,798 0.3% 684,435
                $1,586,325
* Less than 0.05%.
For additional information on the funds' significant accounting policies and risks, please refer to the funds' most recent semiannual or annual shareholder report and prospectus.
127