NPORT-P
    false
    
      
      
        
          0000756913
          XXXXXXXX
        
      
      
      
      
        S000021933
        C000063027
        C000063028
        C000063026
      
      
      
    
  
  
    
      John Hancock Variable Insurance Trust
      811-04146
      0000756913
      Z5DUWKEPW78QKD87GA06
      200 Berkeley Street
      Boston
      
      02116
      617-663-4497
      Capital Appreciation Value Trust
      S000021933
      549300PRBTNX4HDWKZ02
      2022-12-31
      2022-03-31
      N
    
    
      481603146.430000000000
      3701609.890000000000
      477901536.540000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      264000.000000000000
      0.000000000000
      0.000000000000
      130218.850000000000
      
        
          EUR
          
          
        
        
          USD
          
          
        
      
      
      
      
        
        
        
        
        
      
      N
      
        
          
          
          
        
        
          
            
            
            
            
              
              
              
            
          
        
        
        
        
      
      
      
      
      
    
    
      
        93671247 TROWE EQUITYOPTION---20230120
        N/A
        93671247 TROWE EQUITYOPTION---20230120
        OP001FL10
        
          
        
        5
        NC
        USD
        -3831.58
        -0.0008017509
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Intercontinental Exchange Inc
                Intercontinental Exchange Inc
                
                  
                
              
            
            100
            140.000000000000
            USD
            2023-01-20
            XXXX
            -596.580000000000
          
        
        
          N
          N
          N
        
      
      
        93964043 TROWE EQUITYOPTION---20230120
        N/A
        93964043 TROWE EQUITYOPTION---20230120
        OP001H399
        
          
        
        3
        NC
        USD
        -1251.82
        -0.0002619410
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                General Electric Company
                General Electric Company
                
                  
                
              
            
            100
            110.000000000000
            USD
            2023-01-20
            XXXX
            1363.430000000000
          
        
        
          N
          N
          N
        
      
      
        94026232 TROWE EQUITYOPTION---20230120
        N/A
        94026232 TROWE EQUITYOPTION---20230120
        OP001H6F2
        
          
        
        46
        NC
        USD
        -19194.53
        -0.0040164194
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                General Electric Company
                General Electric Company
                
                  
                
              
            
            100
            110.000000000000
            USD
            2023-01-20
            XXXX
            18574.690000000000
          
        
        
          N
          N
          N
        
      
      
        94026240 TROWE EQUITYOPTION---20230120
        N/A
        94026240 TROWE EQUITYOPTION---20230120
        OP001H6G0
        
          
        
        46
        NC
        USD
        -14294.93
        -0.0029911873
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                General Electric Company
                General Electric Company
                
                  
                
              
            
            100
            115.000000000000
            USD
            2023-01-20
            XXXX
            16560.030000000000
          
        
        
          N
          N
          N
        
      
      
        93973827 TROWE EQUITYOPTION---20230120
        N/A
        93973827 TROWE EQUITYOPTION---20230120
        OP001H6L9
        
          
        
        1
        NC
        USD
        -17323.22
        -0.0036248513
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Amazon.com, Inc.
                Amazon.com, Inc.
                
                  
                
              
            
            100
            3800.000000000000
            USD
            2023-01-20
            XXXX
            63.770000000000
          
        
        
          N
          N
          N
        
      
      
        93665564 EQUITYOPTION---20230120
        N/A
        93665564 EQUITYOPTION---20230120
        OP001FLD4
        
          
        
        5
        NC
        USD
        -992.63
        -0.0002077060
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Otis Worldwide, Corp.
                Otis Worldwide, Corp.
                
                  
                
              
            
            100
            90.000000000000
            USD
            2023-01-20
            XXXX
            1417.370000000000
          
        
        
          N
          N
          N
        
      
      
        93665508 EQUITYOPTION---20230120
        N/A
        93665508 EQUITYOPTION---20230120
        OP001FLL6
        
          
        
        12
        NC
        USD
        -27192.59
        -0.0056899984
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                Dollar General Corp.
                Dollar General Corp.
                
                  
                
              
            
            100
            220.000000000000
            USD
            2023-01-20
            XXXX
            -4344.590000000000
          
        
        
          N
          N
          N
        
      
      
        93973811 TROWE EQUITYOPTION---20230120
        N/A
        93973811 TROWE EQUITYOPTION---20230120
        OP001H6M7
        
          
        
        1
        NC
        USD
        -20288.21
        -0.0042452699
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Amazon.com, Inc.
                Amazon.com, Inc.
                
                  
                
              
            
            100
            3700.000000000000
            USD
            2023-01-20
            XXXX
            -28.580000000000
          
        
        
          N
          N
          N
        
      
      
        93973819 TROWE EQUITYOPTION---20230120
        N/A
        93973819 TROWE EQUITYOPTION---20230120
        OP001H6N5
        
          
        
        1
        NC
        USD
        -23646.1
        -0.0049479021
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Amazon.com, Inc.
                Amazon.com, Inc.
                
                  
                
              
            
            100
            3600.000000000000
            USD
            2023-01-20
            XXXX
            -232.060000000000
          
        
        
          N
          N
          N
        
      
      
        93665596 EQUITYOPTION---20230120
        N/A
        93665596 EQUITYOPTION---20230120
        OP001FLP7
        
          
        
        6
        NC
        USD
        -1009.73
        -0.0002112841
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Abbott Laboratories
                Abbott Laboratories
                
                  
                
              
            
            100
            150.000000000000
            USD
            2023-01-20
            XXXX
            2203.630000000000
          
        
        
          N
          N
          N
        
      
      
        93671239 TROWE EQUITYOPTION---20230120
        N/A
        93671239 TROWE EQUITYOPTION---20230120
        OP001FLX0
        
          
        
        5
        NC
        USD
        -4982.15
        -0.0010425055
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Intercontinental Exchange Inc
                Intercontinental Exchange Inc
                
                  
                
              
            
            100
            135.000000000000
            USD
            2023-01-20
            XXXX
            -822.150000000000
          
        
        
          N
          N
          N
        
      
      
        94042084 TROWE EQUITYOPTION---20230120
        N/A
        94042084 TROWE EQUITYOPTION---20230120
        OP001H8R4
        
          
        
        39
        NC
        USD
        -16273.62
        -0.0034052245
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                General Electric Company
                General Electric Company
                
                  
                
              
            
            100
            110.000000000000
            USD
            2023-01-20
            XXXX
            16194.270000000000
          
        
        
          N
          N
          N
        
      
      
        94042092 TROWE EQUITYOPTION---20230120
        N/A
        94042092 TROWE EQUITYOPTION---20230120
        OP001H8S2
        
          
        
        39
        NC
        USD
        -12119.62
        -0.0025360077
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                General Electric Company
                General Electric Company
                
                  
                
              
            
            100
            115.000000000000
            USD
            2023-01-20
            XXXX
            14427.680000000000
          
        
        
          N
          N
          N
        
      
      
        93665580 EQUITYOPTION---20230120
        N/A
        93665580 EQUITYOPTION---20230120
        OP001FM43
        
          
        
        6
        NC
        USD
        -2577.23
        -0.0005392805
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Abbott Laboratories
                Abbott Laboratories
                
                  
                
              
            
            100
            135.000000000000
            USD
            2023-01-20
            XXXX
            3122.650000000000
          
        
        
          N
          N
          N
        
      
      
        93671231 TROWE EQUITYOPTION---20230120
        N/A
        93671231 TROWE EQUITYOPTION---20230120
        OP001FM68
        
          
        
        5
        NC
        USD
        -6318.72
        -0.0013221803
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Intercontinental Exchange Inc
                Intercontinental Exchange Inc
                
                  
                
              
            
            100
            130.000000000000
            USD
            2023-01-20
            XXXX
            -1133.720000000000
          
        
        
          N
          N
          N
        
      
      
        93990971 TROWE EQUITYOPTION---20230120
        N/A
        93990971 TROWE EQUITYOPTION---20230120
        OP001J3Q7
        
          
        
        3
        NC
        USD
        -595.58
        -0.0001246240
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Otis Worldwide, Corp.
                Otis Worldwide, Corp.
                
                  
                
              
            
            100
            90.000000000000
            USD
            2023-01-20
            XXXX
            93.460000000000
          
        
        
          N
          N
          N
        
      
      
        93990979 TROWE EQUITYOPTION---20230120
        N/A
        93990979 TROWE EQUITYOPTION---20230120
        OP001J3Y0
        
          
        
        3
        NC
        USD
        -991.19
        -0.0002074046
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Otis Worldwide, Corp.
                Otis Worldwide, Corp.
                
                  
                
              
            
            100
            85.000000000000
            USD
            2023-01-20
            XXXX
            -140.090000000000
          
        
        
          N
          N
          N
        
      
      
        93665588 EQUITYOPTION---20230120
        N/A
        93665588 EQUITYOPTION---20230120
        OP001FM92
        
          
        
        6
        NC
        USD
        -1385.95
        -0.0002900074
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Abbott Laboratories
                Abbott Laboratories
                
                  
                
              
            
            100
            145.000000000000
            USD
            2023-01-20
            XXXX
            2586.230000000000
          
        
        
          N
          N
          N
        
      
      
        93665460 EQUITYOPTION---20230120
        N/A
        93665460 EQUITYOPTION---20230120
        OP001FMC5
        
          
        
        3
        NC
        USD
        -3680
        -0.0007700331
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                McDonald's Corp
                McDonald's Corp
                
                  
                
              
            
            100
            260.000000000000
            USD
            2023-01-20
            XXXX
            1717.960000000000
          
        
        
          N
          N
          N
        
      
      
        93710423 TROWE EQUITYOPTION---20230120
        N/A
        93710423 TROWE EQUITYOPTION---20230120
        OP001FP08
        
          
        
        6
        NC
        USD
        -3978.4
        -0.0008324727
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Ross Stores, Inc.
                Ross Stores, Inc.
                
                  
                
              
            
            100
            100.000000000000
            USD
            2023-01-20
            XXXX
            2136.680000000000
          
        
        
          N
          N
          N
        
      
      
        93665532 TROWE EQUITYOPTION---20220715
        N/A
        93665532 TROWE EQUITYOPTION---20220715
        OP001FPB4
        
          
        
        7
        NC
        USD
        -3212.37
        -0.0006721824
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                Republic Services, Inc.
                Republic Services, Inc.
                
                  
                
              
            
            100
            135.000000000000
            USD
            2022-07-15
            XXXX
            -596.820000000000
          
        
        
          N
          N
          N
        
      
      
        93665548 TROWE EQUITYOPTION---20220715
        N/A
        93665548 TROWE EQUITYOPTION---20220715
        OP001FPD0
        
          
        
        7
        NC
        USD
        -1075.46
        -0.0002250380
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                Republic Services, Inc.
                Republic Services, Inc.
                
                  
                
              
            
            100
            145.000000000000
            USD
            2022-07-15
            XXXX
            -117.160000000000
          
        
        
          N
          N
          N
        
      
      
        93710415 TROWE EQUITYOPTION---20230120
        N/A
        93710415 TROWE EQUITYOPTION---20230120
        OP001FPM0
        
          
        
        6
        NC
        USD
        -5098.59
        -0.0010668704
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Ross Stores, Inc.
                Ross Stores, Inc.
                
                  
                
              
            
            100
            95.000000000000
            USD
            2023-01-20
            XXXX
            2124.450000000000
          
        
        
          N
          N
          N
        
      
      
        Project Boost Purchaser LLC
        N/A
        PROJECT BOOST PURCHASER LLC 2021 INCREMENTAL TERM LOAN
        74339NAE6
        
          
          
        
        173687.5
        PA
        USD
        171516.41
        0.0358894870
        Long
        LON
        CORP
        US
        N
        
        2
        
          2026-05-30
          Floating
          4.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Public Service Enterprise Group Incorporated
        PUSS41EMO3E6XXNV3U28
        PUBLIC SERVICE ENTERPRISE GROU COMMON STOCK
        744573106
        
          
          
        
        60184
        NS
        USD
        4212880
        0.8815372368
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        93700218 TROWE EQUITYOPTION---20230120
        N/A
        93700218 TROWE EQUITYOPTION---20230120
        OP001FPS7
        
          
        
        6
        NC
        USD
        -7360
        -0.0015400662
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                McDonald's Corp
                McDonald's Corp
                
                  
                
              
            
            100
            260.000000000000
            USD
            2023-01-20
            XXXX
            3222.920000000000
          
        
        
          N
          N
          N
        
      
      
        93695255 TROWE EQUITYOPTION---20230120
        N/A
        93695255 TROWE EQUITYOPTION---20230120
        OP001FPX6
        
          
        
        13
        NC
        USD
        -2187.74
        -0.0004577805
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Abbott Laboratories
                Abbott Laboratories
                
                  
                
              
            
            100
            150.000000000000
            USD
            2023-01-20
            XXXX
            3001.730000000000
          
        
        
          N
          N
          N
        
      
      
        RealPage Inc.
        5493001RSFZX4122A604
        REALPAGE INC 1ST LIEN TERM LOAN
        75605VAD4
        
          
          
        
        1417875
        PA
        USD
        1400009.78
        0.2929494201
        Long
        LON
        CORP
        US
        N
        
        2
        
          2028-04-24
          Floating
          3.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        RealPage Inc.
        5493001RSFZX4122A604
        REALPAGE INC SECOND LIEN TERM LOAN
        75605VAG7
        
          
          
        
        75000
        PA
        USD
        75093.75
        0.0157132263
        Long
        LON
        CORP
        US
        N
        
        2
        
          2029-04-23
          Floating
          7.25
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        93587579 TROWE EQUITYOPTION---20230120
        N/A
        93587579 TROWE EQUITYOPTION---20230120
        OP001FPY4
        
          
        
        19
        NC
        USD
        -5181.01
        -0.0010841166
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                Baxter International, Inc.
                Baxter International, Inc.
                
                  
                
              
            
            100
            87.500000000000
            USD
            2023-01-20
            XXXX
            6921.990000000000
          
        
        
          N
          N
          N
        
      
      
        93665772 TROWE EQUITYOPTION---20230120
        N/A
        93665772 TROWE EQUITYOPTION---20230120
        OP001FQ23
        
          
        
        4
        NC
        USD
        -10241.86
        -0.0021430900
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                CME Group, Inc.
                CME Group, Inc.
                
                  
                
              
            
            100
            230.000000000000
            USD
            2023-01-20
            XXXX
            -2853.860000000000
          
        
        
          N
          N
          N
        
      
      
        Republic Services Inc.
        NKNQHM6BLECKVOQP7O46
        REPUBLIC SERVICES INC COMMON STOCK USD.01
        760759100
        
          
          
        
        2100
        NS
        USD
        278250
        0.0582232905
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        ROWE T PRICE GOV RES FD 20340919 00000.0000000000
        N/A
        ROWE T PRICE GOV RES FD 20340919 00000.0000000000
        76105Y109
        
          
          
        
        43232766.28
        NS
        USD
        43232766.28
        9.0463752414
        Long
        STIV
        RF
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Roper Technologies Inc.
        N/A
        ROPER TECHNOLOGIES INC COMMON STOCK USD.01
        776696106
        
          
          
        
        10464
        NS
        USD
        4941414.72
        1.0339817603
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Ross Stores Inc.
        549300ENZFLPGRDFZQ60
        ROSS STORES INC COMMON STOCK USD.01
        778296103
        
          
          
        
        1800
        NS
        USD
        162828
        0.0340714535
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        93665796 TROWE EQUITYOPTION---20230120
        N/A
        93665796 TROWE EQUITYOPTION---20230120
        OP001FQ64
        
          
        
        25
        NC
        USD
        -15010.69
        -0.0031409587
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Starbucks Corporation
                Starbucks Corporation
                
                  
                
              
            
            100
            97.500000000000
            USD
            2023-01-20
            XXXX
            8414.310000000000
          
        
        
          N
          N
          N
        
      
      
        93665780 TROWE EQUITYOPTION---20230120
        N/A
        93665780 TROWE EQUITYOPTION---20230120
        OP001FQ72
        
          
        
        4
        NC
        USD
        -8096.62
        -0.0016942025
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                CME Group, Inc.
                CME Group, Inc.
                
                  
                
              
            
            100
            240.000000000000
            USD
            2023-01-20
            XXXX
            -2388.620000000000
          
        
        
          N
          N
          N
        
      
      
        92098823 TROWE EQUITYOPTION---20230120
        N/A
        92098823 TROWE EQUITYOPTION---20230120
        OP0018464
        
          
        
        15
        NC
        USD
        -15835.14
        -0.0033134733
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            365.000000000000
            USD
            2023-01-20
            XXXX
            4123.410000000000
          
        
        
          N
          N
          N
        
      
      
        92620474 TROWE EQUITYOPTION---20230120
        N/A
        92620474 TROWE EQUITYOPTION---20230120
        OP001B103
        
          
        
        1
        NC
        USD
        -8871.99
        -0.0018564473
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Amazon.com, Inc.
                Amazon.com, Inc.
                
                  
                
              
            
            100
            4200.000000000000
            USD
            2023-01-20
            XXXX
            18650.580000000000
          
        
        
          N
          N
          N
        
      
      
        92615063 TROWE EQUITYOPTION---20230120
        N/A
        92615063 TROWE EQUITYOPTION---20230120
        OP001B111
        
          
        
        1
        NC
        USD
        -6338.71
        -0.0013263632
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Amazon.com, Inc.
                Amazon.com, Inc.
                
                  
                
              
            
            100
            4400.000000000000
            USD
            2023-01-20
            XXXX
            15891.460000000000
          
        
        
          N
          N
          N
        
      
      
        92620459 TROWE EQUITYOPTION---20230120
        N/A
        92620459 TROWE EQUITYOPTION---20230120
        OP001B145
        
          
        
        1
        NC
        USD
        -12461.88
        -0.0026076250
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Amazon.com, Inc.
                Amazon.com, Inc.
                
                  
                
              
            
            100
            4000.000000000000
            USD
            2023-01-20
            XXXX
            21560.150000000000
          
        
        
          N
          N
          N
        
      
      
        93459334 TROWE EQUITYOPTION---20230120
        N/A
        93459334 TROWE EQUITYOPTION---20230120
        OP001F1M6
        
          
        
        9
        NC
        USD
        -23224.16
        -0.0048596119
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Becton Dickinson and Company
                Becton Dickinson and Company
                
                  
                
              
            
            100
            260.000000000000
            USD
            2023-01-20
            XXXX
            -1094.780000000000
          
        
        
          N
          N
          N
        
      
      
        93459369 TROWE EQUITYOPTION---20220617
        N/A
        93459369 TROWE EQUITYOPTION---20220617
        OP001F1S3
        
          
        
        27
        NC
        USD
        -6005.33
        -0.0012566040
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Ameren, Corp.
                Ameren, Corp.
                
                  
                
              
            
            100
            95.000000000000
            USD
            2022-06-17
            XXXX
            -3046.130000000000
          
        
        
          N
          N
          N
        
      
      
        93481608 TROWE EQUITYOPTION---20230120
        N/A
        93481608 TROWE EQUITYOPTION---20230120
        OP001F1Y0
        
          
        
        12
        NC
        USD
        -15296.49
        -0.0032007618
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                AMERICAN ELECTRIC POWER
                AMERICAN ELECTRIC POWER
                
                  
                
              
            
            100
            90.000000000000
            USD
            2023-01-20
            XXXX
            -7853.970000000000
          
        
        
          N
          N
          N
        
      
      
        93543960 TROWE EQUITYOPTION---20230120
        N/A
        93543960 TROWE EQUITYOPTION---20230120
        OP001F203
        
          
        
        43
        NC
        USD
        -4307.39
        -0.0009013133
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Exelon Corporation
                Exelon Corporation
                
                  
                
              
            
            100
            55.000000000000
            USD
            2023-01-20
            XXXX
            17758.490000000000
          
        
        
          N
          N
          N
        
      
      
        93481624 TROWE EQUITYOPTION---20230120
        N/A
        93481624 TROWE EQUITYOPTION---20230120
        OP001F237
        
          
        
        12
        NC
        USD
        -7755.94
        -0.0016229159
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                AMERICAN ELECTRIC POWER
                AMERICAN ELECTRIC POWER
                
                  
                
              
            
            100
            100.000000000000
            USD
            2023-01-20
            XXXX
            -4830.460000000000
          
        
        
          N
          N
          N
        
      
      
        93543976 TROWE EQUITYOPTION---20230120
        N/A
        93543976 TROWE EQUITYOPTION---20230120
        OP001F245
        
          
        
        43
        NC
        USD
        -755.26
        -0.0001580367
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Exelon Corporation
                Exelon Corporation
                
                  
                
              
            
            100
            65.000000000000
            USD
            2023-01-20
            XXXX
            6118.720000000000
          
        
        
          N
          N
          N
        
      
      
        93459350 TROWE EQUITYOPTION---20230120
        N/A
        93459350 TROWE EQUITYOPTION---20230120
        OP001F286
        
          
        
        9
        NC
        USD
        -11258.89
        -0.0023559016
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Becton Dickinson and Company
                Becton Dickinson and Company
                
                  
                
              
            
            100
            290.000000000000
            USD
            2023-01-20
            XXXX
            598.250000000000
          
        
        
          N
          N
          N
        
      
      
        93543968 TROWE EQUITYOPTION---20230120
        N/A
        93543968 TROWE EQUITYOPTION---20230120
        OP001F294
        
          
        
        43
        NC
        USD
        -1774.58
        -0.0003713275
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Exelon Corporation
                Exelon Corporation
                
                  
                
              
            
            100
            60.000000000000
            USD
            2023-01-20
            XXXX
            10755.620000000000
          
        
        
          N
          N
          N
        
      
      
        93544048 TROWE EQUITYOPTION---20220715
        N/A
        93544048 TROWE EQUITYOPTION---20220715
        OP001F2C7
        
          
        
        24
        NC
        USD
        -2172.07
        -0.0004545016
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              BANK OF AMERICA N.A.
              N/A
            
            Call
            Written
            
              
                Public Service Enterprise Group, Inc.
                Public Service Enterprise Group, Inc.
                
                  
                
              
            
            100
            75.000000000000
            USD
            2022-07-15
            XXXX
            -1376.470000000000
          
        
        
          N
          N
          N
        
      
      
        93544040 TROWE EQUITYOPTION---20220715
        N/A
        93544040 TROWE EQUITYOPTION---20220715
        OP001F2D5
        
          
        
        24
        NC
        USD
        -6132.26
        -0.0012831639
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              BANK OF AMERICA N.A.
              N/A
            
            Call
            Written
            
              
                Public Service Enterprise Group, Inc.
                Public Service Enterprise Group, Inc.
                
                  
                
              
            
            100
            70.000000000000
            USD
            2022-07-15
            XXXX
            -3132.020000000000
          
        
        
          N
          N
          N
        
      
      
        93459342 TROWE EQUITYOPTION---20230120
        N/A
        93459342 TROWE EQUITYOPTION---20230120
        OP001F2F0
        
          
        
        9
        NC
        USD
        -14597.9
        -0.0030545832
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Becton Dickinson and Company
                Becton Dickinson and Company
                
                  
                
              
            
            100
            280.000000000000
            USD
            2023-01-20
            XXXX
            -183.950000000000
          
        
        
          N
          N
          N
        
      
      
        93544032 TROWE EQUITYOPTION---20220715
        N/A
        93544032 TROWE EQUITYOPTION---20220715
        OP001F2G8
        
          
        
        24
        NC
        USD
        -13857.37
        -0.0028996287
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              BANK OF AMERICA N.A.
              N/A
            
            Call
            Written
            
              
                Public Service Enterprise Group, Inc.
                Public Service Enterprise Group, Inc.
                
                  
                
              
            
            100
            65.000000000000
            USD
            2022-07-15
            XXXX
            -6459.850000000000
          
        
        
          N
          N
          N
        
      
      
        93459361 TROWE EQUITYOPTION---20220617
        N/A
        93459361 TROWE EQUITYOPTION---20220617
        OP001F2H6
        
          
        
        27
        NC
        USD
        -14832.76
        -0.0031037272
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Ameren, Corp.
                Ameren, Corp.
                
                  
                
              
            
            100
            90.000000000000
            USD
            2022-06-17
            XXXX
            -6932.560000000000
          
        
        
          N
          N
          N
        
      
      
        93481616 TROWE EQUITYOPTION---20230120
        N/A
        93481616 TROWE EQUITYOPTION---20230120
        OP001F2M5
        
          
        
        12
        NC
        USD
        -11217.82
        -0.0023473078
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                AMERICAN ELECTRIC POWER
                AMERICAN ELECTRIC POWER
                
                  
                
              
            
            100
            95.000000000000
            USD
            2023-01-20
            XXXX
            -6424.180000000000
          
        
        
          N
          N
          N
        
      
      
        93459377 TROWE EQUITYOPTION---20220617
        N/A
        93459377 TROWE EQUITYOPTION---20220617
        OP001F2Q6
        
          
        
        27
        NC
        USD
        -1327.75
        -0.0002778292
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Ameren, Corp.
                Ameren, Corp.
                
                  
                
              
            
            100
            100.000000000000
            USD
            2022-06-17
            XXXX
            -301.750000000000
          
        
        
          N
          N
          N
        
      
      
        93601984 TROWE EQUITYOPTION---20230120
        N/A
        93601984 TROWE EQUITYOPTION---20230120
        OP001F5N0
        
          
        
        9
        NC
        USD
        -6459.73
        -0.0013516864
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Medtronic PLC
                Medtronic PLC
                
                  
                
              
            
            100
            115.000000000000
            USD
            2023-01-20
            XXXX
            128.270000000000
          
        
        
          N
          N
          N
        
      
      
        93601976 TROWE EQUITYOPTION---20230120
        N/A
        93601976 TROWE EQUITYOPTION---20230120
        OP001F5P5
        
          
        
        9
        NC
        USD
        -8692.17
        -0.0018188203
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Medtronic PLC
                Medtronic PLC
                
                  
                
              
            
            100
            110.000000000000
            USD
            2023-01-20
            XXXX
            -304.170000000000
          
        
        
          N
          N
          N
        
      
      
        93601968 TROWE EQUITYOPTION---20230120
        N/A
        93601968 TROWE EQUITYOPTION---20230120
        OP001F5Q3
        
          
        
        9
        NC
        USD
        -11329.73
        -0.0023707247
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Medtronic PLC
                Medtronic PLC
                
                  
                
              
            
            100
            105.000000000000
            USD
            2023-01-20
            XXXX
            -781.730000000000
          
        
        
          N
          N
          N
        
      
      
        93627807 TROWE EQUITYOPTION---20230120
        N/A
        93627807 TROWE EQUITYOPTION---20230120
        OP001FBF0
        
          
        
        12
        NC
        USD
        -8612.97
        -0.0018022478
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Medtronic PLC
                Medtronic PLC
                
                  
                
              
            
            100
            115.000000000000
            USD
            2023-01-20
            XXXX
            471.030000000000
          
        
        
          N
          N
          N
        
      
      
        93627799 TROWE EQUITYOPTION---20230120
        N/A
        93627799 TROWE EQUITYOPTION---20230120
        OP001FBJ2
        
          
        
        12
        NC
        USD
        -11589.56
        -0.0024250937
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Medtronic PLC
                Medtronic PLC
                
                  
                
              
            
            100
            110.000000000000
            USD
            2023-01-20
            XXXX
            -45.560000000000
          
        
        
          N
          N
          N
        
      
      
        93665572 EQUITYOPTION---20230120
        N/A
        93665572 EQUITYOPTION---20230120
        OP001FL28
        
          
        
        5
        NC
        USD
        -577.81
        -0.0001209057
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Otis Worldwide, Corp.
                Otis Worldwide, Corp.
                
                  
                
              
            
            100
            95.000000000000
            USD
            2023-01-20
            XXXX
            532.190000000000
          
        
        
          N
          N
          N
        
      
      
        93665524 EQUITYOPTION---20230120
        N/A
        93665524 EQUITYOPTION---20230120
        OP001FL69
        
          
        
        12
        NC
        USD
        -16253.89
        -0.0034010960
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                Dollar General Corp.
                Dollar General Corp.
                
                  
                
              
            
            100
            240.000000000000
            USD
            2023-01-20
            XXXX
            -2199.490000000000
          
        
        
          N
          N
          N
        
      
      
        93665516 EQUITYOPTION---20230120
        N/A
        93665516 EQUITYOPTION---20230120
        OP001FL85
        
          
        
        12
        NC
        USD
        -21233.79
        -0.0044431307
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                Dollar General Corp.
                Dollar General Corp.
                
                  
                
              
            
            100
            230.000000000000
            USD
            2023-01-20
            XXXX
            -3214.590000000000
          
        
        
          N
          N
          N
        
      
      
        93665468 EQUITYOPTION---20230120
        N/A
        93665468 EQUITYOPTION---20230120
        OP001FLQ5
        
          
        
        3
        NC
        USD
        -2575.06
        -0.0005388265
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                McDonald's Corp
                McDonald's Corp
                
                  
                
              
            
            100
            270.000000000000
            USD
            2023-01-20
            XXXX
            1578.140000000000
          
        
        
          N
          N
          N
        
      
      
        93665556 EQUITYOPTION---20230120
        N/A
        93665556 EQUITYOPTION---20230120
        OP001FM27
        
          
        
        5
        NC
        USD
        -1651.98
        -0.0003456737
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Otis Worldwide, Corp.
                Otis Worldwide, Corp.
                
                  
                
              
            
            100
            85.000000000000
            USD
            2023-01-20
            XXXX
            1758.020000000000
          
        
        
          N
          N
          N
        
      
      
        93665476 EQUITYOPTION---20230120
        N/A
        93665476 EQUITYOPTION---20230120
        OP001FM35
        
          
        
        3
        NC
        USD
        -1732.28
        -0.0003624763
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                McDonald's Corp
                McDonald's Corp
                
                  
                
              
            
            100
            280.000000000000
            USD
            2023-01-20
            XXXX
            1429.480000000000
          
        
        
          N
          N
          N
        
      
      
        93666196 TROWE EQUITYOPTION---20230120
        N/A
        93666196 TROWE EQUITYOPTION---20230120
        OP001FS39
        
          
        
        6
        NC
        USD
        -972.79
        -0.0002035545
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Yum! Brands, Inc.
                Yum! Brands, Inc.
                
                  
                
              
            
            100
            150.000000000000
            USD
            2023-01-20
            XXXX
            173.210000000000
          
        
        
          N
          N
          N
        
      
      
        93666180 TROWE EQUITYOPTION---20230120
        N/A
        93666180 TROWE EQUITYOPTION---20230120
        OP001FS47
        
          
        
        6
        NC
        USD
        -2674.89
        -0.0005597157
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Yum! Brands, Inc.
                Yum! Brands, Inc.
                
                  
                
              
            
            100
            135.000000000000
            USD
            2023-01-20
            XXXX
            907.110000000000
          
        
        
          N
          N
          N
        
      
      
        93666188 TROWE EQUITYOPTION---20230120
        N/A
        93666188 TROWE EQUITYOPTION---20230120
        OP001FSJ4
        
          
        
        6
        NC
        USD
        -1384.8
        -0.0002897668
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Yum! Brands, Inc.
                Yum! Brands, Inc.
                
                  
                
              
            
            100
            145.000000000000
            USD
            2023-01-20
            XXXX
            577.200000000000
          
        
        
          N
          N
          N
        
      
      
        93665428 TROWE EQUITYOPTION---20230120
        N/A
        93665428 TROWE EQUITYOPTION---20230120
        OP001FSM7
        
          
        
        14
        NC
        USD
        -9206.71
        -0.0019264868
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Walmart, Inc.
                Walmart, Inc.
                
                  
                
              
            
            100
            160.000000000000
            USD
            2023-01-20
            XXXX
            -1688.710000000000
          
        
        
          N
          N
          N
        
      
      
        93710472 TROWE EQUITYOPTION---20230120
        N/A
        93710472 TROWE EQUITYOPTION---20230120
        OP001FYF5
        
          
        
        13
        NC
        USD
        -16365.16
        -0.0034243790
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Medtronic PLC
                Medtronic PLC
                
                  
                
              
            
            100
            105.000000000000
            USD
            2023-01-20
            XXXX
            -3614.240000000000
          
        
        
          N
          N
          N
        
      
      
        93710480 TROWE EQUITYOPTION---20230120
        N/A
        93710480 TROWE EQUITYOPTION---20230120
        OP001FYJ7
        
          
        
        13
        NC
        USD
        -12555.35
        -0.0026271834
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Medtronic PLC
                Medtronic PLC
                
                  
                
              
            
            100
            110.000000000000
            USD
            2023-01-20
            XXXX
            -2706.160000000000
          
        
        
          N
          N
          N
        
      
      
        93715364 TROWE EQUITYOPTION---20230120
        N/A
        93715364 TROWE EQUITYOPTION---20230120
        OP001FYL2
        
          
        
        6
        NC
        USD
        -5108.4
        -0.0010689231
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Walmart, Inc.
                Walmart, Inc.
                
                  
                
              
            
            100
            155.000000000000
            USD
            2023-01-20
            XXXX
            -1772.400000000000
          
        
        
          N
          N
          N
        
      
      
        93719430 TROWE EQUITYOPTION---20230120
        N/A
        93719430 TROWE EQUITYOPTION---20230120
        OP001FYR9
        
          
        
        13
        NC
        USD
        -2107.71
        -0.0004410344
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Yum! Brands, Inc.
                Yum! Brands, Inc.
                
                  
                
              
            
            100
            150.000000000000
            USD
            2023-01-20
            XXXX
            636.850000000000
          
        
        
          N
          N
          N
        
      
      
        93719414 TROWE EQUITYOPTION---20230120
        N/A
        93719414 TROWE EQUITYOPTION---20230120
        OP001FYV0
        
          
        
        13
        NC
        USD
        -5795.59
        -0.0012127163
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Yum! Brands, Inc.
                Yum! Brands, Inc.
                
                  
                
              
            
            100
            135.000000000000
            USD
            2023-01-20
            XXXX
            1422.660000000000
          
        
        
          N
          N
          N
        
      
      
        93715372 TROWE EQUITYOPTION---20230120
        N/A
        93715372 TROWE EQUITYOPTION---20230120
        OP001FYW8
        
          
        
        6
        NC
        USD
        -3945.73
        -0.0008256366
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Walmart, Inc.
                Walmart, Inc.
                
                  
                
              
            
            100
            160.000000000000
            USD
            2023-01-20
            XXXX
            -1353.730000000000
          
        
        
          N
          N
          N
        
      
      
        93719422 TROWE EQUITYOPTION---20230120
        N/A
        93719422 TROWE EQUITYOPTION---20230120
        OP001FYY4
        
          
        
        13
        NC
        USD
        -3000.4
        -0.0006278281
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Yum! Brands, Inc.
                Yum! Brands, Inc.
                
                  
                
              
            
            100
            145.000000000000
            USD
            2023-01-20
            XXXX
            781.040000000000
          
        
        
          N
          N
          N
        
      
      
        93710488 TROWE EQUITYOPTION---20230120
        N/A
        93710488 TROWE EQUITYOPTION---20230120
        OP001FYZ1
        
          
        
        12
        NC
        USD
        -8612.97
        -0.0018022478
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Medtronic PLC
                Medtronic PLC
                
                  
                
              
            
            100
            115.000000000000
            USD
            2023-01-20
            XXXX
            -1839.930000000000
          
        
        
          N
          N
          N
        
      
      
        93715356 TROWE EQUITYOPTION---20230120
        N/A
        93715356 TROWE EQUITYOPTION---20230120
        OP001FZ31
        
          
        
        5
        NC
        USD
        -6731.9
        -0.0014086374
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Walmart, Inc.
                Walmart, Inc.
                
                  
                
              
            
            100
            145.000000000000
            USD
            2023-01-20
            XXXX
            -2386.900000000000
          
        
        
          N
          N
          N
        
      
      
        94792833 TROWE EQUITYOPTION---20230120
        N/A
        94792833 TROWE EQUITYOPTION---20230120
        OP001LDD0
        
          
        
        9
        NC
        USD
        -20249.75
        -0.0042372222
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                UnitedHealth Group Incorporated
                UnitedHealth Group Incorporated
                
                  
                
              
            
            100
            580.000000000000
            USD
            2023-01-20
            XXXX
            -2390.600000000000
          
        
        
          N
          N
          N
        
      
      
        General Electric Company
        3C7474T6CDKPR9K6YT90
        GENERAL ELECTRIC CO COMMON STOCK USD.06
        369604301
        
          
          
        
        199252
        NS
        USD
        18231558
        3.8149193099
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        General Electric Company
        3C7474T6CDKPR9K6YT90
        GENERAL ELECTRIC CO JR SUBORDINA 12/49 VAR
        369604BQ5
        
          
          
        
        1840000
        PA
        USD
        1764100
        0.3691346156
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2022-06-15
          Variable
          4.156000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        H.B. Fuller Company
        JSMX3Z5FOYM8V0Q52357
        H B FULLER CO TERM LOAN
        40409VAR5
        
          
          
        
        121654.67
        PA
        USD
        121065.86
        0.0253328041
        Long
        LON
        CORP
        US
        N
        
        2
        
          2024-10-20
          Floating
          2.449
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Heartland Dental LLC
        N/A
        HEARTLAND DENTAL LLC FIRST LIEN
        42236WAH0
        
          
          
        
        1608645.52
        PA
        USD
        1587668.78
        0.3322167138
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-04-30
          Floating
          3.957
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Heartland Dental LLC
        N/A
        HEARTLAND DENTAL LLC 2021 INCREMENTAL TL
        42236WAQ0
        
          
          
        
        148875
        PA
        USD
        147226.95
        0.0308069631
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-04-30
          Floating
          4.447
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Hadrian Merger Sub Inc.
        N/A
        HADRIAN MERGER SUB INC SR UNSECURED 144A 05/26 8.5
        42239PAA7
        
          
          
        
        372000
        PA
        USD
        373859.98
        0.0782294995
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2026-05-01
          Fixed
          8.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Hilton Domestic Operating Company Inc.
        5493003EG7H0N1E4XV50
        HILTON DOMESTIC OPERATING CO I COMPANY GUAR 144A 05/25 5.375
        432833AG6
        
          
          
        
        30000
        PA
        USD
        30657
        0.0064149197
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2025-05-01
          Fixed
          5.375000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Hologic Inc.
        549300DYP6F5ZJL0LB74
        HOLOGIC INC COMMON STOCK USD.01
        436440101
        
          
          
        
        36580
        NS
        USD
        2810075.6
        0.5880030477
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Howmet Aerospace Inc.
        N/A
        HOWMET AEROSPACE INC SR UNSECURED 01/29 3
        443201AB4
        
          
          
        
        671000
        PA
        USD
        612706.88
        0.1282077652
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2029-01-15
          Fixed
          3.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        HUB International Limited
        549300JQT6ATTUNS5E06
        HUB INTL LTD TERM LOAN B 1
        44332EAP1
        
          
          
        
        7130426.09
        PA
        USD
        7042008.81
        1.4735271330
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-04-25
          Floating
          3.267
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        HUB International Limited
        549300JQT6ATTUNS5E06
        HUB INTERNATIONAL LIMITED 2021 TERM LOAN B
        44332EAU0
        
          
          
        
        4575646.38
        PA
        USD
        4542381.43
        0.9504847929
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-04-25
          Floating
          4.001
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        PetVet Care Centers LLC
        N/A
        PETVET CARE CENTERS LLC 2021 TERM LOAN
        70476XAK1
        
          
          
        
        764269.12
        PA
        USD
        759492.44
        0.1589223683
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-02-14
          Floating
          4.25
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        PerkinElmer Inc.
        549300IKL1SDPFI7N655
        PERKINELMER INC COMMON STOCK USD1.0
        714046109
        
          
          
        
        64359
        NS
        USD
        11228071.14
        2.3494528227
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Lennox International Inc.
        S7DWAC87RDMPBF77GJ92
        LENNOX INTERNATIONAL INC COMPANY GUAR 11/23 3
        526107AD9
        
          
          
        
        515000
        PA
        USD
        515573.91
        0.1078828735
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2023-11-15
          Fixed
          3.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Liberty Media Corporation
        N/A
        LIBERTY MEDIA CORP-LIBERTY FOR TRACKING STK USD.01
        531229854
        
          
          
        
        16332
        NS
        USD
        1140626.88
        0.2386740349
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Filtration Group Corporation
        N/A
        FILTRATION GROUP CORP TERM LOAN
        31732FAM8
        
          
          
        
        276815.81
        PA
        USD
        272461.5
        0.0570120577
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-03-29
          Floating
          3.457
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Filtration Group Corporation
        N/A
        FILTRATION GROUP CORP TERM LOAN
        31732FAN6
        
          
          
        
        515322.72
        PA
        
        559814.27
        0.1171400858
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-03-29
          Floating
          3.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Life Time Inc.
        549300PALKE96VYH4X17
        LIFE TIME INC SR SECURED 144A 01/26 5.75
        53190FAA3
        
          
          
        
        365000
        PA
        USD
        364631.35
        0.0762984260
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2026-01-15
          Fixed
          5.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Live Nation Entertainment Inc.
        5493007B9BM9ZXJINO78
        LIVE NATION ENTERTAINMENT INC COMPANY GUAR 144A 11/24 4.875
        538034AK5
        
          
          
        
        35000
        PA
        USD
        35140.26
        0.0073530335
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2024-11-01
          Fixed
          4.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Filtration Group Corporation
        N/A
        FILTRATION GROUP CORPORATION 2021 INCREMENTAL TERM LOAN
        31732FAR7
        
          
          
        
        204487.5
        PA
        USD
        201931.41
        0.0422537687
        Long
        LON
        CORP
        US
        N
        
        2
        
          2028-10-21
          Floating
          4
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Fortive Corporation
        549300MU9YQJYHDQEF63
        FORTIVE CORP COMMON STOCK USD.01
        34959J108
        
          
          
        
        90779
        NS
        USD
        5531164.47
        1.1573857891
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        MSCI Inc.
        549300HTIN2PD78UB763
        MSCI INC COMPANY GUAR 144A 11/29 4
        55354GAH3
        
          
          
        
        95000
        PA
        USD
        92262.58
        0.0193057718
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2029-11-15
          Fixed
          4.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        MSCI Inc.
        549300HTIN2PD78UB763
        MSCI INC COMPANY GUAR 144A 09/30 3.625
        55354GAK6
        
          
          
        
        695000
        PA
        USD
        651482.58
        0.1363215077
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2030-09-01
          Fixed
          3.625000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        MSCI Inc.
        549300HTIN2PD78UB763
        MSCI INC COMPANY GUAR 144A 02/31 3.875
        55354GAL4
        
          
          
        
        10000
        PA
        USD
        9481.55
        0.0019839966
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2031-02-15
          Fixed
          3.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        MSCI Inc.
        549300HTIN2PD78UB763
        MSCI INC COMPANY GUAR 144A 11/31 3.625
        55354GAM2
        
          
          
        
        30000
        PA
        USD
        28237.5
        0.0059086439
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2031-11-01
          Fixed
          3.625000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        MSCI Inc.
        549300HTIN2PD78UB763
        MSCI INC COMPANY GUAR 144A 08/33 3.25
        55354GAQ3
        
          
          
        
        15000
        PA
        USD
        13482.19
        0.0028211230
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2033-08-15
          Fixed
          3.250000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Welbilt Inc.
        549300UR3W71YLZWI068
        WELBILT INC COMPANY GUAR 02/24 9.5
        563568AB0
        
          
          
        
        362000
        PA
        USD
        368735.01
        0.0771571091
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2024-02-15
          Fixed
          9.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Welbilt Inc.
        549300UR3W71YLZWI068
        MANITOWOC FOODSERVICE INC TERM LOAN B
        56356XAE9
        
          
          
        
        200000
        PA
        USD
        198000
        0.0414311286
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-10-23
          Floating
          2.957
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Four Seasons Hotels Limited
        5493009FUVX8LHYY2202
        FOUR SEASONS HLDGS INC FIRST LIEN
        35100DAR7
        
          
          
        
        515503.87
        PA
        USD
        513328.44
        0.1074130131
        Long
        LON
        CORP
        CA
        N
        
        2
        
          2023-11-30
          Floating
          2.457
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Ingersoll Rand Inc.
        N/A
        INGERSOLL RAND INC COMMON STOCK USD.01
        45687V106
        
          
          
        
        115712
        NS
        USD
        5826099.2
        1.2191003281
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Medtronic Public Limited Company
        549300GX3ZBSQWUXY261
        MEDTRONIC PLC COMMON STOCK USD.1
        585055106
        
          
          
        
        13100
        NS
        USD
        1453445
        0.3041306397
        Long
        EC
        CORP
        IE
        
        N
        
        1
        
          N
          N
          N
        
      
      
        93695247 TROWE EQUITYOPTION---20230120
        N/A
        93695247 TROWE EQUITYOPTION---20230120
        OP001FQG2
        
          
        
        13
        NC
        USD
        -3002.88
        -0.0006283470
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Abbott Laboratories
                Abbott Laboratories
                
                  
                
              
            
            100
            145.000000000000
            USD
            2023-01-20
            XXXX
            3817.700000000000
          
        
        
          N
          N
          N
        
      
      
        93665812 TROWE EQUITYOPTION---20230120
        N/A
        93665812 TROWE EQUITYOPTION---20230120
        OP001FQJ6
        
          
        
        25
        NC
        USD
        -9066.09
        -0.0018970623
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Starbucks Corporation
                Starbucks Corporation
                
                  
                
              
            
            100
            105.000000000000
            USD
            2023-01-20
            XXXX
            7608.910000000000
          
        
        
          N
          N
          N
        
      
      
        93587587 TROWE EQUITYOPTION---20230120
        N/A
        93587587 TROWE EQUITYOPTION---20230120
        OP001FQL1
        
          
        
        19
        NC
        USD
        -3109.83
        -0.0006507261
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                Baxter International, Inc.
                Baxter International, Inc.
                
                  
                
              
            
            100
            92.500000000000
            USD
            2023-01-20
            XXXX
            3673.170000000000
          
        
        
          N
          N
          N
        
      
      
        93700226 TROWE EQUITYOPTION---20230120
        N/A
        93700226 TROWE EQUITYOPTION---20230120
        OP001FQN7
        
          
        
        6
        NC
        USD
        -5150.13
        -0.0010776550
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                McDonald's Corp
                McDonald's Corp
                
                  
                
              
            
            100
            270.000000000000
            USD
            2023-01-20
            XXXX
            2974.590000000000
          
        
        
          N
          N
          N
        
      
      
        93695239 TROWE EQUITYOPTION---20230120
        N/A
        93695239 TROWE EQUITYOPTION---20230120
        OP001FQT4
        
          
        
        13
        NC
        USD
        -5583.99
        -0.0011684394
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Abbott Laboratories
                Abbott Laboratories
                
                  
                
              
            
            100
            135.000000000000
            USD
            2023-01-20
            XXXX
            5150.240000000000
          
        
        
          N
          N
          N
        
      
      
        93710431 TROWE EQUITYOPTION---20230120
        N/A
        93710431 TROWE EQUITYOPTION---20230120
        OP001FQV9
        
          
        
        6
        NC
        USD
        -3082.38
        -0.0006449822
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Ross Stores, Inc.
                Ross Stores, Inc.
                
                  
                
              
            
            100
            105.000000000000
            USD
            2023-01-20
            XXXX
            1984.740000000000
          
        
        
          N
          N
          N
        
      
      
        Apple Inc.
        HWUPKR0MPOU8FGXBT394
        APPLE INC COMMON STOCK USD.00001
        037833100
        
          
          
        
        64700
        NS
        USD
        11297267
        2.3639319266
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Applied Systems Inc.
        N/A
        APPLIED SYS INC TERM LOAN
        03827FAX9
        
          
          
        
        932581.26
        PA
        USD
        925353.76
        0.1936285384
        Long
        LON
        CORP
        US
        N
        
        2
        
          2024-09-19
          Floating
          4.006
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        93665540 TROWE EQUITYOPTION---20220715
        N/A
        93665540 TROWE EQUITYOPTION---20220715
        OP001FR06
        
          
        
        7
        NC
        USD
        -1899.52
        -0.0003974710
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                Republic Services, Inc.
                Republic Services, Inc.
                
                  
                
              
            
            100
            140.000000000000
            USD
            2022-07-15
            XXXX
            -47.320000000000
          
        
        
          N
          N
          N
        
      
      
        93665788 TROWE EQUITYOPTION---20230120
        N/A
        93665788 TROWE EQUITYOPTION---20230120
        OP001FR14
        
          
        
        4
        NC
        USD
        -6268.03
        -0.0013115735
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                CME Group, Inc.
                CME Group, Inc.
                
                  
                
              
            
            100
            250.000000000000
            USD
            2023-01-20
            XXXX
            -1840.030000000000
          
        
        
          N
          N
          N
        
      
      
        Applied Systems Inc.
        N/A
        APPLIED SYSTEMS INC. 2021 2ND LIEN TERM LOAN
        03827FBA8
        
          
          
        
        164027.99
        PA
        USD
        162874.87
        0.0340812610
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-09-19
          Floating
          6.506
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Ascend Learning LLC
        N/A
        ASCEND LEARNING LLC 2021 TERM LOAN
        04349HAK0
        
          
          
        
        1825000
        PA
        USD
        1802643.75
        0.3771998230
        Long
        LON
        CORP
        US
        N
        
        2
        
          2028-12-11
          Floating
          4.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Ascend Learning LLC
        N/A
        ASCEND LEARNING LLC 2021 2ND LIEN TERM LOAN
        04349HAM6
        
          
          
        
        260000
        PA
        USD
        258050
        0.0539964784
        Long
        LON
        CORP
        US
        N
        
        2
        
          2029-12-10
          Floating
          6.250000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Aurora Innovation Inc.
        N/A
        AURORA INNOVATION INC COMMON STOCK USD.0001
        051774107
        
          
          
        
        150228
        NS
        USD
        839774.52
        0.1757212429
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          
        
      
      
        93665412 TROWE EQUITYOPTION---20230120
        N/A
        93665412 TROWE EQUITYOPTION---20230120
        OP001FRW6
        
          
        
        14
        NC
        USD
        -18849.33
        -0.0039441869
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Walmart, Inc.
                Walmart, Inc.
                
                  
                
              
            
            100
            145.000000000000
            USD
            2023-01-20
            XXXX
            -4471.330000000000
          
        
        
          N
          N
          N
        
      
      
        93665420 TROWE EQUITYOPTION---20230120
        N/A
        93665420 TROWE EQUITYOPTION---20230120
        OP001FRZ9
        
          
        
        14
        NC
        USD
        -11919.6
        -0.0024941539
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Walmart, Inc.
                Walmart, Inc.
                
                  
                
              
            
            100
            155.000000000000
            USD
            2023-01-20
            XXXX
            -2511.600000000000
          
        
        
          N
          N
          N
        
      
      
        Avantor Funding Inc.
        N/A
        AVANTOR INC 2021 TERM LOAN B4
        05350NAK0
        
          
          
        
        39163.94
        PA
        USD
        38755.85
        0.0081095889
        Long
        LON
        CORP
        US
        N
        
        2
        
          2024-11-21
          Floating
          2.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Avantor Inc.
        N/A
        AVANTOR INC COMMON STOCK USD.01
        05352A100
        
          
          
        
        45551
        NS
        USD
        1540534.82
        0.3223540211
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Avantor Funding Inc.
        N/A
        AVANTOR FUNDING INC COMPANY GUAR 144A 07/28 4.625
        05352TAA7
        
          
          
        
        225000
        PA
        USD
        222525
        0.0465629388
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2028-07-15
          Fixed
          4.625000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Baxter International Inc.
        J5OIVXX3P24RJRW5CK77
        BAXTER INTERNATIONAL INC COMMON STOCK USD1.0
        071813109
        
          
          
        
        5700
        NS
        USD
        441978
        0.0924830674
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Becton Dickinson and Company
        ICE2EP6D98PQUILVRZ91
        BECTON DICKINSON AND CO COMMON STOCK USD1.0
        075887109
        
          
          
        
        40602
        NS
        USD
        10800132
        2.2599073605
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        93715543 TROWE EQUITYOPTION---20230120
        N/A
        93715543 TROWE EQUITYOPTION---20230120
        OP001G540
        
          
        
        1
        NC
        USD
        -17.56
        -0.0000036744
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Exelon Corporation
                Exelon Corporation
                
                  
                
              
            
            100
            65.000000000000
            USD
            2023-01-20
            XXXX
            149.930000000000
          
        
        
          N
          N
          N
        
      
      
        93715527 TROWE EQUITYOPTION---20230120
        N/A
        93715527 TROWE EQUITYOPTION---20230120
        OP001G565
        
          
        
        1
        NC
        USD
        -100.17
        -0.0000209604
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Exelon Corporation
                Exelon Corporation
                
                  
                
              
            
            100
            55.000000000000
            USD
            2023-01-20
            XXXX
            437.820000000000
          
        
        
          N
          N
          N
        
      
      
        93715535 TROWE EQUITYOPTION---20230120
        N/A
        93715535 TROWE EQUITYOPTION---20230120
        OP001G573
        
          
        
        1
        NC
        USD
        -41.27
        -0.0000086357
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Exelon Corporation
                Exelon Corporation
                
                  
                
              
            
            100
            60.000000000000
            USD
            2023-01-20
            XXXX
            271.460000000000
          
        
        
          N
          N
          N
        
      
      
        93816586 TROWE EQUITYOPTION---20230120
        N/A
        93816586 TROWE EQUITYOPTION---20230120
        OP001G706
        
          
        
        21
        NC
        USD
        -866.65
        -0.0001813449
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Exelon Corporation
                Exelon Corporation
                
                  
                
              
            
            100
            60.000000000000
            USD
            2023-01-20
            XXXX
            5871.410000000000
          
        
        
          N
          N
          N
        
      
      
        FIXED INC CLEARING CORP.REPO
        N/A
        FIXED INC CLEARING CORP.REPO
        85748R009
        
          
          
        
        2284000
        PA
        USD
        2284000
        0.4779227153
        Long
        RA
        CORP
        US
        N
        
        2
        
          Repurchase
          
            
              
            
          
          N
          0.00
          2022-04-01
          
            
              2332800
              USD
              2329702.0416
              USD
              UST
            
          
        
        
          N
          N
          N
        
      
      
        Eyecare Partners LLC
        N/A
        EYECARE PARTNERS LLC TERM LOAN
        30233PAB6
        
          
          
        
        74622.16
        PA
        USD
        73549.84
        0.0153901660
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-02-18
          Floating
          4.756
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Eyecare Partners LLC
        N/A
        EYECARE PARNERS LLC 2021 DELAYED DRAW TERM LOAN
        30233PAG5
        
          
          
        
        5000
        PA
        USD
        4939.05
        0.0010334869
        Long
        LON
        CORP
        US
        N
        
        2
        
          2028-11-15
          Floating
          5.152
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Eyecare Partners LLC
        N/A
        EYECARE PARNERS LLC 2021 INCREMENTAL TERM LOAN
        30233PAH3
        
          
          
        
        20000
        PA
        USD
        19756.2
        0.0041339478
        Long
        LON
        CORP
        US
        N
        
        2
        
          2028-11-15
          Floating
          4.756
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Meta Platforms Inc.
        BQ4BKCS1HXDV9HN80Z93
        FACEBOOK INC COMMON STOCK USD.000006
        30303M102
        
          
          
        
        14891
        NS
        USD
        3311162.76
        0.6928545959
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Sunshine Luxembourg VII SARL
        N/A
        SUNSHINE LUXEMBOURG VII SARL 2021 TERM LOAN B3
        L8908YAE8
        
          
          
        
        1283476.2
        PA
        USD
        1273850.13
        0.2665507500
        Long
        LON
        CORP
        LU
        N
        
        2
        
          2026-10-01
          Floating
          4.756
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        NXP Semiconductors N.V.
        N/A
        NXP SEMICONDUCTORS NV COMMON STOCK
        N6596X109
        
          
          
        
        452
        NS
        USD
        83656.16
        0.0175048945
        Long
        EC
        CORP
        NL
        
        N
        
        1
        
          N
          N
          N
        
      
      
        89590711 TROWE EQUITYOPTION---20220617
        N/A
        89590711 TROWE EQUITYOPTION---20220617
        OP000WZ35
        
          
        
        1
        NC
        USD
        -30791.65
        -0.0064430950
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              SUSQUEHANNA FINANCIAL GROUP LL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class C
                Alphabet Inc Class C
                
                  
                
              
            
            100
            2550.000000000000
            USD
            2022-06-17
            XXXX
            -8695.650000000000
          
        
        
          N
          N
          N
        
      
      
        89585980 TROWE EQUITYOPTION---20220916
        N/A
        89585980 TROWE EQUITYOPTION---20220916
        OP000WZ43
        
          
        
        1
        NC
        USD
        -43693.92
        -0.0091428708
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              SUSQUEHANNA FINANCIAL GROUP LL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class A
                Alphabet Inc Class A
                
                  
                
              
            
            100
            2450.000000000000
            USD
            2022-09-16
            XXXX
            -16946.920000000000
          
        
        
          N
          N
          N
        
      
      
        89572792 TROWE EQUITYOPTION---20220916
        N/A
        89572792 TROWE EQUITYOPTION---20220916
        OP000X189
        
          
        
        6
        NC
        USD
        -766.86
        -0.0001604640
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                FACEBOOK INC
                FACEBOOK INC
                
                  
                
              
            
            100
            345.000000000000
            USD
            2022-09-16
            XXXX
            22595.940000000000
          
        
        
          N
          N
          N
        
      
      
        89572800 TROWE EQUITYOPTION---20220916
        N/A
        89572800 TROWE EQUITYOPTION---20220916
        OP000X1N6
        
          
        
        6
        NC
        USD
        -596.2
        -0.0001247537
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                FACEBOOK INC
                FACEBOOK INC
                
                  
                
              
            
            100
            360.000000000000
            USD
            2022-09-16
            XXXX
            19507.520000000000
          
        
        
          N
          N
          N
        
      
      
        90282490 TROWE EQUITYOPTION---20230120
        N/A
        90282490 TROWE EQUITYOPTION---20230120
        OP0011L45
        
          
        
        31
        NC
        USD
        -113678.82
        -0.0237870798
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              SUSQUEHANNA FINANCIAL GROUP LL
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            300.000000000000
            USD
            2023-01-20
            XXXX
            -57041.820000000000
          
        
        
          N
          N
          N
        
      
      
        90337492 TROWE EQUITYOPTION---20230120
        N/A
        90337492 TROWE EQUITYOPTION---20230120
        OP0011PC3
        
          
        
        32
        NC
        USD
        -117345.88
        -0.0245544053
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              SUSQUEHANNA FINANCIAL GROUP LL
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            300.000000000000
            USD
            2023-01-20
            XXXX
            -57121.880000000000
          
        
        
          N
          N
          N
        
      
      
        90585354 TROWE EQUITYOPTION---20230120
        N/A
        90585354 TROWE EQUITYOPTION---20230120
        OP0012J53
        
          
        
        11
        NC
        USD
        -19744.06
        -0.0041314075
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              SUSQUEHANNA FINANCIAL GROUP LL
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            340.000000000000
            USD
            2023-01-20
            XXXX
            -5565.390000000000
          
        
        
          N
          N
          N
        
      
      
        90585338 TROWE EQUITYOPTION---20230120
        N/A
        90585338 TROWE EQUITYOPTION---20230120
        OP0012JD6
        
          
        
        11
        NC
        USD
        -28845.44
        -0.0060358542
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              SUSQUEHANNA FINANCIAL GROUP LL
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            320.000000000000
            USD
            2023-01-20
            XXXX
            -9291.840000000000
          
        
        
          N
          N
          N
        
      
      
        90585346 TROWE EQUITYOPTION---20230120
        N/A
        90585346 TROWE EQUITYOPTION---20230120
        OP0012JN4
        
          
        
        11
        NC
        USD
        -24000.43
        -0.0050220450
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              SUSQUEHANNA FINANCIAL GROUP LL
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            330.000000000000
            USD
            2023-01-20
            XXXX
            -7361.060000000000
          
        
        
          N
          N
          N
        
      
      
        90585362 TROWE EQUITYOPTION---20230120
        N/A
        90585362 TROWE EQUITYOPTION---20230120
        OP0012JR5
        
          
        
        11
        NC
        USD
        -16065.83
        -0.0033617448
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              SUSQUEHANNA FINANCIAL GROUP LL
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            350.000000000000
            USD
            2023-01-20
            XXXX
            -4141.390000000000
          
        
        
          N
          N
          N
        
      
      
        90687205 TROWE EQUITYOPTION---20230120
        N/A
        90687205 TROWE EQUITYOPTION---20230120
        OP0012M26
        
          
        
        10
        NC
        USD
        -14605.3
        -0.0030561316
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              SUSQUEHANNA FINANCIAL GROUP LL
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            350.000000000000
            USD
            2023-01-20
            XXXX
            -3022.500000000000
          
        
        
          N
          N
          N
        
      
      
        90686081 TROWE EQUITYOPTION---20230120
        N/A
        90686081 TROWE EQUITYOPTION---20230120
        OP0012M34
        
          
        
        10
        NC
        USD
        -21818.57
        -0.0045654948
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              SUSQUEHANNA FINANCIAL GROUP LL
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            330.000000000000
            USD
            2023-01-20
            XXXX
            -5628.970000000000
          
        
        
          N
          N
          N
        
      
      
        90686073 TROWE EQUITYOPTION---20230120
        N/A
        90686073 TROWE EQUITYOPTION---20230120
        OP0012M42
        
          
        
        10
        NC
        USD
        -26223.13
        -0.0054871408
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              SUSQUEHANNA FINANCIAL GROUP LL
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            320.000000000000
            USD
            2023-01-20
            XXXX
            -7129.830000000000
          
        
        
          N
          N
          N
        
      
      
        90687197 TROWE EQUITYOPTION---20230120
        N/A
        90687197 TROWE EQUITYOPTION---20230120
        OP0012M67
        
          
        
        10
        NC
        USD
        -17949.15
        -0.0037558260
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              SUSQUEHANNA FINANCIAL GROUP LL
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            340.000000000000
            USD
            2023-01-20
            XXXX
            -4263.250000000000
          
        
        
          N
          N
          N
        
      
      
        90812418 TROWE EQUITYOPTION---20230120
        N/A
        90812418 TROWE EQUITYOPTION---20230120
        OP0012ZM8
        
          
        
        8
        NC
        USD
        -17454.86
        -0.0036523967
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            330.000000000000
            USD
            2023-01-20
            XXXX
            -5702.460000000000
          
        
        
          N
          N
          N
        
      
      
        91831101 TROWE EQUITYOPTION---20230120
        N/A
        91831101 TROWE EQUITYOPTION---20230120
        OP0016XG4
        
          
        
        8
        NC
        USD
        -4326.52
        -0.0009053162
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                PNC Financial Services Group Inc
                PNC Financial Services Group Inc
                
                  
                
              
            
            100
            220.000000000000
            USD
            2023-01-20
            XXXX
            6073.320000000000
          
        
        
          N
          N
          N
        
      
      
        91845355 TROWE EQUITYOPTION---20230120
        N/A
        91845355 TROWE EQUITYOPTION---20230120
        OP0016XJ8
        
          
        
        2
        NC
        USD
        -730.9
        -0.0001529395
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                PNC Financial Services Group Inc
                PNC Financial Services Group Inc
                
                  
                
              
            
            100
            230.000000000000
            USD
            2023-01-20
            XXXX
            1309.060000000000
          
        
        
          N
          N
          N
        
      
      
        91845347 TROWE EQUITYOPTION---20230120
        N/A
        91845347 TROWE EQUITYOPTION---20230120
        OP0016XM1
        
          
        
        2
        NC
        USD
        -1081.63
        -0.0002263290
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                PNC Financial Services Group Inc
                PNC Financial Services Group Inc
                
                  
                
              
            
            100
            220.000000000000
            USD
            2023-01-20
            XXXX
            1499.370000000000
          
        
        
          N
          N
          N
        
      
      
        HUB International Limited
        549300JQT6ATTUNS5E06
        HUB INTERNATIONAL LTD SR UNSECURED 144A 05/26 7
        44332PAD3
        
          
          
        
        1780000
        PA
        USD
        1800567.9
        0.3767654553
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2026-05-01
          Fixed
          7.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        HUB International Limited
        549300JQT6ATTUNS5E06
        HUB INTERNATIONAL LTD SR UNSECURED 144A 12/29 5.625
        44332PAG6
        
          
          
        
        165000
        PA
        USD
        157575
        0.0329722731
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2029-12-01
          Fixed
          5.625000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Humana Inc.
        N/A
        HUMANA INC COMMON STOCK USD.166
        444859102
        
          
          
        
        14866
        NS
        USD
        6469237.22
        1.3536757523
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        IRB Holding Corp.
        N/A
        IRB HOLDING CORP. 2020 TERM LOAN B
        44988LAF4
        
          
          
        
        323063.67
        PA
        USD
        320236.86
        0.0670089622
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-02-05
          Floating
          3.756
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        IRB Holding Corp.
        N/A
        IRB HOLDING CORP 2022 TERM LOAN B
        44988LAH0
        
          
          
        
        530022.18
        PA
        USD
        526486.93
        0.1101664024
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-12-15
          Floating
          3.75
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        IRB Holding Corp.
        N/A
        IRB HOLDING CORP COMPANY GUAR 144A 02/26 6.75
        44988MAA3
        
          
          
        
        25000
        PA
        USD
        25437.5
        0.0053227492
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2026-02-15
          Fixed
          6.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Intercontinental Exchange Inc.
        5493000F4ZO33MV32P92
        INTERCONTINENTAL EXCHANGE INC COMMON STOCK USD.01
        45866F104
        
          
          
        
        51466
        NS
        USD
        6799687.92
        1.4228219414
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        KFC HOLDING CO/PIZZA HUT HOLDI COMPANY GUAR 144A 06/27 4.75
        N/A
        KFC HOLDING CO/PIZZA HUT HOLDI COMPANY GUAR 144A 06/27 4.75
        48250NAC9
        
          
          
        
        1657000
        PA
        USD
        1681855
        0.3519250037
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-06-01
          Fixed
          4.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Keurig Dr Pepper Inc.
        DYTQ8KRTKO7Y2BVU5K74
        KEURIG DR PEPPER INC COMMON STOCK USD.01
        49271V100
        
          
          
        
        180675
        NS
        USD
        6847582.5
        1.4328437924
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Korn Ferry
        549300FOD20OM0GT5G40
        KORN FERRY SR UNSECURED 144A 12/27 4.625
        50067PAA7
        
          
          
        
        90000
        PA
        USD
        87783.3
        0.0183684908
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-12-15
          Fixed
          4.625000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Life Time Inc.
        549300PALKE96VYH4X17
        LIFE TIME FITNESS INC 2021 TERM LOAN B
        50218KAG3
        
          
          
        
        151738.69
        PA
        USD
        150790.32
        0.0315525916
        Long
        LON
        CORP
        US
        N
        
        2
        
          2024-12-16
          Floating
          5.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        91226075 TROWE EQUITYOPTION---20230120
        N/A
        91226075 TROWE EQUITYOPTION---20230120
        OP0014K81
        
          
        
        1
        NC
        USD
        -7392.43
        -0.0015468521
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class A
                Alphabet Inc Class A
                
                  
                
              
            
            100
            3500.000000000000
            USD
            2023-01-20
            XXXX
            3704.570000000000
          
        
        
          N
          N
          N
        
      
      
        91244203 TROWE EQUITYOPTION---20230120
        N/A
        91244203 TROWE EQUITYOPTION---20230120
        OP0014K99
        
          
        
        15
        NC
        USD
        -17676.74
        -0.0036988247
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            360.000000000000
            USD
            2023-01-20
            XXXX
            4227.910000000000
          
        
        
          N
          N
          N
        
      
      
        91244195 TROWE EQUITYOPTION---20230120
        N/A
        91244195 TROWE EQUITYOPTION---20230120
        OP0014KB4
        
          
        
        15
        NC
        USD
        -21907.95
        -0.0045841974
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            350.000000000000
            USD
            2023-01-20
            XXXX
            3941.100000000000
          
        
        
          N
          N
          N
        
      
      
        91226051 TROWE EQUITYOPTION---20230120
        N/A
        91226051 TROWE EQUITYOPTION---20230120
        OP0014KD0
        
          
        
        1
        NC
        USD
        -14062.08
        -0.0029424639
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class A
                Alphabet Inc Class A
                
                  
                
              
            
            100
            3200.000000000000
            USD
            2023-01-20
            XXXX
            4034.920000000000
          
        
        
          N
          N
          N
        
      
      
        91226067 TROWE EQUITYOPTION---20230120
        N/A
        91226067 TROWE EQUITYOPTION---20230120
        OP0014KJ7
        
          
        
        1
        NC
        USD
        -9223.23
        -0.0019299436
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class A
                Alphabet Inc Class A
                
                  
                
              
            
            100
            3400.000000000000
            USD
            2023-01-20
            XXXX
            3823.770000000000
          
        
        
          N
          N
          N
        
      
      
        91302901 TROWE EQUITYOPTION---20230120
        N/A
        91302901 TROWE EQUITYOPTION---20230120
        OP0014VK2
        
          
        
        7
        NC
        USD
        -12564.4
        -0.0026290771
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            340.000000000000
            USD
            2023-01-20
            XXXX
            1648.680000000000
          
        
        
          N
          N
          N
        
      
      
        91302909 TROWE EQUITYOPTION---20230120
        N/A
        91302909 TROWE EQUITYOPTION---20230120
        OP0014VL0
        
          
        
        7
        NC
        USD
        -10223.71
        -0.0021392921
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            350.000000000000
            USD
            2023-01-20
            XXXX
            1954.820000000000
          
        
        
          N
          N
          N
        
      
      
        91302917 TROWE EQUITYOPTION---20230120
        N/A
        91302917 TROWE EQUITYOPTION---20230120
        OP0014VN6
        
          
        
        7
        NC
        USD
        -8249.14
        -0.0017261171
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            360.000000000000
            USD
            2023-01-20
            XXXX
            2118.910000000000
          
        
        
          N
          N
          N
        
      
      
        91580617 TROWE EQUITYOPTION---20230120
        N/A
        91580617 TROWE EQUITYOPTION---20230120
        OP0015NT9
        
          
        
        21
        NC
        USD
        -27577.02
        -0.0057704397
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            355.000000000000
            USD
            2023-01-20
            XXXX
            1549.980000000000
          
        
        
          N
          N
          N
        
      
      
        91580609 TROWE EQUITYOPTION---20230120
        N/A
        91580609 TROWE EQUITYOPTION---20230120
        OP0015NY8
        
          
        
        22
        NC
        USD
        -32131.66
        -0.0067234896
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            350.000000000000
            USD
            2023-01-20
            XXXX
            1462.340000000000
          
        
        
          N
          N
          N
        
      
      
        91580625 TROWE EQUITYOPTION---20230120
        N/A
        91580625 TROWE EQUITYOPTION---20230120
        OP0015NZ5
        
          
        
        22
        NC
        USD
        -25925.88
        -0.0054249418
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            360.000000000000
            USD
            2023-01-20
            XXXX
            1728.120000000000
          
        
        
          N
          N
          N
        
      
      
        91588865 TROWE EQUITYOPTION---20230120
        N/A
        91588865 TROWE EQUITYOPTION---20230120
        OP0015W44
        
          
        
        6
        NC
        USD
        -5150.13
        -0.0010776550
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                McDonald's Corp
                McDonald's Corp
                
                  
                
              
            
            100
            270.000000000000
            USD
            2023-01-20
            XXXX
            951.870000000000
          
        
        
          N
          N
          N
        
      
      
        CEDAR FAIR LP / CANADA'S WONDE COMPANY GUAR 04/27 5.375
        N/A
        CEDAR FAIR LP / CANADA'S WONDE COMPANY GUAR 04/27 5.375
        150190AB2
        
          
          
        
        676000
        PA
        USD
        669240
        0.1400372145
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-04-15
          Fixed
          5.375000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Cedar Fair L.P.
        549300TUVLNQQ6BVKH61
        CEDAR FAIR LP COMPANY GUAR 07/29 5.25
        150190AE6
        
          
          
        
        384000
        PA
        USD
        378247.68
        0.0791476175
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2029-07-15
          Fixed
          5.250000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        CEDAR FAIR LP / CANADA'S WONDE SR SECURED 144A 05/25 5.5
        N/A
        CEDAR FAIR LP / CANADA'S WONDE SR SECURED 144A 05/25 5.5
        150190AF3
        
          
          
        
        410000
        PA
        USD
        421035.15
        0.0881008153
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2025-05-01
          Fixed
          5.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        91588857 TROWE EQUITYOPTION---20230120
        N/A
        91588857 TROWE EQUITYOPTION---20230120
        OP0015W51
        
          
        
        6
        NC
        USD
        -7360
        -0.0015400662
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                McDonald's Corp
                McDonald's Corp
                
                  
                
              
            
            100
            260.000000000000
            USD
            2023-01-20
            XXXX
            902.000000000000
          
        
        
          N
          N
          N
        
      
      
        91656868 TROWE EQUITYOPTION---20230120
        N/A
        91656868 TROWE EQUITYOPTION---20230120
        OP00166P4
        
          
        
        8
        NC
        USD
        -6866.84
        -0.0014368734
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                McDonald's Corp
                McDonald's Corp
                
                  
                
              
            
            100
            270.000000000000
            USD
            2023-01-20
            XXXX
            1044.840000000000
          
        
        
          N
          N
          N
        
      
      
        CEDAR FAIR LP / CANADA'S WONDE COMPANY GUAR 10/28 6.5
        N/A
        CEDAR FAIR LP / CANADA'S WONDE COMPANY GUAR 10/28 6.5
        150190AK2
        
          
          
        
        345000
        PA
        USD
        351037.5
        0.0734539383
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2028-10-01
          Fixed
          6.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Clarios Global LP
        N/A
        CLARIOS GLOBAL LP SR SECURED 144A 05/25 6.75
        18060TAA3
        
          
          
        
        147000
        PA
        USD
        152222.91
        0.0318523584
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2025-05-15
          Fixed
          6.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        91656860 TROWE EQUITYOPTION---20230120
        N/A
        91656860 TROWE EQUITYOPTION---20230120
        OP00166R0
        
          
        
        8
        NC
        USD
        -9813.33
        -0.0020534209
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                McDonald's Corp
                McDonald's Corp
                
                  
                
              
            
            100
            260.000000000000
            USD
            2023-01-20
            XXXX
            550.910000000000
          
        
        
          N
          N
          N
        
      
      
        91782409 TROWE EQUITYOPTION---20230120
        N/A
        91782409 TROWE EQUITYOPTION---20230120
        OP0016JZ8
        
          
        
        12
        NC
        USD
        -4385.42
        -0.0009176409
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                PNC Financial Services Group Inc
                PNC Financial Services Group Inc
                
                  
                
              
            
            100
            230.000000000000
            USD
            2023-01-20
            XXXX
            8270.140000000000
          
        
        
          N
          N
          N
        
      
      
        Clarivate Science Holdings Corporation
        N/A
        CLARIVATE SCIENCE HOLDINGS COR SR SECURED 144A 07/28 3.875
        18064PAC3
        
          
          
        
        240000
        PA
        USD
        228904.8
        0.0478979000
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2028-07-01
          Fixed
          3.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Clarivate Science Holdings Corporation
        N/A
        CLARIVATE SCIENCE HOLDINGS COR SR UNSECURED 144A 07/29 4.875
        18064PAD1
        
          
          
        
        80000
        PA
        USD
        75264.8
        0.0157490182
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2029-07-01
          Fixed
          4.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Constellation Energy Corporation
        N/A
        CONSTELLATION ENERGY CORP COMMON STOCK
        21037T109
        
          
          
        
        8400
        NS
        USD
        472500
        0.0988697386
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        The Cooper Companies Inc.
        QJKMVPIGLH7530PCUE20
        COOPER COS INC/THE COMMON STOCK USD.1
        216648402
        
          
          
        
        1303
        NS
        USD
        544119.77
        0.1138560411
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        CoreLogic Inc.
        54930086CD8K2UIL0516
        CORELOGIC INC TERM LOAN
        21870FBA6
        
          
          
        
        1054700
        PA
        USD
        1040862.34
        0.2177984920
        Long
        LON
        CORP
        US
        N
        
        2
        
          2028-06-02
          Floating
          4.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Surgery Center Holdings Inc.
        54930054EVI5HWPPW113
        SURGERY CENTER HOLDINGS INC COMPANY GUAR 144A 04/27 10
        86881WAD4
        
          
          
        
        410000
        PA
        USD
        430500
        0.0900813174
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-04-15
          Fixed
          10.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        91782401 TROWE EQUITYOPTION---20230120
        N/A
        91782401 TROWE EQUITYOPTION---20230120
        OP0016K03
        
          
        
        12
        NC
        USD
        -6489.78
        -0.0013579743
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                PNC Financial Services Group Inc
                PNC Financial Services Group Inc
                
                  
                
              
            
            100
            220.000000000000
            USD
            2023-01-20
            XXXX
            9496.020000000000
          
        
        
          N
          N
          N
        
      
      
        91831109 TROWE EQUITYOPTION---20230120
        N/A
        91831109 TROWE EQUITYOPTION---20230120
        OP0016X90
        
          
        
        8
        NC
        USD
        -2923.61
        -0.0006117599
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                PNC Financial Services Group Inc
                PNC Financial Services Group Inc
                
                  
                
              
            
            100
            230.000000000000
            USD
            2023-01-20
            XXXX
            5302.630000000000
          
        
        
          N
          N
          N
        
      
      
        91862861 TROWE EQUITYOPTION---20230120
        N/A
        91862861 TROWE EQUITYOPTION---20230120
        OP0016XQ2
        
          
        
        7
        NC
        USD
        -3785.71
        -0.0007921527
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                PNC Financial Services Group Inc
                PNC Financial Services Group Inc
                
                  
                
              
            
            100
            220.000000000000
            USD
            2023-01-20
            XXXX
            5292.170000000000
          
        
        
          N
          N
          N
        
      
      
        91862869 TROWE EQUITYOPTION---20230120
        N/A
        91862869 TROWE EQUITYOPTION---20230120
        OP0016XR0
        
          
        
        7
        NC
        USD
        -2558.16
        -0.0005352902
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                PNC Financial Services Group Inc
                PNC Financial Services Group Inc
                
                  
                
              
            
            100
            230.000000000000
            USD
            2023-01-20
            XXXX
            4587.510000000000
          
        
        
          N
          N
          N
        
      
      
        T-Mobile USA Inc.
        549300V2JRLO5DIFGE82
        T-MOBILE USA INC COMPANY GUAR 02/28 4.75
        87264AAV7
        
          
          
        
        25000
        PA
        USD
        25410
        0.0053169948
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2028-02-01
          Fixed
          4.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        T-Mobile USA Inc.
        549300V2JRLO5DIFGE82
        T-MOBILE USA INC COMPANY GUAR 02/29 2.625
        87264ABS3
        
          
          
        
        15000
        PA
        USD
        13690.95
        0.0028648056
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2029-02-15
          Fixed
          2.625000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        T-Mobile USA Inc.
        549300V2JRLO5DIFGE82
        T-MOBILE USA INC COMPANY GUAR 02/31 2.875
        87264ABT1
        
          
          
        
        60000
        PA
        USD
        54055.8
        0.0113110747
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2031-02-15
          Fixed
          2.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        T-Mobile USA Inc.
        549300V2JRLO5DIFGE82
        T-MOBILE USA INC COMPANY GUAR 04/31 3.5
        87264ABW4
        
          
          
        
        700000
        PA
        USD
        658686
        0.1378288098
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2031-04-15
          Fixed
          3.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        CELESTIAL SATURN PARENT INC 2ND LIEN TERM LOAN
        N/A
        CELESTIAL SATURN PARENT INC 2ND LIEN TERM LOAN
        N/A
        
          
        
        80000
        PA
        USD
        78700
        0.0164678274
        Long
        LON
        CORP
        US
        N
        
        2
        
          2029-06-04
          Floating
          6.957
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Waste Connections Inc.
        549300HDLRTPBQU69P29
        WASTE CONNECTIONS INC COMMON STOCK
        94106B101
        
          
          
        
        52731
        NS
        USD
        7366520.7
        1.5414306372
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        UKG INC.
        N/A
        THE ULTIMATE SW GRP INC 2021 2ND LIEN TERM LOAN
        943ZWTII7
        
          
        
        290000
        PA
        USD
        287326.2
        0.0601224683
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-05-03
          Floating
          5.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Entegris Inc.
        IYX6OWO7BT5DKO3BYG52
        ENTEGRIS INC 2022 TERM LOAN B
        944ZXVII0
        
          
        
        823888
        PA
        USD
        821144.45
        0.1718229357
        Long
        LON
        CORP
        US
        N
        
        2
        
          2029-03-02
          Floating
          0
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Continental Airlines 2012-1 Class A Pass Through Trust
        N/A
        CONTINENTAL AIRLINES 2012-1 CL PASS THRU CE 10/25 4.15
        210795PZ7
        
          
          
        
        145410.23
        PA
        USD
        145910.34
        0.0305314649
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2024-04-11
          Fixed
          4.150000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Danaher Corporation
        S4BKK9OTCEWQ3YHPFM11
        DANAHER CORP COMMON STOCK USD.01
        235851102
        
          
          
        
        42412
        NS
        USD
        12440711.96
        2.6031956394
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        SkyMiles IP Ltd.
        N/A
        DELTA AIR LINES INC 2020 1ST LIEN TERM LOAN B
        24736CBS2
        
          
          
        
        865000
        PA
        USD
        891892.85
        0.1866269057
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-10-20
          Floating
          4.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Dollar General Corporation
        OPX52SQVOZI8IVSWYU66
        DOLLAR GENERAL CORP COMMON STOCK USD.875
        256677105
        
          
          
        
        3600
        NS
        USD
        801468
        0.1677056755
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Domino's Pizza Master Issuer LLC
        N/A
        DOMINO'S PIZZA MASTER ISSUER L DPABS 2017 1A A23 144A
        25755TAH3
        
          
          
        
        499200
        PA
        USD
        495039.67
        0.1035861223
        Long
        ABS-O
        CORP
        US
        N
        
        2
        
          2047-07-25
          Fixed
          4.118000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Domino's Pizza Master Issuer LLC
        N/A
        DOMINO'S PIZZA MASTER ISSUER L DPABS 2018 1A A2I 144A
        25755TAJ9
        
          
          
        
        474075
        PA
        USD
        476307.89
        0.0996665325
        Long
        ABS-O
        CORP
        US
        N
        
        2
        
          2048-07-25
          Fixed
          4.116000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Domino's Pizza Master Issuer LLC
        N/A
        DOMINO'S PIZZA MASTER ISSUER L DPABS 2019 1A A2 144A
        25755TAL4
        
          
          
        
        210700
        PA
        USD
        201993.24
        0.0422667065
        Long
        ABS-O
        CORP
        US
        N
        
        2
        
          2049-10-25
          Fixed
          3.668000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Eagle Broadband Investments LLC
        N/A
        EAGLE BROADBAND INVESTMENTS TERM LOAN
        26943PAB5
        
          
          
        
        188078.68
        PA
        USD
        185445.58
        0.0388041397
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-11-12
          Floating
          3.75
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Azalea Topco Inc.
        N/A
        EMERALD TOPCO INC TERM LOAN
        29102TAB8
        
          
          
        
        970857.48
        PA
        USD
        956750.92
        0.2001983352
        Long
        LON
        CORP
        US
        N
        
        2
        
          2026-07-24
          Floating
          3.799
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Azalea Topco Inc.
        N/A
        PRESS GANEY HOLDINGS INC 2021 TERM LOAN B
        29102TAE2
        
          
          
        
        24875
        PA
        USD
        24626.25
        0.0051529966
        Long
        LON
        CORP
        US
        N
        
        2
        
          2026-07-24
          Floating
          4.499
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Exelon Corporation
        3SOUA6IRML7435B56G12
        EXELON CORP COMMON STOCK
        30161N101
        
          
          
        
        25200
        NS
        USD
        1200276
        0.2511555013
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        JH COLLATERAL
        N/A
        JH COLLATERAL
        N/A
        
          
        
        141566.25
        NS
        USD
        1415492.62
        0.2961891753
        Long
        STIV
        RF
        US
        N
        
        1
        
          
          N
          N
        
      
      
        93700234 TROWE EQUITYOPTION---20230120
        N/A
        93700234 TROWE EQUITYOPTION---20230120
        OP001FQ80
        
          
        
        6
        NC
        USD
        -3464.57
        -0.0007249548
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                McDonald's Corp
                McDonald's Corp
                
                  
                
              
            
            100
            280.000000000000
            USD
            2023-01-20
            XXXX
            2662.870000000000
          
        
        
          N
          N
          N
        
      
      
        93665804 TROWE EQUITYOPTION---20230120
        N/A
        93665804 TROWE EQUITYOPTION---20230120
        OP001FQD9
        
          
        
        25
        NC
        USD
        -12760.75
        -0.0026701630
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Starbucks Corporation
                Starbucks Corporation
                
                  
                
              
            
            100
            100.000000000000
            USD
            2023-01-20
            XXXX
            8414.250000000000
          
        
        
          N
          N
          N
        
      
      
        93587595 TROWE EQUITYOPTION---20230120
        N/A
        93587595 TROWE EQUITYOPTION---20230120
        OP001FQF4
        
          
        
        19
        NC
        USD
        -1835.39
        -0.0003840519
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                Baxter International, Inc.
                Baxter International, Inc.
                
                  
                
              
            
            100
            97.500000000000
            USD
            2023-01-20
            XXXX
            1052.610000000000
          
        
        
          N
          N
          N
        
      
      
        Abbott Laboratories
        HQD377W2YR662HK5JX27
        ABBOTT LABORATORIES COMMON STOCK
        002824100
        
          
          
        
        5700
        NS
        USD
        674652
        0.1411696654
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Acrisure LLC
        N/A
        ACRISURE LLC 2021 INCREMENTAL TERM LOAN B
        00488PAN5
        
          
          
        
        248750
        PA
        USD
        246730.15
        0.0516278210
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-02-15
          Floating
          4.250000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        ACRISURE LLC / ACRISURE FINANC SR UNSECURED 144A 11/25 7
        N/A
        ACRISURE LLC / ACRISURE FINANC SR UNSECURED 144A 11/25 7
        00489LAA1
        
          
          
        
        775000
        PA
        USD
        774767.5
        0.1621186459
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2025-11-15
          Fixed
          7.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        ADMI Corp.
        N/A
        ADMI CORP 2021 TERM LOAN B2
        00709LAH0
        
          
          
        
        584100
        PA
        USD
        573241.58
        0.1199497252
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-12-23
          Floating
          3.875
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        ADMI Corp.
        N/A
        ADMI CORP 2021 INCREMENTAL TLB3
        00709LAJ6
        
          
          
        
        1059675
        PA
        USD
        1045549.53
        0.2187792778
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-12-23
          Floating
          4
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Alliant Holdings Intermediate LLC
        5493006Q26653NF8SI73
        ALLIANT HLDGS I L P TERM LOAN B 1
        01881UAE5
        
          
          
        
        900599.92
        PA
        USD
        889666.64
        0.1861610754
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-05-09
          Floating
          3.707
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Alphabet Inc.
        5493006MHB84DD0ZWV18
        ALPHABET INC COMMON STOCK USD.001
        02079K107
        
          
          
        
        3664
        NS
        USD
        10233515.36
        2.1413438915
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Alphabet Inc.
        5493006MHB84DD0ZWV18
        ALPHABET INC COMMON STOCK USD.001
        02079K305
        
          
          
        
        2467
        NS
        USD
        6861590.45
        1.4357749296
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Altice France Holding S.A.
        N/A
        ALTICE FRANCE HOLDING SA SR SECURED 144A 05/27 10.5
        02156TAB0
        
          
          
        
        450000
        PA
        USD
        470927.25
        0.0985406436
        Long
        DBT
        CORP
        LU
        N
        
        2
        
          2027-05-15
          Fixed
          10.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Sensata Technologies B.V.
        PUCKW5P5O3XMOZVH7T53
        SENSATA TECHNOLOGIES BV COMPANY GUAR 144A 10/25 5
        81725WAJ2
        
          
          
        
        325000
        PA
        USD
        329468.75
        0.0689407179
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2025-10-01
          Fixed
          5.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Six Flags Entertainment Corporation
        549300JYTDUAA4JQ3717
        SIX FLAGS ENTERTAINMENT CORP COMPANY GUAR 144A 07/24 4.875
        83001AAB8
        
          
          
        
        1405000
        PA
        USD
        1405000
        0.2939936143
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2024-07-31
          Fixed
          4.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Six Flags Entertainment Corporation
        549300JYTDUAA4JQ3717
        SIX FLAGS ENTERTAINMENT CORP COMPANY GUAR 144A 04/27 5.5
        83001AAC6
        
          
          
        
        711000
        PA
        USD
        710111.25
        0.1485894469
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-04-15
          Fixed
          5.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        DELTA AIR LINES INC / SKYMILES SR SECURED 144A 10/25 4.5
        N/A
        DELTA AIR LINES INC / SKYMILES SR SECURED 144A 10/25 4.5
        830867AA5
        
          
          
        
        700000
        PA
        USD
        704066.66
        0.1473246278
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2025-10-20
          Fixed
          4.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        DELTA AIR LINES INC / SKYMILES SR SECURED 144A 10/28 4.75
        N/A
        DELTA AIR LINES INC / SKYMILES SR SECURED 144A 10/28 4.75
        830867AB3
        
          
          
        
        390000
        PA
        USD
        392986.09
        0.0822316021
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2028-10-20
          Fixed
          4.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Snap Inc.
        549300JNC0L6VP8A2Q35
        SNAP INC SR UNSECURED 144A 05/27 0.0000
        83304AAE6
        
          
          
        
        365000
        PA
        USD
        310980
        0.0650719816
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-05-01
          None
          0.000000000000
          N
          N
          N
          N
          N
          
            
              Snap, Inc.
              Snap, Inc.
              USD
              
                
                
                
              
            
          
          
            
          
          XXXX
        
        
          N
          N
          N
        
      
      
        Sophia L.P.
        N/A
        SOPHIA LP 2021 TERM LOAN B
        83578BAN3
        
          
          
        
        298500
        PA
        USD
        295204.56
        0.0617710004
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-10-07
          Floating
          4.256
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Spotify USA Inc.
        N/A
        SPOTIFY USA INC COMPANY GUAR 144A 03/26 0.0000
        84921RAB6
        
          
          
        
        410000
        PA
        USD
        349373.71
        0.0731057934
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2026-03-15
          None
          0.000000000000
          N
          N
          N
          N
          Y
          
            
              Spotify USA, Inc.
              Spotify USA, Inc.
              USD
              
                
                
                
              
            
          
          
            
          
          XXXX
        
        
          N
          N
          N
        
      
      
        Starbucks Corporation
        OQSJ1DU9TAOC51A47K68
        STARBUCKS CORP COMMON STOCK USD.001
        855244109
        
          
          
        
        15000
        NS
        USD
        1364550
        0.2855295277
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        State Street Corporation
        549300ZFEEJ2IP5VME73
        STATE STREET CORP JR SUBORDINA 12/49 VAR
        857477AQ6
        
          
          
        
        145000
        PA
        USD
        144958.4
        0.0303322733
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2022-06-15
          Variable
          4.423000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        90812426 TROWE EQUITYOPTION---20230120
        N/A
        90812426 TROWE EQUITYOPTION---20230120
        OP0012ZN6
        
          
        
        8
        NC
        USD
        -14359.32
        -0.0030046608
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            340.000000000000
            USD
            2023-01-20
            XXXX
            -4426.600000000000
          
        
        
          N
          N
          N
        
      
      
        90812434 TROWE EQUITYOPTION---20230120
        N/A
        90812434 TROWE EQUITYOPTION---20230120
        OP0012ZR7
        
          
        
        8
        NC
        USD
        -11684.24
        -0.0024449053
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            350.000000000000
            USD
            2023-01-20
            XXXX
            -3331.200000000000
          
        
        
          N
          N
          N
        
      
      
        90864877 TROWE EQUITYOPTION---20230120
        N/A
        90864877 TROWE EQUITYOPTION---20230120
        OP00135W7
        
          
        
        7
        NC
        USD
        -15273
        -0.0031958466
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            330.000000000000
            USD
            2023-01-20
            XXXX
            -4929.590000000000
          
        
        
          N
          N
          N
        
      
      
        90864893 TROWE EQUITYOPTION---20230120
        N/A
        90864893 TROWE EQUITYOPTION---20230120
        OP00135Z0
        
          
        
        7
        NC
        USD
        -10223.71
        -0.0021392921
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            350.000000000000
            USD
            2023-01-20
            XXXX
            -2836.050000000000
          
        
        
          N
          N
          N
        
      
      
        90864885 TROWE EQUITYOPTION---20230120
        N/A
        90864885 TROWE EQUITYOPTION---20230120
        OP0013606
        
          
        
        7
        NC
        USD
        -12564.4
        -0.0026290771
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            340.000000000000
            USD
            2023-01-20
            XXXX
            -3837.710000000000
          
        
        
          N
          N
          N
        
      
      
        90828909 TROWE EQUITYOPTION---20230120
        N/A
        90828909 TROWE EQUITYOPTION---20230120
        OP0013838
        
          
        
        6
        NC
        USD
        -10769.49
        -0.0022534956
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            340.000000000000
            USD
            2023-01-20
            XXXX
            -1723.290000000000
          
        
        
          N
          N
          N
        
      
      
        90828917 TROWE EQUITYOPTION---20230120
        N/A
        90828917 TROWE EQUITYOPTION---20230120
        OP0013846
        
          
        
        6
        NC
        USD
        -8763.18
        -0.0018336790
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            350.000000000000
            USD
            2023-01-20
            XXXX
            -1126.620000000000
          
        
        
          N
          N
          N
        
      
      
        90828901 TROWE EQUITYOPTION---20230120
        N/A
        90828901 TROWE EQUITYOPTION---20230120
        OP00138D6
        
          
        
        6
        NC
        USD
        -13091.14
        -0.0027392965
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            330.000000000000
            USD
            2023-01-20
            XXXX
            -2425.360000000000
          
        
        
          N
          N
          N
        
      
      
        91244187 TROWE EQUITYOPTION---20230120
        N/A
        91244187 TROWE EQUITYOPTION---20230120
        OP0014K40
        
          
        
        15
        NC
        USD
        -26923.72
        -0.0056337379
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                MICROSOFT CORP
                MICROSOFT CORP
                
                  
                
              
            
            100
            340.000000000000
            USD
            2023-01-20
            XXXX
            3460.730000000000
          
        
        
          N
          N
          N
        
      
      
        91226059 TROWE EQUITYOPTION---20230120
        N/A
        91226059 TROWE EQUITYOPTION---20230120
        OP0014K73
        
          
        
        1
        NC
        USD
        -11432.29
        -0.0023921852
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class A
                Alphabet Inc Class A
                
                  
                
              
            
            100
            3300.000000000000
            USD
            2023-01-20
            XXXX
            4064.710000000000
          
        
        
          N
          N
          N
        
      
      
        93990987 TROWE EQUITYOPTION---20230120
        N/A
        93990987 TROWE EQUITYOPTION---20230120
        OP001J3Z7
        
          
        
        3
        NC
        USD
        -346.69
        -0.0000725442
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Otis Worldwide, Corp.
                Otis Worldwide, Corp.
                
                  
                
              
            
            100
            95.000000000000
            USD
            2023-01-20
            XXXX
            69.890000000000
          
        
        
          N
          N
          N
        
      
      
        94782302 TROWE EQUITYOPTION---20230120
        N/A
        94782302 TROWE EQUITYOPTION---20230120
        OP001LDF5
        
          
        
        2
        NC
        USD
        -24923.77
        -0.0052152521
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Amazon.com, Inc.
                Amazon.com, Inc.
                
                  
                
              
            
            100
            4000.000000000000
            USD
            2023-01-20
            XXXX
            6202.230000000000
          
        
        
          N
          N
          N
        
      
      
        94790374 TROWE EQUITYOPTION---20230120
        N/A
        94790374 TROWE EQUITYOPTION---20230120
        OP001LDH1
        
          
        
        2
        NC
        USD
        -17743.99
        -0.0037128966
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Amazon.com, Inc.
                Amazon.com, Inc.
                
                  
                
              
            
            100
            4200.000000000000
            USD
            2023-01-20
            XXXX
            4546.010000000000
          
        
        
          N
          N
          N
        
      
      
        94782294 TROWE EQUITYOPTION---20230120
        N/A
        94782294 TROWE EQUITYOPTION---20230120
        OP001LDK4
        
          
        
        2
        NC
        USD
        -29448.4
        -0.0061620225
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Amazon.com, Inc.
                Amazon.com, Inc.
                
                  
                
              
            
            100
            3900.000000000000
            USD
            2023-01-20
            XXXX
            6569.600000000000
          
        
        
          N
          N
          N
        
      
      
        94792825 TROWE EQUITYOPTION---20230120
        N/A
        94792825 TROWE EQUITYOPTION---20230120
        OP001LDN8
        
          
        
        9
        NC
        USD
        -26196.33
        -0.0054815329
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                UnitedHealth Group Incorporated
                UnitedHealth Group Incorporated
                
                  
                
              
            
            100
            560.000000000000
            USD
            2023-01-20
            XXXX
            -2514.450000000000
          
        
        
          N
          N
          N
        
      
      
        94782310 TROWE EQUITYOPTION---20230120
        N/A
        94782310 TROWE EQUITYOPTION---20230120
        OP001LDQ1
        
          
        
        2
        NC
        USD
        -21031.85
        -0.0044008752
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Amazon.com, Inc.
                Amazon.com, Inc.
                
                  
                
              
            
            100
            4100.000000000000
            USD
            2023-01-20
            XXXX
            5350.150000000000
          
        
        
          N
          N
          N
        
      
      
        94782286 TROWE EQUITYOPTION---20230120
        N/A
        94782286 TROWE EQUITYOPTION---20230120
        OP001LDT5
        
          
        
        2
        NC
        USD
        -34646.44
        -0.0072497026
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                Amazon.com, Inc.
                Amazon.com, Inc.
                
                  
                
              
            
            100
            3800.000000000000
            USD
            2023-01-20
            XXXX
            7863.560000000000
          
        
        
          N
          N
          N
        
      
      
        Alliant Holdings Intermediate LLC
        5493006Q26653NF8SI73
        ALLIANT HOLDINGS INTER LLC TERM LOAN B
        01881UAF2
        
          
          
        
        404919.09
        PA
        USD
        400193.68
        0.0837397768
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-05-09
          Floating
          3.707
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Alliant Holdings Intermediate LLC
        5493006Q26653NF8SI73
        ALLIANT HOLDINGS INTERM LLC 2021 TERM LOAN B4
        01881UAJ4
        
          
          
        
        1378075
        PA
        USD
        1367546.51
        0.2861565418
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-11-06
          Floating
          4
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        ALLIANT HOLDINGS INTERMEDIATE SR UNSECURED 144A 10/27 6.75
        N/A
        ALLIANT HOLDINGS INTERMEDIATE SR UNSECURED 144A 10/27 6.75
        01883LAA1
        
          
          
        
        125000
        PA
        USD
        123492.5
        0.0258405740
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-10-15
          Fixed
          6.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        ALLIANT HOLDINGS INTERMEDIATE SR SECURED 144A 10/27 4.25
        N/A
        ALLIANT HOLDINGS INTERMEDIATE SR SECURED 144A 10/27 4.25
        01883LAB9
        
          
          
        
        75000
        PA
        USD
        72140.25
        0.0150952120
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-10-15
          Fixed
          4.250000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        ALLIANT HOLDINGS INTERMEDIATE SR UNSECURED 144A 11/29 5.875
        N/A
        ALLIANT HOLDINGS INTERMEDIATE SR UNSECURED 144A 11/29 5.875
        01883LAD5
        
          
          
        
        75000
        PA
        USD
        72093.75
        0.0150854819
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2029-11-01
          Fixed
          5.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Amazon.com Inc.
        ZXTILKJKG63JELOEG630
        AMAZON.COM INC COMMON STOCK USD.01
        023135106
        
          
          
        
        8768
        NS
        USD
        28583241.6
        5.9809896840
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Ameren Corporation
        XRZQ5S7HYJFPHJ78L959
        AMEREN CORP COMMON STOCK USD.01
        023608102
        
          
          
        
        58891
        NS
        USD
        5521620.16
        1.1553886602
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        American Electric Power Company Inc.
        1B4S6S7G0TW5EE83BO58
        AMERICAN ELECTRIC POWER CO INC COMMON STOCK USD6.5
        025537101
        
          
          
        
        3600
        NS
        USD
        359172
        0.0751560672
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        AmWINS Group Inc.
        N/A
        AMWINS GROUP INC SR UNSECURED 144A 06/29 4.875
        031921AB5
        
          
          
        
        135000
        PA
        USD
        129602.7
        0.0271191218
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2029-06-30
          Fixed
          4.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Marsh and McLennan Companies Inc.
        549300XMP3KDCKJXIU47
        MARSH and MCLENNAN COS INC COMMON STOCK USD1.0
        571748102
        
          
          
        
        56636
        NS
        USD
        9651907.12
        2.0196434583
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Marriott International Inc.
        225YDZ14ZO8E1TXUSU86
        MARRIOTT INTERNATIONAL INC/MD SR UNSECURED 06/26 3.125
        571903AS2
        
          
          
        
        570000
        PA
        USD
        563235.25
        0.1178559195
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2026-06-15
          Fixed
          3.125000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Mastercard Incorporated
        AR5L2ODV9HN37376R084
        MASTERCARD INC COMMON STOCK USD.0001
        57636Q104
        
          
          
        
        2200
        NS
        USD
        786236
        0.1645184081
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        McDonald's Corporation
        UE2136O97NLB5BYP9H04
        MCDONALD'S CORP COMMON STOCK USD.01
        580135101
        
          
          
        
        5516
        NS
        USD
        1363996.48
        0.2854137046
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        MEDLINE BORROWER LP USD TERM LOAN B
        N/A
        MEDLINE INDUSTRIES INC USD TERM LOAN B
        58503UAC7
        
          
          
        
        2790000
        PA
        USD
        2760705
        0.5776723423
        Long
        LON
        CORP
        US
        N
        
        2
        
          2028-10-23
          Floating
          3.75
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Microsoft Corporation
        INR2EJN1ERAN0W5ZP974
        MICROSOFT CORP COMMON STOCK USD.00000625
        594918104
        
          
          
        
        106896
        NS
        USD
        32957105.76
        6.8962125543
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        MILEAGE PLUS HOLDINGS LLC / MI SR SECURED 144A 06/27 6.5
        N/A
        MILEAGE PLUS HOLDINGS LLC / MI SR SECURED 144A 06/27 6.5
        599191AA1
        
          
          
        
        280000
        PA
        USD
        291900
        0.0610795274
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-06-20
          Fixed
          6.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Mileage Plus Holdings LLC
        N/A
        MILEAGE PLUS HOLDINGS LLC 2020 TERM LOAN B
        59921PAB2
        
          
          
        
        1765000
        PA
        USD
        1828981.25
        0.3827108955
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-06-21
          Floating
          6.25
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        NiSource Inc.
        N/A
        NISOURCE INC PREFERRED STOCK VAR
        65473P881
        
          
          
        
        9084
        NS
        USD
        243905.4
        0.0510367474
        Long
        EP
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        NiSource Inc.
        N/A
        NISOURCE INC JR SUBORDINA VAR
        65473PAG0
        
          
          
        
        975000
        PA
        USD
        955500
        0.1999365825
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2023-06-15
          Variable
          5.650000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        NVIDIA Corporation
        549300S4KLFTLO7GSQ80
        NVIDIA CORP COMMON STOCK USD.001
        67066G104
        
          
          
        
        14300
        NS
        USD
        3901898
        0.8164648367
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Otis Worldwide Corporation
        N/A
        OTIS WORLDWIDE CORP COMMON STOCK USD.01
        68902V107
        
          
          
        
        2473
        NS
        USD
        190297.35
        0.0398193635
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        The PNC Financial Services Group Inc.
        CFGNEKW0P8842LEUIA51
        PNC FINANCIAL SERVICES GROUP I COMMON STOCK USD5.0
        693475105
        
          
          
        
        54569
        NS
        USD
        10065252.05
        2.1061351095
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Pacific Dental Services Inc.
        N/A
        PACIFIC DENTAL SERVICES LLC 2021 TERM LOAN
        69417WAB7
        
          
          
        
        144275
        PA
        USD
        142410.97
        0.0297992283
        Long
        LON
        CORP
        US
        N
        
        2
        
          2028-05-05
          Floating
          4
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        CLARIOS GLOBAL LP / CLARIOS US SR SECURED 144A 05/26 6.25
        N/A
        PANTHER BF AGGREGATOR 2 LP / P SR SECURED 144A 05/26 6.25
        69867DAA6
        
          
          
        
        222000
        PA
        USD
        228382.5
        0.0477886097
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2026-05-15
          Fixed
          6.250000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        CLARIOS GLOBAL LP / CLARIOS US COMPANY GUAR 144A 05/27 8.5
        N/A
        PANTHER BF AGGREGATOR 2 LP / P COMPANY GUAR 144A 05/27 8.5
        69867DAC2
        
          
          
        
        650000
        PA
        USD
        674375
        0.1411117037
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-05-15
          Fixed
          8.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Pathway Vet Alliance LLC
        N/A
        PATHWAY VET ALLIANCE LLC 2021 TERM LOAN
        70323KAE8
        
          
          
        
        124370.28
        PA
        USD
        122894
        0.0257153390
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-03-31
          Floating
          4.207
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        PetVet Care Centers LLC
        N/A
        PEARL INTERMEDIATE PARENT LLC FIRST LIEN
        70476XAC9
        
          
          
        
        83478.48
        PA
        USD
        82330.65
        0.0172275341
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-02-14
          Floating
          3.207
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        PetVet Care Centers LLC
        N/A
        PEARL INTERMEDIATE PARENT LLC SECOND LIEN
        70476XAF2
        
          
          
        
        25000
        PA
        USD
        24797
        0.0051887257
        Long
        LON
        CORP
        US
        N
        
        2
        
          2026-02-13
          Floating
          6.707
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        PetVet Care Centers LLC
        N/A
        PETVET CARE TERM LOAN
        70476XAH8
        
          
          
        
        198082.8
        PA
        USD
        196101.97
        0.0410339693
        Long
        LON
        CORP
        US
        N
        
        2
        
          2025-02-14
          Floating
          3.459
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        87704838 GOOGL SEP22 1960 CALL
        N/A
        87704838 GOOGL SEP22 1960 CALL
        N/A
        
          
        
        1
        NC
        USD
        -85738.7
        -0.0179406621
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class A
                Alphabet Inc Class A
                
                  
                
              
            
            100
            1960.000000000000
            USD
            2022-09-16
            XXXX
            -67297.200000000000
          
        
        
          N
          N
          N
        
      
      
        87688887 GOOG JUN22 2100 CALL
        N/A
        87688887 GOOG JUN22 2100 CALL
        N/A
        
          
        
        1
        NC
        USD
        -70782.61
        -0.0148111284
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class C
                Alphabet Inc Class C
                
                  
                
              
            
            100
            2100.000000000000
            USD
            2022-06-17
            XXXX
            -54148.410000000000
          
        
        
          N
          N
          N
        
      
      
        87691193 GOOGL SEP22 1960 CALL
        N/A
        87691193 GOOGL SEP22 1960 CALL
        N/A
        
          
        
        1
        NC
        USD
        -85738.7
        -0.0179406621
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class A
                Alphabet Inc Class A
                
                  
                
              
            
            100
            1960.000000000000
            USD
            2022-09-16
            XXXX
            -61648.240000000000
          
        
        
          N
          N
          N
        
      
      
        87688871 GOOG JUN22 1980 CALL
        N/A
        87688871 GOOG JUN22 1980 CALL
        N/A
        
          
        
        1
        NC
        USD
        -82370.91
        -0.0172359584
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class C
                Alphabet Inc Class C
                
                  
                
              
            
            100
            1980.000000000000
            USD
            2022-06-17
            XXXX
            -61161.190000000000
          
        
        
          N
          N
          N
        
      
      
        87688879 GOOG JUN22 2000 CALL
        N/A
        87688879 GOOG JUN22 2000 CALL
        N/A
        
          
        
        1
        NC
        USD
        -80427.63
        -0.0168293307
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class C
                Alphabet Inc Class C
                
                  
                
              
            
            100
            2000.000000000000
            USD
            2022-06-17
            XXXX
            -60074.290000000000
          
        
        
          N
          N
          N
        
      
      
        TK Elevator U.S. Newco Inc.
        N/A
        VERTICAL US NEWCO INC TERM LOAN B
        D9000BAD4
        
          
          
        
        266641.83
        PA
        USD
        263810.09
        0.0552017664
        Long
        LON
        CORP
        US
        
        N
        
        2
        
          2027-07-30
          Floating
          4.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Howden Group Holdings Limited
        N/A
        HYPERION INSURANCE GROUP LTD 2021 TERM LOAN B
        G4712JAR3
        
          
          
        
        1443474.1
        PA
        USD
        1425733.8
        0.2983321230
        Long
        LON
        CORP
        GB
        N
        
        2
        
          2027-11-12
          Floating
          4.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Linde PLC
        N/A
        LINDE PLC COMMON STOCK EUR.001
        G5494J103
        
          
          
        
        7198
        NS
        USD
        2299257.14
        0.4811152432
        Long
        EC
        CORP
        GB
        N
        
        1
        
          N
          N
          N
        
      
      
        TE Connectivity Ltd.
        N/A
        TE CONNECTIVITY LTD COMMON STOCK CHF.57
        H84989104
        
          
          
        
        71603
        NS
        USD
        9378560.94
        1.9624462830
        Long
        EC
        CORP
        US
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Camelot U.S. Acquisition LLC
        N/A
        CAMELOT US ACQUISITION 1 CO 2020 INCR TL B
        L2000AAD2
        
          
          
        
        943062.5
        PA
        USD
        933047.18
        0.1952383721
        Long
        LON
        CORP
        US
        N
        
        2
        
          2026-10-30
          Floating
          4.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Delta 2 (Lux) Sarl
        549300BBG8Z3D6QSYP53
        DELTA 2  LUX  SARL TERM LOAN B
        L2465BAQ9
        
          
          
        
        895000
        PA
        USD
        889970.1
        0.1862245739
        Long
        LON
        CORP
        LU
        N
        
        2
        
          2024-02-01
          Floating
          3.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Ryan Specialty Group LLC
        N/A
        RYAN SPECIALTY GROUP LLC TERM LOAN
        78350UAE5
        
          
          
        
        266098.48
        PA
        USD
        263881.88
        0.0552167884
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-09-01
          Floating
          3.75
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        SCE Trust IV
        N/A
        SCE TRUST IV PREFERRED STOCK VAR
        78409G206
        
          
          
        
        21826
        NS
        USD
        507236.24
        0.1061382317
        Long
        EP
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        SBA Communications Corporation
        N/A
        SBA COMMUNICATIONS CORP SR UNSECURED 02/27 3.875
        78410GAD6
        
          
          
        
        195000
        PA
        USD
        190207.88
        0.0398006421
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-02-15
          Fixed
          3.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        SeaWorld Parks and Entertainment Inc.
        N/A
        SEAWORLD PARKS AND ENTE INC 2021 TERM LOAN B
        78488CAH3
        
          
          
        
        505477.02
        PA
        USD
        498779.45
        0.1043686642
        Long
        LON
        CORP
        US
        N
        
        2
        
          2028-08-25
          Floating
          3.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Salesforce Inc.
        RCGZFPDMRW58VJ54VR07
        SALESFORCE.COM INC COMMON STOCK USD.001
        79466L302
        
          
          
        
        28120
        NS
        USD
        5970438.4
        1.2493030349
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        The Charles Schwab Corporation
        N/A
        CHARLES SCHWAB CORP/THE PREFERRED STOCK 5.95
        808513600
        
          
          
        
        1000
        NS
        USD
        25310
        0.0052960700
        Long
        EP
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Sensata Technologies B.V.
        PUCKW5P5O3XMOZVH7T53
        SENSATA TECHNOLOGIES BV COMPANY GUAR 144A 10/23 4.875
        81725WAG8
        
          
          
        
        110000
        PA
        USD
        113300
        0.0237078125
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2023-10-15
          Fixed
          4.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Sensata Technologies B.V.
        PUCKW5P5O3XMOZVH7T53
        SENSATA TECHNOLOGIES BV COMPANY GUAR 144A 11/24 5.625
        81725WAH6
        
          
          
        
        90000
        PA
        USD
        93037.5
        0.0194679223
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2024-11-01
          Fixed
          5.625000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Shopify Inc.
        549300HGQ43STJLLP808
        SHOPIFY INC SR UNSECURED 11/25 0.125
        82509LAA5
        
          
          
        
        243000
        PA
        USD
        229513.5
        0.0480252693
        Long
        DBT
        CORP
        CA
        N
        
        2
        
          2025-11-01
          Fixed
          0.125000000000
          N
          N
          N
          N
          Y
          
            
              Shopify, Inc.
              Shopify, Inc.
              USD
              
                
                
                
              
            
          
          
            
          
          XXXX
        
        
          N
          N
          N
        
      
      
        Sirius XM Radio Inc.
        WP5O65E6BMU84LNO4227
        SIRIUS XM RADIO INC COMPANY GUAR 144A 08/27 5
        82967NBA5
        
          
          
        
        655000
        PA
        USD
        653362.5
        0.1367148774
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-08-01
          Fixed
          5.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Six Flags Theme Parks Inc.
        N/A
        SIX FLAGS THEME PARKS INC SR SECURED 144A 07/25 7
        83001WAC8
        
          
          
        
        494000
        PA
        USD
        515612.5
        0.1078909484
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2025-07-01
          Fixed
          7.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        T-Mobile USA Inc.
        549300V2JRLO5DIFGE82
        T-MOBILE USA INC COMPANY GUAR 144A 04/29 3.375
        87264ACD5
        
          
          
        
        165000
        PA
        USD
        156936.45
        0.0328386578
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2029-04-15
          Fixed
          3.375000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Teledyne Technologies Incorporated
        549300VSMO9KYQWDND94
        TELEDYNE TECHNOLOGIES INC COMMON STOCK USD.01
        879360105
        
          
          
        
        5850
        NS
        USD
        2764885.5
        0.5785471041
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Teleflex Incorporated
        UUL85LWXB4NGSWWXIQ25
        TELEFLEX INC COMMON STOCK USD1.0
        879369106
        
          
          
        
        2206
        NS
        USD
        782754.98
        0.1637900112
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Teleflex Incorporated
        UUL85LWXB4NGSWWXIQ25
        TELEFLEX INC COMPANY GUAR 11/27 4.625
        879369AF3
        
          
          
        
        285000
        PA
        USD
        288918.75
        0.0604557064
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-11-15
          Fixed
          4.625000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Tenet Healthcare Corporation
        0W9AIBT6U6ADJ2I8HK17
        TENET HEALTHCARE CORP SR SECURED 144A 09/24 4.625
        88033GDC1
        
          
          
        
        150000
        PA
        USD
        151026.75
        0.0316020641
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2024-09-01
          Fixed
          4.625000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Thermo Fisher Scientific Inc.
        HCHV7422L5HDJZCRFL38
        THERMO FISHER SCIENTIFIC INC COMMON STOCK USD1.0
        883556102
        
          
          
        
        27176
        NS
        USD
        16051504.4
        3.3587471838
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        TransUnion
        549300ZS772LUNUMRB03
        TRANSUNION COMMON STOCK USD.01
        89400J107
        
          
          
        
        16525
        NS
        USD
        1707693.5
        0.3573316613
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        US Airways 2010-1 Class A Pass Through Trust
        N/A
        US AIRWAYS 2010-1 CLASS A PASS PASS THRU CE 10/24 6.25
        90345KAA8
        
          
          
        
        82142.73
        PA
        USD
        81306.2
        0.0170131698
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2023-04-22
          Fixed
          6.250000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        US Airways 2012-2 Class A Pass Through Trust
        N/A
        US AIRWAYS 2012-2 CLASS A PASS PASS THRU CE 12/26 4.625
        90345WAD6
        
          
          
        
        11844.85
        PA
        USD
        11401.9
        0.0023858262
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2025-06-03
          Fixed
          4.625000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        US AIRWAYS 2013-1 CLASS A PASS PASS THRU CE 05/27 3.95
        N/A
        US AIRWAYS 2013-1 CLASS A PASS PASS THRU CE 05/27 3.95
        90346WAA1
        
          
          
        
        127402.8
        PA
        USD
        120861.95
        0.0252901363
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2025-11-15
          Fixed
          3.950000000000
          N
          N
          N
        
        
          N
          N
          
        
      
      
        USI Inc.
        N/A
        USI INC INCREMENTAL TERM LOAN B
        90351NAE5
        
          
          
        
        1956254.74
        PA
        USD
        1941543.7
        0.4062643770
        Long
        LON
        CORP
        US
        N
        
        2
        
          2024-05-16
          Floating
          4.006
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        USI Inc.
        N/A
        USI INC 2019 INC TERM LOAN B
        90351NAF2
        
          
          
        
        819704.71
        PA
        USD
        812188.02
        0.1699488196
        Long
        LON
        CORP
        US
        N
        
        2
        
          2026-12-02
          Floating
          4.256
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        UKG INC.
        N/A
        ULTIMATE SOFTWARE GROUP INC TERM LOAN B
        90385KAB7
        
          
          
        
        160875
        PA
        USD
        160101.19
        0.0335008737
        Long
        LON
        CORP
        US
        N
        
        2
        
          2026-05-04
          Floating
          4.756
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        UKG INC.
        N/A
        THE ULTIMATE SW GRP INC 2021 TERM LOAN
        90385KAK7
        
          
          
        
        3849787.46
        PA
        USD
        3814792.89
        0.7982382559
        Long
        LON
        CORP
        US
        N
        
        2
        
          2026-05-04
          Floating
          3.75
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        United States Treasury Note/Bond
        N/A
        UNITED STATES TREASURY NOTE/BO 01/27 1.5
        912828Z78
        
          
          
        
        14389100
        PA
        USD
        13750583.69
        2.8772838417
        Long
        DBT
        UST
        US
        N
        
        2
        
          2027-01-31
          Fixed
          1.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        United States Treasury Note/Bond
        N/A
        UNITED STATES TREASURY NOTE/BO 02/27 1.875
        91282CEC1
        
          
          
        
        17106800
        PA
        USD
        16648391.13
        3.4836446123
        Long
        DBT
        UST
        US
        N
        
        2
        
          2027-02-28
          Fixed
          1.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Unitedhealth Group Incorporated
        549300GHBMY8T5GXDE41
        UNITEDHEALTH GROUP INC COMMON STOCK USD.01
        91324P102
        
          
          
        
        17504
        NS
        USD
        8926514.88
        1.8678564929
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        USI Inc.
        N/A
        USI INC/NY SR UNSECURED 144A 05/25 6.875
        91739VAA6
        
          
          
        
        799000
        PA
        USD
        801644.69
        0.1677426475
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2025-05-01
          Fixed
          6.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Visa Inc.
        549300JZ4OKEHW3DPJ59
        VISA INC COMMON STOCK USD.0001
        92826C839
        
          
          
        
        22600
        NS
        USD
        5012002
        1.0487520162
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Walmart Inc.
        Y87794H0US1R65VBXU25
        WALMART INC COMMON STOCK USD.1
        931142103
        
          
          
        
        5956
        NS
        USD
        886967.52
        0.1855962897
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        YUM! Brands Inc.
        549300JE8XHZZ7OHN517
        YUM! BRANDS INC COMMON STOCK
        988498101
        
          
          
        
        122303
        NS
        USD
        14496574.59
        3.0333810381
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        YUM! Brands Inc.
        549300JE8XHZZ7OHN517
        YUM! BRANDS INC SR UNSECURED 11/37 6.875
        988498AD3
        
          
          
        
        367000
        PA
        USD
        409572
        0.0857021727
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2037-11-15
          Fixed
          6.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        YUM! Brands Inc.
        549300JE8XHZZ7OHN517
        YUM! BRANDS INC SR UNSECURED 11/23 3.875
        988498AJ0
        
          
          
        
        440000
        PA
        USD
        443300
        0.0927596934
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2023-11-01
          Fixed
          3.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        YUM! Brands Inc.
        549300JE8XHZZ7OHN517
        YUM! BRANDS INC SR UNSECURED 11/43 5.35
        988498AK7
        
          
          
        
        579000
        PA
        USD
        563077.5
        0.1178229106
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2043-11-01
          Fixed
          5.350000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        YUM! Brands Inc.
        549300JE8XHZZ7OHN517
        YUM! BRANDS INC SR UNSECURED 144A 01/30 4.75
        988498AL5
        
          
          
        
        2000
        PA
        USD
        1961.25
        0.0004103879
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2030-01-15
          Fixed
          4.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        YUM! Brands Inc.
        549300JE8XHZZ7OHN517
        YUM! BRANDS INC SR UNSECURED 144A 04/25 7.75
        988498AM3
        
          
          
        
        165000
        PA
        USD
        171393.75
        0.0358638207
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2025-04-01
          Fixed
          7.750000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        YUM! Brands Inc.
        549300JE8XHZZ7OHN517
        YUM! BRANDS INC SR UNSECURED 04/32 5.375
        988498AR2
        
          
          
        
        264000
        PA
        USD
        264596.64
        0.0553663505
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2032-04-01
          Fixed
          5.375000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Alcon Inc.
        N/A
        ALCON INC COMMON STOCK CHF.04
        ACI198PY5
        
          
          
        
        55167
        NS
        
        4370656.54
        0.9145516818
        Long
        EC
        CORP
        CH
        N
        
        2
        
          N
          N
          N
        
      
      
        87704862 GOOGL SEP22 2100 CALL
        N/A
        87704862 GOOGL SEP22 2100 CALL
        N/A
        
          
        
        1
        NC
        USD
        -72928.49
        -0.0152601497
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class A
                Alphabet Inc Class A
                
                  
                
              
            
            100
            2100.000000000000
            USD
            2022-09-16
            XXXX
            -58855.720000000000
          
        
        
          N
          N
          N
        
      
      
        87704846 GOOGL SEP22 1980 CALL
        N/A
        87704846 GOOGL SEP22 1980 CALL
        N/A
        
          
        
        1
        NC
        USD
        -83884.05
        -0.0175525801
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class A
                Alphabet Inc Class A
                
                  
                
              
            
            100
            1980.000000000000
            USD
            2022-09-16
            XXXX
            -66083.620000000000
          
        
        
          N
          N
          N
        
      
      
        87704854 GOOGL SEP22 2000 CALL
        N/A
        87704854 GOOGL SEP22 2000 CALL
        N/A
        
          
        
        1
        NC
        USD
        -82036.8
        -0.0171660465
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Alphabet Inc Class A
                Alphabet Inc Class A
                
                  
                
              
            
            100
            2000.000000000000
            USD
            2022-09-16
            XXXX
            -64906.900000000000
          
        
        
          N
          N
          N
        
      
      
        93816578 TROWE EQUITYOPTION---20230120
        N/A
        93816578 TROWE EQUITYOPTION---20230120
        OP001G722
        
          
        
        21
        NC
        USD
        -2103.61
        -0.0004401764
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Exelon Corporation
                Exelon Corporation
                
                  
                
              
            
            100
            55.000000000000
            USD
            2023-01-20
            XXXX
            9424.340000000000
          
        
        
          N
          N
          N
        
      
      
        93816594 TROWE EQUITYOPTION---20230120
        N/A
        93816594 TROWE EQUITYOPTION---20230120
        OP001G730
        
          
        
        21
        NC
        USD
        -368.85
        -0.0000771812
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Exelon Corporation
                Exelon Corporation
                
                  
                
              
            
            100
            65.000000000000
            USD
            2023-01-20
            XXXX
            3263.730000000000
          
        
        
          N
          N
          N
        
      
      
        93838574 TROWE EQUITYOPTION---20230120
        N/A
        93838574 TROWE EQUITYOPTION---20230120
        OP001GCD2
        
          
        
        19
        NC
        USD
        -1903.26
        -0.0003982536
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Exelon Corporation
                Exelon Corporation
                
                  
                
              
            
            100
            55.000000000000
            USD
            2023-01-20
            XXXX
            9488.380000000000
          
        
        
          N
          N
          N
        
      
      
        93838590 TROWE EQUITYOPTION---20230120
        N/A
        93838590 TROWE EQUITYOPTION---20230120
        OP001GCH3
        
          
        
        19
        NC
        USD
        -333.72
        -0.0000698303
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Exelon Corporation
                Exelon Corporation
                
                  
                
              
            
            100
            65.000000000000
            USD
            2023-01-20
            XXXX
            3148.980000000000
          
        
        
          N
          N
          N
        
      
      
        93838582 TROWE EQUITYOPTION---20230120
        N/A
        93838582 TROWE EQUITYOPTION---20230120
        OP001GCJ9
        
          
        
        19
        NC
        USD
        -784.11
        -0.0001640735
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Exelon Corporation
                Exelon Corporation
                
                  
                
              
            
            100
            60.000000000000
            USD
            2023-01-20
            XXXX
            5845.560000000000
          
        
        
          N
          N
          N
        
      
      
        93980110 TROWE EQUITYOPTION---20230120
        N/A
        93980110 TROWE EQUITYOPTION---20230120
        OP001GYG1
        
          
        
        16
        NC
        USD
        -59104.51
        -0.0123675078
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CITIBANK N.A.
              N/A
            
            Call
            Written
            
              
                UnitedHealth Group Incorporated
                UnitedHealth Group Incorporated
                
                  
                
              
            
            100
            540.000000000000
            USD
            2023-01-20
            XXXX
            -15824.670000000000
          
        
        
          N
          N
          N
        
      
      
        93964051 TROWE EQUITYOPTION---20230120
        N/A
        93964051 TROWE EQUITYOPTION---20230120
        OP001H373
        
          
        
        3
        NC
        USD
        -932.28
        -0.0001950778
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              WELLS FARGO BANK N.A.
              N/A
            
            Call
            Written
            
              
                General Electric Company
                General Electric Company
                
                  
                
              
            
            100
            115.000000000000
            USD
            2023-01-20
            XXXX
            1231.110000000000
          
        
        
          N
          N
          N
        
      
      
        Booz Allen Hamilton Inc.
        549300D7XCH2480XU542
        BOOZ ALLEN HAMILTON INC COMPANY GUAR 144A 09/28 3.875
        09951LAA1
        
          
          
        
        90000
        PA
        USD
        86876.1
        0.0181786609
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2028-09-01
          Fixed
          3.875000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        CCO Holdings LLC/CCO Holdings Capital Corp.
        N/A
        CCO HOLDINGS LLC / CCO HOLDING SR UNSECURED 144A 05/26 5.5
        1248EPBR3
        
          
          
        
        125000
        PA
        USD
        126755
        0.0265232460
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2026-05-01
          Fixed
          5.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        CCO Holdings LLC/CCO Holdings Capital Corp.
        N/A
        CCO HOLDINGS LLC / CCO HOLDING SR UNSECURED 144A 05/27 5.125
        1248EPBT9
        
          
          
        
        2681000
        PA
        USD
        2684954.48
        0.5618216881
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2027-05-01
          Fixed
          5.125000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        CCO Holdings LLC/CCO Holdings Capital Corp.
        N/A
        CCO HOLDINGS LLC / CCO HOLDING SR UNSECURED 144A 02/28 5
        1248EPBX0
        
          
          
        
        2595000
        PA
        USD
        2567752.5
        0.5372973936
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2028-02-01
          Fixed
          5.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        CCO Holdings LLC/CCO Holdings Capital Corp.
        N/A
        CCO HOLDINGS LLC / CCO HOLDING SR UNSECURED 144A 03/23 4
        1248EPBZ5
        
          
          
        
        416000
        PA
        USD
        415823.2
        0.0870102245
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2023-03-01
          Fixed
          4.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        CME Group Inc.
        LCZ7XYGSLJUHFXXNXD88
        CME GROUP INC COMMON STOCK USD.01
        12572Q105
        
          
          
        
        3000
        NS
        USD
        713580
        0.1493152764
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        CMS Energy Corporation
        549300IA9XFBAGNIBW29
        CMS ENERGY CORP COMMON STOCK USD.01
        125896100
        
          
          
        
        42355
        NS
        USD
        2962308.7
        0.6198575383
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        CMS Energy Corporation
        549300IA9XFBAGNIBW29
        CMS ENERGY CORP PREFERRED STOCK 03/79 5.875
        125896845
        
          
          
        
        36571
        NS
        USD
        939874.7
        0.1966670178
        Long
        EP
        CORP
        US
        N
        
        1
        
          N
          N
          
        
      
      
        CMS Energy Corporation
        549300IA9XFBAGNIBW29
        CMS ENERGY CORP PREFERRED STOCK 10/78 5.875
        125896852
        
          
          
        
        32496
        NS
        USD
        838721.76
        0.1755009549
        Long
        EP
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Catalent Inc.
        N/A
        CATALENT INC COMMON STOCK USD.01
        148806102
        
          
          
        
        9435
        NS
        USD
        1046341.5
        0.2189449960
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Cedar Fair L.P.
        549300TUVLNQQ6BVKH61
        CEDAR FAIR L P TERM LOAN B
        15018LAJ0
        
          
          
        
        50000
        PA
        USD
        49328
        0.0103217915
        Long
        LON
        CORP
        US
        N
        
        2
        
          2024-04-13
          Floating
          2.207
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Photo Holdings Merger Sub Inc.
        N/A
        PHOTO HOLDINGS MERGER SUB INC SR SECURED 144A 10/26 8.5
        719245AD4
        
          
          
        
        411000
        PA
        USD
        391658.34
        0.0819537729
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2026-10-01
          Fixed
          8.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Loire Finco Luxembourg S.a r.l.
        N/A
        LGC LIMITED TERM LOAN
        965VBQII8
        
          
        
        1144764.76
        PA
        USD
        1129024.24
        0.2362462042
        Long
        LON
        CORP
        LU
        
        N
        
        2
        
          2027-04-21
          Floating
          3.707
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Woof Holdings Inc.
        N/A
        WOOF HOLDING INC TERM LOAN
        98082EAB0
        
          
          
        
        198000
        PA
        USD
        196267.5
        0.0410686062
        Long
        LON
        CORP
        US
        N
        
        2
        
          2027-12-21
          Floating
          4.678
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        93627791 TROWE EQUITYOPTION---20230120
        N/A
        93627791 TROWE EQUITYOPTION---20230120
        OP001FBL7
        
          
        
        12
        NC
        USD
        -15106.3
        -0.0031609649
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Medtronic PLC
                Medtronic PLC
                
                  
                
              
            
            100
            105.000000000000
            USD
            2023-01-20
            XXXX
            -622.300000000000
          
        
        
          N
          N
          N
        
      
      
        93591862 TROWE EQUITYOPTION---20230120
        N/A
        93591862 TROWE EQUITYOPTION---20230120
        OP001FDV3
        
          
        
        3
        NC
        USD
        -2989.29
        -0.0006255033
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Intercontinental Exchange Inc
                Intercontinental Exchange Inc
                
                  
                
              
            
            100
            135.000000000000
            USD
            2023-01-20
            XXXX
            -523.290000000000
          
        
        
          N
          N
          N
        
      
      
        93649759 TROWE EQUITYOPTION---20230120
        N/A
        93649759 TROWE EQUITYOPTION---20230120
        OP001FDX9
        
          
        
        10
        NC
        USD
        -12588.59
        -0.0026341388
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Medtronic PLC
                Medtronic PLC
                
                  
                
              
            
            100
            105.000000000000
            USD
            2023-01-20
            XXXX
            -1398.590000000000
          
        
        
          N
          N
          N
        
      
      
        93591918 TROWE EQUITYOPTION---20230120
        N/A
        93591918 TROWE EQUITYOPTION---20230120
        OP001FDY7
        
          
        
        25
        NC
        USD
        -9066.09
        -0.0018970623
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Starbucks Corporation
                Starbucks Corporation
                
                  
                
              
            
            100
            105.000000000000
            USD
            2023-01-20
            XXXX
            8595.910000000000
          
        
        
          N
          N
          N
        
      
      
        93591910 TROWE EQUITYOPTION---20230120
        N/A
        93591910 TROWE EQUITYOPTION---20230120
        OP001FF09
        
          
        
        25
        NC
        USD
        -12760.75
        -0.0026701630
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Starbucks Corporation
                Starbucks Corporation
                
                  
                
              
            
            100
            100.000000000000
            USD
            2023-01-20
            XXXX
            10035.250000000000
          
        
        
          N
          N
          N
        
      
      
        93591854 TROWE EQUITYOPTION---20230120
        N/A
        93591854 TROWE EQUITYOPTION---20230120
        OP001FF33
        
          
        
        3
        NC
        USD
        -3791.23
        -0.0007933078
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Intercontinental Exchange Inc
                Intercontinental Exchange Inc
                
                  
                
              
            
            100
            130.000000000000
            USD
            2023-01-20
            XXXX
            -695.230000000000
          
        
        
          N
          N
          N
        
      
      
        93649767 TROWE EQUITYOPTION---20230120
        N/A
        93649767 TROWE EQUITYOPTION---20230120
        OP001FF58
        
          
        
        10
        NC
        USD
        -9657.97
        -0.0020209121
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Medtronic PLC
                Medtronic PLC
                
                  
                
              
            
            100
            110.000000000000
            USD
            2023-01-20
            XXXX
            -817.970000000000
          
        
        
          N
          N
          N
        
      
      
        93591902 TROWE EQUITYOPTION---20230120
        N/A
        93591902 TROWE EQUITYOPTION---20230120
        OP001FF74
        
          
        
        25
        NC
        USD
        -15010.69
        -0.0031409587
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              GOLDMAN SACHS INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Starbucks Corporation
                Starbucks Corporation
                
                  
                
              
            
            100
            97.500000000000
            USD
            2023-01-20
            XXXX
            10587.810000000000
          
        
        
          N
          N
          N
        
      
      
        93591870 TROWE EQUITYOPTION---20230120
        N/A
        93591870 TROWE EQUITYOPTION---20230120
        OP001FF82
        
          
        
        3
        NC
        USD
        -2298.95
        -0.0004810510
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              JPMORGAN CHASE BANK N.A
              N/A
            
            Call
            Written
            
              
                Intercontinental Exchange Inc
                Intercontinental Exchange Inc
                
                  
                
              
            
            100
            140.000000000000
            USD
            2023-01-20
            XXXX
            -387.950000000000
          
        
        
          N
          N
          N
        
      
      
        93649775 TROWE EQUITYOPTION---20230120
        N/A
        93649775 TROWE EQUITYOPTION---20230120
        OP001FF90
        
          
        
        10
        NC
        USD
        -7177.47
        -0.0015018721
        N/A
        DE
        CORP
        US
        N
        
        2
        
          
            
              CREDIT SUISSE INTERNATIONAL
              N/A
            
            Call
            Written
            
              
                Medtronic PLC
                Medtronic PLC
                
                  
                
              
            
            100
            115.000000000000
            USD
            2023-01-20
            XXXX
            -287.470000000000
          
        
        
          N
          N
          N
        
      
    
    
      
    
    
      2022-04-29
      John Hancock Variable Insurance Trust
      /s/Salvatore Schiavone
      Salvatore Schiavone
      Treasurer
    
  
  XXXX




John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

500 Index Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 97.6%      
Communication services – 9.1%          
Diversified telecommunication services – 1.0%      
AT&T, Inc.   1,460,971   $ 34,522,745
Lumen Technologies, Inc.   181,806     2,048,954
Verizon Communications, Inc.   857,652     43,688,793
          80,260,492
Entertainment – 1.4%      
Activision Blizzard, Inc.   158,073     12,663,228
Electronic Arts, Inc.   57,843     7,317,718
Live Nation Entertainment, Inc. (A)   28,794     3,387,326
Netflix, Inc. (A)   90,994     34,085,442
Take-Two Interactive Software, Inc. (A)   23,683     3,641,024
The Walt Disney Company (A)   372,594     51,104,993
          112,199,731
Interactive media and services – 5.6%      
Alphabet, Inc., Class A (A)   61,421     170,833,298
Alphabet, Inc., Class C (A)   56,729     158,443,530
Match Group, Inc. (A)   58,231     6,332,039
Meta Platforms, Inc., Class A (A)   471,561     104,856,304
Twitter, Inc. (A)   162,191     6,275,170
          446,740,341
Media – 0.9%      
Charter Communications, Inc., Class A (A)   24,363     13,290,504
Comcast Corp., Class A   923,996     43,261,493
Discovery, Inc., Series A (A)(B)   34,370     856,500
Discovery, Inc., Series C (A)   61,733     1,541,473
DISH Network Corp., Class A (A)   50,596     1,601,363
Fox Corp., Class A   65,733     2,593,167
Fox Corp., Class B   30,146     1,093,697
News Corp., Class A   79,517     1,761,302
News Corp., Class B   24,750     557,370
Omnicom Group, Inc.   43,579     3,698,986
Paramount Global, Class B   123,135     4,655,734
The Interpublic Group of Companies, Inc.   80,005     2,836,177
          77,747,766
Wireless telecommunication services – 0.2%      
T-Mobile US, Inc. (A)   119,218     15,301,630
          732,249,960
Consumer discretionary – 11.7%          
Auto components – 0.1%      
Aptiv PLC (A)   54,982     6,581,895
BorgWarner, Inc.   48,739     1,895,947
          8,477,842
Automobiles – 2.6%      
Ford Motor Company   797,556     13,486,672
General Motors Company (A)   295,071     12,906,406
Tesla, Inc. (A)   170,971     184,238,350
          210,631,428
Distributors – 0.1%      
Genuine Parts Company   29,109     3,668,316
LKQ Corp.   54,953     2,495,416
Pool Corp.   8,151     3,446,650
          9,610,382
Hotels, restaurants and leisure – 1.8%      
Booking Holdings, Inc. (A)   8,346     19,600,164
Caesars Entertainment, Inc. (A)   43,381     3,355,954
Carnival Corp. (A)   162,307     3,281,848
Chipotle Mexican Grill, Inc. (A)   5,710     9,033,391
Darden Restaurants, Inc.   26,488     3,521,580
Domino's Pizza, Inc.   7,491     3,048,912
500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Expedia Group, Inc. (A)   30,716   $ 6,010,200
Hilton Worldwide Holdings, Inc. (A)   56,644     8,595,161
Las Vegas Sands Corp. (A)   69,878     2,716,158
Marriott International, Inc., Class A (A)   55,601     9,771,876
McDonald's Corp.   152,712     37,762,623
MGM Resorts International   75,944     3,185,091
Norwegian Cruise Line Holdings, Ltd. (A)   86,884     1,901,022
Penn National Gaming, Inc. (A)   31,868     1,351,841
Royal Caribbean Cruises, Ltd. (A)   45,556     3,816,682
Starbucks Corp.   234,993     21,377,313
Wynn Resorts, Ltd. (A)   21,395     1,706,037
Yum! Brands, Inc.   60,092     7,122,705
          147,158,558
Household durables – 0.3%      
D.R. Horton, Inc.   66,251     4,936,362
Garmin, Ltd.   30,881     3,662,795
Lennar Corp., A Shares   53,242     4,321,653
Mohawk Industries, Inc. (A)   11,365     1,411,533
Newell Brands, Inc.   76,953     1,647,564
NVR, Inc. (A)   689     3,077,949
PulteGroup, Inc.   52,750     2,210,225
Whirlpool Corp.   11,579     2,000,620
          23,268,701
Internet and direct marketing retail – 3.8%      
Amazon.com, Inc. (A)   89,369     291,338,472
eBay, Inc.   127,529     7,302,311
Etsy, Inc. (A)   25,727     3,197,352
          301,838,135
Leisure products – 0.0%      
Hasbro, Inc.   26,306     2,154,988
Multiline retail – 0.5%      
Dollar General Corp.   46,932     10,448,471
Dollar Tree, Inc. (A)   45,406     7,271,771
Target Corp.   97,862     20,768,274
          38,488,516
Specialty retail – 1.9%      
Advance Auto Parts, Inc.   13,301     2,752,775
AutoZone, Inc. (A)   4,260     8,709,911
Bath & Body Works, Inc.   53,812     2,572,214
Best Buy Company, Inc.   43,536     3,957,422
CarMax, Inc. (A)   33,117     3,195,128
Lowe's Companies, Inc.   137,603     27,821,951
O'Reilly Automotive, Inc. (A)   13,660     9,356,554
Ross Stores, Inc.   72,587     6,566,220
The Home Depot, Inc.   213,242     63,829,728
The TJX Companies, Inc.   241,617     14,637,158
Tractor Supply Company   23,240     5,423,519
Ulta Beauty, Inc. (A)   11,130     4,432,189
          153,254,769
Textiles, apparel and luxury goods – 0.6%      
NIKE, Inc., Class B   259,778     34,955,728
PVH Corp.   14,504     1,111,151
Ralph Lauren Corp.   9,884     1,121,241
Tapestry, Inc.   56,679     2,105,625
Under Armour, Inc., Class A (A)   38,345     652,632
Under Armour, Inc., Class C (A)   42,357     659,075
VF Corp.   66,239     3,766,350
          44,371,802
          939,255,121
 
  1  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer staples – 5.9%          
Beverages – 1.4%      
Brown-Forman Corp., Class B   37,138   $ 2,488,989
Constellation Brands, Inc., Class A   33,187     7,643,630
Molson Coors Beverage Company, Class B   38,292     2,044,027
Monster Beverage Corp. (A)   76,324     6,098,288
PepsiCo, Inc.   282,342     47,258,404
The Coca-Cola Company   793,835     49,217,770
          114,751,108
Food and staples retailing – 1.5%      
Costco Wholesale Corp.   90,492     52,109,818
Sysco Corp.   103,982     8,490,130
The Kroger Company   138,211     7,929,165
Walgreens Boots Alliance, Inc.   145,925     6,533,062
Walmart, Inc.   288,821     43,011,223
          118,073,398
Food products – 0.9%      
Archer-Daniels-Midland Company   113,694     10,262,020
Campbell Soup Company   41,270     1,839,404
Conagra Brands, Inc.   97,630     3,277,439
General Mills, Inc.   123,229     8,345,068
Hormel Foods Corp.   57,293     2,952,881
Kellogg Company   51,964     3,351,158
Lamb Weston Holdings, Inc.   29,496     1,767,105
McCormick & Company, Inc.   50,650     5,054,870
Mondelez International, Inc., Class A   284,114     17,836,677
The Hershey Company   29,559     6,403,366
The J.M. Smucker Company   22,021     2,981,864
The Kraft Heinz Company   144,293     5,683,701
Tyson Foods, Inc., Class A   59,923     5,370,898
          75,126,451
Household products – 1.3%      
Church & Dwight Company, Inc.   49,908     4,959,857
Colgate-Palmolive Company   171,449     13,000,978
Kimberly-Clark Corp.   68,449     8,430,179
The Clorox Company   24,962     3,470,467
The Procter & Gamble Company   489,486     74,793,461
          104,654,942
Personal products – 0.2%      
The Estee Lauder Companies, Inc., Class A   47,134     12,835,531
Tobacco – 0.6%      
Altria Group, Inc.   374,818     19,584,241
Philip Morris International, Inc.   316,782     29,758,501
          49,342,742
          474,784,172
Energy – 3.8%          
Energy equipment and services – 0.3%      
Baker Hughes Company   186,796     6,801,242
Halliburton Company   180,998     6,854,394
Schlumberger NV   284,239     11,741,913
          25,397,549
Oil, gas and consumable fuels – 3.5%      
APA Corp.   76,835     3,175,591
Chevron Corp.   394,509     64,237,900
ConocoPhillips   266,350     26,635,000
Coterra Energy, Inc.   166,639     4,494,254
Devon Energy Corp.   127,972     7,566,984
Diamondback Energy, Inc.   34,592     4,741,871
EOG Resources, Inc.   118,672     14,149,263
Exxon Mobil Corp.   864,950     71,436,221
Hess Corp.   56,019     5,996,274
500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Kinder Morgan, Inc.   396,186   $ 7,491,877
Marathon Oil Corp.   160,247     4,023,802
Marathon Petroleum Corp.   118,633     10,143,122
Occidental Petroleum Corp.   180,297     10,230,052
ONEOK, Inc.   90,583     6,397,877
Phillips 66   95,909     8,285,579
Pioneer Natural Resources Company   46,115     11,530,133
The Williams Companies, Inc.   246,946     8,250,466
Valero Energy Corp.   83,095     8,437,466
          277,223,732
          302,621,281
Financials – 10.8%          
Banks – 3.7%      
Bank of America Corp.   1,451,712     59,839,569
Citigroup, Inc.   403,692     21,557,153
Citizens Financial Group, Inc.   86,604     3,925,759
Comerica, Inc.   27,221     2,461,595
Fifth Third Bancorp   140,392     6,042,472
First Republic Bank   37,019     6,000,780
Huntington Bancshares, Inc.   300,118     4,387,725
JPMorgan Chase & Co.   603,439     82,260,804
KeyCorp   193,106     4,321,712
M&T Bank Corp.   26,154     4,433,103
People's United Financial, Inc.   86,983     1,738,790
Regions Financial Corp.   194,015     4,318,774
Signature Bank   13,027     3,823,294
SVB Financial Group (A)   11,924     6,670,882
The PNC Financial Services Group, Inc.   85,209     15,716,800
Truist Financial Corp.   271,312     15,383,390
U.S. Bancorp   274,229     14,575,271
Wells Fargo & Company   794,051     38,479,711
Zions Bancorp NA   29,664     1,944,772
          297,882,356
Capital markets – 2.9%      
Ameriprise Financial, Inc.   23,119     6,944,023
BlackRock, Inc.   29,079     22,221,299
Cboe Global Markets, Inc.   21,672     2,479,710
CME Group, Inc.   73,928     17,584,514
FactSet Research Systems, Inc.   7,673     3,331,233
Franklin Resources, Inc.   57,236     1,598,029
Intercontinental Exchange, Inc.   114,464     15,122,984
Invesco, Ltd.   69,397     1,600,295
MarketAxess Holdings, Inc.   7,724     2,627,705
Moody's Corp.   32,926     11,109,562
Morgan Stanley   289,534     25,305,272
MSCI, Inc.   16,757     8,426,760
Nasdaq, Inc.   23,790     4,239,378
Northern Trust Corp.   42,357     4,932,473
Raymond James Financial, Inc.   37,644     4,137,452
S&P Global, Inc.   72,553     29,759,790
State Street Corp.   74,316     6,474,410
T. Rowe Price Group, Inc.   47,680     7,208,739
The Bank of New York Mellon Corp.   150,156     7,452,242
The Charles Schwab Corp.   307,669     25,939,573
The Goldman Sachs Group, Inc.   69,142     22,823,774
          231,319,217
Consumer finance – 0.6%      
American Express Company   125,664     23,499,168
Capital One Financial Corp.   84,610     11,108,447
Discover Financial Services   58,749     6,473,552
 
  2  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer finance (continued)      
Synchrony Financial   104,590   $ 3,640,778
          44,721,945
Diversified financial services – 1.6%      
Berkshire Hathaway, Inc., Class B (A)   373,920     131,960,107
Insurance – 2.0%      
Aflac, Inc.   121,822     7,844,119
American International Group, Inc.   169,174     10,619,052
Aon PLC, Class A   43,908     14,297,762
Arthur J. Gallagher & Company   42,023     7,337,216
Assurant, Inc.   11,954     2,173,596
Brown & Brown, Inc.   47,508     3,433,403
Chubb, Ltd.   87,619     18,741,704
Cincinnati Financial Corp.   30,468     4,142,429
Everest Re Group, Ltd.   8,104     2,442,384
Globe Life, Inc.   19,021     1,913,513
Lincoln National Corp.   35,905     2,346,751
Loews Corp.   41,311     2,677,779
Marsh & McLennan Companies, Inc.   102,974     17,548,829
MetLife, Inc.   144,037     10,122,920
Principal Financial Group, Inc.   50,733     3,724,310
Prudential Financial, Inc.   76,340     9,021,098
The Allstate Corp.   57,953     8,027,070
The Hartford Financial Services Group, Inc.   67,332     4,835,111
The Progressive Corp.   118,938     13,557,743
The Travelers Companies, Inc.   49,172     8,985,200
W.R. Berkley Corp.   42,759     2,847,322
Willis Towers Watson PLC   25,190     5,950,382
          162,589,693
          868,473,318
Health care – 13.3%          
Biotechnology – 1.9%      
AbbVie, Inc.   361,059     58,531,274
Amgen, Inc.   115,282     27,877,493
Biogen, Inc. (A)   30,292     6,379,495
Gilead Sciences, Inc.   254,843     15,150,416
Incyte Corp. (A)   38,153     3,030,111
Moderna, Inc. (A)   72,238     12,443,718
Regeneron Pharmaceuticals, Inc. (A)   21,809     15,231,842
Vertex Pharmaceuticals, Inc. (A)   51,576     13,459,789
          152,104,138
Health care equipment and supplies – 2.8%      
Abbott Laboratories   362,222     42,872,596
ABIOMED, Inc. (A)   9,224     3,055,358
Align Technology, Inc. (A)   14,935     6,511,660
Baxter International, Inc.   101,609     7,878,762
Becton, Dickinson and Company   58,373     15,527,218
Boston Scientific Corp. (A)   289,406     12,817,792
Dentsply Sirona, Inc.   44,422     2,186,451
DexCom, Inc. (A)   19,665     10,060,614
Edwards Lifesciences Corp. (A)   126,695     14,914,535
Hologic, Inc. (A)   51,523     3,957,997
IDEXX Laboratories, Inc. (A)   17,292     9,459,762
Intuitive Surgical, Inc. (A)   73,313     22,117,066
Medtronic PLC   275,477     30,564,173
ResMed, Inc.   29,577     7,172,718
STERIS PLC   20,277     4,902,370
Stryker Corp.   69,077     18,467,736
Teleflex, Inc.   9,513     3,375,498
The Cooper Companies, Inc.   10,010     4,180,076
500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Zimmer Biomet Holdings, Inc.   42,448   $ 5,429,099
          225,451,481
Health care providers and services – 2.9%      
AmerisourceBergen Corp.   30,408     4,704,422
Anthem, Inc.   49,557     24,343,390
Cardinal Health, Inc.   58,974     3,343,826
Centene Corp. (A)   118,507     9,977,104
Cigna Corp.   65,922     15,795,570
CVS Health Corp.   268,211     27,145,635
DaVita, Inc. (A)   13,633     1,542,029
HCA Healthcare, Inc.   48,803     12,231,008
Henry Schein, Inc. (A)   28,393     2,475,586
Humana, Inc.   26,119     11,366,205
Laboratory Corp. of America Holdings (A)   18,832     4,965,245
McKesson Corp.   30,598     9,366,966
Molina Healthcare, Inc. (A)   11,851     3,953,375
Quest Diagnostics, Inc.   24,834     3,398,781
UnitedHealth Group, Inc.   192,309     98,071,821
Universal Health Services, Inc., Class B   15,422     2,235,419
          234,916,382
Health care technology – 0.1%      
Cerner Corp.   60,079     5,620,991
Life sciences tools and services – 1.8%      
Agilent Technologies, Inc.   61,676     8,161,585
Bio-Rad Laboratories, Inc., Class A (A)   4,368     2,460,189
Bio-Techne Corp.   7,905     3,423,181
Charles River Laboratories International, Inc. (A)   10,243     2,908,705
Danaher Corp.   129,916     38,108,260
Illumina, Inc. (A)   31,856     11,130,486
IQVIA Holdings, Inc. (A)   38,946     9,004,705
Mettler-Toledo International, Inc. (A)   4,699     6,452,620
PerkinElmer, Inc.   25,714     4,486,064
Thermo Fisher Scientific, Inc.   80,336     47,450,458
Waters Corp. (A)   12,472     3,871,184
West Pharmaceutical Services, Inc.   15,037     6,175,846
          143,633,283
Pharmaceuticals – 3.8%      
Bristol-Myers Squibb Company   445,228     32,515,001
Catalent, Inc. (A)   36,817     4,083,005
Eli Lilly & Company   162,193     46,447,209
Johnson & Johnson   537,783     95,311,281
Merck & Company, Inc.   514,515     42,215,956
Organon & Company   51,529     1,799,908
Pfizer, Inc.   1,147,996     59,431,753
Viatris, Inc.   245,795     2,674,250
Zoetis, Inc.   96,332     18,167,252
          302,645,615
          1,064,371,890
Industrials – 7.7%          
Aerospace and defense – 1.5%      
General Dynamics Corp.   47,159     11,373,808
Howmet Aerospace, Inc.   78,461     2,819,888
Huntington Ingalls Industries, Inc.   8,159     1,627,231
L3Harris Technologies, Inc.   40,626     10,094,342
Lockheed Martin Corp.   49,501     21,849,741
Northrop Grumman Corp.   29,993     13,413,469
Raytheon Technologies Corp.   304,129     30,130,046
Textron, Inc.   45,557     3,388,530
The Boeing Company (A)   111,990     21,446,085
 
  3  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Aerospace and defense (continued)      
TransDigm Group, Inc. (A)   10,642   $ 6,933,689
          123,076,829
Air freight and logistics – 0.6%      
CH Robinson Worldwide, Inc.   26,771     2,883,504
Expeditors International of Washington, Inc.   34,531     3,562,218
FedEx Corp.   49,993     11,567,880
United Parcel Service, Inc., Class B   149,064     31,968,265
          49,981,867
Airlines – 0.2%      
Alaska Air Group, Inc. (A)   25,454     1,476,587
American Airlines Group, Inc. (A)(B)   131,599     2,401,682
Delta Air Lines, Inc. (A)   130,066     5,146,712
Southwest Airlines Company (A)   120,255     5,507,679
United Airlines Holdings, Inc. (A)   65,776     3,049,375
          17,582,035
Building products – 0.4%      
A.O. Smith Corp.   27,073     1,729,694
Allegion PLC   18,231     2,001,399
Carrier Global Corp.   176,365     8,089,863
Fortune Brands Home & Security, Inc.   28,025     2,081,697
Johnson Controls International PLC   144,763     9,492,110
Masco Corp.   50,237     2,562,087
Trane Technologies PLC   48,295     7,374,647
          33,331,497
Commercial services and supplies – 0.4%      
Cintas Corp.   17,789     7,567,263
Copart, Inc. (A)   43,277     5,429,965
Republic Services, Inc.   42,708     5,658,810
Rollins, Inc.   46,008     1,612,580
Waste Management, Inc.   78,743     12,480,766
          32,749,384
Construction and engineering – 0.1%      
Quanta Services, Inc.   28,283     3,722,326
Electrical equipment – 0.5%      
AMETEK, Inc.   46,994     6,258,661
Eaton Corp. PLC   81,018     12,295,292
Emerson Electric Company   121,506     11,913,663
Generac Holdings, Inc. (A)   12,830     3,813,846
Rockwell Automation, Inc.   23,583     6,603,947
          40,885,409
Industrial conglomerates – 1.0%      
3M Company   116,060     17,279,013
General Electric Company   225,488     20,632,152
Honeywell International, Inc.   140,327     27,304,828
Roper Technologies, Inc.   21,428     10,118,944
          75,334,937
Machinery – 1.5%      
Caterpillar, Inc.   110,069     24,525,575
Cummins, Inc.   29,189     5,986,956
Deere & Company   57,117     23,729,829
Dover Corp.   29,261     4,591,051
Fortive Corp.   72,845     4,438,446
IDEX Corp.   15,447     2,961,653
Illinois Tool Works, Inc.   58,257     12,199,016
Ingersoll Rand, Inc.   82,354     4,146,524
Nordson Corp.   11,195     2,542,161
Otis Worldwide Corp.   86,745     6,675,028
PACCAR, Inc.   70,565     6,214,660
Parker-Hannifin Corp.   26,231     7,443,309
Pentair PLC   33,712     1,827,528
Snap-on, Inc.   10,970     2,254,116
500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Stanley Black & Decker, Inc.   33,123   $ 4,630,264
Wabtec Corp.   38,422     3,695,044
Xylem, Inc.   36,619     3,122,136
          120,983,296
Professional services – 0.3%      
Equifax, Inc.   24,764     5,871,544
Jacobs Engineering Group, Inc.   26,487     3,650,173
Leidos Holdings, Inc.   28,774     3,108,167
Nielsen Holdings PLC   72,928     1,986,559
Robert Half International, Inc.   22,758     2,598,508
Verisk Analytics, Inc.   32,795     7,038,791
          24,253,742
Road and rail – 1.0%      
CSX Corp.   451,557     16,910,810
JB Hunt Transport Services, Inc.   17,105     3,434,513
Norfolk Southern Corp.   49,351     14,075,892
Old Dominion Freight Line, Inc.   19,067     5,694,932
Union Pacific Corp.   129,890     35,487,247
          75,603,394
Trading companies and distributors – 0.2%      
Fastenal Company   116,818     6,938,989
United Rentals, Inc. (A)   14,714     5,226,560
W.W. Grainger, Inc.   8,891     4,585,889
          16,751,438
          614,256,154
Information technology – 27.3%          
Communications equipment – 0.8%      
Arista Networks, Inc. (A)   45,532     6,328,037
Cisco Systems, Inc.   860,625     47,988,450
F5, Inc. (A)   12,259     2,561,518
Juniper Networks, Inc.   66,088     2,455,830
Motorola Solutions, Inc.   34,416     8,335,555
          67,669,390
Electronic equipment, instruments and components – 0.6%      
Amphenol Corp., Class A   121,584     9,161,354
CDW Corp.   27,947     4,999,439
Corning, Inc.   150,181     5,543,181
IPG Photonics Corp. (A)   7,285     799,602
Keysight Technologies, Inc. (A)   37,445     5,915,187
TE Connectivity, Ltd.   66,667     8,732,044
Teledyne Technologies, Inc. (A)   9,473     4,477,224
Trimble, Inc. (A)   51,143     3,689,456
Zebra Technologies Corp., Class A (A)   10,854     4,490,300
          47,807,787
IT services – 4.2%      
Accenture PLC, Class A   128,892     43,466,249
Akamai Technologies, Inc. (A)   33,096     3,951,331
Automatic Data Processing, Inc.   85,993     19,566,847
Broadridge Financial Solutions, Inc.   23,612     3,676,625
Cognizant Technology Solutions Corp., Class A   106,830     9,579,446
DXC Technology Company (A)   51,201     1,670,689
EPAM Systems, Inc. (A)   11,569     3,431,481
Fidelity National Information Services, Inc.   125,633     12,616,066
Fiserv, Inc. (A)   121,137     12,283,292
FleetCor Technologies, Inc. (A)   16,790     4,181,717
Gartner, Inc. (A)   17,002     5,057,415
Global Payments, Inc.   58,017     7,939,046
IBM Corp.   183,958     23,918,219
Jack Henry & Associates, Inc.   15,098     2,975,061
Mastercard, Inc., Class A   176,270     62,995,373
 
  4  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
IT services (continued)      
Paychex, Inc.   65,092   $ 8,883,105
PayPal Holdings, Inc. (A)   238,831     27,620,805
VeriSign, Inc. (A)   19,783     4,400,926
Visa, Inc., Class A   338,708     75,115,273
          333,328,966
Semiconductors and semiconductor equipment – 5.8%      
Advanced Micro Devices, Inc. (A)   333,227     36,435,040
Analog Devices, Inc.   107,255     17,716,381
Applied Materials, Inc.   181,342     23,900,876
Broadcom, Inc.   84,298     53,080,765
Enphase Energy, Inc. (A)   27,362     5,521,104
Intel Corp.   829,415     41,105,807
KLA Corp.   31,045     11,364,333
Lam Research Corp.   28,615     15,383,710
Microchip Technology, Inc.   114,171     8,578,809
Micron Technology, Inc.   228,815     17,822,400
Monolithic Power Systems, Inc.   8,773     4,260,871
NVIDIA Corp.   510,542     139,306,490
NXP Semiconductors NV   53,890     9,973,961
Qorvo, Inc. (A)   22,590     2,803,419
QUALCOMM, Inc.   230,132     35,168,772
Skyworks Solutions, Inc.   33,567     4,473,810
SolarEdge Technologies, Inc. (A)   10,695     3,447,747
Teradyne, Inc.   33,532     3,964,488
Texas Instruments, Inc.   188,927     34,664,326
          468,973,109
Software – 8.7%      
Adobe, Inc. (A)   96,321     43,885,774
ANSYS, Inc. (A)   17,735     5,633,523
Autodesk, Inc. (A)   44,719     9,585,518
Cadence Design Systems, Inc. (A)   56,257     9,252,026
Ceridian HCM Holding, Inc. (A)   27,414     1,874,021
Citrix Systems, Inc.   25,251     2,547,826
Fortinet, Inc. (A)   27,552     9,415,620
Intuit, Inc.   57,699     27,743,987
Microsoft Corp.   1,531,043     472,035,867
NortonLifeLock, Inc.   118,147     3,133,258
Oracle Corp.   322,066     26,644,520
Paycom Software, Inc. (A)   9,771     3,384,479
PTC, Inc. (A)   21,473     2,313,072
salesforce.com, Inc. (A)   201,252     42,729,825
ServiceNow, Inc. (A)   41,054     22,862,562
Synopsys, Inc. (A)   31,764     10,585,988
Tyler Technologies, Inc. (A)   8,302     3,693,477
          697,321,343
Technology hardware, storage and peripherals – 7.2%      
Apple, Inc.   3,166,035     552,821,371
Hewlett Packard Enterprise Company   265,437     4,435,452
HP, Inc.   221,507     8,040,704
NetApp, Inc.   45,532     3,779,156
Seagate Technology Holdings PLC   40,066     3,601,933
Western Digital Corp. (A)   62,288     3,092,599
          575,771,215
          2,190,871,810
Materials – 2.6%          
Chemicals – 1.7%      
Air Products & Chemicals, Inc.   44,994     11,244,451
Albemarle Corp.   23,771     5,256,957
Celanese Corp.   22,585     3,226,719
CF Industries Holdings, Inc.   43,720     4,505,783
Corteva, Inc.   149,227     8,577,568
Dow, Inc.   151,582     9,658,805
DuPont de Nemours, Inc.   106,314     7,822,584
500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Chemicals (continued)      
Eastman Chemical Company   25,492   $ 2,856,634
Ecolab, Inc.   50,589     8,931,994
FMC Corp.   26,159     3,441,740
International Flavors & Fragrances, Inc.   52,304     6,869,084
Linde PLC   104,981     33,534,081
LyondellBasell Industries NV, Class A   53,714     5,522,873
PPG Industries, Inc.   48,244     6,323,341
The Mosaic Company   76,965     5,118,173
The Sherwin-Williams Company   49,236     12,290,290
          135,181,077
Construction materials – 0.1%      
Martin Marietta Materials, Inc.   12,678     4,879,635
Vulcan Materials Company   26,967     4,953,838
          9,833,473
Containers and packaging – 0.3%      
Amcor PLC   313,377     3,550,561
Avery Dennison Corp.   16,846     2,930,699
Ball Corp.   66,385     5,974,650
International Paper Company   79,439     3,666,110
Packaging Corp. of America   19,308     3,014,172
Sealed Air Corp.   30,466     2,040,003
Westrock Company   54,270     2,552,318
          23,728,513
Metals and mining – 0.5%      
Freeport-McMoRan, Inc.   298,392     14,842,018
Newmont Corp.   162,427     12,904,825
Nucor Corp.   55,590     8,263,454
          36,010,297
          204,753,360
Real estate – 2.7%          
Equity real estate investment trusts – 2.6%      
Alexandria Real Estate Equities, Inc.   30,474     6,132,893
American Tower Corp.   93,452     23,477,011
AvalonBay Communities, Inc.   28,378     7,048,244
Boston Properties, Inc.   28,885     3,720,388
Crown Castle International Corp.   87,846     16,216,372
Digital Realty Trust, Inc.   57,439     8,144,850
Duke Realty Corp.   76,900     4,464,814
Equinix, Inc.   18,540     13,749,635
Equity Residential   69,260     6,227,859
Essex Property Trust, Inc.   13,219     4,566,900
Extra Space Storage, Inc.   27,197     5,591,703
Federal Realty Investment Trust   14,226     1,736,568
Healthpeak Properties, Inc.   109,548     3,760,783
Host Hotels & Resorts, Inc.   145,119     2,819,662
Iron Mountain, Inc.   58,834     3,259,992
Kimco Realty Corp.   124,700     3,080,090
Mid-America Apartment Communities, Inc.   23,582     4,939,250
Prologis, Inc.   151,717     24,499,261
Public Storage   30,986     12,093,216
Realty Income Corp.   115,405     7,997,567
Regency Centers Corp.   31,075     2,216,891
SBA Communications Corp.   22,267     7,662,075
Simon Property Group, Inc.   66,792     8,787,156
UDR, Inc.   60,802     3,488,211
Ventas, Inc.   83,830     5,177,341
Vornado Realty Trust   32,316     1,464,561
Welltower, Inc.   88,867     8,543,673
 
  5  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
Weyerhaeuser Company   152,398   $ 5,775,884
          206,642,850
Real estate management and development – 0.1%      
CBRE Group, Inc., Class A (A)   68,240     6,245,325
          212,888,175
Utilities – 2.7%          
Electric utilities – 1.7%      
Alliant Energy Corp.   50,866     3,178,108
American Electric Power Company, Inc.   102,099     10,186,417
Constellation Energy Corp.   66,250     3,726,563
Duke Energy Corp.   156,372     17,460,498
Edison International   77,177     5,410,108
Entergy Corp.   40,845     4,768,654
Evergy, Inc.   46,606     3,185,054
Eversource Energy   69,847     6,159,807
Exelon Corp.   198,750     9,466,463
FirstEnergy Corp.   117,387     5,383,368
NextEra Energy, Inc.   401,387     34,001,493
NRG Energy, Inc.   49,752     1,908,487
Pinnacle West Capital Corp.   22,924     1,790,364
PPL Corp.   156,426     4,467,527
The Southern Company   218,505     15,843,798
Xcel Energy, Inc.   109,440     7,898,285
          134,834,994
Gas utilities – 0.0%      
Atmos Energy Corp.   28,557     3,412,276
Independent power and renewable electricity producers –
0.1%
     
The AES Corp.   135,441     3,484,897
Multi-utilities – 0.8%      
Ameren Corp.   52,266     4,900,460
CenterPoint Energy, Inc.   129,183     3,958,167
CMS Energy Corp.   58,874     4,117,648
Consolidated Edison, Inc.   71,827     6,800,580
Dominion Energy, Inc.   167,123     14,200,441
DTE Energy Company   39,381     5,206,562
NiSource, Inc.   79,760     2,536,368
Public Service Enterprise Group, Inc.   102,761     7,193,270
Sempra Energy   64,905     10,911,829
WEC Energy Group, Inc.   64,114     6,399,218
          66,224,543
Water utilities – 0.1%      
American Water Works Company, Inc.   36,890     6,106,402
          214,063,112
TOTAL COMMON STOCKS (Cost $2,849,359,809)   $ 7,818,588,353
500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 2.5%      
U.S. Government – 0.3%          
U.S. Treasury Bill
0.100%, 04/28/2022 *
$ 25,000,000   $ 24,998,008
U.S. Government Agency – 2.1%          
Federal Home Loan Bank Discount Note          
0.135%, 04/01/2022 *   30,000,000     30,000,000
0.150%, 04/06/2022 *   56,380,000     56,378,670
0.150%, 04/07/2022 *   7,000,000     6,999,802
0.155%, 04/11/2022 *   50,000,000     49,997,641
0.180%, 04/05/2022 *   20,936,000     20,935,605
          164,311,718
Short-term funds – 0.0%          
John Hancock Collateral Trust, 0.3592% (C)(D)   335,090     3,350,498
Repurchase agreement – 0.1%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $9,490,000 on 4-1-22, collateralized by $9,692,700 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $9,679,828) $ 9,490,000     9,490,000
TOTAL SHORT-TERM INVESTMENTS (Cost $202,150,699)   $ 202,150,224
Total Investments (500 Index Trust)
(Cost $3,051,510,508) – 100.1%
  $ 8,020,738,577
Other assets and liabilities, net – (0.1%)     (9,990,964)
TOTAL NET ASSETS – 100.0%   $ 8,010,747,613
Security Abbreviations and Legend
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $3,223,910.
(C) The rate shown is the annualized seven-day yield as of 3-31-22.
(D) 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 E-Mini Index Futures 891 Long Jun 2022 $190,627,291 $201,844,913 $11,217,622
            $11,217,622
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
  6  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
33.4%
     
U.S. Government – 14.5%          
U.S. Treasury Bonds          
1.250%, 05/15/2050 $ 2,000,000   $ 1,491,719
1.625%, 11/15/2050   6,500,000     5,326,445
1.875%, 02/15/2041 to 11/15/2051   22,365,300     19,698,015
2.000%, 11/15/2041 to 08/15/2051   5,000,000     4,516,251
2.250%, 05/15/2041 to 02/15/2052   10,065,000     9,607,847
2.375%, 02/15/2042   3,973,000     3,832,083
2.500%, 02/15/2045   8,766,000     8,537,947
3.000%, 02/15/2047   3,420,000     3,679,840
U.S. Treasury Notes          
1.125%, 02/15/2031   3,000,000     2,708,789
1.375%, 11/15/2031   4,000,000     3,670,000
1.500%, 02/29/2024 to 02/15/2025   6,514,000     6,394,292
1.625%, 05/15/2031   3,000,000     2,824,453
1.875%, 02/28/2027 to 02/15/2032   7,058,000     6,791,911
2.375%, 05/15/2027   6,000,000     5,974,219
2.500%, 03/31/2027   713,000     714,560
2.875%, 08/15/2028   7,000,000     7,172,539
          92,940,910
U.S. Government Agency – 18.9%          
Federal Home Loan Mortgage Corp.          
2.000%, 11/01/2051 to 01/01/2052   1,298,679     1,208,399
2.500%, 08/01/2050 to 12/01/2051   1,238,683     1,185,900
3.000%, 03/01/2043 to 12/01/2049   5,327,746     5,294,963
3.500%, 10/01/2046 to 11/01/2048   6,777,094     6,881,705
4.000%, 01/01/2041 to 08/01/2048   660,392     682,076
4.500%, 09/01/2023 to 10/01/2041   1,234,149     1,314,981
Federal National Mortgage Association          
1.884%, (12 month LIBOR + 1.607%), 08/01/2034 (A)   198,011     203,254
2.000%, 09/01/2050 to 02/01/2052   4,941,856     4,610,530
2.372%, (6 month LIBOR + 2.122%), 07/01/2033 (A)   15,929     16,451
2.500%, TBA (B)   5,950,000     5,677,602
2.500%, 09/01/2050 to 01/01/2052   4,025,328     3,857,042
2.500%, 11/01/2051 (B)   428,099     411,243
3.000%, TBA (B)   26,250,000     25,681,903
3.000%, 01/01/2043 to 11/01/2049   6,304,153     6,259,491
3.500%, TBA (B)   25,000,000     25,044,923
3.500%, 06/01/2042 to 09/01/2049   6,045,345     6,155,743
4.000%, TBA (B)   16,000,000     16,328,758
4.000%, 10/01/2025 to 11/01/2045   3,325,812     3,450,276
4.500%, 05/01/2041   941,553     994,508
5.000%, 12/01/2034 to 02/01/2036   1,073,801     1,139,490
5.500%, 09/01/2034 to 01/01/2037   1,392,900     1,505,230
6.000%, 05/01/2035 to 02/01/2036   1,045,422     1,148,900
7.000%, 09/01/2031 to 06/01/2032   100,699     113,008
7.500%, 09/01/2029 to 08/01/2031   13,127     14,406
Government National
Mortgage Association
         
4.000%, 02/15/2041   856,770     887,766
5.000%, 04/15/2035   149,160     160,392
5.500%, 03/15/2035   96,056     103,070
6.000%, 03/15/2033 to 06/15/2033   114,751     124,652
6.500%, 09/15/2028 to 08/15/2031   18,128     19,523
7.000%, 04/15/2029   22,087     23,921
8.000%, 10/15/2026   10,930     11,742
          120,511,848
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $220,993,717)   $ 213,452,758
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS – 0.6%      
Argentina – 0.0%          
Republic of Argentina
2.500%, (2.500% to 7-9-22, then 3.500% to 7-9-29, then 4.875% thereafter), 07/09/2041
$ 1,219,000   $ 429,588
Republic of Argentina, GDP-Linked Note
7.109%, 12/15/2035 (C)*
ARS 19,532,033     1,988
          431,576
Germany – 0.2%          
Federal Republic of Germany
6.250%, 01/04/2030
EUR 725,000     1,160,157
Mexico – 0.1%          
Government of Mexico
8.000%, 12/07/2023
MXN 11,861,100     592,465
Panama – 0.1%          
Republic of Panama          
8.875%, 09/30/2027 $ 344,000     436,309
9.375%, 04/01/2029   130,000     175,527
          611,836
Qatar – 0.1%          
State of Qatar          
3.375%, 03/14/2024 (D)   323,000     327,625
5.103%, 04/23/2048 (D)   255,000     311,791
          639,416
Saudi Arabia – 0.1%          
Kingdom of Saudi Arabia
4.375%, 04/16/2029 (D)
  601,000     649,831
United Kingdom – 0.0%          
Government of United Kingdom
6.000%, 12/07/2028
GBP 85,000     143,636
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $4,473,945)   $ 4,228,917
CORPORATE BONDS – 46.3%      
Communication services – 5.1%          
AMC Entertainment Holdings, Inc.
10.000%, 06/15/2026 (D)(E)
$ 421,000     378,119
ANGI Group LLC
3.875%, 08/15/2028 (D)
  221,000     187,218
AT&T, Inc.          
3.100%, 02/01/2043   1,472,000     1,270,761
3.500%, 06/01/2041   484,000     445,628
3.650%, 06/01/2051   487,000     443,157
4.350%, 06/15/2045   285,000     287,666
7.625%, 04/15/2031   451,000     561,843
C&W Senior Financing DAC
6.875%, 09/15/2027 (D)
  315,000     312,638
Cable One, Inc.
4.000%, 11/15/2030 (D)
  126,000     116,200
CCO Holdings LLC
4.500%, 06/01/2033 (D)
  210,000     188,475
Charter Communications Operating LLC          
2.800%, 04/01/2031   400,000     360,518
3.900%, 06/01/2052   236,000     199,021
4.200%, 03/15/2028   581,000     587,106
4.800%, 03/01/2050   715,000     679,185
5.750%, 04/01/2048   661,000     702,732
6.484%, 10/23/2045   505,000     574,884
Clear Channel Outdoor Holdings, Inc.
7.750%, 04/15/2028 (D)
  95,000     95,497
Comcast Corp.          
3.969%, 11/01/2047   633,000     643,071
3.999%, 11/01/2049   761,000     767,515
4.150%, 10/15/2028   703,000     738,726
 
  7  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
Connect Finco SARL
6.750%, 10/01/2026 (D)
$ 285,000   $ 289,956
Deutsche Telekom International Finance BV
8.750%, 06/15/2030
  758,000     1,016,052
Fox Corp.
3.500%, 04/08/2030
  400,000     396,250
GCI LLC
4.750%, 10/15/2028 (D)
  237,000     231,374
Globo Comunicacao e Participacoes SA
4.875%, 01/22/2030 (D)
  400,000     353,500
Level 3 Financing, Inc.
3.400%, 03/01/2027 (D)
  377,000     355,323
Lions Gate Capital Holdings LLC
5.500%, 04/15/2029 (D)
  289,000     278,524
Live Nation Entertainment, Inc.
4.750%, 10/15/2027 (D)
  355,000     346,125
Lumen Technologies, Inc.
7.600%, 09/15/2039
  1,000,000     960,400
Magallanes, Inc.          
4.279%, 03/15/2032 (D)   569,000     571,531
5.141%, 03/15/2052 (D)   180,000     184,157
Match Group Holdings II LLC          
3.625%, 10/01/2031 (D)(E)   139,000     124,326
4.125%, 08/01/2030 (D)(E)   234,000     219,274
Millicom International Cellular SA
6.250%, 03/25/2029 (D)
  214,200     227,293
MTN Mauritius Investments, Ltd.
4.755%, 11/11/2024 (D)
  140,000     140,790
Netflix, Inc.          
4.375%, 11/15/2026   700,000     727,955
4.875%, 04/15/2028   621,000     651,277
4.875%, 06/15/2030 (D)   277,000     295,476
5.375%, 11/15/2029 (D)   120,000     129,900
5.875%, 11/15/2028   487,000     536,820
News Corp.          
3.875%, 05/15/2029 (D)   209,000     197,505
5.125%, 02/15/2032 (D)   107,000     107,569
Paramount Global
4.375%, 03/15/2043
  642,000     611,024
Playtika Holding Corp.
4.250%, 03/15/2029 (D)
  57,000     52,583
Radiate Holdco LLC
6.500%, 09/15/2028 (D)
  225,000     212,766
Sirius XM Radio, Inc.          
4.000%, 07/15/2028 (D)   357,000     339,150
5.000%, 08/01/2027 (D)   383,000     382,043
SoftBank Group Corp. (6.875% to 7-19-27, then 5 Year ICE Swap Rate + 4.854%) 07/19/2027 (F)   404,000     399,960
Sprint Capital Corp.
6.875%, 11/15/2028
  400,000     463,476
Sprint Corp.
7.875%, 09/15/2023
  261,000     277,313
Stagwell Global LLC
5.625%, 08/15/2029 (D)
  523,000     493,388
Switch, Ltd.
3.750%, 09/15/2028 (D)
  81,000     78,549
Telecom Argentina SA
8.000%, 07/18/2026 (D)
  144,000     137,204
Telecom Italia Capital SA
7.200%, 07/18/2036
  37,000     35,983
Telefonica Emisiones SA
5.213%, 03/08/2047
  629,000     674,070
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
Telesat Canada
5.625%, 12/06/2026 (D)
$ 157,000   $ 119,885
Time Warner Cable LLC
5.500%, 09/01/2041
  450,000     467,137
Time Warner Entertainment Company LP
8.375%, 07/15/2033
  300,000     391,662
T-Mobile USA, Inc.          
2.050%, 02/15/2028   454,000     414,645
2.550%, 02/15/2031   222,000     201,310
2.875%, 02/15/2031   59,000     53,155
3.375%, 04/15/2029   372,000     353,820
3.750%, 04/15/2027   300,000     301,754
3.875%, 04/15/2030   985,000     988,782
4.500%, 04/15/2050   671,000     678,821
Total Play Telecomunicaciones SA
de CV
         
6.375%, 09/20/2028 (D)   278,000     247,665
7.500%, 11/12/2025 (D)   480,000     466,022
Townsquare Media, Inc.
6.875%, 02/01/2026 (D)
  102,000     105,045
Twitter, Inc.
3.875%, 12/15/2027 (D)
  169,000     164,141
Univision Communications, Inc.
4.500%, 05/01/2029 (D)
  111,000     105,659
Verizon Communications, Inc.          
4.272%, 01/15/2036   1,311,000     1,381,123
4.329%, 09/21/2028   697,000     735,247
4.400%, 11/01/2034   242,000     257,471
4.522%, 09/15/2048   978,000     1,072,347
4.672%, 03/15/2055   397,000     446,843
5.012%, 08/21/2054   335,000     395,136
Videotron, Ltd.
3.625%, 06/15/2029 (D)
  171,000     158,549
Vodafone Group PLC (7.000% to 1-4-29, then 5 Year U.S. Swap Rate + 4.873%) 04/04/2079   488,000     538,859
WMG Acquisition Corp.          
3.000%, 02/15/2031 (D)   422,000     377,690
3.875%, 07/15/2030 (D)   287,000     273,368
          32,734,982
Consumer discretionary – 5.1%          
Affinity Gaming
6.875%, 12/15/2027 (D)
  159,000     154,628
Amazon.com, Inc.          
3.150%, 08/22/2027   635,000     643,144
4.050%, 08/22/2047   385,000     418,798
Aptiv PLC          
3.250%, 03/01/2032   147,000     139,326
4.150%, 05/01/2052   81,000     75,960
Asbury Automotive Group, Inc.          
4.625%, 11/15/2029 (D)   50,000     46,563
4.750%, 03/01/2030   175,000     165,156
AutoNation, Inc.
4.750%, 06/01/2030
  186,000     193,863
AutoZone, Inc.
3.125%, 04/21/2026
  535,000     526,449
BMW US Capital LLC
2.950%, 04/14/2022 (D)
  500,000     500,274
Booking Holdings, Inc.
4.625%, 04/13/2030
  411,000     445,764
Brinker International, Inc.
3.875%, 05/15/2023 (E)
  740,000     741,850
Brookfield Residential Properties, Inc.
5.000%, 06/15/2029 (D)
  154,000     139,834
 
  8  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Caesars Resort Collection LLC
5.750%, 07/01/2025 (D)
$ 116,000   $ 118,388
CCM Merger, Inc.
6.375%, 05/01/2026 (D)
  139,000     140,390
Century Communities, Inc.          
3.875%, 08/15/2029 (D)   343,000     307,585
6.750%, 06/01/2027   242,000     251,099
Choice Hotels International, Inc.
3.700%, 12/01/2029 to 01/15/2031
  509,000     496,408
Daimler Finance North America LLC
3.500%, 08/03/2025 (D)
  160,000     160,506
Daimler Trucks Finance North America LLC
1.625%, 12/13/2024 (D)
  313,000     298,831
Dave & Buster's, Inc.
7.625%, 11/01/2025 (D)
  44,000     46,295
Dealer Tire LLC
8.000%, 02/01/2028 (D)
  122,000     122,305
Dollar Tree, Inc.
4.200%, 05/15/2028
  616,000     636,792
eBay, Inc.
2.700%, 03/11/2030
  439,000     412,534
Empire Communities Corp.
7.000%, 12/15/2025 (D)
  75,000     74,100
Expedia Group, Inc.          
2.950%, 03/15/2031   293,000     271,273
3.250%, 02/15/2030   455,000     433,104
3.800%, 02/15/2028   581,000     577,919
4.625%, 08/01/2027   409,000     424,848
5.000%, 02/15/2026   1,208,000     1,264,965
Ford Motor Company
3.250%, 02/12/2032
  177,000     158,084
Ford Motor Credit Company LLC          
4.000%, 11/13/2030   225,000     211,883
4.125%, 08/17/2027   346,000     338,198
4.134%, 08/04/2025   909,000     907,977
5.113%, 05/03/2029   602,000     605,570
Full House Resorts, Inc.
8.250%, 02/15/2028 (D)
  134,000     137,015
GEMS MENASA Cayman, Ltd.
7.125%, 07/31/2026 (D)
  221,000     221,656
General Motors Company
5.400%, 04/01/2048
  140,000     147,189
General Motors Financial Company, Inc.          
2.400%, 10/15/2028   805,000     720,397
3.600%, 06/21/2030   786,000     751,819
4.350%, 01/17/2027   404,000     410,834
Group 1 Automotive, Inc.
4.000%, 08/15/2028 (D)
  44,000     40,975
Hilton Domestic Operating
Company, Inc.
         
3.625%, 02/15/2032 (D)   259,000     235,043
4.000%, 05/01/2031 (D)   178,000     167,988
4.875%, 01/15/2030   307,000     306,308
5.750%, 05/01/2028 (D)   95,000     98,287
Hilton Grand Vacations Borrower
Escrow LLC
         
4.875%, 07/01/2031 (D)   187,000     173,732
5.000%, 06/01/2029 (D)   238,000     227,122
Hyatt Hotels Corp.          
1.800%, 10/01/2024   216,000     207,822
3.375%, 07/15/2023   660,000     660,548
5.750%, 04/23/2030   247,000     272,920
Hyundai Capital America          
1.000%, 09/17/2024 (D)   409,000     384,685
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Hyundai Capital America (continued)          
1.800%, 10/15/2025 (D) $ 201,000   $ 187,730
2.375%, 10/15/2027 (D)   201,000     184,021
International Game Technology PLC
6.500%, 02/15/2025 (D)
  180,000     188,758
Jacobs Entertainment, Inc.
6.750%, 02/15/2029 (D)
  104,000     104,518
KB Home
4.000%, 06/15/2031
  264,000     238,915
Ken Garff Automotive LLC
4.875%, 09/15/2028 (D)
  169,000     158,860
LCM Investments Holdings II LLC
4.875%, 05/01/2029 (D)
  96,000     90,670
Levi Strauss & Company
3.500%, 03/01/2031 (D)(E)
  91,000     83,334
Life Time, Inc.
8.000%, 04/15/2026 (D)
  119,000     118,810
Lithia Motors, Inc.          
3.875%, 06/01/2029 (D)   101,000     95,469
4.375%, 01/15/2031 (D)   101,000     97,591
4.625%, 12/15/2027 (D)   50,000     49,625
Lowe's Companies, Inc.
4.250%, 04/01/2052
  182,000     188,249
Macy's Retail Holdings LLC          
5.875%, 04/01/2029 (D)(E)   71,000     70,823
5.875%, 03/15/2030 (D)   18,000     17,757
6.125%, 03/15/2032 (D)   34,000     33,575
Marriott International, Inc.          
2.850%, 04/15/2031   315,000     287,498
3.125%, 06/15/2026   1,169,000     1,155,126
3.500%, 10/15/2032   251,000     238,919
4.625%, 06/15/2030   308,000     318,993
Marriott Ownership Resorts, Inc.
4.500%, 06/15/2029 (D)
  42,000     39,585
McDonald's Corp.          
3.600%, 07/01/2030   500,000     509,183
4.200%, 04/01/2050   500,000     521,953
MDC Holdings, Inc.
2.500%, 01/15/2031
  155,000     135,338
MGM Resorts International
4.750%, 10/15/2028
  342,000     330,998
Midwest Gaming Borrower LLC
4.875%, 05/01/2029 (D)
  243,000     224,012
Mohegan Gaming & Entertainment
8.000%, 02/01/2026 (D)
  298,000     296,138
NCL Corp., Ltd.
3.625%, 12/15/2024 (D)(E)
  700,000     659,750
New Red Finance, Inc.
4.000%, 10/15/2030 (D)
  553,000     498,825
NIKE, Inc.          
2.750%, 03/27/2027   500,000     497,491
2.850%, 03/27/2030   500,000     493,589
Nissan Motor Acceptance Company LLC
1.125%, 09/16/2024 (D)
  205,000     191,719
Papa John's International, Inc.
3.875%, 09/15/2029 (D)
  44,000     40,388
Premier Entertainment Sub LLC          
5.625%, 09/01/2029 (D)   176,000     151,263
5.875%, 09/01/2031 (D)   479,000     408,898
QVC, Inc.
5.450%, 08/15/2034
  184,000     154,100
Resorts World Las Vegas LLC
4.625%, 04/16/2029 (D)
  300,000     271,344
Service Corp. International          
3.375%, 08/15/2030   148,000     133,330
 
  9  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Service Corp. International (continued)          
4.000%, 05/15/2031 $ 259,000   $ 240,955
Specialty Building Products Holdings LLC
6.375%, 09/30/2026 (D)
  33,000     33,554
StoneMor, Inc.
8.500%, 05/15/2029 (D)
  227,000     224,730
Target Corp.
2.250%, 04/15/2025
  500,000     492,895
The Home Depot, Inc.          
2.500%, 04/15/2027   500,000     490,798
2.700%, 04/15/2030   500,000     484,408
The TJX Companies, Inc.          
3.875%, 04/15/2030   400,000     416,473
4.500%, 04/15/2050 (E)   400,000     468,642
Toll Brothers Finance Corp.
3.800%, 11/01/2029
  74,000     71,549
Travel + Leisure Company          
4.625%, 03/01/2030 (D)   101,000     93,930
6.000%, 04/01/2027   700,000     721,000
6.600%, 10/01/2025   147,000     156,135
Wyndham Hotels & Resorts, Inc.
4.375%, 08/15/2028 (D)
  133,000     128,013
Yum! Brands, Inc.          
3.625%, 03/15/2031   252,000     229,784
4.750%, 01/15/2030 (D)   131,000     128,462
5.350%, 11/01/2043   600,000     583,500
6.875%, 11/15/2037   292,000     325,872
          32,372,848
Consumer staples – 1.8%          
Advantage Sales & Marketing, Inc.
6.500%, 11/15/2028 (D)
  301,000     284,875
Albertsons Companies, Inc.          
3.250%, 03/15/2026 (D)   143,000     135,138
3.500%, 03/15/2029 (D)   359,000     323,987
Anheuser-Busch InBev Worldwide, Inc.          
4.439%, 10/06/2048   730,000     764,163
4.600%, 04/15/2048   385,000     415,520
BRF SA
5.750%, 09/21/2050 (D)
  285,000     250,800
Bunge, Ltd. Finance Corp.
3.250%, 08/15/2026 (E)
  500,000     497,460
Constellation Brands, Inc.
3.150%, 08/01/2029
  159,000     153,533
Coruripe Netherlands BV
10.000%, 02/10/2027 (D)
  260,000     226,200
Edgewell Personal Care Company          
4.125%, 04/01/2029 (D)   164,000     150,916
5.500%, 06/01/2028 (D)   278,000     276,610
Fomento Economico Mexicano SAB de CV
4.375%, 05/10/2043
  1,000,000     1,048,390
General Mills, Inc.
2.875%, 04/15/2030
  400,000     384,253
JBS Finance Luxembourg Sarl
3.625%, 01/15/2032 (D)
  271,000     247,968
JBS USA LUX SA
3.750%, 12/01/2031 (D)
  86,000     79,828
Keurig Dr. Pepper, Inc.
3.200%, 05/01/2030
  560,000     542,782
Kraft Heinz Foods Company          
4.375%, 06/01/2046   360,000     355,550
4.875%, 10/01/2049   80,000     84,290
5.000%, 06/04/2042   175,000     186,918
5.500%, 06/01/2050   272,000     308,864
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer staples (continued)          
Kraft Heinz Foods Company (continued)          
6.500%, 02/09/2040 $ 196,000   $ 233,730
MARB BondCo PLC
3.950%, 01/29/2031 (D)
  260,000     230,750
NBM US Holdings, Inc.
6.625%, 08/06/2029 (D)
  274,000     288,303
Oriflame Investment Holding PLC
5.125%, 05/04/2026 (D)
  270,000     216,000
PepsiCo, Inc.
2.750%, 03/19/2030
  500,000     491,100
Post Holdings, Inc.
5.500%, 12/15/2029 (D)
  243,000     233,810
Reynolds American, Inc.
4.850%, 09/15/2023
  1,000,000     1,024,376
Simmons Foods, Inc.
4.625%, 03/01/2029 (D)
  43,000     40,313
Sysco Corp.          
5.950%, 04/01/2030   355,000     411,790
6.600%, 04/01/2050   1,000,000     1,344,010
The Estee Lauder Companies, Inc.
2.600%, 04/15/2030
  400,000     384,749
U.S. Foods, Inc.
4.750%, 02/15/2029 (D)
  216,000     206,010
          11,822,986
Energy – 4.7%          
Aker BP ASA          
3.000%, 01/15/2025 (D)   165,000     162,535
3.750%, 01/15/2030 (D)   200,000     195,703
4.000%, 01/15/2031 (D)   523,000     521,029
Altera Infrastructure LP
8.500%, 07/15/2023 (D)
  227,000     124,850
Anadarko Petroleum Corp.          
4.500%, 07/15/2044 (E)   400,000     340,306
5.550%, 03/15/2026   800,000     821,992
Antero Midstream Partners LP
5.375%, 06/15/2029 (D)
  233,000     232,762
Antero Resources Corp.
5.375%, 03/01/2030 (D)
  90,000     91,913
Apache Corp.
5.100%, 09/01/2040
  325,000     327,438
Ascent Resources Utica Holdings LLC
5.875%, 06/30/2029 (D)
  296,000     292,475
Boardwalk Pipelines LP
3.375%, 02/01/2023
  850,000     854,283
BP Capital Markets PLC
2.750%, 05/10/2023
  530,000     530,941
Buckeye Partners LP
3.950%, 12/01/2026
  500,000     488,620
Cameron International Corp.
5.950%, 06/01/2041
  1,178,000     1,345,227
Cheniere Energy Partners LP          
4.000%, 03/01/2031   399,000     386,787
4.500%, 10/01/2029   461,000     463,305
CNOOC Finance 2003, Ltd.
5.500%, 05/21/2033 (D)
  545,000     581,827
ConocoPhillips Company
5.950%, 03/15/2046
  30,000     39,715
Continental Resources, Inc.
4.900%, 06/01/2044
  595,000     588,780
CSI Compressco LP
7.500%, 04/01/2025 (D)
  386,000     380,210
CSI Compressco LP (10.000% Cash or 7.250% Cash and 3.500% PIK) 10.000%, 04/01/2026 (D)   239,806     234,410
 
  10  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
DCP Midstream Operating LP (5.850% to 5-21-23, then 3 month LIBOR + 3.850%) 05/21/2043 (D) $ 201,000   $ 187,020
Devon Energy Corp.          
5.000%, 06/15/2045 (E)   600,000     653,238
7.875%, 09/30/2031   874,000     1,133,880
Diamondback Energy, Inc.
3.125%, 03/24/2031
  257,000     245,448
Enbridge Energy Partners LP
7.500%, 04/15/2038
  600,000     799,610
Enbridge, Inc. (5.500% to 7-15-27, then 3 month LIBOR + 3.418%) 07/15/2077   347,000     342,722
Enbridge, Inc. (5.750% to 4-15-30, then 5 Year CMT + 5.314%) 07/15/2080   310,000     320,850
Enbridge, Inc. (6.250% to 3-1-28, then 3 month LIBOR + 3.641%) 03/01/2078   279,000     288,816
Energean Israel Finance, Ltd.          
5.375%, 03/30/2028 (D)   99,000     95,352
5.875%, 03/30/2031 (D)   172,000     164,074
Energy Transfer LP          
4.200%, 04/15/2027   228,000     232,150
5.150%, 03/15/2045   340,000     343,121
5.250%, 04/15/2029   690,000     736,304
5.400%, 10/01/2047   244,000     255,451
5.500%, 06/01/2027   347,000     372,900
5.950%, 10/01/2043   300,000     320,179
Energy Transfer LP (6.500% to 11-15-26, then 5 Year CMT + 5.694%) 11/15/2026 (F)   474,000     465,847
Enterprise Products Operating LLC
6.875%, 03/01/2033
  471,000     587,267
Enterprise Products Operating LLC (5.250% to 8-16-27, then 3 month LIBOR + 3.033%) 08/16/2077   526,000     494,500
EQT Corp.
7.500%, 02/01/2030
  129,000     149,640
Hess Corp.          
5.600%, 02/15/2041   400,000     449,459
5.800%, 04/01/2047 (E)   500,000     594,887
Hess Midstream Operations LP
4.250%, 02/15/2030 (D)
  78,000     73,601
Kinder Morgan Energy Partners LP
7.750%, 03/15/2032
  195,000     250,747
Leviathan Bond, Ltd.          
6.500%, 06/30/2027 (D)   426,000     435,711
6.750%, 06/30/2030 (D)   85,000     87,414
Lundin Energy Finance BV          
2.000%, 07/15/2026 (D)   267,000     248,622
3.100%, 07/15/2031 (D)   278,000     257,451
Marathon Oil Corp.
6.800%, 03/15/2032
  785,000     939,263
MC Brazil Downstream Trading SARL
7.250%, 06/30/2031 (D)
  276,000     253,920
Midwest Connector Capital Company LLC
3.900%, 04/01/2024 (D)
  383,000     384,200
MPLX LP          
4.000%, 03/15/2028   311,000     316,360
4.125%, 03/01/2027   103,000     105,325
4.250%, 12/01/2027   225,000     232,372
MPLX LP (6.875% to 2-15-23, then 3 month LIBOR + 4.652%) 02/15/2023 (F)   687,000     673,260
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
ONEOK Partners LP
6.650%, 10/01/2036
$ 835,000   $ 955,357
Ovintiv Exploration, Inc.
5.625%, 07/01/2024
  500,000     525,681
Ovintiv, Inc.
7.200%, 11/01/2031
  55,000     66,564
Parkland Corp.          
4.500%, 10/01/2029 (D)   176,000     163,178
4.625%, 05/01/2030 (D)   172,000     159,960
Petrobras Global Finance BV
6.900%, 03/19/2049
  160,000     158,957
Plains All American Pipeline LP
4.900%, 02/15/2045
  750,000     719,044
Sabine Pass Liquefaction LLC          
4.200%, 03/15/2028   195,000     200,243
4.500%, 05/15/2030   415,000     433,994
5.000%, 03/15/2027   186,000     196,707
5.875%, 06/30/2026   234,000     252,972
Sinopec Group Overseas Development 2015, Ltd.
3.250%, 04/28/2025 (D)
  550,000     550,462
Southwestern Energy Company
4.750%, 02/01/2032
  129,000     128,839
Sunoco LP          
4.500%, 05/15/2029   96,000     90,570
4.500%, 04/30/2030 (D)   252,000     232,164
Targa Resources Corp.
4.950%, 04/15/2052 (B)
  408,000     415,675
Targa Resources Partners LP          
4.000%, 01/15/2032   336,000     323,227
5.875%, 04/15/2026   388,000     400,144
The Williams Companies, Inc.          
3.750%, 06/15/2027   322,000     325,518
5.750%, 06/24/2044   84,000     96,745
TransCanada PipeLines, Ltd.
4.250%, 05/15/2028
  220,000     228,575
Valero Energy Corp.
2.850%, 04/15/2025
  400,000     395,214
Venture Global Calcasieu Pass LLC          
3.875%, 08/15/2029 (D)   95,000     92,352
4.125%, 08/15/2031 (D)   158,000     155,022
          29,763,233
Financials – 10.9%          
Ally Financial, Inc.
5.800%, 05/01/2025
  286,000     303,365
Ambac Assurance Corp.
5.100%, 04/27/2022 (D)(F)
  131     148
American International Group, Inc.
3.900%, 04/01/2026
  830,000     850,894
American International Group, Inc. (6.250% to 3-15-37, then 3 month LIBOR + 2.056%) 03/15/2037   100,000     103,000
Ameriprise Financial, Inc.
2.875%, 09/15/2026
  500,000     493,916
Ares Capital Corp.          
2.150%, 07/15/2026   419,000     378,665
2.875%, 06/15/2028   309,000     273,558
3.875%, 01/15/2026   797,000     781,838
4.200%, 06/10/2024   279,000     281,017
Athene Holding, Ltd.
3.500%, 01/15/2031
  206,000     197,173
Australia & New Zealand Banking Group, Ltd. (6.750% to 6-15-26, then 5 Year ICE Swap Rate + 5.168%) 06/15/2026 (D)(F)   235,000     252,508
 
  11  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
AXA SA
8.600%, 12/15/2030
$ 170,000   $ 224,335
Banco Santander SA
4.379%, 04/12/2028
  249,000     251,126
Bank of America Corp.          
3.248%, 10/21/2027   421,000     419,029
3.950%, 04/21/2025   414,000     421,863
Bank of America Corp. (1.734% to 7-22-26, then SOFR + 0.960%) 07/22/2027   112,000     104,013
Bank of America Corp. (2.087% to 6-14-28, then SOFR + 1.060%) 06/14/2029   492,000     449,414
Bank of America Corp. (2.592% to 4-29-30, then SOFR + 2.150%) 04/29/2031   498,000     459,438
Bank of America Corp. (2.687% to 4-22-31, then SOFR + 1.320%) 04/22/2032   881,000     810,200
Bank of America Corp. (2.884% to 10-22-29, then 3 month LIBOR + 1.190%) 10/22/2030   500,000     474,141
Bank of America Corp. (3.004% to 12-20-22, then 3 month LIBOR + 0.790%) 12/20/2023   1,149,000     1,151,901
Bank of America Corp. (3.419% to 12-20-27, then 3 month LIBOR + 1.040%) 12/20/2028   1,087,000     1,076,015
Bank of America Corp. (3.846% to 3-8-32, then 5 Year CMT + 2.000%) 03/08/2037   414,000     396,455
Bank of America Corp. (4.083% to 3-20-50, then 3 month LIBOR + 3.150%) 03/20/2051   500,000     517,415
Bank of America Corp. (6.300% to 3-10-26, then 3 month LIBOR + 4.553%) 03/10/2026 (F)   667,000     709,321
Barclays PLC
4.375%, 01/12/2026
  300,000     306,286
Barclays PLC (4.375% to 3-15-28, then 5 Year CMT + 3.410%) 03/15/2028 (F)   391,000     344,373
BlackRock, Inc.
1.900%, 01/28/2031
  500,000     451,502
Blackstone Private Credit Fund          
2.350%, 11/22/2024 (D)   351,000     334,690
2.700%, 01/15/2025 (D)   277,000     264,528
3.250%, 03/15/2027 (D)   79,000     72,401
4.000%, 01/15/2029 (D)   389,000     360,143
BPCE SA
4.500%, 03/15/2025 (D)
  250,000     252,854
Capital One Financial Corp.          
3.500%, 06/15/2023   1,023,000     1,034,776
3.750%, 07/28/2026   500,000     502,450
Capital One Financial Corp. (1.343% to 12-6-23, then SOFR + 0.690%) 12/06/2024   419,000     406,313
Citigroup, Inc.          
3.200%, 10/21/2026   550,000     545,663
3.500%, 05/15/2023   1,060,000     1,070,912
4.600%, 03/09/2026   677,000     702,002
Citigroup, Inc. (2.561% to 5-1-31, then SOFR + 1.167%) 05/01/2032   264,000     238,067
Citigroup, Inc. (4.412% to 3-31-30, then SOFR + 3.914%) 03/31/2031   1,000,000     1,038,155
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Citigroup, Inc. (4.700% to 1-30-25, then SOFR + 3.234%) 01/30/2025 (F) $ 524,000   $ 501,730
Citigroup, Inc. (6.250% to 8-15-26, then 3 month LIBOR + 4.517%) 08/15/2026 (F)   415,000     433,343
Citizens Financial Group, Inc.
3.250%, 04/30/2030
  573,000     560,016
CNA Financial Corp.
2.050%, 08/15/2030
  105,000     93,187
CNO Financial Group, Inc.
5.250%, 05/30/2025 to 05/30/2029
  635,000     665,186
Credit Agricole SA          
2.811%, 01/11/2041 (D)   279,000     230,461
3.250%, 01/14/2030 (D)   438,000     415,429
4.375%, 03/17/2025 (D)   600,000     606,211
Credit Agricole SA (7.875% to 1-23-24, then 5 Year U.S. Swap Rate + 4.898%) 01/23/2024 (D)(F)   215,000     226,556
Credit Suisse Group AG
4.550%, 04/17/2026
  405,000     411,997
Deutsche Bank AG
0.962%, 11/08/2023
  577,000     559,412
Deutsche Bank AG (2.311% to 11-16-26, then SOFR + 1.219%) 11/16/2027   327,000     299,668
Deutsche Bank AG (3.742% to 1-7-32, then SOFR + 2.257%) 01/07/2033   430,000     380,034
Discover Financial Services
4.100%, 02/09/2027
  167,000     170,280
Enova International, Inc.
8.500%, 09/01/2024 to 09/15/2025 (D)
  313,000     311,538
Fifth Third Bancorp (5.100% to 6-30-23, then 3 month LIBOR + 3.033%) 06/30/2023 (F)   287,000     283,771
Freedom Mortgage Corp.          
8.125%, 11/15/2024 (D)   250,000     249,063
8.250%, 04/15/2025 (D)   55,000     54,834
GE Capital International Funding Company
4.418%, 11/15/2035
  353,000     379,047
Global Atlantic Fin Company
3.125%, 06/15/2031 (D)
  1,000,000     894,770
ING Groep NV (6.500% to 4-16-25, then 5 Year U.S. Swap Rate + 4.446%) 04/16/2025 (F)   135,000     140,063
Intesa Sanpaolo SpA (4.198% to 6-1-31, then 1 Year CMT + 2.600%) 06/01/2032 (D)   201,000     177,686
Invesco Finance PLC
3.125%, 11/30/2022
  850,000     856,957
Jefferies Group LLC          
4.150%, 01/23/2030   315,000     320,012
4.850%, 01/15/2027   430,000     450,830
JPMorgan Chase & Co.          
2.950%, 10/01/2026   347,000     344,313
3.375%, 05/01/2023   1,250,000     1,263,559
4.125%, 12/15/2026   600,000     620,871
JPMorgan Chase & Co. (2.522% to 4-22-30, then SOFR + 2.040%) 04/22/2031   481,000     445,896
JPMorgan Chase & Co. (2.956% to 5-13-30, then SOFR + 2.515%) 05/13/2031   439,000     410,771
JPMorgan Chase & Co. (2.963% to 1-25-32, then SOFR + 1.260%) 01/25/2033   109,000     102,760
 
  12  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
JPMorgan Chase & Co. (3.960% to 1-29-26, then 3 month LIBOR + 1.245%) 01/29/2027 $ 414,000   $ 422,575
JPMorgan Chase & Co. (4.600% to 2-1-25, then SOFR + 3.125%) 02/01/2025 (F)   373,000     359,479
JPMorgan Chase & Co. (6.750% to 2-1-24, then 3 month LIBOR + 3.780%) 02/01/2024 (F)   475,000     495,691
Lazard Group LLC
4.375%, 03/11/2029
  220,000     225,015
Legg Mason, Inc.          
3.950%, 07/15/2024   660,000     673,638
4.750%, 03/15/2026   825,000     868,042
Liberty Mutual Group, Inc.          
3.950%, 05/15/2060 (D)   500,000     454,924
4.250%, 06/15/2023 (D)   1,000,000     1,015,450
Liberty Mutual Group, Inc. (4.125% to 9-15-26, then 5 Year CMT + 3.315%) 12/15/2051 (D)   332,000     312,910
Lloyds Banking Group PLC
4.450%, 05/08/2025
  921,000     943,840
Lloyds Banking Group PLC (7.500% to 6-27-24, then 5 Year U.S. Swap Rate + 4.760%) 06/27/2024 (F)   345,000     362,240
Loews Corp.          
2.625%, 05/15/2023   630,000     630,651
3.750%, 04/01/2026   825,000     845,927
M&T Bank Corp. (5.125% to 11-1-26, then 3 month LIBOR + 3.520%) 11/01/2026 (F)   186,000     186,000
Macquarie Bank, Ltd.          
3.624%, 06/03/2030 (D)   204,000     192,268
4.875%, 06/10/2025 (D)   280,000     287,333
Markel Corp.
5.000%, 03/30/2043
  1,270,000     1,372,861
MetLife, Inc.
3.000%, 03/01/2025
  300,000     300,828
MetLife, Inc. (6.400% to 12-15-36, then 3 month LIBOR + 2.205%) 12/15/2036   347,000     373,650
MetLife, Inc. (9.250% to 4-8-38, then 3 month LIBOR + 5.540%) 04/08/2038 (D)   120,000     155,832
Morgan Stanley          
3.875%, 01/27/2026   256,000     260,870
4.100%, 05/22/2023   900,000     916,136
Morgan Stanley (2.188% to 4-28-25, then SOFR + 1.990%) 04/28/2026   942,000     909,942
Morgan Stanley (2.239% to 7-21-31, then SOFR + 1.178%) 07/21/2032   202,000     178,998
Morgan Stanley (2.484% to 9-16-31, then SOFR + 1.360%) 09/16/2036   659,000     564,990
Morgan Stanley (3.622% to 4-1-30, then SOFR + 3.120%) 04/01/2031   1,000,000     994,798
MSCI, Inc.          
3.250%, 08/15/2033 (D)   285,000     256,162
3.625%, 11/01/2031 (D)   318,000     299,318
Nationstar Mortgage Holdings, Inc.          
5.125%, 12/15/2030 (D)   176,000     162,800
5.500%, 08/15/2028 (D)   191,000     183,608
6.000%, 01/15/2027 (D)   99,000     100,742
Nationwide Mutual Insurance Company (3 month LIBOR + 2.290%) 3.116%, 12/15/2024 (A)(D)   1,130,000     1,130,767
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
NatWest Group PLC
3.875%, 09/12/2023
$ 500,000   $ 505,120
NatWest Group PLC (6.000% to 12-29-25, then 5 Year CMT + 5.625%) 12/29/2025 (F)   431,000     440,116
NatWest Markets PLC
1.600%, 09/29/2026 (D)
  578,000     529,321
New York Life Insurance Company
3.750%, 05/15/2050 (D)
  198,000     191,933
Nippon Life Insurance Company (2.750% to 1-21-31, then 5 Year CMT + 2.653%) 01/21/2051 (D)   499,000     447,853
Nippon Life Insurance Company (5.100% to 10-16-24, then 5 Year U.S. Swap Rate + 3.650%) 10/16/2044 (D)   250,000     257,188
OneMain Finance Corp.          
6.875%, 03/15/2025   65,000     68,349
8.875%, 06/01/2025   142,000     149,604
Operadora de Servicios Mega SA de CV
8.250%, 02/11/2025 (D)
  295,000     225,675
Prudential Financial, Inc. (5.125% to 11-28-31, then 5 Year CMT + 3.162%) 03/01/2052   248,000     250,703
Prudential Financial, Inc. (5.875% to 9-15-22, then 3 month LIBOR + 4.175%) 09/15/2042   685,000     690,138
Radian Group, Inc.
4.500%, 10/01/2024
  140,000     140,700
Raymond James Financial, Inc.
4.950%, 07/15/2046
  500,000     559,870
S&P Global, Inc.
4.750%, 08/01/2028 (D)
  213,000     228,836
Santander Holdings USA, Inc.          
3.244%, 10/05/2026   791,000     771,056
3.450%, 06/02/2025   619,000     614,525
4.400%, 07/13/2027   203,000     206,468
Santander Holdings USA, Inc. (2.490% to 1-6-27, then SOFR + 1.249%) 01/06/2028   340,000     317,220
SBL Holdings, Inc.
5.000%, 02/18/2031 (D)
  360,000     347,056
Societe Generale SA (4.750% to 5-26-26, then 5 Year CMT + 3.931%) 05/26/2026 (D)(F)   346,000     322,213
Societe Generale SA (5.375% to 11-18-30, then 5 Year CMT + 4.514%) 11/18/2030 (D)(E)(F)   355,000     331,059
Sompo International Holdings, Ltd.
4.700%, 10/15/2022
  1,080,000     1,088,528
State Street Corp. (2.901% to 3-30-25, then SOFR + 2.600%) 03/30/2026   1,000,000     991,533
Stifel Financial Corp.
4.250%, 07/18/2024
  1,300,000     1,326,143
Teachers Insurance & Annuity Association of America
4.270%, 05/15/2047 (D)
  425,000     449,009
The Goldman Sachs Group, Inc.          
3.500%, 04/01/2025   500,000     503,729
3.625%, 01/22/2023   1,200,000     1,215,102
3.850%, 01/26/2027   792,000     799,111
The Goldman Sachs Group, Inc. (2.615% to 4-22-31, then SOFR + 1.281%) 04/22/2032   1,054,000     957,939
 
  13  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
The Goldman Sachs Group, Inc. (2.650% to 10-21-31, then SOFR + 1.264%) 10/21/2032 $ 407,000   $ 367,954
The Hartford Financial Services Group, Inc.
6.625%, 03/30/2040
  500,000     647,935
The PNC Financial Services Group, Inc. (3 month LIBOR + 3.678%) 3.995%, 08/01/2022 (A)(F)   373,000     371,128
The PNC Financial Services Group, Inc. (3.400% to 9-15-26, then 5 Year CMT + 2.595%) 09/15/2026 (F)   497,000     447,549
The PNC Financial Services Group, Inc. (4.850% to 6-1-23, then 3 month LIBOR + 3.040%) 06/01/2023 (F)   243,000     242,274
Unifin Financiera SAB de CV
9.875%, 01/28/2029 (D)
  391,000     229,947
Unum Group
4.125%, 06/15/2051
  169,000     147,548
Voya Financial, Inc.
4.800%, 06/15/2046
  700,000     767,806
Voya Financial, Inc. (5.650% to 5-15-23, then 3 month LIBOR + 3.580%) 05/15/2053   425,000     427,134
Wells Fargo & Company (2.393% to 6-2-27, then SOFR + 2.100%) 06/02/2028   746,000     705,418
Wells Fargo & Company (2.879% to 10-30-29, then SOFR + 1.432%) 10/30/2030   656,000     623,488
Wells Fargo & Company (3.068% to 4-30-40, then SOFR + 2.530%) 04/30/2041   311,000     279,581
Wells Fargo & Company (3.350% to 3-2-32, then SOFR + 1.500%) 03/02/2033   300,000     291,553
Wells Fargo & Company (5.875% to 6-15-25, then 3 month LIBOR + 3.990%) 06/15/2025 (F)   878,000     917,334
          69,997,145
Health care – 2.8%          
Abbott Laboratories
3.750%, 11/30/2026
  680,000     705,692
AbbVie, Inc.
3.200%, 11/21/2029
  2,119,000     2,093,802
AdaptHealth LLC
5.125%, 03/01/2030 (D)(E)
  168,000     156,030
Agilent Technologies, Inc.
3.875%, 07/15/2023
  670,000     679,970
AmerisourceBergen Corp.
2.800%, 05/15/2030
  387,000     365,777
Anthem, Inc.
2.250%, 05/15/2030
  179,000     164,243
Baxter International, Inc.
3.500%, 08/15/2046
  500,000     458,274
Biogen, Inc.          
2.250%, 05/01/2030 (E)   400,000     359,898
3.150%, 05/01/2050   500,000     409,446
Catalent Pharma Solutions, Inc.          
3.125%, 02/15/2029 (D)   64,000     58,171
5.000%, 07/15/2027 (D)   81,000     81,944
Centene Corp.          
3.000%, 10/15/2030   322,000     295,747
3.375%, 02/15/2030   183,000     172,191
4.250%, 12/15/2027   127,000     127,476
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
Centene Corp. (continued)          
4.625%, 12/15/2029 $ 162,000   $ 163,311
CVS Health Corp.          
2.700%, 08/21/2040   223,000     190,130
3.750%, 04/01/2030   283,000     287,950
4.300%, 03/25/2028   188,000     196,663
5.050%, 03/25/2048   410,000     464,321
CVS Pass-Through Trust
8.353%, 07/10/2031 (D)
  843,934     1,011,635
DaVita, Inc.          
3.750%, 02/15/2031 (D)   378,000     330,750
4.625%, 06/01/2030 (D)   367,000     342,705
Encompass Health Corp.          
4.500%, 02/01/2028   100,000     98,000
4.625%, 04/01/2031   149,000     139,470
Fresenius Medical Care US Finance III, Inc.
2.375%, 02/16/2031 (D)
  544,000     473,475
HCA, Inc.          
4.125%, 06/15/2029   318,000     324,138
5.250%, 04/15/2025 to 06/15/2026   491,000     517,512
5.375%, 02/01/2025   800,000     832,400
Humana, Inc.
3.125%, 08/15/2029
  500,000     483,964
Organon & Company
5.125%, 04/30/2031 (D)
  314,000     303,010
Pfizer, Inc.
2.625%, 04/01/2030
  500,000     485,435
Rede D'or Finance Sarl
4.500%, 01/22/2030 (D)
  269,000     246,808
Royalty Pharma PLC
1.750%, 09/02/2027
  206,000     186,960
Select Medical Corp.
6.250%, 08/15/2026 (D)
  194,000     200,837
Shire Acquisitions Investments Ireland DAC
3.200%, 09/23/2026
  500,000     500,864
Stanford Health Care
3.310%, 08/15/2030
  225,000     225,172
Teva Pharmaceutical Finance Company LLC
6.150%, 02/01/2036 (E)
  49,000     49,490
UnitedHealth Group, Inc.
5.800%, 03/15/2036
  540,000     669,246
Universal Health Services, Inc.          
1.650%, 09/01/2026 (D)   335,000     307,298
2.650%, 10/15/2030 (D)   358,000     324,997
Utah Acquisition Sub, Inc.          
3.950%, 06/15/2026   800,000     793,867
5.250%, 06/15/2046   250,000     247,137
Varex Imaging Corp.
7.875%, 10/15/2027 (D)
  149,000     157,940
Viatris, Inc.          
2.300%, 06/22/2027   209,000     190,220
2.700%, 06/22/2030   437,000     384,370
4.000%, 06/22/2050   374,000     314,189
Zimmer Biomet Holdings, Inc.
3.050%, 01/15/2026
  500,000     494,574
          18,067,499
Industrials – 5.8%          
3M Company
3.050%, 04/15/2030
  500,000     497,113
Adani Ports & Special Economic Zone, Ltd.
3.100%, 02/02/2031 (D)
  313,000     269,469
 
  14  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
AECOM
5.125%, 03/15/2027
$ 328,000   $ 335,455
AerCap Ireland Capital DAC          
1.650%, 10/29/2024   585,000     552,479
1.750%, 01/30/2026   350,000     321,107
2.450%, 10/29/2026   594,000     549,422
2.875%, 08/14/2024   328,000     318,990
Air Canada 2013-1 Class A Pass Through Trust
4.125%, 05/15/2025 (D)
  173,165     168,750
Air Canada 2017-1 Class B Pass Through Trust
3.700%, 01/15/2026 (D)
  170,926     160,871
Air Lease Corp.          
2.100%, 09/01/2028   208,000     181,875
2.875%, 01/15/2026   225,000     217,164
3.000%, 09/15/2023   400,000     398,279
3.125%, 12/01/2030   400,000     369,808
3.625%, 12/01/2027   170,000     165,381
Alaska Airlines 2020-1 Class B Pass Through Trust
8.000%, 08/15/2025 (D)
  108,985     115,528
Alta Equipment Group, Inc.
5.625%, 04/15/2026 (D)
  61,000     57,977
American Airlines 2015-1 Class A Pass Through Trust
3.375%, 05/01/2027
  816,382     779,733
American Airlines 2015-1 Class B Pass Through Trust
3.700%, 05/01/2023
  209,978     205,380
American Airlines 2016-1 Class A Pass Through Trust
4.100%, 01/15/2028
  242,101     224,925
American Airlines 2017-1 Class A Pass Through Trust
4.000%, 02/15/2029
  64,388     57,380
American Airlines 2017-1 Class AA Pass Through Trust
3.650%, 02/15/2029
  189,375     181,547
American Airlines 2017-2 Class A Pass Through Trust
3.600%, 10/15/2029
  162,114     150,115
American Airlines 2019-1 Class A Pass Through Trust
3.500%, 02/15/2032
  276,388     246,676
American Airlines 2019-1 Class AA Pass Through Trust
3.150%, 02/15/2032
  231,809     217,626
American Airlines 2021-1 Class A Pass Through Trust
2.875%, 07/11/2034
  200,000     180,540
American Airlines 2021-1 Class B Pass Through Trust
3.950%, 07/11/2030
  149,000     134,795
American Airlines Group, Inc.
3.750%, 03/01/2025 (D)(E)
  500,000     456,130
APX Group, Inc.
5.750%, 07/15/2029 (D)(E)
  266,000     242,680
Ashtead Capital, Inc.
2.450%, 08/12/2031 (D)
  215,000     189,191
Atkore, Inc.
4.250%, 06/01/2031 (D)
  90,000     83,700
Beacon Roofing Supply, Inc.
4.125%, 05/15/2029 (D)
  188,000     173,676
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
BlueLinx Holdings, Inc.
6.000%, 11/15/2029 (D)
$ 275,000   $ 255,750
Boise Cascade Company
4.875%, 07/01/2030 (D)
  52,000     50,495
British Airways 2013-1 Class A Pass Through Trust
4.625%, 06/20/2024 (D)
  164,221     165,840
British Airways 2018-1 Class A Pass Through Trust
4.125%, 09/20/2031 (D)
  66,294     63,222
British Airways 2020-1 Class A Pass Through Trust
4.250%, 11/15/2032 (D)
  129,372     129,240
British Airways 2020-1 Class B Pass Through Trust
8.375%, 11/15/2028 (D)
  98,653     108,913
Builders FirstSource, Inc.          
4.250%, 02/01/2032 (D)   286,000     266,338
5.000%, 03/01/2030 (D)   46,000     45,247
6.750%, 06/01/2027 (D)   61,000     63,288
Carrier Global Corp.
2.700%, 02/15/2031
  500,000     466,576
Cimpress PLC
7.000%, 06/15/2026 (D)(E)
  390,000     373,542
Clean Harbors, Inc.
4.875%, 07/15/2027 (D)
  38,000     37,905
Clydesdale Acquisition Holdings, Inc.
6.625%, 04/15/2029 (D)
  24,000     24,270
CNH Industrial Capital LLC
1.950%, 07/02/2023
  570,000     564,110
Continental Airlines 2007-1 Class A Pass Through Trust
5.983%, 04/19/2022
  32,294     32,292
CoStar Group, Inc.
2.800%, 07/15/2030 (D)
  386,000     352,793
CSX Corp.
3.800%, 04/15/2050
  1,000,000     1,015,206
DAE Funding LLC
2.625%, 03/20/2025 (D)
  267,000     253,330
Delta Air Lines, Inc.          
2.900%, 10/28/2024   543,000     530,783
3.800%, 04/19/2023   356,000     358,225
4.375%, 04/19/2028   325,000     311,699
4.500%, 10/20/2025 (D)   103,000     103,598
4.750%, 10/20/2028 (D)   307,051     309,402
Deluxe Corp.
8.000%, 06/01/2029 (D)
  124,000     125,946
Equifax, Inc.
3.100%, 05/15/2030
  800,000     762,940
Flowserve Corp.
3.500%, 10/01/2030
  136,000     128,800
Fortive Corp.
3.150%, 06/15/2026
  700,000     697,024
Garda World Security Corp.
6.000%, 06/01/2029 (D)
  186,000     167,077
GATX Corp.
3.850%, 03/30/2027
  800,000     807,573
GFL Environmental, Inc.          
3.500%, 09/01/2028 (D)   355,000     333,290
4.375%, 08/15/2029 (D)   229,000     211,539
4.750%, 06/15/2029 (D)   154,000     146,493
Global Infrastructure Solutions, Inc.
5.625%, 06/01/2029 (D)
  247,000     238,007
Graphic Packaging International LLC
3.500%, 03/01/2029 (D)
  267,000     245,640
 
  15  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
H&E Equipment Services, Inc.
3.875%, 12/15/2028 (D)
$ 212,000   $ 198,750
Hillenbrand, Inc.
3.750%, 03/01/2031
  201,000     183,915
Huntington Ingalls Industries, Inc.          
3.844%, 05/01/2025   450,000     454,807
4.200%, 05/01/2030   1,379,000     1,434,225
IDEX Corp.
3.000%, 05/01/2030
  1,000,000     944,804
JB Hunt Transport Services, Inc.
3.850%, 03/15/2024
  700,000     707,100
JB Poindexter & Company, Inc.
7.125%, 04/15/2026 (D)
  132,000     134,145
JetBlue 2019-1 Class AA Pass Through Trust
2.750%, 05/15/2032
  278,054     260,284
Kansas City Southern
2.875%, 11/15/2029
  500,000     480,616
Legends Hospitality Holding Company LLC
5.000%, 02/01/2026 (D)
  66,000     63,360
Lennox International, Inc.
3.000%, 11/15/2023
  800,000     800,892
Masco Corp.
2.000%, 10/01/2030
  412,000     356,709
MasTec, Inc.
4.500%, 08/15/2028 (D)(E)
  191,000     189,238
MIWD Holdco II LLC
5.500%, 02/01/2030 (D)
  50,000     46,688
Owens Corning
3.950%, 08/15/2029
  321,000     326,700
Picasso Finance Sub, Inc.
6.125%, 06/15/2025 (D)
  30,000     30,488
Prime Security Services Borrower LLC          
3.375%, 08/31/2027 (D)   62,000     56,723
6.250%, 01/15/2028 (D)   218,000     213,334
Quanta Services, Inc.
0.950%, 10/01/2024
  203,000     192,461
Southwest Airlines Company
5.250%, 05/04/2025
  800,000     840,113
The Boeing Company          
3.200%, 03/01/2029   388,000     369,736
5.040%, 05/01/2027   610,000     642,338
5.150%, 05/01/2030   412,000     439,381
5.805%, 05/01/2050   720,000     831,411
The Hertz Corp.          
4.625%, 12/01/2026 (D)   32,000     29,882
5.000%, 12/01/2029 (D)   71,000     64,255
TransDigm, Inc.
5.500%, 11/15/2027
  563,000     558,778
TriNet Group, Inc.
3.500%, 03/01/2029 (D)
  211,000     193,856
TTX Company
4.200%, 07/01/2046 (D)
  700,000     753,638
Tutor Perini Corp.
6.875%, 05/01/2025 (D)(E)
  300,000     285,324
Uber Technologies, Inc.          
4.500%, 08/15/2029 (D)   466,000     436,875
7.500%, 05/15/2025 to 09/15/2027 (D)   607,000     641,826
Union Pacific Corp.
4.163%, 07/15/2022
  1,137,000     1,137,860
United Airlines 2014-2 Class A Pass Through Trust
3.750%, 09/03/2026
  445,389     436,978
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
United Airlines 2014-2 Class B Pass Through Trust
4.625%, 09/03/2022
$ 113,904   $ 114,298
United Airlines 2016-1 Class A Pass Through Trust
3.450%, 07/07/2028
  379,753     333,758
United Airlines 2016-1 Class B Pass Through Trust
3.650%, 01/07/2026
  274,796     256,943
United Airlines 2018-1 Class B Pass Through Trust
4.600%, 03/01/2026
  109,551     102,777
United Airlines 2019-1 Class A Pass Through Trust
4.550%, 08/25/2031
  199,295     199,385
United Airlines 2020-1 Class A Pass Through Trust
5.875%, 10/15/2027
  658,053     676,695
United Airlines 2020-1 Class B Pass Through Trust
4.875%, 01/15/2026
  186,624     181,395
United Airlines, Inc.          
4.375%, 04/15/2026 (D)   31,000     30,494
4.625%, 04/15/2029 (D)   70,000     66,567
United Rentals North America, Inc.          
3.875%, 11/15/2027 to 02/15/2031   390,000     378,415
4.875%, 01/15/2028   373,000     378,892
US Airways 2010-1 Class A Pass Through Trust
6.250%, 04/22/2023
  74,090     73,335
US Airways 2011-1 Class A Pass Through Trust
7.125%, 10/22/2023
  186,100     189,830
US Airways 2012-2 Class A Pass Through Trust
4.625%, 06/03/2025
  169,144     162,819
Verisk Analytics, Inc.
4.125%, 03/15/2029
  400,000     412,448
Vertiv Group Corp.
4.125%, 11/15/2028 (D)
  305,000     278,348
Wabtec Corp.
3.200%, 06/15/2025
  500,000     488,119
Watco Companies LLC
6.500%, 06/15/2027 (D)
  52,000     51,125
Williams Scotsman International, Inc.
4.625%, 08/15/2028 (D)
  72,000     70,200
          37,133,488
Information technology – 3.7%          
Atento Luxco 1 SA
8.000%, 02/10/2026 (D)
  135,000     136,383
Autodesk, Inc.
2.850%, 01/15/2030
  99,000     93,134
Block, Inc.          
2.750%, 06/01/2026 (D)   92,000     86,960
3.500%, 06/01/2031 (D)   126,000     115,290
Broadcom, Inc.          
2.450%, 02/15/2031 (D)   1,000,000     892,078
3.137%, 11/15/2035 (D)   779,000     686,371
3.419%, 04/15/2033 (D)   499,000     465,727
3.469%, 04/15/2034 (D)   421,000     389,901
4.750%, 04/15/2029   1,292,000     1,357,545
5.000%, 04/15/2030   534,000     567,639
CDW LLC          
3.250%, 02/15/2029   149,000     136,903
3.569%, 12/01/2031   463,000     428,946
 
  16  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology (continued)          
CGI, Inc.
1.450%, 09/14/2026 (D)
$ 377,000   $ 346,330
Consensus Cloud Solutions, Inc.
6.500%, 10/15/2028 (D)
  255,000     253,386
Dell International LLC          
3.450%, 12/15/2051 (D)   427,000     346,890
4.900%, 10/01/2026   574,000     602,066
5.300%, 10/01/2029   978,000     1,065,286
5.850%, 07/15/2025   196,000     209,197
8.350%, 07/15/2046   90,000     131,525
Fiserv, Inc.          
2.250%, 06/01/2027   400,000     377,775
3.850%, 06/01/2025   614,000     620,254
Fortinet, Inc.
2.200%, 03/15/2031
  1,000,000     882,720
Gartner, Inc.          
3.625%, 06/15/2029 (D)   116,000     108,750
3.750%, 10/01/2030 (D)   72,000     67,590
4.500%, 07/01/2028 (D)   374,000     372,596
Infor, Inc.
1.750%, 07/15/2025 (D)
  151,000     141,970
Jabil, Inc.
3.600%, 01/15/2030
  180,000     174,379
KLA Corp.
4.100%, 03/15/2029
  275,000     288,618
Likewize Corp.
9.750%, 10/15/2025 (D)
  106,000     107,325
Marvell Technology, Inc.
2.450%, 04/15/2028
  410,000     376,986
Micron Technology, Inc.          
4.185%, 02/15/2027   933,000     957,421
4.663%, 02/15/2030   1,000,000     1,045,130
4.975%, 02/06/2026   190,000     199,000
5.327%, 02/06/2029   1,613,000     1,743,633
Motorola Solutions, Inc.          
2.300%, 11/15/2030   431,000     377,840
2.750%, 05/24/2031   464,000     419,819
4.600%, 05/23/2029   150,000     155,982
NXP BV          
3.250%, 05/11/2041 (D)   178,000     156,964
3.875%, 06/18/2026 (D)   477,000     478,533
Oracle Corp.
2.950%, 04/01/2030
  718,000     662,400
PayPal Holdings, Inc.          
2.300%, 06/01/2030   400,000     372,349
2.850%, 10/01/2029 (E)   1,673,000     1,637,677
PTC, Inc.
4.000%, 02/15/2028 (D)
  76,000     74,045
Qorvo, Inc.          
1.750%, 12/15/2024 (D)   281,000     268,037
3.375%, 04/01/2031 (D)   247,000     224,609
QUALCOMM, Inc.
1.650%, 05/20/2032
  566,000     490,742
Renesas Electronics Corp.
1.543%, 11/26/2024 (D)
  315,000     300,035
Sabre GLBL, Inc.
7.375%, 09/01/2025 (D)
  209,000     218,244
VeriSign, Inc.          
2.700%, 06/15/2031   256,000     231,680
5.250%, 04/01/2025   160,000     167,987
Visa, Inc.
2.050%, 04/15/2030
  400,000     373,218
Western Digital Corp.
4.750%, 02/15/2026
  382,000     387,982
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology (continued)          
Workday, Inc.          
3.500%, 04/01/2027 $ 220,000   $ 219,943
3.800%, 04/01/2032   249,000     248,526
Xerox Holdings Corp.
5.500%, 08/15/2028 (D)
  232,000     226,260
Ziff Davis, Inc.
4.625%, 10/15/2030 (D)
  200,000     190,445
          23,659,021
Materials – 1.7%          
Amcor Flexibles North America, Inc.
3.100%, 09/15/2026
  500,000     492,488
Anglo American Capital PLC
4.750%, 04/10/2027 (D)
  215,000     222,998
Arconic Corp.          
6.000%, 05/15/2025 (D)   117,000     119,691
6.125%, 02/15/2028 (D)   168,000     168,565
Braskem Idesa SAPI
6.990%, 02/20/2032 (D)
  201,000     196,992
Braskem Netherlands Finance BV
5.875%, 01/31/2050 (D)(E)
  240,000     238,080
Braskem Netherlands Finance BV (8.500% to 10-24-25, then 5 Year CMT + 8.220%) 01/23/2081 (D)   239,000     261,921
Cemex SAB de CV          
3.875%, 07/11/2031 (D)   297,000     271,015
5.200%, 09/17/2030 (D)   224,000     222,880
CF Industries, Inc.
4.950%, 06/01/2043
  175,000     188,213
CVR Partners LP
6.125%, 06/15/2028 (D)
  110,000     109,967
First Quantum Minerals, Ltd.
6.875%, 03/01/2026 to 10/15/2027 (D)
  404,000     419,752
Freeport-McMoRan, Inc.          
4.250%, 03/01/2030   354,000     356,361
4.625%, 08/01/2030   297,000     303,683
5.450%, 03/15/2043   934,000     1,045,931
FS Luxembourg Sarl
10.000%, 12/15/2025 (D)
  347,000     364,350
Glencore Funding LLC
2.625%, 09/23/2031 (D)
  500,000     447,254
Graham Packaging Company, Inc.
7.125%, 08/15/2028 (D)
  24,000     21,780
Hudbay Minerals, Inc.
4.500%, 04/01/2026 (D)
  66,000     64,130
Huntsman International LLC
4.500%, 05/01/2029
  500,000     516,162
JW Aluminum Continuous Cast Company
10.250%, 06/01/2026 (D)
  135,000     140,738
LSB Industries, Inc.
6.250%, 10/15/2028 (D)
  131,000     132,835
Mauser Packaging Solutions Holding Company
8.500%, 04/15/2024 (D)
  54,000     54,945
Methanex Corp.          
4.250%, 12/01/2024   193,000     192,990
5.650%, 12/01/2044   450,000     411,750
Newmont Corp.
2.800%, 10/01/2029
  223,000     213,310
Novelis Corp.
4.750%, 01/30/2030 (D)
  410,000     398,055
Orbia Advance Corp. SAB de CV
5.500%, 01/15/2048 (D)
  315,000     309,916
Owens-Brockway Glass Container, Inc.
6.625%, 05/13/2027 (D)(E)
  130,000     128,700
 
  17  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Materials (continued)          
Pactiv Evergreen Group Issuer LLC
4.375%, 10/15/2028 (D)
$ 174,000   $ 159,873
Pactiv Evergreen Group Issuer, Inc.
4.000%, 10/15/2027 (D)
  362,000     336,298
Sasol Financing USA LLC
5.500%, 03/18/2031
  425,000     396,780
Standard Industries, Inc.          
3.375%, 01/15/2031 (D)   142,000     124,250
4.375%, 07/15/2030 (D)   106,000     97,091
5.000%, 02/15/2027 (D)   73,000     72,363
The Mosaic Company
4.250%, 11/15/2023
  600,000     612,706
Trident TPI Holdings, Inc.
6.625%, 11/01/2025 (D)
  35,000     34,300
Trinseo Materials Operating SCA
5.125%, 04/01/2029 (D)
  211,000     194,696
Tronox, Inc.
4.625%, 03/15/2029 (D)
  242,000     226,573
Valvoline, Inc.
3.625%, 06/15/2031 (D)
  302,000     260,892
Volcan Cia Minera SAA
4.375%, 02/11/2026 (D)(E)
  69,000     66,068
Vulcan Materials Company
3.500%, 06/01/2030
  258,000     255,887
WR Grace Holdings LLC          
4.875%, 06/15/2027 (D)   143,000     139,918
5.625%, 08/15/2029 (D)   133,000     124,368
          11,117,515
Real estate – 2.8%          
American Homes 4 Rent LP
4.250%, 02/15/2028
  203,000     206,036
American Tower Corp.          
3.550%, 07/15/2027   582,000     577,315
3.800%, 08/15/2029   225,000     223,905
5.000%, 02/15/2024   670,000     693,006
Crown Castle International Corp.          
3.300%, 07/01/2030   532,000     508,767
3.650%, 09/01/2027   415,000     411,988
3.700%, 06/15/2026   500,000     503,169
3.800%, 02/15/2028   225,000     224,772
4.150%, 07/01/2050   400,000     390,174
CubeSmart LP
4.375%, 02/15/2029
  600,000     627,259
CyrusOne LP          
2.150%, 11/01/2030   190,000     189,707
3.450%, 11/15/2029   344,000     354,320
EPR Properties
4.950%, 04/15/2028
  350,000     350,147
Equinix, Inc.          
1.550%, 03/15/2028   324,000     286,052
1.800%, 07/15/2027   255,000     231,844
2.500%, 05/15/2031   563,000     504,912
2.900%, 11/18/2026   1,000,000     968,376
3.200%, 11/18/2029   199,000     190,442
ERP Operating LP
3.375%, 06/01/2025
  300,000     300,558
Extra Space Storage LP
2.350%, 03/15/2032
  500,000     438,804
GLP Capital LP          
3.250%, 01/15/2032   521,000     472,703
5.375%, 04/15/2026   277,000     289,447
Healthcare Trust of America
Holdings LP
         
3.500%, 08/01/2026   500,000     498,491
3.750%, 07/01/2027   600,000     606,185
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Real estate (continued)          
Host Hotels & Resorts LP          
3.375%, 12/15/2029 $ 405,000   $ 385,863
3.500%, 09/15/2030   267,000     254,574
4.500%, 02/01/2026   214,000     218,899
Iron Mountain Information Management Services, Inc.
5.000%, 07/15/2032 (D)
  230,000     215,625
Iron Mountain, Inc.          
4.875%, 09/15/2029 (D)   195,000     185,615
5.250%, 07/15/2030 (D)   261,000     255,780
Kimco Realty Corp.
3.375%, 10/15/2022
  1,050,000     1,054,627
MGM Growth Properties Operating Partnership LP
3.875%, 02/15/2029 (D)
  207,000     203,378
Mid-America Apartments LP
3.950%, 03/15/2029
  700,000     720,804
Piedmont Operating Partnership LP
4.450%, 03/15/2024
  500,000     508,430
RHP Hotel Properties LP
4.500%, 02/15/2029 (D)
  341,000     320,540
RLJ Lodging Trust LP
3.750%, 07/01/2026 (D)
  149,000     141,550
SBA Communications Corp.
3.875%, 02/15/2027
  356,000     347,251
SBA Tower Trust
2.836%, 01/15/2025 (D)
  266,000     261,667
SL Green Operating Partnership LP
3.250%, 10/15/2022
  500,000     500,987
Uniti Group LP
6.500%, 02/15/2029 (D)
  141,000     131,461
Ventas Realty LP
4.750%, 11/15/2030 (E)
  1,000,000     1,064,189
VICI Properties LP          
4.125%, 08/15/2030 (D)   132,000     127,428
4.625%, 12/01/2029 (D)   260,000     259,350
Welltower, Inc.
2.700%, 02/15/2027
  400,000     391,143
XHR LP
4.875%, 06/01/2029 (D)
  107,000     103,943
          17,701,483
Utilities – 1.9%          
ABY Transmision Sur SA
6.875%, 04/30/2043 (D)
  210,408     252,490
AES Panama Generation Holdings SRL
4.375%, 05/31/2030 (D)
  203,000     193,358
Ameren Corp.
3.500%, 01/15/2031
  1,000,000     986,425
AmeriGas Partners LP
5.500%, 05/20/2025
  275,000     275,022
Arizona Public Service Company
5.500%, 09/01/2035
  1,118,000     1,220,553
CenterPoint Energy Houston Electric LLC
6.950%, 03/15/2033
  535,000     690,569
Consolidated Edison Company of New
York, Inc.
         
3.350%, 04/01/2030   500,000     498,367
3.950%, 04/01/2050   500,000     514,082
Dominion Energy, Inc.          
3.375%, 04/01/2030   662,000     653,075
3.600%, 03/15/2027   500,000     502,034
DPL, Inc.
4.125%, 07/01/2025
  249,000     247,297
 
  18  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
Edison International
3.550%, 11/15/2024
$ 700,000   $ 702,175
Emera US Finance LP
3.550%, 06/15/2026
  163,000     162,832
FirstEnergy Corp.
2.650%, 03/01/2030
  254,000     230,605
Israel Electric Corp., Ltd.
6.875%, 06/21/2023 (D)
  95,000     99,120
NextEra Energy Capital Holdings, Inc.
3.550%, 05/01/2027
  677,000     684,873
NextEra Energy Operating Partners LP          
3.875%, 10/15/2026 (D)   243,000     240,266
4.500%, 09/15/2027 (D)   201,000     200,066
NiSource, Inc.
3.600%, 05/01/2030
  230,000     228,091
NRG Energy, Inc.          
2.450%, 12/02/2027 (D)   284,000     261,934
3.375%, 02/15/2029 (D)   62,000     55,112
3.625%, 02/15/2031 (D)   175,000     153,928
3.875%, 02/15/2032 (D)   371,000     326,480
4.450%, 06/15/2029 (D)   257,000     257,105
Southern California Edison Company
3.700%, 08/01/2025
  1,000,000     1,016,612
Suburban Propane Partners LP
5.000%, 06/01/2031 (D)
  176,000     165,000
Vistra Operations Company LLC          
3.700%, 01/30/2027 (D)   624,000     598,897
4.300%, 07/15/2029 (D)   475,000     458,488
          11,874,856
TOTAL CORPORATE BONDS (Cost $298,374,952)     $ 296,245,056
CAPITAL PREFERRED SECURITIES – 0.2%      
Financials – 0.2%          
Truist Financial Corp. (Greater of 3 month LIBOR + 0.645% or 4.000%) 4.000%, 12/15/2024 (A)(F)   425,000     369,733
USB Capital IX (Greater of 3 month LIBOR + 1.020% or 3.500%) 3.500%, 05/02/2022 (A)(F)   1,045,000     867,999
          1,237,732
TOTAL CAPITAL PREFERRED SECURITIES (Cost $1,389,911)     $ 1,237,732
MUNICIPAL BONDS – 0.7%          
Foothill-Eastern Transportation Corridor Agency (California)
4.094%, 01/15/2049
  1,000,000     995,809
Golden State Tobacco Securitization Corp. (California)
4.214%, 06/01/2050
  231,000     205,257
New Jersey Transportation Trust
Fund Authority
         
4.081%, 06/15/2039   283,000     283,445
4.131%, 06/15/2042   40,000     39,567
Sales Tax Securitization Corp. (Illinois)
4.637%, 01/01/2040
  455,000     507,790
State Board of Administration Finance Corp. (Florida)
1.705%, 07/01/2027
  416,000     387,756
State of Connecticut, GO
2.677%, 07/01/2030
  250,000     239,985
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
MUNICIPAL BONDS (continued)          
The School District of Philadelphia
(Pennsylvania), GO
         
5.995%, 09/01/2030 $ 315,000   $ 365,898
6.765%, 06/01/2040   1,010,000     1,302,381
TOTAL MUNICIPAL BONDS (Cost $4,330,766)   $ 4,327,888
TERM LOANS (G) – 0.4%      
Communication services – 0.0%          
AP Core Holdings II LLC, High-Yield Term Loan B2 (1 month LIBOR + 5.500%) 6.250%, 09/01/2027   93,000     92,419
Consumer discretionary – 0.1%          
Carnival Corp., 2021 Incremental Term Loan B (3 month LIBOR + 3.250%) 4.000%, 10/18/2028   391,020     381,733
Fertitta Entertainment LLC, 2022 Term Loan B (1 month SOFR + 4.000%) 4.500%, 01/27/2029   109,000     108,319
Hunter Douglas, Inc., USD Term Loan B1 (3 month SOFR + 3.500%) 4.000%, 02/26/2029   293,000     286,774
          776,826
Health care – 0.0%          
TTF Holdings LLC, Term Loan (1 month LIBOR + 4.250%) 5.000%, 03/31/2028   62,719     62,406
Industrials – 0.1%          
Clydesdale Acquisition Holdings, Inc., Term Loan
03/30/2029 TBD (H)
  57,000     55,575
CoreLogic, Inc., Term Loan (1 month LIBOR + 3.500%) 4.000%, 06/02/2028   577,101     569,529
          625,104
Information technology – 0.1%          
MKS Instruments, Inc., 2021 USD Tem Loan
10/21/2028 TBD (H)
  376,000     372,357
Quest Software, Inc., 2022 Term Loan (3 month SOFR + 4.250%) 4.750%, 02/01/2029   236,000     232,127
          604,484
Materials – 0.1%          
Mauser Packaging Solutions Holding Company, 2017 Term Loan B
04/03/2024 TBD (H)
  163,572     161,050
TOTAL TERM LOANS (Cost $2,346,610)     $ 2,322,289
COLLATERALIZED MORTGAGE OBLIGATIONS – 8.6%      
Commercial and residential – 6.3%          
Angel Oak Mortgage Trust LLC          
Series 2021-2, Class A1,
0.985%, 04/25/2066 (D)(I)
  153,986     146,887
Series 2021-4, Class A1,
1.035%, 01/20/2065 (D)(I)
  313,914     296,978
Series 2021-5, Class A1,
0.951%, 07/25/2066 (D)(I)
  398,213     375,868
Arbor Multifamily Mortgage Securities Trust
Series 2020-MF1, Class XA IO
0.965%, 05/15/2053 (D)
  4,340,423     264,831
Arroyo Mortgage Trust
Series 2021-1R, Class A1
1.175%, 10/25/2048 (D)(I)
  262,275     248,387
 
  19  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
BAMLL Commercial Mortgage Securities Trust
Series 2019-BPR, Class ENM
3.719%, 11/05/2032 (D)(I)
$ 116,000   $ 100,542
BAMLL Re-REMIC Trust
Series 2014-FRR4, Class BK23
2.682%, 09/27/2022 (D)(J)
  500,000     493,426
BANK          
Series 2019-BN20, Class ASB,
2.933%, 09/15/2062
  400,000     395,702
Series 2021-BN34, Class XA IO,
0.979%, 06/15/2063
  12,770,057     859,842
BBCMS Mortgage Trust
Series 2020-C6, Class A2
2.690%, 02/15/2053
  101,000     99,352
BBCMS Trust          
Series 2015-MSQ, Class D,
3.990%, 09/15/2032 (D)(I)
  140,000     139,712
Series 2015-SRCH, Class D,
4.957%, 08/10/2035 (D)(I)
  194,000     192,687
Bear Stearns Asset Backed Securities Trust
Series 2003-AC4, Class A
5.500%, 09/25/2033
  289,711     285,396
Benchmark Mortgage Trust          
Series 2019-B12, Class A2,
3.001%, 08/15/2052
  270,000     266,946
Series 2019-B15, Class XA IO,
0.823%, 12/15/2072
  9,897,140     474,637
BRAVO Residential Funding Trust
Series 2021-NQM1, Class A1
0.941%, 02/25/2049 (D)(I)
  187,469     181,921
BWAY Mortgage Trust
Series 2015-1740, Class XA IO
0.179%, 01/10/2035 (D)
  3,705,000     55
BX Commercial Mortgage Trust          
Series 2018-BIOA, Class D (1 month LIBOR + 1.321%),
1.718%, 03/15/2037 (A)(D)
  309,900     305,223
Series 2020-VKNG, Class A (1 month LIBOR + 0.930%),
1.327%, 10/15/2037 (A)(D)
  273,046     270,041
Series 2021-ACNT, Class A (1 month LIBOR + 0.850%),
1.247%, 11/15/2038 (A)(D)
  243,000     239,741
Series 2021-VOLT, Class C (1 month LIBOR + 1.100%),
1.497%, 09/15/2036 (A)(D)
  278,000     266,747
Series 2022-AHP, Class A (1 month CME Term SOFR + 0.990%),
1.291%, 01/17/2039 (A)(D)
  566,000     558,586
CAMB Commercial Mortgage Trust          
Series 2019-LIFE, Class D (1 month LIBOR + 1.750%),
2.147%, 12/15/2037 (A)(D)
  121,000     119,029
Series 2019-LIFE, Class F (1 month LIBOR + 2.550%),
2.947%, 12/15/2037 (A)(D)
  192,000     188,714
CD Mortgage Trust
Series 2017-CD3, Class A4
3.631%, 02/10/2050
  800,000     806,959
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
CFCRE Commercial Mortgage Trust
Series 2017-C8, Class C
4.903%, 06/15/2050 (I)
$ 500,000   $ 502,903
CHL Mortgage Pass-Through Trust
Series 2004-HYB2, Class 4A
2.422%, 07/20/2034 (I)
  471,611     476,147
Citigroup Commercial Mortgage Trust          
Series 2018-C5, Class A3,
3.963%, 06/10/2051
  549,272     553,173
Series 2018-C5, Class XA IO,
0.535%, 06/10/2051
  15,273,249     511,274
Series 2019-C7, Class XA IO,
0.872%, 12/15/2072
  15,864,462     848,727
Series 2019-PRM, Class A,
3.341%, 05/10/2036 (D)
  310,000     308,685
Series 2019-SMRT, Class A,
4.149%, 01/10/2036 (D)
  162,000     163,900
Cold Storage Trust
Series 2020-ICE5, Class D (1 month LIBOR + 2.100%)
2.497%, 11/15/2037 (A)(D)
  491,495     485,966
COLT Mortgage Loan Trust          
Series 2021-2, Class A1,
0.924%, 08/25/2066 (D)(I)
  324,931     300,541
Series 2021-3, Class A1,
0.956%, 09/27/2066 (D)(I)
  424,707     393,385
Series 2021-HX1, Class A1,
1.110%, 10/25/2066 (D)(I)
  368,735     342,979
COLT Trust
Series 2020-RPL1, Class A1
1.390%, 01/25/2065 (D)(I)
  439,416     413,780
Commercial Mortgage Trust (Bank of America Merrill Lynch/Deutsche Bank AG)
Series 2013-WWP, Class A2
3.424%, 03/10/2031 (D)
  1,400,000     1,412,634
Commercial Mortgage Trust (Cantor
Fitzgerald/Deutsche Bank AG)
         
Series 2012-CR2, Class XA IO,
1.601%, 08/15/2045
  7,458,091     2
Series 2012-CR3, Class XA IO,
1.824%, 10/15/2045
  7,354,239     20,366
Series 2013-CR8, Class A5,
3.612%, 06/10/2046 (I)
  400,000     402,568
Series 2013-CR8, Class AM,
3.791%, 06/10/2046 (D)(I)
  1,000,000     1,008,327
Series 2014-CR15, Class C,
4.690%, 02/10/2047 (I)
  800,000     807,575
Series 2014-CR15, Class XA IO,
0.648%, 02/10/2047
  4,691,819     50,933
Series 2014-CR16, Class C,
4.911%, 04/10/2047 (I)
  400,000     395,677
Series 2015-CR27, Class A4,
3.612%, 10/10/2048
  1,000,000     1,007,681
Commercial Mortgage Trust (Citigroup/Deutsche Bank AG)
Series 2018-COR3, Class XA IO
0.438%, 05/10/2051
  5,007,696     116,821
Commercial Mortgage Trust (Deutsche
Bank AG)
         
Series 2012-LC4, Class XA IO,
1.404%, 12/10/2044 (D)
  493,320     0
 
  20  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Commercial Mortgage Trust (Deutsche
Bank AG) (continued)
         
Series 2013-300P, Class D,
4.394%, 08/10/2030 (D)(I)
$ 307,000   $ 301,839
Series 2013-300P, Class E,
4.394%, 08/10/2030 (D)(I)
  700,000     681,892
Series 2017-PANW, Class A,
3.244%, 10/10/2029 (D)
  89,000     87,589
Series 2020-CBM, Class A2,
2.896%, 02/10/2037 (D)
  169,000     163,857
Commercial Mortgage Trust (Deutsche Bank AG/UBS AG)
Series 2014-UBS2, Class XA IO
1.117%, 03/10/2047
  3,385,778     55,416
Credit Suisse Mortgage
Capital Certificates
         
Series 2019-ICE4, Class D (1 month LIBOR + 1.600%),
1.997%, 05/15/2036 (A)(D)
  305,000     301,560
Series 2020-NET, Class A,
2.257%, 08/15/2037 (D)
  103,756     98,685
Series 2021-NQM2, Class A1,
1.179%, 02/25/2066 (D)(I)
  265,090     255,670
Series 2021-NQM3, Class A1,
1.015%, 04/25/2066 (D)(I)
  221,335     210,575
Series 2021-NQM5, Class A1,
0.938%, 05/25/2066 (D)(I)
  221,225     208,804
Series 2021-NQM6, Class A1,
1.174%, 07/25/2066 (D)(I)
  366,020     343,890
CSAIL Commercial Mortgage Trust          
Series 2019-C17, Class A4,
2.763%, 09/15/2052
  425,000     406,688
Series 2019-C18, Class E,
2.500%, 12/15/2052 (D)
  265,000     207,910
DSLA Mortgage Loan Trust
Series 2004-AR3, Class 2A2B (1 month LIBOR + 0.900%)
1.349%, 07/19/2044 (A)
  317,936     298,600
Ellington Financial Mortgage Trust          
Series 2021-1, Class A1,
0.797%, 02/25/2066 (D)(I)
  117,911     113,257
Series 2021-2, Class A1,
0.931%, 06/25/2066 (D)(I)
  248,057     231,981
Flagstar Mortgage Trust
Series 2021-1, Class A2
2.500%, 02/01/2051 (D)(I)
  365,967     339,087
FREMF Mortgage Trust          
Series 2016-K54, Class C,
4.052%, 04/25/2048 (D)(I)
  290,000     285,452
Series 2016-K56, Class B,
3.942%, 06/25/2049 (D)(I)
  1,085,000     1,087,373
Series 2017-K67, Class B,
3.945%, 09/25/2049 (D)(I)
  485,000     486,428
Series 2018-K730, Class B,
3.796%, 02/25/2050 (D)(I)
  300,000     300,105
Series 2019-KF69, Class B (1 month LIBOR + 2.300%),
2.541%, 08/25/2029 (A)(D)
  196,351     195,146
GCAT Trust          
Series 2021-NQM1, Class A1,
0.874%, 01/25/2066 (D)(I)
  221,238     212,339
Series 2021-NQM2, Class A1,
1.036%, 05/25/2066 (D)(I)
  185,383     175,323
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
GCAT Trust (continued)          
Series 2021-NQM3, Class A1,
1.091%, 05/25/2066 (D)(I)
$ 314,352   $ 297,507
GS Mortgage Securities Trust          
Series 2013-GC10, Class C,
4.285%, 02/10/2046 (D)(I)
  859,800     861,646
Series 2017-485L, Class C,
3.982%, 02/10/2037 (D)(I)
  85,000     82,437
Series 2020-UPTN, Class A,
2.751%, 02/10/2037 (D)
  136,000     131,157
GS Mortgage-Backed Securities Trust
Series 2021-NQM1, Class A1
1.017%, 07/25/2061 (D)(I)
  148,859     142,792
HarborView Mortgage Loan Trust          
Series 2007-3, Class ES IO,
0.350%, 05/19/2047 (D)
  8,286,431     86,298
Series 2007-4, Class ES IO,
0.350%, 07/19/2047
  8,805,502     115,988
Series 2007-6, Class ES IO,
0.343%, 08/19/2037 (D)
  8,844,486     123,936
Hilton Orlando Trust
Series 2018-ORL, Class B (1 month LIBOR + 1.200%)
1.597%, 12/15/2034 (A)(D)
  1,000,000     983,696
Imperial Fund Mortgage Trust
Series 2021-NQM1, Class A1
1.071%, 06/25/2056 (D)(I)
  185,574     174,578
IMT Trust          
Series 2017-APTS, Class AFX,
3.478%, 06/15/2034 (D)
  107,000     106,655
Series 2017-APTS, Class CFX,
3.497%, 06/15/2034 (D)(I)
  123,000     120,628
Irvine Core Office Trust          
Series 2013-IRV, Class A2,
3.174%, 05/15/2048 (D)(I)
  260,000     260,450
Series 2013-IRV, Class XA IO,
1.106%, 05/15/2048 (D)
  2,885,469     17,023
JPMBB Commercial Mortgage Securities Trust
Series 2013-C14, Class XA IO
0.377%, 08/15/2046
  4,379,564     17,180
JPMorgan Chase Commercial Mortgage
Securities Trust
         
Series 2012-HSBC, Class XA IO,
1.431%, 07/05/2032 (D)
  9,536,059     95
Series 2020-NNN, Class AFX,
2.812%, 01/16/2037 (D)
  258,000     250,397
KNDL Mortgage Trust
Series 2019-KNSQ, Class D (1 month LIBOR + 1.350%)
1.747%, 05/15/2036 (A)(D)
  187,000     184,644
Life Mortgage Trust          
Series 2021-BMR, Class A (1 month LIBOR + 0.700%),
1.097%, 03/15/2038 (A)(D)
  340,108     332,445
Series 2021-BMR, Class D (1 month LIBOR + 1.400%),
1.797%, 03/15/2038 (A)(D)
  275,232     265,930
Series 2021-BMR, Class E (1 month LIBOR + 1.750%),
2.147%, 03/15/2038 (A)(D)
  982,970     944,831
 
  21  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
MASTR Adjustable Rate
Mortgages Trust
         
Series 2004-13, Class 2A1,
2.623%, 04/21/2034 (I)
$ 69,553   $ 69,156
Series 2004-8, Class 5A1,
2.276%, 08/25/2034 (I)
  83,659     82,947
MASTR Alternative Loan Trust
Series 2004-4, Class 8A1
6.500%, 05/25/2034
  170,442     171,806
Merrill Lynch Mortgage Investors Trust
Series 2005-A, Class A1 (1 month LIBOR + 0.460%)
0.917%, 03/25/2030 (A)
  15,456     14,832
Merrill Lynch Mortgage Trust
Series 2008-C1, Class X IO
0.000%, 02/12/2051 (D)
  2,601,931     26
MFA Trust
Series 2021-NQM1, Class A1
1.153%, 04/25/2065 (D)(I)
  179,024     175,906
Morgan Stanley Bank of America Merrill
Lynch Trust
         
Series 2012-C5, Class XA IO,
1.309%, 08/15/2045 (D)
  7,634,777     5,011
Series 2012-C6, Class XA IO,
1.568%, 11/15/2045 (D)
  4,952,728     4,895
Series 2013-C7, Class XA IO,
1.270%, 02/15/2046
  9,466,706     54,665
Series 2014-C17, Class XA IO,
1.046%, 08/15/2047
  9,597,643     149,816
Morgan Stanley Capital I Trust          
Series 2017-CLS, Class D (1 month LIBOR + 1.400%),
1.797%, 11/15/2034 (A)(D)
  173,000     171,534
Series 2019-L3, Class XA IO,
0.640%, 11/15/2052
  21,402,447     863,364
Natixis Commercial Mortgage
Securities Trust
         
Series 2018-285M, Class D,
3.790%, 11/15/2032 (D)(I)
  135,000     134,374
Series 2018-ALXA, Class C,
4.316%, 01/15/2043 (D)(I)
  98,000     95,441
NYMT Loan Trust
Series 2022-CP1, Class A1
2.042%, 07/25/2061 (D)
  191,266     184,691
OBX Trust          
Series 2020-EXP2, Class A3,
2.500%, 05/25/2060 (D)(I)
  142,773     138,477
Series 2021-NQM2, Class A1,
1.101%, 05/25/2061 (D)(I)
  343,391     323,336
Series 2021-NQM3, Class A1,
1.054%, 07/25/2061 (D)(I)
  398,303     373,624
One Market Plaza Trust
Series 2017-1MKT, Class D
4.146%, 02/10/2032 (D)
  90,000     89,158
Provident Funding Mortgage Trust
Series 2020-F1, Class A2
2.000%, 01/25/2036 (D)(I)
  340,306     319,734
Sequoia Mortgage Trust
Series 2005-3, Class A1 (1 month LIBOR + 0.400%)
0.849%, 05/20/2035 (A)
  34,918     33,185
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
SLG Office Trust
Series 2021-OVA, Class D
2.851%, 07/15/2041 (D)
$ 352,000   $ 305,871
SMRT
Series 2022-MINI, Class A (1 month CME Term SOFR + 1.000%)
1.302%, 01/15/2024 (A)(D)
  791,000     780,608
Starwood Mortgage Residential Trust
Series 2022-1, Class A1
2.447%, 12/25/2066 (D)(I)
  387,717     369,214
Structured Asset Securities Corp.
Series 1998-RF2, Class A
4.739%, 07/15/2027 (D)(I)
  38,817     38,650
Towd Point Mortgage Trust          
Series 2015-1, Class A5,
3.160%, 10/25/2053 (D)(I)
  123,000     122,658
Series 2015-2, Class 1M2,
3.306%, 11/25/2060 (D)(I)
  175,000     175,311
Series 2015-6, Class M2,
3.750%, 04/25/2055 (D)(I)
  1,000,000     981,044
Series 2017-2, Class A1,
2.750%, 04/25/2057 (D)(I)
  14,322     14,331
Series 2018-1, Class A1,
3.000%, 01/25/2058 (D)(I)
  62,960     62,731
Series 2018-4, Class A1,
3.000%, 06/25/2058 (D)(I)
  255,445     250,507
Series 2018-5, Class A1A,
3.250%, 07/25/2058 (D)(I)
  31,744     31,864
Series 2018-6, Class A1A,
3.750%, 03/25/2058 (D)(I)
  217,154     218,495
Series 2019-1, Class A1,
3.658%, 03/25/2058 (D)(I)
  215,006     214,486
Series 2019-4, Class A1,
2.900%, 10/25/2059 (D)(I)
  191,418     187,951
Series 2020-4, Class A1,
1.750%, 10/25/2060 (D)
  282,478     266,663
UBS-Barclays Commercial Mortgage Trust
Series 2012-C2, Class XA IO
1.299%, 05/10/2063 (D)
  3,814,456     2,826
Velocity Commercial Capital Loan Trust
Series 2018-2, Class M1
4.260%, 10/26/2048 (D)(I)
  217,863     216,303
Verus Securitization Trust          
Series 2020-5, Class A1,
1.218%, 05/25/2065 (D)
  113,970     111,090
Series 2021-3, Class A1,
1.046%, 06/25/2066 (D)(I)
  325,474     308,838
Series 2021-4, Class A1,
0.938%, 07/25/2066 (D)(I)
  173,513     162,810
Series 2021-5, Class A1,
1.013%, 09/25/2066 (D)(I)
  338,383     311,483
Series 2021-R1, Class A1,
0.820%, 10/25/2063 (D)(I)
  191,865     187,200
Washington Mutual Mortgage Pass Through Certificates
Series 2005-1, Class 6A1
6.500%, 03/25/2035
  185,749     181,576
Wells Fargo Commercial Mortgage Trust
Series 2019-C54, Class A3
2.892%, 12/15/2052
  500,000     478,766
 
  22  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
WF-RBS Commercial Mortgage Trust          
Series 2012-C10, Class XA IO,
1.479%, 12/15/2045 (D)
$ 5,348,652   $ 30,652
Series 2012-C9, Class XA IO,
1.852%, 11/15/2045 (D)
  6,005,720     18,466
          40,138,404
U.S. Government Agency – 2.3%          
Federal Home Loan Mortgage Corp.          
Series 2021-HQA3, Class M2 (1 month SOFR + 2.100%),
2.199%, 09/25/2041 (A)(D)
  1,000,000     937,973
Series 2022-DNA1, Class M1A (1 month SOFR + 1.000%),
1.099%, 01/25/2042 (A)(D)
  407,000     399,821
Series 2022-DNA2, Class M1A (1 month SOFR + 1.300%),
1.399%, 02/25/2042 (A)(D)
  296,370     294,582
Series 2022-DNA2, Class M1B (1 month SOFR + 2.400%),
2.499%, 02/25/2042 (A)(D)
  342,000     332,770
Series 290, Class IO,
3.500%, 11/15/2032
  837,188     90,967
Series 3387, Class SB IO,
6.023%, 11/15/2037
  814,944     99,307
Series 3632, Class AP,
3.000%, 02/15/2040
  513,253     510,518
Series K021, Class A2,
2.396%, 06/25/2022
  767,635     767,789
Series K021, Class X1 IO,
1.384%, 06/25/2022
  8,508,355     85
Series K022, Class X1 IO,
1.165%, 07/25/2022
  1,984,298     3,160
Series K026, Class X1 IO,
0.929%, 11/25/2022
  9,554,736     38,799
Series K109, Class X1 IO,
1.582%, 04/25/2030
  3,122,778     322,213
Series KS01, Class X1 IO,
1.109%, 01/25/2023
  1,923,652     8,844
Series T-41, Class 3A,
4.560%, 07/25/2032 (I)
  43,391     44,777
Federal National Mortgage Association          
Series 2001-50, Class BA,
7.000%, 10/25/2041
  5,355     5,787
Series 2002-W3, Class A5,
7.500%, 11/25/2041
  50,725     57,782
Series 2011-41, Class KA,
4.000%, 01/25/2041
  91,460     92,763
Series 2011-86, Class NA,
4.000%, 01/25/2041
  27,678     27,741
Series 2012-137, Class WI IO,
3.500%, 12/25/2032
  798,936     91,571
Series 2012-21, Class PA,
2.000%, 03/25/2041
  872,145     857,720
Series 2012-38, Class PA,
2.000%, 09/25/2041
  500,468     482,531
Series 2015-C01, Class 1M2 (1 month LIBOR + 4.300%),
4.757%, 02/25/2025 (A)
  71,200     71,733
Series 2015-C03, Class 2M2 (1 month LIBOR + 5.000%),
5.457%, 07/25/2025 (A)
  1,409     1,409
Series 2016-M11, Class X1 IO,
0.416%, 07/25/2026
  21,494,491     341,251
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal National
Mortgage Association (continued)
         
Series 2016-M12, Class X2 IO,
0.042%, 09/25/2026
$ 31,073,901   $ 60,156
Series 2019-M25, Class X IO,
0.146%, 11/25/2029
  33,426,141     470,302
Series 2020-R02, Class 2M2 (1 month LIBOR + 2.000%),
2.457%, 01/25/2040 (A)(D)
  209,853     209,076
Series 2021-31, Class IE IO,
3.448%, 03/25/2050
  2,594,000     272,045
Series 2021-M8, Class X IO,
0.452%, 11/25/2035
  11,790,835     404,771
Series 2022-R03, Class 1M1 (1 month SOFR + 2.100%),
2.199%, 03/25/2042 (A)(D)
  373,000     373,578
Government National
Mortgage Association
         
Series 2008-90, Class IO,
2.009%, 12/16/2050
  2,063,995     291,771
Series 2010-147, Class SA IO,
5.721%, 05/20/2040
  431,499     26,169
Series 2010-85, Class SB IO,
6.169%, 03/16/2040
  802,784     76,297
Series 2012-114, Class IO,
0.656%, 01/16/2053
  364,533     7,167
Series 2012-120, Class IO,
0.644%, 02/16/2053
  4,307,788     81,693
Series 2012-70, Class IO,
0.083%, 08/16/2052
  1,005,713     1,465
Series 2015-41, Class IO,
0.318%, 09/16/2056
  2,556,629     46,861
Series 2016-162, Class IO,
0.728%, 09/16/2058
  4,092,155     164,321
Series 2016-174, Class IO,
0.851%, 11/16/2056
  423,924     20,124
Series 2017-109, Class IO,
0.289%, 04/16/2057
  784,898     20,873
Series 2017-124, Class IO,
0.621%, 01/16/2059
  715,251     26,337
Series 2017-135, Class IO,
0.726%, 10/16/2058
  1,036,325     46,451
Series 2017-140, Class IO,
0.489%, 02/16/2059
  402,343     15,519
Series 2017-159, Class IO,
0.448%, 06/16/2059
  10,487,293     428,821
Series 2017-169, Class IO,
0.589%, 01/16/2060
  1,941,692     80,965
Series 2017-20, Class IO,
0.648%, 12/16/2058
  2,027,056     69,624
Series 2017-22, Class IO,
0.717%, 12/16/2057
  242,309     10,598
Series 2017-23, Class IO,
0.618%, 05/16/2059
  6,801,353     280,400
Series 2017-41, Class IO,
0.631%, 07/16/2058
  896,839     31,813
Series 2017-46, Class IO,
0.634%, 11/16/2057
  756,556     31,164
Series 2017-50, Class IO,
0.647%, 01/16/2057
  10,642,625     437,282
Series 2017-53, Class IO,
0.516%, 11/16/2056
  10,447,374     397,051
Series 2017-61, Class IO,
0.770%, 05/16/2059
  383,394     17,464
 
  23  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
Series 2018-158, Class IO,
0.750%, 05/16/2061
$ 1,714,507   $ 100,897
Series 2018-35, Class IO,
0.526%, 03/16/2060
  1,575,828     69,430
Series 2018-43, Class IO,
0.501%, 05/16/2060
  1,678,862     69,069
Series 2018-69, Class IO,
0.602%, 04/16/2060
  407,785     22,197
Series 2018-81, Class IO,
0.479%, 01/16/2060
  299,032     15,293
Series 2018-85, Class IO,
0.537%, 07/16/2060
  5,711,234     289,338
Series 2018-9, Class IO,
0.471%, 01/16/2060
  1,898,792     78,278
Series 2019-131, Class IO,
0.803%, 07/16/2061
  1,277,109     80,287
Series 2020-100, Class IO,
0.801%, 05/16/2062
  1,509,924     104,963
Series 2020-108, Class IO,
0.850%, 06/16/2062
  3,368,969     229,250
Series 2020-114, Class IO,
0.816%, 09/16/2062
  3,661,986     258,626
Series 2020-118, Class IO,
0.888%, 06/16/2062
  2,634,320     190,354
Series 2020-119, Class IO,
0.633%, 08/16/2062
  1,523,859     91,793
Series 2020-120, Class IO,
0.792%, 05/16/2062
  829,011     57,500
Series 2020-137, Class IO,
0.805%, 09/16/2062
  3,763,122     250,406
Series 2020-143, Class IB IO,
0.876%, 03/16/2062
  4,554,528     310,815
Series 2020-150, Class IO,
0.958%, 12/16/2062
  2,365,162     184,436
Series 2020-161, Class IA IO,
0.500%, 08/16/2062
  18,077,208     458,787
Series 2020-170, Class IO,
0.826%, 11/16/2062
  3,189,508     229,133
Series 2020-28, Class IO,
0.820%, 11/16/2061
  5,510,047     364,855
Series 2020-92, Class IO,
0.876%, 02/16/2062
  3,432,661     249,328
Series 2021-11, Class IA IO,
0.250%, 12/16/2062
  23,260,093     343,172
Series 2021-3, Class IO,
0.865%, 09/16/2062
  3,801,243     277,834
Series 2021-40, Class IO,
0.827%, 02/16/2063
  975,111     71,070
Series 2022-17, Class IO,
0.801%, 06/16/2064
  2,064,692     156,949
Series 2022-21, Class IO,
0.784%, 10/16/2063
  911,907     68,400
          14,904,511
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $63,680,975)   $ 55,042,915
ASSET BACKED SECURITIES – 7.0%      
Aegis Asset Backed Securities Trust
Series 2004-3, Class M1 (1 month LIBOR + 0.900%)
1.357%, 09/25/2034 (A)
  488,772     485,995
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Aligned Data Centers Issuer LLC
Series 2021-1A, Class A2
1.937%, 08/15/2046 (D)
$ 692,000   $ 637,340
AMSR Trust          
Series 2020-SFR4, Class A
1.355%, 11/17/2037 (D)
  422,000     392,499
Series 2021-SFR4, Class A
2.117%, 12/17/2038 (D)
  205,000     193,221
Applebee's Funding LLC
Series 2019-1A, Class A2I
4.194%, 06/05/2049 (D)
  400,950     397,898
Aqua Finance Trust
Series 2021-A, Class A
1.540%, 07/17/2046 (D)
  199,895     190,470
Arby's Funding LLC
Series 2020-1A, Class A2
3.237%, 07/30/2050 (D)
  467,875     446,288
ARL First LLC
Series 2012-1A, Class A2
3.810%, 12/15/2042 (D)
  900,000     902,862
Avis Budget Rental Car Funding
AESOP LLC
         
Series 2019-3A, Class A
2.360%, 03/20/2026 (D)
  403,000     391,830
Series 2020-1A, Class A
2.330%, 08/20/2026 (D)
  333,000     323,079
BMW Vehicle Lease Trust
Series 2022-1, Class A3
1.100%, 03/25/2025
  173,000     168,689
Bojangles Issuer LLC
Series 2020-1A, Class A2
3.832%, 10/20/2050 (D)
  264,000     258,122
BRE Grand Islander Timeshare Issuer LLC
Series 2019-A, Class A
3.280%, 09/26/2033 (D)
  148,251     146,267
Carlyle Global Market Strategies
Series 2018-4A, Class C (3 month LIBOR + 2.900%)
3.154%, 01/20/2031 (A)(D)
  530,000     513,180
CarMax Auto Owner Trust
Series 2022-1, Class A3
1.470%, 12/15/2026
  236,000     228,387
CARS-DB4 LP          
Series 2020-1A, Class A1
2.690%, 02/15/2050 (D)
  896,704     876,592
Series 2020-1A, Class A4
3.190%, 02/15/2050 (D)
  996,042     968,422
Series 2020-1A, Class B1
4.170%, 02/15/2050 (D)
  266,000     262,324
Centex Home Equity Loan Trust
Series 2005-A, Class M4 (1 month LIBOR + 1.200%)
1.657%, 01/25/2035 (A)
  156,736     152,113
CF Hippolyta LLC          
Series 2020-1, Class A1
1.690%, 07/15/2060 (D)
  494,310     467,098
Series 2021-1A, Class A1
1.530%, 03/15/2061 (D)
  466,821     433,722
Chase Auto Credit Linked Notes
Series 2021-3, Class B
0.760%, 02/26/2029 (D)
  240,871     233,985
Citibank Credit Card Issuance Trust          
Series 2017-A6, Class A6 (1 month LIBOR + 0.770%)
1.157%, 05/14/2029 (A)
  565,000     562,813
 
  24  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Citibank Credit Card
Issuance Trust (continued)
         
Series 2017-A7, Class A7 (1 month LIBOR + 0.370%)
0.680%, 08/08/2024 (A)
$ 3,000,000   $ 3,002,679
CLI Funding VI LLC
Series 2020-1A, Class A
2.080%, 09/18/2045 (D)
  602,639     564,675
CLI Funding VIII LLC          
Series 2021-1A, Class A
1.640%, 02/18/2046 (D)
  379,049     344,107
Series 2022-1A, Class A1
2.720%, 01/18/2047 (D)
  314,623     296,644
ContiMortgage Home Equity Loan Trust
Series 1995-2, Class A5
8.100%, 08/15/2025
  5,689     5,143
CoreVest American Finance Trust
Series 2019-3, Class A
2.705%, 10/15/2052 (D)
  72,948     71,227
Credit-Based Asset Servicing & Securitization LLC
Series 2006-MH1, Class B1
6.250%, 10/25/2036 (D)
  2,560,000     2,520,252
DataBank Issuer
Series 2021-1A, Class A2
2.060%, 02/27/2051 (D)
  225,000     208,921
DB Master Finance LLC          
Series 2017-1A, Class A2II
4.030%, 11/20/2047 (D)
  191,040     191,578
Series 2021-1A, Class A2I
2.045%, 11/20/2051 (D)
  686,280     626,118
Series 2021-1A, Class A2II
2.493%, 11/20/2051 (D)
  997,500     899,268
Diamond Infrastructure Funding LLC          
Series 2021-1A, Class B
2.355%, 04/15/2049 (D)
  1,000,000     923,321
Series 2021-1A, Class C
3.475%, 04/15/2049 (D)
  104,000     96,930
Domino's Pizza Master Issuer LLC          
Series 2017-1A, Class A23
4.118%, 07/25/2047 (D)
  456,000     452,200
Series 2021-1A, Class A2I
2.662%, 04/25/2051 (D)
  1,328,958     1,232,099
Driven Brands Funding LLC          
Series 2020-2A, Class A2
3.237%, 01/20/2051 (D)
  273,240     256,013
Series 2021-1A, Class A2
2.791%, 10/20/2051 (D)
  431,918     387,394
Elmwood CLO IV, Ltd.
Series 2020-1A, Class A (3 month LIBOR + 1.240%)
1.481%, 04/15/2033 (A)(D)
  331,000     329,620
FirstKey Homes Trust          
Series 2020-SFR1, Class A
1.339%, 08/17/2037 (D)
  592,011     553,420
Series 2020-SFR2, Class A
1.266%, 10/19/2037 (D)
  633,790     588,816
Series 2021-SFR1, Class A
1.538%, 08/17/2038 (D)
  526,529     487,924
Series 2021-SFR1, Class D
2.189%, 08/17/2038 (D)
  346,000     314,141
Five Guys Funding LLC
Series 2017-1A, Class A2
4.600%, 07/25/2047 (D)
  672,915     665,048
FOCUS Brands Funding LLC
Series 2017-1A, Class A2IB
3.857%, 04/30/2047 (D)
  149,802     147,453
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Ford Credit Auto Owner Trust          
Series 2020-1, Class A
2.040%, 08/15/2031 (D)
$ 538,000   $ 519,610
Series 2022-A, Class A3
1.290%, 06/15/2026
  129,000     125,066
Ford Credit Floorplan Master
Owner Trust
         
Series 2019-2, Class A
3.060%, 04/15/2026
  680,000     682,418
Series 2020-2, Class A
1.060%, 09/15/2027
  561,000     523,195
GM Financial Automobile Leasing Trust
Series 2021-2, Class A4
0.410%, 05/20/2025
  125,000     121,135
GM Financial Consumer Automobile
Receivables Trust
         
Series 2021-4, Class A3
0.680%, 09/16/2026
  135,000     130,398
Series 2022-1, Class A3
1.260%, 11/16/2026
  112,000     108,378
Golub Capital Partners Funding, Ltd.          
Series 2020-1A, Class A2
3.208%, 01/22/2029 (D)
  274,000     269,493
Series 2021-1A, Class A2
2.773%, 04/20/2029 (D)
  311,000     296,260
HI-FI Music IP Issuer LP
Series 2022-1A, Class A2
3.939%, 02/01/2062 (D)
  285,000     284,441
Hilton Grand Vacations Trust          
Series 2017-AA, Class A
2.660%, 12/26/2028 (D)
  142,375     142,248
Series 2018-AA, Class A
3.540%, 02/25/2032 (D)
  97,761     97,823
Home Partners of America Trust
Series 2021-2, Class A
1.901%, 12/17/2026 (D)
  398,840     373,966
Honda Auto Receivables Owner Trust
Series 2021-2, Class A4
0.550%, 08/16/2027
  247,000     235,208
Hyundai Auto Lease Securitization Trust
Series 2022-A, Class A3
1.160%, 01/15/2025 (D)
  207,000     202,103
ITE Rail Fund Levered LP
Series 2021-3A, Class A
2.210%, 06/28/2051 (D)
  482,385     448,301
Jack in the Box Funding LLC          
Series 2019-1A, Class A23
4.970%, 08/25/2049 (D)
  264,330     266,338
Series 2022-1A, Class A2I
3.445%, 02/26/2052 (D)
  388,000     365,195
Laurel Road Prime Student Loan Trust
Series 2019-A, Class A2FX
2.730%, 10/25/2048 (D)
  41,253     41,019
Mercedes-Benz Auto Receivables Trust
Series 2021-1, Class A3
0.460%, 06/15/2026
  275,000     264,018
MVW Owner Trust
Series 2018-1A, Class A
3.450%, 01/21/2036 (D)
  162,519     162,409
Navient Private Education Loan Trust
Series 2016-AA, Class A2A
3.910%, 12/15/2045 (D)
  94,886     95,948
Navient Private Education Refi Loan Trust
Series 2019-FA, Class A2
2.600%, 08/15/2068 (D)
  206,259     204,349
 
  25  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Navient Student Loan Trust
Series 2020-2A, Class A1A
1.320%, 08/26/2069 (D)
$ 243,510   $ 222,079
Neighborly Issuer LLC          
Series 2021-1A, Class A2
3.584%, 04/30/2051 (D)
  623,290     583,502
Series 2022-1A, Class A2
3.695%, 01/30/2052 (D)
  253,000     234,974
New Economy Assets Phase 1
Sponsor LLC
         
Series 2021-1, Class A1
1.910%, 10/20/2061 (D)
  607,000     566,030
Series 2021-1, Class B1
2.410%, 10/20/2061 (D)
  184,000     173,592
NRZ Excess Spread-Collateralized Notes
Series 2021-FHT1, Class A
3.104%, 07/25/2026 (D)
  110,790     104,747
Oxford Finance Funding LLC
Series 2019-1A, Class A2
4.459%, 02/15/2027 (D)
  163,418     164,722
Progress Residential Trust          
Series 2020-SFR1, Class A
1.732%, 04/17/2037 (D)
  209,000     198,619
Series 2021-SFR8, Class B
1.681%, 10/17/2038 (D)
  216,000     195,801
Renaissance Home Equity Loan Trust
Series 2005-2, Class AF4
4.934%, 08/25/2035
  69,665     69,625
Santander Retail Auto Lease Trust
Series 2022-A, Class A3
1.340%, 07/21/2025 (D)
  188,000     182,400
Santander Revolving Auto Loan Trust
Series 2019-A, Class A
2.510%, 01/26/2032 (D)
  611,000     599,085
ServiceMaster Funding LLC
Series 2021-1, Class A2I
2.865%, 07/30/2051 (D)
  463,670     416,168
Sesac Finance LLC
Series 2019-1, Class A2
5.216%, 07/25/2049 (D)
  397,800     392,847
Sierra Timeshare Receivables Funding LLC
Series 2019-1A, Class A
3.200%, 01/20/2036 (D)
  56,528     56,343
SMB Private Education Loan Trust          
Series 2019-B, Class A2A
2.840%, 06/15/2037 (D)
  285,730     281,977
Series 2020-PTA, Class A2A
1.600%, 09/15/2054 (D)
  328,868     314,703
Series 2021-A, Class APT2
1.070%, 01/15/2053 (D)
  250,580     230,424
Series 2021-E, Class A1A
1.680%, 02/15/2051 (D)
  1,337,337     1,279,848
Sonic Capital LLC          
Series 2020-1A, Class A2I
3.845%, 01/20/2050 (D)
  411,382     400,900
Series 2021-1A, Class A2I
2.190%, 08/20/2051 (D)
  328,350     286,351
Store Master Funding I-VII & XIV
Series 2019-1, Class A2
3.650%, 11/20/2049 (D)
  287,150     285,752
Sunbird Engine Finance LLC
Series 2020-1A, Class A
3.671%, 02/15/2045 (D)
  190,492     172,831
Taco Bell Funding LLC
Series 2021-1A, Class A2I
1.946%, 08/25/2051 (D)
  667,328     603,528
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
TAL Advantage VII LLC
Series 2020-1A, Class B
3.290%, 09/20/2045 (D)
$ 421,250   $ 405,839
TIF Funding II LLC
Series 2021-1A, Class A
1.650%, 02/20/2046 (D)
  291,067     261,288
Toyota Auto Loan Extended Note Trust          
Series 2019-1A, Class A
2.560%, 11/25/2031 (D)
  868,000     861,861
Series 2020-1A, Class A
1.350%, 05/25/2033 (D)
  346,000     327,505
Toyota Auto Receivables Owner Trust
Series 2022-A, Class A3
1.230%, 06/15/2026
  347,000     337,033
Tricon American Homes Trust
Series 2020-SFR2, Class D
2.281%, 11/17/2039 (D)
  500,000     440,906
Triton Container Finance VIII LLC          
Series 2020-1A, Class A
2.110%, 09/20/2045 (D)
  578,468     533,136
Series 2021-1A, Class A
1.860%, 03/20/2046 (D)
  401,685     363,434
Vantage Data Centers LLC          
Series 2020-1A, Class A2
1.645%, 09/15/2045 (D)
  318,000     296,032
Series 2020-2A, Class A2
1.992%, 09/15/2045 (D)
  312,000     285,502
Verizon Master Trust
Series 2022-2, Class A
1.530%, 07/20/2028
  289,000     278,073
VR Funding LLC
Series 2020-1A, Class A
2.790%, 11/15/2050 (D)
  400,399     376,224
VSE VOI Mortgage LLC
Series 2017-A, Class A
2.330%, 03/20/2035 (D)
  134,704     132,448
Wendy's Funding LLC
Series 2021-1A, Class A2I
2.370%, 06/15/2051 (D)
  383,105     340,738
Willis Engine Structured Trust V
Series 2020-A, Class A
3.228%, 03/15/2045 (D)
  142,637     128,755
Zaxby's Funding LLC
Series 2021-1A, Class A2
3.238%, 07/30/2051 (D)
  533,320     491,855
TOTAL ASSET BACKED SECURITIES (Cost $46,681,665)     $ 44,634,983
COMMON STOCKS – 0.1%        
Energy – 0.0%          
Noble Corp. (C)   378     13,249
Utilities – 0.1%          
Algonquin Power & Utilities Corp.   8,150     403,914
TOTAL COMMON STOCKS (Cost $412,556)   $ 417,163
PREFERRED SECURITIES – 0.1%        
Communication services – 0.0%          
Telephone & Data Systems, Inc., 6.625%   7,625     188,643
Consumer staples – 0.0%          
Ocean Spray Cranberries, Inc., 6.250% (D)   2,216     210,520
Financials – 0.0%          
Wells Fargo & Company, 7.500%   55     72,875
Utilities – 0.1%          
DTE Energy Company, 6.250%   669     35,651
NextEra Energy, Inc., 5.279%   4,350     226,853
 
  26  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
PREFERRED SECURITIES (continued)        
Utilities (continued)          
NiSource, Inc., 7.750%   1,800   $ 214,164
The Southern Company, 6.750%   831     45,381
          522,049
TOTAL PREFERRED SECURITIES (Cost $919,935)   $ 994,087
WARRANTS – 0.0%          
Noble Corp. (Expiration Date: 2-5-28; Strike Price: $23.13) (C)   1,540     27,720
TOTAL WARRANTS (Cost $2,792)   $ 27,720
ESCROW CERTIFICATES – 0.0%          
LSC Communications, Inc. (C)(D) $ 420,000     265
TOTAL ESCROW CERTIFICATES (Cost $0)   $ 265
SHORT-TERM INVESTMENTS – 14.5%      
Short-term funds – 13.2%          
John Hancock Collateral Trust, 0.3592% (K)(L)   451,024     4,509,699
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (K)   79,996,107     79,996,107
          84,505,806
Repurchase agreement – 1.3%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $8,392,000 on 4-1-22, collateralized by $8,571,300 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $8,559,917) $ 8,392,000     8,392,000
TOTAL SHORT-TERM INVESTMENTS (Cost $92,897,461)   $ 92,897,806
Total Investments (Active Bond Trust)
(Cost $736,505,285) – 111.9%
  $ 715,829,579
Other assets and liabilities, net – (11.9%)       (76,399,923)
TOTAL NET ASSETS – 100.0%       $ 639,429,656
Currency Abbreviations
ARS Argentine Peso
EUR Euro
GBP Pound Sterling
MXN Mexican Peso
Security Abbreviations and Legend
CME Chicago Mercantile Exchange
CMT Constant Maturity Treasury
GO General Obligation
ICE Intercontinental Exchange
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
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.
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) Variable rate obligation. The coupon rate shown represents the rate at period end.
(B) Security purchased or sold on a when-issued or delayed delivery basis.
(C) Non-income producing security.
Active Bond Trust (continued)
(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 $141,617,174 or 22.1% of the fund's net assets as of 3-31-22.
(E) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $4,405,780.
(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) 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.
(J) Zero coupon bonds are issued at a discount from their principal amount in lieu of paying interest periodically. Rate shown is the effective yield at period end.
(K) The rate shown is the annualized seven-day yield as of 3-31-22.
(L) 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.
American Asset Allocation Trust
    Shares or
Principal
Amount
  Value
INVESTMENT COMPANIES - 100.0%      
American Funds Insurance Series - 100.0%      
American Asset Allocation Fund - Class 1 47,891,957   $ 1,324,212,603
TOTAL INVESTMENT COMPANIES (Cost $983,588,495)   $ 1,324,212,603
Total Investments (American Asset Allocation Trust) (Cost $983,588,495) - 100.0%     $ 1,324,212,603
Other assets and liabilities, net - (0.0%)       (85,686)
TOTAL NET ASSETS - 100.0%       $ 1,324,126,917
American Global Growth Trust
    Shares or
Principal
Amount
  Value
INVESTMENT COMPANIES - 100.0%      
American Funds Insurance Series - 100.0%      
American Global Growth Fund - Class 1 5,471,860   $ 215,153,541
TOTAL INVESTMENT COMPANIES (Cost $158,311,780)   $ 215,153,541
Total Investments (American Global Growth Trust) (Cost $158,311,780) - 100.0%     $ 215,153,541
Other assets and liabilities, net - (0.0%)       (23,397)
TOTAL NET ASSETS - 100.0%       $ 215,130,144
 
  27  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

American Growth Trust
    Shares or
Principal
Amount
  Value
INVESTMENT COMPANIES - 100.0%      
American Funds Insurance Series - 100.0%      
American Growth Fund - Class 1 8,457,984   $ 983,748,077
TOTAL INVESTMENT COMPANIES (Cost $661,919,610)   $ 983,748,077
Total Investments (American Growth Trust) (Cost $661,919,610) - 100.0%     $ 983,748,077
Other assets and liabilities, net - (0.0%)       (74,850)
TOTAL NET ASSETS - 100.0%       $ 983,673,227
American Growth-Income Trust
    Shares or
Principal
Amount
  Value
INVESTMENT COMPANIES - 100.0%      
American Funds Insurance Series - 100.0%      
American Growth-Income Fund - Class 1 15,621,578   $ 995,250,724
TOTAL INVESTMENT COMPANIES (Cost $725,157,039)   $ 995,250,724
Total Investments (American Growth-Income Trust) (Cost $725,157,039) - 100.0%     $ 995,250,724
Other assets and liabilities, net - (0.0%)       (65,493)
TOTAL NET ASSETS - 100.0%       $ 995,185,231
American International Trust
    Shares or
Principal
Amount
  Value
INVESTMENT COMPANIES - 100.0%      
American Funds Insurance Series - 100.0%      
American International Fund - Class 1 20,801,250   $ 426,841,653
TOTAL INVESTMENT COMPANIES (Cost $397,467,691)   $ 426,841,653
Total Investments (American International Trust) (Cost $397,467,691) - 100.0%     $ 426,841,653
Other assets and liabilities, net - (0.0%)       (37,294)
TOTAL NET ASSETS - 100.0%       $ 426,804,359
Blue Chip Growth Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 99.8%      
Communication services – 21.1%          
Entertainment – 2.9%      
Netflix, Inc. (A)   71,071   $ 26,622,486
Sea, Ltd., ADR (A)   174,828     20,942,646
Spotify Technology SA (A)   29,884     4,513,082
The Walt Disney Company (A)   52,362     7,181,972
          59,260,186
Interactive media and services – 18.0%      
Alphabet, Inc., Class A (A)   7,907     21,992,134
Alphabet, Inc., Class C (A)   74,466     207,982,793
Meta Platforms, Inc., Class A (A)   467,954     104,054,251
Pinterest, Inc., Class A (A)   197,874     4,869,679
Snap, Inc., Class A (A)   616,001     22,169,876
Tencent Holdings, Ltd.   193,900     8,937,693
          370,006,426
Wireless telecommunication services – 0.2%      
T-Mobile US, Inc. (A)   37,618     4,828,270
          434,094,882
Blue Chip Growth Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer discretionary – 21.2%          
Automobiles – 4.4%      
Rivian Automotive, Inc., Class A (A)(B)   100,399   $ 5,044,046
Tesla, Inc. (A)   80,352     86,587,315
          91,631,361
Hotels, restaurants and leisure – 1.5%      
Booking Holdings, Inc. (A)   4,746     11,145,744
Chipotle Mexican Grill, Inc. (A)   9,756     15,434,285
Starbucks Corp.   45,072     4,100,200
          30,680,229
Internet and direct marketing retail – 11.6%      
Amazon.com, Inc. (A)   69,248     225,745,018
DoorDash, Inc., Class A (A)   107,357     12,581,167
JD.com, Inc., Class A (A)   9,738     276,704
          238,602,889
Multiline retail – 0.7%      
Dollar General Corp.   65,835     14,656,846
Specialty retail – 1.5%      
Carvana Company (A)   112,032     13,364,297
Ross Stores, Inc.   148,377     13,422,183
The TJX Companies, Inc.   55,272     3,348,378
          30,134,858
Textiles, apparel and luxury goods – 1.5%      
Lululemon Athletica, Inc. (A)   45,004     16,436,811
NIKE, Inc., Class B   112,130     15,088,213
          31,525,024
          437,231,207
Financials – 2.8%          
Capital markets – 2.2%      
MSCI, Inc.   4,800     2,413,824
S&P Global, Inc.   33,399     13,699,602
The Charles Schwab Corp.   127,223     10,726,171
The Goldman Sachs Group, Inc.   57,875     19,104,538
          45,944,135
Insurance – 0.6%      
Chubb, Ltd.   32,403     6,931,002
Marsh & McLennan Companies, Inc.   24,015     4,092,636
          11,023,638
          56,967,773
Health care – 10.2%          
Health care equipment and supplies – 2.8%      
Align Technology, Inc. (A)   9,062     3,951,032
Intuitive Surgical, Inc. (A)   107,087     32,306,006
Stryker Corp.   60,829     16,262,633
Teleflex, Inc.   16,336     5,796,503
          58,316,174
Health care providers and services – 3.1%      
HCA Healthcare, Inc.   43,858     10,991,692
Humana, Inc.   16,567     7,209,461
UnitedHealth Group, Inc.   89,013     45,393,960
          63,595,113
Health care technology – 0.3%      
Veeva Systems, Inc., Class A (A)   24,369     5,177,438
Life sciences tools and services – 1.8%      
Danaher Corp.   82,758     24,275,404
Thermo Fisher Scientific, Inc.   22,227     13,128,378
          37,403,782
Pharmaceuticals – 2.2%      
AstraZeneca PLC, ADR   84,811     5,626,362
Eli Lilly & Company   94,458     27,049,937
 
  28  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Blue Chip Growth Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Zoetis, Inc.   61,887   $ 11,671,269
          44,347,568
          208,840,075
Industrials – 1.1%          
Commercial services and supplies – 0.1%      
Cintas Corp.   6,473     2,753,549
Industrial conglomerates – 0.8%      
General Electric Company   65,328     5,977,512
Roper Technologies, Inc.   22,196     10,481,617
          16,459,129
Professional services – 0.2%      
TransUnion   31,400     3,244,876
          22,457,554
Information technology – 43.0%          
Electronic equipment, instruments and components – 0.2%      
TE Connectivity, Ltd.   27,158     3,557,155
IT services – 7.8%      
Adyen NV (A)(C)   1,502     2,975,002
Affirm Holdings, Inc. (A)   72,527     3,356,550
Block, Inc. (A)   81,951     11,112,556
Mastercard, Inc., Class A   117,495     41,990,363
MongoDB, Inc. (A)   30,425     13,496,226
PayPal Holdings, Inc. (A)   111,536     12,899,138
Shopify, Inc., Class A (A)   17,264     11,669,773
Snowflake, Inc., Class A (A)   21,864     5,009,698
Twilio, Inc., Class A (A)   10,976     1,808,955
Visa, Inc., Class A   249,730     55,382,622
          159,700,883
Semiconductors and semiconductor equipment – 7.0%      
Advanced Micro Devices, Inc. (A)   204,688     22,380,586
ASML Holding NV, NYRS   24,959     16,670,865
Marvell Technology, Inc.   130,105     9,329,830
Monolithic Power Systems, Inc.   15,644     7,597,978
NVIDIA Corp.   261,774     71,427,654
Taiwan Semiconductor Manufacturing Company, Ltd., ADR   61,323     6,393,536
Texas Instruments, Inc.   53,230     9,766,640
          143,567,089
Software – 19.3%      
Atlassian Corp. PLC, Class A (A)   43,437     12,763,094
Bill.com Holdings, Inc. (A)   51,025     11,571,960
Confluent, Inc., Class A (A)   65,400     2,681,400
Crowdstrike Holdings, Inc., Class A (A)   11,473     2,605,289
Datadog, Inc., Class A (A)   34,525     5,229,502
DocuSign, Inc. (A)   44,186     4,733,204
Fortinet, Inc. (A)   41,067     14,034,237
HashiCorp, Inc., Class A (A)(B)   18,641     1,006,614
Intuit, Inc.   69,099     33,225,563
Microsoft Corp.   778,740     240,093,328
Paycom Software, Inc. (A)   4,829     1,672,669
ServiceNow, Inc. (A)   82,513     45,950,665
Synopsys, Inc. (A)   65,646     21,877,842
          397,445,367
Technology hardware, storage and peripherals – 8.7%      
Apple, Inc.   1,031,618     180,130,819
          884,401,313
Materials – 0.3%          
Chemicals – 0.3%      
Linde PLC   18,217     5,819,056
The Sherwin-Williams Company   4,273     1,066,626
          6,885,682
Blue Chip Growth Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Real estate – 0.1%          
Real estate management and development – 0.1%      
Opendoor Technologies, Inc. (A)   333,700   $ 2,886,505
TOTAL COMMON STOCKS (Cost $1,346,136,880)   $ 2,053,764,991
SHORT-TERM INVESTMENTS – 0.5%      
Short-term funds – 0.5%          
John Hancock Collateral Trust, 0.3592% (D)(E)   682,662     6,825,803
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (D)   566,660     566,660
T. Rowe Price Government Reserve Fund, 0.2855% (D)   3,310,806     3,310,806
TOTAL SHORT-TERM INVESTMENTS (Cost $10,702,772)   $ 10,703,269
Total Investments (Blue Chip Growth Trust)
(Cost $1,356,839,652) – 100.3%
  $ 2,064,468,260
Other assets and liabilities, net – (0.3%)     (6,321,025)
TOTAL NET ASSETS – 100.0%   $ 2,058,147,235
Security Abbreviations and Legend
ADR American Depositary Receipt
NYRS New York Registry Shares
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $6,190,409.
(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 3-31-22.
(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 Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.9%      
Communication services – 12.7%          
Entertainment – 2.1%      
Netflix, Inc. (A)   25,751   $ 9,646,067
ROBLOX Corp., Class A (A)   56,731     2,623,241
          12,269,308
Interactive media and services – 10.6%      
Alphabet, Inc., Class A (A)   7,285     20,262,135
Alphabet, Inc., Class C (A)   7,279     20,330,174
Match Group, Inc. (A)   50,118     5,449,831
Meta Platforms, Inc., Class A (A)   31,617     7,030,356
Snap, Inc., Class A (A)   186,308     6,705,225
ZoomInfo Technologies, Inc. (A)   60,758     3,629,683
          63,407,404
          75,676,712
Consumer discretionary – 30.6%          
Automobiles – 8.5%      
Tesla, Inc. (A)   47,122     50,778,667
Hotels, restaurants and leisure – 3.6%      
Airbnb, Inc., Class A (A)   51,585     8,860,239
Chipotle Mexican Grill, Inc. (A)   4,385     6,937,202
 
  29  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Capital Appreciation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Marriott International, Inc., Class A (A)   32,056   $ 5,633,842
          21,431,283
Internet and direct marketing retail – 8.2%      
Amazon.com, Inc. (A)   12,396     40,410,340
MercadoLibre, Inc. (A)   7,393     8,793,826
          49,204,166
Multiline retail – 1.3%      
Target Corp.   36,793     7,808,210
Specialty retail – 2.9%      
O'Reilly Automotive, Inc. (A)   4,212     2,885,052
The Home Depot, Inc.   25,309     7,575,743
The TJX Companies, Inc.   113,301     6,863,775
          17,324,570
Textiles, apparel and luxury goods – 6.1%      
Kering SA   7,128     4,500,101
Lululemon Athletica, Inc. (A)   20,580     7,516,433
LVMH Moet Hennessy Louis Vuitton SE   18,931     13,512,923
NIKE, Inc., Class B   81,576     10,976,867
          36,506,324
          183,053,220
Consumer staples – 3.3%          
Food and staples retailing – 1.7%      
Costco Wholesale Corp.   17,108     9,851,642
Personal products – 1.6%      
The Estee Lauder Companies, Inc., Class A   35,121     9,564,151
          19,415,793
Energy – 0.9%          
Energy equipment and services – 0.9%      
Schlumberger NV   129,203     5,337,376
Financials – 2.8%          
Capital markets – 2.8%      
KKR & Company, Inc.   72,792     4,256,148
S&P Global, Inc.   15,770     6,468,539
The Goldman Sachs Group, Inc.   18,411     6,077,471
          16,802,158
Health care – 8.1%          
Health care equipment and supplies – 2.7%      
Abbott Laboratories   39,343     4,656,637
DexCom, Inc. (A)   11,612     5,940,699
Intuitive Surgical, Inc. (A)   17,807     5,372,016
          15,969,352
Health care providers and services – 1.5%      
UnitedHealth Group, Inc.   17,294     8,819,421
Life sciences tools and services – 1.4%      
Danaher Corp.   28,650     8,403,905
Pharmaceuticals – 2.5%      
Eli Lilly & Company   44,132     12,638,081
Novo Nordisk A/S, ADR   23,883     2,652,207
          15,290,288
          48,482,966
Industrials – 1.5%          
Road and rail – 1.5%      
Uber Technologies, Inc. (A)   243,957     8,704,386
Information technology – 38.6%          
IT services – 10.2%      
Adyen NV (A)(B)   4,330     8,576,403
Mastercard, Inc., Class A   39,288     14,040,745
MongoDB, Inc. (A)   2,685     1,191,039
Capital Appreciation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
IT services (continued)      
Okta, Inc. (A)   3,599   $ 543,305
Shopify, Inc., Class A (A)   15,364     10,385,449
Snowflake, Inc., Class A (A)   26,556     6,084,776
Twilio, Inc., Class A (A)   18,454     3,041,404
Visa, Inc., Class A   77,006     17,077,621
          60,940,742
Semiconductors and semiconductor equipment – 6.3%      
Broadcom, Inc.   13,516     8,510,755
NVIDIA Corp.   97,130     26,502,892
Taiwan Semiconductor Manufacturing Company, Ltd., ADR   22,801     2,377,232
          37,390,879
Software – 15.5%      
Adobe, Inc. (A)   30,416     13,858,138
Atlassian Corp. PLC, Class A (A)   31,648     9,299,132
Crowdstrike Holdings, Inc., Class A (A)   41,090     9,330,717
HubSpot, Inc. (A)   6,313     2,998,296
Microsoft Corp.   105,064     32,392,282
salesforce.com, Inc. (A)   75,482     16,026,338
The Trade Desk, Inc., Class A (A)   74,236     5,140,843
Workday, Inc., Class A (A)   15,851     3,795,680
          92,841,426
Technology hardware, storage and peripherals – 6.6%      
Apple, Inc.   227,158     39,664,058
          230,837,105
Real estate – 0.4%          
Equity real estate investment trusts – 0.4%      
American Tower Corp.   10,576     2,656,903
TOTAL COMMON STOCKS (Cost $464,882,759)   $ 590,966,619
SHORT-TERM INVESTMENTS – 0.7%      
Short-term funds – 0.7%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (C)   3,912,092     3,912,092
TOTAL SHORT-TERM INVESTMENTS (Cost $3,912,092)   $ 3,912,092
Total Investments (Capital Appreciation Trust)
(Cost $468,794,851) – 99.6%
  $ 594,878,711
Other assets and liabilities, net – 0.4%     2,441,855
TOTAL NET ASSETS – 100.0%   $ 597,320,566
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) The rate shown is the annualized seven-day yield as of 3-31-22.
 
  30  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 66.2%      
Communication services – 4.3%          
Entertainment – 0.2%      
Liberty Media Corp.-Liberty Formula One, Series C (A)   16,332   $ 1,140,627
Interactive media and services – 4.1%      
Alphabet, Inc., Class A (A)(B)   2,467     6,861,590
Alphabet, Inc., Class C (A)(B)   3,404     9,507,338
Meta Platforms, Inc., Class A (A)   14,891     3,311,163
          19,680,091
          20,820,718
Consumer discretionary – 9.8%          
Hotels, restaurants and leisure – 3.6%      
McDonald's Corp. (B)   5,516     1,363,996
Starbucks Corp. (B)   15,000     1,364,550
Yum! Brands, Inc. (B)   122,303     14,496,575
          17,225,121
Internet and direct marketing retail – 6.0%      
Amazon.com, Inc. (A)(B)   8,768     28,583,242
Multiline retail – 0.2%      
Dollar General Corp.   3,600     801,468
Specialty retail – 0.0%      
Ross Stores, Inc. (B)   1,800     162,828
          46,772,659
Consumer staples – 1.6%          
Beverages – 1.4%      
Keurig Dr. Pepper, Inc.   180,675     6,847,583
Food and staples retailing – 0.2%      
Walmart, Inc. (B)   5,956     886,968
          7,734,551
Financials – 5.7%          
Banks – 2.1%      
The PNC Financial Services Group, Inc.   54,569     10,065,252
Capital markets – 1.6%      
CME Group, Inc.   3,000     713,580
Intercontinental Exchange, Inc.   51,466     6,799,688
          7,513,268
Insurance – 2.0%      
Marsh & McLennan Companies, Inc.   55,693     9,491,201
          27,069,721
Health care – 16.7%          
Health care equipment and supplies – 4.6%      
Abbott Laboratories (B)   5,700     674,652
Alcon, Inc.   55,167     4,370,657
Baxter International, Inc.   5,700     441,978
Becton, Dickinson and Company (B)   40,602     10,800,132
Hologic, Inc. (A)   36,580     2,810,076
Medtronic PLC (B)   13,100     1,453,445
Teleflex, Inc.   2,206     782,755
The Cooper Companies, Inc.   1,303     544,120
          21,877,815
Health care providers and services – 3.2%      
Humana, Inc.   14,866     6,469,237
UnitedHealth Group, Inc.   17,504     8,926,515
          15,395,752
Life sciences tools and services – 8.7%      
Avantor, Inc. (A)   48,481     1,639,627
Danaher Corp.   42,412     12,440,712
PerkinElmer, Inc.   64,359     11,228,071
Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Life sciences tools and services (continued)      
Thermo Fisher Scientific, Inc.   27,176   $ 16,051,504
          41,359,914
Pharmaceuticals – 0.2%      
Catalent, Inc. (A)   9,435     1,046,342
          79,679,823
Industrials – 9.4%          
Commercial services and supplies – 1.8%      
Aurora Innovation, Inc. (A)(C)   150,228     839,775
Republic Services, Inc.   2,100     278,250
Waste Connections, Inc.   52,731     7,366,521
          8,484,546
Industrial conglomerates – 4.8%      
General Electric Company (B)   198,580     18,170,070
Roper Technologies, Inc.   10,464     4,941,415
          23,111,485
Machinery – 2.4%      
Fortive Corp.   90,779     5,531,164
Ingersoll Rand, Inc.   115,712     5,826,099
Otis Worldwide Corp.   2,473     190,297
          11,547,560
Professional services – 0.4%      
TransUnion   16,525     1,707,694
          44,851,285
Information technology – 15.2%          
Electronic equipment, instruments and components – 2.5%      
TE Connectivity, Ltd.   71,603     9,378,561
Teledyne Technologies, Inc. (A)   5,850     2,764,886
          12,143,447
IT services – 1.2%      
Mastercard, Inc., Class A   2,200     786,236
Visa, Inc., Class A   22,600     5,012,002
          5,798,238
Semiconductors and semiconductor equipment – 0.8%      
NVIDIA Corp.   14,300     3,901,898
NXP Semiconductors NV   452     83,656
          3,985,554
Software – 8.3%      
Microsoft Corp.   106,896     32,957,106
salesforce.com, Inc. (A)   30,320     6,437,542
          39,394,648
Technology hardware, storage and peripherals – 2.4%      
Apple, Inc.   64,700     11,297,267
          72,619,154
Materials – 0.5%          
Chemicals – 0.5%      
Linde PLC   7,198     2,299,257
Utilities – 3.0%          
Electric utilities – 0.4%      
American Electric Power Company, Inc.   3,600     359,172
Constellation Energy Corp.   8,400     472,500
Exelon Corp.   25,200     1,200,276
          2,031,948
Multi-utilities – 2.6%      
Ameren Corp. (B)   58,891     5,521,620
CMS Energy Corp.   41,655     2,913,351
 
  31  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Multi-utilities (continued)      
Public Service Enterprise Group, Inc. (B)   59,604   $ 4,172,280
          12,607,251
          14,639,199
TOTAL COMMON STOCKS (Cost $268,964,454)   $ 316,486,367
PREFERRED SECURITIES – 0.6%          
Financials – 0.0%          
Capital markets – 0.0%      
The Charles Schwab Corp., 5.950%   1,000     25,310
Utilities – 0.6%          
Electric utilities – 0.1%      
SCE Trust IV (5.375% to 9-15-25, then 3 month LIBOR + 3.132%)   21,826     507,236
Multi-utilities – 0.5%      
CMS Energy Corp., 5.875%   32,496     838,722
CMS Energy Corp., 5.875% (C)   36,571     939,875
NiSource, Inc. (6.500% to 3-15-24, then 5 Year CMT + 3.632%)   9,084     243,905
          2,022,502
          2,529,738
TOTAL PREFERRED SECURITIES (Cost $2,524,425)   $ 2,555,048
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS – 6.4%
         
U.S. Government – 6.4%          
U.S. Treasury Notes          
1.500%, 01/31/2027 $ 14,389,100     13,750,584
1.875%, 02/28/2027   17,106,800     16,648,391
          30,398,975
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $30,842,480)   $ 30,398,975
CORPORATE BONDS - 6.6%          
Communication services - 1.7%          
Altice France Holding SA
10.500%, 05/15/2027 (D)
  450,000     470,927
CCO Holdings LLC          
4.000%, 03/01/2023 (D)   416,000     415,823
5.000%, 02/01/2028 (D)   2,595,000     2,567,753
5.125%, 05/01/2027 (D)   2,681,000     2,684,945
5.500%, 05/01/2026 (D)   125,000     126,755
Live Nation Entertainment, Inc.
4.875%, 11/01/2024 (D)
  35,000     35,140
Photo Holdings Merger Sub, Inc.
8.500%, 10/01/2026 (D)
  411,000     391,658
Sirius XM Radio, Inc.
5.000%, 08/01/2027 (D)
  655,000     653,363
T-Mobile USA, Inc.          
2.625%, 02/15/2029   15,000     13,691
2.875%, 02/15/2031   60,000     54,056
3.375%, 04/15/2029 (D)   165,000     156,936
3.500%, 04/15/2031   700,000     658,686
4.750%, 02/01/2028   25,000     25,410
          8,255,143
Consumer discretionary - 2.1%          
Cedar Fair LP          
5.250%, 07/15/2029   384,000     378,248
5.375%, 04/15/2027   676,000     669,240
5.500%, 05/01/2025 (D)   410,000     421,035
6.500%, 10/01/2028   345,000     351,038
Clarios Global LP          
6.250%, 05/15/2026 (D)   222,000     228,383
6.750%, 05/15/2025 (D)   147,000     152,223
Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)          
Consumer discretionary (continued)          
Clarios Global LP (continued)          
8.500%, 05/15/2027 (D) $ 650,000   $ 674,375
Hilton Domestic Operating Company, Inc.
5.375%, 05/01/2025 (D)
  30,000     30,657
IRB Holding Corp.
6.750%, 02/15/2026 (D)
  25,000     25,438
KFC Holding Company/Pizza Hut Holdings LLC/Taco Bell of America LLC
4.750%, 06/01/2027 (D)
  1,657,000     1,681,855
Life Time, Inc.
5.750%, 01/15/2026 (D)
  365,000     364,631
Marriott International, Inc.
3.125%, 06/15/2026
  570,000     563,235
Six Flags Entertainment Corp.          
4.875%, 07/31/2024 (D)   1,405,000     1,405,000
5.500%, 04/15/2027 (D)   711,000     710,111
Six Flags Theme Parks, Inc.
7.000%, 07/01/2025 (D)
  494,000     515,613
Yum! Brands, Inc.          
3.875%, 11/01/2023   440,000     443,300
4.750%, 01/15/2030 (D)   2,000     1,961
5.350%, 11/01/2043   579,000     563,078
5.375%, 04/01/2032 (E)   264,000     264,597
6.875%, 11/15/2037   367,000     409,572
7.750%, 04/01/2025 (D)   165,000     171,394
          10,024,984
Financials - 1.0%          
Acrisure LLC
7.000%, 11/15/2025 (D)
  775,000     774,768
Alliant Holdings Intermediate LLC          
4.250%, 10/15/2027 (D)   75,000     72,140
5.875%, 11/01/2029 (C)(D)   75,000     72,094
6.750%, 10/15/2027 (D)   125,000     123,493
AmWINS Group, Inc.
4.875%, 06/30/2029 (D)
  135,000     129,603
HUB International, Ltd.          
5.625%, 12/01/2029 (D)   165,000     157,575
7.000%, 05/01/2026 (D)   1,780,000     1,800,568
MSCI, Inc.          
3.250%, 08/15/2033 (D)   15,000     13,482
3.625%, 09/01/2030 to 11/01/2031 (D)   725,000     679,721
3.875%, 02/15/2031 (D)   10,000     9,482
4.000%, 11/15/2029 (D)   95,000     92,263
State Street Corp. (3 month LIBOR + 3.597%)
06/15/2022 (F)(G)
  145,000     144,958
USI, Inc.
6.875%, 05/01/2025 (D)
  799,000     801,645
          4,871,792
Health care - 0.3%          
Avantor Funding, Inc.
4.625%, 07/15/2028 (D)
  225,000     222,525
Hadrian Merger Sub, Inc.
8.500%, 05/01/2026 (D)
  372,000     373,860
Surgery Center Holdings, Inc.
10.000%, 04/15/2027 (D)
  410,000     430,500
Teleflex, Inc.
4.625%, 11/15/2027
  285,000     288,919
Tenet Healthcare Corp.
4.625%, 09/01/2024 (D)
  150,000     151,027
          1,466,831
 
  32  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)          
Industrials - 1.2%          
Booz Allen Hamilton, Inc.
3.875%, 09/01/2028 (D)
$ 90,000   $ 86,876
Delta Air Lines, Inc.          
4.500%, 10/20/2025 (D)   700,000     704,067
4.750%, 10/20/2028 (D)   390,000     392,986
General Electric Company (3 month LIBOR + 3.330%)
06/15/2022 (F)(G)
  1,840,000     1,764,100
Howmet Aerospace, Inc.
3.000%, 01/15/2029
  671,000     612,707
Korn Ferry
4.625%, 12/15/2027 (D)
  90,000     87,783
Lennox International, Inc.
3.000%, 11/15/2023
  515,000     515,574
Mileage Plus Holdings LLC
6.500%, 06/20/2027 (D)
  280,000     291,900
Sensata Technologies BV          
4.875%, 10/15/2023 (D)   110,000     113,300
5.000%, 10/01/2025 (D)   325,000     329,469
5.625%, 11/01/2024 (D)   90,000     93,038
United Airlines 2012-1 Class A Pass Through Trust
4.150%, 04/11/2024
  145,410     145,910
US Airways 2010-1 Class A Pass Through Trust
6.250%, 04/22/2023
  82,143     81,306
US Airways 2012-2 Class A Pass Through Trust
4.625%, 06/03/2025
  11,845     11,402
US Airways 2013-1 Class A Pass Through Trust
3.950%, 11/15/2025 (C)
  127,403     120,862
Welbilt, Inc.
9.500%, 02/15/2024
  362,000     368,735
          5,720,015
Information technology - 0.1%          
Clarivate Science Holdings Corp.          
3.875%, 07/01/2028 (D)   240,000     228,905
4.875%, 07/01/2029 (D)   80,000     75,265
          304,170
Real estate - 0.0%          
SBA Communications Corp.
3.875%, 02/15/2027
  195,000     190,208
Utilities - 0.2%          
NiSource, Inc. (5.650% to 6-15-23, then 5 Year CMT + 2.843%)
06/15/2023 (F)
  975,000     955,500
TOTAL CORPORATE BONDS (Cost $31,631,499)   $ 31,788,643
CONVERTIBLE BONDS - 0.2%          
Communication services - 0.1%          
Snap, Inc.
3.154%, 05/01/2027 (D)(H)
  365,000     310,980
Spotify USA, Inc.
4.067%, 03/15/2026 (H)
  410,000     349,374
          660,354
Information technology - 0.1%          
Shopify, Inc.
0.125%, 11/01/2025
  243,000     229,514
TOTAL CONVERTIBLE BONDS (Cost $903,835)   $ 889,868
Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (I) – 10.4%          
Communication services – 0.2%          
Delta 2 Lux Sarl, 2018 USD Term Loan (1 month LIBOR + 2.500%)
3.500%, 02/01/2024
$ 895,000   $ 889,970
Eagle Broadband Investments LLC, Term Loan (3 month LIBOR + 3.000%)
3.750%, 11/12/2027
  188,079     185,446
          1,075,416
Consumer discretionary – 0.5%          
Cedar Fair LP, 2017 Term Loan B (1 month LIBOR + 1.750%)
2.207%, 04/13/2024
  50,000     49,328
Four Seasons Hotels, Ltd., New 1st Lien Term Loan (1 month LIBOR + 2.000%)
2.457%, 11/30/2023
  515,504     513,328
IRB Holding Corp., 2020 Term Loan B (3 and 6 month LIBOR + 2.750%)
3.756%, 02/05/2025
  322,225     319,405
IRB Holding Corp., 2022 Term Loan B (1 month SOFR + 3.000%)
3.750%, 12/15/2027
  528,684     525,157
Life Time, Inc., 2021 Term Loan B (3 month LIBOR + 4.750%)
5.750%, 12/16/2024
  151,739     150,790
SeaWorld Parks & Entertainment, Inc., 2021 Term Loan B (1 month LIBOR + 3.000%)
3.500%, 08/25/2028
  505,477     498,779
Woof Holdings, Inc., 1st Lien Term Loan (3 month LIBOR + 3.750%)
4.678%, 12/21/2027
  198,000     196,268
          2,253,055
Consumer staples – 0.3%          
Sunshine Luxembourg VII Sarl, 2021 Term Loan B3 (3 month LIBOR + 3.750%)
4.756%, 10/01/2026
  1,283,476     1,273,850
Financials – 4.0%          
Acrisure LLC, 2021 Incremental Term Loan B (1 month LIBOR + 3.750%)
4.250%, 02/15/2027
  248,750     246,730
Alliant Holdings Intermediate LLC, 2018 Term Loan B (1 month LIBOR + 3.250%)
3.707%, 05/09/2025
  900,600     889,667
Alliant Holdings Intermediate LLC, 2021 Term Loan B4 (1 month LIBOR + 3.500%)
4.000%, 11/06/2027
  1,378,075     1,367,547
Alliant Holdings Intermediate LLC, Term Loan B (1 month LIBOR + 3.250%)
3.707%, 05/09/2025
  404,919     400,194
Howden Group Holdings, Ltd., 2021 Term Loan B (1 month LIBOR + 3.250%)
4.000%, 11/12/2027
  1,443,474     1,425,734
HUB International, Ltd., 2018 Term Loan B (3 month LIBOR + 3.000%)
3.267%, 04/25/2025
  7,111,953     7,023,765
HUB International, Ltd., 2021 Term Loan B (3 month LIBOR + 3.250%)
4.001%, 04/25/2025
  4,564,092     4,530,911
 
  33  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (I)(continued)          
Financials (continued)          
Ryan Specialty Group LLC, Term Loan (1 month LIBOR + 3.000%)
3.750%, 09/01/2027
$ 266,098   $ 263,882
USI, Inc., 2017 Repriced Term Loan (3 month LIBOR + 3.000%)
4.006%, 05/16/2024
  1,956,255     1,941,544
USI, Inc., 2019 Incremental Term Loan B (3 month LIBOR + 3.250%)
4.256%, 12/02/2026
  819,705     812,188
          18,902,162
Health care – 1.8%          
ADMI Corp., 2021 Incremental Term Loan B3 (1 month LIBOR + 3.500%)
4.000%, 12/23/2027
  1,059,675     1,045,550
ADMI Corp., 2021 Term Loan B2 (1 month LIBOR + 3.375%)
3.875%, 12/23/2027
  584,100     573,242
Avantor Funding, Inc., 2021 Term Loan B4 (1 month LIBOR + 2.000%)
2.500%, 11/21/2024
  39,164     38,756
Eyecare Partners LLC, 2020 Term Loan (3 month LIBOR + 3.750%)
4.756%, 02/18/2027
  74,622     73,550
Eyecare Partners LLC, 2021 Delayed Draw Term Loan (3 month LIBOR + 2.750% and 3.750%)
5.152%, 11/15/2028
  5,000     4,939
Eyecare Partners LLC, 2021 Incremental Term Loan (3 month LIBOR + 3.750%)
4.756%, 11/15/2028
  20,000     19,756
Heartland Dental LLC, 2018 1st Lien Term Loan (1 month LIBOR + 3.500%)
3.957%, 04/30/2025
  1,608,646     1,587,669
Heartland Dental LLC, 2021 Incremental Term Loan (1 month LIBOR + 4.000%)
4.447%, 04/30/2025
  148,875     147,227
Loire Finco Luxembourg Sarl, Term Loan (1 month LIBOR + 3.250%)
3.707%, 04/21/2027
  1,144,765     1,129,024
Mozart Borrower LP, USD Term Loan B (1 month LIBOR + 3.250%)
3.750%, 10/23/2028
  2,790,000     2,760,705
Pacific Dental Services, Inc., 2021 Term Loan (1 month LIBOR + 3.250%)
4.000%, 05/05/2028
  143,913     142,053
Pathway Vet Alliance LLC, 2021 Term Loan (1 month LIBOR + 3.750%)
4.207%, 03/31/2027
  124,370     122,894
PetVet Care Centers LLC, 2018 1st Lien Term Loan (1 month LIBOR + 2.750%)
3.207%, 02/14/2025
  83,478     82,331
PetVet Care Centers LLC, 2018 2nd Lien Term Loan (1 month LIBOR + 6.250%)
6.707%, 02/13/2026
  25,000     24,797
PetVet Care Centers LLC, 2018 Incremental Term Loan (1 month LIBOR + 3.250%)
3.459%, 02/14/2025
  197,571     195,595
Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (I)(continued)          
Health care (continued)          
PetVet Care Centers LLC, 2021 Term Loan B3 (1 month LIBOR + 3.500%)
4.250%, 02/14/2025
$ 762,314   $ 757,550
          8,705,638
Industrials – 1.3%          
Camelot US Acquisition LLC, 2020 Incremental Term Loan B (1 month LIBOR + 3.000%)
4.000%, 10/30/2026
  943,063     933,047
CoreLogic, Inc., Term Loan (1 month LIBOR + 3.500%)
4.000%, 06/02/2028
  1,054,700     1,040,862
Filtration Group Corp., 2018 1st Lien Term Loan (1 month LIBOR + 3.000%)
3.457%, 03/29/2025
  276,068     271,725
Filtration Group Corp., 2018 EUR Term Loan (3 month EURIBOR + 3.500%)
3.500%, 03/29/2025
EUR 514,023     558,402
Filtration Group Corp., 2021 Incremental Term Loan (1 month LIBOR + 3.500%)
4.000%, 10/21/2028
$ 203,975     201,425
Mileage Plus Holdings LLC, 2020 Term Loan B (3 month LIBOR + 5.250%)
6.250%, 06/21/2027
  1,765,000     1,828,981
SkyMiles IP, Ltd., 2020 Skymiles Term Loan B (3 month LIBOR + 3.750%)
4.750%, 10/20/2027
  865,000     891,893
TK Elevator U.S. Newco, Inc., Term Loan B (6 month LIBOR + 3.500%)
4.000%, 07/30/2027
  266,642     263,810
Welbilt, Inc., 2018 Term Loan B (1 month LIBOR + 2.500%)
2.957%, 10/23/2025
  200,000     198,000
          6,188,145
Information technology – 2.3%          
Applied Systems, Inc., 2017 1st Lien Term Loan (3 month LIBOR + 3.000%)
4.006%, 09/19/2024
  932,581     925,354
Applied Systems, Inc., 2021 2nd Lien Term Loan (3 month LIBOR + 5.500%)
6.506%, 09/19/2025
  164,028     162,875
Ascend Learning LLC, 2021 2nd Lien Term Loan (1 month LIBOR + 5.750%)
6.250%, 12/10/2029
  260,000     258,050
Ascend Learning LLC, 2021 Term Loan (1 month LIBOR + 3.500%)
4.000%, 12/11/2028
  1,820,438     1,798,137
Azalea TopCo, Inc., 2021 Term Loan B (3 month LIBOR + 3.750%)
4.499%, 07/24/2026
  24,813     24,564
Azalea TopCo, Inc., Term Loan (3 month LIBOR + 3.500%)
3.799%, 07/24/2026
  970,857     956,751
Celestial Saturn Parent, Inc., 2nd Lien Term Loan (1 month LIBOR + 6.500%)
6.957%, 06/04/2029
  80,000     78,700
Entegris, Inc., 2022 Term Loan B
TBD 03/02/2029 (J)
  823,888     821,144
 
  34  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (I)(continued)          
Information technology (continued)          
Project Boost Purchaser LLC, 2021 Incremental Term Loan (1 month LIBOR + 3.500%)
4.000%, 05/30/2026
$ 173,688   $ 171,516
RealPage, Inc., 1st Lien Term Loan (1 month LIBOR + 3.250%)
3.750%, 04/24/2028
  1,417,875     1,400,010
RealPage, Inc., 2nd Lien Term Loan (1 month LIBOR + 6.500%)
7.250%, 04/23/2029
  75,000     75,094
Sophia LP, 2021 Term Loan B (3 month LIBOR + 3.250%)
4.256%, 10/07/2027
  298,500     295,205
UKG, Inc., 2021 2nd Lien Term Loan (3 month LIBOR + 5.250%)
5.750%, 05/03/2027
  290,000     287,326
UKG, Inc., 2021 Term Loan (3 month LIBOR + 3.250%)
3.750%, 05/04/2026
  3,840,163     3,805,256
UKG, Inc., Term Loan B (3 month LIBOR + 3.750%)
4.756%, 05/04/2026
  160,875     160,101
          11,220,083
Materials – 0.0%          
HB Fuller Company, 2017 Term Loan B (1 month LIBOR + 2.000%)
2.449%, 10/20/2024
  121,655     121,066
TOTAL TERM LOANS (Cost $50,024,434)   $ 49,739,415
ASSET BACKED SECURITIES - 0.2%        
Domino's Pizza Master Issuer LLC
Series 2017-1A, Class A23
4.118%, 07/25/2047 (D)
  499,200     495,040
Domino's Pizza Master Issuer LLC
Series 2018-1A, Class A2I
4.116%, 07/25/2048 (D)
  474,075     476,308
Domino's Pizza Master Issuer LLC
Series 2019-1A, Class A2
3.668%, 10/25/2049 (D)
  210,700     201,993
TOTAL ASSET BACKED SECURITIES (Cost $1,179,406)   $ 1,173,341
SHORT-TERM INVESTMENTS – 9.8%      
Short-term funds – 9.3%          
John Hancock Collateral Trust, 0.3592% (K)(L)   135,628     1,356,115
T. Rowe Price Government Reserve Fund, 0.2855% (K)   43,240,684     43,240,684
          44,596,799
Repurchase agreement – 0.5%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $2,284,000 on 4-1-22, collateralized by $2,332,800 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $2,329,702) $ 2,284,000     2,284,000
TOTAL SHORT-TERM INVESTMENTS (Cost $46,880,698)   $ 46,880,799
Total Investments (Capital Appreciation Value Trust)
(Cost $432,951,231) – 100.4%
  $ 479,912,456
Other assets and liabilities, net – (0.4%)     (2,038,113)
TOTAL NET ASSETS – 100.0%   $ 477,874,343
Capital Appreciation Value Trust (continued)
Currency Abbreviations
EUR Euro
Security Abbreviations and Legend
CMT Constant Maturity Treasury
EURIBOR Euro Interbank Offered Rate
LIBOR London Interbank Offered Rate
SOFR Secured Overnight Financing 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 3-31-22. The value of securities on loan amounted to $1,438,589.
(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) Security purchased or sold on a when-issued or delayed delivery basis.
(F) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(G) Variable rate obligation. The coupon rate shown represents the rate at period end.
(H) Zero coupon bonds are issued at a discount from their principal amount in lieu of paying interest periodically. Rate shown is the effective yield at period end.
(I) Term loans are variable rate obligations. The coupon rate shown represents the rate at period end.
(J) 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).
(K) The rate shown is the annualized seven-day yield as of 3-31-22.
(L) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
 
  35  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
    
DERIVATIVES
WRITTEN OPTIONS
Options on securities
Counterparty (OTC)/
Exchange-
traded
Name of issuer Currency Exercise
price
Expiration
date
Number of
contracts
Notional
amount
Premium Value
Calls              
GSI Abbott Laboratories USD 135.00 Jan 2023 6 600 $5,700 $(2,577)
GSI Abbott Laboratories USD 135.00 Jan 2023 13 1,300 10,734 (5,584)
GSI Abbott Laboratories USD 145.00 Jan 2023 6 600 3,972 (1,386)
GSI Abbott Laboratories USD 145.00 Jan 2023 13 1,300 6,821 (3,003)
GSI Abbott Laboratories USD 150.00 Jan 2023 6 600 3,213 (1,010)
GSI Abbott Laboratories USD 150.00 Jan 2023 13 1,300 5,189 (2,188)
GSI Alphabet, Inc., Class A USD 1,960.00 Sep 2022 1 100 18,442 (85,739)
GSI Alphabet, Inc., Class A USD 1,960.00 Sep 2022 1 100 24,090 (85,739)
GSI Alphabet, Inc., Class A USD 1,980.00 Sep 2022 1 100 17,800 (83,884)
GSI Alphabet, Inc., Class A USD 2,000.00 Sep 2022 1 100 17,130 (82,037)
GSI Alphabet, Inc., Class A USD 2,100.00 Sep 2022 1 100 14,073 (72,928)
SFG Alphabet, Inc., Class A USD 2,450.00 Sep 2022 1 100 26,747 (43,694)
GSI Alphabet, Inc., Class A USD 3,200.00 Jan 2023 1 100 18,097 (14,062)
GSI Alphabet, Inc., Class A USD 3,300.00 Jan 2023 1 100 15,497 (11,432)
GSI Alphabet, Inc., Class A USD 3,400.00 Jan 2023 1 100 13,047 (9,223)
GSI Alphabet, Inc., Class A USD 3,500.00 Jan 2023 1 100 11,097 (7,392)
GSI Alphabet, Inc., Class C USD 1,980.00 Jun 2022 1 100 21,210 (82,371)
GSI Alphabet, Inc., Class C USD 2,000.00 Jun 2022 1 100 20,353 (80,428)
GSI Alphabet, Inc., Class C USD 2,100.00 Jun 2022 1 100 16,634 (70,783)
SFG Alphabet, Inc., Class C USD 2,550.00 Jun 2022 1 100 22,096 (30,792)
GSI Amazon.com, Inc. USD 3,600.00 Jan 2023 1 100 23,414 (23,646)
GSI Amazon.com, Inc. USD 3,700.00 Jan 2023 1 100 20,260 (20,288)
GSI Amazon.com, Inc. USD 3,800.00 Jan 2023 1 100 17,387 (17,323)
WFB Amazon.com, Inc. USD 3,800.00 Jan 2023 2 200 42,510 (34,646)
WFB Amazon.com, Inc. USD 3,900.00 Jan 2023 2 200 36,018 (29,448)
GSI Amazon.com, Inc. USD 4,000.00 Jan 2023 1 100 34,022 (12,462)
WFB Amazon.com, Inc. USD 4,000.00 Jan 2023 2 200 31,126 (24,922)
WFB Amazon.com, Inc. USD 4,100.00 Jan 2023 2 200 26,382 (21,032)
GSI Amazon.com, Inc. USD 4,200.00 Jan 2023 1 100 27,523 (8,872)
WFB Amazon.com, Inc. USD 4,200.00 Jan 2023 2 200 22,290 (17,744)
GSI Amazon.com, Inc. USD 4,400.00 Jan 2023 1 100 22,230 (6,339)
CSFB Ameren Corp. USD 90.00 Jun 2022 27 2,700 7,900 (14,833)
CSFB Ameren Corp. USD 95.00 Jun 2022 27 2,700 2,959 (6,005)
CSFB Ameren Corp. USD 100.00 Jun 2022 27 2,700 1,026 (1,328)
JPM American Electric Power Company, Inc. USD 90.00 Jan 2023 12 1,200 7,443 (15,296)
JPM American Electric Power Company, Inc. USD 95.00 Jan 2023 12 1,200 4,794 (11,218)
JPM American Electric Power Company, Inc. USD 100.00 Jan 2023 12 1,200 2,925 (7,756)
CITI Baxter International, Inc. USD 87.50 Jan 2023 19 1,900 12,103 (5,181)
CITI Baxter International, Inc. USD 92.50 Jan 2023 19 1,900 6,783 (3,110)
CITI Baxter International, Inc. USD 97.50 Jan 2023 19 1,900 2,888 (1,835)
GSI Becton, Dickinson and Company USD 260.00 Jan 2023 9 900 22,129 (23,224)
GSI Becton, Dickinson and Company USD 280.00 Jan 2023 9 900 14,414 (14,598)
GSI Becton, Dickinson and Company USD 290.00 Jan 2023 9 900 11,857 (11,259)
JPM CME Group, Inc. USD 230.00 Jan 2023 4 400 7,388 (10,242)
JPM CME Group, Inc. USD 240.00 Jan 2023 4 400 5,708 (8,097)
JPM CME Group, Inc. USD 250.00 Jan 2023 4 400 4,428 (6,268)
CITI Dollar General Corp. USD 220.00 Jan 2023 12 1,200 22,848 (27,193)
CITI Dollar General Corp. USD 230.00 Jan 2023 12 1,200 18,019 (21,234)
CITI Dollar General Corp. USD 240.00 Jan 2023 12 1,200 14,054 (16,254)
JPM Exelon Corp. USD 55.00 Jan 2023 43 4,300 22,066 (4,307)
JPM Exelon Corp. USD 55.00 Jan 2023 1 100 538 (100)
JPM Exelon Corp. USD 55.00 Jan 2023 21 2,100 11,528 (2,104)
JPM Exelon Corp. USD 55.00 Jan 2023 19 1,900 11,392 (1,903)
JPM Exelon Corp. USD 60.00 Jan 2023 43 4,300 12,530 (1,775)
JPM Exelon Corp. USD 60.00 Jan 2023 1 100 313 (41)
JPM Exelon Corp. USD 60.00 Jan 2023 21 2,100 6,738 (867)
JPM Exelon Corp. USD 60.00 Jan 2023 19 1,900 6,630 (784)
JPM Exelon Corp. USD 65.00 Jan 2023 43 4,300 6,874 (755)
JPM Exelon Corp. USD 65.00 Jan 2023 1 100 167 (18)
JPM Exelon Corp. USD 65.00 Jan 2023 21 2,100 3,633 (369)
JPM Exelon Corp. USD 65.00 Jan 2023 19 1,900 3,483 (334)
WFB General Electric Company USD 110.00 Jan 2023 3 300 2,615 (1,252)
  36  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
Options on securities (continued)
Counterparty (OTC)/
Exchange-
traded
Name of issuer Currency Exercise
price
Expiration
date
Number of
contracts
Notional
amount
Premium Value
Calls (continued)              
WFB General Electric Company USD 110.00 Jan 2023 46 4,600 $37,769 $(19,195)
WFB General Electric Company USD 110.00 Jan 2023 39 3,900 32,468 (16,274)
WFB General Electric Company USD 115.00 Jan 2023 3 300 2,163 (932)
WFB General Electric Company USD 115.00 Jan 2023 46 4,600 30,855 (14,295)
WFB General Electric Company USD 115.00 Jan 2023 39 3,900 26,547 (12,120)
JPM Intercontinental Exchange, Inc. USD 130.00 Jan 2023 3 300 3,096 (3,791)
JPM Intercontinental Exchange, Inc. USD 130.00 Jan 2023 5 500 5,185 (6,319)
JPM Intercontinental Exchange, Inc. USD 135.00 Jan 2023 3 300 2,466 (2,989)
JPM Intercontinental Exchange, Inc. USD 135.00 Jan 2023 5 500 4,160 (4,982)
JPM Intercontinental Exchange, Inc. USD 140.00 Jan 2023 3 300 1,911 (2,299)
JPM Intercontinental Exchange, Inc. USD 140.00 Jan 2023 5 500 3,235 (3,832)
GSI McDonald's Corp. USD 260.00 Jan 2023 6 600 8,262 (7,360)
GSI McDonald's Corp. USD 260.00 Jan 2023 8 800 10,364 (9,813)
GSI McDonald's Corp. USD 260.00 Jan 2023 3 300 5,398 (3,680)
GSI McDonald's Corp. USD 260.00 Jan 2023 6 600 10,583 (7,360)
GSI McDonald's Corp. USD 270.00 Jan 2023 6 600 6,102 (5,150)
GSI McDonald's Corp. USD 270.00 Jan 2023 8 800 7,912 (6,867)
GSI McDonald's Corp. USD 270.00 Jan 2023 3 300 4,153 (2,575)
GSI McDonald's Corp. USD 270.00 Jan 2023 6 600 8,125 (5,150)
GSI McDonald's Corp. USD 280.00 Jan 2023 3 300 3,162 (1,732)
GSI McDonald's Corp. USD 280.00 Jan 2023 6 600 6,127 (3,465)
CSFB Medtronic PLC USD 105.00 Jan 2023 9 900 10,548 (11,330)
CSFB Medtronic PLC USD 105.00 Jan 2023 12 1,200 14,484 (15,106)
CSFB Medtronic PLC USD 105.00 Jan 2023 10 1,000 11,190 (12,589)
JPM Medtronic PLC USD 105.00 Jan 2023 13 1,300 12,751 (16,365)
CSFB Medtronic PLC USD 110.00 Jan 2023 9 900 8,388 (8,692)
CSFB Medtronic PLC USD 110.00 Jan 2023 12 1,200 11,544 (11,590)
CSFB Medtronic PLC USD 110.00 Jan 2023 10 1,000 8,840 (9,658)
JPM Medtronic PLC USD 110.00 Jan 2023 13 1,300 9,849 (12,555)
CSFB Medtronic PLC USD 115.00 Jan 2023 9 900 6,588 (6,460)
CSFB Medtronic PLC USD 115.00 Jan 2023 12 1,200 9,084 (8,613)
CSFB Medtronic PLC USD 115.00 Jan 2023 10 1,000 6,890 (7,177)
JPM Medtronic PLC USD 115.00 Jan 2023 12 1,200 6,773 (8,613)
JPM Meta Platforms, Inc., Class A USD 345.00 Sep 2022 6 600 23,363 (767)
JPM Meta Platforms, Inc., Class A USD 360.00 Sep 2022 6 600 20,104 (596)
SFG Microsoft Corp. USD 300.00 Jan 2023 31 3,100 56,637 (113,679)
SFG Microsoft Corp. USD 300.00 Jan 2023 32 3,200 60,224 (117,346)
SFG Microsoft Corp. USD 320.00 Jan 2023 11 1,100 19,554 (28,845)
SFG Microsoft Corp. USD 320.00 Jan 2023 10 1,000 19,093 (26,223)
CITI Microsoft Corp. USD 330.00 Jan 2023 8 800 11,752 (17,455)
CITI Microsoft Corp. USD 330.00 Jan 2023 7 700 10,343 (15,273)
CITI Microsoft Corp. USD 330.00 Jan 2023 6 600 10,666 (13,091)
SFG Microsoft Corp. USD 330.00 Jan 2023 11 1,100 16,639 (24,000)
SFG Microsoft Corp. USD 330.00 Jan 2023 10 1,000 16,190 (21,819)
CITI Microsoft Corp. USD 340.00 Jan 2023 8 800 9,933 (14,359)
CITI Microsoft Corp. USD 340.00 Jan 2023 7 700 8,727 (12,564)
CITI Microsoft Corp. USD 340.00 Jan 2023 6 600 9,046 (10,769)
CITI Microsoft Corp. USD 340.00 Jan 2023 15 1,500 30,384 (26,924)
CITI Microsoft Corp. USD 340.00 Jan 2023 7 700 14,213 (12,564)
SFG Microsoft Corp. USD 340.00 Jan 2023 11 1,100 14,179 (19,744)
SFG Microsoft Corp. USD 340.00 Jan 2023 10 1,000 13,686 (17,949)
CITI Microsoft Corp. USD 350.00 Jan 2023 8 800 8,353 (11,684)
CITI Microsoft Corp. USD 350.00 Jan 2023 7 700 7,388 (10,224)
CITI Microsoft Corp. USD 350.00 Jan 2023 6 600 7,637 (8,763)
CITI Microsoft Corp. USD 350.00 Jan 2023 15 1,500 25,849 (21,908)
CITI Microsoft Corp. USD 350.00 Jan 2023 7 700 12,179 (10,224)
JPM Microsoft Corp. USD 350.00 Jan 2023 22 2,200 33,594 (32,132)
SFG Microsoft Corp. USD 350.00 Jan 2023 11 1,100 11,924 (16,066)
SFG Microsoft Corp. USD 350.00 Jan 2023 10 1,000 11,583 (14,605)
JPM Microsoft Corp. USD 355.00 Jan 2023 21 2,100 29,127 (27,577)
CITI Microsoft Corp. USD 360.00 Jan 2023 15 1,500 21,905 (17,677)
CITI Microsoft Corp. USD 360.00 Jan 2023 7 700 10,368 (8,249)
JPM Microsoft Corp. USD 360.00 Jan 2023 22 2,200 27,654 (25,926)
CITI Microsoft Corp. USD 365.00 Jan 2023 15 1,500 19,959 (15,835)
  37  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
Options on securities (continued)
Counterparty (OTC)/
Exchange-
traded
Name of issuer Currency Exercise
price
Expiration
date
Number of
contracts
Notional
amount
Premium Value
Calls (continued)              
JPM Otis Worldwide Corp. USD 85.00 Jan 2023 5 500 $3,410 $(1,652)
JPM Otis Worldwide Corp. USD 85.00 Jan 2023 3 300 851 (991)
JPM Otis Worldwide Corp. USD 90.00 Jan 2023 5 500 2,410 (993)
JPM Otis Worldwide Corp. USD 90.00 Jan 2023 3 300 689 (596)
JPM Otis Worldwide Corp. USD 95.00 Jan 2023 5 500 1,110 (578)
JPM Otis Worldwide Corp. USD 95.00 Jan 2023 3 300 417 (347)
BOA Public Service Enterprise Group, Inc. USD 65.00 Jul 2022 24 2,400 7,398 (13,857)
BOA Public Service Enterprise Group, Inc. USD 70.00 Jul 2022 24 2,400 3,000 (6,132)
BOA Public Service Enterprise Group, Inc. USD 75.00 Jul 2022 24 2,400 796 (2,172)
CITI Republic Services, Inc. USD 135.00 Jul 2022 7 700 2,616 (3,212)
CITI Republic Services, Inc. USD 140.00 Jul 2022 7 700 1,852 (1,900)
CITI Republic Services, Inc. USD 145.00 Jul 2022 7 700 958 (1,075)
CSFB Ross Stores, Inc. USD 95.00 Jan 2023 6 600 7,223 (5,099)
CSFB Ross Stores, Inc. USD 100.00 Jan 2023 6 600 6,115 (3,978)
CSFB Ross Stores, Inc. USD 105.00 Jan 2023 6 600 5,067 (3,082)
GSI Starbucks Corp. USD 97.50 Jan 2023 25 2,500 25,599 (15,011)
GSI Starbucks Corp. USD 97.50 Jan 2023 25 2,500 23,425 (15,011)
GSI Starbucks Corp. USD 100.00 Jan 2023 25 2,500 22,796 (12,761)
GSI Starbucks Corp. USD 100.00 Jan 2023 25 2,500 21,175 (12,761)
GSI Starbucks Corp. USD 105.00 Jan 2023 25 2,500 17,662 (9,066)
GSI Starbucks Corp. USD 105.00 Jan 2023 25 2,500 16,675 (9,066)
CITI The PNC Financial Services Group, Inc. USD 220.00 Jan 2023 12 1,200 15,986 (6,490)
CITI The PNC Financial Services Group, Inc. USD 220.00 Jan 2023 8 800 10,400 (4,327)
CITI The PNC Financial Services Group, Inc. USD 220.00 Jan 2023 2 200 2,581 (1,082)
CITI The PNC Financial Services Group, Inc. USD 220.00 Jan 2023 7 700 9,078 (3,786)
CITI The PNC Financial Services Group, Inc. USD 230.00 Jan 2023 12 1,200 12,656 (4,385)
CITI The PNC Financial Services Group, Inc. USD 230.00 Jan 2023 8 800 8,226 (2,924)
CITI The PNC Financial Services Group, Inc. USD 230.00 Jan 2023 2 200 2,040 (731)
CITI The PNC Financial Services Group, Inc. USD 230.00 Jan 2023 7 700 7,146 (2,558)
CITI UnitedHealth Group, Inc. USD 540.00 Jan 2023 16 1,600 43,280 (59,105)
CITI UnitedHealth Group, Inc. USD 560.00 Jan 2023 9 900 23,682 (26,196)
CITI UnitedHealth Group, Inc. USD 580.00 Jan 2023 9 900 17,859 (20,250)
WFB Walmart, Inc. USD 145.00 Jan 2023 14 1,400 14,378 (18,849)
WFB Walmart, Inc. USD 145.00 Jan 2023 5 500 4,345 (6,732)
WFB Walmart, Inc. USD 155.00 Jan 2023 14 1,400 9,408 (11,920)
WFB Walmart, Inc. USD 155.00 Jan 2023 6 600 3,336 (5,108)
WFB Walmart, Inc. USD 160.00 Jan 2023 14 1,400 7,518 (9,207)
WFB Walmart, Inc. USD 160.00 Jan 2023 6 600 2,592 (3,946)
WFB Yum! Brands, Inc. USD 135.00 Jan 2023 6 600 3,582 (2,675)
WFB Yum! Brands, Inc. USD 135.00 Jan 2023 13 1,300 7,218 (5,796)
WFB Yum! Brands, Inc. USD 145.00 Jan 2023 6 600 1,962 (1,385)
WFB Yum! Brands, Inc. USD 145.00 Jan 2023 13 1,300 3,781 (3,000)
WFB Yum! Brands, Inc. USD 150.00 Jan 2023 6 600 1,146 (973)
WFB Yum! Brands, Inc. USD 150.00 Jan 2023 13 1,300 2,745 (2,108)
              $2,168,691 $(2,519,152)
Derivatives Currency Abbreviations
USD U.S. Dollar
Derivatives Abbreviations
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
SFG Susquehanna Financial Group, LLLP
WFB Wells Fargo Bank, N.A.
  38  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Core Bond Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
58.4%
     
U.S. Government – 33.9%          
U.S. Treasury Bonds          
1.125%, 05/15/2040 to 08/15/2040 $ 24,260,000   $ 19,071,309
1.375%, 11/15/2040 to 08/15/2050   22,203,000     17,905,192
1.625%, 11/15/2050   5,045,000     4,134,141
1.750%, 08/15/2041   22,034,000     19,097,281
1.875%, 02/15/2041 to 11/15/2051   5,005,000     4,419,800
2.000%, 11/15/2041 to 08/15/2051   12,319,000     11,128,315
2.250%, 05/15/2041 to 02/15/2052   7,746,000     7,356,876
2.375%, 02/15/2042   4,010,000     3,867,770
2.500%, 02/15/2045   2,430,000     2,366,782
U.S. Treasury Notes          
0.125%, 05/31/2022 to 08/31/2023   36,988,000     36,552,022
0.250%, 05/15/2024 to 10/31/2025   41,541,000     38,697,889
0.375%, 10/31/2023 to 01/31/2026   46,477,000     43,295,963
0.500%, 08/31/2027 to 10/31/2027   10,586,000     9,526,800
0.625%, 11/30/2027   2,627,000     2,371,688
0.750%, 11/15/2024 to 03/31/2027   18,543,000     17,315,324
1.000%, 07/31/2028   4,577,000     4,188,134
1.250%, 06/30/2028   1,343,000     1,249,305
1.375%, 10/31/2028 to 12/31/2028   10,731,000     10,031,326
1.500%, 09/30/2024 to 01/31/2027   19,030,000     18,469,437
1.750%, 03/15/2025 to 01/31/2029   1,583,000     1,537,456
1.875%, 02/28/2027 to 02/15/2032   12,189,000     11,732,388
2.125%, 05/15/2025   7,793,000     7,698,023
2.250%, 03/31/2024   1,092,000     1,090,507
2.375%, 03/31/2029   2,131,000     2,124,674
2.500%, 02/28/2026 to 03/31/2027   4,395,000     4,396,805
2.750%, 02/15/2028   7,551,000     7,667,805
          307,293,012
U.S. Government Agency – 24.5%          
Federal Home Loan Mortgage Corp.          
2.000%, 11/01/2041 to 03/01/2042   3,353,001     3,148,231
2.500%, 01/01/2036 to 02/01/2052   2,751,842     2,718,432
2.500%, 08/01/2051 to 03/01/2052 (A)   5,327,443     5,103,272
2.505%, 12/14/2029 (B)   1,179,000     971,596
2.808%, (12 month LIBOR + 1.641%), 05/01/2049 (C)   391,229     397,022
3.000%, 08/01/2051 to 03/01/2052 (A)   4,390,699     4,340,506
3.000%, 03/01/2052 to 04/01/2052   2,377,000     2,334,032
4.000%, 01/01/2035 to 07/01/2049   3,172,472     3,297,865
4.500%, 06/01/2039 to 07/01/2039   97,433     101,911
5.000%, 03/01/2049   1,435,841     1,537,644
Federal National Mortgage Association          
1.500%, 10/01/2041 to 11/01/2041   8,244,633     7,463,041
2.000%, TBA (A)   2,000,000     1,856,281
2.000%, 02/01/2042 to 03/01/2052   4,598,776     4,307,230
2.000%, 10/01/2051 (A)   7,450,405     6,927,886
2.031%, (12 month LIBOR + 1.578%), 06/01/2045 (C)   359,003     367,823
2.361%, (12 month LIBOR + 1.584%), 01/01/2046 (C)   1,074,492     1,103,708
2.443%, 11/15/2030 (B)   3,465,000     2,805,044
2.500%, 12/01/2035 to 03/01/2052   16,088,413     15,846,108
2.500%, 08/01/2050 to 03/01/2052 (A)   10,617,932     10,173,412
3.000%, TBA (A)   23,700,000     23,174,446
3.000%, 01/01/2043 to 07/01/2060   29,602,079     29,234,515
3.000%, 09/01/2051 to 01/01/2052 (A)   3,414,996     3,346,166
3.500%, TBA (A)   13,400,000     13,344,345
3.500%, 04/01/2050 to 03/01/2052   13,021,495     13,289,188
4.000%, 09/01/2033 to 08/01/2059   9,004,652     9,398,099
4.500%, 05/01/2034 to 08/01/2049   9,585,701     10,226,236
5.000%, 07/01/2044 to 11/01/2049   6,613,812     7,157,521
5.500%, 12/01/2048 to 06/01/2049   2,190,733     2,391,308
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association
         
2.500%, TBA (A) $ 6,500,000   $ 6,303,922
3.000%, TBA (A)   3,300,000     3,261,855
3.000%, 02/20/2052   6,476,744     6,412,613
3.500%, TBA (A)   6,400,000     6,424,905
3.500%, 01/20/2048   556,571     566,262
4.000%, 06/20/2047 to 07/20/2049   5,588,168     5,765,341
4.500%, 08/15/2047 to 05/20/2049   1,745,444     1,825,225
5.000%, 12/20/2039 to 03/20/2049   5,045,701     5,297,542
          222,220,533
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $553,655,009)   $ 529,513,545
FOREIGN GOVERNMENT OBLIGATIONS – 0.9%      
Chile – 0.1%          
Republic of Chile          
3.500%, 01/31/2034   238,000     234,785
4.340%, 03/07/2042   938,000     962,923
          1,197,708
Colombia – 0.1%          
Republic of Colombia
5.200%, 05/15/2049
  595,000     507,101
Indonesia – 0.1%          
Republic of Indonesia          
3.550%, 03/31/2032   470,000     482,622
4.300%, 03/31/2052   388,000     405,856
          888,478
Italy – 0.0%          
Republic of Italy
3.875%, 05/06/2051
  200,000     184,964
Mexico – 0.4%          
Government of Mexico          
3.500%, 02/12/2034   653,000     606,957
3.750%, 04/19/2071   688,000     545,639
4.280%, 08/14/2041   1,346,000     1,254,701
4.500%, 04/22/2029   941,000     992,322
4.600%, 02/10/2048   200,000     190,214
          3,589,833
Paraguay – 0.1%          
Republic of Paraguay          
3.849%, 06/28/2033 (D)   245,000     236,425
4.950%, 04/28/2031 (D)   233,000     243,487
5.400%, 03/30/2050 (D)   545,000     551,813
          1,031,725
Peru – 0.1%          
Republic of Peru          
2.392%, 01/23/2026   331,000     321,133
3.600%, 01/15/2072   676,000     580,921
          902,054
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $8,829,992)   $ 8,301,863
CORPORATE BONDS – 31.4%      
Communication services – 2.7%          
AT&T, Inc.          
1.700%, 03/25/2026   1,522,000     1,440,856
2.250%, 02/01/2032   248,000     219,906
3.100%, 02/01/2043   458,000     395,386
3.300%, 02/01/2052   422,000     361,735
3.500%, 06/01/2041 to 02/01/2061   1,536,000     1,353,509
3.550%, 09/15/2055   320,000     282,229
 
  39  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
AT&T, Inc. (continued)          
3.650%, 06/01/2051 to 09/15/2059 $ 888,000   $ 786,812
3.800%, 12/01/2057   586,000     534,631
Charter Communications Operating LLC          
2.250%, 01/15/2029   234,000     210,569
3.500%, 06/01/2041 to 03/01/2042   1,163,000     963,268
3.900%, 06/01/2052   843,000     710,911
4.400%, 12/01/2061   264,000     229,805
Comcast Corp.          
2.450%, 08/15/2052 (E)   151,000     119,770
2.650%, 08/15/2062   755,000     583,205
Magallanes, Inc.          
3.638%, 03/15/2025 (D)   600,000     603,646
3.755%, 03/15/2027 (D)   915,000     913,334
4.054%, 03/15/2029 (D)   300,000     301,488
4.279%, 03/15/2032 (D)   495,000     497,202
5.050%, 03/15/2042 (D)   660,000     673,220
5.141%, 03/15/2052 (D)   630,000     644,550
5.391%, 03/15/2062 (D)   751,000     775,842
Netflix, Inc.          
3.625%, 06/15/2025 (D)   34,000     34,184
5.375%, 11/15/2029 (D)   426,000     461,145
5.875%, 11/15/2028   586,000     645,948
The Walt Disney Company
2.750%, 09/01/2049
  150,000     127,633
T-Mobile USA, Inc.          
2.250%, 02/15/2026   361,000     340,170
2.250%, 02/15/2026 (D)   2,651,000     2,498,037
2.875%, 02/15/2031   208,000     187,393
3.375%, 04/15/2029   1,503,000     1,429,548
3.375%, 04/15/2029 (D)   1,529,000     1,454,278
3.500%, 04/15/2031 (D)   1,047,000     985,206
Verizon Communications, Inc.          
1.680%, 10/30/2030   614,000     535,364
2.355%, 03/15/2032 (D)   461,000     416,382
2.550%, 03/21/2031   445,000     413,427
2.650%, 11/20/2040   1,284,000     1,092,245
2.875%, 11/20/2050   247,000     206,374
3.700%, 03/22/2061   448,000     414,972
4.329%, 09/21/2028   212,000     223,633
Vodafone Group PLC          
4.250%, 09/17/2050   122,000     121,594
5.000%, 05/30/2038   152,000     165,608
          24,355,015
Consumer discretionary – 2.3%          
Advance Auto Parts, Inc.
3.900%, 04/15/2030
  450,000     448,451
Amazon.com, Inc.          
1.000%, 05/12/2026   2,086,000     1,957,539
1.650%, 05/12/2028 (E)   940,000     874,187
2.100%, 05/12/2031   1,153,000     1,071,096
2.500%, 06/03/2050   599,000     500,082
2.700%, 06/03/2060   297,000     245,281
3.100%, 05/12/2051   132,000     123,881
AutoNation, Inc.
4.750%, 06/01/2030
  1,359,000     1,416,453
BMW US Capital LLC
3.700%, 04/01/2032 (D)
  600,000     606,288
Dick's Sporting Goods, Inc.
4.100%, 01/15/2052
  973,000     830,403
Ford Motor Company
4.750%, 01/15/2043
  250,000     227,065
Ford Motor Credit Company LLC          
2.700%, 08/10/2026   1,168,000     1,086,252
2.900%, 02/10/2029   551,000     490,787
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Ford Motor Credit
Company LLC (continued)
         
3.625%, 06/17/2031 $ 667,000   $ 602,484
General Motors Financial Company, Inc.
3.100%, 01/12/2032
  639,000     574,343
Hyundai Capital America          
0.800%, 01/08/2024 (D)   578,000     551,731
1.300%, 01/08/2026 (D)   627,000     574,352
2.000%, 06/15/2028 (D)   304,000     269,519
Hyundai Capital Services, Inc.
2.125%, 04/24/2025 (D)
  482,000     462,033
Lowe's Companies, Inc.          
3.350%, 04/01/2027   359,000     361,099
4.250%, 04/01/2052   480,000     496,480
4.450%, 04/01/2062   210,000     218,523
Marriott International, Inc.          
2.850%, 04/15/2031   399,000     364,164
3.500%, 10/15/2032   461,000     438,812
4.625%, 06/15/2030   1,088,000     1,126,832
5.750%, 05/01/2025   187,000     198,544
McDonald's Corp.
3.625%, 09/01/2049
  210,000     201,069
Starbucks Corp.
1.300%, 05/07/2022
  389,000     389,070
Tapestry, Inc.
3.050%, 03/15/2032
  1,091,000     991,475
Target Corp.
2.950%, 01/15/2052
  686,000     630,399
The Home Depot, Inc.          
2.375%, 03/15/2051   489,000     392,088
2.875%, 04/15/2027   599,000     596,749
3.125%, 12/15/2049   593,000     542,137
3.250%, 04/15/2032   749,000     749,296
3.300%, 04/15/2040   126,000     121,355
3.625%, 04/15/2052   539,000     534,857
          21,265,176
Consumer staples – 0.7%          
Altria Group, Inc.
2.350%, 05/06/2025
  133,000     129,177
Anheuser-Busch Companies LLC          
4.700%, 02/01/2036   865,000     927,726
4.900%, 02/01/2046   1,137,000     1,264,509
Anheuser-Busch InBev Worldwide, Inc.          
3.750%, 07/15/2042   280,000     266,546
4.375%, 04/15/2038   909,000     955,152
Archer-Daniels-Midland Company
2.900%, 03/01/2032
  603,000     590,116
Bacardi, Ltd.
5.300%, 05/15/2048 (D)
  368,000     411,224
BAT Capital Corp.
4.390%, 08/15/2037
  162,000     150,647
Bunge, Ltd. Finance Corp.          
1.630%, 08/17/2025   532,000     503,915
2.750%, 05/14/2031   150,000     137,991
3.750%, 09/25/2027   414,000     416,171
Molson Coors Beverage Company
4.200%, 07/15/2046
  1,062,000     1,030,352
Walmart, Inc.
2.500%, 09/22/2041
  151,000     134,121
          6,917,647
Energy – 1.6%          
Aker BP ASA
4.000%, 01/15/2031 (D)
  454,000     452,289
BP Capital Markets America, Inc.
2.939%, 06/04/2051
  301,000     256,916
 
  40  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
Diamondback Energy, Inc.          
3.125%, 03/24/2031 $ 457,000   $ 436,459
4.400%, 03/24/2051   668,000     677,651
Energy Transfer LP          
4.400%, 03/15/2027   508,000     516,480
4.950%, 05/15/2028   1,104,000     1,143,356
5.150%, 03/15/2045   309,000     311,836
5.300%, 04/15/2047   806,000     828,276
6.100%, 02/15/2042   159,000     173,169
6.125%, 12/15/2045   273,000     301,051
Exxon Mobil Corp.
3.452%, 04/15/2051
  602,000     583,575
Galaxy Pipeline Assets Bidco, Ltd.          
1.750%, 09/30/2027 (D)   868,827     832,852
2.160%, 03/31/2034 (D)(E)   734,000     675,169
2.625%, 03/31/2036 (D)   459,000     411,441
2.940%, 09/30/2040 (D)   271,000     244,353
Kinder Morgan, Inc.          
3.250%, 08/01/2050   286,000     237,411
3.600%, 02/15/2051   363,000     322,299
Lundin Energy Finance BV          
2.000%, 07/15/2026 (D)   1,113,000     1,036,389
3.100%, 07/15/2031 (D)   1,545,000     1,430,796
Marathon Oil Corp.
5.200%, 06/01/2045
  197,000     213,378
MPLX LP
4.950%, 03/14/2052
  480,000     499,718
Oleoducto Central SA
4.000%, 07/14/2027 (D)
  246,000     231,845
Petroleos Mexicanos          
2.378%, 04/15/2025   481,250     479,226
2.460%, 12/15/2025   1,296,400     1,288,211
Pioneer Natural Resources Company
1.900%, 08/15/2030
  820,000     726,899
          14,311,045
Financials – 12.2%          
Alleghany Corp.
3.250%, 08/15/2051
  462,000     400,737
Antares Holdings LP
3.750%, 07/15/2027 (D)(E)
  866,000     798,920
Ares Capital Corp.
3.200%, 11/15/2031
  749,000     634,745
Athene Global Funding          
1.730%, 10/02/2026 (D)   1,356,000     1,231,279
1.985%, 08/19/2028 (D)   765,000     672,060
2.500%, 03/24/2028 (D)   1,071,000     986,345
2.514%, 03/08/2024 (D)   1,227,000     1,207,934
2.646%, 10/04/2031 (D)   1,010,000     891,303
3.205%, 03/08/2027 (D)   1,504,000     1,447,835
Bain Capital Specialty Finance, Inc.
2.550%, 10/13/2026
  503,000     453,579
Banco Santander SA (1.722% to 9-14-26, then 1 Year CMT + 0.900%) 09/14/2027   800,000     722,561
Banco Santander SA (3.225% to 11-22-31, then 1 Year CMT + 1.600%) 11/22/2032   800,000     718,022
Banco Santander SA (4.175% to 3-24-27, then 1 Year CMT + 2.000%) 03/24/2028   2,100,000     2,110,651
Bank of America Corp.
3.500%, 04/19/2026
  156,000     157,934
Bank of America Corp. (1.197% to 10-24-25, then SOFR + 1.010%) 10/24/2026   687,000     634,915
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Bank of America Corp. (1.319% to 6-19-25, then SOFR + 1.150%) 06/19/2026 $ 409,000   $ 383,303
Bank of America Corp. (1.530% to 12-6-24, then SOFR + 0.650%) 12/06/2025   2,175,000     2,079,950
Bank of America Corp. (1.658% to 3-11-26, then SOFR + 0.910%) 03/11/2027   3,086,000     2,876,683
Bank of America Corp. (1.734% to 7-22-26, then SOFR + 0.960%) 07/22/2027   1,844,000     1,712,495
Bank of America Corp. (1.922% to 10-24-30, then SOFR + 1.370%) 10/24/2031   512,000     444,763
Bank of America Corp. (2.496% to 2-13-30, then 3 month LIBOR + 0.990%) 02/13/2031   860,000     790,486
Bank of America Corp. (2.592% to 4-29-30, then SOFR + 2.150%) 04/29/2031   233,000     214,958
Bank of America Corp. (2.687% to 4-22-31, then SOFR + 1.320%) 04/22/2032   2,344,000     2,155,629
Bank of America Corp. (2.972% to 2-4-32, then SOFR + 1.330%) 02/04/2033   1,259,000     1,179,674
Bank of America Corp. (3.004% to 12-20-22, then 3 month LIBOR + 0.790%) 12/20/2023   1,216,000     1,219,070
Bank of America Corp. (3.384% to 4-2-25, then SOFR + 1.330%) 04/02/2026   3,302,000     3,297,555
Bank of America Corp. (3.419% to 12-20-27, then 3 month LIBOR + 1.040%) 12/20/2028   1,674,000     1,657,083
Bank of Montreal
2.650%, 03/08/2027
  240,000     232,099
Berkshire Hathaway Finance Corp.
3.850%, 03/15/2052
  451,000     461,178
Blackstone Private Credit Fund          
2.350%, 11/22/2024 (D)   629,000     599,772
2.625%, 12/15/2026 (D)   1,552,000     1,396,740
3.250%, 03/15/2027 (D)   787,000     721,260
4.000%, 01/15/2029 (D)   1,030,000     953,592
Brighthouse Financial Global Funding
1.200%, 12/15/2023 (D)
  611,000     593,240
Brighthouse Financial, Inc.
3.850%, 12/22/2051
  303,000     252,706
Brown & Brown, Inc.          
4.200%, 03/17/2032   600,000     609,636
4.950%, 03/17/2052   150,000     160,150
Canadian Imperial Bank of Commerce          
3.300%, 04/07/2025 (A)   2,250,000     2,248,017
3.450%, 04/07/2027 (A)   2,250,000     2,245,532
3.600%, 04/07/2032 (A)   1,050,000     1,045,027
Capital One Financial Corp. (2.636% to 3-3-25, then SOFR + 1.290%) 03/03/2026   300,000     293,550
Citigroup, Inc. (2.014% to 1-25-25, then SOFR + 0.694%) 01/25/2026   1,824,000     1,755,926
Citigroup, Inc. (3.290% to 3-17-25, then SOFR + 1.528%) 03/17/2026   450,000     448,482
CNO Global Funding
1.750%, 10/07/2026 (D)
  975,000     898,895
 
  41  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Commonwealth Bank of Australia
3.784%, 03/14/2032 (D)
$ 418,000   $ 404,015
Cooperatieve Rabobank UA (3.649% to 4-6-27, then 1 Year CMT + 1.220%) 04/06/2028 (D)   2,255,000     2,248,384
Cooperatieve Rabobank UA (3.758% to 4-6-32, then 1 Year CMT + 1.420%) 04/06/2033 (D)   1,069,000     1,065,854
Deutsche Bank AG (3.742% to 1-7-32, then SOFR + 2.257%) 01/07/2033   1,622,000     1,433,524
Enstar Group, Ltd.
3.100%, 09/01/2031
  770,000     688,681
F&G Global Funding
2.000%, 09/20/2028 (D)
  1,220,000     1,091,381
FS KKR Capital Corp.
3.250%, 07/15/2027
  66,000     60,923
GA Global Funding Trust          
0.800%, 09/13/2024 (D)   1,106,000     1,035,806
1.950%, 09/15/2028 (D)   1,483,000     1,318,204
2.250%, 01/06/2027 (D)   389,000     363,133
GE Capital International Funding Company
4.418%, 11/15/2035
  218,000     234,086
ING Groep NV (3.869% to 3-28-25, then SOFR + 1.640%) 03/28/2026   761,000     764,690
ING Groep NV (4.017% to 3-28-27, then SOFR + 1.830%) 03/28/2028   761,000     765,183
ING Groep NV (4.252% to 3-28-32, then SOFR + 2.070%) 03/28/2033   470,000     483,808
JPMorgan Chase & Co. (1.040% to 2-4-26, then 3 month CME Term SOFR + 0.695%) 02/04/2027   3,064,000     2,807,597
JPMorgan Chase & Co. (1.045% to 11-19-25, then SOFR + 0.800%) 11/19/2026   1,708,000     1,576,952
JPMorgan Chase & Co. (1.470% to 9-22-26, then SOFR + 0.765%) 09/22/2027   759,000     699,468
JPMorgan Chase & Co. (1.561% to 12-10-24, then SOFR + 0.605%) 12/10/2025   4,789,000     4,583,967
JPMorgan Chase & Co. (2.083% to 4-22-25, then SOFR + 1.850%) 04/22/2026   1,340,000     1,293,107
JPMorgan Chase & Co. (2.182% to 6-1-27, then SOFR + 1.890%) 06/01/2028   938,000     879,982
JPMorgan Chase & Co. (2.301% to 10-15-24, then SOFR + 1.160%) 10/15/2025   192,000     188,042
Lloyds Banking Group PLC (3.511% to 3-18-25, then 1 Year CMT + 1.600%) 03/18/2026 (E)   904,000     899,570
Lloyds Banking Group PLC (3.750% to 3-18-27, then 1 Year CMT + 1.800%) 03/18/2028   1,195,000     1,191,502
Mitsubishi UFJ Financial Group, Inc. (0.953% to 7-19-24, then 1 Year CMT + 0.550%) 07/19/2025   1,907,000     1,807,577
Mitsubishi UFJ Financial Group, Inc. (1.538% to 7-20-26, then 1 Year CMT + 0.750%) 07/20/2027   1,885,000     1,730,184
Mitsubishi UFJ Financial Group, Inc. (1.640% to 10-13-26, then 1 Year CMT + 0.670%) 10/13/2027   1,567,000     1,440,522
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Mitsubishi UFJ Financial Group, Inc. (2.309% to 7-20-31, then 1 Year CMT + 0.950%) 07/20/2032 $ 1,037,000   $ 928,435
Mitsubishi UFJ Financial Group, Inc. (2.341% to 1-19-27, then 1 Year CMT + 0.830%) 01/19/2028   872,000     823,591
Mitsubishi UFJ Financial Group, Inc. (2.494% to 10-13-31, then 1 Year CMT + 0.970%) 10/13/2032   641,000     576,673
Mitsubishi UFJ Financial Group, Inc. (2.852% to 1-19-32, then 1 Year CMT + 1.100%) 01/19/2033   569,000     530,193
Morgan Stanley (0.790% to 5-30-24, then SOFR + 0.525%) 05/30/2025   2,745,000     2,607,842
Morgan Stanley (0.791% to 1-22-24, then SOFR + 0.509%) 01/22/2025   3,037,000     2,915,421
Morgan Stanley (0.864% to 10-21-24, then SOFR + 0.745%) 10/21/2025   609,000     573,490
Morgan Stanley (0.985% to 12-10-25, then SOFR + 0.720%) 12/10/2026   1,558,000     1,428,862
Morgan Stanley (1.164% to 10-21-24, then SOFR + 0.560%) 10/21/2025   787,000     747,602
Morgan Stanley (1.512% to 7-20-26, then SOFR + 0.858%) 07/20/2027   1,191,000     1,094,771
Morgan Stanley (2.239% to 7-21-31, then SOFR + 1.178%) 07/21/2032   909,000     805,492
Morgan Stanley (2.475% to 1-21-27, then SOFR + 1.000%) 01/21/2028   302,000     287,903
Morgan Stanley Direct Lending Fund
4.500%, 02/11/2027 (D)
  542,000     515,020
Owl Rock Capital Corp.
3.400%, 07/15/2026
  873,000     819,697
Owl Rock Capital Corp. III
3.125%, 04/13/2027 (D)
  972,000     859,828
Owl Rock Core Income Corp.
4.700%, 02/08/2027 (D)
  693,000     666,514
Prudential Financial, Inc. (5.125% to 11-28-31, then 5 Year CMT + 3.162%) 03/01/2052   305,000     308,325
SBL Holdings, Inc.
5.000%, 02/18/2031 (D)
  1,060,000     1,021,888
Stewart Information Services Corp.
3.600%, 11/15/2031
  412,000     374,968
Sumitomo Mitsui Financial Group, Inc.          
1.402%, 09/17/2026   1,264,000     1,153,112
1.902%, 09/17/2028   1,965,000     1,758,501
The Goldman Sachs Group, Inc. (0.657% to 9-10-23, then SOFR + 0.505%) 09/10/2024   1,533,000     1,482,691
The Goldman Sachs Group, Inc. (0.925% to 10-21-23, then SOFR + 0.486%) 10/21/2024   3,068,000     2,973,820
The Goldman Sachs Group, Inc. (1.948% to 10-21-26, then SOFR + 0.913%) 10/21/2027   759,000     705,376
The Goldman Sachs Group, Inc. (2.650% to 10-21-31, then SOFR + 1.264%) 10/21/2032   529,000     478,249
The Goldman Sachs Group, Inc. (3.102% to 2-24-32, then SOFR + 1.410%) 02/24/2033   799,000     753,127
The Goldman Sachs Group, Inc. (3.615% to 3-15-27, then SOFR + 1.846%) 03/15/2028   900,000     898,740
 
  42  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
The Goldman Sachs Group, Inc.(1.757% to 1-24-24, then SOFR + 0.730%) 01/24/2025 $ 1,651,000   $ 1,609,564
Trust Fibra Uno
6.390%, 01/15/2050 (D)
  356,000     359,129
Wells Fargo & Company (3.526% to 3-24-27, then SOFR + 1.510%) 03/24/2028   3,131,000     3,124,712
Westpac Banking Corp.
1.953%, 11/20/2028
  764,000     703,692
          110,939,641
Health care – 2.9%          
AbbVie, Inc.          
2.300%, 11/21/2022   954,000     957,216
3.200%, 11/21/2029   910,000     899,179
4.050%, 11/21/2039   358,000     367,812
4.250%, 11/21/2049   996,000     1,033,566
4.300%, 05/14/2036   222,000     231,843
4.450%, 05/14/2046   225,000     239,081
Amgen, Inc.
3.000%, 01/15/2052
  339,000     286,717
Astrazeneca Finance LLC
1.750%, 05/28/2028
  1,079,000     994,217
AstraZeneca PLC
2.125%, 08/06/2050
  153,000     117,542
Centene Corp.          
2.450%, 07/15/2028   1,665,000     1,521,311
3.000%, 10/15/2030   328,000     301,258
CVS Health Corp.          
3.000%, 08/15/2026   329,000     326,306
4.300%, 03/25/2028   695,000     727,025
Danaher Corp.          
2.600%, 10/01/2050   364,000     300,502
2.800%, 12/10/2051   244,000     207,336
DH Europe Finance II Sarl          
2.050%, 11/15/2022   487,000     487,687
2.200%, 11/15/2024   839,000     821,834
Gilead Sciences, Inc.          
2.600%, 10/01/2040   529,000     445,413
2.800%, 10/01/2050   485,000     396,887
4.000%, 09/01/2036   273,000     278,901
GSK Consumer Healthcare Capital
US LLC
         
3.375%, 03/24/2027 to 03/24/2029 (D)   1,493,000     1,486,670
3.625%, 03/24/2032 (D)   1,068,000     1,066,996
4.000%, 03/24/2052 (D)   484,000     484,926
HCA, Inc.          
3.500%, 09/01/2030 to 07/15/2051   907,000     861,175
3.625%, 03/15/2032 (D)   155,000     151,893
4.625%, 03/15/2052 (D)   152,000     153,181
5.375%, 02/01/2025   1,695,000     1,763,648
5.875%, 02/01/2029   276,000     301,723
Pfizer, Inc.
2.550%, 05/28/2040
  1,063,000     950,671
Roche Holdings, Inc.          
2.076%, 12/13/2031 (D)   1,205,000     1,108,812
2.314%, 03/10/2027 (D)   379,000     367,844
2.607%, 12/13/2051 (D)   401,000     347,337
Shire Acquisitions Investments Ireland DAC
2.875%, 09/23/2023
  259,000     259,718
STERIS Irish FinCo Unlimited Company
3.750%, 03/15/2051
  987,000     918,181
Stryker Corp.
2.900%, 06/15/2050
  151,000     131,059
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
Takeda Pharmaceutical Company, Ltd.          
2.050%, 03/31/2030 $ 977,000   $ 881,875
3.025%, 07/09/2040   354,000     315,629
3.175%, 07/09/2050   363,000     317,548
4.400%, 11/26/2023   578,000     592,257
Thermo Fisher Scientific, Inc.          
1.750%, 10/15/2028   581,000     530,793
2.000%, 10/15/2031   517,000     464,111
2.800%, 10/15/2041   481,000     430,807
UnitedHealth Group, Inc.          
2.750%, 05/15/2040   234,000     210,163
2.900%, 05/15/2050   543,000     481,304
3.050%, 05/15/2041   159,000     148,116
3.250%, 05/15/2051   514,000     482,782
          26,150,852
Industrials – 1.8%          
Adani International Container Terminal Private, Ltd.
3.000%, 02/16/2031 (D)
  270,720     241,886
Adani Ports & Special Economic Zone, Ltd.
4.200%, 08/04/2027 (D)
  338,000     329,268
AerCap Ireland Capital DAC
1.150%, 10/29/2023
  1,841,000     1,762,277
Canadian Pacific Railway Company          
1.350%, 12/02/2024 (E)   748,000     717,180
1.750%, 12/02/2026   147,000     138,470
3.000%, 12/02/2041   242,000     217,693
Crowley Conro LLC
4.181%, 08/15/2043
  487,195     525,764
Delta Air Lines, Inc.          
4.500%, 10/20/2025 (D)   1,241,000     1,248,210
4.750%, 10/20/2028 (D)   1,802,000     1,815,797
Howmet Aerospace, Inc.
3.000%, 01/15/2029
  549,000     501,306
John Deere Capital Corp.          
2.125%, 03/07/2025 (E)   451,000     443,709
2.350%, 03/08/2027   752,000     731,215
Northrop Grumman Corp.
3.250%, 08/01/2023 to 01/15/2028
  1,444,000     1,453,569
Quanta Services, Inc.
0.950%, 10/01/2024
  609,000     577,383
The Boeing Company          
2.196%, 02/04/2026   1,159,000     1,095,738
3.250%, 02/01/2028 to 02/01/2035   1,031,000     966,757
3.625%, 02/01/2031   659,000     641,435
3.750%, 02/01/2050   670,000     596,592
5.150%, 05/01/2030   90,000     95,981
Union Pacific Corp.          
2.400%, 02/05/2030   600,000     567,822
2.800%, 02/14/2032   761,000     730,655
3.375%, 02/14/2042   366,000     353,752
3.500%, 02/14/2053   518,000     506,843
          16,259,302
Information technology – 2.7%          
Analog Devices, Inc.          
1.700%, 10/01/2028   459,000     423,295
2.100%, 10/01/2031   611,000     563,494
Apple, Inc.          
1.400%, 08/05/2028   1,223,000     1,118,240
1.700%, 08/05/2031 (E)   917,000     822,400
2.375%, 02/08/2041   248,000     216,030
2.550%, 08/20/2060   256,000     209,798
2.650%, 05/11/2050 to 02/08/2051   1,271,000     1,102,700
2.700%, 08/05/2051   301,000     261,658
 
  43  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology (continued)          
Broadcom Corp.
3.875%, 01/15/2027
$ 231,000   $ 232,544
Broadcom, Inc.          
2.450%, 02/15/2031 (D)   534,000     476,370
3.150%, 11/15/2025   400,000     396,757
3.419%, 04/15/2033 (D)   1,454,000     1,357,050
3.469%, 04/15/2034 (D)   682,000     631,622
4.000%, 04/15/2029 (D)   626,000     625,693
4.150%, 11/15/2030   849,000     860,452
4.150%, 04/15/2032 (D)   450,000     449,429
Dell International LLC          
3.375%, 12/15/2041 (D)   759,000     637,935
3.450%, 12/15/2051 (D)   910,000     739,275
4.900%, 10/01/2026   156,000     163,628
6.100%, 07/15/2027   311,000     341,662
Global Payments, Inc.          
1.500%, 11/15/2024   454,000     434,042
2.150%, 01/15/2027   909,000     853,165
2.900%, 11/15/2031   298,000     271,498
HP, Inc.          
2.200%, 06/17/2025   705,000     679,922
4.000%, 04/15/2029   1,050,000     1,046,081
4.200%, 04/15/2032   1,050,000     1,046,399
Intel Corp.          
2.450%, 11/15/2029   301,000     286,982
2.800%, 08/12/2041   798,000     704,555
3.050%, 08/12/2051   122,000     108,470
3.200%, 08/12/2061   248,000     219,316
KLA Corp.
3.300%, 03/01/2050
  719,000     677,241
NXP BV          
2.650%, 02/15/2032 (D)   618,000     556,993
3.250%, 05/11/2041 (D)   334,000     294,529
Oracle Corp.          
3.650%, 03/25/2041   317,000     276,879
4.375%, 05/15/2055   183,000     165,234
Texas Instruments, Inc.
1.125%, 09/15/2026 (E)
  306,000     285,841
VMware, Inc.          
0.600%, 08/15/2023   1,468,000     1,426,660
1.000%, 08/15/2024   1,062,000     1,012,573
1.400%, 08/15/2026   1,047,000     961,199
1.800%, 08/15/2028   667,000     591,567
3.900%, 08/21/2027   122,000     123,577
4.700%, 05/15/2030   614,000     649,363
          24,302,118
Materials – 0.5%          
Anglo American Capital PLC          
3.875%, 03/16/2029 (D)   340,000     340,157
4.750%, 03/16/2052 (D)   470,000     490,035
LYB International Finance III LLC          
3.375%, 10/01/2040   754,000     674,942
3.625%, 04/01/2051   446,000     403,534
Teck Resources, Ltd.          
5.200%, 03/01/2042   361,000     378,401
6.125%, 10/01/2035   312,000     368,355
6.250%, 07/15/2041   351,000     419,362
The Dow Chemical Company
3.600%, 11/15/2050
  304,000     282,841
Westlake Corp.          
3.125%, 08/15/2051   452,000     371,539
3.375%, 08/15/2061   287,000     233,446
3.600%, 08/15/2026   334,000     338,082
          4,300,694
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Real estate – 1.7%          
Agree LP          
2.000%, 06/15/2028 $ 667,000   $ 604,216
2.600%, 06/15/2033   151,000     132,989
American Campus Communities Operating Partnership LP
2.250%, 01/15/2029
  459,000     419,465
American Homes 4 Rent          
3.625%, 04/15/2032   690,000     672,867
4.300%, 04/15/2052   270,000     262,540
American Tower Corp.          
3.650%, 03/15/2027   750,000     747,996
4.050%, 03/15/2032   240,000     240,570
Brixmor Operating Partnership LP          
2.250%, 04/01/2028   214,000     195,433
2.500%, 08/16/2031   370,000     326,800
Crown Castle International Corp.          
1.050%, 07/15/2026   917,000     828,453
2.100%, 04/01/2031   629,000     543,951
2.900%, 03/15/2027 to 04/01/2041   1,413,000     1,306,546
4.000%, 03/01/2027   153,000     155,112
Essex Portfolio LP          
1.700%, 03/01/2028   801,000     721,948
2.550%, 06/15/2031   315,000     287,040
Extra Space Storage LP          
2.350%, 03/15/2032   275,000     241,342
3.900%, 04/01/2029   300,000     300,623
Federal Realty Investment Trust
3.950%, 01/15/2024
  423,000     428,473
GLP Capital LP
5.300%, 01/15/2029
  309,000     324,626
Invitation Homes Operating Partnership LP
4.150%, 04/15/2032 (A)
  599,000     611,740
Mid-America Apartments LP          
3.950%, 03/15/2029   308,000     317,154
4.000%, 11/15/2025   375,000     382,723
4.300%, 10/15/2023   314,000     319,263
Realty Income Corp.          
2.200%, 06/15/2028   328,000     302,577
2.850%, 12/15/2032   443,000     418,531
3.400%, 01/15/2028   325,000     324,076
Regency Centers LP
2.950%, 09/15/2029
  665,000     633,523
Rexford Industrial Realty LP
2.150%, 09/01/2031
  339,000     294,272
Spirit Realty LP
3.400%, 01/15/2030
  214,000     206,951
STORE Capital Corp.          
2.700%, 12/01/2031   212,000     187,895
2.750%, 11/18/2030   542,000     490,444
4.500%, 03/15/2028   1,156,000     1,185,096
4.625%, 03/15/2029   390,000     404,739
Sun Communities Operating LP
2.300%, 11/01/2028
  306,000     277,228
          15,097,202
Utilities – 2.3%          
American Transmission Systems, Inc.
2.650%, 01/15/2032 (D)
  212,000     195,930
Baltimore Gas and Electric Company
2.250%, 06/15/2031
  456,000     415,046
Centerpoint Energy Houston Electric LLC
3.600%, 03/01/2052
  332,000     332,458
Consumers Energy Company          
2.500%, 05/01/2060   259,000     196,994
 
  44  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
Consumers Energy Company (continued)          
2.650%, 08/15/2052 $ 336,000   $ 278,896
DTE Electric Company          
2.950%, 03/01/2050   532,000     468,775
3.650%, 03/01/2052   242,000     244,609
DTE Energy Company
1.050%, 06/01/2025
  320,000     299,356
Duke Energy Carolinas LLC          
2.550%, 04/15/2031   309,000     289,905
2.850%, 03/15/2032   557,000     538,367
3.550%, 03/15/2052   467,000     461,329
Duke Energy Corp.          
2.550%, 06/15/2031   968,000     885,039
3.500%, 06/15/2051   183,000     166,980
Duke Energy Florida LLC
2.400%, 12/15/2031
  454,000     418,934
Duke Energy Progress LLC
2.500%, 08/15/2050
  459,000     372,819
Entergy Arkansas LLC
2.650%, 06/15/2051
  409,000     333,479
Eversource Energy          
1.400%, 08/15/2026   253,000     233,389
2.900%, 03/01/2027   603,000     590,870
3.375%, 03/01/2032   300,000     293,454
Exelon Corp.          
2.750%, 03/15/2027 (D)   301,000     293,286
4.100%, 03/15/2052 (D)   211,000     214,307
Florida Power & Light Company
2.450%, 02/03/2032
  1,075,000     1,011,109
Israel Electric Corp., Ltd.
3.750%, 02/22/2032 (D)
  278,000     266,809
ITC Holdings Corp.
2.700%, 11/15/2022
  618,000     619,824
Jersey Central Power & Light Company
2.750%, 03/01/2032 (D)
  500,000     465,595
Metropolitan Edison Company
4.300%, 01/15/2029 (D)
  525,000     545,643
MidAmerican Energy Company
2.700%, 08/01/2052
  395,000     337,640
Mississippi Power Company          
3.100%, 07/30/2051   547,000     464,790
3.950%, 03/30/2028   545,000     553,659
4.250%, 03/15/2042   209,000     209,379
Northern States Power Company
3.200%, 04/01/2052
  308,000     289,798
NSTAR Electric Company
3.100%, 06/01/2051
  281,000     253,343
Oncor Electric Delivery Company LLC
2.700%, 11/15/2051 (D)
  293,000     250,703
Pacific Gas & Electric Company          
2.100%, 08/01/2027   240,000     215,650
3.950%, 12/01/2047   732,000     605,659
4.200%, 06/01/2041   264,000     229,412
4.500%, 07/01/2040   156,000     142,028
4.750%, 02/15/2044   153,000     138,386
4.950%, 07/01/2050   615,000     579,268
PacifiCorp
2.900%, 06/15/2052
  244,000     213,185
PECO Energy Company
2.850%, 09/15/2051
  550,000     475,944
Pennsylvania Electric Company
3.250%, 03/15/2028 (D)
  443,000     426,294
Public Service Company of Oklahoma          
2.200%, 08/15/2031   462,000     413,537
3.150%, 08/15/2051   308,000     271,602
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
Public Service Electric & Gas Company          
1.900%, 08/15/2031 $ 611,000   $ 542,879
2.050%, 08/01/2050   126,000     93,398
2.700%, 05/01/2050   248,000     211,443
Public Service Enterprise Group, Inc.          
1.600%, 08/15/2030   351,000     300,209
2.450%, 11/15/2031   387,000     351,404
Sempra Energy
3.700%, 04/01/2029
  450,000     452,178
Southern California Edison Company
4.125%, 03/01/2048
  342,000     336,465
Southern Company Gas Capital Corp.
1.750%, 01/15/2031
  481,000     411,227
The AES Corp.
1.375%, 01/15/2026
  659,000     605,998
Trans-Allegheny Interstate Line Company
3.850%, 06/01/2025 (D)
  215,000     216,465
Virginia Electric and Power Company          
2.450%, 12/15/2050   176,000     140,734
2.950%, 11/15/2051   456,000     400,479
WEC Energy Group, Inc.
0.800%, 03/15/2024
  773,000     741,777
          21,308,135
TOTAL CORPORATE BONDS (Cost $302,797,907)     $ 285,206,827
MUNICIPAL BONDS – 0.4%          
Board of Regents of the University of Texas
2.439%, 08/15/2049
  285,000     232,093
County of Clark Department of Aviation (Nevada)
6.820%, 07/01/2045
  750,000     1,084,451
North Texas Tollway Authority
6.718%, 01/01/2049 (E)
  697,000     1,032,222
Port Authority of New York & New Jersey
4.458%, 10/01/2062
  571,000     634,377
The Ohio State University
4.800%, 06/01/2111
  464,000     530,714
TOTAL MUNICIPAL BONDS (Cost $3,491,230)   $ 3,513,857
COLLATERALIZED MORTGAGE OBLIGATIONS – 8.0%      
Commercial and residential – 4.4%          
3650R Commercial Mortgage Trust
Series 2021-PF1, Class A5
2.522%, 11/15/2054
  465,000     434,025
Angel Oak Mortgage Trust LLC          
Series 2019-2, Class A1,
3.628%, 03/25/2049 (D)(F)
  54,312     54,266
Series 2020-2, Class A1A,
2.531%, 01/26/2065 (D)(F)
  172,069     171,255
Series 2020-5, Class A1,
1.373%, 05/25/2065 (D)(F)
  137,932     135,452
Series 2021-6, Class A1,
1.458%, 09/25/2066 (D)(F)
  576,818     545,402
BANK
Series 2022-BNK40, Class A4
3.507%, 03/15/2064 (F)
  274,000     275,895
Barclays Commercial Mortgage Trust
Series 2019-C3, Class A3
3.319%, 05/15/2052
  108,000     107,192
 
  45  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
BBCMS Mortgage Trust          
Series 2018-C2, Class ASB,
4.236%, 12/15/2051
$ 214,000   $ 222,163
Series 2022-C15, Class A5,
3.662%, 04/15/2055 (A)(F)
  385,000     394,256
Benchmark Mortgage Trust
Series 2022-B34, Class A5
3.786%, 04/15/2055 (A)
  444,000     459,471
Bunker Hill Loan Depositary Trust
Series 2019-2, Class A1
2.879%, 07/25/2049 (D)
  462,094     458,811
BX Commercial Mortgage Trust          
Series 2021-VOLT, Class A (1 month LIBOR + 0.700%),
1.097%, 09/15/2036 (C)(D)
  2,021,000     1,969,026
Series 2021-XL2, Class A (1 month LIBOR + 0.689%),
1.086%, 10/15/2038 (C)(D)
  974,988     954,225
CFCRE Commercial Mortgage Trust
Series 2017-C8, Class ASB
3.367%, 06/15/2050
  305,000     306,260
COLT Mortgage Loan Trust          
Series 2021-2, Class A1,
0.924%, 08/25/2066 (D)(F)
  754,620     697,978
Series 2021-4, Class A1,
1.397%, 10/25/2066 (D)(F)
  797,534     750,818
Commercial Mortgage Trust (Cantor
Fitzgerald/Deutsche Bank AG)
         
Series 2012-CR3, Class A3,
2.822%, 10/15/2045
  365,850     365,659
Series 2013-CR10, Class A4,
4.210%, 08/10/2046 (F)
  15,000     15,212
Series 2013-CR11, Class A4,
4.258%, 08/10/2050
  1,838,000     1,870,025
Series 2013-CR6, Class A4,
3.101%, 03/10/2046
  1,394,000     1,396,094
Series 2014-UBS4, Class A4,
3.420%, 08/10/2047
  730,000     724,077
Series 2015-LC19, Class A3,
2.922%, 02/10/2048
  949,362     939,945
Series 2015-LC23, Class A3,
3.521%, 10/10/2048
  379,000     379,001
CSAIL Commercial Mortgage Trust          
Series 2015-C2, Class A4,
3.504%, 06/15/2057
  424,000     424,120
Series 2021-C20, Class A3,
2.805%, 03/15/2054
  234,000     222,009
EQUS Mortgage Trust
Series 2021-EQAZ, Class A (1 month LIBOR + 0.755%)
1.152%, 10/15/2038 (C)(D)
  787,000     770,711
GS Mortgage Securities Trust          
Series 2013-GC14, Class A5,
4.243%, 08/10/2046
  412,000     418,213
Series 2014-GC18, Class A4,
4.074%, 01/10/2047
  971,000     983,314
Series 2020-GSA2, Class A4,
1.721%, 12/12/2053
  758,000     669,107
Impact Funding Affordable Multifamily Housing Mortgage Loan Trust
Series 2010-1, Class A1
5.314%, 01/25/2051 (D)
  840,723     837,999
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
JPMBB Commercial Mortgage
Securities Trust
         
Series 2013-C12, Class A5,
3.664%, 07/15/2045
$ 602,000   $ 606,483
Series 2014-C23, Class A4,
3.670%, 09/15/2047
  338,301     338,970
Series 2015-C28, Class A3,
2.912%, 10/15/2048
  1,646,379     1,621,806
Series 2013-C17, Class A4,
4.199%, 01/15/2047
  202,000     205,215
JPMorgan Chase Commercial Mortgage
Securities Trust
         
Series 2013-C16, Class A4,
4.166%, 12/15/2046
  902,000     913,544
Series 2016-JP4, Class A3,
3.393%, 12/15/2049
  198,000     196,080
Med Trust
Series 2021-MDLN, Class A (1 month LIBOR + 0.950%)
1.347%, 11/15/2038 (C)(D)
  1,273,000     1,251,024
Mello Warehouse Securitization Trust          
Series 2020-2, Class A (1 month LIBOR + 0.800%),
1.257%, 11/25/2053 (C)(D)
  248,000     247,330
Series 2021-1, Class A (1 month LIBOR + 0.700%),
1.157%, 02/25/2055 (C)(D)
  288,000     285,730
Series 2021-2, Class A (1 month LIBOR + 0.750%),
1.207%, 04/25/2055 (C)(D)
  786,000     781,998
MFA Trust
Series 2021-NQM2, Class A1
1.029%, 11/25/2064 (D)(F)
  376,144     355,778
Morgan Stanley Bank of America Merrill
Lynch Trust
         
Series 2012-C5, Class A4,
3.176%, 08/15/2045
  93,865     93,854
Series 2015-C20, Class A4,
3.249%, 02/15/2048
  158,000     157,310
Morgan Stanley Capital I, Inc.
Series 2022-L8, Class A5
3.795%, 03/15/2032 (A)(F)
  296,000     306,932
Morgan Stanley Capital Trust
Series 2020-HR8, Class A3
1.790%, 07/15/2053
  557,000     495,288
New Residential Mortgage Loan Trust
Series 2019-NQM4, Class A1
2.492%, 09/25/2059 (D)(F)
  190,971     189,799
NewRez Warehouse Securitization Trust
Series 2021-1, Class A (1 month LIBOR + 0.750%)
1.207%, 05/25/2055 (C)(D)
  1,888,000     1,876,706
Starwood Mortgage Residential Trust          
Series 2020-1, Class A1,
2.275%, 02/25/2050 (D)(F)
  197,220     195,744
Series 2020-3, Class A1,
1.486%, 04/25/2065 (D)(F)
  335,474     330,552
Series 2020-INV1, Class A1,
1.027%, 11/25/2055 (D)(F)
  279,998     273,565
Series 2021-1, Class A1,
1.219%, 05/25/2065 (D)(F)
  384,489     376,617
Series 2021-4, Class A1,
1.162%, 08/25/2056 (D)(F)
  812,145     778,626
 
  46  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
UBS-Barclays Commercial Mortgage Trust
Series 2012-C4, Class A4
2.792%, 12/10/2045
$ 602,000   $ 601,983
Verus Securitization Trust          
Series 2019-3, Class A1,
2.784%, 07/25/2059 (D)
  284,505     284,576
Series 2019-4, Class A1,
2.642%, 11/25/2059 (D)
  390,395     389,981
Series 2019-INV2, Class A1,
2.913%, 07/25/2059 (D)(F)
  240,661     240,870
Series 2019-INV3, Class A1,
2.692%, 11/25/2059 (D)(F)
  173,735     173,539
Series 2020-1, Class A1,
2.417%, 01/25/2060 (D)
  383,040     381,478
Series 2020-2, Class A1,
2.226%, 05/25/2060 (D)(F)
  223,557     221,871
Series 2020-5, Class A1,
1.218%, 05/25/2065 (D)
  136,764     133,308
Series 2021-1, Class A1,
0.815%, 01/25/2066 (D)(F)
  443,417     429,450
Series 2021-2, Class A1,
1.031%, 02/25/2066 (D)(F)
  843,047     811,530
Series 2021-3, Class A1,
1.046%, 06/25/2066 (D)(F)
  599,408     568,771
Series 2021-4, Class A1,
0.938%, 07/25/2066 (D)(F)
  683,513     641,351
Series 2021-5, Class A1,
1.013%, 09/25/2066 (D)(F)
  2,574,062     2,369,434
Series 2021-7, Class A1,
1.829%, 10/25/2066 (D)(F)
  1,017,918     961,598
Series 2021-8, Class A1,
1.824%, 11/25/2066 (D)(F)
  746,423     714,243
Series 2021-R1, Class A1,
0.820%, 10/25/2063 (D)(F)
  474,590     463,053
Series 2021-R3, Class A1,
1.020%, 04/25/2064 (D)(F)
  456,716     447,016
Visio Trust
Series 2020-1R, Class A1
1.312%, 11/25/2055 (D)
  330,058     321,872
          39,986,856
U.S. Government Agency – 3.6%          
Federal Home Loan Mortgage Corp.          
Series 264, Class 30,
3.000%, 07/15/2042
  1,190,511     1,173,874
Series 4205, Class PA,
1.750%, 05/15/2043
  357,989     340,877
Series 4426, Class QC,
1.750%, 07/15/2037
  612,214     590,995
Series 4705, Class A,
4.500%, 09/15/2042
  47,977     48,162
Series 4742, Class PA,
3.000%, 10/15/2047
  1,079,638     1,068,241
Series 4763, Class CA,
3.000%, 09/15/2038
  199,631     198,071
Series 4767, Class KA,
3.000%, 03/15/2048
  639,657     634,598
Series 4846, Class PF (1 month LIBOR + 0.350%),
0.747%, 12/15/2048 (C)
  97,538     97,494
Series 4880, Class DA,
3.000%, 05/15/2050
  786,059     782,831
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
Series 5091, Class AB,
1.500%, 03/25/2051
$ 1,327,751   $ 1,242,546
Series 5119, Class AB,
1.500%, 08/25/2049
  506,909     468,693
Series 5217, Class CD,
2.500%, 07/25/2049
  770,000     763,954
Federal National Mortgage Association          
Series 2012-151, Class NX,
1.500%, 01/25/2043
  411,674     383,660
Series 2013-11, Class AP,
1.500%, 01/25/2043
  1,466,993     1,385,858
Series 2013-43, Class BP,
1.750%, 05/25/2043
  474,018     450,561
Series 2014-73, Class MA,
2.500%, 11/25/2044
  283,134     271,564
Series 2015-84, Class PA,
1.700%, 08/25/2033
  1,731,876     1,672,643
Series 2016-48, Class MA,
2.000%, 06/25/2038
  1,739,771     1,684,208
Series 2016-57, Class PC,
1.750%, 06/25/2046
  3,260,018     3,012,946
Series 2017-13, Class PA,
3.000%, 08/25/2046
  648,806     642,278
Series 2017-M7, Class A2,
2.961%, 02/25/2027 (F)
  315,337     314,604
Series 2018-14, Class KC,
3.000%, 03/25/2048
  1,103,350     1,093,750
Series 2018-15, Class AB,
3.000%, 03/25/2048
  255,390     254,930
Series 2018-8, Class KL,
2.500%, 03/25/2047
  577,337     556,396
Series 2019-15, Class AB,
3.500%, 05/25/2053
  1,256,484     1,286,060
Series 2019-25, Class PA,
3.000%, 05/25/2048
  1,096,021     1,094,121
Series 2019-35, Class A,
3.000%, 07/25/2049
  397,190     387,240
Series 2020-48, Class AB,
2.000%, 07/25/2050
  550,219     528,009
Series 2020-48, Class DA,
2.000%, 07/25/2050
  1,614,637     1,544,816
Series 2021-27, Class EC,
1.500%, 05/25/2051
  2,167,884     2,016,655
Series 2021-78, Class ND,
1.500%, 11/25/2051
  1,233,064     1,166,393
Series 2022-M3, Class A2,
1.764%, 11/25/2031 (F)
  708,000     637,477
Series 414, Class A35,
3.500%, 10/25/2042
  1,324,455     1,365,539
Government National
Mortgage Association
         
Series 2012-141, Class WA,
4.529%, 11/16/2041 (F)
  203,717     212,293
Series 2017-167, Class BQ,
2.500%, 08/20/2044
  581,908     573,474
Series 2018-11, Class PC,
2.750%, 12/20/2047
  586,262     579,271
Series 2019-132, Class NA,
3.500%, 09/20/2049
  377,872     379,559
Series 2019-31, Class JC,
3.500%, 03/20/2049
  347,467     350,129
 
  47  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
Series 2021-23, Class MG,
1.500%, 02/20/2051
$ 1,480,687   $ 1,403,878
          32,658,648
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $75,454,379)   $ 72,645,504
ASSET BACKED SECURITIES – 8.0%      
AmeriCredit Automobile Receivables Trust
Series 2022-1, Class A3
2.450%, 11/18/2026
  259,000     255,750
Avis Budget Rental Car Funding
AESOP LLC
         
Series 2019-3A, Class A
2.360%, 03/20/2026 (D)
  678,000     659,208
Series 2020-1A, Class A
2.330%, 08/20/2026 (D)
  494,000     479,283
Series 2021-2A, Class A
1.660%, 02/20/2028 (D)
  1,415,000     1,310,970
Capital One Multi-Asset Execution Trust          
Series 2021-A2, Class A2
1.390%, 07/15/2030
  1,000,000     914,011
Series 2022-A1, Class A1
2.800%, 03/15/2027
  2,975,000     2,974,478
College Ave Student Loans LLC          
Series 2017-A, Class A1 (1 month LIBOR + 1.650%)
2.107%, 11/26/2046 (C)(D)
  409,437     413,587
Series 2018-A, Class A2
4.130%, 12/26/2047 (D)
  284,067     281,984
Series 2019-A, Class A2
3.280%, 12/28/2048 (D)
  487,309     477,563
Series 2021-A, Class A2
1.600%, 07/25/2051 (D)
  666,235     615,544
Ford Credit Auto Owner Trust          
Series 2019-1, Class A
3.520%, 07/15/2030 (D)
  332,000     335,708
Series 2020-2, Class A
1.060%, 04/15/2033 (D)
  451,000     418,252
Hertz Vehicle Financing III LP
Series 2021-2A, Class A
1.680%, 12/27/2027 (D)
  1,229,000     1,120,579
Hertz Vehicle Financing LLC          
Series 2022-1A, Class A
1.990%, 06/25/2026 (D)
  1,683,000     1,614,553
Series 2022-2A, Class A
2.330%, 06/26/2028 (D)
  1,490,000     1,393,188
Series 2022-4A, Class A
3.730%, 09/25/2026 (D)
  1,485,000     1,486,856
Series 2022-5A, Class A
3.890%, 09/25/2028 (D)
  1,485,000     1,484,629
Hyundai Auto Receivables Trust          
Series 2021-C, Class A4
1.030%, 12/15/2027
  549,000     515,079
Series 2022-A, Class A3
2.220%, 10/15/2026
  1,004,000     990,958
Series 2022-A, Class A4
2.350%, 04/17/2028
  341,000     333,538
Navient Private Education Loan Trust          
Series 2014-AA, Class A3 (1 month LIBOR + 1.600%)
1.997%, 10/15/2031 (C)(D)
  470,000     473,634
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Navient Private Education
Loan Trust (continued)
         
Series 2016-AA, Class A2B (1 month LIBOR + 2.150%)
2.547%, 12/15/2045 (C)(D)
$ 326,909   $ 333,689
Series 2020-IA, Class A1A
1.330%, 04/15/2069 (D)
  1,880,387     1,763,737
Navient Private Education Refi
Loan Trust
         
Series 2018-A, Class A2
3.190%, 02/18/2042 (D)
  17,938     18,007
Series 2018-CA, Class A2
3.520%, 06/16/2042 (D)
  64,247     64,659
Series 2018-DA, Class A2A
4.000%, 12/15/2059 (D)
  755,200     770,748
Series 2019-CA, Class A2
3.130%, 02/15/2068 (D)
  687,335     683,120
Series 2019-D, Class A2A
3.010%, 12/15/2059 (D)
  1,411,347     1,393,536
Series 2019-FA, Class A2
2.600%, 08/15/2068 (D)
  812,599     805,074
Series 2019-GA, Class A
2.400%, 10/15/2068 (D)
  394,481     391,996
Series 2020-BA, Class A2
2.120%, 01/15/2069 (D)
  526,642     516,587
Series 2020-EA, Class A
1.690%, 05/15/2069 (D)
  137,545     132,096
Series 2020-GA, Class A
1.170%, 09/16/2069 (D)
  562,111     543,545
Series 2020-HA, Class A
1.310%, 01/15/2069 (D)
  434,097     420,343
Series 2021-A, Class A
0.840%, 05/15/2069 (D)
  222,360     212,298
Series 2021-BA, Class A
0.940%, 07/15/2069 (D)
  305,029     287,970
Series 2021-CA, Class A
1.060%, 10/15/2069 (D)
  1,245,829     1,184,469
Series 2021-EA, Class A
0.970%, 12/16/2069 (D)
  2,068,207     1,946,810
Series 2021-FA, Class A
1.110%, 02/18/2070 (D)
  2,359,882     2,199,304
Series 2021-GA, Class A
1.580%, 04/15/2070 (D)
  717,318     680,568
Series 2022-A, Class A
2.230%, 07/15/2070 (D)
  2,787,000     2,694,004
Navient Student Loan Trust          
Series 2019-BA, Class A2A
3.390%, 12/15/2059 (D)
  1,167,993     1,168,070
Series 2021-3A, Class A1A
1.770%, 08/25/2070 (D)
  1,196,195     1,124,873
Nelnet Student Loan Trust          
Series 2004-3, Class A5 (3 month LIBOR + 0.180%)
0.438%, 10/27/2036 (C)
  959,896     940,594
Series 2004-4, Class A5 (3 month LIBOR + 0.160%)
0.418%, 01/25/2037 (C)
  950,162     946,985
Series 2005-1, Class A5 (3 month LIBOR + 0.110%)
0.368%, 10/25/2033 (C)
  2,901,908     2,891,149
Series 2005-2, Class A5 (3 month LIBOR + 0.100%)
1.034%, 03/23/2037 (C)
  2,820,956     2,756,954
Series 2005-3, Class A5 (3 month LIBOR + 0.120%)
1.054%, 12/24/2035 (C)
  1,927,185     1,920,405
 
  48  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Nelnet Student Loan Trust (continued)          
Series 2005-4, Class A4 (3 month LIBOR + 0.180%)
1.114%, 03/22/2032 (C)
$ 496,331   $ 478,498
Santander Drive Auto Receivables Trust          
Series 2020-4, Class A3
0.480%, 07/15/2024
  69,892     69,870
Series 2022-2, Class A3
2.980%, 10/15/2026
  1,878,000     1,875,763
SLM Student Loan Trust          
Series 2003-1, Class A5C (3 month LIBOR + 0.750%)
1.576%, 12/15/2032 (C)(D)
  630,835     614,492
Series 2007-2, Class A4 (3 month LIBOR + 0.060%)
0.318%, 07/25/2022 (C)
  2,572,884     2,535,068
Series 2010-1, Class A (1 month LIBOR + 0.400%)
0.857%, 03/25/2025 (C)
  744,170     727,549
SMB Private Education Loan Trust          
Series 2016-B, Class A2A
2.430%, 02/17/2032 (D)
  118,287     116,194
Series 2016-B, Class A2B (1 month LIBOR + 1.450%)
1.847%, 02/17/2032 (C)(D)
  46,470     46,498
Series 2016-C, Class A2B (1 month LIBOR + 1.100%)
1.497%, 09/15/2034 (C)(D)
  319,225     320,646
Series 2018-C, Class A2A
3.630%, 11/15/2035 (D)
  171,700     172,550
Series 2019-A, Class A2A
3.440%, 07/15/2036 (D)
  374,504     375,008
Series 2020-B, Class A1A
1.290%, 07/15/2053 (D)
  1,057,223     1,005,845
Series 2020-PTA, Class A2A
1.600%, 09/15/2054 (D)
  994,607     951,765
Series 2020-PTB, Class A2A
1.600%, 09/15/2054 (D)
  3,057,534     2,892,543
Series 2021-A, Class APT1
1.070%, 01/15/2053 (D)
  2,467,947     2,269,429
Series 2021-B, Class A
1.310%, 07/17/2051 (D)
  1,362,867     1,295,542
Series 2021-C, Class A2 (1 month LIBOR + 0.800%)
1.197%, 01/15/2053 (C)(D)
  1,275,000     1,271,680
Series 2021-D, Class A1A
1.340%, 03/17/2053 (D)
  2,062,560     1,956,800
Series 2021-E, Class A1A
1.680%, 02/15/2051 (D)
  1,406,879     1,346,400
Series 2022-A, Class APT
2.850%, 11/16/2054 (D)
  921,000     889,633
SoFi Professional Loan Program LLC          
Series 2016-E, Class A1 (1 month LIBOR + 0.850%)
1.307%, 07/25/2039 (C)(D)
  24,669     24,673
Series 2017-A, Class A1 (1 month LIBOR + 0.700%)
1.157%, 03/26/2040 (C)(D)
  31,835     31,828
Series 2017-D, Class A2FX
2.650%, 09/25/2040 (D)
  36,356     36,309
Series 2017-E, Class A2B
2.720%, 11/26/2040 (D)
  466,672     467,475
Series 2020-C, Class AFX
1.950%, 02/15/2046 (D)
  723,233     708,596
Series 2021-A, Class AFX
1.030%, 08/17/2043 (D)
  379,369     354,158
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
SoFi Professional Loan
Program LLC (continued)
         
Series 2021-B, Class AFX
1.140%, 02/15/2047 (D)
$ 843,865   $ 785,178
Toyota Auto Loan Extended Note Trust
Series 2021-1A, Class A
1.070%, 02/27/2034 (D)
  503,000     467,143
Triton Container Finance VIII LLC
Series 2020-1A, Class A
2.110%, 09/20/2045 (D)
  459,808     423,775
Verizon Master Trust
Series 2022-2, Class A
1.530%, 07/20/2028
  577,000     555,185
TOTAL ASSET BACKED SECURITIES (Cost $74,776,290)     $ 72,407,035
SHORT-TERM INVESTMENTS – 2.3%      
Short-term funds – 2.3%          
John Hancock Collateral Trust, 0.3592% (G)(H)   365,127     3,650,827
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (G)   17,077,104     17,077,104
TOTAL SHORT-TERM INVESTMENTS (Cost $20,727,674)   $ 20,727,931
Total Investments (Core Bond Trust)
(Cost $1,039,732,481) – 109.4%
  $ 992,316,562
Other assets and liabilities, net – (9.4%)       (85,138,927)
TOTAL NET ASSETS – 100.0%       $ 907,177,635
Security Abbreviations and Legend
CME Chicago Mercantile Exchange
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) Security purchased or sold on a when-issued or delayed delivery basis.
(B) Zero coupon bonds are issued at a discount from their principal amount in lieu of paying interest periodically. Rate shown is the effective yield at period end.
(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 $135,674,345 or 15.0% of the fund's net assets as of 3-31-22.
(E) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $3,502,715.
(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) The rate shown is the annualized seven-day yield as of 3-31-22.
(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.
 
  49  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Disciplined Value International Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS - 95.4%      
Austria - 0.6%          
ANDRITZ AG   38,091   $ 1,759,197
Bermuda - 2.0%          
Everest Re Group, Ltd.   18,998     5,725,617
Canada - 7.4%          
Canadian Natural Resources, Ltd.   44,798     2,773,918
Cenovus Energy, Inc.   633,808     10,565,579
Kinross Gold Corp. (A)   382,558     2,246,111
Yamana Gold, Inc. (A)   958,168     5,349,768
          20,935,376
China - 0.4%          
Topsports International Holdings, Ltd. (B)   1,494,000     1,241,723
Finland - 2.3%          
Metso Outotec OYJ   322,610     2,719,517
Sampo OYJ, A Shares   78,806     3,850,814
          6,570,331
France - 12.9%          
Airbus SE   31,884     3,847,415
AXA SA   70,946     2,076,908
BNP Paribas SA   33,797     1,931,329
Capgemini SE   6,144     1,363,380
Eiffage SA   23,091     2,369,893
Imerys SA   49,109     2,106,987
Klepierre SA (C)   46,592     1,240,477
Rexel SA   230,104     4,912,247
Sanofi   100,798     10,305,608
TotalEnergies SE   128,035     6,478,549
          36,632,793
Germany - 6.6%          
Allianz SE   10,833     2,587,023
Deutsche Post AG   55,850     2,666,957
Deutsche Telekom AG   325,439     6,061,051
Rheinmetall AG   5,383     1,137,803
Siemens AG   45,717     6,330,345
          18,783,179
Greece - 0.7%          
Hellenic Telecommunications Organization SA   107,231     1,938,975
India - 1.0%          
HDFC Bank, Ltd., ADR   44,570     2,733,478
Ireland - 1.6%          
CRH PLC   61,099     2,440,389
Flutter Entertainment PLC (London Stock Exchange) (C)   17,405     2,014,977
          4,455,366
Italy - 0.5%          
UniCredit SpA   125,037     1,348,875
Japan - 13.1%          
Asahi Group Holdings, Ltd.   111,800     4,071,810
Fuji Corp. (Aichi)   122,500     2,209,434
Honda Motor Company, Ltd.   177,800     5,039,891
IHI Corp.   87,600     2,092,895
KDDI Corp.   136,500     4,475,377
Komatsu, Ltd.   115,500     2,774,947
Nihon Unisys, Ltd.   65,700     1,666,847
Renesas Electronics Corp. (C)   177,400     2,055,528
Sony Group Corp.   29,300     3,014,258
Sumitomo Heavy Industries, Ltd.   127,100     2,912,612
Sumitomo Mitsui Financial Group, Inc.   138,400     4,371,832
TS Tech Company, Ltd.   112,800     1,261,240
Disciplined Value International Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Yamaha Motor Company, Ltd.   62,400   $ 1,398,615
          37,345,286
Malta - 0.0%          
BGP Holdings PLC (C)(D)   2,126,418     0
Netherlands - 2.5%          
ING Groep NV   205,347     2,144,026
Stellantis NV   306,112     4,969,032
          7,113,058
Norway - 0.5%          
DNB Bank ASA   67,092     1,516,879
South Korea - 6.0%          
Hana Financial Group, Inc.   73,375     2,918,356
KB Financial Group, Inc.   52,786     2,645,313
POSCO Holdings, Inc.   9,732     2,334,451
Samsung Electronics Company, Ltd.   103,156     5,902,894
SK Square Company, Ltd. (C)   28,105     1,307,234
SK Telecom Company, Ltd.   43,475     2,032,815
          17,141,063
Spain - 1.0%          
Applus Services SA   186,951     1,543,803
Ence Energia y Celulosa SA (C)   392,254     1,379,310
          2,923,113
Sweden - 2.3%          
Svenska Handelsbanken AB, A Shares (A)   553,161     5,086,561
Volvo AB, B Shares   79,618     1,485,302
          6,571,863
Switzerland - 10.9%          
Glencore PLC (C)   570,652     3,713,056
Novartis AG   88,986     7,812,219
Roche Holding AG   18,950     7,497,792
STMicroelectronics NV   58,131     2,526,619
Swiss Re AG   32,166     3,062,009
UBS Group AG   321,663     6,285,716
          30,897,411
United Kingdom - 21.1%          
AstraZeneca PLC   24,826     3,292,242
BAE Systems PLC   832,870     7,821,839
Coca-Cola Europacific Partners PLC   148,963     7,241,091
Endeavour Mining PLC   86,100     2,135,713
Ferroglobe PLC (C)   218,547     1,682,812
GlaxoSmithKline PLC   116,647     2,523,878
IMI PLC   231,103     4,114,555
Informa PLC (C)   206,847     1,620,645
Liberty Global PLC, Series A (C)   218,660     5,578,017
NatWest Group PLC   1,049,649     2,964,557
Nomad Foods, Ltd. (C)   91,726     2,071,173
Persimmon PLC   57,870     1,622,750
Shell PLC   223,259     6,119,225
Smith & Nephew PLC   89,138     1,417,725
SSE PLC   269,813     6,164,951
Tesco PLC   391,493     1,417,320
Travis Perkins PLC   148,072     2,387,768
          60,176,261
United States - 2.0%          
Applied Materials, Inc.   7,213     950,673
Envista Holdings Corp. (C)   44,513     2,168,228
FMC Corp.   19,564     2,574,035
          5,692,936
TOTAL COMMON STOCKS (Cost $261,946,614)   $ 271,502,780
 
  50  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Disciplined Value International Trust (continued)
    Shares or
Principal
Amount
  Value
PREFERRED SECURITIES - 0.9%      
Germany - 0.9%          
Volkswagen AG   14,902   $ 2,560,942
TOTAL PREFERRED SECURITIES (Cost $3,218,381)   $ 2,560,942
SHORT-TERM INVESTMENTS - 6.5%      
Short-term funds - 6.5%          
Fidelity Institutional Money Market Government Portfolio, Institutional Class, 0.1157% (E)   10,201,304     10,201,304
John Hancock Collateral Trust, 0.3592% (E)(F)   840,955     8,408,546
TOTAL SHORT-TERM INVESTMENTS (Cost $18,608,929)   $ 18,609,850
Total Investments (Disciplined Value International Trust)
(Cost $283,773,924) - 102.8%
  $ 292,673,572
Other assets and liabilities, net - (2.8%)     (7,936,617)
TOTAL NET ASSETS - 100.0%   $ 284,736,955
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $8,000,027.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) Non-income producing security.
(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 3-31-22.
(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.
Emerging Markets Value Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS - 97.0%      
Australia - 0.0%          
MMG, Ltd. (A)   108,000   $ 42,908
Belgium - 0.0%          
Titan Cement International SA (A)   2,489     36,746
Brazil - 3.5%          
Americanas SA   2,933     20,114
Americanas SA (A)   75     506
Atacadao SA   7,800     36,894
Banco Bradesco SA   63,196     242,508
Banco do Brasil SA   41,159     299,979
Banco Santander Brasil SA   17,518     135,698
BrasilAgro - Company Brasileira de Propriedades Agricolas   4,600     30,782
Camil Alimentos SA   10,600     21,485
Cia Brasileira de Distribuicao   10,547     53,499
Cia Siderurgica Nacional SA   27,119     148,267
Cia Siderurgica Nacional SA, ADR   9,153     49,609
Cielo SA   59,300     38,736
Cogna Educacao (A)   186,166     110,658
Construtora Tenda SA   4,000     7,208
Cyrela Brazil Realty SA Empreendimentos e Participacoes   17,823     65,474
Direcional Engenharia SA   8,400     21,454
Embraer SA (A)   48,415     152,128
Enauta Participacoes SA   16,860     73,445
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Brazil (continued)          
Getnet Adquirencia e Servicos para Meios de Pagamento SA   4,379   $ 3,357
Guararapes Confeccoes SA   4,400     10,656
International Meal Company Alimentacao SA (A)   26,670     16,749
Iochpe Maxion SA   11,411     30,798
JBS SA   65,990     516,022
JHSF Participacoes SA   28,427     39,228
M Dias Branco SA   5,032     26,021
Marisa Lojas SA (A)   19,338     13,160
MRV Engenharia e Participacoes SA   15,337     41,394
Natura & Company Holding SA (A)   36,732     200,978
Petroleo Brasileiro SA   349,947     2,590,213
Positivo Tecnologia SA   9,000     17,486
Sao Carlos Empreendimentos e Participacoes SA   5,205     41,423
TIM SA   55,934     162,008
Trisul SA   13,137     13,410
Tupy SA   9,951     37,308
Ultrapar Participacoes SA   3,860     11,472
Usinas Siderurgicas de Minas Gerais SA   14,738     40,366
Vale SA   165,550     3,324,178
          8,644,671
Chile - 0.5%          
Banco de Credito e Inversiones SA (A)   749     26,940
Camanchaca SA (A)   214,992     11,686
CAP SA   5,458     84,380
Cementos BIO BIO SA   16,447     15,688
Cencosud SA   133,449     262,714
Cristalerias de Chile SA   3,626     14,819
Empresa Nacional de Telecomunicaciones SA   15,564     67,952
Empresas CMPC SA   53,560     99,036
Empresas COPEC SA   22,640     187,294
Empresas Hites SA   46,731     8,300
Enel Americas SA   845,521     102,003
Grupo Security SA   147,513     23,711
Hortifrut SA   9,101     9,281
Inversiones Aguas Metropolitanas SA   42,648     21,533
Itau CorpBanca Chile SA   10,081,598     22,382
Masisa SA (A)   321,066     6,607
PAZ Corp. SA   16,523     7,015
Ripley Corp. SA   137,631     24,814
Salfacorp SA   54,622     18,475
Sigdo Koppers SA   50,989     51,227
SMU SA   43,046     4,902
Sociedad Matriz SAAM SA   670,600     46,853
Socovesa SA   113,429     14,248
SONDA SA   17,248     6,877
          1,138,737
China - 23.9%          
360 Security Technology, Inc. (A)   30,100     47,142
361 Degrees International, Ltd. (A)   119,000     60,397
3SBio, Inc. (A)(B)   146,500     119,137
AAC Technologies Holdings, Inc. (C)   79,500     188,928
Addsino Company, Ltd., Class A   9,800     16,731
Agile Group Holdings, Ltd.   157,000     79,003
Agricultural Bank of China, Ltd., H Shares   1,681,000     642,618
Air China, Ltd., H Shares (A)   80,000     55,615
Alibaba Group Holding, Ltd. (A)   174,600     2,382,716
Allmed Medical Products Company, Ltd., Class A   6,100     12,279
Aluminum Corp. of China, Ltd., H Shares (A)   372,000     215,319
 
  51  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Angang Steel Company, Ltd., H Shares   193,800   $ 88,466
Anhui Conch Cement Company, Ltd., H Shares   130,000     664,882
Anhui Guangxin Agrochemical Company, Ltd., Class A   3,200     16,020
Anhui Truchum Advanced Materials & Technology Company, Ltd., Class A   12,200     17,786
Anhui Zhongding Sealing Parts Company, Ltd., Class A   9,200     21,573
Anton Oilfield Services Group (A)(C)   284,000     15,837
Aoshikang Technology Company, Ltd., Class A   2,300     22,198
Asia Cement China Holdings Corp.   65,000     41,597
AsiaInfo Technologies, Ltd. (B)   6,800     11,935
Avary Holding Shenzhen Company, Ltd., Class A   4,500     20,344
AVIC Industry-Finance Holdings Company, Ltd., Class A   40,100     26,093
AviChina Industry & Technology Company, Ltd., H Shares   230,000     126,956
BAIC Motor Corp., Ltd., H Shares (B)   207,000     68,977
Baidu, Inc., ADR (A)   14,201     1,878,792
Baidu, Inc., Class A (A)   15,600     275,319
BAIOO Family Interactive, Ltd. (B)   126,000     7,645
Bank of Beijing Company, Ltd., Class A   90,000     64,824
Bank of Changsha Company, Ltd., Class A   41,600     50,022
Bank of Chengdu Company, Ltd., Class A   28,200     66,437
Bank of China, Ltd., H Shares   4,993,694     1,992,762
Bank of Chongqing Company, Ltd., H Shares   69,500     42,666
Bank of Communications Company, Ltd., H Shares   705,876     505,349
Bank of Guiyang Company, Ltd., Class A   19,600     19,597
Bank of Hangzhou Company, Ltd., Class A   28,200     62,433
Bank of Jiangsu Company, Ltd., Class A   53,800     59,521
Bank of Nanjing Company, Ltd., Class A   54,200     90,787
Bank of Ningbo Company, Ltd., Class A   36,960     216,550
Bank of Shanghai Company, Ltd., Class A   57,000     59,557
Bank of Suzhou Company, Ltd., Class A   19,100     22,225
Bank of Tianjin Company, Ltd., H Shares (A)   74,000     19,286
Baoshan Iron & Steel Company, Ltd., Class A   156,200     165,730
Baoye Group Company, Ltd., H Shares (A)   22,000     10,319
Baozun, Inc., Class A (A)   1,300     3,706
BBMG Corp., H Shares   220,000     35,519
Beijing Capital Eco-Environment Protection Group Company, Ltd., Class A   50,000     24,723
Beijing Capital International Airport Company, Ltd., H Shares (A)   236,000     137,191
Beijing Dabeinong Technology Group Company, Ltd., Class A   18,200     24,883
Beijing Enlight Media Company, Ltd., Class A   14,200     18,295
Beijing GeoEnviron Engineering & Technology, Inc., Class A   6,000     14,644
Beijing Jetsen Technology Company, Ltd., Class A (A)   27,000     24,915
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Beijing New Building Materials PLC, Class A   12,300   $ 58,442
Beijing North Star Company, Ltd., H Shares   132,000     19,601
Beijing Orient National Communication Science & Technology Company, Ltd., Class A (A)   10,200     18,059
Beijing Originwater Technology Company, Ltd., Class A   11,500     10,831
Beijing Shougang Company, Ltd., Class A   20,200     16,458
Beijing Shunxin Agriculture Company, Ltd., Class A   3,700     13,548
Beijing Sinnet Technology Company, Ltd., Class A   10,500     21,819
Beijing Thunisoft Corp, Ltd., Class A   6,500     9,842
Beijing Urban Construction Design & Development Group Company, Ltd., H Shares (B)   35,000     9,053
Beijing Yanjing Brewery Company, Ltd., Class A   18,000     20,560
Beijing-Shanghai High Speed Railway Company, Ltd., Class A   62,900     47,242
Blue Sail Medical Company, Ltd., Class A   7,100     14,743
Bluefocus Intelligent Communications Group Company, Ltd., Class A   17,200     22,557
BOC International China Company, Ltd., Class A   8,800     18,558
BOE Technology Group Company, Ltd., Class A   248,600     168,074
Bohai Leasing Company, Ltd., Class A (A)   50,900     18,416
Boyaa Interactive International, Ltd. (A)   63,000     3,743
Bright Dairy & Food Company, Ltd., Class A   9,600     17,236
BTG Hotels Group Company, Ltd., Class A (A)   4,500     16,157
BYD Electronic International Company, Ltd.   63,500     125,835
Cabbeen Fashion, Ltd.   40,000     13,841
Caitong Securities Company, Ltd., Class A   25,900     34,450
Cangzhou Mingzhu Plastic Company, Ltd., Class A   15,000     13,336
CECEP Solar Energy Company, Ltd., Class A   13,500     18,547
CECEP Wind-Power Corp., Class A   19,600     14,132
Central China Management Company, Ltd.   113,732     17,854
Central China Real Estate, Ltd.   113,732     10,940
Changjiang Securities Company, Ltd., Class A   20,700     20,235
Changsha Broad Homes Industrial Group Company, Ltd., H Shares (A)(B)   9,000     11,158
Chaowei Power Holdings, Ltd.   88,000     17,955
Cheetah Mobile, Inc., ADR (A)   4,594     4,454
Chengtun Mining Group Company, Ltd., Class A   12,000     16,100
Chengzhi Company, Ltd., Class A (A)   5,100     10,394
China BlueChemical, Ltd., H Shares   242,000     82,570
China Bohai Bank Company, Ltd., H Shares (B)   111,000     18,407
China Cinda Asset Management Company, Ltd., H Shares   742,000     126,412
 
  52  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
China CITIC Bank Corp., Ltd., H Shares   730,775   $ 368,766
China Coal Energy Company, Ltd., H Shares   178,000     133,095
China Communications Services Corp., Ltd., H Shares   217,200     97,938
China Conch Environment Protection Holdings, Ltd. (A)   109,000     136,367
China Conch Venture Holdings, Ltd.   109,000     317,756
China Construction Bank Corp., H Shares   8,153,000     6,107,122
China CSSC Holdings, Ltd., Class A   14,900     40,432
China Development Bank Financial Leasing Company, Ltd., H Shares (B)   122,000     17,788
China Dili Group (A)   190,600     52,620
China Dongxiang Group Company, Ltd.   361,000     22,925
China East Education Holdings, Ltd. (A)(B)   45,000     25,942
China Eastern Airlines Corp., Ltd., H Shares (A)(C)   76,000     25,442
China Electronics Optics Valley Union Holding Company, Ltd.   308,000     14,877
China Energy Engineering Corp., Ltd., H Shares   162,000     22,772
China Everbright Bank Company, Ltd., H Shares   248,000     93,569
China Express Airlines Company, Ltd., Class A   8,200     13,243
China Galaxy Securities Company, Ltd., H Shares   301,000     167,898
China Great Wall Securities Company, Ltd., Class A   11,800     17,611
China Hanking Holdings, Ltd.   61,000     11,733
China Harmony Auto Holding, Ltd.   105,500     53,430
China Hongqiao Group, Ltd. (C)   249,000     327,123
China Huarong Asset Management Company, Ltd., H Shares (A)(B)   1,070,000     49,858
China Huiyuan Juice Group, Ltd. (A)(D)   212,500     13,700
China International Marine Containers Group Company, Ltd., H Shares   64,700     105,304
China Jushi Company, Ltd., Class A   18,200     43,486
China Kepei Education Group, Ltd. (C)   68,000     19,060
China Lesso Group Holdings, Ltd.   133,000     159,633
China Life Insurance Company, Ltd., H Shares   259,000     394,593
China Lilang, Ltd.   72,000     34,781
China Maple Leaf Educational Systems, Ltd. (A)(C)   222,000     11,728
China Medical System Holdings, Ltd.   146,000     227,701
China Meheco Company, Ltd., Class A   4,400     25,209
China Merchants Bank Company, Ltd., H Shares   248,000     1,930,538
China Merchants Energy Shipping Company, Ltd., Class A   24,100     17,845
China Merchants Property Operation & Service Company, Ltd., Class A   4,300     11,951
China Merchants Securities Company, Ltd., H Shares (B)   29,480     34,502
China Merchants Shekou Industrial Zone Holdings Company, Ltd., Class A   19,600     46,827
China Minsheng Banking Corp., Ltd., H Shares (C)   371,400     139,313
China Modern Dairy Holdings, Ltd. (C)   171,000     27,563
China Molybdenum Company, Ltd., H Shares   159,000     81,740
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
China National Accord Medicines Corp., Ltd., Class A   2,100   $ 11,174
China National Building Material Company, Ltd., H Shares   539,450     663,547
China National Chemical Engineering Company, Ltd., Class A   23,400     35,355
China National Medicines Corp, Ltd., Class A   3,200     14,773
China National Nuclear Power Company, Ltd., Class A   99,100     125,984
China New Higher Education Group, Ltd. (B)   88,000     27,742
China Oilfield Services, Ltd., H Shares   182,000     184,919
China Oriental Group Company, Ltd.   164,000     46,434
China Pacific Insurance Group Company, Ltd., H Shares   220,200     532,774
China Petroleum & Chemical Corp., ADR   6,198     306,925
China Petroleum & Chemical Corp., H Shares   1,262,000     627,116
China Railway Group, Ltd., H Shares   338,000     188,256
China Railway Signal & Communication Corp., Ltd., H Shares (B)   166,000     52,658
China Reinsurance Group Corp., H Shares   554,000     50,568
China Resources Double Crane Pharmaceutical Company, Ltd., Class A   6,300     16,850
China Resources Medical Holdings Company, Ltd.   103,000     61,440
China Resources Pharmaceutical Group, Ltd. (B)   195,500     101,370
China Resources Sanjiu Medical & Pharmaceutical Company, Ltd., Class A   5,700     40,662
China Sanjiang Fine Chemicals Company, Ltd.   105,000     23,601
China SCE Group Holdings, Ltd.   229,200     41,206
China Shanshui Cement Group, Ltd. (A)   117,000     34,954
China Shenhua Energy Company, Ltd., H Shares   307,500     978,834
China Shineway Pharmaceutical Group, Ltd.   32,000     25,532
China Silver Group, Ltd. (A)   94,000     7,044
China South Publishing & Media Group Company, Ltd., Class A   14,900     22,214
China Southern Airlines Company, Ltd., H Shares (A)   132,000     76,282
China State Construction Engineering Corp., Ltd., Class A   265,600     226,859
China Sunshine Paper Holdings Company, Ltd. (A)   31,500     9,404
China Taifeng Beddings Holdings, Ltd. (A)(D)   204,000     12,657
China Tower Corp., Ltd., H Shares (B)   3,970,000     444,411
China TransInfo Technology Company, Ltd., Class A   9,500     15,939
China Tungsten And Hightech Materials Company, Ltd., Class A (A)   8,600     15,300
China Vanke Company, Ltd., H Shares   182,692     410,925
China XLX Fertiliser, Ltd.   58,000     55,948
China Yongda Automobiles Services Holdings, Ltd.   101,000     109,117
China Yuhua Education Corp., Ltd. (B)   162,000     36,339
 
  53  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
China ZhengTong Auto Services Holdings, Ltd. (A)   160,000   $ 10,303
China Zheshang Bank Company, Ltd., H Shares   42,000     17,640
China Zhongwang Holdings, Ltd. (A)(D)   196,800     42,208
Chinese Universe Publishing and Media Group Company, Ltd., Class A   6,200     11,001
Chongqing Changan Automobile Company, Ltd., Class A   26,300     46,600
Chongqing Rural Commercial Bank Company, Ltd., H Shares   282,000     110,584
Chow Tai Seng Jewellery Company, Ltd., Class A   3,700     7,877
CIFI Holdings Group Company, Ltd.   358,449     208,894
CITIC Securities Company, Ltd., H Shares   142,025     325,536
CITIC, Ltd.   420,130     464,744
CMGE Technology Group, Ltd. (A)   30,000     8,638
CMST Development Company, Ltd., Class A   21,400     17,989
CNHTC Jinan Truck Company, Ltd., Class A   6,000     11,546
CNOOC Energy Technology & Services, Ltd., Class A   33,000     13,615
COFCO Biotechnology Company, Ltd., Class A   15,200     22,794
Cogobuy Group (A)(B)   74,000     18,666
Colour Life Services Group Company, Ltd. (A)   6,169     481
Consun Pharmaceutical Group, Ltd.   19,000     9,190
COSCO SHIPPING Development Company, Ltd., H Shares   434,000     87,311
COSCO SHIPPING Energy Transportation Company, Ltd., H Shares   168,000     77,654
COSCO SHIPPING Holdings Company, Ltd., H Shares (A)   30,000     51,580
Cosmo Lady China Holdings Company, Ltd. (A)(B)   29,000     1,509
Country Garden Holdings Company, Ltd.   879,155     672,999
CPMC Holdings, Ltd.   76,000     40,052
CSG Holding Company, Ltd., Class A   13,900     16,143
CT Environmental Group, Ltd. (A)(D)   164,000     2,491
CTS International Logistics Corp, Ltd., Class A   8,000     14,697
DaFa Properties Group, Ltd.   27,000     13,390
Dali Foods Group Company, Ltd. (B)   180,500     94,165
Dexin China Holdings Company, Ltd. (A)   66,000     25,348
DHC Software Company, Ltd., Class A   10,800     12,016
Dian Diagnostics Group Company, Ltd., Class A   2,300     10,485
Digital China Information Service Company, Ltd., Class A   7,800     15,304
Dong-E-E-Jiao Company, Ltd., Class A   2,100     11,185
Dongfang Electric Corp., Ltd., H Shares   29,000     32,107
Dongfeng Motor Group Company, Ltd., H Shares   210,000     157,086
Dongxing Securities Company, Ltd., Class A   12,000     18,393
Dongyue Group, Ltd.   87,000     117,863
DouYu International Holdings, Ltd., ADR (A)   3,398     7,068
E-Commodities Holdings, Ltd.   252,000     60,000
E-House China Enterprise Holdings, Ltd.   75,000     8,316
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Everbright Securities Company, Ltd., H Shares (B)   25,600   $ 17,431
Fang Holdings, Ltd., ADR (A)   10     35
Fangda Carbon New Material Company, Ltd., Class A   13,200     17,463
Fangda Special Steel Technology Company, Ltd., Class A   8,800     11,907
FAW Jiefang Group Company, Ltd., Class A   9,300     12,626
Fiberhome Telecommunication Technologies Company, Ltd., Class A   5,000     11,878
FinVolution Group, ADR   6,795     26,976
First Capital Securities Company, Ltd., Class A   18,600     17,118
Fosun International, Ltd.   195,460     211,259
Founder Securities Company, Ltd., Class A   31,500     33,350
Foxconn Industrial Internet Company, Ltd., Class A   49,400     78,847
Fu Shou Yuan International Group, Ltd.   103,000     75,646
Fufeng Group, Ltd. (A)   208,200     82,113
Fujian Star-net Communication Company, Ltd., Class A   5,700     18,195
Fujian Sunner Development Company, Ltd., Class A (A)   6,700     20,859
Gan & Lee Pharmaceuticals Company, Ltd., Class A   2,800     22,996
Gansu Shangfeng Cement Company, Ltd., Class A   8,400     28,854
GDS Holdings, Ltd., Class A (A)   21,200     102,631
GEM Company, Ltd., Class A   25,800     33,842
Gemdale Corp., Class A   16,600     37,378
Genertec Universal Medical Group Company, Ltd. (B)   99,000     64,874
GF Securities Company, Ltd., H Shares   69,200     97,416
Giant Network Group Company, Ltd., Class A   8,000     12,678
Glory Land Company, Ltd. (A)   84,000     2,372
Grand Baoxin Auto Group, Ltd. (A)   219,500     14,482
Grandjoy Holdings Group Company, Ltd., Class A (A)   22,500     16,605
Greatview Aseptic Packaging Company, Ltd.   44,000     12,425
Gree Electric Appliances, Inc. of Zhuhai, Class A   20,300     102,906
Greenland Holdings Corp., Ltd., Class A   35,400     30,036
Greenland Hong Kong Holdings, Ltd.   88,000     19,754
Greentown China Holdings, Ltd.   102,500     185,411
GRG Banking Equipment Company, Ltd., Class A   6,800     11,325
Guangdong Tapai Group Company, Ltd., Class A   13,200     22,822
Guangdong Xinbao Electrical Appliances Holdings Company, Ltd., Class A   5,400     14,139
Guanghui Energy Company, Ltd., Class A (A)   34,100     43,881
Guangshen Railway Company, Ltd., H Shares (A)   211,600     35,755
Guangxi Liugong Machinery Company, Ltd., Class A   12,000     12,237
Guangxi Wuzhou Zhongheng Group Company, Ltd., Class A   44,700     24,355
Guangzhou Automobile Group Company, Ltd., H Shares   184,000     151,722
 
  54  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Guangzhou Baiyunshan Pharmaceutical Holdings Company, Ltd., H Shares   16,000   $ 42,053
Guangzhou Haige Communications Group, Inc. Company, Class A   9,600     15,421
Guangzhou R&F Properties Company, Ltd., H Shares (C)   201,600     71,089
Guangzhou Yuexiu Financial Holdings Group Company, Ltd., Class A   17,000     21,271
Guizhou Panjiang Refined Coal Company, Ltd., Class A   18,700     25,323
Guizhou Xinbang Pharmaceutical Company, Ltd., Class A (A)   10,700     10,900
Guosen Securities Company, Ltd., Class A   35,700     55,745
Guotai Junan Securities Company, Ltd., H Shares (B)   34,600     46,431
Guoyuan Securities Company, Ltd., Class A   17,400     19,539
Haier Smart Home Company, Ltd., H Shares   78,800     251,962
Haitian International Holdings, Ltd.   70,000     180,504
Haitong Securities Company, Ltd., H Shares   188,000     142,863
Hang Zhou Great Star Industrial Company, Ltd., Class A (A)   4,300     11,124
Hangcha Group Company, Ltd., Class A   5,800     12,200
Hangzhou Binjiang Real Estate Group Company, Ltd., Class A   20,300     21,918
Hangzhou Oxygen Plant Group Company, Ltd., Class A   5,100     22,962
Hangzhou Robam Appliances Company, Ltd., Class A   4,400     20,143
Harbin Bank Company, Ltd., H Shares (A)(B)   74,000     7,052
Harbin Electric Company, Ltd., H Shares (A)   84,000     23,746
HBIS Resources Company, Ltd., Class A   4,700     10,652
HC Group, Inc. (A)   98,000     6,576
Heilongjiang Agriculture Company, Ltd., Class A   9,100     21,684
Hello Group, Inc., ADR   17,548     101,427
Henan Shenhuo Coal & Power Company, Ltd., Class A   6,200     13,597
Hengan International Group Company, Ltd.   70,000     322,544
Hengdian Group DMEGC Magnetics Company, Ltd., Class A   10,000     21,187
Hengli Petrochemical Company, Ltd., Class A   35,401     115,464
Hengtong Optic-electric Company, Ltd., Class A   4,800     9,767
Hengyi Petrochemical Company, Ltd., Class A   23,800     31,817
Hesteel Company, Ltd., Class A   54,700     20,449
Hiroca Holdings, Ltd.   8,000     15,304
Hisense Home Appliances Group Company, Ltd., H Shares   39,000     36,816
Hongda Xingye Company, Ltd., Class A   28,900     22,093
Honghua Group, Ltd. (A)   367,000     11,131
Hongta Securities Company, Ltd., Class A   15,496     25,321
Honworld Group, Ltd. (A)(B)(D)   56,000     19,753
Hope Education Group Company, Ltd. (B)   352,000     32,770
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Huadong Medicine Company, Ltd., Class A   4,620   $ 24,223
Huafon Chemical Company, Ltd., Class A   21,100     30,138
Huaibei Mining Holdings Company, Ltd., Class A   10,300     25,575
Huapont Life Sciences Company, Ltd., Class A   10,700     10,310
Huatai Securities Company, Ltd., H Shares (B)   97,000     148,439
Huaxi Securities Company, Ltd., Class A   7,000     9,224
Huaxia Bank Company, Ltd., Class A   65,400     57,156
Huaxin Cement Company, Ltd., Class A   7,100     22,059
Huayu Automotive Systems Company, Ltd., Class A   14,900     46,597
Hubei Biocause Pharmaceutical Company, Ltd., Class A   20,900     10,417
Hubei Jumpcan Pharmaceutical Company, Ltd., Class A   7,400     30,594
Hubei Xingfa Chemicals Group Company, Ltd., Class A   4,100     21,368
Huishang Bank Corp., Ltd., H Shares (A)   63,300     20,532
Humanwell Healthcare Group Company, Ltd., Class A   12,500     33,899
Hunan Valin Steel Company, Ltd., Class A   44,000     37,951
HUYA, Inc., ADR (A)   2,157     9,642
Hytera Communications Corp, Ltd., Class A   14,800     12,456
iDreamSky Technology Holdings, Ltd. (A)(B)   32,000     18,167
Industrial & Commercial Bank of China, Ltd., H Shares   3,497,000     2,143,844
Industrial Bank Company, Ltd., Class A   131,700     426,684
Industrial Securities Company, Ltd., Class A   29,200     35,178
Inke, Ltd. (A)   75,000     14,943
Inner Mongolia BaoTou Steel Union Company, Ltd., Class A (A)   166,200     58,083
Inner Mongolia Dian Tou Energy Corp, Ltd., Class A   8,600     23,414
Inner Mongolia ERDOS Resources Company, Ltd., Class A   4,500     18,082
Inner Mongolia Junzheng Energy & Chemical Industry Group Company, Ltd., Class A   43,700     31,501
Inner Mongolia Xingye Mining Company, Ltd., Class A (A)   13,800     16,422
Inner Mongolia Yitai Coal Company, Ltd., H Shares   25,700     29,896
Inner Mongolia Yuan Xing Energy Company, Ltd., Class A (A)   18,500     28,373
Inspur Electronic Information Industry Company, Ltd., Class A   9,300     39,654
Intco Medical Technology Company, Ltd., Class A   3,200     23,267
JCET Group Company, Ltd., Class A   10,100     38,867
JD.com, Inc., Class A (A)   900     25,573
JH Educational Technology, Inc. (A)   42,000     17,696
Jiangsu Changshu Rural Commercial Bank Company, Ltd., Class A   18,200     22,099
Jiangsu Guotai International Group Company, Ltd., Class A   7,600     11,638
Jiangsu Jiangyin Rural Commercial Bank Company, Ltd., Class A   17,900     12,105
 
  55  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Jiangsu Linyang Energy Company, Ltd., Class A   13,300   $ 17,982
Jiangsu Provincial Agricultural Reclamation and Development Corp.   11,200     24,739
Jiangsu Shagang Company, Ltd., Class A   27,000     23,996
Jiangsu Shuangxing Color Plastic New Materials Company, Ltd., Class A   5,200     13,258
Jiangsu Zhangjiagang Rural Commercial Bank Company, Ltd., Class A   13,900     13,612
Jiangsu Zhongnan Construction Group Company, Ltd., Class A   31,500     21,693
Jiangsu Zhongtian Technology Company, Ltd., Class A   17,400     46,347
Jiangxi Copper Company, Ltd., H Shares   99,000     163,753
Jiangxi Zhengbang Technology Company, Ltd., Class A   14,100     17,058
Jilin Aodong Pharmaceutical Group Company, Ltd., Class A   4,700     13,078
Jingrui Holdings, Ltd. (A)(C)   69,000     14,591
JinkoSolar Holding Company, Ltd., ADR (A)(C)   4,563     220,347
Jinneng Science&Technology Company, Ltd., Class A   8,700     16,978
Jizhong Energy Resources Company, Ltd., Class A   18,200     20,201
JNBY Design, Ltd.   11,000     13,053
Joincare Pharmaceutical Group Industry Company, Ltd., Class A   11,400     21,942
Jointown Pharmaceutical Group Company, Ltd., Class A   7,700     16,092
Juneyao Airlines Company, Ltd., Class A   6,700     14,381
Kaisa Prosperity Holdings, Ltd. (A)   4,000     4,144
Kangda International Environmental Company, Ltd. (A)(B)   140,000     12,460
Kasen International Holdings, Ltd. (A)   119,000     9,478
Keshun Waterproof Technologies Company, Ltd., Class A   10,700     19,471
Kingfa Sci & Tech Company, Ltd., Class A   12,500     19,132
Kingsoft Corp., Ltd.   93,600     298,179
Kunlun Tech Company, Ltd., Class A   3,100     8,187
KWG Group Holdings, Ltd.   154,013     62,919
KWG Living Group Holdings, Ltd.   88,506     32,626
LB Group Company, Ltd., Class A   13,400     48,575
Legend Holdings Corp., H Shares (B)   66,200     82,715
Lenovo Group, Ltd.   182,000     197,153
Lens Technology Company, Ltd., Class A   31,900     58,387
Leo Group Company, Ltd., Class A   58,700     19,250
Lepu Medical Technology Beijing Company, Ltd., Class A   12,600     39,842
LexinFintech Holdings, Ltd., ADR (A)   14,967     39,214
Leyard Optoelectronic Company, Ltd., Class A   9,800     10,926
Liaoning Cheng Da Company, Ltd., Class A   7,000     17,607
Liaoning Port Company, Ltd., H Shares   204,000     18,701
Lier Chemical Company, Ltd., Class A   3,900     17,525
Lingyi iTech Guangdong Company, Class A (A)   40,900     32,597
Livzon Pharmaceutical Group, Inc., H Shares   17,400     62,123
Logan Group Company, Ltd. (C)   166,000     46,825
Longfor Group Holdings, Ltd. (B)   158,500     810,755
Lonking Holdings, Ltd.   277,000     75,309
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Luxi Chemical Group Company, Ltd., Class A   14,600   $ 41,027
Luye Pharma Group, Ltd. (A)(B)   235,000     89,407
Maanshan Iron & Steel Company, Ltd., H Shares   108,000     43,116
Maoyan Entertainment (A)(B)   19,400     16,019
Mayinglong Pharmaceutical Group Company, Ltd., Class A   5,200     18,635
Metallurgical Corp. of China, Ltd., H Shares   185,000     49,649
Ming Yang Smart Energy Group, Ltd., Class A   9,200     31,944
Minth Group, Ltd.   84,000     204,680
MLS Company, Ltd., Class A   9,700     17,583
Monalisa Group Company, Ltd., Class A   6,100     17,129
NanJi E-Commerce Company, Ltd., Class A   28,484     24,331
Nanjing Iron & Steel Company, Ltd., Class A   38,000     21,532
Nanjing Securities Company, Ltd., Class A   15,100     19,476
NavInfo Company, Ltd., Class A (A)   11,700     25,632
NetDragon Websoft Holdings, Ltd.   17,000     35,374
New China Life Insurance Company, Ltd., H Shares   86,800     240,753
New Hope Liuhe Company, Ltd., Class A (A)   16,500     43,969
Newland Digital Technology Company, Ltd., Class A   4,600     12,142
Ningbo Huaxiang Electronic Company, Ltd., Class A   6,500     16,544
Ningbo Joyson Electronic Corp., Class A   8,100     17,924
Ningbo Sanxing Medical Electric Company, Ltd., Class A   4,500     7,771
Ningbo Zhoushan Port Company, Ltd., Class A   17,900     11,055
Ningxia Baofeng Energy Group Company, Ltd., Class A   15,500     36,121
North Industries Group Red Arrow Company, Ltd., Class A (A)   6,800     24,029
Northeast Securities Company, Ltd., Class A   10,520     12,774
NVC International Holdings, Ltd. (A)   267,000     5,286
Offshore Oil Engineering Company, Ltd., Class A   30,700     20,606
OFILM Group Company, Ltd., Class A (A)   9,000     10,054
Orient Securities Company, Ltd., H Shares (B)   42,000     27,274
Pangang Group Vanadium Titanium & Resources Company, Ltd., Class A (A)   42,500     24,915
PCI Technology Group Company, Ltd., Class A   17,100     19,998
Pengdu Agriculture & Animal Husbandry Company, Ltd., Class A (A)   44,000     23,427
Perfect World Company, Ltd., Class A   9,000     18,104
PetroChina Company, Ltd., H Shares   1,992,000     1,011,571
PICC Property & Casualty Company, Ltd., H Shares   548,000     558,026
Ping An Bank Company, Ltd., Class A   90,100     217,385
Ping An Insurance Group Company of China, Ltd., H Shares   482,000     3,369,693
Pingdingshan Tianan Coal Mining Company, Ltd., Class A   15,000     40,478
 
  56  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Postal Savings Bank of China Company, Ltd., H Shares (B)(C)   489,000   $ 393,766
Power Construction Corp. of China, Ltd., Class A   61,800     70,649
Powerlong Real Estate Holdings, Ltd.   178,000     46,617
Q Technology Group Company, Ltd.   37,000     28,320
Qingdao Port International Company, Ltd., H Shares (B)   19,000     9,703
Qingdao Rural Commercial Bank Corp., Class A   34,400     19,114
Qingling Motors Company, Ltd., H Shares   128,000     24,020
Qunxing Paper Holdings Company, Ltd. (A)(D)   634,371     0
Red Star Macalline Group Corp., Ltd., H Shares (A)(B)   62,480     27,863
Redco Properties Group, Ltd. (B)(C)   96,000     29,721
Redsun Properties Group, Ltd. (C)   93,000     30,966
Renhe Pharmacy Company, Ltd., Class A   14,800     18,272
Risen Energy Company, Ltd., Class A   2,800     10,173
RiseSun Real Estate Development Company, Ltd., Class A   16,000     11,224
Ronshine China Holdings, Ltd. (A)(C)   61,500     18,211
SAIC Motor Corp., Ltd., Class A   32,700     87,217
Sailun Group Company, Ltd., Class A   14,200     21,924
Sansteel Minguang Company, Ltd., Class A   16,900     18,996
Sany Heavy Equipment International Holdings Company, Ltd.   99,000     102,524
Sany Heavy Industry Company, Ltd., Class A   52,400     143,881
SDIC Capital Company, Ltd., Class A   14,700     16,264
Sealand Securities Company, Ltd., Class A   25,200     14,813
Seazen Group, Ltd. (A)   251,428     134,201
Seazen Holdings Company, Ltd., Class A   14,800     74,764
Shaanxi Coal Industry Company, Ltd., Class A   59,000     152,700
Shan Xi Hua Yang Group New Energy Company, Ltd., Class A   18,100     34,221
Shandong Bohui Paper Industrial Company, Ltd., Class A   7,000     9,830
Shandong Buchang Pharmaceuticals Company, Ltd., Class A   3,600     13,502
Shandong Chenming Paper Holdings, Ltd., H Shares (C)   41,000     16,197
Shandong Himile Mechanical Science & Technology Company, Ltd., Class A   5,200     15,797
Shandong Hualu Hengsheng Chemical Company, Ltd., Class A   14,600     74,609
Shandong Linglong Tyre Company, Ltd., Class A   8,600     29,807
Shandong Longda Meishi Company, Ltd., Class A   6,800     10,248
Shandong Molong Petroleum Machinery Company, Ltd., H Shares (A)   33,600     15,774
Shandong Nanshan Aluminum Company, Ltd., Class A   48,800     31,072
Shandong Sun Paper Industry JSC, Ltd., Class A   13,600     24,335
Shandong Weigao Group Medical Polymer Company, Ltd., H Shares   252,000     267,653
Shanghai AJ Group Company, Ltd., Class A   21,300     22,037
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Shanghai Bailian Group Company, Ltd., Class A   13,400   $ 22,837
Shanghai Construction Group Company, Ltd., Class A   41,000     21,026
Shanghai Electric Group Company, Ltd., H Shares   158,000     41,431
Shanghai Environment Group Company, Ltd., Class A   11,800     19,658
Shanghai Fosun Pharmaceutical Group Company, Ltd., H Shares   5,000     24,231
Shanghai International Airport Company, Ltd., Class A (A)   2,900     22,366
Shanghai International Port Group Company, Ltd., Class A   44,200     38,011
Shanghai Jin Jiang Capital Company, Ltd., H Shares   244,000     94,818
Shanghai Jinjiang International Hotels Company, Ltd., Class A   3,300     25,707
Shanghai Lingang Holdings Corp, Ltd., Class A   7,000     15,521
Shanghai Lujiazui Finance & Trade Zone Development Company, Ltd., Class A   6,500     11,915
Shanghai Mechanical and Electrical Industry Company, Ltd., Class A   4,400     8,988
Shanghai Pharmaceuticals Holding Company, Ltd., H Shares   75,800     145,544
Shanghai Pudong Development Bank Company, Ltd., Class A   121,600     153,016
Shanghai RAAS Blood Products Company, Ltd., Class A   29,400     27,713
Shanghai Sinyang Semiconductor Materials Company, Ltd., Class A   2,800     15,749
Shanghai Tunnel Engineering Company, Ltd., Class A   24,000     19,982
Shanghai Yuyuan Tourist Mart Group Company, Ltd., Class A   7,000     11,198
Shanghai Zhangjiang High-Tech Park Development Company, Ltd., Class A   13,300     28,635
Shanxi Coking Coal Energy Group Company, Ltd., Class A   22,900     44,715
Shanxi Coking Company, Ltd., Class A   16,400     15,934
Shanxi Lu'an Environmental Energy Development Company, Ltd., Class A   11,400     29,825
Shanxi Taigang Stainless Steel Company, Ltd., Class A   40,100     42,234
Shanying International Holding Company, Ltd., Class A   40,100     19,033
Shengjing Bank Company, Ltd., H Shares (A)(B)   17,500     13,964
Shenguan Holdings Group, Ltd.   90,000     5,365
Shenwan Hongyuan Group Company, Ltd., H Shares (B)   143,200     31,862
Shenzhen Agricultural Products Group Company, Ltd., Class A   22,100     21,529
Shenzhen Airport Company, Ltd., Class A (A)   12,200     13,292
Shenzhen Aisidi Company, Ltd., Class A   13,100     17,664
Shenzhen Desay Battery Technology Company, Class A   2,100     12,074
Shenzhen Everwin Precision Technology Company, Ltd., Class A   6,000     9,256
Shenzhen Gas Corp, Ltd., Class A   17,200     19,263
Shenzhen Huaqiang Industry Company, Ltd., Class A   4,300     8,514
 
  57  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Shenzhen Jinjia Group Company, Ltd., Class A   11,500   $ 24,957
Shenzhen Kaifa Technology Company, Ltd., Class A   8,800     15,662
Shenzhen Kinwong Electronic Company, Ltd., Class A   2,900     10,703
Shenzhen MTC Company, Ltd., Class A (A)   26,800     15,340
Shenzhen Overseas Chinese Town Company, Ltd., Class A   44,000     50,888
Shenzhen Suntak Circuit Technology Company, Ltd., Class A   8,500     16,027
Shenzhen YUTO Packaging Technology Company, Ltd., Class A   2,400     9,843
Shenzhen Zhongjin Lingnan Nonfemet Company, Ltd., Class A   16,500     11,459
Shijiazhuang Yiling Pharmaceutical Company, Ltd., Class A   8,800     46,277
Shui On Land, Ltd.   390,961     59,526
Sichuan Development Lomon Company, Ltd., Class A (A)   12,700     20,881
Sichuan Hebang Biotechnology Company, Ltd., Class A   32,700     18,024
Sichuan Kelun Pharmaceutical Company, Ltd., Class A   11,400     31,044
Sichuan Road & Bridge Company, Ltd., Class A   26,700     43,743
Sihuan Pharmaceutical Holdings Group, Ltd. (C)   177,000     35,051
Sinolink Securities Company, Ltd., Class A   14,300     21,557
Sino-Ocean Group Holding, Ltd.   333,973     70,626
Sinopec Engineering Group Company, Ltd., H Shares   129,000     65,715
Sinopec Shanghai Petrochemical Company, Ltd., H Shares   300,000     62,159
Sinopharm Group Company, Ltd., H Shares   156,800     355,944
Sinosoft Technology Group, Ltd.   104,000     7,641
Sinotrans, Ltd., H Shares   242,000     75,142
Sinotruk Hong Kong, Ltd.   85,500     129,852
Skyfame Realty Holdings, Ltd.   286,000     25,568
SOHO China, Ltd. (A)   247,000     47,695
SooChow Securities Company, Ltd., Class A   19,110     22,462
Southwest Securities Company, Ltd., Class A   28,700     19,606
Suning Universal Company, Ltd., Class A (A)   15,000     10,512
Suning.com Company, Ltd., Class A (A)   26,300     14,270
Sunshine 100 China Holdings, Ltd. (A)(B)   77,000     3,660
Suzhou Anjie Technology Company, Ltd., Class A   7,300     14,136
Suzhou Dongshan Precision Manufacturing Company, Ltd., Class A   11,700     34,204
Suzhou Gold Mantis Construction Decoration Company, Ltd., Class A   21,200     18,212
Tangshan Jidong Cement Company, Ltd., Class A   11,000     20,691
TangShan Port Group Company, Ltd., Class A   52,100     24,404
Tangshan Sanyou Chemical Industries Company, Ltd., Class A   14,700     18,511
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
TBEA Company, Ltd., Class A   22,600   $ 72,033
TCL Technology Group Corp., Class A   98,900     76,155
Ten Pao Group Holdings, Ltd.   80,000     18,534
Tencent Music Entertainment Group, ADR (A)   44,713     217,752
Tenwow International Holdings, Ltd. (A)(D)   121,000     4,402
The People's Insurance Company Group of China, Ltd., H Shares   514,000     167,705
Tian Di Science & Technology Company, Ltd., Class A   33,600     25,919
Tian Ge Interactive Holdings, Ltd. (A)(B)   44,000     4,525
Tiangong International Company, Ltd.   108,000     43,823
Tianjin Capital Environmental Protection Group Company, Ltd., H Shares   24,000     10,200
Tianjin Chase Sun Pharmaceutical Company, Ltd., Class A   20,700     25,885
Tianjin Guangyu Development Company, Ltd., Class A   7,500     20,061
Tianli Education International Holdings, Ltd.   150,000     14,582
Tianma Microelectronics Company, Ltd., Class A   10,200     16,724
Tianneng Power International, Ltd. (C)   78,000     66,641
Tianyun International Holdings, Ltd. (A)   54,000     10,509
Times China Holdings, Ltd.   28,000     9,262
Tingyi Cayman Islands Holding Corp.   18,000     30,183
Tong Ren Tang Technologies Company, Ltd., H Shares   62,000     52,516
Tongcheng Travel Holdings, Ltd. (A)   74,000     130,392
TongFu Microelectronics Company, Ltd., Class A   7,500     19,468
Tongkun Group Company, Ltd., Class A   12,900     35,347
Tongling Nonferrous Metals Group Company, Ltd., Class A   72,500     42,184
Topsec Technologies Group, Inc., Class A   7,000     12,417
Transfar Zhilian Company, Ltd., Class A   16,500     16,332
TravelSky Technology, Ltd., H Shares   32,000     45,905
Trigiant Group, Ltd. (A)   158,000     9,534
Trip.com Group, Ltd. (A)(C)   750     17,509
Trip.com Group, Ltd., ADR (A)   35,226     814,425
Uni-President China Holdings, Ltd.   120,000     104,135
Unisplendour Corp., Ltd., Class A   11,600     35,589
Universal Scientific Industrial Shanghai Company, Ltd., Class A   10,400     19,753
Valiant Company, Ltd., Class A   3,500     9,941
Viomi Technology Company, Ltd., ADR (A)   4,620     8,039
Vipshop Holdings, Ltd., ADR (A)   43,158     388,422
Virscend Education Company, Ltd. (B)(C)(D)   59,000     3,118
VNET Group, Inc., ADR (A)   4,419     25,763
Wangsu Science & Technology Company, Ltd., Class A   23,700     22,170
Want Want China Holdings, Ltd.   58,000     53,519
Wanxiang Qianchao Company, Ltd., Class A   23,700     20,203
Wasu Media Holding Company, Ltd., Class A   8,900     11,317
Weibo Corp., ADR (A)   540     13,235
Weichai Power Company, Ltd., H Shares   193,000     302,508
Weifu High-Technology Group Company, Ltd., Class A   4,400     13,711
 
  58  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Weiqiao Textile Company, H Shares   73,500   $ 21,652
Wens Foodstuffs Group Company, Ltd., Class A   15,000     52,000
West China Cement, Ltd.   298,000     47,317
Western Securities Company, Ltd., Class A   28,800     32,689
Wisdom Education International Holdings Company, Ltd.   122,000     4,595
Wolong Electric Group Company, Ltd., Class A   10,400     21,371
Wuchan Zhongda Group Company, Ltd., Class A   41,000     34,349
Wuxi Taiji Industry Company, Ltd., Class A   16,400     18,506
XCMG Construction Machinery Company, Ltd., Class A   26,000     21,037
Xiabuxiabu Catering Management China Holdings Company, Ltd. (A)(B)   62,500     31,325
Xiamen C & D, Inc., Class A   9,700     19,385
Xiamen International Port Company, Ltd., H Shares   260,000     27,685
Xiamen ITG Group Corp, Ltd., Class A   18,100     22,003
Xiamen Tungsten Company, Ltd., Class A   6,100     17,699
Xiamen Xiangyu Company, Ltd., Class A   17,400     24,058
Xinfengming Group Company, Ltd., Class A   8,700     15,743
Xingda International Holdings, Ltd.   147,515     26,604
Xingfa Aluminium Holdings, Ltd.   29,000     39,067
Xinhua Winshare Publishing and Media Company, Ltd., H Shares   51,000     36,917
Xinjiang Goldwind Science & Technology Company, Ltd., H Shares (C)   47,000     70,387
Xinjiang Zhongtai Chemical Company, Ltd., Class A   8,100     11,496
Xinte Energy Company, Ltd., H Shares   14,400     34,860
Xinxing Ductile Iron Pipes Company, Ltd., Class A   33,500     26,275
Xinyangfeng Agricultural Technology Company, Ltd., Class A   5,900     15,911
Xinyu Iron & Steel Company, Ltd., Class A   24,700     21,891
Xuji Electric Company, Ltd., Class A   5,200     15,524
Yangtze Optical Fibre and Cable Joint Stock Company, Ltd., H Shares (B)   15,500     21,245
Yankuang Energy Group Company, Ltd., H Shares   126,000     372,543
Yantai Jereh Oilfield Services Group Company, Ltd., Class A   2,300     15,153
YiChang HEC ChangJiang Pharmaceutical Company, Ltd., H Shares (A)(B)(C)   33,400     20,583
Yifan Pharmaceutical Company, Ltd., Class A   5,200     12,174
Yintai Gold Company, Ltd., Class A   9,100     13,355
Yiren Digital, Ltd., ADR (A)   7,156     18,176
Yixintang Pharmaceutical Group Company, Ltd., Class A   2,200     8,213
Yonghui Superstores Company, Ltd., Class A   33,100     21,978
Youngor Group Company, Ltd., Class A   10,400     11,089
YTO Express Group Company, Ltd., Class A   14,800     40,123
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Yum China Holdings, Inc.   10,679   $ 443,606
Yunda Holding Company, Ltd., Class A   10,700     29,572
Yunnan Aluminium Company, Ltd., Class A (A)   16,200     34,539
Yunnan Baiyao Group Company, Ltd., Class A   4,400     56,566
Yunnan Copper Company, Ltd., Class A   10,000     17,588
Yunnan Tin Company, Ltd., Class A (A)   5,500     18,059
Yutong Bus Company, Ltd., Class A   11,900     15,734
Yuzhou Group Holdings Company, Ltd.   341,376     17,503
Zepp Health Corp., ADR   2,968     8,548
Zhaojin Mining Industry Company, Ltd., H Shares   122,500     107,876
Zhejiang Century Huatong Group Company, Ltd., Class A (A)   30,600     30,112
Zhejiang China Commodities City Group Company, Ltd., Class A   28,122     22,210
Zhejiang Chint Electrics Company, Ltd., Class A   11,000     68,123
Zhejiang Dahua Technology Company, Ltd., Class A   14,900     38,657
Zhejiang Glass Company, Ltd., H Shares (A)(D)   162,000     0
Zhejiang Hailiang Company, Ltd., Class A   6,500     10,744
Zhejiang Hisoar Pharmaceutical Company, Ltd., Class A   12,100     13,740
Zhejiang Huace Film & Television Company, Ltd., Class A   11,400     9,088
Zhejiang Jiahua Energy Chemical Industry Company, Ltd., Class A   8,500     13,406
Zhejiang JIULI Hi-tech Metals Company, Ltd., Class A   6,300     14,547
Zhejiang Juhua Company, Ltd., Class A   8,900     18,215
Zhejiang Longsheng Group Company, Ltd., Class A   17,400     29,773
Zhejiang NHU Company, Ltd., Class A   12,000     59,659
Zhejiang Semir Garment Company, Ltd., Class A   15,300     16,338
Zhejiang Wanliyang Company, Ltd., Class A   6,300     7,498
Zhejiang Xianju Pharmaceutical Company, Ltd., Class A   10,900     17,807
Zhejiang Xinan Chemical Industrial Group Company, Ltd., Class A   4,900     20,146
Zhengzhou Coal Mining Machinery Group Company, Ltd., H Shares (C)   25,400     27,957
Zheshang Securities Company, Ltd., Class A   10,800     17,803
Zhong An Group, Ltd. (A)   409,000     15,333
Zhongji Innolight Company, Ltd., Class A   4,900     24,292
Zhongjin Gold Corp, Ltd., Class A   31,200     38,784
Zhongshan Broad Ocean Motor Company, Ltd., Class A   20,000     19,027
Zhou Hei Ya International Holdings Company, Ltd. (A)(B)   58,000     31,650
Zhuhai Huafa Properties Company, Ltd., Class A   26,900     30,574
Zhuzhou CRRC Times Electric Company, Ltd.   35,300     136,673
Zhuzhou Kibing Group Company, Ltd., Class A   18,700     38,777
Zibo Qixiang Tengda Chemical Company, Ltd., Class A   11,900     15,909
 
  59  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Zoomlion Heavy Industry Science and Technology Company, Ltd., H Shares   135,200   $ 85,357
ZTE Corp., H Shares   62,400     126,401
ZTO Express Cayman, Inc., ADR   7,597     189,925
          59,099,352
Colombia - 0.1%          
Cementos Argos SA   24,726     40,828
Grupo Argos SA   33,112     121,811
          162,639
Czech Republic - 0.1%          
CEZ AS   1,992     83,551
Komercni banka AS   5,968     231,044
          314,595
Greece - 0.2%          
Alpha Services and Holdings SA (A)   98,073     120,400
Bank of Greece   667     13,171
Eurobank Ergasias Services and Holdings SA (A)   158,083     184,943
Fourlis Holdings SA (A)   3,756     15,267
Hellenic Petroleum Holdings SA   4,654     37,819
Motor Oil Hellas Corinth Refineries SA   3,190     49,536
Mytilineos SA   1,367     22,384
National Bank of Greece SA (A)   38,302     141,080
Piraeus Financial Holdings SA (A)   10,904     16,965
          601,565
Hong Kong - 4.3%          
AAG Energy Holdings, Ltd. (B)   68,000     10,867
Ajisen China Holdings, Ltd.   147,000     21,394
Anxin-China Holdings, Ltd. (A)(D)   1,648,000     0
APT Satellite Holdings, Ltd.   28,000     8,467
Asian Citrus Holdings, Ltd. (A)   249,000     3,953
Beijing Energy International Holding Company, Ltd. (A)   814,000     25,829
Beijing Enterprises Clean Energy Group, Ltd. (A)   600,000     5,723
Beijing Enterprises Holdings, Ltd.   63,500     200,400
Beijing Enterprises Water Group, Ltd.   532,000     162,763
Brilliance China Automotive Holdings, Ltd. (A)(D)   216,000     55,356
C C Land Holdings, Ltd.   125,126     30,206
C&D International Investment Group, Ltd.   15,260     33,248
CECEP COSTIN New Materials Group, Ltd. (A)(D)   348,000     0
CGN New Energy Holdings Company, Ltd.   150,000     65,247
China Aerospace International Holdings, Ltd.   190,000     12,545
China Aircraft Leasing Group Holdings, Ltd. (C)   23,000     15,934
China Boton Group Company, Ltd. (A)(C)   20,000     8,181
China Education Group Holdings, Ltd.   36,000     30,976
China Everbright Greentech, Ltd. (B)(C)   114,000     32,872
China Everbright, Ltd.   76,000     74,776
China Fiber Optic Network System Group, Ltd. (A)(D)   150,800     5,390
China Foods, Ltd.   74,000     25,504
China Gas Holdings, Ltd.   254,000     323,744
China High Precision Automation Group, Ltd. (A)(D)   18,000     2,137
China High Speed Transmission Equipment Group Company, Ltd. (A)   45,000     27,145
China Jinmao Holdings Group, Ltd.   500,000     147,485
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
China Longevity Group Company, Ltd. (A)(D)   93,000   $ 4,880
China Lumena New Materials Corp. (A)(C)(D)   50,900     0
China Merchants Land, Ltd. (A)   260,000     24,050
China Merchants Port Holdings Company, Ltd.   72,622     130,791
China New Town Development Company, Ltd. (A)   300,165     3,293
China Oil & Gas Group, Ltd. (A)   600,000     27,800
China Overseas Grand Oceans Group, Ltd.   191,500     111,201
China Overseas Land & Investment, Ltd.   380,000     1,130,777
China Resources Cement Holdings, Ltd.   282,000     233,765
China Resources Gas Group, Ltd.   86,000     361,963
China Resources Land, Ltd.   344,000     1,592,770
China South City Holdings, Ltd.   498,000     43,493
China Taiping Insurance Holdings Company, Ltd.   178,600     216,637
China Traditional Chinese Medicine Holdings Company, Ltd.   336,000     174,471
China Travel International Investment Hong Kong, Ltd. (A)   314,000     59,327
China Vast Industrial Urban Development Company, Ltd. (B)   36,000     7,888
Chu Kong Shipping Enterprises Group Company, Ltd.   26,000     3,166
CIMC Enric Holdings, Ltd. (C)   70,000     86,535
CITIC Resources Holdings, Ltd. (A)   488,000     32,686
Concord New Energy Group, Ltd.   690,000     63,838
COSCO SHIPPING International Hong Kong Company, Ltd.   59,625     18,280
COSCO SHIPPING Ports, Ltd.   162,371     125,829
Dawnrays Pharmaceutical Holdings, Ltd.   117,000     19,333
Digital China Holdings, Ltd.   73,000     35,406
Far East Horizon, Ltd.   183,000     163,168
GCL-Poly Energy Holdings, Ltd. (A)   927,000     313,195
Geely Automobile Holdings, Ltd.   490,000     759,019
Gemdale Properties & Investment Corp., Ltd.   778,000     82,895
Glorious Property Holdings, Ltd. (A)   88,000     2,221
Glory Sun Financial Group, Ltd. (A)   612,000     9,777
Goldlion Holdings, Ltd.   36,000     7,292
Goldpac Group, Ltd.   46,000     12,526
Grand Pharmaceutical Group, Ltd.   86,000     60,653
Health & Happiness H&H International Holdings, Ltd.   24,500     34,260
Hi Sun Technology China, Ltd. (A)   240,000     30,145
Hopson Development Holdings, Ltd. (C)   91,460     172,858
Hua Han Health Industry Holdings, Ltd. (A)(D)   880,000     23,816
IMAX China Holding, Inc. (B)   7,000     8,370
Jiayuan International Group, Ltd.   111,625     22,345
Jinmao Property Services Company, Ltd. (A)   7,552     4,782
Joy City Property, Ltd.   328,000     13,316
Ju Teng International Holdings, Ltd.   130,000     21,665
Kingboard Holdings, Ltd.   77,130     372,009
Kingboard Laminates Holdings, Ltd.   103,500     168,666
Kunlun Energy Company, Ltd.   380,000     328,410
Lee & Man Paper Manufacturing, Ltd.   129,000     66,931
Lee's Pharmaceutical Holdings, Ltd.   54,000     16,529
Lifestyle China Group, Ltd. (A)   42,000     4,482
LVGEM China Real Estate Investment Company, Ltd. (A)(C)   60,000     6,621
 
  60  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
Min Xin Holdings, Ltd.   24,000   $ 10,704
Mingyuan Medicare Development Company, Ltd. (A)(D)   1,300,000     0
Minmetals Land, Ltd.   118,000     11,509
New World Department Store China, Ltd. (A)   34,000     4,714
Nine Dragons Paper Holdings, Ltd.   185,000     160,644
Overseas Chinese Town Asia Holdings, Ltd. (A)   52,000     7,598
PAX Global Technology, Ltd.   84,000     68,649
Poly Property Group Company, Ltd.   266,453     67,251
Pou Sheng International Holdings, Ltd. (A)   223,000     25,376
Prinx Chengshan Holdings, Ltd.   18,000     17,095
Shanghai Industrial Holdings, Ltd.   37,000     55,506
Shanghai Industrial Urban Development Group, Ltd.   359,400     32,329
Shenzhen International Holdings, Ltd.   135,199     142,206
Shenzhen Investment, Ltd.   373,271     82,961
Shimao Group Holdings, Ltd.   150,000     83,743
Shoucheng Holdings, Ltd.   128,000     18,881
Shougang Fushan Resources Group, Ltd.   272,565     106,366
Silver Grant International Holdings Group, Ltd. (A)   160,000     8,780
Sinofert Holdings, Ltd. (A)   300,000     50,649
Sinopec Kantons Holdings, Ltd.   124,000     42,812
Skyworth Group, Ltd. (A)   175,190     89,141
SSY Group, Ltd.   182,000     81,626
Sun Art Retail Group, Ltd.   22,500     8,133
Symphony Holdings, Ltd.   20,000     2,680
TCL Electronics Holdings, Ltd. (A)   114,600     48,641
The Wharf Holdings, Ltd.   99,000     301,544
Tian An China Investment Company, Ltd.   54,000     26,998
Tianjin Port Development Holdings, Ltd.   478,000     38,348
Tomson Group, Ltd.   45,714     11,144
Tongda Group Holdings, Ltd. (A)   885,000     18,498
Truly International Holdings, Ltd.   88,000     24,694
United Energy Group, Ltd.   542,000     62,009
Vinda International Holdings, Ltd.   39,000     88,050
Wasion Holdings, Ltd.   90,000     32,153
Yuexiu Property Company, Ltd.   165,908     164,183
          10,539,887
Hungary - 0.2%          
MOL Hungarian Oil & Gas PLC   53,879     473,402
OTP Bank NYRT (A)   1,008     36,568
          509,970
India - 14.0%          
ACC, Ltd.   5,847     165,073
Adani Enterprises, Ltd.   2,169     57,364
Adani Green Energy, Ltd. (A)   3,790     95,846
Adani Total Gas, Ltd.   1,936     54,528
Adani Transmission, Ltd. (A)   9,644     299,320
Aditya Birla Capital, Ltd. (A)   55,560     78,156
Alembic Pharmaceuticals, Ltd.   4,559     44,432
Allcargo Logistics, Ltd.   10,467     48,997
Amara Raja Batteries, Ltd.   4,664     32,826
Ambuja Cements, Ltd.   55,925     219,700
Andhra Sugars, Ltd.   6,880     13,723
Apar Industries, Ltd.   1,121     9,518
Apollo Tyres, Ltd.   28,578     71,599
Arvind Fashions, Ltd. (A)   4,879     18,236
Arvind, Ltd. (A)   12,009     18,169
Aster DM Healthcare, Ltd. (A)(B)   8,448     21,831
Astra Microwave Products, Ltd.   3,553     10,449
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
Aurobindo Pharma, Ltd.   33,905   $ 298,000
Axis Bank, Ltd. (A)   172,581     1,720,002
Axis Bank, Ltd., GDR (A)   310     15,339
Bajaj Holdings & Investment, Ltd.   3,104     208,425
Balmer Lawrie & Company, Ltd.   11,041     16,374
Balrampur Chini Mills, Ltd.   17,968     115,230
Bandhan Bank, Ltd. (B)   32,073     128,582
Bank of Baroda (A)   88,922     129,779
Bank of India (A)   19,819     11,898
BEML, Ltd.   1,822     43,147
Bharat Dynamics, Ltd.   1,195     8,524
Bharat Electronics, Ltd.   59,808     165,637
Bharat Heavy Electricals, Ltd. (A)   72,839     47,075
Birla Corp., Ltd.   2,709     41,970
Birlasoft, Ltd.   4,632     27,544
Bombay Burmah Trading Company   1,557     17,600
Brigade Enterprises, Ltd.   7,312     49,097
BSE, Ltd.   2,172     26,796
Can Fin Homes, Ltd.   2,623     21,720
Canara Bank (A)   21,738     64,933
Ceat, Ltd.   2,623     32,301
Century Enka, Ltd.   1,383     10,077
Century Textiles & Industries, Ltd.   2,062     22,943
Chambal Fertilizers & Chemicals, Ltd.   19,376     106,818
Chennai Super Kings Cricket, Ltd. (A)(D)   207,315     6,156
Cholamandalam Financial Holdings, Ltd.   7,288     59,192
Cipla, Ltd.   35,701     478,754
City Union Bank, Ltd.   27,005     46,003
Cochin Shipyard, Ltd. (B)   2,163     8,356
Container Corp. of India, Ltd.   14,589     128,412
Cosmo Films, Ltd.   1,053     23,890
CreditAccess Grameen, Ltd. (A)   1,190     13,153
CSB Bank, Ltd. (A)   2,395     6,659
Cyient, Ltd.   5,147     62,595
Dalmia Bharat, Ltd.   3,913     76,753
DB Corp., Ltd.   6,129     6,865
DCB Bank, Ltd. (A)   23,624     21,474
DCM Shriram, Ltd.   3,740     55,427
Deepak Fertilisers & Petrochemicals Corp., Ltd.   2,609     19,131
Delta Corp., Ltd.   4,521     19,493
Dhampur Sugar Mills, Ltd.   2,503     17,496
Dilip Buildcon, Ltd. (B)   1,316     4,152
Dish TV India, Ltd. (A)   48,852     10,540
Dishman Carbogen Amcis, Ltd. (A)   5,361     12,977
DLF, Ltd.   40,228     200,221
Edelweiss Financial Services, Ltd.   46,814     35,706
EID Parry India, Ltd.   12,265     73,371
Electrosteel Castings, Ltd.   35,427     18,361
Engineers India, Ltd.   11,471     9,604
Equitas Small Finance Bank, Ltd. (A)(B)   13,945     9,357
Exide Industries, Ltd.   26,285     52,085
FDC, Ltd. (A)   2,601     8,757
Federal Bank, Ltd.   191,615     244,689
Filatex India, Ltd.   12,883     21,315
Finolex Cables, Ltd.   3,327     16,438
Finolex Industries, Ltd.   25,360     50,888
Firstsource Solutions, Ltd.   16,189     26,505
Fortis Healthcare, Ltd. (A)   12,995     49,360
Gabriel India, Ltd.   6,164     9,028
GAIL India, Ltd.   193,496     396,472
General Insurance Corp. of India (A)(B)   8,025     12,007
GHCL, Ltd.   6,390     45,437
Glenmark Pharmaceuticals, Ltd.   13,855     80,397
 
  61  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
Godawari Power & Ispat, Ltd.   4,899   $ 24,793
Godfrey Phillips India, Ltd.   603     8,009
Godrej Industries, Ltd. (A)   2,755     16,926
Granules India, Ltd.   18,738     75,453
Graphite India, Ltd.   3,611     23,727
Grasim Industries, Ltd.   23,906     523,984
Gujarat Alkalies & Chemicals, Ltd.   3,130     36,719
Gujarat Ambuja Exports, Ltd.   15,820     53,609
Gujarat Fluorochemicals, Ltd.   3,296     119,727
Gujarat Narmada Valley Fertilizers & Chemicals, Ltd.   10,255     113,324
Gujarat Pipavav Port, Ltd.   15,449     15,510
Gujarat State Fertilizers & Chemicals, Ltd.   6,962     14,792
Gujarat State Petronet, Ltd.   26,721     90,335
Hathway Cable & Datacom, Ltd. (A)   35,580     8,113
Hero MotoCorp, Ltd.   4,136     124,281
HIL, Ltd.   308     15,962
Himadri Speciality Chemical, Ltd.   24,869     24,195
Hindalco Industries, Ltd.   148,861     1,114,106
Hinduja Global Solutions, Ltd.   418     5,610
Hindustan Aeronautics, Ltd.   1,878     36,824
Housing Development Finance Corp., Ltd.   22,574     704,222
ICICI Bank, Ltd.   196,478     1,875,029
ICICI Bank, Ltd., ADR   8,648     163,793
IDFC First Bank, Ltd. (A)   126,067     65,338
IDFC, Ltd. (A)   92,305     74,956
IIFL Finance, Ltd.   8,155     30,522
IIFL Securities, Ltd.   28,932     33,875
Indiabulls Housing Finance, Ltd.   33,338     68,516
Indiabulls Real Estate, Ltd. (A)   28,092     37,127
Indian Bank   13,953     28,068
Indian Overseas Bank (A)   71,034     16,832
Indo Count Industries, Ltd.   3,259     6,755
Indus Towers, Ltd. (A)   39,159     114,204
IndusInd Bank, Ltd.   26,682     326,646
Infibeam Avenues, Ltd.   35,348     8,966
Info Edge India, Ltd.   992     58,644
IOL Chemicals and Pharmaceuticals, Ltd.   1,292     5,991
IRCON International, Ltd. (B)   17,211     9,000
Jagran Prakashan, Ltd. (A)   12,700     10,778
Jindal Poly Films, Ltd.   1,066     15,509
Jindal Saw, Ltd.   29,627     34,941
Jindal Stainless Hisar, Ltd. (A)   4,742     24,215
Jindal Stainless, Ltd. (A)   11,232     29,774
Jindal Steel & Power, Ltd.   52,794     366,146
JK Lakshmi Cement, Ltd.   2,089     13,000
JK Paper, Ltd.   7,330     29,238
JK Tyre & Industries, Ltd.   8,887     13,717
JM Financial, Ltd.   33,116     29,391
JSW Energy, Ltd.   35,363     140,618
JSW Steel, Ltd.   84,341     811,254
Jubilant Ingrevia, Ltd.   7,136     41,973
Jubilant Pharmova, Ltd.   11,603     59,181
Jyothy Labs, Ltd.   5,194     10,051
Kalpataru Power Transmission, Ltd.   9,196     44,291
Kalyani Steels, Ltd.   2,643     10,260
Kaveri Seed Company, Ltd.   1,661     11,929
KEC International, Ltd.   3,954     19,713
Kiri Industries, Ltd. (A)   2,637     16,963
Kirloskar Oil Engines, Ltd.   3,612     6,217
Kolte-Patil Developers, Ltd. (A)   3,028     11,185
KPIT Technologies, Ltd.   13,384     105,192
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
KPR Mill, Ltd.   12,078   $ 99,210
KRBL, Ltd.   2,618     6,899
L&T Finance Holdings, Ltd. (A)   74,021     77,789
Larsen & Toubro, Ltd.   51,797     1,201,347
LG Balakrishnan & Bros, Ltd.   1,757     12,350
LIC Housing Finance, Ltd.   39,247     184,438
LT Foods, Ltd.   11,217     11,505
Lupin, Ltd.   23,401     231,029
Maharashtra Scooters, Ltd.   47     2,272
Maharashtra Seamless, Ltd.   4,212     30,432
Mahindra & Mahindra Financial Services, Ltd.   59,708     123,892
Mahindra & Mahindra, Ltd.   70,868     752,668
Mahindra CIE Automotive, Ltd. (A)   17,673     39,382
Mahindra Lifespace Developers, Ltd. (A)   10,389     53,799
Maithan Alloys, Ltd.   902     15,683
Manappuram Finance, Ltd.   27,778     41,388
Max Healthcare Institute, Ltd. (A)   12,308     56,168
Mishra Dhatu Nigam, Ltd. (B)   4,126     8,999
MOIL, Ltd.   12,580     30,505
Mphasis, Ltd.   3,369     149,193
MRF, Ltd.   146     124,758
National Aluminium Company, Ltd.   84,797     135,683
Nava Bharat Ventures, Ltd.   8,719     16,135
Navneet Education, Ltd.   6,921     8,113
NCC, Ltd.   25,675     19,675
NESCO, Ltd.   1,859     13,444
NIIT, Ltd.   6,437     52,468
Nilkamal, Ltd.   695     18,439
NMDC, Ltd.   47,542     101,083
NOCIL, Ltd.   7,663     25,268
Oberoi Realty, Ltd. (A)   6,103     75,283
Omaxe, Ltd. (A)   5,567     5,777
Orient Cement, Ltd.   11,282     20,990
PCBL, Ltd.   7,735     23,208
Persistent Systems, Ltd.   4,133     258,151
Petronet LNG, Ltd.   68,687     175,054
Piramal Enterprises, Ltd.   7,847     224,905
PNB Housing Finance, Ltd. (A)(B)   3,409     16,802
PNC Infratech, Ltd.   5,394     18,450
Polyplex Corp., Ltd.   2,563     81,134
Power Finance Corp., Ltd.   90,707     134,028
Prestige Estates Projects, Ltd.   20,468     131,582
Pricol, Ltd. (A)   6,161     10,522
PTC India, Ltd.   31,315     33,747
Punjab National Bank (A)   97,317     44,787
Quess Corp., Ltd. (B)   1,882     16,271
Rain Industries, Ltd.   22,684     57,250
Rajesh Exports, Ltd.   8,931     80,638
Rallis India, Ltd.   6,940     21,676
Ramco Industries, Ltd. (A)   4,270     11,806
Ramkrishna Forgings, Ltd.   5,365     11,067
Rashtriya Chemicals & Fertilizers, Ltd.   10,276     12,021
Raymond, Ltd. (A)   2,380     26,807
RBL Bank, Ltd. (A)(B)   21,550     36,700
REC, Ltd.   89,160     144,349
Redington India, Ltd.   76,545     145,375
Reliance Industries, Ltd.   20,863     721,943
Reliance Industries, Ltd., GDR (B)   87,194     5,981,848
Reliance Power, Ltd. (A)   121,528     21,562
RITES, Ltd.   3,302     11,272
RPSG Ventures, Ltd. (A)   849     6,582
Sangam India, Ltd.   1,995     6,868
Sharda Cropchem, Ltd.   2,311     18,645
Shipping Corp. of India, Ltd.   14,077     21,441
 
  62  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
Shriram City Union Finance, Ltd.   2,480   $ 52,756
Shriram Transport Finance Company, Ltd.   13,889     206,088
Siyaram Silk Mills, Ltd.   1,656     9,104
Sobha, Ltd.   4,273     39,407
State Bank of India   114,368     738,540
State Bank of India, GDR   2,534     161,254
Steel Authority of India, Ltd.   106,244     136,857
Strides Pharma Science, Ltd.   2,675     12,151
Sun Pharmaceutical Industries, Ltd.   54,244     652,353
Sun TV Network, Ltd.   7,964     51,202
Sundaram Finance, Ltd.   276     7,039
Sundaram-Clayton, Ltd.   444     20,815
Sutlej Textiles & Industries, Ltd.   9,372     8,843
Tata Chemicals, Ltd.   13,942     178,685
Tata Coffee, Ltd.   3,872     10,990
Tata Consumer Products, Ltd.   31,789     324,753
Tata Motors, Ltd. (A)   206,227     1,166,236
Tata Steel, Ltd.   58,310     997,766
Tech Mahindra, Ltd.   2,464     48,497
Techno Electric & Engineering Company, Ltd.   7,028     22,842
The Great Eastern Shipping Company, Ltd.   12,279     55,992
The India Cements, Ltd.   20,619     56,224
The Jammu & Kashmir Bank, Ltd. (A)   20,576     8,670
The Karnataka Bank, Ltd.   33,585     24,421
The Karur Vysya Bank, Ltd.   24,026     14,646
The Ramco Cements, Ltd. (A)   2,285     23,133
The South Indian Bank, Ltd. (A)   134,442     13,324
Thirumalai Chemicals, Ltd.   3,185     11,054
Time Technoplast, Ltd.   13,461     11,280
Transport Corp. of India, Ltd.   3,182     25,050
Trident, Ltd.   139,989     97,539
Triveni Engineering & Industries, Ltd.   5,573     22,789
TV Today Network, Ltd.   1,470     7,185
TV18 Broadcast, Ltd. (A)   57,635     56,027
Uflex, Ltd.   5,261     41,937
Unichem Laboratories, Ltd.   4,453     15,160
Union Bank of India (A)   16,757     8,471
UPL, Ltd.   42,377     427,408
Usha Martin, Ltd. (A)   9,317     16,405
VA Tech Wabag, Ltd. (A)   3,621     13,304
Vardhman Textiles, Ltd.   16,115     92,683
Vedanta, Ltd.   43,705     231,034
Vodafone Idea, Ltd. (A)   275,824     34,764
Welspun Corp., Ltd.   14,025     30,615
Welspun Enterprises, Ltd.   9,451     9,031
Welspun India, Ltd.   27,184     32,412
West Coast Paper Mills, Ltd.   3,023     13,152
Wipro, Ltd.   94,140     733,694
Wockhardt, Ltd. (A)   5,480     15,234
Yes Bank, Ltd. (A)   49,153     7,906
Yes Bank, Ltd., Lock-In Shares (A)(E)   147,461     20,975
Zee Entertainment Enterprises, Ltd.   58,412     220,398
Zee Media Corp., Ltd. (A)   54,429     11,851
Zensar Technologies, Ltd.   2,317     11,135
Zydus Wellnes, Ltd.   386     7,642
          34,478,351
Indonesia - 1.8%          
Adaro Energy Indonesia Tbk PT   1,772,000     330,728
Adhi Karya Persero Tbk PT (A)   235,600     12,122
AKR Corporindo Tbk PT   761,500     48,137
Alam Sutera Realty Tbk PT (A)   1,741,800     20,600
Aneka Tambang Tbk   156,200     26,453
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Indonesia (continued)          
Astra Agro Lestari Tbk PT   49,555   $ 43,212
Astra International Tbk PT   1,140,800     521,669
Bakrie Telecom Tbk PT (A)(D)   17,557,300     30,561
Bank Capital Indonesia Tbk PT (A)   638,900     8,977
Bank Mandiri Persero Tbk PT   960,140     526,601
Bank Negara Indonesia Persero Tbk PT   548,981     313,656
Bank Pan Indonesia Tbk PT (A)   695,197     36,782
Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT   303,812     32,248
Bank Pembangunan Daerah Jawa Timur Tbk PT   625,600     34,405
Bank Tabungan Negara Persero Tbk PT   376,361     44,798
Bekasi Fajar Industrial Estate Tbk PT (A)   817,800     5,974
BISI International Tbk PT   290,800     26,912
Blue Bird Tbk PT   5,500     536
Buana Lintas Lautan Tbk PT (A)   1,186,800     13,050
Bukit Asam Tbk PT   380,100     86,853
Bumi Serpong Damai Tbk PT (A)   499,400     35,331
Ciputra Development Tbk PT   1,290,744     93,319
Delta Dunia Makmur Tbk PT (A)   610,700     16,986
Elnusa Tbk PT   742,600     15,194
Erajaya Swasembada Tbk PT   1,113,500     44,798
Gudang Garam Tbk PT   32,400     71,220
Indah Kiat Pulp & Paper Tbk PT   279,700     153,581
Indika Energy Tbk PT (A)   225,300     34,890
Indo Tambangraya Megah Tbk PT   34,600     68,698
Indocement Tunggal Prakarsa Tbk PT   110,800     82,835
Indofood CBP Sukses Makmur Tbk PT   38,600     19,723
Indofood Sukses Makmur Tbk PT   483,100     199,934
Intiland Development Tbk PT (A)   1,316,300     13,285
Japfa Comfeed Indonesia Tbk PT   499,770     57,281
Jaya Real Property Tbk PT   215,500     7,379
Kawasan Industri Jababeka Tbk PT (A)   2,384,099     28,519
Krakatau Steel Persero Tbk PT (A)   733,900     17,954
Link Net Tbk PT   58,200     17,383
Lippo Karawaci Tbk PT (A)   4,020,148     36,640
Malindo Feedmill Tbk PT (A)   128,500     6,203
Map Aktif Adiperkasa PT (A)   105,900     19,064
Medco Energi Internasional Tbk PT (A)   1,194,526     46,001
Media Nusantara Citra Tbk PT   718,600     49,704
Mitra Adiperkasa Tbk PT (A)   715,200     43,719
MNC Vision Networks Tbk PT (A)   614,600     5,697
Pabrik Kertas Tjiwi Kimia Tbk PT   101,200     49,457
Panin Financial Tbk PT (A)   949,400     11,375
Paninvest Tbk PT (A)   116,800     5,484
Perusahaan Perkebunan London Sumatra Indonesia Tbk PT   318,000     31,271
PP Persero Tbk PT (A)   292,600     20,181
Puradelta Lestari Tbk PT   1,584,700     20,417
Ramayana Lestari Sentosa Tbk PT (A)   463,200     24,311
Salim Ivomas Pratama Tbk PT   670,100     23,289
Semen Indonesia Persero Tbk PT   259,300     119,666
Siloam International Hospitals Tbk PT   36,900     20,634
Sri Rejeki Isman Tbk PT (A)(D)   1,260,900     12,818
Suryainti Permata Tbk PT (A)(D)   1,446,000     0
Timah Tbk PT (A)   210,500     26,630
Truba Alam Manunggal Engineering PT (A)(D)   11,991,500     0
Tunas Baru Lampung Tbk PT   484,800     27,839
United Tractors Tbk PT   202,200     358,907
Vale Indonesia Tbk PT   224,100     104,007
Waskita Karya Persero Tbk PT (A)   1,292,356     49,314
Wijaya Karya Persero Tbk PT (A)   349,400     24,105
 
  63  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Indonesia (continued)          
XL Axiata Tbk PT   403,300   $ 74,222
          4,353,539
Malaysia - 1.7%          
Aeon Company M BHD   28,600     10,742
AFFIN Bank BHD (A)   92,555     43,922
Alliance Bank Malaysia BHD   102,300     91,310
AMMB Holdings BHD (A)   171,362     151,018
Bank Islam Malaysia BHD   49,400     34,645
Batu Kawan BHD   3,100     19,358
Berjaya Assets BHD (A)   77,400     5,431
Berjaya Corp. BHD (A)(C)   439,496     24,473
Berjaya Land BHD (A)   244,400     11,615
Boustead Holdings BHD (A)   116,088     18,294
Bumi Armada BHD (A)   163,800     15,893
Cahya Mata Sarawak BHD   52,100     13,473
CIMB Group Holdings BHD   467,403     592,089
Cypark Resources BHD (A)   54,200     10,486
Dayang Enterprise Holdings BHD   83,900     17,897
DRB-Hicom BHD   93,400     32,575
Eco World Development Group BHD   84,300     19,787
Ekovest BHD (A)   146,600     15,143
FGV Holdings BHD   33,400     15,717
Gamuda BHD   139,256     114,343
Genting BHD   138,000     153,217
Genting Malaysia BHD   152,300     107,481
Genting Plantations BHD   22,400     45,514
Hengyuan Refining Company BHD (A)   28,800     27,151
Hibiscus Petroleum BHD   171,900     46,815
Hong Leong Financial Group BHD   27,099     126,159
IJM Corp. BHD   264,060     104,757
Insas BHD   88,369     17,153
IOI Properties Group BHD   72,700     16,925
JAKS Resources BHD (A)   177,060     13,877
Jaya Tiasa Holdings BHD (A)   58,826     13,266
Keck Seng Malaysia BHD (A)   11,300     9,689
KNM Group BHD (A)   571,500     21,056
Land & General BHD   437,820     11,403
Lotte Chemical Titan Holding BHD (B)   30,231     16,010
Magnum BHD   110,314     47,697
Mah Sing Group BHD   192,300     31,050
Malayan Banking BHD   318,660     677,221
Malaysia Airports Holdings BHD (A)   36,700     60,606
Malaysia Building Society BHD   190,704     27,141
Malaysian Resources Corp. BHD   207,000     17,926
Matrix Concepts Holdings BHD   17,400     9,809
MBM Resources BHD   11,400     8,380
Mega First Corp. BHD   12,600     11,132
MISC BHD   106,200     185,416
MKH BHD   49,230     15,811
MNRB Holdings BHD   36,891     9,492
Muhibbah Engineering M BHD (A)   69,300     8,652
Oriental Holdings BHD   35,720     51,691
OSK Holdings BHD   111,397     25,408
Pos Malaysia BHD (A)   30,900     4,742
PPB Group BHD   30,500     124,056
RHB Bank BHD   146,176     207,201
Sapura Energy BHD (A)   1,155,500     9,585
Sarawak Oil Palms BHD   7,800     10,002
Sime Darby BHD   307,400     175,087
Sime Darby Property BHD   271,300     38,021
SP Setia BHD Group   173,900     52,055
Sunway BHD   140,407     58,431
Ta Ann Holdings BHD   26,048     31,894
Tan Chong Motor Holdings BHD   6,300     1,678
Tropicana Corp. BHD (A)   161,380     39,107
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Malaysia (continued)          
UEM Edgenta BHD (A)   32,900   $ 12,761
UEM Sunrise BHD (A)   372,300     30,003
UMW Holdings BHD   48,800     38,121
United Malacca BHD   11,900     15,694
UOA Development BHD   117,500     49,127
Velesto Energy BHD (A)   428,800     10,643
WCT Holdings BHD (A)   194,483     26,738
Yinson Holdings BHD   26,500     30,165
YNH Property BHD (A)   34,619     22,714
YTL Corp. BHD   536,837     75,235
          4,239,176
Mexico - 2.5%          
Alfa SAB de CV, Class A   370,181     281,405
Alpek SAB de CV   49,200     67,653
Arca Continental SAB de CV   25,987     176,369
Banco del Bajio SA (B)   68,070     186,003
Cemex SAB de CV, Series CPO (A)   730,985     390,667
Coca-Cola Femsa SAB de CV   23,422     128,980
Consorcio ARA SAB de CV   25,993     5,057
Corp. Actinver SAB de CV   16,024     9,668
El Puerto de Liverpool SAB de CV, Series C1   11,379     58,171
Fomento Economico Mexicano SAB de CV   34,280     284,615
GCC SAB de CV   14,906     107,340
Genomma Lab Internacional SAB de CV, Class B (C)   28,340     31,047
Gentera SAB de CV (A)   115,192     97,470
Grupo Carso SAB de CV, Series A1 (C)   27,578     103,698
Grupo Comercial Chedraui SA de CV   34,106     87,434
Grupo Financiero Banorte SAB de CV, Series O   111,883     842,751
Grupo Financiero Inbursa SAB de CV, Series O (A)   124,171     259,704
Grupo KUO SAB de CV, Series B   42,698     95,528
Grupo Mexico SAB de CV, Series B   185,616     1,108,190
Grupo Pochteca SAB de CV (A)   9,600     3,374
Grupo Sanborns SAB de CV (A)   95,919     108,988
Grupo Televisa SAB, Series CPO   202,588     475,659
Industrias Bachoco SAB de CV, Series B   14,121     55,199
Industrias CH SAB de CV, Series B (A)   18,800     193,775
Industrias Penoles SAB de CV   8,071     101,851
La Comer SAB de CV   16,584     33,085
Megacable Holdings SAB de CV, Series CPO   34,161     103,050
Minera Frisco SAB de CV, Series A1 (A)   168,003     30,492
Nemak SAB de CV (A)(B)   159,261     42,998
Orbia Advance Corp. SAB de CV   73,770     195,125
Organizacion Cultiba SAB de CV (A)   17,095     7,400
Organizacion Soriana SAB de CV, Series B   190,849     214,933
Promotora y Operadora de Infraestructura SAB de CV   13,125     104,215
Promotora y Operadora de Infraestructura SAB de CV, L Shares   3,141     14,495
Unifin Financiera SAB de CV (A)(C)   32,326     38,664
Vitro SAB de CV, Series A   6,357     8,348
          6,053,401
Philippines - 0.8%          
Alliance Global Group, Inc.   232,800     56,235
Ayala Corp.   9,390     149,222
Bank of the Philippine Islands   74,260     142,808
BDO Unibank, Inc.   154,227     393,959
China Banking Corp.   75,528     39,359
Cosco Capital, Inc.   388,900     37,084
 
  64  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Philippines (continued)          
DMCI Holdings, Inc.   144,200   $ 25,135
East West Banking Corp. (A)   74,300     12,109
EEI Corp. (A)   43,000     4,711
Filinvest Development Corp.   119,475     16,139
Filinvest Land, Inc.   937,500     19,568
First Philippine Holdings Corp.   29,660     40,253
Global Ferronickel Holdings, Inc.   283,424     16,026
GT Capital Holdings, Inc.   4,619     49,120
JG Summit Holdings, Inc.   157,922     187,031
LT Group, Inc.   159,800     27,408
Megaworld Corp.   839,700     48,555
Metropolitan Bank & Trust Company   130,973     143,928
Petron Corp. (A)   289,400     18,455
Philex Mining Corp.   161,300     16,727
Philippine National Bank (A)   65,310     24,217
Philtown Properties, Inc. (A)(D)   3,844     114
Phoenix Petroleum Philippines, Inc. (A)   22,200     4,496
PNB Holdings Corp. (A)(D)   10,246     63
Premium Leisure Corp.   815,000     7,236
Puregold Price Club, Inc.   34,700     23,930
RFM Corp.   133,500     11,074
Rizal Commercial Banking Corp.   62,703     24,765
Robinsons Land Corp.   247,568     97,691
Robinsons Retail Holdings, Inc.   16,680     17,876
San Miguel Corp.   46,220     98,185
Security Bank Corp.   27,730     58,261
Top Frontier Investment Holdings, Inc. (A)   18,024     41,293
Union Bank of the Philippines   49,567     93,639
Vista Land & Lifescapes, Inc.   569,000     28,569
          1,975,241
Poland - 0.8%          
Alior Bank SA (A)   7,988     86,568
Asseco Poland SA   4,655     89,185
Bank Handlowy w Warszawie SA   2,586     39,260
Bank Millennium SA (A)   57,979     90,883
Bank Polska Kasa Opieki SA   411     10,986
Ciech SA   2,826     28,944
Develia SA   22,340     17,605
Enea SA (A)   19,073     41,573
Famur SA (A)   24,204     16,638
Grupa Azoty SA (A)   4,728     48,004
Grupa Lotos SA (A)   8,464     117,749
Jastrzebska Spolka Weglowa SA (A)   2,583     47,336
KGHM Polska Miedz SA   7,498     304,508
Lubelski Wegiel Bogdanka SA (A)   2,164     29,000
mBank SA (A)   914     76,225
PGE Polska Grupa Energetyczna SA (A)   66,331     142,869
PKP Cargo SA (A)   5,709     16,720
Polski Koncern Naftowy ORLEN SA   29,861     535,870
Santander Bank Polska SA   729     52,713
Stalexport Autostrady SA (C)   15,820     13,418
Tauron Polska Energia SA (A)   90,488     61,627
          1,867,681
Qatar - 0.7%          
Aamal Company   210,501     67,100
Alijarah Holding Company QPSC (A)   77,548     18,813
Baladna   72,138     28,577
Barwa Real Estate Company   175,600     168,216
Commercial Bank PSQC   142,087     290,593
Doha Bank QPSC   139,323     98,670
Doha Insurance Company QSC   25,407     13,370
Gulf International Services QSC (A)   102,379     54,910
Gulf Warehousing Company   19,525     22,662
Investment Holding Group (A)   36,034     22,887
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Qatar (continued)          
Mannai Corp. QSC   5,422   $ 13,081
Masraf Al Rayan QSC (A)   51,541     73,185
Mesaieed Petrochemical Holding Company   223,749     178,483
Ooredoo QPSC   80,019     156,440
Qatar Fuel QSC   30,737     150,889
Qatar Gas Transport Company, Ltd.   22,479     22,082
Qatar Insurance Company SAQ   100,863     66,727
Qatar National Cement Company QSC   23,781     33,998
Qatar Navigation QSC   41,293     97,419
Salam International Investment, Ltd., QSC (A)   94,802     28,821
United Development Company QSC   177,150     71,494
Vodafone Qatar QSC   145,471     63,694
          1,742,111
Russia - 0.0%          
Gazprom PJSC, ADR (London Stock Exchange) (D)   196,506     47,947
LUKOIL PJSC, ADR (D)   16,379     4,946
Rosneft Oil Company PJSC, GDR (London Stock Exchange) (D)   1,686     427
RusHydro PJSC, ADR (D)   52,278     11,658
VTB Bank PJSC, GDR (D)   86,297     36,245
          101,223
Saudi Arabia - 3.5%          
Al Babtain Power & Telecommunication Company   2,665     20,327
Al Jouf Cement Company (A)   7,491     22,020
Al-Etihad Cooperative Insurance Company (A)   3,266     17,948
Alinma Bank   25,219     260,064
Arab National Bank   43,307     319,337
Arabian Cement Company   4,196     47,775
Aseer Trading Tourism & Manufacturing Company (A)   3,891     19,575
AXA Cooperative Insurance Company (A)   2,090     20,828
Bank Al-Jazira   25,377     177,176
Banque Saudi Fransi   34,632     493,694
City Cement Company   6,807     50,172
Dar Al Arkan Real Estate Development Company (A)   35,107     101,736
Eastern Province Cement Company   2,857     37,287
Emaar Economic City (A)   21,759     67,421
Etihad Etisalat Company   42,915     474,109
Hail Cement Company   4,570     17,667
Middle East Healthcare Company (A)   2,179     18,745
Mobile Telecommunications Company Saudi Arabia (A)   47,765     168,794
Najran Cement Company   7,837     40,794
National Industrialization Company (A)   21,450     130,938
Northern Region Cement Company   3,711     14,328
Riyad Bank   75,126     749,652
Sahara International Petrochemical Company   31,147     442,482
Saudi Basic Industries Corp.   54,281     1,886,632
Saudi Chemical Company Holding   3,283     30,193
Saudi Industrial Investment Group   13,660     126,860
Saudi Kayan Petrochemical Company (A)   87,313     521,909
Saudi Re for Cooperative Reinsurance Company (A)   5,052     22,987
Tabuk Cement Company (A)   4,675     22,570
The Saudi British Bank   56,303     594,719
The Saudi Investment Bank   27,172     131,099
 
  65  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Saudi Arabia (continued)          
The Saudi National Bank   72,308   $ 1,360,544
The Savola Group   10,299     99,781
Umm Al-Qura Cement Company   2,316     16,786
Walaa Cooperative Insurance Company (A)   2,461     10,967
Yamama Cement Company (A)   8,393     72,276
Yanbu Cement Company   6,565     73,721
          8,683,913
Singapore - 0.1%          
JOYY, Inc., ADR   5,041     185,156
South Africa - 4.2%          
Absa Group, Ltd.   53,337     691,587
AECI, Ltd.   11,686     93,530
African Rainbow Minerals, Ltd. (C)   10,677     208,204
Alexander Forbes Group Holdings, Ltd.   120,790     38,085
Alviva Holdings, Ltd.   22,754     31,403
AngloGold Ashanti, Ltd.   4,187     99,349
Aspen Pharmacare Holdings, Ltd.   20,940     283,584
Astral Foods, Ltd.   4,628     47,967
Balwin Properties, Ltd.   6,271     1,349
Barloworld, Ltd.   21,853     173,418
Blue Label Telecoms, Ltd. (A)   44,582     18,769
Caxton & CTP Publishers & Printers, Ltd.   19,879     12,212
DataTec, Ltd.   19,918     55,254
Discovery, Ltd. (A)   23,369     291,100
Exxaro Resources, Ltd.   12,725     192,399
Gold Fields, Ltd., ADR   47,738     738,029
Grindrod, Ltd.   45,556     21,102
Harmony Gold Mining Company, Ltd.   10,790     54,114
Harmony Gold Mining Company, Ltd., ADR   23,256     116,978
Hudaco Industries, Ltd.   5,065     51,552
Impala Platinum Holdings, Ltd. (C)   47,215     726,748
Investec, Ltd.   19,898     132,337
KAP Industrial Holdings, Ltd.   257,249     85,864
Lewis Group, Ltd.   14,408     46,412
Life Healthcare Group Holdings, Ltd.   70,561     112,510
Long4Life, Ltd.   31,563     12,960
Metair Investments, Ltd.   23,633     48,553
Momentum Metropolitan Holdings   97,843     115,666
Motus Holdings, Ltd.   14,065     103,473
Mpact, Ltd.   23,460     52,786
MTN Group, Ltd.   103,892     1,344,272
Murray & Roberts Holdings, Ltd. (A)   48,310     41,730
Naspers, Ltd., N Shares   145     16,377
Nedbank Group, Ltd.   30,206     479,815
Netcare, Ltd.   51,564     56,765
Oceana Group, Ltd.   5,108     19,845
Old Mutual, Ltd.   238,727     224,641
Omnia Holdings, Ltd.   19,012     97,754
Pepkor Holdings, Ltd. (B)   78,756     124,644
PPC, Ltd. (A)   168,790     49,046
PSG Group, Ltd. (A)   5,957     39,051
Raubex Group, Ltd.   20,799     55,791
RCL Foods, Ltd.   35,643     28,833
Reunert, Ltd.   19,682     60,632
Royal Bafokeng Platinum, Ltd.   13,281     146,719
Sappi, Ltd. (A)   61,862     239,775
Sasol, Ltd. (A)   30,590     739,546
Sibanye Stillwater, Ltd.   108,359     435,709
Sibanye Stillwater, Ltd., ADR   4,752     77,125
Standard Bank Group, Ltd.   87,652     1,088,982
Super Group, Ltd.   42,421     85,144
Telkom SA SOC, Ltd. (A)   37,622     114,847
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Africa (continued)          
Tiger Brands, Ltd.   5,007   $ 55,469
Trencor, Ltd. (A)   40,666     12,864
Wilson Bayly Holmes-Ovcon, Ltd.   5,366     29,615
          10,322,285
South Korea - 12.9%          
Aekyung Chemical Company, Ltd.   2,084     17,873
AJ Networks Company, Ltd.   2,832     14,406
Ajin Industrial Company, Ltd. (A)   8,098     19,812
AK Holdings, Inc.   743     13,364
AMOREPACIFIC Group   1,900     68,404
Asia Cement Company, Ltd.   32     4,512
ASIA Holdings Company, Ltd.   241     31,399
Asia Paper Manufacturing Company, Ltd.   565     20,236
BNK Financial Group, Inc.   20,556     133,816
Bookook Securities Company, Ltd.   501     9,958
Chongkundang Holdings Corp.   288     16,997
Chosun Refractories Company, Ltd.   338     22,414
CJ CheilJedang Corp.   900     272,836
CJ Corp.   1,674     115,793
CJ ENM Company, Ltd.   651     70,078
CJ Logistics Corp. (A)   826     87,763
Com2uS Corp.   216     19,555
Dae Han Flour Mills Company, Ltd.   232     34,158
Dae Won Kang Up Company, Ltd.   4,385     11,559
Daedong Corp.   3,364     38,561
Daesang Corp.   2,028     38,780
Daesang Holdings Company, Ltd.   2,310     17,494
Daewoo Engineering & Construction Company, Ltd. (A)   20,805     119,250
Dahaam E-Tec Company, Ltd. (A)   2,630     123,683
Daihan Pharmaceutical Company, Ltd.   563     13,600
Daishin Securities Company, Ltd.   3,901     57,016
Daou Data Corp.   1,778     21,219
Daou Technology, Inc.   2,309     42,058
DB Financial Investment Company, Ltd.   3,849     21,092
DB Insurance Company, Ltd.   5,058     291,247
DB, Inc. (A)   19,825     18,198
Deutsch Motors, Inc.   3,903     31,386
DGB Financial Group, Inc.   19,003     145,241
DL E&C Company, Ltd.   2,017     218,328
DL Holdings Company, Ltd.   1,609     80,746
DMS Company, Ltd.   3,275     18,119
Dongkuk Industries Company, Ltd.   8,476     24,287
Dongkuk Steel Mill Company, Ltd.   6,404     87,412
Dongwon Development Company, Ltd.   5,212     23,155
Dongwon F&B Company, Ltd.   122     18,043
Dongwon Industries Company, Ltd.   176     36,462
Doosan Bobcat, Inc.   4,079     129,632
Doosan Company, Ltd.   554     46,887
DTR Automotive Corp.   380     22,035
Easy Holdings Company, Ltd.   3,872     13,620
E-MART, Inc.   1,480     170,929
ENF Technology Company, Ltd.   1,003     24,187
Eugene Corp.   6,888     28,605
Eugene Investment & Securities Company, Ltd.   11,471     31,455
Eusu Holdings Company, Ltd.   1,407     6,699
Farmsco   2,687     14,209
Fila Holdings Corp.   3,332     85,731
Green Cross Holdings Corp.   655     12,830
GS Engineering & Construction Corp.   6,176     234,532
GS Global Corp. (A)   7,813     17,406
GS Holdings Corp.   5,061     182,780
GS Retail Company, Ltd.   3,309     76,964
 
  66  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
Gwangju Shinsegae Company, Ltd.   152   $ 23,736
Halla Holdings Corp.   837     28,007
Han Kuk Carbon Company, Ltd.   2,438     23,454
Hana Financial Group, Inc.   22,866     909,453
Handok, Inc.   729     12,993
Handsome Company, Ltd.   1,545     45,232
Hanil Cement Company, Ltd.   1,450     25,042
Hanil Holdings Company, Ltd.   3,183     33,919
Hanjin Transportation Company, Ltd.   1,052     26,794
Hankook Tire & Technology Company, Ltd.   7,054     194,760
Hanshin Construction Company, Ltd.   1,844     28,916
Hansol Holdings Company, Ltd.   5,241     15,139
Hansol Paper Company, Ltd.   2,920     32,107
Hansol Technics Company, Ltd. (A)   3,325     18,737
Hanwha Aerospace Company, Ltd.   2,248     96,258
Hanwha Corp.   3,675     94,618
Hanwha General Insurance Company, Ltd. (A)   5,427     22,374
Hanwha Investment & Securities Company, Ltd.   15,071     62,395
Hanwha Life Insurance Company, Ltd. (A)   34,108     88,136
Hanwha Solutions Corp. (A)   10,905     321,362
Hanyang Eng Company, Ltd.   1,654     21,325
HDC Hyundai Development Co-Engineering & Construction, Series E   969     11,958
Hitejinro Holdings Company, Ltd.   995     11,167
HMM Company, Ltd.   1,372     32,683
HS Industries Company, Ltd.   4,056     18,474
Huchems Fine Chemical Corp.   1,170     21,651
Huons Global Company, Ltd.   581     14,695
Huvis Corp.   3,715     22,090
Huvitz Company, Ltd.   1,341     10,042
Hyosung Corp.   540     38,000
Hyosung Heavy Industries Corp. (A)   742     37,129
Hyosung TNC Corp.   72     27,340
Hyundai Construction Equipment Company, Ltd.   1,613     48,818
Hyundai Corp.   1,339     18,088
Hyundai Corp. Holdings, Inc.   1,811     16,585
Hyundai Department Store Company, Ltd.   1,243     77,182
Hyundai Doosan Infracore Company, Ltd. (A)   12,566     68,400
Hyundai Electric & Energy System Company, Ltd. (A)   2,220     38,931
Hyundai Engineering & Construction Company, Ltd.   5,407     211,680
Hyundai Futurenet Company, Ltd.   8,894     26,394
Hyundai Glovis Company, Ltd.   1,173     184,959
Hyundai Greenfood Company, Ltd.   5,234     38,611
Hyundai Heavy Industries Holdings Company, Ltd.   3,580     157,933
Hyundai Home Shopping Network Corp.   652     32,256
Hyundai Livart Furniture Company, Ltd.   1,327     17,362
Hyundai Marine & Fire Insurance Company, Ltd.   6,179     163,220
Hyundai Mipo Dockyard Company, Ltd.   1,450     92,861
Hyundai Mobis Company, Ltd.   4,311     759,816
Hyundai Motor Company   7,321     1,080,147
Hyundai Motor Securities Company, Ltd.   3,480     31,667
Hyundai Steel Company   6,801     230,969
Hyundai Wia Corp.   1,286     67,589
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
ICD Company, Ltd.   1,893   $ 16,766
Iljin Holdings Company, Ltd.   4,669     19,230
Industrial Bank of Korea   23,318     207,214
Innocean Worldwide, Inc.   469     19,364
INTOPS Company, Ltd.   1,374     41,203
Inzi Controls Company, Ltd.   1,760     17,506
Jahwa Electronics Company, Ltd. (A)   1,056     21,275
JB Financial Group Company, Ltd.   13,171     91,276
Jeil Savings Bank (A)(D)   1,820     0
KB Financial Group, Inc.   550     27,563
KB Financial Group, Inc., ADR   28,987     1,415,435
KC Company, Ltd.   1,496     27,686
KCC Corp.   347     96,851
KCC Glass Corp.   939     48,754
KCTC   4,403     22,569
KG Chemical Corp.   799     20,522
Kginicis Company, Ltd.   1,417     26,975
KGMobilians Company, Ltd.   2,700     20,366
Kia Corp.   18,836     1,140,862
KISCO Corp.   4,131     28,784
KISCO Holdings Company, Ltd.   1,536     22,367
KISWIRE, Ltd.   1,553     27,851
KIWOOM Securities Company, Ltd.   1,432     115,766
Kolmar Korea Holdings Company, Ltd.   1,323     22,564
Kolon Corp.   898     21,855
Kolon Industries, Inc.   1,911     99,054
Korea Asset In Trust Company, Ltd.   9,060     30,495
Korea Electric Terminal Company, Ltd.   561     29,359
Korea Investment Holdings Company, Ltd.   4,028     258,775
Korea Line Corp. (A)   23,137     52,903
Korea Petrochemical Industrial Company, Ltd.   441     60,360
Korea Real Estate Investment & Trust Company, Ltd.   14,635     28,257
Korea Shipbuilding & Offshore Engineering Company, Ltd. (A)   2,882     209,639
Korea Zinc Company, Ltd.   543     261,374
Korean Air Lines Company, Ltd. (A)   869     21,484
Korean Reinsurance Company   9,470     76,508
Kortek Corp. (A)   1,806     15,418
KPX Chemical Company, Ltd.   660     29,478
KSS LINE, Ltd.   3,562     34,228
KT Skylife Company, Ltd.   1,768     12,922
KT&G Corp.   8,656     575,884
KTB Investment & Securities Company, Ltd.   4,729     20,352
Kukdo Chemical Company, Ltd.   466     22,254
Kumho Petrochemical Company, Ltd.   1,206     152,843
Kumho Tire Company, Inc. (A)   7,054     24,441
KUMHOE&C Company, Ltd.   2,357     21,457
Kwang Dong Pharmaceutical Company, Ltd.   3,313     20,482
Kyeryong Construction Industrial Company, Ltd.   844     27,945
Kyung-In Synthetic Corp.   4,181     21,922
LF Corp.   2,312     33,646
LG Corp.   6,087     382,253
LG Display Company, Ltd., ADR (A)(C)   52,646     434,856
LG Electronics, Inc.   10,548     1,037,537
LG HelloVision Company, Ltd.   3,836     16,903
LG Uplus Corp.   18,651     214,571
Lotte Chemical Corp.   1,193     204,755
Lotte Chilsung Beverage Company, Ltd.   305     45,534
Lotte Corp.   2,012     53,488
 
  67  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
Lotte Data Communication Company   697   $ 22,016
LOTTE Fine Chemical Company, Ltd.   1,504     97,623
Lotte Food Company, Ltd.   34     9,071
LOTTE Himart Company, Ltd.   1,006     20,545
Lotte Non-Life Insurance Company, Ltd. (A)   5,459     8,533
Lotte Shopping Company, Ltd.   881     69,185
LS Corp.   1,793     77,662
LS Electric Company, Ltd.   438     16,205
LX Hausys, Ltd.   659     34,639
LX Holdings Corp. (A)   2,952     23,324
LX International Corp.   2,902     82,049
Mando Corp.   1,993     81,974
Meritz Financial Group, Inc.   2,076     69,489
Meritz Securities Company, Ltd.   35,902     192,963
Mirae Asset Life Insurance Company, Ltd.   8,582     28,367
Mirae Asset Securities Company, Ltd.   27,337     191,904
MK Electron Company, Ltd.   1,860     26,469
Motonic Corp.   2,259     17,709
Muhak Company, Ltd.   2,080     17,276
Namyang Dairy Products Company, Ltd.   58     19,164
Nexen Corp.   3,733     13,570
Nexen Tire Corp.   6,465     34,069
NH Investment & Securities Company, Ltd.   12,340     115,386
NHN Corp. (A)   1,882     56,775
Nice Information & Telecommunication, Inc.   705     16,901
Nong Shim Holdings Company, Ltd.   402     24,008
NongShim Company, Ltd.   255     62,734
OCI Company, Ltd.   1,606     138,119
Orion Holdings Corp.   2,756     32,260
Ottogi Corp.   107     39,292
Paik Kwang Industrial Company, Ltd.   4,235     17,517
Pan Ocean Company, Ltd.   26,446     151,507
Paradise Company, Ltd. (A)   2,760     37,381
PHA Company, Ltd.   2,626     19,555
Poongsan Corp.   2,423     65,994
Poongsan Holdings Corp.   1,129     27,917
POSCO Holdings, Inc.   5,684     1,363,442
Posco International Corp.   4,844     85,390
RFTech Company, Ltd. (A)   4,033     20,491
Sam Young Electronics Company, Ltd.   938     8,258
Samho Development Company, Ltd.   4,213     17,834
SAMPYO Cement Company, Ltd.   4,134     17,653
Samsung C&T Corp.   4,883     455,928
Samsung Card Company, Ltd.   2,454     65,259
Samsung Electronics Company, Ltd.   49,367     2,824,927
Samsung Fire & Marine Insurance Company, Ltd.   3,065     551,960
Samsung Heavy Industries Company, Ltd. (A)   39,786     185,259
Samsung Life Insurance Company, Ltd.   4,666     252,681
Samsung SDS Company, Ltd.   412     46,742
Samsung Securities Company, Ltd.   4,810     165,176
Samyang Corp.   258     11,142
Samyang Holdings Corp.   535     37,762
Sangsangin Company, Ltd.   3,653     28,525
Seah Besteel Corp.   1,017     15,463
Sebang Company, Ltd.   1,153     11,157
Sebang Global Battery Company, Ltd.   601     33,688
Sejong Industrial Company, Ltd.   1,547     9,717
Sejong Telecom, Inc. (A)   42,334     17,601
Seohee Construction Company, Ltd.   13,592     21,248
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
Seoul Semiconductor Company, Ltd.   3,322   $ 38,274
Seoyon Company, Ltd.   2,508     18,243
SFA Engineering Corp.   683     22,974
SGC eTec E&C Company, Ltd.   178     8,676
Shindaeyang Paper Company, Ltd.   267     21,288
Shinhan Financial Group Company, Ltd.   2,494     84,718
Shinhan Financial Group Company, Ltd., ADR   33,328     1,114,155
Shinsegae Engineering & Construction Company, Ltd.   621     18,687
Shinsegae Food Company, Ltd.   268     17,066
Shinsegae, Inc.   668     140,297
Shinwha Intertek Corp. (A)   4,441     10,842
Shinyoung Securities Company, Ltd. (A)   580     28,462
SK Chemicals Company, Ltd.   303     33,711
SK Discovery Company, Ltd.   1,496     51,049
SK Gas, Ltd.   304     28,790
SK Hynix, Inc.   22,077     2,123,790
SK Innovation Company, Ltd. (A)   2,536     444,883
SK Networks Company, Ltd.   16,268     63,032
SK Securities Company, Ltd.   27,076     19,890
SK, Inc.   2,806     556,060
SL Corp.   1,618     32,736
SNT Holdings Company, Ltd.   1,460     19,996
SNT Motiv Company, Ltd.   882     33,425
S-Oil Corp.   824     65,380
Songwon Industrial Company, Ltd.   1,547     28,510
Spigen Korea Company, Ltd.   525     19,740
Sungshin Cement Company, Ltd.   2,022     23,957
Sungwoo Hitech Company, Ltd.   2,984     12,181
Sunjin Company, Ltd.   2,276     21,852
Taekwang Industrial Company, Ltd.   48     41,132
Taeyoung Engineering & Construction Company, Ltd.   2,234     18,700
Tongyang Life Insurance Company, Ltd.   7,644     41,538
Toptec Company, Ltd. (A)   2,535     17,392
Tovis Company, Ltd.   1,305     11,051
TS Corp.   12,730     30,232
TY Holdings Company, Ltd. (A)   2,153     47,177
Unick Corp.   2,729     16,724
Unid Company, Ltd.   534     45,963
WiSoL Company, Ltd.   2,256     21,424
Wonik Holdings Company, Ltd. (A)   5,948     23,425
Wonik Materials Company, Ltd.   880     25,941
Woori Financial Group, Inc.   41,842     524,435
Young Poong Corp.   51     28,949
Youngone Corp.   2,509     98,098
Youngone Holdings Company, Ltd.   920     40,552
Yuanta Securities Korea Company, Ltd.   11,703     35,475
Zeus Company, Ltd.   962     23,996
          31,755,569
Taiwan - 17.7%          
Abico Avy Company, Ltd.   24,990     20,642
AcBel Polytech, Inc.   38,000     46,517
Acer, Inc.   256,452     265,816
ACES Electronic Company, Ltd.   19,323     31,071
Acter Group Corp., Ltd.   4,000     28,417
Advanced International Multitech Company, Ltd.   13,000     35,492
Advancetek Enterprise Company, Ltd.   35,186     28,703
AGV Products Corp. (A)   11,716     4,671
Allis Electric Company, Ltd.   13,000     12,566
Alpha Networks, Inc.   31,773     34,361
Altek Corp.   16,000     23,561
AmTRAN Technology Company, Ltd.   49,767     28,821
 
  68  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Apacer Technology, Inc.   11,000   $ 17,045
APCB, Inc.   37,000     26,188
Apex International Company, Ltd.   7,000     25,624
Arcadyan Technology Corp.   8,000     33,622
Ardentec Corp.   45,000     77,968
Argosy Research, Inc.   7,000     26,089
ASE Technology Holding Company, Ltd.   236,000     840,978
Asia Cement Corp.   195,805     330,636
Asia Polymer Corp.   50,607     66,020
Asia Tech Image, Inc.   12,000     23,337
Asia Vital Components Company, Ltd. (C)   29,328     117,595
Asustek Computer, Inc.   68,000     882,210
AU Optronics Corp.   450,000     306,925
Audix Corp.   21,000     40,749
Bank of Kaohsiung Company, Ltd.   79,810     41,082
Basso Industry Corp.   8,000     11,873
BenQ Materials Corp.   13,000     16,374
BES Engineering Corp.   163,700     57,138
Bizlink Holding, Inc.   4,000     41,024
Brighton-Best International Taiwan, Inc.   19,000     25,260
Capital Securities Corp.   183,403     104,526
Career Technology MFG. Company, Ltd. (A)   61,200     49,203
Catcher Technology Company, Ltd.   53,000     265,892
Cathay Financial Holding Company, Ltd.   690,423     1,541,120
Cathay Real Estate Development Company, Ltd.   46,400     30,554
Celxpert Energy Corp.   12,000     17,301
Central Reinsurance Company, Ltd.   31,500     34,473
Chang Hwa Commercial Bank, Ltd.   334,238     222,757
Channel Well Technology Company, Ltd.   16,000     20,996
Charoen Pokphand Enterprise   10,000     28,309
CHC Healthcare Group   21,000     34,432
Chen Full International Company, Ltd.   15,000     21,393
Chenbro Micom Company, Ltd.   10,000     24,741
Cheng Loong Corp.   68,320     83,057
Cheng Mei Materials Technology Corp. (A)   46,000     19,017
Cheng Shin Rubber Industry Company, Ltd.   132,000     162,503
Cheng Uei Precision Industry Company, Ltd.   37,629     49,450
Chia Hsin Cement Corp.   15,000     10,895
Chicony Electronics Company, Ltd.   28,000     87,281
China Airlines, Ltd.   264,910     242,295
China Bills Finance Corp.   95,000     58,591
China Chemical & Pharmaceutical Company, Ltd.   34,000     26,280
China Development Financial Holding Corp.   1,035,535     687,300
China General Plastics Corp.   37,485     45,477
China Man-Made Fiber Corp.   178,414     57,456
China Metal Products Company, Ltd.   42,513     50,646
China Motor Corp.   30,250     63,658
China Petrochemical Development Corp.   309,245     129,998
China Steel Corp.   946,180     1,275,678
Chin-Poon Industrial Company, Ltd.   43,571     49,978
Chipbond Technology Corp.   70,000     167,578
ChipMOS Technologies, Inc.   66,938     118,645
Chong Hong Construction Company, Ltd.   19,000     48,489
Chun Yuan Steel Industry Company, Ltd.   50,874     42,685
Chung Hung Steel Corp.   38,625     61,303
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Chung-Hsin Electric & Machinery Manufacturing Corp.   46,500   $ 88,314
CMC Magnetics Corp. (A)   72,470     25,700
Compal Electronics, Inc.   424,000     394,969
Compeq Manufacturing Company, Ltd.   111,000     185,069
Concord Securities Company, Ltd.   26,000     13,553
Continental Holdings Corp.   49,050     44,950
Coretronic Corp.   40,000     97,292
CTBC Financial Holding Company, Ltd.   1,628,348     1,659,459
CTCI Corp.   8,000     12,893
DA CIN Construction Company, Ltd.   20,000     24,386
Darfon Electronics Corp.   16,000     27,554
Darwin Precisions Corp. (A)   37,000     15,480
Depo Auto Parts Industrial Company, Ltd.   21,000     43,624
D-Link Corp.   50,600     29,500
Dyaco International, Inc.   5,000     8,539
Dynamic Electronics Company, Ltd.   35,584     30,559
Dynapack International Technology Corp.   10,000     38,795
E.Sun Financial Holding Company, Ltd.   81,344     93,326
Edom Technology Company, Ltd.   18,400     23,443
Elite Advanced Laser Corp.   7,000     11,966
Elite Semiconductor Microelectronics Technology, Inc.   27,000     148,808
Elitegroup Computer Systems Company, Ltd.   42,104     29,214
Ennoconn Corp.   6,233     43,476
Ennostar, Inc. (A)   31,656     78,014
EnTie Commercial Bank Company, Ltd.   58,000     33,021
Eson Precision Ind Company, Ltd.   12,000     24,851
Eternal Materials Company, Ltd.   12,000     15,134
Eva Airways Corp.   266,725     294,828
Everest Textile Company, Ltd. (A)   64,835     19,283
Evergreen International Storage & Transport Corp.   67,600     86,452
Evergreen Marine Corp. Taiwan, Ltd.   11,655     54,174
Everlight Chemical Industrial Corp.   49,250     44,260
Everlight Electronics Company, Ltd.   46,000     77,541
Excelsior Medical Company, Ltd.   16,573     38,221
Far Eastern Department Stores, Ltd.   102,720     75,871
Far Eastern International Bank   271,637     115,184
Far Eastern New Century Corp.   252,249     266,566
Farglory Land Development Company, Ltd.   28,530     67,838
Federal Corp.   13,000     12,254
Feng Hsin Steel Company, Ltd.   8,000     26,872
First Financial Holding Company, Ltd.   613,053     606,247
First Steamship Company, Ltd. (A)   84,809     33,874
FLEXium Interconnect, Inc. (A)   27,000     94,809
Formosa Advanced Technologies Company, Ltd.   25,000     35,651
Formosa Chemicals & Fibre Corp.   184,000     505,020
Formosa Laboratories, Inc.   9,543     18,805
Formosa Petrochemical Corp.   4,000     13,128
Formosa Plastics Corp.   184,000     680,534
Formosa Taffeta Company, Ltd.   67,000     65,771
Formosan Rubber Group, Inc.   33,020     25,849
Formosan Union Chemical   48,812     46,809
Foxconn Technology Company, Ltd.   64,626     140,711
FSP Technology, Inc.   10,000     15,228
Fubon Financial Holding Company, Ltd.   741,053     1,967,658
Fulgent Sun International Holding Company, Ltd.   11,000     47,061
Fulltech Fiber Glass Corp. (A)   45,000     23,779
 
  69  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
G Shank Enterprise Company, Ltd.   15,535   $ 30,495
Gamania Digital Entertainment Company, Ltd.   9,000     21,392
Gemtek Technology Corp.   32,000     36,503
General Interface Solution Holding, Ltd.   29,000     96,296
Getac Holdings Corp.   14,000     24,198
Giantplus Technology Company, Ltd. (A)   31,000     13,333
Gigabyte Technology Company, Ltd.   9,000     40,103
Ginko International Company, Ltd.   4,000     38,698
Global Brands Manufacture, Ltd.   37,541     44,202
Global Lighting Technologies, Inc.   6,000     14,064
Globe Union Industrial Corp.   51,750     23,577
Gloria Material Technology Corp.   39,684     34,848
Gold Circuit Electronics, Ltd.   44,000     128,848
Goldsun Building Materials Company, Ltd.   93,540     96,382
Gourmet Master Company, Ltd.   6,000     19,451
Grand Ocean Retail Group, Ltd.   13,000     7,592
Grand Pacific Petrochemical   77,000     72,751
Great China Metal Industry   33,000     31,079
Great Wall Enterprise Company, Ltd.   41,976     79,028
Greatek Electronics, Inc.   12,000     30,854
Hannstar Board Corp.   39,750     58,209
HannStar Display Corp.   84,842     45,179
HannsTouch Solution, Inc.   64,000     30,235
Hey Song Corp.   40,000     49,526
Highwealth Construction Corp.   45,000     71,051
Ho Tung Chemical Corp.   88,399     32,027
Holy Stone Enterprise Company, Ltd.   10,000     41,610
Hon Hai Precision Industry Company, Ltd.   732,448     2,689,424
Hong Pu Real Estate Development Company, Ltd.   27,000     20,689
Hong TAI Electric Industrial   20,000     22,309
Horizon Securities Company, Ltd.   18,000     9,945
Hsin Kuang Steel Company, Ltd.   9,000     21,121
Hsing TA Cement Company, Ltd.   38,000     28,057
HTC Corp. (A)   18,000     36,689
Hua Nan Financial Holdings Company, Ltd.   499,126     422,209
Huang Hsiang Construction Corp.   18,000     34,218
Hung Sheng Construction, Ltd.   42,240     36,586
IBF Financial Holdings Company, Ltd.   237,780     138,518
Ichia Technologies, Inc.   25,000     13,770
IEI Integration Corp.   12,000     19,388
Innolux Corp.   657,561     380,835
Inpaq Technology Company, Ltd. (A)   12,000     25,042
Integrated Service Technology, Inc.   9,000     16,634
International CSRC Investment Holdings Company   81,383     79,007
Inventec Corp.   240,000     205,730
Iron Force Industrial Company, Ltd.   6,000     14,100
ITEQ Corp.   8,000     33,150
Jarllytec Company, Ltd.   9,000     22,953
Jess-Link Products Company, Ltd.   13,000     19,426
Kaimei Electronic Corp.   13,300     38,197
Kedge Construction Company, Ltd.   6,000     12,138
Kenda Rubber Industrial Company, Ltd.   39,520     44,060
King Yuan Electronics Company, Ltd.   122,796     181,875
King's Town Bank Company, Ltd.   83,000     116,235
King's Town Construction Company, Ltd. (A)   7,300     9,073
Kinko Optical Company, Ltd. (A)   15,758     16,300
Kinpo Electronics, Inc.   160,269     93,771
Kinsus Interconnect Technology Corp.   22,000     146,293
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Kuo Toong International Company, Ltd.   18,248   $ 13,885
Kuoyang Construction Company, Ltd.   12,000     9,635
L&K Engineering Company, Ltd.   17,000     18,750
Largan Precision Company, Ltd.   7,000     457,586
Laster Tech Corp., Ltd.   11,910     14,915
Lealea Enterprise Company, Ltd. (A)   90,124     34,819
Lelon Electronics Corp.   8,000     17,995
Li Peng Enterprise Company, Ltd. (A)   62,000     19,870
Lida Holdings, Ltd.   4,640     5,084
Lien Hwa Industrial Holdings Corp.   42,900     95,736
Lingsen Precision Industries, Ltd.   49,481     41,628
Lite-On Technology Corp.   164,000     387,495
Longchen Paper & Packaging Company, Ltd.   64,177     47,549
Lumax International Corp., Ltd.   4,000     10,407
Lung Yen Life Service Corp.   9,000     13,884
Macauto Industrial Company, Ltd.   8,000     20,456
Macronix International Company, Ltd.   129,000     178,241
Mega Financial Holding Company, Ltd.   547,472     817,487
Mercuries & Associates Holding, Ltd.   47,815     35,325
Mercuries Life Insurance Company, Ltd. (A)   63,158     18,409
Merry Electronics Company, Ltd.   11,000     32,674
Mirle Automation Corp.   10,000     14,178
Mitac Holdings Corp.   58,316     59,805
MPI Corp.   11,000     38,705
Namchow Holdings Company, Ltd.   9,000     15,249
Nan Ya Plastics Corp.   334,000     1,081,199
Nanya Technology Corp.   121,000     288,643
Nichidenbo Corp.   14,000     26,626
Nishoku Technology, Inc.   7,800     24,018
O-Bank Company, Ltd.   52,538     18,695
OptoTech Corp.   14,439     25,514
Orient Semiconductor Electronics, Ltd. (A)   26,000     20,090
Oriental Union Chemical Corp.   28,000     22,079
Pacific Construction Company   38,289     12,255
Paiho Shih Holdings Corp.   11,000     13,981
Pan German Universal Motors, Ltd.   2,000     14,750
Pan-International Industrial Corp.   44,481     61,662
Pegatron Corp.   204,660     515,346
PharmaEngine, Inc.   9,000     28,014
Phison Electronics Corp.   5,000     82,098
Pixart Imaging, Inc.   10,000     48,680
Pou Chen Corp.   163,348     178,826
Powertech Technology, Inc.   39,000     128,469
President Securities Corp.   99,549     79,414
Primax Electronics, Ltd.   26,000     46,913
Prince Housing & Development Corp.   142,555     65,154
Prodisc Technology, Inc. (A)(D)   762,000     0
Promate Electronic Company, Ltd.   8,000     12,757
Prosperity Dielectrics Company, Ltd.   6,000     11,526
Qisda Corp.   162,280     187,081
Quanta Computer, Inc.   201,000     615,553
Quanta Storage, Inc.   23,000     35,078
Radiant Opto-Electronics Corp.   34,000     122,127
Radium Life Tech Company, Ltd.   102,621     37,283
Rechi Precision Company, Ltd.   20,000     12,530
Rexon Industrial Corp., Ltd.   13,000     20,344
Ritek Corp. (A)   57,799     18,349
Roo Hsing Company, Ltd. (A)   67,000     14,294
Ruentex Development Company, Ltd.   85,880     235,423
Ruentex Industries, Ltd.   33,800     135,266
Sampo Corp.   43,470     48,890
San Far Property, Ltd.   28,964     13,515
 
  70  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Sanyang Motor Company, Ltd.   48,000   $ 48,067
Savior Lifetec Corp. (A)   18,957     12,006
Sercomm Corp.   22,000     60,184
Sesoda Corp.   26,064     50,349
Shan-Loong Transportation Company, Ltd.   23,000     31,985
Sheng Yu Steel Company, Ltd.   22,000     25,865
ShenMao Technology, Inc.   8,000     20,881
Shihlin Electric & Engineering Corp.   21,000     38,018
Shin Kong Financial Holding Company, Ltd.   870,344     325,765
Shin Zu Shing Company, Ltd.   8,000     23,079
Shining Building Business Company, Ltd. (A)   55,118     21,019
Shinkong Insurance Company, Ltd.   27,000     51,602
Shinkong Synthetic Fibers Corp.   132,239     96,002
Shuttle, Inc. (A)   25,000     12,084
Sigurd Microelectronics Corp.   47,773     98,453
Simplo Technology Company, Ltd.   8,000     86,366
Sincere Navigation Corp.   24,000     23,148
Sinher Technology, Inc.   8,000     10,951
Sinon Corp.   45,650     53,513
SinoPac Financial Holdings Company, Ltd.   706,931     452,120
Sirtec International Company, Ltd.   23,800     21,619
Siward Crystal Technology Company, Ltd.   20,000     24,382
Soft-World International Corp.   4,000     12,679
Sunonwealth Electric Machine Industry Company, Ltd.   18,000     26,810
Sunrex Technology Corp.   11,678     16,768
Supreme Electronics Company, Ltd.   13,268     23,878
Syncmold Enterprise Corp.   6,000     15,023
SYNergy ScienTech Corp.   10,000     9,934
Synmosa Biopharma Corp.   20,176     17,659
Synnex Technology International Corp.   120,000     313,231
Systex Corp.   6,000     16,905
TA Chen Stainless Pipe   99,489     168,269
Ta Ya Electric Wire & Cable   58,889     58,652
TA-I Technology Company, Ltd.   8,000     16,579
Taichung Commercial Bank Company, Ltd.   452,227     237,927
TaiDoc Technology Corp.   4,000     28,526
Taiflex Scientific Company, Ltd.   24,100     37,764
Tainan Spinning Company, Ltd.   135,638     109,742
Taishin Financial Holding Company, Ltd.   890,946     633,799
Taita Chemical Company, Ltd.   26,494     31,147
TAI-TECH Advanced Electronics Company, Ltd.   5,000     20,737
Taiwan Business Bank   461,790     206,011
Taiwan Cement Corp.   388,318     673,531
Taiwan Chinsan Electronic Industrial Company, Ltd.   14,852     22,261
Taiwan Cooperative Financial Holding Company, Ltd.   562,939     577,778
Taiwan Fertilizer Company, Ltd.   52,000     132,308
Taiwan Fire & Marine Insurance Company, Ltd.   41,000     29,631
Taiwan FU Hsing Industrial Company, Ltd.   21,000     31,989
Taiwan Glass Industry Corp.   112,319     97,710
Taiwan Hon Chuan Enterprise Company, Ltd.   34,000     92,980
Taiwan Kolin Company, Ltd. (A)(D)   327,000     0
Taiwan Navigation Company, Ltd.   19,000     23,826
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Taiwan Paiho, Ltd.   9,000   $ 22,449
Taiwan PCB Techvest Company, Ltd.   36,000     63,455
Taiwan Semiconductor Company, Ltd.   14,000     41,654
Taiwan Shin Kong Security Company, Ltd.   8,000     11,131
Taiwan Styrene Monomer   38,000     22,164
Taiwan Surface Mounting Technology Corp.   26,225     106,433
Taiwan Union Technology Corp.   14,000     40,512
Taiyen Biotech Company, Ltd.   26,137     31,185
Tatung Company, Ltd. (A)   116,000     143,541
TBI Motion Technology Company, Ltd.   12,000     18,765
Teco Electric & Machinery Company, Ltd.   132,000     147,281
Test Research, Inc.   13,000     30,661
The Ambassador Hotel (A)   29,000     33,660
The Shanghai Commercial & Savings Bank, Ltd.   134,000     233,529
Thinking Electronic Industrial Company, Ltd.   4,000     20,575
Thye Ming Industrial Company, Ltd.   24,800     39,861
Ton Yi Industrial Corp.   97,000     60,768
Tong Hsing Electronic Industries, Ltd.   6,000     59,825
Tong Yang Industry Company, Ltd.   40,627     45,394
Tong-Tai Machine & Tool Company, Ltd.   26,588     14,731
TOPBI International Holdings, Ltd. (A)   8,077     2,640
Topkey Corp.   6,000     27,676
Topoint Technology Company, Ltd.   29,190     36,924
TPK Holding Company, Ltd.   41,000     52,772
Transcend Information, Inc.   9,000     23,259
Tripod Technology Corp.   20,000     93,078
Tsann Kuen Enterprise Company, Ltd.   7,000     9,745
TSRC Corp.   28,000     33,852
Tung Ho Steel Enterprise Corp.   61,640     150,126
TURVO International Company, Ltd.   6,000     22,029
TXC Corp.   27,000     95,514
TYC Brother Industrial Company, Ltd.   15,511     10,038
Tyntek Corp.   36,000     32,490
U-Ming Marine Transport Corp.   38,000     77,872
Union Bank of Taiwan   261,544     156,192
Unitech Printed Circuit Board Corp. (A)   74,194     45,673
United Microelectronics Corp.   699,794     1,285,119
Universal Cement Corp.   27,483     20,391
Unizyx Holding Corp. (A)   34,000     35,509
UPC Technology Corp.   89,751     56,895
USI Corp.   80,996     84,347
Wah Lee Industrial Corp.   20,520     77,756
Walsin Lihwa Corp.   180,000     183,048
Walsin Technology Corp. (A)   25,000     122,282
Walton Advanced Engineering, Inc. (A)   39,584     22,766
Wei Chuan Foods Corp.   33,000     24,624
Weikeng Industrial Company, Ltd.   25,000     27,960
Well Shin Technology Company, Ltd.   15,000     23,976
Winbond Electronics Corp.   316,793     339,317
Wintek Corp. (A)(D)   543,000     0
Wisdom Marine Lines Company, Ltd.   26,343     78,949
Wistron Corp.   297,291     307,690
Wistron NeWeb Corp.   19,000     47,130
WPG Holdings, Ltd.   165,400     322,225
WT Microelectronics Company, Ltd. (C)   45,174     123,957
Xxentria Technology Materials Corp.   8,000     18,811
Yageo Corp.   4,804     71,710
Yang Ming Marine Transport Corp. (A)   129,000     553,042
YC INOX Company, Ltd.   40,104     48,781
 
  71  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Yea Shin International Development Company, Ltd.   20,906   $ 17,839
Yem Chio Company, Ltd.   42,717     22,917
Yeong Guan Energy Technology Group Company, Ltd.   13,553     29,630
YFY, Inc.   132,202     156,804
Yieh Phui Enterprise Company, Ltd. (A)   68,899     58,739
Youngtek Electronics Corp.   17,000     47,620
Yuanta Financial Holding Company, Ltd.   848,371     777,222
Yulon Motor Company, Ltd.   64,470     90,919
YungShin Global Holding Corp.   8,000     11,782
Zeng Hsing Industrial Company, Ltd.   4,000     19,429
Zenitron Corp.   28,000     38,330
Zhen Ding Technology Holding, Ltd.   44,000     163,833
Zig Sheng Industrial Company, Ltd.   38,908     22,950
          43,789,246
Thailand - 2.1%          
AAPICO Hitech PCL   35,352     26,253
AP Thailand PCL   223,670     73,798
Bangchak Corp. PCL   91,600     81,694
Bangkok Bank PCL   12,800     52,390
Bangkok Bank PCL, NVDR   14,500     59,349
Bangkok Insurance PCL   4,550     36,524
Bangkok Land PCL   1,059,200     32,470
Bangkok Life Assurance PCL, NVDR   29,900     38,891
Bangkok Ranch PCL (A)   92,300     8,598
Banpu PCL   535,067     176,415
Berli Jucker PCL   86,900     93,973
Cal-Comp Electronics Thailand PCL   134,113     11,016
Charoen Pokphand Foods PCL   377,100     272,889
Esso Thailand PCL (A)   83,900     19,986
GFPT PCL   43,900     17,018
Indorama Ventures PCL   82,600     115,001
IRPC PCL   943,100     100,484
Italian-Thai Development PCL (A)   477,400     29,773
Kasikornbank PCL, NVDR   101,600     490,363
Khon Kaen Sugar Industry PCL   192,600     21,664
Kiatnakin Phatra Bank PCL   19,400     40,082
Krung Thai Bank PCL   265,400     109,571
LH Financial Group PCL   709,300     29,751
LPN Development PCL   52,900     7,405
MBK PCL (A)   50,619     18,968
Millcon Steel PCL   152,625     5,458
Polyplex Thailand PCL   14,000     10,389
Pruksa Holding PCL   78,800     32,364
PTT Exploration & Production PCL   119,900     516,605
PTT Global Chemical PCL   133,900     203,574
PTT PCL   938,700     1,081,786
Quality Houses PCL   377,100     26,051
Rojana Industrial Park PCL   113,100     21,529
Saha-Union PCL   16,100     15,347
Sansiri PCL   1,026,866     37,490
SC Asset Corp. PCL   238,196     27,144
Siam City Cement PCL   2,500     11,524
Somboon Advance Technology PCL   51,300     32,005
SPCG PCL   58,900     30,604
Sri Trang Agro-Industry PCL   49,100     38,648
Srithai Superware PCL (A)   283,000     10,756
Star Petroleum Refining PCL   100,000     28,876
STP & I PCL (A)   21,600     3,430
Supalai PCL   151,900     98,972
Super Energy Corp. PCL   743,000     19,891
Syntec Construction PCL   156,500     9,014
Thai Oil PCL   85,600     132,464
Thai Stanley Electric PCL   700     3,701
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Thailand (continued)          
Thai Union Group PCL   128,800   $ 73,069
Thaicom PCL   79,400     21,784
Thanachart Capital PCL   37,300     48,105
The Siam Cement PCL   27,400     314,681
The Siam Commercial Bank PCL   42,400     144,586
Thitikorn PCL   100     32
Thoresen Thai Agencies PCL   75,500     21,382
TMBThanachart Bank PCL   1,334,352     52,737
TPI Polene PCL   559,900     27,386
TPI Polene Power PCL   283,200     33,177
True Corp. PCL   927,400     143,224
Univentures PCL   51,700     4,993
          5,247,104
Turkey - 0.5%          
Akbank TAS   217,215     107,047
Anadolu Efes Biracilik Ve Malt Sanayii AS   14,921     27,269
Arcelik AS   7,251     29,868
Dogan Sirketler Grubu Holding AS   52,374     11,798
EIS Eczacibasi Ilac ve Sinai ve Finansal Yatirimlar Sanayi ve Ticaret AS   30,810     19,984
Enka Insaat ve Sanayi AS   70,950     77,601
Eregli Demir ve Celik Fabrikalari TAS   66,873     146,602
Goldas Kuyumculuk Sanayi Ithalat Ve Bagli Ortakliklari (A)(D)   54,846     353
Gozde Girisim Sermayesi Yatirim Ortakligi AS (A)   28,775     17,878
GSD Holding AS (A)   78,125     16,948
KOC Holding AS   34,979     94,529
Koza Anadolu Metal Madencilik Isletmeleri AS (A)   15,600     27,493
NET Holding AS (A)   40,130     27,338
Sekerbank Turk AS (A)   178,589     12,252
Tekfen Holding AS (A)   11,038     16,012
Turk Hava Yollari AO (A)   64,941     142,791
Turkiye Garanti Bankasi AS   204,338     169,776
Turkiye Halk Bankasi AS (A)   56,201     18,070
Turkiye Sinai Kalkinma Bankasi AS (A)   141,027     13,906
Turkiye Sise ve Cam Fabrikalari AS   110,611     114,762
Turkiye Vakiflar Bankasi TAO, Class D (A)   91,535     22,315
Uzel Makina Sanayii AS (A)(D)   22,930     0
Vestel Elektronik Sanayi ve Ticaret AS   6,172     10,804
Yapi ve Kredi Bankasi AS (A)   254,969     70,845
          1,196,241
Ukraine - 0.0%          
Astarta Holding NV   617     3,832
Kernel Holding SA   7,742     60,049
          63,881
United Arab Emirates - 0.9%          
Abu Dhabi Commercial Bank PJSC   222,448     633,889
Agthia Group PJSC   5,450     6,761
Air Arabia PJSC   66,681     29,065
Ajman Bank PJSC (A)   110,663     24,143
Aldar Properties PJSC   344,351     460,968
Amanat Holdings PJSC (A)   77,820     24,710
Dana Gas PJSC   87,037     27,891
Deyaar Development PJSC (A)   246,958     30,918
Dubai Investments PJSC   195,034     128,593
Emaar Development PJSC (A)   87,386     105,336
Emaar Properties PJSC   307,615     499,673
Emirates NBD Bank PJSC   45,174     183,819
Eshraq Investments PJSC (A)   223,571     22,447
Islamic Arab Insurance Company   58,609     11,145
 
  72  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Arab Emirates (continued)          
National Central Cooling Company PJSC   14,806   $ 10,001
RAK Properties PJSC (A)   77,735     16,136
Ras Al Khaimah Ceramics   24,868     18,491
SHUAA Capital PSC   76,875     12,856
          2,246,842
United States - 0.0%          
Nexteer Automotive Group, Ltd.   95,000     59,893
TOTAL COMMON STOCKS (Cost $231,298,919)   $ 239,451,923
PREFERRED SECURITIES - 2.1%      
Brazil - 2.0%          
Banco ABC Brasil SA   9,841     35,614
Banco Bradesco SA   213,071     994,410
Banco do Estado do Rio Grande do Sul SA, B Shares   22,600     51,646
Eucatex SA Industria e Comercio   4,200     9,616
Gerdau SA   91,576     592,612
Marcopolo SA   55,200     30,956
Petroleo Brasileiro SA   445,844     3,132,393
Randon SA Implementos e Participacoes   11,172     25,061
Usinas Siderurgicas de Minas Gerais SA, A Shares   40,910     120,039
          4,992,347
Colombia - 0.1%          
Grupo Argos SA   23,975     59,731
Grupo Aval Acciones y Valores SA   76,550     17,278
Grupo de Inversiones Suramericana SA   11,343     67,042
          144,051
Philippines - 0.0%          
Cebu Air, Inc.   15,189     13,974
Taiwan - 0.0%          
China Development Financial Holding Corp. (A)   42,273     13,559
TOTAL PREFERRED SECURITIES (Cost $4,421,285)   $ 5,163,931
WARRANTS - 0.0%          
MBK PCL (Expiration Date: 12-31-24; Strike Price: THB 3.00) (A)   2,024     578
TOTAL WARRANTS (Cost $0)   $ 578
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
RIGHTS - 0.0%          
Muhibbah Engineering M BHD (Expiration Date: 4-14-22; Strike Price: MYR 0.50) (A)   34,650   $ 41
TOTAL RIGHTS (Cost $0)   $ 41
SHORT-TERM INVESTMENTS - 1.2%      
Short-term funds - 1.2%          
John Hancock Collateral Trust, 0.3592% (F)(G)   288,088     2,880,536
TOTAL SHORT-TERM INVESTMENTS (Cost $2,880,407)   $ 2,880,536
Total Investments (Emerging Markets Value Trust)
(Cost $238,600,611) - 100.3%
  $ 247,497,009
Other assets and liabilities, net - (0.3%)     (695,837)
TOTAL NET ASSETS - 100.0%   $ 246,801,172
Currency Abbreviations
MYR Malaysian Ringgit
THB Thai Bhat
Security Abbreviations and Legend
ADR American Depositary Receipt
GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt
(A) Non-income producing security.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $3,966,093. In addition to the cash collateral invested in John Hancock Collateral Trust, if any, non-cash collateral of $1,644,925 in the form of U.S. Treasuries was pledged to the fund.
(D) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(E) Restricted security as to resale, excluding 144A securities. For more information on this security refer to the Notes to Portfolio of Investments.
(F) The rate shown is the annualized seven-day yield as of 3-31-22.
(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.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Mini MSCI Emerging Markets Index Futures 30 Long Jun 2022 $1,625,472 $1,687,200 $61,728
            $61,728
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Equity Income Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 97.2%      
Communication services – 4.4%          
Diversified telecommunication services – 0.4%      
AT&T, Inc.   196,937   $ 4,653,621
  73  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Equity Income Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified telecommunication services (continued)      
Verizon Communications, Inc.   27,872   $ 1,419,800
          6,073,421
Entertainment – 1.0%      
The Walt Disney Company (A)   119,596     16,403,787
Media – 3.0%      
Comcast Corp., Class A   494,952     23,173,653
Fox Corp., Class B   177,214     6,429,324
News Corp., Class A   805,180     17,834,737
          47,437,714
          69,914,922
Consumer discretionary – 3.5%          
Automobiles – 0.8%      
Volkswagen AG, ADR   785,879     13,477,825
Hotels, restaurants and leisure – 0.7%      
Las Vegas Sands Corp. (A)   278,857     10,839,172
Leisure products – 0.7%      
Mattel, Inc. (A)   484,897     10,769,562
Multiline retail – 0.7%      
Kohl's Corp.   178,371     10,784,311
Specialty retail – 0.6%      
The TJX Companies, Inc.   150,262     9,102,872
          54,973,742
Consumer staples – 6.5%          
Beverages – 0.6%      
The Coca-Cola Company   146,462     9,080,644
Food and staples retailing – 0.5%      
Walmart, Inc.   57,071     8,499,013
Food products – 2.8%      
Conagra Brands, Inc.   589,452     19,787,904
Mondelez International, Inc., Class A   18,865     1,184,345
Tyson Foods, Inc., Class A   252,520     22,633,368
          43,605,617
Household products – 1.4%      
Kimberly-Clark Corp.   174,652     21,510,140
Tobacco – 1.2%      
Altria Group, Inc.   36,947     1,930,481
Philip Morris International, Inc.   190,448     17,890,685
          19,821,166
          102,516,580
Energy – 6.6%          
Oil, gas and consumable fuels – 6.6%      
Chevron Corp.   20,127     3,277,279
Enbridge, Inc.   21,300     981,717
EOG Resources, Inc.   134,017     15,978,847
Exxon Mobil Corp.   201,849     16,670,709
Hess Corp.   64,834     6,939,831
Occidental Petroleum Corp.   105,643     5,994,184
Targa Resources Corp.   8,046     607,232
TC Energy Corp.   305,459     17,233,997
TotalEnergies SE   558,659     28,267,877
TotalEnergies SE, ADR   153,719     7,768,958
          103,720,631
Financials – 21.4%          
Banks – 7.6%      
Bank of America Corp.   201,075     8,288,312
Citigroup, Inc.   146,600     7,828,440
Fifth Third Bancorp   442,695     19,053,593
Huntington Bancshares, Inc.   1,216,500     17,785,230
JPMorgan Chase & Co.   61,579     8,394,449
The PNC Financial Services Group, Inc.   27,306     5,036,592
Equity Income Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Wells Fargo & Company   1,108,885   $ 53,736,561
          120,123,177
Capital markets – 3.9%      
Franklin Resources, Inc.   50,305     1,404,516
Morgan Stanley   140,694     12,296,656
Raymond James Financial, Inc.   10,146     1,115,147
State Street Corp.   208,715     18,183,251
The Bank of New York Mellon Corp.   33,429     1,659,081
The Charles Schwab Corp.   108,312     9,131,785
The Goldman Sachs Group, Inc.   52,983     17,489,688
          61,280,124
Diversified financial services – 1.1%      
Equitable Holdings, Inc.   582,865     18,016,357
Insurance – 8.8%      
American International Group, Inc.   676,950     42,492,152
Chubb, Ltd.   138,884     29,707,288
Loews Corp.   417,534     27,064,554
Marsh & McLennan Companies, Inc.   13,674     2,330,323
MetLife, Inc.   418,321     29,399,600
The Hartford Financial Services Group, Inc.   100,323     7,204,195
          138,198,112
          337,617,770
Health care – 17.5%          
Biotechnology – 2.5%      
AbbVie, Inc.   215,534     34,940,217
Biogen, Inc. (A)   15,139     3,188,273
Gilead Sciences, Inc.   24,661     1,466,096
          39,594,586
Health care equipment and supplies – 3.7%      
Becton, Dickinson and Company   97,854     26,029,164
Medtronic PLC   194,060     21,530,957
Zimmer Biomet Holdings, Inc.   82,584     10,562,494
Zimvie, Inc. (A)   8,258     188,613
          58,311,228
Health care providers and services – 6.6%      
Anthem, Inc.   79,111     38,860,905
Cardinal Health, Inc.   140,669     7,975,932
Centene Corp. (A)   124,947     10,519,288
Cigna Corp.   70,334     16,852,730
CVS Health Corp.   209,432     21,196,613
UnitedHealth Group, Inc.   16,135     8,228,366
          103,633,834
Pharmaceuticals – 4.7%      
AstraZeneca PLC, ADR   116,058     7,699,288
GlaxoSmithKline PLC   85,962     1,859,955
Johnson & Johnson   110,053     19,504,693
Merck & Company, Inc.   150,599     12,356,648
Organon & Company   7,189     251,112
Pfizer, Inc.   352,502     18,249,029
Sanofi   94,837     9,696,096
Sanofi, ADR   96,094     4,933,466
          74,550,287
          276,089,935
Industrials – 10.6%          
Aerospace and defense – 2.6%      
L3Harris Technologies, Inc.   110,273     27,399,532
 
  74  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Equity Income Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Aerospace and defense (continued)      
The Boeing Company (A)   70,334   $ 13,468,961
          40,868,493
Air freight and logistics – 2.6%      
United Parcel Service, Inc., Class B   191,262     41,018,049
Airlines – 0.3%      
Southwest Airlines Company (A)   97,641     4,471,958
Commercial services and supplies – 0.8%      
Stericycle, Inc. (A)   222,512     13,110,407
Industrial conglomerates – 3.4%      
3M Company   18,400     2,739,392
General Electric Company   435,060     39,807,990
Siemens AG, ADR   153,950     10,644,103
          53,191,485
Machinery – 0.5%      
Flowserve Corp.   39,087     1,403,223
PACCAR, Inc.   82,333     7,251,067
          8,654,290
Professional services – 0.4%      
Nielsen Holdings PLC   229,880     6,261,931
          167,576,613
Information technology – 8.1%          
Communications equipment – 0.5%      
Cisco Systems, Inc.   136,469     7,609,511
Electronic equipment, instruments and components – 0.3%      
TE Connectivity, Ltd.   31,553     4,132,812
IT services – 0.5%      
Fiserv, Inc. (A)   84,200     8,537,880
Semiconductors and semiconductor equipment – 4.6%      
Applied Materials, Inc.   103,810     13,682,158
NXP Semiconductors NV   20,355     3,767,303
QUALCOMM, Inc.   253,240     38,700,137
Texas Instruments, Inc.   92,294     16,934,103
          73,083,701
Software – 2.2%      
Citrix Systems, Inc.   115,371     11,640,934
Microsoft Corp.   75,017     23,128,491
          34,769,425
          128,133,329
Materials – 5.4%          
Chemicals – 3.7%      
Akzo Nobel NV   51,514     4,426,201
CF Industries Holdings, Inc.   332,207     34,237,253
DuPont de Nemours, Inc.   13,952     1,026,588
International Flavors & Fragrances, Inc.   120,584     15,836,297
RPM International, Inc.   30,924     2,518,451
          58,044,790
Containers and packaging – 1.7%      
International Paper Company   567,625     26,195,894
          84,240,684
Real estate – 4.5%          
Equity real estate investment trusts – 4.5%      
Equity Residential   271,132     24,380,189
Rayonier, Inc.   316,093     12,997,744
Vornado Realty Trust   42,393     1,921,251
Welltower, Inc.   68,156     6,552,518
Weyerhaeuser Company   678,476     25,714,240
          71,565,942
Equity Income Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Utilities – 8.7%          
Electric utilities – 3.6%      
NextEra Energy, Inc.   99,591   $ 8,436,354
The Southern Company   561,129     40,687,464
Xcel Energy, Inc.   93,700     6,762,329
          55,886,147
Multi-utilities – 5.1%      
Ameren Corp.   113,777     10,667,732
Dominion Energy, Inc.   209,000     17,758,730
NiSource, Inc.   612,736     19,485,005
Sempra Energy   196,491     33,034,067
          80,945,534
          136,831,681
TOTAL COMMON STOCKS (Cost $1,104,749,211)   $ 1,533,181,829
PREFERRED SECURITIES – 1.4%          
Health care – 0.4%          
Health care equipment and supplies – 0.4%      
Becton, Dickinson and Company, 6.000% (B)   109,565     5,787,223
Utilities – 1.0%          
Electric utilities – 0.7%      
NextEra Energy, Inc., 5.279%   88,679     4,624,610
The Southern Company, 6.750%   126,472     6,906,636
          11,531,246
Multi-utilities – 0.3%      
NiSource, Inc., 7.750%   43,267     5,147,908
          16,679,154
TOTAL PREFERRED SECURITIES (Cost $20,516,511)   $ 22,466,377
SHORT-TERM INVESTMENTS – 1.5%      
Short-term funds – 1.5%          
John Hancock Collateral Trust, 0.3592% (C)(D)   589,850     5,897,793
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (C)   3,768,832     3,768,832
T. Rowe Price Government Reserve Fund, 0.2855% (C)   13,820,956     13,820,956
TOTAL SHORT-TERM INVESTMENTS (Cost $23,487,280)   $ 23,487,581
Total Investments (Equity Income Trust)
(Cost $1,148,753,002) – 100.1%
  $ 1,579,135,787
Other assets and liabilities, net – (0.1%)     (1,808,832)
TOTAL NET ASSETS – 100.0%   $ 1,577,326,955
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 3-31-22. The value of securities on loan amounted to $5,810,684.
(C) The rate shown is the annualized seven-day yield as of 3-31-22.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
 
  75  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Financial Industries Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 99.1%      
Financials – 95.2%          
Banks – 55.8%      
1st Source Corp.   21,579   $ 998,029
American Business Bank (A)   27,647     1,149,286
Ameris Bancorp   36,024     1,580,733
Atlantic Union Bankshares Corp.   50,436     1,850,497
Bank of America Corp.   129,233     5,326,984
Bank of Marin Bancorp   40,135     1,407,534
BayCom Corp.   37,730     821,382
Business First Bancshares, Inc.   34,109     829,872
California BanCorp (A)   27,567     634,317
Cambridge Bancorp   18,888     1,605,480
Central Valley Community Bancorp   27,200     635,120
Citizens Community Bancorp, Inc.   20,008     302,321
Citizens Financial Group, Inc.   104,260     4,726,106
Close Brothers Group PLC   87,372     1,360,031
Coastal Financial Corp. (A)   31,594     1,445,426
Comerica, Inc.   49,629     4,487,950
East West Bancorp, Inc.   61,065     4,825,356
Evans Bancorp, Inc.   16,798     638,324
Farmers & Merchants Bancorp, Inc.   8,008     289,489
Fifth Third Bancorp   138,933     5,979,671
First Interstate BancSystem, Inc., Class A   4,834     177,746
First Merchants Corp.   38,862     1,616,659
German American Bancorp, Inc.   13,071     496,567
Glacier Bancorp, Inc.   16,734     841,386
HBT Financial, Inc.   41,534     755,088
Heritage Commerce Corp.   41,523     467,134
Independent Bank Corp. (Massachusetts)   14,401     1,176,418
JPMorgan Chase & Co.   26,184     3,569,403
KeyCorp   246,146     5,508,747
Landmark Bancorp, Inc.   11,664     307,113
Level One Bancorp, Inc.   15,482     618,196
Limestone Bancorp, Inc.   5,901     123,095
Live Oak Bancshares, Inc.   24,594     1,251,589
M&T Bank Corp.   32,670     5,537,565
Metrocity Bankshares, Inc.   14,106     331,209
Mid Penn Bancorp, Inc.   13,471     361,158
Nicolet Bankshares, Inc. (A)   21,159     1,979,848
Nordea Bank ABP (Nasdaq Stockholm Exchange)   204,534     2,105,062
Pinnacle Financial Partners, Inc.   44,474     4,095,166
Popular, Inc.   31,043     2,537,455
Shore Bancshares, Inc.   10,670     218,522
Southern First Bancshares, Inc. (A)   12,586     639,872
Stock Yards Bancorp, Inc.   35,344     1,869,698
SVB Financial Group (A)   7,617     4,261,331
Synovus Financial Corp.   104,223     5,106,927
The First Bancshares, Inc.   18,748     631,058
Third Coast Bancshares, Inc. (A)   16,135     372,719
TriCo Bancshares   52,084     2,084,923
U.S. Bancorp   40,163     2,134,663
Univest Financial Corp.   28,493     762,473
Webster Financial Corp.   30,589     1,716,655
Western Alliance Bancorp   10,791     893,711
Zions Bancorp NA   77,935     5,109,419
          100,552,483
Capital markets – 16.2%      
AllianceBernstein Holding LP   98,426     4,627,991
Ameriprise Financial, Inc.   17,570     5,277,325
Ares Management Corp., Class A   21,188     1,721,101
Brookfield Asset Management, Inc., Class A   65,489     3,704,713
CME Group, Inc.   15,163     3,606,671
Morgan Stanley   41,330     3,612,242
Financial Industries Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets (continued)      
Onex Corp.   38,028   $ 2,548,483
Raymond James Financial, Inc.   37,488     4,120,306
          29,218,832
Consumer finance – 3.4%      
American Express Company   33,069     6,183,903
Diversified financial services – 3.0%      
Berkshire Hathaway, Inc., Class B (A)   10,203     3,600,741
Eurazeo SE   20,968     1,762,852
          5,363,593
Insurance – 15.5%      
American International Group, Inc.   90,441     5,676,982
Arthur J. Gallagher & Company   21,443     3,743,948
Chubb, Ltd.   15,643     3,346,038
Markel Corp. (A)   2,550     3,761,862
MetLife, Inc.   53,847     3,784,367
The Hartford Financial Services Group, Inc.   52,335     3,758,176
Unum Group   121,259     3,820,871
          27,892,244
Thrifts and mortgage finance – 1.3%      
ESSA Bancorp, Inc.   16,786     301,309
OP Bancorp   38,618     534,859
Premier Financial Corp.   43,710     1,325,724
Timberland Bancorp, Inc.   8,207     221,671
          2,383,563
          171,594,618
Real estate – 3.9%          
Equity real estate investment trusts – 3.2%      
Prologis, Inc.   22,608     3,650,740
Rexford Industrial Realty, Inc.   28,854     2,152,220
          5,802,960
Real estate management and development – 0.7%      
VGP NV   4,815     1,232,376
          7,035,336
TOTAL COMMON STOCKS (Cost $156,206,041)   $ 178,629,954
SHORT-TERM INVESTMENTS – 0.8%      
Repurchase agreement – 0.8%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $1,540,000 on 4-1-22, collateralized by $1,572,900 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $1,570,811) $ 1,540,000     1,540,000
TOTAL SHORT-TERM INVESTMENTS (Cost $1,540,000)   $ 1,540,000
Total Investments (Financial Industries Trust)
(Cost $157,746,041) – 99.9%
  $ 180,169,954
Other assets and liabilities, net – 0.1%     95,814
TOTAL NET ASSETS – 100.0%   $ 180,265,768
Security Abbreviations and Legend
(A) Non-income producing security.
 
  76  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Fundamental All Cap Core Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 99.0%      
Communication services – 16.9%          
Entertainment – 4.0%      
Liberty Media Corp.-Liberty Formula One, Series C (A)   1,232,558   $ 86,081,851
Madison Square Garden Entertainment Corp. (A)   94,628     7,883,459
          93,965,310
Interactive media and services – 12.4%      
Alphabet, Inc., Class A (A)   56,835     158,078,027
CarGurus, Inc. (A)   1,358,143     57,666,752
Meta Platforms, Inc., Class A (A)   344,579     76,620,586
          292,365,365
Media – 0.5%      
Liberty Broadband Corp., Series A (A)   85,182     11,163,953
          397,494,628
Consumer discretionary – 22.5%          
Household durables – 6.0%      
Lennar Corp., A Shares   1,482,576     120,340,694
NVR, Inc. (A)   4,693     20,964,898
          141,305,592
Internet and direct marketing retail – 9.7%      
Amazon.com, Inc. (A)   69,642     227,029,438
Leisure products – 2.2%      
Polaris, Inc.   496,398     52,280,637
Specialty retail – 2.7%      
Dufry AG (A)   528,435     22,235,336
Group 1 Automotive, Inc.   243,849     40,925,178
          63,160,514
Textiles, apparel and luxury goods – 1.9%      
Canada Goose Holdings, Inc. (A)   973,328     25,627,726
Salvatore Ferragamo SpA (A)   1,041,159     19,610,038
          45,237,764
          529,013,945
Consumer staples – 7.1%          
Beverages – 2.9%      
Anheuser-Busch InBev SA/NV, ADR   281,723     16,920,283
Diageo PLC, ADR   100,766     20,469,605
The Boston Beer Company, Inc., Class A (A)   78,349     30,436,236
          67,826,124
Food and staples retailing – 0.5%      
U.S. Foods Holding Corp. (A)   313,058     11,780,373
Food products – 2.9%      
Post Holdings, Inc. (A)   625,608     43,329,610
The Hain Celestial Group, Inc. (A)   712,778     24,519,563
          67,849,173
Personal products – 0.8%      
BellRing Brands, Inc. (A)   793,137     18,305,604
          165,761,274
Energy – 7.4%          
Oil, gas and consumable fuels – 7.4%      
Cheniere Energy, Inc.   678,862     94,124,216
Suncor Energy, Inc.   1,266,038     41,260,178
Valero Energy Corp.   375,394     38,117,507
          173,501,901
Financials – 14.4%          
Banks – 3.4%      
First Hawaiian, Inc.   2,882,009     80,379,231
Capital markets – 10.5%      
KKR & Company, Inc.   672,862     39,342,241
Fundamental All Cap Core Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets (continued)      
Morgan Stanley   1,197,133   $ 104,629,424
Robinhood Markets, Inc., Class A (A)   407,446     5,504,595
S&P Global, Inc.   129,403     53,078,523
The Goldman Sachs Group, Inc.   133,864     44,188,506
          246,743,289
Consumer finance – 0.5%      
Synchrony Financial   352,712     12,277,905
          339,400,425
Health care – 7.7%          
Biotechnology – 2.9%      
Alnylam Pharmaceuticals, Inc. (A)   189,329     30,915,532
Moderna, Inc. (A)   211,221     36,384,929
          67,300,461
Health care equipment and supplies – 3.0%      
Hologic, Inc. (A)   694,300     53,336,126
Masimo Corp. (A)   115,574     16,820,640
          70,156,766
Health care providers and services – 1.3%      
Anthem, Inc.   60,130     29,537,059
Health care technology – 0.5%      
Change Healthcare, Inc. (A)   597,380     13,022,884
          180,017,170
Industrials – 6.1%          
Electrical equipment – 1.5%      
Regal Rexnord Corp.   141,531     21,056,982
Sensata Technologies Holding PLC (A)   274,932     13,980,292
          35,037,274
Industrial conglomerates – 1.7%      
Roper Technologies, Inc.   85,329     40,294,914
Machinery – 1.2%      
Parker-Hannifin Corp.   99,109     28,123,170
Trading companies and distributors – 1.7%      
United Rentals, Inc. (A)   111,029     39,438,611
          142,893,969
Information technology – 12.5%          
Semiconductors and semiconductor equipment – 4.4%      
Analog Devices, Inc.   131,313     21,690,281
NVIDIA Corp.   300,701     82,049,275
          103,739,556
Software – 3.9%      
salesforce.com, Inc. (A)   194,327     41,259,509
Workday, Inc., Class A (A)   208,422     49,908,732
          91,168,241
Technology hardware, storage and peripherals – 4.2%      
Apple, Inc.   568,999     99,352,915
          294,260,712
Materials – 1.0%          
Chemicals – 1.0%      
Axalta Coating Systems, Ltd. (A)   1,000,873     24,601,458
Real estate – 3.4%          
Equity real estate investment trusts – 2.8%      
American Tower Corp.   178,817     44,922,407
Crown Castle International Corp.   107,767     19,893,788
          64,816,195
Real estate management and development – 0.6%      
Five Point Holdings LLC, Class A (A)   2,500,189     15,276,155
          80,092,350
TOTAL COMMON STOCKS (Cost $1,365,618,885)   $ 2,327,037,832
 
  77  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Fundamental All Cap Core Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 1.0%      
Repurchase agreement – 1.0%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $22,443,000 on 4-1-22, collateralized by $22,922,400 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $22,891,959) $ 22,443,000   $ 22,443,000
TOTAL SHORT-TERM INVESTMENTS (Cost $22,443,000)   $ 22,443,000
Total Investments (Fundamental All Cap Core Trust)
(Cost $1,388,061,885) – 100.0%
  $ 2,349,480,832
Other assets and liabilities, net – (0.0%)     (239,548)
TOTAL NET ASSETS – 100.0%   $ 2,349,241,284
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
Fundamental Large Cap Value Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 97.3%      
Communication services – 9.2%          
Interactive media and services – 3.8%      
Alphabet, Inc., Class A (A)   7,585   $ 21,096,540
Meta Platforms, Inc., Class A (A)   40,403     8,984,011
          30,080,551
Media – 5.4%      
Comcast Corp., Class A   712,208     33,345,577
Liberty Broadband Corp., Series A (A)   74,259     9,732,385
          43,077,962
          73,158,513
Consumer discretionary – 7.4%          
Household durables – 2.7%      
Lennar Corp., A Shares   269,386     21,866,062
Internet and direct marketing retail – 2.1%      
eBay, Inc.   285,688     16,358,495
Specialty retail – 2.6%      
CarMax, Inc. (A)   88,898     8,576,879
Dufry AG (A)   127,744     5,375,175
Group 1 Automotive, Inc.   41,431     6,953,365
          20,905,419
          59,129,976
Consumer staples – 8.9%          
Beverages – 2.5%      
Anheuser-Busch InBev SA/NV, ADR   215,540     12,945,332
Heineken Holding NV   95,873     7,507,159
          20,452,491
Food and staples retailing – 3.1%      
Walmart, Inc.   164,542     24,503,595
Food products – 2.7%      
Danone SA   184,413     10,187,519
Post Holdings, Inc. (A)   165,539     11,465,231
          21,652,750
Personal products – 0.6%      
BellRing Brands, Inc. (A)   209,868     4,843,753
          71,452,589
Fundamental Large Cap Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Energy – 10.1%          
Energy equipment and services – 0.4%      
ChampionX Corp. (A)   132,277   $ 3,238,141
Oil, gas and consumable fuels – 9.7%      
Cheniere Energy, Inc.   236,581     32,801,956
Chevron Corp.   77,769     12,663,126
Kinder Morgan, Inc.   284,984     5,389,047
Suncor Energy, Inc.   644,202     20,994,543
Valero Energy Corp.   59,006     5,991,469
          77,840,141
          81,078,282
Financials – 18.3%          
Banks – 7.4%      
Bank of America Corp.   276,857     11,412,046
Citigroup, Inc.   289,849     15,477,937
JPMorgan Chase & Co.   102,714     14,001,972
Wells Fargo & Company   380,646     18,446,105
          59,338,060
Capital markets – 10.4%      
KKR & Company, Inc.   334,915     19,582,480
Morgan Stanley   154,865     13,535,201
Nasdaq, Inc.   90,090     16,054,038
State Street Corp.   270,800     23,592,096
The Goldman Sachs Group, Inc.   32,249     10,645,395
          83,409,210
Consumer finance – 0.5%      
American Express Company   20,890     3,906,430
          146,653,700
Health care – 16.8%          
Biotechnology – 1.6%      
Gilead Sciences, Inc.   89,153     5,300,146
Moderna, Inc. (A)   40,827     7,032,859
          12,333,005
Health care equipment and supplies – 0.8%      
Hologic, Inc. (A)   81,458     6,257,604
Health care providers and services – 7.7%      
Anthem, Inc.   79,045     38,828,485
HCA Healthcare, Inc.   30,090     7,541,156
UnitedHealth Group, Inc.   30,432     15,519,407
          61,889,048
Life sciences tools and services – 1.7%      
Danaher Corp.   46,843     13,740,457
Pharmaceuticals – 5.0%      
Elanco Animal Health, Inc. (A)   359,170     9,370,745
GlaxoSmithKline PLC, ADR   306,794     13,363,947
Merck & Company, Inc.   112,172     9,203,713
Novartis AG, ADR   92,943     8,155,748
          40,094,153
          134,314,267
Industrials – 13.5%          
Aerospace and defense – 5.6%      
General Dynamics Corp.   16,683     4,023,606
L3Harris Technologies, Inc.   39,793     9,887,367
Lockheed Martin Corp.   19,654     8,675,276
Raytheon Technologies Corp.   223,374     22,129,662
          44,715,911
Machinery – 4.7%      
Fortive Corp.   177,176     10,795,334
 
  78  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Fundamental Large Cap Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Parker-Hannifin Corp.   94,834   $ 26,910,096
          37,705,430
Trading companies and distributors – 3.2%      
United Rentals, Inc. (A)   70,564     25,065,038
          107,486,379
Information technology – 9.5%          
Electronic equipment, instruments and components – 1.4%      
Vontier Corp.   442,154     11,226,290
Semiconductors and semiconductor equipment – 1.1%      
Analog Devices, Inc.   54,378     8,982,158
Software – 5.9%      
Microsoft Corp.   66,716     20,569,210
Oracle Corp.   320,093     26,481,294
          47,050,504
Technology hardware, storage and peripherals – 1.1%      
Samsung Electronics Company, Ltd.   157,290     9,000,600
          76,259,552
Materials – 1.0%          
Chemicals – 1.0%      
LyondellBasell Industries NV, Class A   73,401     7,547,091
Real estate – 2.6%          
Equity real estate investment trusts – 2.6%      
American Tower Corp.   82,082     20,620,640
TOTAL COMMON STOCKS (Cost $572,005,816)   $ 777,700,989
SHORT-TERM INVESTMENTS – 2.9%      
Repurchase agreement – 2.9%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $23,196,000 on 4-1-22, collateralized by $23,691,400 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $23,659,938) $ 23,196,000     23,196,000
TOTAL SHORT-TERM INVESTMENTS (Cost $23,196,000)   $ 23,196,000
Total Investments (Fundamental Large Cap Value Trust)
(Cost $595,201,816) – 100.2%
  $ 800,896,989
Other assets and liabilities, net – (0.2%)     (1,234,927)
TOTAL NET ASSETS – 100.0%   $ 799,662,062
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
Global Equity Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS - 95.8%      
France - 13.1%          
Air Liquide SA   46,022   $ 8,051,312
Capgemini SE   26,591     5,900,658
Carrefour SA   272,550     5,931,284
Cie Generale des Etablissements Michelin SCA   30,650     4,153,575
Sanofi   92,808     9,488,708
TotalEnergies SE   173,544     8,781,296
          42,306,833
Germany - 1.0%          
Deutsche Post AG   70,523     3,367,624
Global Equity Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Ireland - 1.2%          
CRH PLC   95,906   $ 3,830,635
Japan - 4.6%          
FANUC Corp.   33,771     5,927,146
Mitsubishi Estate Company, Ltd.   185,969     2,769,164
Sumitomo Mitsui Financial Group, Inc.   190,700     6,023,905
          14,720,215
Netherlands - 5.9%          
ING Groep NV   469,555     4,902,619
Koninklijke Ahold Delhaize NV   207,200     6,664,730
Stellantis NV   456,072     7,383,609
          18,950,958
Spain - 1.2%          
Amadeus IT Group SA (A)   61,771     4,016,255
Switzerland - 4.9%          
Chubb, Ltd.   27,404     5,861,716
Roche Holding AG   24,777     9,803,314
          15,665,030
United Kingdom - 7.1%          
Amcor PLC, CHESS Depositary Interest   286,493     3,256,645
Associated British Foods PLC   143,640     3,120,304
AstraZeneca PLC   54,553     7,234,418
Ferguson PLC   21,379     2,896,416
Reckitt Benckiser Group PLC   85,911     6,553,784
          23,061,567
United States - 56.8%          
Alphabet, Inc., Class A (A)   5,603     15,583,898
Apple, Inc.   28,534     4,982,322
Arthur J. Gallagher & Company   48,326     8,437,720
AutoZone, Inc. (A)   2,879     5,886,346
Bank of America Corp.   244,814     10,091,233
Cisco Systems, Inc.   128,797     7,181,721
Comcast Corp., Class A   140,685     6,586,872
ConocoPhillips   61,707     6,170,700
Corteva, Inc.   182,645     10,498,435
Electronic Arts, Inc.   51,804     6,553,724
Huntington Bancshares, Inc.   417,168     6,098,996
Intercontinental Exchange, Inc.   18,359     2,425,591
Johnson & Johnson   61,472     10,894,683
Johnson Controls International PLC   67,978     4,457,317
Lennar Corp., A Shares   29,328     2,380,554
Meta Platforms, Inc., Class A (A)   23,048     5,124,953
Microsoft Corp.   45,890     14,148,346
Northrop Grumman Corp.   6,876     3,075,085
Oracle Corp.   79,908     6,610,789
Otis Worldwide Corp.   63,250     4,867,088
Philip Morris International, Inc.   105,468     9,907,664
Stanley Black & Decker, Inc.   17,517     2,448,701
T-Mobile US, Inc. (A)   52,436     6,730,161
UnitedHealth Group, Inc.   19,815     10,105,056
Waste Management, Inc.   41,259     6,539,552
Wells Fargo & Company   119,460     5,789,032
          183,576,539
TOTAL COMMON STOCKS (Cost $274,704,262)   $ 309,495,656
PREFERRED SECURITIES - 2.8%      
South Korea - 2.8%          
Samsung Electronics Company, Ltd.   175,624     9,100,037
TOTAL PREFERRED SECURITIES (Cost $8,813,874)   $ 9,100,037
 
  79  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Global Equity Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS - 1.6%      
Short-term funds - 1.6%          
Federated Government Obligations Fund, Institutional Class, 0.1243% (B)   5,141,656   $ 5,141,656
TOTAL SHORT-TERM INVESTMENTS (Cost $5,141,656)   $ 5,141,656
Total Investments (Global Equity Trust)
(Cost $288,659,792) - 100.2%
  $ 323,737,349
Other assets and liabilities, net - (0.2%)     (636,934)
TOTAL NET ASSETS - 100.0%   $ 323,100,415
Security Abbreviations and Legend
(A) Non-income producing security.
(B) The rate shown is the annualized seven-day yield as of 3-31-22.
Health Sciences Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.9%      
Consumer discretionary – 0.5%          
Specialty retail – 0.5%      
Warby Parker, Inc., Class A (A)   45,065   $ 1,523,648
Financials – 0.2%          
Capital markets – 0.2%      
BCLS Acquisition Corp., Class A (A)   12,029     118,726
Dynamics Special Purpose Corp., Class A (A)   18,789     185,541
Health Sciences Acquisitions Corp. 2 (A)   13,354     132,338
Helix Acquisition Corp., Class A (A)   12,247     135,942
          572,547
Health care – 97.7%          
Biotechnology – 27.4%      
Aadi Bioscience, Inc. (A)   5,700     96,729
AbbVie, Inc.   40,943     6,637,270
Abcam PLC (A)   26,439     477,887
ACADIA Pharmaceuticals, Inc. (A)   23,708     574,208
Adagio Therapeutics, Inc. (A)   8,613     39,275
ADC Therapeutics SA (A)   23,188     340,632
Agios Pharmaceuticals, Inc. (A)   10,518     306,179
Alector, Inc. (A)   11,904     169,632
Alkermes PLC (A)   3,287     86,481
Allakos, Inc. (A)   9,617     54,817
Allogene Therapeutics, Inc. (A)   23,456     213,684
Alnylam Pharmaceuticals, Inc. (A)   23,243     3,795,349
Amgen, Inc.   10,331     2,498,242
Annexon, Inc. (A)   9,245     25,239
Apellis Pharmaceuticals, Inc. (A)   25,441     1,292,657
Argenx SE, ADR (A)   15,839     4,994,195
Ascendis Pharma A/S, ADR (A)   14,765     1,732,820
Avidity Biosciences, Inc. (A)   23,072     426,140
BeiGene, Ltd., ADR (A)   4,285     808,151
Bicycle Therapeutics PLC, ADR (A)   7,229     317,209
Biogen, Inc. (A)   6,045     1,273,077
BioMarin Pharmaceutical, Inc. (A)   5,483     422,739
BioNTech SE, ADR (A)   21,013     3,583,977
Blueprint Medicines Corp. (A)   13,895     887,613
Burning Rock Biotech, Ltd., ADR (A)   12,350     114,732
C4 Therapeutics, Inc. (A)   23,741     575,957
Celldex Therapeutics, Inc. (A)   15,042     512,331
Centessa Pharmaceuticals PLC, ADR (A)   18,009     161,541
Cerevel Therapeutics Holdings, Inc. (A)   33,049     1,157,045
CRISPR Therapeutics AG (A)   5,051     317,051
CureVac NV (A)   7,925     155,409
Cytokinetics, Inc. (A)   6,804     250,455
Health Sciences Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Day One Biopharmaceuticals, Inc. (A)   13,336   $ 132,293
Denali Therapeutics, Inc. (A)   26,879     864,697
Design Therapeutics, Inc. (A)   8,531     137,776
Enanta Pharmaceuticals, Inc. (A)   2,600     185,068
Entrada Therapeutics, Inc. (A)   11,328     106,370
EQRx, Inc. (A)   41,735     172,366
Exact Sciences Corp. (A)   23,957     1,675,073
Exelixis, Inc. (A)   71,725     1,626,006
Exscientia PLC, ADR (A)   4,147     59,717
Fate Therapeutics, Inc. (A)   21,979     852,126
F-star Therapeutics, Inc. (A)   12,596     44,716
Generation Bio Company (A)   37,692     276,659
Genmab A/S (A)   4,322     1,560,904
Global Blood Therapeutics, Inc. (A)   6,332     219,340
Ideaya Biosciences, Inc. (A)   16,735     187,265
IGM Biosciences, Inc. (A)   8,499     227,178
Imago Biosciences, Inc. (A)   16,360     315,257
Immuneering Corp., Class A (A)   26,790     173,331
Immunocore Holdings PLC, ADR (A)   5,762     172,284
Incyte Corp. (A)   31,573     2,507,528
Insmed, Inc. (A)   45,047     1,058,605
Intellia Therapeutics, Inc. (A)   7,845     570,096
Ionis Pharmaceuticals, Inc. (A)   25,433     942,038
Iovance Biotherapeutics, Inc. (A)   34,648     576,889
IVERIC bio, Inc. (A)   46,124     776,267
Karuna Therapeutics, Inc. (A)   8,268     1,048,300
Kodiak Sciences, Inc. (A)   10,699     82,596
Kronos Bio, Inc. (A)   2,083     15,060
Kymera Therapeutics, Inc. (A)   14,979     633,911
LianBio, ADR (A)   30,782     114,201
Lyell Immunopharma, Inc. (A)   41,100     207,555
MeiraGTx Holdings PLC (A)   10,086     139,691
Mirati Therapeutics, Inc. (A)   10,586     870,381
Moderna, Inc. (A)   21,156     3,644,333
Monte Rosa Therapeutics, Inc. (A)   27,152     380,671
Morphic Holding, Inc. (A)   5,689     228,413
Neurocrine Biosciences, Inc. (A)   6,183     579,656
Nurix Therapeutics, Inc. (A)   15,120     211,831
Pardes Biosciences, Inc. (A)   29,022     209,539
Prelude Therapeutics, Inc. (A)   7,294     50,329
Progenics Pharmaceuticals, Inc. (A)(B)   21,900     18,615
Protagonist Therapeutics, Inc. (A)   8,019     189,890
Prothena Corp. PLC (A)   16,560     605,599
PTC Therapeutics, Inc. (A)   9,074     338,551
RAPT Therapeutics, Inc. (A)   14,949     328,729
Recursion Pharmaceuticals, Inc., Class A (A)   13,336     95,486
Regeneron Pharmaceuticals, Inc. (A)   7,936     5,542,661
REGENXBIO, Inc. (A)   4,300     142,717
Relay Therapeutics, Inc. (A)   20,357     609,285
Repare Therapeutics, Inc. (A)   6,100     86,864
Replimune Group, Inc. (A)   22,880     388,502
Revolution Healthcare Acquisition Corp. (A)   31,883     315,323
REVOLUTION Medicines, Inc. (A)   19,042     485,761
Rocket Pharmaceuticals, Inc. (A)   8,094     128,371
Rubius Therapeutics, Inc. (A)   15,572     85,802
Sage Therapeutics, Inc. (A)   13,342     441,620
Sana Biotechnology, Inc. (A)   13,107     108,264
Sarepta Therapeutics, Inc. (A)   9,016     704,330
Scholar Rock Holding Corp. (A)   20,618     265,766
Seagen, Inc. (A)   17,789     2,562,505
SpringWorks Therapeutics, Inc. (A)   5,481     309,348
Stoke Therapeutics, Inc. (A)   8,627     181,598
Tenaya Therapeutics, Inc. (A)   14,265     168,042
 
  80  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Health Sciences Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Turning Point Therapeutics, Inc. (A)   11,098   $ 297,981
Twist Bioscience Corp. (A)   8,130     401,459
Ultragenyx Pharmaceutical, Inc. (A)   29,702     2,156,959
uniQure NV (A)   10,600     191,542
Vertex Pharmaceuticals, Inc. (A)   23,362     6,096,781
Vir Biotechnology, Inc. (A)   7,100     182,612
Xencor, Inc. (A)   17,555     468,367
Zai Lab, Ltd., ADR (A)   8,301     365,078
Zentalis Pharmaceuticals, Inc. (A)   17,846     823,414
          83,222,861
Health care equipment and supplies – 17.8%      
Alcon, Inc.   13,638     1,080,483
Align Technology, Inc. (A)   1,388     605,168
AtriCure, Inc. (A)   5,862     384,958
Becton, Dickinson and Company   22,830     6,072,780
DexCom, Inc. (A)   4,826     2,468,982
Hologic, Inc. (A)   56,491     4,339,639
Inari Medical, Inc. (A)   4,223     382,773
Insulet Corp. (A)   6,660     1,774,157
Intuitive Surgical, Inc. (A)   35,437     10,690,634
iRhythm Technologies, Inc. (A)   8,244     1,298,183
Lantheus Holdings, Inc. (A)   18,533     1,025,060
Masimo Corp. (A)   1,000     145,540
Nevro Corp. (A)   4,319     312,393
Novocure, Ltd. (A)   19,927     1,650,952
Ortho Clinical Diagnostics Holdings PLC (A)   67,405     1,257,777
Outset Medical, Inc. (A)   10,082     457,723
Penumbra, Inc. (A)   9,380     2,083,579
PROCEPT BioRobotics Corp. (A)   17,403     608,931
Quidel Corp. (A)   8,084     909,127
Shockwave Medical, Inc. (A)   13,393     2,777,172
STERIS PLC   4,107     992,949
Stryker Corp.   28,030     7,493,821
Teleflex, Inc.   7,167     2,543,067
The Cooper Companies, Inc.   3,739     1,561,369
Zimmer Biomet Holdings, Inc.   8,655     1,106,975
Zimvie, Inc. (A)   865     19,757
          54,043,949
Health care providers and services – 19.1%      
Agiliti, Inc. (A)   20,758     437,994
agilon health, Inc. (A)   13,032     330,361
Alignment Healthcare, Inc. (A)   14,779     165,968
Anthem, Inc.   14,626     7,184,584
Centene Corp. (A)   74,832     6,300,106
Cigna Corp.   14,681     3,517,714
Guardant Health, Inc. (A)   13,524     895,830
HCA Healthcare, Inc.   13,541     3,393,645
Humana, Inc.   14,222     6,188,988
Molina Healthcare, Inc. (A)   12,174     4,061,125
Oak Street Health, Inc. (A)   7,898     212,298
Option Care Health, Inc. (A)   20,346     581,082
Surgery Partners, Inc. (A)   15,176     835,439
UnitedHealth Group, Inc.   46,884     23,909,432
          58,014,566
Health care technology – 2.1%      
Certara, Inc. (A)   17,771     381,721
Doximity, Inc., Class A (A)   41,493     2,161,370
Phreesia, Inc. (A)   21,520     567,267
Schrodinger, Inc. (A)   4,954     169,030
Sema4 Holdings Corp. (A)   30,292     92,996
Sophia Genetics SA (A)   26,245     202,874
Health Sciences Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care technology (continued)      
Veeva Systems, Inc., Class A (A)   13,531   $ 2,874,796
          6,450,054
Life sciences tools and services – 17.9%      
10X Genomics, Inc., Class A (A)   10,096     768,003
Adaptive Biotechnologies Corp. (A)   25,114     348,582
Agilent Technologies, Inc.   39,613     5,241,988
Avantor, Inc. (A)   77,912     2,634,984
Bio-Techne Corp.   2,200     952,688
Bruker Corp.   36,200     2,327,660
Danaher Corp.   42,235     12,388,793
Evotec SE (A)   14,301     430,355
Illumina, Inc. (A)   2,500     873,500
Lonza Group AG   1,486     1,076,761
Maravai LifeSciences Holdings, Inc., Class A (A)   16,748     590,702
MaxCyte, Inc. (London Stock Exchange) (A)   11,231     79,037
Mettler-Toledo International, Inc. (A)   833     1,143,867
NanoString Technologies, Inc. (A)   6,697     232,721
Olink Holding AB, ADR (A)   37,166     656,352
Pacific Biosciences of California, Inc. (A)   54,894     499,535
Quanterix Corp. (A)   9,989     291,579
Quantum-Si, Inc. (A)   40,582     189,924
Rapid Micro Biosystems, Inc., Class A (A)   15,325     104,057
Repligen Corp. (A)   3,187     599,443
Seer, Inc. (A)   43,316     660,136
SomaLogic, Inc. (A)   67,026     537,549
Thermo Fisher Scientific, Inc.   26,134     15,436,047
Waters Corp. (A)   2,847     883,680
West Pharmaceutical Services, Inc.   12,615     5,181,107
Wuxi Biologics Cayman, Inc. (A)(C)   57,500     456,584
          54,585,634
Pharmaceuticals – 13.4%      
Arvinas, Inc. (A)   11,123     748,578
AstraZeneca PLC, ADR   134,925     8,950,925
Atea Pharmaceuticals, Inc. (A)   7,177     51,818
Catalent, Inc. (A)   16,041     1,778,947
CinCor Pharma, Inc. (A)   9,989     175,207
Daiichi Sankyo Company, Ltd.   55,700     1,216,320
DICE Therapeutics, Inc. (A)   13,216     252,822
Elanco Animal Health, Inc. (A)   19,393     505,963
Eli Lilly & Company   34,675     9,929,880
Longboard Pharmaceuticals, Inc. (A)   6,454     33,496
Merck & Company, Inc.   46,730     3,834,197
Pfizer, Inc.   141,157     7,307,698
Relmada Therapeutics, Inc. (A)   2,150     58,029
Roche Holding AG   9,049     3,580,343
Royalty Pharma PLC, Class A   30,049     1,170,709
Theseus Pharmaceuticals, Inc. (A)   19,331     222,886
Zoetis, Inc.   4,880     920,319
          40,738,137
          297,055,201
Industrials – 0.4%          
Industrial conglomerates – 0.4%      
General Electric Company   12,642     1,156,743
Information technology – 0.0%          
Electronic equipment, instruments and components – 0.0%      
Shimadzu Corp.   6,200     213,246
 
  81  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Health Sciences Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Materials – 0.1%          
Chemicals – 0.1%      
Ginkgo Bioworks Holdings, Inc. (A)   78,858   $ 317,798
TOTAL COMMON STOCKS (Cost $218,408,733)   $ 300,839,183
PREFERRED SECURITIES – 0.5%          
Health care – 0.5%          
Health care equipment and supplies – 0.5%      
Sartorius AG   3,493     1,541,613
TOTAL PREFERRED SECURITIES (Cost $519,899)   $ 1,541,613
WARRANTS – 0.0%          
EQRx, Inc. (Expiration Date: 12-20-26; Strike Price: $11.50) (A)   4,502     3,647
Sema4 Holdings Corp. (Expiration Date: 9-24-27; Strike Price: $11.50) (A)   4,862     3,355
SomaLogic, Inc. (Expiration Date: 8-31-26; Strike Price: $11.50) (A)   2,050     4,182
TOTAL WARRANTS (Cost $29,139)   $ 11,184
SHORT-TERM INVESTMENTS – 0.3%      
Short-term funds – 0.3%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (D)   500,006     500,006
T. Rowe Price Government Reserve Fund, 0.2855% (D)   373,784     373,784
TOTAL SHORT-TERM INVESTMENTS (Cost $873,790)   $ 873,790
Total Investments (Health Sciences Trust)
(Cost $219,831,561) – 99.7%
  $ 303,265,770
Other assets and liabilities, net – 0.3%     806,858
TOTAL NET ASSETS – 100.0%   $ 304,072,628
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
(B) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(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 3-31-22.
High Yield Trust
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS – 0.6%      
Argentina – 0.3%          
Provincia de Buenos Aires
(3.900% to 9-1-22, then 5.250% to 9-1-23, then 6.375% to 9-1-24, then 6.625% thereafter), 09/01/2037 (A)
$ 756,976   $ 322,479
Republic of Argentina          
1.000%, 07/09/2029   59,073     20,178
(0.500% to 7-9-23, then 0.750% to 7-9-27, then 1.750% thereafter), 07/09/2030   598,627     200,546
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Argentina (continued)          
Republic of Argentina (continued)          
(1.125% to 7-9-22, then 1.500% to 7-9-23, then 3.625% to 7-9-24, then 4.125% to 7-9-27, then 4.750% to 7-9-28, then 5.000% thereafter), 07/09/2035 $ 526,571   $ 160,557
          703,760
Brazil – 0.3%          
Federative Republic of Brazil
10.000%, 01/01/2023 to 01/01/2027
BRL 2,808,000     590,829
Indonesia – 0.0%          
Republic of Indonesia
8.375%, 03/15/2034
IDR 74,000,000     5,642
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $1,862,042)   $ 1,300,231
CORPORATE BONDS – 84.7%      
Communication services – 12.7%          
Accelerate360 Holdings LLC
8.000%, 03/01/2028 (A)
$ 719,050     749,610
Allen Media LLC
10.500%, 02/15/2028 (A)
  1,690,000     1,665,101
Altice Financing SA
5.750%, 08/15/2029 (A)
  780,000     709,086
Altice France Holding SA
10.500%, 05/15/2027 (A)
  240,000     251,161
Altice France SA
5.125%, 07/15/2029 (A)
  590,000     528,788
AMC Entertainment Holdings, Inc.
10.000%, 06/15/2026 (A)(B)
  1,050,000     943,052
CCO Holdings LLC          
4.250%, 02/01/2031 (A)   130,000     117,975
4.500%, 08/15/2030 (A)   620,000     581,741
4.500%, 05/01/2032   820,000     750,054
4.750%, 02/01/2032 (A)   540,000     502,870
Charter Communications Operating LLC
6.484%, 10/23/2045
  230,000     261,828
Cinemark USA, Inc.
5.875%, 03/15/2026 (A)
  600,000     582,000
Clear Channel Outdoor Holdings, Inc.
7.500%, 06/01/2029 (A)
  760,000     758,370
CSC Holdings LLC          
4.125%, 12/01/2030 (A)   240,000     210,448
5.000%, 11/15/2031 (A)   330,000     276,494
5.750%, 01/15/2030 (A)   300,000     267,000
6.500%, 02/01/2029 (A)   800,000     806,352
DIRECTV Holdings LLC
5.875%, 08/15/2027 (A)
  710,000     698,463
DISH DBS Corp.          
5.125%, 06/01/2029   1,000,000     851,590
5.750%, 12/01/2028 (A)   900,000     851,625
5.875%, 11/15/2024   500,000     498,750
7.750%, 07/01/2026   870,000     864,345
Frontier Communications Holdings LLC          
5.000%, 05/01/2028 (A)   240,000     230,400
6.750%, 05/01/2029 (A)   210,000     201,600
Gannett Holdings LLC
6.000%, 11/01/2026 (A)(B)
  620,000     599,850
iHeartCommunications, Inc.          
4.750%, 01/15/2028 (A)   190,000     181,450
5.250%, 08/15/2027 (A)   410,000     405,388
Match Group Holdings II LLC          
3.625%, 10/01/2031 (A)(B)   480,000     429,329
4.625%, 06/01/2028 (A)   400,000     387,500
 
  82  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
News Corp.
3.875%, 05/15/2029 (A)
$ 610,000   $ 576,450
Photo Holdings Merger Sub, Inc.
8.500%, 10/01/2026 (A)
  600,000     571,764
Playtika Holding Corp.
4.250%, 03/15/2029 (A)
  490,000     452,025
Sprint Capital Corp.
8.750%, 03/15/2032
  115,000     154,905
Sprint Corp.          
7.625%, 02/15/2025   510,000     555,900
7.875%, 09/15/2023   670,000     711,875
Switch, Ltd.          
3.750%, 09/15/2028 (A)   280,000     271,529
4.125%, 06/15/2029 (A)   260,000     255,775
Time Warner Cable LLC
7.300%, 07/01/2038
  220,000     267,099
T-Mobile USA, Inc.          
3.500%, 04/15/2031   130,000     122,327
3.500%, 04/15/2031 (A)   710,000     668,096
Univision Communications, Inc.
9.500%, 05/01/2025 (A)
  580,000     609,000
UPC Holding BV
5.500%, 01/15/2028 (A)
  430,000     424,724
Urban One, Inc.
7.375%, 02/01/2028 (A)
  340,000     341,275
Viavi Solutions, Inc.
3.750%, 10/01/2029 (A)
  270,000     253,374
Virgin Media Secured Finance PLC
5.500%, 05/15/2029 (A)
  330,000     327,525
Virgin Media Vendor Financing Notes IV DAC
5.000%, 07/15/2028 (A)
  470,000     451,200
Vmed O2 UK Financing I PLC
4.750%, 07/15/2031 (A)
  910,000     857,675
ZipRecruiter, Inc.
5.000%, 01/15/2030 (A)
  330,000     322,268
ZoomInfo Technologies LLC
3.875%, 02/01/2029 (A)
  700,000     639,818
          24,996,824
Consumer discretionary – 16.7%          
Academy, Ltd.
6.000%, 11/15/2027 (A)
  250,000     255,958
Adtalem Global Education, Inc.
5.500%, 03/01/2028 (A)
  980,000     948,150
American Axle & Manufacturing, Inc.
5.000%, 10/01/2029 (B)
  1,080,000     1,013,191
American News Company LLC (8.500% Cash or 10.000% PIK) 8.500%, 09/01/2026 (A)   552,617     618,931
Bath & Body Works, Inc.          
5.250%, 02/01/2028   920,000     925,419
6.625%, 10/01/2030 (A)   180,000     189,000
7.500%, 06/15/2029   160,000     173,311
9.375%, 07/01/2025 (A)   340,000     388,076
Bed Bath & Beyond, Inc.
5.165%, 08/01/2044
  680,000     482,800
Boyne USA, Inc.
4.750%, 05/15/2029 (A)
  500,000     480,000
Caesars Entertainment, Inc.          
4.625%, 10/15/2029 (A)   600,000     561,000
6.250%, 07/01/2025 (A)   360,000     371,678
Carnival Corp.          
5.750%, 03/01/2027 (A)   690,000     658,029
6.000%, 05/01/2029 (A)   460,000     433,476
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Carriage Purchaser, Inc.
7.875%, 10/15/2029 (A)
$ 720,000   $ 664,582
Carriage Services, Inc.
4.250%, 05/15/2029 (A)
  640,000     596,109
Carrols Restaurant Group, Inc.
5.875%, 07/01/2029 (A)(B)
  350,000     285,250
Dornoch Debt Merger Sub, Inc.
6.625%, 10/15/2029 (A)
  410,000     356,483
Empire Communities Corp.
7.000%, 12/15/2025 (A)
  650,000     642,200
Fertitta Entertainment LLC          
4.625%, 01/15/2029 (A)   190,000     180,025
6.750%, 01/15/2030 (A)   260,000     239,192
Fontainebleau Las Vegas Holdings LLC
11.000%, 06/15/2015 (A)(C)
  3,600,425     360
Ford Motor Company          
3.250%, 02/12/2032   400,000     357,252
9.000%, 04/22/2025   670,000     767,230
Ford Motor Credit Company LLC          
4.000%, 11/13/2030   1,280,000     1,205,376
4.950%, 05/28/2027   330,000     335,544
5.113%, 05/03/2029   1,100,000     1,106,523
5.125%, 06/16/2025   460,000     469,200
Full House Resorts, Inc.
8.250%, 02/15/2028 (A)
  750,000     766,875
Installed Building Products, Inc.
5.750%, 02/01/2028 (A)
  410,000     399,750
Melco Resorts Finance, Ltd.
5.375%, 12/04/2029 (A)
  340,000     288,150
NCL Corp., Ltd.          
5.875%, 03/15/2026 to 02/15/2027 (A)   1,030,000     1,004,098
7.750%, 02/15/2029 (A)(B)   610,000     614,233
NMG Holding Company, Inc.
7.125%, 04/01/2026 (A)
  300,000     308,100
Nordstrom, Inc.
5.000%, 01/15/2044 (B)
  700,000     626,773
Party City Holdings, Inc.
8.750%, 02/15/2026 (A)
  700,000     667,398
PetSmart, Inc.          
4.750%, 02/15/2028 (A)   250,000     241,601
7.750%, 02/15/2029 (A)   250,000     258,125
Rent-A-Center, Inc.
6.375%, 02/15/2029 (A)(B)
  620,000     567,300
Royal Caribbean Cruises, Ltd.          
4.250%, 07/01/2026 (A)   590,000     548,812
5.500%, 08/31/2026 to 04/01/2028 (A)   1,360,000     1,308,335
Sands China, Ltd.
5.400%, 08/08/2028
  200,000     196,044
Sizzling Platter LLC
8.500%, 11/28/2025 (A)
  430,000     397,853
Speedway Motorsports LLC
4.875%, 11/01/2027 (A)
  320,000     311,200
StoneMor, Inc.
8.500%, 05/15/2029 (A)
  790,000     782,100
Sugarhouse HSP Gaming Prop Mezz LP
5.875%, 05/15/2025 (A)
  270,000     265,950
The Gap, Inc.
3.875%, 10/01/2031 (A)
  580,000     505,238
The Michaels Companies, Inc.          
5.250%, 05/01/2028 (A)   270,000     247,887
7.875%, 05/01/2029 (A)   750,000     642,188
TopBuild Corp.
3.625%, 03/15/2029 (A)
  550,000     499,813
Viking Cruises, Ltd.          
5.875%, 09/15/2027 (A)   390,000     355,454
 
  83  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Viking Cruises, Ltd. (continued)          
7.000%, 02/15/2029 (A) $ 1,500,000   $ 1,380,000
13.000%, 05/15/2025 (A)   910,000     1,011,429
VOC Escrow, Ltd.
5.000%, 02/15/2028 (A)
  1,525,000     1,418,242
WW International, Inc.
4.500%, 04/15/2029 (A)(B)
  800,000     647,784
Wynn Macau, Ltd.          
4.875%, 10/01/2024 (A)   310,000     290,386
5.125%, 12/15/2029 (A)(B)   260,000     220,350
5.625%, 08/26/2028 (A)   920,000     799,259
Wynn Resorts Finance LLC
7.750%, 04/15/2025 (A)
  480,000     498,077
          32,773,149
Consumer staples – 1.0%          
Edgewell Personal Care Company
4.125%, 04/01/2029 (A)
  340,000     312,875
Kraft Heinz Foods Company          
5.200%, 07/15/2045   300,000     324,750
5.500%, 06/01/2050   220,000     249,817
Simmons Foods, Inc.
4.625%, 03/01/2029 (A)
  590,000     553,125
Triton Water Holdings, Inc.
6.250%, 04/01/2029 (A)
  610,000     520,080
Vector Group, Ltd.
10.500%, 11/01/2026 (A)
  110,000     112,528
          2,073,175
Energy – 11.9%          
Antero Resources Corp.
5.375%, 03/01/2030 (A)
  430,000     439,138
Apache Corp.
7.750%, 12/15/2029
  310,000     364,495
Berry Petroleum Company LLC
7.000%, 02/15/2026 (A)(B)
  1,290,000     1,273,875
Blue Racer Midstream LLC          
6.625%, 07/15/2026 (A)   670,000     680,519
7.625%, 12/15/2025 (A)   310,000     324,139
Cheniere Energy Partners LP
4.000%, 03/01/2031
  470,000     455,613
Chesapeake Energy Corp.
5.500%, 02/01/2026 (A)
  80,000     81,927
CNX Midstream Partners LP
4.750%, 04/15/2030 (A)
  740,000     692,988
Colgate Energy Partners III LLC
5.875%, 07/01/2029 (A)
  1,320,000     1,360,854
Comstock Resources, Inc.          
5.875%, 01/15/2030 (A)   380,000     374,414
7.500%, 05/15/2025 (A)   144,000     146,160
DCP Midstream Operating LP          
6.450%, 11/03/2036 (A)   280,000     322,630
6.750%, 09/15/2037 (A)   590,000     691,775
Endeavor Energy Resources LP          
5.750%, 01/30/2028 (A)   150,000     155,063
6.625%, 07/15/2025 (A)   320,000     332,000
Energy Transfer LP (6.500% to 11-15-26, then 5 Year CMT + 5.694%) 11/15/2026 (D)   180,000     176,904
EQM Midstream Partners LP          
4.000%, 08/01/2024 (B)   120,000     118,720
5.500%, 07/15/2028   560,000     562,192
6.000%, 07/01/2025 (A)   240,000     244,811
6.500%, 07/01/2027 (A)   220,000     229,799
6.500%, 07/15/2048   240,000     231,600
EQT Corp.          
3.125%, 05/15/2026 (A)   190,000     184,541
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
EQT Corp. (continued)          
3.625%, 05/15/2031 (A) $ 180,000   $ 171,900
5.000%, 01/15/2029   590,000     609,081
6.625%, 02/01/2025   80,000     84,501
Howard Midstream Energy Partners LLC
6.750%, 01/15/2027 (A)
  610,000     597,800
MEG Energy Corp.
7.125%, 02/01/2027 (A)
  1,130,000     1,183,110
Neptune Energy Bondco PLC
6.625%, 05/15/2025 (A)
  250,000     251,373
Northern Oil and Gas, Inc.
8.125%, 03/01/2028 (A)
  850,000     885,547
Oasis Petroleum, Inc.
6.375%, 06/01/2026 (A)
  990,000     1,014,750
Occidental Petroleum Corp.          
4.100%, 02/15/2047   120,000     111,000
4.400%, 04/15/2046   180,000     171,000
6.125%, 01/01/2031   330,000     371,250
6.600%, 03/15/2046   390,000     458,250
8.875%, 07/15/2030   490,000     628,425
Penn Virginia Holdings LLC
9.250%, 08/15/2026 (A)
  1,310,000     1,381,788
Petrobras Global Finance BV          
5.750%, 02/01/2029   100,000     103,910
6.850%, 06/05/2115   410,000     384,514
Range Resources Corp.          
4.750%, 02/15/2030 (A)(B)   440,000     436,999
8.250%, 01/15/2029   490,000     536,996
Southwestern Energy Company
4.750%, 02/01/2032
  470,000     469,413
Summit Midstream Holdings LLC
8.500%, 10/15/2026 (A)
  320,000     305,130
Tallgrass Energy Partners LP
6.000%, 12/31/2030 (A)
  730,000     708,355
Targa Resources Partners LP          
4.000%, 01/15/2032   320,000     307,835
4.875%, 02/01/2031   570,000     575,700
Venture Global Calcasieu Pass LLC
3.875%, 11/01/2033 (A)
  530,000     506,813
Western Midstream Operating LP          
3.600%, 02/01/2025   530,000     526,415
3.950%, 06/01/2025   110,000     110,670
5.500%, 08/15/2048   580,000     572,750
5.750%, 02/01/2050   530,000     516,750
          23,426,182
Financials – 8.5%          
Acuris Finance U.S., Inc.
5.000%, 05/01/2028 (A)
  200,000     183,750
AFC Gamma, Inc.
5.750%, 05/01/2027 (A)
  530,000     518,885
AmWINS Group, Inc.
4.875%, 06/30/2029 (A)
  920,000     883,218
Apollo Commercial Real Estate Finance, Inc.
4.625%, 06/15/2029 (A)
  710,000     644,325
Banco Mercantil del Norte SA (6.875% to 7-6-22, then 5 Year CMT + 5.035%) 07/06/2022 (A)(D)   200,000     200,000
Barclays PLC (8.000% to 6-15-24, then 5 Year CMT + 5.672%) 06/15/2024 (D)   380,000     401,470
BNP Paribas SA (7.375% to 8-19-25, then 5 Year U.S. Swap Rate + 5.150%) 08/19/2025 (A)(D)   390,000     420,225
 
  84  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Burford Capital Global Finance LLC
6.250%, 04/15/2028 (A)
$ 630,000   $ 639,576
Citigroup, Inc. (5.950% to 5-15-25, then 3 month LIBOR + 3.905%) 05/15/2025 (D)   180,000     183,474
Citigroup, Inc. (6.300% to 5-15-24, then 3 month LIBOR + 3.423%) 05/15/2024 (D)   410,000     411,640
Coinbase Global, Inc.
3.625%, 10/01/2031 (A)(B)
  540,000     460,350
Compass Group Diversified Holdings LLC
5.250%, 04/15/2029 (A)
  420,000     394,800
Credit Agricole SA (8.125% to 12-23-25, then 5 Year U.S. Swap Rate + 6.185%) 12/23/2025 (A)(D)   340,000     377,553
Credit Suisse Group AG (6.375% to 8-21-26, then 5 Year CMT + 4.822%) 08/21/2026 (A)(D)   430,000     424,440
Credit Suisse Group AG (7.250% to 9-12-25, then 5 Year ICE Swap Rate + 4.332%) 09/12/2025 (A)(D)   200,000     202,250
FirstCash, Inc.          
4.625%, 09/01/2028 (A)   530,000     492,826
5.625%, 01/01/2030 (A)   440,000     422,770
Global Aircraft Leasing Company, Ltd. (6.500% Cash or 7.250% PIK) 6.500%, 09/15/2024 (A)   1,851,318     1,681,987
Highlands Holdings Bond Issuer, Ltd. (7.625% Cash or 8.375% PIK) 7.625%, 10/15/2025 (A)   645,962     648,630
Intesa Sanpaolo SpA (4.198% to 6-1-31, then 1 Year CMT + 2.600%) 06/01/2032 (A)   460,000     406,645
Jane Street Group
4.500%, 11/15/2029 (A)
  320,000     303,235
Ladder Capital Finance Holdings LLLP          
4.250%, 02/01/2027 (A)   460,000     440,847
4.750%, 06/15/2029 (A)   300,000     282,938
LD Holdings Group LLC          
6.125%, 04/01/2028 (A)   380,000     336,216
6.500%, 11/01/2025 (A)   700,000     656,250
Midcap Financial Issuer Trust          
5.625%, 01/15/2030 (A)   380,000     335,795
6.500%, 05/01/2028 (A)   430,000     404,424
NMI Holdings, Inc.
7.375%, 06/01/2025 (A)
  650,000     682,500
Rocket Mortgage LLC          
3.875%, 03/01/2031 (A)   630,000     570,150
4.000%, 10/15/2033 (A)   650,000     569,335
Ryan Specialty Group LLC
4.375%, 02/01/2030 (A)
  520,000     491,400
StoneX Group, Inc.
8.625%, 06/15/2025 (A)
  270,000     281,140
UBS Group AG (7.000% to 1-31-24, then 5 Year U.S. Swap Rate + 4.344%) 01/31/2024 (A)(D)   550,000     573,821
UniCredit SpA (5.459% to 6-30-30, then 5 Year CMT + 4.750%) 06/30/2035 (A)   720,000     687,994
          16,614,859
Health care – 8.2%          
AdaptHealth LLC          
4.625%, 08/01/2029 (A)   460,000     419,759
5.125%, 03/01/2030 (A)(B)   760,000     705,850
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
Akumin, Inc.
7.000%, 11/01/2025 (A)
$ 720,000   $ 597,600
Bausch Health Americas, Inc.          
8.500%, 01/31/2027 (A)(B)   520,000     518,580
9.250%, 04/01/2026 (A)   810,000     829,570
Bausch Health Companies, Inc.          
6.125%, 02/01/2027 (A)   360,000     362,282
6.250%, 02/15/2029 (A)   490,000     401,800
Cano Health LLC
6.250%, 10/01/2028 (A)(B)
  420,000     403,200
Centene Corp.
4.625%, 12/15/2029
  500,000     504,045
Community Health Systems, Inc.          
6.125%, 04/01/2030 (A)(B)   1,230,000     1,144,478
6.875%, 04/15/2029 (A)(B)   390,000     383,175
Endo Luxembourg Finance Company I Sarl
6.125%, 04/01/2029 (A)
  550,000     501,875
HCA, Inc.
5.625%, 09/01/2028
  800,000     865,000
Minerva Merger Sub, Inc.
6.500%, 02/15/2030 (A)
  890,000     863,411
Mozart Debt Merger Sub, Inc.          
3.875%, 04/01/2029 (A)   1,070,000     989,750
5.250%, 10/01/2029 (A)   1,790,000     1,664,109
Option Care Health, Inc.
4.375%, 10/31/2029 (A)
  540,000     506,250
Par Pharmaceutical, Inc.
7.500%, 04/01/2027 (A)
  620,000     578,553
Radiology Partners, Inc.
9.250%, 02/01/2028 (A)
  460,000     460,000
RegionalCare Hospital Partners Holdings, Inc.
9.750%, 12/01/2026 (A)
  400,000     418,420
Tenet Healthcare Corp.
4.625%, 06/15/2028 (A)
  440,000     431,750
Teva Pharmaceutical Finance
Netherlands III BV
         
5.125%, 05/09/2029 (B)   1,390,000     1,336,096
7.125%, 01/31/2025   530,000     557,528
U.S. Renal Care, Inc.
10.625%, 07/15/2027 (A)
  650,000     619,125
          16,062,206
Industrials – 12.4%          
AerCap Ireland Capital DAC
3.300%, 01/30/2032
  160,000     144,234
Air Canada
3.875%, 08/15/2026 (A)
  460,000     434,125
Allied Universal Holdco LLC          
4.625%, 06/01/2028 (A)   300,000     280,410
6.000%, 06/01/2029 (A)   430,000     379,331
6.625%, 07/15/2026 (A)   360,000     364,259
Alta Equipment Group, Inc.
5.625%, 04/15/2026 (A)
  650,000     617,793
American Airlines, Inc.          
5.500%, 04/20/2026 (A)   370,000     372,775
5.750%, 04/20/2029 (A)   610,000     607,713
Anagram International, Inc. (5.000% Cash and 5.000% PIK) 10.000%, 08/15/2026 (A)   83,231     86,560
ATS Automation Tooling Systems, Inc.
4.125%, 12/15/2028 (A)
  300,000     282,000
Brundage-Bone Concrete Pumping Holdings, Inc.
6.000%, 02/01/2026 (A)
  650,000     625,775
 
  85  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
Clydesdale Acquisition Holdings, Inc.
6.625%, 04/15/2029 (A)
$ 210,000   $ 210,000
CoreCivic, Inc.          
4.625%, 05/01/2023   110,000     110,509
8.250%, 04/15/2026   1,070,000     1,102,100
Cornerstone Building Brands, Inc.
6.125%, 01/15/2029 (A)
  430,000     399,062
Covanta Holding Corp.
4.875%, 12/01/2029 (A)
  510,000     486,897
CP Atlas Buyer, Inc.
7.000%, 12/01/2028 (A)
  440,000     375,162
Delta Air Lines, Inc.
4.750%, 10/20/2028 (A)
  470,000     473,599
Doman Building Materials Group, Ltd.
5.250%, 05/15/2026 (A)
CAD 590,000     451,886
Foundation Building Materials, Inc.
6.000%, 03/01/2029 (A)
$ 300,000     270,000
H&E Equipment Services, Inc.
3.875%, 12/15/2028 (A)
  920,000     862,500
Hawaiian Brand Intellectual Property, Ltd.
5.750%, 01/20/2026 (A)
  510,000     510,291
Legends Hospitality Holding Company LLC
5.000%, 02/01/2026 (A)
  850,000     816,000
Madison IAQ LLC
5.875%, 06/30/2029 (A)
  900,000     807,750
Mileage Plus Holdings LLC
6.500%, 06/20/2027 (A)
  500,000     521,250
MIWD Holdco II LLC
5.500%, 02/01/2030 (A)
  870,000     812,363
Park-Ohio Industries, Inc.
6.625%, 04/15/2027
  270,000     226,125
PGT Innovations, Inc.
4.375%, 10/01/2029 (A)
  360,000     335,700
PM General Purchaser LLC
9.500%, 10/01/2028 (A)
  680,000     668,188
Prime Security Services Borrower LLC          
3.375%, 08/31/2027 (A)   390,000     356,807
5.750%, 04/15/2026 (A)   470,000     479,482
6.250%, 01/15/2028 (A)   920,000     900,307
Resideo Funding, Inc.
4.000%, 09/01/2029 (A)
  630,000     573,332
Ritchie Bros Holdings, Inc.
4.750%, 12/15/2031 (A)
  280,000     273,000
Roller Bearing Company of America, Inc.
4.375%, 10/15/2029 (A)
  730,000     680,725
Spirit Loyalty Cayman, Ltd.
8.000%, 09/20/2025 (A)
  546,000     581,490
SRM Escrow Issuer LLC
6.000%, 11/01/2028 (A)
  770,000     759,420
The ADT Security Corp.
4.125%, 08/01/2029 (A)
  650,000     603,688
Titan International, Inc.
7.000%, 04/30/2028
  670,000     672,151
TK Elevator U.S. Newco, Inc.
5.250%, 07/15/2027 (A)
  450,000     445,064
TransDigm, Inc.          
4.625%, 01/15/2029   770,000     719,927
8.000%, 12/15/2025 (A)   200,000     209,156
United Airlines 2014-1 Class B Pass Through Trust
4.750%, 04/11/2022
  57,639     57,665
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
United Airlines 2020-1 Class B Pass Through Trust
4.875%, 01/15/2026
$ 259,200   $ 251,938
United Airlines, Inc.          
4.375%, 04/15/2026 (A)   120,000     118,041
4.625%, 04/15/2029 (A)   230,000     218,719
United Rentals North America, Inc.          
4.875%, 01/15/2028   640,000     650,109
5.250%, 01/15/2030   400,000     412,500
Vertiv Group Corp.
4.125%, 11/15/2028 (A)
  760,000     693,587
VistaJet Malta Finance PLC
6.375%, 02/01/2030 (A)(B)
  690,000     649,197
XPO CNW, Inc.
6.700%, 05/01/2034
  370,000     378,569
          24,319,231
Information technology – 4.2%          
Alliance Data Systems Corp.
4.750%, 12/15/2024 (A)
  510,000     501,223
CA Magnum Holdings
5.375%, 10/31/2026 (A)
  410,000     403,850
Clarivate Science Holdings Corp.
4.875%, 07/01/2029 (A)
  480,000     451,589
CommScope, Inc.          
4.750%, 09/01/2029 (A)   540,000     497,345
8.250%, 03/01/2027 (A)   1,310,000     1,273,975
Elastic NV
4.125%, 07/15/2029 (A)
  570,000     530,077
Gartner, Inc.          
3.625%, 06/15/2029 (A)   600,000     562,500
3.750%, 10/01/2030 (A)   140,000     131,425
Helios Software Holdings, Inc.
4.625%, 05/01/2028 (A)
  530,000     486,969
NCR Corp.
5.125%, 04/15/2029 (A)
  300,000     288,402
Open Text Corp.
3.875%, 02/15/2028 (A)
  250,000     239,693
Paysafe Finance PLC
4.000%, 06/15/2029 (A)
  750,000     637,523
Rackspace Technology Global, Inc.
3.500%, 02/15/2028 (A)
  630,000     563,614
Rocket Software, Inc.
6.500%, 02/15/2029 (A)(B)
  440,000     399,300
Shift4 Payments LLC
4.625%, 11/01/2026 (A)
  680,000     661,300
Vericast Corp.
11.000%, 09/15/2026 (A)
  650,000     634,563
          8,263,348
Materials – 4.1%          
ARD Finance SA (6.500% Cash or 7.250% PIK) 6.500%, 06/30/2027 (A)   660,000     603,488
Ardagh Metal Packaging Finance
USA LLC
         
3.250%, 09/01/2028 (A)   200,000     181,500
4.000%, 09/01/2029 (A)   800,000     720,920
Ardagh Packaging Finance PLC
5.250%, 08/15/2027 (A)(B)
  690,000     637,819
Ball Corp.
3.125%, 09/15/2031
  530,000     473,661
Cascades, Inc.
5.375%, 01/15/2028 (A)
  530,000     529,338
First Quantum Minerals, Ltd.          
6.500%, 03/01/2024 (A)   420,000     422,625
6.875%, 03/01/2026 to 10/15/2027 (A)   1,450,000     1,499,422
7.500%, 04/01/2025 (A)   210,000     213,150
 
  86  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Materials (continued)          
Freeport-McMoRan, Inc.          
4.625%, 08/01/2030 $ 160,000   $ 163,600
5.450%, 03/15/2043   500,000     559,920
Hudbay Minerals, Inc.          
4.500%, 04/01/2026 (A)   240,000     233,201
6.125%, 04/01/2029 (A)(B)   290,000     298,700
LSF11 A5 HoldCo LLC
6.625%, 10/15/2029 (A)(B)
  530,000     493,086
Midwest Vanadium Proprietary, Ltd.
11.500%, 02/15/2018 (A)(C)
  912,943     1,525
Northwest Acquisitions ULC
7.125%, 11/01/2022 (A)(C)
  950,000     10
Olin Corp.
5.000%, 02/01/2030
  420,000     415,800
Summit Materials LLC
5.250%, 01/15/2029 (A)
  560,000     553,000
          8,000,765
Real estate – 3.8%          
Diversified Healthcare Trust          
4.375%, 03/01/2031   250,000     214,128
4.750%, 02/15/2028   930,000     846,802
9.750%, 06/15/2025   340,000     357,850
Five Point Operating Company LP
7.875%, 11/15/2025 (A)
  800,000     818,640
Forestar Group, Inc.          
3.850%, 05/15/2026 (A)   550,000     512,875
5.000%, 03/01/2028 (A)   250,000     234,375
IIP Operating Partnership LP
5.500%, 05/25/2026
  860,000     858,445
Iron Mountain Information Management Services, Inc.
5.000%, 07/15/2032 (A)
  450,000     421,875
MPT Operating Partnership LP          
3.500%, 03/15/2031   200,000     185,742
4.625%, 08/01/2029   560,000     554,400
Park Intermediate Holdings LLC
5.875%, 10/01/2028 (A)
  390,000     389,643
Realogy Group LLC
5.750%, 01/15/2029 (A)
  180,000     169,650
Service Properties Trust
5.500%, 12/15/2027
  400,000     385,800
The GEO Group, Inc.          
5.875%, 10/15/2024   810,000     697,143
6.000%, 04/15/2026 (B)   945,000     737,100
          7,384,468
Utilities – 1.2%          
Calpine Corp.
5.000%, 02/01/2031 (A)
  300,000     273,000
Suburban Propane Partners LP
5.000%, 06/01/2031 (A)
  340,000     318,750
Sunnova Energy Corp.
5.875%, 09/01/2026 (A)(B)
  1,010,000     966,449
Superior Plus LP
4.500%, 03/15/2029 (A)
  290,000     272,493
Talen Energy Supply LLC          
6.625%, 01/15/2028 (A)   410,000     381,300
7.250%, 05/15/2027 (A)(B)   110,000     102,803
7.625%, 06/01/2028 (A)(B)   100,000     92,630
          2,407,425
TOTAL CORPORATE BONDS (Cost $177,235,547)     $ 166,321,632
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CONVERTIBLE BONDS – 1.6%      
Communication services – 0.4%          
DISH Network Corp.
3.375%, 08/15/2026
$ 530,000   $ 476,735
Liberty TripAdvisor Holdings, Inc.
0.500%, 06/30/2051 (A)
  90,000     73,765
Twitter, Inc.
4.269%, 03/15/2026 (E)
  180,000     152,194
          702,694
Consumer discretionary – 0.4%          
Chegg, Inc.
4.608%, 09/01/2026 (E)
  60,000     49,020
DraftKings, Inc.
5.667%, 03/15/2028 (E)
  700,000     501,634
Liberty Latin America, Ltd.
2.000%, 07/15/2024
  70,000     63,481
NCL Corp., Ltd.
2.500%, 02/15/2027 (A)
  110,000     104,995
          719,130
Financials – 0.2%          
Blackstone Mortgage Trust, Inc.
5.500%, 03/15/2027
  360,000     354,600
Health care – 0.2%          
Halozyme Therapeutics, Inc.
0.250%, 03/01/2027
  580,000     505,325
Industrials – 0.4%          
Spirit Airlines, Inc.
1.000%, 05/15/2026 (B)
  820,000     735,540
TOTAL CONVERTIBLE BONDS (Cost $3,224,676)     $ 3,017,289
TERM LOANS (F) – 4.7%      
Consumer discretionary – 1.8%          
Adtalem Global Education, Inc., 2021 Term Loan B (1 month LIBOR + 4.500%) 5.250%, 08/12/2028   429,097     426,818
Equinox Holdings, Inc., 2020 Term Loan B2 (3 month LIBOR + 9.000%) 10.006%, 03/08/2024   373,350     377,084
First Brands Group LLC, 2021 Term Loan (3 month LIBOR + 5.000%) 6.000%, 03/30/2027   346,502     343,037
Great Outdoors Group LLC, 2021 Term Loan B1 (1 month LIBOR + 3.750%) 4.500%, 03/06/2028   325,887     324,258
PetSmart, Inc., 2021 Term Loan B (3 month LIBOR + 3.750%) 4.500%, 02/11/2028   507,450     505,334
Rent-A-Center, Inc., 2021 1st Lien Term Loan B (3 month LIBOR + 3.250%) 3.813%, 02/17/2028   593,899     580,910
Spencer Spirit IH LLC, Term Loan B (3 month LIBOR + 6.000%) 6.209%, 06/19/2026   587,343     584,259
Truck Hero, Inc., 2021 Term Loan B (1 month LIBOR + 3.250%) 4.000%, 01/31/2028   346,500     335,239
          3,476,939
Financials – 0.4%          
Acrisure LLC, 2020 Term Loan B (1 month LIBOR + 3.500%) 3.957%, 02/15/2027   450,800     443,664
AmeriLife Holdings LLC, 2020 Term Loan (3 month LIBOR + 4.000%) 4.457%, 03/18/2027   147,400     145,373
 
  87  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (F) (continued)      
Financials (continued)          
Deerfield Dakota Holding LLC, 2021 USD 2nd Lien Term Loan (1 month LIBOR + 6.750%) 7.500%, 04/07/2028 $ 190,000   $ 189,525
          778,562
Health care – 0.5%          
Eyecare Partners LLC, 2020 Term Loan (3 month LIBOR + 3.750%) 4.756%, 02/18/2027   490,747     483,695
US Renal Care, Inc., 2019 Term Loan B (1 month LIBOR + 5.000%) 5.250%, 06/26/2026   644,432     588,850
          1,072,545
Industrials – 0.2%          
Mileage Plus Holdings LLC, 2020 Term Loan B (3 month LIBOR + 5.250%) 6.250%, 06/21/2027   450,000     466,313
Information technology – 1.5%          
Dcert Buyer, Inc., 2021 2nd Lien Term Loan (1 month LIBOR + 7.000%) 7.457%, 02/19/2029   820,000     808,725
Global Tel*Link Corp., 2018 1st Lien Term Loan (1 month LIBOR + 4.250%) 4.707%, 11/29/2025   651,418     617,219
Peraton Corp., Term Loan B (1 month LIBOR + 3.750%) 4.500%, 02/01/2028   418,008     414,480
Redstone Holdco 2 LP, 2021 2nd Lien Term Loan (3 month LIBOR + 7.750%) 8.500%, 04/27/2029   520,000     473,200
Redstone Holdco 2 LP, 2021 Term Loan (3 month LIBOR + 4.750%) 5.500%, 04/27/2028   467,650     455,959
Vericast Corp., 2021 Term Loan (3 month LIBOR + 7.750%) 8.756%, 06/16/2026   146,313     120,964
          2,890,547
Materials – 0.3%          
Arctic Canadian Diamond Company, Ltd., 2nd Lien PIK Term Loan (3 month LIBOR + 5.000% or 12.500% PIK) 5.000%, 12/31/2027 (G)   485,065     485,065
TOTAL TERM LOANS (Cost $9,314,212)     $ 9,169,971
ASSET BACKED SECURITIES – 5.7%      
Balboa Bay Loan Funding, Ltd.
Series 2020-1A, Class ER (3 month LIBOR + 6.400%)
6.654%, 01/20/2032 (A)(H)
  500,000     485,582
Ballyrock CLO, Ltd.          
Series 2016-1A, Class ER (3 month LIBOR + 6.950%)
7.191%, 10/15/2028 (A)(H)
  250,000     248,310
Series 2022-19A, Class D (3 month CME Term SOFR + 7.110%)
8.282%, 04/20/2035 (A)(H)
  710,000     690,983
Barings CLO, Ltd.
Series 2020-4A, Class E (3 month LIBOR + 5.680%)
5.934%, 01/20/2032 (A)(H)
  330,000     316,675
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Benefit Street Partners CLO XI, Ltd.
Series 2017-12A, Class C (3 month LIBOR + 3.050%)
3.291%, 10/15/2030 (A)(H)
$ 250,000   $ 242,366
BlueMountain CLO, Ltd.
Series 2016-2A, Class DR (3 month LIBOR + 7.790%)
8.270%, 08/20/2032 (A)(H)
  300,000     295,065
Bristol Park CLO, Ltd.
Series 2016-1A, Class ER (3 month LIBOR + 7.000%)
7.241%, 04/15/2029 (A)(H)
  600,000     594,387
Carlyle US CLO, Ltd.
Series 2017-2A, Class C (3 month LIBOR + 3.700%)
3.954%, 07/20/2031 (A)(H)
  500,000     488,200
Catskill Park CLO, Ltd.
Series 2017-1A, Class D (3 month LIBOR + 6.000%)
6.254%, 04/20/2029 (A)(H)
  500,000     482,771
Cook Park CLO, Ltd.
Series 2018-1A, Class E (3 month LIBOR + 5.400%)
5.641%, 04/17/2030 (A)(H)
  250,000     239,238
Dryden CLO, Ltd.
Series 2019-75A, Class ER2 (3 month LIBOR + 6.600%)
6.841%, 04/15/2034 (A)(H)
  470,000     456,315
Eaton Vance CLO, Ltd.
Series 2020-2A, Class ER (3 month LIBOR + 6.500%)
6.741%, 01/15/2035 (A)(H)
  440,000     427,970
Great Lakes CLO, Ltd.
Series 2014-1A, Class CR (3 month LIBOR + 2.700%)
2.941%, 10/15/2029 (A)(H)
  400,000     394,724
Greenwood Park CLO, Ltd.          
Series 2018-1A, Class D (3 month LIBOR + 2.500%)
2.741%, 04/15/2031 (A)(H)
  290,000     279,222
Series 2018-1A, Class E (3 month LIBOR + 4.950%)
5.191%, 04/15/2031 (A)(H)
  250,000     234,775
Greywolf CLO IV, Ltd.
Series 2019-1RA, Class CR (3 month LIBOR + 3.650%)
3.891%, 04/17/2034 (A)(H)
  250,000     250,304
Grippen Park CLO, Ltd.
Series 2017-1A, Class E (3 month LIBOR + 5.700%)
5.954%, 01/20/2030 (A)(H)
  420,000     405,927
Jay Park CLO, Ltd.
Series 2016-1A, Class DR (3 month LIBOR + 5.200%)
5.454%, 10/20/2027 (A)(H)
  350,000     343,429
Magnetite XII, Ltd.
Series 2015-12A, Class ER (3 month LIBOR + 5.680%)
5.921%, 10/15/2031 (A)(H)
  300,000     283,942
Magnetite XXIV, Ltd.
Series 2019-24A, Class ER (3 month CME Term SOFR + 6.400%)
6.622%, 04/15/2035 (A)(H)
  250,000     247,432
MKS CLO, Ltd.
Series 2017-2A, Class D (3 month LIBOR + 2.650%)
2.904%, 01/20/2031 (A)(H)
  500,000     457,310
 
  88  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Mountain View CLO IX, Ltd.
Series 2015-9A, Class CR (3 month LIBOR + 3.120%)
3.361%, 07/15/2031 (A)(H)
$ 250,000   $ 230,342
Neuberger Berman CLO XVIII, Ltd.
Series 2014-18A, Class DR2 (3 month LIBOR + 5.920%)
6.175%, 10/21/2030 (A)(H)
  250,000     234,963
Neuberger Berman Loan Advisers CLO XXXIV, Ltd.
Series 2019-34A, Class ER (3 month CME Term SOFR + 6.500%)
6.741%, 01/20/2035 (A)(H)
  500,000     494,855
Oaktree CLO, Ltd.
Series 2015-1A, Class DR (3 month LIBOR + 5.200%)
5.454%, 10/20/2027 (A)(H)
  250,000     246,248
OHA Credit Funding, Ltd.
Series 2020-7A, Class DR (3 month CME Term SOFR + 3.100%)
3.267%, 02/24/2037 (A)(H)
  250,000     246,706
Saranac CLO III, Ltd.
Series 2014-3A, Class DR (3 month LIBOR + 3.250%)
4.184%, 06/22/2030 (A)(H)
  570,000     531,336
Sculptor CLO XXVI, Ltd.
Series 2026-A, Class E (3 month LIBOR + 7.250%)
7.504%, 07/20/2034 (A)(H)
  280,000     269,781
Venture XVII CLO, Ltd.          
Series 2014-17A, Class DRR (3 month LIBOR + 2.820%)
3.061%, 04/15/2027 (A)(H)
  350,000     337,295
Series 2014-17A, Class ERR (3 month LIBOR + 5.740%)
5.981%, 04/15/2027 (A)(H)
  350,000     302,806
Voya CLO III, Ltd.
Series 2020-3A, Class DR (3 month LIBOR + 3.250%)
3.504%, 10/20/2034 (A)(H)
  500,000     490,133
TOTAL ASSET BACKED SECURITIES (Cost $11,404,355)     $ 11,249,392
COMMON STOCKS – 0.8%        
Communication services – 0.0%          
New Cotai, Inc., Class B (G)(I)(J)   3     0
Vertis Holdings, Inc. (G)(J)   69,391     0
          0
Consumer discretionary – 0.0%          
Party City Holdco, Inc. (J)   14,174     50,743
Energy – 0.8%          
Berry Corp.   79,225     817,602
KCAD Holdings I, Ltd. (G)(I)(J)   165,553,563     166
MWO Holdings LLC (G)(I)(J)   445     2,768
Oasis Petroleum, Inc.   4,235     619,581
Permian Production (J)   19,583     979
          1,441,096
TOTAL COMMON STOCKS (Cost $4,679,303)   $ 1,491,839
PREFERRED SECURITIES – 1.0%        
Energy – 0.5%          
MPLX LP, 8.461% (G)   16,445     549,263
Targa Resources Corp., 9.500%   470     505,028
          1,054,291
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
PREFERRED SECURITIES (continued)        
Financials – 0.5%          
B. Riley Financial, Inc., 5.000%   13,375   $ 320,331
B. Riley Financial, Inc., 5.250%   9,825     235,604
B. Riley Financial, Inc., 6.000%   13,075     327,137
          883,072
TOTAL PREFERRED SECURITIES (Cost $1,934,838)   $ 1,937,363
ESCROW CERTIFICATES – 0.0%          
Adelphia Communications Corp. (G)(J) $ 3,000,000     0
Adelphia Communications Corp. (G)(J)   2,050,000     0
Adelphia Communications Corp. (G)(J)   1,025,000     0
TOTAL ESCROW CERTIFICATES (Cost $342,202)   $ 0
SHORT-TERM INVESTMENTS – 8.0%      
Short-term funds – 8.0%          
John Hancock Collateral Trust, 0.3592% (K)(L)   1,548,902     15,487,162
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 0.2579% (K)   167,666     167,666
TOTAL SHORT-TERM INVESTMENTS (Cost $15,656,181)   $ 15,654,828
Total Investments (High Yield Trust)
(Cost $225,653,356) – 107.1%
  $ 210,142,545
Other assets and liabilities, net – (7.1%)       (13,853,419)
TOTAL NET ASSETS – 100.0%       $ 196,289,126
Currency Abbreviations
BRL Brazilian Real
CAD Canadian Dollar
IDR Indonesian Rupiah
Security Abbreviations and Legend
CME Chicago Mercantile Exchange
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.
SOFR Secured Overnight Financing 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 $140,916,905 or 71.8% of the fund's net assets as of 3-31-22.
(B) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $15,148,451.
(C) Non-income producing - Issuer is in default.
(D) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(E) Zero coupon bonds are issued at a discount from their principal amount in lieu of paying interest periodically. Rate shown is the effective yield at period end.
(F) Term loans are variable rate obligations. The coupon rate shown represents the rate at period end.
(G) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(H) Variable rate obligation. The coupon rate shown represents the rate at period end.
(I) Restricted security as to resale, excluding 144A securities. For more information on this security refer to the Notes to Portfolio of Investments.
(J) Non-income producing security.
(K) The rate shown is the annualized seven-day yield as of 3-31-22.
 
  89  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
(L) 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
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
5-Year U.S. Treasury Note Futures 81 Long Jun 2022 $9,531,055 $9,289,688 $(241,367)
            $(241,367)
    
^ 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
EUR 442,617  USD 500,653  MSCS 4/19/2022  —  $(10,797)
MXN 1,174,325  USD 56,586  JPM 4/19/2022  $2,301  — 
USD 657,093  CAD 836,249  MSCS 4/19/2022  —  (11,775)
            $2,301  $(22,572)
    
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 Occidental Petroleum Corp. 1.105% 750,000 USD $750,000 1.000% Quarterly Jun 2026 $(29,117) $26,263 $(2,854)
Centrally cleared Ford Motor Credit Company LLC 3.471% 800,000 USD 800,000 5.000% Quarterly Dec 2026 116,806 (68,721) 48,085
          $1,550,000       $87,689 $(42,458) $45,231
Derivatives Currency Abbreviations
CAD Canadian Dollar
EUR Euro
MXN Mexican Peso
USD U.S. Dollar
Derivatives Abbreviations
JPM JPMorgan Chase Bank, N.A.
MSCS Morgan Stanley Capital Services LLC
OTC Over-the-counter
International Equity Index Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS - 95.5%      
Australia - 5.1%          
Ampol, Ltd.   9,411   $ 213,798
APA Group   44,858     356,525
Aristocrat Leisure, Ltd.   22,112     600,165
ASX, Ltd.   7,222     439,316
Aurizon Holdings, Ltd.   73,500     202,026
Australia & New Zealand Banking Group, Ltd.   102,199     2,094,164
BHP Group, Ltd.   109,205     4,209,586
BHP Group, Ltd. (London Stock Exchange)   71,227     2,762,100
BlueScope Steel, Ltd.   18,252     283,821
Brambles, Ltd.   54,281     400,575
Cochlear, Ltd.   2,361     394,196
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Australia (continued)          
Coles Group, Ltd.   49,152   $ 656,940
Commonwealth Bank of Australia   58,842     4,633,955
Computershare, Ltd.   20,019     367,932
Crown Resorts, Ltd. (A)   14,067     133,956
CSL, Ltd.   17,094     3,412,696
Dexus   39,487     322,320
Domino's Pizza Enterprises, Ltd.   2,429     158,113
Endeavour Group, Ltd.   52,190     283,903
Evolution Mining, Ltd.   73,217     241,654
Fortescue Metals Group, Ltd.   61,612     947,092
Goodman Group   60,281     1,024,569
IDP Education, Ltd.   8,393     196,431
Insurance Australia Group, Ltd.   88,042     288,143
Lendlease Corp., Ltd.   25,385     211,608
 
  90  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Australia (continued)          
Macquarie Group, Ltd.   12,597   $ 1,905,100
Medibank Private, Ltd.   99,625     228,892
Mineral Resources, Ltd.   5,861     231,043
Mirvac Group   141,329     262,061
MMG, Ltd. (A)   148,000     58,800
National Australia Bank, Ltd.   118,001     2,840,864
Newcrest Mining, Ltd.   28,639     578,721
Northern Star Resources, Ltd.   39,419     318,021
Orica, Ltd.   15,709     186,905
Origin Energy, Ltd.   67,517     314,274
Qantas Airways, Ltd. (A)   38,743     149,805
QBE Insurance Group, Ltd.   54,940     471,129
Ramsay Health Care, Ltd.   6,659     322,500
REA Group, Ltd.   1,952     195,687
Reece, Ltd.   11,689     164,576
Rio Tinto, Ltd.   13,450     1,202,434
Santos, Ltd.   118,312     685,951
Scentre Group   194,238     441,632
SEEK, Ltd.   11,910     262,289
Sonic Healthcare, Ltd.   16,282     429,882
South32, Ltd.   112,851     428,979
South32, Ltd. (London Stock Exchange)   48,980     186,055
Stockland   87,409     277,000
Suncorp Group, Ltd.   48,150     399,149
Tabcorp Holdings, Ltd.   82,609     329,124
Telstra Corp., Ltd.   155,200     458,533
The GPT Group   71,628     276,292
Transurban Group   110,591     1,117,408
Treasury Wine Estates, Ltd.   26,341     227,535
Vicinity Centres   148,057     205,452
Washington H. Soul Pattinson & Company, Ltd.   8,748     186,589
Wesfarmers, Ltd.   40,817     1,531,644
Westpac Banking Corp.   131,711     2,379,571
WiseTech Global, Ltd.   5,291     199,147
Woodside Petroleum, Ltd.   37,032     889,933
Woolworths Group, Ltd.   45,859     1,273,269
          46,451,830
Austria - 0.1%          
Erste Group Bank AG   11,010     401,498
OMV AG   5,543     264,860
Raiffeisen Bank International AG   4,926     69,935
Verbund AG   2,442     257,887
voestalpine AG   4,357     129,649
          1,123,829
Belgium - 0.5%          
Ageas SA/NV   6,383     322,683
Anheuser-Busch InBev SA/NV   29,951     1,790,723
Elia Group SA/NV   1,076     164,167
Etablissements Franz Colruyt NV   2,769     114,622
Groupe Bruxelles Lambert SA   3,809     394,144
KBC Group NV   8,597     616,831
Proximus SADP   5,996     111,654
Sofina SA   537     195,130
Solvay SA   2,881     283,940
UCB SA   4,152     496,569
Umicore SA   6,530     282,276
          4,772,739
Brazil - 1.2%          
Ambev SA   172,330     557,415
Americanas SA   13,014     89,247
Americanas SA (A)   332     2,240
Atacadao SA   13,900     65,748
B3 SA - Brasil Bolsa Balcao   221,721     731,611
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Brazil (continued)          
Banco Bradesco SA   46,659   $ 179,049
Banco BTG Pactual SA   37,204     203,483
Banco do Brasil SA   28,713     209,269
Banco Inter SA   3,823     17,023
Banco Santander Brasil SA   14,000     108,447
BB Seguridade Participacoes SA   24,400     130,993
BRF SA (A)   26,314     102,746
CCR SA   40,100     115,388
Centrais Eletricas Brasileiras SA   9,400     74,986
Centrais Eletricas Brasileiras SA, ADR   1,429     11,261
Cia Brasileira de Distribuicao, ADR   628     3,165
Cia de Saneamento Basico do Estado de Sao Paulo   11,270     112,936
Cia Siderurgica Nacional SA, ADR   11,800     63,956
Cosan SA   40,344     200,404
Energisa SA   6,100     62,537
Engie Brasil Energia SA   7,275     66,072
Equatorial Energia SA   34,400     196,600
Hapvida Participacoes e Investimentos SA (B)   128,879     320,502
Hypera SA   10,908     88,688
JBS SA   34,073     266,441
Klabin SA   24,000     121,587
Localiza Rent a Car SA   20,227     259,579
Lojas Renner SA   32,186     185,908
Magazine Luiza SA   94,607     135,520
Natura & Company Holding SA (A)   26,929     147,342
Petroleo Brasileiro SA   133,229     986,125
Raia Drogasil SA   35,900     180,516
Rede D'Or Sao Luiz SA (B)   13,400     140,444
Rumo SA (A)   45,451     177,086
Sendas Distribuidora SA   24,690     84,477
Suzano SA   22,263     257,885
Suzano SA, ADR   3,164     36,766
Telefonica Brasil SA   9,652     108,845
Telefonica Brasil SA, ADR   6,017     67,691
TIM SA   28,020     81,158
TOTVS SA   17,746     135,600
Ultrapar Participacoes SA   25,400     75,490
Vale SA   145,050     2,912,547
Vibra Energia SA   44,000     216,070
WEG SA   56,116     410,994
          10,701,837
Canada - 8.2%          
Agnico Eagle Mines, Ltd.   16,597     1,015,615
Air Canada (A)(C)   7,300     141,603
Algonquin Power & Utilities Corp.   25,029     388,203
Alimentation Couche-Tard, Inc.   29,900     1,347,013
AltaGas, Ltd.   11,500     257,569
Ballard Power Systems, Inc. (A)   10,400     121,041
Bank of Montreal   22,498     2,647,427
Barrick Gold Corp.   41,577     1,019,678
Barrick Gold Corp. (London Stock Exchange)   20,657     503,082
BCE, Inc. (C)   2,924     162,087
BlackBerry, Ltd. (A)(C)   21,000     155,717
Brookfield Asset Management, Inc., Class A (C)   49,072     2,774,394
CAE, Inc. (A)(C)   12,000     312,347
Cameco Corp.   15,100     439,780
Canadian Apartment Properties REIT   3,400     145,910
Canadian Imperial Bank of Commerce   15,700     1,905,751
Canadian National Railway Company   24,600     3,299,940
Canadian Natural Resources, Ltd.   40,960     2,536,267
Canadian Pacific Railway, Ltd.   32,300     2,665,851
 
  91  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
Canadian Tire Corp., Ltd., Class A   2,100   $ 317,079
Canadian Utilities, Ltd., Class A (C)   4,600     141,001
Canopy Growth Corp. (A)(C)   11,300     85,689
CCL Industries, Inc., Class B   5,400     243,619
Cenovus Energy, Inc.   47,959     799,477
CGI, Inc. (A)   7,900     629,333
Constellation Software, Inc.   700     1,196,576
Dollarama, Inc.   10,700     606,831
Emera, Inc.   9,500     470,915
Empire Company, Ltd., Class A   6,200     219,900
Enbridge, Inc.   70,400     3,240,827
Fairfax Financial Holdings, Ltd.   919     501,368
First Quantum Minerals, Ltd.   21,654     749,658
FirstService Corp.   1,500     216,970
Fortis, Inc.   17,366     858,889
Franco-Nevada Corp.   6,938     1,104,064
George Weston, Ltd.   2,799     344,683
GFL Environmental, Inc.   6,400     208,154
Gildan Activewear, Inc.   7,300     273,805
Great-West Lifeco, Inc.   9,900     291,738
Hydro One, Ltd. (B)   11,900     320,595
iA Financial Corp., Inc.   4,100     249,283
IGM Financial, Inc.   3,000     105,995
Imperial Oil, Ltd. (C)   8,630     417,642
Intact Financial Corp.   6,200     916,101
Ivanhoe Mines, Ltd., Class A (A)   23,800     221,980
Keyera Corp.   8,500     215,466
Kinross Gold Corp. (C)   45,229     265,553
Lightspeed Commerce, Inc. (A)   4,400     134,202
Loblaw Companies, Ltd.   6,140     550,962
Lundin Mining Corp.   26,000     263,504
Magna International, Inc.   10,400     667,683
Manulife Financial Corp. (D)   68,000     1,450,130
Metro, Inc.   9,057     521,331
National Bank of Canada   12,200     935,189
Northland Power, Inc.   8,100     269,276
Nutrien, Ltd.   19,890     2,055,902
Nuvei Corp. (A)   2,600     195,497
Onex Corp.   2,700     180,943
Open Text Corp.   9,700     411,308
Pan American Silver Corp. (C)   7,300     199,237
Parkland Corp. (C)   5,400     159,691
Pembina Pipeline Corp.   20,198     758,869
Power Corp. of Canada   20,512     634,975
Quebecor, Inc., Class B   6,400     152,558
Restaurant Brands International, Inc.   10,546     616,150
RioCan Real Estate Investment Trust   6,300     127,144
Ritchie Brothers Auctioneers, Inc.   4,300     253,979
Rogers Communications, Inc., Class B (C)   13,000     735,816
Royal Bank of Canada   49,400     5,438,880
Saputo, Inc.   9,100     215,535
Shaw Communications, Inc., Class B   16,926     525,320
Shopify, Inc., Class A (A)   4,000     2,705,179
Sun Life Financial, Inc.   20,600     1,150,166
Suncor Energy, Inc. (C)   50,735     1,651,733
TC Energy Corp.   34,197     1,928,753
Teck Resources, Ltd., Class B   17,361     701,023
TELUS Corp.   16,772     438,166
TFI International, Inc.   3,200     340,823
The Bank of Nova Scotia (C)   42,200     3,024,533
The Toronto-Dominion Bank   63,172     5,012,223
Thomson Reuters Corp.   6,354     689,860
TMX Group, Ltd.   2,000     205,703
Toromont Industries, Ltd.   3,200     303,349
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
Tourmaline Oil Corp.   11,600   $ 534,464
West Fraser Timber Company, Ltd.   3,576     294,227
Wheaton Precious Metals Corp.   16,483     783,837
WSP Global, Inc.   4,300     570,662
          74,841,248
Chile - 0.1%          
Antofagasta PLC   15,127     328,693
Banco Santander Chile, ADR   5,508     124,426
Cencosud SA   61,383     120,842
Enel Americas SA, ADR   14,968     89,359
Enel Chile SA, ADR   18,222     28,791
Sociedad Quimica y Minera de Chile SA, ADR   4,430     379,208
          1,071,319
China - 7.2%          
360 DigiTech, Inc., ADR   2,900     44,631
3SBio, Inc. (A)(B)   40,500     32,936
51job, Inc., ADR (A)   900     52,695
AAC Technologies Holdings, Inc. (C)   27,342     64,977
AECC Aviation Power Company, Ltd., Class A   3,600     25,389
Agile Group Holdings, Ltd.   54,000     27,173
Agricultural Bank of China, Ltd., Class A   165,700     80,333
Agricultural Bank of China, Ltd., H Shares   934,000     357,052
Aier Eye Hospital Group Company, Ltd., Class A   11,596     57,334
Air China, Ltd., H Shares (A)   84,534     58,767
Airtac International Group   4,185     134,551
Alibaba Group Holding, Ltd., ADR (A)   338,411     7,243,663
A-Living Smart City Services Company, Ltd. (B)   15,500     21,460
Aluminum Corp. of China, Ltd., A Shares (A)   29,100     26,434
Aluminum Corp. of China, Ltd., H Shares (A)   131,220     75,952
Anhui Conch Cement Company, Ltd., Class A   8,900     55,185
Anhui Conch Cement Company, Ltd., H Shares   44,290     226,520
Anhui Gujing Distillery Company, Ltd., B Shares   3,600     46,370
Anhui Gujing Distillery Company, Ltd., Class A   900     24,190
ANTA Sports Products, Ltd.   37,000     458,985
Autohome, Inc., ADR   2,100     63,861
AVIC Industry-Finance Holdings Company, Ltd., Class A   20,000     13,014
AviChina Industry & Technology Company, Ltd., H Shares   72,000     39,743
Baidu, Inc., ADR (A)   10,000     1,323,000
Bank of Beijing Company, Ltd., Class A   47,000     33,852
Bank of China, Ltd., Class A   78,100     40,196
Bank of China, Ltd., H Shares   2,682,563     1,070,492
Bank of Communications Company, Ltd., Class A   87,300     70,139
Bank of Communications Company, Ltd., H Shares   292,527     209,425
Bank of Hangzhou Company, Ltd., Class A   11,400     25,239
Bank of Jiangsu Company, Ltd., Class A   33,410     36,963
Bank of Nanjing Company, Ltd., Class A   13,600     22,781
Bank of Ningbo Company, Ltd., Class A   13,750     80,562
 
  92  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Bank of Shanghai Company, Ltd., Class A   31,610   $ 33,028
Baoshan Iron & Steel Company, Ltd., Class A   41,300     43,820
BeiGene, Ltd., ADR (A)   1,700     320,620
Beijing Capital International Airport Company, Ltd., H Shares (A)   52,789     30,687
Beijing Shunxin Agriculture Company, Ltd., Class A   1,700     6,225
Beijing Yuanliu Hongyuan Electronic Technology Company, Ltd., Class A   6,700     135,063
Bilibili, Inc., ADR (A)(C)   5,800     148,364
BOE Technology Group Company, Ltd., Class A   75,300     50,909
BYD Company, Ltd., Class A   4,000     143,132
BYD Company, Ltd., H Shares   26,105     726,118
BYD Electronic International Company, Ltd.   22,500     44,587
CanSino Biologics, Inc., Class A (A)   254     9,251
CanSino Biologics, Inc., H Shares (A)(B)   2,400     38,199
CGN Power Company, Ltd., H Shares (B)   317,000     82,543
Changchun High & New Technology Industry Group, Inc., Class A   800     21,065
China Bohai Bank Company, Ltd., H Shares (B)   83,000     13,764
China Cinda Asset Management Company, Ltd., H Shares   304,800     51,928
China CITIC Bank Corp., Ltd., H Shares   310,800     156,837
China Communications Services Corp., Ltd., H Shares   129,600     58,438
China Conch Venture Holdings, Ltd.   57,900     168,790
China Construction Bank Corp., Class A   15,400     15,220
China Construction Bank Corp., H Shares   3,405,914     2,551,252
China Eastern Airlines Corp., Ltd., Class A (A)   15,800     11,615
China Everbright Bank Company, Ltd., Class A   88,600     45,976
China Everbright Bank Company, Ltd., H Shares   120,000     45,275
China Evergrande Group   65,959     12,466
China Feihe, Ltd. (B)   119,000     117,160
China Galaxy Securities Company, Ltd., H Shares   129,500     72,235
China Greatwall Technology Group Company, Ltd., Class A   6,500     11,737
China Hongqiao Group, Ltd. (C)   57,000     74,884
China Huishan Dairy Holdings Company, Ltd. (A)(E)   225,000     0
China International Capital Corp., Ltd., H Shares (B)   36,800     81,354
China Lesso Group Holdings, Ltd.   36,000     43,209
China Life Insurance Company, Ltd., Class A   4,500     18,532
China Life Insurance Company, Ltd., H Shares   248,624     378,785
China Literature, Ltd. (A)(B)   10,200     41,773
China Longyuan Power Group Corp., Ltd., H Shares   99,000     222,527
China Medical System Holdings, Ltd.   48,300     75,329
China Meidong Auto Holdings, Ltd.   18,000     68,409
China Merchants Bank Company, Ltd., Class A   45,900     336,685
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
China Merchants Bank Company, Ltd., H Shares   131,823   $ 1,026,167
China Merchants Securities Company, Ltd., Class A   16,510     37,480
China Merchants Shekou Industrial Zone Holdings Company, Ltd., Class A   17,600     42,049
China Minsheng Banking Corp., Ltd., Class A   78,880     47,397
China Minsheng Banking Corp., Ltd., H Shares (C)   194,496     72,956
China Molybdenum Company, Ltd., Class A   28,400     23,131
China Molybdenum Company, Ltd., H Shares   129,000     66,318
China National Building Material Company, Ltd., H Shares   138,000     169,746
China National Nuclear Power Company, Ltd., Class A   20,900     26,570
China Oilfield Services, Ltd., H Shares   56,000     56,898
China Pacific Insurance Group Company, Ltd., Class A   14,000     50,350
China Pacific Insurance Group Company, Ltd., H Shares   94,100     227,675
China Petroleum & Chemical Corp., Class A   56,700     38,440
China Petroleum & Chemical Corp., H Shares   819,361     407,159
China Railway Group, Ltd., Class A   30,000     28,451
China Railway Group, Ltd., H Shares   126,000     70,178
China Resources Mixc Lifestyle Services, Ltd. (B)   19,000     92,996
China Shenhua Energy Company, Ltd., Class A   9,800     45,856
China Shenhua Energy Company, Ltd., H Shares   113,500     361,293
China Southern Airlines Company, Ltd., Class A (A)   13,800     13,429
China Southern Airlines Company, Ltd., H Shares (A)   64,000     36,985
China State Construction Engineering Corp., Ltd., Class A   93,340     79,725
China Tourism Group Duty Free Corp., Ltd., Class A   4,300     110,607
China Tower Corp., Ltd., H Shares (B)   1,496,000     167,466
China Vanke Company, Ltd., Class A   21,600     64,949
China Vanke Company, Ltd., H Shares   56,900     127,984
China Yangtze Power Company, Ltd., Class A   48,900     169,055
Chinasoft International, Ltd. (A)   86,000     70,491
Chongqing Zhifei Biological Products Company, Ltd., Class A   3,100     67,191
CIFI Ever Sunshine Services Group, Ltd.   22,000     29,327
CIFI Holdings Group Company, Ltd.   140,161     81,682
CITIC Securities Company, Ltd., Class A   25,185     82,543
CITIC Securities Company, Ltd., H Shares   86,825     199,012
CITIC, Ltd.   207,967     230,051
Contemporary Amperex Technology Company, Ltd., Class A   4,900     392,099
COSCO SHIPPING Holdings Company, Ltd., H Shares (A)   119,600     205,634
Country Garden Holdings Company, Ltd.   270,117     206,776
Country Garden Services Holdings Company, Ltd.   59,000     248,545
CRRC Corp., Ltd., H Shares   145,000     57,859
 
  93  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
CSC Financial Company, Ltd., Class A   6,200   $ 22,631
CSPC Pharmaceutical Group, Ltd.   303,120     347,329
Dada Nexus, Ltd., ADR (A)   3,900     35,607
Dali Foods Group Company, Ltd. (B)   73,000     38,083
Daqo New Energy Corp., ADR (A)   2,500     103,300
DiDi Global, Inc., ADR (A)   13,000     32,500
Dongfeng Motor Group Company, Ltd., H Shares   91,220     68,235
Dongyue Group, Ltd.   49,000     66,383
East Money Information Company, Ltd., Class A   21,456     84,988
Ecovacs Robotics Company, Ltd., Class A   2,300     39,257
ENN Energy Holdings, Ltd.   26,600     397,296
Eve Energy Company, Ltd., Class A   4,181     52,415
Everbright Securities Company, Ltd., Class A   8,700     17,018
Flat Glass Group Company, Ltd., H Shares   23,000     87,811
Focus Media Information Technology Company, Ltd., Class A   32,700     31,291
Foshan Haitian Flavouring & Food Company, Ltd., Class A   7,800     107,126
Fosun International, Ltd.   85,000     91,871
Founder Securities Company, Ltd., Class A   13,200     13,975
Foxconn Industrial Internet Company, Ltd., Class A   6,400     10,215
Fuyao Glass Industry Group Company, Ltd., Class A   4,500     25,159
Fuyao Glass Industry Group Company, Ltd., H Shares (B)   16,800     68,211
Ganfeng Lithium Company, Ltd., H Shares (B)   8,600     120,992
GCL System Integration Technology Company, Ltd., Class A (A)   60,900     34,323
GDS Holdings, Ltd., ADR (A)   3,400     133,450
Gemdale Corp., Class A   7,300     16,437
Genscript Biotech Corp. (A)   28,000     87,836
GF Securities Company, Ltd., Class A   13,200     36,350
GF Securities Company, Ltd., H Shares   47,800     67,290
Gigadevice Semiconductor Beijing, Inc., Class A   1,372     30,262
GoerTek, Inc., Class A   5,200     27,995
GOME Retail Holdings, Ltd. (A)(C)   386,127     23,944
Great Wall Motor Company, Ltd., H Shares   104,500     164,011
Greenland Holdings Corp., Ltd., Class A   13,755     11,671
Greentown China Holdings, Ltd. (C)   29,000     52,458
Greentown Service Group Company, Ltd.   48,000     47,861
Guangdong Haid Group Company, Ltd., Class A   3,500     30,211
Guangzhou Automobile Group Company, Ltd., H Shares   100,310     82,713
Guangzhou Baiyunshan Pharmaceutical Holdings Company, Ltd., Class A   2,300     11,329
Guangzhou R&F Properties Company, Ltd., H Shares (C)   43,600     15,374
Guosen Securities Company, Ltd., Class A   6,600     10,306
Guotai Junan Securities Company, Ltd., Class A   16,700     41,182
Haidilao International Holding, Ltd. (B)(C)   26,000     50,025
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Haier Smart Home Company, Ltd., Class A   13,600   $ 49,161
Haier Smart Home Company, Ltd., H Shares   83,800     267,949
Haitian International Holdings, Ltd.   21,000     54,151
Haitong Securities Company, Ltd., Class A   18,000     29,130
Haitong Securities Company, Ltd., H Shares   113,200     86,022
Hangzhou First Applied Material Company, Ltd., Class A   2,800     49,707
Hangzhou Silan Microelectronics Company, Ltd., Class A   2,600     19,702
Hangzhou Tigermed Consulting Company, Ltd., A Shares   1,700     28,669
Hangzhou Tigermed Consulting Company, Ltd., H Shares (B)   4,100     49,448
Hansoh Pharmaceutical Group Company, Ltd. (B)   40,000     66,510
Hello Group, Inc., ADR   5,200     30,056
Henan Shuanghui Investment & Development Company, Ltd., Class A   4,400     20,092
Hengan International Group Company, Ltd.   25,000     115,194
Hengli Petrochemical Company, Ltd., Class A   9,500     30,985
Hithink RoyalFlush Information Network Company, Ltd., Class A   900     13,505
Hua Hong Semiconductor, Ltd. (A)(B)   17,000     70,987
Huadong Medicine Company, Ltd., Class A   2,800     14,681
Hualan Biological Engineering, Inc., Class A   4,030     12,856
Huaneng Power International, Inc., H Shares   149,436     63,384
Huatai Securities Company, Ltd., Class A   16,400     38,278
Huatai Securities Company, Ltd., H Shares (B)   48,800     74,679
Huaxia Bank Company, Ltd., Class A   28,500     24,908
Huayu Automotive Systems Company, Ltd., Class A   5,100     15,949
Huazhu Group, Ltd., ADR   6,400     211,136
Hundsun Technologies, Inc., Class A   2,366     16,521
Hygeia Healthcare Holdings Company, Ltd. (B)   11,400     43,733
Iflytek Company, Ltd., Class A   9,600     69,965
I-Mab, ADR (A)   1,100     17,864
Industrial & Commercial Bank of China, Ltd., Class A   120,000     90,033
Industrial & Commercial Bank of China, Ltd., H Shares   2,051,735     1,257,821
Industrial Bank Company, Ltd., Class A   46,200     149,680
Industrial Securities Company, Ltd., Class A   14,900     17,951
Ingenic Semiconductor Company, Ltd., Class A   2,800     40,019
Inner Mongolia BaoTou Steel Union Company, Ltd., Class A (A)   48,800     17,055
Inner Mongolia Yili Industrial Group Company, Ltd., Class A   13,600     78,780
Innovent Biologics, Inc. (A)(B)   33,000     111,049
Inspur Electronic Information Industry Company, Ltd., Class A   3,248     13,849
iQIYI, Inc., ADR (A)   12,000     54,480
 
  94  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
JA Solar Technology Company, Ltd., Class A   3,200   $ 39,384
JD Health International, Inc. (A)(B)   9,550     57,182
JD.com, Inc., Class A (A)   67,323     1,912,976
Jiangsu Expressway Company, Ltd., H Shares   41,145     42,970
Jiangsu Hengli Hydraulic Company, Ltd., Class A   2,960     24,170
Jiangsu Hengrui Medicine Company, Ltd., Class A   14,198     82,086
Jiangsu King's Luck Brewery JSC, Ltd., Class A   2,800     18,467
Jiangsu Yanghe Brewery Joint-Stock Company, Ltd., Class A   3,400     72,151
Jiangxi Copper Company, Ltd., H Shares   39,075     64,633
Jinxin Fertility Group, Ltd. (A)(B)   44,000     33,382
Jiumaojiu International Holdings, Ltd. (B)(C)   22,000     46,537
Kanzhun, Ltd., ADR (A)   2,300     57,293
KE Holdings, Inc., ADR (A)   11,800     145,966
Kingdee International Software Group Company, Ltd. (A)   81,000     177,465
Kingsoft Cloud Holdings, Ltd., ADR (A)   2,600     15,782
Kingsoft Corp., Ltd.   29,000     92,385
Kuaishou Technology (A)(B)   15,900     145,687
Kweichow Moutai Company, Ltd., Class A   2,500     673,504
KWG Group Holdings, Ltd.   45,000     18,384
Lenovo Group, Ltd.   257,436     278,869
Lens Technology Company, Ltd., Class A   7,300     13,361
Lepu Medical Technology Beijing Company, Ltd., Class A   4,000     12,648
Li Auto, Inc., ADR (A)   19,000     490,390
Li Ning Company, Ltd.   77,500     658,080
Lingyi iTech Guangdong Company, Class A (A)   12,700     10,122
Logan Group Company, Ltd. (C)   48,000     13,540
Longfor Group Holdings, Ltd. (B)   60,100     307,422
LONGi Green Energy Technology Company, Ltd., Class A   10,760     121,312
Luxshare Precision Industry Company, Ltd., Class A   15,495     76,836
Luzhou Laojiao Company, Ltd., Class A   3,300     95,969
Mango Excellent Media Company, Ltd., Class A   3,300     16,071
Maxscend Microelectronics Company, Ltd., Class A   900     29,568
Meinian Onehealth Healthcare Holdings Company, Ltd., Class A (A)   8,300     7,684
Meituan, Class B (A)(B)   144,400     2,735,505
Metallurgical Corp. of China, Ltd., Class A   28,700     16,929
Microport Scientific Corp.   25,019     55,662
Ming Yuan Cloud Group Holdings, Ltd. (A)   13,000     17,515
Minth Group, Ltd.   26,000     63,353
Muyuan Foods Company, Ltd., Class A   9,282     82,741
NARI Technology Company, Ltd., Class A   12,360     60,908
NAURA Technology Group Company, Ltd., Class A   3,200     136,712
NetEase, Inc.   70,000     1,262,994
New China Life Insurance Company, Ltd., Class A   4,600     25,499
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
New China Life Insurance Company, Ltd., H Shares   29,500   $ 81,823
New Hope Liuhe Company, Ltd., Class A (A)   6,800     18,121
New Oriental Education & Technology Group, Inc., ADR (A)   51,000     58,650
NIO, Inc., ADR (A)   49,200     1,035,660
Noah Holdings, Ltd., ADR (A)   1,000     23,530
Nongfu Spring Company, Ltd., H Shares (B)(C)   58,600     308,915
Orient Securities Company, Ltd., Class A   9,600     16,522
Perfect World Company, Ltd., Class A   4,350     8,750
PetroChina Company, Ltd., Class A   36,000     31,151
PetroChina Company, Ltd., H Shares   712,261     361,698
Pharmaron Beijing Company, Ltd., H Shares (B)   4,200     50,511
PICC Property & Casualty Company, Ltd., H Shares   252,363     256,980
Pinduoduo, Inc., ADR (A)   15,900     637,749
Ping An Bank Company, Ltd., Class A   38,200     92,166
Ping An Healthcare and Technology Company, Ltd. (A)(B)(C)   17,400     44,971
Ping An Insurance Group Company of China, Ltd., Class A   24,100     183,011
Ping An Insurance Group Company of China, Ltd., H Shares   224,790     1,571,521
Poly Developments and Holdings Group Company, Ltd., Class A   26,500     73,875
Postal Savings Bank of China Company, Ltd., H Shares (B)   331,000     266,537
Power Construction Corp. of China, Ltd., Class A   20,500     23,435
Raytron Technology Company, Ltd., Class A   2,601     18,386
RLX Technology, Inc., ADR (A)(C)   24,900     44,571
Rongsheng Petrochemical Company, Ltd., Class A   13,950     31,295
SAIC Motor Corp., Ltd., Class A   17,300     46,142
Sangfor Technologies, Inc., Class A   700     12,266
Sany Heavy Industry Company, Ltd., Class A   18,600     51,072
SDIC Capital Company, Ltd., Class A   11,856     13,117
SDIC Power Holdings Company, Ltd., Class A   10,900     16,008
Seazen Group, Ltd. (A)   67,047     35,787
Seazen Holdings Company, Ltd., Class A   5,000     25,258
SF Holding Company, Ltd., Class A   3,600     25,844
Shaanxi Coal Industry Company, Ltd., Class A   13,400     34,681
Shandong Gold Mining Company, Ltd., Class A   5,880     19,969
Shandong Gold Mining Company, Ltd., H Shares (B)(C)   21,500     42,937
Shandong Weigao Group Medical Polymer Company, Ltd., H Shares   80,000     84,969
Shanghai Baosight Software Company, Ltd., Class B   17,600     71,355
Shanghai Fosun Pharmaceutical Group Company, Ltd., Class A   3,200     26,753
Shanghai Fosun Pharmaceutical Group Company, Ltd., H Shares   17,500     84,807
Shanghai International Airport Company, Ltd., Class A (A)   1,600     12,340
Shanghai International Port Group Company, Ltd., Class A   13,700     11,782
 
  95  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Shanghai Lujiazui Finance & Trade Zone Development Company, Ltd., B Shares   39,240   $ 36,714
Shanghai M&G Stationery, Inc., Class A   2,000     15,371
Shanghai Pharmaceuticals Holding Company, Ltd., H Shares   31,100     59,715
Shanghai Pudong Development Bank Company, Ltd., Class A   65,300     82,170
Shanxi Xinghuacun Fen Wine Factory Company, Ltd., Class A   1,960     78,359
Shengyi Technology Company, Ltd., Class A   5,100     12,889
Shennan Circuits Company, Ltd., Class A   1,120     15,910
Shenwan Hongyuan Group Company, Ltd., Class A   36,200     24,912
Shenzhen Goodix Technology Company, Ltd., Class A   800     8,896
Shenzhen Inovance Technology Company, Ltd., Class A   5,550     49,554
Shenzhen Kangtai Biological Products Company, Ltd., Class A   1,400     20,473
Shenzhen Mindray Bio-Medical Electronics Company, Ltd., Class A   700     33,821
Shenzhen Overseas Chinese Town Company, Ltd., Class A   13,200     15,267
Shenzhen Sunway Communication Company, Ltd., Class A   2,200     6,206
Shenzhou International Group Holdings, Ltd.   27,000     356,455
Sichuan Chuantou Energy Company, Ltd., Class A   9,800     16,556
Silergy Corp.   3,000     351,752
Sinopharm Group Company, Ltd., H Shares   42,800     97,158
Sinotruk Hong Kong, Ltd.   24,500     37,209
Smoore International Holdings, Ltd. (B)   59,000     138,224
Songcheng Performance Development Company, Ltd., Class A   5,760     11,928
Sunac China Holdings, Ltd. (C)   87,000     49,935
Sunac Services Holdings, Ltd. (B)   36,000     21,963
Sungrow Power Supply Company, Ltd., Class A   9,100     152,627
Suning.com Company, Ltd., Class A (A)   20,700     11,231
Sunny Optical Technology Group Company, Ltd.   23,800     377,976
TAL Education Group, ADR (A)   12,800     38,528
TCL Technology Group Corp., Class A   21,800     16,786
Tencent Holdings, Ltd.   202,800     9,347,933
Tencent Music Entertainment Group, ADR (A)   25,200     122,724
The People's Insurance Company Group of China, Ltd., H Shares   265,000     86,463
Thunder Software Technology Company, Ltd., Class A   8,300     128,682
Tianjin Zhonghuan Semiconductor Company, Ltd., Class A   27,000     180,292
Tingyi Cayman Islands Holding Corp.   76,000     127,440
Tongcheng Travel Holdings, Ltd. (A)   28,800     50,747
Tongwei Company, Ltd., Class A   6,200     41,397
Topsports International Holdings, Ltd. (B)   41,000     34,077
TravelSky Technology, Ltd., H Shares   31,000     44,471
Trip.com Group, Ltd., ADR (A)   18,900     436,968
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Tsingtao Brewery Company, Ltd., H Shares   22,000   $ 172,947
Unigroup Guoxin Microelectronics Company, Ltd., Class A   1,200     38,477
Uni-President China Holdings, Ltd.   46,000     39,918
Unisplendour Corp., Ltd., Class A   5,320     16,322
Vipshop Holdings, Ltd., ADR (A)   15,300     137,700
Walvax Biotechnology Company, Ltd., Class A   3,400     29,259
Wanhua Chemical Group Company, Ltd., Class A   7,000     88,738
Want Want China Holdings, Ltd.   163,000     150,407
Weibo Corp., ADR (A)   1,890     46,324
Weichai Power Company, Ltd., Class A   9,600     20,087
Weichai Power Company, Ltd., H Shares   64,720     101,442
Weimob, Inc. (A)(B)(C)   53,000     33,801
Wens Foodstuffs Group Company, Ltd., Class A   14,160     49,088
Will Semiconductor Company, Ltd., Class A   3,100     93,654
Wuhu Sanqi Interactive Entertainment Network Technology Group Company, Ltd., Class A   4,700     17,267
Wuliangye Yibin Company, Ltd., Class A   8,600     208,792
WUS Printed Circuit Kunshan Company, Ltd., Class A   4,180     8,678
WuXi AppTec Company, Ltd., Class A   5,544     97,386
WuXi AppTec Company, Ltd., H Shares (B)   11,006     171,957
Wuxi Biologics Cayman, Inc. (A)(B)   128,500     1,020,367
Wuxi Shangji Automation Company, Ltd., Class A   1,100     23,572
Xiaomi Corp., Class B (A)(B)   477,000     833,522
Xinjiang Goldwind Science & Technology Company, Ltd., Class A   7,700     15,831
Xinjiang Goldwind Science & Technology Company, Ltd., H Shares (C)   22,200     33,247
Xinyi Solar Holdings, Ltd.   172,835     300,797
XPeng, Inc., ADR (A)   14,400     397,296
Yadea Group Holdings, Ltd. (B)   34,000     52,083
Yankuang Energy Group Company, Ltd., H Shares   49,990     147,805
Yihai International Holding, Ltd. (A)   16,000     45,443
Yonghui Superstores Company, Ltd., Class A   10,200     6,773
Yonyou Network Technology Company, Ltd., Class A   5,200     18,695
Yum China Holdings, Inc.   15,400     639,716
Yunda Holding Company, Ltd., Class A   3,120     8,623
Yunnan Baiyao Group Company, Ltd., Class A   2,800     35,996
Zai Lab, Ltd., ADR (A)   3,100     136,338
Zhangzhou Pientzehuang Pharmaceutical Company, Ltd., Class A   1,000     49,706
Zhejiang Chint Electrics Company, Ltd., Class A   4,800     29,727
Zhejiang Dahua Technology Company, Ltd., Class A   4,800     12,453
Zhejiang Expressway Company, Ltd., H Shares   49,718     41,674
Zhejiang Jingsheng Mechanical & Electrical Company, Ltd., Class A   2,600     24,396
Zhejiang Longsheng Group Company, Ltd., Class A   7,200     12,320
 
  96  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Zhejiang NHU Company, Ltd., Class A   5,760   $ 28,636
Zhejiang Sanhua Intelligent Controls Company, Ltd., Class A   8,060     20,990
Zhejiang Supor Company, Ltd., Class A   1,200     9,425
ZhongAn Online P&C Insurance Company, Ltd., H Shares (A)(B)   12,500     41,841
Zhongsheng Group Holdings, Ltd.   20,000     140,625
Zhuzhou CRRC Times Electric Company, Ltd.   18,000     69,692
Zijin Mining Group Company, Ltd., Class A   27,800     49,261
Zijin Mining Group Company, Ltd., H Shares   193,469     293,389
Zoomlion Heavy Industry Science and Technology Company, Ltd., Class A   14,300     14,915
Zoomlion Heavy Industry Science and Technology Company, Ltd., H Shares   44,800     28,284
ZTE Corp., Class A   7,600     28,450
ZTE Corp., H Shares   25,887     52,438
ZTO Express Cayman, Inc., ADR   15,400     385,000
          65,913,193
Colombia - 0.0%          
Bancolombia SA, ADR   3,847     164,113
Ecopetrol SA, ADR   9,500     176,700
          340,813
Czech Republic - 0.1%          
CEZ AS   6,817     285,927
Komercni banka AS   3,440     133,176
Moneta Money Bank AS (B)   17,731     71,923
          491,026
Denmark - 1.7%          
A.P. Moller - Maersk A/S, Series A   118     348,383
A.P. Moller - Maersk A/S, Series B   207     622,027
Ambu A/S, Class B (C)   6,935     102,091
Carlsberg A/S, Class B   3,694     453,481
Chr. Hansen Holding A/S   4,006     294,148
Coloplast A/S, B Shares   4,360     660,272
Danske Bank A/S   26,235     436,422
Demant A/S (A)   5,000     226,275
DSV A/S   7,344     1,407,519
Genmab A/S (A)   2,393     864,240
GN Store Nord A/S   4,761     233,367
Novo Nordisk A/S, B Shares   58,067     6,440,568
Novozymes A/S, B Shares   7,605     521,431
Orsted A/S (B)   6,916     865,686
Pandora A/S   3,738     356,098
Rockwool International A/S, B Shares   352     116,199
Tryg A/S   13,079     318,012
Vestas Wind Systems A/S   36,668     1,075,649
          15,341,868
Egypt - 0.0%          
Commercial International Bank Egypt SAE (A)   68,774     173,292
Finland - 0.7%          
Elisa OYJ   5,862     353,520
Fortum OYJ   16,798     307,020
Kesko OYJ, B Shares   9,211     254,318
Kone OYJ, B Shares   11,833     619,225
Neste OYJ   14,709     670,634
Nokia OYJ (A)   123,099     677,913
Nokia OYJ (Euronext Paris Exchange) (A)   56,247     307,740
Nordea Bank ABP   1,569     16,149
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Finland (continued)          
Nordea Bank ABP (Nasdaq Stockholm Exchange)   115,195   $ 1,185,586
Orion OYJ, Class B   3,379     153,464
Sampo OYJ, A Shares   15,885     776,212
Stora Enso OYJ, R Shares   20,482     401,807
UPM-Kymmene OYJ   19,972     652,190
Wartsila OYJ ABP   15,222     138,991
          6,514,769
France - 6.7%          
Accor SA (A)   6,145     197,989
Aeroports de Paris (A)   1,190     177,951
Air Liquide SA   16,277     2,847,577
Airbus SE   20,253     2,443,912
Alstom SA   11,918     278,869
Amundi SA (B)   2,415     165,141
Arkema SA   1,999     238,962
AXA SA   66,380     1,943,240
BioMerieux   1,432     152,839
BNP Paribas SA   38,662     2,209,339
Bollore SE   32,561     170,504
Bouygues SA   8,158     284,749
Bureau Veritas SA   10,297     293,578
Capgemini SE   5,786     1,283,938
Carrefour SA   23,459     510,519
Cie de Saint-Gobain   18,075     1,075,475
Cie Generale des Etablissements Michelin SCA   5,963     808,084
CNP Assurances   6,491     156,268
Covivio   2,169     172,619
Credit Agricole SA   45,282     541,058
Danone SA   22,299     1,231,870
Dassault Aviation SA   980     154,760
Dassault Systemes SE   24,046     1,181,354
Edenred   8,717     431,013
Eiffage SA   3,075     315,596
Electricite de France SA (C)   14,490     136,007
Engie SA   66,203     870,376
EssilorLuxottica SA   9,839     1,799,471
Eurazeo SE   1,666     140,067
Faurecia SE   3,556     92,488
Faurecia SE (Borsa Italiana Exchange)   633     16,352
Gecina SA   1,814     228,617
Getlink SE   16,925     304,815
Hermes International   1,082     1,531,414
Ipsen SA   1,496     187,262
Kering SA   2,569     1,621,889
Klepierre SA (A)   8,046     214,219
La Francaise des Jeux SAEM (B)   3,888     154,248
Legrand SA   9,699     922,152
L'Oreal SA   8,636     3,449,629
LVMH Moet Hennessy Louis Vuitton SE   9,580     6,838,233
Orange SA   72,639     860,029
Orpea SA   1,800     78,109
Pernod Ricard SA   7,161     1,573,360
Publicis Groupe SA   8,401     509,890
Remy Cointreau SA   930     191,792
Renault SA (A)   7,048     184,236
Safran SA   11,681     1,375,276
Sanofi   39,156     4,003,317
Sartorius Stedim Biotech   1,029     421,290
Schneider Electric SE   17,968     3,016,670
Schneider Electric SE (Euronext London Exchange)   623     103,629
SEB SA   1,019     142,111
Societe Generale SA   29,342     786,586
 
  97  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
France (continued)          
Sodexo SA   3,211   $ 261,299
Teleperformance   2,141     815,508
Thales SA   4,046     506,706
TotalEnergies SE   86,451     4,374,405
Ubisoft Entertainment SA (A)   3,643     160,085
Unibail-Rodamco-Westfield (A)   3,595     269,293
Unibail-Rodamco-Westfield, CHESS Depositary Interest (A)   27,093     101,409
Valeo   8,882     164,060
Veolia Environnement SA   23,848     764,654
Vinci SA   18,446     1,884,687
Vivendi SE   29,108     380,284
Wendel SE   1,176     119,757
Worldline SA (A)(B)   8,877     385,266
          61,208,151
Germany - 4.7%          
adidas AG   6,519     1,519,105
Allianz SE   14,190     3,388,706
BASF SE   31,532     1,799,244
Bayer AG   33,683     2,303,899
Bayerische Motoren Werke AG   11,277     974,536
Bechtle AG   3,255     183,258
Beiersdorf AG   3,796     398,787
Brenntag SE   5,855     472,100
Carl Zeiss Meditec AG, Bearer Shares   1,435     231,147
Commerzbank AG (A)   37,723     286,655
Continental AG (A)   4,116     295,062
Covestro AG (B)   7,081     356,569
Daimler Truck Holding AG (A)   15,182     421,075
Delivery Hero SE (A)(B)   6,014     262,115
Deutsche Bank AG (A)   70,362     886,157
Deutsche Boerse AG   6,468     1,164,317
Deutsche Lufthansa AG (A)(C)   23,929     192,976
Deutsche Post AG   33,981     1,622,665
Deutsche Telekom AG   114,360     2,129,867
E.ON SE   76,314     886,632
Evonik Industries AG   8,081     224,188
Fresenius Medical Care AG & Company KGaA   6,818     456,882
Fresenius SE & Company KGaA   15,294     561,545
GEA Group AG   5,882     241,089
Hannover Rueck SE   1,990     338,060
HeidelbergCement AG   5,549     314,487
HelloFresh SE (A)   6,177     277,248
Henkel AG & Company KGaA   3,884     256,363
Infineon Technologies AG   44,694     1,512,008
KION Group AG   2,693     177,489
Knorr-Bremse AG   2,779     213,031
LANXESS AG   3,216     141,177
LEG Immobilien SE   2,555     290,960
Mercedes-Benz Group AG   29,371     2,061,549
Merck KGaA   4,683     977,978
MTU Aero Engines AG   1,991     460,481
Muenchener Rueckversicherungs-Gesellschaft AG   4,786     1,279,495
Nemetschek SE   2,010     193,029
Puma SE   3,943     335,322
Rational AG   207     142,566
RWE AG   21,783     948,492
SAP SE   35,971     3,986,621
Scout24 SE (B)   3,211     183,067
Siemens AG   26,349     3,648,495
Siemens Energy AG   15,127     344,152
Siemens Healthineers AG (B)   10,330     640,162
Symrise AG   4,743     568,655
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Germany (continued)          
Telefonica Deutschland Holding AG   44,170   $ 120,134
Uniper SE   3,706     95,742
United Internet AG   4,503     154,535
Volkswagen AG   1,264     312,235
Vonovia SE   25,180     1,173,657
Zalando SE (A)(B)   8,154     412,873
          42,818,639
Greece - 0.1%          
Alpha Services and Holdings SA (A)   74,045     90,902
Eurobank Ergasias Services and Holdings SA (A)   85,715     100,279
FF Group (A)(E)   1,869     3,101
Hellenic Telecommunications Organization SA   8,503     153,753
JUMBO SA   5,651     84,196
OPAP SA   9,360     136,248
Public Power Corp. SA (A)   6,989     58,514
          626,993
Hong Kong - 2.3%          
AIA Group, Ltd.   425,800     4,446,155
Alibaba Health Information Technology, Ltd. (A)   134,000     84,806
Alibaba Pictures Group, Ltd. (A)   500,000     41,148
Beijing Enterprises Holdings, Ltd.   19,786     62,443
Beijing Enterprises Water Group, Ltd.   198,000     60,577
BOC Hong Kong Holdings, Ltd.   132,328     497,922
Bosideng International Holdings, Ltd.   108,000     50,041
Budweiser Brewing Company APAC, Ltd. (B)   67,400     177,979
China Common Rich Renewable Energy Investments, Ltd. (A)(E)   428,695     11,766
China Education Group Holdings, Ltd.   12,000     10,325
China Everbright Environment Group, Ltd.   117,851     70,735
China Gas Holdings, Ltd.   86,800     110,634
China Jinmao Holdings Group, Ltd.   224,000     66,073
China Mengniu Dairy Company, Ltd. (A)   105,004     562,969
China Merchants Port Holdings Company, Ltd.   47,564     85,662
China Overseas Land & Investment, Ltd.   127,882     380,542
China Overseas Property Holdings, Ltd.   45,000     53,075
China Power International Development, Ltd.   88,000     46,297
China Resources Beer Holdings Company, Ltd.   49,979     304,072
China Resources Cement Holdings, Ltd.   88,000     72,948
China Resources Gas Group, Ltd.   30,000     126,266
China Resources Land, Ltd.   110,964     513,780
China Resources Power Holdings Company, Ltd.   68,244     127,004
China Ruyi Holdings, Ltd. (A)(C)   156,000     41,815
China State Construction International Holdings, Ltd.   71,250     94,483
China Taiping Insurance Holdings Company, Ltd.   60,500     73,385
China Traditional Chinese Medicine Holdings Company, Ltd.   80,000     41,541
Chow Tai Fook Jewellery Group, Ltd. (A)   80,800     145,934
CK Asset Holdings, Ltd.   73,046     499,301
CK Hutchison Holdings, Ltd.   97,163     710,496
CK Infrastructure Holdings, Ltd.   24,772     165,597
CLP Holdings, Ltd.   59,400     577,956
COSCO SHIPPING Ports, Ltd.   61,511     47,668
ESR Cayman, Ltd. (A)(B)   75,200     233,037
 
  98  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
Far East Horizon, Ltd.   66,000   $ 58,847
Futu Holdings, Ltd., ADR (A)   1,700     55,352
Galaxy Entertainment Group, Ltd.   80,000     473,391
Geely Automobile Holdings, Ltd.   196,000     303,608
Guangdong Investment, Ltd.   99,220     135,181
Hang Lung Properties, Ltd.   74,326     149,810
Hang Seng Bank, Ltd.   27,319     525,420
Henderson Land Development Company, Ltd.   55,324     229,651
HK Electric Investments, Ltd.   111,500     108,868
HKT Trust & HKT, Ltd.   145,233     199,137
Hong Kong & China Gas Company, Ltd.   404,091     488,110
Hong Kong Exchanges & Clearing, Ltd.   42,514     1,992,772
Hongkong Land Holdings, Ltd.   44,100     215,468
Hopson Development Holdings, Ltd. (C)   24,200     45,738
Huabao International Holdings, Ltd.   42,000     23,172
Hutchmed China, Ltd., ADR (A)   3,800     71,896
Jardine Matheson Holdings, Ltd. (C)   7,900     433,382
Kingboard Holdings, Ltd.   22,500     108,521
Kingboard Laminates Holdings, Ltd.   36,500     59,481
Kunlun Energy Company, Ltd.   118,000     101,980
Lee & Man Paper Manufacturing, Ltd.   56,000     29,055
Link REIT   75,539     643,308
Melco Resorts & Entertainment, Ltd., ADR (A)   7,185     54,893
MTR Corp., Ltd.   57,605     310,218
New World Development Company, Ltd.   57,618     233,765
Nine Dragons Paper Holdings, Ltd.   55,000     47,759
Power Assets Holdings, Ltd.   51,582     335,931
Shenzhen International Holdings, Ltd.   38,049     40,021
Shimao Group Holdings, Ltd. (C)   41,500     23,169
Sino Biopharmaceutical, Ltd.   346,500     215,151
Sino Land Company, Ltd.   128,364     165,514
SITC International Holdings Company, Ltd.   52,000     181,829
Sun Art Retail Group, Ltd.   86,000     31,085
Sun Hung Kai Properties, Ltd.   45,630     542,882
Swire Pacific, Ltd., Class A   18,163     110,451
Swire Properties, Ltd.   43,628     107,814
Techtronic Industries Company, Ltd.   49,500     793,063
The Wharf Holdings, Ltd.   51,876     158,009
Vinda International Holdings, Ltd.   12,000     27,092
WH Group, Ltd. (B)   320,343     201,161
Wharf Real Estate Investment Company, Ltd.   62,876     310,750
Xinyi Glass Holdings, Ltd.   71,000     170,234
Yuexiu Property Company, Ltd.   48,800     48,293
          21,155,664
Hungary - 0.0%          
MOL Hungarian Oil & Gas PLC   12,392     108,881
OTP Bank NYRT (A)   7,225     262,109
Richter Gedeon NYRT   4,794     101,194
          472,184
India - 3.5%          
ACC, Ltd.   2,508     70,806
Adani Enterprises, Ltd.   9,077     240,060
Adani Green Energy, Ltd. (A)   13,172     333,110
Adani Ports & Special Economic Zone, Ltd.   16,979     171,986
Adani Total Gas, Ltd.   9,077     255,658
Adani Transmission, Ltd. (A)   9,077     281,722
Ambuja Cements, Ltd.   22,913     90,013
Apollo Hospitals Enterprise, Ltd.   3,917     232,768
Asian Paints, Ltd.   12,839     519,528
Aurobindo Pharma, Ltd.   9,153     80,448
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
Avenue Supermarts, Ltd. (A)(B)   5,887   $ 309,024
Axis Bank, Ltd. (A)   80,176     799,062
Bajaj Auto, Ltd.   2,923     141,029
Bajaj Finance, Ltd.   9,199     873,463
Bajaj Finserv, Ltd.   1,449     322,725
Balkrishna Industries, Ltd.   2,904     81,005
Bandhan Bank, Ltd. (B)   27,747     111,239
Berger Paints India, Ltd.   8,085     74,231
Bharat Electronics, Ltd.   40,525     112,233
Bharat Forge, Ltd.   9,316     85,454
Bharat Petroleum Corp., Ltd.   34,892     164,800
Bharti Airtel, Ltd. (A)   83,500     830,105
Biocon, Ltd. (A)   14,021     61,883
Britannia Industries, Ltd.   3,618     152,673
Cholamandalam Investment and Finance Company, Ltd.   13,536     127,145
Cipla, Ltd.   18,101     242,736
Coal India, Ltd.   63,427     152,594
Colgate-Palmolive India, Ltd.   4,075     82,734
Container Corp. of India, Ltd.   9,153     80,564
Dabur India, Ltd.   24,800     175,183
Divi's Laboratories, Ltd.   4,431     257,571
DLF, Ltd.   20,605     102,554
Dr. Reddy's Laboratories, Ltd., ADR   3,708     206,647
Eicher Motors, Ltd.   5,444     175,405
GAIL India, Ltd., GDR   9,954     133,582
Godrej Consumer Products, Ltd. (A)   11,997     117,586
Godrej Properties, Ltd. (A)   4,161     91,195
Grasim Industries, Ltd.   8,313     182,209
Havells India, Ltd.   7,516     113,723
HCL Technologies, Ltd.   37,954     579,671
Hero MotoCorp, Ltd.   4,200     126,204
Hindalco Industries, Ltd.   56,656     424,025
Hindustan Petroleum Corp., Ltd.   20,412     72,306
Hindustan Unilever, Ltd.   27,831     747,804
Housing Development Finance Corp., Ltd.   58,802     1,834,396
ICICI Bank, Ltd.   94,927     905,907
ICICI Bank, Ltd., ADR   41,314     782,487
ICICI Lombard General Insurance Company, Ltd. (B)   8,559     148,876
ICICI Prudential Life Insurance Company, Ltd. (B)   11,948     78,413
Indian Oil Corp., Ltd.   79,550     124,503
Indian Railway Catering & Tourism Corp, Ltd.   7,983     81,104
Indraprastha Gas, Ltd.   10,515     51,435
Indus Towers, Ltd. (A)   29,936     87,306
Info Edge India, Ltd.   3,048     180,189
Infosys, Ltd., ADR   113,913     2,835,295
InterGlobe Aviation, Ltd. (A)(B)   4,138     109,014
ITC, Ltd.   113,026     372,003
JSW Steel, Ltd.   27,061     260,293
Jubilant Foodworks, Ltd.   2,527     87,315
Kotak Mahindra Bank, Ltd.   20,539     471,483
Larsen & Toubro Infotech, Ltd. (B)   1,748     140,932
Larsen & Toubro, Ltd.   23,070     535,071
Lupin, Ltd.   7,740     76,414
Mahindra & Mahindra, Ltd., GDR   28,458     314,105
Marico, Ltd.   21,437     142,197
Maruti Suzuki India, Ltd.   4,543     450,950
Mindtree, Ltd.   2,193     123,676
Motherson Sumi Systems, Ltd.   37,306     68,231
Motherson Sumi Wiring India, Ltd. (A)   6,787     5,786
Mphasis, Ltd.   2,804     124,173
 
  99  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
MRF, Ltd.   64   $ 54,688
Muthoot Finance, Ltd.   4,018     70,522
Nestle India, Ltd.   1,140     260,058
NTPC, Ltd.   183,126     324,772
Oil & Natural Gas Corp., Ltd.   90,136     193,656
Page Industries, Ltd.   194     109,872
Petronet LNG, Ltd.   21,320     54,336
PI Industries, Ltd.   2,778     102,708
Pidilite Industries, Ltd.   6,038     195,712
Piramal Enterprises, Ltd.   4,426     126,855
Power Grid Corp. of India, Ltd.   115,586     329,528
Reliance Capital, Ltd., GDR (A)(B)   4,327     951
Reliance Industries, Ltd.   13,403     463,797
Reliance Industries, Ltd., GDR (B)   42,342     2,904,826
SBI Cards & Payment Services, Ltd.   7,827     87,248
Shree Cement, Ltd.   445     139,772
Shriram Transport Finance Company, Ltd.   8,365     124,122
Siemens, Ltd.   2,378     74,002
SRF, Ltd.   4,927     173,487
State Bank of India, GDR   5,914     376,344
Sun Pharmaceutical Industries, Ltd.   29,344     352,899
Tata Consultancy Services, Ltd.   31,616     1,554,986
Tata Consumer Products, Ltd.   22,130     226,077
Tata Motors, Ltd. (A)   19,116     108,103
Tata Motors, Ltd., ADR (A)(C)   7,109     198,697
Tata Steel, Ltd., GDR   23,852     398,888
Tech Mahindra, Ltd.   22,395     440,783
The Tata Power Company, Ltd.   47,830     149,339
Titan Company, Ltd.   13,247     441,572
Torrent Pharmaceuticals, Ltd.   1,767     64,582
Trent, Ltd.   6,052     101,646
UltraTech Cement, Ltd.   2,767     239,767
UltraTech Cement, Ltd., GDR   1,026     89,396
United Spirits, Ltd. (A)   10,125     117,866
UPL, Ltd.   19,605     197,733
Wipro, Ltd., ADR   51,326     395,723
Yes Bank, Ltd. (A)   334,558     53,811
Zomato, Ltd. (A)   52,192     56,184
          32,333,325
Indonesia - 0.5%          
Adaro Energy Indonesia Tbk PT   315,000     58,792
Astra International Tbk PT   679,000     310,495
Bank Central Asia Tbk PT   1,804,500     1,003,041
Bank Jago Tbk PT (A)   143,300     146,024
Bank Mandiri Persero Tbk PT   715,674     392,521
Bank Negara Indonesia Persero Tbk PT   276,500     157,976
Bank Rakyat Indonesia Persero Tbk PT   2,374,148     766,814
Barito Pacific Tbk PT   1,273,500     80,060
Charoen Pokphand Indonesia Tbk PT   276,000     108,439
Gudang Garam Tbk PT   26,000     57,152
Indah Kiat Pulp & Paper Tbk PT   97,300     53,427
Indocement Tunggal Prakarsa Tbk PT   53,500     39,997
Indofood CBP Sukses Makmur Tbk PT   114,400     58,454
Indofood Sukses Makmur Tbk PT   147,500     61,044
Kalbe Farma Tbk PT   855,000     95,850
Merdeka Copper Gold Tbk PT (A)   486,300     152,773
Sarana Menara Nusantara Tbk PT   1,016,100     75,615
Semen Indonesia Persero Tbk PT   111,000     51,226
Telkom Indonesia Persero Tbk PT   1,600,100     509,074
Telkom Indonesia Persero Tbk PT, ADR   358     11,438
Tower Bersama Infrastructure Tbk PT   379,100     75,590
Unilever Indonesia Tbk PT   332,500     84,559
United Tractors Tbk PT   55,279     98,121
          4,448,482
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Ireland - 0.6%          
AerCap Holdings NV (A)   4,600   $ 231,288
CRH PLC   27,337     1,090,346
DCC PLC   3,819     295,720
Experian PLC   31,438     1,211,165
Flutter Entertainment PLC (A)   505     58,199
Flutter Entertainment PLC (London Stock Exchange) (A)   5,220     604,319
James Hardie Industries PLC, CHESS Depositary Interest   15,679     470,341
Kerry Group PLC, Class A   5,738     640,786
Kingspan Group PLC   5,492     531,058
Smurfit Kappa Group PLC   8,017     356,378
          5,489,600
Israel - 0.5%          
Azrieli Group, Ltd.   1,424     125,106
Bank Hapoalim BM   40,928     405,213
Bank Leumi Le-Israel BM   54,437     586,434
Check Point Software Technologies, Ltd. (A)   4,016     555,252
CyberArk Software, Ltd. (A)   1,300     219,375
Elbit Systems, Ltd.   787     172,118
Fiverr International, Ltd. (A)   1,000     76,070
ICL Group, Ltd.   27,153     322,784
Inmode, Ltd. (A)   1,700     62,747
Israel Discount Bank, Ltd., Class A   41,515     258,189
Kornit Digital, Ltd. (A)   1,500     124,035
Mizrahi Tefahot Bank, Ltd.   5,543     216,466
Nice, Ltd. (A)   2,200     481,197
Teva Pharmaceutical Industries, Ltd. (A)   33,126     309,207
Teva Pharmaceutical Industries, Ltd., ADR (A)   5,800     54,462
Wix.com, Ltd. (A)   1,900     198,474
          4,167,129
Italy - 1.3%          
Amplifon SpA   4,902     218,164
Assicurazioni Generali SpA (C)   40,288     921,478
Atlantia SpA (A)   19,839     412,506
Davide Campari-Milano NV   19,587     227,192
DiaSorin SpA   1,028     160,568
Enel SpA   291,529     1,946,478
Eni SpA   90,999     1,327,066
Ferrari NV   4,565     994,535
FinecoBank Banca Fineco SpA   22,882     347,124
Infrastrutture Wireless Italiane SpA (B)   13,854     155,086
Intesa Sanpaolo SpA   593,427     1,358,223
Mediobanca Banca di Credito Finanziario SpA   23,836     240,876
Moncler SpA   7,601     421,720
Nexi SpA (A)(B)   17,962     207,278
Poste Italiane SpA (B)   21,903     248,395
Prysmian SpA   9,656     327,690
Recordati Industria Chimica e Farmaceutica SpA   4,564     228,837
Snam SpA   75,312     434,293
Telecom Italia SpA   387,741     142,351
Terna - Rete Elettrica Nazionale   52,599     451,685
UniCredit SpA   76,982     830,467
          11,602,012
Japan - 13.8%          
Advantest Corp.   7,300     569,939
Aeon Company, Ltd.   24,100     513,872
AGC, Inc.   7,300     291,674
Aisin Corp.   4,600     157,217
Ajinomoto Company, Inc.   16,300     462,639
 
  100  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
ANA Holdings, Inc. (A)(C)   6,700   $ 140,052
Asahi Group Holdings, Ltd.   16,700     608,222
Asahi Intecc Company, Ltd.   8,900     173,627
Asahi Kasei Corp.   46,700     403,933
Astellas Pharma, Inc.   63,300     989,056
Azbil Corp.   4,200     139,397
Bandai Namco Holdings, Inc.   7,399     561,062
Benefit One, Inc.   2,700     56,666
Bridgestone Corp.   19,300     749,145
Brother Industries, Ltd.   8,700     158,213
Canon, Inc.   33,800     823,841
Capcom Company, Ltd.   6,000     145,466
Central Japan Railway Company   5,300     691,085
Chubu Electric Power Company, Inc.   22,000     227,696
Chugai Pharmaceutical Company, Ltd.   22,700     757,463
Concordia Financial Group, Ltd.   39,100     145,517
Cosmos Pharmaceutical Corp.   800     96,959
CyberAgent, Inc.   14,400     178,194
Dai Nippon Printing Company, Ltd.   8,400     196,939
Daifuku Company, Ltd.   3,500     249,730
Dai-ichi Life Holdings, Inc.   34,000     690,907
Daiichi Sankyo Company, Ltd.   59,700     1,303,669
Daikin Industries, Ltd.   8,500     1,543,634
Daito Trust Construction Company, Ltd.   2,300     244,132
Daiwa House Industry Company, Ltd.   20,800     542,229
Daiwa House REIT Investment Corp.   78     210,289
Daiwa Securities Group, Inc.   54,400     307,725
Denso Corp.   14,700     937,862
Dentsu Group, Inc.   7,500     306,498
Disco Corp.   1,000     279,637
East Japan Railway Company   11,100     642,441
Eisai Company, Ltd.   8,800     407,692
ENEOS Holdings, Inc.   109,211     408,310
FANUC Corp.   6,500     1,140,815
Fast Retailing Company, Ltd.   2,000     1,025,314
Fuji Electric Company, Ltd.   4,600     229,268
FUJIFILM Holdings Corp.   12,200     744,687
Fujitsu, Ltd.   6,700     1,003,832
GLP J-REIT   165     250,718
GMO Payment Gateway, Inc.   1,500     152,814
Hakuhodo DY Holdings, Inc.   9,300     116,743
Hamamatsu Photonics KK   4,800     254,941
Hankyu Hanshin Holdings, Inc.   8,400     242,775
Hikari Tsushin, Inc.   800     90,949
Hino Motors, Ltd.   10,000     58,458
Hirose Electric Company, Ltd.   1,223     177,279
Hitachi Construction Machinery Company, Ltd.   4,100     106,234
Hitachi Metals, Ltd. (A)   7,400     123,804
Hitachi, Ltd.   33,100     1,656,463
Honda Motor Company, Ltd.   55,800     1,581,698
Hoshizaki Corp.   1,900     130,340
Hoya Corp.   12,700     1,447,265
Hulic Company, Ltd.   15,600     139,954
Ibiden Company, Ltd.   3,600     175,507
Idemitsu Kosan Company, Ltd.   7,206     198,637
Iida Group Holdings Company, Ltd.   5,000     86,205
Inpex Corp.   36,700     431,494
Isuzu Motors, Ltd.   22,400     289,364
Ito En, Ltd.   1,900     93,264
ITOCHU Corp.   40,600     1,373,334
Itochu Techno-Solutions Corp.   3,400     86,851
Japan Airlines Company, Ltd. (A)   6,200     115,589
Japan Exchange Group, Inc.   18,100     336,079
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Japan Metropolitan Fund Investment Corp.   259   $ 218,545
Japan Post Bank Company, Ltd. (C)   14,000     112,431
Japan Post Holdings Company, Ltd.   89,400     656,576
Japan Post Insurance Company, Ltd.   8,300     144,546
Japan Real Estate Investment Corp.   47     246,168
Japan Tobacco, Inc.   43,600     744,583
JFE Holdings, Inc.   18,300     256,094
JSR Corp.   7,900     232,639
Kajima Corp.   16,500     200,751
Kakaku.com, Inc.   5,000     111,664
Kansai Paint Company, Ltd.   5,900     94,719
Kao Corp.   17,300     706,370
KDDI Corp.   55,200     1,809,823
Keio Corp.   3,700     144,228
Keisei Electric Railway Company, Ltd.   4,800     133,342
Keyence Corp.   6,696     3,104,953
Kikkoman Corp.   5,200     344,429
Kintetsu Group Holdings Company, Ltd.   6,200     177,474
Kirin Holdings Company, Ltd.   30,500     455,568
Kobayashi Pharmaceutical Company, Ltd.   1,800     144,221
Kobe Bussan Company, Ltd.   5,500     169,261
Koei Tecmo Holdings Company, Ltd. (C)   1,950     63,946
Koito Manufacturing Company, Ltd.   3,500     141,643
Komatsu, Ltd.   32,000     768,816
Konami Holdings Corp.   3,700     233,377
Kose Corp.   1,200     125,551
Kubota Corp.   37,500     702,910
Kurita Water Industries, Ltd.   3,500     129,188
Kyocera Corp.   11,700     654,726
Kyowa Kirin Company, Ltd.   9,473     220,379
Lasertec Corp.   2,800     465,819
Lawson, Inc.   1,900     72,732
Lion Corp.   8,000     89,161
Lixil Corp.   9,000     167,542
M3, Inc.   16,200     585,079
Makita Corp.   7,800     249,573
Marubeni Corp.   57,400     666,541
Mazda Motor Corp.   20,300     149,217
McDonald's Holdings Company Japan, Ltd.   2,600     108,123
Medipal Holdings Corp.   6,090     100,206
MEIJI Holdings Company, Ltd.   4,700     254,890
Mercari, Inc. (A)   4,200     108,419
MINEBEA MITSUMI, Inc.   12,500     272,249
MISUMI Group, Inc.   9,800     291,754
Mitsubishi Chemical Holdings Corp.   46,900     311,919
Mitsubishi Corp.   44,800     1,681,198
Mitsubishi Electric Corp.   66,500     762,679
Mitsubishi Estate Company, Ltd.   41,300     614,976
Mitsubishi Gas Chemical Company, Inc.   5,814     98,419
Mitsubishi HC Capital, Inc.   27,500     127,779
Mitsubishi Heavy Industries, Ltd.   11,700     384,066
Mitsubishi UFJ Financial Group, Inc.   419,900     2,595,461
Mitsui & Company, Ltd.   53,300     1,446,841
Mitsui Chemicals, Inc.   6,800     170,949
Mitsui Fudosan Company, Ltd.   33,600     719,118
Mitsui OSK Lines, Ltd.   12,000     333,345
Miura Company, Ltd.   3,100     76,382
Mizuho Financial Group, Inc.   82,110     1,047,344
MonotaRO Company, Ltd.   9,000     193,161
MS&AD Insurance Group Holdings, Inc.   15,500     503,253
Murata Manufacturing Company, Ltd.   19,600     1,291,107
NEC Corp.   8,800     369,694
 
  101  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Nexon Company, Ltd.   18,600   $ 444,981
NGK Insulators, Ltd.   9,000     128,386
Nidec Corp.   15,300     1,208,441
Nihon M&A Center Holdings, Inc.   10,400     145,475
Nintendo Company, Ltd.   3,800     1,918,096
Nippon Building Fund, Inc.   56     317,678
Nippon Express Holdings, Inc.   3,100     212,972
Nippon Paint Holdings Company, Ltd.   32,100     281,239
Nippon Prologis REIT, Inc.   80     233,588
Nippon Sanso Holdings Corp.   6,500     123,588
Nippon Shinyaku Company, Ltd.   1,700     115,583
Nippon Steel Corp.   31,700     559,336
Nippon Telegraph & Telephone Corp.   43,900     1,275,467
Nippon Yusen KK (C)   6,000     524,847
Nissan Chemical Corp.   4,600     269,826
Nissan Motor Company, Ltd. (A)   86,400     383,903
Nisshin Seifun Group, Inc.   7,400     103,240
Nissin Foods Holdings Company, Ltd.   2,200     154,254
Nitori Holdings Company, Ltd.   2,800     352,276
Nitto Denko Corp.   5,400     387,116
Nomura Holdings, Inc.   109,800     461,793
Nomura Real Estate Holdings, Inc.   4,500     107,771
Nomura Real Estate Master Fund, Inc.   151     199,608
Nomura Research Institute, Ltd.   12,546     409,342
NTT Data Corp.   22,500     442,176
Obayashi Corp.   22,500     165,144
Obic Company, Ltd.   2,600     389,420
Odakyu Electric Railway Company, Ltd.   10,900     180,665
Oji Holdings Corp.   30,000     148,836
Olympus Corp.   39,100     741,046
Omron Corp.   6,900     459,185
Ono Pharmaceutical Company, Ltd.   14,000     350,916
Open House Group Company, Ltd.   2,700     119,483
Oracle Corp. Japan   1,500     103,946
Oriental Land Company, Ltd.   6,800     1,301,556
ORIX Corp.   41,400     825,208
Orix JREIT, Inc.   97     131,545
Osaka Gas Company, Ltd.   13,800     236,479
Otsuka Corp.   3,800     134,734
Otsuka Holdings Company, Ltd.   13,600     469,850
Pan Pacific International Holdings Corp.   15,000     240,008
Panasonic Corp.   80,300     779,880
Persol Holdings Company, Ltd.   6,200     138,919
Pola Orbis Holdings, Inc.   3,200     41,667
Rakuten Group, Inc.   29,700     233,523
Recruit Holdings Company, Ltd.   46,600     2,024,632
Renesas Electronics Corp. (A)   46,500     538,794
Resona Holdings, Inc.   78,000     332,229
Ricoh Company, Ltd. (C)   24,000     207,835
Rinnai Corp.   1,200     89,765
Rohm Company, Ltd.   3,000     232,920
Ryohin Keikaku Company, Ltd.   9,000     104,393
Santen Pharmaceutical Company, Ltd.   12,500     124,980
SBI Holdings, Inc.   9,513     240,021
SCSK Corp.   5,400     92,343
Secom Company, Ltd.   7,800     564,267
Seiko Epson Corp. (C)   9,600     144,220
Sekisui Chemical Company, Ltd.   13,400     192,007
Sekisui House, Ltd.   21,400     413,944
Seven & i Holdings Company, Ltd.   25,700     1,225,304
SG Holdings Company, Ltd.   12,400     233,502
Sharp Corp. (C)   7,400     69,075
Shimadzu Corp.   9,000     309,551
Shimano, Inc.   2,600     595,422
Shimizu Corp. (C)   21,600     129,625
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Shin-Etsu Chemical Company, Ltd.   12,100   $ 1,838,393
Shionogi & Company, Ltd.   9,700     596,001
Shiseido Company, Ltd.   14,600     737,424
SMC Corp.   1,900     1,062,089
SoftBank Corp.   97,900     1,141,819
SoftBank Group Corp.   41,300     1,846,509
Sohgo Security Services Company, Ltd.   2,900     94,573
Sompo Holdings, Inc.   11,600     509,709
Sony Group Corp.   43,500     4,475,094
Square Enix Holdings Company, Ltd.   3,400     150,615
Stanley Electric Company, Ltd.   5,300     100,208
Subaru Corp.   23,000     365,309
SUMCO Corp.   12,900     211,108
Sumitomo Chemical Company, Ltd.   56,000     256,414
Sumitomo Corp.   41,300     715,261
Sumitomo Dainippon Pharma Company, Ltd.   5,300     52,289
Sumitomo Electric Industries, Ltd.   26,200     311,447
Sumitomo Metal Mining Company, Ltd.   9,200     466,105
Sumitomo Mitsui Financial Group, Inc.   44,700     1,412,001
Sumitomo Mitsui Trust Holdings, Inc.   12,600     410,062
Sumitomo Realty & Development Company, Ltd.   10,700     296,126
Suntory Beverage & Food, Ltd.   5,000     190,576
Suzuki Motor Corp.   13,600     466,075
Sysmex Corp.   6,200     449,051
T&D Holdings, Inc.   19,900     270,202
Taisei Corp.   6,600     190,536
Taisho Pharmaceutical Holdings Company, Ltd.   1,200     55,706
Takeda Pharmaceutical Company, Ltd.   54,076     1,540,746
TDK Corp.   14,300     515,904
Terumo Corp.   23,500     711,075
The Chiba Bank, Ltd.   21,600     127,002
The Kansai Electric Power Company, Inc.   24,300     228,886
The Shizuoka Bank, Ltd.   17,000     119,315
TIS, Inc.   7,800     182,540
Tobu Railway Company, Ltd.   6,800     165,338
Toho Company, Ltd.   4,067     153,691
Tokio Marine Holdings, Inc.   21,400     1,245,336
Tokyo Century Corp.   1,500     54,991
Tokyo Electric Power Company Holdings, Inc. (A)   50,400     166,370
Tokyo Electron, Ltd.   5,100     2,619,162
Tokyo Gas Company, Ltd.   13,900     254,470
Tokyu Corp.   17,900     232,233
Toppan, Inc.   10,300     181,691
Toray Industries, Inc.   50,800     264,138
Toshiba Corp. (C)   15,000     569,902
Tosoh Corp.   9,300     137,449
TOTO, Ltd.   4,800     192,771
Toyo Suisan Kaisha, Ltd.   3,100     110,925
Toyota Industries Corp.   5,200     358,662
Toyota Motor Corp.   365,900     6,600,106
Toyota Tsusho Corp.   7,900     324,231
Trend Micro, Inc.   4,600     268,631
Tsuruha Holdings, Inc.   1,300     82,548
Unicharm Corp.   14,900     535,296
USS Company, Ltd.   7,770     130,564
Welcia Holdings Company, Ltd.   3,400     83,658
West Japan Railway Company   8,200     339,774
Yakult Honsha Company, Ltd.   4,943     263,679
Yamaha Corp.   4,700     204,244
Yamaha Motor Company, Ltd.   10,100     226,378
 
  102  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Yamato Holdings Company, Ltd.   11,000   $ 205,482
Yaskawa Electric Corp.   8,300     323,492
Yokogawa Electric Corp.   7,886     134,366
Z Holdings Corp.   99,300     429,283
ZOZO, Inc.   4,800     128,185
          125,632,258
Jordan - 0.0%          
Hikma Pharmaceuticals PLC   6,907     186,336
Luxembourg - 0.2%          
ArcelorMittal SA   24,275     777,632
Aroundtown SA   37,519     214,399
Eurofins Scientific SE   4,949     489,571
Reinet Investments SCA   5,229     116,871
Tenaris SA   18,379     276,074
          1,874,547
Macau - 0.0%          
Sands China, Ltd. (A)   92,000     218,866
Malaysia - 0.4%          
AMMB Holdings BHD (A)   59,087     52,072
Axiata Group BHD   101,690     91,609
CIMB Group Holdings BHD   195,331     247,438
Dialog Group BHD   166,000     107,928
DiGi.Com BHD   110,800     102,597
Genting BHD   72,900     80,939
Genting Malaysia BHD   105,700     74,594
HAP Seng Consolidated BHD   30,200     53,735
Hartalega Holdings BHD   60,200     69,465
Hong Leong Bank BHD   23,269     111,588
Hong Leong Financial Group BHD   6,104     28,417
IHH Healthcare BHD   108,100     158,899
Inari Amertron BHD   98,100     70,965
IOI Corp. BHD   114,466     111,954
Kuala Lumpur Kepong BHD   17,415     104,395
Malayan Banking BHD   127,999     272,025
Malaysia Airports Holdings BHD (A)   34,427     56,853
Maxis BHD   67,200     62,677
MISC BHD   26,280     45,883
Nestle Malaysia BHD   2,800     88,915
Petronas Chemicals Group BHD   99,800     227,679
Petronas Dagangan BHD   12,200     59,155
Petronas Gas BHD   21,200     83,914
PPB Group BHD   21,240     86,392
Press Metal Aluminium Holdings BHD   120,800     177,833
Public Bank BHD   486,890     540,098
QL Resources BHD   54,400     65,015
RHB Bank BHD   30,283     42,925
Sime Darby BHD   108,224     61,641
Sime Darby Plantation BHD   108,786     128,309
Telekom Malaysia BHD   42,705     49,606
Tenaga Nasional BHD   101,250     216,722
Top Glove Corp. BHD   164,400     75,089
          3,807,326
Mexico - 0.7%          
Alfa SAB de CV, Class A   98,000     74,498
America Movil SAB de CV, Series L   1,058,032     1,120,801
Arca Continental SAB de CV   16,000     108,589
Becle SAB de CV   26,600     65,183
Cemex SAB de CV, Series CPO (A)   521,849     278,897
Coca-Cola Femsa SAB de CV   15,212     83,769
Fibra Uno Administracion SA de CV   90,200     105,664
Fomento Economico Mexicano SAB de CV   70,620     586,334
Gruma SAB de CV, Class B (C)   7,685     96,358
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Mexico (continued)          
Grupo Aeroportuario del Pacifico SAB de CV, B Shares (A)   14,200   $ 228,906
Grupo Aeroportuario del Sureste SAB de CV, B Shares   8,185     181,802
Grupo Bimbo SAB de CV, Series A   53,084     160,133
Grupo Carso SAB de CV, Series A1 (C)   9,477     35,635
Grupo Financiero Banorte SAB de CV, Series O   93,962     707,762
Grupo Financiero Inbursa SAB de CV, Series O (A)   77,038     161,125
Grupo Mexico SAB de CV, Series B   104,066     621,309
Grupo Televisa SAB, Series CPO   80,326     188,599
Industrias Penoles SAB de CV   4,883     61,621
Kimberly-Clark de Mexico SAB de CV, Class A   43,778     61,738
Megacable Holdings SAB de CV, Series CPO   16,300     49,170
Operadora de Sites Mexicanos SA de CV, Class A1   63,900     81,441
Orbia Advance Corp. SAB de CV   37,631     99,536
Promotora y Operadora de Infraestructura SAB de CV   5,800     46,053
Wal-Mart de Mexico SAB de CV   188,888     774,070
          5,978,993
Netherlands - 3.0%          
ABN AMRO Bank NV (B)   16,073     205,251
Adyen NV (A)(B)   713     1,412,243
Aegon NV   77,899     412,955
Akzo Nobel NV   6,858     589,259
Argenx SE (A)   1,553     485,892
ASM International NV   1,723     627,402
ASML Holding NV   14,269     9,534,909
Euronext NV (B)   3,256     295,802
EXOR NV   3,992     303,472
Heineken Holding NV   4,217     330,207
Heineken NV   9,397     898,639
IMCD NV   2,143     365,582
ING Groep NV   140,027     1,462,021
JDE Peet's NV   4,248     121,636
Just Eat Takeaway.com NV (A)(B)   6,815     228,562
Koninklijke Ahold Delhaize NV   37,778     1,215,155
Koninklijke DSM NV   6,317     1,130,078
Koninklijke KPN NV   126,323     438,341
Koninklijke Philips NV (C)   33,201     1,012,427
NN Group NV   9,966     505,067
Prosus NV (A)   33,386     1,800,445
QIAGEN NV (A)   8,350     409,736
Randstad NV (C)   4,552     273,827
Stellantis NV   38,926     630,195
Stellantis NV (Euronext Paris Exchange)   34,423     558,779
Universal Music Group NV   26,557     708,920
Wolters Kluwer NV   9,704     1,034,514
          26,991,316
New Zealand - 0.2%          
Auckland International Airport, Ltd. (A)   36,599     198,023
Fisher & Paykel Healthcare Corp., Ltd.   19,921     334,278
Mercury NZ, Ltd.   22,971     94,299
Meridian Energy, Ltd.   44,474     154,950
Ryman Healthcare, Ltd.   12,940     83,755
Spark New Zealand, Ltd.   67,539     213,735
Xero, Ltd. (A)   5,003     379,166
          1,458,206
Norway - 0.5%          
Adevinta ASA (A)   8,335     76,092
 
  103  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Norway (continued)          
Aker BP ASA (C)   4,193   $ 156,394
DNB Bank ASA   30,942     699,566
Equinor ASA   35,722     1,333,740
Gjensidige Forsikring ASA (C)   6,934     171,944
Mowi ASA   14,928     402,099
Norsk Hydro ASA   48,185     468,160
Orkla ASA   29,206     259,481
Schibsted ASA, B Shares   3,512     74,923
Schibsted ASA, Class A   2,550     62,851
Telenor ASA   26,898     385,974
Yara International ASA   6,981     349,110
          4,440,334
Peru - 0.1%          
Cia de Minas Buenaventura SAA, ADR (A)   8,064     81,204
Credicorp, Ltd.   2,434     418,332
Southern Copper Corp.   2,874     218,137
          717,673
Philippines - 0.2%          
Aboitiz Equity Ventures, Inc.   85,070     97,845
Ayala Corp.   8,920     141,753
Ayala Land, Inc.   253,800     171,365
Bank of the Philippine Islands   34,118     65,612
BDO Unibank, Inc.   77,140     197,047
Globe Telecom, Inc.   970     47,606
GT Capital Holdings, Inc.   3,464     36,837
International Container Terminal Services, Inc.   33,760     146,251
JG Summit Holdings, Inc.   89,355     105,825
Jollibee Foods Corp.   18,900     82,068
Manila Electric Company   8,090     58,319
Metro Pacific Investments Corp.   509,100     37,269
Metropolitan Bank & Trust Company   65,642     72,135
PLDT, Inc.   3,730     133,125
SM Investments Corp.   8,302     145,690
SM Prime Holdings, Inc.   311,044     226,767
Universal Robina Corp.   30,280     70,671
          1,836,185
Poland - 0.2%          
Allegro.eu SA (A)(B)   13,472     112,841
Bank Polska Kasa Opieki SA   5,522     147,603
CD Projekt SA   2,349     96,423
Cyfrowy Polsat SA   6,360     41,873
Dino Polska SA (A)(B)   1,719     138,735
InPost SA (A)   9,667     61,336
KGHM Polska Miedz SA   5,681     230,716
LPP SA   42     113,646
Orange Polska SA (A)   26,179     49,028
PGE Polska Grupa Energetyczna SA (A)   26,654     57,409
Polski Koncern Naftowy ORLEN SA   11,432     205,153
Polskie Gornictwo Naftowe i Gazownictwo SA   62,946     92,535
Powszechna Kasa Oszczednosci Bank Polski SA (A)   32,873     309,749
Powszechny Zaklad Ubezpieczen SA   23,000     184,119
Santander Bank Polska SA   1,219     88,144
          1,929,310
Portugal - 0.1%          
EDP - Energias de Portugal SA   91,820     451,930
Galp Energia SGPS SA   18,673     236,078
Jeronimo Martins SGPS SA   7,332     175,895
          863,903
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Romania - 0.0%          
NEPI Rockcastle PLC   15,018   $ 100,025
Russia - 0.1%          
Gazprom PJSC, ADR (E)   251,662     116,268
Gazprom PJSC, ADR (London Stock Exchange) (E)   3,680     898
LUKOIL PJSC, ADR (E)   23,756     69,439
MMC Norilsk Nickel PJSC, ADR (E)   39,185     49,687
Mobile TeleSystems PJSC, ADR (E)   20,264     46,810
Novatek PJSC, GDR (E)   3,057     49,163
Rosneft Oil Company PJSC, GDR (E)   30,000     37,800
Rosneft Oil Company PJSC, GDR (London Stock Exchange) (E)   9,131     2,310
Sberbank of Russia PJSC, ADR (E)   40,000     8,720
Sberbank of Russia PJSC, ADR (London Stock Exchange) (E)   34,900     62,932
Severstal PAO, GDR (E)   4,250     174
Surgutneftegas PJSC, ADR (E)   22,274     4,767
Surgutneftegas PJSC, ADR (London Stock Exchange) (E)   23,070     5,998
Tatneft PJSC, ADR (E)   7,986     32,032
VTB Bank PJSC, GDR (E)   50,760     21,319
          508,317
Saudi Arabia - 1.1%          
Advanced Petrochemical Company   4,529     84,762
Al Rajhi Bank   43,550     1,858,879
Alinma Bank   34,699     357,824
Almarai Company JSC   8,852     120,440
Arab National Bank   21,244     156,649
Bank AlBilad (A)   13,065     214,742
Bank Al-Jazira   14,284     99,727
Banque Saudi Fransi   19,205     273,775
Bupa Arabia for Cooperative Insurance Company   981     46,728
Dar Al Arkan Real Estate Development Company (A)   18,814     54,521
Emaar Economic City (A)   13,598     42,134
Etihad Etisalat Company   13,413     148,182
Jarir Marketing Company   2,090     109,509
National Industrialization Company (A)   11,652     71,128
Rabigh Refining & Petrochemical Company (A)   7,786     58,151
Riyad Bank   42,488     423,971
SABIC Agri-Nutrients Company   5,901     284,727
Sahara International Petrochemical Company   12,775     181,485
Saudi Arabian Mining Company (A)   15,250     541,436
Saudi Arabian Oil Company (B)   76,487     877,359
Saudi Basic Industries Corp.   26,663     926,720
Saudi Electricity Company   29,505     207,363
Saudi Industrial Investment Group   7,839     72,800
Saudi Kayan Petrochemical Company (A)   26,130     156,191
Saudi Telecom Company   20,888     597,672
The Company for Cooperative Insurance   2,178     41,610
The Saudi British Bank   25,464     268,972
The Saudi National Bank   68,407     1,287,143
The Savola Group   9,302     90,121
Yanbu National Petrochemical Company   7,999     141,988
          9,796,709
Singapore - 0.9%          
Ascendas Real Estate Investment Trust   117,802     253,843
BOC Aviation, Ltd. (B)   7,400     58,128
CapitaLand Integrated Commercial Trust   183,231     303,126
CapitaLand Investment, Ltd. (A)   93,902     275,140
 
  104  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Singapore (continued)          
City Developments, Ltd.   16,600   $ 95,960
DBS Group Holdings, Ltd.   64,154     1,680,977
Genting Singapore, Ltd.   226,200     135,197
Grab Holdings, Ltd., Class A (A)   37,400     130,900
JOYY, Inc., ADR   2,000     73,460
Keppel Corp., Ltd.   55,069     259,664
Mapletree Commercial Trust   89,600     124,661
Mapletree Logistics Trust   124,150     168,710
Oversea-Chinese Banking Corp., Ltd.   120,702     1,094,991
Sea, Ltd., ADR (A)   11,000     1,317,690
Singapore Airlines, Ltd. (A)   57,850     233,146
Singapore Exchange, Ltd.   30,900     226,449
Singapore Technologies Engineering, Ltd.   61,500     186,287
Singapore Telecommunications, Ltd.   294,940     572,700
United Overseas Bank, Ltd.   42,208     987,583
UOL Group, Ltd.   20,239     104,792
Venture Corp., Ltd.   11,100     143,046
Wilmar International, Ltd.   72,000     249,352
          8,675,802
South Africa - 1.1%          
Absa Group, Ltd.   25,092     325,352
African Rainbow Minerals, Ltd.   5,157     100,563
Anglo American Platinum, Ltd.   1,548     211,739
AngloGold Ashanti, Ltd. (C)   14,430     342,396
Aspen Pharmacare Holdings, Ltd.   13,036     176,543
Bid Corp., Ltd. (C)   11,078     241,431
Capitec Bank Holdings, Ltd.   2,672     425,544
Clicks Group, Ltd.   8,355     176,871
Discovery, Ltd. (A)   13,271     165,313
Exxaro Resources, Ltd.   8,997     136,033
FirstRand, Ltd.   160,204     845,583
Gold Fields, Ltd. (C)   29,492     456,701
Growthpoint Properties, Ltd.   109,582     110,275
Harmony Gold Mining Company, Ltd.   18,873     94,651
Impala Platinum Holdings, Ltd. (C)   26,847     413,237
Kumba Iron Ore, Ltd.   2,164     96,126
Mr. Price Group, Ltd.   8,969     132,426
MTN Group, Ltd.   59,164     765,531
MultiChoice Group   15,717     141,120
Naspers, Ltd., N Shares   7,259     819,848
Nedbank Group, Ltd. (C)   15,440     245,261
Northam Platinum Holdings, Ltd. (A)   11,870     176,076
Old Mutual, Ltd. (C)   182,601     169,317
Rand Merchant Investment Holdings, Ltd.   25,734     91,988
Remgro, Ltd.   17,781     181,857
Sanlam, Ltd.   59,860     294,693
Sasol, Ltd. (A)   19,396     468,919
Shoprite Holdings, Ltd.   16,492     266,191
Sibanye Stillwater, Ltd. (C)   101,051     406,323
Standard Bank Group, Ltd.   43,543     540,975
The Bidvest Group, Ltd.   9,718     148,367
The SPAR Group, Ltd.   5,706     66,212
Tiger Brands, Ltd.   5,421     60,055
Vodacom Group, Ltd.   19,298     210,874
Woolworths Holdings, Ltd. (C)   33,746     132,945
          9,637,336
South Korea - 3.2%          
Alteogen, Inc. (A)   591     27,297
Amorepacific Corp.   975     127,812
AMOREPACIFIC Group   770     27,721
BGF retail Company, Ltd.   90     12,927
Celltrion Healthcare Company, Ltd.   3,174     169,085
Celltrion Pharm, Inc. (A)   570     45,729
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
Celltrion, Inc.   3,173   $ 446,720
Cheil Worldwide, Inc.   1,346     26,038
CJ CheilJedang Corp.   210     63,662
CJ Corp.   456     31,542
CJ ENM Company, Ltd.   178     19,161
CJ Logistics Corp. (A)   312     33,150
Coway Company, Ltd.   2,324     130,995
DB Insurance Company, Ltd.   1,122     64,607
Doosan Bobcat, Inc.   1,103     35,054
Doosan Heavy Industries & Construction Company, Ltd. (A)   10,736     178,702
Ecopro BM Company, Ltd.   437     141,224
E-MART, Inc.   496     57,284
F&F Company, Ltd.   115     70,142
Green Cross Corp.   274     45,463
GS Engineering & Construction Corp.   1,468     55,747
GS Holdings Corp.   1,749     63,166
Hana Financial Group, Inc.   11,216     446,096
Hankook Tire & Technology Company, Ltd.   1,937     53,480
Hanmi Pharm Company, Ltd.   147     33,116
Hanon Systems   4,656     45,054
Hanwha Solutions Corp. (A)   3,439     101,345
HLB, Inc. (A)   2,702     67,803
HMM Company, Ltd.   8,540     203,436
Hotel Shilla Company, Ltd.   1,060     70,512
HYBE Company, Ltd. (A)   560     141,525
Hyundai Engineering & Construction Company, Ltd.   2,649     103,706
Hyundai Glovis Company, Ltd.   539     84,990
Hyundai Heavy Industries Holdings Company, Ltd.   1,555     68,599
Hyundai Mobis Company, Ltd.   2,223     391,805
Hyundai Motor Company   4,857     716,607
Hyundai Steel Company   2,875     97,638
Iljin Materials Company, Ltd.   767     60,447
Industrial Bank of Korea   5,941     52,794
Kakao Corp.   10,511     913,601
Kakao Games Corp. (A)   994     63,372
KakaoBank Corp. (A)   3,982     168,181
Kangwon Land, Inc. (A)   3,612     82,383
KB Financial Group, Inc.   12,892     646,069
KB Financial Group, Inc., ADR   430     20,997
Kia Corp.   8,833     534,999
Korea Aerospace Industries, Ltd.   1,710     59,332
Korea Electric Power Corp.   6,370     118,680
Korea Electric Power Corp., ADR   4,277     39,819
Korea Investment Holdings Company, Ltd.   1,170     75,165
Korea Shipbuilding & Offshore Engineering Company, Ltd. (A)   1,127     81,979
Korea Zinc Company, Ltd.   350     168,473
Korean Air Lines Company, Ltd. (A)   6,728     166,337
Krafton, Inc. (A)   733     165,136
KT&G Corp.   4,465     297,057
Kumho Petrochemical Company, Ltd.   614     77,816
L&F Company, Ltd.   748     137,649
LG Chem, Ltd.   1,553     678,609
LG Corp.   2,922     183,496
LG Display Company, Ltd.   5,471     92,225
LG Display Company, Ltd., ADR (A)(C)   2,417     19,964
LG Electronics, Inc.   3,973     390,798
LG Household & Health Care, Ltd.   358     252,537
LG Innotek Company, Ltd.   575     181,551
LG Uplus Corp.   9,062     104,254
 
  105  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
Lotte Chemical Corp.   562   $ 96,456
Lotte Shopping Company, Ltd.   366     28,742
Meritz Securities Company, Ltd.   14,974     80,481
Mirae Asset Securities Company, Ltd.   7,084     49,729
NAVER Corp.   4,194     1,165,634
NCSoft Corp.   550     210,928
Netmarble Corp. (B)   515     47,063
NH Investment & Securities Company, Ltd.   3,944     36,879
Orion Corp.   569     41,432
Pan Ocean Company, Ltd.   9,148     52,408
Pearl Abyss Corp. (A)   1,020     82,934
POSCO Chemical Company, Ltd.   883     86,811
POSCO Holdings, Inc.   2,484     595,846
S-1 Corp.   252     14,783
Samsung Biologics Company, Ltd. (A)(B)   550     373,712
Samsung C&T Corp.   2,732     255,088
Samsung Electro-Mechanics Company, Ltd.   1,863     250,844
Samsung Electronics Company, Ltd.   164,898     9,435,956
Samsung Engineering Company, Ltd. (A)   6,723     144,296
Samsung Fire & Marine Insurance Company, Ltd.   1,218     219,343
Samsung Heavy Industries Company, Ltd. (A)   20,659     96,196
Samsung Life Insurance Company, Ltd.   2,349     127,207
Samsung SDI Company, Ltd.   1,864     907,190
Samsung SDS Company, Ltd.   1,018     115,493
Samsung Securities Company, Ltd.   1,475     50,652
SD Biosensor, Inc.   1,695     77,744
Seegene, Inc.   947     39,684
Shinhan Financial Group Company, Ltd.   14,320     486,432
Shinhan Financial Group Company, Ltd., ADR   350     11,701
SK Biopharmaceuticals Company, Ltd. (A)   528     38,889
SK Bioscience Company, Ltd. (A)   763     97,882
SK Chemicals Company, Ltd.   385     42,834
SK Hynix, Inc.   18,713     1,800,176
SK IE Technology Company, Ltd. (A)(B)   601     61,920
SK Innovation Company, Ltd. (A)   1,818     318,926
SK Square Company, Ltd. (A)   195     9,070
SK Telecom Company, Ltd.   506     23,660
SK, Inc.   1,605     318,060
SKC Company, Ltd.   859     108,009
S-Oil Corp.   1,876     148,850
Woori Financial Group, Inc.   16,990     212,948
Yuhan Corp.   1,295     62,130
          28,757,678
Spain - 1.5%          
ACS Actividades de Construccion y Servicios SA   11,389     307,043
Aena SME SA (A)(B)   2,789     464,930
Amadeus IT Group SA (A)   16,293     1,059,346
Banco Bilbao Vizcaya Argentaria SA   239,997     1,370,374
Banco Santander SA   600,723     2,042,427
Banco Santander SA (Mexican Stock Exchange)   22,856     75,382
CaixaBank SA (C)   163,763     555,468
Cellnex Telecom SA (A)(B)   18,545     892,472
EDP Renovaveis SA   9,513     244,588
Enagas SA   9,787     217,334
Endesa SA   12,378     269,887
Ferrovial SA   17,974     478,019
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Spain (continued)          
Grifols SA   11,763   $ 213,507
Iberdrola SA   208,668     2,280,749
Industria de Diseno Textil SA   39,419     859,535
Naturgy Energy Group SA (C)   7,540     225,896
Red Electrica Corp. SA   16,401     336,731
Repsol SA   53,970     706,968
Siemens Gamesa Renewable Energy SA (A)   9,848     172,727
Telefonica SA   196,462     952,111
          13,725,494
Sweden - 2.2%          
Alfa Laval AB   11,168     384,151
Assa Abloy AB, B Shares   36,354     977,180
Atlas Copco AB, A Shares   24,198     1,256,021
Atlas Copco AB, B Shares   14,258     646,594
Boliden AB   9,749     491,790
Electrolux AB, Series B (C)   9,015     136,420
Embracer Group AB (A)(C)   21,941     183,145
Epiroc AB, A Shares   24,359     521,011
Epiroc AB, B Shares   14,979     270,437
EQT AB   11,030     430,151
Essity AB, B Shares (C)   22,335     527,084
Evolution AB (B)   6,281     638,993
Fastighets AB Balder, B Shares (A)   4,043     266,192
Getinge AB, B Shares   8,639     344,169
Hennes & Mauritz AB, B Shares   28,520     382,956
Hexagon AB, B Shares   71,500     1,001,772
Husqvarna AB, B Shares   16,345     170,507
Industrivarden AB, A Shares   5,394     152,979
Industrivarden AB, C Shares   6,375     177,696
Investment AB Latour, B Shares   5,907     187,530
Investor AB, A Shares (C)   18,613     433,102
Investor AB, B Shares   65,652     1,426,502
Kinnevik AB, B Shares (A)   8,775     228,818
L.E. Lundbergforetagen AB, B Shares   3,102     157,434
Lifco AB, B Shares   9,142     232,075
Lundin Energy AB (C)   7,641     320,724
Nibe Industrier AB, B Shares   52,769     584,921
Sagax AB, B Shares   6,422     194,876
Sandvik AB   40,871     868,216
Securitas AB, B Shares   12,796     144,356
Sinch AB (A)(B)(C)   20,504     139,068
Skandinaviska Enskilda Banken AB, A Shares   57,777     624,619
Skanska AB, B Shares (C)   12,918     289,004
SKF AB, B Shares (C)   14,059     229,246
Svenska Cellulosa AB SCA, B Shares   22,682     440,432
Svenska Handelsbanken AB, A Shares   55,216     507,736
Swedbank AB, A Shares (C)   33,211     496,028
Swedish Match AB   57,080     429,244
Tele2 AB, B Shares   17,728     267,973
Telefonaktiebolaget LM Ericsson, B Shares   105,326     960,104
Telia Company AB (C)   99,603     399,379
Volvo AB, A Shares   8,008     153,388
Volvo AB, B Shares   51,679     964,090
          19,638,113
Switzerland - 6.9%          
ABB, Ltd.   58,926     1,911,602
Adecco Group AG   6,058     274,800
Alcon, Inc.   18,013     1,427,097
Bachem Holding AG, Class B   255     140,337
Baloise Holding AG   1,882     336,119
Barry Callebaut AG   136     318,846
 
  106  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Switzerland (continued)          
Chocoladefabriken Lindt & Spruengli AG   4   $ 483,834
Chocoladefabriken Lindt & Spruengli AG, Participation Certificates   42     499,881
Cie Financiere Richemont SA, A Shares   18,677     2,367,401
Clariant AG (A)   8,258     143,301
Coca-Cola HBC AG   8,067     168,244
Credit Suisse Group AG   96,288     757,990
EMS-Chemie Holding AG   321     311,949
Geberit AG   1,305     804,476
Givaudan SA   333     1,376,268
Glencore PLC (A)   342,145     2,226,232
Holcim, Ltd. (A)   12,218     594,244
Holcim, Ltd. (Euronext Paris Exchange) (A)(C)   6,750     327,860
Julius Baer Group, Ltd.   8,601     497,951
Kuehne + Nagel International AG   2,065     586,314
Logitech International SA   6,403     475,949
Lonza Group AG   2,675     1,938,316
Nestle SA   97,224     12,640,935
Novartis AG   75,570     6,634,408
Partners Group Holding AG   821     1,016,564
Roche Holding AG   24,253     9,595,987
Roche Holding AG, Bearer Shares   1,186     518,698
Schindler Holding AG   806     171,749
Schindler Holding AG, Participation Certificates   1,582     338,975
SGS SA   220     611,632
Sika AG   5,094     1,685,370
Sonova Holding AG   2,001     835,895
STMicroelectronics NV   24,696     1,073,392
Straumann Holding AG   380     606,741
Swiss Life Holding AG   1,152     738,208
Swiss Prime Site AG   3,037     299,523
Swiss Re AG   10,900     1,037,614
Swisscom AG (C)   989     594,197
Temenos AG   2,556     245,861
The Swatch Group AG   2,395     130,327
The Swatch Group AG, Bearer Shares (C)   1,191     337,677
UBS Group AG   125,946     2,461,150
VAT Group AG (B)   1,010     384,547
Vifor Pharma AG (A)   1,821     324,668
Zurich Insurance Group AG   5,387     2,660,639
          62,913,768
Taiwan - 4.2%          
Accton Technology Corp.   17,000     130,713
Acer, Inc.   58,018     60,136
Advantech Company, Ltd.   13,296     170,370
ASE Technology Holding Company, Ltd.   111,338     396,749
Asia Cement Corp.   72,863     123,036
ASMedia Technology, Inc.   1,000     66,812
Asustek Computer, Inc.   23,952     310,745
AU Optronics Corp.   273,827     186,765
Catcher Technology Company, Ltd.   22,184     111,294
Cathay Financial Holding Company, Ltd.   263,839     588,925
Chailease Holding Company, Ltd.   39,005     342,126
Chang Hwa Commercial Bank, Ltd.   114,855     76,547
Cheng Shin Rubber Industry Company, Ltd.   43,680     53,774
China Development Financial Holding Corp.   504,133     334,601
China Steel Corp.   363,388     489,934
Chunghwa Telecom Company, Ltd.   127,148     563,123
Compal Electronics, Inc.   139,764     130,195
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
CTBC Financial Holding Company, Ltd.   586,465   $ 597,670
Delta Electronics, Inc.   64,866     601,420
E Ink Holdings, Inc.   29,000     184,405
E.Sun Financial Holding Company, Ltd.   341,799     392,148
Eclat Textile Company, Ltd.   6,259     103,616
eMemory Technology, Inc.   2,000     127,092
Evergreen Marine Corp. Taiwan, Ltd.   84,566     393,076
Far Eastern New Century Corp.   64,875     68,557
Far EasTone Telecommunications Company, Ltd.   45,159     115,709
Feng TAY Enterprise Company, Ltd.   14,520     96,557
First Financial Holding Company, Ltd.   346,987     343,135
Formosa Chemicals & Fibre Corp.   117,212     321,709
Formosa Petrochemical Corp.   39,720     130,366
Formosa Plastics Corp.   128,086     473,733
Foxconn Technology Company, Ltd.   15,513     33,777
Fubon Financial Holding Company, Ltd.   240,270     637,969
Giant Manufacturing Company, Ltd.   10,000     90,518
Globalwafers Company, Ltd.   7,000     162,925
Hiwin Technologies Corp.   8,552     70,981
Hon Hai Precision Industry Company, Ltd.   417,368     1,532,504
Hotai Motor Company, Ltd.   9,000     186,578
Hua Nan Financial Holdings Company, Ltd.   286,485     242,337
Innolux Corp.   275,841     159,757
Inventec Corp.   89,899     77,062
Largan Precision Company, Ltd.   3,143     205,456
Lite-On Technology Corp.   70,626     166,873
MediaTek, Inc.   53,340     1,659,969
Mega Financial Holding Company, Ltd.   363,134     542,233
Micro-Star International Company, Ltd.   23,000     103,262
momo.com, Inc.   2,000     65,008
Nan Ya Plastics Corp.   171,992     556,759
Nan Ya Printed Circuit Board Corp.   8,000     143,602
Nanya Technology Corp.   37,000     88,263
Nien Made Enterprise Company, Ltd.   5,000     58,212
Novatek Microelectronics Corp.   19,361     284,679
Oneness Biotech Company, Ltd. (A)   8,000     59,676
Pegatron Corp.   66,989     168,682
Pou Chen Corp.   78,641     86,092
President Chain Store Corp.   19,496     178,818
Quanta Computer, Inc.   90,771     277,982
Realtek Semiconductor Corp.   14,999     222,807
Ruentex Development Company, Ltd.   38,400     105,266
Shin Kong Financial Holding Company, Ltd.   411,790     154,131
SinoPac Financial Holdings Company, Ltd.   338,762     216,656
Synnex Technology International Corp.   24,928     65,069
Taishin Financial Holding Company, Ltd.   341,572     242,987
Taiwan Cement Corp.   167,824     291,088
Taiwan Cooperative Financial Holding Company, Ltd.   296,127     303,933
Taiwan High Speed Rail Corp.   66,000     66,306
Taiwan Mobile Company, Ltd.   55,257     202,204
Taiwan Semiconductor Manufacturing Company, Ltd.   851,227     17,461,663
The Shanghai Commercial & Savings Bank, Ltd.   111,937     195,079
Unimicron Technology Corp.   40,000     340,938
Uni-President Enterprises Corp.   161,487     368,540
United Microelectronics Corp.   388,313     713,108
Vanguard International Semiconductor Corp.   31,000     133,486
 
  107  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Voltronic Power Technology Corp.   2,000   $ 100,931
Wan Hai Lines, Ltd.   19,800     108,432
Win Semiconductors Corp.   11,000     101,229
Winbond Electronics Corp.   102,000     109,252
Wiwynn Corp.   3,000     105,829
WPG Holdings, Ltd.   47,840     93,200
Ya Hsin Industrial Company, Ltd. (A)(E)   36,000     0
Yageo Corp.   12,584     187,843
Yang Ming Marine Transport Corp. (A)   52,000     222,932
Yuanta Financial Holding Company, Ltd.   324,837     297,595
Zhen Ding Technology Holding, Ltd.   19,000     70,746
          38,406,262
Thailand - 0.5%          
Advanced Info Service PCL   48,400     338,186
Airports of Thailand PCL (A)   163,100     323,441
Bangkok Dusit Medical Services PCL, NVDR   387,300     290,447
Bangkok Expressway & Metro PCL, NVDR   354,600     92,497
Berli Jucker PCL, NVDR   21,300     23,034
BTS Group Holdings PCL, NVDR   301,600     83,202
Bumrungrad Hospital PCL, NVDR   15,600     73,193
Central Pattana PCL, NVDR   64,400     113,740
Central Retail Corp. PCL   45,441     54,077
Charoen Pokphand Foods PCL   136,200     98,562
CP ALL PCL   184,600     359,642
CP ALL PCL, NVDR   12,300     23,963
Electricity Generating PCL   7,600     38,743
Electricity Generating PCL, NVDR   1,400     7,137
Energy Absolute PCL   56,900     167,000
Gulf Energy Development PCL, NVDR   79,150     121,400
Home Product Center PCL   204,400     97,318
Indorama Ventures PCL, NVDR   54,900     76,435
Krung Thai Bank PCL   164,375     67,863
Land & Houses PCL, NVDR   393,400     112,229
Minor International PCL, NVDR (A)   131,483     131,666
Muangthai Capital PCL, NVDR   11,300     17,769
PTT Exploration & Production PCL   60,147     259,151
PTT Global Chemical PCL   87,373     132,837
PTT PCL   391,000     450,600
PTT PCL, NVDR   10,500     12,101
Ratch Group PCL, NVDR   12,800     16,928
Thai Oil PCL   46,900     72,577
Thai Union Group PCL   95,900     54,405
The Siam Cement PCL   12,000     137,816
The Siam Cement PCL, NVDR   14,300     164,231
The Siam Commercial Bank PCL   23,348     79,618
True Corp. PCL   448,802     69,311
          4,161,119
Turkey - 0.1%          
Akbank TAS   100,286     49,423
Aselsan Elektronik Sanayi Ve Ticaret AS   14,026     23,043
BIM Birlesik Magazalar AS   16,428     94,727
Eregli Demir ve Celik Fabrikalari TAS   49,091     107,619
Ford Otomotiv Sanayi AS   4,572     92,939
KOC Holding AS   25,423     68,704
Turkcell Iletisim Hizmetleri AS   38,572     59,233
Turkiye Garanti Bankasi AS   86,216     71,634
Turkiye Is Bankasi AS, Class C   60,572     36,418
Turkiye Petrol Rafinerileri AS (A)   4,998     72,897
          676,637
United Arab Emirates - 0.0%          
NMC Health PLC (A)   4,471     9
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom - 9.1%          
3i Group PLC   35,664   $ 644,888
abrdn PLC   83,799     234,645
Admiral Group PLC   7,357     246,715
Anglo American PLC   44,317     2,302,810
Ashtead Group PLC   16,179     1,018,698
Associated British Foods PLC   13,433     291,806
AstraZeneca PLC   53,425     7,084,831
Auto Trader Group PLC (B)   37,238     307,409
AVEVA Group PLC   4,798     153,251
Aviva PLC   142,429     842,738
BAE Systems PLC   116,849     1,097,379
Barclays PLC   578,927     1,122,233
Barratt Developments PLC   38,692     263,407
BP PLC   692,632     3,395,537
British American Tobacco PLC   74,982     3,149,026
BT Group PLC   324,955     774,791
Bunzl PLC   12,530     485,926
Burberry Group PLC   15,189     331,570
CNH Industrial NV   37,712     593,997
Coca-Cola Europacific Partners PLC   6,887     338,259
Compass Group PLC   60,955     1,311,754
Croda International PLC   5,146     529,376
Diageo PLC   80,364     4,076,418
Entain PLC (A)   21,740     465,692
Ferguson PLC   7,567     1,025,173
GlaxoSmithKline PLC   173,209     3,747,704
Halma PLC   13,950     456,402
Hargreaves Lansdown PLC   13,764     181,420
HSBC Holdings PLC   704,094     4,809,347
Imperial Brands PLC   34,496     726,647
Informa PLC (A)   56,166     440,060
InterContinental Hotels Group PLC   6,814     460,861
Intertek Group PLC   6,021     410,738
J Sainsbury PLC   71,585     236,930
JD Sports Fashion PLC   99,578     191,878
Johnson Matthey PLC   7,531     184,183
Kingfisher PLC   79,556     265,529
Land Securities Group PLC   25,882     265,544
Legal & General Group PLC   217,299     770,408
Lloyds Banking Group PLC   2,429,420     1,479,434
London Stock Exchange Group PLC   11,896     1,240,518
M&G PLC   94,053     270,997
Melrose Industries PLC   165,385     268,277
Mondi PLC   13,861     269,427
Mondi PLC (Johannesburg Stock Exchange)   4,137     82,204
National Grid PLC   123,849     1,903,333
NatWest Group PLC   210,760     595,256
Next PLC   4,895     384,994
Ocado Group PLC (A)   18,400     280,960
Pearson PLC   29,343     287,708
Persimmon PLC   11,973     335,738
Phoenix Group Holdings PLC   27,163     217,626
Prudential PLC   89,370     1,319,390
Reckitt Benckiser Group PLC   24,469     1,866,636
RELX PLC   41,592     1,294,246
RELX PLC (Euronext Amsterdam Exchange)   24,692     768,161
Rentokil Initial PLC (C)   67,951     468,078
Rio Tinto PLC   38,611     3,086,808
Rolls-Royce Holdings PLC (A)   310,208     407,922
Schroders PLC   4,962     208,947
Segro PLC   43,798     769,925
Severn Trent PLC   9,413     379,383
Shell PLC   265,638     7,280,776
 
  108  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
Smith & Nephew PLC   32,440   $ 515,953
Smiths Group PLC   15,498     293,624
Spirax-Sarco Engineering PLC   2,735     447,119
SSE PLC   38,597     881,902
St. James's Place PLC   20,193     380,706
Standard Chartered PLC   96,275     639,073
Taylor Wimpey PLC   139,593     237,715
Tesco PLC   279,682     1,012,531
The Berkeley Group Holdings PLC (A)   4,051     197,593
The British Land Company PLC   35,353     244,779
The Sage Group PLC   34,459     315,736
Unilever PLC   89,402     4,059,089
United Utilities Group PLC   26,873     395,718
Vodafone Group PLC   946,663     1,552,320
Whitbread PLC (A)   7,669     285,544
WPP PLC   42,535     556,701
          82,718,827
United States - 0.1%          
Bausch Health Companies, Inc. (A)   11,700     267,290
Brookfield Renewable Corp., Class A   5,150     224,925
Legend Biotech Corp., ADR (A)   2,100     76,314
Parade Technologies, Ltd.   3,000     187,494
          756,023
TOTAL COMMON STOCKS (Cost $653,821,644)   $ 868,467,314
PREFERRED SECURITIES - 0.9%      
Brazil - 0.4%          
Alpargatas SA   9,894     54,176
Banco Bradesco SA   174,347     813,684
Braskem SA, A Shares   8,200     76,298
Centrais Eletricas Brasileiras SA, B Shares   5,700     44,896
Cia Energetica de Minas Gerais   36,286     115,922
Gerdau SA   43,600     282,147
Itau Unibanco Holding SA   173,789     1,003,082
Itausa SA   155,109     350,222
Petroleo Brasileiro SA   165,151     1,160,311
          3,900,738
Germany - 0.3%          
Bayerische Motoren Werke AG   2,090     161,888
Fuchs Petrolub SE   2,735     99,230
Henkel AG & Company KGaA   6,583     440,614
Porsche Automobil Holding SE   5,695     547,828
Sartorius AG   969     427,665
Volkswagen AG   6,332     1,088,168
          2,765,393
South Korea - 0.2%          
Hyundai Motor Company   705     49,869
Hyundai Motor Company, 2nd Preferred   1,197     85,069
LG Chem, Ltd.   162     36,337
LG Household & Health Care, Ltd.   48     20,014
Samsung Electronics Company, Ltd.   28,139     1,458,035
          1,649,324
TOTAL PREFERRED SECURITIES (Cost $7,366,035)   $ 8,315,455
RIGHTS - 0.0%          
Electricite de France SA (Expiration Date: 4-4-22; Strike Price: EUR 6.35) (A)(C)   14,490     5,386
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
RIGHTS (continued)          
Samsung Biologics Company, Ltd. (Expiration Date: 4-11-22; Strike Price: KRW 639,000.00) (A)   36   $ 5,584
TOTAL RIGHTS (Cost $0)   $ 10,970
WARRANTS - 0.0%          
BTS Group Holdings PCL (Expiration Date: 11-20-26; Strike Price: THB 14.90) (A)   60,320     943
BTS Group Holdings PCL (Expiration Date: 11-7-24; Strike Price: THB 11.90) (A)   30,160     498
BTS Group Holdings PCL (Expiration Date: 9-5-22; Strike Price: THB 9.90) (A)   15,080     221
Minor International PCL (Expiration Date: 2-15-24; Strike Price: THB 31.00) (A)   3,972     396
TOTAL WARRANTS (Cost $0)   $ 2,058
SHORT-TERM INVESTMENTS - 4.2%      
Short-term funds - 4.2%          
Fidelity Institutional Money Market Government Portfolio, Institutional Class, 0.1157% (F)   18,587,388     18,587,388
John Hancock Collateral Trust, 0.3592% (F)(G)   1,991,790     19,915,508
TOTAL SHORT-TERM INVESTMENTS (Cost $38,501,521)   $ 38,502,896
Total Investments (International Equity Index Trust)
(Cost $699,689,200) - 100.6%
  $ 915,298,693
Other assets and liabilities, net - (0.6%)     (5,293,718)
TOTAL NET ASSETS - 100.0%   $ 910,004,975
Currency Abbreviations
EUR Euro
KRW Korean Won
THB Thai Bhat
Security Abbreviations and Legend
ADR American Depositary Receipt
GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt
(A) Non-income producing security.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $20,293,413. In addition to the cash collateral invested in John Hancock Collateral Trust, if any, non-cash collateral of $2,344,386 in the form of U.S. Treasuries was pledged to the fund.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor.
(E) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(F) The rate shown is the annualized seven-day yield as of 3-31-22.
(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.
 
  109  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Mini MSCI EAFE Index Futures 88 Long Jun 2022 $8,947,895 $9,436,240 $488,345
Mini MSCI Emerging Markets Index Futures 401 Long Jun 2022 21,517,971 22,552,240 1,034,269
            $1,522,614
    
^ 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 Small Company Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS - 98.6%      
Australia - 7.1%          
A2B Australia, Ltd. (A)   9,047   $ 9,586
Accent Group, Ltd.   24,907     31,622
Adairs, Ltd. (B)   6,590     14,713
Adbri, Ltd.   19,036     42,709
Ainsworth Game Technology, Ltd. (A)   10,192     8,733
Alcidion Group, Ltd. (A)   43,339     6,250
Alkane Resources, Ltd. (A)   25,036     21,487
Alliance Aviation Services, Ltd. (A)(B)   3,238     9,103
AMA Group, Ltd. (A)(B)   33,686     8,880
AMP, Ltd. (A)   163,895     117,565
Ansell, Ltd.   1,752     33,596
Appen, Ltd.   3,751     19,184
Arafura Resources, Ltd. (A)   145,698     39,517
ARB Corp., Ltd.   3,816     117,443
Archer Materials, Ltd. (A)(B)   10,038     7,211
Ardent Leisure Group, Ltd. (A)   39,016     38,804
AUB Group, Ltd.   4,241     71,981
Audinate Group, Ltd. (A)   1,532     7,586
Aurelia Metals, Ltd. (A)   85,331     31,364
Aussie Broadband, Ltd. (A)   2,927     11,602
Austal, Ltd.   23,155     32,692
Australian Agricultural Company, Ltd. (A)   28,065     34,236
Australian Finance Group, Ltd.   15,010     23,919
Australian Pharmaceutical Industries, Ltd.   26,584     30,436
Australian Strategic Materials, Ltd. (A)   2,300     12,949
Auswide Bank, Ltd.   667     3,580
Baby Bunting Group, Ltd.   5,551     21,359
Bapcor, Ltd.   15,610     74,407
Base Resources, Ltd.   32,069     8,397
Beach Energy, Ltd.   86,667     101,135
Bega Cheese, Ltd.   15,122     54,094
Bell Financial Group, Ltd.   10,635     10,260
Bellevue Gold, Ltd. (A)   51,351     36,909
Betmakers Technology Group, Ltd. (A)   14,102     6,615
Bigtincan Holdings, Ltd. (A)(B)   27,175     17,474
Blackmores, Ltd.   587     32,956
Boral, Ltd.   15,023     38,744
Bravura Solutions, Ltd.   17,804     23,590
Breville Group, Ltd. (B)   4,635     93,865
Brickworks, Ltd.   3,876     70,408
BWX, Ltd.   8,729     14,592
Calix, Ltd. (A)   4,787     26,455
Capitol Health, Ltd.   41,735     10,742
Capricorn Metals, Ltd. (A)   13,300     40,769
Cardno, Ltd.   1,508     1,888
Carnarvon Energy, Ltd. (A)   45,055     10,603
Carnarvon Energy, Ltd., Additional Offering (A)   6,758     1,590
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Australia (continued)          
Cash Converters International, Ltd.   14,501   $ 2,705
Cedar Woods Properties, Ltd.   2,694     9,376
Chalice Mining, Ltd. (A)   8,113     42,709
Challenger, Ltd.   13,830     69,291
Champion Iron, Ltd.   13,921     81,289
City Chic Collective, Ltd. (A)(B)   9,410     23,735
Clinuvel Pharmaceuticals, Ltd.   2,335     31,976
Clover Corp., Ltd. (B)   8,155     8,382
Codan, Ltd.   5,320     28,825
Collins Foods, Ltd.   5,764     45,185
Cooper Energy, Ltd. (A)   98,256     21,348
Corporate Travel Management, Ltd. (A)   4,865     85,661
Costa Group Holdings, Ltd.   25,640     60,766
Credit Corp. Group, Ltd.   3,047     68,593
CSR, Ltd.   25,551     116,801
Data#3, Ltd.   9,073     39,888
De Grey Mining, Ltd. (A)   57,286     49,831
Decmil Group, Ltd. (A)   1,519     238
Deterra Royalties, Ltd.   16,722     60,210
Dicker Data, Ltd.   2,793     30,367
Domain Holdings Australia, Ltd.   10,969     32,518
Downer EDI, Ltd.   30,558     122,600
Eagers Automotive, Ltd. (B)   7,533     79,452
Eclipx Group, Ltd. (A)   16,681     31,265
Elders, Ltd.   8,609     85,438
Emeco Holdings, Ltd. (B)   22,924     14,881
Emerald Resources NL (A)   28,411     24,398
EML Payments, Ltd. (A)   16,327     36,079
Enero Group, Ltd.   3,952     11,466
EQT Holdings, Ltd.   753     15,453
Estia Health, Ltd.   11,708     20,264
EVENT Hospitality and Entertainment, Ltd. (A)   4,397     47,544
Finbar Group, Ltd.   8,370     4,970
Fleetwood, Ltd.   8,058     10,813
Flight Centre Travel Group, Ltd. (A)(B)   6,278     91,845
Frontier Digital Ventures, Ltd. (A)   10,734     10,519
G8 Education, Ltd.   51,376     43,967
Galan Lithium, Ltd. (A)   13,760     20,216
Genworth Mortgage Insurance Australia, Ltd.   18,245     39,187
Gold Road Resources, Ltd.   44,022     53,745
GrainCorp, Ltd., Class A   13,614     86,156
Grange Resources, Ltd.   21,083     17,491
GUD Holdings, Ltd.   7,010     60,674
GWA Group, Ltd.   12,453     23,086
Hansen Technologies, Ltd.   11,735     50,377
Healius, Ltd.   23,643     77,103
HT&E, Ltd. (B)   20,357     29,159
HUB24, Ltd.   3,277     66,210
Humm Group, Ltd. (B)   26,650     16,993
 
  110  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Australia (continued)          
Iluka Resources, Ltd.   14,764   $ 124,184
Imdex, Ltd.   20,483     41,481
Imugene, Ltd. (A)   44,834     8,215
Infomedia, Ltd.   17,584     17,855
Inghams Group, Ltd.   20,588     47,061
Insignia Financial, Ltd.   30,144     82,832
Integral Diagnostics, Ltd.   6,781     19,926
Integral Diagnostics, Ltd. (A)   875     2,571
Integrated Research, Ltd. (A)   3,367     1,829
InvoCare, Ltd.   8,212     73,340
Ioneer, Ltd. (A)   61,614     31,504
IPH, Ltd.   9,953     58,943
IRESS, Ltd.   8,152     72,462
IVE Group, Ltd.   11,452     18,218
Johns Lyng Group, Ltd.   7,811     50,563
Jumbo Interactive, Ltd.   2,253     31,347
Jupiter Mines, Ltd.   116,266     22,646
Karoon Energy, Ltd. (A)   25,702     41,276
Kelsian Group, Ltd.   2,432     12,767
Kogan.com, Ltd. (A)(B)   1,950     8,238
Lifestyle Communities, Ltd.   3,310     41,862
Link Administration Holdings, Ltd.   18,547     71,423
Lovisa Holdings, Ltd.   3,846     53,407
MA Financial Group, Ltd.   4,146     24,850
MACA, Ltd.   23,711     15,588
Macmahon Holdings, Ltd.   112,440     16,343
Macquarie Telecom Group, Ltd. (A)   223     11,325
Mayne Pharma Group, Ltd. (A)   99,135     18,502
McMillan Shakespeare, Ltd.   3,346     29,967
McPherson's, Ltd.   9,168     6,444
Medusa Mining, Ltd.   8,127     5,321
Megaport, Ltd. (A)(B)   7,352     75,316
Mesoblast, Ltd. (A)(B)   11,677     9,873
Metals X, Ltd. (A)(B)   48,765     25,156
Metcash, Ltd.   41,857     141,703
Mincor Resources NL (A)   14,651     23,756
Monadelphous Group, Ltd. (B)   3,790     30,984
Monash IVF Group, Ltd.   21,798     19,349
Money3 Corp., Ltd.   8,682     19,882
Mount Gibson Iron, Ltd.   19,096     8,856
Myer Holdings, Ltd.   63,302     25,316
MyState, Ltd.   5,518     20,588
Nanosonics, Ltd. (A)   8,226     24,224
Navigator Global Investments, Ltd. (B)   10,160     12,407
Nearmap, Ltd. (A)(B)   18,333     20,091
Netwealth Group, Ltd.   3,669     40,743
New Energy Solar, Ltd.   2,820     1,783
New Hope Corp., Ltd. (B)   24,235     61,617
Newcrest Mining, Ltd. (Toronto Stock Exchange)   2,787     56,112
nib holdings, Ltd.   21,443     101,789
Nick Scali, Ltd.   5,272     44,490
Nickel Mines, Ltd.   31,968     30,282
Noumi, Ltd. (A)   6,482     967
Novonix, Ltd. (A)(B)   10,082     46,153
NRW Holdings, Ltd.   25,786     41,312
Nufarm, Ltd.   12,991     61,206
OceanaGold Corp. (A)(B)   38,000     84,198
OFX Group, Ltd. (A)   14,134     25,584
Omni Bridgeway, Ltd. (A)(B)   15,737     44,361
oOh!media, Ltd.   31,712     38,268
Orora, Ltd.   40,091     108,189
OZ Minerals, Ltd.   2,873     57,296
Pacific Current Group, Ltd.   1,717     9,760
Pact Group Holdings, Ltd.   11,275     19,507
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Australia (continued)          
Paladin Energy, Ltd. (A)   107,844   $ 62,304
Panoramic Resources, Ltd. (A)   68,650     15,383
Pantoro, Ltd. (A)   43,321     9,093
Pantoro, Ltd., Additional Offering (A)   4,769     1,001
Peet, Ltd.   13,800     12,032
Pendal Group, Ltd.   12,114     41,776
PeopleIN, Ltd.   4,753     14,323
Perenti Global, Ltd.   35,432     19,796
Perpetual, Ltd.   2,914     75,237
Perseus Mining, Ltd.   68,083     100,010
Pinnacle Investment Management Group, Ltd.   3,794     29,645
Platinum Asset Management, Ltd.   14,631     24,014
Poseidon Nickel, Ltd. (A)   71,048     4,819
Praemium, Ltd. (A)   28,131     14,416
Premier Investments, Ltd.   4,691     95,946
PSC Insurance Group, Ltd.   5,616     19,030
PWR Holdings, Ltd.   1,520     10,707
Ramelius Resources, Ltd.   37,591     40,674
Red 5, Ltd. (A)   106,879     29,951
Redbubble, Ltd. (A)   13,929     15,932
Regis Healthcare, Ltd.   9,267     14,933
Regis Resources, Ltd.   35,749     56,632
Resolute Mining, Ltd. (A)(B)   43,558     10,828
Ridley Corp., Ltd.   19,540     24,679
RPMGlobal Holdings, Ltd. (A)   6,670     9,103
Sandfire Resources, Ltd.   19,142     81,262
Select Harvests, Ltd.   7,048     28,148
Senex Energy, Ltd.   11,103     38,219
Servcorp, Ltd.   3,171     8,756
Service Stream, Ltd. (A)   27,275     21,219
Seven West Media, Ltd. (A)   85,038     43,140
SG Fleet Group, Ltd.   8,938     15,898
Sigma Healthcare, Ltd.   86,903     33,495
Silver Lake Resources, Ltd. (A)   48,508     78,432
SmartGroup Corp., Ltd.   4,591     29,268
SolGold PLC (A)   27,809     13,165
Southern Cross Media Group, Ltd.   17,291     22,150
SpeedCast International, Ltd. (A)(B)(C)   17,245     0
SRG Global, Ltd.   31,157     15,019
St. Barbara, Ltd.   33,249     35,048
Super Retail Group, Ltd.   7,649     58,758
Superloop, Ltd. (A)   22,967     16,144
Symbio Holdings, Ltd.   2,522     10,344
Syrah Resources, Ltd. (A)   49,135     59,352
Tassal Group, Ltd.   8,526     22,922
Technology One, Ltd.   15,075     127,863
Temple & Webster Group, Ltd. (A)   1,418     7,048
The Reject Shop, Ltd. (A)   2,561     10,876
The Star Entertainment Group, Ltd. (A)   42,180     102,072
Tyro Payments, Ltd. (A)   10,423     13,498
United Malt Grp, Ltd.   15,585     44,011
Uniti Group, Ltd. (A)   27,070     94,813
Virtus Health, Ltd.   8,580     51,621
Viva Energy Group, Ltd. (D)   34,817     60,934
Webjet, Ltd. (A)   16,369     67,949
West African Resources, Ltd. (A)   42,178     39,535
Western Areas, Ltd. (A)   21,598     58,620
Westgold Resources, Ltd.   18,696     27,089
Whitehaven Coal, Ltd.   44,790     139,086
Zip Company, Ltd. (A)(B)   16,135     17,469
Zip Company, Ltd., Additional Offering (A)   2,150     2,328
          8,225,868
 
  111  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Austria - 1.5%          
Addiko Bank AG   668   $ 8,770
Agrana Beteiligungs AG   724     13,120
ams AG (A)   11,874     181,755
ANDRITZ AG   3,025     139,707
AT&S Austria Technologie & Systemtechnik AG   1,801     99,945
BAWAG Group AG (A)(D)   3,369     169,998
DO & Company AG (A)   278     23,376
EVN AG   2,014     51,919
FACC AG (A)   1,116     9,845
Flughafen Wien AG (A)   265     7,631
Kapsch TrafficCom AG (A)(B)   191     3,011
Lenzing AG (B)   693     70,678
Mayr Melnhof Karton AG   378     67,389
Oesterreichische Post AG (B)   1,378     48,965
Palfinger AG   876     21,885
POLYTEC Holding AG (B)   995     7,334
Porr AG (A)   876     11,436
Raiffeisen Bank International AG (B)   1,613     22,900
RHI Magnesita NV   1,095     35,700
RHI Magnesita NV (London Stock Exchange)   545     17,294
Rosenbauer International AG (B)   174     8,192
S IMMO AG   2,772     67,843
S&T AG (B)   2,318     43,315
Schoeller-Bleckmann Oilfield Equipment AG   710     38,183
Semperit AG Holding   822     20,722
Strabag SE, Bearer Shares   893     35,827
Telekom Austria AG (A)   7,836     60,575
UBM Development AG   411     18,752
UNIQA Insurance Group AG   6,525     51,758
Vienna Insurance Group AG   2,128     55,124
voestalpine AG   4,895     145,658
Wienerberger AG   5,497     165,986
Zumtobel Group AG   2,545     20,620
          1,745,213
Belgium - 1.6%          
Ackermans & van Haaren NV   1,132     210,919
AGFA-Gevaert NV (A)   6,780     27,187
Akka Technologies (A)   354     19,169
Atenor   211     13,666
Barco NV   3,212     70,662
Bekaert SA   1,986     77,709
Biocartis Group NV (A)(B)(D)   2,587     6,246
bpost SA (A)   4,236     28,005
Celyad Oncology SA (A)(B)   493     1,165
Cie d'Entreprises CFE   416     58,424
Deceuninck NV   2,515     7,561
D'ieteren Group   492     82,845
Econocom Group SA/NV   6,435     28,507
Elia Group SA/NV   1,281     195,444
Etablissements Franz Colruyt NV   695     28,769
Euronav NV   8,334     88,625
Euronav NV (New York Stock Exchange)   2,324     24,565
EVS Broadcast Equipment SA   811     18,241
Exmar NV   1,567     10,257
Fagron   2,165     39,446
Galapagos NV (A)   355     22,057
Gimv NV   1,241     74,657
Immobel SA   209     16,760
Ion Beam Applications   1,305     25,070
Kinepolis Group NV (A)   585     35,377
Lotus Bakeries NV   17     88,845
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Belgium (continued)          
Melexis NV   753   $ 69,323
Ontex Group NV (A)   3,927     28,661
Orange Belgium SA   417     8,842
Oxurion NV (A)   1,612     2,735
Picanol   88     6,589
Proximus SADP   4,844     90,202
Recticel SA   2,296     54,650
Sipef NV   420     30,588
Telenet Group Holding NV   1,717     55,321
Tessenderlo Group SA (A)   904     32,688
Van de Velde NV   377     16,067
VGP NV   284     72,689
Viohalco SA   7,173     35,190
X-Fab Silicon Foundries SE (A)(D)   3,484     26,761
          1,830,484
Bermuda - 0.2%          
Hiscox, Ltd.   13,928     179,612
Cambodia - 0.0%          
NagaCorp, Ltd.   52,000     46,069
Canada - 11.8%          
5N Plus, Inc. (A)   3,515     6,748
Acadian Timber Corp.   800     12,191
Advantage Energy, Ltd. (A)   11,500     80,122
Aecon Group, Inc.   3,200     43,438
Africa Oil Corp.   34,602     61,999
Ag Growth International, Inc. (B)   1,100     37,994
AGF Management, Ltd., Class B   4,298     26,748
Aimia, Inc. (A)   7,777     31,353
AirBoss of America Corp.   1,500     42,715
Alamos Gold, Inc., Class A   22,112     185,719
Alaris Equity Partners Income (B)   2,229     36,034
Alcanna, Inc. (A)   1,500     10,991
Algoma Central Corp.   700     9,687
Altius Minerals Corp. (B)   3,100     59,761
Altus Group, Ltd.   1,818     73,438
Amerigo Resources, Ltd.   13,502     19,873
Andlauer Healthcare Group, Inc.   618     24,603
Andrew Peller, Ltd., Class A   2,300     13,394
Aritzia, Inc. (A)   3,645     148,786
Ascot Resources, Ltd. (A)   13,700     11,616
Atco, Ltd., Class I   3,204     110,025
Athabasca Oil Corp. (A)   42,135     68,419
ATS Automation Tooling Systems, Inc. (A)   3,547     127,960
AutoCanada, Inc. (A)   1,985     57,526
B2Gold Corp. (B)   29,303     134,543
Badger Infrastructure Solutions, Ltd.   1,522     38,301
Birch Mountain Resources, Ltd. (A)(C)   9,200     1
Birchcliff Energy, Ltd.   15,733     105,210
Bird Construction, Inc. (B)   4,995     36,479
Black Diamond Group, Ltd.   2,750     10,801
BMTC Group, Inc.   500     5,991
Bombardier, Inc., Class B (A)(B)   86,004     99,065
Boralex, Inc., Class A   4,277     138,627
Brookfield Infrastructure Corp., Class A   2,124     160,283
Calian Group, Ltd.   905     50,030
Calibre Mining Corp. (A)   11,500     13,706
Canaccord Genuity Group, Inc.   5,281     52,170
Canacol Energy, Ltd.   7,565     18,940
Canada Goose Holdings, Inc. (A)   2,213     58,151
Canadian Western Bank (B)   4,515     131,244
Canfor Corp. (A)   3,704     76,323
Canfor Pulp Products, Inc. (A)   2,715     11,641
Capital Power Corp.   5,927     193,007
Capstone Copper Corp. (A)   29,467     166,645
 
  112  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
Cardinal Energy, Ltd. (A)   5,530   $ 33,795
Cascades, Inc.   5,723     58,688
Celestica, Inc. (A)   5,019     59,699
Celestica, Inc. (New York Stock Exchange) (A)   3,200     38,112
Centerra Gold, Inc.   12,177     119,710
CES Energy Solutions Corp.   18,429     35,379
China Gold International Resources Corp., Ltd.   18,050     64,395
CI Financial Corp.   8,900     141,386
Cogeco Communications, Inc.   863     71,434
Cogeco, Inc.   445     27,437
Colliers International Group, Inc.   1,400     182,471
Computer Modelling Group, Ltd.   4,420     18,951
Copper Mountain Mining Corp. (A)   8,800     26,467
Corby Spirit and Wine, Ltd.   700     9,732
Corus Entertainment, Inc., B Shares (B)   11,806     46,463
Crescent Point Energy Corp. (B)   9,519     68,985
Crescent Point Energy Corp. (New York Stock Exchange)   16,800     121,800
Crew Energy, Inc. (A)   11,300     46,822
Cronos Group, Inc. (A)   2,170     8,419
Cronos Group, Inc. (Nasdaq Exchange) (A)(B)   3,612     14,051
Denison Mines Corp. (A)   42,724     69,717
Dexterra Group, Inc.   1,621     10,192
DIRTT Environmental Solutions (A)(B)   3,000     4,200
Doman Building Materials Group, Ltd.   3,600     23,008
Dorel Industries, Inc., Class B (B)   1,800     13,938
DREAM Unlimited Corp., Class A   2,250     89,629
Dundee Precious Metals, Inc.   7,687     45,871
ECN Capital Corp. (B)   16,900     90,168
E-L Financial Corp., Ltd.   100     70,632
Eldorado Gold Corp. (A)   9,374     104,976
Element Fleet Management Corp. (B)   17,965     173,880
Endeavour Silver Corp. (A)   6,945     32,221
Enerflex, Ltd.   6,400     41,006
Enerplus Corp.   11,735     148,688
Enghouse Systems, Ltd.   1,800     56,902
Ensign Energy Services, Inc. (A)   9,800     27,045
Equinox Gold Corp. (A)   7,935     65,504
Equitable Group, Inc.   1,392     79,880
ERO Copper Corp. (A)(B)   2,900     42,474
Evertz Technologies, Ltd.   1,900     23,162
Exchange Income Corp.   568     19,437
Exco Technologies, Ltd.   1,500     11,507
Extendicare, Inc.   6,230     39,120
Fiera Capital Corp.   3,035     25,345
Finning International, Inc. (B)   6,581     198,143
Firm Capital Mortgage Investment Corp.   1,100     12,512
First Majestic Silver Corp. (B)   9,281     121,975
First Mining Gold Corp. (A)(B)   39,000     8,579
First National Financial Corp. (B)   700     22,694
Fission Uranium Corp. (A)   19,500     14,662
Fortuna Silver Mines, Inc. (A)(B)   14,300     54,333
Freehold Royalties, Ltd.   7,229     82,748
Frontera Energy Corp. (A)   2,200     25,499
Galiano Gold, Inc. (A)(B)   6,600     3,696
Gamehost, Inc.   100     704
GDI Integrated Facility Services, Inc. (A)   300     12,958
Gibson Energy, Inc. (B)   7,398     148,001
goeasy, Ltd.   672     75,405
GoGold Resources, Inc. (A)   5,300     12,422
Gran Tierra Energy, Inc. (A)   25,166     39,456
Guardian Capital Group, Ltd., Class A   1,100     35,196
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
Hanfeng Evergreen, Inc. (A)(C)   200   $ 0
Hardwoods Distribution, Inc. (B)   800     23,357
Headwater Exploration, Inc. (A)(B)   4,930     26,146
Heroux-Devtek, Inc. (A)   2,700     36,910
HEXO Corp. (A)(B)   3,660     2,254
High Liner Foods, Inc.   1,773     19,345
HLS Therapeutics, Inc.   700     8,511
Home Capital Group, Inc. (B)   3,379     102,709
Hudbay Minerals, Inc. (B)   12,257     96,279
i-80 Gold Corp. (A)   1,651     4,543
IAMGOLD Corp. (A)(B)   29,827     103,547
IBI Group, Inc. (A)   1,700     19,214
Imperial Metals Corp. (A)   5,060     15,219
Information Services Corp.   800     15,902
Innergex Renewable Energy, Inc. (B)   6,800     108,134
Interfor Corp. (B)   3,520     97,901
International Petroleum Corp. (A)(B)   5,324     50,806
International Tower Hill Mines, Ltd. (A)   2,300     2,300
Intertape Polymer Group, Inc.   2,700     85,699
Jamieson Wellness, Inc. (D)   2,300     64,116
KAB Distribution, Inc. (A)(C)   7,076     0
Karora Resources, Inc. (A)   4,800     24,419
K-Bro Linen, Inc.   600     16,217
Kelt Exploration, Ltd. (A)   10,445     56,313
Keyera Corp. (B)   3,387     85,857
Kinaxis, Inc. (A)   1,068     139,780
Kingsway Financial Services, Inc. (A)   425     2,338
Knight Therapeutics, Inc. (A)   5,400     22,548
Labrador Iron Ore Royalty Corp. (B)   3,218     108,138
Largo, Inc. (A)   780     9,877
Lassonde Industries, Inc., Class A (B)   200     22,815
Laurentian Bank of Canada   2,414     80,251
Leon's Furniture, Ltd.   1,883     33,574
LifeWorks, Inc. (B)   3,098     53,577
Linamar Corp.   2,366     105,170
Logistec Corp., Class B   700     24,777
Lucara Diamond Corp. (A)   25,184     13,497
Lundin Gold, Inc. (A)   2,800     23,405
MAG Silver Corp. (A)(B)   1,400     22,666
Magellan Aerospace Corp.   900     7,091
Mainstreet Equity Corp. (A)   400     45,758
Major Drilling Group International, Inc. (A)   6,800     66,197
Maple Leaf Foods, Inc.   3,940     94,549
Martinrea International, Inc. (B)   4,603     33,064
Maverix Metals, Inc.   2,300     11,020
Medical Facilities Corp.   2,104     19,052
MEG Energy Corp. (A)(B)   13,888     189,632
Melcor Developments, Ltd.   1,000     13,990
Methanex Corp. (B)   2,700     147,230
Morguard Corp.   400     44,104
Mountain Province Diamonds, Inc. (A)   6,800     4,787
MTY Food Group, Inc.   742     32,341
Mullen Group, Ltd. (B)   5,582     59,653
New Gold, Inc. (A)   28,915     52,503
NFI Group, Inc. (B)   2,960     37,741
North American Construction Group, Ltd.   2,100     30,404
NuVista Energy, Ltd. (A)   15,505     131,095
Organigram Holdings, Inc. (A)   8,928     14,854
Osisko Gold Royalties, Ltd.   7,804     102,938
Osisko Mining, Inc. (A)(B)   16,850     53,779
Paramount Resources, Ltd., Class A   5,173     129,144
Parex Resources, Inc.   7,016     143,951
Park Lawn Corp.   1,792     49,568
 
  113  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
Parkland Corp. (B)   4,496   $ 132,958
Pason Systems, Inc.   5,636     69,021
Peyto Exploration & Development Corp. (B)   10,197     103,426
Pizza Pizza Royalty Corp.   1,729     19,501
Polaris Infrastructure, Inc. (B)   1,500     20,278
Pollard Banknote, Ltd.   1,000     21,541
PolyMet Mining Corp. (A)   1,185     4,901
PrairieSky Royalty, Ltd. (B)   9,727     134,528
Precision Drilling Corp. (A)   1,082     80,231
Premium Brands Holdings Corp. (B)   1,500     131,228
Quarterhill, Inc.   9,800     19,049
Questerre Energy Corp., Class A (A)   19,444     4,510
Real Matters, Inc. (A)(B)   3,500     14,894
Recipe Unlimited Corp. (A)   1,300     15,245
RF Capital Group, Inc. (A)   185     2,557
Richelieu Hardware, Ltd.   2,800     101,997
Rogers Sugar, Inc.   6,474     32,625
Russel Metals, Inc.   3,846     101,891
Sabina Gold & Silver Corp. (A)   20,475     24,731
Sandstorm Gold, Ltd.   10,731     86,524
Savaria Corp.   2,300     32,233
Seabridge Gold, Inc. (A)(B)   2,330     43,184
Secure Energy Services, Inc.   15,677     66,964
ShawCor, Ltd. (A)   4,173     16,824
Sienna Senior Living, Inc.   3,606     44,161
Sierra Wireless, Inc. (A)(B)   2,600     46,940
SilverCrest Metals, Inc. (A)(B)   100     891
Sleep Country Canada Holdings, Inc. (B)(D)   2,113     49,371
SNC-Lavalin Group, Inc. (B)   6,640     159,872
Spin Master Corp. (A)(D)   1,400     48,210
Sprott, Inc.   1,329     66,633
SSR Mining, Inc.   9,961     216,566
Stantec, Inc.   1,088     54,576
Stelco Holdings, Inc.   500     20,794
Stella-Jones, Inc.   2,400     72,126
Superior Plus Corp. (B)   9,057     83,170
Tamarack Valley Energy, Ltd.   20,085     79,688
Taseko Mines, Ltd. (A)   16,100     37,090
Tecsys, Inc.   609     15,569
TerraVest Industries, Inc.   600     12,071
The North West Company, Inc. (B)   2,406     73,711
Tidewater Midstream and Infrastructure, Ltd.   6,650     6,915
Timbercreek Financial Corp.   6,000     45,547
TLC Vision Corp. (A)(C)   3,400     0
Torex Gold Resources, Inc. (A)   5,460     68,569
Total Energy Services, Inc. (A)   3,132     19,541
TransAlta Corp.   13,082     135,409
TransAlta Renewables, Inc.   6,098     90,142
Transcontinental, Inc., Class A (B)   4,783     66,839
Treasury Metals, Inc. (A)   1,301     708
Trevali Mining Corp. (A)   3,713     4,307
Trican Well Service, Ltd. (A)   26,009     77,394
Tricon Residential, Inc. (B)   11,042     175,503
Trisura Group, Ltd. (A)   1,900     52,236
Turquoise Hill Resources, Ltd. (A)(B)   5,450     163,655
Uni-Select, Inc. (A)(B)   3,401     82,974
Vecima Networks, Inc.   479     6,142
Vermilion Energy, Inc. (B)   7,900     165,880
Wajax Corp.   1,300     20,548
Wesdome Gold Mines, Ltd. (A)   8,000     100,404
Western Forest Products, Inc. (B)   25,850     41,562
Westshore Terminals Investment Corp.   1,589     42,110
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
Whitecap Resources, Inc. (B)   31,480   $ 260,371
WildBrain, Ltd. (A)   10,382     27,654
Winpak, Ltd. (B)   1,577     48,440
Yamana Gold, Inc. (B)   45,750     255,437
Yellow Pages, Ltd.   200     2,118
Zenith Capital Corp. (A)   1,700     209
          13,739,429
Chile - 0.0%          
Aclara Resources, Inc. (A)   2,271     1,326
China - 0.0%          
Fosun Tourism Group (A)(D)   11,400     15,898
Goodbaby International Holdings, Ltd. (A)   71,000     9,147
          25,045
Denmark - 2.1%          
ALK-Abello A/S (A)   6,020     132,711
Alm Brand A/S   27,515     47,086
Amagerbanken A/S (A)(C)   25,580     0
Asetek A/S (A)   1,629     6,225
Bang & Olufsen A/S (A)(B)   7,788     22,215
Bavarian Nordic A/S (A)   3,556     89,734
Better Collective A/S (A)(B)   917     16,365
CBrain A/S (B)   389     12,047
Chemometec A/S   733     89,038
Columbus A/S   6,187     8,652
D/S Norden A/S   1,788     62,389
Dfds A/S   1,595     68,021
FLSmidth & Company A/S   2,221     57,983
H Lundbeck A/S   2,500     57,603
H+H International A/S, Class B (A)   1,146     31,471
INVISIO AB   1,065     19,477
ISS A/S (A)(B)   7,129     126,693
Jeudan A/S   380     15,554
Jyske Bank A/S (A)   2,627     142,789
Lan & Spar Bank A/S   225     21,376
Matas A/S   2,910     41,609
Netcompany Group A/S (A)(D)   1,273     83,892
Nilfisk Holding A/S (A)   1,220     36,529
NKT A/S (A)   2,018     91,064
NNIT A/S (A)(D)   479     6,749
NTG Nordic Transport Group A/S (A)   635     38,370
Per Aarsleff Holding A/S   883     34,206
Ringkjoebing Landbobank A/S   1,302     165,300
Royal Unibrew A/S   2,120     198,062
Scandinavian Tobacco Group A/S (D)   3,178     67,766
Schouw & Company A/S   666     57,480
SimCorp A/S   1,193     88,178
Solar A/S, B Shares   410     45,038
SP Group A/S   368     19,293
Spar Nord Bank A/S   4,967     65,415
Sparekassen Sjaelland-Fyn A/S   507     15,517
Sydbank A/S   3,132     106,918
TCM Group A/S   507     9,482
The Drilling Company of 1972 A/S (A)   908     49,641
Tivoli A/S (A)   102     13,086
Topdanmark A/S   2,239     125,220
UIE PLC   128     38,049
Zealand Pharma A/S (A)(B)   1,273     19,564
          2,443,857
Finland - 2.1%          
Aktia Bank OYJ   2,328     28,010
Alma Media OYJ   1,962     21,010
Anora Group OYJ   837     8,131
BasWare OYJ (A)   538     12,729
 
  114  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Finland (continued)          
Bittium OYJ   2,708   $ 17,173
Cargotec OYJ, B Shares   2,007     76,235
Caverion OYJ   3,325     19,117
Citycon OYJ (A)   4,136     31,308
Enento Group OYJ (A)(D)   860     25,532
Finnair OYJ (A)(B)   44,891     24,667
Fiskars OYJ ABP   2,196     52,074
Harvia OYJ (B)   846     33,717
HKScan OYJ, A Shares   316     510
Huhtamaki OYJ   4,496     156,409
Kamux Corp. (B)   1,688     20,793
Kemira OYJ   4,940     64,629
Kojamo OYJ   5,330     128,071
Konecranes OYJ   2,937     90,163
Lassila & Tikanoja OYJ   1,929     23,065
Lehto Group OYJ (A)   1,738     862
Marimekko OYJ   127     10,653
Metsa Board OYJ, B Shares   9,171     92,853
Multitude SE (A)   459     1,841
Musti Group OYJ (A)   1,222     32,232
Neles OYJ   6,038     61,496
Nokian Renkaat OYJ   6,368     103,352
Olvi OYJ, A Shares   721     28,328
Oriola OYJ, B Shares   9,290     19,297
Orion OYJ, Class A   982     44,473
Orion OYJ, Class B   4,360     198,018
Outokumpu OYJ (A)   16,202     86,259
Pihlajalinna OYJ   1,193     16,122
Ponsse OYJ   543     19,664
QT Group OYJ (A)   770     106,355
Raisio OYJ, V Shares   8,267     24,389
Rapala VMC OYJ   908     6,950
Revenio Group OYJ   1,101     57,684
Rovio Entertainment OYJ (D)   1,642     13,737
Sanoma OYJ   4,094     57,902
Taaleri OYJ   956     14,892
Talenom OYJ   637     6,893
Terveystalo OYJ (D)   3,956     49,015
TietoEVRY OYJ   4,031     107,290
Tokmanni Group Corp.   2,438     40,384
Uponor OYJ   2,530     51,262
Vaisala OYJ, A Shares   952     45,347
Valmet OYJ   6,841     212,335
Verkkokauppa.com OYJ   1,047     5,565
Wartsila OYJ ABP   8,565     78,206
WithSecure OYJ (A)   7,159     36,033
YIT OYJ   8,449     31,926
          2,494,958
France - 4.8%          
ABC arbitrage   1,219     10,016
AKWEL   725     15,999
Albioma SA   1,751     84,950
ALD SA (D)   5,575     74,118
Altamir   752     21,934
Alten SA   1,263     190,622
Assystem SA   763     35,851
Aubay   399     26,445
Axway Software SA   531     9,879
Bastide le Confort Medical (B)   256     11,417
Beneteau SA (A)   2,839     44,449
Bigben Interactive (B)   460     7,538
Boiron SA   274     11,705
Bonduelle SCA   1,027     18,736
Burelle SA   15     9,860
Casino Guichard Perrachon SA (A)(B)   2,173     40,008
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
France (continued)          
Catana Group   1,588   $ 16,085
Cegedim SA (A)   495     13,912
CGG SA (A)   42,425     47,884
Chargeurs SA   1,491     33,493
Cie des Alpes (A)   998     14,775
Cie Plastic Omnium SA   3,159     57,355
Claranova SE (A)   1,250     5,720
Coface SA   5,646     67,992
DBV Technologies SA (A)(B)   1,786     5,856
Derichebourg SA   6,625     69,040
Ekinops SAS (A)   1,302     9,960
Electricite de Strasbourg SA   31     3,648
Elior Group SA (A)(D)   8,308     27,851
Elis SA   9,898     145,850
Eramet SA   565     92,250
ESI Group (A)   197     14,910
Etablissements Maurel et Prom SA (A)   1,561     6,914
Eurazeo SE   1,524     128,129
Eutelsat Communications SA   9,105     98,907
Exel Industries, A Shares   89     7,271
Faurecia SE (B)   5,689     147,965
Fnac Darty SA   1,052     53,933
Gaztransport Et Technigaz SA   1,087     121,451
Groupe Crit   163     11,916
Guerbet   326     9,537
Haulotte Group SA   962     4,388
ID Logistics Group (A)   176     62,753
Imerys SA   1,845     79,158
Infotel SA   133     7,937
Interparfums SA   609     36,636
Ipsen SA   114     14,270
IPSOS   2,460     122,453
JCDecaux SA (A)   2,960     69,957
Kaufman & Broad SA   901     29,841
Korian SA   3,776     87,413
Lagardere SA (A)   1,683     47,120
Laurent-Perrier   110     11,661
Lectra   1,618     76,901
LISI   1,205     28,810
LNA Sante SA (B)   166     6,794
Lumibird (A)   632     14,582
Maisons du Monde SA (D)   1,925     37,005
Manitou BF SA   880     24,570
Manutan International   105     7,834
Mersen SA   1,171     43,336
Metropole Television SA   1,324     26,113
Nacon SA (A)(B)   92     553
Neurones   260     10,422
Nexans SA   1,743     163,111
Nexity SA   1,974     69,495
NRJ Group   782     5,662
Orpea SA   1,358     58,929
Pharmagest Interactive   161     15,391
Plastivaloire (B)   383     2,502
Quadient SA   2,171     40,752
Recylex SA (A)(C)   1,058     2,163
Rexel SA   14,693     313,665
Robertet SA   28     27,263
Rothschild & Company   1,855     73,351
Rubis SCA   4,215     123,892
Samse SA   48     11,242
Savencia SA   372     25,054
SCOR SE   7,559     243,064
SMCP SA (A)(D)   1,921     14,608
Societe BIC SA   1,252     63,255
 
  115  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
France (continued)          
Societe LDC SA   80   $ 7,514
Societe pour l'Informatique Industrielle   438     21,749
SOITEC (A)   755     141,627
Solocal Group (A)(B)   6,121     8,159
Somfy SA   326     52,587
Sopra Steria Group SACA   839     155,415
SPIE SA   6,716     158,850
Stef SA   202     22,376
Synergie SE   557     23,492
Technicolor SA (A)   3,955     14,826
Technip Energies NV (A)   5,287     64,471
Television Francaise 1   3,803     36,879
Thermador Groupe   453     47,456
Tikehau Capital SCA   1,533     41,093
Trigano SA   463     67,427
Ubisoft Entertainment SA (A)   3,255     143,035
Valeo   9,376     173,185
Vallourec SA (A)   7,163     91,633
Verallia SA (D)   2,919     69,503
Vetoquinol SA   297     43,574
Vicat SA (B)   1,201     40,705
VIEL & Cie SA   3,220     21,086
Vilmorin & Cie SA   614     29,976
Virbac SA   232     92,748
Wavestone   331     16,803
Xilam Animation SA (A)   215     8,614
          5,524,820
Gabon - 0.0%          
TotalEnergies EP Gabon   20     3,912
Georgia - 0.0%          
Bank of Georgia Group PLC   2,491     38,813
Georgia Capital PLC (A)   1,145     9,427
TBC Bank Group PLC   239     3,442
          51,682
Germany - 6.1%          
1&1 AG   2,192     49,048
7C Solarparken AG   3,210     15,721
Aareal Bank AG   2,902     91,216
Adesso SE   90     18,423
ADVA Optical Networking SE (A)(B)   3,719     56,246
All for One Group SE   130     9,484
Allgeier SE   498     24,785
Amadeus Fire AG   264     42,056
Atoss Software AG   218     43,005
Aurubis AG   1,823     217,014
Basler AG   162     17,794
BayWa AG   1,025     47,914
Bechtle AG   294     16,552
Bertrandt AG   394     19,260
Bijou Brigitte AG (A)   340     9,166
Bilfinger SE   1,781     67,636
Borussia Dortmund GmbH & Company KGaA (A)   4,276     19,047
CANCOM SE   2,024     126,120
CECONOMY AG   8,144     30,692
CENIT AG   446     6,376
Cewe Stiftung & Company KGAA   268     27,004
Commerzbank AG (A)   11,272     85,655
CompuGroup Medical SE & Company KGaA   1,368     83,359
CropEnergies AG   1,544     20,332
CTS Eventim AG & Company KGaA (A)   86     5,841
Dermapharm Holding SE   849     53,982
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Germany (continued)          
Deutsche Beteiligungs AG   1,067   $ 33,773
Deutsche EuroShop AG   2,527     46,566
Deutsche Lufthansa AG (A)(B)   3,472     28,000
Deutsche Pfandbriefbank AG (D)   7,700     93,495
Deutz AG (A)   7,260     37,475
DIC Asset AG   3,005     48,002
Dr. Hoenle AG   420     15,237
Draegerwerk AG & Company KGaA   82     4,417
Duerr AG   2,558     75,471
Eckert & Ziegler Strahlen- und Medizintechnik AG   808     51,520
Elmos Semiconductor SE   215     12,423
ElringKlinger AG (A)   2,576     24,370
Encavis AG   4,719     98,392
Energiekontor AG   226     21,740
Fielmann AG   1,241     67,581
First Sensor AG   433     23,359
flatexDEGIRO AG (A)   2,072     41,705
Fraport AG Frankfurt Airport Services Worldwide (A)   1,626     90,135
Freenet AG   7,380     197,497
Fuchs Petrolub SE   1,405     39,941
GEA Group AG   7,088     290,520
Gerresheimer AG   1,697     123,962
GFT Technologies SE   961     43,818
GRENKE AG   500     13,891
H&R GmbH & Company KGaA (A)   1,324     9,073
Hamburger Hafen und Logistik AG   1,330     23,658
Heidelberger Druckmaschinen AG (A)   18,003     47,046
Hensoldt AG   1,681     48,943
Hornbach Holding AG & Company KGaA   497     62,650
HUGO BOSS AG   2,924     168,692
Hypoport SE (A)   149     56,246
Indus Holding AG   975     28,919
Instone Real Estate Group SE (D)   2,299     43,044
IVU Traffic Technologies AG   728     15,072
Jenoptik AG   2,990     89,960
JOST Werke AG (D)   517     20,823
K+S AG (A)   10,593     318,708
Kloeckner & Company SE (A)   5,538     74,532
Koenig & Bauer AG (A)   912     21,085
Krones AG   775     64,372
KWS Saat SE & Company KGaA   607     43,986
LANXESS AG   4,346     190,782
Leifheit AG   437     12,852
Leoni AG (A)(B)   2,398     24,259
Manz AG (A)(B)   233     10,161
Medigene AG (A)(B)   760     2,716
METRO AG (A)   4,917     43,581
MLP SE   5,864     47,009
Nagarro SE (A)(B)   394     62,210
New Work SE   128     26,062
Nexus AG   866     51,606
Nordex SE (A)(B)   6,207     107,489
Norma Group SE   1,576     45,254
OHB SE   399     16,246
PATRIZIA AG   2,719     51,143
Pfeiffer Vacuum Technology AG   256     48,895
PNE AG   3,180     36,792
ProSiebenSat.1 Media SE   10,428     132,830
PSI Software AG   815     34,864
PVA TePla AG (A)   629     18,289
q.beyond AG (A)(B)   6,549     12,007
Rheinmetall AG   2,219     469,001
 
  116  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Germany (continued)          
SAF-Holland SE (A)   3,149   $ 26,494
Salzgitter AG (A)(B)   1,978     91,656
Scout24 SE (D)   3,479     198,346
Secunet Security Networks AG   53     24,505
SGL Carbon SE (A)   3,072     19,082
Siltronic AG   981     100,800
Sirius Real Estate, Ltd.   40,212     66,150
Sixt SE (A)   694     93,513
SMA Solar Technology AG (B)   563     23,367
Software AG   2,610     90,235
STRATEC SE   407     45,355
Stroeer SE & Company KGaA   1,454     100,340
Suedzucker AG   3,535     45,491
SUESS MicroTec SE (A)   1,803     31,593
TAG Immobilien AG   7,456     168,833
Takkt AG   1,848     33,454
Technotrans SE   530     13,345
thyssenkrupp AG (A)   16,532     141,307
Traffic Systems SE   364     14,703
United Internet AG   213     7,310
va-Q-Tec AG (A)(B)   318     7,210
Varta AG (B)   624     61,409
VERBIO Vereinigte BioEnergie AG   1,482     113,997
Vossloh AG   859     35,727
Wacker Chemie AG   217     36,933
Wacker Neuson SE   2,039     45,459
Washtec AG   611     32,315
Westwing Group SE (A)   385     4,745
Wuestenrot & Wuerttembergische AG   1,566     31,505
Zeal Network SE   809     32,229
          7,045,283
Gibraltar - 0.0%          
888 Holdings PLC   15,858     38,289
Greece - 0.0%          
Alapis Holding Industrial & Commercial SA of Pharmaceutical Chemical Products (A)(C)   3,303     67
TT Hellenic Postbank SA (A)(C)   12,594     0
          67
Guernsey, Channel Islands - 0.0%          
Raven Property Group, Ltd. (A)(C)   4,994     150
Hong Kong - 2.2%          
3D-Gold Jewellery Holdings, Ltd. (A)(C)   90,000     0
Aidigong Maternal & Child Health, Ltd. (A)   108,000     6,792
Allied Group, Ltd.   120,000     42,148
APAC Resources, Ltd.   18,475     2,728
Apollo Future Mobility Group, Ltd. (A)   56,000     2,627
Asia Financial Holdings, Ltd.   14,000     6,376
ASM Pacific Technology, Ltd.   11,500     115,776
Associated International Hotels, Ltd.   28,000     44,619
BOE Varitronix, Ltd.   28,000     32,771
Brightoil Petroleum Holdings, Ltd. (A)(C)   117,000     12,883
Burwill Holdings, Ltd. (A)(C)   292,000     1,193
Cafe de Coral Holdings, Ltd.   18,000     30,000
Cathay Pacific Airways, Ltd. (A)   52,000     51,006
Chen Hsong Holdings   10,000     2,951
Cheuk Nang Holdings, Ltd.   3,708     1,124
China Energy Development Holdings, Ltd. (A)   634,000     13,095
China Solar Energy Holdings, Ltd. (A)(C)   42,500     0
China Strategic Holdings, Ltd. (A)   885,000     4,014
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
Chinese Estates Holdings, Ltd.   22,000   $ 6,303
Chow Sang Sang Holdings International, Ltd.   22,000     25,384
Chuang's Consortium International, Ltd.   30,948     3,617
CITIC Telecom International Holdings, Ltd.   59,000     21,662
CMBC Capital Holdings, Ltd.   10,750     2,337
C-Mer Eye Care Holdings, Ltd. (B)   18,000     10,496
Crystal International Group, Ltd. (D)   19,000     7,527
CSI Properties, Ltd.   245,066     6,053
Dah Sing Banking Group, Ltd.   18,000     15,897
Dah Sing Financial Holdings, Ltd.   6,520     21,069
Dynamic Holdings, Ltd.   8,000     10,968
EC Healthcare   13,000     13,707
EganaGoldpfeil Holdings, Ltd. (A)(C)   103,373     0
Emperor Capital Group, Ltd. (A)   192,000     1,543
Emperor Entertainment Hotel, Ltd.   40,000     3,509
Emperor International Holdings, Ltd.   97,333     10,175
Esprit Holdings, Ltd. (A)   176,850     19,962
Fairwood Holdings, Ltd.   3,500     6,776
Far East Consortium International, Ltd.   87,695     29,683
First Pacific Company, Ltd.   146,000     58,990
Giordano International, Ltd.   82,000     16,538
Gold-Finance Holdings, Ltd. (A)(C)   62,000     0
Great Eagle Holdings, Ltd.   10,197     24,706
G-Resources Group, Ltd. (A)   33,580     11,290
Guotai Junan International Holdings, Ltd.   207,000     23,086
Haitong International Securities Group, Ltd.   114,070     20,424
Hang Lung Group, Ltd.   31,000     65,545
Hanison Construction Holdings, Ltd.   27,441     4,271
Harbour Centre Development, Ltd. (A)   38,000     32,730
HKBN, Ltd.   36,000     41,237
HKR International, Ltd.   51,920     18,953
Hong Kong Ferry Holdings Company, Ltd.   29,000     25,809
Hong Kong Technology Venture Company, Ltd.   28,000     24,717
Hongkong Chinese, Ltd.   66,000     5,344
Hsin Chong Group Holdings, Ltd. (A)(C)   170,000     7,596
Hutchison Port Holdings Trust   161,400     39,344
Hutchison Telecommunications Hong Kong Holdings, Ltd.   80,000     12,854
Hysan Development Company, Ltd.   25,000     72,946
Johnson Electric Holdings, Ltd.   20,883     28,741
K Wah International Holdings, Ltd.   80,000     30,133
Kerry Logistics Network, Ltd.   24,000     54,823
Kerry Properties, Ltd.   28,500     80,287
Kingston Financial Group, Ltd. (A)   38,000     1,217
Kowloon Development Company, Ltd.   22,000     29,405
Lai Sun Development Company, Ltd. (A)   22,980     10,808
Landing International Development, Ltd. (A)   75,600     2,168
Langham Hospitality Investments, Ltd. (A)   22,500     2,606
Lifestyle International Holdings, Ltd. (A)   25,000     11,971
Lippo China Resources, Ltd.   36,000     656
Liu Chong Hing Investment, Ltd.   16,000     15,036
Luk Fook Holdings International, Ltd.   15,000     36,375
Man Wah Holdings, Ltd.   45,600     49,327
Mandarin Oriental International, Ltd. (A)   8,000     16,016
Mason Group Holdings, Ltd. (A)   1,548,800     3,531
Melco International Development, Ltd. (A)   33,000     30,094
MH Development, Ltd. (A)(C)   16,000     1,066
 
  117  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
Midland Holdings, Ltd. (A)   34,734   $ 3,693
Miramar Hotel & Investment   15,000     23,931
Modern Dental Group, Ltd.   20,000     7,561
NewOcean Energy Holdings, Ltd. (A)   66,000     329
Nissin Foods Company, Ltd.   22,000     15,388
NWS Holdings, Ltd.   52,000     47,591
Oriental Watch Holdings   18,000     9,534
Oshidori International Holdings, Ltd. (A)   204,000     12,942
Pacific Andes International Holdings, Ltd. (A)(C)   328,006     0
Pacific Basin Shipping, Ltd.   239,000     127,967
Pacific Century Premium Developments, Ltd. (A)   2,376     149
Pacific Textiles Holdings, Ltd.   42,000     19,417
Paliburg Holdings, Ltd. (A)   46,000     12,290
PC Partner Group, Ltd.   12,000     17,405
PCCW, Ltd.   156,590     88,006
Peace Mark Holdings, Ltd. (A)(C)   164,000     0
Perfect Medical Health Management, Ltd.   32,000     19,650
Pico Far East Holdings, Ltd.   60,000     8,305
Public Financial Holdings, Ltd.   24,000     7,432
Regal Hotels International Holdings, Ltd. (A)   36,000     14,694
Regina Miracle International Holdings, Ltd. (D)   17,000     10,245
Sa Sa International Holdings, Ltd. (A)   48,000     8,441
Shangri-La Asia, Ltd. (A)   46,000     36,003
Shenwan Hongyuan HK, Ltd.   20,000     1,928
Shun Tak Holdings, Ltd. (A)   80,250     17,537
Singamas Container Holdings, Ltd.   114,000     16,564
SJM Holdings, Ltd. (A)   95,000     46,646
SmarTone Telecommunications Holdings, Ltd.   31,500     16,757
Solomon Systech International, Ltd. (B)   72,000     5,430
South China Holdings Company, Ltd. (A)   640,000     5,969
Stella International Holdings, Ltd.   20,000     19,432
Sun Hung Kai & Company, Ltd.   45,000     22,853
SUNeVision Holdings, Ltd.   18,000     15,315
Tao Heung Holdings, Ltd.   14,000     1,672
Television Broadcasts, Ltd. (A)   19,100     10,892
Texhong Textile Group, Ltd.   11,000     13,577
Texwinca Holdings, Ltd.   60,000     11,123
The Bank of East Asia, Ltd.   23,800     37,188
The Hongkong & Shanghai Hotels, Ltd. (A)   31,903     33,897
The United Laboratories International Holdings, Ltd.   42,000     21,966
Town Health International Medical Group, Ltd. (A)   261,361     11,975
Tradelink Electronic Commerce, Ltd.   50,000     7,516
Transport International Holdings, Ltd.   11,721     19,037
Upbest Group, Ltd.   164,000     13,563
Value Partners Group, Ltd.   40,000     17,070
Vitasoy International Holdings, Ltd.   26,000     49,304
VSTECS Holdings, Ltd.   21,200     19,850
VTech Holdings, Ltd.   6,900     50,088
Wai Kee Holdings, Ltd.   24,000     10,253
Wealthking Investments, Ltd. (A)   32,000     2,423
Wing On Company International, Ltd.   4,000     9,035
Wing Tai Properties, Ltd.   70,000     37,435
Yue Yuen Industrial Holdings, Ltd. (A)   30,000     48,279
Yunfeng Financial Group, Ltd. (A)(B)   26,000     4,760
Zensun Enterprises, Ltd. (B)   21,000     9,920
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
Zhaobangji Properties Holdings, Ltd. (A)   88,000   $ 5,478
          2,603,116
Ireland - 0.7%          
AIB Group PLC   13,719     30,218
Bank of Ireland Group PLC (A)   13,093     83,260
Bank of Ireland Group PLC (London Stock Exchange) (A)   33,477     213,528
C&C Group PLC (A)   22,471     57,678
Cairn Homes PLC   24,718     33,923
COSMO Pharmaceuticals NV (A)(B)   362     23,817
Dalata Hotel Group PLC (A)   6,155     26,978
FBD Holdings PLC (A)   778     8,734
Glanbia PLC   6,224     72,205
Glenveagh Properties PLC (A)(D)   24,326     31,554
Grafton Group PLC   11,437     146,304
Greencore Group PLC (A)   23,830     40,124
Hostelworld Group PLC (A)(D)   3,065     3,088
Irish Continental Group PLC (A)   5,309     22,652
Keywords Studios PLC   1,446     49,627
Permanent TSB Group Holdings PLC (A)   5,786     10,627
          854,317
Isle of Man - 0.1%          
Hansard Global PLC   6,816     4,246
Playtech PLC (A)   15,546     120,595
Strix Group PLC   6,042     16,054
          140,895
Israel - 2.1%          
Adgar Investment and Development, Ltd.   4,535     10,697
AFI Properties, Ltd.   603     35,934
Africa Israel Residences, Ltd.   355     24,481
Airport City, Ltd. (A)   1     14
Allot, Ltd. (A)   2,103     17,885
Alrov Properties and Lodgings, Ltd. (A)   399     26,865
Arad, Ltd.   787     11,809
Ashtrom Group, Ltd.   2,084     61,534
AudioCodes, Ltd.   1,729     44,176
Automatic Bank Services, Ltd.   1,109     9,076
Azorim-Investment Development & Construction Company, Ltd. (A)   3,848     21,222
Bet Shemesh Engines Holdings 1997, Ltd. (A)   358     9,689
BioLine RX, Ltd. (A)   48,850     5,564
Blue Square Real Estate, Ltd.   215     18,380
Carasso Motors, Ltd.   2,020     14,516
Cellcom Israel, Ltd. (A)   4,807     27,677
Clal Insurance Enterprises Holdings, Ltd. (A)   1,967     46,152
Danel Adir Yeoshua, Ltd.   253     46,546
Delek Automotive Systems, Ltd.   1,858     28,599
Delek Group, Ltd. (A)   438     63,409
Delta Galil Industries, Ltd.   618     42,188
Duniec Brothers, Ltd.   142     9,343
Electra Consumer Products 1970, Ltd.   445     26,324
Electra Real Estate, Ltd.   1,543     29,262
Electra, Ltd.   91     67,706
Energix-Renewable Energies, Ltd.   8,191     31,262
Enlight Renewable Energy, Ltd. (A)   39,786     93,161
Equital, Ltd. (A)   992     42,096
Evogene, Ltd. (A)   3,768     4,898
Fattal Holdings 1998, Ltd. (A)   237     33,942
Formula Systems 1985, Ltd.   549     54,973
Fox Wizel, Ltd.   488     78,020
Gav-Yam Lands Corp., Ltd.   3,034     35,667
 
  118  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Israel (continued)          
Gilat Satellite Networks, Ltd. (A)   1,452   $ 12,777
Harel Insurance Investments & Financial Services, Ltd.   4,995     60,911
Hilan, Ltd.   803     49,578
IDI Insurance Company, Ltd.   440     14,935
Ilex Medical, Ltd.   211     9,835
Infinya, Ltd.   244     20,539
Inrom Construction Industries, Ltd.   4,264     19,845
Isracard, Ltd.   6,691     33,002
Israel Canada T.R, Ltd.   6,076     33,167
Israel Discount Bank, Ltd., Class A   1     5
Israel Land Development - Urban Renewal, Ltd.   789     12,738
Isras Investment Company, Ltd.   142     35,426
Issta Lines, Ltd. (A)   219     7,953
Kamada, Ltd. (A)   1,616     8,987
Kerur Holdings, Ltd.   418     11,112
Levinstein Properties, Ltd.   267     9,809
M Yochananof & Sons, Ltd. (A)   155     10,177
Magic Software Enterprises, Ltd.   1,349     23,619
Malam - Team, Ltd.   476     14,096
Matrix IT, Ltd.   1,608     41,913
Maytronics, Ltd.   960     18,731
Mediterranean Towers, Ltd.   4,044     13,693
Mega Or Holdings, Ltd.   757     29,650
Mehadrin, Ltd. (A)   15     868
Menora Mivtachim Holdings, Ltd. (A)   1,766     43,580
Migdal Insurance & Financial Holdings, Ltd.   27,734     49,442
Mivtach Shamir Holdings, Ltd.   397     13,385
Naphtha Israel Petroleum Corp., Ltd. (A)   2,030     16,287
Nawi Brothers, Ltd.   1,396     13,435
Neto Malinda Trading, Ltd. (A)   451     21,936
Novolog, Ltd.   20,186     19,555
Oil Refineries, Ltd. (A)   102,102     40,517
One Software Technologies, Ltd.   1,700     29,444
OPC Energy, Ltd. (A)   4,056     46,171
Partner Communications Company, Ltd. (A)   6,688     55,397
Paz Oil Company, Ltd. (A)   525     77,015
Perion Network, Ltd. (A)   1,368     31,063
Plasson Industries, Ltd.   241     14,805
Plus500, Ltd.   4,106     75,763
Prashkovsky Investments & Construction, Ltd.   318     15,342
Priortech, Ltd. (A)   398     12,040
Rami Levy Chain Stores Hashikma Marketing 2006, Ltd.   449     35,804
Sano-Brunos Enterprises, Ltd.   145     16,406
Scope Metals Group, Ltd.   377     19,140
Shikun & Binui, Ltd. (A)   2,404     14,398
Shufersal, Ltd.   4,263     38,554
Summit Real Estate Holdings, Ltd. (A)   2,363     53,961
Tadiran Group, Ltd.   86     13,957
Tel Aviv Stock Exchange, Ltd.   3,160     16,183
Telsys, Ltd.   149     7,838
Tera Light, Ltd. (A)   1,766     3,931
Tiv Taam Holdings 1, Ltd.   3,848     10,716
Tremor International, Ltd. (A)   2,825     21,780
YH Dimri Construction & Development, Ltd.   285     26,392
          2,420,670
Italy - 3.3%          
A2A SpA   85,615     146,640
ACEA SpA   2,494     45,793
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Italy (continued)          
Anima Holding SpA (D)   14,880   $ 66,388
Aquafil SpA (A)   969     7,034
Arnoldo Mondadori Editore SpA (A)   12,613     27,812
Ascopiave SpA   4,243     16,082
Avio SpA   877     10,286
Azimut Holding SpA   6,169     143,020
Banca Generali SpA (A)   3,053     112,962
Banca IFIS SpA   1,607     32,857
Banca Mediolanum SpA   6,876     58,430
Banca Popolare di Sondrio SpA   25,315     103,386
Banca Profilo SpA   24,032     5,867
Banco BPM SpA   92,714     273,105
Banco di Desio e della Brianza SpA   2,610     8,827
BFF Bank SpA (D)   8,562     63,557
BPER Banca   48,081     83,860
Brembo SpA   7,094     78,975
Brunello Cucinelli SpA (A)   1,411     82,087
Buzzi Unicem SpA   4,670     86,420
Cairo Communication SpA   4,712     11,672
Carel Industries SpA (D)   1,196     30,529
Cementir Holding NV   4,165     31,430
CIR SpA-Compagnie Industriali (A)   60,979     27,448
Credito Emiliano SpA   6,238     41,012
Danieli & C Officine Meccaniche SpA   788     17,184
Danieli & C Officine Meccaniche SpA, Savings Shares   2,118     33,646
De' Longhi SpA   2,969     80,316
DeA Capital SpA (A)   4,665     6,981
doValue SpA (D)   1,965     16,546
Enav SpA (A)(D)   5,063     23,348
ERG SpA   2,919     96,803
Esprinet SpA   2,412     25,443
Eurotech SpA (A)   1,562     6,582
Fincantieri SpA (A)(B)   18,635     12,820
Garofalo Health Care SpA (A)   1,776     9,423
Geox SpA (A)(B)   8,390     8,266
Gruppo MutuiOnline SpA   1,697     60,475
Hera SpA   41,143     151,578
Illimity Bank SpA (A)   3,374     43,952
IMMSI SpA (A)   6,756     3,308
Iren SpA   30,720     81,382
Italgas SpA   24,861     159,496
Italmobiliare SpA   1,039     33,169
Juventus Football Club SpA (A)(B)   58,044     21,010
La Doria SpA   503     9,150
Leonardo SpA (A)   20,706     205,760
Maire Tecnimont SpA   10,323     35,522
MFE-MediaForEurope NV, Class A (A)(B)   18,917     13,262
MFE-MediaForEurope NV, Class B (B)   18,917     21,876
OVS SpA (A)(D)   11,708     25,267
Pharmanutra SpA   268     18,605
Piaggio & C SpA   11,658     32,833
Piovan SpA (D)   884     10,185
Pirelli & C. SpA (D)   17,419     94,516
Prima Industrie SpA (A)   178     3,335
RAI Way SpA (D)   5,678     35,494
Reply SpA   1,027     168,732
Sabaf SpA   338     8,342
SAES Getters SpA   409     9,990
SAES Getters SpA, Savings Shares   538     9,328
Safilo Group SpA (A)   2,378     3,971
Saipem SpA (A)(B)   30,422     38,347
Salvatore Ferragamo SpA (A)   2,452     46,183
Saras SpA (A)   28,012     21,417
 
  119  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Italy (continued)          
Sesa SpA   391   $ 63,851
Sogefi SpA (A)   3,551     3,394
SOL SpA   2,802     50,990
Tamburi Investment Partners SpA   5,435     53,733
Technogym SpA (D)   6,815     53,730
Tinexta SpA   1,069     31,053
Tod's SpA (A)   590     26,415
Unieuro SpA (D)   1,088     21,050
Unipol Gruppo SpA   22,660     124,290
UnipolSai Assicurazioni SpA   9,024     26,678
Webuild SpA (B)   14,544     25,787
Zignago Vetro SpA   1,669     21,823
          3,802,116
Japan - 22.2%          
A&D Company, Ltd. (B)   900     7,073
Access Company, Ltd. (A)   2,300     10,821
Achilles Corp.   1,000     10,347
Adastria Company, Ltd.   920     14,426
ADEKA Corp.   4,700     103,231
Ad-sol Nissin Corp. (B)   800     10,771
Advan Group Company, Ltd.   1,000     7,352
Aeon Delight Company, Ltd.   800     19,881
Aeon Fantasy Company, Ltd.   400     6,292
AEON Financial Service Company, Ltd.   2,900     28,739
Aeon Hokkaido Corp.   1,800     16,541
Aeria, Inc. (B)   700     2,164
Ai Holdings Corp.   1,900     26,481
Aica Kogyo Company, Ltd.   1,800     43,773
Aichi Corp.   3,200     23,041
Aichi Steel Corp.   700     13,733
Aichi Tokei Denki Company, Ltd.   900     11,469
Aida Engineering, Ltd.   4,500     38,695
Aiful Corp.   15,500     45,291
Ain Holdings, Inc.   1,100     57,158
Aiphone Company, Ltd.   600     10,046
Airport Facilities Company, Ltd.   1,200     5,316
Aisan Industry Company, Ltd.   2,500     14,821
Aizawa Securities Group Company, Ltd.   2,400     14,361
Akatsuki, Inc.   400     9,452
Akebono Brake Industry Company, Ltd. (A)   9,400     12,025
Albis Company, Ltd.   500     9,149
Alconix Corp.   1,600     18,201
Alpen Company, Ltd.   1,100     18,372
Alps Alpine Company, Ltd.   10,900     107,317
Altech Corp.   1,100     16,875
Amano Corp.   2,200     39,340
Amuse, Inc.   400     6,395
Amvis Holdings, Inc.   600     23,650
Anest Iwata Corp.   1,800     12,183
Anicom Holdings, Inc.   3,700     19,602
Anritsu Corp. (B)   5,700     72,178
AOKI Holdings, Inc.   3,100     14,696
Aoyama Trading Company, Ltd.   2,500     13,736
Aoyama Zaisan Networks Company, Ltd.   1,100     11,084
Aozora Bank, Ltd. (B)   1,300     27,390
Arakawa Chemical Industries, Ltd.   1,400     12,204
Arata Corp.   700     20,837
Arcland Service Holdings Company, Ltd. (B)   1,000     17,836
Arcs Company, Ltd.   2,125     36,846
Arealink Company, Ltd.   500     5,491
Argo Graphics, Inc.   1,000     24,972
Arisawa Manufacturing Company, Ltd.   2,900     22,642
ARTERIA Networks Corp.   1,600     17,132
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
ArtSpark Holdings, Inc.   3,200   $ 21,814
Aruhi Corp. (B)   1,800     14,650
As One Corp.   700     41,305
Asahi Company, Ltd.   800     8,691
Asahi Diamond Industrial Company, Ltd.   3,900     18,771
Asahi Holdings, Inc.   3,600     66,576
Asahi Yukizai Corp.   1,200     19,600
Asanuma Corp.   700     28,570
Asia Pile Holdings Corp.   3,300     11,515
ASKA Pharmaceutical Holdings Company, Ltd.   1,600     16,476
ASKUL Corp.   2,000     26,253
Atrae, Inc. (A)   600     9,371
Atsugi Company, Ltd. (A)   1,200     5,975
Autobacs Seven Company, Ltd.   3,000     32,990
Aval Data Corp.   600     15,217
Avant Corp.   900     9,901
Avex, Inc.   900     9,793
Axell Corp.   100     863
Axial Retailing, Inc.   800     20,951
Bando Chemical Industries, Ltd.   2,500     18,004
Bank of the Ryukyus, Ltd.   3,000     19,466
Belc Company, Ltd.   500     22,218
Bell System24 Holdings, Inc.   2,400     26,938
Belluna Company, Ltd.   3,300     19,530
Benesse Holdings, Inc.   3,700     67,886
Bengo4.com, Inc. (A)(B)   300     9,551
Bic Camera, Inc.   3,500     31,014
BML, Inc.   1,000     25,227
Bourbon Corp.   500     9,244
Br. Holdings Corp.   2,300     6,019
BrainPad, Inc. (A)   900     9,516
Broadleaf Company, Ltd.   4,600     13,826
Bunka Shutter Company, Ltd.   5,000     40,201
Business Brain Showa-Ota, Inc.   700     8,472
C Uyemura & Company, Ltd.   800     37,305
CAC Holdings Corp.   900     10,352
Can Do Company, Ltd. (B)   90     1,646
Canon Electronics, Inc.   1,700     22,258
Carenet, Inc.   1,200     8,377
Carlit Holdings Company, Ltd.   2,100     11,321
Cawachi, Ltd. (B)   900     16,547
CellSource Company, Ltd. (A)   600     14,235
Central Automotive Products, Ltd.   500     10,252
Central Glass Company, Ltd.   1,900     32,337
Central Security Patrols Company, Ltd.   700     14,313
Central Sports Company, Ltd.   600     11,467
Ceres, Inc.   600     7,915
Charm Care Corp. KK   1,000     9,013
Chilled & Frozen Logistics Holdings Company, Ltd.   1,600     15,706
Chino Corp. (B)   400     5,293
Chiyoda Company, Ltd.   800     4,819
Chiyoda Corp. (A)   9,100     34,813
Chiyoda Integre Company, Ltd.   800     13,781
Chofu Seisakusho Company, Ltd.   1,700     27,662
Chori Company, Ltd.   1,200     17,234
Chubu Shiryo Company, Ltd.   2,000     16,126
Chudenko Corp.   1,900     32,108
Chuetsu Pulp & Paper Company, Ltd.   500     3,879
Chugai Ro Company, Ltd.   500     6,553
Chugoku Marine Paints, Ltd.   4,000     29,547
CI Takiron Corp.   3,000     13,344
Citizen Watch Company, Ltd.   16,000     67,796
CKD Corp.   2,400     36,620
 
  120  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Cleanup Corp.   2,100   $ 9,096
CMIC Holdings Company, Ltd.   1,200     14,987
CMK Corp.   3,700     18,619
COLOPL, Inc.   3,200     16,623
Colowide Company, Ltd. (B)   2,500     36,281
Computer Engineering & Consulting, Ltd.   1,800     18,825
Comture Corp.   1,000     25,166
CONEXIO Corp.   1,300     14,901
COOKPAD, Inc. (A)   2,700     6,514
Corona Corp.   300     2,093
Cosel Company, Ltd.   1,200     7,891
Cosmo Energy Holdings Company, Ltd.   2,900     62,121
Cota Company, Ltd.   532     6,189
CRE, Inc.   800     11,715
Create Restaurants Holdings, Inc.   2,500     14,781
Create SD Holdings Company, Ltd.   1,700     44,613
Credit Saison Company, Ltd.   8,100     85,951
Cresco, Ltd.   800     12,805
CROOZ, Inc. (A)   600     3,699
CTS Company, Ltd.   1,900     13,054
Curves Holdings Company, Ltd.   2,000     11,516
Cybozu, Inc.   900     10,137
Dai Nippon Toryo Company, Ltd.   1,200     7,691
Daibiru Corp.   600     10,781
Daicel Corp. (B)   9,100     60,658
Dai-Dan Company, Ltd.   1,000     17,148
Daido Metal Company, Ltd.   1,900     8,840
Daido Steel Company, Ltd.   1,300     39,071
Daidoh, Ltd. (A)   2,000     2,297
Daihen Corp.   1,100     37,884
Daiho Corp. (B)   800     29,578
Daiichi Jitsugyo Company, Ltd.   400     13,998
Daiichi Kigenso Kagaku-Kogyo Company, Ltd.   1,800     14,757
Daiken Corp.   1,000     17,724
Daiken Medical Company, Ltd.   400     1,668
Daiki Aluminium Industry Company, Ltd. (B)   3,000     38,356
Daikoku Denki Company, Ltd.   800     7,929
Daikokutenbussan Company, Ltd. (B)   300     12,731
Daikyonishikawa Corp.   1,900     8,377
Dainichiseika Color & Chemicals Manufacturing Company, Ltd.   300     5,041
Daiseki Company, Ltd.   2,160     81,245
Daishi Hokuetsu Financial Group, Inc.   2,200     44,823
Daishinku Corp.   1,600     15,572
Daito Pharmaceutical Company, Ltd.   700     16,355
Daitron Company, Ltd.   600     9,227
Daiwa Industries, Ltd.   2,000     17,758
Daiwabo Holdings Company, Ltd.   4,000     53,609
DCM Holdings Company, Ltd.   6,500     56,108
DeNA Company, Ltd.   4,300     65,322
Densan System Holdings Company, Ltd.   700     14,779
Denyo Company, Ltd.   900     12,035
Dexerials Corp.   3,500     94,431
DIC Corp.   2,000     40,866
Digital Arts, Inc.   700     42,089
Digital Garage, Inc.   1,600     59,775
Digital Hearts Holdings Company, Ltd.   900     13,086
Digital Holdings, Inc.   600     6,825
Dip Corp.   1,500     40,911
Direct Marketing MiX, Inc.   900     13,413
DKK Company, Ltd.   1,000     18,440
DKS Company, Ltd.   400     9,007
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
DMG Mori Company, Ltd.   4,600   $ 62,312
Doshisha Company, Ltd.   1,700     20,784
Doutor Nichires Holdings Company, Ltd.   2,300     28,660
Dowa Holdings Company, Ltd.   300     13,711
DTS Corp.   1,800     39,355
Duskin Company, Ltd.   2,100     46,173
DyDo Group Holdings, Inc.   700     26,991
Eagle Industry Company, Ltd.   2,200     17,516
Earth Corp.   800     36,449
Ebara Jitsugyo Company, Ltd.   800     16,066
Ebase Company, Ltd.   1,200     5,572
EDION Corp. (B)   5,000     46,423
EF-ON, Inc.   1,500     7,214
eGuarantee, Inc.   1,300     21,662
E-Guardian, Inc.   900     22,298
Eiken Chemical Company, Ltd.   1,800     25,399
Eizo Corp.   800     23,416
Elan Corp.   2,800     24,644
Elecom Company, Ltd.   1,600     19,218
Elematec Corp.   1,400     11,899
Enigmo, Inc.   2,400     12,672
en-japan, Inc.   1,200     28,772
Enplas Corp.   600     13,276
eRex Company, Ltd.   1,900     26,825
ES-Con Japan, Ltd.   1,500     10,009
ESPEC Corp.   1,600     25,609
Exedy Corp.   1,900     24,409
Ezaki Glico Company, Ltd.   1,900     57,976
FAN Communications, Inc.   2,000     7,094
FCC Company, Ltd.   2,200     24,090
FDK Corp. (A)(B)   1,100     7,762
Feed One Company, Ltd.   1,600     8,771
Ferrotec Holdings Corp.   1,600     35,582
FIDEA Holdings Company, Ltd.   2,140     22,183
Fields Corp.   1,500     10,981
Financial Products Group Company, Ltd.   1,800     12,641
Fixstars Corp.   2,000     13,539
Foster Electric Company, Ltd.   2,100     12,364
France Bed Holdings Company, Ltd.   2,200     15,567
Fronteo, Inc. (B)   1,900     31,050
Fudo Tetra Corp.   1,080     13,442
Fuji Company, Ltd.   1,400     26,548
Fuji Corp. (Aichi)   2,600     46,894
Fuji Corp., Ltd.   1,300     6,559
Fuji Kyuko Company, Ltd.   900     28,673
Fuji Media Holdings, Inc.   2,000     19,151
Fuji Oil Company, Ltd. (A)   4,400     9,549
Fuji Oil Holdings, Inc.   2,500     40,539
Fuji Pharma Company, Ltd.   1,400     11,255
Fuji Seal International, Inc.   2,100     28,712
Fuji Soft, Inc.   900     45,173
Fujibo Holdings, Inc.   700     19,752
Fujicco Company, Ltd.   1,500     23,725
Fujikura Kasei Company, Ltd.   2,000     7,464
Fujikura, Ltd. (A)   11,000     55,676
Fujimi, Inc.   500     27,238
Fujimori Kogyo Company, Ltd.   800     24,412
Fujisash Company, Ltd.   4,900     2,888
Fujitec Company, Ltd.   1,900     48,789
Fujitsu General, Ltd.   1,800     35,024
Fujiya Company, Ltd.   500     9,970
Fukuda Corp.   200     7,369
Fukuda Denshi Company, Ltd.   500     31,944
Fukui Computer Holdings, Inc.   300     7,946
Fukushima Galilei Company, Ltd.   500     15,662
 
  121  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Fukuyama Transporting Company, Ltd.   1,000   $ 29,782
FULLCAST Holdings Company, Ltd.   1,000     21,292
Funai Soken Holdings, Inc.   1,800     32,404
Furukawa Company, Ltd.   1,900     19,978
Furukawa Electric Company, Ltd.   3,400     60,275
Furuno Electric Company, Ltd.   2,400     19,877
Furyu Corp. (B)   1,300     11,675
Fuso Chemical Company, Ltd.   1,000     36,744
Fuso Pharmaceutical Industries, Ltd.   500     8,944
Futaba Corp.   1,600     8,596
Futaba Industrial Company, Ltd.   3,400     10,092
Future Corp.   2,400     33,827
Fuyo General Lease Company, Ltd.   900     51,310
G-7 Holdings, Inc.   2,000     26,984
Gakken Holdings Company, Ltd.   1,600     12,481
Gecoss Corp.   400     2,624
Genki Sushi Company, Ltd. (B)   500     10,417
Genky DrugStores Company, Ltd.   600     22,231
Geo Holdings Corp.   2,700     27,685
Giftee, Inc. (A)   600     6,213
GLOBERIDE, Inc. (B)   1,200     28,285
Glory, Ltd.   2,100     35,489
GMO Financial Holdings, Inc.   1,600     10,739
GMO GlobalSign Holdings KK   500     25,089
GNI Group, Ltd. (A)   2,100     23,713
Goldcrest Company, Ltd.   990     13,652
Golf Digest Online, Inc.   800     6,456
Gremz, Inc.   800     14,638
GS Yuasa Corp.   3,000     56,997
G-Tekt Corp.   1,200     12,498
Gun-Ei Chemical Industry Company, Ltd.   400     9,792
GungHo Online Entertainment, Inc.   2,000     42,466
Gunze, Ltd.   800     24,412
H.U. Group Holdings, Inc.   2,200     52,250
H2O Retailing Corp.   4,900     33,849
Hagihara Industries, Inc.   800     7,379
Hagiwara Electric Holdings Company, Ltd.   500     8,251
Hakuto Company, Ltd.   1,300     25,844
Halows Company, Ltd.   600     14,877
Hamakyorex Company, Ltd.   1,000     23,381
Hanwa Company, Ltd.   1,600     42,187
Happinet Corp.   1,000     12,336
Hazama Ando Corp.   10,090     74,568
Heiwa Corp.   2,700     40,217
Heiwa Real Estate Company, Ltd.   1,500     48,579
Heiwado Company, Ltd.   2,000     31,018
Hennge KK (A)(B)   1,000     7,654
Hibiya Engineering, Ltd.   1,500     22,513
HI-LEX Corp.   600     5,868
Hinokiya Group Company, Ltd.   300     5,785
Hioki EE Corp.   500     28,544
Hirano Tecseed Company, Ltd.   1,100     18,562
Hirata Corp.   500     21,918
Hirogin Holdings, Inc.   13,500     71,136
Hiroshima Gas Company, Ltd.   4,900     13,463
Hisaka Works, Ltd.   2,000     12,985
Hitachi Zosen Corp.   9,000     54,656
Hochiki Corp.   600     6,054
Hodogaya Chemical Company, Ltd.   700     25,009
Hogy Medical Company, Ltd.   800     21,174
Hokkaido Electric Power Company, Inc.   11,100     43,972
Hokkaido Gas Company, Ltd.   600     7,239
Hokkan Holdings, Ltd.   1,000     10,667
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Hokko Chemical Industry Company, Ltd.   700   $ 5,338
Hokkoku Financial Holdings, Inc.   1,500     37,456
Hokuetsu Corp. (B)   7,900     44,824
Hokuetsu Industries Company, Ltd.   2,000     14,296
Hokuhoku Financial Group, Inc.   5,900     42,848
Hokuriku Electric Power Company   9,400     40,928
Hokuto Corp.   1,600     24,992
H-One Company, Ltd.   1,000     4,963
Honeys Holdings Company, Ltd.   1,350     11,524
Hoosiers Holdings   3,400     18,116
Horiba, Ltd.   200     10,898
Hosiden Corp.   3,900     36,802
Hosokawa Micron Corp.   1,000     21,818
HS Holdings Company, Ltd.   1,000     10,623
IBJ, Inc.   1,800     11,714
Ichigo, Inc.   15,700     40,384
Ichikoh Industries, Ltd.   2,300     7,709
Ichinen Holdings Company, Ltd.   1,900     20,211
Ichiyoshi Securities Company, Ltd.   2,800     14,148
Icom, Inc.   500     10,100
IDEC Corp.   1,600     33,404
IDOM, Inc.   3,900     23,192
Iino Kaiun Kaisha, Ltd.   7,300     48,928
IJTT Company, Ltd.   1,200     5,261
Ikegami Tsushinki Company, Ltd.   400     2,064
I'll, Inc.   1,100     13,879
Imasen Electric Industrial   500     2,449
Imuraya Group Company, Ltd.   300     5,554
Inaba Denki Sangyo Company, Ltd.   2,700     54,756
Inaba Seisakusho Company, Ltd.   200     2,165
Inabata & Company, Ltd.   2,000     33,730
Inageya Company, Ltd.   900     9,948
Ines Corp.   900     11,986
i-Net Corp.   900     9,387
Infocom Corp.   1,000     17,210
Infomart Corp.   8,700     46,452
Information Services International-Dentsu, Ltd.   1,400     44,590
INFRONEER Holdings, Inc.   6,468     55,202
Insource Company, Ltd.   600     11,336
Intage Holdings, Inc.   1,700     23,769
I-PEX, Inc.   500     5,960
IR Japan Holdings, Ltd.   400     14,095
Iriso Electronics Company, Ltd.   1,000     27,139
Iseki & Company, Ltd.   1,200     12,678
Ishihara Sangyo Kaisha, Ltd.   2,100     18,334
ITFOR, Inc.   1,000     6,414
ITmedia, Inc.   900     13,156
Itochu Enex Company, Ltd.   3,800     31,955
Itochu-Shokuhin Company, Ltd.   300     11,942
Itoham Yonekyu Holdings, Inc.   5,100     27,085
Itoki Corp.   2,100     5,957
IwaiCosmo Holdings, Inc.   900     9,789
Izumi Company, Ltd.   1,400     36,861
J Front Retailing Company, Ltd.   6,100     49,486
J Trust Company, Ltd.   4,900     14,037
JAC Recruitment Company, Ltd.   1,200     18,126
Jaccs Company, Ltd.   1,600     40,141
JAFCO Group Company, Ltd.   4,200     64,019
JANOME Corp.   1,200     7,203
Japan Aviation Electronics Industry, Ltd.   3,000     48,597
Japan Cash Machine Company, Ltd.   700     3,839
Japan Elevator Service Holdings Company, Ltd.   2,200     28,479
Japan Investment Adviser Company, Ltd.   1,000     9,999
 
  122  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Japan Lifeline Company, Ltd.   2,600   $ 21,739
Japan Material Company, Ltd.   3,700     52,154
Japan Medical Dynamic Marketing, Inc.   900     12,034
Japan Petroleum Exploration Company, Ltd.   2,000     42,122
Japan Property Management Center Company, Ltd.   800     6,707
Japan Pulp & Paper Company, Ltd.   600     19,081
Japan Securities Finance Company, Ltd.   5,500     41,335
Japan Transcity Corp.   3,100     15,294
Jastec Company, Ltd.   400     3,615
JBCC Holdings, Inc.   1,200     15,204
JCR Pharmaceuticals Company, Ltd.   600     11,035
JCU Corp.   1,300     43,838
JGC Holdings Corp.   10,700     127,892
Jimoto Holdings, Inc.   980     4,972
JINS Holdings, Inc.   800     37,716
JINUSHI Company, Ltd.   1,100     16,975
JM Holdings Company, Ltd.   600     8,571
JMS Company, Ltd.   500     2,492
J-Oil Mills, Inc.   1,200     15,790
Joshin Denki Company, Ltd.   1,100     17,269
Joyful Honda Company, Ltd.   1,900     23,242
JSB Company, Ltd.   400     11,247
JSP Corp. (B)   800     10,036
Juki Corp.   1,400     9,526
Juroku Financial Group, Inc.   1,700     30,103
JVCKenwood Corp.   9,070     13,153
K&O Energy Group, Inc.   800     10,997
Kaga Electronics Company, Ltd.   1,100     29,075
Kagome Company, Ltd.   500     12,776
Kaken Pharmaceutical Company, Ltd.   1,300     41,341
Kakiyasu Honten Company, Ltd.   500     9,953
Kamakura Shinsho, Ltd.   1,200     6,146
Kameda Seika Company, Ltd.   700     22,816
Kamei Corp.   2,000     16,463
Kamigumi Company, Ltd.   700     12,565
Kanaden Corp.   1,100     8,928
Kanagawa Chuo Kotsu Company, Ltd.   700     19,917
Kanamic Network Company, Ltd.   600     2,557
Kanamoto Company, Ltd.   1,900     31,044
Kandenko Company, Ltd.   4,700     32,065
Kaneka Corp.   1,800     51,994
Kanematsu Corp.   3,500     38,287
Kanematsu Electronics, Ltd.   700     21,927
Kanto Denka Kogyo Company, Ltd.   2,000     17,554
Kasai Kogyo Company, Ltd. (A)   1,000     2,272
Katakura Industries Company, Ltd. (A)   1,700     31,018
Kato Sangyo Company, Ltd.   1,100     28,493
Kato Works Company, Ltd.   400     2,556
Kawada Technologies, Inc.   200     5,908
KeePer Technical Laboratory Company, Ltd.   500     10,064
Keihanshin Building Company, Ltd.   2,000     24,494
Keiyo Company, Ltd.   3,400     24,744
Kenko Mayonnaise Company, Ltd.   900     10,219
KFC Holdings Japan, Ltd. (B)   1,500     34,905
KH Neochem Company, Ltd.   900     20,192
Kimoto Company, Ltd.   3,000     5,319
Kintetsu World Express, Inc.   1,600     40,939
Kissei Pharmaceutical Company, Ltd.   1,100     22,928
Ki-Star Real Estate Company, Ltd.   600     25,604
Kitanotatsujin Corp.   3,300     6,035
Kito Corp.   800     11,592
Kitz Corp.   4,600     25,773
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
KLab, Inc. (A)   2,100   $ 7,611
Koa Corp.   1,700     19,767
Koatsu Gas Kogyo Company, Ltd.   3,000     16,189
Kobe Electric Railway Company, Ltd. (A)   300     8,090
Kobe Steel, Ltd.   13,000     62,523
Kohnan Shoji Company, Ltd.   1,200     34,300
Kojima Company, Ltd. (B)   3,000     14,080
Kokuyo Company, Ltd.   3,800     50,034
KOMEDA Holdings Company, Ltd.   2,600     43,340
Komeri Company, Ltd.   1,500     32,250
Komori Corp.   3,700     21,969
Kondotec, Inc. (B)   1,300     10,815
Konica Minolta, Inc. (B)   21,700     91,091
Konishi Company, Ltd.   2,200     28,084
Konoike Transport Company, Ltd.   2,600     24,431
Krosaki Harima Corp.   400     13,481
K's Holdings Corp.   7,300     75,243
Kumagai Gumi Company, Ltd.   1,800     39,843
Kumiai Chemical Industry Company, Ltd.   3,400     24,511
Kurabo Industries, Ltd.   1,600     22,913
Kureha Corp.   800     63,764
Kurimoto, Ltd.   1,000     12,874
Kusuri no Aoki Holdings Company, Ltd.   700     38,954
KYB Corp.   1,000     24,216
Kyodo Printing Company, Ltd.   500     11,283
Kyoei Steel, Ltd.   1,800     19,624
Kyokuto Kaihatsu Kogyo Company, Ltd.   2,300     26,043
Kyokuto Securities Company, Ltd.   2,300     13,778
Kyokuyo Company, Ltd.   700     19,074
KYORIN Holdings, Inc.   1,900     27,589
Kyosan Electric Manufacturing Company, Ltd.   2,000     7,129
Kyudenko Corp.   1,700     39,748
Kyushu Financial Group, Inc.   20,200     66,041
LAC Company, Ltd. (B)   1,400     10,477
Lacto Japan Company, Ltd.   800     13,660
LEC, Inc.   1,600     11,496
Life Corp.   800     20,590
LIFULL Company, Ltd.   3,800     7,642
Link And Motivation, Inc.   2,300     10,163
Lintec Corp.   1,900     37,679
Litalico, Inc.   600     13,842
Locondo, Inc. (A)   400     3,630
M&A Capital Partners Company, Ltd. (A)   600     21,284
Mabuchi Motor Company, Ltd.   2,300     71,599
Macnica Fuji Electronics Holdings, Inc.   2,650     56,676
Macromill, Inc.   2,300     21,935
Maeda Kosen Company, Ltd.   1,100     28,875
Maezawa Kasei Industries Company, Ltd.   1,100     11,487
Maezawa Kyuso Industries Company, Ltd.   1,800     14,313
Makino Milling Machine Company, Ltd.   1,200     37,831
Management Solutions Company, Ltd. (A)   1,300     39,495
Mandom Corp.   1,600     17,134
Mani, Inc.   3,200     38,172
MarkLines Company, Ltd.   400     9,375
Mars Group Holdings Corp.   700     9,717
Marubun Corp.   200     1,158
Marudai Food Company, Ltd.   1,600     19,419
Maruha Nichiro Corp.   1,500     29,370
 
  123  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Maruichi Steel Tube, Ltd.   2,200   $ 49,588
Marusan Securities Company, Ltd.   4,700     19,084
Maruwa Company, Ltd.   300     39,751
Maruwa Unyu Kikan Company, Ltd. (B)   1,100     10,061
Maruzen Company, Ltd.   800     11,572
Maruzen Showa Unyu Company, Ltd.   800     20,672
Marvelous, Inc.   1,400     8,251
Matsuda Sangyo Company, Ltd.   1,400     28,166
Matsui Securities Company, Ltd.   4,900     32,260
Max Company, Ltd.   2,000     27,755
Maxell, Ltd.   2,200     21,538
Maxvalu Tokai Company, Ltd.   1,100     23,170
MCJ Company, Ltd.   3,200     24,349
Mebuki Financial Group, Inc.   18,000     37,483
MEC Company, Ltd.   1,500     40,756
Media Do Company, Ltd. (B)   600     12,422
Medical Data Vision Company, Ltd.   1,700     16,497
Medikit Company, Ltd.   500     9,551
MedPeer, Inc. (A)   600     19,343
Megachips Corp.   1,100     33,698
Megmilk Snow Brand Company, Ltd.   1,800     29,238
Meidensha Corp.   1,800     37,229
Meiko Electronics Company, Ltd.   1,200     39,176
Meisei Industrial Company, Ltd.   3,000     16,921
Meitec Corp.   1,300     70,423
Meito Sangyo Company, Ltd.   900     11,737
Melco Holdings, Inc.   500     15,966
Members Company, Ltd.   400     10,390
Menicon Company, Ltd.   2,400     57,428
METAWATER Company, Ltd.   1,600     26,118
Micronics Japan Company, Ltd.   2,100     28,418
Midac Holdings Company, Ltd.   500     11,085
Mie Kotsu Group Holdings, Inc.   3,700     13,796
Milbon Company, Ltd.   1,112     49,823
Mimasu Semiconductor Industry Company, Ltd.   1,400     29,053
Ministop Company, Ltd.   1,100     13,080
Mirainovate Company, Ltd. (B)   3,300     4,663
Mirait Holdings Corp.   4,240     67,466
Miroku Jyoho Service Company, Ltd.   700     8,115
Mitani Corp.   2,000     30,331
Mitani Sekisan Company, Ltd.   600     32,669
Mito Securities Company, Ltd.   6,300     14,113
Mitsuba Corp.   2,300     6,909
Mitsubishi Logisnext Company, Ltd.   1,000     7,567
Mitsubishi Logistics Corp.   1,600     39,588
Mitsubishi Materials Corp.   1,900     33,242
Mitsubishi Paper Mills, Ltd.   2,600     6,649
Mitsubishi Pencil Company, Ltd.   1,500     15,500
Mitsubishi Research Institute, Inc.   500     16,339
Mitsubishi Shokuhin Company, Ltd.   600     14,777
Mitsubishi Steel Manufacturing Company, Ltd.   1,000     9,187
Mitsuboshi Belting, Ltd.   1,000     16,532
Mitsui DM Sugar Holdings Company, Ltd.   1,000     15,751
Mitsui E&S Holdings Company, Ltd. (A)   4,600     13,697
Mitsui Matsushima Holdings Company, Ltd. (B)   1,000     15,573
Mitsui Mining & Smelting Company, Ltd.   2,500     68,307
Mitsui-Soko Holdings Company, Ltd.   1,700     34,771
Mitsuuroko Group Holdings Company, Ltd.   3,200     26,989
Mixi, Inc.   1,800     32,306
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Mizuho Leasing Company, Ltd.   1,400   $ 34,018
Mizuno Corp.   1,400     24,116
Mochida Pharmaceutical Company, Ltd.   900     27,478
Modec, Inc.   1,700     17,654
Monex Group, Inc. (B)   8,000     42,372
Morinaga & Company, Ltd.   1,700     52,982
Morinaga Milk Industry Company, Ltd.   500     21,390
Morita Holdings Corp.   2,200     22,216
Morningstar Japan KK   1,300     6,211
MrMax Holdings, Ltd.   1,700     8,121
MTG Company, Ltd. (B)   1,300     16,190
m-up Holdings, Inc.   2,000     16,806
Musashi Seimitsu Industry Company, Ltd.   2,600     31,935
Nachi-Fujikoshi Corp.   600     20,482
Nafco Company, Ltd.   1,100     15,333
Nagano Keiki Company, Ltd.   1,800     18,400
Nagase & Company, Ltd.   5,100     75,668
Nagatanien Holdings Company, Ltd.   1,000     15,831
Nagawa Company, Ltd. (B)   300     24,569
Nakamuraya Company, Ltd.   300     7,731
Nakanishi, Inc.   3,100     57,163
Nakayama Steel Works, Ltd.   1,100     3,997
Namura Shipbuilding Company, Ltd. (A)   3,252     8,639
Nankai Electric Railway Company, Ltd.   4,600     88,755
Natori Company, Ltd.   700     11,172
NEC Capital Solutions, Ltd.   800     13,548
NEC Networks & System Integration Corp.   2,100     30,565
NET One Systems Company, Ltd.   3,200     74,549
Neturen Company, Ltd.   2,300     11,077
Nextage Company, Ltd.   2,300     41,558
NHK Spring Company, Ltd.   9,100     65,459
Nice Corp.   600     9,595
Nichias Corp.   2,400     49,414
Nichiban Company, Ltd.   700     9,731
Nichicon Corp.   3,400     32,566
Nichiden Corp.   600     10,565
Nichiha Corp.   1,200     24,540
Nichi-iko Pharmaceutical Company, Ltd. (A)   3,100     19,727
Nichireki Company, Ltd.   2,000     20,149
Nichirin Company, Ltd.   1,040     13,180
Nihon Chouzai Company, Ltd.   800     8,703
Nihon Flush Company, Ltd.   1,000     8,052
Nihon House Holdings Company, Ltd.   1,000     3,698
Nihon Kagaku Sangyo Company, Ltd.   1,000     9,641
Nihon Nohyaku Company, Ltd.   4,000     19,928
Nihon Parkerizing Company, Ltd.   3,900     29,570
Nihon Tokushu Toryo Company, Ltd.   1,000     6,847
Nikkiso Company, Ltd.   2,100     15,703
Nikkon Holdings Company, Ltd.   2,900     48,393
Nippn Corp.   2,700     36,767
Nippon Air Conditioning Services Company, Ltd.   1,600     10,375
Nippon Beet Sugar Manufacturing Company, Ltd.   900     11,881
Nippon Carbon Company, Ltd.   500     17,132
Nippon Chemical Industrial Company, Ltd.   700     13,778
Nippon Chemi-Con Corp. (A)   1,100     16,902
Nippon Coke & Engineering Company, Ltd.   18,000     21,169
Nippon Concrete Industries Company, Ltd.   2,600     6,183
 
  124  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Nippon Denko Company, Ltd.   6,530   $ 17,972
Nippon Densetsu Kogyo Company, Ltd.   2,100     27,096
Nippon Electric Glass Company, Ltd.   3,800     84,053
Nippon Fine Chemical Company, Ltd. (B)   800     14,463
Nippon Gas Company, Ltd.   5,400     65,896
Nippon Hume Corp.   2,000     11,301
Nippon Kanzai Company, Ltd.   400     9,238
Nippon Kayaku Company, Ltd.   5,300     50,104
Nippon Kodoshi Corp. (B)   800     14,374
Nippon Koei Company, Ltd.   1,000     24,443
Nippon Light Metal Holdings Company, Ltd.   2,820     39,426
Nippon Paper Industries Company, Ltd. (B)   4,600     39,126
Nippon Parking Development Company, Ltd.   8,400     10,574
Nippon Pillar Packing Company, Ltd.   1,500     37,431
Nippon Rietec Company, Ltd.   300     3,152
Nippon Seiki Company, Ltd.   3,000     20,915
Nippon Sharyo, Ltd.   600     10,689
Nippon Shokubai Company, Ltd.   800     34,756
Nippon Signal Company, Ltd.   3,000     21,631
Nippon Soda Company, Ltd.   1,200     33,011
Nippon Steel Trading Corp.   972     42,075
Nippon Suisan Kaisha, Ltd.   13,000     58,240
Nippon Thompson Company, Ltd.   4,700     20,588
Nippon Yakin Kogyo Company, Ltd.   1,000     22,854
Nipro Corp.   6,000     50,175
Nishikawa Rubber Company, Ltd.   800     8,851
Nishimatsu Construction Company, Ltd.   2,300     69,057
Nishimatsuya Chain Company, Ltd.   1,600     20,574
Nishi-Nippon Financial Holdings, Inc.   7,000     43,068
Nishi-Nippon Railroad Company, Ltd.   3,000     65,740
Nishio Rent All Company, Ltd.   800     18,263
Nissan Shatai Company, Ltd.   3,400     15,422
Nissei ASB Machine Company, Ltd.   500     12,665
Nissei Plastic Industrial Company, Ltd.   1,600     13,176
Nissha Company, Ltd.   2,300     27,104
Nisshinbo Holdings, Inc.   6,168     53,416
Nissin Corp.   1,400     18,666
Nissin Electric Company, Ltd.   3,400     40,810
Nissin Sugar Company, Ltd.   1,100     15,221
Nisso Corp.   2,400     14,731
Nitta Corp.   1,300     29,314
Nittan Valve Company, Ltd.   1,200     2,767
Nittetsu Mining Company, Ltd.   300     17,303
Nitto Boseki Company, Ltd.   800     18,383
Nitto Kogyo Corp.   1,600     20,585
Nitto Kohki Company, Ltd.   1,000     12,706
Nitto Seiko Company, Ltd.   1,700     6,987
Noevir Holdings Company, Ltd.   800     32,299
Nohmi Bosai, Ltd.   1,300     20,695
Nojima Corp.   1,600     30,237
NOK Corp.   4,700     43,822
Nomura Micro Science Company, Ltd. (B)   600     20,557
Noritake Company, Ltd.   700     25,444
Noritsu Koki Company, Ltd.   1,000     19,030
Noritz Corp.   2,100     25,145
North Pacific Bank, Ltd.   12,900     25,112
NS Tool Company, Ltd.   800     9,464
NS United Kaiun Kaisha, Ltd.   800     27,310
NSD Company, Ltd.   3,000     53,619
NTN Corp. (A)   18,400     31,934
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Obara Group, Inc. (B)   600   $ 14,668
Ohsho Food Service Corp.   700     34,380
Oiles Corp.   1,380     17,070
Oisix ra daichi, Inc. (A)   1,200     29,408
Okabe Company, Ltd.   2,600     14,665
Okamoto Industries, Inc.   600     19,155
Okamura Corp.   3,700     36,534
Okasan Securities Group, Inc.   7,000     21,078
Oki Electric Industry Company, Ltd.   4,700     32,409
Okinawa Cellular Telephone Company   400     16,164
Okinawa Financial Group, Inc.   1,140     19,112
OKUMA Corp.   1,100     45,553
Okumura Corp.   1,600     38,836
Okura Industrial Company, Ltd.   800     11,877
Okuwa Company, Ltd.   1,000     7,532
Onoken Company, Ltd.   1,500     18,852
Onward Holdings Company, Ltd.   7,100     14,814
Optex Group Company, Ltd.   800     11,254
Optim Corp. (A)   700     5,816
Optorun Company, Ltd.   1,100     18,885
Organo Corp.   600     49,449
Orient Corp.   17,800     17,993
Oriental Shiraishi Corp.   7,600     14,716
Origin Company, Ltd.   600     5,969
Oro Company, Ltd.   700     13,259
Osaka Organic Chemical Industry, Ltd.   800     19,844
Osaka Soda Company, Ltd.   800     20,389
Osaka Steel Company, Ltd. (B)   700     8,848
Osaki Electric Company, Ltd.   3,000     11,455
OSG Corp.   3,300     50,434
Outsourcing, Inc.   5,800     59,762
Oyo Corp.   1,300     24,456
Pacific Industrial Company, Ltd.   3,000     23,112
Pacific Metals Company, Ltd.   1,100     37,057
PAL GROUP Holdings Company, Ltd.   700     8,889
Paramount Bed Holdings Company, Ltd.   1,600     26,017
Paris Miki Holdings, Inc.   1,100     2,406
Park24 Company, Ltd. (A)   2,400     39,273
Pasona Group, Inc.   1,300     26,014
PC Depot Corp.   1,700     4,198
Penta-Ocean Construction Company, Ltd.   12,400     61,860
PeptiDream, Inc. (A)   2,000     35,542
Pickles Corp.   800     10,618
Pigeon Corp.   2,200     38,690
Pilot Corp.   1,200     51,533
Piolax, Inc.   2,100     26,667
Plenus Company, Ltd.   900     14,822
Poletowin Pitcrew Holdings, Inc.   2,000     18,413
Precision System Science Company, Ltd. (A)   500     1,777
Premier Anti-Aging Company, Ltd. (A)   300     9,089
Premium Group Company, Ltd.   800     26,267
Premium Water Holdings, Inc.   400     7,911
Press Kogyo Company, Ltd.   7,000     21,554
Pressance Corp.   700     10,426
Prestige International, Inc.   5,000     29,519
Prima Meat Packers, Ltd.   1,500     27,014
Pronexus, Inc.   600     5,199
Proto Corp.   400     3,378
PS Mitsubishi Construction Company, Ltd.   2,600     12,439
Punch Industry Company, Ltd.   1,300     5,283
Qol Holdings Company, Ltd.   1,400     13,309
Raccoon Holdings, Inc. (B)   800     8,212
Raito Kogyo Company, Ltd.   2,400     38,318
 
  125  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Raiznext Corp.   3,300   $ 28,924
Raysum Company, Ltd.   1,600     12,117
Relia, Inc.   2,100     18,223
Rengo Company, Ltd.   8,600     54,935
RENOVA, Inc. (A)(B)   1,400     19,482
Resorttrust, Inc.   3,700     63,085
Restar Holdings Corp.   1,600     25,803
Retail Partners Company, Ltd.   300     3,522
Rheon Automatic Machinery Company, Ltd.   1,500     12,441
Ricoh Leasing Company, Ltd.   800     21,788
Riken Corp.   600     11,975
Riken Keiki Company, Ltd.   400     15,965
Riken Technos Corp.   3,000     11,192
Riken Vitamin Company, Ltd.   1,400     19,237
Rion Company, Ltd.   500     9,528
Riso Kyoiku Company, Ltd.   9,300     28,949
Rock Field Company, Ltd.   1,000     12,144
Rokko Butter Company, Ltd.   600     7,406
Roland Corp.   700     23,100
Roland DG Corp.   900     24,708
Rorze Corp.   400     39,529
Round One Corp.   1,000     10,958
Ryobi, Ltd.   1,400     12,218
Ryoden Corp. (B)   1,500     20,864
Ryosan Company, Ltd.   1,500     26,849
S Foods, Inc.   900     24,148
S&B Foods, Inc.   600     18,119
Sac's Bar Holdings, Inc. (B)   600     2,448
Saibu Gas Holdings Company, Ltd.   1,500     24,483
Saint-Care Holding Corp.   1,900     12,872
Sakai Chemical Industry Company, Ltd.   1,400     22,146
Sakai Moving Service Company, Ltd.   500     17,303
Sakata INX Corp.   3,100     24,501
Sala Corp.   3,000     15,667
SAMTY Company, Ltd.   1,600     28,714
San ju San Financial Group, Inc.   1,700     20,478
San-A Company, Ltd.   900     30,451
San-Ai Oil Company, Ltd.   3,500     26,805
Sangetsu Corp.   2,100     26,241
Sanken Electric Company, Ltd.   400     16,847
Sanki Engineering Company, Ltd.   2,000     22,907
Sankyo Company, Ltd.   1,900     52,691
Sankyo Frontier Company, Ltd.   300     12,228
Sankyo Seiko Company, Ltd.   3,200     13,674
Sankyo Tateyama, Inc.   2,500     13,091
Sankyu, Inc.   500     16,297
Sanoh Industrial Company, Ltd.   1,900     10,795
Sanshin Electronics Company, Ltd.   700     9,182
Sanyo Chemical Industries, Ltd.   600     24,659
Sanyo Denki Company, Ltd.   400     15,995
Sanyo Electric Railway Company, Ltd. (B)   1,600     26,662
Sanyo Shokai, Ltd. (A)   700     4,359
Sanyo Special Steel Company, Ltd.   1,400     24,184
Sanyo Trading Company, Ltd.   1,200     9,660
Sapporo Holdings, Ltd.   2,700     50,888
Sato Holdings Corp.   1,700     23,770
Sawai Group Holdings Company, Ltd.   1,800     65,726
SB Technology Corp.   800     16,464
SBS Holdings, Inc.   900     24,473
Scroll Corp.   2,300     15,595
Seika Corp.   500     6,535
Seikagaku Corp.   1,700     12,153
Seikitokyu Kogyo Company, Ltd.   1,600     9,753
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Seiko Holdings Corp.   1,400   $ 26,128
Seino Holdings Company, Ltd.   1,000     9,098
Seiren Company, Ltd.   2,700     49,000
Sekisui Jushi Corp.   1,600     23,133
Sekisui Kasei Company, Ltd.   2,500     8,918
Senko Group Holdings Company, Ltd.   4,700     34,423
Senshu Electric Company, Ltd.   300     14,367
Senshu Ikeda Holdings, Inc.   17,200     24,303
Senshukai Company, Ltd.   3,300     10,519
Septeni Holdings Company, Ltd.   4,800     24,915
Seria Company, Ltd.   1,800     40,867
Seven Bank, Ltd. (B)   23,300     45,475
Shibaura Electronics Company, Ltd.   500     30,879
Shibaura Machine Company, Ltd.   1,600     44,496
Shibaura Mechatronics Corp.   300     20,846
Shibuya Corp.   800     15,911
Shikibo, Ltd.   1,100     8,025
Shikoku Chemicals Corp.   3,000     32,785
Shikoku Electric Power Company, Inc.   5,600     36,208
Shima Seiki Manufacturing, Ltd.   1,200     18,247
Shin Nippon Biomedical Laboratories, Ltd.   1,000     13,781
Shinagawa Refractories Company, Ltd.   600     18,577
Shindengen Electric Manufacturing Company, Ltd.   500     12,638
Shin-Etsu Polymer Company, Ltd.   3,000     27,638
Shinko Shoji Company, Ltd.   1,900     14,129
Shinmaywa Industries, Ltd.   2,400     17,746
Shinnihon Corp.   2,500     14,891
Shinoken Group Company, Ltd.   2,000     16,773
Shinwa Company, Ltd.   700     11,241
Ship Healthcare Holdings, Inc.   3,500     56,702
Shizuoka Gas Company, Ltd.   4,500     31,329
SHO-BOND Holdings Company, Ltd.   400     17,403
Shoei Company, Ltd.   1,200     44,718
Shoei Foods Corp.   700     23,378
Shofu, Inc.   600     7,661
Showa Sangyo Company, Ltd.   1,000     21,460
SIGMAXYZ Holdings, Inc.   1,800     16,771
Siix Corp.   1,600     13,839
Sinanen Holdings Company, Ltd.   800     21,592
Sinfonia Technology Company, Ltd.   1,600     17,360
Sinko Industries, Ltd.   1,500     21,166
Sintokogio, Ltd.   3,400     19,121
SKY Perfect JSAT Holdings, Inc.   7,800     26,412
Smaregi, Inc. (A)   400     4,540
SMK Corp.   300     5,470
Snow Peak, Inc. (B)   1,200     32,205
Sodick Company, Ltd.   2,400     15,321
Softcreate Holdings Corp. (B)   700     26,654
Software Service, Inc.   200     10,202
Soken Chemical & Engineering Company, Ltd.   800     10,918
Solasto Corp.   3,200     25,739
Sotetsu Holdings, Inc.   2,400     44,835
Sparx Group Company, Ltd. (B)   7,400     16,528
S-Pool, Inc.   5,000     50,721
SRA Holdings   600     13,621
SRE Holdings Corp. (A)   400     10,939
ST Corp.   700     8,746
St. Marc Holdings Company, Ltd.   800     10,163
Star Mica Holdings Company, Ltd.   1,100     11,856
Star Micronics Company, Ltd.   2,300     28,854
Starts Corp., Inc.   1,900     37,193
Starzen Company, Ltd.   600     9,816
 
  126  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Stella Chemifa Corp.   800   $ 16,940
Strike Company, Ltd.   700     26,762
Studio Alice Company, Ltd.   900     16,089
Sugimoto & Company, Ltd.   700     11,898
Sumida Corp.   1,600     12,187
Suminoe Textile Company, Ltd.   500     7,750
Sumitomo Bakelite Company, Ltd.   1,200     48,582
Sumitomo Densetsu Company, Ltd.   1,300     23,628
Sumitomo Mitsui Construction Company, Ltd.   6,000     20,440
Sumitomo Osaka Cement Company, Ltd. (B)   1,500     41,117
Sumitomo Riko Company, Ltd.   2,400     11,750
Sumitomo Seika Chemicals Company, Ltd.   500     12,657
Sun Frontier Fudousan Company, Ltd.   2,200     18,846
Suruga Bank, Ltd.   7,000     23,274
SWCC Showa Holdings Company, Ltd.   2,400     36,607
Systena Corp.   10,800     37,855
Syuppin Company, Ltd.   1,200     12,813
T Hasegawa Company, Ltd.   1,600     33,962
T RAD Company, Ltd.   500     10,176
T&K Toka Company, Ltd.   1,600     11,617
Tachibana Eletech Company, Ltd. (B)   1,360     18,278
Tachi-S Company, Ltd.   2,400     19,464
Tadano, Ltd.   5,000     41,862
Taihei Dengyo Kaisha, Ltd.   1,000     21,589
Taiheiyo Cement Corp. (B)   600     9,887
Taiho Kogyo Company, Ltd.   1,200     6,902
Taikisha, Ltd.   900     22,379
Taiko Pharmaceutical Company, Ltd. (A)(B)   1,200     5,848
Taisei Lamick Company, Ltd.   500     10,971
Taiyo Holdings Company, Ltd.   2,000     52,817
Takamatsu Construction Group Company, Ltd.   1,000     16,862
Takaoka Toko Company, Ltd.   700     8,424
Takara Holdings, Inc.   4,700     42,179
Takara Leben Company, Ltd.   6,300     15,411
Takara Standard Company, Ltd.   2,200     22,775
Takasago International Corp.   1,200     26,918
Takasago Thermal Engineering Company, Ltd.   1,700     24,105
Takashimaya Company, Ltd.   7,500     71,101
Takeuchi Manufacturing Company, Ltd.   1,600     34,405
Takihyo Company, Ltd.   600     5,907
Takuma Company, Ltd.   3,000     34,945
Tama Home Company, Ltd.   1,000     20,840
Tamron Company, Ltd.   1,500     29,139
Tamura Corp. (B)   6,000     29,997
Tanseisha Company, Ltd.   1,100     7,158
Tatsuta Electric Wire & Cable Company, Ltd.   4,200     15,846
Tayca Corp.   1,500     15,798
TDC Soft, Inc.   1,200     11,413
TechMatrix Corp.   1,400     24,363
Techno Horizon Company, Ltd. (B)   1,400     8,347
Teijin, Ltd.   2,500     27,818
Teikoku Electric Manufacturing Company, Ltd.   1,700     21,871
Teikoku Sen-I Company, Ltd.   1,200     16,946
Tekken Corp.   800     12,038
Tenma Corp.   1,000     19,762
T-Gaia Corp.   900     12,025
The 77 Bank, Ltd.   2,800     35,205
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
The Aichi Bank, Ltd.   600   $ 22,191
The Akita Bank, Ltd.   1,100     15,097
The Aomori Bank, Ltd. (B)   1,700     26,324
The Awa Bank, Ltd.   2,200     38,926
The Bank of Iwate, Ltd.   1,100     16,595
The Bank of Nagoya, Ltd.   1,100     25,874
The Bank of Saga, Ltd.   1,000     11,903
The Chiba Kogyo Bank, Ltd.   3,200     6,851
The Chugoku Bank, Ltd.   6,700     47,713
The Chukyo Bank, Ltd.   900     11,756
The Ehime Bank, Ltd.   2,100     15,986
The First Bank of Toyama, Ltd.   2,800     7,229
The Fukui Bank, Ltd.   1,800     20,696
The Fukushima Bank, Ltd.   2,100     3,919
The Gunma Bank, Ltd.   14,200     40,928
The Hachijuni Bank, Ltd.   14,100     46,717
The Hyakugo Bank, Ltd.   12,500     34,128
The Hyakujushi Bank, Ltd.   1,700     22,977
The Iyo Bank, Ltd.   11,300     55,080
The Japan Steel Works, Ltd.   1,900     58,890
The Japan Wool Textile Company, Ltd.   4,000     29,158
The Keiyo Bank, Ltd.   4,400     17,677
The Kinki Sharyo Company, Ltd.   300     2,926
The Kita-Nippon Bank, Ltd.   700     9,023
The Kiyo Bank, Ltd.   3,800     42,592
The Michinoku Bank, Ltd.   1,400     10,262
The Miyazaki Bank, Ltd.   1,000     16,826
The Monogatari Corp.   400     19,015
The Musashino Bank, Ltd.   1,700     24,307
The Nagano Bank, Ltd.   800     8,356
The Nanto Bank, Ltd.   2,000     32,209
The Nippon Road Company, Ltd.   500     34,109
The Nisshin Oillio Group, Ltd.   1,200     28,015
The Ogaki Kyoritsu Bank, Ltd.   1,600     24,810
The Oita Bank, Ltd.   900     14,066
The Okinawa Electric Power Company, Inc.   1,990     22,501
The Pack Corp.   800     16,804
The San-In Godo Bank, Ltd.   8,000     40,779
The Shibusawa Warehouse Company, Ltd.   1,000     18,892
The Shiga Bank, Ltd.   2,200     39,525
The Shikoku Bank, Ltd.   2,800     17,031
The Shimizu Bank, Ltd.   500     6,434
The Sumitomo Warehouse Company, Ltd.   3,324     62,288
The Tochigi Bank, Ltd.   8,000     14,417
The Toho Bank, Ltd.   12,000     20,093
The Tohoku Bank, Ltd.   400     3,326
The Tottori Bank, Ltd.   400     3,901
The Towa Bank, Ltd.   2,900     12,777
The Yamagata Bank, Ltd.   2,000     14,137
The Yamanashi Chuo Bank, Ltd.   2,000     15,526
Tigers Polymer Corp.   1,000     3,747
TKC Corp.   1,200     32,563
Toa Corp. (Hyogo)   1,400     7,780
Toa Corp. (Tokyo)   1,200     24,457
Toagosei Company, Ltd.   4,300     37,801
Tobishima Corp.   720     6,077
TOC Company, Ltd.   3,400     18,491
Tocalo Company, Ltd.   3,200     35,289
Toda Corp.   8,400     50,877
Toda Kogyo Corp. (A)   300     7,016
Toei Company, Ltd.   100     13,851
Toenec Corp.   600     16,107
 
  127  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Toho Company, Ltd. (A)   600   $ 5,582
Toho Holdings Company, Ltd.   2,400     36,238
Toho Titanium Company, Ltd.   3,000     35,606
Toho Zinc Company, Ltd.   800     19,146
Tokai Carbon Company, Ltd.   6,900     64,373
Tokai Corp.   1,200     16,889
TOKAI Holdings Corp.   4,000     28,206
Tokai Rika Company, Ltd.   2,600     31,863
Tokai Tokyo Financial Holdings, Inc.   11,500     37,748
Token Corp.   410     30,273
Tokushu Tokai Paper Company, Ltd. (B)   600     15,564
Tokuyama Corp.   3,200     44,775
Tokyo Base Company, Ltd. (A)   900     3,112
Tokyo Electron Device, Ltd.   400     16,830
Tokyo Energy & Systems, Inc.   2,000     15,870
Tokyo Keiki, Inc.   1,000     9,725
Tokyo Kiraboshi Financial Group, Inc.   1,936     27,600
Tokyo Rakutenchi Company, Ltd.   200     6,789
Tokyo Rope Manufacturing Company, Ltd.   200     1,469
Tokyo Seimitsu Company, Ltd.   1,800     71,139
Tokyo Steel Manufacturing Company, Ltd.   5,100     48,247
Tokyo Tekko Company, Ltd.   800     8,723
Tokyo Theatres Company, Inc. (B)   900     9,138
Tokyotokeiba Company, Ltd.   600     21,346
Tokyu Construction Company, Ltd.   3,900     21,393
Tomato Bank, Ltd.   1,100     9,390
Tomen Devices Corp.   200     10,359
Tomoe Corp.   2,200     8,737
Tomoku Company, Ltd.   500     6,497
TOMONY Holdings, Inc.   10,600     28,304
Tomy Company, Ltd.   4,500     44,739
Tonami Holdings Company, Ltd.   500     15,367
Topcon Corp.   4,700     59,544
Topre Corp.   2,300     21,964
Topy Industries, Ltd.   1,300     11,135
Torex Semiconductor, Ltd.   700     15,090
Toridoll Holdings Corp. (B)   2,800     58,055
Torii Pharmaceutical Company, Ltd.   1,100     28,187
Torishima Pump Manufacturing Company, Ltd.   900     7,546
Tosei Corp.   2,500     23,835
Toshiba TEC Corp.   1,100     44,046
Totetsu Kogyo Company, Ltd.   1,000     18,553
Towa Corp.   1,300     25,637
Towa Pharmaceutical Company, Ltd.   1,500     33,699
Toyo Construction Company, Ltd. (A)   3,100     19,638
Toyo Corp.   1,100     9,551
Toyo Denki Seizo KK   600     4,917
Toyo Engineering Corp. (A)   2,200     11,400
Toyo Gosei Company, Ltd. (B)   300     26,397
Toyo Ink SC Holdings Company, Ltd.   2,200     34,190
Toyo Kanetsu KK   400     8,008
Toyo Securities Company, Ltd.   6,000     7,308
Toyo Seikan Group Holdings, Ltd.   1,900     21,735
Toyo Tanso Company, Ltd.   1,000     25,678
Toyo Tire Corp.   5,000     63,576
Toyo Wharf & Warehouse Company, Ltd.   600     7,371
Toyobo Company, Ltd.   4,093     36,503
TPR Company, Ltd.   1,400     14,847
Trancom Company, Ltd.   400     23,079
Transaction Company, Ltd.   1,700     13,815
Transcosmos, Inc.   800     20,776
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
TRE Holdings Corp.   868   $ 14,031
Tri Chemical Laboratories, Inc.   1,200     27,802
Trusco Nakayama Corp.   2,200     43,046
TS Tech Company, Ltd.   4,400     49,197
TSI Holdings Company, Ltd.   5,270     14,403
Tsubaki Nakashima Company, Ltd.   2,300     18,037
Tsubakimoto Chain Company   1,600     39,818
Tsugami Corp.   1,600     17,222
Tsukishima Kikai Company, Ltd.   2,000     17,674
Tsukuba Bank, Ltd.   5,700     9,423
Tsumura & Company   2,400     62,747
Tsurumi Manufacturing Company, Ltd.   1,000     14,856
TV Asahi Holdings Corp.   700     8,610
UACJ Corp.   1,903     36,200
Ube Industries, Ltd.   4,400     71,668
Ubicom Holdings, Inc.   500     10,091
Uchida Yoko Company, Ltd.   400     15,871
Uniden Holdings Corp.   400     11,252
Union Tool Company   700     21,738
Unipres Corp.   2,600     14,942
United Super Markets Holdings, Inc.   2,400     20,740
UNITED, Inc. (B)   1,300     19,681
Unitika, Ltd. (A)   5,900     13,981
Universal Entertainment Corp. (A)   1,200     26,811
Ushio, Inc.   5,200     76,980
UT Group Company, Ltd.   1,500     37,762
UUUM Company, Ltd. (A)   800     7,793
Uzabase, Inc. (A)   800     6,959
V Technology Company, Ltd.   400     10,709
Valor Holdings Company, Ltd.   1,700     29,379
Valqua, Ltd.   1,000     21,654
ValueCommerce Company, Ltd.   900     27,181
Vector, Inc.   3,100     31,515
Vital KSK Holdings, Inc.   3,500     20,996
VT Holdings Company, Ltd.   6,600     24,021
Wacoal Holdings Corp.   1,900     28,563
Wacom Company, Ltd.   8,000     61,329
Wakachiku Construction Company, Ltd.   900     14,364
Wakita & Company, Ltd.   2,300     18,816
Warabeya Nichiyo Holdings Company, Ltd.   900     13,103
Watahan & Company, Ltd.   600     6,565
WDB Holdings Company, Ltd.   700     15,502
Weathernews, Inc.   300     22,100
West Holdings Corp.   1,416     55,448
Will Group, Inc.   1,200     12,443
WIN-Partners Company, Ltd.   1,000     8,182
World Company, Ltd.   700     7,058
World Holdings Company, Ltd.   600     11,523
Wowow, Inc.   600     7,882
Xebio Holdings Company, Ltd.   2,800     21,641
Yahagi Construction Company, Ltd.   2,000     13,131
Yaizu Suisankagaku Industry Company, Ltd.   1,100     8,219
YAKUODO Holdings Company, Ltd.   700     12,975
YAMABIKO Corp.   2,400     29,306
YAMADA Consulting Group Company, Ltd.   1,100     10,612
Yamaguchi Financial Group, Inc.   9,600     53,087
Yamaichi Electronics Company, Ltd.   1,700     25,760
YA-MAN, Ltd.   1,700     15,908
Yamato Kogyo Company, Ltd.   2,100     63,636
Yamazen Corp.   3,900     30,009
Yaoko Company, Ltd.   800     43,478
Yasuda Logistics Corp.   1,400     11,103
 
  128  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Yellow Hat, Ltd.   2,000   $ 25,672
Yodogawa Steel Works, Ltd.   1,200     25,749
Yokogawa Bridge Holdings Corp.   2,100     33,308
Yokorei Company, Ltd.   2,900     20,357
Yokowo Company, Ltd.   1,200     25,262
Yomeishu Seizo Company, Ltd.   500     7,200
Yondenko Corp.   1,200     16,909
Yondoshi Holdings, Inc.   1,300     17,443
Yorozu Corp. (B)   1,800     13,050
Yoshinoya Holdings Company, Ltd.   1,200     23,190
Yuasa Trading Company, Ltd.   1,100     26,012
Yukiguni Maitake Company, Ltd.   1,000     9,356
Yurtec Corp.   2,000     11,295
Yushiro Chemical Industry Company, Ltd.   1,100     9,287
Zenrin Company, Ltd.   1,950     15,855
ZERIA Pharmaceutical Company, Ltd.   1,200     18,673
          25,760,743
Jersey, Channel Islands - 0.1%          
Breedon Group PLC   16,463     17,535
Centamin PLC   57,981     69,144
JTC PLC (D)   4,852     53,652
          140,331
Liechtenstein - 0.1%          
Liechtensteinische Landesbank AG   726     43,525
VP Bank AG, Class A   188     19,387
          62,912
Luxembourg - 0.6%          
ADLER Group SA (D)   776     10,264
APERAM SA   2,452     108,371
B&S Group Sarl (D)   983     7,702
Befesa SA (D)   1,015     79,773
Corestate Capital Holding SA (A)(B)   623     5,809
Global Fashion Group SA (A)   1,789     3,320
Grand City Properties SA   5,978     119,421
IVS Group SA (A)(B)   880     4,715
L'Occitane International SA   10,750     34,613
RTL Group SA   241     13,362
SES SA   16,525     150,911
Shurgard Self Storage SA   1,086     67,261
Stabilus SA   1,221     60,597
Sword Group   278     15,004
          681,123
Macau - 0.0%          
MECOM Power and Construction, Ltd.   39,000     17,774
Malaysia - 0.0%          
Frencken Group, Ltd.   15,400     18,662
Malta - 0.0%          
Catena Media PLC (A)(B)   3,412     17,049
Netherlands - 2.4%          
Aalberts NV   4,383     227,156
Accell Group NV (A)   1,149     72,766
Alfen Beheer BV (A)(D)   1,069     108,381
AMG Advanced Metallurgical Group NV   1,350     58,001
Arcadis NV   4,173     187,495
ASR Nederland NV   6,907     322,461
Basic-Fit NV (A)(D)   2,099     93,371
BE Semiconductor Industries NV   1,452     123,774
Beter Bed Holding NV (A)   1,056     5,744
Boskalis Westminster   3,567     127,728
Brack Capital Properties NV (A)   230     38,007
Brunel International NV   1,126     13,666
Corbion NV   3,074     105,191
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Netherlands (continued)          
Flow Traders (D)   1,631   $ 55,364
ForFarmers NV (B)   2,398     9,044
Fugro NV (A)   4,034     48,288
Heijmans NV   2,129     34,904
Hunter Douglas NV (A)   57     10,880
IMCD NV   514     87,685
Innoconcepts NV (A)(C)   10,527     0
Intertrust NV (A)(D)   4,292     93,276
Kendrion NV   1,111     23,884
Koninklijke BAM Groep NV (A)   15,496     46,752
Koninklijke Vopak NV   1,840     59,532
Nedap NV   225     15,917
OCI NV (A)   2,846     100,477
Ordina NV   5,537     28,409
PostNL NV (B)   22,487     85,702
PPHE Hotel Group, Ltd. (A)   592     11,288
SBM Offshore NV (B)   6,900     109,383
SIF Holding NV   504     6,559
Signify NV (D)   5,815     270,500
Sligro Food Group NV (A)   1,151     27,978
TKH Group NV (B)   1,730     96,581
TomTom NV (A)   3,258     30,296
Van Lanschot Kempen NV   1,515     40,317
          2,776,757
New Zealand - 0.6%          
Air New Zealand, Ltd. (A)(B)   12,658     11,281
Arvida Group, Ltd.   12,619     15,017
Chorus, Ltd.   15,977     81,845
Delegat Group, Ltd.   1,200     10,978
Freightways, Ltd.   5,543     47,387
Gentrack Group, Ltd. (A)(B)   3,060     3,752
Hallenstein Glasson Holdings, Ltd.   3,354     15,076
Heartland Group Holdings, Ltd.   19,071     29,650
Investore Property, Ltd. (B)   13,816     16,447
KMD Brands, Ltd.   25,838     24,271
NZME, Ltd. (B)   13,259     15,991
NZX, Ltd. (B)   15,827     15,613
Oceania Healthcare, Ltd.   39,361     28,533
Pacific Edge, Ltd. (A)   27,936     18,494
PGG Wrightson, Ltd.   819     2,512
Pushpay Holdings, Ltd. (A)   16,847     13,224
Restaurant Brands New Zealand, Ltd. (A)   886     8,500
Sanford, Ltd. (A)   2,767     9,002
Scales Corp., Ltd.   5,176     18,418
Serko, Ltd. (A)   2,827     9,100
Skellerup Holdings, Ltd.   7,637     31,554
SKY Network Television, Ltd. (A)   7,518     15,065
SKYCITY Entertainment Group, Ltd.   26,675     52,962
Summerset Group Holdings, Ltd.   3,559     28,882
Synlait Milk, Ltd. (A)   5,495     12,582
The New Zealand Refining Company, Ltd. (A)   11,354     8,176
The Warehouse Group, Ltd.   9,894     22,741
Tourism Holdings, Ltd. (A)   6,508     12,882
TOWER, Ltd.   11,445     5,546
Trustpower, Ltd.   1,665     8,131
Vista Group International, Ltd. (A)   7,682     9,861
Z Energy, Ltd.   13,725     35,651
          639,124
Norway - 0.9%          
ABG Sundal Collier Holding ASA   24,237     23,433
Akastor ASA (A)(B)   6,104     5,650
Aker Solutions ASA (A)   18,496     63,618
American Shipping Company ASA (A)   1,661     6,107
 
  129  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Norway (continued)          
ArcticZymes Technologies ASA (A)   962   $ 8,377
Atea ASA (A)   3,574     53,404
Axactor SE (A)(B)   14,729     11,139
B2Holding ASA   23,929     25,163
Bonheur ASA   1,411     57,128
Bouvet ASA   1,310     10,380
BW Offshore, Ltd.   4,568     15,067
Crayon Group Holding ASA (A)(D)   1,229     23,143
DNO ASA   36,835     53,737
Europris ASA (D)   8,327     53,404
Fjordkraft Holding ASA (D)   3,193     12,177
FLEX LNG, Ltd.   1,570     43,493
Frontline, Ltd. (A)   5,015     43,649
Golden Ocean Group, Ltd.   4,170     51,258
Grieg Seafood ASA (A)   2,264     30,749
Hexagon Composites ASA (A)   6,450     23,154
IDEX Biometrics ASA (A)(B)   19,564     4,177
Kid ASA (D)   1,128     13,188
Kitron ASA   9,158     20,899
Medistim ASA   352     10,506
MPC Container Ships ASA (A)   15,398     51,455
Multiconsult ASA (D)   554     8,845
Nordic Nanovector ASA (A)(B)   2,098     3,556
Norway Royal Salmon ASA (B)   1,038     24,740
Norwegian Energy Company ASA (A)(B)   656     20,740
Odfjell Drilling, Ltd. (A)   4,970     13,588
Odfjell Technology, Ltd. (A)   828     1,909
Otello Corp. ASA (A)   33     101
Pareto Bank ASA   1,457     10,839
PGS ASA (A)(B)   19,660     6,513
PhotoCure ASA (A)   824     11,009
PoLight ASA (A)(D)   522     10,039
Protector Forsikring ASA   4,177     57,583
Self Storage Group ASA (A)   2,940     10,690
Selvaag Bolig ASA   1,842     10,410
Sparebank 1 Oestlandet   758     12,025
SpareBank 1 Sorost-Norge   1,815     12,691
Sparebanken More   246     12,305
TGS ASA   3,905     58,020
Treasure ASA   3,110     5,583
Ultimovacs ASA (A)   584     5,359
Veidekke ASA   4,419     61,383
Wilh Wilhelmsen Holding ASA, Class A   862     23,629
XXL ASA (A)(D)   4,462     5,660
          1,101,672
Peru - 0.0%          
Hochschild Mining PLC   16,530     27,751
Portugal - 0.4%          
Altri SGPS SA   3,125     20,866
Banco Comercial Portugues SA (A)   454,458     86,349
Corticeira Amorim SGPS SA   896     9,931
CTT-Correios de Portugal SA   8,914     44,277
Greenvolt-Energias Renovaveis SA (A)   56     460
Mota-Engil SGPS SA (A)   5,636     8,350
NOS SGPS SA   13,982     58,914
REN - Redes Energeticas Nacionais SGPS SA   21,605     68,032
Sonae SGPS SA   56,969     65,389
The Navigator Company SA   12,847     47,825
          410,393
Singapore - 1.3%          
Accordia Golf Trust (C)   40,300     0
AEM Holdings, Ltd.   9,100     31,539
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Singapore (continued)          
Ascendas India Trust   45,100   $ 39,448
Banyan Tree Holdings, Ltd. (A)   19,800     4,373
Best World International, Ltd. (A)   9,321     9,353
BOC Aviation, Ltd. (D)   6,100     47,916
Boustead Projects, Ltd.   3,000     2,131
Boustead Singapore, Ltd.   10,000     7,220
Bukit Sembawang Estates, Ltd.   11,000     40,616
BW Energy, Ltd. (A)   932     2,845
BW LPG, Ltd. (D)   4,059     27,690
China Aviation Oil Singapore Corp., Ltd.   14,400     9,713
Chip Eng Seng Corp., Ltd.   33,000     10,930
ComfortDelGro Corp., Ltd.   65,700     71,874
COSCO Shipping International Singapore Company, Ltd. (A)   58,900     11,053
CSE Global, Ltd.   34,000     11,886
Delfi, Ltd.   21,900     12,330
Ezion Holdings, Ltd. (A)(C)   131,300     4,166
Far East Orchard, Ltd.   5,000     4,074
First Resources, Ltd.   19,300     29,095
Fraser and Neave, Ltd.   8,600     8,618
Gallant Venture, Ltd. (A)   71,000     6,749
Golden Agri-Resources, Ltd.   133,400     29,912
GuocoLand, Ltd.   10,400     11,699
Halcyon Agri Corp., Ltd. (A)   4,293     774
Haw Par Corp., Ltd.   4,700     40,148
Ho Bee Land, Ltd.   11,400     24,524
Hong Fok Corp., Ltd.   20,100     12,780
Hong Leong Finance, Ltd.   12,900     24,561
Hyflux, Ltd. (A)   24,000     38
iFAST Corp., Ltd.   7,000     31,123
IGG, Inc.   38,000     18,004
Indofood Agri Resources, Ltd. (A)   25,000     7,249
Japfa, Ltd.   22,700     11,598
Kenon Holdings, Ltd.   1,156     76,049
Keppel Infrastructure Trust   157,190     64,781
Metro Holdings, Ltd.   31,600     17,475
Midas Holdings, Ltd. (A)(C)   86,000     10,355
Nanofilm Technologies International, Ltd.   6,500     12,907
NetLink NBN Trust   50,100     36,002
Oceanus Group, Ltd. (A)   1,035,500     16,774
OM Holdings, Ltd. (A)   10,791     7,302
OUE, Ltd.   11,100     10,790
Oxley Holdings, Ltd.   27,222     3,653
Raffles Medical Group, Ltd.   35,758     30,791
Razer, Inc. (A)(D)   186,000     60,303
SBS Transit, Ltd.   5,000     11,014
Sembcorp Industries, Ltd.   25,500     49,977
Sembcorp Marine, Ltd. (A)   510,500     36,845
Sheng Siong Group, Ltd.   29,900     33,482
SIA Engineering Company, Ltd. (A)   12,800     23,970
SIIC Environment Holdings, Ltd.   35,800     5,794
Sinarmas Land, Ltd.   94,200     15,911
Singapore Land Group, Ltd.   7,100     13,277
Singapore Post, Ltd.   66,100     31,562
Singapore Press Holdings, Ltd.   66,000     114,382
Stamford Land Corp., Ltd.   112,100     33,019
StarHub, Ltd.   25,600     24,306
Straits Trading Company, Ltd.   1,200     2,820
Swiber Holdings, Ltd. (A)(C)   15,000     724
The Hour Glass, Ltd.   10,100     17,309
Thomson Medical Group, Ltd.   212,000     12,806
UMS Holdings, Ltd.   17,500     15,715
UOB-Kay Hian Holdings, Ltd.   14,981     18,109
Wing Tai Holdings, Ltd.   21,205     27,859
 
  130  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Singapore (continued)          
XP Power, Ltd.   824   $ 37,438
Yeo Hiap Seng, Ltd.   1,129     728
          1,480,258
South Africa - 0.2%          
Investec PLC   19,554     128,874
Mediclinic International PLC (A)   18,139     84,401
          213,275
Spain - 2.1%          
Acerinox SA   7,380     80,836
Aedas Homes SA (D)   426     10,883
Alantra Partners SA   1,181     21,668
Almirall SA   2,459     31,246
Amper SA (A)   82,546     22,721
Applus Services SA   6,225     51,405
Atresmedia Corp. de Medios de Comunicacion SA   6,046     25,536
Banco de Sabadell SA   253,208     206,912
Bankinter SA (B)   30,509     178,759
Caja de Ahorros del Mediterraneo (A)(C)   5,428     0
Cia de Distribucion Integral Logista Holdings SA   3,649     66,743
CIE Automotive SA   2,718     61,938
Construcciones y Auxiliar de Ferrocarriles SA   1,139     37,540
Ebro Foods SA   3,323     58,349
eDreams ODIGEO SA (A)   4,905     43,290
Elecnor SA   2,026     24,513
Enagas SA   11,699     259,793
Ence Energia y Celulosa SA (A)   6,294     22,132
Ercros SA   5,006     16,756
Faes Farma SA   16,334     66,373
Fluidra SA   2,959     85,618
Fomento de Construcciones y Contratas SA   2,366     28,412
Gestamp Automocion SA (D)   7,287     25,432
Global Dominion Access SA (D)   5,439     24,378
Grupo Catalana Occidente SA   2,346     72,053
Grupo Empresarial San Jose SA   2,194     10,667
Iberpapel Gestion SA   65     1,127
Indra Sistemas SA (A)   6,017     66,669
Laboratorios Farmaceuticos Rovi SA   987     73,138
Linea Directa Aseguradora SA Cia de Seguros y Reaseguros   27,501     42,327
Mapfre SA   35,373     73,987
Mediaset Espana Comunicacion SA (A)   7,779     39,272
Melia Hotels International SA (A)   6,008     44,927
Metrovacesa SA (A)(D)   1,256     10,684
Miquel y Costas & Miquel SA   2,010     27,803
Neinor Homes SA (A)(D)   1,978     26,073
Obrascon Huarte Lain SA (A)   19,608     20,173
Promotora de Informaciones SA, Class A (A)   11,711     8,381
Prosegur Cash SA (D)   11,946     7,800
Prosegur Cia de Seguridad SA   10,114     21,924
Realia Business SA (A)   17,710     16,369
Sacyr SA   22,725     54,873
Solaria Energia y Medio Ambiente SA (A)   3,480     78,071
Talgo SA (A)(D)   4,711     20,212
Tecnicas Reunidas SA (A)   830     7,071
Tubacex SA (A)   6,252     12,656
Unicaja Banco SA (D)   62,819     65,294
Vidrala SA   827     58,029
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Spain (continued)          
Viscofan SA   1,837   $ 108,948
          2,419,761
Sweden - 3.1%          
AcadeMedia AB (D)   3,665     20,223
AddNode Group AB   1,465     59,831
AFRY AB   967     19,395
Alimak Group AB (D)   2,141     23,864
Alligo AB, Class B   2,270     33,493
Ambea AB (D)   1,195     6,057
Annehem Fastigheter AB, B Shares (A)   1,155     3,679
AQ Group AB (A)   291     9,033
Arjo AB, B Shares   10,690     90,508
Atrium Ljungberg AB, B Shares   2,105     43,124
Attendo AB (A)(D)   5,286     16,724
Balco Group AB (A)   665     7,930
Beijer Alma AB   2,393     55,306
Bergman & Beving AB   2,270     33,825
Betsson AB, B Shares (A)   5,105     30,959
BHG Group AB (A)(B)   2,406     15,871
Bilia AB, A Shares   3,960     56,364
BioGaia AB, B Shares   280     16,574
Biotage AB   2,541     59,063
Bonava AB, B Shares   3,323     20,810
Boozt AB (A)(B)(D)   993     12,681
Bravida Holding AB (D)   6,739     77,489
BTS Group AB, B Shares   346     12,374
Bufab AB   1,460     51,884
Bulten AB (B)   717     4,949
Bure Equity AB   1,211     39,342
Byggmax Group AB   5,363     39,721
Calliditas Therapeutics AB, B Shares (A)(B)   1,333     12,604
Careium AB (A)   2,295     4,054
Catella AB   2,217     10,841
Catena AB   1,429     86,097
Cellavision AB   540     17,888
Clas Ohlson AB, B Shares   3,185     36,193
Cloetta AB, B Shares   10,640     29,032
Collector AB (A)   1,870     7,760
Coor Service Management Holding AB (D)   1,376     11,042
Corem Property Group AB, B Shares   22,122     57,416
Dios Fastigheter AB   3,582     38,854
Doro AB (A)   2,295     6,593
Duni AB (A)   2,559     27,843
Dustin Group AB (D)   4,979     42,650
Elanders AB, B Shares   508     7,407
Electrolux Professional AB, B Shares (A)   3,716     22,843
Enea AB (A)   1,522     29,406
Fagerhult AB   4,609     24,543
Fastighets AB Trianon (B)   363     7,932
FastPartner AB, A Shares   2,697     29,639
FastPartner AB, D Shares   84     745
Ferronordic AB   318     1,945
Fingerprint Cards AB, B Shares (A)(B)   12,246     19,200
G5 Entertainment AB   330     7,304
GARO AB   1,075     17,569
Granges AB   7,040     69,019
Haldex AB (A)   3,364     14,679
Heba Fastighets AB, Class B   1,336     21,471
Hexatronic Group AB   1,111     44,163
HMS Networks AB   1,205     56,340
Hoist Finance AB (A)(D)   2,083     6,394
Humana AB (A)   2,641     16,903
Instalco AB   7,730     57,838
 
  131  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Sweden (continued)          
Inwido AB   3,126   $ 49,430
JM AB   2,484     78,919
John Mattson Fastighetsforetagen AB (A)   1,067     18,744
Karnov Group AB   3,501     22,237
K-fast Holding AB (A)   1,142     8,045
KNOW IT AB   1,459     48,365
Lagercrantz Group AB, B Shares   10,111     114,411
LeoVegas AB (D)   2,160     8,667
Lime Technologies AB   347     10,058
Lindab International AB   4,565     116,126
Loomis AB   2,298     62,682
Mekonomen AB (A)   2,150     25,316
MIPS AB   1,182     109,919
Modern Times Group MTG AB, B Shares (A)   5,362     78,047
Momentum Group Komponenter & Tjanster AB (A)   2,270     19,314
Munters Group AB (D)   2,324     14,397
Mycronic AB   2,326     43,326
NCAB Group AB   4,318     30,008
NCC AB, B Shares   3,723     52,893
Nederman Holding AB (B)   887     18,017
Nelly Group AB (A)   611     1,558
Net Insight AB, B Shares (A)   16,550     7,047
New Wave Group AB, B Shares   4,353     70,607
Nobia AB   6,676     29,367
Nolato AB, B Shares   6,748     49,975
Nordic Waterproofing Holding AB   2,002     35,918
Note AB (A)   776     15,353
NP3 Fastigheter AB   1,683     55,584
Nyfosa AB   8,562     122,410
OEM International AB, B Shares   2,363     40,960
Pandox AB (A)   3,303     49,741
Peab AB, Class B   1,426     14,342
Platzer Fastigheter Holding AB, Series B   3,454     42,662
Pricer AB, B Shares   7,930     16,421
Proact IT Group AB   1,428     10,399
Qliro AB (A)   611     1,399
Ratos AB, B Shares   14,845     76,471
RaySearch Laboratories AB (A)   2,452     13,447
Resurs Holding AB (D)   6,236     18,283
Scandi Standard AB   4,648     17,583
Scandic Hotels Group AB (A)(D)   5,932     27,219
Sdiptech AB, Class B (A)(B)   279     10,699
Sensys Gatso Group AB (A)   23,414     2,504
SkiStar AB   2,041     37,951
Solid Forsakring AB (A)   623     3,230
Stendorren Fastigheter AB (A)   407     11,695
Systemair AB   3,604     26,729
Tethys Oil AB   2,334     19,399
Troax Group AB   1,308     33,912
VBG Group AB, B Shares   630     9,321
Vitec Software Group AB, B Shares   659     33,968
XANO Industri AB, Class B   347     11,113
          3,551,468
Switzerland - 6.9%          
Allreal Holding AG   799     171,069
ALSO Holding AG (A)   324     78,786
APG SGA SA   84     17,690
Arbonia AG   2,962     57,999
Aryzta AG (A)   57,916     59,034
Ascom Holding AG   1,310     14,681
Autoneum Holding AG   221     30,651
Bachem Holding AG, Class B   98     53,934
Baloise Holding AG   856     152,879
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Switzerland (continued)          
Banque Cantonale de Geneve, Bearer Shares   142   $ 25,124
Banque Cantonale Vaudoise (B)   1,171     101,314
Belimo Holding AG   500     264,810
Bell Food Group AG   138     40,519
Bellevue Group AG   467     19,523
Berner Kantonalbank AG   242     58,696
BKW AG   1,096     137,277
Bobst Group SA (A)   632     62,270
Bossard Holding AG, Class A   310     72,664
Bucher Industries AG   344     139,048
Burckhardt Compression Holding AG   143     75,569
Burkhalter Holding AG   218     17,048
Bystronic AG   74     76,310
Calida Holding AG   285     15,698
Carlo Gavazzi Holding AG, Bearer Shares   38     11,459
Cembra Money Bank AG   1,587     116,652
Cie Financiere Tradition SA, Bearer Shares   104     12,123
Clariant AG (A)   8,756     151,943
Coltene Holding AG (A)   198     22,277
Comet Holding AG   339     97,897
Daetwyler Holding AG, Bearer Shares   199     65,826
DKSH Holding AG   1,744     146,883
dormakaba Holding AG   140     71,808
Dufry AG (A)   3,106     130,693
EFG International AG (A)   4,687     36,118
Emmi AG   107     116,585
Energiedienst Holding AG   979     48,784
Evolva Holding SA (A)(B)   72,989     8,901
Feintool International Holding AG (A)   142     7,456
Fenix Outdoor International AG   225     25,322
Ferrexpo PLC   17,361     42,151
Flughafen Zurich AG (A)   1,048     188,102
Forbo Holding AG   58     98,803
Fundamenta Real Estate AG   1,024     21,940
Galenica AG (D)   2,186     168,292
GAM Holding AG (A)(B)   11,204     13,833
Georg Fischer AG   220     262,871
Gurit Holding AG, Bearer Shares (B)   22     35,241
Helvetia Holding AG   1,935     252,618
Hiag Immobilien Holding AG   325     36,520
HOCHDORF Holding AG (A)   16     706
Huber + Suhner AG   697     65,198
Hypothekarbank Lenzburg AG   3     13,690
Implenia AG (A)   994     24,309
Ina Invest Holding AG (A)   199     4,143
Inficon Holding AG   92     105,457
Interroll Holding AG   35     115,289
Intershop Holding AG   76     52,615
Investis Holding SA   98     11,944
IWG PLC (A)   35,585     121,738
Jungfraubahn Holding AG (A)   269     41,619
Kardex Holding AG   299     68,856
Komax Holding AG   221     61,834
Kongsberg Automotive ASA (A)   23,611     6,741
Kudelski SA, Bearer Shares (B)   2,497     8,944
Landis+Gyr Group AG (A)   1,111     70,271
LEM Holding SA   19     46,016
Luzerner Kantonalbank AG   173     80,979
Medacta Group SA (A)(D)   218     26,076
Medartis Holding AG (A)(D)   288     38,512
medmix AG (A)(D)   877     30,605
Metall Zug AG, B Shares   12     27,469
 
  132  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Switzerland (continued)          
Mobilezone Holding AG   2,336   $ 41,262
Mobimo Holding AG   347     110,700
Novavest Real Estate AG (A)   212     10,648
OC Oerlikon Corp. AG   9,769     77,849
Orascom Development Holding AG (A)   533     5,352
Orior AG   425     41,477
Phoenix Mecano AG, Bearer Shares   38     16,073
Plazza AG, Class A   68     25,716
PSP Swiss Property AG   2,466     323,874
Rieter Holding AG   251     40,619
Romande Energie Holding SA   34     45,148
Schaffner Holding AG   40     13,666
Schweiter Technologies AG, Bearer Shares   48     58,733
Sensirion Holding AG (A)(D)   378     46,505
SFS Group AG   907     126,330
Siegfried Holding AG (A)   192     158,259
SIG Combibloc Group AG (A)   1,213     30,580
Softwareone Holding AG (A)   2,412     34,003
St. Galler Kantonalbank AG, Class A   152     75,908
Sulzer AG   877     72,849
Swiss Prime Site AG   2,497     246,266
Swiss Steel Holding AG (A)   39,436     11,828
Swissquote Group Holding SA   465     83,796
Tecan Group AG   453     179,089
TX Group AG   201     33,466
u-blox Holding AG (A)   431     41,871
Valiant Holding AG   835     86,277
Valora Holding AG (A)   244     45,526
VAT Group AG (D)   705     268,421
Vaudoise Assurances Holding SA   64     31,606
Vetropack Holding AG   500     23,388
Vifor Pharma AG (A)   1,287     229,461
Von Roll Holding AG, Bearer Shares (A)   7,878     9,232
Vontobel Holding AG   1,521     127,909
VZ Holding AG   685     64,796
V-ZUG Holding AG (A)   120     14,439
Walliser Kantonalbank   203     24,622
Warteck Invest AG   8     20,508
Ypsomed Holding AG   162     28,453
Zehnder Group AG   615     53,161
Zug Estates Holding AG, B Shares   16     34,985
Zuger Kantonalbank AG, Bearer Shares   9     71,571
          8,042,924
Taiwan - 0.0%          
FIT Hon Teng, Ltd. (A)(D)   49,000     7,242
Ya Hsin Industrial Company, Ltd. (A)(C)   138,000     0
          7,242
United Arab Emirates - 0.0%          
Lamprell PLC (A)   11,610     4,426
United Kingdom - 11.5%          
4imprint Group PLC   1,523     55,973
A.G. Barr PLC   4,718     33,022
Accesso Technology Group PLC (A)   1,236     13,561
Advanced Medical Solutions Group PLC   7,031     27,288
Airtel Africa PLC (D)   23,588     43,062
AJ Bell PLC   6,808     27,041
Alfa Financial Software Holdings PLC (D)   4,048     8,451
Alliance Pharma PLC   16,518     25,006
Anglo Pacific Group PLC   12,147     28,163
Anglo-Eastern Plantations PLC   1,225     12,279
AO World PLC (A)   8,013     9,111
Aptitude Software Group PLC   2,037     8,206
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
Ascential PLC (A)   17,088   $ 77,424
Ashmore Group PLC   15,764     47,879
Aston Martin Lagonda Global Holdings PLC (A)(D)   878     11,253
Avon Protection PLC   1,565     26,710
Babcock International Group PLC (A)   22,879     97,142
Bakkavor Group PLC (D)   5,579     8,237
Balfour Beatty PLC   34,581     116,528
Beazley PLC   24,625     135,400
Begbies Traynor Group PLC   6,626     10,075
Bellway PLC   3,516     111,767
Biffa PLC (D)   14,189     59,166
Bloomsbury Publishing PLC   4,265     23,701
Bodycote PLC   9,417     77,758
Boohoo Group PLC (A)   3,748     4,342
Braemar Shipping Services PLC   1,328     3,985
Brewin Dolphin Holdings PLC   15,066     101,087
Britvic PLC   13,590     143,588
Bytes Technology Group PLC   8,409     54,689
Capita PLC (A)   67,697     18,415
Capricorn Energy PLC (A)   24,079     69,524
Card Factory PLC (A)   14,688     8,724
CareTech Holdings PLC   4,102     37,232
Carillion PLC (A)(C)   35,521     4,475
Cazoo Group, Ltd. (A)   4,507     12,438
Central Asia Metals PLC   8,189     25,464
CentralNic Group PLC (A)   10,289     16,380
Centrica PLC (A)   208,824     218,440
Chemring Group PLC   13,921     59,177
Chesnara PLC   7,709     30,556
Circassia Group PLC (A)   9,034     4,285
Clarkson PLC   1,348     65,137
Clinigen Group PLC   3,709     44,920
Clipper Logistics PLC   3,406     39,395
Close Brothers Group PLC   8,356     130,069
CLS Holdings PLC   6,343     16,627
CMC Markets PLC (D)   7,009     23,245
Coats Group PLC   56,475     56,606
Computacenter PLC   3,949     151,825
Concentric AB   2,526     54,792
ContourGlobal PLC (D)   8,862     22,148
Costain Group PLC (A)   4,797     2,486
Countryside Partnerships PLC (A)(D)   23,711     83,815
Cranswick PLC   2,760     127,397
Crest Nicholson Holdings PLC   13,693     47,840
Currys PLC   44,671     52,973
CVS Group PLC   2,750     64,471
De La Rue PLC (A)   10,028     14,220
Debenhams PLC (A)(C)   76,182     0
Devro PLC   12,253     33,499
DFS Furniture PLC   12,509     34,131
Dialight PLC (A)   105     499
Dignity PLC (A)   3,439     22,756
Diploma PLC   3,594     123,384
DiscoverIE Group PLC   5,627     57,725
Domino's Pizza Group PLC   21,324     105,643
dotdigital Group PLC   12,814     13,930
Drax Group PLC   21,413     220,203
Dunelm Group PLC   5,320     75,805
DWF Group PLC (D)   5,285     7,934
EKF Diagnostics Holdings PLC   8,242     4,669
Elementis PLC (A)   35,393     54,791
EMIS Group PLC   2,542     44,384
Energean PLC (A)   4,619     71,914
EnQuest PLC (A)   115,537     46,195
 
  133  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
Ergomed PLC (A)   895   $ 15,818
Esken, Ltd. (A)   25,251     3,650
Essentra PLC   14,966     61,640
Euromoney Institutional Investor PLC   5,478     70,676
FD Technologies PLC (A)   243     6,137
FDM Group Holdings PLC   3,208     44,284
Fevertree Drinks PLC   4,244     99,092
Firstgroup PLC (A)   22,251     32,400
Forterra PLC (D)   10,957     33,250
Foxtons Group PLC   23,551     13,269
Frasers Group PLC (A)   8,458     70,001
Frontier Developments PLC (A)   532     8,704
Fuller Smith & Turner PLC, Class A   1,525     12,299
Funding Circle Holdings PLC (A)(D)   3,849     3,715
Future PLC   1,229     41,761
Galliford Try Holdings PLC   5,675     13,176
Games Workshop Group PLC   1,135     107,929
Gamma Communications PLC   1,848     32,720
GB Group PLC   2,086     15,019
Gem Diamonds, Ltd.   12,666     9,380
Genel Energy PLC   4,784     11,603
Genuit Group PLC   12,035     77,186
Genus PLC   250     9,214
Grainger PLC   32,768     124,970
Greggs PLC   4,752     152,622
Gulf Keystone Petroleum, Ltd.   11,237     34,936
Halfords Group PLC   15,547     50,193
Hays PLC   77,290     123,765
Headlam Group PLC   6,602     32,901
Helical PLC   6,424     34,455
Helios Towers PLC (A)   21,114     31,998
Henry Boot PLC   5,301     21,951
Hill & Smith Holdings PLC   4,214     81,106
Hilton Food Group PLC   3,061     49,641
Hollywood Bowl Group PLC (A)   8,153     25,755
Hunting PLC   8,331     32,666
Hyve Group PLC (A)   12,149     11,323
Ibstock PLC (D)   19,043     43,706
IDOX PLC   10,437     8,609
IG Group Holdings PLC   11,388     122,315
IMI PLC   10,298     183,345
Impax Asset Management Group PLC   2,421     31,149
Inchcape PLC   18,703     163,654
Indivior PLC (A)   36,002     132,047
IntegraFin Holdings PLC   9,972     55,129
International Personal Finance PLC   12,526     16,892
iomart Group PLC   2,265     4,820
IP Group PLC   38,897     45,414
IQE PLC (A)   9,568     4,243
J.D. Wetherspoon PLC (A)   4,332     44,126
James Fisher & Sons PLC (A)   2,814     12,739
James Halstead PLC   11,052     33,549
JET2 PLC (A)   4,917     73,782
John Menzies PLC (A)   3,549     27,674
John Wood Group PLC (A)   29,391     61,990
Johnson Service Group PLC (A)   14,257     21,992
Jupiter Fund Management PLC   22,824     61,736
Just Group PLC (A)   46,457     53,366
Kainos Group PLC   4,099     71,070
Keller Group PLC   4,206     45,918
Kier Group PLC (A)   22,531     25,111
Kin & Carta PLC (A)   3,492     11,659
Knights Group Holdings PLC   2,269     4,927
Lancashire Holdings, Ltd.   11,586     65,329
Learning Technologies Group PLC   21,193     45,082
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
Liontrust Asset Management PLC   2,411   $ 40,056
Lookers PLC (A)   22,449     27,103
LSL Property Services PLC   6,404     32,634
Luceco PLC (D)   1,922     5,149
M&C Saatchi PLC (A)   253     545
Macfarlane Group PLC   6,288     10,618
Man Group PLC   73,477     224,224
Marks & Spencer Group PLC (A)   55,905     112,836
Marshalls PLC   10,383     92,276
Marston's PLC (A)   37,566     40,033
McBride PLC (A)   14,770     8,245
Mears Group PLC   8,289     22,335
Medica Group PLC   4,479     9,077
Meggitt PLC (A)   21,288     211,846
Metro Bank PLC (A)   9,741     11,409
Micro Focus International PLC   10,627     56,148
Midwich Group PLC   1,185     9,763
Mitchells & Butlers PLC (A)   16,776     51,314
Mitie Group PLC   68,528     49,170
MJ Gleeson PLC   2,770     21,402
Moneysupermarket.com Group PLC   27,587     68,614
Morgan Advanced Materials PLC   14,263     57,824
Morgan Sindall Group PLC   2,381     74,969
Mortgage Advice Bureau Holdings, Ltd.   1,276     19,179
MP Evans Group PLC   203     2,799
N. Brown Group PLC (A)   9,633     3,783
National Express Group PLC (A)   23,513     71,811
NCC Group PLC   13,335     31,838
Next Fifteen Communications Group PLC   3,756     65,720
Ninety One PLC   12,803     42,862
Norcros PLC   6,666     22,548
Numis Corp. PLC   2,926     9,797
On the Beach Group PLC (A)(D)   5,451     16,754
OSB Group PLC   16,331     120,961
Oxford Biomedica PLC (A)   1,730     15,315
Oxford Instruments PLC   2,839     78,255
Pagegroup PLC   17,115     110,262
Pan African Resources PLC   85,815     25,191
Paragon Banking Group PLC   13,704     89,657
PayPoint PLC   2,581     19,667
Pendragon PLC (A)   102,667     37,811
Pennon Group PLC   11,306     159,123
Petrofac, Ltd. (A)   15,397     20,978
Pets at Home Group PLC   24,400     115,266
Pharos Energy PLC (A)   16,636     5,954
Photo-Me International PLC (A)   18,684     17,467
Polar Capital Holdings PLC   3,830     31,218
Porvair PLC   2,468     20,453
Premier Foods PLC   41,106     61,398
Provident Financial PLC (A)   13,396     53,812
Purplebricks Group PLC (A)   7,294     2,208
PZ Cussons PLC   13,141     33,645
QinetiQ Group PLC   27,714     110,133
Quilter PLC (D)   84,985     158,666
Rank Group PLC (A)   7,303     12,840
Rathbones Group PLC   2,988     77,533
Reach PLC   25,143     60,412
Redcentric PLC   5,876     8,707
Redde Northgate PLC   10,957     62,013
Redrow PLC   14,867     101,704
Renew Holdings PLC   4,150     37,000
Renewi PLC (A)   5,276     45,735
Renishaw PLC   503     25,389
Ricardo PLC   2,982     15,374
 
  134  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
RM PLC   8,752   $ 17,157
Robert Walters PLC   4,693     43,046
Rotork PLC   43,727     186,190
RPS Group PLC   15,418     21,190
RWS Holdings PLC   1,824     8,852
S&U PLC   303     9,619
Sabre Insurance Group PLC (D)   5,914     17,961
Saga PLC (A)   4,637     14,096
Savills PLC   7,351     106,893
Senior PLC (A)   21,835     36,461
Serco Group PLC   28,829     54,275
Serica Energy PLC   8,374     43,574
Severfield PLC   11,941     10,506
SIG PLC (A)   64,105     36,292
Smart Metering Systems PLC   5,253     54,269
Softcat PLC   4,982     111,080
Spectris PLC   1,473     49,956
Speedy Hire PLC   24,369     17,249
Spire Healthcare Group PLC (A)(D)   12,358     39,440
Spirent Communications PLC   33,589     104,623
Sportech PLC (A)   4,748     2,178
SSP Group PLC (A)   36,801     109,154
Stagecoach Group PLC (A)   27,597     38,455
SThree PLC   8,144     44,018
Stolt-Nielsen, Ltd.   2,414     45,421
Studio Retail Group PLC (A)(C)   8,139     12,296
STV Group PLC   2,712     11,117
Superdry PLC (A)   3,110     6,529
Synthomer PLC   17,828     71,236
Tate & Lyle PLC   23,148     221,899
Tatton Asset Management PLC   1,955     11,517
Ted Baker PLC (A)   2,896     4,884
Telecom Plus PLC   3,652     73,030
The Go-Ahead Group PLC (A)   3,096     33,337
The Gym Group PLC (A)(D)   5,959     15,194
The Restaurant Group PLC (A)   30,769     24,609
The Vitec Group PLC   2,842     50,240
TI Fluid Systems PLC (D)   1,686     4,211
Topps Tiles PLC   15,591     11,427
TORM PLC, Class A (A)   1,596     13,754
TP ICAP Group PLC   45,423     88,390
Travis Perkins PLC   10,742     173,223
Treatt PLC   2,204     32,709
Trifast PLC   7,237     10,905
TT Electronics PLC   14,769     39,670
Tullow Oil PLC (A)(B)   72,437     50,646
Tyman PLC   9,005     37,401
Ultra Electronics Holdings PLC   3,309     143,772
Vertu Motors PLC   13,548     11,513
Vesuvius PLC   12,719     56,877
Victrex PLC   4,079     97,506
Virgin Money UK PLC   52,278     116,307
Vistry Group PLC   11,609     142,839
Vivo Energy PLC (D)   12,282     21,934
Volex PLC   3,136     10,888
Volution Group PLC   4,766     26,015
Vp PLC   637     7,010
Watches of Switzerland Group PLC (A)(D)   7,630     113,386
Watkin Jones PLC   6,905     23,197
WH Smith PLC (A)   4,269     79,735
Wickes Group PLC   13,094     31,552
Wilmington PLC   8,076     27,429
Wincanton PLC   8,498     43,104
Xaar PLC (A)   5,629     19,023
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
Young & Company's Brewery PLC, Class A   1,224   $ 22,670
Zotefoams PLC   1,549     6,698
          13,375,472
United States - 0.5%          
Argonaut Gold, Inc. (A)(B)   16,734     32,795
Atlantic Sapphire ASA (A)(B)   1,333     5,347
Burford Capital, Ltd.   8,549     77,897
Diversified Energy Company PLC   30,857     48,040
Energy Fuels, Inc. (A)   730     6,721
Frontage Holdings Corp. (A)(D)   14,000     5,093
Invesque, Inc. (A)(B)   2,000     2,840
Primo Water Corp.   1,600     22,800
Primo Water Corp. (Toronto Stock Exchange)   6,607     94,072
PureTech Health PLC (A)   9,879     25,699
REC Silicon ASA (A)   13,597     22,395
Reliance Worldwide Corp., Ltd.   21,907     69,170
Sims, Ltd.   9,104     146,744
SunOpta, Inc. (A)   5,608     28,171
Viemed Healthcare, Inc. (A)   2,600     12,948
Vobile Group, Ltd. (A)   36,000     21,702
          622,434
TOTAL COMMON STOCKS (Cost $116,900,236)   $ 114,588,729
PREFERRED SECURITIES - 0.3%      
Germany - 0.3%          
Biotest AG (A)   486     19,248
Draegerwerk AG & Company KGaA   565     31,264
Fuchs Petrolub SE   3,011     109,244
Jungheinrich AG   2,336     67,645
Sixt SE   838     62,604
STO SE & Company KGaA   163     37,268
Villeroy & Boch AG   625     16,515
          343,788
TOTAL PREFERRED SECURITIES (Cost $322,474)   $ 343,788
WARRANTS - 0.0%          
Treasury Metals, Inc. (Expiration Date: 8-7-23; Strike Price: CAD 1.50) (A)   650     83
Webuild SpA (Expiration Date: 8-2-30) (A)(E)   1,316     747
TOTAL WARRANTS (Cost $0)   $ 830
SHORT-TERM INVESTMENTS - 7.0%      
Short-term funds - 7.0%          
John Hancock Collateral Trust, 0.3592% (F)(G)   805,510     8,054,133
TOTAL SHORT-TERM INVESTMENTS (Cost $8,053,923)   $ 8,054,133
Total Investments (International Small Company Trust)
(Cost $125,276,633) - 105.9%
  $ 122,987,480
Other assets and liabilities, net - (5.9%)     (6,800,554)
TOTAL NET ASSETS - 100.0%   $ 116,186,926
Currency Abbreviations
CAD Canadian Dollar
Security Abbreviations and Legend
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $9,048,794. In addition to the cash collateral invested in John Hancock Collateral Trust, if any, non-cash collateral of $1,603,120 in the form of U.S. Treasuries was pledged to the fund.
 
  135  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
(C) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(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 3-31-22.
(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.
Investment Quality Bond Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
72.3%
     
U.S. Government – 33.3%          
U.S. Treasury Bonds          
1.250%, 05/15/2050 $ 4,170,000   $ 3,110,234
1.875%, 11/15/2051   3,165,000     2,776,298
2.250%, 08/15/2046   3,655,000     3,418,567
2.500%, 02/15/2045 (A)   1,204,000     1,172,677
2.500%, 02/15/2046   648,000     634,433
2.875%, 05/15/2043   1,170,000     1,211,224
3.000%, 11/15/2044 to 02/15/2048   9,575,000     10,267,226
3.125%, 02/15/2043 to 05/15/2048   3,885,000     4,310,182
3.125%, 08/15/2044 (A)   5,535,000     5,983,421
3.375%, 05/15/2044   1,690,000     1,897,553
3.625%, 08/15/2043   680,000     788,906
3.750%, 11/15/2043 (A)   2,908,000     3,439,392
4.375%, 11/15/2039   1,170,000     1,487,317
5.375%, 02/15/2031   3,000     3,728
6.500%, 11/15/2026   3,135,000     3,682,033
U.S. Treasury Inflation
Protected Securities
         
0.125%, 02/15/2051   205,122     209,761
0.750%, 07/15/2028   747,986     817,993
0.875%, 02/15/2047   1,053,764     1,260,153
1.000%, 02/15/2048   250,758     310,945
U.S. Treasury Notes          
0.625%, 05/15/2030 to 08/15/2030   16,445,000     14,333,347
0.875%, 11/15/2030   4,105,000     3,635,010
1.375%, 11/15/2031   1,155,000     1,059,713
1.625%, 05/15/2031   6,790,000     6,392,679
1.875%, 02/15/2032   3,110,000     2,986,572
2.750%, 02/15/2028   6,865,000     6,971,193
          82,160,557
U.S. Government Agency – 39.0%          
Federal Home Loan Mortgage Corp.          
3.000%, 12/01/2046 to 04/01/2048   288,401     285,819
3.500%, 03/01/2048 to 06/01/2048   820,082     826,692
5.000%, 12/01/2034   88,817     94,038
6.500%, 04/01/2029 to 08/01/2034   5,691     6,358
7.500%, 12/01/2025 to 05/01/2028   1,564     1,687
Federal National Mortgage Association          
2.000%, TBA (B)   27,300,000     25,497,835
2.500%, TBA (B)   22,300,000     21,256,144
2.500%, 07/01/2030 to 04/01/2045   774,596     751,076
2.660%, 03/01/2027   785,598     775,906
3.000%, TBA (B)   5,900,000     5,772,320
3.500%, 06/01/2046 to 05/01/2048   2,987,259     3,025,202
4.000%, TBA (B)   5,800,000     5,919,175
4.500%, TBA (B)   3,300,000     3,423,235
Government National
Mortgage Association
         
2.000%, TBA (B)   4,200,000     3,993,481
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
3.000%, TBA (B) $ 11,500,000   $ 11,352,021
3.500%, TBA (B)   5,400,000     5,431,757
4.000%, TBA (B)   2,600,000     2,650,946
4.000%, 11/15/2040 to 02/15/2042   24,762     25,654
4.500%, TBA (B)   4,600,000     4,759,348
6.000%, 08/15/2032 to 04/15/2035   31,571     34,413
6.500%, 06/15/2028 to 02/15/2035   16,600     17,780
7.000%, 11/15/2031 to 11/15/2033   79,413     85,414
          95,986,301
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $185,159,850)   $ 178,146,858
FOREIGN GOVERNMENT OBLIGATIONS – 5.2%      
Angola – 0.2%          
Republic of Angola          
8.000%, 11/26/2029   200,000     200,907
8.250%, 05/09/2028   200,000     203,227
          404,134
Benin – 0.1%          
Republic of Benin
4.950%, 01/22/2035
EUR 305,000     274,598
Bermuda – 0.1%          
Government of Bermuda
2.375%, 08/20/2030 (C)
$ 200,000     183,000
Brazil – 0.4%          
Federative Republic of Brazil
10.000%, 01/01/2031
BRL 5,476,000     1,081,516
Chile – 0.1%          
Republic of Chile          
3.250%, 09/21/2071 $ 200,000     161,862
4.000%, 01/31/2052   200,000     197,414
          359,276
Colombia – 0.1%          
Republic of Colombia          
5.000%, 06/15/2045   200,000     168,322
5.625%, 02/26/2044   200,000     181,294
          349,616
Croatia – 0.2%          
Republic of Croatia
1.500%, 06/17/2031
EUR 515,000     534,111
Dominican Republic – 0.2%          
Government of Dominican Republic
6.400%, 06/05/2049 (C)
$ 425,000     397,379
Egypt – 0.1%          
Arab Republic of Egypt
7.625%, 05/29/2032 (C)
  210,000     189,996
Ghana – 0.0%          
Republic of Ghana
6.375%, 02/11/2027 (C)
  200,000     149,696
Hungary – 0.3%          
Republic of Hungary
1.625%, 04/28/2032
EUR 650,000     682,368
Indonesia – 0.2%          
Republic of Indonesia
1.100%, 03/12/2033
  530,000     510,165
Ivory Coast – 0.1%          
Republic of Ivory Coast
4.875%, 01/30/2032
  225,000     218,358
 
  136  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Jordan – 0.1%          
The Hashemite Kingdom of Jordan
5.850%, 07/07/2030
$ 210,000   $ 195,190
Macedonia – 0.2%          
Republic of North Macedonia          
2.750%, 01/18/2025 EUR 210,000     225,975
3.675%, 06/03/2026 (C)   265,000     292,313
          518,288
Mexico – 1.1%          
Government of Mexico          
1.125%, 01/17/2030   200,000     197,065
1.450%, 10/25/2033   600,000     558,734
3.500%, 02/12/2034 $ 325,000     302,084
4.750%, 03/08/2044   20,000     19,652
7.750%, 05/29/2031 MXN 35,584,600     1,723,679
          2,801,214
Oman – 0.2%          
Sultanate of Oman
6.750%, 01/17/2048 (C)
$ 400,000     399,048
Panama – 0.3%          
Republic of Panama          
3.870%, 07/23/2060   585,000     511,735
4.300%, 04/29/2053   200,000     191,996
          703,731
Philippines – 0.3%          
Republic of the Philippines          
1.200%, 04/28/2033 EUR 535,000     526,085
1.750%, 04/28/2041   200,000     187,663
          713,748
Romania – 0.4%          
Republic of Romania          
2.625%, 12/02/2040 (C)   335,000     281,209
2.750%, 04/14/2041   175,000     147,745
3.375%, 02/08/2038   170,000     162,305
4.625%, 04/03/2049   317,000     342,132
          933,391
Saudi Arabia – 0.2%          
Kingdom of Saudi Arabia
2.000%, 07/09/2039
  400,000     406,341
Senegal – 0.2%          
Republic of Senegal          
4.750%, 03/13/2028   200,000     214,479
6.250%, 05/23/2033 $ 255,000     240,339
          454,818
United Arab Emirates – 0.1%          
Finance Department Government of Sharjah
3.625%, 03/10/2033 (C)
  280,000     257,964
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $14,760,449)   $ 12,717,946
CORPORATE BONDS – 28.6%      
Communication services – 3.2%          
AT&T, Inc.          
3.500%, 02/01/2061   45,000     38,249
3.550%, 09/15/2055   798,000     703,809
3.650%, 06/01/2051   215,000     195,644
3.800%, 12/01/2057   51,000     46,529
CCO Holdings LLC
4.500%, 08/15/2030 (C)
  70,000     65,680
Charter Communications Operating LLC          
4.400%, 04/01/2033   195,000     194,423
5.050%, 03/30/2029   95,000     100,588
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
Charter Communications
Operating LLC (continued)
         
5.125%, 07/01/2049 $ 165,000   $ 163,693
5.750%, 04/01/2048   45,000     47,841
6.484%, 10/23/2045   250,000     284,596
6.834%, 10/23/2055   40,000     47,427
Comcast Corp.          
2.887%, 11/01/2051 (C)   21,000     17,704
2.937%, 11/01/2056 (C)   71,000     58,612
2.987%, 11/01/2063 (C)   77,000     63,011
3.250%, 11/01/2039   35,000     33,187
3.750%, 04/01/2040   335,000     337,215
Cox Communications, Inc.
2.600%, 06/15/2031 (C)
  170,000     153,597
CSC Holdings LLC
3.375%, 02/15/2031 (C)
  430,000     362,275
Discovery Communications LLC          
3.800%, 03/13/2024   80,000     80,572
3.950%, 06/15/2025 to 03/20/2028   140,000     139,970
4.000%, 09/15/2055   246,000     212,244
4.125%, 05/15/2029   22,000     22,198
5.200%, 09/20/2047   93,000     96,741
5.300%, 05/15/2049   247,000     258,324
IHS Holding, Ltd.
6.250%, 11/29/2028 (C)
  200,000     187,600
Lamar Media Corp.          
3.625%, 01/15/2031   30,000     27,544
3.750%, 02/15/2028   177,000     168,069
Magallanes, Inc.          
4.279%, 03/15/2032 (C)   260,000     261,157
5.141%, 03/15/2052 (C)   705,000     721,282
Rogers Communications, Inc.          
3.800%, 03/15/2032 (C)   125,000     124,032
4.550%, 03/15/2052 (C)   150,000     149,124
Sirius XM Radio, Inc.
4.125%, 07/01/2030 (C)
  40,000     37,447
Sprint Corp.
7.125%, 06/15/2024
  85,000     91,167
Telecom Italia Capital SA          
6.000%, 09/30/2034   15,000     14,101
7.721%, 06/04/2038   25,000     25,495
Telefonica Celular del Paraguay SA
5.875%, 04/15/2027 (C)
  400,000     405,000
Time Warner Cable LLC          
4.500%, 09/15/2042   455,000     420,839
5.875%, 11/15/2040   65,000     69,856
T-Mobile USA, Inc.          
2.050%, 02/15/2028   185,000     168,963
3.500%, 04/15/2025   320,000     322,118
3.875%, 04/15/2030   145,000     145,557
4.500%, 04/15/2050   100,000     101,166
Verizon Communications, Inc.          
2.650%, 11/20/2040   70,000     59,546
2.850%, 09/03/2041   90,000     79,223
3.400%, 03/22/2041   65,000     60,932
3.550%, 03/22/2051   30,000     28,191
3.850%, 11/01/2042   35,000     34,829
4.000%, 03/22/2050   15,000     15,220
4.272%, 01/15/2036   15,000     15,802
Videotron, Ltd.
5.375%, 06/15/2024 (C)
  40,000     41,112
WMG Acquisition Corp.
3.875%, 07/15/2030 (C)
  450,000     428,625
          7,928,126
 
  137  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary – 1.7%          
Amazon.com, Inc.
3.875%, 08/22/2037
$ 170,000   $ 179,935
Asbury Automotive Group, Inc.
4.500%, 03/01/2028
  45,000     43,227
Carnival Corp.
4.000%, 08/01/2028 (C)
  65,000     60,450
Ford Motor Company
3.250%, 02/12/2032
  35,000     31,260
General Motors Financial Company, Inc.
1.500%, 06/10/2026
  360,000     328,930
Hanesbrands, Inc.
4.875%, 05/15/2026 (C)
  50,000     50,286
Howard University          
2.701%, 10/01/2029   100,000     93,134
2.801%, 10/01/2030   100,000     93,825
3.476%, 10/01/2041   120,000     107,557
KFC Holding Company/Pizza Hut Holdings LLC/Taco Bell of America LLC
4.750%, 06/01/2027 (C)
  20,000     20,300
Las Vegas Sands Corp.
3.500%, 08/18/2026
  180,000     169,575
Lithia Motors, Inc.
4.625%, 12/15/2027 (C)
  30,000     29,775
Lowe's Companies, Inc.          
3.350%, 04/01/2027   40,000     40,234
3.750%, 04/01/2032   30,000     30,330
McDonald's Corp.          
3.350%, 04/01/2023   180,000     182,231
3.625%, 09/01/2049   130,000     124,471
New Red Finance, Inc.
3.500%, 02/15/2029 (C)
  60,000     55,407
PulteGroup, Inc.
5.500%, 03/01/2026
  307,000     326,605
Service Corp. International          
3.375%, 08/15/2030   335,000     301,795
5.125%, 06/01/2029   507,000     515,918
Taylor Morrison Communities, Inc.          
5.125%, 08/01/2030 (C)   40,000     39,100
5.750%, 01/15/2028 (C)   302,000     311,060
The Gap, Inc.          
3.625%, 10/01/2029 (C)   305,000     271,755
3.875%, 10/01/2031 (C)   440,000     383,284
The Home Depot, Inc.
3.300%, 04/15/2040
  190,000     182,996
The William Carter Company
5.625%, 03/15/2027 (C)
  105,000     106,550
Yum! Brands, Inc.
3.625%, 03/15/2031
  20,000     18,237
          4,098,227
Consumer staples – 1.2%          
Anheuser-Busch InBev Worldwide, Inc.          
3.750%, 07/15/2042   299,000     284,633
4.750%, 04/15/2058   35,000     37,953
5.450%, 01/23/2039   138,000     161,153
BAT Capital Corp.          
2.789%, 09/06/2024   250,000     246,715
4.742%, 03/16/2032   250,000     251,478
BAT International Finance PLC          
1.668%, 03/25/2026   440,000     403,748
4.448%, 03/16/2028   375,000     375,798
Conagra Brands, Inc.          
4.300%, 05/01/2024   70,000     71,927
5.400%, 11/01/2048   30,000     34,446
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer staples (continued)          
Constellation Brands, Inc.          
3.150%, 08/01/2029 $ 92,000   $ 88,837
4.650%, 11/15/2028   15,000     15,820
JBS Finance Luxembourg Sarl
2.500%, 01/15/2027 (C)
  200,000     185,752
Kellogg Company
3.400%, 11/15/2027
  150,000     149,692
Kernel Holding SA
6.500%, 10/17/2024
  200,000     101,408
Mondelez International, Inc.          
2.625%, 03/17/2027   110,000     107,331
3.000%, 03/17/2032   80,000     77,206
NBM US Holdings, Inc.
7.000%, 05/14/2026 (C)
  420,000     435,910
TreeHouse Foods, Inc.
4.000%, 09/01/2028
  10,000     8,467
          3,038,274
Energy – 2.7%          
Apache Corp.
4.875%, 11/15/2027
  20,000     20,500
BP Capital Markets America, Inc.          
2.939%, 06/04/2051   120,000     102,425
3.000%, 02/24/2050   40,000     34,550
3.060%, 06/17/2041   55,000     49,284
3.379%, 02/08/2061   105,000     93,347
3.633%, 04/06/2030   215,000     218,926
ConocoPhillips Company          
3.800%, 03/15/2052   25,000     25,438
4.025%, 03/15/2062 (C)   45,000     45,622
Continental Resources, Inc.
5.750%, 01/15/2031 (C)
  60,000     65,628
DCP Midstream Operating LP
5.600%, 04/01/2044
  30,000     31,523
Diamondback Energy, Inc.
3.500%, 12/01/2029
  55,000     54,481
Ecopetrol SA
4.625%, 11/02/2031
  370,000     334,850
Energo-Pro AS
8.500%, 02/04/2027 (C)
  315,000     296,100
Energy Transfer LP          
4.950%, 06/15/2028   45,000     47,261
5.250%, 04/15/2029   225,000     240,099
6.125%, 12/15/2045   290,000     319,798
Enterprise Products Operating LLC          
3.300%, 02/15/2053   20,000     17,063
4.250%, 02/15/2048   65,000     65,260
4.950%, 10/15/2054   80,000     86,963
EQM Midstream Partners LP
6.500%, 07/01/2027 (C)
  15,000     15,668
Equinor ASA          
1.750%, 01/22/2026   90,000     86,178
3.625%, 04/06/2040   125,000     125,713
3.700%, 04/06/2050   60,000     60,694
Exxon Mobil Corp.
4.227%, 03/19/2040
  190,000     204,305
Galaxy Pipeline Assets Bidco, Ltd.          
2.160%, 03/31/2034 (C)   265,000     243,760
2.625%, 03/31/2036 (C)   630,000     564,722
2.940%, 09/30/2040 (C)   200,000     180,335
Hess Corp.          
7.125%, 03/15/2033   58,000     71,569
7.300%, 08/15/2031   140,000     171,458
Leviathan Bond, Ltd.
6.500%, 06/30/2027 (C)
  235,000     240,357
 
  138  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
Lundin Energy Finance BV          
2.000%, 07/15/2026 (C) $ 200,000   $ 186,233
3.100%, 07/15/2031 (C)   285,000     263,933
Marathon Petroleum Corp.
4.700%, 05/01/2025
  200,000     207,835
MPLX LP          
1.750%, 03/01/2026   25,000     23,426
4.950%, 03/14/2052   190,000     197,805
NGPL PipeCo LLC
3.250%, 07/15/2031 (C)
  105,000     98,032
Occidental Petroleum Corp.
4.100%, 02/15/2047
  40,000     37,000
ONEOK, Inc.          
3.100%, 03/15/2030   80,000     74,980
4.550%, 07/15/2028   45,000     46,238
5.850%, 01/15/2026   70,000     75,234
6.350%, 01/15/2031   27,000     31,225
Ovintiv, Inc.
6.625%, 08/15/2037
  165,000     195,206
Sabine Pass Liquefaction LLC
4.500%, 05/15/2030
  165,000     172,552
Shell International Finance BV          
2.875%, 11/26/2041   55,000     49,404
3.000%, 11/26/2051   70,000     62,653
3.250%, 04/06/2050   85,000     79,736
Sunoco LP          
4.500%, 04/30/2030 (C)   25,000     23,032
5.875%, 03/15/2028   20,000     20,200
Targa Resources Corp.          
4.200%, 02/01/2033 (B)   135,000     136,232
4.950%, 04/15/2052 (B)   15,000     15,282
Targa Resources Partners LP
4.875%, 02/01/2031
  20,000     20,200
Transcontinental Gas Pipe Line Company LLC
3.250%, 05/15/2030
  60,000     58,513
Tullow Oil PLC
7.000%, 03/01/2025 (C)
  200,000     165,000
Venture Global Calcasieu Pass LLC
3.875%, 08/15/2029 (C)
  45,000     43,746
Viper Energy Partners LP
5.375%, 11/01/2027 (C)
  257,000     261,783
Western Midstream Operating LP
5.300%, 02/01/2030
  60,000     59,700
          6,719,057
Financials – 7.0%          
American International Group, Inc.
2.500%, 06/30/2025
  445,000     435,082
Aon Corp.          
2.200%, 11/15/2022   185,000     185,339
2.850%, 05/28/2027 (D)   30,000     29,348
3.900%, 02/28/2052   80,000     78,953
Athene Global Funding          
2.646%, 10/04/2031 (C)   215,000     189,733
2.717%, 01/07/2029 (C)   355,000     326,302
Bangkok Bank PCL (3.466% to 9-23-31, then 5 Year CMT + 2.150%) 09/23/2036 (C)   410,000     369,501
Bank of America Corp.
7.750%, 05/14/2038
  130,000     181,414
Bank of America Corp. (2.456% to 10-22-24, then 3 month LIBOR + 0.870%) 10/22/2025   270,000     265,302
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Bank of America Corp. (2.572% to 10-20-31, then SOFR + 1.210%) 10/20/2032 $ 110,000   $ 99,953
Bank of America Corp. (3.311% to 4-22-41, then SOFR + 1.580%) 04/22/2042   285,000     263,844
Bank of America Corp. (3.366% to 1-23-25, then 3 month LIBOR + 0.810%) 01/23/2026   100,000     100,050
Bank of America Corp. (4.083% to 3-20-50, then 3 month LIBOR + 3.150%) 03/20/2051   575,000     595,027
BNP Paribas SA (1.323% to 1-13-26, then SOFR + 1.004%) 01/13/2027 (C)   200,000     182,114
BNP Paribas SA (2.219% to 6-9-25, then SOFR + 2.074%) 06/09/2026 (C)   240,000     228,217
BNP Paribas SA (2.591% to 1-20-27, then SOFR + 1.228%) 01/20/2028 (C)   220,000     207,043
Brighthouse Financial, Inc.
5.625%, 05/15/2030
  250,000     274,053
Capital One Financial Corp.
3.900%, 01/29/2024
  205,000     208,202
Citigroup, Inc.          
3.200%, 10/21/2026   225,000     223,226
3.700%, 01/12/2026   315,000     318,877
4.450%, 09/29/2027   45,000     46,415
Citigroup, Inc. (2.520% to 11-3-31, then SOFR + 1.177%) 11/03/2032   205,000     183,917
Citigroup, Inc. (2.561% to 5-1-31, then SOFR + 1.167%) 05/01/2032   90,000     81,159
Citigroup, Inc. (3.352% to 4-24-24, then 3 month LIBOR + 0.897%) 04/24/2025   220,000     220,523
Citigroup, Inc. (3.980% to 3-20-29, then 3 month LIBOR + 1.338%) 03/20/2030   110,000     111,677
Citigroup, Inc. (4.412% to 3-31-30, then SOFR + 3.914%) 03/31/2031   165,000     171,296
Corebridge Financial, Inc.          
3.850%, 04/05/2029 (C)   75,000     74,932
3.900%, 04/05/2032 (C)   35,000     34,948
Danske Bank A/S
5.375%, 01/12/2024 (C)
  235,000     242,294
Deutsche Bank AG (2.311% to 11-16-26, then SOFR + 1.219%) 11/16/2027   180,000     164,955
Equitable Financial Life Global Funding
1.800%, 03/08/2028 (C)
  380,000     341,779
FirstCash, Inc.          
4.625%, 09/01/2028 (C)   250,000     232,465
5.625%, 01/01/2030 (C)   220,000     211,385
GTP Acquisition Partners I LLC
3.482%, 06/16/2025 (C)
  730,000     732,289
HSBC Holdings PLC (0.976% to 5-24-24, then SOFR + 0.708%) 05/24/2025   290,000     275,309
HSBC Holdings PLC (1.589% to 5-24-26, then SOFR + 1.290%) 05/24/2027   305,000     278,380
HSBC Holdings PLC (4.583% to 6-19-28, then 3 month LIBOR + 1.535%) 06/19/2029   290,000     298,382
HSBC Holdings PLC (4.762% to 3-29-32, then SOFR + 2.530%) 03/29/2033   200,000     205,536
 
  139  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
JPMorgan Chase & Co. (1.561% to 12-10-24, then SOFR + 0.605%) 12/10/2025 $ 270,000   $ 258,441
JPMorgan Chase & Co. (2.545% to 11-8-31, then SOFR + 1.180%) 11/08/2032   260,000     237,574
JPMorgan Chase & Co. (2.956% to 5-13-30, then SOFR + 2.515%) 05/13/2031   50,000     46,785
JPMorgan Chase & Co. (3.109% to 4-22-40, then SOFR + 2.460%) 04/22/2041   90,000     81,336
JPMorgan Chase & Co. (3.109% to 4-22-50, then SOFR + 2.440%) 04/22/2051   70,000     61,994
JPMorgan Chase & Co. (3.157% to 4-22-41, then SOFR + 1.460%) 04/22/2042   455,000     412,489
JPMorgan Chase & Co. (3.220% to 3-1-24, then 3 month LIBOR + 1.155%) 03/01/2025   40,000     40,142
JPMorgan Chase & Co. (3.509% to 1-23-28, then 3 month LIBOR + 0.945%) 01/23/2029   285,000     283,684
JPMorgan Chase & Co. (3.702% to 5-6-29, then 3 month LIBOR + 1.160%) 05/06/2030   280,000     281,483
JPMorgan Chase & Co. (3.960% to 1-29-26, then 3 month LIBOR + 1.245%) 01/29/2027   595,000     607,325
JPMorgan Chase & Co. (4.005% to 4-23-28, then 3 month LIBOR + 1.120%) 04/23/2029   315,000     322,056
Marsh & McLennan Companies, Inc.          
3.875%, 03/15/2024   85,000     86,781
4.750%, 03/15/2039   120,000     131,762
MGIC Investment Corp.
5.750%, 08/15/2023
  30,000     30,750
Morgan Stanley
3.125%, 07/27/2026
  55,000     54,525
Morgan Stanley (1.593% to 5-4-26, then SOFR + 0.879%) 05/04/2027   80,000     74,327
Morgan Stanley (1.794% to 2-13-31, then SOFR + 1.034%) 02/13/2032   515,000     442,862
Morgan Stanley (1.928% to 4-28-31, then SOFR + 1.020%) 04/28/2032   350,000     302,519
Morgan Stanley (2.239% to 7-21-31, then SOFR + 1.178%) 07/21/2032   255,000     225,963
Morgan Stanley (2.475% to 1-21-27, then SOFR + 1.000%) 01/21/2028   265,000     252,631
Morgan Stanley (2.511% to 10-20-31, then SOFR + 1.200%) 10/20/2032   30,000     27,040
Morgan Stanley (3.591% to 7-22-27, then 3 month LIBOR + 1.340%) 07/22/2028   395,000     396,098
Navient Corp.
7.250%, 09/25/2023
  21,000     21,814
New York Life Global Funding
2.000%, 01/22/2025 (C)
  205,000     198,816
NTT Finance Corp.
1.162%, 04/03/2026 (C)
  200,000     184,398
OneMain Finance Corp.
6.125%, 03/15/2024
  75,000     76,875
Power Finance Corp., Ltd.
3.950%, 04/23/2030 (C)
  515,000     491,289
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
S&P Global, Inc.          
2.450%, 03/01/2027 (C)(D) $ 70,000   $ 68,107
2.700%, 03/01/2029 (C)   120,000     116,318
2.900%, 03/01/2032 (C)   95,000     92,098
The Bank of New York Mellon Corp.
2.050%, 01/26/2027 (D)
  400,000     385,391
The Goldman Sachs Group, Inc.
6.750%, 10/01/2037
  230,000     289,833
The Goldman Sachs Group, Inc. (0.925% to 10-21-23, then SOFR + 0.486%) 10/21/2024   175,000     169,628
The Goldman Sachs Group, Inc. (2.383% to 7-21-31, then SOFR + 1.248%) 07/21/2032   325,000     287,853
The Goldman Sachs Group, Inc. (2.615% to 4-22-31, then SOFR + 1.281%) 04/22/2032   340,000     309,013
The Goldman Sachs Group, Inc. (2.650% to 10-21-31, then SOFR + 1.264%) 10/21/2032   35,000     31,642
The Goldman Sachs Group, Inc. (3.102% to 2-24-32, then SOFR + 1.410%) 02/24/2033   50,000     47,129
The Goldman Sachs Group, Inc. (4.017% to 10-31-37, then 3 month LIBOR + 1.373%) 10/31/2038   25,000     25,263
The Goldman Sachs Group, Inc. (4.223% to 5-1-28, then 3 month LIBOR + 1.301%) 05/01/2029   235,000     240,615
The PNC Financial Services Group, Inc.
2.550%, 01/22/2030
  45,000     42,949
Unum Group
4.125%, 06/15/2051
  35,000     30,557
Wells Fargo & Company          
3.000%, 04/22/2026 to 10/23/2026   205,000     202,442
4.400%, 06/14/2046   60,000     62,205
4.900%, 11/17/2045   15,000     16,555
5.606%, 01/15/2044   15,000     17,854
Wells Fargo & Company (3.350% to 3-2-32, then SOFR + 1.500%) 03/02/2033   275,000     267,257
Wells Fargo & Company (5.013% to 4-4-50, then SOFR + 4.502%) 04/04/2051   80,000     94,942
Willis North America, Inc.
3.600%, 05/15/2024
  115,000     115,662
          17,214,293
Health care – 2.5%          
AbbVie, Inc.          
3.200%, 11/21/2029   115,000     113,632
4.625%, 10/01/2042   60,000     63,745
Alcon Finance Corp.
2.750%, 09/23/2026 (C)
  400,000     387,295
Amgen, Inc.          
3.350%, 02/22/2032   70,000     69,345
4.200%, 02/22/2052   15,000     15,513
Anthem, Inc.
3.500%, 08/15/2024
  130,000     131,934
Astrazeneca Finance LLC
1.750%, 05/28/2028
  300,000     276,427
Avantor Funding, Inc.
4.625%, 07/15/2028 (C)
  375,000     370,875
Bausch Health Companies, Inc.
5.750%, 08/15/2027 (C)
  50,000     49,268
 
  140  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
Baxalta, Inc.
3.600%, 06/23/2022
$ 11,000   $ 11,011
Baxter International, Inc.
2.539%, 02/01/2032 (C)
  715,000     652,894
Bayer US Finance II LLC
4.250%, 12/15/2025 (C)
  260,000     264,364
Boston Scientific Corp.
1.900%, 06/01/2025
  125,000     119,972
Bristol-Myers Squibb Company          
0.750%, 11/13/2025   320,000     296,345
2.550%, 11/13/2050   95,000     78,858
2.950%, 03/15/2032   60,000     58,694
3.550%, 03/15/2042   290,000     286,826
Centene Corp.          
3.375%, 02/15/2030   5,000     4,705
4.250%, 12/15/2027   50,000     50,188
4.625%, 12/15/2029   585,000     589,733
Cigna Corp.
1.250%, 03/15/2026
  360,000     336,147
CommonSpirit Health
3.347%, 10/01/2029
  45,000     43,690
CVS Health Corp.          
4.125%, 04/01/2040   85,000     86,476
5.125%, 07/20/2045   85,000     95,949
HCA, Inc.          
3.625%, 03/15/2032 (C)   65,000     63,697
4.625%, 03/15/2052 (C)   55,000     55,427
Humana, Inc.          
2.150%, 02/03/2032   105,000     91,998
3.700%, 03/23/2029   225,000     225,743
Kaiser Foundation Hospitals          
2.810%, 06/01/2041   100,000     87,320
3.002%, 06/01/2051   165,000     145,352
Royalty Pharma PLC          
1.750%, 09/02/2027   25,000     22,689
2.150%, 09/02/2031   420,000     360,094
2.200%, 09/02/2030   85,000     74,315
3.300%, 09/02/2040   55,000     46,827
Sutter Health
3.361%, 08/15/2050
  110,000     98,092
Teleflex, Inc.          
4.250%, 06/01/2028 (C)   45,000     43,819
4.625%, 11/15/2027   15,000     15,206
Teva Pharmaceutical Finance Netherlands III BV
4.750%, 05/09/2027
  200,000     191,990
UnitedHealth Group, Inc.          
2.750%, 05/15/2040   110,000     98,795
3.500%, 08/15/2039   70,000     69,438
          6,144,688
Industrials – 2.3%          
AerCap Ireland Capital DAC
3.300%, 01/30/2032
  270,000     243,394
Ashtead Capital, Inc.
4.375%, 08/15/2027 (C)
  605,000     612,575
Booz Allen Hamilton, Inc.          
3.875%, 09/01/2028 (C)   510,000     492,298
4.000%, 07/01/2029 (C)   80,000     78,115
Builders FirstSource, Inc.
5.000%, 03/01/2030 (C)
  225,000     221,315
BWX Technologies, Inc.
4.125%, 04/15/2029 (C)
  55,000     52,938
Clean Harbors, Inc.          
4.875%, 07/15/2027 (C)   625,000     623,438
5.125%, 07/15/2029 (C)   25,000     25,094
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
DAE Funding LLC
1.550%, 08/01/2024 (C)
$ 435,000   $ 410,859
Imola Merger Corp.
4.750%, 05/15/2029 (C)
  50,000     48,148
International Airport Finance SA
12.000%, 03/15/2033 (C)
  326,117     337,124
L3Harris Technologies, Inc.
3.850%, 06/15/2023
  260,000     263,642
Nielsen Finance LLC
4.500%, 07/15/2029 (C)
  276,000     275,310
Northrop Grumman Corp.
5.150%, 05/01/2040
  95,000     110,554
Otis Worldwide Corp.
2.565%, 02/15/2030
  165,000     154,208
Penske Truck Leasing Company LP          
2.700%, 11/01/2024 (C)   250,000     246,205
4.000%, 07/15/2025 (C)   170,000     171,652
Raytheon Technologies Corp.          
2.375%, 03/15/2032   50,000     45,901
3.650%, 08/16/2023   4,000     4,052
3.950%, 08/16/2025   60,000     61,892
4.450%, 11/16/2038   120,000     130,143
Sensata Technologies BV
5.000%, 10/01/2025 (C)
  75,000     76,031
The Boeing Company          
5.040%, 05/01/2027   220,000     231,663
5.150%, 05/01/2030   135,000     143,972
Trane Technologies Luxembourg Finance SA
4.500%, 03/21/2049
  40,000     42,608
Union Pacific Corp.          
2.375%, 05/20/2031   290,000     271,341
2.800%, 02/14/2032   80,000     76,810
2.973%, 09/16/2062   5,000     4,231
United Airlines, Inc.
4.625%, 04/15/2029 (C)
  45,000     42,793
United Rentals North America, Inc.          
4.000%, 07/15/2030   35,000     33,472
5.500%, 05/15/2027   65,000     67,230
          5,599,008
Information technology – 3.9%          
Apple, Inc.          
1.400%, 08/05/2028   465,000     425,169
2.200%, 09/11/2029   85,000     81,010
2.650%, 02/08/2051   235,000     202,707
3.450%, 02/09/2045   45,000     44,701
4.375%, 05/13/2045   35,000     39,557
Black Knight InfoServ LLC
3.625%, 09/01/2028 (C)
  824,000     780,905
Broadcom, Inc.          
3.419%, 04/15/2033 (C)   215,000     200,664
3.469%, 04/15/2034 (C)   46,000     42,602
4.000%, 04/15/2029 (C)   705,000     704,655
4.300%, 11/15/2032   35,000     35,517
CDK Global, Inc.
5.250%, 05/15/2029 (C)
  83,000     83,481
CDW LLC          
2.670%, 12/01/2026   60,000     56,552
3.250%, 02/15/2029   340,000     312,395
3.276%, 12/01/2028   55,000     51,805
3.569%, 12/01/2031   50,000     46,323
4.125%, 05/01/2025   230,000     231,208
Entegris, Inc.          
3.625%, 05/01/2029 (C)   20,000     18,713
4.375%, 04/15/2028 (C)   40,000     38,700
 
  141  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology (continued)          
Fair Isaac Corp.
4.000%, 06/15/2028 (C)
$ 386,000   $ 373,694
Gartner, Inc.          
3.625%, 06/15/2029 (C)   50,000     46,875
3.750%, 10/01/2030 (C)   143,000     134,241
4.500%, 07/01/2028 (C)   193,000     192,275
Global Payments, Inc.          
2.150%, 01/15/2027   55,000     51,622
3.200%, 08/15/2029   230,000     218,503
Go Daddy Operating Company LLC          
3.500%, 03/01/2029 (C)   55,000     50,571
5.250%, 12/01/2027 (C)   454,000     456,068
IBM Corp.
2.720%, 02/09/2032
  130,000     123,446
Intel Corp.
3.100%, 02/15/2060
  175,000     150,378
Kyndryl Holdings, Inc.
3.150%, 10/15/2031 (C)
  170,000     143,232
Leidos, Inc.
3.625%, 05/15/2025
  130,000     129,968
Marvell Technology, Inc.          
2.450%, 04/15/2028   190,000     174,701
2.950%, 04/15/2031   190,000     175,625
Mastercard, Inc.
2.950%, 03/15/2051
  110,000     100,643
Microchip Technology, Inc.
2.670%, 09/01/2023
  370,000     368,761
Microsoft Corp.
3.041%, 03/17/2062
  129,000     120,467
Nokia OYJ          
4.375%, 06/12/2027   130,000     131,868
6.625%, 05/15/2039   40,000     47,650
NortonLifeLock, Inc.
5.000%, 04/15/2025 (C)
  530,000     529,200
NVIDIA Corp.
3.500%, 04/01/2040
  185,000     186,348
NXP BV          
4.300%, 06/18/2029 (C)   25,000     25,807
4.875%, 03/01/2024 (C)   285,000     292,847
5.350%, 03/01/2026 (C)   115,000     121,042
5.550%, 12/01/2028 (C)   95,000     104,131
Open Text Corp.
3.875%, 12/01/2029 (C)
  355,000     337,250
Open Text Holdings, Inc.
4.125%, 12/01/2031 (C)
  60,000     56,175
Oracle Corp.          
2.300%, 03/25/2028   160,000     146,140
2.875%, 03/25/2031   35,000     31,913
3.600%, 04/01/2040 to 04/01/2050   210,000     177,101
3.850%, 04/01/2060   440,000     361,094
3.950%, 03/25/2051   140,000     122,390
4.000%, 07/15/2046 to 11/15/2047   180,000     159,514
4.100%, 03/25/2061   115,000     98,033
4.125%, 05/15/2045   10,000     8,980
SS&C Technologies, Inc.
5.500%, 09/30/2027 (C)
  262,000     263,969
Xerox Holdings Corp.
5.500%, 08/15/2028 (C)
  40,000     39,010
          9,648,196
Materials – 0.9%          
Ball Corp.
4.000%, 11/15/2023
  570,000     575,700
DuPont de Nemours, Inc.
4.205%, 11/15/2023
  340,000     347,916
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Materials (continued)          
FS Luxembourg Sarl
10.000%, 12/15/2025 (C)
$ 200,000   $ 210,000
International Flavors & Fragrances, Inc.
2.300%, 11/01/2030 (C)
  135,000     120,510
LYB International Finance III LLC
1.250%, 10/01/2025
  167,000     154,573
Metinvest BV
5.625%, 06/17/2025 (C)
EUR 195,000     93,579
Olin Corp.
5.125%, 09/15/2027
$ 25,000     24,920
Standard Industries, Inc.          
3.375%, 01/15/2031 (C)   40,000     35,000
4.375%, 07/15/2030 (C)   410,000     375,542
The Chemours Company
5.375%, 05/15/2027 (D)
  45,000     44,888
Vale Overseas, Ltd.          
3.750%, 07/08/2030   135,000     130,275
6.250%, 08/10/2026   65,000     71,351
          2,184,254
Real estate – 0.9%          
American Tower Corp.          
1.450%, 09/15/2026   85,000     77,554
1.500%, 01/31/2028   45,000     39,762
2.400%, 03/15/2025   135,000     131,377
3.650%, 03/15/2027   135,000     134,639
EPR Properties          
3.600%, 11/15/2031   85,000     77,061
3.750%, 08/15/2029   120,000     112,327
4.950%, 04/15/2028   225,000     225,095
Equinix, Inc.
2.000%, 05/15/2028
  104,000     93,709
GLP Capital LP          
3.250%, 01/15/2032   105,000     95,267
4.000%, 01/15/2031   85,000     82,440
5.300%, 01/15/2029   130,000     136,574
5.750%, 06/01/2028   130,000     139,916
Realty Income Corp.          
2.200%, 06/15/2028   15,000     13,837
2.850%, 12/15/2032   15,000     14,171
3.400%, 01/15/2028   60,000     59,829
SBA Tower Trust          
2.836%, 01/15/2025 (C)   300,000     295,114
3.448%, 03/15/2023 (C)   435,000     435,061
VICI Properties LP
4.250%, 12/01/2026 (C)
  10,000     9,958
          2,173,691
Utilities – 2.3%          
Alabama Power Company          
3.450%, 10/01/2049   120,000     111,324
4.150%, 08/15/2044   105,000     106,591
American Water Capital Corp.
4.150%, 06/01/2049
  80,000     82,929
Cleco Corporate Holdings LLC          
3.375%, 09/15/2029   140,000     133,797
4.973%, 05/01/2046   5,000     5,276
Commonwealth Edison Company
3.650%, 06/15/2046
  175,000     173,028
Consolidated Edison Company of New York, Inc.
3.200%, 12/01/2051
  120,000     106,098
Duke Energy Carolinas LLC
3.450%, 04/15/2051
  5,000     4,847
Duke Energy Corp.
2.550%, 06/15/2031
  385,000     352,004
 
  142  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
Duke Energy Indiana LLC          
2.750%, 04/01/2050 $ 140,000   $ 117,901
3.250%, 10/01/2049   105,000     93,282
Duke Energy Progress LLC          
3.700%, 10/15/2046   125,000     121,033
4.000%, 04/01/2052   65,000     68,889
Duquesne Light Holdings, Inc.
2.775%, 01/07/2032 (C)
  130,000     116,188
Enel Finance International NV
1.375%, 07/12/2026 (C)
  220,000     201,937
Evergy, Inc.          
2.450%, 09/15/2024   90,000     88,307
2.900%, 09/15/2029   175,000     167,261
Exelon Corp.          
3.950%, 06/15/2025   210,000     214,100
4.100%, 03/15/2052 (C)   30,000     30,470
FirstEnergy Corp.          
1.600%, 01/15/2026   35,000     32,550
2.250%, 09/01/2030   75,000     66,375
Georgia Power Company
4.300%, 03/15/2042
  200,000     202,216
IPALCO Enterprises, Inc.
3.700%, 09/01/2024
  175,000     175,453
ITC Holdings Corp.
2.950%, 05/14/2030 (C)
  165,000     156,310
Jersey Central Power & Light Company
2.750%, 03/01/2032 (C)
  125,000     116,399
MidAmerican Energy Company          
3.150%, 04/15/2050   90,000     82,658
3.650%, 08/01/2048   25,000     24,770
NiSource, Inc.
3.490%, 05/15/2027
  210,000     209,329
NRG Energy, Inc.
2.450%, 12/02/2027 (C)
  190,000     175,238
Pacific Gas & Electric Company          
2.500%, 02/01/2031   430,000     370,891
4.400%, 03/01/2032   65,000     63,901
4.950%, 07/01/2050   390,000     367,341
5.250%, 03/01/2052   60,000     61,101
PacifiCorp          
4.125%, 01/15/2049   33,000     34,125
4.150%, 02/15/2050   45,000     46,862
Puget Energy, Inc.          
3.650%, 05/15/2025   180,000     180,393
4.100%, 06/15/2030   130,000     129,751
Sempra Energy          
3.400%, 02/01/2028   200,000     199,332
3.800%, 02/01/2038   85,000     83,363
4.000%, 02/01/2048   25,000     24,799
Southern California Edison Company          
2.750%, 02/01/2032   205,000     190,261
2.850%, 08/01/2029   135,000     128,468
4.000%, 04/01/2047   72,000     69,180
The AES Corp.
3.300%, 07/15/2025 (C)
  175,000     171,693
The Southern Company
2.950%, 07/01/2023
  70,000     70,367
          5,728,388
TOTAL CORPORATE BONDS (Cost $73,351,972)     $ 70,476,202
MUNICIPAL BONDS – 2.2%          
Chicago Board of Education
(Illinois), GO
         
6.038%, 12/01/2029   30,000     31,647
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
MUNICIPAL BONDS (continued)          
Chicago Board of Education
(Illinois), GO (continued)
         
6.138%, 12/01/2039 $ 155,000   $ 169,478
6.319%, 11/01/2029   185,000     201,696
Chicago Transit Authority (Illinois)
3.912%, 12/01/2040
  90,000     89,811
County of Riverside (California)          
2.963%, 02/15/2027   600,000     597,421
3.070%, 02/15/2028   600,000     598,953
Metropolitan Transportation Authority
(New York)
         
4.750%, 11/15/2045   255,000     274,790
5.175%, 11/15/2049   705,000     806,648
Municipal Electric Authority of Georgia
6.637%, 04/01/2057
  91,000     121,448
New York Transportation Development Corp.
4.248%, 09/01/2035
  715,000     739,398
Philadelphia Authority for Industrial Development (Pennsylvania)
6.550%, 10/15/2028
  675,000     797,336
State Board of Administration Finance Corp. (Florida)
1.258%, 07/01/2025
  510,000     484,462
State of Illinois, GO          
4.950%, 06/01/2023   241,818     246,128
5.000%, 01/01/2023   40,000     40,791
5.947%, 04/01/2022   120,000     120,000
TOTAL MUNICIPAL BONDS (Cost $5,240,495)   $ 5,320,007
TERM LOANS (E) – 2.4%      
Communication services – 0.1%          
Clear Channel Outdoor Holdings, Inc., Term Loan B (3 month LIBOR + 3.500%) 3.799%, 08/21/2026   136,500     134,043
CSC Holdings LLC, 2019 Term Loan B5 (1 month LIBOR + 2.500%) 2.897%, 04/15/2027   96,775     94,936
Delta 2 Lux Sarl, 2018 USD Term Loan (1 month LIBOR + 2.500%) 3.500%, 02/01/2024   131,829     131,088
          360,067
Consumer discretionary – 0.4%          
APX Group, Inc., 2021 Term Loan B (Prime rate + 2.500% and 1 month LIBOR + 3.500%) 4.005%, 07/10/2028   99,500     98,043
Caesars Resort Collection LLC, 2017 1st Lien Term Loan B (1 month LIBOR + 2.750%) 3.207%, 12/23/2024   106,560     105,894
Carnival Corp., 2021 Incremental Term Loan B (3 month LIBOR + 3.250%) 4.000%, 10/18/2028   99,750     97,381
Golden Entertainment, Inc., 2017 1st Lien Term Loan (1 month LIBOR + 3.000%) 4.000%, 10/21/2024   101,563     100,166
MajorDrive Holdings IV LLC, Term Loan B (3 month LIBOR + 4.000%) 4.563%, 06/01/2028   99,250     97,576
New Red Finance, Inc., Term Loan B4 (1 month LIBOR + 1.750%) 2.207%, 11/19/2026   208,282     203,552
Staples, Inc., 7 Year Term Loan (3 month LIBOR + 5.000%) 5.317%, 04/16/2026   124,845     117,731
 
  143  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (E) (continued)      
Consumer discretionary (continued)          
Verisure Holding AB, 2020 EUR Term Loan B (6 month EURIBOR + 3.250%) 3.250%, 07/20/2026 EUR 115,000   $ 124,317
          944,660
Consumer staples – 0.1%          
Brightview Landscapes LLC, 2018 1st Lien Term Loan B (1 month LIBOR + 2.500%) 3.000%, 08/15/2025 $ 167,047     165,585
Sunshine Luxembourg VII Sarl, 2021 Term Loan B3 (3 month LIBOR + 3.750%) 4.756%, 10/01/2026   196,515     195,041
          360,626
Financials – 0.1%          
Asurion LLC, 2018 Term Loan B6 (1 month LIBOR + 3.125%) 3.582%, 11/03/2023   100,649     99,945
Asurion LLC, 2020 Term Loan B8 (1 month LIBOR + 3.250%) 3.707%, 12/23/2026   98,750     96,487
Sedgwick Claims Management Services, Inc., 2019 Term Loan B (1 month LIBOR + 3.750%) 4.207%, 09/03/2026   131,288     130,262
          326,694
Health care – 0.4%          
ADMI Corp., 2021 Term Loan B2 (1 month LIBOR + 3.375%) 3.875%, 12/23/2027   99,000     97,160
Bausch Health Americas, Inc., 2018 Term Loan B (1 month LIBOR + 3.000%) 3.457%, 06/02/2025   61,813     61,246
Change Healthcare Holdings LLC, 2017 Term Loan B (1 month LIBOR + 2.500%) 3.500%, 03/01/2024   97,449     96,791
Elanco Animal Health, Inc., Term Loan B (1 month LIBOR + 1.750%) 1.981%, 08/01/2027   1,011     994
Endo Luxembourg Finance Company I Sarl, 2021 Term Loan (1 month LIBOR + 5.000%) 5.750%, 03/27/2028   143,399     134,004
Jazz Financing Lux Sarl, USD Term Loan (1 month LIBOR + 3.500%) 4.000%, 05/05/2028   99,250     98,791
Mozart Borrower LP, USD Term Loan B (1 month LIBOR + 3.250%) 3.750%, 10/23/2028   175,000     173,163
Pathway Vet Alliance LLC, 2021 Term Loan (1 month LIBOR + 3.750%) 4.207%, 03/31/2027   98,046     96,883
Zelis Payments Buyer, Inc., 2021 Term Loan (1 month LIBOR + 3.500%) 3.731%, 09/30/2026   123,438     122,049
          881,081
Industrials – 0.5%          
American Builders & Contractors Supply Company, Inc., 2019 Term Loan (1 month LIBOR + 2.000%) 2.457%, 01/15/2027   393,939     388,475
Brand Industrial Services, Inc., 2017 Term Loan (3 month LIBOR + 4.250%) 5.250%, 06/21/2024   190,500     181,425
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (E) (continued)      
Industrials (continued)          
Gardner Denver, Inc., 2020 USD Term Loan B2 (1 month LIBOR + 1.750%) 2.207%, 03/01/2027 $ 122,143   $ 119,930
Ingersoll-Rand Services Company, 2020 USD Spinco Term Loan (1 month LIBOR + 1.750%) 2.207%, 03/01/2027   143,970     141,361
The Dun & Bradstreet Corp., Term Loan (1 month LIBOR + 3.250%) 3.697%, 02/06/2026   196,759     194,686
TransDigm, Inc., 2020 Term Loan E (1 month LIBOR + 2.250%) 2.707%, 05/30/2025   95,730     93,906
          1,119,783
Information technology – 0.6%          
FleetCor Technologies Operating Company LLC, 2021 Term Loan B4 (1 month LIBOR + 1.750%) 2.195%, 04/28/2028   649     637
Gainwell Acquisition Corp., Term Loan B (3 month LIBOR + 4.000%) 5.006%, 10/01/2027   98,997     98,750
Go Daddy Operating Company LLC, 2017 Repriced Term Loan (1 month LIBOR + 1.750%) 1.959%, 02/15/2024   388,201     385,126
McAfee Corp., 2022 USD Term Loan B (3 month SOFR + 4.000%) 4.500%, 03/01/2029   105,000     104,081
Peraton Corp., Term Loan B (1 month LIBOR + 3.750%) 4.500%, 02/01/2028   97,211     96,391
Polaris Newco LLC, USD Term Loan B (1 month LIBOR + 4.000%) 4.500%, 06/02/2028   99,500     98,679
SS&C Technologies, Inc., 2018 Term Loan B3 (1 month LIBOR + 1.750%) 2.207%, 04/16/2025   100,952     99,265
SS&C Technologies, Inc., 2018 Term Loan B4 (1 month LIBOR + 1.750%) 2.207%, 04/16/2025   81,951     80,581
SS&C Technologies, Inc., 2018 Term Loan B5 (1 month LIBOR + 1.750%) 2.207%, 04/16/2025   97,231     95,571
UKG, Inc., Term Loan B (3 month LIBOR + 3.750%) 4.756%, 05/04/2026   97,500     97,031
WEX, Inc., 2021 Term Loan (1 month LIBOR + 2.250%) 2.707%, 03/31/2028   450,450     444,418
          1,600,530
Materials – 0.2%          
Axalta Coating Systems US Holdings, Inc., USD Term Loan B3 (3 month LIBOR + 1.750%) 2.756%, 06/01/2024   196,477     194,548
Proampac PG Borrower LLC, 2020 Term Loan (3 month LIBOR + 3.750%) 4.500%, 11/03/2025   99,250     96,893
Quikrete Holdings, Inc., 2021 Term Loan B1
06/11/2028 TBD (F)
  100,000     98,056
          389,497
TOTAL TERM LOANS (Cost $6,049,187)     $ 5,982,938
 
  144  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE OBLIGATIONS – 15.8%      
Commercial and residential – 13.4%          
Alternative Loan Trust          
Series 2005-27, Class 2A1 (12 month Treasury Average Index + 1.350%),
1.491%, 08/25/2035 (G)
$ 129,592   $ 117,867
Series 2005-56, Class 5A1 (1 month LIBOR + 0.640%),
1.097%, 11/25/2035 (G)
  59,702     51,810
Series 2005-72, Class A1 (1 month LIBOR + 0.540%),
0.997%, 01/25/2036 (G)
  16,594     16,305
Series 2005-7CB, Class 2A8 (1 month LIBOR + 0.450%),
0.907%, 03/01/2038 (G)
  104,613     86,821
Series 2006-9T1, Class A1,
5.750%, 05/25/2036
  66,688     37,195
American Home Mortgage Assets Trust          
Series 2006-3, Class 2A11 (12 month Treasury Average Index + 0.940%),
1.081%, 10/25/2046 (G)
  35,078     28,080
Series 2007-2, Class A1 (1 month LIBOR + 0.125%),
0.582%, 03/25/2047 (G)
  14,652     13,765
Angel Oak Mortgage Trust LLC          
Series 2019-2, Class A1,
3.628%, 03/25/2049 (C)(H)
  17,040     17,025
Series 2020-R1, Class A1,
0.990%, 04/25/2053 (C)(H)
  205,744     202,279
Series 2021-2, Class A1,
0.985%, 04/25/2066 (C)(H)
  186,137     177,556
Series 2021-4, Class A2,
1.241%, 01/20/2065 (C)(H)
  167,557     158,679
Series 2021-5, Class A1,
0.951%, 07/25/2066 (C)(H)
  438,709     414,091
Series 2021-6, Class A1,
1.458%, 09/25/2066 (C)(H)
  578,532     547,023
Series 2021-8, Class A1,
1.820%, 11/25/2066 (C)(H)
  294,306     275,578
Arroyo Mortgage Trust
Series 2019-2, Class A1
3.347%, 04/25/2049 (C)(H)
  266,246     259,788
BANK          
Series 2017-BNK8, Class XA IO,
0.725%, 11/15/2050
  4,426,652     148,046
Series 2019-BN18, Class XA IO,
0.897%, 05/15/2062
  1,413,362     73,582
Series 2019-BN20, Class XA IO,
0.853%, 09/15/2062
  2,436,711     121,684
Series 2019-BN22, Class XA IO,
0.598%, 11/15/2062
  2,437,735     92,553
Series 2019-BN23, Class XA IO,
0.695%, 12/15/2052
  1,922,714     85,315
Series 2019-BN24, Class XA IO,
0.644%, 11/15/2062
  1,185,326     50,336
Series 2020-BN28, Class XA IO,
1.782%, 03/15/2063
  2,594,431     302,140
Series 2021-BN31, Class A4,
2.036%, 02/15/2054
  285,000     256,649
BBCMS Mortgage Trust          
Series 2017-C1, Class XA IO,
1.437%, 02/15/2050
  3,155,449     173,337
Series 2017-DELC, Class A (1 month LIBOR + 0.850%),
1.247%, 08/15/2036 (C)(G)
  949,000     939,439
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
BCAP LLC Trust
Series 2006-AA2, Class A1 (1 month LIBOR + 0.340%)
0.797%, 01/25/2037 (G)
$ 91,604   $ 86,234
Bear Stearns ALT-A Trust
Series 2005-10, Class 11A1 (1 month LIBOR + 0.500%)
0.957%, 01/25/2036 (G)
  95,616     138,841
Bear Stearns Mortgage Funding Trust
Series 2006-AR3, Class 1A1 (1 month LIBOR + 0.180%)
0.637%, 10/25/2036 (G)
  7,770     7,319
Benchmark Mortgage Trust          
Series 2018-B1, Class XA IO,
0.492%, 01/15/2051
  1,298,196     29,464
Series 2018-B4, Class XA IO,
0.508%, 07/15/2051
  2,297,095     49,766
Series 2018-B8, Class XA IO,
0.642%, 01/15/2052
  4,742,880     156,521
Series 2019-B10, Class XA IO,
1.225%, 03/15/2062
  3,182,086     201,141
Series 2019-B12, Class XA IO,
1.061%, 08/15/2052
  1,091,197     57,332
Series 2020-B18, Class XA IO,
1.792%, 07/15/2053
  698,326     67,333
Series 2020-B22, Class XA IO,
1.519%, 01/15/2054
  1,163,086     121,796
BINOM Securitization Trust
Series 2021-INV1, Class A1
2.034%, 06/25/2056 (C)(H)
  198,117     188,767
BRAVO Residential Funding Trust          
Series 2021-NQM1, Class A1,
0.941%, 02/25/2049 (C)(H)
  135,629     131,615
Series 2021-NQM2, Class A1,
0.970%, 03/25/2060 (C)(H)
  175,344     171,149
BX Commercial Mortgage Trust
Series 2019-XL, Class A (1 month LIBOR + 0.920%)
1.317%, 10/15/2036 (C)(G)
  550,597     548,199
CAMB Commercial Mortgage Trust
Series 2019-LIFE, Class F (1 month LIBOR + 2.550%)
2.947%, 12/15/2037 (C)(G)
  355,000     348,923
Century Plaza Towers
Series 2019-CPT, Class A
2.865%, 11/13/2039 (C)
  345,000     325,554
Chase Mortgage Finance Trust
Series 2005-S3, Class A10
5.500%, 11/25/2035
  104,401     92,506
CHL Mortgage Pass-Through Trust          
Series 2005-2, Class 2A3 (1 month LIBOR + 0.680%),
1.137%, 03/25/2035 (G)
  27,777     25,657
Series 2007-HY4, Class 1A1,
2.887%, 09/25/2047 (H)
  63,677     60,196
CIM Trust
Series 2017-7, Class A
3.000%, 04/25/2057 (C)(H)
  109,193     109,559
Citigroup Commercial Mortgage Trust          
Series 2014-GC23, Class XA IO,
0.911%, 07/10/2047
  1,698,141     30,511
Series 2015-GC29, Class XA IO,
1.021%, 04/10/2048
  1,596,496     40,657
 
  145  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Citigroup Commercial
Mortgage Trust (continued)
         
Series 2016-C3, Class C,
4.095%, 11/15/2049 (H)
$ 288,000   $ 273,765
Citigroup Mortgage Loan Trust
Series 2019-E, Class A1
3.228%, 11/25/2070 (C)
  207,934     207,861
COLT Mortgage Loan Trust
Series 2021-3, Class A1
0.956%, 09/27/2066 (C)(H)
  463,558     429,370
Commercial Mortgage Trust (Bank of America Merrill Lynch/Deutsche Bank AG)
Series 2013-WWP, Class A2
3.424%, 03/10/2031 (C)
  800,000     807,220
Commercial Mortgage Trust (Cantor
Fitzgerald/Deutsche Bank AG)
         
Series 2014-CR16, Class A4,
4.051%, 04/10/2047
  480,000     486,479
Series 2014-CR17, Class A5,
3.977%, 05/10/2047
  390,000     395,201
Commercial Mortgage Trust (Deutsche
Bank AG)
         
Series 2013-300P, Class A1,
4.353%, 08/10/2030 (C)
  260,000     262,731
Series 2015-3BP, Class A,
3.178%, 02/10/2035 (C)
  580,000     569,926
Series 2022-HC, Class A,
2.819%, 01/10/2039 (C)
  100,000     95,957
Series 2022-HC, Class D,
3.896%, 01/10/2039 (C)(H)
  100,000     96,537
Credit Suisse Mortgage
Capital Certificates
         
Series 2017-FHA1, Class A1,
3.250%, 04/25/2047 (C)(H)
  175,907     170,840
Series 2021-NQM2, Class A1,
1.179%, 02/25/2066 (C)(H)
  389,838     375,985
Series 2021-NQM8, Class A1,
1.841%, 10/25/2066 (C)(H)
  281,352     268,575
Series 2021-RPL4, Class A1,
1.796%, 12/27/2060 (C)(H)
  166,994     158,947
Series 2022-NQM1, Class A1,
2.265%, 11/25/2066 (C)(H)
  651,215     626,353
CSAIL Commercial Mortgage Trust          
Series 2015-C1, Class A4,
3.505%, 04/15/2050
  15,000     15,031
Series 2015-C2, Class XA IO,
0.742%, 06/15/2057
  4,925,856     88,346
Series 2016-C6, Class XA IO,
1.866%, 01/15/2049
  1,070,908     64,993
DBJPM Mortgage Trust
Series 2020-C9, Class XA IO
1.712%, 09/15/2053
  528,701     45,356
Deephaven Residential Mortgage Trust
Series 2021-2, Class A1
0.899%, 04/25/2066 (C)(H)
  128,924     121,263
Deutsche Alt-A Securities Mortgage Loan Trust
Series 2007-AR2, Class A1 (1 month LIBOR + 0.300%)
0.757%, 03/25/2037 (G)
  42,485     42,708
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Ellington Financial Mortgage Trust          
Series 2021-2, Class A1,
0.931%, 06/25/2066 (C)(H)
$ 111,955   $ 104,700
Series 2022-1, Class A1,
2.206%, 01/25/2067 (C)(H)
  307,192     290,691
GCAT Trust          
Series 2021-NQM2, Class A1,
1.036%, 05/25/2066 (C)(H)
  243,360     230,154
Series 2021-NQM3, Class A1,
1.091%, 05/25/2066 (C)(H)
  338,646     320,500
Series 2021-NQM7, Class A1,
1.915%, 08/25/2066 (C)(H)
  250,435     243,229
GMACM Mortgage Loan Trust
Series 2006-AR1, Class 1A1
2.893%, 04/19/2036 (H)
  103,924     87,158
GS Mortgage Securities Trust          
Series 2012-ALOH, Class A,
3.551%, 04/10/2034 (C)
  670,000     669,704
Series 2014-GC20, Class A5,
3.998%, 04/10/2047
  395,000     399,049
GSR Mortgage Loan Trust          
Series 2006-AR1, Class 2A1,
2.871%, 01/25/2036 (H)
  3,584     3,651
Series 2007-1F, Class 4A1 (1 month LIBOR + 0.300%),
0.757%, 01/25/2037 (G)
  79,608     18,244
HarborView Mortgage Loan Trust          
Series 2005-8, Class 1A2A (1 month LIBOR + 0.660%),
1.109%, 09/19/2035 (G)
  22,893     18,180
Series 2006-12, Class 2A13 (1 month LIBOR + 0.240%),
0.689%, 12/19/2036 (G)
  139,659     142,171
Series 2006-12, Class 2A2A (1 month LIBOR + 0.190%),
0.639%, 01/19/2038 (G)
  51,200     48,443
Series 2007-7, Class 2A1B (1 month LIBOR + 1.000%),
1.457%, 10/25/2037 (G)
  54,864     50,445
Home Re, Ltd.
Series 2018-1, Class M1 (1 month LIBOR + 1.600%)
2.057%, 10/25/2028 (C)(G)
  108,016     107,834
Imperial Fund Mortgage Trust          
Series 2021-NQM2, Class A1,
1.073%, 09/25/2056 (C)(H)
  243,078     224,554
Series 2022-NQM2, Class A1,
3.638%, 03/25/2067 (C)
  640,000     632,630
IndyMac INDA Mortgage Loan Trust
Series 2006-AR3, Class 1A1
2.920%, 12/25/2036 (H)
  36,305     33,796
JPMBB Commercial Mortgage Securities Trust
Series 2014-C19, Class A4
3.997%, 04/15/2047
  395,000     398,733
JPMorgan Chase Commercial Mortgage Securities Trust
Series 2020-NNN, Class AFX
2.812%, 01/16/2037 (C)
  160,000     155,285
JPMorgan Mortgage Trust
Series 2006-A3, Class 3A2
3.067%, 05/25/2036 (H)
  7,847     6,922
 
  146  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Legacy Mortgage Asset Trust          
Series 2019-GS6, Class A1 (3.000% until 8-25-22, then 6.000% until 8-25-23, then 7.000% thereafter),
3.000%, 06/25/2059 (C)
$ 312,584   $ 311,950
Series 2019-GS7, Class A1,
3.250%, 11/25/2059 (C)
  427,985     426,047
Series 2021-GS2, Class A1,
1.750%, 04/25/2061 (C)
  168,553     160,696
Series 2021-GS3, Class A1,
1.750%, 07/25/2061 (C)
  214,990     204,643
Series 2021-GS4, Class A1,
1.650%, 11/25/2060 (C)
  112,408     106,067
Lehman XS Trust
Series 2006-16N, Class A4A (1 month LIBOR + 0.380%)
0.837%, 11/25/2046 (G)
  116,071     109,324
LSTAR Securities Investment Trust          
Series 2019-3, Class A1 (1 month LIBOR + 2.500%),
2.731%, 04/01/2024 (C)(G)
  146,279     147,350
Series 2019-4, Class A1 (1 month LIBOR + 2.500%),
2.731%, 05/01/2024 (C)(G)
  293,516     297,111
Series 2021-1, Class A (1 month LIBOR + 1.800%),
2.031%, 02/01/2026 (C)(G)
  267,983     268,692
Luminent Mortgage Trust
Series 2006-4, Class A1A (1 month LIBOR + 0.380%)
0.837%, 05/25/2046 (G)
  101,471     91,403
MASTR Adjustable Rate Mortgages Trust
Series 2004-13, Class 3A7
2.759%, 11/21/2034 (H)
  15,775     15,728
MFA Trust          
Series 2020-NQM3, Class A1,
1.014%, 01/26/2065 (C)(H)
  45,318     44,282
Series 2021-NQM1, Class A1,
1.153%, 04/25/2065 (C)(H)
  183,674     180,475
Series 2021-NQM2, Class A1,
1.029%, 11/25/2064 (C)(H)
  197,423     186,734
Morgan Stanley Bank of America Merrill Lynch Trust
Series 2014-C19, Class XA IO
0.959%, 12/15/2047
  968,900     19,208
Morgan Stanley Capital I Trust          
Series 2014-150E, Class A,
3.912%, 09/09/2032 (C)
  610,000     605,300
Series 2017-H1, Class XA IO,
1.341%, 06/15/2050
  699,907     33,167
MTRO Commercial Mortgage Trust
Series 2019-TECH, Class D (1 month LIBOR + 1.800%)
2.197%, 12/15/2033 (C)(G)
  300,000     290,905
New Residential Mortgage Loan Trust          
Series 2016-2A, Class A1,
3.750%, 11/26/2035 (C)(H)
  207,917     207,817
Series 2016-4A, Class A1,
3.750%, 11/25/2056 (C)(H)
  222,549     224,404
Series 2017-1A, Class A1,
4.000%, 02/25/2057 (C)(H)
  396,801     397,576
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
New Residential Mortgage
Loan Trust (continued)
         
Series 2017-2A, Class A3,
4.000%, 03/25/2057 (C)(H)
$ 373,707   $ 374,582
Series 2017-3A, Class A1,
4.000%, 04/25/2057 (C)(H)
  293,397     294,231
Series 2017-4A, Class A1,
4.000%, 05/25/2057 (C)(H)
  202,449     202,737
Series 2017-5A, Class A1 (1 month LIBOR + 1.500%),
1.957%, 06/25/2057 (C)(G)
  198,045     199,668
Series 2017-6A, Class A1,
4.000%, 08/27/2057 (C)(H)
  349,849     351,828
Series 2018-1A, Class A1A,
4.000%, 12/25/2057 (C)(H)
  151,158     152,396
Series 2018-4A, Class A1S (1 month LIBOR + 0.750%),
1.207%, 01/25/2048 (C)(G)
  282,867     281,029
Series 2019-5A, Class A1B,
3.500%, 08/25/2059 (C)(H)
  220,945     220,110
Series 2019-NQM4, Class A1,
2.492%, 09/25/2059 (C)(H)
  59,812     59,445
Series 2021-NQ2R, Class A1,
0.941%, 10/25/2058 (C)(H)
  152,231     148,395
NMLT Trust
Series 2021-INV1, Class A1
1.185%, 05/25/2056 (C)(H)
  490,866     460,900
Oaktown Re II, Ltd.
Series 2018-1A, Class M1 (1 month LIBOR + 1.550%)
2.007%, 07/25/2028 (C)(G)
  93,982     93,859
Oaktown Re III, Ltd.
Series 2019-1A, Class M1A (1 month LIBOR + 1.400%)
1.857%, 07/25/2029 (C)(G)
  32,514     32,512
OBX Trust          
Series 2021-NQM1, Class A1,
1.072%, 02/25/2066 (C)(H)
  356,823     345,493
Series 2021-NQM3, Class A1,
1.054%, 07/25/2061 (C)(H)
  293,621     275,428
Series 2022-NQM1, Class A1,
2.305%, 11/25/2061 (C)(H)
  567,198     548,489
PRPM LLC          
Series 2020-6, Class A1,
2.363%, 11/25/2025 (C)
  87,905     85,526
Series 2021-3, Class A1,
1.867%, 04/25/2026 (C)
  241,863     231,071
Series 2021-4, Class A1,
1.867%, 04/25/2026 (C)
  320,334     304,872
Series 2021-9, Class A1,
2.363%, 10/25/2026 (C)(H)
  588,521     562,505
RALI Series Trust
Series 2007-QH7, Class 1A1 (1 month LIBOR + 0.500%)
0.957%, 08/25/2037 (G)
  46,246     43,442
RCO VII Mortgage LLC
Series 2021-1, Class A1
1.868%, 05/26/2026 (C)
  218,748     212,579
Seasoned Credit Risk Transfer Trust
Series 2019-3, Class MV
3.500%, 10/25/2058
  121,814     123,866
 
  147  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
SG Commercial Mortgage Securities Trust
Series 2020-COVE, Class A
2.632%, 03/15/2037 (C)
$ 645,000   $ 625,946
SG Residential Mortgage Trust
Series 2021-1, Class A1
1.160%, 07/25/2061 (C)(H)
  423,127     399,470
Starwood Mortgage Residential Trust          
Series 2021-1, Class A1,
1.219%, 05/25/2065 (C)(H)
  326,690     320,001
Series 2021-2, Class A1,
0.943%, 05/25/2065 (C)(H)
  117,394     114,713
Series 2021-6, Class A1,
1.920%, 11/25/2066 (C)(H)
  443,598     418,074
Toorak Mortgage Corp., Ltd.
Series 2021-1, Class A1
2.240%, 06/25/2024 (C)
  330,000     312,310
Towd Point Mortgage Trust          
Series 2016-2, Class A1A,
2.750%, 08/25/2055 (C)(H)
  13,133     13,121
Series 2017-1, Class A1,
2.750%, 10/25/2056 (C)(H)
  187,234     187,231
Series 2017-2, Class A1,
2.750%, 04/25/2057 (C)(H)
  46,744     46,770
Series 2017-3, Class A1,
2.750%, 07/25/2057 (C)(H)
  110,810     110,904
Series 2017-4, Class A1,
2.750%, 06/25/2057 (C)(H)
  227,224     225,579
Series 2017-5, Class A1 (1 month LIBOR + 0.600%),
1.057%, 02/25/2057 (C)(G)
  137,634     137,120
Series 2021-R1, Class A1,
2.918%, 11/30/2060 (C)(H)
  629,917     607,207
Triangle Re, Ltd.
Series 2021-2, Class M1A (1 month LIBOR + 2.050%)
2.507%, 10/25/2033 (C)(G)
  265,000     264,620
Verus Securitization Trust          
Series 2021-2, Class A1,
1.031%, 02/25/2066 (C)(H)
  160,522     154,521
Series 2021-8, Class A1,
1.824%, 11/25/2066 (C)(H)
  317,182     303,508
Series 2021-R2, Class A1,
0.918%, 02/25/2064 (C)(H)
  180,154     176,415
Series 2022-1, Class A1,
2.724%, 01/25/2067 (C)
  410,844     399,299
WaMu Mortgage Pass-Through Certificates
Series 2007-HY6, Class 1A1
2.811%, 06/25/2037 (H)
  12,844     12,286
Washington Mutual Mortgage Pass-Through Certificates
Series 2006-5, Class 1A1 (1 month LIBOR + 0.600%)
1.057%, 07/25/2036 (G)
  20,625     13,960
Wells Fargo Commercial Mortgage Trust          
Series 2014-LC16, Class A5,
3.817%, 08/15/2050
  310,000     312,328
Series 2015-NXS1, Class D,
4.152%, 05/15/2048 (H)
  40,000     38,000
Series 2015-NXS1, Class XA IO,
1.084%, 05/15/2048
  1,496,018     38,375
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Wells Fargo Commercial
Mortgage Trust (continued)
         
Series 2015-NXS3, Class XA IO,
0.900%, 09/15/2057
$ 2,592,851   $ 66,619
WF-RBS Commercial Mortgage Trust
Series 2014-C19, Class A5
4.101%, 03/15/2047
  304,634     309,522
          32,967,241
U.S. Government Agency – 2.4%          
Federal Home Loan Mortgage Corp.          
Series 2018-HRP1, Class M2 (1 month LIBOR + 1.650%),
2.107%, 04/25/2043 (C)(G)
  50,571     50,444
Series 2019-DNA2, Class M2 (1 month LIBOR + 2.450%),
2.907%, 03/25/2049 (C)(G)
  277,276     277,619
Series 2019-DNA3, Class M2 (1 month LIBOR + 2.050%),
2.507%, 07/25/2049 (C)(G)
  204,724     204,724
Series 2019-HQA1, Class M2 (1 month LIBOR + 2.350%),
2.807%, 02/25/2049 (C)(G)
  448,830     448,830
Series 2019-HQA3, Class M2 (1 month LIBOR + 1.850%),
2.307%, 09/25/2049 (C)(G)
  180,853     180,570
Series 3883, Class PB,
3.000%, 05/15/2041
  70,235     69,716
Series 4139, Class PA,
2.500%, 11/15/2041
  249,788     248,116
Series K064, Class X1 IO,
0.605%, 03/25/2027
  2,182,588     56,592
Series K068, Class A2,
3.244%, 08/25/2027
  545,000     557,108
Series K104, Class X1 IO,
1.125%, 01/25/2030
  1,308,192     94,136
Series K111, Class X1 IO,
1.571%, 05/25/2030
  550,596     57,567
Series K114, Class X1 IO,
1.117%, 06/25/2030
  1,600,682     121,255
Series K121, Class X1 IO,
1.025%, 10/25/2030
  849,244     59,564
Series K122, Class X1 IO,
0.882%, 11/25/2030
  479,108     29,425
Series K124, Class X1 IO,
0.721%, 12/25/2030
  1,909,327     99,255
Federal National Mortgage Association          
Series 2012-18, Class GA,
2.000%, 12/25/2041
  78,570     75,526
Series 2012-21, Class PQ,
2.000%, 09/25/2041
  47,388     45,688
Series 2012-52, Class PA,
3.500%, 05/25/2042
  65,244     65,681
Series 2012-75, Class KC,
2.500%, 12/25/2041
  71,796     70,488
Series 2014-C04, Class 1M2 (1 month LIBOR + 4.900%),
5.357%, 11/25/2024 (G)
  49,151     50,602
Series 2015-48, Class QB,
3.000%, 02/25/2043
  116,900     117,096
Series 2015-C04, Class 1M2 (1 month LIBOR + 5.700%),
6.157%, 04/25/2028 (G)
  40,227     43,029
 
  148  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal National
Mortgage Association (continued)
         
Series 2016-11, Class GA,
2.500%, 03/25/2046
$ 106,809   $ 104,413
Series 2016-38, Class NA ,
3.000%, 01/25/2046
  54,217     54,331
Series 2016-C02, Class 1M2 (1 month LIBOR + 6.000%),
6.457%, 09/25/2028 (G)
  21,122     22,265
Series 2016-C07, Class 2M2 (1 month LIBOR + 4.350%),
4.807%, 05/25/2029 (G)
  256,629     267,389
Series 2017-26, Class CG,
3.500%, 07/25/2044
  85,057     85,509
Series 2017-34, Class JK,
3.000%, 05/25/2047
  50,920     50,420
Series 2017-35, Class AH,
3.500%, 04/25/2053
  107,620     107,587
Series 2017-49, Class JA,
4.000%, 07/25/2053
  94,268     95,007
Series 2017-84, Class KA,
3.500%, 04/25/2053
  97,470     96,944
Series 2017-96, Class PA,
3.000%, 12/25/2054
  162,664     161,533
Series 2017-C01, Class 1M2 (1 month LIBOR + 3.550%),
4.007%, 07/25/2029 (G)
  144,249     146,839
Series 2018-19, Class DC,
3.500%, 05/25/2056
  78,065     77,659
Series 2018-23, Class LA,
3.500%, 04/25/2048
  143,031     142,149
Series 2018-38, Class PC,
3.500%, 03/25/2045
  8,363     8,381
Series 2018-70, Class HA,
3.500%, 10/25/2056
  117,480     117,290
Series 2018-77, Class PA,
3.500%, 02/25/2048
  38,075     38,106
Series 2018-80, Class GD,
3.500%, 12/25/2047
  77,159     76,667
Series 2019-12, Class HA,
3.500%, 11/25/2057
  170,465     171,841
Series 2019-14, Class CA,
3.500%, 04/25/2049
  190,798     193,762
Series 2019-45, Class PT,
3.000%, 08/25/2049
  168,555     165,441
Series 2019-7, Class CA,
3.500%, 11/25/2057
  140,002     142,326
Series 2019-7, Class JA,
3.500%, 03/25/2049
  157,573     157,361
Series 2019-HRP1, Class M2 (1 month LIBOR + 2.150%),
2.607%, 11/25/2039 (C)(G)
  124,432     122,644
Series 2019-R03, Class 1M2 (1 month LIBOR + 2.150%),
2.607%, 09/25/2031 (C)(G)
  30,456     30,456
Series 2019-R04, Class 2M2 (1 month LIBOR + 2.100%),
2.557%, 06/25/2039 (C)(G)
  5,115     5,115
Series 415, Class A3,
3.000%, 11/25/2042
  130,120     129,810
Government National
Mortgage Association
         
Series 2006-38, Class XS IO,
6.819%, 09/16/2035
  26,416     2,210
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
Series 2013-37, Class LG,
2.000%, 01/20/2042
$ 92,854   $ 92,183
          5,888,669
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $40,175,753)   $ 38,855,910
ASSET BACKED SECURITIES – 8.9%      
AASET Trust
Series 2020-1A, Class A
3.351%, 01/16/2040 (C)
  196,201     172,531
ABFC Trust
Series 2006-HE1, Class A2D (1 month LIBOR + 0.220%)
0.677%, 01/25/2037 (G)
  101,503     66,737
Affirm Asset Securitization Trust          
Series 2020-Z1, Class A
3.460%, 10/15/2024 (C)
  61,132     61,347
Series 2020-Z2, Class A
1.900%, 01/15/2025 (C)
  137,541     136,162
AmeriCredit Automobile Receivables Trust
Series 2019-3, Class D
2.580%, 09/18/2025
  295,000     293,738
Atrium XII
Series 12A, Class AR (3 month LIBOR + 0.830%)
1.089%, 04/22/2027 (C)(G)
  683,900     681,799
Avant Loans Funding Trust
Series 2021-REV1, Class A
1.210%, 07/15/2030 (C)
  225,000     217,433
Bain Capital Credit CLO, Ltd.
Series 2017-2A, Class AR2 (3 month LIBOR + 1.180%)
1.438%, 07/25/2034 (C)(G)
  650,000     643,519
Bayview Koitere Fund Trust          
Series 2017-RT4, Class A
3.500%, 07/28/2057 (C)(H)
  283,666     281,838
Series 2017-SPL3, Class A
4.000%, 11/28/2053 (C)(H)
  107,847     107,041
Bayview Mortgage Fund IVc Trust
Series 2017-RT3, Class A
3.500%, 01/28/2058 (C)(H)
  179,962     177,280
Bayview Opportunity Master Fund
IVa Trust
         
Series 2017-SPL1, Class A
4.000%, 10/28/2064 (C)(H)
  251,797     249,093
Series 2017-SPL5, Class A
3.500%, 06/28/2057 (C)(H)
  137,810     137,138
Bayview Opportunity Master Fund IVb Trust
Series 2017-SPL4, Class A
3.500%, 01/28/2055 (C)(H)
  118,457     117,690
BlueMountain CLO XXIV, Ltd.
Series 2019-24A, Class AR (3 month LIBOR + 1.100%)
1.354%, 04/20/2034 (C)(G)
  415,000     409,980
BlueMountain CLO XXXI, Ltd.
Series 2021-31A, Class A1 (3 month LIBOR + 1.150%)
1.398%, 04/19/2034 (C)(G)
  810,000     804,328
 
  149  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Buckhorn Park CLO, Ltd.
Series 2019-1A, Class AR (3 month LIBOR + 1.120%)
1.361%, 07/18/2034 (C)(G)
$ 550,000   $ 546,871
CF Hippolyta LLC
Series 2020-1, Class A2
1.990%, 07/15/2060 (C)
  131,257     120,620
CIFC Funding, Ltd.
Series 2017-2A, Class AR (3 month LIBOR + 0.950%)
1.204%, 04/20/2030 (C)(G)
  900,000     895,405
Credit Acceptance Auto Loan Trust
Series 2021-3A, Class A
1.000%, 05/15/2030 (C)
  250,000     241,253
Domino's Pizza Master Issuer LLC          
Series 2018-1A, Class A2I
4.116%, 07/25/2048 (C)
  357,975     359,661
Series 2019-1A, Class A2
3.668%, 10/25/2049 (C)
  171,500     164,413
Series 2021-1A, Class A2I
2.662%, 04/25/2051 (C)
  267,975     248,444
Drive Auto Receivables Trust
Series 2019-4, Class D
2.700%, 02/16/2027
  255,000     254,787
Exeter Automobile Receivables Trust          
Series 2019-4A, Class D
2.580%, 09/15/2025 (C)
  570,000     567,953
Series 2020-1A, Class D
2.730%, 12/15/2025 (C)
  170,000     169,331
First Franklin Mortgage Loan Trust
Series 2006-FF12, Class A5 (1 month LIBOR + 0.310%)
0.767%, 09/25/2036 (G)
  217,842     208,153
Galaxy XXIII CLO, Ltd.
Series 2017-23A, Class AR (3 month LIBOR + 0.870%)
1.129%, 04/24/2029 (C)(G)
  785,535     782,795
GSAA Home Equity Trust          
Series 2006-10, Class AF3
5.985%, 06/25/2036 (H)
  142,280     49,584
Series 2006-15, Class AF6
6.376%, 09/25/2036
  359,643     127,906
Series 2006-20, Class 2A1A (1 month LIBOR + 0.100%)
0.557%, 12/25/2046 (G)
  204,387     119,748
GSAA Trust
Series 2005-7, Class AF4
5.558%, 05/25/2035
  195,467     193,633
GSAMP Trust
Series 2007-FM2, Class A2B (1 month LIBOR + 0.090%)
0.547%, 01/25/2037 (G)
  197,811     138,724
LCM XX LP
Series 2020-A, Class AR (3 month LIBOR + 1.040%)
1.294%, 10/20/2027 (C)(G)
  211,303     210,687
Madison Park Funding XXXVIII, Ltd.
Series 2021-38A, Class A (3 month LIBOR + 1.120%)
1.361%, 07/17/2034 (C)(G)
  655,000     650,205
Marlette Funding Trust
Series 2021-2A, Class B
1.060%, 09/15/2031 (C)
  120,000     116,238
Mercury Financial Credit Card Master Trust
Series 2021-1A, Class A
1.540%, 03/20/2026 (C)
  250,000     242,594
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
MF1, Ltd.
Series 2022-FL8, Class AS (1 month SOFR + 1.750%)
1.800%, 02/19/2037 (C)(G)
$ 335,000   $ 333,897
MFA LLC
Series 2021-NPL1, Class A1
2.363%, 03/25/2060 (C)
  456,805     446,340
Navient Private Education Refi Loan Trust
Series 2021-EA, Class A
0.970%, 12/16/2069 (C)
  203,264     191,333
NRZ Excess Spread-Collateralized Notes
Series 2020-PLS1, Class A
3.844%, 12/25/2025 (C)
  65,137     63,399
OZLM XII, Ltd.
Series 2015-12A, Class A1R (3 month LIBOR + 1.050%)
1.349%, 04/30/2027 (C)(G)
  132,327     132,311
PRET LLC          
Series 2021-NPL3, Class A1
1.868%, 07/25/2051 (C)
  237,055     224,433
Series 2021-NPL6, Class A1
2.487%, 07/25/2051 (C)
  292,441     283,622
Pretium Mortgage Credit Partners LLC
Series 2022-NPL1, Class A1
2.981%, 01/25/2052 (C)
  644,236     623,277
Regatta VI Funding, Ltd.
Series 2016-1A, Class AR2 (3 month LIBOR + 1.160%)
1.414%, 04/20/2034 (C)(G)
  595,000     588,721
RR 1 LLC
Series 2017-1A, Class A1AB (3 month LIBOR + 1.150%)
1.391%, 07/15/2035 (C)(G)
  675,000     671,624
RR 16, Ltd.
Series 2021-16A, Class A1 (3 month LIBOR + 1.110%)
1.351%, 07/15/2036 (C)(G)
  585,000     581,081
Santander Drive Auto Receivables Trust
Series 2020-4, Class D
1.480%, 01/15/2027
  75,000     72,982
Securitized Asset Backed Receivables LLC Trust
Series 2006-HE1, Class A2B (1 month LIBOR + 0.180%)
0.637%, 07/25/2036 (G)
  126,718     53,836
Sound Point CLO XXIX, Ltd.
Series 2021-1A, Class A (3 month LIBOR + 1.070%)
1.328%, 04/25/2034 (C)(G)
  655,000     649,380
Soundview Home Loan Trust
Series 2007-OPT2, Class 2A3 (1 month LIBOR + 0.180%)
0.637%, 07/25/2037 (G)
  26,364     24,711
Summit Issuer LLC
Series 2020-1A, Class A2
2.290%, 12/20/2050 (C)
  155,000     146,075
THL Credit Wind River CLO, Ltd.
Series 2020-1A, Class A (3 month LIBOR + 1.430%)
1.684%, 10/20/2033 (C)(G)
  520,000     517,852
TICP CLO III-2, Ltd.
Series 2018-3R, Class A (3 month LIBOR + 0.840%)
1.094%, 04/20/2028 (C)(G)
  185,902     185,782
 
  150  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
VCAT LLC          
Series 2021-NPL2, Class A1
2.115%, 03/27/2051 (C)
$ 95,261   $ 92,293
Series 2021-NPL3, Class A1
1.743%, 05/25/2051 (C)
  295,723     281,513
Venture 42 CLO, Ltd.
Series 2021-42A, Class A1A (3 month LIBOR + 1.130%)
1.371%, 04/15/2034 (C)(G)
  655,000     646,512
Venture 43 CLO, Ltd.
Series 2021-43A, Class A1 (3 month LIBOR + 1.240%)
1.481%, 04/15/2034 (C)(G)
  260,000     259,221
Venture XXI CLO, Ltd.
Series 2015-21A, Class AR (3 month LIBOR + 0.880%)
1.121%, 07/15/2027 (C)(G)
  160,401     160,297
Vericrest Opportunity Loan Transferee
Series 2021-NP11, Class A1
1.868%, 08/25/2051 (C)
  517,544     494,704
Verus Securitization Trust
Series 2020-NPL1, Class A1
3.598%, 08/25/2050 (C)
  39,298     39,250
VOLT CIII LLC
Series 2021-CF1, Class A1
1.992%, 08/25/2051 (C)
  366,767     351,533
VOLT XCIV LLC
Series 2021-NPL3, Class A1
2.240%, 02/27/2051 (C)
  297,472     285,785
Voya CLO, Ltd.
Series 2015-1A, Class A1R (3 month LIBOR + 0.900%)
1.141%, 01/18/2029 (C)(G)
  611,580     609,445
Wellfleet CLO X, Ltd.
Series 2019-XA, Class A1R (3 month LIBOR + 1.170%)
1.424%, 07/20/2032 (C)(G)
  520,000     514,219
Wendy's Funding LLC          
Series 2018-1A, Class A2II
3.884%, 03/15/2048 (C)
  225,013     222,542
Series 2021-1A, Class A2I
2.370%, 06/15/2051 (C)
  580,613     516,404
Westlake Automobile Receivables Trust          
Series 2019-3A, Class D
2.720%, 11/15/2024 (C)
  420,000     420,748
Series 2020-3A, Class D
1.650%, 02/17/2026 (C)
  215,000     208,314
Wingstop Funding LLC
Series 2020-1A, Class A2
2.841%, 12/05/2050 (C)
  99,500     92,284
TOTAL ASSET BACKED SECURITIES (Cost $22,565,049)     $ 21,952,379
COMMON STOCKS – 0.0%        
Energy – 0.0%          
Foresight Energy LLC (I)   895     14,318
TOTAL COMMON STOCKS (Cost $119,522)   $ 14,318
SHORT-TERM INVESTMENTS – 1.3%      
Short-term funds – 0.2%          
John Hancock Collateral Trust, 0.3592% (J)(K)   53,803     537,970
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS (continued)      
Repurchase agreement – 1.1%          
Deutsche Bank Tri-Party Repurchase Agreement dated 3-31-22 at 0.300% to be repurchased at $2,600,022 on 4-1-22, collateralized by $2,771,093 Federal National Mortgage Association, 2.500% due 4-1-51 (valued at $2,652,001) $ 2,600,000   $ 2,600,000
TOTAL SHORT-TERM INVESTMENTS (Cost $3,137,937)   $ 3,137,970
Total Investments (Investment Quality Bond Trust)
(Cost $350,560,214) – 136.7%
  $ 336,604,528
Other assets and liabilities, net – (36.7%)       (90,383,012)
TOTAL NET ASSETS – 100.0%       $ 246,221,516
Currency Abbreviations
BRL Brazilian Real
EUR Euro
MXN Mexican Peso
Security Abbreviations and Legend
CMT Constant Maturity Treasury
EURIBOR Euro Interbank Offered Rate
GO General Obligation
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
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 segregated at the custodian as collateral for certain derivatives.
(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 $75,543,936 or 30.7% of the fund's net assets as of 3-31-22.
(D) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $524,033.
(E) Term loans are variable rate obligations. The coupon rate shown represents the rate at period end.
(F) 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).
(G) Variable rate obligation. The coupon rate shown represents the rate at period end.
(H) 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.
(I) Non-income producing security.
(J) The rate shown is the annualized seven-day yield as of 3-31-22.
(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.
 
  151  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
2-Year U.S. Treasury Note Futures 51 Long Jun 2022 $10,924,805 $10,808,016 $(116,789)
5-Year U.S. Treasury Note Futures 110 Long Jun 2022 12,964,133 12,615,625 (348,508)
10-Year U.S. Treasury Note Futures 162 Short Jun 2022 (20,142,473) (19,905,750) 236,723
Euro-Buxl Futures 6 Short Jun 2022 (1,326,363) (1,235,902) 90,461
German Euro BUND Futures 35 Short Jun 2022 (6,368,169) (6,143,116) 225,053
U.S. Treasury Long Bond Futures 70 Short Jun 2022 (10,807,711) (10,504,375) 303,336
Ultra U.S. Treasury Bond Futures 22 Short Jun 2022 (3,069,538) (2,980,313) 89,225
Ultra U.S. Treasury Bond Futures 102 Short Jun 2022 (18,608,571) (18,066,750) 541,821
            $1,021,322
    
^ 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
EUR 167,000  USD 184,188  DB 6/15/2022  $1,055  — 
EUR 117,000  USD 128,273  NWM 6/15/2022  1,508  — 
EUR 229,000  USD 254,187  SCB 6/15/2022  —  $(171)
EUR 72,000  USD 79,112  SSB 6/15/2022  753  — 
USD 995,336  BRL 5,165,000  CITI 6/15/2022  —  (67,583)
USD 126,247  EUR 114,000  DB 4/29/2022  42  — 
USD 6,530,973  EUR 5,828,000  DB 6/15/2022  66,336  — 
USD 250,766  EUR 228,000  MSI 6/15/2022  —  (2,140)
USD 1,106,464  MXN 23,490,000  CITI 6/15/2022  —  (59,551)
            $69,694  $(129,445)
    
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
Centrally cleared 4,255,000 USD Fixed 1.380% USD Compounded SOFR Annual Annual Dec 2031 $(24,523) $283,524 $259,001
Centrally cleared 2,185,000 USD Fixed 1.560% USD Compounded SOFR Annual Annual Dec 2041 (12,055) 195,307 183,252
Centrally cleared 1,320,000 USD Fixed 1.560% USD Compounded SOFR Annual Annual Dec 2051 (8,182) 127,276 119,094
                $(44,760) $606,107 $561,347
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
Centrally cleared CDX.EM.35 1,325,000 USD $1,325,000 1.000% Quarterly Jun 2026 $34,315 $66,409 $100,724
        $1,325,000       $34,315 $66,409 $100,724
Derivatives Currency Abbreviations
BRL Brazilian Real
EUR Euro
MXN Mexican Peso
USD U.S. Dollar
  152  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
Derivatives Abbreviations
CITI Citibank, N.A.
DB Deutsche Bank AG
MSI Morgan Stanley & Co. International PLC
NWM NatWest Markets PLC
OTC Over-the-counter
SCB Standard Chartered Bank
SOFR Secured Overnight Financing Rate
SSB State Street Bank and Trust Company
Lifestyle Balanced Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 100.0%      
Equity - 50.4%      
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (B) 25,719,061   $ 549,616,328
Fixed income - 49.6%      
Select Bond, Series NAV, JHVIT (MIM US) (B) 41,365,657     541,062,797
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $1,037,218,262)   $ 1,090,679,125
Total Investments (Lifestyle Balanced Portfolio) (Cost $1,037,218,262) - 100.0%     $ 1,090,679,125
Other assets and liabilities, net - (0.0%)       (56,276)
TOTAL NET ASSETS - 100.0%       $ 1,090,622,849
Security Abbreviations and Legend
JHVIT John Hancock Variable Insurance Trust
MIM US Manulife Investment Management (US) LLC
(A) The underlying portfolios' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
Lifestyle Conservative Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 100.0%      
Equity - 20.2%      
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (B) 1,954,770   $ 41,773,434
Fixed income - 79.8%      
Select Bond, Series NAV, JHVIT (MIM US) (B) 12,606,333     164,890,835
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $213,647,042)   $ 206,664,269
SHORT-TERM INVESTMENTS - 0.0%      
Short-term funds - 0.0%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (C) 93     93
TOTAL SHORT-TERM INVESTMENTS (Cost $93)   $ 93
Total Investments (Lifestyle Conservative Portfolio) (Cost $213,647,135) - 100.0%     $ 206,664,362
Other assets and liabilities, net - (0.0%)       (26,604)
TOTAL NET ASSETS - 100.0%       $ 206,637,758
Security Abbreviations and Legend
JHVIT John Hancock Variable Insurance Trust
MIM US Manulife Investment Management (US) LLC
(A) The underlying portfolios' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
Lifestyle Conservative Portfolio (continued)
(C) The rate shown is the annualized seven-day yield as of 3-31-22.
Lifestyle Growth Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 100.0%      
Equity - 70.4%      
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (B) 194,257,958   $ 4,151,292,561
Fixed income - 29.6%      
Select Bond, Series NAV, JHVIT (MIM US) (B) 133,365,638     1,744,422,546
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $5,322,653,354)   $ 5,895,715,107
Total Investments (Lifestyle Growth Portfolio) (Cost $5,322,653,354) - 100.0%     $ 5,895,715,107
Other assets and liabilities, net - (0.0%)       (213,710)
TOTAL NET ASSETS - 100.0%       $ 5,895,501,397
Security Abbreviations and Legend
JHVIT John Hancock Variable Insurance Trust
MIM US Manulife Investment Management (US) LLC
(A) The underlying portfolios' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
Lifestyle Moderate Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 100.0%      
Equity - 40.3%      
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (B) 6,205,354   $ 132,608,420
Fixed income - 59.7%      
Select Bond, Series NAV, JHVIT (MIM US) (B) 15,017,963     196,434,950
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $323,056,571)   $ 329,043,370
SHORT-TERM INVESTMENTS - 0.0%      
Short-term funds - 0.0%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (C) 27     27
TOTAL SHORT-TERM INVESTMENTS (Cost $27)   $ 27
Total Investments (Lifestyle Moderate Portfolio) (Cost $323,056,598) - 100.0%     $ 329,043,397
Other assets and liabilities, net - (0.0%)       (30,373)
TOTAL NET ASSETS - 100.0%       $ 329,013,024
 
  153  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Lifestyle Moderate Portfolio (continued)
Security Abbreviations and Legend
JHVIT John Hancock Variable Insurance Trust
MIM US Manulife Investment Management (US) LLC
(A) The underlying portfolios' 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 3-31-22.
Managed Volatility Balanced Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 97.0%      
Equity - 47.8%      
Blue Chip Growth, Series NAV, JHVIT (T. Rowe Price) 5,538,430   $ 200,491,179
Emerging Markets Equity, Class NAV, JHIT (MIM US) (B) 13,290,748     138,888,318
Equity Income, Series NAV, JHVIT (T. Rowe Price) 14,482,195     245,473,204
Fundamental Large Cap Core, Class NAV, JHIT (MIM US) (B) 3,681,985     260,537,237
Mid Cap Growth, Series NAV, JHVIT (Wellington) 2,649,822     45,762,433
Mid Value, Series NAV, JHVIT (T. Rowe Price) 4,732,356     58,728,542
Multifactor Developed International ETF, JHETF (DFA) 2,948,471     93,348,592
Multifactor Emerging Markets ETF, JHETF (DFA) 2,391,545     66,054,473
Multifactor Mid Cap ETF, JHETF (DFA) 1,625,213     85,404,943
Multifactor Small Cap ETF, JHETF (DFA) 1,937,697     66,466,689
Small Cap Growth, Class NAV, JHF II (Redwood) 1,492,742     25,406,468
Small Cap Value, Series NAV, JHVIT (Wellington) 2,797,116     49,984,472
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (B) 53,620,468     1,145,869,394
          2,482,415,944
Fixed income - 49.2%      
Bond, Class NAV, JHSB (MIM US) (B) 43,582,171     655,911,680
Core Bond, Series NAV, JHVIT (Allspring Investments) 18,575,785     227,181,849
Select Bond, Series NAV, JHVIT (MIM US) (B) 127,695,606     1,670,258,521
          2,553,352,050
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $4,755,942,319)   $ 5,035,767,994
Managed Volatility Balanced Portfolio (continued)
    Shares or
Principal
Amount
  Value
UNAFFILIATED INVESTMENT COMPANIES - 1.7%      
Equity - 1.7%      
Fidelity 500 Index Fund 547,122   $ 86,286,542
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $71,517,298)   $ 86,286,542
CORPORATE BONDS - 0.0%      
Financials - 0.0%      
Credit Suisse AG
2.800%, 04/08/2022
$ 2,500,000     2,500,466
TOTAL CORPORATE BONDS (Cost $2,532,750)   $ 2,500,466
SHORT-TERM INVESTMENTS - 0.3%      
Commercial paper - 0.0%          
Yale University
0.240%, 04/07/2022 *
  660,000     659,963
Short-term funds - 0.3%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (C) 12,559,061     12,559,061
TOTAL SHORT-TERM INVESTMENTS (Cost $13,219,035)   $ 13,219,024
Total Investments (Managed Volatility Balanced Portfolio) (Cost $4,843,211,402) - 99.0%     $ 5,137,774,026
Other assets and liabilities, net - 1.0%       52,866,506
TOTAL NET ASSETS - 100.0%       $ 5,190,640,532
Security Abbreviations and Legend
JHETF John Hancock Exchange-Traded Fund Trust
JHF II John Hancock Funds II
JHIT John Hancock Investment Trust
JHSB John Hancock Sovereign Bond Fund
JHVIT John Hancock Variable Insurance Trust
(A) The underlying portfolios' 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 3-31-22.
* 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)
Euro Currency Futures 426 Short Jun 2022 $(58,785,508) $(59,102,175) $(316,667)
Euro STOXX 50 Index Futures 1,377 Short Jun 2022 (54,671,300) (58,235,985) (3,564,685)
FTSE 100 Index Futures 199 Short Jun 2022 (18,482,908) (19,569,622) (1,086,714)
Japanese Yen Currency Futures 273 Short Jun 2022 (29,328,092) (28,110,469) 1,217,623
MSCI Emerging Markets Index Futures 1,191 Short Jun 2022 (63,984,408) (67,023,525) (3,039,117)
Nikkei 225 Index Futures 122 Short Jun 2022 (25,607,683) (27,588,796) (1,981,113)
Pound Sterling Currency Futures 234 Short Jun 2022 (19,315,733) (19,204,088) 111,645
Russell 2000 E-Mini Index Futures 323 Short Jun 2022 (32,400,424) (33,372,360) (971,936)
S&P 500 E-Mini Index Futures 1,776 Short Jun 2022 (378,889,591) (402,330,600) (23,441,009)
S&P Mid 400 E-Mini Index Futures 217 Short Jun 2022 (56,187,635) (58,355,640) (2,168,005)
            $(35,239,978)
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
  154  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Managed Volatility Conservative Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 98.5%      
Equity - 19.1%      
Blue Chip Growth, Series NAV, JHVIT (T. Rowe Price) 439,698   $ 15,917,056
Emerging Markets Equity, Class NAV, JHIT (MIM US) (B) 753,278     7,871,751
Equity Income, Series NAV, JHVIT (T. Rowe Price) 1,153,011     19,543,532
Fundamental Large Cap Core, Class NAV, JHIT (MIM US) (B) 246,344     17,431,266
Multifactor Developed International ETF, JHETF (DFA) 11,707     370,644
Multifactor Emerging Markets ETF, JHETF (DFA) 119,908     3,311,859
Multifactor Mid Cap ETF, JHETF (DFA) 195,671     10,282,511
Multifactor Small Cap ETF, JHETF (DFA) 230,619     7,910,670
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (B) 3,407,696     72,822,459
          155,461,748
Fixed income - 79.4%      
Bond, Class NAV, JHSB (MIM US) (B) 11,010,253     165,704,305
Core Bond, Series NAV, JHVIT (Allspring Investments) 4,679,975     57,236,094
Select Bond, Series NAV, JHVIT (MIM US) (B) 32,218,798     421,421,878
          644,362,277
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $802,815,490)   $ 799,824,025
UNAFFILIATED INVESTMENT COMPANIES - 0.8%      
Equity - 0.8%      
Fidelity 500 Index Fund 42,768     6,744,969
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $5,483,809)   $ 6,744,969
Managed Volatility Conservative Portfolio (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS - 0.1%
     
U.S. Government Agency - 0.1%      
Federal Agricultural Mortgage Corp.
0.300%, (SOFR + 0.020%), 12/02/2022 (C)
$ 500,000   $ 499,963
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $500,000)   $ 499,963
SHORT-TERM INVESTMENTS - 0.4%      
Short-term funds - 0.4%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (D) 3,556,767     3,556,767
TOTAL SHORT-TERM INVESTMENTS (Cost $3,556,767)   $ 3,556,767
Total Investments (Managed Volatility Conservative Portfolio) (Cost $812,356,066) - 99.8%     $ 810,625,724
Other assets and liabilities, net - 0.2%       1,309,333
TOTAL NET ASSETS - 100.0%       $ 811,935,057
Security Abbreviations and Legend
JHETF John Hancock Exchange-Traded Fund Trust
JHIT John Hancock Investment Trust
JHSB John Hancock Sovereign Bond Fund
JHVIT John Hancock Variable Insurance Trust
SOFR Secured Overnight Financing Rate
(A) The underlying portfolios' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
(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 3-31-22.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Euro Currency Futures 6 Short Jun 2022 $(829,079) $(832,425) $(3,346)
Euro STOXX 50 Index Futures 17 Short Jun 2022 (720,238) (718,963) 1,275
FTSE 100 Index Futures 3 Short Jun 2022 (294,332) (295,019) (687)
Japanese Yen Currency Futures 3 Short Jun 2022 (305,172) (308,906) (3,734)
MSCI Emerging Markets Index Futures 14 Short Jun 2022 (791,810) (787,850) 3,960
Nikkei 225 Index Futures 2 Short Jun 2022 (454,400) (452,275) 2,125
Pound Sterling Currency Futures 3 Short Jun 2022 (246,917) (246,206) 711
Russell 2000 E-Mini Index Futures 4 Short Jun 2022 (415,958) (413,280) 2,678
S&P 500 E-Mini Index Futures 26 Short Jun 2022 (5,920,612) (5,889,973) 30,639
S&P Mid 400 E-Mini Index Futures 4 Short Jun 2022 (1,083,744) (1,075,680) 8,064
            $41,685
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Managed Volatility Growth Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 95.7%      
Equity - 67.4%      
Blue Chip Growth, Series NAV, JHVIT (T. Rowe Price) 8,593,831   $ 311,096,693
Managed Volatility Growth Portfolio (continued)
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) (continued)      
Equity (continued)      
Emerging Markets Equity, Class NAV, JHIT (MIM US) (B) 27,162,972   $ 283,853,057
 
  155  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Managed Volatility Growth Portfolio (continued)
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) (continued)      
Equity (continued)      
Equity Income, Series NAV, JHVIT (T. Rowe Price) 22,291,690   $ 377,844,147
Fundamental Large Cap Core, Class NAV, JHIT (MIM US) (B) 6,257,227     442,761,382
Mid Cap Growth, Series NAV, JHVIT (Wellington) 5,957,344     102,883,336
Mid Value, Series NAV, JHVIT (T. Rowe Price) 10,222,961     126,866,940
Multifactor Developed International ETF, JHETF (DFA) 6,501,431     205,835,305
Multifactor Emerging Markets ETF, JHETF (DFA) 4,930,347     136,176,184
Multifactor Mid Cap ETF, JHETF (DFA) 2,852,024     149,873,861
Multifactor Small Cap ETF, JHETF (DFA) 4,078,341     139,894,845
Small Cap Growth, Class NAV, JHF II (Redwood) 2,645,895     45,033,136
Small Cap Value, Series NAV, JHVIT (Wellington) 4,338,389     77,527,016
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (B) 95,587,058     2,042,695,421
          4,442,341,323
Fixed income - 28.3%      
Bond, Class NAV, JHSB (MIM US) (B) 31,727,922     477,505,230
Core Bond, Series NAV, JHVIT (Allspring Investments) 13,519,213     165,339,974
Select Bond, Series NAV, JHVIT (MIM US) (B) 93,226,089     1,219,397,244
          1,862,242,448
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $5,701,079,929)   $ 6,304,583,771
UNAFFILIATED INVESTMENT COMPANIES - 2.1%      
Equity - 2.1%      
Fidelity 500 Index Fund 600,675     94,732,377
Fidelity International Index Fund 997,130     45,858,008
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $122,139,355)   $ 140,590,385
Managed Volatility Growth Portfolio (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS - 0.0%      
Financials - 0.0%      
Credit Suisse AG
2.800%, 04/08/2022
$ 2,500,000   $ 2,500,466
TOTAL CORPORATE BONDS (Cost $2,532,750)   $ 2,500,466
SHORT-TERM INVESTMENTS - 0.4%      
Short-term funds - 0.4%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (C) 24,347,033     24,347,033
TOTAL SHORT-TERM INVESTMENTS (Cost $24,347,033)   $ 24,347,033
Total Investments (Managed Volatility Growth Portfolio) (Cost $5,850,099,067) - 98.2%     $ 6,472,021,655
Other assets and liabilities, net - 1.8%       116,873,967
TOTAL NET ASSETS - 100.0%       $ 6,588,895,622
Security Abbreviations and Legend
JHETF John Hancock Exchange-Traded Fund Trust
JHF II John Hancock Funds II
JHIT John Hancock Investment Trust
JHSB John Hancock Sovereign Bond Fund
JHVIT John Hancock Variable Insurance Trust
(A) The underlying portfolios' 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 3-31-22.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Euro Currency Futures 1,021 Short Jun 2022 $(141,028,017) $(141,650,988) $(622,971)
Euro STOXX 50 Index Futures 3,354 Short Jun 2022 (132,950,468) (141,847,127) (8,896,659)
FTSE 100 Index Futures 479 Short Jun 2022 (44,474,866) (47,104,769) (2,629,903)
Japanese Yen Currency Futures 681 Short Jun 2022 (73,344,738) (70,121,719) 3,223,019
MSCI Emerging Markets Index Futures 2,992 Short Jun 2022 (161,622,506) (168,374,800) (6,752,294)
Nikkei 225 Index Futures 305 Short Jun 2022 (64,565,905) (68,971,989) (4,406,084)
Pound Sterling Currency Futures 567 Short Jun 2022 (46,903,684) (46,532,981) 370,703
Russell 2000 E-Mini Index Futures 701 Short Jun 2022 (70,570,601) (72,427,320) (1,856,719)
S&P 500 E-Mini Index Futures 3,617 Short Jun 2022 (772,857,889) (819,386,138) (46,528,249)
S&P Mid 400 E-Mini Index Futures 488 Short Jun 2022 (126,529,899) (131,232,960) (4,703,061)
            $(72,802,218)
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
  156  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Managed Volatility Moderate Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 97.2%      
Equity - 37.8%      
Blue Chip Growth, Series NAV, JHVIT (T. Rowe Price) 1,343,370   $ 48,629,993
Emerging Markets Equity, Class NAV, JHIT (MIM US) (B) 2,443,789     25,537,594
Equity Income, Series NAV, JHVIT (T. Rowe Price) 3,718,782     63,033,353
Fundamental Large Cap Core, Class NAV, JHIT (MIM US) (B) 874,579     61,885,185
Mid Cap Growth, Series NAV, JHVIT (Wellington) 740,655     12,791,116
Mid Value, Series NAV, JHVIT (T. Rowe Price) 1,198,781     14,876,869
Multifactor Developed International ETF, JHETF (DFA) 432,298     13,686,555
Multifactor Emerging Markets ETF, JHETF (DFA) 436,242     12,049,004
Multifactor Mid Cap ETF, JHETF (DFA) 208,761     10,970,391
Multifactor Small Cap ETF, JHETF (DFA) 263,385     9,034,606
Small Cap Growth, Class NAV, JHF II (Redwood) 345,845     5,886,278
Small Cap Value, Series NAV, JHVIT (Wellington) 582,881     10,416,090
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (B) 12,362,683     264,190,537
          552,987,571
Fixed income - 59.4%      
Bond, Class NAV, JHSB (MIM US) (B) 14,790,076     222,590,647
Core Bond, Series NAV, JHVIT (Allspring Investments) 6,317,039     77,257,383
Select Bond, Series NAV, JHVIT (MIM US) (B) 43,436,862     568,154,158
          868,002,188
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $1,375,551,126)   $ 1,420,989,759
UNAFFILIATED INVESTMENT COMPANIES - 1.7%      
Equity - 1.7%      
Fidelity 500 Index Fund 158,321     24,968,874
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $20,156,594)   $ 24,968,874
Managed Volatility Moderate Portfolio (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS - 0.1%
     
U.S. Government Agency - 0.1%      
Federal Agricultural Mortgage Corp.
0.310%, (SOFR + 0.020%), 12/02/2022 (C)
$ 1,500,000   $ 1,499,890
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $1,500,000)   $ 1,499,890
SHORT-TERM INVESTMENTS - 0.2%      
Short-term funds - 0.2%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (D) 2,681,462     2,681,462
TOTAL SHORT-TERM INVESTMENTS (Cost $2,681,462)   $ 2,681,462
Total Investments (Managed Volatility Moderate Portfolio) (Cost $1,399,889,182) - 99.2%     $ 1,450,139,985
Other assets and liabilities, net - 0.8%       12,038,492
TOTAL NET ASSETS - 100.0%       $ 1,462,178,477
Security Abbreviations and Legend
JHETF John Hancock Exchange-Traded Fund Trust
JHF II John Hancock Funds II
JHIT John Hancock Investment Trust
JHSB John Hancock Sovereign Bond Fund
JHVIT John Hancock Variable Insurance Trust
SOFR Secured Overnight Financing Rate
(A) The underlying portfolios' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
(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 3-31-22.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Euro Currency Futures 90 Short Jun 2022 $(12,402,151) $(12,486,375) $(84,224)
Euro STOXX 50 Index Futures 283 Short Jun 2022 (11,392,963) (11,968,616) (575,653)
FTSE 100 Index Futures 39 Short Jun 2022 (3,648,733) (3,835,253) (186,520)
Japanese Yen Currency Futures 52 Short Jun 2022 (5,560,057) (5,354,375) 205,682
MSCI Emerging Markets Index Futures 207 Short Jun 2022 (11,158,967) (11,648,925) (489,958)
Nikkei 225 Index Futures 23 Short Jun 2022 (4,819,746) (5,201,166) (381,420)
Pound Sterling Currency Futures 47 Short Jun 2022 (3,861,204) (3,857,231) 3,973
Russell 2000 E-Mini Index Futures 62 Short Jun 2022 (6,227,641) (6,405,840) (178,199)
S&P 500 E-Mini Index Futures 378 Short Jun 2022 (81,107,786) (85,631,176) (4,523,390)
S&P Mid 400 E-Mini Index Futures 41 Short Jun 2022 (10,660,115) (11,025,720) (365,605)
            $(6,575,314)
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
  157  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Mid Cap Growth Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 97.0%      
Communication services – 14.7%          
Entertainment – 8.2%      
Electronic Arts, Inc.   82,279   $ 10,409,116
Live Nation Entertainment, Inc. (A)   94,436     11,109,451
Roku, Inc. (A)   154,588     19,365,239
Spotify Technology SA (A)   128,220     19,363,784
          60,247,590
Interactive media and services – 6.5%      
Match Group, Inc. (A)   220,054     23,928,672
Snap, Inc., Class A (A)   311,104     11,196,633
ZoomInfo Technologies, Inc. (A)   215,867     12,895,895
          48,021,200
          108,268,790
Consumer discretionary – 19.4%          
Automobiles – 1.5%      
Thor Industries, Inc.   139,908     11,010,760
Diversified consumer services – 2.0%      
2U, Inc. (A)   178,819     2,374,716
Chegg, Inc. (A)   344,263     12,489,862
          14,864,578
Hotels, restaurants and leisure – 1.7%      
Chipotle Mexican Grill, Inc. (A)   952     1,506,093
DraftKings, Inc., Class A (A)   551,530     10,738,289
          12,244,382
Household durables – 2.0%      
Lennar Corp., A Shares   180,519     14,652,727
Internet and direct marketing retail – 2.1%      
Etsy, Inc. (A)   127,919     15,897,773
Leisure products – 1.2%      
Peloton Interactive, Inc., Class A (A)   328,916     8,689,961
Specialty retail – 4.7%      
Floor & Decor Holdings, Inc., Class A (A)   126,328     10,232,568
Ulta Beauty, Inc. (A)   60,754     24,193,458
          34,426,026
Textiles, apparel and luxury goods – 4.2%      
Lululemon Athletica, Inc. (A)   84,041     30,694,294
          142,480,501
Financials – 1.2%          
Capital markets – 1.2%      
Ares Management Corp., Class A   112,370     9,127,815
Health care – 17.6%          
Biotechnology – 4.2%      
Apellis Pharmaceuticals, Inc. (A)   90,759     4,611,465
Ascendis Pharma A/S, ADR (A)   39,188     4,599,104
Exact Sciences Corp. (A)   300,580     21,016,554
Kodiak Sciences, Inc. (A)   71,510     552,057
          30,779,180
Health care equipment and supplies – 5.4%      
ABIOMED, Inc. (A)   57,324     18,988,002
DexCom, Inc. (A)   40,856     20,901,930
          39,889,932
Health care technology – 5.1%      
Inspire Medical Systems, Inc. (A)   58,867     15,110,570
Veeva Systems, Inc., Class A (A)   104,723     22,249,449
          37,360,019
Life sciences tools and services – 2.8%      
Agilent Technologies, Inc.   81,178     10,742,285
Mid Cap Growth Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Life sciences tools and services (continued)      
Illumina, Inc. (A)   27,776   $ 9,704,934
          20,447,219
Pharmaceuticals – 0.1%      
Reata Pharmaceuticals, Inc., Class A (A)   16,807     550,597
          129,026,947
Industrials – 9.6%          
Building products – 1.8%      
Johnson Controls International PLC   201,259     13,196,553
Commercial services and supplies – 2.0%      
Copart, Inc. (A)   113,785     14,276,604
Machinery – 2.7%      
Kornit Digital, Ltd. (A)   94,025     7,774,927
The Middleby Corp. (A)   75,393     12,359,928
          20,134,855
Professional services – 2.1%      
CoStar Group, Inc. (A)   232,178     15,465,377
Trading companies and distributors – 1.0%      
WESCO International, Inc. (A)   55,286     7,194,920
          70,268,309
Information technology – 31.8%          
Communications equipment – 4.1%      
Arista Networks, Inc. (A)   214,703     29,839,423
IT services – 5.6%      
Block, Inc. (A)   74,177     10,058,401
MongoDB, Inc. (A)   44,080     19,553,447
Okta, Inc. (A)   75,936     11,463,299
          41,075,147
Semiconductors and semiconductor equipment – 4.0%      
Ambarella, Inc. (A)   4,300     451,156
MKS Instruments, Inc.   65,819     9,872,850
SolarEdge Technologies, Inc. (A)   30,343     9,781,673
Universal Display Corp.   56,699     9,465,898
          29,571,577
Software – 18.1%      
DocuSign, Inc. (A)   72,062     7,719,281
Fair Isaac Corp. (A)   11,483     5,356,360
Five9, Inc. (A)   129,140     14,257,056
IronSource, Ltd., Class A (A)   1,266,445     6,078,936
Palo Alto Networks, Inc. (A)   51,590     32,115,291
Paycom Software, Inc. (A)   57,808     20,023,535
RingCentral, Inc., Class A (A)   109,504     12,834,964
UiPath, Inc., Class A (A)   395,848     8,546,358
Varonis Systems, Inc. (A)   178,691     8,494,970
Workday, Inc., Class A (A)   73,507     17,601,986
          133,028,737
          233,514,884
Materials – 1.6%          
Chemicals – 1.6%      
Albemarle Corp.   52,415     11,591,577
Real estate – 1.1%          
Equity real estate investment trusts – 1.0%      
AvalonBay Communities, Inc.   29,148     7,239,489
Real estate management and development – 0.1%      
WeWork, Inc., Class A (A)(B)   105,472     719,319
          7,958,808
TOTAL COMMON STOCKS (Cost $739,202,048)   $ 712,237,631
PREFERRED SECURITIES – 0.8%          
Information technology – 0.8%          
 
  158  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Mid Cap Growth Trust (continued)
    Shares or
Principal
Amount
  Value
PREFERRED
SECURITIES (continued)
         
Software – 0.8%      
Essence Group Holdings Corp. (A)(C)(D)   1,663,188   $ 3,359,640
Lookout, Inc., Series F (A)(C)(D)   211,003     2,139,570
          5,499,210
TOTAL PREFERRED SECURITIES (Cost $5,070,285)   $ 5,499,210
SHORT-TERM INVESTMENTS – 2.0%      
Short-term funds – 0.1%          
John Hancock Collateral Trust, 0.3592% (E)(F)   73,120     731,114
Repurchase agreement – 1.9%          
Deutsche Bank Tri-Party Repurchase Agreement dated 3-31-22 at 0.300% to be repurchased at $14,200,118 on 4-1-22, collateralized by $14,485,300 U.S. Treasury Bills, 0.000% due 4-19-22 (valued at $14,484,083) $ 14,200,000     14,200,000
TOTAL SHORT-TERM INVESTMENTS (Cost $14,931,077)   $ 14,931,114
Total Investments (Mid Cap Growth Trust)
(Cost $759,203,410) – 99.8%
  $ 732,667,955
Other assets and liabilities, net – 0.2%     1,590,777
TOTAL NET ASSETS – 100.0%   $ 734,258,732
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 3-31-22. The value of securities on loan amounted to $710,964.
(C) Restricted security as to resale. 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) The rate shown is the annualized seven-day yield as of 3-31-22.
(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.
Mid Cap Index Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 96.1%      
Communication services – 1.7%          
Diversified telecommunication services – 0.3%      
Iridium Communications, Inc. (A)   73,675   $ 2,970,576
Entertainment – 0.1%      
World Wrestling Entertainment, Inc., Class A   24,481     1,528,594
Interactive media and services – 0.4%      
TripAdvisor, Inc. (A)   55,200     1,497,024
Yelp, Inc. (A)   38,250     1,304,708
Ziff Davis, Inc. (A)   26,873     2,600,769
          5,402,501
Media – 0.9%      
Cable One, Inc.   2,780     4,070,587
John Wiley & Sons, Inc., Class A   24,270     1,287,038
TEGNA, Inc.   123,318     2,762,323
The New York Times Company, Class A   93,120     4,268,621
          12,388,569
          22,290,240
Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer discretionary – 13.4%          
Auto components – 1.4%      
Adient PLC (A)   53,185   $ 2,168,352
Dana, Inc.   80,380     1,412,277
Fox Factory Holding Corp. (A)   23,464     2,298,299
Gentex Corp.   131,810     3,844,898
Lear Corp.   33,397     4,762,078
The Goodyear Tire & Rubber Company (A)   156,588     2,237,643
Visteon Corp. (A)   15,602     1,702,646
          18,426,193
Automobiles – 0.4%      
Harley-Davidson, Inc.   85,754     3,378,708
Thor Industries, Inc.   31,253     2,459,611
          5,838,319
Diversified consumer services – 0.9%      
Graham Holdings Company, Class B   2,223     1,359,298
Grand Canyon Education, Inc. (A)   22,060     2,142,247
H&R Block, Inc.   91,997     2,395,602
Service Corp. International   92,304     6,075,449
          11,972,596
Hotels, restaurants and leisure – 2.7%      
Boyd Gaming Corp.   45,705     3,006,475
Choice Hotels International, Inc.   18,291     2,592,932
Churchill Downs, Inc.   19,298     4,279,910
Cracker Barrel Old Country Store, Inc.   13,103     1,555,719
Marriott Vacations Worldwide Corp.   23,901     3,769,188
Papa John's International, Inc.   18,036     1,898,830
Scientific Games Corp. (A)   53,785     3,159,869
Six Flags Entertainment Corp. (A)   43,126     1,875,981
Texas Roadhouse, Inc.   38,812     3,249,729
The Wendy's Company   98,365     2,161,079
Travel + Leisure Company   48,093     2,786,508
Wingstop, Inc.   16,622     1,950,592
Wyndham Hotels & Resorts, Inc.   52,223     4,422,766
          36,709,578
Household durables – 1.4%      
Helen of Troy, Ltd. (A)   13,446     2,633,265
KB Home   47,764     1,546,598
Leggett & Platt, Inc.   74,330     2,586,684
Taylor Morrison Home Corp. (A)   68,486     1,864,189
Tempur Sealy International, Inc.   107,284     2,995,369
Toll Brothers, Inc.   62,825     2,954,032
TopBuild Corp. (A)   18,349     3,328,325
Tri Pointe Homes, Inc. (A)   61,936     1,243,675
          19,152,137
Leisure products – 1.2%      
Brunswick Corp.   42,964     3,475,358
Callaway Golf Company (A)   65,308     1,529,513
Mattel, Inc. (A)   196,336     4,360,623
Polaris, Inc.   32,027     3,373,084
YETI Holdings, Inc. (A)   48,842     2,929,543
          15,668,121
Multiline retail – 0.9%      
Kohl's Corp.   77,759     4,701,309
Macy's, Inc.   167,208     4,073,187
Nordstrom, Inc. (B)   61,996     1,680,712
Ollie's Bargain Outlet Holdings, Inc. (A)   32,861     1,411,709
          11,866,917
Specialty retail – 3.0%      
American Eagle Outfitters, Inc. (B)   85,501     1,436,417
AutoNation, Inc. (A)   22,280     2,218,642
Dick's Sporting Goods, Inc.   35,149     3,515,603
 
  159  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
Five Below, Inc. (A)   31,382   $ 4,969,967
Foot Locker, Inc.   48,846     1,448,772
GameStop Corp., Class A (A)(B)   34,528     5,751,674
Lithia Motors, Inc.   16,952     5,087,634
Murphy USA, Inc.   12,819     2,563,287
RH (A)   9,739     3,175,791
The Gap, Inc.   119,472     1,682,166
Urban Outfitters, Inc. (A)   36,728     922,240
Victoria's Secret & Company (A)   40,875     2,099,340
Williams-Sonoma, Inc.   40,770     5,911,650
          40,783,183
Textiles, apparel and luxury goods – 1.5%      
Capri Holdings, Ltd. (A)   82,511     4,240,240
Carter's, Inc.   23,554     2,166,732
Columbia Sportswear Company   19,263     1,743,879
Crocs, Inc. (A)   32,795     2,505,538
Deckers Outdoor Corp. (A)   15,204     4,162,399
Hanesbrands, Inc.   194,609     2,897,728
Skechers USA, Inc., Class A (A)   75,180     3,064,337
          20,780,853
          181,197,897
Consumer staples – 3.5%          
Beverages – 0.2%      
The Boston Beer Company, Inc., Class A (A)   5,232     2,032,475
Food and staples retailing – 1.3%      
BJ's Wholesale Club Holdings, Inc. (A)   76,095     5,144,783
Casey's General Stores, Inc.   20,677     4,097,561
Grocery Outlet Holding Corp. (A)   48,694     1,596,189
Performance Food Group Company (A)   86,545     4,406,006
Sprouts Farmers Market, Inc. (A)   62,561     2,000,701
          17,245,240
Food products – 1.6%      
Darling Ingredients, Inc. (A)   90,521     7,276,078
Flowers Foods, Inc.   110,740     2,847,125
Ingredion, Inc.   37,080     3,231,522
Lancaster Colony Corp.   11,046     1,647,511
Pilgrim's Pride Corp. (A)   27,160     681,716
Post Holdings, Inc. (A)   31,874     2,207,593
Sanderson Farms, Inc.   11,822     2,216,507
The Hain Celestial Group, Inc. (A)   50,997     1,754,297
          21,862,349
Household products – 0.1%      
Energizer Holdings, Inc.   36,785     1,131,507
Personal products – 0.3%      
BellRing Brands, Inc. (A)(B)   62,540     1,443,423
Coty, Inc., Class A (A)   192,330     1,729,047
Nu Skin Enterprises, Inc., Class A   27,766     1,329,436
          4,501,906
          46,773,477
Energy – 3.4%          
Energy equipment and services – 0.5%      
ChampionX Corp. (A)   112,612     2,756,742
NOV, Inc.   219,668     4,307,689
          7,064,431
Oil, gas and consumable fuels – 2.9%      
Antero Midstream Corp.   180,953     1,966,959
CNX Resources Corp. (A)   113,287     2,347,307
DT Midstream, Inc.   53,908     2,925,048
EQT Corp.   168,502     5,798,154
Equitrans Midstream Corp.   226,567     1,912,225
Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
HF Sinclair Corp. (A)   83,313   $ 3,320,023
Murphy Oil Corp.   80,914     3,268,116
PDC Energy, Inc.   54,427     3,955,754
Range Resources Corp. (A)   139,598     4,240,987
Targa Resources Corp.   127,995     9,659,786
          39,394,359
          46,458,790
Financials – 13.7%          
Banks – 6.5%      
Associated Banc-Corp.   83,635     1,903,533
Bank of Hawaii Corp.   22,558     1,893,067
Bank OZK   67,936     2,900,867
Cadence Bank   105,449     3,085,438
Cathay General Bancorp   42,488     1,901,338
Commerce Bancshares, Inc.   61,860     4,428,557
Cullen/Frost Bankers, Inc.   31,850     4,408,359
East West Bancorp, Inc.   79,400     6,274,188
First Financial Bankshares, Inc.   71,459     3,152,771
First Horizon Corp.   298,374     7,008,805
FNB Corp.   190,742     2,374,738
Fulton Financial Corp.   89,892     1,494,005
Glacier Bancorp, Inc.   60,451     3,039,476
Hancock Whitney Corp.   48,387     2,523,382
Home BancShares, Inc.   84,004     1,898,490
International Bancshares Corp.   29,663     1,252,075
Old National Bancorp   165,616     2,712,790
PacWest Bancorp   66,935     2,886,907
Pinnacle Financial Partners, Inc.   42,430     3,906,954
Prosperity Bancshares, Inc.   51,363     3,563,565
Synovus Financial Corp.   81,092     3,973,508
Texas Capital Bancshares, Inc. (A)   28,204     1,616,371
UMB Financial Corp.   23,986     2,330,480
Umpqua Holdings Corp.   120,721     2,276,798
United Bankshares, Inc.   76,679     2,674,564
Valley National Bancorp   235,766     3,069,673
Webster Financial Corp.   100,640     5,647,917
Wintrust Financial Corp.   31,769     2,952,293
          87,150,909
Capital markets – 1.8%      
Affiliated Managers Group, Inc.   22,654     3,193,081
Evercore, Inc., Class A   21,745     2,420,653
Federated Hermes, Inc.   53,970     1,838,218
Interactive Brokers Group, Inc., Class A   48,693     3,209,356
Janus Henderson Group PLC   94,337     3,303,682
Jefferies Financial Group, Inc.   108,100     3,551,085
SEI Investments Company   59,064     3,556,243
Stifel Financial Corp.   58,395     3,965,021
          25,037,339
Consumer finance – 0.5%      
FirstCash Holdings, Inc.   22,533     1,584,971
Navient Corp.   86,175     1,468,422
PROG Holdings, Inc. (A)   31,608     909,362
SLM Corp.   155,918     2,862,654
          6,825,409
Diversified financial services – 0.3%      
Voya Financial, Inc.   60,368     4,005,417
Insurance – 3.9%      
Alleghany Corp. (A)   7,634     6,465,998
American Financial Group, Inc.   37,047     5,394,784
Brighthouse Financial, Inc. (A)   43,546     2,249,586
CNO Financial Group, Inc.   67,397     1,690,991
First American Financial Corp.   61,172     3,965,169
Kemper Corp.   33,345     1,885,326
 
  160  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
Kinsale Capital Group, Inc.   11,954   $ 2,725,751
Mercury General Corp.   14,812     814,660
Old Republic International Corp.   159,116     4,116,331
Primerica, Inc.   22,007     3,010,998
Reinsurance Group of America, Inc.   37,673     4,123,687
RenaissanceRe Holdings, Ltd.   24,596     3,898,712
RLI Corp.   22,189     2,454,769
Selective Insurance Group, Inc.   33,807     3,020,994
The Hanover Insurance Group, Inc.   19,828     2,964,683
Unum Group   113,940     3,590,249
          52,372,688
Thrifts and mortgage finance – 0.7%      
Essent Group, Ltd.   61,543     2,536,187
MGIC Investment Corp.   179,315     2,429,718
New York Community Bancorp, Inc.   259,153     2,778,120
Washington Federal, Inc.   36,305     1,191,530
          8,935,555
          184,327,317
Health care – 8.5%          
Biotechnology – 1.4%      
Arrowhead Pharmaceuticals, Inc. (A)   58,952     2,711,202
Exelixis, Inc. (A)   176,325     3,997,288
Halozyme Therapeutics, Inc. (A)   78,459     3,128,945
Neurocrine Biosciences, Inc. (A)   53,147     4,982,531
United Therapeutics Corp. (A)   25,240     4,528,308
          19,348,274
Health care equipment and supplies – 2.8%      
Envista Holdings Corp. (A)   90,465     4,406,550
Globus Medical, Inc., Class A (A)   44,049     3,249,935
Haemonetics Corp. (A)   28,480     1,800,506
ICU Medical, Inc. (A)   11,126     2,477,093
Integra LifeSciences Holdings Corp. (A)   40,594     2,608,570
LivaNova PLC (A)   29,662     2,427,241
Masimo Corp. (A)   28,485     4,145,707
Neogen Corp. (A)   60,644     1,870,261
NuVasive, Inc. (A)   28,832     1,634,774
Penumbra, Inc. (A)   19,571     4,347,306
Quidel Corp. (A)   21,135     2,376,842
STAAR Surgical Company (A)   26,527     2,119,773
Tandem Diabetes Care, Inc. (A)   35,406     4,117,364
          37,581,922
Health care providers and services – 2.5%      
Acadia Healthcare Company, Inc. (A)   50,121     3,284,429
Amedisys, Inc. (A)   18,169     3,130,337
Chemed Corp.   8,633     4,373,046
Encompass Health Corp.   55,446     3,942,765
HealthEquity, Inc. (A)   46,539     3,138,590
LHC Group, Inc. (A)   17,650     2,975,790
Option Care Health, Inc. (A)   77,187     2,204,461
Patterson Companies, Inc.   48,271     1,562,532
Progyny, Inc. (A)   38,805     1,994,577
R1 RCM, Inc. (A)   74,259     1,987,171
Tenet Healthcare Corp. (A)   59,993     5,156,998
          33,750,696
Life sciences tools and services – 1.2%      
Bruker Corp.   57,013     3,665,936
Medpace Holdings, Inc. (A)   16,023     2,621,203
Repligen Corp. (A)   28,799     5,416,804
Syneos Health, Inc. (A)   58,109     4,703,924
          16,407,867
Pharmaceuticals – 0.6%      
Jazz Pharmaceuticals PLC (A)   34,419     5,358,006
Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Perrigo Company PLC   74,551   $ 2,864,995
          8,223,001
          115,311,760
Industrials – 18.0%          
Aerospace and defense – 1.3%      
Axon Enterprise, Inc. (A)   38,269     5,270,789
Curtiss-Wright Corp.   21,868     3,283,699
Hexcel Corp.   46,753     2,780,401
Mercury Systems, Inc. (A)   31,957     2,059,629
Woodward, Inc.   35,342     4,414,569
          17,809,087
Air freight and logistics – 0.3%      
GXO Logistics, Inc. (A)   55,292     3,944,531
Airlines – 0.2%      
JetBlue Airways Corp. (A)   177,237     2,649,693
Building products – 2.3%      
Builders FirstSource, Inc. (A)   107,063     6,909,846
Carlisle Companies, Inc.   29,242     7,191,193
Lennox International, Inc.   18,854     4,861,692
Owens Corning   56,268     5,148,522
Simpson Manufacturing Company, Inc.   24,209     2,639,749
Trex Company, Inc. (A)   64,490     4,213,132
          30,964,134
Commercial services and supplies – 1.5%      
Clean Harbors, Inc. (A)   27,898     3,114,533
IAA, Inc. (A)   75,148     2,874,411
MillerKnoll, Inc.   42,228     1,459,400
MSA Safety, Inc.   20,320     2,696,464
Stericycle, Inc. (A)   51,195     3,016,409
Tetra Tech, Inc.   30,133     4,970,137
The Brink's Company   27,393     1,862,724
          19,994,078
Construction and engineering – 1.6%      
AECOM   79,007     6,068,528
Dycom Industries, Inc. (A)   16,814     1,601,702
EMCOR Group, Inc.   29,745     3,350,179
Fluor Corp. (A)   78,808     2,261,002
MasTec, Inc. (A)   32,921     2,867,419
MDU Resources Group, Inc.   113,325     3,020,111
Valmont Industries, Inc.   11,828     2,822,161
          21,991,102
Electrical equipment – 1.8%      
Acuity Brands, Inc.   19,598     3,709,901
EnerSys   23,003     1,715,334
Hubbell, Inc.   30,460     5,597,634
nVent Electric PLC   93,757     3,260,868
Regal Rexnord Corp.   37,921     5,641,886
Sunrun, Inc. (A)   115,362     3,503,544
Vicor Corp. (A)   11,952     843,214
          24,272,381
Machinery – 4.3%      
AGCO Corp.   34,198     4,993,934
Chart Industries, Inc. (A)   19,993     3,434,198
Colfax Corp. (A)   76,048     3,025,950
Crane Company   27,819     3,012,241
Donaldson Company, Inc.   68,878     3,576,835
Flowserve Corp.   72,597     2,606,232
Graco, Inc.   95,085     6,629,326
ITT, Inc.   48,026     3,612,035
Kennametal, Inc.   46,615     1,333,655
Lincoln Electric Holdings, Inc.   32,907     4,534,914
Oshkosh Corp.   37,252     3,749,414
 
  161  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Terex Corp.   38,899   $ 1,387,138
The Middleby Corp. (A)   31,148     5,106,403
The Timken Company   38,471     2,335,190
The Toro Company   58,674     5,016,040
Trinity Industries, Inc.   45,582     1,566,198
Watts Water Technologies, Inc., Class A   15,358     2,143,823
          58,063,526
Marine – 0.2%      
Kirby Corp. (A)   33,499     2,418,293
Professional services – 1.6%      
ASGN, Inc. (A)   29,261     3,415,051
CACI International, Inc., Class A (A)   13,000     3,916,380
FTI Consulting, Inc. (A)   19,108     3,004,160
Insperity, Inc.   19,955     2,003,881
KBR, Inc.   78,180     4,278,791
ManpowerGroup, Inc.   30,227     2,838,920
Science Applications International Corp.   31,785     2,929,623
          22,386,806
Road and rail – 1.9%      
Avis Budget Group, Inc. (A)   22,426     5,904,766
Knight-Swift Transportation Holdings, Inc.   92,943     4,689,904
Landstar System, Inc.   21,076     3,178,893
Ryder System, Inc.   29,923     2,373,792
Saia, Inc. (A)   14,677     3,578,546
Werner Enterprises, Inc.   33,339     1,366,899
XPO Logistics, Inc. (A)   55,318     4,027,150
          25,119,950
Trading companies and distributors – 1.0%      
GATX Corp.   19,784     2,439,961
MSC Industrial Direct Company, Inc., Class A   26,426     2,251,759
Univar Solutions, Inc. (A)   95,274     3,062,106
Watsco, Inc.   18,405     5,606,899
          13,360,725
          242,974,306
Information technology – 13.8%          
Communications equipment – 0.9%      
Calix, Inc. (A)   30,556     1,311,158
Ciena Corp. (A)   86,341     5,234,855
Lumentum Holdings, Inc. (A)   40,292     3,932,499
Viasat, Inc. (A)   41,632     2,031,642
          12,510,154
Electronic equipment, instruments and components – 3.1%      
Arrow Electronics, Inc. (A)   38,030     4,511,499
Avnet, Inc.   55,296     2,244,465
Belden, Inc.   25,021     1,386,163
Cognex Corp.   98,904     7,630,444
Coherent, Inc. (A)   13,844     3,784,396
II-VI, Inc. (A)   59,529     4,315,257
Jabil, Inc.   80,298     4,956,796
Littelfuse, Inc.   13,727     3,423,651
National Instruments Corp.   73,496     2,983,203
TD SYNNEX Corp.   23,235     2,398,084
Vishay Intertechnology, Inc.   73,959     1,449,596
Vontier Corp.   94,216     2,392,144
          41,475,698
IT services – 2.2%      
Alliance Data Systems Corp.   27,745     1,557,882
Concentrix Corp.   23,909     3,982,283
Euronet Worldwide, Inc. (A)   29,456     3,833,698
Genpact, Ltd.   95,312     4,147,025
Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
IT services (continued)      
Kyndryl Holdings, Inc. (A)   99,831   $ 1,309,783
LiveRamp Holdings, Inc. (A)   37,948     1,418,876
Maximus, Inc.   34,644     2,596,568
Sabre Corp. (A)   180,248     2,060,235
The Western Union Company   220,147     4,125,555
WEX, Inc. (A)   25,125     4,483,556
          29,515,461
Semiconductors and semiconductor equipment – 3.9%      
Amkor Technology, Inc.   55,871     1,213,518
Azenta, Inc.   41,869     3,470,103
Cirrus Logic, Inc. (A)   32,147     2,725,744
CMC Materials, Inc.   15,980     2,962,692
First Solar, Inc. (A)   55,107     4,614,660
Lattice Semiconductor Corp. (A)   76,753     4,678,095
MKS Instruments, Inc.   31,076     4,661,400
Power Integrations, Inc.   33,063     3,064,279
Semtech Corp. (A)   35,888     2,488,474
Silicon Laboratories, Inc. (A)   21,348     3,206,470
SiTime Corp. (A)   8,353     2,070,040
SunPower Corp. (A)(B)   46,274     993,966
Synaptics, Inc. (A)   22,080     4,404,960
Universal Display Corp.   24,162     4,033,846
Wolfspeed, Inc. (A)   69,045     7,861,464
          52,449,711
Software – 3.6%      
ACI Worldwide, Inc. (A)   65,518     2,063,162
Aspen Technology, Inc. (A)   37,293     6,167,143
Blackbaud, Inc. (A)   25,051     1,499,803
CDK Global, Inc.   65,331     3,180,313
CommVault Systems, Inc. (A)   24,934     1,654,371
Digital Turbine, Inc. (A)   49,674     2,176,218
Envestnet, Inc. (A)   30,453     2,266,921
Fair Isaac Corp. (A)   14,684     6,849,499
Manhattan Associates, Inc. (A)   35,266     4,891,747
Mimecast, Ltd. (A)   34,804     2,769,006
NCR Corp. (A)   73,562     2,956,457
Paylocity Holding Corp. (A)   22,208     4,569,740
Qualys, Inc. (A)   18,607     2,649,823
Sailpoint Technologies Holdings, Inc. (A)   51,975     2,660,081
Teradata Corp. (A)   60,466     2,980,369
          49,334,653
Technology hardware, storage and peripherals – 0.1%      
Xerox Holdings Corp.   68,771     1,387,111
          186,672,788
Materials – 7.2%          
Chemicals – 2.4%      
Ashland Global Holdings, Inc.   29,634     2,916,282
Avient Corp.   50,987     2,447,376
Cabot Corp.   31,613     2,162,645
Ingevity Corp. (A)   21,894     1,402,749
Minerals Technologies, Inc.   18,554     1,227,347
NewMarket Corp.   3,850     1,248,863
Olin Corp.   78,843     4,121,912
RPM International, Inc.   72,602     5,912,707
Sensient Technologies Corp.   23,421     1,966,193
The Chemours Company   89,464     2,816,327
The Scotts Miracle-Gro Company   22,701     2,791,315
Valvoline, Inc.   99,902     3,152,907
          32,166,623
Construction materials – 0.2%      
Eagle Materials, Inc.   22,107     2,837,655
Containers and packaging – 0.8%      
AptarGroup, Inc.   36,904     4,336,220
 
  162  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Containers and packaging (continued)      
Greif, Inc., Class A   14,797   $ 962,693
Silgan Holdings, Inc.   46,763     2,161,853
Sonoco Products Company   54,796     3,428,038
          10,888,804
Metals and mining – 3.5%      
Alcoa Corp.   102,849     9,259,495
Cleveland-Cliffs, Inc. (A)   267,101     8,603,323
Commercial Metals Company   67,905     2,826,206
Reliance Steel & Aluminum Company   35,052     6,426,784
Royal Gold, Inc.   36,579     5,167,881
Steel Dynamics, Inc.   105,407     8,794,106
U.S. Steel Corp.   145,760     5,500,982
Worthington Industries, Inc.   18,461     949,080
          47,527,857
Paper and forest products – 0.3%      
Louisiana-Pacific Corp.   49,036     3,046,116
          96,467,055
Real estate – 9.7%          
Equity real estate investment trusts – 9.2%      
American Campus Communities, Inc.   78,021     4,366,835
Apartment Income REIT Corp.   87,973     4,703,037
Brixmor Property Group, Inc.   166,551     4,298,681
Camden Property Trust   57,107     9,491,183
Corporate Office Properties Trust   62,598     1,786,547
Cousins Properties, Inc.   83,515     3,364,819
Douglas Emmett, Inc.   97,796     3,268,342
EastGroup Properties, Inc.   22,673     4,608,967
EPR Properties   41,688     2,280,750
First Industrial Realty Trust, Inc.   72,610     4,495,285
Healthcare Realty Trust, Inc.   82,224     2,259,516
Highwoods Properties, Inc.   58,774     2,688,323
Hudson Pacific Properties, Inc.   84,975     2,358,056
JBG SMITH Properties   63,620     1,858,976
Kilroy Realty Corp.   58,761     4,490,516
Kite Realty Group Trust   122,057     2,779,238
Lamar Advertising Company, Class A   48,612     5,647,742
Life Storage, Inc.   45,710     6,419,055
Medical Properties Trust, Inc.   333,598     7,052,262
National Retail Properties, Inc.   98,471     4,425,287
National Storage Affiliates Trust   45,666     2,865,998
Omega Healthcare Investors, Inc.   134,073     4,177,715
Park Hotels & Resorts, Inc.   131,788     2,573,820
Pebblebrook Hotel Trust   73,219     1,792,401
Physicians Realty Trust   122,765     2,153,298
PotlatchDeltic Corp.   38,660     2,038,542
PS Business Parks, Inc.   11,208     1,883,841
Rayonier, Inc.   81,371     3,345,976
Rexford Industrial Realty, Inc.   89,544     6,679,087
Sabra Health Care REIT, Inc.   127,439     1,897,567
SL Green Realty Corp.   35,881     2,912,820
Spirit Realty Capital, Inc.   71,442     3,287,761
STORE Capital Corp.   137,647     4,023,422
The Macerich Company   118,724     1,856,843
          124,132,508
Real estate management and development – 0.5%      
Jones Lang LaSalle, Inc. (A)   28,233     6,760,674
          130,893,182
Utilities – 3.2%          
Electric utilities – 1.1%      
ALLETE, Inc.   29,298     1,962,380
Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electric utilities (continued)      
Hawaiian Electric Industries, Inc.   60,918   $ 2,577,441
IDACORP, Inc.   28,152     3,247,615
OGE Energy Corp.   112,218     4,576,250
PNM Resources, Inc.   47,835     2,280,294
          14,643,980
Gas utilities – 1.3%      
National Fuel Gas Company   51,197     3,517,234
New Jersey Resources Corp.   53,742     2,464,608
ONE Gas, Inc.   29,864     2,635,199
Southwest Gas Holdings, Inc.   33,652     2,634,615
Spire, Inc.   28,803     2,066,903
UGI Corp.   117,415     4,252,771
          17,571,330
Multi-utilities – 0.3%      
Black Hills Corp.   35,566     2,739,293
NorthWestern Corp.   30,422     1,840,227
          4,579,520
Water utilities – 0.5%      
Essential Utilities, Inc.   128,717     6,581,300
          43,376,130
TOTAL COMMON STOCKS (Cost $995,881,659)   $ 1,296,742,942
SHORT-TERM INVESTMENTS – 4.6%      
U.S. Government Agency – 3.3%          
Federal Home Loan Bank Discount Note          
0.100%, 04/06/2022 * $ 34,300,000     34,299,191
0.150%, 04/07/2022 *   10,000,000     9,999,717
          44,298,908
Short-term funds – 0.7%          
John Hancock Collateral Trust, 0.3592% (C)(D)   984,124     9,840,064
Repurchase agreement – 0.6%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $8,493,000 on 4-1-22, collateralized by $8,674,400 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $8,662,880) $ 8,493,000     8,493,000
TOTAL SHORT-TERM INVESTMENTS (Cost $62,631,602)   $ 62,631,972
Total Investments (Mid Cap Index Trust)
(Cost $1,058,513,261) – 100.7%
  $ 1,359,374,914
Other assets and liabilities, net – (0.7%)     (9,555,987)
TOTAL NET ASSETS – 100.0%   $ 1,349,818,927
Security Abbreviations and Legend
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $9,713,761. In addition to the cash collateral invested in John Hancock Collateral Trust, if any, non-cash collateral of $71,186 in the form of U.S. Treasuries was pledged to the fund.
(C) The rate shown is the annualized seven-day yield as of 3-31-22.
(D) 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.
 
  163  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Mid Cap Index Trust (continued)
    
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
S&P Mid 400 E-Mini Index Futures 208 Long Jun 2022 $54,006,678 $55,935,360 $1,928,682
            $1,928,682
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Mid Value Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 95.0%      
Communication services – 5.9%          
Entertainment – 0.5%      
Madison Square Garden Entertainment Corp. (A)   18,900   $ 1,574,559
Madison Square Garden Sports Corp. (A)   9,510     1,705,714
          3,280,273
Media – 5.3%      
DISH Network Corp., Class A (A)   125,116     3,959,921
Fox Corp., Class A   101,953     4,022,046
News Corp., Class A   668,860     14,815,249
Paramount Global, Class B   224,462     8,486,908
Scholastic Corp.   98,068     3,950,179
          35,234,303
Wireless telecommunication services – 0.1%      
Telephone & Data Systems, Inc.   24,003     453,177
          38,967,753
Consumer discretionary – 2.6%          
Diversified consumer services – 0.6%      
Strategic Education, Inc.   55,075     3,655,879
Hotels, restaurants and leisure – 0.5%      
Compass Group PLC   145,662     3,134,659
Household durables – 0.6%      
Mohawk Industries, Inc. (A)   32,681     4,058,980
Textiles, apparel and luxury goods – 0.9%      
Ralph Lauren Corp.   54,043     6,130,638
          16,980,156
Consumer staples – 8.5%          
Beverages – 0.7%      
Carlsberg A/S, Class B   36,770     4,513,937
Food and staples retailing – 1.4%      
Sysco Corp.   112,943     9,221,796
Food products – 5.8%      
Bunge, Ltd.   137,811     15,270,837
Campbell Soup Company   169,336     7,547,306
Flowers Foods, Inc.   560,435     14,408,784
The Kraft Heinz Company   16,959     668,015
          37,894,942
Household products – 0.6%      
Kimberly-Clark Corp.   33,721     4,153,078
          55,783,753
Energy – 12.1%          
Energy equipment and services – 3.9%      
Expro Group Holdings NV (A)   301,199     5,355,318
NOV, Inc.   317,644     6,228,999
SEACOR Marine Holdings, Inc. (A)   126,331     1,019,491
TechnipFMC PLC (A)   1,137,687     8,817,074
Mid Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Energy equipment and services (continued)      
Tidewater, Inc. (A)   207,950   $ 4,520,833
          25,941,715
Oil, gas and consumable fuels – 8.2%      
APA Corp.   140,500     5,806,865
Cameco Corp.   487,147     14,175,978
Canadian Natural Resources, Ltd.   126,126     7,817,289
EQT Corp.   155,137     5,338,264
Equitrans Midstream Corp.   596,239     5,032,257
Imperial Oil, Ltd.   300,601     14,525,040
NAC Kazatomprom JSC, GDR   37,366     1,182,975
          53,878,668
          79,820,383
Financials – 18.3%          
Banks – 4.1%      
Fifth Third Bancorp   300,379     12,928,312
Popular, Inc.   58,448     4,777,540
Webster Financial Corp.   59,217     3,323,258
Westamerica BanCorp   95,873     5,800,317
          26,829,427
Capital markets – 4.4%      
Lazard, Ltd., Class A   83,151     2,868,710
Northern Trust Corp.   79,203     9,223,189
Open Lending Corp., Class A (A)   101,500     1,919,365
State Street Corp.   169,539     14,770,238
          28,781,502
Diversified financial services – 1.4%      
Groupe Bruxelles Lambert SA   61,966     6,412,009
Jackson Financial, Inc., Class A   73,562     3,253,647
          9,665,656
Insurance – 8.2%      
Brighthouse Financial, Inc. (A)   76,167     3,934,787
Brown & Brown, Inc.   141,233     10,206,909
CNA Financial Corp.   161,038     7,829,668
Kemper Corp.   106,621     6,028,351
Loews Corp.   236,606     15,336,801
Marsh & McLennan Companies, Inc.   21,032     3,584,273
RenaissanceRe Holdings, Ltd.   46,549     7,378,482
          54,299,271
Thrifts and mortgage finance – 0.2%      
Capitol Federal Financial, Inc.   119,963     1,305,197
          120,881,053
Health care – 13.5%          
Biotechnology – 1.6%      
ACADIA Pharmaceuticals, Inc. (A)   23,300     564,326
Alkermes PLC (A)   154,006     4,051,898
BioMarin Pharmaceutical, Inc. (A)   26,502     2,043,304
Galapagos NV (A)   36,713     2,281,048
 
  164  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Mid Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Incyte Corp. (A)   16,689   $ 1,325,440
          10,266,016
Health care equipment and supplies – 4.8%      
Baxter International, Inc.   71,728     5,561,789
Dentsply Sirona, Inc.   137,083     6,747,225
Hologic, Inc. (A)   45,657     3,507,371
Koninklijke Philips NV, NYRS   260,558     7,954,836
Zimmer Biomet Holdings, Inc.   61,340     7,845,386
Zimvie, Inc. (A)   8,834     201,769
          31,818,376
Health care providers and services – 7.1%      
Cardinal Health, Inc.   299,198     16,964,527
Centene Corp. (A)   60,139     5,063,102
Covetrus, Inc. (A)   41,106     690,170
Fresenius SE & Company KGaA   67,013     2,460,479
Fresenius SE & Company KGaA, ADR   135,772     1,262,680
Patterson Companies, Inc.   306,951     9,936,004
Select Medical Holdings Corp.   437,464     10,494,761
          46,871,723
          88,956,115
Industrials – 6.2%          
Aerospace and defense – 3.3%      
Rolls-Royce Holdings PLC (A)   4,717,404     6,203,368
Textron, Inc.   205,178     15,261,140
          21,464,508
Air freight and logistics – 0.5%      
CH Robinson Worldwide, Inc.   29,341     3,160,319
Airlines – 0.0%      
Southwest Airlines Company (A)   4,104     187,963
Commercial services and supplies – 0.2%      
Cintas Corp.   3,472     1,476,954
Machinery – 1.6%      
AGCO Corp.   13,228     1,931,685
PACCAR, Inc.   98,872     8,707,657
          10,639,342
Road and rail – 0.6%      
JB Hunt Transport Services, Inc.   19,113     3,837,699
          40,766,785
Information technology – 1.1%          
Electronic equipment, instruments and components – 0.8%      
National Instruments Corp.   126,023     5,115,274
Semiconductors and semiconductor equipment – 0.3%      
Applied Materials, Inc.   14,523     1,914,131
          7,029,405
Materials – 11.9%          
Chemicals – 3.0%      
Corteva, Inc.   190,692     10,960,976
PPG Industries, Inc.   15,761     2,065,794
The Scotts Miracle-Gro Company   25,700     3,160,072
Westlake Corp.   29,483     3,638,202
          19,825,044
Construction materials – 1.8%      
Summit Materials, Inc., Class A (A)   239,728     7,445,952
Vulcan Materials Company   22,446     4,123,330
          11,569,282
Metals and mining – 7.1%      
AngloGold Ashanti, Ltd., ADR   272,198     6,448,371
Centerra Gold, Inc.   69,839     686,575
Cia de Minas Buenaventura SAA, ADR (A)   490,302     4,937,341
Mid Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Metals and mining (continued)      
Franco-Nevada Corp.   93,506   $ 14,879,881
Freeport-McMoRan, Inc.   190,567     9,478,803
Fresnillo PLC   626,905     6,001,491
Gold Fields, Ltd., ADR   283,067     4,376,216
          46,808,678
          78,203,004
Real estate – 7.7%          
Equity real estate investment trusts – 7.4%      
Apartment Income REIT Corp.   8,790     469,913
Apartment Investment and Management Company, Class A (A)   417,176     3,053,728
Equity Commonwealth (A)   301,342     8,500,858
Equity Residential   58,424     5,253,486
Omega Healthcare Investors, Inc.   11,000     342,760
Rayonier, Inc.   257,728     10,597,775
Regency Centers Corp.   95,151     6,788,072
Vornado Realty Trust   52,600     2,383,832
Weyerhaeuser Company   304,991     11,559,159
          48,949,583
Real estate management and development – 0.3%      
The St. Joe Company   29,723     1,760,791
          50,710,374
Utilities – 7.2%          
Electric utilities – 5.0%      
FirstEnergy Corp.   410,740     18,836,536
PG&E Corp. (A)   1,175,485     14,035,291
          32,871,827
Gas utilities – 1.1%      
Atmos Energy Corp.   3,500     418,215
National Fuel Gas Company   104,279     7,163,967
          7,582,182
Independent power and renewable electricity producers –
0.2%
     
Vistra Corp.   63,174     1,468,796
Multi-utilities – 0.9%      
CenterPoint Energy, Inc.   190,005     5,821,753
          47,744,558
TOTAL COMMON STOCKS (Cost $456,616,134)   $ 625,843,339
CORPORATE BONDS - 0.0%          
Energy - 0.0%          
Weatherford International, Ltd.
11.000%, 12/01/2024 (B)
$ 172,000     178,020
TOTAL CORPORATE BONDS (Cost $139,053)   $ 178,020
SHORT-TERM INVESTMENTS – 4.9%      
Short-term funds – 4.9%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (C)   2,969,967     2,969,967
T. Rowe Price Government Reserve Fund, 0.2855% (C)   29,152,553     29,152,553
TOTAL SHORT-TERM INVESTMENTS (Cost $32,122,520)   $ 32,122,520
Total Investments (Mid Value Trust)
(Cost $488,877,707) – 99.9%
  $ 658,143,879
Other assets and liabilities, net – 0.1%     980,516
TOTAL NET ASSETS – 100.0%   $ 659,124,395
Security Abbreviations and Legend
ADR American Depositary Receipt
GDR Global Depositary Receipt
 
  165  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Mid Value Trust (continued)
NYRS New York Registry Shares
(A) Non-income producing security.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) The rate shown is the annualized seven-day yield as of 3-31-22.
Opportunistic Fixed Income Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS - 7.5%
         
U.S. Government Agency - 7.5%          
Federal National Mortgage Association
2.500%, TBA (A)
$ 14,778,000   $ 14,085,635
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $14,304,480)   $ 14,085,635
FOREIGN GOVERNMENT OBLIGATIONS - 42.1%      
Argentina - 0.3%          
Republic of Argentina          
1.000%, 07/09/2029   34,723     11,860
(1.125% to 7-9-22, then 1.500% to 7-9-23, then 3.625% to 7-9-24, then 4.125% to 7-9-27, then 4.750% to 7-9-28, then 5.000% thereafter), 07/09/2035   1,534,439     467,866
          479,726
Australia - 0.7%          
Commonwealth of Australia
0.250%, 11/21/2032
AUD 1,750,000     1,320,237
Benin - 0.2%          
Republic of Benin
4.950%, 01/22/2035
EUR 390,000     351,125
Brazil - 5.4%          
Federative Republic of Brazil
10.000%, 01/01/2025 to 01/01/2029
BRL 49,907,000     10,073,611
Canada - 2.4%          
Government of Canada
4.000%, 12/01/2031
CAD 2,066,428     2,262,054
Province of Ontario
2.000%, 12/01/2036
  2,629,146     2,302,288
          4,564,342
Chile - 1.8%          
Republic of Chile          
1.900%, 09/01/2030 CLP 2,379,580,500     3,034,963
5.000%, 03/01/2035   150,000,000     173,449
Republic of Chile, CPI Linked Bond
1.250%, 01/22/2051
EUR 130,000     106,530
          3,314,942
Colombia - 1.3%          
Republic of Colombia          
3.875%, 02/15/2061 $ 1,305,000     930,765
5.000%, 06/15/2045   400,000     336,644
5.625%, 02/26/2044   255,000     231,150
6.000%, 04/28/2028 COP 1,667,200,000     373,132
6.125%, 01/18/2041 $ 645,000     625,734
          2,497,425
Czech Republic - 0.2%          
Czech Republic
2.500%, 08/25/2028
CZK 9,720,000     406,552
Dominican Republic - 0.3%          
Government of Dominican Republic
4.875%, 09/23/2032
$ 600,000     543,006
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Egypt - 0.3%          
Arab Republic of Egypt          
7.903%, 02/21/2048 $ 420,000   $ 340,212
14.563%, 07/06/2026 EGP 3,600,000     186,945
          527,157
El Salvador - 0.0%          
Republic of El Salvador
7.125%, 01/20/2050
$ 155,000     68,977
Ghana - 0.3%          
Republic of Ghana
10.750%, 10/14/2030
  450,000     474,237
Greece - 0.3%          
Republic of Greece, GDP-Linked Note
4.404%, 10/15/2042 (B)*
EUR 409,185,000     543,193
Hungary - 0.6%          
Republic of Hungary          
1.500%, 11/17/2050   395,000     329,609
1.625%, 04/28/2032   520,000     545,894
6.750%, 10/22/2028 HUF 90,530,000     277,696
          1,153,199
Iceland - 2.0%          
Republic of Iceland          
5.000%, 11/15/2028 ISK 433,770,000     3,356,061
6.500%, 01/24/2031   46,170,000     393,908
          3,749,969
Indonesia - 0.8%          
Republic of Indonesia          
1.100%, 03/12/2033 EUR 280,000     269,521
1.400%, 10/30/2031   380,000     382,578
7.000%, 09/15/2030 IDR 11,969,000,000     848,351
          1,500,450
Israel - 2.2%          
State of Israel
3.750%, 03/31/2047
ILS 11,582,863     4,123,748
Ivory Coast - 0.1%          
Republic of Ivory Coast
4.875%, 01/30/2032
EUR 260,000     252,325
Japan - 3.7%          
Government of Japan, CPI Linked Bond
0.100%, 03/10/2028
JPY 796,715,080     6,908,267
Kazakhstan - 0.1%          
Republic of Kazakhstan
1.500%, 09/30/2034
EUR 200,000     168,747
Macedonia - 0.7%          
Republic of North Macedonia          
1.625%, 03/10/2028   1,235,000     1,188,511
2.750%, 01/18/2025   150,000     161,411
          1,349,922
Malaysia - 0.4%          
Government of Malaysia
3.885%, 08/15/2029
MYR 3,440,000     818,784
Mexico - 2.5%          
Government of Mexico          
2.125%, 10/25/2051 EUR 745,000     589,849
2.750%, 11/27/2031 MXN 46,296,474     2,145,792
3.625%, 04/09/2029 EUR 550,000     650,758
4.000%, 11/15/2040 MXN 4,987,289     254,510
5.625%, 03/19/2114 GBP 100,000     129,854
8.500%, 05/31/2029 MXN 16,632,300     841,583
          4,612,346
 
  166  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Morocco - 0.3%          
Kingdom of Morocco          
2.000%, 09/30/2030 EUR 485,000   $ 467,721
4.000%, 12/15/2050 $ 200,000     160,024
          627,745
New Zealand - 2.7%          
Government of New Zealand          
1.500%, 05/15/2031 NZD 690,000     413,446
2.750%, 05/15/2051   2,000,000     1,217,265
Government of New Zealand, Inflation
Linked Bond
         
2.789%, 09/20/2040   1,390,000     1,297,753
2.818%, 09/20/2035   1,025,000     941,988
3.435%, 09/20/2030   1,280,000     1,192,463
          5,062,915
Norway - 2.3%          
Kingdom of Norway          
1.375%, 08/19/2030 (C) NOK 20,150,000     2,083,392
1.750%, 09/06/2029 (C)   21,131,000     2,264,461
          4,347,853
Pakistan - 0.1%          
Republic of Pakistan
8.875%, 04/08/2051
$ 200,000     138,880
Panama - 0.3%          
Republic of Panama
4.500%, 04/01/2056
  560,000     547,305
Peru - 0.2%          
Republic of Peru          
1.950%, 11/17/2036 EUR 165,000     158,346
6.950%, 08/12/2031 PEN 730,000     203,386
          361,732
Philippines - 0.1%          
Republic of the Philippines
1.750%, 04/28/2041
EUR 130,000     121,981
Poland - 0.4%          
Republic of Poland          
2.375%, 01/18/2036   175,000     194,722
2.500%, 07/25/2026 PLN 2,870,000     601,204
          795,926
Romania - 1.1%          
Republic of Romania          
2.625%, 12/02/2040 (C) EUR 540,000     453,293
2.750%, 04/14/2041 (C)   170,000     143,524
2.875%, 04/13/2042 (C)   475,000     401,387
3.750%, 02/07/2034 (C)   140,000     144,340
3.875%, 10/29/2035   520,000     538,111
4.625%, 04/03/2049   205,000     221,253
4.850%, 04/22/2026 RON 1,170,000     252,220
          2,154,128
Russia - 0.1%          
Government of Russia          
6.900%, 05/23/2029 (D) RUB 240,040,000     88,630
7.050%, 01/19/2028 (D)   133,185,000     49,176
7.650%, 04/10/2030 (D)   84,090,000     31,049
          168,855
Serbia - 0.6%          
Republic of Serbia          
1.650%, 03/03/2033 EUR 660,000     571,041
2.050%, 09/23/2036 (C)   115,000     97,744
2.050%, 09/23/2036   605,000     514,276
          1,183,061
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
South Africa - 0.4%          
Republic of South Africa
8.250%, 03/31/2032
ZAR 12,860,000   $ 785,294
South Korea - 6.2%          
Republic of Korea
1.375%, 12/10/2029
KRW 10,736,980,000     7,899,730
Republic of Korea, Inflation
Linked Bond
         
1.125%, 06/10/2030   2,912,643,936     2,421,560
1.750%, 06/10/2028   1,513,481,122     1,309,830
          11,631,120
Spain - 0.2%          
Kingdom of Spain
1.000%, 10/31/2050 (C)
EUR 410,000     358,424
Sri Lanka - 0.1%          
Democratic Socialist Republic of Sri Lanka
6.750%, 04/18/2028
$ 200,000     93,820
Thailand - 0.4%          
Kingdom of Thailand
1.600%, 12/17/2029
THB 28,300,000     809,214
Turkey - 0.0%          
Republic of Turkey
8.000%, 03/12/2025
TRY 2,010,000     92,474
Uruguay - 0.0%          
Republic of Uruguay
8.500%, 03/15/2028
UYU 670,000     15,909
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $95,378,538)   $ 79,098,923
CORPORATE BONDS - 21.8%      
Australia - 0.1%          
Macquarie Group, Ltd. (4.442% to 6-21-32, then SOFR + 2.405%)
06/21/2033 (C)
$ 230,000     232,151
Austria - 0.1%          
Klabin Austria GmbH
7.000%, 04/03/2049 (C)
  200,000     210,290
Brazil - 0.2%          
Globo Comunicacao e Participacoes SA
4.875%, 01/22/2030
  200,000     176,750
StoneCo, Ltd.
3.950%, 06/16/2028
  200,000     168,000
          344,750
Canada - 0.2%          
Canadian Pacific Railway Company          
3.000%, 12/02/2041   20,000     17,991
3.100%, 12/02/2051   20,000     17,683
goeasy, Ltd.
4.375%, 05/01/2026 (C)
  40,000     37,700
Nutrien, Ltd.
2.950%, 05/13/2030
  29,000     27,972
Open Text Corp.
3.875%, 02/15/2028 (C)
  170,000     162,991
TransCanada Trust (5.500% to 9-15-29, then SOFR + 4.416% to 9-15-49, then SOFR + 5.166%)
09/15/2079
  35,000     34,930
          299,267
Cayman Islands - 0.1%          
CK Hutchison Europe Finance 18, Ltd.
2.000%, 04/13/2030
EUR 100,000     107,462
 
  167  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Chile - 0.2%          
Empresa de los Ferrocarriles del Estado
3.830%, 09/14/2061 (C)
$ 245,000   $ 203,659
VTR Comunicaciones SpA
4.375%, 04/15/2029
  200,000     182,752
          386,411
China - 0.4%          
Alibaba Group Holding, Ltd.
4.400%, 12/06/2057
  200,000     188,108
Country Garden Holdings Company, Ltd.
3.875%, 10/22/2030
  200,000     136,000
KWG Group Holdings, Ltd.
6.000%, 08/14/2026
  630,000     242,708
Times China Holdings, Ltd.
5.750%, 01/14/2027
  200,000     76,000
Yuzhou Group Holdings Company, Ltd.          
6.350%, 01/13/2027   200,000     21,000
7.375%, 01/13/2026   200,000     26,100
          689,916
Denmark - 0.1%          
Danske Bank A/S (4.298% to 4-1-27, then 1 Year CMT + 1.750%)
04/01/2028 (C)
  200,000     201,612
Finland - 0.0%          
Nokia OYJ
6.625%, 05/15/2039
  25,000     29,781
France - 0.9%          
BNP Paribas SA (2.159% to 9-15-28, then SOFR + 1.218%)
09/15/2029 (C)
  200,000     177,933
Faurecia SE
3.750%, 06/15/2028
EUR 170,000     176,265
Societe Generale SA (4.027% to 1-21-42, then 1 Year CMT + 1.900%)
01/21/2043 (C)
$ 210,000     182,569
TotalEnergies Capital International SA
1.618%, 05/18/2040
EUR 100,000     101,552
TotalEnergies SE (2.125% to 1-25-33, then 5 Year Euro Swap Rate + 2.513% to 1-25-53, then 5 Year Euro Swap Rate + 3.263%)
07/25/2032 (E)
  470,000     445,930
Valeo
1.000%, 08/03/2028
  700,000     672,486
          1,756,735
Germany - 0.4%          
Deutsche Bank AG (2.311% to 11-16-26, then SOFR + 1.219%)
11/16/2027
$ 150,000     137,462
Deutsche Bank AG (3.742% to 1-7-32, then SOFR + 2.257%)
01/07/2033
  200,000     176,760
Deutsche Bank AG (5.625% to 5-19-26, then 5 Year Euro Swap Rate + 6.000%)
05/19/2031
EUR 100,000     119,141
Muenchener Rueckversicherungs-Gesellschaft AG (1.250% to 5-26-31, then 3 month EURIBOR + 2.550%)
05/26/2041
  200,000     197,459
Vonovia SE
1.500%, 06/14/2041
  200,000     179,782
          810,604
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Indonesia - 0.1%          
Perusahaan Perseroan Persero PT Perusahaan Listrik Negara
6.250%, 01/25/2049
$ 200,000   $ 226,000
Italy - 0.3%          
Assicurazioni Generali SpA
2.429%, 07/14/2031
EUR 600,000     634,593
Japan - 0.1%          
Nissan Motor Company, Ltd.
4.810%, 09/17/2030 (C)
$ 200,000     198,271
Luxembourg - 0.3%          
Dana Financing Luxembourg Sarl
3.000%, 07/15/2029
EUR 100,000     100,330
EIG Pearl Holdings Sarl
4.387%, 11/30/2046
$ 200,000     186,856
JBS Finance Luxembourg Sarl
3.625%, 01/15/2032
  200,000     183,002
Trinseo Materials Operating SCA
5.125%, 04/01/2029 (C)
  105,000     96,887
          567,075
Macau - 0.3%          
Wynn Macau, Ltd.          
5.625%, 08/26/2028 (C)   330,000     286,691
5.625%, 08/26/2028   200,000     173,752
          460,443
Malta - 0.1%          
VistaJet Malta Finance PLC
6.375%, 02/01/2030 (C)
  122,000     114,786
Mexico - 0.4%          
Alfa SAB de CV
6.875%, 03/25/2044
  200,000     221,286
Infraestructura Energetica Nova SAB de CV
4.750%, 01/15/2051
  200,000     173,650
Trust Fibra Uno
6.390%, 01/15/2050
  200,000     201,758
Unifin Financiera SAB de CV
8.375%, 01/27/2028
  205,000     129,152
          725,846
Morocco - 0.1%          
OCP SA
5.125%, 06/23/2051
  210,000     175,440
Netherlands - 1.0%          
ABN AMRO Bank NV (3.324% to 3-13-32, then 5 Year CMT + 1.900%)
03/13/2037 (C)
  400,000     363,523
Prosus NV
4.987%, 01/19/2052 (C)
  200,000     170,040
Telefonica Europe BV (2.376% to 5-12-29, then 8 Year Euro Swap Rate + 2.616% to 2-12-31, then 8 Year Euro Swap Rate + 2.866%)
02/12/2029 (E)
EUR 200,000     191,403
Teva Pharmaceutical Finance Netherlands II BV
4.375%, 05/09/2030
  750,000     768,933
Wintershall Dea Finance 2 BV (3.000% to 1-20-29, then 5 Year Euro Swap Rate + 3.319% to 1-20-34, then 5 Year Euro Swap Rate + 4.319%)
07/20/2028 (E)
  200,000     186,456
ZF Europe Finance BV
3.000%, 10/23/2029
  200,000     197,731
          1,878,086
 
  168  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Norway - 0.1%          
DNB Bank ASA (1.605% to 3-30-27, then 1 Year CMT + 0.680%)
03/30/2028 (C)
$ 200,000   $ 180,620
Equinor ASA
3.000%, 04/06/2027
  47,000     46,784
          227,404
Spain - 0.1%          
Banco Santander SA (4.175% to 3-24-27, then 1 Year CMT + 2.000%)
03/24/2028
  200,000     201,014
Switzerland - 0.3%          
Credit Suisse Group AG
4.875%, 05/15/2045
  250,000     258,929
Credit Suisse Group AG (4.194% to 4-1-30, then SOFR + 3.730%)
04/01/2031 (C)
  250,000     246,628
          505,557
United Arab Emirates - 0.1%          
Abu Dhabi Crude Oil Pipeline LLC
4.600%, 11/02/2047
  200,000     211,435
United Kingdom - 0.3%          
AstraZeneca PLC
4.375%, 08/17/2048
  26,000     29,517
BAT International Finance PLC          
2.250%, 01/16/2030 EUR 100,000     101,695
2.250%, 09/09/2052 GBP 130,000     100,528
British Airways 2021-1 Class A Pass Through Trust
2.900%, 03/15/2035 (C)
$ 19     18
HSBC Holdings PLC (4.762% to 3-29-32, then SOFR + 2.530%)
03/29/2033
  210,000     215,812
Vodafone Group PLC (3.000% to 8-27-30, then 5 Year Euro Swap Rate + 3.477% to 8-27-50, then 5 Year Euro Swap Rate + 4.227%)
08/27/2080
EUR 155,000     156,894
          604,464
United States - 15.5%          
AbbVie, Inc.
4.250%, 11/21/2049
$ 35,000     36,320
Acrisure LLC
6.000%, 08/01/2029 (C)
  63,000     58,252
Adams Homes, Inc.
7.500%, 02/15/2025 (C)
  10,000     9,975
Adient Global Holdings, Ltd.
4.875%, 08/15/2026 (C)
  200,000     190,342
Alcon Finance Corp.
3.800%, 09/23/2049 (C)
  200,000     186,372
Alliant Holdings Intermediate LLC
6.750%, 10/15/2027 (C)
  61,000     60,264
Altria Group, Inc.          
3.125%, 06/15/2031 EUR 100,000     110,332
4.400%, 02/14/2026 $ 26,000     26,894
American Airlines, Inc.
5.750%, 04/20/2029 (C)
  75,000     74,719
American International Group, Inc.          
3.875%, 01/15/2035   42,000     42,797
4.750%, 04/01/2048   95,000     108,847
AmeriGas Partners LP
5.750%, 05/20/2027
  90,000     89,663
Anheuser-Busch Companies LLC
4.900%, 02/01/2046
  17,000     18,906
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Anheuser-Busch InBev Worldwide, Inc.
4.600%, 04/15/2048
$ 19,000   $ 20,506
Antero Midstream Partners LP          
5.375%, 06/15/2029 (C)   62,000     61,937
5.750%, 03/01/2027 (C)   30,000     30,552
Antero Resources Corp.          
5.375%, 03/01/2030 (C)   60,000     61,275
8.375%, 07/15/2026 (C)   36,000     39,690
Anthem, Inc.          
2.250%, 05/15/2030   29,000     26,609
3.700%, 09/15/2049   15,000     14,583
Aon Corp.          
2.900%, 08/23/2051   200,000     165,769
3.900%, 02/28/2052   10,000     9,869
Aon PLC
3.875%, 12/15/2025
  40,000     40,841
Apple, Inc.          
1.200%, 02/08/2028   47,000     42,790
2.650%, 05/11/2050   22,000     19,162
APX Group, Inc.
5.750%, 07/15/2029 (C)
  109,000     99,444
Aramark Services, Inc.
6.375%, 05/01/2025 (C)
  170,000     174,510
Arches Buyer, Inc.
6.125%, 12/01/2028 (C)
  140,000     129,409
Arizona Public Service Company          
2.650%, 09/15/2050   135,000     103,677
3.350%, 05/15/2050   115,000     100,044
AT&T, Inc.          
2.300%, 06/01/2027   32,000     30,489
3.500%, 06/01/2041 to 09/15/2053   72,000     64,128
Aviation Capital Group LLC
1.950%, 01/30/2026 (C)
  95,000     87,247
B&G Foods, Inc.
5.250%, 09/15/2027
  190,000     181,450
Bank of America Corp. (2.087% to 6-14-28, then SOFR + 1.060%)
06/14/2029
  44,000     40,192
Bank of America Corp. (2.482% to 9-21-31, then 5 Year CMT + 1.200%)
09/21/2036
  125,000     107,471
Bank of America Corp. (2.676% to 6-19-40, then SOFR + 1.930%)
06/19/2041
  60,000     50,662
Bank of America Corp. (2.972% to 2-4-32, then SOFR + 1.330%)
02/04/2033
  150,000     140,549
Bank of America Corp. (3.093% to 10-1-24, then 3 month LIBOR + 1.090%)
10/01/2025
  27,000     26,908
Bank of America Corp. (3.846% to 3-8-32, then 5 Year CMT + 2.000%)
03/08/2037
  175,000     167,584
Bank of America Corp. (4.443% to 1-20-47, then 3 month LIBOR + 1.990%)
01/20/2048
  27,000     29,364
BAT Capital Corp.          
3.222%, 08/15/2024   47,000     46,983
4.906%, 04/02/2030   46,000     47,382
5.650%, 03/16/2052   90,000     91,303
Bausch Health Companies, Inc.          
4.875%, 06/01/2028 (C)   62,000     59,365
5.250%, 01/30/2030 (C)   185,000     145,325
 
  169  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Baxter International, Inc.
2.272%, 12/01/2028 (C)
$ 45,000   $ 41,688
BCPE Ulysses Intermediate, Inc. (7.750% Cash or 8.500% PIK)
7.750%, 04/01/2027 (C)
  59,000     53,543
Belo Corp.
7.250%, 09/15/2027
  98,000     109,760
Berkshire Hathaway Energy Company
2.850%, 05/15/2051
  26,000     22,030
Black Knight InfoServ LLC
3.625%, 09/01/2028 (C)
  675,000     639,698
Blackstone Holdings Finance Company LLC
3.200%, 01/30/2052 (C)
  140,000     121,166
Block, Inc.
3.500%, 06/01/2031 (C)
  125,000     114,375
Blue Racer Midstream LLC
7.625%, 12/15/2025 (C)
  10,000     10,456
Bon Secours Mercy Health, Inc.          
2.095%, 06/01/2031   23,000     20,481
3.205%, 06/01/2050   20,000     16,944
Booz Allen Hamilton, Inc.
4.000%, 07/01/2029 (C)
  120,000     117,173
Boston Gas Company
3.757%, 03/16/2032 (C)
  50,000     50,041
Boston Scientific Corp.
4.700%, 03/01/2049
  5,000     5,571
Boyd Gaming Corp.
8.625%, 06/01/2025 (C)
  73,000     76,676
BP Capital Markets America, Inc.
2.721%, 01/12/2032
  40,000     37,644
Brandywine Operating Partnership LP
4.550%, 10/01/2029
  22,000     22,788
Brighthouse Financial, Inc.
5.625%, 05/15/2030
  24,000     26,309
Brixmor Operating Partnership LP
3.900%, 03/15/2027
  32,000     32,265
Broadcom Corp.
3.875%, 01/15/2027
  74,000     74,495
Broadcom, Inc.          
4.150%, 04/15/2032 (C)   200,000     199,562
4.300%, 11/15/2032   170,000     172,510
Buckeye Partners LP
5.850%, 11/15/2043
  195,000     166,226
Builders FirstSource, Inc.
5.000%, 03/01/2030 (C)
  500,000     491,810
Caesars Entertainment, Inc.
8.125%, 07/01/2027 (C)
  125,000     133,932
Carnival Corp.          
6.000%, 05/01/2029 (C)   120,000     113,081
7.625%, 03/01/2026 (C)   120,000     120,784
CCO Holdings LLC
5.375%, 06/01/2029 (C)
  108,000     108,000
CDW LLC
3.569%, 12/01/2031
  185,000     171,393
CenterPoint Energy Houston Electric LLC
2.350%, 04/01/2031
  47,000     43,630
CF Industries, Inc.
4.950%, 06/01/2043
  5,000     5,378
Charter Communications Operating LLC
3.700%, 04/01/2051
  170,000     140,097
Chubb INA Holdings, Inc.
3.050%, 12/15/2061
  120,000     103,379
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Citigroup, Inc.
5.300%, 05/06/2044
$ 12,000   $ 13,654
Citigroup, Inc. (1.281% to 11-3-24, then SOFR + 0.528%)
11/03/2025
  70,000     66,613
Citigroup, Inc. (3.057% to 1-25-32, then SOFR + 1.351%)
01/25/2033
  105,000     98,105
Citigroup, Inc. (3.106% to 4-8-25, then SOFR + 2.842%)
04/08/2026
  69,000     68,414
Citigroup, Inc. (3.785% to 3-17-32, then SOFR + 1.939%)
03/17/2033
  125,000     123,916
Citigroup, Inc. (4.412% to 3-31-30, then SOFR + 3.914%)
03/31/2031
  22,000     22,839
Clydesdale Acquisition Holdings, Inc.          
6.625%, 04/15/2029 (C)   110,000     111,238
8.750%, 04/15/2030 (C)   115,000     108,244
Comcast Corp.          
2.800%, 01/15/2051   12,000     10,119
3.750%, 04/01/2040   42,000     42,278
CommonSpirit Health          
2.782%, 10/01/2030   45,000     41,938
3.817%, 10/01/2049   115,000     112,695
Community Health Network, Inc.
3.099%, 05/01/2050
  220,000     188,998
Community Health Systems, Inc.          
4.750%, 02/15/2031 (C)   25,000     23,625
6.000%, 01/15/2029 (C)   50,000     50,522
Compass Group Diversified Holdings LLC
5.250%, 04/15/2029 (C)
  75,000     70,500
Conagra Brands, Inc.
5.400%, 11/01/2048
  12,000     13,778
Consolidated Edison Company of New
York, Inc.
         
3.200%, 12/01/2051   65,000     57,470
4.300%, 12/01/2056   95,000     98,013
Constellation Brands, Inc.
3.150%, 08/01/2029
  55,000     53,109
Corebridge Financial, Inc.
4.400%, 04/05/2052 (C)
  55,000     54,991
Corebridge Financial, Inc.
4.350%, 04/05/2042 (C)
  25,000     24,993
Cox Communications, Inc.
2.950%, 10/01/2050 (C)
  260,000     204,749
CP Atlas Buyer, Inc.
7.000%, 12/01/2028 (C)
  30,000     25,579
CSC Holdings LLC
4.125%, 12/01/2030 (C)
  200,000     175,373
CubeSmart LP
2.500%, 02/15/2032
  45,000     40,284
Cummins, Inc.
2.600%, 09/01/2050
  80,000     64,084
CVS Health Corp.          
4.780%, 03/25/2038   20,000     21,857
5.050%, 03/25/2048   22,000     24,915
Dana, Inc.
4.500%, 02/15/2032
  100,000     89,500
Dave & Buster's, Inc.
7.625%, 11/01/2025 (C)
  40,000     42,086
Dick's Sporting Goods, Inc.
4.100%, 01/15/2052
  150,000     128,017
 
  170  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Discovery Communications LLC
5.000%, 09/20/2037
$ 22,000   $ 22,596
Dominion Energy South Carolina, Inc.          
5.300%, 05/15/2033   12,000     13,789
6.625%, 02/01/2032   12,000     14,769
DT Midstream, Inc.
4.300%, 04/15/2032 (C)
  80,000     80,209
Duke Energy Corp.
3.300%, 06/15/2041
  27,000     24,446
Elanco Animal Health, Inc.
6.400%, 08/28/2028
  35,000     37,538
Embarq Corp.
7.995%, 06/01/2036
  60,000     57,803
Energy Transfer LP          
4.200%, 04/15/2027   15,000     15,273
4.750%, 01/15/2026   22,000     22,862
5.000%, 05/15/2050   10,000     10,118
EnLink Midstream LLC
5.625%, 01/15/2028 (C)
  114,000     116,280
Enterprise Products Operating LLC (5.375% to 2-15-28, then 3 month LIBOR + 2.570%)
02/15/2078
  130,000     120,788
EPR Properties
4.500%, 04/01/2025
  45,000     45,441
EQM Midstream Partners LP
4.750%, 01/15/2031 (C)
  190,000     177,650
EQT Corp.
3.900%, 10/01/2027
  65,000     64,812
Equinix, Inc.
3.900%, 04/15/2032
  120,000     119,369
Evergy Metro, Inc.          
3.650%, 08/15/2025   47,000     47,707
4.200%, 03/15/2048   10,000     10,380
Eversource Energy
3.375%, 03/01/2032
  75,000     73,364
FirstCash, Inc.          
4.625%, 09/01/2028 (C)   666,000     619,287
5.625%, 01/01/2030 (C)   175,000     168,147
Flex Acquisition Company, Inc.
7.875%, 07/15/2026 (C)
  100,000     103,500
Flex, Ltd.
4.875%, 05/12/2030
  130,000     135,789
Ford Motor Credit Company LLC
3.625%, 06/17/2031
  200,000     180,655
Fortune Brands Home & Security, Inc.
4.500%, 03/25/2052
  120,000     117,445
Freedom Mortgage Corp.
7.625%, 05/01/2026 (C)
  70,000     66,850
Frontier Communications Holdings LLC          
5.875%, 10/15/2027 (C)   75,000     74,498
6.000%, 01/15/2030 (C)   139,000     128,575
6.750%, 05/01/2029 (C)   160,000     153,600
Gartner, Inc.
3.750%, 10/01/2030 (C)
  115,000     107,956
General Electric Company
6.750%, 03/15/2032
  10,000     12,597
General Motors Financial Company, Inc.          
2.400%, 04/10/2028   47,000     42,538
4.350%, 01/17/2027   34,000     34,575
Genworth Holdings, Inc.          
4.800%, 02/15/2024   125,000     127,500
6.500%, 06/15/2034   65,000     62,475
Global Payments, Inc.
4.150%, 08/15/2049
  10,000     9,664
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Go Daddy Operating Company LLC
3.500%, 03/01/2029 (C)
$ 185,000   $ 170,102
Great Lakes Dredge & Dock Corp.
5.250%, 06/01/2029 (C)
  400,000     382,000
GTCR AP Finance, Inc.
8.000%, 05/15/2027 (C)
  50,000     50,583
GYP Holdings III Corp.
4.625%, 05/01/2029 (C)
  90,000     83,341
Hawaiian Brand Intellectual Property, Ltd.
5.750%, 01/20/2026 (C)
  119,171     119,239
HCA, Inc.
5.250%, 06/15/2049
  100,000     109,516
Hess Corp.
5.800%, 04/01/2047
  22,000     26,175
Hightower Holding LLC
6.750%, 04/15/2029 (C)
  120,000     117,300
Home Point Capital, Inc.
5.000%, 02/01/2026 (C)
  588,000     481,754
HUB International, Ltd.          
5.625%, 12/01/2029 (C)   85,000     81,175
7.000%, 05/01/2026 (C)   84,000     84,971
Humana, Inc.
4.875%, 04/01/2030
  25,000     26,940
Huntsman International LLC
4.500%, 05/01/2029
  22,000     22,711
Intercontinental Exchange, Inc.          
2.650%, 09/15/2040   36,000     30,718
4.250%, 09/21/2048   105,000     112,714
International Flavors & Fragrances, Inc.
2.300%, 11/01/2030 (C)
  39,000     34,814
Interstate Power & Light Company
3.100%, 11/30/2051
  240,000     205,157
JPMorgan Chase & Co.
5.500%, 10/15/2040
  27,000     32,404
JPMorgan Chase & Co. (3.109% to 4-22-50, then SOFR + 2.440%)
04/22/2051
  15,000     13,284
JPMorgan Chase & Co. (3.882% to 7-24-37, then 3 month LIBOR + 1.360%)
07/24/2038
  27,000     27,232
Kyndryl Holdings, Inc.          
3.150%, 10/15/2031 (C)   110,000     92,680
4.100%, 10/15/2041 (C)   60,000     46,482
Ladder Capital Finance Holdings LLLP          
4.250%, 02/01/2027 (C)   51,000     48,877
5.250%, 10/01/2025 (C)   130,000     129,513
Lamar Media Corp.
3.625%, 01/15/2031
  135,000     123,948
LBM Acquisition LLC
6.250%, 01/15/2029 (C)
  74,000     69,313
LD Holdings Group LLC          
6.125%, 04/01/2028 (C)   68,000     60,165
6.500%, 11/01/2025 (C)   75,000     70,313
Lear Corp.
3.800%, 09/15/2027
  7,000     7,006
Lennar Corp.
4.750%, 11/29/2027
  74,000     77,088
LFS Topco LLC
5.875%, 10/15/2026 (C)
  50,000     46,875
Liberty Mutual Group, Inc.          
3.950%, 05/15/2060 (C)   130,000     118,280
4.300%, 02/01/2061 (C)   235,000     186,778
 
  171  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
LyondellBasell Industries NV
4.625%, 02/26/2055
$ 120,000   $ 122,099
M/I Homes, Inc.
3.950%, 02/15/2030
  100,000     88,003
Magallanes, Inc.          
3.755%, 03/15/2027 (C)   20,000     19,964
5.050%, 03/15/2042 (C)   32,000     32,641
5.141%, 03/15/2052 (C)   261,000     267,028
5.391%, 03/15/2062 (C)   50,000     51,654
MajorDrive Holdings IV LLC
6.375%, 06/01/2029 (C)
  30,000     26,550
Matador Resources Company
5.875%, 09/15/2026
  147,000     149,690
Microsoft Corp.
3.450%, 08/08/2036
  27,000     28,083
MidAmerican Energy Company
3.150%, 04/15/2050
  24,000     22,042
Midcap Financial Issuer Trust          
5.625%, 01/15/2030 (C)   200,000     176,734
6.500%, 05/01/2028 (C)   60,000     56,431
Molson Coors Beverage Company
4.200%, 07/15/2046
  17,000     16,493
Morgan Stanley
3.950%, 04/23/2027
  12,000     12,194
Morgan Stanley (0.790% to 5-30-24, then SOFR + 0.525%)
05/30/2025
  22,000     20,901
Morgan Stanley (3.622% to 4-1-30, then SOFR + 3.120%)
04/01/2031
  42,000     41,782
Mozart Debt Merger Sub, Inc.
5.250%, 10/01/2029 (C)
  177,000     164,552
MSCI, Inc.
3.875%, 02/15/2031 (C)
  345,000     327,113
Mylan, Inc.
5.200%, 04/15/2048
  120,000     117,628
Nabors Industries, Inc.
7.375%, 05/15/2027 (C)
  40,000     41,550
Netflix, Inc.
4.625%, 05/15/2029
EUR 100,000     124,566
Nielsen Finance LLC
4.500%, 07/15/2029 (C)
$ 155,000     154,613
Nordstrom, Inc.          
2.300%, 04/08/2024   35,000     34,507
4.250%, 08/01/2031   20,000     18,228
Northern States Power Company
2.600%, 06/01/2051
  27,000     22,835
Novelis Corp.
4.750%, 01/30/2030 (C)
  110,000     106,795
Occidental Petroleum Corp.          
3.000%, 02/15/2027   70,000     68,425
6.450%, 09/15/2036   85,000     99,848
Oncor Electric Delivery Company LLC
2.750%, 05/15/2030
  52,000     49,557
OneMain Finance Corp.          
5.375%, 11/15/2029   190,000     184,598
6.625%, 01/15/2028   50,000     52,375
Oracle Corp.
4.100%, 03/25/2061
  195,000     166,230
OT Merger Corp.
7.875%, 10/15/2029 (C)
  130,000     112,450
Owens-Brockway Glass Container, Inc.
6.625%, 05/13/2027 (C)
  175,000     173,250
Pacific Gas & Electric Company
4.950%, 07/01/2050
  133,000     125,273
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Par Pharmaceutical, Inc.
7.500%, 04/01/2027 (C)
$ 36,000   $ 33,593
Paramount Global
5.250%, 04/01/2044
  22,000     23,085
Paramount Global (6.375% to 3-30-27, then 5 Year CMT + 3.999%)
03/30/2062
  120,000     121,140
PennyMac Financial Services, Inc.
4.250%, 02/15/2029 (C)
  430,000     368,940
Penske Truck Leasing Company LP
4.250%, 01/17/2023 (C)
  37,000     37,546
Performance Food Group, Inc.
4.250%, 08/01/2029 (C)
  100,000     91,125
Philip Morris International, Inc.
1.450%, 08/01/2039
EUR 390,000     326,062
Plains All American Pipeline LP
3.800%, 09/15/2030
$ 59,000     57,872
Post Holdings, Inc.          
4.500%, 09/15/2031 (C)   200,000     177,198
4.625%, 04/15/2030 (C)   170,000     153,077
Presidio Holdings, Inc.
8.250%, 02/01/2028 (C)
  275,000     280,500
Puget Energy, Inc.
4.224%, 03/15/2032
  145,000     145,292
Range Resources Corp.          
4.750%, 02/15/2030 (C)   15,000     14,898
8.250%, 01/15/2029   5,000     5,480
Reynolds American, Inc.          
4.850%, 09/15/2023   22,000     22,536
5.850%, 08/15/2045   580,000     596,778
Royal Caribbean Cruises, Ltd.
5.500%, 08/31/2026 (C)
  105,000     102,039
Royalty Pharma PLC          
3.300%, 09/02/2040   36,000     30,650
3.350%, 09/02/2051   135,000     108,217
S&P Global, Inc.
2.700%, 03/01/2029 (C)
  10,000     9,693
salesforce.com, Inc.
2.700%, 07/15/2041
  32,000     28,320
San Diego Gas & Electric Company
3.320%, 04/15/2050
  22,000     20,480
Santander Holdings USA, Inc.
3.450%, 06/02/2025
  37,000     36,733
Scripps Escrow II, Inc.
5.375%, 01/15/2031 (C)
  65,000     62,238
Service Corp. International
4.000%, 05/15/2031
  410,000     381,435
Signal Parent, Inc.
6.125%, 04/01/2029 (C)
  262,000     213,525
Sirius XM Radio, Inc.
3.875%, 09/01/2031 (C)
  430,000     391,300
SM Energy Company
6.500%, 07/15/2028
  93,000     95,969
Southern California Edison Company
2.950%, 02/01/2051
  215,000     175,658
Southwest Gas Corp.
4.050%, 03/15/2032
  75,000     74,793
Specialty Building Products Holdings LLC
6.375%, 09/30/2026 (C)
  75,000     76,260
Spirit AeroSystems, Inc.
5.500%, 01/15/2025 (C)
  25,000     25,063
SRM Escrow Issuer LLC
6.000%, 11/01/2028 (C)
  120,000     118,351
 
  172  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
SRS Distribution, Inc.          
6.000%, 12/01/2029 (C) $ 126,000   $ 116,550
6.125%, 07/01/2029 (C)   75,000     69,188
Standard Industries, Inc.          
3.375%, 01/15/2031 (C)   58,000     50,750
4.375%, 07/15/2030 (C)   392,000     359,054
STL Holding Company LLC
7.500%, 02/15/2026 (C)
  100,000     101,000
Sutter Health
4.091%, 08/15/2048
  105,000     106,448
Sysco Corp.          
3.150%, 12/14/2051   20,000     17,057
6.600%, 04/01/2040   140,000     183,088
Targa Resources Corp.          
4.200%, 02/01/2033 (A)   25,000     25,228
4.950%, 04/15/2052 (A)   90,000     91,693
Teledyne Technologies, Inc.
2.750%, 04/01/2031
  47,000     43,551
Terex Corp.
5.000%, 05/15/2029 (C)
  188,000     180,192
The Brooklyn Union Gas Company
4.273%, 03/15/2048 (C)
  215,000     209,701
The Charles Schwab Corp. (4.000% to 12-1-30, then 10 Year CMT + 3.079%)
12/01/2030 (E)
  135,000     121,246
The Dun & Bradstreet Corp.
5.000%, 12/15/2029 (C)
  80,000     75,200
The Gap, Inc.          
3.625%, 10/01/2029 (C)   183,000     163,053
3.875%, 10/01/2031 (C)   447,000     389,382
The Goldman Sachs Group, Inc.
4.750%, 10/21/2045
  150,000     167,588
The Goldman Sachs Group, Inc. (2.650% to 10-21-31, then SOFR + 1.264%)
10/21/2032
  120,000     108,488
The Goldman Sachs Group, Inc. (3.102% to 2-24-32, then SOFR + 1.410%)
02/24/2033
  95,000     89,546
The Hertz Corp.
5.000%, 12/01/2029 (C)
  100,000     90,500
The Home Depot, Inc.
2.375%, 03/15/2051
  2,000     1,604
The Sherwin-Williams Company
4.550%, 08/01/2045
  30,000     31,147
The Southern Company
3.700%, 04/30/2030
  15,000     15,045
The Toledo Hospital
5.750%, 11/15/2038
  100,000     109,970
The William Carter Company
5.625%, 03/15/2027 (C)
  393,000     398,801
T-Mobile USA, Inc.
3.750%, 04/15/2027
  32,000     32,187
TopBuild Corp.
3.625%, 03/15/2029 (C)
  90,000     81,788
TransDigm, Inc.
6.250%, 03/15/2026 (C)
  170,000     174,529
Tri Pointe Homes, Inc.
5.700%, 06/15/2028
  180,000     179,690
Tucson Electric Power Company
4.000%, 06/15/2050
  105,000     103,920
U.S. Steel Corp.
6.875%, 03/01/2029 (F)
  195,000     202,800
United Natural Foods, Inc.
6.750%, 10/15/2028 (C)
  159,000     162,975
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
United Wholesale Mortgage LLC          
5.500%, 11/15/2025 to 04/15/2029 (C) $ 555,000   $ 503,441
5.750%, 06/15/2027 (C)   95,000     88,156
UnitedHealth Group, Inc.
3.750%, 10/15/2047
  27,000     27,362
Unum Group
4.000%, 03/15/2024
  36,000     36,510
Verizon Communications, Inc.          
2.100%, 03/22/2028   37,000     34,487
3.400%, 03/22/2041   22,000     20,623
4.000%, 03/22/2050   10,000     10,147
4.016%, 12/03/2029   69,000     71,612
Victors Merger Corp.
6.375%, 05/15/2029 (C)
  275,000     225,112
Western Digital Corp.
3.100%, 02/01/2032
  195,000     174,597
Western Midstream Operating LP
5.750%, 02/01/2050
  125,000     121,875
Xcel Energy, Inc.
3.400%, 06/01/2030
  29,000     28,952
Zoetis, Inc.
3.000%, 05/15/2050
  27,000     23,924
          29,118,711
TOTAL CORPORATE BONDS (Cost $43,618,571)   $ 40,918,104
CONVERTIBLE BONDS - 2.4%      
China - 0.3%          
NIO, Inc., 0.500%, 02/01/2027   485,000     391,908
Smart Insight International, Ltd., 4.500%, 12/05/2023 HKD 2,000,000     215,618
          607,526
Israel - 0.0%          
SolarEdge Technologies, Inc., Zero Coupon, 0.000%, 09/15/2025 $ 20,000     27,230
Italy - 0.1%          
Nexi SpA, 1.750%, 04/24/2027 EUR 100,000     103,424
Luxembourg - 0.2%          
Arrival SA, 3.500%, 12/01/2026 (C) $ 515,000     331,398
Singapore - 0.2%          
Sea, Ltd., 0.250%, 09/15/2026   370,000     295,297
United Kingdom - 0.2%          
Endeavour Mining Corp., 3.000%, 02/15/2023 (C)   400,000     461,800
United States - 1.4%          
Airbnb, Inc., 0.848%, 03/15/2026 (G)   40,000     38,668
Apellis Pharmaceuticals, Inc., 3.500%, 09/15/2026   60,000     95,047
Bandwidth, Inc., 0.250%, 03/01/2026   25,000     19,050
Bandwidth, Inc., 0.500%, 04/01/2028 (C)   90,000     58,995
Bandwidth, Inc., 0.500%, 04/01/2028   90,000     88,529
Beyond Meat, Inc., 10.923%, 03/15/2027 (G)   130,000     77,194
Block, Inc., 0.125%, 03/01/2025   15,000     19,659
Bloomin' Brands, Inc., 5.000%, 05/01/2025   8,000     16,124
Ceridian HCM Holding, Inc., 0.250%, 03/15/2026   40,000     34,880
DraftKings, Inc., 5.667%, 03/15/2028 (G)   119,000     85,278
Etsy, Inc., 0.125%, 10/01/2026   12,000     19,248
Exact Sciences Corp., 0.375%, 03/01/2028   95,000     83,505
FTI Consulting, Inc., 2.000%, 08/15/2023   25,000     39,698
 
  173  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CONVERTIBLE BONDS (continued)      
United States (continued)          
JetBlue Airways Corp., 0.500%, 04/01/2026 (C) $ 340,000   $ 316,349
John Bean Technologies Corp., 0.250%, 05/15/2026 (C)   40,000     38,420
NCL Corp., Ltd., 2.500%, 02/15/2027 (C)   16,000     15,272
NuVasive, Inc., 0.375%, 03/15/2025   170,000     163,519
Pebblebrook Hotel Trust, 1.750%, 12/15/2026   40,000     45,860
Pegasystems, Inc., 0.750%, 03/01/2025   80,000     75,160
Penn National Gaming, Inc., 2.750%, 05/15/2026   8,000     16,088
Pioneer Natural Resources Company, 0.250%, 05/15/2025   45,000     106,853
Redfin Corp., 0.500%, 04/01/2027 (C)   100,000     66,850
Redfin Corp., 0.500%, 04/01/2027   100,000     91,170
Repay Holdings Corp., 4.832%, 02/01/2026 (C)(G)   475,000     395,200
Revance Therapeutics, Inc., 1.750%, 02/15/2027   100,000     93,563
Shift4 Payments, Inc., 0.500%, 08/01/2027 (C)   370,000     322,640
Southwest Airlines Company, 1.250%, 05/01/2025   25,000     33,925
Splunk, Inc., 1.125%, 06/15/2027   35,000     33,425
The Middleby Corp., 1.000%, 09/01/2025   20,000     27,538
Uber Technologies, Inc., 2.991%, 12/15/2025 (G)   50,000     44,750
Workday, Inc., 0.250%, 10/01/2022   35,000     57,475
          2,619,932
TOTAL CONVERTIBLE BONDS (Cost $4,855,707)   $ 4,446,607
MUNICIPAL BONDS - 3.5%          
United States - 3.5%          
California Health Facilities Financing Authority
4.190%, 06/01/2037 (A)
  65,000     66,333
California Health Facilities Financing Authority
4.353%, 06/01/2041 (A)
  30,000     30,533
Chicago Transit Authority (Illinois)
3.912%, 12/01/2040
  60,000     59,874
Chicago Transit Authority (Illinois)
3.502%, 12/01/2033
  435,000     427,816
Chicago Transit Authority, Series A (Illinois)
6.899%, 12/01/2040
  55,000     70,703
City & County of Denver Company Airport System Revenue (Colorado)
2.717%, 11/15/2034
  105,000     94,057
City & County of Denver Company Airport System Revenue (Colorado)
2.867%, 11/15/2037
  75,000     65,948
City of Austin Airport System Revenue (Texas)
5.000%, 11/15/2032
  100,000     113,749
City of Austin Airport System Revenue (Texas)
5.000%, 11/15/2044
  240,000     266,432
City of Houston Airport System Revenue (Texas)
2.385%, 07/01/2031
  240,000     217,536
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
MUNICIPAL BONDS (continued)          
United States (continued)          
City of San Antonio Electric & Gas Systems Revenue (Texas)
4.365%, 02/01/2042
$ 95,000   $ 96,273
City of San Antonio Electric & Gas Systems Revenue (Texas)
4.445%, 02/01/2047
  100,000     101,523
City of Tampa (Florida)
3.576%, 09/01/2036 (G)
  100,000     59,800
Commonwealth of Massachusetts, GO
2.514%, 07/01/2041
  625,000     534,291
County of Broward Port Facilities Revenue (Florida)
5.000%, 09/01/2033
  70,000     81,890
County of Broward Port Facilities Revenue (Florida)
5.000%, 09/01/2029
  100,000     118,363
County of Broward Port Facilities Revenue (Florida)
5.000%, 09/01/2028
  150,000     174,239
County of Miami-Dade Aviation Revenue (Florida)
2.786%, 10/01/2037
  200,000     178,211
County of Miami-Dade Aviation Revenue (Florida)
4.000%, 10/01/2036
  115,000     121,760
County of Miami-Dade Aviation Revenue (Florida)
3.270%, 10/01/2041
  50,000     45,646
Dallas Fort Worth International Airport (Texas)
3.089%, 11/01/2040
  130,000     120,075
District of Columbia
3.432%, 04/01/2042
  405,000     387,826
Grand Parkway Transportation Corp. (Texas)
3.236%, 10/01/2052
  190,000     171,584
Greater Orlando Aviation Authority (Florida)
5.000%, 10/01/2028
  50,000     54,848
Greater Orlando Aviation Authority (Florida)
5.000%, 10/01/2028
  100,000     108,501
Iowa Finance Authority
3.250%, 07/01/2050
  50,000     50,683
Metropolitan Transportation Authority (New York)
5.000%, 11/15/2050
  110,000     119,769
Metropolitan Transportation Authority (New York)
6.668%, 11/15/2039
  15,000     18,882
Metropolitan Transportation Authority (New York)
5.000%, 11/15/2029
  100,000     114,154
New Jersey Transportation Trust Fund Authority
4.000%, 06/15/2045
  50,000     50,897
New York City Transitional Finance Authority
4.000%, 05/01/2045
  75,000     78,002
Orange County Convention Center (Florida)
5.000%, 10/01/2031
  55,000     60,146
Port Authority of New York & New Jersey
4.000%, 03/15/2030
  230,000     241,918
 
  174  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
MUNICIPAL BONDS (continued)          
United States (continued)          
Port Authority of New York & New Jersey
5.000%, 09/15/2033
$ 140,000   $ 156,058
Port Authority of New York & New Jersey
4.823%, 06/01/2045
  140,000     147,463
Port Authority of New York & New Jersey
1.086%, 07/01/2023
  25,000     24,703
Port of Seattle (Washington)
5.000%, 04/01/2039
  190,000     213,738
Port of Seattle (Washington)
5.000%, 10/01/2031
  100,000     109,670
Sales Tax Securitization Corp. (Illinois)
3.238%, 01/01/2042
  25,000     23,040
San Diego County Regional Transportation Commission (California)
3.248%, 04/01/2048
  75,000     71,052
San Francisco City & County Airport Commission (California)
5.000%, 05/01/2050
  325,000     356,752
San Francisco City & County Airport Commission (California)
4.000%, 05/01/2039
  160,000     167,009
San Francisco City & County Airport Commission (California)
2.958%, 05/01/2051
  155,000     126,144
State of Hawaii Airports System Revenue
4.000%, 07/01/2035
  100,000     104,743
State of Hawaii Airports System Revenue
5.000%, 07/01/2034
  295,000     335,917
State of Illinois, GO
5.100%, 06/01/2033
  40,000     42,536
Triborough Bridge & Tunnel Authority (New York)
5.000%, 11/15/2054
  140,000     159,316
Wisconsin Center District
4.173%, 12/15/2050
  65,000     65,740
TOTAL MUNICIPAL BONDS (Cost $7,040,041)   $ 6,606,143
TERM LOANS (H) - 6.4%      
France - 0.1%          
CAB SELAS, 2021 EUR Term Loan B (6 month EURIBOR + 3.000%), 3.000%, 02/09/2028 EUR 140,000     150,616
Luxembourg - 0.2%          
Delta 2 Lux Sarl, 2018 USD Term Loan (1 month LIBOR + 2.500%), 3.500%, 02/01/2024 $ 200,000     198,876
Jazz Financing Lux Sarl, USD Term Loan (1 month LIBOR + 3.500%), 4.000%, 05/05/2028   104,213     103,731
Sunshine Luxembourg VII Sarl, 2021 Term Loan B3 (3 month LIBOR + 3.750%), 4.756%, 10/01/2026   98,751     98,010
          400,617
Netherlands - 0.1%          
Boels Topholding BV, 2021 EUR Term Loan B (3 month EURIBOR + 3.250%), 3.250%, 02/06/2027 EUR 155,000     167,630
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (H) (continued)      
Netherlands (continued)          
Diamond BC BV, 2021 Term Loan B (1 month LIBOR + 2.750%), 3.250%, 09/29/2028 $ 124,688   $ 122,007
          289,637
Sweden - 0.1%          
Verisure Holding AB, 2020 EUR Term Loan B (6 month EURIBOR + 3.250%), 3.250%, 07/20/2026 EUR 155,000     167,558
United Kingdom - 0.1%          
Lorca Finco PLC, EUR Term Loan B1 (6 month EURIBOR + 4.250%), 4.250%, 09/17/2027   180,000     198,093
United States - 5.8%          
AAdvantage Loyalty IP, Ltd., 2021 Term Loan (3 month LIBOR + 4.750%), 5.500%, 04/20/2028 $ 100,000     101,156
ABG Intermediate Holdings 2 LLC, 2021 Term Loan B1, TBD 12/21/2028 (I)   130,000     127,725
Acrisure LLC, 2020 Term Loan B (1 month LIBOR + 3.500%), 3.957%, 02/15/2027   245,000     241,122
Adient U.S. LLC, 2021 Term Loan B (1 month LIBOR + 3.250%), 3.707%, 04/10/2028   99,250     97,513
APX Group, Inc., 2021 Term Loan B (Prime rate + 2.500% and 1 month LIBOR + 3.500%), 4.005%, 07/10/2028   99,500     98,043
Aramark Services, Inc., 2018 Term Loan B3 (1 month LIBOR + 1.750%), 2.207%, 03/11/2025   125,000     122,375
Aretec Group, Inc., 2018 Term Loan (1 month LIBOR + 4.250%), 4.707%, 10/01/2025   195,455     193,582
Artera Services LLC, Incremental Term Loan (3 month LIBOR + 3.500%), 4.506%, 03/06/2025   99,250     92,774
Asurion LLC, 2020 Term Loan B8 (1 month LIBOR + 3.250%), 3.707%, 12/23/2026   146,713     143,350
Asurion LLC, 2021 2nd Lien Term Loan B3 (1 month LIBOR + 5.250%), 5.707%, 01/31/2028   145,000     141,955
athenahealth, Inc., 2022 Term Loan B (1 month SOFR + 3.500%), 4.000%, 02/15/2029   85,507     84,460
Avantor Funding, Inc., 2021 Term Loan B5 (1 month LIBOR + 2.250%), 2.750%, 11/08/2027   178,205     176,581
Bausch Health Americas, Inc., 2018 Term Loan B (1 month LIBOR + 3.000%), 3.457%, 06/02/2025   87,035     86,237
Berlin Packaging LLC, 2021 First Lien Term Loan B (1 and 3 month LIBOR + 3.750%), 4.339%, 03/11/2028   169,150     167,374
Blackhawk Network Holdings, Inc., 2018 1st Lien Term Loan (1 month LIBOR + 3.000%), 3.457%, 06/15/2025   102,496     100,446
Brown Group Holding LLC, Term Loan B (3 month LIBOR + 2.500%), 3.506%, 06/07/2028   174,064     171,453
Caesars Resort Collection LLC, 2020 Term Loan B1 (1 month LIBOR + 3.500%), 3.957%, 07/21/2025   167,450     166,696
 
  175  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (H) (continued)      
United States (continued)          
Carnival Corp., 2021 Incremental Term Loan B (3 month LIBOR + 3.250%), 4.000%, 10/18/2028 $ 164,588   $ 160,679
Change Healthcare Holdings LLC, 2017 Term Loan B (1 month LIBOR + 2.500%), 3.500%, 03/01/2024   175,161     173,979
Chariot Buyer LLC, Term Loan B (3 month LIBOR + 3.500%), 4.506%, 11/03/2028   99,750     98,420
Charter Communications Operating LLC, 2019 Term Loan B2 (1 month LIBOR + 1.750%), 2.207%, 02/01/2027   146,985     145,597
Clarios Global LP, 2021 USD Term Loan B (1 month LIBOR + 3.250%), 3.707%, 04/30/2026   169,891     167,555
Clydesdale Acquisition Holdings, Inc., Term Loan, TBD 03/30/2029 (I)   100,000     98,333
Core & Main LP, 2021 Term Loan B (1 month LIBOR + 2.500%), 2.947%, 07/27/2028   245,569     243,113
Crocs, Inc., Term Loan B (3 month SOFR + 3.500%), 4.447%, 02/17/2029   280,000     272,700
Dcert Buyer, Inc., 2019 Term Loan B (1 month LIBOR + 4.000%), 4.457%, 10/16/2026   196,000     194,340
DT Midstream, Inc., Term Loan B (3 and 6 month LIBOR + 2.000%), 2.550%, 06/26/2028   129,350     129,009
EG America LLC, 2021 Term Loan (3 month LIBOR + 4.250%), 5.246%, 03/31/2026   99,504     97,887
Elanco Animal Health, Inc., Term Loan B (1 month LIBOR + 1.750%), 1.981%, 08/01/2027   108,819     106,949
Endurance International Group Holdings, Inc., Term Loan (3 month LIBOR + 3.500%), 4.250%, 02/10/2028   99,250     96,273
Epicor Software Corp., 2020 Term Loan (1 month LIBOR + 3.250%), 4.000%, 07/30/2027   134,036     132,815
First Student Bidco, Inc., Term Loan B (3 month LIBOR + 3.000%), 3.983%, 07/21/2028   83,785     83,017
First Student Bidco, Inc., Term Loan C (3 month LIBOR + 3.000%), 3.983%, 07/21/2028   31,005     30,721
Flex Acquisition Company, Inc., 2021 Term Loan (3 month LIBOR + 3.500%), 4.000%, 03/02/2028   98,755     98,501
Frontier Communications Holdings LLC, 2021 DIP Term Loan B (3 month LIBOR + 3.750%), 4.733%, 05/01/2028   99,000     97,350
Gainwell Acquisition Corp., Term Loan B (3 month LIBOR + 4.000%), 5.006%, 10/01/2027   113,563     113,279
Great Outdoors Group LLC, 2021 Term Loan B1 (1 month LIBOR + 3.750%), 4.500%, 03/06/2028   276,511     275,128
Hayward Industries, Inc., 2021 Term Loan (1 month LIBOR + 2.500%), 3.000%, 05/30/2028   124,063     122,409
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (H) (continued)      
United States (continued)          
Heartland Dental LLC, 2021 Incremental Term Loan (1 month LIBOR + 4.000%), 4.447%, 04/30/2025 $ 119,100   $ 117,782
HUB International, Ltd., 2018 Term Loan B (3 month LIBOR + 3.000%), 3.267%, 04/25/2025   244,289     241,260
HUB International, Ltd., 2021 Term Loan B (3 month LIBOR + 3.250%), 4.001%, 04/25/2025   125,222     124,312
Hyland Software, Inc., 2018 1st Lien Term Loan (1 month LIBOR + 3.500%), 4.250%, 07/01/2024   162,474     161,433
IRB Holding Corp., 2022 Term Loan B (1 month SOFR + 3.000%), 3.750%, 12/15/2027   198,497     197,173
LBM Acquisition LLC, Term Loan B (1 month LIBOR + 3.750%), 4.500%, 12/17/2027   204,057     198,778
MajorDrive Holdings IV LLC, Term Loan B (3 month LIBOR + 4.000%), 4.563%, 06/01/2028   99,250     97,576
McAfee Corp., 2022 USD Term Loan B (3 month SOFR + 4.000%), 4.500%, 03/01/2029   130,000     128,863
MH Sub I LLC, 2020 Incremental Term Loan (1 month LIBOR + 3.750%), 4.750%, 09/13/2024   99,494     98,268
Mitchell International, Inc., 2021 Term Loan B (1 month LIBOR + 3.750%), 4.250%, 10/15/2028   170,000     167,006
Mozart Borrower LP, USD Term Loan B (1 month LIBOR + 3.250%), 3.750%, 10/23/2028   205,000     202,848
NEP Group, Inc., 2018 1st Lien Term Loan (1 month LIBOR + 3.250%), 3.707%, 10/20/2025   244,937     240,160
Oryx Midstream Services Permian Basin LLC, Term Loan B (3 month LIBOR + 3.250%), 3.750%, 10/05/2028   99,750     98,846
Packaging Coordinators Midco, Inc., 2020 1st Lien Term Loan (3 month LIBOR + 3.750%), 4.500%, 11/30/2027   99,000     98,360
Pathway Vet Alliance LLC, 2021 Term Loan (1 month LIBOR + 3.750%), 4.207%, 03/31/2027   122,558     121,103
PECF USS Intermediate Holding III Corp., Term Loan B (1 month LIBOR + 4.250%), 4.750%, 12/15/2028   99,750     98,682
Phoenix Newco, Inc., 2021 1st Lien Term Loan (1 month LIBOR + 3.500%), 4.000%, 11/15/2028   120,000     119,015
Polaris Newco LLC, USD Term Loan B (1 month LIBOR + 4.000%), 4.500%, 06/02/2028   119,400     118,415
Proampac PG Borrower LLC, 2020 Term Loan (3 month LIBOR + 3.750%), 4.500%, 11/03/2025   109,176     106,583
Quikrete Holdings, Inc., 2016 1st Lien Term Loan (1 month LIBOR + 2.500%), 2.957%, 02/01/2027   196,000     190,937
Scientific Games International, Inc., 2018 Term Loan B5 (1 month LIBOR + 2.750%), 3.207%, 08/14/2024   196,923     196,063
 
  176  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (H) (continued)      
United States (continued)          
Sedgwick Claims Management Services, Inc., 2018 Term Loan B (1 month LIBOR + 3.250%), 3.707%, 12/31/2025 $ 95,712   $ 94,636
Shutterfly LLC, 2021 Term Loan (3 month LIBOR + 5.000%), 6.006%, 09/25/2026   99,000     90,536
Signal Parent, Inc., Term Loan B (1 month LIBOR + 3.500%), 4.250%, 04/03/2028   198,500     176,294
Specialty Building Products Holdings LLC, 2021 Term Loan B (1 month LIBOR + 3.750%), 4.250%, 10/15/2028   100,000     97,438
SRS Distribution, Inc., 2021 Term Loan B (3 month LIBOR + 3.500%), 4.000%, 06/02/2028   154,225     152,169
SS&C Technologies, Inc., 2018 Term Loan B3 (1 month LIBOR + 1.750%), 2.207%, 04/16/2025   98,798     97,146
SS&C Technologies, Inc., 2018 Term Loan B4 (1 month LIBOR + 1.750%), 2.207%, 04/16/2025   80,202     78,861
Surgery Center Holdings, Inc., 2021 Term Loan (1 month LIBOR + 3.750%), 4.500%, 08/31/2026   97,231     96,369
Tecta America Corp., 2021 Term Loan (1 month LIBOR + 4.250%), 5.000%, 04/10/2028   129,025     127,573
The Dun & Bradstreet Corp., Term Loan (1 month LIBOR + 3.250%), 3.697%, 02/06/2026   209,300     207,093
The Michaels Companies, Inc., 2021 Term Loan B (3 month LIBOR + 4.250%), 5.256%, 04/15/2028   129,025     120,764
TransDigm, Inc., 2020 Term Loan E (1 month LIBOR + 2.250%), 2.707%, 05/30/2025   195,500     191,774
TricorBraun Holdings, Inc., 2021 Term Loan (1 month LIBOR + 3.250%), 3.750%, 03/03/2028   99,280     96,646
UFC Holdings LLC, 2021 Term Loan B (6 month LIBOR + 2.750%), 3.500%, 04/29/2026   182,062     180,014
UKG, Inc., Term Loan B (3 month LIBOR + 3.750%), 4.756%, 05/04/2026   146,985     146,278
UPC Financing Partnership, 2021 USD Term Loan AX (3 month LIBOR + 3.000%), 3.397%, 01/31/2029   180,000     177,376
USI, Inc., 2017 Repriced Term Loan (3 month LIBOR + 3.000%), 4.006%, 05/16/2024   122,436     121,515
Virgin Media Bristol LLC, 2020 USD Term Loan Q (1 month LIBOR + 3.250%), 3.647%, 01/31/2029   145,000     144,004
WW International, Inc., 2021 Term Loan B (1 month LIBOR + 3.500%), 3.957%, 04/13/2028   94,500     85,759
          10,856,604
TOTAL TERM LOANS (Cost $12,090,063)   $ 12,063,125
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE OBLIGATIONS - 5.5%      
Commercial and residential - 3.3%          
ACRE Commercial Mortgage, Ltd., Series 2021-FL4, Class B (1 month LIBOR + 1.400%),
1.868%, 12/18/2037 (C)(J)
$ 100,000   $ 98,446
Angel Oak Mortgage Trust, Series 2020-3, Class M1,
3.809%, 04/25/2065 (C)(K)
  180,000     177,292
ANTLR Mortgage Trust, Series 2021-RTL1, Class A1,
2.115%, 11/25/2024 (C)(K)
  125,000     121,363
Banc of America Commercial Mortgage Trust, Series 2016-UB10, Class D,
3.000%, 07/15/2049 (C)
  40,000     34,502
BANK          
Series 2021-BN32, Class XA IO,
0.782%, 04/15/2054
  998,189     52,221
Series 2021-BN35, Class XA IO,
1.052%, 06/15/2064
  1,326,482     95,244
Series 2021-BN37, Class XA IO,
0.611%, 11/15/2064
  998,805     40,506
BBCMS Mortgage Trust, Series 2017-DELC, Class A (1 month LIBOR + 0.850%),
1.247%, 08/15/2036 (C)(J)
  100,000     98,992
Benchmark Mortgage Trust          
Series 2019-B10, Class XA IO,
1.225%, 03/15/2062
  565,043     35,717
Series 2020-B22, Class XA IO,
1.519%, 01/15/2054
  204,488     21,414
BPR Trust, Series 2021-TY, Class A (1 month LIBOR + 1.050%),
1.447%, 09/15/2038 (C)(J)
  115,000     113,272
BRAVO Residential Funding Trust          
Series 2020-NQM1, Class M1,
3.181%, 05/25/2060 (C)(K)
  180,000     177,882
Series 2021-A, Class A1,
1.991%, 04/25/2031 (C)
  139,152     133,657
Series 2021-NQM1, Class M1,
2.316%, 02/25/2049 (C)(K)
  100,000     96,034
BX Commercial Mortgage Trust          
Series 2019-XL, Class C (1 month LIBOR + 1.250%),
1.647%, 10/15/2036 (C)(J)
  233,750     231,619
Series 2020-VKNG, Class F (1 month LIBOR + 2.750%),
3.147%, 10/15/2037 (C)(J)
  222,056     215,467
BX Trust          
Series 2018-GW, Class E (1 month LIBOR + 1.970%),
2.367%, 05/15/2035 (C)(J)
  80,000     77,989
Series 2021-MFM1, Class D (1 month LIBOR + 1.500%),
1.897%, 01/15/2034 (C)(J)
  55,000     52,408
BXHPP Trust, Series 2021-FILM, Class B (1 month LIBOR + 0.900%),
1.297%, 08/15/2036 (C)(J)
  65,000     62,722
BXSC Commercial Mortgage Trust, Series 2022-WSS, Class C (1 month CME Term SOFR + 2.391%),
2.641%, 03/15/2035 (C)(J)
  100,000     99,188
Commercial Mortgage Trust (Cantor Fitzgerald/Deutsche Bank AG), Series 2013-CR13, Class B,
4.881%, 11/10/2046 (K)
  169,000     170,998
 
  177  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Commercial Mortgage Trust (Deutsche
Bank AG)
         
Series 2020-SBX, Class C,
2.056%, 01/10/2038 (C)(K)
$ 100,000   $ 91,532
Series 2020-SBX, Class D,
2.321%, 01/10/2038 (C)(K)
  100,000     91,111
Credit Suisse Mortgage Trust          
Series 2020-NET, Class D,
3.706%, 08/15/2037 (C)(K)
  100,000     95,232
Series 2020-RPL5, Class A1,
3.023%, 08/25/2060 (C)(K)
  205,743     201,577
Series 2020-RPL6, Class A2,
3.315%, 03/25/2059 (C)(K)
  215,000     206,343
Deephaven Residential Mortgage Trust, Series 2021-1, Class A3,
1.128%, 05/25/2065 (C)(K)
  41,761     40,485
FREMF Mortgage Trust          
Series 2015-K45, Class C,
3.589%, 04/25/2048 (C)(K)
  115,000     113,372
Series 2016-K55, Class C,
4.163%, 04/25/2049 (C)(K)
  50,000     49,443
Series 2018-K78, Class C,
4.128%, 06/25/2051 (C)(K)
  182,000     180,735
GS Mortgage Securities Trust          
Series 2017-GS6, Class C,
4.322%, 05/10/2050 (K)
  25,000     24,720
Series 2021-IP, Class B (1 month LIBOR + 1.150%),
1.547%, 10/15/2036 (C)(J)
  119,000     116,501
JPMorgan Mortgage Trust, Series 2018-3, Class A1,
3.500%, 09/25/2048 (C)(K)
  25,430     25,356
KKR Industrial Portfolio Trust, Series 2021-KDIP, Class D (1 month LIBOR + 1.250%),
1.647%, 12/15/2037 (C)(J)
  161,250     157,199
LHOME Mortgage Trust, Series 2021-RTL2, Class A1,
2.090%, 06/25/2026 (C)
  155,000     149,146
LoanCore Issuer, Ltd., Series 2021-CRE4, Class B (1 month SOFR + 1.364%),
1.414%, 07/15/2035 (C)(J)
  100,000     98,834
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2013-C8, Class C,
4.017%, 12/15/2048 (K)
  283,000     282,314
Morgan Stanley Capital I Trust, Series 2017-CLS, Class F (1 month LIBOR + 2.600%),
2.997%, 11/15/2034 (C)(J)
  177,000     174,784
NYMT Loan Trust I, Series 2021-BPL1, Class A1,
2.239%, 05/25/2026 (C)
  230,000     222,023
PRPM LLC          
Series 2021-3, Class A2,
3.720%, 04/25/2026 (C)
  110,000     103,702
Series 2021-5, Class A1,
1.793%, 06/25/2026 (C)
  127,686     121,016
Series 2021-7, Class A1,
1.867%, 08/25/2026 (C)
  145,715     137,872
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Ready Capital Mortgage Financing LLC          
Series 2021-FL6, Class AS (1 month LIBOR + 1.200%),
1.657%, 07/25/2036 (C)(J)
$ 105,000   $ 103,589
Series 2021-FL7, Class AS (1 month LIBOR + 1.500%),
1.957%, 11/25/2036 (C)(J)
  55,000     54,161
Starwood Mortgage Residential Trust, Series 2021-2, Class A3,
1.431%, 05/25/2065 (C)(K)
  109,570     107,210
STWD Trust, Series 2021-FLWR, Class B (1 month LIBOR + 0.926%),
1.323%, 07/15/2036 (C)(J)
  275,000     266,737
Toorak Mortgage Corp., Series 2019-2, Class A2,
4.213%, 09/25/2022
  150,000     147,484
Verus Securitization Trust          
Series 2020-1, Class A3,
2.724%, 01/25/2060 (C)
  112,588     111,953
Series 2020-INV1, Class A3,
3.889%, 03/25/2060 (C)(K)
  100,000     99,183
Series 2021-3, Class A1,
1.046%, 06/25/2066 (C)(K)
  124,259     117,908
VMC Finance LLC, Series 2021-FL4, Class A (1 month LIBOR + 1.100%),
1.568%, 06/16/2036 (C)(J)
  158,914     157,251
Wells Fargo Mortgage Backed Securities Trust, Series 2019-3, Class A1,
3.500%, 07/25/2049 (C)(K)
  22,230     21,873
WF-RBS Commercial Mortgage Trust, Series 2011-C4, Class C,
4.888%, 06/15/2044 (C)(K)
  157,445     157,217
          6,234,796
U.S. Government Agency - 2.2%          
Federal Home Loan Mortgage Corp.          
Series 2013-DN1, Class M2 (1 month LIBOR + 7.150%),
7.607%, 07/25/2023 (J)
  83,411     86,692
Series 2014-DN2, Class M3 (1 month LIBOR + 3.600%),
4.057%, 04/25/2024 (J)
  124,761     125,424
Series 2020-DNA2, Class M2 (1 month LIBOR + 1.850%),
2.307%, 02/25/2050 (C)(J)
  58,176     58,031
Series 2020-DNA6, Class B1 (1 month SOFR + 3.000%),
3.099%, 12/25/2050 (C)(J)
  35,000     32,723
Series 2020-HQA3, Class B1 (1 month LIBOR + 5.750%),
6.207%, 07/25/2050 (C)(J)
  195,000     200,842
Series 2021-DNA2, Class M2 (1 month SOFR + 2.300%),
2.399%, 08/25/2033 (C)(J)
  155,000     152,792
Series 2021-DNA6, Class M2 (1 month SOFR + 1.500%),
1.599%, 10/25/2041 (C)(J)
  188,000     178,790
Series 2021-HQA1, Class M2 (1 month SOFR + 2.250%),
2.349%, 08/25/2033 (C)(J)
  185,000     177,769
Series 2021-HQA3, Class M2 (1 month SOFR + 2.100%),
2.199%, 09/25/2041 (C)(J)
  190,000     178,215
 
  178  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
Series 2022-HQA1, Class M1B (1 month SOFR + 3.500%),
3.550%, 03/25/2042 (C)(J)
$ 20,000   $ 20,363
Series 2022-HQA1, Class M2 (1 month SOFR + 5.250%),
5.300%, 03/25/2042 (C)(J)
  470,000     478,836
Series 324, Class C18 IO,
4.000%, 12/15/2033
  273,897     31,837
Series 4446, Class BI IO,
6.500%, 04/15/2039
  198,022     40,657
Series K066, Class X1 IO,
0.750%, 06/25/2027
  1,244,330     41,157
Series K100, Class X3 IO,
1.871%, 11/25/2047
  275,000     31,276
Series K103, Class X1 IO,
0.639%, 11/25/2029
  1,023,260     42,953
Series K105, Class X1 IO,
1.523%, 01/25/2030
  639,075     62,968
Series K106, Class X1 IO,
1.354%, 01/25/2030
  618,162     54,407
Series K106, Class X3 IO,
1.920%, 03/25/2048
  490,000     59,959
Series K107, Class X1 IO,
1.591%, 01/25/2030
  548,866     56,756
Series K108, Class X1 IO,
1.690%, 03/25/2030
  389,855     43,521
Series K110, Class X1 IO,
1.697%, 04/25/2030
  99,744     10,881
Series K111, Class X1 IO,
1.571%, 05/25/2030
  99,660     10,420
Series K115, Class X3 IO,
2.958%, 09/25/2048
  147,298     28,832
Series K116, Class X3 IO,
3.021%, 09/25/2047
  223,880     45,274
Series K121, Class X1 IO,
1.025%, 10/25/2030
  114,092     8,002
Series K122, Class X1 IO,
0.882%, 11/25/2030
  99,814     6,130
Series K123, Class X1 IO,
0.774%, 12/25/2030
  409,384     22,334
Series K124, Class X1 IO,
0.721%, 12/25/2030
  252,646     13,134
Series K129, Class X3 IO,
3.172%, 05/25/2031
  165,000     37,844
Series K737, Class X1 IO,
0.636%, 10/25/2026
  494,089     11,750
Series K738, Class X1 IO,
1.515%, 01/25/2027
  649,704     39,182
Series K740, Class X3 IO,
2.481%, 11/25/2047
  135,000     15,633
Series K742, Class X3, IO,
2.595%, 04/25/2028
  100,000     13,215
Series Q014, Class X IO,
2.980%, 10/25/2055
  159,359     34,166
Federal National Mortgage Association          
Series 2014-C02, Class 1M2 (1 month LIBOR + 2.600%),
3.057%, 05/25/2024 (J)
  47,793     47,852
Series 2014-C03, Class 1M2 (1 month LIBOR + 3.000%),
3.457%, 07/25/2024 (J)
  93,810     94,280
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal National
Mortgage Association (continued)
         
Series 2014-C04, Class 1M2 (1 month LIBOR + 4.900%),
5.357%, 11/25/2024 (J)
$ 75,796   $ 78,034
Series 2017-C01, Class 1B1 (1 month LIBOR + 5.750%),
6.207%, 07/25/2029 (J)
  155,000     169,764
Series 2018-C02, Class 2B1 (1 month LIBOR + 4.000%),
4.457%, 08/25/2030 (J)
  60,000     60,158
Series 2018-C05, Class 1B1 (1 month LIBOR + 4.250%),
4.707%, 01/25/2031 (J)
  230,000     230,431
Series 2018-C05, Class 1M2 (1 month LIBOR + 2.350%),
2.807%, 01/25/2031 (J)
  102,187     102,449
Series 2019-HRP1, Class M2 (1 month LIBOR + 2.150%),
2.607%, 11/25/2039 (C)(J)
  166,501     164,109
Series 2019-R03, Class 1B1 (1 month LIBOR + 4.100%),
4.557%, 09/25/2031 (C)(J)
  75,000     75,639
Series 2019-R05, Class 1B1 (1 month LIBOR + 4.100%),
4.557%, 07/25/2039 (C)(J)
  120,000     119,700
Series 2020-26, Class AI IO,
3.000%, 04/25/2033
  370,190     25,000
Series 2020-26, Class IA IO,
3.500%, 11/25/2039
  342,580     38,805
Series 2020-27, Class NI IO,
4.500%, 05/25/2050
  245,159     43,304
Series 2020-35, Class IC IO,
5.000%, 06/25/2050
  248,934     40,955
Series 2020-R02, Class 2B1 (1 month LIBOR + 3.000%),
3.457%, 01/25/2040 (C)(J)
  152,000     139,169
Series 2022-R03, Class 1B1 (1 month SOFR + 6.250%),
6.349%, 03/25/2042 (C)(J)
  69,000     70,645
Series 2022-R03, Class 1M2 (1 month SOFR + 3.500%),
3.599%, 03/25/2042 (C)(J)
  59,000     59,629
Series 410, Class C8 IO,
4.000%, 04/25/2032
  330,198     36,139
Government National
Mortgage Association
         
Series 2015-62, Class CI IO,
4.500%, 05/20/2045
  167,462     25,850
Series 2017-130, Class IO,
4.500%, 02/20/2040
  173,997     27,320
Series 2018-168, Class AI IO,
5.000%, 12/16/2048
  257,439     49,448
          4,151,445
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $10,473,379)   $ 10,386,241
ASSET BACKED SECURITIES - 5.9%      
AASET Trust, Series 2021-2A, Class A,
2.798%, 01/15/2047 (C)
  246,398     226,663
Apidos CLO XXXII, Series 2019-32A, Class D (3 month LIBOR + 3.500%),
3.754%, 01/20/2033 (C)(J)
  250,000     250,014
 
  179  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Arbor Realty Commercial Real Estate
Notes, Ltd.
         
Series 2021-FL2, Class AS (1 month LIBOR + 1.400%),
1.797%, 05/15/2036 (C)(J)
$ 100,000   $ 99,350
Series 2021-FL3, Class B (1 month LIBOR + 1.600%),
1.997%, 08/15/2034 (C)(J)
  110,000     109,198
Ares XXVII CLO, Ltd., Series 2013-2A, Class CR2 (3 month LIBOR + 2.000%),
2.278%, 10/28/2034 (C)(J)
  250,000     247,996
Avant Loans Funding Trust, Series 2021-REV1, Class A,
1.210%, 07/15/2030 (C)
  150,000     144,955
Bain Capital Credit CLO, Ltd., Series 2020-5A, Class E (3 month LIBOR + 6.900%),
7.154%, 01/20/2032 (C)(J)
  250,000     239,187
Ballyrock CLO, Ltd., Series 2016-1A, Class ER (3 month LIBOR + 6.950%),
7.191%, 10/15/2028 (C)(J)
  250,000     248,310
Benefit Street Partners CLO XIX, Ltd., Series 2019-19A, Class E (3 month LIBOR + 7.02%),
7.261%, 01/15/2033 (C)(J)
  250,000     243,829
BlueMountain CLO, Ltd., Series 2018-2A, Class D (3 month LIBOR + 3.150%),
3.656%, 08/15/2031 (C)(J)
  250,000     242,598
Bojangles Issuer LLC, Series 2020-1A, Class A2,
3.832%, 10/20/2050 (C)
  125,000     122,217
CF Hippolyta LLC, Series 2020-1, Class B1,
2.280%, 07/15/2060 (C)
  234,728     221,372
CIFC Funding, Ltd., Series 2014-2RA, Class A1 (3 month LIBOR + 1.050%),
1.309%, 04/24/2030 (C)(J)
  300,000     298,635
CoreVest American Finance Trust, Series 2020-4, Class B,
1.707%, 12/15/2052 (C)
  100,000     91,369
Covenant Credit Partners CLO III, Ltd., Series 2017-1A, Class C1 (3 month LIBOR + 2.550%),
2.791%, 10/15/2029 (C)(J)
  250,000     246,874
DataBank Issuer, Series 2021-1A, Class A2,
2.060%, 02/27/2051 (C)
  170,000     157,852
Domino's Pizza Master Issuer LLC, Series 2017-1A, Class A23,
4.118%, 07/25/2047 (C)
  182,400     180,880
Elmwood CLO VII, Ltd., Series 2020-4A, Class C (3 month LIBOR + 2.250%),
2.491%, 01/17/2034 (C)(J)
  250,000     246,469
Flagship Credit Auto Trust          
Series 2021-3, Class C,
1.460%, 09/15/2027 (C)
  350,000     328,511
Series 2021-3, Class D,
1.650%, 09/15/2027 (C)
  112,000     104,241
Series 2020-2, Class C,
3.800%, 04/15/2026 (C)
  185,000     186,751
FRTKL, Series 2021-SFR1, Class E2,
2.522%, 09/17/2038 (C)
  132,000     117,878
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Gilbert Park CLO, Ltd., Series 2017-1A, Class B (3 month LIBOR + 1.600%),
1.841%, 10/15/2030 (C)(J)
$ 280,000   $ 277,197
Greystone Commercial Real Estate Notes, Ltd., Series 2021-FL3, Class B (1 month LIBOR + 1.650%),
2.047%, 07/15/2039 (C)(J)
  100,000     98,721
Harriman Park CLO, Ltd., Series 2020-1A, Class DR (3 month LIBOR + 3.100%),
3.354%, 04/20/2034 (C)(J)
  250,000     246,119
Hertz Vehicle Financing LLC, Series 2022-4A, Class C,
4.610%, 09/25/2026 (C)
  125,000     125,142
HIN Timeshare Trust, Series 2020-A, Class A,
1.390%, 10/09/2039 (C)
  30,800     29,024
Home Partners of America Trust, Series 2022-1, Class D,
4.730%, 04/17/2039 (C)
  155,000     150,631
Horizon Aircraft Finance II, Ltd., Series 2019-1, Class A,
3.721%, 07/15/2039 (C)
  216,919     193,343
JFIN CLO 2016, Ltd., Series 2016-1A, Class DR (3 month LIBOR + 3.400%),
3.668%, 10/27/2028 (C)(J)
  175,000     174,882
KKR CLO, Ltd., Series 2020, Class B (3 month LIBOR + 1.550%),
1.791%, 10/16/2030 (C)(J)
  282,000     278,645
LAD Auto Receivables Trust, Series 2021-1A, Class B,
1.940%, 11/16/2026 (C)
  85,000     81,371
LCM XXV, Ltd., Series 25A, Class B2 (3 month LIBOR + 1.650%),
1.904%, 07/20/2030 (C)(J)
  250,000     245,970
Lendbuzz Securitization Trust, Series 2021-1A, Class A,
1.460%, 06/15/2026 (C)
  217,878     214,156
Magnetite XVIII, Ltd., Series 2016-18A, Class BR (3 month LIBOR + 1.500%),
2.006%, 11/15/2028 (C)(J)
  250,000     248,250
Magnetite XXXI, Ltd., Series 2021-31A, Class A1 (3 month LIBOR + 1.100%),
1.341%, 07/15/2034 (C)(J)
  250,000     247,500
MAPS Trust, Series 2021-1A, Class A,
2.521%, 06/15/2046 (C)
  235,575     217,864
Mercury Financial Credit Card Master Trust, Series 2022-1A, Class A,
2.500%, 09/21/2026 (C)
  150,000     144,730
MFA LLC, Series 2021-NPL1, Class A1,
2.363%, 03/25/2060 (C)
  105,416     103,001
Neuberger Berman CLO XVII, Ltd., Series 2014-17A, Class CR2 (3 month LIBOR + 2.000%),
2.259%, 04/22/2029 (C)(J)
  250,000     246,602
Neuberger Berman Loan Advisers CLO 43, Ltd., Series 2021-43A, Class A (3 month LIBOR + 1.130%),
1.371%, 07/17/2035 (C)(J)
  250,000     248,450
Octagon Investment Partners 49, Ltd., Series 2020-5A, Class D (3 month LIBOR + 3.400%),
3.641%, 01/15/2033 (C)(J)
  250,000     249,437
 
  180  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
OZLM VII, Ltd., Series 2014-7RA, Class CR (3 month LIBOR + 3.000%),
3.241%, 07/17/2029 (C)(J)
$ 250,000   $ 244,854
Pretium Mortgage Credit Partners LLC, Series 2021-RN1, Class A2,
3.598%, 02/25/2061 (C)
  185,000     174,654
Progress Residential Trust          
Series 2021-SFR2, Class D,
2.197%, 04/19/2038 (C)
  100,000     90,032
Series 2021-SFR5, Class E1,
2.209%, 07/17/2038 (C)
  100,000     89,309
Series 2021-SFR6, Class E2,
2.525%, 07/17/2038 (C)
  100,000     88,285
Series 2021-SFR8, Class E2,
2.532%, 10/17/2038 (C)
  285,000     249,669
Series 2021-SFR10, Class B,
2.722%, 12/17/2040 (C)
  120,000     112,217
Series 2022-SFR1, Class E1,
3.930%, 02/17/2041 (C)
  150,000     138,526
Sonic Capital LLC, Series 2020-1A, Class A2I,
3.845%, 01/20/2050 (C)
  196,833     191,818
Stratus CLO, Ltd., Series 2021-1A, Class D (3 month LIBOR + 2.500%),
2.591%, 12/29/2029 (C)(J)
  250,000     243,268
Summit Issuer LLC, Series 2020-1A, Class A2,
2.290%, 12/20/2050 (C)
  55,000     51,833
Symphony CLO XXII, Ltd., Series 2020-22A, Class C (3 month LIBOR + 2.150%),
2.391%, 04/18/2033 (C)(J)
  250,000     245,458
Treman Park CLO, Ltd., Series 2015-1A, Class C3RR (3 month LIBOR + 2.000%),
2.254%, 10/20/2028 (C)(J)
  250,000     250,025
Vericrest Opportunity Loan Transferee, Series 2021-NP11, Class A1,
1.868%, 08/25/2051 (C)
  214,156     204,705
Verus Securitization Trust, Series 2020-NPL1, Class A1,
3.598%, 08/25/2050 (C)
  16,516     16,496
VOLT XCIV LLC, Series 2021-NPL3, Class A1,
2.240%, 02/27/2051 (C)
  145,108     139,407
VOLT XCVI LLC, Series 2021-NPL5, Class A1,
2.116%, 03/27/2051 (C)
  77,430     75,395
Voya CLO, Ltd., Series 2013-3A, Class BRR (3 month LIBOR + 2.250%),
2.491%, 10/18/2031 (C)(J)
  250,000     240,687
TOTAL ASSET BACKED SECURITIES (Cost $11,332,233)   $ 11,022,822
PREFERRED SECURITIES - 0.0%      
United States - 0.0%          
Becton, Dickinson and Company, 6.000%   1,136     60,004
Fluor Corp., 6.500% (C)   5     7,187
          67,191
TOTAL PREFERRED SECURITIES (Cost $64,958)   $ 67,191
EXCHANGE-TRADED FUNDS - 4.8%      
iShares JP Morgan USD Emerging Markets Bond ETF   86,500     8,456,240
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
EXCHANGE-TRADED FUNDS (continued)      
SPDR Bloomberg Convertible Securities ETF   7,600   $ 584,820
TOTAL EXCHANGE-TRADED FUNDS (Cost $10,332,632)   $ 9,041,060
SHORT-TERM INVESTMENTS - 4.6%      
Short-term funds - 4.6%          
John Hancock Collateral Trust, 0.3592% (L)(M)   20,428     204,259
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (L)   8,463,236     8,463,236
TOTAL SHORT-TERM INVESTMENTS (Cost $8,667,486)   $ 8,667,495
Total Investments (Opportunistic Fixed Income Trust)
(Cost $218,158,088) - 104.5%
  $ 196,403,346
Other assets and liabilities, net - (4.5%)     (8,502,267)
TOTAL NET ASSETS - 100.0%   $ 187,901,079
Currency Abbreviations
AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
CLP Chilean Peso
COP Colombian Peso
CZK Czech Republic Koruna
EGP Egyptian Pound
EUR Euro
GBP Pound Sterling
HKD Hong Kong Dollar
HUF Hungarian Forint
IDR Indonesian Rupiah
ILS Israeli New Shekel
ISK Icelandic Krona
JPY Japanese Yen
KRW Korean Won
MXN Mexican Peso
MYR Malaysian Ringgit
NOK Norwegian Krone
NZD New Zealand Dollar
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
CME Chicago Mercantile Exchange
CMT Constant Maturity Treasury
CPI Consumer Price Index
EURIBOR Euro Interbank Offered Rate
GO General Obligation
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
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.
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.
 
  181  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
(A) Security purchased or sold on a when-issued or delayed delivery basis.
(B) Non-income producing security.
(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 $45,851,010 or 24.4% of the fund's net assets as of 3-31-22.
(D) Non-income producing - Issuer is in default.
(E) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(F) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $201,826.
(G) Zero coupon bonds are issued at a discount from their principal amount in lieu of paying interest periodically. Rate shown is the effective yield at period end.
(H) Term loans are variable rate obligations. The coupon rate shown represents the rate at period end.
Opportunistic Fixed Income Trust (continued)
(I) 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).
(J) Variable rate obligation. The coupon rate shown represents the rate at period end.
(K) 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.
(L) The rate shown is the annualized seven-day yield as of 3-31-22.
(M) 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)
10-Year Australian Treasury Bond Futures 18 Long Jun 2022 $1,713,820 $1,711,851 $(1,969)
5-Year U.S. Treasury Note Futures 152 Long Jun 2022 17,826,214 17,432,500 (393,714)
Euro SCHATZ Futures 1 Long Jun 2022 123,597 122,501 (1,096)
Ultra U.S. Treasury Bond Futures 6 Long Jun 2022 1,099,208 1,062,750 (36,458)
10-Year U.S. Treasury Note Futures 1 Short Jun 2022 (122,858) (122,875) (17)
2-Year U.S. Treasury Note Futures 24 Short Jun 2022 (5,158,406) (5,086,125) 72,281
Euro-Buxl Futures 42 Short Jun 2022 (9,265,070) (8,651,316) 613,754
German Euro BOBL Futures 10 Short Jun 2022 (1,464,294) (1,425,513) 38,781
German Euro BUND Futures 59 Short Jun 2022 (10,804,888) (10,355,538) 449,350
U.K. Long Gilt Bond Futures 2 Short Jun 2022 (322,209) (318,507) 3,702
U.S. Treasury Long Bond Futures 95 Short Jun 2022 (14,617,235) (14,255,938) 361,297
Ultra U.S. Treasury Bond Futures 1 Short Jun 2022 (133,452) (135,469) (2,017)
            $1,103,894
    
^ 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 3,915,000  USD 2,908,575  JPM 4/29/2022  $21,885  — 
BRL 62,354,000  USD 12,976,809  CITI 4/4/2022  119,882  — 
BRL 9,440,000  USD 1,891,594  JPM 4/4/2022  91,162  — 
BRL 15,925,000  USD 3,297,921  CITI 4/29/2022  23,718  — 
CAD 1,565,000  USD 1,241,950  JPM 4/29/2022  9,730  — 
CHF 143,000  USD 152,901  GSI 4/29/2022  1,983  — 
CLP 180,695,000  USD 226,409  GSI 4/29/2022  2,215  — 
COP 10,753,250,000  USD 2,835,376  BARC 4/29/2022  5,223  — 
EUR 168,000  USD 184,882  BOA 4/29/2022  1,104  — 
EUR 156,000  USD 172,122  BARC 4/29/2022  580  — 
EUR 1,075,000  USD 1,189,812  JPM 4/29/2022  278  — 
EUR 591,000  USD 654,829  MSI 4/29/2022  —  $(556)
GBP 2,116,000  USD 2,783,831  MSI 4/29/2022  —  (4,604)
HUF 965,096,000  USD 2,827,996  BARC 4/29/2022  68,070  — 
IDR 40,715,000,000  USD 2,835,109  BOA 4/29/2022  1,211  — 
JPY 1,060,100,000  USD 8,804,379  MSI 4/28/2022  —  (92,681)
KRW 4,216,115,000  USD 3,455,266  JPM 4/29/2022  13,274  — 
KRW 1,085,101,000  USD 893,212  MSI 4/29/2022  —  (515)
MXN 25,170,000  USD 1,257,500  CITI 4/29/2022  2,425  — 
MXN 6,380,000  USD 315,983  GSI 4/29/2022  3,378  — 
NOK 21,520,000  USD 2,443,095  MSI 4/29/2022  521  — 
NZD 1,405,000  USD 974,612  JPM 4/29/2022  —  (1,241)
  182  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
FORWARD FOREIGN CURRENCY CONTRACTS (continued)
Contract to buy Contract to sell Counterparty (OTC) Contractual
settlement
date
Unrealized
appreciation
Unrealized
depreciation
PHP 74,170,000  USD 1,423,062  GSI 4/29/2022  $7,578  — 
PHP 141,170,000  USD 2,680,731  JPM 4/29/2022  42,250  — 
PLN 12,166,000  USD 2,830,355  BARC 4/29/2022  58,285  — 
SEK 9,360,000  USD 984,517  BOA 4/29/2022  11,421  — 
SEK 15,240,000  USD 1,643,588  JPM 4/29/2022  —  $(21,997)
THB 39,960,000  USD 1,192,160  GSI 4/29/2022  9,751  — 
TRY 11,454,000  USD 744,100  BARC 4/29/2022  21,276  — 
USD 1,113,050  AUD 1,480,000  BOA 4/29/2022  5,239  — 
USD 1,238,705  AUD 1,650,000  BARC 4/29/2022  3,645  — 
USD 133,110  AUD 178,000  JPM 4/29/2022  —  (126)
USD 220,230  AUD 293,000  MSI 4/29/2022  914  — 
USD 12,403,266  BRL 62,354,000  CITI 4/4/2022  —  (693,425)
USD 1,992,486  BRL 9,440,000  JPM 4/4/2022  9,730  — 
USD 578,874  BRL 3,000,000  SSB 4/4/2022  —  (51,239)
USD 993,298  BRL 4,935,000  CITI 4/29/2022  —  (36,046)
USD 8,986,860  BRL 43,429,000  CITI 5/3/2022  —  (61,935)
USD 2,274,632  CAD 2,858,000  BOA 4/29/2022  —  (11,184)
USD 5,530,448  CAD 6,969,000  JPM 4/29/2022  —  (43,329)
USD 3,665,170  CLP 2,912,511,000  GSI 4/29/2022  —  (19,880)
USD 581,263  CLP 461,000,000  SSB 4/29/2022  —  (2,016)
USD 2,850,336  CZK 64,252,000  JPM 4/29/2022  —  (52,750)
USD 19,396,755  EUR 17,514,000  JPM 4/29/2022  7,694  — 
USD 909,157  EUR 825,000  MSI 4/29/2022  —  (4,168)
USD 884,090  GBP 672,000  MSI 4/29/2022  1,462  — 
USD 258,967  HKD 2,026,000  GSI 4/29/2022  271  — 
USD 1,883,991  IDR 27,056,000,000  BOA 4/29/2022  —  (805)
USD 192  IDR 2,760,000  BARC 4/29/2022  ——  —— 
USD 4,218,692  ILS 13,569,000  MSI 4/29/2022  —  (35,109)
USD 1,010,367  INR 77,480,000  CITI 4/29/2022  —  (6,163)
USD 1,066,914  INR 81,636,000  MSI 4/29/2022  —  (4,143)
USD 6,893,029  JPY 829,962,000  MSI 4/28/2022  72,561  — 
USD 13,956,335  KRW 16,954,575,000  MSI 4/29/2022  8,042  — 
USD 5,215,260  MXN 106,493,000  BOA 4/29/2022  —  (115,422)
USD 6,363,513  NOK 56,053,000  MSI 4/29/2022  —  (1,358)
USD 5,457,133  NZD 7,867,000  JPM 4/29/2022  6,950  — 
USD 2,989,887  PHP 156,102,000  GSI 4/29/2022  —  (21,113)
USD 1,299,752  SEK 12,357,000  BOA 4/29/2022  —  (15,078)
USD 2,745,233  SGD 3,722,000  MSI 4/29/2022  —  (618)
USD 105,047  TRY 1,617,000  BARC 4/29/2022  —  (3,004)
USD 1,595,159  ZAR 23,978,000  JPM 4/29/2022  —  (40,534)
ZAR 7,380,000  USD 493,118  BARC 4/29/2022  10,319  — 
            $644,027  $(1,341,039)
    
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
GSI 228,150,000 INR Fixed 6.130% INR FBIL MIBOR Compounded OIS Semi-Annual Semi-Annual Jun 2027 $(1,849) $1 $(1,848)
MSI 229,780,000 INR Fixed 6.190% INR FBIL MIBOR Compounded OIS Semi-Annual Semi-Annual Jun 2027 1,014 (8,887) (7,873)
                $(835) $(8,886) $(9,721)
Centrally cleared 2,550,000 CAD CAD CORRA Compounded OIS Fixed 0.013% Semi-Annual Semi-Annual Sep 2026 (109,989) (109,989)
Centrally cleared 2,550,000 CAD CAD CORRA Compounded OIS Fixed 0.013% Semi-Annual Semi-Annual Sep 2026 (110,633) (110,633)
Centrally cleared 2,935,000 CAD CAD CDOR Fixed 1.283% Semi-Annual Semi-Annual Nov 2026 (118,194) (118,194)
Centrally cleared 2,415,000 CAD CAD CDOR Fixed 1.266% Semi-Annual Semi-Annual Nov 2026 (98,762) (98,762)
Centrally cleared 7,990,000 CAD CAD CORRA Compounded OIS Fixed 1.530% Semi-Annual Semi-Annual Dec 2026 (255,145) (255,145)
Centrally cleared 52,320,000 MXN MXN TIIE Banxico Fixed 7.840% Monthly Monthly Mar 2027 2,623 (50,176) (47,553)
Centrally cleared 8,500,000 NZD NZD BBR FRA Fixed 2.660% Semi-Annual Quarterly Mar 2027 (19,764) (172,154) (191,918)
  183  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
Interest rate swaps (continued)
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
Centrally cleared 6,540,000 NZD NZD BBR FRA Fixed 2.750% Semi-Annual Quarterly Mar 2027 $6,725 $(135,684) $(128,959)
Centrally cleared 783,430,000 HUF HUF BUBOR Reuters Fixed 5.130% Annual Semi-Annual Mar 2027 1,372 (137,057) (135,685)
Centrally cleared 1,433,300,000 HUF HUF BUBOR Reuters Fixed 5.000% Annual Semi-Annual Mar 2027 8,780 (279,996) (271,216)
Centrally cleared 64,529,200 MXN MXN TIIE Banxico Fixed 7.130% Monthly Monthly Jun 2031 22,955 (244,320) (221,365)
Centrally cleared 84,380,000 MXN MXN TIIE Banxico Fixed 6.940% Monthly Monthly Sep 2031 (1,433) (349,808) (351,241)
Centrally cleared 270,000 GBP Fixed 0.840% GBP SONIA Compounded OIS Annual Annual Sep 2071 (15,894) 69,560 53,666
                $5,364 $(1,992,358) $(1,986,994)
                $4,529 $(2,001,244) $(1,996,715)
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
BARC Federative Republic of Brazil 2,050,000 USD $2,050,000 1.000% Quarterly Dec 2026 $118,233 $(42,553) $75,680
BARC Government of Malaysia 2,845,000 USD 2,845,000 1.000% Quarterly Jun 2027 (47,947) (869) (48,816)
CITI People's Republic of China 2,040,000 USD 2,040,000 1.000% Quarterly Jun 2027 (38,375) (623) (38,998)
CITI Republic of Colombia 3,545,000 USD 3,545,000 1.000% Quarterly Jun 2027 143,288 (1,086) 142,202
GSI Republic of Indonesia 1,085,000 USD 1,085,000 1.000% Quarterly Jun 2027 (8,292) (331) (8,623)
GSI Republic of South Africa 8,060,000 USD 8,060,000 1.000% Quarterly Jun 2027 401,580 (2,462) 399,118
JPM Republic of Korea 9,630,000 USD 9,630,000 1.000% Quarterly Dec 2024 (179,870) (49,778) (229,648)
JPM Republic of Peru 3,310,000 USD 3,310,000 1.000% Quarterly Jun 2027 (35,070) (2,081) (37,151)
MSI Government of Japan 9,570,000 USD 9,570,000 1.000% Quarterly Dec 2024 (190,388) (70,567) (260,955)
MSI Federative Republic of Brazil 5,760,000 USD 5,760,000 1.000% Quarterly Jun 2027 292,104 (1,760) 290,344
MSI Government of Mexico 4,415,000 USD 4,415,000 1.000% Quarterly Jun 2027 (2,113) (1,349) (3,462)
MSI Republic of Chile 4,755,000 USD 4,755,000 1.000% Quarterly Jun 2027 (68,887) (1,614) (70,501)
MSI Republic of Peru 3,310,000 USD 3,310,000 1.000% Quarterly Jun 2027 (33,496) (1,011) (34,507)
MSI CMBX.NA.BBB-.12 250,000 USD 250,000 3.000% Monthly Aug 2061 16,860 4,833 21,693
MSI CMBX.NA.BBB-.13 100,000 USD 100,000 3.000% Monthly Dec 2072 5,868 3,451 9,319
        $60,725,000       $373,495 $(167,800) $205,695
Centrally cleared CDX.NA.HY.38 225,000 USD 225,000 5.000% Quarterly Jun 2027 (10,379) (2,070) (12,449)
        $225,000       $(10,379) $(2,070) $(12,449)
        $60,950,000       $363,116 $(169,870) $193,246
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 iTraxx Europe Series 37 Version 1 0.728% 2,585,000 EUR $2,843,883 1.000% Quarterly Jun 2027 $28,137 $12,188 $40,325
          $2,843,883       $28,137 $12,188 $40,325
Total return swaps
Pay/
receive
total
return*
Reference
entity
Floating/
fixed
rate
Payment
frequency
Currency Notional
amount
Maturity
date
Counterparty
(OTC)
Unamortized
upfront
payment paid
(received)
Unrealized
appreciation
(depreciation)
Value
Pay iBoxx $ Liquid Leveraged Loan Index USD Compounded SOFR At Maturity USD 2,890,000 Sep 2022 BARC $(45,577) $(45,577)
Pay iBoxx $ Liquid High Yield Index 3-Month USD LIBOR At Maturity USD 1,370,000 Sep 2022 GSI 51,234 51,234
Pay iBoxx $ Liquid High Yield Index USD Compounded SOFR At Maturity USD 2,175,000 Sep 2022 GSI (21,510) (21,510)
  184  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
Total return swaps
Pay/
receive
total
return*
Reference
entity
Floating/
fixed
rate
Payment
frequency
Currency Notional
amount
Maturity
date
Counterparty
(OTC)
Unamortized
upfront
payment paid
(received)
Unrealized
appreciation
(depreciation)
Value
Pay iBoxx $ Liquid High Yield Index USD Compounded SOFR At Maturity USD 1,460,000 Sep 2022 GSI $105 $105
Pay iBoxx $ Liquid Leveraged Loan Index USD Compounded SOFR At Maturity USD 730,000 Sep 2022 GSI 8,552 8,552
Pay iBoxx $ Liquid Leveraged Loan Index USD Compounded SOFR At Maturity USD 725,000 Sep 2022 MSI 8,413 8,413
Pay iBoxx $ Liquid Leveraged Loan Index USD Compounded SOFR At Maturity USD 1,405,000 Sep 2022 MSI (9,203) (9,203)
Pay iBoxx $ Liquid Leveraged Loan Index USD Compounded SOFR At Maturity USD 730,000 Sep 2022 MSI 52 52
Pay iBoxx $ Liquid High Yield Index USD Compounded SOFR At Maturity USD 4,620,000 Mar 2023 MSI (93,867) (93,867)
                $(101,801) $(101,801)
    
* 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.
Inflation swaps
Counterparty (OTC)/
Centrally
cleared
Notional
amount
Currency USD notional
amount
Payments
made
Payments
received
Fixed
payment
frequency
Floating
payment
frequency
Maturity date Unamortized
upfront
payment paid
(received)
Unrealized
appreciation
(depreciation)
Value
BOA 640,000 USD $640,000 Fixed 1.635% USA CPI All Urban Consumers At Maturity At Maturity Feb 2050 $238,598 $238,598
CITI 780,000 USD 780,000 Fixed 2.578% USA CPI All Urban Consumers At Maturity At Maturity Feb 2051 69,496 69,496
JPM 2,330,000 USD 2,330,000 Fixed 1.830% USA CPI All Urban Consumers At Maturity At Maturity Feb 2050 $(56,372) 795,780 739,408
      $3,750,000           $(56,372) $1,103,874 $1,047,502
  185  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
Derivatives Currency Abbreviations
AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
CHF Swiss Franc
CLP Chilean Peso
COP Colombian Peso
CZK Czech Republic Koruna
EUR Euro
GBP Pound Sterling
HKD Hong Kong Dollar
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
SEK Swedish Krona
SGD Singapore Dollar
THB Thai Bhat
TRY Turkish Lira
USD U.S. Dollar
ZAR South African Rand
Derivatives Abbreviations
BARC Barclays Bank PLC
BBR Bank Bill Rate
BOA Bank of America, N.A.
BUBOR Budapest Interbank Offered Rate
CDOR Canadian Dollar Offered Rate
CITI Citibank, N.A.
CORRA Canadian Overnight Repo Rate Average
CPI Consumer Price Index
GSI Goldman Sachs International
JPM JPMorgan Chase Bank, N.A.
LIBOR London Interbank Offered Rate
MIBOR Mumbai Interbank Offered Rate
MSI Morgan Stanley & Co. International PLC
OIS Overnight Index Swap
OTC Over-the-counter
SOFR Secured Overnight Financing Rate
SONIA Sterling Overnight Interbank Average Rate
SSB State Street Bank and Trust Company
TIIE Tasa de Interes Interbancario de Equilibrio (Interbank Equilibrium Interest Rate)
Real Estate Securities Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.8%          
Consumer discretionary – 2.7%          
Hotels, restaurants and leisure – 2.7%          
Hotels, resorts and cruise lines – 2.7%          
Hilton Grand Vacations, Inc. (A)   83,031   $ 4,318,443
Hyatt Hotels Corp., Class A (A)   21,438     2,046,257
Playa Hotels & Resorts NV (A)   499,740     4,322,751
          10,687,451
Health care – 1.1%          
Real Estate Securities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)          
Health care providers and services –
1.1%
         
Health care facilities – 1.1%          
HCA Healthcare, Inc.   17,295   $ 4,334,473
          4,334,473
Real estate – 95.0%          
 
  186  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Real Estate Securities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)          
Equity real estate investment trusts –
89.4%
         
Health care REITs – 9.0%          
LTC Properties, Inc.   66,118   $ 2,543,559
Ventas, Inc.   153,664     9,490,289
Welltower, Inc.   243,965     23,454,795
          35,488,643
Hotel and resort REITs – 1.9%          
Ryman Hospitality Properties, Inc. (A)   80,308     7,450,173
Industrial REITs – 17.4%          
First Industrial Realty Trust, Inc.   103,347     6,398,213
Innovative Industrial Properties, Inc.   10,755     2,209,077
Prologis, Inc.   285,516     46,105,124
Rexford Industrial Realty, Inc.   187,989     14,022,100
          68,734,514
Office REITs – 8.3%          
Alexandria Real Estate Equities, Inc.   41,468     8,345,435
Douglas Emmett, Inc.   219,431     7,333,384
SL Green Realty Corp.   162,219     13,168,938
Veris Residential, Inc. (A)   214,303     3,726,729
          32,574,486
Residential REITs – 19.3%          
AvalonBay Communities, Inc.   95,690     23,766,525
Camden Property Trust   80,568     13,390,402
Independence Realty Trust, Inc.   324,495     8,579,648
Sun Communities, Inc.   75,720     13,272,959
UDR, Inc.   301,374     17,289,826
          76,299,360
Retail REITs – 12.5%          
Acadia Realty Trust   154,015     3,337,505
Brixmor Property Group, Inc.   470,414     12,141,385
Kimco Realty Corp.   501,644     12,390,607
Phillips Edison & Company, Inc.   204,754     7,041,490
Simon Property Group, Inc.   75,074     9,876,735
Spirit Realty Capital, Inc.   101,754     4,682,719
          49,470,441
Specialized REITs – 21.0%          
American Tower Corp.   54,759     13,756,556
Equinix, Inc.   13,229     9,810,891
Extra Space Storage, Inc.   80,026     16,453,346
Life Storage, Inc.   102,584     14,405,871
Public Storage   35,306     13,779,226
SBA Communications Corp.   19,514     6,714,767
VICI Properties, Inc.   283,516     8,068,865
          82,989,522
          353,007,139
Real estate management and
development – 5.6%
         
Real estate operating companies –
2.3%
         
Tricon Residential, Inc.   568,932     9,042,658
Real estate services – 3.3%          
CBRE Group, Inc., Class A (A)   69,751     6,383,612
Colliers International Group, Inc. (New York Stock Exchange) (B)   51,001     6,650,530
          13,034,142
          22,076,800
          375,083,939
TOTAL COMMON STOCKS (Cost $312,879,025)   $ 390,105,863
Real Estate Securities Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 1.0%      
Short-term funds – 1.0%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (C)   3,903,207   $ 3,903,207
TOTAL SHORT-TERM INVESTMENTS (Cost $3,903,207)     $ 3,903,207
Total Investments (Real Estate Securities Trust)
(Cost $316,782,232) – 99.8%
      $ 394,009,070
Other assets and liabilities, net – 0.2%       758,619
TOTAL NET ASSETS – 100.0%       $ 394,767,689
Security Abbreviations and Legend
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $130,090. In addition to the cash collateral invested in John Hancock Collateral Trust, if any, non-cash collateral of $138,756 in the form of U.S. Treasuries was pledged to the fund.
(C) The rate shown is the annualized seven-day yield as of 3-31-22.
Science & Technology Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 96.0%      
Communication services – 13.4%          
Entertainment – 1.8%      
CTS Eventim AG & Company KGaA (A)   50,481   $ 3,428,532
Netflix, Inc. (A)   12,600     4,719,834
ROBLOX Corp., Class A (A)   161,939     7,488,059
Take-Two Interactive Software, Inc. (A)   2,480     381,275
          16,017,700
Interactive media and services – 11.1%      
Alphabet, Inc., Class A (A)   1,285     3,574,035
Alphabet, Inc., Class C (A)   9,979     27,871,247
Baidu, Inc., ADR (A)   116,456     15,407,129
Kanzhun, Ltd., ADR (A)   17,368     432,637
Kuaishou Technology (A)(B)   13,100     120,032
Meta Platforms, Inc., Class A (A)   113,724     25,287,669
Pinterest, Inc., Class A (A)   295,960     7,283,576
VK Company, Ltd., GDR (A)   791,720     285,019
ZoomInfo Technologies, Inc. (A)   260,380     15,555,101
          95,816,445
Media – 0.5%      
Comcast Corp., Class A   91,750     4,295,735
          116,129,880
Consumer discretionary – 22.0%          
Automobiles – 1.0%      
Rivian Automotive, Inc., Class A (A)(C)   39,260     1,972,422
Tesla, Inc. (A)   6,035     6,503,316
          8,475,738
Diversified consumer services – 0.1%      
New Oriental Education & Technology Group, Inc., ADR (A)   986,170     1,134,096
Hotels, restaurants and leisure – 5.5%      
Airbnb, Inc., Class A (A)   6,875     1,180,850
Booking Holdings, Inc. (A)   4,833     11,350,059
Expedia Group, Inc. (A)   35,100     6,868,017
Tongcheng Travel Holdings, Ltd. (A)   2,648,400     4,666,619
 
  187  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Science & Technology Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Trip.com Group, Ltd., ADR (A)   1,028,272   $ 23,773,649
          47,839,194
Internet and direct marketing retail – 14.7%      
Alibaba Group Holding, Ltd., ADR (A)   225,987     24,587,386
Amazon.com, Inc. (A)   15,362     50,079,352
Boohoo Group PLC (A)   3,608,294     4,180,165
Coupang, Inc. (A)   146,187     2,584,586
Deliveroo PLC (A)(B)   1,631,230     2,404,931
Delivery Hero SE (A)(B)   194,653     8,483,715
D-Market Elektronik Hizmetler ve Ticaret AS, ADR (A)(C)   345,590     784,489
DoorDash, Inc., Class A (A)   31,010     3,634,062
Etsy, Inc. (A)   56,695     7,046,055
Naspers, Ltd., N Shares   43,956     4,964,492
Wayfair, Inc., Class A (A)   17,028     1,886,362
Zalando SE (A)(B)   318,638     16,133,971
          126,769,566
Specialty retail – 0.7%      
Auto1 Group SE (A)(B)   245,390     2,787,989
Warby Parker, Inc., Class A (A)(C)   94,647     3,200,015
          5,988,004
          190,206,598
Industrials – 0.4%          
Electrical equipment – 0.0%      
Bloom Energy Corp., Class A (A)   2,360     56,994
Professional services – 0.0%      
Legalzoom.com, Inc. (A)(C)   6,270     88,658
Road and rail – 0.4%      
Lyft, Inc., Class A (A)   52,945     2,033,088
Uber Technologies, Inc. (A)   31,275     1,115,892
          3,148,980
          3,294,632
Information technology – 59.9%          
Communications equipment – 0.5%      
Arista Networks, Inc. (A)   10,680     1,484,306
F5, Inc. (A)   15,485     3,235,591
          4,719,897
Electronic equipment, instruments and components – 0.5%      
Cognex Corp.   6,605     509,576
Flex, Ltd. (A)   123,290     2,287,030
Samsung SDI Company, Ltd.   2,370     1,153,454
          3,950,060
IT services – 7.2%      
Adyen NV (A)(B)   650     1,287,451
Block, Inc. (A)   5,530     749,868
Cloudflare, Inc., Class A (A)   4,070     487,179
DXC Technology Company (A)   136,105     4,441,106
Global Payments, Inc.   8,220     1,124,825
Mastercard, Inc., Class A   37,760     13,494,669
MongoDB, Inc. (A)   55,337     24,546,937
Okta, Inc. (A)   13,845     2,090,041
PayPal Holdings, Inc. (A)   21,300     2,463,345
Shopify, Inc., Class A (A)   5,900     3,988,164
Snowflake, Inc., Class A (A)   12,118     2,776,597
Visa, Inc., Class A   20,480     4,541,850
          61,992,032
Semiconductors and semiconductor equipment – 14.6%      
Advanced Micro Devices, Inc. (A)   86,931     9,505,036
Applied Materials, Inc.   72,236     9,520,705
ASML Holding NV, NYRS   1,810     1,208,953
Broadcom, Inc.   14,035     8,837,559
Science & Technology Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
Infineon Technologies AG   91,465   $ 3,094,261
KLA Corp.   6,660     2,437,960
Lam Research Corp.   5,260     2,827,829
Marvell Technology, Inc.   102,770     7,369,637
Micron Technology, Inc.   161,918     12,611,793
Monolithic Power Systems, Inc.   1,020     495,394
NVIDIA Corp.   63,740     17,392,096
NXP Semiconductors NV   24,830     4,595,536
ON Semiconductor Corp. (A)   201,150     12,594,002
QUALCOMM, Inc.   88,431     13,514,025
SK Hynix, Inc.   53,035     5,101,921
STMicroelectronics NV   32,735     1,422,793
Taiwan Semiconductor Manufacturing Company, Ltd., ADR   81,090     8,454,443
Teradyne, Inc.   12,295     1,453,638
Tokyo Electron, Ltd.   6,200     3,184,078
Wolfspeed, Inc. (A)   4,970     565,884
          126,187,543
Software – 28.5%      
Altair Engineering, Inc., Class A (A)   8,410     541,604
Alteryx, Inc., Class A (A)   18,000     1,287,540
Asana, Inc., Class A (A)   14,165     566,175
Aspen Technology, Inc. (A)   6,915     1,143,534
Atlassian Corp. PLC, Class A (A)   36,760     10,801,191
Box, Inc., Class A (A)   46,585     1,353,760
Citrix Systems, Inc.   81,619     8,235,357
Coupa Software, Inc. (A)   27,746     2,819,826
Crowdstrike Holdings, Inc., Class A (A)   51,105     11,604,923
Datadog, Inc., Class A (A)   82,970     12,567,466
ForgeRock, Inc., Class A (A)   17,728     388,598
Fortinet, Inc. (A)   30,670     10,481,166
Intuit, Inc.   14,985     7,205,387
KnowBe4, Inc., Class A (A)   69,573     1,601,570
Microsoft Corp.   230,513     71,069,463
NortonLifeLock, Inc.   221,633     5,877,707
Oracle Corp.   18,285     1,512,718
Palo Alto Networks, Inc. (A)   33,425     20,807,397
Paycom Software, Inc. (A)   3,645     1,262,555
Procore Technologies, Inc. (A)   2,208     127,976
salesforce.com, Inc. (A)   146,260     31,053,923
Smartsheet, Inc., Class A (A)   12,045     659,825
TeamViewer AG (A)(B)   200,467     2,960,367
The Trade Desk, Inc., Class A (A)   56,305     3,899,121
Workday, Inc., Class A (A)   21,728     5,202,987
Zoom Video Communications, Inc., Class A (A)   182,978     21,450,511
Zscaler, Inc. (A)   42,392     10,228,342
          246,710,989
Technology hardware, storage and peripherals – 8.6%      
Apple, Inc.   133,135     23,246,702
Hewlett Packard Enterprise Company   1,998     33,387
Pure Storage, Inc., Class A (A)   877,681     30,990,916
Samsung Electronics Company, Ltd.   239,565     13,708,620
Seagate Technology Holdings PLC   73,940     6,647,206
          74,626,831
          518,187,352
Real estate – 0.3%          
Real estate management and development – 0.3%      
KE Holdings, Inc., ADR (A)   129,400     1,600,678
Opendoor Technologies, Inc. (A)   140,700     1,217,055
          2,817,733
TOTAL COMMON STOCKS (Cost $855,639,182)   $ 830,636,195
 
  188  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2022 (unaudited) (showing percentage of total net assets)

Science & Technology Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 5.0%      
Short-term funds – 2.5%          
John Hancock Collateral Trust, 0.3592% (D)(E)   678,042   $ 6,779,611
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (D)   501,975     501,975
T. Rowe Price Government Reserve Fund, 0.2855% (D)   14,229,705     14,229,705
          21,511,291
Repurchase agreement – 2.5%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $21,916,000 on 4-1-22, collateralized by $22,384,100 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $22,354,374) $ 21,916,000     21,916,000
TOTAL SHORT-TERM INVESTMENTS (Cost $43,427,199)   $ 43,427,291
Total Investments (Science & Technology Trust)
(Cost $899,066,381) – 101.0%
  $ 874,063,486
Other assets and liabilities, net – (1.0%)     (8,632,129)
TOTAL NET ASSETS – 100.0%   $ 865,431,357
Security Abbreviations and Legend
ADR American Depositary Receipt
GDR Global Depositary Receipt
NYRS New York Registry Shares
(A) Non-income producing security.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $6,247,883.
(D) The rate shown is the annualized seven-day yield as of 3-31-22.
(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.
Select Bond Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
30.3%
     
U.S. Government – 12.2%          
U.S. Treasury Bonds          
1.875%, 11/15/2051 $ 370,440,600   $ 324,945,861
2.250%, 02/15/2052   137,189,000     131,572,825
2.375%, 02/15/2042   85,167,000     82,146,233
2.500%, 02/15/2045   97,149,000     94,621,609
3.000%, 02/15/2047   37,979,000     40,864,514
U.S. Treasury Notes          
1.875%, 02/28/2027 to 02/15/2032   191,358,000     183,814,101
2.375%, 03/31/2027   15,803,000     15,837,569
          873,802,712
U.S. Government Agency – 18.1%          
Federal Home Loan Mortgage Corp.          
2.000%, 11/01/2051 to 03/01/2052   93,507,676     86,966,664
2.500%, 08/01/2050 to 12/01/2051   80,708,830     77,438,792
3.000%, 03/01/2043 to 12/01/2049   106,765,008     105,933,335
3.500%, 04/01/2044 to 04/01/2047   63,988,759     65,259,320
3.500%, 03/01/2052 (A)   8,847,378     8,937,296
4.000%, 03/01/2048 to 08/01/2048   15,324,095     15,805,322
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal National Mortgage Association          
2.000%, 09/01/2050 to 02/01/2052 $ 87,942,374   $ 82,068,274
2.500%, TBA (A)   112,419,000     107,272,323
2.500%, 09/01/2050 to 01/01/2052   152,048,663     145,718,014
3.000%, 01/01/2043 to 02/01/2052   172,884,394     171,100,305
3.000%, 02/01/2052 to 04/25/2057 (A)   36,323,094     35,626,733
3.500%, 06/01/2042 to 09/01/2049   145,684,626     147,988,823
3.500%, 06/01/2049 to 04/01/2052 (A)   39,026,158     39,421,701
4.000%, 09/01/2040 to 07/01/2049   151,807,547     157,591,827
4.500%, 12/01/2040 to 05/01/2042   37,023,579     39,242,511
Government National Mortgage Association
4.000%, 10/15/2039 to 11/15/2041
  2,835,428     2,934,714
          1,289,305,954
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $2,256,220,775)   $ 2,163,108,666
FOREIGN GOVERNMENT OBLIGATIONS – 0.4%      
Qatar – 0.2%          
State of Qatar
5.103%, 04/23/2048 (B)
  8,410,000     10,282,983
Saudi Arabia – 0.2%          
Kingdom of Saudi Arabia
4.375%, 04/16/2029 (B)
  14,979,000     16,196,044
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $23,774,151)   $ 26,479,027
CORPORATE BONDS – 38.7%      
Communication services – 3.5%          
AT&T, Inc.          
3.100%, 02/01/2043   34,206,000     29,529,642
3.500%, 06/01/2041   12,200,000     11,232,784
3.650%, 06/01/2051   10,434,000     9,494,668
Charter Communications Operating LLC          
4.200%, 03/15/2028   13,245,000     13,384,193
4.800%, 03/01/2050   15,472,000     14,696,999
5.750%, 04/01/2048   16,696,000     17,750,105
6.484%, 10/23/2045   13,673,000     15,565,115
Comcast Corp.
4.150%, 10/15/2028
  15,058,000     15,823,234
Level 3 Financing, Inc.
3.400%, 03/01/2027 (B)
  6,456,000     6,084,780
Magallanes, Inc.          
4.279%, 03/15/2032 (B)   12,653,000     12,709,289
5.141%, 03/15/2052 (B)   4,009,000     4,101,586
Telefonica Emisiones SA
5.213%, 03/08/2047
  16,102,000     17,255,775
T-Mobile USA, Inc.          
2.050%, 02/15/2028   12,548,000     11,460,264
2.550%, 02/15/2031   4,824,000     4,374,410
3.400%, 10/15/2052 (B)   16,859,000     14,337,570
3.750%, 04/15/2027   6,507,000     6,545,035
3.875%, 04/15/2030   13,891,000     13,944,329
4.500%, 04/15/2050   8,048,000     8,141,807
Verizon Communications, Inc.          
4.329%, 09/21/2028   17,379,000     18,332,656
4.400%, 11/01/2034   7,740,000     8,234,826
          252,999,067
Consumer discretionary – 3.3%          
Amazon.com, Inc.
4.050%, 08/22/2047
  9,136,000     9,938,010
Aptiv PLC          
3.250%, 03/01/2032   3,289,000     3,117,308
4.150%, 05/01/2052   1,813,000     1,700,201
 
  189  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2022 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
AutoNation, Inc.
4.750%, 06/01/2030
$ 4,925,000   $ 5,133,210
Booking Holdings, Inc.
4.625%, 04/13/2030
  10,403,000     11,282,934
Choice Hotels International, Inc.
3.700%, 12/01/2029 to 01/15/2031
  15,291,000     14,926,734
Daimler Finance North America LLC
3.500%, 08/03/2025 (B)
  5,990,000     6,008,945
Daimler Trucks Finance North America LLC
1.625%, 12/13/2024 (B)
  6,766,000     6,459,707
Dollar Tree, Inc.
4.200%, 05/15/2028
  16,502,000     17,059,002
eBay, Inc.
2.700%, 03/11/2030
  12,556,000     11,799,024
Expedia Group, Inc.          
2.950%, 03/15/2031   6,373,000     5,900,414
3.250%, 02/15/2030   9,735,000     9,266,511
3.800%, 02/15/2028   16,524,000     16,436,362
4.625%, 08/01/2027   8,713,000     9,050,604
5.000%, 02/15/2026   10,710,000     11,215,048
General Motors Financial Company, Inc.          
2.400%, 10/15/2028   17,219,000     15,409,330
3.600%, 06/21/2030   20,346,000     19,461,204
4.350%, 01/17/2027   8,868,000     9,018,000
Hyundai Capital America          
1.000%, 09/17/2024 (B)   8,719,000     8,200,652
1.800%, 10/15/2025 (B)   4,018,000     3,752,722
2.375%, 10/15/2027 (B)   4,018,000     3,678,582
Lowe's Companies, Inc.
4.250%, 04/01/2052
  4,017,000     4,154,917
Marriott International, Inc.          
2.850%, 04/15/2031   9,027,000     8,238,879
3.500%, 10/15/2032   5,228,000     4,976,370
4.625%, 06/15/2030   5,210,000     5,395,949
4.650%, 12/01/2028   13,237,000     13,604,158
Nissan Motor Acceptance Company LLC
1.125%, 09/16/2024 (B)
  4,380,000     4,096,250
          239,281,027
Consumer staples – 0.4%          
Anheuser-Busch InBev Worldwide, Inc.
4.600%, 04/15/2048
  10,094,000     10,894,190
Constellation Brands, Inc.
3.150%, 08/01/2029
  3,340,000     3,225,167
Kraft Heinz Foods Company          
5.000%, 06/04/2042   3,892,000     4,157,045
5.500%, 06/01/2050   6,031,000     6,848,381
6.500%, 02/09/2040   4,352,000     5,189,760
          30,314,543
Energy – 3.3%          
Aker BP ASA          
3.000%, 01/15/2025 (B)   6,211,000     6,118,196
3.750%, 01/15/2030 (B)   4,847,000     4,742,860
4.000%, 01/15/2031 (B)   10,984,000     10,942,603
Continental Resources, Inc.
4.900%, 06/01/2044
  4,181,000     4,137,295
Coterra Energy, Inc.
4.375%, 06/01/2024 (B)
  4,733,000     4,828,115
Diamondback Energy, Inc.
3.125%, 03/24/2031
  5,548,000     5,298,626
Enbridge, Inc. (5.750% to 4-15-30, then 5 Year CMT + 5.314%) 07/15/2080   8,820,000     9,128,700
Enbridge, Inc. (6.250% to 3-1-28, then 3 month LIBOR + 3.641%) 03/01/2078   8,767,000     9,075,435
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
Energy Transfer LP          
4.200%, 04/15/2027 $ 4,899,000   $ 4,988,173
5.150%, 03/15/2045   5,400,000     5,449,562
5.250%, 04/15/2029   17,785,000     18,978,490
5.400%, 10/01/2047   8,136,000     8,517,837
5.500%, 06/01/2027   7,447,000     8,002,838
Enterprise Products Operating LLC (5.250% to 8-16-27, then 3 month LIBOR + 3.033%) 08/16/2077   12,660,000     11,901,836
EQT Corp.
7.500%, 02/01/2030
  2,886,000     3,344,153
Kinder Morgan Energy Partners LP
7.750%, 03/15/2032
  4,555,000     5,857,186
Lundin Energy Finance BV          
2.000%, 07/15/2026 (B)   5,640,000     5,251,783
3.100%, 07/15/2031 (B)   8,003,000     7,411,432
Midwest Connector Capital Company LLC
3.900%, 04/01/2024 (B)
  9,512,000     9,541,809
MPLX LP          
4.000%, 03/15/2028   6,705,000     6,820,549
4.125%, 03/01/2027   2,551,000     2,608,575
4.250%, 12/01/2027   4,887,000     5,047,125
Ovintiv, Inc.
7.200%, 11/01/2031
  1,177,000     1,424,460
Sabine Pass Liquefaction LLC          
4.200%, 03/15/2028   4,128,000     4,238,985
4.500%, 05/15/2030   13,283,000     13,890,930
5.000%, 03/15/2027   7,297,000     7,717,046
Targa Resources Corp.
4.950%, 04/15/2052 (A)
  9,104,000     9,275,268
Targa Resources Partners LP
4.000%, 01/15/2032
  7,449,000     7,165,826
The Williams Companies, Inc.          
3.750%, 06/15/2027   9,700,000     9,805,980
4.550%, 06/24/2024   17,539,000     18,016,779
TransCanada PipeLines, Ltd.
4.250%, 05/15/2028
  6,220,000     6,462,452
          235,990,904
Financials – 12.7%          
Ares Capital Corp.          
2.150%, 07/15/2026   11,802,000     10,665,889
2.875%, 06/15/2028   6,780,000     6,002,343
3.875%, 01/15/2026   8,615,000     8,451,110
4.200%, 06/10/2024   6,463,000     6,509,717
Ascot Group, Ltd.
4.250%, 12/15/2030 (B)
  4,815,000     4,710,242
Athene Holding, Ltd.
3.500%, 01/15/2031
  14,028,000     13,426,909
Australia & New Zealand Banking Group, Ltd. (6.750% to 6-15-26, then 5 Year ICE Swap Rate + 5.168%) 06/15/2026 (B)(C)   3,040,000     3,266,480
AXA SA
8.600%, 12/15/2030
  2,474,000     3,264,740
Banco Santander SA
4.379%, 04/12/2028
  7,600,000     7,664,886
Bank of America Corp.          
3.248%, 10/21/2027   9,341,000     9,297,261
3.950%, 04/21/2025   11,322,000     11,537,033
Bank of America Corp. (1.734% to 7-22-26, then SOFR + 0.960%) 07/22/2027   2,497,000     2,318,926
 
  190  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2022 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Bank of America Corp. (2.087% to 6-14-28, then SOFR + 1.060%) 06/14/2029 $ 12,755,000   $ 11,650,971
Bank of America Corp. (2.592% to 4-29-30, then SOFR + 2.150%) 04/29/2031   12,322,000     11,367,864
Bank of America Corp. (2.687% to 4-22-31, then SOFR + 1.320%) 04/22/2032   19,364,000     17,807,849
Bank of America Corp. (3.846% to 3-8-32, then 5 Year CMT + 2.000%) 03/08/2037   9,199,000     8,809,160
Bank of America Corp. (4.271% to 7-23-28, then 3 month LIBOR + 1.310%) 07/23/2029   17,187,000     17,731,882
Barclays PLC
4.375%, 01/12/2026
  7,380,000     7,534,631
Blackstone Private Credit Fund          
2.350%, 11/22/2024 (B)   7,493,000     7,144,814
2.700%, 01/15/2025 (B)   5,893,000     5,627,673
3.250%, 03/15/2027 (B)   1,690,000     1,548,830
4.000%, 01/15/2029 (B)   8,340,000     7,721,316
BPCE SA
4.500%, 03/15/2025 (B)
  7,805,000     7,894,103
Cantor Fitzgerald LP
4.875%, 05/01/2024 (B)
  9,631,000     9,927,637
Citigroup, Inc.          
3.200%, 10/21/2026   14,418,000     14,304,315
4.600%, 03/09/2026   17,394,000     18,036,369
Citigroup, Inc. (2.561% to 5-1-31, then SOFR + 1.167%) 05/01/2032   5,665,000     5,108,525
Citizens Financial Group, Inc.
3.250%, 04/30/2030 (D)
  12,256,000     11,978,292
CNA Financial Corp.
2.050%, 08/15/2030
  4,015,000     3,563,302
CNO Financial Group, Inc.
5.250%, 05/30/2029
  10,165,000     10,693,530
Credit Agricole SA          
2.811%, 01/11/2041 (B)   5,816,000     4,804,166
3.250%, 01/14/2030 (B)   12,902,000     12,237,147
Deutsche Bank AG (2.311% to 11-16-26, then SOFR + 1.219%) 11/16/2027   7,009,000     6,423,163
Deutsche Bank AG (2.552% to 1-7-27, then SOFR + 1.318%) 01/07/2028   11,487,000     10,597,255
Discover Financial Services
4.100%, 02/09/2027
  4,203,000     4,285,552
GE Capital International Funding Company
4.418%, 11/15/2035
  9,626,000     10,336,288
Hercules Capital, Inc.
2.625%, 09/16/2026
  6,215,000     5,707,879
Jefferies Group LLC          
4.150%, 01/23/2030   9,200,000     9,346,370
4.850%, 01/15/2027   10,843,000     11,368,258
JPMorgan Chase & Co.
2.950%, 10/01/2026
  7,611,000     7,552,065
JPMorgan Chase & Co. (2.522% to 4-22-30, then SOFR + 2.040%) 04/22/2031   12,793,000     11,859,353
JPMorgan Chase & Co. (2.956% to 5-13-30, then SOFR + 2.515%) 05/13/2031   12,141,000     11,360,293
JPMorgan Chase & Co. (2.963% to 1-25-32, then SOFR + 1.260%) 01/25/2033   2,313,000     2,180,588
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
JPMorgan Chase & Co. (3.960% to 1-29-26, then 3 month LIBOR + 1.245%) 01/29/2027 $ 11,699,000   $ 11,941,328
JPMorgan Chase & Co. (4.600% to 2-1-25, then SOFR + 3.125%) 02/01/2025 (C)   9,375,000     9,035,156
JPMorgan Chase & Co. (6.750% to 2-1-24, then 3 month LIBOR + 3.780%) 02/01/2024 (C)   12,306,000     12,842,049
Lazard Group LLC
4.375%, 03/11/2029
  7,100,000     7,261,839
Lloyds Banking Group PLC
4.450%, 05/08/2025
  19,070,000     19,542,917
M&T Bank Corp. (5.125% to 11-1-26, then 3 month LIBOR + 3.520%) 11/01/2026 (C)(D)   3,746,000     3,746,000
Macquarie Bank, Ltd.          
3.624%, 06/03/2030 (B)   6,523,000     6,147,859
4.875%, 06/10/2025 (B)   7,810,000     8,014,532
MetLife, Inc. (6.400% to 12-15-36, then 3 month LIBOR + 2.205%) 12/15/2036   7,277,000     7,835,874
MetLife, Inc. (9.250% to 4-8-38, then 3 month LIBOR + 5.540%) 04/08/2038 (B)   2,567,000     3,333,503
Morgan Stanley
3.875%, 01/27/2026
  8,532,000     8,694,303
Morgan Stanley (2.188% to 4-28-25, then SOFR + 1.990%) 04/28/2026   22,984,000     22,201,819
Morgan Stanley (2.239% to 7-21-31, then SOFR + 1.178%) 07/21/2032   4,486,000     3,975,177
Morgan Stanley (2.484% to 9-16-31, then SOFR + 1.360%) 09/16/2036   14,062,000     12,055,971
NatWest Group PLC (3.754% to 11-1-24, then 5 Year CMT + 2.100%) 11/01/2029   4,512,000     4,476,256
NatWest Markets PLC
1.600%, 09/29/2026 (B)
  12,231,000     11,200,900
New York Life Insurance Company
3.750%, 05/15/2050 (B)
  5,384,000     5,219,013
Nippon Life Insurance Company (2.750% to 1-21-31, then 5 Year CMT + 2.653%) 01/21/2051 (B)   13,599,000     12,205,103
Nippon Life Insurance Company (5.100% to 10-16-24, then 5 Year U.S. Swap Rate + 3.650%) 10/16/2044 (B)   5,325,000     5,478,094
Nordea Bank ABP (3.750% to 3-1-29, then 5 Year CMT + 2.602%) 03/01/2029 (B)(C)   11,616,000     9,970,361
Oaktree Specialty Lending Corp.
2.700%, 01/15/2027
  14,277,000     13,081,206
Ohio National Financial Services, Inc.
5.800%, 01/24/2030 (B)
  3,660,000     3,775,353
PNC Bank NA
4.050%, 07/26/2028
  2,690,000     2,762,409
Prudential Financial, Inc. (3.700% to 7-1-30, then 5 Year CMT + 3.035%) 10/01/2050   23,906,000     21,907,459
Prudential Financial, Inc. (5.125% to 11-28-31, then 5 Year CMT + 3.162%) 03/01/2052   5,540,000     5,600,386
Prudential Financial, Inc. (5.875% to 9-15-22, then 3 month LIBOR + 4.175%) 09/15/2042   14,691,000     14,801,183
 
  191  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2022 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
S&P Global, Inc.
4.750%, 08/01/2028 (B)
$ 4,190,000   $ 4,501,511
Santander Holdings USA, Inc.          
3.244%, 10/05/2026   16,909,000     16,482,672
3.450%, 06/02/2025   15,455,000     15,343,282
3.500%, 06/07/2024   11,289,000     11,319,515
4.400%, 07/13/2027   3,574,000     3,635,051
Santander Holdings USA, Inc. (2.490% to 1-6-27, then SOFR + 1.249%) 01/06/2028   7,238,000     6,753,059
SBL Holdings, Inc.
5.000%, 02/18/2031 (B)
  7,908,000     7,623,667
Teachers Insurance & Annuity Association of America
4.270%, 05/15/2047 (B)
  9,222,000     9,742,964
The Bank of New York Mellon Corp.
0.850%, 10/25/2024 (D)
  27,732,000     26,542,191
The Goldman Sachs Group, Inc.
3.850%, 01/26/2027
  19,136,000     19,307,805
The Goldman Sachs Group, Inc. (2.615% to 4-22-31, then SOFR + 1.281%) 04/22/2032   23,362,000     21,232,808
The Goldman Sachs Group, Inc. (2.650% to 10-21-31, then SOFR + 1.264%) 10/21/2032   9,012,000     8,147,418
The PNC Financial Services Group, Inc. (3 month LIBOR + 3.678%) 3.995%, 08/01/2022 (C)(E)   11,183,000     11,126,878
The PNC Financial Services Group, Inc. (3.400% to 9-15-26, then 5 Year CMT + 2.595%) 09/15/2026 (C)   12,274,000     11,052,737
The PNC Financial Services Group, Inc. (4.850% to 6-1-23, then 3 month LIBOR + 3.040%) 06/01/2023 (C)   4,314,000     4,301,120
Unum Group
4.125%, 06/15/2051
  3,701,000     3,231,203
Wells Fargo & Company
3.550%, 09/29/2025
  18,013,000     18,246,142
Wells Fargo & Company (2.393% to 6-2-27, then SOFR + 2.100%) 06/02/2028   19,183,000     18,139,447
Wells Fargo & Company (2.879% to 10-30-29, then SOFR + 1.432%) 10/30/2030   14,423,000     13,708,176
Wells Fargo & Company (3.068% to 4-30-40, then SOFR + 2.530%) 04/30/2041   9,762,000     8,775,795
Wells Fargo & Company (3.350% to 3-2-32, then SOFR + 1.500%) 03/02/2033   6,720,000     6,530,783
Wells Fargo & Company (5.875% to 6-15-25, then 3 month LIBOR + 3.990%) 06/15/2025 (C)   22,240,000     23,236,352
Zions Bancorp NA
3.250%, 10/29/2029
  18,340,000     17,526,344
          907,237,946
Health care – 2.1%          
AbbVie, Inc.
3.200%, 11/21/2029
  33,371,000     32,974,169
AmerisourceBergen Corp.
2.800%, 05/15/2030
  9,144,000     8,642,554
Anthem, Inc.
2.250%, 05/15/2030
  3,522,000     3,231,632
CVS Health Corp.          
2.700%, 08/21/2040   6,008,000     5,122,421
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
CVS Health Corp. (continued)          
3.750%, 04/01/2030 $ 7,993,000   $ 8,132,795
4.300%, 03/25/2028   4,269,000     4,465,711
5.050%, 03/25/2048   11,164,000     12,643,129
Fresenius Medical Care US Finance
III, Inc.
         
2.375%, 02/16/2031 (B)   13,464,000     11,718,495
3.750%, 06/15/2029 (B)   12,965,000     12,786,685
HCA, Inc.
4.125%, 06/15/2029
  13,127,000     13,380,387
Royalty Pharma PLC
1.750%, 09/02/2027
  4,117,000     3,736,470
Universal Health Services, Inc.          
1.650%, 09/01/2026 (B)   7,142,000     6,551,402
2.650%, 10/15/2030 (B)   7,813,000     7,092,740
Viatris, Inc.          
2.300%, 06/22/2027   4,139,000     3,767,083
2.700%, 06/22/2030   9,367,000     8,238,888
4.000%, 06/22/2050   10,136,000     8,515,014
          150,999,575
Industrials – 4.7%          
Adani Ports & Special Economic Zone, Ltd.
3.100%, 02/02/2031 (B)
  6,679,000     5,750,103
AerCap Ireland Capital DAC          
1.650%, 10/29/2024   12,528,000     11,831,557
1.750%, 01/30/2026   9,702,000     8,901,096
2.450%, 10/29/2026   12,708,000     11,754,294
2.875%, 08/14/2024   9,926,000     9,653,343
3.650%, 07/21/2027   3,468,000     3,360,212
Air Canada 2013-1 Class A Pass Through Trust
4.125%, 05/15/2025 (B)
  2,690,237     2,621,655
Air Canada 2017-1 Class B Pass Through Trust
3.700%, 01/15/2026 (B)
  3,720,926     3,502,037
Air Lease Corp.          
2.100%, 09/01/2028   4,481,000     3,918,190
2.875%, 01/15/2026   4,391,000     4,238,077
3.625%, 12/01/2027   4,932,000     4,797,996
Alaska Airlines 2020-1 Class B Pass Through Trust
8.000%, 08/15/2025 (B)
  5,686,295     6,027,660
American Airlines 2016-1 Class A Pass Through Trust
4.100%, 01/15/2028
  7,691,872     7,146,183
American Airlines 2016-1 Class AA Pass Through Trust
3.575%, 01/15/2028
  6,735,392     6,457,161
American Airlines 2017-1 Class A Pass Through Trust
4.000%, 02/15/2029
  5,116,913     4,559,995
American Airlines 2017-1 Class AA Pass Through Trust
3.650%, 02/15/2029
  5,881,988     5,638,839
American Airlines 2017-2 Class A Pass Through Trust
3.600%, 10/15/2029
  4,632,414     4,289,550
American Airlines 2019-1 Class A Pass Through Trust
3.500%, 02/15/2032
  4,698,588     4,193,490
American Airlines 2019-1 Class AA Pass Through Trust
3.150%, 02/15/2032
  7,038,967     6,608,306
 
  192  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2022 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
American Airlines 2021-1 Class A Pass Through Trust
2.875%, 07/11/2034
$ 4,290,000   $ 3,872,589
Ashtead Capital, Inc.          
1.500%, 08/12/2026 (B)   4,620,000     4,192,800
4.250%, 11/01/2029 (B)   4,031,000     4,011,195
British Airways 2013-1 Class A Pass Through Trust
4.625%, 06/20/2024 (B)
  2,538,863     2,563,880
British Airways 2018-1 Class A Pass Through Trust
4.125%, 09/20/2031 (B)
  1,522,424     1,451,881
British Airways 2020-1 Class A Pass Through Trust
4.250%, 11/15/2032 (B)
  2,512,862     2,510,307
British Airways 2020-1 Class B Pass Through Trust
8.375%, 11/15/2028 (B)
  3,450,233     3,809,083
Continental Airlines 2007-1 Class A Pass Through Trust
5.983%, 04/19/2022
  618,847     618,806
CoStar Group, Inc.
2.800%, 07/15/2030 (B)
  10,366,000     9,474,217
DAE Funding LLC
3.375%, 03/20/2028 (B)
  11,546,000     10,795,510
Delta Air Lines, Inc.          
2.900%, 10/28/2024   15,545,000     15,195,238
3.800%, 04/19/2023   6,835,000     6,877,719
4.375%, 04/19/2028 (D)   9,405,000     9,020,100
4.500%, 10/20/2025 (B)   2,059,000     2,070,962
4.750%, 10/20/2028 (B)   6,536,678     6,586,727
Huntington Ingalls Industries, Inc.
4.200%, 05/01/2030
  9,417,000     9,794,124
JetBlue 2019-1 Class AA Pass Through Trust
2.750%, 05/15/2032
  7,204,698     6,744,269
Owens Corning
3.950%, 08/15/2029
  8,341,000     8,489,102
SMBC Aviation Capital Finance DAC
2.300%, 06/15/2028 (B)
  3,894,000     3,450,889
The Boeing Company          
3.200%, 03/01/2029   8,456,000     8,057,966
5.040%, 05/01/2027   13,070,000     13,762,877
5.150%, 05/01/2030   9,011,000     9,609,851
5.805%, 05/01/2050   6,872,000     7,935,353
United Airlines 2014-2 Class A Pass Through Trust
3.750%, 09/03/2026
  9,655,599     9,473,264
United Airlines 2016-1 Class A Pass Through Trust
3.450%, 07/07/2028
  8,610,018     7,567,198
United Airlines 2016-1 Class B Pass Through Trust
3.650%, 01/07/2026
  8,332,639     7,791,278
United Airlines 2018-1 Class B Pass Through Trust
4.600%, 03/01/2026
  2,529,203     2,372,807
United Airlines 2019-1 Class A Pass Through Trust
4.550%, 08/25/2031
  6,449,186     6,452,090
United Airlines 2020-1 Class A Pass Through Trust
5.875%, 10/15/2027
  16,464,458     16,930,884
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
United Airlines 2020-1 Class B Pass Through Trust
4.875%, 01/15/2026
$ 3,899,232   $ 3,789,990
US Airways 2010-1 Class A Pass Through Trust
6.250%, 04/22/2023
  1,547,827     1,532,064
US Airways 2012-1 Class A Pass Through Trust
5.900%, 10/01/2024
  6,922,703     7,186,622
US Airways 2012-2 Class A Pass Through Trust
4.625%, 06/03/2025
  3,580,458     3,446,562
          332,687,948
Information technology – 4.4%          
Autodesk, Inc.
2.850%, 01/15/2030
  4,681,000     4,403,632
Broadcom, Inc.          
3.419%, 04/15/2033 (B)   11,115,000     10,373,870
4.750%, 04/15/2029   28,757,000     30,215,882
5.000%, 04/15/2030   14,161,000     15,053,052
CDW LLC
3.569%, 12/01/2031
  10,020,000     9,283,029
CGI, Inc.
1.450%, 09/14/2026 (B)
  8,030,000     7,376,735
Dell International LLC          
3.450%, 12/15/2051 (B)   9,538,000     7,748,573
4.900%, 10/01/2026   12,456,000     13,065,032
5.300%, 10/01/2029   6,177,000     6,728,296
5.850%, 07/15/2025   4,251,000     4,537,234
8.350%, 07/15/2046   2,108,000     3,080,610
Hewlett Packard Enterprise Company
4.900%, 10/15/2025
  10,479,000     10,972,852
KLA Corp.
4.100%, 03/15/2029
  7,616,000     7,993,144
Marvell Technology, Inc.
2.450%, 04/15/2028
  11,200,000     10,298,152
Micron Technology, Inc.          
4.185%, 02/15/2027   14,953,000     15,344,395
4.975%, 02/06/2026   5,650,000     5,917,641
5.327%, 02/06/2029   19,168,000     20,720,370
Motorola Solutions, Inc.          
2.300%, 11/15/2030   11,690,000     10,248,153
2.750%, 05/24/2031   9,922,000     8,977,242
4.600%, 05/23/2029   3,233,000     3,361,941
NXP BV          
3.250%, 05/11/2041 (B)   3,717,000     3,277,733
3.875%, 06/18/2026 (B)   12,831,000     12,872,229
Oracle Corp.
2.950%, 04/01/2030
  18,106,000     16,703,918
PayPal Holdings, Inc.
2.850%, 10/01/2029
  13,135,000     12,857,672
Qorvo, Inc.          
1.750%, 12/15/2024 (B)   6,016,000     5,738,482
3.375%, 04/01/2031 (B)   5,277,000     4,798,640
Renesas Electronics Corp.
1.543%, 11/26/2024 (B)
  6,826,000     6,501,708
VeriSign, Inc.
2.700%, 06/15/2031
  5,582,000     5,051,710
VMware, Inc.
4.700%, 05/15/2030
  12,282,000     12,989,382
Western Digital Corp.          
3.100%, 02/01/2032   10,461,000     9,366,466
4.750%, 02/15/2026   8,529,000     8,662,564
Workday, Inc.          
3.500%, 04/01/2027   4,867,000     4,865,734
 
  193  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2022 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology (continued)          
Workday, Inc. (continued)          
3.800%, 04/01/2032 $ 5,514,000   $ 5,503,507
          314,889,580
Materials – 0.7%          
Anglo American Capital PLC          
3.875%, 03/16/2029 (B)   1,808,000     1,808,834
4.750%, 04/10/2027 (B)   5,485,000     5,689,045
Braskem Netherlands Finance BV
5.875%, 01/31/2050 (B)(D)
  7,579,000     7,518,368
Freeport-McMoRan, Inc.          
4.250%, 03/01/2030   7,941,000     7,993,966
5.450%, 03/15/2043   9,268,000     10,378,677
Newmont Corp.
2.800%, 10/01/2029
  3,464,000     3,313,476
Orbia Advance Corp. SAB de CV
5.500%, 01/15/2048 (B)
  3,490,000     3,433,671
Vulcan Materials Company
3.500%, 06/01/2030
  6,839,000     6,782,994
          46,919,031
Real estate – 2.4%          
American Homes 4 Rent LP
4.250%, 02/15/2028
  4,327,000     4,391,703
American Tower Corp.
3.800%, 08/15/2029
  6,600,000     6,567,881
Crown Castle International Corp.          
3.300%, 07/01/2030   3,145,000     3,007,652
3.650%, 09/01/2027   11,831,000     11,745,128
3.800%, 02/15/2028   4,658,000     4,653,279
CyrusOne LP          
2.150%, 11/01/2030   3,797,000     3,791,153
3.450%, 11/15/2029   8,590,000     8,847,700
Equinix, Inc.          
1.550%, 03/15/2028   9,456,000     8,348,468
1.800%, 07/15/2027   5,384,000     4,895,089
2.500%, 05/15/2031   14,515,000     13,017,397
3.200%, 11/18/2029   4,428,000     4,237,579
GLP Capital LP          
3.250%, 01/15/2032   3,361,000     3,049,435
5.375%, 04/15/2026   7,596,000     7,937,316
Host Hotels & Resorts LP          
3.375%, 12/15/2029   10,874,000     10,360,195
3.500%, 09/15/2030   7,110,000     6,779,102
3.875%, 04/01/2024   17,397,000     17,536,655
4.000%, 06/15/2025   13,557,000     13,679,744
4.500%, 02/01/2026   4,859,000     4,970,238
SBA Tower Trust          
2.328%, 01/15/2028 (B)   21,448,000     20,320,592
2.836%, 01/15/2025 (B)   7,899,000     7,770,340
Ventas Realty LP
3.500%, 02/01/2025
  4,775,000     4,787,884
          170,694,530
Utilities – 1.2%          
ABY Transmision Sur SA
6.875%, 04/30/2043 (B)
  2,550,719     3,060,863
AES Panama Generation Holdings SRL
4.375%, 05/31/2030 (B)
  5,952,000     5,669,280
Dominion Energy, Inc.
3.375%, 04/01/2030
  6,792,000     6,700,430
Emera US Finance LP
3.550%, 06/15/2026
  6,192,000     6,185,622
Engie Energia Chile SA
3.400%, 01/28/2030 (B)
  8,250,000     7,590,083
NiSource, Inc.
3.600%, 05/01/2030
  4,887,000     4,846,437
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
NRG Energy, Inc.          
2.450%, 12/02/2027 (B) $ 7,276,000   $ 6,710,681
4.450%, 06/15/2029 (B)   5,451,000     5,453,232
Vistra Operations Company LLC          
3.550%, 07/15/2024 (B)   12,479,000     12,360,715
3.700%, 01/30/2027 (B)   13,509,000     12,965,549
4.300%, 07/15/2029 (B)   11,424,000     11,026,880
          82,569,772
TOTAL CORPORATE BONDS (Cost $2,891,669,969)     $ 2,764,583,923
MUNICIPAL BONDS – 1.2%          
Alabama Federal Aid Highway Finance Authority
1.547%, 09/01/2027
  14,186,000     13,146,292
Foothill-Eastern Transportation Corridor Agency (California)
4.094%, 01/15/2049
  8,396,000     8,360,812
Golden State Tobacco Securitization Corp. (California)
4.214%, 06/01/2050
  4,975,000     4,420,571
Maryland Health & Higher Educational Facilities Authority
3.197%, 07/01/2050
  14,500,000     12,564,108
Mississippi Hospital Equipment & Facilities Authority
3.720%, 09/01/2026
  7,677,000     7,743,070
New Jersey Transportation Trust
Fund Authority
         
4.081%, 06/15/2039   9,117,000     9,131,323
4.131%, 06/15/2042   790,000     781,442
Ohio Turnpike & Infrastructure Commission
3.216%, 02/15/2048
  6,950,000     6,354,823
Port Authority of New York & New Jersey
1.086%, 07/01/2023
  44,000     43,476
Regents of the University of California Medical Center Pooled Revenue
3.006%, 05/15/2050
  14,500,000     12,688,933
State Board of Administration Finance Corp. (Florida)
1.705%, 07/01/2027
  12,324,000     11,487,258
TOTAL MUNICIPAL BONDS (Cost $94,023,949)   $ 86,722,108
COLLATERALIZED MORTGAGE OBLIGATIONS – 9.8%      
Commercial and residential – 8.4%          
Angel Oak Mortgage Trust LLC          
Series 2020-R1, Class A1,
0.990%, 04/25/2053 (B)(F)
  4,580,071     4,502,927
Series 2021-2, Class A1,
0.985%, 04/25/2066 (B)(F)
  3,229,761     3,080,866
Series 2021-4, Class A1,
1.035%, 01/20/2065 (B)(F)
  6,707,769     6,345,890
Series 2021-5, Class A1,
0.951%, 07/25/2066 (B)(F)
  8,454,707     7,980,283
Arroyo Mortgage Trust
Series 2021-1R, Class A1
1.175%, 10/25/2048 (B)(F)
  5,695,302     5,393,735
BAMLL Commercial Mortgage
Securities Trust
         
Series 2015-200P, Class A,
3.218%, 04/14/2033 (B)
  5,706,000     5,617,950
Series 2015-200P, Class C,
3.596%, 04/14/2033 (B)(F)
  6,760,000     6,606,052
 
  194  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2022 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
BBCMS Mortgage Trust
Series 2020-C6, Class A2
2.690%, 02/15/2053
$ 4,700,000   $ 4,623,316
Benchmark Mortgage Trust          
Series 2018-B1, Class A2,
3.571%, 01/15/2051
  8,808,266     8,833,026
Series 2019-B12, Class A2,
3.001%, 08/15/2052
  8,685,000     8,586,764
BRAVO Residential Funding Trust
Series 2021-NQM1, Class A1
0.941%, 02/25/2049 (B)(F)
  4,197,262     4,073,050
BX Commercial Mortgage Trust          
Series 2018-BIOA, Class D (1 month LIBOR + 1.321%),
1.718%, 03/15/2037 (B)(E)
  6,581,518     6,482,185
Series 2020-VKNG, Class A (1 month LIBOR + 0.930%),
1.327%, 10/15/2037 (B)(E)
  7,957,812     7,870,230
Series 2021-ACNT, Class A (1 month LIBOR + 0.850%),
1.247%, 11/15/2038 (B)(E)
  5,198,000     5,128,280
Series 2021-CIP, Class A (1 month LIBOR + 0.921%),
1.318%, 12/15/2038 (B)(E)
  14,331,000     14,097,806
Series 2021-VOLT, Class C (1 month LIBOR + 1.100%),
1.497%, 09/15/2036 (B)(E)
  7,399,000     7,099,490
Series 2022-AHP, Class A (1 month CME Term SOFR + 0.990%),
1.291%, 01/17/2039 (B)(E)
  12,523,000     12,358,956
BX Trust
Series 2021-MFM1, Class D (1 month LIBOR + 1.500%)
1.897%, 01/15/2034 (B)(E)
  2,033,000     1,937,204
BXHPP Trust
Series 2021-FILM, Class C (1 month LIBOR + 1.100%)
1.497%, 08/15/2036 (B)(E)
  17,743,000     17,032,162
CAMB Commercial Mortgage Trust
Series 2019-LIFE, Class D (1 month LIBOR + 1.750%)
2.147%, 12/15/2037 (B)(E)
  1,944,000     1,912,339
Cantor Commercial Real Estate Lending
Series 2019-CF1, Class A2
3.623%, 05/15/2052
  11,096,000     11,108,848
Citigroup Commercial Mortgage Trust          
Series 2019-PRM, Class A,
3.341%, 05/10/2036 (B)
  6,695,000     6,666,609
Series 2019-SMRT, Class A,
4.149%, 01/10/2036 (B)
  3,645,000     3,687,752
Series 2020-GC46, Class A2,
2.708%, 02/15/2053
  13,170,000     12,920,972
COLT Mortgage Loan Trust          
Series 2021-2, Class A1,
0.924%, 08/25/2066 (B)(F)
  6,864,381     6,349,137
Series 2021-3, Class A1,
0.956%, 09/27/2066 (B)(F)
  9,160,782     8,485,167
Series 2021-HX1, Class A1,
1.110%, 10/25/2066 (B)(F)
  7,819,149     7,272,984
COLT Trust
Series 2020-RPL1, Class A1
1.390%, 01/25/2065 (B)(F)
  11,095,386     10,448,083
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Commercial Mortgage Trust (Cantor Fitzgerald/Deutsche Bank AG)
Series 2020-CX, Class D
2.683%, 11/10/2046 (B)(F)
$ 4,291,000   $ 3,677,590
Commercial Mortgage Trust (Deutsche Bank AG)
Series 2020-CBM, Class A2
2.896%, 02/10/2037 (B)
  5,531,000     5,362,683
Credit Suisse Mortgage
Capital Certificates
         
Series 2019-ICE4, Class B (1 month LIBOR + 1.230%),
1.627%, 05/15/2036 (B)(E)
  3,709,000     3,671,646
Series 2019-ICE4, Class D (1 month LIBOR + 1.600%),
1.997%, 05/15/2036 (B)(E)
  5,837,000     5,771,170
Series 2020-NET, Class A,
2.257%, 08/15/2037 (B)
  2,188,673     2,081,705
Series 2021-AFC1, Class A1,
0.830%, 03/25/2056 (B)(F)
  12,254,696     11,778,226
Series 2021-NQM2, Class A1,
1.179%, 02/25/2066 (B)(F)
  5,681,436     5,479,551
Series 2021-NQM3, Class A1,
1.015%, 04/25/2066 (B)(F)
  4,873,500     4,636,584
Series 2021-NQM5, Class A1,
0.938%, 05/25/2066 (B)(F)
  4,690,297     4,426,954
Series 2021-NQM6, Class A1,
1.174%, 07/25/2066 (B)(F)
  7,725,363     7,258,276
Series 2021-RPL2, Class A1A,
1.115%, 01/25/2060 (B)(F)
  12,880,711     11,834,873
DBJPM Mortgage Trust
Series 2020-C9, Class A2
1.900%, 08/15/2053
  8,675,000     8,301,589
Deephaven Residential Mortgage Trust
Series 2021-2, Class A1
0.899%, 04/25/2066 (B)(F)
  7,611,686     7,159,358
Ellington Financial Mortgage Trust          
Series 2021-1, Class A1,
0.797%, 02/25/2066 (B)(F)
  2,549,931     2,449,304
Series 2021-2, Class A1,
0.931%, 06/25/2066 (B)(F)
  5,443,345     5,090,584
Flagstar Mortgage Trust
Series 2021-1, Class A2
2.500%, 02/01/2051 (B)(F)
  10,230,397     9,478,984
GCAT Trust          
Series 2021-NQM1, Class A1,
0.874%, 01/25/2066 (B)(F)
  4,696,862     4,507,922
Series 2021-NQM2, Class A1,
1.036%, 05/25/2066 (B)(F)
  4,068,398     3,847,624
Series 2021-NQM3, Class A1,
1.091%, 05/25/2066 (B)(F)
  6,915,734     6,545,164
GS Mortgage Securities Trust          
Series 2013-GC12, Class A3,
2.860%, 06/10/2046
  11,611,000     11,605,219
Series 2019-GC40, Class A2,
2.971%, 07/10/2052
  6,505,000     6,447,988
Series 2020-UPTN, Class A,
2.751%, 02/10/2037 (B)
  5,820,000     5,612,760
Series 2021-STAR, Class A (1 month LIBOR + 0.950%),
1.347%, 12/15/2036 (B)(E)
  13,304,000     13,169,724
 
  195  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2022 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
GS Mortgage-Backed Securities Trust          
Series 2020-NQM1, Class A1,
1.382%, 09/27/2060 (B)(F)
$ 1,652,924   $ 1,610,725
Series 2021-NQM1, Class A1,
1.017%, 07/25/2061 (B)(F)
  3,203,288     3,072,731
Imperial Fund Mortgage Trust
Series 2021-NQM1, Class A1
1.071%, 06/25/2056 (B)(F)
  4,084,817     3,842,780
Irvine Core Office Trust
Series 2013-IRV, Class A2
3.174%, 05/15/2048 (B)(F)
  6,620,000     6,631,452
JPMCC Commercial Mortgage Securities Trust
Series 2019-COR5, Class A2
3.150%, 06/13/2052
  17,510,000     17,345,623
JPMorgan Chase Commercial Mortgage Securities Trust
Series 2022-OPO, Class A
3.024%, 01/05/2039 (B)
  6,678,000     6,439,658
KNDL Mortgage Trust
Series 2019-KNSQ, Class C (1 month LIBOR + 1.050%)
1.447%, 05/15/2036 (B)(E)
  7,485,000     7,409,559
Life Mortgage Trust          
Series 2021-BMR, Class A (1 month LIBOR + 0.700%),
1.097%, 03/15/2038 (B)(E)
  7,339,838     7,174,475
Series 2021-BMR, Class D (1 month LIBOR + 1.400%),
1.797%, 03/15/2038 (B)(E)
  5,881,110     5,682,357
MFA Trust          
Series 2021-INV1, Class A1,
0.852%, 01/25/2056 (B)(F)
  8,006,239     7,745,880
Series 2021-NQM1, Class A1,
1.153%, 04/25/2065 (B)(F)
  3,844,125     3,777,181
MHP Trust
Series 2022-MHIL, Class A (1 month CME Term SOFR + 0.815%)
1.116%, 01/15/2027 (B)(E)
  7,859,000     7,701,366
Morgan Stanley Capital I Trust
Series 2017-CLS, Class D (1 month LIBOR + 1.400%)
1.797%, 11/15/2034 (B)(E)
  5,105,000     5,061,742
New Residential Mortgage Loan Trust
Series 2020-1A, Class A1B
3.500%, 10/25/2059 (B)(F)
  3,298,785     3,277,414
NMLT Trust
Series 2021-INV1, Class A1
1.185%, 05/25/2056 (B)(F)
  11,424,571     10,727,151
NYMT Loan Trust
Series 2022-CP1, Class A1
2.042%, 07/25/2061 (B)
  4,066,213     3,926,436
OBX Trust          
Series 2020-EXP2, Class A3,
2.500%, 05/25/2060 (B)(F)
  2,793,274     2,709,232
Series 2021-NQM2, Class A1,
1.101%, 05/25/2061 (B)(F)
  7,551,518     7,110,475
Series 2021-NQM3, Class A1,
1.054%, 07/25/2061 (B)(F)
  8,514,147     7,986,609
Provident Funding Mortgage Trust
Series 2020-F1, Class A2
2.000%, 01/25/2036 (B)(F)
  9,266,751     8,706,548
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
SLG Office Trust
Series 2021-OVA, Class C
2.851%, 07/15/2041 (B)
$ 13,468,000   $ 11,984,233
SMRT
Series 2022-MINI, Class A (1 month CME Term SOFR + 1.000%)
1.302%, 01/15/2024 (B)(E)
  16,836,000     16,614,807
Starwood Mortgage Residential Trust          
Series 2021-2, Class A1,
0.943%, 05/25/2065 (B)(F)
  5,287,931     5,167,190
Series 2022-1, Class A1,
2.447%, 12/25/2066 (B)(F)
  8,284,910     7,889,530
Towd Point Mortgage Trust          
Series 2015-1, Class A5,
3.160%, 10/25/2053 (B)(F)
  2,759,000     2,751,336
Series 2017-2, Class A1,
2.750%, 04/25/2057 (B)(F)
  693,337     693,727
Series 2018-4, Class A1,
3.000%, 06/25/2058 (B)(F)
  5,875,729     5,762,152
Series 2018-6, Class A1A,
3.750%, 03/25/2058 (B)(F)
  460,723     463,567
Series 2019-4, Class A1,
2.900%, 10/25/2059 (B)(F)
  4,833,036     4,745,507
Series 2020-4, Class A1,
1.750%, 10/25/2060 (B)
  6,321,445     5,967,538
Verus Securitization Trust          
Series 2020-5, Class A1,
1.218%, 05/25/2065 (B)
  2,216,492     2,160,475
Series 2021-1, Class A1,
0.815%, 01/25/2066 (B)(F)
  5,304,271     5,137,199
Series 2021-3, Class A1,
1.046%, 06/25/2066 (B)(F)
  7,111,003     6,747,546
Series 2021-4, Class A1,
0.938%, 07/25/2066 (B)(F)
  3,660,807     3,434,992
Series 2021-5, Class A1,
1.013%, 09/25/2066 (B)(F)
  7,496,899     6,900,924
Series 2021-R1, Class A1,
0.820%, 10/25/2063 (B)(F)
  3,967,880     3,871,421
Series 2021-R2, Class A1,
0.918%, 02/25/2064 (B)(F)
  3,958,111     3,875,949
Visio Trust
Series 2020-1R, Class A1
1.312%, 11/25/2055 (B)
  7,178,754     7,000,721
Wells Fargo Commercial Mortgage Trust
Series 2019-C51, Class A2
3.039%, 06/15/2052
  13,287,134     13,217,509
          599,023,258
U.S. Government Agency – 1.4%          
Federal Home Loan Mortgage Corp.          
Series 2022-DNA1, Class M1A (1 month SOFR + 1.000%),
1.099%, 01/25/2042 (B)(E)
  8,639,000     8,486,623
Series 2022-DNA2, Class M1A (1 month SOFR + 1.300%),
1.399%, 02/25/2042 (B)(E)
  6,646,619     6,606,527
Series 2022-DNA2, Class M1B (1 month SOFR + 2.400%),
2.499%, 02/25/2042 (B)(E)
  7,663,000     7,456,185
Series K021, Class X1 IO,
1.384%, 06/25/2022
  22,160,597     222
Series K022, Class X1 IO,
1.165%, 07/25/2022
  113,451,923     180,650
 
  196  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2022 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
Series K026, Class X1 IO,
0.929%, 11/25/2022
$ 147,830,174   $ 600,294
Series K038, Class X1 IO,
1.094%, 03/25/2024
  50,769,063     931,435
Series K048, Class X1 IO,
0.227%, 06/25/2025
  155,526,805     1,053,430
Federal National Mortgage Association
Series 2022-R03, Class 1M1 (1 month SOFR + 2.100%)
2.199%, 03/25/2042 (B)(E)
  8,245,000     8,257,778
Government National
Mortgage Association
         
Series 2012-114, Class IO,
0.656%, 01/16/2053
  18,160,366     357,060
Series 2016-174, Class IO,
0.851%, 11/16/2056
  13,722,845     651,439
Series 2017-109, Class IO,
0.289%, 04/16/2057
  14,734,927     391,844
Series 2017-124, Class IO,
0.621%, 01/16/2059
  15,568,119     573,245
Series 2017-135, Class IO,
0.726%, 10/16/2058
  42,293,204     1,895,704
Series 2017-140, Class IO,
0.489%, 02/16/2059
  19,988,707     771,018
Series 2017-159, Class IO,
0.448%, 06/16/2059
  29,904,202     1,222,771
Series 2017-20, Class IO,
0.648%, 12/16/2058
  36,644,070     1,258,618
Series 2017-22, Class IO,
0.717%, 12/16/2057
  16,076,366     703,137
Series 2017-41, Class IO,
0.631%, 07/16/2058
  16,595,947     588,688
Series 2017-46, Class IO,
0.634%, 11/16/2057
  17,500,399     720,876
Series 2017-61, Class IO,
0.770%, 05/16/2059
  25,803,657     1,175,377
Series 2018-158, Class IO,
0.750%, 05/16/2061
  21,787,246     1,282,162
Series 2018-69, Class IO,
0.602%, 04/16/2060
  24,102,089     1,311,971
Series 2019-131, Class IO,
0.803%, 07/16/2061
  27,555,499     1,732,304
Series 2020-100, Class IO,
0.801%, 05/16/2062
  29,755,578     2,068,471
Series 2020-108, Class IO,
0.850%, 06/16/2062
  73,633,471     5,010,581
Series 2020-114, Class IO,
0.816%, 09/16/2062
  71,961,051     5,082,220
Series 2020-118, Class IO,
0.888%, 06/16/2062
  53,432,672     3,861,013
Series 2020-119, Class IO,
0.633%, 08/16/2062
  30,898,922     1,861,261
Series 2020-120, Class IO,
0.792%, 05/16/2062
  16,566,851     1,149,069
Series 2020-137, Class IO,
0.805%, 09/16/2062
  91,417,963     6,083,134
Series 2020-150, Class IO,
0.958%, 12/16/2062
  47,832,340     3,729,990
Series 2020-170, Class IO,
0.826%, 11/16/2062
  63,007,740     4,526,457
Series 2020-92, Class IO,
0.876%, 02/16/2062
  67,428,169     4,897,571
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
Series 2021-10, Class IO,
0.993%, 05/16/2063
$ 43,750,075   $ 3,620,432
Series 2021-11, Class IO,
1.020%, 12/16/2062
  69,259,254     5,623,457
Series 2021-3, Class IO,
0.865%, 09/16/2062
  78,715,628     5,753,341
Series 2021-40, Class IO,
0.827%, 02/16/2063
  21,288,309     1,551,581
Series 2022-21, Class IO,
0.784%, 10/16/2063
  19,460,494     1,459,695
          104,487,631
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $786,687,082)   $ 703,510,889
ASSET BACKED SECURITIES – 17.9%      
ABPCI Direct Lending Fund I, Ltd.
Series 2020-1A, Class A
3.199%, 12/20/2030 (B)
  9,473,000     8,976,236
AGL CLO 5, Ltd.
Series 2020-5A, Class A1R (3 month LIBOR + 1.160%)
1.414%, 07/20/2034 (B)(E)
  9,799,322     9,733,637
Aimco CLO 12, Ltd.
Series 2020-12A, Class AR (3 month CME Term SOFR + 1.170%)
1.403%, 01/17/2032 (B)(E)
  12,634,000     12,604,386
Aligned Data Centers Issuer LLC
Series 2021-1A, Class A2
1.937%, 08/15/2046 (B)
  14,682,000     13,522,284
AmeriCredit Automobile Receivables Trust
Series 2020-1, Class C
1.590%, 10/20/2025
  7,850,000     7,754,848
AMSR Trust          
Series 2020-SFR1, Class A
1.819%, 04/17/2037 (B)
  9,026,339     8,560,285
Series 2020-SFR2, Class A
1.632%, 07/17/2037 (B)
  17,232,000     16,341,326
Series 2020-SFR4, Class A
1.355%, 11/17/2037 (B)
  12,046,000     11,203,882
Series 2021-SFR1, Class B
2.153%, 06/17/2038 (B)(F)
  7,203,000     6,527,906
Series 2021-SFR4, Class A
2.117%, 12/17/2038 (B)
  4,397,000     4,144,346
Apex Credit CLO, Ltd.
Series 2020-1A, Class A1R (3 month CME Term SOFR + 1.230%)
1.473%, 10/20/2031 (B)(E)
  14,099,000     14,065,994
Applebee's Funding LLC
Series 2019-1A, Class A2I
4.194%, 06/05/2049 (B)
  10,925,640     10,842,485
Aqua Finance Trust
Series 2021-A, Class A
1.540%, 07/17/2046 (B)
  4,310,916     4,107,676
Arby's Funding LLC
Series 2020-1A, Class A2
3.237%, 07/30/2050 (B)
  10,491,235     10,007,190
Avis Budget Rental Car Funding
AESOP LLC
         
Series 2019-3A, Class A
2.360%, 03/20/2026 (B)
  10,031,000     9,752,979
 
  197  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2022 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Avis Budget Rental Car Funding
AESOP LLC (continued)
         
Series 2020-1A, Class A
2.330%, 08/20/2026 (B)
$ 6,338,000   $ 6,149,176
Bain Capital Credit CLO, Ltd.
Series 2017-1A, Class BR (3 month LIBOR + 1.500%)
1.754%, 07/20/2030 (B)(E)
  8,160,000     8,068,943
Balboa Bay Loan Funding, Ltd.
Series 2021-1A, Class A (3 month LIBOR + 1.200%)
1.454%, 07/20/2034 (B)(E)
  3,723,000     3,697,795
Barings CLO, Ltd.
Series 2013-IA, Class AR (3 month LIBOR + 0.800%)
1.054%, 01/20/2028 (B)(E)
  9,568,910     9,554,988
Beacon Container Finance II LLC
Series 2021-1A, Class A
2.250%, 10/22/2046 (B)
  11,843,297     11,110,632
Benefit Street Partners CLO XX, Ltd.
Series 2020-20A, Class AR (3 month LIBOR + 1.170%)
1.411%, 07/15/2034 (B)(E)
  14,542,000     14,421,272
Bojangles Issuer LLC
Series 2020-1A, Class A2
3.832%, 10/20/2050 (B)
  5,760,000     5,631,748
BRE Grand Islander Timeshare Issuer LLC
Series 2019-A, Class A
3.280%, 09/26/2033 (B)
  3,296,574     3,252,445
Carlyle U.S. CLO, Ltd.
Series 2019-2A, Class A1R (3 month LIBOR + 1.120%)
1.361%, 07/15/2032 (B)(E)
  4,321,000     4,282,154
CARS-DB4 LP
Series 2020-1A, Class A1
2.690%, 02/15/2050 (B)
  8,709,687     8,514,343
Carvana Auto Receivables Trust
Series 2020-P1, Class A4
0.610%, 10/08/2026
  6,886,000     6,579,021
CF Hippolyta LLC          
Series 2020-1, Class A1
1.690%, 07/15/2060 (B)
  10,605,121     10,021,306
Series 2021-1A, Class A1
1.530%, 03/15/2061 (B)
  9,955,624     9,249,759
Chase Auto Credit Linked Notes
Series 2021-3, Class B
0.760%, 02/26/2029 (B)
  5,166,611     5,018,897
CLI Funding VI LLC
Series 2020-1A, Class A
2.080%, 09/18/2045 (B)
  13,001,695     12,182,639
CLI Funding VIII LLC          
Series 2021-1A, Class A
1.640%, 02/18/2046 (B)
  10,487,628     9,520,828
Series 2022-1A, Class A1
2.720%, 01/18/2047 (B)
  6,684,509     6,302,536
CoreVest American Finance Trust          
Series 2019-3, Class A
2.705%, 10/15/2052 (B)
  1,703,752     1,663,565
Series 2020-3, Class A
1.358%, 08/15/2053 (B)
  5,252,038     4,859,859
Series 2021-1, Class A
1.569%, 04/15/2053 (B)
  8,072,894     7,441,840
Series 2021-2, Class A
1.408%, 07/15/2054 (B)
  8,046,470     7,386,680
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
DataBank Issuer          
Series 2021-1A, Class A2
2.060%, 02/27/2051 (B)
$ 15,959,000   $ 14,818,554
Series 2021-2A, Class A2
2.400%, 10/25/2051 (B)
  6,935,000     6,527,259
DB Master Finance LLC          
Series 2017-1A, Class A2II
4.030%, 11/20/2047 (B)
  4,135,680     4,147,322
Series 2021-1A, Class A2I
2.045%, 11/20/2051 (B)
  16,258,253     14,832,989
Diamond Infrastructure Funding LLC
Series 2021-1A, Class A
1.760%, 04/15/2049 (B)
  10,459,000     9,469,996
DLLAA LLC
Series 2021-1A, Class A3
0.670%, 04/17/2026 (B)
  883,000     851,098
Domino's Pizza Master Issuer LLC          
Series 2017-1A, Class A23
4.118%, 07/25/2047 (B)
  11,790,720     11,692,456
Series 2019-1A, Class A2
3.668%, 10/25/2049 (B)
  3,528,000     3,382,212
Series 2021-1A, Class A2I
2.662%, 04/25/2051 (B)
  7,622,400     7,066,857
Driven Brands Funding LLC          
Series 2018-1A, Class A2
4.739%, 04/20/2048 (B)
  3,638,250     3,662,022
Series 2020-2A, Class A2
3.237%, 01/20/2051 (B)
  7,519,050     7,044,996
Series 2021-1A, Class A2
2.791%, 10/20/2051 (B)
  9,264,780     8,309,729
Eaton Vance CLO, Ltd.          
Series 2020-2A, Class AR (3 month LIBOR + 1.150%)
1.391%, 01/15/2035 (B)(E)
  7,024,000     6,980,936
Series 2020-2A, Class BR (3 month LIBOR + 1.700%)
1.941%, 01/15/2035 (B)(E)
  6,040,000     5,976,562
Elara HGV Timeshare Issuer LLC
Series 2019-A, Class A
2.610%, 01/25/2034 (B)
  4,323,650     4,200,911
Elmwood CLO IV, Ltd.
Series 2020-1A, Class A (3 month LIBOR + 1.240%)
1.481%, 04/15/2033 (B)(E)
  7,297,000     7,266,572
Exeter Automobile Receivables Trust
Series 2021-1A, Class C
0.740%, 01/15/2026
  4,763,000     4,671,191
FirstKey Homes Trust          
Series 2020-SFR1, Class A
1.339%, 08/17/2037 (B)
  12,496,117     11,681,541
Series 2020-SFR2, Class A
1.266%, 10/19/2037 (B)
  14,563,220     13,529,817
Series 2021-SFR1, Class A
1.538%, 08/17/2038 (B)
  11,416,797     10,579,704
Series 2021-SFR1, Class C
1.888%, 08/17/2038 (B)
  12,224,000     11,044,452
Five Guys Funding LLC
Series 2017-1A, Class A2
4.600%, 07/25/2047 (B)
  6,710,293     6,631,842
Ford Credit Auto Owner Trust          
Series 2018-1, Class A
3.190%, 07/15/2031 (B)
  26,635,000     26,542,105
Series 2018-2, Class A
3.470%, 01/15/2030 (B)
  10,877,000     10,994,125
Series 2020-1, Class A
2.040%, 08/15/2031 (B)
  12,711,000     12,276,506
 
  198  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2022 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Ford Credit Auto
Owner Trust (continued)
         
Series 2021-1, Class A
1.370%, 10/17/2033 (B)
$ 9,786,000   $ 9,083,904
Ford Credit Floorplan Master Owner Trust
Series 2020-2, Class A
1.060%, 09/15/2027
  15,316,000     14,283,875
GMF Floorplan Owner Revolving Trust
Series 2020-1, Class A
0.680%, 08/15/2025 (B)
  5,302,000     5,162,932
Goldentree Loan Management US CLO 6, Ltd.
Series 2019-6A, Class AR (3 month CME Term SOFR + 1.320%)
1.561%, 04/20/2035 (B)(E)
  13,778,000     13,745,635
Golub Capital Partners Funding, Ltd.          
Series 2020-1A, Class A2
3.208%, 01/22/2029 (B)
  7,732,000     7,604,816
Series 2021-1A, Class A2
2.773%, 04/20/2029 (B)
  7,002,000     6,670,135
HalseyPoint CLO II, Ltd.
Series 2020-2A, Class B (3 month LIBOR + 1.640%)
1.894%, 07/20/2031 (B)(E)
  7,083,000     7,021,959
HI-FI Music IP Issuer LP
Series 2022-1A, Class A2
3.939%, 02/01/2062 (B)
  6,370,000     6,357,500
Hilton Grand Vacations Trust
Series 2018-AA, Class A
3.540%, 02/25/2032 (B)
  2,042,904     2,044,198
Home Partners of America Trust          
Series 2019-1, Class A
2.908%, 09/17/2039 (B)
  12,486,120     12,002,939
Series 2021-1, Class A
1.698%, 09/17/2041 (B)
  12,384,594     11,356,216
Series 2021-2, Class A
1.901%, 12/17/2026 (B)
  8,531,830     7,999,732
Hotwire Funding LLC
Series 2021-1, Class A2
2.311%, 11/20/2051 (B)
  4,624,000     4,319,167
Jack in the Box Funding LLC          
Series 2019-1A, Class A23
4.970%, 08/25/2049 (B)
  5,775,660     5,819,543
Series 2022-1A, Class A2I
3.445%, 02/26/2052 (B)
  8,613,000     8,106,762
Laurel Road Prime Student Loan Trust
Series 2019-A, Class A2FX
2.730%, 10/25/2048 (B)
  950,281     944,913
Madison Park Funding XXIII, Ltd.          
Series 2017-23A, Class AR (3 month LIBOR + 0.970%)
1.238%, 07/27/2031 (B)(E)
  13,510,000     13,415,498
Series 2017-23A, Class BR (3 month LIBOR + 1.550%)
1.818%, 07/27/2031 (B)(E)
  10,046,000     10,009,302
Marathon CLO X, Ltd.
Series 2017-10A, Class A1AR (3 month LIBOR + 1.000%)
1.506%, 11/15/2029 (B)(E)
  10,421,274     10,375,962
Monroe Capital Funding, Ltd.
Series 2021-1A, Class A2
2.815%, 04/22/2031 (B)
  13,424,000     12,605,890
MVW Owner Trust
Series 2018-1A, Class A
3.450%, 01/21/2036 (B)
  3,491,321     3,488,940
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Navient Private Education Loan Trust
Series 2016-AA, Class A2A
3.910%, 12/15/2045 (B)
$ 2,193,480   $ 2,218,030
Navient Private Education Refi
Loan Trust
         
Series 2019-EA, Class A2A
2.640%, 05/15/2068 (B)
  4,315,900     4,251,111
Series 2019-FA, Class A2
2.600%, 08/15/2068 (B)
  4,297,239     4,257,443
Series 2020-BA, Class A2
2.120%, 01/15/2069 (B)
  8,478,338     8,316,477
Series 2020-GA, Class A
1.170%, 09/16/2069 (B)
  7,278,113     7,037,727
Series 2020-HA, Class A
1.310%, 01/15/2069 (B)
  9,350,694     9,054,423
Series 2021-A, Class A
0.840%, 05/15/2069 (B)
  9,038,704     8,629,697
Navient Student Loan Trust
Series 2020-2A, Class A1A
1.320%, 08/26/2069 (B)
  7,567,542     6,901,520
Neighborly Issuer LLC          
Series 2021-1A, Class A2
3.584%, 04/30/2051 (B)
  13,495,023     12,633,568
Series 2022-1A, Class A2
3.695%, 01/30/2052 (B)
  5,392,000     5,007,815
Neuberger Berman CLO XX, Ltd.          
Series 2015-20A, Class ARR (3 month LIBOR + 1.160%)
1.401%, 07/15/2034 (B)(E)
  2,972,000     2,953,241
Series 2015-20A, Class BRR (3 month LIBOR + 1.650%)
1.891%, 07/15/2034 (B)(E)
  2,978,000     2,967,970
Neuberger Berman Loan Advisers CLO
34, Ltd.
         
Series 2019-34A, Class A1R (3 month CME Term SOFR + 1.240%)
1.481%, 01/20/2035 (B)(E)
  7,187,000     7,170,039
Series 2019-34A, Class BR (3 month CME Term SOFR + 1.750%)
1.991%, 01/20/2035 (B)(E)
  7,187,000     7,152,071
New Economy Assets Phase 1
Sponsor LLC
         
Series 2021-1, Class A1
1.910%, 10/20/2061 (B)
  12,983,000     12,106,707
Series 2021-1, Class B1
2.410%, 10/20/2061 (B)
  3,933,000     3,710,525
NRZ Excess Spread-Collateralized Notes          
Series 2020-PLS1, Class A
3.844%, 12/25/2025 (B)
  2,397,019     2,333,086
Series 2021-FHT1, Class A
3.104%, 07/25/2026 (B)
  2,337,508     2,210,005
Oaktree CLO, Ltd.
Series 2021-1A, Class A1 (3 month LIBOR + 1.160%)
1.401%, 07/15/2034 (B)(E)
  11,169,000     11,081,256
Ocean Trails CLO X
Series 2020-10A, Class AR (3 month LIBOR + 1.220%)
1.461%, 10/15/2034 (B)(E)
  5,975,000     5,907,572
OCP CLO, Ltd.
Series 2020-19A, Class AR (3 month LIBOR + 1.150%)
1.404%, 10/20/2034 (B)(E)
  4,404,000     4,354,310
Oxford Finance Funding LLC
Series 2020-1A, Class A2
3.101%, 02/15/2028 (B)
  9,158,351     9,166,815
 
  199  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2022 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Palmer Square Loan Funding, Ltd.
Series 2021-3A, Class A2 (3 month LIBOR + 1.400%)
1.654%, 07/20/2029 (B)(E)
$ 6,333,000   $ 6,275,661
Progress Residential Trust          
Series 2020-SFR1, Class A
1.732%, 04/17/2037 (B)
  7,750,000     7,365,043
Series 2020-SFR2, Class A
2.078%, 06/17/2037 (B)
  3,574,000     3,418,990
Series 2021-SFR1, Class A
1.052%, 04/17/2038 (B)
  8,851,165     8,089,690
Series 2021-SFR2, Class A
1.546%, 04/19/2038 (B)
  19,375,000     18,036,391
Series 2021-SFR4, Class A
1.558%, 05/17/2038 (B)
  9,085,124     8,369,017
Series 2021-SFR5, Class A
1.427%, 07/17/2038 (B)
  13,757,000     12,624,683
Series 2021-SFR8, Class B
1.681%, 10/17/2038 (B)
  4,514,000     4,091,886
Santander Revolving Auto Loan Trust
Series 2019-A, Class A
2.510%, 01/26/2032 (B)
  13,489,000     13,225,952
SCF Equipment Leasing LLC          
Series 2019-2A, Class C
3.110%, 06/21/2027 (B)
  12,112,000     11,946,397
Series 2021-1A, Class B
1.370%, 08/20/2029 (B)
  6,799,000     6,385,466
ServiceMaster Funding LLC
Series 2020-1, Class A2II
3.337%, 01/30/2051 (B)
  13,906,530     12,574,882
SERVPRO Master Issuer LLC
Series 2021-1A, Class A2
2.394%, 04/25/2051 (B)
  7,184,708     6,460,575
Sesac Finance LLC
Series 2019-1, Class A2
5.216%, 07/25/2049 (B)
  10,188,750     10,061,880
Sierra Timeshare Receivables
Funding LLC
         
Series 2018-3A, Class A
3.690%, 09/20/2035 (B)
  1,682,633     1,696,788
Series 2021-1A, Class A
0.990%, 11/20/2037 (B)
  6,660,977     6,358,743
SMB Private Education Loan Trust          
Series 2016-A, Class A2A
2.700%, 05/15/2031 (B)
  6,698,831     6,635,980
Series 2019-B, Class A2A
2.840%, 06/15/2037 (B)
  8,622,038     8,508,789
Series 2020-PTA, Class A2A
1.600%, 09/15/2054 (B)
  7,038,261     6,735,097
Series 2021-A, Class APT2
1.070%, 01/15/2053 (B)
  5,437,810     5,000,402
SoFi Professional Loan Program LLC
Series 2019-B, Class A2FX
3.090%, 08/17/2048 (B)
  1,755,688     1,755,404
Sonic Capital LLC          
Series 2020-1A, Class A2I
3.845%, 01/20/2050 (B)
  8,634,094     8,414,115
Series 2020-1A, Class A2II
4.336%, 01/20/2050 (B)
  6,943,296     6,913,662
Series 2021-1A, Class A2I
2.190%, 08/20/2051 (B)
  7,052,560     6,150,467
Sound Point CLO XXVII, Ltd.          
Series 2020-2A, Class AR (3 month LIBOR + 1.180%)
1.438%, 10/25/2034 (B)(E)
  10,844,000     10,732,383
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Sound Point CLO
XXVII, Ltd. (continued)
         
Series 2020-2A, Class B1R (3 month LIBOR + 1.650%)
1.908%, 10/25/2034 (B)(E)
$ 3,676,000   $ 3,620,537
Starwood Property Mortgage Trust
Series 2021-SIF2A, Class A1 (3 month CME Term SOFR + 1.550%)
1.609%, 01/15/2033 (B)(E)
  10,802,000     10,666,478
Sunbird Engine Finance LLC
Series 2020-1A, Class A
3.671%, 02/15/2045 (B)
  3,931,749     3,567,232
Taco Bell Funding LLC
Series 2021-1A, Class A2I
1.946%, 08/25/2051 (B)
  14,315,123     12,946,525
Tallman Park CLO, Ltd.
Series 2021-1A, Class A (3 month LIBOR + 1.060%)
1.314%, 04/20/2034 (B)(E)
  9,242,000     9,172,214
TIF Funding II LLC          
Series 2020-1A, Class A
2.090%, 08/20/2045 (B)
  14,589,995     13,597,560
Series 2021-1A, Class A
1.650%, 02/20/2046 (B)
  6,297,046     5,652,802
Toyota Auto Loan Extended Note Trust          
Series 2019-1A, Class A
2.560%, 11/25/2031 (B)
  22,220,000     22,062,840
Series 2020-1A, Class A
1.350%, 05/25/2033 (B)
  7,491,000     7,090,569
Tricon American Homes Trust          
Series 2020-SFR1, Class A
1.499%, 07/17/2038 (B)
  20,166,815     18,564,114
Series 2020-SFR2, Class A
1.482%, 11/17/2039 (B)
  16,893,100     15,126,446
Triton Container Finance VIII LLC          
Series 2020-1A, Class A
2.110%, 09/20/2045 (B)
  14,790,620     13,631,553
Series 2021-1A, Class A
1.860%, 03/20/2046 (B)
  8,718,120     7,887,931
Vantage Data Centers LLC          
Series 2019-1A, Class A2
3.188%, 07/15/2044 (B)
  9,270,170     9,189,123
Series 2020-1A, Class A2
1.645%, 09/15/2045 (B)
  8,834,000     8,223,730
Series 2020-2A, Class A2
1.992%, 09/15/2045 (B)
  6,853,000     6,270,967
VCP RRL ABS I, Ltd.
Series 2021-1A, Class A
2.152%, 10/20/2031 (B)
  4,058,756     4,033,908
VR Funding LLC
Series 2020-1A, Class A
2.790%, 11/15/2050 (B)
  9,813,002     9,220,511
VSE VOI Mortgage LLC
Series 2017-A, Class A
2.330%, 03/20/2035 (B)
  2,884,859     2,836,553
Wendy's Funding LLC
Series 2021-1A, Class A2I
2.370%, 06/15/2051 (B)
  8,094,830     7,199,639
Westgate Resorts LLC
Series 2022-1A, Class A
1.788%, 08/20/2036 (B)
  9,179,929     8,913,860
Willis Engine Structured Trust V
Series 2020-A, Class A
3.228%, 03/15/2045 (B)
  3,271,848     2,953,423
Wingstop Funding LLC
Series 2020-1A, Class A2
2.841%, 12/05/2050 (B)
  15,144,895     14,046,527
 
  200  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
World Omni Auto Receivables Trust
Series 2021-B, Class A4
0.690%, 06/15/2027
$ 15,979,000   $ 15,091,077
Zaxby's Funding LLC
Series 2021-1A, Class A2
3.238%, 07/30/2051 (B)
  11,404,690     10,517,998
TOTAL ASSET BACKED SECURITIES (Cost $1,344,684,992)     $ 1,278,991,326
PREFERRED SECURITIES – 0.1%        
Utilities – 0.1%          
DTE Energy Company, 6.250%   15,402     820,773
NextEra Energy, Inc., 5.279%   120,650     6,291,898
The Southern Company, 6.750%   19,330     1,055,611
TOTAL PREFERRED SECURITIES (Cost $7,618,288)   $ 8,168,282
SHORT-TERM INVESTMENTS – 3.5%      
U.S. Government Agency – 0.3%          
Federal Home Loan Bank Discount Note
0.100%, 04/01/2022 *
$ 18,462,000     18,462,000
Short-term funds – 0.1%          
John Hancock Collateral Trust, 0.3592% (G)(H)   561,934     5,618,666
Repurchase agreement – 3.1%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $224,061,000 on 4-1-22, collateralized by $228,846,200 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $228,542,292) $ 224,061,000     224,061,000
TOTAL SHORT-TERM INVESTMENTS (Cost $248,143,299)   $ 248,141,666
Total Investments (Select Bond Trust)
(Cost $7,652,822,505) – 101.9%
  $ 7,279,705,887
Other assets and liabilities, net – (1.9%)       (137,717,085)
TOTAL NET ASSETS – 100.0%       $ 7,141,988,802
Security Abbreviations and Legend
CME Chicago Mercantile Exchange
CMT Constant Maturity Treasury
ICE Intercontinental Exchange
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
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) Security purchased or sold on a when-issued or delayed delivery basis.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration. Rule 144A securities amounted to $2,331,326,338 or 32.6% of the fund's net assets as of 3-31-22.
(C) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(D) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $5,471,220.
(E) Variable rate obligation. The coupon rate shown represents the rate at period end.
(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.
Select Bond Trust (continued)
(G) The rate shown is the annualized seven-day yield as of 3-31-22.
(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.
* 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.
Short Term Government Income Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
93.9%
     
U.S. Government – 23.7%          
U.S. Treasury Notes          
0.125%, 05/15/2023 $ 3,000,000   $ 2,942,930
0.250%, 04/15/2023   4,000,000     3,938,594
0.625%, 07/31/2026   1,000,000     922,734
0.875%, 06/30/2026   1,800,000     1,681,172
1.125%, 10/31/2026   2,500,000     2,351,563
2.000%, 05/31/2024   4,500,000     4,462,031
2.125%, 03/31/2024   2,700,000     2,688,715
2.625%, 06/30/2023   5,485,000     5,530,423
2.750%, 07/31/2023   3,215,000     3,244,764
2.875%, 11/30/2023   13,345,000     13,484,707
          41,247,633
U.S. Government Agency – 70.2%          
Federal Farm Credit Bank          
0.500%, 12/23/2025 to 02/04/2026   10,000,000     9,249,399
0.680%, 01/13/2027   6,000,000     5,509,738
1.600%, 12/14/2026   2,000,000     1,910,367
Federal Home Loan Bank          
0.625%, 11/27/2024   2,000,000     1,902,751
0.650%, 02/26/2026   6,000,000     5,570,538
0.700%, 01/28/2026   7,000,000     6,539,199
0.850%, 10/28/2024   4,000,000     3,838,640
0.900%, 02/26/2027   2,000,000     1,840,425
1.000%, 11/08/2024 to 03/23/2026   3,950,000     3,749,777
1.100%, 07/13/2026 to 08/20/2026   3,000,000     2,820,227
1.200%, 12/27/2024   5,000,000     4,854,964
1.500%, 08/15/2024 to 02/18/2025   5,770,000     5,635,672
1.610%, 12/30/2026   2,500,000     2,401,587
1.750%, 02/28/2025   2,000,000     1,948,679
2.150%, 02/28/2025   2,000,000     1,971,378
2.750%, 03/25/2027   2,600,000     2,578,820
2.875%, 09/13/2024   5,500,000     5,552,526
Federal Home Loan Mortgage Corp.          
0.250%, 09/08/2023   2,000,000     1,946,208
0.375%, 09/23/2025   3,060,000     2,840,050
0.640%, 11/24/2025   2,000,000     1,866,685
0.650%, 10/22/2025   2,000,000     1,885,066
0.700%, 12/23/2025   2,000,000     1,868,789
0.800%, 10/27/2026   2,000,000     1,838,049
1.500%, 02/12/2025   6,000,000     5,832,396
1.926%, (12 month LIBOR + 1.617%), 05/01/2045 (A)   363,844     376,599
2.500%, 09/01/2034   1,863,640     1,845,624
3.000%, 07/01/2030 to 12/01/2032   2,403,890     2,430,635
3.500%, 04/01/2032   1,028,306     1,054,767
7.000%, 04/01/2031 to 04/01/2032   400     444
Federal National Mortgage Association          
0.375%, 08/25/2025   5,000,000     4,653,138
0.625%, 04/22/2025   4,000,000     3,777,440
0.650%, 12/17/2025   2,000,000     1,870,514
2.500%, 10/01/2027 to 09/01/2034   2,381,055     2,361,905
2.875%, 09/12/2023   7,005,000     7,076,057
3.000%, 03/01/2028 to 09/01/2034   6,490,280     6,557,975
 
  201  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Short Term Government Income Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal National
Mortgage Association (continued)
         
3.500%, 07/01/2031 to 06/01/2034 $ 4,007,076   $ 4,111,579
6.500%, 01/01/2039   281,461     319,309
7.000%, 12/01/2026 to 01/01/2029   876     954
8.000%, 10/01/2024 to 09/01/2030   793     876
          122,389,746
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $169,569,798)   $ 163,637,379
MUNICIPAL BONDS – 4.5%          
City of Houston (Texas)
3.628%, 05/15/2024
  1,000,000     1,018,212
City of Houston, GO (Texas)
2.110%, 03/01/2025
  1,000,000     983,431
City of New York, GO          
1.990%, 10/01/2026   1,000,000     960,161
3.250%, 03/01/2024   1,000,000     1,011,942
County of Orange (Florida)
2.280%, 01/01/2026
  1,000,000     975,963
Los Angeles Unified School District, GO (California)
1.540%, 09/15/2025
  1,000,000     954,973
New York State Urban Development Corp.
3.080%, 03/15/2024
  1,000,000     1,007,129
State of California, GO
2.375%, 10/01/2026
  1,000,000     984,116
TOTAL MUNICIPAL BONDS (Cost $8,147,218)   $ 7,895,927
COLLATERALIZED MORTGAGE OBLIGATIONS – 0.9%      
U.S. Government Agency – 0.9%          
Federal Home Loan Mortgage Corp.          
Series K022, Class X1 IO,
1.165%, 07/25/2022
  8,751,440     13,935
Series K026, Class X1 IO,
0.929%, 11/25/2022
  4,979,459     20,220
Series K030, Class X1 IO,
0.146%, 04/25/2023
  124,555,944     179,498
Series K038, Class X1 IO,
1.094%, 03/25/2024
  7,582,587     139,114
Government National
Mortgage Association
         
Series 2012-114, Class IO,
0.656%, 01/16/2053
  1,236,700     24,315
Series 2017-109, Class IO,
0.289%, 04/16/2057
  1,094,775     29,113
Series 2017-124, Class IO,
0.621%, 01/16/2059
  930,841     34,275
Series 2017-140, Class IO,
0.489%, 02/16/2059
  665,413     25,667
Series 2017-20, Class IO,
0.648%, 12/16/2058
  2,271,109     78,006
Series 2017-41, Class IO,
0.631%, 07/16/2058
  1,496,066     53,068
Series 2017-46, Class IO,
0.634%, 11/16/2057
  1,563,974     64,423
Series 2017-61, Class IO,
0.770%, 05/16/2059
  889,148     40,501
Series 2017-74, Class IO,
0.503%, 09/16/2058
  1,585,913     48,004
Series 2017-89, Class IO,
0.558%, 07/16/2059
  1,430,243     59,348
Short Term Government Income Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
Series 2018-9, Class IO,
0.471%, 01/16/2060
$ 1,577,784   $ 65,044
Series 2020-118, Class IO,
0.888%, 06/16/2062
  1,461,878     105,634
Series 2020-119, Class IO,
0.633%, 08/16/2062
  851,451     51,289
Series 2020-120, Class IO,
0.792%, 05/16/2062
  2,143,841     148,696
Series 2020-137, Class IO,
0.805%, 09/16/2062
  1,444,553     96,123
Series 2020-170, Class IO,
0.826%, 11/16/2062
  1,672,203     120,131
Series 2021-40, Class IO,
0.827%, 02/16/2063
  516,519     37,646
Series 2022-53, Class IO,
0.713%, 06/16/2064
  1,774,000     119,213
          1,553,263
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $3,354,398)   $ 1,553,263
SHORT-TERM INVESTMENTS – 0.3%      
Repurchase agreement – 0.3%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $543,000 on 4-1-22, collateralized by $554,600 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $553,863)   543,000     543,000
TOTAL SHORT-TERM INVESTMENTS (Cost $543,000)   $ 543,000
Total Investments (Short Term Government Income Trust)
(Cost $181,614,414) – 99.6%
  $ 173,629,569
Other assets and liabilities, net – 0.4%       711,794
TOTAL NET ASSETS – 100.0%       $ 174,341,363
Security Abbreviations and Legend
GO General Obligation
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
(A) Variable rate obligation. The coupon rate shown represents the rate at period end.
Small Cap Index Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 96.0%      
Communication services – 3.0%          
Diversified telecommunication services – 0.5%      
Anterix, Inc. (A)   2,649   $ 153,377
ATN International, Inc.   2,479     98,863
Bandwidth, Inc., Class A (A)   5,062     163,958
Cogent Communications Holdings, Inc.   8,974     595,425
Consolidated Communications Holdings, Inc. (A)   16,167     95,385
EchoStar Corp., Class A (A)   8,210     199,831
Globalstar, Inc. (A)(B)   132,259     194,421
IDT Corp., Class B (A)   3,282     111,883
Iridium Communications, Inc. (A)   25,439     1,025,700
 
  202  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified telecommunication services (continued)      
Liberty Latin America, Ltd., Class A (A)   13,599   $ 131,910
Liberty Latin America, Ltd., Class C (A)   29,113     279,194
Ooma, Inc. (A)   5,130     76,899
Radius Global Infrastructure, Inc., Class A (A)   14,007     200,020
Telesat Corp. (A)   2,318     38,247
          3,365,113
Entertainment – 0.8%      
AMC Entertainment Holdings, Inc., Class A (A)(B)   110,218     2,715,772
Cinemark Holdings, Inc. (A)   23,689     409,346
CuriosityStream, Inc. (A)   6,360     18,444
IMAX Corp. (A)   11,031     208,817
Liberty Media Corp.-Liberty Braves, Class A (A)   4,479     128,906
Liberty Media Corp.-Liberty Braves, Class C (A)   5,536     154,510
Lions Gate Entertainment Corp., Class A (A)   11,706     190,223
Lions Gate Entertainment Corp., Class B (A)   26,183     393,530
Madison Square Garden Entertainment Corp. (A)   5,656     471,201
The Marcus Corp. (A)   5,719     101,226
          4,791,975
Interactive media and services – 0.6%      
CarGurus, Inc. (A)   20,457     868,604
Cars.com, Inc. (A)   14,937     215,541
Eventbrite, Inc., Class A (A)   16,769     247,678
EverQuote, Inc., Class A (A)   4,383     70,917
FuboTV, Inc. (A)   28,927     190,050
Liberty TripAdvisor Holdings, Inc., Class A (A)   17,825     36,541
MediaAlpha, Inc., Class A (A)   4,652     76,991
Outbrain, Inc. (A)   4,053     43,489
QuinStreet, Inc. (A)   11,322     131,335
TrueCar, Inc. (A)   23,229     91,755
Yelp, Inc. (A)   15,403     525,396
Ziff Davis, Inc. (A)   9,236     893,860
          3,392,157
Media – 0.9%      
Advantage Solutions, Inc. (A)   17,149     109,411
AMC Networks, Inc., Class A (A)   6,316     256,619
Audacy, Inc. (A)   27,481     79,420
Boston Omaha Corp., Class A (A)   4,112     104,321
Cardlytics, Inc. (A)   6,984     383,980
Clear Channel Outdoor Holdings, Inc. (A)   79,505     275,087
comScore, Inc. (A)   14,027     40,819
Daily Journal Corp. (A)   299     93,285
Entravision Communications Corp., Class A   13,969     89,541
Gannett Company, Inc. (A)   31,474     141,948
Gray Television, Inc.   18,143     400,416
Hemisphere Media Group, Inc. (A)   3,817     17,444
iHeartMedia, Inc., Class A (A)   24,170     457,538
Integral Ad Science Holding Corp. (A)   6,001     82,814
John Wiley & Sons, Inc., Class A   9,218     488,831
National CineMedia, Inc.   12,165     30,899
Scholastic Corp.   5,601     225,608
Sinclair Broadcast Group, Inc., Class A   10,068     282,105
Stagwell, Inc. (A)   14,230     103,025
TechTarget, Inc. (A)   5,502     447,203
TEGNA, Inc.   46,827     1,048,925
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Media (continued)      
The EW Scripps Company, Class A (A)   12,440   $ 258,628
Thryv Holdings, Inc. (A)   922     25,927
WideOpenWest, Inc. (A)   11,418     199,130
          5,642,924
Wireless telecommunication services – 0.2%      
Gogo, Inc. (A)(B)   12,879     245,474
Shenandoah Telecommunications Company   10,587     249,641
Telephone & Data Systems, Inc.   21,479     405,524
United States Cellular Corp. (A)   3,345     101,119
          1,001,758
          18,193,927
Consumer discretionary – 9.8%          
Auto components – 1.1%      
Adient PLC (A)   20,168     822,249
American Axle & Manufacturing Holdings, Inc. (A)   24,624     191,082
Cooper-Standard Holdings, Inc. (A)   3,998     35,062
Dana, Inc.   31,223     548,588
Dorman Products, Inc. (A)   5,584     530,648
Fox Factory Holding Corp. (A)   9,037     885,174
Gentherm, Inc. (A)   7,042     514,348
LCI Industries   5,266     546,663
Modine Manufacturing Company (A)   11,609     104,597
Motorcar Parts of America, Inc. (A)   4,689     83,605
Patrick Industries, Inc.   4,846     292,214
Standard Motor Products, Inc.   4,166     179,721
Stoneridge, Inc. (A)   5,928     123,065
Tenneco, Inc., Class A (A)   14,687     269,066
The Goodyear Tire & Rubber Company (A)   58,824     840,595
Visteon Corp. (A)   5,934     647,577
XL Fleet Corp. (A)   24,152     48,062
XPEL, Inc. (A)   3,829     201,444
          6,863,760
Automobiles – 0.2%      
Arcimoto, Inc. (A)(B)   6,538     43,216
Canoo, Inc. (A)(B)   23,698     130,813
Fisker, Inc. (A)(B)   35,229     454,454
Lordstown Motors Corp., Class A (A)(B)   33,058     112,728
Winnebago Industries, Inc.   6,780     366,323
Workhorse Group, Inc. (A)(B)   32,224     161,120
          1,268,654
Distributors – 0.0%      
Funko, Inc., Class A (A)   6,118     105,536
Diversified consumer services – 0.7%      
2U, Inc. (A)   15,694     208,416
Adtalem Global Education, Inc. (A)   10,694     317,719
American Public Education, Inc. (A)   4,498     95,538
Carriage Services, Inc.   3,386     180,575
Coursera, Inc. (A)   15,035     346,406
European Wax Center, Inc., Class A (A)   2,724     80,521
Graham Holdings Company, Class B   781     477,558
Houghton Mifflin Harcourt Company (A)   27,263     572,796
Laureate Education, Inc.   21,521     255,024
OneSpaWorld Holdings, Ltd. (A)   12,883     131,407
Perdoceo Education Corp. (A)   15,635     179,490
PowerSchool Holdings, Inc., Class A (A)   9,540     157,505
Strategic Education, Inc.   5,327     353,606
Stride, Inc. (A)   8,909     323,664
Udemy, Inc. (A)   2,384     29,705
Vivint Smart Home, Inc. (A)   20,787     140,520
 
  203  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified consumer services (continued)      
WW International, Inc. (A)   11,815   $ 120,867
          3,971,317
Hotels, restaurants and leisure – 2.3%      
Accel Entertainment, Inc. (A)   12,979     158,084
Bally's Corp. (A)   7,141     219,514
BJ's Restaurants, Inc. (A)   5,247     148,490
Bloomin' Brands, Inc.   19,254     422,433
Bluegreen Vacations Holding Corp. (A)   3,183     94,121
Brinker International, Inc. (A)   9,694     369,923
Century Casinos, Inc. (A)   6,630     79,229
Chuy's Holdings, Inc. (A)   4,706     127,062
Cracker Barrel Old Country Store, Inc.   5,131     609,204
Dave & Buster's Entertainment, Inc. (A)   9,516     467,236
Denny's Corp. (A)   14,192     203,088
Dine Brands Global, Inc.   3,526     274,852
El Pollo Loco Holdings, Inc. (A)   5,199     60,412
Everi Holdings, Inc. (A)   18,549     389,529
F45 Training Holdings, Inc. (A)   6,012     64,328
Full House Resorts, Inc. (A)   7,914     76,054
GAN, Ltd. (A)   9,407     45,342
Golden Entertainment, Inc. (A)   3,748     217,646
Golden Nugget Online Gaming, Inc. (A)   9,155     65,092
Hilton Grand Vacations, Inc. (A)   18,411     957,556
International Game Technology PLC   21,486     530,274
Jack in the Box, Inc.   4,578     427,631
Krispy Kreme, Inc. (B)   16,980     252,153
Kura Sushi USA, Inc., Class A (A)   865     47,705
Life Time Group Holdings, Inc. (A)   7,348     106,840
Lindblad Expeditions Holdings, Inc. (A)   7,333     110,582
Monarch Casino & Resort, Inc. (A)   2,807     244,855
NeoGames SA (A)   1,941     29,950
Noodles & Company (A)   10,109     60,351
ONE Group Hospitality, Inc. (A)   5,325     55,966
Papa John's International, Inc.   7,098     747,277
PlayAGS, Inc. (A)   5,237     34,931
Portillo's, Inc., Class A (A)   4,457     109,464
RCI Hospitality Holdings, Inc.   1,994     122,551
Red Robin Gourmet Burgers, Inc. (A)   3,708     62,517
Red Rock Resorts, Inc., Class A   11,467     556,838
Rush Street Interactive, Inc. (A)   11,691     84,994
Ruth's Hospitality Group, Inc.   7,554     172,836
Scientific Games Corp. (A)   20,622     1,211,543
SeaWorld Entertainment, Inc. (A)   10,746     799,932
Shake Shack, Inc., Class A (A)   8,081     548,700
Sweetgreen, Inc., Class A (A)(B)   2,350     75,177
Texas Roadhouse, Inc.   14,968     1,253,271
The Cheesecake Factory, Inc. (A)   10,107     402,158
Wingstop, Inc.   6,406     751,744
Xponential Fitness, Inc., Class A (A)   2,318     54,334
          13,903,769
Household durables – 1.5%      
Beazer Homes USA, Inc. (A)   6,478     98,595
Cavco Industries, Inc. (A)   1,992     479,773
Century Communities, Inc.   6,367     341,080
Ethan Allen Interiors, Inc.   5,141     134,026
GoPro, Inc., Class A (A)   27,016     230,446
Green Brick Partners, Inc. (A)   6,430     127,057
Hamilton Beach Brands Holding Company, Class B   1,197     13,921
Helen of Troy, Ltd. (A)   5,112     1,001,134
Hooker Furnishings Corp.   3,165     59,945
Hovnanian Enterprises, Inc., Class A (A)   1,167     68,970
Installed Building Products, Inc.   5,120     432,589
iRobot Corp. (A)   5,854     371,144
KB Home   16,818     544,567
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Household durables (continued)      
La-Z-Boy, Inc.   9,542   $ 251,623
LGI Homes, Inc. (A)   4,636     452,844
Lifetime Brands, Inc.   2,755     35,374
M/I Homes, Inc. (A)   6,024     267,164
MDC Holdings, Inc.   12,092     457,561
Meritage Homes Corp. (A)   7,794     617,519
Purple Innovation, Inc. (A)   12,811     74,944
Skyline Champion Corp. (A)   11,273     618,662
Snap One Holdings Corp. (A)(B)   3,027     44,648
Sonos, Inc. (A)   26,695     753,333
Taylor Morrison Home Corp. (A)   25,274     687,958
The Lovesac Company (A)   2,807     151,746
Traeger, Inc. (A)(B)   5,475     40,734
Tri Pointe Homes, Inc. (A)   23,350     468,868
Tupperware Brands Corp. (A)   10,756     209,204
Universal Electronics, Inc. (A)   3,026     94,532
Vuzix Corp. (A)(B)   13,223     87,272
Weber, Inc., Class A (B)   4,624     45,454
          9,262,687
Internet and direct marketing retail – 0.5%      
1-800-Flowers.com, Inc., Class A (A)   5,957     76,011
1stdibs.com, Inc. (A)   3,824     30,554
CarParts.com, Inc. (A)   10,797     72,340
Groupon, Inc. (A)(B)   5,250     100,958
Lands' End, Inc. (A)   3,318     56,141
Liquidity Services, Inc. (A)   5,334     91,318
Magnite, Inc. (A)   28,205     372,588
Overstock.com, Inc. (A)(B)   9,261     407,530
PetMed Express, Inc.   4,657     120,151
Porch Group, Inc. (A)   17,168     119,232
Quotient Technology, Inc. (A)   20,072     128,059
Revolve Group, Inc. (A)   7,758     416,527
Shutterstock, Inc.   5,029     468,099
Stitch Fix, Inc., Class A (A)   17,173     172,932
The RealReal, Inc. (A)   17,749     128,858
Xometry, Inc., Class A (A)(B)   4,935     181,361
          2,942,659
Leisure products – 0.4%      
Acushnet Holdings Corp.   7,267     292,569
American Outdoor Brands, Inc. (A)   3,430     45,036
AMMO, Inc. (A)(B)   19,207     92,194
Callaway Golf Company (A)   25,050     586,671
Clarus Corp.   5,257     119,754
Escalade, Inc.   3,506     46,279
Genius Brands International, Inc. (A)(B)   65,366     66,673
Johnson Outdoors, Inc., Class A   1,209     93,976
Latham Group, Inc. (A)   8,408     111,322
Malibu Boats, Inc., Class A (A)   4,584     265,918
MasterCraft Boat Holdings, Inc. (A)   4,484     110,351
Nautilus, Inc. (A)   6,915     28,490
Smith & Wesson Brands, Inc.   10,243     154,977
Sturm Ruger & Company, Inc.   3,576     248,961
Vista Outdoor, Inc. (A)   12,019     428,958
          2,692,129
Multiline retail – 0.4%      
Big Lots, Inc.   6,598     228,291
Dillard's, Inc., Class A   1,152     309,185
Franchise Group, Inc.   6,136     254,214
Macy's, Inc.   64,199     1,563,888
          2,355,578
Specialty retail – 2.1%      
Abercrombie & Fitch Company, Class A (A)   11,989     383,528
Academy Sports & Outdoors, Inc.   16,602     654,119
 
  204  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
American Eagle Outfitters, Inc.   32,823   $ 551,426
America's Car-Mart, Inc. (A)   1,343     108,192
Arko Corp.   19,018     173,064
Asbury Automotive Group, Inc. (A)   4,770     764,154
Barnes & Noble Education, Inc. (A)   9,565     34,243
Bed Bath & Beyond, Inc. (A)(B)   20,876     470,336
Big 5 Sporting Goods Corp. (B)   4,703     80,656
Boot Barn Holdings, Inc. (A)   6,247     592,153
Caleres, Inc.   8,278     160,014
Camping World Holdings, Inc., Class A   9,005     251,690
CarLotz, Inc. (A)   18,522     25,375
Chico's FAS, Inc. (A)   27,166     130,397
Citi Trends, Inc. (A)   1,956     59,903
Conn's, Inc. (A)   4,131     63,659
Designer Brands, Inc., Class A (A)   13,521     182,669
Genesco, Inc. (A)   3,154     200,626
Group 1 Automotive, Inc.   3,524     591,433
GrowGeneration Corp. (A)(B)   12,198     112,344
Guess?, Inc.   8,963     195,842
Haverty Furniture Companies, Inc.   3,686     101,070
Hibbett, Inc.   3,039     134,749
Kirkland's, Inc. (A)(B)   3,454     32,088
LL Flooring Holdings, Inc. (A)   6,614     92,728
MarineMax, Inc. (A)   4,515     181,774
Monro, Inc.   7,235     320,800
Murphy USA, Inc.   4,947     989,202
National Vision Holdings, Inc. (A)   17,615     767,486
OneWater Marine, Inc., Class A   2,309     79,545
Party City Holdco, Inc. (A)   24,992     89,471
Rent-A-Center, Inc.   14,183     357,270
Sally Beauty Holdings, Inc. (A)   23,492     367,180
Shift Technologies, Inc. (A)(B)   14,869     32,712
Shoe Carnival, Inc.   3,983     116,144
Signet Jewelers, Ltd.   11,257     818,384
Sleep Number Corp. (A)   4,819     244,371
Sonic Automotive, Inc., Class A   4,573     194,398
Sportsman's Warehouse Holdings, Inc. (A)   10,036     107,285
The Aaron's Company, Inc.   7,096     142,488
The Buckle, Inc.   6,476     213,967
The Cato Corp., Class A   4,711     69,063
The Children's Place, Inc. (A)   3,074     151,548
The Container Store Group, Inc. (A)   7,443     60,809
The ODP Corp. (A)   9,820     450,051
Tilly's, Inc., Class A   5,797     54,260
Torrid Holdings, Inc. (A)   3,250     19,695
TravelCenters of America, Inc. (A)   2,801     120,331
Urban Outfitters, Inc. (A)   14,911     374,415
Winmark Corp.   758     166,760
Zumiez, Inc. (A)   4,436     169,500
          12,805,367
Textiles, apparel and luxury goods – 0.6%      
Crocs, Inc. (A)   12,419     948,812
Fossil Group, Inc. (A)   10,919     105,259
G-III Apparel Group, Ltd. (A)   9,407     254,459
Kontoor Brands, Inc.   11,066     457,579
Movado Group, Inc.   3,352     130,896
Oxford Industries, Inc.   3,449     312,135
PLBY Group, Inc. (A)(B)   6,124     80,163
Rocky Brands, Inc.   1,650     68,624
Steven Madden, Ltd.   17,329     669,593
Superior Group of Companies, Inc.   1,856     33,130
Unifi, Inc. (A)   3,265     59,097
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Textiles, apparel and luxury goods (continued)      
Wolverine World Wide, Inc.   17,703   $ 399,380
          3,519,127
          59,690,583
Consumer staples – 3.4%          
Beverages – 0.4%      
Celsius Holdings, Inc. (A)   11,573     638,598
Coca-Cola Consolidated, Inc.   1,005     499,334
MGP Ingredients, Inc.   3,100     265,329
National Beverage Corp.   5,167     224,765
Primo Water Corp.   33,755     481,009
The Duckhorn Portfolio, Inc. (A)   6,068     110,377
          2,219,412
Food and staples retailing – 1.1%      
BJ's Wholesale Club Holdings, Inc. (A)   29,176     1,972,589
HF Foods Group, Inc. (A)   9,279     61,798
Ingles Markets, Inc., Class A   3,001     267,239
Performance Food Group Company (A)   32,444     1,651,724
PriceSmart, Inc.   5,029     396,637
Rite Aid Corp. (A)   12,403     108,526
SpartanNash Company   7,750     255,673
Sprouts Farmers Market, Inc. (A)   24,136     771,869
The Andersons, Inc.   6,816     342,572
The Chefs' Warehouse, Inc. (A)   7,008     228,461
United Natural Foods, Inc. (A)   12,018     496,944
Village Super Market, Inc., Class A   2,410     59,045
Weis Markets, Inc.   3,523     251,613
          6,864,690
Food products – 1.0%      
AppHarvest, Inc. (A)   16,493     88,650
B&G Foods, Inc.   13,655     368,412
Calavo Growers, Inc.   3,867     140,952
Cal-Maine Foods, Inc.   7,662     423,096
Fresh Del Monte Produce, Inc.   7,411     192,019
Hostess Brands, Inc. (A)   28,358     622,175
J&J Snack Foods Corp.   3,196     495,700
John B. Sanfilippo & Son, Inc.   1,902     158,703
Lancaster Colony Corp.   4,059     605,400
Landec Corp. (A)   6,541     75,745
Mission Produce, Inc. (A)   8,466     107,095
Sanderson Farms, Inc.   4,281     802,645
Seneca Foods Corp., Class A (A)   1,431     73,754
Sovos Brands, Inc. (A)   3,961     56,167
Tattooed Chef, Inc. (A)(B)   10,537     132,555
The Simply Good Foods Company (A)   18,264     693,119
Tootsie Roll Industries, Inc.   3,319     116,020
TreeHouse Foods, Inc. (A)   11,284     364,022
Utz Brands, Inc. (B)   12,312     181,971
Vital Farms, Inc. (A)   5,788     71,540
Whole Earth Brands, Inc. (A)   9,140     65,442
          5,835,182
Household products – 0.3%      
Central Garden & Pet Company (A)   3,383     148,717
Central Garden & Pet Company, Class A (A)   7,237     295,125
Energizer Holdings, Inc.   14,457     444,697
Oil-Dri Corp. of America   1,942     55,638
WD-40 Company   2,923     535,581
          1,479,758
Personal products – 0.5%      
BellRing Brands, Inc. (A)   23,098     533,102
Edgewell Personal Care Company   11,543     423,282
elf Beauty, Inc. (A)   10,559     272,739
Inter Parfums, Inc.   3,869     340,665
 
  205  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Personal products (continued)      
Medifast, Inc.   2,492   $ 425,584
Nu Skin Enterprises, Inc., Class A   10,658     510,305
The Beauty Health Company (A)   18,745     316,416
The Honest Company, Inc. (A)(B)   16,689     86,950
USANA Health Sciences, Inc. (A)   2,532     201,167
Veru, Inc. (A)   14,697     70,987
          3,181,197
Tobacco – 0.1%      
22nd Century Group, Inc. (A)(B)   37,659     87,369
Turning Point Brands, Inc.   3,221     109,546
Universal Corp.   4,997     290,176
Vector Group, Ltd.   30,900     372,036
          859,127
          20,439,366
Energy – 6.4%          
Energy equipment and services – 1.2%      
Archrock, Inc.   29,827     275,303
Bristow Group, Inc. (A)   4,880     180,950
Cactus, Inc., Class A   11,844     672,029
ChampionX Corp. (A)   43,495     1,064,758
DMC Global, Inc. (A)   4,252     129,686
Dril-Quip, Inc. (A)   7,853     293,310
Expro Group Holdings NV (A)   8,551     152,037
Helix Energy Solutions Group, Inc. (A)   32,463     155,173
Helmerich & Payne, Inc.   21,984     940,476
Liberty Oilfield Services, Inc., Class A (A)   20,321     301,157
Nabors Industries, Ltd. (A)   1,565     239,007
National Energy Services Reunited Corp. (A)   8,875     74,550
Newpark Resources, Inc. (A)   15,084     55,207
NexTier Oilfield Solutions, Inc. (A)   37,559     347,045
Oceaneering International, Inc. (A)   21,879     331,686
Oil States International, Inc. (A)   14,787     102,770
Patterson-UTI Energy, Inc.   40,288     623,658
ProPetro Holding Corp. (A)   18,966     264,196
RPC, Inc. (A)   15,008     160,135
Select Energy Services, Inc., Class A (A)   14,858     127,333
Solaris Oilfield Infrastructure, Inc., Class A   5,007     56,529
TETRA Technologies, Inc. (A)   28,514     117,193
Tidewater, Inc. (A)   9,670     210,226
U.S. Silica Holdings, Inc. (A)   16,214     302,553
          7,176,967
Oil, gas and consumable fuels – 5.2%      
Aemetis, Inc. (A)   6,201     78,567
Alto Ingredients, Inc. (A)   16,898     115,244
Antero Resources Corp. (A)   61,151     1,866,940
Arch Resources, Inc.   3,171     435,632
Berry Corp.   15,227     157,143
Brigham Minerals, Inc., Class A   9,750     249,113
California Resources Corp.   17,275     772,711
Callon Petroleum Company (A)   10,030     592,572
Centennial Resource Development, Inc., Class A (A)   39,901     322,001
Centrus Energy Corp., Class A (A)   2,191     73,837
Chesapeake Energy Corp.   22,037     1,917,219
Civitas Resources, Inc.   9,269     553,452
Clean Energy Fuels Corp. (A)   33,776     268,181
CNX Resources Corp. (A)   43,140     893,861
Comstock Resources, Inc. (A)   19,796     258,338
CONSOL Energy, Inc. (A)   7,302     274,774
Crescent Energy, Inc., Class A   6,781     117,583
CVR Energy, Inc.   6,493     165,831
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Delek US Holdings, Inc. (A)   14,365   $ 304,825
Denbury, Inc. (A)   10,846     852,170
DHT Holdings, Inc.   29,826     172,991
Dorian LPG, Ltd.   6,940     100,561
Earthstone Energy, Inc., Class A (A)   5,307     67,027
Energy Fuels, Inc. (A)(B)   32,193     294,566
Equitrans Midstream Corp.   87,782     740,880
Falcon Minerals Corp.   4,242     28,591
Frontline, Ltd. (A)   25,905     227,964
Gevo, Inc. (A)   43,949     205,681
Golar LNG, Ltd. (A)   21,888     542,385
Green Plains, Inc. (A)   10,321     320,054
International Seaways, Inc.   10,042     181,158
Kinetik Holdings, Inc.   637     41,411
Kosmos Energy, Ltd. (A)   93,252     670,482
Laredo Petroleum, Inc. (A)   2,752     217,793
Magnolia Oil & Gas Corp., Class A   30,343     717,612
Matador Resources Company   23,722     1,256,792
Murphy Oil Corp.   31,408     1,268,569
Nordic American Tankers, Ltd.   40,241     85,713
Northern Oil and Gas, Inc.   12,386     349,161
Oasis Petroleum, Inc.   4,187     612,558
Ovintiv, Inc.   55,986     3,027,138
Par Pacific Holdings, Inc. (A)   9,951     129,562
PBF Energy, Inc., Class A (A)   20,595     501,900
PDC Energy, Inc.   20,905     1,519,375
Peabody Energy Corp. (A)   18,433     452,161
Range Resources Corp. (A)   51,191     1,555,183
Ranger Oil Corp., Class A (A)   4,056     140,054
Renewable Energy Group, Inc. (A)   9,552     579,329
REX American Resources Corp. (A)   1,220     121,512
Riley Exploration Permian, Inc.   1,991     49,934
Scorpio Tankers, Inc.   10,679     228,317
SFL Corp., Ltd.   24,886     253,339
SM Energy Company   25,676     1,000,080
Southwestern Energy Company (A)   213,260     1,529,074
Talos Energy, Inc. (A)   8,521     134,547
Teekay Tankers, Ltd., Class A (A)   5,603     77,546
Tellurian, Inc. (A)   80,864     428,579
Uranium Energy Corp. (A)   54,839     251,711
Ur-Energy, Inc. (A)(B)   45,114     72,182
W&T Offshore, Inc. (A)   22,150     84,613
Whiting Petroleum Corp.   8,395     684,276
World Fuel Services Corp.   13,198     356,874
          31,549,229
          38,726,196
Financials – 15.2%          
Banks – 8.4%      
1st Source Corp.   3,224     149,110
Allegiance Bancshares, Inc.   4,435     198,156
Amalgamated Financial Corp.   4,063     73,012
Amerant Bancorp, Inc.   4,877     154,064
American National Bankshares, Inc.   3,114     117,336
Ameris Bancorp   14,336     629,064
Arrow Financial Corp.   3,233     104,814
Associated Banc-Corp.   31,304     712,479
Atlantic Union Bankshares Corp.   16,261     596,616
Banc of California, Inc.   10,260     198,634
BancFirst Corp.   3,620     301,220
Bank First Corp.   1,558     112,160
Bank of Marin Bancorp   3,661     128,391
BankUnited, Inc.   18,037     792,907
Banner Corp.   7,037     411,876
Bar Harbor Bankshares   4,123     118,000
Berkshire Hills Bancorp, Inc.   10,456     302,910
 
  206  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Blue Ridge Bankshares, Inc.   4,799   $ 72,801
Brookline Bancorp, Inc.   16,499     261,014
Business First Bancshares, Inc.   4,840     117,757
Byline Bancorp, Inc.   5,233     139,616
Cadence Bank   38,587     1,129,056
Cambridge Bancorp   1,581     134,385
Camden National Corp.   3,145     147,941
Capital Bancorp, Inc.   1,400     32,004
Capital City Bank Group, Inc.   3,946     104,017
Capstar Financial Holdings, Inc.   5,458     115,055
Carter Bankshares, Inc. (A)   6,631     115,180
Cathay General Bancorp   15,316     685,391
CBTX, Inc.   4,238     131,378
Central Pacific Financial Corp.   6,086     169,799
Citizens & Northern Corp.   4,341     105,834
City Holding Company   2,753     216,661
Civista Bancshares, Inc.   4,320     104,112
CNB Financial Corp.   4,720     124,230
Coastal Financial Corp. (A)   2,381     108,931
Columbia Banking System, Inc.   15,144     488,697
Community Bank System, Inc.   11,176     783,996
Community Trust Bancorp, Inc.   3,144     129,533
ConnectOne Bancorp, Inc.   8,140     260,561
CrossFirst Bankshares, Inc. (A)   11,094     174,841
Customers Bancorp, Inc. (A)   6,388     333,070
CVB Financial Corp.   26,828     622,678
Dime Community Bancshares, Inc.   7,245     250,460
Eagle Bancorp, Inc.   6,297     358,992
Eastern Bankshares, Inc.   36,421     784,508
Enterprise Financial Services Corp.   7,413     350,709
Equity Bancshares, Inc., Class A   3,485     112,600
Farmers National Banc Corp.   7,456     127,199
FB Financial Corp.   7,282     323,466
Financial Institutions, Inc.   3,969     119,586
First Bancorp (North Carolina)   5,756     240,428
First Bancorp (Puerto Rico)   42,689     560,080
First Bank   5,943     84,509
First Busey Corp.   10,375     262,903
First Commonwealth Financial Corp.   20,045     303,882
First Community Bankshares, Inc.   4,402     124,180
First Financial Bancorp   19,703     454,154
First Financial Bankshares, Inc.   27,555     1,215,727
First Financial Corp.   2,549     110,321
First Foundation, Inc.   8,942     217,201
First Internet Bancorp   2,233     96,041
First Interstate BancSystem, Inc., Class A   18,349     674,693
First Merchants Corp.   11,344     471,910
First Mid Bancshares, Inc.   3,971     152,844
Flushing Financial Corp.   6,175     138,011
Fulton Financial Corp.   32,719     543,790
German American Bancorp, Inc.   5,463     207,539
Glacier Bancorp, Inc.   23,272     1,170,116
Great Southern Bancorp, Inc.   2,026     119,554
Guaranty Bancshares, Inc.   2,495     87,325
Hancock Whitney Corp.   18,410     960,082
Hanmi Financial Corp.   6,913     170,129
HarborOne Bancorp, Inc.   10,982     153,968
Heartland Financial USA, Inc.   7,770     371,639
Heritage Commerce Corp.   14,319     161,089
Heritage Financial Corp.   7,765     194,591
Hilltop Holdings, Inc.   12,898     379,201
Home BancShares, Inc.   32,579     736,285
HomeStreet, Inc.   4,250     201,365
HomeTrust Bancshares, Inc.   4,188     123,672
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Hope Bancorp, Inc.   24,048   $ 386,692
Horizon Bancorp, Inc.   9,979     186,308
Independent Bank Corp. (Massachusetts)   9,721     794,108
Independent Bank Corp. (Michigan)   5,444     119,768
Independent Bank Group, Inc.   8,010     569,992
International Bancshares Corp.   11,025     465,365
Investors Bancorp, Inc.   47,776     713,296
Lakeland Bancorp, Inc.   10,999     183,683
Lakeland Financial Corp.   5,087     371,351
Live Oak Bancshares, Inc.   6,817     346,917
Macatawa Bank Corp.   11,250     101,363
Mercantile Bank Corp.   3,746     132,683
Meta Financial Group, Inc.   6,372     349,950
Metrocity Bankshares, Inc.   4,451     104,509
Metropolitan Bank Holding Corp. (A)   1,694     172,398
Mid Penn Bancorp, Inc.   3,320     89,009
Midland States Bancorp, Inc.   5,085     146,753
MidWestOne Financial Group, Inc.   4,067     134,618
MVB Financial Corp.   2,480     102,920
National Bank Holdings Corp., Class A   6,084     245,064
NBT Bancorp, Inc.   8,552     308,984
Nicolet Bankshares, Inc. (A)   2,391     223,726
Northrim BanCorp, Inc.   2,015     87,794
Northwest Bancshares, Inc.   25,727     347,572
OceanFirst Financial Corp.   12,586     252,979
OFG Bancorp   10,538     280,732
Old National Bancorp   60,950     998,361
Old Second Bancorp, Inc.   7,502     108,854
Origin Bancorp, Inc.   4,942     208,997
Orrstown Financial Services, Inc.   4,090     93,784
Pacific Premier Bancorp, Inc.   20,248     715,767
Park National Corp.   2,894     380,214
Peapack-Gladstone Financial Corp.   4,155     144,386
Peoples Bancorp, Inc.   6,029     188,768
Peoples Financial Services Corp.   2,058     103,888
Preferred Bank   2,969     219,973
Primis Financial Corp.   7,166     100,181
QCR Holdings, Inc.   3,268     184,936
RBB Bancorp   3,609     84,775
Renasant Corp.   11,710     391,700
Republic Bancorp, Inc., Class A   1,745     78,420
S&T Bancorp, Inc.   8,217     243,059
Sandy Spring Bancorp, Inc.   9,298     417,666
Seacoast Banking Corp. of Florida   11,357     397,722
ServisFirst Bancshares, Inc.   10,451     995,876
Sierra Bancorp   4,193     104,741
Silvergate Capital Corp., Class A (A)   5,882     885,653
Simmons First National Corp., Class A   22,770     597,029
SmartFinancial, Inc.   3,910     100,018
South Plains Financial, Inc.   2,745     72,962
Southern First Bancshares, Inc. (A)   2,023     102,849
Southside Bancshares, Inc.   6,368     260,005
SouthState Corp.   16,453     1,342,400
Spirit of Texas Bancshares, Inc.   3,462     90,981
Stock Yards Bancorp, Inc.   5,156     272,752
Texas Capital Bancshares, Inc. (A)   10,850     621,814
The Bancorp, Inc. (A)   11,295     319,987
The Bank of NT Butterfield & Son, Ltd.   10,856     389,513
The First Bancorp, Inc.   3,046     91,624
The First Bancshares, Inc.   4,398     148,037
The First of Long Island Corp.   5,476     106,563
Tompkins Financial Corp.   2,839     222,209
Towne Bank   13,542     405,447
TriCo Bancshares   5,719     228,932
TriState Capital Holdings, Inc. (A)   6,597     219,218
 
  207  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Triumph Bancorp, Inc. (A)   5,003   $ 470,382
Trustmark Corp.   12,866     390,998
UMB Financial Corp.   9,114     885,516
United Bankshares, Inc.   26,929     939,284
United Community Banks, Inc.   22,447     781,156
Univest Financial Corp.   6,756     180,791
Valley National Bancorp   85,713     1,115,983
Veritex Holdings, Inc.   10,072     384,448
Washington Trust Bancorp, Inc.   3,627     190,418
WesBanco, Inc.   12,827     440,736
West BanCorp, Inc.   4,145     112,785
Westamerica BanCorp   5,498     332,629
          51,107,757
Capital markets – 1.5%      
Artisan Partners Asset Management, Inc., Class A   12,734     501,083
AssetMark Financial Holdings, Inc. (A)   4,239     94,318
B. Riley Financial, Inc.   4,393     307,334
BGC Partners, Inc., Class A   69,902     307,569
Blucora, Inc. (A)   10,946     213,994
Brightsphere Investment Group, Inc.   7,042     170,769
Cohen & Steers, Inc.   5,346     459,168
Cowen, Inc., Class A   5,707     154,660
Diamond Hill Investment Group, Inc.   732     137,104
Donnelley Financial Solutions, Inc. (A)   6,455     214,693
Ellington Financial, Inc.   10,330     183,358
Federated Hermes, Inc.   19,916     678,339
Focus Financial Partners, Inc., Class A (A)   13,035     596,221
GCM Grosvenor, Inc., Class A (B)   10,742     104,305
Hamilton Lane, Inc., Class A   7,488     578,748
Houlihan Lokey, Inc.   10,835     951,313
Moelis & Company, Class A   13,121     616,031
Open Lending Corp., Class A (A)   22,761     430,411
Oppenheimer Holdings, Inc., Class A   1,944     84,720
Piper Sandler Companies   3,726     489,038
PJT Partners, Inc., Class A   5,058     319,261
Sculptor Capital Management, Inc.   5,284     73,606
StepStone Group, Inc., Class A   8,906     294,432
StoneX Group, Inc. (A)   3,512     260,696
Virtus Investment Partners, Inc.   1,551     372,224
WisdomTree Investments, Inc.   31,318     183,837
          8,777,232
Consumer finance – 0.7%      
Atlanticus Holdings Corp. (A)   1,104     57,176
Curo Group Holdings Corp.   5,048     65,876
Encore Capital Group, Inc. (A)   5,205     326,510
Enova International, Inc. (A)   7,699     292,331
EZCORP, Inc., Class A (A)   11,932     72,069
FirstCash Holdings, Inc.   8,537     600,493
Green Dot Corp., Class A (A)   11,720     322,066
LendingClub Corp. (A)   21,349     336,887
LendingTree, Inc. (A)   2,587     309,586
Navient Corp.   32,190     548,518
Nelnet, Inc., Class A   3,455     293,640
Oportun Financial Corp. (A)   5,047     72,475
PRA Group, Inc. (A)   9,286     418,613
PROG Holdings, Inc. (A)   12,310     354,159
Regional Management Corp.   1,799     87,377
World Acceptance Corp. (A)   931     178,603
          4,336,379
Diversified financial services – 0.1%      
Alerus Financial Corp.   3,801     105,060
A-Mark Precious Metals, Inc.   1,868     144,471
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified financial services (continued)      
Banco Latinoamericano de Comercio Exterior SA, Class E   7,338   $ 114,326
Cannae Holdings, Inc. (A)   18,237     436,229
          800,086
Insurance – 1.8%      
Ambac Financial Group, Inc. (A)   10,590     110,136
American Equity Investment Life Holding Company   17,290     690,044
American National Group, Inc.   1,415     267,562
AMERISAFE, Inc.   4,321     214,624
Argo Group International Holdings, Ltd.   7,053     291,148
Bright Health Group, Inc. (A)(B)   53,298     102,865
BRP Group, Inc., Class A (A)   10,378     278,442
Citizens, Inc. (A)   14,894     63,151
CNO Financial Group, Inc.   25,585     641,928
Donegal Group, Inc., Class A   5,882     78,878
eHealth, Inc. (A)   5,492     68,156
Employers Holdings, Inc.   5,997     245,997
Enstar Group, Ltd. (A)   2,585     675,073
Genworth Financial, Inc., Class A (A)   105,287     397,985
Goosehead Insurance, Inc., Class A   3,878     304,694
HCI Group, Inc.   1,333     90,884
Horace Mann Educators Corp.   8,982     375,717
James River Group Holdings, Ltd.   8,131     201,161
Kinsale Capital Group, Inc.   4,626     1,054,821
MBIA, Inc. (A)   10,804     166,274
MetroMile, Inc. (A)   19,152     25,281
National Western Life Group, Inc., Class A   566     119,086
Palomar Holdings, Inc. (A)   5,452     348,873
ProAssurance Corp.   11,769     316,351
RLI Corp.   8,645     956,396
Safety Insurance Group, Inc.   3,136     284,906
Selective Insurance Group, Inc.   12,773     1,141,395
Selectquote, Inc. (A)   29,430     82,110
SiriusPoint, Ltd. (A)   20,397     152,570
Stewart Information Services Corp.   5,716     346,447
Tiptree, Inc.   5,852     75,198
Trupanion, Inc. (A)   8,232     733,636
United Fire Group, Inc.   4,963     154,200
Universal Insurance Holdings, Inc.   6,839     92,258
          11,148,247
Mortgage real estate investment trusts – 1.2%      
AFC Gamma, Inc.   2,919     55,811
Apollo Commercial Real Estate Finance, Inc.   29,843     415,713
Arbor Realty Trust, Inc.   29,179     497,794
Ares Commercial Real Estate Corp.   10,100     156,752
ARMOUR Residential REIT, Inc.   17,649     148,252
Blackstone Mortgage Trust, Inc., Class A   31,030     986,444
BrightSpire Capital, Inc.   19,690     182,133
Broadmark Realty Capital, Inc.   26,745     231,344
Chimera Investment Corp.   50,384     606,623
Dynex Capital, Inc.   7,278     117,904
Franklin BSP Realty Trust, Inc.   7,454     104,207
Granite Point Mortgage Trust, Inc.   12,763     141,925
Great Ajax Corp.   4,994     58,580
Hannon Armstrong Sustainable Infrastructure Capital, Inc.   16,585     786,627
Invesco Mortgage Capital, Inc.   66,975     152,703
KKR Real Estate Finance Trust, Inc.   5,951     122,650
Ladder Capital Corp.   25,700     305,059
MFA Financial, Inc.   94,047     379,009
New York Mortgage Trust, Inc.   81,801     298,574
Orchid Island Capital, Inc.   28,840     93,730
 
  208  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Mortgage real estate investment trusts (continued)      
PennyMac Mortgage Investment Trust   21,006   $ 354,791
Ready Capital Corp.   12,250     184,485
Redwood Trust, Inc.   24,224     255,079
TPG RE Finance Trust, Inc.   13,635     161,029
Two Harbors Investment Corp.   68,476     378,672
          7,175,890
Thrifts and mortgage finance – 1.5%      
Axos Financial, Inc. (A)   12,040     558,536
Blue Foundry Bancorp (A)   8,391     113,698
Bridgewater Bancshares, Inc. (A)   5,769     96,227
Capitol Federal Financial, Inc.   25,466     277,070
Columbia Financial, Inc. (A)   7,501     161,347
Essent Group, Ltd.   23,238     957,638
Federal Agricultural Mortgage Corp., Class C   1,934     209,800
Flagstar Bancorp, Inc.   10,454     443,250
FS Bancorp, Inc.   2,225     68,975
Home Bancorp, Inc.   2,554     104,178
Kearny Financial Corp.   14,867     191,487
Merchants Bancorp   3,264     89,368
Mr. Cooper Group, Inc. (A)   13,265     605,813
NMI Holdings, Inc., Class A (A)   18,250     376,315
Northfield Bancorp, Inc.   9,922     142,480
Ocwen Financial Corp. (A)   1,494     35,497
PCSB Financial Corp.   4,896     93,563
PennyMac Financial Services, Inc.   6,288     334,522
Premier Financial Corp.   8,189     248,372
Provident Bancorp, Inc.   5,443     88,285
Provident Financial Services, Inc.   15,635     365,859
Radian Group, Inc.   38,438     853,708
Southern Missouri Bancorp, Inc.   1,946     97,203
The Hingham Institution for Savings   307     105,362
TrustCo Bank Corp. NY   4,629     147,804
Walker & Dunlop, Inc.   6,241     807,710
Washington Federal, Inc.   13,392     439,525
Waterstone Financial, Inc.   4,900     94,766
WSFS Financial Corp.   13,849     645,640
          8,753,998
          92,099,589
Health care – 16.0%          
Biotechnology – 6.7%      
2seventy bio, Inc. (A)   5,086     86,767
4D Molecular Therapeutics, Inc. (A)   6,149     92,973
ACADIA Pharmaceuticals, Inc. (A)   25,840     625,845
Achillion Pharmaceuticals, Inc. (A)(C)   38,157     57,381
Acumen Pharmaceuticals, Inc. (A)   6,102     23,859
Adagio Therapeutics, Inc. (A)   12,627     57,579
Adicet Bio, Inc. (A)   5,449     108,817
Aduro Biotech, Inc. (A)(C)   4,010     12,030
Aeglea BioTherapeutics, Inc. (A)   10,692     24,592
Aerovate Therapeutics, Inc. (A)   2,802     51,361
Affimed NV (A)   26,114     114,118
Agenus, Inc. (A)   45,805     112,680
Agios Pharmaceuticals, Inc. (A)   11,960     348,156
Akebia Therapeutics, Inc. (A)   42,476     30,494
Akero Therapeutics, Inc. (A)   6,063     86,034
Akouos, Inc. (A)(B)   6,079     28,875
Alaunos Therapeutics, Inc. (A)   52,558     34,289
Albireo Pharma, Inc. (A)   4,044     120,633
Aldeyra Therapeutics, Inc. (A)   11,406     50,700
Alector, Inc. (A)   12,803     182,443
Alkermes PLC (A)   34,385     904,669
Allakos, Inc. (A)   7,794     44,426
Allogene Therapeutics, Inc. (A)   15,185     138,335
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Allovir, Inc. (A)   6,716   $ 45,333
Altimmune, Inc. (A)   9,298     56,625
ALX Oncology Holdings, Inc. (A)   4,101     69,307
Amicus Therapeutics, Inc. (A)   57,120     540,926
AnaptysBio, Inc. (A)   4,349     107,594
Anavex Life Sciences Corp. (A)   14,167     174,396
Anika Therapeutics, Inc. (A)   3,322     83,415
Annexon, Inc. (A)   7,664     20,923
Apellis Pharmaceuticals, Inc. (A)   15,336     779,222
Applied Molecular Transport, Inc. (A)   5,803     43,639
Arbutus Biopharma Corp. (A)(B)   19,705     58,721
Arcturus Therapeutics Holdings, Inc. (A)   4,629     124,798
Arcus Biosciences, Inc. (A)   9,664     304,996
Arcutis Biotherapeutics, Inc. (A)   6,452     124,266
Arrowhead Pharmaceuticals, Inc. (A)   21,813     1,003,180
Atara Biotherapeutics, Inc. (A)   18,919     175,758
Athersys, Inc. (A)(B)   54,505     33,003
Atossa Therapeutics, Inc. (A)   26,778     33,473
Avid Bioservices, Inc. (A)   13,122     267,295
Avidity Biosciences, Inc. (A)   8,542     157,771
Avita Medical, Inc. (A)(B)   5,827     49,413
Beam Therapeutics, Inc. (A)   10,892     624,112
BioAtla, Inc. (A)   3,964     19,820
BioCryst Pharmaceuticals, Inc. (A)   38,769     630,384
Biohaven Pharmaceutical Holding Company, Ltd. (A)   11,909     1,412,050
Bioxcel Therapeutics, Inc. (A)   4,126     86,275
Bluebird Bio, Inc. (A)   15,303     74,220
Blueprint Medicines Corp. (A)   12,602     805,016
Bridgebio Pharma, Inc. (A)   23,003     233,480
C4 Therapeutics, Inc. (A)   8,414     204,124
Cardiff Oncology, Inc. (A)   9,213     22,848
CareDx, Inc. (A)   10,990     406,520
Caribou Biosciences, Inc. (A)(B)   10,566     96,996
Catalyst Pharmaceuticals, Inc. (A)   21,230     175,997
Celldex Therapeutics, Inc. (A)   9,954     339,033
CEL-SCI Corp. (A)   8,073     31,727
Century Therapeutics, Inc. (A)   3,504     44,115
Cerevel Therapeutics Holdings, Inc. (A)   8,799     308,053
ChemoCentryx, Inc. (A)   11,722     293,871
Chimerix, Inc. (A)   17,115     78,387
Chinook Therapeutics, Inc. (A)   8,840     144,622
Clovis Oncology, Inc. (A)(B)   26,799     54,134
Codiak Biosciences, Inc. (A)   4,104     25,732
Cogent Biosciences, Inc. (A)   8,545     64,002
Coherus Biosciences, Inc. (A)   14,340     185,129
Cortexyme, Inc. (A)   4,596     28,449
Crinetics Pharmaceuticals, Inc. (A)   9,327     204,728
Cue Biopharma, Inc. (A)   7,420     36,210
Cullinan Oncology, Inc. (A)   6,059     63,438
Curis, Inc. (A)   19,758     47,024
Cytokinetics, Inc. (A)   17,079     628,678
CytomX Therapeutics, Inc. (A)   15,783     42,141
Day One Biopharmaceuticals, Inc. (A)(B)   4,446     44,104
Deciphera Pharmaceuticals, Inc. (A)   8,975     83,198
Denali Therapeutics, Inc. (A)   19,678     633,041
DermTech, Inc. (A)   5,357     78,641
Design Therapeutics, Inc. (A)   5,574     90,020
Dynavax Technologies Corp. (A)   23,486     254,588
Dyne Therapeutics, Inc. (A)   7,057     68,029
Eagle Pharmaceuticals, Inc. (A)   2,547     126,051
Editas Medicine, Inc. (A)   14,831     282,086
Eiger BioPharmaceuticals, Inc. (A)   7,096     58,897
Emergent BioSolutions, Inc. (A)   10,642     436,961
Enanta Pharmaceuticals, Inc. (A)   4,186     297,959
 
  209  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Epizyme, Inc. (A)   33,508   $ 38,534
Erasca, Inc. (A)   13,087     112,548
Evelo Biosciences, Inc. (A)(B)   8,249     27,964
Fate Therapeutics, Inc. (A)   17,517     679,134
FibroGen, Inc. (A)   19,009     228,488
Foghorn Therapeutics, Inc. (A)   4,274     65,093
Forma Therapeutics Holdings, Inc. (A)   8,178     76,055
G1 Therapeutics, Inc. (A)(B)   9,016     68,522
Generation Bio Company (A)   10,148     74,486
Geron Corp. (A)   76,613     104,194
Global Blood Therapeutics, Inc. (A)   13,472     466,670
Gossamer Bio, Inc. (A)   14,360     124,645
Graphite Bio, Inc. (A)   6,119     31,207
Gritstone bio, Inc. (A)   9,462     38,983
Halozyme Therapeutics, Inc. (A)   29,664     1,183,000
Heron Therapeutics, Inc. (A)   21,235     121,464
Homology Medicines, Inc. (A)   11,201     34,051
Humanigen, Inc. (A)   10,602     31,912
iBio, Inc. (A)   68,193     29,200
Icosavax, Inc. (A)   4,971     34,996
Ideaya Biosciences, Inc. (A)   7,411     82,929
IGM Biosciences, Inc. (A)   1,897     50,707
Imago Biosciences, Inc. (A)(B)   4,072     78,467
Immuneering Corp., Class A (A)(B)   4,244     27,459
Immunic, Inc. (A)   4,094     46,262
ImmunityBio, Inc. (A)   15,138     84,924
ImmunoGen, Inc. (A)   44,436     211,515
Immunovant, Inc. (A)(B)   9,942     54,780
Infinity Pharmaceuticals, Inc. (A)   22,317     25,441
Inhibrx, Inc. (A)   6,178     137,646
Inovio Pharmaceuticals, Inc. (A)   45,588     163,661
Insmed, Inc. (A)   25,530     599,955
Instil Bio, Inc. (A)(B)   11,502     123,647
Intellia Therapeutics, Inc. (A)   14,902     1,082,928
Intercept Pharmaceuticals, Inc. (A)(B)   5,798     94,333
Ironwood Pharmaceuticals, Inc. (A)   31,262     393,276
iTeos Therapeutics, Inc. (A)   4,506     145,003
IVERIC bio, Inc. (A)   24,314     409,205
Janux Therapeutics, Inc. (A)(B)   3,636     52,140
Jounce Therapeutics, Inc. (A)   8,236     55,922
KalVista Pharmaceuticals, Inc. (A)   4,708     69,396
Karuna Therapeutics, Inc. (A)   4,751     602,379
Karyopharm Therapeutics, Inc. (A)   16,708     123,138
Keros Therapeutics, Inc. (A)   3,466     188,481
Kezar Life Sciences, Inc. (A)   7,550     125,481
Kiniksa Pharmaceuticals, Ltd., Class A (A)   7,153     71,101
Kinnate Biopharma, Inc. (A)(B)   6,273     70,634
Kodiak Sciences, Inc. (A)   7,483     57,769
Kronos Bio, Inc. (A)   8,934     64,593
Krystal Biotech, Inc. (A)   4,140     275,476
Kura Oncology, Inc. (A)   14,409     231,697
Kymera Therapeutics, Inc. (A)   7,503     317,527
Lexicon Pharmaceuticals, Inc. (A)   16,142     33,737
Ligand Pharmaceuticals, Inc. (A)   3,253     365,930
Lineage Cell Therapeutics, Inc. (A)(B)   31,209     48,062
Lyell Immunopharma, Inc. (A)(B)   31,052     156,813
MacroGenics, Inc. (A)   13,309     117,252
Madrigal Pharmaceuticals, Inc. (A)   2,592     254,327
MannKind Corp. (A)   54,562     200,788
MEI Pharma, Inc. (A)   27,787     16,742
MeiraGTx Holdings PLC (A)   6,885     95,357
Mersana Therapeutics, Inc. (A)   16,000     63,840
MiMedx Group, Inc. (A)   25,227     118,819
Molecular Templates, Inc. (A)   9,511     32,813
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Monte Rosa Therapeutics, Inc. (A)(B)   5,963   $ 83,601
Morphic Holding, Inc. (A)   4,446     178,507
Mustang Bio, Inc. (A)   24,493     24,738
Myriad Genetics, Inc. (A)   17,271     435,229
Nkarta, Inc. (A)(B)   3,358     38,214
Nurix Therapeutics, Inc. (A)   6,996     98,014
Nuvalent, Inc., Class A (A)(B)   3,722     51,699
Ocugen, Inc. (A)   40,342     133,129
Olema Pharmaceuticals, Inc. (A)   6,100     25,986
Omega Therapeutics, Inc. (A)   4,653     29,035
Oncocyte Corp. (A)   14,940     22,261
OPKO Health, Inc. (A)(B)   86,762     298,461
Organogenesis Holdings, Inc. (A)   14,154     107,853
ORIC Pharmaceuticals, Inc. (A)   7,140     38,128
Outlook Therapeutics, Inc. (A)   23,282     41,442
Passage Bio, Inc. (A)   8,968     27,801
PDL BioPharma, Inc. (A)(C)   28,581     51,160
PMV Pharmaceuticals, Inc. (A)   6,083     126,648
Poseida Therapeutics, Inc. (A)   6,542     29,308
Praxis Precision Medicines, Inc. (A)   7,723     78,852
Precigen, Inc. (A)   21,875     46,156
Precision BioSciences, Inc. (A)   11,300     34,804
Progenics Pharmaceuticals, Inc. (A)(C)   24,422     20,759
Prometheus Biosciences, Inc. (A)   6,194     233,885
Protagonist Therapeutics, Inc. (A)   9,774     231,448
Prothena Corp. PLC (A)   7,730     282,686
PTC Therapeutics, Inc. (A)   15,101     563,418
Puma Biotechnology, Inc. (A)   8,186     23,576
Radius Health, Inc. (A)   10,799     95,355
Rallybio Corp. (A)   3,836     26,775
RAPT Therapeutics, Inc. (A)   4,775     105,002
Recursion Pharmaceuticals, Inc., Class A (A)   24,306     174,031
REGENXBIO, Inc. (A)   8,733     289,848
Relay Therapeutics, Inc. (A)   14,678     439,313
Replimune Group, Inc. (A)   6,838     116,109
REVOLUTION Medicines, Inc. (A)   13,226     337,395
Rhythm Pharmaceuticals, Inc. (A)   10,323     118,921
Rigel Pharmaceuticals, Inc. (A)   40,220     120,258
Rocket Pharmaceuticals, Inc. (A)   9,033     143,263
Rubius Therapeutics, Inc. (A)   10,252     56,489
Sana Biotechnology, Inc. (A)   18,818     155,437
Sangamo Therapeutics, Inc. (A)   26,511     154,029
Scholar Rock Holding Corp. (A)   6,388     82,341
Selecta Biosciences, Inc. (A)   21,386     26,305
Seres Therapeutics, Inc. (A)   15,735     112,033
Shattuck Labs, Inc. (A)   6,616     28,184
Silverback Therapeutics, Inc. (A)   5,449     19,126
Sorrento Therapeutics, Inc. (A)   64,012     149,148
Spectrum Pharmaceuticals, Inc. (A)   44,264     57,101
Spero Therapeutics, Inc. (A)   5,918     51,487
SpringWorks Therapeutics, Inc. (A)   6,371     359,579
SQZ Biotechnologies Company (A)(B)   5,739     27,605
Stoke Therapeutics, Inc. (A)   4,441     93,483
Surface Oncology, Inc. (A)   9,596     28,212
Sutro Biopharma, Inc. (A)   10,069     82,767
Syndax Pharmaceuticals, Inc. (A)   10,063     174,895
Synergy Pharmaceuticals, Inc. (A)(C)   80,513     233
Talaris Therapeutics, Inc. (A)   4,360     42,902
Taysha Gene Therapies, Inc. (A)   5,467     35,645
TCR2 Therapeutics, Inc. (A)   7,727     21,327
Tenaya Therapeutics, Inc. (A)(B)   6,056     71,340
TG Therapeutics, Inc. (A)   28,230     268,467
Tonix Pharmaceuticals Holding Corp. (A)   111,592     25,688
Travere Therapeutics, Inc. (A)   12,779     329,315
 
  210  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Trevena, Inc. (A)   54,659   $ 30,057
Turning Point Therapeutics, Inc. (A)   10,024     269,144
Twist Bioscience Corp. (A)   11,688     577,153
Tyra Biosciences, Inc. (A)   2,372     25,380
UroGen Pharma, Ltd. (A)   5,139     44,761
Vanda Pharmaceuticals, Inc. (A)   12,098     136,828
Vaxart, Inc. (A)   27,064     136,403
Vaxcyte, Inc. (A)   9,252     223,436
VBI Vaccines, Inc. (A)   43,426     72,087
Vera Therapeutics, Inc. (A)(B)   2,829     66,453
Veracyte, Inc. (A)   14,668     404,397
Verastem, Inc. (A)   39,946     56,324
Vericel Corp. (A)   10,137     387,436
Verve Therapeutics, Inc. (A)   7,512     171,424
Viking Therapeutics, Inc. (A)(B)   16,767     50,301
Vir Biotechnology, Inc. (A)   12,948     333,023
Viracta Therapeutics, Inc. (A)   8,967     42,683
VistaGen Therapeutics, Inc. (A)   45,780     56,767
Vor BioPharma, Inc. (A)   4,243     25,628
Werewolf Therapeutics, Inc. (A)   6,593     29,009
Xencor, Inc. (A)   12,322     328,751
XOMA Corp. (A)   1,032     28,875
Y-mAbs Therapeutics, Inc. (A)   8,019     95,266
Zentalis Pharmaceuticals, Inc. (A)   7,862     362,753
          40,380,043
Health care equipment and supplies – 3.3%      
Accelerate Diagnostics, Inc. (A)(B)   10,815     15,574
Accuray, Inc. (A)   21,907     72,512
Alphatec Holdings, Inc. (A)   15,674     180,251
AngioDynamics, Inc. (A)   7,822     168,486
Apyx Medical Corp. (A)   7,549     49,295
Artivion, Inc. (A)   8,608     184,039
Asensus Surgical, Inc. (A)   53,438     33,495
Aspira Women's Health, Inc. (A)   17,279     17,970
AtriCure, Inc. (A)   9,678     635,554
Atrion Corp.   300     213,900
Avanos Medical, Inc. (A)   10,494     351,549
Axogen, Inc. (A)   8,848     70,253
Axonics, Inc. (A)   9,886     618,864
BioLife Solutions, Inc. (A)   2,369     53,847
Bioventus, Inc., Class A (A)   5,389     75,985
Butterfly Network, Inc. (A)   27,727     131,981
Cardiovascular Systems, Inc. (A)   8,941     202,067
Cerus Corp. (A)   37,603     206,440
ClearPoint Neuro, Inc. (A)(B)   4,599     47,876
CONMED Corp.   6,191     919,673
CryoPort, Inc. (A)   8,789     306,824
Cutera, Inc. (A)   3,941     271,929
CytoSorbents Corp. (A)   10,859     34,640
Eargo, Inc. (A)(B)   7,020     37,136
Glaukos Corp. (A)   9,764     564,554
Haemonetics Corp. (A)   10,894     688,719
Heska Corp. (A)   2,142     296,196
Inari Medical, Inc. (A)   7,426     673,093
Inogen, Inc. (A)   4,377     141,902
Integer Holdings Corp. (A)   7,038     567,052
Intersect ENT, Inc. (A)   7,442     208,450
iRadimed Corp.   1,368     61,341
iRhythm Technologies, Inc. (A)   6,323     995,683
Lantheus Holdings, Inc. (A)   14,440     798,676
LeMaitre Vascular, Inc.   4,115     191,224
LivaNova PLC (A)   11,514     942,191
Meridian Bioscience, Inc. (A)   9,155     237,664
Merit Medical Systems, Inc. (A)   11,027     733,516
Mesa Laboratories, Inc.   1,080     275,270
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Natus Medical, Inc. (A)   7,522   $ 197,678
Neogen Corp. (A)   23,096     712,281
Nevro Corp. (A)   7,517     543,705
NuVasive, Inc. (A)   11,196     634,813
OraSure Technologies, Inc. (A)   15,993     108,433
Ortho Clinical Diagnostics Holdings PLC (A)   24,378     454,893
Orthofix Medical, Inc. (A)   4,334     141,722
OrthoPediatrics Corp. (A)   3,149     170,015
Outset Medical, Inc. (A)   10,008     454,363
PAVmed, Inc. (A)(B)   17,355     22,909
PROCEPT BioRobotics Corp. (A)   1,281     44,822
Pulmonx Corp. (A)   5,794     143,749
Quotient, Ltd. (A)   22,235     26,682
RxSight, Inc. (A)   3,345     41,411
SeaSpine Holdings Corp. (A)   7,463     90,750
Senseonics Holdings, Inc. (A)(B)   93,468     184,132
Shockwave Medical, Inc. (A)   7,229     1,499,005
SI-BONE, Inc. (A)   7,380     166,788
Sientra, Inc. (A)   13,994     31,067
Sight Sciences, Inc. (A)   4,183     48,355
Silk Road Medical, Inc. (A)   7,645     315,662
STAAR Surgical Company (A)   10,225     817,080
Stereotaxis, Inc. (A)   11,987     44,712
Surmodics, Inc. (A)   3,132     141,974
Tactile Systems Technology, Inc. (A)   4,358     87,857
TransMedics Group, Inc. (A)   5,949     160,266
Treace Medical Concepts, Inc. (A)   5,809     109,848
Utah Medical Products, Inc.   858     77,100
Vapotherm, Inc. (A)   5,309     73,795
Varex Imaging Corp. (A)   8,477     180,475
ViewRay, Inc. (A)   31,400     123,088
          20,125,101
Health care providers and services – 2.9%      
1Life Healthcare, Inc. (A)   25,505     282,595
Accolade, Inc. (A)   11,222     197,058
AdaptHealth Corp. (A)   15,714     251,895
Addus HomeCare Corp. (A)   3,372     314,574
Agiliti, Inc. (A)   5,146     108,581
Alignment Healthcare, Inc. (A)   16,326     183,341
AMN Healthcare Services, Inc. (A)   10,047     1,048,204
Apollo Medical Holdings, Inc. (A)(B)   8,101     392,655
Aveanna Healthcare Holdings, Inc. (A)   8,895     30,332
Brookdale Senior Living, Inc. (A)   40,822     287,795
Castle Biosciences, Inc. (A)   4,605     206,580
Community Health Systems, Inc. (A)   26,694     316,858
CorVel Corp. (A)   1,865     314,141
Covetrus, Inc. (A)   22,868     383,954
Cross Country Healthcare, Inc. (A)   7,794     168,896
Fulgent Genetics, Inc. (A)   4,508     281,344
Hanger, Inc. (A)   8,497     155,750
HealthEquity, Inc. (A)   17,551     1,183,639
InfuSystem Holdings, Inc. (A)   3,214     31,497
Invitae Corp. (A)   43,512     346,791
LHC Group, Inc. (A)   6,560     1,106,016
LifeStance Health Group, Inc. (A)(B)   14,247     144,037
MEDNAX, Inc. (A)   16,609     389,979
ModivCare, Inc. (A)   2,706     312,245
National HealthCare Corp.   2,604     182,879
National Research Corp.   3,166     125,532
Option Care Health, Inc. (A)   33,419     954,447
Owens & Minor, Inc.   15,454     680,285
Patterson Companies, Inc.   18,315     592,857
PetIQ, Inc. (A)   5,992     146,205
Privia Health Group, Inc. (A)   8,315     222,260
 
  211  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care providers and services (continued)      
Progyny, Inc. (A)   13,857   $ 712,250
R1 RCM, Inc. (A)   25,637     686,046
RadNet, Inc. (A)   9,976     223,163
Select Medical Holdings Corp.   23,850     572,162
SOC Telemed, Inc. (A)   13,445     40,201
Surgery Partners, Inc. (A)   7,152     393,718
Tenet Healthcare Corp. (A)   22,666     1,948,369
The Ensign Group, Inc.   11,282     1,015,493
The Joint Corp. (A)   3,071     108,683
The Pennant Group, Inc. (A)   5,920     110,290
Tivity Health, Inc. (A)   9,593     308,607
US Physical Therapy, Inc.   2,777     276,173
Viemed Healthcare, Inc. (A)   9,933     49,466
          17,787,843
Health care technology – 1.0%      
Allscripts Healthcare Solutions, Inc. (A)   26,048     586,601
American Well Corp., Class A (A)   41,207     173,481
Computer Programs & Systems, Inc. (A)   3,368     116,028
Evolent Health, Inc., Class A (A)   17,110     552,653
Health Catalyst, Inc. (A)   11,049     288,710
HealthStream, Inc. (A)   5,315     105,875
Inspire Medical Systems, Inc. (A)   5,747     1,475,197
MultiPlan Corp. (A)(B)   71,990     336,913
NextGen Healthcare, Inc. (A)   12,236     255,855
Omnicell, Inc. (A)   9,315     1,206,199
OptimizeRx Corp. (A)   3,745     141,224
Phreesia, Inc. (A)   10,752     283,423
Schrodinger, Inc. (A)   9,928     338,743
Simulations Plus, Inc.   3,504     178,634
Tabula Rasa HealthCare, Inc. (A)   5,292     30,482
          6,070,018
Life sciences tools and services – 0.6%      
Absci Corp. (A)   11,503     96,970
Berkeley Lights, Inc. (A)   10,782     76,660
Bionano Genomics, Inc. (A)(B)   63,323     163,373
ChromaDex Corp. (A)   11,279     27,746
Codexis, Inc. (A)   13,029     268,658
Cytek Biosciences, Inc. (A)(B)   19,335     208,431
Fluidigm Corp. (A)(B)   17,384     62,409
Harvard Bioscience, Inc. (A)   10,064     62,497
Inotiv, Inc. (A)   3,569     93,436
MaxCyte, Inc. (A)   20,686     144,595
Medpace Holdings, Inc. (A)   6,204     1,014,912
NanoString Technologies, Inc. (A)   9,915     344,546
NeoGenomics, Inc. (A)   24,590     298,769
Pacific Biosciences of California, Inc. (A)   41,977     381,991
Personalis, Inc. (A)   8,159     66,822
Quanterix Corp. (A)   6,859     200,214
Seer, Inc. (A)   9,382     142,982
Singular Genomics Systems, Inc. (A)   9,814     61,926
          3,716,937
Pharmaceuticals – 1.5%      
9 Meters Biopharma, Inc. (A)   53,079     31,810
Aclaris Therapeutics, Inc. (A)(B)   11,326     195,260
Aerie Pharmaceuticals, Inc. (A)   9,966     90,691
Amneal Pharmaceuticals, Inc. (A)   22,604     94,259
Amphastar Pharmaceuticals, Inc. (A)   8,016     287,774
Amylyx Pharmaceuticals, Inc. (A)   1,886     24,235
ANI Pharmaceuticals, Inc. (A)   2,535     71,259
Antares Pharma, Inc. (A)   38,732     158,801
Arvinas, Inc. (A)   9,958     670,173
Atea Pharmaceuticals, Inc. (A)   14,066     101,557
Athira Pharma, Inc. (A)(B)   7,405     99,968
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Axsome Therapeutics, Inc. (A)(B)   6,109   $ 252,852
Cara Therapeutics, Inc. (A)   10,308     125,242
Cassava Sciences, Inc. (A)(B)   8,232     305,736
CinCor Pharma, Inc. (A)   2,175     38,150
Citius Pharmaceuticals, Inc. (A)(B)   26,043     46,617
Collegium Pharmaceutical, Inc. (A)   7,764     158,075
Corcept Therapeutics, Inc. (A)   18,886     425,313
CorMedix, Inc. (A)(B)   8,192     44,892
Cymabay Therapeutics, Inc. (A)   18,114     56,335
DICE Therapeutics, Inc. (A)   2,833     54,195
Edgewise Therapeutics, Inc. (A)   8,040     77,988
Endo International PLC (A)   49,899     115,267
Esperion Therapeutics, Inc. (A)   12,857     59,656
Evolus, Inc. (A)   7,505     84,206
EyePoint Pharmaceuticals, Inc. (A)   5,201     63,192
Fulcrum Therapeutics, Inc. (A)   6,019     142,349
Harmony Biosciences Holdings, Inc. (A)   4,983     242,423
Ikena Oncology, Inc. (A)(B)   6,585     40,169
Innoviva, Inc. (A)   9,201     178,039
Intra-Cellular Therapies, Inc. (A)   16,967     1,038,211
KemPharm, Inc. (A)(B)   7,980     40,139
Marinus Pharmaceuticals, Inc. (A)(B)   8,613     80,532
Mind Medicine MindMed, Inc. (A)(B)   77,675     86,219
NGM Biopharmaceuticals, Inc. (A)   7,276     110,959
Nuvation Bio, Inc. (A)(B)   33,476     176,084
Ocular Therapeutix, Inc. (A)   17,574     86,991
Omeros Corp. (A)(B)   13,931     83,725
Oramed Pharmaceuticals, Inc. (A)   7,615     65,870
Pacira BioSciences, Inc. (A)   9,452     721,377
Paratek Pharmaceuticals, Inc. (A)   13,470     40,006
Phathom Pharmaceuticals, Inc. (A)   4,746     64,593
Phibro Animal Health Corp., Class A   4,993     99,610
Pliant Therapeutics, Inc. (A)   5,568     39,032
Prestige Consumer Healthcare, Inc. (A)   10,516     556,717
Provention Bio, Inc. (A)(B)   12,824     93,872
Rain Therapeutics, Inc. (A)   3,707     18,794
Reata Pharmaceuticals, Inc., Class A (A)   6,011     196,920
Relmada Therapeutics, Inc. (A)   5,122     138,243
Revance Therapeutics, Inc. (A)   15,566     303,537
SIGA Technologies, Inc. (A)   11,119     78,834
Supernus Pharmaceuticals, Inc. (A)   10,513     339,780
Tarsus Pharmaceuticals, Inc. (A)   1,991     33,489
TherapeuticsMD, Inc. (A)(B)   118,358     44,976
Theravance Biopharma, Inc. (A)   13,812     132,043
Theseus Pharmaceuticals, Inc. (A)   2,443     28,168
Zogenix, Inc. (A)(C)   12,884     8,761
          9,043,965
          97,123,907
Industrials – 14.9%          
Aerospace and defense – 0.8%      
AAR Corp. (A)   7,334     355,186
Aerojet Rocketdyne Holdings, Inc. (A)   15,968     628,341
AeroVironment, Inc. (A)   4,837     455,355
AerSale Corp. (A)(B)   2,410     37,885
Astronics Corp. (A)   6,078     78,589
Byrna Technologies, Inc. (A)(B)   4,298     35,115
Ducommun, Inc. (A)   2,476     129,718
Kaman Corp.   6,007     261,184
Kratos Defense & Security Solutions, Inc. (A)   26,459     541,880
Maxar Technologies, Inc.   15,616     616,207
Moog, Inc., Class A   6,183     542,867
National Presto Industries, Inc.   1,222     94,033
Park Aerospace Corp.   5,029     65,628
Parsons Corp. (A)   5,677     219,700
 
  212  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Aerospace and defense (continued)      
Triumph Group, Inc. (A)   13,821   $ 349,395
Vectrus, Inc. (A)   2,721     97,575
          4,508,658
Air freight and logistics – 0.3%      
Air Transport Services Group, Inc. (A)   12,753     426,588
Atlas Air Worldwide Holdings, Inc. (A)   6,082     525,302
Forward Air Corp.   5,805     567,613
Hub Group, Inc., Class A (A)   7,097     547,959
          2,067,462
Airlines – 0.3%      
Allegiant Travel Company (A)   3,331     540,921
Frontier Group Holdings, Inc. (A)   7,635     86,505
Hawaiian Holdings, Inc. (A)   11,658     229,663
Mesa Air Group, Inc. (A)   8,384     36,890
SkyWest, Inc. (A)   10,761     310,455
Spirit Airlines, Inc. (A)   21,404     468,105
Sun Country Airlines Holdings, Inc. (A)   5,150     134,827
          1,807,366
Building products – 1.2%      
AAON, Inc.   8,966     499,675
American Woodmark Corp. (A)   3,732     182,681
Apogee Enterprises, Inc.   5,380     255,335
Caesarstone, Ltd.   6,340     66,697
Cornerstone Building Brands, Inc. (A)   12,012     292,132
CSW Industrials, Inc.   3,174     373,231
Gibraltar Industries, Inc. (A)   7,090     304,516
Griffon Corp.   10,158     203,465
Insteel Industries, Inc.   4,101     151,696
JELD-WEN Holding, Inc. (A)   18,367     372,483
Masonite International Corp. (A)   5,141     457,241
PGT Innovations, Inc. (A)   12,930     232,481
Quanex Building Products Corp.   7,731     162,274
Resideo Technologies, Inc. (A)   30,958     737,729
Simpson Manufacturing Company, Inc.   9,278     1,011,673
UFP Industries, Inc.   12,730     982,247
View, Inc. (A)   25,103     46,190
Zurn Water Solutions Corp.   25,930     917,922
          7,249,668
Commercial services and supplies – 1.7%      
ABM Industries, Inc.   14,433     664,495
ACCO Brands Corp.   20,645     165,160
Aris Water Solution, Inc., Class A   3,340     60,788
Brady Corp., Class A   10,050     465,014
BrightView Holdings, Inc. (A)   9,411     128,084
Casella Waste Systems, Inc., Class A (A)   10,489     919,361
CECO Environmental Corp. (A)   7,119     39,083
Cimpress PLC (A)   3,760     239,098
CoreCivic, Inc. (A)   26,204     292,699
Deluxe Corp.   9,212     278,571
Ennis, Inc.   5,909     109,139
Harsco Corp. (A)   17,364     212,535
Healthcare Services Group, Inc.   16,345     303,527
Heritage-Crystal Clean, Inc. (A)   3,832     113,466
HNI Corp.   9,453     350,234
Interface, Inc.   12,997     176,369
KAR Auction Services, Inc. (A)   26,252     473,849
Kimball International, Inc., Class B   9,622     81,306
Matthews International Corp., Class A   6,954     225,031
MillerKnoll, Inc.   16,097     556,312
Montrose Environmental Group, Inc. (A)   5,310     281,058
Pitney Bowes, Inc.   39,518     205,494
SP Plus Corp. (A)   5,279     165,549
Steelcase, Inc., Class A   19,284     230,444
Tetra Tech, Inc.   11,495     1,895,985
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Commercial services and supplies (continued)      
The Brink's Company   10,351   $ 703,868
UniFirst Corp.   3,213     592,092
US Ecology, Inc. (A)   6,928     331,713
Viad Corp. (A)   4,686     167,009
VSE Corp.   2,627     121,078
          10,548,411
Construction and engineering – 1.6%      
Ameresco, Inc., Class A (A)   6,635     527,483
API Group Corp. (A)   43,577     916,424
Arcosa, Inc.   10,398     595,286
Argan, Inc.   3,393     137,722
Comfort Systems USA, Inc.   7,642     680,214
Concrete Pumping Holdings, Inc. (A)   6,889     46,156
Construction Partners, Inc., Class A (A)   7,049     184,543
Dycom Industries, Inc. (A)   6,351     604,996
EMCOR Group, Inc.   11,320     1,274,972
Fluor Corp. (A)   30,537     876,107
Granite Construction, Inc.   9,824     322,227
Great Lakes Dredge & Dock Corp. (A)   13,947     195,676
IES Holdings, Inc. (A)   2,028     81,526
Infrastructure and Energy Alternatives, Inc. (A)   6,508     77,120
Innovate Corp. (A)(B)   7,784     28,723
Matrix Service Company (A)   7,471     61,412
MYR Group, Inc. (A)   3,512     330,268
NV5 Global, Inc. (A)   2,888     384,970
Primoris Services Corp.   11,812     281,362
Sterling Construction Company, Inc. (A)   6,282     168,358
Tutor Perini Corp. (A)   9,399     101,509
WillScot Mobile Mini Holdings Corp. (A)   44,650     1,747,155
          9,624,209
Electrical equipment – 0.9%      
Allied Motion Technologies, Inc.   2,986     89,102
American Superconductor Corp. (A)   6,886     52,402
Array Technologies, Inc. (A)   27,787     313,159
Atkore, Inc. (A)   9,560     941,086
AZZ, Inc.   5,165     249,160
Babcock & Wilcox Enterprises, Inc. (A)   12,860     104,938
Beam Global (A)(B)   2,122     43,395
Blink Charging Company (A)(B)   8,035     212,606
Bloom Energy Corp., Class A (A)   30,366     733,339
Encore Wire Corp.   4,202     479,322
EnerSys   8,912     664,568
Eos Energy Enterprises, Inc. (A)(B)   10,356     43,288
FTC Solar, Inc. (A)(B)   7,894     38,917
FuelCell Energy, Inc. (A)   78,765     453,686
GrafTech International, Ltd.   43,086     414,487
Romeo Power, Inc. (A)(B)   30,391     45,283
Stem, Inc. (A)   23,356     257,150
Thermon Group Holdings, Inc. (A)   7,788     126,166
TPI Composites, Inc. (A)   8,082     113,633
Vicor Corp. (A)   4,535     319,944
          5,695,631
Machinery – 3.5%      
Alamo Group, Inc.   2,064     296,783
Albany International Corp., Class A   6,494     547,574
Altra Industrial Motion Corp.   14,136     550,314
Astec Industries, Inc.   4,993     214,699
Barnes Group, Inc.   10,170     408,732
Blue Bird Corp. (A)   3,902     73,436
Chart Industries, Inc. (A)   7,808     1,341,180
CIRCOR International, Inc. (A)   4,348     115,744
Columbus McKinnon Corp.   5,960     252,704
 
  213  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Commercial Vehicle Group, Inc. (A)   8,180   $ 69,121
Desktop Metal, Inc., Class A (A)(B)   42,737     202,573
Douglas Dynamics, Inc.   5,005     173,123
Energy Recovery, Inc. (A)   9,438     190,081
Enerpac Tool Group Corp.   13,548     296,566
EnPro Industries, Inc.   4,354     425,516
ESCO Technologies, Inc.   5,482     383,301
Evoqua Water Technologies Corp. (A)   24,803     1,165,245
Federal Signal Corp.   12,789     431,629
Franklin Electric Company, Inc.   9,837     816,864
Helios Technologies, Inc.   7,006     562,232
Hillenbrand, Inc.   15,658     691,614
Hydrofarm Holdings Group, Inc. (A)   8,630     130,745
Hyliion Holdings Corp. (A)   26,595     117,816
Hyster-Yale Materials Handling, Inc.   2,296     76,250
Ideanomics, Inc. (A)(B)   91,681     102,683
John Bean Technologies Corp.   6,739     798,369
Kadant, Inc.   2,463     478,290
Kennametal, Inc.   18,089     517,526
Lindsay Corp.   2,256     354,215
Luxfer Holdings PLC   6,084     102,211
Meritor, Inc. (A)   14,515     516,299
Miller Industries, Inc.   2,781     78,313
Mueller Industries, Inc.   11,853     642,077
Mueller Water Products, Inc., Class A   33,797     436,657
Nikola Corp. (A)(B)   49,734     532,651
Omega Flex, Inc.   709     92,078
Park-Ohio Holdings Corp.   2,563     36,061
Proto Labs, Inc. (A)   6,220     329,038
RBC Bearings, Inc. (A)   5,621     1,089,799
REV Group, Inc.   6,669     89,365
SPX Corp. (A)   9,422     465,541
SPX FLOW, Inc.   8,816     760,116
Standex International Corp.   2,514     251,199
Tennant Company   3,957     311,812
Terex Corp.   14,498     516,999
The Gorman-Rupp Company   4,903     175,920
The Greenbrier Companies, Inc.   6,855     353,101
The Manitowoc Company, Inc. (A)   7,823     117,971
The Shyft Group, Inc.   7,426     268,153
Titan International, Inc. (A)   11,573     170,470
Trinity Industries, Inc.   16,609     570,685
Wabash National Corp.   10,635     157,823
Watts Water Technologies, Inc., Class A   5,808     810,739
Welbilt, Inc. (A)   27,861     661,699
          21,321,702
Marine – 0.3%      
Costamare, Inc.   11,391     194,217
Eagle Bulk Shipping, Inc. (B)   2,015     137,242
Genco Shipping & Trading, Ltd.   7,090     167,466
Matson, Inc.   8,832     1,065,316
Safe Bulkers, Inc.   14,646     69,715
          1,633,956
Professional services – 1.8%      
Acacia Research Corp. (A)   12,793     57,696
ASGN, Inc. (A)   10,867     1,268,288
Atlas Technical Consultants, Inc. (A)   2,138     25,742
Barrett Business Services, Inc.   1,802     139,601
CBIZ, Inc. (A)   10,486     440,097
CRA International, Inc.   1,556     131,109
Exponent, Inc.   11,113     1,200,760
First Advantage Corp. (A)   10,142     204,767
Forrester Research, Inc. (A)   2,570     144,999
Franklin Covey Company (A)   2,920     132,042
Heidrick & Struggles International, Inc.   4,284     169,561
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Professional services (continued)      
HireRight Holdings Corp. (A)   3,499   $ 59,833
Huron Consulting Group, Inc. (A)   4,744     217,323
ICF International, Inc.   3,906     367,711
Insperity, Inc.   7,836     786,891
KBR, Inc.   30,122     1,648,577
Kelly Services, Inc., Class A   7,977     173,021
Kforce, Inc.   4,339     320,956
Korn Ferry   11,593     752,849
ManTech International Corp., Class A   5,812     500,936
Mistras Group, Inc. (A)   6,058     40,043
Resources Connection, Inc.   7,303     125,173
Sterling Check Corp. (A)   2,825     74,665
TriNet Group, Inc. (A)   8,627     848,552
TrueBlue, Inc. (A)   7,581     219,015
Upwork, Inc. (A)   25,522     593,131
Willdan Group, Inc. (A)   2,864     87,896
          10,731,234
Road and rail – 0.9%      
ArcBest Corp.   5,440     437,920
Avis Budget Group, Inc. (A)   8,815     2,320,990
Covenant Logistics Group, Inc.   3,228     69,499
Daseke, Inc. (A)   9,289     93,540
Heartland Express, Inc.   10,660     149,986
Marten Transport, Ltd.   13,548     240,612
P.A.M. Transportation Services, Inc. (A)   954     33,152
Saia, Inc. (A)   5,668     1,381,972
Werner Enterprises, Inc.   12,985     532,385
Yellow Corp. (A)   11,735     82,262
          5,342,318
Trading companies and distributors – 1.6%      
Applied Industrial Technologies, Inc.   8,203     842,120
Beacon Roofing Supply, Inc. (A)   12,020     712,546
BlueLinx Holdings, Inc. (A)   1,984     142,610
Boise Cascade Company   8,345     579,727
Custom Truck One Source, Inc. (A)   11,118     93,280
DXP Enterprises, Inc. (A)   4,151     112,451
GATX Corp.   7,501     925,098
Global Industrial Company   2,631     84,797
GMS, Inc. (A)   9,170     456,391
H&E Equipment Services, Inc.   7,007     304,945
Herc Holdings, Inc.   5,342     892,595
McGrath RentCorp   5,180     440,196
MRC Global, Inc. (A)   17,948     213,761
NOW, Inc. (A)   24,452     269,706
Rush Enterprises, Inc., Class A   8,316     423,368
Rush Enterprises, Inc., Class B   2,077     100,423
Textainer Group Holdings, Ltd.   10,072     383,441
Titan Machinery, Inc. (A)   4,307     121,716
Transcat, Inc. (A)   1,580     128,201
Triton International, Ltd.   14,212     997,398
Veritiv Corp. (A)   3,045     406,782
WESCO International, Inc. (A)   9,484     1,234,248
          9,865,800
          90,396,415
Information technology – 13.2%          
Communications equipment – 0.7%      
ADTRAN, Inc.   10,624     196,013
Aviat Networks, Inc. (A)   2,338     71,940
CalAmp Corp. (A)   8,593     62,815
Calix, Inc. (A)   11,817     507,067
Cambium Networks Corp. (A)   2,508     59,289
Clearfield, Inc. (A)   2,537     165,463
Comtech Telecommunications Corp.   6,012     94,328
Digi International, Inc. (A)   7,892     169,836
 
  214  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Communications equipment (continued)      
DZS, Inc. (A)   2,913   $ 40,403
EMCORE Corp. (A)   8,801     32,564
Extreme Networks, Inc. (A)   27,319     333,565
Harmonic, Inc. (A)   19,629     182,353
Infinera Corp. (A)   39,830     345,326
Inseego Corp. (A)(B)   19,063     77,205
NETGEAR, Inc. (A)   6,427     158,618
NetScout Systems, Inc. (A)   14,929     478,922
Plantronics, Inc. (A)   9,194     362,244
Ribbon Communications, Inc. (A)   16,289     50,333
Viavi Solutions, Inc. (A)   49,054     788,788
          4,177,072
Electronic equipment, instruments and components – 2.3%      
908 Devices, Inc. (A)   4,260     80,983
Advanced Energy Industries, Inc.   8,136     700,347
Aeva Technologies, Inc. (A)   21,685     93,896
Akoustis Technologies, Inc. (A)(B)   10,805     70,233
Arlo Technologies, Inc. (A)   18,824     166,781
Badger Meter, Inc.   6,207     618,900
Belden, Inc.   9,432     522,533
Benchmark Electronics, Inc.   7,505     187,925
CTS Corp.   6,942     245,330
Daktronics, Inc. (A)   12,237     46,990
ePlus, Inc. (A)   5,630     315,618
Fabrinet (A)   7,850     825,271
FARO Technologies, Inc. (A)   4,036     209,549
Identiv, Inc. (A)   5,150     83,276
II-VI, Inc. (A)   22,663     1,642,841
Insight Enterprises, Inc. (A)   7,290     782,363
Itron, Inc. (A)   9,784     515,421
Kimball Electronics, Inc. (A)   5,461     109,165
Knowles Corp. (A)   18,384     395,808
Luna Innovations, Inc. (A)   8,474     65,335
Methode Electronics, Inc.   7,825     338,431
MicroVision, Inc. (A)(B)   36,587     170,861
Napco Security Technologies, Inc. (A)   6,532     134,037
nLight, Inc. (A)   9,669     167,660
Novanta, Inc. (A)   7,514     1,069,167
OSI Systems, Inc. (A)   3,541     301,410
Ouster, Inc. (A)(B)   30,430     136,935
PAR Technology Corp. (A)   5,338     215,335
PC Connection, Inc.   2,319     121,492
Plexus Corp. (A)   5,934     485,461
Rogers Corp. (A)   3,949     1,072,943
Sanmina Corp. (A)   13,242     535,242
ScanSource, Inc. (A)   5,389     187,483
TTM Technologies, Inc. (A)   22,418     332,235
Velodyne Lidar, Inc. (A)   18,740     47,974
Vishay Intertechnology, Inc.   28,376     556,170
Vishay Precision Group, Inc. (A)   3,177     102,141
          13,653,542
IT services – 1.5%      
BigCommerce Holdings, Inc., Series 1 (A)   10,621     232,706
Brightcove, Inc. (A)   9,813     76,541
Cantaloupe, Inc. (A)   13,611     92,146
Cass Information Systems, Inc.   3,511     129,591
Conduent, Inc. (A)   37,818     195,141
CSG Systems International, Inc.   6,855     435,772
DigitalOcean Holdings, Inc. (A)   10,859     628,193
EVERTEC, Inc.   12,960     530,453
EVO Payments, Inc., Class A (A)   10,523     242,976
ExlService Holdings, Inc. (A)   7,011     1,004,466
Flywire Corp. (A)   12,453     380,813
Grid Dynamics Holdings, Inc. (A)   9,309     131,071
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
IT services (continued)      
i3 Verticals, Inc., Class A (A)   4,904   $ 136,625
International Money Express, Inc. (A)   7,473     154,019
Limelight Networks, Inc. (A)   28,241     147,418
LiveRamp Holdings, Inc. (A)   14,333     535,911
Maximus, Inc.   13,050     978,098
MoneyGram International, Inc. (A)   19,470     205,603
Paya Holdings, Inc. (A)   18,744     109,840
Perficient, Inc. (A)   6,994     769,969
Rackspace Technology, Inc. (A)(B)   12,110     135,148
Repay Holdings Corp. (A)   19,145     282,772
The Hackett Group, Inc.   5,795     133,633
TTEC Holdings, Inc.   3,946     325,624
Tucows, Inc., Class A (A)   2,224     151,899
Unisys Corp. (A)   14,077     304,204
Verra Mobility Corp. (A)   30,324     493,675
          8,944,307
Semiconductors and semiconductor equipment – 3.2%      
Alpha & Omega Semiconductor, Ltd. (A)   4,679     255,707
Ambarella, Inc. (A)   7,570     794,244
Amkor Technology, Inc.   21,822     473,974
Atomera, Inc. (A)(B)   4,756     62,113
Axcelis Technologies, Inc. (A)   7,038     531,580
AXT, Inc. (A)   10,109     70,965
CEVA, Inc. (A)   5,143     209,063
CMC Materials, Inc.   6,065     1,124,451
Cohu, Inc. (A)   10,347     306,271
Credo Technology Group Holding, Ltd. (A)   4,064     61,895
Diodes, Inc. (A)   9,312     810,051
FormFactor, Inc. (A)   16,727     703,036
Ichor Holdings, Ltd. (A)   6,177     220,025
Impinj, Inc. (A)   4,135     262,738
Kopin Corp. (A)(B)   17,663     44,687
Kulicke & Soffa Industries, Inc.   13,022     729,492
Lattice Semiconductor Corp. (A)   28,958     1,764,990
MACOM Technology Solutions Holdings, Inc. (A)   10,475     627,138
MaxLinear, Inc. (A)   15,167     884,994
Meta Materials, Inc. (A)(B)   45,983     76,792
NeoPhotonics Corp. (A)   11,080     168,527
NVE Corp.   1,321     71,955
Onto Innovation, Inc. (A)   10,404     904,004
PDF Solutions, Inc. (A)   6,606     184,109
Photronics, Inc. (A)   12,723     215,909
Power Integrations, Inc.   12,571     1,165,080
Rambus, Inc. (A)   23,207     740,071
Semtech Corp. (A)   13,852     960,498
Silicon Laboratories, Inc. (A)   8,111     1,218,272
SiTime Corp. (A)   3,377     836,888
SMART Global Holdings, Inc. (A)   9,447     244,016
SunPower Corp. (A)   17,336     372,377
Synaptics, Inc. (A)   8,272     1,650,264
Ultra Clean Holdings, Inc. (A)   9,576     405,927
Veeco Instruments, Inc. (A)   10,916     296,806
          19,448,909
Software – 5.3%      
8x8, Inc. (A)   24,551     309,097
A10 Networks, Inc.   12,936     180,457
ACI Worldwide, Inc. (A)   25,336     797,831
Agilysys, Inc. (A)   4,363     173,996
Alarm.com Holdings, Inc. (A)   10,217     679,022
Alkami Technology, Inc. (A)   5,491     78,576
Altair Engineering, Inc., Class A (A)   9,925     639,170
American Software, Inc., Class A   7,122     148,422
Appfolio, Inc., Class A (A)   4,086     462,576
 
  215  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
Appian Corp. (A)   8,539   $ 519,342
Asana, Inc., Class A (A)(B)   15,478     618,656
Avaya Holdings Corp. (A)   18,091     229,213
AvidXchange Holdings, Inc. (A)   4,601     37,038
Benefitfocus, Inc. (A)   6,133     77,398
Blackbaud, Inc. (A)   10,339     618,996
Blackline, Inc. (A)   11,652     853,159
Bottomline Technologies DE, Inc. (A)   9,490     537,893
Box, Inc., Class A (A)   29,204     848,668
BTRS Holdings, Inc., Class 1 (A)   18,881     141,230
Cerence, Inc. (A)   8,243     297,572
ChannelAdvisor Corp. (A)   6,737     111,632
Cleanspark, Inc. (A)(B)   8,432     104,304
CommVault Systems, Inc. (A)   9,562     634,439
Consensus Cloud Solutions, Inc. (A)   3,148     189,289
CoreCard Corp. (A)(B)   1,799     49,293
Couchbase, Inc. (A)   4,692     81,735
CS Disco, Inc. (A)   2,973     100,993
Digimarc Corp. (A)(B)   2,985     78,714
Digital Turbine, Inc. (A)   19,403     850,045
Domo, Inc., Class B (A)   5,987     302,763
E2open Parent Holdings, Inc. (A)   40,619     357,853
Ebix, Inc.   5,859     194,226
eGain Corp. (A)   5,111     59,185
Enfusion, Inc., Class A (A)   4,033     51,300
EngageSmart, Inc. (A)   2,898     61,756
Envestnet, Inc. (A)   11,642     866,630
EverCommerce, Inc. (A)   5,445     71,874
GTY Technology Holdings, Inc. (A)   7,660     24,742
Instructure Holdings, Inc. (A)   2,895     58,074
Intapp, Inc. (A)   2,444     58,680
InterDigital, Inc.   6,685     426,503
JFrog, Ltd. (A)   11,764     317,040
LivePerson, Inc. (A)   14,117     344,737
Marathon Digital Holdings, Inc. (A)(B)   20,512     573,310
MeridianLink, Inc. (A)   3,877     70,174
MicroStrategy, Inc., Class A (A)(B)   1,985     965,345
Mimecast, Ltd. (A)   13,127     1,044,384
Mitek Systems, Inc. (A)   9,740     142,886
Model N, Inc. (A)   7,840     210,896
Momentive Global, Inc. (A)   28,348     460,938
ON24, Inc. (A)   6,350     83,503
OneSpan, Inc. (A)   8,126     117,339
PagerDuty, Inc. (A)   17,801     608,616
Ping Identity Holding Corp. (A)   11,932     327,295
Progress Software Corp.   9,355     440,527
PROS Holdings, Inc. (A)   8,702     289,864
Q2 Holdings, Inc. (A)   11,834     729,566
Qualys, Inc. (A)   7,277     1,036,318
Rapid7, Inc. (A)   12,034     1,338,662
Rekor Systems, Inc. (A)(B)   7,632     34,802
Rimini Street, Inc. (A)   10,896     63,197
Riot Blockchain, Inc. (A)   22,784     482,337
Sailpoint Technologies Holdings, Inc. (A)   19,671     1,006,762
Sapiens International Corp. NV   6,859     174,150
SecureWorks Corp., Class A (A)   2,828     37,471
ShotSpotter, Inc. (A)   2,147     59,515
Sprout Social, Inc., Class A (A)   9,753     781,410
SPS Commerce, Inc. (A)   7,687     1,008,534
Sumo Logic, Inc. (A)   19,325     225,523
Telos Corp. (A)   8,913     88,863
Tenable Holdings, Inc. (A)   19,807     1,144,647
Upland Software, Inc. (A)   6,587     115,997
Varonis Systems, Inc. (A)   23,049     1,095,749
Verint Systems, Inc. (A)   13,673     706,894
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
Veritone, Inc. (A)   6,326   $ 115,639
Vonage Holdings Corp. (A)   52,634     1,067,944
Workiva, Inc. (A)   9,164     1,081,352
Xperi Holding Corp.   22,755     394,117
Yext, Inc. (A)   25,095     172,905
Zuora, Inc., Class A (A)   24,368     365,033
          32,306,583
Technology hardware, storage and peripherals – 0.2%      
3D Systems Corp. (A)   26,541     442,704
Avid Technology, Inc. (A)   7,823     272,788
Corsair Gaming, Inc. (A)(B)   5,978     126,494
Diebold Nixdorf, Inc. (A)   16,369     110,163
Eastman Kodak Company (A)(B)   10,835     70,969
Quantum Corp. (A)   13,934     31,630
Super Micro Computer, Inc. (A)   9,425     358,810
Turtle Beach Corp. (A)   3,489     74,281
          1,487,839
          80,018,252
Materials – 3.8%          
Chemicals – 1.9%      
AdvanSix, Inc.   5,756     294,074
American Vanguard Corp.   7,194     146,182
Amyris, Inc. (A)   37,529     163,626
Aspen Aerogels, Inc. (A)   4,821     166,228
Avient Corp.   19,329     927,792
Balchem Corp.   6,814     931,474
Cabot Corp.   11,926     815,858
Chase Corp.   1,553     134,971
Danimer Scientific, Inc. (A)(B)   19,424     113,825
Ecovyst, Inc.   11,625     134,385
Ferro Corp. (A)   17,242     374,841
FutureFuel Corp.   7,247     70,513
GCP Applied Technologies, Inc. (A)   12,572     395,012
Hawkins, Inc.   4,145     190,256
HB Fuller Company   11,065     731,065
Ingevity Corp. (A)   8,533     546,709
Innospec, Inc.   5,228     483,851
Intrepid Potash, Inc. (A)   2,189     179,804
Koppers Holdings, Inc.   4,776     131,436
Kronos Worldwide, Inc.   4,972     77,165
Livent Corp. (A)   34,617     902,465
Minerals Technologies, Inc.   7,035     465,365
Orion Engineered Carbons SA   13,256     211,698
PureCycle Technologies, Inc. (A)(B)   11,587     92,696
Quaker Chemical Corp.   2,900     501,149
Rayonier Advanced Materials, Inc. (A)   14,810     97,302
Sensient Technologies Corp.   8,966     752,696
Stepan Company   4,454     440,100
Tredegar Corp.   6,814     81,700
Trinseo PLC   8,260     395,819
Tronox Holdings PLC, Class A   24,427     483,410
Zymergen, Inc. (A)(B)   16,936     48,945
          11,482,412
Construction materials – 0.1%      
Summit Materials, Inc., Class A (A)   25,547     793,490
Containers and packaging – 0.3%      
Greif, Inc., Class A   4,878     317,363
Greif, Inc., Class B   1,724     109,922
Myers Industries, Inc.   8,423     181,937
O-I Glass, Inc. (A)   33,414     440,397
Pactiv Evergreen, Inc.   9,538     95,952
Ranpak Holdings Corp. (A)   8,190     167,322
TriMas Corp.   9,167     294,169
 
  216  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Containers and packaging (continued)      
UFP Technologies, Inc. (A)   1,627   $ 107,659
          1,714,721
Metals and mining – 1.4%      
1911 Gold Corp. (A)   5,045     1,514
Allegheny Technologies, Inc. (A)   27,312     733,054
Arconic Corp. (A)   22,844     585,263
Carpenter Technology Corp.   10,321     433,276
Century Aluminum Company (A)   11,155     293,488
Coeur Mining, Inc. (A)   57,239     254,714
Commercial Metals Company   25,309     1,053,361
Compass Minerals International, Inc.   7,331     460,313
Constellium SE (A)   26,464     476,352
Gatos Silver, Inc. (A)   10,419     45,010
Haynes International, Inc.   2,918     124,307
Hecla Mining Company   114,790     754,170
Kaiser Aluminum Corp.   3,411     321,180
Materion Corp.   4,372     374,855
MP Materials Corp. (A)   15,763     903,850
Novagold Resources, Inc. (A)   51,783     400,283
Olympic Steel, Inc.   1,317     50,652
Pan American Silver Corp., CVR (A)   88,114     74,016
Ryerson Holding Corp.   3,490     122,220
Schnitzer Steel Industries, Inc., Class A   5,602     290,968
SunCoke Energy, Inc.   18,055     160,870
TimkenSteel Corp. (A)   9,965     218,034
Warrior Met Coal, Inc.   10,827     401,790
Worthington Industries, Inc.   6,947     357,145
          8,890,685
Paper and forest products – 0.1%      
Clearwater Paper Corp. (A)   3,730     104,552
Glatfelter Corp.   9,703     120,123
Neenah, Inc.   3,740     148,328
Schweitzer-Mauduit International, Inc.   7,056     194,040
          567,043
          23,448,351
Real estate – 7.5%          
Equity real estate investment trusts – 6.8%      
Acadia Realty Trust   19,049     412,792
Agree Realty Corp.   14,179     940,918
Alexander & Baldwin, Inc.   15,867     367,956
Alexander's, Inc.   463     118,634
American Assets Trust, Inc.   10,752     407,393
Apartment Investment and Management Company, Class A (A)   33,111     242,373
Apple Hospitality REIT, Inc.   46,443     834,581
Armada Hoffler Properties, Inc.   14,110     206,006
Ashford Hospitality Trust, Inc. (A)   4,903     50,011
Braemar Hotels & Resorts, Inc.   15,119     93,435
Brandywine Realty Trust   36,121     510,751
Broadstone Net Lease, Inc.   33,549     730,697
BRT Apartments Corp.   2,982     71,479
CareTrust REIT, Inc.   21,096     407,153
CatchMark Timber Trust, Inc., Class A   12,533     102,771
Centerspace   3,002     294,556
Chatham Lodging Trust (A)   11,277     155,510
City Office REIT, Inc.   9,813     173,298
Community Healthcare Trust, Inc.   5,032     212,401
Corporate Office Properties Trust   24,052     686,444
CTO Realty Growth, Inc.   1,784     118,315
DiamondRock Hospitality Company (A)   46,306     467,691
DigitalBridge Group, Inc. (A)   105,451     759,247
Diversified Healthcare Trust   54,192     173,414
Easterly Government Properties, Inc.   18,014     380,816
EastGroup Properties, Inc.   8,331     1,693,526
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
Empire State Realty Trust, Inc., Class A   31,502   $ 309,350
Equity Commonwealth (A)   23,172     653,682
Essential Properties Realty Trust, Inc.   25,433     643,455
Farmland Partners, Inc.   7,176     98,670
Four Corners Property Trust, Inc.   16,411     443,753
Franklin Street Properties Corp.   24,182     142,674
Getty Realty Corp.   8,060     230,677
Gladstone Commercial Corp.   8,759     192,873
Gladstone Land Corp.   6,813     248,129
Global Medical REIT, Inc.   13,418     218,982
Global Net Lease, Inc.   22,632     356,001
Healthcare Realty Trust, Inc.   30,956     850,671
Hersha Hospitality Trust (A)   9,718     88,239
Independence Realty Trust, Inc.   43,774     1,157,385
Indus Realty Trust, Inc.   1,261     92,166
Industrial Logistics Properties Trust   13,486     305,728
Innovative Industrial Properties, Inc.   5,122     1,052,059
iStar, Inc.   14,472     338,790
Kite Realty Group Trust   46,978     1,069,689
LTC Properties, Inc.   8,691     334,343
LXP Industrial Trust   57,765     906,911
National Health Investors, Inc.   9,346     551,507
National Storage Affiliates Trust   17,373     1,090,329
Necessity Retail REIT, Inc.   27,287     215,840
NETSTREIT Corp.   9,021     202,431
NexPoint Residential Trust, Inc.   4,642     419,219
Office Properties Income Trust   11,273     290,054
One Liberty Properties, Inc.   3,956     121,805
Outfront Media, Inc.   31,620     898,957
Paramount Group, Inc.   40,708     444,124
Pebblebrook Hotel Trust   28,376     694,644
Phillips Edison & Company, Inc.   21,638     744,131
Physicians Realty Trust   46,008     806,980
Piedmont Office Realty Trust, Inc., Class A   26,574     457,604
Plymouth Industrial REIT, Inc.   6,595     178,725
Postal Realty Trust, Inc., Class A   4,212     70,846
PotlatchDeltic Corp.   14,315     754,830
Preferred Apartment Communities, Inc.   11,504     286,910
PS Business Parks, Inc.   4,120     692,490
Retail Opportunity Investments Corp.   26,039     504,896
RLJ Lodging Trust   36,647     515,990
RPT Realty   18,241     251,179
Ryman Hospitality Properties, Inc. (A)   11,610     1,077,060
Sabra Health Care REIT, Inc.   48,000     714,720
Safehold, Inc.   3,665     203,224
Saul Centers, Inc.   2,830     149,141
Seritage Growth Properties, Class A (A)   8,315     105,268
Service Properties Trust   37,015     326,842
SITE Centers Corp.   37,790     631,471
STAG Industrial, Inc.   35,100     1,451,385
Summit Hotel Properties, Inc. (A)   23,585     234,907
Sunstone Hotel Investors, Inc. (A)   47,640     561,199
Tanger Factory Outlet Centers, Inc.   22,068     379,349
Terreno Realty Corp.   14,671     1,086,388
The GEO Group, Inc. (A)   25,857     170,915
The Macerich Company   46,352     724,945
UMH Properties, Inc.   9,411     231,416
Uniti Group, Inc.   42,639     586,713
Universal Health Realty Income Trust   3,196     186,551
Urban Edge Properties   25,080     479,028
Urstadt Biddle Properties, Inc., Class A   7,346     138,178
Veris Residential, Inc. (A)   19,444     338,131
Washington Real Estate Investment Trust   18,617     474,734
Whitestone REIT   10,937     144,915
 
  217  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
Xenia Hotels & Resorts, Inc. (A)   24,954   $ 481,363
          41,417,729
Real estate management and development – 0.7%      
Cushman & Wakefield PLC (A)   30,127     617,905
Douglas Elliman, Inc.   15,458     112,843
eXp World Holdings, Inc.   13,748     291,045
Forestar Group, Inc. (A)   4,284     76,084
FRP Holdings, Inc. (A)   1,773     102,479
Kennedy-Wilson Holdings, Inc.   25,813     629,579
Marcus & Millichap, Inc.   5,124     269,932
Newmark Group, Inc., Class A   34,092     542,745
RE/MAX Holdings, Inc., Class A   4,356     120,792
Realogy Holdings Corp. (A)   24,556     385,038
Redfin Corp. (A)   22,437     404,763
Tejon Ranch Company (A)   5,037     91,976
The RMR Group, Inc., Class A   3,750     116,625
The St. Joe Company   7,206     426,883
          4,188,689
          45,606,418
Utilities – 2.8%          
Electric utilities – 0.6%      
ALLETE, Inc.   11,144     746,425
MGE Energy, Inc.   7,961     635,208
Otter Tail Corp.   8,689     543,063
PNM Resources, Inc.   17,927     854,580
Portland General Electric Company   18,955     1,045,368
Via Renewables, Inc.   5,509     45,394
          3,870,038
Gas utilities – 1.0%      
Brookfield Infrastructure Corp., Class A   12,333     930,402
Chesapeake Utilities Corp.   3,656     503,651
New Jersey Resources Corp.   20,834     955,447
Northwest Natural Holding Company   6,910     357,385
ONE Gas, Inc.   11,272     994,641
South Jersey Industries, Inc.   22,320     771,156
Southwest Gas Holdings, Inc.   12,226     957,174
Spire, Inc.   10,843     778,094
          6,247,950
Independent power and renewable electricity producers –
0.4%
     
Clearway Energy, Inc., Class A   8,228     274,157
Clearway Energy, Inc., Class C   16,778     612,565
Ormat Technologies, Inc.   9,683     792,360
Sunnova Energy International, Inc. (A)   18,610     429,147
          2,108,229
Multi-utilities – 0.4%      
Avista Corp.   15,068     680,320
Black Hills Corp.   13,429     1,034,302
NorthWestern Corp.   10,944     662,003
Unitil Corp.   3,704     184,756
          2,561,381
Water utilities – 0.4%      
American States Water Company   7,766     691,329
Artesian Resources Corp., Class A   2,508     121,763
California Water Service Group   11,076     656,585
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Water utilities (continued)      
Global Water Resources, Inc.   2,852   $ 47,457
Middlesex Water Company   3,708     389,970
Pure Cycle Corp. (A)   5,830     70,077
SJW Group   6,130     426,525
The York Water Company   3,343     150,335
          2,554,041
          17,341,639
TOTAL COMMON STOCKS (Cost $451,777,728)   $ 583,084,643
RIGHTS – 0.0%          
Quantum Corp. (A)(D)   13,934     118
TOTAL RIGHTS (Cost $0)   $ 118
WARRANTS – 0.0%          
Nabors Industries, Ltd. (Expiration Date: 6-11-26; Strike Price: $166.67) (A)(B)   668     15,364
TOTAL WARRANTS (Cost $0)   $ 15,364
SHORT-TERM INVESTMENTS – 5.0%      
U.S. Government – 2.2%          
U.S. Treasury Bill
0.100%, 04/28/2022 *
$ 13,000,000     12,998,964
Short-term funds – 1.3%          
John Hancock Collateral Trust, 0.3592% (E)(F)   811,924     8,118,265
Repurchase agreement – 1.5%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $9,211,000 on 4-1-22, collateralized by $9,407,800 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $9,395,306) $ 9,211,000     9,211,000
TOTAL SHORT-TERM INVESTMENTS (Cost $30,328,085)   $ 30,328,229
Total Investments (Small Cap Index Trust)
(Cost $482,105,813) – 101.0%
  $ 613,428,354
Other assets and liabilities, net – (1.0%)     (6,037,079)
TOTAL NET ASSETS – 100.0%   $ 607,391,275
Security Abbreviations and Legend
CVR Contingent Value Right
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $15,424,180. In addition to the cash collateral invested in John Hancock Collateral Trust, if any, non-cash collateral of $8,520,199 in the form of U.S. Treasuries was pledged to the fund.
(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 3-31-22.
(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.
 
  218  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Russell 2000 E-Mini Index Futures 234 Long Jun 2022 $23,513,106 $24,176,880 $663,774
            $663,774
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Small Cap Opportunities Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 99.2%      
Communication services – 2.4%          
Diversified telecommunication services – 0.3%      
ATN International, Inc.   1,281   $ 51,086
Consolidated Communications Holdings, Inc. (A)   4,985     29,412
EchoStar Corp., Class A (A)   4,430     107,826
Liberty Latin America, Ltd., Class A (A)   4,204     40,779
Liberty Latin America, Ltd., Class C (A)   11,346     108,808
Lumen Technologies, Inc.   20,570     231,824
          569,735
Entertainment – 0.7%      
Ballantyne Strong, Inc. (A)   1,114     3,431
Liberty Media Corp.-Liberty Formula One, Series A (A)   1,330     83,963
Liberty Media Corp.-Liberty Formula One, Series C (A)   8,584     599,507
Lions Gate Entertainment Corp., Class A (A)   5,809     94,396
Lions Gate Entertainment Corp., Class B (A)   8,534     128,266
Madison Square Garden Entertainment Corp. (A)   1,210     100,805
Reading International, Inc., Class A (A)   1,100     4,708
The Marcus Corp. (A)   2,916     51,613
          1,066,689
Interactive media and services – 0.2%      
Cars.com, Inc. (A)   5,579     80,505
DHI Group, Inc. (A)   5,212     31,011
QuinStreet, Inc. (A)   1,887     21,889
Yelp, Inc. (A)   1,685     57,475
Ziff Davis, Inc. (A)   654     63,294
          254,174
Media – 1.0%      
AMC Networks, Inc., Class A (A)   1,328     53,957
Audacy, Inc. (A)   6,702     19,369
Beasley Broadcast Group, Inc., Class A (A)   502     884
Boston Omaha Corp., Class A (A)   1,631     41,378
comScore, Inc. (A)   2,845     8,279
DallasNews Corp.   1,059     7,371
Entravision Communications Corp., Class A   5,075     32,531
Fluent, Inc. (A)   5,600     11,648
Gannett Company, Inc. (A)   7,195     32,449
Gray Television, Inc.   6,546     144,470
Hemisphere Media Group, Inc. (A)   951     4,346
John Wiley & Sons, Inc., Class A   1,937     102,719
Loyalty Ventures, Inc. (A)   909     15,026
News Corp., Class A   13,143     291,117
News Corp., Class B   6,557     147,664
Nexstar Media Group, Inc., Class A   1,859     350,384
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Media (continued)      
Scholastic Corp.   1,876   $ 75,565
TEGNA, Inc.   8,149     182,538
The EW Scripps Company, Class A (A)   5,843     121,476
          1,643,171
Wireless telecommunication services – 0.2%      
Shenandoah Telecommunications Company   535     12,615
Spok Holdings, Inc.   3,863     30,827
Telephone & Data Systems, Inc.   7,131     134,633
United States Cellular Corp. (A)   2,570     77,691
          255,766
          3,789,535
Consumer discretionary – 12.3%          
Auto components – 1.9%      
Adient PLC (A)   3,399     138,577
American Axle & Manufacturing Holdings, Inc. (A)   6,125     47,530
Autoliv, Inc.   2,185     167,021
BorgWarner, Inc.   12,039     468,317
Cooper-Standard Holdings, Inc. (A)   1,311     11,497
Dana, Inc.   8,889     156,180
Dorman Products, Inc. (A)   4,589     436,093
Fox Factory Holding Corp. (A)   8,543     836,787
Gentherm, Inc. (A)   162     11,832
LCI Industries   237     24,603
Lear Corp.   1,143     162,980
Modine Manufacturing Company (A)   4,925     44,374
Motorcar Parts of America, Inc. (A)   1,585     28,261
Patrick Industries, Inc.   647     39,014
Standard Motor Products, Inc.   1,901     82,009
Stoneridge, Inc. (A)   1,672     34,711
Strattec Security Corp. (A)   924     34,437
The Goodyear Tire & Rubber Company (A)   17,683     252,690
          2,976,913
Automobiles – 0.2%      
Harley-Davidson, Inc.   3,482     137,191
Thor Industries, Inc.   1,759     138,433
Winnebago Industries, Inc.   1,427     77,101
          352,725
Distributors – 0.0%      
Funko, Inc., Class A (A)   1,164     20,079
Weyco Group, Inc.   1,316     32,532
          52,611
Diversified consumer services – 1.1%      
Adtalem Global Education, Inc. (A)   3,782     112,363
American Public Education, Inc. (A)   1,450     30,798
Carriage Services, Inc.   1,597     85,168
Graham Holdings Company, Class B   347     212,180
 
  219  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified consumer services (continued)      
Grand Canyon Education, Inc. (A)   8,603   $ 835,437
Houghton Mifflin Harcourt Company (A)   5,833     122,551
Laureate Education, Inc.   3,940     46,689
Lincoln Educational Services Corp. (A)   1,100     7,865
OneSpaWorld Holdings, Ltd. (A)   3,242     33,068
Perdoceo Education Corp. (A)   5,378     61,739
Stride, Inc. (A)   2,888     104,921
Terminix Global Holdings, Inc. (A)   2,263     103,261
Universal Technical Institute, Inc. (A)   3,087     27,320
          1,783,360
Hotels, restaurants and leisure – 1.2%      
Ark Restaurants Corp. (A)   64     1,182
Biglari Holdings, Inc., Class A (A)   3     2,121
Biglari Holdings, Inc., Class B (A)   102     14,750
BJ's Restaurants, Inc. (A)   690     19,527
Bluegreen Vacations Holding Corp. (A)   348     10,290
Carrols Restaurant Group, Inc.   1,688     3,815
Churchill Downs, Inc.   3,199     709,474
Chuy's Holdings, Inc. (A)   19,116     516,132
El Pollo Loco Holdings, Inc. (A)   2,613     30,363
Fiesta Restaurant Group, Inc. (A)   1,348     10,076
Krispy Kreme, Inc.   27,075     402,064
Marriott Vacations Worldwide Corp.   466     73,488
Monarch Casino & Resort, Inc. (A)   1,074     93,685
Playa Hotels & Resorts NV (A)   2,743     23,727
RCI Hospitality Holdings, Inc.   396     24,338
          1,935,032
Household durables – 2.1%      
Bassett Furniture Industries, Inc.   1,234     20,435
Beazer Homes USA, Inc. (A)   1,614     24,565
Cavco Industries, Inc. (A)   510     122,834
Century Communities, Inc.   1,378     73,819
Ethan Allen Interiors, Inc.   1,706     44,475
Flexsteel Industries, Inc.   1,118     21,577
Green Brick Partners, Inc. (A)   900     17,784
Hooker Furnishings Corp.   1,821     34,490
iRobot Corp. (A)   743     47,106
KB Home   6,043     195,672
La-Z-Boy, Inc.   3,039     80,138
Legacy Housing Corp. (A)   585     12,554
LGI Homes, Inc. (A)   1,066     104,127
Lifetime Brands, Inc.   2,931     37,634
M/I Homes, Inc. (A)   2,195     97,348
MDC Holdings, Inc.   4,059     153,593
Meritage Homes Corp. (A)   2,251     178,347
Mohawk Industries, Inc. (A)   3,344     415,325
Newell Brands, Inc.   3,701     79,238
PulteGroup, Inc.   8,788     368,217
Taylor Morrison Home Corp. (A)   6,235     169,717
Toll Brothers, Inc.   8,961     421,346
TopBuild Corp. (A)   2,158     391,440
Tri Pointe Homes, Inc. (A)   9,765     196,081
Universal Electronics, Inc. (A)   745     23,274
VOXX International Corp. (A)   3,131     31,216
Whirlpool Corp.   98     16,932
          3,379,284
Internet and direct marketing retail – 0.5%      
1-800-Flowers.com, Inc., Class A (A)   890     11,356
Lands' End, Inc. (A)   1,503     25,431
Qurate Retail, Inc., Series A   22,636     107,747
Revolve Group, Inc. (A)   12,150     652,334
          796,868
Leisure products – 0.3%      
Acushnet Holdings Corp.   4,717     189,906
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Leisure products (continued)      
American Outdoor Brands, Inc. (A)   1,873   $ 24,592
Clarus Corp.   557     12,688
Escalade, Inc.   2,724     35,957
Johnson Outdoors, Inc., Class A   766     59,541
Nautilus, Inc. (A)   1,580     6,510
Smith & Wesson Brands, Inc.   859     12,997
Vista Outdoor, Inc. (A)   3,182     113,566
          455,757
Multiline retail – 0.9%      
Big Lots, Inc.   2,327     80,514
Dillard's, Inc., Class A   1,891     507,525
Franchise Group, Inc.   300     12,429
Kohl's Corp.   8,128     491,419
Macy's, Inc.   12,243     298,239
Ollie's Bargain Outlet Holdings, Inc. (A)   334     14,349
          1,404,475
Specialty retail – 3.3%      
Abercrombie & Fitch Company, Class A (A)   4,970     158,990
Academy Sports & Outdoors, Inc.   593     23,364
American Eagle Outfitters, Inc. (B)   10,292     172,906
America's Car-Mart, Inc. (A)   338     27,229
Asbury Automotive Group, Inc. (A)   997     159,719
AutoNation, Inc. (A)   5,555     553,167
Barnes & Noble Education, Inc. (A)   4,024     14,406
Big 5 Sporting Goods Corp. (B)   2,004     34,369
Build-A-Bear Workshop, Inc.   2,470     45,152
Chico's FAS, Inc. (A)   8,871     42,581
Citi Trends, Inc. (A)   367     11,239
Conn's, Inc. (A)   2,177     33,548
Designer Brands, Inc., Class A (A)   1,409     19,036
Dick's Sporting Goods, Inc. (B)   1,446     144,629
Five Below, Inc. (A)   4,932     781,081
Foot Locker, Inc.   4,562     135,309
Genesco, Inc. (A)   1,311     83,393
Group 1 Automotive, Inc.   1,593     267,353
Guess?, Inc. (B)   5,350     116,898
Haverty Furniture Companies, Inc.   1,613     44,228
Hibbett, Inc.   1,098     48,685
Lithia Motors, Inc.   2,916     875,150
LL Flooring Holdings, Inc. (A)   1,480     20,750
MarineMax, Inc. (A)   2,016     81,164
Monro, Inc.   1,145     50,769
Penske Automotive Group, Inc.   4,213     394,842
Rent-A-Center, Inc.   418     10,529
Shoe Carnival, Inc.   2,304     67,185
Signet Jewelers, Ltd.   3,675     267,173
Sonic Automotive, Inc., Class A   1,522     64,700
Sportsman's Warehouse Holdings, Inc. (A)   1,974     21,102
The Aaron's Company, Inc.   1,356     27,228
The Buckle, Inc.   296     9,780
The Cato Corp., Class A   1,957     28,690
The Container Store Group, Inc. (A)   2,221     18,146
The Gap, Inc.   1,861     26,203
The ODP Corp. (A)   3,276     150,139
Tilly's, Inc., Class A   712     6,664
Urban Outfitters, Inc. (A)   4,517     113,422
Zumiez, Inc. (A)   1,822     69,619
          5,220,537
Textiles, apparel and luxury goods – 0.8%      
Capri Holdings, Ltd. (A)   2,484     127,653
Culp, Inc.   334     2,652
Delta Apparel, Inc. (A)   500     14,895
 
  220  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Textiles, apparel and luxury goods (continued)      
Fossil Group, Inc. (A)   3,231   $ 31,147
G-III Apparel Group, Ltd. (A)   3,404     92,078
Lakeland Industries, Inc. (A)   1,110     21,301
Movado Group, Inc.   1,758     68,650
Oxford Industries, Inc.   4,609     417,115
PVH Corp.   3,196     244,846
Ralph Lauren Corp.   189     21,440
Rocky Brands, Inc.   802     33,355
Superior Group of Companies, Inc.   663     11,835
Tapestry, Inc.   1,440     53,496
Unifi, Inc. (A)   2,453     44,399
Vera Bradley, Inc. (A)   2,034     15,601
          1,200,463
          19,558,025
Consumer staples – 4.2%          
Beverages – 0.4%      
MGP Ingredients, Inc.   571     48,872
Molson Coors Beverage Company, Class B   10,060     537,003
          585,875
Food and staples retailing – 1.4%      
Casey's General Stores, Inc.   162     32,104
Grocery Outlet Holding Corp. (A)   1,730     56,709
Ingles Markets, Inc., Class A   1,612     143,549
Natural Grocers by Vitamin Cottage, Inc.   1,014     19,874
Performance Food Group Company (A)   12,752     649,204
PriceSmart, Inc.   4,343     342,532
Rite Aid Corp. (A)(B)   6,074     53,148
SpartanNash Company   3,523     116,224
Sprouts Farmers Market, Inc. (A)   4,445     142,151
The Andersons, Inc.   3,384     170,080
U.S. Foods Holding Corp. (A)   5,723     215,356
United Natural Foods, Inc. (A)   4,429     183,139
Village Super Market, Inc., Class A   685     16,783
Weis Markets, Inc.   2,371     169,337
          2,310,190
Food products – 1.9%      
Alico, Inc.   341     12,808
B&G Foods, Inc. (B)   1,941     52,368
Bunge, Ltd.   7,506     831,740
Calavo Growers, Inc.   300     10,935
Cal-Maine Foods, Inc.   1,161     64,110
Darling Ingredients, Inc. (A)   3,074     247,088
Farmer Brothers Company (A)   1,069     7,611
Fresh Del Monte Produce, Inc.   2,635     68,273
Hostess Brands, Inc. (A)   5,203     114,154
Ingredion, Inc.   2,898     252,561
J&J Snack Foods Corp.   853     132,300
Landec Corp. (A)   3,130     36,245
Limoneira Company   199     2,921
Pilgrim's Pride Corp. (A)   4,322     108,482
Post Holdings, Inc. (A)   3,484     241,302
Sanderson Farms, Inc.   1,082     202,864
Seaboard Corp.   52     218,685
Seneca Foods Corp., Class A (A)   908     46,798
The Hain Celestial Group, Inc. (A)   3,255     111,972
The Simply Good Foods Company (A)   1,707     64,781
Tootsie Roll Industries, Inc.   1,438     50,268
TreeHouse Foods, Inc. (A)   1,806     58,262
Whole Earth Brands, Inc. (A)   1,600     11,456
          2,947,984
Household products – 0.2%      
Central Garden & Pet Company (A)   1,553     68,270
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Household products (continued)      
Central Garden & Pet Company, Class A (A)   3,288   $ 134,085
Oil-Dri Corp. of America   531     15,213
Spectrum Brands Holdings, Inc.   1,089     96,616
          314,184
Personal products – 0.2%      
BellRing Brands, Inc. (A)   4,416     101,921
Edgewell Personal Care Company   3,300     121,011
Natural Alternatives International, Inc. (A)   200     2,304
Nature's Sunshine Products, Inc. (A)   1,118     18,805
Nu Skin Enterprises, Inc., Class A   2,131     102,032
          346,073
Tobacco – 0.1%      
Universal Corp.   1,975     114,688
          6,618,994
Energy – 7.4%          
Energy equipment and services – 1.4%      
Archrock, Inc.   10,702     98,779
Bristow Group, Inc. (A)   737     27,328
ChampionX Corp. (A)   7,217     176,672
Dril-Quip, Inc. (A)   2,386     89,117
Expro Group Holdings NV (A)   2,209     39,276
Exterran Corp. (A)   4,737     29,417
Geospace Technologies Corp. (A)   516     2,967
Gulf Island Fabrication, Inc. (A)   3,019     11,834
Helix Energy Solutions Group, Inc. (A)   12,029     57,499
Helmerich & Payne, Inc.   4,237     181,259
Liberty Oilfield Services, Inc., Class A (A)   9,594     142,183
Nabors Industries, Ltd. (A)   597     91,174
National Energy Services Reunited Corp. (A)   3,117     26,183
Natural Gas Services Group, Inc. (A)   2,620     31,204
Newpark Resources, Inc. (A)   6,750     24,705
NexTier Oilfield Solutions, Inc. (A)   11,003     101,668
NOV, Inc.   2,128     41,730
Oceaneering International, Inc. (A)   5,817     88,186
Oil States International, Inc. (A)   4,041     28,085
Patterson-UTI Energy, Inc.   12,012     185,946
ProPetro Holding Corp. (A)   7,061     98,360
RPC, Inc. (A)   12,691     135,413
SEACOR Marine Holdings, Inc. (A)   2,432     19,626
Select Energy Services, Inc., Class A (A)   5,093     43,647
Technip Energies NV, ADR (A)   2,809     34,017
TechnipFMC PLC (A)   20,822     161,371
Tidewater, Inc. (A)   2,791     60,676
Transocean, Ltd. (A)(B)   13,252     60,562
U.S. Silica Holdings, Inc. (A)   4,282     79,902
          2,168,786
Oil, gas and consumable fuels – 6.0%      
Adams Resources & Energy, Inc.   724     27,867
Alto Ingredients, Inc. (A)   1,900     12,958
Antero Midstream Corp.   21,451     233,172
Antero Resources Corp. (A)   20,791     634,749
APA Corp.   368     15,209
Ardmore Shipping Corp. (A)   1,174     5,283
Berry Corp.   3,197     32,993
Callon Petroleum Company (A)   1,879     111,011
Centennial Resource Development, Inc., Class A (A)   11,699     94,411
Chesapeake Energy Corp.   564     49,068
Civitas Resources, Inc.   1,183     70,637
 
  221  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Clean Energy Fuels Corp. (A)   9,682   $ 76,875
CNX Resources Corp. (A)   15,258     316,146
Comstock Resources, Inc. (A)   12,010     156,731
CONSOL Energy, Inc. (A)   3,700     139,231
Continental Resources, Inc.   8,416     516,153
Coterra Energy, Inc.   11,436     308,429
CVR Energy, Inc.   1,951     49,829
Delek US Holdings, Inc. (A)   5,312     112,721
Denbury, Inc. (A)   1,260     98,998
DHT Holdings, Inc.   10,864     63,011
Dorian LPG, Ltd.   3,417     49,512
Earthstone Energy, Inc., Class A (A)   1,600     20,208
EnLink Midstream LLC (A)   15,546     150,019
EQT Corp.   13,550     466,256
Equitrans Midstream Corp.   25,675     216,697
Green Plains, Inc. (A)   5,268     163,361
HF Sinclair Corp. (A)   8,800     350,680
International Seaways, Inc.   2,070     37,343
Kosmos Energy, Ltd. (A)   21,319     153,284
Magnolia Oil & Gas Corp., Class A   39,363     930,935
Marathon Oil Corp.   38,374     963,571
Matador Resources Company   5,228     276,979
Murphy Oil Corp.   10,625     429,144
NACCO Industries, Inc., Class A   700     27,454
Nordic American Tankers, Ltd.   2,259     4,812
Overseas Shipholding Group, Inc., Class A (A)   5,561     11,622
PBF Energy, Inc., Class A (A)   7,833     190,890
PDC Energy, Inc.   6,240     453,523
Peabody Energy Corp. (A)   6,070     148,897
PHX Minerals, Inc.   557     1,704
Range Resources Corp. (A)   10,071     305,957
Ranger Oil Corp., Class A (A)   651     22,479
Renewable Energy Group, Inc. (A)   3,442     208,757
REX American Resources Corp. (A)   429     42,728
SandRidge Energy, Inc. (A)   1,746     27,971
Scorpio Tankers, Inc.   2,441     52,189
SFL Corp., Ltd.   10,526     107,155
SilverBow Resources, Inc. (A)   324     10,368
SM Energy Company   5,199     202,501
Talos Energy, Inc. (A)   5,072     80,087
Teekay Corp. (A)   286     907
Teekay Tankers, Ltd., Class A (A)   2,780     38,475
Whiting Petroleum Corp.   2,713     221,137
World Fuel Services Corp.   3,166     85,609
          9,578,693
          11,747,479
Financials – 20.6%          
Banks – 12.1%      
1st Source Corp.   2,092     96,755
Allegiance Bancshares, Inc.   1,159     51,784
Amalgamated Financial Corp.   681     12,238
Amerant Bancorp, Inc.   1,362     43,026
American National Bankshares, Inc.   991     37,341
Ameris Bancorp   15,849     695,454
Arrow Financial Corp.   1,085     35,176
Associated Banc-Corp.   14,499     329,997
Atlantic Union Bankshares Corp.   14,013     514,137
Banc of California, Inc.   5,646     109,307
Bank of Marin Bancorp   1,851     64,915
Bank OZK   8,966     382,848
BankFinancial Corp.   2,146     22,233
BankUnited, Inc.   5,181     227,757
Banner Corp.   3,379     197,773
Bar Harbor Bankshares   1,690     48,368
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
BCB Bancorp, Inc.   1,477   $ 26,955
Berkshire Hills Bancorp, Inc.   3,539     102,525
Blue Ridge Bankshares, Inc.   682     10,346
BOK Financial Corp.   4,528     425,406
Brookline Bancorp, Inc.   6,310     99,824
Business First Bancshares, Inc.   897     21,824
Byline Bancorp, Inc.   1,183     31,562
C&F Financial Corp.   627     31,419
Cadence Bank   8,101     237,035
Cambridge Bancorp   121     10,285
Camden National Corp.   1,722     81,003
Capital City Bank Group, Inc.   1,865     49,161
Capstar Financial Holdings, Inc.   972     20,490
Carter Bankshares, Inc. (A)   1,494     25,951
Cathay General Bancorp   2,466     110,354
CBTX, Inc.   1,248     38,688
Central Pacific Financial Corp.   2,460     68,634
Chemung Financial Corp.   723     33,757
Citizens & Northern Corp.   960     23,405
City Holding Company   400     31,480
Civista Bancshares, Inc.   1,114     26,847
CNB Financial Corp.   1,562     41,112
Columbia Banking System, Inc.   4,210     135,857
Comerica, Inc.   4,267     385,865
Community Trust Bancorp, Inc.   1,347     55,496
ConnectOne Bancorp, Inc.   1,273     40,749
CrossFirst Bankshares, Inc. (A)   3,053     48,115
Customers Bancorp, Inc. (A)   2,568     133,896
CVB Financial Corp.   3,612     83,835
Dime Community Bancshares, Inc.   3,390     117,192
Eagle Bancorp, Inc.   1,290     73,543
Enterprise Bancorp, Inc.   246     9,870
Enterprise Financial Services Corp.   1,485     70,255
Equity Bancshares, Inc., Class A   1,097     35,444
FB Financial Corp.   1,189     52,815
Financial Institutions, Inc.   1,481     44,623
First Bancorp (North Carolina)   2,905     121,342
First Bancorp (Puerto Rico)   14,979     196,524
First Bank   900     12,798
First Busey Corp.   2,457     62,260
First Business Financial Services, Inc.   1,366     44,818
First Citizens BancShares, Inc., Class A   219     145,766
First Commonwealth Financial Corp.   8,341     126,450
First Community Bankshares, Inc.   2,201     62,090
First Financial Bancorp   7,516     173,244
First Financial Corp.   1,432     61,977
First Financial Northwest, Inc.   1,100     18,821
First Foundation, Inc.   1,677     40,734
First Hawaiian, Inc.   5,863     163,519
First Horizon Corp.   25,469     598,267
First Internet Bancorp   777     33,419
First Interstate BancSystem, Inc., Class A   4,489     165,061
First Merchants Corp.   4,369     181,750
First Mid Bancshares, Inc.   649     24,980
First Northwest Bancorp   800     17,672
Flushing Financial Corp.   2,921     65,284
FNB Corp.   16,986     211,476
Fulton Financial Corp.   11,240     186,809
German American Bancorp, Inc.   755     28,682
Great Southern Bancorp, Inc.   1,117     65,914
Guaranty Bancshares, Inc.   293     10,255
Hancock Whitney Corp.   7,556     394,045
Hanmi Financial Corp.   3,082     75,848
HarborOne Bancorp, Inc.   4,217     59,122
 
  222  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Heartland Financial USA, Inc.   2,428   $ 116,131
Heritage Commerce Corp.   3,825     43,031
Heritage Financial Corp.   1,981     49,644
Hilltop Holdings, Inc.   4,528     133,123
Home BancShares, Inc.   1,178     26,623
HomeStreet, Inc.   1,802     85,379
HomeTrust Bancshares, Inc.   560     16,537
Hope Bancorp, Inc.   10,431     167,730
Horizon Bancorp, Inc.   3,849     71,861
Independent Bank Corp. (Massachusetts)   1,190     97,211
Independent Bank Corp. (Michigan)   1,806     39,732
Independent Bank Group, Inc.   1,953     138,975
International Bancshares Corp.   4,680     197,543
Investar Holding Corp.   500     9,545
Investors Bancorp, Inc.   18,672     278,773
Lakeland Bancorp, Inc.   3,580     59,786
LCNB Corp.   600     10,536
Macatawa Bank Corp.   5,091     45,870
Mercantile Bank Corp.   1,666     59,010
Meta Financial Group, Inc.   2,595     142,517
Metropolitan Bank Holding Corp. (A)   456     46,407
Mid Penn Bancorp, Inc.   765     20,510
Midland States Bancorp, Inc.   1,070     30,880
MidWestOne Financial Group, Inc.   1,343     44,453
MVB Financial Corp.   300     12,450
National Bank Holdings Corp., Class A   1,336     53,814
National Bankshares, Inc.   622     23,132
NBT Bancorp, Inc.   2,964     107,089
Nicolet Bankshares, Inc. (A)   565     52,867
Northeast Bank   770     26,265
Northrim BanCorp, Inc.   647     28,190
Northwest Bancshares, Inc.   7,430     100,379
Norwood Financial Corp.   1,188     33,965
OceanFirst Financial Corp.   1,393     27,999
OFG Bancorp   4,124     109,863
Old National Bancorp   18,139     297,117
Old Second Bancorp, Inc.   2,721     39,482
Origin Bancorp, Inc.   1,115     47,153
Orrstown Financial Services, Inc.   500     11,465
Pacific Premier Bancorp, Inc.   3,858     136,380
PacWest Bancorp   5,647     243,555
Park National Corp.   139     18,262
Peapack-Gladstone Financial Corp.   1,625     56,469
Penns Woods Bancorp, Inc.   1,188     29,023
Peoples Bancorp, Inc.   3,445     107,863
People's United Financial, Inc.   22,779     455,352
Pinnacle Financial Partners, Inc.   9,697     892,900
Popular, Inc.   5,455     445,892
Preferred Bank   589     43,639
Primis Financial Corp.   3,850     53,823
Prosperity Bancshares, Inc.   5,378     373,126
QCR Holdings, Inc.   1,211     68,530
RBB Bancorp   1,075     25,252
Renasant Corp.   3,529     118,045
Republic Bancorp, Inc., Class A   1,449     65,118
Republic First Bancorp, Inc. (A)   2,700     13,932
S&T Bancorp, Inc.   3,436     101,637
Sandy Spring Bancorp, Inc.   2,800     125,776
Seacoast Banking Corp. of Florida   1,753     61,390
Shore Bancshares, Inc.   2,225     45,568
Sierra Bancorp   1,759     43,940
Simmons First National Corp., Class A   5,235     137,262
SmartFinancial, Inc.   500     12,790
Southern First Bancshares, Inc. (A)   537     27,301
Southside Bancshares, Inc.   374     15,270
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
SouthState Corp.   2,903   $ 236,856
Spirit of Texas Bancshares, Inc.   880     23,126
Synovus Financial Corp.   3,170     155,330
Texas Capital Bancshares, Inc. (A)   2,286     131,011
The Bancorp, Inc. (A)   2,515     71,250
The Bank of NT Butterfield & Son, Ltd.   445     15,967
The Community Financial Corp.   300     12,000
The First Bancorp, Inc.   1,316     39,585
The First Bancshares, Inc.   1,011     34,030
The First of Long Island Corp.   1,039     20,219
Towne Bank   3,708     111,018
TriCo Bancshares   721     28,862
TriState Capital Holdings, Inc. (A)   2,342     77,825
Triumph Bancorp, Inc. (A)   617     58,010
Trustmark Corp.   4,932     149,883
UMB Financial Corp.   789     76,659
Umpqua Holdings Corp.   10,662     201,085
United Bankshares, Inc.   7,106     247,857
United Community Banks, Inc.   4,664     162,307
Univest Financial Corp.   2,067     55,313
Valley National Bancorp   23,485     305,775
Veritex Holdings, Inc.   1,384     52,827
Washington Trust Bancorp, Inc.   1,035     54,338
Webster Financial Corp.   5,218     292,834
WesBanco, Inc.   5,027     172,728
Westamerica BanCorp   169     10,225
Wintrust Financial Corp.   3,040     282,507
Zions Bancorp NA   7,881     516,678
          19,270,891
Capital markets – 1.7%      
Blucora, Inc. (A)   4,863     95,072
Cowen, Inc., Class A   2,484     67,316
Houlihan Lokey, Inc.   5,374     471,837
Invesco, Ltd.   24,463     564,117
Janus Henderson Group PLC   6,521     228,365
Jefferies Financial Group, Inc.   9,310     305,834
Oppenheimer Holdings, Inc., Class A   1,674     72,953
PJT Partners, Inc., Class A   6,223     392,796
Stifel Financial Corp.   7,480     507,892
StoneX Group, Inc. (A)   1,346     99,914
          2,806,096
Consumer finance – 0.5%      
Encore Capital Group, Inc. (A)   1,949     122,261
Enova International, Inc. (A)   1,321     50,158
EZCORP, Inc., Class A (A)   3,087     18,645
Green Dot Corp., Class A (A)   848     23,303
Navient Corp.   15,325     261,138
Nelnet, Inc., Class A   2,648     225,054
Nicholas Financial, Inc. (A)   75     769
PRA Group, Inc. (A)   2,487     112,114
Regional Management Corp.   573     27,831
          841,273
Diversified financial services – 0.4%      
Alerus Financial Corp.   904     24,987
A-Mark Precious Metals, Inc.   329     25,445
California First Leasing Corp.   880     15,849
Cannae Holdings, Inc. (A)   3,225     77,142
Equitable Holdings, Inc.   1,531     47,323
Voya Financial, Inc.   6,477     429,749
          620,495
Insurance – 4.5%      
Alleghany Corp. (A)   918     777,546
Ambac Financial Group, Inc. (A)   1,536     15,974
 
  223  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
American Equity Investment Life Holding Company   7,384   $ 294,695
American Financial Group, Inc.   549     79,945
American National Group, Inc.   1,038     196,275
Argo Group International Holdings, Ltd.   2,597     107,204
Assured Guaranty, Ltd.   5,779     367,891
Axis Capital Holdings, Ltd.   4,518     273,203
Brighthouse Financial, Inc. (A)   2,584     133,489
CNA Financial Corp.   1,354     65,831
CNO Financial Group, Inc.   7,507     188,351
Donegal Group, Inc., Class A   2,876     38,567
Employers Holdings, Inc.   2,283     93,649
Enstar Group, Ltd. (A)   824     215,188
Everest Re Group, Ltd.   2,137     644,049
FedNat Holding Company (A)   1,090     1,472
Fidelity National Financial, Inc.   1,894     92,503
First American Financial Corp.   3,274     212,221
Genworth Financial, Inc., Class A (A)   14,291     54,020
Global Indemnity Group LLC, Class A   1,190     31,047
Globe Life, Inc.   1,689     169,913
Greenlight Capital Re, Ltd., Class A (A)   2,616     18,495
Hallmark Financial Services, Inc. (A)   4,008     14,549
Heritage Insurance Holdings, Inc.   657     4,691
Horace Mann Educators Corp.   3,303     138,164
Investors Title Company   189     38,407
James River Group Holdings, Ltd.   1,101     27,239
Kemper Corp.   2,781     157,238
Lincoln National Corp.   8,094     529,024
MBIA, Inc. (A)   4,333     66,685
Mercury General Corp.   1,495     82,225
National Western Life Group, Inc., Class A   221     46,498
Old Republic International Corp.   13,924     360,214
ProAssurance Corp.   2,566     68,974
Reinsurance Group of America, Inc.   3,624     396,683
RenaissanceRe Holdings, Ltd.   1,784     282,782
Safety Insurance Group, Inc.   612     55,600
SiriusPoint, Ltd. (A)   2,292     17,144
Stewart Information Services Corp.   1,817     110,128
Tiptree, Inc.   2,600     33,410
United Fire Group, Inc.   1,897     58,940
United Insurance Holdings Corp.   5,283     17,487
Universal Insurance Holdings, Inc.   2,200     29,678
Unum Group   10,883     342,923
White Mountains Insurance Group, Ltd.   168     190,888
          7,141,099
Thrifts and mortgage finance – 1.4%      
Bridgewater Bancshares, Inc. (A)   798     13,311
Capitol Federal Financial, Inc.   11,378     123,793
ESSA Bancorp, Inc.   897     16,101
Federal Agricultural Mortgage Corp., Class C   594     64,437
Flagstar Bancorp, Inc.   3,861     163,706
FS Bancorp, Inc.   400     12,400
Home Bancorp, Inc.   902     36,793
Kearny Financial Corp.   5,361     69,050
Luther Burbank Corp.   1,694     22,513
Merchants Bancorp   511     13,991
MGIC Investment Corp.   9,993     135,405
Mr. Cooper Group, Inc. (A)   3,087     140,983
New York Community Bancorp, Inc.   24,244     259,896
NMI Holdings, Inc., Class A (A)   2,152     44,374
Northfield Bancorp, Inc.   4,119     59,149
Ocwen Financial Corp. (A)   315     7,484
OP Bancorp   1,000     13,850
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Thrifts and mortgage finance (continued)      
Premier Financial Corp.   1,989   $ 60,326
Provident Financial Holdings, Inc.   1,778     29,408
Provident Financial Services, Inc.   4,010     93,834
Prudential Bancorp, Inc.   1,696     27,916
Radian Group, Inc.   10,338     229,607
Riverview Bancorp, Inc.   3,925     29,634
Southern Missouri Bancorp, Inc.   1,012     50,549
Territorial Bancorp, Inc.   1,722     41,328
TrustCo Bank Corp. NY   1,826     58,304
Washington Federal, Inc.   3,303     108,404
Waterstone Financial, Inc.   3,099     59,935
Western New England Bancorp, Inc.   3,609     32,264
WSFS Financial Corp.   4,106     191,422
          2,210,167
          32,890,021
Health care – 11.1%          
Biotechnology – 3.1%      
Achillion Pharmaceuticals, Inc. (A)(C)   10,940     16,452
Agios Pharmaceuticals, Inc. (A)   3,093     90,037
Albireo Pharma, Inc. (A)   16,650     496,670
AnaptysBio, Inc. (A)   1,489     36,838
Anika Therapeutics, Inc. (A)   1,011     25,386
Biohaven Pharmaceutical Holding Company, Ltd. (A)   4,816     571,033
Bioxcel Therapeutics, Inc. (A)   657     13,738
Bluebird Bio, Inc. (A)   3,230     15,666
Catalyst Pharmaceuticals, Inc. (A)   2,300     19,067
ChemoCentryx, Inc. (A)   18,900     473,823
Concert Pharmaceuticals, Inc. (A)   1,198     4,037
Eagle Pharmaceuticals, Inc. (A)   236     11,680
Emergent BioSolutions, Inc. (A)   1,065     43,729
Enanta Pharmaceuticals, Inc. (A)   279     19,859
Halozyme Therapeutics, Inc. (A)   18,345     731,599
Immunovant, Inc. (A)   1,794     9,885
Insmed, Inc. (A)   17,845     419,358
Jounce Therapeutics, Inc. (A)   3,193     21,680
Kura Oncology, Inc. (A)   2,404     38,656
Ligand Pharmaceuticals, Inc. (A)   122     13,724
Myriad Genetics, Inc. (A)   1,132     28,526
OPKO Health, Inc. (A)   2,204     7,582
Oyster Point Pharma, Inc. (A)   24,305     282,910
PDL BioPharma, Inc. (A)(C)   5,434     9,727
Replimune Group, Inc. (A)   1,243     21,106
Travere Therapeutics, Inc. (A)   17,232     444,069
Turning Point Therapeutics, Inc. (A)   723     19,413
United Therapeutics Corp. (A)   467     83,784
Vanda Pharmaceuticals, Inc. (A)   3,697     41,813
Veracyte, Inc. (A)   9,038     249,178
Vericel Corp. (A)   16,002     611,596
Viking Therapeutics, Inc. (A)   4,579     13,737
          4,886,358
Health care equipment and supplies – 2.9%      
AngioDynamics, Inc. (A)   3,198     68,885
Artivion, Inc. (A)   18,682     399,421
AtriCure, Inc. (A)   10,368     680,867
Avanos Medical, Inc. (A)   3,807     127,535
Cardiovascular Systems, Inc. (A)   13,234     299,088
CryoPort, Inc. (A)   9,260     323,267
Envista Holdings Corp. (A)   8,580     417,932
FONAR Corp. (A)   463     8,589
Globus Medical, Inc., Class A (A)   8,707     642,402
ICU Medical, Inc. (A)   2,043     454,854
Inogen, Inc. (A)   200     6,484
Integer Holdings Corp. (A)   2,433     196,027
 
  224  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Integra LifeSciences Holdings Corp. (A)   8,691   $ 558,484
IntriCon Corp. (A)   519     12,383
Invacare Corp. (A)   3,396     4,788
Kewaunee Scientific Corp. (A)   83     1,187
LENSAR, Inc. (A)   783     5,794
Meridian Bioscience, Inc. (A)   2,202     57,164
Merit Medical Systems, Inc. (A)   691     45,965
Natus Medical, Inc. (A)   2,200     57,816
NuVasive, Inc. (A)   1,932     109,544
OraSure Technologies, Inc. (A)   2,408     16,326
Orthofix Medical, Inc. (A)   1,236     40,417
SeaSpine Holdings Corp. (A)   924     11,236
Surgalign Holdings, Inc. (A)   4,931     1,501
Utah Medical Products, Inc.   289     25,970
Varex Imaging Corp. (A)   2,872     61,145
          4,635,071
Health care providers and services – 2.8%      
Acadia Healthcare Company, Inc. (A)   13,657     894,943
Addus HomeCare Corp. (A)   1,091     101,779
AlerisLife, Inc. (A)   2,100     4,515
Brookdale Senior Living, Inc. (A)   12,258     86,419
Castle Biosciences, Inc. (A)   8,548     383,463
Covetrus, Inc. (A)   5,905     99,145
Cross Country Healthcare, Inc. (A)   2,734     59,246
Encompass Health Corp.   160     11,378
HealthEquity, Inc. (A)   8,742     589,560
LHC Group, Inc. (A)   3,820     644,052
MEDNAX, Inc. (A)   5,689     133,578
National HealthCare Corp.   1,428     100,288
Owens & Minor, Inc.   3,760     165,515
Patterson Companies, Inc.   3,536     114,460
PetIQ, Inc. (A)   547     13,347
Premier, Inc., Class A   5,310     188,983
Select Medical Holdings Corp.   1,122     26,917
Star Equity Holdings, Inc. (A)   310     350
Universal Health Services, Inc., Class B   3,120     452,244
US Physical Therapy, Inc.   3,654     363,390
          4,433,572
Health care technology – 0.2%      
Allscripts Healthcare Solutions, Inc. (A)   10,106     227,587
Computer Programs & Systems, Inc. (A)   400     13,780
HealthStream, Inc. (A)   1,969     39,222
NextGen Healthcare, Inc. (A)   2,165     45,270
          325,859
Life sciences tools and services – 0.6%      
Harvard Bioscience, Inc. (A)   5,200     32,292
Medpace Holdings, Inc. (A)   3,213     525,615
Personalis, Inc. (A)   1,146     9,386
Syneos Health, Inc. (A)   5,711     462,305
          1,029,598
Pharmaceuticals – 1.5%      
Amphastar Pharmaceuticals, Inc. (A)   600     21,540
ANI Pharmaceuticals, Inc. (A)   800     22,488
Cara Therapeutics, Inc. (A)   2,825     34,324
Collegium Pharmaceutical, Inc. (A)   624     12,705
Cumberland Pharmaceuticals, Inc. (A)   956     2,696
Elanco Animal Health, Inc. (A)   5,783     150,878
Endo International PLC (A)   2,935     6,780
Innoviva, Inc. (A)   1,860     35,991
Intra-Cellular Therapies, Inc. (A)   9,397     575,002
Jazz Pharmaceuticals PLC (A)   1,243     193,498
Organon & Company   695     24,276
Perrigo Company PLC   5,833     224,162
Phathom Pharmaceuticals, Inc. (A)   24,846     338,154
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Prestige Consumer Healthcare, Inc. (A)   3,032   $ 160,514
Satsuma Pharmaceuticals, Inc. (A)   2,208     8,390
Supernus Pharmaceuticals, Inc. (A)   18,653     602,865
Taro Pharmaceutical Industries, Ltd. (A)   503     21,760
Viatris, Inc.   1,760     19,149
          2,455,172
          17,765,630
Industrials – 18.4%          
Aerospace and defense – 1.0%      
AAR Corp. (A)   3,093     149,794
AeroVironment, Inc. (A)   1,103     103,836
Astronics Corp. (A)   1,700     21,981
Curtiss-Wright Corp.   730     109,617
Ducommun, Inc. (A)   1,674     87,701
Kaman Corp.   1,770     76,960
Kratos Defense & Security Solutions, Inc. (A)   2,475     50,688
Maxar Technologies, Inc.   1,500     59,190
Mercury Systems, Inc. (A)   1,263     81,400
Moog, Inc., Class A   1,548     135,914
National Presto Industries, Inc.   244     18,776
Park Aerospace Corp.   2,083     27,183
Parsons Corp. (A)   721     27,903
SIFCO Industries, Inc. (A)   1,000     4,958
Vectrus, Inc. (A)   1,029     36,900
Woodward, Inc.   4,950     618,305
          1,611,106
Air freight and logistics – 0.4%      
Air Transport Services Group, Inc. (A)   4,530     151,529
Atlas Air Worldwide Holdings, Inc. (A)   2,473     213,593
Forward Air Corp.   625     61,113
Hub Group, Inc., Class A (A)   2,418     186,694
Radiant Logistics, Inc. (A)   1,875     11,944
          624,873
Airlines – 0.4%      
Allegiant Travel Company (A)   1,006     163,364
Copa Holdings SA, Class A (A)   905     75,694
Hawaiian Holdings, Inc. (A)   2,646     52,126
JetBlue Airways Corp. (A)   4,207     62,895
Mesa Air Group, Inc. (A)   1,399     6,156
SkyWest, Inc. (A)   3,644     105,129
Spirit Airlines, Inc. (A)   5,129     112,171
          577,535
Building products – 1.4%      
American Woodmark Corp. (A)   787     38,524
Apogee Enterprises, Inc.   2,405     114,141
Armstrong Flooring, Inc. (A)   1,831     2,618
Builders FirstSource, Inc. (A)   8,339     538,199
Carlisle Companies, Inc.   60     14,755
Cornerstone Building Brands, Inc. (A)   808     19,651
Gibraltar Industries, Inc. (A)   9,676     415,584
Griffon Corp.   2,832     56,725
Insteel Industries, Inc.   1,689     62,476
JELD-WEN Holding, Inc. (A)   9,650     195,702
Masonite International Corp. (A)   1,068     94,988
Owens Corning   1,092     99,918
PGT Innovations, Inc. (A)   1,494     26,862
Quanex Building Products Corp.   3,929     82,470
Resideo Technologies, Inc. (A)   5,191     123,702
UFP Industries, Inc.   3,823     294,983
          2,181,298
Commercial services and supplies – 1.4%      
ABM Industries, Inc.   5,148     237,014
 
  225  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Commercial services and supplies (continued)      
ACCO Brands Corp.   6,712   $ 53,696
Acme United Corp.   733     24,739
ADT, Inc.   13,007     98,723
Brady Corp., Class A   1,082     50,064
BrightView Holdings, Inc. (A)   3,879     52,793
CECO Environmental Corp. (A)   1,395     7,659
Civeo Corp. (A)   673     15,886
Clean Harbors, Inc. (A)   1,725     192,579
Deluxe Corp.   800     24,192
Ennis, Inc.   2,608     48,170
Harsco Corp. (A)   3,449     42,216
Heritage-Crystal Clean, Inc. (A)   1,877     55,578
HNI Corp.   1,502     55,649
Interface, Inc.   2,884     39,136
KAR Auction Services, Inc. (A)   3,101     55,973
Kimball International, Inc., Class B   1,715     14,492
Matthews International Corp., Class A   1,190     38,508
MillerKnoll, Inc.   1,960     67,738
NL Industries, Inc.   3,260     23,439
Ritchie Brothers Auctioneers, Inc.   13,856     817,920
Steelcase, Inc., Class A   4,596     54,922
Team, Inc. (A)   2,106     4,654
UniFirst Corp.   438     80,715
Viad Corp. (A)   528     18,818
Vidler Water Resouces, Inc. (A)   2,493     38,492
Virco Manufacturing Corp. (A)   1,200     3,588
VSE Corp.   1,368     63,051
          2,280,404
Construction and engineering – 1.7%      
API Group Corp. (A)   2,846     59,851
Arcosa, Inc.   4,310     246,748
Argan, Inc.   854     34,664
Comfort Systems USA, Inc.   400     35,604
Concrete Pumping Holdings, Inc. (A)   1,800     12,060
Construction Partners, Inc., Class A (A)   936     24,504
Dycom Industries, Inc. (A)   4,206     400,664
EMCOR Group, Inc.   1,174     132,228
Fluor Corp. (A)   3,410     97,833
Granite Construction, Inc.   3,746     122,869
Great Lakes Dredge & Dock Corp. (A)   6,888     96,639
IES Holdings, Inc. (A)   237     9,527
MasTec, Inc. (A)   3,659     318,699
Matrix Service Company (A)   2,731     22,449
MDU Resources Group, Inc.   10,901     290,512
MYR Group, Inc. (A)   1,465     137,769
Northwest Pipe Company (A)   1,306     33,238
NV5 Global, Inc. (A)   533     71,049
Orion Group Holdings, Inc. (A)   4,263     10,572
Primoris Services Corp.   3,474     82,751
Quanta Services, Inc.   537     70,675
Sterling Construction Company, Inc. (A)   2,528     67,750
Tutor Perini Corp. (A)   4,167     45,004
WillScot Mobile Mini Holdings Corp. (A)   7,715     301,888
          2,725,547
Electrical equipment – 1.2%      
Acuity Brands, Inc.   150     28,395
Allied Motion Technologies, Inc.   300     8,952
American Superconductor Corp. (A)   1,655     12,595
Atkore, Inc. (A)   7,618     749,916
AZZ, Inc.   1,376     66,378
Encore Wire Corp.   1,949     222,322
EnerSys   1,533     114,316
LSI Industries, Inc.   4,131     24,786
nVent Electric PLC   3,155     109,731
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electrical equipment (continued)      
Powell Industries, Inc.   1,244   $ 24,158
Preformed Line Products Company   802     50,863
Regal Rexnord Corp.   1,743     259,324
Sensata Technologies Holding PLC (A)   3,072     156,211
Sunrun, Inc. (A)   2,009     61,013
Thermon Group Holdings, Inc. (A)   2,154     34,895
Ultralife Corp. (A)   1,984     10,654
          1,934,509
Machinery – 4.2%      
AGCO Corp.   1,707     249,273
Alamo Group, Inc.   5,050     726,140
Albany International Corp., Class A   1,875     158,100
Altra Industrial Motion Corp.   3,362     130,883
Astec Industries, Inc.   2,415     103,845
Barnes Group, Inc.   3,344     134,395
Chart Industries, Inc. (A)   346     59,432
CIRCOR International, Inc. (A)   1,614     42,965
Colfax Corp. (A)   7,506     298,664
Columbus McKinnon Corp.   2,178     92,347
Crane Company   682     73,847
Enerpac Tool Group Corp.   1,238     27,100
EnPro Industries, Inc.   503     49,158
ESCO Technologies, Inc.   1,885     131,799
Federal Signal Corp.   3,670     123,863
Flowserve Corp.   699     25,094
Gates Industrial Corp. PLC (A)   8,586     129,305
Gencor Industries, Inc. (A)   2,100     21,588
Graham Corp.   333     2,567
Helios Technologies, Inc.   7,580     608,295
Hillenbrand, Inc.   1,385     61,175
Hurco Companies, Inc.   1,054     33,222
Hyster-Yale Materials Handling, Inc.   815     27,066
Kennametal, Inc.   1,573     45,004
LB Foster Company, Class A (A)   1,699     26,114
Mayville Engineering Company, Inc. (A)   1,096     10,270
Meritor, Inc. (A)   2,572     91,486
Miller Industries, Inc.   1,434     40,381
Mueller Industries, Inc.   2,004     108,557
Mueller Water Products, Inc., Class A   3,140     40,569
NN, Inc. (A)   2,376     6,843
Oshkosh Corp.   1,476     148,559
Park-Ohio Holdings Corp.   749     10,538
Perma-Pipe International Holdings, Inc. (A)   1,100     10,373
Proto Labs, Inc. (A)   419     22,165
RBC Bearings, Inc. (A)   3,660     709,601
REV Group, Inc.   2,206     29,560
Snap-on, Inc.   769     158,014
SPX FLOW, Inc.   1,326     114,328
Standex International Corp.   200     19,984
Tennant Company   494     38,927
Terex Corp.   1,393     49,674
The Eastern Company   1,471     34,260
The Gorman-Rupp Company   1,454     52,170
The Greenbrier Companies, Inc.   2,830     145,773
The LS Starrett Company, Class A (A)   1,530     11,766
The Manitowoc Company, Inc. (A)   2,421     36,509
The Shyft Group, Inc.   25,982     938,210
The Timken Company   2,179     132,265
Titan International, Inc. (A)   3,936     57,977
Trinity Industries, Inc.   8,957     307,763
Twin Disc, Inc. (A)   1,650     27,456
 
  226  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Wabash National Corp.   1,980   $ 29,383
          6,764,602
Marine – 0.4%      
Costamare, Inc.   3,754     64,006
Eagle Bulk Shipping, Inc.   393     26,767
Eneti, Inc.   1,112     7,061
Genco Shipping & Trading, Ltd.   3,003     70,931
Kirby Corp. (A)   2,166     156,364
Matson, Inc.   2,868     345,938
          671,067
Professional services – 2.5%      
Acacia Research Corp. (A)   2,172     9,796
ASGN, Inc. (A)   1,021     119,161
Barrett Business Services, Inc.   200     15,494
BGSF, Inc.   800     10,536
CACI International, Inc., Class A (A)   2,499     752,849
CBIZ, Inc. (A)   4,080     171,238
CRA International, Inc.   722     60,836
Exponent, Inc.   7,292     787,901
Forrester Research, Inc. (A)   8,279     467,101
FTI Consulting, Inc. (A)   616     96,848
Heidrick & Struggles International, Inc.   1,672     66,178
Hill International, Inc. (A)   3,275     5,338
Huron Consulting Group, Inc. (A)   1,411     64,638
ICF International, Inc.   1,429     134,526
Kelly Services, Inc., Class A   4,330     93,918
Korn Ferry   3,492     226,770
ManpowerGroup, Inc.   1,187     111,483
ManTech International Corp., Class A   1,905     164,192
Mistras Group, Inc. (A)   2,232     14,754
Nielsen Holdings PLC   9,392     255,838
RCM Technologies, Inc. (A)   300     2,958
Resources Connection, Inc.   4,120     70,617
Science Applications International Corp.   1,299     119,729
TrueBlue, Inc. (A)   2,519     72,774
Willdan Group, Inc. (A)   400     12,276
          3,907,749
Road and rail – 1.3%      
AMERCO   1,099     656,037
ArcBest Corp.   1,977     159,149
Covenant Logistics Group, Inc.   1,513     32,575
Heartland Express, Inc.   4,107     57,785
Knight-Swift Transportation Holdings, Inc.   8,121     409,786
Marten Transport, Ltd.   6,368     113,096
P.A.M. Transportation Services, Inc. (A)   2,700     93,825
Patriot Transportation Holding, Inc.   450     3,591
Ryder System, Inc.   3,393     269,167
Schneider National, Inc., Class B   2,987     76,169
U.S. Xpress Enterprises, Inc., Class A (A)   2,111     8,191
Universal Logistics Holdings, Inc.   600     12,090
USA Truck, Inc. (A)   1,375     28,325
Werner Enterprises, Inc.   4,155     170,355
          2,090,141
Trading companies and distributors – 2.5%      
Air Lease Corp.   8,638     385,687
Alta Equipment Group, Inc. (A)   1,696     20,963
Applied Industrial Technologies, Inc.   731     75,044
Beacon Roofing Supply, Inc. (A)   3,781     224,138
Boise Cascade Company   2,003     139,148
DXP Enterprises, Inc. (A)   1,367     37,032
GATX Corp.   2,663     328,428
GMS, Inc. (A)   1,138     56,638
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Trading companies and distributors (continued)      
Lawson Products, Inc. (A)   591   $ 22,777
McGrath RentCorp   1,800     152,964
MRC Global, Inc. (A)   2,745     32,693
NOW, Inc. (A)   7,656     84,446
Rush Enterprises, Inc., Class A   2,831     144,126
Rush Enterprises, Inc., Class B   1,117     54,007
SiteOne Landscape Supply, Inc. (A)   5,968     964,966
Textainer Group Holdings, Ltd.   2,844     108,271
Titan Machinery, Inc. (A)   2,366     66,863
Triton International, Ltd.   4,778     335,320
Univar Solutions, Inc. (A)   3,996     128,431
Veritiv Corp. (A)   1,408     188,095
WESCO International, Inc. (A)   2,696     350,857
Willis Lease Finance Corp. (A)   406     13,069
          3,913,963
          29,282,794
Information technology – 12.9%          
Communications equipment – 1.2%      
ADTRAN, Inc.   4,669     86,143
Aviat Networks, Inc. (A)   829     25,508
BK Technologies Corp.   2,100     5,355
Comtech Telecommunications Corp.   2,706     42,457
Digi International, Inc. (A)   3,371     72,544
Genasys, Inc. (A)   3,300     9,075
Harmonic, Inc. (A)   4,356     40,467
Juniper Networks, Inc.   11,858     440,643
NETGEAR, Inc. (A)   2,513     62,021
NetScout Systems, Inc. (A)   4,585     147,087
Optical Cable Corp. (A)   931     3,947
Pineapple Holdings, Inc.   450     2,813
Ribbon Communications, Inc. (A)   8,541     26,392
TESSCO Technologies, Inc. (A)   1,750     10,570
Viasat, Inc. (A)   2,775     135,420
Viavi Solutions, Inc. (A)   47,587     765,199
          1,875,641
Electronic equipment, instruments and components – 3.5%      
ADDvantage Technologies Group, Inc. (A)   428     595
Advanced Energy Industries, Inc.   769     66,196
Arrow Electronics, Inc. (A)   6,456     765,875
Avnet, Inc.   9,371     380,369
Bel Fuse, Inc., Class B   1,641     29,275
Belden, Inc.   1,952     108,141
Benchmark Electronics, Inc.   3,813     95,478
CTS Corp.   2,910     102,839
Daktronics, Inc. (A)   3,929     15,087
ePlus, Inc. (A)   1,596     89,472
Fabrinet (A)   2,485     261,248
FARO Technologies, Inc. (A)   295     15,316
Flex, Ltd. (A)   22,654     420,232
Frequency Electronics, Inc. (A)   1,783     15,512
II-VI, Inc. (A)   192     13,918
Insight Enterprises, Inc. (A)   2,190     235,031
Itron, Inc. (A)   895     47,149
Jabil, Inc.   2,426     149,757
Key Tronic Corp. (A)   1,900     10,735
Kimball Electronics, Inc. (A)   3,036     60,690
Knowles Corp. (A)   5,768     124,185
Methode Electronics, Inc.   1,701     73,568
Novanta, Inc. (A)   6,059     862,135
OSI Systems, Inc. (A)   880     74,906
PC Connection, Inc.   2,391     125,264
Plexus Corp. (A)   2,005     164,029
RF Industries, Ltd. (A)   120     865
 
  227  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electronic equipment, instruments and
components (continued)
     
Richardson Electronics, Ltd.   2,384   $ 29,657
Rogers Corp. (A)   1,055     286,644
Sanmina Corp. (A)   4,939     199,634
ScanSource, Inc. (A)   2,542     88,436
TD SYNNEX Corp.   2,778     286,717
TTM Technologies, Inc. (A)   8,193     121,420
Vishay Intertechnology, Inc.   9,510     186,396
Vishay Precision Group, Inc. (A)   1,686     54,205
          5,560,976
IT services – 1.1%      
Alliance Data Systems Corp.   2,273     127,629
BM Technologies, Inc. (A)   367     3,138
Concentrix Corp.   2,778     462,704
Conduent, Inc. (A)   9,516     49,103
CSG Systems International, Inc.   535     34,010
DXC Technology Company (A)   10,684     348,619
Information Services Group, Inc.   4,400     29,964
Maximus, Inc.   710     53,215
SolarWinds Corp.   430     5,723
Thoughtworks Holding, Inc. (A)   30,000     624,300
          1,738,405
Semiconductors and semiconductor equipment – 3.9%      
Alpha & Omega Semiconductor, Ltd. (A)   2,746     150,069
Amkor Technology, Inc.   18,705     406,273
Amtech Systems, Inc. (A)   2,404     24,184
Axcelis Technologies, Inc. (A)   3,360     253,781
AXT, Inc. (A)   4,229     29,688
Azenta, Inc.   9,805     812,638
CEVA, Inc. (A)   413     16,788
CMC Materials, Inc.   2,297     425,864
Cohu, Inc. (A)   3,140     92,944
Diodes, Inc. (A)   2,216     192,770
First Solar, Inc. (A)   4,689     392,657
FormFactor, Inc. (A)   1,299     54,597
Ichor Holdings, Ltd. (A)   526     18,736
Kulicke & Soffa Industries, Inc.   4,804     269,120
MACOM Technology Solutions Holdings, Inc. (A)   13,841     828,661
Magnachip Semiconductor Corp. (A)   799     13,511
NeoPhotonics Corp. (A)   3,808     57,920
Onto Innovation, Inc. (A)   1,461     126,946
PDF Solutions, Inc. (A)   2,193     61,119
Photronics, Inc. (A)   5,882     99,818
Power Integrations, Inc.   9,114     844,686
Rambus, Inc. (A)   3,601     114,836
Silicon Laboratories, Inc. (A)   4,574     687,015
Ultra Clean Holdings, Inc. (A)   2,274     96,395
Veeco Instruments, Inc. (A)   2,996     81,461
          6,152,477
Software – 3.0%      
ACI Worldwide, Inc. (A)   3,209     101,051
Asure Software, Inc. (A)   1,391     8,276
Aware, Inc. (A)   2,160     6,480
Bottomline Technologies DE, Inc. (A)   5,291     299,894
Cerence, Inc. (A)   11,425     412,443
Cognyte Software, Ltd. (A)   402     4,547
Consensus Cloud Solutions, Inc. (A)   218     13,108
Ebix, Inc.   954     31,625
InterDigital, Inc.   1,490     95,062
N-able, Inc. (A)   430     3,913
OneSpan, Inc. (A)   1,048     15,133
Paycor HCM, Inc. (A)   25,644     746,497
Paylocity Holding Corp. (A)   4,948     1,018,150
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
Ping Identity Holding Corp. (A)   630   $ 17,281
Rapid7, Inc. (A)   11,728     1,304,616
The Descartes Systems Group, Inc. (A)   8,868     649,670
Upland Software, Inc. (A)   280     4,931
Verint Systems, Inc. (A)   1,067     55,164
Xperi Holding Corp.   4,859     84,158
          4,871,999
Technology hardware, storage and peripherals – 0.2%      
3D Systems Corp. (A)   626     10,442
AstroNova, Inc. (A)   1,439     21,830
Stratasys, Ltd. (A)   2,906     73,783
Super Micro Computer, Inc. (A)   3,994     152,052
Xerox Holdings Corp.   7,509     151,457
          409,564
          20,609,062
Materials – 7.7%          
Chemicals – 3.6%      
AdvanSix, Inc.   1,392     71,117
American Vanguard Corp.   2,118     43,038
Ashland Global Holdings, Inc.   2,740     269,643
Avient Corp.   15,825     759,600
Balchem Corp.   4,370     597,379
Cabot Corp.   1,625     111,166
Core Molding Technologies, Inc. (A)   1,000     10,760
Ecovyst, Inc.   5,263     60,840
Element Solutions, Inc.   7,601     166,462
Ferro Corp. (A)   2,899     63,024
Flotek Industries, Inc. (A)   1,771     2,231
FutureFuel Corp.   4,276     41,605
GCP Applied Technologies, Inc. (A)   599     18,821
Hawkins, Inc.   1,460     67,014
HB Fuller Company   3,615     238,843
Huntsman Corp.   15,185     569,589
Innospec, Inc.   1,794     166,035
Intrepid Potash, Inc. (A)   504     41,399
Koppers Holdings, Inc.   1,200     33,024
Kronos Worldwide, Inc.   2,697     41,857
Minerals Technologies, Inc.   2,102     139,047
Olin Corp.   5,264     275,202
Quaker Chemical Corp.   1,802     311,404
Rayonier Advanced Materials, Inc. (A)   4,555     29,926
Sensient Technologies Corp.   949     79,669
Stepan Company   1,433     141,595
The Mosaic Company   8,814     586,131
Trecora Resources (A)   2,774     23,468
Tredegar Corp.   1,654     19,831
Trinseo PLC   940     45,045
Tronox Holdings PLC, Class A   6,689     132,375
Venator Materials PLC (A)   2,700     4,806
Westlake Corp.   4,606     568,380
          5,730,326
Construction materials – 0.2%      
Summit Materials, Inc., Class A (A)   4,565     141,789
United States Lime & Minerals, Inc.   686     79,603
          221,392
Containers and packaging – 0.8%      
Berry Global Group, Inc. (A)   5,783     335,183
Graphic Packaging Holding Company   10,944     219,318
Greif, Inc., Class A   1,410     91,735
Greif, Inc., Class B   698     44,504
Ranpak Holdings Corp. (A)   1,842     37,632
Silgan Holdings, Inc.   1,982     91,628
Sonoco Products Company   3,466     216,833
 
  228  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Containers and packaging (continued)      
TriMas Corp.   1,856   $ 59,559
UFP Technologies, Inc. (A)   300     19,851
Westrock Company   3,785     178,009
          1,294,252
Metals and mining – 2.9%      
Alcoa Corp.   11,256     1,013,378
Allegheny Technologies, Inc. (A)   1,085     29,121
Ampco-Pittsburgh Corp. (A)   1,644     10,374
Arconic Corp. (A)   5,780     148,084
Carpenter Technology Corp.   3,575     150,079
Century Aluminum Company (A)   2,804     73,773
Cleveland-Cliffs, Inc. (A)   2,139     68,897
Coeur Mining, Inc. (A)   10,562     47,001
Commercial Metals Company   5,907     245,849
Friedman Industries, Inc.   1,511     13,312
Gold Resource Corp.   6,900     15,456
Haynes International, Inc.   458     19,511
Hecla Mining Company   26,017     170,932
Materion Corp.   1,721     147,559
Nexa Resources SA   900     8,406
Olympic Steel, Inc.   1,438     55,305
Reliance Steel & Aluminum Company   3,854     706,631
Schnitzer Steel Industries, Inc., Class A   3,077     159,819
Steel Dynamics, Inc.   9,307     776,483
SunCoke Energy, Inc.   6,433     57,318
Synalloy Corp. (A)   2,209     35,454
TimkenSteel Corp. (A)   2,689     58,835
U.S. Steel Corp.   8,605     324,753
Universal Stainless & Alloy Products, Inc. (A)   1,562     13,558
Warrior Met Coal, Inc.   3,785     140,461
Worthington Industries, Inc.   2,387     122,716
          4,613,065
Paper and forest products – 0.2%      
Clearwater Paper Corp. (A)   1,597     44,764
Glatfelter Corp.   4,610     57,072
Mercer International, Inc.   7,458     104,039
Neenah, Inc.   193     7,654
Resolute Forest Products, Inc.   7,541     97,354
Schweitzer-Mauduit International, Inc.   1,971     54,203
          365,086
          12,224,121
Real estate – 1.5%          
Equity real estate investment trusts – 0.8%      
Ryman Hospitality Properties, Inc. (A)   5,939     550,961
STAG Industrial, Inc.   16,342     675,742
          1,226,703
Real estate management and development – 0.7%      
Cushman & Wakefield PLC (A)   4,365     89,526
Five Point Holdings LLC, Class A (A)   2,659     16,246
Forestar Group, Inc. (A)   2,613     46,407
FRP Holdings, Inc. (A)   931     53,812
Jones Lang LaSalle, Inc. (A)   1,775     425,042
Kennedy-Wilson Holdings, Inc.   2,361     57,585
Marcus & Millichap, Inc.   1,253     66,008
Rafael Holdings, Inc., Class B (A)   500     1,255
RE/MAX Holdings, Inc., Class A   799     22,156
Realogy Holdings Corp. (A)   9,125     143,080
Stratus Properties, Inc. (A)   1,025     44,157
Tejon Ranch Company (A)   1,709     31,206
The Howard Hughes Corp. (A)   1,787     185,151
          1,181,631
          2,408,334
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Utilities – 0.7%          
Electric utilities – 0.1%      
NRG Energy, Inc.   2,766   $ 106,104
Gas utilities – 0.1%      
Macquarie Infrastructure Holdings LLC   4,124     15,383
New Jersey Resources Corp.   4,232     194,080
          209,463
Independent power and renewable electricity producers –
0.5%
     
Brookfield Renewable Corp., Class A   1,875     82,125
Ormat Technologies, Inc.   2,212     181,008
Vistra Corp.   20,677     480,740
          743,873
          1,059,440
TOTAL COMMON STOCKS (Cost $121,179,836)   $ 157,953,435
PREFERRED SECURITIES – 0.0%          
Industrials – 0.0%          
Trading companies and distributors – 0.0%      
WESCO International, Inc. (10.625% to 6-22-25, then 5 Year CMT + 10.325%)   1,507     44,351
TOTAL PREFERRED SECURITIES (Cost $37,663)   $ 44,351
SHORT-TERM INVESTMENTS – 0.9%      
Short-term funds – 0.9%          
John Hancock Collateral Trust, 0.3592% (D)(E)   50,272     502,661
State Street Institutional Treasury Money Market Fund, Premier Class, 0.1740% (D)   920,536     920,536
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (D)   17     17
TOTAL SHORT-TERM INVESTMENTS (Cost $1,423,189)   $ 1,423,214
Total Investments (Small Cap Opportunities Trust)
(Cost $122,640,688) – 100.1%
  $ 159,421,000
Other assets and liabilities, net – (0.1%)     (175,084)
TOTAL NET ASSETS – 100.0%   $ 159,245,916
Security Abbreviations and Legend
ADR American Depositary Receipt
CMT Constant Maturity Treasury
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $611,290. In addition to the cash collateral invested in John Hancock Collateral Trust, if any, non-cash collateral of $127,533 in the form of U.S. Treasuries was pledged to the fund.
(C) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(D) The rate shown is the annualized seven-day yield as of 3-31-22.
(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.
 
  229  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Stock Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 95.7%      
Communication services – 4.6%          
Interactive media and services – 3.2%      
CarGurus, Inc. (A)   161,586   $ 6,860,942
Ziff Davis, Inc. (A)   39,625     3,834,908
          10,695,850
Media – 1.4%      
Cardlytics, Inc. (A)   44,895     2,468,327
Criteo SA, ADR (A)   82,748     2,254,056
          4,722,383
          15,418,233
Consumer discretionary – 11.5%          
Diversified consumer services – 1.8%      
Chegg, Inc. (A)   85,892     3,116,162
Mister Car Wash, Inc. (A)   202,019     2,987,861
          6,104,023
Hotels, restaurants and leisure – 2.4%      
Boyd Gaming Corp.   55,432     3,646,317
Planet Fitness, Inc., Class A (A)   23,520     1,986,970
Wingstop, Inc.   20,435     2,398,047
          8,031,334
Household durables – 1.7%      
Cavco Industries, Inc. (A)   3,240     780,354
Skyline Champion Corp. (A)   91,619     5,028,051
          5,808,405
Internet and direct marketing retail – 2.8%      
Revolve Group, Inc. (A)   93,203     5,004,069
Shutterstock, Inc.   46,031     4,284,565
          9,288,634
Specialty retail – 2.0%      
Floor & Decor Holdings, Inc., Class A (A)   22,612     1,831,572
National Vision Holdings, Inc. (A)   111,178     4,844,025
          6,675,597
Textiles, apparel and luxury goods – 0.8%      
Crocs, Inc. (A)   35,796     2,734,814
          38,642,807
Consumer staples – 1.8%          
Food products – 0.8%      
Freshpet, Inc. (A)   27,489     2,821,471
Personal products – 1.0%      
elf Beauty, Inc. (A)   129,231     3,338,037
          6,159,508
Energy – 4.3%          
Energy equipment and services – 1.2%      
Cactus, Inc., Class A   69,478     3,942,182
Oil, gas and consumable fuels – 3.1%      
Chesapeake Energy Corp.   77,835     6,771,645
Magnolia Oil & Gas Corp., Class A   161,996     3,831,205
          10,602,850
          14,545,032
Financials – 4.1%          
Banks – 3.2%      
Ameris Bancorp   89,272     3,917,255
Synovus Financial Corp.   77,102     3,777,998
Small Cap Stock Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Western Alliance Bancorp   39,182   $ 3,245,053
          10,940,306
Mortgage real estate investment trusts – 0.9%      
Hannon Armstrong Sustainable Infrastructure Capital, Inc.   62,857     2,981,308
          13,921,614
Health care – 22.3%          
Biotechnology – 7.6%      
Amicus Therapeutics, Inc. (A)   150,819     1,428,256
Apellis Pharmaceuticals, Inc. (A)   30,865     1,568,251
Ascendis Pharma A/S, ADR (A)   17,409     2,043,120
BioAtla, Inc. (A)   24,698     123,490
Blueprint Medicines Corp. (A)   30,787     1,966,674
Celldex Therapeutics, Inc. (A)   55,220     1,880,793
Crinetics Pharmaceuticals, Inc. (A)   30,404     667,368
Fate Therapeutics, Inc. (A)   30,322     1,175,584
ImmunoGen, Inc. (A)   190,522     906,885
Intellia Therapeutics, Inc. (A)   29,891     2,172,179
Karuna Therapeutics, Inc. (A)   15,494     1,964,484
Kodiak Sciences, Inc. (A)   13,536     104,498
Kymera Therapeutics, Inc. (A)   36,920     1,562,454
Madrigal Pharmaceuticals, Inc. (A)   14,533     1,425,978
Myovant Sciences, Ltd. (A)(B)   81,671     1,087,858
PTC Therapeutics, Inc. (A)   33,840     1,262,570
RAPT Therapeutics, Inc. (A)   30,076     661,371
REVOLUTION Medicines, Inc. (A)   49,053     1,251,342
Rocket Pharmaceuticals, Inc. (A)   42,315     671,116
Turning Point Therapeutics, Inc. (A)   29,875     802,144
Veracyte, Inc. (A)   36,520     1,006,856
          25,733,271
Health care equipment and supplies – 4.4%      
Globus Medical, Inc., Class A (A)   48,911     3,608,654
Inari Medical, Inc. (A)   40,200     3,643,728
Integra LifeSciences Holdings Corp. (A)   67,579     4,342,627
Tandem Diabetes Care, Inc. (A)   26,889     3,126,922
          14,721,931
Health care providers and services – 4.7%      
Cross Country Healthcare, Inc. (A)   118,876     2,576,043
LHC Group, Inc. (A)   28,597     4,821,454
Owens & Minor, Inc.   54,098     2,381,394
R1 RCM, Inc. (A)   229,098     6,130,662
          15,909,553
Health care technology – 3.4%      
Health Catalyst, Inc. (A)   77,215     2,017,628
Inspire Medical Systems, Inc. (A)   27,648     7,096,965
Omnicell, Inc. (A)   18,583     2,406,313
          11,520,906
Life sciences tools and services – 0.7%      
NanoString Technologies, Inc. (A)   39,366     1,367,969
NeoGenomics, Inc. (A)   78,398     952,536
          2,320,505
Pharmaceuticals – 1.5%      
Aclaris Therapeutics, Inc. (A)   97,669     1,683,814
Intra-Cellular Therapies, Inc. (A)   28,507     1,744,343
Pacira BioSciences, Inc. (A)   21,424     1,635,080
          5,063,237
          75,269,403
 
  230  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Stock Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Industrials – 15.6%          
Aerospace and defense – 1.5%      
Curtiss-Wright Corp.   33,622   $ 5,048,680
Building products – 0.9%      
Zurn Water Solutions Corp.   79,861     2,827,079
Construction and engineering – 1.6%      
Fluor Corp. (A)   190,765     5,473,048
Electrical equipment – 1.3%      
Acuity Brands, Inc.   23,790     4,503,447
Machinery – 5.3%      
Colfax Corp. (A)   127,915     5,089,738
Helios Technologies, Inc.   43,879     3,521,290
Kornit Digital, Ltd. (A)   46,335     3,831,441
The Middleby Corp. (A)   31,825     5,217,391
          17,659,860
Professional services – 1.4%      
TriNet Group, Inc. (A)   47,068     4,629,608
Trading companies and distributors – 3.6%      
Applied Industrial Technologies, Inc.   81,527     8,369,560
WESCO International, Inc. (A)   29,820     3,880,775
          12,250,335
          52,392,057
Information technology – 24.4%          
Communications equipment – 1.5%      
Calix, Inc. (A)   121,264     5,203,438
Electronic equipment, instruments and components – 3.0%      
II-VI, Inc. (A)   89,453     6,484,448
Novanta, Inc. (A)   24,729     3,518,689
          10,003,137
IT services – 5.8%      
Concentrix Corp.   25,578     4,260,272
LiveRamp Holdings, Inc. (A)   73,441     2,745,959
Perficient, Inc. (A)   44,221     4,868,290
Repay Holdings Corp. (A)   153,711     2,270,311
Verra Mobility Corp. (A)   333,414     5,427,980
          19,572,812
Semiconductors and semiconductor equipment – 3.9%      
Ambarella, Inc. (A)   18,184     1,907,865
MKS Instruments, Inc.   19,063     2,859,450
Synaptics, Inc. (A)   41,293     8,237,954
          13,005,269
Software – 10.2%      
Digital Turbine, Inc. (A)   97,658     4,278,397
Five9, Inc. (A)   39,440     4,354,176
Jamf Holding Corp. (A)   185,476     6,456,420
Manhattan Associates, Inc. (A)   21,353     2,961,875
New Relic, Inc. (A)   48,763     3,261,269
Olo, Inc., Class A (A)   49,200     651,900
Rapid7, Inc. (A)   60,825     6,766,173
Varonis Systems, Inc. (A)   116,020     5,515,591
          34,245,801
          82,030,457
Materials – 1.6%          
Chemicals – 1.6%      
Cabot Corp.   79,685     5,451,251
Real estate – 5.5%          
Equity real estate investment trusts – 5.5%      
Essential Properties Realty Trust, Inc.   126,363     3,196,984
Independence Realty Trust, Inc.   164,180     4,340,919
Pebblebrook Hotel Trust   156,302     3,826,273
Phillips Edison & Company, Inc.   83,829     2,882,879
Small Cap Stock Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
Ryman Hospitality Properties, Inc. (A)   44,794   $ 4,155,539
          18,402,594
TOTAL COMMON STOCKS (Cost $323,601,492)   $ 322,232,956
SHORT-TERM INVESTMENTS – 4.5%      
Short-term funds – 0.3%          
John Hancock Collateral Trust, 0.3592% (C)(D)   111,623     1,116,092
Repurchase agreement – 4.2%          
Societe Generale SA Tri-Party Repurchase Agreement dated 3-31-22 at 0.295% to be repurchased at $14,100,116 on 4-1-22, collateralized by $2,258,320 Federal Home Loan Mortgage Corp., 2.007% - 2.500% due 1-1-35 to 12-1-50 (valued at $2,356,688), $4,081,190 Federal National Mortgage Association, 2.000% - 5.500% due 9-1-32 to 2-1-52 (valued at $3,958,056), $744 Government National Mortgage Association, 4.000% - 8.000% due 4-15-31 to 11-20-44 (valued at $796), $1,359,800 U.S. Treasury Bonds, 4.500% due 5-15-38 (valued at $1,759,521) and $6,786,300 U.S. Treasury Notes, 0.250% - 1.875% due 9-15-22 to 7-31-26 (valued at $6,306,989) $ 14,100,000     14,100,000
TOTAL SHORT-TERM INVESTMENTS (Cost $15,216,018)   $ 15,216,092
Total Investments (Small Cap Stock Trust)
(Cost $338,817,510) – 100.2%
  $ 337,449,048
Other assets and liabilities, net – (0.2%)     (671,245)
TOTAL NET ASSETS – 100.0%   $ 336,777,803
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 3-31-22. The value of securities on loan amounted to $1,096,380.
(C) The rate shown is the annualized seven-day yield as of 3-31-22.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Small Cap Value Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 97.9%      
Communication services – 1.2%          
Media – 1.2%      
WideOpenWest, Inc. (A)   342,653   $ 5,975,868
Consumer discretionary – 7.4%          
Auto components – 1.7%      
Gentherm, Inc. (A)   16,805     1,227,437
Visteon Corp. (A)   71,644     7,818,510
          9,045,947
Hotels, restaurants and leisure – 0.9%      
Aramark   25,999     977,562
 
  231  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Wyndham Hotels & Resorts, Inc.   43,513   $ 3,685,116
          4,662,678
Household durables – 1.5%      
Century Communities, Inc.   40,165     2,151,639
Tri Pointe Homes, Inc. (A)   273,173     5,485,314
          7,636,953
Internet and direct marketing retail – 1.0%      
Shutterstock, Inc.   57,890     5,388,401
Specialty retail – 1.0%      
Monro, Inc.   122,891     5,448,987
Textiles, apparel and luxury goods – 1.3%      
Deckers Outdoor Corp. (A)   1,006     275,413
Kontoor Brands, Inc.   156,632     6,476,733
          6,752,146
          38,935,112
Consumer staples – 3.9%          
Beverages – 0.7%      
C&C Group PLC (A)   1,463,540     3,756,605
Food products – 1.1%      
Cranswick PLC   122,481     5,653,537
Post Holdings, Inc. (A)   4,950     342,837
          5,996,374
Household products – 2.1%      
Spectrum Brands Holdings, Inc.   122,050     10,828,276
          20,581,255
Energy – 1.3%          
Oil, gas and consumable fuels – 1.3%      
Brigham Minerals, Inc., Class A   37,800     965,790
Dorian LPG, Ltd.   399,258     5,785,248
          6,751,038
Financials – 24.4%          
Banks – 16.4%      
1st Source Corp.   100,576     4,651,640
Atlantic Union Bankshares Corp.   196,314     7,202,761
Banc of California, Inc.   478,438     9,262,560
Cadence Bank   190,020     5,559,985
Eastern Bankshares, Inc.   236,698     5,098,475
First Busey Corp.   235,372     5,964,326
First Citizens BancShares, Inc., Class A   848     564,429
First Interstate BancSystem, Inc., Class A   199,279     7,327,489
Flushing Financial Corp.   295,784     6,610,772
Hancock Whitney Corp.   170,239     8,877,964
International Bancshares Corp.   191,447     8,080,978
Old National Bancorp   456,183     7,472,278
Synovus Financial Corp.   175,019     8,575,931
Webster Financial Corp.   11,043     619,733
          85,869,321
Capital markets – 0.4%      
SLR Investment Corp.   105,707     1,916,468
Insurance – 6.7%      
Alleghany Corp. (A)   1,350     1,143,450
Assured Guaranty, Ltd.   107,279     6,829,381
Kemper Corp.   138,046     7,805,121
ProAssurance Corp.   222,457     5,979,644
Reinsurance Group of America, Inc.   4,870     533,070
SiriusPoint, Ltd. (A)   550,981     4,121,338
Small Cap Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
White Mountains Insurance Group, Ltd.   7,620   $ 8,658,149
          35,070,153
Thrifts and mortgage finance – 0.9%      
NMI Holdings, Inc., Class A (A)   241,922     4,988,432
          127,844,374
Health care – 7.6%          
Health care equipment and supplies – 3.6%      
Haemonetics Corp. (A)   193,606     12,239,774
ICU Medical, Inc. (A)   19,060     4,243,518
Lantheus Holdings, Inc. (A)   46,387     2,565,665
          19,048,957
Health care providers and services – 3.5%      
LHC Group, Inc. (A)   23,679     3,992,279
MEDNAX, Inc. (A)   241,946     5,680,892
Owens & Minor, Inc.   195,804     8,619,292
          18,292,463
Health care technology – 0.4%      
Allscripts Healthcare Solutions, Inc. (A)   92,780     2,089,406
Life sciences tools and services – 0.1%      
Syneos Health, Inc. (A)   7,059     571,426
          40,002,252
Industrials – 21.0%          
Aerospace and defense – 1.2%      
Hexcel Corp.   105,031     6,246,194
Building products – 2.3%      
American Woodmark Corp. (A)   91,979     4,502,372
Tyman PLC   1,878,052     7,800,210
          12,302,582
Commercial services and supplies – 4.5%      
ACCO Brands Corp.   722,382     5,779,056
BrightView Holdings, Inc. (A)   340,611     4,635,716
Clean Harbors, Inc. (A)   6,236     696,187
SP Plus Corp. (A)   222,332     6,972,332
UniFirst Corp.   29,390     5,415,989
          23,499,280
Construction and engineering – 1.0%      
Primoris Services Corp.   210,405     5,011,847
Electrical equipment – 0.9%      
Thermon Group Holdings, Inc. (A)   284,585     4,610,277
Machinery – 1.7%      
John Bean Technologies Corp.   29,144     3,452,690
Luxfer Holdings PLC   330,449     5,551,543
          9,004,233
Professional services – 6.6%      
CBIZ, Inc. (A)   124,069     5,207,176
Huron Consulting Group, Inc. (A)   181,698     8,323,585
ICF International, Inc.   73,988     6,965,230
Science Applications International Corp.   93,612     8,628,218
Sterling Check Corp. (A)(B)   213,656     5,646,928
          34,771,137
Trading companies and distributors – 2.8%      
Air Lease Corp.   170,077     7,593,938
GATX Corp.   56,079     6,916,223
          14,510,161
          109,955,711
Information technology – 9.1%          
Electronic equipment, instruments and components – 3.0%      
Belden, Inc.   130,822     7,247,539
CTS Corp.   214,592     7,583,681
 
  232  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Cap Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electronic equipment, instruments and
components (continued)
     
ePlus, Inc. (A)   19,482   $ 1,092,161
          15,923,381
IT services – 1.9%      
Concentrix Corp.   2,787     464,203
ExlService Holdings, Inc. (A)   24,933     3,572,151
WNS Holdings, Ltd., ADR (A)   69,677     5,956,687
          9,993,041
Software – 4.2%      
ACI Worldwide, Inc. (A)   151,080     4,757,509
CDK Global, Inc.   198,240     9,650,323
Progress Software Corp.   159,714     7,520,932
          21,928,764
          47,845,186
Materials – 8.2%          
Chemicals – 4.6%      
Axalta Coating Systems, Ltd. (A)   134,490     3,305,764
Element Solutions, Inc.   454,231     9,947,659
HB Fuller Company   71,004     4,691,234
Orion Engineered Carbons SA   376,704     6,015,963
          23,960,620
Containers and packaging – 2.3%      
Sealed Air Corp.   17,488     1,170,996
TriMas Corp.   344,735     11,062,546
          12,233,542
Paper and forest products – 1.3%      
Neenah, Inc.   174,192     6,908,455
          43,102,617
Real estate – 10.2%          
Equity real estate investment trusts – 10.2%      
Alexander & Baldwin, Inc.   268,007     6,215,082
Brandywine Realty Trust   402,343     5,689,130
Centerspace   68,154     6,687,270
Global Medical REIT, Inc.   199,222     3,251,303
LXP Industrial Trust   243,302     3,819,841
Pebblebrook Hotel Trust   178,620     4,372,618
Phillips Edison & Company, Inc.   141,467     4,865,050
Piedmont Office Realty Trust, Inc., Class A   373,759     6,436,130
PotlatchDeltic Corp.   82,567     4,353,758
RPT Realty   580,427     7,992,480
          53,682,662
Utilities – 3.6%          
Electric utilities – 1.0%      
Portland General Electric Company   98,629     5,439,389
Gas utilities – 2.6%      
New Jersey Resources Corp.   147,164     6,748,941
Spire, Inc.   86,107     6,179,038
UGI Corp.   17,567     636,277
          13,564,256
          19,003,645
TOTAL COMMON STOCKS (Cost $431,718,715)   $ 513,679,720
SHORT-TERM INVESTMENTS – 3.8%      
Short-term funds – 0.7%          
John Hancock Collateral Trust, 0.3592% (C)(D)   378,683     3,786,375
Small Cap Value Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS (continued)      
Repurchase agreement – 3.1%          
Bank of America Tri-Party Repurchase Agreement dated 3-31-22 at 0.300% to be repurchased at $16,000,133 on 4-1-22, collateralized by $16,281,916 Government National Mortgage Association, 3.000% - 5.500% due 6-20-50 to 3-20-52 (valued at $16,320,001) $ 16,000,000   $ 16,000,000
TOTAL SHORT-TERM INVESTMENTS (Cost $19,785,967)   $ 19,786,375
Total Investments (Small Cap Value Trust)
(Cost $451,504,682) – 101.7%
  $ 533,466,095
Other assets and liabilities, net – (1.7%)     (8,718,510)
TOTAL NET ASSETS – 100.0%   $ 524,747,585
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 3-31-22. The value of securities on loan amounted to $3,705,062.
(C) The rate shown is the annualized seven-day yield as of 3-31-22.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Small Company Value Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.0%      
Communication services – 2.2%          
Interactive media and services – 0.1%      
NerdWallet, Inc., Class A (A)(B)   17,010   $ 203,950
Media – 2.1%      
Advantage Solutions, Inc. (A)   60,796     387,878
Boston Omaha Corp., Class A (A)   26,621     675,375
Cable One, Inc.   837     1,225,569
Integral Ad Science Holding Corp. (A)   16,353     225,671
Scholastic Corp.   17,153     690,923
          3,205,416
          3,409,366
Consumer discretionary – 7.6%          
Auto components – 1.4%      
Dorman Products, Inc. (A)   8,483     806,139
LCI Industries   6,345     658,674
Visteon Corp. (A)   6,844     746,886
          2,211,699
Distributors – 0.2%      
Pool Corp.   882     372,954
Diversified consumer services – 0.8%      
Strategic Education, Inc.   18,378     1,219,932
Hotels, restaurants and leisure – 1.8%      
BJ's Restaurants, Inc. (A)   16,636     470,799
Marriott Vacations Worldwide Corp.   6,217     980,421
Papa John's International, Inc.   8,600     905,408
Red Robin Gourmet Burgers, Inc. (A)   17,693     298,304
Sweetgreen, Inc., Class A (A)(B)   4,154     132,886
          2,787,818
Household durables – 1.3%      
Cavco Industries, Inc. (A)   5,517     1,328,769
 
  233  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Company Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Household durables (continued)      
Meritage Homes Corp. (A)   8,114   $ 642,872
          1,971,641
Internet and direct marketing retail – 0.1%      
Rent the Runway, Inc., Class A (A)(B)   4,977     34,292
Xometry, Inc., Class A (A)   1,588     58,359
          92,651
Specialty retail – 1.2%      
Hibbett, Inc.   6,883     305,192
LL Flooring Holdings, Inc. (A)   36,750     515,235
Monro, Inc.   13,202     585,377
Petco Health & Wellness Company, Inc. (A)(B)   24,390     477,312
          1,883,116
Textiles, apparel and luxury goods – 0.8%      
On Holding AG, Class A (A)(B)   2,640     66,634
Steven Madden, Ltd.   28,552     1,103,249
          1,169,883
          11,709,694
Consumer staples – 2.9%          
Beverages – 0.7%      
Coca-Cola Consolidated, Inc.   2,159     1,072,699
Food and staples retailing – 0.4%      
Grocery Outlet Holding Corp. (A)   17,148     562,111
Food products – 1.7%      
Nomad Foods, Ltd. (A)   57,861     1,306,501
Post Holdings, Inc. (A)   8,265     572,434
The Simply Good Foods Company (A)   19,214     729,171
          2,608,106
Personal products – 0.1%      
BellRing Brands, Inc. (A)   10,478     241,832
          4,484,748
Energy – 8.7%          
Energy equipment and services – 3.1%      
Cactus, Inc., Class A   33,885     1,922,635
ChampionX Corp. (A)   73,279     1,793,870
Liberty Oilfield Services, Inc., Class A (A)   68,760     1,019,023
          4,735,528
Oil, gas and consumable fuels – 5.6%      
Devon Energy Corp.   48,687     2,878,862
International Seaways, Inc.   23,909     431,318
Magnolia Oil & Gas Corp., Class A   83,473     1,974,136
Matador Resources Company   54,152     2,868,973
REX American Resources Corp. (A)   5,353     533,159
          8,686,448
          13,421,976
Financials – 25.2%          
Banks – 14.8%      
BankUnited, Inc.   41,408     1,820,296
Columbia Banking System, Inc.   28,510     920,018
CrossFirst Bankshares, Inc. (A)   39,223     618,154
Eastern Bankshares, Inc.   32,735     705,112
FB Financial Corp.   28,980     1,287,292
Glacier Bancorp, Inc.   20,804     1,046,025
HarborOne Bancorp, Inc.   65,919     924,184
Home BancShares, Inc.   79,029     1,786,055
Independent Bank Corp. (Massachusetts)   15,663     1,279,510
Live Oak Bancshares, Inc.   28,483     1,449,500
National Bank Holdings Corp., Class A   26,531     1,068,669
Origin Bancorp, Inc.   22,504     951,694
Small Company Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Pinnacle Financial Partners, Inc.   23,578   $ 2,171,062
Popular, Inc.   15,893     1,299,094
Southern First Bancshares, Inc. (A)   16,374     832,454
Towne Bank   40,398     1,209,516
Veritex Holdings, Inc.   6,356     242,609
Webster Financial Corp.   20,530     1,152,144
Western Alliance Bancorp   25,343     2,098,907
          22,862,295
Capital markets – 2.3%      
Hercules Capital, Inc. (B)   34,309     619,964
Houlihan Lokey, Inc.   14,832     1,302,250
StepStone Group, Inc., Class A   13,635     450,773
Virtus Investment Partners, Inc.   5,055     1,213,149
          3,586,136
Consumer finance – 1.0%      
Green Dot Corp., Class A (A)   16,449     452,019
PRA Group, Inc. (A)   8,424     379,754
PROG Holdings, Inc. (A)   24,894     716,200
          1,547,973
Insurance – 2.5%      
BRP Group, Inc., Class A (A)   46,482     1,247,112
James River Group Holdings, Ltd.   27,661     684,333
Palomar Holdings, Inc. (A)   9,468     605,857
ProAssurance Corp.   29,206     785,057
Ryan Specialty Group Holdings, Inc., Class A (A)   16,439     637,669
          3,960,028
Mortgage real estate investment trusts – 1.4%      
Hannon Armstrong Sustainable Infrastructure Capital, Inc.   29,954     1,420,718
PennyMac Mortgage Investment Trust   44,125     745,271
          2,165,989
Thrifts and mortgage finance – 3.2%      
PCSB Financial Corp.   18,732     357,969
PennyMac Financial Services, Inc.   13,507     718,572
Radian Group, Inc.   51,008     1,132,888
Walker & Dunlop, Inc.   7,536     975,309
WSFS Financial Corp.   36,586     1,705,639
          4,890,377
          39,012,798
Health care – 9.1%          
Biotechnology – 3.3%      
Apellis Pharmaceuticals, Inc. (A)   9,848     500,377
Blueprint Medicines Corp. (A)   5,519     352,554
C4 Therapeutics, Inc. (A)   10,356     251,237
Fate Therapeutics, Inc. (A)   8,700     337,299
Insmed, Inc. (A)   23,902     561,697
Ionis Pharmaceuticals, Inc. (A)   10,500     388,920
Karuna Therapeutics, Inc. (A)   3,398     430,832
Kymera Therapeutics, Inc. (A)   7,825     331,154
Prothena Corp. PLC (A)   9,700     354,729
Replimune Group, Inc. (A)   14,991     254,547
Turning Point Therapeutics, Inc. (A)   7,500     201,375
Ultragenyx Pharmaceutical, Inc. (A)   6,447     468,181
Xencor, Inc. (A)   13,290     354,577
Zentalis Pharmaceuticals, Inc. (A)   6,100     281,454
          5,068,933
Health care equipment and supplies – 1.7%      
Atrion Corp.   1,794     1,279,122
Figs, Inc., Class A (A)   23,833     512,886
Ortho Clinical Diagnostics Holdings PLC (A)   33,362     622,535
 
  234  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Company Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Quidel Corp. (A)   2,748   $ 309,040
          2,723,583
Health care providers and services – 3.4%      
Agiliti, Inc. (A)   34,585     729,744
Molina Healthcare, Inc. (A)   1,061     353,939
Option Care Health, Inc. (A)   52,420     1,497,115
Select Medical Holdings Corp.   55,751     1,337,466
The Ensign Group, Inc.   10,173     915,672
The Pennant Group, Inc. (A)   19,743     367,812
          5,201,748
Health care technology – 0.3%      
Phreesia, Inc. (A)   19,200     506,112
Life sciences tools and services – 0.1%      
Pacific Biosciences of California, Inc. (A)(B)   19,600     178,360
Pharmaceuticals – 0.3%      
Arvinas, Inc. (A)   6,396     430,451
          14,109,187
Industrials – 15.0%          
Aerospace and defense – 1.7%      
Parsons Corp. (A)   14,204     549,695
Triumph Group, Inc. (A)   81,156     2,051,624
          2,601,319
Airlines – 0.3%      
Allegiant Travel Company (A)   2,572     417,667
Building products – 2.0%      
JELD-WEN Holding, Inc. (A)   22,149     449,182
UFP Industries, Inc.   26,623     2,054,231
Zurn Water Solutions Corp.   15,500     548,700
          3,052,113
Commercial services and supplies – 2.1%      
ABM Industries, Inc.   8,774     403,955
Aris Water Solution, Inc., Class A   25,405     462,371
Brady Corp., Class A   15,631     723,246
MSA Safety, Inc.   4,900     650,230
Stericycle, Inc. (A)   16,429     967,997
          3,207,799
Construction and engineering – 0.3%      
Ameresco, Inc., Class A (A)   4,692     373,014
Valmont Industries, Inc.   700     167,020
          540,034
Electrical equipment – 0.9%      
Regal Rexnord Corp.   5,600     833,168
Shoals Technologies Group, Inc., Class A (A)   34,825     593,418
          1,426,586
Machinery – 3.8%      
Alamo Group, Inc.   3,638     523,108
Blue Bird Corp. (A)   19,241     362,116
Chart Industries, Inc. (A)   1,322     227,080
CIRCOR International, Inc. (A)   24,576     654,213
Enerpac Tool Group Corp.   26,245     574,503
ESCO Technologies, Inc.   11,806     825,476
Helios Technologies, Inc.   17,440     1,399,560
SPX Corp. (A)   14,795     731,021
Small Company Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
The Timken Company   8,610   $ 522,627
          5,819,704
Marine – 0.4%      
Matson, Inc.   5,703     687,896
Professional services – 0.3%      
FTI Consulting, Inc. (A)   2,935     461,441
Road and rail – 0.7%      
Landstar System, Inc.   7,391     1,114,785
Trading companies and distributors – 2.5%      
Beacon Roofing Supply, Inc. (A)   25,767     1,527,468
Herc Holdings, Inc.   2,100     350,889
McGrath RentCorp   10,958     931,211
Univar Solutions, Inc. (A)   33,145     1,065,280
          3,874,848
          23,204,192
Information technology – 6.7%          
Communications equipment – 1.0%      
Harmonic, Inc. (A)   164,323     1,526,561
Electronic equipment, instruments and components – 2.7%      
Belden, Inc.   33,779     1,871,356
Littelfuse, Inc.   8,248     2,057,134
PAR Technology Corp. (A)(B)   7,645     308,399
          4,236,889
IT services – 0.3%      
Payoneer Global, Inc. (A)   88,396     394,246
Semiconductors and semiconductor equipment – 1.5%      
Entegris, Inc.   6,978     915,932
MaxLinear, Inc. (A)   15,476     903,025
Onto Innovation, Inc. (A)   6,289     546,451
          2,365,408
Software – 1.2%      
Ceridian HCM Holding, Inc. (A)   10,396     710,671
Clearwater Analytics Holdings, Inc., Class A (A)(B)   10,295     216,195
nCino, Inc. (A)   9,329     382,302
Workiva, Inc. (A)   4,310     508,580
          1,817,748
          10,340,852
Materials – 4.9%          
Chemicals – 1.7%      
Element Solutions, Inc.   48,400     1,059,960
Orion Engineered Carbons SA   51,440     821,497
Quaker Chemical Corp.   4,543     785,076
          2,666,533
Containers and packaging – 0.5%      
Myers Industries, Inc.   36,242     782,827
Metals and mining – 2.2%      
Carpenter Technology Corp.   22,443     942,157
Constellium SE (A)   80,596     1,450,728
Reliance Steel & Aluminum Company   5,197     952,870
          3,345,755
Paper and forest products – 0.5%      
Clearwater Paper Corp. (A)   26,317     737,666
          7,532,781
Real estate – 10.4%          
Equity real estate investment trusts – 8.3%      
American Campus Communities, Inc.   15,260     854,102
Apple Hospitality REIT, Inc.   74,128     1,332,080
EastGroup Properties, Inc.   7,758     1,577,046
 
  235  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Small Company Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
Essential Properties Realty Trust, Inc.   26,951   $ 681,860
JBG SMITH Properties   39,263     1,147,265
NexPoint Residential Trust, Inc.   2,800     252,868
PotlatchDeltic Corp.   22,392     1,180,730
PS Business Parks, Inc.   6,515     1,095,041
Safehold, Inc.   13,577     752,845
Saul Centers, Inc.   23,929     1,261,058
Terreno Realty Corp.   24,555     1,818,298
Washington Real Estate Investment Trust   38,059     970,505
          12,923,698
Real estate management and development – 2.1%      
eXp World Holdings, Inc. (B)   9,400     198,998
Opendoor Technologies, Inc. (A)   57,600     498,240
The St. Joe Company   34,187     2,025,238
Tricon Residential, Inc.   29,407     466,983
          3,189,459
          16,113,157
Utilities – 5.3%          
Electric utilities – 2.2%      
IDACORP, Inc.   16,921     1,952,007
MGE Energy, Inc.   18,636     1,486,966
          3,438,973
Gas utilities – 1.5%      
Chesapeake Utilities Corp.   16,310     2,246,866
Multi-utilities – 0.9%      
NorthWestern Corp.   24,280     1,468,697
Water utilities – 0.7%      
California Water Service Group   17,721     1,050,501
          8,205,037
TOTAL COMMON STOCKS (Cost $111,694,324)   $ 151,543,788
WARRANTS – 0.0%          
Advantage Solutions, Inc. (Expiration Date: 10-28-25; Strike Price: $11.50) (A)   4,703     4,421
TOTAL WARRANTS (Cost $6,099)   $ 4,421
SHORT-TERM INVESTMENTS – 3.3%      
Short-term funds – 3.3%          
John Hancock Collateral Trust, 0.3592% (C)(D)   194,916     1,948,928
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (C)   508,230     508,230
T. Rowe Price Government Reserve Fund, 0.2855% (C)   2,646,407     2,646,407
TOTAL SHORT-TERM INVESTMENTS (Cost $5,103,461)   $ 5,103,565
Total Investments (Small Company Value Trust)
(Cost $116,803,884) – 101.3%
  $ 156,651,774
Other assets and liabilities, net – (1.3%)     (1,960,079)
TOTAL NET ASSETS – 100.0%   $ 154,691,695
Security Abbreviations and Legend
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $1,893,040.
(C) The rate shown is the annualized seven-day yield as of 3-31-22.
(D) 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 Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 96.4%      
Communication services – 6.8%          
Diversified telecommunication services – 1.2%      
Anterix, Inc. (A)   2,012   $ 116,495
AT&T, Inc.   832,741     19,677,670
ATN International, Inc.   1,971     78,603
Bandwidth, Inc., Class A (A)   4,039     130,823
BT Group PLC   1,446,262     3,448,332
Cellnex Telecom SA (A)(B)   82,541     3,972,236
Cogent Communications Holdings, Inc.   7,064     468,696
Consolidated Communications Holdings, Inc. (A)   12,960     76,464
Deutsche Telekom AG   525,093     9,779,397
EchoStar Corp., Class A (A)   6,373     155,119
Elisa OYJ   23,043     1,389,647
Globalstar, Inc. (A)(C)   103,356     151,933
HKT Trust & HKT, Ltd.   613,421     841,096
IDT Corp., Class B (A)   2,489     84,850
Infrastrutture Wireless Italiane SpA (B)   54,446     609,481
Iridium Communications, Inc. (A)   54,003     2,177,401
Koninklijke KPN NV   544,708     1,890,125
Liberty Latin America, Ltd., Class A (A)   10,380     100,686
Liberty Latin America, Ltd., Class C (A)   23,107     221,596
Lumen Technologies, Inc.   107,461     1,211,085
Nippon Telegraph & Telephone Corp.   193,616     5,625,297
Ooma, Inc. (A)   3,875     58,086
Orange SA   323,209     3,826,697
Proximus SADP   24,643     458,886
Radius Global Infrastructure, Inc., Class A (A)   12,308     175,758
Singapore Telecommunications, Ltd.   1,078,904     2,094,961
Singapore Telecommunications, Ltd.   258,829     504,585
Spark New Zealand, Ltd.   302,860     958,439
Swisscom AG (C)   4,196     2,520,982
Telecom Italia SpA   1,614,255     592,636
Telefonica Deutschland Holding AG   168,672     458,753
Telefonica SA   853,675     4,137,128
Telenor ASA   113,361     1,626,677
Telesat Corp. (A)   1,579     26,054
Telia Company AB (C)   430,655     1,726,802
Telstra Corp., Ltd.   671,326     1,983,405
United Internet AG   15,715     539,309
Verizon Communications, Inc.   489,546     24,937,473
          98,833,663
Entertainment – 1.1%      
Activision Blizzard, Inc.   90,849     7,277,913
AMC Entertainment Holdings, Inc., Class A (A)(C)   86,770     2,138,013
Bollore SE   143,249     750,114
Capcom Company, Ltd.   28,500     690,963
Cinemark Holdings, Inc. (A)   18,451     318,833
Electronic Arts, Inc.   32,794     4,148,769
IMAX Corp. (A)   8,493     160,772
Koei Tecmo Holdings Company, Ltd. (C)   9,500     311,532
Konami Holdings Corp.   15,109     952,999
Liberty Media Corp.-Liberty Braves, Class A (A)   3,085     88,786
Liberty Media Corp.-Liberty Braves, Class C (A)   4,910     137,038
Lions Gate Entertainment Corp., Class A (A)   10,355     168,269
Lions Gate Entertainment Corp., Class B (A)   19,530     293,536
Live Nation Entertainment, Inc. (A)   15,753     1,853,183
Madison Square Garden Entertainment Corp. (A)   4,446     370,396
Netflix, Inc. (A)   51,772     19,393,273
 
  236  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Entertainment (continued)      
Nexon Company, Ltd.   80,006   $ 1,914,041
Nintendo Company, Ltd.   17,839     9,004,448
Sea, Ltd., ADR (A)   51,800     6,205,122
Square Enix Holdings Company, Ltd.   13,900     615,751
Take-Two Interactive Software, Inc. (A)   13,459     2,069,187
The Marcus Corp. (A)   4,244     75,119
The Walt Disney Company (A)   212,311     29,120,577
Toho Company, Ltd.   18,108     684,298
Ubisoft Entertainment SA (A)   15,207     668,238
Universal Music Group NV   117,511     3,136,852
World Wrestling Entertainment, Inc., Class A   11,343     708,257
          93,256,279
Interactive media and services – 3.2%      
Adevinta ASA (A)   47,213     431,016
Alphabet, Inc., Class A (A)   35,072     97,547,507
Alphabet, Inc., Class C (A)   32,391     90,467,739
Auto Trader Group PLC (B)   154,022     1,271,494
CarGurus, Inc. (A)   16,033     680,761
Cars.com, Inc. (A)   11,527     166,335
Eventbrite, Inc., Class A (A)   12,954     191,331
EverQuote, Inc., Class A (A)   3,546     57,374
FuboTV, Inc. (A)(C)   23,125     151,931
Kakaku.com, Inc.   21,600     482,387
Liberty TripAdvisor Holdings, Inc., Class A (A)   15,390     31,550
Match Group, Inc. (A)   33,012     3,589,725
MediaAlpha, Inc., Class A (A)   4,095     67,772
Meta Platforms, Inc., Class A (A)   269,271     59,875,100
Outbrain, Inc. (A)   4,306     46,203
QuinStreet, Inc. (A)   8,575     99,470
REA Group, Ltd.   8,561     858,235
Scout24 SE (B)   13,544     772,172
SEEK, Ltd.   54,470     1,199,570
TripAdvisor, Inc. (A)   25,577     693,648
TrueCar, Inc. (A)   17,658     69,749
Twitter, Inc. (A)   93,246     3,607,688
Yelp, Inc. (A)   29,731     1,014,124
Z Holdings Corp.   434,154     1,876,887
Ziff Davis, Inc. (A)   19,698     1,906,372
          267,156,140
Media – 0.8%      
Advantage Solutions, Inc. (A)   13,761     87,795
AMC Networks, Inc., Class A (A)   4,921     199,940
Audacy, Inc. (A)   22,099     63,866
Boston Omaha Corp., Class A (A)   3,488     88,491
Cable One, Inc.   1,288     1,885,941
Cardlytics, Inc. (A)   5,473     300,906
Charter Communications, Inc., Class A (A)   13,899     7,582,182
Clear Channel Outdoor Holdings, Inc. (A)   61,616     213,191
Comcast Corp., Class A   527,537     24,699,282
comScore, Inc. (A)   14,824     43,138
CyberAgent, Inc.   65,500     810,536
Daily Journal Corp. (A)   217     67,702
Dentsu Group, Inc.   35,065     1,432,978
Discovery, Inc., Series A (A)(C)   19,772     492,718
Discovery, Inc., Series C (A)   35,418     884,387
DISH Network Corp., Class A (A)   29,119     921,616
Embracer Group AB (A)(C)   90,661     756,761
Entravision Communications Corp., Class A   10,638     68,190
Fox Corp., Class A   36,828     1,452,865
Fox Corp., Class B   17,000     616,760
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Media (continued)      
Gannett Company, Inc. (A)   24,291   $ 109,552
Gray Television, Inc.   14,301     315,623
Hakuhodo DY Holdings, Inc.   37,873     475,419
iHeartMedia, Inc., Class A (A)   18,868     357,171
Informa PLC (A)   243,512     1,907,919
Integral Ad Science Holding Corp. (A)   5,602     77,308
John Wiley & Sons, Inc., Class A   18,468     979,358
National CineMedia, Inc.   12,185     30,950
News Corp., Class A   45,583     1,009,663
News Corp., Class B   14,117     317,915
Omnicom Group, Inc.   24,371     2,068,610
Paramount Global, Class B   70,750     2,675,058
Pearson PLC   122,602     1,202,116
Publicis Groupe SA   36,936     2,241,779
Schibsted ASA, B Shares   15,772     336,472
Schibsted ASA, Class A   11,846     291,974
Scholastic Corp.   4,594     185,046
Sinclair Broadcast Group, Inc., Class A   7,936     222,367
Stagwell, Inc. (A)   10,835     78,445
TechTarget, Inc. (A)   4,376     355,681
TEGNA, Inc.   94,097     2,107,773
The EW Scripps Company, Class A (A)   9,703     201,725
The Interpublic Group of Companies, Inc.   45,902     1,627,226
The New York Times Company, Class A   43,147     1,977,858
Thryv Holdings, Inc. (A)   1,187     33,378
Vivendi SE   125,716     1,642,417
WideOpenWest, Inc. (A)   8,878     154,832
WPP PLC   189,170     2,475,874
          68,128,754
Wireless telecommunication services – 0.5%      
Gogo, Inc. (A)(C)   10,128     193,040
KDDI Corp.   261,343     8,568,554
Shenandoah Telecommunications Company   8,143     192,012
SoftBank Corp.   465,300     5,426,842
SoftBank Group Corp.   195,374     8,735,099
Tele2 AB, B Shares   81,141     1,226,510
Telephone & Data Systems, Inc.   17,008     321,111
T-Mobile US, Inc. (A)   68,468     8,787,868
United States Cellular Corp. (A)   2,632     79,565
Vodafone Group PLC   4,420,607     7,248,841
          40,779,442
          568,154,278
Consumer discretionary – 11.4%          
Auto components – 0.4%      
Adient PLC (A)   40,519     1,651,960
Aisin Corp.   23,858     815,409
American Axle & Manufacturing Holdings, Inc. (A)   19,139     148,519
Aptiv PLC (A)   31,546     3,776,372
BorgWarner, Inc.   27,961     1,087,683
Bridgestone Corp.   92,506     3,590,691
Cie Generale des Etablissements Michelin SCA   27,477     3,723,558
Continental AG (A)   17,821     1,277,519
Cooper-Standard Holdings, Inc. (A)   3,710     32,537
Dana, Inc.   61,688     1,083,858
Denso Corp.   70,195     4,478,448
Dorman Products, Inc. (A)   4,396     417,752
Faurecia SE (C)   19,649     511,046
Fox Factory Holding Corp. (A)   17,959     1,759,084
Gentex Corp.   61,073     1,781,499
Gentherm, Inc. (A)   5,554     405,664
 
  237  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Auto components (continued)      
Koito Manufacturing Company, Ltd.   16,966   $ 686,606
LCI Industries   4,138     429,566
Lear Corp.   15,474     2,206,438
Modine Manufacturing Company (A)   9,277     83,586
Motorcar Parts of America, Inc. (A)   3,659     65,240
Patrick Industries, Inc.   3,810     229,743
Standard Motor Products, Inc.   3,297     142,233
Stanley Electric Company, Ltd.   21,067     398,319
Stoneridge, Inc. (A)   4,706     97,697
Sumitomo Electric Industries, Ltd.   122,143     1,451,947
Tenneco, Inc., Class A (A)   11,457     209,892
The Goodyear Tire & Rubber Company (A)   118,980     1,700,224
Valeo   37,334     689,595
Visteon Corp. (A)   11,898     1,298,429
XL Fleet Corp. (A)   22,462     44,699
XPEL, Inc. (A)   2,958     155,620
          36,431,433
Automobiles – 2.3%      
Arcimoto, Inc. (A)(C)   5,674     37,505
Bayerische Motoren Werke AG   53,640     4,635,436
Canoo, Inc. (A)(C)   18,573     102,523
Ferrari NV   20,421     4,448,908
Fisker, Inc. (A)   27,626     356,375
Ford Motor Company   458,689     7,756,431
General Motors Company (A)   169,443     7,411,437
Harley-Davidson, Inc.   39,734     1,565,520
Honda Motor Company, Ltd.   264,073     7,485,371
Isuzu Motors, Ltd.   94,446     1,220,055
Lordstown Motors Corp., Class A (A)(C)   27,987     95,436
Mazda Motor Corp.   92,100     676,990
Mercedes-Benz Group AG   138,656     9,732,193
Nissan Motor Company, Ltd. (A)   376,076     1,671,029
Renault SA (A)   31,141     814,027
Stellantis NV   329,877     5,340,533
Subaru Corp.   99,727     1,583,962
Suzuki Motor Corp.   59,643     2,043,977
Tesla, Inc. (A)   97,622     105,197,467
Thor Industries, Inc.   14,481     1,139,655
Toyota Motor Corp.   1,718,000     30,989,276
Volkswagen AG   5,259     1,299,075
Winnebago Industries, Inc.   5,367     289,979
Workhorse Group, Inc. (A)(C)   26,685     133,425
Yamaha Motor Company, Ltd.   48,213     1,080,632
          197,107,217
Distributors – 0.1%      
Funko, Inc., Class A (A)   4,654     80,282
Genuine Parts Company   16,608     2,092,940
LKQ Corp.   31,272     1,420,062
Pool Corp.   4,675     1,976,824
          5,570,108
Diversified consumer services – 0.1%      
2U, Inc. (A)   12,568     166,903
Adtalem Global Education, Inc. (A)   8,441     250,782
American Public Education, Inc. (A)   3,443     73,129
Carriage Services, Inc.   2,587     137,965
Coursera, Inc. (A)   12,450     286,848
European Wax Center, Inc., Class A (A)   2,304     68,106
Graham Holdings Company, Class B   1,660     1,015,040
Grand Canyon Education, Inc. (A)   10,221     992,561
H&R Block, Inc.   42,630     1,110,085
Houghton Mifflin Harcourt Company (A)   21,355     448,669
IDP Education, Ltd.   33,819     791,503
Laureate Education, Inc.   16,745     198,428
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified consumer services (continued)      
OneSpaWorld Holdings, Ltd. (A)   9,544   $ 97,349
Perdoceo Education Corp. (A)   11,885     136,440
PowerSchool Holdings, Inc., Class A (A)   7,430     122,669
Service Corp. International   42,768     2,814,990
Strategic Education, Inc.   4,171     276,871
Stride, Inc. (A)   6,930     251,767
Udemy, Inc. (A)   2,575     32,085
Vivint Smart Home, Inc. (A)   15,964     107,917
WW International, Inc. (A)   9,332     95,466
          9,475,573
Hotels, restaurants and leisure – 1.8%      
Accel Entertainment, Inc. (A)   9,816     119,559
Accor SA (A)   27,574     888,413
Aristocrat Leisure, Ltd.   97,634     2,649,984
Bally's Corp. (A)   5,526     169,869
BJ's Restaurants, Inc. (A)   4,029     114,021
Bloomin' Brands, Inc.   14,895     326,796
Bluegreen Vacations Holding Corp. (A)   2,471     73,067
Booking Holdings, Inc. (A)   4,789     11,246,727
Boyd Gaming Corp.   21,177     1,393,023
Brinker International, Inc. (A)   7,479     285,399
Caesars Entertainment, Inc. (A)   24,929     1,928,507
Carnival Corp. (A)(C)   94,320     1,907,150
Century Casinos, Inc. (A)   4,903     58,591
Chipotle Mexican Grill, Inc. (A)   3,281     5,190,640
Choice Hotels International, Inc.   8,475     1,201,416
Churchill Downs, Inc.   8,942     1,983,157
Chuy's Holdings, Inc. (A)   3,608     97,416
Compass Group PLC   289,023     6,219,800
Cracker Barrel Old Country Store, Inc.   10,045     1,192,643
Crown Resorts, Ltd. (A)   60,337     574,572
Darden Restaurants, Inc.   14,894     1,980,157
Dave & Buster's Entertainment, Inc. (A)   7,369     361,818
Denny's Corp. (A)   10,569     151,242
Dine Brands Global, Inc.   2,712     211,400
Domino's Pizza Enterprises, Ltd.   9,816     638,961
Domino's Pizza, Inc.   4,243     1,726,943
El Pollo Loco Holdings, Inc. (A)   3,782     43,947
Entain PLC (A)   95,001     2,035,018
Everi Holdings, Inc. (A)   14,375     301,875
Evolution AB (B)   27,879     2,836,251
Expedia Group, Inc. (A)   17,519     3,427,943
F45 Training Holdings, Inc. (A)   5,527     59,139
Fiesta Restaurant Group, Inc. (A)   3,569     26,678
First Watch Restaurant Group, Inc. (A)   2,035     26,557
Flutter Entertainment PLC (A)   27,003     3,111,948
Full House Resorts, Inc. (A)   5,750     55,258
Galaxy Entertainment Group, Ltd.   353,153     2,089,741
GAN, Ltd. (A)   8,201     39,529
Genting Singapore, Ltd.   979,621     585,507
Golden Entertainment, Inc. (A)   2,877     167,067
Golden Nugget Online Gaming, Inc. (A)   7,148     50,822
Hilton Grand Vacations, Inc. (A)   14,340     745,823
Hilton Worldwide Holdings, Inc. (A)   32,503     4,932,005
InterContinental Hotels Group PLC   29,682     2,007,529
International Game Technology PLC   16,792     414,427
Jack in the Box, Inc.   3,563     332,820
Krispy Kreme, Inc. (C)   14,411     214,003
Kura Sushi USA, Inc., Class A (A)   775     42,741
La Francaise des Jeux SAEM (B)   15,472     613,815
Las Vegas Sands Corp. (A)   40,091     1,558,337
Life Time Group Holdings, Inc. (A)(C)   6,709     97,549
Lindblad Expeditions Holdings, Inc. (A)   5,569     83,981
Marriott International, Inc., Class A (A)   31,903     5,606,952
Marriott Vacations Worldwide Corp.   10,999     1,734,542
 
  238  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
McDonald's Corp.   87,139   $ 21,547,732
McDonald's Holdings Company Japan, Ltd.   12,961     538,993
Melco Resorts & Entertainment, Ltd., ADR (A)   34,800     265,872
MGM Resorts International   43,924     1,842,173
Monarch Casino & Resort, Inc. (A)   2,218     193,476
NeoGames SA (A)   1,941     29,950
Noodles & Company (A)   7,500     44,775
Norwegian Cruise Line Holdings, Ltd. (A)   48,615     1,063,696
ONE Group Hospitality, Inc. (A)   3,592     37,752
Oriental Land Company, Ltd.   32,400     6,201,531
Papa John's International, Inc.   13,900     1,463,392
Penn National Gaming, Inc. (A)   19,372     821,760
PlayAGS, Inc. (A)   5,068     33,804
Portillo's, Inc., Class A (A)(C)   3,960     97,258
RCI Hospitality Holdings, Inc.   1,491     91,637
Red Robin Gourmet Burgers, Inc. (A)   3,051     51,440
Red Rock Resorts, Inc., Class A   9,083     441,070
Royal Caribbean Cruises, Ltd. (A)   26,150     2,190,847
Rush Street Interactive, Inc. (A)   9,291     67,546
Ruth's Hospitality Group, Inc.   5,746     131,468
Sands China, Ltd. (A)   393,482     936,085
Scientific Games Corp. (A)   41,104     2,414,860
SeaWorld Entertainment, Inc. (A)   8,438     628,125
Shake Shack, Inc., Class A (A)   6,310     428,449
Six Flags Entertainment Corp. (A)   19,982     869,217
Sodexo SA   14,333     1,166,361
Starbucks Corp.   134,141     12,202,807
Sweetgreen, Inc., Class A (A)(C)   2,123     67,915
Tabcorp Holdings, Ltd.   360,592     1,436,636
Target Hospitality Corp. (A)   4,960     29,760
Texas Roadhouse, Inc.   29,675     2,484,688
The Cheesecake Factory, Inc. (A)   7,789     309,924
The Wendy's Company   45,577     1,001,327
Travel + Leisure Company   22,284     1,291,135
Whitbread PLC (A)   32,725     1,218,470
Wingstop, Inc.   12,697     1,489,993
Wyndham Hotels & Resorts, Inc.   24,197     2,049,244
Wynn Resorts, Ltd. (A)   12,273     978,649
Xponential Fitness, Inc., Class A (A)   2,169     50,841
Yum! Brands, Inc.   33,701     3,994,580
          148,138,313
Household durables – 0.8%      
Barratt Developments PLC   165,625     1,127,543
Bassett Furniture Industries, Inc.   1,716     28,417
Beazer Homes USA, Inc. (A)   4,956     75,430
Cavco Industries, Inc. (A)   1,545     372,113
Century Communities, Inc.   4,962     265,814
D.R. Horton, Inc.   37,604     2,801,874
Electrolux AB, Series B (C)   36,540     552,942
Ethan Allen Interiors, Inc.   3,788     98,753
Garmin, Ltd.   17,718     2,101,532
GoPro, Inc., Class A (A)   21,171     180,589
Green Brick Partners, Inc. (A)   5,094     100,657
Hamilton Beach Brands Holding Company, Class B   853     9,920
Helen of Troy, Ltd. (A)   10,259     2,009,123
Hooker Furnishings Corp.   2,360     44,698
Hovnanian Enterprises, Inc., Class A (A)   882     52,126
Iida Group Holdings Company, Ltd.   23,800     410,334
Installed Building Products, Inc.   4,005     338,382
iRobot Corp. (A)   4,545     288,153
KB Home   35,321     1,143,694
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Household durables (continued)      
La-Z-Boy, Inc.   7,401   $ 195,164
Legacy Housing Corp. (A)   1,294     27,769
Leggett & Platt, Inc.   34,440     1,198,512
Lennar Corp., A Shares   30,480     2,474,062
LGI Homes, Inc. (A)   3,598     351,453
Lifetime Brands, Inc.   2,421     31,086
M/I Homes, Inc. (A)   4,690     208,002
MDC Holdings, Inc.   9,499     359,442
Meritage Homes Corp. (A)   6,124     485,205
Mohawk Industries, Inc. (A)   6,398     794,632
Newell Brands, Inc.   44,151     945,273
NVR, Inc. (A)   382     1,706,497
Open House Group Company, Ltd.   13,300     588,562
Panasonic Corp.   357,809     3,475,069
Persimmon PLC   51,697     1,449,653
PulteGroup, Inc.   28,996     1,214,932
Purple Innovation, Inc. (A)(C)   10,058     58,839
Rinnai Corp.   5,678     424,736
SEB SA   4,482     625,063
Sekisui Chemical Company, Ltd.   61,144     876,126
Sekisui House, Ltd.   99,826     1,930,951
Sharp Corp. (C)   34,700     323,905
Skyline Champion Corp. (A)   8,826     484,371
Snap One Holdings Corp. (A)   3,032     44,722
Sonos, Inc. (A)   21,573     608,790
Sony Group Corp.   204,300     21,017,492
Taylor Morrison Home Corp. (A)   51,596     1,404,443
Taylor Wimpey PLC   590,780     1,006,048
Tempur Sealy International, Inc.   49,709     1,387,875
The Berkeley Group Holdings PLC (A)   18,187     887,098
The Lovesac Company (A)   2,215     119,743
Toll Brothers, Inc.   29,089     1,367,765
TopBuild Corp. (A)   8,502     1,542,178
Traeger, Inc. (A)   5,576     41,485
Tri Pointe Homes, Inc. (A)   46,973     943,218
Tupperware Brands Corp. (A)   8,274     160,929
Universal Electronics, Inc. (A)   2,375     74,195
VOXX International Corp. (A)   3,091     30,817
Vuzix Corp. (A)(C)   10,413     68,726
Weber, Inc., Class A (C)   3,874     38,081
Whirlpool Corp.   6,880     1,188,726
          64,163,729
Internet and direct marketing retail – 2.2%      
1-800-Flowers.com, Inc., Class A (A)   4,574     58,364
1stdibs.com, Inc. (A)   3,718     29,707
Amazon.com, Inc. (A)   51,031     166,358,508
CarParts.com, Inc. (A)   8,621     57,761
Delivery Hero SE (A)(B)   26,420     1,151,484
Duluth Holdings, Inc., Class B (A)   2,205     26,967
eBay, Inc.   73,001     4,180,037
Etsy, Inc. (A)   14,784     1,837,356
Fiverr International, Ltd. (A)   4,700     357,529
Groupon, Inc. (A)   4,039     77,670
Just Eat Takeaway.com NV (A)(B)   29,279     981,956
Lands' End, Inc. (A)   2,523     42,689
Liquidity Services, Inc. (A)   4,080     69,850
Magnite, Inc. (A)   21,985     290,422
Mercari, Inc. (A)   16,800     433,675
Overstock.com, Inc. (A)   7,235     318,376
PetMed Express, Inc. (C)   3,425     88,365
Porch Group, Inc. (A)   13,272     92,174
Prosus NV (A)   151,174     8,152,483
Quotient Technology, Inc. (A)   15,428     98,431
Rakuten Group, Inc.   140,805     1,107,111
Revolve Group, Inc. (A)   6,040     324,288
 
  239  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Internet and direct marketing retail (continued)      
Shutterstock, Inc.   3,918   $ 364,687
Stitch Fix, Inc., Class A (A)   13,961     140,587
The RealReal, Inc. (A)   13,870     100,696
Xometry, Inc., Class A (A)(C)   4,195     154,166
Zalando SE (A)(B)   36,077     1,826,729
ZOZO, Inc.   20,200     539,447
          189,261,515
Leisure products – 0.2%      
Acushnet Holdings Corp.   5,685     228,878
American Outdoor Brands, Inc. (A)   2,714     35,635
AMMO, Inc. (A)(C)   15,113     72,542
Bandai Namco Holdings, Inc.   32,393     2,456,344
Brunswick Corp.   19,907     1,610,277
Callaway Golf Company (A)   49,763     1,165,449
Clarus Corp.   4,525     103,080
Escalade, Inc.   2,209     29,159
Genius Brands International, Inc. (A)(C)   52,409     53,457
Hasbro, Inc.   15,121     1,238,712
Johnson Outdoors, Inc., Class A   920     71,512
Latham Group, Inc. (A)   7,297     96,612
Malibu Boats, Inc., Class A (A)   3,492     202,571
MasterCraft Boat Holdings, Inc. (A)   3,255     80,106
Mattel, Inc. (A)   90,971     2,020,466
Polaris, Inc.   14,729     1,551,258
Shimano, Inc.   11,981     2,743,749
Smith & Wesson Brands, Inc.   8,112     122,735
Solo Brands, Inc., Class A (A)   2,832     24,157
Sturm Ruger & Company, Inc.   2,833     197,233
Vista Outdoor, Inc. (A)   9,392     335,200
Yamaha Corp.   21,673     941,823
YETI Holdings, Inc. (A)   22,631     1,357,407
          16,738,362
Multiline retail – 0.5%      
Big Lots, Inc.   5,153     178,294
Dillard's, Inc., Class A   909     243,967
Dollar General Corp.   27,020     6,015,463
Dollar Tree, Inc. (A)   26,233     4,201,215
Franchise Group, Inc.   4,775     197,828
Kohl's Corp.   36,019     2,177,709
Macy's, Inc.   128,076     3,119,931
Next PLC   21,538     1,693,977
Nordstrom, Inc. (C)   28,726     778,762
Ollie's Bargain Outlet Holdings, Inc. (A)   15,223     653,980
Pan Pacific International Holdings Corp.   66,800     1,068,835
Ryohin Keikaku Company, Ltd.   40,960     475,104
Target Corp.   55,873     11,857,368
Wesfarmers, Ltd.   183,689     6,892,850
          39,555,283
Specialty retail – 1.6%      
Abercrombie & Fitch Company, Class A (A)   9,402     300,770
Academy Sports & Outdoors, Inc.   13,115     516,731
Advance Auto Parts, Inc.   7,271     1,504,806
American Eagle Outfitters, Inc.   65,151     1,094,537
America's Car-Mart, Inc. (A)   1,009     81,285
Arko Corp.   14,738     134,116
Asbury Automotive Group, Inc. (A)   3,871     620,134
AutoNation, Inc. (A)   10,323     1,027,964
AutoZone, Inc. (A)   2,406     4,919,259
Barnes & Noble Education, Inc. (A)   8,624     30,874
Bath & Body Works, Inc.   30,054     1,436,581
Bed Bath & Beyond, Inc. (A)(C)   16,422     369,988
Best Buy Company, Inc.   25,248     2,295,043
Big 5 Sporting Goods Corp. (C)   3,574     61,294
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
Boot Barn Holdings, Inc. (A)   4,899   $ 464,376
Caleres, Inc.   6,211     120,059
Camping World Holdings, Inc., Class A (C)   7,012     195,985
CarMax, Inc. (A)   18,854     1,819,034
Chico's FAS, Inc. (A)   20,603     98,894
Chow Tai Fook Jewellery Group, Ltd. (A)   324,000     585,180
Citi Trends, Inc. (A)   1,462     44,774
Conn's, Inc. (A)   3,136     48,326
Designer Brands, Inc., Class A (A)   10,344     139,747
Dick's Sporting Goods, Inc.   16,281     1,628,426
Fast Retailing Company, Ltd.   9,446     4,842,559
Five Below, Inc. (A)   14,541     2,302,858
Foot Locker, Inc.   22,625     671,058
GameStop Corp., Class A (A)   15,999     2,665,113
Genesco, Inc. (A)   2,399     152,600
Group 1 Automotive, Inc.   2,795     469,085
GrowGeneration Corp. (A)(C)   9,738     89,687
Guess?, Inc.   6,788     148,318
Haverty Furniture Companies, Inc.   2,778     76,173
Hennes & Mauritz AB, B Shares (C)   118,318     1,588,732
Hibbett, Inc.   2,351     104,243
Hikari Tsushin, Inc.   3,400     386,533
Industria de Diseno Textil SA   176,720     3,853,374
JD Sports Fashion PLC   417,818     805,099
JOANN, Inc. (C)   1,922     21,930
Kingfisher PLC   338,158     1,128,651
Kirkland's, Inc. (A)   2,300     21,367
Lazydays Holdings, Inc. (A)   1,331     26,860
Lithia Motors, Inc.   7,855     2,357,443
LL Flooring Holdings, Inc. (A)   5,035     70,591
Lowe's Companies, Inc.   78,568     15,885,664
MarineMax, Inc. (A)   3,477     139,984
Monro, Inc.   5,673     251,541
Murphy USA, Inc.   9,828     1,965,207
National Vision Holdings, Inc. (A)   13,970     608,673
Nitori Holdings Company, Ltd.   13,011     1,636,949
OneWater Marine, Inc., Class A   1,862     64,146
O'Reilly Automotive, Inc. (A)   7,857     5,381,731
Party City Holdco, Inc. (A)   19,406     69,473
Rent-A-Center, Inc.   11,127     280,289
RH (A)   4,513     1,471,644
Ross Stores, Inc.   41,203     3,727,223
Sally Beauty Holdings, Inc. (A)   18,313     286,232
Shift Technologies, Inc. (A)(C)   13,488     29,674
Shoe Carnival, Inc.   3,009     87,742
Signet Jewelers, Ltd.   8,867     644,631
Sleep Number Corp. (A)   3,740     189,655
Sonic Automotive, Inc., Class A   3,559     151,293
Sportsman's Warehouse Holdings, Inc. (A)   7,566     80,881
The Aaron's Company, Inc.   5,464     109,717
The Buckle, Inc.   4,940     163,218
The Cato Corp., Class A   3,575     52,410
The Children's Place, Inc. (A)   2,349     115,806
The Container Store Group, Inc. (A)   5,591     45,678
The Gap, Inc.   55,357     779,427
The Home Depot, Inc.   121,773     36,450,312
The ODP Corp. (A)   7,687     352,295
The TJX Companies, Inc.   139,106     8,427,041
Tilly's, Inc., Class A   4,041     37,824
Torrid Holdings, Inc. (A)   3,282     19,889
Tractor Supply Company   13,272     3,097,287
TravelCenters of America, Inc. (A)   2,101     90,259
 
  240  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
Ulta Beauty, Inc. (A)   6,311   $ 2,513,166
Urban Outfitters, Inc. (A)   28,539     716,614
USS Company, Ltd.   35,548     597,336
Victoria's Secret & Company (A)   18,939     972,707
Williams-Sonoma, Inc.   18,890     2,739,050
Winmark Corp.   593     130,460
Zumiez, Inc. (A)   3,413     130,411
          131,813,996
Textiles, apparel and luxury goods – 1.4%      
adidas AG   30,845     7,187,683
Burberry Group PLC   65,605     1,432,136
Capri Holdings, Ltd. (A)   38,224     1,964,331
Carter's, Inc.   10,914     1,003,979
Cie Financiere Richemont SA, A Shares   84,567     10,719,271
Columbia Sportswear Company   8,925     807,980
Crocs, Inc. (A)   24,962     1,907,097
Deckers Outdoor Corp. (A)   7,045     1,928,710
EssilorLuxottica SA   46,566     8,516,481
Fossil Group, Inc. (A)   8,605     82,952
G-III Apparel Group, Ltd. (A)   7,450     201,523
Hanesbrands, Inc.   90,171     1,342,646
Hermes International   5,131     7,262,140
Kering SA   12,152     7,671,889
Kontoor Brands, Inc.   8,630     356,851
LVMH Moet Hennessy Louis Vuitton SE   44,976     32,103,810
Moncler SpA   33,254     1,844,993
Movado Group, Inc.   2,645     103,287
NIKE, Inc., Class B   148,833     20,026,968
Oxford Industries, Inc.   2,697     244,079
Pandora A/S   16,201     1,543,378
PLBY Group, Inc. (A)(C)   5,022     65,738
Puma SE   17,104     1,454,557
PVH Corp.   8,160     625,138
Ralph Lauren Corp.   5,398     612,349
Rocky Brands, Inc.   1,190     49,492
Skechers USA, Inc., Class A (A)   34,834     1,419,834
Steven Madden, Ltd.   13,475     520,674
Superior Group of Companies, Inc.   2,136     38,128
Tapestry, Inc.   30,785     1,143,663
The Swatch Group AG   8,524     463,844
The Swatch Group AG, Bearer Shares   4,688     1,329,160
Under Armour, Inc., Class A (A)   21,999     374,423
Under Armour, Inc., Class C (A)   25,079     390,229
Unifi, Inc. (A)   2,564     46,408
Vera Bradley, Inc. (A)   5,161     39,585
VF Corp.   37,642     2,140,324
Wolverine World Wide, Inc.   13,773     310,719
          119,276,449
          957,531,978
Consumer staples – 6.8%          
Beverages – 1.5%      
Anheuser-Busch InBev SA/NV   140,711     8,412,839
Asahi Group Holdings, Ltd.   73,881     2,690,781
Brown-Forman Corp., Class B   21,311     1,428,263
Budweiser Brewing Company APAC, Ltd. (B)   278,900     736,475
Carlsberg A/S, Class B   16,266     1,996,837
Celsius Holdings, Inc. (A)   9,078     500,924
Coca-Cola Consolidated, Inc.   786     390,524
Coca-Cola Europacific Partners PLC   33,258     1,616,671
Coca-Cola HBC AG   32,567     679,214
Constellation Brands, Inc., Class A   19,164     4,413,852
Davide Campari-Milano NV   84,683     982,243
Diageo PLC   377,651     19,156,170
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Beverages (continued)      
Heineken Holding NV   18,665   $ 1,461,529
Heineken NV   41,992     4,015,686
Ito En, Ltd.   8,700     427,049
Kirin Holdings Company, Ltd.   133,292     1,990,936
MGP Ingredients, Inc.   2,366     202,506
Molson Coors Beverage Company, Class B   21,971     1,172,812
Monster Beverage Corp. (A)   43,811     3,500,499
National Beverage Corp.   3,947     171,695
PepsiCo, Inc.   161,330     27,003,415
Pernod Ricard SA   33,940     7,456,990
Primo Water Corp.   26,368     375,744
Remy Cointreau SA   3,684     759,740
Suntory Beverage & Food, Ltd.   22,559     859,840
The Boston Beer Company, Inc., Class A (A)   2,424     941,651
The Coca-Cola Company   453,334     28,106,708
The Duckhorn Portfolio, Inc. (A)   5,949     108,212
Treasury Wine Estates, Ltd.   116,944     1,010,167
          122,569,972
Food and staples retailing – 1.4%      
Aeon Company, Ltd.   105,978     2,259,715
BJ's Wholesale Club Holdings, Inc. (A)   58,220     3,936,254
Carrefour SA   100,560     2,188,392
Casey's General Stores, Inc.   9,580     1,898,469
Coles Group, Ltd.   216,104     2,888,326
Cosmos Pharmaceutical Corp.   3,200     387,836
Costco Wholesale Corp.   51,710     29,777,204
Endeavour Group, Ltd.   217,294     1,182,034
Etablissements Franz Colruyt NV   8,661     358,516
Grocery Outlet Holding Corp. (A)   22,562     739,582
HelloFresh SE (A)   26,771     1,201,582
HF Foods Group, Inc. (A)   7,150     47,619
Ingles Markets, Inc., Class A   2,327     207,219
J Sainsbury PLC   283,416     938,045
Jeronimo Martins SGPS SA   45,877     1,100,586
Kesko OYJ, B Shares   44,249     1,221,719
Kobe Bussan Company, Ltd.   22,200     683,199
Koninklijke Ahold Delhaize NV   169,414     5,449,285
Lawson, Inc.   8,089     309,646
Natural Grocers by Vitamin Cottage, Inc.   1,695     33,222
Ocado Group PLC (A)   79,123     1,208,178
Performance Food Group Company (A)   65,573     3,338,321
PriceSmart, Inc.   4,154     327,626
Rite Aid Corp. (A)(C)   9,800     85,750
Seven & i Holdings Company, Ltd.   122,029     5,818,001
SpartanNash Company   5,997     197,841
Sprouts Farmers Market, Inc. (A)   47,809     1,528,932
Sysco Corp.   59,175     4,831,639
Tesco PLC   1,245,436     4,508,855
The Andersons, Inc.   5,240     263,362
The Chefs' Warehouse, Inc. (A)   5,337     173,986
The Kroger Company   78,024     4,476,237
Tsuruha Holdings, Inc.   6,398     406,262
United Natural Foods, Inc. (A)   9,657     399,317
Village Super Market, Inc., Class A   1,739     42,606
Walgreens Boots Alliance, Inc.   83,556     3,740,802
Walmart, Inc.   164,971     24,567,481
Weis Markets, Inc.   2,743     195,905
Welcia Holdings Company, Ltd.   15,300     376,459
Woolworths Group, Ltd.   196,347     5,451,538
          118,747,548
Food products – 1.7%      
Ajinomoto Company, Inc.   75,596     2,145,623
AppHarvest, Inc. (A)(C)   13,188     70,886
 
  241  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Food products (continued)      
Archer-Daniels-Midland Company   65,252   $ 5,889,646
Associated British Foods PLC   57,715     1,253,750
B&G Foods, Inc. (C)   10,635     286,932
Barry Callebaut AG   578     1,355,092
Calavo Growers, Inc.   3,014     109,860
Cal-Maine Foods, Inc.   6,807     375,883
Campbell Soup Company   23,575     1,050,738
Chocoladefabriken Lindt & Spruengli AG   18     2,177,251
Chocoladefabriken Lindt & Spruengli AG, Participation Certificates   172     2,047,129
Conagra Brands, Inc.   55,940     1,877,906
Danone SA   105,838     5,846,804
Darling Ingredients, Inc. (A)   41,943     3,371,378
Flowers Foods, Inc.   51,311     1,319,206
Fresh Del Monte Produce, Inc.   5,634     145,977
General Mills, Inc.   70,342     4,763,560
Hormel Foods Corp.   32,901     1,695,718
Hostess Brands, Inc. (A)   23,087     506,529
Ingredion, Inc.   17,181     1,497,324
J&J Snack Foods Corp.   2,471     383,252
JDE Peet's NV   16,264     465,694
John B. Sanfilippo & Son, Inc.   1,455     121,405
Kellogg Company   29,835     1,924,059
Kerry Group PLC, Class A   24,580     2,746,266
Kerry Group PLC, Class A   1,204     134,455
Kikkoman Corp.   23,546     1,559,601
Lamb Weston Holdings, Inc.   16,933     1,014,456
Lancaster Colony Corp.   8,288     1,236,155
Landec Corp. (A)   4,993     57,819
Limoneira Company   3,659     53,714
McCormick & Company, Inc.   29,124     2,906,575
MEIJI Holdings Company, Ltd.   19,800     1,073,792
Mission Produce, Inc. (A)   6,496     82,174
Mondelez International, Inc., Class A   161,898     10,163,956
Mowi ASA   71,209     1,918,079
Nestle SA   456,047     59,294,621
Nisshin Seifun Group, Inc.   32,000     446,442
Nissin Foods Holdings Company, Ltd.   10,275     720,434
Orkla ASA   121,679     1,081,056
Pilgrim's Pride Corp. (A)   12,584     315,858
Post Holdings, Inc. (A)   14,765     1,022,624
Sanderson Farms, Inc.   8,840     1,657,412
Seneca Foods Corp., Class A (A)   1,136     58,549
Sovos Brands, Inc. (A)   4,451     63,115
Tattooed Chef, Inc. (A)   8,213     103,320
The Hain Celestial Group, Inc. (A)   23,629     812,838
The Hershey Company   16,955     3,672,962
The J.M. Smucker Company   12,637     1,711,176
The Kraft Heinz Company   82,789     3,261,059
The Simply Good Foods Company (A)   14,279     541,888
Tootsie Roll Industries, Inc.   2,581     90,238
Toyo Suisan Kaisha, Ltd.   14,350     513,474
TreeHouse Foods, Inc. (A)   8,804     284,017
Tyson Foods, Inc., Class A   34,104     3,056,742
Utz Brands, Inc.   10,273     151,835
Vital Farms, Inc. (A)   4,707     58,179
WH Group, Ltd. (B)   1,351,000     848,367
Whole Earth Brands, Inc. (A)   7,042     50,421
Wilmar International, Ltd.   311,203     1,077,765
Yakult Honsha Company, Ltd.   20,803     1,109,713
          145,632,749
Household products – 0.9%      
Central Garden & Pet Company (A)   2,621     115,219
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Household products (continued)      
Central Garden & Pet Company, Class A (A)   5,662   $ 230,896
Church & Dwight Company, Inc.   28,221     2,804,603
Colgate-Palmolive Company   98,288     7,453,179
Energizer Holdings, Inc.   28,302     870,570
Essity AB, B Shares (C)   98,622     2,327,382
Henkel AG & Company KGaA   16,835     1,111,187
Kimberly-Clark Corp.   39,276     4,837,232
Lion Corp.   36,300     404,569
Oil-Dri Corp. of America   1,297     37,159
Reckitt Benckiser Group PLC   115,723     8,828,034
The Clorox Company   14,350     1,995,081
The Procter & Gamble Company   279,531     42,712,337
Unicharm Corp.   65,400     2,349,552
WD-40 Company   2,294     420,330
          76,497,330
Personal products – 0.7%      
Beiersdorf AG   16,330     1,715,530
BellRing Brands, Inc. (A)   47,885     1,105,186
Coty, Inc., Class A (A)   89,114     801,135
Edgewell Personal Care Company   9,133     334,907
elf Beauty, Inc. (A)   8,173     211,109
Inter Parfums, Inc.   2,995     263,710
Kao Corp.   76,975     3,142,937
Kobayashi Pharmaceutical Company, Ltd.   8,600     689,057
Kose Corp.   5,400     564,978
L'Oreal SA   40,656     16,239,839
Medifast, Inc.   1,935     330,459
Nature's Sunshine Products, Inc. (A)   2,125     35,743
Nu Skin Enterprises, Inc., Class A   21,213     1,015,678
Pola Orbis Holdings, Inc.   14,872     193,649
Shiseido Company, Ltd.   64,760     3,270,928
The Beauty Health Company (A)   14,751     248,997
The Estee Lauder Companies, Inc., Class A   27,104     7,380,961
The Honest Company, Inc. (A)   15,070     78,515
Unilever PLC   416,059     18,890,223
USANA Health Sciences, Inc. (A)   2,014     160,012
Veru, Inc. (A)   11,770     56,849
          56,730,402
Tobacco – 0.6%      
22nd Century Group, Inc. (A)   28,685     66,549
Altria Group, Inc.   212,608     11,108,768
British American Tobacco PLC   353,161     14,831,768
Imperial Brands PLC   153,324     3,229,727
Japan Tobacco, Inc.   194,366     3,319,301
Philip Morris International, Inc.   180,732     16,977,964
Swedish Match AB   255,968     1,924,887
Turning Point Brands, Inc.   2,469     83,971
Universal Corp.   4,005     232,570
Vector Group, Ltd.   23,977     288,683
          52,064,188
          572,242,189
Energy – 3.9%          
Energy equipment and services – 0.3%      
Archrock, Inc.   23,163     213,794
Baker Hughes Company   105,614     3,845,406
Bristow Group, Inc. (A)   3,906     144,834
Cactus, Inc., Class A   9,184     521,100
ChampionX Corp. (A)   86,243     2,111,229
DMC Global, Inc. (A)   3,332     101,626
Dril-Quip, Inc. (A)   6,049     225,930
Expro Group Holdings NV (A)   8,068     143,449
 
  242  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Energy equipment and services (continued)      
Halliburton Company   104,786   $ 3,968,246
Helix Energy Solutions Group, Inc. (A)   25,762     123,142
Helmerich & Payne, Inc.   17,210     736,244
Liberty Oilfield Services, Inc., Class A (A)   15,577     230,851
Nabors Industries, Ltd. (A)   1,232     188,151
National Energy Services Reunited Corp. (A)   6,472     54,365
Newpark Resources, Inc. (A)   15,959     58,410
NexTier Oilfield Solutions, Inc. (A)   29,328     270,991
NOV, Inc.   101,803     1,996,357
Oceaneering International, Inc. (A)   16,829     255,128
Oil States International, Inc. (A)   11,281     78,403
Patterson-UTI Energy, Inc.   31,411     486,242
ProPetro Holding Corp. (A)   14,575     203,030
RPC, Inc. (A)   11,596     123,729
Schlumberger NV   163,654     6,760,547
Select Energy Services, Inc., Class A (A)   11,354     97,304
Solaris Oilfield Infrastructure, Inc., Class A   5,457     61,610
Tenaris SA   76,500     1,149,112
TETRA Technologies, Inc. (A)   21,974     90,313
Tidewater, Inc. (A)   7,370     160,224
U.S. Silica Holdings, Inc. (A)   12,524     233,698
          24,633,465
Oil, gas and consumable fuels – 3.6%      
Aemetis, Inc. (A)   4,837     61,285
Aker BP ASA (C)   20,419     761,605
Alto Ingredients, Inc. (A)   12,810     87,364
Ampol, Ltd.   38,606     877,045
Antero Midstream Corp.   83,843     911,373
Antero Resources Corp. (A)   48,103     1,468,585
APA Corp.   42,363     1,750,863
Arch Resources, Inc.   2,500     343,450
Berry Corp.   11,684     120,579
BP PLC   3,198,852     15,681,980
Brigham Minerals, Inc., Class A   7,486     191,267
California Resources Corp.   13,504     604,034
Callon Petroleum Company (A)   8,099     478,489
Centennial Resource Development, Inc., Class A (A)   31,028     250,396
Centrus Energy Corp., Class A (A)   1,653     55,706
Chesapeake Energy Corp.   17,328     1,507,536
Chevron Corp.   224,795     36,603,370
Civitas Resources, Inc.   7,241     432,360
Clean Energy Fuels Corp. (A)   26,362     209,314
CNX Resources Corp. (A)   86,533     1,792,964
Comstock Resources, Inc. (A)   15,406     201,048
ConocoPhillips   151,860     15,186,000
CONSOL Energy, Inc. (A)   5,696     214,340
Coterra Energy, Inc.   94,875     2,558,779
Crescent Energy, Inc., Class A   5,318     92,214
CVR Energy, Inc.   4,984     127,291
Delek US Holdings, Inc. (A)   11,111     235,775
Denbury, Inc. (A)   8,465     665,095
Devon Energy Corp.   73,421     4,341,384
DHT Holdings, Inc.   23,528     136,462
Diamondback Energy, Inc.   19,860     2,722,409
Dorian LPG, Ltd.   5,195     75,276
DT Midstream, Inc.   24,978     1,355,306
Earthstone Energy, Inc., Class A (A)   5,224     65,979
ENEOS Holdings, Inc.   497,111     1,858,560
Energy Fuels, Inc. (A)   26,008     237,973
Eni SpA   408,890     5,962,930
EOG Resources, Inc.   68,230     8,135,063
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
EQT Corp.   78,075   $ 2,686,561
Equinor ASA   158,329     5,911,471
Equitrans Midstream Corp.   173,984     1,468,425
Exxon Mobil Corp.   493,693     40,774,105
Falcon Minerals Corp.   7,155     48,225
Frontline, Ltd. (A)(C)   20,431     179,793
Galp Energia SGPS SA   81,207     1,026,674
Gevo, Inc. (A)   34,339     160,707
Golar LNG, Ltd. (A)   17,095     423,614
Green Plains, Inc. (A)   8,037     249,227
Hess Corp.   32,145     3,440,801
HF Sinclair Corp. (A)   38,603     1,538,330
Idemitsu Kosan Company, Ltd.   33,786     931,329
Inpex Corp.   165,841     1,949,849
International Seaways, Inc.   7,862     141,830
Kinder Morgan, Inc.   227,401     4,300,153
Kinetik Holdings, Inc.   583     37,901
Kosmos Energy, Ltd. (A)   75,558     543,262
Laredo Petroleum, Inc. (A)   2,145     169,755
Lundin Energy AB (C)   32,425     1,361,010
Magnolia Oil & Gas Corp., Class A   24,193     572,164
Marathon Oil Corp.   90,788     2,279,687
Marathon Petroleum Corp.   67,519     5,772,875
Matador Resources Company   18,593     985,057
Murphy Oil Corp.   62,079     2,507,371
Neste OYJ   68,539     3,124,909
Nordic American Tankers, Ltd.   29,984     63,866
Northern Oil and Gas, Inc.   10,256     289,117
Oasis Petroleum, Inc.   3,285     480,596
Occidental Petroleum Corp.   103,470     5,870,888
OMV AG   23,859     1,140,041
ONEOK, Inc.   52,003     3,672,972
Ovintiv, Inc.   44,033     2,380,864
Par Pacific Holdings, Inc. (A)   7,852     102,233
PBF Energy, Inc., Class A (A)   16,140     393,332
PDC Energy, Inc.   41,534     3,018,691
Peabody Energy Corp. (A)   14,915     365,865
Phillips 66   54,558     4,713,266
Pioneer Natural Resources Company   26,477     6,620,044
Range Resources Corp. (A)   104,887     3,186,467
Ranger Oil Corp., Class A (A)   3,545     122,409
Renewable Energy Group, Inc. (A)   7,503     455,057
Repsol SA   235,074     3,079,279
REX American Resources Corp. (A)   935     93,126
Riley Exploration Permian, Inc.   1,869     46,875
Santos, Ltd.   521,265     3,022,192
Scorpio Tankers, Inc.   8,259     176,577
SFL Corp., Ltd.   20,694     210,665
Shell PLC   1,247,334     34,187,789
SM Energy Company   20,160     785,232
Southwestern Energy Company (A)   170,781     1,224,500
Talos Energy, Inc. (A)   6,494     102,540
Targa Resources Corp.   59,306     4,475,824
Teekay Corp. (A)   12,839     40,700
Teekay Tankers, Ltd., Class A (A)   4,343     60,107
Tellurian, Inc. (A)   62,782     332,745
The Williams Companies, Inc.   141,689     4,733,829
TotalEnergies SE   406,377     20,562,481
Uranium Energy Corp. (A)(C)   44,557     204,517
Ur-Energy, Inc. (A)   33,473     53,557
Valero Energy Corp.   47,676     4,841,021
W&T Offshore, Inc. (A)   15,862     60,593
Washington H. Soul Pattinson & Company, Ltd.   35,077     748,168
Whiting Petroleum Corp.   6,564     535,032
 
  243  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Woodside Petroleum, Ltd.   157,086   $ 3,774,999
World Fuel Services Corp.   10,345     279,729
          307,454,319
          332,087,784
Financials – 13.2%          
Banks – 5.7%      
1st Source Corp.   2,689     124,366
ABN AMRO Bank NV (B)   68,530     875,116
Allegiance Bancshares, Inc.   3,360     150,125
Amalgamated Financial Corp.   2,860     51,394
Amerant Bancorp, Inc.   4,336     136,974
American National Bankshares, Inc.   2,209     83,235
Ameris Bancorp   11,166     489,964
Arrow Financial Corp.   2,651     85,945
Associated Banc-Corp.   63,474     1,444,668
Atlantic Union Bankshares Corp.   12,707     466,220
Australia & New Zealand Banking Group, Ltd.   456,702     9,358,281
Banc of California, Inc.   9,319     180,416
BancFirst Corp.   2,873     239,062
Banco Bilbao Vizcaya Argentaria SA   1,080,235     6,168,061
Banco Espirito Santo SA (A)   625,609     625
Banco Santander SA   2,809,282     9,551,351
Bank First Corp.   1,100     79,189
Bank Hapoalim BM   184,037     1,822,081
Bank Leumi Le-Israel BM   235,379     2,535,667
Bank of America Corp.   828,946     34,169,154
Bank of Hawaii Corp.   10,452     877,132
Bank of Marin Bancorp   3,010     105,561
Bank OZK   31,477     1,344,068
BankUnited, Inc.   14,254     626,606
Banner Corp.   5,480     320,744
Bar Harbor Bankshares   3,156     90,325
Barclays PLC   2,714,739     5,262,454
Berkshire Hills Bancorp, Inc.   8,090     234,367
Blue Ridge Bankshares, Inc.   3,756     56,979
BNP Paribas SA   182,228     10,413,351
BOC Hong Kong Holdings, Ltd.   599,741     2,256,696
Brookline Bancorp, Inc.   13,169     208,334
Business First Bancshares, Inc.   3,662     89,096
Byline Bancorp, Inc.   4,268     113,870
Cadence Bank   79,139     2,315,607
CaixaBank SA (C)   718,228     2,436,143
Cambridge Bancorp   1,183     100,555
Camden National Corp.   2,511     118,117
Capital City Bank Group, Inc.   2,514     66,269
Capstar Financial Holdings, Inc.   3,925     82,739
Carter Bankshares, Inc. (A)   4,902     85,148
Cathay General Bancorp   31,708     1,418,933
CBTX, Inc.   3,306     102,486
Central Pacific Financial Corp.   4,507     125,745
Citigroup, Inc.   231,409     12,357,241
Citizens & Northern Corp.   3,072     74,895
Citizens Financial Group, Inc.   49,701     2,252,946
City Holding Company   2,346     184,630
Civista Bancshares, Inc.   3,360     80,976
CNB Financial Corp.   3,429     90,251
Coastal Financial Corp. (A)   1,761     80,566
Columbia Banking System, Inc.   13,307     429,417
Comerica, Inc.   15,240     1,378,153
Commerce Bancshares, Inc.   28,663     2,051,984
Commerzbank AG (A)   162,311     1,233,386
Commonwealth Bank of Australia   276,446     21,770,778
Community Bank System, Inc.   8,907     624,826
Community Trust Bancorp, Inc.   2,582     106,378
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Concordia Financial Group, Ltd.   176,346   $ 656,299
ConnectOne Bancorp, Inc.   6,131     196,253
Credit Agricole SA   200,373     2,394,166
CrossFirst Bankshares, Inc. (A)   8,530     134,433
Cullen/Frost Bankers, Inc.   14,754     2,042,101
Customers Bancorp, Inc. (A)   4,994     260,387
CVB Financial Corp.   22,891     531,300
Danske Bank A/S   111,743     1,858,854
DBS Group Holdings, Ltd.   293,483     7,689,901
Dime Community Bancshares, Inc.   5,701     197,084
DNB Bank ASA   150,701     3,407,189
Eagle Bancorp, Inc.   5,054     288,129
East West Bancorp, Inc.   36,790     2,907,146
Eastern Bankshares, Inc.   28,550     614,967
Enterprise Financial Services Corp.   5,611     265,456
Equity Bancshares, Inc., Class A   2,596     83,877
Erste Group Bank AG   55,704     2,031,329
Farmers National Banc Corp.   5,680     96,901
FB Financial Corp.   5,510     244,754
Fifth Third Bancorp   79,736     3,431,837
Financial Institutions, Inc.   2,970     89,486
FinecoBank Banca Fineco SpA   98,807     1,498,910
First Bancorp (North Carolina)   5,683     237,379
First Bancorp (Puerto Rico)   33,210     435,715
First Busey Corp.   8,315     210,702
First Commonwealth Financial Corp.   15,502     235,010
First Community Bankshares, Inc.   3,153     88,946
First Financial Bancorp   15,286     352,342
First Financial Bankshares, Inc.   54,842     2,419,629
First Financial Corp.   1,877     81,237
First Foundation, Inc.   8,327     202,263
First Horizon Corp.   138,251     3,247,516
First Internet Bancorp   1,719     73,934
First Interstate BancSystem, Inc., Class A   14,688     540,078
First Merchants Corp.   8,727     363,043
First Mid Bancshares, Inc.   2,910     112,006
First Republic Bank   20,904     3,388,538
Flushing Financial Corp.   5,054     112,957
FNB Corp.   88,353     1,099,995
Fulton Financial Corp.   68,163     1,132,869
German American Bancorp, Inc.   4,173     158,532
Glacier Bancorp, Inc.   46,482     2,337,115
Great Southern Bancorp, Inc.   1,649     97,307
Guaranty Bancshares, Inc.   1,923     67,305
Hancock Whitney Corp.   36,797     1,918,964
Hang Seng Bank, Ltd.   123,890     2,382,744
Hanmi Financial Corp.   5,128     126,200
HarborOne Bancorp, Inc.   8,503     119,212
Heartland Financial USA, Inc.   6,566     314,052
Heritage Commerce Corp.   11,410     128,363
Heritage Financial Corp.   5,946     149,007
Hilltop Holdings, Inc.   10,315     303,261
Home BancShares, Inc.   64,703     1,462,288
HomeStreet, Inc.   3,252     154,080
HomeTrust Bancshares, Inc.   3,035     89,624
Hope Bancorp, Inc.   18,704     300,760
Horizon Bancorp, Inc.   7,703     143,815
HSBC Holdings PLC   3,296,469     22,516,739
Huntington Bancshares, Inc.   167,661     2,451,204
Independent Bank Corp. (Massachusetts)   7,708     629,667
Independent Bank Corp. (Michigan)   4,255     93,610
Independent Bank Group, Inc.   6,289     447,525
ING Groep NV   632,482     6,603,697
International Bancshares Corp.   22,867     965,216
 
  244  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Intesa Sanpaolo SpA   2,675,683   $ 6,124,008
Investors Bancorp, Inc.   37,965     566,817
Israel Discount Bank, Ltd., Class A   188,577     1,172,791
Japan Post Bank Company, Ltd. (C)   66,800     536,456
JPMorgan Chase & Co.   344,625     46,979,280
KBC Group NV   40,504     2,906,128
KeyCorp   108,317     2,424,134
Lakeland Bancorp, Inc.   10,072     168,202
Lakeland Financial Corp.   3,972     289,956
Live Oak Bancshares, Inc.   5,402     274,908
Lloyds Banking Group PLC   11,503,224     7,005,071
M&T Bank Corp.   15,009     2,544,026
Macatawa Bank Corp.   8,041     72,449
Mediobanca Banca di Credito Finanziario SpA   100,623     1,016,845
Mercantile Bank Corp.   2,922     103,497
Meta Financial Group, Inc.   5,037     276,632
Metrocity Bankshares, Inc.   3,506     82,321
Metropolitan Bank Holding Corp. (A)   1,639     166,801
Mid Penn Bancorp, Inc.   3,097     83,031
Midland States Bancorp, Inc.   4,089     118,009
MidWestOne Financial Group, Inc.   3,009     99,598
Mitsubishi UFJ Financial Group, Inc.   1,936,568     11,970,194
Mizrahi Tefahot Bank, Ltd.   22,853     892,457
Mizuho Financial Group, Inc.   390,850     4,985,432
MVB Financial Corp.   1,886     78,269
National Australia Bank, Ltd.   530,135     12,762,936
National Bank Holdings Corp., Class A   4,686     188,752
NatWest Group PLC   916,180     2,587,600
NBT Bancorp, Inc.   6,705     242,252
Nicolet Bankshares, Inc. (A)   1,960     183,397
Nordea Bank ABP (Nasdaq Stockholm Exchange)   519,372     5,345,372
Northrim BanCorp, Inc.   1,390     60,562
Northwest Bancshares, Inc.   20,125     271,889
OceanFirst Financial Corp.   9,771     196,397
OFG Bancorp   8,218     218,928
Old National Bancorp   125,251     2,051,611
Old Second Bancorp, Inc.   5,210     75,597
Origin Bancorp, Inc.   3,774     159,602
Orrstown Financial Services, Inc.   3,151     72,252
Oversea-Chinese Banking Corp., Ltd.   548,524     4,976,127
Pacific Premier Bancorp, Inc.   15,899     562,030
PacWest Bancorp   31,003     1,337,159
Park National Corp.   2,284     300,072
Peapack-Gladstone Financial Corp.   3,279     113,945
Peoples Bancorp, Inc.   4,332     135,635
Peoples Financial Services Corp.   1,618     81,677
People's United Financial, Inc.   49,901     997,521
Pinnacle Financial Partners, Inc.   19,782     1,821,527
Preferred Bank   2,282     169,073
Primis Financial Corp.   5,269     73,661
Prosperity Bancshares, Inc.   23,799     1,651,175
QCR Holdings, Inc.   2,518     142,494
Raiffeisen Bank International AG (C)   23,981     340,459
RBB Bancorp   2,891     67,910
Red River Bancshares, Inc.   1,170     61,905
Regions Financial Corp.   109,851     2,445,283
Renasant Corp.   9,130     305,399
Republic Bancorp, Inc., Class A   1,560     70,106
Republic First Bancorp, Inc. (A)   8,480     43,757
Resona Holdings, Inc.   333,846     1,421,963
S&T Bancorp, Inc.   6,426     190,081
Sandy Spring Bancorp, Inc.   7,174     322,256
Seacoast Banking Corp. of Florida   9,153     320,538
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
ServisFirst Bancshares, Inc.   8,211   $ 782,426
Sierra Bancorp   3,295     82,309
Signature Bank   7,315     2,146,879
Silvergate Capital Corp., Class A (A)   4,707     708,733
Simmons First National Corp., Class A   18,742     491,415
Skandinaviska Enskilda Banken AB, A Shares (C)   263,668     2,850,475
SmartFinancial, Inc.   2,965     75,845
Societe Generale SA   131,339     3,520,848
South Plains Financial, Inc.   2,108     56,031
Southern First Bancshares, Inc. (A)   1,556     79,107
Southside Bancshares, Inc.   4,887     199,536
SouthState Corp.   12,894     1,052,021
Spirit of Texas Bancshares, Inc.   2,748     72,217
Standard Chartered PLC   424,008     2,814,567
Stock Yards Bancorp, Inc.   4,036     213,504
Sumitomo Mitsui Financial Group, Inc.   211,558     6,682,769
Sumitomo Mitsui Trust Holdings, Inc.   54,683     1,779,638
SVB Financial Group (A)   6,851     3,832,792
Svenska Handelsbanken AB, A Shares   236,299     2,172,872
Swedbank AB, A Shares (C)   146,714     2,191,266
Synovus Financial Corp.   37,574     1,841,126
Texas Capital Bancshares, Inc. (A)   21,661     1,241,392
The Bancorp, Inc. (A)   8,726     247,208
The Bank of NT Butterfield & Son, Ltd.   8,383     300,782
The Chiba Bank, Ltd.   85,864     504,856
The First Bancshares, Inc.   3,531     118,853
The First of Long Island Corp.   4,534     88,232
The PNC Financial Services Group, Inc.   48,978     9,033,992
The Shizuoka Bank, Ltd.   72,308     507,494
Tompkins Financial Corp.   2,319     181,508
Towne Bank   10,948     327,783
TriCo Bancshares   4,498     180,055
TriState Capital Holdings, Inc. (A)   4,995     165,984
Triumph Bancorp, Inc. (A)   4,005     376,550
Truist Financial Corp.   155,667     8,826,319
Trustmark Corp.   9,999     303,870
U.S. Bancorp   157,480     8,370,062
UMB Financial Corp.   18,343     1,782,206
Umpqua Holdings Corp.   55,935     1,054,934
UniCredit SpA   342,613     3,696,019
United Bankshares, Inc.   57,359     2,000,682
United Community Banks, Inc.   17,540     610,392
United Overseas Bank, Ltd.   191,239     4,474,610
Univest Financial Corp.   4,966     132,890
Valley National Bancorp   176,408     2,296,832
Veritex Holdings, Inc.   7,847     299,520
Washington Trust Bancorp, Inc.   2,816     147,840
Webster Financial Corp.   46,631     2,616,932
Wells Fargo & Company   453,139     21,959,116
WesBanco, Inc.   9,950     341,882
West BanCorp, Inc.   3,265     88,841
Westamerica BanCorp   4,485     271,343
Westpac Banking Corp.   594,334     10,737,576
Wintrust Financial Corp.   14,720     1,367,930
Zions Bancorp NA   17,681     1,159,166
          481,561,090
Capital markets – 2.7%      
3i Group PLC   157,665     2,850,955
abrdn PLC   353,296     989,262
Affiliated Managers Group, Inc.   10,497     1,479,552
Ameriprise Financial, Inc.   12,932     3,884,256
Amundi SA (B)   9,870     674,919
Artisan Partners Asset Management, Inc., Class A   9,880     388,778
 
  245  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets (continued)      
AssetMark Financial Holdings, Inc. (A)   3,408   $ 75,828
ASX, Ltd.   31,364     1,907,877
B. Riley Financial, Inc.   3,385     236,815
BGC Partners, Inc., Class A   53,387     234,903
BlackRock, Inc.   16,627     12,705,855
Blucora, Inc. (A)   8,408     164,376
Brightsphere Investment Group, Inc.   5,561     134,854
Cboe Global Markets, Inc.   12,436     1,422,927
CME Group, Inc.   41,911     9,968,950
Cohen & Steers, Inc.   4,154     356,787
Cowen, Inc., Class A   4,329     117,316
Credit Suisse Group AG (C)   429,437     3,380,577
Daiwa Securities Group, Inc. (C)   234,008     1,323,715
Deutsche Bank AG (A)   334,830     4,216,910
Deutsche Boerse AG   30,781     5,540,910
Diamond Hill Investment Group, Inc.   555     103,952
Donnelley Financial Solutions, Inc. (A)   4,959     164,936
Ellington Financial, Inc.   8,600     152,650
EQT AB   47,935     1,869,382
Euronext NV (B)   13,881     1,261,056
Evercore, Inc., Class A   10,075     1,121,549
FactSet Research Systems, Inc.   4,408     1,913,733
Federated Hermes, Inc.   40,588     1,382,427
Focus Financial Partners, Inc., Class A (A)   10,973     501,905
Franklin Resources, Inc.   32,790     915,497
Futu Holdings, Ltd., ADR (A)(C)   8,200     266,992
GCM Grosvenor, Inc., Class A   8,142     79,059
Greenhill & Company, Inc.   2,343     36,246
Hamilton Lane, Inc., Class A   5,895     455,625
Hargreaves Lansdown PLC   57,632     759,636
Hong Kong Exchanges & Clearing, Ltd.   195,171     9,148,311
Houlihan Lokey, Inc.   8,509     747,090
Interactive Brokers Group, Inc., Class A   22,561     1,486,996
Intercontinental Exchange, Inc.   65,520     8,656,502
Invesco, Ltd.   39,799     917,765
Janus Henderson Group PLC   43,711     1,530,759
Japan Exchange Group, Inc.   82,500     1,531,852
Jefferies Financial Group, Inc.   50,101     1,645,818
Julius Baer Group, Ltd.   35,840     2,074,938
London Stock Exchange Group PLC   53,309     5,559,091
Macquarie Group, Ltd.   54,904     8,303,354
MarketAxess Holdings, Inc.   4,434     1,508,447
Moelis & Company, Class A   10,288     483,022
Moody's Corp.   18,860     6,363,553
Morgan Stanley   165,312     14,448,269
MSCI, Inc.   9,477     4,765,794
Nasdaq, Inc.   13,650     2,432,430
Nomura Holdings, Inc.   497,613     2,092,844
Northern Trust Corp.   24,228     2,821,351
Open Lending Corp., Class A (A)   17,736     335,388
Oppenheimer Holdings, Inc., Class A   1,488     64,847
Partners Group Holding AG   3,677     4,552,867
Piper Sandler Companies   2,926     384,038
PJT Partners, Inc., Class A   3,928     247,935
Raymond James Financial, Inc.   21,788     2,394,719
S&P Global, Inc.   41,304     16,942,075
SBI Holdings, Inc.   39,690     1,001,413
Schroders PLC   20,139     848,042
Sculptor Capital Management, Inc.   3,994     55,636
SEI Investments Company   27,167     1,635,725
Singapore Exchange, Ltd.   130,248     954,516
St. James's Place PLC   87,521     1,650,067
State Street Corp.   42,679     3,718,194
StepStone Group, Inc., Class A   7,742     255,951
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets (continued)      
Stifel Financial Corp.   27,061   $ 1,837,442
StoneX Group, Inc. (A)   2,869     212,966
T. Rowe Price Group, Inc.   26,728     4,041,006
The Bank of New York Mellon Corp.   86,273     4,281,729
The Charles Schwab Corp.   175,316     14,780,892
The Goldman Sachs Group, Inc.   39,586     13,067,339
UBS Group AG   569,824     11,135,103
Virtus Investment Partners, Inc.   1,217     292,068
WisdomTree Investments, Inc.   23,432     137,546
          224,386,657
Consumer finance – 0.4%      
American Express Company   71,727     13,412,949
Atlanticus Holdings Corp. (A)   837     43,348
Capital One Financial Corp.   48,267     6,336,974
Curo Group Holdings Corp.   3,819     49,838
Discover Financial Services   33,585     3,700,731
Encore Capital Group, Inc. (A)   4,145     260,016
Enova International, Inc. (A)   5,977     226,947
EZCORP, Inc., Class A (A)   8,980     54,239
FirstCash Holdings, Inc.   17,110     1,203,517
Green Dot Corp., Class A (A)   9,105     250,205
LendingClub Corp. (A)   16,904     266,745
LendingTree, Inc. (A)   1,988     237,904
Navient Corp.   65,453     1,115,319
Nelnet, Inc., Class A   2,803     238,227
Oportun Financial Corp. (A)   3,901     56,018
PRA Group, Inc. (A)   7,275     327,957
PROG Holdings, Inc. (A)   24,315     699,543
Regional Management Corp.   1,347     65,424
SLM Corp.   72,236     1,326,253
Synchrony Financial   60,788     2,116,030
World Acceptance Corp. (A)   729     139,851
          32,128,035
Diversified financial services – 1.2%      
Alerus Financial Corp.   2,712     74,960
A-Mark Precious Metals, Inc.   1,457     112,684
Banco Latinoamericano de Comercio Exterior SA, Class E   5,578     86,905
Berkshire Hathaway, Inc., Class B (A)   213,564     75,368,871
Cannae Holdings, Inc. (A)   14,294     341,912
Eurazeo SE   6,417     539,499
EXOR NV   17,569     1,335,589
Groupe Bruxelles Lambert SA   17,731     1,834,737
Industrivarden AB, A Shares   21,125     599,123
Industrivarden AB, C Shares   26,334     734,031
Investor AB, A Shares   80,794     1,879,977
Investor AB, B Shares   295,164     6,413,392
Kinnevik AB, B Shares (A)   39,230     1,022,965
L.E. Lundbergforetagen AB, B Shares   12,313     624,914
M&G PLC   421,206     1,213,634
Mitsubishi HC Capital, Inc.   106,896     496,694
ORIX Corp.   197,883     3,944,313
Sofina SA   2,497     907,332
Tokyo Century Corp.   6,000     219,966
Voya Financial, Inc.   27,963     1,855,345
Wendel SE   4,349     442,875
          100,049,718
Insurance – 3.0%      
Admiral Group PLC   31,545     1,057,854
Aegon NV   290,052     1,537,603
Aflac, Inc.   69,964     4,504,982
Ageas SA/NV   27,854     1,408,110
AIA Group, Ltd.   1,959,735     20,463,312
Alleghany Corp. (A)   3,537     2,995,839
 
  246  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
Allianz SE   66,173   $ 15,802,648
Ambac Financial Group, Inc. (A)   8,546     88,878
American Equity Investment Life Holding Company   13,783     550,080
American Financial Group, Inc.   17,165     2,499,567
American International Group, Inc.   96,824     6,077,642
American National Group, Inc.   1,145     216,508
AMERISAFE, Inc.   3,421     169,921
Aon PLC, Class A   25,049     8,156,706
Argo Group International Holdings, Ltd.   5,431     224,192
Arthur J. Gallagher & Company   24,309     4,244,351
Assicurazioni Generali SpA (C)   179,301     4,100,999
Assurant, Inc.   6,644     1,208,079
Aviva PLC   614,031     3,633,166
AXA SA   315,396     9,233,005
Baloise Holding AG   7,420     1,325,186
Bright Health Group, Inc. (A)(C)   45,357     87,539
Brighthouse Financial, Inc. (A)   20,176     1,042,292
Brown & Brown, Inc.   27,343     1,976,079
BRP Group, Inc., Class A (A)   8,038     215,660
Chubb, Ltd.   50,230     10,744,197
Cincinnati Financial Corp.   17,476     2,376,037
Citizens, Inc. (A)   10,311     43,719
CNO Financial Group, Inc.   51,418     1,290,078
CNP Assurances   27,809     669,486
Dai-ichi Life Holdings, Inc.   162,837     3,308,976
Donegal Group, Inc., Class A   3,971     53,251
eHealth, Inc. (A)   4,581     56,850
Employers Holdings, Inc.   4,616     189,348
Enstar Group, Ltd. (A)   2,060     537,969
Everest Re Group, Ltd.   4,591     1,383,636
First American Financial Corp.   28,344     1,837,258
Genworth Financial, Inc., Class A (A)   83,217     314,560
Gjensidige Forsikring ASA (C)   32,401     803,454
Globe Life, Inc.   10,833     1,089,800
Goosehead Insurance, Inc., Class A   3,062     240,581
Greenlight Capital Re, Ltd., Class A (A)   6,725     47,546
Hannover Rueck SE   9,769     1,659,541
HCI Group, Inc.   989     67,430
Heritage Insurance Holdings, Inc.   5,689     40,619
Horace Mann Educators Corp.   6,953     290,844
Insurance Australia Group, Ltd.   399,359     1,307,017
James River Group Holdings, Ltd.   6,566     162,443
Japan Post Holdings Company, Ltd.   396,800     2,914,197
Japan Post Insurance Company, Ltd.   32,400     564,251
Kemper Corp.   15,450     873,543
Kinsale Capital Group, Inc.   9,158     2,088,207
Legal & General Group PLC   967,200     3,429,099
Lincoln National Corp.   19,424     1,269,553
Loews Corp.   22,866     1,482,174
Marsh & McLennan Companies, Inc.   58,878     10,033,989
MBIA, Inc. (A)   8,363     128,707
Medibank Private, Ltd.   446,161     1,025,067
Mercury General Corp.   6,863     377,465
MetLife, Inc.   81,825     5,750,661
MS&AD Insurance Group Holdings, Inc.   72,151     2,342,593
Muenchener Rueckversicherungs-Gesellschaft AG   22,697     6,067,808
National Western Life Group, Inc., Class A   449     94,470
NN Group NV   43,774     2,218,411
Old Republic International Corp.   73,725     1,907,266
Palomar Holdings, Inc. (A)   4,185     267,798
Phoenix Group Holdings PLC   113,349     908,140
Poste Italiane SpA (B)   84,640     959,868
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
Primerica, Inc.   10,197   $ 1,395,154
Principal Financial Group, Inc.   28,330     2,079,705
ProAssurance Corp.   9,185     246,893
Prudential Financial, Inc.   44,080     5,208,934
Prudential PLC   444,934     6,568,679
QBE Insurance Group, Ltd.   239,202     2,051,233
Reinsurance Group of America, Inc.   17,456     1,910,734
RenaissanceRe Holdings, Ltd.   11,392     1,805,746
RLI Corp.   17,034     1,884,471
Safety Insurance Group, Inc.   2,415     219,403
Sampo OYJ, A Shares   80,798     3,948,128
Selective Insurance Group, Inc.   25,641     2,291,280
Selectquote, Inc. (A)   24,041     67,074
SiriusPoint, Ltd. (A)   15,494     115,895
Sompo Holdings, Inc.   50,691     2,227,383
Stewart Information Services Corp.   4,441     269,169
Suncorp Group, Ltd.   204,550     1,695,657
Swiss Life Holding AG   5,108     3,273,235
Swiss Re AG   48,865     4,651,651
T&D Holdings, Inc.   85,925     1,166,688
The Allstate Corp.   32,722     4,532,324
The Hanover Insurance Group, Inc.   9,187     1,373,640
The Hartford Financial Services Group, Inc.   39,054     2,804,468
The Progressive Corp.   68,149     7,768,305
The Travelers Companies, Inc.   28,127     5,139,647
Tiptree, Inc.   4,340     55,769
Tokio Marine Holdings, Inc.   101,685     5,917,376
Trupanion, Inc. (A)   6,441     574,022
Tryg A/S   58,333     1,418,348
United Fire Group, Inc.   3,839     119,278
Universal Insurance Holdings, Inc.   5,057     68,219
Unum Group   52,793     1,663,507
W.R. Berkley Corp.   24,429     1,626,727
Willis Towers Watson PLC   14,234     3,362,355
Zurich Insurance Group AG   24,375     12,038,804
          257,578,006
Mortgage real estate investment trusts – 0.1%      
AFC Gamma, Inc.   2,651     50,687
Angel Oak Mortgage, Inc.   1,834     30,096
Apollo Commercial Real Estate Finance, Inc.   22,832     318,050
Arbor Realty Trust, Inc.   24,033     410,003
Ares Commercial Real Estate Corp.   7,715     119,737
ARMOUR Residential REIT, Inc.   15,446     129,746
Blackstone Mortgage Trust, Inc., Class A   26,081     829,115
BrightSpire Capital, Inc.   14,780     136,715
Broadmark Realty Capital, Inc.   21,322     184,435
Chimera Investment Corp.   39,026     469,873
Dynex Capital, Inc.   6,106     98,917
Franklin BSP Realty Trust, Inc.   6,744     94,281
Granite Point Mortgage Trust, Inc.   9,585     106,585
Great Ajax Corp.   4,706     55,201
Hannon Armstrong Sustainable Infrastructure Capital, Inc.   12,910     612,321
Invesco Mortgage Capital, Inc.   56,054     127,803
KKR Real Estate Finance Trust, Inc.   5,024     103,545
Ladder Capital Corp.   18,969     225,162
MFA Financial, Inc.   74,009     298,256
New York Mortgage Trust, Inc.   64,286     234,644
Orchid Island Capital, Inc.   23,916     77,727
PennyMac Mortgage Investment Trust   16,539     279,344
Ready Capital Corp.   11,128     167,588
Redwood Trust, Inc.   18,897     198,985
TPG RE Finance Trust, Inc.   10,158     119,966
 
  247  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Mortgage real estate investment trusts (continued)      
Two Harbors Investment Corp.   57,962   $ 320,530
          5,799,312
Thrifts and mortgage finance – 0.1%      
Axos Financial, Inc. (A)   9,495     440,473
Blue Foundry Bancorp (A)   6,081     82,398
Bridgewater Bancshares, Inc. (A)   4,471     74,576
Capitol Federal Financial, Inc.   22,016     239,534
Columbia Financial, Inc. (A)   6,355     136,696
Enact Holdings, Inc.   2,470     54,958
Essent Group, Ltd.   46,698     1,924,425
Federal Agricultural Mortgage Corp., Class C   1,500     162,720
Flagstar Bancorp, Inc.   8,297     351,793
FS Bancorp, Inc.   1,806     55,986
Home Bancorp, Inc.   1,546     63,061
Kearny Financial Corp.   11,746     151,288
Merchants Bancorp   2,361     64,644
MGIC Investment Corp.   83,029     1,125,043
Mr. Cooper Group, Inc. (A)   10,334     471,954
New York Community Bancorp, Inc.   120,077     1,287,225
NMI Holdings, Inc., Class A (A)   14,205     292,907
Northfield Bancorp, Inc.   7,687     110,385
Ocwen Financial Corp. (A)   1,554     36,923
PCSB Financial Corp.   3,732     71,319
PennyMac Financial Services, Inc.   4,945     263,074
Premier Financial Corp.   6,121     185,650
Provident Bancorp, Inc.   3,776     61,247
Provident Financial Services, Inc.   12,109     283,351
Radian Group, Inc.   30,126     669,098
Southern Missouri Bancorp, Inc.   1,300     64,935
The Hingham Institution for Savings   231     79,279
TrustCo Bank Corp. NY   3,408     108,817
Walker & Dunlop, Inc.   4,895     633,511
Washington Federal, Inc.   27,553     904,289
Waterstone Financial, Inc.   3,822     73,917
WSFS Financial Corp.   10,835     505,128
          11,030,604
          1,112,533,422
Health care – 12.8%          
Biotechnology – 1.8%      
2seventy bio, Inc. (A)   4,217     71,942
4D Molecular Therapeutics, Inc. (A)   5,085     76,885
AbbVie, Inc.   206,160     33,420,598
ACADIA Pharmaceuticals, Inc. (A)   20,227     489,898
Achillion Pharmaceuticals, Inc. (A)(D)   23,194     34,879
Acumen Pharmaceuticals, Inc. (A)   5,511     21,548
Adagio Therapeutics, Inc. (A)(C)   10,498     47,871
Adicet Bio, Inc. (A)   4,547     90,804
Aduro Biotech, Inc. (A)(D)   2,435     7,305
Aerovate Therapeutics, Inc. (A)   2,446     44,835
Affimed NV (A)   20,209     88,313
Agenus, Inc. (A)   38,538     94,803
Agios Pharmaceuticals, Inc. (A)   9,349     272,149
Akebia Therapeutics, Inc. (A)   32,022     22,989
Akero Therapeutics, Inc. (A)   4,841     68,694
Alaunos Therapeutics, Inc. (A)(C)   40,464     26,399
Albireo Pharma, Inc. (A)   3,049     90,952
Aldeyra Therapeutics, Inc. (A)   9,206     40,921
Alector, Inc. (A)   9,996     142,443
Alkermes PLC (A)   27,027     711,080
Allakos, Inc. (A)   6,686     38,110
Allogene Therapeutics, Inc. (A)   11,887     108,291
Allovir, Inc. (A)   5,566     37,571
Altimmune, Inc. (A)(C)   7,677     46,753
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
ALX Oncology Holdings, Inc. (A)   3,175   $ 53,658
Amgen, Inc.   65,685     15,883,947
Amicus Therapeutics, Inc. (A)   44,592     422,286
AnaptysBio, Inc. (A)   3,299     81,617
Anavex Life Sciences Corp. (A)(C)   11,456     141,023
Anika Therapeutics, Inc. (A)   2,618     65,738
Apellis Pharmaceuticals, Inc. (A)   12,245     622,168
Applied Molecular Transport, Inc. (A)   5,008     37,660
AquaBounty Technologies, Inc. (A)   14,014     26,206
Arbutus Biopharma Corp. (A)   16,379     48,809
Arcellx, Inc. (A)   1,840     25,797
Arcturus Therapeutics Holdings, Inc. (A)   3,723     100,372
Arcus Biosciences, Inc. (A)   7,559     238,562
Arcutis Biotherapeutics, Inc. (A)   4,931     94,971
Argenx SE (A)   7,427     2,323,694
Arrowhead Pharmaceuticals, Inc. (A)   44,632     2,052,626
Atara Biotherapeutics, Inc. (A)   14,939     138,783
Athersys, Inc. (A)(C)   44,149     26,732
Atossa Therapeutics, Inc. (A)   21,646     27,058
Aura Biosciences, Inc. (A)   1,128     24,816
Avid Bioservices, Inc. (A)   10,204     207,855
Avidity Biosciences, Inc. (A)   6,636     122,567
Avita Medical, Inc. (A)   4,867     41,272
Beam Therapeutics, Inc. (A)   8,620     493,926
BioCryst Pharmaceuticals, Inc. (A)   30,340     493,328
Biogen, Inc. (A)   17,130     3,607,578
Biohaven Pharmaceutical Holding Company, Ltd. (A)   9,365     1,110,408
Bioxcel Therapeutics, Inc. (A)   3,119     65,218
Bluebird Bio, Inc. (A)   13,090     63,487
Blueprint Medicines Corp. (A)   9,884     631,390
Bridgebio Pharma, Inc. (A)   18,350     186,253
C4 Therapeutics, Inc. (A)   6,666     161,717
CareDx, Inc. (A)   8,550     316,265
Caribou Biosciences, Inc. (A)(C)   8,997     82,592
Catalyst Pharmaceuticals, Inc. (A)   16,531     137,042
Celldex Therapeutics, Inc. (A)   7,782     265,055
CEL-SCI Corp. (A)   6,481     25,470
Century Therapeutics, Inc. (A)(C)   3,274     41,220
Cerevel Therapeutics Holdings, Inc. (A)   6,889     241,184
ChemoCentryx, Inc. (A)   9,143     229,215
Chimerix, Inc. (A)   13,189     60,406
Chinook Therapeutics, Inc. (A)   7,128     116,614
Clovis Oncology, Inc. (A)   23,081     46,624
Cogent Biosciences, Inc. (A)   6,797     50,910
Coherus Biosciences, Inc. (A)   11,254     145,289
Cortexyme, Inc. (A)   4,126     25,540
Crinetics Pharmaceuticals, Inc. (A)   7,887     173,120
CSL, Ltd.   77,560     15,484,279
Cue Biopharma, Inc. (A)   6,069     29,617
Cullinan Oncology, Inc. (A)   4,928     51,596
Curis, Inc. (A)   15,765     37,521
Cytokinetics, Inc. (A)   13,355     491,598
CytomX Therapeutics, Inc. (A)   12,927     34,515
Day One Biopharmaceuticals, Inc. (A)   4,263     42,289
Deciphera Pharmaceuticals, Inc. (A)   7,413     68,719
Denali Therapeutics, Inc. (A)   15,402     495,482
DermTech, Inc. (A)   4,523     66,398
Design Therapeutics, Inc. (A)   4,634     74,839
Dynavax Technologies Corp. (A)   18,177     197,039
Dyne Therapeutics, Inc. (A)   5,677     54,726
Eagle Pharmaceuticals, Inc. (A)   1,928     95,417
Editas Medicine, Inc. (A)   11,715     222,819
Eiger BioPharmaceuticals, Inc. (A)   6,247     51,850
Emergent BioSolutions, Inc. (A)   8,287     340,264
 
  248  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Enanta Pharmaceuticals, Inc. (A)   3,299   $ 234,823
Epizyme, Inc. (A)   29,278     33,670
Erasca, Inc. (A)   11,162     95,993
Exelixis, Inc. (A)   81,699     1,852,116
Fate Therapeutics, Inc. (A)   13,719     531,886
FibroGen, Inc. (A)   14,837     178,341
Foghorn Therapeutics, Inc. (A)   3,523     53,655
Forma Therapeutics Holdings, Inc. (A)   6,864     63,835
G1 Therapeutics, Inc. (A)(C)   7,649     58,132
Generation Bio Company (A)   8,343     61,238
Genmab A/S (A)   10,644     3,844,113
Geron Corp. (A)(C)   52,665     71,624
Gilead Sciences, Inc.   146,279     8,696,287
Global Blood Therapeutics, Inc. (A)   10,509     364,032
Gossamer Bio, Inc. (A)   11,099     96,339
Graphite Bio, Inc. (A)   5,534     28,223
Grifols SA   48,325     877,130
Gritstone bio, Inc. (A)   8,175     33,681
Halozyme Therapeutics, Inc. (A)   59,635     2,378,244
Heron Therapeutics, Inc. (A)(C)   16,738     95,741
Homology Medicines, Inc. (A)   8,835     26,858
Humanigen, Inc. (A)   9,089     27,358
Icosavax, Inc. (A)   4,280     30,131
Ideaya Biosciences, Inc. (A)   5,992     67,050
Imago Biosciences, Inc. (A)   3,535     68,119
Immuneering Corp., Class A (A)   3,757     24,308
Immunic, Inc. (A)(C)   3,553     40,149
ImmunityBio, Inc. (A)(C)   12,233     68,627
ImmunoGen, Inc. (A)   36,996     176,101
Immunovant, Inc. (A)   8,383     46,190
Incyte Corp. (A)   21,938     1,742,316
Inhibrx, Inc. (A)   4,815     107,278
Inovio Pharmaceuticals, Inc. (A)(C)   35,878     128,802
Insmed, Inc. (A)   20,041     470,964
Instil Bio, Inc. (A)(C)   9,457     101,663
Intellia Therapeutics, Inc. (A)   11,724     851,983
Intercept Pharmaceuticals, Inc. (A)   4,570     74,354
Ironwood Pharmaceuticals, Inc. (A)   24,404     307,002
iTeos Therapeutics, Inc. (A)   3,445     110,860
IVERIC bio, Inc. (A)   19,307     324,937
Janux Therapeutics, Inc. (A)(C)   3,179     45,587
Jounce Therapeutics, Inc. (A)   6,162     41,840
KalVista Pharmaceuticals, Inc. (A)   4,115     60,655
Karuna Therapeutics, Inc. (A)   3,737     473,814
Karyopharm Therapeutics, Inc. (A)   12,790     94,262
Keros Therapeutics, Inc. (A)   2,686     146,065
Kezar Life Sciences, Inc. (A)   6,388     106,169
Kiniksa Pharmaceuticals, Ltd., Class A (A)   5,588     55,545
Kinnate Biopharma, Inc. (A)   5,127     57,730
Kodiak Sciences, Inc. (A)   6,134     47,354
Kronos Bio, Inc. (A)   7,392     53,444
Krystal Biotech, Inc. (A)   3,402     226,369
Kura Oncology, Inc. (A)   10,974     176,462
Kymera Therapeutics, Inc. (A)   5,858     247,911
Lexicon Pharmaceuticals, Inc. (A)   14,735     30,796
Ligand Pharmaceuticals, Inc. (A)   2,548     286,625
Lineage Cell Therapeutics, Inc. (A)(C)   25,249     38,883
Lyell Immunopharma, Inc. (A)   25,658     129,573
MacroGenics, Inc. (A)   10,765     94,840
Madrigal Pharmaceuticals, Inc. (A)   2,027     198,889
MannKind Corp. (A)   42,525     156,492
MEI Pharma, Inc. (A)   24,555     14,794
MeiraGTx Holdings PLC (A)   5,224     72,352
Mersana Therapeutics, Inc. (A)   13,963     55,712
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
MiMedx Group, Inc. (A)   19,354   $ 91,157
Moderna, Inc. (A)   41,135     7,085,915
Monte Rosa Therapeutics, Inc. (A)(C)   5,136     72,007
Morphic Holding, Inc. (A)   3,609     144,901
Myriad Genetics, Inc. (A)   13,450     338,940
Neurocrine Biosciences, Inc. (A)   24,625     2,308,594
Nkarta, Inc. (A)   2,938     33,434
Nurix Therapeutics, Inc. (A)   5,600     78,456
Nuvalent, Inc., Class A (A)(C)   3,383     46,990
Ocugen, Inc. (A)(C)   31,741     104,745
Olema Pharmaceuticals, Inc. (A)   5,402     23,013
Omega Therapeutics, Inc. (A)   4,204     26,233
OPKO Health, Inc. (A)   67,993     233,896
Organogenesis Holdings, Inc. (A)   12,180     92,812
ORIC Pharmaceuticals, Inc. (A)   6,257     33,412
Outlook Therapeutics, Inc. (A)   20,772     36,974
Oyster Point Pharma, Inc. (A)   2,372     27,610
PDL BioPharma, Inc. (A)(C)(D)   23,030     41,224
PMV Pharmaceuticals, Inc. (A)   4,807     100,082
Poseida Therapeutics, Inc. (A)   6,349     28,444
Praxis Precision Medicines, Inc. (A)   6,207     63,373
Precigen, Inc. (A)   19,533     41,215
Precision BioSciences, Inc. (A)   10,259     31,598
Progenics Pharmaceuticals, Inc. (A)(D)   15,140     12,869
Prometheus Biosciences, Inc. (A)   5,046     190,537
Protagonist Therapeutics, Inc. (A)   7,579     179,471
Prothena Corp. PLC (A)   6,128     224,101
PTC Therapeutics, Inc. (A)   11,784     439,661
Radius Health, Inc. (A)   8,306     73,342
Rallybio Corp. (A)   3,476     24,262
RAPT Therapeutics, Inc. (A)   3,684     81,011
Recursion Pharmaceuticals, Inc., Class A (A)(C)   19,913     142,577
Regeneron Pharmaceuticals, Inc. (A)   12,445     8,691,837
REGENXBIO, Inc. (A)   6,749     223,999
Relay Therapeutics, Inc. (A)   11,957     357,873
Replimune Group, Inc. (A)   5,448     92,507
REVOLUTION Medicines, Inc. (A)   10,282     262,294
Rhythm Pharmaceuticals, Inc. (A)   8,119     93,531
Rigel Pharmaceuticals, Inc. (A)   31,224     93,360
Rocket Pharmaceuticals, Inc. (A)   7,318     116,063
Rubius Therapeutics, Inc. (A)   8,779     48,372
Sana Biotechnology, Inc. (A)   15,278     126,196
Sangamo Therapeutics, Inc. (A)   21,008     122,056
Scholar Rock Holding Corp. (A)   5,095     65,675
Selecta Biosciences, Inc. (A)   19,685     24,213
Seres Therapeutics, Inc. (A)   12,562     89,441
Shattuck Labs, Inc. (A)   5,883     25,062
Sorrento Therapeutics, Inc. (A)(C)   51,646     120,335
Spectrum Pharmaceuticals, Inc. (A)   31,926     41,185
Spero Therapeutics, Inc. (A)   5,054     43,970
SpringWorks Therapeutics, Inc. (A)   4,955     279,660
Stoke Therapeutics, Inc. (A)   3,453     72,686
Sutro Biopharma, Inc. (A)   8,002     65,776
Syndax Pharmaceuticals, Inc. (A)   8,502     147,765
Talaris Therapeutics, Inc. (A)   3,350     32,964
Taysha Gene Therapies, Inc. (A)   5,008     32,652
Tenaya Therapeutics, Inc. (A)   5,201     61,268
TG Therapeutics, Inc. (A)   22,139     210,542
Travere Therapeutics, Inc. (A)   10,032     258,525
Turning Point Therapeutics, Inc. (A)   7,886     211,739
Twist Bioscience Corp. (A)   9,362     462,296
Tyra Biosciences, Inc. (A)   2,229     23,850
United Therapeutics Corp. (A)   11,629     2,086,359
UroGen Pharma, Ltd. (A)(C)   4,095     35,667
 
  249  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Vanda Pharmaceuticals, Inc. (A)   9,588   $ 108,440
Vaxart, Inc. (A)(C)   20,843     105,049
Vaxcyte, Inc. (A)   7,347     177,430
VBI Vaccines, Inc. (A)   34,679     57,567
Vera Therapeutics, Inc. (A)   2,431     57,104
Veracyte, Inc. (A)   11,471     316,255
Verastem, Inc. (A)   32,586     45,946
Vericel Corp. (A)   7,866     300,639
Vertex Pharmaceuticals, Inc. (A)   29,687     7,747,416
Verve Therapeutics, Inc. (A)(C)   6,269     143,059
Viking Therapeutics, Inc. (A)   13,134     39,402
Vir Biotechnology, Inc. (A)   10,118     260,235
VistaGen Therapeutics, Inc. (A)   36,363     45,090
Vor BioPharma, Inc. (A)   4,190     25,308
XBiotech, Inc.   3,068     26,508
Xencor, Inc. (A)   9,654     257,569
XOMA Corp. (A)   1,147     32,093
Y-mAbs Therapeutics, Inc. (A)(C)   6,335     75,260
Zentalis Pharmaceuticals, Inc. (A)   6,184     285,330
          150,047,659
Health care equipment and supplies – 2.5%      
Abbott Laboratories   206,207     24,406,661
ABIOMED, Inc. (A)   5,308     1,758,222
Accuray, Inc. (A)   16,867     55,830
Alcon, Inc.   80,954     6,413,655
Align Technology, Inc. (A)   8,552     3,728,672
Alphatec Holdings, Inc. (A)   12,258     140,967
Ambu A/S, Class B (C)   27,143     399,576
AngioDynamics, Inc. (A)   6,483     139,644
Apyx Medical Corp. (A)   5,976     39,023
Artivion, Inc. (A)   6,588     140,851
Asahi Intecc Company, Ltd.   35,200     686,704
Asensus Surgical, Inc. (A)(C)   42,796     26,825
AtriCure, Inc. (A)   7,544     495,414
Atrion Corp.   230     163,990
Avanos Medical, Inc. (A)   8,158     273,293
Axogen, Inc. (A)   7,166     56,898
Axonics, Inc. (A)   7,714     482,896
Baxter International, Inc.   58,388     4,527,406
Becton, Dickinson and Company   33,208     8,833,328
BioLife Solutions, Inc. (A)   1,836     41,732
BioMerieux   6,711     716,270
Bioventus, Inc., Class A (A)   4,829     68,089
Boston Scientific Corp. (A)   166,174     7,359,846
Butterfly Network, Inc. (A)   23,514     111,927
Cardiovascular Systems, Inc. (A)   6,856     154,946
Carl Zeiss Meditec AG, Bearer Shares   6,520     1,050,223
Cerus Corp. (A)   28,832     158,288
ClearPoint Neuro, Inc. (A)   3,726     38,788
Cochlear, Ltd.   10,656     1,779,137
Coloplast A/S, B Shares   19,246     2,914,585
CONMED Corp.   4,860     721,953
CryoPort, Inc. (A)   6,890     240,530
Cue Health, Inc. (A)(C)   2,658     17,144
Cutera, Inc. (A)   3,028     208,932
CytoSorbents Corp. (A)   8,585     27,386
Demant A/S (A)   17,506     792,233
Dentsply Sirona, Inc.   25,493     1,254,765
DexCom, Inc. (A)   11,302     5,782,103
DiaSorin SpA   4,079     637,111
Eargo, Inc. (A)   6,272     33,179
Edwards Lifesciences Corp. (A)   72,806     8,570,722
Envista Holdings Corp. (A)   41,916     2,041,728
Fisher & Paykel Healthcare Corp., Ltd.   93,486     1,568,713
Getinge AB, B Shares   37,057     1,476,313
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Glaukos Corp. (A)   7,701   $ 445,272
Globus Medical, Inc., Class A (A)   20,410     1,505,850
GN Store Nord A/S   20,147     987,533
Haemonetics Corp. (A)   21,713     1,372,696
Heska Corp. (A)   1,665     230,236
Hologic, Inc. (A)   29,152     2,239,457
Hoya Corp.   59,907     6,826,873
ICU Medical, Inc. (A)   5,155     1,147,709
IDEXX Laboratories, Inc. (A)   9,888     5,409,329
Inari Medical, Inc. (A)   5,811     526,709
Inmode, Ltd. (A)   8,000     295,280
Inogen, Inc. (A)   3,416     110,747
Integer Holdings Corp. (A)   5,504     443,457
Integra LifeSciences Holdings Corp. (A)   18,809     1,208,666
Intersect ENT, Inc. (A)   5,698     159,601
Intuitive Surgical, Inc. (A)   41,718     12,585,486
iRadimed Corp.   1,049     47,037
iRhythm Technologies, Inc. (A)   4,966     781,996
Koninklijke Philips NV   148,624     4,532,094
Lantheus Holdings, Inc. (A)   11,319     626,054
LeMaitre Vascular, Inc.   3,239     150,516
LivaNova PLC (A)   22,746     1,861,305
Masimo Corp. (A)   13,199     1,920,982
Medtronic PLC   156,794     17,396,294
Meridian Bioscience, Inc. (A)   7,187     186,575
Merit Medical Systems, Inc. (A)   8,626     573,802
Mesa Laboratories, Inc.   832     212,060
Natus Medical, Inc. (A)   5,827     153,134
Neogen Corp. (A)   46,204     1,424,931
Nevro Corp. (A)   5,874     424,866
NuVasive, Inc. (A)   22,104     1,253,297
Olympus Corp.   178,908     3,390,769
OraSure Technologies, Inc. (A)   12,339     83,658
Ortho Clinical Diagnostics Holdings PLC (A)   20,316     379,097
Orthofix Medical, Inc. (A)   3,350     109,545
OrthoPediatrics Corp. (A)   2,376     128,280
Outset Medical, Inc. (A)   7,954     361,112
Paragon 28, Inc. (A)   1,699     28,441
Penumbra, Inc. (A)   9,068     2,014,275
PROCEPT BioRobotics Corp. (A)   1,282     44,857
Pulmonx Corp. (A)   4,645     115,242
Quidel Corp. (A)   9,793     1,101,321
ResMed, Inc.   17,053     4,135,523
RxSight, Inc. (A)   3,333     41,263
SeaSpine Holdings Corp. (A)   5,978     72,692
Senseonics Holdings, Inc. (A)   74,139     146,054
Shockwave Medical, Inc. (A)   5,666     1,174,902
SI-BONE, Inc. (A)   5,808     131,261
Siemens Healthineers AG (B)   45,686     2,831,195
Sientra, Inc. (A)   13,371     29,684
Sight Sciences, Inc. (A)   3,943     45,581
Silk Road Medical, Inc. (A)   5,893     243,322
Smith & Nephew PLC   142,450     2,265,648
Sonova Holding AG   8,699     3,633,903
STAAR Surgical Company (A)   20,292     1,621,534
Stereotaxis, Inc. (A)   9,069     33,827
STERIS PLC   11,676     2,822,907
Straumann Holding AG   1,677     2,677,643
Stryker Corp.   39,152     10,467,287
Surmodics, Inc. (A)   2,388     108,248
Sysmex Corp.   27,179     1,968,507
Tactile Systems Technology, Inc. (A)   3,432     69,189
Tandem Diabetes Care, Inc. (A)   16,405     1,907,737
Teleflex, Inc.   5,463     1,938,436
 
  250  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Terumo Corp.   104,634   $ 3,166,067
The Cooper Companies, Inc.   5,749     2,400,725
TransMedics Group, Inc. (A)   4,552     122,631
Treace Medical Concepts, Inc. (A)   5,171     97,784
Utah Medical Products, Inc.   639     57,421
Vapotherm, Inc. (A)   4,032     56,045
Varex Imaging Corp. (A)   6,555     139,556
ViewRay, Inc. (A)   26,036     102,061
Zimmer Biomet Holdings, Inc.   24,362     3,115,900
          212,957,472
Health care providers and services – 2.1%      
1Life Healthcare, Inc. (A)   19,923     220,747
Acadia Healthcare Company, Inc. (A)   23,223     1,521,803
Accolade, Inc. (A)   8,916     156,565
AdaptHealth Corp. (A)   12,137     194,556
Addus HomeCare Corp. (A)   2,619     244,327
Agiliti, Inc. (A)   4,118     86,890
Alignment Healthcare, Inc. (A)   13,761     154,536
Amedisys, Inc. (A)   8,418     1,450,337
AmerisourceBergen Corp.   17,560     2,716,708
AMN Healthcare Services, Inc. (A)   7,895     823,685
Amplifon SpA   20,172     897,751
Anthem, Inc.   28,304     13,903,491
Apollo Medical Holdings, Inc. (A)(C)   6,333     306,961
Aveanna Healthcare Holdings, Inc. (A)   7,173     24,460
Brookdale Senior Living, Inc. (A)   31,655     223,168
Cardinal Health, Inc.   32,309     1,831,920
Castle Biosciences, Inc. (A)   3,669     164,591
Centene Corp. (A)   68,045     5,728,709
Chemed Corp.   4,000     2,026,200
Cigna Corp.   37,660     9,023,713
Community Health Systems, Inc. (A)   20,946     248,629
CorVel Corp. (A)   1,461     246,091
Covetrus, Inc. (A)   17,741     297,871
Cross Country Healthcare, Inc. (A)   6,074     131,624
CVS Health Corp.   153,057     15,490,899
DaVita, Inc. (A)   7,187     812,922
Encompass Health Corp.   25,691     1,826,887
Fresenius Medical Care AG & Company KGaA   33,227     2,226,568
Fresenius SE & Company KGaA   67,855     2,491,394
Fulgent Genetics, Inc. (A)   3,518     219,558
Hanger, Inc. (A)   6,556     120,171
HCA Healthcare, Inc.   27,928     6,999,315
HealthEquity, Inc. (A)   35,326     2,382,385
Henry Schein, Inc. (A)   16,171     1,409,949
Humana, Inc.   14,989     6,522,763
InfuSystem Holdings, Inc. (A)   3,413     33,447
Invitae Corp. (A)   34,233     272,837
Laboratory Corp. of America Holdings (A)   10,857     2,862,557
LHC Group, Inc. (A)   13,323     2,246,258
LifeStance Health Group, Inc. (A)   12,460     125,971
McKesson Corp.   17,469     5,347,785
Medipal Holdings Corp.   29,741     489,363
MEDNAX, Inc. (A)   12,965     304,418
ModivCare, Inc. (A)   2,112     243,704
Molina Healthcare, Inc. (A)   6,810     2,271,748
National HealthCare Corp.   2,149     150,924
National Research Corp.   2,386     94,605
NMC Health PLC (A)   19,536     39
Option Care Health, Inc. (A)   62,520     1,785,571
Orpea SA   8,377     363,509
Owens & Minor, Inc.   12,163     535,415
Patterson Companies, Inc.   36,771     1,190,277
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care providers and services (continued)      
PetIQ, Inc. (A)   4,764   $ 116,242
Privia Health Group, Inc. (A)   7,202     192,509
Progyny, Inc. (A)   28,861     1,483,455
Quest Diagnostics, Inc.   13,877     1,899,206
R1 RCM, Inc. (A)   54,431     1,456,574
RadNet, Inc. (A)   7,722     172,741
Ramsay Health Care, Ltd.   29,664     1,436,643
Ryman Healthcare, Ltd.   68,853     445,658
Select Medical Holdings Corp.   18,649     447,390
SOC Telemed, Inc. (A)   11,798     35,276
Sonic Healthcare, Ltd.   73,824     1,949,119
Surgery Partners, Inc. (A)   5,820     320,391
Tenet Healthcare Corp. (A)   45,636     3,922,871
The Ensign Group, Inc.   8,831     794,878
The Joint Corp. (A)   2,374     84,016
The Pennant Group, Inc. (A)   4,787     89,182
Tivity Health, Inc. (A)   7,520     241,918
UnitedHealth Group, Inc.   109,833     56,011,535
Universal Health Services, Inc., Class B   8,527     1,235,989
US Physical Therapy, Inc.   2,173     216,105
Viemed Healthcare, Inc. (A)   6,887     34,297
          174,032,567
Health care technology – 0.1%      
Allscripts Healthcare Solutions, Inc. (A)   20,393     459,250
American Well Corp., Class A (A)   32,200     135,562
Cerner Corp.   34,310     3,210,044
Computer Programs & Systems, Inc. (A)   2,530     87,159
Evolent Health, Inc., Class A (A)   13,476     435,275
Health Catalyst, Inc. (A)   9,028     235,902
HealthStream, Inc. (A)   4,408     87,807
Inspire Medical Systems, Inc. (A)   4,517     1,159,469
M3, Inc.   71,486     2,581,786
MultiPlan Corp. (A)(C)   56,149     262,777
NextGen Healthcare, Inc. (A)   9,520     199,063
Omnicell, Inc. (A)   7,342     950,716
OptimizeRx Corp. (A)   2,892     109,057
Phreesia, Inc. (A)   8,486     223,691
Schrodinger, Inc. (A)   7,720     263,406
Simulations Plus, Inc.   2,601     132,599
          10,533,563
Life sciences tools and services – 1.3%      
Absci Corp. (A)   9,709     81,847
Agilent Technologies, Inc.   35,027     4,635,123
Akoya Biosciences, Inc. (A)   2,623     28,827
Bachem Holding AG, Class B   1,004     552,544
Berkeley Lights, Inc. (A)   8,714     61,957
Bionano Genomics, Inc. (A)(C)   50,885     131,283
Bio-Rad Laboratories, Inc., Class A (A)   2,520     1,419,340
Bio-Techne Corp.   4,582     1,984,189
Bruker Corp.   26,237     1,687,039
Charles River Laboratories International, Inc. (A)   5,885     1,671,163
Codexis, Inc. (A)   10,207     210,468
Cytek Biosciences, Inc. (A)   16,613     179,088
Danaher Corp.   74,207     21,767,139
Eurofins Scientific SE   21,773     2,153,845
Fluidigm Corp. (A)   14,307     51,362
Harvard Bioscience, Inc. (A)   7,813     48,519
Illumina, Inc. (A)   18,227     6,368,514
Inotiv, Inc. (A)   2,998     78,488
IQVIA Holdings, Inc. (A)   22,278     5,150,896
Lonza Group AG   12,064     8,741,614
MaxCyte, Inc. (A)   17,302     120,941
Medpace Holdings, Inc. (A)   12,292     2,010,848
Mettler-Toledo International, Inc. (A)   2,680     3,680,149
 
  251  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Life sciences tools and services (continued)      
NanoString Technologies, Inc. (A)   7,770   $ 270,008
NeoGenomics, Inc. (A)   19,296     234,446
Pacific Biosciences of California, Inc. (A)   33,008     300,373
PerkinElmer, Inc.   14,717     2,567,528
Personalis, Inc. (A)   7,019     57,486
QIAGEN NV (A)   37,395     1,834,968
Quanterix Corp. (A)   5,375     156,896
Repligen Corp. (A)   13,343     2,509,685
Sartorius Stedim Biotech   4,480     1,834,176
Seer, Inc. (A)(C)   7,341     111,877
Singular Genomics Systems, Inc. (A)   8,484     53,534
Syneos Health, Inc. (A)   26,924     2,179,498
Thermo Fisher Scientific, Inc.   45,952     27,141,549
Waters Corp. (A)   7,118     2,209,356
West Pharmaceutical Services, Inc.   8,639     3,548,124
          107,824,687
Pharmaceuticals – 5.0%      
9 Meters Biopharma, Inc. (A)   44,726     26,804
Aclaris Therapeutics, Inc. (A)   8,731     150,522
Aerie Pharmaceuticals, Inc. (A)   7,864     71,562
Amneal Pharmaceuticals, Inc. (A)   17,426     72,666
Amphastar Pharmaceuticals, Inc. (A)   6,220     223,298
Amylyx Pharmaceuticals, Inc. (A)   1,669     21,447
ANI Pharmaceuticals, Inc. (A)   1,883     52,931
Antares Pharma, Inc. (A)   29,477     120,856
Arvinas, Inc. (A)   7,935     534,026
Astellas Pharma, Inc.   301,647     4,713,199
AstraZeneca PLC   250,971     33,281,992
Atea Pharmaceuticals, Inc. (A)   11,644     84,070
Athira Pharma, Inc. (A)   5,950     80,325
Axsome Therapeutics, Inc. (A)   4,750     196,603
Bayer AG   159,159     10,886,327
Bristol-Myers Squibb Company   254,185     18,563,131
Cara Therapeutics, Inc. (A)   7,825     95,074
Cassava Sciences, Inc. (A)(C)   6,438     239,107
Catalent, Inc. (A)   20,886     2,316,257
Chugai Pharmaceutical Company, Ltd.   108,802     3,630,549
CinCor Pharma, Inc. (A)   2,129     37,343
Citius Pharmaceuticals, Inc. (A)   23,514     42,090
Collegium Pharmaceutical, Inc. (A)   5,838     118,862
Corcept Therapeutics, Inc. (A)   14,875     334,985
CorMedix, Inc. (A)   7,331     40,174
Cymabay Therapeutics, Inc. (A)   16,391     50,976
Daiichi Sankyo Company, Ltd.   283,858     6,198,602
DICE Therapeutics, Inc. (A)   2,524     48,284
Durect Corp. (A)   43,508     29,146
Edgewise Therapeutics, Inc. (A)   6,899     66,920
Eisai Company, Ltd.   38,468     1,782,167
Eli Lilly & Company   92,588     26,514,426
Endo International PLC (A)   39,754     91,832
Esperion Therapeutics, Inc. (A)   10,995     51,017
Evolus, Inc. (A)   5,827     65,379
EyePoint Pharmaceuticals, Inc. (A)   4,527     55,003
Fulcrum Therapeutics, Inc. (A)   4,864     115,034
GlaxoSmithKline PLC   815,174     17,637,873
Harmony Biosciences Holdings, Inc. (A)   3,875     188,519
Hikma Pharmaceuticals PLC   28,126     758,782
Ikena Oncology, Inc. (A)   5,292     32,281
Innoviva, Inc. (A)   7,015     135,740
Intra-Cellular Therapies, Inc. (A)   13,516     827,044
Ipsen SA   6,110     764,817
Jazz Pharmaceuticals PLC (A)   15,948     2,482,625
Johnson & Johnson   306,998     54,409,256
KemPharm, Inc. (A)(C)   5,959     29,974
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Kyowa Kirin Company, Ltd.   43,759   $ 1,018,005
Marinus Pharmaceuticals, Inc. (A)   6,860     64,141
Merck & Company, Inc.   294,560     24,168,648
Merck KGaA   20,938     4,372,576
Mind Medicine MindMed, Inc. (A)   58,229     64,634
NGM Biopharmaceuticals, Inc. (A)   5,807     88,557
Nippon Shinyaku Company, Ltd.   8,000     543,921
Novartis AG   354,952     31,161,769
Novo Nordisk A/S, B Shares   272,808     30,258,793
Nuvation Bio, Inc. (A)   27,715     145,781
Ocular Therapeutix, Inc. (A)   13,989     69,246
Omeros Corp. (A)(C)   10,904     65,533
Ono Pharmaceutical Company, Ltd.   59,900     1,501,417
Oramed Pharmaceuticals, Inc. (A)   6,595     57,047
Organon & Company   29,567     1,032,775
Orion OYJ, Class B   17,208     781,532
Otsuka Holdings Company, Ltd.   63,293     2,186,632
Pacira BioSciences, Inc. (A)   7,430     567,058
Paratek Pharmaceuticals, Inc. (A)   10,368     30,793
Perrigo Company PLC   34,543     1,327,487
Pfizer, Inc.   654,539     33,885,484
Phathom Pharmaceuticals, Inc. (A)   4,035     54,916
Phibro Animal Health Corp., Class A   3,700     73,815
Pliant Therapeutics, Inc. (A)   5,208     36,508
Prestige Consumer Healthcare, Inc. (A)   8,327     440,831
Provention Bio, Inc. (A)   9,957     72,885
Reata Pharmaceuticals, Inc., Class A (A)   4,717     154,529
Recordati Industria Chimica e Farmaceutica SpA   16,940     849,361
Relmada Therapeutics, Inc. (A)   4,302     116,111
Revance Therapeutics, Inc. (A)   12,214     238,173
Roche Holding AG   113,819     45,033,819
Roche Holding AG, Bearer Shares   5,184     2,267,227
Sanofi   184,229     18,835,497
Santen Pharmaceutical Company, Ltd.   58,400     583,908
Shionogi & Company, Ltd.   42,911     2,636,596
SIGA Technologies, Inc. (A)   8,282     58,719
Sumitomo Dainippon Pharma Company, Ltd.   28,992     286,028
Supernus Pharmaceuticals, Inc. (A)   8,209     265,315
Taisho Pharmaceutical Holdings Company, Ltd.   6,216     288,557
Takeda Pharmaceutical Company, Ltd.   256,298     7,302,496
Tarsus Pharmaceuticals, Inc. (A)   1,681     28,274
Teva Pharmaceutical Industries, Ltd., ADR (A)   178,708     1,678,068
TherapeuticsMD, Inc. (A)(C)   83,719     31,813
Theravance Biopharma, Inc. (A)   10,451     99,912
Theseus Pharmaceuticals, Inc. (A)   2,255     26,000
UCB SA   20,482     2,449,584
Viatris, Inc.   141,032     1,534,428
Vifor Pharma AG   7,898     1,399,194
Zoetis, Inc.   55,173     10,405,076
Zogenix, Inc. (A)(D)   9,475     6,443
          418,915,809
          1,074,311,757
Industrials – 11.1%          
Aerospace and defense – 1.3%      
AAR Corp. (A)   5,693     275,712
Aerojet Rocketdyne Holdings, Inc. (A)   12,545     493,646
AeroVironment, Inc. (A)   3,798     357,544
AerSale Corp. (A)   2,679     42,114
Airbus SE   95,512     11,525,283
Astronics Corp. (A)   4,845     62,646
Axon Enterprise, Inc. (A)   17,733     2,442,366
 
  252  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Aerospace and defense (continued)      
BAE Systems PLC   513,922   $ 4,826,472
Byrna Technologies, Inc. (A)   3,384     27,647
Cadre Holdings, Inc.   1,136     27,900
Curtiss-Wright Corp.   10,132     1,521,421
Dassault Aviation SA   4,058     640,827
Ducommun, Inc. (A)   1,955     102,422
Elbit Systems, Ltd.   4,297     939,762
General Dynamics Corp.   26,878     6,482,436
Hexcel Corp.   21,663     1,288,299
Howmet Aerospace, Inc.   44,258     1,590,633
Huntington Ingalls Industries, Inc.   4,672     931,784
Kaman Corp.   4,676     203,312
Kratos Defense & Security Solutions, Inc. (A)   20,726     424,468
L3Harris Technologies, Inc.   22,883     5,685,739
Lockheed Martin Corp.   28,264     12,475,730
Maxar Technologies, Inc.   12,261     483,819
Mercury Systems, Inc. (A)   14,807     954,311
Moog, Inc., Class A   4,843     425,215
MTU Aero Engines AG   8,655     2,001,728
National Presto Industries, Inc.   960     73,872
Northrop Grumman Corp.   17,111     7,652,381
Park Aerospace Corp.   4,182     54,575
Parsons Corp. (A)   4,399     170,241
Raytheon Technologies Corp.   174,027     17,240,855
Rolls-Royce Holdings PLC (A)   1,355,598     1,782,606
Safran SA   55,372     6,519,248
Singapore Technologies Engineering, Ltd.   252,952     766,204
Textron, Inc.   25,705     1,911,938
Thales SA   17,283     2,164,445
The Boeing Company (A)   63,907     12,238,191
TransDigm Group, Inc. (A)   6,144     4,003,062
Triumph Group, Inc. (A)   10,735     271,381
Vectrus, Inc. (A)   1,979     70,967
Woodward, Inc.   16,375     2,045,401
          113,198,603
Air freight and logistics – 0.6%      
Air Transport Services Group, Inc. (A)   9,875     330,319
Atlas Air Worldwide Holdings, Inc. (A)   4,756     410,776
CH Robinson Worldwide, Inc.   15,158     1,632,668
Deutsche Post AG   160,588     7,668,377
DSV A/S   33,049     6,334,024
Expeditors International of Washington, Inc.   19,755     2,037,926
FedEx Corp.   28,427     6,577,724
Forward Air Corp.   4,483     438,348
GXO Logistics, Inc. (A)   25,619     1,827,659
Hub Group, Inc., Class A (A)   5,447     420,563
InPost SA (A)   32,400     205,573
Radiant Logistics, Inc. (A)   7,775     49,527
SG Holdings Company, Ltd.   51,900     977,316
United Parcel Service, Inc., Class B   85,030     18,235,534
Yamato Holdings Company, Ltd.   47,193     881,573
          48,027,907
Airlines – 0.2%      
Alaska Air Group, Inc. (A)   14,682     851,703
Allegiant Travel Company (A)   2,562     416,043
American Airlines Group, Inc. (A)   75,534     1,378,496
ANA Holdings, Inc. (A)(C)   25,849     540,327
Delta Air Lines, Inc. (A)   74,635     2,953,307
Deutsche Lufthansa AG (A)(C)   96,837     780,940
Frontier Group Holdings, Inc. (A)   6,090     69,000
Hawaiian Holdings, Inc. (A)   8,873     174,798
Japan Airlines Company, Ltd. (A)   23,340     435,135
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Airlines (continued)      
JetBlue Airways Corp. (A)   82,122   $ 1,227,724
Mesa Air Group, Inc. (A)   6,720     29,568
Qantas Airways, Ltd. (A)   149,718     578,902
Singapore Airlines, Ltd. (A)   217,027     874,658
SkyWest, Inc. (A)   8,490     244,937
Southwest Airlines Company (A)   69,075     3,163,635
Spirit Airlines, Inc. (A)   16,599     363,020
Sun Country Airlines Holdings, Inc. (A)   5,451     142,707
United Airlines Holdings, Inc. (A)   37,760     1,750,554
          15,975,454
Building products – 0.8%      
A.O. Smith Corp.   15,325     979,114
AAON, Inc.   7,072     394,123
AGC, Inc.   31,276     1,249,644
Allegion PLC   10,460     1,148,299
American Woodmark Corp. (A)   2,857     139,850
Apogee Enterprises, Inc.   4,190     198,857
Assa Abloy AB, B Shares   162,378     4,364,653
Builders FirstSource, Inc. (A)   49,607     3,201,636
Caesarstone, Ltd.   4,720     49,654
Carlisle Companies, Inc.   13,549     3,331,970
Carrier Global Corp.   99,765     4,576,221
Cie de Saint-Gobain   81,964     4,876,887
Cornerstone Building Brands, Inc. (A)   9,352     227,441
CSW Industrials, Inc.   2,479     291,506
Daikin Industries, Ltd.   40,397     7,336,250
Fortune Brands Home & Security, Inc.   15,828     1,175,704
Geberit AG   5,812     3,582,845
Gibraltar Industries, Inc. (A)   5,588     240,005
Griffon Corp.   8,671     173,680
Insteel Industries, Inc.   3,142     116,223
JELD-WEN Holding, Inc. (A)   15,532     314,989
Johnson Controls International PLC   81,936     5,372,544
Kingspan Group PLC   24,966     2,440,345
Lennox International, Inc.   8,736     2,252,665
Lixil Corp.   43,150     803,269
Masco Corp.   27,979     1,426,929
Masonite International Corp. (A)   4,021     357,628
Nibe Industrier AB, B Shares   231,077     2,561,384
Owens Corning   26,072     2,385,588
PGT Innovations, Inc. (A)   9,737     175,071
Quanex Building Products Corp.   5,993     125,793
Resideo Technologies, Inc. (A)   24,295     578,950
Rockwool International A/S, B Shares   1,356     447,629
Simpson Manufacturing Company, Inc.   18,496     2,016,804
TOTO, Ltd.   22,900     919,677
Trane Technologies PLC   27,234     4,158,632
Trex Company, Inc. (A)   29,881     1,952,126
UFP Industries, Inc.   10,046     775,149
View, Inc. (A)(C)   19,252     35,424
Xinyi Glass Holdings, Ltd.   294,000     704,914
Zurn Water Solutions Corp.   20,295     718,443
          68,178,515
Commercial services and supplies – 0.5%      
ABM Industries, Inc.   11,324     521,357
ACCO Brands Corp.   15,973     127,784
Aris Water Solution, Inc., Class A   3,339     60,770
Brady Corp., Class A   7,876     364,423
Brambles, Ltd.   232,399     1,715,022
BrightView Holdings, Inc. (A)   8,171     111,207
Casella Waste Systems, Inc., Class A (A)   8,207     719,344
CECO Environmental Corp. (A)   6,362     34,927
Cimpress PLC (A)   3,009     191,342
Cintas Corp.   10,282     4,373,860
Clean Harbors, Inc. (A)   12,926     1,443,059
 
  253  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Commercial services and supplies (continued)      
Copart, Inc. (A)   24,893   $ 3,123,325
CoreCivic, Inc. (A)   20,098     224,495
Dai Nippon Printing Company, Ltd.   35,973     843,393
Deluxe Corp.   7,238     218,877
Ennis, Inc.   4,428     81,785
Harsco Corp. (A)   13,505     165,301
Healthcare Services Group, Inc.   12,860     238,810
Heritage-Crystal Clean, Inc. (A)   2,836     83,974
HNI Corp.   7,239     268,205
IAA, Inc. (A)   34,820     1,331,865
Interface, Inc.   10,061     136,528
KAR Auction Services, Inc. (A)   20,380     367,859
Kimball International, Inc., Class B   7,693     65,006
Matthews International Corp., Class A   5,270     170,537
MillerKnoll, Inc.   31,976     1,105,091
Montrose Environmental Group, Inc. (A)   4,440     235,009
MSA Safety, Inc.   9,415     1,249,371
Pitney Bowes, Inc.   30,071     156,369
Rentokil Initial PLC   301,222     2,074,959
Republic Services, Inc.   24,354     3,226,905
Rollins, Inc.   26,395     925,145
Secom Company, Ltd.   34,055     2,463,602
Securitas AB, B Shares   50,728     572,279
Sohgo Security Services Company, Ltd.   11,600     378,293
SP Plus Corp. (A)   4,069     127,604
Steelcase, Inc., Class A   14,636     174,900
Stericycle, Inc. (A)   23,721     1,397,641
Tetra Tech, Inc.   22,993     3,792,465
The Brink's Company   20,786     1,413,448
Toppan, Inc.   42,462     749,027
UniFirst Corp.   2,532     466,597
US Ecology, Inc. (A)   5,344     255,871
Viad Corp. (A)   3,531     125,845
VSE Corp.   1,949     89,829
Waste Management, Inc.   44,879     7,113,322
          45,076,627
Construction and engineering – 0.5%      
ACS Actividades de Construccion y Servicios SA   37,759     1,017,962
AECOM   36,581     2,809,787
Ameresco, Inc., Class A (A)   5,198     413,241
API Group Corp. (A)   34,022     715,483
Arcosa, Inc.   8,139     465,958
Argan, Inc.   2,706     109,837
Bouygues SA   37,178     1,297,663
Comfort Systems USA, Inc.   5,960     530,500
Concrete Pumping Holdings, Inc. (A)   5,156     34,545
Construction Partners, Inc., Class A (A)   6,726     176,087
Dycom Industries, Inc. (A)   12,744     1,213,993
Eiffage SA   13,495     1,385,021
EMCOR Group, Inc.   22,674     2,553,773
Ferrovial SA   78,584     2,089,930
Fluor Corp. (A)   60,475     1,735,028
Granite Construction, Inc.   7,746     254,069
Great Lakes Dredge & Dock Corp. (A)   10,956     153,713
IES Holdings, Inc. (A)   1,488     59,818
Infrastructure and Energy Alternatives, Inc. (A)   4,911     58,195
Innovate Corp. (A)   9,226     34,044
Kajima Corp.   72,785     885,554
MasTec, Inc. (A)   15,243     1,327,665
Matrix Service Company (A)   5,607     46,090
MDU Resources Group, Inc.   52,509     1,399,365
MYR Group, Inc. (A)   2,728     256,541
Northwest Pipe Company (A)   2,032     51,714
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Construction and engineering (continued)      
NV5 Global, Inc. (A)   2,214   $ 295,126
Obayashi Corp.   105,215     772,250
Primoris Services Corp.   9,013     214,690
Quanta Services, Inc.   16,617     2,186,963
Shimizu Corp. (C)   89,429     536,677
Skanska AB, B Shares (C)   55,114     1,233,021
Sterling Construction Company, Inc. (A)   4,863     130,328
Taisei Corp.   30,873     891,276
Tutor Perini Corp. (A)   7,241     78,203
Valmont Industries, Inc.   5,480     1,307,528
Vinci SA   87,244     8,913,946
WillScot Mobile Mini Holdings Corp. (A)   35,056     1,371,741
          39,007,325
Electrical equipment – 1.0%      
ABB, Ltd.   266,098     8,632,403
Acuity Brands, Inc.   9,081     1,719,033
Allied Motion Technologies, Inc.   2,213     66,036
American Superconductor Corp. (A)   5,517     41,984
AMETEK, Inc.   26,976     3,592,664
Array Technologies, Inc. (A)   21,727     244,863
Atkore, Inc. (A)   7,510     739,284
AZZ, Inc.   4,092     197,398
Babcock & Wilcox Enterprises, Inc. (A)   9,757     79,617
Beam Global (A)(C)   1,796     36,728
Blink Charging Company (A)   6,198     163,999
Bloom Energy Corp., Class A (A)   23,984     579,214
Eaton Corp. PLC   46,482     7,054,108
Emerson Electric Company   69,269     6,791,825
Encore Wire Corp.   3,296     375,975
EnerSys   17,625     1,314,296
Eos Energy Enterprises, Inc. (A)(C)   9,039     37,783
FTC Solar, Inc. (A)   7,450     36,729
FuelCell Energy, Inc. (A)   62,469     359,821
Fuji Electric Company, Ltd.   20,540     1,023,730
Generac Holdings, Inc. (A)   7,357     2,186,942
GrafTech International, Ltd.   33,678     323,982
Hubbell, Inc.   14,050     2,581,969
Legrand SA   43,328     4,119,472
Mitsubishi Electric Corp.   295,697     3,391,303
Nidec Corp.   72,486     5,725,166
nVent Electric PLC   43,442     1,510,913
Powell Industries, Inc.   1,982     38,490
Prysmian SpA   41,269     1,400,512
Regal Rexnord Corp.   17,571     2,614,213
Rockwell Automation, Inc.   13,550     3,794,407
Romeo Power, Inc. (A)   22,060     32,869
Schneider Electric SE   87,578     14,703,499
Siemens Energy AG   64,747     1,473,042
Siemens Gamesa Renewable Energy SA (A)   38,622     677,400
Stem, Inc. (A)   19,367     213,231
Sunrun, Inc. (A)   53,452     1,623,337
Thermon Group Holdings, Inc. (A)   5,916     95,839
TPI Composites, Inc. (A)   6,520     91,671
Vestas Wind Systems A/S   163,605     4,799,320
Vicor Corp. (A)   9,100     642,005
          85,127,072
Industrial conglomerates – 1.0%      
3M Company   66,598     9,915,110
CK Hutchison Holdings, Ltd.   435,238     3,182,637
DCC PLC   15,975     1,237,008
General Electric Company   128,196     11,729,934
Hitachi, Ltd.   156,894     7,851,629
Honeywell International, Inc.   79,976     15,561,730
 
  254  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Industrial conglomerates (continued)      
Investment AB Latour, B Shares   23,985   $ 761,454
Jardine Matheson Holdings, Ltd.   34,900     1,914,561
Keppel Corp., Ltd.   235,945     1,112,539
Lifco AB, B Shares   37,765     958,687
Melrose Industries PLC   708,358     1,149,054
Roper Technologies, Inc.   12,301     5,808,901
Siemens AG   123,935     17,160,939
Smiths Group PLC   64,106     1,214,549
Toshiba Corp. (C)   63,128     2,398,450
          81,957,182
Machinery – 2.3%      
AGCO Corp.   15,845     2,313,845
Alamo Group, Inc.   1,639     235,672
Albany International Corp., Class A   5,114     431,212
Alfa Laval AB   50,966     1,753,100
Alstom SA   51,406     1,202,842
Altra Industrial Motion Corp.   10,992     427,919
Astec Industries, Inc.   3,885     167,055
Atlas Copco AB, A Shares   108,789     5,646,794
Atlas Copco AB, B Shares   63,218     2,866,906
Barnes Group, Inc.   7,970     320,314
Blue Bird Corp. (A)   2,989     56,253
Caterpillar, Inc.   63,081     14,055,708
Chart Industries, Inc. (A)   15,411     2,647,147
CIRCOR International, Inc. (A)   3,420     91,040
CNH Industrial NV   165,779     2,611,148
Colfax Corp. (A)   35,246     1,402,438
Columbus McKinnon Corp.   4,678     198,347
Commercial Vehicle Group, Inc. (A)   6,080     51,376
Crane Company   12,890     1,395,729
Cummins, Inc.   16,609     3,406,672
Daifuku Company, Ltd.   16,400     1,170,163
Daimler Truck Holding AG (A)   66,661     1,848,842
Deere & Company   32,705     13,587,619
Desktop Metal, Inc., Class A (A)   32,814     155,538
Donaldson Company, Inc.   31,914     1,657,294
Douglas Dynamics, Inc.   3,892     134,624
Dover Corp.   16,791     2,634,508
Energy Recovery, Inc. (A)   7,065     142,289
Enerpac Tool Group Corp.   10,351     226,583
EnPro Industries, Inc.   3,418     334,041
Epiroc AB, A Shares   106,764     2,283,559
Epiroc AB, B Shares   63,178     1,140,642
ESCO Technologies, Inc.   4,329     302,684
Evoqua Water Technologies Corp. (A)   19,413     912,023
FANUC Corp.   31,118     5,461,513
Federal Signal Corp.   9,993     337,264
Flowserve Corp.   33,637     1,207,568
Fortive Corp.   41,815     2,547,788
Franklin Electric Company, Inc.   7,749     643,477
GEA Group AG   24,855     1,018,740
Graco, Inc.   44,057     3,071,654
Helios Technologies, Inc.   5,425     435,356
Hillenbrand, Inc.   12,217     539,625
Hino Motors, Ltd.   46,542     272,077
Hitachi Construction Machinery Company, Ltd.   17,452     452,195
Hoshizaki Corp.   8,800     603,679
Husqvarna AB, B Shares   67,814     707,417
Hydrofarm Holdings Group, Inc. (A)   6,920     104,838
Hyliion Holdings Corp. (A)   21,416     94,873
Hyster-Yale Materials Handling, Inc.   1,959     65,058
Ideanomics, Inc. (A)(C)   69,539     77,884
IDEX Corp.   8,866     1,699,878
Illinois Tool Works, Inc.   33,309     6,974,905
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Ingersoll Rand, Inc.   47,530   $ 2,393,136
ITT, Inc.   22,103     1,662,367
John Bean Technologies Corp.   5,291     626,825
Kadant, Inc.   1,921     373,039
Kennametal, Inc.   35,714     1,021,778
KION Group AG   11,690     770,454
Knorr-Bremse AG   11,752     900,873
Komatsu, Ltd.   141,876     3,408,643
Kone OYJ, B Shares   55,064     2,881,503
Kornit Digital, Ltd. (A)   7,500     620,175
Kubota Corp.   166,452     3,120,018
Kurita Water Industries, Ltd.   16,027     591,570
Lincoln Electric Holdings, Inc.   15,247     2,101,189
Lindsay Corp.   1,822     286,072
Luxfer Holdings PLC   4,941     83,009
Makita Corp.   36,252     1,159,940
Meritor, Inc. (A)   11,351     403,755
Miller Industries, Inc.   1,979     55,729
MINEBEA MITSUMI, Inc.   58,800     1,280,661
MISUMI Group, Inc.   46,100     1,372,435
Mitsubishi Heavy Industries, Ltd.   51,963     1,705,745
Miura Company, Ltd.   14,200     349,880
Mueller Industries, Inc.   9,333     505,569
Mueller Water Products, Inc., Class A   26,204     338,556
NGK Insulators, Ltd.   41,161     587,164
Nikola Corp. (A)   38,891     416,523
Nordson Corp.   6,311     1,433,102
Omega Flex, Inc.   511     66,364
Oshkosh Corp.   17,254     1,736,615
Otis Worldwide Corp.   49,557     3,813,411
PACCAR, Inc.   40,500     3,566,835
Parker-Hannifin Corp.   14,982     4,251,292
Pentair PLC   19,297     1,046,090
Proto Labs, Inc. (A)   4,783     253,021
Rational AG   829     570,951
RBC Bearings, Inc. (A)   4,691     909,491
REV Group, Inc.   5,968     79,971
Sandvik AB   182,896     3,885,227
Schindler Holding AG   3,260     694,665
Schindler Holding AG, Participation Certificates   6,596     1,413,325
SKF AB, B Shares (C)   61,945     1,010,072
SMC Corp.   9,247     5,169,017
Snap-on, Inc.   6,232     1,280,551
Spirax-Sarco Engineering PLC   11,950     1,953,595
SPX Corp. (A)   7,375     364,399
SPX FLOW, Inc.   6,970     600,953
Standex International Corp.   1,966     196,443
Stanley Black & Decker, Inc.   19,012     2,657,687
Techtronic Industries Company, Ltd.   222,742     3,568,653
Tennant Company   3,044     239,867
Terex Corp.   29,441     1,049,866
The Gorman-Rupp Company   3,754     134,694
The Greenbrier Companies, Inc.   5,367     276,454
The Manitowoc Company, Inc. (A)   5,997     90,435
The Middleby Corp. (A)   14,432     2,365,982
The Shyft Group, Inc.   5,750     207,633
The Timken Company   17,825     1,081,978
The Toro Company   27,178     2,323,447
Titan International, Inc. (A)   9,006     132,658
Toyota Industries Corp.   23,753     1,638,325
Trinity Industries, Inc.   34,157     1,173,635
VAT Group AG (B)   4,374     1,665,352
Volvo AB, A Shares   32,443     621,424
Volvo AB, B Shares   231,605     4,320,669
 
  255  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Wabash National Corp.   8,279   $ 122,860
Wabtec Corp.   21,786     2,095,160
Wartsila OYJ ABP   76,690     700,246
Watts Water Technologies, Inc., Class A   11,686     1,631,249
Welbilt, Inc. (A)   21,883     519,721
Xylem, Inc.   21,028     1,792,847
Yaskawa Electric Corp.   38,910     1,516,514
          189,367,069
Marine – 0.2%      
A.P. Moller - Maersk A/S, Series A   509     1,502,768
A.P. Moller - Maersk A/S, Series B   938     2,818,656
Costamare, Inc.   8,753     149,239
Eagle Bulk Shipping, Inc. (C)   1,541     104,958
Genco Shipping & Trading, Ltd.   5,503     129,981
Kirby Corp. (A)   15,522     1,120,533
Kuehne + Nagel International AG (C)   8,803     2,499,427
Matson, Inc.   6,904     832,760
Mitsui OSK Lines, Ltd.   55,800     1,550,056
Nippon Yusen KK (C)   26,125     2,285,268
Safe Bulkers, Inc.   10,392     49,466
SITC International Holdings Company, Ltd.   217,000     758,785
          13,801,897
Professional services – 0.9%      
Acacia Research Corp. (A)   9,515     42,913
Adecco Group AG   25,891     1,174,455
ASGN, Inc. (A)   21,975     2,564,702
Atlas Technical Consultants, Inc. (A)   2,701     32,520
Barrett Business Services, Inc.   1,349     104,507
Benefit One, Inc.   13,000     272,834
Bureau Veritas SA   47,635     1,358,115
CACI International, Inc., Class A (A)   6,023     1,814,489
CBIZ, Inc. (A)   8,120     340,796
CRA International, Inc.   1,245     104,904
Equifax, Inc.   14,227     3,373,222
Experian PLC   149,502     5,759,655
Exponent, Inc.   8,696     939,603
First Advantage Corp. (A)   9,389     189,564
Forrester Research, Inc. (A)   2,019     113,912
Franklin Covey Company (A)   2,193     99,167
FTI Consulting, Inc. (A)   8,854     1,392,026
Heidrick & Struggles International, Inc.   3,293     130,337
HireRight Holdings Corp. (A)   3,957     67,665
Huron Consulting Group, Inc. (A)   3,656     167,481
ICF International, Inc.   3,023     284,585
Insperity, Inc.   15,360     1,542,451
Intertek Group PLC   26,147     1,783,688
Jacobs Engineering Group, Inc.   15,068     2,076,521
KBR, Inc.   59,897     3,278,163
Kelly Services, Inc., Class A   6,115     132,634
Kforce, Inc.   3,357     248,317
Korn Ferry   9,038     586,928
Leidos Holdings, Inc.   16,365     1,767,747
ManpowerGroup, Inc.   14,006     1,315,444
ManTech International Corp., Class A   4,566     393,544
Nielsen Holdings PLC   41,841     1,139,749
Nihon M&A Center Holdings, Inc.   49,100     686,808
Persol Holdings Company, Ltd.   28,800     645,301
Randstad NV (C)   19,372     1,165,320
Recruit Holdings Company, Ltd.   219,800     9,549,654
RELX PLC   313,420     9,752,918
Resources Connection, Inc.   5,720     98,041
Robert Half International, Inc.   12,768     1,457,850
Science Applications International Corp.   14,728     1,357,480
SGS SA   971     2,699,518
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Professional services (continued)      
Sterling Check Corp. (A)(C)   2,825   $ 74,665
Teleperformance   9,516     3,624,625
TriNet Group, Inc. (A)   6,773     666,192
TrueBlue, Inc. (A)   5,860     169,295
Upwork, Inc. (A)   19,932     463,220
Verisk Analytics, Inc.   18,794     4,033,756
Willdan Group, Inc. (A)   2,151     66,014
Wolters Kluwer NV   42,529     4,533,861
          75,637,156
Road and rail – 0.9%      
ArcBest Corp.   4,228     340,354
Aurizon Holdings, Ltd.   298,207     819,665
Avis Budget Group, Inc. (A)   17,333     4,563,779
Central Japan Railway Company   23,376     3,048,074
Covenant Logistics Group, Inc.   2,127     45,794
CSX Corp.   258,648     9,686,368
Daseke, Inc. (A)   6,895     69,433
East Japan Railway Company   48,940     2,832,526
Grab Holdings, Ltd., Class A (A)(C)   175,900     615,650
Hankyu Hanshin Holdings, Inc.   37,100     1,072,254
Heartland Express, Inc.   8,046     113,207
JB Hunt Transport Services, Inc.   9,797     1,967,140
Keio Corp.   16,615     647,661
Keisei Electric Railway Company, Ltd.   20,994     583,205
Kintetsu Group Holdings Company, Ltd.   27,774     795,028
Knight-Swift Transportation Holdings, Inc.   43,064     2,173,009
Landstar System, Inc.   9,765     1,472,855
Marten Transport, Ltd.   10,031     178,151
MTR Corp., Ltd.   250,815     1,350,706
Nippon Express Holdings, Inc.   12,446     855,049
Norfolk Southern Corp.   27,961     7,975,036
Odakyu Electric Railway Company, Ltd.   47,779     791,924
Old Dominion Freight Line, Inc.   10,864     3,244,860
P.A.M. Transportation Services, Inc. (A)   1,128     39,198
Ryder System, Inc.   13,864     1,099,831
Saia, Inc. (A)   11,239     2,740,293
Tobu Railway Company, Ltd.   30,573     743,364
Tokyu Corp.   81,008     1,050,992
U.S. Xpress Enterprises, Inc., Class A (A)   5,696     22,100
Union Pacific Corp.   74,271     20,291,580
Universal Logistics Holdings, Inc.   1,325     26,699
Werner Enterprises, Inc.   25,439     1,042,999
West Japan Railway Company   35,625     1,476,151
XPO Logistics, Inc. (A)   25,474     1,854,507
Yellow Corp. (A)   8,765     61,443
          75,690,885
Trading companies and distributors – 0.8%      
AerCap Holdings NV (A)   21,800     1,096,104
Alta Equipment Group, Inc. (A)   3,834     47,388
Applied Industrial Technologies, Inc.   6,419     658,975
Ashtead Group PLC   72,278     4,550,941
Beacon Roofing Supply, Inc. (A)   9,369     555,394
BlueLinx Holdings, Inc. (A)   1,553     111,630
Boise Cascade Company   6,566     456,140
Brenntag SE   25,030     2,018,205
Bunzl PLC   54,657     2,119,657
Custom Truck One Source, Inc. (A)(C)   9,983     83,757
DXP Enterprises, Inc. (A)   3,132     84,846
Fastenal Company   67,117     3,986,750
Ferguson PLC   35,814     4,852,073
GATX Corp.   15,065     1,857,966
Global Industrial Company   2,153     69,391
GMS, Inc. (A)   7,108     353,765
 
  256  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Trading companies and distributors (continued)      
H&E Equipment Services, Inc.   5,405   $ 235,226
Herc Holdings, Inc.   4,189     699,940
IMCD NV   9,232     1,574,909
ITOCHU Corp.   192,604     6,515,014
Lawson Products, Inc. (A)   955     36,806
Marubeni Corp.   253,459     2,943,217
McGrath RentCorp   4,019     341,535
Mitsubishi Corp.   204,606     7,678,192
Mitsui & Company, Ltd.   252,803     6,862,390
MonotaRO Company, Ltd.   40,600     871,370
MRC Global, Inc. (A)   13,716     163,358
MSC Industrial Direct Company, Inc., Class A   12,240     1,042,970
NOW, Inc. (A)   18,758     206,901
Reece, Ltd.   47,094     663,062
Rush Enterprises, Inc., Class A   6,520     331,933
Rush Enterprises, Inc., Class B   1,569     75,861
Sumitomo Corp.   182,438     3,159,581
Textainer Group Holdings, Ltd.   7,842     298,545
Titan Machinery, Inc. (A)   3,357     94,869
Toyota Tsusho Corp.   34,382     1,411,103
Transcat, Inc. (A)   1,202     97,530
Triton International, Ltd.   11,149     782,437
United Rentals, Inc. (A)   8,445     2,999,748
Univar Solutions, Inc. (A)   44,144     1,418,788
Veritiv Corp. (A)   2,390     319,280
W.W. Grainger, Inc.   5,047     2,603,192
Watsco, Inc.   8,528     2,597,970
WESCO International, Inc. (A)   7,466     971,625
          69,900,334
Transportation infrastructure – 0.1%      
Aena SME SA (A)(B)   12,150     2,025,407
Aeroports de Paris (A)   4,810     719,278
Atlantia SpA (A)   80,268     1,668,976
Auckland International Airport, Ltd. (A)   202,792     1,097,231
Getlink SE   71,282     1,283,764
Transurban Group   497,322     5,024,916
          11,819,572
          932,765,598
Information technology – 19.3%          
Communications equipment – 0.7%      
ADTRAN, Inc.   8,356     154,168
Arista Networks, Inc. (A)   26,159     3,635,578
Aviat Networks, Inc. (A)   1,815     55,848
CalAmp Corp. (A)   6,948     50,790
Calix, Inc. (A)   23,411     1,004,566
Cambium Networks Corp. (A)   1,844     43,592
Casa Systems, Inc. (A)   6,151     27,803
Ciena Corp. (A)   40,005     2,425,503
Cisco Systems, Inc.   491,832     27,424,552
Clearfield, Inc. (A)   1,929     125,809
Comtech Telecommunications Corp.   4,613     72,378
Digi International, Inc. (A)   5,956     128,173
DZS, Inc. (A)   3,085     42,789
EMCORE Corp. (A)   7,267     26,888
Extreme Networks, Inc. (A)   21,354     260,732
F5, Inc. (A)   7,083     1,479,993
Harmonic, Inc. (A)   15,280     141,951
Infinera Corp. (A)   30,913     268,016
Inseego Corp. (A)   15,288     61,916
Juniper Networks, Inc.   37,921     1,409,144
Lumentum Holdings, Inc. (A)   18,669     1,822,094
Motorola Solutions, Inc.   19,696     4,770,371
NETGEAR, Inc. (A)   4,904     121,031
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Communications equipment (continued)      
NetScout Systems, Inc. (A)   11,710   $ 375,657
Nokia OYJ (A)   873,486     4,810,303
Plantronics, Inc. (A)   7,268     286,359
Ribbon Communications, Inc. (A)   13,454     41,573
Telefonaktiebolaget LM Ericsson, B Shares   472,859     4,310,367
Viasat, Inc. (A)   19,293     941,498
Viavi Solutions, Inc. (A)   38,525     619,482
          56,938,924
Electronic equipment, instruments and components – 1.1%      
908 Devices, Inc. (A)(C)   3,827     72,751
Advanced Energy Industries, Inc.   6,341     545,833
Aeva Technologies, Inc. (A)(C)   18,503     80,118
Akoustis Technologies, Inc. (A)   9,601     62,407
Amphenol Corp., Class A   69,845     5,262,821
Arlo Technologies, Inc. (A)   14,369     127,309
Arrow Electronics, Inc. (A)   17,621     2,090,379
Avnet, Inc.   25,621     1,039,956
Azbil Corp.   20,000     663,796
Badger Meter, Inc.   4,869     485,488
Belden, Inc.   18,995     1,052,323
Benchmark Electronics, Inc.   5,860     146,734
CDW Corp.   15,827     2,831,292
Cognex Corp.   45,827     3,535,553
Coherent, Inc. (A)   6,415     1,753,604
Corning, Inc.   87,111     3,215,267
CTS Corp.   5,353     189,175
Daktronics, Inc. (A)   9,075     34,848
ePlus, Inc. (A)   4,436     248,682
Fabrinet (A)   6,175     649,178
FARO Technologies, Inc. (A)   3,118     161,887
Halma PLC   61,504     2,012,233
Hamamatsu Photonics KK   22,700     1,205,660
Hexagon AB, B Shares   315,332     4,418,053
Hirose Electric Company, Ltd.   5,275     764,635
Ibiden Company, Ltd.   17,100     833,657
Identiv, Inc. (A)   3,776     61,058
II-VI, Inc. (A)   45,377     3,289,379
Insight Enterprises, Inc. (A)   5,740     616,017
IPG Photonics Corp. (A)   4,165     457,150
Itron, Inc. (A)   7,679     404,530
Jabil, Inc.   37,206     2,296,726
Keyence Corp.   31,500     14,606,626
Keysight Technologies, Inc. (A)   21,345     3,371,870
Kimball Electronics, Inc. (A)   4,207     84,098
Knowles Corp. (A)   14,435     310,786
Kyocera Corp.   51,963     2,907,819
Littelfuse, Inc.   6,360     1,586,248
Luna Innovations, Inc. (A)   6,244     48,141
Methode Electronics, Inc.   6,068     262,441
MicroVision, Inc. (A)   28,740     134,216
Murata Manufacturing Company, Ltd.   93,039     6,128,738
Napco Security Technologies, Inc. (A)   4,810     98,701
National Instruments Corp.   34,054     1,382,252
nLight, Inc. (A)   7,546     130,848
Novanta, Inc. (A)   5,907     840,507
Omron Corp.   30,118     2,004,308
OSI Systems, Inc. (A)   2,749     233,995
Ouster, Inc. (A)   22,455     101,048
PAR Technology Corp. (A)   4,333     174,793
PC Connection, Inc.   1,819     95,297
Plexus Corp. (A)   4,671     382,135
Rogers Corp. (A)   3,119     847,432
Sanmina Corp. (A)   10,389     419,923
ScanSource, Inc. (A)   4,178     145,353
 
  257  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electronic equipment, instruments and
components (continued)
     
Shimadzu Corp.   38,392   $ 1,320,474
TD SYNNEX Corp.   10,766     1,111,159
TDK Corp.   62,963     2,271,527
TE Connectivity, Ltd.   37,967     4,972,918
Teledyne Technologies, Inc. (A)   5,441     2,571,580
Trimble, Inc. (A)   29,271     2,111,610
TTM Technologies, Inc. (A)   17,474     258,965
Velodyne Lidar, Inc. (A)   15,625     40,000
Venture Corp., Ltd.   44,900     578,628
Vishay Intertechnology, Inc.   56,545     1,108,282
Vishay Precision Group, Inc. (A)   2,262     72,723
Vontier Corp.   43,654     1,108,375
Yokogawa Electric Corp.   36,992     630,288
Zebra Technologies Corp., Class A (A)   6,190     2,560,803
          97,623,406
IT services – 3.0%      
Accenture PLC, Class A   73,700     24,853,851
Adyen NV (A)(B)   3,213     6,363,968
Akamai Technologies, Inc. (A)   18,947     2,262,082
Alliance Data Systems Corp.   12,855     721,808
Amadeus IT Group SA (A)   72,983     4,745,211
Automatic Data Processing, Inc.   48,983     11,145,592
Bechtle AG   13,268     746,991
BigCommerce Holdings, Inc., Series 1 (A)   8,283     181,481
Brightcove, Inc. (A)   7,687     59,959
Broadridge Financial Solutions, Inc.   13,617     2,120,303
Cantaloupe, Inc. (A)   10,440     70,679
Capgemini SE   25,977     5,764,371
Cass Information Systems, Inc.   2,618     96,630
Cognizant Technology Solutions Corp., Class A   61,252     5,492,467
Computershare, Ltd.   88,027     1,617,856
Concentrix Corp.   11,078     1,845,152
Conduent, Inc. (A)   29,583     152,648
CSG Systems International, Inc.   5,285     335,967
DigitalOcean Holdings, Inc. (A)   8,521     492,940
DXC Technology Company (A)   28,510     930,281
Edenred   40,435     1,999,301
EPAM Systems, Inc. (A)   6,614     1,961,779
Euronet Worldwide, Inc. (A)   13,648     1,776,287
EVERTEC, Inc.   10,130     414,621
EVO Payments, Inc., Class A (A)   8,058     186,059
ExlService Holdings, Inc. (A)   5,482     785,406
Fidelity National Information Services, Inc.   71,011     7,130,925
Fiserv, Inc. (A)   69,293     7,026,310
FleetCor Technologies, Inc. (A)   9,469     2,358,349
Flywire Corp. (A)   9,588     293,201
Fujitsu, Ltd.   31,823     4,767,903
Gartner, Inc. (A)   9,590     2,852,641
Genpact, Ltd.   44,176     1,922,098
Global Payments, Inc.   33,206     4,543,909
GMO Payment Gateway, Inc.   6,800     692,757
Grid Dynamics Holdings, Inc. (A)   7,807     109,923
i3 Verticals, Inc., Class A (A)   3,726     103,806
IBM Corp.   104,579     13,597,362
International Money Express, Inc. (A)   5,640     116,240
Itochu Techno-Solutions Corp.   15,600     398,494
Jack Henry & Associates, Inc.   8,492     1,673,349
Kyndryl Holdings, Inc. (A)   46,256     606,879
Limelight Networks, Inc. (A)   21,477     112,110
LiveRamp Holdings, Inc. (A)   28,746     1,074,813
Mastercard, Inc., Class A   100,645     35,968,510
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
IT services (continued)      
Maximus, Inc.   26,285   $ 1,970,061
MoneyGram International, Inc. (A)   15,201     160,523
NEC Corp.   39,784     1,671,354
Nexi SpA (A)(B)   84,903     979,756
Nomura Research Institute, Ltd.   54,400     1,774,924
NTT Data Corp.   102,210     2,008,657
Obic Company, Ltd.   11,300     1,692,478
Otsuka Corp.   18,500     655,941
Paya Holdings, Inc. (A)   14,849     87,015
Paychex, Inc.   37,442     5,109,710
PayPal Holdings, Inc. (A)   135,856     15,711,746
Perficient, Inc. (A)   5,436     598,449
Rackspace Technology, Inc. (A)   9,820     109,591
Repay Holdings Corp. (A)   14,788     218,419
Sabre Corp. (A)   83,517     954,599
SCSK Corp.   25,300     432,645
The Hackett Group, Inc.   4,170     96,160
The Western Union Company   102,008     1,911,630
TIS, Inc.   34,600     809,729
TTEC Holdings, Inc.   3,092     255,152
Tucows, Inc., Class A (A)(C)   1,677     114,539
Unisys Corp. (A)   11,070     239,223
VeriSign, Inc. (A)   11,269     2,506,902
Verra Mobility Corp. (A)   25,604     416,833
Visa, Inc., Class A   193,395     42,889,209
WEX, Inc. (A)   11,573     2,065,202
Wix.com, Ltd. (A)   9,200     961,032
Worldline SA (A)(B)   38,622     1,676,201
          250,550,949
Semiconductors and semiconductor equipment – 4.6%      
Advanced Micro Devices, Inc. (A)   190,641     20,844,687
Advantest Corp.   32,300     2,521,785
Alpha & Omega Semiconductor, Ltd. (A)   3,616     197,614
Ambarella, Inc. (A)   5,941     623,330
Amkor Technology, Inc.   43,004     934,047
Analog Devices, Inc.   61,261     10,119,092
Applied Materials, Inc.   103,552     13,648,154
ASM International NV   7,587     2,762,667
ASML Holding NV   66,962     44,745,445
Atomera, Inc. (A)(C)   3,783     49,406
Axcelis Technologies, Inc. (A)   5,493     414,886
AXT, Inc. (A)   8,117     56,981
Azenta, Inc.   19,400     1,607,872
Broadcom, Inc.   48,147     30,317,203
CEVA, Inc. (A)   3,891     158,169
Cirrus Logic, Inc. (A)   14,896     1,263,032
CMC Materials, Inc.   12,168     2,255,947
Cohu, Inc. (A)   8,071     238,902
Credo Technology Group Holding, Ltd. (A)(C)   3,762     57,295
Diodes, Inc. (A)   7,294     634,505
Disco Corp.   4,700     1,314,295
Enphase Energy, Inc. (A)   15,619     3,151,602
First Solar, Inc. (A)   25,534     2,138,217
FormFactor, Inc. (A)   13,083     549,878
Ichor Holdings, Ltd. (A)   4,742     168,910
Impinj, Inc. (A)   3,200     203,328
Infineon Technologies AG   211,567     7,157,312
Intel Corp.   474,852     23,533,665
KLA Corp.   17,575     6,433,505
Kopin Corp. (A)   15,971     40,407
Kulicke & Soffa Industries, Inc.   10,255     574,485
Lam Research Corp.   16,268     8,745,839
Lasertec Corp.   12,200     2,029,641
Lattice Semiconductor Corp. (A)   58,149     3,544,182
 
  258  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
MACOM Technology Solutions Holdings, Inc. (A)   8,326   $ 498,478
MaxLinear, Inc. (A)   11,922     695,649
Meta Materials, Inc. (A)(C)   35,814     59,809
Microchip Technology, Inc.   64,836     4,871,777
Micron Technology, Inc.   130,582     10,171,032
MKS Instruments, Inc.   14,398     2,159,700
Monolithic Power Systems, Inc.   5,053     2,454,141
NeoPhotonics Corp. (A)   8,689     132,160
NVE Corp.   1,034     56,322
NVIDIA Corp.   291,535     79,548,240
NXP Semiconductors NV   31,012     5,739,701
Onto Innovation, Inc. (A)   8,168     709,718
PDF Solutions, Inc. (A)   5,125     142,834
Photronics, Inc. (A)   9,876     167,596
Power Integrations, Inc.   25,213     2,336,741
Qorvo, Inc. (A)   12,645     1,569,245
QUALCOMM, Inc.   131,424     20,084,216
Rambus, Inc. (A)   18,236     581,546
Renesas Electronics Corp. (A)   204,200     2,366,059
Rohm Company, Ltd.   14,142     1,097,984
Semtech Corp. (A)   27,501     1,906,919
Silicon Laboratories, Inc. (A)   16,308     2,449,462
SiTime Corp. (A)   6,580     1,630,656
Skyworks Solutions, Inc.   19,125     2,548,980
SMART Global Holdings, Inc. (A)   8,170     211,031
SolarEdge Technologies, Inc. (A)   6,125     1,974,516
STMicroelectronics NV   110,637     4,808,723
SUMCO Corp.   53,900     882,070
SunPower Corp. (A)(C)   34,984     751,456
Synaptics, Inc. (A)   16,878     3,367,161
Teradyne, Inc.   19,009     2,247,434
Texas Instruments, Inc.   107,699     19,760,613
Tokyo Electron, Ltd.   24,160     12,407,634
Ultra Clean Holdings, Inc. (A)   7,443     315,509
Universal Display Corp.   11,195     1,869,005
Veeco Instruments, Inc. (A)   8,397     228,314
Wolfspeed, Inc. (A)   31,993     3,642,723
          389,481,439
Software – 5.8%      
8x8, Inc. (A)   19,282     242,760
A10 Networks, Inc.   9,989     139,347
ACI Worldwide, Inc. (A)   50,174     1,579,979
Adobe, Inc. (A)   55,007     25,062,289
Agilysys, Inc. (A)   3,615     144,166
Alarm.com Holdings, Inc. (A)   7,960     529,022
Alkami Technology, Inc. (A)   4,965     71,049
Altair Engineering, Inc., Class A (A)   7,775     500,710
American Software, Inc., Class A   5,341     111,306
ANSYS, Inc. (A)   10,175     3,232,089
Appfolio, Inc., Class A (A)   3,216     364,083
Appian Corp. (A)   6,654     404,696
Asana, Inc., Class A (A)   12,300     491,631
Aspen Technology, Inc. (A)   17,280     2,857,594
Autodesk, Inc. (A)   25,652     5,498,506
Avaya Holdings Corp. (A)   14,288     181,029
AVEVA Group PLC   19,538     624,056
AvidXchange Holdings, Inc. (A)(C)   4,563     36,732
Benefitfocus, Inc. (A)   4,594     57,976
Blackbaud, Inc. (A)   19,685     1,178,541
Blackline, Inc. (A)   9,133     668,718
Bottomline Technologies DE, Inc. (A)   7,416     420,339
Box, Inc., Class A (A)   22,895     665,329
BTRS Holdings, Inc., Class 1 (A)   16,985     127,048
Cadence Design Systems, Inc. (A)   32,318     5,315,018
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
CDK Global, Inc.   30,294   $ 1,474,712
Cerence, Inc. (A)   6,689     241,473
Ceridian HCM Holding, Inc. (A)   15,952     1,090,479
ChannelAdvisor Corp. (A)   5,027     83,297
Check Point Software Technologies, Ltd. (A)   17,226     2,381,667
Citrix Systems, Inc.   14,544     1,467,490
Cleanspark, Inc. (A)(C)   6,815     84,302
CommVault Systems, Inc. (A)   19,057     1,264,432
Consensus Cloud Solutions, Inc. (A)   2,714     163,193
CoreCard Corp. (A)   1,329     36,415
Couchbase, Inc. (A)   4,069     70,882
CS Disco, Inc. (A)(C)   2,700     91,719
CyberArk Software, Ltd. (A)   6,400     1,080,000
Dassault Systemes SE   107,703     5,291,298
Digimarc Corp. (A)(C)   2,326     61,337
Digital Turbine, Inc. (A)   37,975     1,663,685
Domo, Inc., Class B (A)   4,834     244,455
E2open Parent Holdings, Inc. (A)   33,607     296,078
Ebix, Inc.   4,465     148,015
eGain Corp. (A)   3,659     42,371
Enfusion, Inc., Class A (A)   3,766     47,904
EngageSmart, Inc. (A)   2,775     59,135
Envestnet, Inc. (A)   23,206     1,727,455
EverCommerce, Inc. (A)   5,197     68,600
Fair Isaac Corp. (A)   6,803     3,173,327
Fortinet, Inc. (A)   15,825     5,408,036
Instructure Holdings, Inc. (A)   2,180     43,731
Intapp, Inc. (A)   2,416     58,008
InterDigital, Inc.   5,202     331,888
Intuit, Inc.   33,021     15,877,818
JFrog, Ltd. (A)   9,221     248,506
LivePerson, Inc. (A)   11,169     272,747
Manhattan Associates, Inc. (A)   16,340     2,266,521
Marathon Digital Holdings, Inc. (A)(C)   16,069     449,129
MeridianLink, Inc. (A)   3,922     70,988
Microsoft Corp.   874,239     269,536,626
MicroStrategy, Inc., Class A (A)(C)   1,583     769,845
Mimecast, Ltd. (A)   26,508     2,108,976
Mitek Systems, Inc. (A)   7,333     107,575
Model N, Inc. (A)   6,167     165,892
Momentive Global, Inc. (A)   22,376     363,834
NCR Corp. (A)   34,085     1,369,876
Nemetschek SE   9,356     898,492
Nice, Ltd. (A)   10,226     2,236,690
NortonLifeLock, Inc.   67,853     1,799,462
ON24, Inc. (A)   5,110     67,197
OneSpan, Inc. (A)   6,206     89,615
Oracle Corp.   183,733     15,200,231
Oracle Corp. Japan   6,206     430,057
PagerDuty, Inc. (A)   14,031     479,720
Paycom Software, Inc. (A)   5,615     1,944,924
Paylocity Holding Corp. (A)   10,290     2,117,373
Ping Identity Holding Corp. (A)   10,283     282,063
Progress Software Corp.   7,298     343,663
PROS Holdings, Inc. (A)   6,794     226,308
PTC, Inc. (A)   12,274     1,322,155
Q2 Holdings, Inc. (A)   9,234     569,276
Qualys, Inc. (A)   14,321     2,039,454
Rapid7, Inc. (A)   9,443     1,050,439
Rekor Systems, Inc. (A)   6,852     31,245
Rimini Street, Inc. (A)   8,454     49,033
Riot Blockchain, Inc. (A)(C)   18,125     383,706
Sailpoint Technologies Holdings, Inc. (A)   39,483     2,020,740
salesforce.com, Inc. (A)   114,865     24,388,137
 
  259  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
SAP SE   169,171   $ 18,748,903
Sapiens International Corp. NV   5,216     132,434
ServiceNow, Inc. (A)   23,323     12,988,345
ShotSpotter, Inc. (A)   1,614     44,740
Sinch AB (A)(B)(C)   84,759     574,875
Smith Micro Software, Inc. (A)   9,202     34,692
Sprout Social, Inc., Class A (A)   7,611     609,793
SPS Commerce, Inc. (A)   6,033     791,530
Sumo Logic, Inc. (A)   15,359     179,240
Synopsys, Inc. (A)   17,893     5,963,200
Telos Corp. (A)   7,253     72,312
Temenos AG   10,889     1,047,410
Tenable Holdings, Inc. (A)   15,521     896,959
Teradata Corp. (A)   28,017     1,380,958
The Sage Group PLC   165,733     1,518,559
Trend Micro, Inc.   21,664     1,265,137
Tyler Technologies, Inc. (A)   4,778     2,125,684
Upland Software, Inc. (A)   5,050     88,931
Varonis Systems, Inc. (A)   18,034     857,336
Verint Systems, Inc. (A)   10,777     557,171
Veritone, Inc. (A)(C)   4,920     89,938
Vonage Holdings Corp. (A)   42,548     863,299
WiseTech Global, Ltd.   23,695     891,851
Workiva, Inc. (A)   7,196     849,128
Xero, Ltd. (A)   21,684     1,643,380
Xperi Holding Corp.   17,770     307,776
Yext, Inc. (A)   19,761     136,153
Zuora, Inc., Class A (A)   19,114     286,328
          485,223,772
Technology hardware, storage and peripherals – 4.1%      
3D Systems Corp. (A)   20,945     349,363
Apple, Inc.   1,807,921     315,681,067
Avid Technology, Inc. (A)   6,040     210,615
Brother Industries, Ltd.   38,236     695,337
Canon, Inc.   162,077     3,950,464
Corsair Gaming, Inc. (A)   4,763     100,785
Diebold Nixdorf, Inc. (A)   12,681     85,343
Eastman Kodak Company (A)   8,084     52,950
FUJIFILM Holdings Corp.   58,338     3,560,947
Hewlett Packard Enterprise Company   150,833     2,520,419
HP, Inc.   126,261     4,583,274
Logitech International SA   28,044     2,084,570
NetApp, Inc.   25,921     2,151,443
Quantum Corp. (A)   12,176     27,640
Ricoh Company, Ltd. (C)   108,577     940,251
Seagate Technology Holdings PLC   23,484     2,111,212
Seiko Epson Corp. (C)   45,347     681,244
Super Micro Computer, Inc. (A)   7,428     282,784
Turtle Beach Corp. (A)   2,600     55,354
Western Digital Corp. (A)   36,491     1,811,778
Xerox Holdings Corp.   31,894     643,302
          342,580,142
          1,622,398,632
Materials – 4.7%          
Chemicals – 2.2%      
AdvanSix, Inc.   4,521     230,978
Air Liquide SA   76,767     13,429,908
Air Products & Chemicals, Inc.   25,855     6,461,423
Akzo Nobel NV   30,368     2,609,288
Albemarle Corp.   13,641     3,016,707
American Vanguard Corp.   5,197     105,603
Amyris, Inc. (A)   30,664     133,695
Arkema SA   9,945     1,188,825
Asahi Kasei Corp.   203,257     1,758,079
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Chemicals (continued)      
Ashland Global Holdings, Inc.   13,722   $ 1,350,382
Aspen Aerogels, Inc. (A)   3,758     129,576
Avient Corp.   38,859     1,865,232
Balchem Corp.   5,389     736,676
BASF SE   148,799     8,490,547
Cabot Corp.   24,019     1,643,140
Celanese Corp.   12,598     1,799,876
CF Industries Holdings, Inc.   25,011     2,577,634
Chase Corp.   1,229     106,812
Chr. Hansen Holding A/S   17,089     1,254,793
Clariant AG (A)   34,954     606,557
Corteva, Inc.   84,781     4,873,212
Covestro AG (B)   31,299     1,576,073
Croda International PLC   22,603     2,325,207
Danimer Scientific, Inc. (A)(C)   15,995     93,731
Dow, Inc.   85,798     5,467,049
DuPont de Nemours, Inc.   59,812     4,400,967
Eastman Chemical Company   15,043     1,685,719
Ecolab, Inc.   29,073     5,133,129
Ecovyst, Inc.   10,349     119,634
EMS-Chemie Holding AG   1,137     1,104,942
Evonik Industries AG   33,973     942,494
Ferro Corp. (A)   13,649     296,729
FMC Corp.   14,781     1,944,736
FutureFuel Corp.   5,612     54,605
GCP Applied Technologies, Inc. (A)   11,233     352,941
Givaudan SA   1,496     6,182,873
Hawkins, Inc.   3,258     149,542
HB Fuller Company   8,791     580,821
ICL Group, Ltd.   114,423     1,360,212
Ingevity Corp. (A)   16,815     1,077,337
Innospec, Inc.   4,088     378,344
International Flavors & Fragrances, Inc.   29,684     3,898,400
Intrepid Potash, Inc. (A)   1,678     137,831
Johnson Matthey PLC   31,354     766,815
JSR Corp.   32,990     971,486
Kansai Paint Company, Ltd.   28,754     461,616
Koninklijke DSM NV   28,316     5,065,555
Koppers Holdings, Inc.   3,611     99,375
Kronos Worldwide, Inc.   3,473     53,901
LANXESS AG   13,289     583,362
Linde PLC   59,771     19,092,651
Livent Corp. (A)   27,241     710,173
LyondellBasell Industries NV, Class A   30,658     3,152,256
Minerals Technologies, Inc.   14,122     934,170
Mitsubishi Chemical Holdings Corp.   207,459     1,379,755
Mitsubishi Gas Chemical Company, Inc.   25,570     432,849
Mitsui Chemicals, Inc.   29,818     749,612
NewMarket Corp.   1,784     578,694
Nippon Paint Holdings Company, Ltd.   134,400     1,177,524
Nippon Sanso Holdings Corp.   24,557     466,916
Nissan Chemical Corp.   19,700     1,155,557
Nitto Denko Corp.   23,087     1,655,062
Novozymes A/S, B Shares   33,281     2,281,884
Olin Corp.   36,535     1,910,050
Orica, Ltd.   66,019     785,491
Orion Engineered Carbons SA   10,161     162,271
PPG Industries, Inc.   27,684     3,628,542
PureCycle Technologies, Inc. (A)   10,262     82,096
Quaker Chemical Corp.   2,282     394,352
Rayonier Advanced Materials, Inc. (A)   11,369     74,694
RPM International, Inc.   33,640     2,739,642
Sensient Technologies Corp.   17,910     1,503,545
Shin-Etsu Chemical Company, Ltd.   57,346     8,712,762
Sika AG   22,987     7,605,332
 
  260  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Chemicals (continued)      
Solvay SA   12,007   $ 1,183,357
Stepan Company   3,581     353,839
Sumitomo Chemical Company, Ltd.   241,344     1,105,069
Symrise AG   21,512     2,579,131
The Chemours Company   41,449     1,304,815
The Mosaic Company   43,195     2,872,468
The Scotts Miracle-Gro Company   10,518     1,293,293
The Sherwin-Williams Company   28,130     7,021,811
Toray Industries, Inc.   224,672     1,168,197
Tosoh Corp.   42,100     622,217
Tredegar Corp.   5,203     62,384
Trinseo PLC   6,483     310,665
Tronox Holdings PLC, Class A   19,167     379,315
Umicore SA   31,935     1,380,466
Valvoline, Inc.   46,290     1,460,912
Yara International ASA   26,824     1,341,428
Zymergen, Inc. (A)   14,906     43,078
          187,482,694
Construction materials – 0.3%      
CRH PLC   125,153     4,991,744
Eagle Materials, Inc.   10,233     1,313,508
HeidelbergCement AG   24,109     1,366,358
Holcim, Ltd. (A)   84,817     4,125,225
James Hardie Industries PLC, CHESS Depositary Interest   72,113     2,163,253
Martin Marietta Materials, Inc.   7,275     2,800,075
Summit Materials, Inc., Class A (A)   19,968     620,206
United States Lime & Minerals, Inc.   380     44,095
Vulcan Materials Company   15,475     2,842,758
          20,267,222
Containers and packaging – 0.3%      
Amcor PLC   176,522     1,999,994
AptarGroup, Inc.   17,100     2,009,250
Avery Dennison Corp.   9,655     1,679,680
Ball Corp.   37,771     3,399,390
Greif, Inc., Class A   10,916     710,195
Greif, Inc., Class B   1,195     76,193
International Paper Company   45,160     2,084,134
Myers Industries, Inc.   6,312     136,339
O-I Glass, Inc. (A)   26,209     345,435
Packaging Corp. of America   11,077     1,729,230
Pactiv Evergreen, Inc.   7,557     76,023
Ranpak Holdings Corp. (A)   6,365     130,037
Sealed Air Corp.   17,277     1,156,868
Silgan Holdings, Inc.   21,667     1,001,665
Smurfit Kappa Group PLC   39,866     1,770,742
Sonoco Products Company   25,389     1,588,336
TriMas Corp.   7,060     226,555
UFP Technologies, Inc. (A)   1,250     82,713
Westrock Company   30,695     1,443,586
          21,646,365
Metals and mining – 1.8%      
1911 Gold Corp. (A)   3,149     946
Alcoa Corp.   47,646     4,289,569
Allegheny Technologies, Inc. (A)   21,429     575,154
Anglo American PLC   207,253     10,769,347
Antofagasta PLC   63,886     1,388,174
ArcelorMittal SA   103,494     3,315,338
Arconic Corp. (A)   17,955     460,007
BHP Group, Ltd.   820,126     31,613,798
BlueScope Steel, Ltd.   80,082     1,245,283
Boliden AB   44,311     2,235,277
Carpenter Technology Corp.   8,100     340,038
Century Aluminum Company (A)   8,663     227,924
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Metals and mining (continued)      
Cleveland-Cliffs, Inc. (A)   123,741   $ 3,985,698
Coeur Mining, Inc. (A)   43,491     193,535
Commercial Metals Company   51,423     2,140,225
Compass Minerals International, Inc.   5,753     361,231
Constellium SE (A)   20,683     372,294
Evolution Mining, Ltd.   296,945     980,069
Fortescue Metals Group, Ltd.   274,346     4,217,202
Freeport-McMoRan, Inc.   171,197     8,515,339
Gatos Silver, Inc. (A)   8,740     37,757
Glencore PLC (A)   1,606,555     10,453,377
Haynes International, Inc.   2,289     97,511
Hecla Mining Company   89,240     586,307
Hitachi Metals, Ltd. (A)   34,764     581,611
JFE Holdings, Inc.   79,633     1,114,399
Kaiser Aluminum Corp.   2,686     252,914
Materion Corp.   3,404     291,859
Mineral Resources, Ltd.   27,535     1,085,437
MP Materials Corp. (A)   12,724     729,594
Newcrest Mining, Ltd.   132,514     2,677,761
Newmont Corp.   92,992     7,388,214
Nippon Steel Corp.   138,600     2,445,548
Norsk Hydro ASA   217,872     2,116,816
Northern Star Resources, Ltd.   179,240     1,446,053
Novagold Resources, Inc. (A)   39,303     303,812
Nucor Corp.   31,719     4,715,029
Olympic Steel, Inc.   1,584     60,921
Pan American Silver Corp., CVR (A)   54,671     45,924
Perpetua Resources Corp. (A)   7,174     29,413
Reliance Steel & Aluminum Company   16,179     2,966,420
Rio Tinto PLC   181,968     14,547,712
Rio Tinto, Ltd.   60,139     5,376,433
Royal Gold, Inc.   16,949     2,394,555
Ryerson Holding Corp.   2,682     93,924
Schnitzer Steel Industries, Inc., Class A   4,349     225,887
South32, Ltd.   755,538     2,872,010
Steel Dynamics, Inc.   48,839     4,074,638
Sumitomo Metal Mining Company, Ltd.   40,007     2,026,899
SunCoke Energy, Inc.   14,372     128,055
TimkenSteel Corp. (A)   7,724     169,001
U.S. Steel Corp.   67,532     2,548,658
voestalpine AG   18,801     559,446
Warrior Met Coal, Inc.   8,502     315,509
Worthington Industries, Inc.   14,033     721,437
          152,707,289
Paper and forest products – 0.1%      
Clearwater Paper Corp. (A)   2,954     82,801
Glatfelter Corp.   7,698     95,301
Louisiana-Pacific Corp.   22,720     1,411,366
Mondi PLC   78,662     1,529,018
Neenah, Inc.   3,013     119,496
Oji Holdings Corp.   131,438     652,088
Schweitzer-Mauduit International, Inc.   5,469     150,398
Stora Enso OYJ, R Shares   94,248     1,848,903
Svenska Cellulosa AB SCA, B Shares   98,154     1,905,922
UPM-Kymmene OYJ   86,469     2,823,644
          10,618,937
          392,722,507
Real estate – 3.5%          
Equity real estate investment trusts – 2.9%      
Acadia Realty Trust   14,569     315,710
Agree Realty Corp.   11,618     770,970
Alexander & Baldwin, Inc.   12,125     281,179
Alexander's, Inc.   364     93,268
Alexandria Real Estate Equities, Inc.   16,973     3,415,816
 
  261  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
American Assets Trust, Inc.   8,405   $ 318,465
American Campus Communities, Inc.   36,151     2,023,371
American Tower Corp.   53,108     13,341,792
Apartment Income REIT Corp.   40,761     2,179,083
Apartment Investment and Management Company, Class A (A)   24,973     182,802
Apple Hospitality REIT, Inc.   35,905     645,213
Armada Hoffler Properties, Inc.   11,105     162,133
Ascendas Real Estate Investment Trust   543,678     1,171,532
Ashford Hospitality Trust, Inc. (A)   3,655     37,281
AvalonBay Communities, Inc.   16,298     4,047,934
Boston Properties, Inc.   16,576     2,134,989
Braemar Hotels & Resorts, Inc.   11,031     68,172
Brandywine Realty Trust   28,347     400,827
Brixmor Property Group, Inc.   77,172     1,991,809
Broadstone Net Lease, Inc.   26,316     573,162
BRT Apartments Corp.   2,154     51,631
Camden Property Trust   26,460     4,397,652
CapitaLand Integrated Commercial Trust   787,530     1,302,841
CareTrust REIT, Inc.   16,418     316,867
CatchMark Timber Trust, Inc., Class A   9,831     80,614
Centerspace   2,370     232,544
Chatham Lodging Trust (A)   8,658     119,394
City Office REIT, Inc.   7,148     126,234
Community Healthcare Trust, Inc.   3,965     167,363
Corporate Office Properties Trust   47,885     1,366,638
Cousins Properties, Inc.   38,394     1,546,894
Covivio   8,427     670,654
Crown Castle International Corp.   50,401     9,304,025
CTO Realty Growth, Inc.   1,251     82,966
Daiwa House REIT Investment Corp.   357     962,474
Dexus   174,249     1,422,337
DiamondRock Hospitality Company (A)   35,359     357,126
Digital Realty Trust, Inc.   33,094     4,692,729
DigitalBridge Group, Inc. (A)   82,010     590,472
Diversified Healthcare Trust   43,741     139,971
Douglas Emmett, Inc.   45,313     1,514,360
Duke Realty Corp.   44,412     2,578,561
Easterly Government Properties, Inc.   14,513     306,805
EastGroup Properties, Inc.   17,219     3,500,278
Empire State Realty Trust, Inc., Class A   24,202     237,664
EPR Properties   19,316     1,056,778
Equinix, Inc.   10,500     7,787,010
Equity Commonwealth (A)   17,859     503,802
Equity Residential   39,850     3,583,312
Essential Properties Realty Trust, Inc.   20,300     513,590
Essex Property Trust, Inc.   7,609     2,628,757
Extra Space Storage, Inc.   15,614     3,210,238
Farmland Partners, Inc.   5,722     78,678
Federal Realty Investment Trust   8,251     1,007,200
First Industrial Realty Trust, Inc.   33,643     2,082,838
Four Corners Property Trust, Inc.   12,892     348,600
Franklin Street Properties Corp.   18,797     110,902
Gecina SA   7,443     938,028
Getty Realty Corp.   6,575     188,177
Gladstone Commercial Corp.   6,625     145,883
Gladstone Land Corp.   5,278     192,225
Global Medical REIT, Inc.   10,526     171,784
Global Net Lease, Inc.   17,735     278,972
GLP J-REIT   691     1,049,976
Goodman Group   272,396     4,629,782
Healthcare Realty Trust, Inc.   62,849     1,727,091
Healthpeak Properties, Inc.   62,890     2,159,014
Hersha Hospitality Trust (A)   6,907     62,716
Highwoods Properties, Inc.   27,231     1,245,546
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
Host Hotels & Resorts, Inc.   83,266   $ 1,617,858
Hudson Pacific Properties, Inc.   39,372     1,092,573
Independence Realty Trust, Inc.   36,793     972,807
Indus Realty Trust, Inc.   970     70,897
Industrial Logistics Properties Trust   10,715     242,909
Innovative Industrial Properties, Inc.   3,972     815,849
Iron Mountain, Inc.   33,766     1,870,974
iStar, Inc.   11,227     262,824
Japan Metropolitan Fund Investment Corp.   1,132     955,185
Japan Real Estate Investment Corp.   202     1,057,999
JBG SMITH Properties   29,478     861,347
Kilroy Realty Corp.   27,226     2,080,611
Kimco Realty Corp.   71,911     1,776,202
Kite Realty Group Trust   93,013     2,117,906
Klepierre SA (A)   32,928     876,678
Lamar Advertising Company, Class A   22,524     2,616,838
Land Securities Group PLC   114,119     1,170,838
Life Storage, Inc.   21,179     2,974,167
Link REIT   338,706     2,884,497
LTC Properties, Inc.   6,607     254,171
LXP Industrial Trust   46,140     724,398
Mapletree Commercial Trust   349,900     486,819
Mapletree Logistics Trust   505,700     687,208
Medical Properties Trust, Inc.   154,571     3,267,631
Mid-America Apartment Communities, Inc.   13,450     2,817,103
Mirvac Group   638,741     1,184,390
National Health Investors, Inc.   7,352     433,842
National Retail Properties, Inc.   45,626     2,050,432
National Storage Affiliates Trust   34,692     2,177,270
Necessity Retail REIT, Inc.   21,750     172,043
NETSTREIT Corp.   6,719     150,774
NexPoint Residential Trust, Inc.   3,664     330,896
Nippon Building Fund, Inc.   241     1,367,150
Nippon Prologis REIT, Inc.   335     978,151
Nomura Real Estate Master Fund, Inc.   687     908,150
Office Properties Income Trust   8,480     218,190
Omega Healthcare Investors, Inc.   61,707     1,922,790
One Liberty Properties, Inc.   3,083     94,926
Orix JREIT, Inc.   425     576,356
Outfront Media, Inc.   24,428     694,488
Paramount Group, Inc.   31,538     344,080
Park Hotels & Resorts, Inc.   61,063     1,192,560
Pebblebrook Hotel Trust   55,963     1,369,974
Phillips Edison & Company, Inc.   19,129     657,846
Physicians Realty Trust   93,722     1,643,884
Piedmont Office Realty Trust, Inc., Class A   20,865     359,295
Plymouth Industrial REIT, Inc.   5,245     142,140
Postal Realty Trust, Inc., Class A   3,093     52,024
PotlatchDeltic Corp.   28,923     1,525,110
Preferred Apartment Communities, Inc.   8,957     223,388
Prologis, Inc.   86,294     13,934,755
PS Business Parks, Inc.   8,458     1,421,621
Public Storage   17,791     6,943,471
Rayonier, Inc.   37,706     1,550,471
Realty Income Corp.   65,976     4,572,137
Regency Centers Corp.   17,969     1,281,908
Retail Opportunity Investments Corp.   19,671     381,421
Rexford Industrial Realty, Inc.   41,489     3,094,665
RLJ Lodging Trust   28,247     397,718
RPT Realty   14,042     193,358
Ryman Hospitality Properties, Inc. (A)   9,046     839,197
Sabra Health Care REIT, Inc.   97,845     1,456,912
 
  262  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
Safehold, Inc.   3,464   $ 192,079
Saul Centers, Inc.   2,112     111,302
SBA Communications Corp.   12,685     4,364,909
Scentre Group   840,876     1,911,863
Segro PLC   194,803     3,424,449
Seritage Growth Properties, Class A (A)   7,120     90,139
Service Properties Trust   28,790     254,216
Simon Property Group, Inc.   38,321     5,041,511
SITE Centers Corp.   29,074     485,827
SL Green Realty Corp.   16,628     1,349,861
Spirit Realty Capital, Inc.   33,113     1,523,860
STAG Industrial, Inc.   29,913     1,236,903
Stockland   386,739     1,225,577
STORE Capital Corp.   63,778     1,864,231
Summit Hotel Properties, Inc. (A)   17,847     177,756
Sunstone Hotel Investors, Inc. (A)   36,844     434,022
Tanger Factory Outlet Centers, Inc.   17,170     295,152
Terreno Realty Corp.   12,277     909,112
The British Land Company PLC   142,643     987,639
The GEO Group, Inc. (A)   19,575     129,391
The GPT Group   310,339     1,197,074
The Macerich Company   91,045     1,423,944
UDR, Inc.   34,875     2,000,779
UMH Properties, Inc.   7,287     179,187
Unibail-Rodamco-Westfield (A)   20,208     1,513,725
Uniti Group, Inc.   33,222     457,135
Universal Health Realty Income Trust   2,426     141,606
Urban Edge Properties   19,223     367,159
Urstadt Biddle Properties, Inc., Class A   5,535     104,113
Ventas, Inc.   46,549     2,874,866
Veris Residential, Inc. (A)   14,811     257,563
Vicinity Centres   626,878     869,890
Vornado Realty Trust   18,541     840,278
Washington Real Estate Investment Trust   14,330     365,415
Welltower, Inc.   50,759     4,879,970
Weyerhaeuser Company   87,146     3,302,833
Whitestone REIT   8,282     109,737
Xenia Hotels & Resorts, Inc. (A)   19,216     370,677
          244,585,323
Real estate management and development – 0.6%      
Aroundtown SA   161,855     924,899
Azrieli Group, Ltd.   6,875     604,004
CapitaLand Investment, Ltd. (A)   427,484     1,252,559
CBRE Group, Inc., Class A (A)   39,027     3,571,751
City Developments, Ltd.   66,313     383,337
CK Asset Holdings, Ltd.   324,562     2,218,520
Cushman & Wakefield PLC (A)   23,240     476,652
Daito Trust Construction Company, Ltd.   10,611     1,126,299
Daiwa House Industry Company, Ltd.   91,766     2,392,217
Douglas Elliman, Inc.   12,332     90,024
ESR Cayman, Ltd. (A)(B)   321,000     994,745
eXp World Holdings, Inc. (C)   10,665     225,778
Fastighets AB Balder, B Shares (A)   17,037     1,121,718
Forestar Group, Inc. (A)   3,232     57,400
FRP Holdings, Inc. (A)   1,232     71,210
Hang Lung Properties, Ltd.   328,313     661,740
Henderson Land Development Company, Ltd.   235,709     978,434
Hongkong Land Holdings, Ltd.   186,834     912,853
Hulic Company, Ltd.   62,169     557,744
Jones Lang LaSalle, Inc. (A)   13,082     3,132,616
Kennedy-Wilson Holdings, Inc.   19,730     481,215
LEG Immobilien SE   11,801     1,343,874
Lendlease Corp., Ltd.   111,590     930,207
Marcus & Millichap, Inc.   3,917     206,348
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Real estate management and development (continued)      
Mitsubishi Estate Company, Ltd.   191,624   $ 2,853,369
Mitsui Fudosan Company, Ltd.   148,626     3,180,939
New World Development Company, Ltd.   244,392     991,534
Newmark Group, Inc., Class A   28,121     447,686
Nomura Real Estate Holdings, Inc.   19,263     461,330
RE/MAX Holdings, Inc., Class A   3,335     92,480
Realogy Holdings Corp. (A)   19,181     300,758
Redfin Corp. (A)   17,607     317,630
Sagax AB, Class B   26,091     791,731
Sino Land Company, Ltd.   539,722     695,923
Sumitomo Realty & Development Company, Ltd.   50,083     1,386,064
Sun Hung Kai Properties, Ltd.   211,314     2,514,103
Swire Pacific, Ltd., Class A   80,518     489,639
Swire Properties, Ltd.   189,487     468,260
Swiss Prime Site AG   12,308     1,213,873
Tejon Ranch Company (A)   3,868     70,630
The RMR Group, Inc., Class A   2,872     89,319
The St. Joe Company   5,577     330,381
UOL Group, Ltd.   75,270     389,728
Vonovia SE   119,523     5,571,014
Wharf Real Estate Investment Company, Ltd.   270,346     1,336,121
          48,708,656
          293,293,979
Utilities – 2.9%          
Electric utilities – 1.6%      
ALLETE, Inc.   22,323     1,495,195
Alliant Energy Corp.   29,195     1,824,104
American Electric Power Company, Inc.   58,733     5,859,791
Chubu Electric Power Company, Inc.   104,429     1,080,823
CK Infrastructure Holdings, Ltd.   107,343     717,570
CLP Holdings, Ltd.   265,834     2,586,536
Constellation Energy Corp.   38,074     2,141,663
Duke Energy Corp.   89,702     10,016,125
Edison International   44,303     3,105,640
EDP - Energias de Portugal SA   449,725     2,213,494
Electricite de France SA (C)   76,739     720,287
Elia Group SA/NV   5,005     763,617
Endesa SA   51,458     1,121,970
Enel SpA   1,317,651     8,797,626
Entergy Corp.   23,437     2,736,270
Evergy, Inc.   26,740     1,827,412
Eversource Energy   40,093     3,535,802
Exelon Corp.   114,223     5,440,441
FirstEnergy Corp.   66,492     3,049,323
Fortum OYJ   71,954     1,315,107
Hawaiian Electric Industries, Inc.   28,226     1,194,242
HK Electric Investments, Ltd.   429,500     419,360
Iberdrola SA   943,680     10,314,393
IDACORP, Inc.   13,044     1,504,756
Mercury NZ, Ltd.   110,374     453,101
MGE Energy, Inc.   6,148     490,549
NextEra Energy, Inc.   228,813     19,382,749
NRG Energy, Inc.   28,552     1,095,255
OGE Energy Corp.   51,689     2,107,877
Origin Energy, Ltd.   285,330     1,328,132
Orsted A/S (B)   30,647     3,836,128
Otter Tail Corp.   6,787     424,188
Pinnacle West Capital Corp.   13,156     1,027,484
PNM Resources, Inc.   36,478     1,738,906
Portland General Electric Company   14,914     822,507
Power Assets Holdings, Ltd.   224,736     1,463,606
PPL Corp.   87,544     2,500,257
Red Electrica Corp. SA   70,127     1,439,779
 
  263  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electric utilities (continued)      
SSE PLC   172,649   $ 3,944,863
Terna - Rete Elettrica Nazionale   227,941     1,957,392
The Kansai Electric Power Company, Inc.   114,024     1,074,011
The Southern Company   123,588     8,961,366
Tokyo Electric Power Company Holdings, Inc. (A)   247,328     816,426
Verbund AG   11,031     1,164,920
Xcel Energy, Inc.   62,817     4,533,503
          134,344,546
Gas utilities – 0.3%      
APA Group   191,150     1,519,230
Atmos Energy Corp.   15,793     1,887,106
Brookfield Infrastructure Corp., Class A   10,687     806,227
Chesapeake Utilities Corp.   2,851     392,754
Enagas SA   40,322     895,401
Hong Kong & China Gas Company, Ltd.   1,814,022     2,191,192
National Fuel Gas Company   23,722     1,629,701
Naturgy Energy Group SA (C)   31,416     941,206
New Jersey Resources Corp.   41,121     1,885,809
Northwest Natural Holding Company   5,242     271,116
ONE Gas, Inc.   22,643     1,998,018
Osaka Gas Company, Ltd.   60,775     1,041,451
Snam SpA   326,689     1,883,867
South Jersey Industries, Inc.   17,355     599,615
Southwest Gas Holdings, Inc.   25,452     1,992,637
Spire, Inc.   21,813     1,565,301
Tokyo Gas Company, Ltd.   60,696     1,111,174
UGI Corp.   54,408     1,970,658
          24,582,463
Independent power and renewable electricity producers –
0.1%
     
Clearway Energy, Inc., Class A   5,914     197,054
Clearway Energy, Inc., Class C   13,734     501,428
EDP Renovaveis SA   46,685     1,200,305
Meridian Energy, Ltd.   208,591     726,743
Ormat Technologies, Inc.   7,597     621,663
Sunnova Energy International, Inc. (A)   14,575     336,100
The AES Corp.   77,748     2,000,456
Uniper SE   14,822     382,914
          5,966,663
Multi-utilities – 0.8%      
Ameren Corp.   30,040     2,816,550
Avista Corp.   11,817     533,538
Black Hills Corp.   27,115     2,088,397
CenterPoint Energy, Inc.   73,335     2,246,984
CMS Energy Corp.   33,790     2,363,273
Consolidated Edison, Inc.   41,252     3,905,739
Dominion Energy, Inc.   94,457     8,026,011
DTE Energy Company   22,593     2,987,021
E.ON SE   363,721     4,225,762
Engie SA   295,898     3,890,170
National Grid PLC   585,989     9,005,600
NiSource, Inc.   45,795     1,456,281
NorthWestern Corp.   23,137     1,399,557
Public Service Enterprise Group, Inc.   58,968     4,127,760
RWE AG   104,074     4,531,642
Sempra Energy   37,239     6,260,621
Unitil Corp.   2,845     141,909
Veolia Environnement SA   106,192     3,404,884
WEC Energy Group, Inc.   36,784     3,671,411
          67,083,110
Water utilities – 0.1%      
American States Water Company   6,165     548,808
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Water utilities (continued)      
American Water Works Company, Inc.   21,170   $ 3,504,270
Artesian Resources Corp., Class A   1,798     87,293
California Water Service Group   8,873     525,991
Essential Utilities, Inc.   59,640     3,049,393
Global Water Resources, Inc.   2,121     35,293
Middlesex Water Company   2,842     298,893
Pure Cycle Corp. (A)   4,368     52,503
Severn Trent PLC   40,546     1,634,175
SJW Group   4,721     328,487
The York Water Company   2,471     111,121
United Utilities Group PLC   110,470     1,626,726
          11,802,953
          243,779,735
TOTAL COMMON STOCKS (Cost $4,181,871,109)   $ 8,101,821,859
PREFERRED SECURITIES – 0.2%          
Consumer discretionary – 0.1%          
Automobiles – 0.1%      
Bayerische Motoren Werke AG   9,346     723,922
Porsche Automobil Holding SE   24,807     2,386,283
Volkswagen AG   30,066     5,166,881
          8,277,086
Consumer staples – 0.1%          
Household products – 0.1%      
Henkel AG & Company KGaA   28,864     1,931,916
Health care – 0.0%          
Health care equipment and supplies – 0.0%      
Sartorius AG   4,246     1,873,945
Materials – 0.0%          
Chemicals – 0.0%      
Fuchs Petrolub SE   11,259     408,493
TOTAL PREFERRED SECURITIES (Cost $10,054,707)   $ 12,491,440
RIGHTS – 0.0%          
Quantum Corp. (A)(E)   12,176     103
TOTAL RIGHTS (Cost $0)   $ 103
WARRANTS – 0.0%          
Cie Financiere Richemont SA (Expiration Date: 11-22-23; Strike Price: CHF 67.00) (A)   200,486     158,384
Nabors Industries, Ltd. (Expiration Date: 6-11-26; Strike Price: $166.67) (A)   480     11,040
Whiting Petroleum Corp., Class A (Expiration Date: 9-1-24; Strike Price: $73.44) (A)   917     18,799
Whiting Petroleum Corp., Class B (Expiration Date: 9-1-25; Strike Price: $83.45) (A)   458     6,829
TOTAL WARRANTS (Cost $15,655)   $ 195,052
SHORT-TERM INVESTMENTS – 3.4%      
U.S. Government – 1.2%          
U.S. Treasury Bill          
0.100%, 04/28/2022 * $ 55,000,000     54,995,617
0.210%, 05/19/2022 *   50,000,000     49,983,389
          104,979,006
U.S. Government Agency – 1.2%          
Federal Home Loan Bank Discount Note          
0.100%, 04/06/2022 *   4,050,000     4,049,904
0.100%, 04/08/2022 *   10,000,000     9,999,670
0.130%, 04/04/2022 *   41,000,000     40,999,420
 
  264  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS (continued)      
U.S. Government Agency (continued)          
Federal Home Loan Bank
Discount Note (continued)
         
0.150%, 04/07/2022 * $ 16,000,000   $ 15,999,547
0.170%, 04/06/2022 *   29,000,000     28,999,316
          100,047,857
Short-term funds – 0.6%          
John Hancock Collateral Trust, 0.3592% (F)(G)   5,343,040     53,423,988
Repurchase agreement – 0.4%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $30,903,000 on 4-1-22, collateralized by $31,563,100 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $31,521,184) $ 30,903,000     30,903,000
TOTAL SHORT-TERM INVESTMENTS (Cost $289,354,813)   $ 289,353,851
Total Investments (Strategic Equity Allocation Trust)
(Cost $4,481,296,284) – 100.0%
  $ 8,403,862,305
Other assets and liabilities, net – (0.0%)     (2,922,415)
TOTAL NET ASSETS – 100.0%   $ 8,400,939,890
Strategic Equity Allocation Trust (continued)
Currency Abbreviations
CHF Swiss Franc
Security Abbreviations and Legend
ADR American Depositary Receipt
CVR Contingent Value Right
(A) Non-income producing security.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $54,383,593. In addition to the cash collateral invested in John Hancock Collateral Trust, if any, non-cash collateral of $4,091,218 in the form of U.S. Treasuries was pledged to the fund.
(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 3-31-22.
(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)
MSCI EAFE Index Futures 1,111 Long Jun 2022 $112,800,931 $119,121,420 $6,320,489
Russell 2000 E-Mini Index Futures 165 Long Jun 2022 16,536,851 17,047,800 510,949
S&P 500 E-Mini Index Futures 561 Long Jun 2022 129,155,392 127,087,538 (2,067,854)
S&P Mid 400 E-Mini Index Futures 37 Long Jun 2022 9,568,096 9,950,040 381,944
            $5,145,528
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Strategic Income Opportunities Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
6.0%
     
U.S. Government – 6.0%          
U.S. Treasury Bonds          
2.000%, 02/15/2050 $ 1,800,000   $ 1,621,336
2.750%, 11/15/2042   995,000     1,010,469
3.000%, 02/15/2049   5,975,000     6,567,577
4.375%, 02/15/2038   3,135,000     3,965,897
U.S. Treasury Notes          
0.250%, 06/30/2025   100,000     92,902
0.375%, 11/30/2025   900,000     832,078
0.500%, 02/28/2026   1,150,000     1,063,211
1.375%, 11/15/2031   1,140,000     1,045,950
1.500%, 01/31/2027   4,680,000     4,472,325
1.875%, 02/15/2032   1,284,000     1,233,041
2.000%, 11/15/2026   1,390,000     1,359,594
2.375%, 02/29/2024 to 04/30/2026   1,400,000     1,400,252
2.625%, 02/15/2029   935,000     946,249
          25,610,881
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $25,496,695)   $ 25,610,881
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS – 21.2%      
Australia – 1.2%          
Commonwealth of Australia          
0.250%, 11/21/2024 AUD 2,210,000   $ 1,572,007
0.500%, 09/21/2026   775,000     528,352
New South Wales Treasury Corp.          
1.000%, 02/08/2024   2,100,000     1,543,661
1.250%, 03/20/2025   1,370,000     988,291
Queensland Treasury Corp.
4.250%, 07/21/2023 (A)
  860,000     666,330
          5,298,641
Austria – 0.2%          
Republic of Austria
0.500%, 02/20/2029 (A)
EUR 755,000     822,937
Brazil – 0.7%          
Federative Republic of Brazil
10.000%, 01/01/2023 to 01/01/2025
BRL 14,010,000     2,918,150
Canada – 2.9%          
Canada Housing Trust No. 1          
1.250%, 06/15/2026 (A) CAD 1,425,000     1,075,347
 
  265  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Canada (continued)          
Canada Housing Trust No. 1 (continued)          
1.950%, 12/15/2025 (A) CAD 1,675,000   $ 1,306,785
CPPIB Capital, Inc.
2.250%, 12/01/2031 (A)
  635,000     473,821
Government of Canada          
1.500%, 09/01/2024   885,000     694,967
2.250%, 12/01/2029   1,350,000     1,072,797
Province of Ontario          
1.350%, 12/02/2030   5,785,000     4,035,086
2.900%, 06/02/2028   1,185,000     947,052
3.450%, 06/02/2045   1,060,000     864,178
Province of Quebec          
0.200%, 04/07/2025 EUR 475,000     516,252
1.500%, 12/15/2023 GBP 497,000     650,478
3.000%, 09/01/2023 CAD 650,000     525,397
          12,162,160
China – 1.2%          
People's Republic of China          
1.990%, 04/09/2025 CNY 12,420,000     1,927,976
2.690%, 08/12/2026   4,220,000     668,086
2.880%, 11/05/2023   14,670,000     2,333,392
          4,929,454
Colombia – 1.0%          
Republic of Colombia          
3.250%, 04/22/2032 $ 955,000     797,301
4.500%, 03/15/2029   235,000     226,996
5.625%, 02/26/2044   235,000     213,020
6.250%, 11/26/2025 COP 3,780,000,000     912,255
7.500%, 08/26/2026   3,905,000,000     968,527
10.000%, 07/24/2024   4,909,200,000     1,335,452
          4,453,551
Greece – 0.7%          
Republic of Greece          
1.500%, 06/18/2030 (A) EUR 1,020,000     1,047,825
2.000%, 04/22/2027 (A)   779,000     876,477
4.200%, 01/30/2042   685,000     986,063
          2,910,365
India – 0.2%          
Republic of India          
6.100%, 07/12/2031 INR 33,840,000     423,005
6.450%, 10/07/2029   33,000,000     426,380
7.270%, 04/08/2026   15,300,000     209,910
          1,059,295
Indonesia – 2.9%          
Perusahaan Penerbit SBSN Indonesia III
4.150%, 03/29/2027 (A)
$ 940,000     988,410
Republic of Indonesia          
1.100%, 03/12/2033 EUR 261,000     251,232
2.150%, 07/18/2024 (A)   740,000     832,685
2.625%, 06/14/2023 (A)   850,000     956,703
3.050%, 03/12/2051 $ 545,000     492,459
3.850%, 10/15/2030   405,000     426,769
6.375%, 04/15/2032 IDR 30,847,000,000     2,085,286
6.500%, 06/15/2025   27,798,000,000     2,015,123
6.625%, 05/15/2033   6,431,000,000     436,914
7.500%, 06/15/2035 to 05/15/2038   10,834,000,000     773,870
8.125%, 05/15/2024   3,514,000,000     262,648
8.375%, 09/15/2026   12,897,000,000     993,028
8.750%, 05/15/2031   17,423,000,000     1,371,605
9.000%, 03/15/2029   6,709,000,000     526,327
          12,413,059
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Ireland – 0.3%          
Republic of Ireland          
1.100%, 05/15/2029 EUR 315,000   $ 355,774
3.400%, 03/18/2024   747,000     881,122
          1,236,896
Italy – 0.6%          
Republic of Italy          
1.250%, 02/17/2026 $ 742,000     684,124
1.850%, 07/01/2025 (A) EUR 1,710,000     1,949,091
          2,633,215
Japan – 0.9%          
Government of Japan
0.100%, 06/20/2025
JPY 447,900,000     3,693,753
Malaysia – 1.1%          
Government of Malaysia          
3.733%, 06/15/2028 MYR 1,930,000     457,691
3.828%, 07/05/2034   1,965,000     448,186
3.844%, 04/15/2033   4,313,000     996,408
3.882%, 03/14/2025   2,835,000     687,524
3.899%, 11/16/2027   3,370,000     814,649
3.900%, 11/30/2026   1,805,000     437,952
4.059%, 09/30/2024   3,895,000     951,260
          4,793,670
Mexico – 1.4%          
Government of Mexico          
5.750%, 03/05/2026 MXN 24,110,000     1,102,442
6.750%, 03/09/2023   21,840,000     1,082,656
7.500%, 06/03/2027   44,140,000     2,129,838
7.750%, 05/29/2031   32,570,000     1,577,655
          5,892,591
New Zealand – 1.5%          
Government of New Zealand          
0.500%, 05/15/2024 to 05/15/2026 NZD 6,945,000     4,477,612
1.500%, 04/15/2026   680,000     432,414
4.500%, 04/15/2027   1,495,000     1,077,618
5.500%, 04/15/2023   460,000     328,659
          6,316,303
Norway – 0.9%          
Kingdom of Norway          
1.500%, 02/19/2026 (A) NOK 7,640,000     835,443
1.750%, 03/13/2025 to 02/17/2027 (A)   8,745,000     963,981
2.000%, 05/24/2023 (A)   19,400,000     2,211,940
          4,011,364
Philippines – 0.6%          
Republic of the Philippines          
0.875%, 05/17/2027 EUR 1,465,000     1,547,493
6.250%, 01/14/2036 PHP 43,000,000     906,326
          2,453,819
Portugal – 0.6%          
Republic of Portugal          
0.475%, 10/18/2030 (A) EUR 1,905,000     1,982,507
0.700%, 10/15/2027 (A)   435,000     477,530
          2,460,037
Qatar – 0.3%          
State of Qatar          
4.000%, 03/14/2029 (A) $ 475,000     507,101
4.817%, 03/14/2049 (A)   710,000     841,251
          1,348,352
Singapore – 0.4%          
Republic of Singapore          
1.750%, 04/01/2022 SGD 1,485,000     1,095,658
 
  266  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Singapore (continued)          
Republic of Singapore (continued)          
2.375%, 06/01/2025 SGD 650,000   $ 483,837
          1,579,495
Spain – 0.4%          
Kingdom of Spain          
0.250%, 07/30/2024 (A) EUR 875,000     968,181
0.800%, 07/30/2027 (A)   865,000     951,100
          1,919,281
Sweden – 0.2%          
Kingdom of Sweden
0.125%, 04/24/2023 (A)
  955,000     1,059,403
United Arab Emirates – 0.5%          
Government of Abu Dhabi          
1.700%, 03/02/2031 (A) $ 925,000     842,988
3.125%, 04/16/2030 (A)   730,000     745,403
3.875%, 04/16/2050 (A)   475,000     496,632
          2,085,023
United Kingdom – 0.5%          
Government of United Kingdom          
0.125%, 01/31/2024 GBP 435,000     558,111
0.250%, 01/31/2025   335,000     425,029
0.500%, 07/22/2022   800,000     1,050,595
          2,033,735
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $96,006,851)   $ 90,484,549
CORPORATE BONDS – 49.5%      
Communication services – 6.0%          
ANGI Group LLC
3.875%, 08/15/2028 (A)(B)
$ 660,000     559,112
CCO Holdings LLC          
4.250%, 02/01/2031 (A)   165,000     149,738
4.500%, 08/15/2030 to 06/01/2033 (A)   1,245,000     1,147,370
4.750%, 03/01/2030 (A)   1,030,000     989,047
5.125%, 05/01/2027 (A)   1,245,000     1,246,836
Cellnex Telecom SA
1.875%, 06/26/2029
EUR 500,000     500,558
Charter Communications Operating LLC          
2.800%, 04/01/2031 $ 230,000     207,298
5.125%, 07/01/2049   1,395,000     1,383,949
5.750%, 04/01/2048   790,000     839,877
CT Trust
5.125%, 02/03/2032 (A)
  360,000     359,640
Globo Comunicacao e Participacoes SA
5.500%, 01/14/2032 (A)
  550,000     495,006
IHS Holding, Ltd.
6.250%, 11/29/2028 (A)(B)
  370,000     347,060
Kenbourne Invest SA
4.700%, 01/22/2028 (A)
  450,000     395,352
LCPR Senior Secured Financing DAC
5.125%, 07/15/2029 (A)
  785,000     749,436
Lions Gate Capital Holdings LLC
5.500%, 04/15/2029 (A)
  765,000     737,269
Match Group Holdings II LLC
4.125%, 08/01/2030 (A)
  705,000     660,634
Millicom International Cellular SA
4.500%, 04/27/2031 (A)
  530,000     493,586
Netflix, Inc.          
4.875%, 04/15/2028   285,000     298,895
5.375%, 11/15/2029 (A)   1,110,000     1,201,575
News Corp.
3.875%, 05/15/2029 (A)
  1,685,000     1,592,325
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
Rogers Communications, Inc. (5.000% to 12-17-26, then 5 Year Canada Government Bond Yield + 3.575%) 12/17/2081 CAD 515,000   $ 400,247
Sirius XM Radio, Inc.
4.125%, 07/01/2030 (A)
$ 100,000     93,617
Sprint Corp.
7.125%, 06/15/2024
  165,000     176,971
T-Mobile USA, Inc.          
2.625%, 04/15/2026 to 02/15/2029   670,000     621,515
2.875%, 02/15/2031   400,000     360,372
3.375%, 04/15/2029   470,000     447,031
3.500%, 04/15/2031   335,000     315,228
3.500%, 04/15/2031 (A)   450,000     423,441
4.750%, 02/01/2028   165,000     167,706
Total Play Telecomunicaciones SA de CV
7.500%, 11/12/2025 (A)
  895,000     868,938
Virgin Media Finance PLC
5.000%, 07/15/2030 (A)
  720,000     680,036
Virgin Media Secured Finance PLC          
4.500%, 08/15/2030 (A)   670,000     624,775
5.500%, 05/15/2029 (A)   1,161,000     1,152,293
Vmed O2 UK Financing I PLC          
3.250%, 01/31/2031 (A) EUR 735,000     746,661
4.250%, 01/31/2031 (A) $ 1,225,000     1,120,410
VTR Comunicaciones SpA          
4.375%, 04/15/2029 (A)   315,000     287,834
5.125%, 01/15/2028 (A)(B)   415,000     395,574
VTR Finance NV
6.375%, 07/15/2028 (A)
  510,000     494,068
WMG Acquisition Corp.
3.000%, 02/15/2031 (A)
  1,910,000     1,709,450
          25,440,730
Consumer discretionary – 4.9%          
BMW Finance NV
1.000%, 11/14/2024
EUR 410,000     455,669
Carnival Corp.
5.750%, 03/01/2027 (A)
$ 1,165,000     1,111,020
Ford Motor Company
3.250%, 02/12/2032
  580,000     518,015
Ford Motor Credit Company LLC          
2.748%, 06/14/2024 GBP 316,000     401,818
2.900%, 02/16/2028 $ 360,000     325,350
3.370%, 11/17/2023   580,000     579,136
3.625%, 06/17/2031   1,220,000     1,101,996
4.000%, 11/13/2030   255,000     240,134
4.125%, 08/17/2027   205,000     200,377
4.542%, 08/01/2026   445,000     444,344
4.950%, 05/28/2027   1,115,000     1,133,732
Hilton Domestic Operating
Company, Inc.
         
3.625%, 02/15/2032 (A)   485,000     440,138
4.875%, 01/15/2030   710,000     708,399
Hyatt Hotels Corp.
5.750%, 04/23/2030
  744,000     822,074
MercadoLibre, Inc.          
2.375%, 01/14/2026   565,000     526,868
3.125%, 01/14/2031   450,000     392,108
MGM Resorts International
4.750%, 10/15/2028
  105,000     101,622
New Red Finance, Inc.          
3.500%, 02/15/2029 (A)   743,000     686,123
3.875%, 01/15/2028 (A)   970,000     919,109
4.000%, 10/15/2030 (A)   2,124,000     1,915,922
 
  267  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Newell Brands, Inc.
4.700%, 04/01/2026
$ 160,000   $ 161,000
Royal Caribbean Cruises, Ltd.          
4.250%, 07/01/2026 (A)   690,000     641,831
5.500%, 04/01/2028 (A)   1,235,000     1,177,338
Travel + Leisure Company          
4.500%, 12/01/2029 (A)   895,000     829,951
6.625%, 07/31/2026 (A)   372,000     387,810
Wyndham Hotels & Resorts, Inc.
4.375%, 08/15/2028 (A)
  660,000     635,250
Yum! Brands, Inc.          
3.625%, 03/15/2031   1,795,000     1,636,757
4.625%, 01/31/2032   875,000     846,379
4.750%, 01/15/2030 (A)   1,773,000     1,738,648
          21,078,918
Consumer staples – 3.1%          
Becle SAB de CV
2.500%, 10/14/2031 (A)
  795,000     705,245
JBS Finance Luxembourg Sarl
3.625%, 01/15/2032 (A)
  1,070,000     979,061
Kraft Heinz Foods Company          
3.000%, 06/01/2026   662,000     652,626
3.875%, 05/15/2027   370,000     376,103
4.250%, 03/01/2031   1,525,000     1,564,315
4.375%, 06/01/2046   280,000     276,539
4.625%, 10/01/2039   1,090,000     1,104,639
6.875%, 01/26/2039   1,220,000     1,502,125
7.125%, 08/01/2039 (A)   165,000     208,482
MARB BondCo PLC
3.950%, 01/29/2031 (A)
  1,205,000     1,069,438
Natura Cosmeticos SA
4.125%, 05/03/2028 (A)
  830,000     799,083
NBM US Holdings, Inc.
7.000%, 05/14/2026 (A)
  205,000     212,765
Oriflame Investment Holding PLC
5.125%, 05/04/2026 (A)
  437,000     349,600
Post Holdings, Inc.          
4.500%, 09/15/2031 (A)   1,450,000     1,284,686
5.500%, 12/15/2029 (A)   285,000     274,221
5.625%, 01/15/2028 (A)   1,255,000     1,231,864
5.750%, 03/01/2027 (A)   470,000     472,327
          13,063,119
Energy – 6.1%          
Aker BP ASA
3.750%, 01/15/2030 (A)
  750,000     733,886
Cenovus Energy, Inc.          
3.500%, 02/07/2028 CAD 510,000     395,611
5.250%, 06/15/2037 $ 194,000     210,157
5.400%, 06/15/2047   777,000     874,860
6.750%, 11/15/2039   1,806,000     2,229,872
Cheniere Energy Partners LP          
4.000%, 03/01/2031   1,252,000     1,213,676
4.500%, 10/01/2029   390,000     391,950
Continental Resources, Inc.          
2.875%, 04/01/2032 (A)   1,206,000     1,075,451
5.750%, 01/15/2031 (A)   1,490,000     1,629,762
Ecopetrol SA          
4.625%, 11/02/2031   435,000     393,675
5.375%, 06/26/2026   230,000     232,746
5.875%, 05/28/2045   235,000     205,884
6.875%, 04/29/2030   470,000     493,180
Enbridge, Inc.
3.125%, 11/15/2029
  990,000     959,402
EQT Corp.          
3.125%, 05/15/2026 (A)   190,000     184,541
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
EQT Corp. (continued)          
3.625%, 05/15/2031 (A) $ 2,235,000   $ 2,134,425
3.900%, 10/01/2027   325,000     324,059
Inversiones Latin America Power Ltda
5.125%, 06/15/2033 (A)
  569,952     464,511
Kinder Morgan, Inc.
5.300%, 12/01/2034
  230,000     252,075
MC Brazil Downstream Trading SARL
7.250%, 06/30/2031 (A)
  955,000     878,600
Medco Oak Tree Pte, Ltd.
7.375%, 05/14/2026 (A)
  625,000     630,000
Occidental Petroleum Corp.          
3.200%, 08/15/2026   154,000     151,305
3.400%, 04/15/2026   238,000     236,513
6.125%, 01/01/2031   775,000     871,875
6.625%, 09/01/2030   1,160,000     1,331,100
7.500%, 05/01/2031   335,000     408,700
Ovintiv, Inc.
6.500%, 08/15/2034 to 02/01/2038
  1,270,000     1,506,097
Pertamina Persero PT          
3.100%, 01/21/2030 (A)   255,000     241,518
3.650%, 07/30/2029 (A)   295,000     291,312
Petrobras Global Finance BV
6.900%, 03/19/2049
  955,000     948,773
Petrorio Luxembourg Trading Sarl
6.125%, 06/09/2026 (A)
  505,000     505,111
Qatar Energy          
2.250%, 07/12/2031 (A)   380,000     349,653
3.300%, 07/12/2051 (A)   295,000     270,757
Saudi Arabian Oil Company          
4.250%, 04/16/2039 (A)   340,000     348,063
4.375%, 04/16/2049 (A)   475,000     484,114
Southwestern Energy Company
5.950%, 01/23/2025
  17,000     17,772
The Williams Companies, Inc.
3.500%, 11/15/2030
  80,000     79,093
TransCanada PipeLines, Ltd.
4.100%, 04/15/2030
  1,060,000     1,094,524
Transcontinental Gas Pipe Line Company LLC
3.250%, 05/15/2030
  80,000     78,017
Western Midstream Operating LP
4.550%, 02/01/2030
  975,000     970,125
          26,092,745
Financials – 11.3%          
American International Group, Inc. (8.175% to 5-15-38, then 3 month LIBOR + 4.195%) 05/15/2068   1,700,000     2,307,750
Asian Development Bank
3.000%, 10/14/2026
AUD 565,000     420,840
Banco Actinver SA          
4.800%, 12/18/2034 (A) $ 215,000     148,350
9.500%, 12/18/2034 (A) MXN 12,100,000     401,812
Banco Santander SA (4.750% to 11-12-26, then 5 Year CMT + 3.753%) 11/12/2026 (C) $ 800,000     737,600
Barclays PLC (4.375% to 3-15-28, then 5 Year CMT + 3.410%) 03/15/2028 (C)   505,000     444,779
Berkshire Hathaway Finance Corp.
2.375%, 06/19/2039
GBP 610,000     742,222
Berkshire Hathaway, Inc., Zero Coupon
0.000%, 03/12/2025
EUR 975,000     1,050,244
BNG Bank NV
0.250%, 06/07/2024
  395,000     435,503
 
  268  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
BNP Paribas SA (4.500% to 2-25-30, then 5 Year CMT + 2.944%) 02/25/2030 (A)(B)(C) $ 820,000   $ 735,540
BNP Paribas SA (4.625% to 2-25-31, then 5 Year CMT + 3.340%) 02/25/2031 (A)(C)   1,421,000     1,268,257
Capital One Financial Corp.
0.800%, 06/12/2024
EUR 155,000     170,396
Chubb INA Holdings, Inc.
0.300%, 12/15/2024
  875,000     950,698
Citigroup, Inc. (3 month EURIBOR + 0.500%) 0.007%, 03/21/2023 (D)   920,000     1,020,192
Credit Agricole SA (6.875% to 9-23-24, then 5 Year U.S. Swap Rate + 4.319%) 09/23/2024 (A)(C) $ 205,000     212,688
Credit Agricole SA (7.875% to 1-23-24, then 5 Year U.S. Swap Rate + 4.898%) 01/23/2024 (A)(C)   825,000     869,344
Credit Suisse Group AG (5.100% to 1-24-30, then 5 Year CMT + 3.293%) 01/24/2030 (A)(B)(C)   420,000     386,400
Credit Suisse Group AG (6.375% to 8-21-26, then 5 Year CMT + 4.822%) 08/21/2026 (A)(C)   855,000     843,945
DB Insurance Company, Ltd.          
3.512%, 05/25/2024 KRW 1,000,000,000     824,793
3.865%, 05/25/2027   1,000,000,000     822,509
Deutsche Bank AG (6.000% to 10-30-25, then 5 Year CMT + 4.524%) 10/30/2025 (C) $ 800,000     780,000
European Financial Stability Facility
1.875%, 05/23/2023
EUR 380,000     430,232
European Investment Bank          
1.500%, 05/12/2022 NOK 5,320,000     604,473
1.750%, 03/13/2025   1,470,000     163,087
European Investment Bank (SONIA + 0.350%) 1.041%, 06/29/2023 (D) GBP 550,000     724,935
ING Groep NV (4.250% to 5-16-31, then 5 Year CMT + 2.862%) 05/16/2031 (C) $ 790,000     672,488
ING Groep NV (5.750% to 11-16-26, then 5 Year CMT + 4.342%) 11/16/2026 (C)   1,037,000     1,042,704
Inter-American Development Bank          
2.700%, 01/29/2026 AUD 582,000     430,097
2.750%, 10/30/2025   500,000     370,783
International Bank for Reconstruction &
Development
         
1.800%, 01/19/2027 CAD 625,000     477,948
1.900%, 01/16/2025   1,390,000     1,090,307
2.875%, 11/30/2026 NZD 715,000     479,541
International Finance Corp.
0.375%, 09/10/2025
  1,240,000     770,610
Intesa Sanpaolo SpA (4.198% to 6-1-31, then 1 Year CMT + 2.600%) 06/01/2032 (A) $ 740,000     654,167
Intesa Sanpaolo SpA (7.700% to 9-17-25, then 5 Year U.S. Swap Rate + 5.462%) 09/17/2025 (A)(C)   800,000     836,000
Lloyds Banking Group PLC (7.500% to 9-27-25, then 5 Year U.S. Swap Rate + 4.496%) 09/27/2025 (C)   640,000     680,266
Mexico Remittances Funding Fiduciary Estate Management Sarl
4.875%, 01/15/2028 (A)
  630,000     491,715
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
MSCI, Inc.          
3.250%, 08/15/2033 (A) $ 390,000   $ 350,537
3.625%, 09/01/2030 to 11/01/2031 (A)   2,374,000     2,228,614
3.875%, 02/15/2031 (A)   765,000     725,339
NatWest Group PLC (4.600% to 6-28-31, then 5 Year CMT + 3.100%) 06/28/2031 (C)   410,000     360,800
NatWest Group PLC (6.000% to 12-29-25, then 5 Year CMT + 5.625%) 12/29/2025 (C)   840,000     857,766
Nordea Eiendomskreditt AS (3 month NIBOR + 0.300%) 1.670%, 06/21/2023 (D) NOK 7,000,000     797,603
Nordea Eiendomskreditt AS (3 month NIBOR + 0.340%) 1.760%, 06/19/2024 (D)   12,000,000     1,368,615
Nordic Investment Bank
1.875%, 04/10/2024
  3,920,000     440,419
Popular, Inc.
6.125%, 09/14/2023
$ 1,625,000     1,660,750
QNB Finance, Ltd.
3.500%, 03/28/2024
  330,000     331,026
Royal Bank of Canada (4.200% to 2-24-27, then 5 Year Canada Government Bond Yield + 2.710%) 02/24/2027 (C) CAD 615,000     454,898
Shinhan Financial Group Company, Ltd. (2.875% to 5-12-26, then 5 Year CMT + 2.064%) 05/12/2026 (A)(C) $ 880,000     800,096
Societe Generale SA (6.750% to 4-6-28, then 5 Year U.S. Swap Rate + 3.929%) 04/06/2028 (A)(C)   410,000     414,100
Societe Generale SA (8.000% to 9-29-25, then 5 Year ICE Swap Rate + 5.873%) 09/29/2025 (A)(C)   660,000     712,899
Starwood Property Trust, Inc.
4.375%, 01/15/2027 (A)
  335,000     324,950
Swiss Insured Brazil Power Finance Sarl
9.850%, 07/16/2032 (A)
BRL 8,507,972     1,626,165
The Goldman Sachs Group, Inc.          
1.375%, 05/15/2024 EUR 983,000     1,098,070
2.000%, 11/01/2028   208,000     230,583
3.375%, 03/27/2025   187,000     219,197
U.S. Bancorp
0.850%, 06/07/2024
  2,560,000     2,833,070
U.S. Bancorp (3.700% to 1-15-27, then 5 Year CMT + 2.541%) 01/15/2027 (C) $ 1,277,000     1,155,685
UBS Group AG (3.875% to 6-2-26, then 5 Year CMT + 3.098%) 06/02/2026 (A)(C)   550,000     506,523
UBS Group AG (4.375% to 2-10-31, then 5 Year CMT + 3.313%) 02/10/2031 (A)(C)   625,000     564,063
UBS Group AG (5.125% to 7-29-26, then 5 Year CMT + 4.855%) 07/29/2026 (C)   466,000     467,422
UniCredit SpA (5.459% to 6-30-30, then 5 Year CMT + 4.750%) 06/30/2035 (A)   210,000     200,665
UniCredit SpA (8.000% to 6-3-24, then 5 Year U.S. Swap Rate + 5.180%) 06/03/2024 (C)   400,000     417,000
Wells Fargo & Company          
3.250%, 04/27/2022 AUD 1,120,000     839,551
 
  269  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Wells Fargo & Company (continued)          
3.750%, 01/24/2024 $ 625,000   $ 636,415
          48,116,036
Health care – 4.1%          
Allergan Funding SCS          
1.250%, 06/01/2024 EUR 520,000     568,307
2.625%, 11/15/2028   300,000     337,805
Becton Dickinson Euro Finance Sarl
1.208%, 06/04/2026
  745,000     816,722
Centene Corp.          
2.500%, 03/01/2031 $ 905,000     798,690
3.000%, 10/15/2030   1,795,000     1,648,654
3.375%, 02/15/2030   1,765,000     1,660,750
4.625%, 12/15/2029   260,000     262,103
DH Europe Finance II Sarl
0.450%, 03/18/2028
EUR 1,630,000     1,700,236
HCA, Inc.          
3.500%, 09/01/2030 $ 2,543,000     2,456,700
4.125%, 06/15/2029   1,175,000     1,197,681
5.375%, 02/01/2025   1,490,000     1,550,345
Mozart Debt Merger Sub, Inc.          
3.875%, 04/01/2029 (A)   1,185,000     1,096,125
5.250%, 10/01/2029 (A)   1,310,000     1,217,868
Rede D'or Finance Sarl          
4.500%, 01/22/2030 (A)   367,000     336,723
4.950%, 01/17/2028 (A)   310,000     303,025
Thermo Fisher Scientific, Inc.          
0.500%, 03/01/2028 EUR 650,000     678,534
0.750%, 09/12/2024   282,000     311,801
1.400%, 01/23/2026   468,000     521,824
          17,463,893
Industrials – 4.2%          
AECOM
5.125%, 03/15/2027
$ 835,000     853,980
Airbus SE
1.625%, 06/09/2030
EUR 255,000     284,769
American Airlines, Inc.          
5.500%, 04/20/2026 (A) $ 970,000     977,275
5.750%, 04/20/2029 (A)   790,000     787,038
CoStar Group, Inc.
2.800%, 07/15/2030 (A)
  320,000     292,471
DAE Funding LLC
3.375%, 03/20/2028 (A)
  640,000     598,400
Delta Air Lines 2020-1 Class A Pass Through Trust
2.500%, 12/10/2029
  466,809     433,324
Delta Air Lines, Inc.          
2.900%, 10/28/2024   540,000     527,850
4.500%, 10/20/2025 (A)   320,000     321,859
4.750%, 10/20/2028 (A)   3,417,000     3,443,163
7.375%, 01/15/2026   165,000     179,188
Hidrovias International Finance SARL
4.950%, 02/08/2031 (A)
  350,000     294,819
Indian Railway Finance Corp., Ltd.
3.249%, 02/13/2030 (A)
  645,000     602,828
Johnson Controls International PLC
0.375%, 09/15/2027
EUR 240,000     248,011
Movida Europe SA
5.250%, 02/08/2031 (A)
$ 235,000     210,628
Simpar Europe SA
5.200%, 01/26/2031 (A)
  315,000     282,240
Simpar Finance Sarl
10.750%, 02/12/2028 (A)
BRL 3,000,000     519,960
The Boeing Company          
5.040%, 05/01/2027 $ 1,035,000     1,089,868
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
The Boeing Company (continued)          
5.150%, 05/01/2030 $ 2,625,000   $ 2,799,452
United Airlines 2020-1 Class A Pass Through Trust
5.875%, 10/15/2027
  1,093,839     1,124,826
United Rentals North America, Inc.          
3.875%, 02/15/2031   1,120,000     1,055,600
4.000%, 07/15/2030   660,000     631,178
4.875%, 01/15/2028   530,000     538,371
          18,097,098
Information technology – 1.5%          
Apple, Inc.
0.875%, 05/24/2025
EUR 865,000     962,060
Atento Luxco 1 SA
8.000%, 02/10/2026 (A)
$ 486,000     490,980
Block, Inc.
3.500%, 06/01/2031 (A)
  315,000     288,225
CDW LLC
4.250%, 04/01/2028
  165,000     161,700
Dell International LLC
8.350%, 07/15/2046
  541,000     790,612
Fidelity National Information
Services, Inc.
         
1.000%, 12/03/2028 EUR 425,000     446,881
1.500%, 05/21/2027   820,000     900,291
Fiserv, Inc.
1.125%, 07/01/2027
  290,000     312,810
Gartner, Inc.
3.750%, 10/01/2030 (A)
$ 475,000     445,906
SK Hynix, Inc.
1.500%, 01/19/2026 (A)
  485,000     448,659
Twilio, Inc.          
3.625%, 03/15/2029   465,000     438,263
3.875%, 03/15/2031   620,000     576,301
Ziff Davis, Inc.
4.625%, 10/15/2030 (A)
  296,000     281,859
          6,544,547
Materials – 4.8%          
ArcelorMittal SA          
4.550%, 03/11/2026   100,000     102,453
7.250%, 10/15/2039   125,000     146,719
Ardagh Metal Packaging Finance USA LLC
3.250%, 09/01/2028 (A)
  960,000     871,200
Ball Corp.          
2.875%, 08/15/2030   520,000     466,203
4.875%, 03/15/2026   1,035,000     1,071,784
5.250%, 07/01/2025   1,375,000     1,456,813
Berry Global, Inc.
5.625%, 07/15/2027 (A)
  590,000     596,691
Braskem Idesa SAPI
6.990%, 02/20/2032 (A)
  480,000     470,429
Braskem Netherlands Finance BV          
4.500%, 01/31/2030 (A)   570,000     551,640
5.875%, 01/31/2050 (A)   585,000     580,320
Cemex SAB de CV
3.875%, 07/11/2031 (A)(B)
  1,355,000     1,236,451
Cleveland-Cliffs, Inc.          
4.625%, 03/01/2029 (A)   1,475,000     1,454,785
4.875%, 03/01/2031 (A)(B)   790,000     781,113
Crown Cork & Seal Company, Inc.
7.375%, 12/15/2026
  828,000     934,352
Ecolab, Inc.
1.000%, 01/15/2024
EUR 330,000     368,107
 
  270  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Materials (continued)          
FMG Resources August 2006 Proprietary, Ltd.
4.375%, 04/01/2031 (A)
$ 3,345,000   $ 3,164,036
Freeport-McMoRan, Inc.          
4.125%, 03/01/2028   140,000     139,856
4.625%, 08/01/2030   985,000     1,007,163
5.450%, 03/15/2043   1,905,000     2,133,295
FS Luxembourg Sarl
10.000%, 12/15/2025 (A)
  870,000     913,500
Indonesia Asahan Aluminium Persero PT
4.750%, 05/15/2025 (A)
  1,090,000     1,110,710
St. Mary's Cement, Inc.
5.750%, 01/28/2027 (A)
  830,000     880,846
          20,438,466
Real estate – 1.2%          
American Tower Corp.          
0.500%, 01/15/2028 EUR 270,000     273,557
1.950%, 05/22/2026   305,000     341,615
Crown Castle International Corp.
2.250%, 01/15/2031
$ 215,000     189,498
Host Hotels & Resorts LP          
3.375%, 12/15/2029   240,000     228,660
3.500%, 09/15/2030   240,000     228,830
SBA Communications Corp.          
3.125%, 02/01/2029   955,000     868,687
3.875%, 02/15/2027   1,900,000     1,853,308
VICI Properties LP          
4.125%, 08/15/2030 (A)   895,000     863,997
4.625%, 12/01/2029 (A)   385,000     384,038
          5,232,190
Utilities – 2.3%          
Adani Green Energy UP, Ltd.
6.250%, 12/10/2024 (A)
  460,000     470,350
Chile Electricity PEC SpA
4.933%, 01/25/2028 (A)(E)
  285,000     214,463
DPL, Inc.
4.125%, 07/01/2025
  1,330,000     1,320,903
E.ON SE
0.375%, 09/29/2027
EUR 315,000     329,497
EDP Finance BV
0.375%, 09/16/2026
  130,000     137,773
Engie SA
0.375%, 06/21/2027
  300,000     312,496
FirstEnergy Corp.          
4.400%, 07/15/2027 $ 890,000     895,652
7.375%, 11/15/2031   1,355,000     1,671,203
Greenko Dutch BV
3.850%, 03/29/2026 (A)(B)
  596,550     570,182
Greenko Solar Mauritius, Ltd.
5.550%, 01/29/2025 (A)
  430,000     432,365
Greenko Wind Projects Mauritius, Ltd.
5.500%, 04/06/2025 (A)
  775,000     772,094
Israel Electric Corp., Ltd.          
3.750%, 02/22/2032 (A)   490,000     470,275
6.875%, 06/21/2023 (A)   390,000     406,913
Perusahaan Perseroan Persero PT Perusahaan Listrik Negara
4.125%, 05/15/2027 (A)
  1,440,000     1,455,307
The AES Corp.
3.950%, 07/15/2030 (A)
  160,000     158,505
          9,617,978
TOTAL CORPORATE BONDS (Cost $222,413,505)     $ 211,185,720
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CONVERTIBLE BONDS – 2.3%      
Communication services – 0.9%          
Cellnex Telecom SA
0.750%, 11/20/2031
EUR 600,000   $ 571,880
DISH Network Corp.
3.375%, 08/15/2026
$ 430,000     386,785
Liberty Broadband Corp.          
1.250%, 09/30/2050 (A)   1,205,000     1,153,788
2.750%, 09/30/2050 (A)   815,000     803,814
Liberty Media Corp.
0.500%, 12/01/2050 (A)
  500,000     709,500
          3,625,767
Consumer discretionary – 0.2%          
Burlington Stores, Inc.
2.250%, 04/15/2025
  705,000     805,022
Energy – 0.1%          
BP Capital Markets PLC
1.000%, 04/28/2023
GBP 400,000     542,674
Industrials – 1.1%          
Air Canada
4.000%, 07/01/2025
$ 500,000     734,500
American Airlines Group, Inc.
6.500%, 07/01/2025
  1,395,000     1,908,360
Southwest Airlines Company
1.250%, 05/01/2025
  915,000     1,241,655
Uber Technologies, Inc.
2.991%, 12/15/2025 (E)
  945,000     845,775
          4,730,290
TOTAL CONVERTIBLE BONDS (Cost $9,834,327)     $ 9,703,753
CAPITAL PREFERRED SECURITIES – 0.1%      
Financials – 0.1%          
USB Capital IX (Greater of 3 month LIBOR + 1.020% or 3.500%) 3.500%, 05/02/2022 (C)(D)   617,000     512,493
TOTAL CAPITAL PREFERRED SECURITIES (Cost $554,287)     $ 512,493
TERM LOANS (F) – 9.6%      
Communication services – 0.9%          
AP Core Holdings II LLC, Amortization Term Loan B1 (1 month LIBOR + 5.500%) 6.250%, 09/01/2027   692,250     687,923
AP Core Holdings II LLC, High-Yield Term Loan B2 (1 month LIBOR + 5.500%) 6.250%, 09/01/2027   490,000     486,938
SBA Senior Finance II LLC, 2018 Term Loan B
04/11/2025 TBD (G)
  1,186,851     1,170,864
Univision Communications, Inc., 2021 First Lien Term Loan B (1 month LIBOR + 3.250%) 4.000%, 03/15/2026   789,038     783,451
WMG Acquisition Corp., 2021 Term Loan G (1 month LIBOR + 2.125%) 2.582%, 01/20/2028   915,000     905,466
          4,034,642
Consumer discretionary – 2.8%          
APX Group, Inc., 2021 Term Loan B (Prime rate + 2.500% and 1 month LIBOR + 3.500%) 4.005%, 07/10/2028   363,175     357,858
Aramark Services, Inc., 2018 Term Loan B3 (1 month LIBOR + 1.750%) 2.207%, 03/11/2025   1,020,000     998,580
 
  271  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (F) (continued)      
Consumer discretionary (continued)          
Bally's Corp., 2021 Term Loan B (6 month LIBOR + 3.250%) 3.750%, 10/02/2028 $ 503,738   $ 500,589
Burlington Coat Factory Warehouse Corp., 2021 Term Loan B6 (1 month LIBOR + 2.000%) 2.460%, 06/24/2028   908,138     895,269
Carnival Corp., 2021 Incremental Term Loan B (3 month LIBOR + 3.250%) 4.000%, 10/18/2028   468,825     457,690
Carnival Corp., USD Term Loan B (3 month LIBOR + 3.000%) 3.750%, 06/30/2025   1,205,046     1,170,099
Fertitta Entertainment LLC, 2022 Term Loan B (1 month SOFR + 4.000%) 4.500%, 01/27/2029   300,000     298,125
Hilton Grand Vacations Borrower LLC, 2021 Term Loan B (1 month LIBOR + 3.000%) 3.500%, 08/02/2028   577,499     573,457
Hilton Worldwide Finance LLC, 2019 Term Loan B2 (1 month LIBOR + 1.750%) 2.207%, 06/22/2026   800,000     790,904
Hunter Douglas, Inc., USD Term Loan B1 (3 month SOFR + 3.500%) 4.000%, 02/26/2029   730,000     714,488
KFC Holding Company, 2021 Term Loan B (1 month LIBOR + 1.750%) 2.218%, 03/15/2028   1,350,134     1,336,349
Marriott Ownership Resorts, Inc., 2019 Term Loan B (1 month LIBOR + 1.750%) 2.207%, 08/29/2025   780,000     756,015
New Red Finance, Inc., Term Loan B4 (1 month LIBOR + 1.750%) 2.207%, 11/19/2026   1,587,759     1,551,701
RH, Term Loan B (1 month LIBOR + 2.500%) 3.000%, 10/20/2028   900,862     883,006
Whatabrands LLC, 2021 Term Loan B (1 month LIBOR + 3.250%) 3.750%, 08/03/2028   789,023     778,671
          12,062,801
Energy – 0.5%          
Pilot Travel Centers LLC, 2021 Term Loan B (1 month LIBOR + 2.000%) 2.457%, 08/04/2028   1,566,075     1,542,255
Southwestern Energy Company, 2021 Term Loan (3 month SOFR + 2.500%) 3.301%, 06/22/2027   493,763     492,528
          2,034,783
Financials – 0.3%          
Asurion LLC, 2021 Second Lien Term Loan B4 (1 month LIBOR + 5.250%) 5.707%, 01/20/2029   650,000     634,563
Asurion LLC, 2021 Term Loan B9 (1 month LIBOR + 3.250%) 3.707%, 07/31/2027   481,353     470,975
          1,105,538
Health care – 1.9%          
athenahealth, Inc., 2022 Term Loan B (1 month SOFR + 3.500%) 4.000%, 02/15/2029   270,000     266,693
Avantor Funding, Inc., 2021 Term Loan B5 (1 month LIBOR + 2.250%) 2.750%, 11/08/2027   1,945,225     1,927,504
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (F) (continued)      
Health care (continued)          
Embecta Corp., Term Loan B
03/30/2029 TBD (G)
$ 355,000   $ 349,739
ICON Luxembourg Sarl, LUX Term Loan (3 month LIBOR + 2.250%) 3.256%, 07/03/2028   913,084     907,952
ICON Luxembourg Sarl, US Term Loan (3 month LIBOR + 2.250%) 3.256%, 07/03/2028   242,017     240,657
Jazz Financing Lux Sarl, USD Term Loan (1 month LIBOR + 3.500%) 4.000%, 05/05/2028   1,225,738     1,220,075
Mozart Borrower LP, USD Term Loan B (1 month LIBOR + 3.250%) 3.750%, 10/23/2028   1,225,000     1,212,138
Organon & Company, USD Term Loan (3 month LIBOR + 3.000%) 3.563%, 06/02/2028   1,264,006     1,256,106
Padagis LLC, Term Loan B (3 month LIBOR + 4.750%) 5.250%, 07/06/2028   686,118     679,689
          8,060,553
Industrials – 2.2%          
AECOM, 2021 Term Loan B (1 month LIBOR + 1.750%) 2.197%, 04/13/2028   1,314,395     1,310,399
Air Canada, 2021 Term Loan B (3 month LIBOR + 3.500%) 4.250%, 08/11/2028   1,080,000     1,068,746
Avis Budget Car Rental LLC, 2022 Term Loan C (1 month SOFR + 3.500%) 4.000%, 03/16/2029   475,000     470,844
Brown Group Holding LLC, Term Loan B (3 month LIBOR + 2.500%) 3.506%, 06/07/2028   526,959     519,055
Clean Harbors, Inc., 2021 Incremental Term Loan B (1 month LIBOR + 2.000%) 2.457%, 10/08/2028   470,000     464,713
JELD-WEN, Inc., 2021 Term Loan B (1 month LIBOR + 2.250%) 2.707%, 07/28/2028   337,450     333,991
Mileage Plus Holdings LLC, 2020 Term Loan B (3 month LIBOR + 5.250%) 6.250%, 06/21/2027   835,000     865,269
MillerKnoll, Inc., Term Loan B (1 month LIBOR + 2.000%) 2.445%, 07/19/2028   820,875     808,053
Setanta Aircraft Leasing DAC, Term Loan B (3 month LIBOR + 2.000%) 3.006%, 11/05/2028   460,000     452,718
The Hertz Corp., 2021 Term Loan B (1 month LIBOR + 3.250%) 3.707%, 06/30/2028   692,467     686,214
The Hertz Corp., 2021 Term Loan C (1 month LIBOR + 3.250%) 3.750%, 06/30/2028   131,710     130,521
Trans Union LLC, 2021 Term Loan B6 (1 month LIBOR + 2.250%) 2.750%, 12/01/2028   464,630     460,565
United Airlines, Inc., 2021 Term Loan B (3 month LIBOR + 3.750%) 4.500%, 04/21/2028   1,561,210     1,540,399
Worldwide Express, Inc., 2021 1st Lien Term Loan (3 month LIBOR + 4.250%) 5.750%, 07/26/2028   319,200     315,411
          9,426,898
 
  272  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (F) (continued)      
Information technology – 0.7%          
Cornerstone OnDemand, Inc., 2021 Term Loan (3 month LIBOR + 3.750%) 4.250%, 10/16/2028 $ 345,000   $ 341,119
Entegris, Inc., 2022 Term Loan B
03/02/2029 TBD (G)
  311,000     309,964
Quest Software, Inc., 2022 Term Loan (3 month SOFR + 4.250%) 4.750%, 02/01/2029   765,000     752,446
Sabre GLBL, Inc., 2021 Term Loan B1 (1 month LIBOR + 3.500%) 4.000%, 12/17/2027   150,721     148,837
Sabre GLBL, Inc., 2021 Term Loan B2 (1 month LIBOR + 3.500%) 4.000%, 12/17/2027   240,264     237,261
SS&C Technologies, Inc., 2022 Term Loan B6
03/22/2029 TBD (G)
  440,000     435,508
SS&C Technologies, Inc., 2022 Term Loan B7
03/22/2029 TBD (G)
  596,000     589,915
          2,815,050
Materials – 0.3%          
Pretium PKG Holdings, Inc., 2021 1st Lien Term Loan (3 month LIBOR + 4.000%) 4.500%, 10/02/2028   413,963     401,469
SCIH Salt Holdings, Inc., 2021 Incremental Term Loan B (6 month LIBOR + 4.000%) 4.750%, 03/16/2027   891,119     874,732
Standard Industries, Inc., 2021 Term Loan B (6 month LIBOR + 2.500%) 3.788%, 09/22/2028   86,096     85,838
          1,362,039
TOTAL TERM LOANS (Cost $41,306,131)     $ 40,902,304
COLLATERALIZED MORTGAGE OBLIGATIONS – 0.7%      
Commercial and residential – 0.6%          
Arroyo Mortgage Trust
Series 2019-1, Class A1
3.805%, 01/25/2049 (A)(H)
  432,514     425,798
BX Commercial Mortgage Trust          
Series 2019-XL, Class A (1 month LIBOR + 0.920%),
1.317%, 10/15/2036 (A)(D)
  1,426,546     1,420,334
Series 2021-VOLT, Class A (1 month LIBOR + 0.700%),
1.097%, 09/15/2036 (A)(D)
  535,000     521,241
CSMC Trust
Series 2019-NQM1, Class A1
2.656%, 10/25/2059 (A)
  147,264     144,577
HarborView Mortgage Loan Trust          
Series 2007-3, Class ES IO,
0.350%, 05/19/2047 (A)
  3,682,858     38,355
Series 2007-4, Class ES IO,
0.350%, 07/19/2047
  3,913,556     51,550
Series 2007-6, Class ES IO,
0.343%, 08/19/2037 (A)
  3,930,883     55,083
Morgan Stanley Mortgage Loan Trust
Series 2004-9, Class 1A
5.370%, 11/25/2034 (H)
  86,777     90,203
          2,747,141
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency – 0.1%          
Federal Home Loan Mortgage Corp.
Series 2022-HQA1, Class M1B (1 month SOFR + 3.500%)
3.550%, 03/25/2042 (A)(D)
$ 75,000   $ 76,361
Federal National Mortgage Association          
Series 2022-R01, Class 1M1 (1 month SOFR + 1.000%),
1.099%, 12/25/2041 (A)(D)
  186,285     184,400
Series 2022-R03, Class 1M1 (1 month SOFR + 2.100%),
2.199%, 03/25/2042 (A)(D)
  75,000     75,116
          335,877
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $2,957,767)   $ 3,083,018
ASSET BACKED SECURITIES – 1.0%      
DB Master Finance LLC
Series 2019-1A, Class A2II
4.021%, 05/20/2049 (A)
  472,875     473,790
Domino's Pizza Master Issuer LLC
Series 2015-1A, Class A2II
4.474%, 10/25/2045 (A)
  857,488     864,420
FirstKey Homes Trust
Series 2020-SFR2, Class A
1.266%, 10/19/2037 (A)
  284,010     263,856
Home Partners of America Trust
Series 2019-1, Class B
3.157%, 09/17/2039 (A)
  367,735     352,040
Jack in the Box Funding LLC
Series 2019-1A, Class A2II
4.476%, 08/25/2049 (A)
  589,050     580,951
MVW Owner Trust
Series 2018-1A, Class A
3.450%, 01/21/2036 (A)
  176,867     176,746
Taco Bell Funding LLC
Series 2016-1A, Class A23
4.970%, 05/25/2046 (A)
  1,485,900     1,510,905
TOTAL ASSET BACKED SECURITIES (Cost $4,233,882)     $ 4,222,708
COMMON STOCKS – 1.9%        
Communication services – 0.0%          
Vertis Holdings, Inc. (I)(J)   8,371     0
Consumer discretionary – 0.2%          
General Motors Company (J)   18,896     826,511
Financials – 0.8%          
Cadence Bank   17,513     512,430
Credit Agricole SA   48,313     577,270
Credit Suisse Group AG, ADR (B)   63,906     501,662
First Citizens BancShares, Inc., Class A   532     354,099
Societe Generale SA   14,218     381,147
U.S. Bancorp   18,658     991,673
          3,318,281
Industrials – 0.4%          
Delta Air Lines, Inc. (J)   13,416     530,871
The Boeing Company (J)   6,725     1,287,838
          1,818,709
Real estate – 0.2%          
Americold Realty Trust   20,578     573,715
Utilities – 0.3%          
Algonquin Power & Utilities Corp.   25,100     1,243,956
TOTAL COMMON STOCKS (Cost $9,335,219)   $ 7,781,172
 
  273  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
PREFERRED SECURITIES – 3.9%        
Communication services – 0.3%          
2020 Cash Mandatory Exchangeable Trust, 5.250% (A)   1,080   $ 1,204,200
Financials – 0.6%          
Stifel Financial Corp., 4.500%   32,750     680,545
U.S. Bancorp (Greater of 3 month LIBOR + 1.020% or 3.500%), 3.500% (D)   804     635,160
Valley National Bancorp (5.500% to 9-30-22, then 3 month LIBOR + 3.578%)   22,825     569,484
Wells Fargo & Company (5.850% to 9-15-23, then 3 month LIBOR + 3.090%)   27,605     698,407
          2,583,596
Health care – 0.4%          
Becton, Dickinson and Company, 6.000% (B)   10,850     573,097
Danaher Corp., 5.000%   805     1,271,288
          1,844,385
Industrials – 0.2%          
Stanley Black & Decker, Inc., 5.250% (B)   10,400     914,264
Information technology – 0.5%          
Broadcom, Inc., 8.000%   840     1,649,046
Sabre Corp., 6.500%   2,400     348,552
          1,997,598
Utilities – 1.9%          
American Electric Power Company, Inc., 6.125%   23,350     1,304,565
DTE Energy Company, 6.250%   20,150     1,073,794
NextEra Energy, Inc., 5.279%   58,050     3,027,308
NextEra Energy, Inc., 6.219%   17,400     914,196
The Southern Company, 6.750%   33,300     1,818,513
          8,138,376
TOTAL PREFERRED SECURITIES (Cost $15,911,101)   $ 16,682,419
PURCHASED OPTIONS – 0.0%          
Puts – 0.0%          
Over the Counter Option on the USD vs. CAD (Expiration Date: 4-11-22; Strike Price: $1.22; Counterparty: Canadian Imperial Bank of Commerce) (J)(K)   12,240,000     1,089
TOTAL PURCHASED OPTIONS (Cost $140,760)   $ 1,089
SHORT-TERM INVESTMENTS – 4.6%      
Short-term funds – 1.1%          
John Hancock Collateral Trust, 0.3592% (L)(M)   472,307     4,722,500
Repurchase agreement – 3.5%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $15,037,000 on 4-1-22, collateralized by $15,358,200 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $15,337,804) $ 15,037,000     15,037,000
TOTAL SHORT-TERM INVESTMENTS (Cost $19,759,849)   $ 19,759,500
Total Investments (Strategic Income Opportunities Trust)
(Cost $447,950,374) – 100.8%
  $ 429,929,606
Other assets and liabilities, net – (0.8%)       (3,305,848)
TOTAL NET ASSETS – 100.0%       $ 426,623,758
Strategic Income Opportunities Trust (continued)
Currency Abbreviations
AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
CNY Chinese Yuan Renminbi
COP Colombian Peso
EUR Euro
GBP Pound Sterling
IDR Indonesian Rupiah
INR Indian Rupee
JPY Japanese Yen
KRW Korean Won
MXN Mexican Peso
MYR Malaysian Ringgit
NOK Norwegian Krone
NZD New Zealand Dollar
PHP Philippine Peso
SGD Singapore Dollar
Security Abbreviations and Legend
ADR American Depositary Receipt
CMT Constant Maturity Treasury
EURIBOR Euro Interbank Offered Rate
ICE Intercontinental Exchange
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
NIBOR Norwegian Interbank Offered Rate
SOFR Secured Overnight Financing Rate
SONIA Sterling Overnight Interbank Average 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 $130,280,275 or 30.5% of the fund's net assets as of 3-31-22.
(B) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $4,608,989.
(C) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(D) Variable rate obligation. The coupon rate shown represents the rate at period end.
(E) Zero coupon bonds are issued at a discount from their principal amount in lieu of paying interest periodically. Rate shown is the effective yield at period end.
(F) Term loans are variable rate obligations. The coupon rate shown represents the rate at period end.
(G) 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).
(H) 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.
(I) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(J) Non-income producing security.
(K) For this type of option, notional amounts are equivalent to number of contracts.
(L) The rate shown is the annualized seven-day yield as of 3-31-22.
(M) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
 
  274  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Euro-BTP Italian Government Bond Futures 7 Long Jun 2022 $1,113,171 $1,071,038 $(42,133)
German Euro BUND Futures 18 Short Jun 2022 (3,303,863) (3,159,317) 144,546
U.S. Treasury Long Bond Futures 222 Short Jun 2022 (34,336,994) (33,313,875) 1,023,119
            $1,125,532
    
^ 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 1,463,333  NZD 1,585,531  BARC 6/15/2022  —  $(1,191)
AUD 2,926,667  NZD 3,181,667  GSI 6/15/2022  —  (9,723)
AUD 1,462,929  NZD 1,583,083  HUS 6/15/2022  $200  — 
AUD 2,271,214  USD 1,700,231  SSB 6/15/2022  1,367  — 
CAD 3,343,185  USD 2,662,670  BARC 6/15/2022  11,062  — 
CAD 3,678,494  USD 2,926,666  HUS 6/15/2022  15,230  — 
CAD 6,524,911  USD 5,096,708  MSCS 6/15/2022  121,629  — 
EUR 2,922,070  GBP 2,470,387  BARC 6/15/2022  —  (3,013)
EUR 2,024,928  USD 2,266,858  ANZ 6/15/2022  —  (20,732)
EUR 3,289,518  USD 3,651,836  BARC 6/15/2022  —  (2,978)
EUR 466,222  USD 515,377  BMO 6/15/2022  1,774  — 
EUR 1,831,570  USD 2,024,378  CIBC 6/15/2022  7,269  — 
EUR 1,619,943  USD 1,806,513  CITI 6/15/2022  —  (9,611)
EUR 2,940,000  USD 3,233,166  HUS 6/15/2022  27,993  — 
EUR 2,024,928  USD 2,267,666  RBC 6/15/2022  —  (21,540)
EUR 2,917,673  USD 3,197,904  UBS 6/15/2022  38,489  — 
GBP 1,320,000  CAD 2,215,550  HUS 6/15/2022  —  (38,383)
JPY 353,074,689  USD 2,935,000  HUS 6/15/2022  —  (29,401)
JPY 128,284,640  USD 1,072,267  RBC 6/15/2022  —  (16,559)
JPY 281,706,474  USD 2,321,147  SSB 6/15/2022  —  (2,867)
NZD 3,184,060  AUD 2,925,858  HUS 6/15/2022  11,985  — 
NZD 3,171,980  AUD 2,925,857  RBC 6/15/2022  3,624  — 
NZD 2,153,811  USD 1,483,311  CITI 6/15/2022  7,582  — 
NZD 2,429  USD 1,638  MSCS 6/15/2022  43  — 
USD 322,748  AUD 430,657  ANZ 6/15/2022  99  — 
USD 436,566  AUD 583,921  CIBC 6/15/2022  —  (909)
USD 6,077,121  AUD 8,327,219  JPM 6/15/2022  —  (161,649)
USD 284,272  AUD 377,818  MSCS 6/15/2022  1,210  — 
USD 4,610,152  BRL 24,088,965  SSB 6/15/2022  —  (347,183)
USD 1,465,000  CAD 1,835,586  BMO 6/15/2022  —  (3,021)
USD 1,457,500  CAD 1,876,751  MSCS 6/15/2022  —  (43,442)
USD 518,369  CAD 651,967  RBC 6/15/2022  —  (3,045)
USD 2,915,000  CAD 3,753,168  SSB 6/15/2022  —  (86,617)
USD 4,372,500  CAD 5,623,271  UBS 6/15/2022  —  (124,743)
USD 1,004,814  COP 3,838,818,301  CITI 6/15/2022  —  (2,591)
USD 526,845  COP 2,014,656,560  SSB 6/15/2022  —  (1,852)
USD 3,839,201  EUR 3,464,710  BARC 6/15/2022  —  (3,987)
USD 2,224,350  EUR 2,004,439  GSI 6/15/2022  951  — 
USD 24,270,761  EUR 22,166,754  MSCS 6/15/2022  —  (317,441)
USD 10,292,367  EUR 9,316,549  SSB 6/15/2022  —  (41,902)
USD 5,538,401  GBP 4,227,272  CIBC 6/15/2022  —  (13,144)
USD 3,883,808  JPY 447,707,118  JPM 6/15/2022  199,440  — 
USD 1,463,000  JPY 177,001,933  RBC 6/15/2022  6,377  — 
USD 3,787,437  JPY 458,192,165  SSB 6/15/2022  16,783  — 
USD 862,437  JPY 104,566,050  UBS 6/15/2022  1,919  — 
USD 1,123,693  MXN 23,167,179  GSI 6/15/2022  —  (26,297)
USD 3,573,304  MXN 77,869,149  MSCS 6/15/2022  —  (292,025)
USD 5,496,928  NOK 49,387,147  CITI 6/15/2022  —  (110,096)
USD 7,146,696  NZD 10,465,323  UBS 6/15/2022  —  (97,525)
USD 1,925,251  SGD 2,615,301  ANZ 6/15/2022  —  (4,311)
USD 1,933,888  SGD 2,620,322  CIBC 6/15/2022  623  — 
USD 1,908,401  SGD 2,597,009  HUS 6/15/2022  —  (7,665)
  275  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
FORWARD FOREIGN CURRENCY CONTRACTS (continued)
Contract to buy Contract to sell Counterparty (OTC) Contractual
settlement
date
Unrealized
appreciation
Unrealized
depreciation
USD 5,853,239  SGD 7,930,660  MSCS 6/15/2022  $2,022  — 
            $477,671  $(1,845,443)
Derivatives Currency Abbreviations
AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
COP Colombian Peso
EUR Euro
GBP Pound Sterling
JPY Japanese Yen
MXN Mexican Peso
NOK Norwegian Krone
NZD New Zealand Dollar
SGD Singapore Dollar
USD U.S. Dollar
Derivatives Abbreviations
ANZ Australia and New Zealand Banking Group Limited
BARC Barclays Bank PLC
BMO Bank of Montreal
CIBC Canadian Imperial Bank of Commerce
CITI Citibank, N.A.
GSI Goldman Sachs International
HUS HSBC Bank USA, N.A.
JPM JPMorgan Chase Bank, N.A.
MSCS Morgan Stanley Capital Services LLC
OTC Over-the-counter
RBC Royal Bank of Canada
SSB State Street Bank and Trust Company
UBS UBS AG
Total Bond Market Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
67.1%
     
U.S. Government – 36.2%          
U.S. Treasury Bonds          
1.250%, 05/15/2050 $ 8,000,000   $ 5,966,875
2.000%, 11/15/2041 to 08/15/2051   19,000,000     17,160,156
2.250%, 08/15/2049   2,000,000     1,901,719
2.750%, 08/15/2047   3,000,000     3,109,102
2.875%, 05/15/2049   1,500,000     1,613,086
3.000%, 02/15/2047 to 02/15/2049   22,635,000     24,542,716
4.250%, 05/15/2039 to 11/15/2040   4,610,000     5,770,919
4.375%, 05/15/2041   1,830,000     2,325,458
4.625%, 02/15/2040   5,000,000     6,551,172
4.750%, 02/15/2041   2,000,000     2,661,484
U.S. Treasury Notes          
0.125%, 10/31/2022 to 02/28/2023   16,000,000     15,872,187
0.250%, 11/15/2023 to 10/31/2025   32,000,000     30,242,657
0.375%, 09/15/2024 to 07/31/2027   9,000,000     8,336,601
0.500%, 10/31/2027   12,000,000     10,772,813
0.625%, 03/31/2027   6,000,000     5,485,078
0.750%, 03/31/2027   4,000,000     3,730,156
0.875%, 01/31/2024 to 09/30/2026   15,000,000     14,399,415
1.125%, 03/15/2025   20,000,000     19,257,812
1.250%, 08/31/2024   5,000,000     4,858,398
1.375%, 08/31/2026 to 11/15/2031   8,000,000     7,518,125
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government (continued)          
U.S. Treasury Notes (continued)          
1.500%, 01/31/2027 $ 30,000,000   $ 28,668,750
1.750%, 07/15/2022 to 01/31/2029   37,000,000     35,676,250
2.125%, 05/31/2026   3,000,000     2,953,125
2.250%, 11/15/2027   20,595,000     20,357,675
2.375%, 05/15/2029   5,000,000     4,985,547
2.625%, 02/28/2023   3,000,000     3,026,250
2.750%, 04/30/2023   3,500,000     3,535,547
2.875%, 11/30/2023 to 05/15/2028   9,300,000     9,484,750
3.000%, 10/31/2025   2,000,000     2,031,484
          302,795,307
U.S. Government Agency – 30.9%          
Federal Home Loan Bank
5.500%, 07/15/2036
  1,690,000     2,206,225
Federal Home Loan Mortgage Corp.          
1.500%, 12/01/2036   2,000,444     1,901,062
2.000%, 07/01/2035   833,283     811,342
2.112%, (12 month LIBOR + 1.863%), 08/01/2037 (A)   395,749     409,490
2.500%, 04/01/2031 to 08/01/2050   4,548,530     4,383,674
2.600%, (12 month LIBOR + 2.100%), 02/01/2037 (A)   55,336     57,195
 
  276  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
2.750%, 06/19/2023 $ 2,000,000   $ 2,018,263
3.000%, 07/01/2032 to 04/01/2051   9,942,895     9,851,030
3.500%, 12/01/2025 to 06/01/2049   7,004,073     7,076,533
4.000%, 02/01/2024 to 09/01/2047   1,329,716     1,371,815
4.500%, 05/01/2024 to 10/01/2050   4,079,878     4,254,436
5.000%, 06/01/2023 to 09/01/2039   185,372     197,869
5.500%, 02/01/2023 to 01/01/2039   308,622     334,822
6.000%, 10/01/2036 to 10/01/2038   150,428     166,908
6.250%, 07/15/2032   450,000     597,545
6.500%, 08/01/2037 to 08/01/2038   31,735     36,132
6.750%, 09/15/2029   1,200,000     1,544,261
7.000%, 04/01/2029 to 10/01/2038   28,197     32,132
7.500%, 09/01/2030 to 03/01/2032   4,613     5,201
8.000%, 02/01/2030   541     596
Federal National Mortgage Association          
1.500%, TBA (B)   6,700,000     6,072,623
1.500%, 02/01/2051   2,035,598     1,820,195
1.615%, (6 month LIBOR + 1.415%), 07/01/2034 (A)   83,942     85,208
1.724%, (12 month LIBOR + 1.387%), 01/01/2035 (A)   65,491     66,476
1.876%, (12 month LIBOR + 1.575%), 09/01/2037 (A)   56,076     57,651
2.000%, TBA (B)   34,870,000     32,549,349
2.000%, 02/01/2035 to 02/01/2052   31,912,203     29,966,467
2.125%, 04/24/2026   2,000,000     1,970,594
2.157%, (12 month LIBOR + 1.791%), 04/01/2037 (A)   102,452     105,954
2.175%, (12 month LIBOR + 1.925%), 10/01/2037 (A)   17,447     18,107
2.333%, (1 Year CMT + 2.185%), 05/01/2036 (A)   46,000     48,334
2.500%, TBA (B)   15,630,000     15,049,129
2.500%, 05/01/2028 to 10/01/2051   25,041,047     24,087,751
2.625%, 09/06/2024   1,000,000     1,005,502
3.000%, TBA (B)   8,900,000     8,707,399
3.000%, 01/01/2027 to 12/01/2049   11,616,960     11,591,267
3.500%, TBA (B)   2,750,000     2,754,941
3.500%, 12/01/2025 to 10/01/2049   9,428,922     9,578,339
4.000%, 03/01/2024 to 03/01/2050   10,887,047     11,194,958
4.500%, 08/01/2024 to 09/01/2048   1,973,516     2,082,666
5.000%, 08/01/2023 to 09/01/2048   1,438,107     1,520,213
5.500%, 01/01/2034 to 11/01/2038   347,606     376,282
6.000%, 08/01/2023 to 08/01/2038   244,066     268,737
6.500%, 07/01/2031 to 12/01/2037   92,772     104,846
7.000%, 02/01/2031 to 10/01/2038   39,105     44,775
7.125%, 01/15/2030   209,000     276,083
7.250%, 05/15/2030   1,450,000     1,944,285
7.500%, 09/01/2030 to 08/01/2031   14,330     16,025
8.000%, 08/01/2030 to 09/01/2031   2,778     3,086
8.500%, 09/01/2030   293     327
Government National
Mortgage Association
         
2.000%, TBA (B)   9,500,000     9,032,874
2.000%, 02/20/2051   3,723,221     3,553,356
2.500%, TBA (B)   10,000,000     9,698,341
2.500%, 08/20/2050   3,620,773     3,522,116
3.000%, TBA (B)   5,000,000     4,950,017
3.000%, 08/15/2043 to 07/20/2051   8,434,816     8,399,447
3.500%, TBA (B)   2,800,000     2,811,217
3.500%, 04/15/2042 to 05/20/2051   8,040,701     8,190,640
4.000%, 11/15/2026 to 04/20/2049   4,776,200     4,913,487
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
4.500%, 06/15/2023 to 04/20/2050 $ 1,618,022   $ 1,691,409
5.000%, 10/15/2023 to 07/20/2040   523,959     560,469
5.500%, 08/15/2023 to 09/20/2039   216,093     232,980
6.000%, 07/15/2029 to 10/15/2038   160,376     175,904
6.500%, 05/15/2028 to 12/15/2038   123,545     136,810
7.000%, 08/15/2029 to 05/15/2032   20,424     22,192
7.500%, 09/15/2030 to 01/15/2031   5,373     5,920
8.000%, 04/15/2031   6,301     7,033
          258,528,312
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $577,641,122)   $ 561,323,619
FOREIGN GOVERNMENT OBLIGATIONS – 0.8%      
Brazil – 0.2%          
Federative Republic of Brazil
4.250%, 01/07/2025
  1,612,000     1,658,232
Canada – 0.1%          
Province of British Columbia
6.500%, 01/15/2026
  490,000     549,778
Province of Quebec          
7.125%, 02/09/2024   150,000     162,242
7.500%, 07/15/2023 (C)   410,000     436,933
          1,148,953
Israel – 0.1%          
State of Israel
5.500%, 09/18/2023
  455,000     475,946
Italy – 0.0%          
Republic of Italy
6.875%, 09/27/2023
  300,000     318,070
Japan – 0.1%          
Japan Bank for International Cooperation
2.500%, 05/23/2024
  800,000     799,448
Mexico – 0.1%          
Government of Mexico
6.050%, 01/11/2040
  930,000     1,053,141
Panama – 0.1%          
Republic of Panama
6.700%, 01/26/2036
  370,000     455,385
Peru – 0.0%          
Republic of Peru
6.550%, 03/14/2037
  250,000     315,815
Turkey – 0.1%          
Republic of Turkey          
6.000%, 01/14/2041   400,000     312,631
6.250%, 09/26/2022 (C)   400,000     402,760
          715,391
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $7,091,288)   $ 6,940,381
CORPORATE BONDS – 27.9%      
Communication services – 2.4%          
Alphabet, Inc.          
1.100%, 08/15/2030   300,000     262,172
2.050%, 08/15/2050   400,000     315,537
AT&T, Inc.          
2.550%, 12/01/2033   665,000     590,816
3.800%, 12/01/2057   609,000     555,615
4.750%, 05/15/2046   900,000     977,475
4.850%, 07/15/2045   500,000     531,935
5.150%, 03/15/2042   50,000     56,188
 
  277  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
AT&T, Inc. (continued)          
6.375%, 03/01/2041 $ 360,000   $ 466,004
7.625%, 04/15/2031   285,000     355,045
Baidu, Inc.
4.125%, 06/30/2025
  250,000     252,987
British Telecommunications PLC
9.625%, 12/15/2030
  190,000     259,229
Charter Communications Operating LLC          
2.800%, 04/01/2031   600,000     540,776
5.050%, 03/30/2029   400,000     423,529
5.375%, 05/01/2047   500,000     511,946
Comcast Corp.          
2.350%, 01/15/2027   455,000     442,422
2.887%, 11/01/2051 (D)   256,000     215,817
3.375%, 02/15/2025   600,000     609,145
3.450%, 02/01/2050   500,000     467,767
3.999%, 11/01/2049   500,000     504,281
4.600%, 10/15/2038   400,000     442,002
6.500%, 11/15/2035   52,000     67,224
Deutsche Telekom International Finance BV
8.750%, 06/15/2030
  146,000     195,704
Discovery Communications LLC          
4.125%, 05/15/2029   900,000     908,082
5.300%, 05/15/2049   400,000     418,338
Fox Corp.
3.500%, 04/08/2030
  600,000     594,375
Grupo Televisa SAB
6.625%, 01/15/2040
  220,000     263,273
Paramount Global
4.000%, 01/15/2026
  600,000     609,181
TCI Communications, Inc.
7.125%, 02/15/2028
  110,000     131,655
Telefonica Emisiones SA
7.045%, 06/20/2036
  230,000     287,830
Telefonica Europe BV
8.250%, 09/15/2030
  350,000     458,696
The Walt Disney Company
2.650%, 01/13/2031
  400,000     381,978
Time Warner Entertainment Company LP
8.375%, 07/15/2033
  525,000     685,409
T-Mobile USA, Inc.          
3.000%, 02/15/2041   400,000     338,127
3.875%, 04/15/2030   600,000     602,303
4.500%, 04/15/2050   700,000     708,159
TWDC Enterprises 18 Corp.          
3.150%, 09/17/2025   500,000     502,173
4.125%, 06/01/2044   500,000     523,894
Verizon Communications, Inc.          
1.680%, 10/30/2030   400,000     348,772
2.875%, 11/20/2050   500,000     417,762
4.016%, 12/03/2029   500,000     518,926
4.272%, 01/15/2036   458,000     482,498
4.522%, 09/15/2048   1,260,000     1,381,551
Vodafone Group PLC          
4.375%, 05/30/2028   400,000     418,298
5.250%, 05/30/2048   300,000     336,044
          20,360,940
Consumer discretionary – 2.0%          
Amazon.com, Inc.          
2.100%, 05/12/2031   400,000     371,586
2.500%, 06/03/2050   800,000     667,889
4.050%, 08/22/2047   600,000     652,671
American Honda Finance Corp.
1.800%, 01/13/2031
  600,000     531,944
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
AutoZone, Inc.
3.250%, 04/15/2025
$ 1,000,000   $ 998,623
Booking Holdings, Inc.
3.550%, 03/15/2028
  300,000     302,566
Brinker International, Inc.
3.875%, 05/15/2023
  250,000     250,625
Choice Hotels International, Inc.
3.700%, 01/15/2031
  200,000     194,472
D.R. Horton, Inc.
1.400%, 10/15/2027
  200,000     178,606
Expedia Group, Inc.
3.250%, 02/15/2030
  300,000     285,563
Ford Motor Credit Company LLC
3.096%, 05/04/2023
  280,000     279,670
General Motors Company
5.400%, 04/01/2048
  300,000     315,405
General Motors Financial Company, Inc.          
2.400%, 10/15/2028   300,000     268,471
3.100%, 01/12/2032   350,000     314,585
4.250%, 05/15/2023   280,000     283,409
5.250%, 03/01/2026   650,000     680,813
Hyatt Hotels Corp.
3.375%, 07/15/2023
  250,000     250,207
Lennar Corp.
4.750%, 11/29/2027
  300,000     312,519
Lowe's Companies, Inc.
3.375%, 09/15/2025
  460,000     464,565
McDonald's Corp.
3.300%, 07/01/2025
  1,000,000     1,011,215
NIKE, Inc.
2.400%, 03/27/2025
  1,000,000     993,271
Starbucks Corp.
3.550%, 08/15/2029
  300,000     300,993
Target Corp.
3.900%, 11/15/2047
  500,000     533,973
The Home Depot, Inc.          
2.625%, 06/01/2022   400,000     400,452
2.700%, 04/15/2030   700,000     678,171
3.350%, 09/15/2025   752,000     764,658
4.250%, 04/01/2046   390,000     426,576
5.875%, 12/16/2036   280,000     354,653
The TJX Companies, Inc.          
3.875%, 04/15/2030   600,000     624,709
4.500%, 04/15/2050 (C)   600,000     702,963
Toll Brothers Finance Corp.
3.800%, 11/01/2029
  200,000     193,375
Toyota Motor Credit Corp.          
1.150%, 08/13/2027   500,000     453,006
1.900%, 09/12/2031   700,000     620,424
3.050%, 01/11/2028   300,000     297,597
Whirlpool Corp.
5.150%, 03/01/2043
  300,000     322,139
          16,282,364
Consumer staples – 1.8%          
Altria Group, Inc.          
3.400%, 02/04/2041   400,000     328,258
4.500%, 05/02/2043   500,000     455,206
Anheuser-Busch Companies LLC          
3.650%, 02/01/2026   800,000     817,610
4.900%, 02/01/2046   500,000     556,072
Anheuser-Busch InBev Worldwide, Inc.          
4.500%, 06/01/2050   400,000     427,377
4.750%, 01/23/2029   500,000     542,088
BAT Capital Corp.          
2.726%, 03/25/2031   600,000     528,779
 
  278  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer staples (continued)          
BAT Capital Corp. (continued)          
3.215%, 09/06/2026 $ 500,000   $ 484,020
Constellation Brands, Inc.
4.500%, 05/09/2047
  350,000     359,572
Costco Wholesale Corp.
1.600%, 04/20/2030
  500,000     448,011
Diageo Capital PLC
2.000%, 04/29/2030
  300,000     273,555
General Mills, Inc.
2.875%, 04/15/2030
  600,000     576,380
Kellogg Company
3.250%, 04/01/2026
  400,000     401,190
Keurig Dr. Pepper, Inc.
4.597%, 05/25/2028
  500,000     527,242
Kimberly-Clark Corp.
3.200%, 07/30/2046
  300,000     275,190
Kraft Heinz Foods Company          
3.000%, 06/01/2026   458,000     451,515
6.875%, 01/26/2039   40,000     49,250
Mondelez International, Inc.
4.625%, 05/07/2048
  300,000     328,260
PepsiCo, Inc.          
2.850%, 02/24/2026   495,000     498,460
4.000%, 03/05/2042   270,000     284,283
5.500%, 01/15/2040   280,000     356,855
Philip Morris International, Inc.          
3.600%, 11/15/2023   250,000     254,210
6.375%, 05/16/2038   300,000     368,047
SC Johnson & Son, Inc.
4.000%, 05/15/2043 (D)
  250,000     252,307
Sysco Corp.
6.600%, 04/01/2050
  1,000,000     1,344,010
The Coca-Cola Company          
2.125%, 09/06/2029   400,000     376,824
2.500%, 06/01/2040   400,000     355,314
The Estee Lauder Companies, Inc.
2.600%, 04/15/2030
  600,000     577,123
The Kroger Company
3.500%, 02/01/2026
  500,000     505,001
The Procter & Gamble Company
3.600%, 03/25/2050
  600,000     642,057
Tyson Foods, Inc.
4.350%, 03/01/2029
  400,000     421,702
Walmart, Inc.          
3.250%, 07/08/2029   600,000     617,140
4.050%, 06/29/2048   500,000     567,092
          15,250,000
Energy – 2.2%          
Anadarko Petroleum Corp.
6.450%, 09/15/2036
  280,000     300,212
Baker Hughes Holdings LLC          
3.337%, 12/15/2027   500,000     497,076
4.486%, 05/01/2030   500,000     533,870
Boardwalk Pipelines LP
4.950%, 12/15/2024
  400,000     413,101
BP Capital Markets America, Inc.
3.796%, 09/21/2025
  800,000     824,254
BP Capital Markets PLC
2.750%, 05/10/2023 (C)
  250,000     250,444
Canadian Natural Resources, Ltd.
6.250%, 03/15/2038
  290,000     346,529
Cenovus Energy, Inc.
4.250%, 04/15/2027
  300,000     309,560
Chevron Corp.
2.954%, 05/16/2026
  800,000     803,163
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
ConocoPhillips Company
4.950%, 03/15/2026
$ 300,000   $ 321,322
Devon Energy Corp.          
5.000%, 06/15/2045   885,000     963,526
7.875%, 09/30/2031   170,000     220,549
Enbridge, Inc.          
3.700%, 07/15/2027   400,000     405,217
4.500%, 06/10/2044   400,000     404,606
Energy Transfer LP          
3.450%, 01/15/2023   170,000     170,968
5.500%, 06/01/2027   600,000     644,784
6.125%, 12/15/2045   350,000     385,963
6.500%, 02/01/2042   50,000     57,467
Enterprise Products Operating LLC          
3.200%, 02/15/2052   700,000     590,605
4.850%, 08/15/2042   280,000     296,636
6.875%, 03/01/2033   130,000     162,091
Exxon Mobil Corp.          
2.995%, 08/16/2039   400,000     370,838
3.482%, 03/19/2030   700,000     718,392
Kinder Morgan Energy Partners LP          
4.300%, 05/01/2024   700,000     714,404
6.375%, 03/01/2041   60,000     70,311
6.500%, 09/01/2039   180,000     212,452
Kinder Morgan, Inc.
5.550%, 06/01/2045
  375,000     419,229
MPLX LP
4.800%, 02/15/2029
  400,000     425,872
ONEOK Partners LP
6.650%, 10/01/2036
  268,000     306,629
Ovintiv, Inc.
6.500%, 08/15/2034
  270,000     320,471
Petroleos Mexicanos          
6.625%, 06/15/2035   230,000     206,140
6.700%, 02/16/2032   173,000     164,350
Phillips 66 Partners LP
3.750%, 03/01/2028
  200,000     200,668
Plains All American Pipeline LP
4.900%, 02/15/2045
  500,000     479,363
Shell International Finance BV          
4.375%, 05/11/2045   1,000,000     1,078,737
6.375%, 12/15/2038   90,000     119,023
Suncor Energy, Inc.
5.950%, 05/15/2035
  235,000     274,409
The Williams Companies, Inc.          
3.500%, 11/15/2030   400,000     395,466
5.100%, 09/15/2045   400,000     433,411
Tosco Corp.
8.125%, 02/15/2030 (C)
  383,000     503,719
TotalEnergies Capital International SA
3.700%, 01/15/2024
  500,000     508,485
TransCanada PipeLines, Ltd.
5.850%, 03/15/2036
  405,000     471,163
Valero Energy Corp.          
2.850%, 04/15/2025   600,000     592,821
7.500%, 04/15/2032   270,000     340,791
          18,229,087
Financials – 7.2%          
American Express Company
2.650%, 12/02/2022
  345,000     347,108
American International Group, Inc.          
4.125%, 02/15/2024   550,000     562,384
6.250%, 05/01/2036   430,000     531,178
Arch Capital Finance LLC
4.011%, 12/15/2026
  400,000     408,230
 
  279  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Ares Capital Corp.
3.875%, 01/15/2026
$ 1,000,000   $ 980,976
Banco Santander SA (1.722% to 9-14-26, then 1 Year CMT + 0.900%) 09/14/2027   700,000     632,241
Bank of America Corp.          
3.300%, 01/11/2023   800,000     808,864
4.450%, 03/03/2026   700,000     723,932
7.750%, 05/14/2038   480,000     669,836
Bank of America Corp. (3.004% to 12-20-22, then 3 month LIBOR + 0.790%) 12/20/2023   386,000     386,975
Bank of America Corp. (3.366% to 1-23-25, then 3 month LIBOR + 0.810%) 01/23/2026   1,700,000     1,700,858
Bank of America Corp. (3.419% to 12-20-27, then 3 month LIBOR + 1.040%) 12/20/2028   1,312,000     1,298,741
Bank of America Corp. (3.970% to 3-5-28, then 3 month LIBOR + 1.070%) 03/05/2029   500,000     507,609
Bank of America Corp. (4.443% to 1-20-47, then 3 month LIBOR + 1.990%) 01/20/2048   500,000     543,780
Barclays Bank PLC
1.700%, 05/12/2022
  500,000     500,252
Barclays PLC
4.375%, 01/12/2026
  500,000     510,476
Berkshire Hathaway, Inc.
3.125%, 03/15/2026
  500,000     504,628
Capital One Bank USA NA
3.375%, 02/15/2023
  360,000     362,709
Capital One Financial Corp.          
3.200%, 02/05/2025   2,000,000     2,001,785
3.300%, 10/30/2024   1,500,000     1,508,164
Chubb INA Holdings, Inc.
3.350%, 05/03/2026
  300,000     304,101
Citigroup, Inc.          
3.300%, 04/27/2025   600,000     604,124
4.450%, 09/29/2027   500,000     515,718
5.500%, 09/13/2025   400,000     427,096
Citigroup, Inc. (1.462% to 6-9-26, then SOFR + 0.770%) 06/09/2027   600,000     551,033
Citigroup, Inc. (2.666% to 1-29-30, then SOFR + 1.146%) 01/29/2031   1,000,000     926,491
Citigroup, Inc. (4.281% to 4-24-47, then 3 month LIBOR + 1.839%) 04/24/2048   500,000     537,673
Credit Suisse Group AG          
3.750%, 03/26/2025   250,000     249,075
4.550%, 04/17/2026   800,000     813,820
Deutsche Bank AG (2.129% to 11-24-25, then SOFR + 1.870%) 11/24/2026   600,000     556,195
Discover Financial Services
5.200%, 04/27/2022
  120,000     120,292
European Investment Bank          
2.500%, 10/15/2024 (C)   1,500,000     1,500,893
3.250%, 01/29/2024   600,000     609,846
Fifth Third Bank NA
2.250%, 02/01/2027
  500,000     481,139
Five Corners Funding Trust II
2.850%, 05/15/2030 (D)
  800,000     758,140
GE Capital International Funding Company
4.418%, 11/15/2035
  822,000     882,654
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
HSBC Holdings PLC
6.500%, 09/15/2037
$ 660,000   $ 803,657
HSBC Holdings PLC (2.848% to 6-4-30, then SOFR + 2.387%) 06/04/2031   1,000,000     924,231
Inter-American Development Bank          
1.750%, 09/14/2022   600,000     600,086
2.000%, 07/23/2026   1,000,000     976,410
7.000%, 06/15/2025   325,000     367,564
Intercontinental Exchange, Inc.
3.100%, 09/15/2027
  400,000     397,514
International Bank for Reconstruction & Development
0.750%, 11/24/2027
  1,000,000     904,009
JPMorgan Chase & Co.          
3.300%, 04/01/2026   700,000     705,546
3.375%, 05/01/2023   500,000     505,423
3.875%, 02/01/2024   1,300,000     1,327,707
6.400%, 05/15/2038   125,000     162,952
JPMorgan Chase & Co. (2.522% to 4-22-30, then SOFR + 2.040%) 04/22/2031   1,000,000     927,019
JPMorgan Chase & Co. (3.509% to 1-23-28, then 3 month LIBOR + 0.945%) 01/23/2029   500,000     497,691
JPMorgan Chase & Co. (3.540% to 5-1-27, then 3 month LIBOR + 1.380%) 05/01/2028   700,000     701,832
JPMorgan Chase & Co. (4.452% to 12-5-28, then 3 month LIBOR + 1.330%) 12/05/2029   600,000     625,418
KfW          
2.125%, 01/17/2023   600,000     602,367
2.625%, 02/28/2024   800,000     804,101
Liberty Mutual Group, Inc.
3.950%, 05/15/2060 (D)
  500,000     454,924
Lincoln National Corp.          
3.625%, 12/12/2026   500,000     507,824
7.000%, 06/15/2040   150,000     197,473
Lloyds Banking Group PLC (2.438% to 2-5-25, then 1 Year CMT + 1.000%) 02/05/2026   900,000     867,864
MetLife, Inc.
4.600%, 05/13/2046
  500,000     558,360
Mitsubishi UFJ Financial Group, Inc. (1.538% to 7-20-26, then 1 Year CMT + 0.750%) 07/20/2027 (C)   1,600,000     1,468,592
Mizuho Financial Group, Inc. (1.234% to 5-22-26, then 1 Year CMT + 0.670%) 05/22/2027   800,000     727,730
Morgan Stanley          
3.700%, 10/23/2024   950,000     967,048
4.100%, 05/22/2023   750,000     763,447
Morgan Stanley (1.512% to 7-20-26, then SOFR + 0.858%) 07/20/2027   500,000     459,602
Morgan Stanley (3.622% to 4-1-30, then SOFR + 3.120%) 04/01/2031   1,000,000     994,798
Morgan Stanley (3.772% to 1-24-28, then 3 month LIBOR + 1.140%) 01/24/2029   550,000     554,292
Raymond James Financial, Inc.
4.950%, 07/15/2046
  600,000     671,844
Royal Bank of Canada
2.300%, 11/03/2031
  800,000     727,357
State Street Corp.
3.100%, 05/15/2023
  250,000     252,106
 
  280  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Stifel Financial Corp.
4.250%, 07/18/2024
$ 500,000   $ 510,055
Sumitomo Mitsui Financial Group, Inc.          
3.364%, 07/12/2027 (C)   900,000     894,390
3.784%, 03/09/2026   550,000     556,219
The Allstate Corp.
3.280%, 12/15/2026
  500,000     502,054
The Bank of New York Mellon Corp.
3.250%, 05/16/2027
  800,000     808,217
The Charles Schwab Corp.
3.200%, 01/25/2028
  300,000     298,346
The Goldman Sachs Group, Inc.          
2.600%, 02/07/2030   700,000     649,327
3.500%, 01/23/2025   750,000     756,291
3.625%, 01/22/2023   500,000     506,293
3.750%, 02/25/2026   500,000     507,886
The Hartford Financial Services Group, Inc.
5.950%, 10/15/2036
  170,000     200,125
The PNC Financial Services Group, Inc.
3.450%, 04/23/2029
  1,000,000     1,016,593
The Toronto-Dominion Bank
2.000%, 09/10/2031
  800,000     708,750
The Travelers Companies, Inc.
4.050%, 03/07/2048
  300,000     310,246
Travelers Property Casualty Corp.
7.750%, 04/15/2026
  50,000     58,330
Truist Financial Corp.          
1.125%, 08/03/2027   700,000     628,581
2.850%, 10/26/2024   700,000     699,481
Wells Fargo & Company
3.000%, 10/23/2026
  1,000,000     986,090
Wells Fargo & Company (2.572% to 2-11-30, then SOFR + 1.262%) 02/11/2031   2,000,000     1,858,025
Westpac Banking Corp.
1.150%, 06/03/2026
  800,000     739,892
          60,530,995
Health care – 3.1%          
Abbott Laboratories          
2.950%, 03/15/2025   300,000     301,998
3.750%, 11/30/2026   283,000     293,693
AbbVie, Inc.          
2.900%, 11/06/2022   500,000     503,217
3.200%, 05/14/2026 to 11/21/2029   1,716,000     1,706,034
4.400%, 11/06/2042   260,000     274,306
Aetna, Inc.
3.500%, 11/15/2024
  200,000     202,156
Agilent Technologies, Inc.
3.875%, 07/15/2023
  250,000     253,720
Allergan Funding SCS
4.750%, 03/15/2045
  321,000     312,685
Amgen, Inc.          
4.400%, 05/01/2045   260,000     273,021
4.663%, 06/15/2051   659,000     725,206
Anthem, Inc.          
4.101%, 03/01/2028   350,000     363,083
4.650%, 08/15/2044   150,000     163,449
AstraZeneca PLC
0.700%, 04/08/2026
  500,000     456,903
Baxalta, Inc.
4.000%, 06/23/2025
  500,000     510,308
Bayer US Finance II LLC
2.850%, 04/15/2025 (D)
  300,000     291,424
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
Becton, Dickinson and Company
4.685%, 12/15/2044
$ 400,000   $ 429,527
Biogen, Inc.
3.250%, 02/15/2051 (D)
  561,000     463,740
Boston Scientific Corp.
2.650%, 06/01/2030
  500,000     469,158
Bristol-Myers Squibb Company          
3.250%, 08/01/2042   500,000     470,848
4.550%, 02/20/2048   300,000     339,478
Cardinal Health, Inc.
3.750%, 09/15/2025
  500,000     506,959
Celgene Corp.
3.875%, 08/15/2025
  283,000     291,179
Cigna Corp.
4.375%, 10/15/2028
  500,000     525,960
CVS Health Corp.          
3.875%, 07/20/2025   650,000     663,075
4.300%, 03/25/2028   389,000     406,925
5.050%, 03/25/2048   500,000     566,245
CVS Pass-Through Trust
8.353%, 07/10/2031 (D)
  63,454     76,063
DH Europe Finance II Sarl
3.250%, 11/15/2039
  300,000     285,606
Dignity Health
4.500%, 11/01/2042
  300,000     308,349
Eli Lilly & Company
2.250%, 05/15/2050
  500,000     405,524
Evernorth Health, Inc.
6.125%, 11/15/2041
  330,000     405,847
Gilead Sciences, Inc.
3.650%, 03/01/2026
  600,000     610,206
GlaxoSmithKline Capital, Inc.          
3.625%, 05/15/2025   500,000     510,726
6.375%, 05/15/2038   210,000     279,531
HCA, Inc.          
4.500%, 02/15/2027   500,000     516,423
5.500%, 06/15/2047   400,000     451,359
Humana, Inc.
3.850%, 10/01/2024
  350,000     355,551
Johnson & Johnson          
2.100%, 09/01/2040   500,000     422,129
5.850%, 07/15/2038   285,000     367,284
Laboratory Corp. of America Holdings
2.950%, 12/01/2029
  500,000     480,481
Medtronic, Inc.
4.375%, 03/15/2035
  500,000     555,412
Merck & Company, Inc.
2.750%, 02/10/2025
  850,000     851,971
Novartis Capital Corp.
3.000%, 11/20/2025
  500,000     502,551
Pfizer, Inc.          
2.750%, 06/03/2026   713,000     712,308
4.400%, 05/15/2044   264,000     297,446
Quest Diagnostics, Inc.          
4.200%, 06/30/2029   500,000     517,462
4.700%, 03/30/2045   500,000     542,264
Regeneron Pharmaceuticals, Inc.
2.800%, 09/15/2050
  1,000,000     799,037
Stryker Corp.
4.625%, 03/15/2046
  350,000     387,801
Thermo Fisher Scientific, Inc.
2.000%, 10/15/2031
  400,000     359,080
UnitedHealth Group, Inc.          
2.300%, 05/15/2031   500,000     469,584
2.900%, 05/15/2050   400,000     354,552
 
  281  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
UnitedHealth Group, Inc. (continued)          
4.375%, 03/15/2042 $ 50,000   $ 54,402
4.450%, 12/15/2048   300,000     338,005
5.800%, 03/15/2036   300,000     371,803
Utah Acquisition Sub, Inc.
3.950%, 06/15/2026
  500,000     496,167
Viatris, Inc.
2.700%, 06/22/2030
  500,000     439,783
Zimmer Biomet Holdings, Inc.
3.050%, 01/15/2026
  500,000     494,574
Zoetis, Inc.
2.000%, 05/15/2030
  500,000     448,354
          26,231,932
Industrials – 2.7%          
3M Company
3.000%, 08/07/2025
  330,000     331,220
AerCap Ireland Capital DAC          
3.300%, 01/30/2032   500,000     450,730
4.450%, 04/03/2026   400,000     404,010
Air Lease Corp.          
3.125%, 12/01/2030   600,000     554,712
3.625%, 12/01/2027   400,000     389,132
American Airlines 2016-2 Class AA Pass Through Trust
3.200%, 06/15/2028
  229,350     217,650
Burlington Northern Santa Fe LLC
4.400%, 03/15/2042
  50,000     54,336
Canadian Pacific Railway Company
4.450%, 03/15/2023
  300,000     304,235
Carrier Global Corp.
3.577%, 04/05/2050
  500,000     457,525
Caterpillar, Inc.          
3.250%, 04/09/2050   400,000     389,129
3.400%, 05/15/2024   500,000     508,331
CSX Corp.          
3.350%, 11/01/2025   420,000     423,450
3.800%, 04/15/2050   1,000,000     1,015,206
Deere & Company
3.100%, 04/15/2030
  500,000     500,774
Delta Air Lines 2019-1 Class AA Pass Through Trust
3.204%, 04/25/2024
  200,000     200,170
Equifax, Inc.
3.100%, 05/15/2030
  1,200,000     1,144,410
FedEx Corp.          
3.875%, 08/01/2042   420,000     402,295
4.400%, 01/15/2047   350,000     358,347
General Dynamics Corp.
3.625%, 04/01/2030
  500,000     514,949
General Electric Company          
4.500%, 03/11/2044   500,000     528,432
6.750%, 03/15/2032   66,000     83,143
6.875%, 01/10/2039   168,000     222,061
Honeywell International, Inc.
1.950%, 06/01/2030
  500,000     461,665
John Deere Capital Corp.
2.050%, 01/09/2025
  500,000     490,458
Johnson Controls, Inc.
5.700%, 03/01/2041
  150,000     157,242
Kansas City Southern
2.875%, 11/15/2029
  500,000     480,616
L3Harris Technologies, Inc.
2.900%, 12/15/2029
  300,000     288,373
Lockheed Martin Corp.
3.800%, 03/01/2045
  400,000     408,441
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
Norfolk Southern Corp.
4.837%, 10/01/2041
$ 240,000   $ 270,459
Northrop Grumman Corp.          
3.250%, 01/15/2028   300,000     300,014
4.400%, 05/01/2030   200,000     214,520
Precision Castparts Corp.
3.250%, 06/15/2025
  500,000     505,670
Raytheon Technologies Corp.          
4.625%, 11/16/2048   500,000     565,050
6.125%, 07/15/2038   225,000     282,570
Republic Services, Inc.
2.375%, 03/15/2033
  400,000     359,109
Roper Technologies, Inc.
4.200%, 09/15/2028
  500,000     517,529
Southwest Airlines Company
5.250%, 05/04/2025
  1,200,000     1,260,169
Stanley Black & Decker, Inc.
2.750%, 11/15/2050
  300,000     249,884
The Boeing Company          
2.600%, 10/30/2025 (C)   438,000     424,643
2.950%, 02/01/2030   400,000     370,624
3.750%, 02/01/2050 (C)   400,000     356,174
5.805%, 05/01/2050   600,000     692,842
8.750%, 09/15/2031   90,000     120,767
Thomson Reuters Corp.
4.500%, 05/23/2043
  250,000     251,213
Trane Technologies Global Holding Company, Ltd.
4.300%, 02/21/2048
  600,000     623,682
Union Pacific Corp.          
3.250%, 08/15/2025   500,000     502,319
3.799%, 10/01/2051 to 04/06/2071   1,113,000     1,112,204
United Airlines 2016-2 Class AA Pass Through Trust
2.875%, 10/07/2028
  236,566     224,190
United Parcel Service, Inc.
3.400%, 03/15/2029
  400,000     408,867
Verisk Analytics, Inc.
4.125%, 03/15/2029
  600,000     618,672
Waste Management, Inc.
2.500%, 11/15/2050
  300,000     241,752
          22,213,965
Information technology – 2.7%          
Apple, Inc.          
1.650%, 05/11/2030   900,000     815,745
2.400%, 05/03/2023   800,000     804,319
2.450%, 08/04/2026   1,060,000     1,047,018
3.250%, 02/23/2026   500,000     509,249
Applied Materials, Inc.          
3.900%, 10/01/2025   470,000     482,935
5.100%, 10/01/2035   470,000     542,920
Automatic Data Processing, Inc.
3.375%, 09/15/2025
  752,000     768,268
Broadcom, Inc.          
2.600%, 02/15/2033 (D)   1,000,000     868,164
3.137%, 11/15/2035 (D)   600,000     528,656
4.300%, 11/15/2032   700,000     710,336
Cisco Systems, Inc.
5.900%, 02/15/2039
  80,000     104,346
Dell International LLC
5.300%, 10/01/2029
  600,000     653,550
Eaton Corp.
3.103%, 09/15/2027
  500,000     500,737
Fiserv, Inc.
2.250%, 06/01/2027 (C)
  600,000     566,663
 
  282  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology (continued)          
Global Payments, Inc.
4.450%, 06/01/2028
$ 400,000   $ 411,866
Hewlett Packard Enterprise Company
6.200%, 10/15/2035
  400,000     459,981
IBM Corp.          
3.450%, 02/19/2026   1,115,000     1,133,275
4.000%, 06/20/2042   210,000     214,919
5.600%, 11/30/2039   21,000     25,480
Intel Corp.          
2.000%, 08/12/2031 (C)   500,000     453,512
2.700%, 12/15/2022   690,000     695,059
Mastercard, Inc.          
2.000%, 11/18/2031   350,000     319,081
2.950%, 11/21/2026   300,000     301,997
Microsoft Corp.          
2.525%, 06/01/2050   1,538,000     1,328,055
3.125%, 11/03/2025   438,000     445,602
NVIDIA Corp.
2.000%, 06/15/2031
  400,000     364,903
NXP BV
3.400%, 05/01/2030 (D)
  520,000     504,013
Oracle Corp.          
2.400%, 09/15/2023   435,000     433,383
2.650%, 07/15/2026   310,000     297,256
2.875%, 03/25/2031   400,000     364,716
2.950%, 05/15/2025   550,000     543,600
4.000%, 11/15/2047   400,000     353,748
4.125%, 05/15/2045   500,000     449,010
PayPal Holdings, Inc.          
2.300%, 06/01/2030   600,000     558,523
2.850%, 10/01/2029   1,000,000     978,886
QUALCOMM, Inc.
1.650%, 05/20/2032
  566,000     490,742
salesforce.com, Inc.
2.700%, 07/15/2041
  400,000     353,997
Texas Instruments, Inc.
3.875%, 03/15/2039
  200,000     212,529
Visa, Inc.          
2.050%, 04/15/2030   600,000     559,826
3.150%, 12/14/2025   463,000     468,321
4.300%, 12/14/2045   463,000     519,555
VMware, Inc.
1.800%, 08/15/2028
  400,000     354,763
Xerox Corp.
6.750%, 12/15/2039
  60,000     60,357
          22,559,861
Materials – 1.0%          
Air Products and Chemicals, Inc.
1.850%, 05/15/2027
  500,000     472,195
Avery Dennison Corp.
2.650%, 04/30/2030
  400,000     371,362
DuPont de Nemours, Inc.
5.319%, 11/15/2038
  400,000     459,419
Eastman Chemical Company
4.650%, 10/15/2044
  500,000     513,247
Freeport-McMoRan, Inc.
3.875%, 03/15/2023
  500,000     505,500
Glencore Funding LLC
2.625%, 09/23/2031 (D)
  500,000     447,254
Huntsman International LLC
4.500%, 05/01/2029
  500,000     516,162
International Paper Company
5.000%, 09/15/2035
  500,000     562,501
LYB International Finance II BV
3.500%, 03/02/2027
  400,000     399,275
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Materials (continued)          
Martin Marietta Materials, Inc.
2.400%, 07/15/2031
$ 300,000   $ 269,293
Newmont Corp.
4.875%, 03/15/2042
  270,000     303,639
Potash Corp. of Saskatchewan, Inc.
5.625%, 12/01/2040
  150,000     168,071
Rio Tinto Alcan, Inc.
6.125%, 12/15/2033
  100,000     126,222
Rio Tinto Finance USA PLC
4.750%, 03/22/2042
  270,000     308,709
Rio Tinto Finance USA, Ltd.
5.200%, 11/02/2040
  250,000     299,130
Teck Resources, Ltd.
6.250%, 07/15/2041
  270,000     322,586
The Dow Chemical Company          
4.375%, 11/15/2042   590,000     613,392
9.400%, 05/15/2039   130,000     207,085
The Sherwin-Williams Company
3.450%, 06/01/2027
  300,000     300,666
Vale Overseas, Ltd.
6.875%, 11/10/2039
  350,000     427,245
Vulcan Materials Company
3.500%, 06/01/2030
  300,000     297,543
          7,890,496
Real estate – 1.0%          
Alexandria Real Estate Equities, Inc.
1.875%, 02/01/2033
  400,000     338,317
American Campus Communities Operating Partnership LP
3.625%, 11/15/2027
  200,000     198,282
American Tower Corp.
5.000%, 02/15/2024
  500,000     517,169
AvalonBay Communities, Inc.
2.050%, 01/15/2032
  400,000     361,669
Boston Properties LP
2.550%, 04/01/2032
  500,000     450,925
Crown Castle International Corp.          
2.500%, 07/15/2031   300,000     267,614
3.700%, 06/15/2026   400,000     402,535
CubeSmart LP
4.000%, 11/15/2025
  200,000     202,962
Digital Realty Trust LP
4.450%, 07/15/2028
  200,000     208,088
Duke Realty LP
3.250%, 06/30/2026
  200,000     198,918
Equinix, Inc.
2.150%, 07/15/2030
  400,000     350,067
Essex Portfolio LP
3.000%, 01/15/2030
  400,000     382,975
Extra Space Storage LP
2.350%, 03/15/2032
  500,000     438,804
GLP Capital LP
5.300%, 01/15/2029
  600,000     630,342
Healthpeak Properties, Inc.
3.500%, 07/15/2029
  400,000     399,444
Mid-America Apartments LP
3.950%, 03/15/2029
  800,000     823,776
Service Properties Trust
4.500%, 03/15/2025
  200,000     187,500
Simon Property Group LP          
3.375%, 06/15/2027   500,000     501,048
3.500%, 09/01/2025   441,500     445,398
SL Green Operating Partnership LP
3.250%, 10/15/2022
  500,000     500,987
 
  283  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Real estate (continued)          
Welltower, Inc.
2.750%, 01/15/2031
$ 500,000   $ 465,877
          8,272,697
Utilities – 1.8%          
AEP Transmission Company LLC
3.750%, 12/01/2047
  400,000     392,840
Ameren Corp.
3.500%, 01/15/2031
  1,000,000     986,425
American Water Capital Corp.
4.300%, 09/01/2045
  350,000     359,175
Arizona Public Service Company
3.350%, 05/15/2050
  500,000     434,975
Berkshire Hathaway Energy Company          
4.500%, 02/01/2045   500,000     530,067
6.125%, 04/01/2036   436,000     536,926
Consolidated Edison Company of New York, Inc.
3.950%, 04/01/2050
  700,000     719,715
Constellation Energy Generation LLC
6.250%, 10/01/2039
  160,000     180,386
Dominion Energy, Inc.          
3.375%, 04/01/2030   600,000     591,911
3.900%, 10/01/2025   242,000     246,844
Duke Energy Carolinas LLC
6.000%, 01/15/2038
  200,000     246,402
Duke Energy Corp.          
3.750%, 04/15/2024   500,000     507,432
4.800%, 12/15/2045   500,000     535,484
Entergy Texas, Inc.
1.750%, 03/15/2031
  700,000     611,297
Essential Utilities, Inc.
4.276%, 05/01/2049
  500,000     521,618
Eversource Energy
4.250%, 04/01/2029
  500,000     519,592
Exelon Corp.
3.400%, 04/15/2026
  542,000     543,844
Florida Power & Light Company
5.650%, 02/01/2037
  290,000     349,181
Georgia Power Company
5.950%, 02/01/2039 (C)
  335,000     384,366
Indiana Michigan Power Company
6.050%, 03/15/2037
  187,000     226,789
NextEra Energy Capital Holdings, Inc.
2.250%, 06/01/2030
  700,000     640,747
NiSource, Inc.
3.950%, 03/30/2048
  400,000     382,438
Oncor Electric Delivery Company LLC
7.500%, 09/01/2038
  188,000     269,296
Pacific Gas & Electric Company          
2.500%, 02/01/2031   600,000     517,523
3.450%, 07/01/2025   30,000     29,263
3.750%, 07/01/2028   30,000     28,711
4.550%, 07/01/2030   227,000     225,231
4.950%, 07/01/2050   227,000     213,811
PacifiCorp
6.000%, 01/15/2039
  335,000     415,220
Public Service Company of Colorado
3.600%, 09/15/2042
  500,000     483,466
Public Service Electric & Gas Company
3.000%, 05/15/2025
  250,000     248,940
San Diego Gas & Electric Company
6.125%, 09/15/2037
  202,000     244,255
Southern California Edison Company          
2.250%, 06/01/2030   700,000     632,813
5.350%, 07/15/2035   130,000     143,659
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
The Southern Company
3.250%, 07/01/2026
$ 572,000   $ 572,054
Virginia Electric & Power Company          
3.450%, 09/01/2022   50,000     50,152
8.875%, 11/15/2038   190,000     298,810
Xcel Energy, Inc.
3.300%, 06/01/2025
  400,000     399,853
          15,221,511
TOTAL CORPORATE BONDS (Cost $233,397,236)     $ 233,043,848
MUNICIPAL BONDS – 0.5%          
Bay Area Toll Authority (California)
6.907%, 10/01/2050
  50,000     77,371
Illinois State Toll Highway Authority
6.184%, 01/01/2034
  150,000     185,727
Maryland State Transportation Authority
5.888%, 07/01/2043
  60,000     77,833
Metropolitan Washington Airports Authority
7.462%, 10/01/2046
  40,000     60,499
New Jersey Turnpike Authority
7.102%, 01/01/2041
  90,000     127,695
New York State Dormitory Authority
5.628%, 03/15/2039
  340,000     402,550
New York State Urban Development Corp.
5.770%, 03/15/2039
  300,000     342,338
State of California, GO          
7.300%, 10/01/2039   400,000     562,999
7.500%, 04/01/2034   80,000     110,256
State of Illinois, GO          
5.100%, 06/01/2033   115,000     122,292
7.350%, 07/01/2035   280,000     325,624
State of Texas, GO
5.517%, 04/01/2039
  260,000     329,306
State of Utah, GO          
3.539%, 07/01/2025   390,000     395,661
4.554%, 07/01/2024   150,000     153,757
State of Washington, GO
5.481%, 08/01/2039
  260,000     312,207
Texas Transportation Commission State Highway Fund
5.178%, 04/01/2030
  310,000     345,353
University of California
5.770%, 05/15/2043
  320,000     391,934
TOTAL MUNICIPAL BONDS (Cost $3,686,977)   $ 4,323,402
COLLATERALIZED MORTGAGE OBLIGATIONS – 2.2%      
Commercial and residential – 2.0%          
Banc of America Commercial Mortgage Trust
Series 2015-UBS7, Class A4
3.705%, 09/15/2048
  145,000     146,227
BANK
Series 2017-BNK6, Class A4
3.254%, 07/15/2060
  2,000,000     1,989,470
BMO Mortgage Trust
Series 2022-C1, Class A5
3.374%, 02/15/2055
  2,000,000     1,988,595
CD Mortgage Trust
Series 2017-CD3, Class A4
3.631%, 02/10/2050
  1,090,000     1,099,481
 
  284  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Commercial Mortgage Trust (Cantor
Fitzgerald/Deutsche Bank AG)
         
Series 2012-CR3, Class A3,
2.822%, 10/15/2045
$ 393,388   $ 393,181
Series 2012-CR5, Class A4,
2.771%, 12/10/2045
  179,000     179,460
Series 2013-CR8, Class AM,
3.791%, 06/10/2046 (D)(E)
  630,000     635,246
Series 2014-CR14, Class A3,
3.955%, 02/10/2047
  1,000,000     1,010,592
Series 2014-CR21, Class A3,
3.528%, 12/10/2047
  639,549     635,802
Series 2015-CR27, Class A4,
3.612%, 10/10/2048
  1,000,000     1,007,681
GS Mortgage Securities Trust          
Series 2016-GS4, Class A3,
3.178%, 11/10/2049
  2,846,635     2,790,449
Series 2017-GS5, Class A3,
3.409%, 03/10/2050
  3,000,000     2,986,392
JPMBB Commercial Mortgage Securities Trust
Series 2013-C14, Class A4
4.133%, 08/15/2046 (E)
  301,517     303,513
JPMorgan Chase Commercial Mortgage Securities Trust
Series 2013-C16, Class A4
4.166%, 12/15/2046
  500,000     506,399
Morgan Stanley Bank of America Merrill Lynch Trust
Series 2013-C7, Class A4
2.918%, 02/15/2046
  240,000     239,956
Wells Fargo Commercial Mortgage Trust
Series 2015-C29, Class AS
4.013%, 06/15/2048 (E)
  500,000     502,686
          16,415,130
U.S. Government Agency – 0.2%          
Federal Home Loan Mortgage Corp.          
Series K041, Class A2,
3.171%, 10/25/2024
  700,000     707,578
Series K047, Class A2,
3.329%, 05/25/2025 (E)
  700,000     710,765
Series K050, Class A2,
3.334%, 08/25/2025 (E)
  700,000     711,974
          2,130,317
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $19,355,782)   $ 18,545,447
ASSET BACKED SECURITIES – 0.2%      
SMB Private Education Loan Trust
Series 2021-E, Class A1A
1.680%, 02/15/2051 (D)
  1,783,116     1,706,464
TOTAL ASSET BACKED SECURITIES (Cost $1,783,043)     $ 1,706,464
COMMON STOCKS – 0.0%        
Energy – 0.0%          
Noble Corp. (F)   38     1,332
TOTAL COMMON STOCKS (Cost $508)   $ 1,332
WARRANTS – 0.0%          
Noble Corp. (Expiration Date: 2-5-28; Strike Price: $23.13) (F)   154     2,772
TOTAL WARRANTS (Cost $279)   $ 2,772
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 11.9%      
Short-term funds – 11.9%          
John Hancock Collateral Trust, 0.3592% (G)(H)   338,460   $ 3,384,197
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (G)   95,853,677     95,853,677
TOTAL SHORT-TERM INVESTMENTS (Cost $99,237,610)   $ 99,237,874
Total Investments (Total Bond Market Trust)
(Cost $942,193,845) – 110.6%
  $ 925,125,139
Other assets and liabilities, net – (10.6%)       (88,728,772)
TOTAL NET ASSETS – 100.0%       $ 836,396,367
Security Abbreviations and Legend
CMT Constant Maturity Treasury
GO General Obligation
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) Variable rate obligation. The coupon rate shown represents the rate at period end.
(B) Security purchased or sold on a when-issued or delayed delivery basis.
(C) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $3,285,224.
(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 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) Non-income producing security.
(G) The rate shown is the annualized seven-day yield as of 3-31-22.
(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.
Total Stock Market Index Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.6%      
Communication services – 9.0%          
Diversified telecommunication services – 0.8%      
AT&T, Inc.   123,703   $ 2,923,102
ATN International, Inc.   316     12,602
Bandwidth, Inc., Class A (A)   474     15,353
Cogent Communications Holdings, Inc.   822     54,540
Consolidated Communications Holdings, Inc. (A)   1,652     9,747
EchoStar Corp., Class A (A)   1,756     42,741
Frontier Communications Parent, Inc. (A)   4,020     111,233
Globalstar, Inc. (A)   32,049     47,112
IDT Corp., Class B (A)   471     16,056
Iridium Communications, Inc. (A)   2,396     96,607
Lumen Technologies, Inc.   18,282     206,038
Ooma, Inc. (A)   511     7,660
Telesat Corp. (A)   472     7,788
 
  285  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified telecommunication services (continued)      
Verizon Communications, Inc.   71,337   $ 3,633,907
          7,184,486
Entertainment – 1.4%      
Activision Blizzard, Inc.   13,630     1,091,899
AMC Entertainment Holdings, Inc., Class A (A)(B)   9,060     223,238
Chicken Soup For The Soul Entertainment, Inc. (A)   150     1,199
Cinemark Holdings, Inc. (A)   2,255     38,966
Electronic Arts, Inc.   4,985     630,652
Endeavor Group Holdings, Inc., Class A (A)   11,826     349,104
Gaia, Inc. (A)   509     2,504
Liberty Media Corp.-Liberty Braves, Class A (A)   1,055     30,363
Liberty Media Corp.-Liberty Formula One, Series A (A)   225     14,204
Lions Gate Entertainment Corp., Class B (A)   4,142     62,254
Live Nation Entertainment, Inc. (A)   3,887     457,267
Madison Square Garden Entertainment Corp. (A)   552     45,987
Madison Square Garden Sports Corp. (A)   395     70,847
Motorsport Games, Inc., Class A (A)   906     1,196
Netflix, Inc. (A)   7,686     2,879,099
Redbox Entertainment, Inc. (A)   302     713
Reservoir Media, Inc. (A)   628     6,173
ROBLOX Corp., Class A (A)   10,056     464,989
Roku, Inc. (A)   2,123     265,948
Sciplay Corp., Class A (A)   2,344     30,284
Skillz, Inc. (A)(B)   6,650     19,950
Take-Two Interactive Software, Inc. (A)   2,065     317,473
The Marcus Corp. (A)   654     11,576
The Walt Disney Company (A)   31,542     4,326,301
Warner Music Group Corp., Class A   8,930     338,001
World Wrestling Entertainment, Inc., Class A   1,386     86,542
Zynga, Inc., Class A (A)   19,643     181,501
          11,948,230
Interactive media and services – 5.4%      
Actua Corp. (A)(C)   909     68
Alphabet, Inc., Class A (A)   5,208     14,485,271
Alphabet, Inc., Class C (A)   6,300     17,595,837
Angi, Inc. (A)   9,083     51,501
Bumble, Inc., Class A (A)   1,949     56,482
CarGurus, Inc. (A)   2,085     88,529
Cars.com, Inc. (A)   1,331     19,206
Eventbrite, Inc., Class A (A)   1,726     25,493
EverQuote, Inc., Class A (A)   566     9,158
IAC/InterActiveCorp (A)   1,594     159,846
Kubient, Inc. (A)   1,491     2,535
Liberty TripAdvisor Holdings, Inc., Class A (A)   1,370     2,809
Match Group, Inc. (A)   4,895     532,282
MediaAlpha, Inc., Class A (A)   859     14,216
Meta Platforms, Inc., Class A (A)   48,385     10,758,889
NerdWallet, Inc., Class A (A)   271     3,249
Nextdoor Holdings, Inc. (A)   5,834     34,946
Outbrain, Inc. (A)   626     6,717
Pinterest, Inc., Class A (A)   11,371     279,840
QuinStreet, Inc. (A)   1,058     12,273
Snap, Inc., Class A (A)   23,418     842,814
Society Pass, Inc. (A)(B)   247     734
Super League Gaming, Inc. (A)   1,447     2,720
TripAdvisor, Inc. (A)   2,236     60,640
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Interactive media and services (continued)      
TrueCar, Inc. (A)   2,265   $ 8,947
Twitter, Inc. (A)   14,061     544,020
Vimeo, Inc. (A)   2,863     34,012
Yelp, Inc. (A)   1,333     45,469
Ziff Davis, Inc. (A)   853     82,553
ZipRecruiter, Inc., Class A (A)   1,805     41,479
ZoomInfo Technologies, Inc. (A)   6,815     407,128
          46,209,663
Media – 1.1%      
AdTheorent Holding Company, Inc. (A)(B)   292     2,873
Advantage Solutions, Inc. (A)   1,149     7,331
Altice USA, Inc., Class A (A)   8,159     101,824
AMC Networks, Inc., Class A (A)   803     32,626
Audacy, Inc. (A)   3,101     8,962
Boston Omaha Corp., Class A (A)   528     13,395
Cable One, Inc.   108     158,138
Cardlytics, Inc. (A)   542     29,799
Charter Communications, Inc., Class A (A)   3,104     1,693,294
Clear Channel Outdoor Holdings, Inc. (A)   8,922     30,870
Comcast Corp., Class A   79,198     3,708,050
comScore, Inc. (A)   384     1,117
Discovery, Inc., Series A (A)(B)   7,187     179,100
Discovery, Inc., Series C (A)   724     18,078
DISH Network Corp., Class A (A)   9,311     294,693
Emerald Holding, Inc. (A)   1,734     5,896
Entravision Communications Corp., Class A   1,680     10,769
Fox Corp., Class A   2,199     86,751
Fox Corp., Class B   7,492     271,810
Gannett Company, Inc. (A)   2,798     12,619
Gray Television, Inc.   1,878     41,447
Hemisphere Media Group, Inc. (A)   614     2,806
iHeartMedia, Inc., Class A (A)   2,155     40,794
Integral Ad Science Holding Corp. (A)   2,544     35,107
John Wiley & Sons, Inc., Class A   1,030     54,621
Liberty Media Corp.-Liberty SiriusXM, Series A   2,949     134,799
Liberty Media Corp.-Liberty SiriusXM, Series C (A)   2,528     115,605
Loyalty Ventures, Inc. (A)   372     6,149
National CineMedia, Inc.   1,758     4,465
News Corp., Class A   9,963     220,680
Nexstar Media Group, Inc., Class A   693     130,617
Omnicom Group, Inc.   3,641     309,048
Paramount Global, Class B   11,371     429,938
PubMatic, Inc., Class A (A)   758     19,799
Saga Communications, Inc., Class A   454     10,374
Scholastic Corp.   632     25,457
Sinclair Broadcast Group, Inc., Class A   1,490     41,750
Sirius XM Holdings, Inc. (B)   70,820     468,828
TechTarget, Inc. (A)   514     41,778
TEGNA, Inc.   3,707     83,037
The EW Scripps Company, Class A (A)   1,748     36,341
The Interpublic Group of Companies, Inc.   6,939     245,988
The New York Times Company, Class A   2,947     135,090
Tremor International, Ltd. (A)   81     625
Urban One, Inc. (A)   118     608
WideOpenWest, Inc. (A)   1,455     25,375
          9,329,121
Wireless telecommunication services – 0.3%      
Gogo, Inc. (A)   2,008     38,272
 
  286  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Wireless telecommunication services (continued)      
Shenandoah Telecommunications Company   1,007   $ 23,745
Spok Holdings, Inc.   499     3,982
Telephone & Data Systems, Inc.   2,276     42,971
T-Mobile US, Inc. (A)   21,698     2,784,938
United States Cellular Corp. (A)   1,559     47,129
          2,941,037
          77,612,537
Consumer discretionary – 12.4%          
Auto components – 0.1%      
American Axle & Manufacturing Holdings, Inc. (A)   2,288     17,755
Autoliv, Inc.   1,369     104,646
BorgWarner, Inc.   4,154     161,591
Dana, Inc.   2,759     48,476
Dorman Products, Inc. (A)   544     51,696
Fox Factory Holding Corp. (A)   779     76,303
Gentex Corp.   3,814     111,254
Gentherm, Inc. (A)   623     45,504
Holley, Inc. (A)   1,608     22,367
Horizon Global Corp. (A)   154     879
LCI Industries   448     46,507
Lear Corp.   1,032     147,153
Modine Manufacturing Company (A)   1,173     10,569
Motorcar Parts of America, Inc. (A)   476     8,487
Patrick Industries, Inc.   466     28,100
QuantumScape Corp. (A)(B)   7,355     147,026
Standard Motor Products, Inc.   472     20,362
Stoneridge, Inc. (A)   619     12,850
Superior Industries International, Inc. (A)   134     624
Tenneco, Inc., Class A (A)   1,225     22,442
The Goodyear Tire & Rubber Company (A)   5,090     72,736
Veoneer, Inc. (A)(B)   2,090     77,226
Visteon Corp. (A)   531     57,948
          1,292,501
Automobiles – 2.7%      
Arcimoto, Inc. (A)(B)   520     3,437
AYRO, Inc. (A)   4,451     5,697
Electric Last Mile Solutions, Inc. (A)   1,775     2,538
Faraday Future Intelligent Electric, Inc. (A)(B)   5,346     26,677
Ford Motor Company   70,158     1,186,372
General Motors Company (A)   25,107     1,098,180
Harley-Davidson, Inc.   2,784     109,690
Lucid Group, Inc. (A)(B)   28,574     725,780
Mullen Automotive, Inc. (A)   108     322
Rivian Automotive, Inc., Class A (A)(B)   15,153     761,287
Tesla, Inc. (A)   17,398     18,748,045
Thor Industries, Inc.   994     78,228
Winnebago Industries, Inc.   625     33,769
          22,780,022
Distributors – 0.1%      
Funko, Inc., Class A (A)   938     16,181
Genuine Parts Company   2,483     312,908
LKQ Corp.   5,071     230,274
Pool Corp.   698     295,149
Weyco Group, Inc.   262     6,477
          860,989
Diversified consumer services – 0.2%      
2U, Inc. (A)   1,345     17,862
Adtalem Global Education, Inc. (A)   948     28,165
American Public Education, Inc. (A)   372     7,901
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified consumer services (continued)      
Bright Horizons Family Solutions, Inc. (A)   1,098   $ 145,694
Carriage Services, Inc.   377     20,105
Chegg, Inc. (A)   2,536     92,006
Coursera, Inc. (A)   2,210     50,918
Duolingo, Inc. (A)   621     59,063
European Wax Center, Inc., Class A (A)   916     27,077
frontdoor, Inc. (A)   1,584     47,282
Graham Holdings Company, Class B   32     19,567
Grand Canyon Education, Inc. (A)   744     72,250
H&R Block, Inc.   3,199     83,302
Houghton Mifflin Harcourt Company (A)   2,393     50,277
ITT Educational Services, Inc. (A)(C)   608     0
Laureate Education, Inc.   3,804     45,077
Mister Car Wash, Inc. (A)   4,643     68,670
Nerdy, Inc. (A)   2,326     11,839
Perdoceo Education Corp. (A)   1,522     17,473
PowerSchool Holdings, Inc., Class A (A)   3,254     53,724
Regis Corp. (A)   845     1,791
Rover Group, Inc. (A)   2,832     16,341
Service Corp. International   2,835     186,600
StoneMor, Inc. (A)   3,034     7,919
Strategic Education, Inc.   459     30,468
Stride, Inc. (A)   765     27,792
Terminix Global Holdings, Inc. (A)   2,262     103,215
The Beachbody Company, Inc. (A)   4,559     10,349
Udemy, Inc. (A)   1,436     17,893
WW International, Inc. (A)   1,278     13,074
XpresSpa Group, Inc. (A)   2,007     2,268
          1,335,962
Hotels, restaurants and leisure – 2.2%      
Accel Entertainment, Inc. (A)   1,164     14,178
Airbnb, Inc., Class A (A)   10,836     1,861,191
Ambassadors Group, Inc. (A)(C)   714     29
Aramark   4,687     176,231
Bally's Corp. (A)   742     22,809
BBQ Holdings, Inc. (A)   30     454
Biglari Holdings, Inc., Class B (A)   58     8,387
BJ's Restaurants, Inc. (A)   418     11,829
Bloomin' Brands, Inc.   1,726     37,868
Bluegreen Vacations Holding Corp. (A)   472     13,957
Booking Holdings, Inc. (A)   713     1,674,445
Boyd Gaming Corp.   2,039     134,125
Brinker International, Inc. (A)   773     29,498
Caesars Entertainment, Inc. (A)   3,709     286,928
Carnival Corp. (A)   17,373     351,282
Carrols Restaurant Group, Inc.   1,021     2,307
Cedar Fair LP (A)   1,089     59,677
Century Casinos, Inc. (A)   682     8,150
Chipotle Mexican Grill, Inc. (A)   491     776,777
Choice Hotels International, Inc.   990     140,342
Churchill Downs, Inc.   651     144,379
Chuy's Holdings, Inc. (A)   395     10,665
Cracker Barrel Old Country Store, Inc.   465     55,209
Darden Restaurants, Inc.   2,305     306,450
Dave & Buster's Entertainment, Inc. (A)   672     32,995
Denny's Corp. (A)   1,245     17,816
Dine Brands Global, Inc.   324     25,256
Domino's Pizza, Inc.   632     257,230
DraftKings, Inc., Class A (A)   14,066     273,865
Drive Shack, Inc. (A)   1,927     2,968
Dutch Bros, Inc., Class A (A)(B)   2,817     155,696
El Pollo Loco Holdings, Inc. (A)   824     9,575
Esports Technologies, Inc. (A)   134     903
Everi Holdings, Inc. (A)   1,659     34,839
 
  287  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Expedia Group, Inc. (A)   2,579   $ 504,633
F45 Training Holdings, Inc. (A)   1,198     12,819
FAT Brands, Inc., Class A   101     752
Fiesta Restaurant Group, Inc. (A)   709     5,300
Full House Resorts, Inc. (A)   163     1,566
Golden Entertainment, Inc. (A)   568     32,984
Hall of Fame Resort & Entertainment Company (A)   655     727
Hilton Grand Vacations, Inc. (A)   1,856     96,531
Hilton Worldwide Holdings, Inc. (A)   4,755     721,524
Hyatt Hotels Corp., Class A (A)   1,856     177,155
Inspired Entertainment, Inc. (A)   189     2,325
Jack in the Box, Inc.   422     39,419
Krispy Kreme, Inc. (B)   2,475     36,754
Kura Sushi USA, Inc., Class A (A)   110     6,067
Las Vegas Sands Corp. (A)   13,380     520,081
Life Time Group Holdings, Inc. (A)   2,149     31,246
Marriott International, Inc., Class A (A)   5,640     991,230
Marriott Vacations Worldwide Corp.   780     123,006
McDonald's Corp.   12,874     3,183,483
Membership Collective Group, Inc., Class A (A)   3,166     24,568
MGM Resorts International   8,220     344,747
Monarch Casino & Resort, Inc. (A)   382     33,322
Nathan's Famous, Inc.   100     5,417
Noodles & Company (A)   1,045     6,239
Norwegian Cruise Line Holdings, Ltd. (A)   6,309     138,041
Papa John's International, Inc.   670     70,538
Penn National Gaming, Inc. (A)   2,894     122,763
Planet Fitness, Inc., Class A (A)   1,554     131,282
PlayAGS, Inc. (A)   812     5,416
Portillo's, Inc., Class A (A)(B)   529     12,992
Potbelly Corp. (A)   25     168
RCI Hospitality Holdings, Inc.   210     12,907
Red Robin Gourmet Burgers, Inc. (A)   308     5,193
Red Rock Resorts, Inc., Class A   2,105     102,219
Restaurant Brands International LP   82     4,778
Royal Caribbean Cruises, Ltd. (A)   4,419     370,224
Ruth's Hospitality Group, Inc.   679     15,536
Scientific Games Corp. (A)   1,726     101,403
SeaWorld Entertainment, Inc. (A)   1,402     104,365
Shake Shack, Inc., Class A (A)   773     52,487
Six Flags Entertainment Corp. (A)   1,568     68,208
Starbucks Corp.   20,364     1,852,513
Sweetgreen, Inc., Class A (A)(B)   1,407     45,010
Target Hospitality Corp. (A)   729     4,374
Texas Roadhouse, Inc.   1,322     110,691
The Cheesecake Factory, Inc. (A)   940     37,403
The Wendy's Company   3,552     78,037
Travel + Leisure Company   1,587     91,951
Vail Resorts, Inc.   701     182,449
Wingstop, Inc.   558     65,481
Wyndham Hotels & Resorts, Inc.   1,716     145,328
Wynn Resorts, Ltd. (A)   2,075     165,461
Xponential Fitness, Inc., Class A (A)   696     16,314
Yum! Brands, Inc.   5,044     597,865
          18,551,602
Household durables – 0.4%      
Aterian, Inc. (A)   1,719     4,177
Bassett Furniture Industries, Inc.   298     4,935
Beazer Homes USA, Inc. (A)   757     11,522
Cavco Industries, Inc. (A)   177     42,630
Century Communities, Inc.   625     33,481
Cricut, Inc., Class A (A)(B)   3,750     49,088
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Household durables (continued)      
D.R. Horton, Inc.   6,120   $ 456,001
Dream Finders Homes, Inc., Class A (A)   1,315     22,460
Ethan Allen Interiors, Inc.   592     15,433
Flexsteel Industries, Inc.   230     4,439
GoPro, Inc., Class A (A)   2,917     24,882
Green Brick Partners, Inc. (A)   1,021     20,175
Hamilton Beach Brands Holding Company, Class A   354     4,117
Hamilton Beach Brands Holding Company, Class B   241     2,803
Helen of Troy, Ltd. (A)   408     79,903
Hooker Furnishings Corp.   271     5,133
Hovnanian Enterprises, Inc., Class A (A)   117     6,915
Installed Building Products, Inc.   560     47,314
iRobot Corp. (A)   525     33,285
KB Home   1,336     43,260
La-Z-Boy, Inc.   888     23,417
Legacy Housing Corp. (A)   580     12,447
Leggett & Platt, Inc.   2,474     86,095
Lennar Corp., A Shares   5,099     413,886
M/I Homes, Inc. (A)   560     24,836
MDC Holdings, Inc.   1,048     39,656
Meritage Homes Corp. (A)   608     48,172
Mohawk Industries, Inc. (A)   1,166     144,817
Newell Brands, Inc.   7,716     165,200
NVR, Inc. (A)   56     250,167
PulteGroup, Inc.   4,314     180,757
Purple Innovation, Inc. (A)   922     5,394
Skyline Champion Corp. (A)   1,047     57,459
Snap One Holdings Corp. (A)   1,112     16,402
Sonos, Inc. (A)   2,295     64,765
Taylor Morrison Home Corp. (A)   2,343     63,776
Tempur Sealy International, Inc.   3,397     94,844
The Lovesac Company (A)   280     15,137
Toll Brothers, Inc.   2,072     97,425
TopBuild Corp. (A)   586     106,295
Traeger, Inc. (A)   1,820     13,541
Tri Pointe Homes, Inc. (A)   1,896     38,072
Tupperware Brands Corp. (A)   955     18,575
Universal Electronics, Inc. (A)   312     9,747
Vizio Holding Corp., Class A (A)(B)   2,995     26,626
VOXX International Corp. (A)   708     7,059
Weber, Inc., Class A (B)   4,667     45,877
Whirlpool Corp.   1,007     173,989
          3,156,386
Internet and direct marketing retail – 3.6%      
1-800-Flowers.com, Inc., Class A (A)   1,178     15,031
1847 Goedeker, Inc. (A)   2,236     4,293
1stdibs.com, Inc. (A)   442     3,532
Aka Brands Holding Corp. (A)   1,841     8,137
Amazon.com, Inc. (A)   8,783     28,632,141
Boxed, Inc. (A)   220     2,233
CarParts.com, Inc. (A)   587     3,933
Chewy, Inc., Class A (A)   7,353     299,855
ContextLogic, Inc., Class A (A)   11,179     25,153
DoorDash, Inc., Class A (A)   5,960     698,452
Duluth Holdings, Inc., Class B (A)   700     8,561
eBay, Inc.   10,876     622,760
Etsy, Inc. (A)   2,236     277,890
Groupon, Inc. (A)   572     11,000
Lands' End, Inc. (A)   610     10,321
Liquidity Services, Inc. (A)   666     11,402
Magnite, Inc. (A)   2,098     27,715
Overstock.com, Inc. (A)   765     33,664
PetMed Express, Inc.   456     11,765
 
  288  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Internet and direct marketing retail (continued)      
Poshmark, Inc., Class A (A)   1,160   $ 14,686
Quotient Technology, Inc. (A)   1,823     11,631
Qurate Retail, Inc., Series A   7,183     34,191
Rent the Runway, Inc., Class A (A)   740     5,099
Revolve Group, Inc. (A)   1,292     69,367
RumbleON, Inc., Class B (A)   206     7,047
Shutterstock, Inc.   655     60,967
Stitch Fix, Inc., Class A (A)   1,919     19,324
The RealReal, Inc. (A)   1,706     12,386
ThredUp, Inc., Class A (A)   1,512     11,642
Vivid Seats, Inc., Class A   1,894     20,948
Wayfair, Inc., Class A (A)   1,829     202,617
Xometry, Inc., Class A (A)   602     22,124
          31,199,867
Leisure products – 0.1%      
Acushnet Holdings Corp.   1,357     54,633
American Outdoor Brands, Inc. (A)   307     4,031
Brunswick Corp.   1,367     110,577
Callaway Golf Company (A)   3,017     70,658
Clarus Corp.   526     11,982
Escalade, Inc.   418     5,518
Hasbro, Inc.   2,418     198,083
Hayward Holdings, Inc. (A)   3,667     60,946
Johnson Outdoors, Inc., Class A   208     16,168
Latham Group, Inc. (A)   1,896     25,103
Malibu Boats, Inc., Class A (A)   395     22,914
Marine Products Corp.   742     8,570
MasterCraft Boat Holdings, Inc. (A)   427     10,508
Mattel, Inc. (A)   6,267     139,190
Nautilus, Inc. (A)   464     1,912
Peloton Interactive, Inc., Class A (A)   5,316     140,449
Polaris, Inc.   1,084     114,167
Smith & Wesson Brands, Inc.   903     13,662
Sturm Ruger & Company, Inc.   342     23,810
Vinco Ventures, Inc. (A)(B)   2,013     6,442
Vista Outdoor, Inc. (A)   1,047     37,367
YETI Holdings, Inc. (A)   1,561     93,629
          1,170,319
Multiline retail – 0.4%      
Big Lots, Inc.   645     22,317
Dillard's, Inc., Class A   374     100,378
Dollar General Corp.   3,978     885,622
Dollar Tree, Inc. (A)   3,895     623,784
Franchise Group, Inc.   539     22,331
Kohl's Corp.   2,479     149,880
Macy's, Inc.   5,308     129,303
Nordstrom, Inc.   2,858     77,480
Ollie's Bargain Outlet Holdings, Inc. (A)   1,183     50,822
Target Corp.   8,299     1,761,214
          3,823,131
Specialty retail – 1.9%      
Abercrombie & Fitch Company, Class A (A)   1,074     34,357
Academy Sports & Outdoors, Inc.   1,506     59,336
Advance Auto Parts, Inc.   1,078     223,103
American Eagle Outfitters, Inc.   3,071     51,593
America's Car-Mart, Inc. (A)   119     9,587
Arhaus, Inc. (A)   1,503     12,791
Asbury Automotive Group, Inc. (A)   390     62,478
AutoNation, Inc. (A)   1,128     112,326
AutoZone, Inc. (A)   361     738,093
Barnes & Noble Education, Inc. (A)   1,158     4,146
Bath & Body Works, Inc.   4,629     221,266
Bed Bath & Beyond, Inc. (A)   1,937     43,641
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
Best Buy Company, Inc.   4,265   $ 387,689
Big 5 Sporting Goods Corp. (B)   321     5,505
Boot Barn Holdings, Inc. (A)   531     50,333
Brilliant Earth Group, Inc., Class A (A)   1,474     15,167
Build-A-Bear Workshop, Inc.   144     2,632
Burlington Stores, Inc. (A)   1,133     206,399
Caleres, Inc.   774     14,961
Camping World Holdings, Inc., Class A (B)   1,591     44,468
CarMax, Inc. (A)   2,808     270,916
Carvana Company (A)   3,047     363,477
Chico's FAS, Inc. (A)   2,330     11,184
Citi Trends, Inc. (A)   191     5,849
Conn's, Inc. (A)   510     7,859
Designer Brands, Inc., Class A (A)   1,409     19,036
Destination XL Group, Inc. (A)   752     3,670
Dick's Sporting Goods, Inc. (B)   1,510     151,030
Enjoy Technology, Inc. (A)(B)   1,198     4,552
EVgo, Inc. (A)(B)   4,917     63,233
Express, Inc. (A)   817     2,909
Five Below, Inc. (A)   996     157,737
Floor & Decor Holdings, Inc., Class A (A)   1,885     152,685
Foot Locker, Inc.   1,758     52,142
GameStop Corp., Class A (A)(B)   1,360     226,549
Genesco, Inc. (A)   296     18,829
Group 1 Automotive, Inc.   303     50,852
Guess?, Inc.   1,272     27,793
Haverty Furniture Companies, Inc.   406     11,133
Hibbett, Inc.   306     13,568
J. Jill, Inc. (A)   28     425
JOANN, Inc. (B)   421     4,804
Kirkland's, Inc. (A)   147     1,366
Lazydays Holdings, Inc. (A)   67     1,352
Leslie's, Inc. (A)   3,078     59,590
Lithia Motors, Inc.   508     152,461
LL Flooring Holdings, Inc. (A)   701     9,828
LMP Automotive Holdings, Inc. (A)   214     1,070
Lowe's Companies, Inc.   11,645     2,354,503
MarineMax, Inc. (A)   429     17,272
Monro, Inc.   639     28,333
Murphy USA, Inc.   439     87,782
National Vision Holdings, Inc. (A)   1,537     66,967
OneWater Marine, Inc., Class A   187     6,442
O'Reilly Automotive, Inc. (A)   1,158     793,184
Party City Holdco, Inc. (A)   1,740     6,229
Penske Automotive Group, Inc.   1,335     125,116
Petco Health & Wellness Company, Inc. (A)   3,669     71,802
Rent-A-Center, Inc.   1,196     30,127
RH (A)   372     121,305
Ross Stores, Inc.   6,115     553,163
Sally Beauty Holdings, Inc. (A)   2,075     32,432
Shoe Carnival, Inc.   550     16,038
Signet Jewelers, Ltd.   943     68,556
Sleep Number Corp. (A)   444     22,515
Sonic Automotive, Inc., Class A   786     33,413
Sportsman's Warehouse Holdings, Inc. (A)   611     6,532
The Aaron's Company, Inc.   685     13,755
The Buckle, Inc.   892     29,472
The Cato Corp., Class A   560     8,210
The Children's Place, Inc. (A)   273     13,459
The Container Store Group, Inc. (A)   658     5,376
The Gap, Inc.   6,757     95,139
 
  289  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
The Home Depot, Inc.   18,056   $ 5,404,702
The ODP Corp. (A)   969     44,409
The TJX Companies, Inc.   20,630     1,249,765
Tilly's, Inc., Class A   687     6,430
Torrid Holdings, Inc. (A)   1,663     10,078
Tractor Supply Company   1,965     458,572
TravelCenters of America, Inc. (A)   191     8,205
Ulta Beauty, Inc. (A)   945     376,318
Urban Outfitters, Inc. (A)   1,825     45,826
Victoria's Secret & Company (A)   1,554     79,813
Volta, Inc. (A)   1,296     3,953
Vroom, Inc. (A)   2,301     6,121
Warby Parker, Inc., Class A (A)   1,697     57,376
Williams-Sonoma, Inc.   1,310     189,950
Winmark Corp.   75     16,500
Zumiez, Inc. (A)   498     19,029
          16,729,939
Textiles, apparel and luxury goods – 0.7%      
Allbirds, Inc., Class A (A)   1,736     10,433
Carter's, Inc.   593     54,550
Columbia Sportswear Company   1,104     99,945
Crocs, Inc. (A)   1,070     81,748
Culp, Inc.   350     2,779
Deckers Outdoor Corp. (A)   438     119,911
Fossil Group, Inc. (A)   1,102     10,623
G-III Apparel Group, Ltd. (A)   960     25,968
Hanesbrands, Inc.   6,267     93,316
Kontoor Brands, Inc.   1,067     44,120
Levi Strauss & Company, Class A   7,232     142,904
Movado Group, Inc.   465     18,158
NIKE, Inc., Class B   27,377     3,683,849
Oxford Industries, Inc.   331     29,956
PVH Corp.   1,268     97,141
Ralph Lauren Corp.   1,327     150,535
Rocky Brands, Inc.   191     7,944
Skechers USA, Inc., Class A (A)   2,806     114,373
Steven Madden, Ltd.   1,517     58,617
Superior Group of Companies, Inc.   407     7,265
Tapestry, Inc.   5,025     186,679
Under Armour, Inc., Class A (A)   7,212     122,748
Unifi, Inc. (A)   438     7,928
Vera Bradley, Inc. (A)   773     5,929
VF Corp.   6,938     394,495
Wolverine World Wide, Inc.   1,556     35,103
          5,607,017
          106,507,735
Consumer staples – 6.1%          
Beverages – 1.4%      
Brown-Forman Corp., Class B   8,312     557,070
Celsius Holdings, Inc. (A)   1,351     74,548
Coca-Cola Consolidated, Inc.   171     84,961
Constellation Brands, Inc., Class A   3,229     743,703
Keurig Dr. Pepper, Inc.   25,011     947,917
MGP Ingredients, Inc.   345     29,529
Molson Coors Beverage Company, Class B   3,843     205,139
Monster Beverage Corp. (A)   9,254     739,395
National Beverage Corp.   1,726     75,081
PepsiCo, Inc.   23,906     4,001,386
Primo Water Corp.   398     5,672
The Boston Beer Company, Inc., Class A (A)   221     85,852
The Coca-Cola Company   74,883     4,642,746
The Duckhorn Portfolio, Inc. (A)   1,652     30,050
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Beverages (continued)      
Zevia PBC, Class A (A)   777   $ 3,551
          12,226,600
Food and staples retailing – 1.7%      
Albertsons Companies, Inc., Class A   8,040     267,330
BJ's Wholesale Club Holdings, Inc. (A)   2,465     166,659
Blue Apron Holdings, Inc., Class A (A)   262     1,061
Casey's General Stores, Inc.   628     124,451
Costco Wholesale Corp.   7,641     4,400,070
Grocery Outlet Holding Corp. (A)   1,797     58,906
HF Foods Group, Inc. (A)   1,021     6,800
Ingles Markets, Inc., Class A   340     30,277
Natural Grocers by Vitamin Cottage, Inc.   523     10,251
Performance Food Group Company (A)   2,758     140,410
PriceSmart, Inc.   622     49,057
Rite Aid Corp. (A)   1,178     10,308
SpartanNash Company   831     27,415
Sprouts Farmers Market, Inc. (A)   2,029     64,887
Sysco Corp.   9,005     735,258
The Andersons, Inc.   755     37,946
The Chefs' Warehouse, Inc. (A)   665     21,679
The Kroger Company   12,897     739,901
U.S. Foods Holding Corp. (A)   4,092     153,982
United Natural Foods, Inc. (A)   1,030     42,591
Village Super Market, Inc., Class A   374     9,163
Walgreens Boots Alliance, Inc.   14,962     669,849
Walmart, Inc.   47,981     7,145,331
Weis Markets, Inc.   502     35,853
          14,949,435
Food products – 1.1%      
Alico, Inc.   195     7,324
Archer-Daniels-Midland Company   9,679     873,627
B&G Foods, Inc. (B)   1,224     33,024
Beyond Meat, Inc. (A)(B)   1,148     55,460
Bunge, Ltd.   2,430     269,268
Calavo Growers, Inc.   372     13,559
Cal-Maine Foods, Inc.   905     49,974
Campbell Soup Company   5,137     228,956
Conagra Brands, Inc.   8,485     284,841
Darling Ingredients, Inc. (A)   2,878     231,334
Flowers Foods, Inc.   3,822     98,264
Fresh Del Monte Produce, Inc.   1,036     26,843
Freshpet, Inc. (A)   763     78,314
General Mills, Inc.   10,330     699,548
Hormel Foods Corp.   8,869     457,108
Hostess Brands, Inc. (A)   2,675     58,690
Ingredion, Inc.   1,127     98,218
J&J Snack Foods Corp.   392     60,799
John B. Sanfilippo & Son, Inc.   247     20,610
Kellogg Company   5,604     361,402
Laird Superfood, Inc. (A)   38     137
Lamb Weston Holdings, Inc.   2,655     159,061
Lancaster Colony Corp.   432     64,433
Landec Corp. (A)   729     8,442
Limoneira Company   402     5,901
McCormick & Company, Inc.   4,663     465,367
Mission Produce, Inc. (A)   643     8,134
Mondelez International, Inc., Class A   24,164     1,517,016
Pilgrim's Pride Corp. (A)   4,352     109,235
Post Holdings, Inc. (A)   1,120     77,571
Sanderson Farms, Inc.   331     62,059
Seaboard Corp.   16     67,288
Seneca Foods Corp., Class A (A)   231     11,906
Sovos Brands, Inc. (A)   1,290     18,292
The Hain Celestial Group, Inc. (A)   1,813     62,367
The Hershey Company   3,454     748,240
 
  290  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Food products (continued)      
The J.M. Smucker Company   1,579   $ 213,812
The Kraft Heinz Company   21,366     841,607
The Simply Good Foods Company (A)   1,833     69,562
Tootsie Roll Industries, Inc.   1,341     46,883
TreeHouse Foods, Inc. (A)   1,100     35,486
Tyson Foods, Inc., Class A   6,279     562,787
Vital Farms, Inc. (A)   450     5,562
          9,168,311
Household products – 1.1%      
Central Garden & Pet Company, Class A (A)   1,140     46,489
Church & Dwight Company, Inc.   4,274     424,750
Colgate-Palmolive Company   14,592     1,106,511
Energizer Holdings, Inc.   1,319     40,572
Kimberly-Clark Corp.   5,698     701,766
Oil-Dri Corp. of America   183     5,243
Reynolds Consumer Products, Inc.   2,843     83,414
Spectrum Brands Holdings, Inc.   733     65,032
The Clorox Company   2,119     294,605
The Procter & Gamble Company   41,865     6,396,972
WD-40 Company   246     45,075
          9,210,429
Personal products – 0.3%      
BellRing Brands, Inc. (A)   2,012     46,437
Coty, Inc., Class A (A)   13,695     123,118
Edgewell Personal Care Company   1,035     37,953
elf Beauty, Inc. (A)   1,002     25,882
Herbalife Nutrition, Ltd. (A)   2,010     61,024
Inter Parfums, Inc.   609     53,622
Medifast, Inc.   216     36,888
Nature's Sunshine Products, Inc. (A)   585     9,840
Nu Skin Enterprises, Inc., Class A   977     46,779
Olaplex Holdings, Inc. (A)   11,131     173,978
Revlon, Inc., Class A (A)   1,150     9,281
The Estee Lauder Companies, Inc., Class A   6,277     1,709,353
The Honest Company, Inc. (A)   1,180     6,148
Thorne HealthTech, Inc. (A)   552     3,511
USANA Health Sciences, Inc. (A)   350     27,808
Veru, Inc. (A)   1,088     5,255
          2,376,877
Tobacco – 0.5%      
22nd Century Group, Inc. (A)   3,256     7,554
Altria Group, Inc.   31,790     1,661,028
Philip Morris International, Inc.   26,932     2,529,992
Turning Point Brands, Inc.   361     12,278
Universal Corp.   441     25,609
Vector Group, Ltd.   2,811     33,844
          4,270,305
          52,201,957
Energy – 4.2%          
Energy equipment and services – 0.4%      
Archrock, Inc.   3,041     28,068
Baker Hughes Company   18,262     664,919
Bristow Group, Inc. (A)   260     9,641
Cactus, Inc., Class A   1,384     78,528
ChampionX Corp. (A)   3,261     79,829
DMC Global, Inc. (A)   314     9,577
Dril-Quip, Inc. (A)   785     29,320
Exterran Corp. (A)   1,489     9,247
Halliburton Company   15,728     595,619
Helix Energy Solutions Group, Inc. (A)   3,143     15,024
Helmerich & Payne, Inc.   2,014     86,159
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Energy equipment and services (continued)      
KLX Energy Services Holdings, Inc. (A)   86   $ 445
Liberty Oilfield Services, Inc., Class A (A)   2,697     39,970
Mammoth Energy Services, Inc. (A)   344     733
Nabors Industries, Ltd. (A)   179     27,337
National Energy Services Reunited Corp. (A)   1,682     14,129
Newpark Resources, Inc. (A)   2,201     8,056
NexTier Oilfield Solutions, Inc. (A)   4,459     41,201
NOV, Inc.   7,253     142,231
Oceaneering International, Inc. (A)   1,924     29,168
Oil States International, Inc. (A)   1,360     9,452
Patterson-UTI Energy, Inc.   4,208     65,140
ProPetro Holding Corp. (A)   1,939     27,010
RPC, Inc. (A)   4,336     46,265
Schlumberger NV   24,555     1,014,367
SEACOR Marine Holdings, Inc. (A)   67     541
Select Energy Services, Inc., Class A (A)   2,431     20,834
Solaris Oilfield Infrastructure, Inc., Class A   1,111     12,543
TETRA Technologies, Inc. (A)   1,157     4,755
Tidewater, Inc. (A)   820     17,827
USA Compression Partners LP   2,120     37,333
          3,165,268
Oil, gas and consumable fuels – 3.8%      
Aemetis, Inc. (A)   638     8,083
Alliance Resource Partners LP   2,471     38,128
Alto Ingredients, Inc. (A)   841     5,736
Amplify Energy Corp. (A)   157     864
Antero Midstream Corp.   8,691     94,471
Antero Resources Corp. (A)   5,638     172,128
APA Corp.   6,531     269,926
Arch Resources, Inc.   237     32,559
Archaea Energy, Inc. (A)   1,370     30,044
Black Stone Minerals LP   4,760     64,070
BP Midstream Partners LP   1,216     20,575
Brigham Minerals, Inc., Class A   1,168     29,842
California Resources Corp.   1,269     56,762
Callon Petroleum Company (A)   932     55,063
Calumet Specialty Products Partners LP (A)   1,619     22,035
Centennial Resource Development, Inc., Class A (A)   5,240     42,287
Centrus Energy Corp., Class A (A)   198     6,673
Cheniere Energy, Inc.   4,428     613,942
Chesapeake Energy Corp.   1,955     170,085
Chevron Corp.   33,244     5,413,121
Civitas Resources, Inc.   958     57,202
Clean Energy Fuels Corp. (A)   4,254     33,777
CNX Resources Corp. (A)   4,230     87,646
Comstock Resources, Inc. (A)   3,787     49,420
ConocoPhillips   22,917     2,291,700
CONSOL Energy, Inc. (A)   636     23,933
Continental Resources, Inc.   6,521     399,933
Coterra Energy, Inc.   13,701     369,516
Crescent Energy, Inc., Class A   2,209     38,304
Crestwood Equity Partners LP   1,830     54,754
CrossAmerica Partners LP   693     15,114
CVR Energy, Inc.   1,445     36,905
DCP Midstream LP   3,813     127,964
Delek Logistics Partners LP   535     23,535
Delek US Holdings, Inc. (A)   1,558     33,061
Denbury, Inc. (A)   828     65,056
Devon Energy Corp.   11,947     706,426
Diamondback Energy, Inc.   3,239     444,002
 
  291  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Dorchester Minerals LP   821   $ 21,305
Dorian LPG, Ltd.   943     13,664
DT Midstream, Inc.   1,701     92,296
Energy Transfer LP   53,450     598,106
EnLink Midstream LLC (A)   9,120     88,008
Enterprise Products Partners LP   36,288     936,593
Enviva, Inc.   868     68,702
EOG Resources, Inc.   10,204     1,216,623
EQT Corp.   6,413     220,671
Equitrans Midstream Corp.   8,041     67,866
Exxon Mobil Corp.   73,428     6,064,419
Genesis Energy LP   2,417     28,303
Gevo, Inc. (A)   3,343     15,645
Global Partners LP   792     21,598
Green Plains Partners LP   503     7,122
Green Plains, Inc. (A)   849     26,327
Gulfport Energy Corp. (A)   298     26,766
Harvest Natural Resources, Inc. (A)(C)   270     0
Hess Corp.   5,464     584,867
Hess Midstream LP, Class A   701     21,030
HF Sinclair Corp. (A)   3,024     120,506
HighPeak Energy, Inc.   1,453     32,257
Holly Energy Partners LP   1,975     34,938
International Seaways, Inc.   416     7,505
Kimbell Royalty Partners LP   1,094     17,788
Kinder Morgan, Inc.   38,418     726,484
Laredo Petroleum, Inc. (A)   264     20,893
LinnCo LLC (A)(C)   2,890     0
Magellan Midstream Partners LP   3,296     161,735
Magnolia Oil & Gas Corp., Class A   4,348     102,830
Marathon Oil Corp.   14,014     351,892
Marathon Petroleum Corp.   10,777     921,434
Matador Resources Company   2,130     112,847
MPLX LP   17,953     595,681
Murphy Oil Corp.   2,467     99,642
NACCO Industries, Inc., Class A   187     7,334
Natural Resource Partners LP   290     12,395
New Fortress Energy, Inc.   3,618     154,163
NextDecade Corp. (A)   1,344     8,897
Northern Oil and Gas, Inc.   973     27,429
NuStar Energy LP   2,314     33,368
Oasis Petroleum, Inc.   289     42,281
Occidental Petroleum Corp.   16,504     936,437
ONEOK, Inc.   7,893     557,483
Ovintiv, Inc.   4,448     240,503
PBF Energy, Inc., Class A (A)   2,277     55,490
PBF Logistics LP   1,384     19,404
PDC Energy, Inc.   1,834     133,295
Peabody Energy Corp. (A)   2,102     51,562
Phillips 66   9,586     828,135
Pioneer Natural Resources Company   4,241     1,060,377
Plains All American Pipeline LP   12,783     137,545
Plains GP Holdings LP, Class A (A)   3,615     41,753
Range Resources Corp. (A)   4,676     142,057
Ranger Oil Corp., Class A (A)   135     4,662
Rattler Midstream LP   2,920     40,792
Renewable Energy Group, Inc. (A)   765     46,397
REX American Resources Corp. (A)   157     15,637
Riley Exploration Permian, Inc.   118     2,959
SandRidge Energy, Inc. (A)   462     7,401
SFL Corp., Ltd.   2,278     23,190
Shell Midstream Partners LP   5,552     78,949
SilverBow Resources, Inc. (A)   168     5,376
SM Energy Company   2,191     85,339
Southwestern Energy Company (A)   16,800     120,456
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Sprague Resources LP   617   $ 10,199
Sunoco LP   1,303     53,215
Talos Energy, Inc. (A)   1,148     18,127
Targa Resources Corp.   4,085     308,295
Teekay Corp. (A)   2,383     7,554
Tellurian, Inc. (A)   7,716     40,895
Texas Pacific Land Corp.   129     174,422
The Williams Companies, Inc.   20,941     699,639
Uranium Energy Corp. (A)   4,770     21,894
Valero Energy Corp.   7,180     729,057
Vertex Energy, Inc. (A)(B)   861     8,558
Viper Energy Partners LP   3,095     91,519
W&T Offshore, Inc. (A)   3,111     11,884
Western Midstream Partners LP   7,462     188,192
Whiting Petroleum Corp.   580     47,276
World Fuel Services Corp.   1,250     33,800
          32,796,577
          35,961,845
Financials – 11.4%          
Banks – 3.9%      
1st Source Corp.   559     25,854
Allegiance Bancshares, Inc.   511     22,831
Amerant Bancorp, Inc.   655     20,691
American National Bankshares, Inc.   218     8,214
Ameris Bancorp   1,382     60,642
Ames National Corp.   260     6,464
Arrow Financial Corp.   442     14,330
Associated Banc-Corp.   2,795     63,614
Atlantic Union Bankshares Corp.   1,681     61,676
Banc of California, Inc.   1,367     26,465
BancFirst Corp.   701     58,330
Bank of America Corp.   141,875     5,848,088
Bank of Hawaii Corp.   693     58,157
Bank of Marin Bancorp   328     11,503
Bank OZK   2,231     95,264
BankFinancial Corp.   481     4,983
BankUnited, Inc.   1,740     76,490
Bankwell Financial Group, Inc.   211     7,138
Banner Corp.   760     44,483
Bar Harbor Bankshares   435     12,450
BayCom Corp.   336     7,315
BCB Bancorp, Inc.   577     10,530
Berkshire Hills Bancorp, Inc.   1,028     29,781
BOK Financial Corp.   1,118     105,036
Brookline Bancorp, Inc.   1,813     28,682
Business First Bancshares, Inc.   293     7,129
Byline Bancorp, Inc.   825     22,011
Cadence Bank   3,193     93,427
Cambridge Bancorp   93     7,905
Camden National Corp.   400     18,816
Capital City Bank Group, Inc.   465     12,257
Capstar Financial Holdings, Inc.   374     7,884
Cathay General Bancorp   1,283     57,414
CBTX, Inc.   597     18,507
Central Pacific Financial Corp.   579     16,154
Central Valley Community Bancorp   357     8,336
Chemung Financial Corp.   161     7,517
Citigroup, Inc.   34,154     1,823,824
Citizens & Northern Corp.   324     7,899
Citizens Financial Group, Inc.   7,007     317,627
City Holding Company   404     31,795
Civista Bancshares, Inc.   342     8,242
CNB Financial Corp.   426     11,212
Codorus Valley Bancorp, Inc.   267     5,874
Columbia Banking System, Inc.   1,479     47,727
 
  292  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Comerica, Inc.   2,345   $ 212,058
Commerce Bancshares, Inc.   1,726     123,564
Community Bank System, Inc.   863     60,539
Community Trust Bancorp, Inc.   310     12,772
ConnectOne Bancorp, Inc.   882     28,233
Cullen/Frost Bankers, Inc.   1,137     157,372
Customers Bancorp, Inc. (A)   631     32,900
Dime Community Bancshares, Inc.   892     30,836
Eagle Bancorp, Inc.   547     31,184
East West Bancorp, Inc.   2,465     194,784
Eastern Bankshares, Inc.   1,120     24,125
Enterprise Bancorp, Inc.   327     13,119
Enterprise Financial Services Corp.   834     39,457
Equity Bancshares, Inc., Class A   331     10,695
Esquire Financial Holdings, Inc. (A)   291     9,781
Farmers & Merchants Bancorp, Inc.   233     8,423
FB Financial Corp.   964     42,821
Fidelity D&D Bancorp, Inc.   112     5,200
Fifth Third Bancorp   11,941     513,941
Financial Institutions, Inc.   417     12,564
First Bancorp (North Carolina)   687     28,696
First Bancorp (Puerto Rico)   3,172     41,617
First Busey Corp.   1,265     32,055
First Citizens BancShares, Inc., Class A   221     147,098
First Commonwealth Financial Corp.   2,106     31,927
First Community Bankshares, Inc.   247     6,968
First Financial Bancorp   2,135     49,212
First Financial Bankshares, Inc.   2,542     112,153
First Financial Corp.   338     14,629
First Financial Northwest, Inc.   388     6,639
First Hawaiian, Inc.   2,545     70,980
First Horizon Corp.   10,207     239,762
First Internet Bancorp   224     9,634
First Interstate BancSystem, Inc., Class A   2,298     84,497
First Merchants Corp.   1,109     46,134
First Republic Bank   2,911     471,873
Flushing Financial Corp.   465     10,393
FNB Corp.   6,123     76,231
Fulton Financial Corp.   2,866     47,633
FVCBankcorp, Inc. (A)   432     8,964
German American Bancorp, Inc.   635     24,124
Glacier Bancorp, Inc.   1,985     99,806
Great Southern Bancorp, Inc.   369     21,775
Guaranty Bancshares, Inc.   278     9,730
Hancock Whitney Corp.   1,723     89,854
Hanmi Financial Corp.   645     15,873
HarborOne Bancorp, Inc.   1,624     22,768
Heartland Financial USA, Inc.   771     36,877
Heritage Commerce Corp.   1,034     11,633
Heritage Financial Corp.   813     20,374
Hilltop Holdings, Inc.   1,026     30,164
Home BancShares, Inc.   3,102     70,105
HomeStreet, Inc.   402     19,047
Hope Bancorp, Inc.   2,740     44,059
Horizon Bancorp, Inc.   951     17,755
Huntington Bancshares, Inc.   25,395     371,275
Independent Bank Corp. (Massachusetts)   711     58,082
Independent Bank Corp. (Michigan)   561     12,342
Independent Bank Group, Inc.   910     64,756
International Bancshares Corp.   1,166     49,217
Investar Holding Corp.   319     6,090
Investors Bancorp, Inc.   4,291     64,065
JPMorgan Chase & Co.   51,081     6,963,362
KeyCorp   15,697     351,299
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Lakeland Bancorp, Inc.   1,308   $ 21,844
Lakeland Financial Corp.   520     37,960
Live Oak Bancshares, Inc.   804     40,916
M&T Bank Corp.   1,974     334,593
Macatawa Bank Corp.   926     8,343
Mercantile Bank Corp.   434     15,372
Meta Financial Group, Inc.   629     34,545
Metropolitan Bank Holding Corp. (A)   184     18,726
Midland States Bancorp, Inc.   539     15,556
MidWestOne Financial Group, Inc.   336     11,122
MVB Financial Corp.   370     15,355
National Bank Holdings Corp., Class A   721     29,042
National Bankshares, Inc.   188     6,992
NBT Bancorp, Inc.   501     18,101
Nicolet Bankshares, Inc. (A)   105     9,825
Northrim BanCorp, Inc.   222     9,673
Northwest Bancshares, Inc.   2,105     28,439
Norwood Financial Corp.   211     6,032
OceanFirst Financial Corp.   1,155     23,216
OFG Bancorp   1,126     29,997
Old National Bancorp   4,364     71,482
Old Second Bancorp, Inc.   816     11,840
Origin Bancorp, Inc.   516     21,822
Pacific Premier Bancorp, Inc.   1,278     45,177
PacWest Bancorp   2,065     89,063
Park National Corp.   210     27,590
Peapack-Gladstone Financial Corp.   485     16,854
Penns Woods Bancorp, Inc.   222     5,423
Peoples Bancorp of North Carolina, Inc.   237     6,802
Peoples Bancorp, Inc.   778     24,359
People's United Financial, Inc.   7,377     147,466
Pinnacle Financial Partners, Inc.   1,369     126,058
Popular, Inc.   399     32,614
Preferred Bank   341     25,265
Primis Financial Corp.   655     9,157
Prosperity Bancshares, Inc.   925     64,177
QCR Holdings, Inc.   353     19,976
RBB Bancorp   407     9,560
Red River Bancshares, Inc.   155     8,201
Regions Financial Corp.   16,840     374,858
Renasant Corp.   1,124     37,598
Republic Bancorp, Inc., Class A   425     19,100
Republic First Bancorp, Inc. (A)   1,584     8,173
S&T Bancorp, Inc.   768     22,717
Sandy Spring Bancorp, Inc.   750     33,690
Seacoast Banking Corp. of Florida   1,186     41,534
ServisFirst Bancshares, Inc.   997     95,004
Shore Bancshares, Inc.   488     9,994
Sierra Bancorp   373     9,318
Signature Bank   1,007     295,544
Silvergate Capital Corp., Class A (A)   431     64,896
Simmons First National Corp., Class A   1,970     51,653
South Plains Financial, Inc.   426     11,323
Southern First Bancshares, Inc. (A)   207     10,524
Southside Bancshares, Inc.   820     33,481
SouthState Corp.   1,328     108,352
Spirit of Texas Bancshares, Inc.   334     8,778
Stock Yards Bancorp, Inc.   419     22,165
Summit Financial Group, Inc.   334     8,547
SVB Financial Group (A)   1,028     575,115
Synovus Financial Corp.   2,710     132,790
Texas Capital Bancshares, Inc. (A)   987     56,565
The Bancorp, Inc. (A)   1,124     31,843
The Bank of Princeton   248     7,155
The First Bancorp, Inc.   302     9,084
 
  293  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
The First of Long Island Corp.   648   $ 12,610
The PNC Financial Services Group, Inc.   7,243     1,335,971
Tompkins Financial Corp.   330     25,829
Towne Bank   1,654     49,521
TriCo Bancshares   636     25,459
TriState Capital Holdings, Inc. (A)   675     22,430
Triumph Bancorp, Inc. (A)   474     44,565
Truist Financial Corp.   23,172     1,313,852
Trustmark Corp.   1,219     37,045
U.S. Bancorp   25,608     1,361,065
UMB Financial Corp.   563     54,701
Umpqua Holdings Corp.   4,355     82,135
United Bankshares, Inc.   2,146     74,852
United Community Banks, Inc.   1,695     58,986
Unity Bancorp, Inc.   355     9,933
Univest Financial Corp.   733     19,615
Valley National Bancorp   7,874     102,519
Veritex Holdings, Inc.   1,027     39,201
Washington Trust Bancorp, Inc.   335     17,588
Webster Financial Corp.   3,355     188,283
Wells Fargo & Company   69,097     3,348,441
WesBanco, Inc.   1,220     41,919
West BanCorp, Inc.   463     12,598
Western Alliance Bancorp   1,862     154,211
Wintrust Financial Corp.   1,057     98,227
Zions Bancorp NA   2,660     174,390
          33,080,745
Capital markets – 3.2%      
Affiliated Managers Group, Inc.   750     105,713
AllianceBernstein Holding LP   1,953     91,830
Ameriprise Financial, Inc.   1,945     584,200
Apollo Investment Corp.   1,528     20,200
Ares Capital Corp. (B)   8,591     179,981
Ares Management Corp., Class A   4,922     399,814
Artisan Partners Asset Management, Inc., Class A   1,550     60,993
AssetMark Financial Holdings, Inc. (A)   1,278     28,436
Associated Capital Group, Inc., Class A   454     19,027
Bain Capital Specialty Finance, Inc.   1,190     18,552
Barings BDC, Inc.   1,926     19,915
BGC Partners, Inc., Class A   7,348     32,331
BlackRock Capital Investment Corp.   2,127     8,955
BlackRock TCP Capital Corp.   1,134     16,216
BlackRock, Inc.   2,622     2,003,654
Blucora, Inc. (A)   1,076     21,036
Bridge Investment Group Holdings, Inc., Class A   1,456     29,630
Capital Southwest Corp.   445     10,560
Cboe Global Markets, Inc.   1,904     217,856
CME Group, Inc.   6,220     1,479,489
Cohen & Steers, Inc.   930     79,878
Coinbase Global, Inc., Class A (A)   3,735     709,127
Cowen, Inc., Class A   420     11,382
Diamond Hill Investment Group, Inc.   83     15,546
Donnelley Financial Solutions, Inc. (A)   686     22,816
Ellington Financial, Inc.   880     15,620
Evercore, Inc., Class A   743     82,711
FactSet Research Systems, Inc.   632     274,383
Federated Hermes, Inc.   1,908     64,986
Fidus Investment Corp.   605     12,209
Focus Financial Partners, Inc., Class A (A)   1,365     62,435
Franklin Resources, Inc.   8,892     248,265
FS KKR Capital Corp.   3,921     89,477
GAMCO Investors, Inc., Class A   443     9,795
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets (continued)      
Gladstone Capital Corp.   801   $ 9,444
Gladstone Investment Corp.   797     12,856
Goldman Sachs BDC, Inc.   967     18,963
Golub Capital BDC, Inc.   1,363     20,731
Hamilton Lane, Inc., Class A   1,002     77,445
Hercules Capital, Inc.   2,271     41,037
Houlihan Lokey, Inc.   1,199     105,272
Interactive Brokers Group, Inc., Class A   1,612     106,247
Intercontinental Exchange, Inc.   9,750     1,288,170
Invesco, Ltd.   8,371     193,035
Jefferies Financial Group, Inc.   3,974     130,546
Lazard, Ltd., Class A   2,068     71,346
LPL Financial Holdings, Inc.   1,424     260,136
Main Street Capital Corp.   1,316     56,114
MarketAxess Holdings, Inc.   691     235,078
MarketWise, Inc. (A)   5,323     25,125
Moelis & Company, Class A   1,258     59,063
Monroe Capital Corp.   561     6,053
Moody's Corp.   3,214     1,084,436
Morgan Stanley   31,121     2,719,975
Morningstar, Inc.   757     206,790
MSCI, Inc.   1,429     718,616
Nasdaq, Inc.   2,794     497,891
New Mountain Finance Corp.   2,060     28,531
Newtek Business Services Corp.   477     12,736
Northern Trust Corp.   3,051     355,289
Oaktree Specialty Lending Corp.   2,519     18,565
Open Lending Corp., Class A (A)   2,053     38,822
Oppenheimer Holdings, Inc., Class A   169     7,365
Owl Rock Capital Corp.   4,673     69,067
Oxford Square Capital Corp.   1,411     5,912
P10, Inc., Class A (A)   510     6,181
P10, Inc., Class B (A)   665     8,060
PennantPark Floating Rate Capital, Ltd.   874     11,808
PennantPark Investment Corp.   1,841     14,323
Perella Weinberg Partners   815     7,702
Piper Sandler Companies   319     41,869
Portman Ridge Finance Corp.   340     8,221
Prospect Capital Corp.   8,135     67,358
Pzena Investment Management, Inc., Class A   1,693     13,578
Raymond James Financial, Inc.   3,624     398,314
Robinhood Markets, Inc., Class A (A)(B)   14,944     201,893
S&P Global, Inc.   4,176     1,712,912
Sculptor Capital Management, Inc.   1,110     15,462
SEI Investments Company   2,654     159,797
Sixth Street Specialty Lending, Inc.   1,483     34,539
SLR Investment Corp.   825     14,957
SLR Senior Investment Corp.   444     6,287
State Street Corp.   6,212     541,189
Stellus Capital Investment Corp.   500     6,945
StepStone Group, Inc., Class A   1,560     51,574
Stifel Financial Corp.   1,931     131,115
StoneX Group, Inc. (A)   429     31,845
T. Rowe Price Group, Inc.   3,937     595,235
TCG BDC, Inc.   1,406     20,232
The Bank of New York Mellon Corp.   14,377     713,531
The Blackstone Group, Inc.   12,005     1,523,915
The Carlyle Group, Inc.   6,347     310,432
The Charles Schwab Corp.   31,524     2,657,788
The Goldman Sachs Group, Inc.   5,862     1,935,066
Tradeweb Markets, Inc., Class A   4,165     365,979
TriplePoint Venture Growth BDC Corp.   568     9,917
Victory Capital Holdings, Inc., Class A   1,360     39,263
Virtu Financial, Inc., Class A   3,293     122,565
 
  294  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets (continued)      
Virtus Investment Partners, Inc.   128   $ 30,719
WhiteHorse Finance, Inc.   557     8,400
WisdomTree Investments, Inc.   3,365     19,753
          27,366,398
Consumer finance – 0.6%      
Ally Financial, Inc.   6,328     275,141
American Express Company   13,463     2,517,581
Atlanticus Holdings Corp. (A)   243     12,585
Capital One Financial Corp.   7,319     960,912
Credit Acceptance Corp. (A)   282     155,204
Curo Group Holdings Corp.   881     11,497
Discover Financial Services   5,106     562,630
Elevate Credit, Inc. (A)   1,491     4,562
Encore Capital Group, Inc. (A)   602     37,763
Enova International, Inc. (A)   722     27,414
EZCORP, Inc., Class A (A)   1,448     8,746
FirstCash Holdings, Inc.   795     55,920
Green Dot Corp., Class A (A)   1,032     28,359
LendingTree, Inc. (A)   258     30,875
Moneylion, Inc. (A)   3,076     7,721
Navient Corp.   2,658     45,292
Nelnet, Inc., Class A   367     31,191
OneMain Holdings, Inc.   2,241     106,246
Oportun Financial Corp. (A)   399     5,730
OppFi, Inc. (A)   1,374     4,713
PRA Group, Inc. (A)   907     40,888
PROG Holdings, Inc. (A)   1,223     35,186
Regional Management Corp.   233     11,317
SLM Corp.   5,172     94,958
Sunlight Financial Holdings, Inc. (A)(B)   1,462     7,368
Synchrony Financial   9,564     332,923
Upstart Holdings, Inc. (A)   1,379     150,435
World Acceptance Corp. (A)   133     25,515
          5,588,672
Diversified financial services – 1.6%      
Berkshire Hathaway, Inc., Class A (A)   10     5,289,210
Berkshire Hathaway, Inc., Class B (A)   22,849     8,063,641
Equitable Holdings, Inc.   7,339     226,848
GWG Holdings, Inc. (A)   813     4,406
Jackson Financial, Inc., Class A   1,342     59,357
Voya Financial, Inc.   1,952     129,515
          13,772,977
Insurance – 1.8%      
Aflac, Inc.   11,403     734,239
Alleghany Corp. (A)   196     166,012
American Equity Investment Life Holding Company   1,171     46,735
American Financial Group, Inc.   1,512     220,177
American International Group, Inc.   14,557     913,743
American National Group, Inc.   390     73,745
AMERISAFE, Inc.   412     20,464
Arch Capital Group, Ltd. (A)   6,857     332,016
Argo Group International Holdings, Ltd.   742     30,630
Arthur J. Gallagher & Company   3,607     629,782
Assurant, Inc.   1,010     183,648
Assured Guaranty, Ltd.   1,384     88,105
Axis Capital Holdings, Ltd.   1,644     99,413
Bright Health Group, Inc. (A)   10,245     19,773
Brighthouse Financial, Inc. (A)   1,248     64,472
Brown & Brown, Inc.   5,004     361,639
BRP Group, Inc., Class A (A)   1,594     42,767
Cincinnati Financial Corp.   2,861     388,982
Citizens, Inc. (A)   1,370     5,809
CNA Financial Corp.   4,865     236,536
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
CNO Financial Group, Inc.   2,523   $ 63,302
Crawford & Company, Class B   1,283     9,353
Donegal Group, Inc., Class A   786     10,540
eHealth, Inc. (A)   490     6,081
Employers Holdings, Inc.   692     28,386
Enstar Group, Ltd. (A)   196     51,185
Erie Indemnity Company, Class A   826     145,483
Everest Re Group, Ltd.   580     174,800
Fidelity National Financial, Inc.   5,105     249,328
First American Financial Corp.   1,930     125,103
Genworth Financial, Inc., Class A (A)   9,602     36,296
Globe Life, Inc.   1,425     143,355
GoHealth, Inc., Class A (A)   5,260     6,207
Goosehead Insurance, Inc., Class A   660     51,856
Hagerty, Inc., Class A (A)   1,923     20,749
HCI Group, Inc.   170     11,591
Heritage Insurance Holdings, Inc.   734     5,241
Hippo Holdings, Inc. (A)   8,118     16,155
Horace Mann Educators Corp.   900     37,647
Investors Title Company   50     10,161
Kemper Corp.   1,246     70,449
Kinsale Capital Group, Inc.   439     100,101
Lemonade, Inc. (A)(B)   1,078     28,427
Lincoln National Corp.   3,198     209,021
Loews Corp.   4,301     278,791
Markel Corp. (A)   208     306,850
Marsh & McLennan Companies, Inc.   8,748     1,490,834
MBIA, Inc. (A)   1,204     18,530
Mercury General Corp.   1,045     57,475
MetLife, Inc.   14,511     1,019,833
National Western Life Group, Inc., Class A   35     7,364
NI Holdings, Inc. (A)   641     10,871
Old Republic International Corp.   5,558     143,785
Oscar Health, Inc., Class A (A)   3,277     32,672
Palomar Holdings, Inc. (A)   514     32,891
Primerica, Inc.   705     96,458
Principal Financial Group, Inc.   4,660     342,091
ProAssurance Corp.   1,182     31,772
Prudential Financial, Inc.   6,524     770,941
Reinsurance Group of America, Inc.   1,261     138,029
RenaissanceRe Holdings, Ltd.   725     114,920
RLI Corp.   907     100,341
Root, Inc., Class A (A)   4,139     8,154
Ryan Specialty Group Holdings, Inc., Class A (A)   4,244     164,625
Safety Insurance Group, Inc.   334     30,344
Selective Insurance Group, Inc.   1,178     105,266
Selectquote, Inc. (A)   2,662     7,427
Stewart Information Services Corp.   487     29,517
The Allstate Corp.   4,827     668,588
The Hanover Insurance Group, Inc.   641     95,842
The Hartford Financial Services Group, Inc.   5,802     416,642
The Progressive Corp.   9,834     1,120,978
The Travelers Companies, Inc.   4,252     776,968
Trean Insurance Group, Inc. (A)   448     2,101
Trupanion, Inc. (A)   731     65,147
United Fire Group, Inc.   546     16,964
United Insurance Holdings Corp.   1,080     3,575
Universal Insurance Holdings, Inc.   656     8,849
Unum Group   3,143     99,036
W.R. Berkley Corp.   4,727     314,738
 
  295  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
White Mountains Insurance Group, Ltd.   18   $ 20,452
          15,219,165
Mortgage real estate investment trusts – 0.1%      
AGNC Investment Corp.   6,319     82,779
Angel Oak Mortgage, Inc.   54     886
Annaly Capital Management, Inc.   21,305     149,987
Apollo Commercial Real Estate Finance, Inc.   3,205     44,646
Arbor Realty Trust, Inc.   2,208     37,668
Ares Commercial Real Estate Corp.   789     12,245
ARMOUR Residential REIT, Inc.   1,413     11,869
Blackstone Mortgage Trust, Inc., Class A   2,768     87,995
BrightSpire Capital, Inc.   2,808     25,974
Broadmark Realty Capital, Inc.   2,185     18,900
Chimera Investment Corp.   3,772     45,415
Dynex Capital, Inc.   611     9,898
Ellington Residential Mortgage REIT   471     4,752
Franklin BSP Realty Trust, Inc.   474     6,627
Granite Point Mortgage Trust, Inc.   1,105     12,288
Great Ajax Corp.   553     6,487
Hannon Armstrong Sustainable Infrastructure Capital, Inc.   1,402     66,497
Invesco Mortgage Capital, Inc.   3,300     7,524
KKR Real Estate Finance Trust, Inc.   1,084     22,341
Ladder Capital Corp.   2,535     30,090
MFA Financial, Inc.   9,090     36,633
New Residential Investment Corp.   8,506     93,396
New York Mortgage Trust, Inc.   5,225     19,071
Orchid Island Capital, Inc.   1,157     3,760
PennyMac Mortgage Investment Trust   1,761     29,743
Ready Capital Corp.   1,430     21,536
Redwood Trust, Inc.   2,127     22,397
Starwood Property Trust, Inc.   5,131     124,016
TPG RE Finance Trust, Inc.   1,656     19,557
Two Harbors Investment Corp.   5,815     32,157
          1,087,134
Thrifts and mortgage finance – 0.2%      
Axos Financial, Inc. (A)   1,166     54,091
Bridgewater Bancshares, Inc. (A)   655     10,925
Capitol Federal Financial, Inc.   1,954     21,260
Columbia Financial, Inc. (A)   2,244     48,268
Enact Holdings, Inc.   1,803     40,117
Federal Agricultural Mortgage Corp., Class C   191     20,720
Federal Home Loan Mortgage Corp. (A)   12,537     9,842
Federal National Mortgage Association (A)   21,500     16,878
Flagstar Bancorp, Inc.   306     12,974
Home Bancorp, Inc.   185     7,546
Home Point Capital, Inc.   1,484     4,615
Kearny Financial Corp.   2,110     27,177
LoanDepot, Inc., Class A   1,864     7,736
Luther Burbank Corp.   1,316     17,490
Merchants Bancorp   927     25,381
MGIC Investment Corp.   6,208     84,118
New York Community Bancorp, Inc.   6,179     66,239
NMI Holdings, Inc., Class A (A)   1,463     30,167
Northfield Bancorp, Inc.   1,247     17,907
Ocwen Financial Corp. (A)   244     5,797
PCSB Financial Corp.   498     9,517
PennyMac Financial Services, Inc.   824     43,837
Ponce Financial Group, Inc. (A)   711     7,380
Premier Financial Corp.   968     29,359
Provident Bancorp, Inc.   677     10,981
Provident Financial Services, Inc.   1,019     23,845
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Thrifts and mortgage finance (continued)      
Radian Group, Inc.   3,380   $ 75,070
Riverview Bancorp, Inc.   881     6,652
Rocket Companies, Inc., Class A (B)   35,065     389,923
Southern Missouri Bancorp, Inc.   216     10,789
Sterling Bancorp, Inc. (A)   1,248     8,861
Territorial Bancorp, Inc.   238     5,712
TFS Financial Corp.   3,937     65,354
Timberland Bancorp, Inc.   255     6,888
TrustCo Bank Corp. NY   512     16,348
Velocity Financial, Inc. (A)   372     4,070
Walker & Dunlop, Inc.   597     77,264
Washington Federal, Inc.   1,028     33,739
Western New England Bancorp, Inc.   789     7,054
WSFS Financial Corp.   1,257     58,601
          1,420,492
          97,535,583
Health care – 12.5%          
Biotechnology – 2.3%      
2seventy bio, Inc. (A)   390     6,653
4D Molecular Therapeutics, Inc. (A)   496     7,500
89bio, Inc. (A)   290     1,093
Aadi Bioscience, Inc. (A)   304     5,159
AbbVie, Inc.   30,633     4,965,916
ACADIA Pharmaceuticals, Inc. (A)   3,016     73,048
Achieve Life Sciences, Inc. (A)   143     1,083
Achillion Pharmaceuticals, Inc. (A)(C)   3,410     5,128
Acorda Therapeutics, Inc. (A)   1,089     1,753
Acumen Pharmaceuticals, Inc. (A)   542     2,119
Adagio Therapeutics, Inc. (A)(B)   1,879     8,568
Adicet Bio, Inc. (A)   572     11,423
Aduro Biotech, Inc. (A)(C)   312     936
Adverum Biotechnologies, Inc. (A)   1,924     2,520
Aeglea BioTherapeutics, Inc. (A)   903     2,077
Aerovate Therapeutics, Inc. (A)   373     6,837
Agenus, Inc. (A)   4,171     10,261
Agios Pharmaceuticals, Inc. (A)   1,160     33,768
Akebia Therapeutics, Inc. (A)   3,771     2,707
Akero Therapeutics, Inc. (A)   639     9,067
Akouos, Inc. (A)   482     2,290
Albireo Pharma, Inc. (A)   301     8,979
Aldeyra Therapeutics, Inc. (A)   1,796     7,983
Alector, Inc. (A)   1,508     21,489
Aligos Therapeutics, Inc. (A)   892     1,918
Alkermes PLC (A)   3,013     79,272
Allakos, Inc. (A)   1,058     6,031
Allogene Therapeutics, Inc. (A)   2,589     23,586
Allovir, Inc. (A)   1,052     7,101
Alnylam Pharmaceuticals, Inc. (A)   2,118     345,848
Alpine Immune Sciences, Inc. (A)   365     3,274
Altimmune, Inc. (A)   589     3,587
ALX Oncology Holdings, Inc. (A)   659     11,137
Alzamend Neuro, Inc. (A)   1,857     2,284
Ambit Biosciences Corp. (A)(C)   515     309
Amgen, Inc.   9,714     2,349,039
Amicus Therapeutics, Inc. (A)   4,973     47,094
AnaptysBio, Inc. (A)   595     14,720
Anika Therapeutics, Inc. (A)   318     7,985
Anixa Biosciences, Inc. (A)   267     732
Annexon, Inc. (A)   706     1,927
Annovis Bio, Inc. (A)   176     2,350
Apellis Pharmaceuticals, Inc. (A)   1,496     76,012
Applied Genetic Technologies Corp. (A)   643     688
Applied Molecular Transport, Inc. (A)   578     4,347
Applied Therapeutics, Inc. (A)   1,062     2,241
Aprea Therapeutics, Inc. (A)   81     151
 
  296  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Aptevo Therapeutics, Inc. (A)   400   $ 2,348
Aptinyx, Inc. (A)   846     1,920
AquaBounty Technologies, Inc. (A)   655     1,225
Aravive, Inc. (A)   878     1,695
Arcus Biosciences, Inc. (A)   1,192     37,620
Arcutis Biotherapeutics, Inc. (A)   769     14,811
Aridis Pharmaceuticals, Inc. (A)   495     871
Arrowhead Pharmaceuticals, Inc. (A)   1,889     86,875
Assembly Biosciences, Inc. (A)   313     645
Astria Therapeutics, Inc. (A)   687     4,610
Atara Biotherapeutics, Inc. (A)   1,373     12,755
Atossa Therapeutics, Inc. (A)   2,862     3,578
Atreca, Inc., Class A (A)   921     2,920
aTyr Pharma, Inc. (A)   237     1,268
Aura Biosciences, Inc. (A)   353     7,766
AVEO Pharmaceuticals, Inc. (A)   932     5,210
Avid Bioservices, Inc. (A)   992     20,207
Avidity Biosciences, Inc. (A)   655     12,098
Avrobio, Inc. (A)   1,365     1,802
Axcella Health, Inc. (A)   1,360     3,495
Ayala Pharmaceuticals, Inc. (A)   641     2,551
Beam Therapeutics, Inc. (A)   1,141     65,379
BioAtla, Inc. (A)   475     2,375
BioCryst Pharmaceuticals, Inc. (A)   2,966     48,227
Biogen, Inc. (A)   2,547     536,398
BioMarin Pharmaceutical, Inc. (A)   3,260     251,346
Biomea Fusion, Inc. (A)   491     2,190
Bioxcel Therapeutics, Inc. (A)   460     9,619
Black Diamond Therapeutics, Inc. (A)   960     2,659
Bluebird Bio, Inc. (A)   1,170     5,675
Blueprint Medicines Corp. (A)   1,044     66,691
Bolt Biotherapeutics, Inc. (A)   1,138     3,118
Bridgebio Pharma, Inc. (A)   2,737     27,781
Brooklyn ImmunoTherapeutics, Inc. (A)(B)   1,476     3,026
C4 Therapeutics, Inc. (A)   755     18,316
Cabaletta Bio, Inc. (A)   1,103     2,239
Calyxt, Inc. (A)   2,135     2,220
Candel Therapeutics, Inc. (A)   431     2,194
Capricor Therapeutics, Inc. (A)(B)   880     3,018
Cardiff Oncology, Inc. (A)   1,062     2,634
CareDx, Inc. (A)   890     32,921
Caribou Biosciences, Inc. (A)   895     8,216
Catalyst Pharmaceuticals, Inc. (A)   2,142     17,757
Celcuity, Inc. (A)   72     673
Celldex Therapeutics, Inc. (A)   768     26,158
CEL-SCI Corp. (A)(B)   784     3,081
Celularity, Inc. (A)(B)   1,786     15,556
Century Therapeutics, Inc. (A)   839     10,563
Checkmate Pharmaceuticals, Inc. (A)   1,186     3,783
Checkpoint Therapeutics, Inc. (A)   779     1,379
ChemoCentryx, Inc. (A)   1,259     31,563
Chimerix, Inc. (A)   1,055     4,832
Chinook Therapeutics, Inc. (A)   797     13,039
Clovis Oncology, Inc. (A)   2,846     5,749
Codiak Biosciences, Inc. (A)   715     4,483
Cogent Biosciences, Inc. (A)   816     6,112
Coherus Biosciences, Inc. (A)   1,434     18,513
Concert Pharmaceuticals, Inc. (A)   1,605     5,409
Cortexyme, Inc. (A)   576     3,565
Corvus Pharmaceuticals, Inc. (A)   1,318     2,162
Crinetics Pharmaceuticals, Inc. (A)   678     14,882
CTI BioPharma Corp. (A)   2,424     11,320
Cue Biopharma, Inc. (A)   664     3,240
Cullinan Oncology, Inc. (A)   632     6,617
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Curis, Inc. (A)   1,714   $ 4,079
Cyclacel Pharmaceuticals, Inc. (A)   42     128
Cyclerion Therapeutics, Inc. (A)   2,735     3,036
Cyteir Therapeutics, Inc. (A)   402     1,516
Cytokinetics, Inc. (A)   1,360     50,062
CytomX Therapeutics, Inc. (A)   1,192     3,183
Day One Biopharmaceuticals, Inc. (A)   960     9,523
Decibel Therapeutics, Inc. (A)   543     1,651
Deciphera Pharmaceuticals, Inc. (A)   1,040     9,641
Denali Therapeutics, Inc. (A)   2,075     66,753
Design Therapeutics, Inc. (A)   812     13,114
Dynavax Technologies Corp. (A)   1,897     20,563
Dyne Therapeutics, Inc. (A)   642     6,189
Eagle Pharmaceuticals, Inc. (A)   282     13,956
Editas Medicine, Inc. (A)   1,143     21,740
eFFECTOR Therapeutics, Inc. (A)(B)   584     2,342
Eiger BioPharmaceuticals, Inc. (A)   622     5,163
Eledon Pharmaceuticals, Inc. (A)   188     741
Elevation Oncology, Inc. (A)   551     1,389
Eliem Therapeutics, Inc. (A)   571     4,791
Emergent BioSolutions, Inc. (A)   1,025     42,087
Enanta Pharmaceuticals, Inc. (A)   386     27,475
Entasis Therapeutics Holdings, Inc. (A)   1,850     3,460
Entrada Therapeutics, Inc. (A)   489     4,592
Epizyme, Inc. (A)   1,858     2,137
EQRx, Inc. (A)(B)   6,419     26,510
Equillium, Inc. (A)   835     2,630
Erasca, Inc. (A)(B)   1,961     16,865
Evelo Biosciences, Inc. (A)   1,166     3,953
Exact Sciences Corp. (A)   3,078     215,214
Exagen, Inc. (A)   108     867
Exelixis, Inc. (A)   5,688     128,947
Fate Therapeutics, Inc. (A)   1,608     62,342
Fennec Pharmaceuticals, Inc. (A)   143     801
FibroGen, Inc. (A)   1,854     22,285
Finch Therapeutics Group, Inc. (A)   739     3,717
First Wave Biopharma, Inc. (A)   1,623     1,720
Flexion Therapeutics, Inc. (A)(C)   867     538
Foghorn Therapeutics, Inc. (A)   592     9,016
Forma Therapeutics Holdings, Inc. (A)   728     6,770
Forte Biosciences, Inc. (A)   1,003     1,464
Fortress Biotech, Inc. (A)   1,857     2,526
Frequency Therapeutics, Inc. (A)   850     1,802
F-star Therapeutics, Inc. (A)   714     2,535
G1 Therapeutics, Inc. (A)   777     5,905
Gain Therapeutics, Inc. (A)   90     367
Galectin Therapeutics, Inc. (A)   1,506     2,425
Galera Therapeutics, Inc. (A)   1,618     3,851
Generation Bio Company (A)   1,161     8,522
Geron Corp. (A)   4,452     6,055
Gilead Sciences, Inc.   21,600     1,284,120
Global Blood Therapeutics, Inc. (A)   1,168     40,460
GlycoMimetics, Inc. (A)   1,667     1,900
Gossamer Bio, Inc. (A)   1,462     12,690
Graphite Bio, Inc. (A)   860     4,386
Greenwich Lifesciences, Inc. (A)   123     2,413
Gritstone bio, Inc. (A)   987     4,066
GTX Corp. (A)(C)   38     0
Halozyme Therapeutics, Inc. (A)   2,610     104,087
Harpoon Therapeutics, Inc. (A)   708     3,519
HCW Biologics, Inc. (A)   838     2,288
Heron Therapeutics, Inc. (A)   1,487     8,506
Homology Medicines, Inc. (A)   999     3,037
Hookipa Pharma, Inc. (A)   753     1,717
Horizon Therapeutics PLC (A)   3,931     413,581
 
  297  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Humacyte, Inc. (A)   1,629   $ 11,501
Icosavax, Inc. (A)   553     3,893
Ideaya Biosciences, Inc. (A)   547     6,121
IGM Biosciences, Inc. (A)   619     16,546
Imago Biosciences, Inc. (A)   528     10,175
Immuneering Corp., Class A (A)   361     2,336
Immunic, Inc. (A)   341     3,853
ImmunityBio, Inc. (A)   6,612     37,093
ImmunoGen, Inc. (A)   3,467     16,503
Immunome, Inc. (A)   203     1,153
Immunovant, Inc. (A)   1,756     9,676
Impel Neuropharma, Inc. (A)   519     3,306
IN8bio, Inc. (A)   585     2,030
Incyte Corp. (A)   3,956     314,186
Indaptus Therapeutics, Inc. (A)   527     2,108
Infinity Pharmaceuticals, Inc. (A)   736     839
Inhibrx, Inc. (A)   678     15,106
Inmune Bio, Inc. (A)   473     3,983
Inovio Pharmaceuticals, Inc. (A)   3,313     11,894
Inozyme Pharma, Inc. (A)   748     3,059
Insmed, Inc. (A)   1,924     45,214
Instil Bio, Inc. (A)   2,107     22,650
Intellia Therapeutics, Inc. (A)   1,264     91,855
Intercept Pharmaceuticals, Inc. (A)   671     10,917
Ionis Pharmaceuticals, Inc. (A)   2,584     95,711
Ironwood Pharmaceuticals, Inc. (A)   3,112     39,149
iTeos Therapeutics, Inc. (A)   554     17,828
IVERIC bio, Inc. (A)   1,864     31,371
Janux Therapeutics, Inc. (A)(B)   624     8,948
Jasper Therapeutics, Inc. (A)(B)   483     1,715
Jounce Therapeutics, Inc. (A)   886     6,016
KalVista Pharmaceuticals, Inc. (A)   368     5,424
Karuna Therapeutics, Inc. (A)   532     67,452
Keros Therapeutics, Inc. (A)   375     20,393
Kezar Life Sciences, Inc. (A)   542     9,008
Kiniksa Pharmaceuticals, Ltd., Class A (A)   1,104     10,974
Kinnate Biopharma, Inc. (A)   602     6,779
Kiromic BioPharma, Inc. (A)   1,498     1,279
Kodiak Sciences, Inc. (A)   899     6,940
Kronos Bio, Inc. (A)   803     5,806
Krystal Biotech, Inc. (A)   389     25,884
Kura Oncology, Inc. (A)   1,043     16,771
Kymera Therapeutics, Inc. (A)   836     35,380
Lantern Pharma, Inc. (A)   42     300
Larimar Therapeutics, Inc. (A)   512     2,074
Leap Therapeutics, Inc. (A)   2,212     3,871
Lexicon Pharmaceuticals, Inc. (A)   2,562     5,355
Ligand Pharmaceuticals, Inc. (A)   309     34,759
Lineage Cell Therapeutics, Inc. (A)   2,770     4,266
LogicBio Therapeutics, Inc. (A)   1,123     764
Lumos Pharma, Inc. (A)   43     406
Lyell Immunopharma, Inc. (A)   3,921     19,801
MacroGenics, Inc. (A)   1,031     9,083
Madrigal Pharmaceuticals, Inc. (A)   323     31,693
Magenta Therapeutics, Inc. (A)   1,319     3,825
MannKind Corp. (A)   3,858     14,197
Matinas BioPharma Holdings, Inc. (A)   5,353     4,306
MediciNova, Inc. (A)   1,166     3,113
MEI Pharma, Inc. (A)   2,438     1,469
MeiraGTx Holdings PLC (A)   698     9,667
Mersana Therapeutics, Inc. (A)   1,237     4,936
MiNK Therapeutics, Inc. (A)   1,075     2,419
Mirum Pharmaceuticals, Inc. (A)   659     14,511
Moderna, Inc. (A)   7,052     1,214,778
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Molecular Templates, Inc. (A)   1,349   $ 4,654
Moleculin Biotech, Inc. (A)   1,608     2,862
Monte Rosa Therapeutics, Inc. (A)   877     12,296
Morphic Holding, Inc. (A)   687     27,583
Mustang Bio, Inc. (A)   2,606     2,632
Myriad Genetics, Inc. (A)   1,496     37,699
Natera, Inc. (A)   1,602     65,169
Neoleukin Therapeutics, Inc. (A)   455     855
NeuroBo Pharmaceuticals, Inc. (A)   905     816
Neurocrine Biosciences, Inc. (A)   1,740     163,125
NexImmune, Inc. (A)   655     2,758
NextCure, Inc. (A)   542     2,634
Nkarta, Inc. (A)   548     6,236
Northwest Biotherapeutics, Inc. (A)   11,656     8,124
Novavax, Inc. (A)(B)   1,306     96,187
Nurix Therapeutics, Inc. (A)   723     10,129
Nuvalent, Inc., Class A (A)   753     10,459
Ocugen, Inc. (A)(B)   3,119     10,293
Olema Pharmaceuticals, Inc. (A)   673     2,867
Omega Therapeutics, Inc. (A)   709     4,424
Oncocyte Corp. (A)   2,198     3,275
Oncorus, Inc. (A)   1,188     2,115
Oncternal Therapeutics, Inc. (A)   1,813     2,520
OPKO Health, Inc. (A)   12,549     43,169
Organogenesis Holdings, Inc. (A)   2,172     16,551
Orgenesis, Inc. (A)   485     1,683
ORIC Pharmaceuticals, Inc. (A)   644     3,439
Outlook Therapeutics, Inc. (A)   2,180     3,880
Ovid therapeutics, Inc. (A)   572     1,796
Oyster Point Pharma, Inc. (A)   431     5,017
Pardes Biosciences, Inc. (A)   821     5,928
Passage Bio, Inc. (A)   825     2,558
PDL BioPharma, Inc. (A)(C)   1,734     3,104
PDS Biotechnology Corp. (A)   660     4,085
PhaseBio Pharmaceuticals, Inc. (A)   1,586     2,094
Pieris Pharmaceuticals, Inc. (A)   1,728     5,236
PMV Pharmaceuticals, Inc. (A)   729     15,178
Point Biopharma Global, Inc. (A)   1,417     11,293
Poseida Therapeutics, Inc. (A)   1,586     7,105
Praxis Precision Medicines, Inc. (A)   714     7,290
Precigen, Inc. (A)   3,241     6,839
Precision BioSciences, Inc. (A)   1,182     3,641
Prelude Therapeutics, Inc. (A)   793     5,472
Progenics Pharmaceuticals, Inc. (A)(C)   1,955     1,662
Prometheus Biosciences, Inc. (A)   584     22,052
Protagonist Therapeutics, Inc. (A)   791     18,731
PTC Therapeutics, Inc. (A)   1,304     48,652
Puma Biotechnology, Inc. (A)   890     2,563
Pyxis Oncology, Inc. (A)   420     1,697
Rallybio Corp. (A)   464     3,239
RAPT Therapeutics, Inc. (A)   483     10,621
Recursion Pharmaceuticals, Inc., Class A (A)   2,835     20,299
Regeneron Pharmaceuticals, Inc. (A)   1,843     1,287,188
REGENXBIO, Inc. (A)   794     26,353
Relay Therapeutics, Inc. (A)   1,768     52,916
Reneo Pharmaceuticals, Inc. (A)   651     1,914
Renovacor, Inc. (A)   158     670
Replimune Group, Inc. (A)   698     11,852
REVOLUTION Medicines, Inc. (A)   1,143     29,158
Rhythm Pharmaceuticals, Inc. (A)   820     9,446
Rigel Pharmaceuticals, Inc. (A)   3,503     10,474
Rocket Pharmaceuticals, Inc. (A)   1,021     16,193
Rubius Therapeutics, Inc. (A)   1,758     9,687
SAB Biotherapeutics, Inc. (A)   607     2,282
 
  298  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Sage Therapeutics, Inc. (A)   1,099   $ 36,377
Sana Biotechnology, Inc. (A)   3,178     26,250
Sangamo Therapeutics, Inc. (A)   2,664     15,478
Sarepta Therapeutics, Inc. (A)   1,435     112,102
Savara, Inc. (A)   3,273     4,288
Scholar Rock Holding Corp. (A)   577     7,438
Scopus Biopharma, Inc. (A)   811     560
Seagen, Inc. (A)   3,233     465,714
Selecta Biosciences, Inc. (A)   1,916     2,357
SELLAS Life Sciences Group, Inc. (A)   418     2,792
Sensei Biotherapeutics, Inc. (A)   498     1,150
Sera Prognostics, Inc., Class A (A)   198     750
Seres Therapeutics, Inc. (A)   1,482     10,552
Shattuck Labs, Inc. (A)   652     2,778
Sierra Oncology, Inc. (A)   126     4,038
Sigilon Therapeutics, Inc. (A)   622     914
Silverback Therapeutics, Inc. (A)   919     3,226
Solid Biosciences, Inc. (A)   2,770     3,324
Spero Therapeutics, Inc. (A)   578     5,029
SpringWorks Therapeutics, Inc. (A)   861     48,595
Spruce Biosciences, Inc. (A)   1,458     2,931
SQZ Biotechnologies Company (A)   587     2,823
Stoke Therapeutics, Inc. (A)   722     15,198
Surface Oncology, Inc. (A)   690     2,029
Surrozen, Inc. (A)   609     1,833
Sutro Biopharma, Inc. (A)   635     5,220
Syndax Pharmaceuticals, Inc. (A)   646     11,227
Synergy Pharmaceuticals, Inc. (A)(C)   6,230     18
Synlogic, Inc. (A)   1,786     4,286
Syros Pharmaceuticals, Inc. (A)   1,778     2,116
Talaris Therapeutics, Inc. (A)   597     5,874
Tango Therapeutics, Inc. (A)   1,346     10,203
Taysha Gene Therapies, Inc. (A)   706     4,603
TCR2 Therapeutics, Inc. (A)   1,031     2,846
Tempest Therapeutics, Inc. (A)   96     326
Tenaya Therapeutics, Inc. (A)   631     7,433
Tracon Pharmaceuticals, Inc. (A)   1,275     3,353
Travere Therapeutics, Inc. (A)   1,004     25,873
TScan Therapeutics, Inc. (A)   639     1,789
Turning Point Therapeutics, Inc. (A)   839     22,527
Twist Bioscience Corp. (A)   827     40,837
Tyra Biosciences, Inc. (A)   661     7,073
Ultragenyx Pharmaceutical, Inc. (A)   1,226     89,032
United Therapeutics Corp. (A)   776     139,222
UNITY Biotechnology, Inc. (A)   783     877
UroGen Pharma, Ltd. (A)   495     4,311
Vanda Pharmaceuticals, Inc. (A)   1,167     13,199
Vaxart, Inc. (A)   2,037     10,266
Vaxcyte, Inc. (A)   827     19,972
Vaxxinity, Inc., Class A (A)(B)   2,150     9,245
Vera Therapeutics, Inc. (A)   459     10,782
Veracyte, Inc. (A)   1,119     30,851
Verastem, Inc. (A)   2,859     4,031
Vericel Corp. (A)   881     33,672
Vertex Pharmaceuticals, Inc. (A)   4,431     1,156,358
Verve Therapeutics, Inc. (A)   788     17,982
Viking Therapeutics, Inc. (A)   1,686     5,058
Vir Biotechnology, Inc. (A)   2,250     57,870
Viracta Therapeutics, Inc. (A)   1,210     5,760
Viridian Therapeutics, Inc. (A)   323     5,972
Virios Therapeutics, Inc. (A)   639     2,863
Vor BioPharma, Inc. (A)   556     3,358
Voyager Therapeutics, Inc. (A)   1,312     9,997
Vyant Bio, Inc.  (A)   2,210     3,160
Werewolf Therapeutics, Inc. (A)   346     1,522
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
X4 Pharmaceuticals, Inc. (A)   1,920   $ 3,360
XBiotech, Inc.   761     6,575
Xencor, Inc. (A)   1,123     29,962
Xilio Therapeutics, Inc. (A)   425     3,005
XOMA Corp. (A)   228     6,379
Yield10 Bioscience, Inc. (A)   575     3,048
Y-mAbs Therapeutics, Inc. (A)   853     10,134
Yumanity Therapeutics, Inc. (A)   384     576
Zentalis Pharmaceuticals, Inc. (A)   734     33,867
          19,800,179
Health care equipment and supplies – 2.3%      
Abbott Laboratories   30,629     3,625,248
ABIOMED, Inc. (A)   813     269,298
Accelerate Diagnostics, Inc. (A)   1,138     1,639
Accuray, Inc. (A)   2,141     7,087
Acutus Medical, Inc. (A)   1,511     2,100
Align Technology, Inc. (A)   1,380     601,680
Alphatec Holdings, Inc. (A)   1,472     16,928
AngioDynamics, Inc. (A)   817     17,598
Apollo Endosurgery, Inc. (A)   285     1,724
Apyx Medical Corp. (A)   740     4,832
Artivion, Inc. (A)   840     17,959
Aspira Women's Health, Inc. (A)   2,387     2,482
AtriCure, Inc. (A)   851     55,885
Atrion Corp.   38     27,094
Avanos Medical, Inc. (A)   963     32,261
Axogen, Inc. (A)   892     7,082
Axonics, Inc. (A)   681     42,631
Baxter International, Inc.   8,673     672,504
Becton, Dickinson and Company   4,902     1,303,932
BioLife Solutions, Inc. (A)   651     14,797
Bioventus, Inc., Class A (A)   978     13,790
Boston Scientific Corp. (A)   24,930     1,104,150
Cardiovascular Systems, Inc. (A)   748     16,905
Cerus Corp. (A)   3,177     17,442
Co-Diagnostics, Inc. (A)   301     1,860
CONMED Corp.   541     80,366
CryoPort, Inc. (A)   806     28,137
Cue Health, Inc. (A)(B)   2,236     14,422
Cutera, Inc. (A)   347     23,943
CVRx, Inc. (A)   171     1,024
CytoSorbents Corp. (A)   847     2,702
Delcath Systems, Inc. (A)   160     1,024
Dentsply Sirona, Inc.   3,899     191,909
DexCom, Inc. (A)   1,691     865,116
Eargo, Inc. (A)   970     5,131
Edwards Lifesciences Corp. (A)   10,894     1,282,442
Ekso Bionics Holdings, Inc. (A)   534     1,543
Envista Holdings Corp. (A)   2,952     143,792
enVVeno Medical Corp. (A)   432     2,752
Establishment Labs Holdings, Inc. (A)   465     31,336
Figs, Inc., Class A (A)   2,715     58,427
Glaukos Corp. (A)   856     49,494
Globus Medical, Inc., Class A (A)   1,836     135,460
Haemonetics Corp. (A)   931     58,858
Helius Medical Technologies, Inc. (A)   213     703
Heska Corp. (A)   175     24,199
Hologic, Inc. (A)   4,354     334,474
ICU Medical, Inc. (A)   382     85,048
IDEXX Laboratories, Inc. (A)   1,476     807,461
Inari Medical, Inc. (A)   835     75,684
Inogen, Inc. (A)   449     14,557
Insulet Corp. (A)   1,230     327,660
Integer Holdings Corp. (A)   625     50,356
Integra LifeSciences Holdings Corp. (A)   1,566     100,631
 
  299  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Intersect ENT, Inc. (A)   718   $ 20,111
Intuitive Surgical, Inc. (A)   6,220     1,876,450
Invacare Corp. (A)   844     1,190
iRadimed Corp.   275     12,331
iRhythm Technologies, Inc. (A)   538     84,719
Lantheus Holdings, Inc. (A)   1,287     71,184
LeMaitre Vascular, Inc.   458     21,283
Lucira Health, Inc. (A)   556     1,985
Masimo Corp. (A)   976     142,047
Meridian Bioscience, Inc. (A)   942     24,454
Merit Medical Systems, Inc. (A)   1,044     69,447
Mesa Laboratories, Inc.   96     24,468
Microbot Medical, Inc. (A)   440     2,759
Natus Medical, Inc. (A)   710     18,659
Neogen Corp. (A)   1,989     61,341
Neuronetics, Inc. (A)   550     1,667
NeuroPace, Inc. (A)   100     821
Nevro Corp. (A)   648     46,870
NuVasive, Inc. (A)   954     54,092
OraSure Technologies, Inc. (A)   1,505     10,204
Ortho Clinical Diagnostics Holdings PLC (A)   3,734     69,676
Orthofix Medical, Inc. (A)   439     14,355
OrthoPediatrics Corp. (A)   364     19,652
Outset Medical, Inc. (A)   709     32,189
Owlet, Inc. (A)   1,547     6,884
PAVmed, Inc. (A)   1,090     1,439
Penumbra, Inc. (A)   660     146,606
PROCEPT BioRobotics Corp. (A)(B)   603     21,099
Pulmonx Corp. (A)   486     12,058
Pulse Biosciences, Inc. (A)   394     1,915
Quidel Corp. (A)   751     84,457
RA Medical Systems, Inc. (A)   752     301
ResMed, Inc.   2,529     613,308
Retractable Technologies, Inc. (A)   238     1,131
RxSight, Inc. (A)   159     1,968
SeaSpine Holdings Corp. (A)   591     7,187
Second Sight Medical Products, Inc. (A)   1,266     1,810
Senseonics Holdings, Inc. (A)(B)   7,349     14,478
Shockwave Medical, Inc. (A)   634     131,466
SI-BONE, Inc. (A)   650     14,690
Sientra, Inc. (A)   505     1,121
Sight Sciences, Inc. (A)   684     7,907
Silk Road Medical, Inc. (A)   667     27,540
SmileDirectClub, Inc. (A)(B)   7,305     18,920
Sonendo, Inc. (A)   247     990
STAAR Surgical Company (A)   849     67,844
Stereotaxis, Inc. (A)   1,565     5,837
Stryker Corp.   6,549     1,750,875
Surmodics, Inc. (A)   315     14,279
Tactile Systems Technology, Inc. (A)   415     8,366
Talis Biomedical Corp. (A)   773     1,090
Tandem Diabetes Care, Inc. (A)   1,121     130,361
Tela Bio, Inc. (A)   31     361
Teleflex, Inc.   834     295,928
The Cooper Companies, Inc.   849     354,534
TransMedics Group, Inc. (A)   477     12,850
Treace Medical Concepts, Inc. (A)   685     12,953
Utah Medical Products, Inc.   94     8,447
Vapotherm, Inc. (A)   424     5,894
Varex Imaging Corp. (A)   786     16,734
Venus Concept, Inc. (A)   2,267     3,242
Vicarious Surgical, Inc. (A)   1,697     8,587
Zimmer Biomet Holdings, Inc.   3,669     469,265
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Zimvie, Inc. (A)   366   $ 8,359
          19,652,594
Health care providers and services – 2.7%      
1Life Healthcare, Inc. (A)   2,297     25,451
Acadia Healthcare Company, Inc. (A)   1,651     108,190
Accolade, Inc. (A)   974     17,103
Aceto Corp. (A)(C)   853     0
Addus HomeCare Corp. (A)   306     28,547
agilon health, Inc. (A)   6,679     169,313
AirSculpt Technologies, Inc. (A)   375     5,130
AlerisLife, Inc. (A)   1,606     3,453
Alignment Healthcare, Inc. (A)   3,052     34,274
Amedisys, Inc. (A)   587     101,134
AmerisourceBergen Corp.   3,564     551,386
AMN Healthcare Services, Inc. (A)   852     88,889
Anthem, Inc.   4,198     2,062,142
Apollo Medical Holdings, Inc. (A)   958     46,434
Aveanna Healthcare Holdings, Inc. (A)   2,590     8,832
Biodesix, Inc. (A)   597     1,009
Brookdale Senior Living, Inc. (A)   3,810     26,861
Cardinal Health, Inc.   4,827     273,691
Castle Biosciences, Inc. (A)   350     15,701
Centene Corp. (A)   10,161     855,455
Chemed Corp.   230     116,507
Cigna Corp.   5,743     1,376,080
Community Health Systems, Inc. (A)   2,429     28,832
CorVel Corp. (A)   325     54,743
Covetrus, Inc. (A)   2,407     40,414
Cross Country Healthcare, Inc. (A)   752     16,296
CVS Health Corp.   22,851     2,312,750
DaVita, Inc. (A)   1,774     200,657
Encompass Health Corp.   1,801     128,069
Fulgent Genetics, Inc. (A)   470     29,333
Guardant Health, Inc. (A)   1,818     120,424
Hanger, Inc. (A)   810     14,847
HCA Healthcare, Inc.   5,380     1,348,336
HealthEquity, Inc. (A)   1,482     99,946
Henry Schein, Inc. (A)   2,317     202,019
Humana, Inc.   2,215     963,902
InfuSystem Holdings, Inc. (A)   109     1,068
Innovage Holding Corp. (A)(B)   1,986     12,750
Interpace Biosciences, Inc. (A)   276     1,325
Invitae Corp. (A)   3,645     29,051
Laboratory Corp. of America Holdings (A)   1,638     431,875
LHC Group, Inc. (A)   577     97,282
LifeStance Health Group, Inc. (A)(B)   6,301     63,703
McKesson Corp.   2,628     804,510
MEDNAX, Inc. (A)   1,595     37,451
ModivCare, Inc. (A)   241     27,809
Molina Healthcare, Inc. (A)   1,007     335,925
National HealthCare Corp.   341     23,948
National Research Corp.   508     20,142
Oak Street Health, Inc. (A)   4,161     111,848
Oncology Institute, Inc./The (A)   594     4,235
Ontrak, Inc. (A)   613     1,388
Option Care Health, Inc. (A)   3,251     92,849
Owens & Minor, Inc.   1,368     60,219
Patterson Companies, Inc.   1,792     58,007
PetIQ, Inc. (A)   575     14,030
Precipio, Inc. (A)   1,078     1,455
Premier, Inc., Class A   1,861     66,233
Privia Health Group, Inc. (A)   1,729     46,216
Progenity, Inc. (A)(B)   2,849     3,305
Progyny, Inc. (A)   1,614     82,960
 
  300  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care providers and services (continued)      
Quest Diagnostics, Inc.   2,110   $ 288,775
R1 RCM, Inc. (A)   4,729     126,548
RadNet, Inc. (A)   1,011     22,616
Select Medical Holdings Corp.   2,459     58,991
Signify Health, Inc., Class A (A)   3,684     66,865
Surgery Partners, Inc. (A)   1,393     76,685
Talkspace, Inc. (A)   2,060     3,584
Tenet Healthcare Corp. (A)   1,912     164,356
The Ensign Group, Inc.   1,028     92,530
The Joint Corp. (A)   267     9,449
The Pennant Group, Inc. (A)   613     11,420
Tivity Health, Inc. (A)   1,003     32,267
UnitedHealth Group, Inc.   16,298     8,311,491
Universal Health Services, Inc., Class B   1,387     201,046
US Physical Therapy, Inc.   274     27,249
Vivos Therapeutics, Inc. (A)   931     2,495
          23,402,101
Health care technology – 0.3%      
Allscripts Healthcare Solutions, Inc. (A)   2,443     55,016
American Well Corp., Class A (A)   4,475     18,840
Better Therapeutics, Inc. (A)   160     317
Cerner Corp.   5,241     490,348
Certara, Inc. (A)   2,761     59,306
Change Healthcare, Inc. (A)   4,981     108,586
Computer Programs & Systems, Inc. (A)   332     11,437
Convey Health Solutions Holdings, Inc. (A)   707     4,624
Definitive Healthcare Corp. (A)   2,482     61,181
Doximity, Inc., Class A (A)   3,282     170,959
Evolent Health, Inc., Class A (A)   1,650     53,295
GoodRx Holdings, Inc., Class A (A)(B)   7,028     135,851
Health Catalyst, Inc. (A)   714     18,657
HealthStream, Inc. (A)   704     14,024
HTG Molecular Diagnostics, Inc. (A)   117     163
Inspire Medical Systems, Inc. (A)   489     125,521
iSpecimen, Inc. (A)   22     118
MultiPlan Corp. (A)   10,977     51,372
NextGen Healthcare, Inc. (A)   1,375     28,751
Omnicell, Inc. (A)   790     102,297
Pear Therapeutics, Inc. (A)   858     4,333
Phreesia, Inc. (A)   801     21,114
Schrodinger, Inc. (A)   1,147     39,136
Sema4 Holdings Corp. (A)   3,705     11,374
Sharecare, Inc. (A)   5,224     12,903
Simulations Plus, Inc.   395     20,137
Tabula Rasa HealthCare, Inc. (A)   474     2,730
Teladoc Health, Inc. (A)   2,766     199,512
Veeva Systems, Inc., Class A (A)   2,692     571,942
          2,393,844
Life sciences tools and services – 1.6%      
10X Genomics, Inc., Class A (A)   1,989     151,303
Absci Corp. (A)   1,492     12,578
Adaptive Biotechnologies Corp. (A)   2,619     36,352
Agilent Technologies, Inc.   5,239     693,277
Alpha Teknova, Inc. (A)   345     4,764
Avantor, Inc. (A)   10,429     352,709
Berkeley Lights, Inc. (A)   1,103     7,842
Bionano Genomics, Inc. (A)(B)   4,957     12,789
Bio-Rad Laboratories, Inc., Class A (A)   500     281,615
Bio-Techne Corp.   691     299,231
Bruker Corp.   2,721     174,960
Charles River Laboratories International, Inc. (A)   888     252,165
Codex DNA, Inc. (A)   223     1,198
Codexis, Inc. (A)   1,214     25,033
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Life sciences tools and services (continued)      
Cytek Biosciences, Inc. (A)   1,914   $ 20,633
Danaher Corp.   12,358     3,624,972
Fluidigm Corp. (A)   1,624     5,830
ICON PLC (A)   19     4,621
Illumina, Inc. (A)   2,602     909,139
Inotiv, Inc. (A)   218     5,707
IQVIA Holdings, Inc. (A)   3,323     768,311
IsoPlexis Corp. (A)   442     1,516
Maravai LifeSciences Holdings, Inc., Class A (A)   4,598     162,171
Medpace Holdings, Inc. (A)   647     105,843
Mettler-Toledo International, Inc. (A)   398     546,530
Miromatrix Medical, Inc. (A)   304     1,204
NanoString Technologies, Inc. (A)   769     26,723
NeoGenomics, Inc. (A)   2,242     27,240
Pacific Biosciences of California, Inc. (A)   3,737     34,007
PerkinElmer, Inc.   2,144     374,042
Personalis, Inc. (A)   696     5,700
Quanterix Corp. (A)   548     15,996
Rapid Micro Biosystems, Inc., Class A (A)   438     2,974
Repligen Corp. (A)   982     184,704
Science 37 Holdings, Inc. (A)   1,340     7,169
Seer, Inc. (A)   912     13,899
Singular Genomics Systems, Inc. (A)   1,117     7,048
SomaLogic, Inc. (A)   2,875     23,058
Sotera Health Company (A)   5,138     111,289
Syneos Health, Inc. (A)   1,858     150,405
Thermo Fisher Scientific, Inc.   6,801     4,017,011
Waters Corp. (A)   1,061     329,324
West Pharmaceutical Services, Inc.   1,291     530,227
          14,323,109
Pharmaceuticals – 3.3%      
9 Meters Biopharma, Inc. (A)   6,618     3,966
Aclaris Therapeutics, Inc. (A)   1,008     17,378
Aerie Pharmaceuticals, Inc. (A)   991     9,018
Alexza Pharmaceuticals, Inc. (A)(C)   2,067     72
Amneal Pharmaceuticals, Inc. (A)   5,989     24,974
Amphastar Pharmaceuticals, Inc. (A)   1,078     38,700
Angion Biomedica Corp. (A)   1,195     2,533
ANI Pharmaceuticals, Inc. (A)   272     7,646
Antares Pharma, Inc. (A)   3,736     15,318
Aquestive Therapeutics, Inc. (A)   966     2,521
Arvinas, Inc. (A)   830     55,859
Assertio Holdings, Inc. (A)   333     956
Atea Pharmaceuticals, Inc. (A)   1,534     11,075
Athira Pharma, Inc. (A)   794     10,719
Axsome Therapeutics, Inc. (A)   694     28,725
Aytu BioPharma, Inc. (A)   92     99
Bristol-Myers Squibb Company   38,534     2,814,138
Cara Therapeutics, Inc. (A)   906     11,008
Cassava Sciences, Inc. (A)(B)   680     25,255
Catalent, Inc. (A)   3,014     334,253
Clarus Therapeutics Holdings, Inc. (A)   766     1,141
Clearside Biomedical, Inc. (A)   745     1,706
Clever Leaves Holdings, Inc. (A)   99     247
Cognition Therapeutics, Inc. (A)   195     527
Collegium Pharmaceutical, Inc. (A)   742     15,107
Corcept Therapeutics, Inc. (A)   2,211     49,792
DICE Therapeutics, Inc. (A)   507     9,699
Dova Pharmaceuticals, Inc. (A)(C)   702     0
Edgewise Therapeutics, Inc. (A)   725     7,033
Elanco Animal Health, Inc. (A)   7,996     208,616
Eli Lilly & Company   16,555     4,740,855
 
  301  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Endo International PLC (A)   4,250   $ 9,818
Esperion Therapeutics, Inc. (A)   1,610     7,470
Evolus, Inc. (A)   1,243     13,946
Eyenovia, Inc. (A)   1,099     3,352
EyePoint Pharmaceuticals, Inc. (A)   226     2,746
Fulcrum Therapeutics, Inc. (A)   625     14,781
Graybug Vision, Inc. (A)   1,966     2,418
Harmony Biosciences Holdings, Inc. (A)   852     41,450
Harrow Health, Inc. (A)   642     4,378
Ikena Oncology, Inc. (A)   556     3,392
IMARA, Inc. (A)   1,879     3,533
Innoviva, Inc. (A)   1,418     27,438
Intra-Cellular Therapies, Inc. (A)   1,306     79,914
Johnson & Johnson   45,502     8,064,319
Kaleido Biosciences, Inc. (A)   870     1,436
Landos Biopharma, Inc. (A)   639     943
Lannett Company, Inc. (A)   920     725
Liquidia Corp. (A)   907     6,512
Longboard Pharmaceuticals, Inc. (A)   471     2,444
Lyra Therapeutics, Inc. (A)   554     2,227
Marinus Pharmaceuticals, Inc. (A)   569     5,320
Merck & Company, Inc.   43,683     3,584,190
MyMD Pharmaceuticals, Inc. (A)   531     2,474
Nektar Therapeutics (A)   3,478     18,746
NGM Biopharmaceuticals, Inc. (A)   1,448     22,082
Ocular Therapeutix, Inc. (A)   1,256     6,217
Omeros Corp. (A)   1,206     7,248
Onconova Therapeutics, Inc. (A)   947     1,742
Optinose, Inc. (A)   2,082     5,143
Oramed Pharmaceuticals, Inc. (A)   522     4,515
Organon & Company   4,415     154,216
Otonomy, Inc. (A)   2,342     5,621
Pacira BioSciences, Inc. (A)   844     64,414
Palisade Bio, Inc. (A)   2,243     2,378
Paratek Pharmaceuticals, Inc. (A)   901     2,676
Pfizer, Inc.   97,224     5,033,286
Phathom Pharmaceuticals, Inc. (A)   484     6,587
Phibro Animal Health Corp., Class A   851     16,977
Pliant Therapeutics, Inc. (A)   485     3,400
PLx Pharma, Inc. (A)   528     2,133
Prestige Consumer Healthcare, Inc. (A)   871     46,111
Prevail Therapeutics, Inc. (A)(C)   788     1,622
Provention Bio, Inc. (A)   1,551     11,353
Rain Therapeutics, Inc. (A)   373     1,891
Rani Therapeutics Holdings, Inc., Class A (A)   789     10,652
Reata Pharmaceuticals, Inc., Class A (A)   634     20,770
Relmada Therapeutics, Inc. (A)   263     7,098
Revance Therapeutics, Inc. (A)   1,139     22,211
Royalty Pharma PLC, Class A   10,381     404,444
Satsuma Pharmaceuticals, Inc. (A)   341     1,296
scPharmaceuticals, Inc. (A)   172     977
SCYNEXIS, Inc. (A)   751     2,936
Seelos Therapeutics, Inc. (A)   2,723     2,281
SIGA Technologies, Inc. (A)   1,703     12,074
Supernus Pharmaceuticals, Inc. (A)   1,044     33,742
Tarsus Pharmaceuticals, Inc. (A)   267     4,491
Terns Pharmaceuticals, Inc. (A)   403     1,197
TFF Pharmaceuticals, Inc. (A)   273     1,723
Theseus Pharmaceuticals, Inc. (A)   484     5,581
Tilray Brands, Inc. (A)(B)   7,922     61,554
Tobira Therapeutics, Inc. (A)(C)   609     2,521
Tricida, Inc. (A)   1,068     8,779
Vallon Pharmaceuticals, Inc. (A)   476     895
Ventyx Biosciences, Inc. (A)   451     6,120
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Verrica Pharmaceuticals, Inc. (A)   659   $ 5,344
Viatris, Inc.   21,153     230,145
Virpax Pharmaceuticals, Inc. (A)   556     1,234
Xeris Biopharma Holdings, Inc. (A)   2,993     7,662
Zoetis, Inc.   8,184     1,543,421
Zogenix, Inc. (A)(C)   961     653
Zynerba Pharmaceuticals, Inc. (A)   1,171     2,401
          28,154,722
          107,726,549
Industrials – 8.6%          
Aerospace and defense – 1.5%      
AAR Corp. (A)   757     36,662
Aerojet Rocketdyne Holdings, Inc. (A)   1,515     59,615
AeroVironment, Inc. (A)   487     45,846
Applied Energetics, Inc. (A)   2,713     5,657
Archer Aviation, Inc., Class A (A)   3,543     17,042
Astra Space, Inc. (A)(B)   4,206     16,235
Astronics Corp. (A)   623     8,055
Axon Enterprise, Inc. (A)   1,184     163,072
BWX Technologies, Inc.   1,750     94,255
Cadre Holdings, Inc.   144     3,537
Curtiss-Wright Corp.   711     106,764
Ducommun, Inc. (A)   268     14,041
General Dynamics Corp.   4,810     1,160,076
HEICO Corp.   160     24,566
HEICO Corp., Class A   2,183     276,870
Hexcel Corp.   1,553     92,357
Howmet Aerospace, Inc.   7,642     274,653
Huntington Ingalls Industries, Inc.   592     118,068
Kaman Corp.   587     25,523
Kratos Defense & Security Solutions, Inc. (A)   2,288     46,858
L3Harris Technologies, Inc.   3,408     846,786
Lockheed Martin Corp.   4,742     2,093,119
Maxar Technologies, Inc.   1,313     51,811
Mercury Systems, Inc. (A)   1,052     67,801
Momentus, Inc. (A)   826     2,635
Moog, Inc., Class A   671     58,914
National Presto Industries, Inc.   169     13,005
Northrop Grumman Corp.   2,730     1,220,911
Park Aerospace Corp.   561     7,321
Parsons Corp. (A)   1,963     75,968
Raytheon Technologies Corp.   26,120     2,587,708
Redwire Corp. (A)(B)   767     6,504
Rocket Lab USA, Inc. (A)   6,412     51,617
Spirit AeroSystems Holdings, Inc., Class A   1,918     93,771
Textron, Inc.   3,906     290,528
The Boeing Company (A)   10,223     1,957,705
TransDigm Group, Inc. (A)   961     626,130
Triumph Group, Inc. (A)   1,030     26,038
Vectrus, Inc. (A)   260     9,324
Woodward, Inc.   1,160     144,896
          12,822,244
Air freight and logistics – 0.6%      
Air Transport Services Group, Inc. (A)   1,293     43,251
Atlas Air Worldwide Holdings, Inc. (A)   480     41,458
CH Robinson Worldwide, Inc.   2,237     240,947
Expeditors International of Washington, Inc.   2,817     290,602
FedEx Corp.   4,615     1,067,865
Forward Air Corp.   557     54,463
GXO Logistics, Inc. (A)   1,949     139,042
Hub Group, Inc., Class A (A)   674     52,040
 
  302  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Air freight and logistics (continued)      
United Parcel Service, Inc., Class B   15,064   $ 3,230,625
          5,160,293
Airlines – 0.2%      
Alaska Air Group, Inc. (A)   2,347     136,149
Allegiant Travel Company (A)   324     52,614
American Airlines Group, Inc. (A)(B)   11,117     202,885
Delta Air Lines, Inc. (A)   11,285     446,547
Frontier Group Holdings, Inc. (A)   3,244     36,755
Hawaiian Holdings, Inc. (A)   993     19,562
JetBlue Airways Corp. (A)   6,077     90,851
Joby Aviation, Inc. (A)(B)   10,208     67,577
Mesa Air Group, Inc. (A)   734     3,230
SkyWest, Inc. (A)   1,002     28,908
Southwest Airlines Company (A)   10,549     483,144
Spirit Airlines, Inc. (A)   1,541     33,702
Sun Country Airlines Holdings, Inc. (A)   623     16,310
United Airlines Holdings, Inc. (A)   5,481     254,099
Wheels Up Experience, Inc. (A)   3,103     9,650
          1,881,983
Building products – 0.5%      
A.O. Smith Corp.   2,821     180,234
AAON, Inc.   991     55,228
Advanced Drainage Systems, Inc.   1,296     153,978
American Woodmark Corp. (A)   357     17,475
Apogee Enterprises, Inc.   557     26,435
Armstrong World Industries, Inc.   847     76,238
Builders FirstSource, Inc. (A)   3,391     218,855
Carlisle Companies, Inc.   734     180,505
Carrier Global Corp.   15,052     690,435
Cornerstone Building Brands, Inc. (A)   2,433     59,171
CSW Industrials, Inc.   335     39,393
Fortune Brands Home & Security, Inc.   2,355     174,929
Gibraltar Industries, Inc. (A)   643     27,617
Griffon Corp.   1,054     21,112
Insteel Industries, Inc.   400     14,796
JELD-WEN Holding, Inc. (A)   1,838     37,275
Johnson Controls International PLC   12,169     797,921
Lennox International, Inc.   622     160,389
Masco Corp.   4,181     213,231
Owens Corning   1,812     165,798
PGT Innovations, Inc. (A)   1,295     23,284
Quanex Building Products Corp.   554     11,628
Resideo Technologies, Inc. (A)   2,640     62,911
Simpson Manufacturing Company, Inc.   815     88,868
The AZEK Company, Inc. (A)   2,505     62,224
Trex Company, Inc. (A)   2,066     134,972
UFP Industries, Inc.   1,144     88,271
Zurn Water Solutions Corp.   2,268     80,287
          3,863,460
Commercial services and supplies – 0.6%      
ABM Industries, Inc.   1,258     57,918
ACCO Brands Corp.   2,109     16,872
ACV Auctions, Inc., Class A (A)   2,502     37,055
ADT, Inc.   13,826     104,939
Aurora Innovation, Inc. (A)(B)   17,214     96,226
Brady Corp., Class A   948     43,864
BrightView Holdings, Inc. (A)   2,167     29,493
Casella Waste Systems, Inc., Class A (A)   988     86,598
CECO Environmental Corp. (A)   931     5,111
Charah Solutions, Inc. (A)   247     1,233
Cintas Corp.   1,789     761,023
Civeo Corp. (A)   76     1,794
Clean Harbors, Inc. (A)   1,032     115,212
Copart, Inc. (A)   4,149     520,575
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Commercial services and supplies (continued)      
CoreCivic, Inc. (A)   2,321   $ 25,926
Deluxe Corp.   840     25,402
Driven Brands Holdings, Inc. (A)   2,702     71,009
Ennis, Inc.   556     10,269
Harsco Corp. (A)   1,705     20,869
Healthcare Services Group, Inc.   1,493     27,725
Heritage-Crystal Clean, Inc. (A)   532     15,753
HNI Corp.   862     31,937
IAA, Inc. (A)   2,440     93,330
Interface, Inc.   1,167     15,836
KAR Auction Services, Inc. (A)   2,327     42,002
Kimball International, Inc., Class B   828     6,997
Matthews International Corp., Class A   680     22,005
MillerKnoll, Inc.   1,430     49,421
Montrose Environmental Group, Inc. (A)   443     23,448
MSA Safety, Inc.   688     91,298
NL Industries, Inc.   1,334     9,591
Performant Financial Corp. (A)   374     1,163
Pitney Bowes, Inc.   3,538     18,398
Quad/Graphics, Inc. (A)   1,350     9,369
Republic Services, Inc.   5,240     694,300
Rollins, Inc.   8,754     306,828
SP Plus Corp. (A)   517     16,213
Steelcase, Inc., Class A   2,379     28,429
Stericycle, Inc. (A)   1,779     104,819
Tetra Tech, Inc.   966     159,332
The Brink's Company   928     63,104
UniFirst Corp.   321     59,154
US Ecology, Inc. (A)   492     23,557
Viad Corp. (A)   446     15,895
Vidler Water Resouces, Inc. (A)   513     7,921
VSE Corp.   270     12,444
Waste Management, Inc.   7,179     1,137,872
          5,119,529
Construction and engineering – 0.2%      
AECOM   2,533     194,560
Ameresco, Inc., Class A (A)   941     74,810
Arcosa, Inc.   870     49,808
Argan, Inc.   361     14,653
Comfort Systems USA, Inc.   686     61,061
Construction Partners, Inc., Class A (A)   1,071     28,039
Dycom Industries, Inc. (A)   581     55,346
EMCOR Group, Inc.   901     101,480
Fluor Corp. (A)   2,601     74,623
Granite Construction, Inc.   919     30,143
Great Lakes Dredge & Dock Corp. (A)   1,462     20,512
IES Holdings, Inc. (A)   478     19,216
Infrastructure and Energy Alternatives, Inc. (A)   472     5,593
Innovate Corp. (A)   406     1,498
MasTec, Inc. (A)   1,327     115,582
Matrix Service Company (A)   663     5,450
MDU Resources Group, Inc.   3,748     99,884
MYR Group, Inc. (A)   327     30,751
Northwest Pipe Company (A)   252     6,413
Orbital Energy Group, Inc. (A)   635     1,168
Orion Group Holdings, Inc. (A)   985     2,443
Primoris Services Corp.   1,046     24,916
Quanta Services, Inc.   2,496     328,499
Sterling Construction Company, Inc. (A)   650     17,420
Tutor Perini Corp. (A)   1,152     12,442
Valmont Industries, Inc.   334     79,692
 
  303  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Construction and engineering (continued)      
WillScot Mobile Mini Holdings Corp. (A)   4,093   $ 160,159
          1,616,161
Electrical equipment – 0.6%      
Acuity Brands, Inc.   634     120,016
Allied Motion Technologies, Inc.   333     9,937
American Superconductor Corp. (A)   626     4,764
AMETEK, Inc.   3,959     527,260
Array Technologies, Inc. (A)   2,316     26,101
Atkore, Inc. (A)   821     80,819
AZZ, Inc.   556     26,821
Babcock & Wilcox Enterprises, Inc. (A)   1,048     8,552
Blink Charging Company (A)   696     18,416
Bloom Energy Corp., Class A (A)   2,966     71,629
Capstone Green Energy Corp. (A)   261     1,075
ChargePoint Holdings, Inc. (A)(B)   5,450     108,346
Eaton Corp. PLC   6,853     1,040,011
Emerson Electric Company   10,274     1,007,366
Encore Wire Corp.   377     43,004
EnerSys   807     60,178
Enovix Corp. (A)   2,439     34,805
ESS Tech, Inc. (A)   233     1,298
Fluence Energy, Inc. (A)   1,178     15,444
FTC Solar, Inc. (A)   1,092     5,384
FuelCell Energy, Inc. (A)   6,301     36,294
Generac Holdings, Inc. (A)   1,079     320,744
GrafTech International, Ltd.   4,734     45,541
Hubbell, Inc.   920     169,068
nVent Electric PLC   3,080     107,122
Ocean Power Technologies, Inc. (A)   567     799
Orion Energy Systems, Inc. (A)   915     2,562
Plug Power, Inc. (A)   10,058     287,759
Powell Industries, Inc.   287     5,574
Preformed Line Products Company   126     7,991
Regal Rexnord Corp.   1,165     173,329
Rockwell Automation, Inc.   1,995     558,660
Shoals Technologies Group, Inc., Class A (A)   2,743     46,741
Sunrun, Inc. (A)   3,673     111,549
Sunworks, Inc. (A)   718     1,809
Thermon Group Holdings, Inc. (A)   751     12,166
TPI Composites, Inc. (A)   773     10,868
Vicor Corp. (A)   789     55,664
          5,165,466
Industrial conglomerates – 0.8%      
3M Company   9,918     1,476,592
General Electric Company   19,048     1,742,892
Honeywell International, Inc.   11,872     2,310,054
Icahn Enterprises LP   4,276     222,053
Roper Technologies, Inc.   1,821     859,931
          6,611,522
Machinery – 1.6%      
AGCO Corp.   1,309     191,153
Agrify Corp. (A)   374     1,732
Alamo Group, Inc.   239     34,366
Albany International Corp., Class A   604     50,929
Allison Transmission Holdings, Inc.   1,324     51,980
Altra Industrial Motion Corp.   1,239     48,234
Astec Industries, Inc.   493     21,199
Barnes Group, Inc.   1,066     42,843
Berkshire Grey, Inc. (A)   3,321     9,564
Caterpillar, Inc.   9,348     2,082,921
Chart Industries, Inc. (A)   655     112,509
CIRCOR International, Inc. (A)   461     12,272
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Colfax Corp. (A)   2,476   $ 98,520
Columbus McKinnon Corp.   532     22,557
Commercial Vehicle Group, Inc. (A)   856     7,233
Crane Company   1,105     119,649
Cummins, Inc.   2,359     483,854
Deere & Company   5,348     2,221,880
Donaldson Company, Inc.   2,137     110,974
Douglas Dynamics, Inc.   435     15,047
Dover Corp.   2,215     347,534
Energy Recovery, Inc. (A)   1,211     24,390
Enerpac Tool Group Corp.   1,293     28,304
EnPro Industries, Inc.   426     41,633
ESCO Technologies, Inc.   519     36,288
Evoqua Water Technologies Corp. (A)   2,177     102,275
Federal Signal Corp.   1,188     40,095
Flowserve Corp.   2,471     88,709
Fortive Corp.   6,140     374,110
Franklin Electric Company, Inc.   834     69,255
Gates Industrial Corp. PLC (A)   5,492     82,710
Gencor Industries, Inc. (A)   428     4,400
Graco, Inc.   3,045     212,297
Graham Corp.   310     2,390
Helios Technologies, Inc.   627     50,317
Hillenbrand, Inc.   1,455     64,267
Hillman Solutions Corp. (A)   2,499     29,688
Hurco Companies, Inc.   183     5,768
Hydrofarm Holdings Group, Inc. (A)   570     8,636
Hyster-Yale Materials Handling, Inc.   296     9,830
Hyzon Motors, Inc. (A)(B)   3,912     24,998
IDEX Corp.   1,049     201,125
Illinois Tool Works, Inc.   5,360     1,122,384
Ingersoll Rand, Inc.   7,322     368,663
ITT, Inc.   1,508     113,417
John Bean Technologies Corp.   615     72,859
Kadant, Inc.   213     41,362
Kennametal, Inc.   1,628     46,577
LB Foster Company, Class A (A)   298     4,580
Lincoln Electric Holdings, Inc.   985     135,743
Lindsay Corp.   215     33,757
Markforged Holding Corp. (A)   2,754     10,988
Mayville Engineering Company, Inc. (A)   522     4,891
Meritor, Inc. (A)   1,321     46,988
Microvast Holdings, Inc. (A)   5,831     39,068
Miller Industries, Inc.   293     8,251
Mueller Industries, Inc.   1,009     54,658
Mueller Water Products, Inc., Class A   3,308     42,739
Nikola Corp. (A)(B)   6,833     73,181
NN, Inc. (A)   766     2,206
Nordson Corp.   853     193,699
Omega Flex, Inc.   223     28,961
Oshkosh Corp.   1,178     118,566
Otis Worldwide Corp.   7,327     563,813
PACCAR, Inc.   5,813     511,951
Parker-Hannifin Corp.   2,220     629,947
Park-Ohio Holdings Corp.   316     4,446
Proto Labs, Inc. (A)   533     28,196
RBC Bearings, Inc. (A)   524     101,593
REV Group, Inc.   1,210     16,214
Sarcos Technology and Robotics Corp. (A)   1,472     9,789
Snap-on, Inc.   835     171,576
SPX Corp. (A)   887     43,827
SPX FLOW, Inc.   783     67,510
Standex International Corp.   280     27,978
Stanley Black & Decker, Inc.   2,847     397,982
 
  304  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Tennant Company   380   $ 29,944
Terex Corp.   1,289     45,966
The Eastern Company   202     4,705
The Gorman-Rupp Company   603     21,636
The Greenbrier Companies, Inc.   586     30,185
The Manitowoc Company, Inc. (A)   748     11,280
The Middleby Corp. (A)   997     163,448
The Shyft Group, Inc.   699     25,241
The Timken Company   1,435     87,105
The Toro Company   1,851     158,242
Titan International, Inc. (A)   1,489     21,933
Trinity Industries, Inc.   1,995     68,548
Velo3D, Inc. (A)(B)   1,316     12,252
Wabash National Corp.   1,110     16,472
Wabtec Corp.   3,342     321,400
Watts Water Technologies, Inc., Class A   551     76,914
Welbilt, Inc. (A)   2,649     62,914
Xos, Inc. (A)   2,320     6,937
Xylem, Inc.   3,170     270,274
          14,162,191
Marine – 0.0%      
Eagle Bulk Shipping, Inc.   275     18,730
Kirby Corp. (A)   1,165     84,101
Matson, Inc.   725     87,450
          190,281
Professional services – 0.5%      
Acacia Research Corp. (A)   1,357     6,120
Alight, Inc., Class A (A)   6,833     67,988
ASGN, Inc. (A)   958     111,808
Barrett Business Services, Inc.   173     13,402
BlackSky Technology, Inc. (A)   1,388     2,623
Booz Allen Hamilton Holding Corp.   2,283     200,539
CACI International, Inc., Class A (A)   328     98,813
CBIZ, Inc. (A)   1,073     45,034
CoStar Group, Inc. (A)   6,942     462,407
CRA International, Inc.   162     13,650
Dun & Bradstreet Holdings, Inc. (A)   7,238     126,810
Equifax, Inc.   2,131     505,260
Exponent, Inc.   927     100,162
First Advantage Corp. (A)   2,261     45,650
Forrester Research, Inc. (A)   420     23,696
Franklin Covey Company (A)   312     14,109
FTI Consulting, Inc. (A)   466     73,265
Heidrick & Struggles International, Inc.   421     16,663
Huron Consulting Group, Inc. (A)   468     21,439
ICF International, Inc.   377     35,491
Insperity, Inc.   704     70,696
Jacobs Engineering Group, Inc.   2,211     304,698
KBR, Inc.   2,608     142,736
Kelly Services, Inc., Class A   813     17,634
Kforce, Inc.   412     30,476
Korn Ferry   1,010     65,589
Legalzoom.com, Inc. (A)   3,194     45,163
Leidos Holdings, Inc.   2,413     260,652
ManpowerGroup, Inc.   984     92,417
ManTech International Corp., Class A   785     67,659
Mistras Group, Inc. (A)   754     4,984
Planet Labs PBC (A)   1,753     8,905
Red Violet, Inc. (A)   54     1,539
Resources Connection, Inc.   781     13,386
Robert Half International, Inc.   1,950     222,651
Science Applications International Corp.   855     78,805
Spire Global, Inc. (A)   2,065     4,337
Sterling Check Corp. (A)   1,453     38,403
TransUnion   3,368     348,049
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Professional services (continued)      
TriNet Group, Inc. (A)   1,173   $ 115,376
TrueBlue, Inc. (A)   739     21,350
Upwork, Inc. (A)   2,277     52,917
Verisk Analytics, Inc.   2,793     599,462
Willdan Group, Inc. (A)   264     8,102
          4,600,915
Road and rail – 1.1%      
AMERCO   313     186,842
ArcBest Corp.   474     38,157
Avis Budget Group, Inc. (A)   1,000     263,300
Bird Global, Inc., Class A (A)   88     216
Canadian Pacific Railway, Ltd.   309     25,505
Covenant Logistics Group, Inc.   436     9,387
CSX Corp.   38,441     1,439,615
Daseke, Inc. (A)   1,184     11,923
Heartland Express, Inc.   1,522     21,415
HyreCar, Inc. (A)   351     835
JB Hunt Transport Services, Inc.   1,832     367,847
Knight-Swift Transportation Holdings, Inc.   2,994     151,077
Landstar System, Inc.   521     78,582
Lyft, Inc., Class A (A)   5,983     229,747
Marten Transport, Ltd.   1,666     29,588
Norfolk Southern Corp.   4,156     1,185,374
Old Dominion Freight Line, Inc.   1,964     586,608
P.A.M. Transportation Services, Inc. (A)   478     16,611
Ryder System, Inc.   1,007     79,885
Saia, Inc. (A)   476     116,058
Schneider National, Inc., Class B   3,277     83,564
TuSimple Holdings, Inc., Class A (A)   3,576     43,627
Uber Technologies, Inc. (A)   33,348     1,189,857
Union Pacific Corp.   11,064     3,022,795
Universal Logistics Holdings, Inc.   647     13,037
Werner Enterprises, Inc.   973     39,893
XPO Logistics, Inc. (A)   1,938     141,086
Yellow Corp. (A)   875     6,134
          9,378,565
Trading companies and distributors – 0.4%      
Air Lease Corp.   2,026     90,461
Alta Equipment Group, Inc. (A)   98     1,211
Applied Industrial Technologies, Inc.   710     72,889
Beacon Roofing Supply, Inc. (A)   1,363     80,799
BlueLinx Holdings, Inc. (A)   138     9,919
Boise Cascade Company   717     49,810
Core & Main, Inc., Class A (A)   3,569     86,334
DXP Enterprises, Inc. (A)   424     11,486
EVI Industries, Inc. (A)   281     5,224
Fastenal Company   10,093     599,524
Fortress Transportation & Infrastructure Investors LLC   1,753     45,140
GATX Corp.   572     70,545
Global Industrial Company   777     25,043
GMS, Inc. (A)   822     40,911
H&E Equipment Services, Inc.   697     30,333
Herc Holdings, Inc.   532     88,892
Lawson Products, Inc. (A)   105     4,047
McGrath RentCorp   476     40,450
Mega Matrix Corp.   185     370
MRC Global, Inc. (A)   1,850     22,034
MSC Industrial Direct Company, Inc., Class A   705     60,073
NOW, Inc. (A)   2,251     24,829
Rush Enterprises, Inc., Class A   1,071     54,525
SiteOne Landscape Supply, Inc. (A)   801     129,514
Textainer Group Holdings, Ltd.   934     35,557
 
  305  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Trading companies and distributors (continued)      
Titan Machinery, Inc. (A)   513   $ 14,497
United Rentals, Inc. (A)   1,255     445,789
Univar Solutions, Inc. (A)   3,249     104,423
Veritiv Corp. (A)   274     36,604
W.W. Grainger, Inc.   838     432,232
Watsco, Inc.   666     202,890
WESCO International, Inc. (A)   915     119,078
          3,035,433
          73,608,043
Information technology – 26.1%          
Communications equipment – 0.8%      
ADTRAN, Inc.   1,000     18,450
Airspan Networks Holdings, Inc. (A)   603     1,755
Applied Optoelectronics, Inc. (A)   524     1,913
Arista Networks, Inc. (A)   5,389     748,963
Aviat Networks, Inc. (A)   36     1,108
CalAmp Corp. (A)   820     5,994
Calix, Inc. (A)   1,143     49,046
Cambium Networks Corp. (A)   562     13,286
Casa Systems, Inc. (A)   2,022     9,139
Ciena Corp. (A)   2,759     167,278
Cisco Systems, Inc.   73,145     4,078,565
Clearfield, Inc. (A)   289     18,849
CommScope Holding Company, Inc. (A)   3,833     30,204
Comtech Telecommunications Corp.   548     8,598
Digi International, Inc. (A)   683     14,698
DZS, Inc. (A)   566     7,850
EMCORE Corp. (A)   60     222
Extreme Networks, Inc. (A)   2,573     31,416
F5, Inc. (A)   1,082     226,084
Harmonic, Inc. (A)   2,066     19,193
Infinera Corp. (A)   3,517     30,492
Inseego Corp. (A)   1,798     7,282
Juniper Networks, Inc.   5,594     207,873
KVH Industries, Inc. (A)   504     4,586
Lantronix, Inc. (A)   53     354
Lumentum Holdings, Inc. (A)   1,320     128,832
Motorola Solutions, Inc.   2,893     700,685
NETGEAR, Inc. (A)   654     16,141
NetScout Systems, Inc. (A)   1,447     46,420
Plantronics, Inc. (A)   804     31,678
Powerwave Technologies, Inc. (A)(C)   912     0
Ribbon Communications, Inc. (A)   2,627     8,117
Ubiquiti, Inc.   1,101     320,567
Viasat, Inc. (A)   1,289     62,903
Viavi Solutions, Inc. (A)   4,348     69,916
          7,088,457
Electronic equipment, instruments and components – 0.7%      
908 Devices, Inc. (A)   290     5,513
Advanced Energy Industries, Inc.   715     61,547
AEye, Inc. (A)   2,196     12,012
Akoustis Technologies, Inc. (A)   872     5,668
Amphenol Corp., Class A   10,334     778,667
Arlo Technologies, Inc. (A)   1,497     13,263
Arrow Electronics, Inc. (A)   1,017     120,647
Avnet, Inc.   1,792     72,737
Badger Meter, Inc.   563     56,137
Bel Fuse, Inc., Class B   346     6,173
Belden, Inc.   815     45,151
Benchmark Electronics, Inc.   800     20,032
CDW Corp.   2,361     422,359
ClearSign Technologies Corp. (A)   889     1,449
Cognex Corp.   3,162     243,948
Coherent, Inc. (A)   429     117,271
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electronic equipment, instruments and
components (continued)
     
Corning, Inc.   14,808   $ 546,563
CTS Corp.   667     23,572
Daktronics, Inc. (A)   1,227     4,712
ePlus, Inc. (A)   342     19,173
Evolv Technologies Holdings, Inc. (A)   2,210     5,857
FARO Technologies, Inc. (A)   391     20,301
Identiv, Inc. (A)   100     1,617
II-VI, Inc. (A)   1,909     138,383
Insight Enterprises, Inc. (A)   655     70,295
IPG Photonics Corp. (A)   949     104,162
Iteris, Inc. (A)   1,032     3,075
Itron, Inc. (A)   841     44,304
Jabil, Inc.   2,561     158,091
Keysight Technologies, Inc. (A)   3,222     508,979
Kimball Electronics, Inc. (A)   554     11,074
Knowles Corp. (A)   1,805     38,862
Littelfuse, Inc.   425     105,999
Methode Electronics, Inc.   768     33,216
MicroVision, Inc. (A)(B)   2,624     12,254
Napco Security Technologies, Inc. (A)   742     15,226
National Instruments Corp.   2,435     98,837
Netlist, Inc. (A)   3,719     20,157
nLight, Inc. (A)   848     14,704
Novanta, Inc. (A)   636     90,496
OSI Systems, Inc. (A)   333     28,345
PAR Technology Corp. (A)   370     14,926
PC Connection, Inc.   517     27,086
Plexus Corp. (A)   489     40,005
Rogers Corp. (A)   343     93,193
Sanmina Corp. (A)   1,095     44,260
ScanSource, Inc. (A)   460     16,003
SmartRent, Inc. (A)   2,767     14,001
TD SYNNEX Corp.   1,563     161,317
Teledyne Technologies, Inc. (A)   804     379,995
Trimble, Inc. (A)   4,408     317,993
TTM Technologies, Inc. (A)   2,254     33,404
Vishay Intertechnology, Inc.   2,396     46,962
Vishay Precision Group, Inc. (A)   306     9,838
Vontier Corp.   2,732     69,365
Zebra Technologies Corp., Class A (A)   933     385,982
          5,755,158
IT services – 4.0%      
Affirm Holdings, Inc. (A)   4,641     214,785
AgileThought, Inc. (A)   536     2,439
Akamai Technologies, Inc. (A)   2,665     318,174
Alliance Data Systems Corp.   859     48,233
Automatic Data Processing, Inc.   7,262     1,652,395
Backblaze, Inc., Class A (A)   179     1,910
BigBear.ai Holdings, Inc. (A)(B)   401     3,304
BigCommerce Holdings, Inc., Series 1 (A)   1,168     25,591
Block, Inc. (A)   8,060     1,092,936
BM Technologies, Inc. (A)   364     3,112
Brightcove, Inc. (A)   983     7,667
Broadridge Financial Solutions, Inc.   2,027     315,624
Cass Information Systems, Inc.   256     9,449
Cloudflare, Inc., Class A (A)   5,513     659,906
Cognizant Technology Solutions Corp., Class A   9,149     820,391
Concentrix Corp.   931     155,067
Conduent, Inc. (A)   4,515     23,297
CSG Systems International, Inc.   652     41,448
Cyxtera Technologies, Inc. (A)   2,238     27,348
DigitalOcean Holdings, Inc. (A)   1,853     107,196
 
  306  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
IT services (continued)      
DXC Technology Company (A)   4,538   $ 148,075
EPAM Systems, Inc. (A)   1,007     298,686
Euronet Worldwide, Inc. (A)   970     126,246
EVO Payments, Inc., Class A (A)   1,591     36,736
ExlService Holdings, Inc. (A)   612     87,681
Fastly, Inc., Class A (A)   1,995     34,673
Fidelity National Information Services, Inc.   10,660     1,070,477
Fiserv, Inc. (A)   11,535     1,169,649
FleetCor Technologies, Inc. (A)   1,441     358,895
Flywire Corp. (A)   1,698     51,925
Gartner, Inc. (A)   1,445     429,830
Genpact, Ltd.   3,430     149,239
Global Payments, Inc.   5,118     700,347
GoDaddy, Inc., Class A (A)   2,969     248,505
i3 Verticals, Inc., Class A (A)   606     16,883
IBM Corp.   15,529     2,019,081
Information Services Group, Inc.   1,192     8,118
Jack Henry & Associates, Inc.   1,234     243,160
Kyndryl Holdings, Inc. (A)   3,286     43,112
Limelight Networks, Inc. (A)   2,664     13,906
LiveRamp Holdings, Inc. (A)   1,229     45,952
Marqeta, Inc., Class A (A)   9,562     105,564
Mastercard, Inc., Class A   17,077     6,102,978
Maximus, Inc.   1,097     82,220
MoneyGram International, Inc. (A)   1,519     16,041
MongoDB, Inc. (A)   1,099     487,505
Okta, Inc. (A)   2,503     377,853
Paychex, Inc.   6,262     854,575
Paymentus Holdings, Inc., Class A (A)   1,879     39,609
Payoneer Global, Inc. (A)   5,500     24,530
PayPal Holdings, Inc. (A)   20,403     2,359,607
Paysign, Inc. (A)   1,105     2,177
Perficient, Inc. (A)   594     65,393
Rackspace Technology, Inc. (A)   3,379     37,710
Remitly Global, Inc. (A)   2,668     26,333
Sabre Corp. (A)   5,716     65,334
ServiceSource International, Inc. (A)   4,978     6,471
Shift4 Payments, Inc., Class A (A)   1,389     86,021
Snowflake, Inc., Class A (A)   5,222     1,196,517
SolarWinds Corp.   2,988     39,770
Squarespace, Inc., Class A (A)   2,323     59,515
StarTek, Inc. (A)   653     2,893
Switch, Inc., Class A   4,331     133,481
TaskUS, Inc., Class A (A)   1,642     63,151
The Glimpse Group, Inc. (A)   48     307
The Hackett Group, Inc.   696     16,050
The Western Union Company   7,336     137,477
Thoughtworks Holding, Inc. (A)   5,068     105,465
Toast, Inc., Class A (A)(B)   8,600     186,878
TTEC Holdings, Inc.   869     71,710
Twilio, Inc., Class A (A)   3,083     508,109
Unisys Corp. (A)   1,317     28,460
VeriSign, Inc. (A)   1,835     408,214
Verra Mobility Corp. (A)   3,031     49,345
Visa, Inc., Class A   33,526     7,435,061
WEX, Inc. (A)   812     144,901
          34,158,673
Semiconductors and semiconductor equipment – 5.1%      
ACM Research, Inc., Class A (A)   1,080     22,345
Advanced Micro Devices, Inc. (A)   28,392     3,104,381
Aehr Test Systems (A)   328     3,332
Allegro MicroSystems, Inc. (A)   3,523     100,053
Alpha & Omega Semiconductor, Ltd. (A)   545     29,784
Ambarella, Inc. (A)   657     68,932
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
Amkor Technology, Inc.   4,357   $ 94,634
Analog Devices, Inc.   9,288     1,534,192
Applied Materials, Inc.   15,640     2,061,352
Atomera, Inc. (A)   385     5,028
Axcelis Technologies, Inc. (A)   650     49,095
AXT, Inc. (A)   115     807
Azenta, Inc.   1,336     110,728
Broadcom, Inc.   7,118     4,482,062
CEVA, Inc. (A)   480     19,512
Cirrus Logic, Inc. (A)   781     66,221
CMC Materials, Inc.   564     104,566
Cohu, Inc. (A)   925     27,380
CyberOptics Corp. (A)   20     812
Diodes, Inc. (A)   789     68,635
EMagin Corp. (A)   532     606
Enphase Energy, Inc. (A)   2,373     478,824
Entegris, Inc.   2,358     309,511
Everspin Technologies, Inc. (A)   78     679
First Solar, Inc. (A)   1,901     159,190
FormFactor, Inc. (A)   1,486     62,457
GlobalFoundries, Inc. (A)(B)   9,337     582,816
Ichor Holdings, Ltd. (A)   384     13,678
Impinj, Inc. (A)   451     28,657
Intel Corp.   70,192     3,478,716
KLA Corp.   2,615     957,247
Kopin Corp. (A)   1,117     2,826
Kulicke & Soffa Industries, Inc.   1,125     63,023
Lam Research Corp.   2,431     1,306,930
Lattice Semiconductor Corp. (A)   2,444     148,962
MACOM Technology Solutions Holdings, Inc. (A)   1,271     76,095
Marvell Technology, Inc.   14,358     1,029,612
MaxLinear, Inc. (A)   1,397     81,515
Meta Materials, Inc. (A)(B)   4,648     7,762
Microchip Technology, Inc.   9,623     723,072
Micron Technology, Inc.   19,371     1,508,807
MKS Instruments, Inc.   979     146,850
Monolithic Power Systems, Inc.   781     379,316
NeoPhotonics Corp. (A)   1,119     17,020
NVE Corp.   120     6,536
NVIDIA Corp.   43,317     11,819,477
ON Semiconductor Corp. (A)   7,536     471,829
Onto Innovation, Inc. (A)   921     80,026
PDF Solutions, Inc. (A)   745     20,763
Photronics, Inc. (A)   1,478     25,082
Pixelworks, Inc. (A)   598     1,776
Power Integrations, Inc.   1,066     98,797
Qorvo, Inc. (A)   1,907     236,659
QUALCOMM, Inc.   19,389     2,963,027
Rambus, Inc. (A)   2,159     68,851
Semtech Corp. (A)   1,144     79,325
Silicon Laboratories, Inc. (A)   729     109,496
SiTime Corp. (A)   323     80,046
SkyWater Technology, Inc. (A)   576     6,238
Skyworks Solutions, Inc.   2,852     380,115
SMART Global Holdings, Inc. (A)   1,012     26,140
SunPower Corp. (A)   3,113     66,867
Synaptics, Inc. (A)   681     135,860
Teradyne, Inc.   2,847     336,601
Texas Instruments, Inc.   15,911     2,919,350
Ultra Clean Holdings, Inc. (A)   836     35,438
Universal Display Corp.   856     142,909
Veeco Instruments, Inc. (A)   1,119     30,426
WiSA Technologies, Inc. (A)   317     396
 
  307  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
Wolfspeed, Inc. (A)   2,067   $ 235,349
          43,895,401
Software – 9.4%      
8x8, Inc. (A)   2,080     26,187
A10 Networks, Inc.   1,431     19,962
ACI Worldwide, Inc. (A)   2,182     68,711
Adobe, Inc. (A)   8,262     3,764,332
Agilysys, Inc. (A)   497     19,820
Alarm.com Holdings, Inc. (A)   928     61,675
Alkami Technology, Inc. (A)   1,341     19,190
Altair Engineering, Inc., Class A (A)   1,383     89,065
Alteryx, Inc., Class A (A)   1,217     87,052
American Software, Inc., Class A   667     13,900
Amplitude, Inc., Class A (A)   1,760     32,437
Anaplan, Inc. (A)   2,601     169,195
ANSYS, Inc. (A)   1,548     491,722
Appfolio, Inc., Class A (A)   633     71,662
Appian Corp. (A)   1,266     76,998
AppLovin Corp., Class A (A)   6,582     362,471
Asana, Inc., Class A (A)   3,102     123,987
Aspen Technology, Inc. (A)   1,205     199,271
Auddia, Inc. (A)   478     975
Autodesk, Inc. (A)   3,853     825,891
Avalara, Inc. (A)   1,549     154,141
Avaya Holdings Corp. (A)   1,627     20,614
AvePoint, Inc. (A)   2,541     13,366
AvidXchange Holdings, Inc. (A)   2,123     17,090
Benefitfocus, Inc. (A)   722     9,112
Bentley Systems, Inc., Class B   4,989     220,414
Bill.com Holdings, Inc. (A)   1,661     376,698
Black Knight, Inc. (A)   2,771     160,690
Blackbaud, Inc. (A)   910     54,482
Blackline, Inc. (A)   1,061     77,686
Blend Labs, Inc., Class A (A)   3,398     19,369
Bottomline Technologies DE, Inc. (A)   850     48,178
Box, Inc., Class A (A)   2,797     81,281
Braze, Inc., Class A (A)   1,334     55,321
Bridgeline Digital, Inc. (A)   370     707
C3.ai, Inc., Class A (A)   1,825     41,428
Cadence Design Systems, Inc. (A)   4,872     801,249
CCC Intelligent Solutions Holdings, Inc. (A)   9,972     110,091
CDK Global, Inc.   2,209     107,534
Cerence, Inc. (A)   696     25,126
Ceridian HCM Holding, Inc. (A)   2,675     182,863
ChannelAdvisor Corp. (A)   600     9,942
Cipher Mining, Inc. (A)   3,155     11,484
Citrix Systems, Inc.   2,218     223,796
Clear Secure, Inc., Class A  (A)   2,462     66,179
Clearwater Analytics Holdings, Inc., Class A (A)   3,883     81,543
CommVault Systems, Inc. (A)   850     56,398
Confluent, Inc., Class A (A)   4,598     188,518
Consensus Cloud Solutions, Inc. (A)   297     17,859
CoreCard Corp. (A)   191     5,233
Couchbase, Inc. (A)   669     11,654
Coupa Software, Inc. (A)   1,310     133,135
Crowdstrike Holdings, Inc., Class A (A)   3,998     907,866
CS Disco, Inc. (A)   897     30,471
Datadog, Inc., Class A (A)   5,475     829,298
Datto Holding Corp. (A)   2,301     61,483
Digimarc Corp. (A)   294     7,753
DocuSign, Inc. (A)   3,447     369,243
Dolby Laboratories, Inc., Class A   1,788     139,857
Domo, Inc., Class B (A)   570     28,825
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
DoubleVerify Holdings, Inc. (A)   2,545   $ 64,058
Dropbox, Inc., Class A (A)   6,875     159,844
Duck Creek Technologies, Inc. (A)   2,105     46,563
Dynatrace, Inc. (A)   5,052     237,949
Ebix, Inc.   593     19,658
eGain Corp. (A)   755     8,743
Embark Technology, Inc. (A)(B)   4,887     28,784
Enfusion, Inc., Class A (A)   536     6,818
EngageSmart, Inc. (A)   2,523     53,765
Envestnet, Inc. (A)   1,010     75,184
Everbridge, Inc. (A)   700     30,548
EverCommerce, Inc. (A)   3,253     42,940
Expensify, Inc. (A)   591     10,378
Fair Isaac Corp. (A)   491     229,032
Five9, Inc. (A)   1,205     133,032
ForgeRock, Inc., Class A (A)   1,314     28,803
Fortinet, Inc. (A)   2,875     982,503
Freshworks, Inc., Class A (A)   4,778     85,622
Gitlab, Inc., Class A (A)(B)   2,234     121,641
Greenidge Generation Holdings, Inc. (A)   613     5,272
Guidewire Software, Inc. (A)   1,507     142,592
HashiCorp, Inc., Class A (A)(B)   2,736     147,744
HubSpot, Inc. (A)   834     396,100
Informatica, Inc., Class A (A)   3,963     78,230
Instructure Holdings, Inc. (A)   2,069     41,504
Intapp, Inc. (A)   876     21,033
InterDigital, Inc.   575     36,685
Intuit, Inc.   4,839     2,326,785
IronNet, Inc. (A)   1,494     5,677
Jamf Holding Corp. (A)   1,772     61,683
JFrog, Ltd. (A)   1,737     46,812
Kaltura, Inc. (A)   1,306     2,338
KnowBe4, Inc., Class A (A)   2,865     65,952
LivePerson, Inc. (A)   1,279     31,233
Mandiant, Inc. (A)   4,371     97,517
Manhattan Associates, Inc. (A)   1,136     157,575
Matterport, Inc. (A)   4,076     33,097
MeridianLink, Inc. (A)   1,186     21,467
Microsoft Corp.   130,055     40,097,257
MicroStrategy, Inc., Class A (A)   173     84,133
Mitek Systems, Inc. (A)   911     13,364
Model N, Inc. (A)   719     19,341
Momentive Global, Inc. (A)   2,729     44,374
N-able, Inc. (A)   3,262     29,684
nCino, Inc. (A)   1,572     64,421
NCR Corp. (A)   2,373     95,371
New Relic, Inc. (A)   1,168     78,116
NextNav, Inc. (A)   190     1,423
NortonLifeLock, Inc.   10,337     274,137
Nutanix, Inc., Class A (A)   3,791     101,675
Olo, Inc., Class A (A)   2,432     32,224
ON24, Inc. (A)   546     7,180
OneSpan, Inc. (A)   856     12,361
Oracle Corp.   47,450     3,925,539
PagerDuty, Inc. (A)   1,558     53,268
Palantir Technologies, Inc., Class A (A)   34,039     467,355
Palo Alto Networks, Inc. (A)   1,723     1,072,585
Paycom Software, Inc. (A)   1,066     369,241
Paycor HCM, Inc. (A)   3,177     92,482
Paylocity Holding Corp. (A)   973     200,214
Pegasystems, Inc.   1,468     118,394
Ping Identity Holding Corp. (A)   1,506     41,310
Procore Technologies, Inc. (A)   2,210     128,092
Progress Software Corp.   801     37,719
PROS Holdings, Inc. (A)   854     28,447
 
  308  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
PTC, Inc. (A)   2,118   $ 228,151
Q2 Holdings, Inc. (A)   1,009     62,205
Qualtrics International, Inc., Class A (A)   8,835     252,239
Qualys, Inc. (A)   711     101,254
Qumu Corp. (A)   653     1,149
Rapid7, Inc. (A)   1,011     112,464
Rekor Systems, Inc. (A)   852     3,885
Rimini Street, Inc. (A)   1,519     8,810
RingCentral, Inc., Class A (A)   1,448     169,720
Riot Blockchain, Inc. (A)   1,818     38,487
Sailpoint Technologies Holdings, Inc. (A)   1,710     87,518
salesforce.com, Inc. (A)   17,011     3,611,776
Samsara, Inc., Class A (A)(B)   7,257     116,257
Seachange International, Inc. (A)   981     1,109
SecureWorks Corp., Class A (A)   1,619     21,452
SEMrush Holdings, Inc., Class A (A)   2,229     26,614
SentinelOne, Inc., Class A (A)   4,539     175,841
ServiceNow, Inc. (A)   3,475     1,935,193
ShotSpotter, Inc. (A)   262     7,263
Smartsheet, Inc., Class A (A)   2,230     122,159
Smith Micro Software, Inc. (A)   28     106
Splunk, Inc. (A)   2,861     425,173
Sprinklr, Inc., Class A (A)   4,476     53,264
Sprout Social, Inc., Class A (A)   917     73,470
SPS Commerce, Inc. (A)   634     83,181
SS&C Technologies Holdings, Inc.   4,562     342,241
Stronghold Digital Mining, Inc., Class A (A)(B)   565     3,305
Sumo Logic, Inc. (A)   1,696     19,792
Synchronoss Technologies, Inc. (A)   1,177     2,036
Synopsys, Inc. (A)   2,638     879,166
Telos Corp. (A)   953     9,501
Tenable Holdings, Inc. (A)   1,938     111,997
Teradata Corp. (A)   1,965     96,855
Terawulf, Inc. (A)   1,276     10,718
The Trade Desk, Inc., Class A (A)   8,434     584,055
Tyler Technologies, Inc. (A)   728     323,880
UiPath, Inc., Class A (A)   8,998     194,267
Unity Software, Inc. (A)   4,988     494,859
Upland Software, Inc. (A)   553     9,738
UserTesting, Inc. (A)   35     374
Varonis Systems, Inc. (A)   1,938     92,133
Verint Systems, Inc. (A)   1,254     64,832
Veritone, Inc. (A)   504     9,213
Vertex, Inc., Class A (A)   2,371     36,371
Viant Technology, Inc., Class A (A)   801     5,247
VirnetX Holding Corp. (A)(B)   1,593     2,597
VMware, Inc., Class A   7,311     832,504
Vonage Holdings Corp. (A)   4,627     93,882
Weave Communications, Inc. (A)   191     1,138
Workday, Inc., Class A (A)   4,358     1,043,567
Workiva, Inc. (A)   906     106,908
Xperi Holding Corp.   2,083     36,078
Yext, Inc. (A)   2,330     16,054
Zendesk, Inc. (A)   2,143     257,781
Zeta Global Holdings Corp., Class A (A)(B)   2,980     37,995
Zoom Video Communications, Inc., Class A (A)   5,149     603,617
Zscaler, Inc. (A)   2,407     580,761
Zuora, Inc., Class A (A)   2,245     33,630
          80,513,180
Technology hardware, storage and peripherals – 6.1%      
3D Systems Corp. (A)   2,231     37,213
Apple, Inc.   284,142     49,614,035
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Technology hardware, storage and peripherals (continued)      
Avid Technology, Inc. (A)   850   $ 29,640
Corsair Gaming, Inc. (A)(B)   1,436     30,386
CPI Card Group, Inc. (A)   115     1,668
Dell Technologies, Inc., Class C (A)   13,218     663,411
Diebold Nixdorf, Inc. (A)   1,599     10,761
Eastman Kodak Company (A)   667     4,369
Hewlett Packard Enterprise Company   22,613     377,863
HP, Inc.   20,029     727,053
Immersion Corp. (A)   809     4,498
Intevac, Inc. (A)   745     3,986
IonQ, Inc. (A)(B)   2,837     36,200
Movano, Inc. (A)   115     312
NetApp, Inc.   3,922     325,526
Pure Storage, Inc., Class A (A)   5,116     180,646
Turtle Beach Corp. (A)   144     3,066
Western Digital Corp. (A)   5,491     272,628
Xerox Holdings Corp.   3,431     69,203
          52,392,464
          223,803,333
Materials – 2.5%          
Chemicals – 1.3%      
AdvanSix, Inc.   524     26,771
Air Products & Chemicals, Inc.   3,733     932,914
Albemarle Corp.   2,054     454,242
American Vanguard Corp.   728     14,793
Amyris, Inc. (A)   4,828     21,050
Ashland Global Holdings, Inc.   950     93,490
Aspen Aerogels, Inc. (A)   612     21,102
Avient Corp.   1,723     82,704
Axalta Coating Systems, Ltd. (A)   4,109     100,999
Balchem Corp.   457     62,472
Cabot Corp.   1,144     78,261
Celanese Corp.   1,702     243,165
CF Industries Holdings, Inc.   3,764     387,918
Chase Corp.   194     16,861
Corteva, Inc.   12,779     734,537
CVR Nitrogen LP (A)(C)   1,086     195
Diversey Holdings, Ltd. (A)   4,552     34,459
Dow, Inc.   12,927     823,708
DuPont de Nemours, Inc.   8,959     659,203
Eastman Chemical Company   2,352     263,565
Ecolab, Inc.   4,925     869,558
Ecovyst, Inc.   2,904     33,570
Ferro Corp. (A)   1,719     37,371
FMC Corp.   2,213     291,164
FutureFuel Corp.   1,090     10,606
GCP Applied Technologies, Inc. (A)   1,572     49,392
Ginkgo Bioworks Holdings, Inc. (A)   27,450     110,624
Hawkins, Inc.   532     24,419
HB Fuller Company   1,013     66,929
Huntsman Corp.   3,805     142,726
Ingevity Corp. (A)   765     49,014
Innospec, Inc.   510     47,201
International Flavors & Fragrances, Inc.   4,464     586,257
Intrepid Potash, Inc. (A)   302     24,806
Koppers Holdings, Inc.   482     13,265
Kronos Worldwide, Inc.   2,526     39,204
Livent Corp. (A)   2,960     77,167
LSB Industries, Inc. (A)   1,182     25,815
Minerals Technologies, Inc.   608     40,219
NewMarket Corp.   96     31,140
Olin Corp.   2,862     149,625
Origin Materials, Inc. (A)   1,904     12,528
PPG Industries, Inc.   4,098     537,125
Quaker Chemical Corp.   313     54,090
 
  309  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Chemicals (continued)      
Rayonier Advanced Materials, Inc. (A)   1,194   $ 7,845
RPM International, Inc.   2,026     164,997
Sensient Technologies Corp.   757     63,550
Stepan Company   50     4,941
The Chemours Company   3,059     96,297
The Mosaic Company   6,690     444,885
The Scotts Miracle-Gro Company   1,019     125,296
The Sherwin-Williams Company   4,520     1,128,282
Trecora Resources (A)   757     6,404
Tredegar Corp.   832     9,976
Trinseo PLC   96     4,600
Valhi, Inc.   636     18,641
Valvoline, Inc.   3,221     101,655
Westlake Chemical Partners LP   799     21,637
Westlake Corp.   2,210     272,714
Zymergen, Inc. (A)   1,577     4,558
          10,852,502
Construction materials – 0.1%      
Eagle Materials, Inc.   741     95,115
Martin Marietta Materials, Inc.   984     378,732
Summit Materials, Inc., Class A (A)   2,191     68,052
United States Lime & Minerals, Inc.   134     15,549
Vulcan Materials Company   2,073     380,810
          938,258
Containers and packaging – 0.3%      
AptarGroup, Inc.   916     107,630
Avery Dennison Corp.   1,438     250,169
Ball Corp.   5,543     498,870
Berry Global Group, Inc. (A)   2,354     136,438
Crown Holdings, Inc.   2,174     271,946
Graphic Packaging Holding Company   5,585     111,923
Greif, Inc., Class A   931     60,571
International Paper Company   6,640     306,436
Myers Industries, Inc.   844     18,230
O-I Glass, Inc. (A)   3,104     40,911
Packaging Corp. of America   1,509     235,570
Pactiv Evergreen, Inc.   2,656     26,719
Sealed Air Corp.   2,551     170,815
Silgan Holdings, Inc.   1,469     67,912
Sonoco Products Company   1,488     93,089
TriMas Corp.   1,020     32,732
Westrock Company   4,806     226,026
          2,655,987
Metals and mining – 0.8%      
Alcoa Corp.   3,330     299,800
Allegheny Technologies, Inc. (A)   2,447     65,677
Alpha Metallurgical Resources, Inc. (A)   352     46,450
Arconic Corp. (A)   1,987     50,907
Carpenter Technology Corp.   974     40,889
Century Aluminum Company (A)   1,740     45,779
Cleveland-Cliffs, Inc. (A)   8,588     276,619
Coeur Mining, Inc. (A)   4,942     21,992
Commercial Metals Company   2,212     92,063
Compass Minerals International, Inc.   667     41,881
Freeport-McMoRan, Inc.   25,599     1,273,294
Gatos Silver, Inc. (A)   868     3,750
Haynes International, Inc.   334     14,228
Hecla Mining Company   9,827     64,563
Kaiser Aluminum Corp.   336     31,638
Materion Corp.   423     36,268
MP Materials Corp. (A)   2,977     170,701
Newmont Corp.   13,932     1,106,897
Nucor Corp.   4,934     733,439
Olympic Steel, Inc.   325     12,500
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Metals and mining (continued)      
Pan American Silver Corp., CVR (A)   7,232   $ 6,075
Ramaco Resources, Inc.   575     9,085
Rare Element Resources, Ltd. (A)   467     546
Reliance Steel & Aluminum Company   900     165,015
Royal Gold, Inc.   1,128     159,364
Ryerson Holding Corp.   738     25,845
Schnitzer Steel Industries, Inc., Class A   547     28,411
Southern Copper Corp.   13,693     1,039,299
Steel Dynamics, Inc.   3,342     278,823
SunCoke Energy, Inc.   2,119     18,880
TimkenSteel Corp. (A)   1,005     21,989
U.S. Steel Corp.   4,538     171,264
Warrior Met Coal, Inc.   968     35,922
Worthington Industries, Inc.   793     40,768
          6,430,621
Paper and forest products – 0.0%      
Clearwater Paper Corp. (A)   390     10,932
Glatfelter Corp.   999     12,368
Louisiana-Pacific Corp.   1,575     97,839
Neenah, Inc.   345     13,683
Schweitzer-Mauduit International, Inc.   627     17,243
Sylvamo Corp. (A)   673     22,397
          174,462
          21,051,830
Real estate – 3.3%          
Equity real estate investment trusts – 3.1%      
Acadia Realty Trust   1,860     40,306
Agree Realty Corp.   883     58,596
Alexander & Baldwin, Inc.   1,506     34,924
Alexander's, Inc.   108     27,673
Alexandria Real Estate Equities, Inc.   2,408     484,610
American Assets Trust, Inc.   1,261     47,779
American Campus Communities, Inc.   2,673     149,608
American Homes 4 Rent, Class A   6,051     242,222
American Tower Corp.   7,895     1,983,382
Americold Realty Trust   4,031     112,384
Apartment Income REIT Corp.   2,951     157,760
Apartment Investment and Management Company, Class A (A)   3,114     22,794
Apple Hospitality REIT, Inc.   4,472     80,362
Armada Hoffler Properties, Inc.   1,229     17,943
Ashford Hospitality Trust, Inc. (A)   444     4,529
AvalonBay Communities, Inc.   2,283     567,029
Bluerock Residential Growth REIT, Inc.   683     18,147
Boston Properties, Inc.   2,803     361,026
Braemar Hotels & Resorts, Inc.   978     6,044
Brandywine Realty Trust   3,757     53,124
Brixmor Property Group, Inc.   5,578     143,968
Broadstone Net Lease, Inc.   1,879     40,925
BRT Apartments Corp.   385     9,228
Camden Property Trust   1,440     239,328
CareTrust REIT, Inc.   2,053     39,623
CatchMark Timber Trust, Inc., Class A   1,315     10,783
Centerspace   226     22,175
Chatham Lodging Trust (A)   1,057     14,576
Community Healthcare Trust, Inc.   472     19,923
Corporate Office Properties Trust   2,351     67,098
Cousins Properties, Inc.   2,993     120,588
Creative Media & Community Trust Corp.   337     2,608
Crown Castle International Corp.   7,537     1,391,330
CubeSmart   3,744     194,800
DiamondRock Hospitality Company (A)   4,163     42,046
Digital Realty Trust, Inc.   4,937     700,067
 
  310  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
DigitalBridge Group, Inc. (A)   9,145   $ 65,844
Diversified Healthcare Trust   5,157     16,502
Douglas Emmett, Inc.   3,408     113,895
Duke Realty Corp.   6,680     387,841
Easterly Government Properties, Inc.   1,561     33,000
EastGroup Properties, Inc.   743     151,037
Empire State Realty Trust, Inc., Class A   3,543     34,792
EPR Properties   1,457     79,712
Equinix, Inc.   1,565     1,160,635
Equity LifeStyle Properties, Inc.   2,967     226,916
Equity Residential   6,587     592,303
Essential Properties Realty Trust, Inc.   1,463     37,014
Essex Property Trust, Inc.   922     318,533
Extra Space Storage, Inc.   2,270     466,712
Farmland Partners, Inc.   930     12,788
Federal Realty Investment Trust   1,456     177,734
First Industrial Realty Trust, Inc.   2,476     153,289
Four Corners Property Trust, Inc.   1,453     39,289
Franklin Street Properties Corp.   2,261     13,340
Gaming and Leisure Properties, Inc.   4,421     207,478
Getty Realty Corp.   966     27,647
Gladstone Commercial Corp.   793     17,462
Gladstone Land Corp.   706     25,713
Global Medical REIT, Inc.   854     13,937
Global Net Lease, Inc.   1,979     31,130
Healthcare Realty Trust, Inc.   2,832     77,823
Healthcare Trust of America, Inc., Class A   4,107     128,713
Healthpeak Properties, Inc.   9,693     332,761
Hersha Hospitality Trust (A)   1,005     9,125
Highwoods Properties, Inc.   2,063     94,362
Host Hotels & Resorts, Inc.   13,023     253,037
Hudson Pacific Properties, Inc.   3,068     85,137
Independence Realty Trust, Inc.   2,095     55,392
Indus Realty Trust, Inc.   186     13,595
Industrial Logistics Properties Trust   1,490     33,778
Innovative Industrial Properties, Inc.   372     76,409
Invitation Homes, Inc.   10,409     418,234
Iron Mountain, Inc.   5,295     293,396
iStar, Inc.   1,236     28,935
JBG SMITH Properties   2,682     78,368
Kilroy Realty Corp.   2,170     165,831
Kimco Realty Corp.   11,178     276,097
Kite Realty Group Trust   4,091     93,152
Lamar Advertising Company, Class A   1,855     215,514
Life Storage, Inc.   1,345     188,878
LTC Properties, Inc.   837     32,199
LXP Industrial Trust   5,323     83,571
Medical Properties Trust, Inc.   10,170     214,994
MGM Growth Properties LLC, Class A   2,079     80,457
Mid-America Apartment Communities, Inc.   1,807     378,476
National Health Investors, Inc.   880     51,929
National Retail Properties, Inc.   3,402     152,886
National Storage Affiliates Trust   1,224     76,818
Necessity Retail REIT, Inc.   2,393     18,929
New York REIT Liquidating LLC (A)(C)   457     7,400
NexPoint Residential Trust, Inc.   522     47,142
Office Properties Income Trust   1,104     28,406
Omega Healthcare Investors, Inc.   4,522     140,906
One Liberty Properties, Inc.   547     16,842
Orion Office REIT, Inc.   983     13,762
Outfront Media, Inc.   2,732     77,671
Paramount Group, Inc.   4,815     52,532
Park Hotels & Resorts, Inc.   4,447     86,850
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Equity real estate investment trusts (continued)      
Pebblebrook Hotel Trust   2,611   $ 63,917
Phillips Edison & Company, Inc.   1,416     48,696
Physicians Realty Trust   3,981     69,827
Piedmont Office Realty Trust, Inc., Class A   2,477     42,654
Plymouth Industrial REIT, Inc.   429     11,626
PotlatchDeltic Corp.   1,335     70,395
Preferred Apartment Communities, Inc.   904     22,546
Prologis, Inc.   12,948     2,090,843
PS Business Parks, Inc.   213     35,801
Public Storage   2,878     1,123,226
Rayonier, Inc.   2,771     113,944
Realty Income Corp.   9,835     681,566
Regency Centers Corp.   3,192     227,717
Retail Opportunity Investments Corp.   2,507     48,611
Retail Value, Inc.   522     1,597
Rexford Industrial Realty, Inc.   2,347     175,063
RLJ Lodging Trust   3,441     48,449
RPT Realty   1,545     21,275
Ryman Hospitality Properties, Inc. (A)   1,027     95,275
Sabra Health Care REIT, Inc.   4,102     61,079
Safehold, Inc.   890     49,351
Saul Centers, Inc.   494     26,034
SBA Communications Corp.   1,901     654,134
Seritage Growth Properties, Class A (A)   866     10,964
Service Properties Trust   3,498     30,887
Simon Property Group, Inc.   5,765     758,443
SITE Centers Corp.   4,024     67,241
SL Green Realty Corp.   172     13,963
Spirit Realty Capital, Inc.   2,024     93,144
STAG Industrial, Inc.   2,912     120,411
STORE Capital Corp.   4,908     143,461
Summit Hotel Properties, Inc. (A)   2,173     21,643
Sun Communities, Inc.   1,906     334,103
Sunstone Hotel Investors, Inc. (A)   4,424     52,115
Tanger Factory Outlet Centers, Inc.   1,977     33,985
Terreno Realty Corp.   1,416     104,855
The GEO Group, Inc. (A)   2,079     13,742
The Macerich Company   3,197     50,001
UDR, Inc.   5,225     299,758
UMH Properties, Inc.   958     23,557
Uniti Group, Inc.   4,136     56,911
Universal Health Realty Income Trust   293     17,102
Urban Edge Properties   2,372     45,305
Urstadt Biddle Properties, Inc., Class A   889     16,722
Ventas, Inc.   7,160     442,202
Veris Residential, Inc. (A)   1,996     34,710
VICI Properties, Inc.   10,846     308,677
Vornado Realty Trust   3,603     163,288
Washington Real Estate Investment Trust   1,739     44,345
Welltower, Inc.   7,629     733,452
Weyerhaeuser Company   13,323     504,942
Whitestone REIT   991     13,131
WP Carey, Inc.   3,402     275,018
Xenia Hotels & Resorts, Inc. (A)   2,341     45,158
          27,071,020
Real estate management and development – 0.2%      
CBRE Group, Inc., Class A (A)   5,926     542,348
Compass, Inc., Class A (A)   6,964     54,737
Doma Holdings, Inc. (A)   5,923     12,853
Douglas Elliman, Inc.   1,405     10,257
eXp World Holdings, Inc.   2,650     56,101
Fathom Holdings, Inc. (A)   187     2,001
Five Point Holdings LLC, Class A (A)   2,953     18,043
Forestar Group, Inc. (A)   1,120     19,891
 
  311  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Real estate management and development (continued)      
FRP Holdings, Inc. (A)   258   $ 14,912
Jones Lang LaSalle, Inc. (A)   915     219,106
Kennedy-Wilson Holdings, Inc.   2,863     69,829
Marcus & Millichap, Inc.   768     40,458
Maui Land & Pineapple Company, Inc. (A)   514     5,711
Newmark Group, Inc., Class A   3,701     58,920
Offerpad Solutions, Inc. (A)   3,542     17,816
Opendoor Technologies, Inc. (A)   10,757     93,048
Rafael Holdings, Inc., Class B (A)   347     871
RE/MAX Holdings, Inc., Class A   431     11,952
Redfin Corp. (A)   1,922     34,673
Tejon Ranch Company (A)   613     11,193
The Howard Hughes Corp. (A)   903     93,560
The RMR Group, Inc., Class A   663     20,619
The St. Joe Company   1,186     70,259
Zillow Group, Inc., Class A (A)   45     2,170
Zillow Group, Inc., Class C (A)   4,332     213,524
          1,694,852
          28,765,872
Utilities – 2.5%          
Electric utilities – 1.5%      
ALLETE, Inc.   1,037     69,458
Alliant Energy Corp.   3,250     203,060
American Electric Power Company, Inc.   8,441     842,159
Avangrid, Inc.   5,835     272,728
Constellation Energy Corp.   5,699     320,569
Duke Energy Corp.   13,293     1,484,296
Edison International   6,709     470,301
Entergy Corp.   3,521     411,077
Evergy, Inc.   4,180     285,661
Eversource Energy   6,010     530,022
Exelon Corp.   17,098     814,378
FirstEnergy Corp.   9,491     435,257
Genie Energy, Ltd., B Shares   706     4,766
Hawaiian Electric Industries, Inc.   2,097     88,724
IDACORP, Inc.   933     107,631
MGE Energy, Inc.   751     59,922
NextEra Energy, Inc.   34,040     2,883,528
NRG Energy, Inc.   4,265     163,605
OGE Energy Corp.   4,136     168,666
Otter Tail Corp.   842     52,625
PG&E Corp. (A)   34,532     412,312
Pinnacle West Capital Corp.   1,796     140,268
PNM Resources, Inc.   1,631     77,750
Portland General Electric Company   1,751     96,568
PPL Corp.   13,420     383,275
The Southern Company   18,363     1,331,501
Via Renewables, Inc.   849     6,996
Xcel Energy, Inc.   9,408     678,975
          12,796,078
Gas utilities – 0.1%      
Atmos Energy Corp.   2,179     260,369
Chesapeake Utilities Corp.   361     49,731
National Fuel Gas Company   1,710     117,477
New Jersey Resources Corp.   1,858     85,208
Northwest Natural Holding Company   666     34,446
ONE Gas, Inc.   1,009     89,034
RGC Resources, Inc.   260     5,559
South Jersey Industries, Inc.   1,973     68,167
Southwest Gas Holdings, Inc.   848     66,390
Spire, Inc.   960     68,890
Star Group LP   997     11,067
Suburban Propane Partners LP   1,423     22,910
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Gas utilities (continued)      
UGI Corp.   3,548   $ 128,509
          1,007,757
Independent power and renewable electricity producers –
0.1%
     
Brookfield Renewable Corp., Class A   270     11,826
Clearway Energy, Inc., Class A   1,164     38,784
Clearway Energy, Inc., Class C   1,928     70,391
Montauk Renewables, Inc. (A)   2,059     23,061
NextEra Energy Partners LP   1,301     108,451
Ormat Technologies, Inc.   1,076     88,049
Sunnova Energy International, Inc. (A)   1,925     44,391
The AES Corp.   12,202     313,957
Vistra Corp.   8,925     207,506
          906,416
Multi-utilities – 0.7%      
Ameren Corp.   4,077     382,260
Avista Corp.   1,415     63,887
Black Hills Corp.   1,170     90,113
CenterPoint Energy, Inc.   10,525     322,486
CMS Energy Corp.   5,014     350,679
Consolidated Edison, Inc.   5,366     508,053
Dominion Energy, Inc.   14,098     1,197,907
DTE Energy Company   3,307     437,218
NiSource, Inc.   7,487     238,087
NorthWestern Corp.   981     59,341
Public Service Enterprise Group, Inc.   8,963     627,410
Sempra Energy   5,251     882,798
Unitil Corp.   366     18,256
WEC Energy Group, Inc.   5,493     548,256
          5,726,751
Water utilities – 0.1%      
American States Water Company   703     62,581
American Water Works Company, Inc.   3,135     518,937
Artesian Resources Corp., Class A   287     13,934
Cadiz, Inc. (A)   752     1,557
California Water Service Group   1,017     60,288
Essential Utilities, Inc.   3,802     194,396
Global Water Resources, Inc.   678     11,282
Middlesex Water Company   324     34,075
Pure Cycle Corp. (A)   700     8,414
SJW Group   625     43,488
The York Water Company   308     13,851
          962,803
          21,399,805
TOTAL COMMON STOCKS (Cost $351,495,714)   $ 846,175,089
PREFERRED SECURITIES – 0.0%          
Consumer discretionary – 0.0%          
Internet and direct marketing retail – 0.0%      
Qurate Retail, Inc., 8.000%   260     22,363
Industrials – 0.0%          
Industrial conglomerates – 0.0%      
Steel Partners Holdings LP, 6.000%   510     11,893
Information technology – 0.0%          
Semiconductors and semiconductor equipment – 0.0%      
Meta Materials, Inc. (A)(B)   2,456     2,996
TOTAL PREFERRED SECURITIES (Cost $84,689)   $ 37,252
WARRANTS – 0.0%          
Amplify Energy Corp. (Expiration Date: 5-4-22; Strike Price: $42.60) (A)   57     1
 
  312  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
WARRANTS (continued)          
Basic Energy Services, Inc. (Expiration Date: 12-23-23; Strike Price: $55.25) (A)   55   $ 0
Battalion Oil Corp. (Expiration Date: 10-8-22; Strike Price: $40.17) (A)(C)   46     1
Battalion Oil Corp. (Expiration Date: 8-10-22; Strike Price: $48.28) (A)(C)   57     1
Denbury, Inc. (Expiration Date: 9-18-23; Strike Price: $35.41) (A)   23     1,079
Hycroft Mining Holding Corp. (Expiration Date: 10-22-22) (A)(D)   196     52
Nabors Industries, Ltd. (Expiration Date: 6-11-26; Strike Price: $166.67) (A)   77     1,771
Oasis Petroleum, Inc. (Expiration Date: 11-19-24; Strike Price: $94.57) (A)   31     1,860
Tidewater, Inc., Class A (Expiration Date: 7-31-23; Strike Price: $57.06) (A)   66     60
Tidewater, Inc., Class B (Expiration Date: 7-31-23; Strike Price: $62.28) (A)   71     40
TOTAL WARRANTS (Cost $120,251)   $ 4,865
SHORT-TERM INVESTMENTS – 2.2%      
U.S. Government Agency – 0.2%          
Federal Home Loan Bank Discount Note
0.150%, 04/07/2022 *
$ 2,000,000     1,999,943
Short-term funds – 0.8%          
John Hancock Collateral Trust, 0.3592% (E)(F)   711,064     7,109,784
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS (continued)      
Repurchase agreement – 1.2%          
Repurchase Agreement with State Street Corp. dated 3-31-22 at 0.000% to be repurchased at $9,799,000 on 4-1-22, collateralized by $10,008,300 U.S. Treasury Notes, 2.250% due 3-31-24 (valued at $9,995,009) $ 9,799,000   $ 9,799,000
TOTAL SHORT-TERM INVESTMENTS (Cost $18,909,260)   $ 18,908,727
Total Investments (Total Stock Market Index Trust)
(Cost $370,609,914) – 100.8%
  $ 865,125,933
Other assets and liabilities, net – (0.8%)     (6,894,380)
TOTAL NET ASSETS – 100.0%   $ 858,231,553
Security Abbreviations and Legend
CVR Contingent Value Right
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $6,877,342.
(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 3-31-22.
(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)
Russell 2000 E-Mini Index Futures 21 Long Jun 2022 $2,108,771 $2,169,720 $60,949
S&P 500 Index E-Mini Futures 49 Long Jun 2022 10,443,061 11,100,338 657,277
            $718,226
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Ultra Short Term Bond Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
0.9%
     
U.S. Government Agency – 0.9%          
Federal Home Loan Mortgage Corp.          
1.640%, (6 month LIBOR + 1.515%), 12/01/2035 (A) $ 34,841   $ 35,590
1.697%, (12 month LIBOR + 1.447%), 06/01/2036 (A)   15,740     16,335
1.815%, (6 month LIBOR + 1.565%), 12/01/2036 (A)   21,646     22,096
1.875%, (12 month LIBOR + 1.608%), 02/01/2036 (A)   45,521     47,457
Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
1.901%, (12 month LIBOR + 1.642%), 09/01/2043 (A) $ 288,984   $ 299,107
1.907%, (12 month LIBOR + 1.607%), 05/01/2037 (A)   63,265     65,915
2.173%, (1 Year CMT + 2.086%), 12/01/2035 (A)   101,107     104,397
 
  313  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
2.290%, (1 Year CMT + 2.165%), 11/01/2036 (A) $ 82,885   $ 86,681
2.295%, (1 Year CMT + 2.295%), 08/01/2035 (A)   69,075     72,214
2.356%, (1 Year CMT + 2.231%), 05/01/2034 (A)   99,403     103,486
Federal National Mortgage Association          
1.587%, (12 month LIBOR + 1.295%), 10/01/2038 (A)   35,735     36,752
1.721%, (12 month LIBOR + 1.446%), 04/01/2035 (A)   265,003     270,253
1.807%, (6 month LIBOR + 1.521%), 02/01/2035 (A)   55,792     57,844
1.843%, (12 month LIBOR + 1.571%), 07/01/2035 (A)   147,173     150,907
1.847%, (6 month LIBOR + 1.490%), 10/01/2035 (A)   126,262     128,721
2.273%, (1 Year CMT + 2.148%), 01/01/2036 (A)   33,789     34,949
2.328%, (1 Year CMT + 2.195%), 02/01/2035 (A)   116,732     121,814
2.336%, (1 Year CMT + 2.174%), 01/01/2036 (A)   106,695     110,383
2.342%, (1 Year CMT + 2.196%), 05/01/2036 (A)   157,242     162,827
2.377%, (1 Year CMT + 2.275%), 07/01/2035 (A)   93,079     97,080
2.458%, (1 Year CMT + 2.333%), 05/01/2034 (A)   45,229     47,021
Government National Mortgage Association
1.625%, (1 Year CMT + 1.500%), 08/20/2032 to 08/20/2035 (A)
  212,788     217,811
          2,289,640
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $2,317,548)   $ 2,289,640
CORPORATE BONDS – 48.8%      
Communication services – 2.5%          
AT&T, Inc.
3.000%, 06/30/2022
  3,200,000     3,203,687
Charter Communications Operating LLC
4.464%, 07/23/2022
  2,000,000     2,007,332
Magallanes, Inc.
3.638%, 03/15/2025 (B)
  1,111,000     1,117,750
          6,328,769
Consumer discretionary – 4.5%          
American Honda Finance Corp.
0.650%, 09/08/2023
  2,000,000     1,949,232
eBay, Inc.
2.750%, 01/30/2023
  3,000,000     3,018,926
Nissan Motor Acceptance Company LLC
3.875%, 09/21/2023 (B)
  1,500,000     1,508,408
Toyota Motor Credit Corp.
1.150%, 05/26/2022
  2,000,000     1,999,509
Volkswagen Group of America Finance LLC
3.125%, 05/12/2023 (B)
  3,000,000     3,020,378
          11,496,453
Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer staples – 1.1%          
The Kroger Company
2.800%, 08/01/2022
$ 2,791,000   $ 2,797,386
Energy – 3.2%          
Energy Transfer LP
4.500%, 11/01/2023
  3,000,000     3,045,548
Enterprise Products Operating LLC
3.900%, 02/15/2024
  2,000,000     2,036,674
The Williams Companies, Inc.
4.500%, 11/15/2023
  3,000,000     3,062,390
          8,144,612
Financials – 23.8%          
Athene Global Funding
0.950%, 01/08/2024 (B)
  3,000,000     2,888,880
Bank of America Corp.
4.000%, 04/01/2024
  2,000,000     2,052,649
BNP Paribas SA
2.950%, 05/23/2022 (B)
  2,000,000     2,004,418
Brighthouse Financial Global Funding (SOFR + 0.760%) 0.846%, 04/12/2024 (A)(B)   2,000,000     2,004,382
Capital One Financial Corp.
3.750%, 04/24/2024
  3,176,000     3,222,289
Citigroup, Inc. (2.876% to 7-24-22, then 3 month LIBOR + 0.950%) 07/24/2023   3,000,000     3,004,106
Credit Agricole SA
3.750%, 04/24/2023 (B)
  2,000,000     2,026,523
Credit Suisse Group Funding Guernsey, Ltd.
3.800%, 09/15/2022
  3,000,000     3,030,905
Fifth Third Bancorp
3.650%, 01/25/2024
  2,000,000     2,024,654
Five Corners Funding Trust
4.419%, 11/15/2023 (B)
  3,000,000     3,066,125
JPMorgan Chase & Co. (1.514% to 6-1-23, then SOFR + 1.455%) 06/01/2024   5,000,000     4,932,356
Lloyds Banking Group PLC (2.907% to 11-7-23, then 3 month LIBOR + 0.810%) 11/07/2023   2,000,000     2,002,808
Morgan Stanley (3.737% to 4-24-23, then 3 month LIBOR + 0.847%) 04/24/2024   3,000,000     3,029,687
NatWest Markets PLC
3.625%, 09/29/2022 (B)
  5,000,000     5,040,011
Santander Holdings USA, Inc.
3.244%, 10/05/2026
  3,000,000     2,924,361
The Bank of New York Mellon Corp.
3.450%, 08/11/2023
  3,000,000     3,040,205
The Bank of Nova Scotia
1.950%, 02/01/2023
  3,000,000     3,000,778
The Goldman Sachs Group, Inc.
1.217%, 12/06/2023
  3,000,000     2,927,483
Toronto-Dominion Bank
0.450%, 09/11/2023
  2,000,000     1,944,702
UBS Group AG (1.008% to 7-30-23, then 1 Year CMT + 0.830%) 07/30/2024 (B)   3,000,000     2,918,257
Wells Fargo & Company
3.750%, 01/24/2024
  3,000,000     3,054,792
          60,140,371
Health care – 1.1%          
Cigna Corp.
0.613%, 03/15/2024
  3,000,000     2,876,970
 
  314  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials – 2.5%          
AerCap Ireland Capital DAC
3.150%, 02/15/2024 (C)
$ 2,000,000   $ 1,967,756
CNH Industrial Capital LLC
4.375%, 04/05/2022
  2,500,000     2,500,185
The Boeing Company
1.433%, 02/04/2024
  2,000,000     1,934,418
          6,402,359
Information technology – 5.9%          
Apple, Inc.
0.750%, 05/11/2023
  2,000,000     1,974,282
Hewlett Packard Enterprise Company
4.400%, 10/15/2022
  2,000,000     2,020,163
IBM Corp.
2.850%, 05/13/2022
  2,835,000     2,840,862
NXP BV
4.875%, 03/01/2024 (B)
  3,000,000     3,082,602
Oracle Corp.
2.625%, 02/15/2023
  3,000,000     3,005,582
VMware, Inc.
0.600%, 08/15/2023
  2,000,000     1,943,678
          14,867,169
Materials – 2.3%          
Georgia-Pacific LLC
0.625%, 05/15/2024 (B)
  3,000,000     2,865,680
Graphic Packaging International LLC
0.821%, 04/15/2024 (B)
  3,000,000     2,850,935
          5,716,615
Utilities – 1.9%          
Alexander Funding Trust
1.841%, 11/15/2023 (B)
  3,000,000     2,907,842
Eversource Energy
2.800%, 05/01/2023
  2,000,000     2,004,262
          4,912,104
TOTAL CORPORATE BONDS (Cost $125,920,303)     $ 123,682,808
MUNICIPAL BONDS – 0.8%          
Port Authority of New York & New Jersey
1.086%, 07/01/2023
  2,000,000     1,976,202
TOTAL MUNICIPAL BONDS (Cost $2,000,000)   $ 1,976,202
COLLATERALIZED MORTGAGE OBLIGATIONS – 0.6%      
Commercial and residential – 0.4%          
BX Commercial Mortgage Trust
Series 2022-AHP, Class A (1 month CME Term SOFR + 0.990%)
1.291%, 01/17/2039 (A)(B)
  408,000     402,655
COLT Mortgage Loan Trust
Series 2020-3, Class A1
1.506%, 04/27/2065 (B)(D)
  252,632     251,761
Vista Point Securitization Trust
Series 2020-1, Class A1
1.763%, 03/25/2065 (B)(D)
  374,997     374,085
          1,028,501
U.S. Government Agency – 0.2%          
Federal National Mortgage Association
Series 2013-10, Class FT (1 month LIBOR + 0.350%)
0.807%, 04/25/2042 (A)
  580,344     579,361
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $1,616,054)   $ 1,607,862
Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES – 19.2%      
Ally Auto Receivables Trust          
Series 2019-3, Class A3
1.930%, 05/15/2024
$ 288,709   $ 289,055
Series 2019-4, Class A3
1.840%, 06/17/2024
  1,164,169     1,165,178
American Tower Trust
Series 2013, Class 2A
3.070%, 03/15/2048 (B)
  2,500,000     2,485,009
AmeriCredit Automobile Receivables Trust
Series 2020-1, Class C
1.590%, 10/20/2025
  3,000,000     2,963,636
Avis Budget Rental Car Funding AESOP LLC
Series 2019-3A, Class A
2.360%, 03/20/2026 (B)
  3,000,000     2,916,851
BA Credit Card Trust
Series 2021-A1, Class A1
0.440%, 09/15/2026
  3,753,000     3,590,541
BMW Vehicle Lease Trust
Series 2022-1, Class A1
0.237%, 01/25/2023
  1,098,950     1,097,663
CarMax Auto Owner Trust          
Series 2018-4, Class A3
3.360%, 09/15/2023
  120,740     121,177
Series 2019-1, Class A3
3.050%, 03/15/2024
  400,234     401,746
Series 2022-1, Class A1
0.313%, 02/15/2023
  1,239,097     1,237,424
Carvana Auto Receivables Trust          
Series 2021-N4, Class A1
0.830%, 09/11/2028
  1,493,905     1,471,689
Series 2022-P1, Class A2
2.560%, 05/12/2025
  2,000,000     1,994,688
CCG Receivables Trust
Series 2019-1, Class B
3.220%, 09/14/2026 (B)
  1,140,000     1,147,675
Chesapeake Funding II LLC
Series 2020-1A, Class A1
0.870%, 08/15/2032 (B)
  341,640     338,906
CNH Equipment Trust
Series 2020-A, Class A3
1.160%, 06/16/2025
  1,303,676     1,294,391
Dell Equipment Finance Trust          
Series 2020-1, Class C
4.260%, 06/22/2023 (B)
  1,000,000     1,010,247
Series 2021-2, Class A2
0.330%, 12/22/2026 (B)
  130,000     128,368
Flagship Credit Auto Trust          
Series 2018-2, Class D
4.230%, 09/16/2024 (B)
  1,140,000     1,156,554
Series 2021-1, Class A
0.310%, 06/16/2025 (B)
  709,222     704,157
Ford Credit Auto Lease Trust
Series 2020-A, Class B
2.050%, 06/15/2023
  2,290,000     2,293,943
Ford Credit Auto Owner Trust
Series 2022-A, Class A1
0.239%, 02/15/2023
  1,183,229     1,181,964
Ford Credit Floorplan Master Owner Trust
Series 2019-3, Class A1
2.230%, 09/15/2024
  1,566,000     1,570,223
GM Financial Consumer Automobile Receivables Trust
Series 2022-1, Class A1
0.229%, 01/17/2023
  1,346,791     1,345,224
 
  315  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
GreatAmerica Leasing Receivables
Funding LLC
         
Series 2019-1, Class C
3.540%, 02/17/2026 (B)
$ 1,000,000   $ 1,009,919
Series 2021-1, Class A2
0.270%, 06/15/2023 (B)
  1,322,021     1,316,938
Series 2021-2, Class A2
0.380%, 03/15/2024 (B)
  1,425,000     1,401,233
HPEFS Equipment Trust
Series 2021-1A, Class A2
0.270%, 03/20/2031 (B)
  1,181,029     1,176,466
Mercedes-Benz Auto Receivables Trust
Series 2021-1, Class A2
0.210%, 07/15/2024
  1,821,080     1,809,572
MMAF Equipment Finance LLC          
Series 2019-A, Class A4
2.930%, 03/10/2026 (B)
  405,000     407,559
Series 2019-B, Class A3
2.010%, 12/12/2024 (B)
  112,356     112,096
Nissan Auto Receivables Owner Trust          
Series 2018-A, Class A4
2.890%, 06/17/2024
  644,375     645,573
Series 2019-A, Class A3
2.900%, 10/16/2023
  513,008     515,032
Series 2019-B, Class A3
2.500%, 11/15/2023
  809,162     812,587
Santander Consumer Auto Receivables Trust
Series 2020-AA, Class A
1.370%, 10/15/2024 (B)
  210,124     209,997
Santander Drive Auto Receivables Trust          
Series 2021-3, Class A2
0.290%, 05/15/2024
  652,999     652,047
Series 2021-3, Class A3
0.330%, 03/17/2025
  242,000     240,740
SCF Equipment Leasing
Series 2019-2A, Class A2
2.470%, 04/20/2026 (B)
  1,145,000     1,143,599
Tesla Auto Lease Trust
Series 2020-A, Class A3
0.680%, 12/20/2023 (B)
  434,000     431,135
Verizon Owner Trust          
Series 2019-C, Class C
2.160%, 04/22/2024
  295,000     294,047
Series 2020-A, Class B
1.980%, 07/22/2024
  125,000     124,679
Series 2020-B, Class A
0.470%, 02/20/2025
  3,000,000     2,957,871
Series 2020-C, Class A
0.410%, 04/21/2025
  239,000     234,358
Westlake Automobile Receivables Trust          
Series 2019-2A, Class C
2.840%, 07/15/2024 (B)
  352,367     352,800
Series 2021-3A, Class A2
0.570%, 09/16/2024 (B)
  650,000     645,471
World Omni Auto Receivables Trust          
Series 2018-C, Class A3
3.130%, 11/15/2023
  60,390     60,484
Series 2018-D, Class A3
3.330%, 04/15/2024
  111,949     112,427
TOTAL ASSET BACKED SECURITIES (Cost $49,401,041)     $ 48,572,939
SHORT-TERM INVESTMENTS – 29.1%      
U.S. Government – 28.4%          
U.S. Treasury Bill          
0.200%, 04/21/2022 *   15,000,000     14,998,979
Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS (continued)      
U.S. Government (continued)          
U.S. Treasury Bill (continued)          
0.290%, 05/26/2022 * $ 14,000,000   $ 13,993,851
0.330%, 06/02/2022 *   13,000,000     12,992,690
0.345%, 05/12/2022 *   15,000,000     14,996,729
0.553%, 06/30/2022 *   15,000,000     14,980,828
          71,963,077
Short-term funds – 0.7%          
John Hancock Collateral Trust, 0.3592% (E)(F)   10,127     101,257
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.3058% (E)   1,595,071     1,595,071
          1,696,328
TOTAL SHORT-TERM INVESTMENTS (Cost $73,654,461)   $ 73,659,405
Total Investments (Ultra Short Term Bond Trust)
(Cost $254,909,407) – 99.4%
  $ 251,788,856
Other assets and liabilities, net – 0.6%       1,503,557
TOTAL NET ASSETS – 100.0%       $ 253,292,413
Security Abbreviations and Legend
CME Chicago Mercantile Exchange
CMT Constant Maturity Treasury
LIBOR London Interbank Offered Rate
SOFR Secured Overnight Financing Rate
(A) Variable rate obligation. The coupon rate shown represents the rate at period end.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration. Rule 144A securities amounted to $56,425,672 or 22.3% of the fund's net assets as of 3-31-22.
(C) All or a portion of this security is on loan as of 3-31-22. The value of securities on loan amounted to $99,081.
(D) 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.
(E) The rate shown is the annualized seven-day yield as of 3-31-22.
(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.
 
  316  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Subadvisors of Affiliated Underlying Funds
Allspring Global Investments, LLC (Allspring Investments)
Dimensional Fund Advisors, LP (DFA)
Manulife Investment Management (US) LLC (MIM US)
Redwood Investments, LLC (Redwood)
T. Rowe Price Associates, Inc. (T. Rowe Price)
Wellington Management Company, LLP (Wellington)
The following portfolios had the following country composition as a percentage of net assets, unless otherwise indicated, on 3-31-22:
Capital Appreciation Trust
United States 88.7%
France 3.0%
Canada 3.0%
Australia 1.6%
Argentina 1.5%
Netherlands 1.4%
Other countries 0.8%
TOTAL 100.0%
Equity Income Trust
United States 89.8%
France 3.2%
Switzerland 1.9%
Germany 1.5%
Ireland 1.4%
Canada 1.1%
Other countries 1.1%
TOTAL 100.0%
Financial Industries Trust
United States 89.7%
Canada 3.5%
Switzerland 1.8%
Puerto Rico 1.4%
Finland 1.2%
France 1.0%
Other countries 1.4%
TOTAL 100.0%
Fundamental Large Cap Value Trust
United States 89.0%
Canada 2.6%
Switzerland 1.7%
United Kingdom 1.7%
Belgium 1.6%
France 1.3%
South Korea 1.1%
Netherlands 1.0%
TOTAL 100.0%
Health Sciences Trust
United States 87.8%
United Kingdom 3.3%
Switzerland 2.2%
Germany 1.9%
Netherlands 1.7%
Denmark 1.1%
Other countries 2.0%
TOTAL 100.0%
High Yield Trust
United States 80.7%
Cayman Islands 6.4%
Canada 3.4%
United Kingdom 1.3%
Netherlands 1.2%
Luxembourg 1.1%
Other countries 5.9%
TOTAL 100.0%
Investment Quality Bond Trust (as a percentage of total investments)
United States 89.1%
Cayman Islands 3.4%
Other countries 7.5%
TOTAL 100.0%
Mid Cap Growth Trust
United States 89.3%
Canada 4.2%
Israel 3.2%
Sweden 2.7%
Other countries 0.6%
TOTAL 100.0%
Mid Value Trust
United States 79.6%
Canada 7.9%
United Kingdom 2.8%
South Africa 1.6%
Belgium 1.3%
Netherlands 1.2%
Bermuda 1.1%
Other countries 4.5%
TOTAL 100.0%
Science & Technology Trust
United States 79.3%
China 8.3%
Germany 4.3%
South Korea 2.6%
Australia 1.2%
Taiwan 1.0%
Other countries 3.3%
TOTAL 100.0%
 
  317  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust
United States 67.7%
Japan 6.9%
United Kingdom 4.9%
Switzerland 3.6%
France 3.4%
Germany 2.5%
Australia 2.5%
Netherlands 1.5%
Sweden 1.0%
Ireland 1.0%
Other countries 5.0%
TOTAL 100.0%
Strategic Income Opportunities Trust
United States 56.1%
Canada 6.5%
Indonesia 3.6%
Luxembourg 3.1%
United Kingdom 2.5%
Mexico 2.3%
Australia 2.0%
Norway 1.6%
Brazil 1.5%
Supranational 1.5%
Other countries 19.3%
TOTAL 100.0%
Ultra Short Term Bond Trust
United States 89.4%
United Kingdom 2.8%
Canada 1.9%
France 1.6%
Netherlands 1.2%
Guernsey, Channel Islands 1.2%
Switzerland 1.1%
Other countries 0.8%
TOTAL 100.0%
 
The following portfolios had the following sector composition as a percentage of net assets on 3-31-22:
Disciplined Value International Trust
Industrials 18.7%
Financials 18.0%
Health care 12.3%
Materials 9.1%
Energy 9.1%
Consumer discretionary 8.1%
Communication services 7.6%
Information technology 5.6%
Consumer staples 5.2%
Utilities 2.2%
Real estate 0.4%
Short-term investments and other 3.7%
TOTAL 100.0%
Emerging Markets Value Trust
Financials 28.9%
Materials 16.6%
Information technology 11.8%
Energy 9.4%
Industrials 8.5%
Consumer discretionary 8.4%
Real estate 5.0%
Communication services 3.4%
Consumer staples 3.2%
Health care 2.4%
Utilities 1.5%
Short-term investments and other 0.9%
TOTAL 100.0%
Global Equity Trust
Information technology 16.1%
Financials 15.4%
Health care 14.7%
Communication services 12.6%
Industrials 10.4%
Consumer staples 10.0%
Materials 7.9%
Consumer discretionary 6.1%
Energy 4.6%
Real estate 0.8%
Short-term investments and other 1.4%
TOTAL 100.0%
International Equity Index Trust
Financials 19.4%
Industrials 11.9%
Information technology 11.7%
Consumer discretionary 10.7%
Health care 9.1%
Materials 8.6%
Consumer staples 8.3%
Communication services 5.9%
Energy 5.3%
Utilities 3.1%
Real estate 2.4%
Short-term investments and other 3.6%
TOTAL 100.0%
 
  318  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2022 (unaudited) (showing percentage of total net assets)

International Small Company Trust
Industrials 22.8%
Financials 13.1%
Materials 12.3%
Consumer discretionary 11.9%
Information technology 9.8%
Consumer staples 5.6%
Energy 5.4%
Health care 5.2%
Real estate 4.9%
Communication services 4.1%
Utilities 3.8%
Short-term investments and other 1.1%
TOTAL 100.0%
  319  

John Hancock Variable Insurance Trust
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 portfolios' Valuation Policies and Procedures.
In order to value the securities, the portfolios 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 are typically valued based on evaluated prices provided by an independent pricing vendor. Independent pricing vendors utilize matrix pricing, which takes into account factors such as institutional-size trading in similar groups of securities, yield, quality, coupon rate, maturity, type of issue, trading characteristics and other market data, as well as broker supplied prices. Exchange-traded options are valued at the mid-price of the last quoted bid and ask prices from the exchange where the option trades. Unlisted options are generally valued using evaluated prices obtained from an independent pricing vendor. Futures contracts whose settlement prices are determined as of the close of the NYSE are typically valued based on the settlement price while other futures contracts are typically valued at the last traded price on the exchange on which they trade. Foreign equity index futures that trade in the electronic trading market subsequent to the close of regular trading may be valued at the last traded price in the electronic trading market as of 4:00 P.M. ET, or may be fair valued based on fair value adjustment factors provided by an independent pricing vendor in order to adjust for events that may occur between the close of foreign exchanges or markets and the close of the NYSE. Swaps are 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 portfolios' 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 portfolios' Pricing Committee, following procedures established by the Board of Trustees. The portfolios 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 portfolios 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 portfolios' 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 portfolios' investments as of March 31, 2022, by major security category or type:
  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
500 Index Trust
Investments in securities:        
Assets        
Common stocks $7,818,588,353 $7,818,588,353
Short-term investments 202,150,224 3,350,498 $198,799,726
Total investments in securities $8,020,738,577 $7,821,938,851 $198,799,726
Derivatives:        
Assets        
Futures $11,217,622 $11,217,622
 
Active Bond Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $213,452,758 $213,452,758
Foreign government obligations 4,228,917 4,228,917
320

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Active Bond Trust (continued)
Corporate bonds $296,245,056 $296,245,056
Capital preferred securities 1,237,732 1,237,732
Municipal bonds 4,327,888 4,327,888
Term loans 2,322,289 2,322,289
Collateralized mortgage obligations 55,042,915 55,042,915
Asset backed securities 44,634,983 44,634,983
Common stocks 417,163 $417,163
Preferred securities 994,087 783,567 210,520
Warrants 27,720 27,720
Escrow certificates 265 265
Short-term investments 92,897,806 84,505,806 8,392,000
Total investments in securities $715,829,579 $85,734,256 $630,095,323
 
American Asset Allocation Trust
Investments in securities:        
Assets        
Investment companies $1,324,212,603 $1,324,212,603
Total investments in securities $1,324,212,603 $1,324,212,603
 
American Global Growth Trust
Investments in securities:        
Assets        
Investment companies $215,153,541 $215,153,541
Total investments in securities $215,153,541 $215,153,541
 
American Growth Trust
Investments in securities:        
Assets        
Investment companies $983,748,077 $983,748,077
Total investments in securities $983,748,077 $983,748,077
 
American Growth-Income Trust
Investments in securities:        
Assets        
Investment companies $995,250,724 $995,250,724
Total investments in securities $995,250,724 $995,250,724
 
American International Trust
Investments in securities:        
Assets        
Investment companies $426,841,653 $426,841,653
Total investments in securities $426,841,653 $426,841,653
 
Blue Chip Growth Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $434,094,882 $425,157,189 $8,937,693
Consumer discretionary 437,231,207 436,954,503 276,704
Financials 56,967,773 56,967,773
Health care 208,840,075 208,840,075
Industrials 22,457,554 22,457,554
321

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Blue Chip Growth Trust (continued)
Information technology $884,401,313 $881,426,311 $2,975,002
Materials 6,885,682 6,885,682
Real estate 2,886,505 2,886,505
Short-term investments 10,703,269 10,703,269
Total investments in securities $2,064,468,260 $2,052,278,861 $12,189,399
 
Capital Appreciation Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $75,676,712 $75,676,712
Consumer discretionary 183,053,220 165,040,196 $18,013,024
Consumer staples 19,415,793 19,415,793
Energy 5,337,376 5,337,376
Financials 16,802,158 16,802,158
Health care 48,482,966 48,482,966
Industrials 8,704,386 8,704,386
Information technology 230,837,105 222,260,702 8,576,403
Real estate 2,656,903 2,656,903
Short-term investments 3,912,092 3,912,092
Total investments in securities $594,878,711 $568,289,284 $26,589,427
 
Capital Appreciation Value Trust
Investments in securities:        
Assets        
Common stocks $316,486,367 $312,115,710 $4,370,657
Preferred securities 2,555,048 2,555,048
U.S. Government and Agency obligations 30,398,975 30,398,975
Corporate bonds 31,788,643 31,788,643
Convertible bonds 889,868 889,868
Term loans 49,739,415 49,739,415
Asset backed securities 1,173,341 1,173,341
Short-term investments 46,880,799 44,596,799 2,284,000
Total investments in securities $479,912,456 $359,267,557 $120,644,899
Derivatives:        
Liabilities        
Written options $(2,519,152) $(2,519,152)
 
Core Bond Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $529,513,545 $529,513,545
Foreign government obligations 8,301,863 8,301,863
Corporate bonds 285,206,827 285,206,827
Municipal bonds 3,513,857 3,513,857
Collateralized mortgage obligations 72,645,504 72,645,504
Asset backed securities 72,407,035 72,407,035
Short-term investments 20,727,931 $20,727,931
Total investments in securities $992,316,562 $20,727,931 $971,588,631
 
322

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Disciplined Value International Trust
Investments in securities:        
Assets        
Common stocks        
Austria $1,759,197 $1,759,197
Bermuda 5,725,617 $5,725,617
Canada 20,935,376 20,935,376
China 1,241,723 1,241,723
Finland 6,570,331 6,570,331
France 36,632,793 36,632,793
Germany 18,783,179 18,783,179
Greece 1,938,975 1,938,975
India 2,733,478 2,733,478
Ireland 4,455,366 4,455,366
Italy 1,348,875 1,348,875
Japan 37,345,286 37,345,286
Netherlands 7,113,058 7,113,058
Norway 1,516,879 1,516,879
South Korea 17,141,063 17,141,063
Spain 2,923,113 2,923,113
Sweden 6,571,863 6,571,863
Switzerland 30,897,411 30,897,411
United Kingdom 60,176,261 18,708,806 41,467,455
United States 5,692,936 5,692,936
Preferred securities 2,560,942 2,560,942
Short-term investments 18,609,850 18,609,850
Total investments in securities $292,673,572 $72,406,063 $220,267,509
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
Emerging Markets Value Trust
Investments in securities:        
Assets        
Common stocks        
Australia $42,908 $42,908
Belgium 36,746 36,746
Brazil 8,644,671 $8,644,671
Chile 1,138,737 383,349 755,388
China 59,099,352 4,722,771 54,278,252 $98,329
Colombia 162,639 162,639
Czech Republic 314,595 314,595
Greece 601,565 601,565
Hong Kong 10,539,887 10,448,308 91,579
Hungary 509,970 509,970
India 34,478,351 163,793 34,308,402 6,156
Indonesia 4,353,539 4,310,160 43,379
Malaysia 4,239,176 4,239,176
Mexico 6,053,401 6,053,401
Philippines 1,975,241 1,975,064 177
Poland 1,867,681 1,867,681
Qatar 1,742,111 1,742,111
Russia 101,223 101,223
Saudi Arabia 8,683,913 8,683,913
Singapore 185,156 185,156
South Africa 10,322,285 932,132 9,390,153
South Korea 31,755,569 2,964,446 28,791,123
Taiwan 43,789,246 43,789,246
Thailand 5,247,104 5,247,104
323

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Emerging Markets Value Trust (continued)
Turkey $1,196,241 $1,195,888 $353
Ukraine 63,881 63,881
United Arab Emirates 2,246,842 2,246,842
United States 59,893 59,893
Preferred securities        
Brazil 4,992,347 $4,992,347
Colombia 144,051 144,051
Philippines 13,974 13,974
Taiwan 13,559 13,559
Warrants 578 578
Rights 41 41
Short-term investments 2,880,536 2,880,536
Total investments in securities $247,497,009 $32,229,333 $214,926,480 $341,196
Derivatives:        
Assets        
Futures $61,728 $61,728
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
Equity Income Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $69,914,922 $69,914,922
Consumer discretionary 54,973,742 54,973,742
Consumer staples 102,516,580 102,516,580
Energy 103,720,631 75,452,754 $28,267,877
Financials 337,617,770 337,617,770
Health care 276,089,935 264,533,884 11,556,051
Industrials 167,576,613 167,576,613
Information technology 128,133,329 128,133,329
Materials 84,240,684 79,814,483 4,426,201
Real estate 71,565,942 71,565,942
Utilities 136,831,681 136,831,681
Preferred securities 22,466,377 22,466,377
Short-term investments 23,487,581 23,487,581
Total investments in securities $1,579,135,787 $1,534,885,658 $44,250,129
 
Financial Industries Trust
Investments in securities:    
Assets        
Common stocks        
Financials        
Banks $100,552,483 $97,087,390 $3,465,093
Capital markets 29,218,832 29,218,832
Consumer finance 6,183,903 6,183,903
Diversified financial services 5,363,593 3,600,741 1,762,852
Insurance 27,892,244 27,892,244
Thrifts and mortgage finance 2,383,563 2,383,563
Real estate        
Equity real estate investment trusts 5,802,960 5,802,960
Real estate management and development 1,232,376 1,232,376
Short-term investments 1,540,000 1,540,000
Total investments in securities $180,169,954 $172,169,633 $8,000,321
 
324

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Fundamental All Cap Core Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $397,494,628 $397,494,628
Consumer discretionary 529,013,945 487,168,571 $41,845,374
Consumer staples 165,761,274 165,761,274
Energy 173,501,901 173,501,901
Financials 339,400,425 339,400,425
Health care 180,017,170 180,017,170
Industrials 142,893,969 142,893,969
Information technology 294,260,712 294,260,712
Materials 24,601,458 24,601,458
Real estate 80,092,350 80,092,350
Short-term investments 22,443,000 22,443,000
Total investments in securities $2,349,480,832 $2,285,192,458 $64,288,374
 
Fundamental Large Cap Value Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $73,158,513 $73,158,513
Consumer discretionary 59,129,976 53,754,801 $5,375,175
Consumer staples 71,452,589 53,757,911 17,694,678
Energy 81,078,282 81,078,282
Financials 146,653,700 146,653,700
Health care 134,314,267 134,314,267
Industrials 107,486,379 107,486,379
Information technology 76,259,552 67,258,952 9,000,600
Materials 7,547,091 7,547,091
Real estate 20,620,640 20,620,640
Short-term investments 23,196,000 23,196,000
Total investments in securities $800,896,989 $745,630,536 $55,266,453
 
Global Equity Trust
Investments in securities:        
Assets        
Common stocks        
France $42,306,833 $42,306,833
Germany 3,367,624 3,367,624
Ireland 3,830,635 3,830,635
Japan 14,720,215 14,720,215
Netherlands 18,950,958 18,950,958
Spain 4,016,255 4,016,255
Switzerland 15,665,030 $5,861,716 9,803,314
United Kingdom 23,061,567 23,061,567
United States 183,576,539 183,576,539
Preferred securities 9,100,037 9,100,037
Short-term investments 5,141,656 5,141,656
Total investments in securities $323,737,349 $194,579,911 $129,157,438
 
325

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Health Sciences Trust
Investments in securities:        
Assets        
Common stocks        
Consumer discretionary $1,523,648 $1,523,648
Financials 572,547 572,547
Health care 297,055,201 287,077,912 $9,958,674 $18,615
Industrials 1,156,743 1,156,743
Information technology 213,246 213,246
Materials 317,798 317,798
Preferred securities 1,541,613 1,541,613
Warrants 11,184 11,184
Short-term investments 873,790 873,790
Total investments in securities $303,265,770 $291,533,622 $11,713,533 $18,615
 
High Yield Trust
Investments in securities:        
Assets        
Foreign government obligations $1,300,231 $1,300,231
Corporate bonds 166,321,632 166,321,632
Convertible bonds 3,017,289 3,017,289
Term loans 9,169,971 8,684,906 $485,065
Asset backed securities 11,249,392 11,249,392
Common stocks 1,491,839 $1,487,926 979 2,934
Preferred securities 1,937,363 883,072 505,028 549,263
Short-term investments 15,654,828 15,654,828
Total investments in securities $210,142,545 $18,025,826 $191,079,457 $1,037,262
Derivatives:        
Assets        
Forward foreign currency contracts $2,301 $2,301
Swap contracts 48,085 48,085
Liabilities        
Futures (241,367) $(241,367)
Forward foreign currency contracts (22,572) (22,572)
Swap contracts (2,854) (2,854)
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
International Equity Index Trust
Investments in securities:        
Assets        
Common stocks        
Australia $46,451,830 $46,451,830
Austria 1,123,829 1,123,829
Belgium 4,772,739 4,772,739
Brazil 10,701,837 $10,701,837
Canada 74,841,248 74,338,166 503,082
Chile 1,071,319 621,784 449,535
China 65,913,193 14,665,412 51,247,781
Colombia 340,813 340,813
Czech Republic 491,026 491,026
Denmark 15,341,868 15,341,868
Egypt 173,292 173,292
Finland 6,514,769 6,514,769
France 61,208,151 61,208,151
Germany 42,818,639 42,818,639
326

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
International Equity Index Trust (continued)
Greece $626,993 $623,892 $3,101
Hong Kong 21,155,664 $182,141 20,961,757 11,766
Hungary 472,184 472,184
India 32,333,325 4,418,849 27,914,476
Indonesia 4,448,482 11,438 4,437,044
Ireland 5,489,600 231,288 5,258,312
Israel 4,167,129 1,290,415 2,876,714
Italy 11,602,012 11,602,012
Japan 125,632,258 125,632,258
Jordan 186,336 186,336
Luxembourg 1,874,547 1,874,547
Macau 218,866 218,866
Malaysia 3,807,326 3,807,326
Mexico 5,978,993 5,978,993
Netherlands 26,991,316 26,991,316
New Zealand 1,458,206 1,458,206
Norway 4,440,334 4,440,334
Peru 717,673 717,673
Philippines 1,836,185 1,836,185
Poland 1,929,310 1,929,310
Portugal 863,903 863,903
Romania 100,025 100,025
Russia 508,317 508,317
Saudi Arabia 9,796,709 9,796,709
Singapore 8,675,802 1,522,050 7,153,752
South Africa 9,637,336 9,637,336
South Korea 28,757,678 92,481 28,665,197
Spain 13,725,494 75,382 13,650,112
Sweden 19,638,113 19,638,113
Switzerland 62,913,768 62,913,768
Taiwan 38,406,262 38,406,262
Thailand 4,161,119 4,161,119
Turkey 676,637 676,637
United Arab Emirates 9 9
United Kingdom 82,718,827 82,718,827
United States 756,023 568,529 187,494
Preferred securities        
Brazil 3,900,738 3,900,738
Germany 2,765,393 2,765,393
South Korea 1,649,324 1,649,324
Rights 10,970 10,970
Warrants 2,058 2,058
Short-term investments 38,502,896 38,502,896
Total investments in securities $915,298,693 $158,162,943 $756,612,566 $523,184
Derivatives:        
Assets        
Futures $1,522,614 $1,522,614
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
International Small Company Trust
Investments in securities:        
Assets        
Common stocks        
Australia $8,225,868 $140,310 $8,085,558
Austria 1,745,213 1,745,213
Belgium 1,830,484 24,565 1,805,919
327

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
International Small Company Trust (continued)
Bermuda $179,612 $179,612
Cambodia 46,069 46,069
Canada 13,739,429 $13,739,428 $1
Chile 1,326 1,326
China 25,045 25,045
Denmark 2,443,857 2,443,857
Finland 2,494,958 2,494,958
France 5,524,820 5,522,657 2,163
Gabon 3,912 3,912
Georgia 51,682 51,682
Germany 7,045,283 7,045,283
Gibraltar 38,289 38,289
Greece 67 67
Guernsey, Channel Islands 150 150
Hong Kong 2,603,116 2,580,378 22,738
Ireland 854,317 854,317
Isle of Man 140,895 140,895
Israel 2,420,670 49,074 2,371,596
Italy 3,802,116 3,802,116
Japan 25,760,743 25,760,743
Jersey, Channel Islands 140,331 140,331
Liechtenstein 62,912 62,912
Luxembourg 681,123 681,123
Macau 17,774 17,774
Malaysia 18,662 18,662
Malta 17,049 17,049
Netherlands 2,776,757 2,776,757
New Zealand 639,124 639,124
Norway 1,101,672 1,101,672
Peru 27,751 27,751
Portugal 410,393 410,393
Singapore 1,480,258 1,465,013 15,245
South Africa 213,275 213,275
Spain 2,419,761 2,419,761
Sweden 3,551,468 3,551,468
Switzerland 8,042,924 8,042,924
Taiwan 7,242 7,242
United Arab Emirates 4,426 4,426
United Kingdom 13,375,472 12,438 13,346,263 16,771
United States 622,434 200,347 422,087
Preferred securities 343,788 343,788
Warrants 830 83 747
Short-term investments 8,054,133 8,054,133
Total investments in securities $122,987,480 $22,221,704 $100,708,641 $57,135
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
Investment Quality Bond Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $178,146,858 $178,146,858
Foreign government obligations 12,717,946 12,717,946
Corporate bonds 70,476,202 70,476,202
Municipal bonds 5,320,007 5,320,007
Term loans 5,982,938 5,982,938
Collateralized mortgage obligations 38,855,910 38,855,910
Asset backed securities 21,952,379 21,952,379
Common stocks 14,318 14,318
328

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Investment Quality Bond Trust (continued)
Short-term investments $3,137,970 $537,970 $2,600,000
Total investments in securities $336,604,528 $537,970 $336,066,558
Derivatives:        
Assets        
Futures $1,486,619 $1,486,619
Forward foreign currency contracts 69,694 $69,694
Swap contracts 662,071 662,071
Liabilities        
Futures (465,297) (465,297)
Forward foreign currency contracts (129,445) (129,445)
 
Lifestyle Balanced Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $1,090,679,125 $1,090,679,125
Total investments in securities $1,090,679,125 $1,090,679,125
 
Lifestyle Conservative Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $206,664,269 $206,664,269
Short-term investments 93 93
Total investments in securities $206,664,362 $206,664,362
 
Lifestyle Growth Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $5,895,715,107 $5,895,715,107
Total investments in securities $5,895,715,107 $5,895,715,107
 
Lifestyle Moderate Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $329,043,370 $329,043,370
Short-term investments 27 27
Total investments in securities $329,043,397 $329,043,397
 
Managed Volatility Balanced Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $5,035,767,994 $5,035,767,994
Unaffiliated investment companies 86,286,542 86,286,542
Corporate bonds 2,500,466 $2,500,466
Short-term investments 13,219,024 12,559,061 659,963
Total investments in securities $5,137,774,026 $5,134,613,597 $3,160,429
Derivatives:        
Assets        
Futures $1,329,268 $1,329,268
Liabilities        
Futures (36,569,246) (36,569,246)
 
329

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Managed Volatility Conservative Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $799,824,025 $799,824,025
Unaffiliated investment companies 6,744,969 6,744,969
U.S. Government and Agency obligations 499,963 $499,963
Short-term investments 3,556,767 3,556,767
Total investments in securities $810,625,724 $810,125,761 $499,963
Derivatives:        
Assets        
Futures $49,452 $49,452
Liabilities        
Futures (7,767) (7,767)
 
Managed Volatility Growth Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $6,304,583,771 $6,304,583,771
Unaffiliated investment companies 140,590,385 140,590,385
Corporate bonds 2,500,466 $2,500,466
Short-term investments 24,347,033 24,347,033
Total investments in securities $6,472,021,655 $6,469,521,189 $2,500,466
Derivatives:        
Assets        
Futures $3,593,722 $3,593,722
Liabilities        
Futures (76,395,940) (76,395,940)
 
Managed Volatility Moderate Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $1,420,989,759 $1,420,989,759
Unaffiliated investment companies 24,968,874 24,968,874
U.S. Government and Agency obligations 1,499,890 $1,499,890
Short-term investments 2,681,462 2,681,462
Total investments in securities $1,450,139,985 $1,448,640,095 $1,499,890
Derivatives:        
Assets        
Futures $209,655 $209,655
Liabilities        
Futures (6,784,969) (6,784,969)
 
Mid Cap Growth Trust
Investments in securities:        
Assets        
Common stocks $712,237,631 $712,237,631
Preferred securities 5,499,210 $5,499,210
Short-term investments 14,931,114 731,114 $14,200,000
Total investments in securities $732,667,955 $712,968,745 $14,200,000 $5,499,210
 
330

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Mid Cap Index Trust
Investments in securities:        
Assets        
Common stocks $1,296,742,942 $1,296,742,942
Short-term investments 62,631,972 9,840,064 $52,791,908
Total investments in securities $1,359,374,914 $1,306,583,006 $52,791,908
Derivatives:        
Assets        
Futures $1,928,682 $1,928,682
 
Mid Value Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $38,967,753 $38,967,753
Consumer discretionary 16,980,156 13,845,497 $3,134,659
Consumer staples 55,783,753 51,269,816 4,513,937
Energy 79,820,383 78,637,408 1,182,975
Financials 120,881,053 114,469,044 6,412,009
Health care 88,956,115 84,214,588 4,741,527
Industrials 40,766,785 34,563,417 6,203,368
Information technology 7,029,405 7,029,405
Materials 78,203,004 72,201,513 6,001,491
Real estate 50,710,374 50,710,374
Utilities 47,744,558 47,744,558
Corporate bonds 178,020 178,020
Short-term investments 32,122,520 32,122,520
Total investments in securities $658,143,879 $625,775,893 $32,367,986
 
Opportunistic Fixed Income Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $14,085,635 $14,085,635
Foreign government obligations 79,098,923 79,098,923
Corporate bonds 40,918,104 40,918,104
Convertible bonds 4,446,607 4,446,607
Municipal bonds 6,606,143 6,606,143
Term loans 12,063,125 12,063,125
Collateralized mortgage obligations 10,386,241 10,386,241
Asset backed securities 11,022,822 11,022,822
Preferred securities 67,191 $60,004 7,187
Exchange-traded funds 9,041,060 9,041,060
Short-term investments 8,667,495 8,667,495
Total investments in securities $196,403,346 $17,768,559 $178,634,787
Derivatives:        
Assets        
Futures $1,539,165 $1,539,165
Forward foreign currency contracts 644,027 $644,027
Swap contracts 2,148,205 2,148,205
Assets        
Liabilities        
Futures (435,271) (435,271)
Forward foreign currency contracts (1,341,039) (1,341,039)
Swap contracts (2,965,648) (2,965,648)
 
331

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Real Estate Securities Trust
Investments in securities:        
Assets        
Common stocks $390,105,863 $390,105,863
Short-term investments 3,903,207 3,903,207
Total investments in securities $394,009,070 $394,009,070
 
Science & Technology Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $116,129,880 $112,296,297 $3,548,564 $285,019
Consumer discretionary 190,206,598 146,584,716 43,621,882
Industrials 3,294,632 3,294,632
Information technology 518,187,352 486,274,407 31,912,945
Real estate 2,817,733 2,817,733
Short-term investments 43,427,291 21,511,291 21,916,000
Total investments in securities $874,063,486 $772,779,076 $100,999,391 $285,019
 
Select Bond Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $2,163,108,666 $2,163,108,666
Foreign government obligations 26,479,027 26,479,027
Corporate bonds 2,764,583,923 2,764,583,923
Municipal bonds 86,722,108 86,722,108
Collateralized mortgage obligations 703,510,889 703,510,889
Asset backed securities 1,278,991,326 1,278,991,326
Preferred securities 8,168,282 $8,168,282
Short-term investments 248,141,666 5,618,666 242,523,000
Total investments in securities $7,279,705,887 $13,786,948 $7,265,918,939
 
Short Term Government Income Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $163,637,379 $163,637,379
Municipal bonds 7,895,927 7,895,927
Collateralized mortgage obligations 1,553,263 1,553,263
Short-term investments 543,000 543,000
Total investments in securities $173,629,569 $173,629,569
 
Small Cap Index Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $18,193,927 $18,193,927
Consumer discretionary 59,690,583 59,676,662 $13,921
Consumer staples 20,439,366 20,439,366
Energy 38,726,196 38,726,196
Financials 92,099,589 92,099,589
Health care 97,123,907 96,973,583 $150,324
Industrials 90,396,415 90,396,415
Information technology 80,018,252 80,018,252
Materials 23,448,351 23,448,351
332

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Small Cap Index Trust (continued)
Real estate $45,606,418 $45,606,418
Utilities 17,341,639 17,341,639
Rights 118 $118
Warrants 15,364 15,364
Short-term investments 30,328,229 8,118,265 22,209,964
Total investments in securities $613,428,354 $591,054,027 $22,224,003 $150,324
Derivatives:        
Assets        
Futures $663,774 $663,774
 
Small Cap Opportunities Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $3,789,535 $3,789,535
Consumer discretionary 19,558,025 19,558,025
Consumer staples 6,618,994 6,618,994
Energy 11,747,479 11,747,479
Financials 32,890,021 32,890,021
Health care 17,765,630 17,739,451 $26,179
Industrials 29,282,794 29,282,794
Information technology 20,609,062 20,609,062
Materials 12,224,121 12,224,121
Real estate 2,408,334 2,408,334
Utilities 1,059,440 1,059,440
Preferred securities 44,351 44,351
Short-term investments 1,423,214 1,423,214
Total investments in securities $159,421,000 $159,394,821 $26,179
 
Small Cap Stock Trust
Investments in securities:        
Assets        
Common stocks $322,232,956 $322,232,956
Short-term investments 15,216,092 1,116,092 $14,100,000
Total investments in securities $337,449,048 $323,349,048 $14,100,000
 
Small Cap Value Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $5,975,868 $5,975,868
Consumer discretionary 38,935,112 38,935,112
Consumer staples 20,581,255 11,171,113 $9,410,142
Energy 6,751,038 6,751,038
Financials 127,844,374 127,844,374
Health care 40,002,252 40,002,252
Industrials 109,955,711 102,155,501 7,800,210
Information technology 47,845,186 47,845,186
Materials 43,102,617 43,102,617
Real estate 53,682,662 53,682,662
Utilities 19,003,645 19,003,645
Short-term investments 19,786,375 3,786,375 16,000,000
Total investments in securities $533,466,095 $500,255,743 $33,210,352
 
333

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Small Company Value Trust
Investments in securities:        
Assets        
Common stocks $151,543,788 $151,543,788
Warrants 4,421 4,421
Short-term investments 5,103,565 5,103,565
Total investments in securities $156,651,774 $156,651,774
 
Strategic Equity Allocation Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $568,154,278 $448,768,319 $119,385,959
Consumer discretionary 957,531,978 668,221,494 289,310,484
Consumer staples 572,242,189 310,818,563 261,423,626
Energy 332,087,784 224,976,361 107,111,423
Financials 1,112,533,422 654,299,164 458,234,258
Health care 1,074,311,757 739,554,872 334,654,165 $102,720
Industrials 932,765,598 536,903,337 395,862,261
Information technology 1,622,398,632 1,404,955,847 217,442,785
Materials 392,722,507 180,016,379 212,706,128
Real estate 293,293,979 218,135,939 75,158,040
Utilities 243,779,735 156,038,152 87,741,583
Preferred securities 12,491,440 12,491,440
Rights 103 103
Warrants 195,052 195,052
Short-term investments 289,353,851 53,423,988 235,929,863
Total investments in securities $8,403,862,305 $5,596,307,467 $2,807,452,118 $102,720
Derivatives:        
Assets        
Futures $7,213,382 $7,213,382
Liabilities        
Futures (2,067,854) (2,067,854)
 
Strategic Income Opportunities Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $25,610,881 $25,610,881
Foreign government obligations 90,484,549 90,484,549
Corporate bonds 211,185,720 211,185,720
Convertible bonds 9,703,753 9,703,753
Capital preferred securities 512,493 512,493
Term loans 40,902,304 40,902,304
Collateralized mortgage obligations 3,083,018 3,083,018
Asset backed securities 4,222,708 4,222,708
Common stocks 7,781,172 $6,822,755 958,417
Preferred securities 16,682,419 15,478,219 1,204,200
Purchased options 1,089 1,089
Short-term investments 19,759,500 4,722,500 15,037,000
Total investments in securities $429,929,606 $27,023,474 $402,906,132
Derivatives:        
Assets        
Futures $1,167,665 $1,167,665
Forward foreign currency contracts 477,671 $477,671
Liabilities        
334

  Total
value at
3-31-22
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Strategic Income Opportunities Trust (continued)
Futures $(42,133) $(42,133)
Forward foreign currency contracts (1,845,443) $(1,845,443)
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
Total Bond Market Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $561,323,619 $561,323,619
Foreign government obligations 6,940,381 6,940,381
Corporate bonds 233,043,848 233,043,848
Municipal bonds 4,323,402 4,323,402
Collateralized mortgage obligations 18,545,447 18,545,447
Asset backed securities 1,706,464 1,706,464
Common stocks 1,332 $1,332
Warrants 2,772 2,772
Short-term investments 99,237,874 99,237,874
Total investments in securities $925,125,139 $99,241,978 $825,883,161
 
Total Stock Market Index Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $77,612,537 $77,611,844 $625 $68
Consumer discretionary 106,507,735 106,504,903 2,803 29
Consumer staples 52,201,957 52,201,957
Energy 35,961,845 35,961,845
Financials 97,535,583 97,527,523 8,060
Health care 107,726,549 107,709,986 16,563
Industrials 73,608,043 73,608,043
Information technology 223,803,333 223,803,333
Materials 21,051,830 21,051,635 195
Real estate 28,765,872 28,758,472 7,400
Utilities 21,399,805 21,399,805
Preferred securities 37,252 37,252
Warrants 4,865 4,863 2
Short-term investments 18,908,727 7,109,784 11,798,943
Total investments in securities $865,125,933 $853,291,245 $11,810,431 $24,257
Derivatives:        
Assets        
Futures $718,226 $718,226
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
Ultra Short Term Bond Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $2,289,640 $2,289,640
Corporate bonds 123,682,808 123,682,808
Municipal bonds 1,976,202 1,976,202
Collateralized mortgage obligations 1,607,862 1,607,862
Asset backed securities 48,572,939 48,572,939
Short-term investments 73,659,405 $1,696,328 71,963,077
Total investments in securities $251,788,856 $1,696,328 $250,092,528
335

Investment in affiliated underlying funds. Lifestyle Balanced Portfolio, Lifestyle Conservative Portfolio, Lifestyle Growth Portfolio, Lifestyle Moderate Portfolio, Managed Volatility Balanced Portfolio, Managed Volatility Conservative Portfolio, Managed Volatility Growth Portfolio and Managed Volatility Moderate Portfolio invest primarily in affiliated underlying funds that are managed by the Advisor and its affiliates. The portfolios do not invest in the affiliated underlying funds for the purpose of exercising management or control; however, the portfolios’ investment may represent a significant portion of each underlying funds’ net assets.
Information regarding the portfolios' fiscal year to date purchases and sales of the affiliated underlying funds as well as income and capital gains earned by the portfolios, if any, is as follows:
              Dividends and distributions
Affiliate Ending
share
amount
Beginning
value
Cost of
purchases
Proceeds
from shares
sold
Realized
gain
(loss)
Change in
unrealized
appreciation
(depreciation)
Income
distributions
received
Capital gain
distributions
received
Ending
value
500 Index Trust
John Hancock Collateral Trust 335,090 $2,433,032 $11,097,767 $(10,179,545) $(1,166) $410 $2,494 $3,350,498
Active Bond Trust
John Hancock Collateral Trust 451,024 $3,651,934 $9,685,045 $(8,826,460) $(1,730) $910 $9,010 $4,509,699
Blue Chip Growth Trust
John Hancock Collateral Trust 682,662 $7,988,139 $33,668,973 $(34,827,826) $(3,980) $497 $20,818 $6,825,803
Capital Appreciation Trust
John Hancock Collateral Trust $104,677 $400 $(105,077) $(18) $18 $11
Capital Appreciation Value Trust
John Hancock Collateral Trust 135,628 $1,954,744 $4,708,614 $(5,306,956) $(741) $454 $2,901 $1,356,115
Core Bond Trust
John Hancock Collateral Trust 365,127 $2,532,319 $18,692,630 $(17,573,070) $(1,675) $623 $2,700 $3,650,827
Disciplined Value International Trust
John Hancock Collateral Trust 840,955 $13,288,244 $(4,880,586) $(33) $921 $9,675 $8,408,546
Emerging Markets Value Trust
John Hancock Collateral Trust 288,088 $1,942,586 $3,748,343 $(2,809,967) $(858) $432 $18,167 $280 $2,880,536
Equity Income Trust
John Hancock Collateral Trust 589,850 $6,149,481 $9,720,910 $(9,969,744) $(3,095) $241 $6,451 $5,897,793
High Yield Trust
John Hancock Collateral Trust 1,548,902 $5,725,696 $21,946,596 $(12,181,842) $(2,633) $(655) $13,081 $15,487,162
International Equity Index Trust
John Hancock Collateral Trust 1,991,790 $2,968,797 $42,717,202 $(25,769,613) $(2,341) $1,463 $21,573 $654 $19,915,508
International Small Company Trust
John Hancock Collateral Trust 805,510 $2,475,909 $8,731,837 $(3,153,165) $(1,186) $738 $19,665 $474 $8,054,133
Investment Quality Bond Trust
John Hancock Collateral Trust 53,803 $64,565 $1,996,658 $(1,523,129) $(168) $44 $308 $537,970
Lifestyle Balanced Portfolio
Select Bond 41,365,657 $594,048,540 $16,811,581 $(34,492,851) $(437,205) $(34,867,268) $541,062,797
Strategic Equity Allocation 25,719,061 605,352,589 2,315,269 (24,691,792) 5,458,138 (38,817,876) 549,616,328
          $5,020,933 $(73,685,144) $1,090,679,125
Lifestyle Conservative Portfolio
Select Bond 12,606,333 $180,432,462 $2,602,695 $(7,375,668) $49,196 $(10,817,850) $164,890,835
Strategic Equity Allocation 1,954,770 45,036,283 3,284,325 (4,173,625) 867,813 (3,241,362) 41,773,434
          $917,009 $(14,059,212) $206,664,269
Lifestyle Growth Portfolio
Select Bond 133,365,638 $1,885,450,327 $61,344,948 $(90,091,928) $(174,714) $(112,106,087) $1,744,422,546
Strategic Equity Allocation 194,257,958 4,541,486,014 6,004,309 (145,331,971) 32,311,417 (283,177,208) 4,151,292,561
          $32,136,703 $(395,283,295) $5,895,715,107
336

              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
Lifestyle Moderate Portfolio
Select Bond 15,017,963 $215,666,085 $5,560,559 $(11,955,160) $(362,235) $(12,474,299) $196,434,950
Strategic Equity Allocation 6,205,354 146,136,996 703,890 (6,227,581) 1,639,843 (9,644,728) 132,608,420
          $1,277,608 $(22,119,027) $329,043,370
Managed Volatility Balanced Portfolio
Blue Chip Growth 5,538,430 $227,297,182 $(26,806,003) $200,491,179
Bond 43,582,171 720,842,297 $5,711,369 $(21,628,770) $465,848 (49,479,064) $5,711,369 655,911,680
Core Bond 18,575,785 250,047,042 (7,743,216) (836,157) (14,285,820) 227,181,849
Emerging Markets Equity 13,290,748 162,412,942 (23,524,624) 138,888,318
Equity Income 14,482,195 274,361,033 (35,914,423) 1,034,386 5,992,208 245,473,204
Fundamental Large Cap Core 3,681,985 289,524,868 (10,145,498) 3,350,142 (22,192,275) 260,537,237
Mid Cap Stock 2,649,822 54,056,377 (8,293,944) 45,762,433
Mid Value 4,732,356 65,597,552 (9,606,821) 1,096,770 1,641,041 58,728,542
Multifactor Developed International ETF 2,948,471 101,622,338 1,815 (2,247,858) 481,834 (6,509,537) 93,348,592
Multifactor Emerging Markets ETF 2,391,545 70,821,126 1,611 (1,389,064) 280,036 (3,659,236) 66,054,473
Multifactor Mid Cap ETF 1,625,213 96,063,745 2,931 (5,400,726) 1,873,692 (7,134,699) 85,404,943
Multifactor Small Cap ETF 1,937,697 72,140,364 (1,804,737) 437,567 (4,306,505) 66,466,689
Select Bond 127,695,606 1,835,355,675 (54,864,342) (1,244,946) (108,987,866) 1,670,258,521
Small Cap Growth 1,492,742 30,944,541 (5,538,073) 25,406,468
Small Cap Value 2,797,116 54,668,294 (3,658,576) 326,146 (1,351,392) 49,984,472
Strategic Equity Allocation 53,620,468 1,281,437,978 (64,466,427) 14,787,829 (85,889,986) 1,145,869,394
          $22,053,147 $(360,325,775) $5,711,369 $5,035,767,994
Managed Volatility Conservative Portfolio
Blue Chip Growth 439,698 $17,159,208 $1,973,159 $(1,229,836) $136,836 $(2,122,311) $15,917,056
Bond 11,010,253 181,367,308 1,593,122 (4,906,404) 102,533 (12,452,254) $1,438,033 165,704,305
Core Bond 4,679,975 62,824,849 127,084 (1,911,434) (205,609) (3,598,796) 57,236,094
Emerging Markets Equity 753,278 8,538,615 694,783 (131,327) 23,009 (1,253,329) 7,871,751
Equity Income 1,153,011 21,530,004 147,199 (2,693,646) 342,774 217,201 19,543,532
Fundamental Large Cap Core 246,344 19,113,742 342,970 (793,534) 253,138 (1,485,050) 17,431,266
Multifactor Developed International ETF 11,707 406,275 12,980 (25,950) 5,186 (27,847) 370,644
Multifactor Emerging Markets ETF 119,908 3,569,423 73,422 (171,048) 32,951 (192,889) 3,311,859
Multifactor Mid Cap ETF 195,671 11,398,396 188,659 (684,485) 239,149 (859,208) 10,282,511
Multifactor Small Cap ETF 230,619 8,537,238 62,735 (232,065) 44,854 (502,092) 7,910,670
Select Bond 32,218,798 461,361,476 556,389 (12,729,530) (315,912) (27,450,545) 421,421,878
Strategic Equity Allocation 3,407,696 80,224,383 732,448 (3,726,034) 586,646 (4,994,984) 72,822,459
          $1,245,555 $(54,722,104) $1,438,033 $799,824,025
Managed Volatility Growth Portfolio
337

              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
Blue Chip Growth 8,593,831 $352,690,836 $(41,594,143) $311,096,693
Bond 31,727,922 529,351,860 $4,181,104 $(20,152,704) $452,945 (36,327,975) $4,181,105 477,505,230
Core Bond 13,519,213 184,009,300 (7,586,364) (255,417) (10,827,545) 165,339,974
Emerging Markets Equity 27,162,972 331,931,518 (48,078,461) 283,853,057
Equity Income 22,291,690 424,204,823 (57,069,167) 2,447,846 8,260,645 377,844,147
Fundamental Large Cap Core 6,257,227 493,272,282 (18,352,104) 6,301,995 (38,460,791) 442,761,382
Mid Cap Stock 5,957,344 121,529,824 (18,646,488) 102,883,336
Mid Value 10,222,961 142,433,245 (21,431,398) 1,013,110 4,851,983 126,866,940
Multifactor Developed International ETF 6,501,431 224,620,250 2,118 (5,471,347) 1,127,885 (14,443,601) 205,835,305
Multifactor Emerging Markets ETF 4,930,347 145,079,397 1,641 (1,928,136) 389,560 (7,366,278) 136,176,184
Multifactor Mid Cap ETF 2,852,024 169,253,316 (10,087,235) 3,477,482 (12,769,702) 149,873,861
Multifactor Small Cap ETF 4,078,341 151,971,238 (3,921,422) 946,831 (9,101,802) 139,894,845
Select Bond 93,226,089 1,355,230,471 (54,769,464) 31,751 (81,095,514) 1,219,397,244
Small Cap Growth 2,645,895 54,849,407 (9,816,271) 45,033,136
Small Cap Value 4,338,389 84,818,601 (5,671,110) 367,235 (1,987,710) 77,527,016
Strategic Equity Allocation 95,587,058 2,294,907,347 (124,599,222) 32,539,168 (160,151,872) 2,042,695,421
          $48,840,391 $(477,555,525) $4,181,105 $6,304,583,771
Managed Volatility Moderate Portfolio
Blue Chip Growth 1,343,370 $55,131,904 $(6,501,911) $48,629,993
Bond 14,790,076 244,794,398 $1,938,506 $(7,504,690) $164,018 (16,801,585) $1,938,506 222,590,647
Core Bond 6,317,039 85,060,033 (2,663,808) (272,980) (4,865,862) 77,257,383
Emerging Markets Equity 2,443,789 29,863,100 (4,325,506) 25,537,594
Equity Income 3,718,782 70,370,499 (9,161,578) 386,953 1,437,479 63,033,353
Fundamental Large Cap Core 874,579 68,472,338 (2,140,822) 703,075 (5,149,406) 61,885,185
Mid Cap Stock 740,655 15,109,366 (2,318,250) 12,791,116
Mid Value 1,198,781 16,542,172 (2,363,628) 200,556 497,769 14,876,869
Multifactor Developed International ETF 432,298 14,999,257 (434,137) 98,529 (977,094) 13,686,555
Multifactor Emerging Markets ETF 436,242 13,007,045 (343,160) 69,523 (684,404) 12,049,004
Multifactor Mid Cap ETF 208,761 12,213,234 (574,232) 198,847 (867,458) 10,970,391
Multifactor Small Cap ETF 263,385 9,808,416 (248,677) 60,966 (586,099) 9,034,606
Select Bond 43,436,862 624,449,309 (18,826,630) (394,201) (37,074,320) 568,154,158
Small Cap Growth 345,845 7,169,362 (1,283,084) 5,886,278
Small Cap Value 582,881 11,393,562 (768,319) 95,973 (305,126) 10,416,090
Strategic Equity Allocation 12,362,683 295,108,430 (14,614,247) 3,496,664 (19,800,310) 264,190,537
          $4,807,923 $(99,605,167) $1,938,506 $1,420,989,759
Mid Cap Growth Trust
John Hancock Collateral Trust 73,120 $50,950,585 $73,220,877 $(123,432,162) $(14,304) $6,118 $33,114 $731,114
338

              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
Mid Cap Index Trust
John Hancock Collateral Trust 984,124 $9,901,319 $19,356,893 $(19,414,408) $(6,179) $2,439 $15,078 $9,840,064
Mid Value Trust
John Hancock Collateral Trust $1,029,121 $2,763,723 $(3,792,637) $(202) $(5) $995
Opportunistic Fixed Income Trust
John Hancock Collateral Trust 20,428 $11,706,534 $(11,500,024) $(2,260) $9 $973 $204,259
Real Estate Securities Trust
John Hancock Collateral Trust $1,555,545 $203,380 $(1,758,896) $(285) $256 $321
Science & Technology Trust
John Hancock Collateral Trust 678,042 $8,572,790 $29,112,580 $(30,902,259) $(4,020) $520 $20,056 $6,779,611
Select Bond Trust
John Hancock Collateral Trust 561,934 $5,365,362 $6,156,127 $(5,899,855) $(2,815) $(153) $5,265 $5,618,666
Small Cap Index Trust
John Hancock Collateral Trust 811,924 $6,126,348 $20,988,698 $(18,992,848) $(4,930) $997 $78,851 $8,118,265
Small Cap Opportunities Trust
John Hancock Collateral Trust 50,272 $806,089 $2,228,640 $(2,531,820) $(289) $41 $565 $502,661
Small Cap Stock Trust
John Hancock Collateral Trust 111,623 $2,941,841 $24,851,246 $(26,676,155) $(1,378) $538 $6,858 $1,116,092
Small Cap Value Trust
John Hancock Collateral Trust 378,683 $6,251,095 $(2,464,697) $(431) $408 $1,064 $3,786,375
Small Company Value Trust
John Hancock Collateral Trust 194,916 $1,741,904 $4,155,784 $(3,948,056) $(962) $258 $13,260 $1,948,928
Strategic Equity Allocation Trust
John Hancock Collateral Trust 5,343,040 $26,701,436 $136,017,601 $(109,284,434) $(16,227) $5,612 $100,631 $53,423,988
Strategic Income Opportunities Trust
John Hancock Collateral Trust 472,307 $6,903,711 $12,374,739 $(14,553,330) $(3,320) $700 $5,939 $4,722,500
Total Bond Market Trust
John Hancock Collateral Trust 338,460 $3,599,385 $18,540,746 $(18,754,288) $(2,647) $1,001 $3,609 $3,384,197
Total Stock Market Index Trust
John Hancock Collateral Trust 711,064 $6,114,405 $16,884,439 $(15,886,020) $(3,307) $267 $71,596 $7,109,784
Ultra Short Term Bond Trust
John Hancock Collateral Trust 10,127 $101,500 $(250) $7 $15 $101,257
Investment in affiliates of advisor. Information regarding the portfolios’ fiscal year to date purchases and sales of affiliated investments of the advisor as well as income and capital gains earned by the portfolios, if any, is as follows:
              Dividends and distributions
Affiliate Ending
share
amount
Beginning
value
Cost of
purchases
Proceeds
from shares
sold
Realized
gain
(loss)
Change in
unrealized
appreciation
(depreciation)
Income
distributions
received
Capital gain
distributions
received
Ending
value
International Equity Index Trust
Manulife Financial Corp. 68,000 $1,259,869 $115,923 $(80,704) $27,304 $127,738 $14,569 $1,450,130
Restricted securities. The portfolios may hold restricted securities which are restricted as to resale and the portfolios 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 March 31, 2022:
339

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
Emerging Markets Value Trust                
Yes Bank, Ltd., Lock-In Shares 10-4-21 $618,081 147,461 147,461 0.0%1 $20,975
High Yield Trust                
KCAD Holdings I, Ltd. 3-21-11 $1,353,651 165,553,563 165,553,563 0.0%1 $166
MWO Holdings LLC 8-30-16 438,156 445 445 0.0%1 2,768
New Cotai, Inc., Class B 4-12-13 0 3 3 0.0% 0
                $2,934
Mid Cap Growth Trust                
Essence Group Holdings Corp. 5-1-14 $2,731,549 1,663,188 1,663,188 0.5% $3,359,640
Lookout, Inc., Series F 7-31-14 2,338,736 211,003 211,003 0.3% 2,139,570
                $5,499,210
1 Less than 0.05%.
American Asset Allocation Trust, American Global Growth Trust, American Growth Trust, American Growth-Income Trust and American International Trust (collectively, the JHVIT Feeder Funds), Lifestyle Balanced Portfolio, Lifestyle Conservative Portfolio, Lifestyle Growth Portfolio and Lifestyle Moderate Portfolio (collectively, the Lifestyle Portfolios) operate as "funds of funds," investing in shares of mutual funds (underlying funds). The accounting policies of the underlying funds in which the Lifestyle Portfolios invest are outlined in the underlying funds’ shareholder reports, which include the underlying funds’ financial statements. These are available on the Securities and Exchange Commission (SEC) website at www.sec.gov. John Hancock underlying funds' shareholder reports are also available without charge by calling 800-344-1029 or visiting jhannuities.com. The American Funds Insurance Series’ accounting policies are outlined in their financial statements, available at the SEC website at www.sec.gov. Capital Research and Management Company serves as investment advisor for the American Funds Insurance Series' master funds. The underlying funds are not covered by this report.
For additional information on the portfolios' significant accounting policies and risks, please refer to the portfolios' most recent semiannual or annual shareholder report and prospectus.
340