You can access information about the
Tracking Basket and Tracking Basket Weight Overlap for each business day on jhinvestments.com/etf. The fund discloses its complete portfolio holdings, including the name,
identifier, market value and weight of each security and instrument in the portfolio, on jhinvestments.com/etf on a monthly basis, no earlier than 15 days after calendar
month end. In addition, the following information for the fund is posted on the website, jhinvestments.com/etf, generally on the fifth business day after month end, if
applicable: Top 10 holdings; top 10 sector analysis; total return/yield; top 10 countries; average quality/maturity; beta/alpha; and top 10 portfolio composition. Recent
information, including information regarding the fund's NAV, market price, premiums and discounts, and bid/ask spread, is also available at
jhinvestments.com/etf.