<?xml version="1.0" encoding="UTF-8"?>
<edgarSubmission xmlns="http://www.sec.gov/edgar/twentyfourf2filer" xmlns:com="http://www.sec.gov/edgar/common" xmlns:feec="http://www.sec.gov/edgar/feecommon">
  <schemaVersion>X0102</schemaVersion>
  <headerData>
    <submissionType>24F-2NT</submissionType>
    <filerInfo>
      <liveTestFlag>LIVE</liveTestFlag>
      <filer>
        <issuerCredentials>
          <!--Field: Pseudo-Tag; ID: Name; Data: JOHN HANCOCK INVESTMENT TRUST-->
          <cik>0000022370</cik>
          <ccc>XXXXXXXX</ccc>
        </issuerCredentials>
        <fileNumber>002-10156</fileNumber>
      </filer>
      <flags>
        <overrideInternetFlag>false</overrideInternetFlag>
        <confirmingCopyFlag>false</confirmingCopyFlag>
      </flags>
      <investmentCompanyType>N-1A</investmentCompanyType>
    </filerInfo>
    <!--Field: Pseudo-Tag; ID: Is Late; Data: false-->
    <!--Field: Pseudo-Tag; ID: Fee Days; Data:-->
  </headerData>
  <formData>
    <annualFilings>
      <annualFilingInfo>
        <item1>
          <nameOfIssuer>John Hancock Investment Trust</nameOfIssuer>
          <addressOfIssuer>
            <street1>197 Clarendon Street</street1>
            <city>Boston</city>
            <state>MA</state>
            <country>X1</country>
            <zipCode>02116</zipCode>
          </addressOfIssuer>
        </item1>
        <item2>
          <reportSeriesClass>
            <rptSeriesClassInfo>
              <seriesName>John Hancock Diversified Real Assets Fund</seriesName>
              <seriesId>S000061352</seriesId>
              <classInfo>
                <className>Class NAV</className>
                <classId>C000198632</classId>
              </classInfo>
            </rptSeriesClassInfo>
            <rptSeriesClassInfo>
              <seriesName>John Hancock Mid Cap Growth Fund</seriesName>
              <seriesId>S000072133</seriesId>
              <classInfo>
                <className>Class NAV</className>
                <classId>C000227913</classId>
              </classInfo>
              <classInfo>
                <className>Class I</className>
                <classId>C000227914</classId>
              </classInfo>
              <classInfo>
                <className>Class R6</className>
                <classId>C000227915</classId>
              </classInfo>
              <classInfo>
                <className>Class A</className>
                <classId>C000227916</classId>
              </classInfo>
              <classInfo>
                <className>Class C</className>
                <classId>C000227917</classId>
              </classInfo>
            </rptSeriesClassInfo>
            <rptSeriesClassInfo>
              <seriesName>John Hancock Fundamental Equity Income Fund</seriesName>
              <seriesId>S000076681</seriesId>
              <classInfo>
                <className>Class R6</className>
                <classId>C000236691</classId>
              </classInfo>
              <classInfo>
                <className>Class NAV</className>
                <classId>C000236692</classId>
              </classInfo>
              <classInfo>
                <className>Class A</className>
                <classId>C000236693</classId>
              </classInfo>
              <classInfo>
                <className>Class C</className>
                <classId>C000236694</classId>
              </classInfo>
              <classInfo>
                <className>Class I</className>
                <classId>C000236695</classId>
              </classInfo>
            </rptSeriesClassInfo>
            <rptSeriesClassInfo>
              <seriesName>Global Climate Action Fund</seriesName>
              <seriesId>S000083460</seriesId>
              <classInfo>
                <className>Class I</className>
                <classId>C000247102</classId>
              </classInfo>
              <classInfo>
                <className>Class NAV</className>
                <classId>C000247103</classId>
              </classInfo>
              <classInfo>
                <className>Class A</className>
                <classId>C000247104</classId>
              </classInfo>
              <classInfo>
                <className>Class C</className>
                <classId>C000247105</classId>
              </classInfo>
              <classInfo>
                <className>Class R6</className>
                <classId>C000247106</classId>
              </classInfo>
            </rptSeriesClassInfo>
            <rptSeriesClassInfo>
              <seriesName>John Hancock Disciplined Value Global Long/Short Fund</seriesName>
              <seriesId>S000086384</seriesId>
              <classInfo>
                <className>Class NAV</className>
                <classId>C000251887</classId>
              </classInfo>
              <classInfo>
                <className>Class R6</className>
                <classId>C000251888</classId>
              </classInfo>
              <classInfo>
                <className>Class A</className>
                <classId>C000251889</classId>
              </classInfo>
              <classInfo>
                <className>Class C</className>
                <classId>C000251890</classId>
              </classInfo>
              <classInfo>
                <className>Class I</className>
                <classId>C000251891</classId>
              </classInfo>
            </rptSeriesClassInfo>
          </reportSeriesClass>
        </item2>
        <item3>
          <investmentCompActFileNo>811-00560</investmentCompActFileNo>
          <securitiesActFileNumbers>
            <securitiesActFileNo>
              <fileNumber>002-10156</fileNumber>
            </securitiesActFileNo>
          </securitiesActFileNumbers>
        </item3>
        <item4>
          <lastDayOfFiscalYear>03/31/2026</lastDayOfFiscalYear>
        </item4>
        <item5>
          <aggregateSalePriceOfSecuritiesSold>1110337071.00</aggregateSalePriceOfSecuritiesSold>
          <aggregatePriceOfSecuritiesRedeemedOrRepurchasedInFiscalYear>860555525.00</aggregatePriceOfSecuritiesRedeemedOrRepurchasedInFiscalYear>
          <aggregatePriceOfSecuritiesRedeemedOrRepurchasedAnyPrior>853343173.00</aggregatePriceOfSecuritiesRedeemedOrRepurchasedAnyPrior>
          <totalAvailableRedemptionCredits>1713898698.00</totalAvailableRedemptionCredits>
          <netSales>0.00</netSales>
          <redemptionCreditsAvailableForUseInFutureYears>(603561627.00)</redemptionCreditsAvailableForUseInFutureYears>
          <multiplierForDeterminingRegistrationFee>0.000138100</multiplierForDeterminingRegistrationFee>
          <registrationFeeDue>0.00</registrationFeeDue>
        </item5>
        <item6>
          <interestDue>0.00</interestDue>
          <!--Field: Pseudo-Tag; ID: Fee Days; Data:-->
        </item6>
        <item7>
          <totalOfRegistrationFeePlusAnyInterestDue>0.00</totalOfRegistrationFeePlusAnyInterestDue>
        </item7>
        <signature>
          <signature>/s/ Desmond Rohan</signature>
          <nameAndTitle>Desmond Rohan, Assistant Treasurer</nameAndTitle>
          <signatureDate>06/29/2026</signatureDate>
        </signature>
      </annualFilingInfo>
    </annualFilings>
  </formData>
</edgarSubmission>
