-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, Vz7p10fulv+ykjtvtQVXybZJx0IOSszSWZ9MTU3uXUYGTP9ddLoJbJvC4kUM+J31 z4hPNPtVyn5g+t0uEjsDsA== 0000928816-09-001253.txt : 20091130 0000928816-09-001253.hdr.sgml : 20091130 20091130141155 ACCESSION NUMBER: 0000928816-09-001253 CONFORMED SUBMISSION TYPE: N-Q PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20090930 FILED AS OF DATE: 20091130 DATE AS OF CHANGE: 20091130 EFFECTIVENESS DATE: 20091130 FILER: COMPANY DATA: COMPANY CONFORMED NAME: JOHN HANCOCK TRUST CENTRAL INDEX KEY: 0000756913 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: N-Q SEC ACT: 1940 Act SEC FILE NUMBER: 811-04146 FILM NUMBER: 091211559 BUSINESS ADDRESS: STREET 1: 601 CONGRESS STREET CITY: BOSTON STATE: MA ZIP: 02210 BUSINESS PHONE: 617-663-3000 MAIL ADDRESS: STREET 1: 601 CONGRESS STREET CITY: BOSTON STATE: MA ZIP: 02210 FORMER COMPANY: FORMER CONFORMED NAME: MANUFACTURERS INVESTMENT TRUST DATE OF NAME CHANGE: 19971022 FORMER COMPANY: FORMER CONFORMED NAME: NASL SERIES FUND INC DATE OF NAME CHANGE: 19881030 0000756913 S000008214 Total Bond Market Trust B C000022342 NAV 0000756913 S000008215 American Growth Trust C000022347 Series I C000022348 Series II C000022349 Series III 0000756913 S000008216 American International Trust C000022351 Series I C000022352 Series II C000022353 Series III 0000756913 S000008217 Blue Chip Growth Trust C000022354 NAV C000022355 Series I C000022356 Series II 0000756913 S000008218 500 Index Trust C000022358 NAV C000022359 Series I C000022360 Series II 0000756913 S000008219 500 Index Trust B C000022362 NAV 0000756913 S000008220 Capital Appreciation Trust C000022366 NAV C000022367 Series I C000022368 Series II 0000756913 S000008222 Core Bond Trust C000022374 NAV C000022375 Series I C000022376 Series II 0000756913 S000008227 Emerging Small Company Trust C000022394 NAV C000022395 Series I C000022396 Series II 0000756913 S000008228 Equity-Income Trust C000022398 NAV C000022399 Series I C000022400 Series II 0000756913 S000008229 Financial Services Trust C000022402 NAV C000022403 Series I C000022404 Series II 0000756913 S000008230 Fundamental Value Trust C000022406 NAV C000022407 Series I C000022408 Series II 0000756913 S000008231 Global Trust C000022410 NAV C000022411 Series I C000022412 Series II 0000756913 S000008232 Global Allocation Trust C000022414 NAV C000022415 Series I C000022416 Series II 0000756913 S000008233 Global Bond Trust C000022418 NAV C000022419 Series I C000022420 Series II 0000756913 S000008234 Global Real Estate Trust C000022422 NAV C000022423 Series I 0000756913 S000008236 Active Bond Trust C000022430 NAV C000022431 Series I C000022432 Series II 0000756913 S000008239 Health Sciences Trust C000022442 NAV C000022443 Series I C000022444 Series II 0000756913 S000008240 High Yield Trust C000022446 NAV C000022447 Series I C000022448 Series II 0000756913 S000008242 All Cap Core Trust C000022454 NAV C000022455 Series I C000022456 Series II 0000756913 S000008243 All Cap Growth Trust C000022458 NAV C000022459 Series I C000022460 Series II 0000756913 S000008244 All Cap Value Trust C000022462 NAV C000022463 Series I C000022464 Series II 0000756913 S000008245 American Blue Chip Income and Growth Trust C000022467 Series I C000022468 Series II C000022469 Series III 0000756913 S000008246 American Bond Trust C000022471 Series I C000022472 Series II C000022473 Series III 0000756913 S000008247 American Growth-Income Trust C000022475 Series I C000022476 Series II C000022477 Series III 0000756913 S000008271 Core Strategy Trust C000022559 NAV C000022560 Series I C000022561 Series II 0000756913 S000008273 Investment Quality Bond Trust C000022567 NAV C000022568 Series I C000022569 Series II 0000756913 S000008274 Large Cap Trust C000022571 NAV C000022572 Series I C000022573 Series II 0000756913 S000008276 Large Cap Value Trust C000022579 NAV C000022580 Series I C000022581 Series II 0000756913 S000008277 Lifestyle Aggressive Trust C000022583 NAV C000022584 Series I C000022585 Series II 0000756913 S000008278 Lifestyle Growth Trust C000022588 NAV C000022589 Series I C000022590 Series II 0000756913 S000008279 Lifestyle Balanced Trust C000022593 NAV C000022594 Series I C000022595 Series II 0000756913 S000008280 Lifestyle Moderate Trust C000022598 NAV C000022599 Series I C000022600 Series II 0000756913 S000008281 Lifestyle Conservative Trust C000022603 NAV C000022604 Series I C000022605 Series II 0000756913 S000008285 Mid Cap Index Trust C000022620 NAV C000022621 Series I C000022622 Series II 0000756913 S000008286 Mid Cap Stock Trust C000022624 NAV C000022625 Series I C000022626 Series II 0000756913 S000008288 Mid Cap Value Equity Trust C000022632 NAV 0000756913 S000008289 Mid Value Trust C000022636 NAV C000022637 Series I C000022638 Series II 0000756913 S000008290 Money Market Trust C000022641 Series I C000022642 Series II C000022643 Series III 0000756913 S000008291 Money Market Trust B C000022644 NAV 0000756913 S000008292 Natural Resources Trust C000022648 NAV C000022649 Series I C000022650 Series II 0000756913 S000008293 International Equity Index Trust A C000022652 NAV C000022653 Series I C000022654 Series II 0000756913 S000008294 Overseas Equity Trust C000022656 NAV C000022658 Series II 0000756913 S000008295 Pacific Rim Trust C000022660 NAV C000022661 Series I C000022662 Series II 0000756913 S000008296 Optimized All Cap Trust C000022664 NAV C000022665 Series I C000022666 Series II 0000756913 S000008297 International Equity Index Trust B C000022668 NAV 0000756913 S000008299 International Opportunities Trust C000022676 NAV C000022677 Series I C000022678 Series II 0000756913 S000008300 International Small Cap Trust C000022680 NAV C000022681 Series I C000022682 Series II 0000756913 S000008301 International Small Company Trust C000022684 NAV 0000756913 S000008302 International Value Trust C000022688 NAV C000022689 Series I C000022690 Series II 0000756913 S000008311 Small Cap Index Trust C000022703 NAV C000022704 Series I C000022705 Series II 0000756913 S000008312 Small Cap Opportunities Trust C000022707 NAV C000022708 Series I C000022709 Series II 0000756913 S000008313 Small Cap Value Trust C000022711 NAV C000022712 Series I C000022713 Series II 0000756913 S000008315 Small Company Growth Trust C000022719 NAV 0000756913 S000008316 Small Company Value Trust C000022723 NAV C000022724 Series I C000022725 Series II 0000756913 S000008318 Spectrum Income Trust C000022731 NAV 0000756913 S000008319 Strategic Bond Trust C000022735 NAV C000022736 Series I C000022737 Series II 0000756913 S000008320 Strategic Income Trust C000022739 NAV C000022740 Series I C000022741 Series II 0000756913 S000008321 Optimized Value Trust C000022743 NAV C000022744 Series I C000022745 Series II 0000756913 S000008324 Total Return Trust C000022755 NAV C000022756 Series I C000022757 Series II 0000756913 S000008325 Total Stock Market Index Trust C000022759 NAV C000022760 Series I C000022761 Series II 0000756913 S000008328 U.S. Government Securities Trust C000022771 NAV C000022772 Series I C000022773 Series II 0000756913 S000008329 U.S. High Yield Bond Trust C000022775 NAV C000022776 Series I C000022777 Series II 0000756913 S000008331 U.S. Multi Sector Trust C000022783 NAV 0000756913 S000008333 Utilities Trust C000022791 NAV C000022792 Series I C000022793 Series II 0000756913 S000008334 Value Trust C000022795 NAV C000022796 Series I C000022797 Series II 0000756913 S000008335 Value & Restructuring Trust C000022799 NAV 0000756913 S000008337 Vista Trust C000022807 NAV 0000756913 S000008338 Real Estate Securities Trust C000022811 NAV C000022812 Series I C000022813 Series II 0000756913 S000008339 Real Return Bond Trust C000022815 NAV C000022816 Series I C000022817 Series II 0000756913 S000008340 Science & Technology Trust C000022819 NAV C000022820 Series I C000022821 Series II 0000756913 S000008341 Short-Term Bond Trust C000022823 NAV 0000756913 S000008343 Small Cap Growth Trust C000022831 NAV C000022832 Series I C000022833 Series II 0000756913 S000008872 International Core Trust C000024160 NAV C000024161 Series I C000024162 Series II 0000756913 S000010083 Total Bond Market Trust A C000027926 NAV C000027927 Series I C000027928 Series II 0000756913 S000011295 High Income Trust C000031111 NAV C000031113 Series II 0000756913 S000017249 American Global Small Capitalization Trust C000047742 Series II C000047743 Series III 0000756913 S000017250 American Asset Allocation Trust C000047744 Series I C000047745 Series II C000047746 Series III 0000756913 S000017251 Franklin Templeton Founding Allocation Trust C000047747 Series I C000047748 NAV C000047749 Series II 0000756913 S000017252 Income Trust C000047751 NAV 0000756913 S000017253 Mutual Shares Trust C000047753 Series I C000047755 NAV 0000756913 S000017254 Mid Cap Intersection Trust C000047756 Series I C000047757 Series II C000047758 NAV 0000756913 S000017255 Emerging Markets Value Trust C000047759 Series I C000047761 NAV 0000756913 S000017256 American Global Growth Trust C000047762 Series II C000047763 Series III 0000756913 S000017257 American High-Income Bond Trust C000047765 Series II C000047766 Series III 0000756913 S000017258 American New World Trust C000047768 Series II C000047769 Series III C000047770 Series I 0000756913 S000019301 American Fundamental Holdings Trust C000053256 Series I C000053257 Series II C000053916 Series III 0000756913 S000019302 American Global Diversification Trust C000053259 Series I C000053260 Series II C000053917 Series III 0000756913 S000020238 Floating Rate Income Trust C000056688 NAV 0000756913 S000020243 Core Allocation Plus Trust C000056703 NAV C000056704 Series I C000056705 Series II 0000756913 S000021933 Capital Appreciation Value Trust C000063026 NAV Class C000063027 Series I Class C000063028 Series II Class 0000756913 S000021934 Disciplined Diversification Trust C000063029 NAV Class C000063030 Series I Class C000063031 Series II Class 0000756913 S000021935 Growth Equity Trust C000063032 NAV Class 0000756913 S000022608 American Diversified Growth & Income Trust C000065370 Series NAV C000065371 Series I C000065372 Series II C000065373 Series III 0000756913 S000023550 Alpha Opportunities Trust C000069276 NAV C000069277 Series I 0000756913 S000023551 Smaller Company Growth Trust C000069279 NAV 0000756913 S000024662 Short Term Government Income Trust C000073237 NAV 0000756913 S000025518 Balanced Trust C000076375 Series I Class C000076377 NAV Class 0000756913 S000025519 International Index Trust C000076380 NAV Class 0000756913 S000025520 Core Fundamental Holdings Trust C000076383 Series II Class C000076384 Series III Class 0000756913 S000025521 Core Global Diversification Trust C000076386 Series II Class C000076387 Series III Class 0000756913 S000025522 Core Allocation Trust C000076389 Series I Class C000076390 Series II Class 0000756913 S000025523 Core Disciplined Diversification Trust C000076393 Series II Class 0000756913 S000025524 Core Balanced Trust C000076395 Series I Class C000076396 Series II Class N-Q 1 a_jhtrustnq.htm JOHN HANCOCK TRUST a_jhtrustnq.htm
UNITED STATES 
SECURITIES AND EXCHANGE COMMISSION 
Washington, DC 20549 
 
FORM N-Q 
 
QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED 
MANAGEMENT INVESTMENT COMPANY 
 
 
Investment Company Act file number:  811-04146    
 
JOHN HANCOCK TRUST 
 
 
(Exact name of registrant as specified in charter) 
 
601 CONGRESS STREET, BOSTON, MA 02210 
    
(Address of principal executive offices)  (Zip code) 
 
MICHAEL J. LEARY, 601 CONGRESS STREET, BOSTON, MA 02210 
 
(Name and address of agent for service) 
 
 
Registrant’s telephone number, including area code: 617-663-4490 
 
 
Date of fiscal year end: December 31   
 
 
Date of reporting period: September 30, 2009 

 

 

 

Item 1. Schedule of Investments.



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited)
(showing percentage of total net assets)

500 Index Trust    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS - 97.95%    
Basic Materials - 3.77%    
Air Products & Chemicals, Inc. 113,649 $ 8,816,889
Airgas, Inc. 44,177 2,136,841
AK Steel Holding Corp. 59,180 1,167,621
Alcoa, Inc. (a) 527,110 6,915,683
Allegheny Technologies, Inc. (a) 53,054 1,856,359
Biogen Idec, Inc. * 156,263 7,894,407
CF Industries Holdings, Inc. 26,214 2,260,433
Dow Chemical Company 618,667 16,128,649
E.I. Du Pont de Nemours & Company 488,827 15,710,900
Eastman Chemical Company 39,311 2,104,711
Ecolab, Inc. 128,116 5,922,803
Eli Lilly & Company 546,998 18,067,344
FMC Corp. 39,217 2,205,956
Freeport-McMoRan Copper & Gold, Inc.,    
Class B 222,770 15,284,250
International Flavors & Fragrances, Inc. 42,732 1,620,825
International Paper Company 234,111 5,204,288
MeadWestvaco Corp. 92,569 2,065,214
Monsanto Company 295,324 22,858,078
Newmont Mining Corp. 265,075 11,668,602
Nucor Corp. 170,229 8,002,465
Plum Creek Timber Company, Inc. (a) 88,078 2,698,710
PPG Industries, Inc. (a) 89,212 5,193,031
Praxair, Inc. 165,968 13,557,926
Sigma-Aldrich Corp. 65,898 3,557,174
The Sherwin-Williams Company 52,842 3,178,975
Titanium Metals Corp. 45,909 440,267
United States Steel Corp. (a) 77,535 3,440,228
Weyerhaeuser Company 114,339 4,190,524
 
    194,149,153
Communications - 10.54%    
Akamai Technologies, Inc. * 93,264 1,835,436
Amazon.com, Inc. * 179,868 16,792,476
American Tower Corp., Class A * 213,486 7,770,890
AT&T, Inc. 3,191,733 86,208,708
CBS Corp., Class B (a) 366,631 4,417,904
CenturyTel, Inc. 160,812 5,403,283
Ciena Corp. * 49,518 806,153
Cisco Systems, Inc. * 3,120,261 73,450,944
Comcast Corp., Class A 1,552,476 26,221,320
Corning, Inc. 840,987 12,875,511
DIRECTV Group, Inc. * (a) 243,193 6,707,263
eBay, Inc. * 607,322 14,338,872
Expedia, Inc. * 113,917 2,728,312
Frontier Communications Corp. 168,984 1,274,139
Gannett Company, Inc. (a) 126,995 1,588,707
Google, Inc., Class A * 130,155 64,537,357
Harris Corp. 70,905 2,666,028
Interpublic Group of Companies, Inc. * 262,974 1,977,564
JDS Uniphase Corp. * 117,393 834,664
Juniper Networks, Inc. * 283,586 7,662,494
McAfee, Inc. * 85,041 3,723,945
McGraw-Hill Companies, Inc. 170,297 4,281,267
Meredith Corp. 19,700 589,818
MetroPCS Communications, Inc. * (a) 140,969 1,319,470
Monster Worldwide, Inc. * (a) 68,108 1,190,528

500 Index Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Communications (continued)    
Motorola, Inc. 1,241,728 $ 10,666,444
News Corp., Class A 1,216,273 14,583,113
Omnicom Group, Inc. 168,117 6,210,242
QUALCOMM, Inc. 899,263 40,448,850
Qwest Communications International, Inc. (a) 801,970 3,055,506
Scripps Networks Interactive, Inc., Class A 48,266 1,783,429
Sprint Nextel Corp. * 1,555,756 6,145,236
Symantec Corp. * 440,623 7,257,061
Tellabs, Inc. * 214,319 1,483,087
The New York Times Company, Class A (a) 62,577 508,125
The Washington Post Company, Class B 3,356 1,570,876
Time Warner Cable, Inc. 190,618 8,213,730
Time Warner, Inc. 641,385 18,459,060
VeriSign, Inc. * 104,337 2,471,744
Verizon Communications, Inc. 1,536,693 46,515,697
Viacom, Inc., Class B * 328,298 9,205,476
Windstream Corp. 236,243 2,393,142
Yahoo!, Inc. * 645,317 11,493,096
 
    543,666,967
Consumer, Cyclical - 8.69%    
Abercrombie & Fitch Company, Class A (a) 47,581 1,564,463
AutoNation, Inc. * (a) 51,044 922,876
AutoZone, Inc. * 17,441 2,550,223
Bed Bath & Beyond, Inc. * 141,677 5,318,555
Best Buy Company, Inc. (a) 184,695 6,929,756
Big Lots, Inc. * 44,698 1,118,344
Carnival Corp. * 237,033 7,888,458
Cintas Corp. 71,082 2,154,495
Coach, Inc. 172,073 5,664,643
Costco Wholesale Corp. 235,258 13,282,667
CVS Caremark Corp. 780,747 27,903,898
D.R. Horton, Inc. 149,242 1,702,851
Darden Restaurants, Inc. 75,432 2,574,494
Family Dollar Stores, Inc. 75,587 1,995,497
Fastenal Company (a) 71,513 2,767,553
Ford Motor Company * 1,742,629 12,564,355
GameStop Corp., Class A * 89,085 2,358,080
Genuine Parts Company 86,302 3,284,654
Goodyear Tire & Rubber Company * 130,859 2,228,529
Harley-Davidson, Inc. (a) 126,896 2,918,608
Harman International Industries, Inc. 37,506 1,270,703
Hasbro, Inc. 68,112 1,890,108
Home Depot, Inc. (a) 922,117 24,565,197
International Game Technology 160,290 3,443,029
J.C. Penney Company, Inc. 127,598 4,306,433
Johnson Controls, Inc. 322,125 8,233,515
KB Home (a) 40,022 664,765
Kohl's Corp. * 165,311 9,430,993
Lennar Corp., Class A 83,426 1,188,820
Limited Brands, Inc. 144,441 2,454,053
Lowe's Companies, Inc. 799,317 16,737,698
Macy's, Inc. 227,490 4,160,792
Marriott International, Inc., Class A 135,986 3,751,854
Mattel, Inc. 194,733 3,594,771
McDonald's Corp. 590,390 33,693,557
Newell Rubbermaid, Inc. 150,229 2,357,093

The accompanying notes are an integral part of the financial statements.
1



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

500 Index Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
NIKE, Inc., Class B 210,300 $ 13,606,410
Nordstrom, Inc. (a) 89,117 2,721,633
Office Depot, Inc. * 148,627 983,911
O'Reilly Automotive, Inc. * 73,972 2,673,348
PACCAR, Inc. 196,545 7,411,712
Polo Ralph Lauren Corp., Class A 31,280 2,396,674
Pulte Homes, Inc. * 170,989 1,879,169
RadioShack Corp. 67,716 1,122,054
Sears Holdings Corp. * (a) 26,995 1,763,043
Southwest Airlines Company 401,103 3,850,589
Staples, Inc. 390,767 9,073,610
Starbucks Corp. * 398,750 8,234,188
Starwood Hotels & Resorts Worldwide, Inc. 101,072 3,338,408
Target Corp. 406,734 18,986,343
The Gap, Inc. 260,483 5,574,336
Tiffany & Company (a) 67,141 2,586,943
TJX Companies, Inc. 229,293 8,518,235
VF Corp. 48,234 3,493,589
Walgreen Company 536,850 20,115,770
Wal-Mart Stores, Inc. 1,168,404 57,356,952
Walt Disney Company 1,005,427 27,609,025
Whirlpool Corp. 40,047 2,801,688
Wyndham Worldwide Corp. 96,627 1,576,953
Wynn Resorts, Ltd. * (a) 37,297 2,643,984
Yum! Brands, Inc. 252,394 8,520,821
 
    448,275,768
Consumer, Non-cyclical - 21.71%    
Abbott Laboratories 836,296 41,371,563
Allergan, Inc. 166,355 9,442,310
Altria Group, Inc. 1,120,549 19,956,978
AmerisourceBergen Corp. 160,808 3,598,883
Amgen, Inc. * 549,345 33,087,049
Apollo Group, Inc., Class A * 69,007 5,083,746
Archer-Daniels-Midland Company 347,326 10,148,866
Avery Dennison Corp. 60,991 2,196,286
Avon Products, Inc. 230,968 7,843,673
Baxter International, Inc. 326,051 18,588,168
Becton, Dickinson & Company 129,504 9,032,904
Boston Scientific Corp. * 815,511 8,636,261
Bristol-Myers Squibb Company 1,071,626 24,133,018
Brown Forman Corp., Class B 60,101 2,898,070
C.R. Bard, Inc. 52,809 4,151,315
Campbell Soup Company 104,232 3,400,048
Cardinal Health, Inc. 194,579 5,214,717
CareFusion Corp. * 97,380 2,122,884
Celgene Corp. * 248,102 13,868,902
Cephalon, Inc. * (a) 40,382 2,351,848
Clorox Company 75,382 4,433,969
Coca-Cola Enterprises, Inc. 171,580 3,673,528
Colgate-Palmolive Company 269,636 20,567,834
ConAgra Foods, Inc. 239,162 5,185,032
Constellation Brands, Inc., Class A * 107,495 1,628,549
Convergys Corp. * 66,461 660,622
Coventry Health Care, Inc. * 80,915 1,615,063
DaVita, Inc. * 56,261 3,186,623
Dean Foods Company * 97,529 1,735,041

500 Index Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
DENTSPLY International, Inc. 80,385 $ 2,776,498
DeVry, Inc. 33,494 1,852,888
Dr Pepper Snapple Group, Inc. * 137,422 3,950,882
Dun & Bradstreet Corp. 28,533 2,149,106
Equifax, Inc. 68,364 1,992,127
Estee Lauder Companies, Inc., Class A 63,845 2,367,373
Express Scripts, Inc. * 148,450 11,516,751
Forest Laboratories, Inc. * 163,199 4,804,579
Fortune Brands, Inc. 81,279 3,493,371
General Mills, Inc. 176,041 11,333,520
Genzyme Corp. * 146,229 8,295,571
Gilead Sciences, Inc. * 489,179 22,785,958
H & R Block, Inc. 181,392 3,333,985
H.J. Heinz Company 170,509 6,777,733
Hershey Company 89,710 3,486,131
Hormel Foods Corp. 37,755 1,341,058
Hospira, Inc. * 87,143 3,886,578
Humana, Inc. * 91,780 3,423,394
Intuitive Surgical, Inc. * 20,522 5,381,894
Iron Mountain, Inc. * 97,497 2,599,270
J.M. Smucker Company 64,347 3,411,034
Johnson & Johnson 1,490,819 90,775,969
Kellogg Company 138,762 6,831,253
Kimberly-Clark Corp. 224,230 13,225,085
King Pharmaceuticals, Inc. * 134,235 1,445,711
Kraft Foods, Inc., Class A 797,916 20,961,253
Laboratory Corp. of America Holdings * 58,588 3,849,232
Life Technologies Corp. * 95,396 4,440,684
Lorillard, Inc. 89,344 6,638,259
McCormick & Company, Inc. 70,697 2,399,456
McKesson Corp. 143,975 8,573,711
Medco Health Solutions, Inc. * 256,282 14,174,957
Medtronic, Inc. 598,750 22,034,000
Merck & Company, Inc. (a) 1,140,837 36,084,674
Millipore Corp. * 30,049 2,113,346
Molson Coors Brewing Company, Class B 84,827 4,129,378
Moody's Corp. 106,099 2,170,786
Mylan, Inc. * (a) 165,174 2,644,436
Patterson Companies, Inc. * 50,290 1,370,403
Paychex, Inc. 173,798 5,048,832
Pepsi Bottling Group, Inc. 77,927 2,839,660
PepsiCo, Inc. 842,758 49,436,184
Pfizer, Inc. 3,651,098 60,425,672
Philip Morris International, Inc. 1,046,486 51,005,728
Procter & Gamble Company 1,579,037 91,457,823
Quanta Services, Inc. * 107,288 2,374,283
Quest Diagnostics, Inc. 84,406 4,405,149
R.R. Donnelley & Sons Company 111,062 2,361,178
Reynolds American, Inc. 91,418 4,069,929
Robert Half International, Inc. 82,155 2,055,518
Safeway, Inc. 225,315 4,443,212
Sara Lee Corp. 376,333 4,192,350
Schering-Plough Corp. 883,914 24,970,570
St. Jude Medical, Inc. * 188,248 7,343,554
Stryker Corp. 152,693 6,936,843
SUPERVALU, Inc. 114,680 1,727,081

The accompanying notes are an integral part of the financial statements.
2



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

500 Index Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Sysco Corp. 319,723 $ 7,945,117
Tenet Healthcare Corp. * 234,231 1,377,278
The Coca-Cola Company 1,253,671 67,322,133
The Kroger Company 352,417 7,273,887
Tyson Foods, Inc., Class A 165,171 2,086,110
UnitedHealth Group, Inc. 628,836 15,746,053
Varian Medical Systems, Inc. * 67,909 2,861,006
Watson Pharmaceuticals, Inc. * 57,197 2,095,698
WellPoint, Inc. * 256,992 12,171,141
Western Union Company 379,517 7,180,462
Whole Foods Market, Inc. * (a) 75,995 2,317,088
Wyeth 722,229 35,085,885
Zimmer Holdings, Inc. * 115,933 6,196,619
 
    1,119,388,087
Diversified - 0.05%    
Leucadia National Corp. * (a) 102,830 2,541,958
Energy - 11.93%    
Anadarko Petroleum Corp. 265,360 16,646,033
Apache Corp. 181,631 16,679,175
Baker Hughes, Inc. 167,635 7,151,309
BJ Services Company 158,031 3,070,542
Cabot Oil & Gas Corp. 56,068 2,004,431
Cameron International Corp. * 118,934 4,498,084
Chesapeake Energy Corp. 347,115 9,858,066
Chevron Corp. 1,084,926 76,411,338
CMS Energy Corp. (a) 123,842 1,659,483
ConocoPhillips Company 802,208 36,227,713
CONSOL Energy, Inc. 97,754 4,409,683
Denbury Resources, Inc. * 134,938 2,041,612
Devon Energy Corp. 240,085 16,164,923
Diamond Offshore Drilling, Inc. (a) 37,599 3,591,456
Duke Energy Corp. 701,493 11,041,500
El Paso Corp. 379,331 3,914,696
ENSCO International, Inc. 77,059 3,278,090
Entergy Corp. 105,918 8,458,612
EOG Resources, Inc. 136,288 11,381,411
EQT Corp. 70,815 3,016,719
Exxon Mobil Corp. 2,599,798 178,372,141
Halliburton Company 487,804 13,229,245
Hess Corp. 157,464 8,418,025
Marathon Oil Corp. 382,859 12,213,202
Massey Energy Company 46,237 1,289,550
Murphy Oil Corp. 103,227 5,942,778
Nabors Industries, Ltd. * 153,658 3,211,452
National Oilwell Varco, Inc. * 226,233 9,757,429
Noble Energy, Inc. 93,801 6,187,114
Occidental Petroleum Corp. 438,607 34,386,789
Peabody Energy Corp. 144,791 5,389,121
Pioneer Natural Resources Company 62,247 2,258,944
Questar Corp. 94,252 3,540,105
Range Resources Corp. 85,071 4,199,105
Rowan Companies, Inc. 61,533 1,419,566
Schlumberger, Ltd. 647,989 38,620,144
Smith International, Inc. 119,304 3,424,025
Southwestern Energy Company * 186,358 7,953,759

500 Index Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Energy (continued)    
Spectra Energy Corp. 349,420 $ 6,618,015
Sunoco, Inc. 63,239 1,799,150
Tesoro Corp. (a) 75,492 1,130,870
Valero Energy Corp. 304,439 5,903,072
Williams Companies, Inc. 315,369 5,635,644
XTO Energy, Inc. 313,870 12,969,108
 
    615,373,229
Financial - 15.23%    
Aetna, Inc. 236,135 6,571,637
AFLAC, Inc. 252,918 10,809,715
Allstate Corp. 290,170 8,885,005
American Express Company 643,325 21,808,717
American International Group, Inc. * (a) 72,802 3,211,296
Ameriprise Financial, Inc. 137,948 5,011,651
Aon Corp. 148,532 6,043,767
Apartment Investment & Management    
Company, Class A, REIT 63,318 933,940
Assurant, Inc. 63,795 2,045,268
Avalon Bay Communities, Inc., REIT 43,243 3,145,063
Bank of America Corp. 4,680,270 79,190,168
Bank of New York Mellon Corp. 650,695 18,863,648
BB&T Corp. 368,720 10,043,933
Boston Properties, Inc., REIT 74,970 4,914,283
Capital One Financial Corp. 246,123 8,793,975
CB Richard Ellis Group, Inc. * 129,926 1,525,331
Charles Schwab Corp. 514,951 9,861,312
Chubb Corp. 189,287 9,541,958
CIGNA Corp. 147,527 4,144,033
Cincinnati Financial Corp. 87,981 2,286,626
Citigroup, Inc. 7,055,233 34,147,328
CME Group, Inc. (a) 35,935 11,074,808
Comerica, Inc. 81,748 2,425,463
Discover Financial Services 289,801 4,703,470
E*TRADE Financial Corp. * (a) 501,457 877,550
Equity Residential, REIT 148,214 4,550,170
Federated Investors, Inc., Class B 47,863 1,262,147
Fidelity National Information Services, Inc. 103,775 2,647,300
Fifth Third Bancorp 430,244 4,358,372
First Horizon National Corp. * 118,273 1,564,751
Franklin Resources, Inc. 80,991 8,147,695
Genworth Financial, Inc., Class A 260,322 3,110,848
Goldman Sachs Group, Inc. 276,565 50,984,758
Hartford Financial Services Group, Inc. 207,878 5,508,767
HCP, Inc., REIT 158,557 4,556,928
Health Care, Inc., REIT 64,856 2,699,307
Host Hotels & Resorts, Inc., REIT 326,691 3,845,153
Hudson City Bancorp, Inc. 255,157 3,355,315
Huntington Bancshares, Inc. 307,821 1,449,837
IntercontinentalExchange, Inc. * 39,582 3,846,975
Invesco, Ltd. 225,073 5,122,661
Janus Capital Group, Inc. 98,523 1,397,056
JPMorgan Chase & Company 2,127,411 93,223,150
KeyCorp 475,269 3,089,248
Kimco Realty Corp., REIT 203,603 2,654,983
Legg Mason, Inc. (a) 87,851 2,726,017
Lincoln National Corp. 163,425 4,234,342

The accompanying notes are an integral part of the financial statements.
3



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

500 Index Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Loews Corp. 196,775 $ 6,739,544
M&T Bank Corp. (a) 44,667 2,783,647
Marsh & McLennan Companies, Inc. 283,374 7,007,839
Marshall & Ilsley Corp. (a) 199,141 1,607,068
MasterCard, Inc., Class A 51,907 10,493,000
MBIA, Inc. * (a) 85,515 663,596
MetLife, Inc. 442,860 16,859,680
Morgan Stanley 735,273 22,705,230
NASDAQ OMX Group, Inc. * 76,772 1,616,051
Northern Trust Corp. 130,592 7,595,231
NYSE Euronext 140,652 4,063,436
People's United Financial, Inc. 188,460 2,932,438
PNC Financial Services Group, Inc. 249,605 12,128,307
Principal Financial Group, Inc. 172,536 4,725,761
Progressive Corp. * 367,103 6,086,568
ProLogis, REIT (a) 239,541 2,855,329
Prudential Financial, Inc. 250,470 12,500,958
Public Storage, Inc., REIT 73,361 5,519,682
Regions Financial Corp. (a) 642,779 3,991,658
Simon Property Group, Inc., REIT 154,178 10,704,579
SLM Corp. * 252,963 2,205,837
State Street Corp. 267,505 14,070,763
SunTrust Banks, Inc. 269,853 6,085,185
T. Rowe Price Group, Inc. 138,555 6,331,963
The Travelers Companies, Inc. 307,035 15,115,333
Torchmark Corp. 44,757 1,943,797
U.S. Bancorp 1,034,324 22,610,323
Unum Group 179,285 3,843,870
Ventas, Inc., REIT 84,682 3,260,257
Vornado Realty Trust, REIT 84,457 5,439,875
Wells Fargo & Company 2,527,209 71,216,750
XL Capital, Ltd., Class A (a) 185,107 3,231,968
Zions Bancorp (a) 68,399 1,229,130
 
    785,360,378
Industrial - 10.12%    
3M Company 377,772 27,879,574
Amphenol Corp., Class A 92,733 3,494,179
Ball Corp. 50,915 2,505,018
Bemis Company, Inc. 58,421 1,513,688
Black & Decker Corp. 32,549 1,506,693
Boeing Company 392,979 21,279,813
Burlington Northern Santa Fe Corp. 141,636 11,306,802
C.H. Robinson Worldwide, Inc. 91,089 5,260,390
Caterpillar, Inc. (a) 336,103 17,252,167
CSX Corp. 212,076 8,877,501
Cummins, Inc. 109,171 4,891,953
Danaher Corp. 140,105 9,431,869
Deere & Company 228,803 9,820,225
Dover Corp. 100,694 3,902,899
Eastman Kodak Company (a) 145,091 693,535
Eaton Corp. 89,585 5,069,615
Emerson Electric Company 406,589 16,296,087
Expeditors International of Washington, Inc. 114,758 4,033,744
FedEx Corp. 168,964 12,709,472
FLIR Systems, Inc. * 81,947 2,292,058
Flowserve Corp. 30,255 2,981,328

500 Index Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Fluor Corp. 97,302 $ 4,947,807
FMC Technologies, Inc. * 66,244 3,460,587
General Dynamics Corp. 208,323 13,457,666
General Electric Company 5,748,823 94,395,674
Goodrich Corp. 67,072 3,644,692
Honeywell International, Inc. 406,841 15,114,143
Illinois Tool Works, Inc. 208,335 8,897,988
ITT Corp. 98,673 5,145,797
Jabil Circuit, Inc. 99,751 1,337,661
Jacobs Engineering Group, Inc. * 67,033 3,080,166
Leggett & Platt, Inc. 84,466 1,638,640
Lockheed Martin Corp. 174,657 13,637,219
Masco Corp. 194,320 2,510,614
Molex, Inc. 73,528 1,535,265
Norfolk Southern Corp. 198,881 8,573,760
Northrop Grumman Corp. 172,088 8,905,554
Owens-Illinois, Inc. * 91,090 3,361,221
Pactiv Corp. * 71,389 1,859,683
Pall Corp. 63,797 2,059,367
Parker-Hannifin Corp. 86,836 4,501,578
PerkinElmer, Inc. 63,135 1,214,717
Precision Castparts Corp. (a) 75,855 7,727,349
Raytheon Company 210,649 10,104,833
Republic Services, Inc. 174,363 4,632,825
Rockwell Automation, Inc. 76,795 3,271,467
Rockwell Collins, Inc. 85,282 4,332,326
Ryder Systems, Inc. 30,269 1,182,307
Sealed Air Corp. 85,893 1,686,080
Snap-on, Inc. 31,222 1,085,277
Stanley Works 42,929 1,832,639
Stericycle, Inc. * 46,010 2,229,184
Textron, Inc. 146,191 2,774,705
Thermo Fisher Scientific, Inc. * 220,799 9,642,292
Union Pacific Corp. 272,815 15,918,755
United Parcel Service, Inc., Class B 537,973 30,379,335
United Technologies Corp. 509,202 31,025,678
Vulcan Materials Company (a) 67,615 3,655,943
W.W. Grainger, Inc. (a) 33,854 3,025,193
Waste Management, Inc. (a) 266,533 7,948,014
Waters Corp. * 51,673 2,886,454
 
    521,619,065
Technology - 12.80%    
Adobe Systems, Inc. * 284,008 9,383,624
Advanced Micro Devices, Inc. * (a) 303,375 1,717,102
Affiliated Computer Services, Inc., Class A * 52,821 2,861,314
Agilent Technologies, Inc. * 186,696 5,195,750
Altera Corp. 159,145 3,264,064
Analog Devices, Inc. 157,722 4,349,973
Apple, Inc. * 484,612 89,832,526
Applied Materials, Inc. 721,502 9,668,127
Autodesk, Inc. * 124,279 2,957,840
Automatic Data Processing, Inc. 271,651 10,675,884
BMC Software, Inc. * 99,534 3,735,511
Broadcom Corp., Class A * (a) 233,392 7,162,800
CA, Inc. 215,355 4,735,656
Citrix Systems, Inc. * 99,022 3,884,633

The accompanying notes are an integral part of the financial statements.
4



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

500 Index Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Technology (continued)    
Cognizant Technology Solutions Corp.,    
Class A * 158,618 $ 6,132,172
Computer Sciences Corp. * 82,066 4,325,699
Compuware Corp. * 128,501 941,912
Dell, Inc. * 930,984 14,206,816
Electronic Arts, Inc. * 175,017 3,334,074
EMC Corp. * 1,093,872 18,639,579
Fiserv, Inc. * 83,493 4,024,363
Hewlett-Packard Company 1,282,681 60,555,370
IMS Health, Inc. 98,665 1,514,508
Intel Corp. 3,028,361 59,265,025
International Business Machines Corp. 709,152 84,821,671
Intuit, Inc. * 174,768 4,980,888
KLA-Tencor Corp. (a) 92,327 3,310,846
L-3 Communications Holdings, Inc. 63,064 5,065,300
Lexmark International, Inc. * 42,245 909,957
Linear Technology Corp. (a) 120,252 3,322,563
LSI Logic Corp. * 352,668 1,936,147
MEMC Electronic Materials, Inc. * 120,935 2,011,149
Microchip Technology, Inc. (a) 98,971 2,622,731
Micron Technology, Inc. * 458,119 3,756,576
Microsoft Corp. 4,193,772 108,576,757
National Semiconductor Corp. 126,619 1,806,853
NetApp, Inc. * (a) 181,964 4,854,800
Novell, Inc. * 187,606 846,103
Novellus Systems, Inc. * 52,794 1,107,618
NVIDIA Corp. * 296,346 4,454,080
Oracle Corp. 2,112,839 44,031,565
Pitney Bowes, Inc. (a) 112,010 2,783,449
QLogic Corp. * 63,889 1,098,891
Red Hat, Inc. * 101,707 2,811,181
Salesforce.com, Inc. * (a) 59,030 3,360,578
SanDisk Corp. * 122,832 2,665,454
Sun Microsystems, Inc. * 407,550 3,704,630
Teradata Corp. * 92,939 2,557,681
Teradyne, Inc. * 94,442 873,589
Texas Instruments, Inc. 682,396 16,165,961
Total Systems Services, Inc. 106,651 1,718,148
Western Digital Corp. * 121,549 4,440,185
Xerox Corp. 470,150 3,638,961
Xilinx, Inc. 149,316 3,496,981
 
    660,095,615
Utilities - 3.11%    
AES Corp. * 360,833 5,347,545
Allegheny Energy, Inc. 91,685 2,431,486
Ameren Corp. 126,247 3,191,524
American Electric Power Company, Inc. 257,931 7,993,282
CenterPoint Energy, Inc. 209,032 2,598,268
Consolidated Edison, Inc. 148,759 6,090,193
Constellation Energy Group, Inc. 108,535 3,513,278
Dominion Resources, Inc. 322,015 11,109,518
DTE Energy Company 88,975 3,126,582
Dynegy, Inc., Class A * 274,256 699,353
Edison International 176,254 5,918,609
Exelon Corp. 356,544 17,691,713
FirstEnergy Corp. 164,907 7,539,548

500 Index Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS (continued)      
Utilities (continued)      
FPL Group, Inc.   222,589 $ 12,293,590
Integrys Energy Group, Inc.   41,341 1,483,729
Nicor, Inc.   24,465 895,174
NiSource, Inc.   148,953 2,068,957
Northeast Utilities   94,822 2,251,074
Pepco Holdings, Inc.   119,459 1,777,550
PG&E Corp.   200,531 8,119,500
Pinnacle West Capital Corp.   54,748 1,796,829
PPL Corp.   203,720 6,180,865
Progress Energy, Inc.   151,093 5,901,693
Public Service Enterprise Group, Inc.   273,723 8,605,851
SCANA Corp.   59,651 2,081,820
Sempra Energy   132,721 6,610,833
Southern Company   430,642 13,638,432
Teco Energy, Inc. (a)   115,633 1,628,113
Wisconsin Energy Corp.   63,246 2,856,822
Xcel Energy, Inc.   246,534 4,743,314
 
      160,185,045

TOTAL COMMON STOCKS (Cost $4,740,951,045) $ 5,050,655,265

 
SECURITIES LENDING COLLATERAL - 3.78%    
Securities Lending Collateral - 3.78%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   19,457,089 194,765,460

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $194,780,344)   $ 194,765,460

 
REPURCHASE AGREEMENTS - 1.71%    
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$88,214,025 on 10/01/2009,      
collateralized by $89,535,000 U.S.      
Treasury Notes, 0.875% due      
01/31/2011 (valued at      
$89,982,675, including interest) $ 88,214,000 $ 88,214,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $88,214,000)   $ 88,214,000

Total Investments (500 Index Trust)      
(Cost $5,023,945,389) - 103.44%   $ 5,333,634,725
Other assets and liabilities, net - (3.44)%     (177,195,640)
 
TOTAL NET ASSETS - 100.00%   $ 5,156,439,085
 
 
 
500 Index Trust B      
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS - 98.76%      
Basic Materials - 3.80%      
Air Products & Chemicals, Inc.   17,057 $ 1,323,282
Airgas, Inc.   6,640 321,177
AK Steel Holding Corp.   8,948 176,544
Alcoa, Inc. (a)   79,113 1,037,963

The accompanying notes are an integral part of the financial statements.
5



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

500 Index Trust B (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Basic Materials (continued)    
Allegheny Technologies, Inc. 8,001 $ 279,955
Biogen Idec, Inc. * 23,453 1,184,846
CF Industries Holdings, Inc. 3,951 340,695
Dow Chemical Company 92,854 2,420,704
E.I. Du Pont de Nemours & Company 73,367 2,358,015
Eastman Chemical Company 5,930 317,492
Ecolab, Inc. 19,229 888,957
Eli Lilly & Company 82,098 2,711,697
FMC Corp. 5,886 331,087
Freeport-McMoRan Copper & Gold, Inc.,    
Class B 33,435 2,293,975
International Flavors & Fragrances, Inc. 6,423 243,624
International Paper Company 35,137 781,096
MeadWestvaco Corp. 13,966 311,581
Monsanto Company 44,325 3,430,755
Newmont Mining Corp. 39,785 1,751,336
Nucor Corp. 25,549 1,201,058
Plum Creek Timber Company, Inc. (a) 13,219 405,030
PPG Industries, Inc. (a) 13,390 779,432
Praxair, Inc. 24,910 2,034,898
Sigma-Aldrich Corp. 9,890 533,862
The Sherwin-Williams Company 7,931 477,129
Titanium Metals Corp. 6,795 65,164
United States Steel Corp. (a) 11,637 516,334
Weyerhaeuser Company 17,161 628,951
 
    29,146,639
Communications - 10.63%    
Akamai Technologies, Inc. * 13,998 275,481
Amazon.com, Inc. * 26,996 2,520,347
American Tower Corp., Class A * 32,042 1,166,329
AT&T, Inc. 479,041 12,938,897
CBS Corp., Class B 55,027 663,075
CenturyTel, Inc. 24,187 812,683
Ciena Corp. * 7,432 120,993
Cisco Systems, Inc. * 468,314 11,024,112
Comcast Corp., Class A 233,009 3,935,522
Corning, Inc. 126,222 1,932,459
DIRECTV Group, Inc. * (a) 36,501 1,006,698
eBay, Inc. * 91,152 2,152,099
Expedia, Inc. * 17,174 411,317
Frontier Communications Corp. 25,496 192,240
Gannett Company, Inc. (a) 18,973 237,352
Google, Inc., Class A * 19,535 9,686,430
Harris Corp. 10,642 400,139
Interpublic Group of Companies, Inc. * 39,469 296,807
JDS Uniphase Corp. * 17,619 125,271
Juniper Networks, Inc. * 42,563 1,150,052
McAfee, Inc. * 12,764 558,936
McGraw-Hill Companies, Inc. 25,560 642,578
Meredith Corp. 2,911 87,155
MetroPCS Communications, Inc. * 21,158 198,039
Monster Worldwide, Inc. * 10,222 178,680
Motorola, Inc. 186,368 1,600,901
News Corp., Class A 182,548 2,188,750
Omnicom Group, Inc. 25,232 932,070
QUALCOMM, Inc. 134,969 6,070,906

500 Index Trust B (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Communications (continued)    
Qwest Communications International, Inc. (a) 120,755 $ 460,076
Scripps Networks Interactive, Inc., Class A 7,244 267,666
Sprint Nextel Corp. * 233,500 922,325
Symantec Corp. * 66,132 1,089,194
Tellabs, Inc. * 32,305 223,551
The New York Times Company, Class A 9,300 75,516
The Washington Post Company, Class B 504 235,912
Time Warner Cable, Inc. * 28,609 1,232,762
Time Warner, Inc. 96,264 2,770,478
VeriSign, Inc. * 15,740 372,881
Verizon Communications, Inc. 230,639 6,981,442
Viacom, Inc., Class B * 49,274 1,381,643
Windstream Corp. 35,644 361,074
Yahoo!, Inc. * 96,854 1,724,970
 
    81,605,808
Consumer, Cyclical - 8.77%    
Abercrombie & Fitch Company, Class A (a) 7,173 235,848
AutoNation, Inc. * (a) 7,661 138,511
AutoZone, Inc. * 2,618 382,804
Bed Bath & Beyond, Inc. * (a) 21,264 798,251
Best Buy Company, Inc. 27,721 1,040,092
Big Lots, Inc. * 6,740 168,635
Carnival Corp. * 35,576 1,183,969
Cintas Corp. 10,726 325,105
Coach, Inc. 25,826 850,192
Costco Wholesale Corp. 35,309 1,993,546
CVS Caremark Corp. 117,181 4,188,049
D.R. Horton, Inc. 22,506 256,793
Darden Restaurants, Inc. 11,321 386,386
Family Dollar Stores, Inc. 11,345 299,508
Fastenal Company 10,733 415,367
Ford Motor Company * 261,548 1,885,761
GameStop Corp., Class A * 13,437 355,677
Genuine Parts Company 12,953 492,991
Goodyear Tire & Rubber Company * 19,739 336,155
Harley-Davidson, Inc. (a) 19,046 438,058
Harman International Industries, Inc. 5,629 190,711
Hasbro, Inc. 10,159 281,912
Home Depot, Inc. (a) 138,461 3,688,601
International Game Technology 24,058 516,766
J.C. Penney Company, Inc. 19,151 646,346
Johnson Controls, Inc. 48,347 1,235,749
KB Home 6,012 99,859
Kohl's Corp. * 24,811 1,415,468
Lennar Corp., Class A 12,521 178,424
Limited Brands, Inc. 21,679 368,326
Lowe's Companies, Inc. 119,968 2,512,130
Macy's, Inc. 34,144 624,494
Marriott International, Inc., Class A 20,410 563,112
Mattel, Inc. 29,266 540,250
McDonald's Corp. 88,610 5,056,973
Newell Rubbermaid, Inc. 22,659 355,520
NIKE, Inc., Class B 31,564 2,042,191
Nordstrom, Inc. (a) 13,375 408,473
Office Depot, Inc. * 22,423 148,440
O'Reilly Automotive, Inc. * 11,073 400,178

The accompanying notes are an integral part of the financial statements.
6



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

500 Index Trust B (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
PACCAR, Inc. 29,499 $ 1,112,407
Polo Ralph Lauren Corp., Class A 4,695 359,731
Pulte Homes, Inc. * 25,663 282,036
RadioShack Corp. 10,214 169,246
Sears Holdings Corp. * (a) 4,052 264,636
Southwest Airlines Company 60,201 577,930
Staples, Inc. 58,649 1,361,830
Starbucks Corp. * 59,848 1,235,861
Starwood Hotels & Resorts Worldwide, Inc. 15,170 501,065
Target Corp. 61,046 2,849,627
The Gap, Inc. 39,095 836,633
Tiffany & Company 10,128 390,232
TJX Companies, Inc. 34,414 1,278,480
VF Corp. 7,223 523,162
Walgreen Company 80,575 3,019,145
Wal-Mart Stores, Inc. 175,363 8,608,570
Walt Disney Company 150,903 4,143,796
Whirlpool Corp. (a) 6,026 421,579
Wyndham Worldwide Corp. 14,536 237,228
Wynn Resorts, Ltd. * (a) 5,598 396,842
Yum! Brands, Inc. 37,881 1,278,863
 
    67,294,520
Consumer, Non-cyclical - 21.89%    
Abbott Laboratories 125,518 6,209,376
Allergan, Inc. 24,968 1,417,184
Altria Group, Inc. 168,181 2,995,304
AmerisourceBergen Corp. 24,135 540,141
Amgen, Inc. * 82,450 4,965,964
Apollo Group, Inc., Class A * 10,357 763,000
Archer-Daniels-Midland Company 52,129 1,523,209
Avery Dennison Corp. 9,202 331,364
Avon Products, Inc. 34,666 1,177,257
Baxter International, Inc. 48,936 2,789,841
Becton, Dickinson & Company 19,437 1,355,731
Boston Scientific Corp. * 122,399 1,296,206
Bristol-Myers Squibb Company 160,838 3,622,072
Brown Forman Corp., Class B 9,020 434,944
C.R. Bard, Inc. 7,926 623,063
Campbell Soup Company 15,644 510,307
Cardinal Health, Inc. 29,204 782,667
CareFusion Corp. * 14,695 320,351
Celgene Corp. * 37,237 2,081,548
Cephalon, Inc. * (a) 6,027 351,013
Clorox Company 11,314 665,490
Coca-Cola Enterprises, Inc. 25,752 551,350
Colgate-Palmolive Company 40,469 3,086,975
ConAgra Foods, Inc. 35,895 778,204
Constellation Brands, Inc., Class A * 16,055 243,233
Convergys Corp. * 10,014 99,539
Coventry Health Care, Inc. * 12,116 241,835
DaVita, Inc. * 8,441 478,098
Dean Foods Company * 14,638 260,410
DENTSPLY International, Inc. 12,065 416,725
DeVry, Inc. 5,027 278,094
Dr Pepper Snapple Group, Inc. * 20,625 592,969
Dun & Bradstreet Corp. 4,284 322,671

500 Index Trust B (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Equifax, Inc. 10,304 $ 300,259
Estee Lauder Companies, Inc., Class A 9,582 355,301
Express Scripts, Inc. * 22,281 1,728,560
Forest Laboratories, Inc. * 24,494 721,103
Fortune Brands, Inc. 12,199 524,313
General Mills, Inc. 26,422 1,701,048
Genzyme Corp. * 21,947 1,245,053
Gilead Sciences, Inc. * 73,420 3,419,904
H & R Block, Inc. 27,225 500,396
H.J. Heinz Company 25,591 1,017,242
Hershey Company 13,464 523,211
Hormel Foods Corp. 5,643 200,439
Hospira, Inc. * 13,099 584,215
Humana, Inc. * 13,775 513,808
Intuitive Surgical, Inc. * 3,080 807,730
Iron Mountain, Inc. * 14,633 390,116
J.M. Smucker Company 9,667 512,448
Johnson & Johnson 223,754 13,624,381
Kellogg Company 20,826 1,025,264
Kimberly-Clark Corp. 33,654 1,984,913
King Pharmaceuticals, Inc. * 20,241 217,996
Kraft Foods, Inc., Class A 119,757 3,146,016
Laboratory Corp. of America Holdings * 8,793 577,700
Life Technologies Corp. * 14,318 666,503
Lorillard, Inc. 13,409 996,289
McCormick & Company, Inc. 10,636 360,986
McKesson Corp. 21,609 1,286,816
Medco Health Solutions, Inc. * 38,465 2,127,499
Medtronic, Inc. 89,865 3,307,032
Merck & Company, Inc. (a) 171,226 5,415,878
Millipore Corp. * 4,525 318,243
Molson Coors Brewing Company, Class B 12,732 619,794
Moody's Corp. 15,924 325,805
Mylan, Inc. * (a) 24,899 398,633
Patterson Companies, Inc. * 7,548 205,683
Paychex, Inc. 26,085 757,769
Pepsi Bottling Group, Inc. 11,696 426,202
PepsiCo, Inc. 126,488 7,419,786
Pfizer, Inc. 547,986 9,069,168
Philip Morris International, Inc. 157,065 7,655,348
Procter & Gamble Company 236,995 13,726,750
Quanta Services, Inc. * 16,103 356,359
Quest Diagnostics, Inc. 12,668 661,143
R.R. Donnelley & Sons Company 16,752 356,148
Reynolds American, Inc. 13,721 610,859
Robert Half International, Inc. 12,331 308,522
Safeway, Inc. 33,817 666,871
Sara Lee Corp. 56,483 629,221
Schering-Plough Corp. 132,665 3,747,786
St. Jude Medical, Inc. * 28,272 1,102,891
Stryker Corp. 22,917 1,041,119
SUPERVALU, Inc. 17,272 260,116
Sysco Corp. 47,987 1,192,477
Tenet Healthcare Corp. * 35,155 206,711
The Coca-Cola Company 188,161 10,104,246
The Kroger Company 52,893 1,091,712

The accompanying notes are an integral part of the financial statements.
7



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

500 Index Trust B (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Tyson Foods, Inc., Class A 24,656 $ 311,405
UnitedHealth Group, Inc. 94,381 2,363,300
Varian Medical Systems, Inc. * 10,233 431,116
Watson Pharmaceuticals, Inc. * 8,604 315,251
WellPoint, Inc. * 38,572 1,826,770
Western Union Company 56,961 1,077,702
Whole Foods Market, Inc. * 11,463 349,507
Wyeth 108,398 5,265,975
Zimmer Holdings, Inc. * 17,400 930,030
 
    168,018,972
Diversified - 0.05%    
Leucadia National Corp. * (a) 15,434 381,528
Energy - 12.03%    
Anadarko Petroleum Corp. 39,827 2,498,348
Apache Corp. 27,260 2,503,286
Baker Hughes, Inc. 25,160 1,073,326
BJ Services Company 23,718 460,841
Cabot Oil & Gas Corp. 8,460 302,445
Cameron International Corp. * 17,851 675,125
Chesapeake Energy Corp. 52,098 1,479,583
Chevron Corp. 162,834 11,468,399
CMS Energy Corp. 18,515 248,101
ConocoPhillips Company 120,402 5,437,354
CONSOL Energy, Inc. 14,672 661,854
Denbury Resources, Inc. * 20,313 307,336
Devon Energy Corp. 36,034 2,426,169
Diamond Offshore Drilling, Inc. (a) 5,643 539,019
Duke Energy Corp. 105,285 1,657,186
El Paso Corp. 56,932 587,538
ENSCO International, Inc. 11,575 492,401
Entergy Corp. 15,897 1,269,534
EOG Resources, Inc. 20,455 1,708,197
EQT Corp. 10,629 452,795
Exxon Mobil Corp. 390,199 26,771,553
Halliburton Company 73,228 1,985,943
Hess Corp. 23,633 1,263,420
Marathon Oil Corp. 57,463 1,833,070
Massey Energy Company 6,978 194,616
Murphy Oil Corp. 15,493 891,932
Nabors Industries, Ltd. * 23,104 482,874
National Oilwell Varco, Inc. * 33,955 1,464,479
Noble Energy, Inc. 14,079 928,651
Occidental Petroleum Corp. 65,830 5,161,072
Peabody Energy Corp. 21,731 808,828
Pioneer Natural Resources Company 9,304 337,642
Questar Corp. 14,146 531,324
Range Resources Corp. 12,778 630,722
Rowan Companies, Inc. 9,230 212,936
Schlumberger, Ltd. 97,255 5,796,398
Smith International, Inc. 17,901 513,759
Southwestern Energy Company * 27,970 1,193,760
Spectra Energy Corp. 52,443 993,270
Sunoco, Inc. 9,542 271,470
Tesoro Corp. 11,294 169,184
Valero Energy Corp. 45,692 885,968

500 Index Trust B (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Energy (continued)    
Williams Companies, Inc. 47,351 $ 846,162
XTO Energy, Inc. 47,108 1,946,503
 
    92,364,373
Financial - 15.35%    
Aetna, Inc. 35,441 986,323
AFLAC, Inc. 37,960 1,622,410
Allstate Corp. 43,551 1,333,532
American Express Company 96,555 3,273,214
American International Group, Inc. * (a) 10,927 481,990
Ameriprise Financial, Inc. 20,704 752,176
Aon Corp. 22,286 906,817
Apartment Investment & Management    
Company, Class A, REIT 9,559 140,995
Assurant, Inc. 9,612 308,161
Avalon Bay Communities, Inc., REIT 6,490 472,018
Bank of America Corp. 702,453 11,885,505
Bank of New York Mellon Corp. 97,662 2,831,221
BB&T Corp. 55,340 1,507,462
Boston Properties, Inc., REIT 11,252 737,569
Capital One Financial Corp. 36,940 1,319,866
CB Richard Ellis Group, Inc. * 19,500 228,930
Charles Schwab Corp. 77,288 1,480,065
Chubb Corp. 28,410 1,432,148
CIGNA Corp. 22,142 621,969
Cincinnati Financial Corp. 13,269 344,861
Citigroup, Inc. 1,058,906 5,125,105
CME Group, Inc. 5,393 1,662,069
Comerica, Inc. 12,269 364,021
Discover Financial Services 43,496 705,940
E*TRADE Financial Corp. * (a) 75,263 131,710
Equity Residential, REIT 22,245 682,921
Federated Investors, Inc., Class B 7,183 189,416
Fidelity National Information Services, Inc. 15,611 398,237
Fifth Third Bancorp 64,574 654,135
First Horizon National Corp. * 17,823 235,798
Franklin Resources, Inc. 12,156 1,222,894
Genworth Financial, Inc., Class A 39,071 466,898
Goldman Sachs Group, Inc. 41,509 7,652,184
Hartford Financial Services Group, Inc. 31,200 826,800
HCP, Inc., REIT 23,798 683,954
Health Care, Inc., REIT 9,734 405,129
Host Hotels & Resorts, Inc., REIT 49,074 577,601
Hudson City Bancorp, Inc. 38,297 503,606
Huntington Bancshares, Inc. 46,200 217,602
IntercontinentalExchange, Inc. * 5,945 577,795
Invesco, Ltd. 33,781 768,856
Janus Capital Group, Inc. 14,787 209,680
JPMorgan Chase & Company 319,299 13,991,682
KeyCorp 71,332 463,658
Kimco Realty Corp., REIT 30,558 398,476
Legg Mason, Inc. (a) 13,185 409,130
Lincoln National Corp. 24,528 635,520
Loews Corp. 29,484 1,009,827
M&T Bank Corp. (a) 6,677 416,111
Marsh & McLennan Companies, Inc. 42,531 1,051,792
Marshall & Ilsley Corp. 29,889 241,204

The accompanying notes are an integral part of the financial statements.
8



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

500 Index Trust B (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
MasterCard, Inc., Class A 7,791 $ 1,574,951
MBIA, Inc. * 12,835 99,600
MetLife, Inc. 66,468 2,530,437
Morgan Stanley 110,333 3,407,083
NASDAQ OMX Group, Inc. * 11,523 242,559
Northern Trust Corp. 19,600 1,139,936
NYSE Euronext 21,110 609,868
People's United Financial, Inc. 28,286 440,130
PNC Financial Services Group, Inc. 37,463 1,820,327
Principal Financial Group, Inc. 25,896 709,291
Progressive Corp. * 55,098 913,525
ProLogis, REIT (a) 35,952 428,548
Prudential Financial, Inc. 37,593 1,876,267
Public Storage, Inc., REIT 11,011 828,468
Regions Financial Corp. 96,473 599,097
Simon Property Group, Inc., REIT 23,142 1,606,749
SLM Corp. * 38,159 332,746
State Street Corp. 40,149 2,111,837
SunTrust Banks, Inc. 40,502 913,320
T. Rowe Price Group, Inc. 20,796 950,377
The Travelers Companies, Inc. 46,082 2,268,617
Torchmark Corp. 6,718 291,763
U.S. Bancorp 155,240 3,393,546
Unum Group 26,909 576,929
Ventas, Inc., REIT 12,710 489,335
Vornado Realty Trust, REIT 12,675 816,397
Wells Fargo & Company 379,304 10,688,787
XL Capital, Ltd., Class A (a) 27,782 485,074
Zions Bancorp (a) 10,266 184,480
 
    117,877,027
Industrial - 10.20%    
3M Company 56,680 4,182,984
Amphenol Corp., Class A 13,918 524,430
Ball Corp. 7,672 377,462
Bemis Company, Inc. 8,768 227,179
Black & Decker Corp. 4,908 227,191
Boeing Company 58,982 3,193,875
Burlington Northern Santa Fe Corp. 21,258 1,697,026
C.H. Robinson Worldwide, Inc. 13,671 789,500
Caterpillar, Inc. (a) 50,445 2,589,342
CSX Corp. 31,830 1,332,404
Cummins, Inc. 16,385 734,212
Danaher Corp. 21,028 1,415,605
Deere & Company 34,341 1,473,916
Dover Corp. 15,113 585,780
Eastman Kodak Company (a) 21,776 104,089
Eaton Corp. 13,446 760,909
Emerson Electric Company 61,024 2,445,842
Expeditors International of Washington, Inc. 17,224 605,424
FedEx Corp. 25,359 1,907,504
FLIR Systems, Inc. * 12,299 344,003
Flowserve Corp. 4,541 447,470
Fluor Corp. 14,604 742,613
FMC Technologies, Inc. * 9,942 519,370
General Dynamics Corp. 31,267 2,019,848
General Electric Company 862,830 14,167,669

500 Index Trust B (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Goodrich Corp. 10,067 $ 547,041
Honeywell International, Inc. 61,062 2,268,453
Illinois Tool Works, Inc. 31,269 1,335,499
ITT Corp. 14,810 772,341
Jabil Circuit, Inc. 14,972 200,775
Jacobs Engineering Group, Inc. * 10,077 463,038
Leggett & Platt, Inc. 12,675 245,895
Lockheed Martin Corp. 26,214 2,046,789
Masco Corp. 29,165 376,812
Molex, Inc. 11,036 230,432
Norfolk Southern Corp. 29,850 1,286,834
Northrop Grumman Corp. 25,828 1,336,599
Owens-Illinois, Inc. * 13,672 504,497
Pactiv Corp. * 10,769 280,532
Pall Corp. 9,626 310,727
Parker-Hannifin Corp. 13,033 675,631
PerkinElmer, Inc. 9,437 181,568
Precision Castparts Corp. (a) 11,385 1,159,790
Raytheon Company 31,616 1,516,620
Republic Services, Inc. 26,170 695,337
Rockwell Automation, Inc. 11,526 491,008
Rockwell Collins, Inc. 12,800 650,240
Ryder Systems, Inc. 4,562 178,192
Sealed Air Corp. 12,947 254,150
Snap-on, Inc. 4,702 163,442
Stanley Works 6,455 275,564
Stericycle, Inc. * 6,932 335,855
Textron, Inc. 21,940 416,421
Thermo Fisher Scientific, Inc. * 33,139 1,447,180
Union Pacific Corp. 40,946 2,389,199
United Parcel Service, Inc., Class B 80,743 4,559,557
United Technologies Corp. 76,425 4,656,575
Vulcan Materials Company (a) 10,148 548,702
W.W. Grainger, Inc. 5,080 453,949
Waste Management, Inc. 40,003 1,192,889
Waters Corp. * 7,755 433,194
 
    78,296,974
Technology - 12.91%    
Adobe Systems, Inc. * 42,626 1,408,363
Advanced Micro Devices, Inc. * (a) 45,755 258,973
Affiliated Computer Services, Inc., Class A * 7,966 431,518
Agilent Technologies, Inc. * 28,027 779,991
Altera Corp. 23,951 491,235
Analog Devices, Inc. 23,672 652,874
Apple, Inc. * 72,734 13,482,702
Applied Materials, Inc. 108,289 1,451,073
Autodesk, Inc. * 18,644 443,727
Automatic Data Processing, Inc. 40,771 1,602,300
BMC Software, Inc. * 14,939 560,661
Broadcom Corp., Class A * 35,030 1,075,071
CA, Inc. 32,322 710,761
Citrix Systems, Inc. * 14,862 583,036
Cognizant Technology Solutions Corp.,    
Class A * 23,845 921,848
Computer Sciences Corp. * 12,317 649,229
Compuware Corp. * 19,286 141,366

The accompanying notes are an integral part of the financial statements.
9



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

500 Index Trust B (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Technology (continued)    
Dell, Inc. * 139,730 $ 2,132,280
Electronic Arts, Inc. * 26,362 502,196
EMC Corp. * 164,177 2,797,576
Fiserv, Inc. * 12,535 604,187
Hewlett-Packard Company 192,515 9,088,633
IMS Health, Inc. 14,837 227,748
Intel Corp. 454,521 8,894,976
International Business Machines Corp. 106,435 12,730,690
Intuit, Inc. * 26,231 747,583
KLA-Tencor Corp. 13,867 497,271
L-3 Communications Holdings, Inc. 9,465 760,229
Lexmark International, Inc. * 6,262 134,883
Linear Technology Corp. 18,049 498,694
LSI Logic Corp. * 52,965 290,778
MEMC Electronic Materials, Inc. * 18,243 303,381
Microchip Technology, Inc. (a) 14,854 393,631
Micron Technology, Inc. * 68,758 563,816
Microsoft Corp. 629,435 16,296,072
National Semiconductor Corp. 19,004 271,187
NetApp, Inc. * 27,311 728,657
Novell, Inc. * 28,177 127,078
Novellus Systems, Inc. * 7,971 167,232
NVIDIA Corp. * 44,584 670,098
Oracle Corp. 317,112 6,608,614
Pitney Bowes, Inc. (a) 16,847 418,648
QLogic Corp. * 9,589 164,931
Red Hat, Inc. * 15,265 421,925
Salesforce.com, Inc. * (a) 8,860 504,400
SanDisk Corp. * 18,517 401,819
Sun Microsystems, Inc. * 61,168 556,017
Teradata Corp. * 13,949 383,876
Teradyne, Inc. * 14,174 131,110
Texas Instruments, Inc. 102,419 2,426,306
Total Systems Services, Inc. 16,093 259,258
Western Digital Corp. * 18,243 666,417
Xerox Corp. 70,589 546,359
Xilinx, Inc. 22,491 526,739
 
    99,090,023
Utilities - 3.13%    
AES Corp. * 54,157 802,607
Allegheny Energy, Inc. 13,827 366,692
Ameren Corp. 18,948 479,005
American Electric Power Company, Inc. 38,712 1,199,685
CenterPoint Energy, Inc. 31,373 389,966
Consolidated Edison, Inc. 22,327 914,067
Constellation Energy Group, Inc. 16,259 526,304
Dominion Resources, Inc. 48,331 1,667,420
DTE Energy Company 13,377 470,068
Dynegy, Inc., Class A * 41,347 105,435
Edison International 26,454 888,325
Exelon Corp. 53,513 2,655,315
FirstEnergy Corp. 24,751 1,131,616
FPL Group, Inc. 33,408 1,845,124
Integrys Energy Group, Inc. 6,238 223,882
Nicor, Inc. 3,691 135,054
NiSource, Inc. 22,414 311,330

500 Index Trust B (continued)    
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS (continued)      
Utilities (continued)      
Northeast Utilities   14,295 $ 339,363
Pepco Holdings, Inc.   17,957 267,200
PG&E Corp.   30,068 1,217,453
Pinnacle West Capital Corp.   8,251 270,798
PPL Corp.   30,576 927,676
Progress Energy, Inc.   22,677 885,764
Public Service Enterprise Group, Inc.   41,082 1,291,618
SCANA Corp.   8,953 312,460
Sempra Energy   19,941 993,261
Southern Company   64,634 2,046,959
Teco Energy, Inc. (a)   17,355 244,358
Wisconsin Energy Corp.   9,492 428,754
Xcel Energy, Inc.   37,002 711,918
 
      24,049,477

 
TOTAL COMMON STOCKS (Cost $833,120,657) $ 758,125,341

 
SECURITIES LENDING COLLATERAL - 3.24%    
Securities Lending Collateral - 3.24%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   2,483,667 24,861,507

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $24,863,714)   $ 24,861,507

 
REPURCHASE AGREEMENTS - 0.62%      
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$4,739,001 on 10/01/2009,      
collateralized by $4,540,000 U.S.      
Treasury Notes, 5.00% due      
02/15/2011 (valued at $4,837,370,      
including interest) $ 4,739,000 $ 4,739,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $4,739,000)   $ 4,739,000

Total Investments (500 Index Trust B)      
(Cost $862,723,371) - 102.62%   $ 787,725,848
Other assets and liabilities, net - (2.62)%     (20,101,385)
 
TOTAL NET ASSETS - 100.00%   $ 767,624,463
 
 
 
Active Bond Trust      
    Shares or  
    Principal  
    Amount Value

U.S. TREASURY OBLIGATIONS - 0.81%      
U.S. Treasury Bonds - 0.28%      
4.25% due 05/15/2039 $ 5,265,000 $ 5,446,806
U.S. Treasury Notes - 0.53%      
2.625% due 06/30/2014   3,625,000 3,689,568
3.625% due 08/15/2019   6,600,000 6,774,280
 
      10,463,848

TOTAL U.S. TREASURY OBLIGATIONS      
(Cost $15,600,019)   $ 15,910,654


The accompanying notes are an integral part of the financial statements.
10



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
U.S. GOVERNMENT AGENCY OBLIGATIONS - 21.40%  
Federal Farm Credit Bank - 0.13%      
2.625% due 04/17/2014 $ 2,610,000 $ 2,619,678
Federal Home Loan Bank - 0.75%      
5.375% due 05/18/2016   3,145,000 3,531,872
5.896% due 09/01/2036 (b)   10,581,879 11,105,624
 
      14,637,496
 
Federal Home Loan Mortgage Corp. - 2.18%    
4.50% due 09/01/2023 to 04/01/2039   16,103,308 16,429,783
5.00% due 07/01/2035   2,562,500 2,655,391
5.50% due 03/01/2036   13,141,413 13,807,723
5.697% due 04/01/2037   2,858,831 3,020,977
5.863% due 03/01/2037 (b)   6,320,028 6,692,072
 
      42,605,946
 
Federal National Mortgage      
Association - 17.77%      
0.00% due 02/01/2015   1,420,000 1,178,918
3.385% due 08/01/2034   2,561,507 2,651,743
4.00% due 06/01/2024 to 07/01/2024   36,647,552 37,353,304
4.127% due 07/01/2033 (b)   99,131 103,216
4.50% TBA **   6,660,000 6,895,181
4.897% due 12/01/2038 (b)   3,088,354 3,257,900
5.00% due 05/01/2018 to 05/01/2038   115,324,771 119,739,231
5.00% TBA **   6,400,000 6,709,500
5.308% due 12/01/2038 (b)   6,267,239 6,604,275
5.50% due 02/01/2018 to 07/01/2037   83,067,078 87,308,712
5.50% TBA **   3,900,000 4,123,031
6.00% due 05/01/2035 to 02/01/2036   56,223,701 59,773,059
6.00% TBA **   5,430,000 5,727,802
6.50% due 02/01/2036   2,790,471 2,994,742
7.00% due 09/01/2010 to 10/25/2041   2,409,210 2,578,701
7.50% due 09/01/2029 to 08/01/2031   214,588 236,071
 
      347,235,386
 
Government National Mortgage      
Association - 0.57%      
5.00% due 04/15/2035   3,983,227 4,148,779
5.50% due 03/15/2035   4,231,937 4,466,182
6.00% due 03/15/2033 to 06/15/2033   1,667,168 1,782,361
6.50% due 09/15/2028 to 08/15/2031   335,069 361,354
7.00% due 04/15/2029   113,500 123,777
8.00% due 10/15/2026 to 05/15/2029   130,117 143,831
 
      11,026,284

 
TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS  
(Cost $400,738,284)   $ 418,124,790

 
FOREIGN GOVERNMENT OBLIGATIONS - 0.75%  
Argentina - 0.10%      
Republic of Argentina      
0.63% due 12/31/2038 (b) ARS 8,797,621 713,791
2.4548% due 12/15/2035 (b)   19,532,033 302,408
5.83% due 12/31/2033 (b)   3,617,497 956,288
 
      1,972,487
 
Brazil - 0.06%      
Federative Republic of Brazil      
10.25% due 01/10/2028 BRL 2,000,000 1,083,766

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
FOREIGN GOVERNMENT OBLIGATIONS    
(continued)      
Canada - 0.02%      
Government of Canada      
5.50% due 06/01/2010 CAD 270,000 $ 260,692
Colombia - 0.07%      
Republic of Colombia      
10.00% due 01/23/2012 $ 1,005,000 1,180,373
11.75% due 03/01/2010 COP 402,000,000 214,366
 
      1,394,739
 
Denmark - 0.01%      
Kingdom of Denmark      
6.00% due 11/15/2009 DKK 1,200,000 237,264
Germany - 0.17%      
Federal Republic of Germany      
5.25% due 01/04/2011 EUR 1,275,000 1,967,212
6.25% due 01/04/2030   725,000 1,379,960
 
      3,347,172
 
Japan - 0.12%      
Government of Japan      
1.50% due 09/20/2014 JPY 68,650,000 798,266
1.80% due 03/22/2010   132,350,000 1,485,658
 
      2,283,924
 
Mexico - 0.09%      
Government of Mexico      
8.00% due 12/07/2023 MXN 11,861,100 861,747
8.00% due 12/19/2013   8,332,200 634,190
9.875% due 02/01/2010 $ 290,000 297,540
 
      1,793,477
 
Panama - 0.03%      
Republic of Panama      
8.875% due 09/30/2027   344,000 454,080
9.375% due 04/01/2029   130,000 177,450
 
      631,530
 
Peru - 0.01%      
Republic of Peru      
9.875% due 02/06/2015   148,000 187,664
Philippines - 0.01%      
Republic of Philippines      
9.125% due 02/22/2010 EUR 148,000 221,990
Sweden - 0.02%      
Kingdom of Sweden      
5.25% due 03/15/2011 SEK 1,720,000 262,287
Ukraine - 0.02%      
Republic of Ukraine      
7.65% due 06/11/2013 $ 500,000 451,300
United Kingdom - 0.02%      
Government of United Kingdom      
6.00% due 12/07/2028 GBP 85,000 173,526
8.00% due 12/07/2015   125,000 257,608
 
      431,134

 
TOTAL FOREIGN GOVERNMENT OBLIGATIONS  
(Cost $13,928,708)   $ 14,559,426


The accompanying notes are an integral part of the financial statements.
11



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS - 54.80%      
Basic Materials - 1.99%      
Alcan, Inc.      
5.00% due 06/01/2015 $ 339,000 $ 347,584
Alcoa, Inc.      
5.72% due 02/23/2019   560,000 506,950
Allegheny Technologies, Inc.      
9.375% due 06/01/2019   1,145,000 1,296,335
American Pacific Corp.      
9.00% due 02/01/2015   1,655,000 1,501,912
Arcelormittal      
6.125% due 06/01/2018   530,000 522,133
9.85% due 06/01/2019   2,245,000 2,655,395
CII Carbon LLC      
11.125% due 11/15/2015 (g)   1,495,000 1,435,200
Corporacion Nacional del Cobre      
5.50% due 10/15/2013 (g)   481,000 522,113
Dow Chemical Company      
5.90% due 02/15/2015   1,350,000 1,385,617
E.I. Du Pont de Nemours & Company      
6.00% due 07/15/2018   3,000,000 3,355,422
Ecolab, Inc.      
4.875% due 02/15/2015   1,305,000 1,364,315
Inco, Ltd.      
5.70% due 10/15/2015   2,725,000 2,835,602
International Paper Company      
7.95% due 06/15/2018   3,725,000 4,037,744
9.375% due 05/15/2019   1,585,000 1,855,870
Mosaic Company      
7.625% due 12/01/2016 (g)   1,505,000 1,605,408
PE Paper Escrow GmbH      
12.00% due 08/01/2014 (g)   335,000 361,800
Plum Creek Timberlands LP      
5.875% due 11/15/2015   1,695,000 1,744,102
Rio Tinto Alcan, Inc.      
6.125% due 12/15/2033   1,440,000 1,462,668
Rio Tinto Finance USA, Ltd.      
8.95% due 05/01/2014   985,000 1,162,484
Sterling Chemicals, Inc.      
10.25% due 04/01/2015   1,095,000 1,042,988
Teck Resources, Ltd.      
10.75% due 05/15/2019   805,000 935,813
The Dow Chemical Company      
8.55% due 05/15/2019   1,290,000 1,450,148
United States Steel Corp.      
6.05% due 06/01/2017   1,350,000 1,260,889
7.00% due 02/01/2018   2,000,000 1,920,744
Vedanta Resources PLC      
8.75% due 01/15/2014 (g)   1,120,000 1,117,200
Verso Paper, Inc., Series B      
9.125% due 08/01/2014   1,575,000 1,165,500
 
      38,851,936
 
Communications - 5.75%      
America Movil SAB de CV      
5.75% due 01/15/2015   1,540,000 1,622,033
AT&T Wireless Services, Inc.      
7.875% due 03/01/2011   573,000 621,839
8.75% due 03/01/2031   471,000 623,915
AT&T, Inc.      
6.30% due 01/15/2038   2,080,000 2,179,097

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Communications (continued)      
Axtel SAB de CV      
9.00% due 09/22/2019 (g) $ 540,000 $ 554,175
BellSouth Corp.      
6.00% due 11/15/2034   2,000,000 2,026,138
6.55% due 06/15/2034   1,580,000 1,691,224
British Telecommunications PLC      
5.95% due 01/15/2018   1,715,000 1,737,276
Cablevision Systems Corp.      
8.625% due 09/15/2017 (g)   300,000 309,750
Charter Communications Holdings II LLC      
10.25% due 10/01/2013 ^ (g)   1,567,000 1,649,267
Cincinnati Bell, Inc.      
8.375% due 01/15/2014   1,440,000 1,447,200
Citizens Communications Company      
6.25% due 01/15/2013   2,050,000 2,009,000
9.00% due 08/15/2031   3,000,000 2,940,000
Comcast Corp.      
6.50% due 01/15/2015   1,060,000 1,181,148
6.95% due 08/15/2037   1,000,000 1,116,162
COX Communications, Inc.      
5.45% due 12/15/2014   922,000 990,436
6.75% due 03/15/2011   491,000 519,974
7.75% due 11/01/2010   368,000 389,414
CSC Holdings, Inc.      
7.875% due 02/15/2018   1,375,000 1,402,500
Deutsche Telekom International Finance BV      
8.75% due 06/15/2030   1,358,000 1,758,641
7.125% due 07/11/2011 EUR 99,000 156,663
Digicel Group, Ltd.      
8.875% due 01/15/2015 (g) $ 1,810,000 1,683,300
DirecTV Holdings LLC      
4.75% due 10/01/2014 (g)   800,000 803,237
7.625% due 05/15/2016   1,250,000 1,337,500
Embarq Corp.      
7.995% due 06/01/2036   4,780,000 4,994,211
France Telecom SA      
7.75% due 03/01/2011   996,000 1,078,444
8.50% due 03/01/2031   1,009,000 1,395,124
Frontier Communications Corp.      
8.25% due 05/01/2014   1,670,000 1,720,100
Intelsat Jackson Holdings, Ltd.      
11.50% due 06/15/2016   1,130,000 1,203,450
News America Holdings, Inc.      
6.75% due 01/09/2038   108,000 113,339
7.75% due 12/01/2045   491,000 522,522
8.25% due 08/10/2018   2,010,000 2,362,460
News America, Inc.      
6.65% due 11/15/2037   3,450,000 3,593,848
6.90% due 03/01/2019   745,000 831,330
NII Capital Corp.      
10.00% due 08/15/2016 (g)   850,000 884,000
Qwest Corp.      
7.875% due 09/01/2011   1,295,000 1,335,469
R.H. Donnelley Corp.      
8.875% due 10/15/2017 ^   2,475,000 142,313
Rogers Cable, Inc.      
6.75% due 03/15/2015   1,545,000 1,736,595
Rogers Wireless, Inc.      
9.625% due 05/01/2011   422,000 469,450

The accompanying notes are an integral part of the financial statements.
12



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Communications (continued)      
SBA Telecommunications, Inc.      
8.00% due 08/15/2016 (g) $ 505,000 $ 516,363
SBC Communications, Inc.      
5.10% due 09/15/2014   799,000 861,456
5.625% due 06/15/2016   613,000 659,439
6.45% due 06/15/2034   2,217,000 2,335,851
Singapore Telecommunications, Ltd.      
6.375% due 12/01/2011 (g)   466,000 506,620
Sirius XM Radio, Inc.      
13.00% due 08/01/2014 (g)   1,500,000 1,470,000
Sprint Capital Corp.      
6.875% due 11/15/2028   2,800,000 2,338,000
7.625% due 01/30/2011   985,000 1,008,394
8.375% due 03/15/2012   398,000 410,935
8.75% due 03/15/2032   2,895,000 2,735,775
TCI Communications, Inc.      
9.80% due 02/01/2012   1,360,000 1,566,415
Telecom Italia Capital SA      
6.175% due 06/18/2014   1,305,000 1,415,595
7.20% due 07/18/2036   2,885,000 3,259,678
Time Warner Cable, Inc.      
6.55% due 05/01/2037   1,930,000 2,050,733
6.75% due 07/01/2018   4,695,000 5,186,848
8.75% due 02/14/2019   1,200,000 1,478,316
Time Warner Companies, Inc.      
7.57% due 02/01/2024   1,716,000 1,865,287
Time Warner Entertainment Company LP      
8.375% due 07/15/2033   1,520,000 1,826,856
8.375% due 03/15/2023   1,675,000 2,009,230
Time Warner, Inc.      
7.625% due 04/15/2031   451,000 505,454
Verizon Communications, Inc.      
6.10% due 04/15/2018   2,440,000 2,635,176
6.90% due 04/15/2038   1,715,000 1,953,159
Verizon of New York, Inc., Series A      
6.875% due 04/01/2012   765,000 832,029
Verizon Wireless Capital LLC      
7.375% due 11/15/2013 (g)   960,000 1,102,429
Viacom, Inc.      
6.25% due 04/30/2016   1,570,000 1,693,334
6.625% due 05/15/2011   3,115,000 3,263,050
6.75% due 10/05/2037   2,370,000 2,516,295
6.875% due 04/30/2036   3,305,000 3,491,385
Vivendi      
5.75% due 04/04/2013 (g)   5,073,000 5,264,455
West Corp.      
11.00% due 10/15/2016   2,145,000 2,128,913
XM Satellite Radio, Inc.      
11.25% due 06/15/2013 (g)   385,000 402,325
 
      112,422,339
 
Consumer, Cyclical - 3.44%      
Allison Transmission, Inc.      
11.00% due 11/01/2015 (g)   1,660,000 1,626,800
AMC Entertainment, Inc.      
8.00% due 03/01/2014   1,845,000 1,780,425
8.75% due 06/01/2019   500,000 516,250
Arcos Dorados BV      
7.50% due 10/01/2019 (g)   685,000 679,834

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Consumer, Cyclical (continued)      
Burlington Coat Factory Warehouse Corp.      
11.125% due 04/15/2014 $ 1,330,000 $ 1,303,400
Cinemark USA, Inc.      
8.625% due 06/15/2019 (g)   675,000 697,781
Continental Airlines, Inc., Series 981A      
6.648% due 09/15/2017   644,670 605,990
Continental Airlines, Inc., Series 00-2      
8.307% due 10/02/2019   772,825 680,086
Continental Airlines, Inc., Series 01-1      
7.033% due 06/15/2011   177,098 155,846
Continental Airlines, Inc., Series 991A      
6.545% due 02/02/2019   439,733 415,548
CVS Caremark Corp.      
6.302% due 06/01/2037   2,865,000 2,449,575
CVS Pass-Through Trust      
8.353% due 07/10/2031 (g)   1,326,420 1,412,638
DaimlerChrysler NA Holding Corp.      
5.875% due 03/15/2011   1,885,000 1,956,098
Darden Restaurants, Inc.      
6.80% due 10/15/2037   3,165,000 3,367,601
Delphi Corp.      
6.197% due 11/15/2033 ^   118,000 148
Delta Air Lines, Inc.      
6.821% due 08/10/2022   2,442,232 2,259,065
9.50% due 09/15/2014 (g)   900,000 909,000
Delta Air Lines, Inc., Series 02-1      
6.417% due 01/02/2014   2,290,000 2,106,800
Exide Technologies, Series B      
10.50% due 03/15/2013   1,390,000 1,365,675
Fontainebleau Las Vegas      
11.00% due 06/15/2015 ^ (g)   1,240,000 34,100
Goodyear Tire & Rubber Company      
8.625% due 12/01/2011   855,000 882,787
Greektown Holdings LLC      
10.75% due 12/01/2013 ^ (g)   1,085,000 263,112
Hasbro, Inc.      
6.125% due 05/15/2014   1,385,000 1,506,525
HRP Myrtle Beach Operations LLC      
zero coupon due 04/01/2012 ^ (g)   705,000 70
Jacobs Entertainment, Inc.      
9.75% due 06/15/2014   1,390,000 1,266,637
Little Traverse Bay Bands of Odawa Indians      
10.25% due 02/15/2014 ^ (g)   2,085,000 961,706
Macy's Retail Holdings, Inc.      
8.875% due 07/15/2015   1,310,000 1,366,592
Marriott International, Inc.      
4.625% due 06/15/2012   1,324,000 1,333,852
Mashantucket Western Pequot Tribe      
8.50% due 11/15/2015 (g)   365,000 132,312
MGM Mirage, Inc.      
10.375% due 05/15/2014 (g)   335,000 357,613
Mohegan Tribal Gaming Authority      
8.00% due 04/01/2012   1,062,000 900,045
MTR Gaming Group, Inc.      
12.625% due 07/15/2014 (g)   655,000 638,625
MTR Gaming Group, Inc., Series B      
9.00% due 06/01/2012   1,255,000 941,250
Nordstrom, Inc.      
6.75% due 06/01/2014   920,000 1,009,234

The accompanying notes are an integral part of the financial statements.
13



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Consumer, Cyclical (continued)      
Northwest Airlines, Inc., Series 07-1      
7.027% due 11/01/2019 $ 1,545,147 $ 1,297,923
Owens & Minor, Inc.      
6.35% due 04/15/2016   3,000,000 2,704,851
Pulte Homes, Inc.      
6.25% due 02/15/2013   515,000 522,725
Regal Cinemas Corp.      
8.625% due 07/15/2019 (g)   435,000 450,225
Royal Caribbean Cruises, Ltd.      
7.00% due 06/15/2013   3,035,000 2,890,838
Seminole Indian Tribe of Florida      
6.535% due 10/01/2020 (g)   2,240,000 1,926,691
Staples, Inc.      
9.75% due 01/15/2014   1,245,000 1,495,541
Starwood Hotels & Resorts Worldwide, Inc.      
6.25% due 02/15/2013   1,105,000 1,088,425
Target Corp.      
6.50% due 10/15/2037   1,800,000 2,013,941
Tenneco Automotive, Inc.      
8.625% due 11/15/2014   1,275,000 1,195,313
Toll Brothers Finance Corp.      
6.75% due 11/01/2019   800,000 796,458
Turning Stone Resort Casino      
9.125% due 09/15/2014 (g)   1,420,000 1,356,100
US Airways Group, Inc.      
7.25% due 05/15/2014   680,000 861,900
US Corrugated, Inc.      
10.00% due 06/12/2013   570,000 478,800
Volvo Treasury AB      
5.95% due 04/01/2015 (g)   1,880,000 1,878,252
Waterford Gaming LLC      
8.625% due 09/15/2014 (g)   989,000 642,850
Whirlpool Corp.      
8.00% due 05/01/2012   490,000 528,907
8.60% due 05/01/2014   1,390,000 1,554,889
Yonkers Racing Corp.      
11.375% due 07/15/2016 (g)   695,000 722,800
Yum! Brands, Inc.      
6.25% due 03/15/2018   1,715,000 1,847,674
6.875% due 11/15/2037   4,630,000 5,129,285
 
      67,267,408
 
Consumer, Non-cyclical - 4.11%      
ACCO Brands Corp.      
10.625% due 03/15/2015 (g)   125,000 130,781
Alliance One International, Inc.      
8.50% due 05/15/2012   815,000 819,075
10.00% due 07/15/2016 (g)   1,530,000 1,579,725
Altria Group, Inc.      
8.50% due 11/10/2013   2,435,000 2,824,210
Anheuser-Busch Companies, Inc.      
5.75% due 04/01/2036   1,000,000 997,293
6.45% due 09/01/2037   2,000,000 2,178,540
6.50% due 02/01/2043   540,000 584,442
Anheuser-Busch InBev NV      
7.20% due 01/15/2014   1,320,000 1,486,117
ASG Consolidated LLC/ASG Finance, Inc.      
11.5 due 11/01/2011 (g)   1,235,000 1,197,950

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Consumer, Non-cyclical (continued)      
Beckman Coulter, Inc.      
7.00% due 06/01/2019 $ 925,000 $ 1,060,642
Bunge, Ltd. Finance Corp.      
5.35% due 04/15/2014   1,230,000 1,275,627
8.50% due 06/15/2019   830,000 956,849
CareFusion Corp.      
5.125% due 08/01/2014 (g)   860,000 897,384
Coventry Health Care, Inc.      
5.875% due 01/15/2012   1,270,000 1,257,007
6.30% due 08/15/2014   3,835,000 3,765,632
Covidien International Finance SA      
6.00% due 10/15/2017   2,220,000 2,462,923
Dr. Pepper Snapple Group, Inc.      
6.12% due 05/01/2013   870,000 949,534
6.82% due 05/01/2018   1,155,000 1,312,984
Elan Corp. PLC      
8.75% due 10/15/2016 (g)   395,000 390,671
ERAC USA Finance Company      
6.375% due 10/15/2017 (g)   1,250,000 1,254,939
HCA, Inc.      
8.50% due 04/15/2019 (g)   1,550,000 1,619,750
Hospira, Inc., GMTN      
6.40% due 05/15/2015   700,000 778,307
Inverness Medical Innovations, Inc.      
7.875% due 02/01/2016 (g)   765,000 738,225
Kellogg Company, Series B      
6.60% due 04/01/2011   481,000 515,503
Kraft Foods, Inc.      
5.625% due 11/01/2011   966,000 1,027,798
6.00% due 02/11/2013   2,665,000 2,858,538
6.125% due 02/01/2018   5,275,000 5,589,807
Kroger Company      
7.00% due 05/01/2018   2,105,000 2,408,126
Medco Health Solutions, Inc.      
7.25% due 08/15/2013   4,985,000 5,578,160
Miller Brewing Company      
5.50% due 08/15/2013 (g)   1,580,000 1,669,801
Nabisco, Inc.      
7.55% due 06/15/2015   1,471,000 1,687,069
Philip Morris International, Inc.      
4.875% due 05/16/2013   1,120,000 1,189,806
5.65% due 05/16/2018   2,255,000 2,400,258
Reynolds American, Inc.      
7.25% due 06/01/2013   1,485,000 1,615,747
SABMiller PLC      
6.50% due 07/15/2018 (g)   3,475,000 3,857,003
Safeway, Inc.      
6.35% due 08/15/2017   1,820,000 2,020,346
Smithfield Foods, Inc.      
7.00% due 08/01/2011   897,000 861,120
10.00% due 07/15/2014 (g)   985,000 1,034,250
Tate & Lyle International Finance PLC      
5.00% due 11/15/2014 (g)   417,000 407,432
Tesco PLC      
6.15% due 11/15/2037 (g)   2,400,000 2,568,214
Teva Pharmaceutical Finance LLC      
6.15% due 02/01/2036   1,680,000 1,806,521
Tyson Foods, Inc.      
10.50% due 03/01/2014   660,000 747,450

The accompanying notes are an integral part of the financial statements.
14



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Consumer, Non-cyclical (continued)      
United Rentals North America, Inc.      
7.00% due 02/15/2014 $ 1,525,000 $ 1,326,750
10.875% due 06/15/2016 (g)   495,000 529,650
UnitedHealth Group, Inc.      
4.875% due 02/15/2013   940,000 977,010
5.375% due 03/15/2016   1,130,000 1,145,920
5.80% due 03/15/2036   540,000 523,661
Watson Pharmaceuticals, Inc.      
6.125% due 08/15/2019   1,520,000 1,598,578
WellPoint, Inc.      
5.00% due 12/15/2014   417,000 433,423
6.375% due 06/15/2037   1,735,000 1,884,165
Yankee Acquisition Corp., Series B      
8.50% due 02/15/2015   1,515,000 1,424,100
 
      80,204,813
 
Diversified - 0.13%      
ESI Tractebel Acquisition Corp., Series B      
7.99% due 12/30/2011   1,486,000 1,478,313
Hutchison Whampoa International, Ltd.      
5.75% due 09/11/2019 (g)   1,060,000 1,067,210
 
      2,545,523
 
Energy - 6.71%      
Anadarko Finance Company, Series B      
7.50% due 05/01/2031   4,602,000 5,091,556
Anadarko Petroleum Corp.      
8.70% due 03/15/2019   1,500,000 1,793,491
Apache Corp.      
6.90% due 09/15/2018   1,715,000 2,038,936
Arch Coal, Inc.      
8.75% due 08/01/2016 (g)   225,000 231,750
Buckeye Partners LP      
5.125% due 07/01/2017   1,150,000 1,138,679
Cenovus Energy, Inc.      
4.50% due 09/15/2014 (g)   1,095,000 1,118,825
5.70% due 10/15/2019 (g)   720,000 738,281
CenterPoint Energy Resources Corp.      
7.875% due 04/01/2013   1,765,000 1,987,489
CNOOC Finance 2003, Ltd.      
5.50% due 05/21/2033 (g)   545,000 555,191
DCP Midstream LLC      
9.75% due 03/15/2019 (g)   1,435,000 1,714,283
Devon Energy Corp.      
5.625% due 01/15/2014   1,875,000 2,015,709
6.30% due 01/15/2019   1,000,000 1,103,282
Devon Financing Corp.      
6.875% due 09/30/2011   295,000 320,940
7.875% due 09/30/2031   3,874,000 4,798,526
Duke Capital LLC      
6.75% due 02/15/2032   589,000 611,575
Enbridge Energy Partners LP, Series B      
6.50% due 04/15/2018   2,400,000 2,585,436
7.50% due 04/15/2038   2,400,000 2,740,920
Energy Transfer Partners LP      
6.625% due 10/15/2036   1,000,000 1,037,928
8.50% due 04/15/2014   1,200,000 1,386,654
9.70% due 03/15/2019   1,445,000 1,788,604

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Energy (continued)      
Enterprise Products Operating LP      
8.375% until 08/01/2016, then      
variable due 08/01/2066 (b) $ 3,700,000 $ 3,459,500
7.034% until 01/15/2018, then variable      
due 01/15/2068   2,005,000 1,754,375
6.30% due 09/15/2017   2,860,000 3,080,457
Enterprise Products Operating LP, Series B      
5.60% due 10/15/2014 (g)   2,000,000 2,130,234
6.875% due 03/01/2033   471,000 527,550
EQT Corp.      
8.125% due 06/01/2019   1,040,000 1,187,025
GS Caltex Corp.      
5.50% due 08/25/2014 (g)   471,000 461,115
Gulf South Pipeline Company LP      
5.75% due 08/15/2012 (g)   1,345,000 1,414,472
Kinder Morgan Energy Partners LP      
5.125% due 11/15/2014   980,000 1,018,291
5.80% due 03/15/2035   402,000 379,084
6.50% due 02/01/2037   4,220,000 4,290,107
7.30% due 08/15/2033   603,000 645,720
7.75% due 03/15/2032   805,000 905,404
9.00% due 02/01/2019   2,180,000 2,641,388
Kinder Morgan Energy Partners LP, MTN      
6.95% due 01/15/2038   1,960,000 2,105,195
Marathon Oil Corp.      
6.80% due 03/15/2032   2,785,000 2,992,978
MarkWest Energy Partners LP / MarkWest Energy    
Finance Corp., Series B      
8.50% due 07/15/2016   1,180,000 1,168,200
McMoRan Exploration Company      
11.875% due 11/15/2014   1,030,000 1,030,000
Nexen, Inc.      
5.875% due 03/10/2035   598,000 547,687
6.40% due 05/15/2037   2,375,000 2,312,153
NGPL Pipeco LLC      
7.119% due 12/15/2017 (g)   2,020,000 2,260,180
Nustar Logistics      
7.65% due 04/15/2018   810,000 877,942
ONEOK Partners LP      
6.15% due 10/01/2016   2,080,000 2,168,697
6.65% due 10/01/2036   2,935,000 3,127,460
8.625% due 03/01/2019   1,410,000 1,683,186
Pemex Project Funding Master Trust      
1.599% due 06/15/2010 (b)(g)   897,000 892,515
Petro-Canada      
6.05% due 05/15/2018   2,800,000 2,931,874
Petroleos Mexicanos      
4.875% due 03/15/2015 (g)   1,720,000 1,709,269
Plains All American Pipeline LP      
4.25% due 09/01/2012   2,265,000 2,328,454
6.50% due 05/01/2018   1,220,000 1,306,737
8.75% due 05/01/2019   1,500,000 1,800,605
Premcor Refining Group, Inc.      
7.50% due 06/15/2015   206,000 211,435
Questar Market Resources, Inc.      
6.80% due 03/01/2020   750,000 771,904
Ras Laffan Liquefied Natural Gas Company, Ltd. III    
5.838% due 09/30/2027 (g)   1,515,000 1,489,518

The accompanying notes are an integral part of the financial statements.
15



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Energy (continued)      
Regency Energy Partners LP      
9.375% due 06/01/2016 (g) $ 1,070,000 $ 1,112,800
Salton Sea Funding Corp., Series F      
7.475% due 11/30/2018   671,149 727,472
Spectra Energy Capital LLC      
6.20% due 04/15/2018   1,350,000 1,436,567
Suncor Energy, Inc.      
6.10% due 06/01/2018   2,785,000 2,910,509
Talisman Energy, Inc.      
6.25% due 02/01/2038   4,525,000 4,616,111
TEPPCO Partners LP      
7.70% until 06/01/2017, then variable      
due 06/01/2067 (b)   6,230,000 5,326,214
6.65% due 04/15/2018   3,000,000 3,251,388
Tesoro Corp.      
9.75% due 06/01/2019   665,000 691,600
Texas Eastern Transmission LP      
6.00% due 09/15/2017 (g)   2,910,000 3,148,917
TransCanada Pipelines, Ltd.      
7.625% due 01/15/2039   1,000,000 1,276,032
Transocean, Inc.      
6.00% due 03/15/2018   2,775,000 2,964,349
Valero Logistics Operations LP      
6.05% due 03/15/2013   2,392,000 2,455,948
Weatherford International, Ltd.      
5.50% due 02/15/2016   1,000,000 1,018,277
6.50% due 08/01/2036   2,400,000 2,445,814
7.00% due 03/15/2038   2,000,000 2,156,146
XTO Energy, Inc.      
4.625% due 06/15/2013   3,000,000 3,103,434
 
      131,050,344
 
Financial - 24.75%      
Aflac, Inc.      
8.50% due 05/15/2019   1,380,000 1,645,057
Allied Capital Corp.      
6.00% due 04/01/2012   3,850,000 2,786,711
6.625% due 07/15/2011   1,450,000 1,192,000
Allied World Assurance Holdings, Ltd.      
7.50% due 08/01/2016   4,360,000 4,556,483
American Express Bank FSB, BKNT      
6.00% due 09/13/2017   3,085,000 3,191,269
American Express Company      
7.00% due 03/19/2018   4,100,000 4,510,320
American Express Credit Corp., Series C      
7.30% due 08/20/2013   1,855,000 2,057,180
American General Finance Corp.      
6.90% due 12/15/2017   1,375,000 961,649
American Honda Finance Corp.      
7.625% due 10/01/2018 (g)   2,140,000 2,473,876
American International Group, Inc., Series WI    
8.175% until 05/15/2038, then variable      
due 05/15/2068   1,300,000 780,000
AON Corp.      
8.205% due 01/01/2027   3,305,000 3,222,375
Arch Capital Group, Ltd.      
7.35% due 05/01/2034   3,000,000 2,825,385
Aries Vermogensverwaltung GmbH      
9.60% due 10/25/2014   750,000 941,250

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
Assurant, Inc.      
5.625% due 02/15/2014 $ 461,000 $ 474,404
6.75% due 02/15/2034   3,955,000 3,336,588
Astoria Depositor Corp.      
8.144% due 05/01/2021 (g)   3,380,000 2,704,000
AXA Financial, Inc.      
7.75% due 08/01/2010   533,000 555,771
AXA SA      
6.379% until 12/14/2036, then variable      
due 12/14/2049 (b)(g)   1,175,000 934,125
6.463% until 12/14/2018, then variable      
due 12/31/2049 (b)(g)   4,065,000 3,150,375
BAC Capital Trust XIII      
0.699% due 03/15/2043 (b)   1,900,000 1,031,233
BAC Capital Trust XIV      
5.63% until 03/15/2012, then variable      
due 12/31/2049   3,650,000 2,390,750
BAC Capital Trust XV      
1.1606% due 06/01/2056 (b)   4,170,000 2,316,093
Banco Santander Chile      
0.6588% due 12/09/2009 (b)(g)   912,000 910,111
5.375% due 12/09/2014 (g)   295,000 301,453
Bank of America Corp.      
5.65% due 05/01/2018   1,950,000 1,925,410
5.75% due 12/01/2017   8,203,000 8,188,046
7.625% due 06/01/2019   9,370,000 10,558,032
Bank of Ireland      
6.45% due 02/10/2010 EUR 99,000 146,512
Bear Stearns Companies, Inc.      
7.25% due 02/01/2018 $ 1,575,000 1,798,716
Bear Stearns Companies, Inc., MTN      
0.5619% due 11/28/2011 (b)   2,400,000 2,384,458
Beaver Valley Funding Corp.      
9.00% due 06/01/2017   2,888,000 2,951,738
Bosphorus Financial Services, Ltd.      
2.24% due 02/15/2012 (b)(g)   1,334,375 1,175,750
Boston Properties, Ltd.      
6.25% due 01/15/2013 ^   785,000 814,999
Brandywine Operating Partnership LP      
7.50% due 05/15/2015   1,190,000 1,190,545
BRE Properties, Inc.      
5.50% due 03/15/2017   1,506,000 1,389,408
Camden Property Trust      
5.00% due 06/15/2015   804,000 765,171
Capital One Bank USA NA      
8.80% due 07/15/2019   5,020,000 5,802,914
Capital One Financial Corp.      
6.75% due 09/15/2017   1,930,000 2,048,278
7.375% due 05/23/2014   1,995,000 2,226,448
Capmark Financial Group, Inc.      
7.875% due 05/10/2012 ^   4,340,000 1,023,407
Caterpillar Financial Services Corp., MTN      
5.45% due 04/15/2018   3,600,000 3,739,489
5.50% due 03/15/2016   1,500,000 1,580,605
7.15% due 02/15/2019   1,615,000 1,872,691
Catlin Insurance Company, Ltd.      
7.249% until 01/19/2017, then variable      
due 12/31/2049 (g)   4,500,000 2,970,000

The accompanying notes are an integral part of the financial statements.
16



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
Charles Schwab Corp.      
4.95% due 06/01/2014 $ 1,390,000 $ 1,465,642
Chubb Corp.      
5.75% due 05/15/2018   835,000 915,913
Chuo Mitsui Trust & Banking Company      
5.506% due 12/29/2049 (g)   2,585,000 2,171,400
Citigroup, Inc.      
5.50% due 04/11/2013   8,530,000 8,728,971
5.625% due 08/27/2012   981,000 991,901
5.85% due 12/11/2034   1,045,000 896,984
6.125% due 11/21/2017   5,385,000 5,346,497
6.125% due 05/15/2018   5,158,000 5,078,789
6.375% due 08/12/2014   2,490,000 2,574,386
8.50% due 05/22/2019   5,595,000 6,315,832
CME Group, Inc.      
5.75% due 02/15/2014   1,475,000 1,614,312
CNA Financial Corp.      
6.00% due 08/15/2011   1,580,000 1,586,856
6.50% due 08/15/2016   3,210,000 3,026,786
Colonial Properties Trust      
6.25% due 06/15/2014   554,000 528,607
Comerica Capital Trust II      
6.576% until 02/20/2032, then variable      
due 02/20/2037   4,000,000 2,750,000
Credit Suisse First Boston USA, Inc.      
6.50% due 01/15/2012   491,000 532,029
Credit Suisse New York      
5.30% due 08/13/2019   1,455,000 1,491,880
Developers Diversified Realty Corp.      
4.625% due 08/01/2010   1,103,000 1,084,345
Dexus Finance Property, Ltd.      
7.125% due 10/15/2014 (g)   1,685,000 1,682,123
Discover Financial Services      
10.25% due 07/15/2019   2,230,000 2,552,387
Dresdner Bank AG      
7.25% due 09/15/2015   879,000 833,258
Drummond Company, Inc.      
7.375% due 02/15/2016 (g)   1,545,000 1,359,600
Duke Realty LP      
5.95% due 02/15/2017   2,050,000 1,889,631
6.25% due 05/15/2013   1,750,000 1,736,448
8.25% due 08/15/2019   1,855,000 1,936,837
Endurance Specialty Holdings, Ltd.      
7.00% due 07/15/2034   3,600,000 3,112,075
ERP Operating LP      
5.75% due 06/15/2017   3,530,000 3,496,571
ERP Operating LP, REIT      
5.125% due 03/15/2016   2,300,000 2,244,278
Financial Security Assurance Holdings, Ltd.      
6.40% until 12/15/2036, then variable      
due 12/15/2066 (g)   1,845,000 1,107,000
Ford Motor Credit Company LLC      
7.50% due 08/01/2012   340,000 326,457
Foundation Re II, Ltd.      
7.19% due 11/26/2010 (b)(g)   900,000 881,059
General Electric Capital Corp.      
5.45% due 01/15/2013   3,064,000 3,229,055
5.625% due 05/01/2018   1,845,000 1,836,148
5.875% due 01/14/2038   1,510,000 1,384,791

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
General Electric Capital Corp. (continued)      
5.90% due 05/13/2014 $ 2,000,000 $ 2,144,582
General Electric Capital Corp., MTN      
6.00% due 08/07/2019   1,220,000 1,237,618
Genworth Financial, Inc.      
6.15% until 11/15/2016, then variable      
due 11/15/2066   1,460,000 934,400
Goldman Sachs Capital II      
5.793% until 06/01/2012, then variable      
due 12/29/2049 (b)   2,995,000 2,156,400
Goldman Sachs Group, Inc.      
5.125% due 01/15/2015   2,800,000 2,926,078
5.95% due 01/18/2018   2,975,000 3,086,479
6.00% due 05/01/2014   2,225,000 2,419,768
6.75% due 10/01/2037   1,235,000 1,274,558
7.50% due 02/15/2019   4,860,000 5,557,979
Goldman Sachs Group, Inc., MTN      
0.905% due 07/22/2015 (b)   2,135,000 1,986,963
Groupe BPCE      
12.50% until 09/30/2019, then variable      
due 06/29/2049 (g)   1,168,000 1,284,800
Hartford Financial Services Group, Inc.      
4.625% due 07/15/2013   417,000 395,449
6.30% due 03/15/2018   5,210,000 5,076,093
HBOS PLC      
5.375% until 11/01/2013, then variable      
due 11/29/2049 (g)   1,128,000 721,920
HCP, Inc., MTN      
6.30% due 09/15/2016   2,480,000 2,386,368
Health Care Property Investors, Inc.      
6.45% due 06/25/2012   648,000 668,066
Health Care Property Investors, Inc., MTN      
4.875% due 09/15/2010   1,471,000 1,479,185
5.625% due 02/28/2013   2,480,000 2,452,400
Health Care, Inc.      
6.00% due 11/15/2013   755,000 741,173
6.20% due 06/01/2016   3,380,000 3,157,971
Healthcare Realty Trust, Inc.      
8.125% due 05/01/2011   1,145,000 1,198,460
Horace Mann Educators Corp.      
6.85% due 04/15/2016   1,190,000 1,153,941
Hospitality Properties Trust      
6.75% due 02/15/2013   4,128,000 4,080,598
HRPT Properties Trust      
6.65% due 01/15/2018   995,000 910,751
HSBC Bank USA, Inc.      
4.625% due 04/01/2014   2,350,000 2,425,372
HSBC Finance Corp.      
5.00% due 06/30/2015   4,767,000 4,785,267
HSBC Holdings PLC      
6.50% due 09/15/2037   1,000,000 1,081,621
HVB Funding Trust III      
9.00% due 10/22/2031 (g)   500,000 425,000
Independence Community Bank Corp.      
2.4169% due 04/01/2014 (b)   265,000 241,332
International Lease Finance Corp.      
4.55% due 10/15/2009   393,000 391,969
International Lease Finance Corp., Series P      
0.9094% due 01/15/2010 (b)   652,000 636,836

The accompanying notes are an integral part of the financial statements.
17



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
Jefferies Group, Inc.      
6.45% due 06/08/2027 $ 1,090,000 $ 915,201
JPMorgan Chase & Company      
4.65% due 06/01/2014   1,955,000 2,039,038
6.00% due 01/15/2018   2,670,000 2,865,778
6.30% due 04/23/2019   4,425,000 4,830,892
6.75% due 02/01/2011   922,000 979,298
JPMorgan Chase & Company, Series 1      
7.90% until 04/30/2018, then variable      
due 04/29/2049   8,535,000 8,195,051
JPMorgan Chase Capital XX, Series T      
6.55% due 09/15/2066   4,045,000 3,756,802
JPMorgan Chase Capital XXIII      
1.44% due 05/15/2077 (b)   4,175,000 2,759,967
Kazkommerts International BV      
8.50% due 04/16/2013   350,000 295,750
Kimco Realty Corp.      
5.70% due 05/01/2017 ^   4,678,000 4,379,202
Liberty Mutual Group, Inc.      
6.50% due 03/15/2035 (g)   2,837,000 2,291,692
7.30% due 06/15/2014 (g)   2,115,000 2,064,054
7.50% due 08/15/2036 (g)   6,245,000 5,273,615
7.80% due 03/07/2087 (g)   2,485,000 1,888,600
Lincoln National Corp.      
7.00% until 05/17/2016, then variable      
due 05/17/2066   5,355,000 3,828,825
6.05% until 04/20/2017, then variable      
due 04/20/2067   2,265,000 1,528,875
8.75% due 07/01/2019   4,930,000 5,701,875
Lloyds TSB Group PLC      
6.267% until 11/14/2016, then variable      
due 11/29/2049 (g)   1,570,000 894,900
6.413% until 10/01/2035, then variable      
due 09/29/2049 (g)   2,055,000 1,191,900
Mack-Cali Realty Corp.      
7.75% due 08/15/2019   1,185,000 1,221,017
Mack-Cali Realty LP      
5.125% due 01/15/2015   2,000,000 1,838,058
Macquarie Group, Ltd.      
7.30% due 08/01/2014 (g)   980,000 1,046,466
Markel Corp.      
6.80% due 02/15/2013   1,605,000 1,627,834
Massachusetts Mutual Life Insurance Company    
8.875% due 06/01/2039   830,000 1,017,192
MBNA Capital, Series B      
1.2831% due 02/01/2027 (b)   1,157,000 718,018
Mellon Capital IV, Series 1      
6.244% until 06/20/2012, then variable      
due 06/29/2049   1,600,000 1,216,000
Merna Reinsurance, Ltd., Series B      
2.0325% due 06/30/2012 (b)(g)   1,000,000 972,700
Merrill Lynch & Company, Inc.      
1.0331% due 05/02/2017 (b)   4,000,000 3,360,000
7.75% due 05/14/2038   7,025,000 7,916,606
Merrill Lynch & Company, Inc., MTN      
6.15% due 04/25/2013   2,000,000 2,116,198
6.875% due 04/25/2018   4,195,000 4,411,869

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
MetLife, Inc.      
6.40% until 12/15/2036, then      
variable due 12/15/2066 $ 3,020,000 $ 2,551,900
6.75% due 06/01/2016   1,370,000 1,528,931
Metropolitan Life Global Funding I      
5.125% due 04/10/2013 (g)   1,415,000 1,467,112
Mizuho Financial Group (Cayman), Ltd.      
8.375% due 01/29/2049   1,045,000 1,042,387
Morgan Stanley      
0.96% due 10/18/2016 (b)   3,315,000 2,959,993
7.30% due 05/13/2019   1,975,000 2,173,041
Morgan Stanley, MTN      
5.95% due 12/28/2017   1,265,000 1,287,952
6.625% due 04/01/2018   2,370,000 2,506,092
Nationwide Health Properties, Inc.      
6.50% due 07/15/2011   1,535,000 1,582,212
Nationwide Mutual Insurance Company      
5.81% until 12/15/2014, then variable      
due 12/15/2024 (g)   1,130,000 827,287
Nelnet, Inc.      
7.40% until 09/29/2011, then variable      
due 09/15/2061   2,120,000 1,550,078
Northern Trust Company      
6.50% due 08/15/2018   855,000 976,253
Northern Trust Corp.      
4.625% due 05/01/2014   1,535,000 1,633,315
Oil Casualty Insurance, Ltd.      
8.00% due 09/15/2034 (g)   6,150,000 4,162,873
Osiris Capital PLC, Series C      
3.3594% due 01/15/2010 (b)(g)   4,805,000 4,765,162
Osiris Capital PLC, Series D      
5.5094% due 01/15/2010 (b)(g)   1,875,000 1,865,055
Pacific Life Insurance Company      
9.25% due 06/15/2039 (g)   3,380,000 3,875,674
PartnerRe Finance A LLC      
6.875% due 06/01/2018   2,000,000 2,108,460
PNC Financial Services Group, Inc.      
8.25% until 05/21/2013, then variable      
due 05/29/2049   3,000,000 2,857,851
PNC Funding Corp.      
0.6275% due 01/31/2012 (b)   4,000,000 3,857,660
4.25% due 09/21/2015   2,390,000 2,399,393
Progressive Corp.      
6.70% until 06/15/2017, then variable      
due 06/15/2067   1,135,000 975,757
ProLogis      
5.625% due 11/15/2015   1,050,000 954,146
5.625% due 11/15/2016   3,100,000 2,781,531
6.625% due 05/15/2018   2,165,000 1,999,144
Prudential Financial, Inc.      
4.75% due 04/01/2014   1,343,000 1,347,833
6.10% due 06/15/2017   3,900,000 3,917,203
6.20% due 01/15/2015   1,600,000 1,692,741
7.375% due 06/15/2019   4,360,000 4,865,804
Prudential Financial, Inc., MTN      
5.15% due 01/15/2013   2,100,000 2,161,952
5.70% due 12/14/2036   2,420,000 2,168,557
QBE Insurance Group, Ltd.      
9.75% due 03/14/2014   1,619,500 1,838,301

The accompanying notes are an integral part of the financial statements.
18



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
Rabobank Nederland      
11.00% due 06/29/2049 (g) $ 2,792,000 $ 3,420,200
Realty Income Corp.      
5.95% due 09/15/2016   3,030,000 2,905,131
Rouse Company LP      
3.625% due 03/15/2049 ^   2,800,000 2,383,500
Royal Bank of Scotland Group PLC, MTN      
7.64% until 09/29/2017, then variable      
due 03/29/2049   1,400,000 686,000
Schwab Capital Trust I      
7.50% until 11/15/2017, then variable      
due 11/15/2037   1,890,000 1,710,847
Shinhan Bank      
6.819% until 09/20/2016, then variable      
due 09/20/2036   2,670,000 2,261,303
Silicon Valley Bank      
6.05% due 06/01/2017   2,185,000 2,037,921
Simon Property Group LP      
5.625% due 08/15/2014   3,045,000 3,141,919
5.875% due 03/01/2017   2,520,000 2,569,914
Simon Property Group LP, REIT      
5.75% due 12/01/2015   1,500,000 1,534,368
6.10% due 05/01/2016   1,000,000 1,027,749
10.35% due 04/01/2019   1,440,000 1,792,011
Skandinaviska Enskilda Banken AB      
5.471% until 03/23/2015, then variable      
due 03/29/2049 (g)   2,100,000 1,680,000
SLM Corp.      
0.8037% due 01/27/2014 (b)   6,390,000 4,031,898
4.50% due 07/26/2010   1,895,000 1,841,303
SLM Corp., MTN      
8.45% due 06/15/2018   1,460,000 1,164,350
SMFG Preferred Capital      
6.078% until 01/25/2017, then variable      
due 01/29/2049 (g)   2,000,000 1,746,940
Sovereign Capital Trust VI      
7.908% due 06/13/2036   1,650,000 1,499,370
StanCorp Financial Group, Inc.      
6.90% until 06/01/2017, then variable      
due 06/01/2067   4,850,000 3,255,330
Standard Chartered PLC      
6.409% until 01/30/2017, then variable      
due 01/30/2017 (g)   5,000,000 3,850,000
SunTrust Capital VIII      
6.10% until 12/15/2036, then variable      
due 12/01/2066   903,000 628,445
SunTrust Preferred Capital I      
5.853% until 12/15/2011, then variable      
due 12/31/2049   425,000 276,250
Symetra Financial Corp.      
8.30% until 10/15/2017, then variable      
due 10/15/2037 (g)   1,550,000 961,000
6.125% due 04/01/2016 (g)   1,650,000 1,398,911
Teco Finance, Inc.      
6.572% due 11/01/2017   1,257,000 1,297,616
7.00% due 05/01/2012   893,000 953,999
Textron Financial Corp.      
6.00% until 02/15/2017, then variable      
due 02/15/2067 (g)   3,000,000 1,953,750

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
Transatlantic Holdings, Inc.      
5.75% due 12/14/2015 $ 3,055,000 $ 2,753,102
TuranAlem Finance BV      
7.875% due 06/02/2010 ^   638,000 149,930
8.50% due 02/10/2015 ^ (g)   600,000 138,000
UBS AG/Stamford Branch, Series DPNT      
5.875% due 12/20/2017   1,840,000 1,883,558
Unum Group      
7.125% due 09/30/2016   1,330,000 1,345,689
USB Capital IX      
6.189% until 04/15/2011, then variable      
due 10/29/2049   6,605,000 5,069,337
USB Realty Corp.      
6.091% until 01/15/2012, then variable      
due 12/29/2049 (g)   2,600,000 1,807,000
Vita Capital III, Ltd., Series B-I      
1.6969% due 01/01/2011 (b)(g)   4,280,000 4,031,760
W.R. Berkley Corp.      
5.60% due 05/15/2015   875,000 850,050
6.15% due 08/15/2019   699,000 677,376
Wachovia Bank NA      
5.85% due 02/01/2037   1,105,000 1,068,827
Wachovia Bank NA, BKNT      
6.60% due 01/15/2038   855,000 938,521
Waddell & Reed Financial, Inc.      
5.60% due 01/15/2011   1,600,000 1,599,088
Washington Mutual Bank FA      
1.00% due 01/15/2015 ^   1,070,000 2,675
WEA Finance LLC      
5.40% due 10/01/2012 (g)   2,007,000 2,061,779
6.75% due 09/02/2019 (g)   1,060,000 1,072,189
7.125% due 04/15/2018 (g)   2,000,000 2,084,910
Westfield Capital Corp., Ltd.      
4.375% due 11/15/2010 (g)   721,000 731,576
White Mountains Re Group, Ltd.      
7.506% until 06/30/2017, then variable      
due 05/29/2049 (g)   5,530,000 4,062,283
XL Capital, Ltd.      
5.25% due 09/15/2014   2,441,000 2,396,254
XL Capital, Ltd., Series E      
6.50% until 04/15/2017, then variable      
due 12/31/2049   1,715,000 1,234,800
 
      483,722,972
 
Industrial - 2.85%      
BAE Systems Asset Trust      
6.664% due 09/15/2013 (g)   1,497,328 1,486,009
7.156% due 12/15/2011 (g)   586,810 589,842
BE Aerospace, Inc.      
8.50% due 07/01/2018   1,010,000 1,035,250
Bemis Company, Inc.      
5.65% due 08/01/2014   615,000 652,965
BWAY Corp.      
10.00% due 04/15/2014 (g)   1,215,000 1,284,863
Case New Holland, Inc.      
7.75% due 09/01/2013 (g)   600,000 597,000
CMA CGM SA      
7.25% due 02/01/2013 (g)   2,410,000 1,180,900

The accompanying notes are an integral part of the financial statements.
19



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Industrial (continued)      
Commercial Metals Company      
7.35% due 08/15/2018 $ 1,045,000 $ 1,103,283
CRH America, Inc.      
8.125% due 07/15/2018   1,590,000 1,787,699
CSX Corp.      
5.50% due 08/01/2013   1,570,000 1,683,465
7.375% due 02/01/2019   2,540,000 2,989,029
Eaton Corp.      
4.90% due 05/15/2013   1,665,000 1,765,073
GATX Corp.      
8.75% due 05/15/2014   2,280,000 2,565,581
General Electric Company      
5.00% due 02/01/2013   1,735,000 1,830,253
Graphic Packaging International Corp.      
9.50% due 06/15/2017 (g)   465,000 494,063
Grupo Transportacion Ferroviaria Mexicana,      
SA de CV      
9.375% due 05/01/2012   1,580,000 1,603,700
Holcim US Finance Sarl & Cie SCS      
6.00% due 12/30/2019 (g)   650,000 657,909
Ingersoll-Rand Global Holding Company, Ltd.    
6.875% due 08/15/2018   2,015,000 2,161,805
Masco Corp.      
4.80% due 06/15/2015   2,540,000 2,330,905
6.125% due 10/03/2016   2,000,000 1,895,778
Navios Maritime Holdings, Inc.      
9.50% due 12/15/2014   1,700,000 1,606,500
RailAmerica, Inc.      
9.25% due 07/01/2017 (g)   990,000 1,037,025
Republic Services, Inc.      
5.50% due 09/15/2019 (g)   1,015,000 1,045,609
Roper Industries, Inc.      
6.25% due 09/01/2019   750,000 778,548
Solo Cup Company      
10.50% due 11/01/2013 (g)   330,000 349,800
Terex Corp.      
10.875% due 06/01/2016   890,000 970,100
Tyco Electronics Group SA      
6.00% due 10/01/2012   1,465,000 1,549,939
6.55% due 10/01/2017   6,840,000 7,160,242
7.125% due 10/01/2037   3,755,000 3,859,532
Union Pacific Corp.      
5.45% due 01/31/2013   2,400,000 2,578,927
5.70% due 08/15/2018   3,300,000 3,559,601
Voto-Votorantim Overseas Trading Operations NV    
6.625% due 09/25/2019 (g)   800,000 796,086
Waste Management, Inc.      
7.75% due 05/15/2032   625,000 759,340
 
      55,746,621
 
Technology - 0.46%      
Computer Sciences Corp.      
6.50% due 03/15/2018   3,510,000 3,866,395
Fiserv, Inc.      
6.80% due 11/20/2017   1,425,000 1,573,425
Xerox Corp.      
6.75% due 02/01/2017   2,230,000 2,360,279
8.25% due 05/15/2014   1,115,000 1,267,410
 
      9,067,509

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
CORPORATE BONDS (continued)      
Utilities - 4.61%      
AES Eastern Energy LP, Series 99-A      
9.00% due 01/02/2017 $ 2,613,128 $ 2,534,734
AES Gener SA      
7.50% due 03/25/2014   906,000 984,048
Allegheny Energy Supply Company LLC      
5.75% due 10/15/2019 (g)   990,000 989,307
American Electric Power Company, Inc.      
5.25% due 06/01/2015   540,000 564,929
Appalachian Power Company      
5.80% due 10/01/2035   1,961,000 1,935,334
7.00% due 04/01/2038   1,755,000 2,020,023
Aquila, Inc.      
11.875% due 07/01/2012   900,000 1,039,288
Arizona Public Service Company      
5.50% due 09/01/2035   1,118,000 972,578
BVPS II Funding Corp.      
8.89% due 06/01/2017   911,000 1,013,605
CenterPoint Energy Houston Electric LLC, Series K2    
6.95% due 03/15/2033   535,000 602,219
Commonwealth Edison Company      
5.80% due 03/15/2018   2,190,000 2,365,914
Delmarva Power & Light Company      
6.40% due 12/01/2013   925,000 1,023,331
Dominion Resources, Inc.      
7.50% until 06/30/2016, then variable      
due 06/30/2066   1,680,000 1,537,200
6.30% until 09/30/2011, then variable      
due 09/30/2066   3,200,000 2,560,000
5.70% due 09/17/2012   368,000 401,997
DTE Energy Company      
7.625% due 05/15/2014   1,255,000 1,385,280
Duke Energy Corp.      
6.30% due 02/01/2014   1,275,000 1,410,503
Enel Finance International SA      
6.25% due 09/15/2017 (g)   2,335,000 2,515,005
Enersis SA      
7.375% due 01/15/2014   633,000 698,379
Entergy Louisiana LLC      
8.09% due 01/02/2017   1,999,474 2,086,411
FirstEnergy Corp.      
6.45% due 11/15/2011   21,000 22,713
7.375% due 11/15/2031   3,014,000 3,378,474
FirstEnergy Solutions Corp.      
4.80% due 02/15/2015 (g)   1,365,000 1,402,564
Ipalco Enterprises, Inc.      
8.625% due 11/14/2011   1,315,000 1,347,875
Israel Electric Corp., Ltd.      
7.25% due 01/15/2019 (g)   7,280,000 7,759,869
ITC Holdings Corp.      
5.875% due 09/30/2016 (g)   723,000 738,166
Michigan Consolidated Gas Company      
5.70% due 03/15/2033   736,000 745,610
Midwest Generation LLC, Series B      
8.56% due 01/02/2016   2,425,095 2,461,471
Monongahela Power Company      
7.95% due 12/15/2013 (g)   2,690,000 2,979,127
National Grid PLC      
6.30% due 08/01/2016   2,515,000 2,753,638

The accompanying notes are an integral part of the financial statements.
20



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
CORPORATE BONDS (continued)      
Utilities (continued)      
Nevada Power Company      
5.875% due 01/15/2015 $ 1,495,000 $ 1,592,667
6.65% due 04/01/2036   2,330,000 2,539,831
NiSource Finance Corp.      
6.15% due 03/01/2013   977,000 1,023,086
6.40% due 03/15/2018   1,672,000 1,668,883
6.80% due 01/15/2019   1,000,000 1,023,815
Oncor Electric Delivery Company      
6.375% due 05/01/2012   2,705,000 2,937,351
Pacific Gas & Electric Company      
4.20% due 03/01/2011 ^   2,329,000 2,410,820
4.80% due 03/01/2014   598,000 637,769
PG&E Corp.      
5.75% due 04/01/2014   1,390,000 1,517,665
PNPP II Funding Corp.      
9.12% due 05/30/2016   900,000 917,577
PPL Energy Supply LLC      
6.50% due 05/01/2018   2,000,000 2,155,106
PSEG Power LLC      
5.00% due 04/01/2014   736,000 766,886
8.625% due 04/15/2031   736,000 995,486
Sempra Energy      
6.50% due 06/01/2016   1,685,000 1,862,672
8.90% due 11/15/2013   955,000 1,116,110
Southern Power Company, Series D      
4.875% due 07/15/2015   1,115,000 1,154,924
Southern Union Company      
7.20% until 11/01/2011, then variable      
due 11/01/2066   4,880,000 3,843,000
SPI Electricity & Gas Australia Holdings Party, Ltd.    
6.15% due 11/15/2013 (g)   798,000 838,623
Tampa Electric Company      
6.55% due 05/15/2036   2,000,000 2,246,398
Texas Competitive Electric Holdings Company    
LLC, Series A      
10.25% due 11/01/2015   1,920,000 1,382,400
TransAlta Corp.      
6.65% due 05/15/2018   2,157,000 2,176,612
United Energy Distribution Property, Ltd.      
4.70% due 04/15/2011 (g)   344,000 354,697
Veolia Environnement      
6.00% due 06/01/2018   2,400,000 2,582,484
 
      89,974,454

TOTAL CORPORATE BONDS (Cost $1,046,861,239) $ 1,070,853,919

 
MUNICIPAL BONDS - 0.37%      
District of Columbia - 0.25%      
George Washington University, Series B      
5.095% due 09/15/2032   4,650,000 4,968,479
New Jersey - 0.12%      
New Jersey State Turnpike Authority      
7.414% due 01/01/2040   1,885,000 2,332,084

TOTAL MUNICIPAL BONDS (Cost $6,718,957) $ 7,300,563


Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS - 16.62%      
American Home Mortgage Assets, Series 2006-6,    
Class XP      
2.5877% IO due 12/25/2046 $ 16,272,549 $ 650,902
American Home Mortgage Investment Trust,    
Series 2004-4, Class 5A      
4.44% due 02/25/2045   3,080,324 2,491,236
American Home Mortgage Investment Trust,    
Series 2007-1, Class GIOP      
2.0784% IO due 05/25/2047   29,330,642 1,759,839
American Tower Trust, Series 2007-1A, Class C    
5.6151% due 04/15/2037   2,465,000 2,391,050
American Tower Trust, Series 2007-1A, Class D    
5.9568% due 04/15/2037 (g)   2,350,000 2,256,000
Banc of America Alternative Loan Trust, Series    
2006-7, Class A3      
5.9133% due 10/25/2036 ^ (b)   3,300,000 2,072,698
Banc of America Commercial Mortgage, Inc.,    
Series 2005-2, Class A3      
4.611% due 07/10/2043   3,107,397 3,125,795
Banc of America Commercial Mortgage, Inc.,    
Series 2006-3, Class AM      
6.0072% due 07/10/2044 (b)   6,440,000 4,198,872
Banc of America Commercial Mortgage, Inc.,    
Series 2004-4, Class A3      
4.128% due 07/10/2042   850,141 853,207
Banc of America Commercial Mortgage, Inc.,    
Series 2005-2, Class AJ      
4.953% due 07/10/2043 (b)   2,524,154 1,817,275
Banc of America Commercial Mortgage, Inc.,    
Series 2005-6, Class A4      
5.351% due 09/10/2047 (b)   3,075,000 2,991,642
Banc of America Commercial Mortgage, Inc.,    
Series 2006-2, Class A3      
5.9006% due 05/10/2045 (b)   5,245,000 4,934,782
Banc of America Commercial Mortgage, Inc.,    
Series 2006-3, Class A4      
5.889% due 07/10/2044   4,420,000 3,904,972
Banc of America Commercial Mortgage, Inc.,    
Series 2006-4, Class A3A      
5.60% due 07/10/2046   4,215,000 3,912,202
Banc of America Funding Corp., Series 2006-B,    
Class 6A1      
5.8275% due 03/20/2036 (b)   2,083,033 1,423,900
Banc of America Funding Corp., Series 2007-E,    
Class 4A1      
5.7631% due 07/20/2047 (b)   1,647,168 1,115,636
Banc of America Large Loan,      
Series 2005-MIB1, Class B      
0.5034% due 03/15/2022 (b)(g)   4,495,000 3,129,130
Banc of America Large Loan, Series 2006-BIX1,    
Class C      
0.4234% due 10/15/2019 (b)(g)   5,214,117 3,822,093
Bank of America Commercial Mortgage, Inc.,    
Series 2005-5, Class XC      
0.0918% IO due 10/10/2045 (g)   290,768,889 1,130,858
Bank of America Commercial Mortgage, Inc.,    
Series 2001-3, Class A1      
4.89% due 04/11/2037   12,705 12,704
Bear Stearns Alt-A Trust, Series 2005-3, Class B2    
5.1567% due 04/25/2035 (b)   1,019,680 77,767

The accompanying notes are an integral part of the financial statements.
21



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
Bear Stearns Asset Backed Securities, Inc.,      
Series 2003-AC4, Class A      
5.50% due 09/25/2033 $ 416,096 $ 363,715
Bear Stearns Asset Backed Securities, Inc.,      
Series 2004-AC5, Class A1      
5.25% due 10/25/2034   374,633 311,270
Bear Stearns Commercial Mortgage Securities, Inc.    
4.997% due 06/11/2041 (g)   2,690,000 1,000,168
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2004-PWR5, Class X1      
0.3411% IO due 07/11/2042   31,755,786 525,879
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2004-T16, Class X1      
0.3297% IO due 02/13/2046   28,518,309 466,377
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2005-PWR8, Class AJ      
4.75% due 06/11/2041   3,347,708 2,424,190
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2006-BBA7, Class G      
0.6834% due 03/15/2019 (b)(g)   2,300,000 1,126,027
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2006-PW14, Class D      
5.412% due 12/11/2038 (g)   2,245,000 481,936
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2006-T24, Class AY      
0.6033% IO due 10/12/2041   163,625,962 2,185,077
Bear Stearns Mortgage Funding Trust,      
Series 2006-AR4, Class A1      
0.4563% due 12/25/2036 (b)   1,770,390 823,866
Chase Commercial Mortgage Securities Corp.,    
Series 2000-2, Class C      
7.928% due 07/15/2032   1,470,381 1,502,816
Citigroup Commercial Mortgage Trust,      
Series 2006-C4, Class A3      
5.9163% due 03/15/2049 (b)   3,544,000 3,326,123
Citigroup Mortgage Loan Trust, Inc., Series 2005-1,    
Class 2B1      
4.8209% due 04/25/2035 (b)   1,547,181 140,619
Citigroup/Deutsche Bank Commercial Mortgage    
Trust, Series 2005-CD1, Class C      
5.3992% due 09/15/2020 (b)   1,055,000 544,097
Citigroup/Deutsche Bank Commercial      
Mortgage Trust, Series 2005-CD1, Class A4    
5.3992% due 09/15/2020 (b)   2,080,000 2,051,126
Commercial Mortgage Pass Through Certificates,    
Series 2003-LB1A, Class A2      
4.084% due 06/10/2038   2,475,141 2,419,016
Commercial Mortgage Pass Through Certificates,    
Series 2005-C6, Class B      
5.399% due 06/10/2044 (b)   4,250,635 1,055,265
Commercial Mortgage Pass Through Certificates,    
Series 2005-FL11, Class AJ      
0.4434% due 11/15/2017 (b)(g)   2,413,357 1,744,490
Countrywide Alternative Loan Trust, Series      
2007-25, Class 1A2      
6.50% due 11/25/2037   3,471,940 2,148,263
Countrywide Alternative Loan Trust, Series      
2006-OA3, Class X      
2.5546% IO due 05/25/2036   13,033,987 293,265

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
Countrywide Alternative Loan Trust,      
Series 2006-11CB, Class 3A1      
6.50% due 05/25/2036 $ 960,287 $ 594,177
Countrywide Alternative Loan Trust,      
Series 2006-OA12, Class X      
3.4661% IO due 09/20/2046   20,011,817 750,443
Countrywide Home Loan Mortgage Pass Through    
Trust, Series 2004-HYB2, Class 4A      
3.0423% due 07/20/2034 (b)   4,544,433 4,411,482
Countrywide Home Loans,      
Series 2005-12, Class 2A5      
5.50% due 05/25/2035   634,976 453,439
Credit Suisse Mortgage Capital Certificates, Series    
2006-7, Class 3A4      
6.25% due 08/25/2036   3,625,000 2,614,906
Credit Suisse Mortgage Capital Certificates, Series    
2006-TFLA, Class A2      
0.4034% due 04/15/2021 (b)(g)   4,680,000 3,347,144
Credit Suisse Mortgage Capital Certificates,      
Series 2006-C5, Class A2      
5.246% due 12/15/2039   6,500,000 6,446,380
Credit Suisse Mortgage Capital Certificates,      
Series 2006-TFLA, Class B      
0.4734% due 04/15/2021 (b)(g)   4,095,000 2,883,960
Crown Castle Towers LLC, Series 2006-1A, Class F    
6.6496% due 11/15/2036 (g)   5,395,000 5,368,025
Crown Castle Towers LLC, Series 2006-1A, Class G    
6.7954% due 11/15/2036 (g)   2,775,000 2,761,125
Crown Castle Towers LLC, Series 2006-1A, Class E    
6.0652% due 11/15/2036 (g)   1,390,000 1,383,050
CS First Boston Mortgage Securities Corp, Series    
2005-C1, Class A3      
4.813% due 02/15/2038   2,345,000 2,359,004
CS First Boston Mortgage Securities Corp, Series    
2005-C5, Class F      
5.10% due 08/15/2038 (b)   3,000,000 1,194,507
CS First Boston Mortgage Securities Corp.,      
Series 2001-CKN5, Class A4      
5.435% due 09/15/2034   1,554,512 1,601,153
CS First Boston Mortgage Securities Corp.,      
Series 2001-CP4, Class A4      
6.18% due 12/15/2035   1,580,601 1,653,871
CS First Boston Mortgage Securities Corp.,      
Series 2002-CKN2, Class A3      
6.133% due 04/15/2037   980,254 1,035,835
CS First Boston Mortgage Securities Corp.,      
Series 2004-C4, Class A4      
4.283% due 10/15/2039   539,140 538,825
CS First Boston Mortgage Securities Corp.,      
Series 2005-C1, Class AX      
0.2198% IO due 02/15/2038 (g)   53,403,808 485,077
CS First Boston Mortgage Securities Corp.,      
Series 2005-C2, Class B      
5.016% due 04/15/2037   4,091,947 1,633,823
CS First Boston Mortgage Securities Corp.,      
Series 2005-TF2A, Class K      
1.4434% due 09/15/2020 (b)(g)   1,000,000 726,251
DB Master Finance LLC, Series 2006-1, Class-A2    
5.779% due 06/20/2031 (g)   13,160,000 12,412,644

The accompanying notes are an integral part of the financial statements.
22



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
DB Master Finance LLC, Series 2006-1, Class-M1    
8.285% due 06/20/2031 (g) $ 970,000 $ 795,740
DSLA Mortgage Loan Trust, Series 2005-AR5,    
Class X2      
3.0948% IO due 08/19/2045   23,428,265 776,061
Federal Home Loan Mortgage Corp.,      
Series 2005-3019, Class MD      
4.75% due 01/15/2031   984,679 1,016,529
Federal Home Loan Mortgage Corp.,      
Series T-41, Class 3A      
7.50% due 07/25/2032   155,304 170,084
Federal National Mortgage Association,      
Series 2002-W3, Class A5      
7.50% due 11/25/2041   292,166 320,503
First Horizon Alternative Mortgage Securities,    
Series 2006-RE1, Class A1      
5.50% due 05/25/2035   3,062,405 1,978,123
First Horizon Alternative Mortgage Securities,    
Series 2004-AA5, Class B1      
5.2111% due 12/25/2034 (b)   706,985 99,570
First Union National Bank Commercial Mortgage    
Trust, Series 2002-C1, Class A1      
5.585% due 02/12/2034   81,312 81,667
GE Capital Commercial Mortgage Corp.,      
Series 2001-1, Class A1      
6.079% due 05/15/2033   11,721 11,820
GE Capital Commercial Mortgage Corp.,      
Series 2001-3, Class A2      
6.07% due 06/10/2038   1,102,786 1,162,882
GE Capital Commercial Mortgage Corp.,      
Series 2002-2A, Class A3      
5.349% due 08/11/2036   735,191 760,251
GE Capital Commercial Mortgage Corp.,      
Series 2005-C1, Class XC      
0.3859% IO due 06/10/2048 (g)   89,272,925 948,311
GE Capital Commercial Mortgage Corp.,      
Series 2005-C2, Class C      
5.133% due 05/10/2043 (b)   3,096,263 1,648,295
G-Force LLC, Series 2005-RR2, Class A4B      
5.422% due 12/25/2039 (g)   4,260,000 680,893
Global Tower Partners Acquisition Partners LLC,    
Series 2007-1A, Class F      
7.0496% due 05/15/2037 (g)   725,000 638,198
GMAC Commercial Mortgage Securities Inc, Series    
2004-C2, Class A2      
4.76% due 08/10/2038   4,160,244 4,233,186
GMAC Commercial Mortgage Securities, Inc.,    
Series 2003-C2, Class B      
5.6831% due 05/10/2040 (b)   6,983,000 6,805,510
Greenpoint Mortgage Funding Trust, Series      
2005-AR1, Class A3      
0.5263% due 06/25/2045 (b)   538,919 139,123
Greenpoint Mortgage Funding Trust, Series      
2006-AR1, Class A2A      
0.6163% due 02/25/2036 (b)   3,814,437 1,111,293
Greenwich Capital Commercial Funding Corp.,    
Series 2005-GG3, Class XC      
0.5461% IO due 08/10/2042 (g)   184,867,348 2,418,194
Greenwich Capital Commercial Funding Corp.,    
Series 2007-GG9, Class C      
5.554% due 03/10/2039   1,695,000 516,813

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
Greenwich Capital Commercial Funding Corp.,    
Series 2007-GG9, Class F      
5.633% due 03/10/2039 $ 935,000 $ 214,725
Greenwich Capital Commercial Funding Corp.,    
Series 2002-C1, Class A2      
4.112% due 01/11/2017   695,433 707,673
Greenwich Capital Commercial Funding Corp.,    
Series 2007-GG9, Class A4      
5.444% due 03/10/2039   3,990,000 3,535,991
GS Mortgage Securities Corp. II, Series 2005-GG4,    
Class XC      
0.2956% IO due 07/10/2039 (g)   100,284,280 1,610,295
GS Mortgage Securities Corp. II, Series 2006-GG8,    
Class X      
0.8676% IO due 11/10/2039   58,563,730 1,462,600
GS Mortgage Securities Corp. II,      
Series 2007-GG10, Class A4      
5.9994% due 08/10/2045 (b)   3,900,000 3,223,224
GSR Mortgage Loan Trust, Series 2004-9, Class B1    
4.1106% due 08/25/2034 (b)   1,581,285 481,926
Harborview Mortgage Loan Trust, Series 2005-16,    
Class 2A1B      
0.5763% due 01/19/2036 (b)   1,385,284 437,034
Harborview Mortgage Loan Trust, Series 2005-16,    
Class X3      
3.0901% IO due 01/19/2036 (b)   59,010,684 1,549,030
Harborview Mortgage Loan Trust,      
Series 2004-7, Class 2A3      
3.3704% due 11/19/2034 (b)   642,177 402,138
Harborview Mortgage Loan Trust,      
Series 2005-8, Class 1X      
2.8625% IO due 09/19/2035   22,651,768 860,060
Harborview Mortgage Loan Trust,      
Series 2006-SB1, Class A1A      
1.7508% due 12/19/2036 (b)   1,443,628 551,712
Harborview Mortgage Loan Trust,      
Series 2007-3, Class ES      
0.35% due 05/19/2047   58,572,946 219,649
Harborview Mortgage Loan Trust,      
Series 2007-4, Class ES      
0.35% due 07/19/2047   60,371,054 245,257
Harborview Mortgage Loan Trust,      
Series 2007-6, Class ES      
0.3425% due 08/19/2037 (g)   44,468,393 166,756
Hilton Hotels Pool Trust, Series 2000-HLTA, Class B    
0.7563% due 10/03/2015 ^ (b)(g)   430,000 428,925
IndyMac Index Mortgage Loan Trust,      
Series 2004-AR13, Class B1      
5.2962% due 01/25/2035   1,026,417 172,580
IndyMac Index Mortgage Loan Trust,      
Series 2005-AR18, Class 1X      
2.9274% IO due 10/25/2036   40,357,655 1,234,944
IndyMac Index Mortgage Loan Trust,      
Series 2005-AR18, Class 2X      
2.6408% IO due 10/25/2036   65,486,105 1,597,861
IndyMac Index Mortgage Loan Trust,      
Series 2005-AR5, Class B1      
4.4466% due 05/25/2035 (b)   1,668,394 69,310
JPMorgan Chase Commercial Mortgage Securities    
Corp, Series 2005-CB11, Class A3      
5.197% due 08/12/2037   4,138,000 4,114,476

The accompanying notes are an integral part of the financial statements.
23



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
JPMorgan Chase Commercial Mortgage Securities    
Corp, Series 2006-LDP8, Class AM      
5.44% due 05/15/2045 $ 3,200,000 $ 2,390,690
JPMorgan Chase Commercial Mortgage Securities    
Corp, Series 2007-LDPX, Class A2S      
5.305% due 01/15/2049   2,325,000 2,223,060
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2005-LDP2, Class A3      
4.697% due 07/15/2042   7,605,000 7,553,253
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2005-LDP5, Class G      
5.4992% due 12/15/2044 (b)   2,460,000 878,522
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2005-LDP5, Class A4      
5.3442% due 12/15/2044 (b)   7,990,000 7,829,387
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2002-C1, Class A3      
5.376% due 07/12/2037   2,568,266 2,645,023
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2005-LDP3, Class A4B      
4.996% due 08/15/2042 (b)   3,625,000 3,233,654
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2005-LDP4, Class B      
5.129% due 10/15/2042 (b)   1,335,000 741,660
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2006-LDP7, Class A4      
6.0652% due 04/15/2045 (b)   2,675,000 2,487,654
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2006-LDP8, Class A3B      
5.447% due 05/15/2045   4,530,000 4,337,705
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2006-LDP8, Class X      
0.7612% IO due 05/15/2045   89,020,663 2,196,380
JPMorgan Mortgage Trust, Series 2006-A7, Class    
2A5      
5.7741% due 01/25/2037 (b)   3,426,489 918,646
LB-UBS Commercial Mortgage Trust,      
Series 2002-C1, Class A4      
6.462% due 03/15/2031   1,470,381 1,563,204
LB-UBS Commercial Mortgage Trust,      
Series 2005-C1, Class A2      
4.31% due 02/15/2030   1,848,361 1,852,183
LB-UBS Commercial Mortgage Trust,      
Series 2005-C1, Class XCL      
0.2972% IO due 02/15/2040 (g)   45,189,386 786,589
LB-UBS Commercial Mortgage Trust,      
Series 2005-C2, Class E      
5.4558% due 04/15/2040 (b)   2,990,000 917,695
LB-UBS Commercial Mortgage Trust,      
Series 2005-C3, Class G      
5.111% due 07/15/2040 (b)(g)   1,999,528 750,921
LB-UBS Commercial Mortgage Trust,      
Series 2005-C5, Class A2      
4.885% due 09/15/2030   2,881,947 2,888,974
LB-UBS Commercial Mortgage Trust,      
Series 2006-C4, Class A4      
6.0799% due 06/15/2038 (b)   3,165,000 2,996,777
Lehman XS Trust, Series 2007-10H, Class 2A2    
7.50% due 07/25/2037   5,195,869 2,986,148

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
Mastr Adjustable Rate Mortgages Trust,      
Series 2004-13, Class 2A1      
3.7781% due 04/21/2034 (b) $ 1,922,769 $ 1,838,475
Mastr Adjustable Rate Mortgages Trust,      
Series 2004-8, Class 5A1      
3.3511% due 08/25/2034 (b)   3,495,548 2,765,702
Mastr Adjustable Rate Mortgages Trust,      
Series 2005-2, Class 2A1      
3.7049% due 03/25/2035 (b)   6,003,409 3,577,164
Merrill Lynch Floating Trust, Series 2006-1, Class A2    
0.3734% due 06/15/2022 (b)(g)   4,330,000 3,032,918
Merrill Lynch Mortgage Trust, Series 2004-MKB1,    
Class A2      
4.353% due 02/12/2042   3,688,628 3,718,250
Merrill Lynch Mortgage Trust, Series 2008-C1,    
Class X      
0.7079% IO due 02/14/2051 (g)   54,418,677 1,233,318
Merrill Lynch Mortgage Trust,      
Series 2004-KEY2, Class A4      
4.864% due 08/12/2039 (b)   1,588,012 1,512,788
Merrill Lynch Mortgage Trust, Series 2005-CIP1,    
Class XC      
0.1388% IO due 07/12/2038 (g)   273,281,778 1,398,410
Merrill Lynch Mortgage Trust, Series 2005-CIP1,    
Class XP      
0.2764% IO due 07/12/2038   183,127,830 1,065,181
Merrill Lynch Mortgage Trust, Series 2005-CKI1,    
Class A6      
5.4055% due 11/12/2037 (b)   2,855,000 2,831,995
Merrill Lynch Mortgage Trust,      
Series 2005-CKI1, Class A1      
5.077% due 11/12/2037   672,357 681,265
Merrill Lynch Mortgage Trust, Series 2006-C2,    
Class X      
0.5595% IO due 08/12/2043   101,554,678 2,142,357
Merrill Lynch/Countrywide Commercial Mortgage    
Trust, Series 2006-2, Class A4      
6.1043% due 06/12/2046 (b)   4,565,000 4,294,146
MLCC Mortgage Investors, Inc., Series 2005-A,    
Class A1      
0.4763% due 03/25/2030 (b)   114,487 83,574
MLCC Mortgage Investors, Inc., Series 2007-3,    
Class M1      
5.9233% due 09/25/2037 (b)   1,452,627 318,941
MLCC Mortgage Investors, Inc., Series 2007-3,    
Class M2      
5.9233% due 09/25/2037 (b)   546,863 100,671
MLCC Mortgage Investors, Inc., Series 2007-3,    
Class M3      
5.9233% due 09/25/2037 (b)   353,914 72,724
Morgan Stanley Capital I, Series 2005-RR6, Class    
A2FL      
0.4663% due 05/24/2043 (b)   1,701,623 1,272,150
Morgan Stanley Capital I, Series 2007-T27, Class A4    
5.8028% due 06/11/2042 (b)   955,000 901,217
Morgan Stanley Capital I, Series 2004-T13, Class A2    
3.94% due 09/13/2045   512,266 516,851
Morgan Stanley Capital I,      
Series 2005-HQ6, Class A2A      
4.882% due 08/13/2042   5,685,000 5,684,264

The accompanying notes are an integral part of the financial statements.
24



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
Morgan Stanley Capital I, Series 2005-HQ7,    
Class A2      
5.3778% due 11/14/2042 (b) $ 2,185,000 $ 2,245,917
Morgan Stanley Capital I, Series 2005-HQ7,    
Class A4      
5.3779% due 11/14/2042 (b)   2,795,000 2,801,658
Morgan Stanley Capital I, Series 2005-HQ7,    
Class AJ      
5.3778% due 11/14/2042 (b)   10,560,000 7,554,523
Morgan Stanley Capital I, Series 2005-IQ10,    
Class A4A      
5.23% due 09/15/2042 (b)   2,535,000 2,432,372
Morgan Stanley Capital I, Series 2005-IQ9, Class X1    
0.371% IO due 07/15/2056 (g)   36,277,020 917,127
Morgan Stanley Capital I, Series 2005-T17, Class X1    
0.2507% IO due 12/13/2041 (g)   74,131,893 897,559
Morgan Stanley Capital I, Series 2006-IQ12, Class E    
5.538% due 12/15/2043 (b)   2,170,000 413,003
Morgan Stanley Capital I,      
Series 2007-SRR3, Class A      
0.5463% due 12/20/2049 (b)(g)   3,000,000 270,000
Morgan Stanley Capital I,      
Series 2007-SRR3, Class B      
0.6463% due 12/20/2049 (b)(g)   3,000,000 180,000
Multi Security Asset Trust, Series 2005-RR4A,    
Class F      
5.88% due 11/28/2035 (b)(g)   580,000 40,600
Provident Funding Mortgage Loan Trust,      
Series 2005-1, Class B1      
4.4062% due 05/25/2035 (b)   1,726,101 384,468
Residential Accredit Loans, Inc., Series 2005-QO4,    
Class XIO      
3.0955% IO due 12/25/2045 (b)   45,903,643 1,721,387
Residential Accredit Loans, Inc., Series      
2007-QS10, Class A1      
6.50% due 09/25/2037   1,462,427 904,877
Residential Accredit Loans, Inc.,      
Series 2005-QA12, Class NB5      
5.9493% due 12/25/2035 (b)   1,089,569 650,429
Residential Accredit Loans, Inc.,      
Series 2007-QS11, Class A1      
7.00% due 10/25/2037   1,248,575 799,088
Salomon Brothers Mortgage Securities VII,      
Series 2000-C3, Class A2      
6.592% due 12/18/2033   514,706 527,555
Salomon Brothers Mortgage Securities VII,      
Series 2001-C1, Class A3      
6.428% due 12/18/2035   1,890,818 1,960,487
SBA CMBS Trust, Series 2006-1A, Class H      
7.389% due 11/15/2036 (g)   5,370,000 5,262,600
SBA CMBS Trust, Series 2006-1A, Class J      
7.825% due 11/15/2036 (g)   755,000 739,900
Sequoia Mortgage Trust, Series 2005-3, Class A1    
0.4463% due 05/20/2035 (b)   244,613 159,395
Structured Adjustable Rate Mortgage Loan Trust,    
Series 2005-18, Class 6A1      
5.2298% due 09/25/2035 (b)   2,059,925 1,506,798
Structured Asset Securities Corp.,      
Series 1998-RF2, Class A      
8.2923% due 07/15/2027 (b)(g)   291,884 210,801

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
Structured Asset Securities Corp.,      
Series 2003-6A, Class B1      
4.3369% due 03/25/2033 (b) $ 2,089,990 $ 801,441
Timberstar Trust, Series 2006-1A, Class A      
5.668% due 10/15/2036 (g)   4,800,000 4,512,000
Trapeza CDO LLC Series 2007-12A, Class B    
1.1375% due 04/06/2042 (b)(g)   3,000,000 150,000
Wachovia Bank Commercial Mortgage Trust,    
Series 2005-C16, Class D      
5.044% due 10/15/2041 (b)   1,000,000 429,898
Wachovia Bank Commercial Mortgage Trust,    
Series 2005-C16, Class E      
5.153% due 10/15/2041 (b)   2,500,000 1,007,311
Wachovia Bank Commercial Mortgage Trust,    
Series 2005-C22, Class E      
5.5294% due 12/15/2044 (b)   3,640,000 1,045,970
Wachovia Bank Commercial Mortgage Trust,    
Series 2006-C29, Class AJ      
5.368% due 11/15/2048 (b)   6,235,000 3,381,000
Wachovia Bank Commercial Mortgage Trust,    
Series 2005-C17, Class XC      
0.1377% IO due 03/15/2042 (g)   46,211,461 327,376
Wachovia Bank Commercial Mortgage Trust,    
Series 2005-C19, Class AJ      
4.793% due 05/15/2044   1,862,483 1,319,023
WAMU Commercial Mortgage Securities Trust,    
Series 2007-SL3, Class A      
6.1155% due 03/23/2045 (g)   2,406,481 1,983,749
WAMU Mortgage Pass Through Certificates, Series    
2005-AR13, Class X      
2.2187% IO due 10/25/2045   140,462,266 3,511,557
WAMU Mortgage Pass Through Certificates, Series    
2005-AR19, Class A1B3      
0.5963% due 12/25/2045 (b)   996,354 391,390
WAMU Mortgage Pass Through Certificates, Series    
2006-AR4, Class 1A1B      
1.8408% due 05/25/2046 (b)   2,558,145 768,191
WAMU Mortgage Pass Through Certificates,    
Series 2005-AR13, Class B1      
0.8463% due 10/25/2045 (b)   3,812,984 409,900
WAMU Mortgage Pass Through Certificates,    
Series 2005-AR6, Class B1      
0.8463% due 04/25/2045 (b)   4,276,583 416,168
WAMU Mortgage Pass Through Certificates,    
Series 2007-OA6, Class 1XPP      
0.8591% IO due 07/25/2047   78,378,432 759,291
Washington Mutual Alternative Mortgage      
Pass-Through Certificates, Series 2005-AR19,    
Class B1      
0.9463% due 12/25/2045 (b)   2,235,405 271,321
Washington Mutual Mortgage Pass Through    
Certificates, Series 2007-OA4, Class XPPP    
0.8599% IO due 04/25/2047   60,068,222 581,911
Washington Mutual Mortgage Pass-Through,    
Series 2005-1, Class 6A1      
6.50% due 03/25/2035   741,515 621,946

The accompanying notes are an integral part of the financial statements.
25



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
Wells Fargo Mortgage Backed Securities Trust,    
Series 2006-AR15, Class A3      
5.6605% due 10/25/2036 (b) $ 3,664,144 $ 1,109,692

TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS  
(Cost $392,609,346)   $ 324,860,643

 
ASSET BACKED SECURITIES - 2.70%      
Alesco Preferred Funding, Ltd., Series 14A, Class B    
0.9394% due 09/23/2037 (b)(g)   2,410,000 120,500
Amresco Residential Securities Mortgage Loan    
Trust, Series 1998-1, Class A6      
6.51% due 08/25/2027   27,580 23,786
Ansonia CDO, Ltd.      
5.812% due 07/28/2046 (g)   6,050,000 484,000
Anthracite, Ltd., Series 2002-2A, Class B      
5.488% due 12/24/2037 (g)   2,400,000 1,560,000
Anthracite, Ltd., Series 2002-CIBA, Class A    
0.6963% due 05/24/2017 (b)(g)   1,980,302 1,485,226
Arbor Realty Mortgage Securities, Series      
2006-1A, Class C      
1.1038% due 01/26/2042 ^ (b)(g)   1,895,000 227,400
Arbor Realty Mortgage Securities, Series      
2006-1A, Class F      
1.5538% due 01/26/2042 (b)(g)   3,145,000 157,250
Argent Securities, Inc., Series 2004-W1, Class M3    
1.6963% due 03/25/2034 (b)   456,630 98,060
Bank of America Auto Trust, Series 2009-1A, Class    
A4      
3.52% due 06/15/2016   1,000,000 1,028,279
BMW Vehicle Lease Trust, Series 2009-1, Class A4    
3.66% due 08/15/2013   2,690,000 2,764,795
Capital Trust Re CDO, Ltd.      
5.16% due 06/25/2035   3,000,000 750,000
Capital Trust Re CDO, Ltd., Series 2005-1A,    
Class C      
0.9963% due 03/20/2050 (b)(g)   1,250,000 187,500
Capital Trust Re CDO, Ltd., Series 2005-1A, Class E    
2.3463% due 03/20/2050 (b)(g)   834,000 8,340
Capital Trust Re CDO, Ltd., Series 2005-1A, Class B    
0.7163% due 03/20/2050 (b)(g)   1,600,000 144,000
Carrington Mortgage Loan Trust, Series 2006-NC4,    
Class A5      
0.3063% due 10/25/2036 (b)   878,556 680,650
Cedarwoods Credit CDO, Ltd.,      
Series 2007-2A, Class B      
0.6463% due 02/25/2052 (b)(g)   5,000,000 371,400
Centex Home Equity, Series 2004-D, Class AF4    
4.68% due 06/25/2032   780,000 671,962
Centex Home Equity, Series 2005-A, Class M4    
1.0463% due 01/25/2035 (b)   513,870 268,852
Chase Issuance Trust, Series 2008-A1, Class A1    
0.6934% due 01/15/2012 (b)   3,200,000 3,201,902
Contimortgage Home Equity Loan Trust,      
Series 1995-2, Class A5      
8.10% due 08/15/2025   17,990 15,644
Countrywide Asset-Backed Certificates, Series    
2006-3, Class 2A2      
0.4263% due 06/25/2036 (b)   3,598,155 2,841,164

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
ASSET BACKED SECURITIES      
(continued)      
Credit-Based Asset Servicing and Securitization,    
Series 2006-CB2, Class AF2      
5.501% due 12/25/2036 $ 2,420,623 $ 1,866,052
Credit-Based Asset Servicing and Securitization,    
Series 2006-MH1, Class B1      
6.25% due 10/25/2036 (g)   2,560,000 1,742,579
Crest, Ltd., Series 2000-1A, Class C      
7.75% due 08/31/2036 (g)   3,450,000 690,000
Crest, Ltd., Series 2002-IGA, Class A      
0.9519% due 07/28/2017 (b)(g)   4,904,902 3,188,186
Crest, Ltd., Series 2003-1A, Class B1      
1.3219% due 05/28/2038 (b)(g)   2,400,000 672,000
CW Capital Cobalt I, Series 2005-1A, Class A1    
0.6731% due 05/25/2045 (b)(g)   2,396,706 654,550
Dillon Read CMBS CDO, Ltd., Series 2006-1A,    
Class A3      
1.0144% due 12/05/2046 (b)(g)   5,025,000 50
Dominos Pizza Master Issuer LLC, Series 2007-1,    
Class M1      
7.629% due 04/27/2037 (g)   2,940,000 1,881,600
Dominos Pizza Master Issuer LLC,      
Series 2007-1, Class A2      
5.261% due 04/25/2037 (g)   2,995,000 2,455,838
Equity One ABS, Inc., Series 2004-1, Class M2    
5.115% due 04/25/2034   340,223 108,072
Equity One ABS, Inc., Series 2004-1, Class M3    
5.26% due 04/25/2034   347,886 58,998
Equity One ABS, Inc., Series 2004-2, Class AV2    
0.4963% due 07/25/2034 (b)   32,203 21,161
Fremont Home Loan Trust, Series 2004-4, Class M7    
1.9663% due 03/25/2035 (b)   732,531 23,675
GSAA Home Equity Trust, Series 2006-10,      
Class AF3      
5.9846% due 06/25/2036 (b)   7,000,000 3,744,968
Highland Park CDO, Ltd., Series 2006-1A, Class A2    
0.7931% due 11/25/2051 (b)(g)   8,670,000 867,000
JER CDO, Series 2006-2A, Class AFL      
0.5763% due 03/25/2045 (b)(g)   3,514,352 175,718
JER CDO, Series 2006-2A, Class FFL      
1.7463% due 03/25/2045 (b)(g)   2,000,000 20,000
Lehman XS Trust, Series 2005-5N, Class 3A2    
0.6063% due 11/25/2035 (b)   2,774,697 752,212
Lehman XS Trust, Series 2005-7N, Class 1A1B    
0.5463% due 12/25/2035 (b)   3,237,688 863,676
LNR CDO, Ltd., Series 2006-1A, Class BFL    
0.7963% due 05/28/2043 (b)(g)   3,300,000 33,000
Long Beach Mortgage Loan Trust, Series 2002-2,    
Class M2      
2.0463% due 07/25/2032 (b)   884,922 398,215
Long Beach Mortgage Loan Trust,      
Series 2004-1, Class M3      
0.9463% due 02/25/2034 (b)   1,200,000 959,301
New Century Home Equity Loan Trust,      
Series 2004-A, Class AII5      
5.25% due 08/25/2034   728,998 676,833
Newcastle CDO, Ltd., Series 2005-7A, Class 2FL    
0.7463% due 12/24/2050 (b)(g)   4,430,000 221,500
North Street Referenced Linked Notes, Series    
2000-1A, Class C      
2.2413% due 07/30/2010 (b)(g)   2,500,000 25,000

The accompanying notes are an integral part of the financial statements.
26



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
ASSET BACKED SECURITIES      
(continued)      
N-Star Real Estate CDO, Ltd.      
0.5963% due 07/27/2040 (b)(g) $ 2,800,000 $ 1,120,000
N-Star Real Estate CDO, Ltd.,      
Series 2006-7A, Class C      
0.8463% due 06/22/2051 (g)   3,000,000 150,000
N-Star Real Estate CDO, Ltd.,      
Series 2006-8A, Class E      
1.0113% due 02/01/2041 (b)(g)   2,360,000 70,800
Option One Mortgage Loan Trust, Series 2004-1,    
Class M1      
1.1463% due 01/25/2034 (b)   761,275 498,856
Ownit Mortgage Loan, Series 2006-1, Class AF2    
5.29% due 12/25/2036   3,631,213 2,058,128
Ownit Mortgage Loan, Series 2006-2, Class A2B    
5.6329% due 01/25/2037   2,527,670 1,813,199
Prima Capital, Ltd., Series 2006-CR1A, Class A1    
5.417% due 12/25/2048   3,502,580 2,101,548
RAIT Preferred Funding, Ltd., Series 2007-2A,    
Class B      
1.0463% due 06/25/2045 (b)(g)   3,000,000 450,000
Renaissance Home Equity Loan Trust,      
Series 2005-2, Class AF3      
4.499% due 07/25/2035   723,774 688,349
Renaissance Home Equity Loan Trust,      
Series 2005-2, Class AF4      
4.934% due 07/25/2035   1,870,000 981,111
Residential Asset Mortgage Products, Inc.,      
Series 2004-RS9, Class AI4      
4.767% due 10/25/2032   446,346 359,059
Residential Asset Mortgage Products, Inc.,      
Series 2004-RZ3, Class AI4      
4.572% due 05/25/2033 (b)   362,002 261,079
Structured Asset Securities Corp.,      
Series 2004-6XS, Class M1      
4.92% due 03/25/2034   607,663 158,385
Vanderbilt Acquisition Loan Trust,      
Series 2002-1, Class A3      
5.70% due 09/07/2023   29,115 29,070
Wells Fargo Home Equity Trust,      
Series 2004-2, Class AI5      
4.89% due 05/25/2034 (b)   2,451,000 2,237,956
Residential Accredit Loans, Inc.,      
Series 2004-QS16, Class 1A1      
5.50% due 12/25/2034   655,646 554,587

TOTAL ASSET BACKED SECURITIES      
(Cost $131,675,230)   $ 52,723,021

 
SUPRANATIONAL OBLIGATIONS - 0.13%    
Financial - 0.09%      
Corporacion Andina de Fomento      
5.20% due 05/21/2013   736,000 765,767
6.875% due 03/15/2012   1,005,000 1,085,002
 
      1,850,769
 
Government - 0.04%      
Central American Bank for Economic Integration    
6.75% due 04/15/2013 (g)   638,000 686,056

TOTAL SUPRANATIONAL OBLIGATIONS    
(Cost $2,521,617)   $ 2,536,825


Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
PREFERRED STOCKS - 0.44%      
Basic Materials - 0.07%      
Freeport-McMoRan Copper & Gold, Inc.,      
6.75%   14,069 $ 1,449,107
Communications - 0.09%      
Telephone & Data Systems, Inc., 7.60%   80,100 1,842,300
Consumer, Non-cyclical - 0.08%      
Ocean Spray Cranberries, Inc., 6.25% (g)   22,216 1,486,390
Financial - 0.20%      
Bank of America Corp., Series MER, 8.625% 75,000 1,775,250
Vale Capital II, 6.75%   28,736 2,054,222
 
      3,829,472

 
TOTAL PREFERRED STOCKS (Cost $8,430,169) $ 8,607,269

 
TERM LOANS - 0.02%      
Consumer, Cyclical - 0.02%      
East Valley Tourist Development      
7.7531% due 08/06/2012 (b)   725,936 435,561

TOTAL TERM LOANS (Cost $718,821)   $ 435,561

 
WARRANTS - 0.00%      
Basic Materials - 0.00%      
New Gold, Inc.      
(Expiration date 06/28/2017, strike      
price CAD 15.00) *   1 0

TOTAL WARRANTS (Cost $0)   $ 0

 
REPURCHASE AGREEMENTS - 0.84%      
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$16,435,005 on 10/01/2009,      
collateralized by $5,460,000      
Federal Home Loan Bank, 4.645%      
due 10/05/2017 (valued at      
$5,610,150, including interest) and      
$335,000 Federal Home Loan      
Bank, 0.93% due 03/30/2010      
(valued at $337,513, including      
interest) and $200,000 Federal      
Home Loan Mortgage Corp.,      
1.70% due 06/29/2011 (valued at      
$202,500, including interest) and      
$10,325,000 Federal National      
Mortgage Association, 5.65% due      
10/26/2017 (valued at      
$10,621,844, including interest) $ 16,435,000 $ 16,435,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $16,435,000)   $ 16,435,000


The accompanying notes are an integral part of the financial statements.
27



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Active Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
SHORT TERM INVESTMENTS - 0.30%      
Federal Home Loan Bank Discount Notes      
1.00% due 10/14/2009 $ 5,800,000 $ 5,799,791

TOTAL SHORT TERM INVESTMENTS      
(Cost $5,799,791)   $ 5,799,791

Total Investments (Active Bond Trust)      
(Cost $2,042,037,181) - 99.18%   $ 1,938,147,462
Other assets and liabilities, net - 0.82%     16,103,156
 
TOTAL NET ASSETS - 100.00%   $ 1,954,250,618
 
 
 
All Cap Core Trust      
    Shares or  
    Principal  
    Amount Value
 
 
COMMON STOCKS - 89.98%      
Basic Materials - 5.25%      
Ashland, Inc.   37,500 $ 1,620,750
Cabot Corp.   19,400 448,334
Clearwater Paper Corp. *   2,400 99,192
Cliffs Natural Resources, Inc.   33,547 1,085,581
Cytec Industries, Inc.   33,586 1,090,537
Eastman Chemical Company   9,600 513,984
Eli Lilly & Company (a)   173,033 5,715,280
International Paper Company   197,161 4,382,889
Lubrizol Corp. (a)   25,700 1,836,522
Omnova Solutions, Inc. *   13,300 86,184
Rayonier, Inc.   3,800 155,458
Reliance Steel & Aluminum Company   27,400 1,166,144
Spartech Corp.   10,200 109,854
 
      18,310,709
Communications - 10.65%      
Amazon.com, Inc. *   32,167 3,003,111
AT&T, Inc.   345,729 9,338,140
Comcast Corp., Class A   202,393 3,418,418
Earthlink, Inc.   23,000 193,430
Gannett Company, Inc. (a)   34,100 426,591
Global Sources, Ltd. *   5,734 39,393
Google, Inc., Class A *   3,599 1,784,564
Harris Corp.   35,200 1,323,520
McGraw-Hill Companies, Inc.   11,400 286,596
OpenTable, Inc. *   700 19,292
Plantronics, Inc.   1,500 40,215
QUALCOMM, Inc.   31,569 1,419,974
Scripps Networks Interactive, Inc., Class A   16,000 591,200
Sohu.com, Inc. *   11,007 757,062
Symantec Corp. *   129,792 2,137,674
Time Warner Cable, Inc. *   120,435 5,189,544
Time Warner, Inc.   81,521 2,346,174
U.S. Cellular Corp. *   13,839 540,690
USA Mobility, Inc. *   8,500 109,480
VeriSign, Inc. * (a)   55,700 1,319,533
Verizon Communications, Inc.   95,134 2,879,706
 
      37,164,307
Consumer, Cyclical - 6.71%      
Asbury Automotive Group, Inc. *   2,000 25,360

All Cap Core Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Barnes & Noble, Inc. (a) 116,100 $ 2,579,742
Carter's, Inc. * 5,900 157,530
Cato Corp., Class A 800 16,232
CEC Entertainment, Inc. * 15,100 390,486
Genuine Parts Company 9,100 346,346
Ingram Micro, Inc., Class A * 73,769 1,243,008
Kirklands, Inc. * 8,600 122,550
La-Z-Boy, Inc. 10,800 93,420
McDonald's Corp. 102,062 5,824,678
Ross Stores, Inc. 71,100 3,396,447
Sonic Automotive, Inc. (a) 13,000 136,500
Tech Data Corp. * 33,206 1,381,702
The Buckle, Inc. (a) 9,300 317,502
The Dress Barn, Inc. * (a) 22,200 398,046
The Gap, Inc. 42,700 913,780
Wal-Mart Stores, Inc. 116,054 5,697,091
World Fuel Services Corp. (a) 8,200 394,174
 
    23,434,594
Consumer, Non-cyclical - 22.12%    
Abbott Laboratories 80,794 3,996,879
Accelrys, Inc. * 3,500 20,300
AmerisourceBergen Corp. 8,900 199,182
Apollo Group, Inc., Class A * 3,900 287,313
Archer-Daniels-Midland Company 176,022 5,143,363
Centene Corp. * 3,200 60,608
China Sky One Medical, Inc. * (a) 2,600 34,294
Colgate-Palmolive Company 54,401 4,149,708
Coventry Health Care, Inc. * 159,177 3,177,173
Cypress Biosciences, Inc. * 64,900 530,233
Enzon Pharmaceuticals, Inc. * (a) 27,400 226,050
Gentiva Health Services, Inc. * 13,700 342,637
Gilead Sciences, Inc. * 112,511 5,240,762
Herbalife, Ltd. 6,452 211,239
Hill-Rom Holdings, Inc. 8,600 187,308
Johnson & Johnson 56,620 3,447,592
Kimberly-Clark Corp. 94,200 5,555,916
Lincoln Educational Services Corp. * 600 13,728
Lorillard, Inc. 69,117 5,135,393
Magellan Health Services, Inc. * 6,100 189,466
McKesson Corp. 54,400 3,239,520
Mead Johnson Nutrition Company (a) 50,300 2,269,033
Medco Health Solutions, Inc. * 97,600 5,398,256
PDL BioPharma, Inc. 56,000 441,280
Pfizer, Inc. 493,492 8,167,293
Philip Morris International, Inc. 54,080 2,635,859
Pre-Paid Legal Services, Inc. * 500 25,400
Procter & Gamble Company 10,960 634,803
Quidel Corp. * 27,700 449,571
R.R. Donnelley & Sons Company 172,764 3,672,963
SAIC, Inc. * 267,576 4,693,283
Sysco Corp. 191,845 4,767,348
The Kroger Company 44,500 918,480
Tupperware Brands Corp. 7,000 279,440
UnitedHealth Group, Inc. 16,400 410,656
Western Union Company 57,500 1,087,900
 
    77,240,229

The accompanying notes are an integral part of the financial statements.
28



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

All Cap Core Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Energy - 8.66%    
Anadarko Petroleum Corp. 33,500 $ 2,101,455
ConocoPhillips Company 93,534 4,223,995
Dawson Geophysical Company * 2,400 65,712
Devon Energy Corp. 76,000 5,117,080
Encore Aquisition Company * 46,298 1,731,545
Exxon Mobil Corp. 81,000 5,557,410
Helix Energy Solutions Group, Inc. * 106,300 1,592,374
Marathon Oil Corp. 46,900 1,496,110
Mariner Energy, Inc. * 59,400 842,292
Murphy Oil Corp. 58,957 3,394,155
Oil States International, Inc. * 62,677 2,201,843
Petroleum Development Corp. * 4,600 85,836
Rowan Companies, Inc. 61,547 1,419,889
Walter Energy, Inc. 6,900 414,414
 
    30,244,110
Financial - 13.37%    
Aetna, Inc. 50,373 1,401,881
AFLAC, Inc. 12,500 534,250
Allied World Assurance Holdings, Ltd. 37,677 1,805,859
Allstate Corp. 3,400 104,108
Bank of America Corp. 395,455 6,691,099
Bank of New York Mellon Corp. 27,800 805,922
Boston Properties, Inc., REIT 4,445 291,370
Capital One Financial Corp. 81,700 2,919,141
Citigroup, Inc. 586,300 2,837,692
Discover Financial Services 299,500 4,860,885
Equity Residential, REIT 17,826 547,258
First Bancorp 900 16,245
Franklin Resources, Inc. 36,000 3,621,600
Fulton Financial Corp. 12,100 89,056
Goldman Sachs Group, Inc. 28,178 5,194,614
Health Care, Inc., REIT 7,960 331,295
JPMorgan Chase & Company 38,614 1,692,065
Liberty Property Trust, REIT 9,034 293,876
Morgan Stanley 27,000 833,760
PartnerRe, Ltd. 15,200 1,169,488
ProLogis, REIT (a) 14,400 171,648
Prudential Financial, Inc. 20,500 1,023,155
Public Storage, Inc., REIT 11,800 887,832
Regency Centers Corp., REIT 7,471 276,800
Regions Financial Corp. 35,800 222,318
Simon Property Group, Inc., REIT 17,795 1,235,516
Synovus Financial Corp. 113,600 426,000
The Travelers Companies, Inc. 40,585 1,998,000
Vornado Realty Trust, REIT 9,457 609,125
Wells Fargo & Company 124,600 3,511,228
Zions Bancorp 15,800 283,926
 
    46,687,012
Industrial - 12.27%    
Aaon, Inc. 600 12,048
Arrow Electronics, Inc. * 144,844 4,077,359
Avnet, Inc. * 177,744 4,616,012
Brinks Company 10,296 277,065
Brink's Home Security Holdings, Inc. * 11,127 342,600
Carlisle Companies, Inc. 26,500 898,615

All Cap Core Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS (continued)      
Industrial (continued)      
Fluor Corp.   36,318 $ 1,846,770
Garmin, Ltd. (a)   127,900 4,826,946
KBR, Inc.   31,500 733,635
Lockheed Martin Corp.   70,623 5,514,244
Marten Transport, Ltd. *   3,600 61,416
Multi-Fineline Electronix, Inc. *   9,000 258,390
Northrop Grumman Corp.   102,991 5,329,784
Raytheon Company   29,300 1,405,521
Ryder Systems, Inc.   36,882 1,440,611
Shaw Group, Inc. *   89,700 2,878,473
Smith & Wesson Holding Corp. * (a)   27,900 145,917
Timken Company   106,237 2,489,133
Trinity Industries, Inc. (a)   65,191 1,120,633
United Parcel Service, Inc., Class B (a)   73,200 4,133,604
United Technologies Corp.   6,990 425,901
 
      42,834,677
Technology - 7.87%      
Apple, Inc. *   38,926 7,215,713
Computer Sciences Corp. *   66,739 3,517,813
International Business Machines Corp.   77,455 9,264,392
Microsoft Corp.   134,307 3,477,208
NCR Corp. *   55,400 765,628
Synaptics, Inc. * (a)   7,400 186,480
Tessera Technologies, Inc. *   5,400 150,606
Texas Instruments, Inc.   68,086 1,612,957
Volterra Semiconductor Corp. * (a)   29,300 538,241
Western Digital Corp. *   20,575 751,605
 
      27,480,643
Utilities - 3.08%      
Dominion Resources, Inc.   12,555 433,147
DTE Energy Company   6,247 219,520
Edison International   103,936 3,490,171
Exelon Corp.   60,200 2,987,124
FirstEnergy Corp.   10,300 470,916
Mirant Corp. *   7,649 125,673
NRG Energy, Inc. *   106,700 3,007,873
 
      10,734,424

TOTAL COMMON STOCKS (Cost $278,007,304) $ 314,130,705

 
SECURITIES LENDING COLLATERAL - 4.88%    
Securities Lending Collateral - 4.88%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   1,702,762 17,044,650

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $17,045,466)   $ 17,044,650

 
SHORT TERM INVESTMENTS - 3.13%    
U.S. Treasury Bills      
0.01% due 03/18/2010 $ 10,950,000 $ 10,942,236

TOTAL SHORT TERM INVESTMENTS      
(Cost $10,940,290)   $ 10,942,236


The accompanying notes are an integral part of the financial statements.
29



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

All Cap Core Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
REPURCHASE AGREEMENTS - 6.89%      
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$24,035,007 on 10/01/2009,      
collateralized by $23,490,000      
Federal National Mortgage      
Association, 5.80% due      
02/09/2026 (valued at      
$24,517,688, including interest) $ 24,035,000 $ 24,035,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $24,035,000)   $ 24,035,000

Total Investments (All Cap Core Trust)      
(Cost $330,028,060) - 104.88%   $ 366,152,591
Other assets and liabilities, net - (4.88)%     (17,022,260)
 
TOTAL NET ASSETS - 100.00%   $ 349,130,331
 
 
 
All Cap Growth Trust      
    Shares or  
    Principal  
    Amount Value
 
 
COMMON STOCKS - 96.34%      
Basic Materials - 3.05%      
BHP Billiton, Ltd.   13,610 $ 449,749
Biogen Idec, Inc. *   6,640 335,453
Freeport-McMoRan Copper & Gold, Inc.,      
Class B   12,287 843,011
Monsanto Company   9,264 717,034
Rio Tinto PLC   12,421 533,000
United States Steel Corp. (a)   7,671 340,362
 
      3,218,609
Communications - 12.27%      
Amazon.com, Inc. *   6,477 604,693
Amdocs, Ltd. *   20,041 538,702
Check Point Software Technologies, Ltd. *   42,837 1,214,429
Cisco Systems, Inc. *   67,697 1,593,587
Corning, Inc.   46,694 714,885
Google, Inc., Class A *   4,824 2,391,980
KDDI Corp.   390 2,193,757
McAfee, Inc. *   14,606 639,597
Priceline.com, Inc. *   3,980 659,964
QUALCOMM, Inc.   46,188 2,077,536
VeriSign, Inc. *   13,285 314,722
 
      12,943,852
Consumer, Cyclical - 15.12%      
Aeropostale, Inc. *   5,449 236,868
Autoliv, Inc.   6,237 209,563
AutoZone, Inc. *   2,497 365,111
Bed Bath & Beyond, Inc. * (a)   10,938 410,613
Best Buy Company, Inc.   14,048 527,081
BorgWarner, Inc. (a)   6,386 193,240
Carnival Corp.   24,089 801,682
Costco Wholesale Corp.   20,875 1,178,603
Dollar Tree, Inc. *   21,298 1,036,787
Home Depot, Inc. (a)   38,449 1,024,281
J.C. Penney Company, Inc.   25,642 865,418

All Cap Growth Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Johnson Controls, Inc. 28,973 $ 740,550
Kohl's Corp. * 26,484 1,510,912
Lowe's Companies, Inc. 56,809 1,189,580
McDonald's Corp. 23,014 1,313,409
NIKE, Inc., Class B 9,470 612,709
The Gap, Inc. 80,580 1,724,412
Toyota Motor Corp. 16,700 657,244
Wal-Mart Stores, Inc. 20,510 1,006,836
Yum! Brands, Inc. 10,421 351,813
 
    15,956,712
Consumer, Non-cyclical - 20.82%    
Abbott Laboratories 42,439 2,099,457
Alliance Data Systems Corp. * 8,566 523,211
Amgen, Inc. * 13,002 783,111
Apollo Group, Inc., Class A * 20,345 1,498,816
Baxter International, Inc. 51,183 2,917,943
Clorox Company 8,832 519,498
Colgate-Palmolive Company 13,460 1,026,729
Express Scripts, Inc. * 7,702 597,521
General Mills, Inc. 13,138 845,824
Gilead Sciences, Inc. * 45,156 2,103,367
Johnson & Johnson 17,540 1,068,011
Kellogg Company 15,625 769,219
Laboratory Corp. of America Holdings * 5,177 340,129
McKesson Corp. 6,654 396,246
Medco Health Solutions, Inc. * 6,869 379,924
Medtronic, Inc. 40,479 1,489,627
Morningstar, Inc. * 2,309 112,125
PepsiCo, Inc. 29,993 1,759,389
Robert Half International, Inc. 12,857 321,682
Shire, Ltd. 27,733 481,709
UnitedHealth Group, Inc. 29,463 737,754
Varian Medical Systems, Inc. * (a) 10,286 433,349
Visa, Inc. 10,951 756,824
 
    21,961,465
Energy - 6.44%    
Apache Corp. 5,851 537,297
Baker Hughes, Inc. (a) 9,317 397,463
Cameron International Corp. * 16,398 620,172
Devon Energy Corp. 13,732 924,576
EQT Corp. 9,469 403,379
Exxon Mobil Corp. 15,678 1,075,668
Occidental Petroleum Corp. 15,355 1,203,832
Schlumberger, Ltd. 6,376 380,010
Transocean, Ltd. * 5,788 495,048
Weatherford International, Ltd. * 17,743 367,812
XTO Energy, Inc. 9,349 386,301
 
    6,791,558
Financial - 7.01%    
ACE, Ltd. 17,784 950,733
American Express Company 10,952 371,273
Charles Schwab Corp. 41,208 789,133
Chubb Corp. 12,972 653,918
CME Group, Inc. (a) 2,680 825,949
IntercontinentalExchange, Inc. * 7,019 682,177

The accompanying notes are an integral part of the financial statements.
30



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

All Cap Growth Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
JPMorgan Chase & Company 13,728 $ 601,561
MasterCard, Inc., Class A 10,597 2,142,183
T. Rowe Price Group, Inc. 8,300 379,310
 
    7,396,237
Industrial - 13.75%    
Cooper Industries PLC 13,092 491,866
Expeditors International of Washington, Inc. 14,724 517,549
Flextronics International, Ltd. * 68,935 514,255
Fluor Corp. 11,773 598,657
General Dynamics Corp. 7,428 479,849
Gentex Corp. 10,969 155,211
Goodrich Corp. 8,612 467,976
Honeywell International, Inc. 30,702 1,140,579
Ingersoll-Rand PLC 26,716 819,380
Lockheed Martin Corp. 13,371 1,044,008
McDermott International, Inc. * 13,671 345,466
Norfolk Southern Corp. 9,024 389,025
Raytheon Company 29,378 1,409,263
Rockwell Collins, Inc. 13,425 681,990
Thermo Fisher Scientific, Inc. * 14,931 652,037
Tyco Electronics, Ltd. 26,484 590,064
Union Pacific Corp. 8,430 491,890
United Technologies Corp. 35,423 2,158,323
Valmont Industries, Inc. 2,831 241,145
W.W. Grainger, Inc. 5,995 535,713
Waste Management, Inc. 26,425 787,993
 
    14,512,239
Technology - 17.88%    
Accenture PLC * 10,961 408,516
Adobe Systems, Inc. * 12,443 411,117
Altera Corp. 43,361 889,334
Apple, Inc. * 11,485 2,128,974
Applied Materials, Inc. 26,452 354,457
ASML Holding NV 35,608 1,050,042
Cognizant Technology Solutions Corp.,    
Class A * 36,745 1,420,562
Dell, Inc. * 22,850 348,691
Hewlett-Packard Company 17,856 842,982
Intel Corp. 66,883 1,308,900
International Business Machines Corp. 17,309 2,070,330
KLA-Tencor Corp. 11,633 417,159
Microsoft Corp. 63,330 1,639,614
Netlogic Microsystems, Inc. * 2,570 115,650
NVIDIA Corp. * 26,905 404,382
PMC-Sierra, Inc. * 11,626 111,145
QLogic Corp. * 14,648 251,946
Research In Motion, Ltd. * 34,236 2,312,642
STEC, Inc. * (a) 5,357 157,442
Taiwan Semiconductor    
Manufacturing Company, Ltd., SADR 76,472 838,135
Texas Instruments, Inc. 22,805 540,250
Xilinx, Inc. 35,869 840,052
 
    18,862,322

 
TOTAL COMMON STOCKS (Cost $92,658,832) $ 101,642,994


All Cap Growth Trust (continued)  
    Shares or  
    Principal  
    Amount Value

 
SECURITIES LENDING COLLATERAL - 2.89%    
Securities Lending Collateral - 2.89%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   304,798 $ 3,051,024

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $3,051,224)   $ 3,051,024

 
REPURCHASE AGREEMENTS - 2.67%    
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$2,814,001 on 10/01/2009,      
collateralized by $2,900,000      
Federal National Mortgage      
Association, 5.00% due      
05/20/2024 (valued at $2,871,000,      
including interest) $ 2,814,000 $ 2,814,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $2,814,000)   $ 2,814,000

Total Investments (All Cap Growth Trust)    
(Cost $98,524,056) - 101.90%   $ 107,508,018
Other assets and liabilities, net - (1.90)%     (2,009,408)
 
TOTAL NET ASSETS - 100.00%   $ 105,498,610
 
 
 
All Cap Value Trust      
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS - 97.15%      
Basic Materials - 4.79%      
Barrick Gold Corp.   48,705 $ 1,845,920
Celanese Corp., Series A   21,400 535,000
Nucor Corp.   9,500 446,595
Reliance Steel & Aluminum Company   23,191 987,009
United States Steel Corp. (a)   9,000 399,330
 
      4,213,854
Communications - 1.94%      
McAfee, Inc. *   23,373 1,023,504
Omnicom Group, Inc.   18,500 683,390
 
      1,706,894
Consumer, Cyclical - 13.22%      
American Eagle Outfitters, Inc.   37,200 627,192
Autoliv, Inc.   12,518 420,605
BorgWarner, Inc. (a)   5,700 172,482
Children's Place Retail Stores, Inc. *   7,100 212,716
Costco Wholesale Corp.   3,060 172,768
Ford Motor Company *   153,500 1,106,735
Guess?, Inc.   11,400 422,256
Honda Motor Company, Ltd., SADR   38,100 1,154,811
International Game Technology   36,700 788,316
Lowe's Companies, Inc.   45,100 944,394
Marriott International, Inc., Class A   42,421 1,170,395
NIKE, Inc., Class B   4,000 258,800
Nordstrom, Inc. (a)   10,600 323,724
PACCAR, Inc.   5,523 208,272

The accompanying notes are an integral part of the financial statements.
31



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

All Cap Value Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Southwest Airlines Company 31,097 $ 298,531
Starwood Hotels & Resorts Worldwide, Inc. (a) 27,500 908,325
Target Corp. 8,088 377,548
TJX Companies, Inc. 10,546 391,784
WABCO Holdings, Inc. 30,800 646,800
Wynn Resorts, Ltd. * (a) 14,200 1,006,638
 
    11,613,092
Consumer, Non-cyclical - 20.20%    
Abbott Laboratories 37,590 1,859,577
AmerisourceBergen Corp. 59,784 1,337,966
Amgen, Inc. * 44,700 2,692,281
DaVita, Inc. * 39,886 2,259,143
Diageo PLC, SADR 11,400 700,986
Fortune Brands, Inc. 8,700 373,926
Fossil, Inc. * 22,000 625,900
Humana, Inc. * 26,134 974,798
J.M. Smucker Company 11,900 630,819
Johnson & Johnson 6,500 395,785
McKesson Corp. (a) 28,900 1,720,995
Onyx Pharmaceuticals, Inc. * 17,872 535,624
Patterson Companies, Inc. * 36,400 991,900
Varian Medical Systems, Inc. * (a) 21,000 884,730
Warner Chilcott PLC * 44,200 955,604
Watson Pharmaceuticals, Inc. * 22,013 806,557
 
    17,746,591
Energy - 11.85%    
Apache Corp. 5,052 463,925
Cameron International Corp. * 11,400 431,148
El Paso Corp. 111,300 1,148,616
EnCana Corp. 24,216 1,395,084
EQT Corp. 15,200 647,520
Halliburton Company 39,142 1,061,531
Helmerich & Payne, Inc. 6,100 241,133
Noble Energy, Inc. 9,200 606,832
Schlumberger, Ltd. 13,100 780,760
Smith International, Inc. 22,200 637,140
Southwestern Energy Company * 7,400 315,832
Superior Energy Services, Inc. * 22,500 506,700
Williams Companies, Inc. 73,000 1,304,510
XTO Energy, Inc. 21,000 867,720
 
    10,408,451
Financial - 21.37%    
ACE, Ltd. 9,900 529,254
Aon Corp. 24,800 1,009,112
Bank of America Corp. 65,700 1,111,644
Bank of New York Mellon Corp. 26,723 774,700
Berkshire Hathaway, Inc., Class B * 256 850,688
Capital One Financial Corp. 31,863 1,138,465
Charles Schwab Corp. 35,100 672,165
City National Corp. (a) 13,200 513,876
Commerce Bancshares, Inc. 18,810 700,484
Cullen Frost Bankers, Inc. 20,706 1,069,258
JPMorgan Chase & Company 43,200 1,893,024
KeyCorp 54,300 352,950
Lazard, Ltd., Class A 35,600 1,470,636

All Cap Value Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
M&T Bank Corp. (a) 3,500 $ 218,120
Markel Corp. * 1,500 494,730
MasterCard, Inc., Class A 3,067 619,994
MetLife, Inc. 27,326 1,040,301
Morgan Stanley 28,300 873,904
Northern Trust Corp. 5,300 308,248
PNC Financial Services Group, Inc. 6,900 335,271
Raymond James Financial, Inc. (a) 20,062 467,043
State Street Corp. 25,300 1,330,780
SunTrust Banks, Inc. 16,000 360,800
Wells Fargo & Company 22,700 639,686
 
    18,775,133
Industrial - 16.14%    
AptarGroup, Inc. 7,203 269,104
Bristow Group, Inc. * 4,300 127,667
Canadian National Railway Company 15,000 734,850
Curtiss-Wright Corp. 7,000 238,910
Eaton Corp. 23,010 1,302,136
GATX Corp. 16,900 472,355
General Dynamics Corp. 15,497 1,001,106
Heartland Express, Inc. (a) 18,493 266,299
Hexcel Corp. * 18,500 211,640
Honeywell International, Inc. 18,500 687,275
ITT Corp. 31,600 1,647,940
Jacobs Engineering Group, Inc. * 13,300 611,135
Kansas City Southern * (a) 52,900 1,401,321
Kennametal, Inc. 21,500 529,115
Kirby Corp. * 6,200 228,284
Parker-Hannifin Corp. 17,379 900,927
Quanex Building Products Corp. 18,039 259,040
Robbins & Myers, Inc. 12,400 291,152
Roper Industries, Inc. 6,755 344,370
SPX Corp. 11,500 704,605
Thermo Fisher Scientific, Inc. * 24,100 1,052,447
United Technologies Corp. 14,766 899,693
 
    14,181,371
Technology - 7.64%    
Accenture PLC * 19,693 733,958
Activision Blizzard, Inc. * 42,400 525,336
Adobe Systems, Inc. * 45,971 1,518,882
Autodesk, Inc. * 8,600 204,680
EMC Corp. * 66,772 1,137,795
Intuit, Inc. * 13,200 376,200
Micron Technology, Inc. * 77,300 633,860
Microsoft Corp. 47,700 1,234,953
Xilinx, Inc. 14,799 346,592
 
    6,712,256

 
TOTAL COMMON STOCKS (Cost $78,163,107) $ 85,357,642


The accompanying notes are an integral part of the financial statements.
32



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

All Cap Value Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
SECURITIES LENDING COLLATERAL - 7.66%    
Securities Lending Collateral - 7.66%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   671,989 $ 6,726,607

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $6,726,953)   $ 6,726,607

 
REPURCHASE AGREEMENTS - 2.63%      
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$2,311,001 on 10/01/2009,      
collateralized by $2,115,000      
Federal Home Loan Bank, 5.50%      
due 07/15/2036 (valued at      
$2,360,869, including interest) $ 2,311,000 $ 2,311,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $2,311,000)   $ 2,311,000

Total Investments (All Cap Value Trust)      
(Cost $87,201,060) - 107.44%   $ 94,395,249
Other assets and liabilities, net - (7.44)%     (6,533,774)
 
TOTAL NET ASSETS - 100.00%   $ 87,861,475
 
 
 
Alpha Opportunities Trust      
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS - 96.62%      
Basic Materials - 8.19%      
Agnico Eagle Mines, Ltd.   26,370 $ 1,789,204
Anglo American PLC *   23,063 734,167
AngloGold Ashanti, Ltd., SADR (a)   49,850 2,031,886
Aracruz Celulose SA, SADR * (a)   9,590 213,473
ArcelorMittal (a)   35,124 1,304,505
Barrick Gold Corp.   19,060 722,374
BHP Billiton, Ltd., SADR (a)   23,000 1,518,230
Cameco Corp.   66,260 1,842,028
Cliffs Natural Resources, Inc.   65,471 2,118,642
Compania de Minas Buenaventura SA, ADR   16,370 576,388
Dow Chemical Company   80,900 2,109,063
Eldorado Gold Corp. *   36,100 410,009
Eli Lilly & Company (a)   77,720 2,567,092
Fortescue Metals Group, Ltd. *   182,689 612,178
Freeport-McMoRan Copper & Gold, Inc.,      
Class B   31,000 2,126,910
Fresnillo PLC   12,119 149,443
Gerdau SA, SADR (a)   108,000 1,451,520
Goldcorp, Inc.   32,540 1,313,640
IAMGOLD Corp.   36,030 509,464
Mechel Steel Group, ADR   33,100 595,138
Newmont Mining Corp.   23,860 1,050,317
Nucor Corp.   15,600 733,356
Osisko Mining Corp. *   43,000 319,694
Paladin Resources, Ltd. * (a)   98,310 387,176
Potash Corp. of Saskatchewan, Inc.   12,800 1,156,352
PPG Industries, Inc. (a)   26,193 1,524,695

Alpha Opportunities Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Basic Materials (continued)    
Randgold Resources, Ltd., ADR (a) 20,250 $ 1,415,070
Royal Gold, Inc. 10,880 496,128
Sino-Forest Corp. * 18,420 290,928
Teck Cominco, Ltd., Class B * 85,630 2,360,819
The Mosaic Company 88,690 4,263,328
The Sherwin-Williams Company 24,681 1,484,809
Thyssen Krupp AG 14,226 489,985
United States Steel Corp. (a) 59,480 2,639,128
Vale SA 21,270 491,975
Vedanta Resources PLC 23,674 721,801
Xstrata PLC * 202,110 2,976,502
Yamana Gold, Inc. 75,000 803,250
 
    48,300,667
Communications - 10.10%    
Alibaba.com, Ltd. * 341,400 787,517
Amazon.com, Inc. * 21,440 2,001,638
AsiaInfo Holdings, Inc. * 26,490 529,005
AT&T, Inc. 157,391 4,251,131
Baidu, Inc., SADR * (a) 1,600 625,680
Check Point Software Technologies, Ltd. * 17,390 493,006
Cisco Systems, Inc. * 368,000 8,662,720
Comcast Corp., Class A 287,500 4,623,000
Corning, Inc. 14,760 225,976
Ctrip.com International, Ltd., ADR * 24,290 1,428,009
eBay, Inc. * 61,900 1,461,459
Equinix, Inc. * 42,100 3,873,200
Google, Inc., Class A * 10,290 5,102,296
Harris Stratex Networks, Inc., Class A * 178,200 1,247,400
Koninklijke KPN NV 60,009 995,860
Leap Wireless International, Inc. * 18,100 353,855
McAfee, Inc. * 38,100 1,668,399
MetroPCS Communications, Inc. * (a) 99,684 933,042
Monster Worldwide, Inc. * (a) 19,008 332,260
Motorola, Inc. 73,090 627,843
Netease.com, Inc., ADR * (a) 11,470 523,950
QUALCOMM, Inc. 120,100 5,402,098
RF Micro Devices, Inc. * 178,400 968,712
Shanda Interactive Entertainment, Ltd. * (a) 12,440 636,928
Softbank Corp. 37,000 807,789
Sohu.com, Inc. * 4,030 277,183
Starent Networks Corp. * (a) 39,400 1,001,548
Tellabs, Inc. * 55,000 380,600
Tencent Holdings, Ltd. 86,240 1,386,750
Virgin Media, Inc. 308,800 4,298,496
Vitacost.com, Inc. * 7,700 84,084
Vocus, Inc. * 57,200 1,194,908
Yahoo!, Inc. * 81,900 1,458,639
ZTE Corp., Class H 170,100 892,376
 
    59,537,357
Consumer, Cyclical - 12.81%    
Advance Auto Parts, Inc. 66,500 2,612,120
Aeropostale, Inc. * 76,100 3,308,067
AirAsia BHD * 142,850 57,537
Anta Sports Products, Ltd. 675,050 833,059
Astra International Tbk PT 86,600 298,242

The accompanying notes are an integral part of the financial statements.
33



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Alpha Opportunities Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Belle International Holdings, Ltd., GDR 461,970 $ 468,838
Best Buy Company, Inc. 84,000 3,151,680
China Dongxiang Group Company 773,340 511,758
China Hongxing Sports, Ltd. 3,454,480 507,442
Coach, Inc. 64,300 2,116,756
Delta Air Lines, Inc. * 830,902 7,444,882
Dongfeng Motor Group Company, Ltd. 330,830 346,249
DreamWorks Animation SKG, Inc., Class A * 39,200 1,394,344
Ford Motor Company * 435,270 3,138,296
GameStop Corp., Class A * 19,100 505,577
Geely Automobile Holdings Company, Ltd. 1,008,700 272,910
Golden Eagle Retail Group, Ltd. 178,610 298,059
Hanesbrands, Inc. * 258,400 5,529,760
Home Depot, Inc. (a) 63,506 1,691,800
Huabao International Holdings, Ltd. 197,810 211,969
HUGHES Telematics, Inc. * 21,300 59,853
Iconix Brand Group, Inc. * 58,500 729,495
International Game Technology 28,100 603,588
J.C. Penney Company, Inc. 16,000 540,000
Kinross Gold Corp. 28,500 618,450
Kohl's Corp. * 53,900 3,074,995
Lennar Corp., Class A 79,940 1,139,145
Life Time Fitness, Inc. * (a) 62,460 1,752,003
McDonald's Corp. 16,500 941,655
Modine Manufacturing Company 235,400 2,182,158
Nordstrom, Inc. 16,200 494,748
PACCAR, Inc. 31,442 1,185,678
Pool Corp. (a) 87,513 1,944,539
Pulte Homes, Inc. * 71,000 780,290
Staples, Inc. 289,676 6,726,277
Starbucks Corp. * 26,300 543,095
Tempur-Pedic International, Inc. * 70,500 1,335,270
The Cheesecake Factory, Inc. * 26,000 481,520
The Gap, Inc. 151,700 3,246,380
TiVo, Inc. * 34,090 353,172
Toll Brothers, Inc. * 115,300 2,252,962
TRW Automotive Holdings Corp. * 65,500 1,097,125
Urban Outfitters, Inc. * 109,300 3,297,581
Wal-Mart Stores, Inc. 20,300 996,527
Warnaco Group, Inc. * 90,300 3,960,558
XTEP International Holdings 984,960 471,080
 
    75,507,489
Consumer, Non-cyclical - 16.60%    
Abbott Laboratories 13,300 657,951
Alliance Data Systems Corp. * (a) 8,500 519,180
Altria Group, Inc. 39,266 699,327
Amylin Pharmaceuticals, Inc. * (a) 25,920 354,845
Apollo Group, Inc., Class A * (a) 48,281 3,556,861
ATS Medical, Inc. * 311,500 834,820
Blue Nile, Inc. * (a) 14,100 875,892
Bristol-Myers Squibb Company 37,170 837,068
Cardinal Health, Inc. 147,906 3,963,881
Cenveo, Inc. * 73,250 506,890
China Medical Technologies, Inc., SADR (a) 19,207 311,538
Coinstar, Inc. * (a) 21,690 715,336
Corinthian Colleges, Inc. * 194,400 3,608,064

Alpha Opportunities Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Corrections Corp. of America * 79,300 $ 1,796,145
Cott Corp. * 38,590 283,636
Covidien PLC 97,056 4,198,643
Edwards Lifesciences Corp. * 16,200 1,132,542
Elan Corp. PLC, SADR * 384,043 2,730,546
General Mills, Inc. 15,168 976,516
Genzyme Corp. * 20,534 1,164,894
Great American Group, Inc. * 392,600 1,707,810
Hengan International Group Company, Ltd. 69,520 420,285
Herbalife, Ltd. 112,600 3,686,524
Hologic, Inc. * 101,100 1,651,974
ICON PLC, SADR * 42,800 1,048,172
Impax Laboratories, Inc. * 127,700 1,116,098
Inverness Medical Innovations, Inc. * 16,300 631,299
Jarden Corp. 138,800 3,896,116
Johnson & Johnson 27,630 1,682,391
K12, Inc. * (a) 8,900 146,672
Medifast, Inc. * 45,200 981,744
Medtronic, Inc. 91,605 3,371,064
Merck & Company, Inc. (a) 260,704 8,246,068
Moody's Corp. 16,300 333,498
Nestle SA, SADR 22,520 961,379
Nestle SA 10,180 434,276
Novavax, Inc. * (a) 544,170 2,154,913
Orthovita, Inc. * (a) 78,190 343,254
PepsiCo, Inc. 50,777 2,978,579
Pfizer, Inc. 501,423 8,298,551
PHH Corp. * (a) 52,730 1,046,163
Procter & Gamble Company 91,823 5,318,388
Safeway, Inc. 476 9,387
Shandong Weigao Group Medical Polymer    
Company, Ltd. 82,310 270,705
Shutterfly, Inc. * 75,900 1,262,217
St. Jude Medical, Inc. * 28,800 1,123,488
Teva Pharmaceutical Industries, Ltd., SADR 72,650 3,673,184
Tingyi Cayman Islands Holding Corp. 154,000 318,084
UCB SA 25,450 1,079,381
UnitedHealth Group, Inc. 155,101 3,883,729
VistaPrint NV * (a) 25,800 1,309,350
Volcano Corp. * 58,100 977,242
Watson Pharmaceuticals, Inc. * 21,110 773,470
Weight Watchers International, Inc. 789 21,650
Western Union Company 69,990 1,324,211
Wyeth 29,100 1,413,678
Zhejiang Expressway Company, Ltd., Class H 291,500 254,244
 
    97,873,813
Diversified - 0.35%    
Beijing Enterprises Holdings, Ltd. 190,180 996,902
China Resources Enterprises, Ltd. 151,500 437,990
Shanghai Industrial Holdings, Ltd. 45,790 206,502
Wharf Holdings, Ltd. 79,700 420,478
 
    2,061,872
Energy - 11.27%    
Alpha Natural Resources, Inc. * 25,800 905,580
Anadarko Petroleum Corp. 55,311 3,469,659

The accompanying notes are an integral part of the financial statements.
34



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Alpha Opportunities Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Energy (continued)    
Apache Corp. 31,700 $ 2,911,011
Baker Hughes, Inc. 61,000 2,602,260
BG Group PLC 203,776 3,546,388
BP PLC, SADR 35,624 1,896,266
Bumi Resources Tbk PT 3,207,650 1,069,333
Cabot Oil & Gas Corp. 14,100 504,075
Cameron International Corp. * 16,400 620,248
Chesapeake Energy Corp. 2,780 78,952
Complete Production Services, Inc. * 171,000 1,932,300
CONSOL Energy, Inc. 109,108 4,921,862
Diamond Offshore Drilling, Inc. 8,000 764,160
Falcon Oil & Gas, Ltd. * 250,990 113,697
First Solar, Inc. * (a) 9,081 1,388,122
Gazprom OAO, SADR 61,190 1,430,154
Halliburton Company 10,510 285,031
Hess Corp. 23,699 1,266,949
Karoon Gas Australia, Ltd. * 132,111 905,019
Lundin Petroleum AB, Series A * 26,701 216,818
Marathon Oil Corp. 39,883 1,272,268
Massey Energy Company 38,700 1,079,343
Nabors Industries, Ltd. * 69,485 1,452,236
Newfield Exploration Company * 34,800 1,481,088
Noble Corp. 28,200 1,070,472
Noble Energy, Inc. 52,200 3,443,112
Occidental Petroleum Corp. 30,901 2,422,638
Petroleo Brasileiro SA, ADR 53,300 2,446,470
SandRidge Energy, Inc. * (a) 20,000 259,200
Suncor Energy, Inc. 66,815 2,309,126
SunPower Corp., Class A * (a) 45,600 1,362,984
Sunpower Corp., Class B * 110,711 2,793,239
Total SA, SADR (a) 65,347 3,872,463
Trina Solar, Ltd., SADR * 36,600 1,177,422
Valero Energy Corp. 32,580 631,726
Walter Energy, Inc. 16,920 1,016,215
Weatherford International, Ltd. * 139,500 2,891,835
Whiting Petroleum Corp. * 14,100 811,878
XTO Energy, Inc. 61,851 2,555,683
Yingli Green Energy Holding Company, Ltd. * (a) 102,200 1,273,412
 
    66,450,694
Financial - 13.67%    
ACE, Ltd. 115,030 6,149,504
Ameriprise Financial, Inc. 92,300 3,353,259
Assured Guaranty, Ltd. (a) 33,700 654,454
Bank Mandiri Tbk PT 621,720 302,176
Bank of America Corp. 482,879 8,170,313
Bank of China, Ltd. 2,961,000 1,548,954
BR Malls Participacoes SA * 43,300 510,821
Chimera Investment Corp., REIT 782,601 2,989,536
China Construction Bank Corp. 786,000 625,454
China Everbright, Ltd. 152,390 344,053
China Life Insurance Company, Ltd. 78,910 345,058
China Merchants Bank Company, Ltd. 335,500 741,523
China Overseas Land & Investment, Ltd. 724,630 1,554,191
China Resources Land, Ltd. 229,680 499,115
Chubb Corp. 64,342 3,243,480
Deutsche Boerse AG 9,258 756,641

Alpha Opportunities Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
E-House China Holdings, Ltd. * (a) 15,010 $ 320,614
Fidelity National Financial, Inc., Class A 54,470 821,408
Goldman Sachs Group, Inc. 31,740 5,851,269
Hartford Financial Services Group, Inc. 112,322 2,976,533
Hong Kong Exchanges & Clearing, Ltd. 33,990 610,525
Huntington Bancshares, Inc. (a) 340,092 1,601,833
Itau Unibanco Holding SA 63,360 1,276,704
JPMorgan Chase & Company 76,003 3,330,451
Julius Baer Holding AG 9,500 475,638
Lincoln National Corp. 15,200 393,832
Lloyds TSB Group PLC * 559,133 928,480
Marsh & McLennan Companies, Inc. 158,958 3,931,031
MasterCard, Inc., Class A 6,720 1,358,448
PDG Realty SA Empreendimentos e    
Participacoes 51,980 431,308
PennantPark Investment Corp. 141,180 1,144,970
PNC Financial Services Group, Inc. 26,364 1,281,027
Popular, Inc. 260,500 737,215
REXLot Holdings, Ltd. * 3,395,300 301,841
Singapore Exchange, Ltd. 213,000 1,265,402
Sino-Ocean Land Holdings, Ltd. 536,620 480,956
Sun Hung Kai Properties, Ltd. 35,880 526,807
SunTrust Banks, Inc. 73,590 1,659,455
UBS AG - Swiss Exchange * 172,220 3,156,509
UBS AG * 168,782 3,090,398
Unum Group 126,000 2,701,440
Wells Fargo & Company 289,923 8,170,030
 
    80,612,656
Industrial - 11.56%    
3M Company 16,452 1,214,158
ABB, Ltd., SADR * 51,701 1,036,088
Anhui Conch Cement Company, Ltd., Class H 60,000 396,792
BE Aerospace, Inc. * 189,530 3,817,134
Brink's Home Security Holdings, Inc. * 45,300 1,394,787
BYD Company, Ltd., Class H * 57,360 467,894
Caterpillar, Inc. (a) 49,023 2,516,351
China National Building Material Company,    
Ltd. 132,930 309,211
China Railway Group, Ltd. * 1,563,000 1,334,544
China Resources Cement Holdings, Ltd. * 180,000 90,580
Con-way, Inc. 26,300 1,007,816
Deere & Company 61,830 2,653,744
FedEx Corp. 53,600 4,031,792
Flowserve Corp. 15,250 1,502,735
Fluor Corp. 47,120 2,396,052
General Electric Company 53,700 881,754
Hansen Transmissions International NV * 23,715 48,607
Heidelbergcement AG 23,808 1,544,518
Honeywell International, Inc. 92,330 3,430,060
Illinois Tool Works, Inc. 30,369 1,297,060
Ingersoll-Rand PLC 212,391 6,514,032
J.B. Hunt Transport Services, Inc. 28,400 912,492
Jabil Circuit, Inc. 64,100 859,581
Manitowoc Company, Inc. 61,800 585,246
Martin Marietta Materials, Inc. (a) 17,000 1,565,190
MTR Corp., Ltd. 126,500 436,324

The accompanying notes are an integral part of the financial statements.
35



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Alpha Opportunities Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Mueller Water Products, Inc. 133,200 $ 729,936
Overseas Shipholding Group, Inc. (a) 22,200 829,614
Owens Corning, Inc. * 27,700 621,865
Owens-Illinois, Inc. * 59,200 2,184,480
Pentair, Inc. 85,243 2,516,373
Precision Castparts Corp. (a) 21,000 2,139,270
Regal-Beloit Corp. (a) 34,000 1,554,140
Rexam PLC 402,113 1,677,473
Stanley Works 51,762 2,209,720
Terex Corp. * 134,760 2,793,575
Textron, Inc. 17,100 324,558
Thermo Fisher Scientific, Inc. * 19,500 851,565
Trex Company, Inc. * 69,500 1,264,900
Tsakos Energy Navigation, Ltd. 18,108 283,390
United Parcel Service, Inc., Class B (a) 61,718 3,485,215
Vestas Wind Systems AS * 19,210 1,395,460
Waste Management, Inc. 36,365 1,084,404
 
    68,190,480
Technology - 11.81%    
Accenture PLC * 81,739 3,046,413
Adobe Systems, Inc. * 84,000 2,775,360
American Reprographics Company * 42,300 402,696
Apple, Inc. * 53,060 9,835,732
ASML Holding NV (a) 17,030 503,577
Automatic Data Processing, Inc. 102,138 4,014,024
BMC Software, Inc. * 63,000 2,364,390
Concur Technologies, Inc. * 18,900 751,464
EMC Corp. * 109,900 1,872,696
Hewlett-Packard Company 136,019 6,421,457
High Tech Computer Corp. 29,300 321,804
Intel Corp. 60,200 1,178,114
Longtop Financial Technologies, Ltd. * 2,100 59,766
Maxim Integrated Products, Inc. 15,900 288,426
MEMC Electronic Materials, Inc. * 91,000 1,513,330
Microsoft Corp. 142,417 3,687,176
NVIDIA Corp. * 105,700 1,588,671
ON Semiconductor Corp. * 361,200 2,979,900
Oracle Corp. 175,900 3,665,756
Red Hat, Inc. * 103,100 2,849,684
Research In Motion, Ltd. * 14,800 999,740
Riverbed Technology, Inc. * (a) 39,600 869,616
Seagate Technology 164,300 2,499,003
Skyworks Solutions, Inc. * 69,300 917,532
SXC Health Solutions Corp. * 92,300 4,318,717
Take-Two Interactive Software, Inc. * 75,400 845,234
Teradyne, Inc. * 180,300 1,667,775
Texas Instruments, Inc. 156,938 3,717,861
Triquint Semiconductor, Inc. * 145,650 1,124,418
VMware, Inc., Class A * 14,700 590,499
Xerox Corp. 256,072 1,981,997
 
    69,652,828
Utilities - 0.26%    
Cia Energetica de Minas Gerais, ADR (a) 50,000 760,000

Alpha Opportunities Trust (continued)  
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS (continued)      
Utilities (continued)      
Northeast Utilities   33,500 $ 795,290
 
      1,555,290

 
TOTAL COMMON STOCKS (Cost $472,057,718) $ 569,743,146

 
INVESTMENT COMPANIES - 1.34%      
Investment Companies - 1.34%      
iShares Russell 1000 Index Fund   67,700 3,931,339
Midcap SPDR Trust, Series 1 * (a)   24,500 3,069,360
SPDR Trust Series 1 * (a)   8,400 886,704
 
      7,887,403

 
TOTAL INVESTMENT COMPANIES (Cost $5,966,381) $ 7,887,403

 
WARRANTS - 0.21%      
Consumer, Non-cyclical - 0.13%      
Educomp Solutions, Ltd.      
(Expiration Date 08/10/2017, Strike      
Price USD 0.00) *   7,610 742,325
Utilities - 0.08%      
Lanco Infratech, Ltd.      
(Expiration Date 10/24/2012, Strike      
Price USD 0.00001) *   16,655 165,984
(Expiration Date 01/25/2013, Strike      
Price USD 0.0001) *   31,445 312,424
 
      478,408

 
TOTAL WARRANTS (Cost $998,692)   $ 1,220,733

 
SECURITIES LENDING COLLATERAL - 9.53%    
Securities Lending Collateral - 9.53%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   5,611,797 56,174,090

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $56,178,047)   $ 56,174,090

 
REPURCHASE AGREEMENTS - 1.98%    
Bank of New York Tri-Party      
Repurchase Agreement dated      
09/30/2009 at 0.08% to be      
repurchased at $11,700,026 on      
10/01/2009, collateralized by      
$19,268,445 Federal National      
Mortgage Association, 7.00% due      
08/01/2037 (valued at      
$11,934,000, including interest) $ 11,700,000 $ 11,700,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $11,700,000)   $ 11,700,000

Total Investments (Alpha Opportunities Trust)    
(Cost $546,900,838) - 109.68%   $ 646,725,372
Other assets and liabilities, net - (9.68)%     (57,076,297)
 
TOTAL NET ASSETS - 100.00%   $ 589,649,075
 

The accompanying notes are an integral part of the financial statements.
36



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

American Asset Allocation Trust    
    Shares or    
    Principal    
    Amount   Value
 
 
INVESTMENT COMPANIES - 100.00%      
American Funds Insurance Series - 100.00%      
American Asset Allocation Fund - Class 1   116,632,937  $ 1,665,518,341

TOTAL INVESTMENT COMPANIES (Cost $1,732,352,758) $ 1,665,518,341

 
REPURCHASE AGREEMENTS - 0.01%      
Repurchase Agreement with State        
Street Corp. dated 09/30/2009 at        
0.01% to be repurchased at        
$211,000 on 10/01/2009,        
collateralized by $215,000 Federal        
Home Loan Bank, 0.93% due        
03/30/2010 (valued at $216,613,        
including interest) $ 211,000  $ 211,000

TOTAL REPURCHASE AGREEMENTS        
(Cost $211,000)     $ 211,000

Total Investments (American Asset Allocation Trust)    
(Cost $1,732,563,758) - 100.01%     $ 1,665,729,341
Other assets and liabilities, net - (0.01)%       (137,723)
 
TOTAL NET ASSETS - 100.00%     $ 1,665,591,618
 
 
 
 
American Blue Chip Income & Growth Trust
    Shares or    
    Principal    
    Amount   Value
 
 
INVESTMENT COMPANIES - 100.01%      
American Funds Insurance Series - 100.01%      
American Blue Chip Income & Growth Fund -      
Class 1   23,968,514  $ 189,111,574

TOTAL INVESTMENT COMPANIES (Cost $204,464,966) $ 189,111,574

Total Investments (American Blue Chip Income & Growth $ 189,111,574
Trust) (Cost $204,464,966) - 100.01%        
Other assets and liabilities, net - (0.01)%       (21,148)
 
TOTAL NET ASSETS - 100.00%     $ 189,090,426
 
 
 
 
American Bond Trust        
    Shares or    
    Principal    
    Amount   Value
 
 
INVESTMENT COMPANIES - 100.01%      
American Funds Insurance Series - 100.01%      
American Bond Trust - Class 1   86,320,157  $ 905,498,444

TOTAL INVESTMENT COMPANIES (Cost $950,365,996) $ 905,498,444

 
Total Investments (American Bond Trust)      
(Cost $950,365,996) - 100.01%     $ 905,498,444
Other assets and liabilities, net - (0.01)%       (66,488)
 
TOTAL NET ASSETS - 100.00%     $ 905,431,956
 

American Diversified Growth & Income Trust
  Shares or    
  Principal    
  Amount   Value
 
 
INVESTMENT COMPANIES - 102.01%      
American Funds Insurance Series - 102.01%      
American Asset Allocation Fund - Class 1 5,261  $ 75,121
American Blue Chip Income & Growth Fund -      
Class 1 14,250   112,436
American Bond Trust - Class 1 16,135   169,260
American Global Growth Fund - Class 1 4,201   79,742
American Global Small Capitalization Fund -      
Class 1 1,228   21,237
American Growth Trust - Class 1 5,611   250,231
American Growth-Income Fund - Class 1 4,393   131,176
American High-Income Bond Fund - Class 1 3,612   38,182
American International Fund - Class 1 3,671   62,009
American New World Trust - Class 1 1,057   20,199
 
      959,593

TOTAL INVESTMENT COMPANIES (Cost $1,038,319) $ 959,593

Total Investments (American Diversified Growth & Income $ 959,593
Trust) (Cost $1,038,319) - 102.01%      
Other assets and liabilities, net - (2.01)%     (18,924)
 
TOTAL NET ASSETS - 100.00%   $ 940,669
 
 
 
American Fundamental Holdings Trust    
  Shares or    
  Principal    
  Amount   Value
 
 
INVESTMENT COMPANIES - 100.00%      
American Funds Insurance Series - 100.00%      
American Bond Trust - Class 1 41,302,294 $ 433,261,066
American Growth Trust - Class 1 6,106,421   272,346,358
American Growth-Income Fund - Class 1 8,851,157   264,295,545
American International Fund - Class 1 9,005,054   152,095,360
 
      1,121,998,329

TOTAL INVESTMENT COMPANIES (Cost $1,111,365,345) $ 1,121,998,329

Total Investments (American Fundamental Holdings Trust)    
(Cost $1,111,365,345) - 100.00%   $ 1,121,998,329
Other assets and liabilities, net - 0.00%     (18,090)
 
TOTAL NET ASSETS - 100.00%   $ 1,121,980,239
 
 
 
American Global Diversification Trust    
  Shares or    
  Principal    
  Amount   Value
 
 
INVESTMENT COMPANIES - 100.00%      
American Funds Insurance Series - 100.00%      
American Bond Trust - Class 1 20,902,862  $ 219,271,024
American Global Growth Fund - Class 1 18,518,354   351,478,351
American Global Small Capitalization Fund -      
Class 1 7,508,422   129,895,701
American High-Income Bond Fund - Class 1 6,044,641   63,891,855

The accompanying notes are an integral part of the financial statements.
37



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

American Global Diversification Trust (continued)
  Shares or    
  Principal    
  Amount   Value
 
 
INVESTMENT COMPANIES (continued)      
American Funds Insurance Series      
(continued)      
American New World Trust - Class 1 4,409,387 $ 84,263,387
 
      848,800,318

TOTAL INVESTMENT COMPANIES (Cost $883,454,167) $ 848,800,318

Total Investments (American Global Diversification Trust)    
(Cost $883,454,167) - 100.00%   $ 848,800,318
Other assets and liabilities, net - 0.00%     (26,012)
 
TOTAL NET ASSETS - 100.00%   $ 848,774,306
 
 
 
American Global Growth Trust      
  Shares or    
  Principal    
  Amount   Value
 
 
INVESTMENT COMPANIES - 100.01%      
American Funds Insurance Series - 100.01%      
American Global Growth Fund - Class 1 10,233,894  $ 194,239,316

TOTAL INVESTMENT COMPANIES (Cost $236,355,032) $ 194,239,316

Total Investments (American Global Growth Trust)    
(Cost $236,355,032) - 100.01%   $ 194,239,316
Other assets and liabilities, net - (0.01)%     (23,029)
 
 
TOTAL NET ASSETS - 100.00%   $ 194,216,287
 
 
 
American Global Small Capitalization Trust  
  Shares or    
  Principal    
  Amount   Value
 
 
INVESTMENT COMPANIES - 100.01%      
American Funds Insurance Series - 100.01%      
American Global Small Capitalization Fund -      
Class 1 5,915,778  $ 102,342,960

TOTAL INVESTMENT COMPANIES (Cost $106,289,758) $ 102,342,960

Total Investments (American Global Small Capitalization $ 102,342,960
Trust) (Cost $106,289,758) - 100.01%      
Other assets and liabilities, net - (0.01)%     (15,251)
 
 
TOTAL NET ASSETS - 100.00%   $ 102,327,709
 

American Growth Trust        
    Shares or    
    Principal    
    Amount   Value

 
INVESTMENT COMPANIES - 100.01%      
American Funds Insurance Series - 100.01%      
American Growth Trust - Class 1   28,719,605  $ 1,280,894,398

TOTAL INVESTMENT COMPANIES (Cost $1,563,831,016) $ 1,280,894,398

Total Investments (American Growth Trust)      
(Cost $1,563,831,016) - 100.01%     $ 1,280,894,398
Other assets and liabilities, net - (0.01)%       (64,340)
 
TOTAL NET ASSETS - 100.00%     $ 1,280,830,058
 
 
 
 
American Growth-Income Trust      
    Shares or    
    Principal    
    Amount   Value

 
INVESTMENT COMPANIES - 100.00%      
American Funds Insurance Series - 100.00%      
American Growth-Income Fund - Class 1   41,623,807  $ 1,242,886,862

TOTAL INVESTMENT COMPANIES (Cost $1,432,597,533) $ 1,242,886,862

 
REPURCHASE AGREEMENTS - 0.01%      
Repurchase Agreement with State        
Street Corp. dated 09/30/2009 at        
0.01% to be repurchased at        
$190,000 on 10/01/2009,        
collateralized by $195,000 U.S.        
Treasury Bill, zero coupon due        
02/18/2010 (valued at $194,903,        
including interest) $ 190,000  $ 190,000

TOTAL REPURCHASE AGREEMENTS        
(Cost $190,000)     $ 190,000

Total Investments (American Growth-Income Trust)    
(Cost $1,432,787,533) - 100.01%     $ 1,243,076,862
Other assets and liabilities, net - (0.01)%       (154,234)
 
TOTAL NET ASSETS - 100.00%     $ 1,242,922,628
 
 
 
 
American High-Income Bond Trust    
    Shares or    
    Principal    
    Amount   Value

 
INVESTMENT COMPANIES - 100.02%      
American Funds Insurance Series - 100.02%      
American High-Income Bond Fund - Class 1 5,933,981  $ 62,722,181

TOTAL INVESTMENT COMPANIES (Cost $62,507,772) $ 62,722,181

Total Investments (American High-Income Bond Trust)    
(Cost $62,507,772) - 100.02%     $ 62,722,181
Other assets and liabilities, net - (0.02)%       (14,855)
 
TOTAL NET ASSETS - 100.00%     $ 62,707,326
 

The accompanying notes are an integral part of the financial statements.
38



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

American International Trust      
  Shares or  
  Principal  
  Amount Value
 
 
INVESTMENT COMPANIES - 100.01%      
American Funds Insurance Series - 100.01%      
American International Fund - Class 1 50,824,593 $ 858,427,375

TOTAL INVESTMENT COMPANIES (Cost $974,181,104) $ 858,427,375

Total Investments (American International Trust)      
(Cost $974,181,104) - 100.01%   $ 858,427,375
Other assets and liabilities, net - (0.01)%     (68,518)
 
TOTAL NET ASSETS - 100.00%   $ 858,358,857
 
 
 
American New World Trust      
  Shares or  
  Principal  
  Amount Value

 
INVESTMENT COMPANIES - 100.02%      
American Funds Insurance Series - 100.02%      
American New World Trust - Class 1 3,812,061 $ 72,848,488

TOTAL INVESTMENT COMPANIES (Cost $79,223,815) $ 72,848,488

Total Investments (American New World Trust)      
(Cost $79,223,815) - 100.02%   $ 72,848,488
Other assets and liabilities, net - (0.02)%     (15,783)
 
TOTAL NET ASSETS - 100.00%   $ 72,832,705
 
 
 
Balanced Trust      
  Shares or  
  Principal  
  Amount Value

 
COMMON STOCKS - 60.45%      
Basic Materials - 2.94%      
Air Water, Inc.   1,000 $ 11,487
Alcoa, Inc.   2,050 26,896
Asahi Kasei Corp.   2,000 10,105
BASF SE   602 31,873
BHP Billiton PLC   550 15,115
BHP Billiton, Ltd.   1,219 40,282
E.I. Du Pont de Nemours & Company   1,750 56,245
Eli Lilly & Company   1,570 51,857
Freeport-McMoRan Copper & Gold, Inc.,      
Class B   200 13,722
Hitachi Chemical, Ltd.   700 14,200
International Flavors & Fragrances, Inc.   1,400 53,102
International Paper Company   3,800 84,474
Kobe Steel Company, Ltd.   7,000 12,162
MeadWestvaco Corp.   1,750 39,043
Monsanto Company   540 41,796
Nucor Corp.   1,440 67,694
Praxair, Inc.   960 78,422
Rio Tinto, Ltd.   789 41,043
SSAB Svenskt Stal AB, Series A   1,452 22,457
Syngenta AG   76 17,448
Tosoh Corp.   2,000 5,030
Umicore   565 16,946
Wacker Chemie AG   163 25,413

Balanced Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Basic Materials (continued)    
Weyerhaeuser Company 600 $ 21,990
 
    798,802
Communications - 8.39%    
Aegis Group PLC 3,936 7,065
Alcatel-Lucent * 4,424 19,823
Amazon.com, Inc. * 2,550 238,068
America Movil SAB de CV, Series L, ADR 700 30,681
American Tower Corp., Class A * 2,700 98,280
AT&T, Inc. 4,630 125,056
Cablevision Systems Corp., Class A 1,900 45,125
CBS Corp., Class B 900 10,845
Cisco Systems, Inc. * 3,900 91,806
Corning, Inc. 230 3,521
Discovery Communications, Inc., Series A * 2,700 78,003
Discovery Communications, Inc., Series C * 300 7,809
eBay, Inc. * 1,850 43,678
Expedia, Inc. * 1,500 35,925
France Telecom SA 1,140 30,493
Google, Inc., Class A * 520 257,842
Hutchison Telecommunications Hong Kong    
Holdings, Ltd. 38,000 6,359
Informa PLC 1,131 5,701
Juniper Networks, Inc. * 3,600 97,272
Jupiter Telecommunications Company, Ltd. 30 29,029
KDDI Corp. 5 28,125
McAfee, Inc. * 1,600 70,064
McGraw-Hill Companies, Inc. 3,950 99,303
Nokia AB Oyj 968 14,236
Priceline.com, Inc. * 280 46,430
QUALCOMM, Inc. 2,900 130,442
Qwest Communications International, Inc. (a) 10,050 38,290
Sanoma WSOY Oyj 972 21,488
Singapore Telecommunications, Ltd. 5,000 11,480
Sprint Nextel Corp. * 5,000 19,750
Tandberg ASA 800 19,186
Telefonica SA 2,442 67,405
Television Broadcasting Company, Ltd. 2,000 8,664
Telstra Corp., Ltd. 5,030 14,489
Tencent Holdings, Ltd. 3,700 59,496
The New York Times Company, Class A (a) 2,830 22,980
Time Warner, Inc. 4,800 138,144
VeriSign, Inc. * 500 11,845
Verizon Communications, Inc. 2,050 62,053
Vodafone Group PLC, SADR 3,200 72,000
Vodafone Group PLC 12,159 27,290
WPP PLC, SADR 3,933 33,806
 
    2,279,347
Consumer, Cyclical - 6.18%    
Adidas-Salomon AG 686 36,316
Aisin Seiki Company 600 14,496
Autoliv, Inc. * 266 8,973
Bayerische Motoren Werke (BMW) AG 612 29,542
Bed Bath & Beyond, Inc. * 3,700 138,898
Carnival Corp. * 650 21,632
Compagnie Financiere Richemont SA 706 19,991

The accompanying notes are an integral part of the financial statements.
39



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Balanced Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Costco Wholesale Corp. 20 $ 1,129
CVS Caremark Corp. 2,200 78,628
D.R. Horton, Inc. 1,200 13,692
Dollar Tree, Inc. * 150 7,302
Esprit Holdings, Ltd. 2,600 17,437
FamilyMart Company, Ltd. 500 16,086
Fastenal Company 100 3,870
Genuine Parts Company 830 31,590
GKN PLC * 6,674 12,152
Harley-Davidson, Inc. 1,500 34,500
Harman International Industries, Inc. 700 23,716
Harvey Norman Holding, Ltd. 3,544 13,384
Home Depot, Inc. 3,800 101,232
Honda Motor Company, Ltd. 500 15,161
Industria de Diseno Textil SA 369 21,192
Jardine Cycle and Carriage, Ltd. 1,000 17,145
Kohl's Corp. * 1,550 88,427
Koito Manufacturing Company, Ltd. 1,000 13,763
Lowe's Companies, Inc. 1,400 29,316
Macy's, Inc. 1,500 27,435
Marriott International, Inc., Class A 3,416 94,247
Mattel, Inc. 2,350 43,381
McDonald's Corp. 1,150 65,630
MGM Mirage, Inc. * 1,800 21,672
Mitchells & Butlers PLC * 1,567 6,524
Mitsubishi Corp. 1,400 28,117
Mitsui & Company, Ltd. 1,700 22,125
N. Brown Group PLC 3,328 13,084
NIKE, Inc., Class B 120 7,764
Nintendo Company, Ltd. 100 25,570
O'Reilly Automotive, Inc. * 400 14,456
PPR SA 225 28,878
Southwest Airlines Company 3,900 37,440
Starbucks Corp. * 1,850 38,202
The Gap, Inc. 460 9,844
Tiffany & Company 1,100 42,383
Toyota Motor Corp. 1,200 47,227
Wal-Mart Stores, Inc. 1,850 90,817
Walt Disney Company 3,050 83,753
Whirlpool Corp. 930 65,063
Wynn Macau, Ltd. * 6,000 7,804
Yum! Brands, Inc. 1,450 48,952
 
    1,679,938
Consumer, Non-cyclical - 9.94%    
Alcon, Inc. 40 5,547
Allergan, Inc. 1,500 85,140
Amgen, Inc. * 1,370 82,515
Anheuser-Busch InBev NV 585 26,750
Apollo Group, Inc., Class A * 500 36,835
Astellas Pharmaceuticals, Inc. 500 20,546
Avery Dennison Corp. 1,300 46,813
Baxter International, Inc. 910 51,879
Benesse Corp. 500 24,439
Bristol-Myers Squibb Company 2,340 52,697
Bureau Veritas SA 274 15,465
C.R. Bard, Inc. 150 11,792

Balanced Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Celgene Corp. * 1,600 $ 89,440
Chugai Pharmaceutical Company, Ltd. 500 10,327
Cia Cervecerias Unidas SA, ADR 330 11,332
Companhia Brasileira de Meios de Pagamento 2,700 26,793
Compass Group PLC 2,405 14,711
CSL, Ltd. 898 26,434
Dairy Crest Group PLC 2,504 15,345
Elan Corp. PLC, SADR * 600 4,266
Elekta AB, Series B 1,519 29,464
Express Scripts, Inc. * 1,380 107,060
Fortune Brands, Inc. 2,010 86,390
Fresenius SE 404 23,670
General Mills, Inc. 50 3,219
Gilead Sciences, Inc. * 2,510 116,916
GlaxoSmithKline PLC, ADR 1,500 59,265
Goodman Fielder, Ltd. 6,803 10,024
H & R Block, Inc. 600 11,028
Hershey Company 2,500 97,150
House Food Corp. 500 8,352
Intuitive Surgical, Inc. * 160 41,960
Johnson & Johnson 1,080 65,761
Kellogg Company 50 2,462
Kimberly-Clark Corp. 850 50,133
Kirin Brewery Company, Ltd. 1,000 15,285
Kobayashi Pharmaceutical Company, Ltd. 300 13,641
Kraft Foods, Inc., Class A 1,820 47,811
Life Technologies Corp. * 50 2,328
L'Oreal SA 326 32,586
McCormick & Company, Inc. 780 26,473
McKesson Corp. 1,420 84,561
Medco Health Solutions, Inc. * 2,810 155,421
Medtronic, Inc. 260 9,568
Merck & Company, Inc. 2,200 69,586
Nestle SA 2,329 99,355
Novo Nordisk AS 100 6,281
PepsiCo, Inc. 900 52,794
Pernod-Ricard SA 406 32,292
Procter & Gamble Company 100 5,792
Qinetiq PLC 5,582 12,561
Roche Holdings AG - Genusschein 449 72,683
Rohto Pharmaceutical Company, Ltd. 1,000 13,627
Sanofi-Aventis SA 780 57,264
Shire Pharmaceuticals Group PLC, ADR 50 2,615
St. Jude Medical, Inc. * 1,660 64,757
Stryker Corp. 400 18,172
Terumo Corp. 300 16,430
Tesco PLC 8,885 56,853
Teva Pharmaceutical Industries, Ltd., SADR 950 48,032
The Coca-Cola Company 600 32,220
Toho Holdings Company, Ltd. 300 4,128
Unilever PLC 1,392 39,762
Visa, Inc. 1,020 70,492
WellPoint, Inc. * 850 40,256
Western Union Company 2,100 39,732
Wyeth 1,800 87,444
 
    2,702,722

The accompanying notes are an integral part of the financial statements.
40



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Balanced Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Diversified - 0.15%    
DCC PLC 1,080 $ 27,816
Hutchison Whampoa, Ltd. 2,000 14,327
 
    42,143
Energy - 6.64%    
Anadarko Petroleum Corp. 1,180 74,021
Beach Petroleum, Ltd. 18,927 12,506
BG Group PLC 969 16,864
BJ Services Company 950 18,458
BP PLC, SADR 2,520 134,140
Cameron International Corp. * 870 32,903
Chevron Corp. 2,340 164,806
China Oilfield Services, Ltd., Series H 12,000 11,183
ConocoPhillips Company 530 23,935
CONSOL Energy, Inc. 550 24,810
Duke Energy Corp. 4,800 75,552
EDF Energies Nouvelles, SA 187 10,346
Entergy Corp. 1,000 79,860
EOG Resources, Inc. 860 71,819
Exxon Mobil Corp. 2,520 172,897
First Solar, Inc. * 140 21,400
Fugro NV 170 9,835
Murphy Oil Corp. 1,450 83,477
Petroleo Brasileiro SA, SADR 450 17,690
Royal Dutch Shell PLC, ADR, Class B 1,200 66,924
Royal Dutch Shell PLC, ADR 2,250 128,678
Saipem SpA 811 24,411
Schlumberger, Ltd. 3,550 211,580
Smith International, Inc. 2,200 63,140
Southwestern Energy Company * 1,050 44,814
Spectra Energy Corp. 1,600 30,304
StatoilHydro ASA 1,900 42,700
Subsea 7, Inc. * 1,400 18,852
Suncor Energy, Inc. 900 31,104
Sunoco, Inc. 1,200 34,140
Total SA 703 41,851
Williams Companies, Inc. 550 9,829
 
    1,804,829
Financial - 12.36%    
Allied Irish Banks PLC * 3,161 15,146
American Express Company 5,450 184,755
Ameriprise Financial, Inc. 880 31,970
Aon Corp. 120 4,883
Australia and New Zealand    
Banking Group, Ltd. 1,894 40,601
Aviva PLC 1,394 9,993
AXA Group SA 1,259 34,067
Banco Santander Central Hispano SA 2,856 46,141
Bank of America Corp. 11,820 199,994
Bank of New York Mellon Corp. 3,300 95,667
Barclays PLC, SADR * 1,500 35,460
BlackRock, Inc. 50 10,841
BNP Paribas SA 560 44,790
Capital One Financial Corp. 1,350 48,235
Charles Schwab Corp. 2,200 42,130
China CITIC Bank 47,000 30,972

Balanced Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
China Overseas Land & Investment, Ltd. 6,000 $ 12,869
Chubb Corp. 580 29,238
Close Brothers Group PLC 669 8,511
CME Group, Inc. 40 12,328
CNP Assurances SA 330 33,634
Credit Suisse Group AG 100 5,566
DBS Group Holdings, Ltd. 2,000 18,718
Den Norske Bank ASA * 2,800 32,499
Deutsche Bank AG 343 26,333
Deutsche Boerse AG 156 12,750
Franklin Resources, Inc. 1,240 124,744
Goldcrest Company, Ltd. 300 9,017
Goldman Sachs Group, Inc. 1,320 243,342
Great Portland Estates PLC 1,540 6,515
ING Groep NV * 841 15,027
IntercontinentalExchange, Inc. * 440 42,764
Intesa Sanpaolo SpA * 6,797 30,088
Invesco, Ltd. 400 9,104
JPMorgan Chase & Company 8,100 354,942
Julius Baer Holding AG 439 21,979
KeyCorp 3,600 23,400
Legg Mason, Inc. 750 23,272
Lincoln National Corp. 2,130 55,188
Macquarie Group, Ltd. 494 25,444
Marsh & McLennan Companies, Inc. 3,000 74,190
Marshall & Ilsley Corp. 1,500 12,105
MasterCard, Inc., Class A 350 70,753
Mirvac Group, Ltd. 12,458 18,384
Mitsui Fudosan Company, Ltd. 1,000 16,762
Morgan Stanley 950 29,336
Muenchener Rueckversicherungs-    
Gesellschaft AG (MunichRe) 241 38,451
Nordea Bank AB 2,674 26,944
Northern Trust Corp. 1,410 82,006
NYSE Euronext 860 24,845
Progressive Corp. * 1,750 29,015
Prudential PLC 2,228 21,441
QBE Insurance Group, Ltd. 1,458 30,840
SLM Corp. * 3,800 33,136
Societe Generale 325 26,189
Sony Financial Holdings, Inc. 9 25,761
Standard Chartered PLC 2,163 53,332
State Street Corp. 2,510 132,026
Sumitomo Mitsui Financial Group, Inc. 400 13,847
Sumitomo Trust & Banking Company, Ltd. 3,000 15,772
Sun Life Financial, Inc. 900 28,202
Suncorp-Metway, Ltd. 1,387 10,814
SunTrust Banks, Inc. 2,150 48,482
Swedbank AB, Class A 1,771 16,909
The Bank of Yokohama, Ltd. 3,000 14,594
The Travelers Companies, Inc. 680 33,476
U.S. Bancorp 5,750 125,695
UBS AG - Swiss Exchange * 1,830 33,541
Unibail-Rodamco SE, REIT 175 36,403
Wells Fargo & Company 6,500 183,170
 
    3,359,338

The accompanying notes are an integral part of the financial statements.
41



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Balanced Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial - 6.40%    
3M Company 1,950 $ 143,910
ABB, Ltd. * 752 15,112
Alstom SA 344 25,157
Arriva PLC 1,824 14,622
Black & Decker Corp. 480 22,219
Boeing Company 1,320 71,478
Boral, Ltd. 1,815 9,710
Bouygues SA 545 27,776
Cargotec Corp. Oyj, B Shares 380 8,952
Carillion PLC 3,272 14,401
Cemex SA de CV * 5,800 7,486
Central Japan Railway Company, Ltd. 3 21,528
Charter International PLC 946 10,379
China Railway Construction Corp. - Hong    
Kong Exchange 15,000 19,829
Cooper Industries PLC * 1,080 40,576
Danaher Corp. 2,400 161,568
Deere & Company 1,350 57,942
Eaton Corp. 430 24,334
Expeditors International of Washington, Inc. 450 15,818
Fanuc, Ltd. 100 8,934
Finmeccanica SpA 1,247 22,064
Fluor Corp. 610 31,019
FMC Technologies, Inc. * 750 39,180
General Electric Company 10,200 167,484
Goodrich Corp. 220 11,955
Hamamatsu Photonics KK 600 14,292
Honeywell International, Inc. 1,300 48,295
Hosiden Corp. 800 10,818
Illinois Tool Works, Inc. 1,960 83,712
Koninklijke (Royal) Philips Electronics NV 874 21,304
LG Display Company, Ltd. 560 16,114
Lockheed Martin Corp. 930 72,614
Makita Corp. 300 9,440
Masco Corp. 3,400 43,928
McDermott International, Inc. * 600 15,162
Mitsubishi Electric Corp. 5,000 37,555
Modec, Inc. 400 8,140
Nikon Corp. 1,000 18,174
Nippon Electric Glass Company, Ltd. 2,000 18,102
Nippon Yusen Kabushiki Kaisha 2,000 7,699
Pall Corp. 400 12,912
Precision Castparts Corp. 130 13,243
Prysmian SpA 941 17,687
Republic Services, Inc. 620 16,473
Rockwell Automation, Inc. 100 4,260
Rolls-Royce Group PLC * 1,789 13,469
SembCorp Industries, Ltd. 10,000 23,888
Toshiba Machine Company, Ltd. 1,000 3,665
Union Pacific Corp. 200 11,670
United Parcel Service, Inc., Class B 1,230 69,458
United Technologies Corp. 500 30,465
USG Corp. * 1,150 19,757
Venture Corp., Ltd. 1,000 6,355
Vulcan Materials Company 1,100 59,477
W.W. Grainger, Inc. 40 3,574

Balanced Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Wacom Company, Ltd. * 6 $ 14,189
 
    1,739,324
Technology - 5.64%    
Accenture PLC * 1,280 47,706
Adobe Systems, Inc. * 330 10,903
Altera Corp. 1,380 28,304
Analog Devices, Inc. 2,060 56,815
Apple, Inc. * 1,970 365,179
Applied Materials, Inc. 1,600 21,440
ASML Holding NV 621 18,313
Autodesk, Inc. * 600 14,280
Automatic Data Processing, Inc. 200 7,860
Autonomy Corp. PLC * 496 12,942
Broadcom Corp., Class A * 1,910 58,618
Canon, Inc. 700 28,003
Cerner Corp. * (a) 250 18,700
Computer Sciences Corp. * 1,220 64,306
Dell, Inc. * 2,650 40,439
Electronic Arts, Inc. * 2,280 43,434
EMC Corp. * 550 9,372
Fiserv, Inc. * 1,250 60,250
Hewlett-Packard Company 450 21,244
Intel Corp. 3,400 66,538
International Business Machines Corp. 340 40,667
Logica PLC 3,471 7,225
Marvell Technology Group, Ltd. * 5,410 87,588
Microsoft Corp. 10,060 260,453
NS Solutions Corp. 400 7,282
Research In Motion, Ltd. * 170 11,483
Samsung Electronics Company, Ltd. 23 15,858
Sumco Corp. 1,000 22,561
Taiwan Semiconductor    
Manufacturing Company, Ltd., SADR 1,700 18,632
Xilinx, Inc. 2,900 67,918
 
    1,534,313
Utilities - 1.81%    
CenterPoint Energy, Inc. 850 10,565
Constellation Energy Group, Inc. 950 30,751
E.ON AG 1,551 65,860
FirstEnergy Corp. 580 26,518
GDF Suez 580 25,932
Hong Kong & China Gas Company, Ltd. 8,000 20,188
Iberdrola Renovables SA 5,690 28,021
NRG Energy, Inc. * 1,980 55,816
PG&E Corp. 1,250 50,613
Pinnacle West Capital Corp. 1,130 37,087
Progress Energy, Inc. 1,310 51,169
Scottish & Southern Energy PLC 1,536 28,800
Teco Energy, Inc. 950 13,376
Xcel Energy, Inc. 2,430 46,753
 
    491,449

 
TOTAL COMMON STOCKS (Cost $14,723,308) $ 16,432,205


The accompanying notes are an integral part of the financial statements.
42



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Balanced Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
PREFERRED STOCKS - 0.05%      
Consumer, Cyclical - 0.05%      
Volkswagen AG (h)   113 $ 13,161

TOTAL PREFERRED STOCKS (Cost $9,446) $ 13,161

 
RIGHTS - 0.01%      
Financial - 0.01%      
BNP Paribas SA (Expiration Date 10/13/2009,    
Strike Price: EUR 40.00) *   547 1,185
Swedbank AB (Expiration Date 10/06/2009,    
Strike Price: SEK 39.00) *   1,188 2,343
 
      3,528

 
TOTAL RIGHTS (Cost $1,943)   $ 3,528

 
U.S. TREASURY OBLIGATIONS - 8.75%    
U.S. Treasury Bonds - 0.67%      
3.50% due 02/15/2039 $ 80,000 72,475
4.50% due 02/15/2036   33,000 35,444
5.25% due 02/15/2029   10,000 11,608
5.375% due 02/15/2031   15,000 17,822
6.00% due 02/15/2026   35,000 43,427
 
      180,776
U.S. Treasury Notes - 8.08%      
0.875% due 03/31/2011 to 05/31/2011   892,000 894,527
1.375% due 04/15/2012   50,000 50,219
1.50% due 12/31/2013   135,000 132,184
1.875% due 04/30/2014   290,000 286,602
2.00% due 09/30/2010   230,000 233,567
2.00% due 11/30/2013 ***   340,000 340,478
2.25% due 05/31/2014   195,000 195,594
3.125% due 05/15/2019   55,000 54,119
3.375% due 10/15/2009   10,000 10,012
 
      2,197,302

 
TOTAL U.S. TREASURY OBLIGATIONS    
(Cost $2,357,538)   $ 2,378,078

 
U.S. GOVERNMENT AGENCY OBLIGATIONS - 13.98%  
Federal Home Loan Mortgage Corp. - 1.03%    
2.125% due 03/23/2012   275,000 280,094
Federal National Mortgage      
Association - 12.69%      
3.00% due 09/16/2014   100,000 101,630
3.25% due 08/12/2010   175,000 179,167
4.125% due 04/15/2014   100,000 107,162
4.50% due 05/01/2023 to 07/01/2039   618,091 631,121
5.00% due 01/01/2023 to 01/01/2039   572,568 595,332
5.375% due 07/15/2016   40,000 45,069
5.50% due 07/01/2022 to 04/01/2039   891,835 936,895
6.00% due 04/01/2035 to 09/01/2038   624,725 661,461
6.50% due 10/01/2036   177,835 190,742
 
      3,448,579
 
Government National Mortgage      
Association - 0.26%      
4.50% due 05/20/2039   19,861 20,150

Balanced Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
U.S. GOVERNMENT AGENCY      
OBLIGATIONS (continued)      
Government National Mortgage      
Association (continued)      
5.00% due 05/15/2039 to 06/15/2039 $ 49,529 $ 51,401
 
      71,551

 
TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS  
(Cost $3,767,052)   $ 3,800,224

 
FOREIGN GOVERNMENT OBLIGATIONS - 0.04%  
Canada - 0.04%      
Export Development Canada      
3.50% due 05/16/2013   10,000 10,447

TOTAL FOREIGN GOVERNMENT OBLIGATIONS  
(Cost $10,325)   $ 10,447

 
CORPORATE BONDS - 7.00%      
Basic Materials - 0.58%      
Air Products & Chemicals, Inc.      
4.375% due 08/21/2019   25,000 25,533
Airgas, Inc.      
4.50% due 09/15/2014   20,000 20,354
Lubrizol Corp.      
8.875% due 02/01/2019   20,000 24,688
Newmont Mining Corp.      
6.25% due 10/01/2039   25,000 24,830
Potash Corp. of Saskatchewan, Inc.      
4.875% due 03/30/2020   25,000 24,971
Praxair, Inc.      
4.50% due 08/15/2019   25,000 25,783
Rio Tinto Finance USA, Ltd.      
8.95% due 05/01/2014   10,000 11,802
 
      157,961
 
Communications - 1.12%      
America Movil SAB de CV      
6.375% due 03/01/2035   10,000 10,420
British Sky Broadcasting Group PLC      
9.50% due 11/15/2018 (g)   15,000 19,192
Comcast Corp.      
5.70% due 05/15/2018   15,000 15,770
COX Communications, Inc.      
9.375% due 01/15/2019 (g)   15,000 18,952
Discovery Communications LLC      
5.625% due 08/15/2019   25,000 25,655
News America, Inc.      
6.15% due 03/01/2037   10,000 9,785
Omnicom Group, Inc.      
6.25% due 07/15/2019   15,000 16,181
SBC Communications, Inc.      
5.10% due 09/15/2014   20,000 21,563
Telecom Italia Capital SA      
6.175% due 06/18/2014   15,000 16,271
Telefonica Emisiones SAU      
5.877% due 07/15/2019   15,000 16,298
Thomson Reuters Corp.      
6.50% due 07/15/2018   25,000 28,264
Time Warner Cable, Inc.      
8.25% due 04/01/2019   10,000 12,087

The accompanying notes are an integral part of the financial statements.
43



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Balanced Trust (continued)      
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Communications (continued)      
Time Warner, Inc.      
5.50% due 11/15/2011 $ 10,000 $ 10,632
Verizon Communications, Inc.      
5.50% due 02/15/2018   25,000 26,211
8.75% due 11/01/2018   15,000 18,739
Verizon Wireless Capital LLC      
8.50% due 11/15/2018 (g)   10,000 12,486
Viacom, Inc.      
5.625% due 09/15/2019   25,000 25,410
 
      303,916
 
Consumer, Cyclical - 0.21%      
Target Corp.      
5.875% due 03/01/2012   10,000 10,910
Wal-Mart Stores, Inc.      
5.25% due 09/01/2035   20,000 20,027
Yum! Brands, Inc.      
5.30% due 09/15/2019   25,000 25,113
 
      56,050
 
Consumer, Non-cyclical - 0.32%      
Altria Group, Inc.      
9.25% due 08/06/2019   10,000 12,220
Anheuser-Busch InBev Worldwide, Inc.      
6.875% due 11/15/2019 (g)   10,000 11,295
Baxter International, Inc.      
4.50% due 08/15/2019   25,000 25,640
Bunge, Ltd. Finance Corp.      
8.50% due 06/15/2019   10,000 11,528
Express Scripts, Inc.      
6.25% due 06/15/2014   10,000 10,989
Safeway, Inc.      
5.00% due 08/15/2019   15,000 15,339
 
      87,011
 
Energy - 1.00%      
Boardwalk Pipelines LP      
5.75% due 09/15/2019   25,000 24,959
Buckeye Partners LP      
5.50% due 08/15/2019   25,000 25,552
Canadian Natural Resources, Ltd.      
6.25% due 03/15/2038   25,000 26,633
ConocoPhillips Company      
5.90% due 10/15/2032   20,000 21,336
Hess Corp.      
8.125% due 02/15/2019   15,000 18,020
Magellan Midstream Partners LP      
6.55% due 07/15/2019   15,000 16,668
Marathon Oil Corp.      
6.50% due 02/15/2014   15,000 16,518
Occidental Petroleum Corp.      
4.125% due 06/01/2016   10,000 10,285
Petroleos Mexicanos      
4.875% due 03/15/2015 (g)   25,000 24,844
Plains All American Pipeline LP      
5.75% due 01/15/2020   25,000 25,194
Shell International Finance BV      
4.30% due 09/22/2019   25,000 25,123
Spectra Energy Capital LLC      
5.65% due 03/01/2020   20,000 20,505

Balanced Trust (continued)      
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Energy (continued)      
Valero Energy Corp.      
9.375% due 03/15/2019 $ 15,000 $ 17,479
 
      273,116
 
Financial - 2.27%      
ACE INA Holdings, Inc.      
5.90% due 06/15/2019   15,000 16,336
Aflac, Inc.      
8.50% due 05/15/2019   10,000 11,921
American Express Company      
8.125% due 05/20/2019   10,000 11,827
Ameriprise Financial, Inc.      
7.30% due 06/28/2019   15,000 16,536
Bank of America Corp.      
6.50% due 08/01/2016   15,000 15,767
7.375% due 05/15/2014   10,000 11,127
Bank of New York Mellon Corp.      
5.45% due 05/15/2019   10,000 10,810
BB&T Corp.      
5.70% due 04/30/2014   10,000 10,829
Capital One Financial Corp.      
7.375% due 05/23/2014   10,000 11,160
Citigroup, Inc.      
5.50% due 10/15/2014   25,000 24,964
8.50% due 05/22/2019   25,000 28,221
Credit Suisse USA, Inc.      
5.125% due 01/15/2014   25,000 26,390
Deutsche Bank AG/London      
3.875% due 08/18/2014   25,000 25,308
General Electric Capital Corp.      
5.625% due 05/01/2018   40,000 39,808
Goldman Sachs Group, Inc.      
6.00% due 05/01/2014   10,000 10,875
6.15% due 04/01/2018   10,000 10,519
7.50% due 02/15/2019   10,000 11,436
John Deere Capital Corp.      
7.00% due 03/15/2012   10,000 11,158
JPMorgan Chase & Company      
3.70% due 01/20/2015   20,000 19,824
4.75% due 05/01/2013   15,000 15,880
6.30% due 04/23/2019   15,000 16,376
Kreditanstalt fuer Wiederaufbau      
4.00% due 10/15/2013   15,000 15,913
4.875% due 06/17/2019   10,000 10,874
Lincoln National Corp.      
8.75% due 07/01/2019   10,000 11,566
Mack-Cali Realty Corp.      
7.75% due 08/15/2019   15,000 15,456
Merrill Lynch & Company, Inc.      
6.50% due 07/15/2018   15,000 15,128
MetLife, Inc.      
6.75% due 06/01/2016   10,000 11,160
Morgan Stanley      
4.75% due 04/01/2014   25,000 24,815
National Rural Utilities Cooperative Finance Corp    
3.875% due 09/16/2015   20,000 20,217
PNC Funding Corp.      
6.70% due 06/10/2019   10,000 11,067

The accompanying notes are an integral part of the financial statements.
44



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Balanced Trust (continued)      
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
Pricoa Global Funding I      
5.625% due 05/24/2011 $ 10,000 $ 10,438
Principal Financial Group, Inc.      
8.875% due 05/15/2019   10,000 11,982
Simon Property Group LP, REIT      
6.75% due 05/15/2014   10,000 10,725
The Travelers Companies, Inc.      
5.90% due 06/02/2019   10,000 11,205
US Bancorp      
4.20% due 05/15/2014   10,000 10,450
Wachovia Corp.      
5.75% due 02/01/2018   30,000 31,751
WEA Finance LLC      
7.50% due 06/02/2014 (g)   10,000 10,777
Westpac Banking Corp.      
4.20% due 02/27/2015   25,000 25,410
 
      616,006
 
Industrial - 0.47%      
Arrow Electronics, Inc.      
6.00% due 04/01/2020   25,000 24,981
BAE Systems Holdings, Inc.      
4.95% due 06/01/2014 (g)   10,000 10,369
Burlington Northern Santa Fe Corp.      
5.65% due 05/01/2017   15,000 16,139
Canadian Pacific Railway Company      
7.25% due 05/15/2019   35,000 40,604
Republic Services, Inc.      
5.50% due 09/15/2019 (g)   15,000 15,452
Roper Industries, Inc.      
6.25% due 09/01/2019   20,000 20,761
 
      128,306
 
Supranational - 0.24%      
European Investment Bank      
3.00% due 04/08/2014   40,000 40,934
Inter-American Development Bank, Series EMTN    
3.875% due 09/17/2019   25,000 25,099
 
      66,033
 
Technology - 0.08%      
Oracle Corp.      
3.75% due 07/08/2014   15,000 15,583
Xerox Corp.      
8.25% due 05/15/2014   5,000 5,683
 
      21,266
 
Utilities - 0.71%      
AGL Capital Corp.      
5.25% due 08/15/2019   15,000 15,396
Allegheny Energy Supply Company LLC      
6.75% due 10/15/2039 (g)   25,000 25,241
Exelon Generation Company LLC      
6.25% due 10/01/2039   20,000 20,413
FirstEnergy Solutions Corp.      
4.80% due 02/15/2015 (g)   15,000 15,413
Kansas Gas & Electric Company      
6.70% due 06/15/2019 (g)   15,000 17,176
Midamerican Energy Holdings Company      
6.125% due 04/01/2036   20,000 21,589

Balanced Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Utilities (continued)      
Niagara Mohawk Power Corp.      
4.881% due 08/15/2019 (g) $ 15,000 $ 15,272
Ohio Power Company, Series 1      
5.375% due 10/01/2021   25,000 25,366
Sempra Energy      
6.50% due 06/01/2016   10,000 11,054
Southern Company      
4.15% due 05/15/2014   10,000 10,330
Virginia Electric and Power Company      
5.00% due 06/30/2019   15,000 15,671
 
      192,921

 
TOTAL CORPORATE BONDS (Cost $1,804,715) $ 1,902,586

 
CONVERTIBLE BONDS - 0.07%      
Consumer, Cyclical - 0.07%      
Ford Motor Company      
4.25% due 12/15/2036   20,000 20,275

TOTAL CONVERTIBLE BONDS (Cost $15,966) $ 20,275

 
MUNICIPAL BONDS - 0.48%      
California - 0.08%      
University of California      
5.77% due 05/15/2043   20,000 21,475
Illinois - 0.14%      
Chicago Metropolitan Water Reclamation District    
5.72% due 12/01/2038   25,000 27,459
Illinois State Toll Highway Authority      
6.184% due 01/01/2034   10,000 11,198
 
      38,657
 
New York - 0.10%      
New York State Dormitory Authority      
5.628% due 03/15/2039   25,000 26,311
Texas - 0.10%      
State of Texas      
5.517% due 04/01/2039   25,000 26,502
Utah - 0.06%      
Utah Transit Authority      
5.937% due 06/15/2039   15,000 16,445

TOTAL MUNICIPAL BONDS (Cost $119,983) $ 129,390

 
COLLATERALIZED MORTGAGE      
OBLIGATIONS - 0.68%      
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2007-PW17, Class A4      
5.694% due 06/11/2050 (b)   25,000 22,061
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2007-T28, Class A4      
5.742% due 09/11/2042 (b)   30,000 28,073
Citigroup/Deutsche Bank Commercial      
Mortgage Trust, Series 2006-CD3, Class A5    
5.617% due 10/15/2048   30,000 27,688
Credit Suisse Mortgage Capital Certificates,      
Series 2006-C4, Class A3      
5.467% due 09/15/2039   40,000 33,995

The accompanying notes are an integral part of the financial statements.
45



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Balanced Trust (continued)      
    Shares or  
    Principal  
    Amount Value

 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
GS Mortgage Securities Corp. II,      
Series 2006-GG6, Class A4      
5.553% due 04/10/2038 (b) $ 25,000 $ 22,578
Morgan Stanley Capital I,      
Series 2007-HQ11, Class A4      
5.447% due 02/12/2044 (b)   25,000 21,357
Morgan Stanley Capital I,      
Series 2007-IQ14, Class A4      
5.692% due 04/15/2049 (b)   35,000 28,627

TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS  
(Cost $160,459)   $ 184,379

 
ASSET BACKED SECURITIES - 0.39%      
GE Capital Credit Card Master Note Trust,      
Series 2009-2, Class A      
3.69% due 07/15/2015   104,000 106,957

TOTAL ASSET BACKED SECURITIES      
(Cost $103,985)   $ 106,957

 
SECURITIES LENDING COLLATERAL - 0.25%    
Securities Lending Collateral - 0.25%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   6,932 69,394

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $69,393)   $ 69,394

 
SHORT TERM INVESTMENTS - 8.81%      
T. Rowe Price Reserve Investment      
Fund, 0.3011% $ 2,395,287 $ 2,395,287

TOTAL SHORT TERM INVESTMENTS      
(Cost $2,395,287)   $ 2,395,287

 
REPURCHASE AGREEMENTS - 0.66%      
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$179,000 on 10/01/2009,      
collateralized by $185,000 Federal      
National Mortgage Association,      
5.00% due 05/20/2024 (valued at      
$183,150, including interest) $ 179,000 $ 179,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $179,000)   $ 179,000

Total Investments (Balanced Trust)      
(Cost $25,718,400) - 101.62%   $ 27,624,911
Other assets and liabilities, net - (1.62)%     (441,529)
 
TOTAL NET ASSETS - 100.00%   $ 27,183,382
 

Blue Chip Growth Trust    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS - 99.73%    
Basic Materials - 2.10%    
Freeport-McMoRan Copper & Gold, Inc.,    
Class B 45,400 $ 3,114,894
Monsanto Company 126,804 9,814,630
Praxair, Inc. 230,100 18,796,869
 
    31,726,393
Communications - 20.36%    
Amazon.com, Inc. * 599,689 55,986,965
American Tower Corp., Class A * 656,738 23,905,263
Cisco Systems, Inc. * 626,818 14,755,296
Corning, Inc. 14,700 225,057
Discovery Communications, Inc., Series A * 348,550 10,069,610
Discovery Communications, Inc., Series C * 410,950 10,697,029
eBay, Inc. * 478 11,286
Expedia, Inc. * 369,400 8,847,130
Google, Inc., Class A * 123,566 61,270,201
Juniper Networks, Inc. * 868,421 23,464,735
McAfee, Inc. * 389,300 17,047,447
McGraw-Hill Companies, Inc. 395,100 9,932,814
Priceline.com, Inc. * (a) 67,400 11,176,268
QUALCOMM, Inc. 696,977 31,350,025
Tencent Holdings, Ltd. 971,000 15,613,799
Time Warner, Inc. 402,766 11,591,605
VeriSign, Inc. * 104,000 2,463,760
 
    308,408,290
Consumer, Cyclical - 10.06%    
Bed Bath & Beyond, Inc. * 360,000 13,514,400
Carnival Corp. * 160,800 5,351,424
Costco Wholesale Corp. 7,700 434,742
CVS Caremark Corp. 520,267 18,594,343
Dollar Tree, Inc. * 29,500 1,436,060
Fastenal Company (a) 14,800 572,760
Kohl's Corp. * 376,230 21,463,921
Lowe's Companies, Inc. 349,100 7,310,154
Marriott International, Inc., Class A (a) 388,476 10,718,053
McDonald's Corp. 271,400 15,488,798
NIKE, Inc., Class B 36,900 2,387,430
O'Reilly Automotive, Inc. * 104,000 3,758,560
Starbucks Corp. * 472,100 9,748,865
The Gap, Inc. 103,100 2,206,340
Wal-Mart Stores, Inc. 427,864 21,003,844
Walt Disney Company 147,500 4,050,350
Wynn Macau, Ltd. * 1,524,000 2,002,170
Wynn Resorts, Ltd. * (a) 8,100 574,209
Yum! Brands, Inc. 346,600 11,701,216
 
    152,317,639
Consumer, Non-cyclical - 18.95%    
Alcon, Inc. 10,590 1,468,515
Allergan, Inc. 356,000 20,206,560
Amgen, Inc. * 147,700 8,895,971
Apollo Group, Inc., Class A * 126,900 9,348,723
Baxter International, Inc. 223,100 12,718,931
C.R. Bard, Inc. 42,400 3,333,064
Celgene Corp. * 369,400 20,649,460
Express Scripts, Inc. * 326,500 25,329,870
General Mills, Inc. 14,800 952,824

The accompanying notes are an integral part of the financial statements.
46



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Blue Chip Growth Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Gilead Sciences, Inc. * 604,162 $ 28,141,866
Intuitive Surgical, Inc. * 40,100 10,516,225
Johnson & Johnson 24,300 1,479,627
Kellogg Company 6,000 295,380
Life Technologies Corp. * 6,100 283,955
McKesson Corp. 342,300 20,383,965
Medco Health Solutions, Inc. * 671,300 37,129,603
Medtronic, Inc. 50,344 1,852,659
Novo Nordisk AS 14,800 929,576
PepsiCo, Inc. 207,804 12,189,783
Procter & Gamble Company 24,237 1,403,807
Roche Holdings AG - Genusschein 1,523 246,539
Shire Pharmaceuticals Group PLC, ADR 14,800 773,892
St. Jude Medical, Inc. * 409,836 15,987,702
Stryker Corp. 106,179 4,823,712
Teva Pharmaceutical Industries, Ltd., SADR 229,500 11,603,520
The Coca-Cola Company 151,500 8,135,550
Visa, Inc. 235,900 16,303,049
WellPoint, Inc. * 44,272 2,096,722
Western Union Company 505,700 9,567,844
 
    287,048,894
Energy - 6.83%    
Cameron International Corp. * 198,800 7,518,616
Entergy Corp. 45,500 3,633,630
EOG Resources, Inc. 201,200 16,802,212
Exxon Mobil Corp. 29,538 2,026,602
First Solar, Inc. * (a) 29,800 4,555,228
Petroleo Brasileiro SA, SADR (a) 94,300 3,706,933
Schlumberger, Ltd. 551,292 32,857,003
Smith International, Inc. (a) 527,772 15,147,057
Southwestern Energy Company * 241,200 10,294,416
Suncor Energy, Inc. 201,200 6,953,472
 
    103,495,169
Financial - 17.48%    
American Express Company 414,752 14,060,093
Ameriprise Financial, Inc. 221,251 8,038,049
Aon Corp. 25,100 1,021,319
Bank of America Corp. 493,300 8,346,636
Bank of New York Mellon Corp. 148,361 4,300,985
BlackRock, Inc. (a) 15,500 3,360,710
Charles Schwab Corp. 537,186 10,287,112
CME Group, Inc. (a) 5,950 1,833,730
Credit Suisse Group AG 19,700 1,096,507
Franklin Resources, Inc. 297,665 29,945,099
Goldman Sachs Group, Inc. 234,776 43,280,956
IntercontinentalExchange, Inc. * 104,100 10,117,479
Invesco, Ltd. 103,200 2,348,832
JPMorgan Chase & Company 591,300 25,910,766
MasterCard, Inc., Class A 82,900 16,758,235
Morgan Stanley 237,400 7,330,912
Northern Trust Corp. 342,789 19,936,608
State Street Corp. 613,107 32,249,428
U.S. Bancorp 315,500 6,896,830
Wells Fargo & Company 623,400 17,567,412
 
    264,687,698

Blue Chip Growth Trust (continued)  
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS (continued)      
Industrial - 6.66%      
3M Company   120,900 $ 8,922,420
Danaher Corp.   582,863 39,238,337
Expeditors International of Washington, Inc.   105,500 3,708,325
Fluor Corp.   147,400 7,495,290
FMC Technologies, Inc. *   187,200 9,779,328
Goodrich Corp.   60,600 3,293,004
Lockheed Martin Corp.   127,800 9,978,624
McDermott International, Inc. *   134,100 3,388,707
Precision Castparts Corp. (a)   19,200 1,955,904
Republic Services, Inc.   132,900 3,531,153
Rockwell Automation, Inc.   14,800 630,480
Union Pacific Corp.   45,000 2,625,750
United Technologies Corp.   101,100 6,160,023
W.W. Grainger, Inc.   1,500 134,040
 
      100,841,385
Technology - 16.65%      
Accenture PLC *   200,600 7,476,362
Adobe Systems, Inc. *   74,075 2,447,438
Altera Corp.   337,200 6,915,972
Apple, Inc. *   472,900 87,661,473
Autodesk, Inc. *   151,300 3,600,940
Automatic Data Processing, Inc.   48,233 1,895,557
Broadcom Corp., Class A * (a)   447,300 13,727,637
Cerner Corp. *   67,800 5,071,440
Electronic Arts, Inc. *   324,514 6,181,992
EMC Corp. *   121,900 2,077,176
Fiserv, Inc. *   289,200 13,939,440
Hewlett-Packard Company   118,000 5,570,780
Intel Corp.   294,700 5,767,279
International Business Machines Corp.   90,000 10,764,900
Marvell Technology Group, Ltd. *   1,324,010 21,435,722
Microsoft Corp.   1,563,944 40,490,510
Research In Motion, Ltd. *   14,700 992,985
Xilinx, Inc.   689,325 16,143,991
 
      252,161,594
Utilities - 0.64%      
NRG Energy, Inc. *   344,100 9,700,179

TOTAL COMMON STOCKS (Cost $1,373,469,253) $ 1,510,387,241

 
SECURITIES LENDING COLLATERAL - 2.82%    
Securities Lending Collateral - 2.82%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   4,265,368 42,696,333

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $42,698,912)   $ 42,696,333

 
SHORT TERM INVESTMENTS - 0.47%    
T. Rowe Price Reserve Investment      
Fund, 0.3011% $ 7,193,871 $ 7,193,871

TOTAL SHORT TERM INVESTMENTS      
(Cost $7,193,871)   $ 7,193,871


The accompanying notes are an integral part of the financial statements.
47



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Blue Chip Growth Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
REPURCHASE AGREEMENTS - 0.03%      
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$500,000 on 10/01/2009,      
collateralized by $495,000 Federal      
Home Loan Bank, 4.50% due      
09/13/2019 (valued at $514,800,      
including interest) $ 500,000 $ 500,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $500,000)   $ 500,000

Total Investments (Blue Chip Growth Trust)      
(Cost $1,423,862,036) - 103.05%   $ 1,560,777,445
Other assets and liabilities, net - (3.05)%     (46,238,505)
 
TOTAL NET ASSETS - 100.00%   $ 1,514,538,940
 
 
 
 
Bond Trust      
    Shares or  
    Principal  
    Amount Value
 
 
U.S. TREASURY OBLIGATIONS - 8.90%      
U.S. Treasury Bonds - 2.09%      
4.25% due 05/15/2039 $ 8,395,000 $ 8,684,888
U.S. Treasury Notes - 6.81%      
1.00% due 09/30/2011   18,400,000 18,414,370
2.375% due 09/30/2014   7,270,000 7,288,757
3.625% due 08/15/2019   2,610,000 2,678,920
 
      28,382,047

 
TOTAL U.S. TREASURY OBLIGATIONS      
(Cost $36,843,594)   $ 37,066,935

 
U.S. GOVERNMENT AGENCY OBLIGATIONS - 30.35%  
Federal Agricultural Mortgage Corp. - 2.56%    
5.50% due 07/15/2011 (g)   10,010,000 10,681,701
Federal Home Loan Bank - 0.30%      
5.375% due 05/18/2016   1,095,000 1,229,698
Federal Home Loan Mortgage Corp. - 1.68%      
4.266% due 09/01/2039 (b)   3,700,300 3,855,326
4.304% due 09/01/2039   3,046,016 3,155,385
 
      7,010,711
 
Federal National Mortgage      
Association - 13.00%      
0.00% due 02/01/2015   500,000 415,112
4.387% due 09/01/2039   12,029,981 12,498,434
4.399% due 09/01/2039   9,797,115 10,187,388
4.50% due 10/01/2024 to 05/25/2036   30,000,000 31,072,705
 
      54,173,639
 
Government National Mortgage      
Association - 12.66%      
4.00% due 09/20/2039   33,484,419 35,064,899
5.00% due 01/20/2036 to 08/15/2039   16,957,820 17,699,819
 
      52,764,718

Bond Trust (continued)      
    Shares or  
    Principal  
    Amount Value
 
 
U.S. GOVERNMENT AGENCY      
OBLIGATIONS (continued)      
Tennessee Valley Authority - 0.15%      
5.25% due 09/15/2039 $ 595,000 $ 627,798

TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS  
(Cost $125,642,150)   $ 126,488,265

 
CORPORATE BONDS - 54.50%      
Basic Materials - 5.63%      
Allegheny Technologies, Inc.      
9.375% due 06/01/2019   1,980,000 2,241,696
Arcelormittal      
6.125% due 06/01/2018   1,000,000 985,156
9.85% due 06/01/2019   4,685,000 5,541,437
Dow Chemical Company      
5.90% due 02/15/2015   80,000 82,111
International Paper Company      
7.95% due 06/15/2018   2,666,000 2,889,832
Mosaic Company      
7.375% due 12/01/2014 (g)   3,000,000 3,184,308
Newmont Mining Corp.      
5.125% due 10/01/2019   4,000,000 3,998,232
Rio Tinto Alcan, Inc.      
6.125% due 12/15/2033   225,000 228,542
Rio Tinto Finance USA, Ltd.      
7.125% due 07/15/2028   2,305,000 2,553,223
8.95% due 05/01/2014   555,000 655,004
The Dow Chemical Company      
8.55% due 05/15/2019   975,000 1,096,042
 
      23,455,583
 
Communications - 4.25%      
AT&T, Inc.      
6.50% due 09/01/2037   3,000,000 3,223,521
6.70% due 11/15/2013   1,640,000 1,858,050
Comcast Corp.      
4.95% due 06/15/2016   1,050,000 1,073,997
6.50% due 01/15/2015   200,000 222,858
DirecTV Holdings LLC      
7.625% due 05/15/2016   2,000,000 2,140,000
TCI Communications, Inc.      
9.80% due 02/01/2012   1,450,000 1,670,075
Telecom Italia Capital SA      
6.175% due 06/18/2014   975,000 1,057,628
Time Warner Cable, Inc.      
6.75% due 07/01/2018   1,685,000 1,861,521
Verizon Global Funding Corp.      
5.85% due 09/15/2035   4,000,000 4,027,032
Verizon Wireless Capital LLC      
7.375% due 11/15/2013 (g)   500,000 574,182
 
      17,708,864
 
Consumer, Cyclical - 1.53%      
Continental Airlines, Inc., Series 981A      
6.648% due 09/15/2017   36,540 34,347
CVS Caremark Corp.      
6.302% due 06/01/2037   600,000 513,000
Staples, Inc.      
9.75% due 01/15/2014   600,000 720,743
Volvo Treasury AB      
5.95% due 04/01/2015 (g)   3,000,000 2,997,210

The accompanying notes are an integral part of the financial statements.
48



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Bond Trust (continued)      
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Consumer, Cyclical (continued)      
Whirlpool Corp.      
8.00% due 05/01/2012 $ 900,000 $ 971,462
8.60% due 05/01/2014   1,000,000 1,118,625
 
      6,355,387
 
Consumer, Non-cyclical - 5.04%      
Altria Group, Inc.      
8.50% due 11/10/2013   700,000 811,888
Anheuser Busch Companies, Inc.      
5.05% due 10/15/2016   1,550,000 1,598,655
Anheuser-Busch InBev NV      
7.20% due 01/15/2014   150,000 168,877
Bunge, Ltd. Finance Corp.      
5.35% due 04/15/2014   750,000 777,821
Dr. Pepper Snapple Group, Inc.      
6.82% due 05/01/2018   1,149,000 1,306,164
Elan Corp. PLC      
8.75% due 10/15/2016 (g)   330,000 326,383
ERAC USA Finance Company      
6.375% due 10/15/2017 (g)   850,000 853,358
Kraft Foods, Inc.      
6.125% due 02/01/2018   3,975,000 4,212,224
Kroger Company      
3.90% due 10/01/2015   5,000,000 5,039,755
Philip Morris International, Inc.      
5.65% due 05/16/2018   3,500,000 3,725,456
Watson Pharmaceuticals, Inc.      
6.125% due 08/15/2019   2,090,000 2,198,045
 
      21,018,626
 
Diversified - 0.18%      
Hutchison Whampoa International, Ltd.      
5.75% due 09/11/2019 (g)   750,000 755,101
Energy - 7.82%      
Cenovus Energy, Inc.      
4.50% due 09/15/2014 (g)   345,000 352,507
5.70% due 10/15/2019 (g)   2,185,000 2,240,477
DCP Midstream LLC      
9.75% due 03/15/2019 (g)   225,000 268,790
Devon Energy Corp.      
5.625% due 01/15/2014   500,000 537,522
Energy Transfer Partners LP      
9.70% due 03/15/2019   950,000 1,175,899
Entergy Gulf States Louisiana LLC      
6.00% due 05/01/2018   350,000 367,649
Enterprise Products Operating LP, Series B      
5.60% due 10/15/2014 (g)   1,990,000 2,119,583
Kentucky Power Company      
6.00% due 09/15/2017   2,000,000 2,115,100
Kinder Morgan Energy Partners LP      
7.75% due 03/15/2032   4,000,000 4,498,900
NGPL Pipeco LLC      
7.119% due 12/15/2017 (g)   1,030,000 1,152,468
Nustar Logistics      
7.65% due 04/15/2018   50,000 54,194
ONEOK Partners LP      
6.15% due 10/01/2016   700,000 729,850
Pennsylvania Electric Company      
5.125% due 04/01/2014   2,525,000 2,625,891

Bond Trust (continued)      
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Energy (continued)      
Petro-Canada      
6.05% due 05/15/2018 $ 2,980,000 $ 3,120,352
Petroleos Mexicanos      
4.875% due 03/15/2015 (g)   395,000 392,536
Plains All American Pipeline LP      
4.25% due 09/01/2012   2,000,000 2,056,030
6.50% due 05/01/2018   3,000,000 3,213,288
Questar Market Resources, Inc.      
6.80% due 03/01/2020   2,045,000 2,104,724
Spectra Energy Capital LLC      
6.20% due 04/15/2018   2,000,000 2,128,248
TEPPCO Partners LP      
6.65% due 04/15/2018   1,250,000 1,354,745
 
      32,608,753
 
Financial - 21.85%      
Aflac, Inc.      
8.50% due 05/15/2019   1,000,000 1,192,070
American Express Company      
7.00% due 03/19/2018   500,000 550,039
American Express Credit Corp., Series C      
7.30% due 08/20/2013   700,000 776,294
American Honda Finance Corp.      
7.625% due 10/01/2018 (g)   500,000 578,008
Bank of America Corp.      
5.65% due 05/01/2018   4,500,000 4,443,255
Bear Stearns Companies, Inc.      
7.25% due 02/01/2018   150,000 171,306
Beaver Valley Funding Corp.      
9.00% due 06/01/2017   700,000 715,449
Brandywine Operating Partnership LP      
7.50% due 05/15/2015   500,000 500,229
Capital One Financial Corp.      
7.375% due 05/23/2014   2,300,000 2,566,832
Caterpillar Financial Services Corp.      
7.05% due 10/01/2018   2,900,000 3,339,739
Charles Schwab Corp.      
4.95% due 06/01/2014   3,000,000 3,163,257
Chubb Corp.      
5.75% due 05/15/2018   130,000 142,597
Chuo Mitsui Trust & Banking Company      
5.506% due 12/29/2049 (g)   500,000 420,000
Citigroup, Inc.      
5.85% due 12/11/2034   185,000 158,796
6.125% due 11/21/2017   975,000 968,029
6.375% due 08/12/2014   670,000 692,706
CME Group, Inc.      
5.40% due 08/01/2013   3,000,000 3,243,102
5.75% due 02/15/2014   500,000 547,224
Credit Suisse New York      
5.30% due 08/13/2019   2,100,000 2,153,229
Dexus Finance Property, Ltd.      
7.125% due 10/15/2014 (g)   3,245,000 3,239,459
Discover Financial Services      
10.25% due 07/15/2019   1,650,000 1,888,537
Duke Realty LP      
8.25% due 08/15/2019   1,605,000 1,675,808
General Electric Capital Corp.      
5.875% due 01/14/2038   3,700,000 3,393,196

The accompanying notes are an integral part of the financial statements.
49



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Bond Trust (continued)      
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
General Electric Capital Corp., MTN      
6.00% due 08/07/2019 $ 500,000 $ 507,221
Goldman Sachs Group, Inc.      
5.125% due 01/15/2015   1,000,000 1,045,028
6.25% due 09/01/2017   2,000,000 2,115,186
6.75% due 10/01/2037   500,000 516,015
Healthcare Realty Trust, Inc.      
8.125% due 05/01/2011   300,000 314,007
Jefferies Group, Inc.      
8.50% due 07/15/2019   3,000,000 3,175,104
JPMorgan Chase & Company      
3.70% due 01/20/2015   4,000,000 3,964,724
4.65% due 06/01/2014   500,000 521,493
6.00% due 01/15/2018   500,000 536,663
Liberty Mutual Group, Inc.      
7.50% due 08/15/2036 (g)   2,800,000 2,364,471
Lincoln National Corp.      
8.75% due 07/01/2019   1,000,000 1,156,567
Mack-Cali Realty Corp.      
7.75% due 08/15/2019   1,400,000 1,442,552
Macquarie Group, Ltd.      
7.30% due 08/01/2014 (g)   2,025,000 2,162,340
Massachusetts Mutual Life Insurance Company      
5.625% due 05/15/2033   225,000 188,360
Merrill Lynch & Company, Inc.      
7.75% due 05/14/2038   500,000 563,460
Merrill Lynch & Company, Inc., MTN      
6.875% due 04/25/2018   2,700,000 2,839,582
Morgan Stanley, MTN      
6.625% due 04/01/2018   4,200,000 4,441,177
Nationwide Health Properties, Inc.      
6.50% due 07/15/2011   2,900,000 2,989,195
PNC Funding Corp.      
4.25% due 09/21/2015   990,000 993,891
Prologis      
5.50% due 03/01/2013   1,990,000 1,888,210
5.625% due 11/15/2015   500,000 454,355
Prudential Financial, Inc., MTN      
3.625% due 09/17/2012   2,375,000 2,389,656
5.15% due 01/15/2013   1,425,000 1,467,039
Rabobank Nederland      
11.00% due 06/29/2049 (g)   500,000 612,500
Simon Property Group LP      
5.625% due 08/15/2014   750,000 773,872
Simon Property Group LP, REIT      
6.75% due 05/15/2014   3,000,000 3,217,443
Teco Finance, Inc.      
7.00% due 05/01/2012   250,000 267,077
Unum Group      
7.125% due 09/30/2016   535,000 541,311
W.R. Berkley Corp.      
5.60% due 05/15/2015   4,015,000 3,900,516
Wachovia Bank NA      
5.85% due 02/01/2037   3,500,000 3,385,424
Wachovia Bank NA, BKNT      
6.60% due 01/15/2038   500,000 548,843
Wachovia Corp.      
4.875% due 02/15/2014   1,140,000 1,161,235

Bond Trust (continued)      
    Shares or  
    Principal  
    Amount Value

 
CORPORATE BONDS (continued)      
Financial (continued)      
WEA Finance LLC      
6.75% due 09/02/2019 (g) $ 2,060,000 $ 2,083,688
 
      91,047,366
 
Industrial - 2.23%      
Commercial Metals Company      
7.35% due 08/15/2018   150,000 158,366
CRH America, Inc.      
8.125% due 07/15/2018   250,000 281,085
CSX Corp.      
5.50% due 08/01/2013   500,000 536,135
GATX Corp.      
4.75% due 10/01/2012   4,000,000 4,024,308
General Electric Company      
5.00% due 02/01/2013   1,000,000 1,054,901
Holcim US Finance Sarl & Cie SCS      
6.00% due 12/30/2019 (g)   380,000 384,624
Ingersoll-Rand Global Holding Company, Ltd.    
6.00% due 08/15/2013   1,750,000 1,875,354
Republic Services, Inc.      
5.50% due 09/15/2019 (g)   250,000 257,539
Roper Industries, Inc.      
6.25% due 09/01/2019   45,000 46,713
Voto-Votorantim Overseas Trading Operations NV    
6.625% due 09/25/2019 (g)   690,000 686,625
 
      9,305,650
 
Technology - 0.54%      
Oracle Corp.      
5.75% due 04/15/2018   2,050,000 2,258,772
Utilities - 5.43%      
Allegheny Energy Supply Company LLC      
5.75% due 10/15/2019 (g)   3,430,000 3,427,599
Appalachian Power Company, Series K      
5.00% due 06/01/2017   3,005,000 3,003,098
Aquila, Inc.      
11.875% due 07/01/2012   325,000 375,298
Commonwealth Edison Company      
5.80% due 03/15/2018   3,700,000 3,997,206
Delmarva Power & Light Company      
6.40% due 12/01/2013   500,000 553,152
Dominion Resources, Inc., Series A      
5.60% due 11/15/2016   1,005,000 1,071,021
DTE Energy Company      
6.35% due 06/01/2016   3,000,000 3,088,248
Duke Energy Corp.      
6.30% due 02/01/2014   3,475,000 3,844,313
FirstEnergy Solutions Corp.      
4.80% due 02/15/2015 (g)   2,080,000 2,137,240
Oncor Electric Delivery Company      
6.375% due 05/01/2012   500,000 542,948
Sempra Energy      
8.90% due 11/15/2013   500,000 584,351
 
      22,624,474

 
TOTAL CORPORATE BONDS (Cost $225,594,683) $ 227,138,576


The accompanying notes are an integral part of the financial statements.
50



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Bond Trust (continued)      
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS - 8.64%      
American Tower Trust, Series 2007-1A, Class C      
5.6151% due 04/15/2037 $ 1,025,000 $ 994,250
Federal Home Loan Mortgage Corp., Series 3571,    
Class JA      
4.50% due 04/15/2023   17,694,000 18,328,496
Government National Mortgage Association, Series    
2009-42, Class DA      
5.00% due 07/20/2031   15,974,851 16,698,527

TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS  
(Cost $35,963,187)   $ 36,021,273

 
REPURCHASE AGREEMENTS - 5.62%      
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
23,400,007 on 10/01/209,      
collateralized by 21,850,000      
Federal Home Loan Mortgage      
Corp., 4.50% due 01/15/2013      
(valued at 23,871,125, including      
interest) $ 23,400,000 $ 23,400,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $23,400,000)   $ 23,400,000

 
SHORT TERM INVESTMENTS - 13.44%      
Federal Home Loan Bank Discount Notes      
0.001% due 10/01/2009 $ 20,000,000 $ 20,000,000
U.S. Treasury Bills      
0.014% due 10/15/2009   36,000,000 35,999,790

TOTAL SHORT TERM INVESTMENTS      
(Cost $55,999,790)   $ 55,999,790

Total Investments (Bond Trust)      
(Cost $503,443,404) - 121.45%   $ 506,114,839
Other assets and liabilities, net - (21.45)%     (89,379,772)
 
TOTAL NET ASSETS - 100.00%   $ 416,735,067
 
 
 
 
Capital Appreciation Trust      
    Shares or  
    Principal  
    Amount Value
 
 
COMMON STOCKS - 98.77%      
Basic Materials - 2.28%      
Monsanto Company   218,800 $ 16,935,120
Praxair, Inc.   49,100 4,010,979
 
      20,946,099
Communications - 16.81%      
Amazon.com, Inc. *   318,100 29,697,816
Baidu, Inc., SADR * (a)   28,300 11,066,715
Cisco Systems, Inc. *   982,865 23,136,642
Google, Inc., Class A *   95,407 47,307,561
QUALCOMM, Inc.   851,400 38,295,972
Tencent Holdings, Ltd.   324,100 5,201,805
 
      154,706,511

Capital Appreciation Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical - 12.72%    
Coach, Inc. 150,360 $ 4,949,851
Costco Wholesale Corp. 190,900 10,778,214
CVS Caremark Corp. 439,800 15,718,452
Johnson Controls, Inc. 248,300 6,346,548
Kohl's Corp. * 270,400 15,426,320
Marriott International, Inc., Class A 177,600 4,899,984
NIKE, Inc., Class B (a) 244,578 15,824,196
Starbucks Corp. * 275,000 5,678,750
Target Corp. 322,000 15,030,960
Tiffany & Company (a) 144,009 5,548,667
Walt Disney Company 614,400 16,871,424
 
    117,073,366
Consumer, Non-cyclical - 29.15%    
Abbott Laboratories 227,700 11,264,319
Alcon, Inc. 149,281 20,700,796
Amgen, Inc. * 73,200 4,408,836
Baxter International, Inc. (a) 391,400 22,313,714
Cadbury PLC, SADR 142,300 7,287,183
Celgene Corp. * 337,100 18,843,890
Colgate-Palmolive Company 207,000 15,789,960
Gilead Sciences, Inc. * 664,328 30,944,398
Illumina, Inc. * 32,500 1,381,250
Medco Health Solutions, Inc. * 425,600 23,539,936
Mylan, Inc. * (a) 387,600 6,205,476
PepsiCo, Inc. 307,865 18,059,361
Roche Holding AG, SADR 403,000 16,361,800
Shire Pharmaceuticals Group PLC, ADR 165,950 8,677,526
Talecris Biotherapeutics Holdings Corp. * 96,900 1,841,100
Teva Pharmaceutical Industries, Ltd., SADR 443,900 22,443,584
Unilever PLC, SADR 185,400 5,317,272
Vertex Pharmaceuticals, Inc. * 163,300 6,189,070
Visa, Inc. (a) 387,500 26,780,125
 
    268,349,596
Energy - 9.72%    
Occidental Petroleum Corp. 304,500 23,872,800
Petroleo Brasileiro SA, ADR (a) 337,600 15,495,840
Schlumberger, Ltd. 218,706 13,034,878
Southwestern Energy Company * 359,300 15,334,924
Suncor Energy, Inc. 263,400 9,103,104
Weatherford International, Ltd. * 611,200 12,670,176
 
    89,511,722
Financial - 7.66%    
Charles Schwab Corp. 708,669 13,571,011
Goldman Sachs Group, Inc. 161,790 29,825,987
JPMorgan Chase & Company 146,300 6,410,866
MasterCard, Inc., Class A (a) 102,500 20,720,375
 
    70,528,239
Industrial - 0.75%    
Precision Castparts Corp. 25,900 2,638,433
United Technologies Corp. 69,600 4,240,728
 
    6,879,161
Technology - 19.68%    
Adobe Systems, Inc. * 604,285 19,965,576
Agilent Technologies, Inc. * 366,705 10,205,400

The accompanying notes are an integral part of the financial statements.
51



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Capital Appreciation Trust (continued)  
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS (continued)      
Technology (continued)      
Analog Devices, Inc.   309,300 $ 8,530,494
Apple, Inc. *   218,366 40,478,506
Hewlett-Packard Company   356,800 16,844,528
International Business Machines Corp.   115,500 13,814,955
Microsoft Corp.   1,055,569 27,328,681
NetApp, Inc. *   325,300 8,679,004
Oracle Corp.   624,500 13,014,580
Salesforce.com, Inc. * (a)   146,800 8,357,324
SAP AG, SADR (a)   266,100 13,004,307
Shanda Games, Ltd., SADR *   80,700 944,190
 
      181,167,545

 
TOTAL COMMON STOCKS (Cost $802,997,137) $ 909,162,239

 
SECURITIES LENDING COLLATERAL - 11.58%  
Securities Lending Collateral - 11.58%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   10,648,380 106,590,286

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $106,596,638)   $ 106,590,286

 
REPURCHASE AGREEMENTS - 1.03%    
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$9,523,003 on 10/01/2009,      
collateralized by $9,610,000      
Federal National Mortgage      
Association, 4.72% due      
01/22/2018 (valued at $9,718,113,      
including interest) $ 9,523,000 $ 9,523,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $9,523,000)   $ 9,523,000

Total Investments (Capital Appreciation Trust)    
(Cost $919,116,775) - 111.38%   $ 1,025,275,525
Other assets and liabilities, net - (11.38)%   (104,794,975)
 
TOTAL NET ASSETS - 100.00%   $ 920,480,550
 
 
 
Capital Appreciation Value Trust    
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS - 64.23%      
Basic Materials - 0.10%      
Air Products & Chemicals, Inc.   4,200 $ 325,836
Communications - 5.26%      
Cablevision Systems Corp., Class A   210,800 5,006,500
Discovery Communications, Inc., Series A *   11,600 335,124
Discovery Communications, Inc., Series C *   46,000 1,197,380
Time Warner, Inc.   253,800 7,304,364
Vodafone Group PLC, SADR   154,400 3,474,000
 
      17,317,368
Consumer, Cyclical - 3.94%      
AutoZone, Inc. *   2,900 424,038

Capital Appreciation Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
CVS Caremark Corp. 71,400 $ 2,551,836
Kohl's Corp. * *** 17,600 1,004,080
Lowe's Companies, Inc. 176,500 3,695,910
McDonald's Corp. 43,200 2,465,424
Mitsubishi Corp. 51,700 1,038,316
Wal-Mart Stores, Inc. *** 36,700 1,801,603
 
    12,981,207
Consumer, Non-cyclical - 21.54%    
Allergan, Inc. 41,600 2,361,216
Altria Group, Inc. 35,600 634,036
Baxter International, Inc. 39,700 2,263,297
Becton, Dickinson & Company 14,300 997,425
C.R. Bard, Inc. 49,500 3,891,195
Campbell Soup Company 27,300 890,526
Cardinal Health, Inc. 48,800 1,307,840
CareFusion Corp. * 121,500 2,648,700
Covidien PLC 184,000 7,959,840
DENTSPLY International, Inc. 25,800 891,132
Fortune Brands, Inc. 3,800 163,324
General Mills, Inc. 50,900 3,276,942
H.J. Heinz Company *** 39,100 1,554,225
Henry Schein, Inc. * (a) 64,957 3,566,789
Johnson & Johnson 52,800 3,214,992
Kellogg Company 102,200 5,031,306
McKesson Corp. 36,800 2,191,440
PepsiCo, Inc. *** 77,700 4,557,882
Pfizer, Inc. *** 102,300 1,693,065
Philip Morris International, Inc. 137,000 6,677,380
Procter & Gamble Company *** 72,537 4,201,343
Stryker Corp. 36,400 1,653,652
The Coca-Cola Company *** 21,100 1,133,070
Western Union Company 235,400 4,453,768
Wyeth 75,300 3,658,074
 
    70,872,459
Energy - 8.99%    
CNX Gas Corp. * 100,300 3,079,210
Entergy Corp. 55,100 4,400,286
Exxon Mobil Corp. *** 116,700 8,006,787
Japan Petroleum Exploration Company, Ltd. 17,300 877,074
Murphy Oil Corp. 27,700 1,594,689
Oil States International, Inc. * 15,600 548,028
Spectra Energy Corp. 309,000 5,852,460
Williams Companies, Inc. 292,000 5,218,040
 
    29,576,574
Financial - 8.65%    
Ameriprise Financial, Inc. 78,600 2,855,538
Aon Corp. (a) 126,800 5,159,492
Bank of America Corp. 190,165 3,217,592
JPMorgan Chase & Company 118,700 5,201,434
State Street Corp. 52,300 2,750,980
The St. Joe Company * (a) 44,400 1,292,928
U.S. Bancorp 39,300 859,098
Wells Fargo & Company (a) 117,400 3,308,332
White Mountains Insurance Group, Ltd. 12,440 3,819,204
 
    28,464,598

The accompanying notes are an integral part of the financial statements.
52



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial - 9.28%    
3M Company 50,100 $ 3,697,380
Actuant Corp., Class A 100 1,606
Danaher Corp. 103,200 6,947,424
Goodrich Corp. 79,200 4,303,728
Lockheed Martin Corp. 56,200 4,388,096
Mettler-Toledo International, Inc. * 14,200 1,286,378
Northrop Grumman Corp. 23,600 1,221,300
Roper Industries, Inc. 14,000 713,720
Toyota Industries Corp. 23,400 637,593
Tyco Electronics, Ltd. * 140,300 3,125,884
Tyco International, Ltd. 59,400 2,048,112
United Technologies Corp. 35,500 2,163,015
 
    30,534,236
Technology - 1.84%    
Electronic Arts, Inc. * 51,300 977,265
International Business Machines Corp. 20,900 2,499,849
Microsoft Corp. *** 99,500 2,576,055
 
    6,053,169
Utilities - 4.63%    
American Electric Power Company, Inc. 105,800 3,278,742
CenterPoint Energy, Inc. 173,200 2,152,876
FPL Group, Inc. 18,300 1,010,709
NV Energy, Inc. 119,400 1,383,846
OGE Energy Corp. 87,500 2,894,500
PG&E Corp. 49,100 1,988,059
Sempra Energy 50,600 2,520,386
 
    15,229,118

TOTAL COMMON STOCKS (Cost $173,246,165) $ 211,354,565

 
PREFERRED STOCKS - 0.29%    
Communications - 0.05%    
Crown Castle International Corp., 6.25% 2,832 148,623
Consumer, Non-cyclical - 0.15%    
Heinz (H.J.) Finance Company, 8.00% (g) 4 411,125
Newell Financial Trust I, 5.25% 2,400 84,900
 
    496,025
Energy - 0.02%    
Goodrich Petroleum Corp., Series B, 5.375% 1,500 71,716
Financial - 0.02%    
AMG Capital Trust I, 5.10% 560 20,586
Aspen Insurance Holdings, Ltd., Series AHL,    
5.625% 1,000 50,750
 
    71,336
Utilities - 0.05%    
NRG Energy, Inc., 4.00% 112 159,174

TOTAL PREFERRED STOCKS (Cost $817,738) $ 946,874

 
TERM LOANS - 3.11%    
Basic Materials - 0.51%    
Ashland, Inc.    
7.65% due 05/20/2014 (b) 177,272 180,855
Georgia Pacific Corp., Tranche A    
2.34% due 12/20/2010 (b) 161,887 155,512

Capital Appreciation Value Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
TERM LOANS (continued)      
Basic Materials (continued)      
Georgia-Pacific Corp., Term Loan B      
2.34% due 12/20/2010 (b) $ 1,395,150 $ 1,340,216
 
      1,676,583
 
Communications - 1.70%      
Charter Communications Operating LLC      
9.25% due 03/06/2014 (b)   498,737 475,047
CSC Holdings, Inc.      
1.27% due 02/24/2012 (b)   418,919 404,780
2.0831% due 03/29/2013 (b)   498,711 477,828
DirecTV Holdings LLC, Term B      
5.25% due 03/06/2010 (b)   1,488,722 1,460,277
Discovery Communications, Inc.      
5.25% due 05/14/2014 (b)   748,125 759,908
Weather Channel, Tranche B      
7.25% due 07/25/2015 (b)   1,989,981 2,021,489
 
      5,599,329
 
Consumer, Cyclical - 0.24%      
MGM Mirage, Inc. Tranche B      
6.00% due 03/11/2011 (b)   852,576 780,107
Consumer, Non-cyclical - 0.48%      
Boston Scientific Corp.      
2.35% due 04/21/2011 (b)   185,841 180,846
HCA, Inc., Term Loan A1      
2.3475% due 11/18/2012 (b)   373,570 349,194
Invitrogen Corp., Tranche B      
5.25% due 06/11/2015 (b)   594,375 597,585
Lear Corp.      
3.3375% due 03/23/2012 (b)   500,000 449,688
 
      1,577,313
 
Financial - 0.18%      
Nuveen Investments, Inc.      
3.49% due 11/09/2014 (b)   681,308 587,968

TOTAL TERM LOANS (Cost $9,569,855)   $ 10,221,300

 
CORPORATE BONDS - 15.09%      
Basic Materials - 0.45%      
Freeport-McMoRan Copper & Gold, Inc.      
4.995% due 04/01/2015 (b)   75,000 75,152
Georgia-Pacific LLC      
8.25% due 05/01/2016 (g)   200,000 207,500
Newmont Mining Corp.      
1.25% due 07/15/2014   105,000 124,950
Teck Resources, Ltd.      
9.75% due 05/15/2014   300,000 330,000
10.75% due 05/15/2019   200,000 232,500
United States Steel Corp.      
4.00% due 05/15/2014   311,000 494,490
 
      1,464,592
 
Communications - 2.88%      
American Tower Corp., Series WI      
7.00% due 10/15/2017   1,000,000 1,025,000
AOL Time Warner, Inc.      
6.875% due 05/01/2012   888,000 977,528
CC Holdings GS V LLC      
7.75% due 05/01/2017 (g)   825,000 853,875

The accompanying notes are an integral part of the financial statements.
53



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Capital Appreciation Value Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Communications (continued)      
Crown Castle International Corp.      
9.00% due 01/15/2015 $ 2,925,000 $ 3,063,938
CSC Holdings, Inc., Series B      
7.625% due 04/01/2011   15,000 15,562
DirecTV Holdings LLC      
5.875% due 10/01/2019 (g)   85,000 85,098
Harris Corp.      
6.375% due 06/15/2019   75,000 82,778
Liberty Media LLC      
3.125% due 03/30/2023   208,000 205,920
MetroPCS Wireless, Inc.      
9.25% due 11/01/2014   75,000 76,688
9.25% due 11/01/2014   275,000 281,188
SBA Communications Corp.      
1.875% due 05/01/2013   141,000 129,776
SBA Telecommunications, Inc.      
8.00% due 08/15/2016 (g)   100,000 102,250
8.25% due 08/15/2019 (g)   75,000 77,250
Sirius XM Radio, Inc.      
9.75% due 09/01/2015 (g)   225,000 229,500
Sprint Capital Corp.      
6.90% due 05/01/2019   25,000 22,375
8.375% due 03/15/2012   125,000 129,063
Time Warner, Inc.      
0.6844% due 11/13/2009 (b)   1,124,000 1,124,284
Verizon Wireless Capital LLC      
3.025% due 05/20/2011 (b)(g)   475,000 491,400
3.75% due 05/20/2011 (g)   165,000 170,235
XM Satellite Radio, Inc.      
11.25% due 06/15/2013 (g)   325,000 339,625
 
      9,483,333
 
Consumer, Cyclical - 1.74%      
American Airlines Pass Through Trust 2009-1A    
10.375% due 07/02/2019   120,000 130,800
Continental Airlines, Inc.      
9.00% due 07/08/2016   315,000 333,900
Group 1 Automotive, Inc.      
2.25% due 06/15/2036   1,091,000 759,609
Home Depot, Inc.      
0.42% due 12/16/2009 (b)   1,779,280 1,778,330
4.625% due 08/15/2010   59,000 60,698
5.40% due 03/01/2016   575,000 601,155
Hyatt Hotels Corp.      
6.875% due 08/15/2019 (g)   299,000 306,817
MGM Mirage, Inc.      
10.375% due 05/15/2014 (g)   75,000 80,063
11.125% due 11/15/2017 (g)   100,000 110,000
Penske Auto Group, Inc.      
3.50% due 04/01/2026   691,000 727,277
United Auto Group, Inc.      
7.75% due 12/15/2016   20,000 18,450
Walgreen Company      
4.875% due 08/01/2013   117,000 126,119
5.25% due 01/15/2019   255,000 277,220
Wal-Mart Stores, Inc.      
3.20% due 05/15/2014   150,000 153,151
6.50% due 08/15/2037   210,000 245,093
 
      5,708,682

Capital Appreciation Value Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Consumer, Non-cyclical - 2.58%      
Beckman Coulter, Inc.      
6.00% due 06/01/2015 $ 120,000 $ 130,910
7.00% due 06/01/2019   120,000 137,597
Becton, Dickinson & Company      
5.00% due 05/15/2019   115,000 121,463
CareFusion Corp.      
6.375% due 08/01/2019 (g)   240,000 260,294
Fortune Brands, Inc.      
6.375% due 06/15/2014   485,000 503,921
Johnson & Johnson      
5.95% due 08/15/2037   560,000 637,639
Kellogg Company      
4.45% due 05/30/2016   400,000 418,353
5.125% due 12/03/2012   120,000 130,260
Kraft Foods, Inc.      
6.125% due 02/01/2018   247,000 261,741
Millipore Corp.      
3.75% due 06/01/2026   3,046,000 3,167,840
Procter & Gamble Company      
5.50% due 02/01/2034   215,000 226,892
Valeant Pharmaceuticals International      
4.00% due 11/15/2013   16,000 17,220
William Wrigley Jr. Company      
6.50% due 07/15/2010 (b)   2,443,671 2,479,104
 
      8,493,234
 
Energy - 2.71%      
Anadarko Petroleum Corp.      
8.70% due 03/15/2019   120,000 143,479
Boardwalk Pipelines LP      
5.75% due 09/15/2019   240,000 239,608
Buckeye Partners LP      
5.50% due 08/15/2019   275,000 281,072
ConocoPhillips      
6.50% due 02/01/2039   310,000 357,351
Devon Energy Corp.      
6.30% due 01/15/2019   155,000 171,009
EOG Resources, Inc.      
5.625% due 06/01/2019   590,000 645,884
Forest Oil Corp.      
8.50% due 02/15/2014 (g)   250,000 251,875
Goodrich Petroleum Corp.      
3.25% due 12/01/2026   61,000 56,654
Gulfstream Natural Gas System LLC      
6.95% due 06/01/2016 (g)   135,000 148,239
Hess Corp.      
7.00% due 02/15/2014   235,000 262,245
8.125% due 02/15/2019   240,000 288,323
Magellan Midstream Partners LP      
6.55% due 07/15/2019   55,000 61,117
Oil States International, Inc.      
2.375% due 07/01/2025   1,042,000 1,335,062
Peabody Energy Corp.      
6.875% due 03/15/2013   75,000 75,750
PetroHawk Energy Corp.      
10.50% due 08/01/2014   400,000 430,000
Pride International, Inc.      
8.50% due 06/15/2019   170,000 187,000

The accompanying notes are an integral part of the financial statements.
54



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Capital Appreciation Value Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Energy (continued)      
Questar Market Resources, Inc.      
6.80% due 03/01/2020 $ 120,000 $ 123,505
Quicksilver Resources, Inc.      
11.75% due 01/01/2016   375,000 413,437
Range Resources Corp.      
8.00% due 05/15/2019   200,000 205,000
Shell International Finance BV      
6.375% due 12/15/2038   515,000 611,538
Southeast Supply Header LLC      
4.85% due 08/15/2014   118,000 120,140
Spectra Energy Capital LLC      
5.65% due 03/01/2020   125,000 128,154
StatoilHydro ASA      
5.25% due 04/15/2019   515,000 556,717
Tennessee Gas Pipeline Company      
8.00% due 02/01/2016   550,000 624,250
Williams Companies, Inc.      
8.75% due 01/15/2020   700,000 804,751
XTO Energy, Inc.      
6.50% due 12/15/2018   105,000 115,916
6.75% due 08/01/2037   240,000 266,984
 
      8,905,060
 
Financial - 1.65%      
BP Capital Markets PLC      
4.75% due 03/10/2019   245,000 257,588
Host Hotels & Resorts LP      
2.625% due 04/15/2027 (g)   2,076,000 1,907,325
Janus Capital Group, Inc.      
6.95% due 06/15/2017   675,000 642,320
Kreditanstalt Fuer Wiederaufbau      
4.875% due 06/17/2019   2,419,000 2,630,454
 
      5,437,687
 
Government - 0.14%      
Province of Ontario Canada      
0.875% due 05/22/2012 (b)   470,000 474,985
Industrial - 0.63%      
Agilent Technologies, Inc.      
5.50% due 09/14/2015   120,000 123,436
BAE Systems Holdings, Inc.      
6.375% due 06/01/2019 (g)   230,000 253,784
Ball Corp.      
7.375% due 09/01/2019   125,000 126,875
Honeywell International, Inc.      
5.00% due 02/15/2019   165,000 173,685
Republic Services, Inc.      
5.50% due 09/15/2019 (g)   144,000 148,343
Roper Industries, Inc.      
6.25% due 09/01/2019   375,000 389,274
Silgan Holdings, Inc.      
7.25% due 08/15/2016 (g)   100,000 101,000
Tyco Electronics Group SA      
6.00% due 10/01/2012   475,000 502,540
6.55% due 10/01/2017   250,000 261,705
 
      2,080,642
 
Technology - 1.47%      
Analog Devices, Inc.      
5.00% due 07/01/2014   610,000 640,896

Capital Appreciation Value Trust (continued)  
    Shares or  
    Principal  
    Amount Value

 
CORPORATE BONDS (continued)      
Technology (continued)      
Linear Technology Corp., Series A      
3.00% due 05/01/2027 $ 4,349,000 $ 4,196,785
 
      4,837,681
Utilities - 0.84%      
Atmos Energy Corp.      
8.50% due 03/15/2019   95,000 117,284
Black Hills Corp.      
9.00% due 05/15/2014   95,000 107,669
Calpine Construction Finance Company LP      
8.00% due 06/01/2016 (g)   750,000 768,750
CILCORP, Inc.      
8.70% due 10/15/2009   5,000 5,000
Dominion Resources, Inc.      
5.20% due 08/15/2019   135,000 140,173
Duke Energy Corp.      
6.30% due 02/01/2014   205,000 226,787
Kansas Gas & Electric Company      
6.70% due 06/15/2019 (g)   220,000 251,914
Nisource Finance Corp.      
0.9769% due 11/23/2009 (b)   261,000 260,803
Pacific Gas & Electric Company      
1.2519% due 06/10/2010 (b)   310,000 311,732
Public Service Company of Colorado      
5.125% due 06/01/2019   220,000 235,842
Southern Company      
4.15% due 05/15/2014   45,000 46,486
Virginia Electric and Power Company      
6.00% due 01/15/2036   270,000 297,882
 
      2,770,322

TOTAL CORPORATE BONDS (Cost $45,205,250) $ 49,656,218

 
CONVERTIBLE BONDS - 1.49%      
Basic Materials - 0.03%      
Newmont Mining Corp.      
1.625% due 07/15/2017   83,000 97,006
Communications - 0.31%      
JDS Uniphase Corp.      
1.00% due 05/15/2026   1,053,000 884,520
Lucent Technologies, Inc., Series B      
2.875% due 06/15/2025   18,000 15,288
VeriSign, Inc.      
3.25% due 08/15/2037   119,000 103,233
 
      1,003,041
 
Energy - 0.68%      
Peabody Energy Corp.      
4.75% due 12/15/2066   2,098,000 1,846,240
Quicksilver Resources, Inc.      
1.875% due 11/01/2024   350,000 396,375
 
      2,242,615
Financial - 0.09%      
General Growth Properties LP      
3.98% due 04/15/2027 ^ (g)   21,000 14,175
NASDAQ OMX Group, Inc.      
2.50% due 08/15/2013   313,000 272,701
 
      286,876

The accompanying notes are an integral part of the financial statements.
55



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
    Shares or  
    Principal  
    Amount Value

 
CONVERTIBLE BONDS (continued)      
Industrial - 0.09%      
SunPower Corp.      
4.75% due 04/15/2014 $ 239,000 $ 307,115
Technology - 0.29%      
Xilinx, Inc.      
3.125% due 03/15/2037   1,100,000 966,625

TOTAL CONVERTIBLE BONDS (Cost $4,403,149) $ 4,903,278

 
OPTIONS - 0.00%      
Call Options - 0.00%      
Johnson & Johnson      
Expiration 01/16/2010 at $65.00 *   100 65
Wellpoint, Inc.      
Expiration 01/16/2010 at $50.00 *   5,000 15,750
 
      15,815

 
TOTAL OPTIONS (Cost $17,751)   $ 15,815

 
SECURITIES LENDING COLLATERAL - 3.25%    
Securities Lending Collateral - 3.25%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   1,067,834 10,689,019

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $10,689,240)   $ 10,689,019

 
SHORT TERM INVESTMENTS - 15.38%      
JPMorgan Chase & Company      
0.5331% due 12/26/2012 (b) $ 1,481,000 $ 1,493,336
T. Rowe Price Reserve Investment Fund,      
0.3011%   49,124,037 49,124,037

TOTAL SHORT TERM INVESTMENTS      
(Cost $50,605,037)   $ 50,617,373

 
REPURCHASE AGREEMENTS - 0.15%      
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$507,079 on 10/01/2009,      
collateralized by $520,000 Federal      
National Mortgage Association,      
4.72% due 01/22/2018 (valued at      
$521,950, including interest) $ 507,079 $ 507,079

TOTAL REPURCHASE AGREEMENTS      
(Cost $507,079)   $ 507,079

Total Investments (Capital Appreciation Value Trust)  
(Cost $295,061,264) - 102.99%   $ 338,911,521
Other assets and liabilities, net - (2.99)%     (9,835,089)
 
TOTAL NET ASSETS - 100.00%   $ 329,076,432
 

Core Allocation Trust      
  Shares or  
  Principal  
  Amount Value

 
INVESTMENT COMPANIES - 100.05%      
Intermediate Bond - 13.01%      
Total Bond Market A (Declaration) (i) 201,506 $ 2,788,846
International Large Cap - 10.30%      
International Index (MFC Global U.S.A.) (i) 133,674 2,209,624
Moderate Allocation - 60.03%      
Core Allocation Plus (Wellington) 1,250,884 12,871,600
U.S. Large Cap - 11.11%      
500 Index (MFC Global U.S.A.) (i)(j) 259,395 2,381,246
U.S. Mid Cap - 4.60%      
Mid Cap Index (MFC Global U.S.A.) (i)   72,667 986,823
U.S. Small Cap - 1.00%      
Small Cap Index (MFC Global U.S.A.) (i)   19,827 214,527

TOTAL INVESTMENT COMPANIES (Cost $20,155,164) $ 21,452,666

Total Investments (Core Allocation Trust)      
(Cost $20,155,164) - 100.05%   $ 21,452,666
Other assets and liabilities, net - (0.05)%     (9,830)
 
TOTAL NET ASSETS - 100.00%   $ 21,442,836
 
 
 
Core Allocation Plus Trust      
  Shares or  
  Principal  
  Amount Value

 
COMMON STOCKS - 62.09%      
Basic Materials - 8.30%      
Agnico Eagle Mines, Ltd.   5,700 $ 386,745
Anglo American PLC *   18,043 574,365
AngloGold Ashanti, Ltd., SADR   15,200 619,552
ArcelorMittal (a)   23,000 854,220
Barrick Gold Corp.   9,000 341,100
BHP Billiton, Ltd., SADR (a)   26,000 1,716,260
Biogen Idec, Inc. *   3,800 191,976
Cameco Corp.   21,200 589,360
Eastman Chemical Company   4,300 230,222
Eli Lilly & Company (a)   28,920 955,228
Fortescue Metals Group, Ltd. * 143,057 479,374
Freeport-McMoRan Copper & Gold, Inc.,      
Class B   22,225 1,524,857
Fresnillo PLC   9,517 117,357
Gerdau SA, SADR   84,500 1,135,680
Goldcorp, Inc.   15,300 617,661
JSW Steel, Ltd.   18,293 316,351
Lubrizol Corp.   4,880 348,725
Mechel Steel Group, ADR   25,100 451,298
Monsanto Company   840 65,016
Nucor Corp.   1,600 75,216
PPG Industries, Inc. (a)   1,290 75,091
Shin-Etsu Chemical Company, Ltd.   3,000 183,366
The Mosaic Company   26,100 1,254,627
Thyssen Krupp AG   11,139 383,660
United States Steel Corp. (a)   38,100 1,690,497
Vale SA   21,200 490,356
Xstrata PLC *   64,717 953,096
 
      16,621,256

The accompanying notes are an integral part of the financial statements.
56



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Allocation Plus Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Communications - 8.46%    
Advanced Info Service PCL 165,000 $ 465,467
Alibaba.com, Ltd. * 154,500 356,390
Amazon.com, Inc. * 9,020 842,107
AT&T, Inc. 36,900 996,669
Baidu, Inc., SADR * 1,275 498,589
Cisco Systems, Inc. * 23,270 547,776
Comcast Corp., Class A 10,370 175,149
Comverse Technology, Inc. * 136,500 1,194,375
Corning, Inc. 12,100 185,251
DIRECTV Group, Inc. * (a) 4,030 111,147
DISH Network Corp. * 5,020 96,685
eBay, Inc. * 19,400 458,034
Expedia, Inc. * 6,640 159,028
Genius Products, Inc. * 16 3
Google, Inc., Class A * 1,270 629,730
Harris Corp. 4,100 154,160
JDS Uniphase Corp. * 20,810 147,959
KDDI Corp. 63 354,376
KT Corp. 11,970 412,232
LG Telecom, Ltd. 14,980 108,395
MCOT PCL 37,200 26,723
ModusLink Global Solutions, Inc. * 29,100 235,419
Motorola, Inc. 45,500 390,845
Netease.com, Inc., ADR * (a) 9,700 443,096
Perfect World Co, Ltd. * 5,200 250,120
QUALCOMM, Inc. 4,790 215,454
Qwest Communications International, Inc. (a) 19,300 73,533
Reed Elsevier NV 27,013 305,089
Shanda Interactive Entertainment, Ltd. * (a) 17,900 916,480
SINA Corp. * 17,800 675,688
SK Telecom Company, Ltd. 4,484 696,739
Softbank Corp. 28,900 630,949
Sohu.com, Inc. * 5,800 398,924
Sonus Networks, Inc. * 192,000 407,040
Sprint Nextel Corp. * 31,900 126,005
Symantec Corp. * 14,940 246,062
Tellabs, Inc. * 24,630 170,440
Tencent Holdings, Ltd. 23,900 384,315
Time Warner, Inc. 13,303 382,860
VeriSign, Inc. * 29,240 692,696
Verizon Communications, Inc. 14,600 441,942
Viacom, Inc., Class B * 3,410 95,616
Vodafone Group PLC 179,915 403,805
ZTE Corp., Class H 86,400 453,270
 
    16,956,632
Consumer, Cyclical - 5.01%    
AutoNation, Inc. * (a) 3,800 68,704
AutoZone, Inc. * 800 116,976
Belle International Holdings, Ltd., GDR 92,000 93,368
Best Buy Company, Inc. 2,800 105,056
Big Lots, Inc. * 4,530 113,340
China Dongxiang Group Company 457,000 302,420
Cintas Corp. 4,600 139,426
Coach, Inc. 7,100 233,732
CVS Caremark Corp. 2,260 80,772
Darden Restaurants, Inc. 3,100 105,803

Core Allocation Plus Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Dufry Group AG * 4,854 $ 271,885
Family Dollar Stores, Inc. 2,900 76,560
Ford Motor Company * 187,350 1,350,793
Goodyear Tire & Rubber Company * 2,800 47,684
Huabao International Holdings, Ltd. 382,000 409,343
International Game Technology 22,000 472,560
J.C. Penney Company, Inc. 14,600 492,750
Kangwon Land, Inc. 23,320 343,865
Kinross Gold Corp. 22,100 479,570
Kohl's Corp. * 2,690 153,464
Li & Fung, Ltd. 58,000 236,570
Limited Brands, Inc. 31,600 536,884
Macy's, Inc. 7,500 137,175
Mattel, Inc. 19,400 358,124
McDonald's Corp. 4,180 238,553
Mitsui & Company, Ltd. 24,600 320,160
Mohawk Industries, Inc. * 1,300 61,997
Navistar International Corp. * 1,390 52,014
Nordstrom, Inc. 2,470 75,434
Office Depot, Inc. * 13,600 90,032
Polo Ralph Lauren Corp., Class A 1,200 91,944
RadioShack Corp. 4,600 76,222
Ross Stores, Inc. 1,900 90,763
Starbucks Corp. * 20,600 425,390
The Gap, Inc. 6,870 147,018
TJX Companies, Inc. 1,900 70,585
Walgreen Company 3,270 122,527
Wal-Mart Stores, Inc. 22,140 1,086,853
Wynn Macau, Ltd. * 32,000 41,620
XTEP International Holdings 680,500 325,465
 
    10,043,401
Consumer, Non-cyclical - 9.10%    
Abbott Laboratories 12,840 635,195
Acco Brands Corp. * 7,200 51,984
Alkermes, Inc. * 14,700 135,093
Allergan, Inc. 1,600 90,816
Altria Group, Inc. 22,730 404,821
Amgen, Inc. * 8,500 511,955
Apollo Group, Inc., Class A * 3,200 235,744
Archer-Daniels-Midland Company 14,640 427,781
AstraZeneca Group PLC 3,523 157,959
AstraZeneca PLC, SADR (a) 4,800 215,760
Avery Dennison Corp. 2,840 102,268
Avon Products, Inc. 8,700 295,452
Becton, Dickinson & Company 1,720 119,970
Boston Scientific Corp. * 4,780 50,620
Bristol-Myers Squibb Company 27,540 620,201
Bunge, Ltd. 750 46,957
Cardinal Health, Inc. 14,300 383,240
Cephalon, Inc. * 3,400 198,016
China Yurun Food Group, Ltd 138,000 297,051
Colgate-Palmolive Company 2,840 216,635
ConAgra Foods, Inc. 1,700 36,856
Coventry Health Care, Inc. * 3,600 71,856
Cubist Pharmaceuticals, Inc. * 7,700 155,540
Daiichi Sankyo Company, Ltd. 8,900 183,605

The accompanying notes are an integral part of the financial statements.
57



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Allocation Plus Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Dun & Bradstreet Corp. 1,000 $ 75,320
Eisai Company, Ltd. 6,800 254,853
Gilead Sciences, Inc. * 4,140 192,841
H & R Block, Inc. 10,710 196,850
Hansen Natural Corp. * 2,790 102,505
Health Net, Inc. * 9,400 144,760
Healthsouth Corp. * 8,095 126,606
Humana, Inc. * 4,100 152,930
Intuitive Surgical, Inc. * 540 141,615
ITT Educational Services, Inc. * (a) 800 88,328
Japan Tobacco, Inc. 59 200,912
Jiangsu Expressway, Ltd. 370,000 302,232
Johnson & Johnson 21,000 1,278,690
Kimberly-Clark Corp. 5,420 319,672
Kirin Brewery Company, Ltd. 13,000 198,711
McKesson Corp. 2,250 133,987
Medtronic, Inc. 4,285 157,688
Merck & Company, Inc. (a) 10,070 318,514
Moody's Corp. 3,200 65,472
New Oriental Education & Technology Group * 4,500 362,025
OSI Pharmaceuticals, Inc. * 5,900 208,270
People's Food Holdings, Ltd. 124,000 66,548
PepsiCo, Inc. 7,550 442,883
Pfizer, Inc. 72,600 1,201,530
Philip Morris International, Inc. 11,090 540,527
Procter & Gamble Company 11,840 685,773
Qinetiq PLC 121,991 274,504
R.R. Donnelley & Sons Company 12,700 270,002
Raffles Education Corp., Ltd. 514,000 184,612
Ralcorp Holdings, Inc. * 2,900 169,563
Reynolds American, Inc. 2,600 115,752
Safeway, Inc. 2,640 52,061
Sanofi-Aventis SA, ADR 9,000 332,550
Sanofi-Aventis SA 308 22,612
Sara Lee Corp. 7,090 78,983
Shionogi & Company, Ltd. 9,600 226,726
Smithfield Foods, Inc. * (a) 20,400 281,520
SUPERVALU, Inc. 7,470 112,498
Sysco Corp. 4,710 117,044
The Coca-Cola Company 3,650 196,005
The Kroger Company 3,660 75,542
Tingyi Cayman Islands Holding Corp. 120,000 247,858
UnitedHealth Group, Inc. 25,590 640,774
Watson Pharmaceuticals, Inc. * 2,450 89,768
WellPoint, Inc. * 6,490 307,366
Western Union Company 23,200 438,944
Whole Foods Market, Inc. * (a) 2,750 83,848
Wyeth 6,300 306,054
 
    18,230,003
Diversified - 0.37%    
Beijing Enterprises Holdings, Ltd. 99,500 521,567
Groupe Bruxelles Lambert SA 2,356 217,779
 
    739,346
Energy - 6.34%    
Anadarko Petroleum Corp. 4,700 294,831

Core Allocation Plus Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Energy (continued)    
Apache Corp. 2,710 $ 248,859
BJ Services Company 5,700 110,751
Bumi Resources Tbk PT 1,295,500 431,880
Cameron International Corp. * 17,250 652,395
Canadian Natural Resources, Ltd. 8,200 553,738
Chevron Corp. 11,840 833,891
ConocoPhillips Company 15,240 688,238
CONSOL Energy, Inc. 34,540 1,558,100
Diamond Offshore Drilling, Inc. 8,980 857,770
Entergy Corp. 4,280 341,801
Exxon Mobil Corp. 20,685 1,419,198
Hess Corp. 2,100 112,266
Marathon Oil Corp. 3,815 121,699
Murphy Oil Corp. 2,640 151,985
Nabors Industries, Ltd. * 5,500 114,950
National Oilwell Varco, Inc. * 6,010 259,211
Noble Corp. 3,400 129,064
Noble Energy, Inc. 4,500 296,820
Occidental Petroleum Corp. 3,370 264,208
Peabody Energy Corp. 4,460 166,001
Petroleo Brasileiro SA, ADR 27,100 1,243,890
Schlumberger, Ltd. 1,300 77,480
Southwestern Energy Company * 3,890 166,025
Total SA 7,683 457,381
Ultra Petroleum Corp. * 1,510 73,930
Weatherford International, Ltd. * 52,300 1,084,179
 
    12,710,541
Financial - 9.73%    
Aetna, Inc. 5,000 139,150
AFLAC, Inc. 1,200 51,288
Allstate Corp. 7,500 229,650
American Express Company 5,040 170,856
Annaly Capital Management, Inc., REIT 12,410 225,117
Bangkok Bank PCL, Foreign Shares 88,400 325,291
Bank of America Corp. 58,394 988,026
Bank of China, Ltd. 2,317,000 1,212,065
Bank of New York Mellon Corp. 12,100 350,779
BB&T Corp. 2,340 63,742
BlackRock, Inc. 340 73,719
BR Malls Participacoes SA * 8,100 95,558
China Construction Bank Corp. 616,000 490,178
China Merchants Bank Company, Ltd. 263,000 581,283
China Overseas Land & Investment, Ltd. 380,000 815,026
Chubb Corp. 1,530 77,127
CIGNA Corp. 3,400 95,506
Citigroup, Inc. 14,900 72,116
CME Group, Inc. 500 154,095
Comerica, Inc. 1,900 56,373
Deutsche Boerse AG 2,634 215,272
Fidelity National Financial, Inc., Class A 4,200 63,336
Fidelity National Information Services, Inc. 1,670 42,602
First Horizon National Corp. * 13,574 179,590
Goldman Sachs Group, Inc. 3,370 621,259
Hartford Financial Services Group, Inc. 10,700 283,550
Hudson City Bancorp, Inc. 26,160 344,004
Huntington Bancshares, Inc. 25,100 118,221

The accompanying notes are an integral part of the financial statements.
58



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Allocation Plus Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
IntercontinentalExchange, Inc. * 700 $ 68,033
Itau Unibanco Holding SA 49,600 999,440
JPMorgan Chase & Company 23,530 1,031,085
Kotak Mahindra Bank, Ltd. 15,046 243,709
Lincoln National Corp. 11,900 308,329
Link, REIT 70,688 155,882
Lloyds TSB Group PLC * 441,652 733,394
Loews Corp. 2,470 84,597
Marsh & McLennan Companies, Inc. 22,800 563,844
MasterCard, Inc., Class A 880 177,892
MetLife, Inc. 3,600 137,052
Morgan Stanley 11,340 350,179
New York Community Bancorp, Inc. (a) 12,700 145,034
NYSE Euronext 2,840 82,048
Oversea-Chinese Banking Corp., Ltd. 41,101 227,608
Popular, Inc. 90,800 256,964
Prudential Financial, Inc. 2,700 134,757
Public Storage, Inc., REIT 3,320 249,797
Resolution, Ltd. * 199,546 295,784
Singapore Exchange, Ltd. 167,000 992,123
State Street Corp. 960 50,496
TD Ameritrade Holding Corp. * 5,000 98,100
The Travelers Companies, Inc. 5,140 253,042
Transatlantic Holdings, Inc. 1,600 80,272
U.S. Bancorp 3,400 74,324
UBS AG - Swiss Exchange * 42,800 784,454
UBS AG * 42,900 785,499
Unum Group 8,090 173,450
Washington Mutual, Inc. * 11,428 2,520
Wells Fargo & Company (a) 47,210 1,330,378
White Mountains Insurance Group, Ltd. 1,060 325,431
XL Capital, Ltd., Class A 9,100 158,886
 
    19,489,182
Industrial - 6.17%    
3M Company 4,020 296,676
Anhui Conch Cement Company, Ltd., Class H 46,000 304,207
BAE Systems PLC 63,500 354,377
Belden, Inc. 41,100 949,410
Bemis Company, Inc. 2,800 72,548
Boeing Company 970 52,525
C.H. Robinson Worldwide, Inc. 1,860 107,415
Caterpillar, Inc. (a) 5,500 282,315
China Railway Group, Ltd. * 882,000 753,082
China Resources Cement Holdings, Ltd. * 282,000 141,909
Cooper Industries PLC * 1,850 69,504
CSX Corp. 1,730 72,418
Dover Corp. 1,400 54,264
East Japan Railway Company 4,300 308,795
Emerson Electric Company 1,350 54,108
Flowserve Corp. 1,700 167,518
Fluor Corp. 31,810 1,617,538
Garmin, Ltd. (a) 2,100 79,254
General Dynamics Corp. 6,650 429,590
General Electric Company 41,790 686,192
Hanjin Shipping Company, Ltd. 11,760 204,243
Heidelbergcement AG 5,873 381,005

Core Allocation Plus Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
ITT Corp. 2,900 $ 151,235
Jacobs Engineering Group, Inc. * 2,380 109,361
Jaiprakash Associates, Ltd. 94,131 464,493
Joy Global, Inc. 2,300 112,562
Kingboard Laminates Holdings, Ltd. 224,500 144,064
Lockheed Martin Corp. 1,960 153,037
Meggitt PLC 47,721 177,876
Metallurgical Corp. of China, Ltd. * 204,000 138,456
Mitsui O.S.K. Lines, Ltd. 28,000 164,865
MTR Corp., Ltd. 99,000 341,471
Norfolk Southern Corp. 2,160 93,118
Northrop Grumman Corp. 7,460 386,055
Precision Castparts Corp. (a) 1,530 155,861
Raytheon Company 4,440 212,987
Safran SA 14,293 267,836
Singapore Post, Ltd. 185,000 121,289
Terex Corp. * 9,700 201,081
Thermo Fisher Scientific, Inc. * 1,400 61,138
Tyco International, Ltd. 3,420 117,922
Union Pacific Corp. 820 47,847
United Parcel Service, Inc., Class B 3,350 189,174
United Technologies Corp. 7,700 469,161
Vinci SA 5,143 291,482
Viterra, Inc. * 20,761 207,096
Waste Management, Inc. 4,940 147,311
 
    12,365,671
Technology - 7.62%    
Accenture PLC * 8,590 320,149
Affiliated Computer Services, Inc., Class A * 1,000 54,170
Apple, Inc. * 12,790 2,370,882
Broadcom Corp., Class A * 3,400 104,346
CA, Inc. 3,320 73,007
Computer Sciences Corp. * 5,330 280,944
Dell, Inc. * 14,750 225,085
Electronic Arts, Inc. * 23,100 440,055
EMC Corp. * 37,800 644,112
Emulex Corp. * 40,900 420,861
Fiserv, Inc. * 1,000 48,200
Hewlett-Packard Company 9,240 436,220
Intel Corp. 18,500 362,045
International Business Machines Corp. 9,920 1,186,531
L-3 Communications Holdings, Inc. 1,970 158,230
LSI Logic Corp. * 30,020 164,810
Marvell Technology Group, Ltd. * 2,980 48,246
Maxim Integrated Products, Inc. 56,800 1,030,352
MEMC Electronic Materials, Inc. * 32,100 533,823
Micron Technology, Inc. * 10,220 83,804
Microsoft Corp. 45,050 1,166,345
National Semiconductor Corp. 9,170 130,856
NVIDIA Corp. * 82,700 1,242,981
Oracle Corp. 5,690 118,580
Research In Motion, Ltd. * 11,500 776,825
Salesforce.com, Inc. * 2,500 142,325
Samsung Electronics Company, Ltd., GDR (g) 1,077 372,483
SanDisk Corp. * 5,500 119,350
Seagate Technology 35,900 546,039

The accompanying notes are an integral part of the financial statements.
59



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Allocation Plus Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Technology (continued)    
Taiwan Semiconductor    
Manufacturing Company, Ltd. 107,508 $ 215,831
Teradata Corp. * 3,660 100,723
Teradyne, Inc. * 10,000 92,500
Texas Instruments, Inc. 10,400 246,376
Total Systems Services, Inc. 10,600 170,766
VMware, Inc., Class A * 11,600 465,972
Western Digital Corp. * 2,700 98,631
Wolfson Microelectronics PLC * 99,051 218,848
Xerox Corp. 7,800 60,372
 
    15,271,675
Utilities - 0.99%    
AES Corp. * 5,380 79,731
Ameren Corp. 11,900 300,832
CenterPoint Energy, Inc. 6,610 82,162
Energen Corp. 1,840 79,304
Exelon Corp. 6,500 322,530
FirstEnergy Corp. 3,780 172,822
NiSource, Inc. 18,140 251,965
PPL Corp. 5,000 151,700
Public Service Enterprise Group, Inc. 3,390 106,582
Snam Rete Gas SpA 70,768 344,461
Xcel Energy, Inc. 4,260 81,962
 
    1,974,051

 
TOTAL COMMON STOCKS (Cost $107,514,449) $ 124,401,758

 
PREFERRED STOCKS - 0.01%    
Financial - 0.01%    
Capital One Capital V, 10.25% * 20,000 22,100

TOTAL PREFERRED STOCKS (Cost $19,769) $ 22,100

 
WARRANTS - 0.00%    
Financial - 0.00%    
Washington Mutual, Inc.    
(Expiration Date 04/14/2013, Strike    
Price USD 10.06) * 1,429 0

TOTAL WARRANTS (Cost $0) $ 0

 
U.S. TREASURY OBLIGATIONS - 6.40%    
U.S. Treasury Bonds - 5.42%    
2.625% due 04/30/2016 950,000 937,680
4.25% due 05/15/2039 350,000 362,086
4.375% due 02/15/2038 *** 175,000 184,352
5.25% due 11/15/2028 400,000 464,375
5.50% due 08/15/2028 350,000 417,539
6.25% due 08/15/2023 *** 300,000 376,031
7.25% due 05/15/2016 to 08/15/2022 2,430,000 3,183,822
7.50% due 11/15/2016 725,000 934,627
8.75% due 05/15/2017 to 08/15/2020 2,775,000 4,003,230
 
    10,863,742
U.S. Treasury Notes - 0.98%    
3.125% due 08/31/2013 1,150,000 1,205,254

Core Allocation Plus Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
U.S. TREASURY OBLIGATIONS      
(continued)      
U.S. Treasury Notes (continued)      
4.50% due 11/30/2011 $ 710,000 $ 762,363
 
      1,967,617

 
TOTAL U.S. TREASURY OBLIGATIONS    
(Cost $12,727,632)   $ 12,831,359

 
U.S. GOVERNMENT AGENCY OBLIGATIONS - 2.07%  
Federal Home Loan Mortgage Corp. - 1.10%    
4.50% due 10/01/2038   185,603 188,040
5.00% due 02/01/2038   828,900 857,652
5.125% due 10/18/2016   400,000 445,012
5.25% due 04/18/2016   300,000 334,625
5.50% due 10/01/2038   366,291 384,061
 
      2,209,390
 
Federal National Mortgage      
Association - 0.65%      
4.50% TBA **   225,000 227,883
4.875% due 12/15/2016   200,000 219,596
5.50% due 02/01/2038   288,951 302,800
6.00% due 05/15/2011   500,000 541,363
 
      1,291,642
 
Government National Mortgage      
Association - 0.32%      
5.00% due 04/15/2036 to 04/15/2038   620,026 643,993

TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS  
(Cost $4,049,551)   $ 4,145,025

 
FOREIGN GOVERNMENT OBLIGATIONS - 0.28%  
Brazil - 0.28%      
Federative Republic of Brazil      
5.875% due 01/15/2019   200,000 214,000
7.125% due 01/20/2037   30,000 35,775
10.00% due 01/01/2017 BRL 600,000 305,619
 
      555,394

 
TOTAL FOREIGN GOVERNMENT OBLIGATIONS  
(Cost $463,411)   $ 555,394

 
CORPORATE BONDS - 12.00%      
Basic Materials - 0.31%      
Arcelormittal      
6.125% due 06/01/2018 $ 170,000 167,477
Cytec Industries, Inc.      
6.00% due 10/01/2015   50,000 48,919
Potash Corp. of Saskatchewan, Inc.      
4.875% due 03/30/2020   175,000 174,799
Rio Tinto Finance USA, Ltd.      
6.50% due 07/15/2018   125,000 134,417
Weyerhaeuser Company      
6.75% due 03/15/2012   20,000 20,836
7.375% due 10/01/2019   75,000 74,816
 
      621,264
 
Communications - 2.21%      
AT&T Wireless Services, Inc.      
7.875% due 03/01/2011   50,000 54,262
8.75% due 03/01/2031   60,000 79,480

The accompanying notes are an integral part of the financial statements.
60



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Allocation Plus Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Communications (continued)      
AT&T, Inc.      
5.50% due 02/01/2018 $ 150,000 $ 156,506
6.30% due 01/15/2038   300,000 314,293
British Telecommunications PLC      
9.125% due 12/15/2010   30,000 32,300
9.625% due 12/15/2030   50,000 64,054
CBS Corp.      
8.20% due 05/15/2014   95,000 103,420
Comcast Cable Communications LLC      
8.50% due 05/01/2027   50,000 58,132
Comcast Corp.      
6.45% due 03/15/2037   300,000 317,667
COX Communications, Inc.      
5.45% due 12/15/2014   80,000 85,938
8.375% due 03/01/2039 (g)   80,000 98,686
Deutsche Telekom International Finance BV      
8.75% due 06/15/2030   100,000 129,502
DirecTV Holdings LLC      
4.75% due 10/01/2014 (g)   25,000 25,101
France Telecom SA      
8.50% due 03/01/2031   100,000 138,268
News America Holdings, Inc.      
9.25% due 02/01/2013   10,000 11,747
News America, Inc.      
6.15% due 03/01/2037   75,000 73,384
7.28% due 06/30/2028   140,000 143,114
Rogers Communications, Inc.      
6.80% due 08/15/2018   165,000 185,172
Rogers Wireless, Inc.      
7.25% due 12/15/2012   50,000 56,514
Telecom Italia Capital SA      
5.25% due 11/15/2013   175,000 184,090
6.00% due 09/30/2034   100,000 97,487
6.20% due 07/18/2011   50,000 53,246
Telefonica Europe BV      
7.75% due 09/15/2010   140,000 148,091
Thomson Reuters Corp.      
4.70% due 10/15/2019   175,000 174,596
Time Warner Cable, Inc.      
5.85% due 05/01/2017   75,000 79,076
6.55% due 05/01/2037   40,000 42,502
6.75% due 07/01/2018   100,000 110,476
8.25% due 02/14/2014   50,000 58,266
Time Warner Companies, Inc.      
9.125% due 01/15/2013   50,000 58,061
Time Warner, Inc.      
7.625% due 04/15/2031   150,000 168,111
Verizon Communications, Inc.      
5.55% due 02/15/2016   50,000 54,140
6.40% due 02/15/2038   50,000 53,425
6.90% due 04/15/2038   50,000 56,943
8.75% due 11/01/2018   210,000 262,343
8.95% due 03/01/2039   25,000 34,249
Verizon Wireless Capital LLC      
5.55% due 02/01/2014 (g)   165,000 178,312
8.50% due 11/15/2018 (g)   35,000 43,702
Viacom, Inc.      
5.625% due 09/15/2019   180,000 182,954
6.125% due 10/05/2017   30,000 32,123

Core Allocation Plus Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Communications (continued)      
Viacom, Inc. (continued)      
6.25% due 04/30/2016 $ 75,000 $ 80,892
Vodafone Group PLC      
5.45% due 06/10/2019   140,000 145,770
 
      4,426,395
 
Consumer, Cyclical - 0.26%      
Continental Airlines, Inc., Series 974A      
6.90% due 01/02/2018   47,481 44,157
CVS Caremark Corp.      
6.125% due 08/15/2016   50,000 54,817
DaimlerChrysler NA Holding Corp.      
7.30% due 01/15/2012   50,000 53,940
Southwest Airlines Company, Series 07-1      
6.15% due 08/01/2022   23,372 23,372
Staples, Inc.      
9.75% due 01/15/2014   70,000 84,087
Yum! Brands, Inc.      
5.30% due 09/15/2019   260,000 261,171
 
      521,544
 
Consumer, Non-cyclical - 1.52%      
Altria Group, Inc.      
9.70% due 11/10/2018   165,000 204,939
10.20% due 02/06/2039   25,000 34,702
AmerisourceBergen Corp.      
5.875% due 09/15/2015   75,000 80,777
Amgen, Inc.      
6.40% due 02/01/2039   40,000 45,851
6.90% due 06/01/2038   100,000 121,734
Anheuser-Busch InBev Worldwide, Inc.      
7.75% due 01/15/2019 (g)   175,000 207,070
BAT International Finance PLC      
9.50% due 11/15/2018 (g)   15,000 19,455
Bottling Group LLC      
5.125% due 01/15/2019   45,000 47,955
Cargill, Inc.      
5.60% due 09/15/2012 (g)   150,000 160,958
Coca-Cola Enterprises, Inc.      
7.375% due 03/03/2014   145,000 170,237
Companhia de Bebidas das Americas      
8.75% due 09/15/2013   60,000 70,200
Dr. Pepper Snapple Group, Inc.      
6.82% due 05/01/2018   85,000 96,627
Express Scripts, Inc.      
6.25% due 06/15/2014   60,000 65,937
General Mills, Inc.      
5.20% due 03/17/2015   5,000 5,406
5.65% due 02/15/2019   25,000 27,076
Kellogg Company      
4.45% due 05/30/2016   100,000 104,588
Kraft Foods, Inc.      
6.75% due 02/19/2014   40,000 44,625
6.875% due 02/01/2038   70,000 77,061
Kroger Company      
6.20% due 06/15/2012   50,000 54,587
6.75% due 04/15/2012   25,000 27,496
McKesson Corp.      
7.50% due 02/15/2019   5,000 5,970

The accompanying notes are an integral part of the financial statements.
61



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Allocation Plus Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Consumer, Non-cyclical (continued)      
Merck & Company, Inc.      
4.00% due 06/30/2015 $ 125,000 $ 131,342
Novartis Securities Investment, Ltd.      
5.125% due 02/10/2019   45,000 47,905
PepsiCo, Inc.      
7.90% due 11/01/2018   65,000 82,077
Pfizer, Inc.      
6.20% due 03/15/2019   170,000 191,613
Philip Morris International, Inc.      
5.65% due 05/16/2018   195,000 207,561
President and Fellows of Harvard College      
5.625% due 10/01/2038   100,000 108,542
Princeton University      
5.70% due 03/01/2039   40,000 44,024
Quest Diagnostics, Inc.      
6.95% due 07/01/2037   150,000 172,034
Roche Holdings, Inc.      
6.00% due 03/01/2019 (g)   150,000 166,971
SABMiller PLC      
6.50% due 07/01/2016 (g)   100,000 108,390
UnitedHealth Group, Inc.      
6.00% due 02/15/2018   75,000 78,813
WellPoint, Inc.      
7.00% due 02/15/2019   30,000 34,103
 
      3,046,626
 
Energy - 0.59%      
Burlington Resources Finance Company      
7.40% due 12/01/2031   25,000 30,128
Canadian Natural Resources, Ltd.      
4.90% due 12/01/2014   50,000 52,503
ConocoPhillips      
4.60% due 01/15/2015   85,000 90,720
5.90% due 05/15/2038   70,000 74,852
Enterprise Products Operating LLC      
5.25% due 01/31/2020   110,000 109,922
Kinder Morgan Energy Partners LP      
5.80% due 03/01/2021   210,000 213,326
6.50% due 02/01/2037   50,000 50,831
6.85% due 02/15/2020   100,000 109,223
Marathon Oil Corp.      
6.50% due 02/15/2014   65,000 71,577
NGPL PipeCo LLC      
6.514% due 12/15/2012 (g)   140,000 153,594
TransCanada Pipelines, Ltd.      
7.625% due 01/15/2039   35,000 44,661
XTO Energy, Inc.      
5.50% due 06/15/2018   175,000 180,597
 
      1,181,934
 
Financial - 5.18%      
ACE Capital Trust II      
9.70% due 04/01/2030   75,000 74,675
Aflac, Inc.      
8.50% due 05/15/2019   65,000 77,485
American Express Company      
7.25% due 05/20/2014   120,000 134,828
American Express Credit Corp.      
5.125% due 08/25/2014   130,000 134,474

Core Allocation Plus Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
AvalonBay Communities, Inc., MTN      
6.10% due 03/15/2020 $ 285,000 $ 294,795
Bank of America Corp.      
5.65% due 05/01/2018   415,000 409,767
5.75% due 12/01/2017   60,000 59,891
Bank of New York Mellon Corp.      
4.30% due 05/15/2014   60,000 63,537
Barclays Bank PLC      
6.75% due 05/22/2019   120,000 134,212
Bear Stearns Companies, Inc.      
5.35% due 02/01/2012   15,000 15,934
6.40% due 10/02/2017   115,000 125,105
6.95% due 08/10/2012   25,000 27,830
Brandywine Operating Partnership LP      
7.50% due 05/15/2015   125,000 125,057
Capital One Financial Corp.      
7.375% due 05/23/2014   20,000 22,320
Charles Schwab Corp.      
4.95% due 06/01/2014   55,000 57,993
CIT Group, Inc.      
7.625% due 11/30/2012 ^   40,000 26,052
Citigroup, Inc.      
5.50% due 08/27/2012   100,000 102,997
6.125% due 11/21/2017   75,000 74,464
6.50% due 08/19/2013   245,000 257,189
6.875% due 03/05/2038   150,000 150,455
Countrywide Financial Corp.      
4.50% due 06/15/2010   20,000 20,211
Credit Suisse New York      
6.00% due 02/15/2018   300,000 314,087
Everest Reinsurance Holdings, Inc.      
8.75% due 03/15/2010   50,000 51,334
General Electric Capital Corp.      
4.80% due 05/01/2013   225,000 233,569
6.75% due 03/15/2032   90,000 91,883
General Electric Capital Corp., MTN      
6.875% due 01/10/2039   15,000 15,710
General Electric Capital Corp., Series GMTN    
2.00% due 09/28/2012   515,000 517,870
Goldman Sachs Group, Inc.      
6.00% due 05/01/2014   90,000 97,878
6.15% due 04/01/2018   295,000 310,314
6.25% due 09/01/2017   85,000 89,895
6.75% due 10/01/2037   180,000 185,766
7.50% due 02/15/2019   110,000 125,798
HCP, Inc.      
5.65% due 12/15/2013   130,000 128,613
HSBC Finance Corp.      
4.75% due 07/15/2013   50,000 50,828
HSBC Holdings PLC      
6.80% due 06/01/2038   300,000 336,633
HSBC Holdings PLC, EMTN      
0.775% due 10/06/2016 (b)   150,000 142,575
Iberdrola Finance Ireland, Ltd.      
5.00% due 09/11/2019 (g)   115,000 115,811
International Lease Finance Corp.      
5.625% due 09/15/2010   50,000 47,714
John Deere Capital Corp.      
5.10% due 01/15/2013   70,000 75,763

The accompanying notes are an integral part of the financial statements.
62



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Allocation Plus Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
JPMorgan Chase & Company      
3.70% due 01/20/2015 $ 175,000 $ 173,457
5.375% due 10/01/2012   50,000 53,799
6.00% due 01/15/2018   345,000 370,297
6.125% due 06/27/2017   100,000 105,396
6.40% due 05/15/2038   250,000 279,886
Kimco Realty Corp.      
6.875% due 10/01/2019   120,000 122,731
Lazard Group LLC      
6.85% due 06/15/2017   135,000 133,072
Liberty Property LP      
7.25% due 03/15/2011   30,000 31,172
Merrill Lynch & Company, Inc.      
5.45% due 07/15/2014   110,000 114,501
5.45% due 02/05/2013   100,000 103,692
6.40% due 08/28/2017   55,000 55,702
Merrill Lynch & Company, Inc., MTN      
6.875% due 04/25/2018   165,000 173,530
MetLife, Inc.      
5.00% due 06/15/2015   150,000 156,645
Metropolitan Life Global Funding I      
5.125% due 04/10/2013 (g)   25,000 25,921
Morgan Stanley      
5.30% due 03/01/2013   300,000 314,350
Morgan Stanley Dean Witter      
6.60% due 04/01/2012   75,000 81,502
Morgan Stanley, MTN      
6.00% due 04/28/2015   100,000 105,897
6.625% due 04/01/2018   100,000 105,742
Principal Financial Group, Inc.      
6.05% due 10/15/2036   175,000 161,901
Prudential Financial, Inc., MTN      
4.75% due 09/17/2015   120,000 119,158
5.15% due 01/15/2013   115,000 118,393
Realty Income Corp.      
6.75% due 08/15/2019   210,000 204,536
Royal Bank of Scotland Group PLC      
6.375% due 02/01/2011   125,000 125,088
Simon Property Group LP, REIT      
5.30% due 05/30/2013   45,000 46,007
5.60% due 09/01/2011   110,000 114,504
6.75% due 05/15/2014   120,000 128,698
The Royal Bank of Scotland PLC      
4.875% due 08/25/2014 (g)   160,000 162,459
UFJ Finance Aruba AEC      
6.75% due 07/15/2013   100,000 111,123
United Dominion Realty Trust, Inc.      
6.05% due 06/01/2013   30,000 30,392
Unitrin, Inc.      
6.00% due 05/15/2017   25,000 20,327
Unum Group      
7.125% due 09/30/2016   10,000 10,118
Wachovia Corp.      
5.75% due 06/15/2017   180,000 190,165
Wachovia Corp., MTN      
5.50% due 05/01/2013   195,000 208,644
WEA Finance LLC      
7.125% due 04/15/2018 (g)   135,000 140,731
7.50% due 06/02/2014 (g)   100,000 107,770

Core Allocation Plus Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
Wells Fargo & Company      
4.95% due 10/16/2013 $ 240,000 $ 246,583
Wells Fargo & Company, Series I      
3.75% due 10/01/2014   150,000 149,249
Westpac Banking Corp.      
4.20% due 02/27/2015   150,000 152,457
 
      10,376,907
 
Industrial - 0.18%      
General Electric Company      
5.25% due 12/06/2017   280,000 287,350
Holcim US Finance Sarl & Cie SCS      
6.00% due 12/30/2019 (g)   70,000 70,852
 
      358,202
 
Technology - 0.21%      
International Business Machines Corp.      
5.70% due 09/14/2017   100,000 110,208
L-3 Communications Corp.      
5.20% due 10/15/2019 (g)   120,000 119,898
Oracle Corp.      
6.125% due 07/08/2039   125,000 140,750
Xerox Corp.      
6.35% due 05/15/2018   50,000 51,981
 
      422,837
 
Utilities - 1.54%      
Carolina Power & Light Company      
5.30% due 01/15/2019   55,000 59,566
6.50% due 07/15/2012   40,000 44,226
CenterPoint Energy Houston Electric LLC, Series U    
7.00% due 03/01/2014   45,000 51,141
CenterPoint Energy Transition Bond Company    
LLC, Series A-2      
4.97% due 08/01/2014   43,087 45,327
CenterPoint Energy Transition Bond Company    
LLC, Series A-4      
5.17% due 08/01/2019   28,000 30,432
CenterPoint Energy, Inc.      
6.50% due 05/01/2018   70,000 69,955
Commonwealth Edison Company      
5.95% due 08/15/2016   150,000 163,548
Dominion Resources, Inc.      
6.40% due 06/15/2018   70,000 78,360
Duke Energy Corp.      
5.65% due 06/15/2013   160,000 171,414
EDP Finance BV      
4.90% due 10/01/2019 (g)   115,000 115,822
Electricite de France SA      
6.95% due 01/26/2039 (g)   75,000 92,922
Enel Finance International SA      
6.80% due 09/15/2037 (g)   175,000 203,131
Georgia Power Company      
5.25% due 12/15/2015   165,000 178,369
Midamerican Energy Holdings Company      
6.125% due 04/01/2036   75,000 80,958
Midamerican Energy Holdings Company, MTN    
5.125% due 01/15/2013   100,000 105,876
NiSource Finance Corp.      
6.40% due 03/15/2018   75,000 74,860

The accompanying notes are an integral part of the financial statements.
63



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Allocation Plus Trust (continued)  
    Shares or  
    Principal  
    Amount Value

 
CORPORATE BONDS (continued)      
Utilities (continued)      
Northern States Power Company      
6.25% due 06/01/2036 $ 35,000 $ 40,551
Ohio Edison Company      
6.875% due 07/15/2036   60,000 68,717
Oncor Electric Delivery Company      
7.50% due 09/01/2038   45,000 57,958
Potomac Electric Power Company      
6.50% due 11/15/2037   125,000 143,781
PPL Electric Utilities Corp.      
6.25% due 05/15/2039   20,000 22,825
Public Service Company of Colorado      
5.125% due 06/01/2019   165,000 176,881
Puget Sound Energy, Inc.      
5.757% due 10/01/2039   70,000 71,392
San Diego Gas & Electric Company      
6.00% due 06/01/2039   35,000 40,087
Sempra Energy      
6.50% due 06/01/2016   115,000 127,126
Southern California Edison Company      
6.00% due 01/15/2034   150,000 169,819
Taqa Abu Dhabi National Energy Company      
6.50% due 10/27/2036 (g)   150,000 144,834
Union Electric Company      
6.40% due 06/15/2017   75,000 82,846
6.70% due 02/01/2019   75,000 84,646
Virginia Electric and Power Company      
8.875% due 11/15/2038   100,000 142,249
Wisconsin Energy Corp.      
6.20% due 04/01/2033   15,000 16,482
Wisconsin Power and Light Company      
5.00% due 07/15/2019   125,000 128,804
 
      3,084,905

 
TOTAL CORPORATE BONDS (Cost $22,095,086) $ 24,040,614

 
MUNICIPAL BONDS - 0.33%      
California - 0.05%      
University of California      
5.77% due 05/15/2043   85,000 91,271
Illinois - 0.05%      
Illinois State Toll Highway Authority      
6.184% due 01/01/2034   95,000 106,380
Missouri - 0.06%      
Curators University Missouri System Facilities    
Revenue      
5.96% due 11/01/2039   110,000 121,968
New Jersey - 0.06%      
New Jersey State Turnpike Authority      
7.414% due 01/01/2040   100,000 123,718
New York - 0.02%      
Port Authority of New York & New Jersey      
6.04% due 12/01/2029   45,000 49,684
Texas - 0.09%      
North Texas Tollway Authority      
6.718% due 01/01/2049   155,000 178,256

TOTAL MUNICIPAL BONDS (Cost $593,579) $ 671,277


Core Allocation Plus Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS - 3.23%      
Banc of America Commercial Mortgage, Inc.,    
Series 2005-2, Class A5      
4.857% due 07/10/2043 (b) $ 260,000 $ 255,448
Banc of America Commercial Mortgage, Inc.,    
Series 2006-2, Class A4      
5.9286% due 05/10/2045 (b)   175,000 168,235
Banc of America Commercial Mortgage, Inc.,    
Series 2005-6, Class A4      
5.351% due 09/10/2047 (b)   185,000 179,985
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2004-T16, Class A6      
4.75% due 02/13/2046 (b)   75,000 74,333
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2005-PWR9, Class A4A      
4.871% due 09/11/2042   250,000 236,362
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2007-T26, Class A4      
5.471% due 01/12/2045 (b)   300,000 278,125
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2006-PW11, Class A4      
5.6225% due 03/11/2039 (b)   225,000 217,203
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2006-PW12, Class A4      
5.9029% due 09/11/2038 (b)   255,000 247,563
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2006-PW13, Class A4      
5.54% due 09/11/2041   245,000 233,851
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2006-T24, Class A4      
5.537% due 10/12/2041   300,000 286,023
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2007-PW17, Class A4      
5.694% due 06/11/2050 (b)   300,000 264,731
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2007-T28, Class A4      
5.742% due 09/11/2042 (b)   195,000 182,479
Commercial Mortgage Pass Through Certificates,    
Series 2006-C7, Class A4      
5.9607% due 06/10/2046 (b)   249,000 238,197
Credit Suisse Mortgage Capital Certificates, Series    
2006-C1, Class A4      
5.5482% due 02/15/2039 (b)   300,000 283,279
Crown Castle Towers LLC, Series 2005-1A, Class B    
4.878% due 06/15/2035 (g)   25,000 25,000
Greenwich Capital Commercial Funding Corp,    
Series 2004-GG1, Class A7      
5.317% due 06/10/2036 (b)   70,000 70,831
Greenwich Capital Commercial Funding Corp,    
Series 2005-GG3, Class A4      
4.799% due 08/10/2042 (b)   300,000 287,901
GS Mortgage Securities Corp. II, Series 2005-GG4,    
Class A4A      
4.751% due 07/10/2039   300,000 281,249
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2006-LDP7, Class A4      
6.0652% due 04/15/2045 (b)   250,000 232,491
JPMorgan Chase Commercial Mortgage      
Securities Corp., Series 2005-LDP4, Class A4    
4.918% due 10/15/2042 (b)   175,000 172,075

The accompanying notes are an integral part of the financial statements.
64



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Allocation Plus Trust (continued)  
    Shares or  
    Principal  
    Amount Value

 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
LB-UBS Commercial Mortgage Trust, Series    
2007-C7, Class A3      
5.866% due 09/15/2045 (b) $ 300,000 $ 264,761
LB-UBS Commercial Mortgage Trust,      
Series 2006-C4, Class A4      
6.0799% due 06/15/2038 (b)   160,000 151,496
Merrill Lynch Mortgage Trust, Series 2006-C1,    
Class A4      
5.6561% due 05/12/2039 (b)   100,000 93,875
Morgan Stanley Capital I, Series 2005-T17, Class A5    
4.78% due 12/13/2041   300,000 292,942
Morgan Stanley Capital I, Series 2005-T19, Class    
A4A      
4.89% due 06/12/2047   250,000 245,883
Morgan Stanley Capital I, Series 2006-IQ11, Class    
A4      
5.9415% due 10/15/2042 (b)   185,000 174,228
Morgan Stanley Capital I, Series 2006-IQ12, Class    
A4      
5.332% due 12/15/2043   140,000 125,339
Morgan Stanley Capital I, Series 2006-T21, Class A4    
5.162% due 10/12/2052 (b)   100,000 95,035
Morgan Stanley Capital I, Series 2008-T29, Class A4    
6.4579% due 01/11/2043 (b)   230,000 223,109
Morgan Stanley Dean Witter Capital I,      
Series 2001-TOP1, Class A4      
6.66% due 02/15/2033   61,361 63,475
Morgan Stanley Dean Witter Capital I,      
Series 2001-TOP3, Class A4      
6.39% due 06/15/2011   78,984 82,328
Morgan Stanley Dean Witter      
Capital I, Series 2002-TOP7, Class A2      
5.98% due 01/15/2039   180,000 188,935
Prudential Commercial Mortgage Trust,      
Series 2003-PWR1, Class A2      
4.493% due 02/11/2036   70,000 70,544
Wachovia Bank Commercial Mortgage Trust,    
Series 2005-C18, Class A4      
4.935% due 04/15/2042   100,000 97,919
Wachovia Bank Commercial Mortgage Trust,    
Series 2005-C20, Class A7      
5.118% due 07/15/2042 (b)   85,000 82,788

TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS  
(Cost $6,007,161)   $ 6,468,018

 
ASSET BACKED SECURITIES - 0.19%      
Aesop Funding II LLC      
5.68% due 02/20/2014 (g)   235,000 234,985
Capital Auto Receivables Asset Trust,      
Series 2006-2, Class A3A      
4.98% due 05/15/2011   5,564 5,647
Chase Issuance Trust, Series 2005-A4, Class A4    
4.23% due 01/15/2013   64,000 65,453
USAA Auto Owner Trust, Series 2006-4, Class A4    
4.98% due 10/15/2012   69,000 71,438

TOTAL ASSET BACKED SECURITIES      
(Cost $372,586)   $ 377,523


Core Allocation Plus Trust (continued)  
    Shares or    
    Principal    
    Amount   Value

 
OPTIONS - 0.12%        
Call Options - 0.12%        
Housing Development Financial Corp.        
Expiration 06/29/2010 at $6.70 *    35,559 $ 238,169

TOTAL OPTIONS (Cost $179,354)     $ 238,169

 
SECURITIES LENDING COLLATERAL - 3.00%      
Securities Lending Collateral - 3.00%        
John Hancock Collateral        
Investment Trust, 0.2762% (c)(f)   601,036   6,016,375

TOTAL SECURITIES LENDING COLLATERAL      
(Cost $6,016,565)     $ 6,016,375

 
REPURCHASE AGREEMENTS - 12.34%      
Repurchase Agreement with State        
Street Corp. dated 09/30/2009 at        
0.01% to be repurchased at        
$24,735,007 on 10/01/2009,        
collateralized by $23,910,000        
Federal Home Loan Bank, 3.625%        
due 07/01/2011 (valued at        
$25,234,614, including interest) $ 24,735,000  $ 24,735,000

TOTAL REPURCHASE AGREEMENTS        
(Cost $24,735,000)     $ 24,735,000

Total Investments (Core Allocation Plus Trust)      
(Cost $184,774,143) - 102.06%     $ 204,502,612
Other assets and liabilities, net - (2.06)%       (4,131,362)
 
TOTAL NET ASSETS - 100.00%     $ 200,371,250
 
 
 
 
Core Balanced Trust        
    Shares or    
    Principal    
    Amount   Value

 
INVESTMENT COMPANIES - 100.03%      
Intermediate Bond - 13.00%        
Total Bond Market A (Declaration) (i)   331,183  $ 4,583,567
International Large Cap - 5.62%        
International Index (MFC Global U.S.A.) (i) 119,896   1,981,881
Investment Companies - 60.01%        
Balanced (T. Rowe Price)   1,445,830   21,152,491
U.S. Large Cap - 18.60%        
500 Index (MFC Global U.S.A.) (i)(j)   714,300   6,557,272
U.S. Mid Cap - 1.40%        
Mid Cap Index (MFC Global U.S.A.) (i)    36,344 493,558
U.S. Small Cap - 1.40%        
Small Cap Index (MFC Global U.S.A.) (i)    45,615 493,558

TOTAL INVESTMENT COMPANIES (Cost $32,659,578) $ 35,262,327

 
Total Investments (Core Balanced Trust)      
(Cost $32,659,578) - 100.03%     $ 35,262,327
Other assets and liabilities, net - (0.03)%       (9,583)
 
TOTAL NET ASSETS - 100.00%     $ 35,252,744
 

The accompanying notes are an integral part of the financial statements.
65



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Balanced Strategy Trust      
    Shares or    
    Principal    
    Amount   Value

 
INVESTMENT COMPANIES - 103.15%      
Intermediate Bond - 51.57%        
Total Bond Market A (Declaration) (i)    12,903  $ 178,584
International Large Cap - 13.67%        
International Index (MFC Global U.S.A.) * (i)  2,863 47,325
U.S. Large Cap - 25.27%        
500 Index (MFC Global U.S.A.) (i)(j)    9,532 87,506
U.S. Mid Cap - 8.00%        
Mid Cap Index (MFC Global U.S.A.) (i)    2,038 27,680
U.S. Small Cap - 4.64%        
Small Cap Index (MFC Global U.S.A.) (i)    1,485 16,073

TOTAL INVESTMENT COMPANIES (Cost $357,358) $ 357,168

 
Total Investments (Core Balanced Strategy Trust)      
(Cost $357,358) - 103.15%     $ 357,168
Other assets and liabilities, net - (3.15)%       (10,895)
 
TOTAL NET ASSETS - 100.00%     $ 346,273
 
 
 
 
Core Bond Trust        
    Shares or    
    Principal    
    Amount   Value

 
U.S. TREASURY OBLIGATIONS - 17.25%      
U.S. Treasury Bonds - 2.34%        
3.50% due 02/15/2039 $ 12,732,000  $ 11,534,403
4.25% due 05/15/2039    3,239,000 3,350,846
4.50% due 08/15/2039    4,552,000 4,907,625
6.25% due 05/15/2030    934,000 1,222,372
8.875% due 02/15/2019    965,000 1,395,330
 
        22,410,576
U.S. Treasury Notes - 14.91%        
0.875% due 05/31/2011   39,560,000   39,654,271
1.00% due 07/31/2011 to 08/31/2011    2,686,000 2,693,123
1.375% due 09/15/2012    658,000 656,869
1.50% due 07/15/2012    45,000 45,225
1.875% due 04/30/2014    8,400,000 8,301,562
2.375% due 08/31/2014 to 09/30/2014    9,940,000 9,970,269
2.625% due 06/30/2014 to 07/31/2014   12,968,000   13,194,844
2.75% due 02/15/2019   17,665,000   16,857,657
3.00% due 08/31/2016    1,085,000 1,091,443
3.125% due 05/15/2019   28,920,000   28,456,817
3.625% due 08/15/2019   20,952,000   21,505,259
 
        142,427,339

 
TOTAL U.S. TREASURY OBLIGATIONS      
(Cost $162,321,146)     $ 164,837,915

 
U.S. GOVERNMENT AGENCY OBLIGATIONS - 37.25%  
Federal Home Loan Mortgage Corp. - 5.71%      
3.57% due 06/15/2029    103,405 105,515
4.50% due 06/15/2025    735,000 769,378
5.00% due 12/01/2034 to 06/01/2036    5,337,195 5,535,493
5.50% due 01/01/2018 to 12/01/2037   30,213,180   31,991,490
5.73% due 02/01/2037 (b)    817,391 867,457
5.821% due 11/01/2038 (b)    2,652,386 2,814,846
5.91% due 03/01/2037 (b)    575,531 610,782

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
U.S. GOVERNMENT AGENCY      
OBLIGATIONS (continued)      
Federal Home Loan Mortgage Corp.      
(continued)      
5.954% due 03/01/2038 (b) $ 3,595,098 $ 3,815,300
5.967% due 01/01/2037 (b)   619,725 657,684
5.977% due 11/01/2037 (b)   163,040 173,026
6.00% due 10/01/2019 to 03/01/2034   685,585 735,124
5.995% due 01/01/2037 (b)   5,018,554 5,325,943
6.376% due 10/01/2037 (b)   317,789 337,254
6.50% due 07/01/2034   725,978 781,844
 
      54,521,136
 
Federal National Mortgage      
Association - 28.81%      
4.50% due 11/01/2033 to 11/01/2035   5,994,752 6,112,235
4.50% TBA **   2,500,000 2,523,535
5.00% due 09/01/2033 to 07/01/2035   18,903,732 19,618,195
5.00% TBA **   21,000,000 21,610,313
5.50% due 01/01/2018 to 08/01/2037   148,409,122 157,378,218
5.50% TBA **   10,500,000 10,947,890
5.586% due 05/01/2037 (b)   827,913 878,623
5.672% due 05/01/2037 (b)   510,980 542,277
5.691% due 02/01/2039 (b)   2,013,584 2,136,917
5.745% due 05/01/2037 (b)   2,772,081 2,941,873
5.884% due 02/01/2037 (b)   258,812 274,665
5.925% due 03/01/2037 (b)   446,862 474,233
5.939% due 01/01/2037 (b)   367,828 390,357
5.961% due 01/01/2037 (b)   737,964 783,165
5.981% due 04/01/2037 (b)   301,558 320,029
6.00% due 10/01/2019 to 11/01/2038   32,860,028 34,951,002
6.00% TBA **   500,000 527,422
6.017% due 01/01/2037 (b)   292,597 310,519
6.033% due 10/01/2037 (b)   431,294 457,711
6.11% due 12/01/2036 (b)   251,616 267,028
6.118% due 11/01/2037 (b)   650,062 689,879
6.127% due 09/01/2037 (b)   978,959 1,038,921
6.204% due 09/01/2037 (b)   771,910 819,190
6.272% due 10/01/2036 (b)   587,545 623,532
6.277% due 09/01/2037 (b)   1,118,477 1,179,073
6.331% due 07/01/2037 (b)   123,568 130,142
6.50% due 12/01/2037   3,351,281 3,565,187
6.50% TBA **   1,500,000 1,590,469
7.00% due 01/01/2035 to 06/01/2035   1,938,017 2,128,332
 
      275,210,932
 
Government National Mortgage      
Association - 2.73%      
4.50% TBA **   24,500,000 24,798,593
6.50% due 12/15/2032   1,181,740 1,274,010
 
      26,072,603

 
TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS  
(Cost $350,321,566)   $ 355,804,671

 
FOREIGN GOVERNMENT OBLIGATIONS - 1.97%  
Brazil - 0.35%      
Federative Republic of Brazil      
5.625% due 01/07/2041   1,000,000 974,980
7.125% due 01/20/2037   1,980,000 2,361,150
 
      3,336,130

The accompanying notes are an integral part of the financial statements.
66



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
FOREIGN GOVERNMENT OBLIGATIONS    
(continued)      
Canada - 0.87%      
Province of Ontario, Canada      
4.00% due 10/07/2019 $ 2,475,000 $ 2,473,169
4.10% due 06/16/2014   5,535,000 5,859,397
 
      8,332,566
 
Poland - 0.12%      
Republic of Poland      
6.375% due 07/15/2019   980,000 1,096,326
South Africa - 0.09%      
South Africa Government International Bond      
6.875% due 05/27/2019   780,000 869,700
South Korea - 0.54%      
Republic of Korea      
7.125% due 04/16/2019   4,440,000 5,181,714

TOTAL FOREIGN GOVERNMENT OBLIGATIONS  
(Cost $17,813,960)   $ 18,816,436

 
CORPORATE BONDS - 23.69%      
Basic Materials - 1.01%      
International Paper Company      
7.50% due 08/15/2021   910,000 964,204
Rio Tinto Finance USA, Ltd.      
5.875% due 07/15/2013   1,600,000 1,723,881
9.00% due 05/01/2019   1,320,000 1,620,398
The Dow Chemical Company      
4.85% due 08/15/2012   2,015,000 2,095,314
8.55% due 05/15/2019   2,930,000 3,293,748
 
      9,697,545
 
Communications - 3.26%      
AT&T Broadband Corp.      
8.375% due 03/15/2013   2,078,000 2,413,495
British Sky Broadcasting Group PLC      
9.50% due 11/15/2018 (g)   3,160,000 4,043,154
British Telecommunications PLC      
9.625% due 12/15/2030   795,000 1,018,454
Cisco Systems, Inc.      
5.90% due 02/15/2039   1,060,000 1,147,421
DirecTV Holdings LLC      
5.875% due 10/01/2019 (g)   780,000 780,899
France Telecom SA      
7.75% due 03/01/2011   1,115,000 1,207,294
News America, Inc.      
6.90% due 08/15/2039 (g)   825,000 878,281
Qwest Corp.      
7.50% due 10/01/2014   2,250,000 2,272,500
Rogers Cable, Inc.      
5.50% due 03/15/2014   620,000 663,762
Rogers Wireless, Inc.      
6.375% due 03/01/2014   3,700,000 4,084,563
Telefonica Emisiones SAU      
5.984% due 06/20/2011   1,385,000 1,475,719
Thomson Reuters Corp.      
5.95% due 07/15/2013   945,000 1,037,435
Verizon Wireless Capital LLC      
3.75% due 05/20/2011 (g)   2,645,000 2,728,918
5.55% due 02/01/2014 (g)   660,000 713,249

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Communications (continued)      
Verizon Wireless Capital LLC (continued)      
7.375% due 11/15/2013 (g) $ 4,290,000 $ 4,926,482
8.50% due 11/15/2018 (g)   1,400,000 1,748,085
 
      31,139,711
 
Consumer, Cyclical - 0.23%      
CVS Caremark Corp.      
6.125% due 09/15/2039   1,105,000 1,124,031
6.60% due 03/15/2019   940,000 1,059,633
 
      2,183,664
 
Consumer, Non-cyclical - 2.27%      
Altria Group, Inc.      
9.70% due 11/10/2018   2,125,000 2,639,371
Amgen, Inc.      
6.40% due 02/01/2039   1,635,000 1,874,147
Anheuser-Busch InBev Worldwide, Inc.      
7.75% due 01/15/2019 (g)   2,050,000 2,425,683
CareFusion Corp.      
4.125% due 08/01/2012 (g)   1,095,000 1,124,012
5.125% due 08/01/2014 (g)   1,795,000 1,873,029
6.375% due 08/01/2019 (g)   1,260,000 1,366,543
Coventry Health Care, Inc.      
5.95% due 03/15/2017   1,500,000 1,344,976
Express Scripts, Inc.      
5.25% due 06/15/2012   1,120,000 1,188,924
6.25% due 06/15/2014   270,000 296,715
Roche Holdings, Inc.      
6.00% due 03/01/2019 (g)   3,786,000 4,214,344
Schering-Plough Corp.      
6.55% due 09/15/2037   825,000 1,000,835
UnitedHealth Group, Inc.      
6.875% due 02/15/2038   2,090,000 2,307,011
 
      21,655,590
 
Diversified - 0.56%      
Hutchison Whampoa International, Ltd.      
4.625% due 09/11/2015 (g)   4,060,000 4,056,687
5.75% due 09/11/2019 (g)   1,295,000 1,303,808
 
      5,360,495
 
Energy - 3.78%      
Anadarko Petroleum Corp.      
8.70% due 03/15/2019   3,035,000 3,628,831
Cenovus Energy, Inc.      
5.70% due 10/15/2019 (g)   745,000 763,916
Energy Transfer Partners LP      
8.50% due 04/15/2014   2,615,000 3,021,750
9.00% due 04/15/2019   1,960,000 2,356,629
Husky Energy, Inc.      
5.90% due 06/15/2014   935,000 1,008,627
6.80% due 09/15/2037   380,000 415,508
7.25% due 12/15/2019   1,020,000 1,169,879
Kinder Morgan, Inc.      
6.50% due 09/01/2012   4,190,000 4,305,225
Petrobras International Finance Company      
7.875% due 03/15/2019   3,885,000 4,482,319
Ras Laffan Liquefied Natural Gas Company, Ltd. III    
4.50% due 09/30/2012 (g)   1,315,000 1,361,982
5.50% due 09/30/2014 (g)   2,940,000 3,121,172

The accompanying notes are an integral part of the financial statements.
67



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Energy (continued)      
Ras Laffan Liquefied Natural Gas Company, Ltd. III    
(continued)      
6.332% due 09/30/2027 (g) $ 1,190,000 $ 1,169,901
Shell International Finance BV      
3.25% due 09/22/2015   2,960,000 2,979,163
Suncor Energy, Inc.      
6.50% due 06/15/2038   1,610,000 1,663,413
Total Capital SA      
3.125% due 10/02/2015   3,705,000 3,689,892
Valero Energy Corp.      
9.375% due 03/15/2019   815,000 949,698
 
      36,087,905
 
Financial - 9.83%      
American Express Company      
7.25% due 05/20/2014   2,385,000 2,679,710
8.15% due 03/19/2038   1,435,000 1,751,174
Bank of America Corp.      
5.75% due 12/01/2017   1,305,000 1,302,621
7.375% due 05/15/2014   1,615,000 1,796,952
7.625% due 06/01/2019   2,765,000 3,115,577
Barclays Bank PLC, Series 1      
5.00% due 09/22/2016   1,950,000 1,974,898
BP Capital Markets PLC      
3.875% due 03/10/2015   5,825,000 6,017,580
Capital One Bank USA NA      
8.80% due 07/15/2019   1,455,000 1,681,920
Citigroup Funding, Inc.      
1.875% due 10/22/2012   3,690,000 3,699,155
Citigroup, Inc.      
6.125% due 05/15/2018   1,948,000 1,918,085
8.125% due 07/15/2039   1,250,000 1,399,236
Credit Suisse New York      
6.00% due 02/15/2018   1,585,000 1,659,425
Credit Suisse New York, MTN      
5.00% due 05/15/2013   1,865,000 1,973,763
Goldman Sachs Capital II      
5.793% until 06/01/2012, then variable      
due 12/29/2049 (b)   3,790,000 2,728,800
Goldman Sachs Group, Inc.      
5.125% due 01/15/2015   1,225,000 1,280,159
5.45% due 11/01/2012   2,655,000 2,843,441
6.75% due 10/01/2037   2,535,000 2,616,199
7.50% due 02/15/2019   1,934,000 2,211,755
HCP, Inc.      
5.65% due 12/15/2013   1,705,000 1,686,815
6.00% due 01/30/2017   350,000 326,875
HCP, Inc., MTN      
6.30% due 09/15/2016   575,000 553,291
6.70% due 01/30/2018   640,000 615,765
HSBC Holdings PLC      
6.80% due 06/01/2038   1,010,000 1,133,330
JPMorgan Chase & Company      
5.375% due 10/01/2012   3,365,000 3,620,696
JPMorgan Chase Bank NA, BKNT      
6.00% due 10/01/2017   2,095,000 2,203,414
JPMorgan Chase Capital XXV, Series Y      
6.80% due 10/01/2037   1,786,000 1,797,370

Core Bond Trust (continued)      
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
Financial (continued)      
Lazard Group LLC      
6.85% due 06/15/2017 $ 2,551,000 $ 2,514,567
7.125% due 05/15/2015   2,715,000 2,742,090
Liberty Mutual Group, Inc.      
7.50% due 08/15/2036 (g)   936,000 790,409
Mack-Cali Realty Corp.      
7.75% due 08/15/2019   805,000 829,467
Morgan Stanley      
6.00% due 05/13/2014   3,760,000 4,002,919
7.25% due 04/01/2032   1,170,000 1,357,232
Morgan Stanley, MTN      
5.625% due 09/23/2019   825,000 813,619
5.95% due 12/28/2017   2,300,000 2,341,731
Private Export Funding Corp.      
3.05% due 10/15/2014   725,000 731,588
Simon Property Group LP, REIT      
6.75% due 05/15/2014   1,255,000 1,345,964
Societe Financement de l'Economie Francaise      
2.875% due 09/22/2014 (g)   4,785,000 4,794,809
Swedish Export Credit      
3.25% due 09/16/2014   4,080,000 4,052,458
US Bank NA, MTN      
5.92% due 05/25/2012   1,428,722 1,517,303
Vale Overseas, Ltd.      
5.625% due 09/15/2019   740,000 755,419
WEA Finance LLC      
5.40% due 10/01/2012 (g)   1,389,000 1,426,911
6.75% due 09/02/2019 (g)   2,280,000 2,306,218
7.125% due 04/15/2018 (g)   3,425,000 3,570,408
7.50% due 06/02/2014 (g)   3,140,000 3,383,987
 
      93,865,105
 
Technology - 0.42%      
Dell, Inc.      
5.875% due 06/15/2019   700,000 750,436
Hewlett-Packard Company      
4.75% due 06/02/2014   2,519,000 2,703,555
International Business Machines Corp.      
7.625% due 10/15/2018   470,000 578,368
 
      4,032,359
 
Utilities - 2.33%      
Dominion Resources, Inc.      
8.875% due 01/15/2019   3,685,000 4,662,240
DPL, Inc.      
6.875% due 09/01/2011   1,160,000 1,249,100
Duke Energy Corp.      
6.30% due 02/01/2014   1,655,000 1,830,888
Enel Finance International SA      
5.125% due 10/07/2019 (g)   1,145,000 1,139,962
6.00% due 10/07/2039 (g)   1,905,000 1,896,618
Exelon Generation Company LLC      
5.20% due 10/01/2019   495,000 500,417
6.25% due 10/01/2039   990,000 1,010,455
FirstEnergy Solutions Corp.      
4.80% due 02/15/2015 (g)   610,000 626,787
6.05% due 08/15/2021 (g)   1,820,000 1,880,726
6.80% due 08/15/2039 (g)   1,475,000 1,563,413
Nevada Power Company, Series A      
8.25% due 06/01/2011   3,331,000 3,624,761

The accompanying notes are an integral part of the financial statements.
68



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
CORPORATE BONDS (continued)      
Utilities (continued)      
Pacificorp      
6.25% due 10/15/2037 $ 1,320,000 $ 1,523,502
Progress Energy, Inc.      
6.85% due 04/15/2012   670,000 729,177
 
      22,238,046

 
TOTAL CORPORATE BONDS (Cost $214,382,525) $ 226,260,420

 
MUNICIPAL BONDS - 0.14%      
Texas - 0.14%      
North Texas Tollway Authority      
6.718% due 01/01/2049   1,175,000 1,351,297

TOTAL MUNICIPAL BONDS (Cost $1,175,000) $ 1,351,297

 
COLLATERALIZED MORTGAGE      
OBLIGATIONS - 19.27%      
American Tower Trust, Series 2007-1A, Class AFX    
5.4197% due 04/15/2037 (g)   485,000 480,150
Asset Securitization Corp.,      
Series 1996-D3, Class A2      
7.774% due 10/13/2026 (b)   1,232,000 1,312,858
Banc of America Commercial Mortgage, Inc.,    
Series 2004-2, Class A3      
4.05% due 11/10/2038   222,000 221,922
Banc of America Commercial Mortgage, Inc.,    
Series 2006-5, Class A2      
5.317% due 09/10/2047   315,000 316,123
Banc of America Commercial Mortgage, Inc.,    
Series 2006-6, Class A2      
5.309% due 10/10/2045   888,000 887,661
Banc of America Commercial Mortgage, Inc.,    
Series 2007-2, Class A2      
5.634% due 04/10/2049 (b)   3,463,000 3,437,745
Banc of America Commercial Mortgage, Inc.,    
Series 2002-PB2, Class B      
6.309% due 06/11/2035   236,000 240,212
Banc of America Commercial Mortgage, Inc.,    
Series 2003-1, Class A2      
4.648% due 09/11/2036   396,000 405,590
Banc of America Commercial Mortgage, Inc.,    
Series 2004-2, Class A5      
4.58% due 02/10/2014   110,000 106,319
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2001-TOP4, Class A3      
5.61% due 11/15/2033   853,000 892,237
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2002-PBW1, Class A2      
4.72% due 11/11/2035 (b)   432,000 448,136
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2004-T16, Class A6      
4.75% due 02/13/2046 (b)   921,000 912,810
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2000-WF1, Class A2      
7.78% due 02/15/2032 (b)   1,118,412 1,123,779
Bear Stearns Commercial Mortgage Securities,    
Inc., Series 2004-PWR6, Class A6      
4.825% due 11/11/2041   125,000 122,806

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
Bear Stearns Commercial Mortgage Securities,    
Series 2002-TOP6, Class A2      
6.46% due 10/15/2036 $ 1,353,000 $ 1,426,733
Bear Stearns Commercial Mortgage Securities,    
Series 2003-T12, Class A3      
4.24% due 08/13/2039 (b)   250,855 252,632
Bear Stearns Commercial Mortgage Securities,    
Series 2004-PWR4, Class A2      
5.286% due 06/11/2041 (b)   926,560 947,043
Bear Stearns Commercial Mortgage Securities,    
Series 2005-PW10, Class A4      
5.405% due 12/11/2040   5,278,000 5,187,706
Bear Stearns Commercial Mortgage Securities,    
Series 2007-T28, Class A2      
5.588% due 09/11/2042   3,000,000 2,931,936
Bear Stearns Commercial Mortgage Securities,    
Series 2002-TOP8, Class A2      
4.83% due 08/15/2038   981,000 1,000,384
Bear Stearns Commercial Mortgage Securities,    
Series 2005-PWR9, Class AAB      
4.804% due 09/11/2042   742,000 757,760
Commercial Mortgage Asset Trust      
6.975% due 01/17/2032   3,112,000 3,313,786
Commercial Mortgage Pass Through Certificates,    
Series 2004-LB3A, Class A5      
5.4589% due 07/10/2037 (b)   1,250,000 1,243,381
Commercial Mortgage Pass Through Certificates,    
Series 2001-J2A, Class A2      
6.096% due 07/16/2034   1,328,000 1,399,184
Commercial Mortgage Pass Through Certificates,    
Series 2004-LB2A, Class A4      
4.715% due 03/10/2039   1,946,000 1,910,057
CS First Boston Mortgage Securities Corp, Series    
2002-CKS4, Class A1      
4.485% due 11/15/2036   3,886 3,964
CS First Boston Mortgage Securities Corp, Series    
2005-C1, Class A3      
4.813% due 02/15/2038   210,000 211,254
CS First Boston Mortgage Securities Corp, Series    
2005-C5, Class A4      
5.10% due 08/15/2038   2,665,000 2,594,136
CS First Boston Mortgage Securities Corp., Series    
2002-CP5, Class A2      
4.94% due 12/15/2035   910,000 941,970
CS First Boston Mortgage Securities Corp.,      
Series 2001-CF2, Class A4      
6.505% due 02/15/2034   691,601 712,556
CS First Boston Mortgage Securities Corp.,      
Series 2001-CK1, Class A3      
6.38% due 12/18/2035   241,994 250,402
CS First Boston Mortgage Securities Corp.,      
Series 2001-CKN5, Class A4      
5.435% due 09/15/2034   354,319 364,950
CS First Boston Mortgage Securities Corp.,      
Series 2002-CKN2, Class A3      
6.133% due 04/15/2037   96,000 101,443
CS First Boston Mortgage Securities Corp.,      
Series 2002-CKS4, Class A2      
5.183% due 11/15/2036   2,122,000 2,186,621

The accompanying notes are an integral part of the financial statements.
69



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
CS First Boston Mortgage Securities Corp.,      
Series 2003-C5, Class A4      
4.90% due 12/15/2036 (b) $ 229,000 $ 232,611
CS First Boston Mortgage Securities Corp.,      
Series 2003-CK2, Class A4      
4.801% due 03/15/2036   245,000 250,199
CS First Boston Mortgage Securities Corp.,      
Series 2003-CPN1, Class A2      
4.597% due 03/15/2035   2,189,000 2,196,238
DLJ Commercial Mortgage Corp.,      
Series 2000-CKP1, Class A1B      
7.18% due 11/10/2033   475,225 489,312
Federal Home Loan Mortgage Corp., Series      
2003-2676, Class CY      
4.00% due 09/15/2018   444,000 453,942
Federal Home Loan Mortgage Corp., Series      
2003-2690, Class TV      
4.50% due 11/15/2025   307,000 321,436
Federal Home Loan Mortgage Corp., Series      
2004-2765, Class CT      
4.00% due 03/15/2019   292,000 300,261
Federal Home Loan Mortgage Corp., Series      
2004-2875, Class HB      
4.00% due 10/15/2019   66,000 67,077
Federal Home Loan Mortgage Corp., Series      
2005-3008, Class JM      
4.50% due 07/15/2025   314,000 326,686
Federal Home Loan Mortgage Corp., Series      
2005-3028, Class PG      
5.50% due 09/15/2035   1,256,952 1,331,430
Federal Home Loan Mortgage Corp., Series      
2007-3289, Class PC      
5.00% due 12/15/2032   1,973,000 2,046,365
Federal Home Loan Mortgage Corp., Series      
2009-K003, Class AAB      
4.768% due 05/25/2018   1,094,000 1,142,331
Federal Home Loan Mortgage Corp., Series 2590,    
Class BY      
5.00% due 03/15/2018   45,000 47,652
Federal Home Loan Mortgage Corp., Series 3465,    
Class HA      
4.00% due 07/15/2017   19,294 19,987
Federal Home Loan Mortgage Corp.,      
Series 2003-2558, Class BD      
5.00% due 01/15/2018   179,000 191,314
Federal Home Loan Mortgage Corp.,      
Series 2003-2590, Class NU      
5.00% due 06/15/2017   385,000 400,043
Federal Home Loan Mortgage Corp.,      
Series 2003-2694, Class QG      
4.50% due 01/15/2029   1,484,000 1,551,556
Federal Home Loan Mortgage Corp.,      
Series 2004-2790, Class TN      
4.00% due 05/15/2024   414,000 416,487
Federal Home Loan Mortgage Corp.,      
Series 2005-3035, Class PA      
5.50% due 09/15/2035   4,822,844 5,139,267
Federal Home Loan Mortgage Corp.,      
Series 2007-3372, Class BD      
4.50% due 10/15/2022   351,000 370,776

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
Federal National Mortgage Association, Series    
2001-81, Class HE      
6.50% due 01/25/2032 $ 15,990,687 $ 17,296,697
Federal National Mortgage Association, Series    
2002-94, Class HQ      
4.50% due 01/25/2018   421,000 440,635
Federal National Mortgage Association, Series    
2003-125, Class AY      
4.00% due 12/25/2018   124,000 127,588
Federal National Mortgage Association, Series    
2004-3, Class HT      
4.00% due 02/25/2019   163,000 167,815
Federal National Mortgage Association, Series    
2004-80, Class LE      
4.00% due 11/25/2019   3,200,000 3,266,331
Federal National Mortgage Association, Series    
2004-81, Class KE      
4.50% due 11/25/2019   1,334,000 1,386,438
Federal National Mortgage Association, Series    
2007-77, Class MH      
6.00% due 12/25/2036   8,822,971 9,302,171
Federal National Mortgage Association, Series    
2008-66, Class B      
5.00% due 08/25/2023   126,000 131,989
Federal National Mortgage Association,      
Series 2003-108, Class BE      
4.00% due 11/25/2018   362,000 372,398
Federal National Mortgage Association,      
Series 2003-3, Class HJ      
5.00% due 02/25/2018   338,000 360,487
Federal National Mortgage Association,      
Series 2004-60, Class PA      
5.50% due 04/25/2034   228,151 241,449
Federal National Mortgage Association,      
Series 2005-58, Class MA      
5.50% due 07/25/2035   191,725 203,975
Federal National Mortgage Association,      
Series 2005-69, Class JM      
4.50% due 08/25/2025   681,000 704,244
Federal National Mortgage Association,      
Series 2007-113, Class DB      
4.50% due 12/25/2022   415,000 433,937
Federal National Mortgage Association,      
Series 2007-30, Class MA      
4.25% due 02/25/2037   2,524,765 2,584,173
Federal National Mortgage Association,      
Series 2007-39, Class NA      
4.25% due 01/25/2037   1,730,381 1,777,078
First Horizon Alternative Mortgage Securities,    
Series 2006-FA6, Class 2A10      
6.00% due 11/25/2036   245,819 191,278
First Union National Bank Commercial Mortgage,    
Series 2000-C2, Class A2      
7.202% due 10/15/2032   315,856 325,571
First Union National Bank Commercial Mortgage,    
Series 2001-C4, Class B      
6.417% due 12/12/2033   305,000 310,334
GE Capital Commercial Mortgage Corp., Series    
2001-3, Class A1      
5.56% due 06/10/2038   393,344 404,329

The accompanying notes are an integral part of the financial statements.
70



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
GE Capital Commercial Mortgage Corp., Series    
2002-1A, Class A3      
6.269% due 12/10/2035 $ 352,000 $ 373,327
GE Capital Commercial Mortgage Corp., Series    
2005-C4, Class A4      
5.5127% due 11/10/2045 (b)   3,533,000 3,372,402
GE Capital Commercial Mortgage Corp.,      
Series 2001-2, Class A3      
6.03% due 08/11/2033   97,987 99,743
GMAC Commercial Mortgage Securities, Inc.,    
Series 2000-C1, Class A2      
7.724% due 03/15/2033 (b)   163,412 164,071
GMAC Commercial Mortgage Securities, Inc.,    
Series 2002-C3, Class A2      
4.93% due 07/10/2039   528,000 546,237
GMAC Commercial Mortgage Securities, Inc.,    
Series 2003-C2, Class A2      
5.6671% due 05/10/2040 (b)   278,000 289,980
GMAC Commercial Mortgage Securities, Inc.,    
Series 2003-C3, Class A4      
5.023% due 04/10/2040   1,052,000 1,052,530
Government National Mortgage Association,    
Series 2006-37, Class JG      
5.00% due 07/20/2036   254,000 268,165
Greenwich Capital Commercial Funding Corp.,    
Series 2004-GG1, Class A6      
5.135% due 06/10/2036 (b)   696,000 673,807
Greenwich Capital Commercial Funding Corp.,    
Series 2005-GG5, Class A5      
5.224% due 04/10/2037 (b)   5,711,000 5,372,438
Greenwich Capital Commercial Funding Corp.,    
Series 2005-GG5, Class AAB      
5.19% due 04/10/2037 (b)   1,512,000 1,543,123
GS Mortgage Securities Corp II, Series      
2001-GL3A, Class A2      
6.449% due 08/05/2018 (b)   1,190,000 1,261,770
GS Mortgage Securities Corp II, Series 2005-GG4,    
Class AABA      
4.68% due 07/10/2039   307,000 313,907
JPMorgan Chase Commercial Mortgage Securities    
Corp, Series 2002-CIB4, Class A3      
6.162% due 05/12/2034   3,452,000 3,638,539
JPMorgan Chase Commercial Mortgage Securities    
Corp, Series 2003-PM1A, Class A4      
5.326% due 08/12/2040 (b)   1,947,000 2,026,791
JPMorgan Chase Commercial Mortgage Securities    
Corp, Series 2007-CB19, Class A2      
5.815% due 02/12/2049 (b)   314,000 316,399
JPMorgan Chase Commercial Mortgage Securities    
Corp, Series 2007-LDPX, Class A2S      
5.305% due 01/15/2049   3,877,000 3,707,013
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2001-CIB3, Class A3      
6.465% due 11/15/2035   1,269,000 1,334,113
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2006-LDP7, Class A2      
6.0512% due 04/15/2045 (b)   642,000 651,549
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2001-C1, Class A3      
5.857% due 10/12/2035   968,000 1,019,363

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2002-CIB5, Class A2      
5.161% due 10/12/2037 $ 150,000 $ 155,770
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2005-LDP3, Class A1      
4.655% due 08/15/2042   41,800 42,024
JPMorgan Chase Commercial Mortgage      
Securities Corp., Series 2005-LDP4, Class A4    
4.918% due 10/15/2042 (b)   739,000 726,650
JPMorgan Commercial Mortgage Finance Corp.,    
Series 2000-C10, Class A2      
7.371% due 08/15/2032 (b)   312,780 314,862
JPMorgan Chase Commercial Mortgage Securities Corp.,  
Series 2001-CIBC, Class A3      
6.26% due 03/15/2033   745,143 769,225
LB-UBS Commercial Mortgage Trust, Series    
2000-C5, Class A2      
6.51% due 12/15/2026   485,370 501,674
LB-UBS Commercial Mortgage Trust, Series    
2002-C4, Class A4      
4.563% due 09/15/2026   737,591 757,592
LB-UBS Commercial Mortgage Trust, Series    
2002-C4, Class A5      
4.853% due 09/15/2031   693,000 710,524
LB-UBS Commercial Mortgage Trust, Series    
2004-C1, Class A4      
4.568% due 01/15/2031   2,905,000 2,744,329
LB-UBS Commercial Mortgage Trust, Series    
2004-C7, Class A5      
4.628% due 10/15/2029   495,000 457,546
LB-UBS Commercial Mortgage Trust, Series    
2006-C1, Class A2      
5.084% due 02/15/2031   900,000 903,181
LB-UBS Commercial Mortgage Trust, Series    
2006-C7, Class A2      
5.30% due 11/15/2038   1,974,000 1,969,970
LB-UBS Commercial Mortgage Trust, Series    
2007-C1, Class A2      
5.318% due 02/15/2040   823,000 822,886
LB-UBS Commercial Mortgage Trust, Series    
2007-C1, Class A3      
5.398% due 02/15/2040   791,000 767,255
LB-UBS Commercial Mortgage Trust,      
Series 2000-C4, Class A2      
7.37% due 08/15/2026   264,387 270,180
LB-UBS Commercial Mortgage Trust,      
Series 2001-C2, Class A2      
6.653% due 11/15/2027   363,000 380,013
LB-UBS Commercial Mortgage Trust,      
Series 2002-C2, Class A4      
5.594% due 06/15/2031   2,315,000 2,414,960
LB-UBS Commercial Mortgage Trust,      
Series 2003-C3, Class A4      
4.166% due 05/15/2032   901,000 891,249
Merrill Lynch Mortgage Trust, Series 2003-KEY1,    
Class A4      
5.236% due 11/12/2035 (b)   1,566,000 1,588,249
Merrill Lynch Mortgage Trust, Series 2005-CIP1,    
Class A3A      
4.949% due 07/12/2038 (b)   721,000 716,606

The accompanying notes are an integral part of the financial statements.
71



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
Merrill Lynch/Countrywide Commercial Mortgage    
Trust, Series 2006-1, Class A2      
5.439% due 02/12/2039 (b) $ 6,036,000 $ 6,081,017
Morgan Stanley Capital I, Series 2004-HQ4, Class    
A7      
4.97% due 04/14/2040   2,696,000 2,572,773
Morgan Stanley Capital I, Series 2004-IQ7, Class A4    
5.5374% due 06/15/2038 (b)   1,291,000 1,280,258
Morgan Stanley Capital I, Series 2005-HQ5, Class    
A4      
5.168% due 01/14/2042   382,000 383,509
Morgan Stanley Capital I, Series 2005-HQ6,    
Class A4A      
4.989% due 08/13/2042   9,708,000 9,446,817
Morgan Stanley Capital I, Series 2005-T17, Class A5    
4.78% due 12/13/2041   349,000 340,789
Morgan Stanley Capital I, Series 2006-HQ8, Class    
A2      
5.374% due 03/12/2044   65,000 65,407
Morgan Stanley Capital I, Series 2007-HQ11, Class    
A31      
5.439% due 02/12/2044 (b)   467,000 438,819
Morgan Stanley Capital I, Series 2007-IQ14, Class    
A2      
5.61% due 04/15/2049   1,047,000 1,031,142
Morgan Stanley Capital I, Series 2003-IQ5, Class A4    
5.01% due 04/15/2038   720,421 746,337
Morgan Stanley Capital I, Series 2003-T11, Class A4    
5.15% due 06/13/2041   1,191,000 1,205,986
Morgan Stanley Capital I,      
Series 2004-HQ3, Class A4      
4.80% due 01/13/2041   461,000 450,784
Morgan Stanley Capital I,      
Series 2005-HQ5, Class AAB      
5.037% due 01/14/2042   685,000 710,234
Morgan Stanley Capital I,      
Series 2005-HQ7, Class AAB      
5.1849% due 11/14/2042 (b)   1,038,000 1,082,001
Morgan Stanley Capital I, Series 2006-HQ8,    
Class A4      
5.5579% due 03/12/2044 (b)   937,000 896,024
Morgan Stanley Dean Witter Capital I, Series    
2002-HQ, Class A3      
6.51% due 04/15/2034   379,680 401,331
Morgan Stanley Dean Witter Capital I, Series    
2002-IQ2, Class A4      
5.74% due 12/15/2035   351,627 368,523
Morgan Stanley Dean Witter Capital I, Series    
2003-HQ2, Class A2      
4.92% due 03/12/2035   4,623,000 4,678,285
Morgan Stanley Dean Witter Capital I, Series    
2003-TOP9, Class A2      
4.74% due 11/13/2036   780,000 792,112
Morgan Stanley Dean Witter Capital I,      
Series 2001-TOP1, Class A4      
6.66% due 02/15/2033   1,559,281 1,613,000
Morgan Stanley Dean Witter Capital I,      
Series 2001-TOP5, Class A4      
6.39% due 10/15/2035   1,083,799 1,155,285

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
Morgan Stanley Mortgage Loan Trust,      
Series 2007-6XS, Class 2A1S      
0.3563% due 02/25/2047 (b) $ 99,062 $ 74,667
Nomura Asset Securities Corp.      
6.69% due 03/15/2030   2,169,213 2,315,594
Salomon Brothers Mortgage Securities VII, Series    
2002-KEY2, Class A2      
4.467% due 03/18/2036   355,782 364,151
Salomon Brothers Mortgage Securities VII,      
Series 2000-C3, Class A2      
6.592% due 12/18/2033   1,906,623 1,954,219
Wachovia Bank Commercial Mortgage Trust,    
Series 2002-C1, Class A4      
6.287% due 04/15/2034   337,000 356,047
Wachovia Bank Commercial Mortgage Trust,    
Series 2003-C5, Class A2      
3.989% due 06/15/2035   166,000 165,279
Wachovia Bank Commercial Mortgage Trust,    
Series 2003-C6, Class A3      
4.957% due 08/15/2035   785,000 779,708
Wachovia Bank Commercial Mortgage Trust,    
Series 2003-C8, Class A3      
4.445% due 11/15/2035   186,000 186,238
Wachovia Bank Commercial Mortgage Trust,    
Series 2005-C18, Class A4      
4.935% due 04/15/2042   209,000 204,650

TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS  
(Cost $178,031,419)   $ 184,041,131

 
ASSET BACKED SECURITIES - 5.48%      
American Express Credit Account Master Trust,    
Series 2009-2, Class A      
1.4959% due 03/15/2017 (b)   2,948,000 2,999,443
Americredit Prime Automobile Receivable,      
Series 2007-1, Class A3      
5.27% due 11/08/2011 (b)   186,531 187,575
BA Credit Card Trust, Series 2006-A12, Class A12    
0.2634% due 03/15/2014 (b)   697,000 685,069
Capital One Multi-Asset Execution Trust, Series    
2006-A11, Class A11      
0.3334% due 06/17/2019 (b)   2,420,000 2,242,454
Capital One Multi-Asset Execution Trust, Series    
2008-A3, Class A3      
5.05% due 02/15/2016   3,982,000 4,295,115
Citicorp Residential Mortgage Securities, Inc.,    
Series 2006-1, Class A2      
5.682% due 07/25/2036   37,098 36,826
Citigroup Mortgage Loan Trust, Inc.,      
Series 2007-AHL1, Class A2A      
0.2863% due 12/25/2036 (b)   127,840 106,845
Daimler Chrysler Auto Trust,      
Series 2007-A, Class A4      
2.00% due 03/08/2013   1,783,000 1,868,511
Daimler Chrysler Auto Trust,      
Series 2008-B, Class A2B      
1.1838% due 07/08/2011 (b)   776,684 777,897
Discover Card Master Trust I, Series 2005-4, Class    
A2      
0.3334% due 06/16/2015 (b)   721,000 696,180

The accompanying notes are an integral part of the financial statements.
72



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Core Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
ASSET BACKED SECURITIES      
(continued)      
Discover Card Master Trust I, Series 2006-3, Class    
A1      
0.2734% due 03/15/2014 (b) $ 389,000 $ 382,772
Discover Card Master Trust, Series 2007-A2, Class    
A2      
0.639% due 06/15/2015 (b)   2,385,000 2,322,219
Dominos Pizza Master Issuer LLC,      
Series 2007-1, Class A2      
5.261% due 04/25/2037 (g)   480,000 393,590
Harley-Davidson Motorcycle Trust, Series 2006-3,    
Class A4      
5.22% due 06/15/2013   800,000 831,826
Harley-Davidson Motorcycle Trust, Series 2009-1,    
Class A4      
4.55% due 01/15/2017   1,362,000 1,428,551
Harley-Davidson Motorcycle Trust, Series 2009-2,    
Class A4      
3.32% due 02/15/2017   853,000 868,656
Harley-Davidson Motorcycle Trust,      
Series 2008-1, Class A3A      
4.25% due 02/15/2013   424,000 435,792
Honda Auto Receivables Owner Trust, Series    
2009-3, Class A4      
3.30% due 09/15/2015   3,496,000 3,568,680
Hyundai Auto Receivables Trust, Series 2009-A,    
Class A4      
3.15% due 03/15/2016   978,000 979,633
MBNA Credit Card Master Note Trust, Series    
2006-A5, Class A5      
0.3034% due 10/15/2015 (b)   975,000 941,922
MBNA Master Credit Card Trust, Series 1997-B,    
Class A      
0.4034% due 08/15/2014 (b)   4,556,000 4,490,792
Morgan Stanley ABS Capital I,      
Series 2007-HE2, Class A2A      
0.2863% due 01/25/2037 (b)   61,732 56,934
Morgan Stanley Home Equity Loans,      
Series 2007-1, Class A1      
0.2963% due 12/25/2036 (b)   57,762 53,829
Nissan Auto Receivables Owner Trust, Series    
2009-A, Class A4      
4.74% due 08/17/2015   438,000 464,282
SLC Student Loan Trust, Series 2008-1, Class A4A    
1.899% due 12/15/2032 (b)   2,777,000 2,800,798
SLM Student Loan Trust, Series 2002-5, Class A4L    
0.449% due 09/17/2018 (b)   437,208 434,525
SLM Student Loan Trust, Series 2003-3, Class A4    
0.519% due 12/15/2017 (b)   345,503 336,921
SLM Student Loan Trust, Series 2003-6, Class A4    
0.499% due 12/17/2018 (b)   267,847 266,208
SLM Student Loan Trust, Series 2006-2, Class A4    
0.5938% due 10/25/2022 (b)   983,000 971,500
SLM Student Loan Trust, Series 2007-6, Class A2    
0.7538% due 01/25/2019 (b)   1,786,000 1,777,710
SLM Student Loan Trust, Series 2008-4, Class A4    
2.1537% due 07/25/2022 (b)   4,690,000 4,792,185
SLM Student Loan Trust, Series 2008-5, Class A4    
2.2037% due 07/25/2023 (b)   2,387,000 2,472,739
SLM Student Loan Trust, Series 2008-6, Class A4    
1.6037% due 07/25/2023 (b)   269,000 269,500

Core Bond Trust (continued)      
    Shares or  
    Principal  
    Amount Value
 
 
ASSET BACKED SECURITIES      
(continued)      
Swift Master Auto Receivables Trust, Series      
2007-1, Class A      
0.3434% due 06/15/2012 (b) $ 434,000 $ 429,660
Target Credit Card Master Trust, Series 2005-1,      
Class A      
0.3062% due 10/27/2014 (b)   6,182,000 6,083,909
Triad Auto Receivables Owner Trust,      
Series 2006-B, Class A3      
5.41% due 08/12/2011   166,505 167,493
Triad Auto Receivables Owner Trust,      
Series 2006-C, Class A3      
5.26% due 11/14/2011   88,343 88,941
World Omni Auto Receivables Trust, Series      
2009-A, Class A4      
5.12% due 05/15/2014   375,000 397,851

TOTAL ASSET BACKED SECURITIES      
(Cost $50,918,268)   $ 52,405,333

 
SUPRANATIONAL OBLIGATIONS - 0.38%    
Government - 0.38%      
Export-Import Bank of Korea      
5.50% due 10/17/2012   1,380,000 1,455,705
5.875% due 01/14/2015   2,075,000 2,187,571
 
      3,643,276

 
TOTAL SUPRANATIONAL OBLIGATIONS      
(Cost $3,497,026)   $ 3,643,276

 
REPURCHASE AGREEMENTS - 3.53%      
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$33,700,009 on 10/1/2009,      
collateralized by $34,250,000      
Federal Home Loan Bank, 2.1%      
due 08/10/2012 (valued at      
$34,378,438, including interest) $ 33,700,000 $ 33,700,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $33,700,000)   $ 33,700,000

 
SHORT TERM INVESTMENTS - 1.48%      
JPMorgan Chase Company      
0.05% due 10/01/2009 $ 14,112,000 $ 14,112,000

TOTAL SHORT TERM INVESTMENTS      
(Cost $14,112,000)   $ 14,112,000

Total Investments (Core Bond Trust)      
(Cost $1,026,272,910) - 110.44%   $ 1,054,972,479
Other assets and liabilities, net - (10.44)%     (99,764,744)
 
TOTAL NET ASSETS - 100.00%   $ 955,207,735
 

The accompanying notes are an integral part of the financial statements.
73



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Schedule of Securities Sold Short      
    Shares or    
    Principal    
    Amount   Value

 
FEDERAL NATIONAL MORTGAGE        
ASSOCIATION - 100.00%        
Federal National Mortgage Association        
5.50%, TBA ** $ 1,500,000 $ 1,581,679
6.00%, TBA **   11,500,000  $ 12,130,704

TOTAL FEDERAL NATIONAL MORTGAGE      
ASSOCIATION (Proceeds $13,718,242)     $ 13,712,383

Total Securities Sold Short (Core Bond Trust)      
(Proceeds $13,718,242)     $ 13,712,383
 
 
 
Core Disciplined Diversification Trust  
    Shares or    
    Principal    
    Amount   Value

 
INVESTMENT COMPANIES - 100.02%      
Intermediate Bond - 12.00%        
Total Bond Market A (Declaration) (i)   332,402  $ 4,600,448
International Large Cap - 12.00%        
International Index (MFC Global U.S.A.) (i) 278,309   4,600,449
Investment Companies - 60.02%        
Disciplined Diversification (DFA)   2,100,661   23,002,242
U.S. Large Cap - 12.70%        
500 Index (MFC Global U.S.A.) (i)(j)   530,371   4,868,808
U.S. Mid Cap - 1.60%        
Mid Cap Index (MFC Global U.S.A.) (i)    45,169 613,393
U.S. Small Cap - 1.70%        
Small Cap Index (MFC Global U.S.A.) (i)    60,234 651,730

TOTAL INVESTMENT COMPANIES (Cost $35,417,345) $ 38,337,070

Total Investments (Core Disciplined Diversification Trust)  
(Cost $35,417,345) - 100.02%     $ 38,337,070
Other assets and liabilities, net - (0.02)%       (9,110)
 
TOTAL NET ASSETS - 100.00%     $ 38,327,960
 
 
 
Core Fundamental Holdings Trust    
    Shares or    
    Principal    
    Amount   Value

 
INVESTMENT COMPANIES - 100.01%      
Intermediate Bond - 16.00%        
Total Bond Market A (Declaration) (i)   846,788  $ 11,719,551
International Large Cap - 5.20%        
International Index (MFC Global U.S.A.) (i) 230,421   3,808,854
U.S. Large Cap - 18.80%        
500 Index (MFC Global U.S.A.) (i)(j)   1,500,051   13,770,473
INVESTMENT COMPANIES - 100.01%      
American Funds Insurance Series - 60.01%      
American Growth Trust - Class 1   231,566   10,327,854
American Growth-Income Fund - Class 1   345,876   10,327,854
American International Fund - Class 1   338,264   5,713,281

Core Fundamental Holdings Trust (continued)
  Shares or    
  Principal    
  Amount   Value
 
 
INVESTMENT COMPANIES (continued)      
American Funds Insurance Series      
(continued)      
American U.S. Government Fund - Class 1 1,407,472 $ 17,579,327
 
      43,948,316

TOTAL INVESTMENT COMPANIES (Cost $68,168,718) $ 73,247,194

Total Investments (Core Fundamental Holdings Trust)    
(Cost $68,168,718) - 100.01%   $ 73,247,194
Other assets and liabilities, net - (0.01)%     (7,528)
 
TOTAL NET ASSETS - 100.00%   $ 73,239,666
 
 
 
Core Global Diversification Trust      
  Shares or    
  Principal    
  Amount   Value
 
 
INVESTMENT COMPANIES - 100.01%      
Intermediate Bond - 14.00%      
Total Bond Market A (Declaration) (i) 738,803  $ 10,225,030
International Large Cap - 18.00%      
International Index (MFC Global U.S.A.) (i) 795,310   13,146,466
U.S. Large Cap - 8.00%      
500 Index (MFC Global U.S.A.) (i)(j) 636,479   5,842,874
INVESTMENT COMPANIES - 100.01%      
American Funds Insurance Series - 60.01%      
American Global Growth Fund - Class 1 923,531   17,528,622
American International Fund - Class 1 648,632   10,955,388
American U.S. Government Fund - Class 1 1,227,986   15,337,544
 
      43,821,554

TOTAL INVESTMENT COMPANIES (Cost $68,007,533) $ 73,035,924

Total Investments (Core Global Diversification Trust)    
(Cost $68,007,533) - 100.01%   $ 73,035,924
Other assets and liabilities, net - (0.01)%     (7,935)
 
TOTAL NET ASSETS - 100.00%   $ 73,027,989
 
 
 
Core Strategy Trust      
  Shares or    
  Principal    
  Amount   Value
 
 
INVESTMENT COMPANIES - 100.01%      
JOHN HANCOCK TRUST (g)      
500 Index (MFC Global U.S.A.) (i)(j) 20,905,443  $ 191,911,962
International Index (MFC Global U.S.A.) (i) 6,366,265   105,234,358
Mid Cap Index (MFC Global U.S.A.) (i) 4,442,890   60,334,446
Small Cap Index (MFC Global U.S.A.) (i) 3,099,396   33,535,461
Total Bond Market A (Declaration) (i) 12,118,715   167,723,021

TOTAL INVESTMENT COMPANIES (Cost $543,514,881) $ 558,739,248

Total Investments (Core Strategy Trust)      
(Cost $543,514,881) - 100.01%   $ 558,739,248
Other assets and liabilities, net - (0.01)%     (37,499)
 
TOTAL NET ASSETS - 100.00%   $ 558,701,749
 

The accompanying notes are an integral part of the financial statements.
74



JOHN HANCOCK TRUST (g)

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS - 69.56%    
Basic Materials - 4.78%    
A. Schulman, Inc. 500 $ 9,965
Acerinox SA 1,123 24,182
Acos Villares SA 14,000 7,033
Adeka Corp. 1,400 13,946
African Rainbow Minerals, Ltd. 987 19,797
Agnico-Eagle Mines, Ltd. 700 47,342
Agrium, Inc. 1,000 49,988
Aica Kogyo Company, Ltd. 1,100 11,674
Air Liquide 1,026 116,675
Air Products & Chemicals, Inc. 1,800 139,644
Air Water, Inc. 1,000 11,487
Airgas, Inc. 1,400 67,718
AK Steel Holding Corp. 1,800 35,514
Akzo Nobel NV 1,608 99,744
Alamos Gold, Inc. * 1,600 14,077
Albemarle Corp. 1,400 48,440
Alcoa, Inc. (a) 13,400 175,808
Allegheny Technologies, Inc. 1,700 59,483
Alumina, Ltd. * 1,000 6,350
Alumina, Ltd. * 18,167 28,882
Aluminum Corp. China, Ltd., ADR * 1,300 35,607
AMCOL International Corp. 500 11,445
American Vanguard Corp. 200 1,662
Aneka Tambang Tbk PT 15,000 3,800
Angang New Steel Company, Ltd., Class H 10,000 18,700
Anglo American PLC * 5,183 164,991
Anglo Platinum, Ltd. * 276 24,696
AngloGold Ashanti, Ltd., SADR (a) 1,100 44,836
Antofagasta PLC 2,944 35,702
Aquila Resources, Ltd. * 655 4,082
Aracruz Celulose SA, SADR * (a) 300 6,678
Arakawa Chemical Industries, Ltd. 600 6,932
ArcelorMittal 4,962 185,184
Arch Chemicals, Inc. 200 5,998
Arkema 378 13,336
Asahi Kasei Corp. 10,000 50,526
Ashland, Inc. 1,400 60,508
Balchem Corp. 100 2,630
Barrick Gold Corp. 3,200 121,168
BASF SE 3,238 171,434
Batu Kawan BHD 3,200 8,545
Bayer AG 2,339 161,998
BHP Billiton PLC 4,200 231,420
BHP Billiton, Ltd., SADR (a) 5,700 376,257
Billerud AB * 300 1,605
Billerud Aktibolag AB * 300 1,616
Biogen Idec, Inc. * 2,500 126,300
Bluescope Steel, Ltd. 14,114 36,154
Boliden AB 3,964 42,713
Braskem SA, SADR * 800 10,072
Brush Engineered Materials, Inc. * 700 17,122
Buckeye Technologies, Inc. * 300 3,219
Cabot Corp. 900 20,799
Cameco Corp. 1,800 49,949
Canfor Corp. * 2,100 11,925

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Basic Materials (continued)    
CAP SA 1,176 $ 30,312
Capstone Mining Corp. * 4,700 12,906
Carpenter Technology Corp. 800 18,712
Cascades, Inc. 500 3,666
Celanese Corp., Series A 1,500 37,500
Centamin Egypt, Ltd. * 12,582 18,534
Century Aluminum Company * 700 6,545
CF Industries Holdings, Inc. 100 8,623
China BlueChemical, Ltd. 18,000 9,691
China Molybdenum Company, Ltd. (g) 18,000 14,230
China Petrochemical Development Corp. * 10,600 3,459
China Steel Corp. 55,685 51,673
Chung Hung Steel Corp. * 8,744 3,378
Cia Minera Autlan SAB de CV 400 947
Ciech SA * 414 5,926
Clariant AG * 3,320 30,192
Cliffs Natural Resources, Inc. 2,300 74,428
Companhia Siderurgica Nacional SA, SADR 2,000 61,200
Compass Minerals International, Inc. 600 36,972
Croda International PLC 768 8,048
Crystallex International Corp. * 1,900 488
Cytec Industries, Inc. 800 25,976
D.S. Smith PLC 3,814 6,547
Daicel Chemical Industries, Ltd. 2,000 11,976
Daido Steel Company, Ltd. 4,000 14,434
Dainichiseika Color & Chemicals    
Manufacturing Company, Ltd. 1,000 3,292
Daio Paper Corp. 1,000 9,366
DC Chemical Company, Ltd. 89 19,878
Deltic Timber Corp. 100 4,577
Denison Mines Corp. * 7,400 13,754
Denki Kagaku Kogyo Kabushiki Kaisha 5,000 20,486
Dominion Mining, Ltd. 2,200 7,130
Dongkuk Steel Mill Company, Ltd. 690 15,916
Dow Chemical Company 9,876 257,467
Dowa Mining Company, Ltd. 2,000 12,042
Drdgold, Ltd. 8,960 6,318
Dundee Precious Metals, Inc. * 400 1,281
E.I. Du Pont de Nemours & Company 7,700 247,478
Earth Chemical Company, Ltd. * 300 9,649
Eastman Chemical Company 1,300 69,602
Ecolab, Inc. 2,044 94,494
EID Parry India, Ltd. 1,000 6,449
Eldorado Gold Corp. * 2,700 30,665
Elementis PLC 3,596 3,227
Eli Lilly & Company (a) 9,800 323,694
Empresas CMPC SA 1,092 38,535
EMS-Chemie Holding AG 77 8,564
Equinox Minerals, Ltd. * 2,200 7,110
Eramet 54 18,716
Eregli Demir ve Celik Fabrikalari * 6,661 28,900
European Goldfields, Ltd. * 900 4,186
Ferro Corp. 100 890
Fertilizantes Heringer SA * 1,600 10,838
Filtrona PLC 4,504 12,150
First Quantum Minerals, Ltd. 1,000 65,381

The accompanying notes are an integral part of the financial statements.
75



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Basic Materials (continued)    
FMC Corp. 800 $ 45,000
FNX Mining Company, Inc. * 400 3,504
Formosa Chemicals & Fibre Corp. 13,390 25,684
Formosa Plastic Corp. 22,470 45,634
Fortescue Metals Group, Ltd. * 6,361 21,315
Franco-Nevada Corp. 800 20,989
Freeport-McMoRan Copper & Gold, Inc.,    
Class B 3,500 240,135
Gammon Gold, Inc. * 1,200 10,267
Gem Diamonds, Ltd. * 504 1,919
Gerdau Ameristeel Corp. 1,300 10,369
Gerdau SA, SADR 4,500 60,480
Gibraltar Industries, Inc. 200 2,654
Givaudan AG 61 45,866
Godo Steel, Ltd. 3,000 5,842
Gold Fields, Ltd., SADR 3,300 45,474
Goldcorp, Inc. 2,969 119,187
Golden Star Resources, Ltd. * 1,500 5,114
Great Basin Gold, Ltd. * 5,000 7,659
Grupo Empresarial Ence SA * 533 2,412
Grupo Mexico SAB de CV, Series B * 28,049 51,705
Gunns, Ltd. 11,541 12,214
Gurit Heberlein AG 16 10,395
H.B. Fuller Company 600 12,540
Hanwha Chemical Corp. 1,330 14,379
Harmony Gold Mining Company, Ltd., SADR 1,600 17,504
Harry Winston Diamond Corp. 200 1,691
Hecla Mining Company * (a) 3,200 14,048
Hindalco Industries, Ltd. 6,590 17,546
Hitachi Chemical, Ltd. 1,000 20,285
Hitachi Metals, Ltd. 1,000 10,143
Hochschild Mining PLC 2,602 13,016
Holmen AB, Series B 626 17,258
Honam Petrochemical Corp. 201 15,063
Horsehead Holding Corp. * 700 8,204
Huchems Fine Chemical Corp. 130 3,460
HudBay Minerals, Inc. * 800 9,639
Hunan Non Ferrous Metal Corp., Ltd. * 12,000 3,354
Hyundai Steel Company 533 34,253
IAMGOLD Corp. 3,700 52,287
ICL Israel Chemicals, Ltd. 1,847 21,218
Iluka Resources, Ltd. * 6,108 21,293
Impala Platinum Holdings, Ltd. 2,110 49,482
Incitec Pivot, Ltd. 14,661 36,449
Industrias Penoles SA de CV 915 15,274
Innophos Holdings, Inc. 100 1,850
Innospec, Inc. 500 7,375
International Flavors & Fragrances, Inc. 900 34,137
International Nickel Indonesia Tbk PT * 24,000 10,299
International Paper Company 7,900 175,617
Intrepid Potash, Inc. * 300 7,077
IRPC PCL 74,400 9,665
Ivanhoe Mines, Ltd. * 2,800 35,986
JFE Holdings, Inc. 2,200 74,768
Jindal Steel & Power, Ltd. 4,134 50,423
Johnson Matthey PLC 1,725 38,235

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Basic Materials (continued)    
JSR Corp. 1,300 $ 26,499
JSW Steel, Ltd. 1,782 30,817
K&S AG 782 42,676
Kagara Zinc, Ltd. * 15,000 12,702
Kaiser Aluminum Corp. 600 21,816
Kaneka Corp. 3,000 21,491
Kansai Paint Company, Ltd. 2,000 15,510
KapStone Paper and Packaging Corp. * 600 4,884
Kazakhmys PLC 3,989 68,717
KCC Corp. 56 16,781
Kemira Oyj (a) 1,294 20,695
KGHM Polska Miedz SA 956 29,136
Kimberly-Clark de Mexico SA de CV 5,700 23,654
Kingboard Chemical Holdings, Ltd. 4,500 17,029
Kinross Gold Corp. 4,300 93,699
Kirkland Lake Gold, Inc. * 1,000 8,593
KISCO Corp. 35 1,394
Kloeckner & Company SE * 166 3,803
Kobe Steel Company, Ltd. 24,000 41,698
Koninklijke DSM NV 1,386 57,872
Korea Iron & Steel Company, Ltd. 10 691
Korea Zinc Company, Ltd. 68 10,067
Kronos Worldwide, Inc. (a) 1,600 16,496
Kuala Lumpur Kepong BHD 1,000 3,993
Kumba Iron Ore, Ltd. 515 17,093
Kumba Resources, Ltd. 1,225 14,731
La Seda de Barcelona SA * 1,841 916
Landec Corp. * 300 1,920
Lanxess AG 1,062 36,576
Lee & Man Paper Manufacturing, Ltd. 8,400 14,806
Lee Chang Yung Chemical Industries, Corp. 10,750 11,772
LG Chem, Ltd. 208 38,530
LG Hausys, Ltd. * 28 3,006
Lihir Gold, Ltd. * 17,151 42,940
Lintec Corp. 200 3,796
Lonmin PLC, ADR * 1,319 35,410
Lonza Group AG 368 40,117
Louisiana-Pacific Corp. * 1,100 7,337
Lubrizol Corp. 1,200 85,752
Lundin Mining Corp. * 1,400 4,721
Maanshan Iron & Steel Company, Ltd. * 22,000 13,109
Major Drilling Group International 100 2,032
Makhteshim-Agam Industries, Ltd. 2,892 13,109
Mayr-Melnhof Karton AG 150 15,205
MeadWestvaco Corp. 3,100 69,161
Methanex Corp. 800 13,935
Metorex, Ltd. * 1,710 752
Migao Corp. * 1,300 8,245
Minerals Technologies, Inc. 400 19,024
Mitsubishi Chemical Holdings Corp., ADR 6,000 24,728
Mitsubishi Gas & Chemicals Company, Inc. 3,000 16,185
Mitsubishi Materials Corp. 9,000 24,688
Mitsubishi Paper Mills, Ltd. 2,000 2,712
Mitsui Chemicals, Inc. 6,000 21,297
Mitsui Mining & Smelting Company, Ltd. 7,000 17,864
Mittal Steel South Africa, Ltd. 944 15,133

The accompanying notes are an integral part of the financial statements.
76



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Basic Materials (continued)    
MMX Mineracao e Metalicos SA * 300 $ 1,846
Mondi Packaging Paper Swiecie SA * 494 11,589
Mondi PLC 3,915 19,378
Mondi, Ltd. 1,967 10,249
Monsanto Company 4,600 356,040
Mount Gibson Iron, Ltd. * 1,612 1,552
M-real Oyj, Series B * 5,400 6,325
Murchison Metals, Ltd. * 11,474 15,528
Mytilineos Holdings SA 1,928 16,452
Nan Ya Plastics Corp. 29,870 48,746
Neenah Paper, Inc. 500 5,885
Newcrest Mining, Ltd. 1,837 51,646
Newmarket Corp. 300 27,912
Newmont Mining Corp. 2,100 92,442
Nihon Parkerizing Company, Ltd. 1,000 12,426
Nine Dragons Paper Holdings, Ltd. 16,000 20,371
Nippon Light Metal Company, Ltd. 3,000 3,080
Nippon Paint Company, Ltd. 2,000 10,808
Nippon Paper Group, Inc. 800 23,051
Nippon Steel Corp. 22,000 79,708
Nippon Yakin Kogyo Company, Ltd. 500 2,466
Nissan Chemical Industries, Ltd. 1,000 14,344
Nisshin Steel Company 7,000 12,411
Nitto Denko Corp. 1,200 36,498
Nl Industries, Inc. 400 2,680
NOF Corp. 1,000 4,996
Norske Skogindustrier ASA * 3,500 6,958
North American Palladium, Ltd. * 200 557
Northam Platinum, Ltd. 2,901 12,818
Northgate Minerals Corp. * 1,600 4,319
Nucor Corp. 3,500 164,535
Nufarm, Ltd. 1,661 16,612
Oji Paper Company, Ltd. 6,000 27,010
Olin Corp. 1,500 26,160
Olympic Steel, Inc. 100 2,869
OM Group, Inc. * 600 18,234
Omnova Solutions, Inc. * 1,900 12,312
OneSteel, Ltd. 9,891 26,273
Oriental Union Chemical Corp. 16,000 9,933
Osisko Mining Corp. * 2,300 17,100
Outokumpu Oyj 2,481 46,617
Oxiana, Ltd. * 17,837 17,814
P.H. Glatfelter Company 800 9,184
Pacific Metals Company, Ltd. 2,000 14,980
Palabora Mining Company, Ltd. 99 1,276
Paladin Resources, Ltd. * (a) 5,205 20,499
Pan American Silver Corp. * 600 13,775
Pan Australian Resources, Ltd. * 5,474 2,340
Papeles y Cartones de Europa SA 2,023 11,913
PaperlinX, Ltd. * 2,943 1,744
Parkson Holdings BHD 5,600 8,235
Penford Corp. 100 717
Peter Hambro Mining PLC 879 12,754
PolyOne Corp. * 600 4,002
Portucel - Empresa Produtora de Pasta e    
Papel SA 3,115 9,581

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Basic Materials (continued)    
POSCO, SADR 1,300 $ 135,122
Potash Corp. of Saskatchewan, Inc. 1,100 99,782
PPG Industries, Inc. (a) 1,500 87,315
Praxair, Inc. 2,600 212,394
Precious Woods Holding AG * 138 5,523
PTT Chemical PCL 7,500 16,443
Quadra Mining, Ltd. * 300 4,077
Quaker Chemical Corp. 100 2,193
Rautaruukki Oyj 824 19,757
Red Back Mining, Inc. * 1,900 21,349
Reliance Steel & Aluminum Company 1,300 55,328
Rengo Company, Ltd. 2,000 12,245
Rhodia SA * 508 7,742
Rio Tinto PLC, SADR 1,300 221,377
Rio Tinto, Ltd. 2,880 149,816
Rock-Tenn Company, Class A 600 28,266
Rockwood Holdings, Inc. * 1,200 24,684
Royal Gold, Inc. 300 13,680
RPM International, Inc. 2,000 36,980
RTI International Metals, Inc. * 400 9,964
Russel Metals, Inc. 1,100 17,528
Sakai Chemical Industry Company, Ltd. 1,000 4,392
Sally Malay Mining, Ltd. 4,562 9,928
Salzgitter AG 344 32,972
Samsung Fine Chemicals Company, Ltd. 232 10,633
Samuel Manu-Tech, Inc. 100 472
Sanyo Chemical Industries, Ltd. 1,000 5,867
Sanyo Special Steel Company, Ltd. 1,000 3,688
Sappi, Ltd., SADR * 3,600 13,896
Schnitzer Steel Industries, Inc. 400 21,300
Schweitzer Mauduit International, Inc. 300 16,308
Seah Besteel Corp. 440 5,995
SEMAFO, Inc. * 1,800 4,775
Sensient Technologies Corp. 900 24,993
Sesa Goa, Ltd. 4,934 27,234
SGL Carbon AG * 828 33,874
Sherritt International Corp. 3,300 23,610
Shin-Etsu Chemical Company, Ltd. 1,800 110,020
Shore Gold, Inc. * 1,200 1,255
Shougang Concord International Enterprises    
Company, Ltd. 12,000 2,061
Showa Denko K.K. (a) 13,000 26,292
Sigma-Aldrich Corp. 1,300 70,174
Silver Standard Resources, Inc. * 600 12,934
Silver Wheaton Corp. * 2,100 26,656
Silvercorp Metals, Inc. 500 2,382
Sinofert Holdings, Ltd. 34,000 14,874
Sino-Forest Corp. * 1,200 18,953
Sinopec Shanghai Petrochemical Company,    
Ltd., SADR * 300 12,465
SK Chemicals Company, Ltd. 404 22,405
Sociedad Quimica y Minera de    
Chile SA, ADR, B Shares 600 23,478
Solvay SA 418 43,414
Southern Copper Corp. (a) 7,200 220,968
SSAB Svenskt Stal AB, Series A 2,120 32,788
St. Barbara, Ltd. * 28,674 6,784

The accompanying notes are an integral part of the financial statements.
77



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Basic Materials (continued)    
Steel Dynamics, Inc. 3,300 $ 50,622
Stepan Company 100 6,008
Stillwater Mining Company * 2,500 16,800
Stora Enso Oyj, Series R * 4,914 34,324
Straits Resources, Ltd. * 839 1,209
Sumitomo Bakelite Company, Ltd. 3,000 15,799
Sumitomo Chemical Company, Ltd. 7,645 31,593
Sumitomo Metal Industries, Ltd. 14,000 34,150
Sumitomo Metal Mining Company, Ltd. 2,000 32,566
Superb Summit International Timber    
Company, Ltd. * 890,000 4,116
Svenska Cellulosa AB, B Shares 4,426 60,101
Symrise AG 1,131 21,559
Symyx Technologies, Inc. * 1,200 7,944
Syngenta AG, ADR 2,500 114,875
Taekwang Industrial Company, Ltd. 5 3,698
Taiwan Fertilizer Company, Ltd. 7,000 24,957
Taiyo Ink Manufacturing Company, Ltd. 400 10,149
Taiyo Nippon Sanso Corp. 1,000 11,828
Takasago International Corp. 1,000 5,628
Tanzanian Royalty Exploration Corp. * (a) 1,900 5,413
Taseko Mines, Ltd. * 900 2,387
Tata Steel, Ltd. 654 6,886
Teck Cominco, Ltd. * 5,700 157,054
Temple-Inland, Inc. (a) 2,100 34,482
Tenaris SA, ADR (a) 1,200 42,744
Terra Industries, Inc. 400 13,868
Tessenderlo Chemie NV 203 7,826
The Mosaic Company 3,800 182,666
The Sherwin-Williams Company 600 36,096
Thompson Creek Metals Company, Inc. * 400 4,831
Thyssen Krupp AG 2,243 77,256
Timah Tbk PT 63,500 14,116
Timminco, Ltd. * 300 375
Titanium Metals Corp. 3,800 36,442
Tokai Carbon Company, Ltd. 2,000 9,387
Tokushu Tokai Holdings Company, Ltd. 3,000 8,133
Tokuyama Corp. 2,000 14,609
Tokyo Steel Manufacturing Company, Ltd. 900 10,956
Ton Yi Industrial Corp. 10,000 3,585
Tosoh Corp. 5,000 12,576
Tubos Reunidos SA 599 2,140
Tung Ho Steel Enterprise Corp. 3,212 3,391
Ube Industries, Ltd. 9,000 23,567
Uex Corp. * 800 874
Ultrapar Participacoes SA, ADR 300 12,051
Ultrapar Participacoes SA 200 8,062
Umicore 1,240 37,190
Union Tool Company, Ltd. 100 3,179
United Phosphorus, Ltd. 3,143 10,830
United States Lime & Minerals, Inc. * (a) 100 3,592
United States Steel Corp. 1,800 79,866
Universal Stainless & Alloy Products, Inc. * 100 1,825
UPC Technology Corp. 17,000 7,912
UPM-Kymmene Oyj 4,866 58,325
Uranium Energy Corp. * 2,300 6,785

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Basic Materials (continued)    
Uranium One, Inc. * 7,500 $ 18,003
USEC, Inc. * 2,500 11,725
Usinas Siderurgicas de Minas Gerais SA 700 17,903
Vale SA, SADR (a) 8,900 182,539
Vale SA 8,000 185,040
Valhi, Inc. (a) 1,500 18,180
Valspar Corp. 1,700 46,767
Vedanta Resources PLC 2,251 68,631
Victrex PLC 1,412 17,211
Voestalpine AG 1,126 40,325
Votorantim Celulose e Papel SA, SADR * 1,638 26,880
W.R. Grace & Company * 1,100 23,914
Wacker Chemie AG 99 15,435
Wausau-Mosinee Paper Corp. 400 4,000
West Fraser Timber Company, Ltd. 300 7,636
Westlake Chemical Corp. 1,500 38,550
Weyerhaeuser Company 2,400 87,960
Xstrata PLC * 8,586 126,447
Yamana Gold, Inc. 5,300 57,027
Yamato Kogyo Company, Ltd. 300 8,388
Yara International ASA 1,047 32,908
Young Poong Corp. 8 3,748
Yuen Foong Yu Paper Manufacturing    
Company, Ltd. * 26,000 8,908
Yushiro Chemical Industry Company, Ltd. 500 7,216
Zaklady Azotowe Pulawy SA 263 7,170
Zhaojin Mining Industry Company, Ltd. 6,000 10,151
Zijin Mining Group, Ltd. 26,000 25,301
Zoltek Companies, Inc. * (a) 1,300 13,650
 
    13,800,478
Communications - 6.30%    
3Com Corp. * 7,700 40,271
Acacia Research - Acacia Technologies * 1,300 11,323
Acme Packet, Inc. * 1,900 19,019
Adaptec, Inc. * 1,500 5,010
ADC Telecommunications, Inc. * 800 6,672
ADTRAN, Inc. 1,000 24,550
Advanced Info Service PCL 4,500 12,695
Aegis Group PLC 13,519 24,265
Airvana, Inc. * 400 2,708
Akamai Technologies, Inc. * 2,219 43,670
Alaska Communications Systems Group, Inc. 100 925
Alcatel-Lucent, SADR * 1,300 5,837
Alcatel-Lucent * 18,207 81,581
Alma Media Oyj 1,123 11,967
Amazon.com, Inc. * 3,600 336,096
Amdocs, Ltd. * 3,700 99,456
America Movil SAB de CV, Series L, ADR 3,400 149,022
American Tower Corp., Class A * 3,365 122,486
Anixter International, Inc. * 500 20,055
APN News & Media, Ltd. 2,128 3,860
Applied Signal Technology, Inc. 400 9,308
Ariba, Inc. * 1,100 12,760
Arris Group, Inc. * 2,300 29,923
Art Technology Group, Inc. * 2,000 7,720
Aruba Networks, Inc. * 1,300 11,492

The accompanying notes are an integral part of the financial statements.
78



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Communications (continued)    
ASATSU-DK, Inc. 200 $ 4,225
Asia Satellite Telecom Holdings Company, Ltd. 7,000 10,606
Astral Media, Inc. 600 18,549
AT&T, Inc. 36,650 989,917
Atheros Communications, Inc. * 900 23,877
Atlantic Tele-Network, Inc. 200 10,684
Avocent Corp. * 1,100 22,297
Axel Springer AG 80 8,393
Axtel SAB de CV, ADR * 14,800 11,042
B2W Companhia Global Do Varejo 300 8,433
BCE, Inc. 1,917 47,251
Belgacom SA 976 38,030
Belo Corp., Class A 600 3,246
Bezek Israeli Telecommunications Corp., Ltd. 7,082 15,242
Bharti Telecom, Ltd. 5,164 44,943
BigBand Networks, Inc. * 1,300 5,213
Black Box Corp. 200 5,018
Blue Coat Systems, Inc. * 400 9,036
British Sky Broadcasting Group PLC, ADR 1,300 47,489
BT Group PLC 4,200 87,402
Cable & Wireless PLC 22,913 52,586
Cablevision Systems Corp., Class A 2,700 64,125
Caltagirone Editore SpA 265 838
Carso Global Telecom SAB de CV * 3,100 12,759
Cbeyond Communications, Inc. * 400 6,452
CBS Corp., Class A * 600 7,236
CBS Corp., Class B 700 8,435
Cellcom Israel, Ltd. 473 14,185
Centennial Communications Corp., Class A * 1,200 9,576
CenturyTel, Inc. 2,211 74,290
Cheil Communications, Inc. 50 12,324
China Communications Services Corp., Ltd.,    
Class H 28,000 15,215
China Mobile, Ltd., SADR 4,900 240,639
China Mobile, Ltd. 1,500 14,711
China Telecom Corp., Ltd. ADR 800 37,840
China Unicom, Ltd., ADR (a) 5,203 74,091
Chordiant Software, Inc. * 2,100 8,169
Chunghwa Telecom Company, Ltd., ADR 2,410 43,476
Ciena Corp. * 1,300 21,164
Cincinnati Bell, Inc. * 4,100 14,350
CIR-Compagnie Industriali Riunite SpA * 2,773 6,239
Cisco Systems, Inc. * 49,850 1,173,469
Citic 1616 Holdings, Ltd. 27,000 7,142
Cogeco Cable, Inc. 400 11,328
Cogent Communications Group, Inc. * 200 2,260
Colt Telecom Group PLC * 4,670 8,873
Comcast Corp., Class A 14,754 249,195
Comcast Corp., Class A 6,184 99,439
CommScope, Inc. * 1,100 32,923
comScore, Inc. * 500 9,005
Comtech Telecommunications Corp. * 200 6,644
Consolidated Communications Holdings, Inc. 400 6,404
Constant Contact, Inc. * (a) 200 3,850
Corning, Inc. 17,100 261,801
Corus Entertainment, Inc., Class B 1,200 20,421

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Communications (continued)    
CPI International, Inc. * 700 $ 7,833
Crown Castle International Corp. * 3,700 116,032
Customers, Ltd. * 3,092 9,013
Cybersource Corp. * 1,000 16,670
Daily Mail and General Trust PLC 3,091 22,726
Daimei Telecom Engineering Corp. 1,000 9,830
DealerTrack Holdings, Inc. * 400 7,564
Dentsu, Inc. 1,800 41,606
Deutsche Telekom AG 10,490 143,423
DG Fastchannel, Inc. * 400 8,376
Dice Holdings, Inc. * 1,000 6,560
Digital River, Inc. * 600 24,192
DIRECTV Group, Inc. * (a) 8,620 237,740
Discovery Communications, Inc., Series C * 2,000 52,060
DISH Network Corp. * 1,800 34,668
D-Link Corp. 7,980 7,079
Dolan Media Company * 400 4,796
E-Access, Ltd. 18 12,529
Earthlink, Inc. 2,300 19,343
eBay, Inc. * 14,200 335,262
EchoStar Corp., Class A * 800 14,768
Elisa Oyj, Class A 1,564 32,118
Ementor ASA 100 633
Empresa Nacional de Telecomunicaciones SA 1,081 13,847
EMS Technologies, Inc. * 200 4,164
ePlus, Inc. * 300 4,665
Equinix, Inc. * 600 55,200
eResearch Technology, Inc. * 200 1,400
Ericsson (LM), Series B 8,970 89,990
Eutelsat Communications * 618 18,821
EW Scripps Co. * 100 750
Exfo Electro Optical Engineering, Inc. * 55 194
Extreme Networks, Inc. * 1,700 4,760
F5 Networks, Inc. * 1,000 39,630
Fastweb SpA * 351 9,866
Fisher Communications, Inc. * 100 1,818
Foxconn International Holdings, Ltd. * 34,000 22,540
France Telecom SA, SADR 2,800 75,376
France Telecom SA 3,777 101,029
Freenet AG * 594 8,118
Frontier Communications Corp. 5,200 39,208
Fuji Television Network, Inc. 5 8,146
Gannett Company, Inc. 500 6,255
General Communication, Inc., Class A * 1,800 12,348
GeoEye, Inc. * 200 5,360
Gestevision Telecinco SA 1,063 13,425
Glacier Media, Inc. * 600 1,065
Global Crossing, Ltd. * 1,200 17,160
Global Village Telecom Holding SA * 1,200 27,467
Globecomm Systems, Inc. * 400 2,908
GN Store Nord A/S * 2,000 10,933
Google, Inc., Class A * 2,000 991,700
Groupe Aeroplan, Inc. 2,900 26,816
Grupo Iusacell SA de CV * 300 983
Grupo Televisa SA, SADR 2,300 42,757
GSI Commerce, Inc. * 700 13,517

The accompanying notes are an integral part of the financial statements.
79



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Communications (continued)    
Hakuhodo DY Holdings, Inc. 210 $ 11,377
Harmonic, Inc. * 1,700 11,356
Harris Corp. 2,300 86,480
Harris Stratex Networks, Inc., Class A * 1,300 9,100
Harte-Hanks, Inc. 1,800 24,894
Havas SA 9,811 41,756
Hellenic Telecommunications Organization SA 1,631 27,063
Hikari Tsushin, Inc. 400 8,711
Hitachi Kokusai Electric, Inc. 1,000 7,770
Hughes Communications, Inc. * 400 12,136
Hutchison Telecommunications Hong Kong    
Holdings, Ltd. 27,000 4,519
Hutchison Telecommunications    
International, Ltd. * 27,000 5,595
Hypercom Corp. * 400 1,240
i2 Technologies, Inc. * 1,000 16,040
IAC/InterActiveCorp * 2,500 50,475
iBasis, Inc. * 600 1,272
Idea Cellular, Ltd. * 2,091 3,270
Iliad SA 179 20,201
Indosat Tbk PT, ADR 131 3,654
Infinera Corp. * 900 7,155
Informa PLC 5,662 28,538
InfoSpace, Inc. * 300 2,322
Inmarsat PLC 3,801 33,510
InterDigital, Inc. * 600 13,896
Internap Network Services Corp. * 800 2,568
Internet Capital Group, Inc. * 2,200 18,392
Interpublic Group of Companies, Inc. * 8,300 62,416
inVentiv Health, Inc. * 400 6,692
Iowa Telecommunications Services, Inc. 400 5,040
iPCS, Inc. * 600 10,440
Ipsos SA 285 8,849
Iress Market Technology, Ltd. 2,010 15,025
ITV PLC 38,008 26,853
Ixia * 800 5,488
J2 Global Communications, Inc. * 600 13,806
Jazztel PLC * 17,157 7,335
JC Decaux SA * 642 13,920
JDS Uniphase Corp. * 3,000 21,330
John Fairfax Holdings, Ltd. 41,112 62,293
John Wiley & Sons, Inc., Class A 500 17,390
Johnston Press PLC * 3,508 2,102
Journal Communications, Inc. 1,100 4,048
Juniper Networks, Inc. * 4,500 121,590
Kadokawa Holdings, Inc. 500 11,168
Kakaku.com, Inc. 2 7,338
KDDI Corp. 11 61,875
Kingston Communications PLC 13,206 7,809
Knology, Inc. * 800 7,800
Koninklijke KPN NV 6,741 111,868
KT Corp., SADR 900 15,642
Kudelski SA 786 18,271
KVH Industries, Inc. * 700 6,993
Lagardere SCA 829 38,682
Lamar Advertising Company, Class A * 1,100 30,184
Leap Wireless International, Inc. * 1,400 27,370

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Communications (continued)    
LG Telecom, Ltd. 1,120 $ 8,104
Liberty Global, Inc., Class A * 2,500 56,425
Liberty Global, Inc., Series C * 2,400 53,904
Liberty Media Corp. - Capital, Series A * 1,800 37,656
Liberty Media Corp. - Entertainment, Series A * 6,800 211,548
Liberty Media Corp. - Interactive A * 10,300 112,991
Lionbridge Technologies, Inc. * 600 1,560
Liquidity Services, Inc. * 200 2,064
LoopNet, Inc. * 700 6,328
Loral Space & Communications, Inc. * 500 13,740
M6-Metropole Television 679 17,871
Magyar Telekom Telecommunications PLC 1,300 28,600
Marchex, Inc., Class B 200 982
Mastec, Inc. * 600 7,290
Matsui Securities Company, Ltd. 1,600 12,948
McAfee, Inc. * 2,000 87,580
McGraw-Hill Companies, Inc. 2,700 67,878
Mediaset SpA 6,330 44,385
Meetic * 378 12,652
Meredith Corp. 700 20,958
MetroPCS Communications, Inc. * 4,500 42,120
MobileOne, Ltd. 8,000 10,044
Mobistar SA 383 26,528
Modern Times Group AB, Series B 496 21,472
ModusLink Global Solutions, Inc. * 200 1,618
Mondadori (Arnoldo) Editore SpA * 2,250 11,244
Monster Worldwide, Inc. * 2,200 38,456
Motorola, Inc. 25,700 220,763
Move, Inc. * 2,500 6,750
MTN Group, Ltd. 6,724 109,660
Naspers, Ltd. 1,832 62,822
NCSoft Corp. 135 19,318
Network Equipment Technologies, Inc. * 700 5,061
NeuStar, Inc., Class A * 1,175 26,555
Neutral Tandem, Inc. * 300 6,828
News Corp., Class A 19,100 229,009
News Corp (a) 8,900 124,511
NIC, Inc. * 300 2,667
NICE Systems, Ltd., ADR * 800 24,352
NII Holdings, Inc. * 1,800 53,964
Nippon Telegraph & Telephone Corp. 2,200 101,556
Nokia AB Oyj 6,301 92,667
Nokia Oyj, SADR 8,000 116,960
Novatel Wireless, Inc. * 600 6,816
NTELOS Holdings Corp. 400 7,064
NTT Data Corp. 7 22,337
NTT DoCoMo, Inc. 78 124,294
Oki Electric Industry Company, Ltd. * 3,000 2,660
Omnicom Group, Inc. 2,665 98,445
Openwave Systems, Inc. * 1,800 4,680
Oplink Communications, Inc. * 300 4,356
OpNext, Inc. * 2,900 8,497
Outdoor Channel Holdings, Inc. * 300 1,962
PAETEC Holding Corp. * 4,200 16,254
PagesJaunes Groupe SA (a) 975 12,650
Partner Communications Company, Ltd., ADR 700 13,174

The accompanying notes are an integral part of the financial statements.
80



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Communications (continued)    
PCCW, Ltd. * 17,000 $ 4,445
Pearson PLC, SADR 6,700 83,281
Philippine Long Distance Telephone    
Company, SADR 200 10,280
Plantronics, Inc. 1,100 29,491
Polycom, Inc. * 1,400 37,450
Portugal Telecom, SGPS, SA 3,223 34,179
Premiere AG * 4,951 26,425
Premiere Global Services, Inc. * 500 4,155
Priceline.com, Inc. * 300 49,746
Promotora de Informaciones SA * 515 2,944
PT Multimedia.com, SGPS, SA 2,647 17,968
PT Telekomunikiasi Indonesia Tbk PT, SADR 1,200 42,840
Publicis Groupe SA 1,051 42,223
PubliGroupe SA 25 2,867
Publishing & Broadcasting, Ltd. 4,541 11,918
QUALCOMM, Inc. 14,000 629,720
Qwest Communications International, Inc. (a) 15,100 57,531
RCN Corp. * 200 1,860
RealNetworks, Inc. * 2,800 10,416
Reed Elsevier NV 3,809 43,019
Reed Elsevier PLC 1,400 42,112
Reliance Communications, Ltd. 3,426 21,873
RF Micro Devices, Inc. * 1,100 5,973
Rightmove PLC 2,571 22,799
RightNow Technologies, Inc. * 200 2,888
Rogers Communications, Inc., Class B 1,700 48,000
S1 Corp. * 700 4,326
Saba Software, Inc. * 1,400 5,894
Sanoma WSOY Oyj (a) 694 15,342
Sapient Corp. * 2,200 17,688
SAVVIS, Inc. * 1,600 25,312
SBA Communications Corp. * 1,200 32,436
SBI Holdings, Inc. 152 29,751
Schibsted ASA 400 6,793
Scripps Networks Interactive, Inc., Class A 1,300 48,035
Seat Pagine Gialle SpA * 662 223
SeLoger.com * 403 16,189
SES, ADR 1,657 37,610
Seven Network, Ltd. * 2,515 13,895
Shaw Communications, Inc. 1,700 30,772
Shenandoah Telecommunications Company 200 3,590
Singapore Press Holdings, Ltd. 11,000 29,978
Singapore Telecommunications, Ltd. 33,000 75,766
SK Telecom Company, Ltd., ADR 1,400 24,430
Sky Network Television, Ltd. 4,694 16,067
Smiths News PLC 5,009 9,563
Societe Television Francaise 1 1,508 26,544
Softbank Corp. 3,100 67,680
SonicWALL, Inc. * 500 4,200
Sourcefire, Inc. * 200 4,294
Spirent Communications PLC 3,276 4,572
Sprint Nextel Corp. * 38,200 150,890
SR Teleperformance SA 626 21,020
Starent Networks Corp. * 1,200 30,504
StarHub, Ltd. 6,000 9,227

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Communications (continued)    
Support.com, Inc. * 600 $ 1,440
SureWest Communications * 200 2,484
Swisscom AG 130 46,564
Switch & Data Facilities Company, Inc. * 800 10,888
Sycamore Networks, Inc. * 6,500 19,630
Symantec Corp. * 7,100 116,937
Syniverse Holdings, Inc. * 1,300 22,750
Tamedia AG 61 4,652
Tandberg ASA 534 12,806
TechTarget, Inc. * 221 1,260
Tekelec, Inc. * 1,000 16,430
Tele Norte Leste Participacoes SA, ADR 1,300 24,427
Tele Norte Leste Participacoes SA 400 9,031
Tele2 AB, Series B 2,681 35,639
Telecom Corp. of New Zealand, Ltd. 3,836 7,369
Telecom Italia SpA 46,371 81,466
TeleCommunication Systems, Inc. * 300 2,508
Telecomunicacoes de Sao Paulo SA 600 13,378
Telefonaktiebolaget LM Ericsson, SADR (a) 2,500 25,050
Telefonica Czech Republic AS 798 19,761
Telefonica SA, SADR (a) 5,200 431,132
Telefonos de Mexico SAB de CV, Series L,    
SADR 900 15,696
Telegraaf Media Groep NV 304 5,788
Telekom Austria AG 3,134 56,557
Telekom Malaysia BHD 8,300 7,368
Telekomunikacja Polska SA 2,522 13,911
Telenet Group Holding NV * 611 16,190
Telenor ASA * 2,900 33,670
Telephone & Data Systems, Inc. - Special    
Shares 1,100 32,648
Telephone & Data Systems, Inc. 900 27,909
Television Broadcasting Company, Ltd. 3,000 12,996
Teliasonera AB 10,754 70,710
Telkom SA, Ltd., SADR 800 18,400
Tellabs, Inc. * 8,800 60,896
Telmex Internacional SAB de CV, ADR 300 4,185
Telstra Corp., Ltd. 14,123 40,682
Telular Corp. * 700 2,275
Ten Network Holdings, Ltd. 4,235 5,395
Tencent Holdings, Ltd. 6,200 99,697
Terremark Worldwide, Inc. * 1,100 6,842
The Knot, Inc. * 300 3,276
The New York Times Company, Class A 1,400 11,368
The Thomson Corp. 1,200 40,284
Thomson Corp. 913 30,614
Thomson Reuters Corp. * 499 16,751
TIBCO Software, Inc. * 3,700 35,113
Tim Participacoes SA 400 9,840
Time Warner Cable, Inc. * 4,840 208,556
Time Warner, Inc. 15,733 452,796
TM International BHD * 12,400 11,059
Tokyo Broadcasting Company, Ltd. 600 10,154
Torstar Corp., Class B 400 2,541
Trend Micro, Inc. 500 18,583
Trinity Mirror PLC 1,806 4,974
Turkcell Iletisim Hizmetleri AS, ADR 1,100 19,657

The accompanying notes are an integral part of the financial statements.
81



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Communications (continued)    
TV Azteca SA de CV 5,600 $ 2,427
TVN SA 1,226 6,084
TW Telecom, Inc. * 2,500 33,625
U.S. Cellular Corp. * 900 35,163
United Business Media, Ltd. 2,888 21,616
United Internet AG * 711 10,740
United Online, Inc. 1,300 10,452
USA Mobility, Inc. * 500 6,440
ValueClick, Inc. * 900 11,871
VeriSign, Inc. * 2,000 47,380
Verizon Communications, Inc. 18,300 553,941
Viacom, Inc., Class B * 5,000 140,200
Viacom, Inc. * 600 17,670
Viasat, Inc. * 400 10,632
Vivendi SA 5,020 155,668
Vivo Participacoes SA 500 12,625
Vocus, Inc. * 100 2,089
Vodafone Group PLC, SADR 24,700 555,750
VTech Holdings, Ltd. 2,000 17,200
WebMD Health Corp. * 300 9,936
Websense, Inc. * 700 11,760
West Australian Newspapers Holdings, Ltd. 697 4,621
Windstream Corp. 5,600 56,728
Wolters Kluwer NV 2,576 55,128
Woongjin Thinkbig Company, Ltd. 440 8,573
World Wrestling Entertainment, Inc., Class A 200 2,802
WPP PLC, ADR 1,100 47,267
Yahoo Japan Corp. 47 15,878
Yahoo!, Inc. * 15,400 274,274
Yell Group PLC * 5,278 4,971
Zee Entertainment Enterprises, Ltd. 2,844 14,041
ZTE Corp., Class H 3,580 18,781
 
    18,196,850
Consumer, Cyclical - 7.85%    
99 Cents Only Stores * 700 9,415
Abercrombie & Fitch Company, Class A (a) 1,600 52,608
Ability Enterprise Company, Ltd. 8,240 16,103
Accor SA 1,059 58,991
Adani Enterprises, Ltd. 1,097 15,177
Adidas-Salomon AG 1,835 97,142
Advance Auto Parts, Inc. 1,000 39,280
Aeon Company (M) Berhad 3,500 4,810
AEON Company, Ltd. 3,100 29,505
Aeropostale, Inc. * 1,065 46,296
AFC Enterprises, Inc. * 1,300 10,946
AFG Arbonia-Forster Holding AG 54 1,173
Aga Rangemaster Group PLC 3,162 7,264
Air China, Ltd., Class H * 48,000 27,799
Air France KLM * 1,136 20,699
AirAsia BHD * 24,300 9,788
Airtran Holdings, Inc. * (a) 1,900 11,875
Aisin Seiki Company 1,700 41,072
Alaska Air Group, Inc. * 500 13,395
Alesco Corp., Ltd. 615 2,442
Alimentation Couche Tard, Inc. 2,600 45,533
All Nippon Airways Company, Ltd. 3,000 8,600

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Allegiant Travel Company * 300 $ 11,427
Allion Healthcare, Inc. * 710 4,153
Alpine Electronics, Inc. 900 8,368
Ambassadors Group, Inc. 200 3,130
Amer Sports Oyj, A Shares 882 7,665
American Axle & Manufacturing Holdings, Inc. (a) 300 2,124
American Eagle Outfitters, Inc. 2,979 50,226
American Woodmark Corp. 100 1,934
Americas Car Mart, Inc. * 700 16,765
Amerigon, Inc. * 1,000 7,350
Ameristar Casinos, Inc. 1,000 15,780
AMR Corp. * (a) 4,700 37,365
AnnTaylor Stores Corp. * 1,200 19,068
Aoyama Trading Company, Ltd. 900 15,359
Aristocrat Leisure, Ltd. 3,696 17,024
ArvinMeritor, Inc. 500 3,910
Asiana Airlines, Inc. * 2,380 7,923
ASICS Corp. 1,000 9,235
Astra International Tbk PT 11,500 39,605
ATC Technology Corp. * 300 5,928
Atom Corp. * 2,500 8,094
Audiovox Corp., Class A * 700 4,795
Autogrill SpA * 1,195 14,463
AutoNation, Inc. * (a) 3,100 56,048
AutoZone, Inc. * 500 73,110
Bally Technologies, Inc. * 700 26,859
Barnes & Noble, Inc. (a) 1,000 22,220
Bayerische Motoren Werke (BMW) AG 1,992 96,158
Beacon Roofing Supply, Inc. * 1,000 15,980
Bebe Stores, Inc. 1,500 11,040
Bed Bath & Beyond, Inc. * (a) 2,200 82,588
Belle International Holdings, Ltd., GDR 23,000 23,342
Bellway PLC 1,862 24,727
Benetton Group SpA 867 8,796
Berjaya Sports Toto BHD 3,642 4,659
Berkeley Group Holdings PLC * 769 10,903
Best Buy Company, Inc. 3,600 135,072
Best Denki Company, Ltd. 500 2,357
Big 5 Sporting Goods Corp. 1,000 15,100
Big C Supercenter PCL 6,800 8,905
Big Lots, Inc. * 1,200 30,024
Billabong International, Ltd. 3,511 36,990
BJ's Restaurants, Inc. * 900 13,491
BJ's Wholesale Club, Inc. * (a) 900 32,598
BlueLinx Holdings, Inc. * 300 1,203
Bob Evans Farms, Inc. 700 20,342
Bon-Ton Stores, Inc. 1,300 9,464
BorgWarner, Inc. 2,000 60,520
Bovis Homes Group PLC * 816 6,096
Boyd Gaming Corp. * 1,600 17,488
Brascan Residential Properties SA 4,400 19,198
Bridgestone Corp. 2,900 51,643
Brightpoint, Inc. * 2,200 19,250
Brilliance China Automotive Holdings, Ltd. * 68,000 7,070
Brinker International, Inc. 1,600 25,168
Brisa Auto Estrada, SA 2,900 28,592

The accompanying notes are an integral part of the financial statements.
82



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
British Airways PLC * (a) 4,906 $ 17,325
Brookfield Homes Corp. * 200 1,336
Brown Shoe, Inc. 800 6,416
Brunswick Corp. 2,000 23,960
BSS Group PLC 706 3,272
Buffalo Wild Wings, Inc. * 300 12,483
Bulgari SpA 1,321 10,225
Burberry Group PLC 5,900 47,516
Burger King Holdings, Inc. 600 10,554
BWIN Interactive Entertainment AG * 452 20,536
C.P. Seven Eleven PCL 23,200 13,680
Cabela's, Inc. * (a) 1,200 16,008
Cafe de Coral Holdings, Ltd. 2,000 4,380
California Pizza Kitchen, Inc. * 200 3,124
Callaway Golf Company (a) 1,000 7,610
Canadian Tire Corp., Ltd. 600 32,369
Canon Electronics, Inc. 200 3,731
Canon Sales Company, Inc. 700 12,332
CarMax, Inc. * 3,900 81,510
Carnival Corp. * 6,000 199,680
Carnival PLC, ADR * 1,600 55,184
Carphone Warehouse Group PLC 5,942 18,168
Carter's, Inc. * 800 21,360
Casey's General Stores, Inc. 600 18,828
Cash America International, Inc. 500 15,080
Casual Male Retail Group, Inc. * 2,400 8,256
Cathay Pacific Airways, Ltd. * 8,000 12,646
Cato Corp., Class A 400 8,116
Cavco Industries, Inc. * 100 3,550
CEC Entertainment, Inc. * 300 7,758
Central European Distribution Corp. * 1,000 32,760
Charles Voegele Holding AG * 176 7,724
Charlotte Russe Holding, Inc. * 200 3,500
Charming Shoppes, Inc. * 2,600 12,766
Cheng Shin Rubber Industry Company, Ltd. 6,600 13,914
Chico's FAS, Inc. * 3,500 45,500
Children's Place Retail Stores, Inc. * 600 17,976
China Airlines, Ltd. * 8,320 2,775
China Dongxiang Group Company 27,000 17,867
China Eastern Airlines Corp., Ltd. - Hong    
Kong Exchange * 60,000 20,418
China Southern Airlines Company, Ltd. -    
Hong Kong Exchange * 60,000 18,848
China Travel International Investment    
Hong Kong, Ltd. 22,000 4,348
Chipotle Mexican Grill, Inc., Class A * (a) 300 29,115
Chipotle Mexican Grill, Inc. * 400 33,288
Chiyoda Company, Ltd. 200 2,846
Choice Hotels International, Inc. 1,100 34,166
Churchill Downs, Inc. 400 15,400
Cinemark Holdings, Inc. 2,200 22,792
Cineworld Group PLC 2,556 6,607
Cintas Corp. 2,800 84,868
Circle K Sunkus Company, Ltd. 300 4,520
Citi Trends, Inc. * 100 2,847
Citizen Watch Company, Ltd. 3,500 19,505
CKE Restaurants, Inc. 700 7,343

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Coach, Inc. 2,700 $ 88,884
Coldwater Creek, Inc. * 1,100 9,020
Collective Brands, Inc. * 1,300 22,529
Colowide Company, Ltd. 1,500 10,058
Columbia Sportswear Company 700 28,812
Compagnie Financiere Richemont SA 3,390 95,989
Compagnie Generale des Etablissements    
Michelin, Class B 988 77,737
Compagnie Plastic Omnium SA 375 10,160
Conn's, Inc. * 700 7,903
Consorcio ARA SA de CV * 6,000 3,601
Continental Airlines, Inc., Class B * 1,600 26,304
Cooper Tire & Rubber Company 400 7,032
Copart, Inc. * (a) 1,100 36,531
Core-Mark Holding Company, Inc. * 100 2,860
Corp. GEO SA de CV, Series B * 12,300 33,445
Costco Wholesale Corp. 3,800 214,548
Cracker Barrel Old Country Store, Inc. 300 10,320
Crocs, Inc. * 400 2,660
Crown, Ltd. 7,045 55,274
Culture Convenience Club Company, Ltd. (a) 1,100 7,145
CVS Caremark Corp. 16,149 577,165
D.R. Horton, Inc. 4,100 46,781
Daewoo International Corp. 288 8,574
Daewoo Motor Sales Corp. * 161 1,577
Daihatsu Motor Company, Ltd. 1,000 10,181
Daimler AG 5,400 271,674
Daiwa House Industry Company, Ltd. 4,000 41,919
Darden Restaurants, Inc. 1,400 47,782
David Jones, Ltd. 3,562 18,263
DCM Japan Holdings Company, Ltd. 1,400 9,504
De La Rue PLC Group 1,136 16,303
Debenhams PLC 18,950 23,073
Debica SA 320 7,142
Deckers Outdoor Corp. * 200 16,970
Delta Air Lines, Inc. * 5,200 46,592
Denso Corp. 2,500 72,664
Denway Motors, Ltd. 68,000 30,250
Desarrolladora Homex SA de CV * 1,000 6,281
Desarrolladora Homex SA de CV * 400 15,112
Descente, Ltd. 2,000 9,159
Destination Maternity Corp. * 400 7,252
Deutsche Lufthansa AG 2,283 40,532
Dick's Sporting Goods, Inc. * 1,400 31,360
Dillard's, Inc., Class A 1,600 22,560
DineEquity, Inc. * 500 12,375
Diploma PLC 2,172 6,006
Dixons Group PLC * 11,976 5,128
Dollar Tree, Inc. * 1,000 48,680
Domino's Pizza, Inc. * 1,500 13,260
Don Quijote Company, Ltd. 200 4,731
Dongfeng Motor Group Company, Ltd. 30,000 31,398
Dorel Industries, Inc., Class B 200 5,496
Dorman Products, Inc. * 300 4,506
Douglas Holding AG 377 17,260
Doutor Nichires Holdings Company, Ltd. 700 10,726

The accompanying notes are an integral part of the financial statements.
83



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
DRB-Hicom BHD 17,200 $ 5,727
DreamWorks Animation SKG, Inc., Class A * 1,000 35,570
DSW, Inc., Class A * 200 3,194
DTS, Inc. * 300 8,214
Dufry Group AG * 34 1,904
Eastern Platinum, Ltd. * 26,100 14,139
easyJet PLC * 2,229 13,522
EDION Corp. 500 4,311
Electrolux AB, Series B * 1,712 39,271
ElringKlinger AG 874 17,985
Enterprise Inns PLC 1,488 2,964
Esprit Holdings, Ltd. 5,600 37,556
Etam Developpement SA * 178 3,984
Ethan Allen Interiors, Inc. 400 6,600
EVA Airways Corp. * 27,920 10,986
Exedy Corp. 200 4,371
Exide Technologies * 1,700 13,549
Family Dollar Stores, Inc. 1,800 47,520
FamilyMart Company, Ltd. 300 9,652
Far Eastern Department Stores Company, Ltd. 11,330 11,195
Far Eastern Textile, Ltd. 15,442 18,054
Fast Retailing Company, Ltd. 200 25,217
Fastenal Company 1,600 61,920
Federal Mogul Corp. * 1,900 22,933
FGX International Holdings, Ltd. * 300 4,185
Fiat SpA * 5,758 74,267
Finish Line, Inc. 300 3,048
First Cash Financial Services, Inc. * 400 6,852
Fleetwood Corp., Ltd. 1,728 13,275
Foot Locker, Inc. 3,100 37,045
Ford Motor Company * 27,700 199,717
Formosa International Hotels Corp. 1,100 13,795
Formosa Taffeta Company, Ltd. 12,000 8,010
Forzani Group, Ltd., Class A 200 2,522
Foschini, Ltd. 2,097 17,357
France Bed Holdings Company, Ltd. 5,000 7,127
Fred's, Inc., Class A 1,300 16,549
Fuel Systems Solutions, Inc. * 100 3,599
Fuji Heavy Industries, Ltd. 5,000 19,249
Furniture Brands International, Inc. * 300 1,659
Futaba Industrial Company, Ltd. 400 1,667
Game Group PLC 4,942 12,621
GameStop Corp., Class A * 2,900 76,763
Gaylord Entertainment Company * (a) 900 18,090
Geely Automobile Holdings Company, Ltd. 60,000 16,233
Genesco, Inc. * 400 9,628
Genting BHD 10,800 21,271
Genuine Parts Company 1,500 57,090
Georg Fischer AG * 30 7,877
Geox SpA 1,356 11,757
Giant Manufacturing Company, Ltd. 4,800 12,961
Gigas K's Denki Corp. 500 16,792
G-III Apparel Group, Ltd. * 200 2,830
Gildan Activewear, Inc. * 1,000 19,764
Giordano International, Ltd. 8,000 1,992
GKN PLC * 14,913 27,153

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Glorious Sun Enterprises, Ltd. 30,000 $ 9,199
Goodyear Tire & Rubber Company * 1,900 32,357
Grafton Group PLC * 1,533 8,729
Great Canadian Gaming Corp. * 400 3,041
Group 1 Automotive, Inc. 500 13,425
Grupo Elektra SA de CV 260 10,306
GS Yuasa Corp. (a) 2,000 18,168
GUD Holdings, Ltd. 1,853 14,241
Guess?, Inc. 900 33,336
Gymboree Corp. * 700 33,866
H20 Retailing Corp. 1,000 6,263
Haldex AB * 600 5,579
Halfords Group PLC 3,088 17,388
Halla Climate Control Company, Ltd. 1,310 13,115
Hanesbrands, Inc. * 1,600 34,240
Hankook Tire Company, Ltd. 830 16,472
Hanwa Company, Ltd. 2,000 7,201
Hanwha Corp. 530 19,282
Harley-Davidson, Inc. (a) 4,100 94,300
Harman International Industries, Inc. 1,100 37,268
Harvey Norman Holding, Ltd. 5,854 22,108
Hasbro, Inc. 1,400 38,850
Haseko Corp. 7,000 6,779
Haverty Furniture Companies, Inc. * 300 3,543
Hawaiian Holdings, Inc. * 1,000 8,260
Headlam Group PLC 474 2,334
Hennes & Mauritz AB, B shares 1,818 102,162
Herman Miller, Inc. 900 15,219
Hermes International SA 266 39,282
Hero Honda Motors, Ltd. 572 19,877
hhgregg, Inc. * 800 13,552
Hibbett Sports, Inc. * 400 7,292
HIS Company, Ltd. 400 8,220
Hitachi High-Technologies Corp. 800 16,570
HMV Group PLC 2,045 3,430
HNI Corp. 600 14,160
Holidaybreak PLC 1,968 9,449
Home Depot, Inc. (a) 18,804 500,939
Home Retail Group PLC 8,437 36,733
Honda Motor Company, Ltd., SADR 2,000 60,620
Honda Motor Company, Ltd. 6,400 194,061
Hongkong & Shanghai Hotels, Ltd. 8,182 10,594
Hooker Furniture Corp. 400 5,400
Hot Topic, Inc. * 1,000 7,490
Hotai Motor Company, Ltd. 5,000 12,190
Hotel Properties, Ltd. 2,000 3,283
Houston Wire & Cable Company 400 4,420
Hovnanian Enterprises, Inc., Class A * (a) 300 1,152
HSN, Inc. * 1,020 16,606
Hyosung Corp. 255 14,577
Hyundai Department Store Company, Ltd. 157 14,627
Hyundai Development Company 786 28,476
Hyundai Mobis 424 59,307
Hyundai Motor Company, Ltd. 955 90,000
Iconix Brand Group, Inc. * 1,600 19,952
IG Group Holdings PLC 2,931 15,635

The accompanying notes are an integral part of the financial statements.
84



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Inaba Denki Sangyo Company, Ltd. 400 $ 9,572
Inchcape PLC * 2,797 1,259
Industria de Diseno Textil SA 727 41,753
Ingram Micro, Inc., Class A * 2,500 42,125
Insight Enterprises, Inc. * 1,000 12,210
Inspur International, Ltd. 45,000 5,886
Intercontinental Hotels Group PLC 2,200 28,424
Interface, Inc., Class A 1,200 9,960
International Game Technology 2,400 51,552
International Metal Service SA * 172 3,320
International Speedway Corp., Class A 900 24,813
Interval Leisure Group, Inc. * 720 8,986
Isetan Mitsukoshi Holdings, Ltd. 3,500 39,942
Isle of Capri Casinos, Inc. * 600 7,074
Isuzu Motors, Ltd. 8,000 16,756
Itochu Corp. 6,000 39,355
Izumi Company, Ltd. 700 9,748
Izumiya Company, Ltd. 1,000 5,442
J Front Retailing Company, Ltd. 5,000 29,954
J. Crew Group, Inc. * 1,000 35,820
J.C. Penney Company, Inc. 2,400 81,000
J.D. Wetherspoon PLC 642 4,921
Jack in the Box, Inc. * 900 18,441
Jakks Pacific, Inc. * 200 2,864
Jalux, Inc. 500 6,822
Japan Airlines System Corp. * 5,000 7,333
Japan Pulp & Paper Company, Ltd. 1,000 3,810
Japan Wool Textile Company, Ltd. 1,000 7,555
Jardine Cycle and Carriage, Ltd. 1,000 17,145
JB Hi-Fi, Ltd. 1,522 26,595
JD Group, Ltd. 2,907 17,286
JetBlue Airways Corp. * (a) 5,500 32,890
Jo-Ann Stores, Inc. * 800 21,464
Johnson Controls, Inc. 4,900 125,244
Jones Apparel Group, Inc. 1,900 34,067
Jos. A. Bank Clothiers, Inc. * 200 8,954
Juki Corp. 1,000 1,157
Kanematsu Corp. * 9,000 7,976
Kangwon Land, Inc. 910 13,418
Kappa Create Company, Ltd. * 350 8,877
Katakura Industries Company, Ltd. 700 8,110
KB Home 1,200 19,932
Keihin Corp. 300 4,933
Kesa Electricals PLC 3,019 6,937
Kia Motors Corp. * 1,680 26,388
Kier Group PLC 213 4,030
Kimball International, Inc., Class B 200 1,526
Kinepolis Group NV 353 14,893
Kingfisher PLC 19,603 66,738
Kirklands, Inc. * 500 7,125
Kisoji Company, Ltd. 400 8,940
Knoll, Inc. 800 8,344
Kohl's Corp. * 3,342 190,661
Koito Manufacturing Company, Ltd. 1,000 13,763
Kokuyo Company, Ltd. 500 4,569
Komeri Company, Ltd. 500 14,777

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Korean Air Lines Company, Ltd. * 473 $ 19,213
Koyo Seiko Company, Ltd. 1,800 20,792
K-Swiss, Inc., Class A 400 3,516
Kuoni Reisen Holding AG, Series B 39 14,486
Kuraray Company, Ltd. 2,500 27,131
Ladbrokes PLC 4,960 14,875
Lan Airlines SA, SADR 900 11,862
Las Vegas Sands Corp. * (a) 11,500 193,660
Lawson, Inc. 500 23,240
La-Z-Boy, Inc. 2,000 17,300
Leapfrog Enterprises, Inc., Class A * 1,000 4,110
Lennar Corp., Class A 2,400 34,200
Leon's Furniture, Ltd. 300 2,900
LG International Corp. 780 20,838
Li & Fung, Ltd. 8,000 32,630
Li Ning Company, Ltd. 2,500 7,693
Life Corp. 500 8,567
Life Time Fitness, Inc. * (a) 800 22,440
Limited Brands, Inc. 5,600 95,144
Linamar Corp. 400 5,324
Liz Claiborne, Inc. * 2,400 11,832
LKQ Corp. * 2,100 38,934
Lojas Americanas SA 1,300 7,125
Lojas Renner SA 1,500 26,298
Lotte Shopping Company, Ltd. 98 26,368
Lottomatica SpA 751 16,834
Lowe's Companies, Inc. 14,200 297,348
Luby's Cafeterias, Inc. * 139 584
Lumber Liquidators, Inc. * 900 19,521
Luminar Group Holdings PLC 790 1,220
M.D.C. Holdings, Inc. 700 24,318
M/I Homes, Inc. * 300 4,077
Macy's, Inc. 7,700 140,833
Magna International, Inc. 911 38,826
Mahindra & Mahindra, Ltd. 1,245 22,729
Maidenform Brands, Inc. * 400 6,424
Marcus Corp. 300 3,837
Marks & Spencer Group PLC 13,545 78,499
Marriott International, Inc., Class A 3,022 83,377
Marubeni Corp. 6,000 30,065
Marui Company, Ltd. 2,800 19,975
Marvel Entertainment, Inc. * 600 29,772
Massmart Holdings, Ltd. 1,182 13,883
Matsushita Electric Industrial Company, Ltd. 8,500 124,367
Matsuya Company, Ltd. 500 3,999
Mattel, Inc. 3,500 64,610
Mazda Motor Corp. 9,000 19,993
McDonald's Corp. 9,400 536,458
Medion AG 481 5,159
Meritage Homes Corp. * 400 8,120
Metro Holdings, Ltd. 10,000 5,116
MGM Mirage, Inc. * (a) 300 3,612
Millennium & Copthorne Hotels PLC 2,059 12,291
Mitchells & Butlers PLC * 4,567 19,013
Mitsubishi Corp. 6,800 136,568
Mitsubishi Logistics Corp. 1,000 12,038

The accompanying notes are an integral part of the financial statements.
85



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Mitsubishi Motors Corp. * 17,000 $ 27,856
Mitsubishi Rayon Company, Ltd. 6,000 20,365
Mitsui & Company, Ltd. 300 78,132
Mitsui & Company, Ltd. 2,000 26,029
Mitsui-Soko Company, Ltd. 1,000 3,791
Mitsuuroko Company, Ltd. 1,000 7,166
Mizuno Corp. 1,000 4,799
Mobile Mini, Inc. * 1,100 19,096
Modine Manufacturing Company 1,300 12,051
Mohawk Industries, Inc. * 1,300 61,997
Monarch Casino & Resort, Inc. * 200 2,152
MOS Food Services, Inc. 500 8,691
Mothercare PLC 561 5,054
Movado Group, Inc. 300 4,359
MSC Industrial Direct Company, Inc., Class A 700 30,506
Multimedia Games, Inc. * 1,200 6,144
Mutow Company, Ltd. 400 1,794
MWI Veterinary Supply, Inc. * 100 3,995
N. Brown Group PLC 922 3,625
Nagase & Company, Ltd. 1,000 12,295
Namco Bandai Holdings, Inc. 1,400 14,307
NAN Kang Rubber Tire Company, Ltd. * 8,000 8,561
National Cinemedia, Inc. 700 11,879
National Presto Industries, Inc. 100 8,651
Navistar International Corp. * 800 29,936
New York & Company, Inc. * 200 1,024
Newell Rubbermaid, Inc. 4,800 75,312
Next Group PLC 1,681 48,305
NGK Spark Plug Company, Ltd. 2,000 25,279
NH Hoteles SA * 580 3,848
NHK Spring Company, Ltd. 2,000 16,488
Nidec Sankyo Corp. 2,000 11,279
Nifco, Inc. 200 3,972
NIKE, Inc., Class B 3,300 213,510
Nintendo Company, Ltd. 400 102,279
Nippon Gas Company, Ltd. 600 10,065
Nippon Seiki Company, Ltd. 1,000 11,327
Nishimatsuya Chain Company, Ltd. 1,200 12,558
Nissan Motor Company, Ltd. * 11,200 75,218
Nisshinbo Industries, Inc. 1,000 10,556
Nissin Kogyo Company, Ltd. 800 11,584
Nitori Company, Ltd. 250 21,256
Nitto Boseki Company, Ltd. 2,000 3,923
Nobia AB 4,653 25,575
NOK Corp. 1,300 19,260
Nokian Renkaat Oyj (a) 853 19,911
Nordstrom, Inc. (a) 2,900 88,566
Noritake Company, Ltd. 1,000 3,083
Nu Skin Enterprises, Inc., Class A 700 12,971
NVR, Inc. * 100 63,737
Office Depot, Inc. * 5,200 34,424
OfficeMax, Inc. * 800 10,064
Onward Kashiyama Company, Ltd. 1,000 7,406
OPAP SA 1,350 34,910
O'Reilly Automotive, Inc. * 2,400 86,736
Organizacion Soriana SA de CV * 11,600 28,740

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Orient Express Hotels, Ltd., Class A 1,400 $ 16,114
Oriental Land Company, Ltd. 300 21,106
Oshkosh Corp. 1,300 40,209
Owens & Minor, Inc. 500 22,625
Oxford Industries, Inc. 100 1,970
P.F. Chang's China Bistro, Inc. * 500 16,985
PACCAR, Inc. 3,156 119,013
Pacific Sunwear of California, Inc. * 400 2,060
Paddy Power PLC 155 4,720
Panera Bread Company, Class A * 600 33,000
Pantry, Inc. * 600 9,408
Papa John's International, Inc. * 500 12,285
Parco Company, Ltd. 1,300 11,976
Parkson Retail Group, Ltd. 15,000 22,130
PartyGaming PLC * 2,309 10,009
Pendragon PLC * 26,477 16,185
Penn National Gaming, Inc. * 1,200 33,192
Penske Auto Group, Inc. (a) 2,400 46,032
Perry Ellis International, Inc. * 200 3,208
Persimmon PLC * 5,286 38,620
PetSmart, Inc. 1,300 28,275
Phillips-Van Heusen Corp. 1,100 47,069
Pick'n Pay Stores, Ltd. 1,977 10,556
Pinnacle Entertainment, Inc. * 1,500 15,285
Pioneer Electronic Corp. * 1,000 2,388
Pirelli & Company SpA * 26,189 14,060
Plascar Participacoes Industriais SA * 700 929
Polaris Industries, Inc. 500 20,390
Polo Ralph Lauren Corp., Class A 1,000 76,620
Pool Corp. 700 15,554
Pou Chen Corp. 22,153 14,315
PPR SA 767 98,442
Praktiker Bau- und Heimwerkermaerkte AG 439 6,058
President Chain Store Corp. 4,544 11,120
Press Kogyo Company, Ltd. 1,000 1,982
PriceSmart, Inc. 500 9,375
PSA Peugeot Citroen SA * 1,607 49,127
Pulte Homes, Inc. * 3,500 38,465
Puma AG 48 15,948
Punch Taverns PLC * 1,433 2,767
Qantas Airways, Ltd. 15,432 38,853
Quiksilver, Inc. * 800 2,200
RadioShack Corp. 1,730 28,666
Rallye SA (a) 340 12,116
RC2 Corp. * 100 1,425
Red Robin Gourmet Burgers, Inc. * 400 8,168
Redrow PLC * 1,082 3,730
Reece Australia, Ltd. 929 19,665
Regal Entertainment Group, Class A 2,500 30,800
Regis Corp. (a) 1,100 17,050
Renault Regie Nationale SA * 2,643 123,617
Resorts World BHD 11,400 8,982
Resorttrust, Inc. 900 11,561
Retail Ventures, Inc. * 2,500 13,175
RG Barry Corp. * 800 6,224
Richelieu Hardware, Ltd. 700 12,736

The accompanying notes are an integral part of the financial statements.
86



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Riken Corp. 1,000 $ 3,589
RONA, Inc. * 1,300 18,213
Ross Stores, Inc. 700 33,439
Rossi Residencial SA 4,800 38,609
Royal Caribbean Cruises, Ltd. * 3,900 93,912
Rubis SA 137 12,521
Ruby Tuesday, Inc. * 1,200 10,104
Rush Enterprises, Inc., Class A * 200 2,584
Ryland Group, Inc. 900 18,963
Ryohin Keikaku Company, Ltd. 300 15,505
SA D'Ieteren Trading NV 28 10,443
Saks, Inc. * (a) 2,500 17,050
Sally Beauty Holdings, Inc. * 2,900 20,619
Samsung Corp. 1,205 55,424
San-Ai Oil Company, Ltd. 2,000 9,893
Sanden Corp. 1,000 2,822
SANKYO Company, Ltd. 400 24,971
Sanyang Industrial Company, Ltd. * 42,000 18,944
Sanyo Shokai, Ltd. 1,000 3,275
ScanSource, Inc. * 600 16,992
Schulthess Group AG 116 6,923
Scientific Games Corp., Class A * 1,500 23,745
Sealy Corp. * 2,800 8,960
Sears Holdings Corp. * (a) 1,900 124,089
SEB SA 401 21,315
SEGA SAMMY HOLDINGS, Inc. 1,100 14,316
Seiko Corp. 1,000 2,494
Sekisui Chemical Company, Ltd. 4,000 23,088
Sekisui House, Ltd. 6,000 53,739
Seven & I Holdings Company, Ltd. 4,200 100,113
Shangri-La Asia, Ltd. 10,000 18,839
Shibusawa Warehouse Company, Ltd. 1,000 3,787
Shimachu Company, Ltd. 700 18,281
Shimamura Company, Ltd. 200 19,661
Shimano, Inc. 400 17,194
Shinsegae Company, Ltd. 67 33,797
Shochiku Company, Ltd. 1,000 8,755
Shoe Carnival, Inc. * 300 4,626
Shoppers Drug Mart Corp. 900 36,936
Showa Aircraft Industry Company, Ltd. 1,000 8,352
Shuffle Master, Inc. * 1,100 10,362
Signet Jewelers, Ltd. * 2,276 59,927
Singapore Airlines, Ltd. 4,000 39,116
SK Networks Company, Ltd. 610 6,541
Skechers U.S.A., Inc., Class A * 400 6,856
Sky City Entertainment Group, Ltd. 8,173 19,179
Skyline Corp. 100 2,256
SkyWest, Inc. 1,200 19,896
Sodexho Alliance 416 25,006
Sojitz Holdings Corp. 11,400 21,486
Sol Melia SA 724 7,322
Sonae, SGPS SA 19,562 27,087
Sonic Corp. * 1,100 12,166
Sony Corp. 3,100 90,520
Sorin SpA * 7,397 12,475
Southwest Airlines Company 8,400 80,640

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Speedway Motorsports, Inc. 1,100 $ 15,829
Sport Supply Group, Inc. 600 6,114
Sports Direct International PLC 7,101 11,633
Spotless Group, Ltd. 5,512 12,189
Standard Motor Products, Inc. 900 13,680
Standard Pacific Corp. * 2,300 8,487
Staples, Inc. 6,189 143,709
Star Cruises, Ltd. * 54,000 13,123
Starbucks Corp. * 6,300 130,095
Starwood Hotels & Resorts Worldwide, Inc. 1,700 56,151
Steelcase, Inc. Class A 500 3,105
Stein Mart, Inc. * 700 8,897
Steinhoff International Holdings, Ltd. * 10,553 23,281
Steinway Musical Instruments, Inc. * 100 1,187
Steven Madden, Ltd. * 400 14,724
Stockmann Oyj Abp, Series B 271 7,151
Sugi Pharmacy Company, Ltd. 400 8,486
Sumitomo Corp. 5,400 55,169
Sumitomo Rubber Industries, Inc. 1,500 14,033
Sumitomo Warehouse Company, Ltd. 3,000 14,442
Sun International, Ltd. * 1,358 15,902
Sundrug Company, Ltd. 400 10,774
Superior Industries International, Inc. 900 12,780
Susser Holdings Corp. * 200 2,514
Suzuki Motor Corp. 1,600 37,173
Swatch Group AG, BR shares 191 45,084
Swatch Group AG 246 11,202
Systemax, Inc. * 700 8,491
TABCORP Holdings, Ltd. 4,305 27,110
Tainan Spinning Company, Ltd. * 25,000 9,457
Taiwan Tea Corp. * 16,625 11,045
Takashimaya Company, Ltd. 3,000 23,842
Takata Corp. 200 3,631
Talbots, Inc. 200 1,846
Target Corp. 8,300 387,444
Tata Motors, Ltd., SADR (a) 2,700 34,992
Tattersall's, Ltd. 9,752 21,809
Taylor Woodrow PLC * 6,648 4,488
Tech Data Corp. * 1,200 49,932
Teco Electric & Machinery Company, Ltd. 20,000 8,680
Teijin, Ltd. 9,000 27,885
Tempur-Pedic International, Inc. * 800 15,152
Tenneco, Inc. * 300 3,912
Texas Roadhouse, Inc., Class A * 1,200 12,744
Texwinca Holdings, Ltd. 12,000 9,454
The Buckle, Inc. (a) 750 25,605
The Cheesecake Factory, Inc. * 1,400 25,928
The Dress Barn, Inc. * (a) 1,600 28,688
The Gap, Inc. 6,028 128,999
The Jean Coutu Group (PJC), Inc., Class A 1,500 13,366
The Men's Wearhouse, Inc. (a) 1,300 32,110
The Pep Boys - Manny, Moe & Jack 1,100 10,747
The Steak & Shake Company * (a) 1,700 20,009
The Toro Company 600 23,862
The Wet Seal, Inc., Class A * 2,000 7,560
The Yokohama Rubber Company, Ltd. 2,000 9,753

The accompanying notes are an integral part of the financial statements.
87



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Thomas Cook Group PLC 3,763 $ 13,987
Thor Industries, Inc. 1,100 34,045
Tiffany & Company (a) 1,100 42,383
Tim Hortons, Inc. 1,400 39,804
Timberland Company, Class A * 800 11,136
Titan International, Inc. 125 1,112
Titan Machinery, Inc. * 800 10,016
TiVo, Inc. * 1,700 17,612
TJX Companies, Inc. 3,465 128,725
Tod's SpA 254 17,368
Tofas Turk Otomobil Fabrik AS 5,224 14,778
Toho Company, Ltd. 500 8,476
Tokai Rika Company, Ltd. 600 10,675
Tokyo Dome Corp. 3,000 9,166
Tokyo Style Company, Ltd. 1,000 8,579
Toll Brothers, Inc. * 2,900 56,666
Topre Corp. 1,100 10,170
Toray Industries, Inc. 5,000 30,110
Toto, Ltd. 2,000 12,443
Toyobo Company, Ltd. 10,000 17,067
Toyoda Gosei Company, Ltd. 600 17,387
Toyota Auto Body Company, Ltd. 600 11,614
Toyota Motor Corp. 6,600 518,562
Toyota Tsusho Corp. 2,000 29,980
Tractor Supply Company * 600 29,052
True Religion Apparel, Inc. * 400 10,372
Truworths International, Ltd. 3,324 18,889
TRW Automotive Holdings Corp. * 2,600 43,550
Tsuruha Holdings, Inc. 300 12,445
Tuesday Morning Corp. * 900 3,744
TUI AG * (a) 2,754 28,435
TUI Travel PLC 4,353 17,723
UAL Corp. * (a) 2,800 25,816
Ulta Salon, Cosmetics & Fragrance, Inc. * 900 14,859
UMW Holdings BHD 7,700 13,972
Under Armour, Inc., Class A * (a) 600 16,698
Unifirst Corp. 400 17,780
Uni-Select, Inc. 200 4,950
United Stationers, Inc. * 500 23,805
Universal Electronics, Inc. * 100 2,042
UNY Company, Ltd. 2,000 14,891
Urban Outfitters, Inc. * 1,900 57,323
Urbi Desarrollos Urbanos SA de CV * 6,600 13,379
US Airways Group, Inc. * 1,300 6,110
USS Company, Ltd. 210 12,430
Vail Resorts, Inc. * 900 30,186
Valeo SA * 771 20,366
Valora Holding AG 66 15,734
VF Corp. 1,900 137,617
Virgin Blue Holdings, Ltd. * 16,061 6,057
Volcom, Inc. * 700 11,536
Volkswagen AG (a) 125 20,529
WABCO Holdings, Inc. 800 16,800
Wacoal Corp. 1,000 13,026
Walgreen Company 11,020 412,919
Wal-Mart de Mexico SA de CV, Series V 11,400 39,529

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Cyclical (continued)    
Wal-Mart Stores, Inc. 21,959 $ 1,077,967
Walt Disney Company 17,019 467,342
Warnaco Group, Inc. * 800 35,088
Warner Music Group Corp. * 2,600 14,378
Watami Company, Ltd. 400 8,393
Watsco, Inc. 400 21,564
Weichai Power Company, Ltd. 3,000 15,672
Wendy's/Arby's Group, Inc. 7,504 35,494
Wesco International, Inc. * 800 23,040
WH Smith PLC 730 5,264
Whirlpool Corp. (a) 1,300 90,948
Whitbread PLC 2,425 47,126
William Hill PLC 6,637 18,717
Williams-Sonoma, Inc. (a) 1,500 30,345
Wincanton PLC 620 2,343
Winnebago Industries, Inc. * 400 5,884
WMS Industries, Inc. * 900 40,104
Wolseley PLC * 2,400 57,933
Wolverine World Wide, Inc. 659 16,370
Woolworths Holdings, Ltd. 7,995 17,240
World Fuel Services Corp. (a) 600 28,842
Wyndham Worldwide Corp. 3,300 53,856
Wynn Resorts, Ltd. * (a) 1,100 77,979
Xebio Company, Ltd. 500 11,712
Yamada Denki Company, Ltd. 470 31,877
Yamaha Corp. 1,700 20,024
Yamaha Motor Company, Ltd. 2,600 31,777
Yasuda Warehouse Company, Ltd. 1,000 7,502
Yoshimoto Kogyo Company, Ltd. 700 10,433
Yuasa Trading Company, Ltd. 7,000 7,678
Yue Yuen Industrial Holdings, Ltd. 7,000 19,620
Yulon Motor Company, Ltd. 11,000 12,607
Yulon Nissan Motor Company, Ltd. * 5,000 11,933
Yum! Brands, Inc. 3,900 131,664
Zale Corp. * 300 2,145
Zumiez, Inc. * 300 4,923
 
    22,680,045
Consumer, Non-cyclical - 12.24%    
A.G. Barr PLC * 978 12,675
AarhusKarlshamn AB 600 11,547
Aaron, Inc., Class B 900 23,760
Abaxis, Inc. * 200 5,350
Abbott Laboratories 6,844 338,573
Abertis Infraestructuras SA 1,798 40,836
Abiomed, Inc. * 200 1,942
ABM Industries, Inc. 1,100 23,144
Abraxis BioScience, Inc. * 200 7,276
Acadia Pharmaceuticals, Inc. * 900 1,539
Accelrys, Inc. * 1,100 6,380
Acco Brands Corp. * 1,100 7,942
Accuray, Inc. * 300 1,950
Acorda Therapeutics, Inc. * 500 11,640
Actelion, Ltd. * 592 36,804
Adcock Ingram Holdings, Ltd. 524 3,364
Adecco SA 842 44,833
Aderans Company, Ltd. 200 2,836

The accompanying notes are an integral part of the financial statements.
88



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Administaff, Inc. 300 $ 7,881
Affymax, Inc. * 500 11,945
Affymetrix, Inc. * 1,200 10,536
Aggreko PLC 2,431 27,299
Air Methods Corp. * 100 3,257
Ajinomoto Company, Inc. 7,000 69,959
Alapis Holding Industrial & Commercial SA 9,369 8,284
Alberto-Culver Company 1,700 47,056
Alexion Pharmaceuticals, Inc. * 800 35,632
Alfresa Holdings Corp. (a) 400 16,281
Alico, Inc. (a) 100 2,939
Align Technology, Inc. * 1,300 18,486
Alkermes, Inc. * 1,600 14,704
Allergan, Inc. 2,700 153,252
Alliance Data Systems Corp. * (a) 1,000 61,080
Alliance Imaging, Inc. * 200 1,132
Alliance One International, Inc. * 2,600 11,648
Allos Therapeutics, Inc. * 300 2,175
Almost Family, Inc. * 100 2,975
Alnylam Pharmaceuticals, Inc. * 700 15,876
Altria Group, Inc. 17,964 319,939
AMAG Pharmaceuticals, Inc. * 300 13,104
Amedisys, Inc. * (a) 500 21,815
American Banknote SA 200 1,941
American Dental Partners, Inc. * 200 2,800
American Italian Pasta Company, Class A * 300 8,154
American Medical Systems Holdings, Inc. * 1,000 16,920
AMERIGROUP Corp. * 1,000 22,170
AmerisourceBergen Corp. 2,400 53,712
Amgen, Inc. * 4,828 290,790
Amicus Therapeutics, Inc. * (a) 400 3,500
AMN Healthcare Services, Inc. * 400 3,804
Amorepacific Corp. 25 17,912
AmSurg Corp. * 700 14,861
Amvig Holdings, Ltd. 4,000 1,647
Amylin Pharmaceuticals, Inc. * 2,300 31,487
Anadolu Efes Biracilik ve Malt Sanayii AS 1,058 11,585
Anadys Pharmaceuticals, Inc. * 1,300 3,419
Andersons, Inc. 100 3,520
AngioDynamics, Inc. * 200 2,756
Anhanguera Educacional Participacoes SA * 800 9,122
Anheuser-Busch InBev NV 3,110 142,207
Anika Therapeutics, Inc * 1,000 6,500
Apollo Group, Inc., Class A * 800 58,936
Arbitron, Inc. 200 4,152
Archer-Daniels-Midland Company 7,112 207,813
Ardea Biosciences, Inc. * 300 5,496
Arena Pharmaceuticals, Inc. * (a) 600 2,682
Ariake Japan Company, Ltd. 500 8,276
Arqule, Inc. * 600 2,724
Aryzta AG * 1,127 45,764
Asahi Breweries, Ltd. 2,600 47,454
Asia Food & Properties, Ltd. * 9,000 3,647
Asiatic Development BHD 5,000 8,679
Aspen Pharmacare Holdings, Ltd. * 2,184 18,060
Assisted Living Concepts, Inc. * 360 7,459

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Associated British Foods PLC 2,912 $ 39,441
Assura Group, Ltd. * 5,036 2,740
Astellas Pharmaceuticals, Inc. 1,900 78,075
Astra Agro Lestari Tbk PT 2,000 4,355
AstraZeneca PLC, SADR (a) 5,000 224,750
Athenahealth, Inc. * 500 19,185
Atria PLC 525 9,152
ATS Medical, Inc. * 1,700 4,556
Autostrade SpA 1,670 40,517
Auxilium Pharmaceuticals, Inc. * 500 17,105
Avery Dennison Corp. 1,400 50,414
Avis Budget Group, Inc. * 2,200 29,392
Avon Products, Inc. 3,600 122,256
AWB, Ltd. 3,762 4,208
AWB, Ltd. * 4,810 5,410
Axfood AB 100 2,770
B&G Foods, Inc. 300 2,457
Babcock International Group PLC 2,859 26,014
Bachem Holding AG 51 3,449
Balrampur Chini Mills, Ltd. 5,350 13,485
Bangkok Dusit Medical Service PCL 12,200 9,403
Bare Escentuals, Inc. * 1,400 16,646
Baron de Ley SA * 66 3,558
Barrett Business Services, Inc. 1,000 10,580
Barry Callebaut AG * 20 11,861
Basilea Pharmaceutica AG * 119 11,997
Bavarian Nordic A/S * 150 6,863
Baxter International, Inc. 2,900 165,329
Beckman Coulter, Inc. 900 62,046
Becton, Dickinson & Company 2,100 146,475
Beiersdorf AG 429 25,211
Benesse Corp. 400 19,551
BIM Birlesik Magazalar AS 359 14,674
Bio Reference Labs, Inc. * 300 10,320
Biocryst Pharmaceuticals, Inc. * (a) 1,300 10,712
Biodel, Inc. * 1,100 5,907
BioMarin Pharmaceutical, Inc. * 1,300 23,504
BioMimetic Therapeutics, Inc. * 600 7,326
BioScrip, Inc. * 700 4,732
Biotest AG 188 11,934
Biovail Corp. 1,500 23,145
Bisi International PT * 47,500 10,127
Blue Nile, Inc. * 300 18,636
Blyth, Inc. 250 9,683
Bongrain SA * 43 3,322
Boston Beer Company, Inc. * 100 3,708
Boston Scientific Corp. * 20,716 219,382
Bowne & Company, Inc. 806 6,206
Brambles, Ltd. 6,902 48,967
BRF - Brasil Foods SA * 400 21,300
Bristol-Myers Squibb Company 17,175 386,781
British American Tobacco Malaysia BHD 800 10,172
British American Tobacco PLC 963 30,265
British American Tobacco PLC 3,400 215,050
Britvic PLC 1,286 7,245
Brookdale Senior Living, Inc. 1,500 27,195

The accompanying notes are an integral part of the financial statements.
89



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Brown Forman Corp., Class B 450 $ 21,699
Bruker BioSciences Corp. * 2,100 22,407
Brunel International NV 442 15,109
BTG PLC * 3,898 11,314
Bunge, Ltd. 1,200 75,132
Bunzl PLC 2,935 29,770
Bureau Veritas SA 318 17,949
C&C Group PLC - London Exchange 1,097 4,623
C.R. Bard, Inc. 500 39,305
Cadbury PLC, SADR 2,400 122,904
Cadence Pharmaceuticals, Inc. * 800 8,848
Cadila Healthcare, Ltd. 1,081 11,721
Calavo Growers, Inc. 600 11,388
Cal-Maine Foods, Inc. (a) 400 10,708
Campbell Soup Company 1,544 50,365
Campofrio Alimentacion SA * 807 8,434
Canada Bread Company, Ltd. 100 4,021
Cangene Corp. * 400 1,584
Cantel Medical Corp. * 200 3,012
Capella Education Company * 100 6,734
Capita Group PLC 5,366 61,983
Caraco Pharmaceutical Labs * 1,200 6,108
Cardiac Science Corp. * 1,200 4,800
Cardinal Health, Inc. 3,965 106,262
Cardiome Pharma Corp. * 300 1,306
Cardtronics, Inc. * 700 5,474
Care UK PLC 700 4,218
Career Education Corp. * 1,400 34,132
CareFusion Corp. * 1,982 43,208
Carl Zeiss Meditec AG 602 9,796
Carlsberg AS, B Shares 702 51,106
Carrefour SA 1,986 90,164
Casino Guichard-Perrachon SA 282 22,454
Catalyst Health Solutions, Inc. * 600 17,490
CBIZ, Inc. * 900 6,714
CDI Corp. 200 2,810
Celera Corp. * 2,300 14,329
Celesio AG 622 17,118
Celgene Corp. * 2,100 117,390
Centene Corp. * 812 15,379
Central Garden & Pet Company, Class A * 500 5,465
Central Garden & Pet Company * 400 4,700
Cenveo, Inc. * 1,600 11,072
Cephalon, Inc. * 300 17,472
Cepheid, Inc. * 700 9,254
Cerebos Pacific, Ltd. 4,000 9,387
Cermaq ASA * 1,000 8,119
Chaoda Modern Agriculture Holdings, Ltd. 28,480 17,201
Charles River Laboratories International, Inc. * 900 33,282
Chattem, Inc. * 100 6,641
Chemed Corp. 200 8,778
China Agri-Industries Holdings, Ltd. 24,000 22,406
China Green Holdings, Ltd. 3,000 2,548
China Mengniu Dairy Company, Ltd. * 13,000 32,995
China Yurun Food Group, Ltd 10,000 21,525
Chiquita Brands International, Inc. * 500 8,080

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Christian Dior SA 478 $ 47,278
Chugai Pharmaceutical Company, Ltd. 900 18,589
Church & Dwight, Inc. 400 22,696
Cia Cervecerias Unidas SA, ADR 500 17,170
Cia de Concessoes Rodoviarias, ADR 1,100 18,820
Cintra Concesiones de Infraestructuras de    
Transporte SA 2,613 30,434
Cipla, Ltd. 3,066 17,769
CJ CheilJedang Corp. 103 18,098
CJ Corp. 119 5,599
Clinical Data, Inc. * 300 5,001
Clorox Company 1,400 82,348
Coca Cola Hellenic Bottling Company SA 1,000 26,360
Coca-Cola Amatil, Ltd. 2,844 24,578
Coca-Cola Central Japan Company, Ltd. 600 8,351
Coca-Cola Enterprises, Inc. 4,200 89,922
Cochlear, Ltd. 512 30,122
COFCO International, Ltd. 6,000 4,152
Coinstar, Inc. * 500 16,490
Colgate-Palmolive Company 4,228 322,512
Coloplast AS 150 12,594
Colruyt SA 117 27,507
Community Health Systems, Inc. * (a) 1,700 54,281
Companhia Brasileira de Distribuicao Grupo    
Pao de Acucar, ADR 400 22,520
Compass Group PLC 12,965 79,307
ConAgra Foods, Inc. 5,000 108,400
Conceptus, Inc. * 200 3,708
CONMED Corp. * 600 11,502
Connaught PLC 406 2,629
ConnectEast Group 51,411 16,235
Consolidated Graphics, Inc. * 400 9,980
Constellation Brands, Inc., Class A * 3,101 46,980
Continucare Corp. * 3,000 9,060
Convergys Corp. * 2,400 23,856
Copeinca ASA * 1,400 6,876
Corinthian Colleges, Inc. * 1,400 25,984
Corn Products International, Inc. 1,500 42,780
Cornell Corrections, Inc. * 400 8,976
Corporate Executive Board Company 200 4,980
Corrections Corp. of America * 1,900 43,035
CorVel Corp. * 100 2,840
Cosan SA Industria e Comercio * 1,300 14,353
Cosco Pacific, Ltd. 6,000 8,553
CoStar Group, Inc. * 300 12,366
Covance, Inc. * 1,100 59,565
Coventry Health Care, Inc. * 2,700 53,892
Covidien PLC 116 5,018
CRA International, Inc. * 300 8,187
Cramo Oyj, Series B 941 14,842
Crucell NV * 396 9,089
Cryolife, Inc. * 300 2,391
CSL, Ltd. 1,983 58,373
Cubist Pharmaceuticals, Inc. * 900 18,180
Cutera, Inc. * 300 2,595
Cyberonics, Inc. * 200 3,188
Cynosure, Inc. * 500 5,825

The accompanying notes are an integral part of the financial statements.
90



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PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Cypress Biosciences, Inc. * 500 $ 4,085
Cytori Therapeutics, Inc. * (a) 1,700 6,715
Dai Nippon Printing Company, Ltd. 3,000 41,050
Daiichi Sankyo Company, Ltd. 2,800 57,763
Dainippon Sumitomo Pharma Company, Ltd. 1,000 10,854
Dairy Crest Group PLC 1,305 7,997
Daiseki Company, Ltd. 500 9,847
Danisco AS 624 38,004
Davide Campari Milano SpA 2,189 19,668
Davis Service Group PLC 980 6,282
DaVita, Inc. * 700 39,648
Dean Foods Company * 2,300 40,917
Del Monte Foods Company 3,100 35,898
Delhaize Group 1,000 69,400
Deluxe Corp. 800 13,680
Dendreon Corp. * 1,100 30,789
DENTSPLY International, Inc. 1,900 65,626
Det Ostasiatiske Kompagni AS 298 10,770
DeVry, Inc. 400 22,128
Diageo PLC, SADR 2,700 166,023
Diagnostic & Therapeutic Center of Athens    
Hygeia SA 1,997 6,696
Diagnosticos da America SA * 900 23,277
Diamond Foods, Inc. 100 3,172
Dollar Financial Corp. * 100 1,602
Dollar Thrifty Automotive Group, Inc. * 600 14,754
Dong-A Pharmaceutical Company, Ltd. 162 13,502
Dr Pepper Snapple Group, Inc. * 4,600 132,250
Dr. Reddy's Laboratories, Ltd., ADR (a) 900 17,550
Dun & Bradstreet Corp. 600 45,192
Durect Corp. * 600 1,602
Duskin Company, Ltd. * 600 11,236
Dyax Corp. * 600 2,154
Dydo Drinco, Inc. 100 3,307
DynCorp International, Inc. * 800 14,400
Ebro Puleva SA 858 16,325
Edwards Lifesciences Corp. * 500 34,955
Egis Gyogyszergyar Nyrt. 119 12,706
Eisai Company, Ltd. 900 33,731
Elan Corp. PLC, SADR * 6,200 44,082
Electro Rent Corp. 200 2,304
Elekta AB, Series B 1,152 22,346
Elizabeth Arden, Inc. * 600 7,062
Embotelladoras Arca SA de CV 4,800 11,868
Emergency Medical Services Corp., Class A * 100 4,650
Emergent Biosolutions, Inc. * 200 3,532
Emeritus Corp. * 200 4,390
Empire Company, Ltd. 200 8,165
Endo Pharmaceutical Holdings, Inc. * 1,900 42,997
Ennis Business Forms, Inc. 200 3,226
Enzo Biochem, Inc. * 1,300 9,204
Enzon Pharmaceuticals, Inc. * (a) 700 5,775
Equifax, Inc. 2,200 64,108
Essilor International SA 1,229 70,063
Estee Lauder Companies, Inc., Class A 1,200 44,496
Euronet Worldwide, Inc. * 330 7,930

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
EV3, Inc. * 2,300 $ 28,313
Evotec AG * 5,636 13,771
Exactech, Inc. * 100 1,574
Exelixis, Inc. * 900 5,742
Exlservice Holdings, Inc. * 500 7,430
Experian Group, Ltd. 6,287 52,901
Exponent, Inc. * 100 2,817
Express Scripts, Inc. * 2,100 162,918
Ezaki Glico Company, Ltd. 1,000 11,121
Facet Biotech Corp. * 260 4,495
FAES FARMA SA 465 2,980
Farmer Brothers Company 400 8,280
Financiere Marc de Lacharriere SA (Fimalac) 165 8,699
FirstService Corp. * 200 3,857
Fisher & Paykel Healthcare Corp. 6,444 15,253
Flowers Foods, Inc. 1,100 28,919
Fomento Economico Mexicano SA de CV,    
SADR 1,100 41,855
Forest Laboratories, Inc. * 3,300 97,152
Forrester Research, Inc. * 300 7,992
Forth Ports PLC 298 5,761
Fortune Brands, Inc. 1,800 77,364
Fossil, Inc. * 1,200 34,140
Foster's Group, Ltd. 13,857 67,653
Fraser and Neave, Ltd. 7,000 19,585
Fresenius AG 201 9,899
Fresenius Medical Care AG & Co KGaA 1,000 49,740
Fresenius SE 589 34,509
Fresh Del Monte Produce, Inc. * 1,400 31,654
FTI Consulting, Inc. * 700 29,827
Fuji Oil Company, Ltd. 400 5,632
G4S PLC 12,160 42,920
Galenica Holding AG 30 10,567
Garda World Security Corp. * 200 1,399
Gartner Group, Inc., Class A * 1,400 25,578
Gedeon Richter Rt. (a) 161 33,443
General Mills, Inc. 1,500 96,570
Genmab A/S * 380 9,874
Genomic Health, Inc. * 500 10,930
Genoptix, Inc. * 300 10,434
Gen-Probe, Inc. * 900 37,296
Gentiva Health Services, Inc. * 400 10,004
Genus PLC 1,065 11,667
Genzyme Corp. * 2,954 167,580
George Weston, Ltd. 400 20,825
Geron Corp. * (a) 2,400 15,744
Getinge AB, Series B (a) 1,295 21,790
Gilead Sciences, Inc. * 7,700 358,666
GL Events SA 168 3,883
GlaxoSmithKline PLC, ADR 8,900 351,639
Glenmark Pharmaceuticals, Ltd. 334 1,646
Global Bio-Chem Technology    
Group Company, Ltd. 10,000 2,526
Global Cash Access, Inc. * 1,000 7,310
Global Payments, Inc. 1,000 46,700
Godrej Consumer Products, Ltd. * 2,313 11,669
Goodman Fielder, Ltd. 19,860 29,264

The accompanying notes are an integral part of the financial statements.
91



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
GrainCorp., Ltd. * 308 $ 2,448
Great Lakes Dredge & Dock Company 1,600 11,168
Great Wall Enterprise Company, Ltd. 8,400 8,972
Green Mountain Coffee Roasters, Inc. * (a) 450 33,228
Greencore Group PLC 532 1,229
Greene King PLC 1,452 9,793
Greggs PLC 350 2,239
Grifols SA 1,108 21,117
Groupe DANONE 1,597 96,612
Groupe Steria SA 719 25,577
Gruma SA de CV, SADR * 200 1,396
Grupo Bimbo SA de CV 2,900 16,151
Grupo Continential SA de CV 8,200 16,404
Grupo Modelo SA * 2,000 7,496
GTx, Inc. * 600 7,680
Gudang Garam Tbk PT 10,500 16,164
Guyenne & Gascogne SA 102 10,374
H & R Block, Inc. 1,700 31,246
H&E Equipment Services, Inc. * 700 7,931
H. Lundbeck AS 487 10,145
H.J. Heinz Company 2,700 107,325
Haemonetics Corp. * 400 22,448
Hain Celestial Group, Inc. * 600 11,502
Hakon Invest AB 916 14,276
Halozyme Therapeutics, Inc. * 1,500 10,665
Hamburger Hafen und Logistik AG 130 5,857
Hanger Orthopedic Group, Inc. * 700 9,709
Hanmi Pharm Company, Ltd. 22 2,245
Hansen Natural Corp. * 900 33,066
Hap Seng Plantations Holdings BHD 12,000 7,854
Harashin Narus Holdings Company, Ltd. 400 4,667
Harvard Bioscience, Inc. * 1,500 5,685
Hays PLC 14,281 23,766
Health Management Associates, Inc., Class A * 4,100 30,709
Health Net, Inc. * 2,300 35,420
Healthcare Services Group, Inc. 600 11,016
Healthsouth Corp. * 1,700 26,588
Healthspring, Inc. * 600 7,350
Healthways, Inc. * 600 9,192
Heartland Payment Systems, Inc. 100 1,451
Heidrick & Struggles International, Inc. 300 6,978
Heineken Holding NV 785 32,012
Heineken NV 1,894 87,381
Helen of Troy, Ltd. * 700 13,601
Hengan International Group Company, Ltd. 3,000 18,137
Henkel AG & Company KGaA 916 33,284
Henry Schein, Inc. * 1,600 87,856
Herbalife, Ltd. 1,000 32,740
Hershey Company 1,400 54,404
Hertz Global Holdings, Inc. * (a) 6,800 73,644
Hewitt Associates, Inc., Class A * 1,000 36,430
Hey Song Corp. 14,000 7,447
Hikma Pharmaceuticals PLC 623 4,669
Hill International, Inc. * 200 1,420
Hillenbrand, Inc. 1,000 20,370
Hill-Rom Holdings, Inc. 900 19,602

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Hindustan Unilever, Ltd. 1,743 $ 9,490
Hisamitsu Pharmaceutical Company, Inc. 300 12,127
Hite Brewery Company, Ltd. 40 5,687
Hite Holdings Company, Ltd. 51 1,504
Hi-Tech Pharmacal Company, Inc. * 200 4,488
HMS Holdings Corp. * 400 15,292
Hogy Medical Company, Ltd. 100 5,595
Hologic, Inc. * 4,700 76,798
Homeserve PLC 668 17,013
Hopewell Highway Infrastructure, Ltd. 600 366
Hormel Foods Corp. 1,700 60,384
Hospira, Inc. * 2,100 93,660
Hudson Highland Group, Inc. * 200 608
Human Genome Sciences, Inc. * 1,000 18,820
Humana, Inc. * 3,100 115,630
Huron Consulting Group, Inc. * 200 5,166
Husqvarna AB, B Shares * 3,585 24,932
ICF International, Inc. * 200 6,064
ICU Medical, Inc. * 200 7,372
Idenix Pharmaceuticals, Inc. * 400 1,236
IDEXX Laboratories, Inc. * (a) 500 25,000
I-Flow Corp. * 500 5,695
IJM Plantations BHD 6,600 5,334
Illovo Sugar, Ltd. 1,857 8,092
Illumina, Inc. * 1,300 55,250
Immucor, Inc. * 600 10,620
Immunogen, Inc. * 500 4,055
Immunomedics, Inc. * 900 4,968
Imperial Tobacco Group PLC 800 47,192
Imperial Tobacco Group PLC 5,453 157,562
Inageya Company, Ltd. 1,000 10,407
Incyte Corp. * 1,000 6,750
Indofood Agri Resources, Ltd. * 8,000 8,975
Indofood Sukses Makmur Tbk PT 31,000 9,647
Informatica Corp. * 1,400 31,612
Ingles Markets, Inc. 100 1,583
Inovio Biomedical Corp. * (a) 2,000 3,160
Inspire Pharmaceuticals, Inc. * 1,900 9,918
Integra LifeSciences Holdings Corp. * 300 10,245
Interactive Data Corp. 1,320 34,597
Intercell AG * 488 20,722
Intermediate Parfums, Inc. 200 2,442
Intermune, Inc. * 600 9,558
Internet Brands, Inc., Class A * 1,400 11,172
Intersections, Inc. * 1,300 7,501
Intertek Group PLC 1,429 28,984
Intuitive Surgical, Inc. * 400 104,900
Invacare Corp. 700 15,596
Inverness Medical Innovations, Inc. * (a) 1,600 61,968
IOI Corp. BHD 11,500 17,245
IPC The Hospitalist Company * 400 12,580
Ipsen SA 190 10,431
Iron Mountain, Inc. * 2,575 68,650
Isis Pharmaceuticals, Inc. * 1,600 23,312
ITC, Ltd. 4,223 20,451
ITO EN, Ltd. 400 7,401

The accompanying notes are an integral part of the financial statements.
92



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
ITT Educational Services, Inc. * (a) 500 $ 55,205
J & J Snack Foods Corp. 190 8,206
J Sainsbury PLC 8,623 44,945
J.M. Smucker Company 2,200 116,622
Jackson Hewitt Tax Service, Inc. 100 510
Japan Tobacco, Inc. 18 61,295
Jarden Corp. 1,700 47,719
Jazz Pharmaceuticals, Inc. * 800 6,416
JBS SA 2,700 14,052
Jeronimo Martins, SGPS SA 2,306 20,203
Johnson & Johnson 23,959 1,458,864
Kagome Company, Ltd. 1,000 20,164
Kaken Pharmaceutical Company, Ltd. 1,000 9,374
Kameda Seika Company, Ltd. 400 7,548
Kamigumi Company, Ltd. 3,000 24,332
Kao Corp. 2,000 49,304
Kellogg Company 3,228 158,914
Kelly Services, Inc., Class A 1,200 14,760
Kendle International, Inc. * 100 1,672
Kenexa Corp. * 600 8,088
Kensey Nash Corp. * 100 2,895
Kerry Group PLC 1,536 43,943
Kesko Oyj 774 25,992
Kforce, Inc. * 400 4,808
Kid Brands, Inc. * 200 1,240
Kikkoman Corp. 2,000 24,749
Kimberly-Clark Corp. 2,000 117,960
Kindred Healthcare, Inc. * 100 1,623
Kinetic Concepts, Inc. * 1,100 40,678
King Pharmaceuticals, Inc. * 4,000 43,080
Kirin Brewery Company, Ltd. 4,000 61,142
Kobayashi Pharmaceutical Company, Ltd. 200 9,094
Koninklijke Ahold NV 9,304 111,952
Korian 370 10,273
Korn/Ferry International * 800 11,672
Kose Corp. 200 4,868
Kraft Foods, Inc., Class A 16,300 428,201
KT&G Corp. 465 28,167
KWS Saat AG 30 5,220
Kyorin Company, Ltd. 1,000 16,988
Kyowa Hakko Kogyo Company, Ltd. 2,000 25,226
Laboratorios Almirall SA 481 6,246
Laboratory Corp. of America Holdings * 1,400 91,980
Lance, Inc. 400 10,328
Landauer, Inc. 300 16,494
Lannett Company, Inc. * 600 4,488
Laurus NV * 951 5,767
Lavendon Group PLC 2,023 5,884
Learning Tree International, Inc. * 300 3,417
LECG Corp. * 400 1,404
Lender Processing Services, Inc. 1,000 38,170
LG Household & Health Care, Ltd. 46 10,309
LHC Group, Inc. * 200 5,986
Lien Hwa Industrial Corp. 15,000 6,955
Life Technologies Corp. * 3,000 139,650
LifePoint Hospitals, Inc. * 1,200 32,472

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Lifeway Foods, Inc. * 200 $ 2,198
Ligand Pharmaceuticals, Inc., Class B * 3,600 8,316
Lincare Holdings, Inc. * 1,100 34,375
Lincoln Educational Services Corp. * 600 13,728
Lindt & Spruengli AG-REG 1 27,808
Lion Corp. 3,000 15,551
Lion Nathan, Ltd. 1,000 10,100
Live Nation, Inc. * 500 4,095
Loblaw Companies, Ltd. 800 23,612
Localiza Rent A Car SA 300 2,999
Loomis AB 280 2,753
L'Oreal SA 709 70,870
Lorillard, Inc. 1,400 104,020
Lotte Confectionery Company, Ltd. 5 5,255
Luminex Corp. * 400 6,800
Luxottica Group SpA * 390 10,113
Luxottica Group SpA * 400 10,332
M & F Worldwide Corp. * 500 10,120
MacDonald Dettwiler & Associates, Ltd. * 400 11,746
Mac-Gray Corp. * 400 4,312
Magellan Health Services, Inc. * 500 15,530
MAKO Surgical Corp. * 700 6,132
Mannatech, Inc. 400 1,532
Mannkind Corp. * 900 8,865
Manpower, Inc. 1,400 79,394
Maple Leaf Foods, Inc. 400 3,549
Martek Biosciences Corp. * 300 6,777
Maruha Group, Inc. 3,000 4,558
Masimo Corp. * 700 18,340
Matrixx Initiatives, Inc. * 500 2,840
MAXIMUS, Inc. 200 9,320
Maxygen, Inc. * 300 2,007
McBride PLC 3,988 12,216
McCormick & Company, Inc. 1,200 40,728
McGrath Rentcorp 700 14,889
McKesson Corp. 3,000 178,650
MDS, Inc. * 2,500 20,478
Meda AB, Series A 2,924 26,227
MedCath Corp. * 500 4,385
Medco Health Solutions, Inc. * 4,200 232,302
Medical Action, Inc. * 500 6,035
Mediceo Holdings Company, Ltd. 900 12,625
Medicines Company * 400 4,404
Medicis Pharmaceutical Corp., Class A 600 12,810
Medi-Clinic Corp., Ltd. 4,261 12,620
Medifast, Inc. * 400 8,688
Medivation, Inc. * 500 13,570
MEDNAX, Inc. * 700 38,444
MedQuist, Inc. * 432 2,748
Medtronic, Inc. 9,744 358,579
MEIJI Holdings Company, Ltd. * 500 21,267
Meitec Corp. 500 8,446
Merck & Company, Inc. (a) 18,300 578,829
Merck KGaA 358 35,605
Merge Healthcare, Inc. * 1,400 5,754
Meridian Bioscience, Inc. 300 7,503

The accompanying notes are an integral part of the financial statements.
93



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Merit Medical Systems, Inc. * 300 $ 5,199
Mermaid Marine Australia, Ltd. 601 1,457
Metcash, Ltd. 7,274 28,850
Metro AG 743 42,032
Metro, Inc. 900 29,413
Michael Page International PLC 1,081 5,790
Microvision, Inc. * (a) 1,600 8,816
Midas, Inc. * 200 1,880
Mikuni Coca-Cola Bottling Company, Ltd. 1,000 8,668
Millipore Corp. * 700 49,231
Miraca Holdings, Inc. 700 22,794
Mochida Pharmaceutical Company, Ltd. 1,000 10,570
Molina Healthcare, Inc. * 600 12,414
Molson Coors Brewing Company, Class B 1,800 87,624
Momenta Pharmaceuticals, Inc. * 200 2,122
Monro Muffler Brake, Inc. 200 6,358
Moody's Corp. 2,600 53,196
Morinaga Milk Industry Company, Ltd. 3,000 14,935
Morningstar, Inc. * (a) 800 38,848
Mouchel Parkman PLC 373 1,399
MPS Group, Inc. * 1,200 12,624
Multi-Color Corp. 100 1,543
Mundra Port and Special Economic Zone, Ltd. 820 8,807
Mvelaphanda Group, Ltd. * 10,184 8,260
Mylan, Inc. * (a) 3,200 51,232
Myriad Genetics, Inc. * 1,000 27,400
Myriad Pharmaceuticals, Inc. * 250 1,465
Nabi Biopharmaceuticals * 400 1,436
Namyang Dairy Products Company, Ltd. 17 8,017
Nash Finch Company 200 5,468
National Beverage Corp. * 251 2,889
National Healthcare Corp. 100 3,729
Natura Cosmeticos SA 1,100 19,838
Natus Medical, Inc. * 500 7,715
Navigant Consulting Company * 1,000 13,500
NBTY, Inc. * 900 35,622
Nektar Therapeutics * 1,000 9,740
Neogen Corp. * 100 3,229
Nestle Malaysia BHD 900 8,959
Nestle SA 13,658 582,647
Netflix, Inc. * (a) 900 41,553
Network Healthcare Holdings, Ltd. * 10,169 14,057
Neurocrine Biosciences, Inc. * 1,600 4,880
NeurogesX, Inc. * 900 7,200
NeuroSearch A/S * 72 2,118
NICHIREI Corp. 2,000 7,894
Nihon Kohden Corp. 400 6,654
Nippon Meat Packers, Inc. 2,000 25,582
Nippon Shinyaku Company, Ltd. 1,000 14,147
Nippon Suisan Kaisha, Ltd. 1,200 3,567
Nipro Corp. 1,000 23,348
Nissha Printing Company, Ltd. 300 15,269
Nisshin Seifun Group, Inc. 1,000 13,916
Nissin Corp. 3,000 7,786
Nissin Food Products Company, Ltd. 600 23,007
Nissui Pharmaceutical Company, Ltd. 500 4,252

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Nobel Biocare Holding AG, Series BR 1,270 $ 42,097
Northern Foods PLC 2,299 2,593
Novartis AG, SADR 8,600 433,268
Novavax, Inc. * (a) 1,200 4,752
Novo Nordisk A/S 1,700 107,015
Novozymes AS, B Shares 250 23,581
NPS Pharmaceuticals, Inc. * 400 1,608
Nutraceutical International Corp. * 500 5,635
Nutreco Holding NV 446 21,712
Nuvasive, Inc. * (a) 700 29,232
NxStage Medical, Inc. * 900 6,021
Obagi Medical Products, Inc. * 300 3,480
Obrascon Huarte Lain Brasil SA 200 2,867
Odyssey Healthcare, Inc. * 600 7,500
Olam International, Ltd. 7,000 12,316
Omega Pharma SA 224 9,968
Omnicare, Inc. 2,200 49,544
On Assignment, Inc. * 1,500 8,775
OncoGenex Pharmaceutical, Inc. * 300 10,800
Oncothyreon, Inc. * 800 4,168
Ono Pharmaceutical Company, Ltd. 600 31,109
Onyx Pharmaceuticals, Inc. * 700 20,979
OPG Groep NV 313 5,191
Optimer Pharmaceuticals, Inc. * 600 8,118
OraSure Technologies, Inc. * 600 1,740
Orell Fuessli Holding AG 57 7,946
Oriflame Cosmetics AB 528 27,071
Oriola-KD Oyj 3,601 21,936
Orion Corp. 57 10,876
Orion Oyj, Series A 779 14,499
Orion Oyj, Series B 915 16,923
Orkla ASA 4,400 41,561
Orpea SA 12 554
Orthovita, Inc. * 600 2,634
OSI Pharmaceuticals, Inc. * 400 14,120
Osiris Therapeutics, Inc. * (a) 500 3,330
Osteotech, Inc. * 400 1,780
Overhill Farms, Inc. * 1,000 6,050
Overstock.com, Inc. * 500 7,335
OZEKI Company, Ltd. * 300 12,448
Pacific Brands, Ltd. * 5,817 6,122
Pacific Corp. 81 10,748
Palomar Medical Technologies, Inc. * 100 1,621
Pan Fish ASA * 44,000 32,001
Par Pharmaceutical Companies, Inc. * 1,100 23,661
Parexel International Corp. * 1,100 14,949
Paris Miki, Inc. 800 7,507
Parkway Holdings, Ltd. 9,000 13,174
Parmalat SpA 26,579 73,646
Patterson Companies, Inc. * 1,600 43,600
Paychex, Inc. 3,065 89,038
PDI, Inc. * 300 1,374
PDL BioPharma, Inc. 2,500 19,700
Peets Coffee & Tea, Inc. * 100 2,823
Penauille Polyservices SA 416 2,322
PepsiAmericas, Inc. 1,271 36,300

The accompanying notes are an integral part of the financial statements.
94



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
PepsiCo, Inc. 9,089 $ 533,161
Perdigao SA * 493 13,124
Pernod-Ricard SA 1,373 109,203
Perrigo Company 1,000 33,990
PetMed Express, Inc. 300 5,655
Pfizer, Inc. 44,534 737,038
Pharmaceutical Product Development, Inc. 800 17,552
Pharmaxis, Ltd. * 6,309 13,323
PharMerica Corp. * 300 5,571
PHH Corp. * (a) 1,200 23,808
Philip Morris International, Inc. 16,707 814,299
Phonak Holding AG 337 34,022
Piramal Healthcare, Ltd. 649 5,145
PLUS Expressways BHD 10,000 9,605
Poniard Pharmaceuticals, Inc. * 500 3,740
Poyry Oyj 603 10,947
POZEN, Inc. * 1,300 9,568
PPB Group BHD 3,600 15,984
Premier Foods PLC 51,558 34,643
Pre-Paid Legal Services, Inc. * 300 15,240
Prestige Brands Holdings, Inc. * 1,300 9,152
Primary Health Care, Ltd. 3,282 17,911
Procter & Gamble Company 15,374 890,462
Progenics Pharmaceuticals, Inc. * 200 1,048
Programmed Maintenance Services, Ltd. 3,210 12,688
Providence Service Corp. * 500 5,830
PSS World Medical, Inc. * 900 19,647
Psychiatric Solutions, Inc. * 500 13,380
PZ Cussons PLC 1,458 5,856
Q.P. Corp. 900 10,274
Qiagen AG * 1,865 39,592
Qinetiq PLC 11,015 24,786
Quanta Services, Inc. * 3,400 75,242
Quest Diagnostics, Inc. 1,600 83,504
Quidel Corp. * 800 12,984
R.R. Donnelley & Sons Company 1,900 40,394
Ralcorp Holdings, Inc. * 800 46,776
Ramirent Oyj 239 2,672
Ranbaxy Laboratories, Ltd. * 2,478 20,705
Randstad Holdings NV * 1,047 45,328
Rank Group PLC * 1,980 2,826
Reckitt Benckiser PLC 2,683 131,122
Recordati SpA 1,275 9,025
Regeneron Pharmaceuticals, Inc. * 1,100 21,230
RehabCare Group, Inc. * 600 13,014
Remy Cointreau SA 389 16,289
Rent-A-Center, Inc. * 1,400 26,432
Rentokil Initial PLC * 29,942 54,523
Res-Care, Inc. * 700 9,947
ResMed, Inc. * 1,000 45,200
Resources Connection, Inc. * 700 11,942
Revlon, Inc. * 300 1,458
Reynolds American, Inc. 3,200 142,464
Rhoen-Klinikum AG 1,133 28,862
Rigel Pharmaceuticals, Inc. * 800 6,560
Ritchie Bros. Auctioneers, Inc. (a) 700 17,326

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Robert Half International, Inc. 1,600 $ 40,032
Roche Holdings AG CHF 100 16,729
Roche Holdings AG - Genusschein 2,499 404,531
Rohto Pharmaceutical Company, Ltd. 1,000 13,627
Rollins, Inc. 1,600 30,160
RPS Group PLC 1,673 6,021
RSC Holdings, Inc. * 1,400 10,178
RTI Biologics, Inc. * 1,400 6,090
Ruchi Soya Industries, Ltd. 3,000 6,248
Ruddick Corp. 700 18,634
SABMiller PLC 6,486 156,559
Safeway, Inc. 4,700 92,684
Safilo Group SpA * 2,468 2,166
SAIC, Inc. * 2,675 46,920
Salix Pharmaceuticals, Ltd. * 700 14,882
Sanderson Farms, Inc. 400 15,056
Sangamo Biosciences, Inc. * 1,500 12,315
Sanofi-Aventis SA, ADR 7,500 277,125
Sanofi-Aventis SA 585 42,948
Santarus, Inc. * 1,300 4,277
Santen Pharmaceutical Company, Ltd. 400 14,700
Sao Martinho SA * 500 4,685
Sapporo Holdings, Ltd. 2,000 10,163
Saputo, Inc. 1,100 25,819
Sara Lee Corp. 8,900 99,146
Savient Pharmaceuticals, Inc. * 700 10,640
Savills PLC 3,206 17,040
Schering-Plough Corp. 5,904 166,788
Seattle Genetics, Inc. * 1,400 19,642
Securitas AB, Series B 1,400 13,526
Sepracor, Inc. * 1,700 38,930
Sequenom, Inc. * (a) 800 2,584
Serco Group PLC 4,715 38,068
Service Corp. International 3,200 22,432
Shenzhen International Holdings, Ltd. 45,000 3,061
Shimadzu Corp. 3,000 21,612
Shionogi & Company, Ltd. 1,000 23,617
Shire Pharmaceuticals Group PLC, ADR 1,100 57,519
Shiseido Company, Ltd. 2,000 34,834
Shoprite Holdings, Ltd. 2,385 19,759
Shree Renuka Sugars, Ltd. 4,773 19,583
Shutterfly, Inc. * 600 9,978
Sigma Pharmaceuticals, Ltd. 20,199 18,922
Sino Biopharmaceutical, Ltd. 64,000 14,756
Sirona Dental Systems, Inc. * 600 17,850
Sixt AG 395 11,982
Skilled Healthcare Group, Inc. * 900 7,227
Sligro Food Group NV 122 3,566
Smart Balance, Inc. * 1,800 11,052
Smith & Nephew PLC 1,500 67,665
Smithfield Foods, Inc. * 2,500 34,500
Snow Brand Milk Products Company, Ltd. 2,500 9,330
Societe BIC SA 221 15,724
Societe Generale de Surveillance Holdings AG 38 51,188
Sohgo Security Services Company, Ltd. 1,000 11,820
Somanetics Corp. * 300 4,836

The accompanying notes are an integral part of the financial statements.
95



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PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Sonic Healthcare, Ltd. 2,607 $ 32,532
SonoSite, Inc. * 300 7,938
SOS Cuetara SA * 665 3,288
Sotheby's (a) 1,100 18,953
Southern Cross Healthcare, Ltd. * 1,847 3,918
Souza Cruz SA 400 14,046
Spar Group, Ltd. 1,244 10,729
Spartan Stores, Inc. 200 2,826
Spectranetics Corp. * 700 4,487
Spectrum Pharmaceuticals, Inc. * (a) 1,100 7,403
SSL International PLC 2,303 23,579
St. Jude Medical, Inc. * 1,590 62,026
Stada Arzneimittel AG 532 14,543
Stallergenes SA 185 16,189
Standard Parking Corp. * 200 3,498
Stantec, Inc. * 200 5,006
StarTek, Inc. * 800 6,944
Stereotaxis, Inc. * 1,400 6,244
STERIS Corp. 544 16,565
Sterling Biotech, Ltd. 2,768 6,765
Stewart Enterprises, Inc., Class A 800 4,184
Sthree PLC 3,291 13,626
Straumann Holding AG 53 13,773
Strayer Education, Inc. 100 21,768
Stryker Corp. 3,428 155,734
SuccessFactors, Inc. * 700 9,849
Suedzucker AG 616 12,499
Sun Healthcare Group, Inc. * 900 7,776
Sun Pharmaceutical Industries, Ltd. 351 10,270
Sunrise Senior Living, Inc. * 300 909
Super-Sol, Ltd. 2,422 10,723
SUPERVALU, Inc. 4,100 61,746
SurModics, Inc. * 200 4,920
Suzuken Company, Ltd. 800 27,572
Swedish Match AB 1,600 32,213
Symmetry Medical, Inc. * 400 4,148
Synovis Life Technologies, Inc. * 100 1,380
Synta Pharmaceuticals Corp. * 300 930
Sysco Corp. 5,059 125,716
Sysmex Corp. 300 12,909
Taisho Pharmaceuticals Company, Ltd. 1,000 20,210
Taiwan Secom Company, Ltd. 6,000 9,505
Takeda Pharmaceutical Company, Ltd. 3,500 145,797
Tanabe Seiyaku Company, Ltd. 2,000 26,605
Targacept, Inc. * 400 8,548
Tate & Lyle PLC 6,162 41,652
Team, Inc. * 100 1,695
Techne Corp. 600 37,530
Tejon Ranch Company * 300 7,704
TeleTech Holdings, Inc. * 1,200 20,472
Tenet Healthcare Corp. * 8,000 47,040
Terumo Corp. 800 43,814
Tesco PLC 30,199 193,235
Tetra Tech, Inc. * 1,000 26,530
Teva Pharmaceutical Industries, Ltd., SADR 3,925 198,448
The Advisory Board Company * 300 7,542

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
The Coca-Cola Company 19,679 $ 1,056,762
The Cooper Companies, Inc. 1,100 32,703
The Ensign Group, Inc. 200 2,806
The Geo Group, Inc. * 1,300 26,221
The Great Atlantic & Pacific Tea Company,    
Inc. * 1,500 13,365
The Kroger Company 3,159 65,202
The Scotts Miracle-Gro Company, Class A 1,100 47,245
The Standard Register Company 200 1,176
Theravance, Inc. * 600 8,784
Thoratec Corp. * 800 24,216
ThromboGenics NV * 334 7,423
Ticketmaster Entertainment, Inc. * 120 1,403
Tiger Brands, Ltd. 1,427 28,616
Tingyi Cayman Islands Holding Corp. 16,000 33,048
TKC Corp. 400 8,710
TNS, Inc. * 400 10,960
TomoTherapy, Inc. * 2,100 9,093
Tootsie Roll Industries, Inc. (a) 411 9,774
Toppan Forms Company, Ltd. 800 10,946
Toppan Printing Company, Ltd. 5,000 47,062
Towa Pharmaceutical Company, Ltd. 200 9,808
Toyo Suisan Kaisha, Ltd. 1,000 27,096
Transcend Services, Inc. * 400 6,988
Transcontinental, Inc., Class A 500 5,754
Transurban Group, Ltd. * 5,368 19,372
Tree.com, Inc. * 20 151
TreeHouse Foods, Inc. * 600 21,402
Trimeris, Inc. * 500 1,220
Triple-S Management Corp. * 400 6,708
TrueBlue, Inc. * 1,300 18,291
Tsumura & Company, Ltd. 400 14,400
Tupperware Brands Corp. 1,000 39,920
Tyson Foods, Inc., Class A 5,600 70,728
UCB SA 1,007 42,709
UNI Charm Corp. 100 9,483
Unilever Indonesia Tbk PT 14,000 15,482
Unilever NV 4,720 136,253
Unilever PLC, SADR 4,300 123,324
Uni-President China Holdings, Ltd. 16,000 9,300
Uni-President Enterprises Corp. 18,113 21,336
United Drug PLC 3,863 13,062
United Natural Foods, Inc. * 700 16,744
United Plantations Berhad 2,400 9,154
United Rentals, Inc. * 300 3,090
United Spirits, Ltd. 164 3,097
United Therapeutics Corp. * 600 29,394
UnitedHealth Group, Inc. 8,900 222,856
Universal Corp. 400 16,728
Universal Health Services, Inc., Class B 800 49,544
Universal Technical Institute, Inc. * 300 5,910
USANA Health Sciences, Inc. * 200 6,822
USG People NV * 965 20,061
Valassis Communications, Inc. * 300 5,364
Valeant Pharmaceuticals International * 700 19,642
Valor Company, Ltd. 1,000 9,083

The accompanying notes are an integral part of the financial statements.
96



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Consumer, Non-cyclical (continued)    
Varian Medical Systems, Inc. * 1,300 $ 54,769
VCA Antech, Inc. * 1,400 37,646
Vector Group, Ltd. 1,061 16,523
Vertex Pharmaceuticals, Inc. * 1,800 68,220
Viad Corp. 400 7,964
Vical, Inc. * 2,400 10,224
Vilmorin & Compagnie SA 95 10,765
Vina Concha Y Toro SA, ADR (a) 300 12,495
ViroPharma, Inc. * 1,000 9,620
Visa, Inc. 3,900 269,529
Viscofan SA 232 5,650
VistaPrint NV * (a) 700 35,525
Vital Images, Inc. * 100 1,252
VITAL KSK HOLDINGS, Inc. * 1,200 7,024
Vivus, Inc. * 900 9,405
Volcano Corp. * 300 5,046
W.S. Atkins PLC 1,648 16,551
Warner Chilcott PLC * 1,600 34,592
Watson Pharmaceuticals, Inc. * 1,900 69,616
Watson Wyatt Worldwide, Inc., Class A 700 30,492
WD-40 Company 300 8,520
Wei Chuan Food Corp. * 9,000 11,737
Weight Watchers International, Inc. 1,100 30,184
Weis Markets, Inc. 300 9,585
WellCare Health Plans, Inc. * 800 19,720
WellPoint, Inc. * 6,700 317,312
West Pharmaceutical Services, Inc. 500 20,305
Western Union Company 5,900 111,628
Whole Foods Market, Inc. * (a) 2,500 76,225
William Morrison Supermarket PLC 18,894 83,925
Wilmar International, Ltd. 3,000 13,373
Winn-Dixie Stores, Inc. * 800 10,496
Wockhardt, Ltd. * 1,455 5,830
Woolworths, Ltd. 4,166 107,339
Wright Express Corp. * 500 14,755
Wright Medical Group, Inc. * 600 10,716
Wyeth 4,062 197,332
Xchanging PLC 4,028 14,210
XenoPort, Inc. * 500 10,615
Yakult Honsha Company, Ltd. 200 5,308
Yamazaki Baking Company, Ltd. 1,000 13,497
Young Innovations, Inc. 100 2,631
Ypsomed Holding AG * 2 131
Yuhan Corp. 97 15,679
Zeltia SA * 2,108 14,923
Zeria Pharmaceutical Company, Ltd. 1,000 10,920
Zhejiang Expressway Company, Ltd., Class H 12,000 10,466
Zimmer Holdings, Inc. * 2,400 128,280
Zoll Medical Corp. * 600 12,912
Zymogenetics, Inc. * 2,200 13,288
 
    35,348,235
Diversified - 0.37%    
Ackermans & Van Haaren NV 310 22,579
Aditya Birla Nuvo, Ltd. 491 9,720
Alfa SA de CV 1,400 6,696
Allied Group, Ltd. 2,000 4,678

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Diversified (continued)    
Amalgamated Holdings, Ltd. 2,783 $ 12,281
AVI, Ltd. 4,242 10,758
Barloworld, Ltd. 2,065 13,507
Beijing Enterprises Holdings, Ltd. 7,500 39,314
Bergman & Beving AB, Series B 25 282
Bidvest Group, Ltd. 1,720 27,211
Boustead Holdings BHD 9,100 9,116
C C Land Holdings, Ltd. 7,000 3,742
China Merchants Holdings International    
Company, Ltd. 12,321 40,549
China Resources Enterprises, Ltd. 12,000 34,692
Citic Pacific, Ltd. 12,000 31,316
CITIC Resources Holdings, Ltd. * 11,500 2,948
DCC PLC 1,040 26,924
Dogan Sirketler Grubu Holdings AS * 10,683 8,110
Empresas Copec SA 2,526 32,485
First Pacific Company 20,000 13,339
GEA Group AG 1,483 30,943
Gome Electrical Appliances Holdings, Ltd. * 89,680 23,769
Grupo Carso SA de CV 5,300 17,125
GS Holdings Corp. 500 13,804
Guangdong Investment, Ltd. 34,000 16,647
Guangzhou Investment Company, Ltd. 48,423 7,935
Hunting PLC 1,995 17,175
Hutchison Whampoa, Ltd. 11,000 78,796
IJM Corp. BHD 17,080 22,149
Imperial Holdings, Ltd. 1,333 14,192
Impulsora Del Desarrollo Y El Empleo en    
America Latina SAB de CV * 13,100 12,200
Imtech NV 426 10,875
Keppel Corp., Ltd. 5,000 28,562
KOC Holdings AS * 4,095 10,814
Leucadia National Corp. * (a) 4,200 103,824
LG Corp. 304 20,327
LVMH Moet Hennessy SA 1,039 104,636
Mitie Group PLC 2,329 9,391
NWS Holdings, Ltd. 4,313 8,362
Ordina NV * 210 1,314
Resource America, Inc. 565 2,718
Ruukki Group Oyj * 3,552 9,989
Schouw & Company A/S, Series B 100 2,049
SeAH Holdings Corp. 102 5,192
Shanghai Industrial Holdings, Ltd. 8,000 36,078
Sime Darby BHD 9,700 23,746
Viohalco SA 1,796 11,919
Washington H Soul Pattinson & Company, Ltd. 1,874 22,680
Wendel 376 23,778
Wharf Holdings, Ltd. 7,000 36,930
 
    1,078,166
Energy - 6.62%    
Acergy SA 1,854 23,439
Allis-Chalmers Energy, Inc. * 200 872
Alon USA Energy, Inc. (a) 1,300 12,909
Alpha Natural Resources, Inc. * 1,416 49,702
Anadarko Petroleum Corp. 6,900 432,837
Apache Corp. 3,700 339,771

The accompanying notes are an integral part of the financial statements.
97



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Energy (continued)    
Arch Coal, Inc. 1,900 $ 42,047
Arena Resources, Inc. * 700 24,850
Arrow Energy NL * 10,137 38,113
Atlas America, Inc. 600 16,242
ATP Oil & Gas Corp. * (a) 200 3,578
Atwood Oceanics, Inc. * 1,100 38,797
Australian Worldwide Exploration, Ltd. * 6,149 14,683
Baker Hughes, Inc. (a) 3,467 147,902
Bankers Petroleum, Ltd. * 700 3,092
Banpu PCL 1,300 16,644
Beach Petroleum, Ltd. 23,506 15,532
Berry Petroleum Company, Class A 900 24,102
BG Group PLC 13,294 231,360
Bill Barrett Corp. * 900 29,511
Birchcliff Energy, Ltd. * 1,700 13,100
BJ Services Company 5,300 102,979
Bourbon SA 664 30,635
BP PLC, SADR 10,700 569,561
BP PLC 11,293 100,022
BPZ Energy, Inc. * 200 1,504
Brigham Exploration Company * 1,000 9,080
Bumi Resources Tbk PT 163,500 54,506
Cabot Oil & Gas Corp. 1,900 67,925
Cairn Energy PLC * 1,223 54,544
Cairn India, Ltd. * 1,480 8,052
Cal Dive International, Inc. * 2,200 21,758
Calfrac Well Services, Ltd. 100 1,775
Caltex Australia, Ltd. * 2,401 25,556
Calvalley Petroleums, Inc., Class A * 500 1,167
Cameron International Corp. * 2,800 105,896
Canadian Hydro Developers, Inc. * 800 3,848
Canadian Natural Resources, Ltd. 1,900 128,305
Carbo Ceramics, Inc. 500 25,775
Carrizo Oil & Gas, Inc. * (a) 200 4,898
Cheniere Energy, Inc. * 700 2,051
Chesapeake Energy Corp. 7,100 201,640
Chevron Corp. 13,400 943,762
China Coal Energy Company, Series H 11,000 14,361
China Oilfield Services, Ltd., Series H 10,000 9,319
China Petroleum & Chemical Corp., ADR -    
Hong Kong Exchange 800 68,120
China Shenhua Energy Company, Ltd. 11,500 49,441
China WindPower Group, Ltd. * 270,000 23,500
Cia Espanola de Petroleos SA 245 9,078
Cie Generale de Geophysique-Veritas * 928 21,719
Cimarex Energy Company 1,400 60,648
Clayton Williams Energy, Inc. * 100 3,012
Clean Energy Fuels Corp. * (a) 1,400 20,174
CMS Energy Corp. 2,300 30,820
CNOOC, Ltd., ADR 700 94,801
CNPC Hong Kong, Ltd. 30,000 23,649
CNX Gas Corp. * 1,900 58,330
Compagnie Generale de Geophysique-Veritas * 800 18,720
Complete Production Services, Inc. * 1,700 19,210
Compton Petroleum Corp. * (a) 600 779
Comstock Resources, Inc. * 800 32,064

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Energy (continued)    
Comverge, Inc. * 500 $ 6,105
Concho Resources, Inc. * 1,600 58,112
Connacher Oil and Gas, Ltd. * 1,300 1,336
ConocoPhillips Company 15,200 686,432
CONSOL Energy, Inc. 1,500 67,665
Contango Oil & Gas Company * 300 15,318
Continental Resources, Inc. * (a) 1,800 70,506
Cosmo Oil Company, Ltd. 4,000 11,053
Covanta Holding Corp. * 984 16,728
Crew Energy, Inc. * 300 2,424
Crosstex Energy, Inc. 100 528
CVR Energy, Inc. * 2,000 24,880
Dana Petroleum PLC * 944 21,177
Dawson Geophysical Company * 200 5,476
Delek US Holdings, Inc. 1,200 10,284
Denbury Resources, Inc. * 4,400 66,572
Det Norske Oljeselskapb ASA * 4,000 2,810
Devon Energy Corp. 3,000 201,990
Diamond Offshore Drilling, Inc. 800 76,416
Dragon Oil PLC * 5,726 35,465
Dresser-Rand Group, Inc. * 1,400 43,498
Dril-Quip, Inc. * 700 34,748
Duke Energy Corp. 9,500 149,530
Eaga PLC 2,873 6,652
Eastern Star Gas, Ltd. * 13,898 11,331
EDF Energies Nouvelles, SA 301 16,654
El Paso Corp. 6,900 71,208
Enbridge, Inc. 1,744 67,714
EnCana Corp. 2,956 171,178
Encore Aquisition Company * 1,000 37,400
Energy World Corp., Ltd. * 24,742 9,103
Eni SpA, SADR (a) 5,300 264,205
ENSCO International, Inc. 2,100 89,334
Ensign Energy Services, Inc. 900 13,652
Entergy Corp. 1,400 111,804
EOG Resources, Inc. 2,800 233,828
EQT Corp. 1,400 59,640
Essar Oil Ltd * 1,027 3,393
Esso SAF 21 2,913
Etablissements Maurel et Prom SA 1,051 21,249
EXCO Resources, Inc. * 2,200 41,118
Exterran Holdings, Inc. * (a) 1,200 28,488
Exxon Mobil Corp. 23,670 1,623,999
Fairborne Energy, Ltd. * 400 1,685
Felix Resources, Ltd. 1,936 29,154
First Solar, Inc. * (a) 700 107,002
Flint Energy Services, Ltd. * 200 2,335
Forest Oil Corp. * 1,700 33,269
Fred Olsen Energy ASA 434 16,176
Frontier Oil Corp. 1,800 25,056
Fuelcell Energy, Inc. * 600 2,562
Fugro NV 632 36,563
Fushan International Energy Group, Ltd. * 16,000 10,686
FX Energy, Inc. * 1,300 4,199
Galleon Energy, Inc. * 300 1,757
Galp Energia SGPS SA 1,402 24,240

The accompanying notes are an integral part of the financial statements.
98



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Energy (continued)    
Georesources, Inc. * 300 $ 3,315
Global Industries, Ltd. * 2,900 27,550
GMX Resources, Inc. * 100 1,571
Goodrich Petroleum Corp. * 600 15,486
Grupa Lotos SA * 726 6,244
Gulf Islands Fabrication, Inc. 100 1,874
Gulfport Energy Corp. * 900 7,866
Halliburton Company 7,800 211,536
Headwaters, Inc. * 200 774
Helix Energy Solutions Group, Inc. * 400 5,992
Hellenic Petroleum SA 1,357 15,428
Helmerich & Payne, Inc. (a) 1,900 75,107
Hercules Offshore, Inc. * 900 4,419
Hess Corp. 2,300 122,958
Hidili Industry International Development, Ltd. * 13,000 12,037
Highpine Oil & Gas, Ltd. * 2,200 14,651
Holly Corp. 800 20,496
Hornbeck Offshore Services, Inc. * 600 16,536
Husky Energy, Inc. 800 22,521
Idemitsu Kosan Company, Ltd. 200 16,385
Imperial Oil, Ltd. 900 34,255
Inpex Holdings, Inc. 3 25,440
International Coal Group, Inc. * 800 3,224
ION Geophysical Corp. * 400 1,408
Iteration Energy, Ltd. * 4,700 5,268
Ivanhoe Energy, Inc. * 900 2,076
James River Coal Company * 700 13,377
Japan Petroleum Exploration Company, Ltd. 200 10,140
JKX Oil & Gas PLC 308 1,369
John Wood Group PLC 3,912 19,053
Kencana Petroleum BHD 16,400 10,001
Key Energy Services, Inc. * 2,700 23,490
Lufkin Industries, Inc. 200 10,636
Lukoil Oil Company, ADR 900 48,780
Lundin Petroleum AB, Series A * 2,903 23,573
Lupatech SA * 100 1,461
MacArthur Coal, Ltd. 2,684 22,186
Maire Tecnimont SpA 3,578 17,347
Mangalore Refinery and Petrochemicals, Ltd. 11,381 21,439
Marathon Oil Corp. 9,700 309,430
Mariner Energy, Inc. * 400 5,672
Massey Energy Company 1,500 41,835
Matrix Service Company * 500 5,435
McMoran Exploration Company * 200 1,510
Medco Energi Internasional Tbk PT 35,000 10,496
Melrose Resources PLC 307 1,670
MOL Magyar Olaj & Gazipari Rt. * 595 49,901
Motor Oil Hellas Corinth Refineries SA 798 12,965
Murphy Oil Corp. 1,400 80,598
Nabors Industries, Ltd. * 5,100 106,590
National Fuel Gas Company 800 36,648
National Oilwell Varco, Inc. * 4,700 202,711
Natural Gas Services Group, Inc. * 100 1,762
Neste Oil Oyj 1,466 27,115
New Zealand Refining Company, Ltd. 2,796 9,323
Newfield Exploration Company * 2,300 97,888

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Energy (continued)    
Newpark Resources, Inc. * 1,011 $ 3,245
Nexen, Inc. 3,228 73,387
Niko Resources, Ltd. 400 31,289
Nippon Mining Holdings, Inc. 10,500 51,157
Nippon Oil Corp. 6,000 33,437
Noble Corp. 500 18,980
Noble Energy, Inc. 1,900 125,324
Norsk Hydro ASA * 6,500 43,431
NuVista Energy, Ltd. * 800 9,333
Occidental Petroleum Corp. 4,900 384,160
Oceaneering International, Inc. * 700 39,725
Oil & Natural Gas Corp., Ltd. 1,221 29,742
Oil Search, Ltd. 6,421 36,351
Oil States International, Inc. * 900 31,617
OMV AG 992 39,997
OPTI Canada, Inc. * 1,100 2,209
Origin Energy, Ltd. 3,142 45,026
PA Resources AB * 475 1,832
Panhandle Oil and Gas, Inc. 100 2,136
Paramount Resources, Ltd. * 200 2,697
Parker Drilling Company * 2,500 13,650
Pason Systems, Inc. 1,200 13,954
Patterson-UTI Energy, Inc. 2,600 39,260
Peabody Energy Corp. 2,300 85,606
Penn Virginia Corp. 500 11,455
Petrobank Energy & Resources, Ltd. * 1,000 41,330
PetroChina Company, Ltd., Class H 92,000 104,800
PetroChina Company, Ltd., SADR 900 102,375
Petrofac, Ltd. 2,024 32,006
PetroHawk Energy Corp. * 4,000 96,840
Petroleo Brasileiro SA, ADR (a) 4,800 220,320
Petroleo Brasileiro SA, SADR (a) 6,600 259,446
Petroleum Development Corp. * 400 7,464
Petroleum Geo-Services ASA * 3,109 30,464
Petrolifera Petroleum, Ltd. * 400 403
Petrominerales, Ltd. * 900 12,012
Petronas Dagangan BHD 3,500 8,684
Petroplus Holdings AG * 805 20,292
Petroquest Energy, Inc. * 200 1,298
Pioneer Drilling Company * 300 2,202
Pioneer Natural Resources Company 2,100 76,209
Plains Exploration & Production Company * 1,900 52,554
Polish Oil & Gas Company 5,354 6,756
Polski Koncern Naftowy Orlen SA * 3,383 35,296
Premier Oil PLC * 388 7,510
Pride International, Inc. * 3,200 97,408
Progress Energy Resources Corp. 1,300 16,780
ProSafe ASA 954 4,912
Prosafe Production Public, Ltd. * 2,200 5,237
PTT Exploration & Production PCL 5,800 25,085
PTT PCL - Foreign Shares 3,700 29,015
Q-Cells AG * 211 4,043
Questar Corp. 3,100 116,436
Quicksilver Resources, Inc. * (a) 2,800 39,732
Range Resources Corp. 2,500 123,400
Reliance Industries, Ltd. * 2,649 120,585

The accompanying notes are an integral part of the financial statements.
99



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Energy (continued)    
Renewable Energy Corp. AS * 470 $ 4,161
Repsol YPF SA, ADR 1,500 40,740
Repsol YPF SA 2,142 58,360
Riversdale Mining, Ltd. * 685 3,255
Rosetta Resources, Inc. * 300 4,407
Rowan Companies, Inc. 1,900 43,833
Royal Dutch Shell PLC, ADR, Class B 14,300 797,511
RPC, Inc. 1,400 14,672
Saipem SpA 1,592 47,918
Salamander Energy PLC * 742 2,674
SandRidge Energy, Inc. * (a) 2,500 32,400
Santos, Ltd. 3,082 41,105
SapuraCrest Petroleum BHD 18,400 10,097
Saras SpA 4,630 17,898
Sasol, Ltd., SADR 2,900 110,548
Savanna Energy Services Corp. 400 2,503
SBM Offshore NV 1,804 38,432
Schlumberger, Ltd. 10,200 607,920
Schoeller-Bleckmann Oilfield Equipment AG 46 2,205
SEACOR Holdings, Inc. * 300 24,489
SeaDrill, Ltd., GDR * 2,900 60,475
Seahawk Drilling, Inc. * 213 6,622
Sechilienne-Sidec SA 300 12,782
Sevan Marine ASA * 4,000 6,195
ShawCor, Ltd., Class A 600 16,229
Shell Refining Company Federation    
of Malaya BHD 2,800 8,623
Showa Shell Sekiyu K.K. 2,000 21,778
SK Corp. 331 31,514
SK Energy Company, Ltd. 323 34,369
Smith International, Inc. 4,000 114,800
Soco International PLC * 870 19,673
S-Oil Corp. 148 7,818
Solarworld AG 724 17,593
Southern Union Company 2,300 47,817
Southwestern Energy Company * 1,900 81,092
Spectra Energy Corp. 5,700 107,958
St. Mary Land & Exploration Company 500 16,230
StatoilHydro ASA, SADR 5,000 112,700
Stone Energy Corp. * 200 3,262
Storm Exploration, Inc. * 200 2,755
Straits Asia Resources, Ltd. 8,000 11,977
Subsea 7, Inc. * 1,400 18,852
Suncor Energy, Inc. 11,139 389,108
Sunoco, Inc. 1,800 51,210
SunPower Corp., Class A * 200 5,978
Sunpower Corp., Class B * 709 17,888
Superior Energy Services, Inc. * 1,400 31,528
Superior Well Services, Inc. * 600 5,808
Swift Energy Company * 200 4,736
T-3 Energy Services, Inc. * 100 1,970
Talisman Energy, Inc. 6,600 114,844
Technip SA 1,694 108,435
Terna Energy SA 278 2,447
Tesco Corp. * 200 1,596
Tesoro Corp. 2,600 38,948

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Energy (continued)    
TETRA Technologies, Inc. * 1,600 $ 15,504
TGS Nopec Geophysical Company ASA * 1,000 14,964
Thai Oil PCL 7,000 9,481
Theolia SA * 179 1,276
Tidewater, Inc. 800 37,672
TonenGeneral Sekiyu K.K. 2,000 19,477
Total SA, SADR (a) 10,200 604,452
Trans-Canada Corp. 2,498 77,858
Trican Well Service, Ltd. 1,500 19,474
Trinidad Drilling, Ltd. 2,100 13,240
TriStar Oil & Gas, Ltd. * 1,900 27,773
Tullow Oil PLC 4,533 81,888
Tupras Turkiye Petrol Rafine AS 1,188 19,779
UK Coal PLC * 640 1,182
UK Coal PLC * 352 228
Union Drilling, Inc. * 900 6,876
Unit Corp. * 1,000 41,250
UTS Energy Corp. * 2,400 3,878
VAALCO Energy, Inc. * 1,900 8,740
Valero Energy Corp. 3,700 71,743
Venoco, Inc. * 900 10,359
Verenex Energy, Inc. * 300 1,793
Vero Energy, Inc. * 300 1,138
W&T Offshore, Inc. 500 5,855
Walter Energy, Inc. 900 54,054
Warren Resources, Inc. * 300 888
Weatherford International, Ltd. * 900 18,657
Wellstream Holdings PLC 551 5,369
Western Refining, Inc. * 900 5,805
Whiting Petroleum Corp. * 1,000 57,580
Willbros Group, Inc. * 600 9,138
Williams Companies, Inc. 2,900 51,823
Woodside Petroleum, Ltd. 1,736 79,455
XTO Energy, Inc. 4,200 173,544
Yanzhou Coal Mining Company, Ltd., Class H 4,000 5,714
Yanzhou Coal Mining Company, Ltd. 1,300 18,746
 
    19,116,770
Financial - 13.39%    
1st Source Corp. 600 9,780
Aareal Bank AG * 1,065 25,542
Aberdeen Asset Management PLC 12,631 30,294
Abington Bancorp, Inc. 900 6,966
ABSA Group, Ltd. 1,681 26,886
Acom Company, Ltd. 310 4,745
Admiral Group PLC 1,381 25,562
Aegon NV * 11,893 101,322
Aetna, Inc. 2,500 69,575
Affiliated Managers Group, Inc. * 500 32,505
AFLAC, Inc. 2,000 85,480
African Bank Investments, Ltd. 6,694 26,383
AGF Management, Ltd. 1,356 21,721
Agile Property Holdings, Ltd. 22,000 25,674
Agricultural Bank of Greece SA * 2,722 6,216
Aichi Bank, Ltd. 100 8,961
Aioi Insurance Company, Ltd. 2,000 10,132
Akbank AS 3,972 23,157

The accompanying notes are an integral part of the financial statements.
100



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Akita Bank, Ltd. 3,000 $ 12,128
Alleanza Assicurazioni SpA 3,887 35,084
Alleghany Corp. * 100 25,905
Allgreen Properties, Ltd. 11,000 8,723
Allianz SE 2,651 331,239
Allied Irish Banks PLC, SADR * 1,000 9,420
Allied Properties HK, Ltd. * 20,000 3,187
Allied World Assurance Holdings, Ltd. 800 38,344
Allreal Holding AG 41 5,036
Allstate Corp. 5,800 177,596
Alpha Bank A.E. * 3,651 67,609
Altisource Portfolio Solutions SA * 600 8,664
American Capital, Ltd. (a) 1,731 5,591
American Express Company 13,000 440,700
American Financial Group, Inc. 2,200 56,100
American National Insurance Company 500 42,600
American Physicians Capital, Inc. 400 11,524
American Safety Insurance Holdings, Ltd. * 400 6,320
AmeriCredit Corp. * (a) 2,600 41,054
Ameriprise Financial, Inc. 4,000 145,320
Ameris Bancorp 202 1,441
Amerisafe, Inc. * 200 3,450
Amlin PLC 5,558 34,064
AMMB Holdings BHD 15,200 18,657
AMP, Ltd. 10,820 61,951
Amtrust Financial Services, Inc. 900 10,269
Anglo Irish Bank Corp. PLC * 3,621 2,535
Aomori Bank, Ltd. 1,000 3,994
Aon Corp. 1,200 48,828
Aozora Bank, Ltd. 7,000 10,054
April Group SA 269 11,344
Arch Capital Group, Ltd. * 800 54,032
Argo Group International Holdings, Ltd. * 700 23,576
Arrow Financial Corp. 206 5,622
Arthur J. Gallagher & Company 1,420 34,605
Ashmore Group PLC 2,022 8,107
Asia Financial Holdings, Ltd. 22,000 7,217
Aspen Insurance Holdings, Ltd. 1,600 42,352
Asset Acceptance Capital Corp. * 200 1,450
Assicurazioni Generali SpA 3,590 98,454
Associated Banc Corp. 2,800 31,976
Associated International Hotels, Ltd. * 2,000 4,413
Assurant, Inc. 1,700 54,502
Assured Guaranty, Ltd. (a) 1,400 27,188
Astoria Financial Corp. 900 9,936
Athris Holding AG * 9 9,208
Australia and New Zealand    
Banking Group, Ltd. 9,017 193,296
Australian Stock Exchange, Ltd. 857 26,524
Avatar Holdings, Inc. * 100 1,900
Aviva PLC 21,924 157,168
Awa Bank, Ltd. 2,000 11,478
Axa Asia Pacific Holdings, Ltd. 8,743 33,527
AXA Group SA 9,788 264,850
AXA-Sponsored ADR 300 8,115
Axis Bank, Ltd. 1,198 24,527

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Axis Capital Holdings, Ltd. 2,000 $ 60,360
Azimut Holding SpA 1,428 18,057
Babcock & Brown Wind Partners, Ltd 6,731 8,949
Baloise Holding AG 753 72,051
Banca Carige SpA 7,025 20,999
Banca Intermobiliare SpA * 2,375 10,872
Banca Monte dei Paschi Siena SpA 29,221 62,627
Banca Popolare di Milano SpA 5,225 39,783
BancFirst Corp. 400 14,772
Banche Popolari Unite SpA 5,078 78,086
Banco Bilbao Vizcaya Argentaria SA, ADR 9,856 175,831
Banco Bilbao Vizcaya Argentaria SA 5,810 103,395
Banco BPI SA 4,926 17,409
Banco Bradesco SA, ADR 6,400 127,296
Banco Bradesco SA 3,800 62,525
Banco Comercial dos Acores SA 21,670 32,077
Banco Compartamos SA de CV, ADR 4,200 15,341
Banco de Chile 516 24,510
Banco de Sabadell SA 6,365 47,093
Banco de Valencia SA 1,769 16,601
Banco di Desio e della Brianza SpA 669 4,465
Banco do Brasil SA 1,500 26,442
Banco Espirito Santo SA 6,280 44,583
Banco Guipuzcoano SA 2,182 17,883
Banco Pastor SA 1,971 16,141
Banco Popolare Societa Cooperativa * 5,650 54,241
Banco Popular Espanol SA 6,121 61,399
Banco Santander Central Hispano SA, SADR (a) 18,329 296,013
Banco Santander Central Hispano SA 21,408 345,863
Banco Santander Chile SA, ADR 300 17,262
BancorpSouth, Inc. 1,500 36,615
BancTrust Financial Group, Inc. (a) 900 3,213
Bangkok Bank PCL, Foreign Shares 2,900 10,671
Bangkok Bank PCL, NVDR 3,700 13,393
Bank Central Asia Tbk PT 60,000 28,584
Bank Coop AG 219 15,780
Bank Danamon Indonesia Tbk PT 28,995 14,768
Bank Handlowy w Warszawie SA * 512 11,360
Bank Hapoalim, Ltd. * 9,449 33,794
Bank Leumi Le-Israel, Ltd. * 8,417 32,476
Bank Mandiri Tbk PT 33,500 16,282
Bank Mutual Corp. 1,200 10,608
Bank of America Corp. 33,445 565,889
Bank of Ayudhya PCL, NVDR 31,800 18,125
Bank of China, Ltd. 246,000 128,687
Bank of Communications Company, Ltd.,    
Class H 33,000 39,910
Bank of East Asia, Ltd. 10,611 38,035
Bank of Florida Corp. * 565 1,339
Bank of Greece SA 162 11,565
Bank of Hawaii Corp. 500 20,770
Bank of Ireland * 2,000 39,400
Bank of Kyoto, Ltd. 3,000 27,488
Bank of Montreal 2,571 130,081
Bank of New York Mellon Corp. 12,950 375,421
Bank of Nova Scotia 3,700 168,887

The accompanying notes are an integral part of the financial statements.
101



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Bank of Piraeus SA * 5,752 $ 107,262
Bank of Queensland, Ltd. 2,867 30,054
Bank of Saga, Ltd. 3,000 9,293
Bank of the Ozarks, Inc. 200 5,306
Bank of the Ryukyus, Ltd. * 900 11,014
Bank Pan Indonesia Tbk PT * 104,500 9,239
Bank Pekao SA * 521 27,775
Bank Rakyat Indonesia Tbk PT 29,500 22,746
Bank Sarasin & Compagnie AG, Series B * 196 8,163
Bank Zachodni WBK SA * 124 6,493
BankFinancial Corp. 300 2,874
Bankinter SA, ADR 4,079 51,514
Banque Cantonale Vaudoise, Series B 51 21,026
Banque Nationale de Belgique 4 19,717
Barclays PLC, SADR * 11,200 264,768
BB&T Corp. 3,700 100,788
Beazley PLC 7,685 14,499
Bendigo and Adelaide Bank, Ltd. 2,282 18,867
Beneficial Mutual Bancorp, Inc. * 1,600 14,608
Berkshire Hill Bancorp, Inc. 200 4,388
Berner Kantonalbank 51 11,469
BGC Partners, Inc. 1,200 5,136
BinckBank N.V. * 387 6,841
BlackRock, Inc. 600 130,092
BM&F BOVESPA SA 18,800 138,591
BNP Paribas SA 4,872 389,674
BOC Hong Kong Holdings, Ltd. 13,500 29,516
BOK Financial Corp. (a) 1,200 55,584
Bolsas y Mercados Espanoles 827 32,225
Boston Private Financial Holdings, Inc. 1,106 7,200
BR Malls Participacoes SA * 1,700 20,055
BRE Bank SA * 246 20,749
Brit Insurance Holdings PLC 5,430 17,706
Broadpoint Gleacher Securities, Inc. * 1,300 10,842
Broadridge Financial Solutions, Inc. 2,300 46,230
Brookline Bancorp, Inc. 900 8,748
Brown & Brown, Inc. 2,500 47,900
Busan Bank 2,120 23,449
Cabcharge Australia, Ltd. 479 2,403
Calamos Asset Management, Inc. 400 5,224
Camden National Corp. 200 6,608
Canaccord Capital, Inc. * 1,200 11,432
Canadian Imperial Bank of Commerce 1,318 80,374
Canadian Western Bank 1,000 18,540
Capital & Regional PLC 1,359 717
Capital City Bank Group, Inc. 200 2,840
Capital One Financial Corp. 3,303 118,016
Capital Southwest Corp. 100 7,675
Capitaland, Ltd. 12,000 31,412
Capitec Bank Holdings, Ltd. 300 2,428
Capitol Bancorp, Ltd. (a) 900 2,349
Capitol Federal Financial 900 29,628
Cass Information Systems, Inc. 100 2,986
Cathay Financial Holdings Company, Ltd. * 26,450 43,778
Cathay General Bancorp 700 5,663

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Cathay Real Estate Development    
Company, Ltd. * 18,000 $ 7,444
Catlin Group, Ltd. 4,951 27,804
CB Richard Ellis Group, Inc. * 4,200 49,308
Central Pacific Financial Corp. 200 504
Challenger Financial Services Group, Ltd. 7,270 21,750
Chang Hwa Commercial Bank, Ltd. 29,000 13,268
Charles Schwab Corp. 9,900 189,585
Chemical Financial Corp. 600 13,074
Chesnara PLC 1,469 3,973
Cheung Kong Holdings, Ltd. 7,000 88,186
Chiba Bank, Ltd. 5,000 30,780
Chiba Kogyo Bank, Ltd. * 700 5,684
China CITIC Bank 50,929 33,561
China Construction Bank Corp. 221,000 175,859
China Development Financial Holdings Corp. * 139,250 36,911
China Everbright, Ltd. 14,000 31,608
China Insurance International Holdings    
Company, Ltd. * 7,000 18,747
China Life Insurance Company, Ltd., SADR (a) 1,900 124,849
China Life Insurance Company, Ltd. * 18,000 12,763
China Merchants Bank Company, Ltd. 15,600 34,479
China Overseas Land & Investment, Ltd. 26,960 57,824
China Resources Land, Ltd. 12,000 26,077
Chinatrust Finance Holding Company, Ltd. 43,344 28,059
Chubb Corp. 2,300 115,943
Chugoku Bank, Ltd. 2,000 25,225
CI Financial Corp. 800 15,385
CIGNA Corp. 4,800 134,832
Cincinnati Financial Corp. 2,100 54,579
Citigroup, Inc. 10,849 52,509
Citizens, Inc., Class A * 300 1,902
City Developments, Ltd. 2,000 14,519
City Holding Company 400 11,924
City National Corp. (a) 1,100 42,823
Clifton Savings Bancorp, Inc. 500 4,900
Close Brothers Group PLC 2,056 26,155
CME Group, Inc. 700 215,733
CNA Financial Corp. * (a) 2,600 62,764
CNA Surety Corp. * 1,100 17,820
CNP Assurances SA 228 23,238
Coastal Greenland, Ltd. * 4,000 312
Cohen & Steers, Inc. 300 7,200
Columbia Banking System, Inc. 200 3,310
Comerica, Inc. 2,500 74,175
Commerce Asset Holdings BHD 13,100 41,875
Commerce Bancshares, Inc. 615 22,903
Commerzbank AG * 5,493 69,703
Commonwealth Bank of Australia, Ltd. 6,045 274,863
Community Bank Systems, Inc. 900 16,443
Community Trust Bancorp, Inc. 300 7,851
CompuCredit Holdings Corp. * (a) 2,601 12,251
Consolidated Tomoka Land Company 200 7,660
Corp Bank 1,000 8,794
Corpbanca SA, SADR 100 3,242
Corporacion Mapfre SA 4,256 19,047
Country Garden Holdings Company, Ltd. 32,000 11,493

The accompanying notes are an integral part of the financial statements.
102



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Credit Acceptance Corp. * 500 $ 16,095
Credit Agricole SA 4,579 95,764
Credit Saison Company, Ltd. 1,800 21,047
Credit Suisse Group AG, SADR 8,300 461,895
Credito Artigiano SpA 655 1,866
Credito Bergamasco SpA 157 6,137
Credito Emiliano SpA * 1,652 10,518
Criteria Caixacorp SA 7,076 36,364
Cullen Frost Bankers, Inc. 1,100 56,804
CVB Financial Corp. (a) 900 6,831
Cyrela Brazil Realty SA 2,800 36,430
D. Carnegie & Company AB * 700 0
Daegu Bank 2,010 28,741
Daewoo Securities Company, Ltd. 1,300 23,636
Dah Sing Financial Group * 800 4,616
Daisan Bank, Ltd. 1,000 2,367
Daishi Bank, Ltd. 3,000 12,099
Daishin Securities Company, Ltd. 870 11,909
Daito Trust Construction Company, Ltd. 400 17,411
Daiwa Securities Group, Inc. 6,000 30,866
Danske Bank AS * 1,778 46,681
Danvers Bancorp, Inc. 600 8,154
DBS Group Holdings, Ltd. 9,000 84,231
Delphi Financial Group, Inc. 1,000 22,630
Den Norske Bank ASA * 5,681 65,938
Deutsche Bank AG 3,900 299,403
Deutsche Boerse AG 993 81,156
Deutsche Postbank AG * 658 23,277
Deutsche Wohnen AG * 538 5,301
Development Securities PLC 800 4,328
Development Securities PLC * 492 2,662
Dexia SA * 2,411 22,245
Dime Community Bancshares 400 4,572
Discover Financial Services 7,200 116,856
Discovery Holdings, Ltd., ADR 3,521 13,699
DLF, Ltd. 741 6,705
Donegal Group, Inc. 304 4,694
Dongbu Insurance Company, Ltd. 320 9,778
Duff & Phelps Corp. 500 9,580
DVB Bank AG 130 4,803
E.Sun Financial Holding Company, Ltd. * 27,562 11,473
East West Bancorp, Inc. 700 5,810
Eaton Vance Corp. 1,100 30,789
Echo Investment SA * 5,340 7,840
EFG Eurobank Ergas SA * 3,504 55,527
EFG International, ADR 308 5,557
eHealth, Inc. * 200 2,904
Ehime Bank, Ltd. 1,000 2,777
EMC Insurance Group, Inc. 260 5,494
Employers Holdings, Inc. 600 9,288
Encore Bancshares, Inc. * 200 1,798
Encore Capital Group, Inc. * 600 8,070
Endurance Specialty Holdings, Ltd. 1,400 51,058
Enstar Group, Ltd. * 400 24,908
Enterprise Financial Services Corp. 100 925
EON Capital BHD 8,300 12,904

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Erie Indemnity Company, Class A 1,000 $ 37,460
Erste Bank der Oesterreichischen    
Sparkassen AG 1,640 73,383
ESSA Bancorp, Inc. 600 7,926
Euler Hermes SA 618 53,042
Evercore Partners, Inc. 700 20,454
Everest Re Group, Ltd. 800 70,160
Evolution Group PLC 6,137 13,427
F&C Asset Management PLC 4,118 5,109
F.N.B. Corp. 1,100 7,821
Fairfax Financial Holdings, Ltd. 100 37,148
Far Eastern International Bank * 27,256 8,048
FBD Holdings PLC 77 858
FBL Financial Group, Inc., Class A 200 3,886
Federal Bank, Ltd. 3,403 17,811
Federated Investors, Inc., Class B 1,200 31,644
Fidelity National Financial, Inc., Class A 4,200 63,336
Fidelity National Information Services, Inc. 3,500 89,285
Fifth Third Bancorp 11,000 111,430
Financial Federal Corp. 600 14,808
Financial Institutions, Inc. 100 997
Fionia Bank A/S * 550 0
First Acceptance Corp. * 800 2,160
First American Corp. 1,600 51,792
First BanCorp (PR) 2,000 6,100
First Busey Corp. 200 940
First Commonwealth Financial Corp. 700 3,976
First Community Bancshares, Inc. 100 1,262
First Financial BanCorp 300 3,615
First Financial Bankshares, Inc. 300 14,838
First Financial Corp. 400 12,256
First Financial Holding Company, Ltd. 40,085 24,966
First Financial Holdings, Inc. 100 1,597
First Financial Northwest, Inc. 1,000 5,820
First Horizon National Corp. * 3,417 45,213
First Merchants Corp. 300 2,091
First Mercury Financial Corp. 200 2,664
First Midwest Bancorp, Inc. 300 3,381
First Niagara Financial Group, Inc. 2,000 24,660
First Security Group, Inc. 300 1,155
FirstMerit Corp. 1,318 25,082
FirstRand, Ltd. 13,261 29,282
Flagstone Reinsurance Holdings, Ltd. 1,500 16,920
Flughafen Wien AG 263 13,679
Flushing Financial Corp. 800 9,120
Fondiaria-Sai SpA 869 18,306
Forest City Enterprises, Inc., Class A 2,900 38,773
Fortis Group SA * 2,414 11,333
Franklin Resources, Inc. 2,000 201,200
Franshion Properties China, Ltd. 40,000 11,257
Friends Provident Group PLC 31,271 41,591
Fubon Group Company, Ltd. * 30,000 33,834
Fuhwa Financial Holdings Company, Ltd. 41,000 30,169
Fukuoka Financial Group, Inc. 8,000 33,024
Fulton Financial Corp. 3,400 25,024
Gafisa SA 1,500 22,590

The accompanying notes are an integral part of the financial statements.
103



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
GAMCO Investors, Inc., Class A 100 $ 4,570
GEK Group of Companies SA 925 8,698
Geniki Bank SA * 5,681 7,298
Genworth Financial, Inc., Class A 3,800 45,410
German American Bancorp (a) 200 3,102
Getin Holding SA * 6,659 21,302
GFI Group, Inc. 2,600 18,798
Glacier Bancorp, Inc. (a) 1,200 17,928
Goldcrest Company, Ltd. 170 5,110
Goldman Sachs Group, Inc. 5,700 1,050,795
Great Eagle Holdings, Ltd, 4,108 10,192
Great Southern Bancorp, Inc. 200 4,742
Great-West Lifeco, Inc. 1,000 24,807
Greek Postal Savings Bank SA * 615 4,331
Greene County Bancshares, Inc. 200 1,000
Greenhill & Company, Inc. 500 44,790
Greenlight Capital Re, Ltd., Class A * 900 16,920
Greentown China Holdings, Ltd. * 11,500 15,898
Grenkeleasing AG 302 11,939
Grupo Financiero Banorte SA de CV 13,100 43,832
GSD Holding AS * 8,585 4,231
Guangzhou R&F Properties Company, Ltd.,    
Class H 10,000 17,505
Gunma Bank 4,000 21,911
Hallmark Financial Services, Inc. * 1,100 8,855
Hana Financial Group, Inc. 1,080 37,055
Hancock Holding Company 500 18,785
Hang Lung Group, Ltd. 7,000 34,742
Hang Lung Properties, Ltd. 11,000 40,325
Hang Seng Bank, Ltd. 3,300 47,228
Hannover Rueckversicherung AG * 722 33,133
Hanover Insurance Group, Inc. 1,000 41,330
Hargreaves Lansdown PLC 1,126 5,138
Harleysville Group, Inc. 600 18,990
Harleysville National Corp. 200 1,066
Harris & Harris Group, Inc. * 600 3,750
Hartford Financial Services Group, Inc. 3,800 100,700
HCC Insurance Holdings, Inc. 1,600 43,760
HDFC Bank Ltd 300 35,511
Heartland Financial USA, Inc. 100 1,475
Heiwa Real Estate Company, Ltd. 3,500 11,911
Helical Bar PLC 514 3,083
Helvetia Patria Holding AG 85 28,603
Henderson Group PLC 3,377 6,981
Henderson Land Development Company, Ltd. 5,000 31,995
Heritage Commerce Corp. 200 944
Higashi-Nippon Bank, Ltd. 3,000 6,264
Higo Bank, Ltd. 2,000 11,776
Hilltop Holdings, Inc. * 1,200 14,712
Hiscox PLC 4,702 25,887
Hokuetsu Bank, Ltd. 5,000 9,549
Hokuhoku Financial Group, Inc. 10,000 23,251
Home Bancshares, Inc. 208 4,559
Home Capital Group, Inc. 400 14,290
Home Federal Bancorp, Inc. 200 2,284
Hong Kong Exchanges & Clearing, Ltd. 4,400 79,032

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Hong Leong Bank BHD 2,800 $ 5,305
Hopewell Holdings, Ltd. 6,000 18,755
Hopson Development Holdings, Ltd., GDR 6,000 10,362
HSBC Holdings PLC-Sponsored ADR (a) 15,510 889,499
Hua Nan Financial Holdings Company, Ltd. 27,006 16,923
Hudson City Bancorp, Inc. 6,600 86,790
Hung Poo Real Estate Development Corp. 5,000 8,012
Huntington Bancshares, Inc. 3,100 14,601
Hyakujushi Bank, Ltd. 2,000 9,011
Hyundai Securities Company, Ltd. 1,170 16,192
IBERIABANK Corp. 400 18,224
ICAP PLC 4,862 32,862
ICICI Bank, Ltd., SADR 2,700 104,112
IGM Financial, Inc. 700 27,761
Immsi SpA * 4,536 5,681
Independence Holding Company 200 1,176
Independent Bank Corp. 500 11,065
Indiabulls Real Estate, Ltd. * 4,034 22,782
Industrial & Commercial Bank of China, Ltd. 206,000 154,119
Industrial Alliance Insurance and Financial    
Services, Inc. 900 24,638
Industrial and Commercial Bank of China    
Asia, Ltd. 106 239
Industrial Bank of Korea * 1,290 15,726
Infrastructure Development Finance    
Company, Ltd. 9,626 29,218
ING Bank Slaski SA * 79 17,655
ING Groep NV, SADR * 3,900 69,537
ING Groep NV * 4,641 82,927
Intact Financial Corp. 800 25,315
Interactive Brokers Group, Inc. * 400 7,948
IntercontinentalExchange, Inc. * 800 77,752
Intermediate Capital Group PLC 1,123 5,367
International Bancshares Corp. (a) 1,600 26,096
Intesa Sanpaolo SpA * 45,739 202,471
Intrum Justitia AB 200 2,240
Invesco, Ltd. 7,400 168,424
Investec PLC 4,064 29,759
Investec, Ltd. 1,608 12,307
Investment Technology Group, Inc. * 900 25,128
Investors Bancorp, Inc. * 2,200 23,342
Itau Unibanco Holding SA 2,915 58,737
IVG Immobilien AG * 981 10,738
Iyo Bank, Ltd. 2,000 17,988
Janus Capital Group, Inc. 3,200 45,376
Jardine Lloyd Thompson Group PLC 1,381 10,726
Jefferies Group, Inc. * 3,000 81,690
JHSF Participacoes SA 2,000 4,425
JMP Group, Inc. 400 3,864
Jones Lang LaSalle, Inc. 700 33,159
Joyo Bank, Ltd. 5,000 24,438
JPMorgan Chase & Company 51,779 2,268,956
Julius Baer Holding AG 940 47,063
Juroku Bank, Ltd. 3,000 10,243
Jyske Bank AS * 594 24,847
Kagawa Bank, Ltd. 1,000 3,941
Kagoshima Bank, Ltd. 2,000 15,836

The accompanying notes are an integral part of the financial statements.
104



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PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Kasikornbank PCL - Foreign Shares 7,700 $ 20,271
KB Financial Group, Inc., ADR * (a) 2,200 113,234
KBC Bancassurance Holding NV * 1,556 78,340
KBW, Inc. * 500 16,110
Kearny Financial Corp. 500 5,210
Keiyo Bank, Ltd. 2,000 10,189
Kenedix, Inc. 4 1,559
Keppel Land, Ltd. 3,177 6,122
Kerry Properties, Ltd. 4,000 21,484
KeyCorp 6,200 40,300
Kim Eng Holdings, Ltd. 6,000 8,506
King's Town Bank * 36,000 9,022
Kingsway Financial Services, Inc. 1,600 6,830
Kita-Nippon Bank, Ltd. 100 3,082
Kiyo Holdings, Inc. 11,000 13,970
Knight Capital Group, Inc. * 1,800 39,150
Komercni Banka AS 109 21,754
Korea Exchange Bank 2,530 29,585
Korea Investment Holdings Company, Ltd. 460 13,603
Korean Reinsurance Company, Ltd. 360 3,608
Kotak Mahindra Bank, Ltd. 1,612 26,111
Kowloon Development Company, Ltd. 7,000 7,095
Kredyt Bank SA * 1,216 4,969
Krung Thai Bank PCL 42,800 11,594
KWG Property Holding, Ltd. 14,500 9,299
Lakeland Bancorp, Inc. 200 1,500
Lakeland Financial Corp. 400 8,260
Laurentian Bank of Canada 300 10,751
Legacy Bancorp, Inc. 100 1,050
Legal & General Group PLC 50,453 70,844
Legg Mason, Inc. (a) 2,100 65,163
Lend Lease Corp. 5,040 46,921
LeoPalace21 Corp. 1,200 9,571
Liberty Holdings, Ltd. 983 8,907
LIC Housing Finance, Ltd. 1,077 17,199
Life Partners Holdings, Inc. (a) 125 2,238
LIG Non-Life Insurance Company, Ltd. 800 16,099
Lincoln National Corp. 4,100 106,231
Lippo Karawaci Tbk PT * 50,000 3,467
Lloyds TSB Group PLC, SADR * 3,587 23,925
Lloyds TSB Group PLC * 12,107 20,105
Loews Corp. 4,865 166,626
London Stock Exchange Group PLC 1,258 17,237
LPI Capital BHD 2,500 8,963
Luzerner Kantonalbank AG 38 10,195
M&T Bank Corp. (a) 1,634 101,831
Macquarie Airports, Ltd. 7,911 19,739
Macquarie Group, Ltd. 2,345 120,780
Macquarie Media Group, Ltd. 5,400 9,058
MainSource Financial Group, Inc. 700 4,760
Malayan Banking BHD 14,645 28,011
Malaysian Plantations BHD 11,800 8,611
Man Group PLC, ADR 14,026 74,401
Marfin Financial Group SA Holdings * 6,690 28,941
Markel Corp. * 300 98,946
MarketAxess Holdings, Inc. * 700 8,435

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Marlin Business Services Corp. * 800 $ 6,544
Marsh & McLennan Companies, Inc. 3,000 74,190
Marshall & Ilsley Corp. 2,200 17,754
MasterCard, Inc., Class A 800 161,720
Max Capital Group, Ltd. 800 17,096
MB Financial, Inc. 400 8,388
MBIA, Inc. * 3,800 29,488
MCG Capital Corp. * 2,100 8,799
Meadowbrook Insurance Group, Inc. 1,800 13,320
Medallion Financial Corp. 300 2,508
Mediobanca SpA 3,869 52,955
Mediolanum SpA 2,587 18,033
Mega Financial Holding Company, Ltd. 47,000 29,647
Mercury General Corp. 1,000 36,180
MetLife, Inc. 8,900 338,823
Metropolitan Holdings, Ltd. 3,767 6,425
MF Global, Ltd. * (a) 2,700 19,629
MGIC Investment Corp. * 1,700 12,597
Milano Assicurazioni SpA 1,886 6,693
Minato Bank, Ltd. 6,000 8,336
Mirae Asset Securities Company, Ltd. 306 18,205
Miramar Hotel & Investment Company, Ltd. 8,000 8,911
Mitsubishi Estate Company, Ltd. 5,000 78,155
Mitsubishi UFJ Financial Group, Inc. 52,847 282,693
Mitsui Fudosan Company, Ltd. 4,000 67,046
Mitsui Sumitomo Insurance Group    
Holdings, Inc. 1,800 49,571
Mitsui Trust Holdings, Inc. 7,000 25,699
Mizuho Financial Group, Inc. 41,200 81,438
Mizuho Trust & Banking Company, Ltd. 9,000 9,437
MLP AG 663 7,694
Mobimo Holding AG * 62 9,830
Montpelier Re Holdings, Ltd. 1,700 27,744
Morgan Stanley 13,861 428,028
Muenchener Rueckversicherungs-    
Gesellschaft AG (MunichRe) 1,076 171,673
Musashino Bank, Ltd. 500 15,119
Nara Bancorp, Inc. 200 1,390
NASDAQ OMX Group, Inc. * 2,800 58,940
National Australia Bank, Ltd. 10,615 286,919
National Bank of Canada 1,100 61,172
National Bank of Greece SA * 5,031 181,926
National Financial Partners Corp. * 1,400 12,208
National Interstate Corp. 200 3,500
National Penn Bancshares, Inc. 1,000 6,110
Natixis * 8,403 50,728
Navigators Group, Inc. * 400 22,000
NBT Bancorp, Inc. 300 6,762
Nedbank Group, Ltd. 1,196 19,046
Nelnet, Inc., Class A * 800 9,952
New World China Land, Ltd. 22,000 10,467
New World Development Company, Ltd. 22,714 47,999
New York Community Bancorp, Inc. (a) 5,100 58,242
NewAlliance Bancshares, Inc. 2,200 23,540
NewStar Financial, Inc. * 1,100 3,619
NIB Holdings, Ltd. 7,722 8,229
NIPPONKOA Insurance Company, Ltd. 3,000 18,649

The accompanying notes are an integral part of the financial statements.
105



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Nishi-Nippon City Bank, Ltd. 8,000 $ 20,199
Nissay Dowa General Insurance Company,    
Ltd. 2,000 10,162
Nomura Holdings, Inc. 12,400 75,755
Nomura Real Estate Holdings, Inc. 400 6,484
Nordea Bank AB 16,908 170,367
Northern Trust Corp. 2,100 122,136
Northfield Bancorp, Inc. 900 11,520
Northwest Bancorp, Inc. 1,100 25,124
Novae Group PLC 890 4,836
NRMA Insurance Group, Ltd. 19,438 64,631
NYSE Euronext 3,900 112,671
OceanFirst Financial Corp. 200 2,320
Ocwen Financial Corp. * 1,800 20,376
Odontoprev SA 100 2,029
Odyssey Re Holdings Corp. 1,000 64,810
Ogaki Kyoritsu Bank, Ltd. 2,000 6,874
Okasan Holdings, Inc. 3,000 13,300
Old Mutual PLC 43,846 70,200
Old National Bancorp 1,100 12,320
Old Republic International Corp. 3,500 42,630
Old Second Bancorp, Inc. 200 1,146
OneBeacon Insurance Group, Ltd. 300 4,122
Onex Corp. 800 19,607
optionsXpress Holdings, Inc. 900 15,552
Oritani Financial Corp. 490 6,684
OTP Bank Rt. * (a) 2,823 81,330
Oversea-Chinese Banking Corp., Ltd. 12,405 68,696
Pacific Capital Bancorp 1,400 2,016
Pacific Continental Corp. 525 5,528
PacWest Bancorp 800 15,240
Park National Corp. 300 17,502
PartnerRe, Ltd. 800 61,552
Partners Group Holding AG 72 8,790
Paypoint PLC 1,027 7,386
PDG Realty SA Empreendimentos e    
Participacoes 2,800 23,233
Penson Worldwide, Inc. * 200 1,948
Peoples Bancorp, Inc. 100 1,305
People's United Financial, Inc. 5,000 77,800
Peregrine Holdings, Ltd. 3,334 4,133
PICC Property & Casualty Company, Ltd.,    
Class H * 22,000 15,085
Piccolo Credito Valtellinese SCRL 2,715 28,021
PICO Holdings, Inc. * 500 16,675
Pierre & Vacances SA 194 16,708
Ping An Insurance Group Company of China,    
Ltd. 6,000 47,357
Pinnacle Financial Partners, Inc. * 200 2,542
Platinum Underwriters Holdings, Ltd. 1,000 35,840
PNC Financial Services Group, Inc. 5,400 262,386
Pohjola Bank PLC 2,267 25,901
Portfolio Recovery Associates, Inc. * 400 18,132
Porto Seguro SA * 1,300 13,208
Power Corp. of Canada 2,600 71,104
Power Financial Corp. (a) 1,600 46,103

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Powszechna Kasa Oszczednosci Bank    
Polski SA 1,897 $ 22,445
Presidential Life Corp. 300 3,108
Prince Housing Development Corp. * 29,000 13,346
Principal Financial Group, Inc. 4,100 112,299
PrivateBancorp, Inc. 900 22,014
ProAssurance Corp. * 500 26,095
Progressive Corp. * 5,900 97,822
Prosperity Bancshares, Inc. 700 24,353
Protective Life Corp. 900 19,278
Proton Bank SA * 1,023 2,436
Provident Financial PLC 1,356 19,699
Provident Financial Services, Inc. 700 7,203
Provident New York Bancorp 300 2,865
Prudential Financial, Inc. 4,600 229,586
Prudential PLC 8,600 165,636
QBE Insurance Group, Ltd. 4,054 85,752
Quest Capital Corp. 1,200 1,278
Quintain Estates & Development PLC * 872 2,941
Radian Group, Inc. 900 9,522
Raiffeisen International Bank Holding AG 528 34,467
Rathbone Brothers PLC 756 10,518
Ratos AB 905 21,687
Raymond James Financial, Inc. (a) 2,800 65,184
Realia Business SA * 3,816 11,033
Regions Financial Corp. 8,700 54,027
Regus PLC 6,222 9,972
Reinsurance Group of America, Inc. 1,100 49,060
Reliance Capital, Ltd. 1,234 23,540
RenaissanceRe Holdings, Ltd. 1,200 65,712
Renasant Corp. 600 8,910
Rensburg Sheppards PLC 600 6,187
Republic First Bancorp, Inc. * 700 3,178
Resona Holdings, Inc. 2,000 25,701
RHB Capital BHD 8,200 11,987
Riskmetrics Group, Inc. * 700 10,234
RLI Corp. 400 21,112
Rockville Financial, Inc. 200 2,150
Roma Financial Corp. 200 2,486
Royal & Sun Alliance PLC 26,965 57,722
Royal Bank of Canada 6,916 371,752
Royal Bank of Scotland Group PLC * 26,755 22,673
S & T Bancorp, Inc. 400 5,184
S.Y. Bancorp, Inc. 100 2,309
Safety Insurance Group, Inc. 400 13,168
Sampo Oyj, Class A 3,453 87,007
Samsung Card Company, Ltd. 400 17,883
Samsung Fire & Marine    
Insurance Company, Ltd. 121 24,699
Samsung Securities Company, Ltd. 305 17,706
Sanders Morris Harris Group, Inc. 900 5,319
Sandy Spring Bancorp, Inc. 300 4,884
Sanlam, Ltd. 16,519 45,225
SCBT Financial Corp. 100 2,810
Schroders PLC 992 17,351
Schroders PLC 749 10,882
Schweizerhall Holding AG 47 8,681

The accompanying notes are an integral part of the financial statements.
106



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Schweizerische    
National-Versicherungs-Gesellschaft AG * 483 $ 14,315
SCOR SE 1,334 36,478
SeaBright Insurance Holdings, Inc. * 200 2,284
SEI Investments Company 1,800 35,424
Selective Insurance Group, Inc. 600 9,438
Shenzhen Investment, Ltd. 44,000 16,931
Shiga Bank, Ltd. 2,000 12,499
Shikoku Bank, Ltd. 1,000 3,560
Shimao Property Holdings, Ltd., GDR 14,500 24,405
Shimizu Bank, Ltd. 100 4,100
Shin Kong Financial Holding Company, Ltd. * 38,249 15,173
Shinhan Financial Group Company, Ltd.,    
SADR * 1,100 88,187
Shinko Securities Company, Ltd. 7,000 25,220
Shinsei Bank, Ltd. * (a) 12,000 18,287
Shizuoka Bank, Ltd. 3,000 31,518
Shui On Land, Ltd. 12,650 7,215
Siam Commercial Bank PCL 2,300 5,852
Sierra Bancorp 100 1,201
Signature Bank * 500 14,500
Simmons First National Corp., Class A 400 11,524
Singapore Exchange, Ltd. 3,000 17,823
Sino Land Company, Ltd. 10,000 17,795
Sino-Ocean Land Holdings, Ltd. 31,596 28,319
SinoPac Holdings Company, Ltd. * 66,000 26,960
Skandinaviska Enskilda Banken AB, Series A * 7,601 51,292
SLM Corp. * 2,600 22,672
SNS Reaal * 1,920 15,525
Societa' Cattolica di Assicurazioni SCRL * 635 22,111
Societe Generale 2,635 212,330
Soho China, Ltd. 15,000 7,990
Sompo Japan Insurance, Inc. 4,000 26,680
Sony Financial Holdings, Inc. 4 11,449
Southside Bancshares, Inc. 105 2,365
Southwest Bancorp, Inc. 200 2,808
SP Setia BHD 10,400 12,074
Spar Nord Bank A/S * 600 7,575
Sparebanken Midt-Norge ASA 240 2,016
Spark Infrastructure Group 7,170 7,354
St James's Place PLC 895 3,736
St. Galler Kantonalbank 37 16,896
St. Modwen Properties PLC * 1,033 3,667
Stancorp Financial Group, Inc. 800 32,296
Standard Bank Group, Ltd. 5,472 70,862
Standard Chartered PLC 20,212 498,355
Standard Life PLC 19,747 69,201
State Auto Financial Corp. 900 16,137
State Bancorp, Inc. 200 1,690
State Bank Of India 260 11,806
State Street Corp. 2,900 152,540
StellarOne Corp. 200 2,950
Sterling Bancorp 200 1,444
Sterling Bancshares, Inc. 1,900 13,889
Sterling Financial Corp. * 300 600
Stewart Information Services Corp. 200 2,474
Stifel Financial Corp. * 350 19,215

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Storebrand ASA * 8,567 $ 52,384
Student Loan Corp. 500 23,200
Suffolk Bancorp 100 2,961
Sul America SA 900 19,300
Sumitomo Mitsui Financial Group, Inc. 2,900 100,391
Sumitomo Realty &    
Development Company, Ltd. 2,000 36,226
Sumitomo Trust & Banking Company, Ltd. 7,000 36,802
Sun Bancorp, Inc., New Jersey * 315 1,663
Sun Hung Kai Properties, Ltd. 8,000 117,460
Sun Life Financial, Inc. 4,300 134,745
Suncorp-Metway, Ltd. 9,680 75,473
Sunrise BHD * 11,500 7,157
SunTrust Banks, Inc. 5,500 124,025
Suruga Bank, Ltd. 2,000 18,819
Susquehanna Bancshares, Inc. 1,300 7,657
SVB Financial Group * 300 12,981
Svenska Handelsbanken AB, Series A 2,199 56,203
Swedbank AB, Class A (a) 1,600 15,276
Swiss Life Holding * 462 54,788
Swiss Prime Site AG * 369 19,497
Swiss Re 2,606 117,772
SWS Group, Inc. 400 5,760
Sydbank AS * 1,245 32,750
Synovus Financial Corp. (a) 3,000 11,250
T&D Holdings, Inc. 800 21,456
T. Rowe Price Group, Inc. 2,200 100,540
Ta Chong Bank, Ltd. * 15,000 2,752
TAI Cheung Holdings, Ltd. 14,000 7,241
Taishin Financial Holdings Company, Ltd. * 37,000 16,053
Taiwan Business Bank * 25,000 6,490
Taiwan Cooperative Bank 33,500 20,607
TCF Financial Corp. 2,400 31,296
TD Ameritrade Holding Corp. * 5,397 105,889
Texas Capital Bancshares, Inc. * 800 13,472
TFS Financial Corp. 2,500 29,750
The 77th Bank, Ltd. 4,000 22,783
The Bank of Yokohama, Ltd. 9,000 43,783
The Hachijuni Bank, Ltd. 3,000 16,605
The Hiroshima Bank, Ltd. 5,000 20,546
The Hokkoku Bank, Ltd. 3,000 12,517
The Hyakugo Bank, Ltd. 2,000 10,264
The Nanto Bank, Ltd. 2,000 10,856
The San-in Godo Bank, Ltd. 2,000 16,994
The St. Joe Company * (a) 1,600 46,592
The Travelers Companies, Inc. 6,200 305,226
The Yachiyo Bank, Ltd. 300 9,119
Thomas Weisel Partners Group, Inc. * 1,600 8,544
TMX Group, Inc. 500 16,770
TOC Company, Ltd. 2,000 8,736
Tochigi Bank, Ltd. 1,000 4,838
Toho Bank, Ltd. 3,000 13,317
Tokio Marine Holdings, Inc. 2,800 80,936
Tokushima Bank, Ltd. 1,000 4,086
Tokyo Rakutenchi Company, Ltd. 1,000 4,150
Tokyo Tatemono Company, Ltd. 2,000 9,684

The accompanying notes are an integral part of the financial statements.
107



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Tokyu Land Corp. 5,000 $ 19,872
Tomato Bank, Ltd. 1,000 2,424
Tompkins Trustco, Inc. 100 4,370
Tong Yang Investment Bank 370 4,088
Topdanmark AS * 182 27,531
Torchmark Corp. 1,000 43,430
Toronto Dominion Bank Ontario 3,600 232,849
Tower Group, Inc. 900 21,951
Tower, Ltd. 14,281 17,192
TowneBank/Portsmouth VA 500 6,375
Tradestation Group, Inc. * 800 6,520
Transatlantic Holdings, Inc. 1,000 50,170
Trico Bancshares 100 1,640
TrustCo Bank Corp., NY 800 5,000
Trustmark Corp. (a) 800 15,240
TrygVesta AS 177 13,562
Tullett Prebon PLC 2,196 13,742
Turkiye Garanti Bankasi AS 10,634 40,402
Turkiye Halk Bankasi AS 1,645 9,822
Turkiye Is Bankasi AS 5,211 20,492
Turkiye Vakiflar Bankasi Tao * 8,846 20,397
U.S. Bancorp 6,200 135,532
UBS AG - Swiss Exchange * 21,485 393,785
UMB Financial Corp. 700 28,308
Umpqua Holdings Corp. 1,700 18,020
UniCredit Italiano SpA * 80,732 316,401
Union Bankshares Corp. 100 1,245
Unipol Gruppo Finanziario SpA, ADR * 8,796 13,358
Uniqa Versicherungen AG 343 6,602
Unitech, Ltd. 4,300 9,502
United America Indemnity, Ltd. * 900 6,651
United Bankshares, Inc. 900 17,631
United Community Banks, Inc. * (a) 410 2,051
United Financial Bancorp, Inc. 900 10,422
United Fire & Casualty Company 800 14,320
United Industrial Corp, Ltd. 5,000 6,503
United Mizrahi Bank, Ltd. * 1,337 11,431
United Overseas Bank, Ltd. 5,000 59,142
Unitrin, Inc. 1,300 25,337
Universal American Financial Corp. * 1,600 15,072
Universal Insurance Holdings, Inc. 1,800 9,054
Univest Corp. of Pennsylvania 200 4,334
Unum Group 4,220 90,477
UOB-Kay Hian Holdings, Ltd. 9,000 9,608
UOL Group, Ltd. 5,000 12,125
Valiant Holding AG 141 27,689
Validus Holdings, Ltd. 2,472 63,778
Valley National Bancorp (a) 1,995 24,519
Van der Moolen Holding NV * 1,420 125
ViewPoint Financial Group 300 4,212
Virtus Investment Partners, Inc. * 85 1,327
Vontobel Holding AG 286 9,555
W.R. Berkley Corp. 1,400 35,392
Waddell & Reed Financial, Inc., Class A 1,400 39,830
Washington Federal, Inc. 1,900 32,034
Washington Trust Bancorp, Inc. 400 7,008

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Financial (continued)    
Waterstone Financial, Inc. * 200 $ 1,012
Webster Financial Corp. 700 8,729
Wells Fargo & Company 42,835 1,207,090
WesBanco, Inc. 400 6,184
West Bancorp. 800 3,968
WestAmerica Bancorp 600 31,200
Western Alliance Bancorp * 800 5,048
Western Financial Group, Inc. 600 1,267
Westfield Financial, Inc. 400 3,388
Westpac Banking Corp., Ltd. 5,858 134,964
Westpac Banking Corp 1,400 162,169
Westwood Holdings Group, Inc. 200 6,940
Wheelock and Company, Ltd. 8,000 26,096
Wheelock Properties, Ltd. 7,000 8,689
Wheelock Properties, Ltd. 15,000 9,598
White Mountains Insurance Group, Ltd. 100 30,701
Whitney Holding Corp. 1,400 13,356
WHK Group, Ltd. 5,300 5,046
Wiener Staedtische Allgemeine    
Versicherung AG 482 27,540
Wilmington Trust Corp. 1,500 21,300
Wilshire Bancorp, Inc. 200 1,468
Wing Hang Bank, Ltd. 1,500 14,746
Wing Tai Holdings, Ltd. 4,000 4,728
Wintrust Financial Corp. 200 5,592
Woori Investment & Securities Company, Ltd. 740 10,462
World Acceptance Corp. * 100 2,521
Yamaguchi Financial Group, Inc. 2,000 20,685
Yapi ve Kredi Bankasi AS * 4,484 9,849
Zenith National Insurance Corp. 600 18,540
Zions Bancorp 1,044 18,761
Zurich Financial Services AG 1,020 243,086
 
    38,688,594
Industrial - 9.09%    
3M Company 3,000 221,400
A P Moller Maersk AS 5 34,604
A. M. Castle & Company 200 1,988
A.O. Smith Corp. 500 19,050
AAC Acoustic Technology Holdings, Inc. 10,000 10,918
Aalberts Industries NV 526 7,082
Aaon, Inc. 300 6,024
AAR Corp. * 700 15,358
ABB, Ltd. * 13,703 275,372
Abengoa SA 391 11,309
ACC, Ltd. 839 14,227
Acciona SA 190 25,836
ACS Actividades SA 944 49,267
Actuant Corp., Class A 600 9,636
Acuity Brands, Inc. (a) 700 22,547
Adelaide Brighton, Ltd. 6,885 16,869
Advanced Energy Industries, Inc. * 1,200 17,088
Advantest Corp. 500 13,657
Aecom Technology Corp. * 900 24,426
Aecon Group, Inc. 200 2,199
AEP Industries, Inc. * 200 7,980
Aeroports de Paris 235 21,168

The accompanying notes are an integral part of the financial statements.
108



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Aerovironment, Inc. * 300 $ 8,427
African Oxygen, Ltd. 1,477 4,053
AGCO Corp. * 1,500 41,445
Agfa Gevaert NV * 729 4,017
Ahlstrom OYJ 715 9,680
Aida Engineering, Ltd. 1,000 3,296
Air Transport Services Group, Inc. * 1,700 5,882
Aircastle, Ltd. 1,100 10,637
Aker Kvaerner ASA 1,600 17,997
Alamo Group, Inc. 700 11,060
Albany International Corp., Class A 400 7,760
Alexander & Baldwin, Inc. 800 25,672
Alfa Laval AB (a) 2,028 23,837
All America Latina Logistica SA 5,200 40,095
Alliant Techsystems, Inc. * 400 31,140
Alps Electric Company, Ltd. 3,000 17,203
Alstom SA 1,164 85,125
Altra Holdings, Inc. * 300 3,357
Amada Company, Ltd. 3,000 20,036
Ambuja Cements, Ltd. 4,724 9,782
Amcor, Ltd. 8,082 39,027
AMEC PLC 2,895 34,973
AMERCO, Inc. * 300 13,758
American Commercial Lines, Inc. * 175 5,096
American Ecology Corp. 100 1,870
American Science & Engineering, Inc. 100 6,804
American Superconductor Corp. * (a) 700 23,478
Ameron International Corp. 300 20,994
AMETEK, Inc. 1,400 48,874
Ampco-Pittsburgh Corp. 100 2,659
Amphenol Corp., Class A 1,800 67,824
Amtek Auto, Ltd. 2,715 12,362
Analogic Corp. 200 7,404
Andritz AG 156 7,783
Anhui Conch Cement Company, Ltd., Class H 4,000 26,453
Ansaldo STS SpA 342 7,007
Ansell, Ltd. 1,951 17,137
Apogee Enterprises, Inc. 800 12,016
Applied Industrial Technologies, Inc. 800 16,928
AptarGroup, Inc. 1,244 46,476
Arcadis NV 845 15,515
Argon ST, Inc. * 400 7,620
Arkansas Best Corp. 300 8,982
Armstrong World Industries, Inc. * 1,300 44,798
Arriva PLC 2,458 19,705
Arrow Electronics, Inc. * 2,100 59,115
Asahi Glass Company, Ltd. 5,000 40,049
Asahi Organic Chemicals    
Industry Company, Ltd. 3,000 7,993
Asciano Group * 21,695 31,462
Asia Cement Corp. 15,820 17,641
Assa Abloy AB, Series B 1,600 25,970
Astec Industries, Inc. * 400 10,188
Asunaro Aoki Construction Company, Ltd. 1,000 5,397
Asustek Computer, Inc. 28,454 48,702
Atlas Air Worldwide Holdings, Inc. * 400 12,788

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Atlas Copco AB, Series A, ADR 2,339 $ 30,210
Atlas Copco AB, Series B, ADR 1,570 17,951
AU Optronics Corp., ADR (a) 4,823 46,687
Auckland International Airport, Ltd. 11,755 15,760
Aveng, Ltd. 2,595 14,975
Avnet, Inc. * 2,700 70,119
AVX Corp. 2,800 33,404
AZZ, Inc. * 300 12,051
Badger Meter, Inc. 300 11,607
BAE Systems PLC 27,796 155,122
Bakrie & Brothers Tbk PT * 182,500 2,453
Baldor Electric Company 800 21,872
Ball Corp. 1,200 59,040
Bando Chemical Industries, Ltd. 1,000 2,788
Barco NV * 336 14,672
Barnes Group, Inc. 1,100 18,799
BBA Aviation PLC 4,220 10,689
BE Aerospace, Inc. * 1,920 38,669
Beijing Capital International Airport Company,    
Ltd., Class H * 26,000 16,047
Bekaert SA 214 28,335
Belden, Inc. 300 6,930
Bemis Company, Inc. 1,500 38,865
Benchmark Electronics, Inc. * 700 12,600
BES Engineering Corp. 46,000 12,937
Bharat Earth Movers, Ltd. 572 12,714
Bharat Forge, Ltd. 2,271 13,011
Bharat Heavy Electricals, Ltd. 439 21,246
BICC PLC 4,928 25,348
Bilfinger Berger AG 493 34,178
Black & Decker Corp. (a) 829 38,374
Blount International, Inc. * 500 4,735
Boart Longyear Group * 173,822 48,435
Bobst Group AG * 236 9,086
Bodycote PLC 1,394 3,709
Boeing Company (a) 6,400 346,560
Bombardier, Inc. 16,600 77,058
Boral, Ltd. (a) 10,880 58,204
Bouygues SA 1,452 74,002
Brickworks, Ltd. 1,981 25,887
Briggs & Stratton Corp. (a) 1,100 21,351
Brinks Company 700 18,837
Brink's Home Security Holdings, Inc. * 700 21,553
Bristow Group, Inc. * 600 17,814
Broadwind Energy, Inc. * 900 7,101
Brother Industries, Ltd. 2,200 26,366
Bucher Industries AG 32 3,566
Bucyrus International, Inc., Class A 1,200 42,744
Builders FirstSource, Inc. * (a) 300 1,308
Bunka Shutter Company, Ltd. 2,000 7,567
Burlington Northern Santa Fe Corp. 3,100 247,473
Buzzi Unicem SpA 1,110 19,201
Bway Holding Company * 300 5,553
BYD Company, Ltd., Class H * 6,000 48,943
C.H. Robinson Worldwide, Inc. 1,400 80,850
CAE, Inc. 2,909 24,589

The accompanying notes are an integral part of the financial statements.
109



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Calgon Carbon Corp. * 900 $ 13,347
Campbell Brothers, Ltd. 526 13,721
Canadian National Railway Company 2,300 113,276
Canadian Pacific Railway, Ltd. 1,300 60,832
Carbone Lorraine SA 322 11,901
Cargotec Corp. Oyj, B Shares 270 6,361
Carillion PLC 5,864 25,809
Carlisle Companies, Inc. 1,200 40,692
Cascade Corp. 100 2,674
Casella Waste Systems, Inc., Class A * 200 588
Casio Computer Company, Ltd. 2,000 16,318
Catcher Technology Company, Ltd. 5,720 15,132
Caterpillar, Inc. (a) 5,200 266,916
CCL Industries, Inc., Class B * 500 10,368
Celadon Group, Inc. * 300 3,393
Celestica, Inc. * 2,600 24,770
Cementir SpA 447 2,343
Cementos Portland Valderrivas SA 324 16,944
Cemex SA de CV, SADR * 9,802 126,642
Central Glass Company, Ltd. 3,000 13,238
Central Japan Railway Company, Ltd. 6 43,057
Ceradyne, Inc. * 700 12,831
Chart Industries, Inc. * 600 12,954
Charter International PLC 2,032 22,293
Checkpoint Systems, Inc. * 200 3,288
Cheil Industries, Inc. 410 17,732
Chemring Group PLC 273 10,669
Cheng Uei Precision Industry Company, Ltd. 5,100 10,354
Chi Mei Optoelectronics Corp. * 45,850 24,123
Chia Hsin Cement Corp. * 14,000 7,328
China COSCO Holdings Company, Ltd. 18,500 21,932
China Grand Forestry Resources Group, Ltd. * 26,000 933
China High Speed Transmission Equipment    
Group Company, Ltd. 5,000 10,174
China National Building Material Company,    
Ltd. 10,000 23,261
China Railway Group, Ltd. * 23,000 19,638
China Shipping Container Lines Company, Ltd. * 47,000 16,949
China Shipping Development Company, Ltd.,    
Class H 10,000 12,435
Chiyoda Corp. 2,000 15,584
Chloride Group PLC 857 2,496
Chofu Seisakusho Company, Ltd. 400 8,435
Chunghwa Picture Tubes, Ltd. * 74,000 8,515
Ciments Francais SA 106 11,900
Cimpor-Cimentos De Portugal SA 2,492 20,603
Circor International, Inc. 400 11,304
Clarcor, Inc. 765 23,990
Clean Harbors, Inc. * 200 11,252
Cobham PLC 11,299 39,548
Cognex Corp. 1,000 16,380
Coherent, Inc. * 200 4,664
Coleman Cable, Inc. * 1,300 5,694
Columbus McKinnon Corp. * 500 7,575
Comfort Systems USA, Inc. 400 4,636
ComfortDelGro Corp., Ltd. 24,000 27,290
Commercial Metals Company 1,700 30,430

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Compagnie de Saint-Gobain SA 3,594 $ 186,929
COMSYS Holdings Corp. 1,200 13,078
Construcciones & Auxiliar de Ferrocarriles SA 30 15,282
Con-way, Inc. 600 22,992
Conzzeta Holding AG 4 7,099
Cookson Group PLC * 3,162 20,792
Cooper Industries PLC * 2,900 108,953
Corp Moctezuma SAB de CV 4,100 8,202
Cosco International Holdings, Ltd. 22,427 9,369
Crane Company 1,000 25,810
Crane Group, Ltd. 473 4,563
CRH PLC 6,608 183,306
Crown Holdings, Inc. * 1,700 46,240
CSR, Ltd. 29,297 48,369
CSX Corp. 5,391 225,667
CTCI Corp. 9,000 8,745
Cubic Corp. 300 11,841
Cummins, Inc. 2,208 98,940
Curtiss-Wright Corp. 800 27,304
Cymer, Inc. * 400 15,544
D.S. Norden A/S 50 1,896
Daelim Industrial Company, Ltd. 217 13,252
Daewoo Engineering & Construction    
Company, Ltd. 2,390 28,287
Daewoo Shipbuilding & Marine Engineering    
Company, Ltd. 1,180 17,157
Daifuku Company, Ltd. 1,500 10,008
Daikin Industries, Ltd. 1,000 35,772
Dainippon Screen Manufacturing    
Company, Ltd. 2,000 7,489
Daktronics, Inc. (a) 300 2,571
Danaher Corp. 3,500 235,620
Darling International, Inc. * 1,200 8,820
Deere & Company 3,700 158,804
Delachaux SA 38 2,899
Delta Electronics, Inc. 8,241 23,385
Delta PLC 4,870 13,976
Demag Cranes AG 396 14,225
Deutsche Post AG 5,321 99,696
Deutz AG * 380 1,935
Dionex Corp. * 300 19,491
Dolby Laboratories, Inc., Class A * 500 19,095
Donaldson Company, Inc. 800 27,704
Dongfang Electrical Machinery Company, Ltd. 2,400 11,967
Doosan Corp. 64 4,815
Doosan Heavy Industries and Construction    
Company, Ltd. 106 6,044
Doosan Infracore Company, Ltd. 830 11,931
Dover Corp. 3,400 131,784
Downer EDI, Ltd. 4,254 30,565
Drew Industries, Inc. * 200 4,338
DSV AS, ADR * 2,144 38,442
Ducommun, Inc. 100 1,891
Duerr AG 342 6,454
Dycom Industries, Inc. * 1,000 12,300
Dynamex, Inc. * 100 1,633
Dynamic Materials Corp. 100 1,996

The accompanying notes are an integral part of the financial statements.
110



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Eagle Bulk Shipping, Inc. * (a) 200 $ 1,026
Eagle Materials, Inc. 700 20,006
East Japan Railway Company 1,300 93,357
Eastman Kodak Company (a) 3,485 16,658
Eaton Corp. 1,400 79,226
Ebara Corp. 4,000 17,503
Elbit Systems, Ltd. 300 20,445
Electrocomponents PLC 2,084 5,123
EMCOR Group, Inc. * 1,200 30,384
Emerson Electric Company 6,465 259,117
Empresa Brasileira de Aeronautica SA, ADR * 1,100 25,234
Empresas ICA Sociedad    
Controladora SA de CV * 8,100 19,084
Encore Wire Corp. 500 11,170
Ener1, Inc. * 1,500 10,380
Energizer Holdings, Inc. * 900 59,706
Energy Conversion Devices, Inc. * (a) 500 5,790
Energy Developments, Ltd. 4,211 9,169
EnergySolutions, Inc. 1,900 17,518
Enersys * 1,100 24,332
Enka Insaat ve Sanayi AS 1,345 5,734
EnPro Industries, Inc. * 300 6,858
ESCO Technologies, Inc. * 400 15,760
Esterline Technologies Corp. * 400 15,684
Euronav NV 796 17,165
European Aeronautic Defence &    
Space Company 2,586 58,108
Evergreen International Storage & Transport    
Corp. * 6,000 5,423
Evertz Technologies, Ltd. 100 1,332
EVS Broadcast Equipment SA 252 18,876
Expeditors International of Washington, Inc. 1,800 63,270
Ezra Holdings, Ltd. * 2,000 2,649
Fanuc, Ltd. 800 71,476
FARO Technologies, Inc. * 400 6,872
Farstad Shipping ASA 300 6,643
Federal Signal Corp. 1,100 7,909
FedEx Corp. 2,900 218,138
FEI Company * 500 12,325
Fenner PLC 4,741 11,204
Finmeccanica SpA 2,727 48,250
Finning International, Inc. 1,300 19,427
FirstGroup PLC 4,847 32,101
Flanders Corp. * 1,100 5,676
Fletcher Building, Ltd. 5,083 30,568
FLIR Systems, Inc. * 1,000 27,970
Flowserve Corp. 700 68,978
FLS Industries AS, B Shares * 765 41,795
Flughafen Zuerich AG 27 7,870
Fluor Corp. 1,000 50,850
FMC Technologies, Inc. * 1,300 67,912
Fomento de Construcciones SA 276 12,932
Forbo Holding AG * 23 6,239
Forward Air Corp. 500 11,575
Foster Wheeler AG * 200 6,382
Fosun International 22,500 15,706
FP Corp. 200 10,345

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Franklin Electric, Inc. 300 $ 8,601
Fraport AG, ADR 382 20,324
Freightcar America, Inc. 100 2,430
Freightways, Ltd. 4,613 10,199
Frontline, Ltd. 400 9,399
Fuel Tech, Inc. * 500 5,600
Fuji Electric Holdings Company, Ltd. 7,000 12,826
Fuji Kyuko Company, Ltd. 2,000 9,407
Fuji Photo Film Company, Ltd. 2,900 86,242
Fujikura, Ltd. 4,000 19,446
Fujitec Company, Ltd. 1,000 5,664
Fukuyama Transporting Company, Ltd. 3,000 15,904
Furukawa Electric Company, Ltd. 4,000 16,129
Futaba Corp. 600 9,745
Futuris Corp., Ltd. * 4,082 860
Galliford Try PLC 8,443 7,894
Gamesa Corporacion Tecnologica SA 1,540 34,544
Gamuda BHD 12,700 11,584
Gardner Denver, Inc. * 1,100 38,368
Garmin, Ltd. (a) 3,500 132,090
GATX Corp. 700 19,565
Geberit AG, ADR 334 51,347
Gemina SpA * 17,011 16,447
Genco Shipping & Trading, Ltd. 600 12,468
General Cable Corp. * 900 35,235
General Dynamics Corp. 4,228 273,129
General Electric Company 39,200 643,664
General Maritime Corp. 1,300 10,062
Genesee & Wyoming, Inc., Class A * 700 21,224
GenTek, Inc. * 100 3,804
Gentex Corp. 2,200 31,130
Gerber Scientific, Inc. * 200 1,196
Gerresheimer AG 197 6,191
Gildemeister AG 331 4,618
Glory, Ltd. 500 12,258
GMR Infrastructure * 3,893 11,263
Go-Ahead Group PLC 135 3,059
Goldsun Development & Construction    
Company, Ltd. 18,360 9,465
Goodrich Corp. 1,600 86,944
Gorman-Rupp Company (a) 500 12,455
GP Strategies Corp. * 800 5,992
Graco, Inc. 1,000 27,870
GrafTech International, Ltd. * 2,500 36,750
Granite Construction, Inc. 500 15,470
Graphic Packaging Holding Company * 5,900 13,629
Grasim Industries, Ltd. 466 26,861
Greatbatch, Inc. * 300 6,741
Greif, Inc., Class A 500 27,525
Griffon Corp. * 653 6,576
Grindrod, Ltd. 1,583 3,358
Grontmij NV 49 1,327
Groupe Eurotunnel SA 2,241 22,946
Grupo Aeroportuario del Pacifico SA de CV,    
Series B, SADR 900 25,371
Grupo Aeroportuario del Pacifico SA de CV,    
Series B 900 2,536

The accompanying notes are an integral part of the financial statements.
111



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Grupo Aeroportuario del Sureste SA de CV,    
SADR 300 $ 12,798
Grupo Ferrovial SA 565 27,086
GS Engineering & Construction Corp. 383 29,841
GulfMark Offshore, Inc. * 600 19,644
GWA International, Ltd. 1,367 3,322
Halma PLC 2,484 8,615
Hamamatsu Photonics KK 500 11,910
Hampson Industries PLC 3,283 3,820
Hanil Cement Manufacturing Company, Ltd. 146 9,998
Hanjin Heavy Industries & Construction    
Company, Ltd. 410 8,217
Hanjin Heavy Industries & Construction    
Holdings Company, Ltd. 120 1,401
Hanjin Shipping Company, Ltd. 610 10,594
Hankyu Hanshin Holdings, Inc. 5,000 23,971
Harbin Power Equipment Company, Ltd. 6,000 5,604
Harsco Corp. 1,100 38,951
Haynes International, Inc. * 100 3,182
Heartland Express, Inc. (a) 1,500 21,600
HEICO Corp., Class A 300 10,173
HEICO Corp. 100 4,336
Heidelberger Druckmaschinen AG * 300 3,111
Hellenic Technodomiki Tev SA 2,313 20,262
Hexagon AB 1,760 21,049
Hexcel Corp. * 1,400 16,016
Hexpol AB * 60 437
Hill & Smith Holdings PLC 125 623
Hills Industries, Ltd. 1,154 1,948
Hirose Electric Company, Ltd. 200 22,483
Hitachi Construction Machinery Company, Ltd. 1,000 21,286
Hitachi Tool Engineering, Ltd. 800 7,366
Hitachi Transport System, Ltd. 700 9,709
Hitachi Zosen Corp. * 7,500 9,455
Hitachi, Ltd. * 1,600 48,928
HKC Holdings, Ltd. 22,951 1,802
Hochtief AG 395 30,138
Hoganas AB, Series B 200 3,353
Holcim, Ltd. * 2,006 137,999
Hon Hai Precision Industry Company, Ltd. 29,140 116,605
Honeywell International, Inc. 6,465 240,175
Hosiden Corp. 1,100 14,875
Hoya Corp. 1,700 39,874
Hub Group, Inc., Class A * 300 6,855
Hubbell, Inc., Class B 1,000 42,000
Huhtamaki Oyj 1,487 18,941
Hurco Companies, Inc. * 300 5,124
Hyundai Engineering & Construction    
Company, Ltd. 133 7,197
Hyundai Heavy Industries Company, Ltd. 137 20,864
Hyundai Merchant Marine Company, Ltd. 940 22,216
Hyundai Mipo Dockyard Company, Ltd. 154 16,231
Ibiden Company, Ltd. 900 33,176
IDEX Corp. 1,300 36,335
II-VI, Inc. * 400 10,176
Illinois Tool Works, Inc. 4,300 183,653
Imax Corp. * 300 2,836

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Imerys SA 698 $ 40,130
IMI PLC 3,359 24,041
Implenia AG * 111 3,056
Impregilo SpA 4,555 19,967
India Cements, Ltd. 2,973 8,306
Indocement Tunggal Prakarsa Tbk PT 7,000 7,647
Ingersoll-Rand PLC 5,800 177,886
Inmet Mining Corp. 700 39,202
Insituform Technologies, Inc., Class A * 1,000 19,140
Insteel Industries, Inc. 600 7,170
Interline Brands, Inc. * 1,100 18,535
Intermec, Inc. * 1,300 18,330
International Shipholding Corp. 200 6,162
Intertape Polymer Group, Inc. * 2,100 5,590
Intevac, Inc. * 200 2,688
Invensys PLC 7,994 37,296
IRB Infrastructure Developers, Ltd. 2,200 9,619
iRobot Corp. * 900 11,079
Iseki & Company, Ltd. * 3,000 11,991
Ishikawajima-Harima Heavy Industries    
Company, Ltd. 9,000 18,107
Italcementi SpA 699 10,776
Itron, Inc. * 600 38,484
ITT Corp. 1,600 83,440
IVRCL Infrastructures & Projects, Ltd. 3,325 26,930
J.B. Hunt Transport Services, Inc. 1,300 41,769
Jabil Circuit, Inc. 2,200 29,502
Jacobs Engineering Group, Inc. * 1,000 45,950
Jaiprakash Associates, Ltd. 2,582 12,741
James Hardie Industries NV * 700 23,814
Japan Airport Terminal Company, Ltd. 900 11,246
Jenoptik AG * 706 3,771
Jeol, Ltd. 1,000 4,467
JGC Corp. 1,000 20,266
Jiangxi Copper Company, Ltd., Class H 13,000 28,813
JM AB * 800 9,887
John Bean Technologies Corp. 643 11,683
Johnson Electronic Holdings, Ltd. * 11,000 4,583
Joy Global, Inc. 1,100 53,834
JS Group Corp. 2,600 45,314
Kaba Holding AG, Series B 47 11,526
Kadant, Inc. * 100 1,213
Kajima Corp. 5,000 12,738
Kaman Corp., Class A 200 4,396
Kansas City Southern * (a) 1,200 31,788
Kawasaki Heavy Industries, Ltd. 9,000 22,679
Kawasaki Kisen Kaisha, Ltd. 5,000 18,434
Kaydon Corp. 500 16,210
KBR, Inc. 2,900 67,541
KCI Konecranes Oyj 207 5,912
Keihan Electric Railway Company, Ltd. 5,000 22,293
Keihin Electric Express Railway Company, Ltd. 2,000 16,967
Keio Corp. 4,000 27,198
Keisei Electric Railway Company, Ltd. 2,000 13,234
Keller Group PLC 325 3,772
Kennametal, Inc. 1,174 28,892

The accompanying notes are an integral part of the financial statements.
112



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Keyence Corp. 200 $ 42,525
Kinden Corp. 1,000 8,339
Kingboard Laminates Holdings, Ltd. 16,000 10,267
Kingspan Group PLC * 1,864 17,175
Kinsus Interconnect Technology Corp. 5,000 14,563
Kintetsu Corp. 6,000 23,206
Kirby Corp. * 1,000 36,820
Kitz Corp. 1,000 4,997
Knight Transportation, Inc. (a) 1,100 18,458
KNM Group BHD 8,400 1,788
Komatsu, Ltd. 3,700 68,707
Komori Corp. 700 8,477
Kone Corp. Oyj 954 35,117
Konica Minolta Holdings, Inc. 2,500 23,559
Koninklijke (Royal) Philips Electronics NV 10,474 255,311
Koninklijke BAM Groep NV 521 6,026
Koninklijke Boskalis Westinster NV 843 28,846
Koninklijke Ten Cate NV 390 8,593
Koninklijke Vopak NV 558 36,280
Koppers Holdings, Inc. 100 2,965
Korea Kumho Petrochemical Company, Ltd. 90 2,103
Korea Line Corp. 126 5,368
Krones AG 110 5,847
Kubota Corp. 5,000 41,411
Kuehne & Nagel International AG 323 28,119
Kumho Industrial Company, Ltd. 150 1,578
Kureha Corp. 1,000 6,144
Kurita Water Industries, Ltd. 700 25,033
Kyocera Corp. 900 82,584
Kyowa Exeo Corp. 1,000 9,777
L.B. Foster Company * 200 6,116
L-1 Identity Solutions, Inc. * 1,600 11,184
LaBarge, Inc. * 200 2,250
Ladish Company, Inc. * 100 1,513
Lafarge SA 1,378 123,190
Laird Group PLC 1,023 3,405
Lancaster Colony Corp. 600 30,762
Landstar Systems, Inc. 800 30,448
Largan Precision Company, Ltd. 1,020 13,353
Larsen & Toubro, Ltd. 550 19,194
Layne Christensen Company * 800 25,640
Leggett & Platt, Inc. 3,100 60,140
Legrand SA, ADR 628 17,495
Leighton Holdings, Ltd. 1,036 32,938
Lennox International, Inc. 900 32,508
Leoni AG 304 6,924
LG Display Company, Ltd., ADR (a) 1,800 25,794
LG Electronics, Inc. 361 38,301
Lincoln Electric Holdings, Inc. 800 37,960
Lindab International AB 600 7,430
Linde AG 934 101,394
Lindsay Corp. 100 3,938
Littelfuse, Inc. * 500 13,120
LLX Logistica SA * 587 2,147
Lockheed Martin Corp. 3,300 257,664
Lonking Holdings, Ltd. 12,000 6,818

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
LS Cable, Ltd. 188 $ 16,378
LS Industrial Systems Company, Ltd. 164 12,906
LSB Industries, Inc. * 600 9,342
LSI Industries, Inc. 300 1,995
Mabuchi Motor Company, Ltd. 200 10,130
Maeda Road Construction Company, Ltd. 1,000 8,970
Makino Milling Machine Company, Ltd. 1,000 3,821
Makita Corp. 700 22,026
MAN AG 685 56,544
Manitowoc Company, Inc. 2,700 25,569
Marten Transport, Ltd. * 700 11,942
Martin Marietta Materials, Inc. 600 55,242
Maruichi Steel Tube, Ltd. 600 11,942
Masco Corp. 3,100 40,052
Matsushita Electric Works, Ltd. 3,000 35,603
Matthews International Corp., Class A 400 14,152
Max Company, Ltd. 1,000 10,396
McDermott International, Inc. * 2,400 60,648
Meggitt PLC 8,624 32,145
Melrose PLC 3,200 9,461
Metalico, Inc. * 200 834
Methode Electronics, Inc. 400 3,468
Metropolitan Pro Corp. 200 1,938
Metso Oyj 2,220 62,648
Mettler-Toledo International, Inc. * 300 27,177
Michael Baker Corp. * 100 3,634
Michaniki SA 2,623 6,688
Micro-Star International Company, Ltd. 7,642 5,005
Middleby Corp. * 400 22,004
Mine Safety Appliances Company 400 11,004
Minebea Company, Ltd. 2,000 9,115
Miranda Technologies, Inc. * 300 1,706
MISC BHD 5,200 13,355
MISUMI Group, Inc. 800 16,675
Mitsubishi Electric Corp. 8,000 60,089
Mitsubishi Heavy Industries, Ltd. 17,000 63,947
Mitsuboshi Belting Company, Ltd. 1,000 4,107
Mitsui Engineering & Shipbuilding    
Company, Ltd. 9,000 23,172
Mitsui O.S.K. Lines, Ltd. 4,000 23,552
Mitsumi Electric Company, Ltd. 800 17,178
Miura Company, Ltd. 500 14,091
Modec, Inc. 100 2,035
Molex, Inc. 1,300 24,427
Monadelphous Group, Ltd. 1,108 13,060
Moog, Inc., Class A * 800 23,600
Morgan Crucible Company PLC 2,337 6,429
Morgan Sindall PLC 210 2,229
Mori Seiki Company, Ltd. 1,300 15,516
Mota Engil, SGPS SA 444 2,472
MTR Corp., Ltd. 7,124 24,572
MTU Aero Engines Holding AG 247 11,699
Mueller Industries, Inc. 800 19,096
Mueller Water Products, Inc. 1,800 9,864
Multi-Fineline Electronix, Inc. * 500 14,355
Murata Manufacturing Company, Ltd. 900 42,425

The accompanying notes are an integral part of the financial statements.
113



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Murray & Roberts Holdings, Ltd. 3,011 $ 24,054
Myers Industries, Inc. 300 3,231
Nabtesco Corp. 1,000 11,851
NACCO Industries, Inc., Class A 100 6,007
Nachi-Fujikoshi Corp. 1,000 2,241
Nagoya Railroad Comapny, Ltd. 4,000 13,419
Nalco Holding Company 2,200 45,078
Nampak, Ltd. * 4,542 10,315
Nan Ya Printed Circuit Board Corp. 3,060 10,606
Nankai Electric Railway Company, Ltd. 3,000 13,809
National Express Group PLC (a) 1,975 15,108
National Instruments Corp. 1,100 30,393
NCC AB 1,603 24,477
NCI Building Systems, Inc. * (a) 200 640
NEC Corp. (a) 9,000 28,021
Neo Material Technologies, Inc. * 700 2,504
Neptune Orient Lines, Ltd. 7,000 8,785
Nexans SA 342 27,667
NGK INSULATORS, Ltd. 1,000 23,021
Nibe Industrier AB, Series B 476 4,836
Nichicon Corp. 1,700 21,588
Nidec Corp. 500 40,541
Nikon Corp. 2,000 36,348
Nippo Corp. 1,000 8,129
Nippon Carbon Company, Ltd. 1,000 3,258
Nippon Chemi-Con Corp. 1,000 4,829
Nippon Electric Glass Company, Ltd. 2,000 18,102
Nippon Express Company, Ltd. 7,000 28,279
Nippon Konpo Unyu Soko Company, Ltd. 1,000 11,882
Nippon Road Company, Ltd. 3,000 6,843
Nippon Sheet Glass Company, Ltd. 11,000 36,553
Nippon Thompson Company, Ltd. 1,000 5,626
Nippon Yusen Kabushiki Kaisha 10,000 38,497
Nishimatsu Construction Company, Ltd. 2,000 2,823
Nishi-Nippon Railroad Company, Ltd. 3,000 11,913
Nitto Kohki Company, Ltd. 400 8,035
NKT Holding A/S * 119 6,976
Norbord, Inc. * 600 992
Norddeutsche Affinerie AG 508 21,179
Nordex AG * 111 1,937
Nordson Corp. 600 33,654
Norfolk Southern Corp. 2,728 117,604
Noritsu Koki Company, Ltd. 100 896
North American Galvanizing & Coatings, Inc. * 900 5,463
Northrop Grumman Corp. 2,800 144,900
Northwest Pipe Company * 200 6,706
NSK, Ltd. 3,000 18,480
NTN Corp. 5,000 20,610
Obayashi Corp. 7,000 30,540
Obrascon Huarte Lain SA 995 27,750
Odakyu Electric Railway Company, Ltd. 3,000 27,008
Oesterreichische Post AG 519 14,381
Okamoto Industries, Inc. 2,000 7,625
Okuma Holdings, Inc. 2,000 10,002
Okumura Corp. 3,000 11,236
Old Dominion Freight Lines, Inc. * 600 18,258

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Olympus Optical Company, Ltd. 1,000 $ 26,324
Omega Flex, Inc. * 100 1,677
Omron Corp. 1,500 28,182
Orbital Sciences Corp., Class A * 900 13,473
Orica, Ltd. 2,418 49,969
Orion Marine Group, Inc. * 300 6,162
Ormat Industries, Ltd. 811 6,821
OSI Systems, Inc. * 400 7,316
Outotec Oyj 128 4,083
Overseas Shipholding Group, Inc. 700 26,159
Owens Corning, Inc. * 1,620 36,369
Owens-Illinois, Inc. * 1,800 66,420
Pacer International, Inc. 200 772
Pacific Basin Shipping, Ltd. 14,000 9,162
Packaging Corp. of America 1,700 34,680
Pactiv Corp. * 1,140 29,697
Pall Corp. 1,500 48,420
PanaHome Corp. 1,000 6,078
Panalpina Welttransport Holding AG 188 15,552
Pan-International Industrial Company, Ltd. 7,280 11,612
Park Electrochemical Corp. 400 9,860
Parker-Hannifin Corp. 2,000 103,680
PBG SA * 86 6,305
Peab AB, Series B 2,689 18,433
Pentair, Inc. 1,800 53,136
PER Aarsleff A/S 90 10,250
PerkinElmer, Inc. 2,200 42,328
Permasteelisa SpA * 777 15,070
Pfeiffer Vacuum Technology AG 139 11,405
Pfleiderer AG * 325 3,920
PGT, Inc. * 400 1,148
PHI, Inc. * 400 8,112
Plexus Corp. * 700 18,438
Polnord SA * 395 5,110
Polypore International, Inc. * 800 10,328
Powell Industries, Inc. * 100 3,839
Precision Castparts Corp. 1,200 122,244
Premier Farnell PLC 4,968 11,803
Pretoria Portland Cement Company, Ltd. 4,312 19,510
Promotora y Operadora de Infraestructura    
SAB de CV * 700 1,285
Prysmian SpA 1,094 20,563
Punj Lloyd, Ltd. 1,401 7,789
Raven Industries, Inc. 300 8,019
Raytheon Company 4,400 211,068
RBC Bearings, Inc. * 300 6,999
Regal-Beloit Corp. 600 27,426
Republic Services, Inc. 3,505 93,128
Rexam PLC 7,165 29,890
Rexel SA * 2,039 29,376
Rheinmetall AG 265 15,707
RHI AG * 89 2,547
Rieter Holding AG * 46 10,430
Rinnai Corp. 300 14,109
Robbins & Myers, Inc. 800 18,784
Rockwell Automation, Inc. 1,800 76,680

The accompanying notes are an integral part of the financial statements.
114



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Rockwell Collins, Inc. 1,665 $ 84,582
Rockwool International AS, B Shares 100 8,985
Rofin-Sinar Technologies, Inc. * 600 13,776
Rogers Corp. * 300 8,991
ROK PLC 454 392
Rolls-Royce Group PLC * 12,848 96,731
Roper Industries, Inc. 1,600 81,568
Rotork PLC 289 5,226
RPC Group PLC 2,984 11,731
Ryder Systems, Inc. 800 31,248
Ryobi, Ltd. 1,000 3,157
Ryosan Company, Ltd. 600 15,451
Sa des Ciments Vicat 137 10,492
Sacyr Vallehermoso SA 1,463 27,765
Safran SA 2,431 45,554
Saft Groupe SA 297 16,578
Sagami Railway Company, Ltd. 3,000 13,205
Samsung Digital Imaging Company, Ltd. * 55 2,299
Samsung Electro-Mechanics Company, Ltd. 601 51,576
Samsung Engineering Company, Ltd. 321 28,290
Samsung Heavy Industries Company, Ltd. 810 17,543
Samsung SDI Company, Ltd. 359 45,203
Sandvik AB 3,835 42,444
Sankyu, Inc. 3,000 12,861
Sanwa Shutter Corp. 2,000 6,856
Sanyo Electric Company, Ltd. * (a) 5,000 11,749
Sauer-Danfoss, Inc. 300 2,301
Schindler Holding AG 174 12,263
Schneider Electric SA 1,575 159,778
Schweiter Technologies AG 25 12,461
Sealed Air Corp. 2,800 54,964
Secom Company, Ltd. 900 45,107
Seino Transportation Company, Ltd. 2,000 17,227
Semapa-Sociedade de Investimento &    
Gestao, SGPS SA 1,179 13,368
SembCorp Industries, Ltd. 7,000 16,721
SembCorp Marine, Ltd. 4,000 8,951
Semen Gresik Persero Tbk PT 11,500 7,467
Senior PLC 2,247 2,217
Senko Company, Ltd. 1,000 4,158
Severfield Rowen PLC 2,280 6,511
Shanghai Electric Group Company, Ltd. 26,000 12,451
Shanks Group PLC 2,270 3,599
Sharp Corp. 5,000 55,150
Shaw Group, Inc. * 1,435 46,049
Shimizu Corp. 3,000 11,726
Shin-Keisei Electric Railway Company, Ltd. 2,000 7,830
Siam Cement PCL, NVDR 2,900 19,261
Siam City Cement PCL 1,700 11,958
Siemens AG, SADR 2,900 269,584
Siemens India, Ltd. 1,760 20,375
SIG PLC 6,281 13,875
Sika AG 29 39,202
Silgan Holdings, Inc. 600 31,638
Simpson Manufacturing Company, Inc. 1,000 25,260
Sims Group, Ltd. 1,312 26,203

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Sincere Navigation Corp. 7,000 $ 7,833
Singapore Airport Terminal Services, Ltd. 2,920 4,662
Singapore Post, Ltd. 21,000 13,768
Singapore Technologies Engineering, Ltd. 5,000 9,723
Sinotrans, Ltd., Class H 11,000 2,565
Sjaelso Gruppen A/S * 150 482
Skanska AB, Series B 2,913 42,712
SKF AB, B Shares 2,501 39,335
SKF AB 326 5,125
SMC Corp. 200 24,464
Smit Internationale NV 199 15,388
Smith & Wesson Holding Corp. * (a) 2,400 12,552
Smiths Group PLC 3,560 50,588
SMK Corp. 1,000 6,407
SMRT Corp., Ltd. 9,000 10,727
Snap-on, Inc. 900 31,284
SNC-Lavalin Group, Inc. 1,200 54,191
Solon AG Fuer Solartechnik AG * (a) 197 2,652
Somfy SA 66 14,159
Sonae Industria, SGPS SA * 2,576 9,541
Songa Offshore SE * 400 1,908
Sonoco Products Company 1,700 46,818
Sony Corp. 3,200 93,598
Spectris PLC 1,738 19,645
Spirax-Sarco Engineering PLC 456 7,619
Spirit Aerosystems Holdings, Inc., Class A * 1,400 25,284
SPX Corp. 800 49,016
Stagecoach Group PLC 2,732 7,110
Stanley Electric Corp. 600 12,069
Stanley Works 900 38,421
Stanley, Inc. * 200 5,144
Star Micronics Company, Ltd. 1,000 9,241
Stella-Jones, Inc. 200 4,054
Stericycle, Inc. * 500 24,225
Sterling Construction Company, Inc. * 300 5,373
Sterlite Industries India, Ltd. 700 11,179
Sterlite Industries India, Ltd. 803 12,853
Stoneridge, Inc. * 200 1,416
Strabag SE 782 25,352
Sturm Ruger & Company, Inc. 700 9,058
STX Engine Company, Ltd. 440 7,968
STX Pan Ocean Company, Ltd. 870 7,969
STX Shipbuilding Company, Ltd. 430 5,290
Sulzer AG 175 15,126
Sumitomo Electric Industries, Ltd. 3,900 50,591
Sumitomo Heavy Industries, Ltd. 8,000 38,628
Sumitomo Osaka Cement Company, Ltd. 7,000 13,167
Sun Hydraulics, Inc. 400 8,424
Super Group, Ltd. * 24,950 2,840
Suzlon Energy, Ltd. * 941 1,778
Swisslog Holding AG 10,748 9,747
Synnex Technology International Corp. 5,500 11,723
Ta Ann Holdings BHD 5,300 6,615
Taihan Electric Wire Company, Ltd. 260 4,895
TAIHEIYO CEMENT Corp. 11,000 14,635
Taikisha, Ltd. 600 8,028

The accompanying notes are an integral part of the financial statements.
115



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Taisei Corp. 9,000 $ 17,734
Taiwan Cement Corp. 17,080 19,089
Taiwan Glass Industrial Corp. 14,832 11,735
Taiwan Navigation Company, Ltd. 4,000 5,960
Taiyo Yuden Company, Ltd. 2,000 23,386
Takara Standard Company, Ltd. 1,000 6,015
Takasago Thermal Engineering Company, Ltd. 1,000 8,636
TAL International Group, Inc. 700 9,954
Taser International, Inc. * 400 1,888
TCC International Holdings, Ltd. * 10,000 4,506
Techtronic Industries Company, Ltd. 11,000 9,090
Tecnicas Reunidas SA 148 8,085
Tecumseh Products Company, Class A * 100 1,133
Teledyne Technologies, Inc. * 500 17,995
Teleflex, Inc. 800 38,648
Tenaris SA 697 12,417
Tennant Company 100 2,906
Terex Corp. * 1,500 31,095
Texas Industries, Inc. 600 25,194
Textainer Group Holdings, Ltd. 1,000 16,010
Textron, Inc. 600 11,388
Thales SA 491 24,368
The Japan Steel Works, Ltd. 2,000 22,829
Thermo Fisher Scientific, Inc. * 5,711 249,399
THK Company, Ltd. 1,200 23,306
Timken Company 1,700 39,831
Titan Cement Company SA 796 27,596
TKH Group NV 165 2,754
TNT Post Group NV 3,397 91,326
Tobu Railway Company, Ltd. 6,000 36,652
Toda Corp. 3,000 10,529
Tognum AG 1,002 17,138
Toho Zinc Company, Ltd. 1,000 4,749
Tokyo Energy & Systems, Inc. 1,000 8,136
Tokyo Seimitsu Company, Ltd. 200 2,671
Tokyu Corp. 5,000 23,898
Toll Holdings, Ltd. 5,141 38,489
Tomkins PLC, SADR 3,100 37,169
Tomra Systems ASA 800 3,747
Torm A/S 300 3,150
Toromont Industries, Ltd. 500 10,741
Toshiba Corp. 13,000 67,617
Toshiba Machine Company, Ltd. 3,000 10,995
Toyo Engineering Corp. 1,000 3,381
Toyo Seikan Kaisha, Ltd. 1,700 32,551
TransDigm Group, Inc. * 900 44,829
Transfield Services, Ltd. 6,542 24,491
Transpacific Industries Group, Ltd. * 1,546 2,073
Transport International Holdings, Ltd. 2,800 8,009
Travis Perkins PLC 851 11,359
Trelleborg AB, Series B * 4,814 27,891
Trencor, Ltd. 1,264 3,618
TriMas Corp. * 1,500 7,650
Trinity Industries, Inc. 1,000 17,190
Triumph Group, Inc. 400 19,196
Tsubakimoto Chain Company, Ltd. 1,000 4,047

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Tsurumi Manufacturing Company, Ltd. 1,000 $ 7,498
TTM Technologies, Inc. * 1,700 19,499
Tutor Perini Corp. * (a) 700 14,910
Tyco Electronics, Ltd. * 2,000 44,560
Ultra Electronics Holdings PLC 805 17,233
Ultralife Batteries, Inc. * 1,000 6,060
ULVAC, Inc. 300 7,852
U-Ming Marine Transport Corp. 4,000 6,717
Union Pacific Corp. 6,900 402,615
United Group, Ltd. 1,825 23,832
United Parcel Service, Inc., Class B 3,300 186,351
United Technologies Corp. 8,100 493,533
United Tractors Tbk PT 10,750 17,343
Universal Cement Corp. * 15,000 7,449
Universal Display Corp. * 200 2,388
Universal Forest Products, Inc. 300 11,838
Universal Truckload Services, Inc. * 100 1,651
URS Corp. * 1,500 65,475
USA Truck, Inc. * 200 2,540
USG Corp. * 1,400 24,052
Ushio, Inc. 1,400 24,239
UTI Worldwide, Inc. 1,600 23,168
Vacon Oyj 243 9,072
Vaisala Oyj, Series A 274 9,979
Vallourec SA 473 80,223
Valmont Industries, Inc. 400 34,072
Varian, Inc. * 300 15,318
Veidekke ASA 501 3,759
Venture Corp., Ltd. 2,000 12,710
Vestas Wind Systems AS * 954 69,301
Vianini Lavori SpA 357 2,551
Vicor Corp. * 200 1,544
Vidrala SA 495 12,785
Vinci SA 1,530 86,713
Vishay Intertechnology, Inc. * 3,500 27,650
Viterra, Inc. * (a) 4,100 40,899
Viterra, Inc. * 972 9,475
Volvo AB, Series A 1,581 14,186
Volvo AB, Series B 4,814 44,645
Vossloh AG 56 6,351
VSE Corp. 100 3,901
VT Group PLC 1,984 17,883
Vulcan Materials Company (a) 1,600 86,512
W.H. Brady Company, Class A 700 20,104
W.W. Grainger, Inc. 900 80,424
Wabtec Corp. 800 30,024
Wacker Construction Equipment AG 190 2,317
Walsin Lihwa Corp. * 39,000 13,367
Wan Hai Lines, Ltd. * 8,400 4,454
Wartsila Oyj Corp. (a) 1,104 44,327
Waste Connections, Inc. * 1,300 37,518
Waste Management, Inc. 5,465 162,966
Waste Services, Inc. * 400 1,848
Waters Corp. * 1,000 55,860
Watts Water Technologies, Inc., Class A 800 24,200
Wavin NV 1,265 2,758

The accompanying notes are an integral part of the financial statements.
116



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Industrial (continued)    
Weg SA 2,400 $ 22,867
Weir Group PLC 2,679 29,060
Werner Enterprises, Inc. 1,200 22,356
Wesfarmers, Ltd. 4,898 114,054
West Japan Railway Company, Ltd. 9 34,057
Wienerberger Baustoffindustrie AG * 1,142 23,599
WMH Walter Meier AG, Series A 28 2,428
Woodward Governor Company 1,100 26,686
Woongjin Coway Company, Ltd. 680 21,814
WorleyParsons, Ltd. 1,194 31,240
Worthington Industries, Inc. 1,400 19,460
Yageo Corp. 39,000 10,887
Yamatake Corp. 600 13,452
Yamato Transport Company, Ltd. 3,000 48,957
Yang Ming Marine Transport Corp. 16,499 6,467
Yangzijiang Shipbuilding Holdings, Ltd. 14,000 9,526
YASKAWA Electric Corp. 3,000 21,489
YIT Oyj 616 11,715
Yokogawa Bridge Corp. 1,000 8,029
Yokogawa Electric Corp. 1,800 15,812
Young Fast Optoelectronics Company, Ltd. 1,000 13,788
YTL Corp. BHD 6,732 13,881
Zardoya Otis SA 1,105 23,990
Zebra Technologies Corp., Class A * 900 23,337
Zehnder Group AG 10 11,398
Zodiac SA 501 19,889
Zumtobel AG * 627 11,451
 
    26,253,698
Investment Companies - 0.00%    
Teton Advisors, Inc. * (k) 1 0
Technology - 6.60%    
3D Systems Corp. * 200 1,846
3PAR, Inc. * 1,000 11,030
Absolute Software Corp. * 200 1,065
Accenture PLC * 5,200 193,804
Acer Sertek, Inc. 20,275 51,739
ACI Worldwide, Inc. * 100 1,513
Actel Corp. * 900 10,953
Activision Blizzard, Inc. * 14,400 178,416
Actuate Corp. * 1,000 5,780
Acxiom Corp. * 1,700 16,082
Adobe Systems, Inc. * 4,559 150,629
Advanced Analogic Technologies, Inc. * 1,700 6,749
Advanced Micro Devices, Inc. * 8,500 48,110
Advanced Semiconductor Engineering, Inc. 30,289 24,952
Advantech Company, Ltd. 6,030 11,249
Advent Software, Inc. * 400 16,100
Affiliated Computer Services, Inc., Class A * 1,600 86,672
Agilent Technologies, Inc. * 4,400 122,452
Aixtron AG 2,020 55,056
Allscripts-Misys Healthcare Solutions, Inc. * 2,600 52,702
Alten SA * 466 12,546
Altera Corp. 3,100 63,581
American Reprographics Company * 900 8,568
Amkor Technology, Inc. * 2,800 19,264

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Technology (continued)    
Analog Devices, Inc. 1,520 $ 41,922
ANSYS, Inc. * 1,500 56,205
Apple, Inc. * 7,600 1,408,812
Applied Materials, Inc. 14,700 196,980
Applied Micro Circuits Corp. * 2,100 20,979
ArcSight, Inc. * 500 12,035
Arm Holdings PLC, ADR 4,100 28,700
ASM International NV * 1,150 21,188
ASM Pacific Technology, Ltd. 1,800 12,689
ASML Holding NV 2,617 77,173
Atmel Corp. * 7,200 30,168
ATMI, Inc. * 400 7,260
Atos Origin SA * 1,145 57,884
Autodesk, Inc. * 2,400 57,120
Automatic Data Processing, Inc. 4,265 167,614
Autonomy Corp. PLC * 1,864 48,638
Aveva Group PLC 375 5,507
Avid Technology, Inc. * 400 5,636
Blackbaud, Inc. 700 16,240
Blackboard, Inc. * 400 15,112
BMC Software, Inc. * 1,900 71,307
Broadcom Corp., Class A * 3,600 110,484
Brocade Communications Systems, Inc. * 7,000 55,020
Brooks Automation, Inc. * 500 3,865
CA, Inc. 5,700 125,343
Cabot Microelectronics Corp. * 500 17,430
CACI International, Inc., Class A * 500 23,635
Cadence Design Systems, Inc. * 4,500 33,030
CANON, Inc., ADR 4,600 183,954
Cap Gemini SA 1,092 57,265
Capcom Company, Ltd. 300 5,872
Cavium Networks, Inc. * 500 10,735
Cerner Corp. * (a) 1,000 74,800
CGI Group, Inc. * 2,300 26,939
Chartered Semiconductor Manufacturing, Ltd. * 2,590 4,757
Chicony Electronics Company, Ltd. 5,246 11,834
Cirrus Logic, Inc. * 500 2,780
Citrix Systems, Inc. * 2,300 90,229
CMC Magnetics Corp. * 50,000 12,887
Cogent, Inc. * 1,000 10,100
Cognizant Technology Solutions Corp.,    
Class A * 2,500 96,650
Cohu, Inc. 700 9,492
Commvault Systems, Inc. * 600 12,450
Compal Electronics, Inc. 32,255 37,404
Computacenter PLC 4,615 23,626
Computer Programs & Systems, Inc. 200 8,282
Computer Sciences Corp. * 2,700 142,317
Computershare, Ltd. 3,023 29,666
Compuware Corp. * 3,636 26,652
COMSYS IT Partners, Inc. * 200 1,280
Concur Technologies, Inc. * 900 35,784
Cray, Inc. * 400 3,332
Cree, Inc. * 1,100 40,425
CSG Systems International, Inc. * 400 6,404
CSK Corp. 500 1,889

The accompanying notes are an integral part of the financial statements.
117



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Technology (continued)    
CSR PLC * 763 $ 5,725
Cypress Semiconductor Corp. * 2,700 27,891
Dassault Systemes SA 178 9,959
Dassault Systemes SA 491 27,414
Dell, Inc. * 16,500 251,790
DemandTec, Inc. * 400 3,532
Descartes Systems Group, Inc. * 600 3,306
Dicom Group PLC 695 1,744
Diebold, Inc. 1,000 32,930
Digi International, Inc. * 500 4,260
Dimension Data Holdings PLC 19,808 20,029
Diodes, Inc. * 200 3,618
DivX, Inc. * 600 3,276
Domino Printing Sciences PLC 631 2,937
Double-Take Software, Inc. * 100 1,019
DSP Group, Inc. * 300 2,442
DST Systems, Inc. * 800 35,840
Echelon Corp. * (a) 700 9,009
Eclipsys Corp. * 500 9,650
Elan Microelectronics Corp. 5,050 7,655
Electronic Arts, Inc. * 2,800 53,340
Electronics for Imaging, Inc. * 1,100 12,397
Elpida Memory, Inc. * (a) 800 10,341
EMC Corp. * 22,195 378,203
Emulex Corp. * 2,300 23,667
Entegris, Inc. * 500 2,475
Epicor Software Corp. * 1,500 9,555
EPIQ Systems, Inc. * 400 5,800
Epistar Corp. 6,000 21,576
Exact Holdings NV 78 2,046
Exar Corp. * 1,300 9,555
FactSet Research Systems, Inc. 500 33,120
Fair Isaac Corp. 1,000 21,490
Fairchild Semiconductor International, Inc. * 2,800 28,644
Falconstor Software, Inc. * 800 3,976
Fiserv, Inc. * 2,700 130,140
FormFactor, Inc. * 945 22,604
Foxconn Technology Company, Ltd. 5,928 16,824
Fuji Software ABC, Inc. 400 6,691
Fujitsu, Ltd. 7,000 45,337
Gemalto NV * 759 35,402
Geodesic, Ltd. 2,978 8,599
GFI Informatique SA 1,624 9,010
HCL Technologies, Ltd. 2,558 18,094
Hewlett-Packard Company 26,400 1,246,344
High Tech Computer Corp. 2,415 26,524
Hittite Microwave Corp. * 500 18,390
Hutchinson Technology, Inc. * 200 1,420
Hynix Semiconductor, Inc. * 4,210 70,742
IBA Health, Ltd. 15,278 11,238
I-Flex Solutions, Ltd. * 314 12,009
Igate Corp. 650 5,577
IHS, Inc., Class A * 700 35,791
Imation Corp. 600 5,562
Immersion Corp. * 300 1,284
IMS Health, Inc. 1,600 24,560

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Technology (continued)    
Indra Sistemas SA 937 $ 23,369
Industrial & Financial Systems AB 1,400 12,613
Infineon Technologies AG, ADR * 1,444 8,086
Infineon Technologies AG * 11,647 65,734
infoGROUP, Inc. * 1,400 9,814
Infosys Technologies, Ltd., ADR 1,700 82,433
Infosys Technologies, Ltd. 338 16,180
Ingenico SA 460 12,801
Innerworkings, Inc. * 1,000 4,940
InnoLux Display Corp. 19,055 24,221
Integrated Device Technology, Inc. * 2,400 16,224
Intel Corp. 48,200 943,274
International Business Machines Corp. 11,200 1,339,632
International Rectifier Corp. * 1,500 29,235
Intersil Corp., Class A 2,400 36,744
Intuit, Inc. * 1,500 42,750
Inventec Company, Ltd. 19,635 11,363
IPG Photonics Corp. * 300 4,560
Isilon Systems, Inc. * 800 4,880
Itochu Techno-Science Corp. 400 12,283
IXYS Corp. * 300 2,553
Jack Henry & Associates, Inc. 1,200 28,164
JDA Software Group, Inc. * 400 8,776
Kingsoft Corp., Ltd. 12,000 11,215
KLA-Tencor Corp. 2,200 78,892
Konami Corp. 600 12,158
Kontron AG 927 11,369
Kopin Corp. * 1,600 7,680
Kulicke & Soffa Industries, Inc. * 2,200 13,266
L-3 Communications Holdings, Inc. 1,200 96,384
Lam Research Corp. * 1,600 54,656
Lawson Software, Inc. * 2,900 18,096
Lenovo Group, Ltd. 68,000 30,095
Lexmark International, Inc. * 765 16,478
Limelight Networks, Inc. * 2,800 11,368
Linear Technology Corp. (a) 2,359 65,179
Lite-On Technology Corp. 22,155 29,072
Logica PLC 14,174 29,503
Logitech International SA * 2,244 41,057
LSI Logic Corp. * 11,083 60,846
Macronix International Company, Ltd. 27,269 15,020
Manhattan Associates, Inc. * 400 8,080
ManTech International Corp. * 300 14,148
Mastech Holdings, Inc. * 13 60
Maxim Integrated Products, Inc. 5,300 96,142
Maxwell Technologies, Inc. * 400 7,372
MedAssets, Inc. * 500 11,285
MediaTek, Inc. 4,018 67,024
MEMC Electronic Materials, Inc. * 2,874 47,795
Mentor Graphics Corp. * 2,200 20,482
Mercury Computer Systems, Inc. * 500 4,930
Micrel, Inc. 1,100 8,965
Microchip Technology, Inc. (a) 1,900 50,350
Micron Technology, Inc. * 15,400 126,280
Micronas Semiconductor Holding AG * 1,672 7,138
MICROS Systems, Inc. * 1,300 39,247

The accompanying notes are an integral part of the financial statements.
118



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Technology (continued)    
Microsemi Corp. * 900 $ 14,211
Microsoft Corp. 68,208 1,765,905
MicroStrategy, Inc., Class A * 100 7,154
MIPS Technologies, Inc., Class A * 500 1,885
Misys PLC * 6,400 21,179
Mitac International 14,559 6,357
Monolithic Power Systems, Inc. * 600 14,070
Moser Baer India, Ltd. 3,670 7,406
Mphasis, Ltd. 1,558 21,589
MSC Software Corp. * 300 2,523
MSCI, Inc. * 1,700 50,354
MTS Systems Corp. 200 5,842
Nanya Technology Corp. * 21,820 13,843
National Semiconductor Corp. 2,400 34,248
NCR Corp. * 2,200 30,404
Neopost SA 261 23,433
Net One Systems Company, Ltd. 3 4,491
NetApp, Inc. * 3,500 93,380
Netezza Corp. * 700 7,868
NETGEAR, Inc. * 1,100 20,185
Netlogic Microsystems, Inc. * 400 18,000
Netscout Systems, Inc. * 600 8,106
NetSuite, Inc. * 700 10,710
Nihon Unisys, Ltd. 1,200 10,820
Nomura Research Institute, Ltd. 600 14,263
Novell, Inc. * 5,700 25,707
Novellus Systems, Inc. * 1,800 37,764
Nuance Communications, Inc. * 4,600 68,816
NVIDIA Corp. * 7,000 105,210
OBIC Company, Ltd. 70 11,864
Oce NV 2,299 14,922
Omnicell, Inc. * 200 2,228
Omniture, Inc. * 1,300 27,872
OmniVision Technologies, Inc. * 1,500 24,420
ON Semiconductor Corp. * 4,400 36,300
Open Text Corp. * 600 22,478
Opnet Technologies, Inc. 700 7,651
Oracle Corp. - Japan 300 13,319
Oracle Corp. 42,254 880,573
Palm, Inc. * (a) 2,500 43,575
Panasonic Electric Works Information    
systems Company, Ltd. * 300 7,929
PAR Technology Corp. * 300 1,914
Parametric Technology Corp. * 1,800 24,876
Pegasystems, Inc. 500 17,265
Pericom Semiconductor Corp. * 1,400 13,734
Perot Systems Corp., Class A * 1,900 56,430
Phase Forward, Inc. * 400 5,616
Pitney Bowes, Inc. 2,200 54,670
PLX Technology, Inc. * 1,600 5,392
PMC-Sierra, Inc. * 3,400 32,504
Power Integrations, Inc. 400 13,332
Progress Software Corp. * 500 11,325
PROS Holdings, Inc. * 700 5,894
Psion PLC 5,211 9,161
QLogic Corp. * 2,000 34,400

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Technology (continued)    
Quality Systems, Inc. (a) 600 $ 36,942
Quanta Computer, Inc. 8,080 16,976
Quest Software, Inc. * 1,900 32,015
Radiant Systems, Inc. * 1,300 13,962
RadiSys Corp. * 200 1,738
Rambus, Inc. * (a) 1,700 29,580
Realtek Semiconductor Corp. 4,040 9,428
Red Hat, Inc. * 1,985 54,865
Redflex Holdings, Ltd. 4,606 9,577
Renaissance Learning, Inc. 300 2,982
Research In Motion, Ltd. * 2,200 148,728
Richardson Electronics, Ltd. 300 1,530
Ricoh Company, Ltd. 3,000 43,263
Rimage Corp. * 200 3,418
Ritek Corp. * 42,000 11,146
Riverbed Technology, Inc. * (a) 1,100 24,156
RM PLC 1,719 4,313
Rohm Company, Ltd. 500 34,778
Rovi Corp. * 1,900 63,840
Royalblue Group PLC 652 12,225
Rubicon Technology, Inc. * 1,000 14,840
Salesforce.com, Inc. * 1,300 74,009
Samsung Electronics Company, Ltd. 578 398,516
Samsung Techwin Company, Ltd. 124 9,791
SanDisk Corp. * 4,100 88,970
Sandvine Corp. * 7,000 8,500
Sanken Electric Company, Ltd. 1,000 3,413
SAP AG, SADR (a) 2,700 131,949
Satyam Computer Services, Ltd. 3,019 7,457
Schawk, Inc., Class A 200 2,334
Seachange International, Inc. * 300 2,250
Seagate Technology 6,300 95,823
Seiko Epson Corp. 1,200 17,913
Semiconductor Manufacturing    
International Corp. * 265,000 12,460
Semitool, Inc. * 1,600 13,520
Semtech Corp. * 800 13,608
Shinko Electric Industries Company, Ltd. 800 14,078
Sigma Designs, Inc. * 900 13,077
Silicon Graphics International Corp. * 1,000 6,710
Silicon Image, Inc. * 400 972
Silicon Laboratories, Inc. * 900 41,724
Silicon-On-Insulator Technologies SA * 1,651 23,152
Siliconware Precision Industries Company 2,812 20,190
SimCorp A/S 51 10,492
Skyworks Solutions, Inc. * 3,000 39,720
Smith Micro Software, Inc. * 300 3,708
Softbank SA 630 13,624
Software AG 261 22,142
Solera Holdings, Inc. 1,200 37,332
SPSS, Inc. * 200 9,990
Square Enix Company, Ltd. 400 10,832
SRA International, Inc., Class A * 1,000 21,590
Standard Microsystems Corp. * 300 6,963
STEC, Inc. * (a) 700 20,573
STMicroelectronics NV 5,800 54,817

The accompanying notes are an integral part of the financial statements.
119



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Technology (continued)    
Stratasys, Inc. * 200 $ 3,432
Sumco Corp. 900 20,304
Super Micro Computer, Inc. * 700 5,922
Supertex, Inc. * 100 3,000
SXC Health Solutions Corp. * 200 9,359
Sybase, Inc. * 1,100 42,790
Sykes Enterprises, Inc. * 1,000 20,820
Synaptics, Inc. * (a) 700 17,640
Synchronoss Technologies, Inc. * 500 6,235
SYNNEX Corp. * 900 27,432
Synopsys, Inc. * 2,500 56,050
Syntel, Inc. 700 33,411
Taiwan Semiconductor    
Manufacturing Company, Ltd. 91,530 183,754
Take-Two Interactive Software, Inc. * 1,019 11,423
Taleo Corp. * 800 18,112
Tanla Solutions, Ltd. 2,423 3,612
Tata Consultancy Services, Ltd. 2,054 26,324
TDK Corp. 1,500 86,025
Tech Mahindra, Ltd. 1,669 32,465
Techwell, Inc. * 800 8,784
Temenos Group AG * 170 3,995
Teradata Corp. * 1,800 49,536
Teradyne, Inc. * 2,400 22,200
Tessera Technologies, Inc. * 1,000 27,890
Texas Instruments, Inc. 10,300 244,007
The Sage Group PLC 10,352 38,639
Thomas & Betts Corp. * 1,000 30,080
THQ, Inc. * 1,200 8,208
TietoEnator Oyj 537 10,706
Tokyo Electron, Ltd. 700 44,246
Total Systems Services, Inc. 2,500 40,275
Totvs SA 100 4,911
TPV Technology, Ltd. 10,000 6,195
Trimble Navigation, Ltd. * 1,900 45,429
Triquint Semiconductor, Inc. * 4,300 33,196
Tyler Technologies, Inc. * 500 8,545
UbiSoft Entertainment SA * 662 12,575
Ultimate Software Group, Inc. * 100 2,872
Ultratech, Inc. * 600 7,938
Unaxis Holding AG * 26 2,126
Unica Corp. * 1,100 8,382
Unisem (M) Berhad 14,500 6,558
Unisys Corp. * 5,000 13,350
United Microelectronics Corp. * 97,620 47,574
Varian Semiconductor Equipment Associates,    
Inc. * 1,200 39,408
Veeco Instruments, Inc. * 400 9,328
VeriFone Holdings, Inc. * 1,000 15,890
Virage Logic Corp. * 1,300 6,773
Virtusa Corp. * 600 5,694
VMware, Inc., Class A * 800 32,136
Volterra Semiconductor Corp. * 300 5,511
Western Digital Corp. * 3,900 142,467
Wi-LAN, Inc. * 1,000 1,961
Winbond Electronics Corp. * 64,000 12,889
Wincor Nixdorf AG 298 19,184

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Technology (continued)    
Wipro, Ltd., ADR 1,000 $ 17,950
Wistron Corp. 12,403 23,078
Xerox Corp. 15,700 121,518
Xilinx, Inc. 3,500 81,970
Zoran Corp. * 700 8,064
Zuken, Inc. 900 6,961
 
    19,066,230
Utilities - 2.32%    
A2A SpA 19,530 38,441
Acea SpA 1,055 13,822
Acegas-APS SpA 800 5,265
AES Corp. * 9,300 137,826
AES Tiete SA 900 9,474
AGL Energy, Ltd. 2,090 25,189
AGL Resources, Inc. 1,300 45,851
Allegheny Energy, Inc. 956 25,353
Allete, Inc. 600 20,142
Alliant Energy Corp. 500 13,925
Ameren Corp. 900 22,752
American Electric Power Company, Inc. 1,942 60,183
American States Water Company 200 7,236
Aqua America, Inc. 584 10,302
Atmos Energy Corp. (a) 1,300 36,634
Avista Corp. 700 14,154
Babcock & Brown Infrastructure Group * 9,001 518
Beijing Datang Power Generation    
Company, Ltd., Class H 26,000 13,503
Black Hills Corp. 300 7,551
Boralex, Inc., Class A * 200 1,681
California Water Service Group 200 7,788
Calpine Corp. * 7,700 88,704
Canadian Utilities, Ltd. 600 21,234
CenterPoint Energy, Inc. 3,100 38,533
Centrais Eletricas Brasileiras SA, ADR, Class    
B * 700 9,764
Centrais Eletricas Brasileiras SA * 1,200 18,695
Central Vermont Public Service Corp. 100 1,930
Centralschweizerische Kraftwerke AG 13 4,512
Centrica PLC 25,023 100,681
CEZ AS 757 40,359
CH Energy Group, Inc. 200 8,862
Chesapeake Utilities Corp. 100 3,099
China Resource Power Holdings, Ltd. 14,000 32,273
Chubu Electric Power Company, Inc. 2,900 70,366
Chugoku Electric Power Company, Inc. 1,300 28,580
Cia Energetica de Minas Gerais, ADR (a) 2,250 34,200
Cia Energetica de Minas Gerais 750 9,250
Cia General de Electricidad 1,916 11,902
Cia Paranaense de Energia 300 5,289
Cleco Corp. 1,000 25,080
CLP Holdings, Ltd. 9,500 64,639
Colbun SA 49,226 11,905
Companhia de Saneamento Basico do    
Estado de Sao Paulo, ADR * 400 15,172
Companhia de Saneamento de Minas Gerais * 200 3,424
Connecticut Water Service, Inc. 400 8,956

The accompanying notes are an integral part of the financial statements.
120



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Utilities (continued)    
Consolidated Edison, Inc. 1,900 $ 77,786
Constellation Energy Group, Inc. 2,100 67,977
CPFL Energia SA 600 10,817
Dominion Resources, Inc. 3,000 103,500
DPL, Inc. 1,200 31,320
Drax Group PLC 2,951 22,237
DTE Energy Company 1,000 35,140
Duet Group 8,259 12,314
Dynegy, Inc., Class A * 1,400 3,570
E.ON AG 7,293 309,683
Edison International 1,700 57,086
El Paso Electric Company * 500 8,835
Electric Power Development Company, Ltd. 900 28,493
Electricidade de Portugal SA 10,716 49,104
Electricite de France 672 39,939
Elia System Operator SA/NV 221 8,934
Empire District Electric Company 500 9,045
Empresa Nacional de Electricidad SA, ADR 500 23,435
Enagas 1,409 29,469
Enel SpA 25,513 162,022
Energen Corp. 800 34,480
EnerNOC, Inc. * 200 6,632
Enersis SA, SADR 1,400 25,830
Envestra, Ltd. 2,480 1,254
Exelon Corp. 4,028 199,869
FirstEnergy Corp. 1,300 59,436
Fortis, Inc. 1,500 34,997
Fortum Corp. Oyj 2,649 68,006
FPL Group, Inc. 3,100 171,213
GAIL India, Ltd. 850 6,337
Gas Natural SDG SA 1,500 33,174
GDF Suez 3,467 155,009
Great Plains Energy, Inc. 1,700 30,515
Hawaiian Electric Industries, Inc. (a) 1,300 23,556
Hera SpA 6,946 16,916
Hokkaido Electric Power Company, Inc. 900 18,722
Hokuriku Electric Power Company 900 22,887
Hong Kong & China Gas Company, Ltd. 16,400 41,386
Hong Kong Electric Holdings, Ltd. 5,500 30,173
Huaneng Power International, Inc. 500 13,320
Iberdrola Renovables SA 7,578 37,319
Iberdrola SA 11,550 113,517
IDACORP, Inc. 700 20,153
Integrys Energy Group, Inc. 1,000 35,890
International Power PLC 12,509 57,849
Iride SpA 1,525 2,990
ITC Holdings Corp. 900 40,905
Kansai Electric Power Company, Ltd. 3,000 72,493
Korea Electric Power Corp., ADR * 2,200 33,528
Korea Gas Corp. 342 15,431
Kyushu Electric Power Company, Inc. 1,400 31,681
Light SA 1,700 23,702
Maxim Power Corp. * 100 294
MDU Resources Group, Inc. 1,900 39,615
MGE Energy, Inc. 300 10,944
Middlesex Water Company 200 3,016

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Utilities (continued)    
Mirant Corp. * 3,100 $ 50,933
MVV Energie AG 284 12,813
National Grid PLC, SADR 2,400 117,000
New Jersey Resources Corp. (a) 600 21,786
Nicor, Inc. 500 18,295
NiSource, Inc. 2,900 40,281
Northeast Utilities 1,900 45,106
Northumbrian Water Group PLC 4,981 19,630
Northwest Natural Gas Company 400 16,664
NorthWestern Corp. 600 14,658
NRG Energy, Inc. * 1,000 28,190
NSTAR 800 25,456
NV Energy, Inc. 3,500 40,565
Oesterreichische Elektrizitaets AG, Class A 185 9,370
OGE Energy Corp. 900 29,772
ONEOK, Inc. 1,100 40,282
Ormat Technologies, Inc. 800 32,656
Osaka Gas Company, Ltd. 9,000 31,563
Otter Tail Corp. 600 14,358
Pennichuck Corp. 400 8,704
Pennon Group PLC 3,652 27,764
Pepco Holdings, Inc. 900 13,392
Perusahaan Gas Negara Tbk PT 35,000 13,216
Petronet LNG, Ltd. 6,790 11,078
PG&E Corp. 2,565 103,857
Piedmont Natural Gas, Inc. 900 21,546
Pike Electric Corp. * 500 5,990
Pinnacle West Capital Corp. 1,100 36,102
PNM Resources, Inc. 1,200 14,016
Portland General Electric Company 1,100 21,692
PPL Corp. 2,465 74,788
Progress Energy, Inc. 2,100 82,026
Public Power Corp. SA * 1,759 39,307
Public Service Enterprise Group, Inc. 5,700 179,208
Ratchaburi Electricity Generating Holding PCL 7,600 8,530
Red Electrica De Espana 964 49,353
Redes Energeticas Nacionais SA 2,238 9,815
Reliance Infrastructure, Ltd. 986 24,852
Reliance Natural Resources, Ltd. * 6,513 11,846
Reliance Power, Ltd. * 3,825 13,343
Romande Energie Holding SA 8 16,590
RRI Energy, Inc. * 6,220 44,411
RWE AG 1,357 126,193
Saibu Gas Company, Ltd. 4,000 11,332
Sarawak Energy BHD 17,300 10,867
SCANA Corp. 800 27,920
Scottish & Southern Energy PLC 5,123 96,056
Sempra Energy 1,600 79,696
Severn Trent PLC 2,020 31,335
Shikoku Electric Power Company, Inc. 1,000 30,507
Shizuoka Gas Company, Ltd. 1,500 11,586
SJW Corp. 300 6,855
Snam Rete Gas SpA 6,994 34,043
South Jersey Industries, Inc. 300 10,590
Southern Company 3,765 119,238
Southwest Gas Corp. 600 15,348

The accompanying notes are an integral part of the financial statements.
121



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Utilities (continued)    
Southwest Water Company 200 $ 984
SP Ausnet 16,431 12,790
Suez Environnement SA 1,413 32,401
Tata Power Company, Ltd. 428 11,616
Teco Energy, Inc. (a) 3,200 45,056
Tenaga Nasional BHD 4,200 9,923
Terna Participacoes SA 800 17,950
Terna SpA 10,246 39,973
The Laclede Group, Inc. 200 6,432
The Tokyo Electric Power Company, Ltd. 5,100 133,755
Toho Gas Company, Ltd. 4,000 18,244
Tohoku Electric Power Company, Inc. 1,700 37,832
Tokyo Gas Company, Ltd. 10,000 41,492
Tractebel Energia SA 1,100 12,965
TransAlta Corp. 1,400 28,558
TrustPower, Ltd. 2,008 10,874
UGI Corp. 1,100 27,566
UIL Holding Corp. 400 10,556
Unisource Energy Corp. 500 15,375
United Utilities Group PLC 6,388 46,643
Vectren Corp. 1,400 32,256
Veolia Environnement SA 930 35,725
Veolia Environnement, ADR 900 34,641
Westar Energy, Inc. 1,600 31,216
WGL Holdings, Inc. 700 23,198
Wisconsin Energy Corp. 700 31,619
Xcel Energy, Inc. 3,375 64,935
Xinao Gas Holdings, Ltd., GDR 4,000 7,921
York Water Company 600 8,316
YTL Power International BHD 13,100 8,216
 
    6,690,142

 
TOTAL COMMON STOCKS (Cost $171,809,319) $ 200,919,208

 
PREFERRED STOCKS - 0.17%    
 
Basic Materials - 0.05%    
Companhia de Ferro Ligas da Bahia (h) 300 2,201
Fertilizantes Fosfatados SA * 1,100 11,363
Klabin SA (h) 6,500 15,410
Suzano Papel e Celulose SA * 2,200 23,222
Usinas Siderurgicas de Minas Gerais SA,    
Class A (h) 3,100 81,734
 
    133,930
Communications - 0.02%    
Net Servicos de Comunicacao SA * 1,518 17,660
Tele Norte Leste Participacoes SA (h) 700 13,236
Telemar Norte Leste SA, Class A (h) 400 13,138
Universo Online SA (h) 500 2,371
Vivo Participacoes SA (h) 203 5,122
 
    51,527
Consumer, Cyclical - 0.03%    
Lojas Americanas SA (h) 3,200 21,603
Porsche Automobil Holding SE (h) 589 46,334
Tam SA * 1,300 16,878
 
    84,815

Disciplined Diversification Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
PREFERRED STOCKS (continued)    
 
Consumer, Non-cyclical - 0.02%    
Companhia Brasileira de Distribuicao Grupo    
Pao de Acucar, Class A (h) 4 $ 113
Companhia de Bebidas das Americas, ADR (h) 600 49,356
Contax Participacoes SA (h) 100 4,514
 
    53,983
Financial - 0.03%    
Itau Unibanco Holding SA (h) 4,869 98,117
 
Industrial - 0.00%    
Confab Industrial SA (h) 673 2,101
Duratex SA (h) 900 14,250
 
    16,351
Utilities - 0.02%    
Companhia de Gas de Sao Paulo, Class A (h) 11 209
Companhia de Transmissao de Energia    
Eletrica Paulista (h) 200 5,617
Companhia Energetica de Sao Paulo, Class B * 1,400 17,227
Companhia Paranaense de Energia, Class B (h) 500 8,848
Eletropaulo Metropolitana SA, Class B (h) 800 16,369
 
    48,270

 
TOTAL PREFERRED STOCKS (Cost $361,243) $ 486,993

 
WARRANTS - 0.00%    
 
Energy - 0.00%    
Beach Petroleum, Ltd.    
(Expiration Date 06/30/2010, Strike    
Price AUD 2.00) * 566 7
Financial - 0.00%    
Mediobanca SpA    
(Expiration Date 03/18/2011, Strike    
Price: EUR 9.00) * 3,685 1,441
UBI Banca SCPA    
(Expiration Date 06/30/2011, Strike    
Price: EUR 12.30) * 7,953 947
 
    2,388

 
TOTAL WARRANTS (Cost $12) $ 2,395

 
RIGHTS - 0.01%    
 
Consumer, Cyclical - 0.00%    
Amer Sports Oyj (Expiration Date 10/19/2009,    
Strike Price EUR 3.30) * 882 2,254
 
Consumer, Non-cyclical - 0.00%    
AWB, Ltd. (Expiration Date 10/21/2009,    
Strike Price AUD 1.00) * 3,762 913
 
Diversified - 0.00%    
IJM Corp. BHD (Expiration Date 10/16/2009,    
Strike Price: MYR 0.25) * 1,708 0
 
Financial - 0.01%    
BNP Paribas SA (Expiration Date 10/13/2009,    
Strike Price: EUR 40.00) * 4,872 10,551
Deutsche Wohnen AG (Expiration Date    
10/07/2009, Strike Price EUR 4.50) * 538 3,661
Fortis Group SA (Expiration Date 07/04/2014) * 2,414 0

The accompanying notes are an integral part of the financial statements.
122



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Disciplined Diversification Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
RIGHTS (continued)      
 
Financial (continued)      
Swedbank AB (Expiration Date 10/06/2009,    
Strike Price: SEK 39.00) * (a)   1,600 $ 3,156
 
      17,368
Technology - 0.00%      
Redflex Holdings, Ltd. (Expiration Date      
10/14/2009, Strike Price AUD 2.04) *   383 108

TOTAL RIGHTS (Cost $11,429)   $ 20,643

 
U.S. TREASURY OBLIGATIONS - 9.97%    
 
U.S. Treasury Bonds - 5.48%      
8.875% due 08/15/2017 $ 450,000 630,281
10.625% due 08/15/2015   5,200,000 7,459,561
11.25% due 02/15/2015   5,380,000 7,748,459
 
      15,838,301
 
U.S. Treasury Notes - 4.49%      
2.00% due 11/30/2013   1,700,000 1,702,390
2.75% due 02/15/2019   600,000 572,578
4.25% due 08/15/2014 to 11/15/2014   6,100,000 6,667,407
4.50% due 04/30/2012   1,545,000 1,673,912
4.75% due 05/31/2012   2,150,000 2,346,355
 
      12,962,642

 
TOTAL U.S. TREASURY OBLIGATIONS    
(Cost $28,604,130)   $ 28,800,943

 
U.S. GOVERNMENT AGENCY OBLIGATIONS - 19.43%  
 
Federal Farm Credit Bank - 3.58%      
3.00% due 09/22/2014   500,000 505,612
4.875% due 12/16/2015   3,000,000 3,271,197
4.875% due 01/17/2017 (a)   3,000,000 3,255,375
5.125% due 08/25/2016   3,000,000 3,295,087
 
      10,327,271
Federal Home Loan Bank - 11.11%      
2.625% due 05/20/2011   450,000 463,366
3.375% due 06/24/2011   465,000 484,938
3.625% due 07/01/2011 to 10/18/2013   2,170,000 2,281,456
4.50% due 11/15/2012   700,000 758,802
4.75% due 12/16/2016   3,000,000 3,270,188
4.875% due 11/18/2011 to 05/17/2017   2,790,000 3,041,997
5.00% due 11/17/2017   5,500,000 6,023,093
5.25% due 06/18/2014   1,130,000 1,263,285
5.375% due 08/19/2011 to 05/15/2019   5,900,000 6,604,179
5.50% due 08/13/2014   6,000,000 6,791,926
5.75% due 05/15/2012   1,000,000 1,110,957
 
      32,094,187
Federal Home Loan Mortgage Corp. - 1.42%    
4.875% due 11/15/2013   650,000 715,945
2.50% due 04/23/2014   1,200,000 1,200,639
3.75% due 03/27/2019   600,000 600,803
5.125% due 07/15/2012   875,000 960,071
5.50% due 08/20/2012   550,000 609,930
 
      4,087,388
Federal National Mortgage      
Association - 1.13%      
2.50% due 05/15/2014   900,000 900,088

Disciplined Diversification Trust (continued)  
    Shares or  
    Principal  
    Amount Value

 
U.S. GOVERNMENT AGENCY      
OBLIGATIONS (continued)      
 
Federal National Mortgage      
Association (continued)      
2.75% due 03/13/2014 $ 800,000 $ 812,353
4.875% due 05/18/2012   610,000 664,592
5.375% due 11/15/2011   820,000 893,872
 
      3,270,905
Tennessee Valley Authority - 2.19%      
4.375% due 06/15/2015   3,000,000 3,194,922
5.50% due 07/18/2017   750,000 840,182
6.25% due 12/15/2017   1,986,000 2,297,109
 
      6,332,213

 
TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS  
(Cost $54,883,937)   $ 56,111,964

 
SECURITIES LENDING COLLATERAL - 4.57%    
 
Securities Lending Collateral - 4.57%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   1,318,284 13,196,027

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $13,196,900)   $ 13,196,027

 
REPURCHASE AGREEMENTS - 0.42%    
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$1,209,000 on 10/01/2009,      
collateralized by $1,190,000      
Federal Home Loan Bank, 4.50%      
due 09/13/2019 (valued at      
$1,237,600, including interest) $ 1,209,000 $ 1,209,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $1,209,000)   $ 1,209,000

Total Investments (Disciplined Diversification Trust)  
(Cost $270,075,970) - 104.13%   $ 300,747,173
Other assets and liabilities, net - (4.13)%     (11,915,524)

 
TOTAL NET ASSETS - 100.00%   $ 288,831,649
 
 
 
 
Emerging Markets Value Trust    
    Shares or  
    Principal  
    Amount Value
 
 
COMMON STOCKS - 97.26%      
 
Brazil - 8.34%      
Acucar Guarani SA *   152,600 $ 505,623
Banco Alfa de Investimento SA *   35,300 165,182
Bematech SA   57,400 252,721
BM&F BOVESPA SA   2,279,200 16,801,960
BR Malls Participacoes SA *   109,300 1,289,439
Brascan Residential Properties SA   211,500 922,835
Braskem SA, SADR * (a)   140,643 1,770,695
Camargo Correa Desenvolvimento Imobiliario    
SA   51,900 159,368
Cia Providencia Industria e Comercio SA   46,200 156,469

The accompanying notes are an integral part of the financial statements.
123



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Brazil (continued)    
Companhia Brasileira de Distribuicao Grupo    
Pao de Acucar, ADR 11,800 $ 664,340
Cosan SA Industria e Comercio * 183,800 2,029,311
Cremer SA 54,900 399,137
Empresa Brasileira de Aeronautica SA, ADR * 248,049 5,690,244
Eternit SA 32,800 137,562
Even Construtora e Incorporadora SA 154,000 591,104
Ez Tec Empreendimentos e Participacoes SA 77,000 325,542
Fertilizantes Heringer SA * 2,300 15,579
Gafisa SA 181,400 2,731,854
Gerdau SA, SADR (a) 1,115,434 14,991,433
Gerdau SA 224,200 2,347,545
Grendene SA 194,700 917,670
Guararapes Confeccoes SA 12,300 287,435
Helbor Empreendimentos SA 31,100 176,601
IdeiasNet SA * 139,600 307,315
Iguatemi Empresa de Shopping Centers SA 48,000 753,217
Industrias Romi SA * 111,700 723,818
JBS SA 593,800 3,090,334
JHSF Participacoes SA 101,000 223,482
Kepler Weber SA * 608,400 103,026
Kroton Educacional SA 39,616 353,091
Log-in Logistica Intermodal SA 117,800 599,772
Magnesita Refratarios SA * 22,300 144,756
Magnesita Refratarios SA * 4,902 31,544
Marfrig Frigorificos e Comercio de Alimentos    
SA * 128,900 1,225,991
Medial Saude SA * 61,500 376,651
Metalfrio Solutions SA * 26,400 146,783
MPX Energia SA 68,000 759,991
Multiplan Empreendimentos Imobiliarios SA 90,898 1,423,809
Obrascon Huarte Lain Brasil SA 46,500 666,685
Paranapanema SA * 210,000 853,466
Plascar Participacoes Industriais SA * 98,200 130,261
Porto Seguro SA * 79,500 807,744
Rodobens Negocios Imobiliarios SA 50,000 507,451
Rossi Residencial SA 286,200 2,302,072
Sao Carlos Empreendimentos e    
Participacoes SA 27,805 254,257
Sao Martinho SA * 82,800 775,841
Sul America SA 70,500 1,511,794
Tegma Gestao Logistica 19,800 135,234
Trisul SA 27,100 69,601
Ultrapar Participacoes SA, ADR 66,484 2,670,662
Ultrapar Participacoes SA 5,380 216,858
Usinas Siderurgicas de Minas Gerais SA 168,900 4,319,744
Votorantim Celulose e Papel SA, SADR * (a) 109,698 1,800,144
 
    80,615,043
Chile - 2.85%    
Banco de Credito e Inversiones 45,084 1,311,721
Cementos Bio-Bio SA 50,384 98,523
Cia General de Electricidad 19,916 123,717
Companhia de Consumidores de Gas de    
Santiago SA 133,347 582,142
Companhia Sudamericana de Vapores SA * 867,889 688,312
Corpbanca SA, SADR 10,912 353,767

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Chile (continued)    
Corpbanca SA 48,500,000 $ 318,481
Cristalerias de Chile SA 66,213 770,829
Empresas CMPC SA 215,644 7,609,811
Empresas Copec SA 403,465 5,188,718
Enersis SA, SADR 447,410 8,254,715
Industrias Forestales SA 1,557,243 362,578
Madeco SA 10,044,300 661,398
Masisa SA 7,443,625 1,103,511
Vina San Pedro SA 19,029,176 141,918
 
    27,570,141
China - 2.42%    
Angang New Steel Company, Ltd., Class H 1,318,000 2,464,708
Bank of China, Ltd. 1,101,000 575,953
Beijing Capital International Airport Company,    
Ltd., Class H * 2,612,000 1,612,134
Chaoda Modern Agriculture Holdings, Ltd. 2,806,474 1,695,040
China CITIC Bank 5,169,000 3,406,210
China Construction Bank Corp. 868,000 690,705
China Huiyuan Juice Group, Ltd. 1,300,000 836,326
China Rare Earth Holdings, Ltd. - Hong Kong    
Exchange 1,000,000 216,263
China Shipping Container Lines Company, Ltd. * 4,448,150 1,604,045
China Shipping Development Company, Ltd.,    
Class H 920,000 1,144,039
Country Garden Holdings Company, Ltd. 4,281,000 1,537,511
Guangshen Railway Company, Ltd., SADR 35,688 715,544
Hunan Non Ferrous Metal Corp., Ltd. * 2,234,000 624,482
Industrial & Commercial Bank of China, Ltd. 802,000 600,017
KWG Property Holding, Ltd. 1,023,013 656,091
Maanshan Iron & Steel Company, Ltd. * 1,866,000 1,111,858
Qingling Motors Company, Ltd. 1,422,000 261,038
Semiconductor Manufacturing International    
Corp., SADR * 140,377 339,712
Semiconductor Manufacturing    
International Corp. * 15,570,000 732,077
Shanghai Forte Land Company 1,550,595 446,891
Shui On Land, Ltd. 2,819,850 1,608,240
Sinotrans, Ltd., Class H 2,019,000 470,837
 
    23,349,721
Czech Republic - 0.28%    
Pegas Nonwovens SA 25,000 672,082
Unipetrol AS * 250,417 2,053,561
 
    2,725,643
Hong Kong - 7.67%    
Amvig Holdings, Ltd. 494,000 203,450
Anton Oilfield Services Group 1,026,000 89,360
Baoye Group Company, Ltd. 376,000 277,694
Beijing Capital Land, Ltd. 1,272,000 458,886
Beijing Enterprises Holdings, Ltd. 522,500 2,738,885
Beijing North Star Company, Ltd. 866,000 296,989
Bosideng International Holdings, Ltd. 3,158,000 507,570
Brilliance China Automotive Holdings, Ltd. * 3,404,000 353,898
BYD Electronic International Company, Ltd. * 947,500 525,331
Catic Shenzhen Holdings, Ltd. * 122,000 32,034
China Aerospace International Holdings, Ltd. * 1,971,200 261,977

The accompanying notes are an integral part of the financial statements.
124



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Hong Kong (continued)    
China Agri-Industries Holdings, Ltd. 2,031,000 $ 1,896,127
China Aoyuan Property Group, Ltd. * 1,136,000 189,395
China Everbright, Ltd. 998,000 2,253,197
China Grand Forestry Resources Group, Ltd. * 6,636,000 238,050
China Green Holdings, Ltd. 549,000 466,343
China Haidian Holdings, Ltd. 402,000 42,391
China Merchants Holdings International    
Company, Ltd. 1,357,520 4,467,603
China Nickel Resources Holding Company,    
Ltd. 10,000 1,812
China Pharmaceutical Group, Ltd. 1,356,000 753,979
China Properties Group, Ltd. * 724,000 216,637
China Resources Enterprises, Ltd. 1,582,000 4,573,602
China Travel International Investment    
Hong Kong, Ltd. 4,356,000 860,893
China Unicom, Ltd., ADR (a) 69,012 982,731
China Wireless Technologies, Ltd. 1,132,000 139,930
Chongqing Iron & Steel Company, Ltd. 854,000 322,695
Citic Pacific, Ltd. 1,984,000 5,177,543
CITIC Resources Holdings, Ltd. * 3,640,000 932,988
Cosco International Holdings, Ltd. 925,625 386,691
Cosco Pacific, Ltd. 1,546,000 2,203,774
Coslight Technology International Group, Ltd. 150,000 179,651
DaChan Food Asia, Ltd. 612,000 108,788
Dalian Port PDA Company, Ltd. 1,112,000 456,853
Denway Motors, Ltd. 6,760,000 3,007,212
Digital China Holdings, Ltd. 365,000 344,854
Dynasty Fine Wines Group, Ltd. 756,000 161,280
First Tractor Company, Ltd. 204,000 77,887
Fosun International 2,296,500 1,603,049
Fu Ji Food & Catering Services Holdings, Ltd. * 380,000 372,643
Global Bio-Chem Technology    
Group Company, Ltd. 1,800,000 454,658
Goldlion Holdings, Ltd. 261,000 63,827
Great Wall Motor Company, Ltd. 599,500 536,403
Great Wall Technology Company, Ltd. 142,000 40,721
Greentown China Holdings, Ltd. 770,500 1,065,199
Guangzhou Investment Company, Ltd. 5,465,577 895,638
Guangzhou Pharmaceutical Company, Ltd. 382,000 179,407
Haier Electronics Group Company, Ltd. 1,313,000 283,979
Hainan Meilan International Airport Company,    
Ltd. 213,000 152,551
Haitian International Holdings, Ltd. 566,000 228,079
Harbin Power Equipment Company, Ltd. 888,000 829,349
Hidili Industry International Development, Ltd. * 1,278,000 1,183,381
HKC Holdings, Ltd. 3,552,190 278,846
Hopson Development Holdings, Ltd., GDR 790,000 1,364,319
Innomaxx Biotechnology Group, Ltd. * 5,960,000 248,690
Intime Department Store Group Company, Ltd. 777,000 524,812
Ju Teng International Holdings, Ltd. 778,000 657,038
Kingway Brewery Holdings, Ltd. * 578,000 90,797
Lai Fung Holdings, Ltd. 4,485,000 143,997
Lingbao Gold Company, Ltd. * 450,000 164,944
Minmetals Resources, Ltd. * 1,124,000 276,093
Minth Group, Ltd. 322,000 288,601
Nan Hai Corp., Ltd. * 27,150,000 251,555
Neo-China Group Holdings, Ltd. * (k) 359,000 0

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
Hong Kong (continued)    
NetDragon Websoft, Inc. 185,500 $ 122,545
New World China Land, Ltd. 516,000 245,491
New World Department Store China 660,000 526,946
Poly Hong Kong Investment, Ltd. 500,000 579,101
Qin Jia Yuan Media Services Company, Ltd. 501,064 100,985
Qunxing Paper Holdings Company, Ltd. 413,000 141,704
Shanghai Industrial Holdings, Ltd. 726,000 3,274,090
Shanghai Jin Jiang International Hotels    
Group Company, Ltd. 848,000 233,885
Shanghai Prime Machinery Company, Ltd. 962,000 156,572
Shanghai Real Estate, Ltd. * 2,806,000 269,593
Shenzhen International Holdings, Ltd. 10,320,000 701,945
Shenzhen Investment, Ltd. 2,476,000 952,762
Shimao Property Holdings, Ltd., GDR 1,805,000 3,037,973
Shougang Concord International Enterprises    
Company, Ltd. 3,828,000 657,399
Sichuan Xinhua Winshare Chainstore    
Company, Ltd. 690,000 251,570
Sino Biopharmaceutical, Ltd. 1,200,000 276,682
Sino Union Petroleum & Chemical    
International, Ltd. * 2,560,000 206,725
SinoCom Software Group, Ltd. 160,000 17,838
Sinofert Holdings, Ltd. 2,924,000 1,279,198
Sinolink Worldwide Holdings, Ltd. 2,292,000 574,217
Sino-Ocean Land Holdings, Ltd. 4,591,624 4,115,335
Sinopec Kantons Holdings, Ltd. 424,000 145,508
Sinotruk Hong Kong, Ltd. 498,000 573,429
Skyworth Digital Holdings, Ltd. 1,746,000 807,309
Soho China, Ltd. 1,986,500 1,058,118
SPG Land Holdings, Ltd. 345,000 195,168
Stone Group Holdings, Ltd. * 1,150,000 69,647
TCL Communication Technology    
Holdings, Ltd. * 249,000 30,211
TCL Multimedia Technology Holdings, Ltd. * 947,200 537,389
Tian An China Investment, Ltd. 697,000 420,032
Tianjin Port Development Holdings, Ltd. 962,000 370,917
Tomson Group, Ltd. 91,924 40,867
TPV Technology, Ltd. 1,902,000 1,178,288
Travelsky Technology, Ltd., Class H 848,000 649,304
Weiqiao Textile Company, Ltd. 603,000 370,227
Wuyi International Pharmaceutical Company,    
Ltd. 645,000 59,033
Xiamen International Port Company, Ltd. 1,372,000 257,055
Xingda International Holdings, Ltd. 877,000 362,764
Xinjiang Xinxin Mining Industry Company, Ltd. 903,000 458,833
Xiwang Sugar Holdings Company, Ltd. 483,717 114,150
Zhejiang Glass Company, Ltd. * 162,000 40,608
Zhong An Real Estate, Ltd. 668,000 272,725
 
    74,101,694
Hungary - 2.01%    
Danubius Hotel and Spa PLC * 6,805 132,903
Egis Gyogyszergyar Nyrt. 8,714 930,447
Fotex PLC * 60,581 145,646
MOL Magyar Olaj & Gazipari Rt. * 62,220 5,218,272
OTP Bank Rt. * 447,395 12,889,358

The accompanying notes are an integral part of the financial statements.
125



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Hungary (continued)    
Raba Jarmuipari Holding Nyilvanosan    
Mukodo Rt. * 17,388 $ 71,875
 
    19,388,501
India - 13.35%    
Aarti Industries, Ltd. 51,087 56,489
ABG Shipyard, Ltd. 4,051 19,815
ACC, Ltd. 16,968 287,721
Aditya Birla Nuvo, Ltd. 58,170 1,151,551
Ador Welding, Ltd. 8,367 26,459
Aftek, Ltd. 28,740 11,641
Alembic, Ltd. 73,121 78,638
Allahabad Bank 197,485 490,389
Alok Industries, Ltd. 686,744 337,572
Ambuja Cements, Ltd. 595,078 1,232,244
Amtek Auto, Ltd. 158,808 723,080
Andhra Bank 198,888 438,338
Apollo Hospitals Enterprise, Ltd. 23,157 261,887
Apollo Tyres, Ltd. 226,563 211,397
Arvind Mills, Ltd. * 104,084 85,865
Ashok Leyland, Ltd. 830,697 726,730
Aurobindo Pharma, Ltd. 55,835 901,281
Avaya Global Connect, Ltd. 5,668 21,659
Axis Bank, Ltd. 255,466 5,230,201
Bajaj Auto Finance, Ltd. 13,322 66,213
Bajaj Auto, Ltd. 49,562 527,051
Bajaj Finserv, Ltd. 23,398 135,180
Bajaj Hindusthan, Ltd. 134,494 514,796
Balaji Telefilms, Ltd. 15,413 23,256
Ballarpur Industries, Ltd. 403,880 203,091
Balmer Lawrie & Company, Ltd. 5,100 52,022
Balrampur Chini Mills, Ltd. 287,476 724,598
Bank of Maharashtra 152,501 147,937
Bank of Rajasthan 49,239 86,666
Bata India, Ltd. 12,773 49,523
Bharat Earth Movers, Ltd. 19,043 423,274
Bharat Forge, Ltd. 156,947 899,197
Bhushan Steel, Ltd. 23,491 681,840
Biocon, Ltd. 75,936 409,129
Birla Corp., Ltd. 43,321 268,695
Bombay Burmah Trading Company, Ltd. 3,000 19,699
Cairn India, Ltd. * 437,248 2,378,754
Century Textile & Industries, Ltd. 44,409 457,955
Chambal Fertilizers & Chemicals, Ltd. 196,299 226,032
Chi Investments, Ltd. * 3,214 3,670
Cholamandalam DBS Finance, Ltd. * 16,563 24,129
City Union Bank, Ltd. 130,140 83,134
Clariant Chemicals India, Ltd. 1,800 13,529
Coromandel Fertilisers, Ltd. 28,000 121,509
Cranes Software International, Ltd. 13,600 12,260
Dalmia Cement Bharat, Ltd. 12,925 49,536
DCM Shriram Consolidated, Ltd. 39,804 50,045
Deepak Fertilizers & Petrochemicals Corp.,    
Ltd. 25,890 50,240
DLF, Ltd. 142,244 1,287,015
Edelweiss Capital, Ltd. 30,455 303,505
Eicher Motors, Ltd. 6,990 83,644

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
India (continued)    
EID Parry India, Ltd. 57,429 $ 370,343
Elder Pharmaceuticals, Ltd. 7,799 46,457
Electrosteel Castings, Ltd. 80,000 73,966
Escorts, Ltd. * 17,876 40,667
Essel Propack, Ltd. 34,800 28,785
Eveready Industries, Ltd. * 12,000 17,296
FAG Bearings India, Ltd. 990 9,702
FDC, Ltd. 28,000 30,465
Federal Bank, Ltd. 198,437 1,038,606
Financial Technologies, Ltd. 19,758 566,713
Finolex Cables, Ltd. 54,200 55,231
Finolex Industries, Ltd. 36,402 45,231
Fortis Healthcare, Ltd. * 86,920 198,855
Gammon India, Ltd. * 85,633 338,201
Geodesic, Ltd. 106,859 308,568
Gitanjali Gems, Ltd. 67,918 171,681
Godfrey Philips India, Ltd. 860 32,570
Godrej Industries, Ltd. 87,653 358,755
Graphite India, Ltd. 75,117 95,827
Grasim Industries, Ltd. 43,248 2,492,861
Great Eastern Shipping Company, Ltd. 96,416 551,354
Great Offshore, Ltd. 35,848 417,892
GTL, Ltd. 47,854 315,638
Gujarat Alkalies & Chemicals, Ltd. 21,556 52,944
Gujarat Ambuja Exports, Ltd. 77,000 36,494
Gujarat Flourochemicals, Ltd. 5,500 18,311
Gujarat Narmada Valley Fertilizers Company,    
Ltd. 76,886 161,306
Gujarat State Fertilisers & Chemicals, Ltd. 23,600 86,015
HCL Infosystems, Ltd. 126,394 394,460
HCL Technologies, Ltd. 273,215 1,932,577
HEG, Ltd. 20,234 108,218
Hexaware Technologies, Ltd. 216,925 362,945
Himatsingka Seide, Ltd. * 28,000 26,244
Hindalco Industries, Ltd. 1,211,900 3,226,735
Hinduja TMT, Ltd. 5,620 42,364
Hindustan Construction Company, Ltd. 170,483 464,837
Hindustan Motors, Ltd. * 62,437 31,030
Hotel Leela Venture, Ltd. 112,448 89,634
Housing Development & Infrastructure, Ltd. * 105,024 703,006
ICICI Bank, Ltd., SADR 560,545 21,614,615
ICSA India, Ltd. 41,569 180,759
I-Flex Solutions, Ltd. * 20,606 788,083
India Cements, Ltd. 280,001 782,243
India Glycols, Ltd. 11,700 27,057
India Infoline, Ltd. 261,474 809,245
Indiabulls Financial Services, Ltd. 240,661 947,676
Indiabulls Real Estate, Ltd. * 315,338 1,780,881
Indian Hotels Company, Ltd. 477,563 768,019
Indian Overseas Bank 234,477 618,605
IndusInd Bank, Ltd. 226,241 543,549
Industrial Development Bank of India, Ltd. 381,710 1,005,075
Infomedia India, Ltd. * 4,400 8,048
Infrastructure Development Finance    
Company, Ltd. 1,022,730 3,104,328
Ingersoll-Rand India, Ltd. 18,989 132,303
Ipca Laboratories, Ltd. 5,887 98,716

The accompanying notes are an integral part of the financial statements.
126



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
India (continued)    
IVRCL Infrastructures & Projects, Ltd. 207,617 $ 1,681,517
Jammu & Kashmir Bank, Ltd. 46,301 560,457
JB Chemicals & Pharmaceuticals, Ltd. 20,800 23,360
JBF Industries, Ltd. 16,838 32,813
Jet Airways India, Ltd. * 27,783 190,158
Jindal Saw, Ltd. 37,588 589,104
Jindal Stainless, Ltd. * 44,041 77,126
JK Tyre & Industries, Ltd. 6,013 16,498
JSW Steel, Ltd. 143,779 2,486,450
Jubilant Organosys, Ltd. 73,378 356,983
Jyoti Structures, Ltd. 16,000 51,615
Kalpataru Power Transmission, Ltd. 9,514 167,091
Karnataka Bank, Ltd. 128,844 372,989
Karur Vysya Bank, Ltd. 15,800 115,394
Kesoram Industries, Ltd. 26,673 208,221
Kirloskar Oil Engines, Ltd. 69,124 166,370
Kotak Mahindra Bank, Ltd. 127,846 2,070,795
KS Oils, Ltd. 62,402 88,902
Lakshmi Machine Works, Ltd. 2,097 58,958
Lanxess ABS, Ltd. 4,800 15,728
LIC Housing Finance, Ltd. 79,100 1,263,204
Madras Cements, Ltd. 36,000 90,657
Maharashtra Seamless, Ltd. 50,339 327,550
Mahindra & Mahindra, Ltd. 216,103 3,945,247
Mahindra Lifespace Developers, Ltd. 10,600 83,421
Mangalam Cement, Ltd. 14,461 38,819
Mastek, Ltd. 18,261 113,465
MAX India, Ltd. * 66,130 251,973
McLeod Russel India, Ltd. 88,970 403,979
Mercator Lines, Ltd. 163,169 212,898
Merck, Ltd. 5,500 47,697
Monnet Ispat & Energy, Ltd. 29,947 228,534
Moser Baer India, Ltd. 130,000 262,321
MRF, Ltd. 920 109,318
Mukand, Ltd. * 22,832 27,135
Nagarjuna Construction Company, Ltd. 279,057 860,764
Nagarjuna Fertilizers & Chemicals, Ltd. * 125,682 88,187
Nahar Spinning Mills, Ltd. 6,600 8,030
National Organic Chemical Industries, Ltd. 80,240 47,674
Navneet Publications India, Ltd. 75,000 60,945
NIIT Technologies, Ltd. 19,088 48,837
Nirma, Ltd. 27,700 108,765
Orchid Chemicals & Pharmaceuticals, Ltd. 62,788 234,995
Orient Paper & Industries, Ltd. 51,770 58,409
Oriental Bank of Commerce 101,465 502,860
Panacea Biotec, Ltd. * 19,983 82,702
Pantaloon Retail India, Ltd. 37,347 261,441
Patel Engineering Ltd 5,136 52,739
Patni Computer Systems, Ltd. 122,526 1,162,953
Petronet LNG, Ltd. 458,012 747,284
Polaris Software Lab, Ltd. 26,963 83,839
Polyplex Corp., Ltd. 1,700 6,737
PSL, Ltd. 10,200 36,436
PTC India, Ltd. 233,522 424,287
Punj Lloyd, Ltd. 165,098 917,894
Raymond, Ltd. * 13,115 56,881

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
India (continued)    
REI Six Ten Retail, Ltd. 1,547 $ 25,237
Reliance Capital, Ltd. 71,378 1,361,597
Reliance Communications, Ltd. 953,225 6,085,694
Reliance Industries, Ltd., GDR * (g) 121,583 11,197,794
Reliance Industries, Ltd. * 4,100 186,653
Reliance Power, Ltd. * 30,000 104,652
Rolta India, Ltd. 147,175 542,434
Ruchi Soya Industries, Ltd. 180,975 376,901
Seamec, Ltd. * 10,845 41,282
Sicagen India, Ltd. * 6,851 1,851
Sical Logistics, Ltd. * 6,851 9,670
Sonata Software, Ltd. 29,000 22,177
South Indian Bank, Ltd. 140,505 362,763
SREI Infrastructure Finance, Ltd. 163,173 263,275
SRF, Ltd. 24,910 92,105
Sterlite Optical Technologies, Ltd. 16,753 98,716
Strides Arcolab, Ltd. * 8,709 32,566
Sundram Fasteners, Ltd. 17,700 15,075
Supreme Industries, Ltd. 7,790 53,997
Suzlon Energy, Ltd. * 610,254 1,152,853
Syndicate Bank, Ltd. 227,419 438,904
Tata Chemicals, Ltd. 96,921 563,419
Tata Investment Corp., Ltd. 6,431 61,683
Tata Motors, Ltd. 175,050 2,149,729
Tata Steel, Ltd. 280,677 2,955,327
Tata Tea, Ltd. 46,775 872,011
Teledata Marine Solutions * 23,474 16,713
Teledata Technology Solutions * 23,474 2,415
Torrent Pharmaceuticals, Ltd. 9,400 61,568
Trent, Ltd. 4,173 54,940
Triveni Engineering & Industries, Ltd. 46,377 105,385
Tube Investments of India, Ltd. 75,410 109,033
TVS Motor Company, Ltd. 51,986 67,801
Unichem Laboratories, Ltd. 9,000 51,122
Union Bank of India, Ltd. 169,587 840,270
United Phosphorus, Ltd. 229,410 790,483
Usha Martin, Ltd. 154,885 215,523
Varun Shipping Company, Ltd. 66,246 83,736
Videocon Industries, Ltd. 123,532 647,712
Welspun-Gujarat Stahl Rohren, Ltd. 136,145 735,444
Wockhardt, Ltd. * 18,700 74,923
Yes Bank, Ltd. * 130,491 556,087
Zee Entertainment Enterprises, Ltd. 323,157 1,595,410
Zensar Technologies, Ltd. 6,485 31,193
Zuari Industries, Ltd. 9,200 73,855
 
    128,993,451
Indonesia - 2.48%    
Astra Graphia Tbk PT 606,000 18,489
Bakrie & Brothers Tbk PT * 74,649,489 1,003,295
Bakrieland Development Tbk PT * 42,983,500 1,644,547
Bank Negara Indonesia Persero Tbk PT 340,000 74,352
Bank Pan Indonesia Tbk PT * 2,767,500 244,686
Berlian Laju Tanker Tbk PT 5,644,833 457,723
Bhakti Investama Tbk PT 3,630,500 95,108
Budi Acid Jaya Tbk PT 1,493,000 37,781
Bumi Resources Tbk PT 29,827,570 9,943,604

The accompanying notes are an integral part of the financial statements.
127



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Indonesia (continued)    
Central Proteinaprima Tbk PT * 16,930,000 $ 144,185
Charoen Pokphand Indonesia Tbk PT * 2,559,000 362,653
Ciputra Development Tbk PT * 8,450,000 646,780
Ciputra Surya Tbk PT * 896,000 49,644
Davomas Abadi Tbk PT * 2,465,000 18,618
Energi Mega Persada Tbk PT * 13,013,862 513,543
Global Mediacom Tbk PT * 1,928,000 61,810
Gudang Garam Tbk PT 1,154,000 1,776,456
Indofood Sukses Makmur Tbk PT 7,944,000 2,472,200
International Nickel Indonesia Tbk PT * 3,878,500 1,664,405
Kawasan Industri Jababeka Tbk PT * 13,481,500 185,435
Matahari Putra Prima Tbk PT * 2,266,500 241,592
Medco Energi Internasional Tbk PT 3,388,500 1,016,129
Mitra Adiperkasa Tbk PT * 837,000 38,702
Panin Insurance Tbk PT * 1,544,000 38,525
Panin Life Tbk PT * 24,214,000 363,127
Polychem Indonesia Tbk PT * 1,954,500 25,755
Ramayana Lestari Sentosa Tbk PT 1,085,500 72,954
Samudera Indonesia Tbk PT 58,500 24,060
Summarecon Agung Tbk PT 3,695,000 221,666
Suryainti Permata Tbk PT * 1,446,000 18,696
Trias Sentosa Tbk PT 2,019,500 41,731
Trimegah Securities Tbk PT 1,540,500 29,328
Truba Alam Manunggal Engineering PT * 11,991,500 210,289
Tunas Ridean Tbk PT 1,481,000 234,426
 
    23,992,294
Israel - 2.72%    
Alvarion, Ltd. * 171,448 685,483
American Israeli Paper Mills, Inc. * 4,626 261,753
AudioCodes, Ltd. * 21,648 42,074
Bank Hapoalim, Ltd. * 2,396,545 8,571,191
Bank Leumi Le-Israel, Ltd. * 2,500,827 9,649,271
Clal Industries & Investments, Ltd. * 80,000 364,454
Delta Galil Industries, Ltd. * 3,488 11,234
Discount Investment Corp. 21,660 490,613
Electra Real Estate, Ltd. * 14,413 113,487
Electra, Ltd. 2,514 238,645
Elron Electronic Industries, Ltd. * 22,510 114,407
First International Bank of Israel, Ltd. * 109,804 310,777
First International Bank of Israel, Ltd. * 43,864 613,861
Formula Systems, Ltd., GDR 3,500 33,110
Formula Systems, Ltd. 8,342 76,686
Koor Industries, Ltd. 5,490 162,615
Mivtach Shamir Holdings, Ltd. * 9,952 216,096
Oil Refineries, Ltd. 2,312,364 986,469
Orbotech, Ltd. * 15,238 144,075
Radvision, Ltd. * 5,473 49,089
Retalix, Ltd. * 29,214 298,163
Union Bank of Israel, Ltd. * 30,741 151,580
United Mizrahi Bank, Ltd. * 313,552 2,680,797
 
    26,265,930
Malaysia - 3.96%    
Affin Holdings BHD 967,300 542,645
Al-'Aqar KPJ REIT 34,983 9,743
AMDB BHD * 110,000 15,638

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Malaysia (continued)    
AMMB Holdings BHD 3,756,162 $ 4,610,486
Ann Joo Resources BHD * 313,600 219,913
Asas Dunia BHD * 24,000 4,091
Asia Pacific Land BHD * 282,100 24,100
Bandar Raya Developments BHD 1,003,400 490,275
Berjaya Corp. BHD 1,930,300 557,886
BIMB Holdings BHD 142,900 43,741
Bolton BHD 177,100 34,162
Boustead Holdings BHD 762,860 764,199
Cahya Mata Sarawak BHD 241,600 102,799
Dijaya Corp. BHD 40,900 14,222
DNP Holdings BHD 124,000 56,444
DRB-Hicom BHD 1,194,900 397,880
Eastern & Oriental BHD * 337,900 140,242
Eastern Pacific Industrial Corp. BHD 155,600 67,973
ECM Libra Avenue BHD 516,600 94,169
EON Capital BHD 454,300 706,279
Esso Malaysia BHD 92,100 64,438
General Corp. BHD 222,500 68,630
Globetronics Technology BHD 190,440 44,106
Glomac BHD 231,300 79,119
Goldis BHD * 244,800 84,629
Hap Seng Consolidated BHD 517,900 373,552
Hap Seng Plantations Holdings BHD 630,400 412,599
Hong Leong Credit BHD 309,800 482,234
Hong Leong Industries BHD 25,000 27,289
Hume Industries Malaysia BHD 112,800 97,408
Hunza Properties BHD 113,800 48,190
Hwang-DBS Malaysia BHD 105,200 46,983
IGB Corp. BHD * 1,982,300 1,022,779
IJM Corp. BHD 2,301,180 2,984,166
Insas BHD * 466,600 62,846
Integrated Logistics BHD 155,100 42,513
Jaks Resources BHD * 246,000 55,320
Jaya Tiasa Holdings BHD 63,945 45,208
K & N Kenanga Holdings BHD * 323,600 57,131
Karambunai Corp. BHD * 1,978,300 37,218
Keck Seng BHD 148,200 162,904
Kian Joo Can Factory BHD 517,600 176,058
Kim Loong Resources BHD 29,400 16,354
Kinsteel BHD 561,400 152,102
KLCC Property Holdings BHD 940,100 900,146
KPJ Healthcare BHD 152,100 181,211
KSL Holdings BHD 267,333 79,380
KUB Malaysia BHD 534,400 77,873
Kulim Malaysia BHD 428,600 913,750
Kumpulan Hartanah Selangor BHD * 410,800 57,023
Kwantas Corp. BHD 56,000 32,488
Land & General BHD * 163,200 18,401
Landmarks BHD * 638,300 245,329
LBS Bina Group BHD * 210,000 26,872
Leader Universal Holdings BHD 639,800 137,637
Lion Corp. BHD * 549,100 61,316
Lion Industries Corp. BHD 1,119,300 487,585
MAA Holdings BHD * 133,400 29,493
Malaysia Airports Holdings, BHD 180,200 179,309

The accompanying notes are an integral part of the financial statements.
128



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Malaysia (continued)    
Malaysia Building Society BHD 230,000 $ 61,764
Malaysian Plantations BHD 1,709,300 1,247,308
MBM Resources BHD 60,500 40,320
Measat Global BHD * 63,200 33,289
Mega First Corp. BHD 163,700 55,176
MK Land Holdings BHD * 632,500 71,483
MMC Corp. BHD 1,801,500 1,282,855
MNRB Holdings BHD 10,000 9,232
MTD ACPI Engineering BHD 141,900 25,184
Muhibbah Engineering M BHD 852,300 312,506
Mulpha International BHD * 1,507,700 200,347
Naim Cendera Holdings, Ltd. BHD 198,100 164,014
New Straits Times Press BHD 154,900 99,241
Nylex Malaysia BHD 77,700 16,816
Oriental Holdings BHD 467,600 742,358
OSK Holdings BHD 940,600 389,130
OSK Property Holdings BHD 82,291 12,555
OSK Ventures International BHD * 168,651 23,013
Padiberas Nasional BHD 471,900 250,989
Panasonic Manufacturing Malaysia BHD 48,200 174,667
PBA Holdings BHD 32,000 7,939
PJ Development Holdings BHD 480,100 92,465
PPB Group BHD 1,017,600 4,518,036
Protasco BHD 172,400 44,684
Proton Holdings BHD 845,800 982,713
Ranhill BHD 372,100 99,297
RB Land Holdings BHD * 443,300 280,458
RHB Capital BHD 739,900 1,081,563
Sarawak Energy BHD 831,600 522,357
Scientex, Inc. BHD 51,000 18,826
Scomi Group BHD 2,101,000 354,706
Selangor Dredging BHD 326,900 55,670
Selangor Properties BHD 105,000 100,350
Shangri-La Hotels BHD 101,900 53,232
Shell Refining Company Federation    
of Malaya BHD 161,700 497,969
SHL Consolidated BHD 172,300 60,238
Southern Steel BHD 132,100 66,098
Sunrise BHD * 563,200 350,525
Sunway City BHD 519,500 460,763
Sunway Holdings, Inc. BHD 449,000 180,445
Supermax Corp BHD 203,800 147,200
Suria Capital Holdings BHD 286,100 103,391
Symphony House BHD 72,611 5,335
Ta Ann Holdings BHD 320,000 399,392
TA Enterprise BHD 2,056,500 839,342
Tan Chong Motor Holdings BHD 896,000 539,497
TDM BHD 160,500 70,724
Tebrau Teguh BHD * 316,000 64,685
Time.com BHD * 2,591,300 281,833
Titan Chemicals Corp. * 684,900 220,773
Tradewinds Corp. BHD 803,800 144,166
Tradewinds Malaysia BHD 57,000 46,812
Unisem (M) Berhad 763,600 345,333
United Malacca BHD 65,200 151,443
V.S. Industry BHD 166,770 57,032

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Malaysia (continued)    
Wah Seong Corp. BHD 458,600 $ 320,136
WTK Holdings BHD 368,500 119,555
YNH Property BHD * 647,802 354,548
Zelan Berhad 227,600 58,086
 
    38,278,340
Mexico - 6.32%    
Alfa SA de CV 528,700 2,528,531
Alsea SAB de CV * 426,850 275,459
Axtel SAB de CV, ADR * 982,700 733,184
Carso Infraestructura y Construccion SA de    
CV * 157,200 88,168
Cemex SA de CV, SADR * (a) 1,315,460 16,995,743
Coca-Cola Femsa SAB de CV, SADR 26,500 1,274,650
Consorcio ARA SA de CV * 1,292,400 775,612
Corp. GEO SA de CV, Series B * 793,874 2,158,641
Desarrolladora Homex SA de CV * 66 415
Embotelladoras Arca SA de CV 576,266 1,424,761
Empresas ICA SA de CV, SADR * 180,011 1,699,304
Empresas ICA Sociedad    
Controladora SA de CV * 46,900 110,500
Fomento Economico Mexicano SA de CV,    
SADR 240,775 9,161,489
GMD Resorts SAB de CV * 68,200 17,079
Grupo Aeroportuario del Centro Norte Sab de    
CV 231,900 363,219
Grupo Aeroportuario del Pacifico SA de CV,    
Series B, SADR 90,101 2,539,947
Grupo Aeroportuario del Sureste SA de CV,    
SADR (a) 35,367 1,508,756
Grupo Aeroportuario del Sureste SA de CV 28,700 122,693
Grupo Carso SA de CV 662,300 2,139,950
Grupo Cementos de Chihuahua SA de CV * 35,500 86,823
Grupo Famsa SAB de CV * 334,018 532,073
Grupo Financiero Banorte SA de CV 2,397,900 8,023,202
Grupo Industrial Maseca SA de CV 53,900 34,743
Grupo Industrial Saltillo SA de CV * 94,000 18,108
Grupo Kuo SA de CV * 164,000 105,348
Grupo Mexicano de Desarrollo, SAB * 68,200 29,459
Grupo Simec SAB de CV * 192,500 510,595
Industrias CH SA de CV * 336,700 1,180,209
Organizacion Soriana SA de CV * 1,951,200 4,834,269
Qualitas Compania de Seguros SA de CV 318,900 145,309
Urbi Desarrollos Urbanos SA de CV * 831,100 1,684,737
 
    61,102,976
Philippines - 0.64%    
Ayala Corp. 34,000 216,986
Benpres Holdings Corp. * 4,577,000 333,122
DMCI Holdings, Inc. 1,916,000 350,698
Empire East Land Holdings, Inc. * 2,990,000 28,942
Filinvest Development Corp. 730,000 32,297
Filinvest Land, Inc. 28,180,500 556,321
First Philippine Holdings Corp. * 624,200 498,606
Megaworld Corp. 29,442,800 925,815
Metropolitan Bank & Trust Company 1,430,000 1,158,166
Philippine National Bank * 456,400 225,569
Rizal Commercial Banking Corp. 602,800 222,079

The accompanying notes are an integral part of the financial statements.
129



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Philippines (continued)    
Robinsons Land Corp. 3,208,200 $ 709,328
Security Bank Corp. 144,400 165,892
Union Bank of Philippines 214,600 135,525
Universal Robina Corp. 1,507,500 349,468
Vista Land & Lifescapes, Inc. * 5,803,000 284,041
 
    6,192,855
Poland - 1.62%    
Agora SA * 90,776 700,536
Bank BPH SA * 20,507 459,755
Bank Millennium SA * 562,302 898,412
Bioton SA * 4,546,178 411,087
Boryszew SA * 21,543 44,196
Ciech SA * 27,133 388,362
Computerland SA * 19,139 99,021
Debica SA 7,768 173,378
Echo Investment SA * 534,956 785,411
Emperia Holding SA 2,613 61,510
Fabryki Mebli Forte SA 23,417 109,068
Farmacol SA * 10,785 162,445
Firma Chemiczna Dwory SA * 1,708,170 716,161
Grupa Kety SA * 17,839 641,597
Grupa Lotos SA * 99,148 852,792
Impexmetal SA * 74,050 64,444
Kredyt Bank SA * 48,880 199,726
Mostostal-Export SA * 22,710 17,911
Netia SA * 324,551 453,905
Orbis SA * 50,530 855,304
Pekaes SA 6,380 22,185
Pfleiderer Grajewo SA * 3,224 14,795
Pol-Aqua SA * 14,947 140,057
Polnord SA * 17,218 222,745
Polski Koncern Naftowy Orlen SA * 631,764 6,591,373
Przedsiebiorstwo Eksportu i Importu Kopex SA * 61,117 468,593
Stalexport Autostrady SA * 137,562 80,665
Zaklady Azotowe Pulawy SA 2,589 70,582
 
    15,706,016
South Africa - 11.82%    
ABSA Group, Ltd. 518,838 8,298,242
Adcorp Holdings, Ltd. 17,626 64,598
Aeci, Ltd. 187,782 1,469,351
Afgri, Ltd. 348,059 268,958
African Bank Investments, Ltd. 978,572 3,856,805
African Rainbow Minerals, Ltd. 6,754 135,472
Allied Electronics Corp., Ltd. 92,553 332,667
Argent Industrial, Ltd. 113,274 135,874
Aveng, Ltd. 574,379 3,314,600
Barloworld, Ltd. 398,158 2,604,296
Bell Equipment, Ltd. * 34,158 52,988
Caxton & CTP Publishers & Printers, Ltd. 185,300 296,684
Ceramic Industries, Ltd. 1,970 25,543
DataTec, Ltd. * 300,156 968,692
Enaleni Pharmaceuticals, Ltd. * 474,453 279,411
Eqstra Holdings, Ltd. * 89,724 87,119
FirstRand, Ltd. 3,613,081 7,978,228
Freeworld Coatings, Ltd. 94,081 112,608

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
South Africa (continued)    
Gold Fields, Ltd., SADR (a) 586,000 $ 8,075,080
Gold Fields, Ltd. 3,784 51,822
Grindrod, Ltd. 946,291 2,007,393
Harmony Gold Mining Company, Ltd., SADR 643,794 7,043,106
Hudaco Industries, Ltd. 46,478 359,223
Hulamin, Ltd. 72,497 114,794
Iliad Africa, Ltd. 122,270 128,573
Imperial Holdings, Ltd. 330,886 3,522,766
Investec, Ltd. 419,902 3,213,785
JD Group, Ltd. 366,563 2,179,737
Kap International Holdings, Ltd. * 189,283 52,975
Lewis Group, Ltd. 162,466 1,201,378
Liberty Holdings, Ltd. 168,560 1,527,336
Medi-Clinic Corp., Ltd. 477,799 1,415,108
Merafe Resources, Ltd. * 2,336,491 506,282
Metair Investments, Ltd. * 163,437 113,135
Metropolitan Holdings, Ltd. 1,191,761 2,032,680
Mondi, Ltd. 247,781 1,291,055
Mustek, Ltd. 62,919 21,428
Mvelaphanda Group, Ltd. * 582,544 472,474
Nampak, Ltd. * 1,054,891 2,395,586
Nedbank Group, Ltd. 395,738 6,302,020
Northam Platinum, Ltd. 257,216 1,136,530
Nu-World Holdings, Ltd. * 19,436 36,481
Omnia Holdings, Ltd. 62,401 500,588
Palabora Mining Company, Ltd. 23,036 296,977
Peregrine Holdings, Ltd. 86,314 107,009
PSG Group, Ltd. 96,332 301,516
Sanlam, Ltd. 3,735,813 10,227,647
Sappi, Ltd., SADR 156,861 605,483
Simmer and Jack Mines, Ltd. * 1,280,897 307,830
Standard Bank Group, Ltd. 1,629,942 21,107,575
Steinhoff International Holdings, Ltd. * 2,201,058 4,855,840
Super Group, Ltd. * 300,107 34,160
Telkom SA, Ltd., SADR 3,000 69,000
Tiger Wheels, Ltd. * (k) 32,678 0
Trans Hex Group, Ltd. * 44,790 20,240
Trencor, Ltd. 87,122 249,351
Value Group, Ltd. 178,661 83,242
 
    114,249,341
South Korea - 13.10%    
Aekyung Petrochemical Company, Ltd. 5,080 75,282
Asia Cement Company, Ltd. 3,240 155,747
Asia Paper Manufacturing Company, Ltd. * 1,600 14,705
Asiana Airlines, Inc. * 97,780 325,523
BNG Steel Company, Ltd. * 1,870 12,846
Bookook Securities Company, Ltd. 4,950 100,790
Boryung Pharmaceutical Company, Ltd. 1,198 46,449
Busan Bank 185,010 2,046,386
BYC Company, Ltd. 240 25,568
Byucksan Corp. 1,580 11,897
Byucksan Engineering & Construction    
Company, Ltd. * 7,600 19,186
Choil Aluminum Manufacturing Company, Ltd. * 1,630 8,175
Chokwang Leather Company, Ltd. * 2,200 12,940
Chong Kun Dang Pharm Corp. 2,310 37,957

The accompanying notes are an integral part of the financial statements.
130



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
South Korea (continued)    
Choongwae Pharma Corp. 5,806 $ 104,797
Chosun Refractories Company, Ltd. 1,708 91,936
Chungho Comnet Company, Ltd. 2,270 21,204
CJ CheilJedang Corp. 1,471 258,472
CJ Corp. 16,709 786,231
Dae Chang Industrial Company, Ltd. * 26,000 21,303
Dae Dong Industrial Company, Ltd. 1,800 33,906
Dae Han Flour Mills Company, Ltd. 1,232 148,273
Dae Won Kang Up Company, Ltd. 15,000 21,632
Daeduck Electronics Company, Ltd. 41,630 207,223
Daeduck GDS Company, Ltd. 11,450 111,526
Daegu Bank 146,510 2,094,942
Daehan Steel Company, Ltd. 9,250 106,835
Daehan Synthetic Fiber Company, Ltd. 429 25,399
Daekyo Company, Ltd. 44,550 215,134
Daelim Industrial Company, Ltd. 30,763 1,878,611
Daelim Trading Company, Ltd. 1,417 5,354
Daesang Corp. * 15,770 102,898
Daesung Industrial Company, Ltd. 2,021 154,870
Daewoo Engineering & Construction    
Company, Ltd. 162,970 1,928,823
Daewoo Motor Sales Corp. * 45,272 443,489
Daewoong Company, Ltd. 620 12,257
Dahaam E-Tec Company, Ltd. 2,630 63,574
Daishin Securities Company, Ltd. 53,530 732,758
Daiyang Metal * 4,090 7,012
Daou Technology, Inc. 26,120 185,140
DI Corp. * 12,000 14,030
Digital Power Communications Company, Ltd. 13,000 19,106
Dong Ah Tire & Rubber Company, Ltd. 10,970 72,070
Dong Hae Pulp Company, Ltd. * 14,710 76,351
Dong Su Industrial Company, Ltd. 9,640 64,490
Dong Wha Pharmaceutical Industrial    
Company, Ltd. 13,550 81,269
Dongbang Transport Logistics Company, Ltd. 5,500 11,373
Dongbu Corp. 12,860 92,471
Dongbu Hannong Chemicals Company, Ltd. * 26,970 156,897
Dongbu Securities Company, Ltd. * 32,430 193,615
Dongbu Steel Company, Ltd. 23,705 173,436
Dong-Il Corp. 356 14,456
Dongil Industries Company, Ltd. 1,340 64,305
Dongil Rubber Belt Company, Ltd. 6,339 31,075
Dongkuk Steel Mill Company, Ltd. 40,760 940,188
Dongwon F & B Company, Ltd. 870 32,691
Dongyang Engineering & Construction Corp. 1,044 15,023
Dongyang Mechatronics Corp. 24,643 88,867
Doosan Industrial Development Company, Ltd. 29,260 182,648
DPI Holdings Company, Ltd. 5,790 29,103
En Paper Manufacturing Company, Ltd. * 3,860 17,692
F&F Company, Ltd. 4,900 13,996
Fursys, Inc. 4,840 111,732
Gaon Cable Company, Ltd. 2,740 68,507
GS Holdings Corp. 56,510 1,560,091
Gwangju Shinsegae Company, Ltd. 1,111 113,247
H.S. R & A Company, Ltd. * 2,200 16,780
Hae In Corp. 1,756 5,333
Halla Engineering & Construction Corp. 7,250 181,021

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
South Korea (continued)    
Hana Financial Group, Inc. 170,240 $ 5,840,933
Handok Pharmaceuticals Company, Ltd. 1,000 12,219
Handsome Company, Ltd. 17,320 206,753
Hanil Cement Manufacturing Company, Ltd. 6,209 425,183
Hanil Construction Company, Ltd. 3,058 15,008
Hanil E-Wha Company, Ltd. 6,200 18,871
Hanjin Heavy Industries & Construction    
Company, Ltd. 4,300 86,175
Hanjin Heavy Industries & Construction    
Holdings Company, Ltd. 14,860 173,471
Hanjin Shipping Company, Ltd. 63,310 1,099,542
Hanjin Transportation Company, Ltd. 11,210 305,576
Hankook Cosmetics Company, Ltd. 6,400 16,196
Hankuk Electric Glass Company, Ltd. 1,800 41,602
Hankuk Glass Industries, Inc. 1,970 38,572
Hankuk Paper Manufacturing Company, Ltd. 3,920 137,857
Hanmi Capital Company, Ltd. 5,310 52,769
Hanshin Construction Company, Ltd. 3,090 49,839
Hansol Chemical Company, Ltd. 2,900 25,187
Hansol Paper Company, Inc. * 40,470 408,589
Hanssem Company, Ltd. 3,800 29,634
Hanwha Chemical Corp. 90,236 975,539
Hanwha Securities Company, Ltd. 46,942 380,796
Hanwha Timeworld Company, Ltd. 2,650 31,608
Hanyang Securities Company, Ltd. 11,820 114,815
Heung-A Shipping Company, Ltd. 17,782 10,994
Hite Holdings Company, Ltd. 7,640 225,260
Honam Petrochemical Corp. 15,849 1,187,760
Hotel Shilla Company, Ltd. 19,080 279,289
Husteel Company, Ltd. 6,110 83,821
Hwa Shin Company, Ltd. 14,700 43,279
Hwa Sung Industrial Company, Ltd. 2,730 13,709
Hwacheon Machine Tool Company, Ltd. 940 26,647
Hyosung Corp. 11,560 660,817
Hyundai Cement Company, Ltd. * 6,160 103,513
Hyundai DSF Company, Ltd. 2,300 16,603
Hyundai Elevator Company, Ltd. 2,202 110,888
Hyundai H & S Company, Ltd. 4,000 263,280
Hyundai Hysco Company, Ltd. 35,500 479,666
Hyundai Mipo Dockyard Company, Ltd. 12,693 1,337,768
Hyundai Motor Company, Ltd. 147,923 13,940,347
Hyundai Pharmaceutical Industrial Company,    
Ltd. 15,500 34,739
Hyundai Securities Company, Ltd. 135,215 1,871,276
Hyundai Steel Company 43,970 2,825,721
Il Dong Pharmaceutical Company, Ltd. 2,010 52,985
Iljin Diamond Company, Ltd. 661 7,411
Iljin Electric, Ltd. * 24,771 73,179
Ilshin Spinning Company, Ltd. 370 18,427
Ilsung Pharmaceutical Company, Ltd. 1,895 104,160
Industrial Bank of Korea * 135,230 1,648,548
Inzi Controls Company, Ltd. 6,050 16,902
Isu Chemical Company, Ltd. 7,460 99,329
Jahwa Electronics Company, Ltd. 15,120 127,891
Jeil Mutual Savings Bank 1,820 9,941
Jeil Pharmaceutical Company 13,980 119,076
Jeonbuk Bank, Ltd. 45,565 285,201

The accompanying notes are an integral part of the financial statements.
131



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
South Korea (continued)    
Jinheung Mutual Savings Bank Company, Ltd. 36,500 $ 149,884
Joongang Construction Company, Ltd. * 1,260 6,237
KB Financial Group, Inc., ADR * (a) 337,408 17,366,390
KC Tech Company, Ltd. 26,049 103,398
KCC Corp. 5,367 1,608,236
KCTC 1,530 24,624
Keangnam Enterprises, Ltd. * 8,628 95,576
Keyang Electric Machinery Company, Ltd. 13,000 26,667
KG Chemical Corp. 5,600 54,546
Kia Motors Corp. * 211,370 3,319,976
KISCO Corp. 3,841 152,981
Kiswire, Ltd. 4,735 168,734
Kolon Engineering &    
Construction Company, Ltd. 19,480 113,531
Korea Airport Service Company, Ltd. 2,720 74,396
Korea Cast Iron Pipe Industries Company, Ltd. 5,500 18,527
Korea Circuit Company, Ltd. * 5,300 12,280
Korea Development Corp. * 3,750 18,683
Korea Development Financing Corp. 930 24,928
Korea Electric Terminal Company, Ltd. 5,770 108,077
Korea Exchange Bank 263,760 3,084,374
Korea Flange Company, Ltd. * 4,810 47,407
Korea Green Paper Manufacturing Company,    
Ltd. * 4,634 6,639
Korea Investment Holdings Company, Ltd. 43,690 1,292,028
Korea Iron & Steel Company, Ltd. 778 53,786
Korea Kumho Petrochemical Company, Ltd. 13,710 320,423
Korea Line Corp. (a) 8,086 344,500
Korea Mutual Savings Bank * 1,980 24,331
Korea Polyol Company, Ltd. 887 36,077
Korean Air Lines Company, Ltd. * 39,790 1,616,289
Korean Petrochemical Industrial Company,    
Ltd. * 2,430 97,871
KP Chemical Corp. * 27,370 174,953
KTB Network Corp. * 55,710 235,186
Kukdo Chemical Company, Ltd. 1,000 21,648
Kumho Industrial Company, Ltd. 26,880 282,764
Kumho Investment Bank 160,570 169,552
Kumho Tire Company, Inc. * 37,560 187,113
Kumkang Industrial Company, Ltd. 1,400 15,081
Kunsul Chemical Industrial Company, Ltd. * 1,970 23,658
Kwang Dong Pharmaceutical Company, Ltd. 51,130 132,452
Kyeryong Construction    
Industrial Company, Ltd. 6,260 114,159
Kyung Nong Corp. 9,470 34,267
Kyungbang, Ltd. * 1,042 128,078
Lee Ku Industrial Company, Ltd. 8,395 10,555
LG Dacom Corp. 31,060 526,284
LG Display Company, Ltd., ADR (a) 152,600 2,186,758
LG Telecom, Ltd. 110,250 797,766
Lotte Chilsung Beverage Company, Ltd. 825 563,149
Lotte Confectionery Company, Ltd. 833 875,512
Lotte Samkang Company, Ltd. 924 155,148
Lotte Shopping Company, Ltd. 10,283 2,766,752
Manho Rope & Wire, Ltd. 1,350 19,787
Meritz Investment Bank * 60,525 42,379
Meritz Securities Company, Ltd. 186,570 216,081

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
South Korea (continued)    
Moorim Paper Company, Ltd. 5,200 $ 51,515
Motonic Corp. 4,470 32,019
Namyang Dairy Products Company, Ltd. 531 250,415
Nexen Corp. 1,160 36,723
Nong Shim Holdings Company, Ltd. 2,560 158,840
On*Media Corp. * 74,260 209,683
Pacific Corp. 3,745 496,915
Pang Rim Company, Ltd. * 910 11,193
PaperCorea, Inc. * 2,800 18,749
Pohang Coated Steel Company, Ltd. 4,050 91,302
Poonglim Industrial Company, Ltd. * 3,790 8,619
Poongsan Corp. * 5,382 98,922
Poongsan Corp. * 6,767 137,109
Pumyang Construction Company, Ltd. 970 8,548
Pusan City Gas Company, Ltd. 7,300 140,261
S&T Corp. 12,830 135,691
S&T Daewoo Company, Ltd. * 1,220 27,164
S&T Dynamics Company, Ltd. 10,410 128,628
Saehan Media Company, Ltd. * 4,273 10,859
Sam Kwang Glass Industrial Company, Ltd. 750 25,369
Sam Lip General Foods Company, Ltd. 2,300 17,946
Sam Young Electronics Company, Ltd. 10,510 111,149
Sam Yung Trading Company, Ltd. 4,300 17,619
Sambu Construction Company, Ltd. 4,934 95,749
Samhwa Paint Industrial Company, Ltd. 5,090 16,383
Samick Musical Instruments Company, Ltd. * 8,450 6,449
Samick THK Company, Ltd. 6,800 12,971
Samsung SDI Company, Ltd. 34,482 4,341,734
Samwhan Corp. 6,280 60,517
Samyang Corp. 6,510 234,848
Samyang Genex Company, Ltd. 2,270 118,467
Samyang Tongsang Company, Ltd. 1,360 28,581
Savezone I & C Corp. * 16,880 23,307
Seah Besteel Corp. 12,390 168,799
SeAH Holdings Corp. 1,122 57,112
SeAH Steel Corp. 2,835 86,412
Sebang Company, Ltd. 11,820 141,115
Sejong Industrial Company, Ltd. 4,700 24,002
Seoul Securities Company, Ltd. * 457,300 435,177
Sgwicus Corp. * 8,400 15,299
SH Chemical Company, Ltd. * 30,567 14,990
Shin Poong Pharmaceutical Company, Ltd. 1,870 34,646
Shinhan Engineering & Construction    
Company, Ltd. 6,016 77,179
Shinhan Financial Group Company, Ltd.,    
SADR * (a) 193,907 15,545,524
Shinil Engineering Company, Ltd. * 3,180 12,150
Shinsegae Engineering & Construction    
Company, Ltd. 700 8,135
Shinsung ENG Company, Ltd. 1,950 4,337
Shinsung FA Company, Ltd. 1,950 4,312
Shinyoung Securities Company, Ltd. 5,296 171,226
Silla Company, Ltd. 3,180 39,074
Sindo Ricoh Company, Ltd. 3,959 208,855
SJM Company, Ltd. 5,800 21,449
SK Corp. 35,524 3,382,165
SK Gas Company, Ltd. 2,870 132,089

The accompanying notes are an integral part of the financial statements.
132



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
South Korea (continued)    
SKC Company, Ltd. 15,700 $ 271,381
SL Corp. 3,400 16,881
Solomon Mutual Savings Bank * 3,600 15,780
Ssangyong Cement Industrial Company, Ltd. * 20,770 177,593
STX Pan Ocean Company, Ltd. 21,500 196,933
STX Shipbuilding Company, Ltd. 12,090 148,723
Suheung Capsule Company, Ltd. 2,800 17,783
Sung Bo Chemicals Company, Ltd. 950 28,943
Sungjee Construction Company, Ltd. 1,400 6,730
Sungshin Cement Company, Ltd. * 15,480 114,762
Sunjin Company, Ltd. * 1,260 34,051
Tae Kyung Industrial Company, Ltd. 10,000 40,285
Taegu Department Store Company, Ltd. 9,340 99,089
Taekwang Industrial Company, Ltd. 444 328,425
Taeyoung Engineering & Construction, Ltd. 55,620 274,893
Taihan Electric Wire Company, Ltd. 27,070 509,592
Taihan Textile Company, Ltd. * 290 5,892
Tailim Packaging Industrial Company, Ltd. 30,000 22,021
Telcoware Company, Ltd. 3,800 22,094
Trybrands, Inc. * 3,528 10,965
TS Corp. 2,180 95,725
Uangel Corp. 3,800 22,655
Unid Company, Ltd. 1,200 33,718
Union Steel Company, Ltd. 8,940 180,159
Wiscom Company, Ltd. 3,760 12,858
Woongjin Holdings Company, Ltd. * 36,730 360,841
Woori Investment & Securities Company, Ltd. 95,320 1,347,608
Yesco Company, Ltd. 1,950 43,896
Yoosung Enterprise Company, Ltd. 6,200 12,882
Youlchon Chemical Company, Ltd. 19,470 162,069
Young Poong Corp. 596 279,217
Young Poong Paper Manufacturing    
Company, Ltd. 650 9,095
Youngone Corp. * 18,824 117,970
Youngone Holdings Company, Ltd. 4,706 89,896
Yuhwa Securities Company, Ltd. 3,410 42,833
 
    126,617,081
Taiwan - 12.18%    
Accton Technology Corp. 664,000 236,833
Achem Technology Corp. * 103,000 32,422
AGV Products Corp. * 521,505 208,232
Ampoc Far-East Company, Ltd. 86,993 29,645
AmTRAN Technology Company, Ltd. 373,105 335,112
Arima Communication Corp. * 332,000 123,400
Arima Optoelectronics Corp. * 85,000 36,409
Asia Polymer Corp. 229,000 168,215
Asustek Computer, Inc. 1,752,818 3,000,111
AU Optronics Corp., ADR (a) 906,503 8,774,949
Audix Corp. 81,200 48,283
Aurora Systems Corp. 63,000 33,941
Avision, Inc. 77,751 31,381
Bank of Kaohsiung, Ltd. * 464,760 145,616
Behavior Technology Computer Corp. * 103,400 4,996
BES Engineering Corp. 2,195,700 617,500
C Sun Manufacturing, Ltd. 85,607 34,501
Carnival Industrial Corp. * 198,000 40,215

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Taiwan (continued)    
Cathay Chemical Works, Inc. 93,000 $ 31,000
Cathay Real Estate Development    
Company, Ltd. * 1,335,000 552,066
Central Reinsurance Company, Ltd. * 293,422 112,981
Chain Qui Development Company, Ltd. 75,000 63,302
Champion Building Materials Company, Ltd. 428,947 151,342
Chang Hwa Commercial Bank, Ltd. 4,676,000 2,139,307
Cheng Loong Corp. * 1,358,000 467,878
Cheng Uei Precision Industry Company, Ltd. 15,300 31,062
Chenming Mold Industrial Corp. 132,709 37,169
Chi Mei Optoelectronics Corp. * 6,570,400 3,456,812
Chia Hsin Cement Corp. * 661,457 346,237
Chien Shing Stainless Steel Company, Ltd. * 199,000 36,895
Chilisin Electronics Corp. 96,900 43,480
China Airlines, Ltd. * 1,862,806 621,354
China Development Financial Holdings Corp. * 14,052,287 3,724,884
China Electric Manufacturing Corp. 175,000 117,634
China General Plastics Corp. * 495,000 177,390
China Glaze Company, Ltd. * 109,203 62,912
China Manmade Fibers Corp. 1,729,000 328,164
China Metal Products Company, Ltd. 139,000 160,872
China Motor Company, Ltd. * 929,125 619,505
China Petrochemical Development Corp. * 2,652,320 865,515
China Steel Structure Company, Ltd. 169,000 125,103
China Synthetic Rubber Corp. 56,000 57,849
China Wire & Cable Company, Ltd. * 110,000 30,469
Chinatrust Finance Holding Company, Ltd. 1,678,696 1,086,694
Chin-Poon Industrial Company, Ltd. 571,571 441,364
Chun Yu Works & Company, Ltd. 155,000 43,474
Chun Yuan Steel Industrial Company, Ltd. 616,525 200,941
Chung Hsin Electric & Machinery    
Manufacturing Corp. 4,000 2,241
Chung Hwa Pulp Corp. 487,000 203,635
Chunghwa Picture Tubes, Ltd. * 11,798,000 1,357,611
CMC Magnetics Corp. * 4,348,000 1,120,672
Collins Company, Ltd. * 130,200 33,971
Compal Electronics, Inc. 990,930 1,149,105
Compeq Manufactuing Company, Ltd. * 1,453,000 398,242
Continental Engineering Corp. 848,000 317,912
Delpha Construction Company, Ltd. * 181,000 61,088
D-Link Corp. 389,834 345,818
E.Sun Financial Holding Company, Ltd. * 5,150,741 2,144,113
Eastern Media International Corp. * 1,273,049 259,084
Eclat Textile Company, Ltd. 94,554 54,784
Edom Technology Company, Ltd. * 71,000 28,174
Elitegroup Computer Systems Company, Ltd. 968,793 415,483
Enlight Corp. * 163,769 5,490
Eternal Chemical Company, Ltd. 282,194 283,888
EVA Airways Corp. * 1,509,893 594,132
Everest Textile Company, Ltd. * 230,000 44,015
Evergreen Marine Corp. * 1,753,000 1,006,911
Everlight Chemical Industrial Corp. 423,000 308,468
Everspring Industry Company, Ltd. * 138,000 36,183
Evertop Wire Cable Corp. * 147,414 27,008
Excel Cell Electronic Company, Ltd. 34,000 13,522
Far Eastern International Bank * 1,632,065 481,929
Federal Corp. * 462,598 303,923

The accompanying notes are an integral part of the financial statements.
133



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Taiwan (continued)    
First Copper Technology Company, Ltd. * 356,000 $ 102,900
First Financial Holding Company, Ltd. 3,024,850 1,883,936
First Insurance Company, Ltd. * 122,475 43,715
Formosa Taffeta Company, Ltd. 1,399,000 933,795
Formosan Rubber Group, Inc. 235,000 146,593
Formosan Union Chemical 318,094 123,162
FU I Industrial Company, Ltd. * 202,000 51,041
Fwusow Industry Company, Ltd. * 119,970 43,139
Gigabyte Technology Company, Ltd. 854,000 720,515
Gigastorage Corp. * 87,600 45,490
Gold Circuit Electronics, Ltd. * 646,800 254,395
Goldsun Development & Construction    
Company, Ltd. 1,452,658 748,864
Gordon Auto Body Parts Company, Ltd. 51,184 15,265
Grand Pacific Petrochemical Corp. * 783,000 322,021
Great China Metal Industry Company, Ltd. 90,000 59,487
GTM Corp. * 113,000 75,637
HannStar Display Corp. * 3,730,000 815,153
Hey Song Corp. 640,000 340,447
Hitron Technology, Inc. 47,305 28,244
Ho Tung Chemical Corp. * 576,030 238,314
Hocheng Group Corp. * 424,500 132,948
Hong TAI Electric Industrial Company, Ltd. 351,000 129,068
Hsin Kuang Steel Company, Ltd. 312,085 245,521
Hsing TA Cement Company, Ltd. 435,000 138,059
Hua Eng Wire & Cable Company, Ltd. * 994,000 283,894
Hung Ching Development Company, Ltd. 166,000 97,855
Hung Sheng Construction Company, Ltd. 752,000 340,386
Hwa Fong Rubber Company, Ltd. * 427,770 181,273
Ichia Technologies, Inc. * 478,180 234,420
Inotera Memories, Inc. * 799,000 512,454
International Semiconductor Technology, Ltd. * 418,000 139,784
Inventec Company, Ltd. 2,126,410 1,230,558
Johnson Health Tech Company, Ltd. 42,840 38,625
Jui Li Enterprise Company, Ltd. * 66,950 19,516
K Laser Technology, Inc. 82,214 47,628
Kaulin Manufacturing Company, Ltd. 202,710 100,190
KEE TAI Properties Company, Ltd. 327,001 165,255
Kindom Construction Company, Ltd. 438,000 315,388
King Yuan Electronics Company, Ltd. 1,771,796 689,228
King's Town Bank * 1,267,000 317,537
Kinpo Electronics, Inc. * 1,828,269 491,899
Kwong Fong Industries Corp. * 998,000 237,041
Lan Fa Textile Company, Ltd. * 169,781 42,782
Lead Data, Inc. * 182,000 28,646
Lealea Enterprise Company, Ltd. * 984,350 190,502
Lee Chang Yung Chemical Industries, Corp. 181,675 198,955
LEE CHI Enterprises Company, Ltd. 118,000 37,164
Li Peng Enterprise Company, Ltd. * 643,864 206,618
Lien Hwa Industrial Corp. 753,807 349,531
Lingsen Precision Industries, Ltd. 372,481 142,072
Lite-On Technology Corp. 1,842,757 2,418,083
Long Chen Paper Company, Ltd. * 629,797 229,005
Lucky Cement Corp. * 390,000 101,078
Macronix International Company, Ltd. 3,345,187 1,842,600
Mayer Steel Pipe Corp. * 270,522 156,160

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Taiwan (continued)    
Mega Financial Holding Company, Ltd. 12,395,000 $ 7,818,632
Meiloon Industrial Company, Ltd. 103,048 39,147
Mercuries Data Systems, Ltd. * 204,000 47,346
Micro-Star International Company, Ltd. 1,410,264 923,714
Mitac International 1,913,956 835,649
Mitac Technology Corp. 460,000 430,224
Mobiletron Electronics Company, Ltd. * 56,000 41,080
Mustek Systems, Inc. * 28,367 3,098
Namchow Chemical Industrial Company, Ltd. * 180,000 74,862
Nien Hsing Textile Company, Ltd. 663,000 340,225
Optimax Technology Corp. * 285,000 10,629
Oriental Union Chemical Corp. 311,000 193,082
Pacific Construction Company, Ltd. * 160,000 22,311
Pan Jit International, Inc. 261,978 165,292
Phihong Technology Company, Ltd. 417,919 288,797
Phoenix Precision Technology Corp. * 1,013,997 696,459
Pou Chen Corp. 764,400 493,934
Prodisc Technology, Inc. * 762,000 11,902
Quintain Steel Company, Ltd. * 434,000 84,927
Ralec Electronic Corp. 39,292 49,825
Reward Wool Industry Corp. * 186,000 37,175
Rexon Industrial Corp., Ltd. * 80,000 22,382
Ritek Corp. * 3,913,000 1,038,422
Sampo Corp. * 1,318,000 211,068
Sanyang Industrial Company, Ltd. * 898,924 405,449
SDI Corp. 68,000 55,461
Sheng Yu Steel Company, Ltd. 169,000 119,689
Shinkong Insurance Company, Ltd. * 180,621 86,562
Shinkong Synthetic Fibers Corp. 2,012,000 524,261
Sigurd Microelectronics Corp. 376,293 205,872
Sinon Corp. 368,650 153,734
SinoPac Holdings Company, Ltd. * 9,862,000 4,028,517
Siward Crystal Technology Company, Ltd. 64,213 27,197
Solomon Technology Corp. * 78,394 31,068
Southeast Cement Company, Ltd. * 295,000 106,551
Spirox Corp. 82,068 44,325
Springsoft, Inc. 44,000 40,529
Stark Technology, Inc. 57,000 32,809
Sunplus Technology Company, Ltd. * 627,945 455,375
Ta Chen Stainless Pipe Company, Ltd. * 470,000 341,176
Ta Chong Bank, Ltd. * 3,180,000 583,453
Ta Ya Electric Wire & Cable Company, Ltd. * 965,244 209,799
Tah Hsin Industrial Company, Ltd. 217,000 148,989
TA-I Technology Company, Ltd. 117,745 91,310
Taichung Commercial Bank 1,598,112 400,388
Tainan Enterprises Company, Ltd. 194,250 144,590
Tainan Spinning Company, Ltd. * 1,725,000 652,553
Taishin Financial Holdings Company, Ltd. * 6,569,000 2,849,979
Taisun Enterprise Company, Ltd. * 361,000 128,621
Taita Chemical Company, Ltd. * 103,000 40,402
Taiwan Business Bank * 3,486,000 904,940
Taiwan Cooperative Bank 5,148,467 3,166,947
Taiwan Fu Hsing Industrial Company, Ltd. 231,000 128,477
Taiwan Glass Industrial Corp. 780,069 617,192
Taiwan Kolin Company, Ltd. * (k) 327,000 0
Taiwan Mask Corp. 479,000 173,133

The accompanying notes are an integral part of the financial statements.
134



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Taiwan (continued)    
Taiwan Paiho, Ltd. 383,200 $ 209,944
Taiwan Pulp & Paper Corp. * 394,000 122,983
Taiwan Sakura Corp. 103,006 41,097
Taiwan Styrene Monomer Corp. * 718,159 293,148
Taiyen Biotech Company, Ltd. * 335,000 206,636
Tatung Company, Ltd. * 5,377,000 1,220,789
Teapo Electronic Corp. * 205,000 28,845
Teco Electric & Machinery Company, Ltd. 2,874,000 1,247,347
Tex-Ray Industrial Company, Ltd. * 90,000 21,933
Ton Yi Industrial Corp. 664,000 238,048
Twinhead International Corp. * 224,000 33,831
TYC Brother Industrial Company, Ltd. 149,000 99,013
Tycoons Group Enterprise Company, Ltd. * 566,000 98,098
Tze Shin International Company, Ltd. * 49,693 20,082
Unimicron Technology Corp. 298,000 360,816
Union Bank of Taiwan * 842,000 160,276
Unitech Electronics Company, Ltd. 81,039 45,044
Unitech Printed Circuit Board Corp. * 609,550 216,347
United Integrated Services Company, Ltd. 192,000 94,463
United Microelectronics Corp. * 18,117,794 8,829,459
Universal Cement Corp. * 868,108 431,095
Universal Scientific Industrial Company, Ltd. 1,342,891 624,016
UPC Technology Corp. 875,374 407,394
USI Corp. * 883,000 421,723
U-Tech Media Corp. * 180,000 75,041
Ve Wong Corp. 64,050 50,536
Walsin Lihwa Corp. * 4,214,000 1,444,327
Walsin Technology Corp. * 881,064 379,711
Wan Hai Lines, Ltd. * 824,000 436,880
Waterland Financial Holding Company * 2,555,007 813,413
Wei Chih Steel Industrial Company, Ltd. * 100,000 21,862
Winbond Electronics Corp. * 4,720,000 950,581
Wintek Corp. * 1,522,000 1,108,820
WUS Printed Circuit Company, Ltd. * 555,000 173,822
Yageo Corp. 3,548,000 990,400
Yang Ming Marine Transport Corp. 2,125,709 833,143
Yi Jinn Industrial Company, Ltd. * 219,800 34,368
Yieh Phui Enterprise Company, Ltd. 1,642,733 585,747
Yosun Industrial Corp. 234,289 181,441
Yuen Foong Yu Paper Manufacturing    
Company, Ltd. * 1,620,982 555,396
Yulon Motor Company, Ltd. 1,281,827 1,469,129
Yulon Nissan Motor Company, Ltd. * 270,000 644,382
Yung Chi Paint & Varnish Manufacturing    
Company, Ltd. 63,787 80,765
Yungtay Engineering Company, Ltd. 529,000 364,516
Zig Sheng Industrial Company, Ltd. * 207,264 60,316
Zippy Technology Corp. 82,950 38,908
Zyxel Communications Corp. 194,000 131,578
 
    117,733,693
Thailand - 1.84%    
Aapico Hitech PCL * 120,600 30,141
Asia Plus Securities PCL 440,200 25,824
Bangchak Petroleum PCL 613,200 258,788
Bangkok Aviation Fuel Services PCL 139,371 32,121
Bangkok Bank PCL, Foreign Shares 145,000 533,565

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Thailand (continued)    
Bangkok Bank PCL, NVDR 1,131,100 $ 4,094,390
Bangkok Expressway PCL 436,200 241,536
Bangkok Insurance PCL 1,500 10,641
Bangkok Land PCL * 6,345,600 127,254
Bank of Ayudhya PCL, Foreign Shares 2,762,100 1,586,582
Cal-Comp Electronics Thailand PCL 1,880,300 195,853
Capital Nomura Securities PCL 25,000 15,489
CH. Karnchang PCL 427,900 80,688
Charoen Pokphand Foods PCL 4,090,900 973,441
Delta Electronics Thailand PCL 693,000 367,139
Eastern Water Resources Development &    
Management PCL 295,200 33,399
Golden Land Property PCL * 37,000 3,875
Hana Microelectronics PCL 90,000 51,452
Hemaraj Land & Development PCL 4,907,500 121,916
IRPC PCL 3,200,000 415,684
Italian-Thai Development PCL * 2,420,700 268,081
Jasmine International PCL 848,500 13,460
KGI Securities Thailand PCL 1,851,200 75,910
Kiatnakin Finance PCL 238,300 169,043
Krung Thai Bank PCL 6,088,200 1,649,153
Krungthai Card PCL 134,500 51,932
MBK PCL 46,300 87,306
Nakornthai Strip Mill PCL * 12,761,300 106,949
National Finance PCL 1,082,400 563,716
Padaeng Industry PCL 79,100 38,828
Polyplex PCL 372,400 73,566
Power Line Engineering PCL * 224,700 14,258
Pranda Jewelry PCL 214,300 33,354
Precious Shipping PCL 577,100 309,192
PTT Chemical PCL 719,500 1,577,473
Regional Container Lines PCL * 209,100 71,348
Saha-Union PCL 157,500 82,026
Sahaviriya Steel Industries PCL * 5,606,100 171,153
Sansiri PCL 965,300 127,127
SC Asset Corp. PCL 168,200 52,861
Seamico Securities PCL 416,000 28,887
Serm Suk PCL 86,700 37,608
Shin Satellite PCL * 488,500 110,391
Siam City Bank PCL 1,066,450 730,970
Sino Thai Engineering & Construction PCL * 314,900 62,207
Sri Trang Agro-Industry PCL 60,500 25,895
Supalai PCL 991,500 166,190
Tata Steel Thailand PCL * 6,083,300 364,160
Thai Oil PCL 351,000 475,389
Thai Plastic & Chemical PCL 352,400 193,024
Thai Stanley Electric PCL 9,500 30,994
Thoresen Thai Agencies PCL 367,260 285,806
Tipco Asphalt PCL * 97,100 82,830
TPI Polene PCL * 1,434,900 455,251
Vanachai Group PCL 672,300 44,672
 
    17,830,788
Turkey - 2.93%    
Adana Cimento Sanayii 141,558 58,252
Akcansa Cimento AS 84,580 343,222
Akenerji Elektrik Uretim AS 29,890 280,643

The accompanying notes are an integral part of the financial statements.
135



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Turkey (continued)    
Aksa Akrilik Kimya Sanayii AS * 170,085 $ 176,996
Aksigorta AS 231,109 829,174
Alarko Holding AS 146,982 405,714
Anadolu Cam Sanayii AS * 171,177 216,445
Anadolu Isuzu Otomotiv Sanayi AS * 6,122 26,892
Anadolu Sigorta AS 306,519 272,025
Arcelik AS * 373,263 1,085,819
Aygaz AS 179,454 704,394
Bati Cimento AS * 7,926 33,199
BatiSoke AS * 23,755 19,887
Bolu Cimento Sanayii AS 105,896 116,560
Borusan Mannesmann Boru Sanayi AS * 14,559 115,911
Brisa Bridgestone Sabanci Lastik San ve Tic    
AS 832 35,993
Cemtas Celik Makina Sanayi ve Ticaret AS 98,165 52,437
Cimsa Cimento Sanayi ve Ticaret AS 97,578 431,529
Dogan Sirketler Grubu Holdings AS * 1,541,781 1,170,497
Dogus Otomotiv Servis ve Ticaret AS * 76,312 263,085
Eczacibasi Ilac Sanayi AS 333,256 358,246
Eregli Demir ve Celik Fabrikalari * 886,472 3,846,177
Gentas Genel Metal Sanayi ve Ticaret AS * 43,807 33,478
Global Yatirim Holding AS * 380,889 223,680
Goldas Kuyumculuk Sanayi AS * 54,846 38,623
Goodyear Lastikleri 18,938 158,604
GSD Holding AS * 418,949 206,465
Gunes Sigorta AS * 118,521 153,105
Hektas Ticaret TAS * 67,687 42,027
Hurriyet Gazetecilik AS * 393,389 357,210
Ihlas Holding AS * 544,592 191,278
Izmir Demir Celik Sanayi AS * 32,233 52,209
Kardemir Karabuk Demir Celik Sanayi ve    
Ticaret AS * 371,286 208,126
KOC Holdings AS * 888,143 2,345,302
Konya Cimento Sanayii AS 708 26,963
Kordsa Global Endustriyel Iplik ve Kord Bezi    
Sanayi ve Ticaret Anonim Sirketi AS * 330,219 537,562
Marmaris Marti Otel Isletmeleri AS * 100,968 48,483
Menderes Tekstil Sanayi ve Ticaret AS * 126,375 32,457
Mutlu Aku ve Malzemeleri Sanayi AS * 28,331 34,672
Net Turizm Ticaret ve Sanayi AS * 98,338 56,485
Nortel Networks Netas Telekomunikasyon AS 15,339 443,252
Parsan Makina Parcalari Sanayii AS * 48,236 44,040
Petkim Petrokimya Holding AS * 156,307 791,954
Pinar Entegre Et ve Un Sanayi AS 36,324 90,377
Pinar Sut Mamulleri Sanayii AS 25,633 110,125
Sanko Pazarlama Ithalat Ihracat AS * 20,076 38,522
Sarkuysan Elektrolitik Bakir AS * 84,128 156,884
Sekerbank * 236,181 400,616
Tekfen Holding AS * 254,173 735,864
Tekstil Bankasi AS * 84,007 50,062
Tofas Turk Otomobil Fabrik AS 214,244 606,070
Trakya Cam Sanayi AS * 381,431 468,551
Turcas Petrolculuk AS 68,710 207,197
Turk Ekonomi Bankasi AS * 412,721 512,369
Turk Hava Yollari AS 630,000 1,645,456
Turk Sise ve Cam Fabrikalari AS * 670,291 716,975
Turkiye Is Bankasi AS 357,501 1,405,840

Emerging Markets Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Turkey (continued)    
Turkiye Sinai Kalkinma Bankasi AS * 578,347 $ 576,241
Turkiye Vakiflar Bankasi Tao * 1,365,250 3,148,047
Ulker Gida Sanayi ve Ticaret AS 110,020 266,334
Usas Ucak Servisi AS 27,986 32,098
Uzel Makina Sanayi AS * 20,846 0
Uzel Makina Sanayi AS * 2,084 0
Vestel Elektronik Sanayi ve Tracaret AS * 152,180 242,017
 
    28,278,717
United Kingdom - 0.01%    
Lukoil Oil Company, ADR 900 48,780
 
United States - 0.72%    
Grupo Aeroportuario del Centro Norte Sab de    
CV (a) 2,111 26,535
Patni Computer Systems, Ltd., SADR 3,538 65,453
Sterlite Industries India, Ltd. (a) 414,337 6,616,962
Yanzhou Coal Mining Company, Ltd. 17,719 255,508
 
    6,964,458

TOTAL COMMON STOCKS (Cost $744,886,448) $ 940,005,463

 
PREFERRED STOCKS - 3.67%    
 
Brazil - 3.67%    
Banco ABC Brasil SA * 96,300 570,755
Banco Cruzeiro do Sul SA (h) 14,000 73,888
Banco Daycoval SA * 109,400 531,068
Banco do Estado do Rio Grande do Sul SA (h) 257,800 1,586,148
Banco Industrial e Comercial SA (h) 162,700 1,065,320
Banco Panamericano SA (h) 143,300 566,211
Banco Pine SA (h) 47,200 291,203
Banco Sofisa SA * 88,400 310,867
Bardella SA Industrias Mecanicas * 916 67,733
Companhia de Ferro Ligas da Bahia (h) 9,100 66,776
Companhia de Tecidos Norte de Minas (h) 105,600 351,086
Confab Industrial SA (h) 388,636 1,213,116
Duratex SA (h) 133,100 2,107,392
Forjas Taurus SA * 12,540 54,716
Klabin SA (h) 651,700 1,545,010
Mahle-Metal Leve SA Industria e Comercio * 1,500 18,957
Marcopolo SA (h) 236,900 815,698
Metalurgica Gerdau SA (h) 332,600 5,566,488
Parana Banco SA (h) 21,400 117,775
Sao Paulo Alpargatas SA * 9,700 416,121
Saraiva SA Livreiros Editores (h) 4,500 80,216
Suzano Papel e Celulose SA * 245,200 2,588,191
Telemar Norte Leste SA, Class A (h) 65,000 2,134,991
Uniao de Industrias Petroquimicas SA, ,    
Class B (h) 984,500 644,626
Universo Online SA (h) 68,800 326,214
Usinas Siderurgicas de Minas Gerais SA,    
Class A (h) 467,600 12,328,740
 
    35,439,306

TOTAL PREFERRED STOCKS (Cost $24,051,687) $ 35,439,306


The accompanying notes are an integral part of the financial statements.
136



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Markets Value Trust (continued)  
    Shares or  
    Principal  
    Amount Value

 
RIGHTS - 0.00%      
 
India - 0.00%      
Fortis Healthcare, Ltd. (Expiration Date      
10/15/2009, Strike Price INR 110.00) *   34,768 $ 506
 
Malaysia - 0.00%      
IJM Corp. BHD (Expiration Date 10/16/2009,    
Strike Price: MYR 0.25) *   230,118 0
 
Poland - 0.00%      
Polski Koncern Miesny Duda SA (Expiration    
Date 10/20/2009, Strike Price PLN 1.10) * 84,749 11,516
 
South Africa - 0.00%      
Paladin Capital, Ltd. (Expiration Date      
10/07/2009, Strike Price ZAR 1.17) *   40,459 1,293

TOTAL RIGHTS (Cost $110,220)   $ 13,315

 
SECURITIES LENDING COLLATERAL - 7.08%    
 
United States - 7.08%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   6,840,677 68,475,176

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $68,477,842)   $ 68,475,176

 
REPURCHASE AGREEMENTS - 0.22%    
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$2,095,001 on 10/01/2009,      
collateralized by $2,055,000      
Federal Home Loan Bank, 4.50%      
due 09/13/2019 (valued at      
$2,137,200, including interest) $ 2,095,000 $ 2,095,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $2,095,000)   $ 2,095,000

Total Investments (Emerging Markets Value Trust)  
(Cost $839,621,197) - 108.23%   $ 1,046,028,260
Other assets and liabilities, net - (8.23)%     (79,504,381)

TOTAL NET ASSETS - 100.00%   $ 966,523,879
 

The portfolio had the following five top industry concentrations
as of September 30, 2009 (as a percentage of total net assets):

Banking 16.89%
Financial Services 12.11%
Steel 6.87%
Holdings Companies/Conglomerates 4.50%
Real Estate 4.12%

Emerging Small Company Trust    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS - 97.86%    
 
Basic Materials - 3.07%    
Intrepid Potash, Inc. * (a) 26,300 $ 620,417
Olin Corp. 70,745 1,233,793

Emerging Small Company Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Basic Materials (continued)    
RTI International Metals, Inc. * 39,005 $ 971,614
Steel Dynamics, Inc. 62,040 951,694
 
    3,777,518
Communications - 8.70%    
Art Technology Group, Inc. * 333,675 1,287,985
AsiaInfo Holdings, Inc. * 37,579 750,453
Blue Coat Systems, Inc. * 52,400 1,183,716
GSI Commerce, Inc. * 90,720 1,751,803
Liberty Media Corp. - Capital, Series A * 49,855 1,042,967
Rackspace Hosting, Inc. * (a) 58,301 994,615
RightNow Technologies, Inc. * 71,050 1,025,962
Starent Networks Corp. * (a) 49,320 1,253,714
Vocus, Inc. * 67,785 1,416,029
 
    10,707,244
Consumer, Cyclical - 17.20%    
Autoliv, Inc. 34,155 1,147,608
Bally Technologies, Inc. * 45,570 1,748,521
Brinker International, Inc. 49,070 771,871
Chico's FAS, Inc. * 94,190 1,224,470
Citi Trends, Inc. * 44,495 1,266,773
CKE Restaurants, Inc. 87,695 919,921
Conn's, Inc. * (a) 61,850 698,286
DTS, Inc. * 23,110 632,752
Goodyear Tire & Rubber Company * 58,840 1,002,045
Gymboree Corp. * 26,960 1,304,325
Hibbett Sports, Inc. * 37,265 679,341
Knoll, Inc. 122,905 1,281,899
Lumber Liquidators, Inc. * (a) 53,685 1,164,428
OfficeMax, Inc. * 95,195 1,197,553
Saks, Inc. * (a) 140,310 956,914
Tempur-Pedic International, Inc. * 66,420 1,257,995
Texas Roadhouse, Inc., Class A * 76,190 809,138
TiVo, Inc. * 140,465 1,455,217
Warnaco Group, Inc. * 37,375 1,639,267
 
    21,158,324
Consumer, Non-cyclical - 23.52%    
Aaron, Inc., Class B (a) 29,610 781,704
Alexion Pharmaceuticals, Inc. * 17,663 786,710
Alliance Imaging, Inc. * 145,950 826,077
Amedisys, Inc. * (a) 20,305 885,907
American Public Education, Inc. * 14,030 487,402
Capella Education Company * (a) 12,134 817,104
Diamond Foods, Inc. 33,795 1,071,977
Emergency Medical Services Corp., Class A * 23,173 1,077,544
Eurand NV * 19,664 297,713
Genoptix, Inc. * (a) 26,970 938,017
Halozyme Therapeutics, Inc. * 107,525 764,503
HMS Holdings Corp. * 25,960 992,451
Human Genome Sciences, Inc. * 48,925 920,768
ICF International, Inc. * 28,935 877,309
ICON PLC, SADR * 44,705 1,094,825
Internet Brands, Inc., Class A * 160,905 1,284,022
IPC The Hospitalist Company * 21,450 674,602
Masimo Corp. * 23,095 605,089
Momenta Pharmaceuticals, Inc. * 40,555 430,289

The accompanying notes are an integral part of the financial statements.
137



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Emerging Small Company Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Consumer, Non-cyclical (continued)    
Natus Medical, Inc. * 64,255 $ 991,455
Netflix, Inc. * (a) 23,885 1,102,770
Nuvasive, Inc. * (a) 23,520 982,195
Onyx Pharmaceuticals, Inc. * 25,554 765,853
Psychiatric Solutions, Inc. * 53,925 1,443,033
Sirona Dental Systems, Inc. * 38,740 1,152,515
Sun Healthcare Group, Inc. * 88,647 765,910
Team, Inc. * 41,635 705,713
The Geo Group, Inc. * 49,377 995,934
Thoratec Corp. * 28,365 858,609
United Natural Foods, Inc. * 38,775 927,498
United Therapeutics Corp. * (a) 15,045 737,055
Volcano Corp. * 65,030 1,093,805
Wright Medical Group, Inc. * 45,230 807,808
 
    28,944,166
Energy - 3.95%    
Carrizo Oil & Gas, Inc. * (a) 52,080 1,275,439
Goodrich Petroleum Corp. * (a) 26,965 695,967
Penn Virginia Corp. 37,650 862,562
SandRidge Energy, Inc. * (a) 77,770 1,007,899
Superior Energy Services, Inc. * 45,435 1,023,196
 
    4,865,063
Financial - 8.48%    
Affiliated Managers Group, Inc. * (a) 14,736 957,987
Artio Global Investors, Inc. * 23,444 613,061
Broadpoint Gleacher Securities, Inc. * 124,845 1,041,207
Columbia Banking System, Inc. 57,200 946,660
Corporate Office Properties Trust, REIT 27,045 997,420
IBERIABANK Corp. 17,079 778,119
Janus Capital Group, Inc. 81,140 1,150,565
LaSalle Hotel Properties, REIT 34,410 676,501
Lazard, Ltd., Class A 24,650 1,018,291
Stifel Financial Corp. * 26,153 1,435,800
Sunstone Hotel Investors, Inc., REIT 115,435 819,588
 
    10,435,199
Industrial - 11.88%    
Actuant Corp., Class A 47,960 770,238
Atlas Air Worldwide Holdings, Inc. * 29,540 944,394
Barnes Group, Inc. 72,451 1,238,187
BE Aerospace, Inc. * 68,990 1,389,459
Clean Harbors, Inc. * 16,471 926,658
Esterline Technologies Corp. * 23,950 939,079
Genco Shipping & Trading, Ltd. (a) 38,525 800,549
Genesee & Wyoming, Inc., Class A * 26,605 806,664
Greif, Inc., Class A 20,235 1,113,937
Kaydon Corp. 27,985 907,274
Mettler-Toledo International, Inc. * 10,182 922,387
Packaging Corp. of America 61,064 1,245,706
Peace Mark Holdings, Ltd. * (a) 464,000 0
Snap-on, Inc. 30,734 1,068,314
Stanley, Inc. * 33,846 870,519
UTI Worldwide, Inc. 46,310 670,569
 
    14,613,934

Emerging Small Company Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Technology - 21.06%    
3PAR, Inc. * (a) 156,220 $ 1,723,107
Atmel Corp. * 309,670 1,297,517
Blackboard, Inc. * 25,670 969,812
Commvault Systems, Inc. * 46,240 959,480
FactSet Research Systems, Inc. (a) 25,760 1,706,342
Fairchild Semiconductor International, Inc. * 139,500 1,427,085
Hittite Microwave Corp. * 25,210 927,224
JDA Software Group, Inc. * 43,835 961,740
MedAssets, Inc. * 43,235 975,814
Monolithic Power Systems, Inc. * 53,345 1,250,940
NCI, Inc. * 27,930 800,474
NCR Corp. * 84,335 1,165,510
Netezza Corp. * 137,440 1,544,826
Palm, Inc. * (a) 117,095 2,040,966
Phase Forward, Inc. * 56,100 787,644
Rosetta Stone, Inc. * (a) 46,275 1,062,474
Rovi Corp. * 23,663 795,077
Skyworks Solutions, Inc. * 92,845 1,229,268
Solera Holdings, Inc. 41,481 1,290,474
Teradyne, Inc. * (a) 163,040 1,508,120
Ultimate Software Group, Inc. * 51,645 1,483,244
 
    25,907,138

TOTAL COMMON STOCKS (Cost $100,253,681) $ 120,408,586

 
SECURITIES LENDING COLLATERAL - 16.20%  
 
Securities Lending Collateral - 16.20%    
John Hancock Collateral    
Investment Trust, 0.2762% (c)(f) 1,990,549 19,925,398

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $19,926,959) $ 19,925,398

Total Investments (Emerging Small Company Trust)  
(Cost $120,180,640) - 114.06% $ 140,333,984
Other assets and liabilities, net - (14.06)%   (17,298,178)

TOTAL NET ASSETS - 100.00% $ 123,035,806
 

Equity-Income Trust    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS - 96.39%    
 
Basic Materials - 6.08%    
Alcoa, Inc. (a) 536,800 $ 7,042,816
E.I. Du Pont de Nemours & Company 501,100 16,105,354
Eli Lilly & Company 451,200 14,903,136
International Flavors & Fragrances, Inc. 375,900 14,257,887
International Paper Company 1,054,800 23,448,204
MeadWestvaco Corp. 502,500 11,210,775
Nucor Corp. (a) 402,600 18,926,226
Weyerhaeuser Company 172,600 6,325,790
 
    112,220,188
Communications - 9.09%    
AT&T, Inc. 1,343,449 36,286,557

The accompanying notes are an integral part of the financial statements.
138



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Equity-Income Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Communications (continued)    
Cablevision Systems Corp., Class A 550,400 $ 13,072,000
CBS Corp., Class B (a) 172,350 2,076,818
Cisco Systems, Inc. * 362,500 8,533,250
eBay, Inc. * 530,100 12,515,661
McGraw-Hill Companies, Inc. 648,600 16,305,804
Qwest Communications International, Inc. (a) 2,876,300 10,958,703
Sprint Nextel Corp. * 1,218,500 4,813,075
The New York Times Company, Class A (a) 865,400 7,027,048
Time Warner, Inc. 879,100 25,300,498
Verizon Communications, Inc. 589,200 17,835,084
Vodafone Group PLC 3,500,117 7,855,737
WPP PLC, SADR 597,677 5,137,329
 
    167,717,564
Consumer, Cyclical - 9.84%    
Bed Bath & Beyond, Inc. * (a) 615,959 23,123,101
D.R. Horton, Inc. (a) 353,000 4,027,730
Genuine Parts Company 224,400 8,540,664
Harley-Davidson, Inc. (a) 404,500 9,303,500
Harman International Industries, Inc. 209,900 7,111,412
Home Depot, Inc. (a) 1,091,600 29,080,224
Macy's, Inc. 413,800 7,568,402
Marriott International, Inc., Class A (a) 487,626 13,453,601
Mattel, Inc. 683,375 12,615,103
MGM Mirage, Inc. * (a) 482,500 5,809,300
Southwest Airlines Company (a) 1,058,000 10,156,800
Tiffany & Company (a) 290,200 11,181,406
Walt Disney Company 733,300 20,136,418
Whirlpool Corp. (a) 278,700 19,497,852
 
    181,605,513
Consumer, Non-cyclical - 11.28%    
Amgen, Inc. * 200,800 12,094,184
Anheuser-Busch InBev NV 166,965 7,634,588
Avery Dennison Corp. 370,100 13,327,301
Bristol-Myers Squibb Company 671,725 15,127,247
Fortune Brands, Inc. 564,000 24,240,720
H & R Block, Inc. 165,000 3,032,700
Hershey Company 714,500 27,765,470
Johnson & Johnson 282,000 17,170,980
Kimberly-Clark Corp. 225,600 13,305,888
Kraft Foods, Inc., Class A 531,775 13,969,729
McCormick & Company, Inc. 231,300 7,850,322
Merck & Company, Inc. (a) 632,050 19,991,741
WellPoint, Inc. * 173,400 8,212,224
Wyeth 504,300 24,498,894
 
    208,221,988
Energy - 15.57%    
Anadarko Petroleum Corp. 336,700 21,121,191
BJ Services Company 292,325 5,679,875
BP PLC, SADR (a) 423,075 22,520,282
Chevron Corp. 676,900 47,674,067
ConocoPhillips Company 156,400 7,063,024
CONSOL Energy, Inc. 164,900 7,438,639
Duke Energy Corp. (a) 802,500 12,631,350
Entergy Corp. 180,500 14,414,730
Exxon Mobil Corp. 676,900 46,442,109

Equity-Income Trust (continued)    
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Energy (continued)    
Murphy Oil Corp. 420,900 $ 24,231,213
Royal Dutch Shell PLC, ADR (a) 643,700 36,813,203
Schlumberger, Ltd. 364,700 21,736,120
Spectra Energy Corp. 393,150 7,446,261
Sunoco, Inc. 321,800 9,155,210
Williams Companies, Inc. 167,900 3,000,373
 
    287,367,647
Financial - 21.11%    
Allied Irish Banks PLC - London Exchange * 18,097 85,053
Allied Irish Banks PLC, SADR * 319,500 3,009,690
American Express Company 1,063,600 36,056,040
Bank of America Corp. 2,828,493 47,858,102
Bank of New York Mellon Corp. 783,700 22,719,463
Capital One Financial Corp. 387,175 13,833,763
Chubb Corp. 167,900 8,463,839
Federal National Mortgage Association * (a) 449,759 683,634
Goldman Sachs Group, Inc. 89,100 16,425,585
JPMorgan Chase & Company 1,619,775 70,978,540
KeyCorp 1,057,300 6,872,450
Legg Mason, Inc. (a) 212,802 6,603,246
Lincoln National Corp. 568,900 14,740,199
Marsh & McLennan Companies, Inc. 902,500 22,318,825
Marshall & Ilsley Corp. 394,800 3,186,036
NYSE Euronext 223,900 6,468,471
Progressive Corp. * 520,300 8,626,574
SLM Corp. * 1,069,000 9,321,680
SunTrust Banks, Inc. 620,400 13,990,020
The Travelers Companies, Inc. 201,500 9,919,845
U.S. Bancorp 1,271,600 27,797,176
UBS AG - Swiss Exchange * 444,200 8,141,455
UBS AG * 7,350 134,578
Wells Fargo & Company (a) 1,119,500 31,547,510
 
    389,781,774
Industrial - 13.16%    
3M Company 419,800 30,981,240
Black & Decker Corp. 144,500 6,688,905
Boeing Company (a) 366,600 19,851,390
Cooper Industries PLC 290,200 10,902,814
Deere & Company 391,800 16,816,056
Eaton Corp. 115,600 6,541,804
General Electric Company 2,989,400 49,085,948
Honeywell International, Inc. 375,700 13,957,255
Illinois Tool Works, Inc. 564,000 24,088,440
Lockheed Martin Corp. 112,000 8,744,960
Masco Corp. 881,900 11,394,148
Pall Corp. 86,600 2,795,448
United Parcel Service, Inc., Class B (a) 328,100 18,527,807
USG Corp. * (a) 363,000 6,236,340
Vulcan Materials Company (a) 301,900 16,323,733
 
    242,936,288
Technology - 5.35%    
Accenture PLC 115,000 4,286,050
Analog Devices, Inc. 587,800 16,211,524
Applied Materials, Inc. 491,400 6,584,760
Computer Sciences Corp. * 335,824 17,701,283

The accompanying notes are an integral part of the financial statements.
139



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued (showing percentage of total net assets)

Equity-Income Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS (continued)      
 
Technology (continued)      
Dell, Inc. *   725,125 $ 11,065,408
Electronic Arts, Inc. *   251,800 4,796,790
Intel Corp.   566,700 11,090,319
Microsoft Corp.   1,043,525 27,016,862
 
      98,752,996
Utilities - 4.91%      
CenterPoint Energy, Inc.   224,400 2,789,292
Constellation Energy Group, Inc.   288,900 9,351,693
FirstEnergy Corp.   172,300 7,877,556
NiSource, Inc.   994,900 13,819,161
NRG Energy, Inc. *   145,900 4,112,921
PG&E Corp.   290,300 11,754,247
Pinnacle West Capital Corp.   290,200 9,524,364
Progress Energy, Inc.   373,900 14,604,534
Teco Energy, Inc. (a)   250,300 3,524,224
Xcel Energy, Inc.   693,800 13,348,712
 
      90,706,704

 
TOTAL COMMON STOCKS (Cost $1,773,858,462) $ 1,779,310,662

 
CONVERTIBLE BONDS - 0.52%      
 
Consumer, Cyclical - 0.52%      
Ford Motor Company      
4.25% due 12/15/2036   9,445,000 9,574,869

TOTAL CONVERTIBLE BONDS (Cost $5,210,524) $ 9,574,869

 
SECURITIES LENDING COLLATERAL - 13.81%  
 
Securities Lending Collateral - 13.81%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   25,462,755 254,882,175

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $254,896,470)   $ 254,882,175

 
SHORT TERM INVESTMENTS - 2.94%      
T. Rowe Price Reserve Investment      
Fund, 0.3011% $ 54,235,541 $ 54,235,541

TOTAL SHORT TERM INVESTMENTS      
(Cost $54,235,541)   $ 54,235,541

 
REPURCHASE AGREEMENTS - 0.05%      
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$982,000 on 10/01/2009,      
collateralized by $965,000 Federal      
Home Loan Bank, 4.50% due      
09/13/2019 (valued at $1,003,600,      
including interest) $ 982,000 $ 982,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $982,000)   $ 982,000

Total Investments (Equity-Income Trust)      
(Cost $2,089,182,997) - 113.71%   $ 2,098,985,247
Other assets and liabilities, net - (13.71)%     (253,048,356)
 
TOTAL NET ASSETS - 100.00%   $ 1,845,936,891
 

Financial Services Trust      
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS - 98.50%      
 
Consumer, Non-cyclical - 8.50%      
Companhia Brasileira de Meios de Pagamento 29,700 $ 294,720
Dun & Bradstreet Corp.   36,600 2,756,712
H & R Block, Inc.   60,000 1,102,800
Moody's Corp.   130,800 2,676,168
Visa, Inc. (a)   27,100 1,872,881
 
      8,703,281
Energy - 5.33%      
Canadian Natural Resources, Ltd.   81,300 5,462,547
 
Financial - 82.13%      
ACE, Ltd.   30,100 1,609,146
American Express Company   284,100 9,630,990
Ameriprise Financial, Inc.   58,440 2,123,125
Bank of America Corp.   19,499 329,923
Bank of New York Mellon Corp.   153,500 4,449,965
Brookfield Asset Management, Inc.   117,700 2,672,967
Charles Schwab Corp.   21,700 415,555
China Life Insurance Company, Ltd., SADR (a) 44,864 2,948,013
Everest Re Group, Ltd.   34,000 2,981,800
FPIC Insurance Group, Inc. *   29,734 997,576
Goldman Sachs Group, Inc.   23,670 4,363,565
ICICI Bank, Ltd., SADR   22,600 871,456
JPMorgan Chase & Company   23,648 1,036,255
Julius Baer Holding AG   115,800 5,797,777
Loews Corp.   217,600 7,452,800
Markel Corp. *   11,800 3,891,876
Oaktree Capital Group LLC *   164,700 4,941,000
Progressive Corp. *   187,300 3,105,434
RHJ International *   77,325 564,703
State Bank of India, GDR   73,118 6,665,442
T. Rowe Price Group, Inc.   7,300 333,610
The First Marblehead Corp. *   232,000 510,400
Transatlantic Holdings, Inc.   205,418 10,305,821
Wells Fargo & Company (a)   217,400 6,126,332
 
      84,125,531
Industrial - 2.54%      
Sealed Air Corp.   132,300 2,597,049

TOTAL COMMON STOCKS (Cost $101,578,306) $ 100,888,408

 
SECURITIES LENDING COLLATERAL - 8.86%    
 
Securities Lending Collateral - 8.86%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   906,438 9,073,444

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $9,073,361)   $ 9,073,444

 
SHORT TERM INVESTMENTS - 1.46%    
Societe Generale North America, Inc.      
0.04% due 10/01/2009 $ 1,497,000 $ 1,497,000

TOTAL SHORT TERM INVESTMENTS      
(Cost $1,497,000)   $ 1,497,000

Total Investments (Financial Services Trust)    
(Cost $112,148,667) - 108.82%   $ 111,458,852
Other assets and liabilities, net - (8.82)%     (9,030,153)
 
TOTAL NET ASSETS - 100.00%   $ 102,428,699
 

The accompanying notes are an integral part of the financial statements.
140



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Floating Rate Income Trust      
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS - 9.69%      
 
Basic Materials - 1.56%      
Georgia-Pacific LLC      
8.25% due 05/01/2016 (g) $ 2,500,000 $ 2,593,750
NewPage Corp.      
11.375% due 12/31/2014 (g)   5,500,000 5,403,750
Teck Resources, Ltd.      
9.75% due 05/15/2014   3,700,000 4,070,000
 
      12,067,500
 
Communications - 1.67%      
CC Holdings GS V LLC      
7.75% due 05/01/2017 (g)   3,000,000 3,105,000
iPCS, Inc.      
2.6081% due 05/01/2013 (b)(g)   5,500,000 4,647,500
Sprint Capital Corp.      
7.625% due 01/30/2011   5,000,000 5,118,750
 
      12,871,250
 
Consumer, Cyclical - 1.83%      
Blockbuster, Inc.      
11.75% due 10/01/2014 (g)   2,000,000 1,910,000
Continental Airlines, Inc., Series 01-1      
6.503% due 12/15/2012   375,000 358,125
Continental Airlines, Inc., Series 974A      
6.90% due 01/02/2018   1,175,751 1,093,448
Continental Airlines, Inc., Series 981A      
6.648% due 09/15/2017   260,999 245,339
Continental Airlines, Inc., Series 991A      
6.545% due 02/02/2019   1,582,441 1,495,407
Harrahs Operating Escrow LLC      
11.25% due 06/01/2017 (g)   1,500,000 1,541,250
MGM Mirage, Inc.      
10.375% due 05/15/2014 (g)   2,250,000 2,401,875
Neiman Marcus Group, Inc., PIK      
9.00% due 10/15/2015 (g)   1,259,212 1,076,626
Station Casinos, Inc.      
7.75% due 08/15/2016 ^   2,550,000 765,000
WMG Acquisition Corp.      
9.50% due 06/15/2016 (g)   3,075,000 3,244,125
 
      14,131,195
 
Consumer, Non-cyclical - 0.03%      
Dole Food Company, Inc.      
13.875% due 03/15/2014 (g)   190,000 222,775
 
Energy - 1.79%      
Basic Energy Services, Inc.      
11.625% due 08/01/2014 (g)   2,390,000 2,533,400
Chesapeake Energy Corp.      
7.625% due 07/15/2013   8,795,000 8,740,031
Hess Corp.      
8.125% due 02/15/2019   2,100,000 2,522,827
 
      13,796,258
 
Financial - 1.05%      
Ford Motor Credit Company LLC      
12.00% due 05/15/2015   5,400,000 5,950,400
Forest City Enterprises, Inc.      
7.625% due 06/01/2015   1,470,000 1,190,700

Floating Rate Income Trust (continued)  
    Shares or  
    Principal  
    Amount Value

 
CORPORATE BONDS (continued)      
 
Financial (continued)      
GMAC LLC      
7.75% due 01/19/2010 (g) $ 1,000,000 $ 998,750
 
      8,139,850
Industrial - 1.67%      
Grupo Transportacion Ferroviaria Mexicana,    
SA de CV      
9.375% due 05/01/2012   3,250,000 3,298,750
Nortek, Inc.      
10.00% due 12/01/2013 (g)   2,500,000 2,550,000
RailAmerica, Inc.      
9.25% due 07/01/2017 (g)   6,750,000 7,070,625
 
      12,919,375
 
Technology - 0.09%      
Freescale Semiconductor, Inc.      
10.125% due 12/15/2016   1,005,000 668,325

TOTAL CORPORATE BONDS (Cost $70,829,174) $ 74,816,528

 
COMMON STOCKS - 0.02%      
 
Basic Materials - 0.02%      
Georgia Gulf Corp. *   5,276 158,280

TOTAL COMMON STOCKS (Cost $83,677) $ 158,280

 
PREFERRED STOCKS - 0.42%      
 
Basic Materials - 0.42%      
Georgia Gulf Corp.   118,241 3,281,188

TOTAL PREFERRED STOCKS (Cost $1,913,396) $ 3,281,188

 
TERM LOANS - 87.00%      
 
Basic Materials - 9.28%      
Ashland, Inc.      
7.65% due 11/20/2013 (b)   2,047,137 2,088,505
Berry Plastics Holding Company      
2.30% due 04/03/2015 (b)   7,890,166 6,953,209
Brenntag, Term Loan B      
2.287% due 12/23/2013 (b)   2,444,618 2,328,498
Georgia Gulf Corp., Term Loan B      
0.00% due 09/01/2013 (l)   1,500,000 1,469,160
Georgia Pacific LLC, Tranche B1      
2.316% due 12/23/2013 (b)   11,350,988 10,904,042
Georgia Pacific LLC, Tranche B2      
2.369% due 12/20/2012 (b)   2,222,384 2,134,878
Graham Packaging Company, Inc., Tranche C    
6.75% due 04/05/2014 (b)   6,632,767 6,623,441
Graphic Packaging, Inc., Tranche B      
2.526% due 05/03/2014 (b)   6,119,776 5,874,985
Graphic Packaging, Inc., Tranche C      
3.265% due 05/16/2014 (b)   5,171,250 5,018,269
Lyondell Chemical Company      
3.746% due 12/20/2014 (b)   11,608,578 7,598,778
5.799% due 12/15/2009 (b)   6,282,700 6,094,219
9.168% due 12/15/2009 (b)   4,289,039 4,458,456
Nalco Company      
6.50% due 05/06/2016 (b)   3,990,000 4,054,838

The accompanying notes are an integral part of the financial statements.
141



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Floating Rate Income Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
TERM LOANS (continued)      
 
Basic Materials (continued)      
Norada Aluminum, Inc., Term Loan B      
2.246% due 05/18/2014 (b) $ 7,544,273 $ 6,035,418
 
      71,636,696
 
Communications - 15.92%      
Cablevision Systems Corp., Tranche B      
2.049% due 03/30/2013 (b)   2,555,301 2,448,298
Charter Communications, Inc., Tranche B      
6.25% due 03/15/2014 (b)   17,711,094 16,869,817
Charter Communications, Inc., Tranche B2      
9.25% due 03/06/2014 (b)   3,514,256 3,535,342
Citadel Broadcasting Corp., Tranche A      
1.931% due 06/12/2013 (b)   500,000 320,833
Citadel Broadcasting Corp., Tranche B      
2.164% due 06/12/2014 (b)   8,775,000 5,664,263
CMP Susquehanna Corp.      
2.25% due 06/07/2013 (b)   1,403,795 949,902
Dex Media West LLC, Tranche B      
7.00% due 10/13/2014 (b)   7,306,543 6,221,521
Direct TV Holdings, Inc., Tranche C      
5.25% due 04/13/2013 (b)   4,920,113 4,918,544
Idearc, Inc., Tranche B      
6.25% due 11/01/2014 (b)   8,159,373 3,454,132
Insight Midwest Holdings LLC, Tranche B      
2.26% due 04/10/2014 (b)   3,250,000 3,086,340
Level 3 Communications, Inc., Tranche B      
2.683% due 03/01/2014 (b)   5,500,000 4,851,000
Lodgenet Entertainment Corp., Tranche B      
2.290% due 04/04/2014 (b)   4,926,202 4,347,373
Metropcs Wireless, Inc. Tranche B      
2.661% due 02/20/2014 (b)   4,672,412 4,451,173
Newsday LLC      
9.75% due 07/15/2013 (b)   7,022,000 7,294,102
Nielsen Finance, Tranche B      
2.249% due 08/15/2013 (b)   5,643,050 5,203,699
Panamsat Corp., Tranche B      
2.753% due 06/30/2013 (b)   14,070,691 13,349,568
Quebecor World, Inc., Tranche B      
2.509% due 01/17/2013 (b)   2,382,959 2,251,896
Qwest Corp., Term Loan B      
6.95% due 06/30/2010 (b)   5,500,000 5,506,875
Telesat Canada, Tranche D Delayed Draw      
3.25% due 10/15/2014 (b)   6,320,327 6,066,382
Tribune Company      
5.00% due 06/04/2010 (b)   2,462,857 1,199,616
Univision Communications, Inc., Tranche B      
2.533% due 09/15/2014 (b)   16,375,000 13,819,812
UPC Broadband Holding NV      
2.011% due 03/30/2014 (b)   3,565,583 3,333,820
3.761% due 10/17/2013 (b)   1,934,417 1,858,975
Virgin Media Tranche B4      
2.457% due 01/15/2014 (b)   1,958,787 1,843,708
 
      122,846,991
 
Consumer, Cyclical - 34.08%      
AMC Entertainment, Inc., Term Loan B      
1.746% due 01/26/2013 (b)   2,227,501 2,112,943
Amscan Holdings, Inc., Tranche B      
2.652% due 05/01/2013 (b)   7,587,663 6,705,597

Floating Rate Income Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
TERM LOANS (continued)      
 
Consumer, Cyclical (continued)      
Aramark Corp.      
2.336% due 01/31/2014 (b) $ 9,342,961 $ 8,697,652
Bolthouse Farms, Inc., Tranche B      
2.563% due 12/16/2012 (b)   4,898,322 4,772,803
Carmike Cinemas, Inc., Term Loan      
3.54% due 05/19/2012 (b)   4,895,246 4,665,781
4.24% due 05/19/2012 (b)   3,536,045 3,370,293
CCM Merger, Inc., Tranche B      
8.50% due 07/21/2012 (b)   7,599,652 7,086,676
Cedar Fair LP, Tranche B      
2.246% due 06/13/2012 (b)   3,996,096 3,832,508
Cinemark, Inc., Tranche C      
2.082% due 03/31/2011 (b)   2,497,420 2,399,084
Community Health Systems, Inc., Tranche B    
2.496% due 07/02/2014 (b)   14,575,332 13,678,949
DaVita, Inc.      
1.813% due 03/15/2014 (b)   5,158,044 4,967,842
Delta Air Lines, Inc.      
0.00% due 09/16/2013 (l)   1,000,000 980,000
Delta Air Lines, Inc., Tranche A      
2.251% due 04/30/2012 (b)   4,885,152 4,445,488
Dole Food Company, Inc., Letter of Credit      
7.495% due 04/12/2013 (b)   4,349,406 4,396,271
Dollar General Corp., Tranche B      
3.116% due 07/15/2014 (b)   4,987,500 4,859,980
Dubai Aerospace Enterprise, Term Loan Strip    
4.24% due 07/31/2014 (b)   8,802,514 7,878,250
Education Management, Tranche C      
2.063% due 06/12/2013 (b)   3,543,093 3,362,494
First Data Corp., Tranche B2      
3.035% due 10/15/2014 (b)   17,952,981 15,414,429
General Nutrition Center, Tranche B      
2.668% due 09/06/2013 (b)   7,165,207 6,591,991
Golden Nugget, Inc., Tranche B      
2.265% due 06/14/2014 (b)   3,744,886 2,434,176
Hanes Brands, Inc., Tranche B      
5.254% due 10/15/2013 (b)   2,045,196 2,047,752
Harrahs Operating Company, Inc.      
0.00% due 10/31/2016 (l)   8,000,000 7,898,720
Harrahs Operating Company, Inc., Tranche B2    
3.504% due 02/28/2015 (b)   13,918,101 11,224,948
Hawker Beechcraft Corp., Inc., Tranche B      
2.283% due 03/26/2014 (b)   7,289,961 5,539,869
HCA, Inc., Tranche A      
1.783% due 11/16/2012 (b)   3,985,204 3,725,169
HCA, Inc., Tranche B      
2.533% due 11/01/2013 (b)   12,517,288 11,792,850
Health Management Associates, Inc., Tranche B    
2.033% due 01/16/2014 (b)   6,547,474 6,135,801
HVHC, Inc., Tranche B      
2.54% due 08/15/2013 (b)   2,770,322 2,645,657
Iasis Healthcare Corp., Tranche B      
2.246% due 05/01/2014 (b)   7,284,683 6,847,602
Iconix, Inc., Tranche B      
2.50% due 05/01/2014 (b)   2,502,127 2,402,042
Las Vegas Sands LLC, Tranche B      
2.04% due 05/08/2014 (b)   12,878,629 10,700,531
Manor Care, Tranche B      
2.746% due 11/15/2014 (b)   5,396,485 5,036,717

The accompanying notes are an integral part of the financial statements.
142



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Floating Rate Income Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
TERM LOANS (continued)      
 
Consumer, Cyclical (continued)      
Metro-Goldwyn-Mayer, Inc., Term Loan B      
5.50% due 04/08/2011 (b) $ 7,188,560 $ 4,045,362
Michaels Stores, Inc., Tranche B      
2.538% due 10/31/2013 (b)   10,900,851 9,724,464
National Cinemedia LLC, Tranche B      
2.05% due 02/01/2015 (b)   1,000,000 944,000
Neiman Marcus Group, Inc., Tranche B      
2.295% due 03/13/2013 (b)   10,444,036 9,007,981
Novelis, Inc., Term Loan      
2.25% due 07/06/2014 (b)   2,949,466 2,695,603
Penn National Gaming, Inc., Term Loan B      
2.014% due 10/03/2012 (b)   2,704,510 2,613,233
Petco Animal Supplies, Inc., Tranche B      
2.565% due 11/15/2013 (b)   4,413,978 4,257,648
Pharmaceutical Health Technologies, Tranche B    
2.496% due 04/15/2014 (b)   5,170,655 4,532,079
QUIZNO'S Corp.      
2.563% due 05/05/2012 (b)   1,969,543 1,455,821
Regal Cinemas, Tranche B      
4.033% due 10/19/2010 (b)   1,291,086 1,282,816
Royalty Pharma, Tranche B      
2.533% due 05/15/2014 (b)   1,824,422 1,782,804
Sally Holdings LLC, Tranche B      
2.551% due 11/15/2013 (b)   6,841,882 6,489,101
SugarHouse Gaming      
11.25% due 09/15/2016 (b)   2,000,000 1,960,000
Transdigm, Term Loan B      
2.289% due 07/01/2012 (b)   6,505,000 6,271,906
Tropicana Entertainment, Tranche B      
6.50% due 12/15/2011 (b)   4,000,000 1,200,000
United Air Lines, Inc., Tranche B      
2.25% due 01/12/2014 (b)   8,760,041 6,460,531
Vanguard Health Holdings, Tranche B      
2.496% due 05/18/2011 (b)   2,528,716 2,467,079
Venetian Macau, Tranche B      
5.79% due 04/01/2013 (b)   2,641,725 2,516,655
Venetian Macau, Tranche Delayed Draw      
5.79% due 04/01/2013 (b)   343,275 327,023
Wrigley WM Jr. Company, Term Loan B      
6.50% due 09/30/2014 (b)   4,283,125 4,345,230
 
      263,030,201
 
Consumer, Non-cyclical - 12.29%      
Adesa, Inc., Tranche B      
2.50% due 09/22/2013 (b)   3,347,693 3,205,416
Affinion Group, Tranche B      
2.746% due 10/17/2012 (b)   5,941,374 5,682,924
Allison Transmission, Inc., Tranche B      
3.00% due 08/07/2014 (b)   8,670,820 7,548,434
Asurion Corp. Tranche B      
3.25% due 07/02/2014 (b)   5,000,000 4,764,845
Bausch & Lomb, Inc., Tranche B      
3.515% due 04/11/2015 (b)   5,804,651 5,535,350
Biomet, Inc., Tranche B      
3.281% due 03/25/2015 (b)   9,343,878 8,986,671
Fenwal, Inc.      
2.622% due 03/01/2014 (b)   8,904,986 7,687,968
Ford Motor Company, Tranche B      
3.494% due 11/29/2013 (b)   14,852,182 13,152,142

Floating Rate Income Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
TERM LOANS (continued)      
 
Consumer, Non-cyclical (continued)      
Hanger Orthopedic Group, Inc., Tranche B      
2.25% due 07/15/2014 (b) $ 2,970,972 $ 2,803,855
Hertz Corp.      
0.292% due 01/21/2012 (b)   7,813,650 7,344,831
Sensata Technologies, Term Loan B      
2.246% due 04/27/2013 (b)   5,919,778 5,050,311
Thomson Learning, Tranche B      
3.343% due 07/05/2014 (b)   7,647,540 6,878,963
Ticketmaster, Term Loan      
3.55% due 08/01/2014 (b)   3,000,000 2,910,000
US Investigations Services, Inc., Tranche B      
3.292% due 02/21/2015 (b)   8,020,403 7,450,954
Visteon, Tranche B      
5.25% due 06/20/2013 (b)   5,500,000 4,441,250
West Corp., Tranche B      
2.623% due 10/01/2013 (b)   1,473,552 1,388,297
 
      94,832,211
 
Energy - 8.25%      
Ashmore Energy International, Tranche B      
3.246% due 05/30/2014 (b)   7,432,214 6,698,283
Brand Energy Services, Tranche B      
2.317% due 02/07/2014 (b)   6,410,604 5,793,583
Dynegy Holdings, Inc.      
4.00% due 04/02/2013 (b)   3,320,375 3,188,599
Energy Future Holdings Corp., Tranche B3      
3.754% due 10/10/2014 (b)   19,542,277 15,345,573
Express Energy Service, Term Loan      
9.50% due 07/02/2013 (b)   3,769,869 1,470,249
Hercules Offshore LLC, Tranche B      
8.50% due 07/11/2013 (b)   5,300,782 5,168,263
NRG Energy, Inc.      
2.177% due 02/01/2013 (b)   1,500,000 1,421,406
NRG Energy, Inc., Tranche B      
0.183% due 02/01/2013 (b)   1,347,945 1,277,318
2.022% due 02/01/2013 (b)   7,527,055 7,132,667
TXU Energy, Tranche B2      
3.754% due 10/10/2014 (b)   12,411,327 9,795,640
Venoco, Inc.      
4.25% due 05/01/2014 (b)   7,472,428 6,351,563
 
      63,643,144
 
Financial - 2.13%      
Chrysler Financial, Tranche B      
4.25% due 08/03/2012 (b)   3,479,715 3,332,697
CIT Group, Inc.      
0.00% due 01/18/2012 (l)   5,000,000 5,125,000
Realogy Corp.      
0.00% due 09/01/2014 (l)   3,500,000 2,969,998
Realogy Corp., 2nd Lien Fixed Rate Term Loan A    
13.50% due 10/15/2017   5,000,000 5,000,000
 
      16,427,695
 
Industrial - 2.26%      
Sunguard Homes      
4.079% due 02/28/2016   12,167,509 11,797,410
Sunguard Homes, Tranche B      
2.004% due 08/15/2012 (b)   437,012 409,153

The accompanying notes are an integral part of the financial statements.
143



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Floating Rate Income Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
TERM LOANS (continued)      
 
Industrial (continued)      
Swift Transport, Term Loan B      
3.563% due 05/15/2014 (b) $ 5,742,293 $ 5,208,736
 
      17,415,299
 
Technology - 1.10%      
CGG, Tranche B      
4.309% due 01/30/2014 (b)   1,990,435 1,940,674
Freescale Semiconductor, Inc.      
12.50% due 12/15/2014 (b)   2,992,481 2,999,963
Freescale Semiconductor, Inc., Tranche B      
2.011% due 12/01/2013 (b)   4,885,388 3,590,760
 
      8,531,397
 
Utilities - 1.69%      
Calpine Corp.,Tranche B      
3.165% due 03/29/2014 (b)   14,325,285 13,027,056

TOTAL TERM LOANS (Cost $636,868,059)   $ 671,390,690

 
REPURCHASE AGREEMENTS - 5.67%      
Deutsche Bank Tri-Party Repurchase      
Agreement dated 09/30/2009 at      
0.05% to be repurchased at      
$26,200,036 on 10/01/2009,      
collateralized by $26,755,000      
Federal Home Loan Mortgage      
Corp., 0.00% due 03/08/2010      
(valued at $26,723,991, including      
interest) $ 26,200,000 $ 26,200,000
Repurchase Agreement with State Street      
Corp. dated 09/30/2009 at 0.01% to be      
repurchased at $17,536,005 on      
10/01/2009, collateralized by $17,890,000      
Federal National Mortgage Association,      
0.00% due 11/25/2009 (valued at      
$17,890,000, including interest)   17,536,000 17,536,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $43,736,000)   $ 43,736,000

Total Investments (Floating Rate Income Trust)    
(Cost $753,430,306) - 102.80%   $ 793,382,686
Other assets and liabilities, net - (2.80)%     (21,627,725)
 
TOTAL NET ASSETS - 100.00%   $ 771,754,961
 
 
 
 
Franklin Templeton Founding Allocation Trust
    Shares or  
    Principal  
    Amount Value
 
 
INVESTMENT COMPANIES - 100.01%      
JOHN HANCOCK TRUST      
Global (Templeton) (j)   34,506,953 $ 461,012,898
Income (Templeton) (j)   44,859,040 455,319,252

Franklin Templeton Founding Allocation Trust
(continued)      
  Shares or    
  Principal    
  Amount   Value
 
 
INVESTMENT COMPANIES (continued)      
JOHN HANCOCK TRUST      
Mutual Shares (Templeton) (j) 52,907,561 460,295,779

TOTAL INVESTMENT COMPANIES (Cost $1,684,933,920) $ 1,376,627,929

Total Investments (Franklin Templeton Founding Allocation $ 1,376,627,929
Trust) (Cost $1,684,933,920) - 100.01%      
Other assets and liabilities, net - (0.01)%     (106,011)
 
TOTAL NET ASSETS - 100.00%   $ 1,376,521,918
 
 
 
Fundamental Value Trust      
  Shares or    
  Principal    
  Amount   Value
 
 
COMMON STOCKS - 95.22%      
 
Basic Materials - 2.42%      
BHP Billiton PLC 289,520 7,956,584
Monsanto Company 111,790   8,652,546
Potash Corp. of Saskatchewan, Inc. 40,291   3,639,889
Rio Tinto PLC 157,334   6,751,391
Sino-Forest Corp. * 976,820   15,428,036
 
      42,428,446
Communications - 5.09%      
Amazon.com, Inc. * 90,621   8,460,376
Comcast Corp., Class A 868,134   13,959,595
Google, Inc., Class A * 49,130   24,361,110
Grupo Televisa SA, SADR 386,720   7,189,125
Liberty Media Corp. - Entertainment, Series A * 299,260   9,309,979
Liberty Media Corp. - Interactive A * 372,945   4,091,207
News Corp., Class A 1,838,270   22,040,857
 
      89,412,249
Consumer, Cyclical - 10.62%      
Bed Bath & Beyond, Inc. * 578,030   21,699,246
CarMax, Inc. * (a) 535,468   11,191,281
Costco Wholesale Corp. 1,302,031   73,512,670
CVS Caremark Corp. 1,165,797   41,665,585
Harley-Davidson, Inc. (a) 742,878   17,086,194
Hunter Douglas NV 68,688   2,770,392
PACCAR, Inc. 142,070   5,357,460
Walt Disney Company 474,900   13,040,754
 
      186,323,582
Consumer, Non-cyclical - 18.51%      
Becton, Dickinson & Company 210,400   14,675,400
Cardinal Health, Inc. 346,628   9,289,630
CareFusion Corp. * 173,314   3,778,245
Cosco Pacific, Ltd. 3,003,266   4,281,062
Diageo PLC, SADR 381,002   23,427,813
Dun & Bradstreet Corp. 82,305   6,199,213
Express Scripts, Inc. * 270,250   20,965,995
H & R Block, Inc. 573,802   10,546,481
Heineken Holding NV 491,110   20,027,086
Hershey Company 111,757   4,342,877
Iron Mountain, Inc. * 1,158,311   30,880,571

The accompanying notes are an integral part of the financial statements.
144



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Fundamental Value Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Consumer, Non-cyclical (continued)    
Johnson & Johnson 501,920 $ 30,561,909
Laboratory Corp. of America Holdings * 86,400 5,676,480
Merck & Company, Inc. (a) 489,000 15,467,070
Moody's Corp. (a) 491,259 10,051,159
Natura Cosmeticos SA 110,700 1,996,424
Pfizer, Inc. (a) 867,900 14,363,745
Philip Morris International, Inc. 322,737 15,730,201
Procter & Gamble Company 429,140 24,855,789
Schering-Plough Corp. 1,116,280 31,534,910
The Coca-Cola Company 168,600 9,053,820
UnitedHealth Group, Inc. 512,045 12,821,607
Visa, Inc. 62,530 4,321,448
 
    324,848,935
Diversified - 0.96%    
China Merchants Holdings International    
Company, Ltd. 5,114,364 16,831,389
 
Energy - 15.58%    
Canadian Natural Resources, Ltd. 607,755 40,835,059
China Coal Energy Company, Series H 8,825,500 11,522,180
ConocoPhillips Company 217,686 9,830,700
Devon Energy Corp. 786,161 52,932,220
EOG Resources, Inc. 659,742 55,095,054
Occidental Petroleum Corp. 1,030,738 80,809,859
OGX Petroleo e Gas Participacoes SA 9,200 7,036,525
Transocean, Ltd. * 179,372 15,341,687
 
    273,403,284
Financial - 29.15%    
American Express Company 1,791,469 60,730,799
American International Group, Inc. * (a) 44,015 1,941,502
Ameriprise Financial, Inc. 359,137 13,047,447
Bank of New York Mellon Corp. 1,055,702 30,604,801
Berkshire Hathaway, Inc., Class A * 867 87,567,000
Brookfield Asset Management, Inc. 384,280 8,726,999
Fairfax Financial Holdings, Ltd. 17,900 6,636,067
Goldman Sachs Group, Inc. 63,200 11,650,920
Hang Lung Group, Ltd. 2,179,100 10,815,201
Hartford Financial Services Group, Inc. 330,620 8,761,430
JPMorgan Chase & Company 1,151,808 50,472,226
Julius Baer Holding AG 775,600 38,832,091
Loews Corp. 1,289,627 44,169,725
Markel Corp. * 4,723 1,557,740
NIPPONKOA Insurance Company, Ltd. 94,600 588,073
Principal Financial Group, Inc. 141,528 3,876,452
Progressive Corp. * 2,173,284 36,033,049
Sun Life Financial, Inc. 92,409 2,886,857
Transatlantic Holdings, Inc. 341,559 17,136,015
Wells Fargo & Company 2,680,126 75,525,951
 
    511,560,345
Industrial - 5.83%    
ABB, Ltd., SADR * 392,590 7,867,504
China Shipping Development Company, Ltd.,    
Class H 3,821,300 4,751,867
Garmin, Ltd. (a) 99,400 3,751,356
Kuehne & Nagel International AG 108,625 9,456,544
LLX Logistica SA * 82,400 301,395

Fundamental Value Trust (continued)  
    Shares or  
    Principal  
    Amount Value

 
COMMON STOCKS (continued)      
 
Industrial (continued)      
Martin Marietta Materials, Inc. (a)   103,421 $ 9,521,971
Sealed Air Corp.   1,702,575 33,421,547
Tyco International, Ltd.   387,944 13,376,309
United Parcel Service, Inc., Class B   160,138 9,042,993
Vulcan Materials Company (a)   199,610 10,792,913
 
      102,284,399
Technology - 6.82%      
Activision Blizzard, Inc. *   718,100 8,897,259
Agilent Technologies, Inc. *   762,380 21,217,035
Hewlett-Packard Company   547,066 25,826,986
Microsoft Corp.   1,178,654 30,515,352
Texas Instruments, Inc.   1,405,510 33,296,532
 
      119,753,164
Utilities - 0.24%      
AES Corp. *   280,820 4,161,752

TOTAL COMMON STOCKS (Cost $1,697,198,135) $ 1,671,007,545

 
CONVERTIBLE BONDS - 0.42%      
 
Basic Materials - 0.20%      
Sino-Forest Corp.      
5.00% due 08/01/2013 (g)   3,244,100 3,491,463
 
Communications - 0.22%      
Level 3 Communications, Inc.      
10.00% due 05/01/2011   2,000,000 1,975,000
15.00% due 01/15/2013   1,600,000 1,890,000
 
      3,865,000

 
TOTAL CONVERTIBLE BONDS (Cost $6,844,100) $ 7,356,463

 
CORPORATE BONDS - 0.94%      
 
Consumer, Cyclical - 0.63%      
Harley-Davidson, Inc.      
15.00% due 02/01/2014   9,000,000 10,961,982
 
Industrial - 0.31%      
Sealed Air Corp.      
12.00% due 02/14/2014 (g)   5,000,000 5,423,475

TOTAL CORPORATE BONDS (Cost $14,000,000) $ 16,385,457

 
SECURITIES LENDING COLLATERAL - 4.62%    
 
Securities Lending Collateral - 4.62%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   8,102,873 81,109,756

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $81,115,804)   $ 81,109,756

 
SHORT TERM INVESTMENTS - 3.22%    
San Paolo US Financial      
0.10% due 10/01/2009 $ 20,000,000 $ 20,000,000

The accompanying notes are an integral part of the financial statements.
145



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Fundamental Value Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
SHORT TERM INVESTMENTS (continued)    
 
San Paolo US Financial (continued)      
0.15% due 10/07/2009 $ 36,540,000 $ 36,539,086

TOTAL SHORT TERM INVESTMENTS      
(Cost $56,539,086)   $ 56,539,086

Total Investments (Fundamental Value Trust)    
(Cost $1,855,697,125) - 104.42%   $ 1,832,398,307
Other assets and liabilities, net - (4.42)%     (77,549,094)
 
TOTAL NET ASSETS - 100.00%   $ 1,754,849,213
 
 
 
Global Allocation Trust      
    Shares or  
    Principal  
    Amount Value
 
 
COMMON STOCKS - 65.48%      
 
Australia - 2.06%      
AMP, Ltd.   86,930 $ 497,729
BHP Billiton, Ltd.   27,777 917,904
Incitec Pivot, Ltd.   126,570 314,671
James Hardie Industries, Ltd. *   27,960 192,696
MacArthur Coal, Ltd.   15,661 129,452
National Australia Bank, Ltd.   30,178 815,698
Orica, Ltd.   32,666 675,057
Qantas Airways, Ltd.   222,415 559,970
QBE Insurance Group, Ltd.   19,059 403,146
 
      4,506,323
Austria - 0.27%      
Telekom Austria AG   32,963 594,861
 
Belgium - 0.35%      
Anheuser-Busch InBev NV   16,607 759,366
 
Bermuda - 0.17%      
SeaDrill, Ltd., GDR * (a)   17,800 371,191
 
Brazil - 0.31%      
BM&F BOVESPA SA   36,000 265,387
Gafisa SA   16,000 240,957
Itau Unibanco Holding SA   8,030 161,805
 
      668,149
Canada - 1.30%      
EnCana Corp.   12,800 741,232
Research In Motion, Ltd. *   1,900 128,345
Teck Cominco, Ltd. *   19,900 548,312
Toronto Dominion Bank Ontario   12,000 776,164
Trans-Canada Corp.   21,200 660,761
 
      2,854,814
Cayman Islands - 0.23%      
Seagate Technology   32,900 500,409
 
China - 0.27%      
China Life Insurance Company, Ltd.   47,000 205,522
China Zhongwang Holdings, Ltd. *   273,200 266,073
Industrial & Commercial Bank of China, Ltd. 162,000 121,200
 
      592,795
Denmark - 0.22%      
FLS Industries AS, B Shares *   3,335 182,204

Global Allocation Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Denmark (continued)    
Novo Nordisk AS 1,923 $ 120,782
Vestas Wind Systems AS * 2,469 179,354
 
    482,340
Finland - 0.28%    
Sampo Oyj, Class A 23,960 603,732
 
France - 2.17%    
Alstom SA 2,104 153,869
BNP Paribas SA 18,307 1,464,237
Cie Generale de Geophysique-Veritas * 10,579 247,594
Compagnie de Saint-Gobain SA 4,974 258,705
Compagnie Generale des Etablissements    
Michelin, Class B 3,071 241,629
GDF Suez 13,411 599,603
Nexans SA 2,739 221,578
Silicon-On-Insulator Technologies SA * 17,321 242,895
Total SA, SADR 1,300 77,038
Total SA 16,658 991,676
Vallourec SA 1,454 246,605
 
    4,745,429
Germany - 2.31%    
Bayer AG 12,504 866,022
Daimler AG 20,495 1,032,030
E.ON AG 29,081 1,234,870
GEA Group AG 9,575 199,786
Heidelbergcement AG 7,094 460,216
MAN AG 4,548 375,417
Metro AG 13,177 745,434
United Internet AG * 9,380 141,689
 
    5,055,464
Greece - 0.29%    
National Bank of Greece SA * 13,406 484,775
Public Power Corp. SA * 6,936 154,994
 
    639,769
Hong Kong - 1.13%    
Bank of East Asia, Ltd. 148,100 530,866
Belle International Holdings, Ltd., GDR 289,000 293,297
China Resources Land, Ltd. 106,000 230,347
Hong Kong Exchanges & Clearing, Ltd. 14,300 256,855
New World Development Company, Ltd. 222,000 469,132
Shangri-La Asia, Ltd. 90,000 169,555
Sino Land Company, Ltd. 124,000 220,662
Sun Hung Kai Properties, Ltd. 21,000 308,332
 
    2,479,046
India - 0.26%    
ICICI Bank, Ltd., SADR 15,000 578,400
 
Ireland - 0.44%    
CRH PLC - London Exchange 9,645 268,132
CRH PLC 11,355 314,713
Elan Corp. PLC, SADR * 17,400 123,714
Ryanair Holdings PLC, SADR * 8,600 249,744
 
    956,303
Italy - 0.17%    
Intesa Sanpaolo SpA * 23,477 103,925

The accompanying notes are an integral part of the financial statements.
146



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Allocation Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Italy (continued)    
Saipem SpA 8,761 $ 263,702
 
    367,627
Japan - 5.80%    
Advantest Corp. 17,300 472,538
Asahi Glass Company, Ltd. 32,000 256,312
Canon, Inc. 28,900 1,156,109
Fanuc, Ltd. 2,900 259,099
Hosiden Corp. 6,200 83,841
Ibiden Company, Ltd. 2,800 103,213
Japan Tobacco, Inc. 320 1,089,692
Kao Corp. 21,000 517,692
Komatsu, Ltd. 13,100 243,258
Koyo Seiko Company, Ltd. 14,300 165,183
Mitsubishi Corp. 61,900 1,243,168
Mitsui Fudosan Company, Ltd. 13,000 217,900
Mitsui O.S.K. Lines, Ltd. 77,000 453,380
Mitsui Trust Holdings, Inc. 123,000 451,576
Nippon Steel Corp. 28,000 101,447
Nissan Motor Company, Ltd. * 100,700 676,291
Nomura Holdings, Inc. 123,200 752,660
NTT DoCoMo, Inc. 247 393,597
ORIX Corp. 7,680 466,951
Ricoh Company, Ltd. 34,000 490,312
Shin-Etsu Chemical Company, Ltd. 15,500 947,394
Sumco Corp. 11,900 268,470
Sumitomo Mitsui Financial Group, Inc. 18,500 640,425
THK Company, Ltd. 30,800 598,198
Tokyu Land Corp. 51,000 202,696
Toyota Motor Corp. 11,400 448,658
 
    12,700,060
Luxembourg - 0.43%    
ArcelorMittal 19,274 719,315
Millicom International Cellular SA * 3,100 225,494
 
    944,809
Netherlands - 1.54%    
ASML Holding NV 28,544 841,732
ING Groep NV * 48,929 874,278
Koninklijke Philips Electronics NV 9,200 224,112
Royal Dutch Shell PLC, A Shares 41,000 1,172,948
TomTom NV * 14,895 256,499
 
    3,369,569
Norway - 0.78%    
Petroleum Geo-Services ASA * 54,600 535,014
Subsea 7, Inc. * 21,000 282,784
Telenor ASA * 77,400 898,652
 
    1,716,450
Russia - 0.12%    
Gazprom OAO, SADR 10,893 254,595
 
Singapore - 0.85%    
Capitaland, Ltd. 156,500 409,663
DBS Group Holdings, Ltd. 50,000 467,950
Golden Agri-Resources, Ltd. * 325,000 98,312
Jardine Matheson Holdings, Ltd. 10,400 315,067

Global Allocation Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Singapore (continued)    
Olam International, Ltd. 327,000 $ 575,315
 
    1,866,307
South Korea - 0.12%    
KB Financial Group, Inc., ADR * 5,100 262,497
 
Spain - 1.08%    
Banco Bilbao Vizcaya Argentaria SA 44,262 787,691
Banco Santander Central Hispano SA 24,004 387,803
Gamesa Corporacion Tecnologica SA 4,546 101,971
Gestevision Telecinco SA 13,259 167,449
Iberdrola SA 10,946 107,581
Industria de Diseno Textil SA 3,963 227,604
Tecnicas Reunidas SA 2,424 132,422
Telefonica SA 16,210 447,434
 
    2,359,955
Switzerland - 2.88%    
Adecco SA 12,648 673,455
Alcon, Inc. 4,100 568,547
Credit Suisse Group AG 15,436 859,172
Julius Baer Holding AG 5,789 289,839
Nestle SA 7,743 330,314
Nobel Biocare Holding AG, Series BR 21,266 704,913
Roche Holdings AG - Genusschein 9,848 1,594,166
STMicroelectronics NV * 25,280 240,172
Swatch Group AG 6,867 312,697
Synthes AG 3,155 380,548
Zurich Financial Services AG 1,487 354,381
 
    6,308,204
United Kingdom - 6.27%    
Anglo American PLC * 7,251 230,822
Antofagasta PLC 17,768 215,476
Associated British Foods PLC 39,394 533,564
AstraZeneca Group PLC 3,870 173,518
Autonomy Corp. PLC * 9,847 256,939
Barclays PLC * 146,575 866,258
BG Group PLC 22,903 398,589
British Land Company PLC 37,530 285,218
British Sky Broadcasting Group PLC 62,480 571,232
Cobham PLC 95,711 335,001
GlaxoSmithKline PLC 47,296 930,694
Home Retail Group PLC 89,395 389,206
HSBC Holdings PLC 28,006 320,606
Imperial Tobacco Group PLC 19,163 553,707
International Power PLC 29,535 136,588
John Wood Group PLC 16,607 80,881
Kingfisher PLC 99,979 340,375
Man Group PLC, ADR 137,302 728,320
New World Resources NV 12,990 128,352
Prudential PLC 61,690 593,660
Reckitt Benckiser PLC 5,563 271,872
Resolution, Ltd. * 94,507 140,086
Rio Tinto PLC 21,010 901,564
Standard Chartered PLC 15,694 386,957
Taylor Woodrow PLC * 136,123 91,901
The Sage Group PLC 207,206 773,404
Tullow Oil PLC 39,790 718,798

The accompanying notes are an integral part of the financial statements.
147



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Allocation Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
United Kingdom (continued)    
Vodafone Group PLC 650,519 $ 1,460,039
Wolseley PLC * 18,333 442,533
Xstrata PLC * 31,059 457,410
 
    13,713,570
United States - 33.38%    
ACE, Ltd. 10,900 582,714
Adobe Systems, Inc. * 6,700 221,368
AFLAC, Inc. 14,600 624,004
Allergan, Inc. 22,700 1,288,452
Amazon.com, Inc. * 4,600 429,456
American Electric Power Company, Inc. 31,500 976,185
American Tower Corp., Class A * 5,000 182,000
Amgen, Inc. * 13,500 813,105
Anadarko Petroleum Corp. 15,700 984,861
Apple, Inc. * 12,800 2,372,736
AT&T, Inc. 35,400 956,154
Autodesk, Inc. * 19,000 452,200
Avon Products, Inc. 22,300 757,308
Baker Hughes, Inc. (a) 22,300 951,318
Bank of America Corp. 55,300 935,676
Bank of New York Mellon Corp. 28,901 837,840
Baxter International, Inc. 2,600 148,226
BlackRock, Inc. 1,000 216,820
BorgWarner, Inc. (a) 14,300 432,718
Broadcom Corp., Class A * 20,600 632,214
Burlington Northern Santa Fe Corp. 9,600 766,368
Carnival Corp. 28,000 931,840
Chevron Corp. 18,600 1,309,998
Cisco Systems, Inc. * 18,100 426,074
City National Corp. (a) 7,100 276,403
CME Group, Inc. 1,000 308,190
Colgate-Palmolive Company 3,000 228,840
Comcast Corp., Class A 89,400 1,509,966
Covidien PLC 46,000 1,989,960
DaVita, Inc. * 3,900 220,896
DeVry, Inc. 3,800 210,216
Discover Financial Services 46,450 753,883
Dynegy, Inc., Class A * 45,300 115,515
EOG Resources, Inc. 5,600 467,656
Estee Lauder Companies, Inc., Class A 13,100 485,748
Evraz Group SA * 8,673 225,932
Exelon Corp. 25,400 1,260,348
Express Scripts, Inc. * 3,800 294,804
FedEx Corp. 18,700 1,406,614
FirstEnergy Corp. 16,200 740,664
Fortune Brands, Inc. 22,500 967,050
General Dynamics Corp. 21,100 1,363,060
General Electric Company 58,100 954,002
Genzyme Corp. * 13,200 748,836
Google, Inc., Class A * 1,200 595,020
Halliburton Company 28,900 783,768
Hess Corp. 13,600 727,056
Hewlett-Packard Company 27,600 1,302,996
Home Depot, Inc. 3,900 103,896
Illinois Tool Works, Inc. (a) 26,300 1,123,273
IntercontinentalExchange, Inc. * 1,300 126,347

Global Allocation Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
United States (continued)    
International Game Technology 15,300 $ 328,644
Interpublic Group of Companies, Inc. * 88,800 667,776
Intersil Corp., Class A 21,700 332,227
Intuit, Inc. * 14,300 407,550
Johnson Controls, Inc. 17,500 447,300
JPMorgan Chase & Company 41,300 1,809,766
Kellogg Company 4,700 231,381
KLA-Tencor Corp. 14,900 534,314
Laboratory Corp. of America Holdings * 2,200 144,540
Marathon Oil Corp. 23,600 752,840
Marvell Technology Group, Ltd. * 30,700 497,033
MasterCard, Inc., Class A 2,200 444,730
McDonald's Corp. 5,400 308,178
Medco Health Solutions, Inc. * 14,200 785,402
Medtronic, Inc. 23,700 872,160
Merck & Company, Inc. (a) 19,000 600,970
Microsoft Corp. 64,500 1,669,905
Millipore Corp. * (a) 5,400 379,782
Monsanto Company 12,900 998,460
Morgan Stanley 24,100 744,208
National Semiconductor Corp. 20,100 286,827
Noble Corp. 12,200 463,112
Nortel Networks Corp. * 542 47
Omnicom Group, Inc. 20,100 742,494
Oracle Corp. 10,000 208,400
PACCAR, Inc. 29,450 1,110,560
Pall Corp. 18,500 597,180
Parker-Hannifin Corp. 2,900 150,336
Peabody Energy Corp. 27,000 1,004,940
Pepco Holdings, Inc. 13,300 197,904
PepsiCo, Inc. 21,700 1,272,922
Pfizer, Inc. (a) 91,000 1,506,050
Praxair, Inc. 4,000 326,760
Priceline.com, Inc. * 1,100 182,402
Principal Financial Group, Inc. 30,200 827,178
Procter & Gamble Company 26,400 1,529,088
QUALCOMM, Inc. 10,500 472,290
Ryder Systems, Inc. 13,800 539,028
Salesforce.com, Inc. * (a) 3,300 187,869
Schlumberger, Ltd. 1,500 89,400
Southwest Airlines Company 51,800 497,280
Southwestern Energy Company * 6,800 290,224
Sprint Nextel Corp. * 131,695 520,195
Sysco Corp. 16,300 405,055
The Sherwin-Williams Company 4,500 270,720
Time Warner Cable, Inc. * 5,700 245,613
Ultra Petroleum Corp. * 19,300 944,928
Union Pacific Corp. 5,600 326,760
United Technologies Corp. 3,100 188,883
UnitedHealth Group, Inc. 19,300 483,272
Viacom, Inc., Class B * 26,400 740,256
Visa, Inc. 7,300 504,503
VMware, Inc., Class A * 29,200 1,172,964
Wal-Mart Stores, Inc. 23,500 1,153,615
Weatherford International, Ltd. * 7,400 153,402
Wells Fargo & Company 41,700 1,175,106

The accompanying notes are an integral part of the financial statements.
148



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Allocation Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
COMMON STOCKS (continued)      
 
United States (continued)      
Williams Companies, Inc.   46,500 $ 830,955
XTO Energy, Inc.   7,675 317,131
Zimmer Holdings, Inc. *   12,000 641,400
 
      73,034,789

TOTAL COMMON STOCKS (Cost $132,406,856) $ 143,286,823

 
PREFERRED STOCKS - 0.25%      
 
Germany - 0.25%      
Henkel AG & Company KGaA (h)   12,594 543,260

TOTAL PREFERRED STOCKS (Cost $624,079) $ 543,260

 
RIGHTS - 0.02%      
 
France - 0.02%      
BNP Paribas SA (Expiration Date 10/13/2009,    
Strike Price: EUR 40.00) *   18,307 39,649

TOTAL RIGHTS (Cost $0)   $ 39,649

 
U.S. TREASURY OBLIGATIONS - 13.98%    
 
U.S. Treasury Bonds - 3.26%      
2.625% due 04/30/2016 $ 2,300,000 2,270,171
4.25% due 05/15/2039   1,410,000 1,458,689
6.25% due 08/15/2023   1,000,000 1,253,438
6.625% due 02/15/2027   1,200,000 1,591,125
8.75% due 08/15/2020   380,000 556,997
 
      7,130,420
U.S. Treasury Notes - 10.72%      
1.00% due 09/30/2011   8,345,000 8,351,517
1.875% due 06/15/2012   4,180,000 4,245,313
2.375% due 08/31/2014   7,065,000 7,091,494
3.625% due 08/15/2019   3,670,000 3,766,910
 
      23,455,234

TOTAL U.S. TREASURY OBLIGATIONS      
(Cost $30,216,062)   $ 30,585,654

 
U.S. GOVERNMENT AGENCY OBLIGATIONS - 0.02%  
 
Federal Home Loan Mortgage Corp. - 0.02%    
5.75% due 09/15/2010 EUR 35,000 53,459

TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS  
(Cost $53,813)   $ 53,459

 
FOREIGN GOVERNMENT OBLIGATIONS - 0.90%  
 
Austria - 0.02%      
Government of Austria      
3.80% due 10/20/2013   25,000 38,526
 
Belgium - 0.03%      
Kingdom of Belgium      
3.50% due 03/28/2011   50,000 75,749
 
Canada - 0.02%      
Government of Canada      
5.25% due 06/01/2012 CAD 45,000 45,871
France - 0.09%      
Government of France      
3.75% due 04/25/2021 EUR 100,000 147,092

Global Allocation Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
FOREIGN GOVERNMENT OBLIGATIONS    
(continued)      
 
France (continued)      
Government of France (continued)      
4.00% due 04/25/2055 EUR 30,000 $ 43,123
 
      190,215
Germany - 0.25%      
Federal Republic of Germany      
4.00% due 01/04/2037   155,000 227,697
4.00% due 01/04/2018   135,000 210,573
4.00% due 09/10/2010   75,000 113,103
 
      551,373
 
Greece - 0.04%      
Republic of Greece      
3.90% due 08/20/2011   55,000 83,788
Italy - 0.24%      
Republic of Italy      
3.75% due 08/01/2021   50,000 70,612
4.25% due 08/01/2013   237,000 368,809
4.50% due 02/01/2018   50,000 77,583
 
      517,004
Spain - 0.05%      
Kingdom of Spain      
5.75% due 07/30/2032   65,000 112,228
 
Sweden - 0.01%      
Kingdom of Sweden      
6.75% due 05/05/2014 SEK 190,000 32,019
 
United Kingdom - 0.15%      
Government of United Kingdom      
2.25% due 03/07/2014 GBP 25,000 39,410
4.25% due 03/07/2036   10,000 16,334
4.25% due 12/07/2049   55,000 90,891
4.75% due 06/07/2010   80,000 131,578
5.00% due 03/07/2012   25,000 43,143
8.00% due 06/07/2021   5,000 11,208
 
      332,564

 
TOTAL FOREIGN GOVERNMENT OBLIGATIONS  
(Cost $1,915,742)   $ 1,979,337

 
CORPORATE BONDS - 0.32%      
 
France - 0.03%      
Compagnie de Financement Foncier, MTN      
4.00% due 07/21/2011 EUR 40,000 60,874
 
Germany - 0.13%      
Hypothekenbank in Essen AG, Series E1LM      
3.75% due 09/28/2012   40,000 61,110
Kreditanstalt fuer Wiederaufbau, Series E, MTN    
4.625% due 10/12/2012   135,000 212,401
 
      273,511
 
Ireland - 0.03%      
GE Capital European Funding, Series E, MTN    
4.625% due 08/23/2010   40,000 59,799
 
Italy - 0.02%      
Intesa Sanpaolo SpA, EMTN      
6.375% due 04/06/2010   35,000 52,199

The accompanying notes are an integral part of the financial statements.
149



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Allocation Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
 
Netherlands - 0.05%      
E.ON International Finance BV, EMTN      
5.125% due 10/02/2012 EUR 40,000 $ 62,854
Rabobank Nederland, EMTN      
4.125% due 04/04/2012   35,000 53,773
 
      116,627
 
United Kingdom - 0.04%      
Lloyds TSB Bank PLC, Series EMTN      
6.75% due 10/24/2018 GBP 50,000 86,956
 
United States - 0.02%      
Citigroup, Inc., Series E, MTN      
5.50% due 11/18/2015   30,000 46,350
Washington Mutual Bank      
5.50% due 01/15/2013 ^ $ 325,000 813
 
      47,163

 
TOTAL CORPORATE BONDS (Cost $963,935) $ 697,129

 
COLLATERALIZED MORTGAGE      
OBLIGATIONS - 0.68%      
 
United States - 0.68%      
Citigroup Commercial Mortgage Trust,      
Series 2006-C5, Class A4      
5.431% due 10/15/2049   325,000 293,709
GS Mortgage Securities Corp., II,      
Series 2006-CC1, Class A      
5.5066% due 03/21/2046 (b)(g)   1,020,803 441,395
GS Mortgage Securities Corp., II,      
Series 2006-RR2, Class A1      
5.8165% due 01/07/2036 (b)(g)   1,237,156 371,147
JPMorgan Chase Commercial Mortgage Securities    
Corp., Series 2006-LDP8, Class A4      
5.399% due 05/15/2045   425,000 379,085
 
      1,485,336

 
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS  
(Cost $2,991,252)   $ 1,485,336

 
SUPRANATIONAL OBLIGATIONS - 0.04%    
Luxembourg - 0.04%      
European Investment Bank, Series INTL      
5.375% due 10/15/2012 EUR 50,000 80,179

TOTAL SUPRANATIONAL OBLIGATIONS    
(Cost $73,589)   $ 80,179

 
INVESTMENT COMPANIES - 7.27%      
 
United States - 7.27%      
UBS Emerging Markets Equities Fund   308,413 9,467,199
UBS High Yield Fund   294,362 6,444,580
 
      15,911,779

 
TOTAL INVESTMENT COMPANIES (Cost $13,394,216) $ 15,911,779


Global Allocation Trust (continued)  
    Shares or  
    Principal  
    Amount Value
 
 
SECURITIES LENDING COLLATERAL - 1.80%    
 
United States - 1.80%      
John Hancock Collateral      
Investment Trust, 0.2762% (c)(f)   393,081 $ 3,934,737

TOTAL SECURITIES LENDING COLLATERAL    
(Cost $3,934,931)   $ 3,934,737

 
REPURCHASE AGREEMENTS - 9.37%    
Repurchase Agreement with State      
Street Corp. dated 09/30/2009 at      
0.01% to be repurchased at      
$20,504,006 on 10/01/2009,      
collateralized by $20,490,000      
Federal Home Loan Mortgage      
Corp., 4.27% due 12/03/2013      
(valued at $20,916,192, including      
interest) $ 20,504,000 $ 20,504,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $20,504,000)   $ 20,504,000

Total Investments (Global Allocation Trust)    
(Cost $207,078,475) - 100.13%   $ 219,101,342
Other assets and liabilities, net - (0.13)%     (285,674)
 
TOTAL NET ASSETS - 100.00%   $ 218,815,668
 

The portfolio had the following five top industry concentrations
as of September 30, 2009 (as a percentage of total net assets):

Banking 4.99%
Financial Services 4.84%
Computers & Business Equipment 2.98%
International Oil 2.95%
Pharmaceuticals 2.82%

Global Bond Trust      
    Shares or  
    Principal  
    Amount Value
 
 
U.S. TREASURY OBLIGATIONS - 2.52%    
 
U.S. Treasury Bonds - 0.81%      
4.50% due 08/15/2039 $ 7,000,000 $ 7,546,875
 
U.S. Treasury Notes - 1.71%      
0.875% due 04/30/2011 ***   2,424,000 2,430,627
4.00% due 08/15/2018   12,800,000 13,512,999
 
      15,943,626

TOTAL U.S. TREASURY OBLIGATIONS    
(Cost $23,257,314)   $ 23,490,501

 
U.S. GOVERNMENT AGENCY OBLIGATIONS - 6.83%  
 
Federal Home Loan Bank - 0.00%      
0.435% due 10/13/2009   30,000 30,002
 
Federal Home Loan Mortgage Corp. - 0.29%    
0.3788% due 03/09/2011 (b)   980,000 981,470
0.3869% due 08/24/2010 (b)   509,000 509,271
0.3894% due 05/04/2011 (b)***   344,000 344,184

The accompanying notes are an integral part of the financial statements.
150



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
U.S. GOVERNMENT AGENCY      
OBLIGATIONS (continued)      
 
Federal Home Loan Mortgage Corp.      
(continued)      
5.136% due 03/01/2035 (b) $ 825,901 $ 874,024
 
      2,708,949
 
Federal National Mortgage      
Association - 4.05%      
0.5963% due 03/25/2044 (b)   149,754 136,017
0.6463% due 09/25/2032 (b)   39,655 31,864
3.44% due 11/01/2034 (b)   2,421,604 2,490,119
4.943% due 12/01/2034 (b)   558,334 570,792
5.028% due 05/01/2035 (b)   451,711 476,817
5.50% due 12/01/2036 to 12/01/2038   11,704,880 12,266,343
5.50% TBA **   2,200,000 2,301,234
6.00% TBA **   18,500,000 19,514,610
 
      37,787,796
 
Government National Mortgage      
Association - 2.36%      
4.125% due 11/20/2023 to 10/20/2026 (b) 94,080 96,923
4.25% due 01/20/2030 (b)   30,775 31,965
4.375% due 02/20/2024 to 06/20/2030 (b) 112,891 117,411
6.00% due 08/20/2034   3,372,125 3,657,656
6.50% due 07/15/2037 to 11/15/2037   1,369,696 1,458,804
6.50% TBA **   15,700,000 16,666,531
 
      22,029,290
 
Small Business Administration - 0.13%      
4.12% due 03/01/2014   1,012,140 1,035,122
6.64% due 02/10/2011   26,965 28,290
7.22% due 11/01/2020   121,549 133,018
 
      1,196,430

 
TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS  
(Cost $63,304,414)   $ 63,752,467

 
FOREIGN GOVERNMENT OBLIGATIONS - 38.26%  
Canada - 1.40%      
Province of Ontario, Canada      
4.70% due 06/02/2037 CAD 5,000,000 4,792,197
5.00% due 12/01/2038   4,400,000 4,326,437
5.60% due 06/02/2035   1,900,000 2,035,297
5.75% due 06/01/2029   300,000 348,672
6.20% due 06/02/2031   1,300,000 1,472,382
6.35% due 06/18/2031   125,000 144,444
 
      13,119,429
 
Denmark - 0.66%      
Realkredit Danmark A/S, Series 73D      
4.10% due 10/01/2038 (b) DKK 1,359,887 258,234
 
France - 10.12%      
Government of France      
3.00% due 07/12/2014 EUR 10,000,000 14,948,003
3.50% due 04/25/2015   13,349,000 20,320,889
3.75% due 01/12/2013   1,300,000 2,007,059
3.75% due 04/25/2017   4,800,000 7,313,186
4.00% due 04/25/2014   4,400,000 6,858,992
4.00% due 10/25/2038   13,300,000 19,196,488
4.25% due 04/25/2019   7,800,000 12,138,919
4.25% due 10/25/2018   6,900,000 10,758,468

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
FOREIGN GOVERNMENT OBLIGATIONS    
(continued)      
 
France (continued)      
Government of France (continued)      
5.50% due 04/25/2010 EUR 600,000 $ 902,120
 
      94,444,124
 
Germany - 6.56%      
Federal Republic of Germany      
3.75% due 01/04/2015   6,700,000 10,403,685
4.00% due 01/04/2037   2,150,000 3,158,376
4.25% due 07/04/2039   6,800,000 10,491,398
4.25% due 07/04/2018   9,300,000 14,762,793
4.25% due 07/04/2014   5,800,000 9,188,655
4.75% due 07/04/2040   3,200,000 5,337,407
4.75% due 07/04/2034   3,100,000 5,035,157
5.50% due 01/04/2031   1,600,000 2,815,858
 
      61,193,329
 
Greece - 0.58%      
Republic of Greece      
4.30% due 03/20/2012   2,900,000 4,452,927
5.25% due 05/18/2012   600,000 945,572
 
      5,398,499
 
Italy - 5.76%      
Republic of Italy      
3.75% due 09/15/2011   3,900,000 5,948,527
4.25% due 08/01/2013   3,100,000 4,824,079
4.25% due 09/01/2011   6,700,000 10,309,268
4.25% due 03/01/2020   3,000,000 4,480,350
5.25% due 08/01/2011   18,000,000 28,146,698
 
      53,708,922
 
Japan - 2.68%      
Government of Japan      
1.50% due 12/20/2017 JPY 160,000,000 1,849,749
1.70% due 03/20/2017   860,000,000 10,112,303
2.30% due 05/20/2030   155,000,000 1,791,556
2.40% due 03/20/2034   450,000,000 5,243,175
2.50% due 03/20/2036   170,000,000 2,010,767
2.50% due 09/20/2036   340,000,000 4,021,174
 
      25,028,724
 
Mexico - 0.02%      
Government of Mexico      
6.05% due 01/11/2040 $ 200,000 199,500
 
Netherlands - 7.88%      
Kingdom of Netherlands      
2.50% due 01/15/2012 EUR 100,000 149,591
3.25% due 07/15/2015   9,100,000 13,640,066
3.75% due 07/15/2014   16,200,000 24,982,360
4.00% due 07/15/2019   8,300,000 12,631,264
4.00% due 07/15/2018   12,000,000 18,347,762
5.00% due 07/15/2011   2,400,000 3,745,904
 
      73,496,947
 
United Kingdom - 2.60%      
Government of United Kingdom      
3.75% due 09/07/2019 GBP 11,000,000 17,674,594
4.25% due 03/07/2036   3,500,000 5,716,867

The accompanying notes are an integral part of the financial statements.
151



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
FOREIGN GOVERNMENT OBLIGATIONS    
(continued)      
 
United Kingdom (continued)      
Government of United Kingdom (continued)      
4.75% due 12/07/2038 GBP 500,000 $ 888,572
 
      24,280,033

 
TOTAL FOREIGN GOVERNMENT OBLIGATIONS  
(Cost $340,394,036)   $ 357,034,889

 
CORPORATE BONDS - 39.80%      
 
Australia - 7.02%      
Bank of Queensland, Ltd.      
3.7662% due 10/22/2012 (b) AUD 3,700,000 3,294,606
Citigroup Pty, Ltd.      
3.71% due 08/20/2012 (b)   3,500,000 3,097,327
5.50% due 06/18/2012   3,000,000 2,644,646
Commonwealth Bank of Australia      
0.785% due 06/25/2014 (b)(g) $ 14,800,000 14,731,432
0.925% due 07/12/2013 (b)(g)   8,000,000 7,970,672
2.50% due 12/10/2012 (g)   5,500,000 5,594,067
Commonwealth Bank of Australia, Series TCD    
4.50% due 02/20/2014 AUD 4,000,000 3,346,939
ING Bank Australia, Ltd., Series DIP      
3.7833% due 08/28/2013 (b)   3,600,000 3,176,069
5.75% due 08/28/2013   900,000 790,251
ING Bank Australia, Ltd., Series RTD      
3.96% due 06/24/2014 (b)   10,000,000 8,840,789
Members Equity Bank Pty, Ltd., MTN      
5.75% due 08/20/2012   2,400,000 2,115,836
National Australia Bank, Ltd.      
1.0481% due 07/08/2014 (b)(g) $ 5,000,000 4,976,835
5.75% due 12/19/2013 AUD 240,000 211,095
Westpac Banking Corp.      
2.90% due 09/10/2014 (g) $ 4,700,000 4,689,167
 
      65,479,731
 
Canada - 1.10%      
Alcan, Inc.      
6.45% due 03/15/2011   1,100,000 1,151,461
Honda Canada Finance, Inc., Series E, MTN      
0.6114% due 03/26/2012 (b) CAD 10,200,000 9,074,982
 
      10,226,443
 
Cayman Islands - 1.17%      
Foundation Re II, Ltd.      
7.19% due 11/26/2010 (b)(g) $ 600,000 587,373
Green Valley, Ltd.      
4.629% due 01/10/2011 (b)(g) EUR 1,200,000 1,679,674
Longpoint Re, Ltd.      
5.549% due 05/08/2010 (b)(g) $ 1,600,000 1,600,000
Mizuho Financial Group (Cayman), Ltd.      
8.375% due 01/29/2049   1,800,000 1,795,500
MUFG Capital Finance 5, Ltd.      
6.299% due 01/25/2049 GBP 1,800,000 2,315,721
Residential Reinsurance 2007 Ltd., Series CL5    
8.1106% due 06/07/2010 (b)(g) $ 2,900,000 2,948,140
 
      10,926,408
 
Denmark - 0.59%      
Nykredit      
6.00% due 10/01/2029 DKK 214,284 44,482

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
 
Denmark (continued)      
Nykredit Realkredit A/S      
5.00% due 01/01/2010 EUR 3,700,000 $ 5,462,417
 
      5,506,899
 
France - 3.89%      
BNP Paribas Covered Bonds SA, EMTN      
4.75% due 05/28/2013   2,700,000 4,232,791
Caisse Nationale des Caisses d'Epargne et de      
Prevoyance, EMTN      
6.117% due 10/29/2049 (b)   2,400,000 2,493,547
Credit Agricole SA      
6.637% due 12/31/2049 (b)(g) $ 2,900,000 2,059,000
Dexia Credit Local      
0.9394% due 09/23/2011 (b)(g)   4,200,000 4,240,236
Societe Financement de l'Economie Francaise      
2.25% due 06/11/2012 (g)   8,800,000 8,869,209
2.875% due 09/22/2014 (g)   3,500,000 3,507,175
3.375% due 05/05/2014 (g)   4,000,000 4,106,904
Societe Financement de l'Economie Francaise,    
EMTN      
2.125% due 05/20/2012 EUR 2,000,000 2,950,507
Vivendi      
5.75% due 04/04/2013 (g) $ 3,700,000 3,839,638
 
      36,299,007
 
Germany - 1.15%      
KFW International Finance, Inc.      
1.75% due 03/23/2010 JPY 185,000,000 2,074,269
Kreditanstalt Fuer Wiederaufbau      
4.875% due 06/17/2019 $ 3,500,000 3,805,949
5.00% due 07/04/2011 EUR 250,000 388,568
Kreditanstalt Fuer Wiederaufbau, MTN      
5.50% due 06/05/2014 AUD 5,200,000 4,506,118
 
      10,774,904
 
Ireland - 0.04%      
Argon Capital PLC for Royal Bank of Scotland,    
EMTN      
8.162% due 10/29/2049 (b) GBP 500,000 359,584
 
Japan - 0.04%      
Resona Bank, Ltd.      
5.85% due 09/29/2049 (b)(g) $ 400,000 346,000
 
Jersey - 0.44%      
HBOS Capital Funding LP      
9.54% due 03/12/2049 (b) GBP 1,700,000 1,901,800
HBOS Euro Finance LP      
7.627% due 12/29/2049 (b) EUR 2,334,000 2,220,047
 
      4,121,847
 
Netherlands - 1.89%      
Fortis Bank Nederland Holding NV, EMTN      
3.375% due 05/19/2014   5,900,000 8,858,116
LeasePlan Corp NV, EMTN      
3.25% due 05/22/2014   1,800,000 2,677,990
NIBC Bank NV, EMTN      
3.50% due 04/07/2014   1,700,000 2,541,800
Rabobank Nederland      
11.00% due 06/29/2049 (g) $ 2,900,000 3,552,500
 
      17,630,406

The accompanying notes are an integral part of the financial statements.
152



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
 
New Zealand - 0.47%      
Westpac Securities NZ, Ltd.      
3.45% due 07/28/2014 (g) $ 4,300,000 $ 4,362,840
 
Norway - 0.44%      
DnB NOR Boligkreditt, EMTN      
4.50% due 05/16/2011 EUR 2,700,000 4,112,818
 
South Korea - 0.29%      
Export-Import Bank of Korea, Series E, MTN    
5.75% due 05/22/2013   1,800,000 2,737,519
 
Spain - 0.15%      
Santander Perpetual SA Unipersonal      
6.671% until 10/24/2017, then      
variable due 10/29/2049 (g) $ 1,600,000 1,407,157
 
Switzerland - 0.13%      
UBS AG/Stamford Branch, Series DPNT      
5.875% due 12/20/2017   1,200,000 1,228,408
 
United Kingdom - 4.17%      
Bank of Scotland PLC, EMTN      
5.625% due 05/23/2013 EUR 4,600,000 7,123,691
Barclays Bank PLC      
6.05% due 12/04/2017 (g) $ 3,000,000 3,019,098
10.179% due 06/12/2021 (g)   1,840,000 2,418,367
British Sky Broadcasting Group PLC      
6.10% due 02/15/2018 (g)   4,200,000 4,524,446
HBOS PLC      
6.75% due 05/21/2018 (g)   3,100,000 2,764,050
Lloyds TSB Bank PLC      
1.5969% due 04/02/2012 (b)(g)   3,300,000 3,291,931
National Grid PLC, EMTN      
4.98% due 06/22/2011 CAD 2,000,000 1,930,715
NGG Finance PLC      
6.125% due 08/23/2011 EUR 250,000 388,728
Pearson Dollar Finance Two PLC      
5.50% due 05/06/2013 (g) $ 3,000,000 3,121,374
Royal Bank of Scotland PLC      
2.625% due 05/11/2012 (g)   4,000,000 4,059,428
Royal Bank of Scotland PLC, EMTN      
3.75% due 11/14/2011 EUR 4,100,000 6,222,381
 
      38,864,209
 
United States - 16.82%      
Altria Group, Inc.      
9.25% due 08/06/2019 $ 4,000,000 4,887,824
American Express Bank FSB, BKNT      
0.3938% due 06/12/2012 (b)   1,400,000 1,307,909
American General Finance Corp.      
6.90% due 12/15/2017   3,000,000 2,098,143
American International Group, Inc.      
8.00% due 05/22/2038 (b)(g) EUR 6,700,000 5,294,397
8.25% due 08/15/2018 $ 600,000 509,899
American International Group, Inc., MTN      
5.85% due 01/16/2018   3,300,000 2,389,226
American International Group, Inc., Series A3    
4.875 due 03/15/2067 EUR 1,700,000 1,107,024
American International Group, Inc., Series WI    
8.175% until 05/15/2038, then      
variable due 05/15/2068 $ 5,100,000 3,060,000

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
 
United States (continued)      
Autozone, Inc.      
5.875% due 10/15/2012 $ 800,000 $ 855,610
BA Covered Bond Issuer, Series EMTN      
4.125% due 04/05/2012 EUR 1,200,000 1,791,143
Bank of America Corp., MTN      
4.75 due 05/23/2017   4,600,000 6,029,892
Bear Stearns Companies, Inc.      
7.25% due 02/01/2018 $ 6,800,000 7,765,886
Boston Scientific Corp.      
6.00% due 06/15/2011   800,000 822,000
6.40% due 06/15/2016   1,600,000 1,622,000
Citigroup Funding, Inc., MTN      
1.5181% due 05/07/2010 (b)   3,700,000 3,702,979
Citigroup, Inc.      
5.50% due 04/11/2013   50,000 51,166
5.50% due 10/15/2014   800,000 798,844
6.00% due 08/15/2017   7,300,000 7,199,669
6.125% due 05/15/2018   5,800,000 5,710,929
Citigroup, Inc., EMTN      
0.903% due 06/28/2013 (b) EUR 100,000 134,003
1.059% due 01/16/2012 (b) GBP 2,655,000 3,981,637
4.75% due 05/31/2017 (b) EUR 2,000,000 2,475,501
CNA Financial Corp.      
5.85% due 12/15/2014 $ 4,000,000 3,779,748
6.00% due 08/15/2011   1,600,000 1,606,942
Computer Sciences Corp.      
6.50% due 03/15/2018   3,000,000 3,304,611
DaimlerChrysler NA Holding Corp.      
4.875% due 06/15/2010   300,000 305,821
DaimlerChrysler NA Holding Corp., MTN      
5.75% due 09/08/2011   400,000 420,142
Darden Restaurants, Inc.      
6.20% due 10/15/2017   3,000,000 3,152,619
GATX Financial Corp.      
5.50% due 02/15/2012   3,000,000 3,084,894
General Electric Capital Corp.      
6.375 due 11/15/2067   100,000 82,750
6.625% due 02/04/2010 NZD 250,000 181,571
Goldman Sachs Group, Inc.      
0.7394% due 03/22/2016 (b) $ 1,100,000 1,037,430
1.219% due 05/18/2015 (b) EUR 1,500,000 2,007,153
Goldman Sachs Group, Inc., Series E, MTN      
1.349% due 02/02/2015 (b)   1,800,000 2,458,971
6.375% due 05/02/2018   1,000,000 1,610,958
Harris Corp.      
5.95% due 12/01/2017 $ 500,000 535,257
Health Care Property, Inc.      
5.95% due 09/15/2011   300,000 308,143
International Lease Finance Corp.      
5.35% due 03/01/2012   1,100,000 935,044
Johnson Controls, Inc.      
5.25% due 01/15/2011   900,000 934,436
JPMorgan & Company, Inc., Series A, MTN      
1.7212% due 02/15/2012 (b)   360,000 346,183
JPMorgan Chase & Company      
6.00% due 01/15/2018   800,000 858,660
6.30% due 04/23/2019   700,000 764,209

The accompanying notes are an integral part of the financial statements.
153



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
CORPORATE BONDS (continued)      
 
United States (continued)      
JPMorgan Chase & Company, MTN      
5.058% until 02/22/2016, then      
variable due 02/22/2021 CAD 1,000,000 $ 913,987
JPMorgan Chase Bank NA      
4.375% until 11/14/2016, then      
variable due 11/30/2021 EUR 1,900,000 2,628,427
JPMorgan Chase Capital XX, Series T      
6.55% due 09/15/2066 $ 1,300,000 1,207,378
JPMorgan Chase Capital XXII, Series V      
6.45% due 02/02/2037   1,800,000 1,619,996
Lehman Brothers Holdings, Inc., MTN      
5.46% due 11/16/2009 ^   4,100,000 686,750
5.625% due 01/24/2013 ^   4,500,000 793,125
6.875% due 05/02/2018 ^   2,100,000 372,750
Loews Corp.      
5.25% due 03/15/2016   400,000 405,110
Marsh & McLennan Companies, Inc.      
5.15% due 09/15/2010   900,000 918,463
5.75% due 09/15/2015   5,000,000 5,272,530
Masco Corp.      
5.875% due 07/15/2012   300,000 297,319
Merrill Lynch & Company, Inc., EMTN      
1.163% due 01/31/2014 (b) EUR 1,000,000 1,325,842
Merrill Lynch & Company, Inc., MTN      
6.875% due 04/25/2018 $ 5,000,000 5,258,485
Merrill Lynch Commercial Trust 2008-LAQ      
1.00% due 07/09/2021   2,700,000 2,177,634
Morgan Stanley      
0.9894% due 10/15/2015 (b)   2,900,000 2,652,650
Morgan Stanley, EMTN      
1.155% due 03/01/2013 (b) EUR 1,300,000 1,761,210
1.418% due 04/13/2016 (b)   300,000 380,086
Morgan Stanley, GMTN      
1.405% due 01/16/2017 (b)   2,000,000 2,551,419
Nabors Industries, Inc.      
6.15% due 02/15/2018 $ 3,000,000 3,007,488
Nisource Finance Corp.      
5.40% due 07/15/2014   400,000 406,487
Nordstrom, Inc.      
6.25% due 01/15/2018   1,400,000 1,451,037
ProLogis      
5.625% due 11/15/2015   2,000,000 1,817,422
Reynolds American, Inc.      
0.999% due 06/15/2011 (b)   400,000 393,356
Ryder System, Inc., MTN      
5.85% due 11/01/2016   1,100,000 1,110,053
Sara Lee Corp.      
6.25% due 09/15/2011   800,000 863,885
Sealed Air Corp.      
5.625% due 07/15/2013 (g)   4,200,000 4,253,474
Simon Property Group LP      
6.125% due 05/30/2018   3,000,000 3,022,725
SLM Corp., Series MTN      
0.499% due 03/15/2011 (b)   1,700,000 1,530,935
Spectra Energy Capital LLC      
6.20% due 04/15/2018   5,000,000 5,320,620
Sprint Capital Corp.      
8.75% due 03/15/2032   300,000 283,500

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
CORPORATE BONDS (continued)      
 
United States (continued)      
Sprint Nextel Corp.      
6.00% due 12/01/2016 $ 1,400,000 $ 1,249,500
Starwood Hotels & Resorts Worldwide, Inc.    
6.75% due 05/15/2018   3,000,000 2,831,250
Tate & Lyle International Finance PLC      
5.00% due 11/15/2014 (g)   400,000 390,822
The Cleveland Electric Illuminating Company    
5.70% due 04/01/2017   3,000,000 3,156,789
Verizon Wireless Capital LLC      
3.025% due 05/20/2011 (b)(g)   2,000,000 2,069,054
WM Covered Bond Program, Series EMTN    
4.00% due 09/27/2016 EUR 900,000 1,268,570
 
      156,961,351

 
TOTAL CORPORATE BONDS (Cost $377,161,959) $ 371,345,531

 
FOREIGN GOVERNMENT OBLIGATIONS - 38.26%  
 
Denmark - 0.66%      
Realkredit Danmark A/S      
5.00% due 01/01/2010   4,000,000 5,907,148

TOTAL FOREIGN GOVERNMENT OBLIGATIONS  
(Cost $340,394,036)   $ 357,034,889

 
CONVERTIBLE BONDS - 0.01%      
 
United States - 0.01%      
RBS Capital Trust I      
4.709% due 12/29/2049 (b) $ 300,000 138,000

TOTAL CONVERTIBLE BONDS (Cost $120,036) $ 138,000

 
MUNICIPAL BONDS - 1.00%      
 
California - 0.62%      
Golden State Tobacco Securitization Corp.,    
California Tobacco Settlement Revenue, Series    
A-1      
5.125% due 06/01/2047   200,000 150,006
5.75% due 06/01/2047   6,505,000 5,414,957
Los Angeles California Wastewater      
Systems Revenue, Series A      
5.00% due 06/01/2027   200,000 207,236
Metropolitan Water District Southern California    
Waterworks Revenue      
5.00% due 10/01/2036   45,000 46,801
 
      5,819,000
 
Illinois - 0.03%      
Chicago, Illinois, Series A      
8.614% due 01/01/2030 (b)   230,000 254,861
 
Iowa - 0.04%      
Tobacco Settlement Authority of Iowa, Tobacco    
Settlement Revenue, Series A      
6.50% due 06/01/2023   480,000 364,920
 
New York - 0.07%      
New York City Municipal Water Finance Authority,    
Water & Sewer Revenue, Series 1289      
8.80% due 12/15/2013 (b)   300,000 326,505

The accompanying notes are an integral part of the financial statements.
154



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
MUNICIPAL BONDS (continued)      
 
New York (continued)      
New York City Transitional Financial Authority    
5.00% due 02/01/2028 $ 285,000 $ 299,586
 
      626,091
 
Ohio - 0.23%      
Buckeye Tobacco Settlement Financing Authority    
5.875% due 06/01/2047   2,700,000 2,184,975
 
Puerto Rico - 0.01%      
Puerto Rico Sales Tax Financing Corp.      
zero coupon due 08/01/2054   800,000 59,440

TOTAL MUNICIPAL BONDS (Cost $10,489,061) $ 9,309,287

 
COLLATERALIZED MORTGAGE      
OBLIGATIONS - 10.39%      
 
Australia - 1.00%      
Puma Finance, Ltd., Series 2004-P10, Class BA    
3.47% due 07/12/2036 (b) AUD 738,792 634,360
Puma Finance, Ltd., Series 2005-P11, Class BA    
3.3783% due 08/22/2037 (b)   3,891,250 3,305,844
Swan, Series 2006-1E, Class A2      
3.4367% due 05/12/2037 (b)   2,439,208 2,066,010
Torrens Trust, Series 2007-1, Class A      
3.59% due 09/19/2014 (b)   3,896,847 3,328,139
 
      9,334,353
 
Ireland - 0.32%      
Immeo Residential Finance PLC, Series 2007-2,    
Class A      
0.933% due 12/15/2016 (b) EUR 2,066,703 2,487,493
Lusitano Mortgages PLC, Series 1, Class A    
1.053% due 12/15/2035 (b)   388,884 468,960
 
      2,956,453
 
Italy - 0.41%      
Intesabci Sec. 2 SRL, Series 1, Class A2      
1.114% due 08/28/2023 (b)   290,578 416,163
Siena Mortgages, Series 2003-4, Class A2    
1.001% due 12/16/2038 (b)   2,089,146 2,988,379
Vela Home Srl, Series 2003-1, Class A1      
1.213% due 10/24/2027 (b)   308,440 448,520
 
      3,853,062
 
Netherlands - 0.25%      
Arena BV, Series 2000-I, Class A      
6.10% due 11/15/2062 (b)   500,000 753,179
Atomium Mortgage Finance BV,      
Series 2003-I, Class A      
0.695% due 07/01/2034 (b)   94,134 132,501
Delphinus BV, Series 2001-II, Class A1      
1.124% due 11/28/2031 (b)   175,180 251,991
Dutch MBS BV, Series X, Class B      
1.379% due 10/02/2079 (b)   640,979 932,363
Dutch MBS BV, Series XI, Class A1      
1.139% due 11/02/2034 (b)   14,037 20,514
Dutch Mortgage Portfolio Loans, BV,      
Series III, Class A      
1.109% due 11/20/2035 (b)   190,987 266,387
 
      2,356,935

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
 
Spain - 0.09%      
Bancaja Fondo de Titulizacion de Activos, Series    
2005-8, Class A      
1.037% due 10/25/2037 (b) EUR 740,732 $ 823,523
 
United Kingdom - 0.27%      
Bauhaus Securities, Ltd., Series 1, Class A2      
1.228% due 10/30/2052 (b)   139,958 198,172
Permanent Financing PLC,      
Series 2004-4, Class 5A2      
0.8013% due 06/10/2042 (b) GBP 1,500,000 2,320,439
 
      2,518,611
 
United States - 8.05%      
Adjustable Rate Mortgage Trust, Series 2005-5,    
Class 2A1      
5.1597% due 09/25/2035 (b) $ 250,201 178,911
American Home Mortgage Assets, Series 2006-5,    
Class A1      
1.8208% due 11/25/2046 (b)   1,398,873 627,004
American Home Mortgage Investment Trust,      
Series 2004-3, Class 5A      
3.0975% due 10/25/2034 (b)   148,491 107,718
Banc of America Funding Corp., Series 2005-E,    
Class 1A1      
0.5363% due 05/20/2035 (b)   598,458 320,493
Banc of America Funding Corp., Series 2006-J,    
Class 4A1      
6.0928% due 01/20/2047 (b)   369,387 241,597
BCAP LLC Trust, Series 2006-AA2, Class A1    
0.4163% due 01/25/2037 (b)   3,826,542 1,792,213
Bear Stearns Adjustable Rate Mortgage Trust,    
Series 2003-6, Class 1A1      
3.0582% due 08/25/2033 (b)   308,771 293,910
Bear Stearns Adjustable Rate Mortgage Trust,    
Series 2003-7, Class 6A      
4.6479% due 10/25/2033 (b)   325,092 312,238
Bear Stearns Adjustable Rate Mortgage Trust,    
Series 2003-9, Class 2A1      
5.1312% due 02/25/2034 (b)   44,884 37,882
Bear Stearns Adjustable Rate Mortgage Trust,    
Series 2004-2, Class 22A      
4.1532% due 05/25/2034 (b)   621,151 555,135
Bear Stearns Adjustable Rate Mortgage Trust,    
Series 2004-2, Class 23A      
4.6302% due 05/25/2034 (b)   274,174 223,626
Bear Stearns Adjustable Rate Mortgage Trust,    
Series 2004-9, Class 22A1      
4.3423% due 11/25/2034 (b)   216,632 202,725
Bear Stearns Adjustable Rate Mortgage Trust,    
Series 2005-12, Class 23A1      
5.7345% due 02/25/2036 (b)   1,445,504 934,055
Bear Stearns Adjustable Rate Mortgage Trust,    
Series 2005-2, Class A1      
2.86% due 03/25/2035 (b)   3,482,403 3,110,931
Bear Stearns Adjustable Rate Mortgage Trust,    
Series 2005-2, Class A2      
2.1963% due 03/25/2035 (b)   1,440,126 1,275,551
Bear Stearns Adjustable Rate Mortgage Trust,    
Series 2005-5, Class A1      
2.46% due 08/25/2035 (b)   2,473,165 2,165,612

The accompanying notes are an integral part of the financial statements.
155



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
 
United States (continued)      
Bear Stearns Alt-A Trust, Series 2005-7, Class 22A1    
5.4898% due 09/25/2036 (b) $ 1,819,056 $ 1,152,092
Bear Stearns Alt-A Trust, Series 2005-9, Class 24A1    
5.5083% due 11/25/2035 (b)   1,579,283 914,867
Bear Stearns Alt-A Trust, Series 2006-1, Class 21A2    
5.714% due 02/25/2036 (b)   2,910,623 1,676,617
Bear Stearns Structured Products, Inc., Series    
2007-R6, Class 1A1      
5.6355% due 01/26/2036 (b)   3,128,306 1,783,099
Citigroup Mortgage Loan Trust, Inc., Series 2005-6,    
Class A1      
2.51% due 08/25/2035 (b)   1,038,027 893,783
Citigroup Mortgage Loan Trust, Inc., Series 2005-6,    
Class A2      
4.2475% due 08/25/2035 (b)   1,277,300 1,045,847
Citigroup/Deutsche Bank Commercial Mortgage    
Trust, Series 2007-CD4, Class A4      
5.322% due 12/11/2049   5,600,000 4,681,965
Countrywide Alternative Loan Trust, Series      
2005-21CB, Class A3      
5.25% due 06/25/2035   404,501 339,934
Countrywide Alternative Loan Trust, Series      
2005-56, Class 2A2      
2.9408% due 11/25/2035 (b)   195,289 107,369
Countrywide Alternative Loan Trust, Series      
2005-56, Class 2A3      
2.4008% due 11/25/2035 (b)   234,187 127,479
Countrywide Alternative Loan Trust, Series      
2006-OA9, Class 2A1B      
0.4463% due 07/20/2046 (b)   978,747 385,064
Countrywide Alternative Loan Trust, Series      
2007-11T1, Class A12      
0.5963% due 05/25/2037 (b)   706,812 326,865
Countrywide Alternative Loan Trust, Series      
2007-16CB, Class 5A1      
6.25% due 08/25/2037   330,618 169,064
Countrywide Alternative Loan Trust, Series      
2007-7T2, Class A9      
6.00% due 04/25/2037   586,855 390,752
Countrywide Alternative Loan Trust, Series      
2007-OA7, Class A1A      
0.4263% due 05/25/2047 (b)   3,081,441 1,377,661
Countrywide Home Loan Mortgage Pass Through    
Trust, Series 2004-12, Class 11A1      
4.0038% due 08/25/2034 (b)   129,645 84,941
Countrywide Home Loan Mortgage Pass Through    
Trust, Series 2004-22, Class A3      
4.6535% due 11/25/2034 (b)   483,272 358,670
Countrywide Home Loan Mortgage Pass Through    
Trust, Series 2004-HYB5, Class 2A1      
3.8848% due 04/20/2035 (b)   210,222 197,916
Countrywide Home Loans,      
Series 2004-25, Class 1A1      
0.5763% due 02/25/2035 (b)   76,063 44,143
Countrywide Home Loans,      
Series 2004-25, Class 2A1      
0.5863% due 02/25/2035 (b)   112,947 66,047

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
 
United States (continued)      
Countrywide Mortgage Backed Securities, Inc.,    
Series 2005-2, Class 2A1      
0.5663% due 03/25/2035 (b) $ 172,910 $ 94,590
CS First Boston Mortgage Securities Corp., Series    
2003-AR18, Class 2A3      
3.847% due 07/25/2033 (b)   43,994 40,085
CS First Boston Mortgage Securities Corp., Series    
2003-AR20, Class 2A1      
3.8767% due 08/25/2033 (b)   745,985 698,350
CS First Boston Mortgage Securities Corp.,      
Series 2002-AR13, Class 3A      
2.7991% due 05/25/2032 (b)   7,432 7,279
CS First Boston Mortgage Securities Corp.,      
Series 2003-8, Class 5A1      
6.50% due 04/25/2033   43,683 37,950
Deutsche ALT-A Securities, Inc., Alternate Loan    
Trust, Series 2007-1, Class 1A1      
0.3363% due 08/25/2037 (b)   426,684 398,549
Downey Savings & Loan Association Mortgage    
Loan Trust, Series 2006-AR2, Class 2AB3    
0.5563% due 03/19/2017 (b)   2,600,000 28,513
Federal Home Loan Mortgage Corp., Series 2752,    
Class FM      
0.5934% due 12/15/2030 (b)   235,033 234,895
Federal Home Loan Mortgage Corp., Structured    
Pass Through Securities, Series T-62, Class    
1A1      
2.251% due 10/25/2044 (b)   2,573,170 2,514,115
First Alliance Mortgage Loan,      
Series 1997-4, Class A3      
0.4763% due 12/20/2027 (b)   29,117 17,493
First Horizon Asset Securities, Inc., Series      
2003-AR2, Class 2A1      
3.1475% due 07/25/2033 (b)   129,459 120,647
First Horizon Asset Securities, Inc., Series      
2003-AR4, Class 2A1      
4.1286% due 12/25/2033 (b)   251,299 227,054
First Horizon Asset Securities, Inc., Series      
2005-AR3, Class 2A1      
5.366% due 08/25/2035 (b)   231,234 191,355
First Republic Mortgage Loan Trust,      
Series 2001-FRB1, Class A      
0.5934% due 11/15/2031 (b)   114,512 95,636
GMAC Mortgage Corp. Loan Trust, Series      
2004-AR1, Class 22A      
4.7488% due 06/25/2034 (b)   44,784 32,718
Greenpoint Mortgage Funding Trust, Series      
2006-AR6, Class A1A      
0.3263% due 10/25/2046 (b)   1,957,372 1,548,246
Greenpoint Mortgage Funding Trust, Series      
2006-OH1, Class A1      
0.4263% due 01/25/2037 (b)   463,988 229,757
Greenpoint Mortgage Pass-Through Certificates,    
Series 2003-1, Class A1      
3.8947% due 10/25/2033 (b)   42,139 34,689
GS Mortgage Securities Corp., Series 2003-1,    
Class A2      
0.9463% due 01/25/2032 (b)   78,610 52,133

The accompanying notes are an integral part of the financial statements.
156



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
United States (continued)      
GSR Mortgage Loan Trust, Series 2003-1, Class A2    
4.5096% due 03/25/2033 (b) $ 270,093 $ 260,940
Harborview Mortgage Loan Trust, Series 2003-1,    
Class A      
4.2435% due 05/19/2033 (b)   454,358 428,061
Harborview Mortgage Loan Trust, Series 2005-4,    
Class 3A1      
5.1437% due 07/19/2035 (b)   93,208 57,870
Harborview Mortgage Loan Trust,      
Series 2006-12, Class 2A2A      
0.4363% due 01/19/2038 (b)   1,046,113 533,708
Indymac Index Mortgage Loan Trust, Series      
2004-AR11, Class 2A      
4.9436% due 12/25/2034 (b)   146,763 88,811
JPMorgan Alternative Loan Trust, Series 2006-A6,    
Class 2A1      
5.50% due 11/25/2036 (b)   983,696 812,095
JPMorgan Chase Commercial Mortgage Securities    
Corp, Series 2006-CB17, Class A4      
5.429% due 12/12/2043   1,700,000 1,572,010
JPMorgan Mortgage Trust, Series 2003-A2, Class    
3A1      
4.3762% due 11/25/2033 (b)   345,154 326,286
JPMorgan Mortgage Trust, Series 2005-A1, Class    
6T1      
5.0123% due 02/25/2035 (b)   676,960 648,118
JPMorgan Mortgage Trust, Series 2007-A1, Class    
5A6      
4.4933% due 07/25/2035 (b)   1,193,654 556,665
JPMorgan Mortgage Trust,      
Series 2007-A1, Class 5A5      
4.4933% due 07/25/2035 (b)   3,580,963 3,272,220
Mastr Adjustable Rate Mortgages Trust, Series    
2007-HF1, Class A1      
0.4863% due 05/25/2037 (b)   727,238 345,603
Mellon Residential Funding Corp., Series      
2000-TBC3, Class A1      
0.6834% due 12/15/2030 (b)   116,302 99,463
Merrill Lynch Alternative Note Asset, Series      
2007-AF1, Class AV1      
5.54% due 06/25/2037 (b)   1,694,544 803,120
Merrill Lynch Mortgage Investors, Inc., Series    
2003-A2, Class 1A1      
4.4409% due 02/25/2033 (b)   235,868 209,976
Merrill Lynch Mortgage Investors, Inc., Series    
2005-2, Class 1A      
4.25% due 10/25/2035 (b)   1,822,869 1,582,631
Merrill Lynch Mortgage Investors, Inc., Series    
2005-3, Class 4A      
0.4963% due 11/25/2035 (b)   1,702,768 1,220,744
Merrill Lynch Mortgage Investors, Inc., Series    
2005-A10, Class A      
0.4563% due 02/25/2036 (b)   5,893,268 3,384,118
Merrill Lynch Mortgage Investors, Inc., Series    
2005-A8, Class A3A2      
0.4963% due 08/25/2036 (b)   256,810 140,736
Merrill Lynch/Countrywide Commercial Mortgage    
Trust, Series 2007-5, Class A4      
5.378% due 08/12/2048   1,400,000 1,044,329

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
 
United States (continued)      
Merrill Lynch/Countrywide Commercial Mortgage    
Trust, Series 2007-8, Class A3      
6.1555% due 08/12/2049 (b) $ 3,200,000 $ 2,559,182
Merrill Lynch/Countrywide Commercial      
Mortgage Trust, Series 2006-3, Class A4      
5.414% due 07/12/2046 (b)   2,400,000 2,145,452
Puma Finance, Ltd., Series 2006-G5, Class A1    
0.4888% due 02/21/2038 (b)(g)   992,460 878,165
Residential Accredit Loans, Inc., Series 2006-QA2,    
Class 2A1      
5.7143% due 02/25/2036 (b)   1,248,036 648,252
Residential Accredit Loans, Inc., Series 2006-QO6,    
Class A1      
0.4263% due 06/25/2046 (b)   3,907,634 1,845,340
Residential Accredit Loans, Inc., Series 2007-QH4,    
Class A2      
0.4763% due 05/25/2037 (b)   1,330,070 327,509
Residential Accredit Loans, Inc., Series 2007-QO2,    
Class A1      
0.3963% due 02/25/2047 (b)   969,024 413,022
Residential Asset Securitization Trust, Series    
2005-A15, Class 5A1      
5.75% due 02/25/2036   667,800 409,380
Residential Asset Securitization Trust, Series    
2006-R1, Class A2      
0.6463% due 01/25/2046 (b)   1,005,257 466,756
Residential Funding Mortgage Securities I, Series    
2005-SA4, Class 1A21      
5.2034% due 09/25/2035 (b)   253,523 169,199
Sequoia Mortgage Trust, Series 5, Class A      
0.5963% due 10/19/2026 (b)   73,904 58,289
Sequoia Mortgage Trust, Series 2003-4, Class 2A1    
0.5963% due 07/20/2033 (b)   279,553 234,752
Structured Adjustable Rate Mortgage Loan Trust,    
Series 2004-1, Class 4A1      
3.75% due 02/25/2034 (b)   253,221 211,825
Structured Adjustable Rate Mortgage Loan Trust,    
Series 2004-12, Class 7A1      
5.21% due 09/25/2034 (b)   1,108,701 971,399
Structured Adjustable Rate Mortgage Loan Trust,    
Series 2004-4, Class 3A2      
3.6188% due 04/25/2034 (b)   582,964 499,068
Structured Asset Mortgage Investments, Inc.,    
Series 2006-AR5, Class 1A1      
0.4563% due 05/25/2046 (b)   959,887 535,235
Thornburg Mortgage Securities Trust, Series    
2003-5, Class 1A      
4.2783% due 10/25/2043 (b)   1,532,796 1,349,974
WaMu Mortgage Pass Through Certificates, Series    
2003-AR9, Class 1A6      
2.8327% due 09/25/2033 (b)   993,919 920,783
WaMu Mortgage Pass Through Certificates, Series    
2006-AR19, Class 1A      
1.6408% due 01/25/2047 (b)   987,932 458,481
WaMu Mortgage Pass-Through Certificates, Series    
2002-AR17, Class 1A      
2.1008% due 11/25/2042 (b)   624,672 386,669

The accompanying notes are an integral part of the financial statements.
157



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
COLLATERALIZED MORTGAGE      
OBLIGATIONS (continued)      
 
United States (continued)      
WaMu Mortgage Pass-Through Certificates, Series    
2002-AR2, Class A      
2.723% due 02/27/2034 (b) $ 135,649 $ 125,731
WaMu Mortgage Pass-Through Certificates, Series    
2003-AR5, Class A7      
2.9101% due 06/25/2033 (b)   189,094 164,627
WaMu Mortgage Pass-Through Certificates, Series    
2005-AR15, Class A1A1      
0.5063% due 11/25/2045 (b)   358,872 214,732
WaMu Mortgage Pass-Through Certificates, Series    
2005-AR2, Class 2A1A      
0.5563% due 01/25/2045 (b)   99,184 62,433
WaMu Mortgage Pass-Through Certificates, Series    
2005-AR6, Class 2A1A      
0.4763% due 04/25/2045 (b)   199,341 125,023
WaMu Mortgage Pass-Through Certificates,      
Series 2003-R1, Class A1      
0.7863% due 12/25/2027 (b)   305,919 215,508
Washington Mutual Alternative Mortgage      
Pass-Through Certificates, Series 2006-AR5,    
Class 3A      
1.8408% due 07/25/2046 (b)   655,125 253,559
Washington Mutual Mortgage Pass Through      
Certificates, Series 2006-AR9, Class 1A      
1.9008% due 08/25/2046 (b)   707,073 368,844
Wells Fargo Mortgage Backed Securities Trust,    
Series 2005-AR11, Class 1A1      
4.6075% due 06/25/2035 (b)   5,791,064 5,563,975
 
      75,078,498

 
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS  
(Cost $120,420,539)   $ 96,921,435

 
ASSET BACKED SECURITIES - 2.52%      
 
Canada - 0.45%      
Ford Auto Securitization Trust, Series 2009-R1A,    
Class A1      
3.396% due 11/15/2011 (g) CAD 3,086,346 2,850,866
Ford Auto Securitization Trust, Series 2009-R1A,    
Class A2      
4.817% due 10/15/2012 (g)   1,500,000 1,364,524
 
      4,215,390
 
Ireland - 0.34%      
Cars Alliance Funding PLC, Series 2007-1, Class A    
1.168% due 10/08/2023 (b) EUR 1,400,000 1,949,436
SC Germany Auto, Series 2007-1, Class A      
0.531% due 08/11/2015 (b)   869,311 1,251,052
 
      3,200,488
 
Netherlands - 0.09%      
Globaldrive BV, Series 2007-1, Class B      
0.741% due 06/20/2015 (b)   650,000 834,691
 
United States - 1.64%      
Access Group, Inc., Series 2008-1, Class A      
1.8038% due 10/27/2025 (b) $ 2,311,340 2,334,348
Amortizing Residential Collateral Trust,      
Series 2002-BC4, Class A      
0.5363% due 07/25/2032 (b)   6,344 3,868

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value
 
 
ASSET BACKED SECURITIES      
(continued)      
 
United States (continued)      
Amresco Residential Securities,      
Series 1999-1, Class A      
1.1863% due 06/25/2029 (b) $ 27,650 $ 16,168
Ford Credit Auto Owner Trust, Series 2008-C,    
Class A2B      
1.1434% due 01/15/2011 (b)   2,009,931 2,012,704
Ford Credit Auto Owner Trust, Series 2008-C,    
Class A3      
1.6634% due 06/15/2012 (b)   2,200,000 2,221,773
Franklin Auto Trust, Series 2008-A, Class A2    
1.2463% due 10/20/2011 (b)   1,166,571 1,168,945
Home Equity Asset Trust, Series 2002-1, Class A4    
0.8463% due 11/25/2032 (b)   1,283 534
Nelnet Student Loan Trust, Series 2008-4, Class A1    
1.0338% due 04/27/2015 (b)   1,878,179 1,881,038
Residential Asset Mortgage Products, Inc.,    
Series 2002-RS3, Class AII1      
0.8063% due 06/25/2032 (b)   18,135 10,447
Residential Asset Securities Corp.,      
Series 2002-KS4, Class AIIB      
0.7463% due 07/25/2032 (b)   46,824 22,115
Securitized Asset Backed Receivables LLC Trust,    
Series 2007-NC1, Class A2A      
0.2963% due 12/25/2036 (b)   1,095,516 931,105
Structured Asset Mortgage Investments, Inc.,    
Series 2004-AR3, Class 1A2      
0.8263% due 07/19/2034 (b)   139,670 102,306
Wachovia Bank Commercial Mortgage Trust,    
Series 2006-C28, Class A4      
5.572% due 10/15/2048 (b)   4,700,000 4,119,850
Wells Fargo Home Equity Trust,      
Series 2005-2, Class AI1A      
0.4763% due 10/25/2035 (b)   446,804 426,950
 
      15,252,151

 
TOTAL ASSET BACKED SECURITIES    
(Cost $24,333,686)   $ 23,502,720

 
SUPRANATIONAL OBLIGATIONS - 0.10%    
 
Australia - 0.10%      
European Investment Bank, Series INTL    
3.625% due 10/15/2013 EUR 600,000 917,814

TOTAL SUPRANATIONAL OBLIGATIONS    
(Cost $877,439)   $ 917,814

 
PREFERRED STOCKS - 0.39%      
 
United States - 0.39%      
DG Funding Trust (g)(h)   236 2,008,950
SLM Corp. (h)   9,800 119,560
State Street Capital Trust IV (h)   2,300,000 1,483,321
 
      3,611,831

 
TOTAL PREFERRED STOCKS (Cost $4,915,480) $ 3,611,831

 
TERM LOANS - 0.70%      
 
Australia - 0.25%      
Seven Media Group, Term T1      
5.9949% due 02/07/2013 (b) AUD 3,427,927 2,373,932

The accompanying notes are an integral part of the financial statements.
158



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Bond Trust (continued)    
    Shares or  
    Principal  
    Amount Value

 
TERM LOANS (continued)      
 
United States - 0.45%      
Chrysler Financial      
4.25% due 08/03/2012 (b) $ 3,454,914 $ 3,308,944
Ford Motor Company, Term B      
3.494% due 11/29/2013 (b)   970,084 859,044
 
      4,167,988

 
TOTAL TERM LOANS (Cost $7,096,956)   $ 6,541,920

 
REPURCHASE AGREEMENTS - 0.45%      
JPMorgan Chase & Company      
Tri-Party Repurchase Agreement      
dated 09/30/2009 at 0.07% to be      
repurchased at $2,900,006 on      
10/01/2009, collateralized by      
$2,951,700 U.S. Treasury Notes,      
3.00% due 09/30/2016 (valued at      
$2,977,527, including interest) $ 2,900,000 $ 2,900,000
Repurchase Agreement with State Street      
Corp. dated 09/30/2009 at 0.01% to be      
repurchased at $1,310,000 on 10/01/2009,      
collateralized by $1,330,000 Federal Home      
Loan Bank, 0.93% due 03/30/2010 (valued      
at $1,339,975, including interest)   1,310,000 1,310,000

TOTAL REPURCHASE AGREEMENTS      
(Cost $4,210,000)   $ 4,210,000

 
SHORT TERM INVESTMENTS - 0.30%      
U.S. Treasury Bills      
0.19% due 04/01/2010 *** $ 1,740,000 $ 1,738,390
0.2602% due 02/25/2010 ***   1,047,000 1,046,324

TOTAL SHORT TERM INVESTMENTS      
(Cost $2,784,327)   $ 2,784,714

Total Investments (Global Bond Trust)      
(Cost $979,365,247) - 103.27%   $ 963,561,109
Other assets and liabilities, net - (3.27)%     (30,552,853)
 
TOTAL NET ASSETS - 100.00%   $ 933,008,256
 
 
Schedule of Securities Sold Short    
    Shares or  
    Principal  
    Amount Value
 
 
FEDERAL NATIONAL MORTGAGE      
ASSOCIATION - 67.24%      
Federal National Mortgage Association      
5.00%, TBA ** $ 3,000,000 $ 3,145,078
5.50%, TBA **   14,000,000 $ 14,597,187
6.00%, TBA **   18,500,000 $ 19,455,351

TOTAL FEDERAL NATIONAL MORTGAGE      
ASSOCIATION (Proceeds $37,087,541)   $ 37,197,616

 
GOVERNMENT NATIONAL MORTGAGE      
ASSOCIATION - 32.76%      
Government National Mortgage Association      
6.00%, TBA **   100,000 $ 105,563

Global Bond Trust (continued)
    Shares or  
    Principal  
    Amount Value
 
 
GOVERNMENT NATIONAL MORTGAGE    
ASSOCIATION (continued)      
Government National Mortgage Association      
(continued)      
6.50%, TBA ** $ 17,000,000 $ 18,014,687

TOTAL GOVERNMENT NATIONAL      
MORTGAGE      
ASSOCIATION (Proceeds $18,135,969)   $ 18,120,250

Total Securities Sold Short (Global Bond Trust)    
(Proceeds $55,223,510)   $ 55,317,866
 
 
 
 
Global Real Estate Trust      
    Shares or  
    Principal  
    Amount Value
 
 
COMMON STOCKS - 97.53%      
 
Australia - 12.13%      
CFS Gandel Retail Trust   88,615 $ 156,598
Charter Hall Group, Ltd   17,645 9,755
Commonwealth Property Office Fund, Ltd.   71,423 59,666
Dexus Property Group, REIT   171,864 127,664
FKP Property Group, Ltd.   15,506 10,331
General Property Trust, Ltd.   274,569 165,261
Goodman Group, Ltd.   304,877 177,602
ING Industrial Fund   16,854 9,337
Macquarie Leisure Trust Group   9,729 12,308
Macquarie Office Trust   309,171 81,472
Mirvac Group, Ltd.   102,785 151,681
Stockland Company, Ltd.   92,987 333,152
Westfield Group   82,667 1,006,587
 
      2,301,414
Brazil - 0.24%      
Multiplan Empreendimentos Imobiliarios SA 2,950 46,208
 
Bulgaria - 0.00%      
BGP Holdings PLC *   194,291 0
 
Canada - 2.45%      
Allied Properties Real Estate Investment Trust 3,250 50,177
Boardwalk Real Estate Investment Trust   4,100 147,625
Chartwell Seniors Housing Real Estate      
Investment Trust   3,000 18,634
First Capital Realty, Inc., REIT   1,800 32,364
First Capital Realty, Inc. *   1,750 31,465
RioCan Real Estate Investment Trust   11,000 184,934
 
      465,199
Finland - 0.21%      
Technopolis Oyj   7,500 39,496
 
France - 4.60%      
Fonciere Des Regions (a)   849 98,913
Klepierre SA   2,499 99,145
Unibail-Rodamco SE, REIT   3,250 676,052
 
      874,110
Guernsey - 0.77%      
Camper & Nicholsons Marina Investments, Ltd. * 382,075 146,547
 
Hong Kong - 16.67%      
China Overseas Land & Investment, Ltd.   163,492 350,659

The accompanying notes are an integral part of the financial statements.
159



JOHN HANCOCK TRUST

PORTFOLIO OF INVESTMENTS - September 30, 2009 (Unaudited) - continued
(showing percentage of total net assets)

Global Real Estate Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
Hong Kong (continued)    
China Resources Land, Ltd. 91,000 $ 197,751
Hang Lung Properties, Ltd. 59,408 217,782
Henderson Land Development Company, Ltd. 41,000 262,362
Kerry Properties, Ltd. 54,233 291,284
Link, REIT 74,500 164,288
New World Development Company, Ltd. 106,038 224,080
Shimao Property Holdings, Ltd., GDR 60,000 100,985
Sino Land Company, Ltd. 56,000 99,654
Sino-Ocean Land Holdings, Ltd. 54,500 48,847
Sun Hung Kai Properties, Ltd. 82,185 1,206,680
 
    3,164,372
Indonesia - 0.22%    
Ciputra Development Tbk PT * 540,000 41,333
 
Italy - 0.18%    
Beni Stabili SpA 40,000 34,493
 
Japan - 11.18%    
Aeon Mall Company, Ltd. 4,500 92,819
Daikyo, Inc. * (a) 25,000 57,121
Japan Real Estate Investment Corp., REIT 11 89,743
Kenedix, Inc. * 87 33,915
Mitsubishi Estate Company, Ltd. 37,000 578,347
Mitsui Fudosan Company, Ltd. 34,000 569,892
MORI TRUST Sogo Reit, Inc. 6 48,366
Nippon Building Fund, Inc., REIT 12 106,863
Nomura Real Estate Office Fund, Inc. 8 53,066
Sumitomo Realty &    
Development Company, Ltd. 18,000 326,038
Tokyo Tatemono Company, Ltd. 15,000 72,627
Tokyu REIT, Inc. * 5 24,901
Top REIT, Inc. * 7 33,681
United Urban Investment Corp. * 6 35,100
 
    2,122,479
Netherlands - 1.88%    
Corio NV 3,000 206,980
Vastned Retail NV, REIT 800 51,542
Wereldhave NV 1,000 98,514
 
    357,036
Philippines - 0.31%    
Megaworld Corp. 1,849,000 58,141
 
Singapore - 6.04%    
Ascendas, REIT * 160,141 217,838
Capitaland, Ltd. 135,500 354,692
CDL Hospitality Trusts, REIT * 52,000 52,758
Hong Kong Land Holdings, Ltd. 81,000 350,240
Suntec Real Estate Investment Trust * 114,000 85,296
Wing Tai Holdings, Ltd. 72,000 85,111
 
    1,145,935
South Africa - 0.08%    
Growthpoint Properties, Ltd. 8,372 15,055
 
Thailand - 0.10%    
Amata Corp. PCL 70,300 18,306
 
United Kingdom - 6.15%    
Big Yellow Group PLC * 12,500 74,957

Global Real Estate Trust (continued)  
  Shares or  
  Principal  
  Amount Value
 
 
COMMON STOCKS (continued)    
 
United Kingdom (continued)    
British Land Company PLC 21,000 $ 159,594
Derwent Valley Holdings PLC 4,000 78,008
Great Portland Estates PLC 20,586 87,085
Hammerson PLC 19,000 119,916
Helical Bar PLC 15,000 89,963
Land Securities Group PLC 20,000 199,875
Liberty International PLC 3,006 23,069
Safestore Holdings, Ltd. 25,000 60,390
Segro PLC 19,421 114,191
Shaftesbury PLC 4,000 22,904
Unite Group PLC - Sub Shares * 1,363 289
Unite Group PLC 32,500 136,787
 
    1,167,028
United States - 34.32%    
AMB Property Corp., REIT 8,100 185,895
American Campus Communities, Inc., REIT 5,104 137,042
Apartment Investment & Management    
Company, Class A, REIT 9,300 137,175
Avalon Bay Communities, Inc., REIT 3,754 273,028
BioMed Realty Trust, Inc., REIT 8,450 116,610
Boston Properties, Inc., REIT 7,400 485,070
BRE Properties, Inc., Class A, REIT 6,150 192,495
Cogdell Spencer, Inc., REIT 7,100 34,080
Colonial Properties Trust, REIT 2,850 27,730
DiamondRock Hospitality Company, REIT * 7,800 63,180
Digital Realty Trust, Inc., REIT 5,920 270,603
Duke Realty Corp., REIT 10,600 127,306