0001145549-24-030994.txt : 20240528 0001145549-24-030994.hdr.sgml : 20240528 20240528100958 ACCESSION NUMBER: 0001145549-24-030994 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240331 FILED AS OF DATE: 20240528 DATE AS OF CHANGE: 20240528 PERIOD START: 20241231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: JOHN HANCOCK VARIABLE INSURANCE TRUST CENTRAL INDEX KEY: 0000756913 ORGANIZATION NAME: IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-04146 FILM NUMBER: 24987282 BUSINESS ADDRESS: STREET 1: C/O JOHN HANCOCK FUNDS STREET 2: 200 BERKELEY STREET CITY: BOSTON STATE: MA ZIP: 02116 BUSINESS PHONE: 617-663-3000 MAIL ADDRESS: STREET 1: C/O JOHN HANCOCK FUNDS STREET 2: 200 BERKELEY STREET CITY: BOSTON STATE: MA ZIP: 02116 FORMER COMPANY: FORMER CONFORMED NAME: JOHN HANCOCK TRUST DATE OF NAME CHANGE: 20050124 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 S000017250 American Asset Allocation Trust C000047744 Series I JAHZX C000047745 Series II JAIFX C000047746 Series III JAIDX NPORT-P 1 primary_doc.xml NPORT-P false 0000756913 XXXXXXXX S000017250 C000047744 C000047745 C000047746 John Hancock Variable Insurance Trust 811-04146 0000756913 Z5DUWKEPW78QKD87GA06 200 Berkeley Street Boston 02116 617-543-9634 American Asset Allocation Trust S000017250 549300SWLGR8INV4LQ57 2024-12-31 2024-03-31 N 1199636386.440000000000 53958.660000000000 1199582427.780000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.480000000000 N AMERICAN FIS ASSET ALLOC-1 N/A AMERICAN FIS ASSET ALLOC-1 030372601 46950478.59 NS USD 1199584728.05 100.0001917559 Long EC RF US N 1 N N N 2024-04-30 John Hancock Variable Insurance Trust /s/Salvatore Schiavone Salvatore Schiavone Treasurer XXXX NPORT-EX 2 edgar.htm
John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

500 Index Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 97.1%      
Communication services – 8.7%          
Diversified telecommunication services – 0.6%      
AT&T, Inc.   1,501,923   $ 26,433,845
Verizon Communications, Inc.   882,862     37,044,890
          63,478,735
Entertainment – 1.3%      
Electronic Arts, Inc.   51,664     6,854,263
Live Nation Entertainment, Inc. (A)   30,390     3,214,350
Netflix, Inc. (A)   90,939     55,229,983
Take-Two Interactive Software, Inc. (A)   33,229     4,934,174
The Walt Disney Company   386,212     47,256,900
Warner Brothers Discovery, Inc. (A)   468,020     4,085,815
          121,575,485
Interactive media and services – 6.0%      
Alphabet, Inc., Class A (A)   1,238,350     186,904,166
Alphabet, Inc., Class C (A)   1,036,910     157,879,917
Match Group, Inc. (A)   57,048     2,069,701
Meta Platforms, Inc., Class A   462,357     224,511,312
          571,365,096
Media – 0.6%      
Charter Communications, Inc., Class A (A)   20,642     5,999,184
Comcast Corp., Class A   832,009     36,067,590
Fox Corp., Class A   49,917     1,560,905
Fox Corp., Class B   28,364     811,778
News Corp., Class A   77,739     2,035,207
News Corp., Class B   24,074     651,442
Omnicom Group, Inc.   42,313     4,094,206
Paramount Global, Class B   101,798     1,198,162
The Interpublic Group of Companies, Inc.   78,829     2,572,190
          54,990,664
Wireless telecommunication services – 0.2%      
T-Mobile US, Inc.   109,580     17,885,648
          829,295,628
Consumer discretionary – 10.0%          
Automobile components – 0.1%      
Aptiv PLC (A)   58,075     4,625,674
BorgWarner, Inc.   47,743     1,658,592
          6,284,266
Automobiles – 1.3%      
Ford Motor Company   825,999     10,969,267
General Motors Company   242,340     10,990,119
Tesla, Inc. (A)   582,304     102,363,220
          124,322,606
Broadline retail – 3.7%      
Amazon.com, Inc. (A)   1,920,885     346,489,236
eBay, Inc.   110,933     5,855,044
Etsy, Inc. (A)   25,524     1,754,009
          354,098,289
Distributors – 0.1%      
Genuine Parts Company   29,082     4,505,674
LKQ Corp.   57,961     3,095,697
Pool Corp.   7,981     3,220,334
          10,821,705
Hotels, restaurants and leisure – 2.0%      
Airbnb, Inc., Class A (A)   91,458     15,086,912
Booking Holdings, Inc.   7,337     26,617,756
Caesars Entertainment, Inc. (A)   43,225     1,890,662
Carnival Corp. (A)   208,498     3,406,857
Chipotle Mexican Grill, Inc. (A)   5,769     16,769,156
Darden Restaurants, Inc.   24,711     4,130,444
500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Domino's Pizza, Inc.   7,234   $ 3,594,430
Expedia Group, Inc. (A)   27,593     3,800,936
Hilton Worldwide Holdings, Inc.   52,779     11,258,288
Las Vegas Sands Corp.   77,894     4,027,120
Marriott International, Inc., Class A   52,026     13,126,680
McDonald's Corp.   152,370     42,960,722
MGM Resorts International (A)   57,206     2,700,695
Norwegian Cruise Line Holdings, Ltd. (A)   94,115     1,969,827
Royal Caribbean Cruises, Ltd. (A)   49,856     6,930,483
Starbucks Corp.   238,032     21,753,744
Wynn Resorts, Ltd.   19,273     1,970,279
Yum! Brands, Inc.   59,319     8,224,579
          190,219,570
Household durables – 0.4%      
D.R. Horton, Inc.   62,456     10,277,135
Garmin, Ltd.   31,837     4,739,574
Lennar Corp., Class A   51,815     8,911,144
Mohawk Industries, Inc. (A)   10,631     1,391,492
NVR, Inc. (A)   687     5,564,673
PulteGroup, Inc.   44,644     5,384,959
          36,268,977
Leisure products – 0.0%      
Hasbro, Inc.   26,168     1,479,015
Specialty retail – 2.0%      
AutoZone, Inc. (A)   3,616     11,396,366
Bath & Body Works, Inc.   46,024     2,302,120
Best Buy Company, Inc.   40,399     3,313,930
CarMax, Inc. (A)   34,276     2,985,782
Lowe's Companies, Inc.   120,594     30,718,910
O'Reilly Automotive, Inc. (A)   12,465     14,071,489
Ross Stores, Inc.   71,129     10,438,892
The Home Depot, Inc.   209,072     80,200,019
The TJX Companies, Inc.   240,164     24,357,433
Tractor Supply Company   22,804     5,968,263
Ulta Beauty, Inc. (A)   10,181     5,323,441
          191,076,645
Textiles, apparel and luxury goods – 0.4%      
Deckers Outdoor Corp. (A)   5,378     5,062,096
Lululemon Athletica, Inc. (A)   24,201     9,454,121
NIKE, Inc., Class B   255,383     24,000,894
Ralph Lauren Corp.   8,648     1,623,748
Tapestry, Inc.   47,507     2,255,632
VF Corp.   66,571     1,021,199
          43,417,690
          957,988,763
Consumer staples – 5.8%          
Beverages – 1.4%      
Brown-Forman Corp., Class B   36,859     1,902,662
Constellation Brands, Inc., Class A   34,078     9,261,037
Keurig Dr. Pepper, Inc.   218,497     6,701,303
Molson Coors Beverage Company, Class B   37,938     2,551,331
Monster Beverage Corp. (A)   155,586     9,223,138
PepsiCo, Inc.   288,814     50,545,338
The Coca-Cola Company   816,944     49,980,634
          130,165,443
Consumer staples distribution and retail – 1.8%      
Costco Wholesale Corp.   93,200     68,281,116
Dollar General Corp.   46,152     7,202,481
Dollar Tree, Inc. (A)   43,043     5,731,175
Sysco Corp.   103,750     8,422,425
Target Corp.   96,890     17,169,877
 
  1  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer staples distribution and retail (continued)      
The Kroger Company   139,979   $ 7,997,000
Walgreens Boots Alliance, Inc.   154,719     3,355,855
Walmart, Inc.   900,719     54,196,262
          172,356,191
Food products – 0.8%      
Archer-Daniels-Midland Company   112,105     7,041,315
Bunge Global SA   30,477     3,124,502
Campbell Soup Company   40,598     1,804,581
Conagra Brands, Inc.   98,539     2,920,696
General Mills, Inc.   119,303     8,347,631
Hormel Foods Corp.   58,343     2,035,587
Kellanova   53,996     3,093,431
Lamb Weston Holdings, Inc.   30,263     3,223,917
McCormick & Company, Inc.   54,062     4,152,502
Mondelez International, Inc., Class A   282,913     19,803,910
The Hershey Company   31,565     6,139,393
The J.M. Smucker Company   22,435     2,823,893
The Kraft Heinz Company   167,615     6,184,994
Tyson Foods, Inc., Class A   61,645     3,620,411
          74,316,763
Household products – 1.2%      
Church & Dwight Company, Inc.   52,281     5,453,431
Colgate-Palmolive Company   173,121     15,589,546
Kimberly-Clark Corp.   71,005     9,184,497
The Clorox Company   26,539     4,063,386
The Procter & Gamble Company   494,633     80,254,204
          114,545,064
Personal care products – 0.1%      
Kenvue, Inc.   363,186     7,793,972
The Estee Lauder Companies, Inc., Class A   49,028     7,557,666
          15,351,638
Tobacco – 0.5%      
Altria Group, Inc.   371,639     16,210,893
Philip Morris International, Inc.   326,105     29,877,740
          46,088,633
          552,823,732
Energy – 3.8%          
Energy equipment and services – 0.3%      
Baker Hughes Company   211,235     7,076,373
Halliburton Company   185,026     7,293,725
Schlumberger, Ltd.   299,662     16,424,474
          30,794,572
Oil, gas and consumable fuels – 3.5%      
APA Corp.   61,418     2,111,551
Chevron Corp.   364,260     57,458,372
ConocoPhillips   247,125     31,454,070
Coterra Energy, Inc.   161,099     4,491,440
Devon Energy Corp.   135,178     6,783,232
Diamondback Energy, Inc.   37,798     7,490,430
EOG Resources, Inc.   122,699     15,685,840
EQT Corp.   86,684     3,213,376
Exxon Mobil Corp.   834,088     96,954,389
Hess Corp.   58,291     8,897,538
Kinder Morgan, Inc.   407,700     7,477,218
Marathon Oil Corp.   122,835     3,481,144
Marathon Petroleum Corp.   77,101     15,535,852
Occidental Petroleum Corp.   138,973     9,031,855
ONEOK, Inc.   122,606     9,829,323
Phillips 66   90,207     14,734,411
Pioneer Natural Resources Company   49,047     12,874,838
Targa Resources Corp.   47,383     5,306,422
500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
The Williams Companies, Inc.   255,987   $ 9,975,813
Valero Energy Corp.   71,592     12,220,038
          335,007,152
          365,801,724
Financials – 12.8%          
Banks – 3.3%      
Bank of America Corp.   1,445,975     54,831,372
Citigroup, Inc.   399,077     25,237,629
Citizens Financial Group, Inc.   99,705     3,618,294
Comerica, Inc.   26,372     1,450,196
Fifth Third Bancorp   141,001     5,246,647
Huntington Bancshares, Inc.   310,931     4,337,487
JPMorgan Chase & Co.   608,022     121,786,807
KeyCorp   193,656     3,061,701
M&T Bank Corp.   34,330     4,992,955
Regions Financial Corp.   197,756     4,160,786
The PNC Financial Services Group, Inc.   83,879     13,554,846
Truist Financial Corp.   280,763     10,944,142
U.S. Bancorp   327,467     14,637,775
Wells Fargo & Company   756,351     43,838,104
          311,698,741
Capital markets – 2.7%      
Ameriprise Financial, Inc.   21,046     9,227,408
BlackRock, Inc.   29,335     24,456,590
Cboe Global Markets, Inc.   21,783     4,002,191
CME Group, Inc.   75,512     16,256,978
FactSet Research Systems, Inc.   8,198     3,725,089
Franklin Resources, Inc.   63,812     1,793,755
Intercontinental Exchange, Inc.   120,046     16,497,922
Invesco, Ltd.   91,704     1,521,369
MarketAxess Holdings, Inc.   7,588     1,663,669
Moody's Corp.   33,015     12,975,885
Morgan Stanley   263,241     24,786,773
MSCI, Inc.   16,610     9,309,075
Nasdaq, Inc.   72,745     4,590,210
Northern Trust Corp.   42,787     3,804,620
Raymond James Financial, Inc.   40,042     5,142,194
S&P Global, Inc.   67,520     28,726,384
State Street Corp.   64,676     5,000,748
T. Rowe Price Group, Inc.   46,362     5,652,455
The Bank of New York Mellon Corp.   159,771     9,206,005
The Blackstone Group, Inc.   151,299     19,876,150
The Charles Schwab Corp.   312,515     22,607,335
The Goldman Sachs Group, Inc.   68,456     28,593,387
          259,416,192
Consumer finance – 0.5%      
American Express Company   120,018     27,326,898
Capital One Financial Corp.   79,996     11,910,604
Discover Financial Services   52,523     6,885,240
Synchrony Financial   83,854     3,615,784
          49,738,526
Financial services – 4.2%      
Berkshire Hathaway, Inc., Class B (A)   382,398     160,806,007
Corpay, Inc. (A)   15,122     4,665,742
Fidelity National Information Services, Inc.   124,533     9,237,858
Fiserv, Inc. (A)   125,921     20,124,694
Global Payments, Inc.   54,734     7,315,746
Jack Henry & Associates, Inc.   15,745     2,735,379
Mastercard, Inc., Class A   173,359     83,484,494
PayPal Holdings, Inc. (A)   226,518     15,174,441
 
  2  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Financial services (continued)      
Visa, Inc., Class A   332,357   $ 92,754,192
          396,298,553
Insurance – 2.1%      
Aflac, Inc.   110,325     9,472,505
American International Group, Inc.   148,119     11,578,462
Aon PLC, Class A   42,062     14,036,931
Arch Capital Group, Ltd. (A)   78,397     7,247,019
Arthur J. Gallagher & Company   45,228     11,308,809
Assurant, Inc.   10,727     2,019,250
Brown & Brown, Inc.   48,417     4,238,424
Chubb, Ltd.   85,519     22,160,538
Cincinnati Financial Corp.   33,625     4,175,216
Everest Group, Ltd.   9,314     3,702,315
Globe Life, Inc.   18,268     2,125,847
Loews Corp.   37,763     2,956,465
Marsh & McLennan Companies, Inc.   103,283     21,274,232
MetLife, Inc.   128,710     9,538,698
Principal Financial Group, Inc.   46,973     4,054,240
Prudential Financial, Inc.   75,815     8,900,681
The Allstate Corp.   55,022     9,519,356
The Hartford Financial Services Group, Inc.   62,279     6,417,851
The Progressive Corp.   122,901     25,418,385
The Travelers Companies, Inc.   47,947     11,034,523
W.R. Berkley Corp.   43,307     3,830,071
Willis Towers Watson PLC   21,567     5,930,925
          200,940,743
          1,218,092,755
Health care – 12.1%          
Biotechnology – 1.9%      
AbbVie, Inc.   370,674     67,499,735
Amgen, Inc.   112,368     31,948,470
Biogen, Inc. (A)   30,493     6,575,206
Gilead Sciences, Inc.   261,639     19,165,057
Incyte Corp. (A)   38,006     2,165,202
Moderna, Inc. (A)   70,109     7,470,815
Regeneron Pharmaceuticals, Inc. (A)   22,207     21,374,015
Vertex Pharmaceuticals, Inc. (A)   54,124     22,624,373
          178,822,873
Health care equipment and supplies – 2.5%      
Abbott Laboratories   364,269     41,402,815
Align Technology, Inc. (A)   14,682     4,814,521
Baxter International, Inc.   108,142     4,621,989
Becton, Dickinson and Company   60,888     15,066,736
Boston Scientific Corp. (A)   307,210     21,040,813
Dentsply Sirona, Inc.   43,433     1,441,541
DexCom, Inc. (A)   81,185     11,260,360
Edwards Lifesciences Corp. (A)   127,558     12,189,442
GE HealthCare Technologies, Inc.   85,190     7,744,623
Hologic, Inc. (A)   50,328     3,923,571
IDEXX Laboratories, Inc. (A)   17,471     9,433,117
Insulet Corp. (A)   15,157     2,597,910
Intuitive Surgical, Inc. (A)   73,941     29,509,114
Medtronic PLC   279,244     24,336,115
ResMed, Inc.   30,654     6,070,412
STERIS PLC   20,587     4,628,369
Stryker Corp.   70,971     25,398,392
Teleflex, Inc.   10,276     2,324,123
The Cooper Companies, Inc.   40,805     4,140,075
Zimmer Biomet Holdings, Inc.   44,410     5,861,232
          237,805,270
Health care providers and services – 2.5%      
Cardinal Health, Inc.   50,724     5,676,016
500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care providers and services (continued)      
Cencora, Inc.   34,911   $ 8,483,024
Centene Corp. (A)   112,842     8,855,840
CVS Health Corp.   264,338     21,083,599
DaVita, Inc. (A)   11,227     1,549,887
Elevance Health, Inc.   49,301     25,564,541
HCA Healthcare, Inc.   41,657     13,893,859
Henry Schein, Inc. (A)   27,440     2,072,269
Humana, Inc.   25,857     8,965,139
Laboratory Corp. of America Holdings   18,224     3,981,215
McKesson Corp.   27,561     14,796,123
Molina Healthcare, Inc. (A)   11,914     4,894,629
Quest Diagnostics, Inc.   22,871     3,044,359
The Cigna Group   61,435     22,312,578
UnitedHealth Group, Inc.   194,496     96,217,171
Universal Health Services, Inc., Class B   13,093     2,388,949
          243,779,198
Life sciences tools and services – 1.4%      
Agilent Technologies, Inc.   62,080     9,033,261
Bio-Rad Laboratories, Inc., Class A (A)   4,320     1,494,158
Bio-Techne Corp.   34,148     2,403,678
Charles River Laboratories International, Inc. (A)   10,951     2,967,173
Danaher Corp.   138,090     34,483,835
Illumina, Inc. (A)   32,843     4,510,001
IQVIA Holdings, Inc. (A)   38,481     9,731,460
Mettler-Toledo International, Inc. (A)   4,498     5,988,142
Revvity, Inc.   25,446     2,671,830
Thermo Fisher Scientific, Inc.   81,131     47,154,149
Waters Corp. (A)   12,589     4,333,511
West Pharmaceutical Services, Inc.   15,620     6,180,990
          130,952,188
Pharmaceuticals – 3.8%      
Bristol-Myers Squibb Company   428,064     23,213,911
Catalent, Inc. (A)   39,346     2,221,082
Eli Lilly & Company   167,481     130,293,519
Johnson & Johnson   506,502     80,123,551
Merck & Company, Inc.   532,091     70,209,407
Pfizer, Inc.   1,186,028     32,912,277
Viatris, Inc.   244,448     2,918,709
Zoetis, Inc.   96,505     16,329,611
          358,222,067
          1,149,581,596
Industrials – 8.6%          
Aerospace and defense – 1.4%      
Axon Enterprise, Inc. (A)   14,968     4,683,188
General Dynamics Corp.   47,541     13,429,857
Howmet Aerospace, Inc.   81,497     5,576,840
Huntington Ingalls Industries, Inc.   8,053     2,347,208
L3Harris Technologies, Inc.   39,951     8,513,558
Lockheed Martin Corp.   45,177     20,549,662
Northrop Grumman Corp.   29,811     14,269,333
RTX Corp.   278,862     27,197,411
Textron, Inc.   40,372     3,872,886
The Boeing Company (A)   120,563     23,267,453
TransDigm Group, Inc.   11,646     14,343,214
          138,050,610
Air freight and logistics – 0.4%      
CH Robinson Worldwide, Inc.   23,622     1,798,579
Expeditors International of Washington, Inc.   30,470     3,704,238
FedEx Corp.   48,693     14,108,310
 
  3  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Air freight and logistics (continued)      
United Parcel Service, Inc., Class B   152,194   $ 22,620,594
          42,231,721
Building products – 0.5%      
A.O. Smith Corp.   25,900     2,317,014
Allegion PLC   17,708     2,385,445
Builders FirstSource, Inc. (A)   26,054     5,433,562
Carrier Global Corp.   176,417     10,255,120
Johnson Controls International PLC   143,532     9,375,510
Masco Corp.   45,463     3,586,121
Trane Technologies PLC   48,051     14,424,910
          47,777,682
Commercial services and supplies – 0.6%      
Cintas Corp.   18,158     12,475,091
Copart, Inc. (A)   183,486     10,627,509
Republic Services, Inc.   42,889     8,210,670
Rollins, Inc.   59,060     2,732,706
Veralto Corp.   45,500     4,034,030
Waste Management, Inc.   76,775     16,364,591
          54,444,597
Construction and engineering – 0.1%      
Quanta Services, Inc.   30,081     7,815,044
Electrical equipment – 0.7%      
AMETEK, Inc.   48,455     8,862,420
Eaton Corp. PLC   83,831     26,212,277
Emerson Electric Company   119,684     13,574,559
Generac Holdings, Inc. (A)   12,868     1,623,170
Hubbell, Inc.   11,189     4,643,994
Rockwell Automation, Inc.   24,127     7,028,919
          61,945,339
Ground transportation – 1.1%      
CSX Corp.   415,663     15,408,627
JB Hunt Transport Services, Inc.   16,742     3,335,844
Norfolk Southern Corp.   47,581     12,126,969
Old Dominion Freight Line, Inc.   37,718     8,271,935
Uber Technologies, Inc. (A)   432,339     33,285,780
Union Pacific Corp.   128,055     31,492,566
          103,921,721
Industrial conglomerates – 0.8%      
3M Company   116,013     12,305,499
General Electric Company   228,533     40,114,397
Honeywell International, Inc.   138,292     28,384,433
          80,804,329
Machinery – 1.8%      
Caterpillar, Inc.   107,175     39,272,135
Cummins, Inc.   29,858     8,797,660
Deere & Company   54,625     22,436,673
Dover Corp.   29,688     5,260,417
Fortive Corp.   73,073     6,285,739
IDEX Corp.   15,651     3,819,157
Illinois Tool Works, Inc.   57,365     15,392,750
Ingersoll Rand, Inc.   84,938     8,064,863
Nordson Corp.   11,585     3,180,546
Otis Worldwide Corp.   85,763     8,513,693
PACCAR, Inc.   110,078     13,637,563
Parker-Hannifin Corp.   26,965     14,986,877
Pentair PLC   34,561     2,952,892
Snap-on, Inc.   11,356     3,363,874
Stanley Black & Decker, Inc.   31,464     3,081,270
Wabtec Corp.   37,945     5,527,828
500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Xylem, Inc.   50,953   $ 6,585,166
          171,159,103
Passenger airlines – 0.2%      
American Airlines Group, Inc. (A)   144,014     2,210,615
Delta Air Lines, Inc.   132,778     6,356,083
Southwest Airlines Company   128,158     3,740,932
United Airlines Holdings, Inc. (A)   67,626     3,237,933
          15,545,563
Professional services – 0.7%      
Automatic Data Processing, Inc.   86,298     21,552,063
Broadridge Financial Solutions, Inc.   24,920     5,105,111
Dayforce, Inc. (A)   31,752     2,102,300
Equifax, Inc.   25,896     6,927,698
Jacobs Solutions, Inc.   26,934     4,140,564
Leidos Holdings, Inc.   28,364     3,718,237
Paychex, Inc.   67,471     8,285,439
Paycom Software, Inc.   9,799     1,950,099
Robert Half, Inc.   22,088     1,751,137
Verisk Analytics, Inc.   30,448     7,177,507
          62,710,155
Trading companies and distributors – 0.3%      
Fastenal Company   120,060     9,261,428
United Rentals, Inc.   14,253     10,277,981
W.W. Grainger, Inc.   9,284     9,444,613
          28,984,022
          815,389,886
Information technology – 28.7%          
Communications equipment – 0.8%      
Arista Networks, Inc. (A)   52,969     15,359,951
Cisco Systems, Inc.   854,424     42,644,302
F5, Inc. (A)   12,007     2,276,407
Juniper Networks, Inc.   70,014     2,594,719
Motorola Solutions, Inc.   34,886     12,383,832
          75,259,211
Electronic equipment, instruments and components – 0.6%      
Amphenol Corp., Class A   125,259     14,448,626
CDW Corp.   28,406     7,265,687
Corning, Inc.   163,784     5,398,321
Jabil, Inc.   26,885     3,601,246
Keysight Technologies, Inc. (A)   36,597     5,723,039
TE Connectivity, Ltd.   65,111     9,456,722
Teledyne Technologies, Inc. (A)   10,038     4,309,514
Trimble, Inc. (A)   52,802     3,398,337
Zebra Technologies Corp., Class A (A)   10,441     3,147,335
          56,748,827
IT services – 1.1%      
Accenture PLC, Class A   131,742     45,663,095
Akamai Technologies, Inc. (A)   30,888     3,359,379
Cognizant Technology Solutions Corp., Class A   105,641     7,742,429
EPAM Systems, Inc. (A)   11,855     3,273,877
Gartner, Inc. (A)   16,479     7,855,045
IBM Corp.   192,525     36,764,574
VeriSign, Inc. (A)   18,144     3,438,469
          108,096,868
Semiconductors and semiconductor equipment – 10.0%      
Advanced Micro Devices, Inc. (A)   339,306     61,241,340
Analog Devices, Inc.   104,594     20,687,647
Applied Materials, Inc.   174,844     36,058,078
Broadcom, Inc.   92,483     122,577,893
Enphase Energy, Inc. (A)   28,135     3,403,772
First Solar, Inc. (A)   22,764     3,842,563
 
  4  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
Intel Corp.   889,745   $ 39,300,037
KLA Corp.   28,561     19,951,858
Lam Research Corp.   27,489     26,707,488
Microchip Technology, Inc.   113,684     10,198,592
Micron Technology, Inc.   232,569     27,417,559
Monolithic Power Systems, Inc.   10,072     6,822,974
NVIDIA Corp.   519,081     469,020,828
NXP Semiconductors NV   54,135     13,413,029
ON Semiconductor Corp. (A)   90,555     6,660,320
Qorvo, Inc. (A)   19,929     2,288,447
Qualcomm, Inc.   234,785     39,749,101
Skyworks Solutions, Inc.   32,934     3,567,411
Teradyne, Inc.   31,606     3,566,105
Texas Instruments, Inc.   190,623     33,208,433
          949,683,475
Software – 10.4%      
Adobe, Inc. (A)   94,974     47,923,880
ANSYS, Inc. (A)   18,391     6,384,620
Autodesk, Inc. (A)   44,916     11,697,025
Cadence Design Systems, Inc. (A)   57,132     17,784,049
Fair Isaac Corp. (A)   5,259     6,571,699
Fortinet, Inc. (A)   134,532     9,189,881
Gen Digital, Inc.   119,359     2,673,642
Intuit, Inc.   58,845     38,249,250
Microsoft Corp.   1,561,437     656,927,768
Oracle Corp.   335,105     42,092,539
Palo Alto Networks, Inc. (A)   66,274     18,830,432
PTC, Inc. (A)   25,535     4,824,583
Roper Technologies, Inc.   22,396     12,560,573
Salesforce, Inc.   203,393     61,257,904
ServiceNow, Inc. (A)   43,044     32,816,746
Synopsys, Inc. (A)   31,922     18,243,423
Tyler Technologies, Inc. (A)   8,986     3,819,140
          991,847,154
Technology hardware, storage and peripherals – 5.8%      
Apple, Inc.   3,050,300     523,065,444
Hewlett Packard Enterprise Company   276,954     4,910,394
HP, Inc.   183,648     5,549,843
NetApp, Inc.   43,319     4,547,195
Seagate Technology Holdings PLC   40,232     3,743,588
Super Micro Computer, Inc. (A)   10,230     10,332,607
Western Digital Corp. (A)   68,228     4,655,879
          556,804,950
          2,738,440,485
Materials – 2.3%          
Chemicals – 1.5%      
Air Products & Chemicals, Inc.   46,605     11,290,993
Albemarle Corp.   25,390     3,344,879
Celanese Corp.   20,658     3,550,284
CF Industries Holdings, Inc.   39,411     3,279,389
Corteva, Inc.   147,039     8,479,739
Dow, Inc.   146,860     8,507,600
DuPont de Nemours, Inc.   89,589     6,868,789
Eastman Chemical Company   24,757     2,481,147
Ecolab, Inc.   53,101     12,261,021
FMC Corp.   25,392     1,617,470
International Flavors & Fragrances, Inc.   54,559     4,691,528
Linde PLC   102,085     47,400,107
LyondellBasell Industries NV, Class A   53,969     5,519,949
PPG Industries, Inc.   49,272     7,139,513
The Mosaic Company   71,229     2,312,093
500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Chemicals (continued)      
The Sherwin-Williams Company   49,396   $ 17,156,713
          145,901,214
Construction materials – 0.2%      
Martin Marietta Materials, Inc.   13,084     8,032,791
Vulcan Materials Company   27,905     7,615,833
          15,648,624
Containers and packaging – 0.2%      
Amcor PLC   302,948     2,881,035
Avery Dennison Corp.   17,229     3,846,374
Ball Corp.   67,586     4,552,593
International Paper Company   70,224     2,740,140
Packaging Corp. of America   18,795     3,566,915
Westrock Company   55,147     2,727,019
          20,314,076
Metals and mining – 0.4%      
Freeport-McMoRan, Inc.   301,706     14,186,216
Newmont Corp.   242,400     8,687,616
Nucor Corp.   51,842     10,259,532
Steel Dynamics, Inc.   32,416     4,805,024
          37,938,388
          219,802,302
Real estate – 2.2%          
Health care REITs – 0.2%      
Healthpeak Properties, Inc.   149,164     2,796,825
Ventas, Inc.   85,724     3,732,423
Welltower, Inc.   116,234     10,860,905
          17,390,153
Hotel and resort REITs – 0.0%      
Host Hotels & Resorts, Inc.   152,870     3,161,352
Industrial REITs – 0.2%      
Prologis, Inc.   194,097     25,275,311
Office REITs – 0.1%      
Alexandria Real Estate Equities, Inc.   33,486     4,316,680
Boston Properties, Inc.   29,576     1,931,609
          6,248,289
Real estate management and development – 0.1%      
CBRE Group, Inc., Class A (A)   62,854     6,111,923
CoStar Group, Inc. (A)   85,811     8,289,343
          14,401,266
Residential REITs – 0.3%      
AvalonBay Communities, Inc.   29,344     5,445,073
Camden Property Trust   23,219     2,284,750
Equity Residential   71,650     4,521,832
Essex Property Trust, Inc.   13,881     3,398,208
Invitation Homes, Inc.   118,866     4,232,818
Mid-America Apartment Communities, Inc.   24,239     3,189,368
UDR, Inc.   65,730     2,458,959
          25,531,008
Retail REITs – 0.3%      
Federal Realty Investment Trust   14,679     1,499,019
Kimco Realty Corp.   136,279     2,672,431
Realty Income Corp.   174,295     9,429,360
Regency Centers Corp.   33,451     2,025,793
Simon Property Group, Inc.   68,578     10,731,771
          26,358,374
Specialized REITs – 1.0%      
American Tower Corp.   97,917     19,347,420
Crown Castle, Inc.   91,188     9,650,426
Digital Realty Trust, Inc.   63,658     9,169,298
Equinix, Inc.   19,714     16,270,556
 
  5  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialized REITs (continued)      
Extra Space Storage, Inc.   44,495   $ 6,540,765
Iron Mountain, Inc.   62,270     4,994,677
Public Storage   33,227     9,637,824
SBA Communications Corp.   22,683     4,915,406
VICI Properties, Inc.   217,429     6,477,210
Weyerhaeuser Company   154,513     5,548,562
          92,552,144
          210,917,897
Utilities – 2.1%          
Electric utilities – 1.4%      
Alliant Energy Corp.   55,250     2,784,600
American Electric Power Company, Inc.   110,110     9,480,471
Constellation Energy Corp.   67,069     12,397,705
Duke Energy Corp.   161,336     15,602,805
Edison International   80,489     5,692,987
Entergy Corp.   44,993     4,754,860
Evergy, Inc.   49,811     2,658,911
Eversource Energy   72,426     4,328,902
Exelon Corp.   208,811     7,845,029
FirstEnergy Corp.   106,922     4,129,328
NextEra Energy, Inc.   430,692     27,525,526
NRG Energy, Inc.   47,404     3,208,777
PG&E Corp.   448,540     7,517,530
Pinnacle West Capital Corp.   22,789     1,703,022
PPL Corp.   157,541     4,337,104
The Southern Company   228,249     16,374,583
Xcel Energy, Inc.   116,163     6,243,761
          136,585,901
Gas utilities – 0.0%      
Atmos Energy Corp.   32,243     3,832,725
Independent power and renewable electricity producers –
0.0%
     
The AES Corp.   135,968     2,437,906
Multi-utilities – 0.6%      
Ameren Corp.   56,393     4,170,826
500 Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Multi-utilities (continued)      
CenterPoint Energy, Inc.   135,148   $ 3,850,367
CMS Energy Corp.   62,658     3,780,784
Consolidated Edison, Inc.   72,524     6,585,904
Dominion Energy, Inc.   175,464     8,631,074
DTE Energy Company   43,818     4,913,751
NiSource, Inc.   84,147     2,327,506
Public Service Enterprise Group, Inc.   104,426     6,973,568
Sempra   131,422     9,440,042
WEC Energy Group, Inc.   66,452     5,457,038
          56,130,860
Water utilities – 0.1%      
American Water Works Company, Inc.   41,050     5,016,721
          204,004,113
TOTAL COMMON STOCKS (Cost $3,273,583,362)   $ 9,262,138,881
SHORT-TERM INVESTMENTS – 2.8%      
Short-term funds – 2.8%          
John Hancock Collateral Trust, 5.2975% (B)(C)   26,409,859     264,029,924
TOTAL SHORT-TERM INVESTMENTS (Cost $264,114,969)   $ 264,029,924
Total Investments (500 Index Trust)
(Cost $3,537,698,331) – 99.9%
  $ 9,526,168,805
Other assets and liabilities, net – 0.1%     6,039,755
TOTAL NET ASSETS – 100.0%   $ 9,532,208,560
Security Abbreviations and Legend
(A) Non-income producing security.
(B) The rate shown is the annualized seven-day yield as of 3-31-24.
(C) Investment is an affiliate of the fund, the advisor and/or subadvisor.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
S&P 500 E-Mini Index Futures 1,091 Long Jun 2024 $285,141,350 $289,578,675 $4,437,325
            $4,437,325
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Active Bond Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
52.2%
     
U.S. Government – 18.8%          
U.S. Treasury Bonds          
1.250%, 05/15/2050 $ 2,000,000   $ 1,022,891
1.625%, 11/15/2050   6,500,000     3,671,230
1.875%, 02/15/2041   6,000,000     4,182,891
2.000%, 08/15/2051   3,000,000     1,858,711
2.250%, 05/15/2041 to 02/15/2052   3,389,000     2,472,358
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government (continued)          
U.S. Treasury Bonds (continued)          
2.500%, 02/15/2045 $ 7,566,000   $ 5,532,342
3.000%, 02/15/2047 to 08/15/2052   7,248,000     5,663,874
3.375%, 08/15/2042 to 11/15/2048   5,217,000     4,465,150
3.625%, 02/15/2053   574,000     504,044
3.875%, 05/15/2043   560,000     516,841
 
  6  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government (continued)          
U.S. Treasury Bonds (continued)          
4.000%, 11/15/2042 $ 4,927,000   $ 4,641,003
4.500%, 02/15/2044   6,483,000     6,518,454
4.750%, 11/15/2043 to 11/15/2053   19,672,000     20,679,752
U.S. Treasury Notes          
1.375%, 11/15/2031   4,000,000     3,267,188
1.625%, 05/15/2031   1,590,000     1,339,948
3.875%, 08/15/2033   5,180,000     5,042,406
4.000%, 01/31/2031 to 02/15/2034   13,904,000     13,681,505
4.250%, 02/28/2029 to 02/28/2031   18,199,000     18,228,203
          103,288,791
U.S. Government Agency – 33.4%          
Federal Home Loan Mortgage Corp.          
2.000%, 06/01/2036   706,030     629,479
2.500%, 08/01/2051 to 12/01/2051   1,655,019     1,388,517
3.000%, 03/01/2043 to 02/01/2052   5,264,808     4,642,035
3.500%, 10/01/2046 to 07/01/2052   14,550,765     13,217,355
4.000%, 01/01/2041 to 04/01/2053   8,755,220     8,160,913
4.500%, 12/01/2037 to 08/01/2053   15,260,244     14,696,242
5.000%, 09/01/2052 to 09/01/2053   14,511,573     14,215,721
5.500%, 09/01/2052 to 07/01/2053   4,693,499     4,707,774
Federal National Mortgage Association          
2.000%, 04/01/2037 to 12/01/2050   3,355,666     2,752,200
2.500%, 01/01/2036 to 03/01/2052   8,145,122     6,880,025
3.000%, 01/01/2043 to 03/01/2052   28,389,830     24,816,381
3.500%, 06/01/2042 to 08/01/2052   21,572,331     19,564,563
4.000%, 10/01/2025 to 07/01/2052   23,684,646     22,191,793
4.500%, 11/01/2037 to 08/01/2053   20,729,254     19,912,586
5.000%, 12/01/2034 to 05/01/2053   21,261,996     20,912,309
5.500%, 09/01/2034 to 12/01/2052   3,593,675     3,630,819
5.858%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.605%), 08/01/2034 (A)   104,786     106,706
6.000%, 05/01/2035 to 02/01/2036   732,742     755,966
6.372%, (6 month Refinitiv USD IBOR Consumer Cash Fallback Rate + 2.122%), 07/01/2033 (A)   10,246     10,451
7.000%, 09/01/2031 to 06/01/2032   57,820     60,140
7.500%, 09/01/2029 to 05/01/2031   6,684     6,962
Government National
Mortgage Association
         
4.000%, 02/15/2041   677,929     647,551
5.000%, 04/15/2035   91,281     90,808
5.500%, 03/15/2035   40,756     41,328
6.000%, 03/15/2033 to 06/15/2033   75,588     77,003
6.500%, 09/15/2028 to 08/15/2031   10,023     10,193
7.000%, 04/15/2029   14,208     14,458
8.000%, 10/15/2026   5,835     5,919
          184,146,197
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $308,283,962)   $ 287,434,988
FOREIGN GOVERNMENT OBLIGATIONS – 0.0%      
Argentina – 0.0%          
Republic of Argentina, GDP-Linked Note
7.821%, 12/15/2035 (B)*
ARS 19,532,033     1,617
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $0)   $ 1,617
CORPORATE BONDS – 36.2%      
Communication services – 2.7%          
C&W Senior Finance, Ltd.
6.875%, 09/15/2027 (C)
$ 251,000     237,042
Charter Communications Operating LLC          
2.800%, 04/01/2031   400,000     327,749
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
Charter Communications
Operating LLC (continued)
         
4.200%, 03/15/2028 $ 986,000   $ 929,333
5.750%, 04/01/2048   1,111,000     935,578
6.384%, 10/23/2035   781,000     771,845
Connect Finco SARL
6.750%, 10/01/2026 (C)
  260,000     254,872
GCI LLC
4.750%, 10/15/2028 (C)
  486,000     445,616
Match Group Holdings II LLC          
3.625%, 10/01/2031 (C)   81,000     68,830
4.125%, 08/01/2030 (C)   189,000     168,161
Millicom International Cellular SA          
6.250%, 03/25/2029 (C)   394,200     384,967
7.375%, 04/02/2032 (C)   200,000     200,000
Netflix, Inc.          
4.875%, 04/15/2028   803,000     801,873
5.375%, 11/15/2029 (C)   80,000     81,639
5.875%, 11/15/2028   779,000     809,792
News Corp.
3.875%, 05/15/2029 (C)
  403,000     368,524
Paramount Global          
4.200%, 05/19/2032   190,000     157,843
4.375%, 03/15/2043   831,000     563,945
4.950%, 05/19/2050   761,000     540,986
Sirius XM Radio, Inc.          
4.000%, 07/15/2028 (C)   148,000     135,401
5.000%, 08/01/2027 (C)   643,000     618,619
Telesat Canada
5.625%, 12/06/2026 (C)
  112,000     56,000
T-Mobile USA, Inc.          
3.375%, 04/15/2029   579,000     535,477
3.875%, 04/15/2030   1,893,000     1,773,329
4.500%, 04/15/2050   300,000     260,040
Total Play Telecomunicaciones SA de CV
6.375%, 09/20/2028 (C)
  278,000     136,551
Vodafone Group PLC          
5.625%, 02/10/2053   333,000     330,948
7.000%, (7.000% to 4-4-29, then 5 Year U.S. Swap Rate + 4.873% to 4-4-49, then 5 Year U.S. Swap Rate + 5.623%), 04/04/2079   452,000     466,233
WarnerMedia Holdings, Inc.          
4.279%, 03/15/2032   497,000     443,940
5.050%, 03/15/2042   268,000     230,344
5.141%, 03/15/2052   1,462,000     1,213,456
WMG Acquisition Corp.
3.875%, 07/15/2030 (C)
  120,000     106,317
Zayo Group Holdings, Inc.
4.000%, 03/01/2027 (C)(D)
  364,000     299,624
          14,654,874
Consumer discretionary – 3.5%          
Amer Sports Company
6.750%, 02/16/2031 (C)
  119,000     118,697
Asbury Automotive Group, Inc.          
4.625%, 11/15/2029 (C)   128,000     118,122
4.750%, 03/01/2030   388,000     357,336
AutoNation, Inc.
4.750%, 06/01/2030
  736,000     706,686
Booking Holdings, Inc.
4.625%, 04/13/2030
  569,000     561,975
Brookfield Residential Properties, Inc.
5.000%, 06/15/2029 (C)
  94,000     85,270
 
  7  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Brunswick Corp.
5.850%, 03/18/2029
$ 222,000   $ 224,411
Caesars Entertainment, Inc.
6.500%, 02/15/2032 (C)
  234,000     236,061
CCM Merger, Inc.
6.375%, 05/01/2026 (C)
  89,000     88,917
Century Communities, Inc.
3.875%, 08/15/2029 (C)
  189,000     170,164
Dealer Tire LLC
8.000%, 02/01/2028 (C)
  257,000     255,825
Ford Motor Company          
3.250%, 02/12/2032   395,000     328,563
6.100%, 08/19/2032   562,000     569,483
Ford Motor Credit Company LLC          
4.000%, 11/13/2030   1,016,000     907,138
5.113%, 05/03/2029   897,000     870,830
5.800%, 03/08/2029   337,000     338,341
6.800%, 05/12/2028   1,580,000     1,641,444
Full House Resorts, Inc.
8.250%, 02/15/2028 (C)
  134,000     128,056
GEMS MENASA Cayman, Ltd.
7.125%, 07/31/2026 (C)
  220,000     220,329
General Motors Company
5.400%, 04/01/2048
  272,000     249,440
General Motors Financial Company, Inc.          
2.400%, 10/15/2028   1,305,000     1,154,937
3.600%, 06/21/2030   1,625,000     1,466,894
Group 1 Automotive, Inc.
4.000%, 08/15/2028 (C)
  140,000     129,030
Hilton Grand Vacations Borrower
Escrow LLC
         
5.000%, 06/01/2029 (C)   436,000     406,614
6.625%, 01/15/2032 (C)   454,000     455,833
Hyundai Capital America          
2.375%, 10/15/2027 (C)   156,000     141,430
5.300%, 01/08/2029 (C)   262,000     262,347
5.680%, 06/26/2028 (C)   538,000     545,418
Jacobs Entertainment, Inc.
6.750%, 02/15/2029 (C)
  104,000     101,028
KB Home
4.000%, 06/15/2031
  215,000     190,582
Kohl's Corp.
4.625%, 05/01/2031
  236,000     198,600
Lithia Motors, Inc.          
3.875%, 06/01/2029 (C)   351,000     316,323
4.375%, 01/15/2031 (C)   196,000     175,562
4.625%, 12/15/2027 (C)   50,000     48,020
Macy's Retail Holdings LLC          
5.875%, 04/01/2029 to 03/15/2030 (C)   643,000     627,145
6.125%, 03/15/2032 (C)   365,000     353,790
MDC Holdings, Inc.
2.500%, 01/15/2031
  155,000     133,438
MGM Resorts International
4.750%, 10/15/2028
  731,000     695,226
Midwest Gaming Borrower LLC
4.875%, 05/01/2029 (C)
  496,000     459,274
Mohegan Tribal Gaming Authority
8.000%, 02/01/2026 (C)
  144,000     140,905
Nissan Motor Acceptance Company LLC          
1.850%, 09/16/2026 (C)   631,000     570,964
2.000%, 03/09/2026 (C)   176,000     162,974
Resorts World Las Vegas LLC
4.625%, 04/16/2029 (C)
  435,000     397,060
Royal Caribbean Cruises, Ltd.
6.250%, 03/15/2032 (C)
  118,000     118,939
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Tapestry, Inc.          
7.700%, 11/27/2030 $ 314,000   $ 334,854
7.850%, 11/27/2033   257,000     278,919
The Michaels Companies, Inc.          
5.250%, 05/01/2028 (C)   588,000     501,023
7.875%, 05/01/2029 (C)   421,000     315,848
Travel + Leisure Company
4.625%, 03/01/2030 (C)
  101,000     92,219
Valvoline, Inc.
3.625%, 06/15/2031 (C)
  424,000     365,492
          19,317,776
Consumer staples – 0.7%          
Fiesta Purchaser, Inc.
7.875%, 03/01/2031 (C)
  80,000     82,616
JBS USA LUX SA          
3.625%, 01/15/2032   460,000     393,592
3.750%, 12/01/2031   86,000     74,358
5.750%, 04/01/2033   788,000     776,315
Kraft Heinz Foods Company          
4.375%, 06/01/2046   1,063,000     897,751
5.000%, 06/04/2042   290,000     272,122
MARB BondCo PLC
3.950%, 01/29/2031 (C)
  712,000     587,158
NBM US Holdings, Inc.
6.625%, 08/06/2029 (C)
  554,000     550,475
Pilgrim's Pride Corp.
6.250%, 07/01/2033
  365,000     372,989
          4,007,376
Energy – 5.2%          
Aker BP ASA          
3.750%, 01/15/2030 (C)   150,000     137,070
4.000%, 01/15/2031 (C)   906,000     827,534
Antero Midstream Partners LP          
5.375%, 06/15/2029 (C)   418,000     401,974
6.625%, 02/01/2032 (C)   341,000     342,489
Antero Resources Corp.
5.375%, 03/01/2030 (C)
  90,000     86,434
Ascent Resources Utica Holdings LLC          
5.875%, 06/30/2029 (C)   541,000     515,806
8.250%, 12/31/2028 (C)   47,000     48,282
Cheniere Energy Partners LP          
4.000%, 03/01/2031   766,000     696,224
4.500%, 10/01/2029   736,000     700,486
Cheniere Energy, Inc.
5.650%, 04/15/2034 (C)
  250,000     251,785
Civitas Resources, Inc.
8.625%, 11/01/2030 (C)
  131,000     140,665
Columbia Pipelines Holding Company LLC
5.681%, 01/15/2034 (C)
  413,000     410,272
Columbia Pipelines Operating
Company LLC
         
5.927%, 08/15/2030 (C)   105,000     107,727
6.036%, 11/15/2033 (C)   656,000     679,645
Continental Resources, Inc.          
2.875%, 04/01/2032 (C)   396,000     322,737
4.900%, 06/01/2044   595,000     494,512
5.750%, 01/15/2031 (C)   568,000     564,617
Enbridge, Inc.          
5.500%, (5.500% to 7-15-27, then 3 month CME Term SOFR + 3.680% to 7-15-47, then 3 month CME Term SOFR + 4.430%), 07/15/2077   507,000     480,631
 
  8  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
Enbridge, Inc. (continued)          
5.750%, (5.750% to 7-15-30, then 5 Year CMT + 5.314% to 7-15-50, then 5 Year CMT + 6.064%), 07/15/2080 $ 683,000   $ 646,390
6.250%, (6.250% to 3-1-28, then 3 month CME Term SOFR + 3.903% to 3-1-48, then 3 month CME Term SOFR + 4.653%), 03/01/2078   544,000     529,465
8.500%, (8.500% to 1-15-34, then 5 Year CMT + 4.431% to 1-15-54, then 5 Year CMT + 5.181%), 01/15/2084   171,000     185,797
Energean Israel Finance, Ltd.          
5.375%, 03/30/2028 (C)   99,000     90,287
5.875%, 03/30/2031 (C)   172,000     150,758
Energy Transfer LP          
4.200%, 04/15/2027   368,000     357,815
5.150%, 03/15/2045   550,000     499,749
5.250%, 04/15/2029   615,000     615,680
5.400%, 10/01/2047   651,000     600,787
5.500%, 06/01/2027   237,000     238,467
6.500%, (6.500% to 11-15-26, then 5 Year CMT + 5.694%), 11/15/2026 (E)   1,073,000     1,051,692
7.125%, (7.125% to 5-15-30, then 5 Year CMT + 5.306%), 05/15/2030 (E)   761,000     742,954
Enterprise Products Operating LLC
5.250%, (5.250% to 8-16-27, then 3 month CME Term SOFR + 3.295%), 08/16/2077
  1,018,000     965,986
EQM Midstream Partners LP          
6.375%, 04/01/2029 (C)   164,000     165,205
7.500%, 06/01/2027 to 06/01/2030 (C)   61,000     63,507
Global Partners LP
8.250%, 01/15/2032 (C)
  122,000     126,519
Hess Midstream Operations LP          
4.250%, 02/15/2030 (C)   78,000     71,675
5.500%, 10/15/2030 (C)   31,000     30,037
Kinder Morgan Energy Partners LP
7.750%, 03/15/2032
  172,000     194,753
Leviathan Bond, Ltd.          
6.500%, 06/30/2027 (C)   366,000     352,783
6.750%, 06/30/2030 (C)   85,000     78,648
MC Brazil Downstream Trading SARL
7.250%, 06/30/2031 (C)
  436,022     394,741
MPLX LP          
4.250%, 12/01/2027   355,000     345,255
4.950%, 09/01/2032   344,000     334,158
5.000%, 03/01/2033   355,000     344,616
Occidental Petroleum Corp.          
6.450%, 09/15/2036   618,000     658,952
6.600%, 03/15/2046   276,000     297,453
6.625%, 09/01/2030   676,000     716,357
ONEOK, Inc.          
5.650%, 11/01/2028   131,000     133,909
6.050%, 09/01/2033   565,000     589,269
6.625%, 09/01/2053   633,000     697,631
Ovintiv, Inc.          
5.650%, 05/15/2028   209,000     212,456
6.250%, 07/15/2033   209,000     217,297
7.200%, 11/01/2031   55,000     59,623
Parkland Corp.          
4.500%, 10/01/2029 (C)   266,000     246,028
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
Parkland Corp. (continued)          
4.625%, 05/01/2030 (C) $ 327,000   $ 301,461
Petroleos Mexicanos          
7.690%, 01/23/2050   1,109,000     797,711
8.750%, 06/02/2029   291,000     283,752
Sabine Pass Liquefaction LLC          
4.200%, 03/15/2028   304,000     294,341
4.500%, 05/15/2030   927,000     891,506
5.000%, 03/15/2027   291,000     290,149
Southwestern Energy Company
4.750%, 02/01/2032
  129,000     118,752
Sunoco LP
4.500%, 04/30/2030
  444,000     406,580
Talos Production, Inc.          
9.000%, 02/01/2029 (C)   53,000     56,284
9.375%, 02/01/2031 (C)   66,000     70,360
Targa Resources Corp.          
4.950%, 04/15/2052   668,000     585,260
6.150%, 03/01/2029   521,000     542,990
Targa Resources Partners LP
4.000%, 01/15/2032
  581,000     522,949
The Williams Companies, Inc.          
3.750%, 06/15/2027   215,000     206,898
4.650%, 08/15/2032   284,000     273,695
Var Energi ASA
8.000%, 11/15/2032 (C)
  1,043,000     1,167,492
Venture Global Calcasieu Pass LLC          
3.875%, 08/15/2029 (C)   170,000     153,025
4.125%, 08/15/2031 (C)   296,000     263,203
Venture Global LNG, Inc.
9.500%, 02/01/2029 (C)
  538,000     579,890
Vital Energy, Inc.
7.875%, 04/15/2032 (C)
  162,000     164,571
Western Midstream Operating LP
4.050%, 02/01/2030
  490,000     457,183
          28,643,641
Financials – 10.2%          
Ally Financial, Inc.          
6.992%, (6.992% to 6-13-28, then Overnight SOFR + 3.260%), 06/13/2029   532,000     551,533
7.100%, 11/15/2027 (D)   337,000     352,119
Ambac Assurance Corp.
5.100%, 04/26/2024 (C)(E)
  131     190
AmWINS Group, Inc.
6.375%, 02/15/2029 (C)
  204,000     205,101
Ares Capital Corp.          
2.150%, 07/15/2026   317,000     291,903
2.875%, 06/15/2028   489,000     435,828
3.250%, 07/15/2025   169,000     163,256
5.875%, 03/01/2029   382,000     380,858
Athene Holding, Ltd.
3.500%, 01/15/2031
  141,000     123,903
Banco Santander SA
4.379%, 04/12/2028
  593,000     573,940
Bank of America Corp.          
2.087%, (2.087% to 6-14-28, then Overnight SOFR + 1.060%), 06/14/2029   850,000     751,127
2.592%, (2.592% to 4-29-30, then Overnight SOFR + 2.150%), 04/29/2031   973,000     838,869
2.687%, (2.687% to 4-22-31, then Overnight SOFR + 1.320%), 04/22/2032   1,599,000     1,353,474
 
  9  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Bank of America Corp. (continued)          
3.846%, (3.846% to 3-8-32, then 5 Year CMT + 2.000%), 03/08/2037 $ 784,000   $ 693,109
3.970%, (3.970% to 3-5-28, then 3 month CME Term SOFR + 1.332%), 03/05/2029   699,000     668,166
6.300%, (6.300% to 3-10-26, then 3 month CME Term SOFR + 4.815%), 03/10/2026 (E)   878,000     878,789
Bank of Montreal
7.700%, (7.700% to 5-26-29, then 5 Year CMT + 3.452%), 05/26/2084
  770,000     779,048
Barclays PLC          
4.375%, (4.375% to 9-15-28, then 5 Year CMT + 3.410%), 03/15/2028 (E)   636,000     521,386
8.000%, (8.000% to 9-15-29, then 5 Year CMT + 5.431%), 03/15/2029 (E)   200,000     199,588
Blackstone Private Credit Fund          
3.250%, 03/15/2027   79,000     72,911
4.000%, 01/15/2029   604,000     554,166
7.050%, 09/29/2025   300,000     304,476
7.300%, 11/27/2028 (C)   479,000     499,406
Block, Inc.
3.500%, 06/01/2031
  126,000     109,663
BNP Paribas SA          
5.497%, (5.497% to 5-20-29, then Overnight SOFR + 1.590%), 05/20/2030 (C)   474,000     475,036
9.250%, (9.250% to 11-17-27, then 5 Year CMT + 4.969%), 11/17/2027 (C)(E)   425,000     456,034
BPCE SA
5.716%, (5.716% to 1-18-29, then 1 Year CMT + 1.959%), 01/18/2030 (C)
  500,000     502,471
Citigroup, Inc.          
4.600%, 03/09/2026   227,000     223,399
4.700%, (4.700% to 1-30-25, then Overnight SOFR + 3.234%), 01/30/2025 (E)   717,000     699,428
5.174%, (5.174% to 2-13-29, then Overnight SOFR + 1.364%), 02/13/2030   370,000     368,274
6.174%, (6.174% to 5-25-33, then Overnight SOFR + 2.661%), 05/25/2034   696,000     706,780
6.250%, (6.250% to 8-15-26, then 3 month CME Term SOFR + 4.779%), 08/15/2026 (E)   650,000     651,669
Citizens Financial Group, Inc.
3.250%, 04/30/2030
  888,000     782,161
CNA Financial Corp.
2.050%, 08/15/2030
  235,000     196,430
CNO Financial Group, Inc.
5.250%, 05/30/2029
  706,000     687,793
Comerica, Inc.
5.982%, (5.982% to 1-30-29, then Overnight SOFR + 2.155%), 01/30/2030
  358,000     353,695
Corebridge Financial, Inc.
6.875%, (6.875% to 12-15-27, then 5 Year CMT + 3.846%), 12/15/2052
  269,000     269,322
Credit Agricole SA          
3.250%, 01/14/2030 (C)   1,049,000     931,112
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Credit Agricole SA (continued)          
6.316%, (6.316% to 10-3-28, then Overnight SOFR + 1.860%), 10/03/2029 (C) $ 646,000   $ 669,722
Deutsche Bank AG          
3.742%, (3.742% to 1-7-32, then Overnight SOFR + 2.257%), 01/07/2033   703,000     580,683
6.819%, (6.819% to 11-20-28, then Overnight SOFR + 2.510%), 11/20/2029   410,000     428,615
Discover Financial Services
4.100%, 02/09/2027
  232,000     223,824
Fifth Third Bancorp
8.624%, (3 month CME Term SOFR + 3.295%), 04/29/2024 (A)(E)
  410,000     401,090
Global Atlantic Fin Company
4.700%, (4.700% to 10-15-26, then 5 Year CMT + 3.796%), 10/15/2051 (C)
  384,000     346,070
Huntington Bancshares, Inc.
6.208%, (6.208% to 8-21-28, then Overnight SOFR + 2.020%), 08/21/2029
  381,000     389,958
ING Groep NV          
6.114%, (6.114% to 9-11-33, then Overnight SOFR + 2.090%), 09/11/2034   200,000     207,649
6.500%, (6.500% to 4-16-25, then 5 Year U.S. Swap Rate + 4.446%), 04/16/2025 (E)   135,000     133,323
Jefferies Financial Group, Inc.
5.875%, 07/21/2028
  482,000     490,667
JPMorgan Chase & Co.          
2.522%, (2.522% to 4-22-30, then Overnight SOFR + 2.040%), 04/22/2031   1,025,000     885,888
2.956%, (2.956% to 5-13-30, then 3 month CME Term SOFR + 2.515%), 05/13/2031   886,000     774,504
4.452%, (4.452% to 12-5-28, then 3 month CME Term SOFR + 1.592%), 12/05/2029   276,000     269,061
4.600%, (4.600% to 2-1-25, then 3 month CME Term SOFR + 3.125%), 02/01/2025 (E)   645,000     634,108
5.012%, (5.012% to 1-23-29, then Overnight SOFR + 1.310%), 01/23/2030   621,000     618,456
Lazard Group LLC
4.375%, 03/11/2029
  552,000     529,172
Liberty Mutual Group, Inc.          
3.950%, 05/15/2060 (C)   500,000     362,687
4.125%, (4.125% to 12-15-26, then 5 Year CMT + 3.315%), 12/15/2051 (C)   203,000     183,259
Lloyds Banking Group PLC
7.500%, (7.500% to 6-27-24, then 5 Year U.S. Swap Rate + 4.760%), 06/27/2024 (E)
  531,000     527,808
M&T Bank Corp.
5.125%, (5.125% to 11-1-26, then 3 month CME Term SOFR + 3.782%), 11/01/2026 (E)
  116,000     102,684
Macquarie Bank, Ltd.
3.624%, 06/03/2030 (C)
  424,000     376,517
 
  10  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
MetLife, Inc.
6.400%, (6.400% to 12-15-36, then 3 month CME Term SOFR + 2.467%), 12/15/2036
$ 556,000   $ 569,323
Morgan Stanley          
2.239%, (2.239% to 7-21-31, then Overnight SOFR + 1.178%), 07/21/2032   203,000     165,828
2.484%, (2.484% to 9-16-31, then Overnight SOFR + 1.360%), 09/16/2036   926,000     732,359
5.164%, (5.164% to 4-20-28, then Overnight SOFR + 1.590%), 04/20/2029   461,000     460,628
5.173%, (5.173% to 1-16-29, then Overnight SOFR + 1.450%), 01/16/2030   640,000     640,542
MSCI, Inc.
3.625%, 11/01/2031 (C)
  652,000     565,854
Nationstar Mortgage Holdings, Inc.          
5.125%, 12/15/2030 (C)   85,000     77,119
5.500%, 08/15/2028 (C)   156,000     149,305
6.000%, 01/15/2027 (C)   99,000     97,595
NatWest Group PLC          
3.754%, (3.754% to 11-1-24, then 5 Year CMT + 2.100%), 11/01/2029   275,000     270,330
6.000%, (6.000% to 6-29-26, then 5 Year CMT + 5.625%), 12/29/2025 (E)   673,000     657,178
NatWest Markets PLC
1.600%, 09/29/2026 (C)
  622,000     568,695
OneMain Finance Corp.
9.000%, 01/15/2029
  233,000     247,239
Popular, Inc.
7.250%, 03/13/2028
  517,000     529,350
Santander Holdings USA, Inc.          
2.490%, (2.490% to 1-6-27, then Overnight SOFR + 1.249%), 01/06/2028   572,000     519,840
3.244%, 10/05/2026   596,000     563,055
3.450%, 06/02/2025   385,000     374,244
4.400%, 07/13/2027   143,000     138,712
SBL Holdings, Inc.
5.000%, 02/18/2031 (C)
  225,000     190,063
Societe Generale SA          
5.375%, (5.375% to 11-18-30, then 5 Year CMT + 4.514%), 11/18/2030 (C)(E)   557,000     469,335
5.634%, (5.634% to 1-19-29, then 1 Year CMT + 1.750%), 01/19/2030 (C)   400,000     398,295
6.221%, (6.221% to 6-15-32, then 1 Year CMT + 3.200%), 06/15/2033 (C)   200,000     200,389
6.446%, (6.446% to 1-10-28, then 1 Year CMT + 2.550%), 01/10/2029 (C)   753,000     772,338
Starwood Property Trust, Inc.
7.250%, 04/01/2029 (C)
  84,000     84,669
Teachers Insurance & Annuity Association of America
4.270%, 05/15/2047 (C)
  629,000     521,388
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
The Bank of New York Mellon Corp.
4.975%, (4.975% to 3-14-29, then Overnight SOFR + 1.085%), 03/14/2030
$ 342,000   $ 342,294
The Charles Schwab Corp.          
5.643%, (5.643% to 5-19-28, then Overnight SOFR + 2.210%), 05/19/2029   616,000     625,352
6.196%, (6.196% to 11-17-28, then Overnight SOFR + 1.878%), 11/17/2029   639,000     664,176
The Goldman Sachs Group, Inc.          
2.615%, (2.615% to 4-22-31, then Overnight SOFR + 1.281%), 04/22/2032   1,954,000     1,639,898
2.650%, (2.650% to 10-21-31, then Overnight SOFR + 1.264%), 10/21/2032   697,000     579,919
The PNC Financial Services Group, Inc.          
3.400%, (3.400% to 9-15-26, then 5 Year CMT + 2.595%), 09/15/2026 (E)   867,000     757,793
5.582%, (5.582% to 6-12-28, then Overnight SOFR + 1.841%), 06/12/2029   977,000     988,900
5.939%, (5.939% to 8-18-33, then Overnight SOFR + 1.946%), 08/18/2034   583,000     598,164
6.250%, (6.250% to 3-15-30, then 7 Year CMT + 2.808%), 03/15/2030 (E)   440,000     426,436
8.643%, (3 month CME Term SOFR + 3.302%), 06/01/2024 (A)(E)   393,000     394,432
Truist Financial Corp.          
5.435%, (5.435% to 1-24-29, then Overnight SOFR + 1.620%), 01/24/2030   681,000     680,206
5.867%, (5.867% to 6-8-33, then Overnight SOFR + 2.361%), 06/08/2034   602,000     609,381
7.161%, (7.161% to 10-30-28, then Overnight SOFR + 2.446%), 10/30/2029   366,000     390,303
Trust Fibra Uno
7.375%, 02/13/2034 (C)
  554,000     552,799
U.S. Bancorp          
5.384%, (5.384% to 1-23-29, then Overnight SOFR + 1.560%), 01/23/2030   364,000     365,608
5.836%, (5.836% to 6-10-33, then Overnight SOFR + 2.260%), 06/12/2034   604,000     615,629
6.787%, (6.787% to 10-26-26, then Overnight SOFR + 1.880%), 10/26/2027   631,000     653,413
UBS Group AG          
5.428%, (5.428% to 2-8-29, then 1 Year CMT + 1.520%), 02/08/2030 (C)   452,000     452,670
6.301%, (6.301% to 9-22-33, then 1 Year CMT + 2.000%), 09/22/2034 (C)   400,000     418,705
9.250%, (9.250% to 11-13-28, then 5 Year CMT + 4.745%), 11/13/2028 (C)(E)   300,000     325,043
 
  11  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
UBS Group AG (continued)          
9.250%, (9.250% to 11-13-33, then 5 Year CMT + 4.758%), 11/13/2033 (C)(E) $ 200,000   $ 225,707
Wells Fargo & Company          
2.393%, (2.393% to 6-2-27, then Overnight SOFR + 2.100%), 06/02/2028   1,560,000     1,427,874
2.879%, (2.879% to 10-30-29, then 3 month CME Term SOFR + 1.432%), 10/30/2030   1,216,000     1,074,937
3.350%, (3.350% to 3-2-32, then Overnight SOFR + 1.500%), 03/02/2033   1,444,000     1,252,854
5.198%, (5.198% to 1-23-29, then Overnight SOFR + 1.500%), 01/23/2030   946,000     944,006
5.875%, (5.875% to 6-15-25, then 9.865% thereafter), 06/15/2025 (E)   1,508,000     1,504,683
          56,217,013
Health care – 2.4%          
AbbVie, Inc.
3.200%, 11/21/2029
  1,561,000     1,438,457
AdaptHealth LLC
5.125%, 03/01/2030 (C)
  168,000     146,519
Amgen, Inc.
5.250%, 03/02/2030 to 03/02/2033
  2,027,000     2,052,649
Cencora, Inc.
2.800%, 05/15/2030
  524,000     462,645
Centene Corp.          
2.450%, 07/15/2028   178,000     157,835
3.000%, 10/15/2030   478,000     409,836
3.375%, 02/15/2030   273,000     241,586
CVS Health Corp.          
3.750%, 04/01/2030   479,000     446,343
5.050%, 03/25/2048   558,000     506,763
5.250%, 01/30/2031   67,000     67,500
DaVita, Inc.          
3.750%, 02/15/2031 (C)   392,000     328,207
4.625%, 06/01/2030 (C)   678,000     607,002
Fresenius Medical Care US Finance III, Inc.
2.375%, 02/16/2031 (C)
  995,000     784,126
HCA, Inc.
5.450%, 04/01/2031
  434,000     436,264
IQVIA, Inc.
6.250%, 02/01/2029
  320,000     332,264
Regeneron Pharmaceuticals, Inc.
1.750%, 09/15/2030
  669,000     547,515
Royalty Pharma PLC
1.750%, 09/02/2027
  126,000     112,520
Solventum Corp.          
5.400%, 03/01/2029 (C)   478,000     478,963
5.450%, 03/13/2031 (C)   919,000     916,625
Star Parent, Inc.
9.000%, 10/01/2030 (C)
  132,000     139,696
Thermo Fisher Scientific, Inc.
4.977%, 08/10/2030
  166,000     167,188
Universal Health Services, Inc.
2.650%, 10/15/2030
  503,000     426,517
Utah Acquisition Sub, Inc.
5.250%, 06/15/2046
  250,000     207,404
Varex Imaging Corp.
7.875%, 10/15/2027 (C)
  96,000     97,321
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
Viatris, Inc.          
2.700%, 06/22/2030 $ 901,000   $ 763,894
4.000%, 06/22/2050   1,839,000     1,266,923
          13,542,562
Industrials – 4.8%          
AAR Escrow Issuer LLC
6.750%, 03/15/2029 (C)
  132,000     133,016
AerCap Ireland Capital DAC          
2.450%, 10/29/2026   1,954,000     1,814,601
3.000%, 10/29/2028   1,074,000     971,777
5.100%, 01/19/2029   609,000     605,403
Air Canada 2017-1 Class B Pass Through Trust
3.700%, 01/15/2026 (C)
  62,783     59,700
Air Canada 2020-1 Class C Pass Through Trust
10.500%, 07/15/2026 (C)
  548,000     597,320
Air Lease Corp.          
2.100%, 09/01/2028   301,000     263,424
3.125%, 12/01/2030   400,000     351,090
3.625%, 12/01/2027   170,000     160,367
Alaska Airlines 2020-1 Class B Pass Through Trust
8.000%, 08/15/2025 (C)
  93,772     95,055
Albion Financing 1 SARL
6.125%, 10/15/2026 (C)
  200,000     198,173
American Airlines 2014-1 Class A Pass Through Trust
3.700%, 10/01/2026
  241,363     231,523
American Airlines 2015-1 Class A Pass Through Trust
3.375%, 05/01/2027
  1,260,400     1,190,506
American Airlines 2016-1 Class A Pass Through Trust
4.100%, 01/15/2028
  596,151     557,526
American Airlines 2016-1 Class AA Pass Through Trust
3.575%, 01/15/2028
  79,107     74,068
American Airlines 2016-3 Class A Pass Through Trust
3.250%, 10/15/2028
  39,025     35,233
American Airlines 2017-1 Class A Pass Through Trust
4.000%, 02/15/2029
  129,850     119,436
American Airlines 2017-1 Class AA Pass Through Trust
3.650%, 02/15/2029
  457,125     431,323
American Airlines 2017-2 Class A Pass Through Trust
3.600%, 10/15/2029
  299,191     270,888
American Airlines 2019-1 Class A Pass Through Trust
3.500%, 02/15/2032
  613,871     533,685
American Airlines 2019-1 Class AA Pass Through Trust
3.150%, 02/15/2032
  524,609     468,687
American Airlines 2019-1 Class B Pass Through Trust
3.850%, 02/15/2028
  94,039     86,934
American Airlines 2021-1 Class A Pass Through Trust
2.875%, 07/11/2034
  446,909     379,479
American Airlines 2021-1 Class B Pass Through Trust
3.950%, 07/11/2030
  573,495     527,560
 
  12  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
American Airlines Group, Inc.
3.750%, 03/01/2025 (C)
$ 500,000   $ 486,119
American Airlines, Inc.
7.250%, 02/15/2028 (C)
  198,000     201,076
APX Group, Inc.
5.750%, 07/15/2029 (C)
  216,000     207,684
Ashtead Capital, Inc.          
2.450%, 08/12/2031 (C)   400,000     324,805
4.250%, 11/01/2029 (C)   200,000     186,455
4.375%, 08/15/2027 (C)   200,000     191,855
5.800%, 04/15/2034 (C)   400,000     399,594
5.950%, 10/15/2033 (C)   956,000     966,678
Beacon Roofing Supply, Inc.
4.125%, 05/15/2029 (C)
  117,000     106,120
BlueLinx Holdings, Inc.
6.000%, 11/15/2029 (C)
  448,000     435,119
British Airways 2018-1 Class A Pass Through Trust
4.125%, 09/20/2031 (C)
  68,789     63,433
British Airways 2020-1 Class A Pass Through Trust
4.250%, 11/15/2032 (C)
  221,918     206,944
British Airways 2020-1 Class B Pass Through Trust
8.375%, 11/15/2028 (C)
  71,675     74,469
Builders FirstSource, Inc.          
4.250%, 02/01/2032 (C)   621,000     556,956
6.375%, 06/15/2032 to 03/01/2034 (C)   633,000     637,372
CIMIC Finance USA Pty, Ltd.
7.000%, 03/25/2034 (C)
  186,000     190,985
Concentrix Corp.
6.600%, 08/02/2028
  636,000     643,137
Delta Air Lines, Inc.          
4.375%, 04/19/2028   522,000     506,476
4.750%, 10/20/2028 (C)   728,051     712,075
Embraer Netherlands Finance BV
7.000%, 07/28/2030 (C)
  405,000     424,097
Emerald Debt Merger Sub LLC
6.625%, 12/15/2030 (C)
  576,000     581,526
Flowserve Corp.
3.500%, 10/01/2030
  327,000     290,319
Global Infrastructure Solutions, Inc.
5.625%, 06/01/2029 (C)
  387,000     354,849
Huntington Ingalls Industries, Inc.
4.200%, 05/01/2030
  365,000     342,149
Ingersoll Rand, Inc.
5.400%, 08/14/2028
  115,000     116,526
JB Poindexter & Company, Inc.
8.750%, 12/15/2031 (C)
  112,000     115,767
JetBlue 2019-1 Class AA Pass Through Trust
2.750%, 05/15/2032
  384,857     331,288
MasTec, Inc.
4.500%, 08/15/2028 (C)
  146,000     138,827
Owens Corning          
3.875%, 06/01/2030   45,000     42,027
3.950%, 08/15/2029   654,000     618,290
Prime Security Services Borrower LLC          
3.375%, 08/31/2027 (C)   62,000     56,948
6.250%, 01/15/2028 (C)   343,000     335,995
Regal Rexnord Corp.          
6.050%, 02/15/2026 (C)   428,000     430,211
6.400%, 04/15/2033 (C)   282,000     292,470
TransDigm, Inc.
5.500%, 11/15/2027
  350,000     342,563
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
TriNet Group, Inc.
3.500%, 03/01/2029 (C)
$ 104,000   $ 93,277
Uber Technologies, Inc.
4.500%, 08/15/2029 (C)
  330,000     313,110
United Airlines 2014-2 Class A Pass Through Trust
3.750%, 09/03/2026
  593,523     574,925
United Airlines 2016-1 Class A Pass Through Trust
3.450%, 07/07/2028
  527,590     478,580
United Airlines 2016-1 Class B Pass Through Trust
3.650%, 01/07/2026
  170,625     162,335
United Airlines 2018-1 Class B Pass Through Trust
4.600%, 03/01/2026
  109,700     105,842
United Airlines 2019-1 Class A Pass Through Trust
4.550%, 08/25/2031
  485,676     446,005
United Airlines 2020-1 Class A Pass Through Trust
5.875%, 10/15/2027
  815,798     813,041
United Airlines 2020-1 Class B Pass Through Trust
4.875%, 01/15/2026
  417,556     410,844
United Airlines 2023-1 Class A Pass Through Trust
5.800%, 01/15/2036
  655,000     666,004
United Airlines, Inc.          
4.375%, 04/15/2026 (C)   31,000     29,969
4.625%, 04/15/2029 (C)   70,000     65,100
United Rentals North America, Inc.
3.875%, 11/15/2027
  177,000     167,585
US Airways 2012-2 Class A Pass Through Trust
4.625%, 06/03/2025
  137,916     135,631
          26,530,226
Information technology – 2.1%          
Autodesk, Inc.
2.850%, 01/15/2030
  219,000     195,685
Broadcom, Inc.          
3.419%, 04/15/2033 (C)   433,000     375,368
4.750%, 04/15/2029   1,974,000     1,949,717
CDW LLC
3.250%, 02/15/2029
  119,000     107,744
Consensus Cloud Solutions, Inc.
6.500%, 10/15/2028 (C)
  144,000     128,017
Dell International LLC          
5.300%, 10/01/2029   439,000     444,388
5.400%, 04/15/2034   942,000     944,205
Foundry JV Holdco LLC
5.875%, 01/25/2034 (C)
  548,000     548,826
Gartner, Inc.
4.500%, 07/01/2028 (C)
  671,000     639,199
Kyndryl Holdings, Inc.
6.350%, 02/20/2034
  82,000     84,170
Marvell Technology, Inc.
2.450%, 04/15/2028
  749,000     675,320
Micron Technology, Inc.          
2.703%, 04/15/2032   453,000     378,175
4.185%, 02/15/2027   524,000     510,594
5.300%, 01/15/2031   368,000     370,128
5.327%, 02/06/2029   630,000     635,728
6.750%, 11/01/2029   1,537,000     1,649,755
 
  13  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology (continued)          
Motorola Solutions, Inc.          
2.300%, 11/15/2030 $ 786,000   $ 659,782
2.750%, 05/24/2031   715,000     605,918
Oracle Corp.
2.950%, 04/01/2030
  355,000     315,896
Qorvo, Inc.
3.375%, 04/01/2031 (C)
  402,000     345,726
VeriSign, Inc.
2.700%, 06/15/2031
  351,000     293,963
          11,858,304
Materials – 1.3%          
Alcoa Nederland Holding BV
7.125%, 03/15/2031 (C)
  128,000     130,388
Anglo American Capital PLC
4.750%, 04/10/2027 (C)
  403,000     394,897
Arsenal AIC Parent LLC
8.000%, 10/01/2030 (C)
  211,000     221,526
Braskem Idesa SAPI
6.990%, 02/20/2032 (C)
  201,000     156,032
Braskem Netherlands Finance BV
4.500%, 01/31/2030 (C)
  862,000     741,212
Cemex SAB de CV          
3.875%, 07/11/2031 (C)   545,000     482,875
5.200%, 09/17/2030 (C)   445,000     430,138
First Quantum Minerals, Ltd.
6.875%, 10/15/2027 (C)
  302,000     289,547
Freeport-McMoRan, Inc.          
4.250%, 03/01/2030   614,000     581,975
5.400%, 11/14/2034   454,000     448,492
5.450%, 03/15/2043   889,000     851,101
Graphic Packaging International LLC
3.500%, 03/01/2029 (C)
  198,000     178,065
Hudbay Minerals, Inc.
4.500%, 04/01/2026 (C)
  66,000     63,930
Mauser Packaging Solutions Holding Company
7.875%, 08/15/2026 (C)
  140,000     142,625
Newmont Corp.
2.800%, 10/01/2029
  262,000     235,070
Novelis Corp.
4.750%, 01/30/2030 (C)
  525,000     484,377
Owens-Brockway Glass Container, Inc.          
6.625%, 05/13/2027 (C)   130,000     130,073
7.250%, 05/15/2031 (C)   92,000     93,702
Pactiv Evergreen Group Issuer, Inc.
4.000%, 10/15/2027 (C)
  547,000     510,261
Sasol Financing USA LLC
5.500%, 03/18/2031
  192,000     161,750
Standard Industries, Inc.          
3.375%, 01/15/2031 (C)   77,000     64,562
4.375%, 07/15/2030 (C)   149,000     133,883
5.000%, 02/15/2027 (C)   73,000     70,812
Summit Materials LLC
7.250%, 01/15/2031 (C)
  122,000     126,805
          7,124,098
Real estate – 1.0%          
American Homes 4 Rent LP
4.250%, 02/15/2028
  316,000     303,316
American Tower Corp.          
3.550%, 07/15/2027   426,000     404,955
3.800%, 08/15/2029   931,000     868,866
American Tower Trust I
5.490%, 03/15/2028 (C)
  359,000     361,997
CoStar Group, Inc.
2.800%, 07/15/2030 (C)
  676,000     576,266
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Real estate (continued)          
GLP Capital LP          
3.250%, 01/15/2032 $ 521,000   $ 438,592
4.000%, 01/15/2030   262,000     239,195
Iron Mountain Information Management Services, Inc.
5.000%, 07/15/2032 (C)
  126,000     115,072
Iron Mountain, Inc.
5.250%, 07/15/2030 (C)
  304,000     287,577
SBA Tower Trust
6.599%, 01/15/2028 (C)
  515,000     527,590
VICI Properties LP          
3.875%, 02/15/2029 (C)   296,000     272,429
4.125%, 08/15/2030 (C)   310,000     281,885
4.625%, 12/01/2029 (C)   571,000     540,009
5.125%, 05/15/2032   256,000     244,863
          5,462,612
Utilities – 2.3%          
AES Panama Generation Holdings SRL
4.375%, 05/31/2030 (C)
  395,784     343,343
American Electric Power Company, Inc.
5.625%, 03/01/2033
  218,000     221,325
Artera Services LLC
8.500%, 02/15/2031 (C)
  98,000     100,474
Atlantica Transmision Sur SA
6.875%, 04/30/2043 (C)
  203,016     206,315
Constellation Energy Generation LLC          
6.125%, 01/15/2034   195,000     205,900
6.500%, 10/01/2053   312,000     343,181
Dominion Energy, Inc.
3.375%, 04/01/2030
  604,000     548,911
Duke Energy Corp.          
2.450%, 06/01/2030   105,000     90,429
5.750%, 09/15/2033   647,000     664,631
Electricite de France SA
9.125%, (9.125% to 6-15-33, then 5 Year CMT + 5.411%), 03/15/2033 (C)(E)
  421,000     463,809
Emera US Finance LP
3.550%, 06/15/2026
  385,000     369,571
FirstEnergy Corp.          
2.650%, 03/01/2030   379,000     325,796
3.400%, 03/01/2050   167,000     115,158
Georgia Power Company
4.950%, 05/17/2033
  340,000     335,231
NextEra Energy Capital Holdings, Inc.          
2.250%, 06/01/2030   265,000     225,639
6.700%, (6.700% to 9-1-29, then 5 Year CMT + 2.364%), 09/01/2054   554,000     556,764
NextEra Energy Operating Partners LP          
3.875%, 10/15/2026 (C)   454,000     423,407
4.500%, 09/15/2027 (C)   201,000     188,129
NiSource, Inc.          
1.700%, 02/15/2031   205,000     163,738
3.600%, 05/01/2030   345,000     317,761
5.250%, 03/30/2028   116,000     116,797
NRG Energy, Inc.          
2.450%, 12/02/2027 (C)   554,000     497,970
3.625%, 02/15/2031 (C)   335,000     289,091
3.875%, 02/15/2032 (C)   626,000     536,442
4.450%, 06/15/2029 (C)   412,000     389,473
7.000%, 03/15/2033 (C)   497,000     530,327
10.250%, (10.250% to 3-15-28, then 5 Year CMT + 5.920%), 03/15/2028 (C)(E)   371,000     397,975
 
  14  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
Sempra
5.500%, 08/01/2033
$ 534,000   $ 535,430
The Southern Company
5.700%, 03/15/2034
  490,000     505,359
Vistra Corp.
8.000%, (8.000% to 10-15-26, then 5 Year CMT + 6.930%), 10/15/2026 (C)(E)
  172,000     175,882
Vistra Operations Company LLC          
3.700%, 01/30/2027 (C)   1,034,000     982,429
4.300%, 07/15/2029 (C)   891,000     835,626
6.950%, 10/15/2033 (C)   431,000     460,033
          12,462,346
TOTAL CORPORATE BONDS (Cost $203,233,647)     $ 199,820,828
CAPITAL PREFERRED SECURITIES – 0.0%      
Financials – 0.0%          
Truist Financial Corp.
6.236%, (Greater of 3 month CME Term SOFR + 0.907% or 4.000%), 12/15/2024 (A)(E)
  325,000     246,413
TOTAL CAPITAL PREFERRED SECURITIES (Cost $273,523)     $ 246,413
MUNICIPAL BONDS – 0.6%          
Foothill-Eastern Transportation Corridor Agency (California)
4.094%, 01/15/2049
  1,000,000     840,057
Golden State Tobacco Securitization Corp. (California)
4.214%, 06/01/2050
  231,000     175,415
Sales Tax Securitization Corp. (Illinois)
4.637%, 01/01/2040
  435,000     417,000
State Board of Administration Finance Corp. (Florida)
1.705%, 07/01/2027
  174,000     157,751
State of Connecticut, GO
2.677%, 07/01/2030
  250,000     225,026
The School District of Philadelphia (Pennsylvania), GO
5.995%, 09/01/2030
  315,000     330,054
The School District of Philadelphia (Pennsylvania), GO
6.765%, 06/01/2040
  1,010,000     1,109,168
TOTAL MUNICIPAL BONDS (Cost $3,737,205)   $ 3,254,471
COLLATERALIZED MORTGAGE OBLIGATIONS – 3.6%      
Commercial and residential – 2.5%          
Angel Oak Mortgage Trust LLC          
Series 2021-2, Class A1,
0.985%, 04/25/2066 (C)(F)
  105,657     87,295
Series 2021-4, Class A1,
1.035%, 01/20/2065 (C)(F)
  228,291     185,221
Series 2024-3, Class A1 (4.800% to 2-1-28, then 5.800% thereafter),
4.800%, 11/26/2068 (C)
  408,160     394,459
Arbor Multifamily Mortgage Securities Trust
Series 2020-MF1, Class XA IO
0.948%, 05/15/2053 (C)
  4,277,141     187,131
Arroyo Mortgage Trust
Series 2021-1R, Class A1
1.175%, 10/25/2048 (C)(F)
  165,085     142,609
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
BAMLL Commercial Mortgage Securities Trust
Series 2019-BPR, Class ENM
3.719%, 11/05/2032 (C)(F)
$ 116,000   $ 39,445
BANK
Series 2021-BN34, Class XA IO
0.974%, 06/15/2063
  12,737,315     628,139
BBCMS Mortgage Trust
Series 2020-C6, Class A2
2.690%, 02/15/2053
  101,000     95,054
Benchmark Mortgage Trust          
Series 2019-B12, Class A2,
3.001%, 08/15/2052
  233,750     219,605
Series 2019-B15, Class XA IO,
0.811%, 12/15/2072
  9,790,644     319,977
BRAVO Residential Funding Trust
Series 2021-NQM1, Class A1
0.941%, 02/25/2049 (C)(F)
  109,468     96,711
BX Trust          
Series 2019-OC11, Class D,
3.944%, 12/09/2041 (C)(F)
  300,000     264,367
Series 2022-CLS, Class A,
5.760%, 10/13/2027 (C)
  267,000     267,868
CHL Mortgage Pass-Through Trust
Series 2004-HYB2, Class 4A
4.688%, 07/20/2034 (F)
  263,853     247,483
Citigroup Commercial Mortgage Trust          
Series 2019-C7, Class XA IO,
0.856%, 12/15/2072
  15,634,635     584,956
Series 2023-SMRT, Class A,
5.820%, 10/12/2040 (C)(F)
  210,000     213,603
COLT Mortgage Loan Trust
Series 2021-2, Class A1
0.924%, 08/25/2066 (C)(F)
  206,118     165,887
COLT Trust
Series 2020-RPL1, Class A1
1.390%, 01/25/2065 (C)(F)
  379,937     314,801
Commercial Mortgage Trust (Citigroup/Deutsche Bank AG)
Series 2018-COR3, Class XA IO
0.432%, 05/10/2051
  4,964,762     76,279
Commercial Mortgage Trust (Deutsche
Bank AG)
         
Series 2013-300P, Class D,
4.394%, 08/10/2030 (C)(F)
  307,000     249,501
Series 2017-PANW, Class A,
3.244%, 10/10/2029 (C)
  89,000     81,921
Series 2020-CBM, Class A2,
2.896%, 02/10/2037 (C)
  169,000     163,135
Series 2020-CX, Class A,
2.173%, 11/10/2046 (C)
  500,000     406,290
Credit Suisse Mortgage
Capital Certificates
         
Series 2020-NET, Class A,
2.257%, 08/15/2037 (C)
  100,143     93,064
Series 2021-NQM2, Class A1,
1.179%, 02/25/2066 (C)(F)
  115,728     100,077
Series 2021-NQM3, Class A1,
1.015%, 04/25/2066 (C)(F)
  154,553     125,586
Series 2021-NQM5, Class A1,
0.938%, 05/25/2066 (C)(F)
  115,590     92,729
Series 2021-NQM6, Class A1,
1.174%, 07/25/2066 (C)(F)
  282,526     229,925
 
  15  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
CSAIL Commercial Mortgage Trust
Series 2019-C17, Class A4
2.763%, 09/15/2052
$ 425,000   $ 374,235
DSLA Mortgage Loan Trust
Series 2004-AR3, Class 2A2B (1 month CME Term SOFR + 1.014%)
6.334%, 07/19/2044 (A)
  232,657     209,811
Ellington Financial Mortgage Trust          
Series 2021-1, Class A1,
0.797%, 02/25/2066 (C)(F)
  71,157     59,649
Series 2021-2, Class A1,
0.931%, 06/25/2066 (C)(F)
  191,936     154,117
Flagstar Mortgage Trust
Series 2021-1, Class A2
2.500%, 02/01/2051 (C)(F)
  319,301     255,815
FREMF Mortgage Trust
Series 2019-KF69, Class B (30 day Average SOFR + 2.414%)
7.734%, 08/25/2029 (A)(C)
  87,868     80,899
GCAT Trust          
Series 2021-NQM1, Class A1,
0.874%, 01/25/2066 (C)(F)
  125,806     105,424
Series 2021-NQM2, Class A1,
1.036%, 05/25/2066 (C)(F)
  131,529     108,036
Series 2021-NQM3, Class A1,
1.091%, 05/25/2066 (C)(F)
  213,396     176,911
GS Mortgage Securities Trust          
Series 2013-GC10, Class C,
4.285%, 02/10/2046 (C)(F)
  569,524     535,620
Series 2020-UPTN, Class A,
2.751%, 02/10/2037 (C)
  100,000     95,382
GS Mortgage-Backed Securities Trust
Series 2021-NQM1, Class A1
1.017%, 07/25/2061 (C)(F)
  94,806     80,646
HarborView Mortgage Loan Trust          
Series 2007-3, Class ES IO,
0.350%, 05/19/2037 (C)
  6,849,279     115,781
Series 2007-4, Class ES IO,
0.350%, 07/19/2047
  6,848,755     91,225
Series 2007-6, Class ES IO,
0.343%, 08/19/2037 (C)
  7,321,270     94,206
Hawaii Hotel Trust
Series 2019-MAUI, Class E (1 month CME Term SOFR + 2.207%)
7.533%, 05/15/2038 (A)(C)
  300,000     297,000
Imperial Fund Mortgage Trust
Series 2021-NQM1, Class A1
1.071%, 06/25/2056 (C)(F)
  119,718     102,280
JPMorgan Chase Commercial Mortgage Securities Trust
Series 2020-NNN, Class AFX
2.812%, 01/16/2037 (C)
  258,000     219,539
MASTR Adjustable Rate
Mortgages Trust
         
Series 2004-13, Class 2A1,
5.990%, 04/21/2034 (F)
  48,129     45,474
Series 2004-8, Class 5A1,
6.077%, 08/25/2034 (F)
  68,800     65,251
MASTR Alternative Loan Trust
Series 2004-4, Class 8A1
6.500%, 05/25/2034
  141,381     137,444
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
MFA Trust
Series 2021-NQM1, Class A1
1.153%, 04/25/2065 (C)(F)
$ 90,236   $ 81,988
Morgan Stanley Capital I Trust
Series 2019-L3, Class XA IO
0.607%, 11/15/2052
  20,094,447     552,314
Natixis Commercial Mortgage Securities Trust
Series 2018-ALXA, Class C
4.316%, 01/15/2043 (C)(F)
  98,000     81,185
NYMT Loan Trust
Series 2022-CP1, Class A1
2.042%, 07/25/2061 (C)
  130,483     118,282
OBX Trust          
Series 2020-EXP2, Class A3,
2.500%, 05/25/2060 (C)(F)
  100,546     81,988
Series 2021-NQM2, Class A1,
1.101%, 05/25/2061 (C)(F)
  211,358     168,022
Provident Funding Mortgage Trust
Series 2020-F1, Class A2
2.000%, 01/25/2036 (C)(F)
  269,591     231,169
Sequoia Mortgage Trust
Series 2005-3, Class A1 (1 month CME Term SOFR + 0.514%)
5.843%, 05/20/2035 (A)
  21,764     19,500
SLG Office Trust
Series 2021-OVA, Class D
2.851%, 07/15/2041 (C)
  352,000     275,757
Structured Asset Securities Corp.
Series 1998-RF2, Class A
4.739%, 07/15/2027 (C)(F)
  29,496     29,419
Towd Point Mortgage Trust          
Series 2015-6, Class M2,
3.750%, 04/25/2055 (C)(F)
  1,000,000     957,081
Series 2018-4, Class A1,
3.000%, 06/25/2058 (C)(F)
  153,710     142,097
Series 2019-1, Class A1,
3.750%, 03/25/2058 (C)(F)
  148,609     141,015
Series 2019-4, Class A1,
2.900%, 10/25/2059 (C)(F)
  131,881     123,256
Series 2020-4, Class A1,
1.750%, 10/25/2060 (C)
  202,837     178,002
UBS Commercial Mortgage Trust
Series 2019-C17, Class XA IO
1.443%, 10/15/2052
  8,563     525
Verus Securitization Trust          
Series 2020-5, Class A1 (1.218% to 10-1-24, then 2.218% thereafter),
1.218%, 05/25/2065 (C)
  61,272     57,381
Series 2021-3, Class A1,
1.046%, 06/25/2066 (C)(F)
  223,495     185,275
Series 2021-4, Class A1,
0.938%, 07/25/2066 (C)(F)
  134,441     106,164
Series 2021-5, Class A1,
1.013%, 09/25/2066 (C)(F)
  193,152     160,348
Series 2021-R1, Class A1,
0.820%, 10/25/2063 (C)(F)
  86,897     78,538
Washington Mutual Mortgage Pass Through Certificates
Series 2005-1, Class 6A1
6.500%, 03/25/2035
  165,336     137,170
 
  16  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Wells Fargo Commercial Mortgage Trust
Series 2019-C54, Class A3
2.892%, 12/15/2052
$ 500,000   $ 447,348
          13,831,687
U.S. Government Agency – 1.1%          
Federal Home Loan Mortgage Corp.          
Series 290, Class IO,
3.500%, 11/15/2032
  566,357     51,246
Series 3387, Class SB IO,
0.987%, 11/15/2037
  574,535     40,113
Series K109, Class X1 IO,
1.578%, 04/25/2030
  3,094,230     231,165
Series K121, Class X1 IO,
1.021%, 10/25/2030
  12,672,096     647,932
Series T-41, Class 3A,
4.335%, 07/25/2032 (F)
  35,311     33,098
Federal National Mortgage Association          
Series 2001-50, Class BA,
7.000%, 10/25/2041
  3,184     3,209
Series 2002-W3, Class A5,
7.500%, 11/25/2041
  39,253     41,254
Series 2012-137, Class WI IO,
3.500%, 12/25/2032
  509,710     48,663
Series 2019-M25, Class X IO,
0.125%, 11/25/2029
  709,558     3,659
Series 2021-M8, Class X IO,
0.248%, 11/25/2035
  4,736     94
Series 2022-22, Class B,
2.000%, 07/25/2054
  1,007,717     597,298
Government National
Mortgage Association
         
Series 2008-90, Class IO,
2.013%, 12/16/2050
  2,000,668     251,991
Series 2010-147, Class SA IO,
0.727%, 05/20/2040
  218,171     4,234
Series 2010-85, Class SB IO,
1.159%, 03/16/2040
  474,631     25,051
Series 2012-114, Class IO,
0.623%, 01/16/2053
  248,193     3,883
Series 2012-120, Class IO,
0.641%, 02/16/2053
  3,449,469     54,331
Series 2015-86, Class IO,
0.404%, 05/16/2052
  20,886,301     301,911
Series 2016-174, Class IO,
0.896%, 11/16/2056
  296,556     12,529
Series 2017-109, Class IO,
0.230%, 04/16/2057
  607,320     9,289
Series 2017-124, Class IO,
0.627%, 01/16/2059
  543,379     18,708
Series 2017-135, Class IO,
0.717%, 10/16/2058
  973,158     35,799
Series 2017-140, Class IO,
0.486%, 02/16/2059
  381,212     11,439
Series 2017-159, Class IO,
0.432%, 06/16/2059
  629,585     16,279
Series 2017-169, Class IO,
0.578%, 01/16/2060
  1,794,833     58,121
Series 2017-20, Class IO,
0.525%, 12/16/2058
  1,377,371     33,577
Series 2017-22, Class IO,
0.753%, 12/16/2057
  183,000     6,733
Series 2017-23, Class IO,
0.604%, 05/16/2059
  11,311     383
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
Series 2017-41, Class IO,
0.584%, 07/16/2058
$ 496,668   $ 13,938
Series 2017-46, Class IO,
0.649%, 11/16/2057
  554,104     20,342
Series 2017-50, Class IO,
0.636%, 01/16/2057
  968,777     32,138
Series 2017-53, Class IO,
0.528%, 11/16/2056
  20,058     565
Series 2017-61, Class IO,
0.701%, 05/16/2059
  211,377     7,852
Series 2018-158, Class IO,
0.788%, 05/16/2061
  1,557,243     86,023
Series 2018-35, Class IO,
0.541%, 03/16/2060
  1,441,252     49,760
Series 2018-43, Class IO,
0.436%, 05/16/2060
  1,291,488     41,650
Series 2018-69, Class IO,
0.615%, 04/16/2060
  363,747     16,276
Series 2018-81, Class IO,
0.484%, 01/16/2060
  270,561     10,752
Series 2018-85, Class IO,
0.552%, 07/16/2060
  7,724     273
Series 2018-9, Class IO,
0.443%, 01/16/2060
  1,604,462     47,768
Series 2019-131, Class IO,
0.802%, 07/16/2061
  1,231,871     67,657
Series 2020-100, Class IO,
0.784%, 05/16/2062
  1,435,248     83,566
Series 2020-108, Class IO,
0.847%, 06/16/2062
  3,128,128     178,130
Series 2020-114, Class IO,
0.800%, 09/16/2062
  3,427,160     197,151
Series 2020-118, Class IO,
0.881%, 06/16/2062
  2,440,779     149,397
Series 2020-119, Class IO,
0.606%, 08/16/2062
  1,348,375     63,576
Series 2020-120, Class IO,
0.768%, 05/16/2062
  771,142     44,502
Series 2020-137, Class IO,
0.796%, 09/16/2062
  3,600,453     204,029
Series 2020-143, Class IB IO,
0.871%, 03/16/2062
  4,224,275     250,074
Series 2020-150, Class IO,
0.963%, 12/16/2062
  2,194,211     145,498
Series 2020-170, Class IO,
0.834%, 11/16/2062
  2,902,206     182,391
Series 2020-28, Class IO,
0.820%, 11/16/2061
  5,273,548     290,285
Series 2020-92, Class IO,
0.879%, 02/16/2062
  3,304,220     202,574
Series 2021-3, Class IO,
0.868%, 09/16/2062
  3,640,906     227,241
Series 2021-40, Class IO,
0.824%, 02/16/2063
  901,896     54,755
Series 2022-150, Class IO,
0.822%, 06/16/2064
  304,481     18,781
Series 2022-17, Class IO,
0.802%, 06/16/2064
  1,986,141     122,220
Series 2022-181, Class IO,
0.716%, 07/16/2064
  937,362     61,607
Series 2022-21, Class IO,
0.784%, 10/16/2063
  873,644     53,194
 
  17  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
Series 2023-177, Class IO,
0.860%, 06/16/2065
$ 2,033,531   $ 137,308
Series 2023-197, Class IO,
1.319%, 09/16/2065
  608,028     55,104
Series 2023-30, Class IO,
1.146%, 11/16/2064
  1,240,174     90,645
          5,749,011
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $25,188,648)   $ 19,580,698
ASSET BACKED SECURITIES – 5.3%      
ABPCI Direct Lending Fund I, Ltd.
Series 2020-1A, Class A
3.199%, 12/20/2030 (C)
  108,778     103,867
Aligned Data Centers Issuer LLC          
Series 2021-1A, Class A2
1.937%, 08/15/2046 (C)
  651,000     591,713
Series 2023-2A, Class A2
6.500%, 11/16/2048 (C)
  193,000     196,647
AMSR Trust
Series 2021-SFR4, Class A
2.117%, 12/17/2038 (C)
  105,000     96,597
Applebee's Funding LLC
Series 2023-1A, Class A2
7.824%, 03/05/2053 (C)
  175,000     180,917
Aqua Finance Trust
Series 2021-A, Class A
1.540%, 07/17/2046 (C)
  104,473     93,399
Arby's Funding LLC
Series 2020-1A, Class A2
3.237%, 07/30/2050 (C)
  458,375     423,812
Avis Budget Rental Car Funding
AESOP LLC
         
Series 2020-2A, Class C
4.250%, 02/20/2027 (C)
  430,000     415,817
Series 2023-2A, Class B
6.030%, 10/20/2027 (C)
  400,000     401,726
Beacon Container Finance II LLC
Series 2021-1A, Class A
2.250%, 10/22/2046 (C)
  379,167     338,207
BRE Grand Islander Timeshare Issuer LLC
Series 2019-A, Class A
3.280%, 09/26/2033 (C)
  83,393     80,175
Cars Net Lease Mortgage Notes
Series 2020-1A, Class A1
2.010%, 12/15/2050 (C)
  486,875     424,021
CARS-DB4 LP          
Series 2020-1A, Class A4
3.190%, 02/15/2050 (C)
  1,232,552     1,190,579
Series 2020-1A, Class B1
4.170%, 02/15/2050 (C)
  766,000     738,583
Centex Home Equity Loan Trust
Series 2005-A, Class M4 (1 month CME Term SOFR + 1.314%)
6.644%, 01/25/2035 (A)
  156,736     145,359
CF Hippolyta Issuer LLC          
Series 2020-1, Class A1
1.690%, 07/15/2060 (C)
  393,061     367,480
Series 2021-1A, Class A1
1.530%, 03/15/2061 (C)
  361,900     327,255
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
CLI Funding VI LLC
Series 2020-1A, Class A
2.080%, 09/18/2045 (C)
$ 396,825   $ 357,082
CLI Funding VIII LLC          
Series 2021-1A, Class A
1.640%, 02/18/2046 (C)
  321,313     285,015
Series 2022-1A, Class A
2.720%, 01/18/2047 (C)
  671,687     598,234
Compass Datacenters Issuer II LLC
Series 2024-1A, Class A1
5.250%, 02/25/2049 (C)
  372,000     368,580
ContiMortgage Home Equity Loan Trust
Series 1995-2, Class A5
8.100%, 08/15/2025
  5,287     2,469
CyrusOne Data Centers Issuer I LLC
Series 2023-1A, Class A2
4.300%, 04/20/2048 (C)
  309,000     290,760
DataBank Issuer
Series 2021-1A, Class A2
2.060%, 02/27/2051 (C)
  225,000     206,185
DB Master Finance LLC          
Series 2017-1A, Class A2II
4.030%, 11/20/2047 (C)
  187,060     178,274
Series 2021-1A, Class A2I
2.045%, 11/20/2051 (C)
  672,520     615,517
Series 2021-1A, Class A2II
2.493%, 11/20/2051 (C)
  977,500     861,523
Diamond Infrastructure Funding LLC          
Series 2021-1A, Class B
2.355%, 04/15/2049 (C)
  1,000,000     892,280
Series 2021-1A, Class C
3.475%, 04/15/2049 (C)
  370,000     331,139
Domino's Pizza Master Issuer LLC          
Series 2017-1A, Class A23
4.118%, 07/25/2047 (C)
  446,500     427,381
Series 2021-1A, Class A2I
2.662%, 04/25/2051 (C)
  1,302,178     1,158,172
Driven Brands Funding LLC          
Series 2019-2A, Class A2
3.981%, 10/20/2049 (C)
  957,500     900,733
Series 2020-2A, Class A2
3.237%, 01/20/2051 (C)
  288,090     261,391
Series 2021-1A, Class A2
2.791%, 10/20/2051 (C)
  423,258     368,461
FirstKey Homes Trust
Series 2021-SFR1, Class D
2.189%, 08/17/2038 (C)
  246,000     223,329
Five Guys Holdings, Inc.
Series 2023-1A, Class A2
7.549%, 01/26/2054 (C)
  731,000     758,800
Ford Credit Auto Owner Trust
Series 2023-2, Class A
5.280%, 02/15/2036 (C)
  346,000     350,081
GM Financial Revolving Receivables Trust
Series 2024-1, Class A
4.980%, 12/11/2036 (C)
  298,000     299,260
Golub Capital Partners Funding, Ltd.          
Series 2020-1A, Class A2
3.208%, 01/22/2029 (C)
  152,619     145,344
Series 2021-1A, Class A2
2.773%, 04/20/2029 (C)
  289,859     274,505
HI-FI Music IP Issuer LP
Series 2022-1A, Class A2
3.939%, 02/01/2062 (C)
  294,000     276,112
 
  18  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Hilton Grand Vacations Trust
Series 2023-1A, Class B
6.110%, 01/25/2038 (C)
$ 408,760   $ 412,376
Home Partners of America Trust
Series 2021-2, Class A
1.901%, 12/17/2026 (C)
  135,654     123,114
Jack in the Box Funding LLC          
Series 2019-1A, Class A23
4.970%, 08/25/2049 (C)
  96,030     91,109
Series 2022-1A, Class A2I
3.445%, 02/26/2052 (C)
  131,520     121,943
MetroNet Infrastructure Issuer LLC          
Series 2022-1A, Class B
7.460%, 10/20/2052 (C)
  400,000     397,192
Series 2023-1A, Class A2
6.560%, 04/20/2053 (C)
  205,000     207,827
Navient Private Education Refi Loan Trust
Series 2019-FA, Class A2
2.600%, 08/15/2068 (C)
  121,930     114,101
Navient Student Loan Trust
Series 2020-2A, Class A1A
1.320%, 08/26/2069 (C)
  160,596     140,960
Neighborly Issuer LLC          
Series 2021-1A, Class A2
3.584%, 04/30/2051 (C)
  539,738     478,972
Series 2022-1A, Class A2
3.695%, 01/30/2052 (C)
  249,900     219,175
Series 2023-1A, Class A2
7.308%, 01/30/2053 (C)
  495,000     501,507
New Economy Assets Phase 1
Sponsor LLC
         
Series 2021-1, Class A1
1.910%, 10/20/2061 (C)
  503,000     440,498
Series 2021-1, Class B1
2.410%, 10/20/2061 (C)
  184,000     154,517
NRZ Excess Spread-Collateralized Notes
Series 2021-FHT1, Class A
3.104%, 07/25/2026 (C)
  46,330     43,205
Progress Residential Trust          
Series 2021-SFR8, Class B
1.681%, 10/17/2038 (C)
  216,000     195,519
Series 2022-SFR3, Class D
4.450%, 04/17/2039 (C)
  950,000     903,700
Renaissance Home Equity Loan Trust
Series 2005-2, Class AF4
5.434%, 08/25/2035
  30,884     30,644
Retained Vantage Data Centers Issuer LLC
Series 2023-1A, Class A2A
5.000%, 09/15/2048 (C)
  827,000     799,377
SERVPRO Master Issuer LLC
Series 2024-1A, Class A2
6.174%, 01/25/2054 (C)
  246,000     248,681
Sesac Finance LLC
Series 2019-1, Class A2
5.216%, 07/25/2049 (C)
  389,640     379,772
SMB Private Education Loan Trust          
Series 2021-A, Class APT2
1.070%, 01/15/2053 (C)
  150,349     132,620
Series 2021-E, Class A1A
1.680%, 02/15/2051 (C)
  736,615     667,473
Series 2024-A, Class A1A
5.240%, 03/15/2056 (C)
  484,000     484,217
Sonic Capital LLC          
Series 2020-1A, Class A2I
3.845%, 01/20/2050 (C)
  306,605     290,270
Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Sonic Capital LLC (continued)          
Series 2021-1A, Class A2I
2.190%, 08/20/2051 (C)
$ 321,750   $ 278,535
STORE Master Funding LLC
Series 2019-1, Class A2
3.650%, 11/20/2049 (C)
  284,150     233,053
Sunbird Engine Finance LLC
Series 2020-1A, Class A
3.671%, 02/15/2045 (C)
  154,366     139,704
Taco Bell Funding LLC
Series 2021-1A, Class A2I
1.946%, 08/25/2051 (C)
  460,793     416,801
TAL Advantage VII LLC
Series 2020-1A, Class B
3.290%, 09/20/2045 (C)
  316,250     287,046
TIF Funding II LLC
Series 2021-1A, Class A
1.650%, 02/20/2046 (C)
  688,850     598,033
Tricon American Homes Trust
Series 2020-SFR2, Class D
2.281%, 11/17/2039 (C)
  500,000     441,420
Triton Container Finance VIII LLC          
Series 2020-1A, Class A
2.110%, 09/20/2045 (C)
  465,758     416,722
Series 2021-1A, Class A
1.860%, 03/20/2046 (C)
  252,555     221,601
Vantage Data Centers LLC          
Series 2020-1A, Class A2
1.645%, 09/15/2045 (C)
  314,000     294,167
Series 2020-2A, Class A2
1.992%, 09/15/2045 (C)
  312,000     274,796
Series 2021-1A, Class A2
2.165%, 10/15/2046 (C)
  400,000     364,906
VR Funding LLC
Series 2020-1A, Class A
2.790%, 11/15/2050 (C)
  260,129     233,155
Wendy's Funding LLC          
Series 2019-1A, Class A2II
4.080%, 06/15/2049 (C)
  437,969     410,906
Series 2021-1A, Class A2I
2.370%, 06/15/2051 (C)
  293,640     255,524
Willis Engine Structured Trust V
Series 2020-A, Class A
3.228%, 03/15/2045 (C)
  126,856     116,073
Zaxby's Funding LLC
Series 2021-1A, Class A2
3.238%, 07/30/2051 (C)
  273,975     242,469
TOTAL ASSET BACKED SECURITIES (Cost $30,918,375)     $ 29,350,461
COMMON STOCKS – 0.0%        
Energy – 0.0%          
Altera Infrastructure LP (B)   937     26,228
Utilities – 0.0%          
Algonquin Power & Utilities Corp.   5,400     115,778
TOTAL COMMON STOCKS (Cost $507,388)   $ 142,006
PREFERRED SECURITIES – 0.1%        
Communication services – 0.1%          
Telephone & Data Systems, Inc., 6.625%   5,925     109,139
Financials – 0.0%          
Wells Fargo & Company, 7.500%   30     36,581
TOTAL PREFERRED SECURITIES (Cost $187,013)   $ 145,720
 
  19  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Active Bond Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 0.2%      
Short-term funds – 0.2%          
John Hancock Collateral Trust, 5.2975% (G)(H)   136,764   $ 1,367,281
TOTAL SHORT-TERM INVESTMENTS (Cost $1,367,630)   $ 1,367,281
Total Investments (Active Bond Trust)
(Cost $573,697,391) – 98.2%
  $ 541,344,483
Other assets and liabilities, net – 1.8%       9,663,133
TOTAL NET ASSETS – 100.0%       $ 551,007,616
Currency Abbreviations
ARS Argentine Peso
Security Abbreviations and Legend
CME CME Group Published Rates
CMT Constant Maturity Treasury
GO General Obligation
IBOR Interbank Offered Rate
IO Interest-Only Security - (Interest Tranche of Stripped Mortgage Pool). Rate shown is the annualized yield at the end of the period.
SOFR Secured Overnight Financing Rate
Active Bond Trust (continued)
(A) Variable rate obligation. The coupon rate shown represents the rate at period end.
(B) Non-income producing security.
(C) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration. Rule 144A securities amounted to $102,512,066 or 18.6% of the fund's net assets as of 3-31-24.
(D) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $207,951.
(E) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(F) Variable or floating rate security, the interest rate of which adjusts periodically based on a weighted average of interest rates and prepayments on the underlying pool of assets. The interest rate shown is the current rate as of period end.
(G) The rate shown is the annualized seven-day yield as of 3-31-24.
(H) Investment is an affiliate of the fund, the advisor and/or subadvisor. A portion of this security represents the investment of cash collateral received for securities lending. Market value of this investment amounted to $213,296.
* Yield represents either the annualized yield at the date of purchase, the stated coupon rate or, for floating rate securities, the rate at period end.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
10-Year U.S. Treasury Note Futures 46 Long Jun 2024 $5,104,680 $5,096,656 $(8,024)
            $(8,024)
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
American Asset Allocation Trust
    Shares or
Principal
Amount
  Value
INVESTMENT COMPANIES - 100.0%      
American Funds Insurance Series - 100.0%      
American Asset Allocation Fund - Class 1 46,934,678   $ 1,199,181,021
TOTAL INVESTMENT COMPANIES (Cost $1,051,318,735)   $ 1,199,181,021
Total Investments (American Asset Allocation Trust) (Cost $1,051,318,735) - 100.0%     $ 1,199,181,021
Other assets and liabilities, net - 0.0%       17,858
TOTAL NET ASSETS - 100.0%       $ 1,199,198,879
American Global Growth Trust
    Shares or
Principal
Amount
  Value
INVESTMENT COMPANIES - 100.0%      
American Funds Insurance Series - 100.0%      
American Global Growth Fund - Class 1 5,487,478   $ 206,658,411
TOTAL INVESTMENT COMPANIES (Cost $169,431,112)   $ 206,658,411
Total Investments (American Global Growth Trust) (Cost $169,431,112) - 100.0%     $ 206,658,411
Other assets and liabilities, net - (0.0%)       (8,681)
TOTAL NET ASSETS - 100.0%       $ 206,649,730
American Growth Trust
    Shares or
Principal
Amount
  Value
INVESTMENT COMPANIES - 100.0%      
American Funds Insurance Series - 100.0%      
American Growth Fund - Class 1 8,691,462   $ 973,182,975
TOTAL INVESTMENT COMPANIES (Cost $731,654,956)   $ 973,182,975
Total Investments (American Growth Trust) (Cost $731,654,956) - 100.0%     $ 973,182,975
Other assets and liabilities, net - (0.0%)       (3,685)
TOTAL NET ASSETS - 100.0%       $ 973,179,290
American Growth-Income Trust
    Shares or
Principal
Amount
  Value
INVESTMENT COMPANIES - 100.0%      
American Funds Insurance Series - 100.0%      
American Growth-Income Fund - Class 1 14,502,567   $ 951,368,408
TOTAL INVESTMENT COMPANIES (Cost $699,528,986)   $ 951,368,408
Total Investments (American Growth-Income Trust) (Cost $699,528,986) - 100.0%     $ 951,368,408
Other assets and liabilities, net - (0.0%)       (4,890)
TOTAL NET ASSETS - 100.0%       $ 951,363,518
 
  20  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

American International Trust
    Shares or
Principal
Amount
  Value
INVESTMENT COMPANIES - 100.0%      
American Funds Insurance Series - 100.0%      
American International Fund - Class 1 20,011,144   $ 373,207,844
TOTAL INVESTMENT COMPANIES (Cost $381,885,876)   $ 373,207,844
Total Investments (American International Trust) (Cost $381,885,876) - 100.0%     $ 373,207,844
Other assets and liabilities, net - (0.0%)       (8,815)
TOTAL NET ASSETS - 100.0%       $ 373,199,029
Blue Chip Growth Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 97.8%      
Communication services – 15.1%          
Entertainment – 1.8%      
Netflix, Inc. (A)   51,483   $ 31,267,170
Sea, Ltd., ADR (A)   77,130     4,142,652
          35,409,822
Interactive media and services – 12.4%      
Alphabet, Inc., Class A (A)   178,092     26,879,426
Alphabet, Inc., Class C (A)   787,960     119,974,790
Meta Platforms, Inc., Class A   194,834     94,607,494
          241,461,710
Wireless telecommunication services – 0.9%      
T-Mobile US, Inc.   106,161     17,327,598
          294,199,130
Consumer discretionary – 14.2%          
Automobiles – 1.5%      
Tesla, Inc. (A)   164,763     28,963,688
Broadline retail – 8.5%      
Amazon.com, Inc. (A)   908,931     163,952,974
Hotels, restaurants and leisure – 2.2%      
Booking Holdings, Inc.   4,506     16,347,227
Chipotle Mexican Grill, Inc. (A)   7,050     20,492,729
DoorDash, Inc., Class A (A)   45,610     6,281,409
          43,121,365
Specialty retail – 1.5%      
Carvana Company (A)(B)   108,869     9,570,674
Ross Stores, Inc.   78,940     11,585,234
The TJX Companies, Inc.   82,465     8,363,600
          29,519,508
Textiles, apparel and luxury goods – 0.5%      
Lululemon Athletica, Inc. (A)   15,176     5,928,504
NIKE, Inc., Class B   40,226     3,780,439
          9,708,943
          275,266,478
Consumer staples – 1.3%          
Consumer staples distribution and retail – 0.6%      
Dollar General Corp.   80,461     12,556,744
Food products – 0.2%      
Mondelez International, Inc., Class A   66,136     4,629,520
Household products – 0.5%      
Colgate-Palmolive Company   51,856     4,669,633
The Procter & Gamble Company   26,971     4,376,045
          9,045,678
          26,231,942
Energy – 0.3%          
Energy equipment and services – 0.3%      
Schlumberger, Ltd.   121,003     6,632,174
Blue Chip Growth Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Financials – 9.3%          
Capital markets – 1.6%      
Morgan Stanley   87,407   $ 8,230,243
MSCI, Inc.   3,475     1,947,564
S&P Global, Inc.   20,957     8,916,156
The Charles Schwab Corp.   92,496     6,691,161
The Goldman Sachs Group, Inc.   11,956     4,993,902
          30,779,026
Financial services – 6.1%      
Adyen NV (A)(C)   2,917     4,927,211
Fiserv, Inc. (A)   27,548     4,402,721
Mastercard, Inc., Class A   104,131     50,146,366
Visa, Inc., Class A   210,818     58,835,087
          118,311,385
Insurance – 1.6%      
Chubb, Ltd.   76,123     19,725,753
Marsh & McLennan Companies, Inc.   55,346     11,400,169
          31,125,922
          180,216,333
Health care – 11.8%          
Health care equipment and supplies – 2.3%      
Align Technology, Inc. (A)   4,261     1,397,267
Intuitive Surgical, Inc. (A)   75,311     30,055,867
Stryker Corp.   32,057     11,472,239
Teleflex, Inc.   9,131     2,065,158
          44,990,531
Health care providers and services – 3.5%      
Elevance Health, Inc.   14,940     7,746,988
Humana, Inc.   22,789     7,901,402
UnitedHealth Group, Inc.   104,511     51,701,592
          67,349,982
Health care technology – 0.2%      
Veeva Systems, Inc., Class A (A)   18,961     4,393,074
Life sciences tools and services – 1.7%      
Danaher Corp.   45,462     11,352,771
Thermo Fisher Scientific, Inc.   37,919     22,038,902
          33,391,673
Pharmaceuticals – 4.1%      
AstraZeneca PLC, ADR   58,166     3,940,747
Eli Lilly & Company   86,433     67,241,417
Zoetis, Inc.   50,024     8,464,561
          79,646,725
          229,771,985
Industrials – 1.6%          
Aerospace and defense – 0.3%      
TransDigm Group, Inc.   4,389     5,405,492
Commercial services and supplies – 0.3%      
Cintas Corp.   5,468     3,756,680
Veralto Corp.   16,486     1,461,649
          5,218,329
Ground transportation – 0.4%      
Old Dominion Freight Line, Inc.   32,804     7,194,245
Industrial conglomerates – 0.6%      
General Electric Company   70,726     12,414,535
          30,232,601
Information technology – 42.6%          
Electronic equipment, instruments and components – 0.3%      
TE Connectivity, Ltd.   40,611     5,898,342
IT services – 1.2%      
MongoDB, Inc. (A)   23,950     8,589,428
 
  21  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Blue Chip Growth Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
IT services (continued)      
Shopify, Inc., Class A (A)   143,011   $ 11,036,159
Snowflake, Inc., Class A (A)   20,042     3,238,787
          22,864,374
Semiconductors and semiconductor equipment – 13.2%      
Advanced Micro Devices, Inc. (A)   80,540     14,536,665
ASML Holding NV, NYRS   26,003     25,235,131
Lam Research Corp.   3,516     3,416,040
Monolithic Power Systems, Inc.   16,114     10,915,946
NVIDIA Corp.   213,335     192,760,973
Taiwan Semiconductor Manufacturing Company, Ltd., ADR   54,696     7,441,391
Texas Instruments, Inc.   16,826     2,931,257
          257,237,403
Software – 20.2%      
Atlassian Corp., Class A (A)   27,511     5,367,671
BILL Holdings, Inc. (A)   45,423     3,121,469
Confluent, Inc., Class A (A)   89,031     2,717,226
Crowdstrike Holdings, Inc., Class A (A)   15,112     4,844,756
Datadog, Inc., Class A (A)   29,799     3,683,156
Fortinet, Inc. (A)   22,298     1,523,176
Intuit, Inc.   32,455     21,095,750
Microsoft Corp.   640,535     269,485,882
Roper Technologies, Inc.   23,394     13,120,291
ServiceNow, Inc. (A)   58,014     44,229,874
Synopsys, Inc. (A)   40,355     23,062,883
          392,252,134
Technology hardware, storage and peripherals – 7.7%      
Apple, Inc.   872,549     149,624,703
          827,876,956
Materials – 0.9%          
Chemicals – 0.9%      
Linde PLC   19,722     9,157,319
The Sherwin-Williams Company   25,117     8,723,888
          17,881,207
Utilities – 0.7%          
Electric utilities – 0.7%      
Constellation Energy Corp.   77,858     14,392,051
TOTAL COMMON STOCKS (Cost $1,105,802,489)   $ 1,902,700,857
CORPORATE BONDS - 0.2%          
Consumer discretionary - 0.2%          
Carvana Company          
12.000%, (9.000% Cash or 12.000% PIK), 12/01/2028 (C) $ 851,115     832,169
13.000%, (9.000% Cash or 13.000% PIK), 06/01/2030 (C)   1,282,718     1,250,939
14.000%, (9.000% Cash or 14.000% PIK), 06/01/2031 (C)   1,524,393     1,532,209
          3,615,317
TOTAL CORPORATE BONDS (Cost $4,069,570)   $ 3,615,317
SHORT-TERM INVESTMENTS – 0.3%      
Short-term funds – 0.3%          
John Hancock Collateral Trust, 5.2975% (D)(E)   233,276     2,332,152
Blue Chip Growth Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS (continued)      
Short-term funds (continued)          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 5.2417% (D)   558,389   $ 558,389
T. Rowe Price Government Reserve Fund, 5.3578% (D)   2,302,840     2,302,840
TOTAL SHORT-TERM INVESTMENTS (Cost $5,194,020)   $ 5,193,381
Total Investments (Blue Chip Growth Trust)
(Cost $1,115,066,079) – 98.3%
  $ 1,911,509,555
Other assets and liabilities, net – 1.7%     33,110,662
TOTAL NET ASSETS – 100.0%   $ 1,944,620,217
Security Abbreviations and Legend
ADR American Depositary Receipt
NYRS New York Registry Shares
PIK Pay-in-Kind Security - Represents a payment-in-kind which may pay interest in additional par and/or cash. Rates shown are the current rate and most recent payment rate.
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $2,284,121.
(C) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(D) The rate shown is the annualized seven-day yield as of 3-31-24.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Capital Appreciation Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 100.2%      
Communication services – 13.1%          
Entertainment – 4.0%      
Netflix, Inc. (A)   32,142   $ 19,520,801
The Walt Disney Company   55,165     6,749,989
          26,270,790
Interactive media and services – 8.3%      
Alphabet, Inc., Class A (A)   69,798     10,534,612
Alphabet, Inc., Class C (A)   69,139     10,527,104
Meta Platforms, Inc., Class A   66,977     32,522,692
          53,584,408
Media – 0.8%      
The Trade Desk, Inc., Class A (A)   57,760     5,049,379
          84,904,577
Consumer discretionary – 20.1%          
Automobiles – 1.5%      
Tesla, Inc. (A)   55,003     9,668,977
Broadline retail – 9.4%      
Amazon.com, Inc. (A)   285,757     51,544,848
MercadoLibre, Inc. (A)   6,287     9,505,693
          61,050,541
Hotels, restaurants and leisure – 2.8%      
Airbnb, Inc., Class A (A)   48,304     7,968,228
Chipotle Mexican Grill, Inc. (A)   1,437     4,177,028
 
  22  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Capital Appreciation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Marriott International, Inc., Class A   22,883   $ 5,773,610
          17,918,866
Specialty retail – 3.5%      
O'Reilly Automotive, Inc. (A)   6,410     7,236,121
The Home Depot, Inc.   23,875     9,158,450
The TJX Companies, Inc.   60,509     6,136,823
          22,531,394
Textiles, apparel and luxury goods – 2.9%      
Lululemon Athletica, Inc. (A)   17,247     6,737,541
LVMH Moet Hennessy Louis Vuitton SE   8,339     7,503,399
NIKE, Inc., Class B   46,632     4,382,475
          18,623,415
          129,793,193
Consumer staples – 2.8%          
Consumer staples distribution and retail – 1.6%      
Costco Wholesale Corp.   14,124     10,347,666
Personal care products – 1.2%      
L'Oreal SA   11,666     5,524,686
The Estee Lauder Companies, Inc., Class A   13,328     2,054,511
          7,579,197
          17,926,863
Financials – 8.1%          
Banks – 0.4%      
NU Holdings, Ltd., Class A (A)   209,411     2,498,273
Capital markets – 1.8%      
Moody's Corp.   15,217     5,980,738
The Goldman Sachs Group, Inc.   14,259     5,955,842
          11,936,580
Financial services – 5.9%      
Adyen NV (A)(B)   1,748     2,952,610
Mastercard, Inc., Class A   36,301     17,481,473
Visa, Inc., Class A   63,310     17,668,555
          38,102,638
          52,537,491
Health care – 11.6%          
Biotechnology – 1.5%      
Vertex Pharmaceuticals, Inc. (A)   23,069     9,643,073
Health care equipment and supplies – 1.3%      
Intuitive Surgical, Inc. (A)   21,392     8,537,333
Health care providers and services – 1.4%      
UnitedHealth Group, Inc.   18,006     8,907,568
Pharmaceuticals – 7.4%      
AstraZeneca PLC, ADR   97,828     6,627,847
Eli Lilly & Company   33,493     26,056,214
Novo Nordisk A/S, ADR   116,260     14,927,784
          47,611,845
          74,699,819
Industrials – 2.7%          
Aerospace and defense – 0.8%      
The Boeing Company (A)   25,598     4,940,158
Electrical equipment – 0.5%      
Eaton Corp. PLC   10,490     3,280,013
Ground transportation – 1.4%      
Uber Technologies, Inc. (A)   122,521     9,432,892
          17,653,063
Capital Appreciation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Information technology – 41.0%          
Electronic equipment, instruments and components – 0.7%      
Keysight Technologies, Inc. (A)   26,656   $ 4,168,465
IT services – 2.1%      
MongoDB, Inc. (A)   19,470     6,982,721
Snowflake, Inc., Class A (A)   40,272     6,507,955
          13,490,676
Semiconductors and semiconductor equipment – 18.1%      
Advanced Micro Devices, Inc. (A)   134,714     24,314,530
ASML Holding NV, NYRS   10,563     10,251,075
Broadcom, Inc.   20,115     26,660,622
NVIDIA Corp.   62,021     56,039,695
          117,265,922
Software – 16.7%      
Adobe, Inc. (A)   16,568     8,360,213
Cadence Design Systems, Inc. (A)   29,827     9,284,549
Crowdstrike Holdings, Inc., Class A (A)   24,051     7,710,510
HubSpot, Inc. (A)   8,424     5,278,141
Microsoft Corp.   122,088     51,364,863
Palo Alto Networks, Inc. (A)   10,669     3,031,383
Salesforce, Inc.   41,341     12,451,082
ServiceNow, Inc. (A)   14,119     10,764,326
          108,245,067
Technology hardware, storage and peripherals – 3.4%      
Apple, Inc.   129,365     22,183,510
          265,353,640
Real estate – 0.8%          
Specialized REITs – 0.8%      
American Tower Corp.   27,039     5,342,636
TOTAL COMMON STOCKS (Cost $427,260,920)   $ 648,211,282
SHORT-TERM INVESTMENTS – 0.0%      
Short-term funds – 0.0%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 5.2417% (C)   4,719     4,719
TOTAL SHORT-TERM INVESTMENTS (Cost $4,719)   $ 4,719
Total Investments (Capital Appreciation Trust)
(Cost $427,265,639) – 100.2%
  $ 648,216,001
Other assets and liabilities, net – (0.2%)     (1,230,736)
TOTAL NET ASSETS – 100.0%   $ 646,985,265
Security Abbreviations and Legend
ADR American Depositary Receipt
NYRS New York Registry Shares
(A) Non-income producing security.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
Capital Appreciation Value Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 62.2%      
Communication services – 4.0%          
Interactive media and services – 4.0%      
Alphabet, Inc., Class A (A)(B)   87,885   $ 13,264,483
 
  23  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Interactive media and services (continued)      
Meta Platforms, Inc., Class A   12,025   $ 5,839,100
          19,103,583
Consumer discretionary – 4.2%          
Broadline retail – 2.3%      
Amazon.com, Inc. (B)   61,974     11,178,870
Hotels, restaurants and leisure – 1.9%      
Hilton Worldwide Holdings, Inc.   12,327     2,629,472
McDonald's Corp.   5,400     1,522,530
Yum! Brands, Inc. (A)   36,120     5,008,038
          9,160,040
          20,338,910
Energy – 2.9%          
Oil, gas and consumable fuels – 2.9%      
Canadian Natural Resources, Ltd.   128,749     9,826,124
Chesapeake Energy Corp.   45,800     4,068,414
          13,894,538
Financials – 6.6%          
Banks – 0.6%      
The PNC Financial Services Group, Inc.   16,988     2,745,261
Capital markets – 2.8%      
Intercontinental Exchange, Inc.   39,497     5,428,073
KKR & Company, Inc.   27,977     2,813,927
Morgan Stanley   26,700     2,514,072
The Goldman Sachs Group, Inc.   6,300     2,631,447
          13,387,519
Financial services – 2.1%      
Mastercard, Inc., Class A   11,287     5,435,481
Visa, Inc., Class A   16,488     4,601,471
          10,036,952
Insurance – 1.1%      
Arthur J. Gallagher & Company   3,600     900,144
Marsh & McLennan Companies, Inc.   20,757     4,275,527
          5,175,671
          31,345,403
Health care – 12.7%          
Biotechnology – 1.9%      
AbbVie, Inc.   24,520     4,465,092
Argenx SE, ADR (B)   3,600     1,417,392
Biogen, Inc. (B)   13,506     2,912,299
          8,794,783
Health care equipment and supplies – 3.2%      
Becton, Dickinson and Company   38,273     9,470,654
GE HealthCare Technologies, Inc.   41,214     3,746,765
Teleflex, Inc.   9,033     2,042,994
          15,260,413
Health care providers and services – 2.7%      
Humana, Inc.   3,400     1,178,848
UnitedHealth Group, Inc.   23,282     11,517,605
          12,696,453
Life sciences tools and services – 4.0%      
Avantor, Inc. (B)   52,056     1,331,072
Danaher Corp.   25,348     6,329,903
Revvity, Inc. (A)   86,822     9,116,310
Thermo Fisher Scientific, Inc.   4,244     2,466,655
          19,243,940
Pharmaceuticals – 0.9%      
Eli Lilly & Company   5,700     4,434,372
          60,429,961
Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Industrials – 8.4%          
Aerospace and defense – 1.3%      
Northrop Grumman Corp.   2,100   $ 1,005,186
RTX Corp.   54,300     5,295,879
          6,301,065
Commercial services and supplies – 3.6%      
Republic Services, Inc.   5,271     1,009,080
Veralto Corp.   76,095     6,746,583
Waste Connections, Inc.   54,721     9,412,559
          17,168,222
Electrical equipment – 0.4%      
AMETEK, Inc.   11,105     2,031,105
Machinery – 3.0%      
Fortive Corp.   127,596     10,975,808
Ingersoll Rand, Inc.   34,384     3,264,761
          14,240,569
Professional services – 0.1%      
Equifax, Inc.   1,174     314,068
          40,055,029
Information technology – 16.6%          
Electronic equipment, instruments and components – 1.1%      
Teledyne Technologies, Inc. (B)   12,179     5,228,688
Semiconductors and semiconductor equipment – 3.5%      
Advanced Micro Devices, Inc. (B)   6,800     1,227,332
KLA Corp.   2,730     1,907,096
Lam Research Corp.   2,475     2,404,636
NVIDIA Corp.   9,950     8,990,422
NXP Semiconductors NV   7,690     1,905,351
          16,434,837
Software – 10.5%      
Aurora Innovation, Inc. (B)   669,491     1,887,965
Intuit, Inc.   9,167     5,958,550
Microsoft Corp.   56,650     23,833,777
PTC, Inc. (B)   27,407     5,178,279
Roper Technologies, Inc.   13,087     7,339,713
Salesforce, Inc.   19,803     5,964,268
          50,162,552
Technology hardware, storage and peripherals – 1.5%      
Apple, Inc.   41,753     7,159,804
          78,985,881
Materials – 1.5%          
Chemicals – 0.9%      
Linde PLC   8,751     4,063,264
Construction materials – 0.6%      
Martin Marietta Materials, Inc.   4,800     2,946,912
          7,010,176
Real estate – 0.2%          
Specialized REITs – 0.2%      
SBA Communications Corp.   5,943     1,287,848
Utilities – 5.1%          
Electric utilities – 1.1%      
Exelon Corp. (A)   135,506     5,090,960
Multi-utilities – 3.5%      
Ameren Corp.   63,783     4,717,391
CenterPoint Energy, Inc.   167,830     4,781,477
CMS Energy Corp.   15,583     940,278
DTE Energy Company   31,610     3,544,745
NiSource, Inc.   61,033     1,688,173
 
  24  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Multi-utilities (continued)      
WEC Energy Group, Inc.   11,547   $ 948,240
          16,620,304
Water utilities – 0.5%      
Essential Utilities, Inc.   66,758     2,473,384
          24,184,648
TOTAL COMMON STOCKS (Cost $239,060,151)   $ 296,635,977
PREFERRED SECURITIES – 0.2%          
Financials – 0.0%          
Capital markets – 0.0%      
The Charles Schwab Corp., 5.950%   422     10,660
Utilities – 0.2%          
Electric utilities – 0.1%      
SCE Trust IV, 5.375% (5.375% to 9-15-25, then 3 month CME Term SOFR + 3.394%)   8,303     195,204
Multi-utilities – 0.1%      
CMS Energy Corp., 5.875%   16,211     392,468
CMS Energy Corp., 5.875%   8,360     207,077
          599,545
          794,749
TOTAL PREFERRED SECURITIES (Cost $832,400)   $ 805,409
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS – 11.2%
         
U.S. Government – 11.2%          
U.S. Treasury Notes          
3.375%, 05/15/2033 $ 14,070,900     13,181,575
3.875%, 08/15/2033   13,928,900     13,558,914
4.000%, 02/15/2034   8,621,500     8,478,706
4.500%, 11/15/2033   17,691,000     18,083,519
          53,302,714
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $52,879,938)   $ 53,302,714
CORPORATE BONDS - 11.0%          
Communication services - 1.1%          
CCO Holdings LLC          
5.000%, 02/01/2028 (C)   2,258,000     2,101,983
5.125%, 05/01/2027 (C)   2,724,000     2,595,350
5.500%, 05/01/2026 (C)   163,000     160,512
Lamar Media Corp.          
3.625%, 01/15/2031   50,000     43,872
3.750%, 02/15/2028   100,000     93,424
4.875%, 01/15/2029   50,000     48,179
Live Nation Entertainment, Inc.
4.875%, 11/01/2024 (C)
  35,000     34,765
          5,078,085
Consumer discretionary - 2.7%          
Cedar Fair LP          
5.250%, 07/15/2029   659,000     624,686
5.375%, 04/15/2027   676,000     665,898
5.500%, 05/01/2025 (C)   410,000     408,301
6.500%, 10/01/2028   560,000     561,908
Clarios Global LP          
6.250%, 05/15/2026 (C)   222,000     221,887
6.750%, 05/15/2025 (C)   147,000     147,131
8.500%, 05/15/2027 (C)   650,000     650,983
Hilton Domestic Operating
Company, Inc.
         
3.625%, 02/15/2032 (C)   657,000     565,678
3.750%, 05/01/2029 (C)   553,000     507,313
4.000%, 05/01/2031 (C)   743,000     664,068
Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)          
Consumer discretionary (continued)          
Hilton Domestic Operating
Company, Inc. (continued)
         
4.875%, 01/15/2030 $ 425,000   $ 407,490
5.375%, 05/01/2025 (C)   126,000     125,608
5.750%, 05/01/2028 (C)   500,000     499,257
5.875%, 04/01/2029 (C)   312,000     312,518
Hilton Worldwide Finance LLC
4.875%, 04/01/2027
  77,000     75,701
KFC Holding Company/Pizza Hut Holdings LLC/Taco Bell of America LLC
4.750%, 06/01/2027 (C)
  1,270,000     1,234,882
Life Time, Inc.
5.750%, 01/15/2026 (C)
  365,000     362,039
Marriott International, Inc.
3.125%, 06/15/2026
  34,000     32,499
Service Corp. International          
3.375%, 08/15/2030   100,000     86,605
4.625%, 12/15/2027   44,000     42,524
Six Flags Entertainment Corp.
5.500%, 04/15/2027 (C)
  1,061,000     1,036,402
Six Flags Theme Parks, Inc.
7.000%, 07/01/2025 (C)
  249,000     249,359
Vail Resorts, Inc.
6.250%, 05/15/2025 (C)
  50,000     50,013
Yum! Brands, Inc.          
3.625%, 03/15/2031   331,000     292,911
4.625%, 01/31/2032   875,000     807,466
4.750%, 01/15/2030 (C)   402,000     381,283
5.350%, 11/01/2043   579,000     554,565
5.375%, 04/01/2032   1,046,000     1,012,168
6.875%, 11/15/2037   414,000     455,537
          13,036,680
Energy - 0.1%          
Pioneer Natural Resources Company          
1.125%, 01/15/2026   39,000     36,295
2.150%, 01/15/2031   98,000     82,451
5.100%, 03/29/2026   81,000     80,898
          199,644
Financials - 3.5%          
Alliant Holdings Intermediate LLC          
4.250%, 10/15/2027 (C)   75,000     70,609
5.875%, 11/01/2029 (C)   75,000     69,674
6.750%, 10/15/2027 to 04/15/2028 (C)   2,144,000     2,144,220
7.000%, 01/15/2031 (C)   1,355,000     1,368,576
AmWINS Group, Inc.
4.875%, 06/30/2029 (C)
  135,000     126,007
AssuredPartners, Inc.
7.500%, 02/15/2032 (C)
  133,000     130,693
BroadStreet Partners, Inc.
5.875%, 04/15/2029 (C)
  487,000     450,750
HUB International, Ltd.          
5.625%, 12/01/2029 (C)   165,000     154,708
7.250%, 06/15/2030 (C)   5,171,000     5,314,221
7.375%, 01/31/2032 (C)   2,667,000     2,684,960
Intercontinental Exchange, Inc.
4.000%, 09/15/2027
  59,000     57,164
MSCI, Inc.          
3.250%, 08/15/2033 (C)   270,000     222,435
3.625%, 09/01/2030 to 11/01/2031 (C)   1,081,000     950,134
3.875%, 02/15/2031 (C)   657,000     585,970
4.000%, 11/15/2029 (C)   625,000     577,948
Panther Escrow Issuer LLC
7.125%, 06/01/2031 (C)
  519,000     527,672
 
  25  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)          
Financials (continued)          
Ryan Specialty LLC
4.375%, 02/01/2030 (C)
$ 135,000   $ 126,175
USI, Inc.
7.500%, 01/15/2032 (C)
  1,079,000     1,080,988
          16,642,904
Health care - 1.4%          
Avantor Funding, Inc.          
3.875%, 11/01/2029 (C)   700,000     631,008
4.625%, 07/15/2028 (C)   1,250,000     1,184,518
Becton, Dickinson and Company
3.700%, 06/06/2027
  168,000     161,404
Biogen, Inc.
3.150%, 05/01/2050
  541,000     361,809
Charles River Laboratories
International, Inc.
         
3.750%, 03/15/2029 (C)   413,000     376,922
4.000%, 03/15/2031 (C)   342,000     305,593
4.250%, 05/01/2028 (C)   220,000     207,490
GE HealthCare Technologies, Inc.
5.650%, 11/15/2027
  122,000     124,231
Heartland Dental LLC          
8.500%, 05/01/2026 (C)   613,000     604,892
10.500%, 04/30/2028 (C)   431,000     457,938
Hologic, Inc.
3.250%, 02/15/2029 (C)
  93,000     83,346
IQVIA, Inc.          
5.000%, 05/15/2027 (C)   200,000     195,285
5.700%, 05/15/2028   577,000     585,002
6.500%, 05/15/2030 (C)   200,000     204,103
Medline Borrower LP
6.250%, 04/01/2029 (C)
  156,000     156,699
PRA Health Sciences, Inc.
2.875%, 07/15/2026 (C)
  200,000     186,460
Surgery Center Holdings, Inc.
7.250%, 04/15/2032 (C)
  182,000     183,413
Surgery Center Holdings, Inc.
10.000%, 04/15/2027 (C)
  241,000     241,444
Teleflex, Inc.          
4.250%, 06/01/2028 (C)   50,000     46,918
4.625%, 11/15/2027   331,000     318,353
          6,616,828
Industrials - 1.5%          
Booz Allen Hamilton, Inc.          
3.875%, 09/01/2028 (C)   386,000     361,583
4.000%, 07/01/2029 (C)   188,000     174,760
5.950%, 08/04/2033   138,000     142,762
Delta Air Lines, Inc.
4.750%, 10/20/2028 (C)
  607,847     594,509
GFL Environmental, Inc.          
4.000%, 08/01/2028 (C)   229,000     211,064
4.375%, 08/15/2029 (C)   43,000     39,615
4.750%, 06/15/2029 (C)   490,000     460,816
6.750%, 01/15/2031 (C)   136,000     139,375
Howmet Aerospace, Inc.          
3.000%, 01/15/2029   271,000     244,720
5.900%, 02/01/2027   157,000     159,267
Korn Ferry
4.625%, 12/15/2027 (C)
  250,000     238,076
Mileage Plus Holdings LLC
6.500%, 06/20/2027 (C)
  523,374     526,261
Sensata Technologies BV          
4.000%, 04/15/2029 (C)   200,000     182,617
5.000%, 10/01/2025 (C)   325,000     321,016
5.875%, 09/01/2030 (C)   200,000     195,670
Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)          
Industrials (continued)          
Sensata Technologies, Inc.          
3.750%, 02/15/2031 (C) $ 100,000   $ 86,500
4.375%, 02/15/2030 (C)   50,000     45,507
TransDigm, Inc.          
5.500%, 11/15/2027   504,000     493,291
6.375%, 03/01/2029 (C)   1,235,000     1,238,845
6.625%, 03/01/2032 (C)   973,000     983,013
7.125%, 12/01/2031 (C)   265,000     273,098
United Airlines 2012-1 Class A Pass Through Trust
4.150%, 10/11/2025
  120,801     120,701
US Airways 2012-2 Class A Pass Through Trust
4.625%, 06/03/2025
  9,658     9,498
US Airways 2013-1 Class A Pass Through Trust
3.950%, 05/15/2027
  94,798     92,523
          7,335,087
Information technology - 0.2%          
Black Knight InfoServ LLC
3.625%, 09/01/2028 (C)
  50,000     47,250
Clarivate Science Holdings Corp.          
3.875%, 07/01/2028 (C)   102,000     94,370
4.875%, 07/01/2029 (C)   80,000     74,010
Crowdstrike Holdings, Inc.
3.000%, 02/15/2029
  24,000     21,285
Gartner, Inc.          
3.625%, 06/15/2029 (C)   227,000     205,522
3.750%, 10/01/2030 (C)   50,000     44,757
4.500%, 07/01/2028 (C)   185,000     176,232
PTC, Inc.
4.000%, 02/15/2028 (C)
  168,000     157,008
UKG, Inc.
6.875%, 02/01/2031 (C)
  263,000     267,925
          1,088,359
Materials - 0.1%          
Ball Corp.
6.000%, 06/15/2029
  495,000     499,703
Real estate - 0.4%          
American Tower Corp.
1.500%, 01/31/2028
  48,000     41,901
SBA Communications Corp.          
3.125%, 02/01/2029   657,000     579,806
3.875%, 02/15/2027   720,000     684,784
VICI Properties LP          
3.750%, 02/15/2027 (C)   100,000     94,775
4.125%, 08/15/2030 (C)   120,000     109,117
5.750%, 02/01/2027 (C)   117,000     116,852
5.750%, 04/01/2034   287,000     284,298
          1,911,533
TOTAL CORPORATE BONDS (Cost $52,289,766)   $ 52,408,823
TERM LOANS (D) – 10.4%          
Communication services – 0.1%          
Charter Communications Operating LLC, 2019 Term Loan B2 (1 month CME Term SOFR + 1.750%) 7.076%, 02/01/2027   406,171     406,069
Consumer discretionary – 0.8%          
Hilton Domestic Operating Company, Inc., 2023 Term Loan B3 (1 month CME Term SOFR + 1.750%) 7.179%, 06/21/2028   1,209,400     1,211,190
 
  26  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (D)(continued)          
Consumer discretionary (continued)          
IRB Holding Corp., 2024 Term Loan B (1 month CME Term SOFR + 2.750%) 8.176%, 12/15/2027 $ 1,962,240     1,961,809
New Red Finance, Inc., 2023 Term Loan B5 (1 month CME Term SOFR + 2.250%) 7.580%, 09/20/2030   681,783     681,101
          3,854,100
Financials – 3.8%          
Alliant Holdings Intermediate LLC, 2023 Term Loan B6 (1 month CME Term SOFR + 3.500%) 8.827%, 11/06/2030   2,322,559     2,331,268
AmWINS Group, Inc., Term Loan B TBD 02/19/2028 (E)   52,000     51,991
AssuredPartners, Inc., 2020 Term Loan B (1 month CME Term SOFR + 3.500%) 8.941%, 02/12/2027   104,672     104,738
AssuredPartners, Inc., 2021 Term Loan B (1 month CME Term SOFR + 3.500%) 8.941%, 02/12/2027   37,716     37,744
AssuredPartners, Inc., 2022 Term Loan (1 month CME Term SOFR + 3.500%) 8.826%, 02/12/2027   540,034     540,375
AssuredPartners, Inc., 2023 Term Loan B4 (1 month CME Term SOFR + 3.750%) 9.080%, 02/12/2027   822,893     823,238
AssuredPartners, Inc., 2024 Incremental Term Loan B5 (1 month CME Term SOFR + 3.500%) 8.818%, 02/14/2031   530,131     530,629
BroadStreet Partners, Inc., 2020 Term Loan B (1 month CME Term SOFR + 3.000%) 8.445%, 01/27/2027   518,341     519,517
BroadStreet Partners, Inc., 2023 Term Loan B3 (1 month CME Term SOFR + 3.750%) 9.080%, 01/27/2029   923,624     925,472
HUB International, Ltd., 2024 Term Loan B (3 month CME Term SOFR + 3.250%) 8.574%, 06/20/2030   6,255,460     6,256,586
Ryan Specialty LLC, Term Loan (1 month CME Term SOFR + 2.750%) 8.080%, 09/01/2027   541,650     541,920
Truist Insurance Holdings LLC, 2nd Lien Term Loan TBD 03/08/2032 (E)   1,319,236     1,325,832
Truist Insurance Holdings LLC, Term Loan B TBD 03/24/2031 (E)   526,310     525,431
USI, Inc., 2023 Acquisition Term Loan (3 month CME Term SOFR + 3.250%) 8.598%, 09/27/2030   2,320,035     2,320,754
USI, Inc., 2023 Term Loan B (3 month CME Term SOFR + 3.000%) 8.348%, 11/22/2029   1,488,475     1,488,266
          18,323,761
Health care – 1.3%          
ADMI Corp., 2021 Incremental Term Loan B3 (1 month CME Term SOFR + 3.750%) 9.195%, 12/23/2027   931,118     898,138
ADMI Corp., 2021 Term Loan B2 (1 month CME Term SOFR + 3.375%) 8.820%, 12/23/2027   443,593     426,958
ADMI Corp., 2023 Term Loan B5 (1 month CME Term SOFR + 5.750%) 11.080%, 12/23/2027   39,094     39,094
athenahealth, Inc., 2022 Term Loan B (1 month CME Term SOFR + 3.250%) 8.580%, 02/15/2029   1,846,505     1,826,599
Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (D)(continued)          
Health care (continued)          
Avantor Funding, Inc., 2021 Term Loan B5 (1 month CME Term SOFR + 2.250%) 7.680%, 11/08/2027 $ 57,719     57,745
Heartland Dental LLC, 2023 Term Loan B (1 month CME Term SOFR + 5.000%) 10.329%, 04/28/2028   1,144,444     1,145,452
Loire Finco Luxembourg Sarl, 2021 USD Term Loan B2 (1 month CME Term SOFR + 3.750%) 9.079%, 04/21/2027   150,967     147,193
Loire Finco Luxembourg Sarl, USD Term Loan B (1 month CME Term SOFR + 3.500%) 8.829%, 04/21/2027   1,428,168     1,392,464
Medline Borrower LP, 2024 Term Loan B TBD 10/23/2028 (E)   104,011     104,227
          6,037,870
Industrials – 1.6%          
Filtration Group Corp., 2021 Incremental Term Loan (1 month CME Term SOFR + 3.500%) 8.941%, 10/21/2028   836,134     837,388
Filtration Group Corp., 2023 EUR Term Loan (1 month EURIBOR + 4.250%) 8.080%, 10/21/2028 EUR 679,486     731,707
Filtration Group Corp., 2023 USD Term Loan (1 month CME Term SOFR + 4.250%) 9.695%, 10/21/2028 $ 1,276,379     1,279,570
Mileage Plus Holdings LLC, 2020 Term Loan B (3 month CME Term SOFR + 5.250%) 10.733%, 06/21/2027   1,995,715     2,052,633
SkyMiles IP, Ltd., 2020 Skymiles Term Loan B (3 month CME Term SOFR + 3.750%) 9.068%, 10/20/2027   1,359,155     1,400,501
Trans Union LLC, 2019 Term Loan B5 (1 month CME Term SOFR + 1.750%) 7.176%, 11/16/2026   885,198     884,295
Trans Union LLC, 2024 Term Loan B6 TBD 12/01/2028 (E)   53,987     53,933
TransDigm, Inc., 2022 Term Loan H TBD 02/22/2027 (E)   127,100     127,305
TransDigm, Inc., 2024 Term Loan I TBD 08/24/2028 (E)   69,000     69,216
TransDigm, Inc., 2024 Term Loan K TBD 02/22/2030 (E)   127,100     127,312
          7,563,860
Information technology – 2.7%          
Applied Systems, Inc., 2024 1st Lien Term Loan (3 month CME Term SOFR + 3.500%) 8.809%, 02/24/2031   3,827,686     3,848,891
Applied Systems, Inc., 2024 2nd Lien Term Loan (3 month CME Term SOFR + 5.250%) 10.559%, 02/23/2032   556,009     574,774
Azalea TopCo, Inc., 2021 Term Loan B (1 month CME Term SOFR + 3.750%) 9.191%, 07/24/2026   492,733     488,732
Azalea TopCo, Inc., 2022 Incremental Term Loan (1 month CME Term SOFR + 3.750%) 9.176%, 07/24/2026   135,585     134,738
Azalea TopCo, Inc., Term Loan (1 month CME Term SOFR + 3.500%) 8.941%, 07/24/2026   1,447,846     1,438,493
Ellucian Holdings, Inc., 2024 Term Loan B (1 month CME Term SOFR + 3.500%) 8.926%, 10/09/2029   1,112,082     1,116,252
 
  27  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (D)(continued)          
Information technology (continued)          
Epicor Software Corp., 2020 Term Loan (1 month CME Term SOFR + 3.250%) 8.691%, 07/30/2027 $ 312,397     313,294
Epicor Software Corp., 2023 Incremental Term Loan (1 month CME Term SOFR + 3.750%) 9.076%, 07/30/2027   55,837     56,077
Quartz Acquireco LLC, Term Loan B (3 month CME Term SOFR + 3.500%) 8.829%, 06/28/2030   109,152     109,288
RealPage, Inc., 1st Lien Term Loan (1 month CME Term SOFR + 3.000%) 8.445%, 04/24/2028   575,077     559,102
RealPage, Inc., 2nd Lien Term Loan (1 month CME Term SOFR + 6.500%) 11.945%, 04/23/2029   75,000     74,188
Severin Acquisition LLC, 2018 Term Loan B (3 month CME Term SOFR + 3.250%) 8.563%, 08/01/2027   141,369     141,516
Storable, Inc., Term Loan B (1 and 3 month CME Term SOFR + 3.500%) 8.823%, 04/17/2028   847,334     847,690
UKG, Inc., 2024 Term Loan B (3 month CME Term SOFR + 3.500%) 8.814%, 02/10/2031   2,987,245     3,001,435
          12,704,470
Real estate – 0.1%          
SBA Senior Finance II LLC, 2024 Term Loan B (1 month CME Term SOFR + 2.000%) 7.340%, 01/25/2031   726,538     727,671
TOTAL TERM LOANS (Cost $49,531,103)   $ 49,617,801
ASSET BACKED SECURITIES - 0.1%        
Domino's Pizza Master Issuer LLC
Series 2017-1A, Class A23
4.118%, 07/25/2047 (C)
  326,180   $ 312,213
Domino's Pizza Master Issuer LLC
Series 2019-1A, Class A2
3.668%, 10/25/2049 (C)
  206,400     189,828
TOTAL ASSET BACKED SECURITIES (Cost $529,742)   $ 502,041
Capital Appreciation Value Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 5.2%      
Short-term funds – 4.7%          
T. Rowe Price Government Reserve Fund, 5.3578% (F)   22,601,778   $ 22,601,778
Repurchase agreement – 0.5%          
Repurchase Agreement with State Street Corp. dated 3-28-24 at 1.600% to be repurchased at $2,160,384 on 4-1-24, collateralized by $2,229,900 U.S. Treasury Bonds, 4.250% due 2-15-54 (valued at $2,203,206) $ 2,160,000     2,160,000
TOTAL SHORT-TERM INVESTMENTS (Cost $24,761,778)   $ 24,761,778
Total Investments (Capital Appreciation Value Trust)
(Cost $419,884,878) – 100.3%
  $ 478,034,543
Other assets and liabilities, net – (0.3%)     (1,537,628)
TOTAL NET ASSETS – 100.0%   $ 476,496,915
Currency Abbreviations
EUR Euro
Security Abbreviations and Legend
ADR American Depositary Receipt
CME CME Group Published Rates
EURIBOR Euro Interbank Offered Rate
SOFR Secured Overnight Financing Rate
(A) All or a portion of this security is segregated at the custodian as collateral for certain derivatives.
(B) Non-income producing security.
(C) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(D) Term loans are variable rate obligations. The rate shown represents the rate at period end.
(E) This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate, which is disclosed as TBD (To Be Determined).
(F) The rate shown is the annualized seven-day yield as of 3-31-24.
 
DERIVATIVES
WRITTEN OPTIONS
Options on securities
Counterparty (OTC)/
Exchange-
traded
Name of issuer Currency Exercise
price
Expiration
date
Number of
contracts
Notional
amount
Premium Value
Calls              
CITI AbbVie, Inc. USD 160.00 Jan 2025 37 3,700 $44,659 $(108,978)
CITI AbbVie, Inc. USD 165.00 Jan 2025 37 3,700 37,259 (95,202)
JPM AbbVie, Inc. USD 165.00 Jan 2025 24 2,400 17,214 (61,752)
JPM AbbVie, Inc. USD 170.00 Jan 2025 24 2,400 13,150 (53,381)
CITI AbbVie, Inc. USD 175.00 Jan 2025 46 4,600 30,912 (87,485)
JPM Arthur J. Gallagher & Company USD 250.00 Nov 2024 13 1,300 11,726 (25,008)
JPM Arthur J. Gallagher & Company USD 250.00 Nov 2024 13 1,300 13,351 (25,008)
UBS Danaher Corp. USD 300.00 Jan 2025 18 1,800 19,086 (13,574)
JPM Exelon Corp. USD 47.00 Jun 2024 5 500 670 (2)
CITI Intercontinental Exchange, Inc. USD 125.00 Jan 2025 21 2,100 13,040 (43,079)
CITI Intercontinental Exchange, Inc. USD 125.00 Jan 2025 16 1,600 11,918 (32,822)
CITI Intercontinental Exchange, Inc. USD 130.00 Jan 2025 21 2,100 9,264 (35,544)
CITI Intercontinental Exchange, Inc. USD 130.00 Jan 2025 16 1,600 8,573 (27,081)
BOA Intercontinental Exchange, Inc. USD 140.00 Jan 2025 13 1,300 7,540 (14,062)
BOA Intercontinental Exchange, Inc. USD 140.00 Jan 2025 14 1,400 7,868 (15,144)
  28  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
Options on securities (continued)
Counterparty (OTC)/
Exchange-
traded
Name of issuer Currency Exercise
price
Expiration
date
Number of
contracts
Notional
amount
Premium Value
Calls (continued)              
BOA Intercontinental Exchange, Inc. USD 145.00 Jan 2025 14 1,400 $5,726 $(11,711)
BOA Intercontinental Exchange, Inc. USD 145.00 Jan 2025 14 1,400 5,530 (11,711)
WFB Linde PLC USD 440.00 Jan 2025 4 400 7,360 (22,214)
WFB Linde PLC USD 440.00 Jan 2025 4 400 7,391 (22,214)
WFB Linde PLC USD 450.00 Jan 2025 4 400 5,929 (19,523)
WFB Linde PLC USD 450.00 Jan 2025 4 400 5,956 (19,523)
WFB Linde PLC USD 460.00 Jan 2025 5 500 10,307 (21,260)
WFB Linde PLC USD 460.00 Jan 2025 6 600 15,653 (25,512)
WFB Linde PLC USD 480.00 Jan 2025 5 500 7,126 (15,692)
WFB Linde PLC USD 480.00 Jan 2025 6 600 10,975 (18,831)
GSI Marsh & McLennan Companies, Inc. USD 210.00 Jul 2024 12 1,200 9,507 (8,045)
GSI Marsh & McLennan Companies, Inc. USD 220.00 Jul 2024 12 1,200 4,847 (3,449)
GSI Marsh & McLennan Companies, Inc. USD 210.00 Dec 2024 24 2,400 19,272 (31,361)
GSI Marsh & McLennan Companies, Inc. USD 210.00 Dec 2024 24 2,400 20,808 (31,361)
JPM Mastercard, Inc., Class A USD 480.00 Jan 2025 7 700 16,849 (31,967)
JPM Mastercard, Inc., Class A USD 490.00 Jan 2025 7 700 14,189 (28,006)
JPM Mastercard, Inc., Class A USD 500.00 Jan 2025 7 700 11,774 (24,373)
UBS McDonald's Corp. USD 320.00 Jan 2025 9 900 12,528 (4,952)
UBS McDonald's Corp. USD 320.00 Jan 2025 9 900 10,638 (4,952)
UBS McDonald's Corp. USD 325.00 Jan 2025 9 900 10,638 (4,013)
UBS McDonald's Corp. USD 325.00 Jan 2025 9 900 8,973 (4,013)
UBS McDonald's Corp. USD 330.00 Jan 2025 9 900 8,973 (3,230)
UBS McDonald's Corp. USD 330.00 Jan 2025 9 900 7,623 (3,230)
BARC Northrop Grumman Corp. USD 490.00 Jan 2025 21 2,100 48,489 (75,362)
WFB NXP Semiconductors NV USD 220.00 Jun 2024 4 400 7,461 (13,910)
WFB Republic Services, Inc. USD 170.00 Jul 2024 5 500 2,500 (12,108)
WFB Republic Services, Inc. USD 175.00 Jul 2024 5 500 1,603 (9,881)
CITI Roper Technologies, Inc. USD 580.00 Dec 2024 3 300 7,190 (9,871)
CITI Roper Technologies, Inc. USD 580.00 Dec 2024 2 200 4,987 (6,581)
CITI Roper Technologies, Inc. USD 580.00 Dec 2024 5 500 14,340 (16,452)
CITI Roper Technologies, Inc. USD 600.00 Dec 2024 3 300 5,190 (7,291)
CITI Roper Technologies, Inc. USD 600.00 Dec 2024 2 200 3,618 (4,861)
CITI Roper Technologies, Inc. USD 600.00 Dec 2024 5 500 10,047 (12,152)
CITI Roper Technologies, Inc. USD 600.00 Dec 2024 2 200 4,560 (4,861)
CITI Roper Technologies, Inc. USD 600.00 Dec 2024 3 300 7,014 (7,291)
CITI Roper Technologies, Inc. USD 620.00 Dec 2024 2 200 2,548 (3,555)
CITI Roper Technologies, Inc. USD 620.00 Dec 2024 3 300 3,963 (5,332)
CITI Roper Technologies, Inc. USD 640.00 Dec 2024 2 200 1,603 (2,603)
CITI Roper Technologies, Inc. USD 640.00 Dec 2024 3 300 2,517 (3,904)
GSI Salesforce, Inc. USD 230.00 Jun 2024 2 200 4,800 (14,953)
GSI Salesforce, Inc. USD 240.00 Jun 2024 2 200 3,991 (13,071)
JPM Thermo Fisher Scientific, Inc. USD 650.00 Jan 2025 8 800 28,917 (22,981)
CITI UnitedHealth Group, Inc. USD 580.00 Jan 2025 18 1,800 76,672 (24,399)
JPM UnitedHealth Group, Inc. USD 600.00 Jan 2025 20 2,000 63,697 (19,431)
GSI Visa, Inc., Class A USD 250.00 Jun 2024 1 100 1,447 (3,351)
GSI Visa, Inc., Class A USD 260.00 Jun 2024 1 100 1,067 (2,484)
GSI Visa, Inc., Class A USD 305.00 Jan 2025 12 1,200 13,344 (14,954)
GSI Visa, Inc., Class A USD 310.00 Jan 2025 11 1,100 10,582 (11,764)
GSI Visa, Inc., Class A USD 315.00 Jan 2025 11 1,100 9,042 (10,042)
WFB Yum! Brands, Inc. USD 140.00 Jan 2025 7 700 4,148 (7,171)
WFB Yum! Brands, Inc. USD 140.00 Jan 2025 3 300 1,711 (3,073)
WFB Yum! Brands, Inc. USD 140.00 Jan 2025 4 400 2,141 (4,098)
WFB Yum! Brands, Inc. USD 140.00 Jan 2025 9 900 5,441 (9,219)
JPM Yum! Brands, Inc. USD 145.00 Jan 2025 26 2,600 15,440 (19,926)
WFB Yum! Brands, Inc. USD 145.00 Jan 2025 21 2,100 9,439 (16,094)
WFB Yum! Brands, Inc. USD 145.00 Jan 2025 15 1,500 7,838 (11,496)
WFB Yum! Brands, Inc. USD 145.00 Jan 2025 6 600 3,252 (4,598)
WFB Yum! Brands, Inc. USD 145.00 Jan 2025 7 700 2,704 (5,365)
WFB Yum! Brands, Inc. USD 145.00 Jan 2025 3 300 1,105 (2,299)
WFB Yum! Brands, Inc. USD 145.00 Jan 2025 4 400 1,361 (3,066)
WFB Yum! Brands, Inc. USD 145.00 Jan 2025 10 1,000 3,959 (7,664)
JPM Yum! Brands, Inc. USD 150.00 Jan 2025 26 2,600 10,490 (14,395)
WFB Yum! Brands, Inc. USD 150.00 Jan 2025 21 2,100 6,594 (11,627)
WFB Yum! Brands, Inc. USD 150.00 Jan 2025 15 1,500 5,502 (8,305)
  29  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Capital Appreciation Value Trust (continued)
Options on securities (continued)
Counterparty (OTC)/
Exchange-
traded
Name of issuer Currency Exercise
price
Expiration
date
Number of
contracts
Notional
amount
Premium Value
Calls (continued)              
WFB Yum! Brands, Inc. USD 150.00 Jan 2025 6 600 $2,292 $(3,322)
WFB Yum! Brands, Inc. USD 150.00 Jan 2025 7 700 1,652 (3,876)
WFB Yum! Brands, Inc. USD 150.00 Jan 2025 3 300 668 (1,661)
WFB Yum! Brands, Inc. USD 150.00 Jan 2025 4 400 806 (2,215)
WFB Yum! Brands, Inc. USD 150.00 Jan 2025 10 1,000 2,432 (5,536)
              $914,966 $(1,487,716)
Derivatives Currency Abbreviations
USD U.S. Dollar
Derivatives Abbreviations
BARC Barclays Bank PLC
BOA Bank of America, N.A.
CITI Citibank, N.A.
GSI Goldman Sachs International
JPM JPMorgan Chase Bank, N.A.
OTC Over-the-counter
UBS UBS AG
WFB Wells Fargo Bank, N.A.
Core Bond Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
52.6%
     
U.S. Government – 25.5%          
U.S. Treasury Bonds          
1.125%, 05/15/2040 to 08/15/2040 $ 25,310,000   $ 15,672,583
1.375%, 11/15/2040   17,518,000     11,264,895
1.750%, 08/15/2041   20,484,000     13,823,499
1.875%, 02/15/2041   1,801,000     1,255,564
2.000%, 11/15/2041   9,199,000     6,453,673
2.375%, 02/15/2042 to 05/15/2051   10,485,000     7,199,724
2.875%, 05/15/2052   2,062,000     1,560,193
3.125%, 11/15/2041   2,654,000     2,229,671
3.625%, 02/15/2053   815,000     715,672
3.875%, 05/15/2043   4,557,000     4,205,791
4.125%, 08/15/2053   2,385,000     2,292,209
4.250%, 02/15/2054   12,475,000     12,268,383
4.375%, 08/15/2043   616,000     608,685
4.500%, 02/15/2044   380,000     382,078
4.750%, 11/15/2043 to 11/15/2053   2,827,000     2,959,711
U.S. Treasury Notes          
0.375%, 01/31/2026 to 07/31/2027   5,875,000     5,153,722
0.500%, 08/31/2027   3,578,000     3,143,049
0.625%, 07/31/2026 to 11/30/2027   1,920,000     1,683,859
0.750%, 04/30/2026 to 01/31/2028   4,996,000     4,532,891
1.000%, 07/31/2028   12,756,000     11,114,660
1.125%, 10/31/2026 to 08/31/2028   13,042,000     11,779,012
1.250%, 04/30/2028 to 09/30/2028   11,165,000     9,886,064
1.500%, 08/15/2026   2,988,000     2,784,676
1.875%, 02/28/2027   3,351,000     3,118,001
2.000%, 11/15/2026   2,538,000     2,382,548
2.250%, 11/15/2025   4,378,000     4,205,445
2.375%, 03/31/2029   5,921,000     5,426,504
2.625%, 07/31/2029   642,000     593,173
2.750%, 07/31/2027   2,246,000     2,132,998
2.875%, 08/15/2028   3,050,000     2,880,105
3.250%, 06/30/2029   8,205,000     7,824,878
3.625%, 03/31/2030   1,602,000     1,550,686
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government (continued)          
U.S. Treasury Notes (continued)          
3.875%, 12/31/2029 $ 2,539,000   $ 2,492,881
4.000%, 01/15/2027 to 02/15/2034   8,870,000     8,750,131
4.125%, 01/31/2025 to 03/31/2029   11,857,000     11,792,174
4.250%, 03/15/2027 to 02/28/2031   11,653,000     11,628,850
4.375%, 10/31/2024   241,000     239,770
4.500%, 11/30/2024   42,000     41,798
4.500%, 03/31/2026 (A)   4,040,000     4,029,900
4.625%, 02/28/2026   1,024,000     1,023,160
          203,083,266
U.S. Government Agency – 27.1%          
Federal Home Loan Bank
1.250%, (1.250% to 9-30-24, 1.500% to 9-30-25, 1.750% to 9-30-26, 2.000% to 9-30-27, 2.250% to 9-30-28, 2.500% to 9-30-29, 3.000% to 3-30-30, 3.500% to 9-30-30, 4.000% to 3-30-31, then 4.500% thereafter), 09/30/2031
  1,450,000     1,225,992
Federal Home Loan Mortgage Corp.          
2.000%, 07/01/2032 to 12/01/2051   12,486,215     10,510,956
2.500%, 04/01/2042 to 03/01/2052   5,987,245     5,136,490
3.000%, 09/01/2033 to 04/01/2047   11,617,464     10,376,454
3.127%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.640%), 11/01/2048 (B)   409,588     402,656
3.297%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.633%), 02/01/2050 (B)   537,847     533,938
3.912%, (30 day Average SOFR + 2.130%), 07/01/2052 (B)   379,162     363,975
3.966%, (30 day Average SOFR + 2.140%), 08/01/2052 (B)   495,430     467,946
4.000%, 07/01/2049 to 03/01/2050   2,986,692     2,833,286
 
  30  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
4.107%, (30 day Average SOFR + 2.380%), 09/01/2052 (B) $ 250,954   $ 242,262
4.192%, (30 day Average SOFR + 2.305%), 05/01/2053 (B)   1,432,010     1,390,961
4.299%, (30 day Average SOFR + 2.130%), 07/01/2052 (B)   448,900     436,354
4.466%, 12/14/2029 (C)   1,179,000     915,537
4.500%, 06/01/2039 to 07/01/2039   76,972     74,112
5.128%, (30 day Average SOFR + 2.214%), 08/01/2053 (B)   300,821     298,392
5.180%, (30 day Average SOFR + 2.300%), 06/01/2053 (B)   268,944     267,232
5.450%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.638%), 03/01/2049 (B)   307,884     312,533
5.919%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.732%), 01/01/2044 (B)   122,072     124,226
5.999%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.637%), 04/01/2048 (B)   740,231     752,490
6.718%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.679%), 09/01/2047 (B)   335,732     341,837
6.809%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.642%), 08/01/2043 (B)   57,955     58,594
6.858%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.637%), 09/01/2045 (B)   510,304     518,431
6.881%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.635%), 07/01/2043 (B)   33,953     34,609
7.030%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.646%), 10/01/2043 (B)   57,984     58,986
7.045%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.650%), 03/01/2043 (B)   50,907     51,598
7.100%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.604%), 09/01/2043 (B)   26,198     26,662
7.188%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.629%), 11/01/2043 (B)   45,669     46,135
7.451%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.609%), 10/01/2043 (B)   58,534     59,394
7.463%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.770%), 09/01/2042 (B)   50,855     52,018
7.512%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.680%), 02/01/2043 (B)   78,851     80,134
Federal National Mortgage Association          
1.500%, 07/01/2051   2,889,243     2,179,559
1.520%, 08/21/2035   1,478,000     1,050,179
1.900%, 01/25/2036   1,322,000     972,050
2.000%, 03/01/2028 to 03/01/2047   44,516,281     37,315,190
2.500%, 12/01/2040 to 03/01/2052   10,031,473     8,684,204
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal National
Mortgage Association (continued)
         
2.778%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.606%), 06/01/2050 (B) $ 378,011   $ 351,487
3.000%, 11/01/2039 to 07/01/2060   62,050,085     55,029,848
3.000%, 08/01/2042 (A)   359,530     323,786
3.064%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.603%), 03/01/2050 (B)   864,839     860,784
3.500%, 05/01/2037 to 04/01/2050   12,055,241     11,094,889
3.677%, (30 day Average SOFR + 2.370%), 08/01/2052 (B)   538,591     514,218
3.962%, (30 day Average SOFR + 2.120%), 08/01/2052 (B)   214,143     202,946
4.000%, 01/01/2027 to 05/01/2049   12,049,751     11,560,683
4.122%, (30 day Average SOFR + 2.120%), 09/01/2052 (B)   744,517     725,439
4.140%, (30 day Average SOFR + 2.132%), 10/01/2052 (B)   1,771,698     1,726,355
4.143%, (30 day Average SOFR + 2.120%), 07/01/2052 (B)   748,450     714,361
4.205%, (30 day Average SOFR + 2.128%), 11/01/2052 (B)   621,616     606,455
4.213%, (30 day Average SOFR + 2.370%), 09/01/2052 (B)   244,962     238,047
4.296%, (30 day Average SOFR + 2.126%), 08/01/2052 (B)   980,267     955,999
4.355%, (30 day Average SOFR + 2.125%), 07/01/2052 (B)   912,554     891,661
4.500%, 06/01/2041 to 11/01/2048   2,093,351     2,043,738
4.524%, 11/15/2030 (C)   3,465,000     2,573,457
4.616%, (30 day Average SOFR + 2.125%), 08/01/2052 (B)   1,030,161     1,013,972
4.628%, (30 day Average SOFR + 2.123%), 08/01/2052 (B)   809,239     787,223
4.648%, (30 day Average SOFR + 2.130%), 08/01/2052 (B)   827,523     815,297
5.724%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.579%), 06/01/2045 (B)   244,150     249,529
5.918%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.582%), 01/01/2046 (B)   609,723     621,926
6.000%, TBA (A)   6,500,000     6,561,699
6.500%, TBA (A)   2,200,000     2,247,266
6.723%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.560%), 06/01/2043 (B)   40,315     41,072
7.000%, 01/01/2054   3,191,509     3,313,591
7.200%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.579%), 10/01/2043 (B)   118,405     120,391
7.333%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.647%), 01/01/2043 (B)   24,787     25,244
7.500%, 01/01/2054   1,786,021     1,863,583
Government National
Mortgage Association
         
2.500%, 12/20/2037 to 06/20/2038   1,961,149     1,786,968
3.000%, 06/20/2043 to 10/20/2050   7,325,300     6,495,367
3.500%, 01/20/2048   434,408     396,919
4.000%, 03/20/2048 to 04/20/2048   563,598     530,828
4.500%, 08/15/2047 to 02/20/2049   561,276     546,366
 
  31  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
6.000%, 01/20/2053 $ 1,448,047   $ 1,486,261
6.500%, TBA (A)   8,300,000     8,436,373
          215,949,400
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $435,956,647)   $ 419,032,666
FOREIGN GOVERNMENT OBLIGATIONS – 0.9%      
Australia – 0.1%          
Export Finance & Insurance Corp.
4.625%, 10/26/2027 (D)
  1,045,000     1,047,121
Bermuda – 0.1%          
Government of Bermuda
5.000%, 07/15/2032 (D)
  311,000     299,182
Israel – 0.3%          
State of Israel          
3.875%, 07/03/2050   237,000     174,752
4.500%, 01/17/2033   669,000     622,171
5.500%, 03/12/2034   1,074,000     1,059,877
5.750%, 03/12/2054   319,000     305,353
          2,162,153
Mexico – 0.3%          
Government of Mexico          
2.659%, 05/24/2031   545,000     454,644
3.250%, 04/16/2030   227,000     202,046
3.500%, 02/12/2034   1,375,000     1,143,610
4.600%, 01/23/2046 to 02/10/2048   562,000     450,097
6.400%, 05/07/2054   321,000     319,806
          2,570,203
Panama – 0.1%          
Republic of Panama          
6.853%, 03/28/2054   397,000     360,030
8.000%, 03/01/2038   219,000     229,427
          589,457
Paraguay – 0.0%          
Republic of Paraguay
5.400%, 03/30/2050 (D)
  317,000     278,337
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $7,067,061)   $ 6,946,453
CORPORATE BONDS – 24.3%      
Communication services – 1.6%          
AT&T, Inc.          
3.500%, 06/01/2041 to 09/15/2053   715,000     525,469
3.550%, 09/15/2055   434,000     303,464
3.650%, 09/15/2059   275,000     191,458
3.800%, 12/01/2057   790,000     571,977
5.400%, 02/15/2034   1,507,000     1,526,768
Charter Communications Operating LLC          
3.500%, 06/01/2041 to 03/01/2042   878,000     586,473
3.900%, 06/01/2052   222,000     141,184
5.250%, 04/01/2053   363,000     287,483
5.500%, 04/01/2063   151,000     118,419
6.150%, 11/10/2026   608,000     612,761
Comcast Corp.          
2.987%, 11/01/2063   328,000     201,437
4.049%, 11/01/2052   283,000     227,687
5.350%, 11/15/2027   576,000     586,985
Discovery Communications LLC
4.000%, 09/15/2055
  307,000     210,102
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
Meta Platforms, Inc.          
5.600%, 05/15/2053 $ 553,000   $ 584,486
5.750%, 05/15/2063   553,000     592,832
Paramount Global
4.950%, 05/19/2050
  237,000     168,480
T-Mobile USA, Inc.          
1.500%, 02/15/2026   196,000     182,991
2.250%, 02/15/2026   612,000     579,110
2.550%, 02/15/2031   438,000     373,096
3.750%, 04/15/2027   933,000     898,579
5.050%, 07/15/2033   728,000     720,097
5.150%, 04/15/2034   581,000     579,055
5.750%, 01/15/2034   580,000     603,999
Verizon Communications, Inc.          
2.355%, 03/15/2032   881,000     724,002
2.650%, 11/20/2040   367,000     258,603
5.500%, 02/23/2054   523,000     528,644
          12,885,641
Consumer discretionary – 1.3%          
Ford Motor Credit Company LLC          
2.900%, 02/10/2029 (E)   1,468,000     1,294,339
4.000%, 11/13/2030   496,000     442,855
General Motors Financial Company, Inc.
5.750%, 02/08/2031
  725,000     732,860
Hyundai Capital America          
1.300%, 01/08/2026 (D)   553,000     514,051
5.500%, 03/30/2026 (D)   299,000     299,487
5.600%, 03/30/2028 (D)   912,000     922,358
5.700%, 06/26/2030 (D)   291,000     296,540
5.950%, 09/21/2026 (D)   813,000     822,448
6.500%, 01/16/2029 (D)   262,000     274,868
Lowe's Companies, Inc.          
4.250%, 04/01/2052   842,000     689,846
5.625%, 04/15/2053   431,000     435,313
5.750%, 07/01/2053   440,000     454,121
5.850%, 04/01/2063   146,000     150,601
McDonald's Corp.          
4.700%, 12/09/2035   494,000     480,462
4.800%, 08/14/2028   581,000     582,678
5.450%, 08/14/2053   273,000     277,027
Starbucks Corp.
4.850%, 02/08/2027
  1,450,000     1,447,296
          10,117,150
Consumer staples – 1.7%          
Anheuser-Busch Companies LLC
4.700%, 02/01/2036
  1,826,000     1,765,412
Anheuser-Busch InBev Worldwide, Inc.          
4.375%, 04/15/2038   379,000     352,227
5.800%, 01/23/2059   219,000     235,540
Bunge, Ltd. Finance Corp.
1.630%, 08/17/2025
  301,000     285,101
Constellation Brands, Inc.          
4.800%, 01/15/2029   350,000     346,930
4.900%, 05/01/2033   291,000     285,467
5.250%, 11/15/2048   609,000     581,554
JBS USA LUX SA
7.250%, 11/15/2053 (D)
  1,079,000     1,159,683
Kenvue, Inc.
5.050%, 03/22/2028
  583,000     589,264
Keurig Dr. Pepper, Inc.          
4.500%, 04/15/2052   551,000     472,284
5.300%, 03/15/2034   726,000     728,502
Nestle Capital Corp.          
4.875%, 03/12/2034 (D)   449,000     448,940
5.100%, 03/12/2054 (D)   449,000     447,002
 
  32  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer staples (continued)          
PepsiCo, Inc.
3.900%, 07/18/2032
$ 721,000   $ 683,539
Philip Morris International, Inc.          
4.875%, 02/15/2028 to 02/13/2029   1,745,000     1,737,914
5.000%, 11/17/2025   619,000     617,391
5.250%, 09/07/2028   630,000     637,352
5.375%, 02/15/2033   205,000     206,684
5.500%, 09/07/2030   411,000     418,871
5.625%, 09/07/2033   249,000     254,638
5.750%, 11/17/2032   149,000     153,830
Tyson Foods, Inc.          
5.400%, 03/15/2029   480,000     484,292
5.700%, 03/15/2034   730,000     739,629
          13,632,046
Energy – 1.5%          
Aker BP ASA          
5.600%, 06/13/2028 (D)   733,000     742,331
6.000%, 06/13/2033 (D)   971,000     1,002,634
BP Capital Markets America, Inc.          
4.699%, 04/10/2029   727,000     725,175
4.812%, 02/13/2033   869,000     857,619
4.989%, 04/10/2034   725,000     724,059
Diamondback Energy, Inc.          
4.250%, 03/15/2052   89,000     72,039
6.250%, 03/15/2033 to 03/15/2053   892,000     958,621
Enbridge, Inc.          
6.000%, 11/15/2028   438,000     455,403
6.200%, 11/15/2030   438,000     464,030
Energy Transfer LP          
5.300%, 04/15/2047   755,000     686,425
5.400%, 10/01/2047   222,000     204,877
5.950%, 05/15/2054   728,000     726,505
Galaxy Pipeline Assets Bidco, Ltd.          
2.160%, 03/31/2034 (D)   623,489     535,989
2.625%, 03/31/2036 (D)   459,000     373,197
2.940%, 09/30/2040 (D)   252,876     202,626
MPLX LP          
4.950%, 03/14/2052   541,000     475,195
5.000%, 03/01/2033   878,000     852,319
5.650%, 03/01/2053   157,000     153,566
ONEOK, Inc.
6.625%, 09/01/2053
  755,000     832,087
Petroleos Mexicanos          
2.378%, 04/15/2025   206,250     202,720
2.460%, 12/15/2025   648,200     614,772
          11,862,189
Financials – 6.9%          
Aon North America, Inc.          
5.125%, 03/01/2027   145,000     145,868
5.150%, 03/01/2029   1,310,000     1,317,174
5.450%, 03/01/2034   727,000     735,392
5.750%, 03/01/2054   291,000     298,335
Banco Bilbao Vizcaya Argentaria SA          
6.033%, (6.033% to 3-13-34, then 1 Year CMT + 1.950%), 03/13/2035   600,000     608,898
7.883%, (7.883% to 11-15-33, then 1 Year CMT + 3.300%), 11/15/2034   600,000     656,218
Banco Santander SA          
5.538%, (5.538% to 3-14-29, then 1 Year CMT + 1.450%), 03/14/2030   1,000,000     999,902
6.527%, (6.527% to 11-7-26, then 1 Year CMT + 1.650%), 11/07/2027   400,000     410,266
6.607%, 11/07/2028   400,000     422,722
6.938%, 11/07/2033   1,000,000     1,104,541
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Bank of America Corp.          
1.734%, (1.734% to 7-22-26, then Overnight SOFR + 0.960%), 07/22/2027 $ 2,003,000   $ 1,846,665
3.419%, (3.419% to 12-20-27, then 3 month CME Term SOFR + 1.302%), 12/20/2028   2,046,000     1,919,435
5.288%, (5.288% to 4-25-33, then Overnight SOFR + 1.910%), 04/25/2034   1,356,000     1,351,877
5.468%, (5.468% to 1-23-34, then Overnight SOFR + 1.650%), 01/23/2035   290,000     291,890
5.819%, (5.819% to 9-15-28, then Overnight SOFR + 1.570%), 09/15/2029   2,234,000     2,290,607
5.872%, (5.872% to 9-15-33, then Overnight SOFR + 1.840%), 09/15/2034   1,117,000     1,158,519
5.933%, (5.933% to 9-15-26, then Overnight SOFR + 1.340%), 09/15/2027   1,596,000     1,617,394
Barclays PLC          
5.674%, (5.764% to 3-12-27, then Overnight SOFR + 1.490%), 03/12/2028   872,000     875,102
5.690%, (5.690% to 3-12-29, then Overnight SOFR + 1.740%), 03/12/2030   872,000     876,540
6.692%, (6.692% to 9-13-33, then Overnight SOFR + 2.620%), 09/13/2034   659,000     702,060
BlackRock Funding, Inc.          
4.700%, 03/14/2029   145,000     145,095
5.000%, 03/14/2034   421,000     422,730
5.250%, 03/14/2054   145,000     145,718
BNP Paribas SA          
5.176%, (5.176% to 1-9-29, then Overnight SOFR + 1.520%), 01/09/2030 (D)   876,000     876,062
5.894%, (5.894% to 12-5-33, then Overnight SOFR + 1.866%), 12/05/2034 (D)   882,000     922,209
Capital One Financial Corp.
7.624%, (7.624% to 10-30-30, then Overnight SOFR + 3.070%), 10/30/2031
  730,000     806,282
Citibank NA
5.803%, 09/29/2028
  1,490,000     1,542,398
Citigroup, Inc.          
5.827%, (5.827% to 2-13-34, then Overnight SOFR + 2.056%), 02/13/2035   319,000     315,806
6.174%, (6.174% to 5-25-33, then Overnight SOFR + 2.661%), 05/25/2034   695,000     705,765
Citizens Financial Group, Inc.
5.841%, (5.841% to 1-23-29, then Overnight SOFR + 2.010%), 01/23/2030
  727,000     725,956
Danske Bank A/S
5.705%, (5.705% to 3-1-29, then 1 Year CMT + 1.400%), 03/01/2030 (D)
  739,000     743,722
 
  33  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Deutsche Bank AG
3.742%, (3.742% to 1-7-32, then Overnight SOFR + 2.257%), 01/07/2033
$ 1,166,000   $ 963,124
Goldman Sachs Bank USA
5.283%, (5.283% to 3-18-26, then Overnight SOFR + 0.777%), 03/18/2027
  1,598,000     1,597,198
HSBC USA, Inc.
5.294%, 03/04/2027
  2,181,000     2,193,681
ING Groep NV
5.335%, (5.335% to 3-19-29, then Overnight SOFR + 1.440%), 03/19/2030
  739,000     737,194
KeyCorp
6.401%, (6.401% to 3-6-34, then SOFR Compounded Index + 2.420%), 03/06/2035
  727,000     742,416
Lloyds Banking Group PLC          
5.462%, (5.462% to 1-5-27, then 1 Year CMT + 1.375%), 01/05/2028   1,756,000     1,756,387
5.679%, (5.679% to 1-5-34, then 1 Year CMT + 1.750%), 01/05/2035   876,000     881,170
M&T Bank Corp.
6.082%, (6.082% to 3-13-31, then Overnight SOFR + 2.260%), 03/13/2032
  436,000     434,947
Morgan Stanley          
5.164%, (5.164% to 4-20-28, then Overnight SOFR + 1.590%), 04/20/2029   290,000     289,766
5.173%, (5.173% to 1-16-29, then Overnight SOFR + 1.450%), 01/16/2030   1,308,000     1,309,108
5.449%, (5.449% to 7-20-28, then Overnight SOFR + 1.630%), 07/20/2029   579,000     584,077
5.466%, (5.466% to 1-18-34, then Overnight SOFR + 1.730%), 01/18/2035   1,246,000     1,257,137
6.342%, (6.342% to 10-18-32, then Overnight SOFR + 2.560%), 10/18/2033   997,000     1,066,734
Morgan Stanley Bank NA
4.952%, (4.952% to 1-14-27, then Overnight SOFR + 1.080%), 01/14/2028
  1,482,000     1,475,896
Santander Holdings USA, Inc.
7.660%, (7.660% to 11-9-30, then Overnight SOFR + 3.280%), 11/09/2031
  730,000     793,468
Societe Generale SA          
5.634%, (5.634% to 1-19-29, then 1 Year CMT + 1.750%), 01/19/2030 (D)   283,000     281,794
6.066%, (6.066% to 1-19-34, then 1 Year CMT + 2.100%), 01/19/2035 (D)   312,000     313,858
7.132%, (7.132% to 1-19-54, then 1 Year CMT + 2.950%), 01/19/2055 (D)   320,000     319,459
Truist Financial Corp.          
5.435%, (5.435% to 1-24-29, then Overnight SOFR + 1.620%), 01/24/2030   726,000     725,153
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Truist Financial Corp. (continued)          
5.711%, (5.711% to 1-24-34, then Overnight SOFR + 1.922%), 01/24/2035 $ 436,000   $ 437,882
7.161%, (7.161% to 10-30-28, then Overnight SOFR + 2.446%), 10/30/2029   1,021,000     1,088,796
Trust Fibra Uno
6.390%, 01/15/2050 (D)
  356,000     288,879
UBS AG
5.650%, 09/11/2028
  664,000     679,711
UBS Group AG          
3.091%, (3.091% to 5-14-31, then Overnight SOFR + 1.730%), 05/14/2032 (D)   453,000     385,308
4.194%, (4.194% to 4-1-30, then Overnight SOFR + 3.730%), 04/01/2031 (D)   469,000     435,464
4.282%, 01/09/2028 (D)   645,000     622,460
5.699%, (5.699% to 2-8-34, then 1 Year CMT + 1.770%), 02/08/2035 (D)   312,000     313,579
6.301%, (6.301% to 9-22-33, then 1 Year CMT + 2.000%), 09/22/2034 (D)   466,000     487,791
Wells Fargo & Company          
4.897%, (4.897% to 7-25-32, then Overnight SOFR + 2.100%), 07/25/2033   1,613,000     1,554,379
5.198%, (5.198% to 1-23-29, then Overnight SOFR + 1.500%), 01/23/2030   1,162,000     1,159,551
5.499%, (5.499% to 1-23-34, then Overnight SOFR + 1.780%), 01/23/2035   900,000     902,119
5.574%, (5.574% to 7-25-28, then Overnight SOFR + 1.740%), 07/25/2029   291,000     294,449
6.303%, (6.303% to 10-23-28, then Overnight SOFR + 1.790%), 10/23/2029   442,000     460,361
6.491%, (6.491% to 10-23-33, then Overnight SOFR + 2.060%), 10/23/2034   1,174,000     1,259,202
          55,073,646
Health care – 2.4%          
AbbVie, Inc.          
3.200%, 11/21/2029   1,090,000     1,004,432
4.050%, 11/21/2039   310,000     276,024
4.250%, 11/21/2049   320,000     277,138
4.500%, 05/14/2035   642,000     617,177
4.550%, 03/15/2035   730,000     705,578
4.800%, 03/15/2027 to 03/15/2029   1,452,000     1,453,815
4.950%, 03/15/2031   436,000     439,111
5.050%, 03/15/2034   726,000     734,999
5.400%, 03/15/2054   436,000     448,772
Amgen, Inc.
5.650%, 03/02/2053
  1,024,000     1,043,410
Bristol-Myers Squibb Company          
5.550%, 02/22/2054   290,000     298,231
5.650%, 02/22/2064   436,000     448,545
CommonSpirit Health
3.347%, 10/01/2029
  270,000     247,616
CVS Health Corp.          
5.050%, 03/25/2048   348,000     316,046
 
  34  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
CVS Health Corp. (continued)          
5.875%, 06/01/2053 $ 204,000   $ 207,531
DH Europe Finance II Sarl
2.200%, 11/15/2024
  718,000     704,077
Eli Lilly & Company          
4.700%, 02/09/2034   870,000     865,153
5.000%, 02/09/2054   435,000     432,550
5.100%, 02/09/2064   290,000     288,610
HCA, Inc.          
3.625%, 03/15/2032   76,000     67,278
4.625%, 03/15/2052   279,000     233,178
5.250%, 06/15/2049   215,000     196,236
5.900%, 06/01/2053   978,000     983,400
Humana, Inc.
5.375%, 04/15/2031
  727,000     727,392
Pfizer Investment Enterprises Pte, Ltd.          
4.750%, 05/19/2033   853,000     839,850
5.300%, 05/19/2053   904,000     898,788
5.340%, 05/19/2063   584,000     572,251
UnitedHealth Group, Inc.          
3.050%, 05/15/2041   137,000     103,700
4.600%, 04/15/2027   599,000     595,539
4.700%, 04/15/2029   450,000     448,449
4.900%, 04/15/2031   599,000     599,276
5.000%, 04/15/2034   749,000     750,308
5.375%, 04/15/2054   300,000     305,116
5.500%, 04/15/2064   150,000     152,609
5.875%, 02/15/2053   695,000     751,923
          19,034,108
Industrials – 1.9%          
Adani International Container Terminal Private, Ltd.
3.000%, 02/16/2031 (D)
  250,275     213,163
Burlington Northern Santa Fe LLC          
4.450%, 01/15/2053   117,000     103,695
5.200%, 04/15/2054   305,000     302,323
Carrier Global Corp.          
5.900%, 03/15/2034   584,000     613,783
6.200%, 03/15/2054   204,000     224,629
Caterpillar Financial Services Corp.          
4.500%, 01/08/2027   727,000     722,266
4.850%, 02/27/2029   872,000     877,003
Crowley Conro LLC
4.181%, 08/15/2043
  441,875     400,667
Delta Air Lines, Inc.
4.750%, 10/20/2028 (D)
  963,000     941,869
Honeywell International, Inc.          
5.000%, 03/01/2035   900,000     903,380
5.250%, 03/01/2054   300,000     302,704
5.350%, 03/01/2064   300,000     303,960
John Deere Capital Corp.          
4.150%, 09/15/2027   583,000     572,602
4.500%, 01/08/2027 to 01/16/2029   2,036,000     2,018,141
4.950%, 07/14/2028   232,000     233,749
5.150%, 09/08/2026   1,014,000     1,019,722
Lockheed Martin Corp.          
4.800%, 08/15/2034   598,000     591,373
5.200%, 02/15/2064   419,000     414,304
Northrop Grumman Corp.          
4.400%, 05/01/2030   335,000     325,843
5.200%, 06/01/2054   75,000     73,043
RTX Corp.          
6.100%, 03/15/2034   753,000     804,795
6.400%, 03/15/2054   603,000     682,209
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
The Boeing Company          
3.250%, 02/01/2035 $ 289,000   $ 227,409
3.750%, 02/01/2050   573,000     398,602
5.805%, 05/01/2050   1,107,000     1,047,363
Union Pacific Corp.          
2.375%, 05/20/2031   278,000     237,407
2.800%, 02/14/2032   377,000     327,226
Waste Management, Inc.
4.875%, 02/15/2034
  578,000     574,046
          15,457,276
Information technology – 2.6%          
Apple, Inc.          
2.375%, 02/08/2041   213,000     151,760
2.650%, 05/11/2050 to 02/08/2051   411,000     271,909
3.950%, 08/08/2052   410,000     345,557
4.850%, 05/10/2053 (E)   148,000     147,045
Broadcom, Inc.          
2.450%, 02/15/2031 (D)   457,000     385,260
3.150%, 11/15/2025   343,000     331,802
4.926%, 05/15/2037 (D)   418,000     396,710
Cisco Systems, Inc.          
4.800%, 02/26/2027   872,000     873,403
4.850%, 02/26/2029   872,000     878,437
4.950%, 02/26/2031   581,000     586,128
5.050%, 02/26/2034   1,017,000     1,030,693
5.300%, 02/26/2054   436,000     447,548
Intel Corp.          
2.800%, 08/12/2041   251,000     181,471
5.000%, 02/21/2031   436,000     436,447
5.150%, 02/21/2034   1,163,000     1,165,650
5.600%, 02/21/2054   581,000     591,980
5.625%, 02/10/2043   168,000     173,705
5.700%, 02/10/2053   583,000     602,661
5.900%, 02/10/2063   407,000     431,804
Intuit, Inc.          
5.125%, 09/15/2028   579,000     588,903
5.200%, 09/15/2033   579,000     589,696
5.250%, 09/15/2026   725,000     731,788
5.500%, 09/15/2053   581,000     603,116
KLA Corp.          
3.300%, 03/01/2050   239,000     175,432
4.700%, 02/01/2034   581,000     572,009
Marvell Technology, Inc.          
5.750%, 02/15/2029   435,000     445,226
5.950%, 09/15/2033   435,000     450,796
Micron Technology, Inc.          
5.375%, 04/15/2028   1,464,000     1,478,455
5.875%, 02/09/2033   172,000     177,986
Motorola Solutions, Inc.          
5.000%, 04/15/2029   203,000     201,964
5.400%, 04/15/2034   291,000     290,425
Oracle Corp.
4.000%, 07/15/2046
  507,000     399,399
Qualcomm, Inc.
6.000%, 05/20/2053
  658,000     735,484
Texas Instruments, Inc.          
4.600%, 02/08/2029   580,000     580,914
4.850%, 02/08/2034   725,000     728,492
5.000%, 03/14/2053   643,000     630,863
5.150%, 02/08/2054   290,000     291,114
VMware LLC          
1.000%, 08/15/2024   908,000     892,059
1.400%, 08/15/2026   407,000     371,696
          20,365,787
 
  35  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Materials – 0.6%          
Air Products and Chemicals, Inc.
4.850%, 02/08/2034
$ 725,000   $ 717,287
Anglo American Capital PLC
4.750%, 03/16/2052 (D)
  322,000     271,945
Celanese US Holdings LLC          
6.379%, 07/15/2032   290,000     300,850
6.550%, 11/15/2030   456,000     479,629
Glencore Finance Canada, Ltd.          
5.550%, 10/25/2042 (D)   131,000     126,265
6.000%, 11/15/2041 (D)   107,000     107,269
Glencore Funding LLC          
5.371%, 04/04/2029 (D)   1,167,000     1,169,314
5.634%, 04/04/2034 (D)   729,000     730,948
Newmont Corp.
5.350%, 03/15/2034 (D)
  261,000     262,664
The Dow Chemical Company          
5.150%, 02/15/2034   581,000     578,936
5.600%, 02/15/2054   435,000     433,283
          5,178,390
Real estate – 1.5%          
Agree LP          
2.000%, 06/15/2028   547,000     480,940
2.600%, 06/15/2033   124,000     97,368
4.800%, 10/01/2032   274,000     259,206
American Homes 4 Rent LP          
3.625%, 04/15/2032   503,000     442,324
4.300%, 04/15/2052   225,000     176,298
5.500%, 02/01/2034   290,000     289,127
American Tower Corp.          
2.950%, 01/15/2051   146,000     94,143
3.125%, 01/15/2027   247,000     233,539
5.500%, 03/15/2028   582,000     586,874
5.900%, 11/15/2033   871,000     901,908
Brixmor Operating Partnership LP
2.500%, 08/16/2031
  481,000     394,851
CBRE Services, Inc.
5.500%, 04/01/2029
  290,000     291,751
Crown Castle, Inc.          
2.100%, 04/01/2031   495,000     400,679
2.900%, 04/01/2041   291,000     205,766
5.100%, 05/01/2033   429,000     418,438
5.800%, 03/01/2034   904,000     924,751
Essex Portfolio LP
2.550%, 06/15/2031
  259,000     215,095
Invitation Homes Operating
Partnership LP
         
2.000%, 08/15/2031   87,000     69,129
4.150%, 04/15/2032   501,000     458,501
Realty Income Corp.          
2.100%, 03/15/2028   278,000     248,722
2.200%, 06/15/2028   270,000     241,165
2.850%, 12/15/2032   364,000     302,730
3.400%, 01/15/2030   297,000     270,440
4.900%, 07/15/2033   432,000     417,398
5.125%, 02/15/2034   909,000     891,982
5.625%, 10/13/2032   217,000     221,520
Regency Centers LP          
2.950%, 09/15/2029   689,000     616,485
5.250%, 01/15/2034   290,000     288,896
STORE Capital Corp.          
2.700%, 12/01/2031   175,000     137,699
2.750%, 11/18/2030   445,000     357,520
4.500%, 03/15/2028   289,000     273,916
4.625%, 03/15/2029   321,000     302,423
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Real estate (continued)          
Sun Communities Operating LP
4.200%, 04/15/2032
$ 652,000   $ 584,737
          12,096,321
Utilities – 2.3%          
American Transmission Systems, Inc.
2.650%, 01/15/2032 (D)
  182,000     150,671
Baltimore Gas and Electric Company          
2.250%, 06/15/2031   390,000     328,329
5.400%, 06/01/2053   437,000     434,627
CenterPoint Energy Houston
Electric LLC
         
3.600%, 03/01/2052   288,000     218,765
5.150%, 03/01/2034   349,000     351,528
5.200%, 10/01/2028   436,000     443,414
Consolidated Edison Company of New
York, Inc.
         
3.200%, 12/01/2051   88,000     60,532
5.200%, 03/01/2033   155,000     157,660
5.500%, 03/15/2034   876,000     904,933
5.900%, 11/15/2053   292,000     311,640
Consumers Energy Company          
2.500%, 05/01/2060   237,000     136,625
4.600%, 05/30/2029   641,000     633,545
DTE Electric Company          
2.950%, 03/01/2050   455,000     306,003
3.650%, 03/01/2052   208,000     157,433
5.200%, 03/01/2034   581,000     583,655
Duke Energy Carolinas LLC          
2.550%, 04/15/2031   175,000     151,093
2.850%, 03/15/2032   484,000     415,121
3.550%, 03/15/2052   353,000     257,004
4.950%, 01/15/2033   292,000     290,390
5.350%, 01/15/2053   585,000     576,725
5.400%, 01/15/2054   291,000     289,598
Duke Energy Corp.
3.500%, 06/15/2051
  82,000     57,567
Duke Energy Florida LLC
2.400%, 12/15/2031
  389,000     326,291
Duke Energy Progress LLC          
2.500%, 08/15/2050   393,000     236,228
5.250%, 03/15/2033   290,000     293,210
Entergy Arkansas LLC          
2.650%, 06/15/2051   351,000     213,543
5.150%, 01/15/2033   585,000     586,544
FirstEnergy Pennsylvania
Electric Company
         
3.250%, 03/15/2028 (D)   380,000     351,701
4.300%, 01/15/2029 (D)   458,000     441,878
5.150%, 03/30/2026 (D)   293,000     290,566
5.200%, 04/01/2028 (D)   439,000     439,431
Israel Electric Corp., Ltd.
3.750%, 02/22/2032 (D)
  278,000     234,347
Jersey Central Power & Light Company
2.750%, 03/01/2032 (D)
  428,000     355,629
MidAmerican Energy Company          
2.700%, 08/01/2052   338,000     210,449
5.300%, 02/01/2055   276,000     273,019
Mississippi Power Company          
3.100%, 07/30/2051   468,000     309,918
4.250%, 03/15/2042   199,000     169,398
Northern States Power Company
5.400%, 03/15/2054
  465,000     468,265
NSTAR Electric Company
3.100%, 06/01/2051
  97,000     65,876
 
  36  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
Pacific Gas & Electric Company          
3.500%, 08/01/2050 $ 145,000   $ 99,072
3.950%, 12/01/2047   933,000     697,950
4.200%, 06/01/2041   226,000     181,927
4.750%, 02/15/2044   131,000     110,514
4.950%, 07/01/2050   1,247,000     1,072,659
5.800%, 05/15/2034   669,000     675,194
PECO Energy Company
2.850%, 09/15/2051
  470,000     303,412
Public Service Company of Oklahoma
3.150%, 08/15/2051
  264,000     176,754
Public Service Electric & Gas Company          
1.900%, 08/15/2031   670,000     545,686
2.050%, 08/01/2050   108,000     61,186
2.700%, 05/01/2050   182,000     119,248
Public Service Enterprise Group, Inc.          
5.200%, 04/01/2029   437,000     437,336
5.450%, 04/01/2034   204,000     204,377
5.875%, 10/15/2028   587,000     604,395
Southern California Edison Company
4.125%, 03/01/2048
  294,000     237,316
Virginia Electric & Power Company
2.950%, 11/15/2051
  390,000     252,396
          18,262,573
TOTAL CORPORATE BONDS (Cost $196,437,821)     $ 193,965,127
MUNICIPAL BONDS – 0.3%          
Board of Regents of the University of Texas System
2.439%, 08/15/2049
  285,000     182,545
County of Clark Department of Aviation (Nevada)
6.820%, 07/01/2045
  750,000     886,527
North Texas Tollway Authority
6.718%, 01/01/2049
  697,000     823,042
Ohio State University
4.800%, 06/01/2111
  464,000     416,054
Port Authority of New York & New Jersey
4.458%, 10/01/2062
  571,000     511,339
TOTAL MUNICIPAL BONDS (Cost $3,491,211)   $ 2,819,507
COLLATERALIZED MORTGAGE OBLIGATIONS – 15.7%      
Commercial and residential – 2.3%          
Angel Oak Mortgage Trust LLC          
Series 2020-2, Class A1A,
2.531%, 01/26/2065 (D)(F)
  107,810     99,528
Series 2020-5, Class A1,
1.373%, 05/25/2065 (D)(F)
  66,446     61,581
Series 2021-6, Class A1,
1.458%, 09/25/2066 (D)(F)
  445,897     362,577
BBCMS Mortgage Trust
Series 2018-C2, Class ASB
4.236%, 12/15/2051
  185,553     181,235
Bunker Hill Loan Depositary Trust
Series 2019-2, Class A1
2.879%, 07/25/2049 (D)
  266,412     251,658
BX Commercial Mortgage Trust          
Series 2021-VOLT, Class A (1 month CME Term SOFR + 0.814%),
6.140%, 09/15/2036 (B)(D)
  2,021,000     2,006,010
Series 2021-XL2, Class A (1 month CME Term SOFR + 0.803%),
6.128%, 10/15/2038 (B)(D)
  781,148     775,290
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
CFCRE Commercial Mortgage Trust
Series 2017-C8, Class ASB
3.367%, 06/15/2050
$ 181,772   $ 176,996
COLT Mortgage Loan Trust          
Series 2021-2, Class A1,
0.924%, 08/25/2066 (D)(F)
  604,139     486,221
Series 2021-4, Class A1,
1.397%, 10/25/2066 (D)(F)
  636,029     517,757
Commercial Mortgage Trust (Cantor
Fitzgerald/Deutsche Bank AG)
         
Series 2014-UBS4, Class A4,
3.420%, 08/10/2047
  578,442     576,905
Series 2015-LC23, Class A3,
3.521%, 10/10/2048
  363,680     356,086
EQUS Mortgage Trust
Series 2021-EQAZ, Class A (1 month CME Term SOFR + 0.869%)
6.195%, 10/15/2038 (B)(D)
  786,984     782,557
GS Mortgage Securities Trust          
Series 2015-GC32, Class A3,
3.498%, 07/10/2048
  301,749     294,085
Series 2020-GSA2, Class A4,
1.721%, 12/12/2053
  995,000     796,288
Impact Funding Affordable Multifamily Housing Mortgage Loan Trust
Series 2010-1, Class A1
5.314%, 01/25/2051 (D)
  301,701     297,201
JPMBB Commercial Mortgage
Securities Trust
         
Series 2014-C23, Class A4,
3.670%, 09/15/2047
  274,149     272,358
Series 2015-C28, Class A3,
2.912%, 10/15/2048
  993,317     973,975
Series 2015-C30, Class A5,
3.822%, 07/15/2048
  535,000     513,068
JPMorgan Chase Commercial Mortgage Securities Trust
Series 2016-JP4, Class A3
3.393%, 12/15/2049
  198,000     189,170
Med Trust
Series 2021-MDLN, Class A (1 month CME Term SOFR + 1.064%)
6.389%, 11/15/2038 (B)(D)
  1,266,920     1,263,752
MFA Trust
Series 2021-NQM2, Class A1
1.029%, 11/25/2064 (D)(F)
  245,556     211,083
Morgan Stanley Capital I Trust
Series 2020-HR8, Class A3
1.790%, 07/15/2053
  557,000     462,993
New Residential Mortgage Loan Trust
Series 2019-NQM4, Class A1
2.492%, 09/25/2059 (D)(F)
  122,860     113,125
NewRez Warehouse Securitization Trust
Series 2021-1, Class A (1 month CME Term SOFR + 0.864%)
6.194%, 05/25/2055 (B)(D)
  575,467     575,536
Starwood Mortgage Residential Trust          
Series 2020-1, Class A1,
2.275%, 02/25/2050 (D)(F)
  44,087     41,208
Series 2020-3, Class A1,
1.486%, 04/25/2065 (D)(F)
  171,316     161,359
Series 2020-INV1, Class A1,
1.027%, 11/25/2055 (D)(F)
  147,287     135,532
 
  37  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Starwood Mortgage
Residential Trust (continued)
         
Series 2021-1, Class A1,
1.219%, 05/25/2065 (D)(F)
$ 209,195   $ 182,403
Series 2021-4, Class A1,
1.162%, 08/25/2056 (D)(F)
  574,400     476,870
Verus Securitization Trust          
Series 2019-4, Class A1,
3.642%, 11/25/2059 (D)
  183,409     177,460
Series 2019-INV3, Class A1,
3.692%, 11/25/2059 (D)(F)
  74,536     72,177
Series 2020-2, Class A1,
2.226%, 05/25/2060 (D)(F)
  39,872     39,374
Series 2021-1, Class A1,
0.815%, 01/25/2066 (D)(F)
  264,642     230,838
Series 2021-2, Class A1,
1.031%, 02/25/2066 (D)(F)
  507,644     437,770
Series 2021-3, Class A1,
1.046%, 06/25/2066 (D)(F)
  411,598     341,211
Series 2021-4, Class A1,
0.938%, 07/25/2066 (D)(F)
  529,596     418,208
Series 2021-5, Class A1,
1.013%, 09/25/2066 (D)(F)
  1,234,493     1,024,836
Series 2021-7, Class A1,
1.829%, 10/25/2066 (D)(F)
  597,754     517,212
Series 2021-8, Class A1,
1.824%, 11/25/2066 (D)(F)
  567,458     485,496
Series 2021-R1, Class A1,
0.820%, 10/25/2063 (D)(F)
  214,946     194,269
Series 2021-R3, Class A1,
1.020%, 04/25/2064 (D)(F)
  241,978     214,674
Visio Trust
Series 2020-1R, Class A1
1.312%, 11/25/2055 (D)
  163,213     151,259
          17,899,191
U.S. Government Agency – 13.4%          
Federal Home Loan Mortgage Corp.          
Series 264, Class 30,
3.000%, 07/15/2042
  897,693     809,668
Series 271, Class F5 (30 day Average SOFR + 0.614%),
5.933%, 08/15/2042 (B)
  268,063     264,019
Series 272, Class F1 (30 day Average SOFR + 0.614%),
5.933%, 08/15/2042 (B)
  427,833     421,417
Series 280, Class F1 (30 day Average SOFR + 0.614%),
5.933%, 09/15/2042 (B)
  432,001     425,474
Series 4047, Class CX,
3.500%, 05/15/2042
  812,000     728,772
Series 4091, Class BX,
3.250%, 10/15/2041
  430,044     392,688
Series 4091, Class EX,
3.375%, 07/15/2042
  275,243     251,509
Series 4091, Class MX,
3.250%, 02/15/2042
  348,530     316,640
Series 4117, Class HB,
2.500%, 10/15/2042
  279,000     237,612
Series 4122, Class FP (30 day Average SOFR + 0.514%),
5.833%, 10/15/2042 (B)
  309,137     303,685
Series 4205, Class PA,
1.750%, 05/15/2043
  291,086     243,187
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
Series 4240, Class FA (30 day Average SOFR + 0.614%),
5.933%, 08/15/2043 (B)
$ 786,495   $ 773,900
Series 4248, Class FT (30 day Average SOFR + 0.614%),
5.933%, 09/15/2043 (B)
  273,720     269,857
Series 4286, Class VF (30 day Average SOFR + 0.564%),
5.883%, 12/15/2043 (B)
  582,347     572,734
Series 4446, Class CP,
2.250%, 03/15/2045
  364,127     313,857
Series 4582, Class HA,
3.000%, 09/15/2045
  1,378,427     1,267,880
Series 4614, Class FG (30 day Average SOFR + 0.614%),
5.933%, 09/15/2046 (B)
  313,595     308,163
Series 4628, Class KF (30 day Average SOFR + 0.614%),
5.933%, 01/15/2055 (B)
  400,863     392,938
Series 4719, Class LA,
3.500%, 09/15/2047
  390,005     352,222
Series 4719, Class LM,
3.000%, 09/15/2047
  303,717     266,304
Series 4742, Class PA,
3.000%, 10/15/2047
  781,640     697,737
Series 4753, Class BD,
3.000%, 01/15/2048
  296,000     255,367
Series 4793, Class FD (30 day Average SOFR + 0.414%),
5.733%, 06/15/2048 (B)
  118,210     114,872
Series 4826, Class KF (30 day Average SOFR + 0.414%),
5.733%, 09/15/2048 (B)
  254,792     248,509
Series 4857, Class JA,
3.350%, 01/15/2049
  1,224,346     1,145,088
Series 4880, Class DA,
3.000%, 05/15/2050
  598,007     536,457
Series 4903, Class NF (30 day Average SOFR + 0.514%),
5.835%, 08/25/2049 (B)
  241,203     236,609
Series 4927, Class BG,
3.000%, 11/25/2049
  529,926     477,353
Series 4937, Class MD,
2.500%, 10/25/2049
  531,641     458,162
Series 4940, Class AG,
3.000%, 05/15/2040
  350,286     323,697
Series 4941, Class GA,
2.000%, 12/15/2047
  303,229     249,821
Series 4954, Class LB,
2.500%, 02/25/2050
  333,307     287,032
Series 4957, Class MY,
3.000%, 02/25/2050
  317,000     257,312
Series 4979, Class UC,
1.500%, 06/25/2050
  989,400     788,335
Series 4990, Class FN (30 day Average SOFR + 0.464%),
5.785%, 05/25/2050 (B)
  685,500     668,159
Series 4993, Class KF (30 day Average SOFR + 0.564%),
5.885%, 07/25/2050 (B)
  2,246,134     2,201,975
 
  38  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
Series 5004, Class FM (30 day Average SOFR + 0.464%),
5.785%, 08/25/2050 (B)
$ 474,677   $ 462,170
Series 5020, Class ET,
3.500%, 10/25/2050
  447,822     401,033
Series 5058, Class BC,
5.000%, 11/25/2050
  324,407     317,843
Series 5091, Class AB,
1.500%, 03/25/2051
  938,591     746,765
Series 5092, Class HE,
2.000%, 02/25/2051
  533,207     440,689
Series 5116, Class PB,
2.250%, 02/25/2051
  556,335     472,647
Series 5118, Class CA,
1.500%, 10/15/2033
  474,000     414,186
Series 5119, Class AB,
1.500%, 08/25/2049
  415,044     324,935
Series 5119, Class QF (30 day Average SOFR + 0.200%),
5.520%, 06/25/2051 (B)
  678,476     647,996
Series 5143, Class GA,
2.000%, 06/25/2049
  341,589     276,403
Series 5159, Class UA,
2.500%, 12/25/2048
  593,640     520,415
Series 5178, Class TP,
2.500%, 04/25/2049
  739,157     633,557
Series 5182, Class D,
2.500%, 11/25/2043
  2,256,634     2,045,395
Series 5182, Class M,
2.500%, 05/25/2049
  449,573     392,407
Series 5184, Class AB,
2.500%, 05/25/2048
  325,240     287,291
Series 5201, Class CA,
2.500%, 07/25/2048
  672,398     596,710
Series 5202, Class BH,
2.000%, 12/25/2047
  354,811     314,330
Series 5202, Class LA,
2.500%, 05/25/2049
  673,318     580,364
Series 5202, Class MB,
3.000%, 11/25/2048
  862,559     771,495
Series 5202, Class TA,
2.500%, 12/25/2048
  1,021,666     911,808
Series 5206, Class CA,
3.000%, 02/25/2047
  385,402     344,958
Series 5206, Class CD,
3.500%, 05/25/2049
  667,226     608,864
Series 5207, Class PA,
3.000%, 06/25/2051
  713,009     634,443
Series 5209, Class EA,
3.000%, 08/25/2050
  552,008     494,819
Series 5209, Class EJ,
3.000%, 08/25/2050
  552,008     494,819
Series 5210, Class DC,
3.000%, 09/25/2051
  512,750     467,972
Series 5214, Class BY,
3.000%, 04/25/2052
  496,000     398,484
Series 5217, Class CD,
2.500%, 07/25/2049
  551,164     498,345
Series 5220, Class QK,
3.500%, 09/25/2050
  1,049,562     979,511
Series 5228, Class TN,
3.500%, 07/25/2039
  362,357     340,143
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
Series 5300, Class C,
2.000%, 09/25/2047
$ 904,646   $ 820,558
Series 5335, Class FB (30 day Average SOFR + 0.814%),
6.133%, 10/15/2039 (B)
  891,519     892,790
Series 5338, Class FH (30 day Average SOFR + 0.414%),
5.733%, 04/15/2045 (B)
  881,918     860,953
Series 5386, Class DM,
2.000%, 03/25/2044
  544,000     383,032
Series 5396, Class HF (30 day Average SOFR + 0.950%),
6.270%, 04/25/2054 (B)
  1,212,000     1,212,003
Series 5399, Class FB (30 day Average SOFR + 0.900%),
6.220%, 04/25/2054 (B)
  686,000     686,343
Federal National Mortgage Association          
Series 2011-111, Class DB,
4.000%, 11/25/2041
  439,718     417,844
Series 2012-133, Class JF (30 day Average SOFR + 0.464%),
5.785%, 12/25/2042 (B)
  357,447     349,737
Series 2012-151, Class NX,
1.500%, 01/25/2043
  305,353     254,318
Series 2013-11, Class AP,
1.500%, 01/25/2043
  971,178     871,211
Series 2013-15, Class FA (30 day Average SOFR + 0.464%),
5.785%, 03/25/2043 (B)
  428,475     419,176
Series 2013-43, Class BP,
1.750%, 05/25/2043
  358,614     300,529
Series 2014-17, Class DY,
3.500%, 04/25/2044
  526,000     468,602
Series 2014-25, Class EL,
3.000%, 05/25/2044
  406,731     366,596
Series 2014-74, Class PC,
2.500%, 06/25/2044
  320,849     296,041
Series 2015-20, Class EF (30 day Average SOFR + 0.464%),
5.785%, 04/25/2045 (B)
  989,720     967,651
Series 2015-26, Class GF (30 day Average SOFR + 0.414%),
5.735%, 05/25/2045 (B)
  626,412     611,707
Series 2015-32, Class FA (30 day Average SOFR + 0.414%),
5.735%, 05/25/2045 (B)
  382,649     373,106
Series 2015-48, Class FB (30 day Average SOFR + 0.414%),
5.735%, 07/25/2045 (B)
  468,021     456,548
Series 2015-8, Class AP,
2.000%, 03/25/2045
  730,898     636,230
Series 2015-84, Class PA,
1.700%, 08/25/2033
  1,128,462     1,021,892
Series 2016-19, Class FD (30 day Average SOFR + 0.514%),
5.835%, 04/25/2046 (B)
  1,354,577     1,337,670
Series 2016-45, Class PB,
3.000%, 07/25/2046 (A)
  292,000     225,008
Series 2016-48, Class MA,
2.000%, 06/25/2038
  1,182,877     1,073,080
Series 2016-57, Class PC,
1.750%, 06/25/2046
  2,427,215     2,019,747
 
  39  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal National
Mortgage Association (continued)
         
Series 2017-13, Class PA,
3.000%, 08/25/2046
$ 483,775   $ 439,973
Series 2017-30, Class FA (30 day Average SOFR + 0.464%),
5.785%, 05/25/2047 (B)
  236,744     231,522
Series 2017-78, Class FC (30 day Average SOFR + 0.464%),
5.785%, 10/25/2047 (B)
  454,646     444,160
Series 2018-14, Class KC,
3.000%, 03/25/2048
  787,099     728,504
Series 2018-38, Class MA,
3.300%, 06/25/2048
  604,613     562,565
Series 2018-45, Class TM,
3.000%, 06/25/2048
  474,184     419,632
Series 2018-55, Class GA,
3.375%, 08/25/2048
  462,020     429,507
Series 2018-64, Class A,
3.000%, 09/25/2048
  409,400     353,999
Series 2018-8, Class KL,
2.500%, 03/25/2047
  431,840     377,233
Series 2018-85, Class EA,
3.500%, 12/25/2048
  336,405     314,239
Series 2019-15, Class FA (30 day Average SOFR + 0.614%),
5.935%, 04/25/2049 (B)
  240,437     236,476
Series 2019-25, Class PA,
3.000%, 05/25/2048
  766,937     692,634
Series 2019-41, Class FG (30 day Average SOFR + 0.614%),
5.935%, 08/25/2059 (B)
  580,245     569,959
Series 2019-43, Class FC (30 day Average SOFR + 0.514%),
5.835%, 08/25/2049 (B)
  466,311     457,157
Series 2019-67, Class FB (30 day Average SOFR + 0.564%),
5.885%, 11/25/2049 (B)
  241,052     236,526
Series 2020-12, Class FL (30 day Average SOFR + 0.564%),
5.885%, 03/25/2050 (B)
  423,215     411,634
Series 2020-34, Class F (30 day Average SOFR + 0.564%),
5.885%, 06/25/2050 (B)
  332,186     325,723
Series 2020-37, Class DA,
1.500%, 06/25/2050
  248,171     213,249
Series 2020-45, Class JL,
3.000%, 07/25/2040
  834,504     755,935
Series 2020-48, Class AB,
2.000%, 07/25/2050
  381,662     311,190
Series 2020-48, Class DA,
2.000%, 07/25/2050
  1,164,725     966,444
Series 2020-59, Class NC,
3.000%, 08/25/2040
  502,494     454,994
Series 2021-22, Class MN,
2.750%, 10/25/2050
  570,857     504,333
Series 2021-26, Class BD,
1.750%, 05/25/2051
  308,323     265,884
Series 2021-27, Class EC,
1.500%, 05/25/2051
  1,635,811     1,300,671
Series 2021-33, Class AV,
2.500%, 03/25/2048
  231,847     170,591
Series 2021-42, Class AC,
2.000%, 02/25/2051
  451,415     377,721
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal National
Mortgage Association (continued)
         
Series 2021-42, Class DC,
2.000%, 11/25/2050
$ 1,085,467   $ 903,480
Series 2021-73, Class A,
2.500%, 11/25/2049
  590,621     510,874
Series 2021-73, Class DJ,
2.000%, 03/25/2049
  617,115     515,326
Series 2021-76, Class KB,
1.250%, 11/25/2051
  269,671     217,499
Series 2021-78, Class ND,
1.500%, 11/25/2051
  887,213     710,972
Series 2021-86, Class MA,
2.500%, 11/25/2047
  961,641     850,221
Series 2021-91, Class AB,
2.500%, 09/25/2049
  568,544     493,306
Series 2021-95, Class MA,
2.500%, 04/25/2050
  712,050     602,690
Series 2021-96, Class AH,
2.500%, 03/25/2049
  624,527     533,395
Series 2022-11, Class D,
3.000%, 01/25/2050
  623,905     561,279
Series 2022-18, Class DL,
3.250%, 07/25/2046
  805,409     736,024
Series 2022-28, Class CA,
2.000%, 01/25/2048
  551,018     494,051
Series 2022-3, Class N,
2.000%, 10/25/2047
  1,605,211     1,386,051
Series 2022-4, Class MH,
3.000%, 09/25/2048
  652,264     594,136
Series 2022-49, Class NQ,
3.000%, 02/25/2052
  292,000     252,891
Series 2022-89, Class AY,
3.000%, 02/25/2048
  623,000     515,732
Series 2022-9, Class DJ,
3.250%, 03/25/2049
  447,409     408,181
Series 2023-14, Class EJ,
2.750%, 04/25/2049
  553,091     502,419
Series 2023-37, Class FG (30 day Average SOFR + 0.414%),
5.735%, 08/25/2050 (B)
  1,556,356     1,515,955
Series 2023-37, Class FH (30 day Average SOFR + 0.514%),
5.835%, 01/25/2050 (B)
  955,708     937,107
Series 2023-38, Class FC (30 day Average SOFR + 0.664%),
5.985%, 06/25/2040 (B)
  616,694     611,474
Series 414, Class A35,
3.500%, 10/25/2042
  976,003     894,077
Government National
Mortgage Association
         
Series 2010-163, Class NC,
4.000%, 12/20/2040
  487,595     472,697
Series 2013-152, Class HA,
2.500%, 06/20/2043
  521,993     468,652
Series 2014-181, Class L,
3.000%, 12/20/2044
  334,000     294,208
Series 2015-144, Class CA,
2.500%, 10/20/2045
  548,597     472,283
Series 2015-161, Class GF (1 month CME Term SOFR + 0.414%),
5.743%, 11/20/2045 (B)
  298,499     291,597
Series 2016-136, Class A,
3.000%, 07/20/2044 (A)
  282,504     246,637
 
  40  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
Series 2016-93, Class AB,
1.750%, 07/20/2044
$ 609,221   $ 481,264
Series 2017-139, Class GA,
3.000%, 09/20/2047
  1,247,012     1,113,060
Series 2017-167, Class BQ,
2.500%, 08/20/2044
  412,633     373,847
Series 2018-65, Class DC,
3.500%, 05/20/2048
  410,000     365,351
Series 2020-133, Class GA,
1.000%, 09/20/2050
  645,654     538,986
Series 2020-138, Class LE,
1.500%, 09/20/2050
  1,486,723     1,166,995
Series 2021-215, Class GA,
2.000%, 12/20/2051
  335,678     284,102
Series 2021-227, Class E,
2.500%, 07/20/2050
  2,346,256     2,009,464
Series 2021-27, Class BD,
5.000%, 02/20/2051
  470,138     459,120
Series 2021-27, Class CW,
5.001%, 02/20/2051 (F)
  606,687     584,154
Series 2021-27, Class NT,
5.000%, 02/20/2051
  485,782     459,549
Series 2021-27, Class Q,
5.000%, 02/20/2051
  424,743     403,050
Series 2021-8, Class CY,
5.000%, 01/20/2051
  431,449     424,509
Series 2022-107, Class C,
2.500%, 06/20/2051
  2,009,228     1,640,911
Series 2022-153, Class KA,
4.000%, 12/20/2049
  547,825     524,290
Series 2022-191, Class B,
4.000%, 06/20/2041
  2,382,000     2,191,923
Series 2022-191, Class BY,
4.000%, 08/20/2041
  2,598,000     2,393,390
Series 2022-197, Class LF (30 day Average SOFR + 0.700%),
6.019%, 11/20/2052 (B)
  1,810,377     1,793,950
Series 2022-205, Class A,
2.000%, 09/20/2051
  730,155     573,807
Series 2022-31, Class GH,
2.500%, 12/20/2049
  1,263,127     1,099,999
Series 2022-34, Class DN,
3.500%, 09/20/2041
  1,027,324     943,961
Series 2022-5, Class BA,
2.000%, 10/20/2049
  2,473,824     2,084,207
Series 2022-50, Class CA,
3.000%, 03/20/2052
  1,763,467     1,547,606
Series 2022-50, Class DC,
2.500%, 08/20/2051
  587,245     509,055
Series 2022-66, Class CG,
3.500%, 04/20/2052
  1,131,219     1,052,782
Series 2022-84, Class A,
2.500%, 01/20/2052
  595,627     491,536
          107,058,717
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $129,403,498)   $ 124,957,908
ASSET BACKED SECURITIES – 8.1%      
Ally Auto Receivables Trust
Series 2022-3, Class A4
5.070%, 06/15/2031
  331,000     329,896
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
American Express Credit Account Master Trust
Series 2023-1, Class A
4.870%, 05/15/2028
$ 432,000   $ 431,087
AmeriCredit Automobile
Receivables Trust
         
Series 2022-2, Class A3
4.380%, 04/18/2028
  633,000     627,048
Series 2023-1, Class A3
5.620%, 11/18/2027
  295,000     296,370
Series 2023-2, Class A3
5.810%, 05/18/2028
  599,000     602,082
BA Credit Card Trust
Series 2023-A2, Class A2
4.980%, 11/15/2028
  2,487,000     2,492,958
BMW Vehicle Lease Trust
Series 2023-1, Class A4
5.070%, 06/25/2026
  457,000     455,121
Capital One Prime Auto Receivables Trust
Series 2023-1, Class A3
4.870%, 02/15/2028
  1,070,000     1,063,320
Chase Auto Owner Trust
Series 2022-AA, Class A4
3.990%, 03/27/2028 (D)
  416,000     406,013
Chase Issuance Trust
Series 2024-A2, Class A
4.630%, 01/15/2031
  1,140,000     1,135,338
College Ave Student Loans LLC          
Series 2017-A, Class A1 (1 month CME Term SOFR + 1.764%)
7.094%, 11/26/2046 (B)(D)
  252,546     254,642
Series 2018-A, Class A2
4.130%, 12/26/2047 (D)
  190,283     181,728
Series 2019-A, Class A2
3.280%, 12/28/2048 (D)
  337,459     310,029
Discover Card Execution Note Trust          
Series 2023-A1, Class A
4.310%, 03/15/2028
  868,000     855,656
Series 2023-A2, Class A
4.930%, 06/15/2028
  2,632,000     2,626,884
Ford Credit Auto Lease Trust          
Series 2024-A, Class A3
5.060%, 05/15/2027
  1,299,000     1,297,088
Series 2024-A, Class A4
5.050%, 06/15/2027
  303,000     301,851
Ford Credit Auto Owner Trust          
Series 2022-D, Class A4
5.300%, 03/15/2028
  299,000     299,964
Series 2023-A, Class A3
4.650%, 02/15/2028
  1,281,000     1,269,586
Series 2024-1, Class A
4.870%, 08/15/2036 (D)
  855,000     853,251
GM Financial Automobile Leasing Trust          
Series 2023-2, Class A4
5.090%, 05/20/2027
  416,000     414,699
Series 2023-3, Class A4
5.440%, 08/20/2027
  264,000     264,632
GM Financial Consumer Automobile Receivables Trust
Series 2022-4, Class A3
4.820%, 08/16/2027
  510,000     507,425
GM Financial Revolving Receivables Trust
Series 2024-1, Class A
4.980%, 12/11/2036 (D)
  1,007,000     1,011,256
 
  41  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Hyundai Auto Lease Securitization Trust          
Series 2023-B, Class A4
5.170%, 04/15/2027 (D)
$ 661,000   $ 658,216
Series 2023-C, Class A4
5.840%, 09/15/2027 (D)
  447,000     451,546
Series 2024-A, Class A3
5.020%, 03/15/2027 (D)
  793,000     789,161
Series 2024-A, Class A4
5.070%, 02/15/2028 (D)
  301,000     299,684
Hyundai Auto Receivables Trust          
Series 2021-C, Class A4
1.030%, 12/15/2027
  549,000     519,378
Series 2022-A, Class A3
2.220%, 10/15/2026
  804,126     786,841
Series 2022-A, Class A4
2.350%, 04/17/2028
  341,000     324,982
Series 2023-A, Class A4
4.480%, 07/17/2028
  599,000     589,962
Series 2023-B, Class A3
5.480%, 04/17/2028
  338,000     340,225
Mercedes-Benz Auto Receivables Trust
Series 2022-1, Class A4
5.250%, 02/15/2029
  693,000     695,137
Navient Private Education Loan Trust          
Series 2014-AA, Class A3 (1 month CME Term SOFR + 1.714%)
7.040%, 10/15/2031 (B)(D)
  211,209     211,689
Series 2016-AA, Class A2B (1 month CME Term SOFR + 2.264%)
7.590%, 12/15/2045 (B)(D)
  150,175     151,371
Navient Private Education Refi
Loan Trust
         
Series 2018-CA, Class A2
3.520%, 06/16/2042 (D)
  8,109     8,060
Series 2018-DA, Class A2A
4.000%, 12/15/2059 (D)
  425,707     412,927
Series 2019-CA, Class A2
3.130%, 02/15/2068 (D)
  332,422     319,574
Series 2019-D, Class A2A
3.010%, 12/15/2059 (D)
  877,831     830,682
Series 2019-FA, Class A2
2.600%, 08/15/2068 (D)
  480,366     449,522
Series 2020-EA, Class A
1.690%, 05/15/2069 (D)
  84,050     76,166
Series 2020-GA, Class A
1.170%, 09/16/2069 (D)
  340,567     307,082
Series 2021-BA, Class A
0.940%, 07/15/2069 (D)
  203,960     178,263
Series 2021-CA, Class A
1.060%, 10/15/2069 (D)
  852,875     749,420
Series 2021-EA, Class A
0.970%, 12/16/2069 (D)
  1,177,731     1,017,983
Series 2021-FA, Class A
1.110%, 02/18/2070 (D)
  744,193     635,401
Series 2021-GA, Class A
1.580%, 04/15/2070 (D)
  185,694     162,410
Series 2022-A, Class A
2.230%, 07/15/2070 (D)
  1,821,569     1,607,436
Navient Student Loan Trust
Series 2021-3A, Class A1A
1.770%, 08/25/2070 (D)
  791,142     688,749
Nelnet Student Loan Trust          
Series 2004-3, Class A5 (90 day Average SOFR + 0.442%)
5.803%, 10/27/2036 (B)
  498,956     491,690
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Nelnet Student Loan Trust (continued)          
Series 2004-4, Class A5 (90 day Average SOFR + 0.422%)
5.783%, 01/25/2037 (B)
$ 402,201   $ 398,587
Series 2005-1, Class A5 (90 day Average SOFR + 0.372%)
5.733%, 10/25/2033 (B)
  1,568,514     1,550,976
Series 2005-2, Class A5 (90 day Average SOFR + 0.362%)
5.715%, 03/23/2037 (B)
  1,382,477     1,367,196
Series 2005-3, Class A5 (90 day Average SOFR + 0.382%)
5.735%, 12/24/2035 (B)
  930,568     918,451
Series 2005-4, Class A4 (90 day Average SOFR + 0.442%)
5.795%, 03/22/2032 (B)
  260,123     250,698
Nissan Auto Lease Trust          
Series 2023-B, Class A4
5.610%, 11/15/2027
  585,000     586,543
Series 2024-A, Class A4
4.970%, 09/15/2028
  317,000     315,484
Nissan Auto Receivables Owner Trust
Series 2022-B, Class A4
4.450%, 11/15/2029
  415,000     408,204
PenFed Auto Receivables Owner Trust          
Series 2022-A, Class A3
3.960%, 04/15/2026 (D)
  448,566     445,645
Series 2022-A, Class A4
4.180%, 12/15/2028 (D)
  302,000     297,558
Santander Drive Auto Receivables Trust          
Series 2022-2, Class A3
2.980%, 10/15/2026
  200,433     199,978
Series 2022-3, Class A3
3.400%, 12/15/2026
  185,558     184,708
Series 2022-4, Class A3
4.140%, 02/16/2027
  441,589     439,514
Series 2022-5, Class A3
4.110%, 08/17/2026
  242,104     241,389
Series 2022-6, Class A3
4.490%, 11/16/2026
  778,641     775,993
Series 2022-7, Class A3
5.750%, 04/15/2027
  354,000     354,031
Series 2024-1, Class A3
5.250%, 04/17/2028
  554,000     553,587
SBNA Auto Lease Trust          
Series 2024-A, Class A3
5.390%, 11/20/2026 (D)
  604,000     603,962
Series 2024-A, Class A4
5.240%, 01/22/2029 (D)
  827,000     825,121
SBNA Auto Receivables Trust          
Series 2024-A, Class A3
5.320%, 12/15/2028 (D)
  408,000     407,908
Series 2024-A, Class A4
5.210%, 04/16/2029 (D)
  175,000     175,096
SFS Auto Receivables
Securitization Trust
         
Series 2024-1A, Class A3
4.950%, 05/21/2029 (D)
  904,000     899,628
Series 2024-1A, Class A4
4.940%, 01/21/2031 (D)
  153,000     152,291
SMB Private Education Loan Trust          
Series 2016-B, Class A2A
2.430%, 02/17/2032 (D)
  26,959     26,401
Series 2016-C, Class A2B (1 month CME Term SOFR + 1.214%)
6.540%, 09/15/2034 (B)(D)
  69,004     69,019
 
  42  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
SMB Private Education
Loan Trust (continued)
         
Series 2021-A, Class APT1
1.070%, 01/15/2053 (D)
$ 1,056,528   $ 931,949
Series 2021-B, Class A
1.310%, 07/17/2051 (D)
  359,722     326,158
Series 2021-E, Class A1A
1.680%, 02/15/2051 (D)
  664,427     602,061
Series 2024-A, Class A1B (30 day Average SOFR + 1.450%)
6.769%, 03/15/2056 (B)(D)
  742,000     742,890
SoFi Professional Loan Program LLC          
Series 2017-D, Class A2FX
2.650%, 09/25/2040 (D)
  15,075     14,509
Series 2020-C, Class AFX
1.950%, 02/15/2046 (D)
  69,483     63,308
Series 2021-B, Class AFX
1.140%, 02/15/2047 (D)
  599,253     509,479
Synchrony Card Funding LLC          
Series 2023-A1, Class A
5.540%, 07/15/2029
  1,412,000     1,425,151
Series 2024-A1, Class A
5.040%, 03/15/2030
  563,000     562,984
T-Mobile US Trust          
Series 2022-1A, Class A
4.910%, 05/22/2028 (D)
  656,000     652,937
Series 2024-1A, Class A
5.050%, 09/20/2029 (D)
  907,000     906,803
Toyota Auto Receivables Owner Trust          
Series 2022-D, Class A4
5.430%, 04/17/2028
  378,000     381,837
Series 2023-B, Class A3
4.710%, 02/15/2028
  772,000     766,301
Series 2023-C, Class A3
5.160%, 04/17/2028
  1,222,000     1,223,110
Verizon Master Trust          
Series 2022-2, Class A
1.530%, 07/20/2028
  577,000     558,908
Series 2022-4, Class A (3.400% to 6-20-25, then 4.150% thereafter)
3.400%, 11/20/2028
  1,025,000     1,002,566
Series 2022-6, Class A (3.670% to 7-20-25, then 4.420% thereafter)
3.670%, 01/22/2029
  765,000     749,173
Series 2023-1, Class A (4.490% to 1-20-26, then 5.240% thereafter)
4.490%, 01/22/2029
  1,174,000     1,160,152
Series 2023-2, Class A
4.890%, 04/13/2028
  432,000     429,687
Series 2023-4, Class A1A
5.160%, 06/20/2029
  1,984,000     1,987,393
Series 2024-1, Class A1A
5.000%, 12/20/2028
  1,376,000     1,371,814
Series 2024-2, Class A
4.830%, 12/22/2031 (D)
  658,000     657,479
Volkswagen Auto Loan Enhanced Trust
Series 2023-1, Class A3
5.020%, 06/20/2028
  853,000     851,773
WF Card Issuance Trust
Series 2024-A1, Class A
4.940%, 02/15/2029
  1,726,000     1,729,107
World Omni Select Auto Trust
Series 2023-A, Class A2A
5.920%, 03/15/2027
  448,707     449,288
TOTAL ASSET BACKED SECURITIES (Cost $66,011,552)     $ 64,546,266
Core Bond Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 1.8%      
Short-term funds – 1.8%          
John Hancock Collateral Trust, 5.2975% (G)(H)   18,658   $ 186,533
State Street Institutional U.S. Government Money Market Fund, Premier Class, 5.2417% (G)   13,966,617     13,966,617
TOTAL SHORT-TERM INVESTMENTS (Cost $14,153,197)   $ 14,153,150
Total Investments (Core Bond Trust)
(Cost $852,520,987) – 103.7%
  $ 826,421,077
Other assets and liabilities, net – (3.7%)       (29,656,565)
TOTAL NET ASSETS – 100.0%       $ 796,764,512
Security Abbreviations and Legend
CME CME Group Published Rates
CMT Constant Maturity Treasury
IBOR Interbank Offered Rate
SOFR Secured Overnight Financing Rate
TBA To Be Announced. A forward mortgage-backed securities trade issued by a U.S. Government Agency, to be delivered at an agreed-upon future settlement date.
(A) Security purchased or sold on a when-issued or delayed delivery basis.
(B) Variable rate obligation. The coupon rate shown represents the rate at period end.
(C) Zero coupon bonds are issued at a discount from their principal amount in lieu of paying interest periodically. Rate shown is the effective yield at period end.
(D) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(E) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $182,526.
(F) Variable or floating rate security, the interest rate of which adjusts periodically based on a weighted average of interest rates and prepayments on the underlying pool of assets. The interest rate shown is the current rate as of period end.
(G) The rate shown is the annualized seven-day yield as of 3-31-24.
(H) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Disciplined Value International Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS - 97.1%      
Austria - 0.5%          
ANDRITZ AG   24,192   $ 1,507,816
Belgium - 0.3%          
Azelis Group NV   37,440     790,820
Bermuda - 2.8%          
Everest Group, Ltd.   12,048     4,789,080
Hiscox, Ltd.   215,848     3,381,461
          8,170,541
Brazil - 0.7%          
Banco do Brasil SA   193,800     2,187,853
Canada - 10.8%          
Allied Gold Corp. (A)   228,498     573,543
Capstone Copper Corp. (A)   264,444     1,682,852
Cenovus Energy, Inc.   532,062     10,636,920
Kinross Gold Corp.   963,410     5,910,404
 
  43  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Disciplined Value International Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
MEG Energy Corp. (A)   128,728   $ 2,955,550
Suncor Energy, Inc.   83,584     3,084,688
Teck Resources, Ltd., Class B   146,275     6,695,249
          31,539,206
China - 0.8%          
Alibaba Group Holding, Ltd.   256,400     2,318,583
Finland - 1.1%          
Fortum OYJ   261,053     3,223,016
France - 10.5%          
Airbus SE   16,987     3,129,505
AXA SA   126,057     4,734,186
Capgemini SE   7,990     1,838,591
Cie de Saint-Gobain SA   25,395     1,971,008
Eurazeo SE   24,297     2,129,023
Imerys SA   38,754     1,320,235
Kering SA   2,079     823,460
Rexel SA   93,431     2,523,845
Sanofi SA   25,878     2,517,536
SPIE SA   117,710     4,424,796
Technip Energies NV   53,376     1,350,269
Vallourec SACA (A)   208,226     3,867,716
          30,630,170
Germany - 7.4%          
Allianz SE   13,522     4,052,790
Commerzbank AG   343,977     4,727,701
Daimler Truck Holding AG   70,340     3,564,475
Infineon Technologies AG   71,054     2,416,237
Siemens AG   34,975     6,678,108
          21,439,311
Ireland - 4.1%          
AIB Group PLC   555,663     2,820,798
CRH PLC   86,636     7,477,544
Ryanair Holdings PLC, ADR   11,429     1,663,948
          11,962,290
Italy - 0.8%          
Iveco Group NV (A)   152,877     2,277,444
Japan - 18.4%          
Asahi Group Holdings, Ltd.   117,600     4,318,257
Honda Motor Company, Ltd.   280,300     3,468,346
Japan Post Holdings Company, Ltd.   291,900     2,940,930
Kansai Paint Company, Ltd. (B)   216,300     3,098,088
Keisei Electric Railway Company, Ltd.   24,200     984,096
Mitsubishi Chemical Group Corp.   513,100     3,126,973
Mitsubishi Electric Corp.   256,300     4,290,193
Mitsubishi Heavy Industries, Ltd.   404,000     3,661,588
Panasonic Holdings Corp.   233,900     2,232,287
Renesas Electronics Corp.   310,300     5,529,750
Resona Holdings, Inc.   499,000     3,076,066
Ryohin Keikaku Company, Ltd.   344,300     5,634,534
Sony Group Corp.   25,900     2,220,944
Subaru Corp.   50,800     1,150,511
Sumitomo Mitsui Financial Group, Inc.   61,400     3,590,224
Suzuken Company, Ltd.   34,200     1,042,612
Suzuki Motor Corp.   279,200     3,187,701
          53,553,100
Jordan - 0.6%          
Hikma Pharmaceuticals PLC   73,023     1,766,497
Luxembourg - 0.7%          
Tenaris SA   107,841     2,132,157
Netherlands - 3.9%          
Aalberts NV   52,733     2,535,375
Euronext NV (C)   19,667     1,871,716
Disciplined Value International Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Netherlands (continued)          
ING Groep NV   277,678   $ 4,571,508
Stellantis NV   80,061     2,271,899
          11,250,498
Singapore - 0.9%          
Genting Singapore, Ltd.   4,040,300     2,649,777
South Korea - 7.4%          
Hana Financial Group, Inc.   72,204     3,160,934
Hankook Tire & Technology Company, Ltd.   25,654     1,030,817
KB Financial Group, Inc.   53,891     2,816,210
KT Corp.   65,916     1,859,171
Kumho Petrochemical Company, Ltd.   13,651     1,424,159
Samsung C&T Corp.   15,630     1,858,708
Samsung Electronics Company, Ltd.   155,366     9,337,110
          21,487,109
Spain - 0.9%          
Bankinter SA (B)   339,062     2,484,308
Switzerland - 4.1%          
Glencore PLC   570,550     3,130,924
Novartis AG   90,181     8,734,791
          11,865,715
United Kingdom - 19.6%          
AstraZeneca PLC   23,966     3,219,680
BAE Systems PLC   201,658     3,437,342
Barratt Developments PLC   228,880     1,373,755
Beazley PLC   743,961     6,255,891
BP PLC   1,289,583     8,090,096
Coca-Cola Europacific Partners PLC   39,325     2,750,784
Endeavour Mining PLC (B)   78,730     1,599,535
IMI PLC   157,624     3,610,970
Informa PLC   212,621     2,230,818
NatWest Group PLC   1,204,422     4,034,016
Nomad Foods, Ltd.   112,845     2,207,248
Reckitt Benckiser Group PLC   27,102     1,544,948
Shell PLC   127,333     4,224,839
Smith & Nephew PLC   94,704     1,185,597
SSE PLC   183,919     3,834,339
Tesco PLC   1,183,080     4,431,188
WH Smith PLC   178,911     2,979,583
          57,010,629
United States - 0.8%          
Peabody Energy Corp. (B)   102,378     2,483,690
TOTAL COMMON STOCKS (Cost $247,770,506)   $ 282,730,530
PREFERRED SECURITIES - 0.8%      
South Korea - 0.8%          
Samsung Electronics Company, Ltd.   47,156     2,353,660
TOTAL PREFERRED SECURITIES (Cost $2,112,401)   $ 2,353,660
SHORT-TERM INVESTMENTS - 2.9%      
Short-term funds - 2.9%          
Fidelity Government Portfolio, Institutional Class, 5.2500% (D)   1,701,749     1,701,749
John Hancock Collateral Trust, 5.2975% (D)(E)   660,906     6,607,346
TOTAL SHORT-TERM INVESTMENTS (Cost $8,311,033)   $ 8,309,095
Total Investments (Disciplined Value International Trust)
(Cost $258,193,940) - 100.8%
  $ 293,393,285
Other assets and liabilities, net - (0.8%)     (2,329,844)
TOTAL NET ASSETS - 100.0%   $ 291,063,441
Security Abbreviations and Legend
ADR American Depositary Receipt
 
  44  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Disciplined Value International Trust (continued)
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $6,327,090.
(C) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(D) The rate shown is the annualized seven-day yield as of 3-31-24.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Emerging Markets Value Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS - 97.4%      
Australia - 0.0%          
MMG, Ltd. (A)   240,000   $ 94,395
Belgium - 0.0%          
Titan Cement International SA   2,489     71,286
Brazil - 2.9%          
Anima Holding SA (A)   24,800     24,229
Atacadao SA   36,079     98,049
Banco Bradesco SA   77,625     197,181
Banco do Brasil SA   57,415     648,171
Banco Santander Brasil SA   21,018     119,519
Bemobi Mobile Tech SA   3,800     10,479
BrasilAgro - Company Brasileira de Propriedades Agricolas   4,600     22,526
BRF SA (A)   30,422     98,993
Brisanet Participacoes SA   16,300     14,625
C&A MODAS SA (A)   14,300     30,337
Camil Alimentos SA   10,600     18,979
Cia Brasileira de Aluminio   16,506     13,428
Cia Brasileira de Distribuicao (A)   23,912     14,112
Cia Siderurgica Nacional SA   42,185     132,054
Cia Siderurgica Nacional SA, ADR   9,153     28,649
Cielo SA   88,074     94,828
Cogna Educacao SA (A)   138,674     65,253
Construtora Tenda SA (A)   4,718     12,069
Cruzeiro do Sul Educacional SA   10,800     10,293
Cyrela Brazil Realty SA Empreendimentos e Participacoes   26,796     133,248
Dexco SA   40,606     62,179
Diagnosticos da America SA (A)   12,493     15,269
Embraer SA (A)   33,922     225,294
Empreendimentos Pague Menos S/A   17,964     9,707
Eternit SA   4,300     6,207
Even Construtora e Incorporadora SA   19,800     33,162
Ez Tec Empreendimentos e Participacoes SA   8,609     27,979
Gerdau SA, ADR   15,389     68,019
Grupo Casas Bahia SA (A)   7,706     10,417
Grupo de Moda Soma SA   25,800     39,147
Grupo SBF SA   7,700     19,882
Guararapes Confeccoes SA (A)   10,200     16,880
Hapvida Participacoes e Investimentos SA (A)(B)   282,026     208,058
International Meal Company Alimentacao SA (A)   26,670     8,774
Iochpe Maxion SA   11,411     32,922
IRB Brasil Resseguros SA (A)   9,563     71,216
Jalles Machado SA   8,150     12,837
JBS SA   60,990     261,452
JHSF Participacoes SA   28,427     27,660
Lavvi Empreendimentos Imobiliarios SA   21,300     40,388
LWSA SA (B)   30,684     35,729
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Brazil (continued)          
Moura Dubeux Engenharia S/A (A)   5,543   $ 14,080
Movida Participacoes SA   12,400     21,015
MRV Engenharia e Participacoes SA (A)   22,963     35,667
Multilaser Industrial SA (A)   20,600     10,063
Natura & Company Holding SA   63,132     225,067
Petroleo Brasileiro SA   372,453     2,842,745
Positivo Tecnologia SA   9,000     17,981
Romi SA   6,244     16,658
Sao Carlos Empreendimentos e Participacoes SA (A)   5,205     28,498
Sao Martinho SA   11,236     69,517
TIM SA   4,127     14,647
Trisul SA   13,137     14,930
Tupy SA   9,951     55,217
Usinas Siderurgicas de Minas Gerais SA   8,838     16,512
Vale SA, ADR   11,676     142,330
Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao SA   7,000     25,807
Zamp SA (A)   11,800     7,976
          6,578,910
Canada - 0.1%          
China Gold International Resources Corp., Ltd.   17,100     108,126
Chile - 0.5%          
Camanchaca SA   214,992     9,733
CAP SA   5,458     37,467
Cementos BIO BIO SA   16,447     10,997
Cencosud SA   55,159     95,679
Cia Sud Americana de Vapores SA   687,612     51,733
Cristalerias de Chile SA   3,626     10,347
Empresa Nacional de Telecomunicaciones SA   15,564     52,091
Empresas CMPC SA   88,783     180,376
Empresas COPEC SA   22,761     163,473
Empresas Hites SA   46,731     3,935
Enel Americas SA   1,030,301     100,341
Falabella SA (A)   34,807     91,361
Grupo Security SA   77,638     21,466
Inversiones Aguas Metropolitanas SA   56,248     42,144
Masisa SA (A)   321,066     6,553
PAZ Corp. SA   16,523     9,543
Ripley Corp. SA   81,633     17,913
Salfacorp SA   67,149     36,392
Sigdo Koppers SA   50,989     66,341
SMU SA   178,212     30,914
Sociedad Matriz SAAM SA   476,922     55,479
Socovesa SA   113,429     9,708
SONDA SA   24,563     10,980
          1,114,966
China - 20.3%          
360 Security Technology, Inc., Class A (A)   16,800     20,595
361 Degrees International, Ltd.   119,000     70,008
3SBio, Inc. (A)(B)   146,500     112,072
AAC Technologies Holdings, Inc.   79,500     266,991
Addsino Company, Ltd., Class A   9,800     10,162
Agile Group Holdings, Ltd. (A)   157,000     12,668
Agricultural Bank of China, Ltd., H Shares   1,798,000     758,954
Alibaba Group Holding, Ltd.   408,200     3,691,285
A-Living Smart City Services Company, Ltd. (B)   58,250     22,892
 
  45  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Allmed Medical Products Company, Ltd., Class A   6,100   $ 6,324
Aluminum Corp. of China, Ltd., H Shares   220,000     140,087
Angang Steel Company, Ltd., H Shares   167,800     27,924
Anhui Conch Cement Company, Ltd., H Shares   92,500     191,814
Anhui Construction Engineering Group Company, Ltd., Class A   14,900     9,954
Anhui Guangxin Agrochemical Company, Ltd., Class A   6,272     12,663
Anhui Hengyuan Coal Industry and Electricity Power Company, Ltd., Class A   15,800     26,117
Anhui Jinhe Industrial Company, Ltd., Class A   10,200     25,808
Anhui Truchum Advanced Materials & Technology Company, Ltd., Class A   12,200     13,611
Anhui Xinhua Media Company, Ltd., Class A   23,200     24,571
Anhui Zhongding Sealing Parts Company, Ltd., Class A   9,200     14,443
Anton Oilfield Services Group (A)   284,000     14,720
Aoshikang Technology Company, Ltd., Class A   4,600     17,600
Aotecar New Energy Technology Company, Ltd., Class A (A)   68,500     27,962
Asia - Potash International Investment Guangzhou Company, Ltd., Class A (A)   5,200     13,905
Asia Cement China Holdings Corp.   65,000     16,640
AsiaInfo Technologies, Ltd. (B)   18,800     17,228
Avary Holding Shenzhen Company, Ltd., Class A   8,600     28,110
AVIC Industry-Finance Holdings Company, Ltd., Class A   40,100     16,663
AviChina Industry & Technology Company, Ltd., H Shares   230,000     90,551
BAIC Motor Corp., Ltd., H Shares (B)   207,000     56,676
Baidu, Inc., ADR (A)   11,954     1,258,517
Baidu, Inc., Class A (A)   3,350     44,101
BAIOO Family Interactive, Ltd. (B)   126,000     3,706
Bank of Beijing Company, Ltd., Class A   90,000     70,373
Bank of Changsha Company, Ltd., Class A   41,600     44,413
Bank of Chengdu Company, Ltd., Class A   28,200     52,836
Bank of China, Ltd., H Shares   5,394,694     2,211,882
Bank of Chongqing Company, Ltd., H Shares   69,500     38,298
Bank of Communications Company, Ltd., H Shares   485,876     319,517
Bank of Guiyang Company, Ltd., Class A   19,600     14,543
Bank of Hangzhou Company, Ltd., Class A   38,900     59,543
Bank of Jiangsu Company, Ltd., Class A   99,100     107,550
Bank of Nanjing Company, Ltd., Class A   67,500     84,356
Bank of Ningbo Company, Ltd., Class A   36,960     106,540
Bank of Shanghai Company, Ltd., Class A   57,000     52,930
Bank of Suzhou Company, Ltd., Class A   21,010     20,732
Baoshan Iron & Steel Company, Ltd., Class A   116,100     104,015
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Baoye Group Company, Ltd., H Shares (A)   22,000   $ 11,155
Baozun, Inc., Class A (A)   1,300     981
BBMG Corp., H Shares   220,000     17,435
Beijing Capital Eco-Environment Protection Group Company, Ltd., Class A   50,000     18,967
Beijing Capital International Airport Company, Ltd., H Shares (A)   142,000     43,065
Beijing Dabeinong Technology Group Company, Ltd., Class A   18,200     12,391
Beijing Easpring Material Technology Company, Ltd., Class A   2,900     15,268
Beijing GeoEnviron Engineering & Technology, Inc., Class A   7,200     5,835
Beijing Jetsen Technology Company, Ltd., Class A (A)   27,000     21,492
Beijing Jingyuntong Technology Company, Ltd., Class A (A)   11,700     6,024
Beijing New Building Materials PLC, Class A   6,700     26,536
Beijing North Star Company, Ltd., H Shares (A)   132,000     11,140
Beijing Orient National Communication Science & Technology Company, Ltd., Class A (A)   10,200     11,832
Beijing Originwater Technology Company, Ltd., Class A   3,551     2,384
Beijing Shougang Company, Ltd., Class A (A)   20,200     8,808
Beijing Sinnet Technology Company, Ltd., Class A (A)   10,500     13,782
Beijing Urban Construction Design & Development Group Company, Ltd., H Shares (B)   35,000     8,552
Beijing Yanjing Brewery Company, Ltd., Class A   18,000     22,875
Beijing-Shanghai High Speed Railway Company, Ltd., Class A   158,600     109,558
BGI Genomics Company, Ltd., Class A   2,400     13,675
Blue Sail Medical Company, Ltd., Class A   7,100     5,542
BOC International China Company, Ltd., Class A   8,800     12,205
BOE Technology Group Company, Ltd., Class A   205,200     114,471
Bohai Leasing Company, Ltd., Class A (A)   50,900     15,936
Bright Dairy & Food Company, Ltd., Class A   9,600     12,027
BTG Hotels Group Company, Ltd., Class A (A)   4,500     9,290
Cabbeen Fashion, Ltd.   40,000     4,544
Caitong Securities Company, Ltd., Class A   33,670     34,406
Cangzhou Mingzhu Plastic Company, Ltd., Class A   15,000     7,411
Canmax Technologies Company, Ltd., Class A   4,900     13,361
CECEP Solar Energy Company, Ltd., Class A   34,200     24,678
CECEP Wind-Power Corp., Class A   25,480     10,262
Central China Management Company, Ltd.   113,732     1,602
 
  46  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Changjiang Securities Company, Ltd., Class A   20,700   $ 14,579
Changsha Broad Homes Industrial Group Company, Ltd., H Shares (A)(B)   9,000     2,469
Chaoju Eye Care Holdings, Ltd.   29,500     14,832
Chaowei Power Holdings, Ltd.   88,000     15,527
Chengdu Hongqi Chain Company, Ltd., Class A   38,700     25,437
Chengdu Kanghong Pharmaceutical Group Company, Ltd., Class A   6,600     15,611
Chengdu Wintrue Holding Company, Ltd., Class A   15,700     16,164
Chengtun Mining Group Company, Ltd., Class A (A)   12,000     6,979
Chengxin Lithium Group Company, Ltd., Class A   11,100     29,537
Chengzhi Company, Ltd., Class A   5,100     4,961
China BlueChemical, Ltd., H Shares   200,000     57,773
China Bohai Bank Company, Ltd., H Shares (A)(B)   291,000     37,962
China Cinda Asset Management Company, Ltd., H Shares   588,000     48,871
China CITIC Bank Corp., Ltd., H Shares   670,775     357,791
China Coal Energy Company, Ltd., H Shares   178,000     173,383
China Communications Services Corp., Ltd., H Shares   217,200     101,358
China Conch Environment Protection Holdings, Ltd. (A)   50,000     5,379
China Conch Venture Holdings, Ltd.   109,000     75,857
China Construction Bank Corp., H Shares   7,593,000     4,582,141
China Development Bank Financial Leasing Company, Ltd., H Shares (B)   122,000     31,216
China Dili Group (A)(C)   190,600     11,251
China Dongxiang Group Company, Ltd.   361,000     16,157
China Electronics Optics Valley Union Holding Company, Ltd.   308,000     14,175
China Energy Engineering Corp., Ltd., H Shares   162,000     14,715
China Everbright Bank Company, Ltd., H Shares   248,000     71,359
China Feihe, Ltd. (B)   246,000     115,764
China Galaxy Securities Company, Ltd., H Shares   93,000     45,703
China Great Wall Securities Company, Ltd., Class A   11,800     12,010
China Greatwall Technology Group Company, Ltd., Class A   14,300     19,538
China Green Electricity Investment of Tianjin Company, Ltd., Class A   7,500     9,655
China Hanking Holdings, Ltd.   61,000     7,186
China Harmony Auto Holding, Ltd. (A)   105,500     7,968
China Hongqiao Group, Ltd.   207,500     233,840
China Huiyuan Juice Group, Ltd. (A)(C)   212,500     13,711
China International Marine Containers Group Company, Ltd., H Shares   97,050     82,811
China Jushi Company, Ltd., Class A   30,900     44,798
China Kepei Education Group, Ltd.   68,000     13,209
China Lesso Group Holdings, Ltd.   133,000     63,073
China Lilang, Ltd.   72,000     45,586
China Maple Leaf Educational Systems, Ltd. (A)   222,000     11,211
China Meheco Company, Ltd., Class A   6,160     9,244
China Meidong Auto Holdings, Ltd.   36,000     13,903
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
China Merchants Bank Company, Ltd., H Shares   232,500   $ 921,518
China Merchants Energy Shipping Company, Ltd., Class A   49,800     53,162
China Merchants Expressway Network & Technology Holdings Company, Ltd., Class A   18,500     28,680
China Merchants Property Operation & Service Company, Ltd., Class A   19,700     27,811
China Merchants Securities Company, Ltd., H Shares (B)   29,480     22,548
China Merchants Shekou Industrial Zone Holdings Company, Ltd., Class A   19,600     26,209
China Minsheng Banking Corp., Ltd., H Shares   371,400     128,713
China Modern Dairy Holdings, Ltd.   171,000     14,212
China National Accord Medicines Corp., Ltd., Class A   2,730     11,415
China National Building Material Company, Ltd., H Shares   391,450     134,736
China National Chemical Engineering Company, Ltd., Class A   40,100     36,948
China National Medicines Corp., Ltd., Class A   3,200     14,070
China National Nuclear Power Company, Ltd., Class A   132,300     163,886
China New Higher Education Group, Ltd. (B)   88,000     25,660
China Nonferrous Mining Corp., Ltd.   42,000     35,188
China Oilfield Services, Ltd., H Shares   106,000     122,001
China Oriental Group Company, Ltd.   164,000     21,810
China Pacific Insurance Group Company, Ltd., H Shares   127,200     223,150
China Petroleum & Chemical Corp., H Shares   1,878,000     1,068,067
China Railway Group, Ltd., H Shares   313,000     154,930
China Railway Signal & Communication Corp., Ltd., H Shares (B)   111,000     42,311
China Reinsurance Group Corp., H Shares   554,000     36,853
China Renaissance Holdings, Ltd. (A)(B)(C)   12,000     5,016
China Resources Double Crane Pharmaceutical Company, Ltd., Class A   6,300     17,659
China Resources Medical Holdings Company, Ltd.   103,000     51,628
China Resources Pharmaceutical Group, Ltd. (B)   166,500     106,458
China Risun Group, Ltd.   72,000     27,985
China Sanjiang Fine Chemicals Company, Ltd. (A)   105,000     22,833
China SCE Group Holdings, Ltd. (A)   229,200     3,790
China Shanshui Cement Group, Ltd. (A)   117,000     11,053
China Shenhua Energy Company, Ltd., H Shares   151,500     595,952
China Shineway Pharmaceutical Group, Ltd.   32,000     39,822
China Silver Group, Ltd. (A)   94,000     1,238
China South Publishing & Media Group Company, Ltd., Class A   14,900     26,055
China State Construction Engineering Corp., Ltd., Class A   265,600     191,910
China Sunshine Paper Holdings Company, Ltd. (A)   31,500     7,156
 
  47  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
China Taifeng Beddings Holdings, Ltd. (A)(C)   204,000   $ 0
China Tower Corp., Ltd., H Shares (B)   3,970,000     456,906
China TransInfo Technology Company, Ltd., Class A (A)   9,500     13,992
China Tungsten And Hightech Materials Company, Ltd., Class A   11,180     15,505
China Vanke Company, Ltd., H Shares   148,292     102,888
China XLX Fertiliser, Ltd.   58,000     27,656
China Yongda Automobiles Services Holdings, Ltd.   101,000     28,146
China Yuhua Education Corp., Ltd. (A)(B)   162,000     15,541
China Zhenhua Group Science & Technology Company, Ltd., Class A   3,200     24,172
China Zheshang Bank Company, Ltd., H Shares   209,600     61,339
China Zhongwang Holdings, Ltd. (A)(C)   196,800     0
Chinese Universe Publishing and Media Group Company, Ltd., Class A   6,200     13,215
Chongqing Changan Automobile Company, Ltd., Class A   25,590     60,848
Chongqing Rural Commercial Bank Company, Ltd., H Shares   156,000     64,622
CITIC Securities Company, Ltd., H Shares   28,525     47,118
CITIC, Ltd.   350,130     336,995
CMGE Technology Group, Ltd. (A)   30,000     4,413
CMST Development Company, Ltd., Class A   21,400     14,094
CNGR Advanced Material Company, Ltd., Class A   2,600     18,689
CNOOC Energy Technology & Services, Ltd., Class A   33,000     15,579
CNSIG Inner Mongolia Chemical Industry Company, Ltd., Class A   20,800     21,394
COFCO Biotechnology Company, Ltd., Class A   15,200     11,867
COFCO Joycome Foods, Ltd. (A)   202,000     42,859
COFCO Sugar Holding Company, Ltd., Class A   19,500     24,792
Consun Pharmaceutical Group, Ltd.   19,000     13,600
COSCO SHIPPING Development Company, Ltd., H Shares   434,000     43,290
COSCO SHIPPING Energy Transportation Company, Ltd., H Shares   72,000     74,686
COSCO SHIPPING Holdings Company, Ltd., H Shares   252,500     265,853
CPMC Holdings, Ltd.   76,000     66,531
CRRC Corp., Ltd., H Shares   45,000     24,290
CSG Holding Company, Ltd., Class A   13,900     10,427
CT Environmental Group, Ltd. (A)(C)   164,000     0
CTS International Logistics Corp., Ltd., Class A   8,000     7,283
Daan Gene Company, Ltd., Class A   10,300     11,775
Daqin Railway Company, Ltd., Class A   35,700     36,162
DHC Software Company, Ltd., Class A   33,500     25,969
Dian Diagnostics Group Company, Ltd., Class A   2,300     5,657
Digital China Information Service Group Company, Ltd., Class A   7,800     12,472
Do-Fluoride New Materials Company, Ltd., Class A   12,400     24,544
Dongfang Electric Corp., Ltd., H Shares   18,600     19,459
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Dongfeng Motor Group Company, Ltd., H Shares   76,000   $ 31,780
Dongxing Securities Company, Ltd., Class A   12,000     13,114
Dongyue Group, Ltd.   91,000     85,425
Dynagreen Environmental Protection Group Company, Ltd., H Shares   75,000     26,827
E-Commodities Holdings, Ltd.   200,000     47,534
Edvantage Group Holdings, Ltd.   39,378     11,988
Everbright Securities Company, Ltd., H Shares (B)   25,600     16,910
Fangda Carbon New Material Company, Ltd., Class A (A)   13,200     8,770
Fangda Special Steel Technology Company, Ltd., Class A (A)   8,800     5,104
FAW Jiefang Group Company, Ltd., Class A (A)   9,300     11,612
FAWER Automotive Parts Company, Ltd., Class A   37,300     27,113
Fiberhome Telecommunication Technologies Company, Ltd., Class A   5,000     12,356
FIH Mobile, Ltd. (A)   306,000     19,964
FinVolution Group, ADR   6,795     34,247
First Capital Securities Company, Ltd., Class A   18,600     13,771
Fosun International, Ltd.   195,460     101,982
Founder Securities Company, Ltd., Class A   31,500     34,128
Fu Shou Yuan International Group, Ltd.   8,000     4,949
Fufeng Group, Ltd.   182,200     118,154
Fujian Funeng Company, Ltd., Class A   16,900     23,950
Fujian Sunner Development Company, Ltd., Class A   6,700     14,405
Gansu Energy Chemical Company, Ltd., Class A   26,100     10,580
Gansu Shangfeng Cement Company, Ltd., Class A   10,080     9,927
GCL Energy Technology Company, Ltd., Class A   11,700     17,073
GDS Holdings, Ltd., Class A (A)   69,700     57,648
GEM Company, Ltd., Class A   25,800     21,141
Gemdale Corp., Class A   16,600     8,854
Genertec Universal Medical Group Company, Ltd. (B)   99,000     54,045
GF Securities Company, Ltd., H Shares   31,200     32,338
Giant Network Group Company, Ltd., Class A   4,400     7,457
GoerTek, Inc., Class A   24,400     53,305
Goldwind Science & Technology Company, Ltd., H Shares   47,000     17,440
Gotion High-tech Company, Ltd., Class A (A)   5,500     15,458
Grand Baoxin Auto Group, Ltd. (A)   219,500     5,141
Grandjoy Holdings Group Company, Ltd., Class A (A)   22,500     8,316
Greatview Aseptic Packaging Company, Ltd. (A)   44,000     12,199
Gree Electric Appliances, Inc. of Zhuhai, Class A   20,300     110,147
Greenland Hong Kong Holdings, Ltd. (A)   88,000     2,545
Greentown China Holdings, Ltd.   102,500     81,864
Greentown Service Group Company, Ltd.   64,000     24,490
GRG Banking Equipment Company, Ltd., Class A   15,700     26,053
 
  48  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Guangdong Dowstone Technology Company, Ltd., Class A   6,000   $ 7,941
Guangdong HEC Technology Holding Company, Ltd., Class A (A)   10,900     13,076
Guangdong Tapai Group Company, Ltd., Class A   13,200     13,459
Guangdong Xinbao Electrical Appliances Holdings Company, Ltd., Class A   5,400     12,280
Guanghui Energy Company, Ltd., Class A   59,500     59,510
Guangshen Railway Company, Ltd., H Shares (A)   211,600     47,798
Guangxi Liugong Machinery Company, Ltd., Class A   12,000     13,815
Guangzhou Automobile Group Company, Ltd., H Shares   154,000     63,210
Guangzhou Baiyun International Airport Company, Ltd., Class A (A)   7,600     10,595
Guangzhou Baiyunshan Pharmaceutical Holdings Company, Ltd., H Shares   16,000     39,341
Guangzhou Great Power Energy & Technology Company, Ltd., Class A   3,300     11,759
Guangzhou Haige Communications Group, Inc. Company, Class A   17,800     25,871
Guangzhou Yuexiu Capital Holdings Group Company, Ltd., Class A   22,950     17,699
Guizhou Panjiang Refined Coal Company, Ltd., Class A   18,700     15,478
Guizhou Xinbang Pharmaceutical Company, Ltd., Class A   10,700     5,628
Guosen Securities Company, Ltd., Class A   35,700     40,950
Guotai Junan Securities Company, Ltd., H Shares (B)   34,600     37,968
Guoyuan Securities Company, Ltd., Class A   17,400     15,563
Hainan Meilan International Airport Company, Ltd., H Shares (A)   16,000     14,413
Haitian International Holdings, Ltd.   35,000     101,850
Haitong Securities Company, Ltd., H Shares   188,000     89,922
Hang Zhou Great Star Industrial Company, Ltd., Class A   4,300     14,564
Hangzhou Binjiang Real Estate Group Company, Ltd., Class A   20,300     18,858
Hangzhou Robam Appliances Company, Ltd., Class A   4,400     14,590
Han's Laser Technology Industry Group Company, Ltd., Class A   8,000     20,573
Harbin Bank Company, Ltd., H Shares (A)(B)   74,000     2,413
Harbin Electric Company, Ltd., H Shares   84,000     28,169
HBIS Resources Company, Ltd., Class A   4,700     10,724
Heilongjiang Agriculture Company, Ltd., Class A   9,100     15,180
Hello Group, Inc., ADR   12,959     80,475
Henan Mingtai Al Industrial Company, Ltd., Class A   17,600     26,857
Henan Shenhuo Coal Industry & Electricity Power Company, Ltd., Class A   8,200     21,997
Hengan International Group Company, Ltd.   43,000     135,551
Hengli Petrochemical Company, Ltd., Class A (A)   35,401     67,139
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Hengtong Optic-electric Company, Ltd., Class A   13,900   $ 23,555
Hengyi Petrochemical Company, Ltd., Class A (A)   23,800     21,147
Hesteel Company, Ltd., Class A   54,700     16,127
Hiroca Holdings, Ltd.   8,000     8,872
Hongda Xingye Company, Ltd., Class A (A)(C)   28,900     2,319
Honghua Group, Ltd. (A)   367,000     4,224
Horizon Construction Development, Ltd. (A)   6,259     1,581
Hoyuan Green Energy Company, Ltd., Class A   3,400     11,385
Hua Hong Semiconductor, Ltd. (A)(B)   46,000     89,775
Huafon Chemical Company, Ltd., Class A   46,600     42,372
Huaibei Mining Holdings Company, Ltd., Class A   19,700     44,674
Huapont Life Sciences Company, Ltd., Class A   10,700     6,353
Huatai Securities Company, Ltd., H Shares (B)   78,200     89,484
Huaxi Securities Company, Ltd., Class A   7,000     7,086
Huaxia Bank Company, Ltd., Class A   79,200     70,930
Huaxin Cement Company, Ltd., Class A   7,100     12,913
Huaxin Cement Company, Ltd., H Shares   22,800     19,936
Huayu Automotive Systems Company, Ltd., Class A   22,700     51,722
Hubei Biocause Pharmaceutical Company, Ltd., Class A   20,900     7,088
Hubei Jumpcan Pharmaceutical Company, Ltd., Class A   7,400     37,593
Hubei Xingfa Chemicals Group Company, Ltd., Class A   7,900     19,833
Huishang Bank Corp., Ltd., H Shares   63,300     19,100
Humanwell Healthcare Group Company, Ltd., Class A   12,500     33,487
Hunan TV & Broadcast Intermediary Company, Ltd., Class A   35,400     32,437
Hunan Valin Steel Company, Ltd., Class A   44,000     31,302
Hytera Communications Corp., Ltd., Class A (A)   14,800     9,546
Industrial & Commercial Bank of China, Ltd., H Shares   4,473,000     2,248,281
Industrial Bank Company, Ltd., Class A   131,700     296,265
Industrial Securities Company, Ltd., Class A   37,960     28,555
Ingdan, Inc. (B)   74,000     9,859
Inkeverse Group, Ltd. (A)   75,000     8,437
Inner Mongolia BaoTou Steel Union Company, Ltd., Class A (A)   166,200     36,579
Inner Mongolia Dian Tou Energy Corp., Ltd., Class A   8,600     19,155
Inner Mongolia ERDOS Resources Company, Ltd., Class A   8,820     13,183
Inner Mongolia Junzheng Energy & Chemical Industry Group Company, Ltd., Class A   43,700     22,074
Inner Mongolia Yuan Xing Energy Company, Ltd., Class A   18,500     14,342
Intco Medical Technology Company, Ltd., Class A   3,840     11,895
 
  49  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
JA Solar Technology Company, Ltd., Class A   18,600   $ 44,726
JCET Group Company, Ltd., Class A   10,100     40,584
JD Logistics, Inc. (A)(B)   80,900     82,638
JD.com, Inc., Class A   70,950     973,213
Jiangling Motors Corp., Ltd., Class A   7,800     31,631
Jiangsu Azure Corp., Class A   9,700     10,956
Jiangsu Changshu Rural Commercial Bank Company, Ltd., Class A   18,200     17,714
Jiangsu Eastern Shenghong Company, Ltd., Class A   27,100     37,210
Jiangsu Guotai International Group Company, Ltd., Class A   7,600     7,214
Jiangsu Jiangyin Rural Commercial Bank Company, Ltd., Class A   17,900     9,116
Jiangsu Lihua Animal Husbandry Stock Company, Ltd., Class A   4,860     13,555
Jiangsu Linyang Energy Company, Ltd., Class A   13,300     11,653
Jiangsu Provincial Agricultural Reclamation and Development Corp., Class A   11,200     15,114
Jiangsu Shagang Company, Ltd., Class A   27,000     16,296
Jiangsu Shuangxing Color Plastic New Materials Company, Ltd., Class A   5,200     4,685
Jiangsu Zhangjiagang Rural Commercial Bank Company, Ltd., Class A   16,680     9,164
Jiangsu Zhongtian Technology Company, Ltd., Class A   21,300     41,475
Jiangxi Copper Company, Ltd., H Shares   68,000     116,142
Jilin Aodong Pharmaceutical Group Company, Ltd., Class A   4,700     9,343
JinkoSolar Holding Company, Ltd., ADR   3,369     84,865
Jinlei Technology Company, Ltd., Class A   3,900     11,253
Jinmao Property Services Company, Ltd.   7,552     2,125
Jinneng Holding Shanxi Coal Industry Company, Ltd., Class A   13,100     26,478
Jinneng Science&Technology Company, Ltd., Class A   8,700     8,104
Jinxin Fertility Group, Ltd. (A)(B)   87,500     27,209
Jizhong Energy Resources Company, Ltd., Class A   18,200     18,832
Joincare Pharmaceutical Group Industry Company, Ltd., Class A   11,400     17,096
Joinn Laboratories China Company, Ltd., Class A   5,180     13,290
Jointown Pharmaceutical Group Company, Ltd., Class A   16,062     17,713
Juewei Food Company, Ltd., Class A   4,400     11,711
Kangda International Environmental Company, Ltd. (A)(B)   140,000     4,647
Kasen International Holdings, Ltd. (A)   119,000     4,417
Keshun Waterproof Technologies Company, Ltd., Class A   10,700     6,825
Kingfa Sci & Tech Company, Ltd., Class A   12,500     11,883
KWG Group Holdings, Ltd. (A)   154,013     5,821
KWG Living Group Holdings, Ltd. (A)   88,506     4,138
Laobaixing Pharmacy Chain JSC, Class A   5,300     21,657
LB Group Company, Ltd., Class A   13,400     34,223
Legend Holdings Corp., H Shares (B)   66,200     50,367
Lemtech Holdings Company, Ltd.   4,000     15,806
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Lens Technology Company, Ltd., Class A   21,100   $ 39,567
Leo Group Company, Ltd., Class A (A)   58,700     18,204
Lepu Medical Technology Beijing Company, Ltd., Class A   11,400     21,772
LexinFintech Holdings, Ltd., ADR   14,967     26,941
Leyard Optoelectronic Company, Ltd., Class A   9,800     6,876
Liaoning Cheng Da Company, Ltd., Class A   7,000     9,798
Liaoning Port Company, Ltd., H Shares   204,000     15,648
Lier Chemical Company, Ltd., Class A   5,460     6,679
Lingyi iTech Guangdong Company, Class A   42,900     32,362
Longfor Group Holdings, Ltd. (B)   157,500     223,399
Lonking Holdings, Ltd.   217,000     39,675
Luenmei Quantum Company, Ltd., Class A   23,100     17,849
Luxi Chemical Group Company, Ltd., Class A   14,600     18,975
Luye Pharma Group, Ltd. (A)(B)   189,500     66,132
Maanshan Iron & Steel Company, Ltd., H Shares   108,000     15,617
Maccura Biotechnology Company, Ltd., Class A   6,800     11,793
Mango Excellent Media Company, Ltd., Class A   8,000     27,102
Maoyan Entertainment (A)(B)   19,400     23,731
Mayinglong Pharmaceutical Group Company, Ltd., Class A   5,200     15,971
Medlive Technology Company, Ltd. (B)   7,500     7,245
Metallurgical Corp. of China, Ltd., H Shares   185,000     39,512
Midea Real Estate Holding, Ltd. (B)   28,400     14,458
Ming Yang Smart Energy Group, Ltd., Class A   14,400     18,740
Minth Group, Ltd.   64,000     101,227
MLS Company, Ltd., Class A   9,700     10,444
Nanjing Iron & Steel Company, Ltd., Class A   38,000     24,349
NavInfo Company, Ltd., Class A (A)   11,700     14,316
Nayuki Holdings, Ltd. (A)   43,500     14,796
NetDragon Websoft Holdings, Ltd.   17,000     23,821
New China Life Insurance Company, Ltd., H Shares   55,300     98,070
New Hope Liuhe Company, Ltd., Class A (A)   16,500     21,402
Ninestar Corp., Class A   7,900     25,099
Ningbo Huaxiang Electronic Company, Ltd., Class A   6,500     11,498
Ningbo Joyson Electronic Corp., Class A   8,100     18,864
Ningbo Ronbay New Energy Technology Company, Ltd., Class A   4,688     17,936
Ningbo Zhoushan Port Company, Ltd., Class A   17,900     8,398
Ningxia Baofeng Energy Group Company, Ltd., Class A   15,500     33,630
Noah Holdings, Ltd., ADR   1,849     21,134
North Huajin Chemical Industries Company, Ltd., Class A   35,600     25,227
North Industries Group Red Arrow Company, Ltd., Class A   6,800     11,925
Northeast Securities Company, Ltd., Class A   10,520     9,831
 
  50  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Offshore Oil Engineering Company, Ltd., Class A   30,700   $ 27,110
Onewo, Inc., H Shares   5,500     13,842
Orient Securities Company, Ltd., H Shares (B)   42,000     16,676
Oriental Energy Company, Ltd., Class A (A)   17,400     21,424
PetroChina Company, Ltd., H Shares   1,912,000     1,639,774
PICC Property & Casualty Company, Ltd., H Shares   314,000     414,400
Ping An Bank Company, Ltd., Class A   116,600     169,356
Ping An Insurance Group Company of China, Ltd., H Shares   510,000     2,165,297
Pingdingshan Tianan Coal Mining Company, Ltd., Class A   15,000     25,385
Postal Savings Bank of China Company, Ltd., H Shares (B)   536,000     280,569
Power Construction Corp. of China, Ltd., Class A   93,400     63,860
Q Technology Group Company, Ltd. (A)   37,000     14,306
Qifu Technology, Inc., ADR   6,557     120,846
Qingdao Port International Company, Ltd., H Shares (B)   19,000     11,172
Qingdao Rural Commercial Bank Corp., Class A (A)   34,400     12,760
Qingling Motors Company, Ltd., H Shares (A)   128,000     8,844
Qinhuangdao Port Company, Ltd., H Shares   52,500     11,200
Qunxing Paper Holdings Company, Ltd. (A)(C)   634,371     0
Radiance Holdings Group Company, Ltd. (A)   23,000     5,817
Red Star Macalline Group Corp., Ltd., H Shares (B)   62,480     13,353
Redco Properties Group, Ltd. (A)(B)(C)   96,000     10,603
Renhe Pharmacy Company, Ltd., Class A   14,800     13,354
Risen Energy Company, Ltd., Class A   11,800     23,998
RiseSun Real Estate Development Company, Ltd., Class A (A)   16,000     3,365
Riyue Heavy Industry Company, Ltd., Class A   8,200     12,943
Rongsheng Petrochemical Company, Ltd., Class A   21,800     32,743
SAIC Motor Corp., Ltd., Class A   22,200     45,946
Sanan Optoelectronics Company, Ltd., Class A   13,700     23,062
Sansteel Minguang Company, Ltd., Class A   16,900     8,211
Sansure Biotech, Inc., Class A   3,136     8,293
Sany Heavy Industry Company, Ltd., Class A   23,200     46,422
Satellite Chemical Company, Ltd., Class A (A)   11,400     26,908
SDIC Capital Company, Ltd., Class A   14,700     13,004
Sealand Securities Company, Ltd., Class A   25,200     11,542
Seazen Group, Ltd. (A)   251,428     33,801
Seazen Holdings Company, Ltd., Class A (A)   14,800     20,105
SF Holding Company, Ltd., Class A   11,900     59,889
Shaanxi Coal Industry Company, Ltd., Class A   34,100     117,966
Shan Xi Hua Yang Group New Energy Company, Ltd., Class A   27,150     34,501
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Shandong Bohui Paper Industrial Company, Ltd., Class A   7,000   $ 5,416
Shandong Buchang Pharmaceuticals Company, Ltd., Class A   3,600     8,273
Shandong Chenming Paper Holdings, Ltd., H Shares (A)   41,000     8,856
Shandong Hi-Speed Road & Bridge Company, Ltd., Class A   25,300     19,116
Shandong Hualu Hengsheng Chemical Company, Ltd., Class A   9,500     33,267
Shandong Jincheng Pharmaceutical Group Company, Ltd., Class A   7,300     16,005
Shandong Linglong Tyre Company, Ltd., Class A   8,600     24,829
Shandong Nanshan Aluminum Company, Ltd., Class A   48,800     22,767
Shandong Publishing & Media Company, Ltd., Class A   6,600     10,013
Shandong Sun Paper Industry JSC, Ltd., Class A   13,600     26,553
Shandong Weigao Group Medical Polymer Company, Ltd., H Shares   172,000     107,221
Shanghai AJ Group Company, Ltd., Class A   21,300     12,976
Shanghai Bailian Group Company, Ltd., Class A   13,400     16,274
Shanghai Construction Group Company, Ltd., Class A   41,000     13,226
Shanghai Electric Group Company, Ltd., H Shares (A)   158,000     30,723
Shanghai Environment Group Company, Ltd., Class A   11,800     14,338
Shanghai Fosun Pharmaceutical Group Company, Ltd., H Shares   23,500     38,464
Shanghai International Airport Company, Ltd., Class A (A)   5,600     27,640
Shanghai Jinjiang International Hotels Company, Ltd., Class A   7,900     31,430
Shanghai Lingang Holdings Corp., Ltd., Class A   7,000     9,516
Shanghai Lujiazui Finance & Trade Zone Development Company, Ltd., Class A   6,500     7,672
Shanghai Mechanical and Electrical Industry Company, Ltd., Class A   4,400     7,249
Shanghai Pharmaceuticals Holding Company, Ltd., H Shares   60,000     86,697
Shanghai Pudong Development Bank Company, Ltd., Class A   121,600     120,723
Shanghai RAAS Blood Products Company, Ltd., Class A   29,400     28,611
Shanghai Tunnel Engineering Company, Ltd., Class A   24,000     19,911
Shanghai Yuyuan Tourist Mart Group Company, Ltd., Class A   28,200     23,419
Shanghai Zhangjiang High-Tech Park Development Company, Ltd., Class A   13,300     36,848
Shanxi Coking Coal Energy Group Company, Ltd., Class A   36,200     51,151
Shanxi Coking Company, Ltd., Class A   16,400     10,668
Shanxi Lanhua Sci-Tech Venture Company, Ltd., Class A   8,200     12,284
Shanxi Lu'an Environmental Energy Development Company, Ltd., Class A   21,300     59,120
Shanxi Meijin Energy Company, Ltd., Class A (A)   18,400     16,321
 
  51  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Shanxi Taigang Stainless Steel Company, Ltd., Class A   40,100   $ 19,642
Shanying International Holding Company, Ltd., Class A (A)   40,100     10,100
Shengjing Bank Company, Ltd., H Shares (A)(B)   17,500     2,282
Shenguan Holdings Group, Ltd.   90,000     3,395
Shengyi Technology Company, Ltd., Class A   15,400     37,410
Shenwan Hongyuan Group Company, Ltd., H Shares (B)   143,200     25,282
Shenzhen Agricultural Products Group Company, Ltd., Class A   22,100     17,917
Shenzhen Airport Company, Ltd., Class A (A)   12,200     11,349
Shenzhen Aisidi Company, Ltd., Class A   13,100     20,703
Shenzhen Everwin Precision Technology Company, Ltd., Class A (A)   6,000     8,364
Shenzhen Gas Corp., Ltd., Class A   17,200     17,375
Shenzhen Huaqiang Industry Company, Ltd., Class A   4,300     5,737
Shenzhen Jinjia Group Company, Ltd., Class A   11,500     7,115
Shenzhen Kaifa Technology Company, Ltd., Class A   8,800     16,734
Shenzhen Kedali Industry Company, Ltd., Class A   1,200     13,501
Shenzhen Kinwong Electronic Company, Ltd., Class A   9,700     26,372
Shenzhen MTC Company, Ltd., Class A   26,800     18,510
Shenzhen Overseas Chinese Town Company, Ltd., Class A (A)   44,000     16,692
Shenzhen Senior Technology Material Company, Ltd., Class A   9,000     13,790
Shenzhen Suntak Circuit Technology Company, Ltd., Class A   8,500     10,092
Shenzhen YUTO Packaging Technology Company, Ltd., Class A   2,400     8,089
Shenzhen Zhongjin Lingnan Nonfemet Company, Ltd., Class A   16,500     10,394
Shui On Land, Ltd.   390,961     33,492
Sichuan Development Lomon Company, Ltd., Class A   12,700     11,581
Sichuan Hebang Biotechnology Company, Ltd., Class A   69,000     21,971
Sichuan Kelun Pharmaceutical Company, Ltd., Class A   11,400     47,723
Sichuan Road and Bridge Group Company, Ltd., Class A   43,400     44,613
Sichuan Yahua Industrial Group Company, Ltd., Class A   2,900     4,142
Sihuan Pharmaceutical Holdings Group, Ltd.   343,000     23,259
Sinoma International Engineering Company, Class A   21,600     33,949
Sinoma Science & Technology Company, Ltd., Class A   7,900     16,487
Sinopec Engineering Group Company, Ltd., H Shares   129,000     74,385
Sinopec Shanghai Petrochemical Company, Ltd., H Shares (A)   300,000     39,517
Sinopharm Group Company, Ltd., H Shares   138,800     355,924
Sinotrans, Ltd., H Shares   242,000     118,192
Sinotruk Hong Kong, Ltd.   65,000     159,700
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Sinotruk Jinan Truck Company, Ltd., Class A   6,000   $ 13,089
SOHO China, Ltd. (A)   247,000     20,229
SooChow Securities Company, Ltd., Class A   19,110     17,803
Southwest Securities Company, Ltd., Class A   28,700     15,227
STO Express Company, Ltd., Class A (A)   13,600     15,823
Suning Universal Company, Ltd., Class A   15,000     4,339
Suning.com Company, Ltd., Class A (A)   26,300     5,751
Sunshine 100 China Holdings, Ltd. (A)(B)   77,000     237
Sunwoda Electronic Company, Ltd., Class A   9,000     17,041
Suzhou Anjie Technology Company, Ltd., Class A   7,300     14,194
Suzhou Dongshan Precision Manufacturing Company, Ltd., Class A   11,700     23,459
Suzhou Gold Mantis Construction Decoration Company, Ltd., Class A   21,200     9,801
Tangshan Jidong Cement Company, Ltd., Class A   11,000     8,128
TangShan Port Group Company, Ltd., Class A   52,100     31,446
Tangshan Sanyou Chemical Industries Company, Ltd., Class A   14,700     9,847
Tasly Pharmaceutical Group Company, Ltd., Class A   9,900     21,772
Tayho Advanced Materials Group Company, Ltd., Class A   15,100     23,510
TBEA Company, Ltd., Class A   29,380     61,529
TCL Technology Group Corp., Class A (A)   108,790     70,178
TCL Zhonghuan Renewable Energy Technology Company, Ltd., Class A   23,900     39,044
Ten Pao Group Holdings, Ltd.   80,000     12,373
Tencent Music Entertainment Group, ADR (A)   20,419     228,489
Tenwow International Holdings, Ltd. (A)(C)   121,000     0
The People's Insurance Company Group of China, Ltd., H Shares   463,000     148,017
Tian Di Science & Technology Company, Ltd., Class A   33,600     31,628
Tiande Chemical Holdings, Ltd.   24,000     3,716
Tiangong International Company, Ltd.   108,000     22,783
Tianjin Capital Environmental Protection Group Company, Ltd., H Shares   24,000     9,210
Tianjin Chase Sun Pharmaceutical Company, Ltd., Class A   20,700     11,174
Tianma Microelectronics Company, Ltd., Class A (A)   28,385     32,246
Tianneng Power International, Ltd.   78,000     73,137
Tianshan Aluminum Group Company, Ltd., Class A   25,100     22,209
Tianshui Huatian Technology Company, Ltd., Class A   26,300     28,095
Titan Wind Energy Suzhou Company, Ltd., Class A (A)   12,700     17,797
Tofflon Science & Technology Group Company, Ltd., Class A   9,400     18,870
 
  52  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Tong Ren Tang Technologies Company, Ltd., H Shares   42,000   $ 26,161
Tongdao Liepin Group (A)   16,800     6,408
TongFu Microelectronics Company, Ltd., Class A   6,800     20,858
Tongkun Group Company, Ltd., Class A (A)   12,900     23,957
Tongling Nonferrous Metals Group Company, Ltd., Class A   72,500     39,272
Tongwei Company, Ltd., Class A   26,700     91,314
Tongyu Heavy Industry Company, Ltd., Class A   32,200     10,204
Topsec Technologies Group, Inc., Class A (A)   7,000     6,783
Transfar Zhilian Company, Ltd., Class A   16,500     9,913
TravelSky Technology, Ltd., H Shares   32,000     38,815
Trigiant Group, Ltd. (A)   158,000     7,886
Trina Solar Company, Ltd., Class A   13,475     44,230
Trip.com Group, Ltd., ADR (A)   13,285     583,079
Uni-President China Holdings, Ltd.   104,000     74,043
Unisplendour Corp., Ltd., Class A (A)   11,600     35,255
Universal Scientific Industrial Shanghai Company, Ltd., Class A   10,400     19,754
Valiant Company, Ltd., Class A   3,500     6,475
Victory Giant Technology Huizhou Company, Ltd., Class A   9,400     31,842
Vipshop Holdings, Ltd., ADR   18,038     298,529
Viva Biotech Holdings (A)(B)   74,000     5,110
VNET Group, Inc., ADR (A)   7,345     11,385
Wangsu Science & Technology Company, Ltd., Class A   23,700     30,314
Wanxiang Qianchao Company, Ltd., Class A   23,700     16,106
Wasu Media Holding Company, Ltd., Class A   8,900     10,655
Weibo Corp., ADR   2,144     19,489
Weichai Power Company, Ltd., H Shares   98,000     186,995
Weifu High-Technology Group Company, Ltd., Class A   4,400     10,242
West China Cement, Ltd.   298,000     39,247
Western Securities Company, Ltd., Class A   28,800     26,934
Wingtech Technology Company, Ltd., Class A (A)   6,200     31,414
Winner Medical Company, Ltd., Class A   1,800     8,631
Wolong Electric Group Company, Ltd., Class A   10,400     25,128
Wuchan Zhongda Group Company, Ltd., Class A   41,000     24,868
Wuhu Token Science Company, Ltd., Class A   20,000     14,424
Wuxi Taiji Industry Company, Ltd., Class A (A)   16,400     15,003
XCMG Construction Machinery Company, Ltd., Class A   52,700     45,298
Xiamen Bank Company, Ltd., Class A   15,000     10,820
Xiamen C & D, Inc., Class A   9,700     13,635
Xiamen ITG Group Corp., Ltd., Class A   18,100     17,988
Xiamen Tungsten Company, Ltd., Class A   6,100     16,419
Xiamen Xiangyu Company, Ltd., Class A   17,400     15,724
Xianhe Company, Ltd., Class A   3,700     8,606
Xiaomi Corp., Class B (A)(B)   347,800     682,828
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Xinfengming Group Company, Ltd., Class A   8,700   $ 16,840
Xingda International Holdings, Ltd.   126,473     24,896
Xingfa Aluminium Holdings, Ltd.   29,000     29,063
Xinhua Winshare Publishing and Media Company, Ltd., H Shares   51,000     53,425
Xinjiang Tianshan Cement Company, Ltd., Class A   15,900     15,543
Xinjiang Zhongtai Chemical Company, Ltd., Class A   8,100     5,067
Xinte Energy Company, Ltd., H Shares (A)   28,400     37,997
Xinxing Ductile Iron Pipes Company, Ltd., Class A   33,500     17,908
Xinyi Energy Holdings, Ltd.   180,927     25,667
Xinyi Solar Holdings, Ltd.   248,000     192,570
Xinyu Iron & Steel Company, Ltd., Class A   24,700     11,933
XJ International Holdings Company, Ltd. (A)(B)   352,000     11,118
Xtep International Holdings, Ltd.   113,500     70,455
Xuji Electric Company, Ltd., Class A   5,200     17,338
Yantai Changyu Pioneer Wine Company, Ltd., Class A   3,400     10,587
Yantai Jereh Oilfield Services Group Company, Ltd., Class A   6,300     25,958
YiChang HEC ChangJiang Pharmaceutical Company, Ltd., H Shares (A)(B)   33,400     46,495
Yifan Pharmaceutical Company, Ltd., Class A (A)   5,200     7,908
Yiren Digital, Ltd., ADR (A)   5,014     22,613
Yixin Group, Ltd. (B)   153,000     12,920
Yixintang Pharmaceutical Group Company, Ltd., Class A   2,200     5,847
Yonfer Agricultural Technology Company, Ltd., Class A   5,900     8,565
YongXing Special Materials Technology Company, Ltd., Class A   2,800     18,403
Youngor Fashion Company, Ltd., Class A   10,400     10,044
YTO Express Group Company, Ltd., Class A   19,800     41,506
Yunda Holding Company, Ltd., Class A   22,200     22,071
Yunnan Aluminium Company, Ltd., Class A   18,600     35,111
Yunnan Baiyao Group Company, Ltd., Class A   6,160     43,059
Yunnan Copper Company, Ltd., Class A   10,000     17,994
Yunnan Energy New Material Company, Ltd., Class A   6,300     35,539
Yunnan Tin Company, Ltd., Class A   5,500     10,990
Zhefu Holding Group Company, Ltd., Class A   14,800     6,474
Zhejiang Century Huatong Group Company, Ltd., Class A (A)   30,600     20,157
Zhejiang China Commodities City Group Company, Ltd., Class A   28,122     34,140
Zhejiang Chint Electrics Company, Ltd., Class A   15,300     42,697
Zhejiang Crystal-Optech Company, Ltd., Class A   20,200     39,741
Zhejiang Dahua Technology Company, Ltd., Class A   13,200     34,020
 
  53  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Zhejiang Glass Company, Ltd., H Shares (A)(C)   162,000   $ 0
Zhejiang Hailiang Company, Ltd., Class A   6,500     8,184
Zhejiang Huace Film & Television Company, Ltd., Class A   11,400     14,895
Zhejiang Huayou Cobalt Company, Ltd., Class A   7,300     26,887
Zhejiang Jiahua Energy Chemical Industry Company, Ltd., Class A   8,500     9,250
Zhejiang Jingxin Pharmaceutical Company, Ltd., Class A   7,000     10,541
Zhejiang Longsheng Group Company, Ltd., Class A   17,400     20,033
Zhejiang NHU Company, Ltd., Class A   13,300     30,813
Zhejiang Orient Financial Holdings Group Company, Ltd., Class A   32,900     16,938
Zhejiang Orient Gene Biotech Company, Ltd., Class A   2,685     11,173
Zhejiang Semir Garment Company, Ltd., Class A   15,300     11,306
Zhejiang Wanliyang Company, Ltd., Class A   6,300     5,441
Zhejiang Xianju Pharmaceutical Company, Ltd., Class A   10,900     14,071
Zhejiang Xinan Chemical Industrial Group Company, Ltd., Class A   6,860     7,651
Zhengzhou Coal Mining Machinery Group Company, Ltd., H Shares   25,400     30,511
Zheshang Securities Company, Ltd., Class A   10,800     16,897
Zhong An Group, Ltd. (A)   409,000     5,180
Zhongjin Gold Corp., Ltd., Class A   18,300     31,336
Zhongshan Broad Ocean Motor Company, Ltd., Class A   20,000     13,815
Zhongsheng Group Holdings, Ltd.   55,000     95,533
Zhou Hei Ya International Holdings Company, Ltd. (A)(B)   118,500     26,219
Zhuhai Huafa Properties Company, Ltd., Class A   26,900     26,615
Zhuzhou CRRC Times Electric Company, Ltd., H Shares   24,300     77,089
Zhuzhou Kibing Group Company, Ltd., Class A   18,700     18,617
Zoomlion Heavy Industry Science and Technology Company, Ltd., H Shares   90,800     56,317
          46,119,990
Colombia - 0.1%          
Almacenes Exito SA, BDR (A)   13,280     33,257
Bancolombia SA   4,172     37,029
Cementos Argos SA   12,332     27,572
Grupo Argos SA   10,071     40,085
          137,943
Cyprus - 0.0%          
ASBISc Enterprises PLC   3,990     26,679
Czech Republic - 0.1%          
CEZ AS   580     20,703
Komercni banka AS   5,968     213,750
Moneta Money Bank AS (B)   8,428     36,630
          271,083
Greece - 0.5%          
Alpha Services and Holdings SA (A)   141,412     248,345
Bank of Greece   667     11,144
ElvalHalcor SA   5,799     12,269
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Greece (continued)          
Eurobank Ergasias Services and Holdings SA (A)   75,170   $ 144,536
Fourlis Holdings SA   3,756     17,220
HELLENiQ ENERGY Holdings SA   7,447     67,043
Intracom Holdings SA (A)   7,112     28,119
Motor Oil Hellas Corinth Refineries SA   3,657     108,897
Mytilineos SA   804     31,006
National Bank of Greece SA (A)   21,916     171,433
Piraeus Financial Holdings SA (A)   56,179     234,724
          1,074,736
Hong Kong - 2.8%          
Ajisen China Holdings, Ltd.   147,000     19,158
Alibaba Pictures Group, Ltd. (A)   590,000     34,359
Anxin-China Holdings, Ltd. (A)(C)   1,648,000     0
APT Satellite Holdings, Ltd.   28,000     7,800
Beijing Energy International Holding Company, Ltd.   814,000     9,998
Beijing Enterprises Holdings, Ltd.   54,000     156,827
Beijing Enterprises Water Group, Ltd.   438,000     97,496
BOE Varitronix, Ltd.   34,000     20,547
Brilliance China Automotive Holdings, Ltd.   216,000     149,076
C C Land Holdings, Ltd.   125,126     19,820
C&D International Investment Group, Ltd.   48,730     85,133
CECEP COSTIN New Materials Group, Ltd. (A)(C)   348,000     0
CGN New Energy Holdings Company, Ltd.   150,000     39,676
China Aerospace International Holdings, Ltd.   190,000     7,284
China Aircraft Leasing Group Holdings, Ltd.   23,000     8,922
China Boton Group Company, Ltd. (A)   20,000     4,448
China Education Group Holdings, Ltd.   37,329     20,005
China Everbright Greentech, Ltd. (B)   114,000     9,627
China Everbright, Ltd.   76,000     37,834
China Fiber Optic Network System Group, Ltd. (A)(C)   150,800     0
China Foods, Ltd.   74,000     27,524
China Gas Holdings, Ltd.   254,000     229,146
China High Speed Transmission Equipment Group Company, Ltd. (A)   45,000     4,437
China Jinmao Holdings Group, Ltd.   550,021     39,454
China Longevity Group Company, Ltd. (A)(C)   93,000     4,884
China Lumena New Materials Corp. (A)(C)   50,900     0
China Medical System Holdings, Ltd.   76,000     79,850
China Merchants Land, Ltd.   260,000     9,648
China Merchants Port Holdings Company, Ltd.   93,427     112,026
China Oil & Gas Group, Ltd. (A)   600,000     15,498
China Overseas Grand Oceans Group, Ltd.   205,920     45,856
China Overseas Land & Investment, Ltd.   265,000     382,460
China Resources Building Materials Technology Holdings, Ltd.   282,000     42,939
China Resources Gas Group, Ltd.   44,100     140,725
China Resources Land, Ltd.   274,000     869,247
China State Construction International Holdings, Ltd.   44,000     48,095
China Taiping Insurance Holdings Company, Ltd.   146,800     128,693
 
  54  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
China Traditional Chinese Medicine Holdings Company, Ltd.   286,000   $ 156,435
China Travel International Investment Hong Kong, Ltd.   260,000     43,572
Chu Kong Shipping Enterprises Group Company, Ltd.   26,000     2,692
CIMC Enric Holdings, Ltd.   70,000     71,357
CITIC Resources Holdings, Ltd.   488,000     25,610
Concord New Energy Group, Ltd.   690,000     54,725
COSCO SHIPPING International Hong Kong Company, Ltd.   59,625     25,604
COSCO SHIPPING Ports, Ltd.   167,235     91,825
CSSC Hong Kong Shipping Company, Ltd.   116,000     19,125
Dawnrays Pharmaceutical Holdings, Ltd.   117,000     17,490
Digital China Holdings, Ltd.   73,000     27,816
EVA Precision Industrial Holdings, Ltd.   96,000     9,093
Far East Horizon, Ltd.   169,000     125,323
GCL Technology Holdings, Ltd.   523,000     85,692
Geely Automobile Holdings, Ltd.   443,000     524,284
Gemdale Properties & Investment Corp., Ltd.   778,000     24,581
Glorious Property Holdings, Ltd. (A)   88,000     112
Goldlion Holdings, Ltd.   36,000     4,740
Goldpac Group, Ltd.   46,000     8,410
Grand Pharmaceutical Group, Ltd.   86,000     45,216
Health & Happiness H&H International Holdings, Ltd.   24,500     32,887
Hi Sun Technology China, Ltd. (A)   240,000     15,355
Hopson Development Holdings, Ltd. (A)   132,502     60,173
Hua Han Health Industry Holdings, Ltd. (A)(C)   880,000     0
IMAX China Holding, Inc. (B)   7,000     6,148
Joy City Property, Ltd.   328,000     10,071
Ju Teng International Holdings, Ltd.   130,000     17,597
Kingboard Holdings, Ltd.   73,630     150,329
Kingboard Laminates Holdings, Ltd.   17,500     12,956
Kunlun Energy Company, Ltd.   380,000     317,449
Lee & Man Chemical Company, Ltd.   12,000     4,954
Lee & Man Paper Manufacturing, Ltd.   129,000     38,984
Lee's Pharmaceutical Holdings, Ltd.   54,000     8,214
Lifestyle China Group, Ltd. (A)   42,000     3,168
LK Technology Holdings, Ltd.   37,500     15,362
LVGEM China Real Estate Investment Company, Ltd. (A)   60,000     5,222
Min Xin Holdings, Ltd.   24,000     7,024
Mingyuan Medicare Development Company, Ltd. (A)(C)   1,300,000     0
Minmetals Land, Ltd. (A)   118,000     4,000
New World Department Store China, Ltd. (A)   34,000     1,281
Nine Dragons Paper Holdings, Ltd. (A)   127,000     52,949
Orient Overseas International, Ltd.   9,000     107,733
PAX Global Technology, Ltd.   84,000     66,229
Poly Property Group Company, Ltd.   162,126     29,446
Pou Sheng International Holdings, Ltd.   223,000     19,089
Prinx Chengshan Holdings, Ltd.   18,000     15,871
Shandong Hi-Speed New Energy Group, Ltd. (A)   12,000     3,065
Shanghai Industrial Holdings, Ltd.   37,000     49,002
Shanghai Industrial Urban Development Group, Ltd. (A)   359,400     20,001
Shenzhen International Holdings, Ltd.   135,199     103,920
Shenzhen Investment, Ltd.   307,271     40,083
Shoucheng Holdings, Ltd.   64,000     11,784
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
Shougang Fushan Resources Group, Ltd.   164,565   $ 56,385
Silver Grant International Holdings Group, Ltd. (A)   160,000     2,068
Sino Biopharmaceutical, Ltd.   72,000     27,841
Sinofert Holdings, Ltd. (A)   300,000     31,448
Sinopec Kantons Holdings, Ltd.   86,000     39,790
Skyworth Group, Ltd.   149,794     56,756
Sun Art Retail Group, Ltd.   171,500     34,233
Symphony Holdings, Ltd.   20,000     2,071
TCL Electronics Holdings, Ltd. (A)   114,600     41,488
The Wharf Holdings, Ltd.   59,000     193,956
Tian An China Investment Company, Ltd.   54,000     29,527
Tianjin Port Development Holdings, Ltd.   478,000     34,279
Tomson Group, Ltd.   48,142     9,416
Truly International Holdings, Ltd.   136,000     13,220
United Energy Group, Ltd.   464,000     33,254
Vinda International Holdings, Ltd.   20,000     59,976
Wasion Holdings, Ltd.   90,000     65,137
Yuexiu Property Company, Ltd.   165,908     91,545
          6,324,930
Hungary - 0.2%          
MOL Hungarian Oil & Gas PLC   44,734     362,783
OTP Bank NYRT   1,021     46,999
          409,782
India - 18.5%          
ACC, Ltd.   5,847     174,324
Aditya Birla Capital, Ltd. (A)   55,560     117,690
Alembic Pharmaceuticals, Ltd.   4,559     53,918
Allcargo Logistics, Ltd. (A)   32,848     28,426
Allcargo Terminals, Ltd.   8,212     5,402
Amara Raja Energy & Mobility, Ltd.   6,610     60,711
Ambuja Cements, Ltd.   38,172     281,283
Andhra Sugars, Ltd.   6,880     7,667
Apar Industries, Ltd.   799     66,573
Apollo Tyres, Ltd.   28,578     160,951
Arvind, Ltd.   12,009     38,941
Ashoka Buildcon, Ltd. (A)   22,051     41,768
Aster DM Healthcare, Ltd. (A)(B)   8,448     41,274
Aurobindo Pharma, Ltd.   29,171     382,680
Avanti Feeds, Ltd.   1,998     11,568
Axis Bank, Ltd.   188,618     2,375,639
Axis Bank, Ltd., GDR   310     19,617
Bajaj Consumer Care, Ltd.   6,744     17,187
Bajaj Holdings & Investment, Ltd.   2,095     208,927
Balmer Lawrie & Company, Ltd.   11,041     31,662
Balrampur Chini Mills, Ltd.   17,968     78,028
Bandhan Bank, Ltd. (B)   38,291     82,929
Bank of Baroda   78,610     250,064
Bank of India   19,819     32,502
Bharat Heavy Electricals, Ltd.   72,839     216,840
Birla Corp., Ltd.   2,709     46,296
Bombay Burmah Trading Company   1,557     29,331
BSE, Ltd.   1,561     47,347
Canara Bank   30,693     215,220
Ceat, Ltd.   2,623     83,946
Century Enka, Ltd.   1,383     6,656
Century Textiles & Industries, Ltd.   2,062     40,362
Chambal Fertilisers & Chemicals, Ltd.   18,708     77,170
Chennai Super Kings Cricket, Ltd. (A)(C)   207,315     5,593
Cholamandalam Financial Holdings, Ltd.   7,288     98,470
CIE Automotive India, Ltd.   17,673     97,863
Cipla, Ltd.   26,900     483,267
City Union Bank, Ltd.   27,005     43,820
 
  55  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
Cochin Shipyard, Ltd. (B)   4,326   $ 45,384
Container Corp. of India, Ltd.   12,353     131,234
Coromandel International, Ltd.   4,413     57,188
Cosmo First, Ltd.   1,525     9,191
CSB Bank, Ltd. (A)   2,395     10,129
Cyient, Ltd.   3,658     87,217
Dalmia Bharat, Ltd.   4,987     116,555
DB Corp., Ltd.   6,129     19,477
DCB Bank, Ltd.   23,624     34,092
DCM Shriram, Ltd.   3,740     38,482
Deepak Fertilisers & Petrochemicals Corp., Ltd.   3,614     21,780
Delta Corp., Ltd.   4,521     5,984
Dhampur Sugar Mills, Ltd.   2,503     6,251
Dilip Buildcon, Ltd. (B)   1,316     7,209
Dish TV India, Ltd. (A)   48,852     9,876
Dishman Carbogen Amcis, Ltd. (A)   5,361     15,116
DLF, Ltd.   19,229     208,165
Dr. Reddy's Laboratories, Ltd.   1,290     95,068
Edelweiss Financial Services, Ltd.   46,814     35,878
EID Parry India, Ltd.   9,392     61,372
Electrosteel Castings, Ltd.   35,427     75,970
EPL, Ltd.   5,477     11,787
Equitas Small Finance Bank, Ltd. (B)   13,945     15,500
Exide Industries, Ltd.   26,285     96,788
FDC, Ltd. (A)   2,601     13,307
Federal Bank, Ltd.   191,615     345,531
Filatex India, Ltd.   25,766     18,254
Finolex Industries, Ltd.   25,360     75,078
Firstsource Solutions, Ltd.   16,189     38,625
Gabriel India, Ltd.   6,164     24,695
GAIL India, Ltd.   202,481     442,801
GHCL Textiles, Ltd. (A)   6,390     5,830
GHCL, Ltd.   6,390     34,063
Glenmark Pharmaceuticals, Ltd.   13,855     158,991
Godawari Power & Ispat, Ltd.   4,744     42,993
Godfrey Phillips India, Ltd.   2,008     74,697
Godrej Industries, Ltd. (A)   2,755     25,787
Granules India, Ltd.   18,305     94,949
Graphite India, Ltd.   3,611     26,182
Grasim Industries, Ltd.   20,596     570,896
Gujarat Alkalies & Chemicals, Ltd.   3,130     25,236
Gujarat Ambuja Exports, Ltd.   21,456     40,849
Gujarat Narmada Valley Fertilizers & Chemicals, Ltd.   9,725     73,174
Gujarat Pipavav Port, Ltd.   15,449     39,535
Gujarat State Fertilizers & Chemicals, Ltd.   6,962     16,411
Gujarat State Petronet, Ltd.   26,721     113,061
Hathway Cable & Datacom, Ltd. (A)   35,580     8,360
HDFC Bank, Ltd.   92,574     1,613,267
HEG, Ltd.   765     16,924
Heritage Foods, Ltd.   5,330     21,660
Hero MotoCorp, Ltd.   5,985     340,365
HFCL, Ltd.   15,595     17,189
HIL, Ltd.   308     9,630
Himadri Speciality Chemical, Ltd.   24,869     90,184
Hindalco Industries, Ltd.   128,394     869,343
Hinduja Global Solutions, Ltd.   372     3,304
Hindustan Aeronautics, Ltd.   3,171     127,427
ICICI Bank, Ltd.   178,416     2,358,093
ICICI Bank, Ltd., ADR   2,560     67,610
IDFC First Bank, Ltd. (A)   182,530     165,817
IDFC, Ltd. (A)   92,305     123,277
IIFL Finance, Ltd.   7,295     29,724
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
IIFL Securities, Ltd.   28,932   $ 42,768
Indiabulls Housing Finance, Ltd.   33,338     67,162
Indiabulls Housing Finance, Ltd., Partly Paid Shares (A)   16,669     16,718
Indiabulls Real Estate, Ltd. (A)   28,092     39,335
Indian Bank   13,953     87,643
Indian Railway Finance Corp., Ltd. (B)   56,808     97,901
Indo Count Industries, Ltd.   3,259     13,863
Indus Towers, Ltd. (A)   55,200     193,177
IndusInd Bank, Ltd.   26,682     497,790
Info Edge India, Ltd.   2,902     194,251
IOL Chemicals and Pharmaceuticals, Ltd.   1,292     5,618
IRCON International, Ltd. (B)   17,211     45,287
Jagran Prakashan, Ltd. (A)   12,700     15,654
Jindal Poly Films, Ltd.   1,066     5,765
Jindal Saw, Ltd.   26,589     138,286
Jindal Stainless, Ltd.   21,977     183,179
Jindal Steel & Power, Ltd.   46,062     472,864
Jio Financial Services, Ltd. (A)   117,408     499,359
JK Lakshmi Cement, Ltd.   2,089     22,034
JK Paper, Ltd.   7,330     28,413
JK Tyre & Industries, Ltd.   8,887     46,286
JM Financial, Ltd.   33,116     29,616
JSW Energy, Ltd.   21,365     135,720
JSW Steel, Ltd.   79,922     801,673
Jubilant Pharmova, Ltd.   9,201     62,704
Kalpataru Projects International, Ltd.   9,196     117,268
Kalyani Steels, Ltd.   2,643     27,176
Kaveri Seed Company, Ltd.   1,661     12,522
Kirloskar Ferrous Industries, Ltd.   4,164     27,006
Kirloskar Oil Engines, Ltd.   3,612     37,296
KNR Constructions, Ltd.   5,559     16,448
Kolte-Patil Developers, Ltd.   3,028     16,710
KRBL, Ltd.   4,567     15,241
L&T Finance Holdings, Ltd.   74,021     141,513
Larsen & Toubro, Ltd.   32,747     1,481,517
LG Balakrishnan & Bros, Ltd.   1,757     26,899
LIC Housing Finance, Ltd.   39,247     289,675
LT Foods, Ltd.   11,217     25,151
Lupin, Ltd.   11,997     233,915
Maharashtra Seamless, Ltd.   8,424     85,343
Mahindra & Mahindra Financial Services, Ltd.   48,327     161,573
Mahindra & Mahindra, Ltd.   66,664     1,535,220
Maithan Alloys, Ltd.   902     10,593
Manappuram Finance, Ltd.   43,917     91,633
Marksans Pharma, Ltd.   15,357     28,054
Mazagon Dock Shipbuilders, Ltd.   1,867     41,726
Meghmani Organics, Ltd.   9,521     9,081
MOIL, Ltd.   12,580     42,087
MRF, Ltd.   136     218,548
Muthoot Finance, Ltd.   7,383     131,153
Natco Pharma, Ltd.   4,554     52,084
National Aluminium Company, Ltd.   84,797     156,428
Nava, Ltd.   8,719     50,831
Navneet Education, Ltd.   6,921     11,532
NCC, Ltd.   25,675     71,859
NESCO, Ltd.   1,859     18,645
Neuland Laboratories, Ltd.   358     27,488
NIIT Learning Systems, Ltd.   6,437     38,522
NIIT, Ltd.   6,437     8,152
Nilkamal, Ltd.   695     14,293
NMDC Steel, Ltd. (A)   47,542     31,456
NMDC, Ltd.   61,234     148,842
 
  56  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
NOCIL, Ltd.   7,663   $ 23,123
Nuvama Wealth Management, Ltd. (A)   522     29,552
Oberoi Realty, Ltd.   6,095     107,777
Orient Cement, Ltd.   11,282     26,495
Paisalo Digital, Ltd.   30,078     21,804
PC Jeweller, Ltd. (A)   10,118     6,479
PCBL, Ltd.   15,470     49,626
Petronet LNG, Ltd.   68,687     218,147
Piramal Enterprises, Ltd.   7,074     72,166
Piramal Pharma, Ltd. (A)   34,799     53,736
PNB Housing Finance, Ltd. (A)(B)   5,239     39,541
PNC Infratech, Ltd.   5,394     28,222
Polyplex Corp., Ltd.   2,563     23,600
Power Finance Corp., Ltd.   120,296     566,290
Prestige Estates Projects, Ltd.   13,348     188,560
PTC India, Ltd.   31,315     70,044
Punjab National Bank   97,317     145,871
Quess Corp., Ltd. (B)   1,882     11,692
Rain Industries, Ltd.   22,684     40,921
Rajesh Exports, Ltd. (A)   6,037     18,997
Rallis India, Ltd.   6,940     20,858
Ramco Industries, Ltd.   4,270     10,315
Ramkrishna Forgings, Ltd.   5,365     44,692
Rashtriya Chemicals & Fertilizers, Ltd.   10,276     15,843
Raymond, Ltd.   2,380     51,665
RBL Bank, Ltd. (B)   25,675     74,435
REC, Ltd.   118,880     646,346
Redington, Ltd.   76,545     190,972
Reliance Industries, Ltd.   21,228     758,717
Reliance Industries, Ltd., GDR (B)   87,194     6,231,392
Reliance Power, Ltd. (A)   176,129     59,711
Repco Home Finance, Ltd.   7,034     33,806
Sagar Cements, Ltd.   2,218     5,557
Samvardhana Motherson International, Ltd.   178,255     251,180
Sarda Energy & Minerals, Ltd.   2,970     7,237
Sharda Cropchem, Ltd.   2,311     8,924
Shilpa Medicare, Ltd. (A)   3,711     20,429
Shipping Corp. of India Land & Assets, Ltd. (A)   14,077     6,734
Shipping Corp. of India, Ltd.   14,077     35,351
Shriram Finance, Ltd.   20,168     572,085
Siyaram Silk Mills, Ltd.   1,656     8,708
Sobha, Ltd.   3,144     54,420
State Bank of India   114,368     1,036,603
State Bank of India, GDR   3,185     288,635
Steel Authority of India, Ltd.   106,244     171,937
Strides Pharma Science, Ltd.   2,675     25,229
Sun Pharmaceutical Industries, Ltd.   21,745     425,011
Sun TV Network, Ltd.   7,964     57,083
Sundaram-Clayton DCD, Ltd. (A)(C)   444     5,437
Sunteck Realty, Ltd.   1,942     9,069
Surya Roshni, Ltd.   7,864     47,887
Tamil Nadu Newsprint & Papers, Ltd.   7,174     21,217
Tata Chemicals, Ltd.   12,388     161,367
Tata Consumer Products, Ltd.   8,548     112,945
Tata Steel, Ltd.   583,100     1,095,856
TCPL Beverages & Foods, Ltd. (A)(C)   176     1,637
Techno Electric & Engineering Company, Ltd.   5,011     46,213
The Great Eastern Shipping Company, Ltd.   12,279     147,099
The India Cements, Ltd. (A)   11,167     28,681
The Jammu & Kashmir Bank, Ltd.   20,576     33,234
The Karnataka Bank, Ltd.   29,158     78,924
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
The Karur Vysya Bank, Ltd.   52,341   $ 115,174
The Ramco Cements, Ltd.   4,076     40,104
The South Indian Bank, Ltd.   168,052     55,432
Thirumalai Chemicals, Ltd.   3,185     8,952
Time Technoplast, Ltd.   13,461     40,547
TransIndia Real Estate, Ltd. (A)   8,212     4,592
Transport Corp. of India, Ltd.   3,182     31,181
Triveni Engineering & Industries, Ltd.   5,107     19,026
TV Today Network, Ltd.   1,470     3,740
TVS Holdings, Ltd. (A)   444     43,453
Uflex, Ltd.   5,261     25,670
Unichem Laboratories, Ltd. (A)   3,296     19,643
Union Bank of India, Ltd.   111,725     206,748
UPL, Ltd.   42,377     232,213
Usha Martin, Ltd.   9,317     35,847
VA Tech Wabag, Ltd. (A)   3,621     33,278
Vardhman Textiles, Ltd.   16,115     86,243
Varroc Engineering, Ltd. (A)(B)   2,965     18,280
Vedanta, Ltd.   48,318     158,693
Venky's India, Ltd.   433     8,018
Vodafone Idea, Ltd. (A)   275,824     44,100
Voltamp Transformers, Ltd.   332     38,167
Welspun Corp., Ltd.   14,025     86,475
Welspun Enterprises, Ltd.   8,780     32,004
Welspun Living, Ltd.   26,791     44,443
West Coast Paper Mills, Ltd.   3,023     21,570
Wipro, Ltd.   95,587     553,906
Wockhardt, Ltd. (A)   5,480     38,507
Yes Bank, Ltd. (A)   372,455     103,806
Zee Entertainment Enterprises, Ltd. (A)   63,894     106,896
Zee Media Corp., Ltd. (A)   54,429     6,779
Zensar Technologies, Ltd.   8,726     63,318
Zomato, Ltd. (A)   87,379     191,581
Zydus Lifesciences, Ltd.   10,658     129,903
Zydus Wellnes, Ltd.   386     6,809
          41,938,452
Indonesia - 1.5%          
Ace Hardware Indonesia Tbk PT   539,700     29,960
Adaro Energy Indonesia Tbk PT   1,626,200     277,079
Adhi Karya Persero Tbk PT (A)   235,600     4,341
Alam Sutera Realty Tbk PT (A)   1,741,800     17,250
Aneka Tambang Tbk   671,800     67,865
Astra Agro Lestari Tbk PT   49,555     21,570
Astra International Tbk PT   1,762,000     572,457
Bakrie Telecom Tbk PT (A)(C)   17,557,300     27,684
Bank BTPN Syariah Tbk PT   125,100     10,698
Bank Capital Indonesia Tbk PT (A)   638,900     5,238
Bank Negara Indonesia Persero Tbk PT   596,862     222,192
Bank OCBC Nisp Tbk PT   78,500     6,785
Bank Pan Indonesia Tbk PT (A)   465,597     33,769
Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT   303,812     23,188
Bank Pembangunan Daerah Jawa Timur Tbk PT   625,600     23,681
Bank Tabungan Negara Persero Tbk PT   498,774     48,936
Bekasi Fajar Industrial Estate Tbk PT (A)   817,800     6,606
BISI International Tbk PT   290,800     37,414
Blue Bird Tbk PT   5,500     607
Buana Lintas Lautan Tbk PT (A)(C)   1,186,800     7,785
Bukalapak.com PT Tbk (A)   4,072,400     39,045
Bukit Asam Tbk PT   380,100     71,229
Bumi Resources Minerals Tbk PT (A)   3,607,900     34,159
Bumi Resources Tbk PT (A)   4,160,100     22,032
Bumi Serpong Damai Tbk PT (A)   148,600     9,240
 
  57  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Indonesia (continued)          
Charoen Pokphand Indonesia Tbk PT   41,000   $ 13,579
Ciputra Development Tbk PT   1,127,244     92,468
Dayamitra Telekomunikasi PT   698,700     27,102
Delta Dunia Makmur Tbk PT   610,700     15,797
Elang Mahkota Teknologi Tbk PT   1,493,800     41,088
Elnusa Tbk PT   742,600     18,094
Erajaya Swasembada Tbk PT   1,113,500     30,189
Gudang Garam Tbk PT   42,600     53,473
Harum Energy Tbk PT (A)   256,000     21,791
Indah Kiat Pulp & Paper Tbk PT   279,700     168,895
Indika Energy Tbk PT   225,300     21,244
Indo Tambangraya Megah Tbk PT   34,600     58,289
Indocement Tunggal Prakarsa Tbk PT   87,900     48,537
Indofood Sukses Makmur Tbk PT   445,800     179,272
Japfa Comfeed Indonesia Tbk PT   499,770     37,516
Jaya Real Property Tbk PT   215,500     8,836
Kawasan Industri Jababeka Tbk PT (A)   2,384,099     18,796
Krakatau Steel Persero Tbk PT (A)   733,900     6,622
Lippo Karawaci Tbk PT (A)   4,020,148     17,244
Malindo Feedmill Tbk PT (A)   128,500     4,093
Medco Energi Internasional Tbk PT   877,026     79,431
Media Nusantara Citra Tbk PT   718,600     15,320
Metrodata Electronics Tbk PT   347,700     13,048
Mitra Pinasthika Mustika Tbk PT   300,400     19,614
Multipolar Tbk PT (A)   1,981,400     6,373
Pabrik Kertas Tjiwi Kimia Tbk PT   101,200     45,473
Pakuwon Jati Tbk PT   772,100     20,658
Panin Financial Tbk PT (A)   949,400     17,009
Paninvest Tbk PT (A)   116,800     6,962
Perusahaan Perkebunan London Sumatra Indonesia Tbk PT   318,000     17,950
PP Persero Tbk PT (A)   292,600     8,902
Prodia Widyahusada Tbk PT   19,800     4,872
Puradelta Lestari Tbk PT   1,584,700     16,590
Ramayana Lestari Sentosa Tbk PT   463,200     13,789
Salim Ivomas Pratama Tbk PT   670,100     16,146
Samudera Indonesia Tbk PT   784,800     15,150
Sawit Sumbermas Sarana Tbk PT   164,100     10,762
Semen Indonesia Persero Tbk PT   296,292     110,255
Sri Rejeki Isman Tbk PT (A)(C)   1,260,900     11,611
Summarecon Agung Tbk PT   627,000     20,971
Surya Citra Media Tbk PT   1,429,000     12,709
Surya Esa Perkasa Tbk PT   400,900     17,079
Suryainti Permata Tbk PT (A)(C)   1,446,000     0
Timah Tbk PT   210,500     11,016
Truba Alam Manunggal Engineering PT (A)(C)   11,991,500     0
Tunas Baru Lampung Tbk PT   554,057     23,414
United Tractors Tbk PT   169,300     258,186
Vale Indonesia Tbk PT   188,500     48,379
Waskita Karya Persero Tbk PT (A)(C)   596,656     4,561
Wijaya Karya Persero Tbk PT (A)(C)   349,400     5,289
XL Axiata Tbk PT   494,171     70,441
          3,425,695
Kuwait - 0.6%          
A'ayan Leasing & Investment Company KSCP   44,736     26,490
Agility Public Warehousing Company KSC (A)   120,075     260,007
Al Ahli Bank of Kuwait KSCP   71,821     59,278
Alimtiaz Investment Group KSC (A)   14,768     2,275
Arzan Financial Group for Financing & Investment KPSC   50,076     31,743
Boubyan Petrochemicals Company KSCP   37,467     75,247
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Kuwait (continued)          
Burgan Bank SAK   86,167   $ 57,993
Combined Group Contracting Company SAK   10,000     14,268
Commercial Facilities Company SAKP   19,089     11,918
Gulf Bank KSCP   178,125     170,234
Gulf Cables & Electrical Industries Group Company KSCP   9,328     40,637
Integrated Holding Company KCSC   11,650     20,110
Kuwait Financial Centre SAK   34,781     15,052
Kuwait International Bank KSCP   105,646     58,387
Mezzan Holding Company KSCC   7,110     15,195
Mobile Telecommunications Company KSCP   192,134     306,614
National Industries Group Holding SAK   152,298     108,933
National Investments Company KSCP   29,338     25,272
Warba Bank KSCP   121,943     73,727
          1,373,380
Malaysia - 1.5%          
Aeon Company M BHD   28,600     6,648
AFFIN Bank BHD   87,281     45,362
Alliance Bank Malaysia BHD   102,300     79,546
AMMB Holdings BHD   142,862     125,824
Axiata Group BHD   207,200     117,860
Bank Islam Malaysia BHD   52,500     28,538
Batu Kawan BHD   3,100     13,052
Berjaya Assets BHD (A)   77,400     5,318
Berjaya Corp. BHD (A)   465,865     29,584
Berjaya Land BHD (A)   244,400     19,392
Bumi Armada BHD (A)   383,700     46,506
Cahya Mata Sarawak BHD   52,100     10,190
CIMB Group Holdings BHD   473,164     655,451
DRB-Hicom BHD   93,400     28,822
Eastern & Oriental BHD (A)   126,400     27,003
Eco World Development Group BHD   84,300     27,062
Ekovest BHD (A)   146,600     15,198
FGV Holdings BHD   33,400     9,746
Gamuda BHD   110,905     123,509
Genting BHD   138,000     137,772
Genting Malaysia BHD   199,000     114,923
Genting Plantations BHD   22,400     29,110
Hengyuan Refining Company BHD (A)   16,800     11,432
Hiap Teck Venture BHD   118,300     9,360
Hibiscus Petroleum BHD   68,760     37,143
Hong Leong Financial Group BHD   18,299     63,406
IJM Corp. BHD   211,160     108,109
IOI Properties Group BHD   72,700     34,596
JAKS Resources BHD (A)   177,060     5,611
Jaya Tiasa Holdings BHD   58,826     17,539
Keck Seng Malaysia BHD   11,300     13,761
KNM Group BHD (A)   571,500     10,251
Kossan Rubber Industries BHD   85,200     35,284
Land & General BHD   437,820     11,520
Lotte Chemical Titan Holding BHD (A)(B)   30,231     7,222
Magnum BHD   110,314     26,572
Mah Sing Group BHD   192,300     50,429
Malayan Banking BHD   33,237     67,788
Malaysia Building Society BHD (A)   190,704     32,071
Malaysian Resources Corp. BHD   207,000     28,904
Matrix Concepts Holdings BHD   26,100     9,932
MBM Resources BHD   11,400     11,176
Mega First Corp. BHD   38,500     35,300
MISC BHD   75,300     121,755
MKH BHD   49,230     13,948
 
  58  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Malaysia (continued)          
MKH Oil Palm East Kalimantan SDN BHD (A)(C)   7,032   $ 1,144
MNRB Holdings BHD   36,891     13,941
Muhibbah Engineering M BHD (A)   103,950     17,905
Oriental Holdings BHD   35,720     47,474
OSK Holdings BHD   111,397     34,639
Pantech Group Holdings BHD   47,900     9,569
Pos Malaysia BHD (A)   30,900     3,137
PPB Group BHD   30,500     100,547
RHB Bank BHD   142,596     170,031
Sapura Energy BHD (A)   655,500     6,858
Sarawak Oil Palms BHD   11,700     7,617
Sime Darby BHD   255,000     140,191
Sime Darby Property BHD   271,300     52,736
SP Setia BHD Group   173,900     52,253
Supermax Corp. BHD   40,500     6,977
Tan Chong Motor Holdings BHD   6,300     1,205
Top Glove Corp. BHD (A)   277,600     46,934
Tropicana Corp. BHD (A)   161,380     42,552
TSH Resources BHD   114,900     27,453
UEM Edgenta BHD   32,900     6,598
UEM Sunrise BHD   169,800     43,493
United Malacca BHD   11,900     12,676
UOA Development BHD   152,100     60,114
Velesto Energy BHD (A)   428,800     26,340
WCT Holdings BHD   194,483     22,412
Yinson Holdings BHD   74,200     36,364
YNH Property BHD (A)   6,819     772
YTL Corp. BHD   82,037     45,250
          3,496,707
Mexico - 3.0%          
Alfa SAB de CV, Class A   370,181     274,215
Alpek SAB de CV (A)   31,500     23,082
Banco del Bajio SA (B)   47,395     183,750
Cemex SAB de CV, Series CPO (A)   730,985     659,774
Consorcio ARA SAB de CV   25,993     4,995
Controladora AXTEL SAB DE CV (A)   370,181     5,668
Corp. Actinver SAB de CV   16,024     14,360
El Puerto de Liverpool SAB de CV, Series C1   11,379     98,733
Fomento Economico Mexicano SAB de CV   40,053     524,735
Genomma Lab Internacional SAB de CV, Class B   42,701     40,338
Gentera SAB de CV   132,851     227,799
Grupo Carso SAB de CV, Series A1   21,678     195,297
Grupo Comercial Chedraui SA de CV   8,651     69,964
Grupo Financiero Banorte SAB de CV, Series O   103,198     1,097,909
Grupo Financiero Inbursa SAB de CV, Series O (A)   97,071     299,581
Grupo KUO SAB de CV, Series B (A)   42,698     109,350
Grupo Mexico SAB de CV, Series B   190,885     1,138,536
Grupo Pochteca SAB de CV (A)   9,600     4,187
Grupo Televisa SAB, Series CPO   151,286     95,742
Grupo Traxion SAB de CV (A)(B)   23,295     43,243
Industrias CH SAB de CV, Series B (A)   18,800     215,921
Industrias Penoles SAB de CV (A)   10,071     143,747
La Comer SAB de CV   39,504     92,984
Megacable Holdings SAB de CV, Series CPO   56,817     158,387
Minera Frisco SAB de CV, Series A1 (A)   166,263     35,687
Nemak SAB de CV (A)(B)   196,961     38,810
Ollamani SAB (A)   7,564     13,718
Orbia Advance Corp. SAB de CV   73,770     154,367
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Mexico (continued)          
Organizacion Cultiba SAB de CV (A)   17,095   $ 11,884
Organizacion Soriana SAB de CV, Series B   190,849     389,832
Promotora y Operadora de Infraestructura SAB de CV   15,780     167,759
Promotora y Operadora de Infraestructura SAB de CV, L Shares   3,141     20,810
Regional SAB de CV   14,634     144,681
Vista Energy SAB de CV, ADR (A)   1,887     78,084
Vitro SAB de CV, Series A   6,357     4,152
          6,782,081
Panama - 0.0%          
BAC Holding International Corp.   12,573     820
Philippines - 0.7%          
ACEN Corp.   349,837     23,929
Alliance Global Group, Inc.   232,800     42,103
Ayala Corp.   10,150     115,497
Ayala Land, Inc.   44,200     25,404
BDO Unibank, Inc.   89,252     245,173
China Banking Corp.   75,528     49,002
Converge Information and Communications Technology Solutions, Inc. (A)   94,800     16,806
Cosco Capital, Inc.   388,900     34,125
DMCI Holdings, Inc.   207,300     41,922
East West Banking Corp.   74,300     12,055
Filinvest Development Corp.   119,475     12,082
Filinvest Land, Inc.   937,500     11,375
First Philippine Holdings Corp.   29,660     34,281
Global Ferronickel Holdings, Inc.   283,424     9,125
Globe Telecom, Inc.   680     21,398
GT Capital Holdings, Inc.   6,719     84,149
JG Summit Holdings, Inc.   157,922     102,352
LT Group, Inc.   159,800     28,382
Megaworld Corp.   839,700     28,676
Metropolitan Bank & Trust Company   130,973     152,113
Petron Corp.   289,400     16,482
Philex Mining Corp.   161,300     8,434
Philippine National Bank (A)   65,310     22,924
Philtown Properties, Inc. (A)(C)   3,844     105
Phoenix Petroleum Philippines, Inc. (A)   22,200     1,737
PNB Holdings Corp. (A)(C)   10,246     58
Premium Leisure Corp. (A)   815,000     12,043
Puregold Price Club, Inc.   79,400     37,863
RFM Corp.   133,500     7,738
Rizal Commercial Banking Corp.   62,703     26,172
Robinsons Land Corp.   172,268     51,187
Robinsons Retail Holdings, Inc.   16,680     11,087
San Miguel Corp.   46,220     90,398
Security Bank Corp.   27,730     33,850
Top Frontier Investment Holdings, Inc. (A)   18,024     29,044
Union Bank of the Philippines   88,427     70,863
Vista Land & Lifescapes, Inc.   569,000     16,073
          1,526,007
Poland - 0.9%          
Alior Bank SA (A)   7,988     195,566
Arctic Paper SA   1,891     9,941
Asseco Poland SA   5,280     102,426
Bank Polska Kasa Opieki SA   983     44,671
Cognor Holding SA   7,020     14,887
Cyfrowy Polsat SA (A)   12,426     33,393
Enea SA (A)   29,032     68,033
Grupa Azoty SA (A)   2,904     16,203
 
  59  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Poland (continued)          
Jastrzebska Spolka Weglowa SA (A)   4,702   $ 43,706
KGHM Polska Miedz SA   8,799     251,293
Lubelski Wegiel Bogdanka SA   2,164     18,194
ORLEN SA   57,487     936,343
PGE Polska Grupa Energetyczna SA (A)   71,591     128,985
PKP Cargo SA (A)   5,709     18,681
Polimex-Mostostal SA (A)   8,593     9,023
Stalexport Autostrady SA   15,820     13,195
Tauron Polska Energia SA (A)   109,342     83,751
          1,988,291
Qatar - 0.8%          
Aamal Company (A)   210,501     44,018
Alijarah Holding Company QPSC   77,548     14,555
Baladna   72,138     23,066
Barwa Real Estate Company   172,659     130,918
Commercial Bank PSQC   196,768     266,731
Doha Bank QPSC   182,415     74,698
Doha Insurance Company QSC   25,407     15,492
Estithmar Holding QPSC (A)   135,965     71,206
Gulf International Services QSC   102,379     75,606
Gulf Warehousing Company   19,525     17,455
Masraf Al Rayan QSC   352,036     229,481
Mazaya Real Estate Development QPSC   59,396     10,726
Medicare Group   30,274     35,575
Mesaieed Petrochemical Holding Company   223,749     120,550
Ooredoo QPSC   80,019     233,017
Qatar Aluminum Manufacturing Company   84,909     30,695
Qatar Insurance Company SAQ   84,113     52,013
Qatar National Cement Company QSC   33,862     33,679
Qatar Navigation QSC   59,146     171,256
Salam International Investment, Ltd., QSC   94,802     16,389
United Development Company QSC   177,150     54,995
Vodafone Qatar QSC   116,169     55,753
          1,777,874
Russia - 0.0%          
Gazprom PJSC, ADR (A)(C)   196,506     19,651
LUKOIL PJSC, ADR (A)(C)   16,379     37,967
Rosneft Oil Company PJSC, GDR (London Stock Exchange) (A)(C)   1,686     307
RusHydro PJSC, ADR (A)(C)   52,278     1,255
VTB Bank PJSC, GDR (A)(C)   86,297     1,208
          60,388
Saudi Arabia - 3.9%          
Al Babtain Power & Telecommunication Company   2,982     31,264
Al Jouf Agricultural Development Company   910     13,240
Al Jouf Cement Company (A)   5,694     17,211
AlAbdullatif Industrial Investment Company (A)   1,743     7,941
Al-Etihad Cooperative Insurance Company (A)   3,051     20,018
AlJazira Takaful Ta'awuni Company (A)   2,630     13,267
Alujain Corp. (A)   2,675     28,690
Amlak International Finance Company   2,768     10,330
Arab National Bank   60,610     477,734
Arabia Insurance Cooperative Company (A)   2,449     10,870
Arabian Cement Company   4,196     35,949
Arabian Shield Cooperative Insurance Company (A)   4,765     27,588
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Saudi Arabia (continued)          
Arriyadh Development Company   5,359   $ 34,297
Bank Al-Jazira (A)   39,050     208,275
Banque Saudi Fransi   45,471     472,469
City Cement Company   6,807     36,997
Dar Al Arkan Real Estate Development Company (A)   52,148     192,184
Eastern Province Cement Company   3,671     34,569
Emaar Economic City (A)   37,238     82,372
Etihad Etisalat Company   33,591     471,035
Hail Cement Company   4,570     13,787
Jazan Development and Investment Company (A)   2,068     9,581
L'Azurde Company for Jewelry   2,204     9,934
Methanol Chemicals Company (A)   2,886     12,837
Mobile Telecommunications Company Saudi Arabia   47,765     160,670
Najran Cement Company   7,837     21,501
National Industrialization Company (A)   23,414     82,640
Nayifat Finance Company (A)   5,233     19,924
Northern Region Cement Company   10,351     27,593
Rabigh Refining & Petrochemical Company (A)   27,500     54,319
Riyad Bank   9,364     74,439
Sahara International Petrochemical Company   35,187     290,368
Saudi Awwal Bank   79,835     883,584
Saudi Basic Industries Corp.   68,764     1,432,149
Saudi Ceramic Company (A)   2,221     20,165
Saudi Chemical Company Holding   34,563     64,544
Saudi Industrial Investment Group   21,658     129,222
Saudi Kayan Petrochemical Company (A)   70,876     170,457
Saudi Marketing Company   2,495     18,327
Saudi Telecom Company   15,396     162,531
Seera Group Holding (A)   16,962     128,352
SHL Finance Company   4,742     21,297
Sinad Holding Company (A)   4,643     16,530
Southern Province Cement Company   3,125     32,736
Sustained Infrastructure Holding Company   2,229     22,955
Tabuk Cement Company (A)   4,675     16,319
Taiba Investments Company (A)   3,329     32,962
The National Company for Glass Industries   912     10,230
The Saudi Investment Bank   43,032     190,017
The Saudi National Bank   201,369     2,191,703
The Savola Group   7,399     111,406
Umm Al-Qura Cement Company (A)   2,316     9,235
Yamama Cement Company   11,422     102,458
Yanbu National Petrochemical Company   15,128     150,191
          8,921,263
Singapore - 0.0%          
BOC Aviation, Ltd. (B)   8,100     62,489
South Africa - 2.6%          
Absa Group, Ltd.   60,222     470,172
AECI, Ltd.   11,686     57,395
African Rainbow Minerals, Ltd.   9,980     86,535
Aspen Pharmacare Holdings, Ltd.   28,333     328,452
Astral Foods, Ltd. (A)   2,733     20,457
Balwin Properties, Ltd.   6,271     623
Barloworld, Ltd.   21,853     70,470
Blue Label Telecoms, Ltd. (A)   44,582     11,014
Caxton & CTP Publishers & Printers, Ltd.   19,879     10,560
DataTec, Ltd.   21,618     43,241
 
  60  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Africa (continued)          
Exxaro Resources, Ltd.   20,960   $ 187,243
Grindrod, Ltd.   45,556     31,165
Harmony Gold Mining Company, Ltd.   4,173     34,506
Harmony Gold Mining Company, Ltd., ADR   27,692     226,244
Hudaco Industries, Ltd.   5,065     42,416
Impala Platinum Holdings, Ltd.   78,568     324,582
Investec, Ltd.   9,367     61,783
KAP, Ltd. (A)   257,249     35,289
Lewis Group, Ltd.   14,408     33,068
Life Healthcare Group Holdings, Ltd.   82,813     75,142
Metair Investments, Ltd. (A)   23,633     16,698
Momentum Metropolitan Holdings   107,651     115,518
Motus Holdings, Ltd.   14,065     64,949
Mpact, Ltd.   23,460     32,880
MTN Group, Ltd.   116,643     577,124
Naspers, Ltd., N Shares   857     151,917
Nedbank Group, Ltd.   30,206     364,423
Oceana Group, Ltd.   8,436     31,334
Old Mutual, Ltd.   369,175     228,904
Omnia Holdings, Ltd.   19,012     59,324
Pepkor Holdings, Ltd. (B)   136,329     135,822
PPC, Ltd. (A)   168,790     29,435
Raubex Group, Ltd.   20,799     33,999
RCL Foods, Ltd. (A)   35,643     18,788
Reunert, Ltd.   9,501     33,085
Sappi, Ltd.   61,862     164,030
Sasol, Ltd.   48,409     374,100
Sibanye Stillwater, Ltd.   166,515     190,575
Sibanye Stillwater, Ltd., ADR (D)   6,879     32,400
Standard Bank Group, Ltd.   60,439     591,299
Super Group, Ltd.   42,421     57,584
Telkom SA SOC, Ltd. (A)   37,622     59,499
The Foschini Group, Ltd.   29,021     152,802
The SPAR Group, Ltd. (A)   2,297     10,732
Thungela Resources, Ltd.   9,946     63,993
Trencor, Ltd. (A)   40,666     15,614
Wilson Bayly Holmes-Ovcon, Ltd. (A)   1,735     12,455
Zeda, Ltd. (A)   21,853     12,751
          5,782,391
South Korea - 12.9%          
Advanced Process Systems Corp.   893     14,355
Aekyung Chemical Company, Ltd.   2,081     19,971
Ajin Industrial Company, Ltd.   8,098     23,964
AK Holdings, Inc.   743     8,597
AMOREPACIFIC Group   1,900     38,260
Ananti, Inc. (A)   1,993     9,505
Asia Cement Company, Ltd.   320     2,542
ASIA Holdings Company, Ltd.   241     44,223
Asia Paper Manufacturing Company, Ltd.   565     18,925
BH Company, Ltd.   1,348     16,947
Binggrae Company, Ltd.   522     21,119
BNK Financial Group, Inc.   20,556     121,776
Bookook Securities Company, Ltd.   501     9,168
Chongkundang Holdings Corp.   288     13,595
Chorokbaem Media Company, Ltd. (A)(C)   1,145     4,593
CJ CGV Company, Ltd. (A)   4,835     19,967
CJ CheilJedang Corp.   819     177,670
CJ Corp. (A)   1,674     151,858
CJ ENM Company, Ltd. (A)   847     49,320
CJ Freshway Corp. (A)   868     15,159
CJ Logistics Corp.   826     73,462
Com2uS Corp.   399     12,573
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
CR Holdings Company, Ltd.   6,433   $ 29,169
Cuckoo Homesys Company, Ltd.   560     9,432
Dae Won Kang Up Company, Ltd.   4,385     16,891
Daedong Corp.   860     8,654
Daehan Flour Mills Company, Ltd.   232     22,850
Daesang Corp.   2,028     29,524
Daesang Holdings Company, Ltd.   2,310     16,135
Daewoo Engineering & Construction Company, Ltd. (A)   20,805     57,671
Daewoong Company, Ltd.   1,698     26,136
Dahaam E-Tec Company, Ltd. (A)(C)   2,630     68,180
Daihan Pharmaceutical Company, Ltd.   563     11,878
Daishin Securities Company, Ltd.   3,901     45,616
Daol Investment & Securities Company, Ltd.   4,729     11,939
Daou Data Corp.   1,085     10,275
Daou Technology, Inc.   2,309     36,361
DB Financial Investment Company, Ltd.   3,849     12,199
DB HiTek Company, Ltd.   1,701     55,479
DB Insurance Company, Ltd.   3,220     230,330
DB, Inc. (A)   8,768     10,084
Deutsch Motors, Inc.   3,903     16,329
DGB Financial Group, Inc.   19,003     122,880
DL E&C Company, Ltd.   4,034     110,289
DL Holdings Company, Ltd.   1,609     62,642
DMS Company, Ltd.   3,275     16,560
DN Automotive Corp.   198     12,251
Dong-A Socio Holdings Company, Ltd.   153     13,367
Dong-A ST Company, Ltd.   332     18,433
Dongkuk CM Company, Ltd.   2,006     9,609
Dongkuk Holdings Company, Ltd.   1,068     6,490
Dongkuk Steel Mill Company, Ltd.   3,328     28,488
Dongsuh Companies, Inc.   882     11,239
Dongwha Pharm Company, Ltd.   1,912     13,506
Dongwon Development Company, Ltd.   5,212     10,441
Dongwon F&B Company, Ltd.   610     15,197
Doosan Bobcat, Inc.   4,079     163,658
Doosan Company, Ltd. (A)   554     62,300
DoubleUGames Company, Ltd.   614     19,325
Easy Holdings Company, Ltd.   3,872     9,551
EBEST Investment & Securities Company, Ltd. (A)   2,321     7,741
E-MART, Inc. (A)   1,480     75,096
Eugene Corp.   6,888     18,973
Eugene Investment & Securities Company, Ltd.   11,471     36,057
Eusu Holdings Company, Ltd.   1,407     5,919
Farmsco   2,687     6,182
Fila Holdings Corp.   1,539     43,829
GOLFZON Company, Ltd.   325     20,424
Green Cross Corp.   133     12,366
Green Cross Holdings Corp.   1,608     20,727
GS Engineering & Construction Corp. (A)   4,548     51,281
GS Global Corp.   7,813     15,509
GS Holdings Corp.   5,061     182,130
GS Retail Company, Ltd.   3,309     50,257
Gwangju Shinsegae Company, Ltd.   760     17,439
Haesung Industrial Company, Ltd.   1,128     6,545
Hana Financial Group, Inc.   21,723     950,986
Handok, Inc.   729     7,697
Handsome Company, Ltd.   1,545     22,960
Hanil Cement Company, Ltd.   1,450     13,459
Hanil Holdings Company, Ltd.   3,183     29,653
Hanjin Transportation Company, Ltd.   1,052     17,951
 
  61  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
Hankook Tire & Technology Company, Ltd.   5,360   $ 215,373
Hanshin Construction Company, Ltd.   1,844     9,224
Hansol Holdings Company, Ltd.   5,241     11,879
Hansol Paper Company, Ltd.   2,920     22,453
Hansol Technics Company, Ltd.   3,325     15,517
Hanwha Corp.   2,757     57,754
Hanwha Galleria Corp. (A)   5,420     5,727
Hanwha Investment & Securities Company, Ltd. (A)   8,960     26,718
Hanwha Life Insurance Company, Ltd.   34,108     73,553
Hanwha Solutions Corp.   6,382     131,051
Hanyang Eng Company, Ltd.   1,654     23,195
Harim Holdings Company, Ltd.   5,100     25,520
HD Hyundai Company, Ltd.   3,580     183,205
HD Hyundai Construction Equipment Company, Ltd.   1,613     70,168
HD Hyundai Infracore Company, Ltd. (A)   8,728     55,578
HD Korea Shipbuilding & Offshore Engineering Company, Ltd.   2,512     224,445
HDC Holdings Company, Ltd.   2,737     16,502
HDC Hyundai Development Co-Engineering & Construction, Series E   3,037     40,482
Hitejinro Holdings Company, Ltd.   995     6,668
HK inno N Corp.   1,619     45,746
HL Holdings Corp.   837     21,038
HL Mando Company, Ltd.   2,213     56,085
HMM Company, Ltd.   21,976     257,052
HS Industries Company, Ltd.   4,056     10,428
Huons Global Company, Ltd.   581     9,993
Husteel Company, Ltd.   4,748     17,645
Huvis Corp. (A)   3,715     10,937
Hwa Shin Company, Ltd.   2,283     18,249
Hyosung Corp.   540     24,967
Hyosung TNC Corp.   222     50,893
Hyundai Corp.   1,339     17,679
Hyundai Corp. Holdings, Inc.   1,811     14,347
Hyundai Department Store Company, Ltd.   1,243     47,927
Hyundai Engineering & Construction Company, Ltd.   5,407     133,704
Hyundai Futurenet Company, Ltd.   8,894     24,484
Hyundai GF Holdings   3,419     10,999
Hyundai Glovis Company, Ltd.   1,260     169,110
Hyundai Green Food   1,814     16,036
Hyundai Home Shopping Network Corp.   652     25,274
Hyundai Livart Furniture Company, Ltd. (A)   1,327     7,579
Hyundai Marine & Fire Insurance Company, Ltd.   4,678     107,144
Hyundai Mobis Company, Ltd.   3,299     640,460
Hyundai Motor Company   10,087     1,774,994
Hyundai Motor Securities Company, Ltd.   3,480     23,233
Hyundai Steel Company   6,801     160,759
Hyundai Wia Corp. (A)   1,286     54,375
Iljin Holdings Company, Ltd.   4,669     15,378
iMarketKorea, Inc.   1,985     12,581
Industrial Bank of Korea   18,712     194,085
Innocean Worldwide, Inc.   938     15,597
INTOPS Company, Ltd.   1,374     31,168
Inzi Controls Company, Ltd.   1,760     10,352
IS Dongseo Company, Ltd.   860     18,836
JB Financial Group Company, Ltd.   11,451     111,043
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
Jeil Savings Bank (A)(C)   1,820   $ 0
Kakao Games Corp. (A)   2,536     44,011
Kangwon Land, Inc.   3,386     41,287
KAON Group Company, Ltd.   3,123     16,590
KB Financial Group, Inc.   550     28,742
KB Financial Group, Inc., ADR (D)   25,595     1,332,732
KC Company, Ltd.   1,496     27,374
KCC Corp.   347     68,233
KCC Glass Corp.   939     28,735
KCTC   4,403     12,869
KEPCO Plant Service & Engineering Company, Ltd.   568     15,325
KG Chemical Corp.   3,995     17,687
KG Eco Technology Service Company, Ltd.   1,161     8,154
Kginicis Company, Ltd.   1,190     10,376
KGMobilians Company, Ltd.   2,700     10,381
KH Vatec Company, Ltd.   1,023     12,278
Kia Corp.   21,250     1,766,071
KISCO Corp.   4,131     28,507
KISCO Holdings Company, Ltd.   1,536     25,938
KISWIRE, Ltd.   1,688     26,609
KIWOOM Securities Company, Ltd.   1,432     131,185
Kolmar Korea Holdings Company, Ltd.   2,646     16,395
Kolon Corp.   898     11,451
Kolon Industries, Inc.   1,911     53,968
Korea Asset In Trust Company, Ltd.   9,060     21,194
Korea Circuit Company, Ltd. (A)   1,415     19,047
Korea Electric Terminal Company, Ltd.   561     25,827
Korea Flange Company, Ltd. (A)   2,801     11,394
Korea Investment Holdings Company, Ltd.   3,247     160,757
Korea Line Corp. (A)   23,137     32,926
Korea Petrochemical Industrial Company, Ltd.   231     22,732
Korea Real Estate Investment & Trust Company, Ltd.   14,635     11,217
Korea United Pharm, Inc.   287     5,097
Korea Zinc Company, Ltd.   260     87,745
Korean Air Lines Company, Ltd.   7,073     113,879
Korean Reinsurance Company (A)   13,636     84,218
Kortek Corp.   1,806     10,103
KPX Chemical Company, Ltd.   660     22,749
KSS LINE, Ltd.   3,562     22,251
KT Skylife Company, Ltd.   1,768     7,407
Kumho HT, Inc. (A)   19,985     9,546
Kumho Petrochemical Company, Ltd.   1,206     125,818
Kumho Tire Company, Inc. (A)   4,429     19,649
KUMHOE&C Company, Ltd. (A)   2,357     7,830
Kwang Dong Pharmaceutical Company, Ltd.   3,313     18,170
Kyeryong Construction Industrial Company, Ltd.   844     8,991
Kyung-In Synthetic Corp.   4,181     11,119
LF Corp.   2,312     26,445
LG Chem, Ltd.   2,982     976,025
LG Corp.   6,087     395,963
LG Display Company, Ltd., ADR (D)   38,635     158,404
LG Electronics, Inc.   9,906     712,097
LG H&H Company, Ltd.   617     177,246
LG HelloVision Company, Ltd.   3,836     10,065
LG Innotek Company, Ltd.   910     133,609
LG Uplus Corp.   18,651     139,200
Lotte Chemical Corp.   1,213     108,139
Lotte Chilsung Beverage Company, Ltd.   253     24,038
 
  62  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
Lotte Corp.   2,012   $ 41,610
LOTTE Fine Chemical Company, Ltd.   1,504     52,956
LOTTE Himart Company, Ltd.   1,006     7,238
Lotte Non-Life Insurance Company, Ltd. (A)   11,672     24,264
Lotte Rental Company, Ltd.   328     6,762
Lotte Shopping Company, Ltd.   881     48,134
Lotte Wellfood Company, Ltd.   95     8,655
LS Corp.   1,347     114,215
LX Hausys, Ltd.   659     19,338
LX Holdings Corp.   2,952     15,329
LX International Corp.   2,902     57,241
Mirae Asset Life Insurance Company, Ltd. (A)   8,582     28,954
Mirae Asset Securities Company, Ltd.   22,352     134,944
MK Electron Company, Ltd.   1,860     19,357
Motonic Corp.   2,259     13,644
Muhak Company, Ltd.   2,080     7,887
Namyang Dairy Products Company, Ltd.   58     25,208
Netmarble Corp. (A)(B)   1,149     53,838
Nexen Corp.   3,733     11,553
Nexen Tire Corp.   6,465     39,972
NH Investment & Securities Company, Ltd.   12,340     108,153
NHN Corp.   1,882     35,293
Nice Information & Telecommunication, Inc.   705     11,184
Nong Shim Holdings Company, Ltd.   402     20,071
NongShim Company, Ltd.   218     60,314
NOVAREX Company, Ltd.   1,637     12,241
OCI Company, Ltd.   500     31,884
OCI Holdings Company, Ltd.   1,105     77,190
Orion Holdings Corp.   2,756     28,940
Ottogi Corp.   84     24,870
Pan Ocean Company, Ltd.   26,446     83,655
Paradise Company, Ltd.   1,963     20,864
Partron Company, Ltd.   3,579     20,940
PHA Company, Ltd.   2,626     21,660
Poongsan Corp.   2,423     90,574
Poongsan Holdings Corp.   1,694     36,729
POSCO Holdings, Inc.   4,657     1,458,703
RFTech Company, Ltd. (A)   4,033     12,030
Sam Young Electronics Company, Ltd.   938     6,679
Samho Development Company, Ltd.   4,213     10,506
SAMPYO Cement Company, Ltd.   4,134     9,172
Samsung C&T Corp.   4,114     489,234
Samsung Card Company, Ltd.   2,454     70,083
Samsung Electronics Company, Ltd.   73,567     4,421,194
Samsung Fire & Marine Insurance Company, Ltd.   1,372     315,079
Samsung Life Insurance Company, Ltd.   4,195     297,593
Samsung Securities Company, Ltd.   4,810     145,449
Samyang Corp.   258     10,236
Samyang Holdings Corp.   535     28,384
Sangsangin Company, Ltd. (A)   3,653     10,348
SeAH Besteel Holdings Corp.   1,017     17,119
Sebang Company, Ltd.   1,153     10,236
Sebang Global Battery Company, Ltd.   601     35,127
Seegene, Inc.   2,081     38,062
Sejong Industrial Company, Ltd.   1,547     6,837
Sejong Telecom, Inc.   16,079     7,526
Seohee Construction Company, Ltd.   13,592     13,529
Seoul Semiconductor Company, Ltd.   3,322     25,233
Seoyon Company, Ltd.   2,508     19,031
Seoyon E-Hwa Company, Ltd.   1,694     23,452
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
SFA Engineering Corp.   1,117   $ 21,226
SGC Energy Company, Ltd.   744     12,403
SGC eTec E&C Company, Ltd.   231     2,743
Shin Heung Energy & Electronics Company, Ltd.   533     24,563
Shindaeyang Paper Company, Ltd.   2,670     12,355
Shinhan Financial Group Company, Ltd.   2,494     87,976
Shinhan Financial Group Company, Ltd., ADR (D)   32,928     1,168,615
Shinsegae Food Company, Ltd. (A)   268     7,488
Shinsegae International, Inc.   1,033     13,694
Shinsegae, Inc.   668     84,500
Shinyoung Securities Company, Ltd.   580     27,434
SIMMTECH HOLDINGS Company, Ltd.   3,917     7,803
SK Chemicals Company, Ltd.   769     36,131
SK Discovery Company, Ltd.   1,496     49,722
SK Gas, Ltd.   304     33,968
SK Innovation Company, Ltd. (A)   4,412     388,617
SK Networks Company, Ltd.   16,268     73,947
SK Securities Company, Ltd.   27,076     12,381
SK, Inc.   2,806     380,641
SL Corp.   1,341     31,694
SNT Holdings Company, Ltd.   1,460     24,151
SNT Motiv Company, Ltd.   882     29,459
S-Oil Corp.   3,185     184,469
Songwon Industrial Company, Ltd.   1,547     15,883
Spigen Korea Company, Ltd.   525     11,895
Sugentech, Inc. (A)   1,378     6,502
Suheung Company, Ltd.   502     8,451
Sung Kwang Bend Company, Ltd.   2,894     24,091
Sungshin Cement Company, Ltd.   2,022     13,032
Sungwoo Hitech Company, Ltd.   2,984     20,980
Sunjin Company, Ltd.   2,276     12,372
Suprema, Inc. (A)   879     15,615
Taekwang Industrial Company, Ltd.   48     27,386
The Nature Holdings Company, Ltd.   961     10,710
Tongyang Life Insurance Company, Ltd. (A)   7,644     33,091
Toptec Company, Ltd.   2,033     12,439
TS Corp.   12,730     30,613
TY Holdings Company, Ltd. (A)   2,153     5,749
Ubiquoss, Inc.   926     12,289
Uju Electronics Company, Ltd.   672     10,251
Unid Company, Ltd.   406     24,517
Value Added Technology Company, Ltd.   555     12,611
Webzen, Inc.   1,480     18,145
WiSoL Company, Ltd.   2,256     13,674
Wonik Holdings Company, Ltd. (A)   5,948     17,527
Wonik Materials Company, Ltd.   880     23,280
Woori Financial Group, Inc.   41,842     453,868
Young Poong Corp.   51     18,064
Youngone Corp.   2,509     75,481
Youngone Holdings Company, Ltd.   920     59,034
Yuanta Securities Korea Company, Ltd.   11,703     23,567
Zinus, Inc.   797     8,276
          29,374,948
Taiwan - 18.9%          
Abico Avy Company, Ltd.   24,990     18,073
Ability Enterprise Company, Ltd.   31,000     25,237
AcBel Polytech, Inc.   47,000     57,182
Acer, Inc.   256,452     373,812
ACES Electronic Company, Ltd.   19,323     21,839
Acter Group Corp., Ltd.   8,000     50,520
Action Electronics Company, Ltd.   19,000     10,357
 
  63  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Adlink Technology, Inc.   6,000   $ 12,840
Advanced International Multitech Company, Ltd.   13,000     28,394
Advancetek Enterprise Company, Ltd.   10,000     14,101
AGV Products Corp.   11,716     4,395
Alltek Technology Corp.   10,000     11,320
Alpha Networks, Inc.   17,000     19,179
Altek Corp.   16,000     18,150
AMPACS Corp.   7,000     11,441
AmTRAN Technology Company, Ltd. (A)   49,581     22,001
Apacer Technology, Inc.   11,000     24,085
APAQ Technology Company, Ltd.   10,000     24,639
APCB, Inc.   37,000     24,914
Apex International Company, Ltd.   7,000     8,766
Arcadyan Technology Corp.   8,000     47,870
Ardentec Corp.   45,000     115,798
Argosy Research, Inc.   7,000     39,422
ASE Technology Holding Company, Ltd.   256,000     1,242,649
Asia Cement Corp.   137,805     176,293
Asia Optical Company, Inc.   14,000     28,455
Asia Polymer Corp.   50,607     30,197
Asia Tech Image, Inc.   12,000     25,795
Asustek Computer, Inc.   49,000     648,685
Audix Corp.   21,000     45,602
AUO Corp. (A)   411,200     232,468
AVerMedia Technologies, Inc.   19,000     26,541
Axiomtek Company, Ltd.   4,000     11,394
Bank of Kaohsiung Company, Ltd. (A)   111,247     41,378
Basso Industry Corp.   8,000     10,412
BenQ Materials Corp.   13,000     13,835
BES Engineering Corp.   163,700     72,153
Bioteque Corp.   3,000     11,813
Bizlink Holding, Inc.   9,000     72,228
Brighton-Best International Taiwan, Inc.   19,000     20,073
Capital Securities Corp.   183,403     108,617
Career Technology MFG. Company, Ltd.   36,174     22,945
Catcher Technology Company, Ltd.   43,000     292,197
Cathay Financial Holding Company, Ltd. (A)   424,775     640,125
Cathay Real Estate Development Company, Ltd.   46,400     30,793
CCP Contact Probes Company, Ltd.   8,000     10,557
Celxpert Energy Corp.   12,896     10,361
Center Laboratories, Inc.   37,371     50,810
Central Reinsurance Company, Ltd.   40,463     31,480
Chang Hwa Commercial Bank, Ltd.   326,994     185,411
Chang Wah Electromaterials, Inc.   15,000     18,635
Channel Well Technology Company, Ltd.   5,000     12,427
Chant Sincere Company, Ltd.   5,000     12,174
Charoen Pokphand Enterprise   4,000     13,753
CHC Healthcare Group   8,000     15,129
Chen Full International Company, Ltd.   15,000     19,216
Cheng Loong Corp.   68,320     62,582
Cheng Mei Materials Technology Corp. (A)   39,090     16,115
Cheng Shin Rubber Industry Company, Ltd.   164,000     254,582
Cheng Uei Precision Industry Company, Ltd.   37,629     54,104
Chia Chang Company, Ltd.   8,000     11,273
Chia Hsin Cement Corp.   15,300     8,314
Chicony Electronics Company, Ltd.   28,000     193,645
China Airlines, Ltd.   264,910     161,313
China Bills Finance Corp.   95,000     44,814
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
China Chemical & Pharmaceutical Company, Ltd.   34,000   $ 24,227
China Development Financial Holding Corp. (A)   1,167,535     505,039
China Electric Manufacturing Corp.   20,000     10,750
China General Plastics Corp.   22,000     12,445
China Man-Made Fiber Corp. (A)   139,414     31,619
China Metal Products Company, Ltd.   26,513     30,947
China Motor Corp.   30,250     122,924
China Petrochemical Development Corp. (A)   238,245     70,198
China Steel Corp.   1,010,180     751,213
Chin-Poon Industrial Company, Ltd.   43,571     63,241
Chipbond Technology Corp.   70,000     170,417
ChipMOS Technologies, Inc.   66,938     106,703
Chong Hong Construction Company, Ltd.   19,000     52,117
Chun Yuan Steel Industry Company, Ltd.   50,874     30,543
Chung Hwa Pulp Corp.   41,000     30,000
Chunghwa Chemical Synthesis & Biotech Company, Ltd.   7,000     10,939
Clevo Company   27,000     34,523
CMC Magnetics Corp.   68,121     26,084
Compal Electronics, Inc.   325,000     389,247
Compeq Manufacturing Company, Ltd.   77,000     188,106
Concord Securities Company, Ltd.   26,000     13,424
Continental Holdings Corp.   49,050     46,287
Coremax Corp.   9,823     19,641
Coretronic Corp.   40,000     97,746
Co-Tech Development Corp.   15,000     27,349
CTBC Financial Holding Company, Ltd.   1,395,348     1,412,312
CTCI Corp.   42,000     62,046
DA CIN Construction Company, Ltd.   16,000     27,897
Da-Li Development Company, Ltd.   17,850     23,445
Darfon Electronics Corp.   16,000     31,153
Darwin Precisions Corp.   37,000     18,665
Depo Auto Parts Industrial Company, Ltd.   12,000     85,493
Dimerco Express Corp.   7,000     19,746
D-Link Corp.   50,600     29,343
Dyaco International, Inc.   5,795     5,594
Dynamic Holding Company, Ltd.   20,000     43,377
Dynapack International Technology Corp.   10,000     29,698
E.Sun Financial Holding Company, Ltd.   51,722     43,861
Eastern Media International Corp. (A)   16,000     10,075
Edom Technology Company, Ltd.   18,400     13,516
Elite Advanced Laser Corp.   7,000     16,428
Elitegroup Computer Systems Company, Ltd. (A)   42,104     40,880
Ennoconn Corp.   6,000     65,471
Ennostar, Inc. (A)   42,656     51,524
EnTie Commercial Bank Company, Ltd.   58,000     25,448
Eson Precision Ind Company, Ltd.   7,000     13,184
Eternal Materials Company, Ltd.   57,400     56,136
Eva Airways Corp.   218,725     216,024
Everest Textile Company, Ltd. (A)   64,835     16,872
Evergreen International Storage & Transport Corp.   44,600     43,567
Evergreen Marine Corp. Taiwan, Ltd.   83,662     460,474
Evergreen Steel Corp.   14,000     56,012
Everlight Chemical Industrial Corp.   49,250     30,322
Everlight Electronics Company, Ltd.   46,000     76,915
Excelsior Medical Company, Ltd.   18,271     55,050
Far Eastern Department Stores, Ltd.   77,720     72,146
 
  64  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Far Eastern International Bank   253,756   $ 113,013
Far Eastern New Century Corp.   252,249     260,401
Farglory F T Z Investment Holding Company, Ltd.   6,000     10,540
Farglory Land Development Company, Ltd.   28,530     51,520
Feng Hsin Steel Company, Ltd.   21,000     46,539
First Financial Holding Company, Ltd.   634,473     547,065
First Steamship Company, Ltd. (A)   84,809     20,903
FIT Holding Company, Ltd.   16,000     21,562
Fitipower Integrated Technology, Inc.   8,200     69,178
Fittech Company, Ltd.   9,000     14,508
FLEXium Interconnect, Inc.   27,000     77,382
Flytech Technology Company, Ltd.   5,000     12,246
Formosa Advanced Technologies Company, Ltd.   25,000     28,356
Formosa Chemicals & Fibre Corp.   184,000     314,338
Formosa Laboratories, Inc.   9,543     32,529
Formosa Petrochemical Corp.   44,000     94,375
Formosa Plastics Corp.   188,000     399,927
Formosa Sumco Technology Corp.   3,000     15,432
Formosa Taffeta Company, Ltd.   67,000     46,263
Formosan Rubber Group, Inc.   29,718     22,521
Formosan Union Chemical   48,812     29,654
Foxconn Technology Company, Ltd.   64,626     131,452
Foxsemicon Integrated Technology, Inc.   4,000     37,437
Franbo Lines Corp. (A)   21,000     13,002
FSP Technology, Inc.   10,000     17,788
Fu Hua Innovation Company, Ltd.   23,970     21,120
Fubon Financial Holding Company, Ltd.   463,895     1,004,164
Fulgent Sun International Holding Company, Ltd.   11,000     42,111
Fulltech Fiber Glass Corp.   47,275     26,821
Fusheng Precision Company, Ltd.   5,000     36,790
Fwusow Industry Company, Ltd.   41,200     24,008
G Shank Enterprise Company, Ltd.   16,450     37,570
Gamania Digital Entertainment Company, Ltd.   9,000     20,420
Gemtek Technology Corp.   32,000     34,198
General Interface Solution Holding, Ltd.   29,000     54,347
Genius Electronic Optical Company, Ltd.   6,000     95,344
Getac Holdings Corp.   14,000     58,184
Giant Manufacturing Company, Ltd.   19,000     133,558
Giantplus Technology Company, Ltd.   31,000     13,569
Global Brands Manufacture, Ltd.   37,541     86,489
Global Lighting Technologies, Inc.   6,000     9,451
Global PMX Company, Ltd.   3,000     10,033
Globe Union Industrial Corp. (A)   27,525     14,540
Gloria Material Technology Corp.   39,684     61,601
Goldsun Building Materials Company, Ltd.   93,540     110,205
Gordon Auto Body Parts   10,000     11,490
Gourmet Master Company, Ltd.   6,000     17,322
Grand Pacific Petrochemical   90,295     36,961
Grape King Bio, Ltd.   10,000     50,468
Great China Metal Industry   33,000     24,643
Great Wall Enterprise Company, Ltd.   51,724     93,297
Greatek Electronics, Inc.   12,000     23,361
Hannstar Board Corp.   39,750     78,499
HannStar Display Corp. (A)   140,842     47,095
HannsTouch Holdings Company (A)   64,000     16,491
Hey Song Corp.   40,000     51,374
Highlight Tech Corp. (A)   6,000     11,133
Highwealth Construction Corp.   96,357     121,943
Hiwin Technologies Corp.   19,000     165,611
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Ho Tung Chemical Corp.   88,399   $ 24,190
Hocheng Corp.   19,000     10,624
Hold-Key Electric Wire & Cable Company, Ltd.   11,000     13,224
Holiday Entertainment Company, Ltd.   8,000     21,938
Holy Stone Enterprise Company, Ltd.   10,500     31,631
Hon Hai Precision Industry Company, Ltd.   815,448     3,960,675
Hong Pu Real Estate Development Company, Ltd.   27,000     25,114
Hong TAI Electric Industrial   20,000     19,604
Horizon Securities Company, Ltd.   19,080     7,249
Hota Industrial Manufacturing Company, Ltd.   21,000     33,663
Hsin Kuang Steel Company, Ltd.   10,000     19,435
Hsing TA Cement Company, Ltd.   38,000     22,806
Hu Lane Associate, Inc.   3,000     15,524
HUA ENG Wire & Cable Company, Ltd.   14,000     13,426
Hua Nan Financial Holdings Company, Ltd.   600,096     429,284
Huaku Development Company, Ltd.   11,000     43,122
Huang Hsiang Construction Corp.   18,000     25,260
Hung Ching Development & Construction Company, Ltd.   14,000     17,365
Hung Sheng Construction, Ltd.   42,240     28,643
IBF Financial Holdings Company, Ltd.   268,707     116,721
Ichia Technologies, Inc.   25,000     27,326
I-Chiun Precision Industry Company, Ltd.   14,000     25,629
IEI Integration Corp.   12,000     30,832
Innolux Corp. (A)   565,337     268,518
Inpaq Technology Company, Ltd.   12,602     34,103
Integrated Service Technology, Inc.   9,000     34,596
International CSRC Investment Holdings Company   81,383     43,989
Inventec Corp.   95,000     173,860
Iron Force Industrial Company, Ltd.   6,000     18,362
I-Sheng Electric Wire & Cable Company, Ltd.   10,000     16,337
ITEQ Corp.   11,000     30,747
Jarllytec Company, Ltd.   5,000     40,700
Jean Company, Ltd.   21,000     17,588
Jess-Link Products Company, Ltd.   13,000     51,403
Johnson Health Tech Company, Ltd.   6,000     13,472
Kaimei Electronic Corp.   10,640     19,946
Kedge Construction Company, Ltd.   6,831     18,502
Kenda Rubber Industrial Company, Ltd.   41,496     41,680
Kerry TJ Logistics Company, Ltd.   16,000     19,396
Kindom Development Company, Ltd.   24,000     30,778
King Yuan Electronics Company, Ltd.   63,796     211,409
King's Town Bank Company, Ltd.   83,000     133,848
King's Town Construction Company, Ltd. (A)   7,300     9,968
Kinko Optical Company, Ltd.   15,758     12,701
Kinpo Electronics, Inc.   108,269     51,429
Kinsus Interconnect Technology Corp.   22,000     68,032
KMC Kuei Meng International, Inc.   3,000     13,266
KS Terminals, Inc.   9,000     19,666
Kung Long Batteries Industrial Company, Ltd.   3,000     13,124
Kung Sing Engineering Corp. (A)   49,000     20,587
Kuo Toong International Company, Ltd.   18,248     44,494
Kuo Yang Construction Company, Ltd. (A)   12,000     10,363
Kwong Lung Enterprise Company, Ltd.   7,000     13,321
 
  65  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
L&K Engineering Company, Ltd.   12,297   $ 87,030
Largan Precision Company, Ltd.   8,000     607,264
Lealea Enterprise Company, Ltd. (A)   93,728     26,799
Lelon Electronics Corp.   8,000     17,799
Li Peng Enterprise Company, Ltd. (A)   62,000     15,657
Lida Holdings, Ltd.   4,640     4,422
Lien Hwa Industrial Holdings Corp.   42,198     89,661
Lingsen Precision Industries, Ltd.   49,481     37,248
Lite-On Technology Corp.   105,000     348,069
Long Da Construction & Development Corp.   10,000     12,541
Longchen Paper & Packaging Company, Ltd.   66,189     30,104
Longwell Company   7,000     19,731
Lumax International Corp., Ltd.   3,600     11,357
Lung Yen Life Service Corp. (A)   9,000     11,361
Macauto Industrial Company, Ltd.   8,000     18,207
Machvision, Inc.   2,000     24,163
Macronix International Company, Ltd.   156,000     129,924
Mega Financial Holding Company, Ltd.   372,070     467,853
Mercuries & Associates Holding, Ltd. (A)   56,669     22,310
Mercuries Life Insurance Company, Ltd. (A)   87,212     13,165
Merida Industry Company, Ltd.   14,000     92,925
Merry Electronics Company, Ltd.   12,000     44,449
Micro-Star International Company, Ltd.   14,000     73,057
Mildef Crete, Inc.   6,000     16,865
Mirle Automation Corp.   10,000     14,686
Mitac Holdings Corp.   58,316     95,158
MOSA Industrial Corp.   9,738     7,107
Motech Industries, Inc.   30,000     26,502
MPI Corp.   4,000     38,076
Nak Sealing Technologies Corp.   6,000     25,225
Namchow Holdings Company, Ltd.   9,000     16,360
Nan Pao Resins Chemical Company, Ltd.   3,000     29,394
Nan Ya Plastics Corp.   302,000     519,549
Nan Ya Printed Circuit Board Corp.   14,000     86,612
Nantex Industry Company, Ltd.   28,000     29,098
Nanya Technology Corp.   95,000     200,633
Nichidenbo Corp.   15,000     27,734
Nishoku Technology, Inc.   7,800     27,671
Nuvoton Technology Corp.   8,000     31,008
O-Bank Company, Ltd.   52,538     16,305
Orient Semiconductor Electronics, Ltd.   26,000     53,201
Oriental Union Chemical Corp.   28,000     15,747
O-TA Precision Industry Company, Ltd.   4,000     11,348
Pacific Construction Company   38,289     11,712
Paiho Shih Holdings Corp.   11,550     6,639
Pan German Universal Motors, Ltd.   2,000     19,804
Pan Jit International, Inc.   13,000     23,332
Pan-International Industrial Corp.   44,481     53,150
PChome Online, Inc. (A)   6,612     7,028
PCL Technologies, Inc.   5,000     11,402
Pegatron Corp.   170,660     531,310
Phison Electronics Corp.   8,000     172,551
Posiflex Technology, Inc.   2,000     7,404
Pou Chen Corp.   164,348     186,042
Powerchip Semiconductor Manufacturing Corp. (A)   240,000     194,236
Powertech Technology, Inc.   43,000     269,898
President Securities Corp.   99,549     75,319
Primax Electronics, Ltd.   26,000     69,729
Prince Housing & Development Corp.   142,555     46,982
Prodisc Technology, Inc. (A)(C)   762,000     0
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Promate Electronic Company, Ltd.   8,000   $ 22,174
Prosperity Dielectrics Company, Ltd.   6,000     8,495
Qisda Corp.   105,280     147,648
QST International Corp.   14,000     29,102
Quang Viet Enterprise Company, Ltd.   4,000     13,805
Quanta Storage, Inc.   23,000     70,425
Radiant Opto-Electronics Corp.   34,000     183,154
Radium Life Tech Company, Ltd. (A)   109,179     34,083
Rechi Precision Company, Ltd.   20,000     15,591
Rich Development Company, Ltd. (A)   51,000     16,818
Ritek Corp. (A)   57,799     14,020
Roo Hsing Company, Ltd. (A)   67,000     7,592
Ruentex Development Company, Ltd.   85,500     93,638
Ruentex Industries, Ltd.   39,424     73,434
Sampo Corp.   43,470     40,197
San Far Property, Ltd.   28,964     23,258
Sanyang Motor Company, Ltd.   42,000     100,560
Savior Lifetec Corp.   33,000     20,209
SDI Corp.   5,000     15,005
Sercomm Corp.   16,000     72,031
Sesoda Corp.   13,064     12,635
Shan-Loong Transportation Company, Ltd.   23,000     19,365
Sheng Yu Steel Company, Ltd.   22,000     19,774
ShenMao Technology, Inc.   8,000     15,930
Shih Wei Navigation Company, Ltd.   26,332     15,178
Shihlin Electric & Engineering Corp.   18,000     157,548
Shin Kong Financial Holding Company, Ltd. (A)   870,344     219,121
Shin Zu Shing Company, Ltd.   8,000     44,990
Shining Building Business Company, Ltd. (A)   55,118     16,783
Shinkong Insurance Company, Ltd.   27,000     71,178
Shinkong Synthetic Fibers Corp.   132,239     64,859
Shuttle, Inc. (A)   25,000     14,991
Sigurd Microelectronics Corp.   47,773     107,450
Simplo Technology Company, Ltd.   8,000     112,813
Sincere Navigation Corp.   24,000     18,267
Sinher Technology, Inc.   8,000     8,337
Sinmag Equipment Corp.   3,000     14,909
Sinon Corp.   25,650     31,348
SinoPac Financial Holdings Company, Ltd.   760,461     510,699
Sinphar Pharmaceutical Company, Ltd.   10,000     11,404
Sinyi Realty, Inc.   13,000     12,431
Sirtec International Company, Ltd.   23,800     26,111
Siward Crystal Technology Company, Ltd.   20,000     21,637
Soft-World International Corp.   4,000     17,823
Solar Applied Materials Technology Corp.   20,000     30,976
Speed Tech Corp.   6,000     11,359
Sports Gear Company, Ltd.   8,000     18,548
St. Shine Optical Company, Ltd.   4,000     23,697
Standard Chemical & Pharmaceutical Company, Ltd.   2,000     4,138
Sunny Friend Environmental Technology Company, Ltd.   4,000     12,244
Sunrex Technology Corp.   11,678     23,251
Supreme Electronics Company, Ltd.   28,000     64,748
Swancor Holding Company, Ltd.   4,000     15,681
Symtek Automation Asia Company, Ltd.   3,000     11,385
Syncmold Enterprise Corp.   6,000     16,722
Synmosa Biopharma Corp.   18,000     22,248
Synnex Technology International Corp.   87,000     212,991
 
  66  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Systex Corp.   10,000   $ 37,039
T3EX Global Holdings Corp.   7,000     21,119
TA Chen Stainless Pipe   120,579     139,886
Ta Ya Electric Wire & Cable   9,000     12,434
TA-I Technology Company, Ltd.   8,000     11,850
Taichung Commercial Bank Company, Ltd.   220,885     117,672
TaiDoc Technology Corp.   4,000     19,502
Taiflex Scientific Company, Ltd.   24,100     35,092
Tainan Spinning Company, Ltd.   95,638     45,855
Taishin Financial Holding Company, Ltd.   825,464     462,919
Taita Chemical Company, Ltd.   27,818     13,298
TAI-TECH Advanced Electronics Company, Ltd.   5,000     18,923
Taiwan Business Bank   482,470     239,698
Taiwan Cement Corp.   363,325     359,604
Taiwan Chinsan Electronic Industrial Company, Ltd.   14,852     16,573
Taiwan Cooperative Financial Holding Company, Ltd.   485,422     394,019
Taiwan Fertilizer Company, Ltd.   52,000     102,869
Taiwan Fire & Marine Insurance Company, Ltd.   41,000     33,689
Taiwan FU Hsing Industrial Company, Ltd.   21,000     35,516
Taiwan Glass Industry Corp. (A)   80,319     43,049
Taiwan Hon Chuan Enterprise Company, Ltd.   29,000     132,390
Taiwan Hopax Chemicals Manufacturing Company, Ltd.   10,000     12,022
Taiwan Kolin Company, Ltd. (A)(C)   327,000     0
Taiwan Navigation Company, Ltd.   19,000     20,498
Taiwan Paiho, Ltd.   20,000     35,871
Taiwan PCB Techvest Company, Ltd.   36,000     49,217
Taiwan Sakura Corp.   5,000     13,132
Taiwan Semiconductor Company, Ltd.   18,000     42,346
Taiwan Shin Kong Security Company, Ltd.   17,000     21,806
Taiwan Styrene Monomer   38,000     15,971
Taiwan Surface Mounting Technology Corp.   26,225     86,443
Taiwan Union Technology Corp.   14,000     80,155
Taiyen Biotech Company, Ltd.   26,137     27,731
Tatung Company, Ltd. (A)   94,000     169,494
TBI Motion Technology Company, Ltd.   12,000     14,209
TCI Company, Ltd.   11,000     53,457
Te Chang Construction Company, Ltd.   5,000     11,431
Teco Electric & Machinery Company, Ltd.   109,000     194,472
Test Research, Inc.   13,000     34,818
The Ambassador Hotel   29,000     55,356
The Shanghai Commercial & Savings Bank, Ltd.   257,823     388,659
Thinking Electronic Industrial Company, Ltd.   4,000     20,754
Thye Ming Industrial Company, Ltd.   24,800     57,853
Ton Yi Industrial Corp.   97,000     43,334
Tong Hsing Electronic Industries, Ltd.   17,260     79,297
Tong Yang Industry Company, Ltd.   40,627     158,696
Tong-Tai Machine & Tool Company, Ltd.   26,588     19,594
TOPBI International Holdings, Ltd. (A)   8,077     2,484
Topco Scientific Company, Ltd.   8,000     54,625
Topkey Corp.   6,000     36,370
Topoint Technology Company, Ltd.   29,190     26,171
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
TPK Holding Company, Ltd.   41,000   $ 47,277
Transcend Information, Inc.   9,000     24,992
Tripod Technology Corp.   28,000     178,858
Tsann Kuen Enterprise Company, Ltd.   4,911     5,687
TSC Auto ID Technology Company, Ltd.   2,000     15,070
TSRC Corp.   50,000     36,394
Tung Ho Steel Enterprise Corp.   61,640     132,267
Tung Thih Electronic Company, Ltd.   3,000     11,300
TURVO International Company, Ltd.   4,000     16,139
TXC Corp.   23,000     82,198
TYC Brother Industrial Company, Ltd.   15,511     26,162
Tycoons Group Enterprise (A)   26,706     9,058
Tyntek Corp.   36,000     20,256
U-Ming Marine Transport Corp.   38,000     63,972
Unimicron Technology Corp.   29,000     172,410
Union Bank of Taiwan   154,915     72,827
Unitech Printed Circuit Board Corp.   78,985     65,786
United Microelectronics Corp.   861,794     1,399,590
United Orthopedic Corp.   4,000     12,179
United Renewable Energy Company, Ltd.   30,000     10,689
Universal Cement Corp.   28,307     27,886
UPC Technology Corp.   89,751     37,163
Userjoy Technology Company, Ltd.   5,000     13,019
USI Corp.   80,996     40,364
Utechzone Company, Ltd.   5,000     12,800
Vanguard International Semiconductor Corp.   25,000     66,261
Viking Tech Corp.   7,000     10,832
Wafer Works Corp.   41,000     49,728
Wah Lee Industrial Corp.   20,520     72,104
Walsin Lihwa Corp.   177,589     207,498
Walsin Technology Corp.   25,000     87,051
Walton Advanced Engineering, Inc.   39,584     22,076
Wan Hai Lines, Ltd.   58,800     81,033
Wei Chuan Foods Corp.   33,000     19,380
Weikeng Industrial Company, Ltd.   25,000     24,840
Well Shin Technology Company, Ltd.   15,000     26,726
Win Semiconductors Corp.   19,000     86,402
Winbond Electronics Corp.   329,528     278,036
Winstek Semiconductor Company, Ltd.   6,000     23,744
Wintek Corp. (A)(C)   543,000     0
Wisdom Marine Lines Company, Ltd.   36,343     66,935
Wistron Corp.   135,291     509,652
Wistron NeWeb Corp.   12,858     62,085
Wonderful Hi-Tech Company, Ltd.   11,000     12,521
WPG Holdings, Ltd.   149,400     448,252
WT Microelectronics Company, Ltd.   49,646     232,833
Xxentria Technology Materials Corp.   8,800     20,249
Yageo Corp.   21,946     407,237
Yang Ming Marine Transport Corp.   152,000     209,851
YC INOX Company, Ltd.   40,104     31,458
Yea Shin International Development Company, Ltd.   26,458     32,412
Yem Chio Company, Ltd.   42,717     25,037
Yeong Guan Energy Technology Group Company, Ltd. (A)   13,553     22,187
YFY, Inc.   117,202     109,208
Yieh Phui Enterprise Company, Ltd.   72,343     34,501
Young Fast Optoelectronics Company, Ltd. (A)   14,000     26,850
Youngtek Electronics Corp.   17,000     38,372
Yuanta Financial Holding Company, Ltd.   733,159     689,827
Yulon Motor Company, Ltd.   59,632     127,095
YungShin Global Holding Corp.   8,000     12,024
 
  67  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Zeng Hsing Industrial Company, Ltd.   4,297   $ 13,291
Zenitron Corp.   28,000     30,803
Zero One Technology Company, Ltd.   11,000     25,073
Zhen Ding Technology Holding, Ltd.   56,000     218,713
Zig Sheng Industrial Company, Ltd. (A)   38,908     17,989
Zinwell Corp. (A)   15,000     9,893
Zippy Technology Corp.   7,000     11,703
Zyxel Group Corp.   30,540     45,822
          42,941,603
Thailand - 1.7%          
AAPICO Hitech PCL   35,352     21,229
AP Thailand PCL   223,670     66,237
Bangchak Corp. PCL   91,600     111,829
Bangkok Bank PCL   53,800     205,117
Bangkok Bank PCL, NVDR   14,500     55,283
Bangkok Commercial Asset Management PCL   46,300     12,645
Bangkok Insurance PCL   3,050     24,993
Bangkok Land PCL (A)   1,059,200     19,747
Bangkok Life Assurance PCL, NVDR   18,200     8,831
Bangkok Ranch PCL (A)   92,300     6,527
Banpu PCL   535,067     80,763
Berli Jucker PCL   86,900     58,137
Cal-Comp Electronics Thailand PCL   145,292     9,885
Charoen Pokphand Foods PCL   377,100     188,360
GFPT PCL   43,900     14,684
Indorama Ventures PCL   130,000     85,282
IRPC PCL   943,100     49,188
Italian-Thai Development PCL (A)(C)   477,400     7,229
Kasikornbank PCL, NVDR   28,200     95,876
Khon Kaen Sugar Industry PCL   192,600     12,459
Kiatnakin Phatra Bank PCL   19,400     27,673
Krung Thai Bank PCL   207,700     95,748
LPN Development PCL   52,900     5,133
Millcon Steel PCL (A)   167,887     1,243
Polyplex Thailand PCL   14,000     3,761
Precious Shipping PCL   66,500     13,987
Pruksa Holding PCL   78,800     25,055
PTT Exploration & Production PCL   77,400     317,391
PTT Global Chemical PCL   115,500     120,552
PTT PCL   861,000     792,176
Quality Houses PCL   377,100     22,737
Regional Container Lines PCL   30,000     15,080
Rojana Industrial Park PCL   113,100     23,277
Saha-Union PCL   16,100     14,123
Sansiri PCL   1,026,866     47,872
SC Asset Corp. PCL   238,196     24,307
SCB X PCL   42,400     132,548
Siam City Cement PCL   4,900     18,803
Sino-Thai Engineering & Construction PCL   94,900     25,397
Somboon Advance Technology PCL   51,300     23,345
SPCG PCL   58,900     18,409
Sri Trang Agro-Industry PCL   84,800     45,371
Srithai Superware PCL   283,000     9,311
Star Petroleum Refining PCL (A)   100,000     24,194
STP & I PCL (A)   21,600     1,906
Supalai PCL   123,100     71,242
Super Energy Corp. PCL (A)   743,000     6,098
Syntec Construction PCL   156,500     7,947
Thai Oil PCL   92,873     149,981
Thai Stanley Electric PCL   2,500     13,976
Thai Union Group PCL   225,600     89,120
Thanachart Capital PCL   27,300     38,551
The Lanna Resources PCL   44,200     16,971
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Thailand (continued)          
The Siam Cement PCL   36,600   $ 256,106
Thoresen Thai Agencies PCL   75,500     13,610
TMBThanachart Bank PCL   1,347,695     67,253
TPI Polene PCL   559,900     20,874
TPI Polene Power PCL   283,200     25,615
True Corp. PCL (A)   355,202     75,052
          3,836,096
Turkey - 1.0%          
Akbank TAS   273,631     395,705
Aksa Enerji Uretim AS   17,327     18,850
Alarko Holding AS   3,314     13,534
Albaraka Turk Katilim Bankasi AS (A)   184,260     24,848
Anadolu Efes Biracilik Ve Malt Sanayii AS   8,679     40,568
Bera Holding AS   48,358     30,917
Dogan Sirketler Grubu Holding AS   104,285     43,150
Eczacibasi Yatirim Holding Ortakligi AS   1     4
EIS Eczacibasi Ilac ve Sinai ve Finansal Yatirimlar Sanayi ve Ticaret AS   12,278     19,207
Enka Insaat ve Sanayi AS   76,018     80,970
Eregli Demir ve Celik Fabrikalari TAS (A)   76,335     99,455
Goldas Kuyumculuk Sanayi Ithalat Ve Bagli Ortakliklari (A)(C)   54,846     160
Gozde Girisim Sermayesi Yatirim Ortakligi AS (A)   28,775     20,484
GSD Holding AS   173,611     21,451
KOC Holding AS   65,109     409,599
Sekerbank Turk AS   78,958     10,126
TAV Havalimanlari Holding AS (A)   11,684     64,322
Tekfen Holding AS   15,803     20,155
Turk Hava Yollari AO (A)   48,082     442,638
Turkiye Garanti Bankasi AS   32,122     70,976
Turkiye Is Bankasi AS, Class C   449,051     155,804
Turkiye Sinai Kalkinma Bankasi AS (A)   141,027     36,915
Turkiye Sise ve Cam Fabrikalari AS   68,317     96,043
Turkiye Vakiflar Bankasi TAO, Class D (A)   50,235     22,946
Uzel Makina Sanayii AS (A)(C)   22,930     0
Vestel Elektronik Sanayi ve Ticaret AS (A)   6,172     16,227
Yapi ve Kredi Bankasi AS   201,012     170,878
Zorlu Enerji Elektrik Uretim AS (A)   172,383     30,265
          2,356,197
United Arab Emirates - 1.3%          
Abu Dhabi Commercial Bank PJSC   236,700     541,221
Abu Dhabi National Hotels   157,983     27,768
Agthia Group PJSC   14,633     23,398
Al Seer Marine Supplies & Equipment Company LLC (A)   4,350     6,496
Aldar Properties PJSC   171,981     258,547
Amanat Holdings PJSC   77,820     22,906
Amlak Finance PJSC (A)   70,121     15,943
Dana Gas PJSC   521,590     92,024
Deyaar Development PJSC (A)   121,075     26,686
Dubai Investments PJSC   195,034     121,583
Emaar Development PJSC   41,005     91,544
Emaar Properties PJSC   492,049     1,091,994
Emirates NBD Bank PJSC   103,921     489,678
EMSTEEL Building Materials PJSC (A)   127,736     51,820
Eshraq Investments PJSC (A)   138,023     10,600
Islamic Arab Insurance Company (A)   45,511     4,548
Multiply Group PJSC (A)   213,931     130,534
RAK Properties PJSC   77,735     27,745
Ras Al Khaimah Ceramics   24,868     18,486
 
  68  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Arab Emirates (continued)          
SHUAA Capital PSC (A)   76,875   $ 2,394
          3,055,915
United Kingdom - 0.1%          
AngloGold Ashanti PLC (D)   6,663     147,919
United States - 0.0%          
Nexteer Automotive Group, Ltd.   95,000     44,751
TOTAL COMMON STOCKS (Cost $222,552,778)   $ 221,226,093
PREFERRED SECURITIES - 2.2%      
Brazil - 2.2%          
Banco ABC Brasil SA   10,353     50,017
Banco ABC Brasil SA (A)   360     1,756
Banco Bradesco SA   249,976     710,742
Banco do Estado do Rio Grande do Sul SA, B Shares   22,600     60,157
Eucatex SA Industria e Comercio   4,200     14,446
Gerdau SA   86,494     382,854
Marcopolo SA   41,040     61,698
Petroleo Brasileiro SA   483,006     3,597,939
Randon SA Implementos e Participacoes   14,672     37,650
Usinas Siderurgicas de Minas Gerais SA, A Shares   31,168     62,207
          4,979,466
Colombia - 0.0%          
Bancolombia SA   2,754     23,415
Grupo Argos SA   23,975     69,986
Grupo de Inversiones Suramericana SA   9,424     45,226
          138,627
India - 0.0%          
Sundaram-Clayton, Ltd. (A)(C)   51     12
Philippines - 0.0%          
Cebu Air, Inc., 6.000%   15,189     9,240
TOTAL PREFERRED SECURITIES (Cost $4,482,759)   $ 5,127,345
Emerging Markets Value Trust (continued)
    Shares or
Principal
Amount
  Value
WARRANTS - 0.0%          
Grupo Casas Bahia SA (Expiration Date: 9-19-24; Strike Price: BRL 20.00) (A)   50,745   $ 202
TOTAL WARRANTS (Cost $0)   $ 202
SHORT-TERM INVESTMENTS - 0.7%      
Short-term funds - 0.7%          
John Hancock Collateral Trust, 5.2975% (E)(F)   152,294     1,522,546
TOTAL SHORT-TERM INVESTMENTS (Cost $1,523,058)   $ 1,522,546
Total Investments (Emerging Markets Value Trust)
(Cost $228,558,595) - 100.3%
  $ 227,876,186
Other assets and liabilities, net - (0.3%)     (675,601)
TOTAL NET ASSETS - 100.0%   $ 227,200,585
Currency Abbreviations
BRL Brazilian Real
Security Abbreviations and Legend
ADR American Depositary Receipt
BDR Brazilian Depositary Receipt
GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt
(A) Non-income producing security.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(D) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $1,476,185.
(E) The rate shown is the annualized seven-day yield as of 3-31-24.
(F) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
S&P 500 E-Mini Index Futures 6 Long Jun 2024 $1,552,280 $1,592,550 $40,270
            $40,270
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Equity Income Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.0%      
Communication services – 4.7%          
Diversified telecommunication services – 0.7%      
AT&T, Inc.   120,337   $ 2,117,931
Verizon Communications, Inc.   189,549     7,953,476
          10,071,407
Entertainment – 1.4%      
The Walt Disney Company   168,337     20,597,715
Media – 2.6%      
Comcast Corp., Class A   98,618     4,275,090
Equity Income Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Media (continued)      
News Corp., Class A   1,141,116   $ 29,874,417
News Corp., Class B   109,782     2,970,701
          37,120,208
          67,789,330
 
  69  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Equity Income Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer discretionary – 2.4%          
Broadline retail – 0.5%      
Kohl's Corp.   227,865   $ 6,642,265
Hotels, restaurants and leisure – 1.0%      
Las Vegas Sands Corp.   294,232     15,211,794
Leisure products – 0.5%      
Mattel, Inc. (A)   381,617     7,559,833
Specialty retail – 0.4%      
Best Buy Company, Inc.   12,823     1,051,871
The TJX Companies, Inc.   43,541     4,415,928
          5,467,799
          34,881,691
Consumer staples – 8.2%          
Beverages – 0.1%      
Constellation Brands, Inc., Class A   5,603     1,522,671
Consumer staples distribution and retail – 1.4%      
Dollar General Corp.   25,300     3,948,318
Walmart, Inc.   274,025     16,488,084
          20,436,402
Food products – 2.1%      
Conagra Brands, Inc.   543,119     16,098,047
Mondelez International, Inc., Class A   15,765     1,103,550
Tyson Foods, Inc., Class A   216,892     12,738,067
          29,939,664
Household products – 2.1%      
Colgate-Palmolive Company   115,300     10,382,765
Kimberly-Clark Corp.   149,413     19,326,572
          29,709,337
Personal care products – 1.1%      
Kenvue, Inc.   730,871     15,684,492
Tobacco – 1.4%      
Philip Morris International, Inc.   227,292     20,824,493
          118,117,059
Energy – 8.8%          
Energy equipment and services – 0.2%      
Baker Hughes Company   64,300     2,154,050
Oil, gas and consumable fuels – 8.6%      
Chevron Corp.   18,027     2,843,579
ConocoPhillips   41,100     5,231,208
Enbridge, Inc.   227,606     8,234,785
EOG Resources, Inc.   80,631     10,307,867
EQT Corp.   239,600     8,881,972
Exxon Mobil Corp.   190,000     22,085,600
Hess Corp.   63,905     9,754,459
Suncor Energy, Inc.   233,100     8,603,721
TC Energy Corp. (B)   114,791     4,614,598
The Williams Companies, Inc.   170,900     6,659,973
TotalEnergies SE   454,368     31,255,693
TotalEnergies SE, ADR   85,869     5,910,363
          124,383,818
          126,537,868
Financials – 23.4%          
Banks – 9.2%      
Bank of America Corp.   202,356     7,673,340
Citigroup, Inc.   239,584     15,151,292
Fifth Third Bancorp   500,214     18,612,963
Huntington Bancshares, Inc.   1,028,840     14,352,318
JPMorgan Chase & Co.   94,025     18,833,208
U.S. Bancorp   334,187     14,938,159
Equity Income Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Wells Fargo & Company   744,776   $ 43,167,218
          132,728,498
Capital markets – 2.5%      
Morgan Stanley   57,845     5,446,685
The Bank of New York Mellon Corp.   45,500     2,621,710
The Charles Schwab Corp.   320,779     23,205,153
The Goldman Sachs Group, Inc.   12,271     5,125,474
          36,399,022
Financial services – 3.2%      
Apollo Global Management, Inc.   37,600     4,228,120
Equitable Holdings, Inc.   636,985     24,211,800
Fiserv, Inc. (A)   109,290     17,466,728
          45,906,648
Insurance – 8.5%      
American International Group, Inc.   450,549     35,219,415
Chubb, Ltd.   122,890     31,844,486
Loews Corp.   193,435     15,144,026
MetLife, Inc.   303,988     22,528,551
The Hartford Financial Services Group, Inc.   182,166     18,772,206
          123,508,684
          338,542,852
Health care – 15.7%          
Biotechnology – 0.8%      
AbbVie, Inc.   42,009     7,649,839
Biogen, Inc. (A)   20,194     4,354,432
          12,004,271
Health care equipment and supplies – 4.4%      
Becton, Dickinson and Company   99,338     24,581,188
GE HealthCare Technologies, Inc.   67,250     6,113,698
Medtronic PLC   140,723     12,264,009
Zimmer Biomet Holdings, Inc.   154,839     20,435,651
          63,394,546
Health care providers and services – 5.3%      
Cardinal Health, Inc.   19,371     2,167,615
Centene Corp. (A)   37,252     2,923,537
CVS Health Corp.   209,993     16,749,042
Elevance Health, Inc.   67,636     35,071,971
Humana, Inc.   3,100     1,074,832
The Cigna Group   50,177     18,223,785
          76,210,782
Pharmaceuticals – 5.2%      
AstraZeneca PLC, ADR   148,527     10,062,704
Bristol-Myers Squibb Company   101,800     5,520,614
Johnson & Johnson   98,650     15,605,444
Merck & Company, Inc.   109,353     14,429,128
Pfizer, Inc.   335,165     9,300,829
Sanofi SA   84,164     8,187,846
Sanofi SA, ADR   22,628     1,099,721
Viatris, Inc.   879,561     10,501,958
          74,708,244
          226,317,843
Industrials – 12.4%          
Aerospace and defense – 2.9%      
L3Harris Technologies, Inc.   115,698     24,655,244
 
  70  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Equity Income Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Aerospace and defense (continued)      
The Boeing Company (A)   91,091   $ 17,579,652
          42,234,896
Air freight and logistics – 0.9%      
United Parcel Service, Inc., Class B   87,734     13,039,904
Commercial services and supplies – 0.3%      
Stericycle, Inc. (A)   81,949     4,322,810
Ground transportation – 1.3%      
Norfolk Southern Corp.   44,900     11,443,663
Union Pacific Corp.   27,100     6,664,703
          18,108,366
Industrial conglomerates – 4.2%      
3M Company   31,700     3,362,419
General Electric Company   200,562     35,204,648
Honeywell International, Inc.   22,700     4,659,175
Siemens AG, ADR   187,337     17,877,570
          61,103,812
Machinery – 2.0%      
Cummins, Inc.   27,495     8,101,402
Flowserve Corp.   4,110     187,745
Stanley Black & Decker, Inc.   205,973     20,170,936
          28,460,083
Passenger airlines – 0.8%      
Southwest Airlines Company   411,833     12,021,405
          179,291,276
Information technology – 9.4%          
Communications equipment – 0.2%      
Cisco Systems, Inc.   50,069     2,498,944
Electronic equipment, instruments and components – 0.6%      
TE Connectivity, Ltd.   57,853     8,402,570
IT services – 0.5%      
Accenture PLC, Class A   19,927     6,906,897
Semiconductors and semiconductor equipment – 5.5%      
Advanced Micro Devices, Inc. (A)   6,100     1,100,989
Applied Materials, Inc.   91,746     18,920,778
Intel Corp.   102,600     4,531,842
Qualcomm, Inc.   255,271     43,217,380
Texas Instruments, Inc.   69,065     12,031,814
          79,802,803
Software – 1.6%      
Microsoft Corp.   57,050     24,002,076
Technology hardware, storage and peripherals – 1.0%      
Samsung Electronics Company, Ltd.   239,056     14,366,667
          135,979,957
Materials – 3.0%          
Chemicals – 1.9%      
CF Industries Holdings, Inc.   298,312     24,822,542
International Flavors & Fragrances, Inc.   32,028     2,754,088
          27,576,630
Containers and packaging – 1.1%      
International Paper Company   421,573     16,449,778
          44,026,408
Equity Income Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Real estate – 4.1%          
Industrial REITs – 0.2%      
Rexford Industrial Realty, Inc.   67,478   $ 3,394,143
Office REITs – 0.0%      
Vornado Realty Trust   19,204     552,499
Residential REITs – 1.4%      
Equity Residential   307,158     19,384,741
Specialized REITs – 2.5%      
Rayonier, Inc.   345,730     11,492,065
Weyerhaeuser Company   667,836     23,981,991
          35,474,056
          58,805,439
Utilities – 5.9%          
Electric utilities – 3.1%      
NextEra Energy, Inc.   159,637     10,202,401
PG&E Corp.   114,800     1,924,048
The Southern Company   460,139     33,010,372
          45,136,821
Multi-utilities – 2.8%      
Ameren Corp.   144,113     10,658,597
Dominion Energy, Inc.   347,009     17,069,373
NiSource, Inc.   82,031     2,268,977
Sempra   140,341     10,080,694
          40,077,641
          85,214,462
TOTAL COMMON STOCKS (Cost $1,044,173,246)   $ 1,415,504,185
PREFERRED SECURITIES – 1.3%          
Consumer discretionary – 1.2%          
Automobiles – 1.2%      
Dr. Ing. h.c. F. Porsche AG (B)(C)   92,222     9,172,198
Volkswagen AG, ADR   624,024     8,249,597
          17,421,795
Utilities – 0.1%          
Electric utilities – 0.1%      
NextEra Energy, Inc., 6.926% (B)   56,812     2,211,691
TOTAL PREFERRED SECURITIES (Cost $19,442,284)   $ 19,633,486
SHORT-TERM INVESTMENTS – 1.4%      
Short-term funds – 1.4%          
John Hancock Collateral Trust, 5.2975% (D)(E)   1,377,730     13,773,722
State Street Institutional U.S. Government Money Market Fund, Premier Class, 5.2417% (D)   3,025,902     3,025,902
T. Rowe Price Government Reserve Fund, 5.3578% (D)   3,661,248     3,661,248
TOTAL SHORT-TERM INVESTMENTS (Cost $20,464,302)   $ 20,460,872
Total Investments (Equity Income Trust)
(Cost $1,084,079,832) – 100.7%
  $ 1,455,598,543
Other assets and liabilities, net – (0.7%)     (10,794,063)
TOTAL NET ASSETS – 100.0%   $ 1,444,804,480
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $13,236,607.
(C) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
 
  71  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Equity Income Trust (continued)
(D) The rate shown is the annualized seven-day yield as of 3-31-24.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Financial Industries Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 97.3%      
Financials – 95.5%          
Banks – 36.6%      
American Business Bank (A)   26,233   $ 970,621
Atlantic Union Bankshares Corp.   27,643     976,074
Bank of America Corp.   47,786     1,812,045
Bank of Marin Bancorp   21,959     368,252
California BanCorp (A)   15,510     341,220
Citigroup, Inc.   76,009     4,806,810
Danske Bank A/S   89,619     2,690,040
East West Bancorp, Inc.   44,645     3,531,866
Eastern Bankshares, Inc.   90,122     1,241,881
Enterprise Bancorp, Inc.   13,066     339,324
Fifth Third Bancorp   66,601     2,478,223
JPMorgan Chase & Co.   17,387     3,482,616
M&T Bank Corp.   21,743     3,162,302
Popular, Inc.   23,422     2,063,244
Sumitomo Mitsui Financial Group, Inc.   58,300     3,408,959
Sumitomo Mitsui Trust Holdings, Inc.   107,100     2,307,641
Synovus Financial Corp.   80,441     3,222,466
U.S. Bancorp   52,175     2,332,223
Wells Fargo & Company   54,284     3,146,301
Western Alliance Bancorp   30,629     1,966,076
          44,648,184
Capital markets – 26.1%      
Ameriprise Financial, Inc.   8,762     3,841,611
Ares Management Corp., Class A   19,408     2,580,876
Cboe Global Markets, Inc.   8,985     1,650,814
Intercontinental Exchange, Inc.   14,714     2,022,145
KKR & Company, Inc.   43,756     4,400,978
Morgan Stanley   18,730     1,763,617
Nasdaq, Inc.   30,961     1,953,639
Onex Corp.   17,674     1,323,968
S&P Global, Inc.   4,879     2,075,771
The Carlyle Group, Inc.   41,275     1,936,210
The Charles Schwab Corp.   39,730     2,874,068
The Goldman Sachs Group, Inc.   7,709     3,219,972
Tradeweb Markets, Inc., Class A   22,096     2,301,740
          31,945,409
Consumer finance – 4.2%      
American Express Company   14,448     3,289,665
Discover Financial Services   14,093     1,847,451
          5,137,116
Financial services – 9.3%      
Adyen NV (A)(B)   538     908,755
Fiserv, Inc. (A)   17,823     2,848,472
Mastercard, Inc., Class A   6,379     3,071,935
Visa, Inc., Class A   16,374     4,569,656
          11,398,818
Insurance – 19.3%      
Aon PLC, Class A   7,477     2,495,224
Arch Capital Group, Ltd. (A)   13,292     1,228,712
Arthur J. Gallagher & Company   6,532     1,633,261
Chubb, Ltd.   5,690     1,474,450
Everest Group, Ltd.   1,736     690,060
Kinsale Capital Group, Inc.   4,797     2,517,178
NN Group NV   32,901     1,518,877
Palomar Holdings, Inc. (A)   9,560     801,415
Financial Industries Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
Reinsurance Group of America, Inc.   14,412   $ 2,779,787
Skyward Specialty Insurance Group, Inc. (A)   56,434     2,111,196
The Progressive Corp.   17,272     3,572,195
Unum Group   50,400     2,704,464
          23,526,819
          116,656,346
Real estate – 1.8%          
Industrial REITs – 0.6%      
Prologis Property Mexico SA de CV   153,009     669,659
Specialized REITs – 1.2%      
Digital Realty Trust, Inc.   10,404     1,498,592
          2,168,251
TOTAL COMMON STOCKS (Cost $95,459,756)   $ 118,824,597
CONVERTIBLE BONDS - 0.6%          
Financials - 0.6%          
Redwood Trust, Inc.
7.750%, 06/15/2027
$ 745,000     713,338
TOTAL CONVERTIBLE BONDS (Cost $679,508)   $ 713,338
SHORT-TERM INVESTMENTS – 1.3%      
Short-term funds – 1.3%          
John Hancock Collateral Trust, 5.2975% (C)(D)   154,433     1,543,933
TOTAL SHORT-TERM INVESTMENTS (Cost $1,544,371)   $ 1,543,933
Total Investments (Financial Industries Trust)
(Cost $97,683,635) – 99.2%
  $ 121,081,868
Other assets and liabilities, net – 0.8%     1,035,569
TOTAL NET ASSETS – 100.0%   $ 122,117,437
Security Abbreviations and Legend
(A) Non-income producing security.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor.
Fundamental All Cap Core Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 99.6%      
Communication services – 9.6%          
Entertainment – 3.2%      
Liberty Media Corp.-Liberty Formula One, Series C (A)   827,036   $ 54,253,562
Warner Brothers Discovery, Inc. (A)   2,668,010     23,291,727
          77,545,289
Interactive media and services – 6.4%      
Alphabet, Inc., Class A (A)   912,866     137,778,865
CarGurus, Inc. (A)   886,527     20,461,043
          158,239,908
          235,785,197
 
  72  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Fundamental All Cap Core Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer discretionary – 21.7%          
Automobile components – 0.3%      
Mobileye Global, Inc., Class A (A)   258,042   $ 8,296,050
Broadline retail – 8.5%      
Amazon.com, Inc. (A)   1,166,445     210,403,347
Household durables – 6.4%      
Lennar Corp., Class A   694,113     119,373,554
NVR, Inc. (A)   4,593     37,203,116
          156,576,670
Leisure products – 1.7%      
Polaris, Inc.   404,708     40,519,365
Specialty retail – 3.6%      
Avolta AG (A)   713,517     29,708,955
Group 1 Automotive, Inc.   198,811     58,098,539
          87,807,494
Textiles, apparel and luxury goods – 1.2%      
Canada Goose Holdings, Inc. (A)   1,640,288     19,781,873
Salvatore Ferragamo SpA   889,619     10,823,478
          30,605,351
          534,208,277
Consumer staples – 3.3%          
Beverages – 1.7%      
Anheuser-Busch InBev SA/NV, ADR   705,260     42,865,703
Consumer staples distribution and retail – 1.2%      
Walmart, Inc.   475,953     28,638,092
Food products – 0.4%      
The Hain Celestial Group, Inc. (A)   1,265,666     9,948,135
          81,451,930
Energy – 4.1%          
Oil, gas and consumable fuels – 4.1%      
Cheniere Energy, Inc.   394,728     63,661,732
Suncor Energy, Inc.   1,020,247     37,657,317
          101,319,049
Financials – 16.9%          
Banks – 3.4%      
First Hawaiian, Inc.   3,800,977     83,469,455
Capital markets – 13.5%      
KKR & Company, Inc.   1,094,713     110,106,234
Morgan Stanley   957,140     90,124,302
S&P Global, Inc.   106,867     45,466,565
The Goldman Sachs Group, Inc.   208,525     87,098,807
          332,795,908
          416,265,363
Health care – 6.3%          
Biotechnology – 1.2%      
Alnylam Pharmaceuticals, Inc. (A)   62,449     9,333,003
Moderna, Inc. (A)   186,436     19,866,620
          29,199,623
Health care equipment and supplies – 2.0%      
Hologic, Inc. (A)   634,696     49,480,900
Health care providers and services – 1.7%      
Elevance Health, Inc.   82,291     42,671,175
Life sciences tools and services – 0.7%      
Thermo Fisher Scientific, Inc.   31,220     18,145,376
Pharmaceuticals – 0.7%      
Elanco Animal Health, Inc. (A)   976,645     15,899,781
          155,396,855
Fundamental All Cap Core Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Industrials – 6.9%          
Electrical equipment – 2.4%      
Regal Rexnord Corp.   279,102   $ 50,266,270
Sensata Technologies Holding PLC   224,150     8,235,271
          58,501,541
Machinery – 1.8%      
Parker-Hannifin Corp.   80,807     44,911,723
Trading companies and distributors – 2.7%      
United Rentals, Inc.   93,179     67,192,309
          170,605,573
Information technology – 25.9%          
Semiconductors and semiconductor equipment – 11.0%      
Analog Devices, Inc.   370,789     73,338,356
NVIDIA Corp.   175,271     158,367,865
Texas Instruments, Inc.   221,213     38,537,517
          270,243,738
Software – 11.4%      
Autodesk, Inc. (A)   141,971     36,972,088
Microsoft Corp.   70,722     29,754,160
Oracle Corp.   350,708     44,052,432
Roper Technologies, Inc.   69,574     39,019,882
Salesforce, Inc.   277,596     83,606,363
Workday, Inc., Class A (A)   176,666     48,185,652
          281,590,577
Technology hardware, storage and peripherals – 3.5%      
Apple, Inc.   502,588     86,183,790
          638,018,105
Materials – 1.1%          
Chemicals – 1.1%      
Axalta Coating Systems, Ltd. (A)   815,993     28,061,999
Real estate – 3.8%          
Real estate management and development – 0.3%      
Five Point Holdings LLC, Class A (A)   2,325,437     7,278,618
Specialized REITs – 3.5%      
American Tower Corp.   34,198     6,757,183
Crown Castle, Inc.   739,250     78,234,828
          84,992,011
          92,270,629
TOTAL COMMON STOCKS (Cost $1,473,939,910)   $ 2,453,382,977
SHORT-TERM INVESTMENTS – 0.5%      
Short-term funds – 0.5%          
John Hancock Collateral Trust, 5.2975% (B)(C)   1,257,133     12,568,059
TOTAL SHORT-TERM INVESTMENTS (Cost $12,572,031)   $ 12,568,059
Total Investments (Fundamental All Cap Core Trust)
(Cost $1,486,511,941) – 100.1%
  $ 2,465,951,036
Other assets and liabilities, net – (0.1%)     (1,533,225)
TOTAL NET ASSETS – 100.0%   $ 2,464,417,811
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
(B) The rate shown is the annualized seven-day yield as of 3-31-24.
(C) Investment is an affiliate of the fund, the advisor and/or subadvisor.
 
  73  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Fundamental Large Cap Value Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 97.4%      
Communication services – 6.8%          
Interactive media and services – 2.8%      
Alphabet, Inc., Class A (A)   100,607   $ 15,184,615
Meta Platforms, Inc., Class A   16,320     7,924,666
          23,109,281
Media – 4.0%      
Charter Communications, Inc., Class A (A)   18,020     5,237,153
Comcast Corp., Class A   651,831     28,256,874
          33,494,027
          56,603,308
Consumer discretionary – 7.4%          
Broadline retail – 1.7%      
eBay, Inc.   275,897     14,561,844
Household durables – 3.7%      
Lennar Corp., Class A   177,556     30,536,081
Specialty retail – 2.0%      
Avolta AG (A)   172,702     7,190,853
CarMax, Inc. (A)   107,097     9,329,220
          16,520,073
          61,617,998
Consumer staples – 8.4%          
Beverages – 2.6%      
Anheuser-Busch InBev SA/NV, ADR   208,153     12,651,539
Heineken Holding NV   108,171     8,729,826
          21,381,365
Consumer staples distribution and retail – 3.4%      
Walmart, Inc.   476,708     28,683,520
Food products – 1.4%      
Danone SA   178,093     11,512,790
Personal care products – 1.0%      
Haleon PLC, ADR   983,384     8,348,930
          69,926,605
Energy – 6.8%          
Oil, gas and consumable fuels – 6.8%      
Cheniere Energy, Inc.   154,460     24,911,309
Chevron Corp.   64,693     10,204,674
Kinder Morgan, Inc.   199,703     3,662,553
Suncor Energy, Inc.   469,715     17,337,181
          56,115,717
Financials – 21.0%          
Banks – 9.1%      
Bank of America Corp.   496,718     18,835,547
Citigroup, Inc.   334,171     21,132,974
JPMorgan Chase & Co.   86,281     17,282,084
Wells Fargo & Company   314,932     18,253,459
          75,504,064
Capital markets – 11.4%      
KKR & Company, Inc.   300,787     30,253,156
Morgan Stanley   117,356     11,050,241
Nasdaq, Inc.   375,945     23,722,130
State Street Corp.   237,057     18,329,247
The Goldman Sachs Group, Inc.   26,507     11,071,709
          94,426,483
Consumer finance – 0.5%      
American Express Company   20,175     4,593,646
          174,524,193
Health care – 16.0%          
Biotechnology – 2.1%      
Gilead Sciences, Inc.   136,741     10,016,278
Fundamental Large Cap Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Moderna, Inc. (A)   66,885   $ 7,127,266
          17,143,544
Health care equipment and supplies – 2.0%      
Hologic, Inc. (A)   217,476     16,954,429
Health care providers and services – 4.9%      
Elevance Health, Inc.   78,579     40,746,355
Life sciences tools and services – 1.4%      
Danaher Corp.   45,238     11,296,833
Pharmaceuticals – 5.6%      
Elanco Animal Health, Inc. (A)   907,219     14,769,525
GSK PLC, ADR   386,185     16,555,751
Merck & Company, Inc.   48,409     6,387,568
Novartis AG, ADR   89,758     8,682,291
          46,395,135
          132,536,296
Industrials – 13.4%          
Aerospace and defense – 3.7%      
Airbus SE   44,559     8,209,050
L3Harris Technologies, Inc.   40,620     8,656,122
RTX Corp.   138,321     13,490,447
          30,355,619
Electrical equipment – 0.7%      
Sensata Technologies Holding PLC   162,252     5,961,138
Machinery – 5.5%      
Fortive Corp.   171,104     14,718,366
Parker-Hannifin Corp.   55,905     31,071,440
          45,789,806
Trading companies and distributors – 3.5%      
United Rentals, Inc.   40,640     29,305,910
          111,412,473
Information technology – 12.2%          
Electronic equipment, instruments and components – 2.1%      
Vontier Corp.   379,956     17,234,804
IT services – 0.9%      
Cognizant Technology Solutions Corp., Class A   106,704     7,820,336
Semiconductors and semiconductor equipment – 2.0%      
Analog Devices, Inc.   53,013     10,485,441
Taiwan Semiconductor Manufacturing Company, Ltd., ADR   42,381     5,765,935
          16,251,376
Software – 6.1%      
Microsoft Corp.   34,074     14,335,613
Oracle Corp.   292,675     36,762,907
          51,098,520
Technology hardware, storage and peripherals – 1.1%      
Samsung Electronics Company, Ltd.   151,899     9,128,749
          101,533,785
Materials – 2.1%          
Chemicals – 2.1%      
Axalta Coating Systems, Ltd. (A)   280,633     9,650,969
LyondellBasell Industries NV, Class A   70,886     7,250,220
          16,901,189
Real estate – 3.3%          
Specialized REITs – 3.3%      
Crown Castle, Inc.   256,181     27,111,635
TOTAL COMMON STOCKS (Cost $563,134,240)   $ 808,283,199
 
  74  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Fundamental Large Cap Value Trust (continued)
    Shares or
Principal
Amount
  Value
ESCROW CERTIFICATES - 0.0%          
Sino-Forest Corp. (A)(B)   3,244,100   $ 0
TOTAL ESCROW CERTIFICATES (Cost $3)   $ 0
SHORT-TERM INVESTMENTS – 3.1%      
Short-term funds – 3.1%          
John Hancock Collateral Trust, 5.2975% (C)(D)   2,609,509     26,088,308
TOTAL SHORT-TERM INVESTMENTS (Cost $26,094,546)   $ 26,088,308
Total Investments (Fundamental Large Cap Value Trust)
(Cost $589,228,789) – 100.5%
  $ 834,371,507
Other assets and liabilities, net – (0.5%)     (4,485,244)
TOTAL NET ASSETS – 100.0%   $ 829,886,263
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
(B) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor.
Global Equity Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS - 95.7%      
France - 13.9%          
Air Liquide SA   21,891   $ 4,554,408
Capgemini SE   25,104     5,776,720
Carrefour SA   227,212     3,897,682
Cie de Saint-Gobain SA   120,774     9,373,756
Sanofi SA   76,744     7,466,025
Thales SA   28,531     4,863,991
TotalEnergies SE   108,454     7,460,508
          43,393,090
Germany - 0.9%          
Deutsche Post AG   66,380     2,860,814
Ireland - 5.5%          
Accenture PLC, Class A   11,978     4,151,695
CRH PLC   99,941     8,625,897
CRH PLC (New York Stock Exchange)   12,505     1,078,681
Ryanair Holdings PLC, ADR   23,789     3,463,441
          17,319,714
Japan - 10.5%          
FANUC Corp.   206,555     5,762,159
Mitsubishi Estate Company, Ltd.   225,769     4,119,377
Sumitomo Mitsui Financial Group, Inc.   217,600     12,723,661
Sumitomo Mitsui Trust Holdings, Inc.   156,800     3,378,508
Tokyo Electric Power Company Holdings, Inc. (A)   1,105,200     6,717,548
          32,701,253
Netherlands - 5.3%          
ING Groep NV   589,620     9,707,115
Koninklijke Ahold Delhaize NV   119,643     3,579,945
Stellantis NV   117,057     3,325,488
          16,612,548
Spain - 1.3%          
Amadeus IT Group SA   61,933     3,975,907
Switzerland - 1.6%          
Chubb, Ltd.   19,178     4,969,595
United Kingdom - 0.9%          
Reckitt Benckiser Group PLC   46,578     2,655,177
Global Equity Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United States - 55.8%          
Abbott Laboratories   26,379   $ 2,998,237
Alphabet, Inc., Class A (A)   68,529     10,343,082
Analog Devices, Inc.   18,192     3,598,196
Apple, Inc.   47,459     8,138,269
Arthur J. Gallagher & Company   15,363     3,841,365
AutoZone, Inc. (A)   2,009     6,331,665
Bank of America Corp.   134,543     5,101,871
Cisco Systems, Inc.   88,393     4,411,695
ConocoPhillips   80,820     10,286,770
Corteva, Inc.   114,734     6,616,710
CSX Corp.   130,290     4,829,850
Darden Restaurants, Inc.   31,987     5,346,627
Elevance Health, Inc.   15,242     7,903,587
Emerson Electric Company   38,198     4,332,417
GE HealthCare Technologies, Inc.   52,342     4,758,411
Intercontinental Exchange, Inc.   33,137     4,554,018
Lennar Corp., Class A   19,170     3,296,857
Lowe's Companies, Inc.   25,021     6,373,599
McKesson Corp.   8,732     4,687,774
Microsoft Corp.   39,977     16,819,124
Oracle Corp.   38,397     4,823,047
Otis Worldwide Corp.   40,621     4,032,447
Philip Morris International, Inc.   90,233     8,267,147
Target Corp.   25,105     4,448,857
The Interpublic Group of Companies, Inc.   67,308     2,196,260
The Walt Disney Company   30,597     3,743,849
T-Mobile US, Inc.   28,952     4,725,545
United Rentals, Inc.   6,119     4,412,472
Walmart, Inc.   52,515     3,159,828
Waste Management, Inc.   20,080     4,280,052
Wells Fargo & Company   94,850     5,497,506
          174,157,134
TOTAL COMMON STOCKS (Cost $238,952,763)   $ 298,645,232
PREFERRED SECURITIES - 3.6%      
South Korea - 3.6%          
Samsung Electronics Company, Ltd.   227,550     11,357,521
TOTAL PREFERRED SECURITIES (Cost $11,209,593)   $ 11,357,521
ESCROW CERTIFICATES - 0.0%          
Texas Competitive Electric Holdings Company LLC (A)(B) $ 7,466,240     0
TOTAL ESCROW CERTIFICATES (Cost $0)   $ 0
SHORT-TERM INVESTMENTS - 1.4%      
Short-term funds - 1.4%          
Federated Government Obligations Fund, Institutional Class, 5.1800% (C)   4,500,650     4,500,650
TOTAL SHORT-TERM INVESTMENTS (Cost $4,500,650)   $ 4,500,650
Total Investments (Global Equity Trust)
(Cost $254,663,006) - 100.7%
  $ 314,503,403
Other assets and liabilities, net - (0.7%)     (2,335,495)
TOTAL NET ASSETS - 100.0%   $ 312,167,908
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
(B) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
 
  75  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Health Sciences Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.9%      
Financials – 0.3%          
Financial services – 0.1%      
Helix Acquisition Corp. II (A)   16,298   $ 168,684
Insurance – 0.2%      
Oscar Health, Inc., Class A (A)   41,174     612,257
          780,941
Health care – 98.6%          
Biotechnology – 31.7%      
AbbVie, Inc.   7,657     1,394,340
ACADIA Pharmaceuticals, Inc. (A)   18,341     339,125
Acumen Pharmaceuticals, Inc. (A)   15,500     62,775
Agios Pharmaceuticals, Inc. (A)   16,527     483,249
Akero Therapeutics, Inc. (A)   15,591     393,829
Alector, Inc. (A)   12,104     72,866
Alkermes PLC (A)   30,647     829,614
Allogene Therapeutics, Inc. (A)   51,354     229,552
Alnylam Pharmaceuticals, Inc. (A)   24,426     3,650,466
Alpine Immune Sciences, Inc. (A)   15,233     603,836
ALX Oncology Holdings, Inc. (A)   9,800     109,270
Amgen, Inc.   15,961     4,538,032
AnaptysBio, Inc. (A)   2,300     51,796
Annexon, Inc. (A)   18,400     131,928
Apellis Pharmaceuticals, Inc. (A)   25,474     1,497,362
Apogee Therapeutics, Inc. (A)   17,772     1,180,949
Arcellx, Inc. (A)   7,340     510,497
Ardelyx, Inc. (A)   54,174     395,470
Argenx SE, ADR (A)   14,270     5,618,384
Ascendis Pharma A/S, ADR (A)   10,972     1,658,637
Atara Biotherapeutics, Inc. (A)   78,100     54,201
Aura Biosciences, Inc. (A)   10,426     81,844
Autolus Therapeutics PLC, ADR (A)   38,928     248,361
Avidity Biosciences, Inc. (A)   53,352     1,361,543
Beam Therapeutics, Inc. (A)   16,900     558,376
BeiGene, Ltd., ADR (A)   11,885     1,858,695
Bicycle Therapeutics PLC, ADR (A)   10,444     260,056
Biogen, Inc. (A)   7,038     1,517,604
Biohaven, Ltd. (A)   31,744     1,736,079
BioMarin Pharmaceutical, Inc. (A)   14,769     1,289,924
Blueprint Medicines Corp. (A)   37,765     3,582,388
C4 Therapeutics, Inc. (A)   14,300     116,831
Cabaletta Bio, Inc. (A)   9,787     166,966
Cargo Therapeutics, Inc. (A)   32,453     724,351
Celldex Therapeutics, Inc. (A)   25,830     1,084,085
Centessa Pharmaceuticals PLC, ADR (A)   26,313     297,337
CG Oncology, Inc. (A)   14,001     614,644
Corbus Pharmaceuticals Holdings, Inc. (A)   2,698     105,870
Crinetics Pharmaceuticals, Inc. (A)   18,414     861,959
CRISPR Therapeutics AG (A)   1,842     125,551
Cytokinetics, Inc. (A)   8,539     598,669
Day One Biopharmaceuticals, Inc. (A)   1,141     18,849
Denali Therapeutics, Inc. (A)   18,220     373,874
Disc Medicine, Inc. (A)   3,902     242,939
Dyne Therapeutics, Inc. (A)   8,500     241,315
Entrada Therapeutics, Inc. (A)   11,625     164,726
Exact Sciences Corp. (A)   16,241     1,121,603
Exelixis, Inc. (A)   19,678     466,959
Fate Therapeutics, Inc. (A)   6,900     50,646
Generation Bio Company (A)   37,692     153,406
Geron Corp. (A)   24,900     82,170
Gossamer Bio, Inc. (A)   45,188     53,322
Ideaya Biosciences, Inc. (A)   20,344     892,695
IGM Biosciences, Inc. (A)   17,234     166,308
Immatics NV (A)   35,390     371,949
Immuneering Corp., Class A (A)   29,676     85,764
Health Sciences Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Immunocore Holdings PLC, ADR (A)   21,610   $ 1,404,650
Immunome, Inc. (A)   29,019     716,189
Immunovant, Inc. (A)   11,095     358,479
Incyte Corp. (A)   7,518     428,300
Insmed, Inc. (A)   40,225     1,091,304
Intellia Therapeutics, Inc. (A)   5,309     146,051
Ionis Pharmaceuticals, Inc. (A)   17,154     743,626
Iovance Biotherapeutics, Inc. (A)   59,007     874,484
Krystal Biotech, Inc. (A)   7,208     1,282,519
Kymera Therapeutics, Inc. (A)   23,246     934,489
Kyverna Therapeutics, Inc. (A)   7,329     182,052
Legend Biotech Corp., ADR (A)   21,441     1,202,626
Lyell Immunopharma, Inc. (A)   95,825     213,690
MacroGenics, Inc. (A)   24,089     354,590
Madrigal Pharmaceuticals, Inc. (A)   5,350     1,428,664
Mereo Biopharma Group PLC, ADR (A)   28,300     93,390
Merus NV (A)   14,335     645,505
Mirum Pharmaceuticals, Inc. (A)   7,791     195,710
Monte Rosa Therapeutics, Inc. (A)   27,152     191,422
MoonLake Immunotherapeutics (A)   18,787     943,671
Morphic Holding, Inc. (A)   15,168     533,914
Neurocrine Biosciences, Inc. (A)   14,248     1,965,084
Nuvalent, Inc., Class A (A)   2,238     168,051
ORIC Pharmaceuticals, Inc. (A)   22,600     310,750
Pharming Group NV (A)   188,255     206,899
Praxis Precision Medicines, Inc. (A)   5,154     314,497
Prelude Therapeutics, Inc. (A)   17,428     82,609
Prime Medicine, Inc. (A)   17,113     119,791
Protagonist Therapeutics, Inc. (A)   15,253     441,269
Prothena Corp. PLC (A)   15,394     381,309
RAPT Therapeutics, Inc. (A)   6,612     59,376
Regeneron Pharmaceuticals, Inc. (A)   7,768     7,476,622
Relay Therapeutics, Inc. (A)   49,181     408,202
Replimune Group, Inc. (A)   29,973     244,879
REVOLUTION Medicines, Inc. (A)   28,781     927,612
Rhythm Pharmaceuticals, Inc. (A)   4,739     205,341
Rocket Pharmaceuticals, Inc. (A)   17,202     463,422
Roivant Sciences, Ltd. (A)   16,493     173,836
Sage Therapeutics, Inc. (A)   16,074     301,227
Sana Biotechnology, Inc. (A)   54,773     547,730
Sarepta Therapeutics, Inc. (A)   5,857     758,247
Scholar Rock Holding Corp. (A)   37,540     666,710
Sensorion SA (A)   182,870     152,224
Soleno Therapeutics, Inc. (A)   4,621     197,779
SpringWorks Therapeutics, Inc. (A)   26,821     1,320,130
Spyre Therapeutics, Inc. (A)   6,330     240,097
Taysha Gene Therapies, Inc. (A)   17,400     49,938
Ultragenyx Pharmaceutical, Inc. (A)   24,805     1,158,145
UroGen Pharma, Ltd. (A)   5,800     87,000
Vaxcyte, Inc. (A)   15,697     1,072,262
Vera Therapeutics, Inc. (A)   13,619     587,251
Vertex Pharmaceuticals, Inc. (A)   14,025     5,862,590
Voyager Therapeutics, Inc. (A)   15,964     148,625
Xencor, Inc. (A)   16,855     373,001
Zai Lab, Ltd., ADR (A)   27,277     436,978
Zentalis Pharmaceuticals, Inc. (A)   25,143     396,254
          87,754,898
Health care equipment and supplies – 16.9%      
Becton, Dickinson and Company   12,211     3,021,612
Boston Scientific Corp. (A)   42,710     2,925,208
DexCom, Inc. (A)   14,449     2,004,076
Edwards Lifesciences Corp. (A)   38,567     3,685,463
Enovis Corp. (A)   4,037     252,111
Haemonetics Corp. (A)   3,000     256,050
Hologic, Inc. (A)   23,161     1,805,632
 
  76  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Health Sciences Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Inspire Medical Systems, Inc. (A)   3,360   $ 721,694
Insulet Corp. (A)   3,405     583,617
Intuitive Surgical, Inc. (A)   29,170     11,641,455
Lantheus Holdings, Inc. (A)   8,245     513,169
Novocure, Ltd. (A)   34,614     541,017
Orchestra BioMed Holdings, Inc. (A)   13,354     70,376
Penumbra, Inc. (A)   13,567     3,027,883
PROCEPT BioRobotics Corp. (A)   14,216     702,555
Shockwave Medical, Inc. (A)   6,663     2,169,673
Siemens Healthineers AG (B)   7,018     429,204
Sonova Holding AG   1,721     498,390
Stryker Corp.   28,452     10,182,117
Teleflex, Inc.   842     190,435
Zimmer Biomet Holdings, Inc.   11,105     1,465,638
          46,687,375
Health care providers and services – 17.6%      
agilon health, Inc. (A)   42,556     259,592
BrightSpring Health Services, Inc. (A)   20,237     219,976
Cardinal Health, Inc.   13,773     1,541,199
Cencora, Inc.   3,710     901,493
Centene Corp. (A)   21,742     1,706,312
Elevance Health, Inc.   19,091     9,899,447
GeneDx Holdings Corp. (A)   918     8,381
Guardant Health, Inc. (A)   15,795     325,851
HCA Healthcare, Inc.   9,189     3,064,807
Humana, Inc.   4,150     1,438,888
McKesson Corp.   2,435     1,307,230
Molina Healthcare, Inc. (A)   10,122     4,158,421
Surgery Partners, Inc. (A)   16,697     498,072
Tenet Healthcare Corp. (A)   12,579     1,322,179
The Cigna Group   14,280     5,186,353
UnitedHealth Group, Inc.   34,004     16,821,779
          48,659,980
Health care technology – 0.7%      
Veeva Systems, Inc., Class A (A)   8,715     2,019,178
Life sciences tools and services – 11.8%      
10X Genomics, Inc., Class A (A)   33,359     1,251,963
Agilent Technologies, Inc.   20,582     2,994,887
Bio-Techne Corp.   18,702     1,316,434
Bruker Corp.   9,654     906,897
Charles River Laboratories International, Inc. (A)   4,175     1,131,216
Danaher Corp.   32,928     8,222,780
ICON PLC (A)   4,602     1,546,042
IQVIA Holdings, Inc. (A)   4,324     1,093,496
Pacific Biosciences of California, Inc. (A)   36,531     136,991
Repligen Corp. (A)   5,299     974,592
Thermo Fisher Scientific, Inc.   19,069     11,083,093
West Pharmaceutical Services, Inc.   4,588     1,815,517
          32,473,908
Pharmaceuticals – 19.9%      
Alto Neuroscience, Inc. (A)   9,005     138,227
Amylyx Pharmaceuticals, Inc. (A)   15,424     43,804
Arvinas, Inc. (A)   21,005     867,086
AstraZeneca PLC, ADR   81,976     5,553,874
Chugai Pharmaceutical Company, Ltd.   13,100     500,622
Daiichi Sankyo Company, Ltd.   20,100     639,559
Eli Lilly & Company   35,261     27,431,652
EyePoint Pharmaceuticals, Inc. (A)   15,686     324,230
Longboard Pharmaceuticals, Inc. (A)   16,599     358,538
Merck & Company, Inc.   85,275     11,252,036
Neumora Therapeutics, Inc. (A)   10,528     144,760
Novo Nordisk A/S, ADR   33,007     4,238,099
Health Sciences Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Nuvation Bio, Inc. (A)   16,100   $ 58,604
Ocular Therapeutix, Inc. (A)   8,400     76,440
Pharvaris NV (A)   14,671     339,047
Pliant Therapeutics, Inc. (A)   13,685     203,907
Structure Therapeutics, Inc., ADR (A)   14,790     633,899
Tarsus Pharmaceuticals, Inc. (A)   5,028     182,768
Viatris, Inc.   25,298     302,058
WaVe Life Sciences, Ltd. (A)   28,947     178,603
Zoetis, Inc.   8,944     1,513,414
          54,981,227
          272,576,566
Materials – 0.0%          
Chemicals – 0.0%      
Ginkgo Bioworks Holdings, Inc. (A)   78,858     91,475
TOTAL COMMON STOCKS (Cost $210,246,091)   $ 273,448,982
PREFERRED SECURITIES – 0.3%          
Health care – 0.3%          
Life sciences tools and services – 0.3%      
Sartorius AG   1,984     787,867
TOTAL PREFERRED SECURITIES (Cost $583,382)   $ 787,867
CONVERTIBLE BONDS - 0.1%          
Health care - 0.1%          
Immunocore Holdings PLC
2.500%, 02/01/2030 (B)
$ 277,000     288,606
TOTAL CONVERTIBLE BONDS (Cost $277,000)   $ 288,606
WARRANTS – 0.0%          
GeneDx Holdings Corp. (Expiration Date: 7-22-26; Strike Price: $11.50) (A)   4,862     267
REVOLUTION Medicines, Inc. (Expiration Date: 11-14-28; Strike Price: $11.50) (A)   4,502     720
SomaLogic, Inc. (Expiration Date: 8-31-26; Strike Price: $11.50) (A)   2,050     207
TOTAL WARRANTS (Cost $29,139)   $ 1,194
SHORT-TERM INVESTMENTS – 0.6%      
Short-term funds – 0.6%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 5.2417% (C)   583,544     583,544
T. Rowe Price Government Reserve Fund, 5.3578% (C)   959,295     959,295
TOTAL SHORT-TERM INVESTMENTS (Cost $1,542,839)   $ 1,542,839
Total Investments (Health Sciences Trust)
(Cost $212,678,451) – 99.9%
  $ 276,069,488
Other assets and liabilities, net – 0.1%     359,683
TOTAL NET ASSETS – 100.0%   $ 276,429,171
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
 
  77  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

High Yield Trust
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS – 0.3%      
Argentina – 0.3%          
Provincia de Buenos Aires
6.375%, (6.375% to 9-1-24, then 6.625% thereafter), 09/01/2037 (A)
$ 743,123   $ 302,787
Republic of Argentina          
1.000%, 07/09/2029   59,073     31,799
3.625%, (3.625% to 7-9-24, then 4.125% to 7-9-27, then 4.750% to 7-9-28, then 5.000% thereafter), 07/09/2035   526,571     218,573
          553,159
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $766,645)   $ 553,159
CORPORATE BONDS – 83.5%      
Communication services – 10.5%          
Accelerate360 Holdings LLC
8.000%, 03/01/2028 (A)
  719,050     746,014
Allen Media LLC
10.500%, 02/15/2028 (A)
  1,470,000     681,352
Altice Financing SA
5.750%, 08/15/2029 (A)
  780,000     624,968
Altice France Holding SA
10.500%, 05/15/2027 (A)
  640,000     239,473
Altice France SA
5.125%, 07/15/2029 (A)
  1,630,000     1,101,935
AMC Entertainment Holdings, Inc.
7.500%, 02/15/2029 (A)(B)
  1,060,000     708,007
Banijay Entertainment SASU
8.125%, 05/01/2029 (A)
  460,000     474,439
CCO Holdings LLC          
4.250%, 02/01/2031 to 01/15/2034 (A)   220,000     174,101
4.500%, 05/01/2032   1,560,000     1,253,607
4.500%, 06/01/2033 (A)   260,000     203,092
4.750%, 02/01/2032 (A)   1,140,000     930,381
Charter Communications Operating LLC          
3.700%, 04/01/2051   480,000     296,856
6.484%, 10/23/2045   230,000     213,169
Clear Channel Outdoor Holdings, Inc.
7.500%, 06/01/2029 (A)(B)
  760,000     628,551
CSC Holdings LLC          
4.125%, 12/01/2030 (A)   240,000     171,612
5.000%, 11/15/2031 (A)   330,000     166,826
5.750%, 01/15/2030 (A)   600,000     317,624
6.500%, 02/01/2029 (A)   1,320,000     1,118,450
11.250%, 05/15/2028 (A)   380,000     376,558
CSC Holdings LLC
11.750%, 01/31/2029 (A)
  470,000     470,733
Directv Financing LLC
5.875%, 08/15/2027 (A)
  780,000     737,908
DISH DBS Corp.          
5.125%, 06/01/2029   1,000,000     417,088
5.750%, 12/01/2028 (A)(B)   900,000     618,530
5.875%, 11/15/2024 (B)   780,000     747,337
7.750%, 07/01/2026 (B)   870,000     582,506
Gannett Holdings LLC
6.000%, 11/01/2026 (A)
  620,000     566,990
Gray Television, Inc.
5.375%, 11/15/2031 (A)
  890,000     583,590
iHeartCommunications, Inc.          
4.750%, 01/15/2028 (A)(B)   190,000     133,457
5.250%, 08/15/2027 (A)   410,000     298,396
Match Group Holdings II LLC
4.625%, 06/01/2028 (A)
  670,000     632,288
Sunrise HoldCo IV BV
5.500%, 01/15/2028 (A)
  430,000     412,850
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
Telecom Italia Capital SA
6.000%, 09/30/2034
$ 500,000   $ 457,327
Time Warner Cable LLC
7.300%, 07/01/2038
  220,000     222,234
Univision Communications, Inc.
8.000%, 08/15/2028 (A)
  390,000     397,317
Viavi Solutions, Inc.
3.750%, 10/01/2029 (A)
  270,000     231,658
Virgin Media Secured Finance PLC
5.500%, 05/15/2029 (A)
  330,000     305,107
Vmed O2 UK Financing I PLC
4.750%, 07/15/2031 (A)
  700,000     603,319
ZipRecruiter, Inc.
5.000%, 01/15/2030 (A)
  330,000     290,639
          19,136,289
Consumer discretionary – 18.0%          
Academy, Ltd.
6.000%, 11/15/2027 (A)
  250,000     246,245
Adtalem Global Education, Inc.
5.500%, 03/01/2028 (A)
  421,000     403,033
American Axle & Manufacturing, Inc.
5.000%, 10/01/2029 (B)
  1,080,000     972,719
American News Company LLC
8.500%, (8.500% Cash or 10.000% PIK), 09/01/2026 (A)
  671,707     748,953
Bath & Body Works, Inc.          
6.625%, 10/01/2030 (A)   560,000     572,039
9.375%, 07/01/2025 (A)   340,000     354,756
Boyne USA, Inc.
4.750%, 05/15/2029 (A)
  250,000     231,743
Caesars Entertainment, Inc.          
4.625%, 10/15/2029 (A)(B)   450,000     410,342
6.500%, 02/15/2032 (A)   480,000     484,227
7.000%, 02/15/2030 (A)   850,000     872,512
Carnival Corp.          
5.750%, 03/01/2027 (A)   460,000     455,278
6.000%, 05/01/2029 (A)(B)   970,000     957,108
7.000%, 08/15/2029 (A)   370,000     385,904
10.500%, 06/01/2030 (A)(B)   940,000     1,028,135
Carnival Holdings Bermuda, Ltd.
10.375%, 05/01/2028 (A)
  510,000     556,338
Carriage Purchaser, Inc.
7.875%, 10/15/2029 (A)
  720,000     639,705
Carriage Services, Inc.
4.250%, 05/15/2029 (A)
  390,000     345,812
Dornoch Debt Merger Sub, Inc.
6.625%, 10/15/2029 (A)
  410,000     364,333
Empire Communities Corp.
7.000%, 12/15/2025 (A)(B)
  650,000     652,629
Fertitta Entertainment LLC
4.625%, 01/15/2029 (A)
  640,000     586,865
Fontainebleau Las Vegas Holdings LLC
11.000%, 06/15/2015 (A)(C)
  3,600,425     360
Foot Locker, Inc.
4.000%, 10/01/2029 (A)(B)
  640,000     538,848
Ford Motor Company          
3.250%, 02/12/2032   340,000     282,814
6.100%, 08/19/2032 (B)   20,000     20,266
Ford Motor Credit Company LLC          
4.000%, 11/13/2030   810,000     723,211
7.350%, 03/06/2030   940,000     1,002,188
Full House Resorts, Inc.
8.250%, 02/15/2028 (A)
  1,160,000     1,108,542
Global Auto Holdings, Ltd.
8.750%, 01/15/2032 (A)
  610,000     590,266
 
  78  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Melco Resorts Finance, Ltd.
5.375%, 12/04/2029 (A)
$ 340,000   $ 310,131
Mohegan Tribal Gaming Authority          
8.000%, 02/01/2026 (A)   333,000     325,844
13.250%, 12/15/2027 (A)   120,000     130,950
NCL Corp., Ltd.          
5.875%, 02/15/2027 (A)   980,000     968,233
7.750%, 02/15/2029 (A)   1,180,000     1,225,166
8.125%, 01/15/2029 (A)   690,000     730,148
8.375%, 02/01/2028 (A)   800,000     845,059
NCL Finance, Ltd.
6.125%, 03/15/2028 (A)(B)
  670,000     661,636
NMG Holding Company, Inc.
7.125%, 04/01/2026 (A)
  300,000     293,781
PetSmart, Inc.
7.750%, 02/15/2029 (A)
  250,000     243,386
Royal Caribbean Cruises, Ltd.          
3.700%, 03/15/2028   720,000     670,126
6.250%, 03/15/2032 (A)   1,160,000     1,169,234
7.250%, 01/15/2030 (A)   840,000     872,745
Sally Holdings LLC
6.750%, 03/01/2032
  310,000     307,576
Sizzling Platter LLC
8.500%, 11/28/2025 (A)
  430,000     434,417
Speedway Motorsports LLC
4.875%, 11/01/2027 (A)
  320,000     304,635
StoneMor, Inc.
8.500%, 05/15/2029 (A)
  270,000     186,329
Sugarhouse HSP Gaming Prop Mezz LP
5.875%, 05/15/2025 (A)
  270,000     269,314
The Michaels Companies, Inc.
5.250%, 05/01/2028 (A)
  560,000     477,165
TopBuild Corp.
3.625%, 03/15/2029 (A)
  490,000     445,118
Upbound Group, Inc.
6.375%, 02/15/2029 (A)
  790,000     766,944
Viking Cruises, Ltd.          
5.875%, 09/15/2027 (A)   170,000     166,790
7.000%, 02/15/2029 (A)   490,000     492,120
9.125%, 07/15/2031 (A)   1,290,000     1,410,758
VOC Escrow, Ltd.
5.000%, 02/15/2028 (A)
  1,000,000     962,084
WW International, Inc.
4.500%, 04/15/2029 (A)
  800,000     315,935
Wynn Macau, Ltd.          
4.875%, 10/01/2024 (A)   310,000     306,363
5.625%, 08/26/2028 (A)   720,000     682,435
Wynn Resorts Finance LLC          
5.125%, 10/01/2029 (A)   190,000     179,997
7.125%, 02/15/2031 (A)   600,000     620,938
ZF North America Capital, Inc.
7.125%, 04/14/2030 (A)
  500,000     526,859
          32,837,387
Consumer staples – 0.8%          
Darling Ingredients, Inc.
6.000%, 06/15/2030 (A)
  400,000     396,401
Simmons Foods, Inc.
4.625%, 03/01/2029 (A)
  590,000     521,390
Triton Water Holdings, Inc.
6.250%, 04/01/2029 (A)
  610,000     555,597
          1,473,388
Energy – 11.1%          
Antero Resources Corp.
5.375%, 03/01/2030 (A)
  430,000     412,963
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
Berry Petroleum Company LLC
7.000%, 02/15/2026 (A)
$ 1,000,000   $ 987,142
Blue Racer Midstream LLC          
6.625%, 07/15/2026 (A)   670,000     668,208
7.625%, 12/15/2025 (A)   350,000     351,926
Chesapeake Energy Corp.
5.500%, 02/01/2026 (A)
  80,000     79,491
Chord Energy Corp.
6.375%, 06/01/2026 (A)
  1,100,000     1,104,588
CNX Midstream Partners LP
4.750%, 04/15/2030 (A)
  740,000     659,540
Crescent Energy Finance LLC          
7.625%, 04/01/2032 (A)   400,000     403,082
9.250%, 02/15/2028 (A)   540,000     570,178
DCP Midstream Operating LP          
6.450%, 11/03/2036 (A)   280,000     293,159
6.750%, 09/15/2037 (A)   200,000     217,524
Endeavor Energy Resources LP
5.750%, 01/30/2028 (A)
  410,000     413,323
Energy Transfer LP
6.500%, (6.500% to 11-15-26, then 5 Year CMT + 5.694%), 11/15/2026 (D)
  180,000     176,426
EQM Midstream Partners LP          
6.500%, 07/15/2048   920,000     922,753
7.500%, 06/01/2030 (A)   360,000     384,820
Hilcorp Energy I LP          
6.250%, 04/15/2032 (A)   530,000     522,684
8.375%, 11/01/2033 (A)   440,000     477,046
Howard Midstream Energy Partners LLC          
6.750%, 01/15/2027 (A)   610,000     608,613
8.875%, 07/15/2028 (A)   370,000     390,428
Nabors Industries, Ltd.
7.250%, 01/15/2026 (A)
  620,000     616,162
Noble Finance II LLC
8.000%, 04/15/2030 (A)
  390,000     406,244
Northern Oil and Gas, Inc.
8.125%, 03/01/2028 (A)
  850,000     862,741
Permian Resources Operating LLC          
5.875%, 07/01/2029 (A)   200,000     196,668
7.000%, 01/15/2032 (A)   700,000     726,190
8.000%, 04/15/2027 (A)   260,000     267,784
9.875%, 07/15/2031 (A)   570,000     635,151
Range Resources Corp.          
4.750%, 02/15/2030 (A)   120,000     111,882
8.250%, 01/15/2029   490,000     509,699
Shelf Drilling Holdings, Ltd.
9.625%, 04/15/2029 (A)(B)
  620,000     598,939
SilverBow Resources, Inc.
13.079%, (3 month CME Term SOFR + 7.750%), 12/15/2028 (A)(E)
  890,000     869,890
Southwestern Energy Company
4.750%, 02/01/2032
  790,000     727,241
Summit Midstream Holdings LLC
9.000%, 10/15/2026 (A)
  380,000     384,312
Tallgrass Energy Partners LP
6.000%, 12/31/2030 (A)
  590,000     560,461
Venture Global Calcasieu Pass LLC          
3.875%, 11/01/2033 (A)   320,000     271,873
4.125%, 08/15/2031 (A)   500,000     444,600
6.250%, 01/15/2030 (A)   570,000     573,456
Venture Global LNG, Inc.
9.875%, 02/01/2032 (A)
  1,310,000     1,411,845
Vital Energy, Inc.
7.875%, 04/15/2032 (A)
  480,000     487,617
          20,306,649
 
  79  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials – 11.5%          
Acuris Finance U.S., Inc.
5.000%, 05/01/2028 (A)
$ 200,000   $ 181,728
Apollo Commercial Real Estate Finance, Inc.
4.625%, 06/15/2029 (A)
  790,000     663,666
Banco Santander SA
9.625%, (9.625% to 11-21-33, then 5 Year CMT + 5.298%), 05/21/2033 (D)
  600,000     660,875
Barclays PLC
8.000%, (8.000% to 6-15-24, then 5 Year CMT + 5.672%), 06/15/2024 (D)
  380,000     379,004
BNP Paribas SA          
7.375%, (7.375% to 8-19-25, then 5 Year U.S. Swap Rate + 5.150%), 08/19/2025 (A)(D)   390,000     390,925
7.750%, (7.750% to 8-16-29, then 5 Year CMT + 4.899%), 08/16/2029 (A)(D)   500,000     511,842
8.000%, (8.000% to 8-22-31, then 5 Year CMT + 3.727%), 08/22/2031 (A)(D)   210,000     214,332
Boost Newco Borrower LLC
7.500%, 01/15/2031 (A)
  1,100,000     1,151,494
Burford Capital Global Finance LLC          
6.250%, 04/15/2028 (A)   630,000     613,605
6.875%, 04/15/2030 (A)   500,000     490,965
9.250%, 07/01/2031 (A)   530,000     560,944
Citigroup, Inc.          
5.950%, (5.950% to 5-15-25, then 3 month CME Term SOFR + 4.167%), 05/15/2025 (D)   180,000     179,730
6.300%, (6.300% to 5-15-24, then 3 month CME Term SOFR + 3.685%), 05/15/2024 (D)   410,000     408,376
7.200%, (7.200% to 5-15-29, then 5 Year CMT + 2.905), 05/15/2029 (D)   500,000     512,757
Coinbase Global, Inc.
3.625%, 10/01/2031 (A)(B)
  540,000     436,081
Credit Agricole SA
8.125%, (8.125% to 12-23-25, then 5 Year U.S. Swap Rate + 6.185%), 12/23/2025 (A)(D)
  860,000     877,200
FirstCash, Inc.          
4.625%, 09/01/2028 (A)   280,000     263,540
5.625%, 01/01/2030 (A)   440,000     418,117
6.875%, 03/01/2032 (A)   360,000     359,832
Five Point Operating Company LP
10.500%, 01/15/2028 (A)(B)
  671,669     691,538
Global Aircraft Leasing Company, Ltd.
6.500%, (6.500% Cash or 7.250% PIK), 09/15/2024 (A)
  1,115,183     1,060,682
Highlands Holdings Bond Issuer, Ltd.
7.625%, (7.625% Cash or 8.375% PIK), 10/15/2025 (A)
  945,962     934,708
Intesa Sanpaolo SpA
4.198%, (4.198% to 6-1-31, then 1 Year CMT + 2.600%), 06/01/2032 (A)
  460,000     384,581
Jane Street Group
4.500%, 11/15/2029 (A)
  480,000     444,093
Ladder Capital Finance Holdings LLLP          
4.250%, 02/01/2027 (A)   460,000     430,368
4.750%, 06/15/2029 (A)   300,000     272,709
Lloyds Banking Group PLC
8.000%, (8.000% to 3-27-30, then 5 Year CMT + 3.913%), 09/27/2029 (D)
  760,000     765,218
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Midcap Financial Issuer Trust          
5.625%, 01/15/2030 (A) $ 380,000   $ 327,004
6.500%, 05/01/2028 (A)   430,000     396,678
NMI Holdings, Inc.
7.375%, 06/01/2025 (A)
  410,000     414,111
Rocket Mortgage LLC          
3.875%, 03/01/2031 (A)   630,000     548,856
4.000%, 10/15/2033 (A)   680,000     576,022
Ryan Specialty LLC
4.375%, 02/01/2030 (A)
  520,000     486,006
Starwood Property Trust, Inc.
7.250%, 04/01/2029 (A)
  340,000     342,706
StoneX Group, Inc.
7.875%, 03/01/2031 (A)
  360,000     365,237
The Bank of Nova Scotia
8.000%, (8.000% to 1-27-29, then 5 Year CMT + 4.017%), 01/27/2084
  340,000     345,977
The Charles Schwab Corp.
4.000%, (4.000% to 12-1-30, then 10 Year CMT + 3.079%), 12/01/2030 (D)
  340,000     286,877
The Toronto-Dominion Bank
8.125%, (8.125% to 10-31-27, then 5 Year CMT + 4.075%), 10/31/2082
  510,000     534,915
UBS Group AG          
6.537%, (6.537% to 8-12-32, then Overnight SOFR + 3.920%), 08/12/2033 (A)   480,000     506,059
7.750%, (7.750% to 4-12-31, then 5 Year SOFR ICE Swap Rate + 4.160%), 04/12/2031 (A)(D)   220,000     226,263
9.016%, (9.016% to 11-15-32, then Overnight SOFR + 5.020%), 11/15/2033 (A)   310,000     376,137
9.250%, (9.250% to 11-13-28, then 5 Year CMT + 4.745%), 11/13/2028 (A)(D)   380,000     411,721
UniCredit SpA
5.459%, (5.459% to 6-30-30, then 5 Year CMT + 4.750%), 06/30/2035 (A)
  720,000     676,119
          21,079,598
Health care – 5.1%          
Akumin, Inc.
8.000%, (8.000% Cash and 0.000% PIK), 08/01/2027 (A)
  720,000     624,600
AthenaHealth Group, Inc.
6.500%, 02/15/2030 (A)
  340,000     310,970
Bausch Health Companies, Inc.          
5.250%, 01/30/2030 (A)   600,000     247,528
6.125%, 02/01/2027 (A)   160,000     99,694
6.250%, 02/15/2029 (A)   1,220,000     521,426
Cano Health LLC
6.250%, 10/01/2028 (A)(C)
  420,000     260
Community Health Systems, Inc.          
5.250%, 05/15/2030 (A)   1,073,000     874,937
6.125%, 04/01/2030 (A)   170,000     122,589
6.875%, 04/15/2029 (A)   370,000     277,025
10.875%, 01/15/2032 (A)   530,000     545,911
LifePoint Health, Inc.          
9.875%, 08/15/2030 (A)   1,010,000     1,056,502
11.000%, 10/15/2030 (A)   400,000     427,516
Medline Borrower LP          
3.875%, 04/01/2029 (A)   240,000     218,450
5.250%, 10/01/2029 (A)   520,000     491,488
6.250%, 04/01/2029 (A)   450,000     452,015
 
  80  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
Par Pharmaceutical, Inc.
7.500%, 04/01/2027 (A)(C)
$ 720,000   $ 471,999
Teva Pharmaceutical Finance Company LLC
6.150%, 02/01/2036
  540,000     525,442
Teva Pharmaceutical Finance
Netherlands III BV
         
5.125%, 05/09/2029 (B)   1,100,000     1,057,080
7.875%, 09/15/2029   200,000     214,682
8.125%, 09/15/2031   460,000     504,528
US Renal Care, Inc.
10.625%, 06/28/2028 (A)
  336,000     292,320
          9,336,962
Industrials – 15.1%          
AAR Escrow Issuer LLC
6.750%, 03/15/2029 (A)
  530,000     534,078
Advanced Drainage Systems, Inc.
6.375%, 06/15/2030 (A)
  350,000     351,811
AerCap Holdings NV
5.875%, (5.875% to 10-10-24, then 5 Year CMT + 4.535%), 10/10/2079
  400,000     397,133
Allied Universal Holdco LLC          
4.625%, 06/01/2028 (A)   520,000     472,663
6.625%, 07/15/2026 (A)   260,000     259,829
Alta Equipment Group, Inc.
5.625%, 04/15/2026 (A)
  650,000     635,381
American Airlines, Inc.          
5.750%, 04/20/2029 (A)   1,760,000     1,730,001
8.500%, 05/15/2029 (A)   720,000     760,649
Anagram Holdings LLC
10.000%, (0.000% Cash and 10.000% PIK), 08/15/2026 (A)(C)
  96,829     1,210
ATS Corp.
4.125%, 12/15/2028 (A)
  300,000     274,980
Beacon Roofing Supply, Inc.
6.500%, 08/01/2030 (A)
  280,000     284,125
Bombardier, Inc.          
7.250%, 07/01/2031 (A)   620,000     621,262
7.500%, 02/01/2029 (A)(B)   570,000     586,948
7.875%, 04/15/2027 (A)   170,000     170,119
8.750%, 11/15/2030 (A)   710,000     758,121
Brundage-Bone Concrete Pumping Holdings, Inc.
6.000%, 02/01/2026 (A)
  500,000     493,811
Clean Harbors, Inc.
6.375%, 02/01/2031 (A)
  310,000     312,277
CoreCivic, Inc.
8.250%, 04/15/2029
  1,110,000     1,161,038
Covanta Holding Corp.
4.875%, 12/01/2029 (A)
  510,000     457,088
Doman Building Materials Group, Ltd.
5.250%, 05/15/2026 (A)
CAD 280,000     198,442
Esab Corp.
6.250%, 04/15/2029 (A)
$ 400,000     401,873
GFL Environmental, Inc.
6.750%, 01/15/2031 (A)
  600,000     614,888
H&E Equipment Services, Inc.
3.875%, 12/15/2028 (A)
  810,000     741,541
JB Poindexter & Company, Inc.
8.750%, 12/15/2031 (A)
  450,000     465,134
Legends Hospitality Holding Company LLC
5.000%, 02/01/2026 (A)
  160,000     158,511
Madison IAQ LLC          
4.125%, 06/30/2028 (A)   460,000     425,454
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
Madison IAQ LLC (continued)          
5.875%, 06/30/2029 (A) $ 550,000   $ 503,184
Mileage Plus Holdings LLC
6.500%, 06/20/2027 (A)
  324,348     326,137
Miter Brands Acquisition Holdco, Inc.
6.750%, 04/01/2032 (A)
  530,000     531,812
MIWD Holdco II LLC
5.500%, 02/01/2030 (A)
  320,000     294,497
Park-Ohio Industries, Inc.
6.625%, 04/15/2027 (B)
  270,000     252,617
PM General Purchaser LLC
9.500%, 10/01/2028 (A)
  1,610,000     1,643,322
Prime Security Services Borrower LLC
6.250%, 01/15/2028 (A)
  920,000     901,212
R.R. Donnelley & Sons Company
9.750%, 07/31/2028 (A)
  360,000     390,017
Roller Bearing Company of America, Inc.
4.375%, 10/15/2029 (A)
  730,000     668,402
RXO, Inc.
7.500%, 11/15/2027 (A)
  160,000     164,200
Spirit Loyalty Cayman, Ltd.
8.000%, 09/20/2025 (A)
  1,286,000     976,235
Stena International SA
7.250%, 01/15/2031 (A)
  440,000     438,879
The GEO Group, Inc.          
9.500%, 12/31/2028 (A)   945,000     952,088
10.500%, 06/30/2028   367,000     373,881
Titan International, Inc.
7.000%, 04/30/2028
  670,000     661,135
TransDigm, Inc.          
6.625%, 03/01/2032 (A)   400,000     404,116
6.750%, 08/15/2028 (A)   630,000     638,315
7.125%, 12/01/2031 (A)   350,000     360,695
Tutor Perini Corp.
6.875%, 05/01/2025 (A)(B)
  280,000     277,133
United Airlines 2020-1 Class B Pass Through Trust
4.875%, 01/15/2026
  166,800     164,119
United Airlines, Inc.
4.625%, 04/15/2029 (A)
  460,000     427,800
United Rentals North America, Inc.          
3.875%, 02/15/2031   510,000     456,962
5.250%, 01/15/2030   400,000     390,165
Vertiv Group Corp.
4.125%, 11/15/2028 (A)
  760,000     707,136
VistaJet Malta Finance PLC          
6.375%, 02/01/2030 (A)(B)   690,000     508,615
7.875%, 05/01/2027 (A)(B)   300,000     253,627
9.500%, 06/01/2028 (A)   80,000     68,025
XPO CNW, Inc.
6.700%, 05/01/2034
  370,000     385,086
XPO, Inc.
7.125%, 02/01/2032 (A)
  220,000     226,413
          27,614,192
Information technology – 3.1%          
CA Magnum Holdings
5.375%, 10/31/2026 (A)
  410,000     391,680
Central Parent, Inc.
7.250%, 06/15/2029 (A)
  650,000     663,524
CommScope Technologies LLC
5.000%, 03/15/2027 (A)
  730,000     281,955
CommScope, Inc.
4.750%, 09/01/2029 (A)
  1,500,000     1,080,000
 
  81  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology (continued)          
Elastic NV
4.125%, 07/15/2029 (A)
$ 570,000   $ 512,946
Gen Digital, Inc.
7.125%, 09/30/2030 (A)
  340,000     349,329
Helios Software Holdings, Inc.
4.625%, 05/01/2028 (A)
  530,000     475,556
NCR Atleos Corp.
9.500%, 04/01/2029 (A)
  590,000     631,069
Open Text Corp.
6.900%, 12/01/2027 (A)
  360,000     372,236
Rackspace Finance LLC
3.500%, 05/15/2028 (A)
  491,400     248,157
Vericast Corp.
11.000%, 09/15/2026 (A)
  650,000     693,063
          5,699,515
Materials – 4.8%          
ARD Finance SA
6.500%, (6.500% Cash or 7.250% PIK), 06/30/2027 (A)
  1,150,000     384,839
Ardagh Metal Packaging Finance USA LLC
4.000%, 09/01/2029 (A)
  800,000     644,841
Canpack SA
3.875%, 11/15/2029 (A)
  700,000     619,466
Cascades, Inc.
5.375%, 01/15/2028 (A)
  530,000     508,826
First Quantum Minerals, Ltd.          
6.875%, 10/15/2027 (A)   700,000     671,136
8.625%, 06/01/2031 (A)(B)   310,000     301,345
9.375%, 03/01/2029 (A)   1,330,000     1,377,767
Freeport-McMoRan, Inc.
5.450%, 03/15/2043
  1,060,000     1,014,811
Hudbay Minerals, Inc.
6.125%, 04/01/2029 (A)
  790,000     780,920
LSF11 A5 HoldCo LLC
6.625%, 10/15/2029 (A)
  530,000     477,233
Midwest Vanadium Proprietary, Ltd.
13.250%, 02/15/2018 (A)(C)
  912,943     913
Northwest Acquisitions ULC
7.125%, 11/01/2022 (A)(C)
  950,000     10
Smyrna Ready Mix Concrete LLC          
6.000%, 11/01/2028 (A)   950,000     928,489
8.875%, 11/15/2031 (A)   470,000     502,379
Summit Materials LLC
5.250%, 01/15/2029 (A)
  600,000     584,662
          8,797,637
Real estate – 2.3%          
Cushman & Wakefield US Borrower LLC
8.875%, 09/01/2031 (A)
  450,000     475,543
Diversified Healthcare Trust          
4.375%, 03/01/2031   250,000     187,179
4.750%, 02/15/2028 (B)   220,000     178,381
9.750%, 06/15/2025   170,000     170,125
Forestar Group, Inc.          
3.850%, 05/15/2026 (A)   550,000     525,245
5.000%, 03/01/2028 (A)   250,000     240,377
IIP Operating Partnership LP
5.500%, 05/25/2026
  890,000     844,768
Iron Mountain Information Management Services, Inc.
5.000%, 07/15/2032 (A)
  410,000     374,441
MPT Operating Partnership LP          
3.500%, 03/15/2031   200,000     137,324
4.625%, 08/01/2029   260,000     199,542
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Real estate (continued)          
Service Properties Trust          
5.500%, 12/15/2027 $ 400,000   $ 381,296
8.625%, 11/15/2031 (A)   390,000     415,910
          4,130,131
Utilities – 1.2%          
Calpine Corp.
3.750%, 03/01/2031 (A)
  300,000     262,714
Suburban Propane Partners LP
5.000%, 06/01/2031 (A)
  340,000     309,972
Sunnova Energy Corp.
5.875%, 09/01/2026 (A)(B)
  740,000     576,091
Superior Plus LP
4.500%, 03/15/2029 (A)
  290,000     268,119
TransAlta Corp.
7.750%, 11/15/2029
  310,000     322,242
Vistra Operations Company LLC
7.750%, 10/15/2031 (A)
  420,000     439,858
          2,178,996
TOTAL CORPORATE BONDS (Cost $166,075,334)     $ 152,590,744
CONVERTIBLE BONDS – 0.5%      
Communication services – 0.2%          
DISH Network Corp.
3.375%, 08/15/2026
  530,000     329,925
Consumer discretionary – 0.2%          
DraftKings Holdings, Inc.
3.754%, 03/15/2028 (F)
  470,000     405,375
Utilities – 0.1%          
NextEra Energy Partners LP
2.500%, 06/15/2026 (A)(B)
  190,000     170,992
TOTAL CONVERTIBLE BONDS (Cost $1,119,789)     $ 906,292
TERM LOANS (G) – 4.2%      
Consumer discretionary – 1.5%          
Adtalem Global Education, Inc., 2024 Term Loan B (1 month CME Term SOFR + 3.500%) 8.826%, 08/11/2028   241,666     242,372
Clarios Global LP, 2024 Term Loan B (1 month CME Term SOFR + 3.000%) 8.330%, 05/06/2030   349,125     349,670
First Brands Group LLC, 2021 Term Loan (3 month CME Term SOFR + 5.000%) 10.574%, 03/30/2027   339,500     339,670
Spencer Spirit IH LLC, Term Loan B (1 month CME Term SOFR + 6.000%) 11.422%, 06/19/2026   552,844     550,539
Station Casinos LLC, 2024 Term Loan B 03/14/2031 TBD (H)   680,000     678,688
Upbound Group, Inc., 2021 First Lien Term Loan B (3 month CME Term SOFR + 3.250%) 9.119%, 02/17/2028   553,411     552,487
          2,713,426
Financials – 0.5%          
Acrisure LLC, 2020 Term Loan B (1 month CME Term SOFR + 3.500%) 8.945%, 02/15/2027   441,600     440,655
Asurion LLC, 2022 Term Loan B10 (1 month CME Term SOFR + 4.000%) 9.426%, 08/19/2028   394,000     378,650
 
  82  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (G) (continued)      
Financials (continued)          
Deerfield Dakota Holding LLC, 2021 USD 2nd Lien Term Loan (3 month CME Term SOFR + 6.750%) 12.321%, 04/07/2028 $ 190,000   $ 189,288
          1,008,593
Health care – 0.6%          
Cotiviti, Inc., 2024 Term Loan 02/21/2031 TBD (H)   360,000     359,100
Eyecare Partners LLC, 2020 Term Loan (3 month CME Term SOFR + 3.750%) 9.324%, 02/18/2027   262,616     137,874
Eyecare Partners LLC, 2022 Incremental Term Loan (3 month CME Term SOFR + 4.500%) 9.913%, 11/15/2028   376,200     197,975
LifePoint Health, Inc., 2023 Term Loan B (3 month CME Term SOFR + 5.500%) 11.087%, 11/16/2028   355,466     356,291
          1,051,240
Industrials – 0.3%          
Mileage Plus Holdings LLC, 2020 Term Loan B (3 month CME Term SOFR + 5.250%) 10.733%, 06/21/2027   292,500     300,842
United Airlines, Inc., 2024 Term Loan B (3 month CME Term SOFR + 2.750%) 8.076%, 02/15/2031   210,000     209,966
          510,808
Information technology – 1.1%          
Dcert Buyer, Inc., 2021 2nd Lien Term Loan (1 month CME Term SOFR + 7.000%) 12.330%, 02/19/2029   820,000     736,204
Global Tel*Link Corp., 2018 1st Lien Term Loan (1 month CME Term SOFR + 4.250%) 9.680%, 11/29/2025   480,034     466,032
MRI Software LLC, 2020 Term Loan (3 month CME Term SOFR + 5.500%) 10.948%, 02/10/2027   61,278     60,818
MRI Software LLC, 2020 Term Loan B (3 month CME Term SOFR + 5.500%) 10.948%, 02/10/2027   106,543     105,744
Neptune Bidco US, Inc., 2022 USD Term Loan B (3 month CME Term SOFR + 5.000%) 10.423%, 04/11/2029   208,425     191,893
Peraton Corp., Term Loan B (1 month CME Term SOFR + 3.750%) 9.180%, 02/01/2028   408,218     407,455
          1,968,146
Materials – 0.2%          
Arctic Canadian Diamond Company, Ltd., 2nd Lien PIK Term Loan (0.000% Cash and 10.000% PIK) 10.000%, 12/31/2027 (I)   519,580     469,752
TOTAL TERM LOANS (Cost $8,102,751)   $ 7,721,965
ASSET BACKED SECURITIES – 7.1%      
Aimco CLO, Ltd.
Series 2020-12A, Class DR (3 month CME Term SOFR + 2.900%)
8.217%, 01/17/2032 (A)(E)
  350,000     347,075
ALM, Ltd.
Series 2020-1A, Class D (3 month CME Term SOFR + 6.262%)
11.576%, 10/15/2029 (A)(E)
  560,000     552,046
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Ammc CLO, Ltd.
Series 2024-30A, Class D (3 month CME Term SOFR + 4.500%)
9.791%, 01/15/2037 (A)(E)
$ 190,000   $ 190,190
Balboa Bay Loan Funding, Ltd.
Series 2020-1A, Class ER (3 month CME Term SOFR + 6.662%)
11.979%, 01/20/2032 (A)(E)
  500,000     488,615
Ballyrock CLO, Ltd.
Series 2022-19A, Class D (3 month CME Term SOFR + 7.110%)
12.428%, 04/20/2035 (A)(E)
  710,000     704,491
Barings CLO, Ltd.          
Series 2018-3A, Class D (3 month CME Term SOFR + 3.162%)
8.479%, 07/20/2029 (A)(E)
  250,000     250,192
Series 2020-4A, Class E (3 month CME Term SOFR + 5.942%)
11.259%, 01/20/2032 (A)(E)
  330,000     325,879
Battalion CLO, Ltd.
Series 2021-20A, Class D (3 month CME Term SOFR + 3.362%)
8.676%, 07/15/2034 (A)(E)
  250,000     242,892
Benefit Street Partners CLO XII, Ltd.
Series 2017-12A, Class C (3 month CME Term SOFR + 3.312%)
8.626%, 10/15/2030 (A)(E)
  250,000     249,991
Carlyle Global Market Strategies CLO, Ltd.
Series 2015-1A, Class DR3 (3 month CME Term SOFR + 3.212%)
8.529%, 07/20/2031 (A)(E)
  250,000     249,986
Carlyle US CLO, Ltd.
Series 2017-2A, Class C (3 month CME Term SOFR + 3.962%)
9.279%, 07/20/2031 (A)(E)
  500,000     495,656
Catskill Park CLO, Ltd.
Series 2017-1A, Class D (3 month CME Term SOFR + 6.262%)
11.579%, 04/20/2029 (A)(E)
  500,000     495,082
Clover CLO, LLC
Series 2018-1A, Class DR (3 month CME Term SOFR + 3.362%)
8.679%, 04/20/2032 (A)(E)
  260,000     260,001
Dryden CLO, Ltd.
Series 2021-87A, Class D (3 month CME Term SOFR + 3.212%)
8.531%, 05/20/2034 (A)(E)
  220,000     217,934
Eaton Vance CLO, Ltd.
Series 2020-2A, Class ER (3 month CME Term SOFR + 6.762%)
12.076%, 01/15/2035 (A)(E)
  440,000     423,714
Great Lakes CLO, Ltd.
Series 2014-1A, Class CR (3 month CME Term SOFR + 2.962%)
8.355%, 10/15/2029 (A)(E)
  400,000     399,981
Greenwood Park CLO, Ltd.          
Series 2018-1A, Class D (3 month CME Term SOFR + 2.762%)
8.076%, 04/15/2031 (A)(E)
  290,000     285,526
Series 2018-1A, Class E (3 month CME Term SOFR + 5.212%)
10.526%, 04/15/2031 (A)(E)
  250,000     236,957
Greywolf CLO IV, Ltd.
Series 2019-1A, Class CR (3 month CME Term SOFR + 3.910%)
9.228%, 04/17/2034 (A)(E)
  250,000     249,980
 
  83  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Grippen Park CLO, Ltd.
Series 2017-1A, Class E (3 month CME Term SOFR + 5.962%)
11.279%, 01/20/2030 (A)(E)
$ 420,000   $ 414,034
ICG US CLO, Ltd.
Series 2022-1A, Class DJ (3 month CME Term SOFR + 5.730%)
11.048%, 07/20/2035 (A)(E)
  325,000     324,032
Magnetite XII, Ltd.
Series 2015-12A, Class ER (3 month CME Term SOFR + 5.942%)
11.256%, 10/15/2031 (A)(E)
  300,000     299,634
Magnetite XXIV, Ltd.
Series 2019-24A, Class ER (3 month CME Term SOFR + 6.400%)
11.714%, 04/15/2035 (A)(E)
  250,000     244,498
Mountain View CLO IX, Ltd.
Series 2015-9A, Class CR (3 month CME Term SOFR + 3.382%)
8.696%, 07/15/2031 (A)(E)
  250,000     244,966
Neuberger Berman CLO XVIII, Ltd.
Series 2014-18A, Class DR2 (3 month CME Term SOFR + 6.182%)
11.499%, 10/21/2030 (A)(E)
  250,000     247,519
Neuberger Berman CLO XVI-S, Ltd.
Series 2017-16SA, Class DR (3 month CME Term SOFR + 3.162%)
8.476%, 04/15/2034 (A)(E)
  400,000     387,480
Neuberger Berman Loan Advisers
CLO, Ltd.
         
Series 2017-25A, Class DR (3 month CME Term SOFR + 3.112%)
8.410%, 10/18/2029 (A)(E)
  250,000     248,689
Series 2018-28A, Class D (3 month CME Term SOFR + 3.112%)
8.429%, 04/20/2030 (A)(E)
  300,000     298,068
Oaktree CLO, Ltd.
Series 2022-2A, Class DR (3 month CME Term SOFR + 4.500%)
9.814%, 07/15/2033 (A)(E)
  450,000     450,691
Octagon 55, Ltd.
Series 2021-1A, Class D (3 month CME Term SOFR + 3.362%)
8.679%, 07/20/2034 (A)(E)
  360,000     357,254
OHA Credit Funding, Ltd.
Series 2020-7A, Class DR (3 month CME Term SOFR + 3.100%)
8.410%, 02/24/2037 (A)(E)
  250,000     249,987
Palmer Square Loan Funding, Ltd.
Series 2022-3A, Class CR (3 month CME Term SOFR + 3.000%)
8.321%, 04/15/2031 (A)(E)
  290,000     289,996
Sculptor CLO XXVI, Ltd.
Series 2026-A, Class E (3 month CME Term SOFR + 7.512%)
12.829%, 07/20/2034 (A)(E)
  280,000     278,578
Symphony CLO, Ltd.
Series 2023-40A, Class D (3 month CME Term SOFR + 5.000%)
10.344%, 01/14/2034 (A)(E)
  160,000     161,309
Trinitas CLO XXVI, Ltd.
Series 2023-26A, Class D (3 month CME Term SOFR + 4.500%)
9.818%, 01/20/2035 (A)(E)
  870,000     873,482
High Yield Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Venture XVII CLO, Ltd.
Series 2014-17A, Class DRR (3 month CME Term SOFR + 3.082%)
8.396%, 04/15/2027 (A)(E)
$ 350,000   $ 350,036
Voya CLO III, Ltd.
Series 2020-3A, Class DR (3 month CME Term SOFR + 3.512%)
8.829%, 10/20/2034 (A)(E)
  500,000     499,997
TOTAL ASSET BACKED SECURITIES (Cost $12,740,533)     $ 12,886,438
COMMON STOCKS – 0.5%        
Communication services – 0.0%          
New Cotai, Inc., Class B (I)(J)(K)   3     0
Energy – 0.5%          
Berry Corp.   62,206     500,752
Chord Energy Corp.   2,636     469,841
KCAD Holdings I, Ltd.  (I)(J)(K)   165,553,563     166
MWO Holdings LLC (I)(J)(K)   445     2,768
Permian Production (I)(K)   19,583     11,750
          985,277
TOTAL COMMON STOCKS (Cost $2,804,633)   $ 985,277
PREFERRED SECURITIES – 0.4%        
Energy – 0.4%          
Equitrans Midstream Corp., 9.750% (9.750% to 3-31-24, then 3 month LIBOR + 8.150%)   29,678     645,497
TOTAL PREFERRED SECURITIES (Cost $660,336)   $ 645,497
ESCROW SHARES – 0.0%          
Arctic Canadian Diamonds Holding Units (I)(K)   494     64,087
TOTAL ESCROW SHARES (Cost $0)   $ 64,087
ESCROW CERTIFICATES – 0.0%          
Adelphia Communications Corp. (I)(K) $ 3,000,000     0
Adelphia Communications Corp. (I)(K)   2,050,000     0
Adelphia Communications Corp. (I)(K)   1,025,000     0
Magellan Health, Inc. (I)(K)   1,930,000     0
TOTAL ESCROW CERTIFICATES (Cost $338,778)   $ 0
SHORT-TERM INVESTMENTS – 7.5%      
Short-term funds – 7.5%          
John Hancock Collateral Trust, 5.2975% (L)(M)   1,235,974     12,356,525
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 5.2380% (L)   1,357,489     1,357,489
TOTAL SHORT-TERM INVESTMENTS (Cost $13,717,847)   $ 13,714,014
Total Investments (High Yield Trust)
(Cost $206,326,646) – 104.0%
  $ 190,067,473
Other assets and liabilities, net – (4.0%)       (7,345,533)
TOTAL NET ASSETS – 100.0%       $ 182,721,940
Currency Abbreviations
CAD Canadian Dollar
Security Abbreviations and Legend
CME CME Group Published Rates
CMT Constant Maturity Treasury
ICE Intercontinental Exchange
LIBOR London Interbank Offered Rate
PIK Pay-in-Kind Security - Represents a payment-in-kind which may pay interest in additional par and/or cash. Rates shown are the current rate and most recent payment rate.
 
  84  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
SOFR Secured Overnight Financing Rate
(A) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration. Rule 144A securities amounted to $141,392,553 or 77.4% of the fund's net assets as of 3-31-24.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $12,104,615.
(C) Non-income producing - Issuer is in default.
(D) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(E) Variable rate obligation. The coupon rate shown represents the rate at period end.
(F) Zero coupon bonds are issued at a discount from their principal amount in lieu of paying interest periodically. Rate shown is the effective yield at period end.
High Yield Trust (continued)
(G) Term loans are variable rate obligations. The rate shown represents the rate at period end.
(H) This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate, which is disclosed as TBD (To Be Determined).
(I) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(J) Restricted security as to resale, excluding 144A securities. For more information on this security refer to the Notes to Portfolio of Investments.
(K) Non-income producing security.
(L) The rate shown is the annualized seven-day yield as of 3-31-24.
(M) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
5-Year U.S. Treasury Note Futures 81 Long Jun 2024 $8,650,835 $8,668,266 $17,431
            $17,431
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
FORWARD FOREIGN CURRENCY CONTRACTS
Contract to buy Contract to sell Counterparty (OTC) Contractual
settlement
date
Unrealized
appreciation
Unrealized
depreciation
EUR 442,617  USD 487,806  BNP 4/19/2024  —  $(9,985)
MXN 195,721  USD 11,385  JPM 4/19/2024  $357  — 
USD 1,743  CAD 2,334  MSCS 4/19/2024  20  — 
            $377  $(9,985)
    
SWAPS
Credit default swaps - Buyer
Counterparty
(OTC)/
Centrally
cleared
Reference
obligation
Notional
amount
Currency USD
notional
amount
Pay
fixed
rate
Fixed
payment
frequency
Maturity
date
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Centrally cleared The Goodyear Tire & Rubber Company 470,000 USD $470,000 5.000% Quarterly Jun 2027 $(5,479) $(45,596) $(51,075)
Centrally cleared Transocean, Inc. 1,168,000 USD 1,168,000 1.000% Quarterly Dec 2028 167,886 (51,425) 116,461
Centrally cleared General Motors Company 380,000 USD 380,000 5.000% Quarterly Jun 2029 (63,059) (5,174) (68,233)
        $2,018,000       $99,348 $(102,195) $(2,847)
Credit default swaps - Seller
Counterparty
(OTC)/
Centrally
cleared
Reference
obligation
Implied
credit
spread
Notional
amount
Currency USD
notional
amount
Received
fixed
rate
Fixed
payment
frequency
Maturity
date
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Centrally cleared CDX.NA.HY.41 3.108% 3,578,850 USD $3,578,850 5.000% Quarterly Dec 2028 $192,468 $78,113 $270,581
Centrally cleared Nabors Industries, Inc. 5.455% 1,168,000 USD 1,168,000 1.000% Quarterly Dec 2028 (232,741) 38,226 (194,515)
Centrally cleared American Axle & Manufacturing, Inc. 3.926% 470,000 USD 470,000 5.000% Quarterly Jun 2029 12,276 9,877 22,153
Centrally cleared Ford Motor Company 1.471% 1,180,000 USD 1,180,000 5.000% Quarterly Jun 2029 177,124 14,371 191,495
          $6,396,850       $149,127 $140,587 $289,714
  85  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

High Yield Trust (continued)
Derivatives Currency Abbreviations
CAD Canadian Dollar
EUR Euro
MXN Mexican Peso
USD U.S. Dollar
Derivatives Abbreviations
BNP BNP Paribas
JPM JPMorgan Chase Bank, N.A.
MSCS Morgan Stanley Capital Services LLC
OTC Over-the-counter
International Equity Index Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS - 96.3%      
Australia - 4.5%          
Ampol, Ltd.   8,214   $ 213,073
ANZ Group Holdings, Ltd.   103,645     1,986,467
APA Group   40,668     222,901
Aristocrat Leisure, Ltd.   20,772     581,634
ASX, Ltd.   6,673     288,693
Aurizon Holdings, Ltd.   63,445     165,430
BHP Group, Ltd.   174,621     5,048,970
BlueScope Steel, Ltd.   15,384     239,268
Brambles, Ltd.   49,445     520,363
carsales.com, Ltd.   12,240     287,711
Cochlear, Ltd.   2,361     519,256
Coles Group, Ltd.   45,978     507,560
Commonwealth Bank of Australia   57,693     4,525,397
Computershare, Ltd.   18,728     318,991
CSL, Ltd.   16,643     3,122,677
Dexus   39,487     203,460
EBOS Group, Ltd.   5,681     116,187
Endeavour Group, Ltd.   46,231     165,989
Fortescue, Ltd.   58,369     976,805
Goodman Group   57,954     1,276,567
IDP Education, Ltd.   9,109     106,330
Insurance Australia Group, Ltd.   88,042     367,251
Macquarie Group, Ltd.   12,682     1,649,640
Medibank Private, Ltd.   99,625     244,093
Mineral Resources, Ltd.   5,861     270,416
Mirvac Group   141,329     217,224
National Australia Bank, Ltd.   107,467     2,433,271
Northern Star Resources, Ltd.   39,419     371,940
Orica, Ltd.   15,382     182,959
Origin Energy, Ltd.   60,705     364,151
Pilbara Minerals, Ltd.   98,494     245,786
Qantas Airways, Ltd. (A)   31,854     113,086
QBE Insurance Group, Ltd.   50,892     601,578
Ramsay Health Care, Ltd.   6,743     248,237
REA Group, Ltd.   1,952     235,856
Reece, Ltd.   7,679     140,600
Rio Tinto, Ltd.   12,795     1,015,477
Santos, Ltd.   110,903     561,490
Scentre Group   178,901     395,106
SEEK, Ltd.   11,910     194,211
Seven Group Holdings, Ltd.   5,637     149,795
Sonic Healthcare, Ltd.   16,282     312,008
South32, Ltd.   112,851     220,209
South32, Ltd. (London Stock Exchange)   48,980     95,527
Stockland   87,409     276,201
Suncorp Group, Ltd.   43,519     464,517
Telstra Group, Ltd.   142,830     359,277
The GPT Group   71,628     213,165
The Lottery Corp., Ltd.   82,609     277,037
Transurban Group   105,808     917,895
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Australia (continued)          
Treasury Wine Estates, Ltd.   29,128   $ 236,274
Vicinity, Ltd.   148,057     205,508
Washington H. Soul Pattinson & Company, Ltd.   7,463     163,383
Wesfarmers, Ltd.   39,081     1,742,026
Westpac Banking Corp.   119,614     2,034,410
WiseTech Global, Ltd.   5,743     351,258
Woodside Energy Group, Ltd.   64,951     1,294,625
Woolworths Group, Ltd.   41,774     902,986
          41,462,202
Austria - 0.1%          
Erste Group Bank AG   11,747     523,539
OMV AG   5,543     262,531
Verbund AG   2,442     178,413
voestalpine AG   4,357     122,228
          1,086,711
Belgium - 0.5%          
Ageas SA/NV   5,462     253,031
Anheuser-Busch InBev SA/NV   29,951     1,823,243
D'ieteren Group   850     188,447
Elia Group SA/NV   1,148     123,921
Groupe Bruxelles Lambert NV   3,220     243,427
KBC Group NV   8,597     644,537
Lotus Bakeries NV   14     135,168
Sofina SA   537     120,422
Syensqo SA (A)   2,508     237,648
UCB SA   4,356     537,737
Umicore SA   7,155     154,259
Warehouses De Pauw CVA   6,048     172,458
          4,634,298
Brazil - 1.0%          
Ambev SA   159,630     397,531
Atacadao SA   21,800     59,244
B3 SA - Brasil Bolsa Balcao   196,921     470,767
Banco Bradesco SA   51,324     130,372
Banco BTG Pactual SA   40,604     294,932
Banco do Brasil SA   28,713     324,148
Banco Santander Brasil SA   14,000     79,611
BB Seguridade Participacoes SA   24,400     158,210
Caixa Seguridade Participacoes SA   20,700     64,468
CCR SA   40,100     110,496
Centrais Eletricas Brasileiras SA   41,047     341,281
Centrais Eletricas Brasileiras SA, ADR   1,429     13,218
Cia de Saneamento Basico do Estado de Sao Paulo   11,270     190,328
Cia Siderurgica Nacional SA   10,900     34,121
Cia Siderurgica Nacional SA, ADR   11,800     36,934
Cosan SA   40,344     130,313
CPFL Energia SA   7,900     54,831
 
  86  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Brazil (continued)          
Energisa SA   8,850   $ 84,470
Eneva SA (A)   29,700     75,502
Engie Brasil Energia SA   7,275     58,398
Equatorial Energia SA   34,904     226,527
Hapvida Participacoes e Investimentos SA (A)(B)   167,399     123,495
Hypera SA   14,108     92,630
JBS SA   34,073     146,064
Klabin SA   24,000     120,876
Localiza Rent a Car SA   30,716     334,879
Lojas Renner SA   32,186     108,968
Magazine Luiza SA (A)   94,607     33,954
Magazine Luiza SA (A)   10,595     3,802
Natura & Company Holding SA   26,929     96,002
Petroleo Brasileiro SA   128,229     978,707
PRIO SA   27,700     269,190
Raia Drogasil SA   44,036     240,313
Rede D'Or Sao Luiz SA (B)   19,600     98,911
Rumo SA   45,451     201,727
Sendas Distribuidora SA   46,190     135,474
Suzano SA   24,163     308,240
Suzano SA, ADR   3,164     40,436
Telefonica Brasil SA   9,652     97,378
Telefonica Brasil SA, ADR   6,017     60,591
TIM SA   28,020     99,445
TOTVS SA   17,746     100,417
Ultrapar Participacoes SA   25,400     144,184
Vale SA   117,250     1,422,083
Vibra Energia SA   44,000     219,412
WEG SA   56,116     427,410
          9,240,290
Canada - 7.4%          
Agnico Eagle Mines, Ltd.   17,151     1,022,691
Air Canada (A)   7,300     105,683
Alimentation Couche-Tard, Inc.   26,600     1,518,177
AltaGas, Ltd.   9,500     209,841
ARC Resources, Ltd.   20,700     369,056
Bank of Montreal   24,987     2,439,578
Barrick Gold Corp.   41,577     691,543
Barrick Gold Corp. (London Stock Exchange)   18,057     298,166
BCE, Inc.   2,924     99,363
Brookfield Asset Management, Ltd., Class A   12,268     515,337
Brookfield Corp. (A)   47,672     1,994,795
BRP, Inc.   1,300     87,287
CAE, Inc. (A)   12,000     247,787
Cameco Corp.   15,100     653,696
Canadian Apartment Properties REIT   3,400     116,693
Canadian Imperial Bank of Commerce   31,709     1,607,513
Canadian National Railway Company   19,000     2,501,960
Canadian Natural Resources, Ltd.   36,860     2,811,815
Canadian Pacific Kansas City, Ltd.   32,100     2,830,241
Canadian Tire Corp., Ltd., Class A   1,800     179,528
Canadian Utilities, Ltd., Class A   4,600     104,765
CCL Industries, Inc., Class B   5,400     275,990
Cenovus Energy, Inc.   47,972     959,050
CGI, Inc. (A)   7,200     794,336
Constellation Software, Inc.   700     1,912,074
Dollarama, Inc.   9,700     738,949
Element Fleet Management Corp.   13,500     218,165
Emera, Inc.   9,500     334,329
Empire Company, Ltd., Class A   4,900     119,665
Enbridge, Inc.   72,700     2,627,194
Fairfax Financial Holdings, Ltd.   719     775,026
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
First Quantum Minerals, Ltd.   20,054   $ 215,560
FirstService Corp.   1,500     248,330
Fortis, Inc.   17,449     689,432
Franco-Nevada Corp.   6,636     790,706
George Weston, Ltd.   2,099     283,591
GFL Environmental, Inc.   7,900     272,422
Gildan Activewear, Inc.   6,000     222,672
Great-West Lifeco, Inc.   9,900     316,613
Hydro One, Ltd. (B)   11,900     347,016
iA Financial Corp., Inc.   3,500     217,434
IGM Financial, Inc.   3,000     77,361
Imperial Oil, Ltd.   6,430     443,509
Intact Financial Corp.   6,100     990,915
Ivanhoe Mines, Ltd., Class A (A)   23,800     283,938
Keyera Corp.   8,500     218,940
Kinross Gold Corp.   45,229     277,474
Loblaw Companies, Ltd.   5,540     613,897
Lundin Mining Corp.   26,000     266,037
Magna International, Inc.   9,200     501,176
Manulife Financial Corp. (C)   62,100     1,550,953
MEG Energy Corp. (A)   9,800     225,005
Metro, Inc.   7,957     427,177
National Bank of Canada   11,500     968,359
Northland Power, Inc.   8,100     132,334
Nutrien, Ltd.   16,890     917,600
Onex Corp.   2,700     202,258
Open Text Corp.   9,700     376,385
Pan American Silver Corp.   12,300     185,424
Parkland Corp.   5,416     172,490
Pembina Pipeline Corp.   18,698     659,962
Power Corp. of Canada   20,512     575,133
Quebecor, Inc., Class B   6,400     140,280
Restaurant Brands International, Inc.   10,046     797,791
RioCan Real Estate Investment Trust   6,300     85,904
Rogers Communications, Inc., Class B   12,100     495,774
Royal Bank of Canada   48,586     4,900,387
Saputo, Inc.   9,100     179,037
Shopify, Inc., Class A (A)   41,500     3,201,617
Stantec, Inc.   3,800     315,491
Sun Life Financial, Inc.   19,800     1,080,372
Suncor Energy, Inc.   45,035     1,662,028
TC Energy Corp.   35,746     1,436,649
Teck Resources, Ltd., Class B   16,161     739,716
TELUS Corp.   16,408     262,494
TFI International, Inc.   2,700     430,549
The Bank of Nova Scotia   41,778     2,161,149
The Descartes Systems Group, Inc. (A)   2,900     265,262
The Toronto-Dominion Bank   61,084     3,686,551
Thomson Reuters Corp.   5,454     848,771
TMX Group, Ltd.   10,000     263,778
Toromont Industries, Ltd.   3,200     307,940
Tourmaline Oil Corp.   11,500     537,666
West Fraser Timber Company, Ltd.   2,100     181,327
Wheaton Precious Metals Corp.   15,570     733,355
WSP Global, Inc.   4,300     716,672
          68,260,956
Chile - 0.2%          
Antofagasta PLC   13,585     348,944
Banco de Chile   1,538,226     171,096
Banco de Credito e Inversiones SA (A)   2,615     74,753
Banco Santander Chile, ADR   5,508     109,224
Cencosud SA   42,702     74,071
Cia Sud Americana de Vapores SA   530,399     39,905
Empresas CMPC SA   38,455     78,127
Empresas COPEC SA   13,196     94,776
 
  87  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Chile (continued)          
Enel Americas SA   726,053   $ 70,710
Enel Chile SA, ADR   18,222     55,577
Falabella SA (A)   29,974     78,675
Latam Airlines Group SA (A)   6,198,376     77,233
Sociedad Quimica y Minera de Chile SA, ADR (D)   4,430     217,779
          1,490,870
China - 6.1%          
360 Security Technology, Inc., Class A (A)   14,500     17,776
37 Interactive Entertainment Network Technology Group Company, Ltd., Class A   4,700     11,481
AAC Technologies Holdings, Inc.   27,342     91,825
Advanced Micro-Fabrication Equipment, Inc., Class A   1,253     25,904
AECC Aviation Power Company, Ltd., Class A   5,500     25,557
Agricultural Bank of China, Ltd., Class A   165,700     95,650
Agricultural Bank of China, Ltd., H Shares   1,000,000     422,110
Aier Eye Hospital Group Company, Ltd., Class A   19,585     34,874
Air China, Ltd., Class A (A)   23,600     23,855
Air China, Ltd., H Shares (A)   84,534     41,080
Akeso, Inc. (A)(B)   17,000     101,474
Alibaba Group Holding, Ltd.   552,900     4,999,783
Alibaba Group Holding, Ltd., ADR   1,300     94,068
Aluminum Corp. of China, Ltd., A Shares   29,100     28,659
Aluminum Corp. of China, Ltd., H Shares   131,220     83,556
Angel Yeast Company, Ltd., Class A   1,800     7,179
Anhui Conch Cement Company, Ltd., Class A   8,900     27,371
Anhui Conch Cement Company, Ltd., H Shares   44,290     91,842
Anhui Gujing Distillery Company, Ltd., B Shares   3,600     50,660
Anhui Gujing Distillery Company, Ltd., Class A   900     32,707
Anhui Jianghuai Automobile Group Corp., Ltd. (A)   4,500     10,494
Anhui Yingjia Distillery Company, Ltd., Class A   1,400     12,645
Anker Innovations Technology Company, Ltd., Class A   800     8,473
ANTA Sports Products, Ltd.   44,200     471,296
Asymchem Laboratories Tianjin Company, Ltd., Class A   700     8,657
Autobio Diagnostics Company, Ltd., Class A   1,200     9,466
Autohome, Inc., ADR   2,600     68,172
Avary Holding Shenzhen Company, Ltd., Class A   4,000     13,074
AVIC Industry-Finance Holdings Company, Ltd., Class A   20,000     8,311
AviChina Industry & Technology Company, Ltd., H Shares   72,000     28,346
BAIC BluePark New Energy Technology Company, Ltd., Class A (A)   11,600     12,174
Baidu, Inc., Class A (A)   77,700     1,022,891
Bank of Beijing Company, Ltd., Class A   47,000     36,750
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Bank of Changsha Company, Ltd., Class A   8,400   $ 8,968
Bank of Chengdu Company, Ltd., Class A   7,700     14,427
Bank of China, Ltd., Class A   78,100     47,352
Bank of China, Ltd., H Shares   2,749,563     1,127,350
Bank of Communications Company, Ltd., Class A   87,300     75,528
Bank of Communications Company, Ltd., H Shares   292,527     192,369
Bank of Hangzhou Company, Ltd., Class A   11,400     17,450
Bank of Jiangsu Company, Ltd., Class A   33,410     36,259
Bank of Nanjing Company, Ltd., Class A   21,500     26,869
Bank of Ningbo Company, Ltd., Class A   13,750     39,635
Bank of Shanghai Company, Ltd., Class A   31,610     29,353
Baoshan Iron & Steel Company, Ltd., Class A   41,300     37,001
Beijing Kingsoft Office Software, Inc., Class A   935     38,707
Beijing New Building Materials PLC, Class A   3,500     13,862
Beijing Roborock Technology Company, Ltd., Class A   273     12,921
Beijing Tiantan Biological Products Corp., Ltd., Class A   3,400     12,002
Beijing Tongrentang Company, Ltd., Class A   2,800     16,153
Beijing Wantai Biological Pharmacy Enterprise Company, Ltd., Class A   1,800     17,292
Beijing-Shanghai High Speed Railway Company, Ltd., Class A   100,700     69,562
Bethel Automotive Safety Systems Company, Ltd., Class A   900     6,815
Bilibili, Inc., ADR (A)(D)   5,800     64,960
Bilibili, Inc., Class Z (A)   520     5,899
Bloomage Biotechnology Corp., Ltd., Class A   1,000     7,772
BOC International China Company, Ltd., Class A   5,800     8,044
BOE Technology Group Company, Ltd., Class A   75,300     42,006
BYD Company, Ltd., Class A   4,000     115,434
BYD Company, Ltd., H Shares   36,105     924,471
BYD Electronic International Company, Ltd.   26,500     97,822
By-health Company, Ltd., Class A   3,500     8,076
Caitong Securities Company, Ltd., Class A   9,600     9,810
Cambricon Technologies Corp., Ltd., Class A (A)   844     20,847
Cathay Biotech, Inc., Class A   1,211     7,302
CGN Power Company, Ltd., Class A   32,300     17,792
CGN Power Company, Ltd., H Shares (B)   364,000     107,991
Changchun High & New Technology Industry Group, Inc., Class A   800     13,443
Changjiang Securities Company, Ltd., Class A   11,500     8,100
Changzhou Xingyu Automotive Lighting Systems Company, Ltd., Class A   600     11,738
Chaozhou Three-Circle Group Company, Ltd., Class A   3,900     13,417
 
  88  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
China Baoan Group Company, Ltd., Class A   5,400   $ 7,855
China Cinda Asset Management Company, Ltd., H Shares   304,800     25,333
China CITIC Bank Corp., Ltd., H Shares   310,800     165,781
China Coal Energy Company, Ltd., H Shares   70,000     68,184
China Communications Services Corp., Ltd., H Shares   129,600     60,479
China Construction Bank Corp., Class A   15,400     14,557
China Construction Bank Corp., H Shares   3,327,914     2,008,308
China CSSC Holdings, Ltd., Class A   9,100     43,569
China Eastern Airlines Corp., Ltd., Class A (A)   35,500     17,941
China Energy Engineering Corp., Ltd., Class A   65,700     19,095
China Everbright Bank Company, Ltd., Class A   88,600     38,259
China Everbright Bank Company, Ltd., H Shares   120,000     34,528
China Feihe, Ltd. (B)   119,000     56,000
China Galaxy Securities Company, Ltd., Class A   9,000     14,739
China Galaxy Securities Company, Ltd., H Shares   129,500     63,640
China Great Wall Securities Company, Ltd., Class A   8,400     8,549
China Greatwall Technology Group Company, Ltd., Class A   6,500     8,881
China Hongqiao Group, Ltd.   78,000     87,901
China Huishan Dairy Holdings Company, Ltd. (A)(E)   225,000     0
China International Capital Corp., Ltd., Class A   4,000     17,735
China International Capital Corp., Ltd., H Shares (B)   52,000     61,736
China Jushi Company, Ltd., Class A   8,100     11,743
China Life Insurance Company, Ltd., Class A   4,500     17,766
China Life Insurance Company, Ltd., H Shares   255,624     307,408
China Literature, Ltd. (A)(B)   14,000     46,903
China Longyuan Power Group Corp., Ltd., H Shares   114,000     79,973
China Mengniu Dairy Company, Ltd. (A)   108,004     232,460
China Merchants Bank Company, Ltd., Class A   45,900     204,734
China Merchants Bank Company, Ltd., H Shares   133,823     530,410
China Merchants Energy Shipping Company, Ltd., Class A   16,500     17,614
China Merchants Expressway Network & Technology Holdings Company, Ltd., Class A   6,500     10,077
China Merchants Securities Company, Ltd., Class A   16,510     31,622
China Merchants Shekou Industrial Zone Holdings Company, Ltd., Class A   17,600     23,535
China Minsheng Banking Corp., Ltd., Class A   78,880     44,317
China Minsheng Banking Corp., Ltd., H Shares   230,496     79,881
China National Building Material Company, Ltd., H Shares   138,000     47,499
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
China National Chemical Engineering Company, Ltd., Class A   12,700   $ 11,702
China National Nuclear Power Company, Ltd., Class A   38,300     47,444
China National Software & Service Company, Ltd., Class A   1,800     7,661
China Northern Rare Earth Group High-Tech Company, Ltd., Class A   7,300     19,285
China Oilfield Services, Ltd., H Shares   56,000     64,453
China Pacific Insurance Group Company, Ltd., Class A   14,000     43,881
China Pacific Insurance Group Company, Ltd., H Shares   94,100     165,082
China Petroleum & Chemical Corp., Class A   56,700     48,844
China Petroleum & Chemical Corp., H Shares   873,361     496,703
China Railway Group, Ltd., Class A   42,700     40,274
China Railway Group, Ltd., H Shares   144,000     71,278
China Railway Signal & Communication Corp., Ltd., Class A   14,917     11,327
China Rare Earth Resources and Technology Company, Ltd., Class A   2,200     8,217
China Resources Microelectronics, Ltd., Class A   2,675     14,548
China Resources Mixc Lifestyle Services, Ltd. (B)   23,400     74,152
China Resources Pharmaceutical Group, Ltd. (B)   53,000     33,888
China Resources Sanjiu Medical & Pharmaceutical Company, Ltd., Class A   2,000     14,594
China Shenhua Energy Company, Ltd., Class A   13,400     71,684
China Shenhua Energy Company, Ltd., H Shares   117,000     460,240
China Southern Airlines Company, Ltd., Class A (A)   23,300     18,066
China State Construction Engineering Corp., Ltd., Class A   93,340     67,443
China Three Gorges Renewables Group Company, Ltd., Class A   58,700     38,028
China Tourism Group Duty Free Corp., Ltd., Class A   4,300     51,363
China Tourism Group Duty Free Corp., Ltd., H Shares (B)   3,800     37,933
China Tower Corp., Ltd., H Shares (B)   1,496,000     172,174
China United Network Communications, Ltd., Class A   64,400     41,118
China Vanke Company, Ltd., Class A   21,600     27,637
China Vanke Company, Ltd., H Shares   74,500     51,690
China XD Electric Company, Ltd., Class A   10,600     7,881
China Yangtze Power Company, Ltd., Class A   48,900     168,159
China Zhenhua Group Science & Technology Company, Ltd., Class A   1,100     8,309
China Zheshang Bank Company, Ltd., Class A   43,700     17,787
Chongqing Brewery Company, Ltd., Class A   1,000     8,947
Chongqing Changan Automobile Company, Ltd., Class A   16,800     39,947
Chongqing Rural Commercial Bank Company, Ltd., Class A   18,400     11,842
 
  89  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Chongqing Zhifei Biological Products Company, Ltd., Class A   4,650   $ 29,138
CITIC Securities Company, Ltd., Class A   25,185     67,392
CITIC Securities Company, Ltd., H Shares   61,825     102,123
CITIC, Ltd.   207,967     200,165
CMOC Group, Ltd., Class A   28,400     32,151
CMOC Group, Ltd., H Shares   129,000     109,859
CNGR Advanced Material Company, Ltd., Class A   1,400     10,064
CNPC Capital Company, Ltd., Class A   17,300     13,462
Contemporary Amperex Technology Company, Ltd., Class A   8,820     230,600
COSCO SHIPPING Energy Transportation Company, Ltd., Class A   7,200     15,876
COSCO SHIPPING Energy Transportation Company, Ltd., H Shares   44,000     45,642
COSCO SHIPPING Holdings Company, Ltd., Class A   26,000     37,337
COSCO SHIPPING Holdings Company, Ltd., H Shares   119,600     125,925
Country Garden Holdings Company, Ltd. (A)   420,117     26,119
Country Garden Services Holdings Company, Ltd.   69,000     44,284
CRRC Corp., Ltd., Class A   49,300     45,167
CRRC Corp., Ltd., H Shares   145,000     78,269
CSC Financial Company, Ltd., Class A   9,000     27,388
CSPC Innovation Pharmaceutical Company, Ltd., Class A   2,400     12,387
CSPC Pharmaceutical Group, Ltd.   303,120     238,586
Daqin Railway Company, Ltd., Class A   30,700     31,097
Dong-E-E-Jiao Company, Ltd., Class A   1,300     10,941
Dongfang Electric Corp., Ltd., Class A   5,800     12,405
Dongfeng Motor Group Company, Ltd., H Shares   91,220     38,144
East Buy Holding, Ltd. (A)(B)   13,500     35,924
East Money Information Company, Ltd., Class A   30,896     55,127
Eastroc Beverage Group Company, Ltd., Class A   500     13,036
Ecovacs Robotics Company, Ltd., Class A   2,300     11,332
Empyrean Technology Company, Ltd., Class A   800     8,872
ENN Energy Holdings, Ltd.   26,600     206,973
ENN Natural Gas Company, Ltd., Class A   5,400     14,320
Eoptolink Technology, Inc., Ltd., Class A   1,500     14,117
Eve Energy Company, Ltd., Class A   4,181     22,736
Everbright Securities Company, Ltd., Class A   8,700     19,591
Everdisplay Optronics Shanghai Company, Ltd., Class A (A)   23,977     7,166
Flat Glass Group Company, Ltd., Class A   3,300     13,168
Flat Glass Group Company, Ltd., H Shares   23,000     55,984
Focus Media Information Technology Company, Ltd., Class A   32,700     29,429
Foshan Haitian Flavouring & Food Company, Ltd., Class A   10,296     56,452
Fosun International, Ltd.   85,000     44,349
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Founder Securities Company, Ltd., Class A   16,700   $ 18,093
Foxconn Industrial Internet Company, Ltd., Class A   27,100     88,049
Fuyao Glass Industry Group Company, Ltd., Class A   4,500     26,743
Fuyao Glass Industry Group Company, Ltd., H Shares (B)   20,800     104,796
GalaxyCore, Inc., Class A   3,600     8,332
Ganfeng Lithium Group Company, Ltd., Class A   3,360     16,716
Ganfeng Lithium Group Company, Ltd., H Shares (B)   12,039     36,903
GD Power Development Company, Ltd., Class A   36,100     25,024
GDS Holdings, Ltd., ADR (A)   3,400     22,610
GEM Company, Ltd., Class A   10,700     8,768
Genscript Biotech Corp. (A)   40,000     74,224
GF Securities Company, Ltd., Class A   13,200     24,522
GF Securities Company, Ltd., H Shares   47,800     49,544
Giant Biogene Holding Company, Ltd. (A)(B)   10,200     55,526
GigaDevice Semiconductor, Inc., Class A   1,372     13,818
GoerTek, Inc., Class A   5,200     11,360
Goldwind Science & Technology Company, Ltd., Class A   7,700     7,920
Goneo Group Company, Ltd., Class A   900     12,772
Gotion High-tech Company, Ltd., Class A (A)   3,700     10,399
Great Wall Motor Company, Ltd., Class A   5,000     15,805
Great Wall Motor Company, Ltd., H Shares   104,500     116,415
Gree Electric Appliances, Inc. of Zhuhai, Class A   5,700     30,928
GRG Banking Equipment Company, Ltd., Class A   5,200     8,629
Guangdong Haid Group Company, Ltd., Class A   3,500     20,854
Guanghui Energy Company, Ltd., Class A   13,500     13,502
Guangzhou Automobile Group Company, Ltd., Class A   10,000     12,338
Guangzhou Automobile Group Company, Ltd., H Shares   100,310     41,173
Guangzhou Baiyunshan Pharmaceutical Holdings Company, Ltd., Class A   2,300     9,122
Guangzhou Haige Communications Group, Inc. Company, Class A   5,200     7,558
Guangzhou Kingmed Diagnostics Group Company, Ltd., Class A   1,000     7,841
Guangzhou Shiyuan Electronic Technology Company, Ltd., Class A   1,500     7,085
Guangzhou Tinci Materials Technology Company, Ltd., Class A   3,900     11,754
Guosen Securities Company, Ltd., Class A   13,300     15,256
Guotai Junan Securities Company, Ltd., Class A   16,700     32,947
Guoyuan Securities Company, Ltd., Class A   9,100     8,139
H World Group, Ltd., ADR   7,100     274,770
Haidilao International Holding, Ltd. (B)   56,000     126,720
Haier Smart Home Company, Ltd., Class A   13,600     47,270
 
  90  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Haier Smart Home Company, Ltd., H Shares   83,800   $ 260,769
Hainan Airlines Holding Company, Ltd., Class A (A)   87,600     16,612
Hainan Airport Infrastructure Company, Ltd., Class A (A)   23,700     11,450
Haitian International Holdings, Ltd.   21,000     61,110
Haitong Securities Company, Ltd., Class A   18,000     21,607
Haitong Securities Company, Ltd., H Shares   113,200     54,144
Hangzhou First Applied Material Company, Ltd., Class A   5,488     21,432
Hangzhou Silan Microelectronics Company, Ltd., Class A   2,600     7,053
Hangzhou Tigermed Consulting Company, Ltd., A Shares   1,700     12,298
Hansoh Pharmaceutical Group Company, Ltd. (B)   40,000     79,228
Hebei Yangyuan Zhihui Beverage Company, Ltd., Class A   2,600     9,008
Henan Shenhuo Coal Industry & Electricity Power Company, Ltd., Class A   4,700     12,608
Henan Shuanghui Investment & Development Company, Ltd., Class A   7,200     25,689
Hengan International Group Company, Ltd.   25,000     78,809
Hengli Petrochemical Company, Ltd., Class A (A)   14,600     27,689
Hengtong Optic-electric Company, Ltd., Class A   5,100     8,642
Hisense Visual Technology Company, Ltd., Class A   2,700     8,840
Hithink RoyalFlush Information Network Company, Ltd., Class A   900     16,806
HLA Group Corp., Ltd., Class A   9,100     11,049
Hoshine Silicon Industry Company, Ltd., Class A   1,600     10,971
Hua Hong Semiconductor, Ltd. (A)(B)   20,000     39,033
Huadian Power International Corp., Ltd., Class A   17,700     16,608
Huadong Medicine Company, Ltd., Class A   2,800     11,908
Huafon Chemical Company, Ltd., Class A   10,300     9,365
Huagong Tech Company, Ltd., Class A   2,100     9,199
Huaibei Mining Holdings Company, Ltd., Class A   5,200     11,792
Hualan Biological Engineering, Inc., Class A   4,030     11,051
Huaneng Power International, Inc., Class A   18,600     23,562
Huaneng Power International, Inc., H Shares (A)   149,436     88,149
Huatai Securities Company, Ltd., Class A   16,400     31,395
Huatai Securities Company, Ltd., H Shares (B)   48,800     55,841
Huaxia Bank Company, Ltd., Class A   28,500     25,524
Huayu Automotive Systems Company, Ltd., Class A   5,100     11,620
Hubei Jumpcan Pharmaceutical Company, Ltd., Class A   1,900     9,652
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Huizhou Desay Sv Automotive Company, Ltd., Class A   1,100   $ 19,191
Humanwell Healthcare Group Company, Ltd., Class A   3,400     9,109
Hunan Valin Steel Company, Ltd., Class A   14,300     10,173
Hundsun Technologies, Inc., Class A   3,075     9,689
Hwatsing Technology Company, Ltd., Class A   330     8,044
Hygeia Healthcare Holdings Company, Ltd. (B)   11,400     46,526
Hygon Information Technology Company, Ltd., Class A   3,973     42,232
IEIT Systems Company, Ltd., Class A   3,248     19,941
Iflytek Company, Ltd., Class A   4,700     32,280
Imeik Technology Development Company, Ltd., Class A   400     18,734
Industrial & Commercial Bank of China, Ltd., Class A   120,000     87,203
Industrial & Commercial Bank of China, Ltd., H Shares   2,242,735     1,127,275
Industrial Bank Company, Ltd., Class A   46,200     103,929
Industrial Securities Company, Ltd., Class A   14,900     11,208
Ingenic Semiconductor Company, Ltd., Class A   2,800     23,711
Inner Mongolia BaoTou Steel Union Company, Ltd., Class A (A)   94,300     20,755
Inner Mongolia Dian Tou Energy Corp., Ltd., Class A   4,700     10,468
Inner Mongolia Junzheng Energy & Chemical Industry Group Company, Ltd., Class A   17,500     8,840
Inner Mongolia Yili Industrial Group Company, Ltd., Class A   13,600     52,365
Inner Mongolia Yitai Coal Company, Ltd., Class B   36,400     69,472
Innovent Biologics, Inc. (A)(B)   42,000     202,650
iQIYI, Inc., ADR (A)   15,000     63,450
Isoftstone Information Technology Group Company, Ltd., Class A (A)   2,000     12,981
JA Solar Technology Company, Ltd., Class A   6,272     15,082
Jason Furniture Hangzhou Company, Ltd., Class A   1,700     8,571
JCET Group Company, Ltd., Class A   3,600     14,466
JD Health International, Inc. (A)(B)   38,200     135,753
JD Logistics, Inc. (A)(B)   67,000     68,439
JD.com, Inc., Class A   81,073     1,112,069
Jiangsu Eastern Shenghong Company, Ltd., Class A   13,400     18,399
Jiangsu Expressway Company, Ltd., H Shares   41,145     42,115
Jiangsu Hengli Hydraulic Company, Ltd., Class A   2,960     20,643
Jiangsu Hengrui Pharmaceuticals Company, Ltd., Class A   14,198     90,874
Jiangsu King's Luck Brewery JSC, Ltd., Class A   2,800     23,029
Jiangsu Pacific Quartz Company, Ltd., Class A   800     10,051
Jiangsu Yanghe Brewery Joint-Stock Company, Ltd., Class A   3,400     46,424
Jiangsu Yuyue Medical Equipment & Supply Company, Ltd., Class A   2,100     9,905
 
  91  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Jiangsu Zhongtian Technology Company, Ltd., Class A   7,100   $ 13,825
Jiangxi Copper Company, Ltd., Class A   4,300     13,404
Jiangxi Copper Company, Ltd., H Shares   39,075     66,739
Jinduicheng Molybdenum Company, Ltd., Class A   6,700     10,382
Jinko Solar Company, Ltd., Class A   13,511     15,434
Jizhong Energy Resources Company, Ltd., Class A   7,300     7,554
Jointown Pharmaceutical Group Company, Ltd., Class A   8,100     8,933
Juneyao Airlines Company, Ltd., Class A (A)   4,600     7,590
Kanzhun, Ltd., ADR   7,400     129,722
KE Holdings, Inc., ADR   22,300     306,179
Kingdee International Software Group Company, Ltd. (A)   101,000     114,298
Kingsoft Corp., Ltd.   32,800     101,232
Kuaishou Technology (A)(B)   81,100     510,492
Kuang-Chi Technologies Company, Ltd., Class A (A)   4,500     12,632
Kunlun Tech Company, Ltd., Class A (A)   2,500     14,060
Kweichow Moutai Company, Ltd., Class A   2,600     612,874
LB Group Company, Ltd., Class A   5,000     12,770
Lenovo Group, Ltd.   277,436     321,437
Lens Technology Company, Ltd., Class A   7,300     13,689
Lepu Medical Technology Beijing Company, Ltd., Class A   4,000     7,639
Li Auto, Inc., Class A (A)   39,700     602,826
Li Ning Company, Ltd.   80,500     214,751
Liaoning Port Company, Ltd., Class A   39,100     7,576
Lingyi iTech Guangdong Company, Class A   12,700     9,580
Longfor Group Holdings, Ltd. (B)   65,779     93,301
LONGi Green Energy Technology Company, Ltd., Class A   15,064     40,907
Luxshare Precision Industry Company, Ltd., Class A   15,495     63,809
Luzhou Laojiao Company, Ltd., Class A   3,300     84,599
Mango Excellent Media Company, Ltd., Class A   3,300     11,180
Maxscend Microelectronics Company, Ltd., Class A   1,440     20,032
Meihua Holdings Group Company, Ltd., Class A   6,100     8,497
Meinian Onehealth Healthcare Holdings Company, Ltd., Class A (A)   8,300     5,757
Meituan, Class B (A)(B)   175,700     2,168,857
Metallurgical Corp. of China, Ltd., Class A   28,700     13,626
MGI Tech Company, Ltd.   863     7,096
Midea Group Company, Ltd., Class A   7,300     65,261
MINISO Group Holding, Ltd., ADR   3,276     67,158
Montage Technology Company, Ltd., Class A   2,305     14,817
Muyuan Foods Company, Ltd., Class A   11,382     66,251
Nanjing Securities Company, Ltd., Class A   7,700     8,213
NARI Technology Company, Ltd., Class A   17,798     59,412
National Silicon Industry Group Company, Ltd., Class A (A)   5,536     10,237
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
NAURA Technology Group Company, Ltd., Class A   1,100   $ 46,680
NetEase, Inc.   67,000     1,388,350
New China Life Insurance Company, Ltd., Class A   4,600     19,226
New China Life Insurance Company, Ltd., H Shares   29,500     52,316
New Hope Liuhe Company, Ltd., Class A (A)   6,800     8,820
New Oriental Education & Technology Group, Inc. (A)   51,000     445,733
Ninestar Corp., Class A   2,900     9,213
Ningbo Deye Technology Company, Ltd., Class A   900     11,716
Ningbo Sanxing Medical Electric Company, Ltd., Class A   2,900     11,024
Ningbo Tuopu Group Company, Ltd., Class A   2,200     19,489
Ningxia Baofeng Energy Group Company, Ltd., Class A   14,900     32,328
NIO, Inc., ADR (A)(D)   46,800     210,600
Nongfu Spring Company, Ltd., H Shares (B)   68,800     371,853
Oppein Home Group, Inc., Class A   1,100     9,777
Orient Securities Company, Ltd., Class A   12,288     14,023
Pangang Group Vanadium Titanium & Resources Company, Ltd., Class A (A)   19,300     8,073
People.cn Company, Ltd., Class A   2,300     8,496
Perfect World Company, Ltd., Class A   4,350     6,413
PetroChina Company, Ltd., Class A   44,800     57,435
PetroChina Company, Ltd., H Shares   730,261     626,288
Pharmaron Beijing Company, Ltd., Class A   3,000     8,490
PICC Property & Casualty Company, Ltd., H Shares   252,363     333,055
Ping An Bank Company, Ltd., Class A   38,200     55,484
Ping An Insurance Group Company of China, Ltd., Class A   24,100     135,871
Ping An Insurance Group Company of China, Ltd., H Shares   230,790     979,861
Piotech, Inc., Class A   384     9,952
Poly Developments and Holdings Group Company, Ltd., Class A   26,500     34,314
Pop Mart International Group, Ltd. (B)   19,200     70,688
Postal Savings Bank of China Company, Ltd., Class A   58,900     38,822
Postal Savings Bank of China Company, Ltd., H Shares (B)   331,000     173,262
Power Construction Corp. of China, Ltd., Class A   35,800     24,478
Qifu Technology, Inc., ADR   3,800     70,034
Qinghai Salt Lake Industry Company, Ltd., Class A (A)   11,000     24,207
Range Intelligent Computing Technology Group Company, Ltd., Class A   3,000     12,615
Rongsheng Petrochemical Company, Ltd., Class A   21,050     31,616
SAIC Motor Corp., Ltd., Class A   17,300     35,805
Sailun Group Company, Ltd., Class A   6,500     13,107
Sanan Optoelectronics Company, Ltd., Class A   10,100     17,002
Sangfor Technologies, Inc., Class A (A)   700     6,111
Sany Heavy Equipment International Holdings Company, Ltd.   38,000     24,453
 
  92  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Sany Heavy Industry Company, Ltd., Class A   18,600   $ 37,218
Satellite Chemical Company, Ltd., Class A (A)   6,800     16,050
SDIC Capital Company, Ltd., Class A   13,300     11,765
SDIC Power Holdings Company, Ltd., Class A   15,100     31,081
Seazen Holdings Company, Ltd., Class A (A)   5,000     6,792
Seres Group Company, Ltd. (A)   3,100     38,952
SF Holding Company, Ltd., Class A   10,100     50,830
SG Micro Corp., Class A   1,000     8,909
Shaanxi Coal Industry Company, Ltd., Class A   19,600     67,805
Shan Xi Hua Yang Group New Energy Company, Ltd., Class A   7,500     9,531
Shandong Gold Mining Company, Ltd., Class A   5,880     21,317
Shandong Gold Mining Company, Ltd., H Shares (B)   21,500     43,760
Shandong Hualu Hengsheng Chemical Company, Ltd., Class A   4,300     15,058
Shandong Linglong Tyre Company, Ltd., Class A   3,100     8,950
Shandong Nanshan Aluminum Company, Ltd., Class A   24,300     11,337
Shandong Sun Paper Industry JSC, Ltd., Class A   5,800     11,324
Shandong Weigao Group Medical Polymer Company, Ltd., H Shares   80,000     49,870
Shanghai Aiko Solar Energy Company, Ltd., Class A   3,800     7,185
Shanghai Baosight Software Company, Ltd., Class A   3,600     19,177
Shanghai Baosight Software Company, Ltd., Class B   27,456     55,718
Shanghai BOCHU Electronic Technology Corp., Ltd., Class A   304     11,873
Shanghai Electric Group Company, Ltd., Class A (A)   25,600     14,884
Shanghai Fosun Pharmaceutical Group Company, Ltd., Class A   3,200     10,246
Shanghai Fosun Pharmaceutical Group Company, Ltd., H Shares   17,500     28,644
Shanghai International Airport Company, Ltd., Class A (A)   1,600     7,897
Shanghai International Port Group Company, Ltd., Class A   13,700     10,063
Shanghai M&G Stationery, Inc., Class A   2,000     9,801
Shanghai Pharmaceuticals Holding Company, Ltd., Class A   5,600     13,216
Shanghai Pharmaceuticals Holding Company, Ltd., H Shares   31,100     44,938
Shanghai Pudong Development Bank Company, Ltd., Class A   65,300     64,829
Shanghai Putailai New Energy Technology Company, Ltd., Class A   4,100     10,827
Shanghai RAAS Blood Products Company, Ltd., Class A   13,800     13,430
Shanghai Rural Commercial Bank Company, Ltd.   19,500     17,839
Shanghai United Imaging Healthcare Company, Ltd., Class A   1,689     30,650
Shanghai Zhangjiang High-Tech Park Development Company, Ltd., Class A   3,200     8,866
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Shanxi Coal International Energy Group Company, Ltd., Class A   4,100   $ 9,518
Shanxi Coking Coal Energy Group Company, Ltd., Class A   11,600     16,391
Shanxi Lu'an Environmental Energy Development Company, Ltd., Class A   6,100     16,931
Shanxi Xinghuacun Fen Wine Factory Company, Ltd., Class A   2,460     83,566
Shede Spirits Company, Ltd., Class A   700     7,515
Shenergy Company, Ltd., Class A   10,200     10,907
Shengyi Technology Company, Ltd., Class A   5,100     12,389
Shennan Circuits Company, Ltd., Class A   1,120     13,728
Shenwan Hongyuan Group Company, Ltd., Class A   36,200     22,146
Shenzhen Capchem Technology Company, Ltd., Class A   1,600     7,530
Shenzhen Energy Group Company, Ltd., Class A   9,900     9,495
Shenzhen Goodix Technology Company, Ltd., Class A (A)   1,000     8,045
Shenzhen Inovance Technology Company, Ltd., Class A   5,550     46,269
Shenzhen Kangtai Biological Products Company, Ltd., Class A   2,240     6,769
Shenzhen Mindray Bio-Medical Electronics Company, Ltd., Class A   2,500     96,878
Shenzhen New Industries Biomedical Engineering Company, Ltd., Class A   1,600     14,901
Shenzhen Overseas Chinese Town Company, Ltd., Class A (A)   13,200     5,008
Shenzhen Salubris Pharmaceuticals Company, Ltd., Class A   2,300     9,191
Shenzhen Transsion Holdings Company, Ltd., Class A   1,629     36,830
Shenzhou International Group Holdings, Ltd.   28,300     268,664
Shijiazhuang Yiling Pharmaceutical Company, Ltd., Class A   3,500     9,781
Sichuan Chuantou Energy Company, Ltd., Class A   9,800     22,510
Sichuan Kelun Pharmaceutical Company, Ltd., Class A   3,100     12,977
Sichuan Road and Bridge Group Company, Ltd., Class A   14,700     15,111
Sieyuan Electric Company, Ltd., Class A   1,600     12,891
Silergy Corp.   11,000     112,527
Sinolink Securities Company, Ltd., Class A   7,700     9,003
Sinoma International Engineering Company, Class A   5,500     8,644
Sinopharm Group Company, Ltd., H Shares   46,400     118,983
Sinotruk Hong Kong, Ltd.   23,500     57,738
Smoore International Holdings, Ltd. (B)   62,000     52,838
Songcheng Performance Development Company, Ltd., Class A   5,760     8,116
SooChow Securities Company, Ltd., Class A   10,400     9,689
Spring Airlines Company, Ltd. (A)   2,000     15,234
Sungrow Power Supply Company, Ltd., Class A   3,000     42,869
Sunny Optical Technology Group Company, Ltd.   24,400     124,960
 
  93  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
SUPCON Technology Company, Ltd., Class A   1,640   $ 10,526
Suzhou Maxwell Technologies Company, Ltd., Class A   600     8,847
Suzhou TFC Optical Communication Company, Ltd., Class A   800     16,815
TAL Education Group, ADR (A)   14,900     169,115
TBEA Company, Ltd., Class A   10,200     21,361
TCL Technology Group Corp., Class A (A)   38,980     25,145
TCL Zhonghuan Renewable Energy Technology Company, Ltd., Class A   8,250     13,478
Tencent Holdings, Ltd.   229,000     8,919,537
Tencent Music Entertainment Group, ADR (A)   26,000     290,940
The People's Insurance Company Group of China, Ltd., Class A   19,200     13,619
The People's Insurance Company Group of China, Ltd., H Shares   302,000     96,547
Thunder Software Technology Company, Ltd., Class A (A)   900     6,443
Tianqi Lithium Corp., Class A   3,000     19,797
Tingyi Cayman Islands Holding Corp.   76,000     83,403
Tongcheng Travel Holdings, Ltd. (A)   41,600     109,979
TongFu Microelectronics Company, Ltd., Class A   3,100     9,509
Tongkun Group Company, Ltd., Class A (A)   5,000     9,286
Tongling Nonferrous Metals Group Company, Ltd., Class A   26,300     14,246
Tongwei Company, Ltd., Class A   9,300     31,806
Topsports International Holdings, Ltd. (B)   64,000     42,924
TravelSky Technology, Ltd., H Shares   31,000     37,602
Trina Solar Company, Ltd., Class A   4,405     14,459
Trip.com Group, Ltd., ADR (A)   18,900     829,521
Tsingtao Brewery Company, Ltd., Class A   1,400     16,308
Tsingtao Brewery Company, Ltd., H Shares   22,000     151,408
Unigroup Guoxin Microelectronics Company, Ltd., Class A (A)   1,679     15,237
Unisplendour Corp., Ltd., Class A (A)   5,320     16,169
Vipshop Holdings, Ltd., ADR   12,000     198,600
Walvax Biotechnology Company, Ltd., Class A   3,400     7,305
Wanhua Chemical Group Company, Ltd., Class A   7,000     78,010
Weichai Power Company, Ltd., Class A   14,100     31,823
Weichai Power Company, Ltd., H Shares   64,720     123,493
Wens Foodstuffs Group Company, Ltd., Class A   14,160     36,329
Western Mining Company, Ltd., Class A   4,900     12,581
Western Securities Company, Ltd., Class A   9,300     8,697
Will Semiconductor Company, Ltd., Class A   4,185     57,097
Wingtech Technology Company, Ltd., Class A (A)   2,500     12,667
Wintime Energy Group Company, Ltd., Class A (A)   46,100     8,491
Wuhan Guide Infrared Company, Ltd., Class A   8,900     8,933
Wuliangye Yibin Company, Ltd., Class A   8,600     182,372
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
WUS Printed Circuit Kunshan Company, Ltd., Class A   4,180   $ 17,618
WuXi AppTec Company, Ltd., Class A   5,544     36,137
WuXi AppTec Company, Ltd., H Shares (B)   12,106     57,518
WuXi Biologics Cayman, Inc. (A)(B)   132,500     242,390
XCMG Construction Machinery Company, Ltd., Class A   23,900     20,543
Xiamen C & D, Inc., Class A   6,200     8,715
Xiaomi Corp., Class B (A)(B)   532,200     1,044,857
Xinjiang Daqo New Energy Company, Ltd., Class A   3,610     13,488
Xinyi Solar Holdings, Ltd.   172,835     134,205
XPeng, Inc., A Shares (A)   39,700     157,279
Yadea Group Holdings, Ltd. (B)   42,000     68,148
Yankuang Energy Group Company, Ltd., Class A   7,800     24,923
Yankuang Energy Group Company, Ltd., H Shares   78,985     166,092
Yantai Jereh Oilfield Services Group Company, Ltd., Class A   2,100     8,653
Yealink Network Technology Corp., Ltd., Class A   2,600     9,037
Yifeng Pharmacy Chain Company, Ltd., Class A   2,100     11,429
Yihai Kerry Arawana Holdings Company, Ltd., Class A   2,900     12,117
Yintai Gold Company, Ltd., Class A (A)   5,800     13,604
YongXing Special Materials Technology Company, Ltd., Class A   1,100     7,230
Yonyou Network Technology Company, Ltd., Class A   5,200     8,681
Youngor Fashion Company, Ltd., Class A   9,600     9,272
YTO Express Group Company, Ltd., Class A   7,000     14,674
Yum China Holdings, Inc. (New York Stock Exchange)   14,200     565,018
Yunda Holding Company, Ltd., Class A   3,120     3,102
Yunnan Aluminium Company, Ltd., Class A   7,200     13,592
Yunnan Baiyao Group Company, Ltd., Class A   3,920     27,401
Yunnan Botanee Bio-Technology Group Company, Ltd., Class A   900     7,409
Yunnan Energy New Material Company, Ltd., Class A   1,800     10,154
Yunnan Yuntianhua Company, Ltd., Class A   3,800     9,747
Yutong Bus Company, Ltd., Class A   4,600     11,959
Zai Lab, Ltd., ADR (A)(D)   3,100     49,662
Zangge Mining Company, Ltd., Class A   3,300     13,589
Zhangzhou Pientzehuang Pharmaceutical Company, Ltd., Class A   1,000     31,924
Zhaojin Mining Industry Company, Ltd., H Shares   40,000     54,503
Zhejiang Century Huatong Group Company, Ltd., Class A (A)   15,500     10,210
Zhejiang China Commodities City Group Company, Ltd., Class A   11,400     13,840
Zhejiang Chint Electrics Company, Ltd., Class A   4,800     13,395
Zhejiang Dahua Technology Company, Ltd., Class A   4,800     12,371
 
  94  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
China (continued)          
Zhejiang Dingli Machinery Company, Ltd., Class A   1,100   $ 8,543
Zhejiang Expressway Company, Ltd., H Shares   68,610     44,027
Zhejiang Huayou Cobalt Company, Ltd., Class A   3,300     12,154
Zhejiang Jingsheng Mechanical & Electrical Company, Ltd., Class A   2,600     12,423
Zhejiang Juhua Company, Ltd., Class A   5,600     18,155
Zhejiang Leapmotor Technology Company, Ltd. (A)(B)   17,300     58,155
Zhejiang Longsheng Group Company, Ltd., Class A   6,800     7,829
Zhejiang NHU Company, Ltd., Class A   6,912     16,014
Zhejiang Sanhua Intelligent Controls Company, Ltd., Class A   3,600     11,968
Zhejiang Supor Company, Ltd., Class A   1,200     9,497
Zhejiang Weiming Environment Protection Company, Ltd., Class A   3,500     8,832
Zhejiang Zheneng Electric Power Company, Ltd., Class A (A)   22,900     20,618
Zheshang Securities Company, Ltd., Class A   8,100     12,672
ZhongAn Online P&C Insurance Company, Ltd., H Shares (A)(B)   24,300     38,885
Zhongji Innolight Company, Ltd., Class A   1,600     34,276
Zhongjin Gold Corp., Ltd., Class A   9,800     16,781
Zhongsheng Group Holdings, Ltd.   28,500     49,504
Zhongtai Securities Company, Ltd., Class A   14,100     13,003
Zhuzhou CRRC Times Electric Company, Ltd., Class A   1,804     11,164
Zhuzhou CRRC Times Electric Company, Ltd., H Shares   18,000     57,103
Zijin Mining Group Company, Ltd., Class A   41,700     93,070
Zijin Mining Group Company, Ltd., H Shares   193,469     387,596
Zoomlion Heavy Industry Science and Technology Company, Ltd., Class A   14,300     15,892
ZTE Corp., Class A   7,600     28,888
ZTE Corp., H Shares   25,887     51,676
ZTO Express Cayman, Inc., ADR   15,400     322,476
          56,294,427
Colombia - 0.0%          
Bancolombia SA, ADR   3,847     131,644
Czech Republic - 0.0%          
CEZ AS   5,524     197,175
Komercni banka AS   3,440     123,207
Moneta Money Bank AS (B)   17,731     77,064
          397,446
Denmark - 2.3%          
A.P. Moller - Maersk A/S, Series A   118     151,195
A.P. Moller - Maersk A/S, Series B   164     213,831
Carlsberg A/S, Class B   3,332     456,301
Coloplast A/S, B Shares   4,345     586,649
Danske Bank A/S   23,427     703,195
Demant A/S (A)   3,300     164,021
DSV A/S   6,036     981,180
Genmab A/S (A)   2,238     671,017
Novo Nordisk A/S, Class B   112,425     14,421,138
Novozymes A/S, B Shares   12,853     756,033
Orsted A/S (A)(B)   6,401     357,681
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Denmark (continued)          
Pandora A/S   3,090   $ 498,745
ROCKWOOL A/S, B Shares   352     115,817
Tryg A/S   13,079     269,615
Vestas Wind Systems A/S (A)   34,397     959,456
          21,305,874
Egypt - 0.0%          
Commercial International Bank Egypt SAE   103,464     174,579
Finland - 0.6%          
Elisa OYJ   4,868     217,033
Fortum OYJ   16,798     207,392
Kesko OYJ, B Shares   9,211     172,191
Kone OYJ, B Shares   11,833     551,267
Metso OYJ   22,595     268,404
Neste OYJ   14,709     398,839
Nokia OYJ   128,632     456,400
Nokia OYJ (Euronext Paris Exchange)   56,247     200,505
Nordea Bank (Nasdaq Stockholm Exchange)   1,569     17,737
Nordea Bank ABP   108,931     1,213,980
Orion OYJ, Class B   3,379     125,959
Sampo OYJ, A Shares   15,562     663,818
Stora Enso OYJ, R Shares   20,482     284,824
UPM-Kymmene OYJ   18,128     603,966
Wartsila OYJ ABP   15,222     231,337
          5,613,652
France - 7.5%          
Accor SA   6,145     286,889
Aeroports de Paris SA   1,190     163,167
Air Liquide SA   18,070     3,759,452
Airbus SE   20,424     3,762,701
Alstom SA   9,797     149,193
Amundi SA (B)   2,415     165,879
Arkema SA   1,999     210,455
AXA SA   62,079     2,331,434
BioMerieux   1,432     157,941
BNP Paribas SA   35,431     2,522,514
Bollore SE   24,915     166,462
Bouygues SA   6,976     284,795
Bureau Veritas SA   10,297     314,404
Capgemini SE   5,352     1,231,557
Carrefour SA   20,223     346,913
Cie de Saint-Gobain SA   15,621     1,212,409
Cie Generale des Etablissements Michelin SCA   23,852     914,092
Covivio SA   2,350     121,129
Credit Agricole SA   36,809     549,116
Danone SA   22,299     1,441,520
Dassault Aviation SA   697     153,459
Dassault Systemes SE   22,638     1,002,123
Edenred SE   8,717     465,444
Eiffage SA   2,487     282,256
Engie SA   62,212     1,042,512
EssilorLuxottica SA   10,078     2,279,768
Eurazeo SE   1,666     145,983
Gecina SA   1,814     185,290
Getlink SE   12,097     205,969
Hermes International SCA   1,091     2,788,366
Ipsen SA   1,496     178,019
Kering SA   2,569     1,017,542
Klepierre SA   8,046     208,276
La Francaise des Jeux SAEM (B)   3,888     158,466
Legrand SA   9,062     959,639
L'Oreal SA   8,290     3,925,921
 
  95  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
France (continued)          
LVMH Moet Hennessy Louis Vuitton SE   9,513   $ 8,559,793
Orange SA   63,009     740,989
Pernod Ricard SA   6,989     1,131,412
Publicis Groupe SA   7,760     846,002
Remy Cointreau SA   936     94,513
Renault SA   7,048     355,644
Rexel SA   7,770     209,890
Safran SA   11,775     2,666,713
Sanofi SA   39,216     3,815,121
Sartorius Stedim Biotech   1,029     293,499
Schneider Electric SE   18,125     4,097,648
Schneider Electric SE (Euronext London Exchange)   623     140,691
SEB SA   1,019     130,374
Societe Generale SA   24,614     659,485
Sodexo SA   3,211     275,258
Teleperformance SE   2,141     207,966
Thales SA   3,259     555,597
TotalEnergies SE   74,793     5,144,981
Unibail-Rodamco-Westfield (A)   3,595     289,205
Unibail-Rodamco-Westfield, CHESS Depositary Interest (A)   7,913     31,958
Veolia Environnement SA   23,848     775,822
Vinci SA   17,249     2,213,548
Vivendi SE   24,474     266,715
Worldline SA (A)(B)   8,877     109,822
          68,703,701
Germany - 5.2%          
adidas AG   5,518     1,232,884
Allianz SE   13,495     4,044,698
BASF SE   30,748     1,757,066
Bayer AG   33,683     1,031,531
Bayerische Motoren Werke AG   10,900     1,257,633
Bechtle AG   3,255     172,041
Beiersdorf AG   3,424     498,526
Brenntag SE   4,572     385,334
Carl Zeiss Meditec AG, Bearer Shares   1,435     179,125
Commerzbank AG   37,723     518,474
Continental AG   4,116     297,114
Covestro AG (A)(B)   7,081     387,332
Daimler Truck Holding AG   18,285     926,591
Delivery Hero SE (A)(B)   6,014     171,967
Deutsche Bank AG   65,587     1,033,015
Deutsche Boerse AG   6,468     1,324,586
Deutsche Lufthansa AG (A)   23,929     188,066
Deutsche Post AG   33,981     1,464,497
Deutsche Telekom AG   111,661     2,710,524
E.ON SE   76,314     1,062,441
Evonik Industries AG   8,081     159,844
Fresenius Medical Care AG   6,818     261,980
Fresenius SE & Company KGaA   14,307     385,815
GEA Group AG   5,882     248,693
Hannover Rueck SE   2,077     568,739
Heidelberg Materials AG   4,490     494,267
Henkel AG & Company KGaA   3,884     279,857
Infineon Technologies AG   44,694     1,519,848
Knorr-Bremse AG   2,779     210,190
LEG Immobilien SE (A)   2,553     219,280
Mercedes-Benz Group AG   27,642     2,201,331
Merck KGaA   4,390     774,115
MTU Aero Engines AG   1,813     459,826
Muenchener Rueckversicherungs-Gesellschaft AG   4,701     2,294,758
Nemetschek SE   2,010     198,956
Puma SE   3,943     178,446
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Germany (continued)          
Rational AG   207   $ 178,351
Rheinmetall AG   1,488     836,886
RWE AG   21,783     740,346
SAP SE   35,974     7,004,843
Scout24 SE (B)   2,538     191,209
Siemens AG   26,182     4,999,177
Siemens Energy AG (A)   17,760     325,964
Siemens Healthineers AG (B)   9,542     583,568
Symrise AG   4,743     567,791
Talanx AG   2,143     169,763
Volkswagen AG   999     152,606
Vonovia SE   25,062     740,629
Zalando SE (A)(B)   7,664     219,155
          47,809,678
Greece - 0.1%          
Alpha Services and Holdings SA (A)   74,045     130,037
Eurobank Ergasias Services and Holdings SA (A)   85,715     164,812
FF Group (A)(E)   1,869     3,025
Hellenic Telecommunications Organization SA   8,503     125,371
JUMBO SA   3,913     112,720
Motor Oil Hellas Corinth Refineries SA   2,077     61,848
Mytilineos SA   3,417     131,776
National Bank of Greece SA (A)   26,577     207,892
OPAP SA   7,073     127,323
Piraeus Financial Holdings SA (A)   23,224     97,033
Public Power Corp. SA (A)   6,989     87,664
          1,249,501
Hong Kong - 1.6%          
AIA Group, Ltd.   394,000     2,650,270
Alibaba Health Information Technology, Ltd. (A)   194,000     79,046
Beijing Enterprises Holdings, Ltd.   19,786     57,462
Beijing Enterprises Water Group, Ltd.   198,000     44,074
BOC Hong Kong Holdings, Ltd.   132,328     354,810
Bosideng International Holdings, Ltd.   132,000     66,022
Brilliance China Automotive Holdings, Ltd.   104,000     71,777
C&D International Investment Group, Ltd.   25,000     43,676
China Common Rich Renewable Energy Investments, Ltd. (A)(E)   428,695     11,776
China Gas Holdings, Ltd.   104,200     94,004
China Medical System Holdings, Ltd.   48,300     50,747
China Merchants Port Holdings Company, Ltd.   52,898     63,428
China Overseas Land & Investment, Ltd.   131,382     189,616
China Overseas Property Holdings, Ltd.   45,000     24,942
China Power International Development, Ltd.   185,000     75,970
China Resources Beer Holdings Company, Ltd.   55,979     258,493
China Resources Gas Group, Ltd.   30,000     95,732
China Resources Land, Ltd.   110,964     352,026
China Resources Power Holdings Company, Ltd.   68,244     159,381
China Ruyi Holdings, Ltd. (A)   200,000     50,911
China State Construction International Holdings, Ltd.   71,250     77,881
China Taiping Insurance Holdings Company, Ltd.   60,500     53,038
Chow Tai Fook Jewellery Group, Ltd.   80,800     119,324
CK Asset Holdings, Ltd.   73,046     300,999
CK Hutchison Holdings, Ltd.   90,663     436,329
 
  96  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
CK Infrastructure Holdings, Ltd.   24,772   $ 145,086
CLP Holdings, Ltd.   59,400     473,789
COSCO SHIPPING Ports, Ltd.   64,843     35,604
ESR Group, Ltd. (B)   75,200     80,568
Far East Horizon, Ltd.   66,000     48,943
Futu Holdings, Ltd., ADR (A)   1,700     92,055
Galaxy Entertainment Group, Ltd.   74,000     372,003
GCL Technology Holdings, Ltd.   694,000     113,709
Geely Automobile Holdings, Ltd.   206,000     243,798
Guangdong Investment, Ltd.   99,220     42,505
Hang Lung Properties, Ltd.   74,326     76,433
Hang Seng Bank, Ltd.   27,319     299,463
Henderson Land Development Company, Ltd.   55,324     157,986
HKT Trust & HKT, Ltd.   145,233     169,456
Hong Kong & China Gas Company, Ltd.   404,091     306,287
Hong Kong Exchanges & Clearing, Ltd.   41,214     1,200,905
Hongkong Land Holdings, Ltd.   44,100     135,409
Jardine Matheson Holdings, Ltd.   5,400     201,429
Kingboard Holdings, Ltd.   22,500     45,938
Kunlun Energy Company, Ltd.   134,000     111,943
Link REIT   90,646     390,359
MTR Corp., Ltd.   59,022     195,006
Orient Overseas International, Ltd.   4,500     53,867
Power Assets Holdings, Ltd.   51,582     302,199
Prudential PLC   93,830     879,991
Sino Biopharmaceutical, Ltd.   346,500     133,983
Sino Land Company, Ltd.   138,789     144,288
SITC International Holdings Company, Ltd.   52,000     95,069
Sun Hung Kai Properties, Ltd.   49,630     479,410
Swire Pacific, Ltd., Class A   18,163     149,525
Swire Properties, Ltd.   43,628     91,768
Techtronic Industries Company, Ltd.   49,500     672,599
The Wharf Holdings, Ltd.   37,000     121,634
Vinda International Holdings, Ltd.   12,000     35,986
Want Want China Holdings, Ltd.   163,000     96,220
WH Group, Ltd. (B)   320,343     211,452
Wharf Real Estate Investment Company, Ltd.   62,876     204,718
Yuexiu Property Company, Ltd.   63,440     35,005
          14,428,122
Hungary - 0.1%          
MOL Hungarian Oil & Gas PLC   15,526     125,913
OTP Bank NYRT   8,135     374,476
Richter Gedeon NYRT   4,794     121,590
          621,979
India - 4.8%          
ABB India, Ltd.   1,809     138,333
Adani Enterprises, Ltd.   5,824     223,990
Adani Green Energy, Ltd. (A)   10,747     236,532
Adani Ports & Special Economic Zone, Ltd.   18,193     293,997
Adani Power, Ltd. (A)   26,354     168,747
Ambuja Cements, Ltd.   20,118     148,246
APL Apollo Tubes, Ltd.   5,688     101,646
Apollo Hospitals Enterprise, Ltd.   3,469     264,448
Ashok Leyland, Ltd.   49,576     102,361
Asian Paints, Ltd.   13,278     454,719
Astral, Ltd.   4,648     111,261
AU Small Finance Bank, Ltd. (B)   5,380     36,602
Aurobindo Pharma, Ltd.   9,153     120,074
Avenue Supermarts, Ltd. (A)(B)   5,630     306,286
Axis Bank, Ltd.   78,628     990,318
Bajaj Auto, Ltd.   2,269     248,519
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
Bajaj Finance, Ltd.   9,581   $ 835,424
Bajaj Finserv, Ltd.   13,150     260,646
Bajaj Holdings & Investment, Ltd.   912     90,950
Balkrishna Industries, Ltd.   2,611     72,857
Bandhan Bank, Ltd. (B)   27,317     59,162
Bank of Baroda   35,251     112,136
Berger Paints India, Ltd.   9,702     66,640
Bharat Electronics, Ltd.   126,485     306,875
Bharat Forge, Ltd.   8,648     117,390
Bharat Heavy Electricals, Ltd.   35,988     107,136
Bharat Petroleum Corp., Ltd.   25,641     186,245
Bharti Airtel, Ltd.   77,513     1,150,573
Britannia Industries, Ltd.   3,751     222,383
CG Power & Industrial Solutions, Ltd.   20,819     134,291
Cholamandalam Investment and Finance Company, Ltd.   14,529     203,089
Cipla, Ltd.   18,161     326,268
Coal India, Ltd.   53,104     277,576
Colgate-Palmolive India, Ltd.   4,685     153,918
Container Corp. of India, Ltd.   9,153     97,239
Cummins India, Ltd.   4,680     169,889
Dabur India, Ltd.   21,327     133,725
Divi's Laboratories, Ltd.   4,034     166,563
DLF, Ltd.   25,583     276,950
Dr. Reddy's Laboratories, Ltd.   314     23,140
Dr. Reddy's Laboratories, Ltd., ADR   3,708     271,982
Eicher Motors, Ltd.   4,712     227,975
GAIL India, Ltd.   3,491     7,634
GAIL India, Ltd., GDR   12,953     166,776
GMR Airports Infrastructure, Ltd. (A)   83,177     81,815
Godrej Consumer Products, Ltd.   14,095     213,239
Godrej Properties, Ltd. (A)   4,161     114,937
Grasim Industries, Ltd.   9,074     251,520
Havells India, Ltd.   8,636     158,240
HCL Technologies, Ltd.   32,794     611,107
HDFC Asset Management Company, Ltd. (B)   3,310     149,380
HDFC Bank, Ltd.   97,219     1,694,214
HDFC Life Insurance Company, Ltd. (B)   33,493     254,292
Hero MotoCorp, Ltd.   4,132     234,985
Hindalco Industries, Ltd.   46,451     314,515
Hindustan Aeronautics, Ltd.   6,858     275,590
Hindustan Petroleum Corp., Ltd.   20,412     117,289
Hindustan Unilever, Ltd.   28,459     773,517
ICICI Bank, Ltd.   99,716     1,317,929
ICICI Bank, Ltd., ADR   39,970     1,055,608
ICICI Lombard General Insurance Company, Ltd. (B)   8,129     164,277
ICICI Prudential Life Insurance Company, Ltd. (B)   11,948     87,580
IDFC First Bank, Ltd. (A)   119,836     108,864
Indian Oil Corp., Ltd.   97,345     196,725
Indian Railway Catering & Tourism Corp., Ltd.   7,983     89,170
Indraprastha Gas, Ltd.   10,515     54,486
IndusInd Bank, Ltd.   9,828     183,355
Info Edge India, Ltd.   2,396     160,381
Infosys, Ltd.   2,780     49,969
Infosys, Ltd., ADR   112,128     2,010,455
InterGlobe Aviation, Ltd. (A)(B)   5,318     226,082
ITC, Ltd.   103,630     534,459
Jindal Steel & Power, Ltd.   12,058     123,785
Jio Financial Services, Ltd. (A)   102,813     437,284
JSW Steel, Ltd.   21,158     212,229
Jubilant Foodworks, Ltd.   13,701     73,674
 
  97  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
Kotak Mahindra Bank, Ltd.   37,833   $ 814,831
Larsen & Toubro, Ltd.   23,309     1,054,530
LTIMindtree, Ltd. (B)   2,998     178,180
Lupin, Ltd.   7,879     153,623
Macrotech Developers, Ltd. (B)   8,241     111,839
Mahindra & Mahindra, Ltd.   3,818     87,926
Mahindra & Mahindra, Ltd., GDR   28,458     661,470
Marico, Ltd.   17,795     105,957
Maruti Suzuki India, Ltd.   4,874     738,223
Max Healthcare Institute, Ltd.   26,906     264,451
Mphasis, Ltd.   2,547     73,378
MRF, Ltd.   80     128,558
Muthoot Finance, Ltd.   4,018     71,377
Nestle India, Ltd.   11,678     368,810
NMDC, Ltd.   35,336     85,892
NTPC, Ltd.   151,008     612,810
Oil & Natural Gas Corp., Ltd.   107,507     347,618
One 97 Communications, Ltd. (A)   8,791     42,457
Page Industries, Ltd.   212     87,161
Persistent Systems, Ltd.   3,418     163,979
Petronet LNG, Ltd.   25,955     82,432
PI Industries, Ltd.   2,778     129,482
Pidilite Industries, Ltd.   5,254     190,102
Polycab India, Ltd.   1,539     93,722
Power Finance Corp., Ltd.   51,161     240,839
Power Grid Corp. of India, Ltd.   160,934     535,075
Punjab National Bank   75,867     113,719
REC, Ltd.   45,358     246,610
Reliance Industries, Ltd.   21,868     781,592
Reliance Industries, Ltd., GDR (B)   41,748     2,983,556
Samvardhana Motherson International, Ltd.   81,706     115,132
SBI Cards & Payment Services, Ltd.   9,870     80,990
SBI Life Insurance Company, Ltd. (B)   15,378     278,982
Shree Cement, Ltd.   305     94,757
Shriram Finance, Ltd.   9,623     272,966
Siemens, Ltd.   3,067     198,436
Sona BLW Precision Forgings, Ltd. (B)   13,867     116,985
SRF, Ltd.   4,927     151,332
State Bank of India   2,352     21,318
State Bank of India, GDR (D)   5,914     535,946
Sun Pharmaceutical Industries, Ltd.   33,214     649,176
Supreme Industries, Ltd.   2,145     108,926
Suzlon Energy, Ltd. (A)   301,588     146,717
Tata Communications, Ltd.   3,897     93,923
Tata Consultancy Services, Ltd.   31,303     1,463,158
Tata Consumer Products, Ltd.   19,785     261,431
Tata Elxsi, Ltd.   1,170     109,025
Tata Motors, Ltd.   57,497     687,944
Tata Motors, Ltd., Class A, Differential Voting Rights   15,644     123,525
Tata Steel, Ltd.   18,327     34,443
Tata Steel, Ltd., GDR   23,852     442,431
Tech Mahindra, Ltd.   18,580     278,597
The Indian Hotels Company, Ltd.   29,101     207,208
The Tata Power Company, Ltd.   49,762     236,003
Titan Company, Ltd.   12,290     561,536
Torrent Pharmaceuticals, Ltd.   3,534     111,126
Trent, Ltd.   6,274     297,348
Tube Investments of India, Ltd.   3,625     162,521
TVS Motor Company, Ltd.   8,184     213,110
UltraTech Cement, Ltd.   2,921     341,211
UltraTech Cement, Ltd., GDR   1,026     119,932
Union Bank of India, Ltd.   51,073     94,511
United Spirits, Ltd.   10,125     137,737
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
India (continued)          
UPL, Ltd.   15,210   $ 83,346
Varun Beverages, Ltd.   15,526     261,013
Vedanta, Ltd.   32,015     105,149
Wipro, Ltd.   1,137     6,589
Wipro, Ltd., ADR (D)   44,063     253,362
Yes Bank, Ltd. (A)   445,883     124,271
Zomato, Ltd. (A)   210,067     460,577
          44,095,352
Indonesia - 0.5%          
Adaro Energy Indonesia Tbk PT   495,900     84,494
Amman Mineral Internasional PT (A)   222,800     123,017
Aneka Tambang Tbk   287,300     29,023
Astra International Tbk PT   679,000     220,601
Bank Central Asia Tbk PT   1,896,200     1,205,865
Bank Mandiri Persero Tbk PT   1,268,048     576,953
Bank Negara Indonesia Persero Tbk PT   553,000     205,864
Bank Rakyat Indonesia Persero Tbk PT   2,374,148     907,815
Barito Pacific Tbk PT   1,278,057     76,188
Charoen Pokphand Indonesia Tbk PT   276,000     91,407
GoTo Gojek Tokopedia Tbk PT (A)   28,036,700     122,071
Indah Kiat Pulp & Paper Tbk PT   97,300     58,754
Indofood CBP Sukses Makmur Tbk PT   114,400     83,674
Indofood Sukses Makmur Tbk PT   147,500     59,315
Kalbe Farma Tbk PT   855,000     79,547
Merdeka Copper Gold Tbk PT (A)   511,905     73,707
Sarana Menara Nusantara Tbk PT   949,300     51,488
Semen Indonesia Persero Tbk PT   126,835     47,197
Sumber Alfaria Trijaya Tbk PT   567,500     104,200
Telkom Indonesia Persero Tbk PT   1,600,100     351,935
Telkom Indonesia Persero Tbk PT, ADR   358     7,969
Unilever Indonesia Tbk PT   332,500     56,630
United Tractors Tbk PT   55,279     84,302
          4,702,016
Ireland - 1.2%          
AerCap Holdings NV (A)   6,800     590,988
AIB Group PLC   53,709     272,651
Bank of Ireland Group PLC   36,548     372,976
CRH PLC   25,406     2,192,789
DCC PLC   3,819     277,855
Experian PLC   31,438     1,369,844
Flutter Entertainment PLC (A)   6,039     1,203,774
James Hardie Industries PLC, CHESS Depositary Interest (A)   15,679     630,191
Kerry Group PLC, Class A (London Stock Exchange)   5,738     499,078
Kingspan Group PLC   5,232     471,136
PDD Holdings, Inc., ADR (A)   20,700     2,406,375
Smurfit Kappa Group PLC   952     43,407
Smurfit Kappa Group PLC   8,017     366,410
          10,697,474
Israel - 0.5%          
Azrieli Group, Ltd.   1,424     102,750
Bank Hapoalim BM   43,766     410,151
Bank Leumi Le-Israel BM   54,437     452,507
Check Point Software Technologies, Ltd. (A)   3,116     511,055
CyberArk Software, Ltd. (A)   1,400     371,882
Elbit Systems, Ltd.   908     189,637
Global-e Online, Ltd. (A)   3,100     112,685
ICL Group, Ltd.   27,153     143,906
Isracard, Ltd.   1     2
Israel Discount Bank, Ltd., Class A   41,515     214,699
Mizrahi Tefahot Bank, Ltd.   5,543     207,805
Monday.com, Ltd. (A)   1,000     225,870
 
  98  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Israel (continued)          
Nice, Ltd. (A)   2,200   $ 572,530
Teva Pharmaceutical Industries, Ltd. (A)   33,126     467,278
Teva Pharmaceutical Industries, Ltd., ADR (A)   5,800     81,838
Wix.com, Ltd. (A)   1,900     261,212
          4,325,807
Italy - 1.5%          
Amplifon SpA   4,902     178,692
Assicurazioni Generali SpA   34,297     868,178
Banco BPM SpA   41,434     275,673
Davide Campari-Milano NV   19,587     196,849
DiaSorin SpA   1,028     99,207
Enel SpA   277,871     1,834,371
Eni SpA   75,597     1,197,009
Ferrari NV   4,343     1,893,708
FinecoBank SpA   22,882     342,700
Infrastrutture Wireless Italiane SpA (B)   13,854     157,215
Intesa Sanpaolo SpA   503,882     1,829,368
Leonardo SpA   13,834     347,562
Mediobanca Banca di Credito Finanziario SpA   18,680     278,360
Moncler SpA   6,970     520,108
Nexi SpA (A)(B)   20,345     128,903
Poste Italiane SpA (B)   17,679     221,416
Prysmian SpA   9,050     471,995
Recordati Industria Chimica e Farmaceutica SpA   3,551     196,079
Snam SpA   68,097     321,535
Telecom Italia SpA (A)   387,741     94,127
Terna - Rete Elettrica Nazionale   47,611     393,540
UniCredit SpA   53,095     2,016,517
          13,863,112
Japan - 15.0%          
Advantest Corp.   26,000     1,154,994
Aeon Company, Ltd.   22,100     524,254
AGC, Inc.   7,300     264,861
Aisin Corp.   4,600     187,969
Ajinomoto Company, Inc.   16,200     604,967
ANA Holdings, Inc.   6,700     140,025
Asahi Group Holdings, Ltd.   16,700     613,222
Asahi Intecc Company, Ltd.   8,900     155,926
Asahi Kasei Corp.   46,700     342,464
Astellas Pharma, Inc.   63,300     680,016
Azbil Corp.   4,200     116,196
Bandai Namco Holdings, Inc.   20,297     376,614
Bridgestone Corp.   19,300     855,371
Brother Industries, Ltd.   8,700     161,352
Canon, Inc.   34,500     1,027,930
Capcom Company, Ltd.   12,000     224,809
Central Japan Railway Company   26,600     660,620
Chubu Electric Power Company, Inc.   22,000     287,675
Chugai Pharmaceutical Company, Ltd.   22,700     867,489
Concordia Financial Group, Ltd.   39,100     196,525
Dai Nippon Printing Company, Ltd.   7,000     214,380
Daifuku Company, Ltd.   10,500     251,679
Dai-ichi Life Holdings, Inc.   31,800     811,044
Daiichi Sankyo Company, Ltd.   63,700     2,026,864
Daikin Industries, Ltd.   9,100     1,242,521
Daito Trust Construction Company, Ltd.   2,300     262,390
Daiwa House Industry Company, Ltd.   20,800     619,121
Daiwa Securities Group, Inc.   45,100     343,137
Denso Corp.   65,100     1,246,774
Dentsu Group, Inc.   7,500     208,251
Disco Corp.   3,200     1,169,707
East Japan Railway Company   30,900     592,821
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Eisai Company, Ltd.   8,800   $ 362,462
ENEOS Holdings, Inc.   97,611     470,275
FANUC Corp.   32,500     906,636
Fast Retailing Company, Ltd.   6,000     1,858,957
Fuji Electric Company, Ltd.   4,600     308,681
FUJIFILM Holdings Corp.   38,400     862,257
Fujitsu, Ltd.   60,000     960,240
GLP J-REIT   165     138,270
Hamamatsu Photonics KK   4,800     169,230
Hankyu Hanshin Holdings, Inc.   8,400     241,006
Hikari Tsushin, Inc.   800     150,457
Hirose Electric Company, Ltd.   1,223     125,676
Hitachi Construction Machinery Company, Ltd.   4,100     123,703
Hitachi, Ltd.   31,900     2,915,036
Honda Motor Company, Ltd.   159,100     1,968,654
Hoshizaki Corp.   3,800     138,650
Hoya Corp.   12,200     1,525,864
Hulic Company, Ltd.   15,600     160,217
Ibiden Company, Ltd.   3,600     161,232
Idemitsu Kosan Company, Ltd.   36,030     247,027
Iida Group Holdings Company, Ltd.   5,000     64,708
Inpex Corp.   32,800     498,599
Isuzu Motors, Ltd.   22,400     302,791
ITOCHU Corp.   40,600     1,744,160
Japan Airlines Company, Ltd.   6,200     117,724
Japan Exchange Group, Inc.   18,100     490,247
Japan Metropolitan Fund Investment Corp.   259     161,381
Japan Post Bank Company, Ltd.   49,900     536,191
Japan Post Holdings Company, Ltd.   74,300     748,582
Japan Post Insurance Company, Ltd.   8,300     158,656
Japan Real Estate Investment Corp.   47     167,548
Japan Tobacco, Inc.   40,900     1,090,473
JFE Holdings, Inc.   19,800     328,158
JSR Corp. (A)   6,000     171,736
Kajima Corp.   14,300     293,503
Kao Corp.   15,800     590,418
Kawasaki Kisen Kaisha, Ltd.   14,100     189,604
KDDI Corp.   51,600     1,525,643
KDX Realty Investment Corp.   142     150,931
Keisei Electric Railway Company, Ltd.   4,800     195,193
Keyence Corp.   6,696     3,108,691
Kikkoman Corp.   26,000     333,698
Kintetsu Group Holdings Company, Ltd.   6,200     180,586
Kirin Holdings Company, Ltd.   26,300     365,736
Kobe Bussan Company, Ltd.   5,500     134,768
Koito Manufacturing Company, Ltd.   7,000     94,358
Komatsu, Ltd.   32,000     946,905
Konami Group Corp.   3,700     252,040
Kubota Corp.   34,300     538,158
Kyocera Corp.   43,600     584,724
Kyowa Kirin Company, Ltd.   9,473     170,430
Lasertec Corp.   2,600     741,079
LY Corp.   99,300     251,523
M3, Inc.   16,200     233,140
Makita Corp.   7,800     221,680
Marubeni Corp.   48,800     845,199
MatsukiyoCocokara & Company   11,700     187,866
Mazda Motor Corp.   20,300     235,269
McDonald's Holdings Company Japan, Ltd.   2,600     116,915
MEIJI Holdings Company, Ltd.   7,400     161,562
MINEBEA MITSUMI, Inc.   12,500     245,189
MISUMI Group, Inc.   9,800     136,524
 
  99  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Mitsubishi Chemical Group Corp.   46,900   $ 285,822
Mitsubishi Corp.   118,900     2,747,925
Mitsubishi Electric Corp.   66,500     1,113,140
Mitsubishi Estate Company, Ltd.   38,100     695,172
Mitsubishi HC Capital, Inc.   27,500     191,803
Mitsubishi Heavy Industries, Ltd.   109,000     987,904
Mitsubishi UFJ Financial Group, Inc.   382,500     3,891,594
Mitsui & Company, Ltd.   44,400     2,075,771
Mitsui Chemicals, Inc.   6,800     199,485
Mitsui Fudosan Company, Ltd.   92,400     996,208
Mitsui OSK Lines, Ltd.   12,000     366,079
Mizuho Financial Group, Inc.   83,110     1,643,526
MonotaRO Company, Ltd.   9,000     108,333
MS&AD Insurance Group Holdings, Inc.   43,500     768,103
Murata Manufacturing Company, Ltd.   58,800     1,099,702
NEC Corp.   8,800     642,447
Nexon Company, Ltd.   13,200     219,404
Nidec Corp.   14,100     584,717
Nintendo Company, Ltd.   35,800     1,953,413
Nippon Building Fund, Inc.   56     224,006
Nippon Express Holdings, Inc.   3,100     158,240
Nippon Paint Holdings Company, Ltd.   32,100     231,030
Nippon Prologis REIT, Inc.   80     142,512
Nippon Sanso Holdings Corp.   6,500     203,942
Nippon Steel Corp.   29,200     702,683
Nippon Telegraph & Telephone Corp.   1,020,000     1,214,925
Nippon Yusen KK   16,400     450,247
Nissan Chemical Corp.   4,600     174,230
Nissan Motor Company, Ltd.   86,400     342,358
Nissin Foods Holdings Company, Ltd.   6,600     181,950
Nitori Holdings Company, Ltd.   2,800     424,346
Nitto Denko Corp.   4,800     438,921
Nomura Holdings, Inc.   103,500     662,454
Nomura Real Estate Holdings, Inc.   4,500     127,131
Nomura Real Estate Master Fund, Inc.   151     149,314
Nomura Research Institute, Ltd.   13,346     377,008
NTT Data Group Corp.   22,500     357,704
Obayashi Corp.   22,500     267,535
Obic Company, Ltd.   2,400     362,523
Odakyu Electric Railway Company, Ltd.   10,900     150,255
Olympus Corp.   42,200     607,609
Omron Corp.   5,900     211,262
Ono Pharmaceutical Company, Ltd.   14,000     229,389
Oracle Corp. Japan   1,500     112,802
Oriental Land Company, Ltd.   37,600     1,204,543
ORIX Corp.   41,400     905,490
Osaka Gas Company, Ltd.   13,800     310,445
Otsuka Corp.   7,600     161,260
Otsuka Holdings Company, Ltd.   14,400     598,152
Pan Pacific International Holdings Corp.   12,900     341,872
Panasonic Holdings Corp.   75,000     715,783
Rakuten Group, Inc. (A)   50,500     286,643
Recruit Holdings Company, Ltd.   49,300     2,164,606
Renesas Electronics Corp.   50,200     894,597
Resona Holdings, Inc.   78,000     480,828
Ricoh Company, Ltd.   18,600     165,259
Rohm Company, Ltd.   12,000     192,465
SBI Holdings, Inc.   9,513     249,527
SCREEN Holdings Company, Ltd.   2,800     363,034
SCSK Corp.   5,400     100,374
Secom Company, Ltd.   7,100     515,126
Seiko Epson Corp.   9,600     167,928
Sekisui Chemical Company, Ltd.   13,400     196,050
Sekisui House, Ltd.   21,400     487,442
Seven & i Holdings Company, Ltd.   77,100     1,123,801
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
SG Holdings Company, Ltd.   12,400   $ 157,033
Sharp Corp. (A)   7,400     41,214
Shimadzu Corp.   9,000     250,687
Shimano, Inc.   2,600     386,785
Shimizu Corp.   21,600     139,487
Shin-Etsu Chemical Company, Ltd.   62,100     2,723,827
Shionogi & Company, Ltd.   8,800     449,696
Shiseido Company, Ltd.   13,600     373,190
Shizuoka Financial Group, Inc.   17,000     161,764
SMC Corp.   2,000     1,128,320
SoftBank Corp.   97,900     1,260,457
SoftBank Group Corp.   35,400     2,102,243
Sompo Holdings, Inc.   31,800     666,530
Sony Group Corp.   43,500     3,730,157
Square Enix Holdings Company, Ltd.   3,400     131,124
Subaru Corp.   20,800     471,075
SUMCO Corp.   12,900     203,959
Sumitomo Corp.   35,300     850,305
Sumitomo Electric Industries, Ltd.   26,200     405,978
Sumitomo Metal Mining Company, Ltd.   9,200     274,715
Sumitomo Mitsui Financial Group, Inc.   43,800     2,561,105
Sumitomo Mitsui Trust Holdings, Inc.   22,600     486,953
Sumitomo Realty & Development Company, Ltd.   10,700     398,677
Suntory Beverage & Food, Ltd.   5,000     169,125
Suzuki Motor Corp.   54,000     616,532
Sysmex Corp.   18,600     331,915
T&D Holdings, Inc.   16,900     293,793
Taisei Corp.   6,600     240,564
Takeda Pharmaceutical Company, Ltd.   54,076     1,504,064
TDK Corp.   13,200     648,226
Terumo Corp.   47,000     860,037
The Chiba Bank, Ltd.   21,600     179,738
The Kansai Electric Power Company, Inc.   24,300     346,732
TIS, Inc.   7,800     167,355
Tobu Railway Company, Ltd.   6,800     170,033
Toho Company, Ltd.   4,067     135,046
Tokio Marine Holdings, Inc.   62,100     1,946,603
Tokyo Electric Power Company Holdings, Inc. (A)   50,400     306,338
Tokyo Electron, Ltd.   16,200     4,219,277
Tokyo Gas Company, Ltd.   13,900     315,986
Tokyu Corp.   17,900     217,966
TOPPAN Holdings, Inc.   8,300     208,056
Toray Industries, Inc.   50,800     243,934
TOTO, Ltd.   4,800     134,568
Toyota Industries Corp.   5,200     544,082
Toyota Motor Corp.   365,300     9,232,947
Toyota Tsusho Corp.   7,200     494,430
Trend Micro, Inc.   4,600     233,619
Unicharm Corp.   13,700     436,157
USS Company, Ltd.   15,540     128,472
West Japan Railway Company   16,400     341,779
Yakult Honsha Company, Ltd.   9,886     202,055
Yamaha Corp.   4,700     101,448
Yamaha Motor Company, Ltd.   30,300     279,111
Yamato Holdings Company, Ltd.   9,000     129,533
Yaskawa Electric Corp.   8,300     353,370
Yokogawa Electric Corp.   7,886     181,610
Zensho Holdings Company, Ltd.   3,100     128,914
ZOZO, Inc.   4,800     119,135
          138,056,764
Jordan - 0.0%          
Hikma Pharmaceuticals PLC   6,907     167,087
 
  100  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Luxembourg - 0.1%          
ArcelorMittal SA   17,628   $ 484,545
Eurofins Scientific SE   4,949     315,255
Reinet Investments SCA   5,229     126,572
Tenaris SA   15,993     316,202
          1,242,574
Macau - 0.0%          
Sands China, Ltd. (A)   92,000     259,554
Malaysia - 0.4%          
AMMB Holdings BHD   59,087     52,040
Axiata Group BHD   101,690     57,843
CELCOMDIGI BHD   110,800     98,559
CIMB Group Holdings BHD   220,428     305,348
Gamuda BHD   64,303     71,611
Genting BHD   72,900     72,780
Genting Malaysia BHD   105,700     61,042
Hong Leong Bank BHD   23,269     95,211
IHH Healthcare BHD   75,900     96,739
Inari Amertron BHD   98,100     65,612
IOI Corp. BHD   114,466     95,593
Kuala Lumpur Kepong BHD   17,768     83,840
Malayan Banking BHD   185,514     378,364
Malaysia Airports Holdings BHD   34,649     72,532
Maxis BHD   67,200     47,863
MISC BHD   45,780     74,023
Mr. D.I.Y Group M BHD (B)   80,550     25,536
Nestle Malaysia BHD   2,800     69,813
Petronas Chemicals Group BHD   99,800     143,272
Petronas Dagangan BHD   12,200     55,431
Petronas Gas BHD   27,300     101,286
PPB Group BHD   21,240     70,021
Press Metal Aluminium Holdings BHD   120,800     119,043
Public Bank BHD   486,890     433,248
QL Resources BHD   54,400     67,628
RHB Bank BHD   51,706     61,654
Sime Darby BHD   108,224     59,498
Sime Darby Plantation BHD   70,286     64,688
Telekom Malaysia BHD   43,415     55,162
Tenaga Nasional BHD   101,250     240,667
YTL Corp. BHD   113,900     62,825
YTL Power International BHD   84,300     67,410
          3,426,182
Mexico - 0.7%          
Alfa SAB de CV, Class A   98,000     72,594
America Movil SAB de CV (A)   639,732     598,052
Arca Continental SAB de CV   17,800     194,751
Banco del Bajio SA (B)   26,400     102,352
Cemex SAB de CV, Series CPO (A)   521,849     471,011
Coca-Cola Femsa SAB de CV   18,112     175,590
Fibra Uno Administracion SA de CV   90,200     150,630
Fomento Economico Mexicano SAB de CV   65,820     862,309
Gruma SAB de CV, Class B   7,685     144,279
Grupo Aeroportuario del Centro Norte SAB de CV   9,800     96,994
Grupo Aeroportuario del Pacifico SAB de CV, B Shares   14,200     231,408
Grupo Aeroportuario del Sureste SAB de CV, B Shares   6,560     208,028
Grupo Bimbo SAB de CV, Series A   44,984     213,760
Grupo Carso SAB de CV, Series A1   19,322     174,072
Grupo Financiero Banorte SAB de CV, Series O   88,162     937,943
Grupo Financiero Inbursa SAB de CV, Series O (A)   63,138     194,857
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Mexico (continued)          
Grupo Mexico SAB de CV, Series B   104,066   $ 620,703
Industrias Penoles SAB de CV (A)   6,883     98,243
Kimberly-Clark de Mexico SAB de CV, Class A   52,378     122,367
Operadora de Sites Mexicanos SAB de CV, Class A1   63,900     78,185
Orbia Advance Corp. SAB de CV   37,631     78,745
Prologis Property Mexico SA de CV   24,246     106,115
Promotora y Operadora de Infraestructura SAB de CV   5,800     61,660
Wal-Mart de Mexico SAB de CV   177,288     715,872
          6,710,520
Netherlands - 3.4%          
ABN AMRO Bank NV (B)   16,273     278,469
Adyen NV (A)(B)   748     1,263,478
Aegon, Ltd.   50,015     305,134
Akzo Nobel NV   6,168     460,859
Argenx SE (A)   2,019     796,040
ASM International NV   1,618     990,870
ASML Holding NV   13,888     13,463,929
ASR Nederland NV   5,398     264,556
BE Semiconductor Industries NV   2,603     398,725
Euronext NV (B)   3,256     309,875
EXOR NV   3,224     358,788
Heineken Holding NV   4,431     357,600
Heineken NV   9,922     956,560
IMCD NV   2,143     377,191
ING Groep NV   114,489     1,884,871
JDE Peet's NV   4,248     89,230
Koninklijke Ahold Delhaize NV   33,016     987,901
Koninklijke KPN NV   112,196     419,660
Koninklijke Philips NV (A)   26,982     540,018
NEPI Rockcastle NV (A)   19,351     133,488
NN Group NV   9,228     426,013
OCI NV   3,599     98,645
Prosus NV (A)   50,393     1,577,326
QIAGEN NV (A)   8,099     346,133
Randstad NV   3,735     197,230
Stellantis NV   76,330     2,167,367
Universal Music Group NV   28,021     842,044
Wolters Kluwer NV   8,721     1,365,625
          31,657,625
New Zealand - 0.1%          
Auckland International Airport, Ltd.   45,310     226,137
Fisher & Paykel Healthcare Corp., Ltd.   20,524     314,441
Mercury NZ, Ltd.   23,949     99,048
Meridian Energy, Ltd.   44,474     157,058
Spark New Zealand, Ltd.   67,539     192,290
Xero, Ltd. (A)   4,962     430,847
          1,419,821
Norway - 0.4%          
Adevinta ASA (A)   11,954     125,381
Aker BP ASA   10,753     269,701
DNB Bank ASA   31,886     633,816
Equinor ASA   30,424     815,801
Gjensidige Forsikring ASA   6,934     100,643
Kongsberg Gruppen ASA   3,055     210,941
Mowi ASA   16,033     294,506
Norsk Hydro ASA   48,185     264,795
Orkla ASA   24,150     170,565
Salmar ASA   2,012     132,789
Telenor ASA   21,695     241,412
Yara International ASA   5,667     179,696
          3,440,046
 
  101  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Peru - 0.1%          
Cia de Minas Buenaventura SAA, ADR   8,064   $ 128,056
Credicorp, Ltd.   2,434     412,393
          540,449
Philippines - 0.2%          
Aboitiz Equity Ventures, Inc.   85,070     70,909
Ayala Corp.   8,920     101,501
Ayala Land, Inc.   253,800     145,873
Bank of the Philippine Islands   67,611     142,147
BDO Unibank, Inc.   92,568     254,282
International Container Terminal Services, Inc.   33,760     191,395
JG Summit Holdings, Inc.   89,355     57,912
Jollibee Foods Corp.   18,900     84,966
Manila Electric Company   8,090     51,330
Metropolitan Bank & Trust Company   65,642     76,237
PLDT, Inc.   3,730     90,731
SM Investments Corp.   8,302     143,642
SM Prime Holdings, Inc.   348,244     202,525
Universal Robina Corp.   30,280     56,726
          1,670,176
Poland - 0.3%          
Allegro.eu SA (A)(B)   18,064     149,587
Bank Polska Kasa Opieki SA   6,330     287,659
Budimex SA   436     76,394
CD Projekt SA   2,349     68,730
Dino Polska SA (A)(B)   1,719     166,764
KGHM Polska Miedz SA   5,681     162,245
LPP SA   42     160,755
mBank SA (A)   508     94,036
ORLEN SA   19,842     323,185
PGE Polska Grupa Energetyczna SA (A)   26,654     48,022
Powszechna Kasa Oszczednosci Bank Polski SA   30,144     447,268
Powszechny Zaklad Ubezpieczen SA   23,000     280,916
Santander Bank Polska SA   1,219     173,577
          2,439,138
Portugal - 0.1%          
EDP - Energias de Portugal SA   107,266     418,514
Galp Energia SGPS SA   16,011     264,701
Jeronimo Martins SGPS SA   9,675     191,955
          875,170
Russia - 0.0%          
Gazprom PJSC, ADR (A)(E)   3,680     368
Gazprom PJSC, ADR (London Stock Exchange) (A)(E)   251,662     25,166
LUKOIL PJSC, ADR (A)(E)   23,756     55,066
MMC Norilsk Nickel PJSC, ADR (A)(E)   39,185     18,339
Mobile TeleSystems PJSC, ADR (A)(E)   20,264     3,627
Novatek PJSC, GDR (A)(E)   3,057     13,011
Rosneft Oil Company PJSC, GDR (A)(E)   30,000     5,460
Rosneft Oil Company PJSC, GDR (London Stock Exchange) (A)(E)   9,131     1,662
Sberbank of Russia PJSC, ADR (A)(E)   40,000     14,800
Sberbank of Russia PJSC, ADR (London Stock Exchange) (A)(E)   34,900     12,726
Severstal PAO, GDR (A)(E)   4,250     2,236
Surgutneftegas PJSC, ADR (A)(E)   22,274     4,254
Surgutneftegas PJSC, ADR (London Stock Exchange) (A)(E)   23,070     2,122
Tatneft PJSC, ADR (A)(E)   7,986     11,077
VTB Bank PJSC, GDR (A)(E)   50,760     711
          170,625
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Saudi Arabia - 1.1%          
ACWA Power Company   3,274   $ 295,914
Ades Holding Company (A)   11,669     64,581
Advanced Petrochemical Company   4,529     47,345
Al Rajhi Bank   67,083     1,487,138
Alinma Bank   34,699     405,410
Almarai Company JSC   8,852     134,949
Arab National Bank   21,244     167,447
Arabian Internet & Communications Services Company   812     81,863
Bank AlBilad   17,420     225,735
Bank Al-Jazira (A)   14,284     76,184
Banque Saudi Fransi   19,205     199,551
Bupa Arabia for Cooperative Insurance Company   2,820     198,479
Dallah Healthcare Company   1,169     55,063
Dar Al Arkan Real Estate Development Company (A)   18,814     69,336
Dr Sulaiman Al Habib Medical Services Group Company   2,961     247,468
Elm Company   812     207,700
Etihad Etisalat Company   13,413     188,086
Jarir Marketing Company   20,900     81,920
Mobile Telecommunications Company Saudi Arabia   15,053     50,635
Mouwasat Medical Services Company   3,348     121,724
Nahdi Medical Company   1,333     52,583
Power & Water Utility Company for Jubail & Yanbu   2,564     47,339
Riyad Bank   50,248     399,445
SABIC Agri-Nutrients Company   7,973     260,693
Sahara International Petrochemical Company   12,775     105,421
Saudi Arabian Mining Company (A)   45,750     616,349
Saudi Arabian Oil Company (B)   92,548     759,130
Saudi Aramco Base Oil Company   1,730     77,252
Saudi Awwal Bank   34,070     377,074
Saudi Basic Industries Corp.   30,455     634,287
Saudi Electricity Company   29,505     155,605
Saudi Industrial Investment Group   12,742     76,025
Saudi Kayan Petrochemical Company (A)   26,130     62,843
Saudi Research & Media Group (A)   1,230     94,350
Saudi Tadawul Group Holding Company   1,623     118,268
Saudi Telecom Company   67,677     714,446
The Company for Cooperative Insurance   2,532     109,355
The Saudi Investment Bank   16,741     73,923
The Saudi National Bank   100,443     1,093,223
The Savola Group   9,302     140,060
Yanbu National Petrochemical Company   7,999     79,414
          10,453,613
Singapore - 0.8%          
BOC Aviation, Ltd. (B)   7,400     57,088
CapitaLand Ascendas REIT   128,702     264,004
CapitaLand Integrated Commercial Trust   183,231     268,664
CapitaLand Investment, Ltd.   93,902     186,335
City Developments, Ltd.   16,600     71,909
DBS Group Holdings, Ltd.   62,354     1,664,092
Genting Singapore, Ltd.   226,200     148,350
Grab Holdings, Ltd., Class A (A)   63,200     198,448
Jardine Cycle & Carriage, Ltd.   3,400     60,876
Keppel, Ltd.   55,069     299,248
Mapletree Logistics Trust   124,150     134,231
Mapletree Pan Asia Commercial Trust   89,600     84,925
Oversea-Chinese Banking Corp., Ltd.   115,002     1,149,085
Sea, Ltd., ADR (A)   12,700     682,117
 
  102  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Singapore (continued)          
Seatrium, Ltd. (A)   1,516,093   $ 88,606
Sembcorp Industries, Ltd.   30,200     120,729
Singapore Airlines, Ltd.   51,250     242,900
Singapore Exchange, Ltd.   30,900     210,872
Singapore Technologies Engineering, Ltd.   61,500     183,104
Singapore Telecommunications, Ltd.   294,940     554,287
United Overseas Bank, Ltd.   43,608     948,040
Wilmar International, Ltd.   72,000     182,889
          7,800,799
South Africa - 0.7%          
Absa Group, Ltd.   27,515     214,818
Anglo American Platinum, Ltd.   1,813     73,551
Aspen Pharmacare Holdings, Ltd.   13,036     151,121
Bid Corp., Ltd.   11,078     269,904
Capitec Bank Holdings, Ltd.   2,975     329,036
Clicks Group, Ltd.   8,355     130,646
Discovery, Ltd.   16,080     102,384
Exxaro Resources, Ltd.   8,997     80,373
FirstRand, Ltd.   172,480     561,991
Gold Fields, Ltd.   29,492     473,122
Harmony Gold Mining Company, Ltd.   18,873     156,059
Impala Platinum Holdings, Ltd.   28,968     119,673
Kumba Iron Ore, Ltd.   2,164     52,805
MTN Group, Ltd.   59,164     292,731
Naspers, Ltd., N Shares   6,311     1,118,723
Nedbank Group, Ltd.   15,440     186,277
Northam Platinum Holdings, Ltd.   11,870     70,733
Old Mutual, Ltd.   182,601     114,230
OUTsurance Group, Ltd.   28,715     63,629
Pepkor Holdings, Ltd. (B)   56,996     56,784
Remgro, Ltd.   17,781     114,665
Sanlam, Ltd.   59,860     219,322
Sasol, Ltd.   19,396     149,891
Shoprite Holdings, Ltd.   16,492     215,511
Sibanye Stillwater, Ltd.   101,051     115,652
Standard Bank Group, Ltd.   46,185     451,846
The Bidvest Group, Ltd.   9,718     124,552
Vodacom Group, Ltd.   21,952     114,291
Woolworths Holdings, Ltd.   33,746     105,534
          6,229,854
South Korea - 3.3%          
Amorepacific Corp.   975     87,787
Celltrion Pharm, Inc. (A)   627     48,288
Celltrion, Inc.   5,235     714,874
CJ CheilJedang Corp.   287     62,260
CosmoAM&T Company, Ltd. (A)   818     98,647
Coway Company, Ltd.   2,324     97,141
DB Insurance Company, Ltd.   1,585     113,377
Doosan Bobcat, Inc.   1,900     76,232
Doosan Enerbility Company, Ltd. (A)   15,327     199,300
Ecopro BM Company, Ltd. (A)   1,656     341,812
Ecopro Company, Ltd. (A)   674     329,304
Ecopro Materials Company, Ltd. (A)   475     47,015
GS Holdings Corp.   1,749     62,941
Hana Financial Group, Inc.   9,993     437,472
Hanjin Kal Corp.   920     40,586
Hankook Tire & Technology Company, Ltd.   2,561     102,905
Hanmi Pharm Company, Ltd.   243     61,748
Hanmi Semiconductor Company, Ltd.   1,497     148,965
Hanon Systems   4,656     20,693
Hanwha Aerospace Company, Ltd.   1,199     184,945
Hanwha Ocean Company, Ltd. (A)   2,651     54,019
Hanwha Solutions Corp.   3,867     79,407
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
HD Hyundai Company, Ltd.   1,555   $ 79,577
HD Hyundai Heavy Industries Company, Ltd. (A)   768     67,696
HD Korea Shipbuilding & Offshore Engineering Company, Ltd.   1,463     130,718
HLB, Inc. (A)   4,042     329,135
HMM Company, Ltd.   8,540     99,892
HYBE Company, Ltd.   717     121,981
Hyundai Engineering & Construction Company, Ltd.   2,649     65,504
Hyundai Glovis Company, Ltd.   649     87,105
Hyundai Mobis Company, Ltd.   2,223     431,568
Hyundai Motor Company   4,857     854,679
Hyundai Steel Company   2,875     67,958
Industrial Bank of Korea   9,540     98,951
Kakao Corp.   10,776     435,572
KakaoBank Corp.   5,704     119,132
Kakaopay Corp. (A)   917     26,530
Kangwon Land, Inc.   3,612     44,043
KB Financial Group, Inc.   12,892     673,704
KB Financial Group, Inc., ADR   430     22,390
Kia Corp.   9,044     751,640
Korea Aerospace Industries, Ltd.   2,519     94,284
Korea Electric Power Corp.   6,370     104,746
Korea Electric Power Corp., ADR   4,277     35,627
Korea Investment Holdings Company, Ltd.   1,446     71,591
Korea Zinc Company, Ltd.   350     118,119
Korean Air Lines Company, Ltd.   6,728     108,324
Krafton, Inc. (A)   992     184,232
KT Corp.   2,204     62,164
KT&G Corp.   3,484     242,490
Kum Yang Company, Ltd. (A)   1,091     91,535
Kumho Petrochemical Company, Ltd.   614     64,056
L&F Company, Ltd. (A)   878     114,959
LG Chem, Ltd.   1,689     552,819
LG Corp.   3,251     211,479
LG Display Company, Ltd.   9,399     73,889
LG Display Company, Ltd., ADR (D)   2,454     10,061
LG Electronics, Inc.   3,973     285,601
LG Energy Solution, Ltd. (A)   1,620     482,600
LG H&H Company, Ltd.   358     102,843
LG Innotek Company, Ltd.   575     84,423
LG Uplus Corp.   9,062     67,633
Lotte Chemical Corp.   674     60,087
Meritz Financial Group, Inc.   3,559     216,405
Mirae Asset Securities Company, Ltd.   7,084     42,768
NAVER Corp.   4,486     623,230
NCSoft Corp.   550     84,138
Netmarble Corp. (A)(B)   888     41,609
NH Investment & Securities Company, Ltd.   5,165     45,268
Orion Corp.   821     56,022
Posco DX Company, Ltd.   1,819     65,660
POSCO Future M Company, Ltd.   1,059     238,139
POSCO Holdings, Inc.   2,484     778,059
Posco International Corp.   1,782     70,442
Samsung Biologics Company, Ltd. (A)(B)   616     381,258
Samsung C&T Corp.   2,890     343,677
Samsung Electro-Mechanics Company, Ltd.   1,863     207,576
Samsung Electronics Company, Ltd.   165,278     9,932,797
Samsung Engineering Company, Ltd. (A)   5,310     99,463
 
  103  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
South Korea (continued)          
Samsung Fire & Marine Insurance Company, Ltd.   1,218   $ 279,713
Samsung Heavy Industries Company, Ltd. (A)   22,841     146,300
Samsung Life Insurance Company, Ltd.   2,756     195,510
Samsung SDI Company, Ltd.   1,904     675,261
Samsung SDS Company, Ltd.   1,322     160,631
Samsung Securities Company, Ltd.   2,154     65,134
Shinhan Financial Group Company, Ltd.   14,733     519,708
Shinhan Financial Group Company, Ltd., ADR (D)   350     12,422
SK Biopharmaceuticals Company, Ltd. (A)   1,071     73,593
SK Bioscience Company, Ltd. (A)   763     35,003
SK Hynix, Inc.   18,896     2,503,255
SK IE Technology Company, Ltd. (A)(B)   982     53,339
SK Innovation Company, Ltd. (A)   2,041     179,775
SK Square Company, Ltd. (A)   3,395     198,594
SK Telecom Company, Ltd.   1,870     74,043
SK, Inc.   1,269     172,143
SKC Company, Ltd. (A)   859     76,341
S-Oil Corp.   1,876     108,654
Woori Financial Group, Inc.   20,798     225,600
Yuhan Corp.   1,941     111,594
          30,234,179
Spain - 1.7%          
Acciona SA   843     102,594
ACS Actividades de Construccion y Servicios SA   7,505     314,299
Aena SME SA (B)   2,540     500,264
Amadeus IT Group SA   15,345     985,102
Banco Bilbao Vizcaya Argentaria SA   201,453     2,399,010
Banco Santander SA   534,697     2,611,699
Banco Santander SA (Mexican Stock Exchange) (E)   22,856     96,582
CaixaBank SA (D)   129,226     627,081
Cellnex Telecom SA (A)(B)   15,820     559,630
EDP Renovaveis SA   9,513     128,827
EDP Renovaveis SA (BX Swiss Exchange)   126     1,705
Enagas SA   9,787     145,394
Endesa SA   12,378     229,507
Ferrovial SE   17,862     707,192
Grifols SA (A)   11,763     105,808
Iberdrola SA   211,415     2,625,858
Industria de Diseno Textil SA   37,580     1,892,395
Redeia Corp. SA   13,732     234,558
Repsol SA   41,807     697,812
Telefonica SA   168,390     743,655
          15,708,972
Sweden - 2.0%          
Alfa Laval AB   9,840     386,656
Assa Abloy AB, B Shares   34,547     991,440
Atlas Copco AB, A Shares   92,584     1,563,610
Atlas Copco AB, B Shares   53,800     794,624
Beijer Ref AB   13,260     196,883
Boliden AB   9,749     270,707
Epiroc AB, A Shares   22,715     426,419
Epiroc AB, B Shares   14,979     253,668
EQT AB   12,864     407,268
Essity AB, B Shares   20,983     498,433
Evolution AB (B)   6,247     775,902
Fastighets AB Balder, B Shares (A)   24,258     178,186
Getinge AB, B Shares   8,639     173,755
Hennes & Mauritz AB, B Shares   22,261     362,990
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Sweden (continued)          
Hexagon AB, B Shares   70,969   $ 838,920
Holmen AB, B Shares   3,205     130,379
Husqvarna AB, B Shares   14,199     121,501
Industrivarden AB, A Shares   5,394     185,498
Industrivarden AB, C Shares   5,184     178,260
Indutrade AB   9,332     254,174
Investment AB Latour, B Shares   5,009     131,680
Investor AB, B Shares   59,628     1,496,325
L.E. Lundbergforetagen AB, B Shares   3,102     167,905
Lifco AB, B Shares   7,888     205,990
Nibe Industrier AB, B Shares   51,776     254,603
Saab AB, B Shares   2,710     241,062
Sagax AB, B Shares   6,422     169,414
Sandvik AB   36,214     803,979
Securitas AB, B Shares   20,108     207,294
Skandinaviska Enskilda Banken AB, A Shares   53,588     725,986
Skanska AB, B Shares   12,918     230,051
SKF AB, B Shares   11,531     235,403
Svenska Cellulosa AB SCA, B Shares   20,883     321,055
Svenska Handelsbanken AB, A Shares   50,274     508,269
Swedbank AB, A Shares (D)   28,754     570,702
Swedish Orphan Biovitrum AB (A)   6,595     164,612
Tele2 AB, B Shares   17,728     145,573
Telefonaktiebolaget LM Ericsson, B Shares   100,604     541,064
Telia Company AB   91,625     234,831
Volvo AB, A Shares   8,008     220,513
Volvo AB, B Shares (D)   51,555     1,397,215
Volvo Car AB, B Shares (A)   25,662     97,156
          18,059,955
Switzerland - 6.4%          
ABB, Ltd.   55,111     2,556,616
Adecco Group AG   6,058     239,668
Alcon, Inc.   17,168     1,419,991
Avolta AG (A)   3,335     138,861
Bachem Holding AG   1,275     122,098
Baloise Holding AG   1,556     243,990
Banque Cantonale Vaudoise   1,029     119,710
Barry Callebaut AG   136     197,554
BKW AG   721     110,793
Chocoladefabriken Lindt & Spruengli AG   4     482,556
Chocoladefabriken Lindt & Spruengli AG, Participation Certificates   34     406,940
Cie Financiere Richemont SA, A Shares   18,520     2,819,492
Clariant AG (A)   8,258     111,730
Coca-Cola HBC AG (A)   8,067     254,919
DSM-Firmenich AG   6,357     722,997
EMS-Chemie Holding AG   241     184,707
Geberit AG   1,129     667,221
Givaudan SA   317     1,411,202
Glencore PLC   361,179     1,981,989
Helvetia Holding AG   1,256     173,166
Holcim, Ltd. (A)   17,956     1,626,756
Julius Baer Group, Ltd.   7,301     423,446
Kuehne + Nagel International AG   1,851     514,983
Logitech International SA   5,565     498,676
Lonza Group AG   2,544     1,520,291
Nestle SA   91,983     9,773,190
Novartis AG   70,614     6,839,562
Partners Group Holding AG   782     1,117,076
Roche Holding AG   24,204     6,179,742
Roche Holding AG, Bearer Shares   1,094     295,013
Sandoz Group AG (A)   13,872     418,737
 
  104  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Switzerland (continued)          
Schindler Holding AG   806   $ 196,670
Schindler Holding AG, Participation Certificates   1,378     346,868
SGS SA   5,077     492,888
SIG Group AG (A)   10,451     231,743
Sika AG   5,211     1,550,535
Sonova Holding AG   1,838     532,272
STMicroelectronics NV   23,244     1,000,385
Straumann Holding AG   3,800     606,319
Swiss Life Holding AG   1,050     736,462
Swiss Prime Site AG   2,598     245,062
Swiss Re AG   10,244     1,317,736
Swisscom AG   886     542,281
Temenos AG   2,556     182,832
The Swatch Group AG   2,395     108,599
The Swatch Group AG, Bearer Shares   986     230,016
UBS Group AG   113,307     3,488,828
VAT Group AG (B)   914     472,167
Zurich Insurance Group AG   5,042     2,723,761
          58,579,096
Taiwan - 4.7%          
Accton Technology Corp.   17,000     243,619
Acer, Inc.   99,018     144,332
Advantech Company, Ltd.   16,623     211,483
Airtac International Group   5,185     179,760
Alchip Technologies, Ltd.   3,000     296,869
ASE Technology Holding Company, Ltd.   106,338     516,175
Asia Cement Corp.   79,863     102,168
Asustek Computer, Inc.   23,952     317,088
AUO Corp. (A)   219,061     123,844
Catcher Technology Company, Ltd.   19,184     130,361
Cathay Financial Holding Company, Ltd. (A)   326,373     491,836
Chailease Holding Company, Ltd.   53,200     285,070
Chang Hwa Commercial Bank, Ltd.   185,903     105,410
Cheng Shin Rubber Industry Company, Ltd.   66,680     103,509
China Airlines, Ltd.   94,000     57,240
China Development Financial Holding Corp. (A)   553,133     239,268
China Steel Corp.   408,388     303,695
Chunghwa Telecom Company, Ltd.   127,148     499,455
Compal Electronics, Inc.   139,764     167,393
CTBC Financial Holding Company, Ltd.   608,465     615,862
Delta Electronics, Inc.   66,866     715,658
E Ink Holdings, Inc.   29,000     205,785
E.Sun Financial Holding Company, Ltd.   488,218     414,017
Eclat Textile Company, Ltd.   6,259     107,045
eMemory Technology, Inc.   2,000     150,166
Eva Airways Corp.   93,000     91,852
Evergreen Marine Corp. Taiwan, Ltd.   33,826     186,178
Far Eastern New Century Corp.   99,875     103,103
Far EasTone Telecommunications Company, Ltd.   61,159     154,546
Feng TAY Enterprise Company, Ltd.   19,262     95,045
First Financial Holding Company, Ltd.   377,543     325,531
Formosa Chemicals & Fibre Corp.   121,212     207,074
Formosa Petrochemical Corp.   39,720     85,195
Formosa Plastics Corp.   132,086     280,983
Fubon Financial Holding Company, Ltd.   269,897     584,229
Gigabyte Technology Company, Ltd.   17,000     166,347
Global Unichip Corp.   3,000     114,327
Globalwafers Company, Ltd.   8,000     138,894
Hon Hai Precision Industry Company, Ltd.   431,368     2,095,178
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Taiwan (continued)          
Hotai Motor Company, Ltd.   10,200   $ 206,151
Hua Nan Financial Holdings Company, Ltd.   307,225     219,776
Innolux Corp. (A)   297,154     141,139
Inventec Corp.   89,899     164,525
Largan Precision Company, Ltd.   3,143     238,579
Lite-On Technology Corp.   67,626     224,176
MediaTek, Inc.   52,340     1,896,504
Mega Financial Holding Company, Ltd.   399,003     501,719
Micro-Star International Company, Ltd.   25,000     130,458
Nan Ya Plastics Corp.   160,992     276,965
Nan Ya Printed Circuit Board Corp.   8,000     49,492
Nanya Technology Corp.   43,000     90,813
Nien Made Enterprise Company, Ltd.   6,000     66,502
Novatek Microelectronics Corp.   20,361     374,842
Pegatron Corp.   66,989     208,555
PharmaEssentia Corp. (A)   8,000     79,938
Pou Chen Corp.   78,641     89,022
Powerchip Semiconductor Manufacturing Corp. (A)   106,000     85,788
President Chain Store Corp.   19,496     161,667
Quanta Computer, Inc.   93,771     821,150
Realtek Semiconductor Corp.   16,999     296,024
Ruentex Development Company, Ltd.   51,840     56,774
Shin Kong Financial Holding Company, Ltd. (A)   455,790     114,752
SinoPac Financial Holdings Company, Ltd.   355,369     238,653
Synnex Technology International Corp.   41,928     102,647
Taishin Financial Holding Company, Ltd.   388,535     217,890
Taiwan Business Bank   210,944     104,800
Taiwan Cement Corp.   232,594     230,212
Taiwan Cooperative Financial Holding Company, Ltd.   354,260     287,554
Taiwan High Speed Rail Corp.   66,000     62,175
Taiwan Mobile Company, Ltd.   63,257     201,520
Taiwan Semiconductor Manufacturing Company, Ltd.   852,227     20,416,101
The Shanghai Commercial & Savings Bank, Ltd.   133,142     200,707
Unimicron Technology Corp.   47,000     279,424
Uni-President Enterprises Corp.   167,487     399,679
United Microelectronics Corp.   390,313     633,885
Vanguard International Semiconductor Corp.   31,000     82,163
Voltronic Power Technology Corp.   2,000     103,155
Walsin Lihwa Corp.   97,735     114,195
Wan Hai Lines, Ltd.   22,770     31,380
Winbond Electronics Corp.   106,100     89,521
Wistron Corp.   90,000     339,037
Wiwynn Corp.   3,000     205,429
WPG Holdings, Ltd.   54,840     164,539
Yageo Corp.   12,015     222,954
Yang Ming Marine Transport Corp.   60,000     82,836
Yuanta Financial Holding Company, Ltd.   351,600     330,819
Zhen Ding Technology Holding, Ltd.   23,000     89,829
          43,082,005
Thailand - 0.4%          
Advanced Info Service PCL   40,400     225,988
Airports of Thailand PCL   144,700     258,964
Asset World Corp. PCL, NVDR   275,600     31,202
Bangkok Dusit Medical Services PCL, NVDR   387,300     300,220
Bangkok Expressway & Metro PCL, NVDR   354,600     77,756
 
  105  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Thailand (continued)          
BTS Group Holdings PCL, NVDR   301,600   $ 46,371
Bumrungrad Hospital PCL, NVDR   20,500     125,443
Central Pattana PCL, NVDR   64,400     110,924
Central Retail Corp. PCL   45,441     44,885
Charoen Pokphand Foods PCL   136,200     68,031
CP ALL PCL   184,600     276,157
CP ALL PCL, NVDR   12,300     18,401
CP Axtra PCL, NVDR   71,600     61,384
Delta Electronics Thailand PCL, NVDR   105,500     209,413
Energy Absolute PCL   56,900     53,547
Global Power Synergy PCL, NVDR   24,100     34,772
Gulf Energy Development PCL, NVDR   101,050     121,274
Home Product Center PCL   204,400     60,048
Indorama Ventures PCL, NVDR   54,900     36,015
Intouch Holdings PCL, NVDR   32,900     62,060
Kasikornbank PCL, NVDR   20,000     67,997
Krung Thai Bank PCL   164,375     75,776
Krungthai Card PCL   30,800     38,692
Land & Houses PCL, NVDR   393,400     79,343
Minor International PCL, NVDR   131,483     119,128
Muangthai Capital PCL, NVDR   25,600     32,686
PTT Exploration & Production PCL   47,147     193,334
PTT Global Chemical PCL   87,373     91,194
PTT Oil & Retail Business PCL, NVDR   102,500     49,532
PTT PCL   329,000     302,701
PTT PCL, NVDR   10,500     9,661
SCB X PCL   23,348     72,989
SCG Packaging PCL, NVDR   44,000     34,721
Thai Oil PCL   50,886     82,176
The Siam Cement PCL   12,000     83,969
The Siam Cement PCL, NVDR   14,300     100,063
TMBThanachart Bank PCL, NVDR   829,800     41,409
True Corp. PCL (A)   269,362     56,914
          3,755,140
Turkey - 0.2%          
Akbank TAS   100,286     145,027
Aselsan Elektronik Sanayi Ve Ticaret AS   46,762     80,128
BIM Birlesik Magazalar AS   16,428     178,478
Coca-Cola Icecek AS   2,629     45,710
Eregli Demir ve Celik Fabrikalari TAS (A)   49,091     63,959
Ford Otomotiv Sanayi AS   2,390     85,335
Haci Omer Sabanci Holding AS   34,855     89,442
KOC Holding AS   25,423     159,935
Pegasus Hava Tasimaciligi AS (A)   1,574     39,708
Sasa Polyester Sanayi AS (A)   35,185     46,777
Tofas Turk Otomobil Fabrikasi AS   4,273     36,017
Turk Hava Yollari AO (A)   18,859     173,614
Turkcell Iletisim Hizmetleri AS   38,572     81,532
Turkiye Is Bankasi AS, Class C   336,501     116,753
Turkiye Petrol Rafinerileri AS   34,986     191,502
Turkiye Sise ve Cam Fabrikalari AS   47,094     66,207
Yapi ve Kredi Bankasi AS   100,953     85,819
          1,685,943
United Arab Emirates - 0.0%          
NMC Health PLC (A)(E)   4,471     0
United Kingdom - 8.4%          
3i Group PLC   33,057     1,172,114
abrdn PLC   67,699     120,597
Admiral Group PLC   8,900     318,955
Anglo American PLC   43,776     1,078,763
AngloGold Ashanti PLC   14,430     322,169
Ashtead Group PLC   14,934     1,063,736
Associated British Foods PLC   11,883     374,918
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
AstraZeneca PLC   53,404   $ 7,174,487
Auto Trader Group PLC (B)   31,085     274,509
Aviva PLC   96,832     607,591
BAE Systems PLC   103,325     1,761,216
Barclays PLC   522,083     1,210,003
Barratt Developments PLC   38,692     232,232
BP PLC   589,696     3,699,411
British American Tobacco PLC   69,341     2,104,572
BT Group PLC   237,392     328,541
Bunzl PLC   11,428     439,721
Burberry Group PLC   13,108     200,504
Centrica PLC   192,412     310,179
Coca-Cola Europacific Partners PLC   6,887     486,554
Compass Group PLC   59,046     1,731,973
Croda International PLC   4,570     282,770
Diageo PLC   77,012     2,849,611
Endeavour Mining PLC   6,282     127,475
Entain PLC   21,740     218,160
GSK PLC   141,767     3,043,790
Haleon PLC   206,788     866,602
Halma PLC   13,950     416,552
Hargreaves Lansdown PLC   13,764     127,744
HSBC Holdings PLC   659,988     5,159,004
Imperial Brands PLC   29,156     651,770
Informa PLC   48,542     509,302
InterContinental Hotels Group PLC   5,955     618,794
Intertek Group PLC   6,021     379,008
J Sainsbury PLC   55,808     190,553
JD Sports Fashion PLC   87,670     148,938
Kingfisher PLC   65,606     206,480
Land Securities Group PLC   25,882     214,974
Legal & General Group PLC   202,129     649,374
Lloyds Banking Group PLC   2,174,830     1,422,330
London Stock Exchange Group PLC   14,236     1,703,393
M&G PLC   75,877     211,191
Melrose Industries PLC   45,639     387,516
Mondi PLC   16,361     288,222
National Grid PLC   128,433     1,730,505
NatWest Group PLC   195,705     655,482
Next PLC   4,131     481,527
Ocado Group PLC (A)   19,565     112,202
Pearson PLC   23,325     307,131
Pepco Group NV (A)   5,907     26,621
Persimmon PLC   11,973     198,518
Phoenix Group Holdings PLC   27,163     189,664
Reckitt Benckiser Group PLC   24,469     1,394,854
RELX PLC   42,152     1,817,821
RELX PLC (Euronext Amsterdam Exchange)   22,799     987,582
Rentokil Initial PLC   85,275     507,003
Rio Tinto PLC   38,798     2,452,996
Rolls-Royce Holdings PLC (A)   289,960     1,560,089
Schroders PLC   29,188     138,668
Segro PLC   39,864     454,510
Severn Trent PLC   9,413     293,716
Shell PLC   224,018     7,432,795
Smith & Nephew PLC   29,554     369,986
Smiths Group PLC   12,075     250,296
Spirax-Sarco Engineering PLC   2,735     347,005
SSE PLC   36,760     766,372
St. James's Place PLC   20,193     118,466
Standard Chartered PLC   80,099     679,056
Taylor Wimpey PLC   139,593     241,338
Tesco PLC   247,643     927,539
The Berkeley Group Holdings PLC   4,051     243,386
 
  106  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
The Sage Group PLC   34,459   $ 550,725
Unilever PLC   86,141     4,324,431
United Utilities Group PLC   23,160     300,932
Vodafone Group PLC   776,383     688,593
Whitbread PLC   6,683     279,402
Wise PLC, Class A (A)   20,804     243,185
WPP PLC   36,478     345,707
          77,104,401
United States - 0.1%          
BeiGene, Ltd. (A)   23,300     280,313
Brookfield Renewable Corp., Class A   5,150     126,379
Legend Biotech Corp., ADR (A)   2,500     140,225
Parade Technologies, Ltd.   3,000     86,344
RB Global, Inc.   6,100     464,610
Southern Copper Corp.   2,874     306,138
          1,404,009
TOTAL COMMON STOCKS (Cost $640,631,613)   $ 886,763,388
PREFERRED SECURITIES - 0.9%      
Brazil - 0.4%          
Banco Bradesco SA   179,381     510,024
Banco BTG Pactual SA   4     7
Centrais Eletricas Brasileiras SA, B Shares   5,700     52,995
Cia Energetica de Minas Gerais   47,171     118,130
Companhia Paranaense de Energia, B Shares   32,500     62,338
Gerdau SA   45,780     202,639
Itau Unibanco Holding SA   164,589     1,136,771
Itausa SA   181,640     380,273
Petroleo Brasileiro SA   165,151     1,230,219
          3,693,396
Chile - 0.0%          
Sociedad Quimica y Minera de Chile SA, B Shares   490     23,907
Germany - 0.3%          
Bayerische Motoren Werke AG   2,090     224,263
Dr. Ing. h.c. F. Porsche AG (B)   3,890     386,892
Henkel AG & Company KGaA   5,727     460,315
Porsche Automobil Holding SE   5,695     301,687
Sartorius AG   903     358,592
Volkswagen AG   6,978     925,454
          2,657,203
International Equity Index Trust (continued)
    Shares or
Principal
Amount
  Value
PREFERRED SECURITIES (continued)      
South Korea - 0.2%          
Hyundai Motor Company   793   $ 93,172
Hyundai Motor Company, 2nd Preferred   1,197     139,503
LG Chem, Ltd.   265     59,124
Samsung Electronics Company, Ltd.   28,478     1,421,400
          1,713,199
TOTAL PREFERRED SECURITIES (Cost $7,428,615)   $ 8,087,705
WARRANTS - 0.0%          
Constellation Software, Inc. (Expiration Date: 3-31-40) (A)(E)(F)   700     0
TOTAL WARRANTS (Cost $0)   $ 0
SHORT-TERM INVESTMENTS - 2.3%      
Short-term funds - 2.3%          
Fidelity Government Portfolio, Institutional Class, 5.2500% (G)   18,031,717     18,031,717
John Hancock Collateral Trust, 5.2975% (G)(H)   346,469     3,463,788
TOTAL SHORT-TERM INVESTMENTS (Cost $21,496,437)   $ 21,495,505
Total Investments (International Equity Index Trust)
(Cost $669,556,665) - 99.5%
  $ 916,346,598
Other assets and liabilities, net - 0.5%     4,278,608
TOTAL NET ASSETS - 100.0%   $ 920,625,206
Security Abbreviations and Legend
ADR American Depositary Receipt
GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt
(A) Non-income producing security.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) Investment is an affiliate of the fund, the advisor and/or subadvisor.
(D) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $3,442,166.
(E) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(F) Strike price and/or expiration date not available.
(G) The rate shown is the annualized seven-day yield as of 3-31-24.
(H) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Mini MSCI EAFE Index Futures 114 Long Jun 2024 $13,442,633 $13,430,340 $(12,293)
Mini MSCI Emerging Markets Index Futures 109 Long Jun 2024 5,707,715 5,716,505 8,790
MSCI Kuwait Index Futures 121 Long Jun 2024 1,944,157 1,919,665 (24,492)
MSCI Qatar Index Futures 129 Long Jun 2024 2,059,164 2,004,015 (55,149)
MSCI UAE Index Futures 80 Long Jun 2024 2,892,489 2,945,600 53,111
S&P/TSX 60 Index Futures 8 Long Jun 2024 1,560,185 1,584,467 24,282
            $(5,751)
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
  107  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS - 97.9%      
Australia - 7.3%          
A2B Australia, Ltd.   9,047   $ 8,473
Accent Group, Ltd.   24,907     32,948
Adairs, Ltd.   7,392     12,375
Adbri, Ltd. (A)   19,036     38,851
Ainsworth Game Technology, Ltd. (A)   10,192     8,069
Alcidion Group, Ltd. (A)   43,339     1,441
Alkane Resources, Ltd. (A)   25,036     10,208
Alliance Aviation Services, Ltd. (A)   3,238     6,127
Altium, Ltd.   425     18,053
Alumina, Ltd. (A)   53,091     49,197
AMA Group, Ltd. (A)   56,721     2,032
AMP, Ltd.   110,740     84,477
Ansell, Ltd.   5,635     90,243
Appen, Ltd. (A)(B)   6,367     2,426
Arafura Rare Earths, Ltd. (A)(B)   204,393     27,324
ARB Corp., Ltd.   3,247     87,468
Archer Materials, Ltd. (A)   10,038     3,733
ARN Media, Ltd.   20,357     11,670
Articore Group, Ltd. (A)(B)   13,929     5,017
AUB Group, Ltd.   5,591     108,350
Audinate Group, Ltd. (A)   5,069     69,141
Aurelia Metals, Ltd. (A)   115,998     11,702
Aussie Broadband, Ltd. (A)   9,321     21,733
Austal, Ltd.   23,155     33,144
Australian Agricultural Company, Ltd. (A)   28,065     24,881
Australian Clinical Labs, Ltd. (B)   5,715     10,016
Australian Ethical Investment, Ltd.   4,074     13,094
Australian Finance Group, Ltd.   15,010     15,936
Australian Strategic Materials, Ltd. (A)   2,603     2,342
Auswide Bank, Ltd.   771     2,205
AVZ Minerals, Ltd. (A)(C)   98,026     37,369
Baby Bunting Group, Ltd.   5,551     7,592
Bank of Queensland, Ltd.   32,354     133,290
Bapcor, Ltd.   15,610     64,183
Base Resources, Ltd.   32,069     2,408
Beach Energy, Ltd.   74,859     89,782
Beacon Lighting Group, Ltd.   6,674     12,868
Bega Cheese, Ltd. (B)   15,122     41,200
Bell Financial Group, Ltd.   10,635     9,424
Bellevue Gold, Ltd. (A)   54,153     66,596
BetMakers Technology Group, Ltd. (A)   14,102     901
Bigtincan Holdings, Ltd. (A)   29,230     2,956
Boss Energy, Ltd. (A)   26,633     82,700
Bravura Solutions, Ltd. (A)   32,221     29,384
Breville Group, Ltd.   4,635     83,040
Brickworks, Ltd.   3,876     71,938
Bubs Australia, Ltd. (A)   33,097     3,664
BWX, Ltd. (A)(C)   9,946     1,296
Calidus Resources, Ltd. (A)   34,959     2,625
Calidus Resources, Ltd., Additional Offering (A)   7,441     559
Capitol Health, Ltd.   41,735     6,524
Capricorn Metals, Ltd. (A)   13,300     44,613
Carnarvon Energy, Ltd. (A)   51,813     6,410
Cash Converters International, Ltd.   14,501     2,124
Cedar Woods Properties, Ltd.   5,696     17,814
Cettire, Ltd. (A)   7,920     20,908
Challenger, Ltd.   19,023     88,120
Champion Iron, Ltd.   13,415     64,765
Chrysos Corp., Ltd. (A)   1,788     7,990
City Chic Collective, Ltd. (A)   9,410     2,514
Clinuvel Pharmaceuticals, Ltd.   2,335     21,845
Clover Corp., Ltd.   8,155     2,579
Coast Entertainment Holdings, Ltd. (A)   39,016     13,480
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Australia (continued)          
Codan, Ltd.   7,402   $ 52,433
Collins Foods, Ltd.   5,736     37,906
Cooper Energy, Ltd. (A)   158,205     22,757
Corporate Travel Management, Ltd.   4,156     45,969
Credit Corp. Group, Ltd.   3,047     36,707
CSR, Ltd.   25,551     146,882
Data#3, Ltd.   5,537     29,875
De Grey Mining, Ltd. (A)   74,039     61,092
Deterra Royalties, Ltd.   10,662     34,259
Dicker Data, Ltd.   2,871     20,145
Domain Holdings Australia, Ltd.   11,859     25,341
Domino's Pizza Enterprises, Ltd.   2,497     70,546
Downer EDI, Ltd.   26,043     86,602
Eagers Automotive, Ltd.   7,533     69,510
Elders, Ltd.   6,762     41,325
Emeco Holdings, Ltd.   22,924     10,622
Emerald Resources NL (A)   28,411     54,310
EML Payments, Ltd. (A)   16,327     13,088
Enero Group, Ltd.   3,952     4,560
EQT Holdings, Ltd.   993     19,026
EVT, Ltd.   5,448     44,097
Finbar Group, Ltd. (A)   8,370     3,768
FleetPartners Group, Ltd. (A)   16,681     40,880
Fleetwood, Ltd.   8,058     7,851
Flight Centre Travel Group, Ltd.   6,231     88,635
Frontier Digital Ventures, Ltd. (A)   11,391     4,308
G8 Education, Ltd.   51,376     40,175
Galan Lithium, Ltd. (A)(B)   16,777     4,540
Gold Road Resources, Ltd.   44,969     46,372
GrainCorp, Ltd., Class A   9,793     52,576
Grange Resources, Ltd.   21,083     6,045
GUD Holdings, Ltd.   7,010     53,878
GWA Group, Ltd.   12,453     21,751
Hansen Technologies, Ltd.   11,735     37,255
Harvey Norman Holdings, Ltd.   24,082     80,819
Healius, Ltd. (A)   30,121     25,994
Helia Group, Ltd.   18,245     46,486
Highfield Resources, Ltd. (A)   13,495     3,740
HUB24, Ltd.   3,277     90,514
Humm Group, Ltd.   28,676     9,330
Iluka Resources, Ltd.   3,755     17,649
Imdex, Ltd.   25,654     38,923
Immutep, Ltd. (A)   26,372     6,530
Infomedia, Ltd.   17,584     20,403
Inghams Group, Ltd.   20,588     48,165
Insignia Financial, Ltd.   34,787     57,165
Integral Diagnostics, Ltd.   13,604     19,961
Ioneer, Ltd. (A)(B)   61,614     6,422
IPH, Ltd.   10,647     43,762
IRESS, Ltd. (A)   7,892     42,635
IVE Group, Ltd.   11,452     16,270
Johns Lyng Group, Ltd.   11,815     49,369
Jumbo Interactive, Ltd.   2,253     25,176
Jupiter Mines, Ltd.   116,266     17,047
Karoon Energy, Ltd. (A)   44,459     62,804
Kelsian Group, Ltd.   8,073     30,386
Kogan.com, Ltd. (A)   1,950     10,026
Lendlease Corp., Ltd.   7,380     30,913
Lifestyle Communities, Ltd.   4,954     50,560
Lindsay Australia, Ltd.   20,704     15,040
Link Administration Holdings, Ltd.   18,547     26,964
Lovisa Holdings, Ltd.   3,846     83,622
Lycopodium, Ltd.   1,317     10,044
MA Financial Group, Ltd.   4,146     13,194
Macmahon Holdings, Ltd.   112,440     16,484
 
  108  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Australia (continued)          
Macquarie Technology Group, Ltd. (A)   246   $ 12,757
Magellan Financial Group, Ltd.   5,757     37,093
Mayne Pharma Group, Ltd. (A)   4,957     23,378
McMillan Shakespeare, Ltd.   3,346     42,784
McPherson's, Ltd.   9,168     3,259
Megaport, Ltd. (A)   6,675     65,160
Mesoblast, Ltd. (A)   18,183     6,572
Metals X, Ltd. (A)   48,765     11,289
Metcash, Ltd.   40,787     103,949
Michael Hill International, Ltd.   16,629     7,587
MMA Offshore, Ltd. (A)   25,635     43,622
Monadelphous Group, Ltd.   5,646     52,158
Monash IVF Group, Ltd.   21,798     20,528
Mount Gibson Iron, Ltd. (A)   19,096     5,341
Myer Holdings, Ltd.   63,302     33,604
MyState, Ltd.   5,893     14,049
Nanosonics, Ltd. (A)   11,541     20,674
Navigator Global Investments, Ltd.   11,684     12,503
Netwealth Group, Ltd.   4,931     67,805
New Hope Corp., Ltd.   23,547     71,335
nib holdings, Ltd.   22,359     114,524
Nick Scali, Ltd.   2,648     26,566
Nickel Industries, Ltd.   57,059     30,095
Nine Entertainment Company Holdings, Ltd.   57,796     64,374
Novonix, Ltd. (A)(B)   10,082     5,628
NRW Holdings, Ltd.   25,786     49,197
Nufarm, Ltd.   21,032     75,408
Nuix, Ltd. (A)   10,473     15,216
Objective Corp., Ltd.   921     7,736
OceanaGold Corp.   38,000     85,844
OFX Group, Ltd. (A)   14,134     15,003
Omni Bridgeway, Ltd. (A)   15,737     15,526
oOh!media, Ltd.   31,712     36,779
Orora, Ltd.   63,721     112,919
Pacific Current Group, Ltd.   1,717     11,425
Paladin Energy, Ltd. (A)   171,791     153,060
Panoramic Resources, Ltd. (A)(C)   95,428     2,176
Pantoro, Ltd. (A)   102,069     4,200
Peet, Ltd.   13,800     10,832
PeopleIN, Ltd.   5,152     3,692
Perenti, Ltd.   35,432     22,627
Perpetual, Ltd.   4,587     74,975
Perseus Mining, Ltd.   68,083     95,471
PEXA Group, Ltd. (A)   4,479     39,545
Pinnacle Investment Management Group, Ltd.   5,460     41,341
Platinum Asset Management, Ltd.   22,136     15,582
Poseidon Nickel, Ltd. (A)   71,048     302
Praemium, Ltd. (A)   28,131     8,070
Premier Investments, Ltd.   4,406     94,191
Propel Funeral Partners, Ltd.   3,234     11,785
PSC Insurance Group, Ltd.   5,616     19,843
PWR Holdings, Ltd.   4,736     35,599
Ramelius Resources, Ltd.   38,707     46,982
ReadyTech Holdings, Ltd. (A)   4,809     10,501
Red 5, Ltd. (A)   165,165     40,961
Regis Healthcare, Ltd.   9,267     24,217
Regis Resources, Ltd. (A)   35,749     46,987
Resolute Mining, Ltd. (A)   88,090     24,707
Ridley Corp., Ltd.   19,540     31,718
RPMGlobal Holdings, Ltd. (A)   6,670     9,604
Sandfire Resources, Ltd. (A)   21,317     123,469
Select Harvests, Ltd. (A)   7,081     20,533
Servcorp, Ltd.   3,171     7,807
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Australia (continued)          
Service Stream, Ltd.   27,275   $ 22,226
Seven West Media, Ltd. (A)   85,038     10,529
SG Fleet Group, Ltd.   8,938     17,178
Sigma Healthcare, Ltd.   112,073     94,611
Silver Lake Resources, Ltd. (A)   48,508     39,221
Silver Mines, Ltd. (A)   80,735     8,938
Sims, Ltd.   7,974     66,067
SmartGroup Corp., Ltd.   8,029     50,840
SolGold PLC (A)   65,333     8,734
Solvar, Ltd.   9,936     6,940
Southern Cross Media Group, Ltd.   17,291     10,760
SRG Global, Ltd.   35,644     18,578
St. Barbara, Ltd. (A)   33,249     3,788
Strike Energy, Ltd. (A)(B)   118,299     20,026
Super Retail Group, Ltd.   7,649     80,267
Superloop, Ltd. (A)   22,967     20,199
Syrah Resources, Ltd. (A)   62,038     20,030
Tabcorp Holdings, Ltd.   93,926     46,219
Technology One, Ltd.   9,793     108,242
Temple & Webster Group, Ltd. (A)   5,814     49,725
Ten Sixty Four, Ltd. (A)(C)   8,127     3,019
Terracom, Ltd.   32,978     5,159
The Reject Shop, Ltd.   2,561     7,595
The Star Entertainment Group, Ltd. (A)   35,991     13,469
Tuas, Ltd. (A)   10,517     26,770
Tyro Payments, Ltd. (A)   10,423     6,986
Ventia Services Group Pty, Ltd.   27,017     67,800
Viva Energy Group, Ltd. (D)   45,487     109,753
Vulcan Energy Resources, Ltd. (A)(B)   3,849     7,198
Webjet, Ltd. (A)   16,369     94,123
West African Resources, Ltd. (A)   42,178     33,027
Westgold Resources, Ltd.   18,696     31,983
Whitehaven Coal, Ltd.   8,447     39,064
Zip Company, Ltd. (A)   18,285     16,551
          7,715,699
Austria - 1.4%          
Addiko Bank AG (A)   668     12,936
Agrana Beteiligungs AG   724     10,936
ams AG (A)   44,522     51,574
ANDRITZ AG   2,533     157,874
AT&S Austria Technologie & Systemtechnik AG   1,188     24,787
BAWAG Group AG (A)(D)   3,380     213,926
CA Immobilien Anlagen AG   1,426     50,269
DO & Company AG   278     41,474
Eurotelesites AG (A)   1,109     4,433
EVN AG   2,014     53,226
Fabasoft AG   599     12,878
FACC AG (A)   1,116     7,658
IMMOFINANZ AG (A)   1,792     43,651
Kapsch TrafficCom AG (A)   191     1,751
Kontron AG   2,318     51,123
Lenzing AG (A)   566     19,560
Mayr Melnhof Karton AG   302     37,642
Oesterreichische Post AG   1,378     47,055
Palfinger AG   876     21,794
POLYTEC Holding AG   995     3,596
Porr AG   876     13,414
Raiffeisen Bank International AG   4,719     93,927
RHI Magnesita NV   552     24,565
Rosenbauer International AG (A)   174     5,290
Schoeller-Bleckmann Oilfield Equipment AG   710     33,932
Semperit AG Holding   822     10,874
Telekom Austria AG (A)   6,865     57,375
 
  109  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Austria (continued)          
UBM Development AG   411   $ 8,331
UNIQA Insurance Group AG   3,329     28,754
Vienna Insurance Group AG   1,157     36,054
voestalpine AG   4,524     126,913
Wienerberger AG   4,676     170,328
Zumtobel Group AG   2,545     15,844
          1,493,744
Belgium - 1.5%          
Ackermans & van Haaren NV   982     171,686
Ageas SA/NV   746     34,559
AGFA-Gevaert NV (A)   6,780     9,727
Atenor (B)   1,218     8,764
Azelis Group NV   898     18,968
Barco NV   3,257     53,667
Bekaert SA   1,389     71,222
Biocartis Group NV (A)(C)(D)   4,063     1,271
bpost SA (B)   4,236     15,831
Cie d'Entreprises CFE   416     3,212
Colruyt Group N.V   2,658     122,875
Deceuninck NV   2,515     6,120
Deme Group NV   416     66,553
Econocom Group SA/NV   6,435     14,741
Euronav NV   4,264     70,641
Euronav NV (New York Stock Exchange) (B)   2,324     38,648
EVS Broadcast Equipment SA   811     29,187
Fagron   2,712     51,670
Galapagos NV (A)   1,566     50,167
Gimv NV   1,093     52,508
Immobel SA (B)   209     6,541
Ion Beam Applications   1,305     18,443
Kinepolis Group NV   585     26,843
Lotus Bakeries NV   17     164,132
Melexis NV   863     69,887
Ontex Group NV (A)(B)   3,927     33,201
Orange Belgium SA (A)   417     6,167
Proximus SADP   6,084     49,203
Recticel SA (B)   2,296     27,075
Sipef NV   420     25,123
Solvay SA   2,641     72,077
Tessenderlo Group SA   1,111     29,066
Umicore SA   3,052     65,800
Van de Velde NV   377     13,838
VGP NV   618     70,737
Viohalco SA   7,173     43,268
X-Fab Silicon Foundries SE (A)(D)   3,484     26,358
          1,639,776
Bermuda - 0.2%          
Hiscox, Ltd.   14,943     234,096
Cambodia - 0.0%          
NagaCorp, Ltd. (A)   52,981     23,178
Canada - 10.4%          
5N Plus, Inc. (A)   3,515     12,975
Acadian Timber Corp.   800     10,265
Advantage Energy, Ltd. (A)   9,000     65,645
Aecon Group, Inc.   3,200     40,185
Africa Oil Corp.   22,402     39,030
Ag Growth International, Inc.   1,100     49,829
AGF Management, Ltd., Class B   4,298     26,019
Aimia, Inc. (A)   7,777     14,698
AirBoss of America Corp.   1,500     6,589
Alamos Gold, Inc., Class A   13,672     201,565
Algoma Central Corp.   700     7,659
Altius Minerals Corp.   1,700     25,791
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
Altus Group, Ltd.   2,318   $ 88,781
Amerigo Resources, Ltd. (B)   13,502     15,450
Andlauer Healthcare Group, Inc.   1,218     38,189
Andrew Peller, Ltd., Class A (B)   2,300     6,775
Aritzia, Inc. (A)   3,145     86,835
Ascot Resources, Ltd. (A)   13,700     7,586
Atco, Ltd., Class I   2,918     81,236
Athabasca Oil Corp. (A)   35,674     137,739
ATS Corp. (A)   4,247     142,910
AutoCanada, Inc. (A)(B)   1,985     39,391
B2Gold Corp.   52,751     138,250
B2Gold Corp. (NYSE American Exchange)   5,393     14,076
Badger Infrastructure Solutions, Ltd.   1,832     67,894
Ballard Power Systems, Inc. (A)(B)   9,718     27,047
Bausch Health Companies, Inc. (New York Stock Exchange) (A)   12,400     131,365
Baytex Energy Corp. (B)   5,374     19,400
Birch Mountain Resources, Ltd. (A)(C)   9,200     1
Birchcliff Energy, Ltd.   11,933     47,043
Bird Construction, Inc.   4,995     68,736
Black Diamond Group, Ltd.   2,750     18,170
BlackBerry, Ltd. (A)(B)   17,634     48,298
BMTC Group, Inc.   500     5,485
Bombardier, Inc., Class B (A)   3,969     170,387
Boralex, Inc., Class A   4,010     84,726
Boyd Group Services, Inc.   860     181,835
Calian Group, Ltd.   605     25,369
Calibre Mining Corp. (A)   11,500     14,178
Canaccord Genuity Group, Inc. (B)   5,281     34,699
Canacol Energy, Ltd. (B)   1,513     5,138
Canada Goose Holdings, Inc. (A)(B)   2,213     26,679
Canadian Western Bank   5,015     104,406
Canfor Corp. (A)   2,404     30,366
Canfor Pulp Products, Inc. (A)(B)   2,715     3,387
Capital Power Corp.   6,027     170,013
Capstone Copper Corp. (A)   29,467     187,520
Cardinal Energy, Ltd. (B)   5,530     28,904
Cascades, Inc.   4,523     33,024
Celestica, Inc. (A)   4,197     188,571
Celestica, Inc. (New York Stock Exchange) (A)   3,200     143,808
Centerra Gold, Inc.   9,077     53,609
CES Energy Solutions Corp.   18,429     64,081
China Gold International Resources Corp., Ltd.   18,050     115,132
CI Financial Corp.   6,700     85,670
Cineplex, Inc. (A)   1,227     6,676
Cogeco Communications, Inc.   563     24,971
Cogeco, Inc.   445     18,693
Colliers International Group, Inc.   980     119,788
Computer Modelling Group, Ltd.   4,420     33,185
Corby Spirit and Wine, Ltd. (B)   700     6,661
Corus Entertainment, Inc., B Shares   11,806     6,363
Crescent Point Energy Corp.   5,319     43,509
Crescent Point Energy Corp. (New York Stock Exchange)   14,026     114,873
Crew Energy, Inc. (A)(B)   8,100     27,806
Cronos Group, Inc. (A)   5,470     14,336
Cronos Group, Inc. (Nasdaq Exchange) (A)   7,260     18,949
Definity Financial Corp.   1,428     45,479
Denison Mines Corp. (A)   23,898     46,753
Dexterra Group, Inc.   1,621     6,642
Doman Building Materials Group, Ltd.   3,600     21,953
 
  110  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
Dorel Industries, Inc., Class B (A)   1,800   $ 9,196
DREAM Unlimited Corp., Class A   1,350     19,325
Dundee Precious Metals, Inc.   7,687     58,452
Dye & Durham, Ltd.   2,990     34,700
E-L Financial Corp., Ltd.   100     80,395
Eldorado Gold Corp. (A)   10,368     145,736
Endeavour Silver Corp. (A)   6,945     16,715
Enerflex, Ltd. (B)   6,400     37,232
Enerplus Corp.   10,813     212,420
Enghouse Systems, Ltd.   1,800     40,570
Ensign Energy Services, Inc. (A)(B)   9,800     18,738
EQB, Inc.   1,392     87,299
Equinox Gold Corp. (A)   12,552     75,708
ERO Copper Corp. (A)   2,900     55,921
Evertz Technologies, Ltd.   1,900     20,788
Exchange Income Corp.   568     20,761
Exco Technologies, Ltd.   1,500     8,217
Extendicare, Inc. (B)   6,230     35,093
Fiera Capital Corp. (B)   5,935     36,191
Finning International, Inc.   7,281     213,987
Firm Capital Mortgage Investment Corp.   1,100     9,306
First Majestic Silver Corp.   9,281     54,471
First Majestic Silver Corp. (New York Stock Exchange)   1,582     9,302
First Mining Gold Corp. (A)(B)   39,000     3,455
First National Financial Corp.   700     19,441
Fission Uranium Corp. (A)   19,500     13,964
Fortuna Silver Mines, Inc. (A)   14,300     53,102
Freehold Royalties, Ltd. (B)   5,429     58,476
Frontera Energy Corp. (A)   2,200     13,432
Galiano Gold, Inc. (A)   6,600     9,160
Gamehost, Inc.   100     730
GDI Integrated Facility Services, Inc. (A)   300     8,684
Gibson Energy, Inc.   7,506     127,783
goeasy, Ltd.   372     43,773
GoGold Resources, Inc. (A)   5,300     4,813
Gran Tierra Energy, Inc. (A)(B)   2,516     17,999
Guardian Capital Group, Ltd., Class A   1,100     38,801
Hammond Power Solutions, Inc.   400     42,819
Hanfeng Evergreen, Inc. (A)(C)   200     0
Headwater Exploration, Inc.   9,290     52,604
Heroux-Devtek, Inc. (A)   2,700     36,258
High Liner Foods, Inc. (B)   1,773     17,736
HLS Therapeutics, Inc.   700     2,067
Hudbay Minerals, Inc.   13,410     93,852
IAMGOLD Corp. (A)   24,627     82,178
Imperial Metals Corp. (A)(B)   5,060     8,031
Information Services Corp.   800     16,354
Innergex Renewable Energy, Inc.   1,063     6,270
Interfor Corp. (A)   2,920     45,615
International Petroleum Corp. (A)(B)   337     3,993
International Petroleum Corp. (Nasdaq Stockholm Exchange) (A)   3,496     41,765
International Tower Hill Mines, Ltd. (A)   2,300     1,528
Jamieson Wellness, Inc. (D)   2,200     43,300
K92 Mining, Inc. (A)   4,411     20,516
KAB Distribution, Inc. (A)(C)   7,076     0
Karora Resources, Inc. (A)(B)   4,800     18,002
K-Bro Linen, Inc.   600     15,543
Kelt Exploration, Ltd. (A)   10,445     46,652
Knight Therapeutics, Inc. (A)   5,400     21,129
Labrador Iron Ore Royalty Corp. (B)   2,318     49,421
Largo, Inc. (A)   780     1,284
Lassonde Industries, Inc., Class A   200     21,964
Laurentian Bank of Canada   1,514     31,318
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
Leon's Furniture, Ltd.   1,883   $ 31,403
Lightspeed Commerce, Inc. (A)   5,593     78,658
Linamar Corp.   1,966     104,501
Lucara Diamond Corp. (A)   25,184     5,857
Lundin Gold, Inc.   4,258     59,852
Magellan Aerospace Corp.   900     5,295
Mainstreet Equity Corp.   400     55,490
Major Drilling Group International, Inc. (A)   4,513     29,986
Manitok Energy, Inc. (A)(C)   16     0
Maple Leaf Foods, Inc.   4,140     67,882
Martinrea International, Inc.   4,603     41,322
Mattr Corp. (A)   4,173     54,714
MDA, Ltd. (A)   4,887     53,071
Medical Facilities Corp.   2,104     16,076
MEG Energy Corp. (A)   1,448     33,246
Melcor Developments, Ltd.   1,000     8,483
Methanex Corp.   3,089     137,672
Morguard Corp.   400     34,946
MTY Food Group, Inc.   742     28,008
Mullen Group, Ltd.   3,682     39,469
New Gold, Inc. (A)   34,515     58,096
NFI Group, Inc. (A)(B)   2,960     28,124
North American Construction Group, Ltd.   2,100     46,696
Northland Power, Inc.   642     10,489
Nuvei Corp. (D)   1,646     52,033
NuVista Energy, Ltd. (A)   9,305     81,609
Onex Corp.   878     65,771
Organigram Holdings, Inc. (A)   2,232     4,762
Orla Mining, Ltd. (A)(B)   11,140     42,190
Osisko Gold Royalties, Ltd.   8,372     137,396
Osisko Mining, Inc. (A)   12,850     26,373
Paramount Resources, Ltd., Class A (B)   4,073     82,660
Parex Resources, Inc.   5,516     88,122
Park Lawn Corp.   1,792     22,093
Parkland Corp.   6,019     191,694
Pason Systems, Inc.   3,936     45,446
Peyto Exploration & Development Corp. (B)   8,697     95,859
PHX Energy Services Corp.   2,600     17,352
Pine Cliff Energy, Ltd. (B)   11,000     8,121
Pizza Pizza Royalty Corp.   1,729     17,640
Polaris Renewable Energy, Inc.   1,500     12,923
Pollard Banknote, Ltd.   1,000     26,400
PrairieSky Royalty, Ltd. (B)   11,227     219,890
Precision Drilling Corp. (A)   382     25,700
Premium Brands Holdings Corp. (B)   2,000     130,671
Quarterhill, Inc. (A)   9,800     13,529
Questerre Energy Corp., Class A (A)   19,444     3,086
Real Matters, Inc. (A)   3,500     15,813
RF Capital Group, Inc. (A)   185     987
Richelieu Hardware, Ltd.   2,000     62,899
Rogers Sugar, Inc.   6,474     25,474
Russel Metals, Inc.   2,746     91,368
Savaria Corp. (B)   2,300     28,458
Seabridge Gold, Inc. (A)   2,830     42,788
Secure Energy Services, Inc.   13,477     110,936
Sienna Senior Living, Inc.   3,606     35,726
SilverCrest Metals, Inc. (A)   1,680     11,200
Sleep Country Canada Holdings, Inc. (D)   2,113     46,657
SNC-Lavalin Group, Inc.   4,622     189,036
Spartan Delta Corp. (B)   1,796     5,025
Spin Master Corp. (D)   1,400     35,823
Sprott, Inc.   1,329     49,037
 
  111  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Canada (continued)          
Stelco Holdings, Inc. (B)   1,675   $ 55,238
Stella-Jones, Inc.   3,178     185,347
Superior Plus Corp.   7,557     56,292
Surge Energy, Inc.   2,103     11,970
Tamarack Valley Energy, Ltd.   13,985     39,646
Taseko Mines, Ltd. (A)   16,100     34,588
Tecsys, Inc.   609     17,345
TELUS Corp.   1,407     22,509
TerraVest Industries, Inc.   600     26,577
The North West Company, Inc.   2,706     78,410
Tidewater Midstream and Infrastructure, Ltd. (B)   6,650     4,173
Tilray Brands, Inc. (A)   114     280
Timbercreek Financial Corp.   6,000     34,240
TLC Vision Corp. (A)(C)   3,400     0
Torex Gold Resources, Inc. (A)   5,460     80,375
Total Energy Services, Inc.   3,132     23,538
TransAlta Corp.   9,482     60,831
Transcontinental, Inc., Class A   4,783     51,942
Trevali Mining Corp. (A)(C)   3,713     253
Trican Well Service, Ltd.   16,409     50,273
Tricon Residential, Inc.   9,919     110,573
Triple Flag Precious Metals Corp.   828     11,963
Trisura Group, Ltd. (A)   2,500     76,871
Vecima Networks, Inc.   479     7,037
Vermilion Energy, Inc.   6,400     79,566
Wajax Corp.   1,300     31,441
Wesdome Gold Mines, Ltd. (A)   7,800     58,102
Western Copper & Gold Corp. (A)   5,400     8,252
Western Forest Products, Inc. (B)   25,850     12,023
Westshore Terminals Investment Corp.   2,189     41,403
Whitecap Resources, Inc.   19,495     147,520
Winpak, Ltd.   1,177     35,226
Yellow Pages, Ltd.   140     1,019
Zenith Capital Corp. (A)   1,700     255
          11,120,342
China - 0.0%          
AustAsia Group, Ltd. (A)   4,540     732
Fosun Tourism Group (A)(B)(D)   11,400     5,189
          5,921
Denmark - 2.6%          
ALK-Abello A/S (A)   6,021     108,598
Alm Brand A/S   33,083     63,078
Amagerbanken A/S (A)(C)   25,580     0
Ambu A/S, Class B (A)   6,585     108,376
Bang & Olufsen A/S (A)(B)   7,788     10,507
Bavarian Nordic A/S (A)   2,225     49,843
Better Collective A/S (A)   2,021     54,278
Cadeler A/S (A)   2,970     14,549
CBrain A/S   389     21,283
Chemometec A/S (B)   801     49,338
Columbus A/S   6,187     7,186
D/S Norden A/S   890     36,374
Dfds A/S   1,767     51,367
FLSmidth & Company A/S   2,796     139,676
GN Store Nord A/S (A)   5,046     133,461
H Lundbeck A/S   12,897     62,118
H+H International A/S, Class B (A)   1,146     11,587
ISS A/S   7,129     129,882
Jeudan A/S   380     12,125
Jyske Bank A/S   1,958     165,854
Lan & Spar Bank A/S   198     20,061
Matas A/S   2,910     49,333
Netcompany Group A/S (A)(B)(D)   880     36,375
Nilfisk Holding A/S (A)   1,220     25,000
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Denmark (continued)          
NKT A/S (A)   2,513   $ 207,894
NNIT A/S (A)(D)   479     7,502
NTG Nordic Transport Group A/S (A)(B)   635     25,888
Per Aarsleff Holding A/S   883     44,067
Ringkjoebing Landbobank A/S   1,156     202,686
ROCKWOOL A/S, A Shares   130     42,411
ROCKWOOL A/S, B Shares   213     70,082
Royal Unibrew A/S   2,134     141,204
Scandinavian Tobacco Group A/S (D)   3,178     56,841
Schouw & Company A/S   666     51,333
Solar A/S, B Shares   410     19,765
SP Group A/S   368     11,564
Spar Nord Bank A/S   3,586     59,854
Sparekassen Sjaelland-Fyn A/S   1,012     31,219
Sydbank A/S   2,697     139,818
TCM Group A/S (A)   507     3,767
Tivoli A/S   102     10,888
Topdanmark A/S   1,997     85,336
UIE PLC   1,280     40,343
Vestjysk Bank A/S   22,473     15,035
Zealand Pharma A/S (A)   1,618     160,263
          2,788,009
Finland - 2.0%          
Aktia Bank OYJ   3,501     37,837
Alma Media OYJ   1,962     20,873
Bittium OYJ   2,708     15,833
Cargotec OYJ, B Shares   1,564     109,049
Citycon OYJ (A)   4,136     17,069
Elisa OYJ   245     10,923
Enento Group OYJ (D)   860     16,007
EQ OYJ   483     7,129
Finnair OYJ (A)   6,510     20,595
Fiskars OYJ ABP   2,196     40,675
F-Secure OYJ   7,159     14,481
Harvia OYJ   846     34,966
HKScan OYJ, A Shares (A)   316     233
Huhtamaki OYJ   3,864     161,828
Kamux Corp.   1,688     10,567
Kemira OYJ   4,940     93,386
Kesko OYJ, B Shares   3,987     74,533
Kojamo OYJ (A)   4,092     48,494
Konecranes OYJ   2,713     140,822
Lassila & Tikanoja OYJ   1,929     18,307
Lindex Group OYJ (A)   3,912     13,647
Marimekko OYJ   1,923     25,786
Metsa Board OYJ, B Shares   6,636     50,274
Nokian Renkaat OYJ   4,287     40,382
Olvi OYJ, A Shares   721     23,962
Oma Saastopankki OYJ   490     10,570
Oriola OYJ, B Shares   9,290     10,182
Orion OYJ, Class A   711     26,523
Orion OYJ, Class B   3,859     143,852
Outokumpu OYJ   11,396     49,573
Pihlajalinna OYJ (A)   1,193     9,784
Ponsse OYJ   543     13,834
Puuilo OYJ   2,737     29,263
QT Group OYJ (A)   770     63,546
Raisio OYJ, V Shares   8,267     18,283
Rapala VMC OYJ (A)   908     2,694
Revenio Group OYJ   1,101     30,252
Sanoma OYJ   2,692     19,761
Taaleri OYJ   956     10,669
Talenom OYJ   637     4,079
Terveystalo OYJ (D)   4,887     39,736
TietoEVRY OYJ   3,237     68,497
 
  112  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Finland (continued)          
Tokmanni Group Corp.   2,438   $ 39,926
Vaisala OYJ, A Shares   952     38,951
Valmet OYJ   5,558     146,311
Verkkokauppa.com OYJ (A)   1,047     2,674
Wartsila OYJ ABP   18,553     281,961
WithSecure OYJ (A)   7,159     8,209
YIT OYJ   8,449     17,736
          2,134,524
France - 4.6%          
ABC arbitrage   2,016     8,331
AKWEL SADIR   725     11,501
ALD SA (D)   5,832     41,230
Altamir   752     19,912
Alten SA   1,325     193,380
Arkema SA   372     39,164
Atos SE (A)(B)   2,440     4,975
Axway Software SA   531     15,072
Bastide le Confort Medical (A)   256     3,892
Beneteau SACA   2,839     41,839
Bigben Interactive (A)   1,198     3,617
Boiron SA   274     9,944
Bonduelle SCA   1,027     8,326
Catana Group   1,588     8,050
Cegedim SA (A)   495     6,934
CGG SA (A)   42,425     18,384
Cie des Alpes   998     14,533
Cie Plastic Omnium SE   2,278     29,665
Claranova SE (A)(B)   1,250     3,487
Clariane SE (B)   3,776     5,998
Coface SA   5,334     84,317
DBV Technologies SA (A)(B)   1,786     2,565
Derichebourg SA   6,625     31,486
Ekinops SAS (A)   1,302     5,242
Electricite de Strasbourg SA   31     3,830
Elior Group SA (A)(D)   8,308     22,211
Elis SA   9,226     209,693
Equasens   290     16,045
Eramet SA (B)   565     42,918
Etablissements Maurel et Prom SA   6,372     38,532
Eurazeo SE   1,837     160,967
Eutelsat Communications SACA (A)(B)   6,192     26,984
Exclusive Networks SA (A)   708     16,797
Exel Industries, A Shares   89     5,362
Fnac Darty SA   1,099     34,434
Forvia SE   7,066     107,060
Gaztransport Et Technigaz SA   1,746     261,049
Groupe Crit SA   163     12,629
Guerbet   326     11,553
Haulotte Group SA (A)   962     2,471
ID Logistics Group SACA (A)   176     67,150
Imerys SA   1,845     62,854
Infotel SA   348     17,636
Interparfums SA   270     15,212
IPSOS SA   2,027     142,903
Jacquet Metals SACA   1,024     20,364
JCDecaux SE (A)   1,836     35,640
Kaufman & Broad SA   901     26,269
La Francaise des Jeux SAEM (D)   2,587     105,440
Laurent-Perrier   110     14,297
Lectra   297     10,365
LISI SA   419     10,692
LNA Sante SA   166     3,660
Lumibird (A)   632     8,951
Maisons du Monde SA (D)   1,925     9,018
Manitou BF SA   880     24,092
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
France (continued)          
Mersen SA   1,369   $ 53,906
Metropole Television SA   1,324     19,737
Nacon SA (A)   446     617
Neoen SA (D)   2,310     65,395
Nexans SA   1,314     137,368
Nexity SA (B)   1,974     20,186
NRJ Group   782     6,631
OVH Groupe SAS (A)   146     1,524
Pierre Et Vacances SA (A)   10,785     14,913
Plastivaloire (A)   383     1,148
Quadient SA   2,171     44,649
Rexel SA   7,172     193,737
Robertet SA   12     10,330
Rubis SCA   3,866     136,494
Samse SA   48     9,546
Savencia SA   372     20,550
SCOR SE   6,971     241,320
SEB SA   1,048     134,084
Seche Environnement SACA   126     15,393
SMCP SA (A)(D)   1,921     4,830
Societe BIC SA   1,252     89,463
Societe LDC SADIR   212     31,081
SOITEC (A)   623     64,334
Sopra Steria Group   690     167,217
SPIE SA   5,882     221,108
Stef SA   202     29,717
Synergie SE   557     19,166
Technip Energies NV   6,139     155,300
Teleperformance SE   1,034     100,438
Television Francaise 1 SA   3,803     34,738
Thermador Groupe   453     43,178
Tikehau Capital SCA   1,575     34,581
Trigano SA   463     81,437
Ubisoft Entertainment SA (A)   4,551     95,726
Valeo SE   8,798     109,996
Vallourec SACA (A)   6,761     125,583
Vantiva SA (A)(B)   9,713     1,465
Verallia SA (D)   3,490     135,688
Vicat SACA   1,201     47,375
Virbac SACA   71     26,533
Voltalia SA (A)   1,403     9,927
Wavestone   331     20,041
          4,935,372
Gabon - 0.0%          
Totalenergies EP Gabon   20     3,620
Georgia - 0.1%          
Georgia Capital PLC (A)   1,145     19,170
TBC Bank Group PLC   1,831     74,276
          93,446
Germany - 5.6%          
1&1 AG   2,192     37,837
7C Solarparken AG (B)   3,282     11,012
Adesso SE (B)   207     24,380
Adtran Networks SE (A)   804     17,313
All for One Group SE   130     8,166
Allgeier SE   498     10,778
Amadeus Fire AG   264     34,200
Atoss Software AG   218     64,449
Aurubis AG   1,560     109,717
Auto1 Group SE (A)(B)(D)   3,943     18,618
Basler AG   486     5,665
BayWa AG   669     18,158
Bechtle AG   3,835     202,697
Bertrandt AG   394     19,397
 
  113  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Germany (continued)          
Bijou Brigitte AG   340   $ 13,986
Bilfinger SE   1,781     83,184
Borussia Dortmund GmbH & Company KGaA (A)(B)   4,276     15,461
BRANICKS Group AG (A)(B)   3,005     4,610
CANCOM SE (B)   1,316     39,247
CECONOMY AG (A)   8,144     16,335
CENIT AG   446     6,035
Cewe Stiftung & Company KGAA   268     29,730
CompuGroup Medical SE & Company KGaA   1,368     42,100
CTS Eventim AG & Company KGaA   2,897     257,581
Delivery Hero SE (A)(D)   588     16,814
Dermapharm Holding SE   849     29,907
Deutsche Beteiligungs AG   1,067     29,676
Deutsche Pfandbriefbank AG (B)(D)   6,014     32,108
Deutz AG   3,432     21,779
Dr. Hoenle AG (A)   420     8,758
Draegerwerk AG & Company KGaA   82     4,011
Duerr AG   2,868     66,273
DWS Group GmbH & Company KGaA (D)   1,480     65,171
Eckert & Ziegler SE   808     32,686
Elmos Semiconductor SE   454     36,189
ElringKlinger AG   2,576     16,877
Encavis AG (A)   5,880     106,875
Energiekontor AG   454     31,373
Evotec SE (A)   1,508     23,503
Fielmann Group AG   1,241     57,010
flatexDEGIRO AG (A)   4,048     45,348
Fraport AG Frankfurt Airport Services Worldwide (A)   2,067     108,938
Freenet AG   5,773     162,463
Friedrich Vorwerk Group SE   1,234     20,825
FUCHS SE   1,805     70,885
GEA Group AG   7,309     309,028
Gerresheimer AG   1,792     201,730
GFT Technologies SE   961     27,966
GRENKE AG   983     25,676
H&R GmbH & Company KGaA   1,324     6,947
Hamburger Hafen und Logistik AG (A)   1,330     23,793
Heidelberger Druckmaschinen AG (A)   18,003     20,200
HelloFresh SE (A)   6,865     48,967
Hensoldt AG   2,082     97,695
HOCHTIEF AG   1,110     128,986
Hornbach Holding AG & Company KGaA   497     39,927
HUGO BOSS AG   2,702     159,253
Indus Holding AG   975     27,924
Init Innovation in Traffic Systems SE   364     14,312
Instone Real Estate Group SE (D)   2,299     22,141
IVU Traffic Technologies AG   665     11,410
Jenoptik AG   2,990     92,881
JOST Werke SE (D)   517     26,567
K+S AG (B)   7,752     120,979
KION Group AG   2,944     154,866
Knaus Tabbert AG   203     9,753
Koenig & Bauer AG (A)(B)   912     12,306
Krones AG   775     102,597
KWS Saat SE & Company KGaA (B)   556     29,729
LANXESS AG   2,223     59,500
LEG Immobilien SE (A)   3,424     294,100
Leifheit AG   437     6,978
Manz AG (A)   233     2,521
Medigene AG (A)   760     1,728
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Germany (continued)          
Medios AG (A)   842   $ 14,895
METRO AG (B)   6,195     33,710
MLP SE   5,864     35,462
Mutares SE & Company KGaA   663     26,404
Nagarro SE (A)   394     33,888
New Work SE   128     9,298
Norma Group SE   1,576     29,254
OHB SE (A)   399     18,877
PATRIZIA SE (B)   2,719     25,262
PNE AG (B)   805     11,640
ProSiebenSat.1 Media SE (B)   5,491     38,563
Puma SE   686     31,046
PVA TePla AG (A)   1,420     28,763
Rational AG   54     46,526
SAF-Holland SE   1,157     23,584
Salzgitter AG   1,529     39,938
Scout24 SE (D)   183     13,787
Secunet Security Networks AG   141     24,407
SGL Carbon SE (A)(B)   3,072     23,049
Siltronic AG (B)   981     87,040
Sirius Real Estate, Ltd.   60,557     74,866
Sixt SE (B)   733     73,082
SMA Solar Technology AG (A)   839     48,448
Stabilus SE   1,440     91,692
Stroeer SE & Company KGaA   1,746     106,271
Suedzucker AG   2,959     42,417
SUESS MicroTec SE   1,803     71,081
Synlab AG   1,768     20,887
TAG Immobilien AG (A)   10,818     147,851
Takkt AG   1,848     26,679
TeamViewer SE (A)(D)   6,009     89,548
Technotrans SE   530     10,360
thyssenkrupp AG   22,583     121,145
United Internet AG   3,347     75,322
Verbio SE   1,012     23,006
Vossloh AG   859     42,332
Wacker Chemie AG   591     66,661
Wacker Neuson SE   2,039     37,749
Washtec AG (B)   611     25,998
Westwing Group SE (A)   385     3,289
Wuestenrot & Wuerttembergische AG   1,566     22,494
Zeal Network SE (B)   461     17,164
          5,992,320
Greece - 0.0%          
Alapis Holding Industrial and Commercial SA of Pharmaceutical Chemical Products (A)(C)   3,303     66
Okeanis Eco Tankers Corp. (A)(D)   733     21,705
TT Hellenic Postbank SA (A)(C)   12,594     0
          21,771
Guernsey, Channel Islands - 0.0%          
Raven Property Group, Ltd. (A)(C)   4,994     144
Hong Kong - 1.8%          
3D-Gold Jewellery Holdings, Ltd. (A)(C)   90,000     0
APAC Resources, Ltd.   20,467     2,510
Apollo Future Mobility Group, Ltd. (A)   2,800     182
Asia Financial Holdings, Ltd.   14,000     6,051
ASMPT, Ltd.   10,600     133,342
Associated International Hotels, Ltd.   28,000     19,678
Brightoil Petroleum Holdings, Ltd. (A)(C)   117,000     0
Burwill Holdings, Ltd. (A)(C)   292,000     0
Cafe de Coral Holdings, Ltd.   18,000     18,441
Chen Hsong Holdings   10,000     1,726
 
  114  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
Cheuk Nang Holdings, Ltd.   3,708   $ 806
China Energy Development Holdings, Ltd. (A)   634,000     6,717
China Solar Energy Holdings, Ltd. (A)(C)   42,500     0
Chinese Estates Holdings, Ltd. (A)   22,000     2,841
Chow Sang Sang Holdings International, Ltd.   22,000     23,354
Chuang's Consortium International, Ltd. (A)   30,948     1,662
CITIC Telecom International Holdings, Ltd.   59,000     19,076
C-MER Eye Care Holdings, Ltd. (A)   18,000     6,514
Cowell e Holdings, Inc. (A)(B)   8,000     19,166
Crystal International Group, Ltd. (D)   19,000     7,772
CSC Holdings, Ltd. (A)   885,000     3,162
CSI Properties, Ltd.   245,066     3,196
Dah Sing Banking Group, Ltd.   18,000     12,817
Dah Sing Financial Holdings, Ltd.   6,520     14,986
Dynamic Holdings, Ltd.   8,000     7,472
EC Healthcare   13,000     2,180
EganaGoldpfeil Holdings, Ltd. (A)(C)   103,373     0
Emperor International Holdings, Ltd.   97,333     4,917
Esprit Holdings, Ltd. (A)   176,850     2,579
Fairwood Holdings, Ltd.   3,500     3,605
Far East Consortium International, Ltd.   98,508     12,842
First Pacific Company, Ltd.   112,000     56,428
Giordano International, Ltd.   82,000     21,582
Gold-Finance Holdings, Ltd. (A)(C)   62,000     0
GR Life Style Company, Ltd. (A)   82,000     3,200
Great Eagle Holdings, Ltd.   10,516     14,761
G-Resources Group, Ltd.   33,580     10,378
Guotai Junan International Holdings, Ltd.   207,000     14,043
Hang Lung Group, Ltd.   31,000     35,708
Hang Lung Properties, Ltd.   13,000     13,369
Hanison Construction Holdings, Ltd.   27,441     2,174
Hao Tian International Construction Investment Group, Ltd. (A)(B)   160,000     17,874
Harbour Centre Development, Ltd. (A)   38,000     28,914
HKBN, Ltd.   36,000     13,480
HKR International, Ltd.   51,920     8,493
Hong Kong Ferry Holdings Company, Ltd.   29,000     16,606
Hong Kong Technology Venture Company, Ltd. (A)(B)   28,000     5,836
Hongkong Chinese, Ltd. (A)   66,000     2,531
Hsin Chong Group Holdings, Ltd. (A)(C)   170,000     0
Hutchison Port Holdings Trust   161,400     20,313
Hutchison Telecommunications Hong Kong Holdings, Ltd.   80,000     10,326
Hysan Development Company, Ltd.   25,000     40,335
Johnson Electric Holdings, Ltd.   21,193     29,378
K Wah International Holdings, Ltd.   80,000     18,308
Kerry Logistics Network, Ltd.   16,500     17,997
Kerry Properties, Ltd.   23,500     43,051
Kowloon Development Company, Ltd.   22,000     13,521
Lai Sun Development Company, Ltd. (A)   22,980     1,794
Langham Hospitality Investments, Ltd.   22,500     1,641
Lippo China Resources, Ltd. (A)   3,600     484
Liu Chong Hing Investment, Ltd.   16,000     9,857
Luk Fook Holdings International, Ltd.   15,000     41,120
Man Wah Holdings, Ltd.   61,600     43,534
Mandarin Oriental International, Ltd.   8,000     12,230
MH Development, Ltd. (A)(C)   16,000     0
Midland Holdings, Ltd. (A)   34,734     4,356
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
Miramar Hotel & Investment   15,000   $ 19,135
Modern Dental Group, Ltd.   20,000     10,492
New World Development Company, Ltd.   38,000     40,177
NewOcean Energy Holdings, Ltd. (A)(C)   66,000     296
Nissin Foods Company, Ltd.   22,000     13,917
NWS Holdings, Ltd.   64,000     53,172
Oriental Watch Holdings   18,000     8,235
Oshidori International Holdings, Ltd. (A)   204,000     4,964
Pacific Andes International Holdings, Ltd. (A)(C)   328,006     0
Pacific Basin Shipping, Ltd.   239,000     69,204
Pacific Century Premium Developments, Ltd. (A)   2,376     57
Pacific Textiles Holdings, Ltd.   42,000     6,763
Paliburg Holdings, Ltd. (A)   46,000     4,880
PC Partner Group, Ltd.   12,000     4,465
PCCW, Ltd.   156,590     77,462
Peace Mark Holdings, Ltd. (A)(C)   164,000     0
Perfect Medical Health Management, Ltd.   32,000     13,095
Pico Far East Holdings, Ltd.   60,000     12,731
Public Financial Holdings, Ltd.   24,000     3,802
Realord Group Holdings, Ltd. (A)(B)   6,000     4,186
Regal Hotels International Holdings, Ltd. (A)   36,000     12,161
Regina Miracle International Holdings, Ltd. (D)   17,000     4,303
Shangri-La Asia, Ltd. (A)   46,000     28,825
Shun Tak Holdings, Ltd. (A)   80,250     7,699
Singamas Container Holdings, Ltd.   114,000     8,155
SITC International Holdings Company, Ltd.   23,000     42,050
SJM Holdings, Ltd. (A)(B)   118,750     36,301
SmarTone Telecommunications Holdings, Ltd.   31,500     15,414
Solomon Systech International, Ltd. (A)   72,000     2,579
South China Holdings Company, Ltd. (A)   640,000     4,017
Stella International Holdings, Ltd.   20,000     31,872
Sun Hung Kai & Company, Ltd.   45,000     13,809
SUNeVision Holdings, Ltd.   31,000     10,108
Tao Heung Holdings, Ltd.   14,000     1,305
Television Broadcasts, Ltd. (A)   19,100     7,528
Texhong International Group, Ltd. (A)   11,000     6,023
Texwinca Holdings, Ltd.   60,000     5,600
The Bank of East Asia, Ltd.   33,715     40,173
The Hongkong & Shanghai Hotels, Ltd. (A)   31,903     24,281
Theme International Holdings, Ltd. (A)   130,000     10,309
Town Health International Medical Group, Ltd.   261,361     9,855
Tradelink Electronic Commerce, Ltd.   50,000     5,808
Transport International Holdings, Ltd.   12,312     14,152
United Laboratories International Holdings, Ltd.   42,000     48,118
Upbest Group, Ltd.   164,000     14,423
Value Partners Group, Ltd.   40,000     9,156
Vitasoy International Holdings, Ltd.   34,000     29,162
Vobile Group, Ltd. (A)   73,000     15,046
VSTECS Holdings, Ltd.   47,200     25,290
VTech Holdings, Ltd.   6,900     41,851
Wai Kee Holdings, Ltd. (A)   24,000     2,796
Wealthink AI-Innovation Capital, Ltd. (A)   32,000     546
Wing On Company International, Ltd.   4,000     6,127
 
  115  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hong Kong (continued)          
Wing Tai Properties, Ltd.   70,000   $ 19,512
Xinyi Glass Holdings, Ltd.   45,000     47,755
Yue Yuen Industrial Holdings, Ltd.   30,000     42,163
Yunfeng Financial Group, Ltd. (A)   26,000     2,500
Zensun Enterprises, Ltd. (A)   21,000     887
Zhaobangji Lifestyle Holdings, Ltd. (A)   88,000     2,047
          1,907,955
Ireland - 0.5%          
C&C Group PLC   17,690     36,505
Cairn Homes PLC   24,718     42,570
COSMO Pharmaceuticals NV   560     44,234
Dalata Hotel Group PLC   6,155     29,919
FBD Holdings PLC   1,936     27,579
Glanbia PLC   6,256     123,397
Glenveagh Properties PLC (A)(D)   24,326     32,844
Grafton Group PLC, CHESS Depositary Interest   9,527     120,443
Greencore Group PLC (A)   23,830     35,833
Irish Continental Group PLC   5,309     27,720
Permanent TSB Group Holdings PLC (A)   5,786     8,573
          529,617
Isle of Man - 0.1%          
Playtech PLC (A)   11,001     64,031
Strix Group PLC   6,042     5,231
          69,262
Israel - 1.3%          
Adgar Investment and Development, Ltd. (A)   4,535     6,199
AFI Properties, Ltd. (A)   603     27,738
Africa Israel Residences, Ltd.   355     23,708
Airport City, Ltd. (A)   1     10
Allot, Ltd. (A)   2,103     4,655
Alrov Properties and Lodgings, Ltd.   399     16,725
Arad, Ltd.   787     11,147
Ashdod Refinery, Ltd.   345     8,212
AudioCodes, Ltd.   1,269     16,548
Aura Investments, Ltd.   10,003     42,162
Automatic Bank Services, Ltd.   1,109     4,427
Azorim-Investment Development & Construction Company, Ltd. (A)   3,848     19,754
Bet Shemesh Engines Holdings 1997, Ltd.   358     14,355
BioLine RX, Ltd. (A)   48,850     3,767
Blue Square Real Estate, Ltd.   215     14,822
Carasso Motors, Ltd.   2,020     9,694
Cellcom Israel, Ltd. (A)   4,807     20,636
Clal Biotechnology Industries, Ltd. (A)   1     0
Clal Insurance Enterprises Holdings, Ltd. (A)   2,090     38,463
Compugen, Ltd. (A)   4,373     11,278
Danel Adir Yeoshua, Ltd.   253     21,616
Delek Automotive Systems, Ltd.   633     3,851
Delta Galil, Ltd.   618     27,190
Dor Alon Energy in Israel 1988, Ltd.   420     8,807
Duniec Brothers, Ltd. (A)   217     12,338
Electra Consumer Products 1970, Ltd.   445     10,100
Electra Real Estate, Ltd.   1,543     16,485
Equital, Ltd. (A)   1,096     34,865
Formula Systems 1985, Ltd.   549     43,943
Fox Wizel, Ltd.   228     21,308
Gilat Satellite Networks, Ltd. (A)   1,452     7,914
Hamat Group, Ltd.   1,230     4,150
Hilan, Ltd.   803     51,018
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Israel (continued)          
IDI Insurance Company, Ltd.   440   $ 12,859
IES Holdings, Ltd. (A)   120     7,341
Ilex Medical, Ltd.   211     3,731
Inrom Construction Industries, Ltd.   4,264     13,570
Isracard, Ltd.   6,691     27,277
Israel Canada T.R, Ltd.   6,076     24,195
Israel Discount Bank, Ltd., Class A   1     4
Israel Land Development Company, Ltd.   789     7,289
Isras Investment Company, Ltd.   142     28,702
Issta, Ltd. (A)   219     4,897
Kamada, Ltd. (A)   1,616     9,138
Kerur Holdings, Ltd.   418     7,659
Kvutzat Acro, Ltd.   1,118     13,358
Levinstein Properties, Ltd.   267     4,537
M Yochananof & Sons, Ltd.   155     7,463
Magic Software Enterprises, Ltd.   1,349     15,567
Malam - Team, Ltd.   476     8,130
Matrix IT, Ltd.   1,552     34,203
Maytronics, Ltd.   960     9,553
Mediterranean Towers, Ltd.   4,044     10,546
Mega Or Holdings, Ltd.   757     20,214
Migdal Insurance & Financial Holdings, Ltd.   19,833     27,395
Mivtach Shamir Holdings, Ltd. (A)   397     15,346
Naphtha Israel Petroleum Corp., Ltd. (A)   2,030     11,421
Nawi Brothers, Ltd.   1,396     10,598
Neto Malinda Trading, Ltd. (A)   451     6,173
Next Vision Stabilized Systems, Ltd.   2,120     25,241
Nexxen International, Ltd. (A)(B)   2,825     7,485
Novolog, Ltd.   20,186     8,431
Oil Refineries, Ltd.   102,102     33,887
One Software Technologies, Ltd.   1,700     25,149
OPC Energy, Ltd. (A)   1     7
Partner Communications Company, Ltd. (A)   5,179     22,564
Paz Oil Company, Ltd.   345     36,862
Perion Network, Ltd. (A)   689     15,514
Plasson Industries, Ltd.   241     10,062
Plus500, Ltd.   4,031     91,858
Prashkovsky Investments and Construction, Ltd.   318     8,120
Priortech, Ltd. (A)   668     29,053
Rami Levy Chain Stores Hashikma Marketing 2006, Ltd.   449     26,980
Retailors, Ltd.   748     18,306
Sano-Brunos Enterprises, Ltd.   145     12,212
Scope Metals Group, Ltd. (A)   377     13,377
Shikun & Binui, Ltd. (A)   3,996     9,895
Summit Real Estate Holdings, Ltd.   2,363     29,933
Tadiran Group, Ltd.   86     6,947
Tamar Petroleum, Ltd. (D)   3,135     20,441
Tel Aviv Stock Exchange, Ltd.   3,160     21,322
Telsys, Ltd.   84     5,677
Tera Light, Ltd. (A)   32     70
Tiv Taam Holdings 1, Ltd.   3,848     5,415
YH Dimri Construction & Development, Ltd.   285     22,414
          1,406,273
Italy - 4.1%          
A2A SpA   110,423     199,200
ACEA SpA (B)   2,494     44,202
Amplifon SpA   2,099     76,514
Anima Holding SpA (D)   9,201     43,737
Aquafil SpA   969     3,169
Arnoldo Mondadori Editore SpA   12,613     31,666
 
  116  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Italy (continued)          
Ascopiave SpA   4,243   $ 10,822
Avio SpA (A)   877     9,563
Azimut Holding SpA   5,155     140,141
Banca Generali SpA   2,463     97,870
Banca IFIS SpA   1,607     31,485
Banca Mediolanum SpA   3,807     41,843
Banca Monte dei Paschi di Siena SpA (A)   37,180     168,623
Banca Popolare di Sondrio SpA   21,195     158,617
Banca Profilo SpA   24,032     5,707
Banco BPM SpA   35,603     236,877
Banco di Desio e della Brianza SpA   2,610     13,164
BasicNet SpA   1,571     6,900
BFF Bank SpA (D)   6,472     86,649
BPER Banca   43,099     203,790
Brembo SpA   5,497     70,343
Brunello Cucinelli SpA   1,495     170,861
Buzzi SpA   4,791     188,157
Cairo Communication SpA   4,712     10,170
Carel Industries SpA (D)   1,809     39,722
Cembre SpA   370     17,595
Cementir Holding NV   4,165     47,145
CIR SpA-Compagnie Industriali (A)   60,979     35,228
Credito Emiliano SpA   4,857     48,601
Danieli & C Officine Meccaniche SpA   788     27,976
Danieli & C Officine Meccaniche SpA, Savings Shares   2,118     55,844
De' Longhi SpA   1,641     56,749
doValue SpA (D)   5,440     12,475
ERG SpA   344     8,636
Esprinet SpA   2,412     14,008
Eurotech SpA (A)   1,562     2,929
Fila SpA   2,245     19,303
Garofalo Health Care SpA (A)   1,776     9,432
Geox SpA (A)   8,390     6,073
Gruppo MutuiOnline SpA   424     17,119
Hera SpA   38,131     134,362
Illimity Bank SpA (B)   5,067     26,595
IMMSI SpA   6,756     4,007
Intercos SpA   1,065     15,417
Interpump Group SpA   3,216     156,738
Iren SpA   30,720     62,846
Italgas SpA   19,026     110,842
Italmobiliare SpA   1,039     38,784
Iveco Group NV (A)   8,389     124,973
Leonardo SpA   3,206     80,547
Maire Tecnimont SpA   6,315     49,529
MFE-MediaForEurope NV, Class A   10,783     27,995
MFE-MediaForEurope NV, Class B   3,783     13,122
OVS SpA (D)   11,708     30,794
Pharmanutra SpA (B)   268     16,488
Piaggio & C SpA   11,658     36,867
Piovan SpA (D)   884     11,583
Pirelli & C. SpA (D)   12,309     75,368
RAI Way SpA (D)   5,678     31,826
Reply SpA   1,004     142,079
Sabaf SpA (A)   338     6,512
Salvatore Ferragamo SpA   2,452     29,832
Sanlorenzo SpA/Ameglia   556     25,307
Saras SpA   32,800     62,697
Sesa SpA   391     43,227
Sogefi SpA (A)   3,551     12,239
SOL SpA   1,145     41,012
Tamburi Investment Partners SpA   4,666     50,089
Technogym SpA (D)   6,815     67,618
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Italy (continued)          
Telecom Italia SpA (A)(B)   305,003   $ 74,041
Tod's SpA (A)   319     14,795
Unieuro SpA (D)   1,088     10,370
Unipol Gruppo SpA   15,893     133,183
UnipolSai Assicurazioni SpA   13,115     37,996
Webuild SpA   14,544     35,182
Zignago Vetro SpA   1,669     23,874
          4,327,641
Japan - 23.9%          
A&D HOLON Holdings Company, Ltd.   900     17,342
Achilles Corp.   1,000     10,138
Adastria Company, Ltd.   1,620     41,156
ADEKA Corp.   3,600     76,012
Ad-sol Nissin Corp.   800     8,884
Advan Group Company, Ltd.   1,000     7,612
Aeon Delight Company, Ltd.   1,400     32,504
Aeon Fantasy Company, Ltd. (B)   400     6,287
AEON Financial Service Company, Ltd.   4,300     39,205
Aeon Hokkaido Corp.   1,800     11,151
Aeria, Inc.   700     1,631
Ai Holdings Corp.   1,900     30,585
Aica Kogyo Company, Ltd.   1,800     44,038
Aichi Corp.   3,200     22,694
Aichi Steel Corp.   700     17,843
Aichi Tokei Denki Company, Ltd.   900     14,414
Aida Engineering, Ltd.   4,500     26,392
Aiful Corp.   8,600     25,858
Ain Holdings, Inc.   1,100     39,620
Aiphone Company, Ltd.   600     12,051
Airport Facilities Company, Ltd.   1,200     4,837
Airtrip Corp. (B)   900     9,699
Aisan Industry Company, Ltd.   2,500     27,920
Aizawa Securities Group Company, Ltd.   2,400     18,961
Akatsuki, Inc.   400     6,692
Akebono Brake Industry Company, Ltd. (A)   9,400     8,966
Albis Company, Ltd.   500     9,014
Alconix Corp.   1,600     15,200
Alpen Company, Ltd.   1,100     14,595
Alps Alpine Company, Ltd. (B)   7,000     55,036
Altech Corp.   1,100     19,931
Amano Corp.   2,200     56,060
Amuse, Inc.   400     4,046
Amvis Holdings, Inc.   300     5,043
Anest Iwata Corp.   1,800     16,042
AnGes, Inc. (A)   6,300     2,706
Anicom Holdings, Inc.   3,700     14,023
Anritsu Corp.   6,700     54,232
AOKI Holdings, Inc.   3,100     22,933
Aoyama Trading Company, Ltd.   2,500     27,686
Aoyama Zaisan Networks Company, Ltd.   1,100     9,347
Arakawa Chemical Industries, Ltd.   1,400     10,738
Arata Corp.   1,400     29,767
ARCLANDS Corp.   2,870     33,528
Arcs Company, Ltd.   2,125     43,885
ARE Holdings, Inc.   3,600     45,731
Arealink Company, Ltd.   500     8,883
Argo Graphics, Inc.   1,000     28,123
Arisawa Manufacturing Company, Ltd.   2,900     21,607
Artience Company, Ltd.   2,200     42,696
As One Corp.   2,000     34,998
Asahi Company, Ltd.   800     7,032
Asahi Diamond Industrial Company, Ltd.   3,900     24,646
Asahi Yukizai Corp.   1,200     41,730
Asia Pile Holdings Corp.   3,300     18,086
 
  117  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
ASKA Pharmaceutical Holdings Company, Ltd.   1,600   $ 23,399
ASKUL Corp.   2,000     29,122
Atsugi Company, Ltd. (A)   1,200     4,407
Aucnet, Inc.   1,100     17,657
Autobacs Seven Company, Ltd.   3,400     35,515
Avant Group Corp.   900     7,672
Avex, Inc.   2,800     23,720
Axial Retailing, Inc.   3,200     21,720
AZ-COM MARUWA Holdings, Inc.   3,100     27,759
Bando Chemical Industries, Ltd.   2,500     31,034
Bank of the Ryukyus, Ltd.   3,000     23,587
Belc Company, Ltd.   500     22,932
Bell System24 Holdings, Inc.   2,400     24,927
Belluna Company, Ltd.   3,300     13,400
Bengo4.com, Inc. (A)   300     6,637
Bic Camera, Inc.   3,800     32,191
BML, Inc.   1,000     19,266
Bourbon Corp.   500     7,995
Br. Holdings Corp.   2,300     5,706
BrainPad, Inc.   900     8,016
Bunka Shutter Company, Ltd.   4,000     44,987
Business Brain Showa-Ota, Inc.   700     9,978
C Uyemura & Company, Ltd.   500     34,057
CAC Holdings Corp.   900     11,128
Canon Electronics, Inc.   1,700     27,546
Carenet, Inc.   1,200     5,116
Carlit Holdings Company, Ltd.   2,100     14,790
Cawachi, Ltd.   900     15,716
CellSource Company, Ltd. (B)   600     5,906
Celsys, Inc.   3,200     18,493
Central Automotive Products, Ltd.   500     19,060
Central Glass Company, Ltd.   1,400     26,410
Central Security Patrols Company, Ltd.   700     12,226
Central Sports Company, Ltd.   600     9,899
Ceres, Inc.   600     6,948
Change Holdings, Inc. (B)   1,700     14,420
Charm Care Corp. KK   1,000     10,911
Chilled & Frozen Logistics Holdings Company, Ltd.   1,600     32,579
Chino Corp.   400     6,939
Chiyoda Company, Ltd.   800     4,690
Chiyoda Corp. (A)   9,100     24,164
Chiyoda Integre Company, Ltd.   800     14,667
Chofu Seisakusho Company, Ltd.   1,700     24,231
Chori Company, Ltd.   1,200     26,794
Chubu Shiryo Company, Ltd.   2,000     15,677
Chudenko Corp.   1,900     37,709
Chuetsu Pulp & Paper Company, Ltd.   500     6,238
Chugai Ro Company, Ltd.   500     10,128
Chugin Financial Group, Inc.   6,700     57,111
Chugoku Marine Paints, Ltd.   1,400     20,595
CI Takiron Corp.   3,000     13,336
Citizen Watch Company, Ltd.   8,700     57,330
CKD Corp.   2,400     48,117
Cleanup Corp.   2,100     10,890
CMK Corp.   3,700     15,073
COLOPL, Inc.   3,200     13,048
Colowide Company, Ltd. (B)   3,200     45,447
Comture Corp.   1,000     13,053
COOKPAD, Inc. (A)   2,700     2,416
Corona Corp.   300     1,906
Cosel Company, Ltd.   1,200     11,993
Cota Company, Ltd.   644     6,311
CRE, Inc.   800     7,544
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Create Restaurants Holdings, Inc.   5,800   $ 39,565
Create SD Holdings Company, Ltd.   1,700     37,023
Creek & River Company, Ltd.   800     10,421
Cresco, Ltd.   800     11,341
CTS Company, Ltd.   1,900     9,918
Curves Holdings Company, Ltd.   2,000     10,541
Cybozu, Inc.   2,000     23,261
Dai Nippon Toryo Company, Ltd.   1,200     9,296
Daicel Corp.   4,100     40,472
Dai-Dan Company, Ltd.   2,000     31,793
Daido Metal Company, Ltd.   1,900     8,432
Daido Steel Company, Ltd. (B)   4,000     46,353
Daihen Corp.   600     37,450
Daiho Corp.   800     18,274
Daiichi Jitsugyo Company, Ltd.   1,200     16,825
Daiichi Kensetsu Corp.   1,300     15,239
Daiichi Kigenso Kagaku-Kogyo Company, Ltd.   1,800     11,313
Daiichikosho Company, Ltd.   2,800     35,451
Daiken Medical Company, Ltd.   400     1,502
Daiki Aluminium Industry Company, Ltd.   3,000     24,323
Daikoku Denki Company, Ltd. (B)   800     21,285
Daikokutenbussan Company, Ltd.   300     19,143
Daikyonishikawa Corp.   1,900     9,735
Dainichiseika Color & Chemicals Manufacturing Company, Ltd.   300     5,860
Daio Paper Corp.   4,200     32,540
Daiseki Company, Ltd.   1,360     33,202
Daishi Hokuetsu Financial Group, Inc.   1,100     32,365
Daishinku Corp.   1,600     8,372
Daito Pharmaceutical Company, Ltd.   770     11,878
Daitron Company, Ltd.   600     14,053
Daiwa Industries, Ltd.   2,000     21,104
Daiwabo Holdings Company, Ltd.   2,900     48,550
DCM Holdings Company, Ltd.   5,100     49,328
DeNA Company, Ltd.   2,700     26,696
Denka Company, Ltd.   1,700     26,506
Densan System Holdings Company, Ltd.   700     12,427
Denyo Company, Ltd.   900     13,986
Dexerials Corp.   1,500     65,385
DIC Corp.   2,700     51,554
Digital Arts, Inc.   700     20,085
Digital Hearts Holdings Company, Ltd.   900     5,685
Digital Holdings, Inc.   600     4,346
Dip Corp.   1,400     25,597
Direct Marketing MiX, Inc.   900     1,874
DKK Company, Ltd.   1,000     14,135
DKS Company, Ltd.   400     9,458
DMG Mori Company, Ltd.   900     23,793
Doshisha Company, Ltd.   1,700     23,449
Doutor Nichires Holdings Company, Ltd.   2,300     31,213
Dowa Holdings Company, Ltd.   1,300     44,924
DTS Corp.   1,800     47,051
Duskin Company, Ltd.   1,600     34,126
DyDo Group Holdings, Inc.   1,400     25,264
Eagle Industry Company, Ltd.   2,200     26,560
Ebara Jitsugyo Company, Ltd.   800     18,825
Ebase Company, Ltd.   1,200     5,737
EDION Corp.   2,700     27,178
EF-ON, Inc.   1,500     4,336
eGuarantee, Inc.   2,000     23,718
E-Guardian, Inc.   284     2,596
Eiken Chemical Company, Ltd.   1,800     23,437
Eizo Corp.   800     27,268
 
  118  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Elan Corp.   2,800   $ 16,968
Elecom Company, Ltd.   1,600     16,434
Elematec Corp.   1,400     17,706
EM Systems Company, Ltd.   1,400     6,596
en-japan, Inc.   2,100     36,916
Enplas Corp. (B)   300     14,417
eRex Company, Ltd. (A)(B)   1,900     8,675
ES-Con Japan, Ltd.   1,500     10,074
ESPEC Corp.   1,600     31,749
Exedy Corp.   1,900     38,091
EXEO Group, Inc. (B)   6,400     68,008
Ezaki Glico Company, Ltd.   2,000     55,825
Fancl Corp.   1,100     14,646
FCC Company, Ltd.   2,200     32,031
FDK Corp. (A)   1,100     5,399
Feed One Company, Ltd.   1,600     10,269
Ferrotec Holdings Corp.   2,000     38,911
FIDEA Holdings Company, Ltd.   2,140     22,472
Financial Partners Group Company, Ltd.   1,100     15,478
Fixstars Corp.   2,000     30,339
Food & Life Companies, Ltd.   4,500     86,362
Foster Electric Company, Ltd.   2,100     17,074
FP Corp.   1,100     19,970
France Bed Holdings Company, Ltd.   2,200     18,524
Fudo Tetra Corp.   1,080     14,610
Fuji Corp. (Aichi)   2,600     45,960
Fuji Corp., Ltd.   1,300     6,430
Fuji Kyuko Company, Ltd.   800     20,689
Fuji Oil Company, Ltd.   4,400     13,682
Fuji Oil Holdings, Inc. (B)   2,500     39,172
Fuji Pharma Company, Ltd.   1,400     15,078
Fuji Seal International, Inc.   2,100     27,531
Fujibo Holdings, Inc.   700     20,206
Fujicco Company, Ltd.   1,500     18,825
Fujikura Kasei Company, Ltd.   2,000     6,274
Fujikura, Ltd.   2,000     29,560
Fujimi, Inc.   2,400     55,069
Fujimori Kogyo Company, Ltd.   800     22,645
Fujisash Company, Ltd.   4,900     3,047
Fujitsu General, Ltd.   2,000     24,762
Fujiya Company, Ltd.   500     8,247
Fukuda Corp.   200     7,413
Fukuda Denshi Company, Ltd.   700     32,023
Fukui Computer Holdings, Inc.   300     5,126
Fukushima Galilei Company, Ltd.   500     19,688
Fukuyama Transporting Company, Ltd.   1,000     23,657
FULLCAST Holdings Company, Ltd.   1,000     9,564
Funai Soken Holdings, Inc.   1,800     29,591
Furukawa Company, Ltd.   1,900     22,841
Furukawa Electric Company, Ltd.   2,900     61,219
Furuno Electric Company, Ltd.   2,400     38,825
Furuya Metal Company, Ltd.   300     22,268
Furyu Corp.   1,300     10,856
Fuso Chemical Company, Ltd.   1,000     30,529
Fuso Pharmaceutical Industries, Ltd.   500     7,217
Futaba Corp. (A)   1,600     5,475
Futaba Industrial Company, Ltd.   3,400     26,455
Future Corp.   2,400     26,444
Fuyo General Lease Company, Ltd.   400     35,586
G-7 Holdings, Inc.   2,000     18,939
Gakken Holdings Company, Ltd.   1,600     9,827
Gecoss Corp.   400     3,033
Genki Sushi Company, Ltd.   1,000     21,006
Genky DrugStores Company, Ltd.   600     25,885
Geo Holdings Corp.   1,900     23,851
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
GLOBERIDE, Inc.   1,200   $ 15,962
Glory, Ltd.   2,100     39,633
GMO Financial Gate, Inc.   400     23,600
GMO Financial Holdings, Inc.   1,600     8,336
GMO GlobalSign Holdings KK   500     9,912
GMO internet group, Inc.   2,800     50,734
GNI Group, Ltd. (A)   1,100     21,916
Goldcrest Company, Ltd.   990     16,610
Golf Digest Online, Inc.   800     3,220
Gremz, Inc.   800     11,344
GS Yuasa Corp.   3,000     62,523
G-Tekt Corp.   1,200     16,798
Gun-Ei Chemical Industry Company, Ltd.   400     9,946
GungHo Online Entertainment, Inc.   2,000     32,008
Gunze, Ltd.   800     28,702
H.U. Group Holdings, Inc.   1,600     26,056
H2O Retailing Corp.   2,600     33,238
Hagihara Industries, Inc.   800     8,649
Hagiwara Electric Holdings Company, Ltd.   500     14,709
Hakudo Company, Ltd. (B)   600     9,967
Hakuto Company, Ltd.   700     25,817
Halows Company, Ltd.   600     17,732
Hamakyorex Company, Ltd.   1,000     25,365
Hanwa Company, Ltd.   1,500     58,541
Happinet Corp.   1,000     20,082
Harmonic Drive Systems, Inc.   600     15,987
Hazama Ando Corp.   5,490     42,755
Heiwa Corp.   1,500     19,617
Heiwa Real Estate Company, Ltd.   1,500     39,369
Heiwado Company, Ltd.   2,000     26,759
Hennge KK (A)   1,000     8,020
Hibiya Engineering, Ltd.   1,500     29,211
Hiday Hidaka Corp.   600     10,627
HI-LEX Corp.   600     6,750
Hino Motors, Ltd. (A)   10,400     34,851
Hioki EE Corp.   500     23,693
Hirano Tecseed Company, Ltd.   1,100     15,139
Hirogin Holdings, Inc.   10,600     76,080
Hiroshima Gas Company, Ltd.   4,900     12,378
Hisaka Works, Ltd.   2,000     13,456
Hisamitsu Pharmaceutical Company, Inc.   500     12,960
Hitachi Zosen Corp.   5,500     48,065
Hochiki Corp.   600     8,617
Hodogaya Chemical Company, Ltd.   700     16,584
Hokkaido Electric Power Company, Inc.   8,600     47,035
Hokkaido Gas Company, Ltd.   600     10,028
Hokkan Holdings, Ltd.   1,000     12,358
Hokko Chemical Industry Company, Ltd.   700     5,784
Hokkoku Financial Holdings, Inc.   900     29,647
Hokuetsu Corp. (B)   4,900     60,296
Hokuetsu Industries Company, Ltd.   2,000     26,244
Hokuhoku Financial Group, Inc.   4,900     62,057
Hokuriku Electric Power Company (A)   7,400     39,308
Hokuto Corp.   1,600     19,365
H-One Company, Ltd.   1,000     4,599
Honeys Holdings Company, Ltd.   1,350     15,463
Hoosiers Holdings Company, Ltd.   3,400     24,688
Hosiden Corp.   3,000     38,199
Hosokawa Micron Corp.   1,000     31,478
HS Holdings Company, Ltd.   1,000     6,623
IBJ, Inc.   1,800     6,450
Ichigo, Inc.   4,100     11,832
Ichikoh Industries, Ltd.   2,300     8,294
 
  119  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Ichinen Holdings Company, Ltd.   1,900   $ 21,984
Ichiyoshi Securities Company, Ltd.   2,800     15,445
Icom, Inc.   500     11,245
IDEC Corp.   1,600     28,279
IDOM, Inc.   3,900     26,910
Iino Kaiun Kaisha, Ltd.   4,600     38,391
I'll, Inc.   1,100     21,958
Imasen Electric Industrial   500     2,106
Imuraya Group Company, Ltd.   300     4,988
Inaba Denki Sangyo Company, Ltd.   2,100     48,729
Inaba Seisakusho Company, Ltd.   200     2,390
Inabata & Company, Ltd.   2,000     42,101
Inageya Company, Ltd.   300     2,771
Ines Corp.   900     9,250
i-Net Corp.   900     13,590
Infocom Corp.   1,000     17,667
Insource Company, Ltd.   3,800     22,856
Intage Holdings, Inc.   468     4,892
Integrated Design & Engineering Holdings Company, Ltd.   1,000     28,544
Inter Action Corp.   800     6,877
Inui Global Logistics Company, Ltd. (B)   1,600     11,270
I-PEX, Inc.   500     6,025
IR Japan Holdings, Ltd. (B)   400     3,488
Iriso Electronics Company, Ltd.   1,000     20,035
Iseki & Company, Ltd.   1,200     8,122
Ishihara Sangyo Kaisha, Ltd.   2,100     24,040
ITFOR, Inc.   1,000     8,938
ITmedia, Inc. (B)   900     10,631
Itochu Enex Company, Ltd.   3,800     39,136
Itochu-Shokuhin Company, Ltd.   300     14,246
Itoham Yonekyu Holdings, Inc.   1,500     39,407
Itoki Corp.   2,100     24,136
IwaiCosmo Holdings, Inc.   900     13,238
Iyogin Holdings, Inc.   7,000     54,164
Izumi Company, Ltd.   1,400     32,116
J Trust Company, Ltd.   6,286     18,325
JAC Recruitment Company, Ltd.   4,800     25,026
Jaccs Company, Ltd.   900     32,695
Jade Group, Inc. (A)   400     7,155
JAFCO Group Company, Ltd.   3,100     38,336
JANOME Corp.   1,200     5,437
Japan Aviation Electronics Industry, Ltd.   2,300     37,769
Japan Cash Machine Company, Ltd.   700     6,082
Japan Communications, Inc. (A)   15,200     20,632
Japan Electronic Materials Corp.   1,800     31,758
Japan Elevator Service Holdings Company, Ltd.   3,300     53,884
Japan Investment Adviser Company, Ltd.   2,000     13,674
Japan Lifeline Company, Ltd.   4,400     35,102
Japan Material Company, Ltd.   2,900     46,352
Japan Medical Dynamic Marketing, Inc.   900     4,313
Japan Petroleum Exploration Company, Ltd.   1,200     54,555
Japan Property Management Center Company, Ltd.   800     6,481
Japan Pulp & Paper Company, Ltd.   600     20,539
Japan Securities Finance Company, Ltd.   3,300     36,469
Japan Transcity Corp.   3,100     13,590
Japan Wool Textile Company, Ltd.   4,000     38,433
Jastec Company, Ltd.   400     3,829
JBCC Holdings, Inc.   1,200     26,227
JCR Pharmaceuticals Company, Ltd.   2,900     16,462
JCU Corp.   1,300     33,079
Jeol, Ltd.   1,500     62,140
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Jimoto Holdings, Inc.   980   $ 3,869
JINS Holdings, Inc.   800     22,661
JINUSHI Company, Ltd.   1,100     17,683
JM Holdings Company, Ltd.   600     10,887
JMS Company, Ltd.   500     1,738
J-Oil Mills, Inc.   1,200     15,366
Joshin Denki Company, Ltd.   1,100     16,756
Joyful Honda Company, Ltd.   1,900     27,329
JSB Company, Ltd.   800     15,030
JSP Corp.   800     11,929
Juki Corp.   1,400     5,293
Juroku Financial Group, Inc.   1,300     40,381
Justsystems Corp.   1,500     26,326
JVCKenwood Corp.   6,770     41,660
K&O Energy Group, Inc.   800     16,812
Kaga Electronics Company, Ltd.   600     25,510
Kagome Company, Ltd.   2,300     55,753
Kakaku.com, Inc.   1,900     23,050
Kaken Pharmaceutical Company, Ltd.   1,200     27,125
Kakiyasu Honten Company, Ltd.   500     10,466
Kamakura Shinsho, Ltd.   1,200     5,690
Kameda Seika Company, Ltd.   700     19,641
Kamei Corp.   2,000     27,253
Kanaden Corp.   1,100     11,002
Kanagawa Chuo Kotsu Company, Ltd.   700     14,543
Kanamic Network Company, Ltd.   600     2,098
Kanamoto Company, Ltd.   1,900     33,890
Kandenko Company, Ltd.   4,700     53,653
Kaneka Corp.   2,300     57,233
Kanematsu Corp.   3,500     59,740
Kanto Denka Kogyo Company, Ltd.   2,000     13,327
Kasai Kogyo Company, Ltd. (A)   1,000     1,623
Katakura Industries Company, Ltd.   1,700     21,557
Katitas Company, Ltd.   1,800     23,455
Kato Sangyo Company, Ltd.   1,100     33,014
Kato Works Company, Ltd.   400     4,014
Kawada Technologies, Inc.   600     12,944
KeePer Technical Laboratory Company, Ltd.   500     16,435
Keihanshin Building Company, Ltd.   2,000     20,343
Kenko Mayonnaise Company, Ltd.   900     11,961
KFC Holdings Japan, Ltd.   1,500     43,363
KH Neochem Company, Ltd.   1,500     22,715
Kimoto Company, Ltd.   3,000     4,502
King Jim Company, Ltd.   1,400     8,256
Kissei Pharmaceutical Company, Ltd.   1,700     39,766
Ki-Star Real Estate Company, Ltd.   600     14,866
Kitz Corp.   4,600     41,267
Koa Corp.   1,700     16,528
Koatsu Gas Kogyo Company, Ltd.   3,000     17,794
Kobe Electric Railway Company, Ltd.   300     5,553
Kohnan Shoji Company, Ltd.   1,200     34,609
Kojima Company, Ltd.   3,000     16,197
Kokuyo Company, Ltd.   2,900     47,423
Komatsu Matere Company, Ltd.   1,700     8,651
KOMEDA Holdings Company, Ltd.   2,000     35,625
Komeri Company, Ltd.   1,500     34,201
Komori Corp.   3,700     30,112
Kondotec, Inc.   1,300     10,784
Konica Minolta, Inc.   14,200     46,471
Konishi Company, Ltd.   4,400     44,731
Konoike Transport Company, Ltd.   2,600     36,304
Kotobuki Spirits Company, Ltd.   2,500     31,427
Krosaki Harima Corp.   1,600     37,183
KRS Corp.   1,100     8,442
 
  120  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
K's Holdings Corp. (B)   5,700   $ 49,017
Kumagai Gumi Company, Ltd.   1,300     35,434
Kumiai Chemical Industry Company, Ltd.   3,400     18,598
Kurabo Industries, Ltd.   1,600     36,798
Kureha Corp.   1,500     27,052
Kurimoto, Ltd.   1,000     26,139
Kusuri no Aoki Holdings Company, Ltd.   2,100     43,283
KYB Corp.   1,000     33,934
Kyodo Printing Company, Ltd.   500     11,328
Kyoei Steel, Ltd.   1,800     28,154
Kyokuto Kaihatsu Kogyo Company, Ltd.   2,300     38,968
Kyokuto Securities Company, Ltd.   2,300     24,246
Kyokuyo Company, Ltd.   700     17,134
Kyorin Pharmaceutical Company, Ltd.   1,900     22,845
Kyoritsu Maintenance Company, Ltd.   2,800     64,111
Kyosan Electric Manufacturing Company, Ltd.   2,000     6,848
Kyudenko Corp.   1,100     45,634
LAC Company, Ltd.   1,400     7,495
Lacto Japan Company, Ltd.   800     12,446
LEC, Inc.   1,600     12,163
Leopalace21 Corp.   6,400     21,565
Life Corp.   800     20,523
LIFULL Company, Ltd.   3,800     4,233
Link And Motivation, Inc.   2,300     8,261
Lintec Corp.   1,900     39,170
Litalico, Inc.   1,300     18,019
M&A Capital Partners Company, Ltd.   600     8,899
Mabuchi Motor Company, Ltd.   3,200     58,376
Macromill, Inc.   2,300     11,774
Maeda Kosen Company, Ltd.   1,100     26,352
Maezawa Kasei Industries Company, Ltd.   1,100     12,400
Maezawa Kyuso Industries Company, Ltd.   1,800     14,919
Makino Milling Machine Company, Ltd.   800     33,275
Management Solutions Company, Ltd.   1,300     18,229
Mandom Corp.   1,600     14,116
Mani, Inc.   3,500     45,789
MarkLines Company, Ltd.   400     8,965
Mars Group Holdings Corp.   700     15,143
Marubun Corp.   200     2,012
Marudai Food Company, Ltd.   1,600     17,111
Maruha Nichiro Corp.   1,400     27,398
Maruichi Steel Tube, Ltd.   2,700     72,094
Maruwa Company, Ltd.   300     62,777
Maruzen Company, Ltd.   800     15,484
Maruzen Showa Unyu Company, Ltd.   800     24,522
Marvelous, Inc.   1,400     6,419
Matsuda Sangyo Company, Ltd.   1,400     22,734
Matsui Securities Company, Ltd.   4,900     26,750
Max Company, Ltd.   1,500     31,677
Maxell, Ltd.   2,200     23,058
Maxvalu Tokai Company, Ltd.   1,100     22,407
MCJ Company, Ltd.   3,200     28,358
MEC Company, Ltd.   700     18,735
Media Do Company, Ltd.   600     5,938
Medical Data Vision Company, Ltd.   1,700     6,736
Medikit Company, Ltd.   500     9,928
Medley, Inc. (A)   800     23,780
MedPeer, Inc.   600     2,756
Megachips Corp.   1,100     28,095
Megmilk Snow Brand Company, Ltd.   2,800     49,691
Meidensha Corp.   1,800     33,878
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Meiko Electronics Company, Ltd.   1,200   $ 42,604
Meisei Industrial Company, Ltd.   3,000     26,098
MEITEC Group Holdings, Inc.   3,100     59,937
Meito Sangyo Company, Ltd.   900     10,524
Melco Holdings, Inc.   500     11,956
Members Company, Ltd.   400     2,386
Menicon Company, Ltd.   2,500     25,693
METAWATER Company, Ltd.   1,600     23,556
Micronics Japan Company, Ltd.   800     43,907
Midac Holdings Company, Ltd.   500     5,243
Mie Kotsu Group Holdings, Inc.   3,700     15,041
Milbon Company, Ltd.   912     19,176
Mimasu Semiconductor Industry Company, Ltd.   1,400     28,467
Ministop Company, Ltd.   1,100     10,997
MIRAIT ONE Corp. (B)   4,240     52,264
Mirarth Holdings, Inc.   6,300     20,742
Miroku Jyoho Service Company, Ltd.   700     8,286
Mitani Corp.   2,000     24,560
Mitani Sekisan Company, Ltd.   600     23,875
Mito Securities Company, Ltd.   6,300     20,539
Mitsuba Corp.   2,300     24,906
Mitsubishi Logisnext Company, Ltd.   1,000     12,154
Mitsubishi Logistics Corp.   1,200     38,848
Mitsubishi Materials Corp.   1,900     35,729
Mitsubishi Paper Mills, Ltd.   2,600     10,259
Mitsubishi Pencil Company, Ltd.   1,500     25,137
Mitsubishi Research Institute, Inc.   500     16,392
Mitsubishi Shokuhin Company, Ltd.   600     22,068
Mitsubishi Steel Manufacturing Company, Ltd.   1,000     9,612
Mitsui DM Sugar Holdings Company, Ltd.   1,000     20,586
Mitsui E&S Company, Ltd.   4,600     58,071
Mitsui High-Tec, Inc.   500     28,402
Mitsui Matsushima Holdings Company, Ltd.   1,000     19,173
Mitsui Mining & Smelting Company, Ltd.   2,200     67,426
Mitsui-Soko Holdings Company, Ltd.   900     27,808
Mitsuuroko Group Holdings Company, Ltd.   3,200     29,920
Mixi, Inc.   1,800     31,151
Mizuho Leasing Company, Ltd.   4,000     29,484
Mizuno Corp.   1,400     58,458
Mochida Pharmaceutical Company, Ltd.   900     19,045
Modec, Inc. (A)   1,800     36,413
Monex Group, Inc.   8,000     47,651
Morinaga & Company, Ltd.   3,000     51,495
Morinaga Milk Industry Company, Ltd.   3,000     61,374
Morita Holdings Corp.   2,200     23,835
Morozoff, Ltd.   500     14,014
MrMax Holdings, Ltd.   1,700     7,064
m-up Holdings, Inc.   2,000     15,480
Musashi Seimitsu Industry Company, Ltd.   2,600     29,039
Nabtesco Corp.   900     15,088
Nachi-Fujikoshi Corp.   600     13,729
Nafco Company, Ltd.   1,100     18,772
Nagano Keiki Company, Ltd.   1,800     26,899
Nagase & Company, Ltd.   3,000     50,420
Nagatanien Holdings Company, Ltd.   1,000     14,739
Nagawa Company, Ltd.   300     15,107
Nakamuraya Company, Ltd.   300     6,108
Nakanishi, Inc.   2,600     40,799
 
  121  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Nakayama Steel Works, Ltd.   1,100   $ 6,817
Namura Shipbuilding Company, Ltd.   3,252     43,163
Nankai Electric Railway Company, Ltd.   3,000     61,622
Natori Company, Ltd.   700     9,781
NEC Capital Solutions, Ltd.   800     20,334
NEC Networks & System Integration Corp.   2,100     34,963
NET One Systems Company, Ltd.   2,900     51,024
Neturen Company, Ltd.   2,300     16,803
Nextage Company, Ltd.   1,900     35,980
NHK Spring Company, Ltd. (B)   9,100     90,415
Nice Corp.   600     7,066
Nichias Corp.   2,300     61,457
Nichiban Company, Ltd.   700     9,041
Nichicon Corp.   3,400     28,713
Nichiden Corp.   600     10,548
Nichiha Corp.   1,200     27,126
Nichireki Company, Ltd.   2,000     33,040
Nichirin Company, Ltd.   1,040     25,500
Nihon Chouzai Company, Ltd.   800     8,265
Nihon Dempa Kogyo Company, Ltd.   2,500     22,411
Nihon Flush Company, Ltd.   1,000     6,394
Nihon House Holdings Company, Ltd.   1,000     2,302
Nihon Kagaku Sangyo Company, Ltd.   1,000     9,451
Nihon Kohden Corp.   800     21,243
Nihon M&A Center Holdings, Inc.   9,700     61,751
Nihon Nohyaku Company, Ltd.   4,000     21,204
Nihon Parkerizing Company, Ltd.   3,900     31,410
Nihon Tokushu Toryo Company, Ltd.   1,000     9,604
Nikkiso Company, Ltd.   2,100     17,163
Nikkon Holdings Company, Ltd.   2,200     42,457
Nippn Corp.   2,700     41,448
Nippon Air Conditioning Services Company, Ltd.   1,600     9,550
Nippon Beet Sugar Manufacturing Company, Ltd.   900     12,294
Nippon Carbon Company, Ltd.   500     17,511
Nippon Chemical Industrial Company, Ltd.   700     10,899
Nippon Chemi-Con Corp. (A)   1,100     10,416
Nippon Coke & Engineering Company, Ltd.   18,000     15,382
Nippon Concrete Industries Company, Ltd.   2,600     6,823
Nippon Denko Company, Ltd.   6,530     13,719
Nippon Densetsu Kogyo Company, Ltd.   2,100     29,086
Nippon Electric Glass Company, Ltd.   1,900     48,531
Nippon Gas Company, Ltd.   4,300     72,421
Nippon Hume Corp.   2,000     11,213
Nippon Kayaku Company, Ltd.   5,300     45,464
Nippon Kodoshi Corp.   800     9,780
Nippon Light Metal Holdings Company, Ltd.   2,820     33,464
Nippon Paper Industries Company, Ltd. (A)   4,600     35,596
Nippon Parking Development Company, Ltd.   8,400     11,237
Nippon Pillar Packing Company, Ltd.   1,100     44,717
Nippon Rietec Company, Ltd.   300     2,667
Nippon Seiki Company, Ltd.   3,000     30,365
Nippon Sharyo, Ltd.   600     9,415
Nippon Sheet Glass Company, Ltd. (A)   4,100     14,006
Nippon Shokubai Company, Ltd.   3,200     31,249
Nippon Signal Company, Ltd.   3,000     20,431
Nippon Soda Company, Ltd.   600     24,023
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Nippon Thompson Company, Ltd.   4,700   $ 19,893
Nippon Yakin Kogyo Company, Ltd.   1,000     31,919
Nipro Corp.   6,700     53,179
Nishikawa Rubber Company, Ltd.   800     11,202
Nishimatsu Construction Company, Ltd.   1,500     43,120
Nishimatsuya Chain Company, Ltd.   2,700     42,927
Nishi-Nippon Financial Holdings, Inc. (B)   3,900     48,761
Nishi-Nippon Railroad Company, Ltd.   2,400     39,151
Nishio Holdings Company, Ltd.   800     20,459
Nissan Shatai Company, Ltd.   3,400     23,381
Nissei ASB Machine Company, Ltd.   500     17,117
Nissei Plastic Industrial Company, Ltd.   1,600     12,398
Nissha Company, Ltd.   2,300     22,906
Nisshinbo Holdings, Inc.   4,768     38,324
Nissin Corp.   1,400     26,460
Nisso Holdings Company, Ltd.   2,400     13,084
Nissui Corp. (B)   13,000     81,509
Nitta Corp.   1,300     34,046
NITTAN Corp.   1,200     2,969
Nittetsu Mining Company, Ltd.   600     19,352
Nitto Kogyo Corp.   1,600     44,023
Nitto Kohki Company, Ltd.   1,000     12,810
Nitto Seiko Company, Ltd.   1,700     7,150
Noevir Holdings Company, Ltd.   800     27,470
Nohmi Bosai, Ltd.   1,300     19,435
Nojima Corp.   3,200     35,694
NOK Corp.   900     12,368
Nomura Micro Science Company, Ltd. (B)   1,200     42,244
Noritake Company, Ltd.   1,400     38,944
Noritsu Koki Company, Ltd.   1,000     21,058
Noritz Corp.   2,100     24,055
North Pacific Bank, Ltd.   12,900     37,627
NPR-RIKEN Corp.   1,200     24,507
NS Tool Company, Ltd.   800     5,174
NS United Kaiun Kaisha, Ltd.   800     24,999
NSD Company, Ltd.   2,200     42,542
NTN Corp.   18,400     38,355
Obara Group, Inc.   600     15,083
Ohsho Food Service Corp.   700     35,722
Oiles Corp.   1,380     20,261
Oisix ra daichi, Inc. (A)(B)   1,200     10,252
Okabe Company, Ltd.   2,600     13,401
Okamoto Industries, Inc.   600     19,520
Okamura Corp.   2,000     29,481
Okasan Securities Group, Inc.   7,000     37,455
Oki Electric Industry Company, Ltd.   4,700     35,932
Okinawa Cellular Telephone Company   800     18,862
Okinawa Financial Group, Inc.   1,140     19,621
OKUMA Corp.   1,100     52,318
Okumura Corp.   1,200     39,860
Okura Industrial Company, Ltd.   800     16,341
Okuwa Company, Ltd.   1,000     6,264
Onoken Company, Ltd.   1,500     18,544
Onward Holdings Company, Ltd.   7,100     25,196
Optex Group Company, Ltd.   1,900     24,776
Optim Corp. (A)   700     4,790
Optorun Company, Ltd.   1,100     14,977
Organo Corp.   1,100     54,549
Orient Corp.   3,180     22,494
Oriental Shiraishi Corp.   7,600     19,860
Origin Company, Ltd.   600     4,789
Oro Company, Ltd.   700     12,127
Osaka Organic Chemical Industry, Ltd.   800     16,871
 
  122  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Osaka Soda Company, Ltd.   800   $ 50,846
Osaka Steel Company, Ltd.   700     10,097
Osaki Electric Company, Ltd.   3,000     13,453
OSG Corp.   3,900     56,180
Outsourcing, Inc. (A)   3,900     45,055
Oyo Corp.   1,300     18,912
Pacific Industrial Company, Ltd.   3,000     33,308
Pacific Metals Company, Ltd. (A)   1,100     9,832
PAL GROUP Holdings Company, Ltd.   1,400     23,813
PALTAC Corp.   1,200     31,906
Paramount Bed Holdings Company, Ltd.   1,600     27,168
Paris Miki Holdings, Inc.   1,100     3,016
Park24 Company, Ltd. (A)   4,200     49,598
Pasona Group, Inc.   1,300     23,915
Penta-Ocean Construction Company, Ltd.   2,300     11,546
PeptiDream, Inc. (A)   3,600     33,796
PIA Corp. (A)   500     10,557
Pickles Holdings Company, Ltd.   800     6,266
Pigeon Corp.   5,500     52,992
Pilot Corp.   1,200     31,187
Piolax, Inc.   2,100     36,818
Pole To Win Holdings, Inc.   2,000     6,761
Premium Group Company, Ltd.   2,400     32,480
Premium Water Holdings, Inc.   400     8,261
Press Kogyo Company, Ltd.   7,000     32,597
Pressance Corp.   700     8,192
Prestige International, Inc.   5,000     22,551
Prima Meat Packers, Ltd.   1,500     22,479
Procrea Holdings, Inc.   2,344     28,774
Pronexus, Inc.   600     4,830
Proto Corp.   1,800     16,732
PS Mitsubishi Construction Company, Ltd.   800     5,533
Punch Industry Company, Ltd.   1,300     3,914
QB Net Holdings Company, Ltd.   1,800     14,573
Qol Holdings Company, Ltd.   1,400     16,040
Quick Company, Ltd.   800     12,507
Raccoon Holdings, Inc.   800     3,244
Raito Kogyo Company, Ltd.   2,400     31,946
Raiznext Corp.   2,000     27,538
Raksul, Inc. (A)   1,200     8,583
Rasa Industries, Ltd.   600     10,797
Raysum Company, Ltd.   300     6,824
Relo Group, Inc.   2,800     22,793
Rengo Company, Ltd.   8,600     65,558
RENOVA, Inc. (A)   1,400     11,502
Resorttrust, Inc.   2,400     41,064
Restar Holdings Corp.   1,600     32,064
Retail Partners Company, Ltd.   300     3,690
Rheon Automatic Machinery Company, Ltd.   1,500     15,377
Ricoh Leasing Company, Ltd.   800     27,867
Riken Keiki Company, Ltd.   1,600     40,324
Riken Technos Corp.   3,000     19,641
Riken Vitamin Company, Ltd.   1,400     23,230
Rion Company, Ltd.   500     9,658
Riso Kyoiku Company, Ltd.   9,300     13,537
Rock Field Company, Ltd.   1,000     11,299
Rokko Butter Company, Ltd.   600     5,523
Roland Corp.   700     21,359
Roland DG Corp.   900     32,161
Rorze Corp.   500     70,633
Round One Corp.   5,500     28,476
Royal Holdings Company, Ltd.   600     9,808
RS Technologies Company, Ltd.   800     16,052
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Ryobi, Ltd.   1,400   $ 27,844
Ryoden Corp.   1,500     26,530
Ryosan Company, Ltd.   1,100     35,675
S Foods, Inc.   900     20,048
S&B Foods, Inc.   600     17,484
Sac's Bar Holdings, Inc.   600     3,454
Saibu Gas Holdings Company, Ltd.   1,500     18,799
Saint-Care Holding Corp.   1,900     11,304
Sakai Chemical Industry Company, Ltd.   1,400     17,765
Sakai Moving Service Company, Ltd.   1,000     16,812
Sakata INX Corp.   3,100     32,278
Sala Corp.   3,000     16,395
SAMTY Company, Ltd.   1,600     29,232
San ju San Financial Group, Inc.   1,700     23,444
San-A Company, Ltd.   1,300     40,279
San-Ai Obbli Company, Ltd.   3,500     47,702
Sangetsu Corp.   2,100     45,901
Sanken Electric Company, Ltd.   900     39,470
Sanki Engineering Company, Ltd.   2,000     27,826
Sankyo Frontier Company, Ltd.   300     8,417
Sankyo Seiko Company, Ltd.   3,200     15,872
Sankyo Tateyama, Inc.   2,500     15,570
Sankyu, Inc.   1,400     48,185
Sanoh Industrial Company, Ltd.   1,900     14,334
Sanshin Electronics Company, Ltd.   700     9,898
Sanyo Chemical Industries, Ltd.   600     16,726
Sanyo Denki Company, Ltd.   400     18,698
Sanyo Electric Railway Company, Ltd.   1,600     21,963
Sanyo Shokai, Ltd.   700     12,674
Sanyo Special Steel Company, Ltd.   1,400     20,678
Sanyo Trading Company, Ltd.   1,200     11,367
Sato Holdings Corp.   1,700     25,999
Sawai Group Holdings Company, Ltd.   1,800     70,377
SB Technology Corp.   800     11,032
SBI ARUHI Corp.   500     3,099
SBI Global Asset Management Company, Ltd.   1,300     6,300
SBS Holdings, Inc.   900     15,383
Scroll Corp.   2,300     14,453
Seika Corp.   500     12,396
Seikagaku Corp.   1,700     8,530
Seikitokyu Kogyo Company, Ltd.   1,600     19,820
Seiko Group Corp.   1,400     37,726
Seino Holdings Company, Ltd.   3,000     41,175
Seiren Company, Ltd.   1,900     34,568
Sekisui Jushi Corp.   1,600     24,837
Sekisui Kasei Company, Ltd.   2,500     8,269
Senko Group Holdings Company, Ltd.   4,700     35,214
Senshu Electric Company, Ltd.   600     19,800
Senshu Ikeda Holdings, Inc.   17,200     44,676
Senshukai Company, Ltd. (A)   3,300     6,543
Seria Company, Ltd.   2,100     41,514
Shibaura Electronics Company, Ltd.   500     20,595
Shibaura Machine Company, Ltd.   1,600     38,676
Shibaura Mechatronics Corp.   300     12,720
Shibuya Corp.   800     18,417
Shikibo, Ltd.   1,100     8,304
Shikoku Electric Power Company, Inc.   5,200     40,636
Shikoku Kasei Holdings Corp.   3,000     35,033
Shima Seiki Manufacturing, Ltd.   1,200     10,994
Shin Nippon Biomedical Laboratories, Ltd. (B)   1,000     10,147
Shinagawa Refractories Company, Ltd.   3,000     37,705
Shindengen Electric Manufacturing Company, Ltd.   500     10,031
 
  123  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Shin-Etsu Polymer Company, Ltd.   3,000   $ 30,541
Shinko Shoji Company, Ltd.   1,900     14,969
Shinmaywa Industries, Ltd.   2,400     19,546
Shinnihon Corp.   2,500     27,377
Shinwa Company, Ltd.   700     12,674
Ship Healthcare Holdings, Inc.   2,600     35,914
Shizuoka Gas Company, Ltd.   4,500     28,135
Shoei Company, Ltd.   1,600     24,185
Shofu, Inc.   600     11,498
Showa Sangyo Company, Ltd.   1,000     22,877
SIGMAXYZ Holdings, Inc.   1,800     20,078
Siix Corp.   1,600     18,266
Sinanen Holdings Company, Ltd.   800     26,283
Sinfonia Technology Company, Ltd.   1,600     32,765
Sinko Industries, Ltd.   1,500     37,918
Sintokogio, Ltd.   3,400     28,391
SKY Perfect JSAT Holdings, Inc.   7,800     53,174
Smaregi, Inc. (A)   400     6,168
SMK Corp.   300     5,166
SMS Company, Ltd.   1,600     27,517
Snow Peak, Inc. (A)   1,200     9,898
Sodick Company, Ltd.   2,400     11,423
Softcreate Holdings Corp.   1,400     17,186
Software Service, Inc.   200     16,779
Soken Chemical & Engineering Company, Ltd.   800     16,916
Solasto Corp.   3,200     11,494
Sotetsu Holdings, Inc.   3,500     62,543
Sparx Group Company, Ltd.   1,480     18,396
S-Pool, Inc.   5,000     10,376
SRA Holdings   600     15,664
SRE Holdings Corp. (A)   400     11,174
ST Corp.   700     7,112
St. Marc Holdings Company, Ltd.   800     11,240
Star Mica Holdings Company, Ltd.   2,200     9,018
Star Micronics Company, Ltd.   2,300     28,161
Starts Corp., Inc.   1,900     39,531
Starzen Company, Ltd.   600     11,212
Stella Chemifa Corp.   800     19,400
Strike Company, Ltd.   700     22,411
Studio Alice Company, Ltd.   900     12,257
Sugimoto & Company, Ltd.   700     10,458
Sumida Corp.   1,600     12,831
Suminoe Textile Company, Ltd.   500     8,585
Sumitomo Bakelite Company, Ltd.   1,400     42,189
Sumitomo Densetsu Company, Ltd.   1,300     28,975
Sumitomo Mitsui Construction Company, Ltd.   6,000     16,879
Sumitomo Osaka Cement Company, Ltd.   1,500     37,527
Sumitomo Pharma Company, Ltd. (A)   3,300     8,649
Sumitomo Riko Company, Ltd.   2,400     21,231
Sumitomo Seika Chemicals Company, Ltd.   500     16,686
Sun Frontier Fudousan Company, Ltd.   2,200     27,203
Suruga Bank, Ltd.   7,300     42,528
SWCC Corp.   1,200     30,012
Systena Corp.   12,200     21,657
Syuppin Company, Ltd.   1,200     9,358
T RAD Company, Ltd.   500     12,985
Tachibana Eletech Company, Ltd.   1,360     29,014
Tachi-S Company, Ltd.   2,400     31,597
Tadano, Ltd.   5,000     42,764
Taihei Dengyo Kaisha, Ltd.   1,000     30,507
Taiheiyo Cement Corp.   2,800     64,488
Taiho Kogyo Company, Ltd.   1,200     7,406
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Taikisha, Ltd.   900   $ 28,117
Taisei Lamick Company, Ltd.   500     9,744
Taiyo Holdings Company, Ltd.   2,000     44,067
Takamatsu Construction Group Company, Ltd.   1,000     18,627
Takaoka Toko Company, Ltd.   700     11,753
Takara Bio, Inc.   2,100     13,536
Takara Holdings, Inc. (B)   5,700     41,059
Takara Standard Company, Ltd.   2,200     27,861
Takasago International Corp.   1,200     27,268
Takasago Thermal Engineering Company, Ltd.   1,700     54,117
Takashimaya Company, Ltd.   1,100     17,563
Takeuchi Manufacturing Company, Ltd.   1,600     64,138
Takuma Company, Ltd.   3,000     37,261
Tama Home Company, Ltd.   1,000     29,649
Tamron Company, Ltd.   1,100     48,896
Tamura Corp.   6,000     23,592
Tanseisha Company, Ltd.   1,100     6,379
Tatsuta Electric Wire and Cable Company, Ltd. (A)   4,200     19,400
Tayca Corp.   1,500     15,071
TDC Soft, Inc.   2,400     17,595
TechMatrix Corp.   2,000     24,057
Techno Horizon Company, Ltd.   1,400     4,812
Teijin, Ltd.   5,400     49,045
Teikoku Sen-I Company, Ltd.   1,200     18,290
Tekken Corp.   800     14,253
Tenma Corp.   1,000     14,971
Tess Holdings Company, Ltd.   2,400     7,339
T-Gaia Corp.   900     12,106
The 77 Bank, Ltd.   2,100     56,013
The Akita Bank, Ltd.   1,100     15,044
The Awa Bank, Ltd.   2,200     40,444
The Bank of Iwate, Ltd.   1,100     18,646
The Bank of Nagoya, Ltd.   500     21,412
The Bank of Saga, Ltd.   1,000     13,951
The Chiba Kogyo Bank, Ltd.   3,200     22,216
The Chugoku Electric Power Company, Inc.   4,600     34,681
The Ehime Bank, Ltd.   2,100     15,608
The First Bank of Toyama, Ltd.   2,800     17,629
The Fukui Bank, Ltd.   1,800     23,067
The Fukushima Bank, Ltd.   2,100     4,308
The Furukawa Battery Company, Ltd.   1,300     8,698
The Gunma Bank, Ltd. (B)   10,800     61,317
The Hyakugo Bank, Ltd.   9,600     40,632
The Hyakujushi Bank, Ltd.   1,700     32,790
The Japan Steel Works, Ltd.   700     15,620
The Keiyo Bank, Ltd.   4,400     22,016
The Kita-Nippon Bank, Ltd.   700     11,354
The Kiyo Bank, Ltd.   3,800     46,698
The Miyazaki Bank, Ltd.   1,000     19,035
The Monogatari Corp.   1,200     36,847
The Musashino Bank, Ltd.   1,700     32,927
The Nanto Bank, Ltd.   2,000     40,418
The Nippon Road Company, Ltd.   1,000     12,437
The Nisshin Oillio Group, Ltd.   1,200     40,226
The Ogaki Kyoritsu Bank, Ltd.   1,600     23,098
The Oita Bank, Ltd.   900     17,972
The Okinawa Electric Power Company, Inc.   1,990     15,104
The Pack Corp.   800     19,874
The San-In Godo Bank, Ltd.   4,300     33,757
 
  124  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
The Shibusawa Warehouse Company, Ltd.   1,000   $ 20,017
The Shiga Bank, Ltd.   1,700     46,996
The Shikoku Bank, Ltd.   2,800     22,280
The Shimizu Bank, Ltd.   500     5,304
The Sumitomo Warehouse Company, Ltd.   1,824     30,712
The Tochigi Bank, Ltd.   8,000     19,329
The Toho Bank, Ltd.   12,000     28,446
The Tohoku Bank, Ltd.   400     3,321
The Tottori Bank, Ltd.   400     3,930
The Towa Bank, Ltd.   2,900     13,769
The Yamagata Bank, Ltd.   2,000     15,492
The Yamanashi Chuo Bank, Ltd.   2,000     24,795
Tigers Polymer Corp.   1,000     7,408
TKC Corp.   1,300     31,909
Toa Corp. (Hyogo)   1,400     10,721
Toa Corp. (Tokyo)   4,800     38,487
Toagosei Company, Ltd.   4,300     45,054
Tobishima Corp.   720     7,024
TOC Company, Ltd.   3,400     15,628
Tocalo Company, Ltd.   3,200     37,544
Toda Corp. (B)   8,400     56,198
Toda Kogyo Corp. (A)   300     3,574
Toei Company, Ltd.   500     12,687
Toenec Corp.   600     22,795
Toho Company, Ltd.   600     11,680
Toho Gas Company, Ltd.   2,200     48,709
Toho Holdings Company, Ltd.   2,400     57,034
Toho Titanium Company, Ltd. (B)   1,300     13,505
Toho Zinc Company, Ltd. (A)   800     5,829
Tokai Carbon Company, Ltd.   6,700     44,398
Tokai Corp.   1,200     17,093
TOKAI Holdings Corp.   4,000     26,075
Tokai Rika Company, Ltd.   2,600     44,615
Tokai Tokyo Financial Holdings, Inc.   11,500     45,872
Token Corp.   410     28,560
Tokushu Tokai Paper Company, Ltd.   600     15,766
Tokuyama Corp.   1,800     31,520
Tokyo Base Company, Ltd.   900     1,793
Tokyo Electron Device, Ltd.   600     27,298
Tokyo Energy & Systems, Inc.   2,000     16,202
Tokyo Keiki, Inc.   1,000     17,105
Tokyo Kiraboshi Financial Group, Inc.   1,136     35,246
Tokyo Rope Manufacturing Company, Ltd.   200     1,889
Tokyo Steel Manufacturing Company, Ltd.   2,700     29,607
Tokyo Tekko Company, Ltd.   800     27,801
Tokyo Theatres Company, Inc.   900     6,621
Tokyotokeiba Company, Ltd.   600     17,762
Tokyu Construction Company, Ltd.   3,900     21,305
Tomato Bank, Ltd.   1,100     9,220
Tomen Devices Corp.   200     8,690
Tomoe Corp.   2,200     10,757
Tomoku Company, Ltd.   500     8,695
TOMONY Holdings, Inc.   10,600     29,222
Tomy Company, Ltd.   2,900     52,960
Tonami Holdings Company, Ltd.   500     15,071
Topcon Corp.   4,700     54,331
Topre Corp.   2,300     39,096
Topy Industries, Ltd.   1,300     23,192
Torex Semiconductor, Ltd.   700     8,493
Toridoll Holdings Corp. (B)   1,200     32,770
Torii Pharmaceutical Company, Ltd.   1,100     29,943
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Torishima Pump Manufacturing Company, Ltd.   900   $ 16,792
Tosei Corp.   2,500     39,640
Toshiba TEC Corp.   1,100     21,924
Tosho Company, Ltd.   1,300     6,123
Totetsu Kogyo Company, Ltd.   1,000     19,743
Towa Corp.   800     53,103
Towa Pharmaceutical Company, Ltd.   1,500     29,076
Toyo Construction Company, Ltd.   3,100     26,573
Toyo Corp.   1,100     11,140
Toyo Denki Seizo KK   600     4,712
Toyo Engineering Corp.   2,200     13,905
Toyo Gosei Company, Ltd. (B)   300     19,232
Toyo Kanetsu KK   400     11,768
Toyo Securities Company, Ltd.   6,000     15,827
Toyo Tanso Company, Ltd.   1,000     53,301
Toyo Tire Corp.   2,000     37,793
Toyo Wharf & Warehouse Company, Ltd.   600     5,522
Toyobo Company, Ltd.   4,093     30,108
TPR Company, Ltd.   1,400     21,819
Trancom Company, Ltd.   400     16,046
Transaction Company, Ltd.   1,700     25,578
Transcosmos, Inc.   1,400     28,568
Trusco Nakayama Corp.   2,200     37,300
TS Tech Company, Ltd.   4,400     55,949
TSI Holdings Company, Ltd.   5,270     27,370
Tsubaki Nakashima Company, Ltd.   2,300     12,612
Tsubakimoto Chain Company   1,200     40,426
Tsugami Corp.   1,600     12,169
Tsukishima Holdings Company, Ltd.   2,000     18,739
Tsukuba Bank, Ltd.   5,700     11,365
Tsumura & Company   2,600     64,728
Tsurumi Manufacturing Company, Ltd.   1,000     24,756
TV Asahi Holdings Corp.   2,000     27,608
UACJ Corp.   1,003     28,693
UBE Corp.   3,000     53,443
Ubicom Holdings, Inc.   500     4,191
Uchida Yoko Company, Ltd.   400     18,284
Union Tool Company   700     20,552
Unipres Corp.   2,600     19,985
United Arrows, Ltd.   1,600     20,646
United Super Markets Holdings, Inc.   2,400     15,820
UNITED, Inc.   2,600     15,227
Unitika, Ltd. (A)   5,900     6,487
Universal Entertainment Corp.   1,200     15,269
Usen-Next Holdings Company, Ltd.   1,300     44,544
Ushio, Inc.   4,400     56,260
UT Group Company, Ltd.   1,500     35,218
V Technology Company, Ltd.   400     6,571
Valor Holdings Company, Ltd.   1,700     27,787
Valqua, Ltd.   1,000     33,494
Value HR Company, Ltd.   1,200     10,596
ValueCommerce Company, Ltd.   900     6,359
Vector, Inc.   3,100     24,046
Vertex Corp.   1,100     12,002
Visional, Inc. (A)   400     25,665
Vital KSK Holdings, Inc.   3,500     28,770
VT Holdings Company, Ltd.   6,600     23,365
Wacoal Holdings Corp.   1,900     46,409
Wacom Company, Ltd.   2,700     11,589
Wakachiku Construction Company, Ltd.   900     21,589
Wakita & Company, Ltd.   2,300     24,290
Warabeya Nichiyo Holdings Company, Ltd.   900     16,297
 
  125  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Japan (continued)          
Watahan & Company, Ltd.   600   $ 6,153
WDB Holdings Company, Ltd.   700     10,653
Weathernews, Inc.   300     10,129
Wellneo Sugar Company, Ltd.   1,100     16,799
West Holdings Corp.   716     13,579
Will Group, Inc.   1,200     8,386
WingArc1st, Inc.   1,500     30,199
World Company, Ltd.   700     9,685
World Holdings Company, Ltd.   600     10,139
Wowow, Inc.   600     4,477
Xebio Holdings Company, Ltd.   2,800     17,868
Yahagi Construction Company, Ltd.   2,000     20,470
Yaizu Suisankagaku Industry Company, Ltd.   1,100     10,331
YAKUODO Holdings Company, Ltd.   700     12,169
YAMABIKO Corp.   2,400     31,860
YAMADA Consulting Group Company, Ltd.   1,100     12,873
Yamae Group Holdings Company, Ltd.   1,000     18,300
Yamaguchi Financial Group, Inc.   5,100     51,807
Yamaichi Electronics Company, Ltd.   1,700     27,168
Yamazen Corp.   3,900     34,467
Yaoko Company, Ltd.   300     18,039
Yasuda Logistics Corp.   1,400     11,147
Yellow Hat, Ltd.   2,000     26,178
Yodogawa Steel Works, Ltd.   1,200     36,321
Yokogawa Bridge Holdings Corp.   2,100     40,506
Yokorei Company, Ltd.   2,900     19,748
Yokowo Company, Ltd.   1,200     12,207
Yomeishu Seizo Company, Ltd.   500     6,179
Yondoshi Holdings, Inc.   1,300     15,947
Yonex Company, Ltd.   2,100     15,361
Yorozu Corp.   1,800     11,491
Yoshinoya Holdings Company, Ltd.   2,500     55,750
Yuasa Trading Company, Ltd.   1,100     38,437
Yukiguni Maitake Company, Ltd.   1,000     6,975
Yurtec Corp.   2,000     19,578
Yushiro Chemical Industry Company, Ltd.   1,100     16,191
Zenrin Company, Ltd.   1,950     10,975
Zeon Corp.   3,800     33,100
ZERIA Pharmaceutical Company, Ltd.   1,200     16,811
ZIGExN Company, Ltd.   7,000     27,879
          25,463,341
Jersey, Channel Islands - 0.1%          
Centamin PLC   57,981     82,576
Jordan - 0.1%          
Hikma Pharmaceuticals PLC   3,966     95,941
Liechtenstein - 0.1%          
Liechtensteinische Landesbank AG   726     59,055
VP Bank AG, Class A   188     19,577
          78,632
Luxembourg - 0.5%          
ADLER Group SA (A)(D)   776     150
APERAM SA   1,921     60,724
Aroundtown SA (A)   36,871     77,727
B&S Group Sarl (D)   983     3,903
Befesa SA (D)   1,789     61,495
d'Amico International Shipping SA   6,428     44,147
Grand City Properties SA   3,748     42,865
IVS Group SA   2,104     14,685
L'Occitane International SA   10,750     43,510
RTL Group SA   933     31,479
SES SA   17,911     119,384
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Luxembourg (continued)          
Sword Group   278   $ 11,297
          511,366
Macau - 0.0%          
MECOM Power and Construction, Ltd. (A)   87,750     1,953
Malaysia - 0.0%          
Frencken Group, Ltd.   15,400     19,048
Malta - 0.0%          
Catena Media PLC (A)(B)   3,412     3,395
Mauritius - 0.0%          
Capital, Ltd.   9,014     10,265
Mexico - 0.0%          
Fresnillo PLC   1,387     8,215
Netherlands - 1.9%          
Aalberts NV   4,048     194,626
Acomo NV   876     16,606
Alfen N.V. (A)(B)(D)   681     36,689
AMG Critical Materials NV   1,350     30,659
Arcadis NV   3,031     185,618
Basic-Fit NV (A)(B)(D)   2,099     46,817
BE Semiconductor Industries NV   2,921     447,436
Brack Capital Properties NV (A)   230     14,505
Brunel International NV (B)   1,169     12,843
Corbion NV   587     12,550
CTP NV (D)   2,684     47,880
Flow Traders, Ltd.   1,631     32,163
ForFarmers NV   2,398     6,705
Fugro NV (A)   7,384     181,006
Innoconcepts NV (A)(C)   10,527     0
Just Eat Takeaway.com NV (A)(D)   737     10,923
Kendrion NV   1,152     17,086
Koninklijke BAM Groep NV   15,496     58,751
Koninklijke Heijmans NV   2,278     42,198
Koninklijke Vopak NV   2,374     91,558
Nedap NV   225     16,398
OCI NV   1,851     50,734
Pharming Group NV (A)   30,666     33,703
PostNL NV (B)   15,748     21,447
PPHE Hotel Group, Ltd.   592     10,583
SBM Offshore NV   5,505     87,924
SIF Holding NV (A)   588     6,776
Signify NV (D)   5,215     160,542
Sligro Food Group NV (B)   1,151     17,419
TKH Group NV   1,628     69,403
TomTom NV (A)(B)   3,258     26,032
Van Lanschot Kempen NV   1,179     40,100
          2,027,680
New Zealand - 0.3%          
Air New Zealand, Ltd.   37,974     13,722
Arvida Group, Ltd.   13,293     8,822
Channel Infrastructure NZ, Ltd.   11,354     10,319
Chorus, Ltd.   3,784     17,386
Delegat Group, Ltd.   1,200     4,731
Freightways Group, Ltd.   5,690     30,099
Gentrack Group, Ltd. (A)   3,060     16,241
Hallenstein Glasson Holdings, Ltd.   3,354     12,915
Heartland Group Holdings, Ltd.   24,029     18,400
Investore Property, Ltd.   14,352     9,958
KMD Brands, Ltd.   25,838     8,499
Manawa Energy, Ltd.   1,665     4,525
NZME, Ltd.   13,259     7,606
NZX, Ltd.   17,320     10,852
Oceania Healthcare, Ltd.   41,920     15,805
 
  126  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
New Zealand (continued)          
Pacific Edge, Ltd. (A)   27,936   $ 1,416
PGG Wrightson, Ltd.   819     1,067
Restaurant Brands New Zealand, Ltd.   886     1,851
Sanford, Ltd.   2,767     6,334
Scales Corp., Ltd.   5,176     10,361
Serko, Ltd. (A)   2,827     6,567
Skellerup Holdings, Ltd.   7,637     20,621
SKY Network Television, Ltd.   6,265     10,583
SKYCITY Entertainment Group, Ltd.   20,410     25,393
Summerset Group Holdings, Ltd.   5,319     36,235
Synlait Milk, Ltd. (A)(B)   5,495     2,470
The Warehouse Group, Ltd.   9,894     9,162
Tourism Holdings, Ltd.   6,828     12,985
TOWER, Ltd. (A)   11,445     4,746
Vista Group International, Ltd. (A)   7,682     9,169
          348,840
Norway - 0.8%          
ABG Sundal Collier Holding ASA   24,237     13,571
AF Gruppen ASA   717     9,209
Akastor ASA   6,104     6,208
Aker Carbon Capture ASA (A)(B)   4,495     2,407
AMSC ASA   1,661     4,160
ArcticZymes Technologies ASA (A)   962     2,596
Atea ASA (A)   3,574     42,791
Austevoll Seafood ASA   4,868     38,300
Avance Gas Holding, Ltd. (D)   1,658     18,937
Axactor ASA (A)   14,729     6,355
B2 Impact ASA   23,929     17,611
Belships ASA   10,010     19,298
BLUENORD ASA (A)   912     48,230
Bonheur ASA   1,411     31,188
Bouvet ASA   3,002     17,176
BW Offshore, Ltd.   4,568     11,417
Cloudberry Clean Energy ASA (A)   5,431     4,968
Crayon Group Holding ASA (A)(B)(D)   1,983     14,566
DNO ASA   18,710     16,948
Elmera Group ASA (D)   5,860     18,677
Europris ASA (D)   8,327     59,970
FLEX LNG, Ltd.   294     7,336
Gram Car Carriers ASA (A)   561     10,323
Grieg Seafood ASA (B)   2,264     14,186
Hexagon Composites ASA (A)   6,450     11,173
Hexagon Purus ASA (A)   2,213     1,272
Kid ASA (D)   1,128     14,733
Kitron ASA   9,158     28,716
LINK Mobility Group Holding ASA (A)   14,986     27,375
Medistim ASA   352     6,047
MPC Container Ships ASA (B)   15,398     17,840
Multiconsult ASA (D)   554     7,544
Norske Skog ASA (B)(D)   1,815     5,622
Norwegian Air Shuttle ASA (A)   11,101     16,775
Odfjell Drilling, Ltd.   4,970     22,386
Panoro Energy ASA   3,699     9,178
Pareto Bank ASA   1,457     7,904
PGS ASA (A)   22,374     16,303
PhotoCure ASA (A)   2,625     13,321
PoLight ASA (A)(B)(D)   3,259     1,150
Protector Forsikring ASA   2,110     44,196
Scatec ASA (D)   4,993     33,235
Selvaag Bolig ASA   1,842     6,182
Sparebank 1 Oestlandet   758     8,690
SpareBank 1 Sorost-Norge   4,392     27,157
Sparebanken More   1,230     10,347
Veidekke ASA   5,117     55,614
Volue ASA (A)   3,279     9,027
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Norway (continued)          
Wilh Wilhelmsen Holding ASA, Class A   390   $ 12,554
XXL ASA (A)(D)   19,159     1,662
          852,431
Peru - 0.0%          
Hochschild Mining PLC (A)   16,530     26,497
Poland - 0.1%          
InPost SA (A)   2,875     44,280
Portugal - 0.4%          
Altri SGPS SA (B)   6,511     36,709
Banco Comercial Portugues SA (A)   308,962     104,226
Corticeira Amorim SGPS SA   2,100     22,270
CTT-Correios de Portugal SA   8,914     39,717
Greenvolt-Energias Renovaveis SA (A)   2,312     20,359
Mota-Engil SGPS SA   5,636     29,272
NOS SGPS SA   10,693     41,820
REN - Redes Energeticas Nacionais SGPS SA   21,605     51,316
Sonae SGPS SA   34,734     32,963
The Navigator Company SA   12,847     56,177
          434,829
Singapore - 1.0%          
AEM Holdings, Ltd.   9,100     14,760
Banyan Tree Holdings, Ltd. (A)   19,800     5,649
Best World International, Ltd. (A)   3,974     6,240
Boustead Singapore, Ltd.   10,000     7,108
Bukit Sembawang Estates, Ltd.   11,000     25,661
BW LPG, Ltd. (D)   4,059     45,281
Capitaland India Trust   50,467     39,243
China Aviation Oil Singapore Corp., Ltd.   14,400     9,654
ComfortDelGro Corp., Ltd.   69,000     71,527
COSCO Shipping International Singapore Company, Ltd. (A)   58,900     6,329
CSE Global, Ltd.   34,000     10,826
Delfi, Ltd.   21,900     14,600
Ezion Holdings, Ltd. (A)(C)   131,300     0
Far East Orchard, Ltd.   5,140     3,805
First Resources, Ltd.   19,300     19,582
Fraser and Neave, Ltd.   8,600     6,625
Gallant Venture, Ltd. (A)   71,000     6,829
Golden Agri-Resources, Ltd.   183,600     36,720
GuocoLand, Ltd.   10,400     11,552
Haw Par Corp., Ltd.   4,700     33,696
Ho Bee Land, Ltd.   11,400     14,352
Hong Fok Corp., Ltd.   20,100     12,353
Hong Leong Finance, Ltd.   12,900     23,795
Hyflux, Ltd. (A)   24,000     0
iFAST Corp., Ltd.   7,000     34,545
IGG, Inc. (A)   38,000     16,048
Indofood Agri Resources, Ltd.   25,000     5,554
Japfa, Ltd.   22,700     4,454
Kenon Holdings, Ltd.   413     10,815
Keppel Infrastructure Trust   112,549     41,257
Metro Holdings, Ltd.   31,600     11,473
Midas Holdings, Ltd. (A)(C)   86,000     10,395
Nanofilm Technologies International, Ltd.   6,500     3,441
NetLink NBN Trust   91,100     57,684
Oceanus Group, Ltd. (A)   1,035,500     6,146
OM Holdings, Ltd.   10,791     3,059
OUE, Ltd.   11,100     8,960
Oxley Holdings, Ltd. (A)   27,222     1,755
Raffles Medical Group, Ltd.   35,758     27,548
SATS, Ltd. (A)   22,207     42,765
SBS Transit, Ltd.   5,000     9,625
 
  127  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Singapore (continued)          
Sheng Siong Group, Ltd.   29,900   $ 33,884
SIA Engineering Company, Ltd.   12,800     21,427
SIIC Environment Holdings, Ltd.   35,800     4,347
Sinarmas Land, Ltd.   94,200     11,301
Singapore Land Group, Ltd.   7,100     9,410
Singapore Post, Ltd.   66,100     20,564
Stamford Land Corp., Ltd.   69,044     20,201
StarHub, Ltd.   25,600     22,373
Straits Trading Company, Ltd.   1,416     1,542
Swiber Holdings, Ltd. (A)(C)   15,000     0
The Hour Glass, Ltd.   10,100     11,971
Thomson Medical Group, Ltd.   212,000     8,165
UMS Holdings, Ltd.   36,400     36,389
UOB-Kay Hian Holdings, Ltd.   16,691     17,064
Venture Corp., Ltd.   7,100     75,043
Wing Tai Holdings, Ltd.   21,205     22,141
Yeo Hiap Seng, Ltd.   1,129     489
          1,038,022
Spain - 2.2%          
Acerinox SA   7,076     77,707
Aedas Homes SA (D)   426     7,985
Almirall SA   4,308     38,422
Amper SA (A)(B)   111,435     9,836
Applus Services SA   6,225     76,763
Atresmedia Corp. de Medios de Comunicacion SA   6,046     28,933
Banco de Sabadell SA   135,041     212,444
Bankinter SA (B)   29,334     214,930
Caja de Ahorros del Mediterraneo (A)(C)   5,428     0
Cia de Distribucion Integral Logista Holdings SA   2,710     75,739
CIE Automotive SA   1,829     52,456
Construcciones y Auxiliar de Ferrocarriles SA   1,139     41,542
Distribuidora Internacional de Alimentacion SA (A)   1,566,729     21,288
Ebro Foods SA   2,006     33,436
eDreams ODIGEO SA (A)   4,905     35,689
Elecnor SA   2,026     42,167
Enagas SA   9,373     139,244
Ence Energia y Celulosa SA   6,294     21,918
Ercros SA   5,006     18,976
Faes Farma SA   13,532     45,936
Fluidra SA   2,959     70,025
Gestamp Automocion SA (D)   7,287     23,401
Global Dominion Access SA (D)   5,439     19,783
Grenergy Renovables SA (A)   573     15,043
Grifols SA (A)   2,322     20,886
Grupo Catalana Occidente SA   1,834     70,250
Grupo Empresarial San Jose SA   2,194     9,566
Iberpapel Gestion SA   65     1,304
Indra Sistemas SA   6,513     134,980
Laboratorios Farmaceuticos Rovi SA   1,133     98,870
Linea Directa Aseguradora SA Cia de Seguros y Reaseguros   27,501     27,494
Mapfre SA   36,878     93,234
Melia Hotels International SA (A)   4,842     39,134
Neinor Homes SA (A)(D)   1,978     21,689
Obrascon Huarte Lain SA (A)   19,608     7,405
Pharma Mar SA   409     12,668
Promotora de Informaciones SA, Class A (A)   11,711     4,267
Prosegur Cash SA (D)   35,886     18,550
Prosegur Cia de Seguridad SA (B)   9,830     16,258
Realia Business SA   17,710     19,523
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Spain (continued)          
Sacyr SA   18,196   $ 67,203
Solaria Energia y Medio Ambiente SA (A)   2,636     28,759
Soltec Power Holdings SA (A)   2,101     5,083
Talgo SA (D)   4,940     23,953
Tecnicas Reunidas SA (A)   1,205     9,781
Tubacex SA   6,252     22,507
Unicaja Banco SA (D)   44,382     54,996
Vidrala SA   911     94,579
Viscofan SA   1,612     102,472
          2,329,074
Sweden - 2.6%          
AcadeMedia AB (D)   3,665     16,610
AddLife AB, B Shares   2,462     25,749
AddNode Group AB   5,860     62,608
AFRY AB   3,857     61,583
Alimak Group AB (D)   4,282     39,183
Alleima AB   7,527     50,803
Alligo AB, Class B   2,270     32,646
Ambea AB (D)   5,569     33,154
Annehem Fastigheter AB, B Shares (A)   1,732     2,958
AQ Group AB   505     25,249
Arjo AB, B Shares   10,690     51,052
Attendo AB (A)(D)   5,286     20,144
Balco Group AB   665     2,561
Beijer Alma AB   2,393     43,242
Bergman & Beving AB   2,270     44,460
Betsson AB, Class B (A)   5,105     50,513
BHG Group AB (A)   2,406     4,155
Bilia AB, A Shares   2,411     30,900
BioInvent International AB (A)   2,250     3,572
Biotage AB   1,300     22,081
Bonava AB, B Shares (A)   9,969     9,858
BTS Group AB, B Shares   346     10,578
Bufab AB   1,460     57,267
Bulten AB   717     4,921
Bure Equity AB   2,057     65,926
Byggmax Group AB (A)   5,363     18,040
Catella AB   2,217     6,309
Catena AB   1,429     69,821
Cellavision AB   999     22,295
Cibus Nordic Real Estate AB   1,681     22,032
Clas Ohlson AB, B Shares   3,185     43,114
Cloetta AB, B Shares   10,640     18,082
Coor Service Management Holding AB (D)   5,027     23,560
Corem Property Group AB, B Shares   14,214     14,478
Corem Property Group AB, D Shares   408     8,842
CTT Systems AB   566     17,551
Dios Fastigheter AB   3,582     28,818
Dustin Group AB (A)(D)   19,916     23,505
Elanders AB, B Shares   1,468     17,122
Electrolux Professional AB, B Shares   9,620     62,914
Enea AB (A)   1,522     7,327
Fagerhult Group AB   4,609     31,826
Fastighets AB Trianon (A)   1,452     2,546
FastPartner AB, A Shares   2,697     19,398
Ferronordic AB   318     2,053
Fingerprint Cards AB, B Shares (A)   21,915     2,149
G5 Entertainment AB   330     4,003
Granges AB   5,521     59,726
Green Landscaping Group AB (A)(D)   1,593     11,271
Heba Fastighets AB, Class B   4,570     14,815
Hemnet Group AB   734     22,459
HMS Networks AB   884     38,286
 
  128  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Sweden (continued)          
Hoist Finance AB (A)(D)   2,083   $ 10,343
Humana AB (A)   2,641     6,054
Instalco AB (B)   7,730     30,524
Inwido AB   3,126     42,589
JM AB   2,484     50,790
Karnov Group AB (A)   3,501     21,618
K-fast Holding AB (A)   1,142     2,273
KNOW IT AB   1,459     21,538
Lime Technologies AB   558     19,662
Lindab International AB   3,819     82,109
Loomis AB   568     15,854
Medcap AB (A)   576     20,555
MEKO AB   2,150     24,220
Modern Times Group MTG AB, B Shares (A)   2,851     22,261
Momentum Group AB   2,270     27,463
NCAB Group AB   4,318     28,272
NCC AB, B Shares   3,723     51,238
Nederman Holding AB   887     14,527
Net Insight AB, B Shares (A)   16,550     9,149
New Wave Group AB, B Shares   5,928     70,898
Nobia AB (A)   6,676     2,745
Nolato AB, B Shares (B)   6,748     30,154
Nordic Paper Holding AB   2,488     12,355
Nordic Waterproofing Holding AB   2,002     30,705
Note AB (A)(B)   776     10,474
NP3 Fastigheter AB   1,683     34,739
Nyfosa AB   5,830     57,501
OEM International AB, B Shares   4,726     46,363
Orron Energy AB (A)(B)   7,422     4,930
Peab AB, Class B   4,540     28,537
Platzer Fastigheter Holding AB, Series B   3,454     29,697
Pricer AB, B Shares (A)   11,102     10,610
Proact IT Group AB   1,428     14,751
Ratos AB, B Shares   8,255     27,127
RaySearch Laboratories AB (A)   2,452     26,336
Resurs Holding AB (D)   6,236     9,057
RVRC Holding AB   4,158     26,560
Scandi Standard AB   4,648     31,087
Scandic Hotels Group AB (A)(B)(D)   5,932     34,669
Sdiptech AB, Class B (A)   738     17,963
Sensys Gatso Group AB (A)   293     2,216
Sinch AB (A)(B)(D)   15,533     38,934
SkiStar AB (B)   2,041     30,766
Solid Forsakring AB   623     4,045
Stendorren Fastigheter AB (A)   1,288     22,113
Stillfront Group AB (A)   19,809     17,624
Storskogen Group AB, Class B   39,199     20,864
Systemair AB   5,178     36,951
Tethys Oil AB   2,334     7,754
Troax Group AB   1,308     30,082
Truecaller AB, Class B (A)   9,962     30,454
VBG Group AB, B Shares   630     18,453
Viaplay Group AB (A)   12,648     1,120
Vitec Software Group AB, B Shares   1,147     59,576
Volati AB   786     9,168
XANO Industri AB, Class B   694     5,489
          2,778,021
Switzerland - 7.5%          
Accelleron Industries AG   3,967     148,592
Adecco Group AG   7,884     311,910
Allreal Holding AG   643     110,428
ALSO Holding AG   431     111,854
Aluflexpack AG (A)   549     9,237
APG SGA SA   84     20,580
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Switzerland (continued)          
Arbonia AG (B)   2,962   $ 39,602
Aryzta AG (A)   46,280     84,036
Ascom Holding AG   1,310     11,939
Autoneum Holding AG (A)   276     49,420
Avolta AG (A)   3,848     160,221
Baloise Holding AG   1,848     289,779
Banque Cantonale de Geneve, Bearer Shares   142     45,345
Banque Cantonale Vaudoise   779     90,626
Basilea Pharmaceutica AG (A)   468     19,538
Belimo Holding AG   521     255,700
Bell Food Group AG   138     41,356
Bellevue Group AG   467     10,937
Berner Kantonalbank AG   246     66,581
BKW AG   658     101,112
Bossard Holding AG, Class A   248     60,108
Bucher Industries AG   333     146,431
Burckhardt Compression Holding AG   163     102,203
Bystronic AG   74     39,135
Calida Holding AG   285     9,237
Carlo Gavazzi Holding AG   38     13,712
Cembra Money Bank AG   1,485     124,383
Cie Financiere Tradition SA, Bearer Shares   105     15,994
Clariant AG (A)   8,951     121,107
Coltene Holding AG (A)   198     12,659
Comet Holding AG   361     125,587
Daetwyler Holding AG, Bearer Shares   281     57,890
DKSH Holding AG   932     63,451
dormakaba Holding AG   178     93,612
EFG International AG (A)   4,687     58,684
Emmi AG   86     85,330
Energiedienst Holding AG   979     42,930
Feintool International Holding AG   426     8,976
Fenix Outdoor International AG   225     14,508
Flughafen Zurich AG   963     218,669
Forbo Holding AG   39     49,804
Fundamenta Real Estate AG (A)   1,563     27,205
Galenica AG (D)   2,404     200,604
GAM Holding AG (A)   5,497     1,595
Georg Fischer AG   3,955     293,328
Gurit Holding AG, Bearer Shares (A)   220     16,152
Helvetia Holding AG   1,796     247,616
Hiag Immobilien Holding AG   325     28,553
HOCHDORF Holding AG (A)   16     131
Huber + Suhner AG   515     43,485
Hypothekarbank Lenzburg AG   3     14,044
Implenia AG   770     27,907
Ina Invest Holding AG (A)   199     3,757
Inficon Holding AG   105     153,229
Interroll Holding AG   30     99,694
Intershop Holding AG   54     38,811
Investis Holding SA   160     17,242
IWG PLC (A)   42,822     104,134
Jungfraubahn Holding AG   269     53,872
Kardex Holding AG   299     83,940
Komax Holding AG   228     44,187
Kongsberg Automotive ASA (A)   23,611     3,281
Kudelski SA, Bearer Shares (A)   2,497     4,372
Landis+Gyr Group AG (A)   1,125     86,350
LEM Holding SA   25     47,310
Luzerner Kantonalbank AG   934     73,240
Medacta Group SA (D)   308     41,847
medmix AG (D)   877     15,562
Metall Zug AG, B Shares   12     17,569
 
  129  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Switzerland (continued)          
Mobilezone Holding AG   2,336   $ 38,487
Mobimo Holding AG   387     111,253
Novavest Real Estate AG (A)   469     17,651
OC Oerlikon Corp. AG   8,368     36,889
Orascom Development Holding AG (A)   533     2,779
Orior AG   425     31,351
Peach Property Group AG (A)   212     2,818
Phoenix Mecano AG (A)   38     19,217
Plazza AG, Class A   68     23,219
PSP Swiss Property AG   2,283     299,275
Rieter Holding AG   251     36,248
Romande Energie Holding SA   850     50,666
Schweiter Technologies AG   58     32,657
Sensirion Holding AG (A)(D)   141     10,425
SFS Group AG   898     118,074
Siegfried Holding AG (A)   212     216,473
SIG Group AG (A)   517     11,464
SKAN Group AG   181     17,129
Softwareone Holding AG (A)   4,165     76,811
St. Galler Kantonalbank AG   147     79,213
Stadler Rail AG   1,523     48,556
Sulzer AG   869     105,758
Swiss Prime Site AG   3,767     355,286
Swiss Steel Holding AG (A)   39,436     3,144
Swissquote Group Holding SA   465     130,365
Temenos AG   2,922     209,010
TX Group AG   201     33,199
u-blox Holding AG (A)   431     41,514
Valiant Holding AG   866     101,603
Vaudoise Assurances Holding SA   64     31,862
Vetropack Holding AG   822     29,676
Vontobel Holding AG   1,192     72,274
VZ Holding AG   733     89,434
V-ZUG Holding AG (A)   120     7,927
Walliser Kantonalbank   203     26,006
Warteck Invest AG   8     16,290
Ypsomed Holding AG   225     89,893
Zehnder Group AG   615     40,753
Zug Estates Holding AG, B Shares   16     32,278
Zuger Kantonalbank AG, Bearer Shares   9     79,833
          8,008,980
Taiwan - 0.0%          
FIT Hon Teng, Ltd. (A)(D)   49,000     12,543
Thailand - 0.0%          
Kerry Express Thailand PCL (A)   8,281     1,149
United Arab Emirates - 0.1%          
Network International Holdings PLC (A)(D)   4,888     24,243
Shelf Drilling, Ltd. (A)(D)   10,196     24,089
          48,332
United Kingdom - 12.1%          
4imprint Group PLC   1,523     121,588
A.G. Barr PLC   4,718     34,671
abrdn PLC   38,310     68,244
Accesso Technology Group PLC (A)   2,349     15,880
Advanced Medical Solutions Group PLC   6,389     15,813
AJ Bell PLC   11,487     43,712
Alfa Financial Software Holdings PLC (D)   4,048     8,665
Alliance Pharma PLC   24,062     12,082
Anglo-Eastern Plantations PLC   1,225     10,744
AO World PLC (A)   10,559     13,403
Ascential PLC (A)(B)   23,917     91,565
Ashmore Group PLC   22,693     56,170
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
Ashtead Technology Holdings PLC   2,347   $ 22,509
Aston Martin Lagonda Global Holdings PLC (A)(D)   4,390     9,385
Auction Technology Group PLC (A)   1,706     13,304
Avon Protection PLC   1,565     21,353
Babcock International Group PLC   28,937     189,902
Bakkavor Group PLC (D)   5,579     7,604
Balfour Beatty PLC   28,524     137,629
Bank of Georgia Group PLC   2,491     158,512
Beazley PLC   24,863     209,070
Begbies Traynor Group PLC   6,626     8,953
Bellway PLC   6,212     208,386
Bloomsbury Publishing PLC   4,265     28,388
Bodycote PLC   7,984     69,979
Boohoo Group PLC (A)(B)   3,748     1,699
BRAEMAR PLC   1,328     4,408
Breedon Group PLC   8,626     41,771
Bridgepoint Group PLC (D)   2,107     6,895
Britvic PLC   12,150     125,838
Brooks Macdonald Group PLC   427     9,751
Bytes Technology Group PLC   12,866     83,021
Capita PLC (A)   91,929     15,308
Capricorn Energy PLC   7,567     16,720
Card Factory PLC (A)   14,688     17,119
Carillion PLC (A)(C)   35,521     4,299
Carr's Group PLC   6,569     9,477
Central Asia Metals PLC   8,189     20,374
Chemring Group PLC   13,921     63,655
Chesnara PLC   7,709     25,609
City of London Investment Group PLC   2,068     8,172
Clarkson PLC   1,348     68,272
Close Brothers Group PLC   7,281     38,456
CMC Markets PLC (D)   7,009     19,244
Coats Group PLC   80,166     82,035
Cohort PLC   1,758     14,908
Computacenter PLC   3,991     135,690
Concentric AB   1,680     30,022
Costain Group PLC   4,797     4,531
Cranswick PLC   2,797     144,746
Crest Nicholson Holdings PLC   13,693     33,336
Currys PLC (A)   46,489     35,633
CVS Group PLC   2,750     33,806
Darktrace PLC (A)   15,373     84,853
De La Rue PLC (A)   9,176     9,465
Debenhams PLC (A)(C)   76,182     0
Deliveroo PLC (A)(D)   14,151     21,146
DFS Furniture PLC   12,509     17,427
Dialight PLC (A)   105     231
Diploma PLC   3,735     175,438
Direct Line Insurance Group PLC (A)   32,903     80,978
DiscoverIE Group PLC   5,627     53,624
Domino's Pizza Group PLC   18,477     80,279
dotdigital Group PLC   12,814     13,854
Dr. Martens PLC   12,054     13,386
Drax Group PLC   19,800     125,629
DS Smith PLC   32,944     164,791
Dunelm Group PLC   5,320     76,229
easyJet PLC   4,377     31,506
ECORA RESOURCES PLC   12,147     11,740
EKF Diagnostics Holdings PLC   8,242     2,875
Elementis PLC (A)   32,864     61,561
Energean PLC   5,147     71,021
EnQuest PLC (A)   115,537     20,558
Essentra PLC   14,966     33,242
FDM Group Holdings PLC   4,489     19,496
 
  130  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
Fevertree Drinks PLC   791   $ 11,984
Firstgroup PLC   42,968     97,899
Foresight Group Holdings, Ltd.   2,196     12,334
Forterra PLC (D)   10,957     23,796
Foxtons Group PLC   23,551     16,268
Frasers Group PLC (A)   6,534     67,048
Frontier Developments PLC (A)   1,107     1,970
Fuller Smith & Turner PLC, Class A   1,525     11,336
Funding Circle Holdings PLC (A)(D)   3,849     2,116
Future PLC   1,046     8,100
Galliford Try Holdings PLC   5,675     17,245
Games Workshop Group PLC   1,582     200,496
Gamma Communications PLC   3,729     64,392
GB Group PLC   2,949     10,141
Gem Diamonds, Ltd. (A)   12,666     1,373
Genel Energy PLC   4,784     5,022
Genuit Group PLC   12,035     66,852
Gooch & Housego PLC   1,681     11,024
Grainger PLC   32,286     104,991
Greggs PLC   5,120     185,719
Gulf Keystone Petroleum, Ltd. (A)   11,237     16,061
Halfords Group PLC   15,547     31,402
Harbour Energy PLC   25,115     87,468
Hargreaves Lansdown PLC   12,955     120,236
Harworth Group PLC   6,530     11,413
Hays PLC   77,290     92,281
Headlam Group PLC   6,602     14,684
Helical PLC   6,424     16,854
Helios Towers PLC (A)   21,114     25,152
Henry Boot PLC (B)   5,301     12,011
Hill & Smith PLC   4,670     115,357
Hilton Food Group PLC   3,867     41,066
Hollywood Bowl Group PLC   8,153     33,906
Howden Joinery Group PLC   13,189     150,977
Hunting PLC   8,331     34,802
Ibstock PLC (D)   19,043     36,215
IDOX PLC   10,437     8,246
IG Group Holdings PLC   10,589     97,701
IMI PLC   5,982     137,040
Impax Asset Management Group PLC   4,165     24,420
Inchcape PLC   19,351     177,167
Indivior PLC (A)   4,014     85,781
IntegraFin Holdings PLC   12,246     42,876
International Distributions Services PLC (A)   28,233     81,605
International Personal Finance PLC   12,526     17,236
iomart Group PLC   2,265     4,151
IP Group PLC   38,897     23,394
IQE PLC (A)(B)   39,142     10,363
ITV PLC   154,019     143,732
J.D. Wetherspoon PLC (A)   6,703     62,121
James Fisher & Sons PLC (A)   2,814     9,266
James Halstead PLC   11,052     27,987
JET2 PLC   6,865     124,966
John Wood Group PLC (A)   34,072     56,835
Johnson Matthey PLC   6,489     146,640
Johnson Service Group PLC   24,380     40,394
Jupiter Fund Management PLC   22,824     25,541
Just Group PLC   56,562     75,043
Kainos Group PLC   4,099     50,124
Keller Group PLC   4,206     55,634
Kier Group PLC (A)   22,531     37,499
Kin & Carta PLC (A)   5,938     9,650
Kingfisher PLC   4,114     12,948
Kitwave Group PLC   3,226     15,150
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
Knights Group Holdings PLC   2,269   $ 3,665
Lancashire Holdings, Ltd.   12,940     100,935
Learning Technologies Group PLC   21,193     22,874
Liontrust Asset Management PLC   3,242     27,499
Luceco PLC (D)   1,922     3,375
M&C Saatchi PLC   253     555
Macfarlane Group PLC   6,288     10,716
Man Group PLC   60,987     205,745
Marks & Spencer Group PLC   77,175     258,449
Marshalls PLC   3,831     13,265
Marston's PLC (A)   37,566     13,425
McBride PLC (A)   14,770     18,535
ME Group International PLC   18,684     39,284
Mears Group PLC   8,289     38,588
Metro Bank Holdings PLC (A)(B)   9,741     3,959
Midwich Group PLC   1,327     7,216
Mitchells & Butlers PLC (A)   16,776     47,777
Mitie Group PLC   61,066     80,804
MJ Gleeson PLC   2,770     16,765
Mobico Group PLC   21,097     18,519
Moneysupermarket.com Group PLC   27,587     76,512
Moonpig Group PLC (A)   11,812     25,206
Morgan Advanced Materials PLC   8,676     31,179
Morgan Sindall Group PLC   2,207     64,628
Mortgage Advice Bureau Holdings, Ltd.   1,276     14,637
MP Evans Group PLC   1,384     14,177
N. Brown Group PLC (A)   9,633     1,950
NCC Group PLC   17,294     27,134
Next 15 Group PLC   3,756     43,727
Ninety One PLC   15,140     32,607
Norcros PLC   6,666     15,479
Odfjell Technology, Ltd.   828     4,944
On the Beach Group PLC (A)(D)   5,451     11,369
OSB Group PLC   19,598     93,621
Oxford Instruments PLC   3,076     82,216
Pagegroup PLC   17,115     96,873
Pan African Resources PLC   85,815     24,405
Paragon Banking Group PLC   11,963     104,299
PayPoint PLC   4,705     28,928
Pennon Group PLC   11,961     97,678
Persimmon PLC   8,864     146,969
Petrofac, Ltd. (A)(B)   2,120     734
Pets at Home Group PLC   22,046     74,717
Pharos Energy PLC   16,636     4,417
Phoenix Spree Deutschland, Ltd. (A)   5,484     10,489
Pinewood Technologies Group PLC (A)   102,667     49,746
Polar Capital Holdings PLC   3,830     22,030
Porvair PLC   2,468     19,342
Premier Foods PLC   33,077     62,294
PZ Cussons PLC   13,141     14,819
QinetiQ Group PLC   25,053     115,408
Quilter PLC (D)   63,959     86,536
Rank Group PLC (A)   7,303     6,344
Rathbones Group PLC   2,285     44,656
Reach PLC   25,143     24,962
Redde Northgate PLC   11,527     55,425
Redrow PLC   15,193     127,418
Renew Holdings PLC   4,150     48,426
Renewi PLC (A)   5,276     38,217
Ricardo PLC   2,982     17,166
RM PLC (A)   8,752     6,071
Robert Walters PLC   4,693     24,084
Rotork PLC   43,493     180,592
RS GROUP PLC   14,553     133,438
RWS Holdings PLC   1,824     4,313
 
  131  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United Kingdom (continued)          
S&U PLC   513   $ 12,153
Sabre Insurance Group PLC (D)   10,582     23,998
Saga PLC (A)   4,637     7,151
Savannah Energy PLC (A)(C)   53,744     17,806
Savills PLC   5,951     80,182
Senior PLC   21,835     48,745
Serco Group PLC   46,758     111,952
Serica Energy PLC   10,784     25,695
Severfield PLC   11,941     8,245
SIG PLC (A)   64,105     23,642
Smart Metering Systems PLC   5,194     62,404
Softcat PLC   6,218     124,908
Spectris PLC   502     20,888
Speedy Hire PLC   24,369     7,811
Spire Healthcare Group PLC (D)   13,646     39,913
Spirent Communications PLC   25,617     64,807
SSP Group PLC   32,793     90,550
SThree PLC   8,144     44,155
Studio Retail Group PLC (A)(C)   8,139     11,814
STV Group PLC   2,712     8,028
Superdry PLC (A)   3,110     1,127
Synthomer PLC (A)   6,230     20,495
Tate & Lyle PLC   17,496     136,260
Tatton Asset Management PLC   1,955     13,968
Team Internet Group PLC   10,289     18,788
Telecom Plus PLC   3,652     75,148
The Gym Group PLC (A)(D)   5,959     8,618
The Vitec Group PLC   3,978     14,523
THG PLC (A)(B)   26,758     23,329
TI Fluid Systems PLC (D)   15,076     27,427
Topps Tiles PLC   15,591     8,883
TORM PLC, Class A   1,905     64,715
TP ICAP Group PLC   45,423     129,123
Trainline PLC (A)(D)   13,090     61,166
Travis Perkins PLC   9,597     88,340
Trifast PLC   7,237     6,824
TT Electronics PLC   14,769     29,554
Tullow Oil PLC (A)   72,437     28,383
Tyman PLC   9,005     32,842
Vanquis Banking Group PLC   13,396     8,922
Vertu Motors PLC   13,548     11,558
Vesuvius PLC   12,719     79,346
Victrex PLC   3,473     56,974
Virgin Money UK PLC   57,990     156,579
Vistry Group PLC   15,333     238,082
Volex PLC   6,267     22,766
Volution Group PLC   9,834     53,809
Vp PLC   637     4,410
Watches of Switzerland Group PLC (A)(D)   10,654     48,190
Watkin Jones PLC   10,502     5,399
WH Smith PLC   5,221     86,951
Wickes Group PLC   13,094     25,679
Wilmington PLC   8,076     35,516
Wincanton PLC   8,498     64,255
Xaar PLC (A)   5,629     7,528
Young & Co's Brewery PLC   1,750     13,260
Young & Co's Brewery PLC, Class A (B)   1,224     15,113
Zotefoams PLC   1,549     7,476
          12,913,441
United States - 0.7%          
Argonaut Gold, Inc. (A)   16,734     4,818
Atlantic Sapphire ASA (A)   1,608     134
Burford Capital, Ltd.   9,818     153,883
International Small Company Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
United States (continued)          
Diversified Energy Company PLC   1,929   $ 23,128
Energy Fuels, Inc. (A)   730     4,565
Frontage Holdings Corp. (A)(D)   14,000     2,580
Perpetua Resources Corp. (A)   3,000     12,447
Primo Water Corp.   8,207     149,418
PureTech Health PLC (A)   16,139     45,227
REC Silicon ASA (A)(B)   16,036     15,860
Reliance Worldwide Corp., Ltd.   36,825     138,180
Samsonite International SA (A)(D)   41,100     155,723
SSR Mining, Inc.   8,907     39,651
Viemed Healthcare, Inc. (A)   2,600     24,518
          770,132
TOTAL COMMON STOCKS (Cost $110,974,637)   $ 104,351,693
PREFERRED SECURITIES - 0.4%      
Germany - 0.4%          
Draegerwerk AG & Company KGaA   565     31,067
Einhell Germany AG   73     12,053
FUCHS SE   3,739     185,242
Jungheinrich AG   2,336     86,427
Sixt SE   838     61,478
STO SE & Company KGaA   163     27,823
Villeroy & Boch AG   625     12,309
          416,399
TOTAL PREFERRED SECURITIES (Cost $344,347)   $ 416,399
WARRANTS - 0.0%          
Arafura Rare Earths, Ltd. (Expiration Date: 6-20-25; Strike Price: AUD 0.23) (A)   7,035     257
Webuild SpA (Expiration Date: 8-2-30) (A)(E)   1,316     891
TOTAL WARRANTS (Cost $0)   $ 1,148
RIGHTS - 0.0%          
Intercell AG (A)(C)(E)   3,233     0
Nobia AB (Expiration Date: 4-18-24; Strike Price: SEK 2.50) (A)(C)   6,676     0
Promotora de Informaciones SA (Expiration Date: 4-10-24; Strike Price: EUR 0.37) (A)   11,711     57
Syrah Resources, Ltd. (Expiration Date: 4-4-24; Strike Price: AUD 0.55) (A)   4,817     0
TOTAL RIGHTS (Cost $0)   $ 57
SHORT-TERM INVESTMENTS - 3.8%      
Short-term funds - 3.8%          
John Hancock Collateral Trust, 5.2975% (F)(G)   407,375     4,072,687
TOTAL SHORT-TERM INVESTMENTS (Cost $4,073,978)   $ 4,072,687
Total Investments (International Small Company Trust)
(Cost $115,392,962) - 102.1%
  $ 108,841,984
Other assets and liabilities, net - (2.1%)     (2,285,410)
TOTAL NET ASSETS - 100.0%   $ 106,556,574
Currency Abbreviations
AUD Australian Dollar
EUR Euro
SEK Swedish Krona
Security Abbreviations and Legend
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $3,779,994.
 
  132  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

International Small Company Trust (continued)
(C) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(D) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
International Small Company Trust (continued)
(E) Strike price and/or expiration date not available.
(F) The rate shown is the annualized seven-day yield as of 3-31-24.
(G) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Mini MSCI EAFE Index Futures 7 Long Jun 2024 $821,887 $824,670 $2,783
            $2,783
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Investment Quality Bond Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
66.9%
     
U.S. Government – 25.0%          
U.S. Treasury Bonds          
1.250%, 05/15/2050 $ 4,170,000   $ 2,132,727
1.875%, 11/15/2051   4,890,000     2,928,843
2.250%, 08/15/2046   4,745,000     3,247,545
2.500%, 02/15/2045 (A)   1,619,000     1,183,831
2.500%, 02/15/2046   648,000     468,636
3.000%, 11/15/2044 to 08/15/2052   11,680,000     9,211,091
3.125%, 08/15/2044 (A)   5,535,000     4,533,079
3.125%, 05/15/2048   3,205,000     2,563,249
3.375%, 08/15/2042 to 05/15/2044   2,490,000     2,133,111
3.625%, 05/15/2053   620,000     544,728
3.750%, 11/15/2043 (A)   2,253,000     2,037,997
4.375%, 11/15/2039   1,170,000     1,180,329
U.S. Treasury Inflation
Protected Securities
         
0.250%, 07/15/2029 to 02/15/2050   5,350,855     4,151,830
1.375%, 07/15/2033   213,219     204,622
1.750%, 01/15/2034   707,228     698,170
U.S. Treasury Notes          
1.625%, 05/15/2031   4,810,000     4,053,552
1.875%, 02/15/2032   3,110,000     2,626,735
2.750%, 08/15/2032   2,945,000     2,641,412
3.375%, 05/15/2033   1,025,000     960,217
3.875%, 08/15/2033   1,805,000     1,757,055
4.000%, 02/15/2034   2,380,000     2,340,581
4.500%, 11/15/2033   2,525,000     2,581,023
          54,180,363
U.S. Government Agency – 41.9%          
Federal Home Loan Mortgage Corp.          
2.000%, 03/01/2051   2,716,768     2,159,991
2.500%, 01/01/2052 to 05/01/2052   4,065,565     3,364,588
3.000%, 12/01/2046 to 04/01/2048   234,398     205,351
3.500%, 03/01/2048 to 06/01/2048   632,408     575,917
5.000%, 12/01/2034 to 09/01/2052   1,997,814     1,953,790
6.500%, 04/01/2029 to 08/01/2034   4,024     4,195
7.500%, 12/01/2025 to 05/01/2028   749     763
Federal National Mortgage Association          
2.000%, TBA (B)   3,600,000     3,075,209
2.000%, 04/01/2051 to 05/01/2051   8,125,582     6,458,617
2.500%, TBA (B)   3,100,000     2,562,465
2.500%, 07/01/2030 to 04/01/2050   1,157,853     990,467
2.660%, 03/01/2027   753,924     711,664
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal National
Mortgage Association (continued)
         
3.000%, TBA (B) $ 1,400,000   $ 1,204,766
3.500%, 08/01/2043 to 05/01/2048   2,784,188     2,540,712
4.000%, TBA (B)   3,700,000     3,426,258
4.500%, TBA (B)   5,275,000     5,022,995
5.000%, TBA (B)   2,600,000     2,537,641
5.000%, 09/01/2052   1,914,555     1,870,795
5.500%, TBA (B)   10,230,000     10,180,848
6.000%, TBA (B)   21,600,000     21,803,493
Government National
Mortgage Association
         
2.000%, 12/20/2050   2,539,821     2,082,480
3.000%, TBA (B)   2,800,000     2,469,652
3.000%, 04/20/2051 to 05/20/2051   2,083,521     1,839,588
3.500%, TBA (B)   4,200,000     3,821,511
4.000%, TBA (B)   2,600,000     2,433,242
4.000%, 11/15/2040 to 02/15/2042   17,608     16,820
4.500%, 05/20/2052 to 09/20/2052   4,569,555     4,392,581
5.000%, TBA (B)   2,900,000     2,850,586
6.000%, 08/15/2032 to 04/15/2035   21,939     22,395
6.500%, 06/15/2028 to 02/15/2035   10,280     10,448
7.000%, 11/15/2031 to 11/15/2033   42,566     43,212
          90,633,040
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $160,140,431)   $ 144,813,403
FOREIGN GOVERNMENT OBLIGATIONS – 3.3%      
Angola – 0.1%          
Republic of Angola
8.000%, 11/26/2029
  200,000     186,000
Bermuda – 0.2%          
Government of Bermuda          
2.375%, 08/20/2030 (C)   200,000     167,040
5.000%, 07/15/2032 (C)   200,000     192,400
          359,440
Brazil – 0.5%          
Federative Republic of Brazil
10.000%, 01/01/2031
BRL 4,983,000     979,243
 
  133  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Chile – 0.1%          
Republic of Chile          
1.250%, 01/22/2051 EUR 165,000   $ 99,686
4.950%, 01/05/2036 $ 200,000     193,303
          292,989
Colombia – 0.1%          
Republic of Colombia          
5.000%, 06/15/2045   200,000     144,729
5.625%, 02/26/2044   200,000     158,227
          302,956
Costa Rica – 0.1%          
Republic of Costa Rica
6.550%, 04/03/2034 (C)
  200,000     206,776
Hungary – 0.3%          
Republic of Hungary          
1.625%, 04/28/2032 EUR 465,000     409,868
6.125%, 05/22/2028 (C) $ 235,000     240,591
          650,459
Indonesia – 0.2%          
Republic of Indonesia
1.100%, 03/12/2033
EUR 530,000     452,000
Ivory Coast – 0.1%          
Republic of Ivory Coast
4.875%, 01/30/2032
  225,000     208,757
Mexico – 0.4%          
Government of Mexico          
3.500%, 02/12/2034 $ 200,000     166,343
6.000%, 05/07/2036   725,000     726,491
          892,834
North Macedonia – 0.2%          
Republic of North Macedonia          
2.750%, 01/18/2025 EUR 210,000     221,914
3.675%, 06/03/2026 (C)   265,000     276,861
          498,775
Philippines – 0.2%          
Republic of the Philippines          
1.200%, 04/28/2033   330,000     284,834
1.750%, 04/28/2041   200,000     151,100
          435,934
Romania – 0.5%          
Republic of Romania          
2.625%, 12/02/2040 (C)   335,000     245,884
2.750%, 04/14/2041   815,000     599,174
5.875%, 01/30/2029 (C) $ 160,000     159,848
6.375%, 01/30/2034 (C)   114,000     115,475
          1,120,381
Saudi Arabia – 0.3%          
Kingdom of Saudi Arabia          
2.000%, 07/09/2039 EUR 155,000     127,425
5.750%, 01/16/2054 (C) $ 400,000     395,000
          522,425
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $8,235,469)   $ 7,108,969
CORPORATE BONDS – 29.0%      
Communication services – 1.8%          
AT&T, Inc.          
3.550%, 09/15/2055   203,000     141,943
3.800%, 12/01/2057   51,000     36,925
Charter Communications Operating LLC          
2.250%, 01/15/2029   80,000     68,058
3.500%, 03/01/2042   42,000     28,024
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
Charter Communications
Operating LLC (continued)
         
3.700%, 04/01/2051 $ 60,000   $ 37,107
3.850%, 04/01/2061   60,000     35,600
3.900%, 06/01/2052   140,000     89,035
4.800%, 03/01/2050   215,000     159,146
5.125%, 07/01/2049   95,000     73,611
5.750%, 04/01/2048   65,000     54,737
6.484%, 10/23/2045   20,000     18,536
6.834%, 10/23/2055   40,000     38,377
Comcast Corp.          
2.887%, 11/01/2051   115,000     74,649
3.750%, 04/01/2040   215,000     178,717
Cox Communications, Inc.
2.600%, 06/15/2031 (C)
  130,000     107,900
Discovery Communications LLC          
3.625%, 05/15/2030   65,000     58,134
4.000%, 09/15/2055   221,000     151,246
5.200%, 09/20/2047   93,000     78,137
5.300%, 05/15/2049   47,000     39,485
IHS Holding, Ltd.
6.250%, 11/29/2028 (C)
  200,000     174,800
Lamar Media Corp.
3.625%, 01/15/2031
  315,000     276,390
Paramount Global          
4.375%, 03/15/2043   75,000     50,898
5.250%, 04/01/2044   115,000     85,518
Sirius XM Radio, Inc.          
4.000%, 07/15/2028 (C)   165,000     150,954
4.125%, 07/01/2030 (C)   400,000     349,667
Time Warner Cable LLC          
4.500%, 09/15/2042   455,000     336,612
5.875%, 11/15/2040   65,000     56,304
T-Mobile USA, Inc.          
2.050%, 02/15/2028   150,000     134,401
3.875%, 04/15/2030   65,000     60,891
5.050%, 07/15/2033   85,000     84,077
5.750%, 01/15/2034   100,000     104,138
WarnerMedia Holdings, Inc.
5.050%, 03/15/2042
  35,000     30,082
WMG Acquisition Corp.          
3.000%, 02/15/2031 (C)   75,000     63,759
3.750%, 12/01/2029 (C)   85,000     76,166
3.875%, 07/15/2030 (C)   450,000     398,690
          3,902,714
Consumer discretionary – 1.0%          
AutoZone, Inc.          
4.750%, 08/01/2032 to 02/01/2033   115,000     111,466
6.550%, 11/01/2033   75,000     82,092
Hanesbrands, Inc.
4.875%, 05/15/2026 (C)
  50,000     48,681
Howard University          
2.701%, 10/01/2029   100,000     88,333
2.801%, 10/01/2030   100,000     87,364
3.476%, 10/01/2041   120,000     86,710
LKQ Corp.
5.750%, 06/15/2028
  60,000     61,061
O'Reilly Automotive, Inc.
4.700%, 06/15/2032
  135,000     131,934
Service Corp. International          
3.375%, 08/15/2030   335,000     290,125
5.125%, 06/01/2029   507,000     493,331
Tapestry, Inc.          
7.050%, 11/27/2025   40,000     40,823
7.350%, 11/27/2028   115,000     121,176
 
  134  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Tapestry, Inc. (continued)          
7.700%, 11/27/2030 $ 29,000   $ 30,926
Taylor Morrison Communities, Inc.          
5.125%, 08/01/2030 (C)   105,000     100,272
5.750%, 01/15/2028 (C)   302,000     299,887
The William Carter Company
5.625%, 03/15/2027 (C)
  105,000     104,287
          2,178,468
Consumer staples – 0.7%          
BAT Capital Corp.          
5.834%, 02/20/2031   200,000     201,716
6.000%, 02/20/2034   75,000     75,941
Minerva Luxembourg SA
4.375%, 03/18/2031
  245,000     204,831
NBM US Holdings, Inc.
7.000%, 05/14/2026 (C)
  220,000     220,878
Philip Morris International, Inc.          
4.875%, 02/15/2028   95,000     94,738
5.125%, 02/15/2030 to 02/13/2031   325,000     324,407
5.375%, 02/15/2033   140,000     141,150
5.625%, 11/17/2029 to 09/07/2033   145,000     148,392
Tyson Foods, Inc.          
5.400%, 03/15/2029   20,000     20,179
5.700%, 03/15/2034   75,000     75,989
          1,508,221
Energy – 2.9%          
Aker BP ASA
6.000%, 06/13/2033 (C)
  325,000     335,588
BP Capital Markets America, Inc.          
2.939%, 06/04/2051   15,000     10,014
4.812%, 02/13/2033   230,000     226,988
4.893%, 09/11/2033   130,000     129,094
4.989%, 04/10/2034   145,000     144,812
BP Capital Markets PLC
6.450%, (6.450% to 3-1-34, then 5 Year CMT + 2.403% to 3-1-54, then 5 Year CMT + 3.153%), 12/01/2033 (D)
  180,000     186,406
Cenovus Energy, Inc.
2.650%, 01/15/2032
  20,000     16,589
Cheniere Energy Partners LP
4.500%, 10/01/2029
  70,000     66,622
Cheniere Energy, Inc.
5.650%, 04/15/2034 (C)
  105,000     105,750
Columbia Pipelines Holding
Company LLC
         
5.681%, 01/15/2034 (C)   95,000     94,373
6.042%, 08/15/2028 (C)   160,000     163,491
Columbia Pipelines Operating
Company LLC
         
5.927%, 08/15/2030 (C)   90,000     92,337
6.036%, 11/15/2033 (C)   150,000     155,407
6.544%, 11/15/2053 (C)   95,000     102,925
ConocoPhillips Company          
3.800%, 03/15/2052   47,000     36,701
4.025%, 03/15/2062   65,000     51,512
5.050%, 09/15/2033   70,000     70,633
5.550%, 03/15/2054   55,000     56,685
5.700%, 09/15/2063   120,000     125,775
Diamondback Energy, Inc.
6.250%, 03/15/2033
  65,000     69,296
Ecopetrol SA          
4.625%, 11/02/2031   280,000     232,940
8.375%, 01/19/2036   295,000     297,779
8.625%, 01/19/2029   200,000     211,992
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
EIG Pearl Holdings Sarl
3.545%, 08/31/2036 (C)
$ 200,000   $ 170,554
Enbridge, Inc.          
2.500%, 08/01/2033   70,000     56,403
5.700%, 03/08/2033   295,000     302,125
Energo-Pro AS
8.500%, 02/04/2027 (C)
  315,000     317,920
Energy Transfer LP
6.400%, 12/01/2030
  260,000     274,449
EQM Midstream Partners LP
6.500%, 07/01/2027 (C)
  15,000     15,133
Equinor ASA
3.625%, 04/06/2040
  125,000     104,146
Hess Corp.          
7.125%, 03/15/2033   160,000     181,079
7.300%, 08/15/2031   95,000     107,501
Leviathan Bond, Ltd.
6.500%, 06/30/2027 (C)
  235,000     226,514
ONEOK, Inc.          
3.100%, 03/15/2030   10,000     8,942
3.400%, 09/01/2029   100,000     92,119
6.100%, 11/15/2032   80,000     83,815
Ovintiv, Inc.
6.625%, 08/15/2037
  95,000     99,171
Patterson-UTI Energy, Inc.          
5.150%, 11/15/2029   75,000     73,381
7.150%, 10/01/2033   100,000     107,504
Phillips 66 Company
5.300%, 06/30/2033
  170,000     171,053
Shell International Finance BV          
2.875%, 11/26/2041   55,000     40,846
3.000%, 11/26/2051   70,000     47,794
3.250%, 04/06/2050   75,000     54,446
Targa Resources Corp.          
6.150%, 03/01/2029   90,000     93,799
6.250%, 07/01/2052   50,000     51,902
Targa Resources Partners LP          
4.000%, 01/15/2032   65,000     58,506
4.875%, 02/01/2031   20,000     19,146
Viper Energy, Inc.
5.375%, 11/01/2027 (C)
  257,000     251,546
Western Midstream Operating LP          
4.750%, 08/15/2028   70,000     68,090
6.150%, 04/01/2033   115,000     117,911
          6,179,504
Financials – 9.6%          
ABN AMRO Bank NV
6.339%, (6.339% to 9-18-26, then 1 Year CMT + 1.650%), 09/18/2027 (C)
  200,000     203,432
Aon Corp.
5.350%, 02/28/2033
  75,000     75,406
Aon North America, Inc.
5.450%, 03/01/2034
  200,000     202,309
Athene Global Funding          
2.646%, 10/04/2031 (C)   225,000     183,579
2.717%, 01/07/2029 (C)   355,000     312,802
Athene Holding, Ltd.
5.875%, 01/15/2034
  115,000     115,229
Banca Comerciala Romana SA
7.625%, (7.625% to 5-19-26, then 3 month EURIBOR + 4.539%), 05/19/2027
EUR 100,000     113,425
 
  135  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Banca Transilvania SA
8.875%, (8.875% to 4-27-26, then 1 Year EURIBOR ICE Swap Rate + 5.580%), 04/27/2027
EUR 100,000   $ 114,250
Banco Santander SA          
5.538%, (5.538% to 3-14-29, then 1 Year CMT + 1.450%), 03/14/2030 $ 200,000     199,980
6.350%, 03/14/2034   200,000     200,144
Bank of America Corp.          
1.898%, (1.898% to 7-23-30, then Overnight SOFR + 1.530%), 07/23/2031   120,000     98,488
1.922%, (1.922% to 10-24-30, then Overnight SOFR + 1.370%), 10/24/2031   270,000     220,001
2.572%, (2.572% to 10-20-31, then Overnight SOFR + 1.210%), 10/20/2032   280,000     232,294
2.592%, (2.592% to 4-29-30, then Overnight SOFR + 2.150%), 04/29/2031   245,000     211,226
2.687%, (2.687% to 4-22-31, then Overnight SOFR + 1.320%), 04/22/2032   645,000     545,960
2.972%, (2.972% to 2-4-32, then Overnight SOFR + 1.330%), 02/04/2033   115,000     97,801
3.419%, (3.419% to 12-20-27, then 3 month CME Term SOFR + 1.302%), 12/20/2028   50,000     46,907
4.376%, (4.376% to 4-27-27, then Overnight SOFR + 1.580%), 04/27/2028   135,000     131,786
5.202%, (5.202% to 4-25-28, then Overnight SOFR + 1.630%), 04/25/2029   70,000     70,066
5.468%, (5.468% to 1-23-34, then Overnight SOFR + 1.650%), 01/23/2035   95,000     95,619
5.933%, (5.933% to 9-15-26, then Overnight SOFR + 1.340%), 09/15/2027   260,000     263,485
Bank of Ireland Group PLC          
5.601%, (5.601% to 3-20-29, then Overnight SOFR + 1.620%), 03/20/2030 (C)   315,000     314,609
6.253%, (6.253% to 9-16-25, then 1 Year CMT + 2.650%), 09/16/2026 (C)   345,000     346,987
Barclays PLC          
5.690%, (5.690% to 3-12-29, then Overnight SOFR + 1.740%), 03/12/2030   250,000     251,302
9.625%, (9.625% to 6-15-30, then 5 Year SOFR ICE Swap Rate + 5.775%), 12/15/2029 (D)   225,000     238,590
BNP Paribas SA
5.894%, (5.894% to 12-5-33, then Overnight SOFR + 1.866%), 12/05/2034 (C)
  250,000     261,397
BPCE SA          
6.714%, (6.714% to 10-19-28, then Overnight SOFR + 2.270%), 10/19/2029 (C)   500,000     523,104
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
BPCE SA (continued)          
7.003%, (7.003% to 10-19-33, then Overnight SOFR + 2.590%), 10/19/2034 (C) $ 340,000   $ 370,110
Capital One Financial Corp.          
1.878%, (1.878% to 11-2-26, then Overnight SOFR + 0.855%), 11/02/2027   185,000     169,249
3.273%, (3.273% to 3-1-29, then Overnight SOFR + 1.790%), 03/01/2030   175,000     157,649
5.247%, (5.247% to 7-26-29, then Overnight SOFR + 2.600%), 07/26/2030   75,000     73,814
7.624%, (7.624% to 10-30-30, then Overnight SOFR + 3.070%), 10/30/2031   205,000     226,422
Citigroup, Inc.
5.174%, (5.174% to 2-13-29, then Overnight SOFR + 1.364%), 02/13/2030
  285,000     283,670
Citizens Financial Group, Inc.
5.841%, (5.841% to 1-23-29, then Overnight SOFR + 2.010%), 01/23/2030
  80,000     79,885
Corebridge Financial, Inc.          
3.850%, 04/05/2029   75,000     70,123
5.750%, 01/15/2034   170,000     173,432
6.050%, 09/15/2033 (C)   35,000     36,054
Credit Agricole SA          
5.134%, 03/11/2027 (C)   250,000     250,164
6.251%, (6.251% to 1-10-34, then Overnight SOFR + 2.670%), 01/10/2035 (C)   250,000     254,106
Deutsche Bank AG
6.819%, (6.819% to 11-20-28, then Overnight SOFR + 2.510%), 11/20/2029
  160,000     167,265
Discover Financial Services
7.964%, (7.964% to 11-2-33, then SOFR Compounded Index + 3.370%), 11/02/2034
  80,000     90,616
Equitable Financial Life Global Funding
1.800%, 03/08/2028 (C)
  315,000     277,364
Equitable Holdings, Inc.
4.350%, 04/20/2028
  120,000     116,258
Fifth Third Bancorp
5.631%, (5.631% to 1-29-31, then Overnight SOFR + 1.840%), 01/29/2032
  25,000     25,026
FirstCash, Inc.          
4.625%, 09/01/2028 (C)   250,000     235,304
5.625%, 01/01/2030 (C)   220,000     209,059
GA Global Funding Trust
5.500%, 01/08/2029 (C)
  190,000     190,718
GTP Acquisition Partners I LLC
3.482%, 06/16/2025 (C)
  730,000     711,808
HSBC Holdings PLC          
2.206%, (2.206% to 8-17-28, then Overnight SOFR + 1.285%), 08/17/2029   410,000     359,335
5.402%, (5.402% to 8-11-32, then Overnight SOFR + 2.870%), 08/11/2033   265,000     264,248
 
  136  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
HSBC Holdings PLC (continued)          
5.887%, (5.887% to 8-14-26, then Overnight SOFR + 1.570%), 08/14/2027 $ 200,000   $ 201,750
Huntington Bancshares, Inc.
6.208%, (6.208% to 8-21-28, then Overnight SOFR + 2.020%), 08/21/2029
  35,000     35,823
JPMorgan Chase & Co.          
2.545%, (2.545% to 11-8-31, then Overnight SOFR + 1.180%), 11/08/2032   115,000     95,692
2.580%, (2.580% to 4-22-31, then 3 month CME Term SOFR + 1.250%), 04/22/2032   110,000     92,998
3.509%, (3.509% to 1-23-28, then 3 month CME Term SOFR + 1.207%), 01/23/2029   210,000     198,646
3.702%, (3.702% to 5-6-29, then 3 month CME Term SOFR + 1.422%), 05/06/2030   65,000     60,898
4.005%, (4.005% to 4-23-28, then 3 month CME Term SOFR + 1.382%), 04/23/2029   315,000     301,934
5.299%, (5.299% to 7-24-28, then Overnight SOFR + 1.450%), 07/24/2029   175,000     176,300
5.336%, (5.336% to 1-23-34, then Overnight SOFR + 1.620%), 01/23/2035   300,000     301,172
6.070%, (6.070% to 10-22-26, then Overnight SOFR + 1.330%), 10/22/2027   115,000     117,338
M&T Bank Corp.          
5.053%, (5.053% to 1-27-33, then Overnight SOFR + 1.850%), 01/27/2034   320,000     297,500
7.413%, (7.413% to 10-30-28, then Overnight SOFR + 2.800%), 10/30/2029   170,000     179,293
Macquarie Airfinance Holdings, Ltd.          
6.400%, 03/26/2029 (C)   25,000     25,396
6.500%, 03/26/2031 (C)   25,000     25,446
Manufacturers & Traders Trust Company
4.700%, 01/27/2028
  250,000     240,876
Marsh & McLennan Companies, Inc.
4.750%, 03/15/2039
  70,000     66,416
mBank SA
0.966%, (0.966% to 9-21-26, then 3 month EURIBOR + 1.250%), 09/21/2027
EUR 100,000     96,670
Metropolitan Life Global Funding I
2.400%, 01/11/2032 (C)
$ 500,000     411,628
Morgan Stanley          
1.794%, (1.794% to 2-13-31, then Overnight SOFR + 1.034%), 02/13/2032   170,000     135,895
1.928%, (1.928% to 4-28-31, then Overnight SOFR + 1.020%), 04/28/2032   200,000     160,531
2.239%, (2.239% to 7-21-31, then Overnight SOFR + 1.178%), 07/21/2032   185,000     151,124
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Morgan Stanley (continued)          
4.210%, (4.210% to 4-20-27, then Overnight SOFR + 1.610%), 04/20/2028 $ 155,000   $ 150,618
5.164%, (5.164% to 4-20-28, then Overnight SOFR + 1.590%), 04/20/2029   165,000     164,867
5.449%, (5.449% to 7-20-28, then Overnight SOFR + 1.630%), 07/20/2029   55,000     55,482
6.407%, (6.407% to 11-1-28, then Overnight SOFR + 1.830%), 11/01/2029   515,000     540,010
MSCI, Inc.
3.625%, 11/01/2031 (C)
  192,000     166,632
National Rural Utilities Cooperative Finance Corp.
5.800%, 01/15/2033
  100,000     104,044
New Mountain Finance Corp.
6.875%, 02/01/2029
  60,000     59,368
OTP Bank NYRT          
7.350%, (7.350% to 3-4-25, then 3 month EURIBOR + 4.523%), 03/04/2026 EUR 185,000     203,579
7.500%, (7.500% to 5-25-26, then 1 Year CMT + 3.711%), 05/25/2027 $ 200,000     205,520
Principal Life Global Funding II
5.100%, 01/25/2029 (C)
  140,000     139,621
Societe Generale SA
6.221%, (6.221% to 6-15-32, then 1 Year CMT + 3.200%), 06/15/2033 (C)
  565,000     566,099
Standard Chartered PLC          
7.018%, (7.018% to 2-8-29, then 1 Year CMT + 2.200%), 02/08/2030 (C)   220,000     232,817
7.767%, (7.767% to 11-16-27, then 1 Year CMT + 3.450%), 11/16/2028 (C)   200,000     213,954
The Bank of New York Mellon Corp.          
4.975%, (4.975% to 3-14-29, then Overnight SOFR + 1.085%), 03/14/2030   75,000     75,065
5.188%, (5.188% to 3-14-34, then Overnight SOFR + 1.418%), 03/14/2035   100,000     99,538
6.317%, (6.317% to 10-25-28, then Overnight SOFR + 1.598%), 10/25/2029   245,000     258,532
The Goldman Sachs Group, Inc.          
2.383%, (2.383% to 7-21-31, then Overnight SOFR + 1.248%), 07/21/2032   280,000     229,700
2.615%, (2.615% to 4-22-31, then Overnight SOFR + 1.281%), 04/22/2032   310,000     260,168
4.223%, (4.223% to 5-1-28, then 3 month CME Term SOFR + 1.563%), 05/01/2029   50,000     48,127
4.482%, (4.482% to 8-23-27, then Overnight SOFR + 1.725%), 08/23/2028   65,000     63,546
The Huntington National Bank
5.650%, 01/10/2030
  250,000     251,396
 
  137  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
The PNC Financial Services Group, Inc.          
5.676%, (5.676% to 1-22-34, then Overnight SOFR + 1.902%), 01/22/2035 $ 75,000   $ 75,683
6.037%, (6.037% to 10-28-32, then SOFR Compounded Index + 2.140%), 10/28/2033   70,000     72,372
UBS Group AG          
6.246%, (6.246% to 9-22-28, then 1 Year CMT + 1.800%), 09/22/2029 (C)   200,000     206,342
6.442%, (6.442% to 8-11-27, then Overnight SOFR + 3.700%), 08/11/2028 (C)   250,000     257,383
6.537%, (6.537% to 8-12-32, then Overnight SOFR + 3.920%), 08/12/2033 (C)   520,000     548,231
Wells Fargo & Company          
2.572%, (2.572% to 2-11-30, then 3 month CME Term SOFR + 1.262%), 02/11/2031   385,000     331,876
2.879%, (2.879% to 10-30-29, then 3 month CME Term SOFR + 1.432%), 10/30/2030   50,000     44,200
3.350%, (3.350% to 3-2-32, then Overnight SOFR + 1.500%), 03/02/2033   250,000     216,907
4.808%, (4.808% to 7-25-27, then Overnight SOFR + 1.980%), 07/25/2028   110,000     108,385
4.897%, (4.897% to 7-25-32, then Overnight SOFR + 2.100%), 07/25/2033   200,000     192,731
5.499%, (5.499% to 1-23-34, then Overnight SOFR + 1.780%), 01/23/2035   110,000     110,259
5.574%, (5.574% to 7-25-28, then Overnight SOFR + 1.740%), 07/25/2029   405,000     409,800
6.491%, (6.491% to 10-23-33, then Overnight SOFR + 2.060%), 10/23/2034   75,000     80,443
Willis North America, Inc.
3.600%, 05/15/2024
  115,000     114,658
          20,693,136
Health care – 2.0%          
AbbVie, Inc.          
4.950%, 03/15/2031   70,000     70,500
5.400%, 03/15/2054   30,000     30,879
Alcon Finance Corp.
2.600%, 05/27/2030 (C)
  285,000     246,066
Amgen, Inc.
5.250%, 03/02/2030 to 03/02/2033
  380,000     383,536
Avantor Funding, Inc.
4.625%, 07/15/2028 (C)
  375,000     355,355
Bayer US Finance LLC
6.375%, 11/21/2030 (C)
  240,000     245,402
Bristol-Myers Squibb Company          
5.200%, 02/22/2034   95,000     96,456
5.550%, 02/22/2054   80,000     82,271
Centene Corp.          
2.450%, 07/15/2028   100,000     88,671
3.375%, 02/15/2030   5,000     4,425
4.250%, 12/15/2027   50,000     47,674
4.625%, 12/15/2029   585,000     555,387
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
CommonSpirit Health
3.347%, 10/01/2029
$ 60,000   $ 55,026
CVS Health Corp.          
2.700%, 08/21/2040   90,000     62,481
4.125%, 04/01/2040   85,000     71,605
Haleon US Capital LLC
3.375%, 03/24/2029
  250,000     232,506
HCA, Inc.          
3.375%, 03/15/2029   205,000     187,985
5.450%, 04/01/2031   20,000     20,104
5.600%, 04/01/2034   150,000     151,038
Humana, Inc.          
5.375%, 04/15/2031   70,000     70,038
5.750%, 12/01/2028   30,000     30,742
Kaiser Foundation Hospitals          
2.810%, 06/01/2041   45,000     33,210
3.002%, 06/01/2051   110,000     76,209
Royalty Pharma PLC          
2.150%, 09/02/2031   315,000     253,872
2.200%, 09/02/2030   10,000     8,308
3.300%, 09/02/2040   25,000     18,631
Smith & Nephew PLC
5.400%, 03/20/2034
  65,000     64,679
Solventum Corp.
5.400%, 03/01/2029 (C)
  185,000     185,373
The Cigna Group
5.000%, 05/15/2029
  240,000     240,342
UnitedHealth Group, Inc.          
2.750%, 05/15/2040   110,000     80,943
3.500%, 08/15/2039   70,000     57,663
4.950%, 05/15/2062   30,000     28,015
5.350%, 02/15/2033   55,000     56,583
5.375%, 04/15/2054   175,000     177,984
6.050%, 02/15/2063   30,000     32,988
          4,402,947
Industrials – 2.5%          
AGCO Corp.          
5.450%, 03/21/2027   25,000     25,112
5.800%, 03/21/2034   35,000     35,437
Ashtead Capital, Inc.          
4.375%, 08/15/2027 (C)   605,000     580,362
5.800%, 04/15/2034 (C)   200,000     199,797
BAE Systems PLC
5.125%, 03/26/2029 (C)
  200,000     200,692
Booz Allen Hamilton, Inc.
3.875%, 09/01/2028 (C)
  340,000     318,492
Builders FirstSource, Inc.
5.000%, 03/01/2030 (C)
  225,000     214,691
Clean Harbors, Inc.
4.875%, 07/15/2027 (C)
  620,000     601,401
DAE Funding LLC
1.550%, 08/01/2024 (C)
  435,000     427,864
ERAC USA Finance LLC
5.000%, 02/15/2029 (C)
  35,000     35,058
Ingersoll Rand, Inc.
5.700%, 08/14/2033
  55,000     56,421
International Airport Finance SA
12.000%, 03/15/2033 (C)
  314,282     333,139
L3Harris Technologies, Inc.          
5.050%, 06/01/2029   130,000     129,585
5.350%, 06/01/2034   150,000     150,001
Northrop Grumman Corp.
5.150%, 05/01/2040
  95,000     93,069
Otis Worldwide Corp.
2.565%, 02/15/2030
  120,000     105,517
 
  138  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
Penske Truck Leasing Company LP          
2.700%, 11/01/2024 (C) $ 205,000   $ 201,368
4.000%, 07/15/2025 (C)   170,000     166,473
5.350%, 03/30/2029 (C)   35,000     35,024
6.050%, 08/01/2028 (C)   50,000     51,444
Regal Rexnord Corp.          
6.050%, 04/15/2028 (C)   365,000     370,024
6.300%, 02/15/2030 (C)   40,000     40,948
SS&C Technologies, Inc.
5.500%, 09/30/2027 (C)
  532,000     520,167
The Boeing Company          
5.040%, 05/01/2027   20,000     19,623
5.150%, 05/01/2030   170,000     164,476
5.805%, 05/01/2050   15,000     14,192
5.930%, 05/01/2060   170,000     159,381
United Rentals North America, Inc.          
4.000%, 07/15/2030   35,000     31,852
5.500%, 05/15/2027   32,000     31,905
Veralto Corp.
5.350%, 09/18/2028 (C)
  135,000     136,752
Wabtec Corp.
5.611%, 03/11/2034
  30,000     30,388
          5,480,655
Information technology – 1.9%          
Black Knight InfoServ LLC
3.625%, 09/01/2028 (C)
  499,000     471,555
Cisco Systems, Inc.          
4.950%, 02/26/2031   105,000     105,927
5.350%, 02/26/2064   70,000     71,740
Constellation Software, Inc.          
5.158%, 02/16/2029 (C)   10,000     9,989
5.461%, 02/16/2034 (C)   80,000     80,522
Fair Isaac Corp.
4.000%, 06/15/2028 (C)
  386,000     360,545
Gartner, Inc.
4.500%, 07/01/2028 (C)
  193,000     183,853
Gen Digital, Inc.          
5.000%, 04/15/2025 (C)   360,000     357,829
6.750%, 09/30/2027 (C)   220,000     223,150
Go Daddy Operating Company LLC          
3.500%, 03/01/2029 (C)   55,000     49,604
5.250%, 12/01/2027 (C)   454,000     443,999
Intel Corp.          
3.100%, 02/15/2060   60,000     38,105
5.150%, 02/21/2034   100,000     100,228
5.600%, 02/21/2054   20,000     20,378
5.700%, 02/10/2053   45,000     46,518
5.900%, 02/10/2063   40,000     42,438
Marvell Technology, Inc.
2.450%, 04/15/2028
  175,000     157,785
Open Text Corp.          
3.875%, 12/01/2029 (C)   590,000     525,690
6.900%, 12/01/2027 (C)   240,000     248,158
Open Text Holdings, Inc.
4.125%, 12/01/2031 (C)
  60,000     52,655
Oracle Corp.          
2.950%, 04/01/2030   10,000     8,898
3.850%, 04/01/2060   380,000     270,453
4.100%, 03/25/2061   95,000     71,339
6.150%, 11/09/2029   170,000     179,169
Qorvo, Inc.
3.375%, 04/01/2031 (C)
  120,000     103,202
          4,223,729
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Materials – 1.1%          
Ball Corp.
6.000%, 06/15/2029
$ 735,000   $ 741,983
Celanese US Holdings LLC          
6.165%, 07/15/2027   190,000     193,517
6.330%, 07/15/2029   110,000     114,065
6.550%, 11/15/2030   115,000     120,959
Corp. Nacional del Cobre de Chile
6.440%, 01/26/2036 (C)
  200,000     205,886
Eastman Chemical Company
5.625%, 02/20/2034
  105,000     105,582
Glencore Funding LLC          
5.371%, 04/04/2029 (C)   85,000     85,169
5.634%, 04/04/2034 (C)   195,000     195,521
6.375%, 10/06/2030 (C)   210,000     221,612
Rio Tinto Alcan, Inc.
6.125%, 12/15/2033
  115,000     123,635
Standard Industries, Inc.          
3.375%, 01/15/2031 (C)   10,000     8,385
4.375%, 07/15/2030 (C)   410,000     368,404
          2,484,718
Real estate – 0.7%          
American Tower Corp.          
2.700%, 04/15/2031   30,000     25,397
3.800%, 08/15/2029   115,000     107,325
Crown Castle, Inc.          
2.900%, 03/15/2027   110,000     102,887
3.800%, 02/15/2028   5,000     4,734
4.300%, 02/15/2029   50,000     47,928
4.800%, 09/01/2028   255,000     250,023
5.000%, 01/11/2028   90,000     89,052
5.600%, 06/01/2029   85,000     86,141
GLP Capital LP          
5.300%, 01/15/2029   70,000     68,830
5.750%, 06/01/2028   130,000     130,096
SBA Tower Trust
2.836%, 01/15/2025 (C)
  300,000     292,808
VICI Properties LP          
4.625%, 12/01/2029 (C)   50,000     47,286
4.950%, 02/15/2030   232,000     224,357
WEA Finance LLC
3.500%, 06/15/2029 (C)
  5,000     4,417
          1,481,281
Utilities – 4.8%          
Alabama Power Company          
3.450%, 10/01/2049   120,000     88,700
4.150%, 08/15/2044   105,000     88,591
Ameren Corp.
5.000%, 01/15/2029
  320,000     318,249
Arizona Public Service Company          
5.550%, 08/01/2033   55,000     55,619
6.350%, 12/15/2032   110,000     117,395
Cleco Corporate Holdings LLC          
3.375%, 09/15/2029   90,000     78,512
4.973%, 05/01/2046   5,000     4,175
Consolidated Edison Company of New
York, Inc.
         
3.200%, 12/01/2051   120,000     82,543
5.500%, 03/15/2034   55,000     56,817
Dominion Energy, Inc.          
3.375%, 04/01/2030   115,000     104,511
5.375%, 11/15/2032   415,000     417,357
6.300%, 03/15/2033   5,000     5,267
Duke Energy Corp.          
2.550%, 06/15/2031   425,000     357,857
4.500%, 08/15/2032   140,000     132,714
 
  139  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
Duke Energy Corp. (continued)          
4.850%, 01/05/2029 $ 215,000   $ 212,971
5.000%, 08/15/2052   40,000     36,207
Duke Energy Indiana LLC          
2.750%, 04/01/2050   80,000     50,697
3.250%, 10/01/2049   105,000     73,858
Duke Energy Ohio, Inc.
5.550%, 03/15/2054
  60,000     59,844
Duke Energy Progress LLC          
3.700%, 10/15/2046   125,000     96,006
4.000%, 04/01/2052   65,000     51,576
Edison International          
4.125%, 03/15/2028   40,000     38,378
5.250%, 11/15/2028   115,000     114,595
6.950%, 11/15/2029   305,000     326,756
Emera, Inc.
6.750%, (6.750% to 6-15-26, then 3 month LIBOR + 5.440% to 6-15-46, then 3 month LIBOR + 6.190%), 06/15/2076
  90,000     88,886
Evergy, Inc.
2.900%, 09/15/2029
  175,000     156,312
Eversource Energy          
5.125%, 05/15/2033   260,000     254,759
5.500%, 01/01/2034   85,000     85,009
5.950%, 02/01/2029   150,000     154,779
Georgia Power Company          
4.300%, 03/15/2042   75,000     65,339
5.250%, 03/15/2034   65,000     65,656
Greenko Power II, Ltd.
4.300%, 12/13/2028
  216,000     197,677
Greensaif Pipelines Bidco Sarl          
6.129%, 02/23/2038 (C)   200,000     203,363
6.510%, 02/23/2042 (C)   200,000     207,847
IPALCO Enterprises, Inc.
3.700%, 09/01/2024
  175,000     174,942
KeySpan Gas East Corp.
5.994%, 03/06/2033 (C)
  130,000     131,746
Monongahela Power Company
5.850%, 02/15/2034 (C)
  75,000     77,022
NextEra Energy Capital Holdings, Inc.          
1.875%, 01/15/2027   125,000     114,461
2.250%, 06/01/2030   145,000     123,463
4.625%, 07/15/2027   135,000     133,118
Niagara Mohawk Power Corp.
5.290%, 01/17/2034 (C)
  190,000     186,976
NiSource, Inc.          
3.490%, 05/15/2027   155,000     147,843
5.250%, 03/30/2028   80,000     80,550
5.350%, 04/01/2034   130,000     129,296
5.400%, 06/30/2033   165,000     166,327
Oglethorpe Power Corp.
4.500%, 04/01/2047
  80,000     66,553
Ohio Edison Company
5.500%, 01/15/2033 (C)
  90,000     89,793
Oncor Electric Delivery Company LLC
5.650%, 11/15/2033
  115,000     119,627
Pacific Gas & Electric Company          
2.500%, 02/01/2031   430,000     357,579
4.400%, 03/01/2032   40,000     36,849
4.550%, 07/01/2030   140,000     133,073
5.250%, 03/01/2052   62,000     55,325
5.450%, 06/15/2027   25,000     25,072
5.900%, 06/15/2032   100,000     101,708
6.100%, 01/15/2029   220,000     226,705
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
Pacific Gas &
Electric Company (continued)
         
6.150%, 01/15/2033 $ 175,000   $ 180,380
6.400%, 06/15/2033   255,000     268,500
Public Service Electric & Gas Company
5.450%, 03/01/2054
  85,000     87,648
Public Service Enterprise Group, Inc.          
5.200%, 04/01/2029   55,000     55,042
5.450%, 04/01/2034   35,000     35,065
6.125%, 10/15/2033   135,000     141,713
Puget Energy, Inc.          
2.379%, 06/15/2028   130,000     115,943
3.650%, 05/15/2025   180,000     175,765
4.100%, 06/15/2030   67,000     61,152
4.224%, 03/15/2032   8,000     7,255
Sempra          
3.400%, 02/01/2028   45,000     42,519
5.400%, 08/01/2026   125,000     125,361
Southern California Edison Company          
5.150%, 06/01/2029   110,000     110,452
5.200%, 06/01/2034   215,000     212,845
5.750%, 04/15/2054   55,000     55,786
5.875%, 12/01/2053   60,000     61,836
5.950%, 11/01/2032   50,000     52,432
Southern California Gas Company          
5.200%, 06/01/2033   110,000     110,113
5.600%, 04/01/2054   205,000     205,130
Southern Company Gas Capital Corp.
5.750%, 09/15/2033
  35,000     36,231
Southwestern Electric Power Company
5.300%, 04/01/2033
  100,000     98,793
The Brooklyn Union Gas Company
6.388%, 09/15/2033 (C)
  170,000     175,614
The Southern Company
5.200%, 06/15/2033
  205,000     204,841
Virginia Electric & Power Company          
2.450%, 12/15/2050   43,000     25,250
5.000%, 04/01/2033 to 01/15/2034   320,000     314,801
5.350%, 01/15/2054   50,000     49,011
Wisconsin Power and Light Company
5.375%, 03/30/2034
  75,000     75,499
Xcel Energy, Inc.
4.600%, 06/01/2032
  85,000     79,930
          10,291,757
TOTAL CORPORATE BONDS (Cost $63,855,536)     $ 62,827,130
MUNICIPAL BONDS – 1.5%          
Chicago Board of Education (Illinois), GO
6.138%, 12/01/2039
  155,000     145,445
Chicago Board of Education (Illinois), GO
6.319%, 11/01/2029
  120,000     119,186
Chicago Transit Authority (Illinois)
3.912%, 12/01/2040
  90,000     77,697
County of Riverside (California)
3.070%, 02/15/2028
  600,000     567,931
Metropolitan Transportation Authority (New York)
4.750%, 11/15/2045
  255,000     262,475
Metropolitan Transportation Authority (New York)
5.175%, 11/15/2049
  315,000     292,076
 
  140  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
MUNICIPAL BONDS (continued)          
Municipal Electric Authority of Georgia
6.637%, 04/01/2057
$ 89,000   $ 102,516
New York Transportation Development Corp.
4.248%, 09/01/2035
  565,000     547,925
Philadelphia Authority for Industrial Development (Pennsylvania)
6.550%, 10/15/2028
  675,000     724,762
State Board of Administration Finance Corp. (Florida)
1.258%, 07/01/2025
  510,000     486,218
TOTAL MUNICIPAL BONDS (Cost $3,577,822)   $ 3,326,231
COLLATERALIZED MORTGAGE OBLIGATIONS – 12.3%      
Commercial and residential – 8.7%          
Alternative Loan Trust          
Series 2005-27, Class 2A1 (12 month Treasury Average Index + 1.350%),
6.439%, 08/25/2035 (E)
  97,021     76,556
Series 2005-56, Class 5A1 (1 month CME Term SOFR + 0.754%),
6.084%, 11/25/2035 (E)
  48,457     38,828
Series 2005-72, Class A1 (1 month CME Term SOFR + 0.654%),
5.984%, 01/25/2036 (E)
  12,646     11,002
Series 2005-7CB, Class 2A8 (1 month CME Term SOFR + 0.564%),
5.500%, 03/01/2038 (E)
  84,859     62,239
Series 2006-9T1, Class A1,
5.750%, 05/25/2036
  63,501     24,085
American Home Mortgage Assets Trust          
Series 2006-3, Class 2A11 (12 month Treasury Average Index + 0.940%),
6.029%, 10/25/2046 (E)
  29,693     19,572
Series 2007-2, Class A1 (1 month CME Term SOFR + 0.239%),
5.569%, 03/25/2047 (E)
  10,895     9,511
Angel Oak Mortgage Trust LLC          
Series 2020-R1, Class A1,
0.990%, 04/25/2053 (C)(F)
  85,331     78,083
Series 2021-2, Class A1,
0.985%, 04/25/2066 (C)(F)
  127,718     105,522
Series 2021-4, Class A2,
1.241%, 01/20/2065 (C)(F)
  121,857     99,054
Series 2021-5, Class A1,
0.951%, 07/25/2066 (C)(F)
  296,501     248,789
Series 2021-6, Class A1,
1.458%, 09/25/2066 (C)(F)
  447,222     363,655
Series 2021-8, Class A1,
1.820%, 11/25/2066 (C)(F)
  214,558     184,521
Arroyo Mortgage Trust
Series 2019-2, Class A1
3.347%, 04/25/2049 (C)(F)
  147,178     137,790
BANK          
Series 2017-BNK8, Class XA IO,
0.710%, 11/15/2050
  3,659,551     76,260
Series 2019-BN18, Class XA IO,
0.885%, 05/15/2062
  1,395,801     50,542
Series 2019-BN20, Class XA IO,
0.810%, 09/15/2062
  2,197,411     77,965
Series 2019-BN22, Class XA IO,
0.590%, 11/15/2062
  2,415,290     66,465
Series 2019-BN23, Class XA IO,
0.685%, 12/15/2052
  1,905,049     60,568
Series 2019-BN24, Class XA IO,
0.634%, 11/15/2062
  1,171,232     36,348
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
BANK (continued)          
Series 2020-BN28, Class XA IO,
1.759%, 03/15/2063
$ 2,527,898   $ 221,084
Series 2023-BNK45, Class XA IO,
0.995%, 02/15/2056
  995,538     62,392
BBCMS Mortgage Trust          
Series 2017-C1, Class XA IO,
1.454%, 02/15/2050
  2,837,790     93,781
Series 2022-C15, Class A5,
3.662%, 04/15/2055 (F)
  110,000     99,241
Series 2022-C16, Class A5,
4.600%, 06/15/2055 (F)
  120,000     116,433
Series 2022-C18, Class A4,
5.439%, 12/15/2055 (F)
  150,000     154,284
Series 2022-C18, Class A5,
5.710%, 12/15/2055 (F)
  50,000     52,299
Series 2023-C22, Class A5,
6.804%, 11/15/2056 (F)
  185,000     209,124
Series 2024-C24, Class A5,
5.419%, 02/15/2057
  180,000     185,155
Series 2024-C24, Class XA,
1.626%, 02/15/2057 (F)
  999,690     109,492
BCAP LLC Trust
Series 2006-AA2, Class A1 (1 month CME Term SOFR + 0.454%)
5.784%, 01/25/2037 (E)
  72,924     64,731
Bear Stearns ALT-A Trust
Series 2005-10, Class 11A1 (1 month CME Term SOFR + 0.614%)
5.944%, 01/25/2036 (E)
  64,405     58,191
Bear Stearns Mortgage Funding Trust
Series 2006-AR3, Class 1A1 (1 month CME Term SOFR + 0.474%)
5.804%, 10/25/2036 (E)
  6,178     5,115
Benchmark Mortgage Trust          
Series 2018-B1, Class XA IO,
0.519%, 01/15/2051
  921,632     14,235
Series 2018-B4, Class XA IO,
0.455%, 07/15/2051
  2,115,013     29,841
Series 2018-B8, Class XA IO,
0.619%, 01/15/2052
  4,425,257     97,669
Series 2019-B10, Class XA IO,
1.189%, 03/15/2062
  2,660,533     132,669
Series 2019-B12, Class XA IO,
1.024%, 08/15/2052
  1,048,107     34,788
Series 2020-B18, Class XA IO,
1.780%, 07/15/2053
  677,885     42,299
Series 2020-B22, Class XA IO,
1.511%, 01/15/2054
  1,157,424     89,198
BINOM Securitization Trust
Series 2021-INV1, Class A1
2.034%, 06/25/2056 (C)(F)
  142,146     122,550
BPR Trust
Series 2022-STAR, Class A (1 month CME Term SOFR + 3.232%)
8.557%, 08/15/2039 (C)(E)
  275,000     275,678
BRAVO Residential Funding Trust          
Series 2021-NQM1, Class A1,
0.941%, 02/25/2049 (C)(F)
  79,197     69,968
Series 2021-NQM2, Class A1,
0.970%, 03/25/2060 (C)(F)
  63,035     58,617
 
  141  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
BX Trust          
Series 2022-PSB, Class A (1 month CME Term SOFR + 2.451%),
7.776%, 08/15/2039 (C)(E)
$ 243,953   $ 245,477
Series 2024-PAT, Class B (1 month CME Term SOFR + 3.039%),
8.289%, 03/15/2026 (C)(E)
  39,000     38,976
CAMB Commercial Mortgage Trust
Series 2019-LIFE, Class F (1 month CME Term SOFR + 2.847%)
8.173%, 12/15/2037 (C)(E)
  355,000     352,338
Chase Mortgage Finance Trust
Series 2005-S3, Class A10
5.500%, 11/25/2035
  84,781     60,527
CHL Mortgage Pass-Through Trust          
Series 2005-2, Class 2A3 (1 month CME Term SOFR + 0.794%),
6.124%, 03/25/2035 (E)
  21,728     19,543
Series 2007-HY4, Class 1A1,
4.428%, 09/25/2047 (F)
  52,563     45,325
Citigroup Commercial Mortgage Trust          
Series 2014-GC23, Class XA IO,
0.880%, 07/10/2047
  1,372,101     382
Series 2015-GC29, Class XA IO,
1.011%, 04/10/2048
  1,532,009     10,560
Series 2016-C3, Class C,
4.061%, 11/15/2049 (F)
  288,000     234,639
COLT Mortgage Loan Trust
Series 2021-3, Class A1
0.956%, 09/27/2066 (C)(F)
  620,306     497,622
Commercial Mortgage Trust (Cantor
Fitzgerald/Deutsche Bank AG)
         
Series 2014-CR16, Class A4,
4.051%, 04/10/2047
  179,377     178,985
Series 2014-CR17, Class A5,
3.977%, 05/10/2047
  244,597     244,092
Commercial Mortgage Trust (Deutsche
Bank AG)
         
Series 2013-300P, Class A1,
4.353%, 08/10/2030 (C)
  260,000     244,471
Series 2015-3BP, Class A,
3.178%, 02/10/2035 (C)
  580,000     543,050
Series 2022-HC, Class A,
2.819%, 01/10/2039 (C)
  100,000     90,287
Series 2022-HC, Class D,
3.896%, 01/10/2039 (C)(F)
  100,000     86,289
Credit Suisse Mortgage
Capital Certificates
         
Series 2017-FHA1, Class A1,
3.250%, 04/25/2047 (C)(F)
  143,836     129,551
Series 2021-NQM2, Class A1,
1.179%, 02/25/2066 (C)(F)
  260,287     225,087
Series 2021-NQM8, Class A1,
1.841%, 10/25/2066 (C)(F)
  227,134     196,959
Series 2021-RPL4, Class A1,
1.796%, 12/27/2060 (C)(F)
  132,602     128,568
Series 2022-NQM1, Class A1,
2.265%, 11/25/2066 (C)(F)
  564,207     492,127
CSAIL Commercial Mortgage Trust          
Series 2015-C1, Class A4,
3.505%, 04/15/2050
  15,000     14,712
Series 2015-C2, Class XA IO,
0.707%, 06/15/2057
  4,473,280     17,812
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
CSAIL Commercial
Mortgage Trust (continued)
         
Series 2016-C6, Class XA IO,
1.856%, 01/15/2049
$ 1,015,834   $ 27,358
DBJPM Mortgage Trust
Series 2020-C9, Class XA IO
1.704%, 09/15/2053
  523,396     28,264
DC Trust          
Series 2024-HLTN, Class A,
5.727%, 04/13/2028 (C)(F)
  90,000     90,179
Series 2024-HLTN, Class C,
7.036%, 04/13/2028 (C)(F)
  45,000     45,103
Deephaven Residential Mortgage Trust
Series 2021-2, Class A1
0.899%, 04/25/2066 (C)(F)
  80,858     69,546
Deutsche Alt-A Securities Mortgage Loan Trust
Series 2007-AR2, Class A1 (1 month CME Term SOFR + 0.414%)
5.744%, 03/25/2037 (E)
  33,963     29,640
Ellington Financial Mortgage Trust          
Series 2021-2, Class A1,
0.931%, 06/25/2066 (C)(F)
  86,626     69,557
Series 2022-1, Class A1,
2.206%, 01/25/2067 (C)(F)
  253,003     214,598
GCAT Trust          
Series 2021-NQM2, Class A1,
1.036%, 05/25/2066 (C)(F)
  172,664     141,824
Series 2021-NQM3, Class A1,
1.091%, 05/25/2066 (C)(F)
  229,888     190,584
Series 2021-NQM7, Class A1,
1.915%, 08/25/2066 (C)(F)
  159,495     138,673
GMACM Mortgage Loan Trust
Series 2006-AR1, Class 1A1
3.643%, 04/19/2036 (F)
  93,109     72,409
GS Mortgage Securities Trust
Series 2024-70P, Class B
5.507%, 03/10/2041 (C)(F)
  295,000     292,385
GSR Mortgage Loan Trust          
Series 2006-AR1, Class 2A1,
4.713%, 01/25/2036 (F)
  2,590     2,345
Series 2007-1F, Class 4A1 (1 month CME Term SOFR + 0.414%),
5.744%, 01/25/2037 (E)
  73,369     16,855
HarborView Mortgage Loan Trust          
Series 2005-8, Class 1A2A (1 month CME Term SOFR + 0.774%),
6.101%, 09/19/2035 (E)
  18,995     12,323
Series 2006-12, Class 2A13 (1 month CME Term SOFR + 0.594%),
5.921%, 12/19/2036 (E)
  112,203     104,968
Series 2006-12, Class 2A2A (1 month CME Term SOFR + 0.494%),
5.821%, 01/19/2038 (E)
  40,400     34,992
Series 2007-7, Class 2A1B (1 month CME Term SOFR + 2.114%),
6.444%, 10/25/2037 (E)
  42,499     34,241
Imperial Fund Mortgage Trust          
Series 2021-NQM2, Class A1,
1.073%, 09/25/2056 (C)(F)
  176,980     144,022
Series 2022-NQM2, Class A1 (3.638% to 3-25-26, then 4.638% thereafter),
3.638%, 03/25/2067 (C)
  545,259     505,096
 
  142  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
IndyMac INDA Mortgage Loan Trust
Series 2006-AR3, Class 1A1
4.222%, 12/25/2036 (F)
$ 29,970   $ 23,202
JPMorgan Chase Commercial Mortgage Securities Trust
Series 2020-NNN, Class AFX
2.812%, 01/16/2037 (C)
  160,000     136,148
JPMorgan Mortgage Trust
Series 2006-A3, Class 3A2
4.294%, 05/25/2036 (F)
  6,000     4,796
Legacy Mortgage Asset Trust          
Series 2021-GS2, Class A1 (1.750% to 4-25-24, then 4.750% to 4-25-25, then 5.750% thereafter),
1.750%, 04/25/2061 (C)
  130,221     126,196
Series 2021-GS3, Class A1 (1.750% to 5-25-24, then 4.750% to 5-25-25, then 5.750% thereafter),
1.750%, 07/25/2061 (C)
  172,169     166,473
Series 2021-GS4, Class A1 (1.650% to 8-25-24, then 4.650% to 8-25-25, then 5.650% thereafter),
1.650%, 11/25/2060 (C)
  87,738     84,859
Lehman XS Trust
Series 2006-16N, Class A4A (1 month CME Term SOFR + 0.494%)
5.824%, 11/25/2046 (E)
  97,074     82,686
Luminent Mortgage Trust
Series 2006-4, Class A1A (1 month CME Term SOFR + 0.494%)
5.824%, 05/25/2046 (E)
  88,713     72,156
MASTR Adjustable Rate Mortgages Trust
Series 2004-13, Class 3A7
5.371%, 11/21/2034 (F)
  10,356     9,652
MFA Trust          
Series 2020-NQM3, Class A1,
1.014%, 01/26/2065 (C)(F)
  22,337     20,302
Series 2021-NQM1, Class A1,
1.153%, 04/25/2065 (C)(F)
  92,579     84,117
Series 2021-NQM2, Class A1,
1.029%, 11/25/2064 (C)(F)
  128,883     110,789
Morgan Stanley Bank of America Merrill Lynch Trust
Series 2014-C19, Class XA IO
0.950%, 12/15/2047
  825,844     1,277
Morgan Stanley Capital I Trust          
Series 2014-150E, Class A,
3.912%, 09/09/2032 (C)
  610,000     534,183
Series 2017-H1, Class XA IO,
1.304%, 06/15/2050
  634,305     16,131
New Residential Mortgage Loan Trust          
Series 2016-2A, Class A1,
3.750%, 11/26/2035 (C)(F)
  135,996     127,146
Series 2016-4A, Class A1,
3.750%, 11/25/2056 (C)(F)
  155,165     143,977
Series 2017-4A, Class A1,
4.000%, 05/25/2057 (C)(F)
  137,145     129,395
Series 2017-5A, Class A1 (1 month CME Term SOFR + 1.614%),
6.944%, 06/25/2057 (C)(E)
  123,309     123,319
Series 2018-1A, Class A1A,
4.000%, 12/25/2057 (C)(F)
  101,872     96,392
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
New Residential Mortgage
Loan Trust (continued)
         
Series 2018-4A, Class A1S (1 month CME Term SOFR + 0.864%),
6.194%, 01/25/2048 (C)(E)
$ 157,607   $ 152,742
Series 2019-5A, Class A1B,
3.500%, 08/25/2059 (C)(F)
  142,597     132,039
Series 2019-NQM4, Class A1,
2.492%, 09/25/2059 (C)(F)
  38,480     35,431
Series 2021-NQ2R, Class A1,
0.941%, 10/25/2058 (C)(F)
  72,439     65,720
NJ Trust
Series 2023-GSP, Class A
6.481%, 01/06/2029 (C)(F)
  225,000     235,111
NMLT Trust
Series 2021-INV1, Class A1
1.185%, 05/25/2056 (C)(F)
  370,438     305,968
OBX Trust          
Series 2021-NQM1, Class A1,
1.072%, 02/25/2066 (C)(F)
  241,447     204,887
Series 2021-NQM3, Class A1,
1.054%, 07/25/2061 (C)(F)
  228,795     177,478
Series 2022-NQM1, Class A1,
2.305%, 11/25/2061 (C)(F)
  455,934     391,013
PRPM LLC          
Series 2020-6, Class A1 (5.363% to 11-25-24, then 6.363% thereafter),
5.363%, 11/25/2025 (C)
  58,874     58,673
Series 2021-3, Class A1 (1.867% to 4-25-24, then 4.867% to 4-25-25, then 5.867% thereafter),
1.867%, 04/25/2026 (C)
  133,810     131,490
Series 2021-4, Class A1 (1.867% to 4-25-24, then 4.867% to 4-25-25, then 5.867% thereafter),
1.867%, 04/25/2026 (C)
  232,654     226,896
Series 2021-9, Class A1 (2.363% to 10-25-24, then 5.363% to 10-25-25, then 6.363% thereafter),
2.363%, 10/25/2026 (C)
  395,958     385,855
RALI Series Trust
Series 2007-QH7, Class 1A1 (1 month CME Term SOFR + 0.614%)
5.944%, 08/25/2037 (E)
  30,742     27,649
Seasoned Credit Risk Transfer Trust
Series 2019-3, Class MV
3.500%, 10/25/2058
  111,085     99,980
SG Commercial Mortgage Securities Trust
Series 2020-COVE, Class A
2.632%, 03/15/2037 (C)
  645,000     589,413
SG Residential Mortgage Trust
Series 2021-1, Class A1
1.160%, 07/25/2061 (C)(F)
  325,896     261,394
Starwood Mortgage Residential Trust          
Series 2021-1, Class A1,
1.219%, 05/25/2065 (C)(F)
  177,748     154,983
Series 2021-2, Class A1,
0.943%, 05/25/2065 (C)(F)
  61,919     55,915
Series 2021-6, Class A1,
1.920%, 11/25/2066 (C)(F)
  347,405     290,143
 
  143  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Toorak Mortgage Corp., Ltd.
Series 2021-1, Class A1
3.240%, 06/25/2024 (C)
$ 149,875   $ 148,291
Towd Point Mortgage Trust
Series 2021-R1, Class A1
2.918%, 11/30/2060 (C)(F)
  578,481     492,008
TYSN Mortgage Trust
Series 2023-CRNR, Class A
6.580%, 12/10/2033 (C)(F)
  410,000     428,466
Verus Securitization Trust          
Series 2021-2, Class A1,
1.031%, 02/25/2066 (C)(F)
  96,659     83,355
Series 2021-8, Class A1,
1.824%, 11/25/2066 (C)(F)
  241,134     206,305
Series 2021-R2, Class A1,
0.918%, 02/25/2064 (C)(F)
  108,810     96,216
Series 2022-1, Class A1 (2.724% to 1-25-26, then 3.724% thereafter),
2.724%, 01/25/2067 (C)
  345,204     310,700
Series 2022-3, Class A1 (4.130% to 3-1-26, then 5.130% thereafter),
4.130%, 02/25/2067 (C)
  79,212     74,146
WaMu Mortgage Pass-Through Certificates
Series 2007-HY6, Class 1A1
3.811%, 06/25/2037 (F)
  10,872     9,155
Washington Mutual Mortgage Pass-Through Certificates
Series 2006-5, Class 1A1 (1 month CME Term SOFR + 0.714%)
6.000%, 07/25/2036 (E)
  16,327     10,739
Wells Fargo Commercial Mortgage Trust          
Series 2014-LC16, Class A5,
3.817%, 08/15/2050
  161,054     159,996
Series 2015-NXS1, Class D,
4.140%, 05/15/2048 (F)
  40,000     34,375
Series 2015-NXS1, Class XA IO,
1.056%, 05/15/2048
  1,311,638     6,999
Series 2015-NXS3, Class XA IO,
0.870%, 09/15/2057
  2,462,267     24,320
          18,749,577
U.S. Government Agency – 3.6%          
Federal Home Loan Mortgage Corp.          
Series 2021-DNA6, Class B1 (30 day Average SOFR + 3.400%),
8.720%, 10/25/2041 (C)(E)
  205,000     212,111
Series 2021-DNA7, Class B1 (30 day Average SOFR + 3.650%),
8.970%, 11/25/2041 (C)(E)
  194,000     201,994
Series 2022-DNA3, Class M1B (30 day Average SOFR + 2.900%),
8.220%, 04/25/2042 (C)(E)
  168,000     173,679
Series 2022-DNA4, Class M1B (30 day Average SOFR + 3.350%),
8.670%, 05/25/2042 (C)(E)
  235,000     245,492
Series 2022-DNA5, Class M1B (30 day Average SOFR + 4.500%),
9.820%, 06/25/2042 (C)(E)
  285,000     308,187
Series 2022-DNA6, Class M1B (30 day Average SOFR + 3.700%),
9.020%, 09/25/2042 (C)(E)
  200,000     211,988
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
Series 2022-HQA1, Class M1B (30 day Average SOFR + 3.500%),
8.820%, 03/25/2042 (C)(E)
$ 55,000   $ 57,338
Series 2022-HQA2, Class M1B (30 day Average SOFR + 4.000%),
9.320%, 07/25/2042 (C)(E)
  180,000     191,350
Series 2022-HQA3, Class M1B (30 day Average SOFR + 3.550%),
8.870%, 08/25/2042 (C)(E)
  70,000     73,429
Series 2023-DNA2, Class M1B (30 day Average SOFR + 3.250%),
8.570%, 04/25/2043 (C)(E)
  150,000     157,225
Series 2023-HQA1, Class M1B (30 day Average SOFR + 3.500%),
8.820%, 05/25/2043 (C)(E)
  445,000     469,530
Series 2023-HQA2, Class M1B (30 day Average SOFR + 3.350%),
8.670%, 06/25/2043 (C)(E)
  510,000     539,503
Series 3883, Class PB,
3.000%, 05/15/2041
  49,067     45,995
Series 5055, Class DG,
1.500%, 12/25/2050
  398,042     311,692
Series 5170, Class DP,
2.000%, 07/25/2050
  395,231     333,132
Series K064, Class X1 IO,
0.595%, 03/25/2027
  2,091,482     30,736
Series K068, Class A2,
3.244%, 08/25/2027
  545,000     520,999
Series K104, Class X1 IO,
1.123%, 01/25/2030
  1,295,192     66,268
Series K111, Class X1 IO,
1.570%, 05/25/2030
  547,643     41,477
Series K114, Class X1 IO,
1.115%, 06/25/2030
  1,593,778     88,540
Series K121, Class X1 IO,
1.021%, 10/25/2030
  841,856     43,045
Series K122, Class X1 IO,
0.878%, 11/25/2030
  475,277     21,497
Series K124, Class X1 IO,
0.718%, 12/25/2030
  1,902,086     73,118
Federal National Mortgage Association          
Series 2012-18, Class GA,
2.000%, 12/25/2041
  51,147     46,396
Series 2012-21, Class PQ,
2.000%, 09/25/2041
  29,345     26,847
Series 2012-52, Class PA,
3.500%, 05/25/2042
  46,727     44,069
Series 2015-48, Class QB,
3.000%, 02/25/2043
  56,074     53,747
Series 2016-11, Class GA,
2.500%, 03/25/2046
  75,312     67,935
Series 2016-38, Class NA,
3.000%, 01/25/2046
  39,213     35,664
Series 2016-C07, Class 2M2 (30 day Average SOFR + 4.464%),
9.785%, 05/25/2029 (E)
  140,873     148,235
Series 2017-16, Class PB,
3.000%, 03/25/2047
  270,000     225,166
Series 2017-26, Class CG,
3.500%, 07/25/2044
  39,965     38,790
Series 2017-34, Class JK,
3.000%, 05/25/2047
  28,289     27,072
 
  144  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal National
Mortgage Association (continued)
         
Series 2017-35, Class AH,
3.500%, 04/25/2053
$ 50,334   $ 49,092
Series 2017-49, Class JA,
4.000%, 07/25/2053
  51,796     50,617
Series 2017-84, Class KA,
3.500%, 04/25/2053
  60,041     57,955
Series 2017-C01, Class 1M2 (30 day Average SOFR + 3.664%),
8.985%, 07/25/2029 (E)
  80,952     83,886
Series 2018-23, Class LA,
3.500%, 04/25/2048
  109,186     101,345
Series 2018-70, Class HA,
3.500%, 10/25/2056
  75,207     72,119
Series 2019-12, Class HA,
3.500%, 11/25/2057
  127,989     120,086
Series 2019-14, Class CA,
3.500%, 04/25/2049
  133,161     125,412
Series 2019-45, Class PT,
3.000%, 08/25/2049
  119,188     105,949
Series 2019-HRP1, Class M2 (30 day Average SOFR + 2.264%),
7.585%, 11/25/2039 (C)(E)
  40,556     40,854
Series 2021-R01, Class 1B1 (30 day Average SOFR + 3.100%),
8.420%, 10/25/2041 (C)(E)
  80,000     82,297
Series 2022-90, Class AY,
4.500%, 12/25/2041
  640,000     604,492
Series 2022-R01, Class 1B1 (30 day Average SOFR + 3.150%),
8.470%, 12/25/2041 (C)(E)
  188,000     193,141
Series 2022-R02, Class 2B1 (30 day Average SOFR + 4.500%),
9.820%, 01/25/2042 (C)(E)
  395,000     415,134
Series 2022-R08, Class 1M1 (30 day Average SOFR + 2.550%),
7.870%, 07/25/2042 (C)(E)
  68,981     70,803
Series 2023-R05, Class 1M2 (30 day Average SOFR + 3.100%),
8.421%, 06/25/2043 (C)(E)
  144,000     151,216
Series 2023-R06, Class 1M2 (30 day Average SOFR + 2.700%),
8.020%, 07/25/2043 (C)(E)
  150,000     155,228
Series 2024-R02, Class 1B1 (30 day Average SOFR + 2.500%),
7.820%, 02/25/2044 (C)(E)
  75,000     75,469
Series 2024-R02, Class 1M2 (30 day Average SOFR + 1.800%),
7.120%, 02/25/2044 (C)(E)
  88,000     88,303
Series 415, Class A3,
3.000%, 11/25/2042
  96,564     87,692
Government National
Mortgage Association
         
Series 2006-38, Class XS IO,
1.809%, 09/16/2035
  11,112     102
Series 2013-37, Class LG,
2.000%, 01/20/2042
  48,128     45,543
          7,908,981
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $29,258,110)   $ 26,658,558
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES – 10.4%      
AASET Trust
Series 2020-1A, Class A
3.351%, 01/16/2040 (C)
$ 103,183   $ 92,185
ABFC Trust
Series 2006-HE1, Class A2D (1 month CME Term SOFR + 0.554%)
5.884%, 01/25/2037 (E)
  88,307     48,999
Affirm Asset Securitization Trust
Series 2023-A, Class 1A
6.610%, 01/18/2028 (C)
  185,000     186,123
Aligned Data Centers Issuer LLC
Series 2023-1A, Class A2
6.000%, 08/17/2048 (C)
  265,000     264,934
American Credit Acceptance Receivables Trust
Series 2023-3, Class B
6.090%, 11/12/2027 (C)
  155,000     155,407
AmeriCredit Automobile Receivables Trust
Series 2019-3, Class D
2.580%, 09/18/2025
  239,954     239,567
ARI Fleet Lease Trust
Series 2023-A, Class A2
5.410%, 02/17/2032 (C)
  300,087     299,377
Avant Loans Funding Trust
Series 2021-REV1, Class A
1.210%, 07/15/2030 (C)
  6,858     6,849
Avis Budget Rental Car Funding
Aesop LLC
         
Series 2023-7A, Class A
5.900%, 08/21/2028 (C)
  175,000     178,136
Series 2024-3A, Class B
5.580%, 12/20/2030 (C)
  100,000     99,744
Avis Budget Rental Car Funding AESOP LLC
Series 2024-1A, Class A
5.360%, 06/20/2030 (C)
  145,000     145,718
Battalion CLO XXV, Ltd.
Series 2024-25A, Class B (3 month CME Term SOFR + 2.200%)
7.472%, 03/13/2037 (C)(E)
  395,000     394,860
Benefit Street Partners CLO XXXI, Ltd.
Series 2023-31A, Class B1 (3 month CME Term SOFR + 2.350%)
7.675%, 04/25/2036 (C)(E)
  270,000     271,417
BlueMountain CLO XXIV, Ltd.
Series 2019-24A, Class AR (3 month CME Term SOFR + 1.362%)
6.679%, 04/20/2034 (C)(E)
  415,000     415,035
Carvana Auto Receivables Trust
Series 2022-P2, Class A3
4.130%, 04/12/2027
  389,310     384,079
CF Hippolyta Issuer LLC          
Series 2020-1, Class A1
1.690%, 07/15/2060 (C)
  104,128     97,351
Series 2020-1, Class A2
1.990%, 07/15/2060 (C)
  126,766     108,962
Series 2022-1A, Class A1
5.970%, 08/15/2062 (C)
  100,644     98,112
Chesapeake Funding II LLC
Series 2023-1A, Class A1
5.650%, 05/15/2035 (C)
  251,246     251,515
CNH Equipment Trust
Series 2023-A, Class A4
4.770%, 10/15/2030
  85,000     84,213
 
  145  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
CPS Auto Receivables Trust
Series 2023-B, Class A
5.910%, 08/16/2027 (C)
$ 270,156   $ 270,302
Credit Acceptance Auto Loan Trust
Series 2024-1A, Class A
5.680%, 03/15/2034 (C)
  180,000     180,709
DLLAA LLC
Series 2023-1A, Class A3
5.640%, 02/22/2028 (C)
  135,000     136,332
Domino's Pizza Master Issuer LLC          
Series 2018-1A, Class A2I
4.116%, 07/25/2048 (C)
  350,575     341,034
Series 2019-1A, Class A2
3.668%, 10/25/2049 (C)
  168,000     154,511
Series 2021-1A, Class A2I
2.662%, 04/25/2051 (C)
  598,087     531,946
DT Auto Owner Trust          
Series 2023-1A, Class B
5.190%, 10/16/2028 (C)
  120,000     119,253
Series 2023-2A, Class B
5.410%, 02/15/2029 (C)
  135,000     134,268
Elmwood CLO, Ltd.          
Series 2022-6A, Class BR (3 month CME Term SOFR + 2.400%)
7.717%, 10/17/2036 (C)(E)
  365,000     368,396
Series 2023-2A, Class B (3 month CME Term SOFR + 2.250%)
7.564%, 04/16/2036 (C)(E)
  250,000     251,390
Enterprise Fleet Financing LLC          
Series 2023-1, Class A3
5.420%, 10/22/2029 (C)
  185,000     185,635
Series 2024-1, Class A3
5.160%, 09/20/2030 (C)
  75,000     74,804
Exeter Automobile Receivables Trust          
Series 2019-4A, Class D
2.580%, 09/15/2025 (C)
  94,780     94,253
Series 2020-1A, Class D
2.730%, 12/15/2025 (C)
  46,501     46,064
Series 2022-4A, Class B
4.570%, 01/15/2027
  130,498     130,094
Series 2022-6A, Class B
6.030%, 08/16/2027
  75,000     75,045
First Franklin Mortgage Loan Trust
Series 2006-FF12, Class A5 (1 month CME Term SOFR + 0.424%)
5.754%, 09/25/2036 (E)
  168,440     155,687
FirstKey Homes Trust          
Series 2022-SFR1, Class A
4.145%, 05/19/2039 (C)
  138,985     134,775
Series 2022-SFR2, Class A
4.250%, 07/17/2039 (C)
  571,494     552,786
Flagship Credit Auto Trust          
Series 2022-3, Class B
4.690%, 07/17/2028 (C)
  239,000     235,270
Series 2023-1, Class B
5.050%, 01/18/2028 (C)
  66,000     65,319
GLS Auto Receivables Issuer Trust
Series 2022-3A, Class B
4.920%, 01/15/2027 (C)
  45,000     44,690
Golub Capital Partners CLO 68B, Ltd.
Series 2023-68A, Class B (3 month CME Term SOFR + 2.800%)
8.125%, 07/25/2036 (C)(E)
  250,000     252,527
GSAA Home Equity Trust          
Series 2006-10, Class AF3
5.985%, 06/25/2036 (F)
  134,447     34,237
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
GSAA Home Equity Trust (continued)          
Series 2006-15, Class AF6
6.376%, 09/25/2036
$ 336,330   $ 84,006
Series 2006-20, Class 2A1A (1 month CME Term SOFR + 0.214%)
5.544%, 12/25/2046 (E)
  175,736     85,549
GSAA Trust
Series 2005-7, Class AF4
5.558%, 05/25/2035
  140,627     132,452
GSAMP Trust
Series 2007-FM2, Class A2B (1 month CME Term SOFR + 0.204%)
5.534%, 01/25/2037 (E)
  173,670     102,138
Hertz Vehicle Financing III LLC
Series 2023-3A, Class A
5.940%, 02/25/2028 (C)
  475,000     482,033
HPS Loan Management, Ltd.
Series 2024-19A, Class A1 (3 month CME Term SOFR + 1.570%)
6.874%, 04/15/2037 (C)(E)
  580,000     580,104
Invesco US CLO, Ltd.
Series 2023-2A, Class B (3 month CME Term SOFR + 2.300%)
7.618%, 04/21/2036 (C)(E)
  250,000     250,653
Madison Park Funding LXVII, Ltd.
Series 2024-67A, Class A1 (3 month CME Term SOFR + 1.510%)
6.808%, 04/25/2037 (C)(E)
  420,000     420,289
MF1, Ltd.
Series 2022-FL8, Class AS (1 month CME Term SOFR + 1.750%)
7.076%, 02/19/2037 (C)(E)
  335,000     328,925
MFA LLC
Series 2021-NPL1, Class A1 (5.363% to 3-25-25, then 6.363% thereafter)
5.363%, 03/25/2060 (C)
  188,019     186,191
Navient Private Education Refi
Loan Trust
         
Series 2021-EA, Class A
0.970%, 12/16/2069 (C)
  145,324     125,612
Series 2021-FA, Class A
1.110%, 02/18/2070 (C)
  208,531     178,046
Series 2023-A, Class A
5.510%, 10/15/2071 (C)
  267,366     268,456
New Economy Assets Phase 1 Sponsor LLC
Series 2021-1, Class A1
1.910%, 10/20/2061 (C)
  310,000     271,480
NRZ Excess Spread-Collateralized Notes
Series 2020-PLS1, Class A
3.844%, 12/25/2025 (C)
  33,889     32,484
OCP CLO, Ltd.
Series 2024-32A, Class A1 (3 month CME Term SOFR + 1.520%)
6.818%, 04/23/2037 (C)(E)
  415,000     415,073
Octagon, Ltd.
Series 2023-2A, Class B (3 month CME Term SOFR + 2.350%)
7.668%, 04/20/2036 (C)(E)
  270,000     270,565
Pretium Mortgage Credit Partners LLC          
Series 2021-NPL3, Class A1 (1.868% to 7-25-24, then 4.868% to 7-25-25, then 5.868% thereafter)
1.868%, 07/25/2051 (C)
  177,073     170,852
 
  146  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Pretium Mortgage Credit
Partners LLC (continued)
         
Series 2021-NPL6, Class A1 (2.487% to 11-25-24, then 5.487% to 11-25-25, then 6.487% thereafter)
2.487%, 07/25/2051 (C)
$ 113,223   $ 110,460
Series 2022-NPL1, Class A1 (2.981% to 12-25-24, then 5.981% to 12-25-25, then 6.981% thereafter)
2.981%, 01/25/2052 (C)
  374,594     364,049
Progress Residential Trust          
Series 2021-SFR8, Class A
1.510%, 10/17/2038 (C)
  392,042     356,362
Series 2022-SFR3, Class A
3.200%, 04/17/2039 (C)
  132,843     125,047
Series 2022-SFR5, Class A
4.451%, 06/17/2039 (C)
  103,471     100,857
Series 2022-SFR6, Class A
4.451%, 07/20/2039 (C)
  624,093     608,656
Series 2022-SFR7, Class A
4.750%, 10/27/2039 (C)
  163,848     161,056
Retained Vantage Data Centers Issuer LLC
Series 2023-1A, Class A2A
5.000%, 09/15/2048 (C)
  395,000     381,807
RR 23, Ltd.
Series 2022-23A, Class A2R (3 month CME Term SOFR + 2.650%)
7.964%, 10/15/2035 (C)(E)
  520,000     524,526
Santander Drive Auto Receivables Trust          
Series 2023-1, Class B
4.980%, 02/15/2028
  140,000     139,038
Series 2023-3, Class B
5.610%, 07/17/2028
  235,000     235,534
Securitized Asset Backed Receivables LLC Trust
Series 2006-HE1, Class A2B (1 month CME Term SOFR + 0.294%)
5.624%, 07/25/2036 (E)
  117,113     40,493
SFS Auto Receivables Securitization Trust
Series 2023-1A, Class B
5.710%, 01/22/2030 (C)
  115,000     116,172
Sound Point CLO XXIX, Ltd.
Series 2021-1A, Class A (3 month CME Term SOFR + 1.332%)
6.656%, 04/25/2034 (C)(E)
  655,000     654,158
Soundview Home Loan Trust
Series 2007-OPT2, Class 2A3 (1 month CME Term SOFR + 0.294%)
5.624%, 07/25/2037 (E)
  21,376     18,777
Stack Infrastructure Issuer LLC          
Series 2023-2A, Class A2
5.900%, 07/25/2048 (C)
  225,000     224,211
Series 2024-1A, Class A2
5.900%, 03/25/2049 (C)
  120,000     120,347
Summit Issuer LLC
Series 2020-1A, Class A2
2.290%, 12/20/2050 (C)
  155,000     144,500
Taco Bell Funding LLC
Series 2021-1A, Class A2II
2.294%, 08/25/2051 (C)
  878,355     762,807
Texas Debt Capital CLO, Ltd.
Series 2023-1A, Class B (3 month CME Term SOFR + 2.300%)
7.618%, 04/20/2036 (C)(E)
  300,000     300,970
Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Texas Natural Gas Securitization Finance Corp.
Series 2023-1, Class A1
5.102%, 04/01/2035
$ 280,000   $ 282,449
THL Credit Wind River CLO, Ltd.
Series 2020-1A, Class A (3 month CME Term SOFR + 1.692%)
7.009%, 10/20/2033 (C)(E)
  520,000     520,136
Tricolor Auto Securitization Trust
Series 2023-1A, Class A
6.480%, 08/17/2026 (C)
  45,303     45,311
Tricon Residential Trust
Series 2022-SFR2, Class A
4.849%, 07/17/2040 (C)
  373,915     369,136
VCAT LLC          
Series 2021-NPL2, Class A1 (5.115% to 3-25-25, then 6.115% thereafter)
5.115%, 03/27/2051 (C)
  47,518     47,019
Series 2021-NPL3, Class A1 (1.743% to 5-25-24, then 4.473% to 5-25-25, then 5.743% thereafter)
1.743%, 05/25/2051 (C)
  172,480     167,068
Venture 42 CLO, Ltd.
Series 2021-42A, Class A1A (3 month CME Term SOFR + 1.392%)
6.706%, 04/15/2034 (C)(E)
  655,000     654,981
Vericrest Opportunity Loan Transferee          
Series 2021-CF1, Class A1 (1.992% to 8-25-24, then 4.992% to 8-25-25, then 5.992% thereafter)
1.992%, 08/25/2051 (C)
  221,212     212,836
Series 2021-NP11, Class A1 (1.868% to 7-25-24, then 4.868% to 7-25-25, then 5.868% thereafter)
1.868%, 08/25/2051 (C)
  307,508     296,064
Series 2021-NPL3, Class A1 (5.240% to 1-25-25, then 6.240% thereafter)
5.240%, 02/27/2051 (C)
  168,379     164,525
Wellfleet CLO X, Ltd.
Series 2019-XA, Class A1R (3 month CME Term SOFR + 1.432%)
6.749%, 07/20/2032 (C)(E)
  519,216     518,697
Wendy's Funding LLC
Series 2018-1A, Class A2II
3.884%, 03/15/2048 (C)
  220,298     207,878
Westlake Automobile Receivables Trust          
Series 2020-3A, Class D
1.650%, 02/17/2026 (C)
  145,068     143,579
Series 2022-2A, Class B
4.310%, 09/15/2027 (C)
  270,000     267,636
Series 2023-1A, Class B
5.410%, 01/18/2028 (C)
  75,000     74,806
Wingstop Funding LLC
Series 2020-1A, Class A2
2.841%, 12/05/2050 (C)
  197,000     178,785
World Omni Auto Receivables Trust
Series 2023-A, Class B
5.030%, 05/15/2029
  125,000     124,232
TOTAL ASSET BACKED SECURITIES (Cost $23,000,343)     $ 22,541,783
 
  147  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 2.1%      
Repurchase agreement – 2.1%          
Deutsche Bank Tri-Party Repurchase Agreement dated 3-28-24 at 5.320% to be repurchased at $4,602,719 on 4-1-24, collateralized by $4,745,000 U.S. Treasury Bills, 0.000% due 6-13-24 (valued at $4,692,046) $ 4,600,000   $ 4,600,000
TOTAL SHORT-TERM INVESTMENTS (Cost $4,600,000)   $ 4,600,000
Total Investments (Investment Quality Bond Trust)
(Cost $292,667,711) – 125.5%
  $ 271,876,074
Other assets and liabilities, net – (25.5%)       (55,276,403)
TOTAL NET ASSETS – 100.0%       $ 216,599,671
Currency Abbreviations
BRL Brazilian Real
EUR Euro
Security Abbreviations and Legend
CME CME Group Published Rates
CMT Constant Maturity Treasury
EURIBOR Euro Interbank Offered Rate
Investment Quality Bond Trust (continued)
GO General Obligation
ICE Intercontinental Exchange
IO Interest-Only Security - (Interest Tranche of Stripped Mortgage Pool). Rate shown is the annualized yield at the end of the period.
LIBOR London Interbank Offered Rate
SOFR Secured Overnight Financing Rate
TBA To Be Announced. A forward mortgage-backed securities trade issued by a U.S. Government Agency, to be delivered at an agreed-upon future settlement date.
(A) All or a portion of this security is segregated at the custodian as collateral for certain derivatives.
(B) Security purchased or sold on a when-issued or delayed delivery basis.
(C) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration. Rule 144A securities amounted to $63,433,987 or 29.3% of the fund's net assets as of 3-31-24.
(D) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(E) Variable rate obligation. The coupon rate shown represents the rate at period end.
(F) Variable or floating rate security, the interest rate of which adjusts periodically based on a weighted average of interest rates and prepayments on the underlying pool of assets. The interest rate shown is the current rate as of period end.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
2-Year U.S. Treasury Note Futures 10 Long Jun 2024 $2,043,763 $2,044,844 $1,081
5-Year U.S. Treasury Note Futures 66 Long Jun 2024 7,044,091 7,063,031 18,940
10-Year U.S. Treasury Note Futures 113 Short Jun 2024 (12,508,417) (12,520,047) (11,630)
Euro-Buxl Futures 4 Short Jun 2024 (573,880) (586,031) (12,151)
German Euro BUND Futures 16 Short Jun 2024 (2,283,611) (2,302,352) (18,741)
U.K. Long Gilt Bond Futures 9 Short Jun 2024 (1,132,519) (1,135,253) (2,734)
U.S. Treasury Long Bond Futures 17 Short Jun 2024 (2,024,303) (2,047,438) (23,135)
Ultra 10-Year U.S. Treasury Note Futures 44 Short Jun 2024 (5,016,219) (5,042,813) (26,594)
Ultra U.S. Treasury Bond Futures 85 Short Jun 2024 (10,857,827) (10,965,000) (107,173)
            $(182,137)
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
FORWARD FOREIGN CURRENCY CONTRACTS
Contract to buy Contract to sell Counterparty (OTC) Contractual
settlement
date
Unrealized
appreciation
Unrealized
depreciation
EUR 223,000  USD 245,053  NWM 6/18/2024  —  $(3,731)
USD 935,460  BRL 4,715,000  GSI 6/20/2024  $2,315  — 
USD 3,953,795  EUR 3,592,000  BNP 6/20/2024  66,332  — 
            $68,647  $(3,731)
    
SWAPS
Interest rate swaps
Counterparty (OTC)/
Centrally cleared
Notional
amount
Currency Payments
made
Payments
received
Fixed
payment
frequency
Floating
payment
frequency
Maturity
date
Unamortized
upfront
payment paid
(received)
Unrealized
appreciation
(depreciation)
Value
Centrally cleared 1,187,000 USD Fixed 1.560% USD Compounded SOFR Annual Annual Dec 2041 $(5,884) $363,330 $357,446
Centrally cleared 1,320,000 USD Fixed 1.560% USD Compounded SOFR Annual Annual Dec 2051 (7,631) 498,309 490,678
Centrally cleared 380,000 USD Fixed 2.880% USD Compounded SOFR Annual Annual Mar 2053 4,323 46,979 51,302
Centrally cleared 1,105,000 USD Fixed 2.970% USD Compounded SOFR Annual Annual Mar 2053 649 131,007 131,656
  148  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Investment Quality Bond Trust (continued)
Interest rate swaps (continued)
Counterparty (OTC)/
Centrally cleared
Notional
amount
Currency Payments
made
Payments
received
Fixed
payment
frequency
Floating
payment
frequency
Maturity
date
Unamortized
upfront
payment paid
(received)
Unrealized
appreciation
(depreciation)
Value
Centrally cleared 370,000 USD Fixed 3.250% USD Compounded SOFR Annual Annual Jun 2053 $(3,953) $35,206 $31,253
                $(12,496) $1,074,831 $1,062,335
Derivatives Currency Abbreviations
BRL Brazilian Real
EUR Euro
USD U.S. Dollar
Derivatives Abbreviations
BNP BNP Paribas
GSI Goldman Sachs International
NWM NatWest Markets PLC
OTC Over-the-counter
SOFR Secured Overnight Financing Rate
Lifestyle Balanced Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 100.0%      
Equity - 50.9%      
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (B) 27,041,835   $ 501,626,035
Fixed income - 49.1%      
Select Bond, Series NAV, JHVIT (MIM US) (B) 41,340,529     483,684,189
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $1,024,070,924)   $ 985,310,224
SHORT-TERM INVESTMENTS - 0.0%      
Short-term funds - 0.0%          
John Hancock Collateral Trust, 5.2975% (C)(D) 2     21
TOTAL SHORT-TERM INVESTMENTS (Cost $21)   $ 21
Total Investments (Lifestyle Balanced Portfolio) (Cost $1,024,070,945) - 100.0%     $ 985,310,245
Other assets and liabilities, net - (0.0%)       (22,135)
TOTAL NET ASSETS - 100.0%       $ 985,288,110
Security Abbreviations and Legend
JHVIT John Hancock Variable Insurance Trust
MIM US Manulife Investment Management (US) LLC
(A) The underlying portfolios' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor.
Lifestyle Conservative Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 100.0%      
Equity - 20.0%      
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (B) 1,745,876   $ 32,386,000
Fixed income - 80.0%      
Select Bond, Series NAV, JHVIT (MIM US) (B) 11,072,137     129,544,000
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $180,769,738)   $ 161,930,000
Lifestyle Conservative Portfolio (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS - 0.0%      
Short-term funds - 0.0%          
John Hancock Collateral Trust, 5.2975% (C)(D) 217   $ 2,172
TOTAL SHORT-TERM INVESTMENTS (Cost $2,173)   $ 2,172
Total Investments (Lifestyle Conservative Portfolio) (Cost $180,771,911) - 100.0%     $ 161,932,172
Other assets and liabilities, net - (0.0%)       (19,573)
TOTAL NET ASSETS - 100.0%       $ 161,912,599
Security Abbreviations and Legend
JHVIT John Hancock Variable Insurance Trust
MIM US Manulife Investment Management (US) LLC
(A) The underlying portfolios' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor.
Lifestyle Growth Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 100.0%      
Equity - 71.4%      
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (B) 204,061,910   $ 3,784,891,203
Fixed income - 28.6%      
Select Bond, Series NAV, JHVIT (MIM US) (B) 129,780,689     1,518,434,059
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $5,284,204,899)   $ 5,303,325,262
Total Investments (Lifestyle Growth Portfolio) (Cost $5,284,204,899) - 100.0%     $ 5,303,325,262
Other assets and liabilities, net - (0.0%)       (19,476)
TOTAL NET ASSETS - 100.0%       $ 5,303,305,786
Security Abbreviations and Legend
JHVIT John Hancock Variable Insurance Trust
MIM US Manulife Investment Management (US) LLC
(A) The underlying portfolios' subadvisor is shown parenthetically.
 
  149  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Lifestyle Growth Portfolio (continued)
(B) The subadvisor is an affiliate of the advisor.
Lifestyle Moderate Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 100.0%      
Equity - 40.1%      
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (B) 6,221,795   $ 115,414,293
Fixed income - 59.9%      
Select Bond, Series NAV, JHVIT (MIM US) (B) 14,710,649     172,114,588
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $308,192,406)   $ 287,528,881
SHORT-TERM INVESTMENTS - 0.0%      
Short-term funds - 0.0%          
John Hancock Collateral Trust, 5.2975% (C)(D) 157     1,568
TOTAL SHORT-TERM INVESTMENTS (Cost $1,568)   $ 1,568
Total Investments (Lifestyle Moderate Portfolio) (Cost $308,193,974) - 100.0%     $ 287,530,449
Other assets and liabilities, net - (0.0%)       (19,661)
TOTAL NET ASSETS - 100.0%       $ 287,510,788
Security Abbreviations and Legend
JHVIT John Hancock Variable Insurance Trust
MIM US Manulife Investment Management (US) LLC
(A) The underlying portfolios' subadvisor is shown parenthetically.
(B) The subadvisor is an affiliate of the advisor.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor.
Managed Volatility Balanced Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 96.8%      
Equity - 48.5%      
Blue Chip Growth, Series NAV, JHVIT (T. Rowe Price) (B) 4,628,884   $ 143,263,968
Emerging Markets Equity, Class NAV, JHIT (MIM US) (C) 12,202,535     112,873,446
Equity Income, Series NAV, JHVIT (T. Rowe Price) 14,140,348     205,035,041
Fundamental Large Cap Core, Class NAV, JHIT (MIM US) (C) 3,058,929     218,376,936
Mid Cap Growth, Series NAV, JHVIT (Wellington) (B) 3,958,304     39,622,624
Mid Value, Series NAV, JHVIT (T. Rowe Price) 5,226,235     56,809,169
Managed Volatility Balanced Portfolio (continued)
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) (continued)      
Equity (continued)      
Multifactor Developed International ETF, JHETF (DFA) 2,732,980   $ 94,369,799
Multifactor Emerging Markets ETF, JHETF (DFA) 2,355,928     61,087,093
Multifactor Mid Cap ETF, JHETF (DFA) 1,249,115     71,674,219
Multifactor Small Cap ETF, JHETF (DFA) 1,458,477     56,180,534
Small Cap Dynamic Growth, Class NAV, JHF II (Axiom) (B) 1,292,203     21,088,751
Small Cap Value, Series NAV, JHVIT (Wellington) 3,511,007     49,610,523
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (C) 51,444,189     954,289,714
          2,084,281,817
Fixed income - 48.3%      
Bond, Class NAV, JHSB (MIM US) (C) 39,636,632     533,112,703
Core Bond, Series NAV, JHVIT (Allspring Investments) 16,574,086     185,298,286
Select Bond, Series NAV, JHVIT (MIM US) (C) 116,313,105     1,360,863,328
          2,079,274,317
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $4,243,717,776)   $ 4,163,556,134
UNAFFILIATED INVESTMENT COMPANIES - 2.0%      
Equity - 2.0%      
Fidelity 500 Index Fund 464,169     84,919,730
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $63,579,985)   $ 84,919,730
SHORT-TERM INVESTMENTS - 0.8%      
Short-term funds - 0.8%          
John Hancock Collateral Trust, 5.2975% (D)(E) 3,194,520     31,936,898
TOTAL SHORT-TERM INVESTMENTS (Cost $31,947,559)   $ 31,936,898
Total Investments (Managed Volatility Balanced Portfolio) (Cost $4,339,245,320) - 99.6%     $ 4,280,412,762
Other assets and liabilities, net - 0.4%       19,226,997
TOTAL NET ASSETS - 100.0%       $ 4,299,639,759
Security Abbreviations and Legend
JHETF John Hancock Exchange-Traded Fund Trust
JHF II John Hancock Funds II
JHIT John Hancock Investment Trust
JHSB John Hancock Sovereign Bond Fund
JHVIT John Hancock Variable Insurance Trust
(A) The underlying portfolios' subadvisor is shown parenthetically.
(B) Non-income producing.
(C) The subadvisor is an affiliate of the advisor.
(D) The rate shown is the annualized seven-day yield as of 3-31-24.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Euro Currency Futures 137 Long Jun 2024 $18,784,162 $18,531,819 $(252,343)
Euro STOXX 50 Index Futures 344 Long Jun 2024 18,163,469 18,723,224 559,755
FTSE 100 Index Futures 58 Long Jun 2024 5,619,137 5,847,590 228,453
Japanese Yen Currency Futures 103 Long Jun 2024 8,697,113 8,607,581 (89,532)
MSCI Emerging Markets Index Futures 391 Long Jun 2024 20,514,836 20,507,950 (6,886)
Nikkei 225 Index Futures 32 Long Jun 2024 8,421,898 8,531,642 109,744
  150  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Managed Volatility Balanced Portfolio (continued)
FUTURES (continued)
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Pound Sterling Currency Futures 70 Long Jun 2024 $5,614,364 $5,524,312 $(90,052)
Russell 2000 E-Mini Index Futures 101 Long Jun 2024 10,652,372 10,836,795 184,423
S&P 500 E-Mini Index Futures 443 Long Jun 2024 115,000,509 117,585,448 2,584,939
S&P Mid 400 E-Mini Index Futures 68 Long Jun 2024 20,307,139 20,926,320 619,181
            $3,847,682
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Managed Volatility Conservative Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 97.8%      
Equity - 19.1%      
Blue Chip Growth, Series NAV, JHVIT (T. Rowe Price) (B) 284,853   $ 8,816,202
Emerging Markets Equity, Class NAV, JHIT (MIM US) (C) 556,616     5,148,699
Equity Income, Series NAV, JHVIT (T. Rowe Price) 993,809     14,410,236
Fundamental Large Cap Core, Class NAV, JHIT (MIM US) (C) 170,139     12,146,215
Multifactor Emerging Markets ETF, JHETF (DFA) 83,876     2,174,829
Multifactor Mid Cap ETF, JHETF (DFA) 138,853     7,967,385
Multifactor Small Cap ETF, JHETF (DFA) 164,180     6,324,214
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (C) 2,770,412     51,391,138
          108,378,918
Fixed income - 78.7%      
Bond, Class NAV, JHSB (MIM US) (C) 8,521,336     114,611,969
Core Bond, Series NAV, JHVIT (Allspring Investments) 3,553,992     39,733,631
Select Bond, Series NAV, JHVIT (MIM US) (C) 24,964,010     292,078,920
          446,424,520
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $607,161,063)   $ 554,803,438
UNAFFILIATED INVESTMENT COMPANIES - 0.8%      
Equity - 0.8%      
Fidelity 500 Index Fund 25,690     4,699,935
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $3,546,392)   $ 4,699,935
Managed Volatility Conservative Portfolio (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS - 0.9%      
Short-term funds - 0.9%          
John Hancock Collateral Trust, 5.2975% (D)(E) 507,937   $ 5,078,052
TOTAL SHORT-TERM INVESTMENTS (Cost $5,079,313)   $ 5,078,052
Total Investments (Managed Volatility Conservative Portfolio) (Cost $615,786,768) - 99.5%     $ 564,581,425
Other assets and liabilities, net - 0.5%       2,651,769
TOTAL NET ASSETS - 100.0%       $ 567,233,194
Security Abbreviations and Legend
JHETF John Hancock Exchange-Traded Fund Trust
JHIT John Hancock Investment Trust
JHSB John Hancock Sovereign Bond Fund
JHVIT John Hancock Variable Insurance Trust
(A) The underlying portfolios' subadvisor is shown parenthetically.
(B) Non-income producing.
(C) The subadvisor is an affiliate of the advisor.
(D) The rate shown is the annualized seven-day yield as of 3-31-24.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Euro Currency Futures 6 Long Jun 2024 $815,716 $811,612 $(4,104)
Euro STOXX 50 Index Futures 15 Long Jun 2024 811,164 816,420 5,256
FTSE 100 Index Futures 2 Long Jun 2024 200,766 201,641 875
Japanese Yen Currency Futures 4 Long Jun 2024 334,586 334,275 (311)
MSCI Emerging Markets Index Futures 17 Long Jun 2024 888,654 891,650 2,996
Nikkei 225 Index Futures 1 Long Jun 2024 265,628 266,614 986
Pound Sterling Currency Futures 3 Long Jun 2024 237,077 236,756 (321)
Russell 2000 E-Mini Index Futures 5 Long Jun 2024 526,857 536,475 9,618
S&P 500 E-Mini Index Futures 25 Long Jun 2024 6,606,913 6,635,625 28,712
  151  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Managed Volatility Conservative Portfolio (continued)
FUTURES (continued)
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
S&P Mid 400 E-Mini Index Futures 3 Long Jun 2024 $909,356 $923,220 $13,864
            $57,571
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Managed Volatility Growth Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 96.1%      
Equity - 68.2%      
Blue Chip Growth, Series NAV, JHVIT (T. Rowe Price) (B) 7,510,330   $ 232,444,717
Emerging Markets Equity, Class NAV, JHIT (MIM US) (C) 25,376,330     234,731,053
Equity Income, Series NAV, JHVIT (T. Rowe Price) 22,682,418     328,895,066
Fundamental Large Cap Core, Class NAV, JHIT (MIM US) (C) 5,422,228     387,092,887
Mid Cap Growth, Series NAV, JHVIT (Wellington) (B) 9,455,369     94,648,242
Mid Value, Series NAV, JHVIT (T. Rowe Price) 11,261,445     122,411,909
Multifactor Developed International ETF, JHETF (DFA) 6,486,488     223,978,431
Multifactor Emerging Markets ETF, JHETF (DFA) 4,801,276     124,492,766
Multifactor Mid Cap ETF, JHETF (DFA) 2,288,134     131,293,129
Multifactor Small Cap ETF, JHETF (DFA) 3,204,250     123,427,710
Small Cap Dynamic Growth, Class NAV, JHF II (Axiom) (B) 2,401,395     39,190,774
Small Cap Value, Series NAV, JHVIT (Wellington) 5,624,845     79,479,057
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (C) 95,918,637     1,779,290,720
          3,901,376,461
Fixed income - 27.9%      
Bond, Class NAV, JHSB (MIM US) (C) 30,298,578     407,515,880
Core Bond, Series NAV, JHVIT (Allspring Investments) 12,696,161     141,943,079
Select Bond, Series NAV, JHVIT (MIM US) (C) 89,401,536     1,045,997,974
          1,595,456,933
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $5,340,604,425)   $ 5,496,833,394
Managed Volatility Growth Portfolio (continued)
    Shares or
Principal
Amount
  Value
UNAFFILIATED INVESTMENT COMPANIES - 2.6%      
Equity - 2.6%      
Fidelity 500 Index Fund 577,448   $ 105,644,028
Fidelity International Index Fund 792,005     39,671,511
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $111,297,971)   $ 145,315,539
SHORT-TERM INVESTMENTS - 0.8%      
Short-term funds - 0.8%          
John Hancock Collateral Trust, 5.2975% (D)(E) 4,720,080     47,188,524
TOTAL SHORT-TERM INVESTMENTS (Cost $47,202,939)   $ 47,188,524
Total Investments (Managed Volatility Growth Portfolio) (Cost $5,499,105,335) - 99.5%     $ 5,689,337,457
Other assets and liabilities, net - 0.5%       30,167,399
TOTAL NET ASSETS - 100.0%       $ 5,719,504,856
Security Abbreviations and Legend
JHETF John Hancock Exchange-Traded Fund Trust
JHF II John Hancock Funds II
JHIT John Hancock Investment Trust
JHSB John Hancock Sovereign Bond Fund
JHVIT John Hancock Variable Insurance Trust
(A) The underlying portfolios' subadvisor is shown parenthetically.
(B) Non-income producing.
(C) The subadvisor is an affiliate of the advisor.
(D) The rate shown is the annualized seven-day yield as of 3-31-24.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Euro Currency Futures 266 Long Jun 2024 $36,471,439 $35,981,488 $(489,951)
Euro STOXX 50 Index Futures 682 Long Jun 2024 36,010,133 37,119,881 1,109,748
FTSE 100 Index Futures 113 Long Jun 2024 10,947,629 11,392,719 445,090
Japanese Yen Currency Futures 212 Long Jun 2024 17,898,896 17,716,575 (182,321)
MSCI Emerging Markets Index Futures 795 Long Jun 2024 41,711,750 41,697,750 (14,000)
Nikkei 225 Index Futures 66 Long Jun 2024 17,370,166 17,596,512 226,346
Pound Sterling Currency Futures 143 Long Jun 2024 11,459,965 11,285,381 (174,584)
Russell 2000 E-Mini Index Futures 198 Long Jun 2024 20,882,867 21,244,410 361,543
S&P 500 E-Mini Index Futures 802 Long Jun 2024 208,195,053 212,870,850 4,675,797
  152  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Managed Volatility Growth Portfolio (continued)
FUTURES (continued)
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
S&P Mid 400 E-Mini Index Futures 125 Long Jun 2024 $37,329,299 $38,467,500 $1,138,201
            $7,095,869
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Managed Volatility Moderate Portfolio
    Shares or
Principal
Amount
  Value
AFFILIATED INVESTMENT COMPANIES (A) - 97.0%      
Equity - 38.1%      
Blue Chip Growth, Series NAV, JHVIT (T. Rowe Price) (B) 1,057,772   $ 32,738,056
Emerging Markets Equity, Class NAV, JHIT (MIM US) (C) 2,511,060     23,227,306
Equity Income, Series NAV, JHVIT (T. Rowe Price) 3,399,610     49,294,345
Fundamental Large Cap Core, Class NAV, JHIT (MIM US) (C) 680,834     48,604,722
Mid Cap Growth, Series NAV, JHVIT (Wellington) (B) 1,035,332     10,363,677
Mid Value, Series NAV, JHVIT (T. Rowe Price) 1,245,916     13,543,108
Multifactor Developed International ETF, JHETF (DFA) 301,460     10,409,414
Multifactor Emerging Markets ETF, JHETF (DFA) 388,914     10,084,190
Multifactor Mid Cap ETF, JHETF (DFA) 150,671     8,645,502
Multifactor Small Cap ETF, JHETF (DFA) 186,164     7,171,037
Small Cap Dynamic Growth, Class NAV, JHF II (Axiom) (B) 288,649     4,710,746
Small Cap Value, Series NAV, JHVIT (Wellington) 715,117     10,104,607
Strategic Equity Allocation, Series NAV, JHVIT (MIM US) (C) 11,130,927     206,478,700
          435,375,410
Fixed income - 58.9%      
Bond, Class NAV, JHSB (MIM US) (C) 12,793,693     172,075,173
Core Bond, Series NAV, JHVIT (Allspring Investments) 5,358,254     59,905,282
Select Bond, Series NAV, JHVIT (MIM US) (C) 37,585,151     439,746,272
          671,726,727
TOTAL AFFILIATED INVESTMENT COMPANIES (Cost $1,159,778,219)   $ 1,107,102,137
Managed Volatility Moderate Portfolio (continued)
    Shares or
Principal
Amount
  Value
UNAFFILIATED INVESTMENT COMPANIES - 1.9%      
Equity - 1.9%      
Fidelity 500 Index Fund 119,014   $ 21,773,562
TOTAL UNAFFILIATED INVESTMENT COMPANIES (Cost $16,305,778)   $ 21,773,562
SHORT-TERM INVESTMENTS - 0.8%      
Short-term funds - 0.8%          
John Hancock Collateral Trust, 5.2975% (D)(E) 898,759     8,985,253
TOTAL SHORT-TERM INVESTMENTS (Cost $8,988,278)   $ 8,985,253
Total Investments (Managed Volatility Moderate Portfolio) (Cost $1,185,072,275) - 99.7%     $ 1,137,860,952
Other assets and liabilities, net - 0.3%       3,896,048
TOTAL NET ASSETS - 100.0%       $ 1,141,757,000
Security Abbreviations and Legend
JHETF John Hancock Exchange-Traded Fund Trust
JHF II John Hancock Funds II
JHIT John Hancock Investment Trust
JHSB John Hancock Sovereign Bond Fund
JHVIT John Hancock Variable Insurance Trust
(A) The underlying portfolios' subadvisor is shown parenthetically.
(B) Non-income producing.
(C) The subadvisor is an affiliate of the advisor.
(D) The rate shown is the annualized seven-day yield as of 3-31-24.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Euro Currency Futures 28 Long Jun 2024 $3,839,099 $3,787,525 $(51,574)
Euro STOXX 50 Index Futures 71 Long Jun 2024 3,748,855 3,864,386 115,531
FTSE 100 Index Futures 12 Long Jun 2024 1,162,580 1,209,846 47,266
Japanese Yen Currency Futures 19 Long Jun 2024 1,606,784 1,587,806 (18,978)
MSCI Emerging Markets Index Futures 82 Long Jun 2024 4,302,344 4,300,900 (1,444)
Nikkei 225 Index Futures 6 Long Jun 2024 1,580,757 1,599,683 18,926
Pound Sterling Currency Futures 14 Long Jun 2024 1,122,873 1,104,863 (18,010)
Russell 2000 E-Mini Index Futures 21 Long Jun 2024 2,214,850 2,253,195 38,345
S&P 500 E-Mini Index Futures 108 Long Jun 2024 28,036,242 28,665,900 629,658
  153  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Managed Volatility Moderate Portfolio (continued)
FUTURES (continued)
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
S&P Mid 400 E-Mini Index Futures 14 Long Jun 2024 $4,180,882 $4,308,360 $127,478
            $887,198
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Mid Cap Growth Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.1%      
Communication services – 10.1%          
Entertainment – 7.0%      
Liberty Media Corp.-Liberty Formula One, Series C (A)   181,426   $ 11,901,546
Live Nation Entertainment, Inc. (A)   121,992     12,903,094
Spotify Technology SA (A)   76,161     20,098,888
          44,903,528
Interactive media and services – 3.1%      
Pinterest, Inc., Class A (A)   570,946     19,794,698
          64,698,226
Consumer discretionary – 15.2%          
Automobile components – 1.0%      
Mobileye Global, Inc., Class A (A)(B)   199,943     6,428,167
Hotels, restaurants and leisure – 4.6%      
DoorDash, Inc., Class A (A)   46,237     6,367,760
DraftKings, Inc., Class A (A)   369,232     16,766,825
Las Vegas Sands Corp.   118,186     6,110,216
          29,244,801
Household durables – 1.0%      
Lennar Corp., Class A   38,555     6,630,689
Specialty retail – 4.6%      
Abercrombie & Fitch Company, Class A (A)   53,481     6,702,774
Burlington Stores, Inc. (A)   41,720     9,686,967
Five Below, Inc. (A)   30,285     5,493,093
O'Reilly Automotive, Inc. (A)   6,380     7,202,254
          29,085,088
Textiles, apparel and luxury goods – 4.0%      
Deckers Outdoor Corp. (A)   10,180     9,582,027
Lululemon Athletica, Inc. (A)   13,429     5,246,039
On Holding AG, Class A (A)(B)   302,363     10,697,603
          25,525,669
          96,914,414
Consumer staples – 5.3%          
Beverages – 1.8%      
Celsius Holdings, Inc. (A)   137,220     11,378,282
Personal care products – 3.5%      
BellRing Brands, Inc. (A)   77,672     4,584,978
e.l.f. Beauty, Inc. (A)   92,335     18,100,430
          22,685,408
          34,063,690
Energy – 3.5%          
Oil, gas and consumable fuels – 3.5%      
Cheniere Energy, Inc.   44,750     7,217,280
Diamondback Energy, Inc.   26,466     5,244,767
Targa Resources Corp.   88,732     9,937,097
          22,399,144
Mid Cap Growth Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Financials – 8.6%          
Capital markets – 5.7%      
Ares Management Corp., Class A   108,868   $ 14,477,267
Evercore, Inc., Class A   25,043     4,823,031
Tradeweb Markets, Inc., Class A   163,238     17,004,502
          36,304,800
Financial services – 2.9%      
Block, Inc. (A)   222,331     18,804,756
          55,109,556
Health care – 17.6%          
Biotechnology – 4.0%      
Exact Sciences Corp. (A)   219,729     15,174,485
Neurocrine Biosciences, Inc. (A)   40,246     5,550,728
United Therapeutics Corp. (A)   20,177     4,635,060
          25,360,273
Health care equipment and supplies – 8.9%      
Align Technology, Inc. (A)   14,236     4,668,269
DexCom, Inc. (A)   167,754     23,267,481
Inspire Medical Systems, Inc. (A)   52,116     11,193,996
Shockwave Medical, Inc. (A)   53,729     17,495,774
          56,625,520
Life sciences tools and services – 4.7%      
Agilent Technologies, Inc.   88,106     12,820,304
Avantor, Inc. (A)   244,841     6,260,584
Medpace Holdings, Inc. (A)   27,716     11,201,421
          30,282,309
          112,268,102
Industrials – 11.5%          
Aerospace and defense – 3.0%      
Axon Enterprise, Inc. (A)   61,518     19,247,752
Building products – 1.5%      
Builders FirstSource, Inc. (A)   46,190     9,632,925
Commercial services and supplies – 2.5%      
Copart, Inc. (A)   270,977     15,694,988
Construction and engineering – 1.9%      
Fluor Corp. (A)   292,014     12,346,352
Machinery – 1.2%      
The Toro Company   82,586     7,567,355
Professional services – 1.4%      
EXL Service Holdings, Inc. (A)   278,879     8,868,352
          73,357,724
Information technology – 22.1%          
Electronic equipment, instruments and components – 3.2%      
Fabrinet (A)   21,198     4,006,846
Flex, Ltd. (A)   581,017     16,622,896
          20,629,742
IT services – 7.1%      
Cloudflare, Inc., Class A (A)   51,185     4,956,244
Gartner, Inc. (A)   34,145     16,275,897
 
  154  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Mid Cap Growth Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
IT services (continued)      
Globant SA (A)   25,940   $ 5,237,286
MongoDB, Inc. (A)   33,898     12,157,179
Snowflake, Inc., Class A (A)   39,335     6,356,536
          44,983,142
Semiconductors and semiconductor equipment – 2.2%      
MKS Instruments, Inc.   59,018     7,849,394
Universal Display Corp.   37,205     6,267,182
          14,116,576
Software – 9.6%      
Crowdstrike Holdings, Inc., Class A (A)   49,921     16,004,173
Datadog, Inc., Class A (A)   96,644     11,945,198
Gitlab, Inc., Class A (A)   95,297     5,557,721
HubSpot, Inc. (A)   17,747     11,119,560
Informatica, Inc., Class A (A)   205,845     7,204,575
Workday, Inc., Class A (A)   34,196     9,326,959
          61,158,186
          140,887,646
Materials – 1.4%          
Construction materials – 1.4%      
Vulcan Materials Company   32,118     8,765,645
Real estate – 1.9%          
Real estate management and development – 1.9%      
CoStar Group, Inc. (A)   125,380     12,111,708
Utilities – 0.9%          
Gas utilities – 0.5%      
Atmos Energy Corp.   24,398     2,900,190
Multi-utilities – 0.4%      
CenterPoint Energy, Inc.   98,881     2,817,120
          5,717,310
TOTAL COMMON STOCKS (Cost $520,470,696)   $ 626,293,165
PREFERRED SECURITIES – 0.6%          
Information technology – 0.6%          
Software – 0.6%      
Essence Group Holdings Corp. (A)(C)(D)   1,663,188     2,112,249
Lookout, Inc., Series F (A)(C)(D)   211,003     1,939,118
          4,051,367
TOTAL PREFERRED SECURITIES (Cost $5,070,285)   $ 4,051,367
SHORT-TERM INVESTMENTS – 2.0%      
Short-term funds – 1.2%          
John Hancock Collateral Trust, 5.2975% (E)(F)   803,131     8,029,225
Repurchase agreement – 0.8%          
Deutsche Bank Tri-Party Repurchase Agreement dated 3-28-24 at 5.320% to be repurchased at $4,902,896 on 4-1-24, collateralized by $5,021,100 U.S. Treasury Bills, 0.000% due 4-16-24 to 6-13-24 (valued at $4,998,027) $ 4,900,000     4,900,000
TOTAL SHORT-TERM INVESTMENTS (Cost $12,931,552)   $ 12,929,225
Total Investments (Mid Cap Growth Trust)
(Cost $538,472,533) – 100.7%
  $ 643,273,757
Other assets and liabilities, net – (0.7%)     (4,651,906)
TOTAL NET ASSETS – 100.0%   $ 638,621,851
Security Abbreviations and Legend
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $7,833,146.
Mid Cap Growth Trust (continued)
(C) Restricted security as to resale. For more information on this security refer to the Notes to Portfolio of Investments.
(D) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(E) The rate shown is the annualized seven-day yield as of 3-31-24.
(F) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Mid Cap Index Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 96.2%      
Communication services – 1.4%          
Diversified telecommunication services – 0.3%      
Frontier Communications Parent, Inc. (A)   100,945   $ 2,473,153
Iridium Communications, Inc.   56,518     1,478,511
          3,951,664
Entertainment – 0.2%      
TKO Group Holdings, Inc.   27,337     2,362,190
Interactive media and services – 0.3%      
Ziff Davis, Inc. (A)   20,984     1,322,831
ZoomInfo Technologies, Inc. (A)   135,183     2,166,983
          3,489,814
Media – 0.6%      
Cable One, Inc.   2,076     878,418
Nexstar Media Group, Inc.   14,710     2,534,386
TEGNA, Inc.   89,884     1,342,867
The New York Times Company, Class A   74,669     3,227,194
          7,982,865
          17,786,533
Consumer discretionary – 15.0%          
Automobile components – 1.3%      
Adient PLC (A)   41,640     1,370,789
Autoliv, Inc.   33,564     4,042,113
Fox Factory Holding Corp. (A)   19,340     1,007,034
Gentex Corp.   106,440     3,844,613
Lear Corp.   26,027     3,770,792
The Goodyear Tire & Rubber Company (A)   129,394     1,776,580
Visteon Corp. (A)   12,692     1,492,706
          17,304,627
Automobiles – 0.4%      
Harley-Davidson, Inc.   57,834     2,529,659
Thor Industries, Inc.   24,333     2,855,234
          5,384,893
Broadline retail – 0.4%      
Macy's, Inc.   125,068     2,500,109
Nordstrom, Inc.   44,447     900,941
Ollie's Bargain Outlet Holdings, Inc. (A)   28,106     2,236,394
          5,637,444
Diversified consumer services – 0.9%      
Graham Holdings Company, Class B   1,634     1,254,389
Grand Canyon Education, Inc. (A)   13,488     1,837,200
H&R Block, Inc.   63,669     3,126,785
Service Corp. International   67,421     5,003,312
          11,221,686
Hotels, restaurants and leisure – 3.5%      
Aramark   119,768     3,894,855
Boyd Gaming Corp.   31,708     2,134,583
Choice Hotels International, Inc. (B)   11,279     1,425,102
Churchill Downs, Inc.   30,977     3,833,404
Hilton Grand Vacations, Inc. (A)   32,523     1,535,411
Hyatt Hotels Corp., Class A   20,180     3,221,132
 
  155  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Light & Wonder, Inc. (A)   41,092   $ 4,195,082
Marriott Vacations Worldwide Corp.   15,073     1,623,814
Penn Entertainment, Inc. (A)   67,991     1,238,116
Planet Fitness, Inc., Class A (A)   38,989     2,441,881
Texas Roadhouse, Inc.   30,476     4,707,628
The Wendy's Company   76,241     1,436,380
Travel + Leisure Company   33,048     1,618,030
Vail Resorts, Inc.   17,326     3,860,753
Wingstop, Inc.   13,423     4,918,187
Wyndham Hotels & Resorts, Inc.   37,858     2,905,602
          44,989,960
Household durables – 2.2%      
Helen of Troy, Ltd. (A)   10,836     1,248,741
KB Home   33,536     2,377,032
Leggett & Platt, Inc.   60,873     1,165,718
Taylor Morrison Home Corp. (A)   49,033     3,048,382
Tempur Sealy International, Inc.   78,615     4,466,904
Toll Brothers, Inc.   47,591     6,156,848
TopBuild Corp. (A)   14,422     6,356,208
Whirlpool Corp.   25,098     3,002,474
          27,822,307
Leisure products – 0.8%      
Brunswick Corp.   31,402     3,030,921
Mattel, Inc. (A)   161,194     3,193,253
Polaris, Inc.   24,225     2,425,407
YETI Holdings, Inc. (A)   39,634     1,527,891
          10,177,472
Specialty retail – 4.1%      
AutoNation, Inc. (A)   11,836     1,959,805
Burlington Stores, Inc. (A)   29,178     6,774,840
Dick's Sporting Goods, Inc.   26,547     5,969,358
Five Below, Inc. (A)   25,187     4,568,418
Floor & Decor Holdings, Inc., Class A (A)   48,632     6,303,680
GameStop Corp., Class A (A)(B)   122,575     1,534,639
Lithia Motors, Inc.   12,558     3,778,200
Murphy USA, Inc.   8,653     3,627,338
Penske Automotive Group, Inc.   8,895     1,440,901
RH (A)   6,984     2,432,248
The Gap, Inc.   98,150     2,704,033
Valvoline, Inc. (A)   59,163     2,636,895
Williams-Sonoma, Inc.   29,272     9,294,738
          53,025,093
Textiles, apparel and luxury goods – 1.4%      
Capri Holdings, Ltd. (A)   53,194     2,409,688
Carter's, Inc.   16,804     1,422,963
Columbia Sportswear Company   15,738     1,277,611
Crocs, Inc. (A)   27,639     3,974,488
PVH Corp.   27,215     3,826,701
Skechers USA, Inc., Class A (A)   60,965     3,734,716
Under Armour, Inc., Class A (A)   86,160     635,861
Under Armour, Inc., Class C (A)   87,078     621,737
          17,903,765
          193,467,247
Consumer staples – 4.5%          
Beverages – 0.7%      
Celsius Holdings, Inc. (A)   67,662     5,610,533
Coca-Cola Consolidated, Inc.   2,139     1,810,471
Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Beverages (continued)      
The Boston Beer Company, Inc., Class A (A)   4,295   $ 1,307,484
          8,728,488
Consumer staples distribution and retail – 1.9%      
BJ's Wholesale Club Holdings, Inc. (A)   60,867     4,604,589
Casey's General Stores, Inc.   16,934     5,392,632
Grocery Outlet Holding Corp. (A)   45,300     1,303,734
Performance Food Group Company (A)   71,000     5,299,440
Sprouts Farmers Market, Inc. (A)   46,346     2,988,390
U.S. Foods Holding Corp. (A)   103,215     5,570,514
          25,159,299
Food products – 1.1%      
Darling Ingredients, Inc. (A)   72,801     3,385,975
Flowers Foods, Inc.   87,670     2,082,163
Ingredion, Inc.   29,753     3,476,638
Lancaster Colony Corp.   9,292     1,929,298
Pilgrim's Pride Corp. (A)   18,369     630,424
Post Holdings, Inc. (A)   22,984     2,442,740
          13,947,238
Personal care products – 0.8%      
BellRing Brands, Inc. (A)   59,770     3,528,223
Coty, Inc., Class A (A)   171,571     2,051,989
e.l.f. Beauty, Inc. (A)   25,330     4,965,440
          10,545,652
          58,380,677
Energy – 5.1%          
Energy equipment and services – 0.9%      
ChampionX Corp.   87,206     3,129,823
NOV, Inc.   179,766     3,509,032
Valaris, Ltd. (A)   28,607     2,152,963
Weatherford International PLC (A)   33,000     3,808,860
          12,600,678
Oil, gas and consumable fuels – 4.2%      
Antero Midstream Corp.   155,430     2,185,346
Antero Resources Corp. (A)   128,920     3,738,680
Chesapeake Energy Corp. (B)   50,733     4,506,612
Chord Energy Corp.   18,837     3,357,507
Civitas Resources, Inc.   39,160     2,972,636
CNX Resources Corp. (A)   69,271     1,643,108
DT Midstream, Inc.   44,250     2,703,675
Equitrans Midstream Corp.   197,713     2,469,435
HF Sinclair Corp.   71,187     4,297,559
Matador Resources Company   50,561     3,375,958
Murphy Oil Corp.   66,196     3,025,157
Ovintiv, Inc.   115,307     5,984,433
PBF Energy, Inc., Class A   49,630     2,857,199
Permian Resources Corp.   188,482     3,328,592
Range Resources Corp.   110,116     3,791,294
Southwestern Energy Company (A)   502,563     3,809,428
          54,046,619
          66,647,297
Financials – 15.6%          
Banks – 5.1%      
Associated Banc-Corp.   67,878     1,460,056
Bank OZK   48,016     2,182,807
Cadence Bank   83,355     2,417,295
Columbia Banking System, Inc.   95,184     1,841,810
Commerce Bancshares, Inc.   54,057     2,875,832
Cullen/Frost Bankers, Inc.   29,298     3,298,076
East West Bancorp, Inc.   64,312     5,087,722
First Financial Bankshares, Inc.   58,611     1,923,027
First Horizon Corp.   254,985     3,926,769
 
  156  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
FNB Corp.   163,747   $ 2,308,833
Glacier Bancorp, Inc.   50,599     2,038,128
Hancock Whitney Corp.   39,313     1,809,971
Home BancShares, Inc.   85,527     2,101,398
International Bancshares Corp.   24,354     1,367,234
New York Community Bancorp, Inc. (B)   329,506     1,061,009
Old National Bancorp   133,553     2,325,158
Pinnacle Financial Partners, Inc.   34,708     2,980,723
Prosperity Bancshares, Inc.   42,769     2,813,345
SouthState Corp.   34,684     2,949,181
Synovus Financial Corp.   66,735     2,673,404
Texas Capital Bancshares, Inc. (A)   21,556     1,326,772
UMB Financial Corp.   19,931     1,733,798
United Bankshares, Inc.   61,430     2,198,580
Valley National Bancorp   194,615     1,549,135
Webster Financial Corp.   78,499     3,985,394
Wintrust Financial Corp.   27,945     2,917,179
Zions Bancorp NA   67,605     2,934,057
          66,086,693
Capital markets – 2.8%      
Affiliated Managers Group, Inc.   15,429     2,583,895
Evercore, Inc., Class A   15,816     3,046,003
Federated Hermes, Inc.   37,287     1,346,806
Houlihan Lokey, Inc.   23,784     3,048,871
Interactive Brokers Group, Inc., Class A   48,835     5,455,358
Janus Henderson Group PLC   60,476     1,989,056
Jefferies Financial Group, Inc.   77,372     3,412,105
Morningstar, Inc.   11,886     3,665,286
SEI Investments Company   45,494     3,271,019
Stifel Financial Corp.   46,545     3,638,423
The Carlyle Group, Inc.   98,785     4,634,004
          36,090,826
Consumer finance – 0.7%      
Ally Financial, Inc.   123,880     5,028,289
FirstCash Holdings, Inc.   16,879     2,152,748
SLM Corp.   100,532     2,190,592
          9,371,629
Financial services – 1.8%      
Equitable Holdings, Inc.   143,187     5,442,538
Essent Group, Ltd.   48,643     2,894,745
Euronet Worldwide, Inc. (A)   19,994     2,197,940
MGIC Investment Corp.   124,345     2,780,354
The Western Union Company   159,944     2,236,017
Voya Financial, Inc.   47,003     3,474,462
WEX, Inc. (A)   19,502     4,632,310
          23,658,366
Insurance – 4.6%      
American Financial Group, Inc.   29,769     4,062,873
Brighthouse Financial, Inc. (A)   29,300     1,510,122
CNO Financial Group, Inc.   49,926     1,371,966
Erie Indemnity Company, Class A   11,382     4,570,670
Fidelity National Financial, Inc.   117,984     6,264,950
First American Financial Corp.   47,084     2,874,478
Kemper Corp.   27,592     1,708,497
Kinsale Capital Group, Inc.   10,046     5,271,538
Old Republic International Corp.   118,988     3,655,311
Primerica, Inc.   15,987     4,044,072
Reinsurance Group of America, Inc.   30,075     5,800,866
RenaissanceRe Holdings, Ltd.   24,046     5,651,531
RLI Corp.   18,328     2,721,158
Selective Insurance Group, Inc.   27,673     3,021,061
The Hanover Insurance Group, Inc.   16,337     2,224,609
Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
Unum Group   82,960   $ 4,451,634
          59,205,336
Mortgage real estate investment trusts – 0.6%      
Annaly Capital Management, Inc.   228,204     4,493,337
Starwood Property Trust, Inc.   135,785     2,760,509
          7,253,846
          201,666,696
Health care – 7.6%          
Biotechnology – 1.8%      
Arrowhead Pharmaceuticals, Inc. (A)   56,539     1,617,015
Cytokinetics, Inc. (A)   44,745     3,137,072
Exelixis, Inc. (A)   138,359     3,283,259
Halozyme Therapeutics, Inc. (A)   60,281     2,452,231
Neurocrine Biosciences, Inc. (A)   45,409     6,262,809
Roivant Sciences, Ltd. (A)   172,914     1,823,205
United Therapeutics Corp. (A)   21,445     4,926,345
          23,501,936
Health care equipment and supplies – 2.1%      
Enovis Corp. (A)   22,671     1,415,804
Envista Holdings Corp. (A)   78,261     1,673,220
Globus Medical, Inc., Class A (A)   52,644     2,823,824
Haemonetics Corp. (A)   23,175     1,977,986
Integra LifeSciences Holdings Corp. (A)   31,036     1,100,226
Lantheus Holdings, Inc. (A)   31,254     1,945,249
LivaNova PLC (A)   24,583     1,375,173
Masimo Corp. (A)   20,255     2,974,447
Neogen Corp. (A)   89,913     1,418,827
Penumbra, Inc. (A)   17,613     3,930,869
QuidelOrtho Corp. (A)   22,564     1,081,718
Shockwave Medical, Inc. (A)   16,838     5,482,958
          27,200,301
Health care providers and services – 2.0%      
Acadia Healthcare Company, Inc. (A)   42,081     3,333,657
Amedisys, Inc. (A)   14,891     1,372,355
Chemed Corp.   6,873     4,411,985
Encompass Health Corp.   45,744     3,777,540
HealthEquity, Inc. (A)   39,154     3,196,141
Option Care Health, Inc. (A)   80,832     2,711,105
Progyny, Inc. (A)   38,049     1,451,569
R1 RCM, Inc. (A)   89,931     1,158,311
Tenet Healthcare Corp. (A)   46,342     4,871,008
          26,283,671
Health care technology – 0.1%      
Doximity, Inc., Class A (A)   55,747     1,500,152
Life sciences tools and services – 1.2%      
Azenta, Inc. (A)   25,447     1,533,945
Bruker Corp.   42,318     3,975,353
Medpace Holdings, Inc. (A)   10,641     4,300,560
Repligen Corp. (A)   23,695     4,357,984
Sotera Health Company (A)   56,748     681,543
          14,849,385
Pharmaceuticals – 0.4%      
Jazz Pharmaceuticals PLC (A)   28,730     3,459,667
Perrigo Company PLC   61,836     1,990,501
          5,450,168
          98,785,613
Industrials – 21.2%          
Aerospace and defense – 1.2%      
BWX Technologies, Inc.   41,761     4,285,514
Curtiss-Wright Corp.   17,451     4,466,409
Hexcel Corp.   38,509     2,805,381
 
  157  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Aerospace and defense (continued)      
Woodward, Inc.   27,516   $ 4,240,766
          15,798,070
Air freight and logistics – 0.2%      
GXO Logistics, Inc. (A)   54,284     2,918,308
Building products – 3.5%      
Advanced Drainage Systems, Inc.   31,169     5,368,549
Carlisle Companies, Inc.   22,159     8,683,004
Fortune Brands Innovations, Inc.   57,541     4,871,996
Lennox International, Inc.   14,614     7,142,739
Owens Corning   40,557     6,764,908
Simpson Manufacturing Company, Inc.   19,473     3,995,470
Trex Company, Inc. (A)   49,556     4,943,211
UFP Industries, Inc.   28,208     3,469,866
          45,239,743
Commercial services and supplies – 1.3%      
Clean Harbors, Inc. (A)   22,954     4,620,870
MSA Safety, Inc.   16,863     3,264,508
Stericycle, Inc. (A)   42,221     2,227,158
Tetra Tech, Inc.   24,398     4,506,555
The Brink's Company   20,558     1,899,148
          16,518,239
Construction and engineering – 2.3%      
AECOM   62,072     6,088,022
Comfort Systems USA, Inc.   16,251     5,163,105
EMCOR Group, Inc.   21,468     7,518,094
Fluor Corp. (A)   77,748     3,287,185
MasTec, Inc. (A)   27,583     2,572,115
MDU Resources Group, Inc.   92,926     2,341,735
Valmont Industries, Inc.   9,533     2,176,193
          29,146,449
Electrical equipment – 1.5%      
Acuity Brands, Inc.   13,926     3,742,334
EnerSys   18,443     1,742,126
nVent Electric PLC   75,711     5,708,609
Regal Rexnord Corp.   30,255     5,448,926
Sensata Technologies Holding PLC   69,069     2,537,595
          19,179,590
Ground transportation – 2.0%      
Avis Budget Group, Inc.   8,430     1,032,338
Hertz Global Holdings, Inc. (A)   59,881     468,868
Knight-Swift Transportation Holdings, Inc.   73,639     4,051,618
Landstar System, Inc.   16,404     3,162,035
Ryder System, Inc.   20,226     2,430,963
Saia, Inc. (A)   12,115     7,087,275
Werner Enterprises, Inc.   28,954     1,132,680
XPO, Inc. (A)   52,986     6,465,882
          25,831,659
Machinery – 4.7%      
AGCO Corp.   28,361     3,488,970
Chart Industries, Inc. (A)   19,161     3,156,200
Crane Company   22,297     3,012,994
Donaldson Company, Inc.   54,823     4,094,182
Esab Corp.   25,854     2,858,677
Flowserve Corp.   59,875     2,735,090
Graco, Inc.   77,024     7,198,663
ITT, Inc.   37,465     5,096,364
Lincoln Electric Holdings, Inc.   26,103     6,667,750
Oshkosh Corp.   29,851     3,722,718
RBC Bearings, Inc. (A)   13,229     3,576,460
Terex Corp.   30,575     1,969,030
The Middleby Corp. (A)   24,460     3,932,923
The Timken Company   29,619     2,589,589
Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
The Toro Company   47,640   $ 4,365,253
Watts Water Technologies, Inc., Class A   12,489     2,654,537
          61,119,400
Marine transportation – 0.2%      
Kirby Corp. (A)   26,969     2,570,685
Professional services – 2.6%      
ASGN, Inc. (A)   21,539     2,256,426
CACI International, Inc., Class A (A)   10,169     3,852,322
Concentrix Corp.   21,457     1,420,883
EXL Service Holdings, Inc. (A)   75,260     2,393,268
Exponent, Inc.   23,101     1,910,222
FTI Consulting, Inc. (A)   15,892     3,341,929
Genpact, Ltd.   75,356     2,482,980
Insperity, Inc.   16,165     1,771,846
KBR, Inc.   61,606     3,921,838
ManpowerGroup, Inc.   22,273     1,729,276
Maximus, Inc.   27,851     2,336,699
Paylocity Holding Corp. (A)   19,793     3,401,625
Science Applications International Corp.   23,758     3,097,806
          33,917,120
Trading companies and distributors – 1.7%      
Applied Industrial Technologies, Inc.   17,646     3,485,967
Core & Main, Inc., Class A (A)   77,843     4,456,512
GATX Corp.   16,200     2,171,286
MSC Industrial Direct Company, Inc., Class A   20,847     2,022,993
Watsco, Inc. (B)   14,273     6,165,508
WESCO International, Inc.   20,045     3,433,308
          21,735,574
          273,974,837
Information technology – 8.9%          
Communications equipment – 0.4%      
Ciena Corp. (A)   66,173     3,272,255
Lumentum Holdings, Inc. (A)   30,757     1,456,344
          4,728,599
Electronic equipment, instruments and components – 2.3%      
Arrow Electronics, Inc. (A)   24,556     3,179,020
Avnet, Inc.   41,237     2,044,530
Belden, Inc.   19,021     1,761,535
Cognex Corp.   78,554     3,332,261
Coherent Corp. (A)   60,271     3,653,628
Crane NXT Company   22,031     1,363,719
IPG Photonics Corp. (A)   13,490     1,223,408
Littelfuse, Inc.   11,364     2,754,065
Novanta, Inc. (A)   16,341     2,855,917
TD SYNNEX Corp.   26,031     2,944,106
Vishay Intertechnology, Inc.   57,608     1,306,549
Vontier Corp.   70,425     3,194,478
          29,613,216
IT services – 0.8%      
GoDaddy, Inc., Class A (A)   64,264     7,626,852
Kyndryl Holdings, Inc. (A)   105,003     2,284,865
          9,911,717
Semiconductors and semiconductor equipment – 2.6%      
Allegro MicroSystems, Inc. (A)   32,608     879,112
Amkor Technology, Inc.   47,105     1,518,665
Cirrus Logic, Inc. (A)   24,612     2,278,087
Lattice Semiconductor Corp. (A)   62,987     4,927,473
MACOM Technology Solutions Holdings, Inc. (A)   24,994     2,390,426
MKS Instruments, Inc.   28,687     3,815,371
Onto Innovation, Inc. (A)   22,397     4,055,649
 
  158  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
Power Integrations, Inc.   25,946   $ 1,856,436
Rambus, Inc. (A)   49,060     3,032,399
Silicon Laboratories, Inc. (A)   14,556     2,091,988
Synaptics, Inc. (A)   17,936     1,749,836
Universal Display Corp.   19,882     3,349,123
Wolfspeed, Inc. (A)   57,407     1,693,507
          33,638,072
Software – 2.3%      
Appfolio, Inc., Class A (A)   10,095     2,490,840
Aspen Technology, Inc. (A)   12,760     2,721,453
Blackbaud, Inc. (A)   19,168     1,421,116
CommVault Systems, Inc. (A)   19,924     2,020,891
Dolby Laboratories, Inc., Class A   27,149     2,274,272
Dropbox, Inc., Class A (A)   116,905     2,840,792
Dynatrace, Inc. (A)   109,411     5,081,047
Manhattan Associates, Inc. (A)   28,095     7,030,212
Qualys, Inc. (A)   16,786     2,801,080
Teradata Corp. (A)   44,630     1,725,842
          30,407,545
Technology hardware, storage and peripherals – 0.5%      
Pure Storage, Inc., Class A (A)   135,539     7,046,673
          115,345,822
Materials – 6.8%          
Chemicals – 2.3%      
Arcadium Lithium PLC (A)   470,503     2,027,868
Ashland, Inc.   22,860     2,225,878
Avient Corp.   41,599     1,805,397
Axalta Coating Systems, Ltd. (A)   100,432     3,453,856
Cabot Corp.   25,296     2,332,291
NewMarket Corp.   3,151     1,999,688
Olin Corp.   54,852     3,225,298
RPM International, Inc.   58,809     6,995,331
The Chemours Company   67,737     1,778,774
The Scotts Miracle-Gro Company   19,144     1,427,951
Westlake Corp.   14,619     2,233,783
          29,506,115
Construction materials – 0.5%      
Eagle Materials, Inc.   15,721     4,272,182
Knife River Corp. (A)   25,813     2,092,918
          6,365,100
Containers and packaging – 1.6%      
AptarGroup, Inc.   30,125     4,334,686
Berry Global Group, Inc.   52,890     3,198,787
Crown Holdings, Inc.   54,624     4,329,498
Graphic Packaging Holding Company   139,664     4,075,396
Greif, Inc., Class A   11,625     802,706
Silgan Holdings, Inc.   36,935     1,793,564
Sonoco Products Company   44,701     2,585,506
          21,120,143
Metals and mining – 2.2%      
Alcoa Corp.   81,444     2,751,993
Cleveland-Cliffs, Inc. (A)   227,388     5,170,803
Commercial Metals Company   53,112     3,121,392
MP Materials Corp. (A)(B)   65,728     939,910
Reliance, Inc.   26,226     8,764,205
Royal Gold, Inc.   29,977     3,651,498
U.S. Steel Corp.   102,096     4,163,475
          28,563,276
Paper and forest products – 0.2%      
Louisiana-Pacific Corp.   29,288     2,457,556
          88,012,190
Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Real estate – 6.9%          
Diversified REITs – 0.5%      
WP Carey, Inc.   99,788   $ 5,632,035
Health care REITs – 0.6%      
Healthcare Realty Trust, Inc.   173,803     2,459,312
Omega Healthcare Investors, Inc.   111,931     3,544,855
Sabra Health Care REIT, Inc.   105,512     1,558,412
          7,562,579
Hotel and resort REITs – 0.1%      
Park Hotels & Resorts, Inc.   95,823     1,675,944
Industrial REITs – 1.2%      
EastGroup Properties, Inc.   21,767     3,913,054
First Industrial Realty Trust, Inc.   60,363     3,171,472
Rexford Industrial Realty, Inc.   96,172     4,837,452
STAG Industrial, Inc.   82,857     3,185,023
          15,107,001
Office REITs – 0.5%      
COPT Defense Properties   51,204     1,237,601
Cousins Properties, Inc.   69,259     1,664,986
Kilroy Realty Corp.   48,723     1,774,979
Vornado Realty Trust   72,954     2,098,887
          6,776,453
Real estate management and development – 0.3%      
Jones Lang LaSalle, Inc. (A)   21,710     4,235,404
Residential REITs – 1.1%      
American Homes 4 Rent, Class A   145,140     5,338,249
Apartment Income REIT Corp.   65,935     2,140,909
Equity LifeStyle Properties, Inc.   85,073     5,478,701
Independence Realty Trust, Inc.   102,412     1,651,906
          14,609,765
Retail REITs – 0.9%      
Agree Realty Corp.   45,781     2,615,011
Brixmor Property Group, Inc.   137,166     3,216,543
Kite Realty Group Trust   100,116     2,170,515
NNN REIT, Inc.   83,267     3,558,832
          11,560,901
Specialized REITs – 1.7%      
CubeSmart   102,612     4,640,115
EPR Properties   34,374     1,459,176
Gaming and Leisure Properties, Inc.   121,851     5,613,676
Lamar Advertising Company, Class A   39,965     4,772,221
National Storage Affiliates Trust   35,250     1,380,390
PotlatchDeltic Corp.   36,217     1,702,923
Rayonier, Inc.   62,253     2,069,290
          21,637,791
          88,797,873
Utilities – 3.2%          
Electric utilities – 0.8%      
ALLETE, Inc.   26,229     1,564,298
IDACORP, Inc.   23,097     2,145,480
OGE Energy Corp.   91,398     3,134,951
PNM Resources, Inc.   39,170     1,474,359
Portland General Electric Company   46,145     1,938,090
          10,257,178
Gas utilities – 0.9%      
National Fuel Gas Company   42,043     2,258,550
New Jersey Resources Corp.   44,860     1,924,943
ONE Gas, Inc.   25,305     1,632,932
Southwest Gas Holdings, Inc.   27,416     2,087,180
Spire, Inc.   25,091     1,539,835
 
  159  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Gas utilities (continued)      
UGI Corp.   95,624   $ 2,346,613
          11,790,053
Independent power and renewable electricity producers –
1.0%
     
Ormat Technologies, Inc.   24,512     1,622,449
Vistra Corp.   153,375     10,682,556
          12,305,005
Multi-utilities – 0.2%      
Black Hills Corp.   31,027     1,694,074
Northwestern Energy Group, Inc.   27,947     1,423,341
          3,117,415
Water utilities – 0.3%      
Essential Utilities, Inc.   114,739     4,251,080
          41,720,731
TOTAL COMMON STOCKS (Cost $913,020,133)   $ 1,244,585,516
Mid Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 4.9%      
Short-term funds – 4.9%          
John Hancock Collateral Trust, 5.2975% (C)(D)   6,324,172   $ 63,225,275
TOTAL SHORT-TERM INVESTMENTS (Cost $63,242,554)   $ 63,225,275
Total Investments (Mid Cap Index Trust)
(Cost $976,262,687) – 101.1%
  $ 1,307,810,791
Other assets and liabilities, net – (1.1%)     (14,534,440)
TOTAL NET ASSETS – 100.0%   $ 1,293,276,351
Security Abbreviations and Legend
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $13,540,533.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor. A portion of this security represents the investment of cash collateral received for securities lending. Market value of this investment amounted to $13,850,936.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
S&P Mid 400 E-Mini Index Futures 173 Long Jun 2024 $51,513,201 $53,239,020 $1,725,819
            $1,725,819
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Mid Value Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 95.1%      
Communication services – 2.1%          
Entertainment – 0.2%      
Sphere Entertainment Company (A)   33,581   $ 1,648,155
Media – 1.9%      
News Corp., Class A   408,541     10,695,603
News Corp., Class B   56,942     1,540,851
          12,236,454
          13,884,609
Consumer discretionary – 9.2%          
Automobiles – 1.5%      
General Motors Company   157,747     7,153,826
Rivian Automotive, Inc., Class A (A)(B)   256,300     2,806,485
          9,960,311
Diversified consumer services – 1.1%      
Bright Horizons Family Solutions, Inc. (A)   61,513     6,973,114
Hotels, restaurants and leisure – 1.4%      
Compass Group PLC   153,625     4,506,227
Norwegian Cruise Line Holdings, Ltd. (A)   238,800     4,998,084
          9,504,311
Specialty retail – 3.5%      
Advance Auto Parts, Inc.   98,212     8,356,859
Bath & Body Works, Inc.   153,920     7,699,078
Mid Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
Burlington Stores, Inc. (A)   29,454   $ 6,838,924
          22,894,861
Textiles, apparel and luxury goods – 1.7%      
Puma SE   93,772     4,243,769
Ralph Lauren Corp.   36,207     6,798,226
          11,041,995
          60,374,592
Consumer staples – 5.6%          
Beverages – 1.2%      
Constellation Brands, Inc., Class A   18,564     5,044,953
Monster Beverage Corp. (A)   47,612     2,822,439
          7,867,392
Consumer staples distribution and retail – 1.5%      
Dollar General Corp.   33,641     5,250,014
Sysco Corp.   53,727     4,361,558
          9,611,572
Food products – 2.1%      
Flowers Foods, Inc.   267,817     6,360,654
Tyson Foods, Inc., Class A   125,748     7,385,180
          13,745,834
Personal care products – 0.8%      
Kenvue, Inc.   242,500     5,204,050
          36,428,848
 
  160  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Mid Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Energy – 7.0%          
Energy equipment and services – 4.2%      
Baker Hughes Company   152,300   $ 5,102,050
Expro Group Holdings NV (A)   161,531     3,225,774
SEACOR Marine Holdings, Inc. (A)   32,990     459,881
TechnipFMC PLC   363,165     9,119,073
Tidewater, Inc. (A)   102,720     9,450,240
          27,357,018
Oil, gas and consumable fuels – 2.8%      
Cameco Corp.   86,509     3,747,570
Chesapeake Energy Corp.   86,100     7,648,263
Kinder Morgan, Inc.   64,000     1,173,760
Suncor Energy, Inc.   157,541     5,814,838
          18,384,431
          45,741,449
Financials – 15.7%          
Banks – 5.0%      
Fifth Third Bancorp   301,600     11,222,536
Popular, Inc.   91,672     8,075,386
Webster Financial Corp.   136,747     6,942,645
Western Alliance Bancorp   101,445     6,511,755
          32,752,322
Capital markets – 1.6%      
Main Street Capital Corp.   84,780     4,010,942
Morningstar, Inc.   15,482     4,774,184
Open Lending Corp. (A)   281,013     1,759,141
          10,544,267
Consumer finance – 0.8%      
OneMain Holdings, Inc.   106,504     5,441,289
Financial services – 5.3%      
Apollo Global Management, Inc.   45,421     5,107,591
Corebridge Financial, Inc. (B)   192,938     5,543,109
Corpay, Inc. (A)   29,863     9,213,930
Global Payments, Inc.   45,967     6,143,949
Jackson Financial, Inc., Class A   60,884     4,026,868
The Western Union Company   320,700     4,483,386
          34,518,833
Insurance – 3.0%      
Assurant, Inc.   22,498     4,235,024
Kemper Corp.   31,452     1,947,508
RenaissanceRe Holdings, Ltd.   22,664     5,326,720
The Allstate Corp.   29,586     5,118,674
The Hanover Insurance Group, Inc.   22,866     3,113,663
          19,741,589
          102,998,300
Health care – 9.7%          
Biotechnology – 0.5%      
Alkermes PLC (A)   120,100     3,251,107
Health care equipment and supplies – 3.5%      
Baxter International, Inc.   184,273     7,875,828
Dentsply Sirona, Inc.   143,065     4,748,327
Teleflex, Inc.   13,869     3,136,752
Zimmer Biomet Holdings, Inc.   51,859     6,844,351
          22,605,258
Health care providers and services – 2.5%      
Centene Corp. (A)   49,951     3,920,154
Mid Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care providers and services (continued)      
Select Medical Holdings Corp.   414,623   $ 12,500,883
          16,421,037
Life sciences tools and services – 0.8%      
Charles River Laboratories International, Inc. (A)   19,182     5,197,363
Pharmaceuticals – 2.4%      
Catalent, Inc. (A)   115,711     6,531,886
Elanco Animal Health, Inc. (A)   294,064     4,787,362
Viatris, Inc.   383,629     4,580,530
          15,899,778
          63,374,543
Industrials – 15.7%          
Aerospace and defense – 5.0%      
Huntington Ingalls Industries, Inc.   19,804     5,772,272
L3Harris Technologies, Inc.   31,029     6,612,280
Rolls-Royce Holdings PLC (A)   1,105,520     5,948,099
Spirit AeroSystems Holdings, Inc., Class A (A)   188,060     6,783,324
Textron, Inc.   78,069     7,489,159
          32,605,134
Building products – 1.4%      
Armstrong World Industries, Inc.   35,268     4,380,991
Carrier Global Corp.   5,700     331,341
Trane Technologies PLC   15,135     4,543,527
          9,255,859
Construction and engineering – 0.7%      
API Group Corp. (A)   121,843     4,784,775
Ground transportation – 1.8%      
JB Hunt Transport Services, Inc.   29,073     5,792,795
Norfolk Southern Corp.   23,560     6,004,737
          11,797,532
Machinery – 4.0%      
Esab Corp.   57,430     6,350,035
Stanley Black & Decker, Inc.   148,054     14,498,928
The Middleby Corp. (A)   34,425     5,535,196
          26,384,159
Passenger airlines – 0.8%      
Southwest Airlines Company   168,799     4,927,243
Professional services – 1.4%      
SS&C Technologies Holdings, Inc.   85,635     5,512,325
Verra Mobility Corp. (A)   140,788     3,515,476
          9,027,801
Trading companies and distributors – 0.6%      
Ashtead Group PLC   56,116     3,997,096
          102,779,599
Information technology – 11.7%          
Electronic equipment, instruments and components – 3.9%      
Corning, Inc.   358,137     11,804,196
TE Connectivity, Ltd.   48,938     7,107,755
Zebra Technologies Corp., Class A (A)   22,900     6,902,976
          25,814,927
IT services – 0.7%      
GoDaddy, Inc., Class A (A)   36,800     4,367,424
Semiconductors and semiconductor equipment – 2.4%      
MKS Instruments, Inc.   118,585     15,771,805
Software – 1.0%      
DocuSign, Inc. (A)   82,200     4,895,010
 
  161  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Mid Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
Fortinet, Inc. (A)   24,100   $ 1,646,271
          6,541,281
Technology hardware, storage and peripherals – 3.7%      
Pure Storage, Inc., Class A (A)   81,158     4,219,404
Western Digital Corp. (A)   289,500     19,755,483
          23,974,887
          76,470,324
Materials – 5.9%          
Chemicals – 1.6%      
FMC Corp.   87,645     5,582,987
The Scotts Miracle-Gro Company   66,614     4,968,738
          10,551,725
Construction materials – 1.8%      
Summit Materials, Inc., Class A (A)   218,526     9,739,704
Vulcan Materials Company   7,058     1,926,269
          11,665,973
Containers and packaging – 1.0%      
Ball Corp.   99,113     6,676,252
Metals and mining – 1.5%      
Franco-Nevada Corp.   41,666     4,964,669
Freeport-McMoRan, Inc.   98,277     4,620,985
          9,585,654
          38,479,604
Real estate – 6.3%          
Industrial REITs – 1.1%      
Rexford Industrial Realty, Inc.   136,576     6,869,773
Office REITs – 0.7%      
Douglas Emmett, Inc.   83,623     1,159,851
Vornado Realty Trust   129,333     3,720,910
          4,880,761
Residential REITs – 2.1%      
Apartment Investment and Management Company, Class A (A)   446,352     3,655,623
Equity Residential   82,853     5,228,853
Sun Communities, Inc.   37,200     4,783,176
          13,667,652
Retail REITs – 1.1%      
Regency Centers Corp.   82,520     4,997,411
Simon Property Group, Inc.   12,699     1,987,267
          6,984,678
Specialized REITs – 1.3%      
Rayonier, Inc.   137,203     4,560,628
Weyerhaeuser Company   112,389     4,035,889
          8,596,517
          40,999,381
Utilities – 6.2%          
Electric utilities – 3.8%      
Constellation Energy Corp.   44,587     8,241,907
Evergy, Inc.   29,598     1,579,941
FirstEnergy Corp.   232,197     8,967,448
PG&E Corp.   345,355     5,788,150
          24,577,446
Multi-utilities – 2.4%      
Ameren Corp.   95,446     7,059,186
CenterPoint Energy, Inc.   115,929     3,302,817
Dominion Energy, Inc.   114,000     5,607,660
          15,969,663
          40,547,109
TOTAL COMMON STOCKS (Cost $481,674,681)   $ 622,078,358
Mid Value Trust (continued)
    Shares or
Principal
Amount
  Value
CONVERTIBLE BONDS - 0.3%          
Information technology - 0.3%          
Wolfspeed, Inc.          
0.250%, 02/15/2028 $ 978,000   $ 570,663
1.875%, 12/01/2029   2,472,000     1,379,623
          1,950,286
TOTAL CONVERTIBLE BONDS (Cost $1,888,768)   $ 1,950,286
SHORT-TERM INVESTMENTS – 5.4%      
Short-term funds – 5.4%          
John Hancock Collateral Trust, 5.2975% (C)(D)   830,414     8,301,977
State Street Institutional U.S. Government Money Market Fund, Premier Class, 5.2417% (C)   1,643,777     1,643,777
T. Rowe Price Government Reserve Fund, 5.3578% (C)   25,737,846     25,737,846
TOTAL SHORT-TERM INVESTMENTS (Cost $35,685,814)   $ 35,683,600
Total Investments (Mid Value Trust)
(Cost $519,249,263) – 100.8%
  $ 659,712,244
Other assets and liabilities, net – (0.8%)     (5,524,581)
TOTAL NET ASSETS – 100.0%   $ 654,187,663
Security Abbreviations and Legend
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $8,125,249.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Opportunistic Fixed Income Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS - 37.2%
         
U.S. Government - 14.6%          
U.S. Treasury Bonds          
4.250%, 02/15/2054 $ 1,071,100   $ 1,053,360
4.750%, 11/15/2053   3,434,300     3,666,115
U.S. Treasury Treasury Inflation
Protected Securities
         
0.750%, 02/15/2042   2,865,828     2,286,089
1.125%, 01/15/2033   2,650,138     2,485,330
1.375%, 07/15/2033   4,640,058     4,452,966
1.625%, 10/15/2027 (A)   6,266,579     6,206,155
2.125%, 02/15/2054   532,523     538,086
2.375%, 10/15/2028   2,547,103     2,606,111
          23,294,212
U.S. Government Agency - 22.6%          
Federal Home Loan Mortgage Corp.          
5.500%, 10/01/2053 to 03/01/2054   1,793,056     1,784,258
6.500%, 11/01/2053   107,111     110,221
Federal National Mortgage Association          
2.000%, TBA (B)   500,000     395,573
2.500%, TBA (B)   1,325,000     1,165,205
2.500%, 04/01/2052   268,289     226,055
4.500%, TBA (B)   1,278,000     1,216,946
5.000%, TBA (B)   11,804,000     11,520,888
5.000%, 11/01/2053   149,323     145,723
5.500%, TBA (B)   10,451,000     10,400,786
5.500%, 03/01/2054   423,585     421,506
 
  162  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
         
U.S. Government Agency (continued)          
Federal National
Mortgage Association (continued)
         
6.000%, TBA (B) $ 6,331,000   $ 6,390,650
6.500%, 11/01/2053   186,349     191,759
Government National
Mortgage Association
         
2.000%, TBA (B)   1,075,000     880,769
5.000%, TBA (B)   675,000     663,498
5.500%, TBA (B)   425,000     424,750
          35,938,587
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $59,150,055)   $ 59,232,799
FOREIGN GOVERNMENT OBLIGATIONS - 39.3%      
Australia - 1.9%          
Commonwealth of Australia          
1.750%, 06/21/2051 AUD 5,645,000     2,151,007
2.750%, 05/21/2041   1,690,000     899,997
          3,051,004
Brazil - 6.6%          
Federative Republic of Brazil          
6.000%, 05/15/2035 BRL 1,137,000     998,748
9.856%, 01/01/2026 (C)   1,697,000     286,212
9.938%, 07/01/2026 (C)   1,559,000     250,375
10.000%, 01/01/2027 to 01/01/2035   41,606,000     8,324,431
10.208%, 07/01/2027 (C)   3,692,000     534,279
10.379%, 01/01/2028 (C)   1,146,000     156,876
          10,550,921
Bulgaria - 0.1%          
Republic of Bulgaria
4.500%, 01/27/2033
EUR 75,000     85,842
Canada - 1.2%          
Province of Ontario
2.000%, 12/01/2036
CAD 2,865,205     1,960,134
Chile - 0.1%          
Republic of Chile          
4.700%, 09/01/2030 (D) CLP 120,000,000     116,146
5.000%, 03/01/2035   15,000,000     14,305
6.000%, 01/01/2043   15,000,000     16,276
          146,727
Colombia - 1.6%          
Republic of Colombia          
3.875%, 02/15/2061 $ 645,000     373,023
4.125%, 02/22/2042   840,000     566,803
6.000%, 04/28/2028 COP 792,600,000     182,333
7.000%, 03/26/2031   952,100,000     212,059
7.250%, 10/18/2034   1,008,200,000     212,418
7.750%, 09/18/2030   1,202,100,000     283,639
9.250%, 05/28/2042   642,900,000     146,877
13.250%, 02/09/2033   1,949,900,000     593,409
          2,570,561
Czech Republic - 1.0%          
Czech Republic          
0.050%, 11/29/2029 CZK 2,580,000     89,456
0.950%, 05/15/2030   7,560,000     272,484
1.200%, 03/13/2031   6,810,000     244,275
1.500%, 04/24/2040   980,000     29,374
1.750%, 06/23/2032 to 06/23/2032   4,740,000     171,601
1.950%, 07/30/2037   460,000     15,435
2.000%, 10/13/2033   1,550,000     56,081
2.500%, 08/25/2028   3,510,000     142,207
4.500%, 11/11/2032   1,970,000     87,336
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Czech Republic (continued)          
Czech Republic (continued)          
4.900%, 04/14/2034 CZK 5,100,000   $ 233,776
5.000%, 09/30/2030   4,340,000     197,403
6.000%, 02/26/2026   2,430,000     107,718
          1,647,146
Dominican Republic - 0.6%          
Government of the Dominican Republic
11.250%, 09/15/2035 (D)
DOP 55,800,000     1,018,833
Ghana - 0.1%          
Republic of Ghana
10.750%, 10/14/2030
$ 250,000     169,300
Greece - 0.8%          
Republic of Greece, GDP-Linked Note
4.404%, 10/15/2042 (E)*
EUR 409,185,000     1,302,275
Hungary - 0.7%          
Republic of Hungary          
1.000%, 11/26/2025 HUF 11,030,000     27,646
1.625%, 04/28/2032 EUR 520,000     458,347
2.250%, 04/20/2033 to 06/22/2034 HUF 141,480,000     271,980
3.000%, 10/27/2027   51,450,000     124,686
3.250%, 10/22/2031   30,710,000     67,363
4.500%, 03/23/2028   19,240,000     48,585
4.750%, 11/24/2032   32,100,000     76,901
6.750%, 10/22/2028   37,840,000     103,671
          1,179,179
Iceland - 2.0%          
Republic of Iceland          
5.000%, 11/15/2028 ISK 433,770,000     2,832,746
6.500%, 01/24/2031   46,170,000     323,122
          3,155,868
Indonesia - 0.9%          
Republic of Indonesia          
6.375%, 08/15/2028 to 04/15/2032 IDR 6,835,000,000     426,301
6.500%, 02/15/2031   1,940,000,000     120,823
6.625%, 05/15/2033 to 02/15/2034   1,494,000,000     93,694
6.875%, 04/15/2029   917,000,000     58,376
7.000%, 05/15/2027 to 02/15/2033   3,452,000,000     221,486
7.125%, 06/15/2042 to 06/15/2043   1,191,000,000     76,129
7.500%, 08/15/2032 to 05/15/2038   6,354,000,000     422,081
8.375%, 03/15/2034   104,000,000     7,333
          1,426,223
Israel - 0.2%          
State of Israel          
4.500%, 04/03/2120 $ 200,000     149,000
5.750%, 03/12/2054   200,000     191,444
          340,444
Japan - 0.9%          
Government of Japan
1.800%, 09/20/2053
JPY 215,200,000     1,444,187
Malaysia - 1.0%          
Government of Malaysia          
2.632%, 04/15/2031 MYR 1,190,000     233,655
3.502%, 05/31/2027   305,000     64,434
3.582%, 07/15/2032   1,455,000     301,621
3.757%, 05/22/2040   270,000     55,414
3.882%, 03/14/2025   605,000     128,492
3.885%, 08/15/2029   955,000     203,968
3.906%, 07/15/2026   1,245,000     265,772
4.254%, 05/31/2035   240,000     52,232
4.642%, 11/07/2033   610,000     136,797
4.696%, 10/15/2042   450,000     102,579
 
  163  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Malaysia (continued)          
Government of Malaysia (continued)          
4.893%, 06/08/2038 MYR 450,000   $ 104,253
          1,649,217
Mexico - 2.8%          
Government of Mexico          
2.750%, 11/27/2031 MXN 22,782,455     1,173,637
5.500%, 03/04/2027   6,942,300     375,255
5.625%, 03/19/2114 GBP 100,000     97,059
7.500%, 05/26/2033 MXN 21,360,700     1,143,606
7.750%, 11/13/2042   3,077,500     157,149
8.000%, 05/24/2035 to 07/31/2053   4,228,300     221,993
8.500%, 05/31/2029 to 11/18/2038   4,263,100     245,803
10.000%, 11/20/2036   1,035,600     65,551
10.727%, 07/10/2025 (C)   8,478,400     446,975
10.749%, 10/30/2025 (C)   8,043,060     410,658
10.757%, 12/24/2025 (C)   998,140     50,168
          4,387,854
New Zealand - 4.3%          
Government of New Zealand          
1.500%, 05/15/2031 NZD 690,000     338,501
2.750%, 05/15/2051   2,975,000     1,210,255
Government of New Zealand, Inflation
Linked Bond
         
3.170%, 09/20/2040   3,365,000     2,451,847
3.203%, 09/20/2035   2,315,000     1,755,026
3.904%, 09/20/2030   1,280,000     1,038,718
          6,794,347
North Macedonia - 0.4%          
Republic of North Macedonia          
1.625%, 03/10/2028 EUR 470,000     439,874
2.750%, 01/18/2025   150,000     158,510
          598,384
Norway - 2.6%          
Kingdom of Norway          
1.250%, 09/17/2031 (D) NOK 27,765,000     2,176,521
3.625%, 04/13/2034 (D)   20,335,000     1,882,940
          4,059,461
Peru - 0.6%          
Republic of Peru          
5.400%, 08/12/2034 PEN 575,000     132,973
6.150%, 08/12/2032   70,000     17,670
6.900%, 08/12/2037   120,000     30,615
6.950%, 08/12/2031   1,180,000     318,639
7.300%, 08/12/2033 (D)   1,352,000     364,886
          864,783
Poland - 0.9%          
Republic of Poland          
1.750%, 04/25/2032 PLN 940,000     180,347
2.750%, 04/25/2028 to 10/25/2029   690,000     155,349
3.250%, 07/25/2025   660,000     161,220
3.750%, 05/25/2027   1,420,000     341,052
5.790%, (6 month WIBOR + 0.000%), 11/25/2029 (F)   420,000     102,847
7.500%, 07/25/2028   1,535,000     416,342
          1,357,157
Romania - 0.7%          
Republic of Romania          
3.700%, 11/25/2024 RON 90,000     19,243
4.750%, 10/11/2034   1,210,000     226,880
4.850%, 07/25/2029   335,000     67,849
5.800%, 07/26/2027   850,000     182,329
6.700%, 02/25/2032   320,000     70,094
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Romania (continued)          
Republic of Romania (continued)          
8.000%, 04/29/2030 RON 1,020,000   $ 238,650
8.250%, 09/29/2032   870,000     208,689
8.750%, 10/30/2028   595,000     141,611
          1,155,345
Serbia - 0.1%          
Republic of Serbia
1.650%, 03/03/2033
EUR 100,000     80,509
South Africa - 1.5%          
Republic of South Africa          
5.375%, 07/24/2044 $ 200,000     144,502
5.750%, 09/30/2049   200,000     144,826
6.250%, 03/31/2036 ZAR 11,665,000     382,962
7.000%, 02/28/2031 to 02/28/2031   6,130,000     260,638
7.300%, 04/20/2052 $ 200,000     173,000
8.250%, 03/31/2032 ZAR 7,875,000     346,808
8.500%, 01/31/2037   13,740,000     534,801
8.750%, 01/31/2044   5,755,000     212,516
9.000%, 01/31/2040   4,465,000     173,885
11.625%, 03/31/2053   955,000     45,387
          2,419,325
South Korea - 1.8%          
Republic of Korea          
1.125%, 06/10/2030 KRW 2,220,600,149     1,645,271
1.750%, 06/10/2028   1,636,303,262     1,281,964
          2,927,235
Sweden - 2.3%          
Kingdom of Sweden, Inflation
Linked Bond
         
0.151%, 06/01/2039 SEK 5,550,000     556,017
0.166%, 06/01/2032   26,820,000     3,130,181
          3,686,198
Thailand - 0.9%          
Kingdom of Thailand          
1.000%, 06/17/2027 THB 6,320,000     166,719
1.585%, 12/17/2035   10,170,000     250,054
2.000%, 12/17/2031 to 06/17/2042   10,810,000     287,059
2.875%, 12/17/2028 to 06/17/2046   8,465,000     237,096
3.350%, 06/17/2033   11,107,000     324,640
3.450%, 06/17/2043   4,970,000     144,920
          1,410,488
United Kingdom - 0.4%          
United Kingdom of Great Britain
0.500%, 10/22/2061
GBP 1,760,000     689,179
Uruguay - 0.3%          
Republic of Uruguay          
8.500%, 03/15/2028 UYU 10,093,000     263,725
9.750%, 07/20/2033   5,993,000     167,585
          431,310
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $68,105,157)   $ 62,559,436
CORPORATE BONDS - 14.4%      
Belgium - 0.1%          
Belfius Bank SA
4.125%, 09/12/2029
EUR 100,000     111,235
Crelan SA
5.250%, (5.250% to 1-23-31, then 1 Year EURIBOR ICE Swap Rate + 2.750%), 01/23/2032
  100,000     111,953
          223,188
 
  164  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Canada - 0.8%          
Bausch & Lomb Escrow Corp.
8.375%, 10/01/2028 (D)
$ 175,000   $ 181,066
Bausch Health Companies, Inc.          
4.875%, 06/01/2028 (D)   29,000     15,825
5.250%, 01/30/2030 (D)   185,000     76,321
Constellation Software, Inc.
5.461%, 02/16/2034 (D)
  15,000     15,098
Emera, Inc.
6.750%, (6.750% to 6-15-26, then 3 month LIBOR + 5.440% to 6-15-46, then 3 month LIBOR + 6.190%), 06/15/2076
  155,000     153,082
Enbridge, Inc.          
5.700%, 03/08/2033   25,000     25,604
5.750%, (5.750% to 7-15-30, then 5 Year CMT + 5.314% to 7-15-50, then 5 Year CMT + 6.064%), 07/15/2080   154,000     145,745
8.500%, (8.500% to 1-15-34, then 5 Year CMT + 4.431% to 1-15-54, then 5 Year CMT + 5.181%), 01/15/2084   38,000     41,288
goeasy, Ltd.          
7.625%, 07/01/2029 (D)   70,000     70,101
9.250%, 12/01/2028 (D)   140,000     149,268
Ontario Gaming GTA LP
8.000%, 08/01/2030 (D)
  90,000     92,698
The Bank of Nova Scotia
4.900%, (4.900% to 6-4-25, then 5 Year CMT + 4.551%), 06/04/2025 (G)
  174,000     171,220
Transcanada Trust          
5.600%, (5.600% to 3-7-32, then 5 Year CMT + 3.986% to 3-7-52, then 5 Year CMT + 4.736%), 03/07/2082   194,000     177,103
5.875%, (5.875% to 8-15-26, then 3 month LIBOR + 4.640% to 8-15-46, then 3 month LIBOR + 5.390%), 08/15/2076   41,000     39,837
          1,354,256
Cayman Islands - 0.1%          
Diamond Foreign Asset Company
8.500%, 10/01/2030 (D)
  135,000     142,480
Chile - 0.1%          
VTR Comunicaciones SpA
4.375%, 04/15/2029
  200,000     137,766
China - 0.0%          
CIFI Holdings Group Company, Ltd.
4.375%, 04/12/2027 (H)
  260,000     19,050
Country Garden Holdings Company, Ltd.
3.875%, 10/22/2030 (H)
  290,000     18,595
Times China Holdings, Ltd.
5.750%, 01/14/2027 (H)
  200,000     5,250
Yuzhou Group Holdings Company, Ltd.          
6.350%, 01/13/2027 (H)   200,000     8,875
7.375%, 01/13/2026 (H)   200,000     9,654
          61,424
Colombia - 0.1%          
Ecopetrol SA
8.375%, 01/19/2036
  100,000     100,942
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Cyprus - 0.1%          
Hellenic Bank PCL
10.250%, (10.250% to 6-14-28, then 5 Year Euro Swap Rate + 6.854%), 06/14/2033
EUR 100,000   $ 122,449
Finland - 0.3%          
Nokia OYJ
6.625%, 05/15/2039
$ 454,000     442,455
France - 1.3%          
Altice France SA
5.125%, 07/15/2029 (D)
  200,000     135,207
Banque Federative du Credit Mutuel SA
3.625%, 09/14/2032
EUR 100,000     109,231
BPCE SA
5.716%, (5.716% to 1-18-29, then 1 Year CMT + 1.959%), 01/18/2030 (D)
$ 250,000     251,235
Societe Generale SA          
6.221%, (6.221% to 6-15-32, then 1 Year CMT + 3.200%), 06/15/2033 (D)   420,000     420,817
10.000%, (10.000% to 5-14-29, then 5 Year CMT + 5.448%), 11/14/2028 (D)(G)   200,000     212,173
Teleperformance SE
5.750%, 11/22/2031
EUR 100,000     112,875
TotalEnergies SE
2.125%, (2.125% to 1-25-33, then 5 Year Euro Swap Rate + 2.513% to 1-25-53, then 5 Year Euro Swap Rate + 3.263%), 07/25/2032 (G)
  470,000     414,572
Valeo SE
1.000%, 08/03/2028
  500,000     469,835
          2,125,945
Germany - 0.2%          
Deutsche Bank AG
4.500%, (4.500% to 4-30-27, then 5 Year EURIBOR ICE Swap Rate + 4.552%), 11/30/2026 (G)
  200,000     185,581
Peach Property Finance GmbH
4.375%, 11/15/2025
  100,000     94,497
          280,078
Greece - 0.1%          
Piraeus Financial Holdings SA          
5.500%, (5.500% to 2-19-25, then 5 Year Euro Swap Rate + 5.774%), 02/19/2030   100,000     106,396
7.250%, (7.250% to 4-17-29, then 5 Year Euro Swap Rate + 4.773%), 04/17/2034   100,000     111,122
          217,518
Italy - 0.6%          
Assicurazioni Generali SpA
2.429%, 07/14/2031
  600,000     574,967
Cerved Group SpA
6.000%, 02/15/2029 (D)
  100,000     100,488
Intesa Sanpaolo SpA
7.800%, 11/28/2053 (D)
$ 200,000     226,912
Telecom Italia Capital SA
6.375%, 11/15/2033
  5,000     4,730
          907,097
Luxembourg - 0.2%          
Altice Financing SA
5.750%, 08/15/2029 (D)
  200,000     160,248
 
  165  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Luxembourg (continued)          
Cosan Luxembourg SA
7.250%, 06/27/2031 (D)
$ 200,000   $ 204,262
Trinseo Materials Operating SCA
5.125%, 04/01/2029 (D)
  105,000     30,450
          394,960
Malta - 0.0%          
VistaJet Malta Finance PLC
6.375%, 02/01/2030 (D)(I)
  91,000     67,078
Mexico - 0.1%          
Trust Fibra Uno
6.390%, 01/15/2050
  200,000     162,291
Unifin Financiera SAB de CV
8.375%, 01/27/2028 (H)
  205,000     13,325
          175,616
Netherlands - 0.1%          
United Group BV
6.750%, 02/15/2031 (D)
EUR 100,000     110,438
Singapore - 0.1%          
Medco Laurel Tree Pte, Ltd.
6.950%, 11/12/2028
$ 200,000     194,518
Supranational - 0.1%          
Asian Development Bank
11.039%, 04/30/2040 (C)
ZAR 8,900,000     85,108
Switzerland - 0.3%          
UBS Group AG          
1.494%, (1.494% to 8-10-26, then 1 Year CMT + 0.850%), 08/10/2027 (D) $ 200,000     181,860
9.250%, (9.250% to 11-13-33, then 5 Year CMT + 4.758%), 11/13/2033 (D)(G)   200,000     225,707
          407,567
United Kingdom - 0.6%          
Ardonagh Finco, Ltd.
6.875%, 02/15/2031 (D)
EUR 120,000     127,461
BAT International Finance PLC
5.931%, 02/02/2029
$ 30,000     30,793
BP Capital Markets PLC
4.875%, (4.875% to 6-22-30, then 5 Year CMT + 4.398% to 6-22-50, then 5 Year CMT + 5.148%), 03/22/2030 (G)
  88,000     83,954
Howden UK Refinance PLC
8.125%, 02/15/2032 (D)
  200,000     201,697
Macquarie Airfinance Holdings, Ltd.
8.125%, 03/30/2029 (D)
  39,000     41,247
Virgin Money UK PLC
11.000%, (11.000% to 6-9-29, then 5 Year United Kingdom Gilt Rate + 6.993%), 12/08/2028 (G)
GBP 200,000     283,683
Vmed O2 UK Financing I PLC
7.750%, 04/15/2032 (D)
$ 200,000     200,500
          969,335
United States - 9.1%          
AbbVie, Inc.          
4.250%, 11/21/2049   35,000     30,312
4.400%, 11/06/2042   15,000     13,615
4.950%, 03/15/2031   10,000     10,071
Acrisure LLC
6.000%, 08/01/2029 (D)
  140,000     128,391
Adams Homes, Inc.
7.500%, 02/15/2025 (D)
  4,000     3,999
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Air Lease Corp.
4.125%, (4.125% to 12-15-26, then 5 Year CMT + 3.149%), 12/15/2026 (G)
$ 101,000   $ 87,503
Aircastle, Ltd.
5.250%, (5.250% to 9-15-26, then 5 Year CMT + 4.410% to 9-15-31, then 5 Year CMT + 4.660% to 9-15-46, then 5 Year CMT + 5.160%), 06/15/2026 (D)(G)
  161,000     153,356
Alliant Holdings Intermediate LLC
6.750%, 10/15/2027 (D)
  104,000     102,463
AMC Networks, Inc.
10.250%, 01/15/2029 (D)
  150,000     151,089
American Express Company
3.550%, (3.550% to 9-15-26, then 5 Year CMT + 2.854%), 09/15/2026 (G)
  142,000     131,436
American International Group, Inc.
4.500%, 07/16/2044
  35,000     31,327
AmeriGas Partners LP
5.750%, 05/20/2027
  107,000     104,514
Ameriprise Financial, Inc.
5.700%, 12/15/2028
  25,000     25,790
Amgen, Inc.          
2.450%, 02/21/2030   35,000     30,605
5.600%, 03/02/2043   5,000     5,087
5.650%, 03/02/2053   20,000     20,379
Anheuser-Busch InBev Worldwide, Inc.          
4.600%, 04/15/2048   5,000     4,569
5.000%, 06/15/2034   40,000     40,238
5.450%, 01/23/2039   20,000     20,650
Antero Midstream Partners LP
6.625%, 02/01/2032 (D)
  130,000     130,568
Antero Resources Corp.
5.375%, 03/01/2030 (D)
  70,000     67,227
Aon North America, Inc.          
5.300%, 03/01/2031   20,000     20,149
5.450%, 03/01/2034   20,000     20,231
5.750%, 03/01/2054   10,000     10,252
Archer-Daniels-Midland Company          
2.900%, 03/01/2032   5,000     4,307
4.500%, 08/15/2033   25,000     24,192
Ares Finance Company III LLC
4.125%, (4.125% to 6-30-26, then 5 Year CMT + 3.237%), 06/30/2051 (D)
  47,000     43,604
Aretec Group, Inc.
10.000%, 08/15/2030 (D)
  90,000     98,305
AssuredPartners, Inc.          
5.625%, 01/15/2029 (D)   123,000     113,317
7.500%, 02/15/2032 (D)   55,000     54,046
AT&T, Inc.          
2.300%, 06/01/2027   32,000     29,496
3.500%, 06/01/2041 to 09/15/2053   40,000     29,347
3.650%, 09/15/2059   20,000     13,924
4.550%, 03/09/2049   5,000     4,276
Athene Global Funding
5.339%, 01/15/2027 (D)
  50,000     49,773
Athene Holding, Ltd.          
5.875%, 01/15/2034   10,000     10,020
6.250%, 04/01/2054   20,000     20,298
Bank of America Corp.          
5.202%, (5.202% to 4-25-28, then Overnight SOFR + 1.630%), 04/25/2029   30,000     30,028
 
  166  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Bank of America Corp. (continued)          
5.288%, (5.288% to 4-25-33, then Overnight SOFR + 1.910%), 04/25/2034 $ 45,000   $ 44,863
BAT Capital Corp.
4.390%, 08/15/2037
  20,000     16,811
Bayer US Finance LLC
6.875%, 11/21/2053 (D)
  200,000     205,193
BCPE Ulysses Intermediate, Inc.
7.750%, (7.750% Cash or 8.500% PIK), 04/01/2027 (D)
  94,000     93,059
Black Knight InfoServ LLC
3.625%, 09/01/2028 (D)
  490,000     463,050
BlackRock Funding, Inc.
5.250%, 03/14/2054
  25,000     25,124
Bread Financial Holdings, Inc.
9.750%, 03/15/2029 (D)
  191,000     198,769
Brixmor Operating Partnership LP
5.500%, 02/15/2034
  20,000     19,749
Broadcom Corp.
3.875%, 01/15/2027
  74,000     71,738
Caesars Entertainment, Inc.
7.000%, 02/15/2030 (D)
  40,000     41,059
Capital One Financial Corp.          
5.700%, (5.700% to 2-1-29, then Overnight SOFR + 1.905%), 02/01/2030   5,000     5,043
6.312%, (6.312% to 6-8-28, then Overnight SOFR + 2.640%), 06/08/2029   15,000     15,421
CBRE Services, Inc.
5.500%, 04/01/2029
  10,000     10,060
CCO Holdings LLC          
4.500%, 08/15/2030 (D)   75,000     62,854
4.750%, 03/01/2030 (D)   148,000     127,079
5.375%, 06/01/2029 (D)   92,000     84,221
Celanese US Holdings LLC          
6.379%, 07/15/2032   30,000     31,122
6.550%, 11/15/2030   40,000     42,073
Cencora, Inc.
5.125%, 02/15/2034
  50,000     49,914
Charter Communications Operating LLC          
3.500%, 06/01/2041   25,000     16,787
3.700%, 04/01/2051   40,000     24,738
3.950%, 06/30/2062   145,000     87,481
4.400%, 12/01/2061   265,000     173,039
Cheniere Energy Partners LP
3.250%, 01/31/2032
  25,000     21,296
Cheniere Energy, Inc.
5.650%, 04/15/2034 (D)
  30,000     30,214
Cisco Systems, Inc.          
5.050%, 02/26/2034   30,000     30,404
5.300%, 02/26/2054   10,000     10,265
Citigroup, Inc.          
4.000%, (4.000% to 12-10-25, then 5 Year CMT + 3.597%), 12/10/2025 (G)   89,000     85,328
7.200%, (7.200% to 5-15-29, then 5 Year CMT + 2.905), 05/15/2029 (G)   55,000     56,403
Citizens Financial Group, Inc.          
3.250%, 04/30/2030   41,000     36,113
5.650%, (5.650% to 10-6-25, then 5 Year CMT + 5.313%), 10/06/2025 (G)   42,000     41,038
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Clear Channel Outdoor Holdings, Inc.          
7.750%, 04/15/2028 (D) $ 73,000   $ 63,933
9.000%, 09/15/2028 (D)(I)   115,000     119,786
Clydesdale Acquisition Holdings, Inc.
8.750%, 04/15/2030 (D)
  88,000     86,463
CMS Energy Corp.          
3.750%, (3.750% to 12-1-30, then 5 Year CMT + 2.900%), 12/01/2050   103,000     84,381
4.750%, (4.750% to 6-1-30, then 5 Year CMT + 4.116%), 06/01/2050   92,000     84,733
CoBank ACB
6.250%, (6.250% to 10-1-26, then 3 month LIBOR + 4.660%), 10/01/2026 (G)
  41,000     40,161
Columbia Pipelines Holding Company LLC
5.681%, 01/15/2034 (D)
  10,000     9,934
Columbia Pipelines Operating Company LLC
6.497%, 08/15/2043 (D)
  20,000     21,462
Comcast Corp.          
2.800%, 01/15/2051   12,000     7,678
3.750%, 04/01/2040   42,000     34,912
Community Health Systems, Inc.
8.000%, 12/15/2027 (D)
  90,000     88,284
Corebridge Financial, Inc.
3.900%, 04/05/2032
  30,000     26,983
Covanta Holding Corp.          
4.875%, 12/01/2029 (D)   45,000     40,331
5.000%, 09/01/2030   110,000     96,941
Cox Communications, Inc.
5.800%, 12/15/2053 (D)
  90,000     89,215
CP Atlas Buyer, Inc.
7.000%, 12/01/2028 (D)
  145,000     136,084
Credit Acceptance Corp.
9.250%, 12/15/2028 (D)
  40,000     43,023
CSC Holdings LLC          
4.500%, 11/15/2031 (D)   200,000     141,593
4.625%, 12/01/2030 (D)   200,000     101,563
CVS Health Corp.
5.125%, 07/20/2045
  30,000     27,646
Discover Financial Services
6.125%, (6.125% to 9-23-25, then 5 Year CMT + 5.783%), 06/23/2025 (G)
  146,000     146,301
Discovery Communications LLC          
5.000%, 09/20/2037   22,000     19,342
5.200%, 09/20/2047   10,000     8,402
DISH DBS Corp.          
5.125%, 06/01/2029   10,000     4,171
5.750%, 12/01/2028 (D)   12,000     8,247
Dominion Energy, Inc.          
4.350%, (4.350% to 4-15-27, then 5 Year CMT + 3.195%), 01/15/2027 (G)   45,000     42,127
4.650%, (4.650% to 12-15-24, then 5 Year CMT + 2.993%), 12/15/2024 (G)   45,000     44,047
Edison International
5.375%, (5.375% to 3-15-26, then 5 Year CMT + 4.698%), 03/15/2026 (G)
  162,000     156,765
Eli Lilly & Company          
5.000%, 02/09/2054   5,000     4,972
5.100%, 02/09/2064   30,000     29,856
Emera US Finance LP
4.750%, 06/15/2046
  45,000     36,977
 
  167  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Energy Transfer LP          
5.950%, 05/15/2054 $ 25,000   $ 24,949
6.400%, 12/01/2030   25,000     26,389
8.000%, (8.000% to 5-15-29, then 5 Year CMT + 4.020%), 05/15/2054   40,000     41,955
EQM Midstream Partners LP
4.750%, 01/15/2031 (D)
  90,000     83,696
Equinix, Inc.
3.200%, 11/18/2029
  68,000     60,876
Equitable Financial Life Global Funding
1.800%, 03/08/2028 (D)
  50,000     44,026
ERAC USA Finance LLC
5.200%, 10/30/2034 (D)
  20,000     19,941
Fifth Third Bancorp
4.500%, (4.500% to 9-30-25, then 5 Year CMT + 4.215%), 09/30/2025 (G)
  65,000     62,607
FirstCash, Inc.          
4.625%, 09/01/2028 (D)   44,000     41,414
5.625%, 01/01/2030 (D)   43,000     40,861
FirstEnergy Corp.          
5.100%, 07/15/2047   25,000     21,946
7.375%, 11/15/2031   15,000     17,661
FMC Corp.
3.450%, 10/01/2029
  38,000     34,210
Freedom Mortgage Corp.          
7.625%, 05/01/2026 (D)   92,000     91,857
12.000%, 10/01/2028 (D)   20,000     21,800
12.250%, 10/01/2030 (D)   70,000     76,985
Freedom Mortgage Holdings LLC
9.250%, 02/01/2029 (D)
  129,000     132,025
Frontier Communications Holdings LLC
6.750%, 05/01/2029 (D)
  218,000     194,279
General Motors Financial Company, Inc.
5.700%, (5.700% to 9-30-30, then 5 Year CMT + 4.997%), 09/30/2030 (G)
  44,000     42,189
Georgia Power Company          
4.300%, 03/15/2042   30,000     26,136
5.125%, 05/15/2052   15,000     14,509
5.250%, 03/15/2034   15,000     15,151
Glencore Funding LLC          
5.634%, 04/04/2034 (D)   85,000     85,227
5.893%, 04/04/2054 (D)   15,000     15,197
Global Atlantic Fin Company
4.700%, (4.700% to 10-15-26, then 5 Year CMT + 3.796%), 10/15/2051 (D)
  118,000     106,344
Gray Television, Inc.
5.375%, 11/15/2031 (D)
  95,000     62,293
Great Lakes Dredge & Dock Corp.
5.250%, 06/01/2029 (D)(I)
  400,000     355,877
Hanesbrands, Inc.
9.000%, 02/15/2031 (D)(I)
  85,000     87,333
HCA, Inc.          
3.500%, 09/01/2030 to 07/15/2051   45,000     38,561
4.625%, 03/15/2052   15,000     12,536
Hess Corp.          
5.800%, 04/01/2047   55,000     56,551
7.125%, 03/15/2033   10,000     11,317
Hightower Holding LLC
6.750%, 04/15/2029 (D)
  160,000     150,357
Highwoods Realty LP          
3.050%, 02/15/2030   15,000     12,648
4.125%, 03/15/2028   18,000     16,831
HUB International, Ltd.          
5.625%, 12/01/2029 (D)   45,000     42,193
7.375%, 01/31/2032 (D)   45,000     45,303
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Humana, Inc.
5.500%, 03/15/2053
$ 76,000   $ 73,949
Huntington Bancshares, Inc.          
4.443%, (4.443% to 8-4-27, then Overnight SOFR + 1.970%), 08/04/2028   25,000     24,125
4.450%, (4.450% to 10-15-27, then 7 Year CMT + 4.045%), 10/15/2027 (G)   51,000     46,216
6.208%, (6.208% to 8-21-28, then Overnight SOFR + 2.020%), 08/21/2029   20,000     20,470
Intel Corp.
3.050%, 08/12/2051
  50,000     33,703
Intercontinental Exchange, Inc.
1.850%, 09/15/2032
  40,000     31,191
Iron Mountain, Inc.
7.000%, 02/15/2029 (D)
  160,000     163,049
JBS USA LUX SA
7.250%, 11/15/2053 (D)
  15,000     16,122
JPMorgan Chase & Co.          
2.522%, (2.522% to 4-22-30, then Overnight SOFR + 2.040%), 04/22/2031   30,000     25,928
4.323%, (4.323% to 4-26-27, then Overnight SOFR + 1.560%), 04/26/2028   45,000     43,961
5.336%, (5.336% to 1-23-34, then Overnight SOFR + 1.620%), 01/23/2035   25,000     25,098
6.087%, (6.087% to 10-23-28, then Overnight SOFR + 1.570%), 10/23/2029   60,000     62,377
Kyndryl Holdings, Inc.          
3.150%, 10/15/2031   65,000     54,695
4.100%, 10/15/2041   60,000     46,009
L3Harris Technologies, Inc.
5.250%, 06/01/2031
  45,000     44,917
LBM Acquisition LLC
6.250%, 01/15/2029 (D)
  43,000     40,315
LFS Topco LLC
5.875%, 10/15/2026 (D)
  95,000     88,113
Liberty Mutual Group, Inc.          
4.125%, (4.125% to 12-15-26, then 5 Year CMT + 3.315%), 12/15/2051 (D)   191,000     172,426
4.300%, 02/01/2061 (D)   275,000     175,015
LKQ Corp.
6.250%, 06/15/2033
  30,000     31,237
Lowe's Companies, Inc.          
3.700%, 04/15/2046   15,000     11,481
4.250%, 04/01/2052   20,000     16,386
LXP Industrial Trust
6.750%, 11/15/2028
  15,000     15,636
M&T Bank Corp.          
4.553%, (4.553% to 8-16-27, then SOFR Compounded Index + 1.780%), 08/16/2028   40,000     38,189
5.053%, (5.053% to 1-27-33, then Overnight SOFR + 1.850%), 01/27/2034   20,000     18,594
7.413%, (7.413% to 10-30-28, then Overnight SOFR + 2.800%), 10/30/2029   25,000     26,367
 
  168  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Macy's Retail Holdings LLC          
5.125%, 01/15/2042 $ 39,000   $ 33,878
6.125%, 03/15/2032 (D)   45,000     43,618
MajorDrive Holdings IV LLC
6.375%, 06/01/2029 (D)
  48,000     45,018
Medline Borrower LP
5.250%, 10/01/2029 (D)
  190,000     179,582
Merck & Company, Inc.
5.150%, 05/17/2063
  10,000     9,904
Meta Platforms, Inc.          
3.850%, 08/15/2032   20,000     18,741
5.600%, 05/15/2053   25,000     26,423
Micron Technology, Inc.          
4.185%, 02/15/2027   30,000     29,232
5.300%, 01/15/2031   45,000     45,260
5.875%, 09/15/2033   10,000     10,368
Monongahela Power Company
5.850%, 02/15/2034 (D)
  20,000     20,539
Morgan Stanley
3.622%, (3.622% to 4-1-30, then Overnight SOFR + 3.120%), 04/01/2031
  42,000     38,519
MSCI, Inc.
3.625%, 09/01/2030 (D)
  105,000     93,196
Nationstar Mortgage Holdings, Inc.
5.125%, 12/15/2030 (D)
  110,000     99,801
New Mountain Finance Corp.
6.875%, 02/01/2029
  88,000     87,073
NextEra Energy Operating Partners LP
7.250%, 01/15/2029 (D)
  110,000     112,548
Nordstrom, Inc.
2.300%, 04/08/2024
  35,000     34,906
Occidental Petroleum Corp.
4.500%, 07/15/2044
  60,000     46,983
ONEOK, Inc.          
5.800%, 11/01/2030   15,000     15,453
6.350%, 01/15/2031   20,000     21,176
6.625%, 09/01/2053   15,000     16,532
Open Text Holdings, Inc.
4.125%, 12/01/2031 (D)
  138,000     121,108
Oracle Corp.          
3.600%, 04/01/2050   55,000     39,736
6.250%, 11/09/2032   25,000     26,749
Pacific Gas & Electric Company          
4.550%, 07/01/2030   25,000     23,763
4.950%, 07/01/2050   63,000     54,192
Paramount Global          
4.375%, 03/15/2043   250,000     169,659
5.850%, 09/01/2043   15,000     12,154
PennyMac Financial Services, Inc.          
5.750%, 09/15/2031 (D)   48,000     44,523
7.875%, 12/15/2029 (D)   15,000     15,413
Philip Morris International, Inc.
5.250%, 02/13/2034
  35,000     34,690
Post Holdings, Inc.
5.500%, 12/15/2029 (D)
  98,000     94,702
Presidio Holdings, Inc.
8.250%, 02/01/2028 (D)
  63,000     62,830
Prologis Targeted U.S. Logistics Fund LP
5.250%, 04/01/2029 (D)
  10,000     9,971
Prologis Targeted US Logistics Fund LP
5.500%, 04/01/2034 (D)
  15,000     15,094
Range Resources Corp.          
4.750%, 02/15/2030 (D)   15,000     13,985
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
Range Resources Corp. (continued)          
8.250%, 01/15/2029 $ 45,000   $ 46,809
Regal Rexnord Corp.
6.050%, 04/15/2028 (D)
  20,000     20,275
Royalty Pharma PLC
3.300%, 09/02/2040
  11,000     8,197
RTX Corp.
2.150%, 05/18/2030
EUR 190,000     188,050
Scripps Escrow II, Inc.
5.375%, 01/15/2031 (D)
$ 95,000     58,450
Sempra
4.125%, (4.125% to 4-1-27, then 5 Year CMT + 2.868%), 04/01/2052
  114,000     105,170
Sinclair Television Group, Inc.
4.125%, 12/01/2030 (D)
  90,000     65,552
Sixth Street Lending Partners
6.500%, 03/11/2029 (D)
  64,000     63,962
Solventum Corp.
5.450%, 03/13/2031 (D)
  30,000     29,922
Southwest Gas Corp.          
2.200%, 06/15/2030   54,000     45,490
4.050%, 03/15/2032   10,000     9,158
STL Holding Company LLC
8.750%, 02/15/2029 (D)
  75,000     76,972
Stryker Corp.
4.625%, 03/15/2046
  20,000     18,283
Tapestry, Inc.          
7.000%, 11/27/2026   20,000     20,606
7.700%, 11/27/2030   15,000     15,996
Targa Resources Partners LP
6.875%, 01/15/2029
  40,000     41,157
TEGNA, Inc.
5.000%, 09/15/2029
  75,000     67,233
Terex Corp.
5.000%, 05/15/2029 (D)
  88,000     83,080
The Allstate Corp.          
4.500%, 06/15/2043   10,000     8,780
5.550%, 05/09/2035   30,000     31,138
The Boeing Company
3.950%, 08/01/2059
  15,000     10,264
The Charles Schwab Corp.          
2.450%, 03/03/2027   10,000     9,319
6.196%, (6.196% to 11-17-28, then Overnight SOFR + 1.878%), 11/17/2029   30,000     31,182
The Cigna Group
5.600%, 02/15/2054
  90,000     90,335
The Goldman Sachs Group, Inc.          
1.948%, (1.948% to 10-21-26, then Overnight SOFR + 0.913%), 10/21/2027   30,000     27,577
2.600%, 02/07/2030   35,000     30,636
3.650%, (3.650% to 8-10-26, then 5 Year CMT + 2.915%), 08/10/2026 (G)   94,000     85,856
4.482%, (4.482% to 8-23-27, then Overnight SOFR + 1.725%), 08/23/2028   32,000     31,284
4.950%, (4.950% to 2-10-25, then 5 Year CMT + 3.224%), 02/10/2025 (G)   88,000     86,546
The Hertz Corp.
5.000%, 12/01/2029 (D)(I)
  205,000     158,417
The Michaels Companies, Inc.
7.875%, 05/01/2029 (D)
  113,000     84,776
 
  169  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
United States (continued)          
The Southern Company
4.000%, (4.000% to 1-15-26, then 5 Year CMT + 3.733%), 01/15/2051
$ 86,000   $ 82,677
The Toledo Hospital
5.750%, 11/15/2038
  85,000     84,251
T-Mobile USA, Inc.          
3.000%, 02/15/2041   20,000     14,731
6.000%, 06/15/2054   15,000     16,033
Tyson Foods, Inc.          
5.100%, 09/28/2048   15,000     13,510
5.700%, 03/15/2034   25,000     25,330
Uber Technologies, Inc.
4.500%, 08/15/2029 (D)
  89,000     84,445
UL Solutions, Inc.
6.500%, 10/20/2028 (D)
  25,000     25,912
UnitedHealth Group, Inc.
3.750%, 10/15/2047
  17,000     13,439
Unum Group
4.125%, 06/15/2051
  45,000     34,019
Verizon Communications, Inc.          
2.100%, 03/22/2028   37,000     33,310
3.400%, 03/22/2041   22,000     17,195
Viatris, Inc.
3.850%, 06/22/2040
  30,000     22,156
VICI Properties LP
6.125%, 04/01/2054
  43,000     42,412
Viking Cruises, Ltd.          
7.000%, 02/15/2029 (D)   90,000     90,389
9.125%, 07/15/2031 (D)   85,000     92,957
Vital Energy, Inc.          
7.875%, 04/15/2032 (D)   35,000     35,555
9.750%, 10/15/2030   90,000     98,419
Wabtec Corp.
5.611%, 03/11/2034
  10,000     10,129
Wand NewCo 3, Inc.
7.625%, 01/30/2032 (D)
  15,000     15,513
WarnerMedia Holdings, Inc.          
5.050%, 03/15/2042   37,000     31,801
5.391%, 03/15/2062   105,000     87,137
Wells Fargo & Company          
3.900%, (3.900% to 3-15-26, then 5 Year CMT + 3.453%), 03/15/2026 (G)   178,000     169,354
4.611%, (4.611% to 4-25-52, then Overnight SOFR + 2.130%), 04/25/2053   15,000     13,254
4.808%, (4.808% to 7-25-27, then Overnight SOFR + 1.980%), 07/25/2028   20,000     19,706
5.389%, (5.389% to 4-24-33, then Overnight SOFR + 2.020%), 04/24/2034   55,000     54,658
5.574%, (5.574% to 7-25-28, then Overnight SOFR + 1.740%), 07/25/2029   15,000     15,178
Western Midstream Operating LP
5.300%, 03/01/2048
  10,000     8,774
Willis North America, Inc.
5.900%, 03/05/2054
  20,000     20,247
Windsor Holdings III LLC
8.500%, 06/15/2030 (D)
  110,000     115,336
WW International, Inc.
4.500%, 04/15/2029 (D)
  220,000     86,882
          14,407,474
TOTAL CORPORATE BONDS (Cost $23,282,076)   $ 22,927,692
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CONVERTIBLE BONDS - 6.5%      
Canada - 0.1%          
Shopify, Inc.
0.125%, 11/01/2025
$ 110,000   $ 104,445
China - 0.2%          
NIO, Inc.
0.500%, 02/01/2027
  392,000     356,720
Smart Insight International, Ltd.
4.500%, 12/05/2023 (H)
HKD 2,000,000     16,929
          373,649
Italy - 0.1%          
DiaSorin SpA
4.241%, 05/05/2028 (C)
EUR 100,000     90,783
Luxembourg - 0.0%          
Arrival SA
3.500%, 12/01/2026 (D)(H)
$ 515,000     258
Macau - 0.1%          
Wynn Macau, Ltd.
4.500%, 03/07/2029 (D)
  200,000     212,100
Singapore - 0.1%          
Sea, Ltd.
0.250%, 09/15/2026
  168,000     143,556
United Kingdom - 0.0%          
Immunocore Holdings PLC
2.500%, 02/01/2030 (D)
  20,000     20,838
United States - 5.9%          
3D Systems Corp.
9.785%, 11/15/2026 (C)
  28,000     21,835
Affirm Holdings, Inc.
7.367%, 11/15/2026 (C)
  90,000     74,475
Airbnb, Inc.
3.731%, 03/15/2026 (C)
  130,000     120,890
Alarm.com Holdings, Inc.
4.972%, 01/15/2026 (C)
  140,000     128,170
Alliant Energy Corp.
3.875%, 03/15/2026
  315,000     309,803
Alnylam Pharmaceuticals, Inc.
1.000%, 09/15/2027
  240,000     225,570
American Water Capital Corp.
3.625%, 06/15/2026 (D)
  315,000     307,598
Apellis Pharmaceuticals, Inc.
3.500%, 09/15/2026
  60,000     97,292
Axon Enterprise, Inc.
0.500%, 12/15/2027
  30,000     43,592
Bandwidth, Inc.          
0.250%, 03/01/2026   47,000     41,243
0.500%, 04/01/2028   90,000     64,521
Bentley Systems, Inc.
0.125%, 01/15/2026
  135,000     135,478
Beyond Meat, Inc.
62.121%, 03/15/2027 (C)
  130,000     30,550
BILL Holdings, Inc.
5.280%, 04/01/2027 (C)
  121,000     103,455
Block, Inc.
0.250%, 11/01/2027
  187,000     155,865
Bread Financial Holdings, Inc.
4.250%, 06/15/2028 (D)
  76,000     88,206
Cable One, Inc.
1.125%, 03/15/2028
  50,000     37,530
Cardlytics, Inc.
1.000%, 09/15/2025
  70,000     63,989
CenterPoint Energy, Inc.
4.250%, 08/15/2026 (D)
  315,000     312,008
CMS Energy Corp.
3.375%, 05/01/2028 (D)
  85,000     83,598
 
  170  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CONVERTIBLE BONDS (continued)      
United States (continued)          
Cracker Barrel Old Country Store, Inc.
0.625%, 06/15/2026
$ 475,000   $ 417,007
Cytokinetics, Inc.
3.500%, 07/01/2027
  80,000     127,000
Dayforce, Inc.
0.250%, 03/15/2026
  155,000     141,825
DigitalOcean Holdings, Inc.
6.739%, 12/01/2026 (C)
  107,000     89,677
DraftKings Holdings, Inc.
3.754%, 03/15/2028 (C)
  145,000     125,063
Dropbox, Inc.
1.757%, 03/01/2028 (C)
  130,000     121,306
Duke Energy Corp.
4.125%, 04/15/2026 (D)
  395,000     390,260
Enphase Energy, Inc.
3.925%, 03/01/2028 (C)
  25,000     21,453
Etsy, Inc.          
0.125%, 09/01/2027   365,000     305,469
0.250%, 06/15/2028 (I)   165,000     129,938
Euronet Worldwide, Inc.
0.750%, 03/15/2049
  42,000     40,719
Evergy, Inc.
4.500%, 12/15/2027 (D)
  65,000     66,073
Exact Sciences Corp.
0.375%, 03/15/2027
  115,000     109,894
FirstEnergy Corp.
4.000%, 05/01/2026 (D)
  320,000     318,080
Health Catalyst, Inc.
2.500%, 04/15/2025
  5,000     4,702
Insulet Corp.
0.375%, 09/01/2026
  65,000     67,568
Ionis Pharmaceuticals, Inc.          
0.776%, 04/01/2026 (C)   35,000     34,455
1.750%, 06/15/2028 (D)   30,000     31,386
JetBlue Airways Corp.
0.500%, 04/01/2026 (I)
  390,000     340,439
John Bean Technologies Corp.
0.250%, 05/15/2026
  115,000     106,582
Lumentum Holdings, Inc.
0.500%, 06/15/2028 (I)
  90,000     69,459
MP Materials Corp.
0.250%, 04/01/2026 (D)
  345,000     302,738
NCL Corp., Ltd.
2.500%, 02/15/2027
  129,000     124,937
NuVasive, Inc.
0.375%, 03/15/2025
  95,000     90,345
Okta, Inc.
0.125%, 09/01/2025
  100,000     95,750
ON Semiconductor Corp.
0.500%, 03/01/2029
  65,000     63,960
PAR Technology Corp.
1.500%, 10/15/2027
  25,000     22,813
Pebblebrook Hotel Trust
1.750%, 12/15/2026
  65,000     58,299
Pegasystems, Inc.
0.750%, 03/01/2025
  42,000     40,131
PG&E Corp.
4.250%, 12/01/2027 (D)
  342,000     343,539
PPL Capital Funding, Inc.
2.875%, 03/15/2028
  320,000     306,240
Rapid7, Inc.
0.250%, 03/15/2027
  125,000     109,427
Redfin Corp.
0.500%, 04/01/2027 (I)
  115,000     63,250
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
CONVERTIBLE BONDS (continued)      
United States (continued)          
Shake Shack, Inc.
2.525%, 03/01/2028 (C)
$ 25,000   $ 22,641
Shift4 Payments, Inc.
0.500%, 08/01/2027
  90,000     83,475
Snap, Inc.
0.125%, 03/01/2028
  650,000     493,675
Spotify USA, Inc.
4.408%, 03/15/2026 (C)
  140,000     128,520
Stem, Inc.
0.500%, 12/01/2028 (D)
  135,000     65,806
Sunnova Energy International, Inc.          
0.250%, 12/01/2026   390,000     197,340
2.625%, 02/15/2028   50,000     20,122
Sunrun, Inc.
4.000%, 03/01/2030 (D)
  70,000     69,631
Super Micro Computer, Inc., Zero Coupon
0.000%, 03/01/2029 (D)
  42,000     46,598
Teladoc Health, Inc.
1.250%, 06/01/2027
  97,000     81,723
The Greenbrier Companies, Inc.
2.875%, 04/15/2028
  115,000     127,455
The Southern Company
3.875%, 12/15/2025
  390,000     388,050
Uber Technologies, Inc.
0.875%, 12/01/2028 (D)
  122,000     150,914
Uber Technologies, Inc., Zero Coupon
0.000%, 12/15/2025
  130,000     145,925
Unity Software, Inc.
6.408%, 11/15/2026 (C)
  173,000     146,618
Ventas Realty LP
3.750%, 06/01/2026 (D)
  101,000     100,798
          9,394,743
TOTAL CONVERTIBLE BONDS (Cost $11,082,476)   $ 10,340,372
MUNICIPAL BONDS - 0.2%          
United States - 0.2%          
Grand Parkway Transportation Corp. (Texas)
3.236%, 10/01/2052
  190,000     139,730
Metropolitan Transportation Authority (New York)
6.668%, 11/15/2039
  35,000     38,500
New York City Transitional Finance Authority
4.750%, 02/01/2029
  45,000     45,082
State of Illinois, GO
5.100%, 06/01/2033
  70,000     69,490
TOTAL MUNICIPAL BONDS (Cost $343,435)   $ 292,802
TERM LOANS (J) - 2.3%      
Luxembourg - 0.1%          
Delta 2 Lux Sarl, 2022 Term Loan B (3 month CME Term SOFR + 2.250%) 7.559%, 01/15/2030   140,000     140,035
Netherlands - 0.1%          
Boels Topholding BV, 2021 EUR Term Loan B (1 and 3 month EURIBOR + 3.250%) 7.129%, 02/06/2027 EUR 133,621     143,700
Sweden - 0.1%          
Verisure Holding AB, 2020 EUR Term Loan B (3 month EURIBOR + 3.000%) 6.945%, 08/06/2026   155,000     166,884
 
  171  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (J) (continued)      
United States - 2.0%          
Asurion LLC, 2020 Term Loan B8 (1 month CME Term SOFR + 3.250%) 8.691%, 12/23/2026 $ 144,113   $ 140,973
Asurion LLC, 2021 2nd Lien Term Loan B3 (1 month CME Term SOFR + 5.250%) 10.691%, 01/31/2028   145,000     130,138
athenahealth, Inc., 2022 Term Loan B (1 month CME Term SOFR + 3.250%) 8.580%, 02/15/2029   98,111     97,054
Berlin Packaging LLC, 2021 Term Loan B5 (1 and 3 month CME Term SOFR + 3.750%) 9.195%, 03/11/2028   165,750     165,844
Caesars Entertainment, Inc., Term Loan B (3 month CME Term SOFR + 3.250%) 8.663%, 02/06/2030   104,213     104,387
Cinemark USA, Inc., 2023 Term Loan B (1 and 3 month CME Term SOFR + 3.750%) 9.083%, 05/24/2030   124,063     124,451
EMRLD Borrower LP, Term Loan B (3 month CME Term SOFR + 2.500%) 7.790%, 05/31/2030   74,500     74,425
Great Outdoors Group LLC, 2021 Term Loan B1 (1 month CME Term SOFR + 3.750%) 9.195%, 03/06/2028   96,769     96,755
Hanesbrands, Inc., 2023 Term Loan B (1 month CME Term SOFR + 3.750%) 9.080%, 03/08/2030   99,000     98,876
HUB International, Ltd., 2024 Term Loan B (3 month CME Term SOFR + 3.250%) 8.574%, 06/20/2030   104,256     104,275
IRB Holding Corp., 2024 Term Loan B (1 month CME Term SOFR + 2.750%) 8.176%, 12/15/2027   195,502     195,459
LBM Acquisition LLC, Term Loan B (1 month CME Term SOFR + 3.750%) 9.176%, 12/17/2027   100,290     100,052
Medline Borrower LP, USD Term Loan B (1 month CME Term SOFR + 3.000%) 8.441%, 10/23/2028   92,370     92,569
MH Sub I LLC, 2023 Term Loan (1 month CME Term SOFR + 4.250%) 9.580%, 05/03/2028   97,742     97,053
NEP Group, Inc., 2023 Term Loan B 08/19/2026 TBD (K)   90,109     85,547
Oryx Midstream Services Permian Basin LLC, 2024 Term Loan B (1 month CME Term SOFR + 3.000%) 8.436%, 10/05/2028   97,044     97,339
Sedgwick Claims Management Services, Inc., 2023 Term Loan B (1 month CME Term SOFR + 3.750%) 9.076%, 02/24/2028   193,508     193,804
Tecta America Corp., 2021 Term Loan (1 month CME Term SOFR + 4.000%) 9.441%, 04/10/2028   126,750     126,908
The Michaels Companies, Inc., 2021 Term Loan B (3 month CME Term SOFR + 4.250%) 9.821%, 04/15/2028   126,425     113,150
TransDigm, Inc., 2023 Term Loan I (3 month CME Term SOFR + 3.250%) 8.570%, 08/24/2028   165,084     165,601
Truist Insurance Holdings LLC, Term Loan B 03/24/2031 TBD (K)   100,000     99,833
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
TERM LOANS (J) (continued)      
United States (continued)          
UFC Holdings LLC, 2021 Term Loan B (3 month CME Term SOFR + 2.750%) 8.336%, 04/29/2026 $ 174,865   $ 175,083
UKG, Inc., 2024 Term Loan B (3 month CME Term SOFR + 3.500%) 8.814%, 02/10/2031   100,000     100,475
USI, Inc., 2023 Term Loan B (3 month CME Term SOFR + 3.000%) 8.348%, 11/22/2029   199,277     199,250
Windsor Holdings III LLC, 2024 USD Term Loan B (1 month CME Term SOFR + 4.000%) 9.326%, 08/01/2030   114,426     114,641
WW International, Inc., 2021 Term Loan B (1 month CME Term SOFR + 3.500%) 8.829%, 04/13/2028   94,500     41,265
          3,135,207
TOTAL TERM LOANS (Cost $3,655,657)   $ 3,585,826
COLLATERALIZED MORTGAGE OBLIGATIONS - 4.0%      
Commercial and residential - 1.5%          
Angel Oak Mortgage Trust, Series 2020-3, Class M1,
3.809%, 04/25/2065 (D)(L)
  180,000     163,443
BANK          
Series 2018-BN15, Class B,
4.661%, 11/15/2061 (L)
  50,000     47,410
Series 2020-BN25, Class AS,
2.841%, 01/15/2063
  60,000     51,422
Series 2021-BN37, Class XA IO,
0.600%, 11/15/2064
  991,128     29,186
Series 2022-BNK42, Class AS,
4.722%, 06/15/2055 (L)
  60,000     56,730
BBCMS Mortgage Trust          
Series 2023-5C23, Class C,
7.455%, 12/15/2056 (L)
  25,000     26,066
Series 2023-C20, Class AS,
5.973%, 07/15/2056 (L)
  15,000     15,662
Series 2024-5C25, Class C,
6.643%, 03/15/2057 (L)
  20,000     20,164
Benchmark Mortgage Trust          
Series 2018-B1, Class AM,
3.878%, 01/15/2051 (L)
  85,000     78,721
Series 2018-B5, Class C,
4.602%, 07/15/2051 (L)
  90,000     77,721
Series 2020-B16, Class AM,
2.944%, 02/15/2053 (L)
  60,000     50,855
Series 2024-V6, Class C,
6.669%, 03/15/2029
  20,000     19,619
BRAVO Residential Funding Trust          
Series 2020-NQM1, Class M1,
3.181%, 05/25/2060 (D)(L)
  180,000     167,468
Series 2021-NQM1, Class M1,
2.316%, 02/25/2049 (D)(L)
  100,000     77,463
BX Commercial Mortgage Trust, Series 2020-VKNG, Class F (1 month CME Term SOFR + 2.864%),
8.189%, 10/15/2037 (D)(F)
  189,000     185,084
BX Trust          
Series 2021-ARIA, Class C (1 month CME Term SOFR + 1.760%),
7.085%, 10/15/2036 (D)(F)
  25,000     24,657
Series 2021-MFM1, Class D (1 month CME Term SOFR + 1.614%),
6.939%, 01/15/2034 (D)(F)
  42,144     41,670
 
  172  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
CAMB Commercial Mortgage Trust, Series 2019-LIFE, Class E (1 month CME Term SOFR + 2.447%),
7.773%, 12/15/2037 (D)(F)
$ 120,000   $ 119,703
Citigroup Commercial Mortgage Trust, Series 2023-PRM3, Class A,
6.360%, 07/10/2028 (D)(L)
  100,000     103,735
COMM Mortgage Trust, Series 2014-CR15, Class B,
3.956%, 02/10/2047 (L)
  24,435     23,591
CSMC Trust, Series 2021-NQM6, Class A2,
1.379%, 07/25/2066 (D)(L)
  64,965     52,631
GS Mortgage Securities Trust          
Series 2017-GS6, Class C,
4.322%, 05/10/2050 (L)
  25,000     20,500
Series 2024-70P, Class A,
5.133%, 03/10/2041 (D)(L)
  100,000     99,107
LHOME Mortgage Trust, Series 2021-RTL2, Class A1,
3.090%, 06/25/2026 (D)
  27,080     27,009
MFA Trust, Series 2023-NQM1, Class A1 (5.750% to 1-1-27, then 6.750% thereafter),
5.750%, 11/25/2067 (D)
  85,912     84,718
NYMT Loan Trust I, Series 2021-BPL1, Class A1 (2.239% to 5-25-24, then 4.239% thereafter),
2.239%, 05/25/2026 (D)
  93,096     91,734
OBX Trust, Series 2022-NQM5, Class A1 (4.310% to 5-1-26, then 5.310% thereafter),
4.310%, 05/25/2062 (D)
  104,260     100,264
PRPM LLC, Series 2021-5, Class A1 (1.793% to 6-25-24, then 4.793% to 6-25-25, then 5.793% thereafter),
1.793%, 06/25/2026 (D)
  96,658     94,513
Ready Capital Mortgage Financing LLC, Series 2021-FL7, Class AS (1 month CME Term SOFR + 1.614%),
6.944%, 11/25/2036 (D)(F)
  55,000     53,916
Verus Securitization Trust          
Series 2020-5, Class M1,
2.601%, 05/25/2065 (D)(L)
  100,000     84,949
Series 2020-INV1, Class A3,
3.889%, 03/25/2060 (D)(L)
  100,000     97,107
Series 2021-5, Class A1,
1.013%, 09/25/2066 (D)(L)
  64,599     53,628
Series 2024-2, Class A1,
6.095%, 02/25/2069 (D)(L)
  99,198     99,183
WF-RBS Commercial Mortgage Trust, Series 2011-C4, Class C,
4.979%, 06/15/2044 (D)(L)
  48,839     45,993
WSTN Trust, Series 2023-MAUI, Class B,
7.018%, 07/05/2037 (D)(L)
  30,000     29,930
          2,415,552
U.S. Government Agency - 2.5%          
Federal Home Loan Mortgage Corp.          
Series 2020-DNA6, Class B1 (30 day Average SOFR + 3.000%),
8.320%, 12/25/2050 (D)(F)
  35,000     36,805
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
Series 2021-DNA6, Class M2 (30 day Average SOFR + 1.500%),
6.820%, 10/25/2041 (D)(F)
$ 188,000   $ 188,270
Series 2021-HQA1, Class M2 (30 day Average SOFR + 2.250%),
7.570%, 08/25/2033 (D)(F)
  158,712     162,291
Series 2021-HQA3, Class M2 (30 day Average SOFR + 2.100%),
7.420%, 09/25/2041 (D)(F)
  355,000     355,993
Series 2022-DNA1, Class B1 (30 day Average SOFR + 3.400%),
8.720%, 01/25/2042 (D)(F)
  175,000     180,647
Series 2022-DNA3, Class M1B (30 day Average SOFR + 2.900%),
8.220%, 04/25/2042 (D)(F)
  120,000     124,057
Series 2022-DNA5, Class M2 (30 day Average SOFR + 6.750%),
12.070%, 06/25/2042 (D)(F)
  75,000     85,005
Series 2022-HQA1, Class M1B (30 day Average SOFR + 3.500%),
8.820%, 03/25/2042 (D)(F)
  20,000     20,850
Series 2022-HQA1, Class M2 (30 day Average SOFR + 5.250%),
10.570%, 03/25/2042 (D)(F)
  560,000     606,809
Series 2022-HQA3, Class M1B (30 day Average SOFR + 3.550%),
8.870%, 08/25/2042 (D)(F)
  60,000     62,939
Series 2023-DNA1, Class M2 (30 day Average SOFR + 5.500%),
10.820%, 03/25/2043 (D)(F)
  35,000     38,984
Series 2023-DNA2, Class B1 (30 day Average SOFR + 7.600%),
12.920%, 04/25/2043 (D)(F)
  20,000     22,846
Series 2024-DNA1, Class M2 (30 day Average SOFR + 1.950%),
7.270%, 02/25/2044 (D)(F)
  100,000     100,188
Series 324, Class C18 IO,
4.000%, 12/15/2033
  189,754     18,699
Series 4446, Class BI IO,
6.500%, 04/15/2039
  76,800     14,133
Series 4898, Class SA IO,
0.667%, 07/15/2049
  465,614     40,199
Series 4954, Class SL IO,
0.615%, 02/25/2050
  1,279,335     131,573
Series 4999, Class KS IO,
0.715%, 12/25/2042
  357,741     27,170
Series 4999, Class PS IO,
0.515%, 03/25/2044
  460,948     38,122
Series K103, Class X1 IO,
0.638%, 11/25/2029
  1,018,675     30,103
Series K106, Class X3 IO,
1.908%, 03/25/2048
  490,000     43,751
Series K122, Class X1 IO,
0.878%, 11/25/2030
  99,016     4,478
Series K129, Class X3 IO,
3.163%, 05/25/2031
  165,000     29,048
Series K737, Class X1 IO,
0.629%, 10/25/2026
  480,967     5,776
Series K740, Class X3 IO,
2.477%, 11/25/2047
  135,000     9,806
Series K742, Class X3, IO,
2.595%, 04/25/2028
  100,000     8,707
 
  173  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
Series Q014, Class X IO,
2.785%, 10/25/2055
$ 151,741   $ 23,500
Federal National Mortgage Association          
Series 2016-88, Class SK IO,
0.565%, 12/25/2046
  369,265     35,714
Series 2018-C05, Class 1B1 (30 day Average SOFR + 4.364%),
9.685%, 01/25/2031 (F)
  230,000     250,397
Series 2019-25, Class SA IO,
0.615%, 06/25/2049
  1,579,186     159,582
Series 2019-50, Class S IO,
0.615%, 09/25/2049
  928,669     94,533
Series 2019-68, Class SC IO,
0.565%, 11/25/2049
  309,700     29,597
Series 2021-67, Class IG IO,
3.000%, 10/25/2051
  129,333     20,470
Series 2022-R02, Class 2B1 (30 day Average SOFR + 4.500%),
9.820%, 01/25/2042 (D)(F)
  175,000     183,920
Series 2022-R03, Class 1B1 (30 day Average SOFR + 6.250%),
11.570%, 03/25/2042 (D)(F)
  69,000     77,013
Series 2022-R03, Class 1M2 (30 day Average SOFR + 3.500%),
8.820%, 03/25/2042 (D)(F)
  59,000     61,834
Series 2022-R04, Class 1B1 (30 day Average SOFR + 5.250%),
10.570%, 03/25/2042 (D)(F)
  165,000     179,527
Series 2022-R05, Class 2B1 (30 day Average SOFR + 4.500%),
9.820%, 04/25/2042 (D)(F)
  70,000     74,049
Series 2023-R01, Class 1B1 (30 day Average SOFR + 5.100%),
10.421%, 12/25/2042 (D)(F)
  20,000     21,817
Series 2023-R02, Class 1M2 (30 day Average SOFR + 3.350%),
8.670%, 01/25/2043 (D)(F)
  40,000     42,202
Series 2023-R03, Class 2M2 (30 day Average SOFR + 3.900%),
9.220%, 04/25/2043 (D)(F)
  35,000     37,339
Series 2023-R05, Class 1M2 (30 day Average SOFR + 3.100%),
8.421%, 06/25/2043 (D)(F)
  36,000     37,804
Series 2023-R06, Class 1B1 (30 day Average SOFR + 3.900%),
9.220%, 07/25/2043 (D)(F)
  20,000     21,017
Series 2023-R08, Class 1B1 (30 day Average SOFR + 3.550%),
8.870%, 10/25/2043 (D)(F)
  35,000     36,377
Series 2024-R02, Class 1B1 (30 day Average SOFR + 2.500%),
7.820%, 02/25/2044 (D)(F)
  60,000     60,375
Series 410, Class C8 IO,
4.000%, 04/25/2032
  108,981     10,288
Series 437, Class C8 IO,
2.500%, 06/25/2052
  120,793     18,436
Government National
Mortgage Association
         
Series 2015-62, Class CI IO,
4.500%, 05/20/2045
  124,087     23,626
Series 2017-130, Class IO,
4.500%, 02/20/2040
  128,088     21,251
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
Series 2018-168, Class AI IO,
5.000%, 12/16/2048
$ 106,789   $ 18,993
          3,926,910
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $6,244,798)   $ 6,342,462
ASSET BACKED SECURITIES - 3.2%      
Arbor Realty Commercial Real Estate Notes, Ltd., Series 2021-FL3, Class B (1 month CME Term SOFR + 1.714%),
7.040%, 08/15/2034 (D)(F)
  110,000     107,116
Avis Budget Rental Car Funding AESOP LLC, Series 2023-8A, Class A,
6.020%, 02/20/2030 (D)
  100,000     103,128
Benefit Street Partners CLO XIX, Ltd., Series 2019-19A, Class E (3 month CME Term SOFR + 7.282%),
12.596%, 01/15/2033 (D)(F)
  250,000     250,515
BlueMountain CLO, Ltd., Series 2018-2A, Class D (3 month CME Term SOFR + 3.412%),
8.719%, 08/15/2031 (D)(F)
  250,000     248,362
Bojangles Issuer LLC, Series 2020-1A, Class A2,
3.832%, 10/20/2050 (D)
  122,813     115,875
BSPRT Issuer, Ltd., Series 2023-FL10, Class A (1 month CME Term SOFR + 2.259%),
7.584%, 09/15/2035 (D)(F)
  100,000     100,344
Carvana Auto Receivables Trust          
Series 2023-P3, Class A4,
5.710%, 07/10/2029 (D)
  10,000     10,102
Series 2024-N1, Class C,
5.800%, 05/10/2030 (D)
  75,000     75,256
Compass Datacenters Issuer II LLC, Series 2024-1A, Class A1,
5.250%, 02/25/2049 (D)
  75,000     74,311
CoreVest American Finance Trust, Series 2020-4, Class B,
1.707%, 12/15/2052 (D)
  100,000     92,046
Domino's Pizza Master Issuer LLC          
Series 2019-1A, Class A2,
3.668%, 10/25/2049 (D)
  48,000     44,146
Series 2021-1A, Class A2II,
3.151%, 04/25/2051 (D)
  58,350     50,644
Drive Auto Receivables Trust, Series 2024-1, Class B,
5.310%, 01/16/2029
  35,000     34,931
Exeter Automobile Receivables Trust          
Series 2023-1A, Class D,
6.690%, 06/15/2029
  40,000     40,515
Series 2023-4A, Class C,
6.510%, 08/15/2028
  50,000     50,680
Flagship Credit Auto Trust, Series 2021-3, Class D,
1.650%, 09/15/2027 (D)
  112,000     102,437
Flatiron CLO 20, Ltd.          
Series 2020-1A, Class BR (3 month CME Term SOFR + 1.920%),
7.218%, 05/20/2036 (D)(F)
  150,000     150,027
 
  174  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Flatiron CLO 20, Ltd. (continued)          
Series 2020-1A, Class CR (3 month CME Term SOFR + 2.350%),
7.648%, 05/20/2036 (D)(F)
$ 150,000   $ 150,027
Ford Credit Auto Owner Trust, Series 2023-2, Class C,
6.160%, 02/15/2036 (D)
  100,000     101,843
FS Rialto, Series 2021-FL3, Class A (1 month CME Term SOFR + 1.364%),
6.691%, 11/16/2036 (D)(F)
  94,977     94,533
GLS Auto Receivables Issuer Trust          
Series 2023-1A, Class C,
6.380%, 12/15/2028 (D)
  32,000     32,210
Series 2023-3A, Class D,
6.440%, 05/15/2029 (D)
  30,000     30,321
Golub Capital Partners Static, Ltd., Series 2024-1A, Class C (3 month CME Term SOFR + 2.300%),
7.533%, 04/20/2033 (D)(F)
  250,000     250,000
Greystone Commercial Real Estate Notes, Ltd., Series 2021-FL3, Class B (1 month CME Term SOFR + 1.764%),
7.090%, 07/15/2039 (D)(F)
  100,000     96,857
Hertz Vehicle Financing LLC          
Series 2021-2A, Class B,
2.120%, 12/27/2027 (D)
  100,000     91,082
Series 2022-2A, Class C,
2.950%, 06/26/2028 (D)
  100,000     91,068
Series 2022-2A, Class B,
2.650%, 06/26/2028 (D)
  100,000     91,316
Series 2023-4A, Class A,
6.150%, 03/25/2030 (D)
  100,000     103,512
Home Partners of America Trust, Series 2022-1, Class D,
4.730%, 04/17/2039 (D)
  149,057     139,501
Horizon Aircraft Finance II, Ltd., Series 2019-1, Class A,
3.721%, 07/15/2039 (D)
  168,184     150,453
MAPS Trust, Series 2021-1A, Class A,
2.521%, 06/15/2046 (D)
  110,534     98,410
MFA LLC, Series 2021-NPL1, Class A1 (5.363% to 3-25-25, then 6.363% thereafter),
5.363%, 03/25/2060 (D)
  43,389     42,967
New Economy Assets Phase 1 Sponsor LLC, Series 2021-1, Class A1,
1.910%, 10/20/2061 (D)
  120,000     105,089
Pretium Mortgage Credit Partners LLC, Series 2021-RN1, Class A2 (3.598% to 6-25-25, then 7.598% thereafter),
3.598%, 02/25/2061 (D)
  185,000     168,654
Progress Residential Trust          
Series 2021-SFR2, Class D,
2.197%, 04/19/2038 (D)
  100,000     92,244
Series 2022-SFR1, Class E1,
3.930%, 02/17/2041 (D)
  150,000     134,247
Series 2022-SFR4, Class C,
4.888%, 05/17/2041 (D)
  100,000     96,162
Series 2022-SFR7, Class D,
5.500%, 10/27/2039 (D)
  100,000     97,582
Stratus CLO, Ltd., Series 2021-1A, Class D (3 month CME Term SOFR + 2.762%),
8.079%, 12/29/2029 (D)(F)
  250,000     250,006
Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Symphony CLO XXII, Ltd., Series 2020-22A, Class C (3 month CME Term SOFR + 2.412%),
7.710%, 04/18/2033 (D)(F)
$ 250,000   $ 249,474
Texas Natural Gas Securitization Finance Corp., Series 2023-1, Class A2,
5.169%, 04/01/2041
  50,000     50,759
TRTX Issuer, Ltd., Series 2019-FL3, Class D (1 month CME Term SOFR + 2.564%),
7.890%, 10/15/2034 (D)(F)
  100,000     95,870
Vericrest Opportunity Loan Transferee          
Series 2021-NPL5, Class A1 (5.116% to 2-25-25, then 6.116% thereafter),
5.116%, 03/27/2051 (D)
  40,398     39,524
Series 2021-NP11, Class A1 (1.868% to 7-25-24, then 4.868% to 7-25-25, then 5.868% thereafter),
1.868%, 08/25/2051 (D)
  127,245     122,509
Voya CLO, Ltd., Series 2013-3A, Class BRR (3 month CME Term SOFR + 2.511%),
7.809%, 10/18/2031 (D)(F)
  250,000     247,863
Willis Engine Structured Trust IV, Series 2018-A, Class A,
4.750%, 09/15/2043 (D)
  164,129     156,664
TOTAL ASSET BACKED SECURITIES (Cost $5,203,953)   $ 5,121,182
COMMON STOCKS - 0.0%      
United Kingdom - 0.0%          
Endeavour Mining PLC   1,012     20,561
TOTAL COMMON STOCKS (Cost $79,464)   $ 20,561
PREFERRED SECURITIES - 0.7%      
United States - 0.7%          
AGNC Investment Corp., 6.125% (6.125% to 4-15-25, then 3 month CME Term SOFR + 4.959%)   10,000     229,600
AGNC Investment Corp., 7.750% (7.750% to 10-15-27, then 5 Year CMT + 4.390%)   10,000     238,000
AT&T, Inc., 5.000%   3,585     76,576
Bank of America Corp., 7.250%   52     62,074
Capital One Financial Corp., 5.000%   583     11,928
JPMorgan Chase & Co., 4.200%   2,000     40,320
Morgan Stanley, 4.250%   2,140     43,100
SCE Trust VII, 7.500%   3,100     82,553
Synchrony Financial, 8.250% (8.250% to 5-15-29, then 5 Year CMT + 4.044%) (I)   1,659     41,492
Wells Fargo & Company, 4.750%   405     8,789
Wells Fargo & Company, 7.500%   135     164,612
          999,044
TOTAL PREFERRED SECURITIES (Cost $925,995)   $ 999,044
SHORT-TERM INVESTMENTS - 11.3%      
U.S. Government - 0.1%          
U.S. Treasury Bill
5.266%, 04/11/2024 *
$ 100,000     99,854
Short-term funds - 11.2%          
John Hancock Collateral Trust, 5.2975% (M)(N)   115,396     1,153,662
 
  175  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS (continued)      
Short-term funds (continued)          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 5.2417% (M)   16,755,967   $ 16,755,967
          17,909,629
TOTAL SHORT-TERM INVESTMENTS (Cost $18,009,789)   $ 18,009,483
Total Investments (Opportunistic Fixed Income Trust)
(Cost $196,082,855) - 119.1%
  $ 189,431,659
Other assets and liabilities, net - (19.1%)     (30,364,198)
TOTAL NET ASSETS - 100.0%   $ 159,067,461
SALE COMMITMENTS
OUTSTANDING - (3.3%)
       
U.S. Government Agency - (3.3)%          
Federal National Mortgage Association          
2.500%, TBA (B) $ (852,000)   $ (774,222)
3.500%, TBA (B)   (1,170,000)     (1,046,830)
4.500%, TBA (B)   (437,000)     (416,123)
6.500%, TBA (B)   (1,217,000)     (1,243,147)
Government National
Mortgage Association
         
2.500%, TBA (B)   (675,000)     (574,878)
4.500%, TBA (B)   (495,000)     (475,600)
5.000%, TBA (B)   (675,000)     (663,498)
TOTAL SALE COMMITMENTS OUTSTANDING (Proceeds received $5,203,450)   $ (5,194,298)
Currency Abbreviations
AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
CLP Chilean Peso
COP Colombian Peso
CZK Czech Republic Koruna
DOP Dominican Republic Peso
EUR Euro
GBP Pound Sterling
HKD Hong Kong Dollar
HUF Hungarian Forint
IDR Indonesian Rupiah
ISK Icelandic Krona
JPY Japanese Yen
KRW Korean Won
MXN Mexican Peso
MYR Malaysian Ringgit
NOK Norwegian Krone
NZD New Zealand Dollar
PEN Peruvian Nuevo Sol
PLN Polish Zloty
RON Romanian New Leu
SEK Swedish Krona
THB Thai Bhat
Opportunistic Fixed Income Trust (continued)
UYU Uruguayan Peso
ZAR South African Rand
Security Abbreviations and Legend
CME CME Group Published Rates
CMT Constant Maturity Treasury
EURIBOR Euro Interbank Offered Rate
GO General Obligation
ICE Intercontinental Exchange
IO Interest-Only Security - (Interest Tranche of Stripped Mortgage Pool). Rate shown is the annualized yield at the end of the period.
LIBOR London Interbank Offered Rate
PIK Pay-in-Kind Security - Represents a payment-in-kind which may pay interest in additional par and/or cash. Rates shown are the current rate and most recent payment rate.
SOFR Secured Overnight Financing Rate
TBA To Be Announced. A forward mortgage-backed securities trade issued by a U.S. Government Agency, to be delivered at an agreed-upon future settlement date.
WIBOR Warsaw Interbank Offered Rate
(A) All or a portion of this security is segregated at the custodian as collateral for certain derivatives.
(B) Security purchased or sold on a when-issued or delayed delivery basis.
(C) Zero coupon bonds are issued at a discount from their principal amount in lieu of paying interest periodically. Rate shown is the effective yield at period end.
(D) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration. Rule 144A securities amounted to $29,635,477 or 18.6% of the fund's net assets as of 3-31-24.
(E) Non-income producing security.
(F) Variable rate obligation. The coupon rate shown represents the rate at period end.
(G) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(H) Non-income producing - Issuer is in default.
(I) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $1,130,348.
(J) Term loans are variable rate obligations. The rate shown represents the rate at period end.
(K) This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate, which is disclosed as TBD (To Be Determined).
(L) Variable or floating rate security, the interest rate of which adjusts periodically based on a weighted average of interest rates and prepayments on the underlying pool of assets. The interest rate shown is the current rate as of period end.
(M) The rate shown is the annualized seven-day yield as of 3-31-24.
(N) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
* Yield represents either the annualized yield at the date of purchase, the stated coupon rate or, for floating rate securities, the rate at period end.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
10-Year Australian Treasury Bond Futures 21 Long Jun 2024 $1,597,908 $1,595,299 $(2,609)
10-Year U.S. Treasury Note Futures 331 Long Jun 2024 36,560,554 36,673,766 113,212
2-Year U.S. Treasury Note Futures 92 Long Jun 2024 18,807,023 18,812,563 5,540
  176  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
FUTURES (continued)
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
5-Year U.S. Treasury Note Futures 176 Long Jun 2024 18,795,778 18,834,750 $38,972
Euro SCHATZ Futures 4 Long Jun 2024 456,314 456,138 (176)
Ultra 10-Year U.S. Treasury Note Futures 1 Long Jun 2024 113,985 114,609 624
10-Year Japan Government Bond Futures 7 Short Jun 2024 (6,738,797) (6,735,962) 2,835
Euro-BTP Italian Government Bond Futures 28 Short Jun 2024 (3,545,763) (3,595,030) (49,267)
Euro-Buxl Futures 28 Short Jun 2024 (4,016,544) (4,102,219) (85,675)
Euro-OAT Futures 13 Short Jun 2024 (1,786,145) (1,797,591) (11,446)
German Euro BOBL Futures 4 Short Jun 2024 (509,472) (510,296) (824)
German Euro BUND Futures 2 Short Jun 2024 (285,526) (287,794) (2,268)
U.K. Long Gilt Bond Futures 28 Short Jun 2024 (3,512,887) (3,531,899) (19,012)
U.S. Treasury Long Bond Futures 34 Short Jun 2024 (4,062,590) (4,094,875) (32,285)
Ultra U.S. Treasury Bond Futures 19 Short Jun 2024 (2,415,939) (2,451,000) (35,061)
            $(77,440)
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
FORWARD FOREIGN CURRENCY CONTRACTS
Contract to buy Contract to sell Counterparty (OTC) Contractual
settlement
date
Unrealized
appreciation
Unrealized
depreciation
AUD 1,248,000  USD 815,000  JPM 4/30/2024  —  $(1,111)
AUD 65,000  USD 43,157  MSI 6/20/2024  —  (707)
BRL 41,069,000  USD 8,220,047  BOA 4/2/2024  —  (31,468)
BRL 41,069,000  USD 8,235,212  CITI 4/2/2024  —  (46,632)
BRL 11,263,000  USD 2,254,404  SSB 5/3/2024  —  (15,691)
BRL 265,000  USD 53,156  GSI 6/4/2024  —  (623)
CAD 2,365,000  USD 1,742,995  BOA 4/30/2024  $3,713  — 
CLP 1,491,130,000  USD 1,523,396  SSB 4/30/2024  —  (2,848)
CLP 241,255,000  USD 250,420  BOA 6/21/2024  —  (4,683)
CLP 74,714,000  USD 75,735  GSI 6/21/2024  367  — 
CLP 120,000,000  USD 123,056  SSB 6/21/2024  —  (827)
CNY 761,000  USD 106,420  BOA 6/20/2024  —  (1,254)
COP 5,225,506,000  USD 1,334,883  JPM 4/30/2024  10,511  — 
COP 79,100,000  USD 20,308  CITI 6/20/2024  —  (107)
COP 204,200,000  USD 51,439  DB 6/20/2024  711  — 
CZK 1,950,000  USD 84,423  CITI 6/20/2024  —  (1,275)
CZK 865,000  USD 37,330  GSI 6/20/2024  —  (446)
CZK 1,780,000  USD 76,264  HSBC 6/20/2024  —  (364)
CZK 870,000  USD 37,101  JPM 6/20/2024  —  (4)
EUR 3,023,000  USD 3,279,771  BOA 4/30/2024  —  (14,882)
EUR 105,000  USD 113,756  MSI 4/30/2024  —  (354)
EUR 15,000  USD 16,339  BARC 6/20/2024  —  (105)
EUR 69,000  USD 75,783  CITI 6/20/2024  —  (1,107)
EUR 165,000  USD 179,443  GSI 6/20/2024  —  (870)
EUR 35,000  USD 38,232  HSBC 6/20/2024  —  (353)
EUR 68,000  USD 74,652  JPM 6/20/2024  —  (1,059)
EUR 25,000  USD 27,375  MSI 6/20/2024  —  (318)
GBP 346,000  USD 436,952  BOA 4/30/2024  —  (184)
GBP 1,467,000  USD 1,854,573  JPM 4/30/2024  —  (2,726)
HUF 659,789,000  USD 1,795,540  GSI 4/30/2024  8,608  — 
HUF 224,273,000  USD 617,250  GSI 6/20/2024  —  (5,548)
IDR 29,192,817,000  USD 1,847,881  JPM 4/30/2024  —  (10,106)
IDR 1,089,000,000  USD 70,145  DB 6/20/2024  —  (1,685)
IDR 234,000,000  USD 14,706  GSI 6/20/2024  5  — 
IDR 9,060,580,000  USD 580,144  JPM 6/20/2024  —  (10,549)
INR 17,382,000  USD 209,472  HSBC 6/20/2024  —  (1,518)
JPY 956,034,000  USD 6,353,054  BOA 4/30/2024  —  (10,566)
KRW 2,421,230,000  USD 1,807,900  JPM 4/30/2024  —  (11,333)
KZT 48,400,000  USD 106,132  GSI 6/20/2024  —  (108)
MXN 9,710,000  USD 550,142  MSI 5/6/2024  30,851  — 
MXN 2,080,000  USD 122,945  GSI 6/20/2024  627  — 
MXN 11,140,000  USD 620,890  GSI 7/24/2024  37,462  — 
MXN 3,345,000  USD 183,137  CITI 9/13/2024  12,991  — 
MXN 4,435,000  USD 240,405  HSBC 9/13/2024  19,633  — 
MXN 9,710,000  USD 508,963  CITI 11/6/2024  55,683  — 
  177  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
FORWARD FOREIGN CURRENCY CONTRACTS (continued)
Contract to buy Contract to sell Counterparty (OTC) Contractual
settlement
date
Unrealized
appreciation
Unrealized
depreciation
MYR 1,915,000  USD 410,715  HSBC 6/20/2024  —  $(8,042)
NOK 19,738,000  USD 1,840,394  BARC 4/30/2024  —  (21,056)
NZD 100,000  USD 61,540  MSI 6/20/2024  —  (1,792)
PEN 190,000  USD 51,400  CITI 6/20/2024  —  (395)
PHP 5,920,000  USD 106,499  BOA 6/20/2024  —  (1,220)
PLN 3,809,000  USD 966,237  BARC 6/20/2024  —  (13,412)
RON 180,000  USD 39,031  BOA 6/20/2024  ——  —— 
SEK 6,172,000  USD 584,288  JPM 4/30/2024  —  (7,058)
THB 3,750,000  USD 103,734  BARC 6/20/2024  —  (292)
THB 930,000  USD 25,618  GSI 6/20/2024  $35  — 
THB 24,148,000  USD 686,120  JPM 6/20/2024  —  (20,005)
TRY 9,006,000  USD 269,149  BARC 4/30/2024  —  (136)
TRY 1,675,000  USD 47,363  BARC 6/20/2024  —  (114)
TRY 17,608,000  USD 485,394  GSI 6/20/2024  11,303  — 
USD 5,763,712  AUD 8,801,000  BOA 4/30/2024  24,095  — 
USD 8,284,065  BRL 41,069,000  BOA 4/2/2024  95,485  — 
USD 8,220,047  BRL 41,069,000  CITI 4/2/2024  31,468  — 
USD 8,209,695  BRL 41,069,000  CITI 5/3/2024  46,535  — 
USD 1,003,403  BRL 5,013,000  SSB 5/3/2024  6,984  — 
USD 336,018  BRL 1,685,000  GSI 6/4/2024  1,989  — 
USD 58,358  BRL 295,000  HSBC 6/4/2024  —  (122)
USD 59,086  BRL 295,000  MSI 6/4/2024  606  — 
USD 18,907  BRL 95,000  SSB 6/4/2024  75  — 
USD 3,811,005  CAD 5,171,000  BOA 4/30/2024  —  (8,118)
USD 85,412  CAD 115,000  JPM 6/20/2024  417  — 
USD 1,828,323  CHF 1,635,000  GSI 4/30/2024  9,950  — 
USD 52,583  CLP 51,500,000  MSI 6/21/2024  126  — 
USD 128,717  CLP 122,700,000  SSB 6/21/2024  3,738  — 
USD 768,880  CNY 5,565,000  BOA 4/30/2024  1,955  — 
USD 52,618  CNY 381,000  CITI 6/20/2024  —  (34)
USD 159,082  CNY 1,142,000  JPM 6/20/2024  1,263  — 
USD 348,389  COP 1,384,409,000  CITI 6/20/2024  —  (5,170)
USD 1,825,759  CZK 42,691,000  MSI 4/30/2024  5,935  — 
USD 48,359  CZK 1,117,000  GSI 6/20/2024  730  — 
USD 4,967,270  EUR 4,578,386  BOA 4/30/2024  22,540  — 
USD 197,403  EUR 182,000  JPM 4/30/2024  840  — 
USD 61,969  EUR 57,000  BARC 6/20/2024  281  — 
USD 433,659  EUR 398,000  GSI 6/20/2024  2,923  — 
USD 65,927  EUR 60,000  HSBC 6/20/2024  992  — 
USD 261,219  EUR 238,000  MSI 6/20/2024  3,642  — 
USD 1,538,525  GBP 1,217,000  JPM 4/30/2024  2,262  — 
USD 73,103  GBP 57,000  BARC 6/20/2024  1,130  — 
USD 73,474  GBP 58,000  JPM 6/20/2024  240  — 
USD 259,264  HKD 2,026,000  BOA 4/30/2024  181  — 
USD 132,966  HUF 48,452,000  BOA 6/20/2024  813  — 
USD 374,919  HUF 137,177,000  GSI 6/20/2024  770  — 
USD 52,367  IDR 833,000,000  GSI 6/20/2024  ——  —— 
USD 395,444  ILS 1,435,000  MSI 4/30/2024  4,749  — 
USD 818,333  INR 68,366,000  HSBC 4/30/2024  —  (940)
USD 50,724  INR 4,240,000  GSI 6/20/2024  —  (2)
USD 1,460,041  JPY 219,713,000  BOA 4/30/2024  2,428  — 
USD 3,008,476  KRW 4,029,101,000  JPM 4/30/2024  18,858  — 
USD 53,930  KZT 24,700,000  GSI 6/20/2024  —  (177)
USD 2,974,274  MXN 49,951,000  MSI 4/30/2024  —  (17,372)
USD 524,581  MXN 9,710,000  CITI 5/6/2024  —  (56,411)
USD 1,055,611  MXN 18,005,000  BARC 6/20/2024  —  (14,065)
USD 58,720  MXN 1,000,000  CITI 6/20/2024  —  (690)
USD 135,992  MXN 2,312,000  HSBC 6/20/2024  —  (1,364)
USD 110,156  MXN 1,890,000  JPM 6/20/2024  —  (2,129)
USD 311,478  MXN 5,570,000  BARC 7/24/2024  —  (17,698)
USD 310,991  MXN 5,570,000  MSI 7/24/2024  —  (18,185)
USD 431,367  MXN 7,780,000  CITI 9/13/2024  —  (24,801)
USD 534,308  MXN 9,710,000  MSI 11/6/2024  —  (30,339)
USD 29,693  MYR 140,000  HSBC 6/20/2024  255  — 
USD 4,121,074  NOK 44,198,000  BARC 4/30/2024  47,150  — 
USD 6,769,789  NZD 11,269,000  BOA 4/30/2024  36,887  — 
  178  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
FORWARD FOREIGN CURRENCY CONTRACTS (continued)
Contract to buy Contract to sell Counterparty (OTC) Contractual
settlement
date
Unrealized
appreciation
Unrealized
depreciation
USD 61,752  NZD 100,000  GSI 6/20/2024  $2,004  — 
USD 96,761  PEN 357,000  BOA 6/20/2024  926  — 
USD 68,346  PEN 255,000  SCB 6/20/2024  —  $(107)
USD 1,432,826  PHP 80,731,000  JPM 4/30/2024  —  (3,559)
USD 105,743  PHP 5,920,000  BOA 6/20/2024  465  — 
USD 52,415  PHP 2,950,000  GSI 6/20/2024  —  (47)
USD 1,855,233  PLN 7,387,000  MSI 4/30/2024  6,242  — 
USD 49,958  PLN 200,000  JPM 6/20/2024  —  (72)
USD 74,902  RON 341,000  GSI 6/20/2024  960  — 
USD 3,809,233  SEK 40,238,000  JPM 4/30/2024  46,016  — 
USD 1,869,653  SGD 2,513,000  JPM 4/30/2024  6,093  — 
USD 74,179  THB 2,620,000  BARC 6/20/2024  1,907  — 
USD 105,669  THB 3,820,000  GSI 6/20/2024  295  — 
USD 38,971  THB 1,390,000  HSBC 6/20/2024  628  — 
USD 53,908  TRY 1,970,000  BARC 6/20/2024  —  (1,663)
USD 37,398  TRY 1,360,000  GSI 6/20/2024  —  (966)
USD 88,162  UYU 3,545,000  HSBC 4/15/2024  —  (4,356)
USD 88,647  UYU 3,545,000  CITI 5/13/2024  —  (1,376)
USD 168,643  UYU 6,812,000  CITI 6/11/2024  —  (3,437)
USD 69,559  ZAR 1,322,000  CITI 4/30/2024  —  (90)
USD 1,070,731  ZAR 20,376,000  MSI 4/30/2024  —  (2,776)
USD 148,712  ZAR 2,799,000  GSI 6/20/2024  1,877  — 
ZAR 18,294,000  USD 961,324  MSI 4/30/2024  2,493  — 
            $640,698  $(470,999)
    
SWAPS
Interest rate swaps
Counterparty (OTC)/
Centrally cleared
Notional
amount
Currency Payments
made
Payments
received
Fixed
payment
frequency
Floating
payment
frequency
Maturity
date
Unamortized
upfront
payment paid
(received)
Unrealized
appreciation
(depreciation)
Value
Centrally cleared 6,855,000 CAD CAD CORRA Compounded OIS Fixed 4.500% Semi-Annual Semi-Annual Sep 2025 $(2,426) $8,698 $6,272
Centrally cleared 89,120,000 NOK NOK NIBOR NIBR Fixed 3.740% Annual Semi-Annual Jun 2026 (79,204) (79,204)
Centrally cleared 45,130,000 NOK NOK NIBOR NIBR Fixed 3.812% Annual Semi-Annual Jun 2026 (34,545) (34,545)
Centrally cleared 52,320,000 MXN MXN TIIE Banxico Fixed 7.840% Monthly Monthly Mar 2027 1,438 (125,775) (124,337)
Centrally cleared 8,500,000 NZD NZD BBR FRA Fixed 2.660% Semi-Annual Quarterly Mar 2027 (12,878) (253,237) (266,115)
Centrally cleared 6,540,000 NZD NZD BBR FRA Fixed 2.750% Semi-Annual Quarterly Mar 2027 4,268 (199,228) (194,960)
Centrally cleared 39,115,000 MXN MXN TIIE Banxico Fixed 8.840% Monthly Monthly Jun 2028 (2,489) (6,447) (8,936)
Centrally cleared 55,310,000 MXN MXN TIIE Banxico Fixed 9.053% Monthly Monthly Jun 2028 12,443 12,443
Centrally cleared 4,000,000 AUD AUD BBR BBSW Fixed 4.190% Semi-Annual Semi-Annual Sep 2028 (518) 24,017 23,499
Centrally cleared 24,530,000 CNY Fixed 2.445% CNY CNREPOFIX Reuters Quarterly Quarterly Sep 2028 (51,563) (51,563)
Centrally cleared 9,355,000 CNY Fixed 2.468% CNY CNREPOFIX Reuters Quarterly Quarterly Sep 2028 (20,911) (20,911)
Centrally cleared 15,265,000 CNY Fixed 2.467% CNY CNREPOFIX Reuters Quarterly Quarterly Sep 2028 (34,006) (34,006)
Centrally cleared 12,020,000 CNY Fixed 2.400% CNY CNREPOFIX Reuters Quarterly Quarterly Sep 2028 (21,896) (21,896)
Centrally cleared 12,025,000 CNY Fixed 2.362% CNY CNREPOFIX Reuters Quarterly Quarterly Sep 2028 (19,220) (19,220)
Centrally cleared 2,360,000 CAD CAD CORRA Compounded OIS Fixed 3.910% Semi-Annual Semi-Annual Dec 2028 (421) 20,569 20,148
Centrally cleared 4,700,000 CAD CAD CORRA Compounded OIS Fixed 3.220% Semi-Annual Semi-Annual Jun 2029 1,344 (36,939) (35,595)
Centrally cleared 17,445,000 MXN MXN TIIE Banxico Fixed 6.940% Monthly Monthly Sep 2031 (232) (104,848) (105,080)
Centrally cleared 16,930,000 MXN MXN TIIE Banxico Fixed 8.852% Monthly Monthly Dec 2033 5,557 5,557
Centrally cleared 1,212,830,000 KRW Fixed 3.493% KRW CD KSDA Bloomberg Quarterly Quarterly Mar 2034 (20,002) (20,002)
Centrally cleared 1,212,830,000 KRW Fixed 3.460% KRW CD KSDA Bloomberg Quarterly Quarterly Mar 2034 (17,453) (17,453)
                $(11,914) $(953,990) $(965,904)
Credit default swaps - Buyer
Counterparty
(OTC)/
Centrally
cleared
Reference
obligation
Notional
amount
Currency USD
notional
amount
Pay
fixed
rate
Fixed
payment
frequency
Maturity
date
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
BARC Federative Republic of Brazil 585,000 USD $585,000 1.000% Quarterly Dec 2026 $19,434 $(23,413) $(3,979)
  179  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
Credit default swaps - Buyer (continued)
Counterparty
(OTC)/
Centrally
cleared
Reference
obligation
Notional
amount
Currency USD
notional
amount
Pay
fixed
rate
Fixed
payment
frequency
Maturity
date
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
BARC Emirate of Abu Dhabi 515,000 USD $515,000 1.000% Quarterly Dec 2028 $(12,581) $(2,284) $(14,865)
BARC Emirate of Abu Dhabi 515,000 USD 515,000 1.000% Quarterly Dec 2028 (12,513) (2,352) (14,865)
BARC Federative Republic of Brazil 270,000 USD 270,000 1.000% Quarterly Dec 2028 3,713 (1,032) 2,681
BARC Kingdom of Saudi Arabia 520,000 USD 520,000 1.000% Quarterly Dec 2028 (9,124) (2,665) (11,789)
BARC Republic of Chile 935,000 USD 935,000 1.000% Quarterly Dec 2028 (14,528) (5,951) (20,479)
BARC Republic of Chile 260,000 USD 260,000 1.000% Quarterly Dec 2028 (5,221) (474) (5,695)
BARC Republic of Colombia 210,000 USD 210,000 1.000% Quarterly Dec 2028 8,433 (3,591) 4,842
BARC Republic of Colombia 500,000 USD 500,000 1.000% Quarterly Jun 2024 13,160 (1,632) 11,528
BARC Republic of Indonesia 485,000 USD 485,000 1.000% Quarterly Dec 2028 (5,339) (1,626) (6,965)
BARC Republic of Panama 545,000 USD 545,000 1.000% Quarterly Dec 2028 17,657 (4,089) 13,568
BARC Republic of Panama 500,000 USD 500,000 1.000% Quarterly Dec 2028 13,792 (1,344) 12,448
BARC Republic of Peru 260,000 USD 260,000 1.000% Quarterly Dec 2028 (3,538) (989) (4,527)
BARC United Mexican States 535,000 USD 535,000 1.000% Quarterly Dec 2028 991 (4,961) (3,970)
BARC United Mexican States 480,000 USD 480,000 1.000% Quarterly Dec 2028 299 (3,861) (3,562)
BARC United Mexican States 500,000 USD 500,000 1.000% Quarterly Jun 2024 (2,635) (1,075) (3,710)
BARC United Mexican States 265,000 USD 265,000 1.000% Quarterly Dec 2028 (1,400) (566) (1,966)
BOA Federative Republic of Brazil 2,345,000 USD 2,345,000 1.000% Quarterly Dec 2027 112,420 (114,780) (2,360)
BOA Federative Republic of Brazil 620,000 USD 620,000 1.000% Quarterly Dec 2027 29,816 (30,440) (624)
BOA Republic of South Africa 1,650,000 USD 1,650,000 1.000% Quarterly Dec 2028 95,133 (588) 94,545
BOA State of Qatar 515,000 USD 515,000 1.000% Quarterly Dec 2028 (10,382) (4,144) (14,526)
CITI Federative Republic of Brazil 485,000 USD 485,000 1.000% Quarterly Dec 2027 23,690 (24,178) (488)
GSI Government of Malaysia 2,075,000 USD 2,075,000 1.000% Quarterly Dec 2028 (47,069) (7,830) (54,899)
GSI Government of Malaysia 500,000 USD 500,000 1.000% Quarterly Dec 2028 (12,260) (969) (13,229)
GSI Republic of Colombia 550,000 USD 550,000 1.000% Quarterly Dec 2028 16,785 (4,105) 12,680
GSI Republic of Colombia 500,000 USD 500,000 1.000% Quarterly Dec 2028 12,525 (997) 11,528
GSI Republic of Colombia 500,000 USD 500,000 1.000% Quarterly Dec 2028 11,130 398 11,528
GSI Republic of Colombia 500,000 USD 500,000 1.000% Quarterly Dec 2028 11,615 (87) 11,528
GSI Republic of Indonesia 1,145,000 USD 1,145,000 1.000% Quarterly Dec 2028 (5,646) (10,797) (16,443)
GSI Republic of Indonesia 1,540,000 USD 1,540,000 1.000% Quarterly Dec 2028 (15,694) (6,421) (22,115)
GSI Republic of Indonesia 500,000 USD 500,000 1.000% Quarterly Dec 2028 (5,109) (2,071) (7,180)
GSI Republic of South Africa 460,000 USD 460,000 1.000% Quarterly Dec 2028 27,521 (1,163) 26,358
GSI Republic of the Philippines 800,000 USD 800,000 1.000% Quarterly Dec 2028 (6,929) (7,960) (14,889)
GSI Republic of the Philippines 500,000 USD 500,000 1.000% Quarterly Dec 2028 (8,079) (1,226) (9,305)
GSI State of Qatar 500,000 USD 500,000 1.000% Quarterly Dec 2028 (11,024) (3,078) (14,102)
GSI State of Qatar 520,000 USD 520,000 1.000% Quarterly Dec 2028 (13,329) (1,338) (14,667)
GSI United Mexican States 265,000 USD 265,000 1.000% Quarterly Dec 2028 (1,007) (959) (1,966)
JPM Republic of South Africa 500,000 USD 500,000 1.000% Quarterly Dec 2028 29,825 (1,175) 28,650
JPM Republic of South Africa 500,000 USD 500,000 1.000% Quarterly Dec 2028 27,335 1,315 28,650
MSI Government of Japan 9,570,000 USD 9,570,000 1.000% Quarterly Dec 2024 (50,374) (20,006) (70,380)
MSI Emirate of Abu Dhabi 500,000 USD 500,000 1.000% Quarterly Dec 2028 (12,934) (1,498) (14,432)
MSI Federative Republic of Brazil 2,460,000 USD 2,460,000 1.000% Quarterly Dec 2028 68,164 (43,735) 24,429
MSI Kingdom of Saudi Arabia 500,000 USD 500,000 1.000% Quarterly Dec 2028 (9,545) (1,791) (11,336)
MSI Republic of Chile 500,000 USD 500,000 1.000% Quarterly Dec 2028 (8,192) (2,759) (10,951)
MSI Republic of Peru 2,375,000 USD 2,375,000 1.000% Quarterly Dec 2028 (20,830) (20,524) (41,354)
MSI Republic of South Africa 500,000 USD 500,000 1.000% Quarterly Dec 2028 25,080 3,570 28,650
MSI State of Qatar 500,000 USD 500,000 1.000% Quarterly Dec 2028 (11,728) (2,374) (14,102)
MSI United Mexican States 500,000 USD 500,000 1.000% Quarterly Dec 2028 (207) (3,503) (3,710)
MSI United Mexican States 1,550,000 USD 1,550,000 1.000% Quarterly Dec 2028 (1,609) (9,893) (11,502)
MSI United Mexican States 500,000 USD 500,000 1.000% Quarterly Dec 2028 (1,042) (2,668) (3,710)
        $44,805,000       $248,650 $(389,679) $(141,029)
Centrally cleared CDX.EM.40 24,060,000 USD 24,060,000 1.000% Quarterly Dec 2028 1,089,001 (506,253) 582,748
Centrally cleared CDX.EM.IG.40 3,090,000 USD 3,090,000 1.000% Quarterly Dec 2028 (38,509) (11,150) (49,659)
Centrally cleared CDX.NA.HY.41 2,717,550 USD 2,717,550 5.000% Quarterly Dec 2028 (171,144) (34,318) (205,462)
Centrally cleared CDX.NA.IG.41 18,645,000 USD 18,645,000 1.000% Quarterly Dec 2028 (390,874) (42,340) (433,214)
Centrally cleared iTraxx Europe Crossover Series 40 Version 1 940,000 EUR 1,029,392 5.000% Quarterly Dec 2028 (52,413) (26,681) (79,094)
Centrally cleared iTraxx Europe Senior Financials Series 40 Version 1 5,820,000 EUR 6,324,612 1.000% Quarterly Dec 2028 (81,240) (39,042) (120,282)
  180  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
Credit default swaps - Buyer (continued)
Counterparty
(OTC)/
Centrally
cleared
Reference
obligation
Notional
amount
Currency USD
notional
amount
Pay
fixed
rate
Fixed
payment
frequency
Maturity
date
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
Centrally cleared iTraxx Europe Series 40 Version 1 6,685,000 EUR 7,279,659 1.000% Quarterly Dec 2028 $(142,285) $(16,178) $(158,463)
Centrally cleared iTraxx Europe Sub Financials Series 40 Version 1 3,420,000 EUR 3,714,684 1.000% Quarterly Dec 2028 53,175 (51,657) 1,518
Centrally cleared CDX.NA.HY.42 400,000 USD 400,000 5.000% Quarterly Jun 2029 (27,692) (1,975) (29,667)
Centrally cleared CDX.NA.IG.42 23,020,000 USD 23,020,000 1.000% Quarterly Jun 2029 (498,538) (30,879) (529,417)
        $90,280,897       $(260,519) $(760,473) $(1,020,992)
        $135,085,897       $(11,869) $(1,150,152) $(1,162,021)
Credit default swaps - Seller
Counterparty
(OTC)/
Centrally
cleared
Reference
obligation
Implied
credit
spread
Notional
amount
Currency USD
notional
amount
Received
fixed
rate
Fixed
payment
frequency
Maturity
date
Unamortized
upfront
payment
paid
(received)
Unrealized
appreciation
(depreciation)
Value
BOA Anglo American Capital PLC 1.099% 260,000 EUR $284,869 5.000% Quarterly Dec 2028 $42,332 $5,798 $48,130
BOA Anglo American Capital PLC 1.099% 260,000 EUR 285,675 5.000% Quarterly Dec 2028 42,128 6,002 48,130
GSI CMBX.NA.BBB-.14 6.917% 25,000 USD 25,000 3.000% Monthly Dec 2072 (4,088) (271) (4,359)
          $595,544       $80,372 $11,529 $91,901
Centrally cleared CDX.NA.HY.41 3.108% 277,200 USD 277,200 5.000% Quarterly Dec 2028 8,785 12,173 20,958
          $277,200       $8,785 $12,173 $20,958
          $872,744       $89,157 $23,702 $112,859
Total return swaps
Pay/
receive
total
return*
Reference
entity
Floating/
fixed
rate
Payment
frequency
Currency Notional
amount
Maturity
date
Counterparty
(OTC)
Unamortized
upfront
payment paid
(received)
Unrealized
appreciation
(depreciation)
Value
Pay iBoxx $ Liquid Leveraged Loan Index 1-Day USD Compounded SOFR At Maturity USD 1,375,000 Jun 2024 GSI $(55,951) $(55,951)
Pay iBoxx $ Liquid High Yield Index 1-Day USD Compounded SOFR At Maturity USD 3,450,000 Jun 2024 JPM (143,291) (143,291)
Pay iBoxx $ Liquid Investment Grade Index 1-Day USD Compounded SOFR At Maturity USD 1,780,000 Jun 2024 JPM (47,657) (47,657)
Pay iBoxx $ Liquid Investment Grade Index 1-Day USD Compounded SOFR At Maturity USD 1,995,000 Sep 2024 JPM 4,371 4,371
Pay iBoxx $ Liquid High Yield Index 1-Day USD Compounded SOFR At Maturity USD 6,110,000 Jun 2024 MSI (258,890) (258,890)
Pay iBoxx $ Liquid High Yield Index 1-Day USD Compounded SOFR At Maturity USD 1,420,000 Jun 2024 MSI (31,051) (31,051)
Pay iBoxx $ Liquid Leveraged Loan Index 1-Day USD Compounded SOFR At Maturity USD 1,225,000 Jun 2024 MSI (49,847) (49,847)
Pay iBoxx $ Liquid High Yield Index 1-Day USD Compounded SOFR At Maturity USD 4,300,000 Dec 2024 MSI (1,844) (1,844)
                $(584,160) $(584,160)
    
* Fund will pay or receive the total return of the reference asset depending on whether the return is positive or negative. For contracts where the fund has elected to receive the total return of the reference asset if positive, it will be responsible for paying the floating rate and the total return of the reference asset if negative. If the fund has elected to pay the total return of the reference asset if positive, it will receive the floating rate and the total return of the reference asset if negative. The total return of the reference asset is paid out at maturity while the floating rate is paid on a quarterly basis until maturity.
Inflation swaps
Counterparty (OTC)/
Centrally
cleared
Notional
amount
Currency USD notional
amount
Payments
made
Payments
received
Fixed
payment
frequency
Floating
payment
frequency
Maturity date Unamortized
upfront
payment paid
(received)
Unrealized
appreciation
(depreciation)
Value
BARC 2,970,000 USD $2,970,000 Fixed 3.243% USA CPI All Urban Consumers At Maturity At Maturity Apr 2027 $8,509 $8,509
  181  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
Inflation swaps (continued)
Counterparty (OTC)/
Centrally
cleared
Notional
amount
Currency USD notional
amount
Payments
made
Payments
received
Fixed
payment
frequency
Floating
payment
frequency
Maturity date Unamortized
upfront
payment paid
(received)
Unrealized
appreciation
(depreciation)
Value
BARC 2,990,000 USD $2,990,000 Fixed 3.243% USA CPI All Urban Consumers At Maturity At Maturity Apr 2027 $8,566 $8,566
BARC 5,640,000 USD 5,640,000 Fixed 3.147% USA CPI All Urban Consumers At Maturity At Maturity Apr 2027 43,042 43,042
BOA 500,000 USD 500,000 Fixed 1.635% USA CPI All Urban Consumers At Maturity At Maturity Feb 2050 126,415 126,415
CITI 440,000 USD 440,000 Fixed 3.257% USA CPI All Urban Consumers At Maturity At Maturity Apr 2027 $(36) 977 941
CITI 780,000 USD 780,000 Fixed 2.578% USA CPI All Urban Consumers At Maturity At Maturity Feb 2051 43,514 43,514
JPM 1,700,000 USD 1,700,000 Fixed 1.830% USA CPI All Urban Consumers At Maturity At Maturity Feb 2050 (38,177) 402,935 364,758
      $15,020,000           $(38,213) $633,958 $595,745
Derivatives Currency Abbreviations
AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
CHF Swiss Franc
CLP Chilean Peso
CNY Chinese Yuan Renminbi
COP Colombian Peso
CZK Czech Republic Koruna
EUR Euro
GBP Pound Sterling
HKD Hong Kong Dollar
HUF Hungarian Forint
IDR Indonesian Rupiah
ILS Israeli New Shekel
INR Indian Rupee
JPY Japanese Yen
KRW Korean Won
KZT Kazakhstan Tenge
MXN Mexican Peso
MYR Malaysian Ringgit
NOK Norwegian Krone
NZD New Zealand Dollar
PEN Peruvian Nuevo Sol
PHP Philippine Peso
PLN Polish Zloty
RON Romanian New Leu
SEK Swedish Krona
SGD Singapore Dollar
THB Thai Bhat
TRY Turkish Lira
USD U.S. Dollar
UYU Uruguayan Peso
ZAR South African Rand
  182  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Opportunistic Fixed Income Trust (continued)
Derivatives Abbreviations
BARC Barclays Bank PLC
BBR Bank Bill Rate
BBSW Bank Bill Swap Rate
BOA Bank of America, N.A.
CITI Citibank, N.A.
CNREPOFIX China Fixing Repo Rate
CORRA Canadian Overnight Repo Rate Average
CPI Consumer Price Index
DB Deutsche Bank AG
FRA Forward Rate Agreement
GSI Goldman Sachs International
HSBC HSBC Bank PLC
JPM JPMorgan Chase Bank, N.A.
KSDA Korea Securities Dealers Association
MSI Morgan Stanley & Co. International PLC
NIBOR Norwegian Interbank Offered Rate
OIS Overnight Index Swap
OTC Over-the-counter
SCB Standard Chartered Bank
SOFR Secured Overnight Financing Rate
SSB State Street Bank and Trust Company
TIIE Tasa de Interes Interbancario de Equilibrio (Interbank Equilibrium Interest Rate)
Real Estate Securities Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.5%      
Consumer discretionary – 3.4%          
Hotels, restaurants and leisure – 2.6%      
Hyatt Hotels Corp., Class A   22,255   $ 3,552,343
Marriott International, Inc., Class A   16,552     4,176,235
          7,728,578
Household durables – 0.8%      
D.R. Horton, Inc.   14,616     2,405,063
          10,133,641
Health care – 1.2%          
Health care providers and services – 1.2%      
Brookdale Senior Living, Inc. (A)   516,105     3,411,454
Industrials – 1.3%          
Construction and engineering – 1.3%      
WillScot Mobile Mini Holdings Corp. (A)   80,648     3,750,132
Real estate – 92.6%          
Diversified REITs – 5.3%      
Empire State Realty Trust, Inc., Class A   797,192     8,075,555
Essential Properties Realty Trust, Inc.   278,070     7,413,346
          15,488,901
Health care REITs – 10.0%      
American Healthcare REIT, Inc.   361,014     5,324,957
CareTrust REIT, Inc.   298,796     7,281,659
Welltower, Inc.   180,169     16,834,991
          29,441,607
Hotel and resort REITs – 2.3%      
Ryman Hospitality Properties, Inc.   59,029     6,824,343
Industrial REITs – 15.0%      
EastGroup Properties, Inc.   22,598     4,062,442
Plymouth Industrial REIT, Inc.   247,047     5,558,558
Prologis, Inc.   265,102     34,521,582
          44,142,582
Office REITs – 4.1%      
Kilroy Realty Corp.   120,287     4,382,055
Real Estate Securities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Office REITs (continued)      
SL Green Realty Corp.   139,352   $ 7,682,476
          12,064,531
Real estate management and development – 3.3%      
CBRE Group, Inc., Class A (A)   49,376     4,801,324
Corp. Inmobiliaria Vesta SAB de CV, ADR   126,459     4,962,251
          9,763,575
Residential REITs – 15.3%      
American Homes 4 Rent, Class A   242,595     8,922,644
AvalonBay Communities, Inc.   76,748     14,241,359
Essex Property Trust, Inc.   57,568     14,093,222
Sun Communities, Inc.   37,472     4,818,150
Veris Residential, Inc.   196,264     2,985,175
          45,060,550
Retail REITs – 14.1%      
Acadia Realty Trust   243,063     4,134,502
Brixmor Property Group, Inc.   197,437     4,629,898
NETSTREIT Corp.   185,768     3,412,558
Phillips Edison & Company, Inc.   123,866     4,443,073
Simon Property Group, Inc.   105,776     16,552,886
Tanger, Inc.   203,710     6,015,556
The Macerich Company   129,444     2,230,320
          41,418,793
Specialized REITs – 23.2%      
American Tower Corp.   14,161     2,798,072
CubeSmart   174,738     7,901,652
Digital Realty Trust, Inc.   73,000     10,514,920
Equinix, Inc.   30,643     25,290,587
Extra Space Storage, Inc.   55,233     8,119,251
Iron Mountain, Inc.   82,326     6,603,368
Lamar Advertising Company, Class A   34,691     4,142,452
 
  183  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Real Estate Securities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialized REITs (continued)      
VICI Properties, Inc.   101,259   $ 3,016,506
          68,386,808
          272,591,690
TOTAL COMMON STOCKS (Cost $257,653,316)   $ 289,886,917
SHORT-TERM INVESTMENTS – 1.0%      
Short-term funds – 1.0%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 5.2417% (B)   2,915,911     2,915,911
TOTAL SHORT-TERM INVESTMENTS (Cost $2,915,911)   $ 2,915,911
Total Investments (Real Estate Securities Trust)
(Cost $260,569,227) – 99.5%
  $ 292,802,828
Other assets and liabilities, net – 0.5%     1,514,245
TOTAL NET ASSETS – 100.0%   $ 294,317,073
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
(B) The rate shown is the annualized seven-day yield as of 3-31-24.
Science & Technology Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 99.4%      
Communication services – 14.1%          
Entertainment – 1.6%      
Netflix, Inc. (A)   17,774   $ 10,794,683
Spotify Technology SA (A)   24,702     6,518,858
          17,313,541
Interactive media and services – 12.3%      
Alphabet, Inc., Class A (A)   305,309     46,080,287
Alphabet, Inc., Class C (A)   81,449     12,401,425
Meta Platforms, Inc., Class A   138,489     67,247,489
Pinterest, Inc., Class A (A)   40,546     1,405,730
Reddit, Inc. Class A (A)(B)   21,002     1,035,819
TripAdvisor, Inc. (A)   43,500     1,208,865
          129,379,615
Wireless telecommunication services – 0.2%      
T-Mobile US, Inc.   13,121     2,141,610
          148,834,766
Consumer discretionary – 2.6%          
Automobiles – 0.1%      
Tesla, Inc. (A)   3,200     562,528
Broadline retail – 0.8%      
Amazon.com, Inc. (A)   34,500     6,223,110
MercadoLibre, Inc. (A)   1,400     2,116,744
          8,339,854
Diversified consumer services – 0.2%      
Duolingo, Inc. (A)   9,900     2,183,742
Hotels, restaurants and leisure – 1.5%      
Airbnb, Inc., Class A (A)   56,458     9,313,312
DoorDash, Inc., Class A (A)   47,760     6,577,507
          15,890,819
Specialty retail – 0.0%      
Carvana Company (A)   3,039     267,158
          27,244,101
Science & Technology Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Financials – 0.6%          
Capital markets – 0.1%      
Coinbase Global, Inc., Class A (A)   5,966   $ 1,581,706
Financial services – 0.5%      
Adyen NV (A)(C)   3,023     5,106,259
          6,687,965
Industrials – 1.1%          
Aerospace and defense – 0.0%      
Axon Enterprise, Inc. (A)   1,900     594,472
Electrical equipment – 0.2%      
Vertiv Holdings Company, Class A   26,370     2,153,638
Ground transportation – 0.9%      
Lyft, Inc., Class A (A)   118,359     2,290,247
Uber Technologies, Inc. (A)   90,165     6,941,803
          9,232,050
          11,980,160
Information technology – 81.0%          
Communications equipment – 2.8%      
Arista Networks, Inc. (A)   27,446     7,958,791
Ciena Corp. (A)   78,800     3,896,660
Cisco Systems, Inc.   267,600     13,355,916
Motorola Solutions, Inc.   12,500     4,437,250
          29,648,617
Electronic equipment, instruments and components – 2.7%      
Amphenol Corp., Class A   64,503     7,440,421
CDW Corp.   20,000     5,115,600
Celestica, Inc. (New York Stock Exchange) (A)   125,246     5,628,555
Coherent Corp. (A)   30,753     1,864,247
Corning, Inc.   154,920     5,106,163
Fabrinet (A)   700     132,314
Insight Enterprises, Inc. (A)   1,900     352,488
Keysight Technologies, Inc. (A)   8,841     1,382,556
Zebra Technologies Corp., Class A (A)   5,900     1,778,496
          28,800,840
IT services – 5.6%      
Accenture PLC, Class A   23,365     8,098,543
Cloudflare, Inc., Class A (A)   11,700     1,132,911
Gartner, Inc. (A)   11,687     5,570,842
GoDaddy, Inc., Class A (A)   73,173     8,684,172
IBM Corp.   150,594     28,757,430
MongoDB, Inc. (A)   2,991     1,072,692
Shopify, Inc., Class A (A)   72,155     5,568,201
          58,884,791
Semiconductors and semiconductor equipment – 30.9%      
Advanced Micro Devices, Inc. (A)   89,326     16,122,450
Analog Devices, Inc.   34,200     6,764,418
ARM Holdings PLC, ADR (A)(B)   29,246     3,655,458
Astera Labs, Inc.  (A)   12,773     947,629
Broadcom, Inc.   38,895     51,551,822
Disco Corp.   6,200     2,266,307
Enphase Energy, Inc. (A)   4,515     546,225
Entegris, Inc.   60,598     8,516,443
KLA Corp.   19,472     13,602,555
Lam Research Corp.   38,359     37,268,454
Lattice Semiconductor Corp. (A)   10,890     851,925
Micron Technology, Inc.   147,187     17,351,875
MKS Instruments, Inc.   19,331     2,571,023
Monolithic Power Systems, Inc.   13,193     8,937,202
NVIDIA Corp.   140,739     127,166,129
NXP Semiconductors NV   4,500     1,114,965
ON Semiconductor Corp. (A)   28,900     2,125,595
Onto Innovation, Inc. (A)   6,300     1,140,804
 
  184  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2024 (unaudited) (showing percentage of total net assets)

Science & Technology Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
Qualcomm, Inc.   97,738   $ 16,547,043
SK Hynix, Inc.   23,311     3,088,132
Taiwan Semiconductor Manufacturing Company, Ltd., ADR   30,276     4,119,050
          326,255,504
Software – 32.6%      
Adobe, Inc. (A)   23,528     11,872,229
AppLovin Corp., Class A (A)   20,150     1,394,783
Atlassian Corp., Class A (A)   13,946     2,721,004
Autodesk, Inc. (A)   78,231     20,372,917
Cadence Design Systems, Inc. (A)   74,874     23,306,779
Confluent, Inc., Class A (A)   15,480     472,450
Crowdstrike Holdings, Inc., Class A (A)   668     214,154
Datadog, Inc., Class A (A)   11,864     1,466,390
Elastic NV (A)   6,900     691,656
Fair Isaac Corp. (A)   15,036     18,789,136
Fortinet, Inc. (A)   51,320     3,505,669
HubSpot, Inc. (A)   1,958     1,226,804
Intuit, Inc.   8,134     5,287,100
Manhattan Associates, Inc. (A)   3,280     820,754
Microsoft Corp.   172,040     72,380,669
MicroStrategy, Inc., Class A (A)(B)   2,800     4,772,768
Nutanix, Inc., Class A (A)   281,917     17,399,917
Oracle Corp.   83,700     10,513,557
Palantir Technologies, Inc., Class A (A)   132,169     3,041,209
Palo Alto Networks, Inc. (A)   33,987     9,656,726
Pegasystems, Inc.   7,697     497,534
PTC, Inc. (A)   26,807     5,064,915
Salesforce, Inc.   117,315     35,332,932
Samsara, Inc., Class A (A)   174,917     6,610,113
ServiceNow, Inc. (A)   51,253     39,075,287
Synopsys, Inc. (A)   77,749     44,433,554
Workday, Inc., Class A (A)   11,365     3,099,804
          344,020,810
Technology hardware, storage and peripherals – 6.4%      
Apple, Inc.   307,003     52,644,874
Dell Technologies, Inc., Class C   58,519     6,677,603
Hewlett Packard Enterprise Company   30,900     547,857
NetApp, Inc.   10,351     1,086,544
Super Micro Computer, Inc. (A)   3,400     3,434,102
Western Digital Corp. (A)   43,490     2,967,758
          67,358,738
          854,969,300
TOTAL COMMON STOCKS (Cost $876,402,290)   $ 1,049,716,292
SHORT-TERM INVESTMENTS – 1.4%      
Short-term funds – 1.4%          
John Hancock Collateral Trust, 5.2975% (D)(E)   736,435     7,362,431
State Street Institutional U.S. Government Money Market Fund, Premier Class, 5.2417% (D)   502,994     502,994
T. Rowe Price Government Reserve Fund, 5.3578% (D)   6,661,291     6,661,291
TOTAL SHORT-TERM INVESTMENTS (Cost $14,528,588)   $ 14,526,716
Total Investments (Science & Technology Trust)
(Cost $890,930,878) – 100.8%
  $ 1,064,243,008
Other assets and liabilities, net – (0.8%)     (7,963,154)
TOTAL NET ASSETS – 100.0%   $ 1,056,279,854
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
Science & Technology Trust (continued)
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $7,213,943.
(C) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(D) The rate shown is the annualized seven-day yield as of 3-31-24.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Select Bond Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
55.2%
     
U.S. Government – 18.6%          
U.S. Treasury Bonds          
2.250%, 02/15/2052 $ 31,952,000   $ 21,017,177
2.500%, 02/15/2045   83,239,000     60,865,267
3.000%, 08/15/2052   37,099,000     28,816,938
3.375%, 08/15/2042 to 11/15/2048   48,236,000     40,766,471
4.000%, 11/15/2042   216,141,000     203,594,689
4.500%, 02/15/2044   70,445,000     70,830,246
4.750%, 11/15/2043 to 11/15/2053   289,313,000     305,234,820
U.S. Treasury Notes          
4.000%, 01/31/2031 to 02/15/2034   175,057,000     172,574,780
4.250%, 02/28/2029 to 02/28/2031   215,841,000     216,182,376
          1,119,882,764
U.S. Government Agency – 36.6%          
Federal Home Loan Mortgage Corp.          
2.000%, 06/01/2036 to 03/01/2052   72,588,470     59,607,082
2.500%, 08/01/2051 to 12/01/2051   36,353,094     30,500,458
3.000%, 03/01/2043 to 02/01/2052   97,048,667     85,500,288
3.500%, 04/01/2044 to 07/01/2052   122,469,093     111,244,714
4.000%, 08/01/2037 to 04/01/2053   163,938,248     154,205,459
4.500%, 12/01/2037 to 04/01/2053   101,381,829     98,038,719
5.000%, 09/01/2052 to 10/01/2053   160,517,877     157,498,271
5.500%, 09/01/2052 to 07/01/2053   46,889,860     47,133,793
Federal National Mortgage Association          
2.000%, 06/01/2036 to 02/01/2052   110,040,577     93,272,327
2.500%, 08/01/2035 to 03/01/2052   223,344,470     190,209,313
3.000%, 03/01/2033 to 02/01/2052   209,916,944     185,044,395
3.500%, 06/01/2042 to 08/01/2052   159,995,038     146,224,198
4.000%, 09/01/2037 to 09/01/2052   362,261,230     342,090,581
4.500%, 11/01/2037 to 05/01/2053   258,439,599     248,899,694
5.000%, 09/01/2052 to 06/01/2053   178,317,570     174,980,740
5.500%, 10/01/2052 to 12/01/2052   71,593,065     71,984,437
          2,196,434,469
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $3,503,552,098)   $ 3,316,317,233
CORPORATE BONDS – 31.5%      
Communication services – 1.4%          
Charter Communications Operating LLC          
4.200%, 03/15/2028   12,055,000     11,362,184
5.750%, 04/01/2048   11,676,000     9,832,413
6.384%, 10/23/2035   8,707,000     8,604,938
Netflix, Inc.
4.875%, 06/15/2030 (A)
  9,050,000     8,986,686
T-Mobile USA, Inc.          
3.375%, 04/15/2029   6,061,000     5,605,398
3.875%, 04/15/2030   20,308,000     19,024,178
WarnerMedia Holdings, Inc.          
4.279%, 03/15/2032   5,570,000     4,975,339
5.050%, 03/15/2042   1,660,000     1,426,759
 
  185  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2024 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
WarnerMedia Holdings, Inc. (continued)          
5.141%, 03/15/2052 $ 15,923,000   $ 13,216,050
          83,033,945
Consumer discretionary – 1.9%          
AutoNation, Inc.
4.750%, 06/01/2030
  6,447,000     6,190,225
Booking Holdings, Inc.
4.625%, 04/13/2030
  5,795,000     5,723,453
Brunswick Corp.
5.850%, 03/18/2029
  2,438,000     2,464,477
Expedia Group, Inc.
3.800%, 02/15/2028
  13,294,000     12,645,801
Ford Motor Company          
3.250%, 02/12/2032   8,330,000     6,928,939
6.100%, 08/19/2032 (B)   6,095,000     6,176,156
Ford Motor Credit Company LLC          
4.000%, 11/13/2030   14,422,000     12,876,719
6.800%, 05/12/2028   8,558,000     8,890,809
7.122%, 11/07/2033   4,651,000     5,004,063
General Motors Financial Company, Inc.
2.400%, 10/15/2028
  15,854,000     14,030,935
Hyundai Capital America          
2.375%, 10/15/2027 (A)   2,708,000     2,455,075
5.400%, 01/08/2031 (A)   7,846,000     7,877,161
5.680%, 06/26/2028 (A)   5,876,000     5,957,019
Nissan Motor Acceptance Company LLC          
1.850%, 09/16/2026 (A)   6,534,000     5,912,331
2.000%, 03/09/2026 (A)   3,856,000     3,570,612
Tapestry, Inc.          
7.700%, 11/27/2030   3,446,000     3,674,862
7.850%, 11/27/2033   2,757,000     2,992,135
          113,370,772
Consumer staples – 0.6%          
Bimbo Bakeries USA, Inc.
6.050%, 01/15/2029 (A)
  4,713,000     4,876,631
JBS USA LUX SA          
3.625%, 01/15/2032   5,127,000     4,386,841
5.750%, 04/01/2033   9,181,000     9,044,863
Kraft Heinz Foods Company          
4.375%, 06/01/2046   12,433,000     10,500,220
5.000%, 06/04/2042   3,892,000     3,652,061
Pilgrim's Pride Corp.
6.250%, 07/01/2033
  3,954,000     4,040,541
          36,501,157
Energy – 4.0%          
Aker BP ASA          
3.100%, 07/15/2031 (A)   3,211,000     2,744,243
3.750%, 01/15/2030 (A)   2,039,000     1,863,242
4.000%, 01/15/2031 (A)   9,819,000     8,968,604
Cheniere Energy Partners LP          
3.250%, 01/31/2032   14,081,000     11,994,682
4.500%, 10/01/2029   3,497,000     3,328,259
Cheniere Energy, Inc.
5.650%, 04/15/2034 (A)
  2,748,000     2,767,623
Columbia Pipelines Holding Company LLC
5.681%, 01/15/2034 (A)
  4,484,000     4,454,382
Columbia Pipelines Operating
Company LLC
         
5.927%, 08/15/2030 (A)   2,291,000     2,350,500
6.036%, 11/15/2033 (A)   7,180,000     7,438,803
Continental Resources, Inc.          
2.875%, 04/01/2032 (A)   4,260,000     3,471,867
4.900%, 06/01/2044   4,244,000     3,527,240
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
Continental Resources, Inc. (continued)          
5.750%, 01/15/2031 (A) $ 6,227,000   $ 6,189,909
Enbridge, Inc.          
5.750%, (5.750% to 7-15-30, then 5 Year CMT + 5.314% to 7-15-50, then 5 Year CMT + 6.064%), 07/15/2080   7,510,000     7,107,450
6.250%, (6.250% to 3-1-28, then 3 month CME Term SOFR + 3.903% to 3-1-48, then 3 month CME Term SOFR + 4.653%), 03/01/2078   8,767,000     8,532,755
8.500%, (8.500% to 1-15-34, then 5 Year CMT + 4.431% to 1-15-54, then 5 Year CMT + 5.181%), 01/15/2084   3,720,000     4,041,910
Energy Transfer LP          
4.200%, 04/15/2027   4,899,000     4,763,415
5.150%, 03/15/2045   4,125,000     3,748,114
5.250%, 04/15/2029   16,595,000     16,613,341
5.400%, 10/01/2047   8,136,000     7,508,452
5.500%, 06/01/2027   5,267,000     5,299,602
Enterprise Products Operating LLC
5.250%, (5.250% to 8-16-27, then 3 month CME Term SOFR + 3.295%), 08/16/2077
  11,320,000     10,741,616
Kinder Morgan Energy Partners LP
7.750%, 03/15/2032
  3,697,000     4,186,056
MPLX LP          
4.250%, 12/01/2027   4,887,000     4,752,850
4.950%, 09/01/2032   3,979,000     3,865,164
5.000%, 03/01/2033   4,017,000     3,899,505
Occidental Petroleum Corp.          
6.450%, 09/15/2036   9,319,000     9,936,524
6.625%, 09/01/2030   3,170,000     3,359,249
ONEOK, Inc.          
5.650%, 11/01/2028   2,845,000     2,908,171
6.050%, 09/01/2033   6,183,000     6,448,584
6.625%, 09/01/2053   6,815,000     7,510,829
Ovintiv, Inc.          
5.650%, 05/15/2028   2,243,000     2,280,086
6.250%, 07/15/2033   2,249,000     2,338,279
7.200%, 11/01/2031   1,177,000     1,275,941
Sabine Pass Liquefaction LLC          
4.200%, 03/15/2028   4,128,000     3,996,842
4.500%, 05/15/2030   12,438,000     11,961,766
5.000%, 03/15/2027   6,022,000     6,004,390
Targa Resources Corp.          
4.950%, 04/15/2052   6,464,000     5,663,352
6.150%, 03/01/2029   5,670,000     5,909,319
Targa Resources Partners LP
4.000%, 01/15/2032
  4,769,000     4,292,503
The Williams Companies, Inc.
4.650%, 08/15/2032
  3,423,000     3,298,795
Var Energi ASA          
7.500%, 01/15/2028 (A)   1,397,000     1,477,573
8.000%, 11/15/2032 (A)   12,131,000     13,578,956
Western Midstream Operating LP
4.050%, 02/01/2030
  6,184,000     5,769,836
          242,170,579
Financials – 11.0%          
Ally Financial, Inc.
6.992%, (6.992% to 6-13-28, then Overnight SOFR + 3.260%), 06/13/2029
  5,910,000     6,126,988
 
  186  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2024 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Apollo Debt Solutions BDC
6.900%, 04/13/2029 (A)
$ 2,718,000   $ 2,743,797
Ares Capital Corp.          
2.150%, 07/15/2026   10,912,000     10,048,095
2.875%, 06/15/2028   6,780,000     6,042,775
3.250%, 07/15/2025   3,689,000     3,563,623
5.875%, 03/01/2029   4,172,000     4,159,522
Athene Holding, Ltd.
3.500%, 01/15/2031
  13,028,000     11,448,320
Banco Santander SA
4.379%, 04/12/2028
  5,040,000     4,878,008
Bank of America Corp.          
2.087%, (2.087% to 6-14-28, then Overnight SOFR + 1.060%), 06/14/2029   11,760,000     10,392,059
2.592%, (2.592% to 4-29-30, then Overnight SOFR + 2.150%), 04/29/2031   10,542,000     9,088,757
2.687%, (2.687% to 4-22-31, then Overnight SOFR + 1.320%), 04/22/2032   17,919,000     15,167,541
3.846%, (3.846% to 3-8-32, then 5 Year CMT + 2.000%), 03/08/2037   8,914,000     7,880,575
3.970%, (3.970% to 3-5-28, then 3 month CME Term SOFR + 1.332%), 03/05/2029   7,807,000     7,462,623
4.271%, (4.271% to 7-23-28, then 3 month CME Term SOFR + 1.572%), 07/23/2029   13,117,000     12,643,681
Bank of Montreal
7.700%, (7.700% to 5-26-29, then 5 Year CMT + 3.452%), 05/26/2084
  8,422,000     8,520,967
Barclays PLC
5.690%, (5.690% to 3-12-29, then Overnight SOFR + 1.740%), 03/12/2030
  17,384,000     17,474,501
Blackstone Private Credit Fund          
3.250%, 03/15/2027   1,690,000     1,559,742
4.000%, 01/15/2029   6,622,000     6,075,637
7.300%, 11/27/2028 (A)   5,251,000     5,474,696
BNP Paribas SA          
5.497%, (5.497% to 5-20-29, then Overnight SOFR + 1.590%), 05/20/2030 (A)   5,173,000     5,184,307
9.250%, (9.250% to 11-17-27, then 5 Year CMT + 4.969%), 11/17/2027 (A)(C)   2,997,000     3,215,841
BPCE SA
5.716%, (5.716% to 1-18-29, then 1 Year CMT + 1.959%), 01/18/2030 (A)
  4,987,000     5,011,645
Cantor Fitzgerald LP
7.200%, 12/12/2028 (A)
  11,195,000     11,581,458
Citigroup, Inc.          
2.561%, (2.561% to 5-1-31, then Overnight SOFR + 1.167%), 05/01/2032   5,665,000     4,724,634
4.600%, 03/09/2026   4,917,000     4,838,994
5.174%, (5.174% to 2-13-29, then Overnight SOFR + 1.364%), 02/13/2030   4,017,000     3,998,256
6.174%, (6.174% to 5-25-33, then Overnight SOFR + 2.661%), 05/25/2034   7,532,000     7,648,663
Citizens Financial Group, Inc.
3.250%, 04/30/2030
  9,801,000     8,632,834
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
CNA Financial Corp.
2.050%, 08/15/2030
$ 2,944,000   $ 2,460,803
CNO Financial Group, Inc.
5.250%, 05/30/2029
  8,650,000     8,426,926
Comerica, Inc.
5.982%, (5.982% to 1-30-29, then Overnight SOFR + 2.155%), 01/30/2030
  3,900,000     3,853,102
Corebridge Financial, Inc.
6.875%, (6.875% to 12-15-27, then 5 Year CMT + 3.846%), 12/15/2052
  1,743,000     1,745,089
Credit Agricole SA          
3.250%, 01/14/2030 (A)   11,547,000     10,249,328
6.316%, (6.316% to 10-3-28, then Overnight SOFR + 1.860%), 10/03/2029 (A)   7,198,000     7,462,315
Deutsche Bank AG          
2.552%, (2.552% to 1-7-27, then Overnight SOFR + 1.318%), 01/07/2028   10,197,000     9,362,678
6.819%, (6.819% to 11-20-28, then Overnight SOFR + 2.510%), 11/20/2029   4,359,000     4,556,913
Discover Financial Services          
4.100%, 02/09/2027   3,143,000     3,032,242
6.700%, 11/29/2032   7,827,000     8,273,492
Fifth Third Bancorp
6.339%, (6.339% to 7-27-28, then Overnight SOFR + 2.340%), 07/27/2029
  6,330,000     6,525,413
Huntington Bancshares, Inc.
6.208%, (6.208% to 8-21-28, then Overnight SOFR + 2.020%), 08/21/2029
  4,260,000     4,360,161
ING Groep NV          
5.335%, (5.335% to 3-19-29, then Overnight SOFR + 1.440%), 03/19/2030   3,270,000     3,262,009
6.114%, (6.114% to 9-11-33, then Overnight SOFR + 2.090%), 09/11/2034   3,038,000     3,154,183
Jefferies Financial Group, Inc.
5.875%, 07/21/2028
  5,365,000     5,461,466
JPMorgan Chase & Co.          
2.522%, (2.522% to 4-22-30, then Overnight SOFR + 2.040%), 04/22/2031   11,243,000     9,717,112
2.956%, (2.956% to 5-13-30, then 3 month CME Term SOFR + 2.515%), 05/13/2031   11,196,000     9,787,070
4.452%, (4.452% to 12-5-28, then 3 month CME Term SOFR + 1.592%), 12/05/2029   2,948,000     2,873,885
4.600%, (4.600% to 2-1-25, then 3 month CME Term SOFR + 3.125%), 02/01/2025 (C)   7,030,000     6,911,289
5.012%, (5.012% to 1-23-29, then Overnight SOFR + 1.310%), 01/23/2030   6,770,000     6,742,270
Lazard Group LLC          
4.375%, 03/11/2029   4,640,000     4,448,114
6.000%, 03/15/2031   3,245,000     3,275,824
 
  187  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2024 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
M&T Bank Corp.
5.125%, (5.125% to 11-1-26, then 3 month CME Term SOFR + 3.782%), 11/01/2026 (C)
$ 3,746,000   $ 3,315,997
Macquarie Bank, Ltd.
3.624%, 06/03/2030 (A)
  5,613,000     4,984,411
MetLife, Inc.
6.400%, (6.400% to 12-15-36, then 3 month CME Term SOFR + 2.467%), 12/15/2036
  5,277,000     5,403,453
Morgan Stanley          
2.239%, (2.239% to 7-21-31, then Overnight SOFR + 1.178%), 07/21/2032   4,486,000     3,664,555
2.484%, (2.484% to 9-16-31, then Overnight SOFR + 1.360%), 09/16/2036   11,122,000     8,796,217
5.164%, (5.164% to 4-20-28, then Overnight SOFR + 1.590%), 04/20/2029   4,854,000     4,850,082
5.173%, (5.173% to 1-16-29, then Overnight SOFR + 1.450%), 01/16/2030   6,963,000     6,968,897
National Rural Utilities Cooperative
Finance Corp.
         
4.850%, 02/07/2029   6,569,000     6,563,288
5.600%, 11/13/2026   5,314,000     5,383,945
NatWest Group PLC
3.754%, (3.754% to 11-1-24, then 5 Year CMT + 2.100%), 11/01/2029
  3,137,000     3,083,729
NatWest Markets PLC
1.600%, 09/29/2026 (A)
  8,148,000     7,449,719
Radian Group, Inc.
6.200%, 05/15/2029
  8,957,000     9,089,890
Santander Holdings USA, Inc.          
2.490%, (2.490% to 1-6-27, then Overnight SOFR + 1.249%), 01/06/2028   4,803,000     4,365,023
3.244%, 10/05/2026   13,364,000     12,625,278
3.450%, 06/02/2025   8,436,000     8,200,328
4.400%, 07/13/2027   2,484,000     2,409,507
SBL Holdings, Inc.
5.000%, 02/18/2031 (A)
  5,793,000     4,893,481
Societe Generale SA          
5.634%, (5.634% to 1-19-29, then 1 Year CMT + 1.750%), 01/19/2030 (A)   2,683,000     2,671,567
6.221%, (6.221% to 6-15-32, then 1 Year CMT + 3.200%), 06/15/2033 (A)   4,310,000     4,318,387
6.446%, (6.446% to 1-10-28, then 1 Year CMT + 2.550%), 01/10/2029 (A)   8,161,000     8,370,581
Teachers Insurance & Annuity Association of America
4.270%, 05/15/2047 (A)
  9,222,000     7,644,267
The Bank of New York Mellon Corp.
4.975%, (4.975% to 3-14-29, then Overnight SOFR + 1.085%), 03/14/2030
  3,758,000     3,761,234
The Charles Schwab Corp.          
5.643%, (5.643% to 5-19-28, then Overnight SOFR + 2.210%), 05/19/2029   6,429,000     6,526,605
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
The Charles Schwab Corp. (continued)          
6.196%, (6.196% to 11-17-28, then Overnight SOFR + 1.878%), 11/17/2029 $ 7,054,000   $ 7,331,919
The Goldman Sachs Group, Inc.          
2.615%, (2.615% to 4-22-31, then Overnight SOFR + 1.281%), 04/22/2032   21,922,000     18,398,079
2.650%, (2.650% to 10-21-31, then Overnight SOFR + 1.264%), 10/21/2032   7,882,000     6,557,990
The PNC Financial Services Group, Inc.          
3.400%, (3.400% to 9-15-26, then 5 Year CMT + 2.595%), 09/15/2026 (C)   9,949,000     8,695,822
5.582%, (5.582% to 6-12-28, then Overnight SOFR + 1.841%), 06/12/2029   11,207,000     11,343,507
5.939%, (5.939% to 8-18-33, then Overnight SOFR + 1.946%), 08/18/2034   6,375,000     6,540,821
6.250%, (6.250% to 3-15-30, then 7 Year CMT + 2.808%), 03/15/2030 (C)   4,542,000     4,401,981
8.643%, (3 month CME Term SOFR + 3.302%), 06/01/2024 (C)(D)   3,184,000     3,195,599
Truist Financial Corp.          
5.435%, (5.435% to 1-24-29, then Overnight SOFR + 1.620%), 01/24/2030   7,465,000     7,456,292
5.867%, (5.867% to 6-8-33, then Overnight SOFR + 2.361%), 06/08/2034   5,481,000     5,548,202
7.161%, (7.161% to 10-30-28, then Overnight SOFR + 2.446%), 10/30/2029   4,179,000     4,456,490
Trust Fibra Uno
7.375%, 02/13/2034 (A)
  6,024,000     6,010,941
U.S. Bancorp          
5.384%, (5.384% to 1-23-29, then Overnight SOFR + 1.560%), 01/23/2030   3,956,000     3,973,474
5.836%, (5.836% to 6-10-33, then Overnight SOFR + 2.260%), 06/12/2034   6,311,000     6,432,510
6.787%, (6.787% to 10-26-26, then Overnight SOFR + 1.880%), 10/26/2027   6,971,000     7,218,604
UBS Group AG          
5.428%, (5.428% to 2-8-29, then 1 Year CMT + 1.520%), 02/08/2030 (A)   5,435,000     5,443,056
6.301%, (6.301% to 9-22-33, then 1 Year CMT + 2.000%), 09/22/2034 (A)   4,297,000     4,497,940
9.250%, (9.250% to 11-13-28, then 5 Year CMT + 4.745%), 11/13/2028 (A)(C)   3,279,000     3,552,715
9.250%, (9.250% to 11-13-33, then 5 Year CMT + 4.758%), 11/13/2033 (A)(C)   2,445,000     2,759,273
Wells Fargo & Company          
2.393%, (2.393% to 6-2-27, then Overnight SOFR + 2.100%), 06/02/2028   17,908,000     16,391,265
 
  188  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2024 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Wells Fargo & Company (continued)          
2.879%, (2.879% to 10-30-29, then 3 month CME Term SOFR + 1.432%), 10/30/2030 $ 11,773,000   $ 10,407,261
3.350%, (3.350% to 3-2-32, then Overnight SOFR + 1.500%), 03/02/2033   16,621,000     14,420,839
5.198%, (5.198% to 1-23-29, then Overnight SOFR + 1.500%), 01/23/2030   10,308,000     10,286,271
5.875%, (5.875% to 6-15-25, then 9.865% thereafter), 06/15/2025 (C)   17,766,000     17,726,916
          659,918,431
Health care – 2.4%          
Amgen, Inc.
5.250%, 03/02/2030 to 03/02/2033
  22,052,000     22,331,032
Cencora, Inc.
2.800%, 05/15/2030
  7,814,000     6,899,061
Centene Corp.
4.625%, 12/15/2029
  13,970,000     13,262,828
CVS Health Corp.          
3.750%, 04/01/2030   5,408,000     5,039,298
5.050%, 03/25/2048   4,473,000     4,062,279
5.250%, 01/30/2031   1,445,000     1,455,791
Fresenius Medical Care US Finance
III, Inc.
         
2.375%, 02/16/2031 (A)   12,349,000     9,731,828
3.750%, 06/15/2029 (A)   11,470,000     10,307,485
HCA, Inc.
5.450%, 04/01/2031
  4,710,000     4,734,569
IQVIA, Inc.
6.250%, 02/01/2029
  3,483,000     3,616,486
Pfizer Investment Enterprises Pte, Ltd.
4.750%, 05/19/2033
  6,574,000     6,472,653
Regeneron Pharmaceuticals, Inc.
1.750%, 09/15/2030
  10,861,000     8,888,731
Royalty Pharma PLC
1.750%, 09/02/2027
  4,117,000     3,676,550
Solventum Corp.          
5.400%, 03/01/2029 (A)   5,207,000     5,217,496
5.450%, 03/13/2031 (A)   9,998,000     9,972,157
Thermo Fisher Scientific, Inc.
4.977%, 08/10/2030
  3,630,000     3,655,984
Universal Health Services, Inc.
2.650%, 10/15/2030
  6,598,000     5,594,752
Viatris, Inc.          
2.700%, 06/22/2030   9,804,000     8,312,113
4.000%, 06/22/2050   20,005,000     13,781,833
          147,012,926
Industrials – 3.8%          
AerCap Ireland Capital DAC          
2.450%, 10/29/2026   24,766,000     22,999,182
3.000%, 10/29/2028   12,158,000     11,000,809
5.100%, 01/19/2029   6,579,000     6,540,141
Air Canada 2013-1 Class A Pass Through Trust
4.125%, 05/15/2025 (A)
  1,161,186     1,135,093
Air Canada 2015-2 Class AA Pass Through Trust
3.750%, 12/15/2027 (A)
  4,030,478     3,789,681
Air Canada 2017-1 Class B Pass Through Trust
3.700%, 01/15/2026 (A)
  1,532,645     1,457,375
Air Lease Corp.          
2.100%, 09/01/2028   4,481,000     3,921,608
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
Air Lease Corp. (continued)          
3.625%, 12/01/2027 $ 4,932,000   $ 4,652,517
Alaska Airlines 2020-1 Class B Pass Through Trust
8.000%, 08/15/2025 (A)
  2,967,548     3,008,153
American Airlines 2014-1 Class A Pass Through Trust
3.700%, 10/01/2026
  2,623,835     2,516,858
American Airlines 2016-1 Class A Pass Through Trust
4.100%, 01/15/2028
  6,701,716     6,267,509
American Airlines 2016-1 Class AA Pass Through Trust
3.575%, 01/15/2028
  5,868,745     5,494,864
American Airlines 2017-1 Class A Pass Through Trust
4.000%, 02/15/2029
  4,475,188     4,116,265
American Airlines 2017-1 Class AA Pass Through Trust
3.650%, 02/15/2029
  5,144,313     4,853,942
American Airlines 2017-2 Class A Pass Through Trust
3.600%, 10/15/2029
  4,013,793     3,634,096
American Airlines 2019-1 Class A Pass Through Trust
3.500%, 02/15/2032
  6,723,607     5,845,353
American Airlines 2019-1 Class AA Pass Through Trust
3.150%, 02/15/2032
  6,181,772     5,522,810
American Airlines 2021-1 Class A Pass Through Trust
2.875%, 07/11/2034
  4,906,800     4,166,460
American Airlines 2021-1 Class B Pass Through Trust
3.950%, 07/11/2030
  1,211,865     1,114,798
Ashtead Capital, Inc.          
4.250%, 11/01/2029 (A)   2,302,000     2,146,101
5.500%, 08/11/2032 (A)   5,436,000     5,314,528
5.550%, 05/30/2033 (A)   2,706,000     2,661,030
5.800%, 04/15/2034 (A)   3,237,000     3,233,711
5.950%, 10/15/2033 (A)   6,014,000     6,081,171
BAE Systems PLC
5.250%, 03/26/2031 (A)
  2,370,000     2,379,713
British Airways 2018-1 Class A Pass Through Trust
4.125%, 09/20/2031 (A)
  1,483,342     1,367,841
British Airways 2020-1 Class A Pass Through Trust
4.250%, 11/15/2032 (A)
  2,396,907     2,235,183
British Airways 2020-1 Class B Pass Through Trust
8.375%, 11/15/2028 (A)
  1,587,080     1,648,952
Concentrix Corp.
6.600%, 08/02/2028
  6,971,000     7,049,225
DAE Funding LLC
3.375%, 03/20/2028 (A)
  7,806,000     7,186,688
Delta Air Lines, Inc.
4.750%, 10/20/2028 (A)
  7,487,678     7,323,376
Huntington Ingalls Industries, Inc.
4.200%, 05/01/2030
  3,156,000     2,958,416
Ingersoll Rand, Inc.
5.400%, 08/14/2028
  1,332,000     1,349,672
JetBlue 2019-1 Class AA Pass Through Trust
2.750%, 05/15/2032
  6,436,353     5,540,462
 
  189  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2024 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
Owens Corning
3.950%, 08/15/2029
$ 8,341,000   $ 7,885,561
Regal Rexnord Corp.
6.400%, 04/15/2033 (A)
  4,095,000     4,247,031
SMBC Aviation Capital Finance DAC
2.300%, 06/15/2028 (A)
  3,894,000     3,442,980
United Airlines 2014-2 Class A Pass Through Trust
3.750%, 09/03/2026
  7,996,252     7,745,694
United Airlines 2016-1 Class A Pass Through Trust
3.450%, 07/07/2028
  7,418,459     6,729,324
United Airlines 2016-1 Class B Pass Through Trust
3.650%, 01/07/2026
  6,161,458     5,862,109
United Airlines 2018-1 Class B Pass Through Trust
4.600%, 03/01/2026
  2,418,290     2,333,253
United Airlines 2019-1 Class A Pass Through Trust
4.550%, 08/25/2031
  4,289,316     3,938,955
United Airlines 2020-1 Class A Pass Through Trust
5.875%, 10/15/2027
  11,269,636     11,231,544
United Airlines 2020-1 Class B Pass Through Trust
4.875%, 01/15/2026
  3,315,428     3,262,137
United Airlines 2023-1 Class A Pass Through Trust
5.800%, 01/15/2036
  7,169,000     7,289,440
US Airways 2012-2 Class A Pass Through Trust
4.625%, 06/03/2025
  1,712,168     1,683,794
          226,165,405
Information technology – 2.3%          
Autodesk, Inc.
2.850%, 01/15/2030
  3,346,000     2,989,785
Broadcom, Inc.          
3.419%, 04/15/2033 (A)   11,115,000     9,635,589
4.750%, 04/15/2029   21,124,000     20,864,141
Dell International LLC          
5.300%, 10/01/2029   5,382,000     5,448,060
5.400%, 04/15/2034   10,317,000     10,341,154
Foundry JV Holdco LLC
5.875%, 01/25/2034 (A)
  5,347,000     5,355,061
Gartner, Inc.
4.500%, 07/01/2028 (A)
  7,293,000     6,947,362
Kyndryl Holdings, Inc.
6.350%, 02/20/2034
  899,000     922,789
Marvell Technology, Inc.
5.950%, 09/15/2033
  8,941,000     9,265,671
Micron Technology, Inc.          
2.703%, 04/15/2032   4,907,000     4,096,479
4.185%, 02/15/2027   5,739,000     5,592,173
5.300%, 01/15/2031   4,002,000     4,025,146
5.327%, 02/06/2029   6,732,000     6,793,204
6.750%, 11/01/2029   11,681,000     12,537,923
Motorola Solutions, Inc.          
2.300%, 11/15/2030   8,865,000     7,441,431
2.750%, 05/24/2031   8,602,000     7,289,658
Oracle Corp.
2.950%, 04/01/2030
  5,548,000     4,936,876
Qorvo, Inc.
3.375%, 04/01/2031 (A)
  3,682,000     3,166,571
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology (continued)          
VeriSign, Inc.
2.700%, 06/15/2031
$ 4,203,000   $ 3,520,016
VMware LLC
4.700%, 05/15/2030
  9,327,000     9,079,031
          140,248,120
Materials – 0.3%          
Anglo American Capital PLC
4.750%, 04/10/2027 (A)
  4,433,000     4,343,869
Freeport-McMoRan, Inc.          
4.250%, 03/01/2030   5,211,000     4,939,205
5.450%, 03/15/2043   7,603,000     7,278,879
Newmont Corp.
2.800%, 10/01/2029
  2,032,000     1,823,136
OCI NV
6.700%, 03/16/2033 (A)
  1,606,000     1,600,646
          19,985,735
Real estate – 1.1%          
American Homes 4 Rent LP
4.250%, 02/15/2028
  3,147,000     3,020,681
American Tower Corp.          
3.800%, 08/15/2029   11,055,000     10,317,204
5.200%, 02/15/2029   5,450,000     5,447,349
American Tower Trust I
5.490%, 03/15/2028 (A)
  7,995,000     8,061,751
CoStar Group, Inc.
2.800%, 07/15/2030 (A)
  8,616,000     7,344,836
GLP Capital LP          
3.250%, 01/15/2032   1,916,000     1,612,942
4.000%, 01/15/2030   2,026,000     1,849,652
Prologis LP
5.125%, 01/15/2034
  6,718,000     6,747,115
Prologis Targeted U.S. Logistics Fund LP
5.250%, 04/01/2029 (A)
  8,091,000     8,067,799
SBA Tower Trust
6.599%, 01/15/2028 (A)
  1,416,000     1,450,616
VICI Properties LP          
4.125%, 08/15/2030 (A)   3,412,000     3,102,553
4.625%, 12/01/2029 (A)   4,089,000     3,867,068
5.125%, 05/15/2032   2,800,000     2,678,192
          63,567,758
Utilities – 2.7%          
AES Panama Generation Holdings SRL
4.375%, 05/31/2030 (A)
  5,845,429     5,070,909
American Electric Power Company, Inc.
5.625%, 03/01/2033
  2,475,000     2,512,749
Atlantica Transmision Sur SA
6.875%, 04/30/2043 (A)
  2,461,108     2,501,101
Constellation Energy Generation LLC          
6.125%, 01/15/2034   2,070,000     2,185,711
6.500%, 10/01/2053   3,530,000     3,882,783
Dominion Energy, Inc.
3.375%, 04/01/2030
  5,292,000     4,809,335
Duke Energy Carolinas LLC
4.950%, 01/15/2033
  6,133,000     6,099,188
Duke Energy Corp.          
2.450%, 06/01/2030   2,272,000     1,956,701
5.750%, 09/15/2033   7,220,000     7,416,746
Emera US Finance LP
3.550%, 06/15/2026
  4,668,000     4,480,931
Eversource Energy
5.125%, 05/15/2033
  5,667,000     5,552,775
Georgia Power Company
4.950%, 05/17/2033
  3,760,000     3,707,263
 
  190  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2024 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
Indianapolis Power & Light Company
5.650%, 12/01/2032 (A)
$ 9,200,000   $ 9,353,540
National Grid PLC
5.809%, 06/12/2033
  8,795,000     8,984,859
NextEra Energy Capital Holdings, Inc.          
2.250%, 06/01/2030   13,461,000     11,461,632
6.700%, (6.700% to 9-1-29, then 5 Year CMT + 2.364%), 09/01/2054   6,061,000     6,091,242
NiSource, Inc.          
1.700%, 02/15/2031   2,272,000     1,814,700
3.600%, 05/01/2030   4,887,000     4,501,151
5.250%, 03/30/2028   1,446,000     1,455,941
NRG Energy, Inc.          
2.450%, 12/02/2027 (A)   6,241,000     5,609,801
4.450%, 06/15/2029 (A)   5,451,000     5,152,955
7.000%, 03/15/2033 (A)   6,323,000     6,746,995
San Diego Gas & Electric Company
4.950%, 08/15/2028
  10,536,000     10,575,520
Sempra
5.500%, 08/01/2033
  5,830,000     5,845,613
The Southern Company
5.700%, 03/15/2034
  5,353,000     5,520,786
Vistra Operations Company LLC          
3.700%, 01/30/2027 (A)   10,864,000     10,322,151
4.300%, 07/15/2029 (A)   10,449,000     9,799,613
6.950%, 10/15/2033 (A)   5,460,000     5,827,797
          159,240,488
TOTAL CORPORATE BONDS (Cost $1,991,454,753)     $ 1,891,215,316
MUNICIPAL BONDS – 0.5%          
Foothill-Eastern Transportation Corridor Agency (California)
4.094%, 01/15/2049
  5,856,000     4,919,373
Golden State Tobacco Securitization Corp. (California)
4.214%, 06/01/2050
  4,975,000     3,777,868
Maryland Health & Higher Educational Facilities Authority
3.197%, 07/01/2050
  9,725,000     6,939,456
Mississippi Hospital Equipment & Facilities Authority
3.720%, 09/01/2026
  6,647,000     6,387,181
Ohio Turnpike & Infrastructure Commission
3.216%, 02/15/2048
  2,540,000     1,940,227
Regents of the University of California Medical Center
3.006%, 05/15/2050
  9,720,000     6,711,339
State Board of Administration Finance Corp. (Florida)
1.705%, 07/01/2027
  3,337,000     3,025,371
TOTAL MUNICIPAL BONDS (Cost $43,162,311)   $ 33,700,815
COLLATERALIZED MORTGAGE OBLIGATIONS – 4.2%      
Commercial and residential – 3.2%          
Angel Oak Mortgage Trust LLC          
Series 2020-R1, Class A1,
0.990%, 04/25/2053 (A)(E)
  1,899,556     1,738,201
Series 2021-2, Class A1,
0.985%, 04/25/2066 (A)(E)
  2,216,097     1,830,966
Series 2021-4, Class A1,
1.035%, 01/20/2065 (A)(E)
  5,077,117     4,119,240
Series 2021-5, Class A1,
0.951%, 07/25/2066 (A)(E)
  4,424,698     3,712,691
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Angel Oak Mortgage
Trust LLC (continued)
         
Series 2024-3, Class A1 (4.800% to 2-1-28, then 5.800% thereafter),
4.800%, 11/26/2068 (A)
$ 4,475,468   $ 4,325,238
Arroyo Mortgage Trust
Series 2021-1R, Class A1
1.175%, 10/25/2048 (A)(E)
  2,617,836     2,261,427
BAMLL Commercial Mortgage Securities Trust
Series 2015-200P, Class A
3.218%, 04/14/2033 (A)
  2,121,000     2,042,137
BBCMS Mortgage Trust
Series 2020-C6, Class A2
2.690%, 02/15/2053
  1,980,000     1,863,425
BRAVO Residential Funding Trust
Series 2021-NQM1, Class A1
0.941%, 02/25/2049 (A)(E)
  2,450,896     2,165,274
BX Trust          
Series 2021-MFM1, Class D (1 month CME Term SOFR + 1.614%),
6.939%, 01/15/2034 (A)(D)
  1,471,223     1,454,671
Series 2022-CLS, Class A,
5.760%, 10/13/2027 (A)
  3,485,000     3,496,330
BXHPP Trust
Series 2021-FILM, Class C (1 month CME Term SOFR + 1.214%)
6.539%, 08/15/2036 (A)(D)
  14,743,000     13,783,139
Cantor Commercial Real Estate Lending
Series 2019-CF1, Class A2
3.623%, 05/15/2052
  6,770,417     6,451,985
Citigroup Commercial Mortgage Trust          
Series 2020-GC46, Class A2,
2.708%, 02/15/2053
  6,905,000     6,339,935
Series 2023-SMRT, Class A,
5.820%, 10/12/2040 (A)(E)
  4,564,000     4,642,306
COLT Mortgage Loan Trust          
Series 2021-2, Class A1,
0.924%, 08/25/2066 (A)(E)
  2,911,237     2,343,014
Series 2021-3, Class A1,
0.956%, 09/27/2066 (A)(E)
  4,734,648     3,798,232
Series 2021-HX1, Class A1,
1.110%, 10/25/2066 (A)(E)
  4,054,505     3,353,511
COLT Trust
Series 2020-RPL1, Class A1
1.390%, 01/25/2065 (A)(E)
  8,236,837     6,824,716
Commercial Mortgage Trust (Cantor Fitzgerald/Deutsche Bank AG)
Series 2020-CX, Class D
2.683%, 11/10/2046 (A)(E)
  4,291,000     3,334,420
Commercial Mortgage Trust (Deutsche Bank AG)
Series 2020-CBM, Class A2
2.896%, 02/10/2037 (A)
  3,156,000     3,046,472
Credit Suisse Mortgage
Capital Certificates
         
Series 2020-NET, Class A,
2.257%, 08/15/2037 (A)
  2,112,441     1,963,126
Series 2021-AFC1, Class A1,
0.830%, 03/25/2056 (A)(E)
  6,202,128     4,998,557
Series 2021-NQM2, Class A1,
1.179%, 02/25/2066 (A)(E)
  1,312,647     1,135,129
 
  191  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2024 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Credit Suisse Mortgage
Capital Certificates (continued)
         
Series 2021-NQM3, Class A1,
1.015%, 04/25/2066 (A)(E)
$ 2,011,108   $ 1,634,172
Series 2021-NQM5, Class A1,
0.938%, 05/25/2066 (A)(E)
  2,425,573     1,945,852
Series 2021-NQM6, Class A1,
1.174%, 07/25/2066 (A)(E)
  6,150,629     5,005,487
Series 2021-RPL2, Class A1A,
1.115%, 01/25/2060 (A)(E)
  8,128,862     6,650,569
DBJPM Mortgage Trust
Series 2020-C9, Class A2
1.900%, 08/15/2053
  4,948,494     4,670,973
Deephaven Residential Mortgage Trust
Series 2021-2, Class A1
0.899%, 04/25/2066 (A)(E)
  3,612,261     3,106,904
Ellington Financial Mortgage Trust          
Series 2021-1, Class A1,
0.797%, 02/25/2066 (A)(E)
  1,538,831     1,289,965
Series 2021-2, Class A1,
0.931%, 06/25/2066 (A)(E)
  3,464,472     2,781,830
Flagstar Mortgage Trust
Series 2021-1, Class A2
2.500%, 02/01/2051 (A)(E)
  6,942,647     5,562,255
GCAT Trust          
Series 2021-NQM1, Class A1,
0.874%, 01/25/2066 (A)(E)
  1,421,459     1,191,170
Series 2021-NQM2, Class A1,
1.036%, 05/25/2066 (A)(E)
  1,571,240     1,290,598
Series 2021-NQM3, Class A1,
1.091%, 05/25/2066 (A)(E)
  3,280,406     2,719,544
GS Mortgage Securities Trust
Series 2020-UPTN, Class A
2.751%, 02/10/2037 (A)
  2,093,000     1,996,341
GS Mortgage-Backed Securities Trust          
Series 2020-NQM1, Class A1,
1.382%, 09/27/2060 (A)(E)
  857,365     784,533
Series 2021-NQM1, Class A1,
1.017%, 07/25/2061 (A)(E)
  2,040,132     1,735,419
Imperial Fund Mortgage Trust
Series 2021-NQM1, Class A1
1.071%, 06/25/2056 (A)(E)
  2,635,211     2,251,374
MFA Trust
Series 2021-NQM1, Class A1
1.153%, 04/25/2065 (A)(E)
  1,937,605     1,760,502
New Residential Mortgage Loan Trust
Series 2020-1A, Class A1B
3.500%, 10/25/2059 (A)(E)
  2,300,622     2,120,735
NMLT Trust
Series 2021-INV1, Class A1
1.185%, 05/25/2056 (A)(E)
  5,330,379     4,402,690
NYMT Loan Trust
Series 2022-CP1, Class A1
2.042%, 07/25/2061 (A)
  1,589,186     1,440,590
OBX Trust          
Series 2020-EXP2, Class A3,
2.500%, 05/25/2060 (A)(E)
  1,967,139     1,604,044
Series 2021-NQM2, Class A1,
1.101%, 05/25/2061 (A)(E)
  3,469,597     2,758,211
Series 2021-NQM3, Class A1,
1.054%, 07/25/2061 (A)(E)
  4,998,998     3,877,763
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Provident Funding Mortgage Trust
Series 2020-F1, Class A2
2.000%, 01/25/2036 (A)(E)
$ 4,438,778   $ 3,806,159
SLG Office Trust
Series 2021-OVA, Class C
2.851%, 07/15/2041 (A)
  8,579,000     6,957,560
Starwood Mortgage Residential Trust          
Series 2021-2, Class A1,
0.943%, 05/25/2065 (A)(E)
  1,751,615     1,581,773
Series 2022-1, Class A1,
2.447%, 12/25/2066 (A)(E)
  5,183,734     4,436,648
Towd Point Mortgage Trust          
Series 2018-4, Class A1,
3.000%, 06/25/2058 (A)(E)
  1,862,753     1,722,028
Series 2019-4, Class A1,
2.900%, 10/25/2059 (A)(E)
  2,778,428     2,596,739
Series 2020-4, Class A1,
1.750%, 10/25/2060 (A)
  3,607,106     3,165,473
Verus Securitization Trust          
Series 2020-5, Class A1 (1.218% to 10-1-24, then 2.218% thereafter),
1.218%, 05/25/2065 (A)
  1,191,616     1,115,953
Series 2021-1, Class A1,
0.815%, 01/25/2066 (A)(E)
  2,593,744     2,262,436
Series 2021-3, Class A1,
1.046%, 06/25/2066 (A)(E)
  3,874,553     3,211,969
Series 2021-4, Class A1,
0.938%, 07/25/2066 (A)(E)
  2,836,446     2,239,869
Series 2021-5, Class A1,
1.013%, 09/25/2066 (A)(E)
  2,704,127     2,244,879
Series 2021-R2, Class A1,
0.918%, 02/25/2064 (A)(E)
  2,390,636     2,113,921
Visio Trust
Series 2020-1R, Class A1
1.312%, 11/25/2055 (A)
  1,964,507     1,820,628
          192,881,698
U.S. Government Agency – 1.0%          
Federal Home Loan Mortgage Corp.
Series K048, Class X1 IO
0.203%, 06/25/2025
  148,330,011     266,964
Government National
Mortgage Association
         
Series 2012-114, Class IO,
0.623%, 01/16/2053
  12,364,530     193,467
Series 2016-174, Class IO,
0.896%, 11/16/2056
  9,599,808     405,585
Series 2017-109, Class IO,
0.230%, 04/16/2057
  11,401,245     174,383
Series 2017-124, Class IO,
0.627%, 01/16/2059
  11,827,169     407,196
Series 2017-135, Class IO,
0.717%, 10/16/2058
  39,715,296     1,460,963
Series 2017-140, Class IO,
0.486%, 02/16/2059
  18,938,926     568,298
Series 2017-159, Class IO,
0.432%, 06/16/2059
  26,774,362     692,313
Series 2017-20, Class IO,
0.525%, 12/16/2058
  24,899,392     606,982
Series 2017-22, Class IO,
0.753%, 12/16/2057
  12,141,452     446,728
Series 2017-41, Class IO,
0.584%, 07/16/2058
  9,190,807     257,912
 
  192  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2024 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
Series 2017-46, Class IO,
0.649%, 11/16/2057
$ 12,817,338   $ 470,540
Series 2017-61, Class IO,
0.701%, 05/16/2059
  14,226,357     528,448
Series 2018-158, Class IO,
0.788%, 05/16/2061
  19,788,801     1,093,139
Series 2018-69, Class IO,
0.615%, 04/16/2060
  21,499,207     962,008
Series 2019-131, Class IO,
0.802%, 07/16/2061
  26,579,417     1,459,797
Series 2020-100, Class IO,
0.784%, 05/16/2062
  28,283,953     1,646,805
Series 2020-108, Class IO,
0.847%, 06/16/2062
  68,369,560     3,893,277
Series 2020-114, Class IO,
0.800%, 09/16/2062
  67,346,541     3,874,184
Series 2020-118, Class IO,
0.881%, 06/16/2062
  49,563,939     3,033,754
Series 2020-119, Class IO,
0.606%, 08/16/2062
  27,340,672     1,289,121
Series 2020-120, Class IO,
0.768%, 05/16/2062
  15,410,411     889,316
Series 2020-137, Class IO,
0.796%, 09/16/2062
  87,466,236     4,956,502
Series 2020-150, Class IO,
0.963%, 12/16/2062
  44,375,090     2,942,503
Series 2020-170, Class IO,
0.834%, 11/16/2062
  57,332,175     3,603,075
Series 2020-92, Class IO,
0.879%, 02/16/2062
  64,905,180     3,979,181
Series 2021-10, Class IO,
0.986%, 05/16/2063
  41,452,182     2,888,504
Series 2021-11, Class IO,
1.020%, 12/16/2062
  64,406,432     4,636,426
Series 2021-203, Class IO,
0.869%, 07/16/2063
  54,342,078     3,495,750
Series 2021-3, Class IO,
0.868%, 09/16/2062
  75,395,391     4,705,683
Series 2021-40, Class IO,
0.824%, 02/16/2063
  19,689,905     1,195,390
Series 2022-181, Class IO,
0.716%, 07/16/2064
  20,412,229     1,341,577
Series 2022-21, Class IO,
0.784%, 10/16/2063
  18,643,926     1,135,175
Series 2023-197, Class IO,
1.319%, 09/16/2065
  13,253,814     1,201,159
          60,702,105
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $349,857,583)   $ 253,583,803
ASSET BACKED SECURITIES – 7.3%      
ABPCI Direct Lending Fund I, Ltd.
Series 2020-1A, Class A
3.199%, 12/20/2030 (A)
  8,243,655     7,871,421
Aligned Data Centers Issuer LLC          
Series 2021-1A, Class A2
1.937%, 08/15/2046 (A)
  7,638,000     6,942,404
Series 2023-2A, Class A2
6.500%, 11/16/2048 (A)
  4,198,000     4,277,325
AMSR Trust          
Series 2021-SFR1, Class B
2.153%, 06/17/2038 (A)
  5,614,000     4,887,717
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
AMSR Trust (continued)          
Series 2021-SFR4, Class A
2.117%, 12/17/2038 (A)
$ 1,681,000   $ 1,546,479
Applebee's Funding LLC
Series 2023-1A, Class A2
7.824%, 03/05/2053 (A)
  3,779,000     3,906,771
Aqua Finance Trust
Series 2021-A, Class A
1.540%, 07/17/2046 (A)
  2,253,057     2,014,239
Arby's Funding LLC
Series 2020-1A, Class A2
3.237%, 07/30/2050 (A)
  8,831,680     8,165,739
Avis Budget Rental Car Funding AESOP LLC
Series 2024-1A, Class A
5.360%, 06/20/2030 (A)
  5,559,000     5,586,525
Beacon Container Finance II LLC
Series 2021-1A, Class A
2.250%, 10/22/2046 (A)
  6,363,175     5,675,793
BRE Grand Islander Timeshare Issuer LLC
Series 2019-A, Class A
3.280%, 09/26/2033 (A)
  1,854,371     1,782,812
CARS-DB7 LP
Series 2023-1A, Class A1
5.750%, 09/15/2053 (A)
  7,691,040     7,642,222
CF Hippolyta Issuer LLC          
Series 2020-1, Class A1
1.690%, 07/15/2060 (A)
  7,713,700     7,211,690
Series 2021-1A, Class A1
1.530%, 03/15/2061 (A)
  6,834,630     6,180,346
CLI Funding VI LLC
Series 2020-1A, Class A
2.080%, 09/18/2045 (A)
  7,012,938     6,310,579
CLI Funding VIII LLC          
Series 2021-1A, Class A
1.640%, 02/18/2046 (A)
  4,900,539     4,346,930
Series 2022-1A, Class A
2.720%, 01/18/2047 (A)
  4,438,373     3,953,008
Compass Datacenters Issuer II LLC
Series 2024-1A, Class A1
5.250%, 02/25/2049 (A)
  4,047,000     4,009,798
CyrusOne Data Centers Issuer I LLC
Series 2023-1A, Class A2
4.300%, 04/20/2048 (A)
  5,907,000     5,558,317
DataBank Issuer          
Series 2021-1A, Class A2
2.060%, 02/27/2051 (A)
  10,204,000     9,350,708
Series 2021-2A, Class A2
2.400%, 10/25/2051 (A)
  7,833,000     7,002,090
DB Master Finance LLC          
Series 2017-1A, Class A2II
4.030%, 11/20/2047 (A)
  2,761,720     2,632,009
Series 2021-1A, Class A2I
2.045%, 11/20/2051 (A)
  10,829,723     9,911,797
Diamond Infrastructure Funding LLC
Series 2021-1A, Class A
1.760%, 04/15/2049 (A)
  7,537,000     6,725,295
Domino's Pizza Master Issuer LLC          
Series 2017-1A, Class A23
4.118%, 07/25/2047 (A)
  9,219,520     8,824,734
Series 2019-1A, Class A2
3.668%, 10/25/2049 (A)
  2,664,000     2,450,109
Series 2021-1A, Class A2I
2.662%, 04/25/2051 (A)
  5,659,950     5,034,027
 
  193  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2024 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Driven Brands Funding LLC          
Series 2018-1A, Class A2
4.739%, 04/20/2048 (A)
$ 2,327,975   $ 2,285,612
Series 2020-2A, Class A2
3.237%, 01/20/2051 (A)
  5,470,800     4,963,779
Series 2021-1A, Class A2
2.791%, 10/20/2051 (A)
  6,516,015     5,672,430
Elara HGV Timeshare Issuer LLC
Series 2019-A, Class A
2.610%, 01/25/2034 (A)
  965,094     919,328
FirstKey Homes Trust          
Series 2021-SFR1, Class A
1.538%, 08/17/2038 (A)
  2,700,639     2,468,631
Series 2021-SFR1, Class C
1.888%, 08/17/2038 (A)
  8,099,000     7,357,873
Five Guys Holdings, Inc.
Series 2023-1A, Class A2
7.549%, 01/26/2054 (A)
  5,027,000     5,218,179
Ford Credit Auto Owner Trust
Series 2023-2, Class A
5.280%, 02/15/2036 (A)
  5,846,000     5,914,945
GM Financial Revolving Receivables Trust
Series 2024-1, Class A
4.980%, 12/11/2036 (A)
  3,257,000     3,270,767
GMF Floorplan Owner Revolving Trust
Series 2024-2A, Class A
5.060%, 03/17/2031 (A)
  7,413,000     7,451,965
Golub Capital Partners Funding, Ltd.          
Series 2020-1A, Class A2
3.208%, 01/22/2029 (A)
  3,231,736     3,077,686
Series 2021-1A, Class A2
2.773%, 04/20/2029 (A)
  4,839,343     4,583,012
HI-FI Music IP Issuer LP
Series 2022-1A, Class A2
3.939%, 02/01/2062 (A)
  6,407,000     6,017,167
Home Partners of America Trust
Series 2021-2, Class A
1.901%, 12/17/2026 (A)
  1,184,128     1,074,670
Hotwire Funding LLC          
Series 2021-1, Class A2
2.311%, 11/20/2051 (A)
  5,233,000     4,730,945
Series 2023-1A, Class A2
5.687%, 05/20/2053 (A)
  5,414,000     5,298,767
Jack in the Box Funding LLC          
Series 2019-1A, Class A23
4.970%, 08/25/2049 (A)
  2,106,840     1,998,886
Series 2022-1A, Class A2I
3.445%, 02/26/2052 (A)
  3,243,840     3,007,636
MetroNet Infrastructure Issuer LLC          
Series 2023-1A, Class A2
6.560%, 04/20/2053 (A)
  3,616,000     3,665,866
Series 2024-1A, Class A2
6.230%, 04/20/2054 (A)
  5,456,000     5,460,365
Monroe Capital Funding, Ltd.
Series 2021-1A, Class A2
2.815%, 04/22/2031 (A)
  11,897,404     10,828,348
Navient Private Education Refi
Loan Trust
         
Series 2019-EA, Class A2A
2.640%, 05/15/2068 (A)
  1,929,741     1,826,853
Series 2019-FA, Class A2
2.600%, 08/15/2068 (A)
  1,700,886     1,591,675
Series 2020-BA, Class A2
2.120%, 01/15/2069 (A)
  3,684,860     3,385,246
Series 2020-GA, Class A
1.170%, 09/16/2069 (A)
  3,293,448     2,969,631
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Navient Private Education Refi
Loan Trust (continued)
         
Series 2020-HA, Class A
1.310%, 01/15/2069 (A)
$ 4,060,242   $ 3,747,537
Series 2021-A, Class A
0.840%, 05/15/2069 (A)
  4,022,908     3,527,431
Navient Student Loan Trust
Series 2020-2A, Class A1A
1.320%, 08/26/2069 (A)
  3,036,727     2,665,430
Neighborly Issuer LLC          
Series 2021-1A, Class A2
3.584%, 04/30/2051 (A)
  9,026,745     8,010,482
Series 2022-1A, Class A2
3.695%, 01/30/2052 (A)
  4,275,740     3,750,037
New Economy Assets Phase 1
Sponsor LLC
         
Series 2021-1, Class A1
1.910%, 10/20/2061 (A)
  8,463,000     7,411,393
Series 2021-1, Class B1
2.410%, 10/20/2061 (A)
  3,933,000     3,302,794
NRZ Excess Spread-Collateralized Notes          
Series 2020-PLS1, Class A
3.844%, 12/25/2025 (A)
  1,247,106     1,195,395
Series 2021-FHT1, Class A
3.104%, 07/25/2026 (A)
  977,484     911,566
Progress Residential Trust          
Series 2021-SFR5, Class A
1.427%, 07/17/2038 (A)
  7,398,909     6,775,368
Series 2021-SFR8, Class B
1.681%, 10/17/2038 (A)
  3,244,000     2,936,402
Series 2024-SFR1, Class A
3.350%, 02/17/2041 (A)
  5,041,000     4,642,895
Retained Vantage Data Centers Issuer LLC
Series 2023-1A, Class A2A
5.000%, 09/15/2048 (A)
  7,117,000     6,879,286
SCF Equipment Leasing LLC          
Series 2019-2A, Class C
3.110%, 06/21/2027 (A)
  6,966,253     6,917,937
Series 2021-1A, Class B
1.370%, 08/20/2029 (A)
  5,189,000     4,995,274
SEB Funding LLC
Series 2024-1A, Class A2
7.386%, 04/30/2054 (A)
  5,300,000     5,354,242
SERVPRO Master Issuer LLC          
Series 2021-1A, Class A2
2.394%, 04/25/2051 (A)
  4,997,678     4,387,424
Series 2024-1A, Class A2
6.174%, 01/25/2054 (A)
  2,695,000     2,724,376
Sesac Finance LLC
Series 2019-1, Class A2
5.216%, 07/25/2049 (A)
  6,307,775     6,148,029
SMB Private Education Loan Trust          
Series 2021-A, Class APT2
1.070%, 01/15/2053 (A)
  1,741,045     1,535,752
Series 2024-A, Class A1A
5.240%, 03/15/2056 (A)
  5,341,000     5,343,395
SoFi Professional Loan Program LLC
Series 2019-B, Class A2FX
3.090%, 08/17/2048 (A)
  904,808     860,530
Sonic Capital LLC          
Series 2020-1A, Class A2I
3.845%, 01/20/2050 (A)
  4,669,459     4,420,682
Series 2020-1A, Class A2II
4.336%, 01/20/2050 (A)
  5,361,731     4,989,853
Series 2021-1A, Class A2I
2.190%, 08/20/2051 (A)
  4,463,550     3,864,042
 
  194  

John Hancock Variable Insurance Trust
Portfolio of Investments — March 31, 2024 (unaudited) (showing percentage of total net assets)

Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Sunbird Engine Finance LLC
Series 2020-1A, Class A
3.671%, 02/15/2045 (A)
$ 1,290,499   $ 1,167,927
Taco Bell Funding LLC
Series 2021-1A, Class A2I
1.946%, 08/25/2051 (A)
  10,277,933     9,296,713
TIF Funding II LLC          
Series 2020-1A, Class A
2.090%, 08/20/2045 (A)
  6,610,103     5,986,245
Series 2021-1A, Class A
1.650%, 02/20/2046 (A)
  3,888,259     3,375,638
Tricon American Homes Trust
Series 2020-SFR2, Class A
1.482%, 11/17/2039 (A)
  5,855,703     5,155,309
Triton Container Finance VIII LLC          
Series 2020-1A, Class A
2.110%, 09/20/2045 (A)
  8,276,855     7,405,461
Series 2021-1A, Class A
1.860%, 03/20/2046 (A)
  5,179,985     4,545,103
Vantage Data Centers LLC          
Series 2020-1A, Class A2
1.645%, 09/15/2045 (A)
  5,594,000     5,240,665
Series 2020-2A, Class A2
1.992%, 09/15/2045 (A)
  4,913,000     4,327,151
VCP RRL ABS I, Ltd.
Series 2021-1A, Class A
2.152%, 10/20/2031 (A)
  1,695,764     1,596,362
VR Funding LLC
Series 2020-1A, Class A
2.790%, 11/15/2050 (A)
  5,639,216     5,054,462
Wendy's Funding LLC
Series 2021-1A, Class A2I
2.370%, 06/15/2051 (A)
  6,424,102     5,590,214
Willis Engine Structured Trust V
Series 2020-A, Class A
3.228%, 03/15/2045 (A)
  1,570,824     1,437,304
Wingstop Funding LLC
Series 2020-1A, Class A2
2.841%, 12/05/2050 (A)
  10,760,140     9,765,243
Zaxby's Funding LLC
Series 2021-1A, Class A2
3.238%, 07/30/2051 (A)
  4,243,200     3,755,257
TOTAL ASSET BACKED SECURITIES (Cost $468,324,131)     $ 435,837,752
Select Bond Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 0.3%      
Short-term funds – 0.3%          
John Hancock Collateral Trust, 5.2975% (F)(G)   1,819,014   $ 18,185,407
TOTAL SHORT-TERM INVESTMENTS (Cost $18,190,895)   $ 18,185,407
Total Investments (Select Bond Trust)
(Cost $6,374,541,771) – 99.0%
  $ 5,948,840,326
Other assets and liabilities, net – 1.0%       61,277,773
TOTAL NET ASSETS – 100.0%       $ 6,010,118,099
Security Abbreviations and Legend
CME CME Group Published Rates
CMT Constant Maturity Treasury
IO Interest-Only Security - (Interest Tranche of Stripped Mortgage Pool). Rate shown is the annualized yield at the end of the period.
SOFR Secured Overnight Financing Rate
(A) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration. Rule 144A securities amounted to $1,035,070,230 or 17.2% of the fund's net assets as of 3-31-24.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $1,388,129.
(C) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(D) Variable rate obligation. The coupon rate shown represents the rate at period end.
(E) Variable or floating rate security, the interest rate of which adjusts periodically based on a weighted average of interest rates and prepayments on the underlying pool of assets. The interest rate shown is the current rate as of period end.
(F) The rate shown is the annualized seven-day yield as of 3-31-24.
(G) Investment is an affiliate of the fund, the advisor and/or subadvisor. A portion of this security represents the investment of cash collateral received for securities lending. Market value of this investment amounted to $1,416,597.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
10-Year U.S. Treasury Note Futures 755 Long Jun 2024 $83,707,850 $83,651,641 $(56,209)
            $(56,209)
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
  195  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Short Term Government Income Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
95.5%
     
U.S. Government – 50.3%          
U.S. Treasury Notes          
0.625%, 07/31/2026 $ 1,000,000   $ 913,906
0.875%, 06/30/2026   1,800,000     1,659,656
1.125%, 10/31/2026   2,500,000     2,296,094
3.500%, 01/31/2028   17,150,000     16,648,229
3.750%, 04/15/2026   4,744,000     4,662,092
4.000%, 02/29/2028 to 01/31/2029   22,288,000     22,055,417
4.125%, 02/15/2027   10,090,000     10,004,866
4.250%, 10/15/2025 to 01/31/2026   10,220,000     10,138,655
4.375%, 08/15/2026 to 12/15/2026   14,510,000     14,471,886
          82,850,801
U.S. Government Agency – 45.2%          
Federal Farm Credit Bank          
0.500%, 12/23/2025 to 02/04/2026   10,000,000     9,258,694
0.680%, 01/13/2027   6,000,000     5,393,486
1.600%, 12/14/2026   2,000,000     1,849,954
3.370%, 12/08/2025   2,000,000     1,952,224
Federal Home Loan Bank          
0.650%, 02/26/2026   6,000,000     5,551,460
0.900%, 02/26/2027   2,000,000     1,802,059
1.000%, 03/23/2026   1,950,000     1,809,799
1.100%, 07/13/2026 to 08/20/2026   3,000,000     2,761,046
2.750%, 03/25/2027   2,600,000     2,469,174
3.250%, 06/09/2025   2,415,000     2,365,423
3.500%, 05/19/2025   4,000,000     3,931,724
4.130%, 08/28/2025   2,500,000     2,469,907
5.000%, 09/14/2027   1,500,000     1,491,315
5.750%, 02/15/2029   2,000,000     2,000,015
Federal Home Loan Mortgage Corp.          
0.375%, 09/23/2025   2,060,000     1,929,600
0.640%, 11/24/2025   2,000,000     1,866,087
0.650%, 10/22/2025   2,000,000     1,874,769
0.700%, 12/23/2025   2,000,000     1,864,560
0.800%, 10/27/2026   2,000,000     1,819,162
2.500%, 09/01/2034   1,330,359     1,220,933
3.000%, 07/01/2030 to 12/01/2032   1,378,879     1,316,118
3.500%, 04/01/2032   641,813     619,176
4.050%, 08/28/2025   2,000,000     1,975,299
4.250%, 08/25/2027   2,000,000     1,960,575
5.547%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.617%), 05/01/2045 (A)   248,423     253,199
5.700%, 01/26/2029   3,000,000     2,995,335
7.000%, 04/01/2031 to 04/01/2032   199     206
Federal National Mortgage Association          
0.650%, 12/17/2025   2,000,000     1,855,534
2.500%, 10/01/2027 to 09/01/2034   1,569,954     1,452,040
3.000%, 03/01/2028 to 09/01/2034   3,728,210     3,561,527
3.500%, 07/01/2031 to 06/01/2034   2,525,863     2,433,594
6.500%, 01/01/2039   201,103     211,554
7.000%, 12/01/2026 to 01/01/2029   420     432
8.000%, 09/01/2029 to 09/01/2030   531     549
          74,316,529
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $163,154,383)   $ 157,167,330
MUNICIPAL BONDS – 2.9%          
City of Houston, GO (Texas)
2.110%, 03/01/2025
  1,000,000     971,406
City of New York, GO
1.990%, 10/01/2026
  1,000,000     934,386
County of Orange (Florida)
2.280%, 01/01/2026
  1,000,000     955,803
Short Term Government Income Trust (continued)
    Shares or
Principal
Amount
  Value
MUNICIPAL BONDS (continued)          
Los Angeles Unified School District, GO (California)
1.540%, 09/15/2025
$ 1,000,000   $ 947,056
State of California, GO
2.375%, 10/01/2026
  1,000,000     948,074
TOTAL MUNICIPAL BONDS (Cost $4,999,388)   $ 4,756,725
COLLATERALIZED MORTGAGE OBLIGATIONS – 0.5%      
U.S. Government Agency – 0.5%          
Federal Home Loan Mortgage Corp.
Series K038, Class X1 IO
1.003%, 03/25/2024
  1,252,975     1
Government National
Mortgage Association
         
Series 2012-114, Class IO,
0.623%, 01/16/2053
  842,011     13,175
Series 2017-109, Class IO,
0.230%, 04/16/2057
  847,089     12,956
Series 2017-124, Class IO,
0.627%, 01/16/2059
  707,164     24,347
Series 2017-140, Class IO,
0.486%, 02/16/2059
  630,467     18,918
Series 2017-20, Class IO,
0.525%, 12/16/2058
  1,543,203     37,619
Series 2017-41, Class IO,
0.584%, 07/16/2058
  828,519     23,250
Series 2017-46, Class IO,
0.649%, 11/16/2057
  1,145,458     42,051
Series 2017-61, Class IO,
0.701%, 05/16/2059
  490,215     18,209
Series 2017-74, Class IO,
0.434%, 09/16/2058
  1,260,064     24,367
Series 2017-89, Class IO,
0.492%, 07/16/2059
  1,067,609     30,680
Series 2018-9, Class IO,
0.443%, 01/16/2060
  1,333,213     39,692
Series 2020-118, Class IO,
0.881%, 06/16/2062
  1,355,339     82,959
Series 2020-119, Class IO,
0.606%, 08/16/2062
  753,400     35,523
Series 2020-120, Class IO,
0.768%, 05/16/2062
  1,994,191     115,082
Series 2020-137, Class IO,
0.796%, 09/16/2062
  1,382,109     78,321
Series 2020-170, Class IO,
0.834%, 11/16/2062
  1,521,576     95,624
Series 2021-40, Class IO,
0.824%, 02/16/2063
  477,737     29,004
Series 2022-53, Class IO,
0.711%, 06/16/2064
  1,689,187     83,870
          805,648
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $2,810,635)   $ 805,648
SHORT-TERM INVESTMENTS – 0.5%      
Short-term funds – 0.5%          
John Hancock Collateral Trust, 5.2975% (B)(C)   79,441     794,206
TOTAL SHORT-TERM INVESTMENTS (Cost $794,448)   $ 794,206
Total Investments (Short Term Government Income Trust)
(Cost $171,758,854) – 99.4%
  $ 163,523,909
Other assets and liabilities, net – 0.6%       959,249
TOTAL NET ASSETS – 100.0%       $ 164,483,158
Security Abbreviations and Legend
GO General Obligation
 
  196  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Short Term Government Income Trust (continued)
IBOR Interbank Offered Rate
IO Interest-Only Security - (Interest Tranche of Stripped Mortgage Pool). Rate shown is the annualized yield at the end of the period.
Short Term Government Income Trust (continued)
(A) Variable rate obligation. The coupon rate shown represents the rate at period end.
(B) The rate shown is the annualized seven-day yield as of 3-31-24.
(C) Investment is an affiliate of the fund, the advisor and/or subadvisor.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
5-Year U.S. Treasury Note Futures 66 Long Jun 2024 $7,042,520 $7,063,031 $20,511
            $20,511
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Small Cap Index Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 95.8%      
Communication services – 2.1%          
Diversified telecommunication services – 0.4%      
Anterix, Inc. (A)   2,644   $ 88,865
AST SpaceMobile, Inc. (A)   18,807     54,540
ATN International, Inc.   2,092     65,908
Bandwidth, Inc., Class A (A)   4,714     86,078
Cogent Communications Holdings, Inc.   8,409     549,360
Consolidated Communications Holdings, Inc. (A)   14,859     64,191
Globalstar, Inc. (A)   139,360     204,859
IDT Corp., Class B   3,067     115,963
Liberty Latin America, Ltd., Class A (A)   8,932     62,256
Liberty Latin America, Ltd., Class C (A)   24,811     173,429
Lumen Technologies, Inc. (A)   194,385     303,241
Ooma, Inc. (A)   5,519     47,077
Shenandoah Telecommunications Company   9,568     166,196
          1,981,963
Entertainment – 0.4%      
Atlanta Braves Holdings, Inc., Series A (A)   1,757     73,618
Atlanta Braves Holdings, Inc., Series C (A)   9,244     361,071
Cinemark Holdings, Inc. (A)   21,072     378,664
Eventbrite, Inc., Class A (A)   16,198     88,765
IMAX Corp. (A)   8,803     142,345
Lions Gate Entertainment Corp., Class A (A)   11,164     111,082
Lions Gate Entertainment Corp., Class B (A)   24,301     226,242
Madison Square Garden Entertainment Corp. (A)   7,819     306,583
Playstudios, Inc. (A)   18,499     51,427
Sphere Entertainment Company (A)   5,277     258,995
The Marcus Corp.   4,721     67,321
Vivid Seats, Inc., Class A (A)   8,437     50,538
          2,116,651
Interactive media and services – 0.6%      
Bumble, Inc., Class A (A)   19,197     217,886
CarGurus, Inc. (A)   18,359     423,726
Cars.com, Inc. (A)   12,544     215,506
DHI Group, Inc. (A)   7,718     19,681
EverQuote, Inc., Class A (A)   4,408     81,812
FuboTV, Inc. (A)(B)   56,156     88,726
Grindr, Inc. (A)(B)   7,877     79,794
MediaAlpha, Inc., Class A (A)   4,606     93,824
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Interactive media and services (continued)      
Nextdoor Holdings, Inc. (A)   32,007   $ 72,016
QuinStreet, Inc. (A)   10,533     186,013
Shutterstock, Inc.   4,755     217,827
System1, Inc. (A)   6,546     12,830
TrueCar, Inc. (A)   17,596     59,650
Vimeo, Inc. (A)   30,413     124,389
Yelp, Inc. (A)   12,682     499,671
Ziff Davis, Inc. (A)   8,703     548,637
ZipRecruiter, Inc., Class A (A)   13,307     152,897
          3,094,885
Media – 0.6%      
Advantage Solutions, Inc. (A)   17,690     76,598
AMC Networks, Inc., Class A (A)   6,065     73,568
Boston Omaha Corp., Class A (A)   5,051     78,088
Cardlytics, Inc. (A)(B)   7,090     102,734
Clear Channel Outdoor Holdings, Inc. (A)   74,930     123,635
Daily Journal Corp. (A)   274     99,081
EchoStar Corp., Class A (A)   20,974     298,880
Entravision Communications Corp., Class A   11,636     19,083
Gambling.com Group, Ltd. (A)   3,180     29,033
Gannett Company, Inc. (A)   26,539     64,755
Gray Television, Inc.   17,474     110,436
iHeartMedia, Inc., Class A (A)   23,277     48,649
Integral Ad Science Holding Corp. (A)   9,743     97,138
John Wiley & Sons, Inc., Class A   7,073     269,693
Magnite, Inc. (A)   25,949     278,952
PubMatic, Inc., Class A (A)   8,065     191,302
Scholastic Corp.   5,044     190,209
Sinclair, Inc. (B)   6,464     87,070
Stagwell, Inc. (A)   16,037     99,750
TechTarget, Inc. (A)   5,052     167,120
TEGNA, Inc.   38,359     573,083
The EW Scripps Company, Class A (A)   13,256     52,096
Thryv Holdings, Inc. (A)   6,031     134,069
Townsquare Media, Inc., Class A   2,396     26,308
WideOpenWest, Inc. (A)   11,317     40,968
          3,332,298
Wireless telecommunication services – 0.1%      
Gogo, Inc. (A)   12,734     111,805
Spok Holdings, Inc.   3,444     54,932
Telephone & Data Systems, Inc.   19,070     305,501
 
  197  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Wireless telecommunication services (continued)      
Tingo Group, Inc. (A)   23,160   $ 593
          472,831
          10,998,628
Consumer discretionary – 10.4%          
Automobile components – 1.2%      
Adient PLC (A)   17,447     574,355
American Axle & Manufacturing Holdings, Inc. (A)   22,685     166,962
Atmus Filtration Technologies, Inc. (A)   3,043     98,137
Cooper-Standard Holdings, Inc. (A)   3,542     58,656
Dana, Inc.   24,696     313,639
Dorman Products, Inc. (A)   5,068     488,505
Fox Factory Holding Corp. (A)   8,226     428,328
Gentherm, Inc. (A)   6,273     361,199
Holley, Inc. (A)   9,945     44,355
LCI Industries   4,726     581,582
Luminar Technologies, Inc. (A)   56,833     111,961
Modine Manufacturing Company (A)   9,875     940,001
Patrick Industries, Inc.   4,042     482,898
Solid Power, Inc. (A)(B)   35,372     71,805
Standard Motor Products, Inc.   3,950     132,523
Stoneridge, Inc. (A)   5,381     99,226
The Goodyear Tire & Rubber Company (A)   53,869     739,621
Visteon Corp. (A)   5,260     618,629
XPEL, Inc. (A)   4,472     241,577
          6,553,959
Automobiles – 0.1%      
Fisker, Inc. (A)   41,252     854
Livewire Group, Inc. (A)(B)   4,163     30,098
Winnebago Industries, Inc.   5,447     403,078
          434,030
Broadline retail – 0.1%      
Big Lots, Inc. (A)   6,570     28,448
CarParts.com, Inc. (A)   11,028     17,865
ContextLogic, Inc., Class A (A)   5,380     30,612
Dillard's, Inc., Class A (B)   648     305,623
Savers Value Village, Inc. (A)   5,287     101,933
          484,481
Distributors – 0.0%      
Weyco Group, Inc.   1,112     35,451
Diversified consumer services – 1.0%      
Adtalem Global Education, Inc. (A)   7,518     386,425
Carriage Services, Inc.   2,473     66,870
Chegg, Inc. (A)   21,659     163,959
Coursera, Inc. (A)   25,725     360,665
Duolingo, Inc. (A)   5,675     1,251,792
European Wax Center, Inc., Class A (A)   6,618     85,902
frontdoor, Inc. (A)   15,425     502,547
Graham Holdings Company, Class B   659     505,901
Laureate Education, Inc.   25,128     366,115
Lincoln Educational Services Corp. (A)   4,761     49,181
Nerdy, Inc. (A)   13,494     39,268
OneSpaWorld Holdings, Ltd. (A)   16,365     216,509
Perdoceo Education Corp.   12,380     217,393
Strategic Education, Inc.   4,341     451,985
Stride, Inc. (A)   8,148     513,731
Udemy, Inc. (A)   17,412     191,184
Universal Technical Institute, Inc. (A)   5,926     94,460
WW International, Inc. (A)   11,365     21,025
          5,484,912
Hotels, restaurants and leisure – 2.1%      
Accel Entertainment, Inc. (A)   10,885     128,334
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Bally's Corp. (A)   5,607   $ 78,162
Biglari Holdings, Inc., Class B (A)   151     28,642
BJ's Restaurants, Inc. (A)   4,423     160,024
Bloomin' Brands, Inc.   16,669     478,067
Bowlero Corp., Class A (B)   3,547     48,594
Brinker International, Inc. (A)   8,371     415,871
Carrols Restaurant Group, Inc.   6,482     61,644
Century Casinos, Inc. (A)   5,989     18,925
Chuy's Holdings, Inc. (A)   3,238     109,218
Cracker Barrel Old Country Store, Inc. (B)   4,152     301,975
Dave & Buster's Entertainment, Inc. (A)   6,533     408,966
Denny's Corp. (A)   10,530     94,349
Dine Brands Global, Inc.   2,959     137,534
El Pollo Loco Holdings, Inc. (A)   5,543     53,989
Everi Holdings, Inc. (A)   16,461     165,433
First Watch Restaurant Group, Inc. (A)   4,347     107,023
Full House Resorts, Inc. (A)   6,306     35,124
Global Business Travel Group I (A)   7,168     43,080
Golden Entertainment, Inc.   3,895     143,453
Hilton Grand Vacations, Inc. (A)   15,150     715,232
Inspired Entertainment, Inc. (A)   4,949     48,797
International Game Technology PLC   20,755     468,855
Jack in the Box, Inc.   3,815     261,251
Krispy Kreme, Inc.   17,449     265,836
Kura Sushi USA, Inc., Class A (A)   1,153     132,779
Life Time Group Holdings, Inc. (A)   8,611     133,643
Light & Wonder, Inc. (A)   17,290     1,765,136
Lindblad Expeditions Holdings, Inc. (A)   6,818     63,612
Monarch Casino & Resort, Inc.   2,514     188,525
Mondee Holdings, Inc. (A)   9,804     22,647
Nathan's Famous, Inc.   544     38,515
Noodles & Company (A)   9,188     17,549
Papa John's International, Inc.   6,277     418,048
PlayAGS, Inc. (A)   6,888     61,854
Portillo's, Inc., Class A (A)   8,984     127,393
Potbelly Corp. (A)   5,164     62,536
RCI Hospitality Holdings, Inc.   1,627     94,366
Red Robin Gourmet Burgers, Inc. (A)   3,668     28,097
Red Rock Resorts, Inc., Class A   9,003     538,559
Rush Street Interactive, Inc. (A)   12,268     79,865
Sabre Corp. (A)   65,662     158,902
Shake Shack, Inc., Class A (A)   7,263     755,570
Six Flags Entertainment Corp. (A)   14,087     370,770
Super Group SGHC, Ltd. (A)   27,350     94,358
Sweetgreen, Inc., Class A (A)   18,804     474,989
Target Hospitality Corp. (A)   5,697     61,926
The Cheesecake Factory, Inc.   9,038     326,724
United Parks & Resorts, Inc. (A)   6,995     393,189
Xponential Fitness, Inc., Class A (A)   4,540     75,092
          11,263,022
Household durables – 2.3%      
Beazer Homes USA, Inc. (A)   5,741     188,305
Cavco Industries, Inc. (A)   1,606     640,890
Century Communities, Inc.   5,473     528,145
Cricut, Inc., Class A   10,111     48,128
Dream Finders Homes, Inc., Class A (A)   4,870     212,965
Ethan Allen Interiors, Inc.   4,320     149,342
GoPro, Inc., Class A (A)   23,193     51,720
Green Brick Partners, Inc. (A)   4,993     300,728
Hamilton Beach Brands Holding Company, Class B   1,197     29,159
Helen of Troy, Ltd. (A)   4,560     525,494
Hooker Furnishings Corp.   2,202     52,870
Hovnanian Enterprises, Inc., Class A (A)   912     143,129
 
  198  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Household durables (continued)      
Installed Building Products, Inc.   4,532   $ 1,172,564
iRobot Corp. (A)   5,801     50,817
KB Home   12,980     920,022
Landsea Homes Corp. (A)   4,283     62,232
La-Z-Boy, Inc.   8,464     318,416
Legacy Housing Corp. (A)   2,338     50,314
LGI Homes, Inc. (A)   3,994     464,782
M/I Homes, Inc. (A)   5,143     700,939
MDC Holdings, Inc.   11,518     724,597
Meritage Homes Corp.   7,002     1,228,571
Purple Innovation, Inc.   14,486     25,206
Skyline Champion Corp. (A)   10,398     883,934
Snap One Holdings Corp. (A)   4,210     36,290
Sonos, Inc. (A)   23,768     453,018
Taylor Morrison Home Corp. (A)   19,658     1,222,138
The Lovesac Company (A)   2,859     64,613
Tri Pointe Homes, Inc. (A)   18,341     709,063
Vizio Holding Corp., Class A (A)   15,488     169,439
Worthington Enterprises, Inc.   5,910     367,779
          12,495,609
Leisure products – 0.4%      
Acushnet Holdings Corp.   5,838     385,016
AMMO, Inc. (A)   17,452     47,993
Clarus Corp.   5,514     37,220
Escalade, Inc.   1,926     26,483
Funko, Inc., Class A (A)   7,811     48,741
JAKKS Pacific, Inc. (A)   1,560     38,532
Johnson Outdoors, Inc., Class A   1,059     48,830
Latham Group, Inc. (A)   2,869     11,361
Malibu Boats, Inc., Class A (A)   4,034     174,592
MasterCraft Boat Holdings, Inc. (A)   3,300     78,276
Smith & Wesson Brands, Inc.   8,996     156,171
Sturm Ruger & Company, Inc.   3,484     160,787
Topgolf Callaway Brands Corp. (A)   27,395     442,977
Vista Outdoor, Inc. (A)   11,138     365,104
          2,022,083
Specialty retail – 2.7%      
1-800-Flowers.com, Inc., Class A (A)   4,921     53,294
Abercrombie & Fitch Company, Class A (A)   9,359     1,172,963
Academy Sports & Outdoors, Inc.   13,913     939,684
American Eagle Outfitters, Inc.   34,992     902,444
America's Car-Mart, Inc. (A)   1,112     71,023
Arko Corp.   16,237     92,551
Asbury Automotive Group, Inc. (A)   3,963     934,396
BARK, Inc. (A)(B)   15,216     18,868
Beyond, Inc. (A)   8,611     309,221
Big 5 Sporting Goods Corp.   5,234     18,424
Boot Barn Holdings, Inc. (A)   5,814     553,202
Build-A-Bear Workshop, Inc.   2,424     72,405
Caleres, Inc.   6,609     271,167
Camping World Holdings, Inc., Class A   8,011     223,106
Carvana Company (A)   19,614     1,724,267
Designer Brands, Inc., Class A   8,319     90,927
Destination XL Group, Inc. (A)   10,664     38,390
EVgo, Inc. (A)   19,984     50,160
Foot Locker, Inc.   15,765     449,303
Genesco, Inc. (A)   2,196     61,795
Group 1 Automotive, Inc.   2,600     759,798
GrowGeneration Corp. (A)   14,077     40,260
Guess?, Inc.   5,625     177,019
Haverty Furniture Companies, Inc.   2,806     95,741
Hibbett, Inc.   2,239     171,978
Lands' End, Inc. (A)   3,384     36,852
Leslie's, Inc. (A)   33,792     219,648
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
MarineMax, Inc. (A)   4,100   $ 136,366
Monro, Inc.   5,675     178,990
National Vision Holdings, Inc. (A)   14,903     330,250
OneWater Marine, Inc., Class A (A)   2,495     70,234
PetMed Express, Inc. (B)   4,678     22,408
Revolve Group, Inc. (A)   7,636     161,654
Sally Beauty Holdings, Inc. (A)   20,346     252,697
Shoe Carnival, Inc.   3,603     132,014
Signet Jewelers, Ltd.   8,390     839,587
Sleep Number Corp. (A)   3,882     62,228
Sonic Automotive, Inc., Class A   2,930     166,834
Sportsman's Warehouse Holdings, Inc. (A)   9,403     29,243
Stitch Fix, Inc., Class A (A)   19,059     50,316
The Aaron's Company, Inc.   5,821     43,658
The Buckle, Inc.   5,944     239,365
The Cato Corp., Class A   4,321     24,932
The Children's Place, Inc. (A)   2,720     31,389
The ODP Corp. (A)   6,086     322,862
ThredUp, Inc., Class A (A)   16,880     33,760
Tile Shop Holdings, Inc. (A)   5,191     36,493
Tilly's, Inc., Class A (A)   4,966     33,769
Upbound Group, Inc.   10,194     358,931
Urban Outfitters, Inc. (A)   12,222     530,679
Warby Parker, Inc., Class A (A)   16,801     228,662
Winmark Corp.   529     191,339
Zumiez, Inc. (A)   3,403     51,692
          14,109,238
Textiles, apparel and luxury goods – 0.5%      
Figs, Inc., Class A (A)   24,912     124,062
G-III Apparel Group, Ltd. (A)   7,790     225,988
Hanesbrands, Inc. (A)   67,781     393,130
Kontoor Brands, Inc.   10,803     650,881
Movado Group, Inc.   3,017     84,265
Oxford Industries, Inc.   2,813     316,181
Rocky Brands, Inc.   1,334     36,191
Steven Madden, Ltd.   14,149     598,220
Vera Bradley, Inc. (A)   5,065     34,442
Wolverine World Wide, Inc.   14,653     164,260
          2,627,620
          55,510,405
Consumer staples – 3.2%          
Beverages – 0.4%      
Coca-Cola Consolidated, Inc.   918     777,004
MGP Ingredients, Inc.   3,151     271,396
National Beverage Corp. (A)   4,759     225,862
Primo Water Corp.   29,932     545,062
The Duckhorn Portfolio, Inc. (A)   9,042     84,181
The Vita Coco Company, Inc. (A)   5,854     143,013
          2,046,518
Consumer staples distribution and retail – 0.6%      
Ingles Markets, Inc., Class A   2,760     211,637
Natural Grocers by Vitamin Cottage, Inc.   1,579     28,501
PriceSmart, Inc.   4,955     416,220
SpartanNash Company   6,839     138,216
Sprouts Farmers Market, Inc. (A)   19,576     1,262,260
The Andersons, Inc.   6,163     353,571
The Chefs' Warehouse, Inc. (A)   6,673     251,305
United Natural Foods, Inc. (A)   11,671     134,100
Village Super Market, Inc., Class A   1,470     42,057
 
  199  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer staples distribution and retail (continued)      
Weis Markets, Inc.   3,188   $ 205,307
          3,043,174
Food products – 0.9%      
Alico, Inc.   1,244     36,424
B&G Foods, Inc.   13,612     155,721
Benson Hill, Inc. (A)(B)   40,553     8,131
Beyond Meat, Inc. (A)(B)   11,493     95,162
BRC, Inc., Class A (A)   7,274     31,133
Calavo Growers, Inc.   3,398     94,498
Cal-Maine Foods, Inc.   7,800     459,030
Dole PLC   13,928     166,161
Fresh Del Monte Produce, Inc.   6,429     166,575
J&J Snack Foods Corp.   2,889     417,634
John B Sanfilippo & Son, Inc.   1,730     183,242
Lancaster Colony Corp.   3,746     777,782
Limoneira Company   3,638     71,159
Mission Produce, Inc. (A)   9,491     112,658
Seneca Foods Corp., Class A (A)   1,020     58,038
SunOpta, Inc. (A)   18,107     124,395
The Hain Celestial Group, Inc. (A)   17,895     140,655
The Simply Good Foods Company (A)   17,509     595,831
TreeHouse Foods, Inc. (A)   9,755     379,957
Utz Brands, Inc.   14,225     262,309
Vital Farms, Inc. (A)   6,184     143,778
Westrock Coffee Company (A)   6,206     64,108
          4,544,381
Household products – 0.3%      
Central Garden & Pet Company (A)   2,268     97,138
Central Garden & Pet Company, Class A (A)   9,468     349,559
Energizer Holdings, Inc.   13,649     401,827
Oil-Dri Corp. of America   940     70,086
WD-40 Company   2,604     659,619
          1,578,229
Personal care products – 0.9%      
BellRing Brands, Inc. (A)   25,289     1,492,810
e.l.f. Beauty, Inc. (A)   10,347     2,028,322
Edgewell Personal Care Company   9,443     364,878
Herbalife, Ltd. (A)   19,374     194,709
Inter Parfums, Inc.   3,524     495,157
Medifast, Inc.   2,178     83,461
Nature's Sunshine Products, Inc. (A)   2,115     43,929
Nu Skin Enterprises, Inc., Class A   9,528     131,772
The Beauty Health Company (A)   17,398     77,247
USANA Health Sciences, Inc. (A)   2,171     105,294
Waldencast PLC, Class A (A)   5,726     37,219
          5,054,798
Tobacco – 0.1%      
Ispire Technology, Inc. (A)   3,612     22,142
Turning Point Brands, Inc.   3,196     93,643
Universal Corp.   4,627     239,308
Vector Group, Ltd.   28,076     307,713
          662,806
          16,929,906
Energy – 7.0%          
Energy equipment and services – 2.5%      
Archrock, Inc.   26,655     524,304
Atlas Energy Solutions, Inc. (B)   3,454     78,129
Borr Drilling, Ltd. (A)(B)   41,942     287,303
Bristow Group, Inc. (A)   4,677     127,214
Cactus, Inc., Class A   12,499     626,075
ChampionX Corp.   37,385     1,341,748
Core Laboratories, Inc.   9,047     154,523
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Energy equipment and services (continued)      
Diamond Offshore Drilling, Inc. (A)   19,983   $ 272,568
DMC Global, Inc. (A)   3,697     72,055
Dril-Quip, Inc. (A)   6,498     146,400
Expro Group Holdings NV (A)   17,348     346,440
Forum Energy Technologies, Inc. (A)   1,854     37,043
Helix Energy Solutions Group, Inc. (A)   27,114     293,916
Helmerich & Payne, Inc.   18,606     782,568
KLX Energy Services Holdings, Inc. (A)   2,366     18,313
Kodiak Gas Services, Inc.   2,852     77,974
Liberty Energy, Inc.   31,348     649,531
Nabors Industries, Ltd. (A)   1,801     155,120
Newpark Resources, Inc. (A)   14,381     103,831
Noble Corp. PLC   21,536     1,044,281
Oceaneering International, Inc. (A)   19,252     450,497
Oil States International, Inc. (A)   13,645     84,053
Patterson-UTI Energy, Inc.   67,726     808,648
ProFrac Holding Corp., Class A (A)   5,284     44,174
ProPetro Holding Corp. (A)   17,969     145,190
Ranger Energy Services, Inc.   3,022     34,118
RPC, Inc.   16,733     129,513
SEACOR Marine Holdings, Inc. (A)   4,715     65,727
Seadrill, Ltd. (A)   8,961     450,738
Select Water Solutions, Inc.   16,369     151,086
Solaris Oilfield Infrastructure, Inc., Class A   5,815     50,416
TETRA Technologies, Inc. (A)   23,697     104,978
Tidewater, Inc. (A)   8,935     822,020
U.S. Silica Holdings, Inc. (A)   14,686     182,253
Valaris, Ltd. (A)   11,432     860,372
Weatherford International PLC (A)   13,647     1,575,137
          13,098,256
Oil, gas and consumable fuels – 4.5%      
Amplify Energy Corp. (A)   7,693     50,851
Ardmore Shipping Corp.   7,920     130,046
Berry Corp.   14,431     116,170
California Resources Corp.   13,510     744,401
Callon Petroleum Company (A)   11,603     414,923
Centrus Energy Corp., Class A (A)   2,340     97,180
Chord Energy Corp.   8,063     1,437,149
Civitas Resources, Inc.   15,642     1,187,384
Clean Energy Fuels Corp. (A)   32,433     86,920
CNX Resources Corp. (A)   30,209     716,557
Comstock Resources, Inc.   18,156     168,488
CONSOL Energy, Inc.   5,831     488,405
Crescent Energy Company, Class A   15,289     181,939
CVR Energy, Inc.   5,781     206,150
Delek US Holdings, Inc.   12,214     375,458
DHT Holdings, Inc.   25,973     298,690
Dorian LPG, Ltd.   6,638     255,297
Empire Petroleum Corp. (A)(B)   3,180     16,250
Encore Energy Corp. (A)   29,596     129,630
Energy Fuels, Inc. (A)   30,948     194,663
Equitrans Midstream Corp.   83,837     1,047,124
Evolution Petroleum Corp.   7,579     46,535
Excelerate Energy, Inc., Class A   3,304     52,930
FLEX LNG, Ltd.   5,745     146,095
FutureFuel Corp.   5,215     41,981
Gevo, Inc. (A)   52,594     40,429
Golar LNG, Ltd.   19,097     459,474
Granite Ridge Resources, Inc.   7,573     49,225
Green Plains, Inc. (A)   11,434     264,354
Gulfport Energy Corp. (A)   2,112     338,173
Hallador Energy Company (A)   5,001     26,655
HighPeak Energy, Inc.   2,606     41,097
International Seaways, Inc.   7,951     422,993
 
  200  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Kinetik Holdings, Inc.   3,661   $ 145,964
Kosmos Energy, Ltd. (A)   88,582     527,949
Magnolia Oil & Gas Corp., Class A   34,495     895,145
Matador Resources Company   21,894     1,461,862
Murphy Oil Corp.   28,031     1,281,017
NACCO Industries, Inc., Class A   964     29,113
NextDecade Corp. (A)   15,319     87,012
Nordic American Tankers, Ltd.   39,203     153,676
Northern Oil and Gas, Inc.   17,115     679,123
Overseas Shipholding Group, Inc., Class A   11,629     74,426
Par Pacific Holdings, Inc. (A)   10,786     399,729
PBF Energy, Inc., Class A   21,168     1,218,642
Peabody Energy Corp.   21,659     525,447
Permian Resources Corp.   79,513     1,404,200
REX American Resources Corp. (A)   3,034     178,126
Riley Exploration Permian, Inc.   1,955     64,515
Ring Energy, Inc. (A)   27,915     54,713
SandRidge Energy, Inc.   6,612     96,337
Scorpio Tankers, Inc.   9,197     658,045
SFL Corp., Ltd.   22,162     292,095
SilverBow Resources, Inc. (A)   4,103     140,076
Sitio Royalties Corp., Class A   15,912     393,345
SM Energy Company   22,358     1,114,546
Talos Energy, Inc. (A)   22,858     318,412
Teekay Corp. (A)   11,662     84,899
Teekay Tankers, Ltd., Class A   4,627     270,263
Tellurian, Inc. (A)(B)   113,448     75,035
Uranium Energy Corp. (A)   74,515     502,976
VAALCO Energy, Inc.   21,200     147,764
Vertex Energy, Inc. (A)(B)   13,679     19,151
Vital Energy, Inc. (A)   4,562     239,687
Vitesse Energy, Inc.   4,890     116,040
W&T Offshore, Inc.   21,245     56,299
World Kinect Corp.   11,229     297,007
          24,276,252
          37,374,508
Financials – 15.2%          
Banks – 8.0%      
1st Source Corp.   3,131     164,127
ACNB Corp.   1,611     60,574
Amalgamated Financial Corp.   3,291     78,984
Amerant Bancorp, Inc.   4,941     115,076
American National Bankshares, Inc.   1,964     93,801
Ameris Bancorp   12,569     608,088
Ames National Corp.   2,029     40,945
Arrow Financial Corp.   2,901     72,583
Associated Banc-Corp.   28,398     610,841
Atlantic Union Bankshares Corp.   14,320     505,639
Axos Financial, Inc. (A)   10,499     567,366
Banc of California, Inc.   25,430     386,790
BancFirst Corp.   4,242     373,423
Bank First Corp.   1,890     163,806
Bank of Hawaii Corp.   7,439     464,119
Bank of Marin Bancorp   3,028     50,780
BankUnited, Inc.   13,978     391,384
Bankwell Financial Group, Inc.   1,156     29,987
Banner Corp.   6,416     307,968
Bar Harbor Bankshares   3,318     87,861
BayCom Corp.   2,460     50,701
BCB Bancorp, Inc.   3,390     35,426
Berkshire Hills Bancorp, Inc.   8,095     185,537
Blue Foundry Bancorp (A)   4,726     44,235
Bridgewater Bancshares, Inc. (A)   4,499     52,368
Brookline Bancorp, Inc.   16,941     168,732
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Burke & Herbert Financial Services Corp.   1,310   $ 73,399
Business First Bancshares, Inc.   4,622     102,978
Byline Bancorp, Inc.   5,302     115,159
C&F Financial Corp.   680     33,320
Cadence Bank   34,900     1,012,100
Cambridge Bancorp   1,492     101,695
Camden National Corp.   2,770     92,850
Capital Bancorp, Inc.   2,267     47,222
Capital City Bank Group, Inc.   2,787     77,200
Capitol Federal Financial, Inc.   25,025     149,149
Capstar Financial Holdings, Inc.   3,787     76,119
Carter Bankshares, Inc. (A)   4,884     61,734
Cathay General Bancorp   13,085     495,006
Central Pacific Financial Corp.   4,980     98,355
Chemung Financial Corp.   749     31,818
ChoiceOne Financial Services, Inc.   1,451     39,685
Citizens & Northern Corp.   3,018     56,678
Citizens Financial Services, Inc.   700     34,440
City Holding Company   2,741     285,667
Civista Bancshares, Inc.   3,090     47,524
CNB Financial Corp.   3,835     78,196
Coastal Financial Corp. (A)   2,134     82,949
Codorus Valley Bancorp, Inc.   2,033     46,271
Colony Bankcorp, Inc.   3,694     42,481
Columbia Financial, Inc. (A)   6,257     107,683
Community Bank System, Inc.   10,109     485,535
Community Trust Bancorp, Inc.   3,105     132,428
Community West Bancshares   2,099     41,749
ConnectOne Bancorp, Inc.   7,099     138,431
CrossFirst Bankshares, Inc. (A)   8,629     119,425
Customers Bancorp, Inc. (A)   5,577     295,916
CVB Financial Corp.   25,169     449,015
Dime Community Bancshares, Inc.   6,886     132,624
Eagle Bancorp, Inc.   5,319     124,943
Eastern Bankshares, Inc.   29,551     407,213
Enterprise Financial Services Corp.   6,838     277,349
Equity Bancshares, Inc., Class A   2,881     99,020
Esquire Financial Holdings, Inc.   1,198     56,869
ESSA Bancorp, Inc.   2,030     37,007
Evans Bancorp, Inc.   1,094     32,667
Farmers & Merchants Bancorp, Inc.   2,777     61,899
Farmers National Banc Corp.   7,495     100,133
FB Financial Corp.   6,783     255,448
Fidelity D&D Bancorp, Inc.   905     43,829
Financial Institutions, Inc.   3,023     56,893
First Bancorp (North Carolina)   7,593     274,259
First Bancorp (Puerto Rico)   31,608     554,404
First Bank   4,101     56,348
First Busey Corp.   10,579     254,425
First Business Financial Services, Inc.   1,580     59,250
First Commonwealth Financial Corp.   19,632     273,277
First Community Bankshares, Inc.   3,231     111,890
First Financial Bancorp   17,682     396,430
First Financial Bankshares, Inc.   24,995     820,086
First Financial Corp.   2,241     85,898
First Foundation, Inc.   10,215     77,123
First Interstate BancSystem, Inc., Class A   15,523     422,381
First Merchants Corp.   11,170     389,833
First Mid Bancshares, Inc.   4,392     143,531
First Western Financial, Inc. (A)   1,726     25,165
Five Star Bancorp   2,627     59,108
Flushing Financial Corp.   5,619     70,856
FS Bancorp, Inc.   1,325     45,991
 
  201  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Fulton Financial Corp.   30,505   $ 484,724
German American Bancorp, Inc.   5,760     199,526
Glacier Bancorp, Inc.   21,481     865,255
Great Southern Bancorp, Inc.   1,772     97,141
Greene County Bancorp, Inc.   1,319     37,974
Guaranty Bancshares, Inc.   1,721     52,250
Hancock Whitney Corp.   16,406     755,332
Hanmi Financial Corp.   5,525     87,958
HarborOne Bancorp, Inc.   8,116     86,517
HBT Financial, Inc.   2,750     52,360
Heartland Financial USA, Inc.   7,927     278,634
Heritage Commerce Corp.   11,433     98,095
Heritage Financial Corp.   6,478     125,608
Hilltop Holdings, Inc.   8,752     274,113
Home Bancorp, Inc.   1,258     48,194
Home BancShares, Inc.   35,728     877,837
HomeStreet, Inc.   3,559     53,563
HomeTrust Bancshares, Inc.   3,251     88,882
Hope Bancorp, Inc.   23,266     267,792
Horizon Bancorp, Inc.   8,497     109,017
Independent Bank Corp. (Massachusetts)   8,383     436,084
Independent Bank Corp. (Michigan)   3,213     81,450
Independent Bank Group, Inc.   6,831     311,835
International Bancshares Corp.   10,223     573,919
John Marshall Bancorp, Inc.   2,602     46,628
Kearny Financial Corp.   10,523     67,768
Lakeland Bancorp, Inc.   12,705     153,731
Lakeland Financial Corp.   4,852     321,785
LCNB Corp.   2,512     40,041
Live Oak Bancshares, Inc.   6,613     274,506
Macatawa Bank Corp.   5,718     55,979
MainStreet Bancshares, Inc.   1,287     23,372
Mercantile Bank Corp.   3,062     117,856
Metrocity Bankshares, Inc.   4,049     101,063
Metropolitan Bank Holding Corp. (A)   1,889     72,727
Mid Penn Bancorp, Inc.   3,284     65,713
Middlefield Banc Corp.   1,576     37,635
Midland States Bancorp, Inc.   4,015     100,897
MidWestOne Financial Group, Inc.   3,076     72,101
MVB Financial Corp.   2,384     53,187
National Bank Holdings Corp., Class A   7,083     255,484
National Bankshares, Inc.   1,314     43,901
NBT Bancorp, Inc.   8,742     320,657
Nicolet Bankshares, Inc.   2,501     215,061
Northeast Bank   1,282     70,946
Northeast Community Bancorp, Inc.   1,984     31,208
Northfield Bancorp, Inc.   7,443     72,346
Northrim BanCorp, Inc.   1,023     51,672
Northwest Bancshares, Inc.   24,084     280,579
Norwood Financial Corp.   1,550     42,176
Oak Valley Bancorp   1,276     31,619
OceanFirst Financial Corp.   10,506     172,403
OFG Bancorp   8,919     328,308
Old National Bancorp   55,692     969,598
Old Second Bancorp, Inc.   8,703     120,450
Orange County Bancorp, Inc.   1,028     47,288
Origin Bancorp, Inc.   5,632     175,944
Orrstown Financial Services, Inc.   2,047     54,798
Pacific Premier Bancorp, Inc.   18,083     433,992
Park National Corp.   2,715     368,833
Parke Bancorp, Inc.   2,080     35,828
Pathward Financial, Inc.   5,103     257,599
PCB Bancorp   2,529     41,299
Peapack-Gladstone Financial Corp.   3,176     77,272
Penns Woods Bancorp, Inc.   1,260     24,457
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Peoples Bancorp, Inc.   6,942   $ 205,553
Peoples Financial Services Corp.   1,378     59,406
Plumas Bancorp   1,078     39,660
Ponce Financial Group, Inc. (A)   4,116     36,632
Preferred Bank   2,321     178,183
Premier Financial Corp.   6,921     140,496
Primis Financial Corp.   4,121     50,153
Princeton Bancorp, Inc.   933     28,718
Provident Financial Services, Inc.   13,084     190,634
QCR Holdings, Inc.   3,050     185,257
RBB Bancorp   2,717     48,933
Red River Bancshares, Inc.   1,012     50,387
Renasant Corp.   10,735     336,220
Republic Bancorp, Inc., Class A   1,763     89,913
S&T Bancorp, Inc.   7,303     234,280
Sandy Spring Bancorp, Inc.   8,175     189,497
Seacoast Banking Corp. of Florida   16,153     410,125
ServisFirst Bancshares, Inc.   9,789     649,598
Shore Bancshares, Inc.   6,443     74,095
Sierra Bancorp   2,794     56,439
Simmons First National Corp., Class A   23,496     457,232
SmartFinancial, Inc.   3,659     77,095
South Plains Financial, Inc.   2,362     63,207
Southern First Bancshares, Inc. (A)   1,789     56,819
Southern Missouri Bancorp, Inc.   1,763     77,061
Southern States Bancshares, Inc.   1,510     39,139
Southside Bancshares, Inc.   5,590     163,396
SouthState Corp.   14,527     1,235,231
Stellar Bancorp, Inc.   9,217     224,526
Stock Yards Bancorp, Inc.   5,433     265,728
Summit Financial Group, Inc.   2,093     56,846
Texas Capital Bancshares, Inc. (A)   9,003     554,135
The Bancorp, Inc. (A)   9,939     332,559
The Bank of NT Butterfield & Son, Ltd.   8,923     285,447
The First Bancorp, Inc.   2,627     64,729
The First Bancshares, Inc.   5,873     152,404
The First of Long Island Corp.   3,906     43,318
The Hingham Institution for Savings   271     47,279
Third Coast Bancshares, Inc. (A)   2,646     52,973
Timberland Bancorp, Inc.   1,397     37,607
Tompkins Financial Corp.   2,728     137,191
Towne Bank   14,018     393,345
TriCo Bancshares   6,048     222,445
Triumph Financial, Inc. (A)   4,217     334,492
Trustmark Corp.   11,915     334,931
UMB Financial Corp.   8,423     732,717
United Bankshares, Inc.   24,910     891,529
United Community Banks, Inc.   22,521     592,753
Unity Bancorp, Inc.   1,592     43,939
Univest Financial Corp.   5,680     118,258
USCB Financial Holdings, Inc.   2,644     30,142
Valley National Bancorp   82,272     654,885
Veritex Holdings, Inc.   9,652     197,769
Virginia National Bankshares Corp.   857     25,796
WaFd, Inc.   12,751     370,162
Washington Trust Bancorp, Inc.   2,971     79,860
WesBanco, Inc.   11,070     329,997
West BanCorp, Inc.   3,236     57,698
Westamerica BanCorp   4,994     244,107
WSFS Financial Corp.   11,470     517,756
          42,892,916
Capital markets – 1.3%      
AlTi Global, Inc. (A)(B)   4,304     24,361
Artisan Partners Asset Management, Inc., Class A   11,509     526,767
 
  202  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets (continued)      
AssetMark Financial Holdings, Inc. (A)   4,429   $ 156,831
B. Riley Financial, Inc. (B)   3,924     83,071
Bakkt Holdings, Inc. (A)   15,717     7,227
BGC Group, Inc., Class A   68,789     534,491
Brightsphere Investment Group, Inc.   6,214     141,928
Cohen & Steers, Inc.   5,055     388,679
Diamond Hill Investment Group, Inc.   522     80,477
Donnelley Financial Solutions, Inc. (A)   4,778     296,284
Forge Global Holdings, Inc. (A)   19,746     38,110
GCM Grosvenor, Inc., Class A   9,818     94,842
Hamilton Lane, Inc., Class A   7,005     789,884
Moelis & Company, Class A   12,767     724,783
Open Lending Corp. (A)   19,874     124,411
P10, Inc., Class A   9,410     79,232
Patria Investments, Ltd., Class A   10,830     160,717
Perella Weinberg Partners   8,194     115,781
Piper Sandler Companies   3,288     652,635
PJT Partners, Inc., Class A   4,498     423,981
StepStone Group, Inc., Class A   10,754     384,348
StoneX Group, Inc. (A)   5,273     370,481
Victory Capital Holdings, Inc., Class A   5,136     217,920
Virtus Investment Partners, Inc.   1,303     323,118
WisdomTree, Inc.   27,142     249,435
          6,989,794
Consumer finance – 0.7%      
Atlanticus Holdings Corp. (A)   765     22,636
Bread Financial Holdings, Inc.   9,441     351,583
Encore Capital Group, Inc. (A)   4,400     200,684
Enova International, Inc. (A)   5,431     341,230
FirstCash Holdings, Inc.   7,250     924,665
Green Dot Corp., Class A (A)   9,871     92,096
LendingClub Corp. (A)   21,303     187,253
LendingTree, Inc. (A)   2,145     90,819
Navient Corp.   15,495     269,613
Nelnet, Inc., Class A   2,421     229,148
NerdWallet, Inc., Class A (A)   6,735     99,005
PRA Group, Inc. (A)   7,304     190,488
PROG Holdings, Inc.   8,584     295,633
Regional Management Corp.   1,522     36,848
Upstart Holdings, Inc. (A)   14,403     387,297
World Acceptance Corp. (A)   810     117,434
          3,836,432
Financial services – 2.4%      
Acacia Research Corp. (A)   7,924     42,235
Alerus Financial Corp.   3,843     83,893
A-Mark Precious Metals, Inc.   3,594     110,300
AvidXchange Holdings, Inc. (A)   29,537     388,412
Banco Latinoamericano de Comercio Exterior SA, Class E   5,377     159,267
Cannae Holdings, Inc. (A)   12,923     287,408
Cantaloupe, Inc. (A)   11,049     71,045
Cass Information Systems, Inc.   2,841     136,851
Compass Diversified Holdings   12,193     293,486
Enact Holdings, Inc.   5,709     178,007
Essent Group, Ltd.   20,028     1,191,866
EVERTEC, Inc.   12,574     501,703
Federal Agricultural Mortgage Corp., Class C   1,784     351,234
Flywire Corp. (A)   20,440     507,116
i3 Verticals, Inc., Class A (A)   4,423     101,242
International Money Express, Inc. (A)   6,065     138,464
Jackson Financial, Inc., Class A   15,285     1,010,950
Marqeta, Inc., Class A (A)   90,831     541,353
Merchants Bancorp   3,255     140,551
Mr. Cooper Group, Inc. (A)   12,359     963,384
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Financial services (continued)      
NewtekOne, Inc.   5,060   $ 55,660
NMI Holdings, Inc., Class A (A)   15,332     495,837
Ocwen Financial Corp. (A)   1,286     34,735
PagSeguro Digital, Ltd., Class A (A)   38,051     543,368
Payoneer Global, Inc. (A)   52,597     255,621
Paysafe, Ltd. (A)   6,413     101,261
PennyMac Financial Services, Inc.   4,853     442,060
Radian Group, Inc.   29,432     985,089
Remitly Global, Inc. (A)   26,341     546,312
Repay Holdings Corp. (A)   15,981     175,791
StoneCo, Ltd., Class A (A)   55,826     927,270
TrustCo Bank Corp. NY   3,478     97,940
Velocity Financial, Inc. (A)   1,690     30,420
Walker & Dunlop, Inc.   6,094     615,860
Waterstone Financial, Inc.   3,936     47,901
          12,553,892
Insurance – 1.8%      
Ambac Financial Group, Inc. (A)   9,022     141,014
American Coastal Insurance Corp. (A)   3,982     42,568
American Equity Investment Life Holding Company (A)   15,135     850,890
AMERISAFE, Inc.   3,946     197,971
BRP Group, Inc., Class A (A)   11,888     344,039
CNO Financial Group, Inc.   20,980     576,530
Crawford & Company, Class A   2,736     25,800
Donegal Group, Inc., Class A   4,206     59,473
eHealth, Inc. (A)   5,591     33,714
Employers Holdings, Inc.   5,070     230,127
Enstar Group, Ltd. (A)   2,308     717,234
F&G Annuities & Life, Inc.   3,689     149,589
Fidelis Insurance Holdings, Ltd.   9,153     178,300
Genworth Financial, Inc., Class A (A)   87,177     560,548
Goosehead Insurance, Inc., Class A (A)   4,113     274,008
Greenlight Capital Re, Ltd., Class A (A)   5,256     65,542
HCI Group, Inc.   1,294     150,208
Hippo Holdings, Inc. (A)   1,259     23,002
Horace Mann Educators Corp.   8,043     297,511
Investors Title Company   219     35,739
James River Group Holdings, Ltd.   8,071     75,060
Lemonade, Inc. (A)   10,092     165,610
Maiden Holdings, Ltd. (A)   5,771     12,985
MBIA, Inc. (A)   9,297     62,848
Mercury General Corp.   5,320     274,512
National Western Life Group, Inc., Class A   454     223,350
Oscar Health, Inc., Class A (A)   30,984     460,732
Palomar Holdings, Inc. (A)   4,696     393,666
ProAssurance Corp. (A)   9,913     127,481
Safety Insurance Group, Inc.   2,798     229,968
Selective Insurance Group, Inc.   11,697     1,276,961
SelectQuote, Inc. (A)   24,466     48,932
SiriusPoint, Ltd. (A)   14,056     178,652
Skyward Specialty Insurance Group, Inc. (A)   4,704     175,977
Stewart Information Services Corp.   5,199     338,247
Tiptree, Inc.   5,027     86,867
Trupanion, Inc. (A)   7,857     216,932
United Fire Group, Inc.   4,268     92,914
Universal Insurance Holdings, Inc.   4,943     100,442
          9,495,943
Mortgage real estate investment trusts – 1.0%      
AFC Gamma, Inc.   3,298     40,829
Angel Oak Mortgage REIT, Inc.   2,544     27,323
Apollo Commercial Real Estate Finance, Inc.   27,348     304,657
 
  203  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Mortgage real estate investment trusts (continued)      
Arbor Realty Trust, Inc.   35,298   $ 467,699
Ares Commercial Real Estate Corp.   9,176     68,361
ARMOUR Residential REIT, Inc.   9,701     191,789
Blackstone Mortgage Trust, Inc., Class A   32,765     652,351
BrightSpire Capital, Inc.   24,393     168,068
Chicago Atlantic Real Estate Finance, Inc.   3,286     51,820
Chimera Investment Corp.   44,959     207,261
Claros Mortgage Trust, Inc.   17,976     175,446
Dynex Capital, Inc.   10,947     136,290
Ellington Financial, Inc.   15,304     180,740
Franklin BSP Realty Trust, Inc.   15,205     203,139
Granite Point Mortgage Trust, Inc.   9,263     44,185
Hannon Armstrong Sustainable Infrastructure Capital, Inc.   20,811     591,032
Invesco Mortgage Capital, Inc.   8,973     86,859
KKR Real Estate Finance Trust, Inc.   11,811     118,819
Ladder Capital Corp.   21,722     241,766
MFA Financial, Inc.   18,912     215,786
New York Mortgage Trust, Inc.   17,778     128,002
Orchid Island Capital, Inc.   10,420     93,051
PennyMac Mortgage Investment Trust   16,673     244,760
Ready Capital Corp.   31,219     285,029
Redwood Trust, Inc.   23,338     148,663
TPG RE Finance Trust, Inc.   13,813     106,636
Two Harbors Investment Corp.   19,075     252,553
          5,432,914
          81,201,891
Health care – 14.7%          
Biotechnology – 7.6%      
2seventy bio, Inc. (A)   10,848     58,037
4D Molecular Therapeutics, Inc. (A)   7,933     252,745
89bio, Inc. (A)   14,152     164,729
ACADIA Pharmaceuticals, Inc. (A)   23,420     433,036
ACELYRIN, Inc. (A)   12,406     83,741
Achillion Pharmaceuticals, Inc. (A)(C)   38,157     57,979
Acrivon Therapeutics, Inc. (A)(B)   1,726     12,341
Actinium Pharmaceuticals, Inc. (A)   2,993     23,435
Adicet Bio, Inc. (A)   6,054     14,227
ADMA Biologics, Inc. (A)   42,763     282,236
Aduro Biotech, Inc. (A)(C)   4,010     9,932
Aerovate Therapeutics, Inc. (A)   2,155     63,723
Agenus, Inc. (A)   74,302     43,095
Agios Pharmaceuticals, Inc. (A)   10,865     317,693
Akero Therapeutics, Inc. (A)   11,141     281,422
Albireo Pharma, Inc. (A)(C)   3,774     8,114
Aldeyra Therapeutics, Inc. (A)   10,000     32,700
Alector, Inc. (A)   13,917     83,780
Alkermes PLC (A)   32,060     867,864
Allakos, Inc. (A)   14,792     18,638
Allogene Therapeutics, Inc. (A)   18,056     80,710
Allovir, Inc. (A)   13,299     10,039
Alpine Immune Sciences, Inc. (A)   6,804     269,711
Altimmune, Inc. (A)   11,069     112,682
ALX Oncology Holdings, Inc. (A)   5,735     63,945
Amicus Therapeutics, Inc. (A)   56,310     663,332
AnaptysBio, Inc. (A)   4,055     91,319
Anavex Life Sciences Corp. (A)   14,971     76,202
Anika Therapeutics, Inc. (A)   2,914     74,016
Annexon, Inc. (A)   11,533     82,692
Apogee Therapeutics, Inc. (A)   7,763     515,851
Arbutus Biopharma Corp. (A)(B)   28,399     73,269
Arcellx, Inc. (A)   7,391     514,044
Arcturus Therapeutics Holdings, Inc. (A)   4,598     155,274
Arcus Biosciences, Inc. (A)   10,496     198,164
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Arcutis Biotherapeutics, Inc. (A)   15,775   $ 156,330
Ardelyx, Inc. (A)   44,215     322,770
Arrowhead Pharmaceuticals, Inc. (A)   21,212     606,663
ARS Pharmaceuticals, Inc. (A)   2,736     27,962
Astria Therapeutics, Inc. (A)   8,799     123,846
Atara Biotherapeutics, Inc. (A)   23,063     16,006
Aura Biosciences, Inc. (A)   6,210     48,749
Aurinia Pharmaceuticals, Inc. (A)   26,856     134,549
Avid Bioservices, Inc. (A)   13,142     88,051
Avidity Biosciences, Inc. (A)   14,339     365,931
Avita Medical, Inc. (A)   4,900     78,547
Beam Therapeutics, Inc. (A)   14,413     476,206
BioAtla, Inc. (A)   5,250     18,060
BioCryst Pharmaceuticals, Inc. (A)   37,942     192,745
Biohaven, Ltd. (A)   13,198     721,799
Biomea Fusion, Inc. (A)   4,134     61,803
Bioxcel Therapeutics, Inc. (A)   3,560     10,039
Bluebird Bio, Inc. (A)(B)   30,356     38,856
Blueprint Medicines Corp. (A)   11,715     1,111,285
Bridgebio Pharma, Inc. (A)   22,600     698,792
Cabaletta Bio, Inc. (A)   6,464     110,276
CareDx, Inc. (A)   10,179     107,796
Cargo Therapeutics, Inc. (A)   3,598     80,307
Caribou Biosciences, Inc. (A)   16,643     85,545
Carisma Therapeutics, Inc. (A)   6,163     13,990
Catalyst Pharmaceuticals, Inc. (A)   19,588     312,233
Celcuity, Inc. (A)   3,995     86,292
Celldex Therapeutics, Inc. (A)   11,096     465,699
Century Therapeutics, Inc. (A)   2,392     9,999
Cerevel Therapeutics Holdings, Inc. (A)   13,788     582,819
CG Oncology, Inc. (A)   3,761     165,108
Chinook Therapeutics, Inc. (A)(C)   12,035     4,694
Cogent Biosciences, Inc. (A)   16,248     109,187
Coherus Biosciences, Inc. (A)   19,758     47,222
Compass Therapeutics, Inc. (A)   20,318     40,230
Crinetics Pharmaceuticals, Inc. (A)   12,753     596,968
Cue Biopharma, Inc. (A)   4,901     9,263
Cullinan Oncology, Inc. (A)   5,626     95,867
Cytokinetics, Inc. (A)   18,314     1,283,995
Day One Biopharmaceuticals, Inc. (A)   12,647     208,928
Deciphera Pharmaceuticals, Inc. (A)   10,407     163,702
Denali Therapeutics, Inc. (A)   23,290     477,911
Design Therapeutics, Inc. (A)   3,870     15,596
Disc Medicine, Inc. (A)   1,806     112,442
Dynavax Technologies Corp. (A)   25,144     312,037
Dyne Therapeutics, Inc. (A)   10,775     305,902
Eagle Pharmaceuticals, Inc. (A)(B)   2,442     12,796
Editas Medicine, Inc. (A)   16,255     120,612
Emergent BioSolutions, Inc. (A)   4,034     10,206
Enanta Pharmaceuticals, Inc. (A)   4,449     77,680
Entrada Therapeutics, Inc. (A)   3,961     56,127
Erasca, Inc. (A)   19,311     39,781
Fate Therapeutics, Inc. (A)   17,119     125,653
Fennec Pharmaceuticals, Inc. (A)   3,830     42,590
FibroGen, Inc. (A)   13,990     32,877
Foghorn Therapeutics, Inc. (A)   4,953     33,235
Genelux Corp. (A)   3,799     24,428
Generation Bio Company (A)   10,224     41,612
Geron Corp. (A)   100,050     330,165
Gritstone bio, Inc. (A)(B)   19,793     50,868
Halozyme Therapeutics, Inc. (A)   25,000     1,017,000
Heron Therapeutics, Inc. (A)   19,377     53,674
HilleVax, Inc. (A)   5,420     90,135
Humacyte, Inc. (A)   12,791     39,780
Icosavax, Inc. (A)(C)   6,029     1,869
 
  204  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Ideaya Biosciences, Inc. (A)   11,919   $ 523,006
IGM Biosciences, Inc. (A)   1,546     14,919
Immuneering Corp., Class A (A)   4,640     13,410
ImmunityBio, Inc. (A)   26,365     141,580
Immunovant, Inc. (A)   10,385     335,539
Inhibrx, Inc. (A)   6,820     238,427
Inozyme Pharma, Inc. (A)   9,978     76,431
Insmed, Inc. (A)   26,895     729,661
Intellia Therapeutics, Inc. (A)   17,593     483,983
Iovance Biotherapeutics, Inc. (A)   45,210     670,012
Ironwood Pharmaceuticals, Inc. (A)   27,931     243,279
iTeos Therapeutics, Inc. (A)   5,452     74,365
Janux Therapeutics, Inc. (A)(B)   3,380     127,257
KalVista Pharmaceuticals, Inc. (A)   6,643     78,786
Karyopharm Therapeutics, Inc. (A)   15,774     23,819
Keros Therapeutics, Inc. (A)   4,518     299,092
Kezar Life Sciences, Inc. (A)   17,702     15,960
Kiniksa Pharmaceuticals, Ltd., Class A (A)   6,376     125,798
Kodiak Sciences, Inc. (A)   4,481     23,570
Krystal Biotech, Inc. (A)   4,194     746,238
Kura Oncology, Inc. (A)   13,763     293,565
Kymera Therapeutics, Inc. (A)   7,560     303,912
Larimar Therapeutics, Inc. (A)   4,058     30,800
LENZ Therapeutics, Inc.   431     9,634
Lexeo Therapeutics, Inc. (A)   1,216     19,067
Lexicon Pharmaceuticals, Inc. (A)   13,156     31,574
Lineage Cell Therapeutics, Inc. (A)(B)   32,559     48,187
Lyell Immunopharma, Inc. (A)   36,975     82,454
MacroGenics, Inc. (A)   11,795     173,622
Madrigal Pharmaceuticals, Inc. (A)   2,858     763,200
MannKind Corp. (A)   51,255     232,185
MeiraGTx Holdings PLC (A)   7,764     47,127
Merrimack Pharmaceuticals, Inc. (A)   2,411     35,610
Mersana Therapeutics, Inc. (A)   22,020     98,650
MiMedx Group, Inc. (A)   22,804     175,591
Mineralys Therapeutics, Inc. (A)   4,365     56,352
Mirum Pharmaceuticals, Inc. (A)   4,937     124,017
Monte Rosa Therapeutics, Inc. (A)   5,738     40,453
Morphic Holding, Inc. (A)   7,358     259,002
Mural Oncology PLC (A)   3,434     16,792
Myriad Genetics, Inc. (A)   16,030     341,760
Nkarta, Inc. (A)   5,112     55,261
Novavax, Inc. (A)   18,509     88,473
Nurix Therapeutics, Inc. (A)   9,412     138,356
Nuvalent, Inc., Class A (A)   5,129     385,137
Nuvectis Pharma, Inc. (A)   1,476     12,103
Ocean Biomedical, Inc. (A)   599     2,267
Olema Pharmaceuticals, Inc. (A)   5,487     62,113
Omega Therapeutics, Inc. (A)   5,661     20,663
Organogenesis Holdings, Inc. (A)   13,782     39,141
ORIC Pharmaceuticals, Inc. (A)   7,771     106,851
Outlook Therapeutics, Inc. (A)(B)   1,253     14,961
Ovid therapeutics, Inc. (A)   13,880     42,334
PDL BioPharma, Inc. (A)(C)   28,581     17,149
PDS Biotechnology Corp. (A)(B)   6,461     25,586
PepGen, Inc. (A)   1,466     21,550
PMV Pharmaceuticals, Inc. (A)   5,840     9,928
Poseida Therapeutics, Inc. (A)   13,049     41,626
Precigen, Inc. (A)   13,446     19,497
Prelude Therapeutics, Inc. (A)   2,097     9,940
Prime Medicine, Inc. (A)   8,376     58,632
ProKidney Corp. (A)(B)   7,119     11,675
Protagonist Therapeutics, Inc. (A)   11,108     321,354
Prothena Corp. PLC (A)   8,591     212,799
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
PTC Therapeutics, Inc. (A)   13,964   $ 406,213
Radius Health, Inc. (A)(C)   9,985     799
Rallybio Corp. (A)   5,983     11,069
RAPT Therapeutics, Inc. (A)   6,236     55,999
Recursion Pharmaceuticals, Inc., Class A (A)   26,987     269,060
REGENXBIO, Inc. (A)   8,132     171,341
Relay Therapeutics, Inc. (A)   18,061     149,906
Replimune Group, Inc. (A)   10,773     88,015
REVOLUTION Medicines, Inc. (A)   26,940     868,276
Rhythm Pharmaceuticals, Inc. (A)   10,127     438,803
Rigel Pharmaceuticals, Inc. (A)   38,466     56,930
Rocket Pharmaceuticals, Inc. (A)   12,178     328,075
Sage Therapeutics, Inc. (A)   10,488     196,545
Sagimet Biosciences, Inc., Class A (A)   3,417     18,520
Sana Biotechnology, Inc. (A)   18,987     189,870
Sangamo Therapeutics, Inc. (A)   35,760     23,966
Savara, Inc. (A)   17,905     89,167
Scholar Rock Holding Corp. (A)   10,918     193,904
SpringWorks Therapeutics, Inc. (A)   13,297     654,478
Stoke Therapeutics, Inc. (A)   6,129     82,742
Summit Therapeutics, Inc. (A)   22,626     93,672
Sutro Biopharma, Inc. (A)   13,918     78,637
Syndax Pharmaceuticals, Inc. (A)   13,379     318,420
Synergy Pharmaceuticals, Inc. (A)(C)   80,513     233
Tango Therapeutics, Inc. (A)   9,130     72,492
Tenaya Therapeutics, Inc. (A)   7,257     37,954
TG Therapeutics, Inc. (A)   26,700     406,107
Travere Therapeutics, Inc. (A)   15,271     117,739
Turnstone Biologics Corp. (A)   3,471     9,094
Twist Bioscience Corp. (A)   11,256     386,193
Tyra Biosciences, Inc. (A)   3,238     53,103
UroGen Pharma, Ltd. (A)(B)   5,823     87,345
Vanda Pharmaceuticals, Inc. (A)   12,383     50,894
Vaxcyte, Inc. (A)   19,708     1,346,253
Vera Therapeutics, Inc. (A)   7,491     323,012
Veracyte, Inc. (A)   14,564     322,738
Vericel Corp. (A)   9,209     479,052
Verve Therapeutics, Inc. (A)   11,528     153,092
Vigil Neuroscience, Inc. (A)   3,406     11,614
Viking Therapeutics, Inc. (A)   19,393     1,590,226
Vir Biotechnology, Inc. (A)   17,358     175,837
Viridian Therapeutics, Inc. (A)   8,819     154,421
Vor BioPharma, Inc. (A)   5,080     12,040
Voyager Therapeutics, Inc. (A)   6,848     63,755
Xencor, Inc. (A)   11,744     259,895
XOMA Corp. (A)   516     12,410
Y-mAbs Therapeutics, Inc. (A)   7,365     119,755
Zentalis Pharmaceuticals, Inc. (A)   11,656     183,699
Zura Bio, Ltd. (A)   3,116     8,008
Zymeworks, Inc. (A)   10,705     112,617
          40,614,869
Health care equipment and supplies – 2.5%      
Accuray, Inc. (A)   20,909     51,645
Alphatec Holdings, Inc. (A)   18,070     249,185
AngioDynamics, Inc. (A)   8,324     48,862
Artivion, Inc. (A)   7,864     166,402
AtriCure, Inc. (A)   8,840     268,913
Atrion Corp.   264     122,377
Avanos Medical, Inc. (A)   8,531     169,852
Axogen, Inc. (A)   8,202     66,190
Axonics, Inc. (A)   9,533     657,491
Butterfly Network, Inc. (A)   31,271     33,773
Cerus Corp. (A)   35,208     66,543
ClearPoint Neuro, Inc. (A)   5,627     38,264
 
  205  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
CONMED Corp.   5,870   $ 470,070
Cutera, Inc. (A)(B)   3,789     5,570
CVRx, Inc. (A)   1,964     35,764
Embecta Corp.   11,159     148,080
Glaukos Corp. (A)   9,115     859,453
Haemonetics Corp. (A)   9,586     818,165
Inari Medical, Inc. (A)   10,285     493,474
Inmode, Ltd. (A)   14,596     315,420
Inogen, Inc. (A)   5,434     43,852
Integer Holdings Corp. (A)   6,369     743,135
iRadimed Corp.   1,590     69,944
iRhythm Technologies, Inc. (A)   5,883     682,428
Lantheus Holdings, Inc. (A)   13,069     813,415
LeMaitre Vascular, Inc.   3,906     259,202
LivaNova PLC (A)   10,362     579,650
Merit Medical Systems, Inc. (A)   10,864     822,948
Neogen Corp. (A)   41,833     660,125
Nevro Corp. (A)   6,730     97,181
Omnicell, Inc. (A)   8,590     251,086
OraSure Technologies, Inc. (A)   14,136     86,936
Orchestra BioMed Holdings, Inc. (A)   3,034     15,989
Orthofix Medical, Inc. (A)   6,789     98,576
OrthoPediatrics Corp. (A)   2,951     86,051
Outset Medical, Inc. (A)   10,364     23,008
Paragon 28, Inc. (A)   9,182     113,398
PROCEPT BioRobotics Corp. (A)   7,777     384,339
Pulmonx Corp. (A)   7,865     72,909
Pulse Biosciences, Inc. (A)   3,344     29,126
RxSight, Inc. (A)   5,551     286,321
Sanara Medtech, Inc. (A)   930     34,410
Semler Scientific, Inc. (A)   865     25,267
SI-BONE, Inc. (A)   7,786     127,457
Sight Sciences, Inc. (A)   2,071     10,935
Silk Road Medical, Inc. (A)   7,477     136,979
STAAR Surgical Company (A)   9,319     356,731
Surmodics, Inc. (A)   2,751     80,714
Tactile Systems Technology, Inc. (A)   4,323     70,249
TransMedics Group, Inc. (A)   6,110     451,773
Treace Medical Concepts, Inc. (A)   9,386     122,487
UFP Technologies, Inc. (A)   1,388     350,054
Utah Medical Products, Inc.   598     42,524
Varex Imaging Corp. (A)   7,538     136,438
Zimvie, Inc. (A)   5,129     84,577
Zynex, Inc. (A)(B)   1,288     15,933
          13,351,640
Health care providers and services – 2.4%      
23andMe Holding Company, Class A (A)   57,787     30,743
Accolade, Inc. (A)   13,967     146,374
AdaptHealth Corp. (A)   18,186     209,321
Addus HomeCare Corp. (A)   3,088     319,114
Agiliti, Inc. (A)   6,277     63,523
Alignment Healthcare, Inc. (A)   17,009     84,365
AMN Healthcare Services, Inc. (A)   7,312     457,073
Astrana Health, Inc. (A)   8,425     353,766
Aveanna Healthcare Holdings, Inc. (A)   10,376     25,836
BrightSpring Health Services, Inc. (A)   4,060     44,132
Brookdale Senior Living, Inc. (A)   35,997     237,940
CareMax, Inc. (A)   586     2,825
Castle Biosciences, Inc. (A)   5,000     110,750
Community Health Systems, Inc. (A)   23,459     82,107
CorVel Corp. (A)   1,683     442,562
Cross Country Healthcare, Inc. (A)   6,534     122,316
DocGo, Inc. (A)   16,361     66,098
Enhabit, Inc. (A)   9,612     111,980
Fulgent Genetics, Inc. (A)   4,290     93,093
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care providers and services (continued)      
Guardant Health, Inc. (A)   21,711   $ 447,898
HealthEquity, Inc. (A)   16,326     1,332,691
Hims & Hers Health, Inc. (A)   23,924     370,104
InfuSystem Holdings, Inc. (A)   3,385     29,009
LifeStance Health Group, Inc. (A)   20,666     127,509
ModivCare, Inc. (A)   2,503     58,695
Nano-X Imaging, Ltd. (A)(B)   9,578     93,577
National HealthCare Corp.   2,385     225,406
National Research Corp.   3,022     119,701
NeoGenomics, Inc. (A)   24,394     383,474
OPKO Health, Inc. (A)(B)   86,860     104,232
Option Care Health, Inc. (A)   32,133     1,077,741
Owens & Minor, Inc. (A)   14,119     391,237
P3 Health Partners, Inc. (A)   9,337     9,617
Patterson Companies, Inc.   15,973     441,653
Pediatrix Medical Group, Inc. (A)   15,978     160,259
PetIQ, Inc. (A)   5,402     98,749
Privia Health Group, Inc. (A)   21,690     424,907
Progyny, Inc. (A)   15,314     584,229
Quipt Home Medical Corp. (A)   9,436     41,235
RadNet, Inc. (A)   11,573     563,142
Select Medical Holdings Corp.   20,066     604,990
Surgery Partners, Inc. (A)   14,443     430,835
The Ensign Group, Inc.   10,484     1,304,419
The Joint Corp. (A)   2,607     34,047
The Pennant Group, Inc. (A)   5,666     111,224
US Physical Therapy, Inc.   2,849     321,567
Viemed Healthcare, Inc. (A)   6,622     62,445
          12,958,510
Health care technology – 0.3%      
American Well Corp., Class A (A)   52,950     42,927
Definitive Healthcare Corp. (A)   9,782     78,941
Evolent Health, Inc., Class A (A)   21,595     708,100
Health Catalyst, Inc. (A)   10,692     80,511
HealthStream, Inc.   4,323     115,251
MultiPlan Corp. (A)   79,993     64,890
OptimizeRx Corp. (A)   3,263     39,645
Phreesia, Inc. (A)   10,219     244,541
Schrodinger, Inc. (A)   10,371     280,017
Sharecare, Inc. (A)   56,157     43,101
Simulations Plus, Inc.   3,111     128,018
TruBridge, Inc. (A)   3,141     28,960
          1,854,902
Life sciences tools and services – 0.3%      
Adaptive Biotechnologies Corp. (A)   24,284     77,952
Akoya Biosciences, Inc. (A)   6,182     28,994
BioLife Solutions, Inc. (A)   6,822     126,548
Codexis, Inc. (A)   13,821     48,235
CryoPort, Inc. (A)   8,570     151,689
Cytek Biosciences, Inc. (A)   24,301     163,060
Harvard Bioscience, Inc. (A)   8,949     37,944
MaxCyte, Inc. (A)   17,031     71,360
Mesa Laboratories, Inc.   1,000     109,730
OmniAb, Inc. (A)   18,681     101,251
OmniAb, Inc., $12.50 Earnout Shares (A)(C)   1,176     0
OmniAb, Inc., $15.00 Earnout Shares (A)(C)   1,176     0
Pacific Biosciences of California, Inc. (A)   50,305     188,644
Quanterix Corp. (A)   7,070     166,569
Quantum-Si, Inc. (A)(B)   19,037     37,503
Seer, Inc. (A)   5,160     9,804
 
  206  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Life sciences tools and services (continued)      
Standard BioTools, Inc. (A)   1,673   $ 4,534
          1,323,817
Pharmaceuticals – 1.6%      
Aclaris Therapeutics, Inc. (A)   14,788     18,337
Amneal Pharmaceuticals, Inc. (A)   24,625     149,228
Amphastar Pharmaceuticals, Inc. (A)   7,325     321,641
Amylyx Pharmaceuticals, Inc. (A)   10,098     28,678
ANI Pharmaceuticals, Inc. (A)   2,936     202,966
Arvinas, Inc. (A)   9,716     401,076
Assertio Holdings, Inc. (A)   16,090     15,435
Atea Pharmaceuticals, Inc. (A)   15,112     61,052
Axsome Therapeutics, Inc. (A)   6,877     548,785
Biote Corp., Class A (A)   1,464     8,491
Cara Therapeutics, Inc. (A)   11,861     10,794
Cassava Sciences, Inc. (A)(B)   7,857     159,419
CinCor Pharma, Inc. (A)(C)   5,189     15,878
Collegium Pharmaceutical, Inc. (A)   6,337     246,002
Corcept Therapeutics, Inc. (A)   15,958     401,982
CorMedix, Inc. (A)(B)   10,474     44,410
Edgewise Therapeutics, Inc. (A)   10,294     187,763
Enliven Therapeutics, Inc. (A)(B)   5,028     88,443
Evolus, Inc. (A)   8,408     117,712
EyePoint Pharmaceuticals, Inc. (A)   6,720     138,902
Harmony Biosciences Holdings, Inc. (A)   6,441     216,289
Harrow, Inc. (A)(B)   5,839     77,250
Ikena Oncology, Inc. (A)   6,502     9,233
Innoviva, Inc. (A)   11,509     175,397
Intra-Cellular Therapies, Inc. (A)   18,057     1,249,544
Ligand Pharmaceuticals, Inc. (A)   3,338     244,008
Liquidia Corp. (A)   9,615     141,821
Longboard Pharmaceuticals, Inc. (A)   4,305     92,988
Marinus Pharmaceuticals, Inc. (A)   10,781     97,460
Neumora Therapeutics, Inc. (A)   3,105     42,694
NGM Biopharmaceuticals, Inc. (A)   6,252     9,941
Nuvation Bio, Inc. (A)   31,034     112,964
Ocular Therapeutix, Inc. (A)   20,979     190,909
Omeros Corp. (A)(B)   13,375     46,144
Optinose, Inc. (A)   6,544     9,554
Pacira BioSciences, Inc. (A)   8,787     256,756
Phathom Pharmaceuticals, Inc. (A)   6,338     67,310
Phibro Animal Health Corp., Class A   4,931     63,758
Pliant Therapeutics, Inc. (A)   11,123     165,733
Prestige Consumer Healthcare, Inc. (A)   9,597     696,358
Revance Therapeutics, Inc. (A)   17,297     85,101
Scilex Holding Company (A)   11,186     17,786
scPharmaceuticals, Inc. (A)   6,543     32,846
SIGA Technologies, Inc.   8,910     76,270
Supernus Pharmaceuticals, Inc. (A)   9,528     325,000
Taro Pharmaceutical Industries, Ltd. (A)   1,759     74,476
Tarsus Pharmaceuticals, Inc. (A)   5,771     209,776
Terns Pharmaceuticals, Inc. (A)   9,106     59,735
Theravance Biopharma, Inc. (A)(B)   10,189     91,395
Third Harmonic Bio, Inc. (A)   4,479     42,282
Trevi Therapeutics, Inc. (A)   5,535     19,096
Ventyx Biosciences, Inc. (A)   8,193     45,062
Verrica Pharmaceuticals, Inc. (A)   2,053     12,154
WaVe Life Sciences, Ltd. (A)   12,870     79,408
Xeris Biopharma Holdings, Inc. (A)   26,138     57,765
Zevra Therapeutics, Inc. (A)   8,704     50,483
          8,411,740
          78,515,478
Industrials – 16.8%          
Aerospace and defense – 0.8%      
AAR Corp. (A)   6,576     393,705
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Aerospace and defense (continued)      
AeroVironment, Inc. (A)   5,115   $ 784,027
AerSale Corp. (A)   5,421     38,923
Archer Aviation, Inc., Class A (A)(B)   30,085     138,993
Astronics Corp. (A)   5,050     96,152
Cadre Holdings, Inc.   3,855     139,551
Ducommun, Inc. (A)   2,740     140,562
Eve Holding, Inc. (A)   1,796     9,698
Kaman Corp.   5,625     258,019
Kratos Defense & Security Solutions, Inc. (A)   25,169     462,606
Leonardo DRS, Inc. (A)   13,522     298,701
Moog, Inc., Class A   5,567     888,772
National Presto Industries, Inc.   1,060     88,828
Park Aerospace Corp.   3,869     64,341
Rocket Lab USA, Inc. (A)   55,871     229,630
Triumph Group, Inc. (A)   12,778     192,181
V2X, Inc. (A)   2,423     113,178
Virgin Galactic Holdings, Inc. (A)   63,795     94,417
          4,432,284
Air freight and logistics – 0.1%      
Air Transport Services Group, Inc. (A)   9,862     135,701
Forward Air Corp.   5,136     159,781
Hub Group, Inc., Class A   11,769     508,656
Radiant Logistics, Inc. (A)   7,047     38,195
          842,333
Building products – 2.0%      
AAON, Inc.   12,998     1,145,124
American Woodmark Corp. (A)   3,036     308,640
Apogee Enterprises, Inc.   4,112     243,430
AZZ, Inc.   4,741     366,527
CSW Industrials, Inc.   2,964     695,354
Gibraltar Industries, Inc. (A)   5,888     474,161
Griffon Corp.   7,557     554,230
Insteel Industries, Inc.   3,708     141,720
Janus International Group, Inc. (A)   16,276     246,256
JELD-WEN Holding, Inc. (A)   16,226     344,478
Masonite International Corp. (A)   4,208     553,142
Masterbrand, Inc. (A)   24,558     460,217
Quanex Building Products Corp.   6,298     242,032
Resideo Technologies, Inc. (A)   28,060     629,105
Simpson Manufacturing Company, Inc.   8,231     1,688,837
UFP Industries, Inc.   11,448     1,408,218
Zurn Elkay Water Solutions Corp.   28,330     948,205
          10,449,676
Commercial services and supplies – 1.5%      
ABM Industries, Inc.   12,024     536,511
ACCO Brands Corp.   18,303     102,680
ACV Auctions, Inc., Class A (A)   24,368     457,387
Aris Water Solutions, Inc., Class A   5,922     83,796
BrightView Holdings, Inc. (A)   7,988     95,057
Casella Waste Systems, Inc., Class A (A)   10,862     1,073,926
CECO Environmental Corp. (A)   5,952     137,015
Cimpress PLC (A)   3,421     302,793
CoreCivic, Inc. (A)   21,664     338,175
Deluxe Corp.   8,449     173,965
Ennis, Inc.   5,413     111,021
Enviri Corp. (A)   15,822     144,771
Healthcare Services Group, Inc. (A)   14,124     176,268
HNI Corp.   8,819     398,001
Interface, Inc.   10,757     180,933
LanzaTech Global, Inc. (A)(B)   3,471     10,743
Li-Cycle Holdings Corp. (A)   29,577     30,464
Liquidity Services, Inc. (A)   4,643     86,360
Matthews International Corp., Class A   5,837     181,414
 
  207  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Commercial services and supplies (continued)      
MillerKnoll, Inc.   14,136   $ 350,007
Montrose Environmental Group, Inc. (A)   5,540     217,002
OPENLANE, Inc. (A)   20,509     354,806
Performant Financial Corp. (A)   15,655     46,026
Pitney Bowes, Inc.   34,491     149,346
Quad/Graphics, Inc.   5,928     31,478
SP Plus Corp. (A)   3,927     205,068
Steelcase, Inc., Class A   18,162     237,559
The Brink's Company   8,550     789,849
The GEO Group, Inc. (A)   23,235     328,078
UniFirst Corp.   2,870     497,744
Viad Corp. (A)   4,119     162,659
VSE Corp.   2,523     201,840
          8,192,742
Construction and engineering – 1.9%      
Ameresco, Inc., Class A (A)   6,228     150,282
API Group Corp. (A)   40,150     1,576,691
Arcosa, Inc.   9,297     798,240
Argan, Inc.   2,497     126,198
Bowman Consulting Group, Ltd. (A)   2,061     71,702
Comfort Systems USA, Inc.   6,798     2,159,793
Concrete Pumping Holdings, Inc. (A)   4,838     38,220
Construction Partners, Inc., Class A (A)   7,895     443,304
Dycom Industries, Inc. (A)   5,503     789,846
Fluor Corp. (A)   27,335     1,155,724
Granite Construction, Inc.   8,460     483,320
Great Lakes Dredge & Dock Corp. (A)   13,402     117,268
IES Holdings, Inc. (A)   1,630     198,273
Limbach Holdings, Inc. (A)   1,815     75,177
MYR Group, Inc. (A)   3,139     554,818
Northwest Pipe Company (A)   1,966     68,181
Primoris Services Corp.   10,122     430,894
Sterling Infrastructure, Inc. (A)   5,771     636,599
Tutor Perini Corp. (A)   8,095     117,054
          9,991,584
Electrical equipment – 1.4%      
Allient, Inc.   2,432     86,774
Array Technologies, Inc. (A)   28,995     432,315
Atkore, Inc.   7,117     1,354,792
Blink Charging Company (A)(B)   10,486     31,563
Bloom Energy Corp., Class A (A)   37,075     416,723
Encore Wire Corp.   2,873     754,967
Energy Vault Holdings, Inc. (A)   21,237     38,014
EnerSys   7,730     730,176
Enovix Corp. (A)   27,490     220,195
Eos Energy Enterprises, Inc. (A)(B)   23,232     23,929
Fluence Energy, Inc. (A)   11,347     196,757
FTC Solar, Inc. (A)   14,832     7,994
FuelCell Energy, Inc. (A)(B)   92,525     110,105
GrafTech International, Ltd.   40,843     56,363
LSI Industries, Inc.   5,709     86,320
NEXTracker, Inc., Class A (A)   24,125     1,357,514
NuScale Power Corp. (A)(B)   10,836     57,539
Powell Industries, Inc.   1,823     259,413
Preformed Line Products Company   467     60,089
SES AI Corp. (A)   29,307     49,236
Shoals Technologies Group, Inc., Class A (A)   32,834     367,084
SKYX Platforms Corp. (A)(B)   8,128     10,648
Stem, Inc. (A)   30,154     66,037
SunPower Corp. (A)(B)   18,297     54,891
Thermon Group Holdings, Inc. (A)   6,473     211,797
TPI Composites, Inc. (A)   9,324     27,133
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electrical equipment (continued)      
Vicor Corp. (A)   4,411   $ 168,677
          7,237,045
Ground transportation – 0.4%      
ArcBest Corp.   4,563     650,228
Covenant Logistics Group, Inc.   1,569     72,739
Daseke, Inc. (A)   8,049     66,807
FTAI Infrastructure, Inc.   18,442     115,816
Heartland Express, Inc.   8,895     106,206
Marten Transport, Ltd.   11,298     208,787
PAM Transportation Services, Inc. (A)   873     14,151
RXO, Inc. (A)   22,332     488,401
Universal Logistics Holdings, Inc.   1,469     54,162
Werner Enterprises, Inc.   11,753     459,777
          2,237,074
Industrial conglomerates – 0.0%      
Brookfield Business Corp., Class A   5,015     121,062
Machinery – 3.5%      
374Water, Inc. (A)   13,926     17,547
3D Systems Corp. (A)   26,824     119,099
Alamo Group, Inc.   1,929     440,449
Albany International Corp., Class A   5,992     560,312
Astec Industries, Inc.   4,347     190,007
Barnes Group, Inc.   9,453     351,179
Blue Bird Corp. (A)   5,087     195,036
Chart Industries, Inc. (A)   8,249     1,358,775
Columbus McKinnon Corp.   5,321     237,476
Commercial Vehicle Group, Inc. (A)   7,280     46,810
Desktop Metal, Inc., Class A (A)   60,154     52,936
Douglas Dynamics, Inc.   4,450     107,334
Energy Recovery, Inc. (A)   10,969     173,201
Enerpac Tool Group Corp.   10,505     374,608
Enpro, Inc.   4,033     680,649
ESCO Technologies, Inc.   4,907     525,294
Federal Signal Corp.   11,487     974,902
Franklin Electric Company, Inc.   8,773     937,044
Gencor Industries, Inc. (A)   2,569     42,877
Helios Technologies, Inc.   6,377     284,988
Hillenbrand, Inc.   13,429     675,344
Hillman Solutions Corp. (A)   37,353     397,436
Hyliion Holdings Corp. (A)   18,519     32,593
Hyster-Yale Materials Handling, Inc.   2,165     138,928
John Bean Technologies Corp.   6,084     638,151
Kadant, Inc.   2,244     736,256
Kennametal, Inc.   14,846     370,259
Lindsay Corp.   2,187     257,322
Luxfer Holdings PLC   5,237     54,308
Mayville Engineering Company, Inc. (A)   2,041     29,248
Microvast Holdings, Inc. (A)(B)   19,918     16,671
Miller Industries, Inc.   2,209     110,671
Mueller Industries, Inc.   21,455     1,157,068
Mueller Water Products, Inc., Class A   29,787     479,273
Nikola Corp. (A)(B)   126,799     131,871
Omega Flex, Inc.   712     50,502
Park-Ohio Holdings Corp.   1,667     44,476
Proto Labs, Inc. (A)   4,916     175,747
REV Group, Inc.   5,924     130,861
SPX Technologies, Inc. (A)   8,478     1,043,896
Standex International Corp.   2,254     410,724
Tennant Company   3,503     426,000
Terex Corp.   12,722     819,297
The Gorman-Rupp Company   4,636     183,354
The Greenbrier Companies, Inc.   5,781     301,190
The Manitowoc Company, Inc. (A)   6,416     90,722
The Shyft Group, Inc.   6,386     79,314
 
  208  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Titan International, Inc. (A)   10,343   $ 128,874
Trinity Industries, Inc.   15,517     432,148
Velo3D, Inc. (A)   20,462     9,322
Wabash National Corp.   9,037     270,568
Watts Water Technologies, Inc., Class A   5,191     1,103,347
          18,596,264
Marine transportation – 0.3%      
Costamare, Inc.   9,227     104,726
Eagle Bulk Shipping, Inc. (B)   1,798     112,321
Genco Shipping & Trading, Ltd.   8,324     169,227
Golden Ocean Group, Ltd.   23,506     304,638
Himalaya Shipping, Ltd. (A)   6,769     52,189
Matson, Inc.   6,603     742,177
Pangaea Logistics Solutions, Ltd.   7,179     50,038
Safe Bulkers, Inc. (B)   12,697     62,977
          1,598,293
Passenger airlines – 0.4%      
Allegiant Travel Company   3,024     227,435
Blade Air Mobility, Inc. (A)   11,569     32,972
Frontier Group Holdings, Inc. (A)   8,255     66,948
Hawaiian Holdings, Inc. (A)   10,189     135,819
JetBlue Airways Corp. (A)   64,538     478,872
Joby Aviation, Inc. (A)   53,690     287,778
SkyWest, Inc. (A)   7,728     533,850
Spirit Airlines, Inc.   22,397     108,401
Sun Country Airlines Holdings, Inc. (A)   7,280     109,855
          1,981,930
Professional services – 2.4%      
Alight, Inc., Class A (A)   79,720     785,242
ASGN, Inc. (A)   8,812     923,145
Asure Software, Inc. (A)   4,362     33,936
Barrett Business Services, Inc.   1,133     143,574
BlackSky Technology, Inc. (A)(B)   28,482     38,736
CBIZ, Inc. (A)   9,204     722,514
Conduent, Inc. (A)   34,865     117,844
CRA International, Inc.   1,323     197,894
CSG Systems International, Inc.   5,672     292,335
EXL Service Holdings, Inc. (A)   30,949     984,178
Exponent, Inc.   9,701     802,176
First Advantage Corp.   10,857     176,101
FiscalNote Holdings, Inc. (A)   14,688     19,535
Forrester Research, Inc. (A)   2,229     48,057
Franklin Covey Company (A)   2,298     90,219
Heidrick & Struggles International, Inc.   3,719     125,182
HireRight Holdings Corp. (A)   2,706     38,615
Huron Consulting Group, Inc. (A)   3,600     347,832
ICF International, Inc.   3,601     542,419
Innodata, Inc. (A)   5,513     36,386
Insperity, Inc.   6,827     748,307
Kelly Services, Inc., Class A   6,070     151,993
Kforce, Inc.   3,559     250,981
Korn Ferry   9,859     648,328
Legalzoom.com, Inc. (A)   23,138     308,661
Maximus, Inc.   11,662     978,442
Mistras Group, Inc. (A)   3,937     37,638
NV5 Global, Inc. (A)   2,632     257,962
Parsons Corp. (A)   7,923     657,213
Planet Labs PBC (A)   33,941     86,550
Resources Connection, Inc.   6,185     81,395
Sterling Check Corp. (A)   5,797     93,216
TriNet Group, Inc.   6,159     816,006
TrueBlue, Inc. (A)   5,736     71,815
TTEC Holdings, Inc.   4,164     43,181
Upwork, Inc. (A)   23,740     291,052
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Professional services (continued)      
Verra Mobility Corp. (A)   26,243   $ 655,288
Willdan Group, Inc. (A)   2,589     75,055
          12,719,003
Trading companies and distributors – 2.1%      
Alta Equipment Group, Inc.   5,064     65,579
Applied Industrial Technologies, Inc.   7,370     1,455,944
Beacon Roofing Supply, Inc. (A)   11,604     1,137,424
BlueLinx Holdings, Inc. (A)   1,643     213,984
Boise Cascade Company   7,621     1,168,833
Custom Truck One Source, Inc. (A)   12,060     70,189
Distribution Solutions Group, Inc. (A)   2,042     72,450
DNOW, Inc. (A)   20,435     310,612
DXP Enterprises, Inc. (A)   2,545     136,743
EVI Industries, Inc.   417     10,383
FTAI Aviation, Ltd.   19,153     1,288,997
GATX Corp.   6,804     911,940
Global Industrial, Inc.   2,510     112,398
GMS, Inc. (A)   7,680     747,571
H&E Equipment Services, Inc.   6,187     397,082
Herc Holdings, Inc.   5,423     912,691
Hudson Technologies, Inc. (A)   8,705     95,842
Karat Packaging, Inc.   1,321     37,794
McGrath RentCorp   4,768     588,228
MRC Global, Inc. (A)   15,946     200,441
Rush Enterprises, Inc., Class A   11,683     625,274
Rush Enterprises, Inc., Class B   1,785     95,123
Titan Machinery, Inc. (A)   4,004     99,339
Transcat, Inc. (A)   1,642     182,968
Willis Lease Finance Corp. (A)   608     30,169
Xometry, Inc., Class A (A)(B)   6,758     114,143
          11,082,141
          89,481,431
Information technology – 14.3%          
Communications equipment – 0.5%      
ADTRAN Holdings, Inc.   16,671     90,690
Aviat Networks, Inc. (A)   2,220     85,115
Calix, Inc. (A)   11,337     375,935
Cambium Networks Corp. (A)   2,878     12,404
Clearfield, Inc. (A)   2,441     75,280
CommScope Holding Company, Inc. (A)   43,742     57,302
Comtech Telecommunications Corp. (A)   6,575     22,552
Digi International, Inc. (A)   6,922     221,019
Extreme Networks, Inc. (A)   23,910     275,921
Harmonic, Inc. (A)   21,046     282,858
Infinera Corp. (A)   39,477     238,046
NETGEAR, Inc. (A)   5,630     88,785
NetScout Systems, Inc. (A)   13,188     288,026
Ribbon Communications, Inc. (A)   16,281     52,099
Viavi Solutions, Inc. (A)   42,918     390,125
          2,556,157
Electronic equipment, instruments and components – 2.6%      
908 Devices, Inc. (A)(B)   4,339     32,759
Advanced Energy Industries, Inc.   7,184     732,624
Aeva Technologies, Inc. (A)   9,656     37,948
Arlo Technologies, Inc. (A)   17,209     217,694
Badger Meter, Inc.   5,655     915,036
Bel Fuse, Inc., Class B   2,108     127,133
Belden, Inc.   8,006     741,436
Benchmark Electronics, Inc.   6,908     207,309
Climb Global Solutions, Inc.   826     58,547
CTS Corp.   5,903     276,201
Daktronics, Inc. (A)   7,523     74,929
ePlus, Inc. (A)   5,109     401,261
Evolv Technologies Holdings, Inc. (A)   23,964     106,640
 
  209  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electronic equipment, instruments and
components (continued)
     
Fabrinet (A)   7,071   $ 1,336,560
FARO Technologies, Inc. (A)   3,763     80,942
Insight Enterprises, Inc. (A)   5,393     1,000,509
Iteris, Inc. (A)   8,679     42,874
Itron, Inc. (A)   8,761     810,568
Kimball Electronics, Inc. (A)   4,613     99,871
Knowles Corp. (A)   17,029     274,167
Lightwave Logic, Inc. (A)(B)   24,182     113,172
Luna Innovations, Inc. (A)   7,290     23,364
Methode Electronics, Inc.   7,161     87,221
MicroVision, Inc. (A)   37,445     68,899
Mirion Technologies, Inc. (A)   38,403     436,642
Napco Security Technologies, Inc.   6,580     264,253
nLight, Inc. (A)   8,833     114,829
Novanta, Inc. (A)   6,858     1,198,573
OSI Systems, Inc. (A)   3,073     438,886
PAR Technology Corp. (A)   5,231     237,278
PC Connection, Inc.   2,179     143,661
Plexus Corp. (A)   5,265     499,227
Richardson Electronics, Ltd.   2,454     22,601
Rogers Corp. (A)   3,323     394,407
Sanmina Corp. (A)   10,636     661,346
ScanSource, Inc. (A)   4,776     210,335
SmartRent, Inc. (A)   36,337     97,383
TTM Technologies, Inc. (A)   19,471     304,721
Vishay Intertechnology, Inc.   24,220     549,310
Vishay Precision Group, Inc. (A)   2,399     84,757
          13,525,873
IT services – 0.4%      
Applied Digital Corp. (A)(B)   15,164     64,902
BigBear.ai Holdings, Inc. (A)(B)   7,248     14,858
BigCommerce Holdings, Inc., Series 1 (A)   13,316     91,747
Brightcove, Inc. (A)   11,168     21,666
Couchbase, Inc. (A)   6,875     180,881
DigitalOcean Holdings, Inc. (A)   11,750     448,615
Fastly, Inc., Class A (A)   23,706     307,467
Grid Dynamics Holdings, Inc. (A)   11,207     137,734
Perficient, Inc. (A)   6,574     370,050
Rackspace Technology, Inc. (A)   6,252     9,878
Squarespace, Inc., Class A (A)   9,906     360,975
The Hackett Group, Inc.   4,940     120,042
Thoughtworks Holding, Inc. (A)   19,472     49,264
Tucows, Inc., Class A (A)(B)   2,224     41,277
Unisys Corp. (A)   13,120     64,419
          2,283,775
Semiconductors and semiconductor equipment – 2.8%      
ACM Research, Inc., Class A (A)   9,469     275,927
Aehr Test Systems (A)(B)   5,432     67,357
Alpha & Omega Semiconductor, Ltd. (A)   4,748     104,646
Ambarella, Inc. (A)   7,469     379,201
Amkor Technology, Inc.   21,507     693,386
Atomera, Inc. (A)(B)   4,991     30,745
Axcelis Technologies, Inc. (A)   6,237     695,550
CEVA, Inc. (A)   4,639     105,352
Cohu, Inc. (A)   8,698     289,904
Credo Technology Group Holding, Ltd. (A)   22,533     477,474
Diodes, Inc. (A)   8,635     608,768
FormFactor, Inc. (A)   14,738     672,495
Ichor Holdings, Ltd. (A)   5,629     217,392
Impinj, Inc. (A)   4,494     577,075
Indie Semiconductor, Inc., Class A (A)   29,973     212,209
inTEST Corp. (A)   2,435     32,264
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
Kulicke & Soffa Industries, Inc.   10,573   $ 531,928
MACOM Technology Solutions Holdings, Inc. (A)   10,632     1,016,844
Maxeon Solar Technologies, Ltd. (A)(B)   5,692     18,954
MaxLinear, Inc. (A)   14,490     270,528
Navitas Semiconductor Corp. (A)   22,107     105,450
NVE Corp.   961     86,663
Onto Innovation, Inc. (A)   9,389     1,700,160
PDF Solutions, Inc. (A)   6,042     203,434
Photronics, Inc. (A)   11,575     327,804
Power Integrations, Inc.   10,836     775,316
Rambus, Inc. (A)   20,650     1,276,377
Semtech Corp. (A)   12,233     336,285
Silicon Laboratories, Inc. (A)   6,090     875,255
SiTime Corp. (A)   3,436     320,338
SkyWater Technology, Inc. (A)   3,755     38,188
SMART Global Holdings, Inc. (A)   9,615     253,067
Synaptics, Inc. (A)   7,569     738,432
Transphorm, Inc. (A)   2,433     11,946
Ultra Clean Holdings, Inc. (A)   8,484     389,755
Veeco Instruments, Inc. (A)   9,683     340,551
          15,057,020
Software – 6.0%      
8x8, Inc. (A)   24,992     67,478
A10 Networks, Inc.   13,754     188,292
ACI Worldwide, Inc. (A)   20,826     691,631
Adeia, Inc.   20,311     221,796
Agilysys, Inc. (A)   3,919     330,215
Alarm.com Holdings, Inc. (A)   9,183     665,492
Alkami Technology, Inc. (A)   7,904     194,201
Altair Engineering, Inc., Class A (A)   10,529     907,073
American Software, Inc., Class A   7,288     83,448
Amplitude, Inc., Class A (A)   13,678     148,817
Appfolio, Inc., Class A (A)   3,691     910,717
Appian Corp., Class A (A)   7,820     312,409
Asana, Inc., Class A (A)   16,229     251,387
Aurora Innovation, Inc. (A)   67,757     191,075
AvePoint, Inc. (A)   29,494     233,592
Bit Digital, Inc. (A)(B)   15,737     45,165
Blackbaud, Inc. (A)   8,351     619,143
Blackline, Inc. (A)   10,915     704,891
Box, Inc., Class A (A)   26,902     761,865
Braze, Inc., Class A (A)   10,273     455,094
c3.ai, Inc., Class A (A)(B)   16,024     433,770
Cerence, Inc. (A)   7,838     123,449
Cipher Mining, Inc. (A)   8,042     41,416
CleanSpark, Inc. (A)   36,459     773,295
Clear Secure, Inc., Class A   16,127     343,021
CommVault Systems, Inc. (A)   8,432     855,258
Consensus Cloud Solutions, Inc. (A)   4,101     65,042
CS Disco, Inc. (A)   5,270     42,845
Digimarc Corp. (A)   2,872     78,061
Digital Turbine, Inc. (A)   20,068     52,578
Domo, Inc., Class B (A)   6,644     59,264
E2open Parent Holdings, Inc. (A)   34,906     154,983
Ebix, Inc. (A)   5,599     5,599
Enfusion, Inc., Class A (A)   7,594     70,245
Envestnet, Inc. (A)   9,610     556,515
Everbridge, Inc. (A)   8,029     279,650
EverCommerce, Inc. (A)   4,958     46,704
Expensify, Inc., Class A (A)   5,330     9,807
Freshworks, Inc., Class A (A)   31,129     566,859
Instructure Holdings, Inc. (A)   4,002     85,563
Intapp, Inc. (A)   6,474     222,058
InterDigital, Inc.   4,929     524,741
 
  210  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
Jamf Holding Corp. (A)   13,499   $ 247,707
Kaltura, Inc. (A)   20,959     28,295
LivePerson, Inc. (A)(B)   14,490     14,452
LiveRamp Holdings, Inc. (A)   12,449     429,491
Marathon Digital Holdings, Inc. (A)   42,455     958,634
Matterport, Inc. (A)   53,805     121,599
MeridianLink, Inc. (A)   4,948     92,528
MicroStrategy, Inc., Class A (A)   2,836     4,834,116
Mitek Systems, Inc. (A)   8,407     118,539
Model N, Inc. (A)   7,687     218,849
N-able, Inc. (A)   13,816     180,575
NextNav, Inc. (A)   10,975     72,216
Olo, Inc., Class A (A)   20,181     110,794
ON24, Inc.   6,065     43,304
OneSpan, Inc. (A)   7,524     87,504
PagerDuty, Inc. (A)   17,115     388,168
PowerSchool Holdings, Inc., Class A (A)   11,076     235,808
Progress Software Corp.   8,418     448,764
PROS Holdings, Inc. (A)   8,492     308,514
Q2 Holdings, Inc. (A)   10,853     570,434
Qualys, Inc. (A)   7,120     1,188,114
Rapid7, Inc. (A)   11,627     570,188
Red Violet, Inc. (A)   2,116     41,368
Rimini Street, Inc. (A)   11,877     38,719
Riot Platforms, Inc. (A)   37,403     457,813
Sapiens International Corp. NV   5,969     191,963
SEMrush Holdings, Inc., Class A (A)   6,062     80,382
SolarWinds Corp. (A)   9,901     124,951
SoundHound AI, Inc., Class A (A)(B)   27,038     159,254
SoundThinking, Inc. (A)   2,149     34,126
Sprinklr, Inc., Class A (A)   20,946     257,007
Sprout Social, Inc., Class A (A)   9,305     555,602
SPS Commerce, Inc. (A)   7,040     1,301,696
Tenable Holdings, Inc. (A)   22,408     1,107,627
TeraWulf, Inc. (A)(B)   26,856     70,631
Varonis Systems, Inc. (A)   20,851     983,542
Verint Systems, Inc. (A)   11,761     389,877
Veritone, Inc. (A)   2,827     14,870
Viant Technology, Inc., Class A (A)   219     2,335
Weave Communications, Inc. (A)   6,579     75,527
Workiva, Inc. (A)   9,534     808,483
Xperi, Inc. (A)   8,353     100,737
Yext, Inc. (A)   20,497     123,597
Zeta Global Holdings Corp., Class A (A)   27,067     295,842
Zuora, Inc., Class A (A)   26,469     241,397
          32,100,443
Technology hardware, storage and peripherals – 2.0%      
Corsair Gaming, Inc. (A)   7,049     86,985
Eastman Kodak Company (A)   12,372     61,241
Immersion Corp. (A)   5,933     44,379
Intevac, Inc. (A)   6,890     26,458
IonQ, Inc. (A)(B)   31,736     317,043
Super Micro Computer, Inc. (A)   9,384     9,478,122
Turtle Beach Corp. (A)   3,233     55,737
Xerox Holdings Corp.   22,246     398,203
          10,468,168
          75,991,436
Materials – 4.3%          
Chemicals – 1.8%      
AdvanSix, Inc.   5,112     146,203
American Vanguard Corp.   5,975     77,376
Arcadium Lithium PLC (A)   196,670     847,648
Aspen Aerogels, Inc. (A)   10,149     178,622
Avient Corp.   17,233     747,912
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Chemicals (continued)      
Balchem Corp.   6,148   $ 952,633
Cabot Corp.   10,353     954,547
Core Molding Technologies, Inc. (A)   1,363     25,802
Danimer Scientific, Inc. (A)   8,866     9,664
Ecovyst, Inc. (A)   18,555     206,888
Hawkins, Inc.   3,680     282,624
HB Fuller Company   10,304     821,641
Ingevity Corp. (A)   7,002     333,995
Innospec, Inc.   4,746     611,949
Intrepid Potash, Inc. (A)   2,276     47,477
Koppers Holdings, Inc.   3,960     218,473
Kronos Worldwide, Inc.   4,254     50,197
LSB Industries, Inc. (A)   10,462     91,856
Mativ Holdings, Inc.   10,202     191,288
Minerals Technologies, Inc.   6,153     463,198
Orion SA   10,415     244,961
Perimeter Solutions SA (A)   28,904     214,468
PureCycle Technologies, Inc. (A)(B)   22,774     141,654
Quaker Chemical Corp.   2,653     544,528
Rayonier Advanced Materials, Inc. (A)   11,964     57,188
Sensient Technologies Corp.   8,079     558,986
Stepan Company   4,085     367,813
Trinseo PLC   7,749     29,291
Tronox Holdings PLC   22,379     388,276
          9,807,158
Construction materials – 0.4%      
Knife River Corp. (A)   10,818     877,123
Summit Materials, Inc., Class A (A)   22,905     1,020,876
United States Lime & Minerals, Inc.   410     122,237
          2,020,236
Containers and packaging – 0.3%      
Greif, Inc., Class A   4,420     305,201
Greif, Inc., Class B   1,137     79,044
Myers Industries, Inc.   7,127     165,133
O-I Glass, Inc. (A)   29,594     490,964
Pactiv Evergreen, Inc.   8,077     115,663
Ranpak Holdings Corp. (A)   8,467     66,635
TriMas Corp.   8,317     222,313
          1,444,953
Metals and mining – 1.7%      
1911 Gold Corp. (A)   5,045     494
5E Advanced Materials, Inc. (A)(B)   7,741     10,373
Alpha Metallurgical Resources, Inc.   2,221     735,529
Arch Resources, Inc.   3,452     555,047
ATI, Inc. (A)   24,694     1,263,592
Caledonia Mining Corp. PLC   2,976     32,944
Carpenter Technology Corp.   9,356     668,206
Century Aluminum Company (A)   10,178     156,639
Coeur Mining, Inc. (A)   63,994     241,257
Commercial Metals Company   22,402     1,316,566
Compass Minerals International, Inc.   6,730     105,930
Constellium SE (A)   24,469     541,010
Contango ORE, Inc. (A)   1,817     36,067
Dakota Gold Corp. (A)   13,589     32,206
Haynes International, Inc.   2,482     149,218
Hecla Mining Company   117,408     564,732
i-80 Gold Corp. (A)   37,518     50,274
Ivanhoe Electric, Inc. (A)   12,472     122,226
Kaiser Aluminum Corp.   2,986     266,829
Materion Corp.   3,897     513,430
Metallus, Inc. (A)   8,100     180,225
Novagold Resources, Inc. (A)   47,220     141,660
Olympic Steel, Inc.   1,872     132,687
Pan American Silver Corp., CVR (A)   88,114     39,475
 
  211  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Metals and mining (continued)      
Perpetua Resources Corp. (A)   7,964   $ 33,130
Piedmont Lithium, Inc. (A)   3,728     49,657
Radius Recycling, Inc.   5,036     106,411
Ramaco Resources, Inc. (A)   4,680     78,811
Ryerson Holding Corp.   5,246     175,741
SunCoke Energy, Inc.   16,482     185,752
Tredegar Corp.   6,562     42,784
Warrior Met Coal, Inc.   9,953     604,147
Worthington Steel, Inc. (A)   6,030     216,176
          9,349,225
Paper and forest products – 0.1%      
Clearwater Paper Corp. (A)   3,281     143,478
Glatfelter Corp. (A)   5,573     11,146
Resolute Forest Products, Inc. (A)(C)   9,238     13,118
Sylvamo Corp.   6,892     425,512
          593,254
          23,214,826
Real estate – 5.4%          
Diversified REITs – 0.5%      
Alexander & Baldwin, Inc.   14,469     238,304
Alpine Income Property Trust, Inc.   2,012     30,743
American Assets Trust, Inc.   9,368     205,253
Armada Hoffler Properties, Inc.   13,546     140,878
Broadstone Net Lease, Inc.   35,507     556,395
CTO Realty Growth, Inc.   4,914     83,292
Empire State Realty Trust, Inc., Class A   24,662     249,826
Essential Properties Realty Trust, Inc.   29,767     793,588
Gladstone Commercial Corp.   7,334     101,503
Global Net Lease, Inc.   36,580     284,227
NexPoint Diversified Real Estate Trust   7,334     48,404
One Liberty Properties, Inc.   2,675     60,428
          2,792,841
Health care REITs – 0.5%      
CareTrust REIT, Inc.   19,527     475,873
Community Healthcare Trust, Inc.   5,486     145,653
Diversified Healthcare Trust   47,302     116,363
Global Medical REIT, Inc.   11,897     104,099
LTC Properties, Inc.   7,888     256,439
National Health Investors, Inc.   7,923     497,802
Sabra Health Care REIT, Inc.   44,552     658,033
Universal Health Realty Income Trust   2,503     91,885
          2,346,147
Hotel and resort REITs – 0.8%      
Apple Hospitality REIT, Inc.   41,275     676,085
Braemar Hotels & Resorts, Inc.   16,191     32,382
Chatham Lodging Trust   9,463     95,671
DiamondRock Hospitality Company   40,584     390,012
Pebblebrook Hotel Trust   22,717     350,069
RLJ Lodging Trust   29,106     344,033
Ryman Hospitality Properties, Inc.   11,202     1,295,063
Service Properties Trust   32,344     219,292
Summit Hotel Properties, Inc.   20,527     133,631
Sunstone Hotel Investors, Inc.   39,865     444,096
Xenia Hotels & Resorts, Inc.   20,218     303,472
          4,283,806
Industrial REITs – 0.4%      
Innovative Industrial Properties, Inc.   5,329     551,765
LXP Industrial Trust   56,328     508,079
Plymouth Industrial REIT, Inc.   9,119     205,178
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Industrial REITs (continued)      
Terreno Realty Corp.   16,150   $ 1,072,360
          2,337,382
Office REITs – 0.7%      
Brandywine Realty Trust   32,518     156,086
City Office REIT, Inc.   7,614     39,669
COPT Defense Properties   21,759     525,915
Douglas Emmett, Inc.   30,848     427,862
Easterly Government Properties, Inc.   18,469     212,578
Equity Commonwealth (A)   20,179     380,980
Hudson Pacific Properties, Inc.   27,162     175,195
JBG SMITH Properties   17,699     284,069
Office Properties Income Trust   10,792     22,016
Orion Office REIT, Inc.   10,849     38,080
Paramount Group, Inc.   36,389     170,664
Peakstone Realty Trust   6,695     107,990
Piedmont Office Realty Trust, Inc., Class A   24,137     169,683
Postal Realty Trust, Inc., Class A   3,350     47,972
SL Green Realty Corp.   12,436     685,597
          3,444,356
Real estate management and development – 0.6%      
Anywhere Real Estate, Inc. (A)   20,167     124,632
Compass, Inc., Class A (A)   56,374     202,946
Cushman & Wakefield PLC (A)   31,473     329,208
DigitalBridge Group, Inc.   31,088     599,066
Douglas Elliman, Inc. (A)   18,235     28,811
eXp World Holdings, Inc. (B)   13,437     138,804
Forestar Group, Inc. (A)   3,521     141,509
FRP Holdings, Inc. (A)   1,411     86,635
Kennedy-Wilson Holdings, Inc.   23,383     200,626
Marcus & Millichap, Inc.   4,778     163,264
Maui Land & Pineapple Company, Inc. (A)   1,950     42,237
Newmark Group, Inc., Class A   25,795     286,067
Opendoor Technologies, Inc. (A)   109,495     331,770
RE/MAX Holdings, Inc., Class A   3,394     29,765
Redfin Corp. (A)   22,124     147,125
Tejon Ranch Company (A)   5,316     81,920
The RMR Group, Inc., Class A   3,094     74,256
The St. Joe Company   6,634     384,573
          3,393,214
Residential REITs – 0.4%      
Apartment Investment and Management Company, Class A (A)   28,323     231,965
BRT Apartments Corp.   3,021     50,753
Centerspace   2,984     170,506
Elme Communities   16,702     232,492
Independence Realty Trust, Inc.   43,824     706,881
NexPoint Residential Trust, Inc.   4,502     144,919
UMH Properties, Inc.   11,717     190,284
Veris Residential, Inc.   14,979     227,831
          1,955,631
Retail REITs – 1.1%      
Acadia Realty Trust   18,514     314,923
Alexander's, Inc.   440     95,542
CBL & Associates Properties, Inc.   5,232     119,865
Getty Realty Corp.   9,328     255,121
InvenTrust Properties Corp.   13,171     338,626
Kite Realty Group Trust   41,989     910,322
NETSTREIT Corp.   13,372     245,644
Phillips Edison & Company, Inc.   23,055     826,983
Retail Opportunity Investments Corp.   23,322     298,988
Saul Centers, Inc.   2,600     100,074
SITE Centers Corp.   36,477     534,388
 
  212  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Retail REITs (continued)      
Tanger, Inc.   19,810   $ 584,989
The Macerich Company   41,515     715,303
Urban Edge Properties   22,346     385,915
Whitestone REIT   7,815     98,078
          5,824,761
Specialized REITs – 0.4%      
Farmland Partners, Inc.   8,538     94,772
Four Corners Property Trust, Inc.   17,609     430,892
Gladstone Land Corp.   6,793     90,619
Outfront Media, Inc.   28,085     471,547
PotlatchDeltic Corp.   15,262     717,619
Safehold, Inc.   9,074     186,924
Uniti Group, Inc.   45,636     269,252
          2,261,625
          28,639,763
Utilities – 2.4%          
Electric utilities – 0.6%      
ALLETE, Inc.   11,039     658,366
Genie Energy, Ltd., B Shares   3,869     58,345
MGE Energy, Inc.   7,145     562,454
Otter Tail Corp.   7,926     684,806
PNM Resources, Inc.   16,407     617,559
Portland General Electric Company   19,432     816,144
          3,397,674
Gas utilities – 0.8%      
Brookfield Infrastructure Corp., Class A   23,037     830,253
Chesapeake Utilities Corp.   4,157     446,046
New Jersey Resources Corp.   18,580     797,268
Northwest Natural Holding Company   7,080     263,518
ONE Gas, Inc.   10,559     681,372
RGC Resources, Inc.   1,772     35,865
Southwest Gas Holdings, Inc.   11,889     905,110
Spire, Inc.   9,886     606,704
          4,566,136
Independent power and renewable electricity producers –
0.2%
     
Altus Power, Inc. (A)   12,772     61,050
Montauk Renewables, Inc. (A)   14,986     62,342
Ormat Technologies, Inc.   10,326     683,478
Sunnova Energy International, Inc. (A)(B)   21,020     128,853
          935,723
Multi-utilities – 0.4%      
Avista Corp.   14,596     511,152
Black Hills Corp.   12,932     706,087
Northwestern Energy Group, Inc.   11,613     591,450
Unitil Corp.   3,112     162,913
          1,971,602
Water utilities – 0.4%      
American States Water Company   7,068     510,592
Small Cap Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Water utilities (continued)      
Artesian Resources Corp., Class A   1,982   $ 73,552
Cadiz, Inc. (A)   10,212     29,615
California Water Service Group   11,093     515,603
Consolidated Water Company, Ltd.   2,882     84,471
Global Water Resources, Inc.   2,310     29,660
Middlesex Water Company   3,418     179,445
Pure Cycle Corp. (A)   5,271     50,075
SJW Group   5,973     338,012
The York Water Company   2,832     102,717
          1,913,742
          12,784,877
TOTAL COMMON STOCKS (Cost $402,307,098)   $ 510,643,149
RIGHTS – 0.0%          
Empire Petroleum Corp. (Expiration Date: 4-10-24; Strike Price: $5.00) (A)   3,180     0
TOTAL RIGHTS (Cost $0)   $ 0
WARRANTS – 0.0%          
Cassava Sciences, Inc. (Expiration Date: 11-15-24; Strike Price: $33.00) (A)   3,318     13,372
Nabors Industries, Ltd. (Expiration Date: 6-11-26; Strike Price: $166.67) (A)   668     5,478
TOTAL WARRANTS (Cost $0)   $ 18,850
SHORT-TERM INVESTMENTS – 4.7%      
Short-term funds – 4.7%          
John Hancock Collateral Trust, 5.2975% (D)(E)   2,489,569     24,889,221
TOTAL SHORT-TERM INVESTMENTS (Cost $24,896,097)   $ 24,889,221
Total Investments (Small Cap Index Trust)
(Cost $427,203,195) – 100.5%
  $ 535,551,220
Other assets and liabilities, net – (0.5%)     (2,797,872)
TOTAL NET ASSETS – 100.0%   $ 532,753,348
Security Abbreviations and Legend
CVR Contingent Value Right
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $5,370,326. In addition to the cash collateral invested in John Hancock Collateral Trust, if any, non-cash collateral of $1,660,827 in the form of U.S. Treasuries was pledged to the fund.
(C) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(D) The rate shown is the annualized seven-day yield as of 3-31-24.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. A portion of this security represents the investment of cash collateral received for securities lending. Market value of this investment amounted to $3,946,850.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Russell 2000 E-Mini Index Futures 218 Long Jun 2024 $22,787,547 $23,390,310 $602,763
            $602,763
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
  213  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.9%      
Communication services – 2.1%          
Diversified telecommunication services – 0.3%      
ATN International, Inc.   1,281   $ 40,358
Bandwidth, Inc., Class A (A)   831     15,174
Communications Systems, Inc. (A)(B)   450     549
Consolidated Communications Holdings, Inc. (A)   4,985     21,535
Frontier Communications Parent, Inc. (A)   9,484     232,358
GCI Liberty, Inc. (A)(B)   4,508     0
Liberty Global, Ltd., Class A (A)   653     11,049
Liberty Global, Ltd., Class C (A)   587     10,355
Liberty Latin America, Ltd., Class A (A)   4,204     29,302
Liberty Latin America, Ltd., Class C (A)   11,346     79,309
Lumen Technologies, Inc. (A)   22,539     35,161
Shenandoah Telecommunications Company   3,663     63,626
          538,776
Entertainment – 0.2%      
IMAX Corp. (A)   796     12,871
Liberty Media Corp.-Liberty Live, Series A (A)   94     3,981
Liberty Media Corp.-Liberty Live, Series C (A)   89     3,900
Lions Gate Entertainment Corp., Class B (A)   9,367     87,207
Madison Square Garden Entertainment Corp. (A)   1,748     68,539
Reading International, Inc., Class A (A)   1,100     2,024
Sphere Entertainment Company (A)   2,347     115,191
The Marcus Corp.   2,916     41,582
          335,295
Interactive media and services – 0.2%      
Bumble, Inc., Class A (A)   11,341     128,720
Cars.com, Inc. (A)   6,762     116,171
DHI Group, Inc. (A)   5,212     13,291
TrueCar, Inc. (A)   8,052     27,296
Ziff Davis, Inc. (A)   1,371     86,428
          371,906
Media – 1.2%      
Advantage Solutions, Inc. (A)   9,240     40,009
AMC Networks, Inc., Class A (A)   2,542     30,834
Boston Omaha Corp., Class A (A)   2,031     31,399
Cable One, Inc.   81     34,274
comScore, Inc. (A)   142     2,187
Cumulus Media, Inc., Class A (A)   1,193     4,283
Daily Journal Corp. (A)   41     14,826
EchoStar Corp., Class A (A)   4,818     68,657
Entravision Communications Corp., Class A   5,075     8,323
Gannett Company, Inc. (A)   12,679     30,937
Gray Television, Inc.   6,546     41,371
Integral Ad Science Holding Corp. (A)   2,369     23,619
John Wiley & Sons, Inc., Class A   2,970     113,246
Liberty Broadband Corp., Series A (A)   475     27,132
Liberty Broadband Corp., Series C (A)   4,685     268,123
Liberty Media Corp.-Liberty SiriusXM, Series A (A)   4,841     143,778
Liberty Media Corp.-Liberty SiriusXM, Series C (A)   5,568     165,425
Magnite, Inc. (A)   8,348     89,741
Nexstar Media Group, Inc.   1,995     343,719
PubMatic, Inc., Class A (A)   1,596     37,857
Scholastic Corp.   2,790     105,211
Sinclair, Inc.   1,410     18,993
TEGNA, Inc.   9,600     143,424
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Media (continued)      
The EW Scripps Company, Class A (A)   5,843   $ 22,963
The Interpublic Group of Companies, Inc.   2,411     78,671
Thryv Holdings, Inc. (A)   2,842     63,178
Urban One, Inc., Class D (A)   3,100     6,324
WideOpenWest, Inc. (A)   1,042     3,772
          1,962,276
Wireless telecommunication services – 0.2%      
Spok Holdings, Inc.   2,056     32,793
Telephone & Data Systems, Inc.   7,131     114,239
United States Cellular Corp. (A)   3,882     141,693
          288,725
          3,496,978
Consumer discretionary – 15.7%          
Automobile components – 2.2%      
Adient PLC (A)   6,695     220,399
American Axle & Manufacturing Holdings, Inc. (A)   9,766     71,878
BorgWarner, Inc.   15,544     539,999
Cooper-Standard Holdings, Inc. (A)   1,311     21,710
Dana, Inc.   12,211     155,080
Dorman Products, Inc. (A)   6,048     582,967
Fox Factory Holding Corp. (A)   8,711     453,582
LCI Industries   1,659     204,157
Lear Corp.   1,270     183,998
Modine Manufacturing Company (A)   4,925     468,811
Motorcar Parts of America, Inc. (A)   1,585     12,743
Patrick Industries, Inc.   2,235     267,015
PHINIA, Inc.   3,108     119,440
Standard Motor Products, Inc.   1,901     63,779
Stoneridge, Inc. (A)   1,672     30,832
Strattec Security Corp. (A)   924     21,927
The Goodyear Tire & Rubber Company (A)   22,263     305,671
          3,723,988
Automobiles – 0.5%      
Harley-Davidson, Inc.   7,860     343,796
Thor Industries, Inc.   2,658     311,890
Winnebago Industries, Inc.   2,220     164,280
          819,966
Broadline retail – 0.3%      
Big Lots, Inc. (A)   2,901     12,561
Kohl's Corp.   8,128     236,931
Macy's, Inc.   17,886     357,541
          607,033
Distributors – 0.0%      
Weyco Group, Inc.   1,316     41,954
Diversified consumer services – 1.5%      
ADT, Inc.   14,064     94,510
Adtalem Global Education, Inc. (A)   4,671     240,089
American Public Education, Inc. (A)   1,450     20,590
Chegg, Inc. (A)   7,137     54,027
Graham Holdings Company, Class B   347     266,385
Grand Canyon Education, Inc. (A)   7,952     1,083,142
Laureate Education, Inc.   10,639     155,010
Lincoln Educational Services Corp. (A)   1,100     11,363
OneSpaWorld Holdings, Ltd. (A)   900     11,907
Perdoceo Education Corp.   6,679     117,283
Strategic Education, Inc.   1,856     193,247
Stride, Inc. (A)   2,888     182,088
 
  214  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified consumer services (continued)      
Universal Technical Institute, Inc. (A)   3,087   $ 49,207
          2,478,848
Hotels, restaurants and leisure – 1.2%      
Ark Restaurants Corp.   64     899
Bally's Corp. (A)   1,300     18,122
Biglari Holdings, Inc., Class A (A)   3     2,775
Biglari Holdings, Inc., Class B (A)   102     19,347
BJ's Restaurants, Inc. (A)   1,781     64,437
Carrols Restaurant Group, Inc.   1,688     16,053
Chuy's Holdings, Inc. (A)   20,122     678,715
El Pollo Loco Holdings, Inc. (A)   2,613     25,451
First Watch Restaurant Group, Inc. (A)   5,900     145,258
Hilton Grand Vacations, Inc. (A)   324     15,296
Krispy Kreme, Inc.   27,655     421,324
Marriott Vacations Worldwide Corp.   1,475     158,902
Monarch Casino & Resort, Inc.   1,074     80,539
Penn Entertainment, Inc. (A)   9,680     176,273
Playa Hotels & Resorts NV (A)   13,271     128,729
RCI Hospitality Holdings, Inc.   396     22,968
          1,975,088
Household durables – 4.1%      
Bassett Furniture Industries, Inc.   1,234     18,214
Beazer Homes USA, Inc. (A)   3,089     101,319
Cavco Industries, Inc. (A)   882     351,971
Century Communities, Inc.   3,320     320,380
Ethan Allen Interiors, Inc.   2,768     95,690
Flexsteel Industries, Inc.   1,118     41,701
GoPro, Inc., Class A (A)   10,155     22,646
Green Brick Partners, Inc. (A)   2,414     145,395
Helen of Troy, Ltd. (A)   1,240     142,898
Hooker Furnishings Corp.   1,821     43,722
Hovnanian Enterprises, Inc., Class A (A)   292     45,826
KB Home   6,043     428,328
La-Z-Boy, Inc.   3,404     128,058
Legacy Housing Corp. (A)   1,185     25,501
LGI Homes, Inc. (A)   1,611     187,472
Lifetime Brands, Inc.   2,931     30,717
M/I Homes, Inc. (A)   2,195     299,157
MDC Holdings, Inc.   442     27,806
Meritage Homes Corp.   2,251     394,960
Mohawk Industries, Inc. (A)   3,830     501,309
Newell Brands, Inc.   27,248     218,801
Taylor Morrison Home Corp. (A)   7,865     488,967
Toll Brothers, Inc.   7,132     922,667
TopBuild Corp. (A)   2,701     1,190,412
Tri Pointe Homes, Inc. (A)   9,765     377,515
Universal Electronics, Inc. (A)   745     7,457
VOXX International Corp. (A)   3,131     25,549
Whirlpool Corp.   100     11,963
Worthington Enterprises, Inc.   3,451     214,756
          6,811,157
Leisure products – 0.6%      
American Outdoor Brands, Inc. (A)   1,873     16,482
AMMO, Inc. (A)   4,648     12,782
Brunswick Corp.   2,490     240,335
Escalade, Inc.   2,724     37,455
Funko, Inc., Class A (A)   2,763     17,241
Hasbro, Inc.   814     46,007
Johnson Outdoors, Inc., Class A   934     43,067
Malibu Boats, Inc., Class A (A)   1,146     49,599
Smith & Wesson Brands, Inc.   4,844     84,092
Solo Brands, Inc., Class A (A)   2,350     5,100
Topgolf Callaway Brands Corp. (A)   15,591     252,106
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Leisure products (continued)      
Vista Outdoor, Inc. (A)   4,878   $ 159,901
          964,167
Specialty retail – 4.3%      
1-800-Flowers.com, Inc., Class A (A)   3,196     34,613
Abercrombie & Fitch Company, Class A (A)   5,081     636,802
Academy Sports & Outdoors, Inc.   5,898     398,351
American Eagle Outfitters, Inc.   16,951     437,166
America's Car-Mart, Inc. (A)   565     36,087
Asbury Automotive Group, Inc. (A)   1,440     339,523
AutoNation, Inc. (A)   1,928     319,238
Barnes & Noble Education, Inc. (A)   4,024     2,914
Big 5 Sporting Goods Corp. (C)   2,004     7,054
Caleres, Inc.   3,065     125,757
Citi Trends, Inc. (A)   367     9,957
Conn's, Inc. (A)   2,177     7,293
Designer Brands, Inc., Class A   2,923     31,948
Destination XL Group, Inc. (A)   2,471     8,896
Duluth Holdings, Inc., Class B (A)   1,106     5,419
Foot Locker, Inc.   6,590     187,815
Genesco, Inc. (A)   1,311     36,892
Group 1 Automotive, Inc.   1,352     395,095
GrowGeneration Corp. (A)   2,529     7,233
Guess?, Inc.   5,350     168,365
Haverty Furniture Companies, Inc.   1,613     55,036
Hibbett, Inc.   1,098     84,337
Lands' End, Inc. (A)   2,354     25,635
Lithia Motors, Inc.   3,713     1,117,093
LL Flooring Holdings, Inc. (A)   1,480     2,708
MarineMax, Inc. (A)   2,016     67,052
Monro, Inc.   1,908     60,178
National Vision Holdings, Inc. (A)   2,363     52,364
Penske Automotive Group, Inc.   3,586     580,896
Petco Health & Wellness Company, Inc. (A)   1,412     3,219
PetMed Express, Inc.   654     3,133
Revolve Group, Inc. (A)   19,780     418,743
Shoe Carnival, Inc.   2,304     84,419
Signet Jewelers, Ltd.   3,675     367,757
Sonic Automotive, Inc., Class A   1,892     107,730
Sportsman's Warehouse Holdings, Inc. (A)   3,273     10,179
Stitch Fix, Inc., Class A (A)   3,724     9,831
The Aaron's Company, Inc.   1,356     10,170
The Cato Corp., Class A   1,957     11,292
The Container Store Group, Inc. (A)   3,997     4,557
The Gap, Inc.   16,361     450,746
The ODP Corp. (A)   3,276     173,792
Tilly's, Inc., Class A (A)   712     4,842
Upbound Group, Inc.   4,226     148,797
Urban Outfitters, Inc. (A)   1,376     59,746
Zumiez, Inc. (A)   1,822     27,676
          7,138,346
Textiles, apparel and luxury goods – 1.0%      
Capri Holdings, Ltd. (A)   2,090     94,677
Culp, Inc. (A)   334     1,603
Delta Apparel, Inc. (A)   500     1,495
Fossil Group, Inc. (A)   3,231     3,296
G-III Apparel Group, Ltd. (A)   3,404     98,750
Lakeland Industries, Inc.   1,110     20,313
Movado Group, Inc.   1,758     49,101
Oxford Industries, Inc.   5,515     619,886
Peace Mark Holdings, Ltd. (A)(B)   464,000     0
PVH Corp.   4,130     580,719
Rocky Brands, Inc.   802     21,758
 
  215  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Textiles, apparel and luxury goods (continued)      
Superior Group of Companies, Inc.   663   $ 10,953
Under Armour, Inc., Class A (A)   9,493     70,058
Under Armour, Inc., Class C (A)   9,336     66,659
Unifi, Inc. (A)   2,453     14,693
Vera Bradley, Inc. (A)   2,034     13,831
VF Corp.   2,901     44,501
          1,712,293
          26,272,840
Consumer staples – 2.4%          
Beverages – 0.1%      
MGP Ingredients, Inc.   571     49,180
The Duckhorn Portfolio, Inc. (A)   5,466     50,888
          100,068
Consumer staples distribution and retail – 0.6%      
Grocery Outlet Holding Corp. (A)   6,787     195,330
Ingles Markets, Inc., Class A   1,365     104,668
Natural Grocers by Vitamin Cottage, Inc.   1,014     18,303
PriceSmart, Inc.   2,423     203,532
SpartanNash Company   3,523     71,200
The Andersons, Inc.   3,384     194,140
U.S. Foods Holding Corp. (A)   853     46,036
United Natural Foods, Inc. (A)   4,429     50,889
Village Super Market, Inc., Class A   685     19,598
Weis Markets, Inc.   2,717     174,975
          1,078,671
Food products – 1.1%      
Alico, Inc.   650     19,032
B&G Foods, Inc.   1,941     22,205
Calavo Growers, Inc.   731     20,329
Cal-Maine Foods, Inc.   4,370     257,175
Darling Ingredients, Inc. (A)   2,306     107,252
Farmer Brothers Company (A)   1,069     3,816
Fresh Del Monte Produce, Inc.   3,959     102,578
Ingredion, Inc.   2,639     308,367
Limoneira Company   2,147     41,995
Mission Produce, Inc. (A)   1,134     13,461
Post Holdings, Inc. (A)   4,233     449,883
Seaboard Corp.   58     186,987
Seneca Foods Corp., Class A (A)   626     35,619
The Hain Celestial Group, Inc. (A)   4,728     37,162
The Simply Good Foods Company (A)   3,540     120,466
Tootsie Roll Industries, Inc.   380     12,171
TreeHouse Foods, Inc. (A)   4,435     172,743
Whole Earth Brands, Inc. (A)   1,600     7,728
          1,918,969
Household products – 0.3%      
Central Garden & Pet Company (A)   1,553     66,515
Central Garden & Pet Company, Class A (A)   4,498     166,066
Oil-Dri Corp. of America   531     39,591
Spectrum Brands Holdings, Inc.   2,746     244,421
          516,593
Personal care products – 0.2%      
Edgewell Personal Care Company   4,648     179,599
Natural Alternatives International, Inc. (A)   200     1,218
Nature's Sunshine Products, Inc. (A)   1,118     23,221
Nu Skin Enterprises, Inc., Class A   2,988     41,324
The Honest Company, Inc. (A)   4,669     18,909
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Personal care products (continued)      
USANA Health Sciences, Inc. (A)   245   $ 11,883
          276,154
Tobacco – 0.1%      
Universal Corp.   1,975     102,147
          3,992,602
Energy – 8.8%          
Energy equipment and services – 1.8%      
Archrock, Inc.   1,746     34,344
Bristow Group, Inc. (A)   2,307     62,750
ChampionX Corp.   21,435     769,302
Dril-Quip, Inc. (A)   2,878     64,841
Expro Group Holdings NV (A)   1,587     31,692
Forum Energy Technologies, Inc. (A)   377     7,532
Geospace Technologies Corp. (A)   516     6,806
Gulf Island Fabrication, Inc. (A)   3,019     22,190
Helix Energy Solutions Group, Inc. (A)   14,183     153,744
Helmerich & Payne, Inc.   6,377     268,217
Liberty Energy, Inc.   12,732     263,807
Nabors Industries, Ltd. (A)   530     45,649
Natural Gas Services Group, Inc. (A)   2,620     50,907
Newpark Resources, Inc. (A)   6,750     48,735
NOV, Inc.   17,759     346,656
Oil States International, Inc. (A)   4,041     24,893
Patterson-UTI Energy, Inc.   1,792     21,396
ProPetro Holding Corp. (A)   9,437     76,251
RPC, Inc.   18,389     142,331
SEACOR Marine Holdings, Inc. (A)   2,432     33,902
Seadrill, Ltd. (A)   290     14,587
Select Water Solutions, Inc.   7,658     70,683
Solaris Oilfield Infrastructure, Inc., Class A   1,100     9,537
Transocean, Ltd. (A)   48,808     306,514
U.S. Silica Holdings, Inc. (A)   7,085     87,925
          2,965,191
Oil, gas and consumable fuels – 7.0%      
Adams Resources & Energy, Inc.   482     13,978
Antero Resources Corp. (A)   16,011     464,319
Ardmore Shipping Corp.   3,297     54,137
Berry Corp.   5,062     40,749
California Resources Corp.   5,201     286,575
Callon Petroleum Company (A)   5,698     203,760
Chesapeake Energy Corp.   4,129     366,779
Chord Energy Corp.   1,901     338,834
Civitas Resources, Inc.   486     36,892
Clean Energy Fuels Corp. (A)   20,254     54,281
CNX Resources Corp. (A)   15,590     369,795
Comstock Resources, Inc.   11,791     109,420
CONSOL Energy, Inc.   3,206     268,535
Delek US Holdings, Inc.   6,133     188,528
DHT Holdings, Inc.   15,373     176,790
Dorian LPG, Ltd.   3,417     131,418
DT Midstream, Inc.   5,659     345,765
Evolution Petroleum Corp.   1,700     10,438
FutureFuel Corp.   4,276     34,422
Green Plains, Inc. (A)   3,377     78,076
Hallador Energy Company (A)   1,635     8,715
HF Sinclair Corp.   10,648     642,820
International Seaways, Inc.   3,851     204,873
Magnolia Oil & Gas Corp., Class A   29,636     769,054
Matador Resources Company   18,714     1,249,534
Murphy Oil Corp.   10,625     485,563
NACCO Industries, Inc., Class A   700     21,140
Nordic American Tankers, Ltd.   14,173     55,558
Northern Oil and Gas, Inc.   817     32,419
 
  216  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Overseas Shipholding Group, Inc., Class A   5,561   $ 35,590
Ovintiv, Inc.   5,307     275,433
PBF Energy, Inc., Class A   9,233     531,544
Peabody Energy Corp.   9,665     234,473
Permian Resources Corp.   73,245     1,293,507
PHX Minerals, Inc.   557     1,899
Range Resources Corp.   10,799     371,810
REX American Resources Corp. (A)   1,688     99,102
Riley Exploration Permian, Inc.   491     16,203
SandRidge Energy, Inc.   3,343     48,708
Scorpio Tankers, Inc.   4,270     305,519
SFL Corp., Ltd.   10,526     138,733
Sitio Royalties Corp., Class A   914     22,594
SM Energy Company   7,412     369,488
Southwestern Energy Company (A)   53,266     403,756
Talos Energy, Inc. (A)   8,311     115,772
Teekay Corp. (A)   5,602     40,783
Teekay Tankers, Ltd., Class A   2,780     162,380
Vitesse Energy, Inc.   1,343     31,869
World Kinect Corp.   5,267     139,312
          11,681,642
          14,646,833
Financials – 21.1%          
Banks – 12.2%      
1st Source Corp.   2,362     123,816
ACNB Corp.   394     14,814
Amalgamated Financial Corp.   2,221     53,304
Amerant Bancorp, Inc.   2,770     64,513
American National Bankshares, Inc.   991     47,330
Ameris Bancorp   14,627     707,654
Ames National Corp.   500     10,090
Arrow Financial Corp.   1,150     28,773
Associated Banc-Corp.   14,499     311,873
Atlantic Union Bankshares Corp.   7,632     269,486
Axos Financial, Inc. (A)   5,257     284,088
Banc of California, Inc.   10,927     166,200
Bank of Marin Bancorp   1,851     31,041
Bank OZK   9,354     425,233
BankFinancial Corp.   2,146     22,533
BankUnited, Inc.   7,029     196,812
Bankwell Financial Group, Inc.   400     10,376
Banner Corp.   3,379     162,192
Bar Harbor Bankshares   1,690     44,751
BayCom Corp.   1,125     23,186
BCB Bancorp, Inc.   1,477     15,435
Berkshire Hills Bancorp, Inc.   4,838     110,887
Blue Foundry Bancorp (A)   912     8,536
Blue Ridge Bankshares, Inc.   682     1,835
BOK Financial Corp.   5,102     469,384
Bridgewater Bancshares, Inc. (A)   798     9,289
Brookline Bancorp, Inc.   7,292     72,628
Business First Bancshares, Inc.   1,362     30,345
Byline Bancorp, Inc.   3,345     72,653
C&F Financial Corp.   627     30,723
Cadence Bank   13,177     382,133
Cambridge Bancorp   121     8,247
Camden National Corp.   1,722     57,721
Capital City Bank Group, Inc.   1,865     51,661
Capitol Federal Financial, Inc.   11,378     67,813
Capstar Financial Holdings, Inc.   972     19,537
Carter Bankshares, Inc. (A)   1,494     18,884
Cathay General Bancorp   7,390     279,564
Central Pacific Financial Corp.   2,460     48,585
Chemung Financial Corp.   723     30,713
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Citizens & Northern Corp.   960   $ 18,029
Civista Bancshares, Inc.   1,114     17,133
CNB Financial Corp.   1,562     31,849
Colony Bankcorp, Inc.   959     11,029
Comerica, Inc.   6,128     336,979
Community Bank System, Inc.   4,349     208,882
Community Trust Bancorp, Inc.   1,615     68,880
Community West Bancshares   600     11,934
ConnectOne Bancorp, Inc.   2,683     52,319
CrossFirst Bankshares, Inc. (A)   3,053     42,254
Customers Bancorp, Inc. (A)   2,568     136,258
CVB Financial Corp.   7,286     129,982
Dime Community Bancshares, Inc.   3,811     73,400
Eagle Bancorp, Inc.   2,765     64,950
Eastern Bankshares, Inc.   3,103     42,759
Enterprise Bancorp, Inc.   246     6,389
Enterprise Financial Services Corp.   3,028     122,816
Equity Bancshares, Inc., Class A   1,442     49,562
ESSA Bancorp, Inc.   897     16,352
Evans Bancorp, Inc.   380     11,347
Farmers National Banc Corp.   1,865     24,916
FB Financial Corp.   3,353     126,274
Financial Institutions, Inc.   1,481     27,872
First Bancorp (North Carolina)   3,759     135,775
First Bancorp (Puerto Rico)   16,660     292,216
First Bank   900     12,366
First Busey Corp.   4,369     105,074
First Business Financial Services, Inc.   1,366     51,225
First Commonwealth Financial Corp.   8,341     116,107
First Community Bankshares, Inc.   2,201     76,221
First Financial Bancorp   8,400     188,328
First Financial Corp.   1,432     54,889
First Financial Northwest, Inc.   1,100     22,616
First Foundation, Inc.   4,373     33,016
First Hawaiian, Inc.   9,183     201,659
First Horizon Corp.   25,469     392,223
First Internet Bancorp   777     26,993
First Interstate BancSystem, Inc., Class A   4,845     131,832
First Merchants Corp.   5,458     190,484
First Mid Bancshares, Inc.   1,570     51,308
First Northwest Bancorp   800     12,520
First Western Financial, Inc. (A)   421     6,138
Flushing Financial Corp.   2,921     36,834
FNB Corp.   25,636     361,468
FS Bancorp, Inc.   400     13,884
Fulton Financial Corp.   13,791     219,139
German American Bancorp, Inc.   1,155     40,009
Great Southern Bancorp, Inc.   1,117     61,234
Guaranty Bancshares, Inc.   693     21,039
Hancock Whitney Corp.   7,556     347,878
Hanmi Financial Corp.   3,082     49,065
HarborOne Bancorp, Inc.   4,217     44,953
Heartland Financial USA, Inc.   3,376     118,666
Heritage Commerce Corp.   5,322     45,663
Heritage Financial Corp.   2,815     54,583
Hilltop Holdings, Inc.   4,528     141,817
Home Bancorp, Inc.   902     34,556
Home BancShares, Inc.   5,517     135,553
HomeStreet, Inc.   1,802     27,120
HomeTrust Bancshares, Inc.   560     15,310
Hope Bancorp, Inc.   10,431     120,061
Horizon Bancorp, Inc.   4,654     59,711
Independent Bank Corp. (Massachusetts)   2,735     142,275
Independent Bank Corp. (Michigan)   1,806     45,782
 
  217  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Independent Bank Group, Inc.   3,460   $ 157,949
International Bancshares Corp.   4,680     262,735
Investar Holding Corp.   500     8,180
Kearny Financial Corp.   6,261     40,321
Lakeland Bancorp, Inc.   5,402     65,364
LCNB Corp.   600     9,564
Live Oak Bancshares, Inc.   752     31,216
Macatawa Bank Corp.   5,091     49,841
Mercantile Bank Corp.   1,666     64,124
Metrocity Bankshares, Inc.   637     15,900
Metropolitan Bank Holding Corp. (A)   762     29,337
Mid Penn Bancorp, Inc.   1,196     23,932
Midland States Bancorp, Inc.   1,553     39,027
MidWestOne Financial Group, Inc.   1,343     31,480
MVB Financial Corp.   300     6,693
National Bank Holdings Corp., Class A   1,336     48,190
National Bankshares, Inc.   622     20,781
NBT Bancorp, Inc.   3,950     144,886
Nicolet Bankshares, Inc.   928     79,799
Northeast Bank   770     42,612
Northfield Bancorp, Inc.   4,825     46,899
Northrim BanCorp, Inc.   647     32,680
Northwest Bancshares, Inc.   9,669     112,644
Norwood Financial Corp.   1,188     32,325
OceanFirst Financial Corp.   5,012     82,247
OFG Bancorp   4,124     151,804
Old National Bancorp   19,537     340,139
Old Second Bancorp, Inc.   3,374     46,696
OP Bancorp   1,000     9,980
Origin Bancorp, Inc.   1,486     46,423
Orrstown Financial Services, Inc.   500     13,385
Pacific Premier Bancorp, Inc.   7,695     184,680
Pathward Financial, Inc.   1,912     96,518
PCB Bancorp   836     13,652
Peapack-Gladstone Financial Corp.   1,625     39,536
Penns Woods Bancorp, Inc.   1,188     23,059
Peoples Bancorp, Inc.   2,883     85,366
Pinnacle Financial Partners, Inc.   9,750     837,330
Popular, Inc.   5,455     480,531
Preferred Bank   672     51,589
Premier Financial Corp.   2,871     58,281
Primis Financial Corp.   3,850     46,855
Prosperity Bancshares, Inc.   6,242     410,599
Provident Financial Holdings, Inc.   1,778     23,790
Provident Financial Services, Inc.   7,633     111,213
QCR Holdings, Inc.   1,449     88,012
RBB Bancorp   1,075     19,361
Renasant Corp.   4,994     156,412
Republic Bancorp, Inc., Class A   1,449     73,899
Riverview Bancorp, Inc.   3,925     18,526
S&T Bancorp, Inc.   3,436     110,227
Sandy Spring Bancorp, Inc.   3,344     77,514
Seacoast Banking Corp. of Florida   2,776     70,483
Shore Bancshares, Inc.   2,923     33,615
Sierra Bancorp   1,759     35,532
Simmons First National Corp., Class A   9,236     179,733
SmartFinancial, Inc.   886     18,668
South Plains Financial, Inc.   443     11,855
Southern First Bancshares, Inc. (A)   537     17,055
Southern Missouri Bancorp, Inc.   1,012     44,235
Southside Bancshares, Inc.   1,224     35,778
SouthState Corp.   4,513     383,740
Stellar Bancorp, Inc.   783     19,074
Synovus Financial Corp.   6,966     279,058
Territorial Bancorp, Inc.   1,722     13,879
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Texas Capital Bancshares, Inc. (A)   3,434   $ 211,363
The Bank of NT Butterfield & Son, Ltd.   904     28,919
The First Bancorp, Inc.   1,316     32,426
The First Bancshares, Inc.   1,916     49,720
The First of Long Island Corp.   2,386     26,461
The Hingham Institution for Savings (C)   69     12,038
Tompkins Financial Corp.   505     25,396
Towne Bank   5,579     156,547
TriCo Bancshares   1,406     51,713
Triumph Financial, Inc. (A)   540     42,833
Trustmark Corp.   4,932     138,639
UMB Financial Corp.   1,305     113,522
United Bankshares, Inc.   7,422     265,633
United Community Banks, Inc.   6,679     175,791
Unity Bancorp, Inc.   430     11,868
Univest Financial Corp.   2,739     57,026
Valley National Bancorp   26,605     211,776
Veritex Holdings, Inc.   3,741     76,653
WaFd, Inc.   6,248     181,379
Washington Trust Bancorp, Inc.   1,035     27,821
Webster Financial Corp.   7,844     398,240
WesBanco, Inc.   5,865     174,836
Western Alliance Bancorp   2,506     160,860
Western New England Bancorp, Inc.   3,609     27,681
Wintrust Financial Corp.   3,511     366,513
WSFS Financial Corp.   4,396     198,435
Zions Bancorp NA   7,356     319,250
          20,434,540
Capital markets – 2.0%      
Affiliated Managers Group, Inc.   123     20,599
AssetMark Financial Holdings, Inc. (A)   472     16,714
Houlihan Lokey, Inc.   6,779     869,000
Invesco, Ltd.   24,463     405,841
Janus Henderson Group PLC   9,860     324,295
Oppenheimer Holdings, Inc., Class A   1,182     47,185
PJT Partners, Inc., Class A   9,524     897,732
Stifel Financial Corp.   7,066     552,349
StoneX Group, Inc. (A)   2,062     144,876
Virtus Investment Partners, Inc.   126     31,245
          3,309,836
Consumer finance – 1.4%      
Ally Financial, Inc.   18,145     736,506
Atlanticus Holdings Corp. (A)   505     14,943
Bread Financial Holdings, Inc.   4,838     180,167
Consumer Portfolio Services, Inc. (A)   1,066     8,059
Encore Capital Group, Inc. (A)   2,509     114,435
Enova International, Inc. (A)   3,425     215,193
EZCORP, Inc., Class A (A)   4,801     54,395
Green Dot Corp., Class A (A)   3,440     32,095
LendingClub Corp. (A)   7,056     62,022
Navient Corp.   12,275     213,585
Nelnet, Inc., Class A   2,648     250,633
Nicholas Financial, Inc. (A)   75     507
OneMain Holdings, Inc.   7,534     384,912
PRA Group, Inc. (A)   3,071     80,092
PROG Holdings, Inc.   1,042     35,886
Regional Management Corp.   573     13,872
World Acceptance Corp. (A)   141     20,442
          2,417,744
Financial services – 2.0%      
Acacia Research Corp. (A)   2,172     11,577
Alerus Financial Corp.   904     19,734
A-Mark Precious Metals, Inc.   1,892     58,065
BM Technologies, Inc. (A)   367     606
 
  218  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Financial services (continued)      
California First Leasing Corp. (A)   278   $ 5,157
Cannae Holdings, Inc. (A)   798     17,748
Essent Group, Ltd.   3,880     230,899
Federal Agricultural Mortgage Corp., Class C   694     136,635
Flywire Corp. (A)   31,779     788,437
Jackson Financial, Inc., Class A   5,691     376,403
Merchants Bancorp   1,376     59,416
MGIC Investment Corp.   17,269     386,135
Mr. Cooper Group, Inc. (A)   3,087     240,632
NCR Atleos Corp. (A)   382     7,545
NMI Holdings, Inc., Class A (A)   5,822     188,283
Ocwen Financial Corp. (A)   315     8,508
Paysafe, Ltd. (A)   1,393     21,995
PennyMac Financial Services, Inc.   3,720     338,855
Radian Group, Inc.   10,338     346,013
TrustCo Bank Corp. NY   1,826     51,420
Walker & Dunlop, Inc.   615     62,152
Waterstone Financial, Inc.   3,099     37,715
          3,393,930
Insurance – 3.5%      
Ambac Financial Group, Inc. (A)   3,281     51,282
American Equity Investment Life Holding Company (A)   7,384     415,128
Assured Guaranty, Ltd.   5,503     480,137
Axis Capital Holdings, Ltd.   5,166     335,893
Brighthouse Financial, Inc. (A)   5,409     278,780
CNO Financial Group, Inc.   9,319     256,086
Donegal Group, Inc., Class A   2,876     40,667
Employers Holdings, Inc.   2,283     103,625
Enstar Group, Ltd. (A)   1,090     338,728
F&G Annuities & Life, Inc.   527     21,370
First American Financial Corp.   4,838     295,360
Fundamental Global, Inc. (A)   1,114     1,537
Genworth Financial, Inc., Class A (A)   36,213     232,850
Globe Life, Inc.   342     39,799
Greenlight Capital Re, Ltd., Class A (A)   2,616     32,622
Heritage Insurance Holdings, Inc. (A)   657     6,997
Horace Mann Educators Corp.   3,303     122,178
Investors Title Company   189     30,843
James River Group Holdings, Ltd.   2,157     20,060
Kemper Corp.   995     61,610
MBIA, Inc. (A)   1,892     12,790
Mercury General Corp.   4,889     252,272
National Western Life Group, Inc., Class A   221     108,723
Old Republic International Corp.   17,917     550,410
Oscar Health, Inc., Class A (A)   6,663     99,079
ProAssurance Corp. (A)   4,655     59,863
Reinsurance Group of America, Inc.   585     112,835
Safety Insurance Group, Inc.   612     50,300
SiriusPoint, Ltd. (A)   10,334     131,345
Stewart Information Services Corp.   1,817     118,214
Tiptree, Inc.   3,689     63,746
United Fire Group, Inc.   1,897     41,298
Universal Insurance Holdings, Inc.   3,287     66,792
Unum Group   10,883     583,982
White Mountains Insurance Group, Ltd.   205     367,832
          5,785,033
          35,341,083
Health care – 10.9%          
Biotechnology – 3.3%      
Achillion Pharmaceuticals, Inc. (A)(B)   10,940     16,623
Agios Pharmaceuticals, Inc. (A)   6,006     175,615
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Allogene Therapeutics, Inc. (A)   4,442   $ 19,856
Anika Therapeutics, Inc. (A)   1,585     40,259
Arcturus Therapeutics Holdings, Inc. (A)   790     26,678
Arcutis Biotherapeutics, Inc. (A)   27,440     271,930
BioCryst Pharmaceuticals, Inc. (A)   58,708     298,237
Crinetics Pharmaceuticals, Inc. (A)   16,250     760,663
Dynavax Technologies Corp. (A)   6,329     78,543
Eagle Pharmaceuticals, Inc. (A)   585     3,065
Emergent BioSolutions, Inc. (A)   2,676     6,770
Generation Bio Company (A)   4,046     16,467
Halozyme Therapeutics, Inc. (A)   14,615     594,538
Insmed, Inc. (A)   23,300     632,129
iTeos Therapeutics, Inc. (A)   1,538     20,978
Kodiak Sciences, Inc. (A)   1,185     6,233
Krystal Biotech, Inc. (A)   2,995     532,900
Myriad Genetics, Inc. (A)   1,635     34,858
PDL BioPharma, Inc. (A)(B)   5,434     3,260
Sage Therapeutics, Inc. (A)   2,666     49,961
Sutro Biopharma, Inc. (A)   1,765     9,972
Travere Therapeutics, Inc. (A)   26,357     203,212
Ultragenyx Pharmaceutical, Inc. (A)   10,705     499,816
Vanda Pharmaceuticals, Inc. (A)   4,716     19,383
Veracyte, Inc. (A)   24,531     543,607
Vericel Corp. (A)   13,227     688,069
          5,553,622
Health care equipment and supplies – 1.9%      
AngioDynamics, Inc. (A)   3,198     18,772
Artivion, Inc. (A)   19,047     403,035
AtriCure, Inc. (A)   10,593     322,239
Avanos Medical, Inc. (A)   4,440     88,400
Enovis Corp. (A)   5,061     316,059
Envista Holdings Corp. (A)   10,702     228,809
FONAR Corp. (A)   463     9,890
Globus Medical, Inc., Class A (A)   10,480     562,147
ICU Medical, Inc. (A)   2,108     226,231
Inogen, Inc. (A)   1,678     13,541
Integer Holdings Corp. (A)   2,433     283,882
Integra LifeSciences Holdings Corp. (A)   10,282     364,497
Kewaunee Scientific Corp. (A)   83     2,826
LENSAR, Inc. (A)   783     2,780
LivaNova PLC (A)   1,624     90,847
Omnicell, Inc. (A)   344     10,055
OraSure Technologies, Inc. (A)   4,040     24,846
Orthofix Medical, Inc. (A)   2,161     31,378
QuidelOrtho Corp. (A)   824     39,503
Tactile Systems Technology, Inc. (A)   1,515     24,619
Utah Medical Products, Inc.   289     20,551
Varex Imaging Corp. (A)   4,007     72,527
          3,157,434
Health care providers and services – 2.3%      
Acadia Healthcare Company, Inc. (A)   9,180     727,240
AdaptHealth Corp. (A)   1,098     12,638
Addus HomeCare Corp. (A)   1,766     182,498
Agiliti, Inc. (A)   3,789     38,345
Amedisys, Inc. (A)   2,199     202,660
Brookdale Senior Living, Inc. (A)   14,458     95,567
Castle Biosciences, Inc. (A)   726     16,081
Cross Country Healthcare, Inc. (A)   3,819     71,492
Enhabit, Inc. (A)   1,091     12,710
Fulgent Genetics, Inc. (A)   2,388     51,820
HealthEquity, Inc. (A)   8,780     716,711
National HealthCare Corp.   1,428     134,960
NeoGenomics, Inc. (A)   1,332     20,939
OPKO Health, Inc. (A)   8,398     10,078
Owens & Minor, Inc. (A)   6,034     167,202
 
  219  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care providers and services (continued)      
Patterson Companies, Inc.   7,120   $ 196,868
Pediatrix Medical Group, Inc. (A)   5,689     57,061
PetIQ, Inc. (A)   1,147     20,967
Premier, Inc., Class A   7,830     173,043
Select Medical Holdings Corp.   2,451     73,898
US Physical Therapy, Inc.   7,009     791,106
          3,773,884
Health care technology – 0.2%      
American Well Corp., Class A (A)   9,568     7,757
Certara, Inc. (A)   5,777     103,293
Definitive Healthcare Corp. (A)   1,330     10,733
Health Catalyst, Inc. (A)   2,468     18,584
HealthStream, Inc.   1,969     52,494
Teladoc Health, Inc. (A)   7,613     114,956
TruBridge, Inc. (A)   1,067     9,838
Veradigm, Inc. (A)   7,752     59,690
          377,345
Life sciences tools and services – 1.4%      
Azenta, Inc. (A)   17,122     1,032,091
Bio-Rad Laboratories, Inc., Class A (A)   796     275,313
CryoPort, Inc. (A)   15,095     267,182
Harvard Bioscience, Inc. (A)   5,200     22,048
MaxCyte, Inc. (A)   3,699     15,499
Medpace Holdings, Inc. (A)   1,776     717,770
Mesa Laboratories, Inc.   169     18,544
OmniAb, Inc. (A)   3,101     16,807
OmniAb, Inc., $12.50 Earnout Shares (A)(B)   240     0
OmniAb, Inc., $15.00 Earnout Shares (A)(B)   240     0
Personalis, Inc. (A)   1,146     1,708
Revvity, Inc.   131     13,755
Seer, Inc. (A)   2,095     3,981
          2,384,698
Pharmaceuticals – 1.8%      
ANI Pharmaceuticals, Inc. (A)   800     55,304
Catalent, Inc. (A)   2,622     148,012
Cumberland Pharmaceuticals, Inc. (A)   956     1,606
Elanco Animal Health, Inc. (A)   26,472     430,964
Innoviva, Inc. (A)   7,202     109,758
Intra-Cellular Therapies, Inc. (A)   10,412     720,510
Ligand Pharmaceuticals, Inc. (A)   1,301     95,103
Nektar Therapeutics (A)   10,585     9,889
Organon & Company   695     13,066
Pacira BioSciences, Inc. (A)   358     10,461
Perrigo Company PLC   9,542     307,157
Phathom Pharmaceuticals, Inc. (A)   25,481     270,608
Phibro Animal Health Corp., Class A   1,429     18,477
Prestige Consumer Healthcare, Inc. (A)   777     56,379
Supernus Pharmaceuticals, Inc. (A)   22,657     772,830
Taro Pharmaceutical Industries, Ltd. (A)   1,003     42,467
          3,062,591
          18,309,574
Industrials – 18.5%          
Aerospace and defense – 1.0%      
AAR Corp. (A)   3,353     200,744
AerSale Corp. (A)   635     4,559
Ducommun, Inc. (A)   1,245     63,869
Hexcel Corp.   11,420     831,947
Kaman Corp.   1,770     81,190
Kratos Defense & Security Solutions, Inc. (A)   3,850     70,763
Mercury Systems, Inc. (A)   3,577     105,522
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Aerospace and defense (continued)      
Moog, Inc., Class A   748   $ 119,418
National Presto Industries, Inc.   644     53,967
Park Aerospace Corp.   2,083     34,640
SIFCO Industries, Inc. (A)   1,000     3,180
V2X, Inc. (A)   1,029     48,065
          1,617,864
Air freight and logistics – 0.2%      
Air Transport Services Group, Inc. (A)   7,279     100,159
Hub Group, Inc., Class A   4,836     209,012
Radiant Logistics, Inc. (A)   3,764     20,401
          329,572
Building products – 1.6%      
American Woodmark Corp. (A)   1,615     164,181
Apogee Enterprises, Inc.   2,178     128,938
AZZ, Inc.   1,376     106,379
Gibraltar Industries, Inc. (A)   13,046     1,050,594
Hayward Holdings, Inc. (A)   2,363     36,178
Insteel Industries, Inc.   1,689     64,554
JELD-WEN Holding, Inc. (A)   4,097     86,979
Masonite International Corp. (A)   1,126     148,013
Masterbrand, Inc. (A)   1,555     29,141
Owens Corning   455     75,894
Quanex Building Products Corp.   3,929     150,991
Resideo Technologies, Inc. (A)   11,229     251,754
UFP Industries, Inc.   3,823     470,267
          2,763,863
Commercial services and supplies – 1.0%      
ABM Industries, Inc.   5,899     263,213
ACCO Brands Corp.   8,323     46,692
Acme United Corp.   733     34,444
Brady Corp., Class A   3,025     179,322
BrightView Holdings, Inc. (A)   8,669     103,161
CECO Environmental Corp. (A)   3,081     70,925
Civeo Corp.   673     18,070
Deluxe Corp.   3,291     67,762
Ennis, Inc.   2,608     53,490
Enviri Corp. (A)   7,551     69,092
Healthcare Services Group, Inc. (A)   2,180     27,206
HNI Corp.   1,894     85,476
Interface, Inc.   2,884     48,509
Matthews International Corp., Class A   2,517     78,228
MillerKnoll, Inc.   1,587     39,294
NL Industries, Inc.   3,260     23,896
OPENLANE, Inc. (A)   8,224     142,275
Steelcase, Inc., Class A   6,532     85,439
UniFirst Corp.   667     115,678
Virco Manufacturing Corp.   1,200     13,116
VSE Corp.   1,368     109,440
          1,674,728
Construction and engineering – 1.1%      
Arcosa, Inc.   4,464     383,279
Argan, Inc.   1,446     73,081
Cadeler A/S, ADR (A)   947     17,179
Concrete Pumping Holdings, Inc. (A)   1,800     14,220
Granite Construction, Inc.   3,746     214,009
Great Lakes Dredge & Dock Corp. (A)   6,888     60,270
IES Holdings, Inc. (A)   1,180     143,535
MasTec, Inc. (A)   496     46,252
MDU Resources Group, Inc.   8,560     215,712
Northwest Pipe Company (A)   1,306     45,292
Orion Group Holdings, Inc. (A)   4,263     34,957
Primoris Services Corp.   4,151     176,708
Sterling Infrastructure, Inc. (A)   2,528     278,864
Tutor Perini Corp. (A)   4,167     60,255
 
  220  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Construction and engineering (continued)      
Valmont Industries, Inc.   120   $ 27,394
          1,791,007
Electrical equipment – 1.7%      
Allient, Inc.   300     10,704
Atkore, Inc.   6,033     1,148,442
Encore Wire Corp.   1,593     418,609
EnerSys   1,533     144,807
LSI Industries, Inc.   4,131     62,461
Powell Industries, Inc.   1,244     177,021
Preformed Line Products Company   492     63,306
Regal Rexnord Corp.   1,102     198,470
Sensata Technologies Holding PLC   4,009     147,291
Shoals Technologies Group, Inc., Class A (A)   29,680     331,822
Sunrun, Inc. (A)   2,009     26,479
Thermon Group Holdings, Inc. (A)   3,483     113,964
Ultralife Corp. (A)   1,984     17,479
          2,860,855
Ground transportation – 1.1%      
ArcBest Corp.   2,462     350,835
Covenant Logistics Group, Inc.   1,513     70,143
Heartland Express, Inc.   4,107     49,038
Hertz Global Holdings, Inc. (A)   1,310     10,257
Knight-Swift Transportation Holdings, Inc.   8,732     480,435
Marten Transport, Ltd.   6,368     117,681
PAM Transportation Services, Inc. (A)   2,085     33,798
Ryder System, Inc.   3,393     407,805
Schneider National, Inc., Class B   3,459     78,312
Universal Logistics Holdings, Inc.   600     22,122
Werner Enterprises, Inc.   4,155     162,544
          1,782,970
Machinery – 5.1%      
3D Systems Corp. (A)   5,104     22,662
AGCO Corp.   3,294     405,228
Alamo Group, Inc.   4,902     1,119,274
Albany International Corp., Class A   743     69,478
Astec Industries, Inc.   2,415     105,560
Barnes Group, Inc.   4,989     185,341
Columbus McKinnon Corp.   13,878     619,375
Commercial Vehicle Group, Inc. (A)   2,492     16,024
Enpro, Inc.   1,502     253,493
ESCO Technologies, Inc.   1,885     201,789
Gates Industrial Corp. PLC (A)   45,870     812,358
Gencor Industries, Inc. (A)   2,100     35,049
Graham Corp. (A)   333     9,084
Helios Technologies, Inc.   1,138     50,857
Hillenbrand, Inc.   14,594     733,932
Hurco Companies, Inc.   1,054     21,249
Hyster-Yale Materials Handling, Inc.   466     29,903
Kennametal, Inc.   6,313     157,446
LB Foster Company, Class A (A)   1,699     46,400
Luxfer Holdings PLC   633     6,564
Mayville Engineering Company, Inc. (A)   1,096     15,706
Miller Industries, Inc.   1,434     71,843
Mueller Industries, Inc.   4,486     241,930
NN, Inc. (A)   2,376     11,262
Park-Ohio Holdings Corp.   749     19,983
Perma-Pipe International Holdings, Inc. (A)   1,100     8,690
Proto Labs, Inc. (A)   1,588     56,771
RBC Bearings, Inc. (A)   2,779     751,303
REV Group, Inc.   5,224     115,398
SPX Technologies, Inc. (A)   10,880     1,339,654
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Standex International Corp.   310   $ 56,488
Stratasys, Ltd. (A)   1,753     20,370
Tennant Company   600     72,966
Terex Corp.   1,727     111,219
The Eastern Company   1,471     50,146
The Gorman-Rupp Company   1,454     57,506
The Greenbrier Companies, Inc.   2,830     147,443
The LS Starrett Company, Class A (A)   1,530     24,312
The Manitowoc Company, Inc. (A)   3,343     47,270
The Timken Company   1,134     99,146
Titan International, Inc. (A)   3,936     49,043
Trinity Industries, Inc.   7,997     222,716
Twin Disc, Inc.   1,650     27,275
Wabash National Corp.   1,980     59,281
          8,578,787
Marine transportation – 0.5%      
Costamare, Inc.   9,592     108,869
Eagle Bulk Shipping, Inc.   1,293     80,774
Genco Shipping & Trading, Ltd.   4,550     92,502
Kirby Corp. (A)   2,936     279,860
Matson, Inc.   2,868     322,363
Pangaea Logistics Solutions, Ltd.   1,768     12,323
          896,691
Passenger airlines – 0.7%      
Alaska Air Group, Inc. (A)   10,508     451,739
Allegiant Travel Company   1,247     93,787
Copa Holdings SA, Class A   905     94,265
Hawaiian Holdings, Inc. (A)   3,931     52,400
JetBlue Airways Corp. (A)   22,528     167,158
SkyWest, Inc. (A)   3,644     251,728
Spirit Airlines, Inc. (C)   5,129     24,824
          1,135,901
Professional services – 2.1%      
Alight, Inc., Class A (A)   5,088     50,117
Asure Software, Inc. (A)   1,391     10,822
BGSF, Inc.   800     8,328
CACI International, Inc., Class A (A)   1,773     671,666
Clarivate PLC (A)   26,193     194,614
Concentrix Corp.   1,811     119,924
Conduent, Inc. (A)   14,444     48,821
Dun & Bradstreet Holdings, Inc.   7,293     73,222
Exponent, Inc.   7,960     658,212
First Advantage Corp.   1,878     30,461
Genpact, Ltd.   677     22,307
Heidrick & Struggles International, Inc.   1,672     56,280
Huron Consulting Group, Inc. (A)   876     84,639
ICF International, Inc.   1,429     215,250
Kelly Services, Inc., Class A   3,287     82,306
Korn Ferry   3,492     229,634
ManpowerGroup, Inc.   2,142     166,305
Mistras Group, Inc. (A)   2,232     21,338
NV5 Global, Inc. (A)   533     52,239
Paycor HCM, Inc. (A)   30,344     589,887
Resources Connection, Inc.   4,120     54,219
TrueBlue, Inc. (A)   3,219     40,302
Willdan Group, Inc. (A)   400     11,596
          3,492,489
Trading companies and distributors – 2.4%      
Air Lease Corp.   9,143     470,316
Beacon Roofing Supply, Inc. (A)   2,458     240,933
BlueLinx Holdings, Inc. (A)   893     116,304
Boise Cascade Company   3,470     532,194
Distribution Solutions Group, Inc. (A)   1,306     46,337
DNOW, Inc. (A)   9,968     151,514
 
  221  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Trading companies and distributors (continued)      
DXP Enterprises, Inc. (A)   1,767   $ 94,941
GMS, Inc. (A)   1,599     155,647
Hudson Technologies, Inc. (A)   2,645     29,121
McGrath RentCorp   1,288     158,901
MRC Global, Inc. (A)   2,745     34,505
Rush Enterprises, Inc., Class A   5,371     287,456
Rush Enterprises, Inc., Class B   1,675     89,261
SiteOne Landscape Supply, Inc. (A)   6,011     1,049,220
Titan Machinery, Inc. (A)   2,366     58,700
WESCO International, Inc.   2,849     487,977
Willis Lease Finance Corp. (A)   406     20,146
          4,023,473
          30,948,200
Information technology – 10.3%          
Communications equipment – 0.7%      
Aviat Networks, Inc. (A)   829     31,784
Comtech Telecommunications Corp. (A)   2,706     9,282
Digi International, Inc. (A)   4,035     128,838
Juniper Networks, Inc.   6,436     238,518
KVH Industries, Inc. (A)   910     4,641
NETGEAR, Inc. (A)   3,326     52,451
NetScout Systems, Inc. (A)   5,946     129,861
Optical Cable Corp. (A)   931     2,635
Ribbon Communications, Inc. (A)   8,541     27,331
Viasat, Inc. (A)   3,404     61,578
Viavi Solutions, Inc. (A)   48,362     439,611
          1,126,530
Electronic equipment, instruments and components – 3.4%      
Arrow Electronics, Inc. (A)   5,466     707,628
Avnet, Inc.   8,420     417,464
Bel Fuse, Inc., Class B   1,641     98,969
Belden, Inc.   3,100     287,091
Benchmark Electronics, Inc.   3,813     114,428
Climb Global Solutions, Inc.   138     9,781
Coherent Corp. (A)   2,177     131,970
CTS Corp.   3,299     154,360
Daktronics, Inc. (A)   3,929     39,133
ePlus, Inc. (A)   1,924     151,111
FARO Technologies, Inc. (A)   684     14,713
Frequency Electronics, Inc. (A)   1,783     19,417
Key Tronic Corp. (A)   1,900     8,854
Kimball Electronics, Inc. (A)   3,036     65,729
Knowles Corp. (A)   7,107     114,423
Methode Electronics, Inc.   2,971     36,187
Mirion Technologies, Inc. (A)   1,282     14,576
Novanta, Inc. (A)   6,619     1,156,803
OSI Systems, Inc. (A)   1,258     179,668
PC Connection, Inc.   2,391     157,639
Plexus Corp. (A)   2,005     190,114
RF Industries, Ltd. (A)   120     372
Richardson Electronics, Ltd.   1,461     13,456
Rogers Corp. (A)   1,273     151,092
Sanmina Corp. (A)   4,939     307,107
ScanSource, Inc. (A)   2,542     111,950
TD SYNNEX Corp.   5,567     629,628
TTM Technologies, Inc. (A)   10,649     166,657
Vishay Intertechnology, Inc.   10,499     238,117
Vishay Precision Group, Inc. (A)   1,686     59,566
          5,748,003
IT services – 0.3%      
Brightcove, Inc. (A)   2,443     4,739
DXC Technology Company (A)   15,631     331,534
Fastly, Inc., Class A (A)   2,307     29,922
Information Services Group, Inc.   4,400     17,776
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
IT services (continued)      
Thoughtworks Holding, Inc. (A)   74,280   $ 187,928
Twilio, Inc., Class A (A)   377     23,054
          594,953
Semiconductors and semiconductor equipment – 2.7%      
Allegro MicroSystems, Inc. (A)   15,709     423,515
Alpha & Omega Semiconductor, Ltd. (A)   2,746     60,522
Amkor Technology, Inc.   16,310     525,834
Amtech Systems, Inc. (A)   2,404     13,006
AXT, Inc. (A)   4,229     19,411
CEVA, Inc. (A)   1,976     44,875
Cohu, Inc. (A)   4,842     161,384
Diodes, Inc. (A)   2,678     188,799
Ichor Holdings, Ltd. (A)   2,659     102,691
Kulicke & Soffa Industries, Inc.   4,804     241,689
MACOM Technology Solutions Holdings, Inc. (A)   9,114     871,663
Magnachip Semiconductor Corp. (A)   2,526     14,095
MaxLinear, Inc. (A)   981     18,315
Photronics, Inc. (A)   5,882     166,578
Power Integrations, Inc.   7,357     526,393
Silicon Laboratories, Inc. (A)   5,522     793,622
Ultra Clean Holdings, Inc. (A)   3,668     168,508
Veeco Instruments, Inc. (A)   2,996     105,369
          4,446,269
Software – 3.1%      
ACI Worldwide, Inc. (A)   9,923     329,543
Appfolio, Inc., Class A (A)   4,027     993,622
Aware, Inc. (A)   2,160     4,039
Cerence, Inc. (A)   2,239     35,264
CleanSpark, Inc. (A)   5,547     117,652
Cognyte Software, Ltd. (A)   402     3,325
Consensus Cloud Solutions, Inc. (A)   218     3,457
CyberArk Software, Ltd. (A)   5,133     1,363,479
Digital Turbine, Inc. (A)   2,201     5,767
E2open Parent Holdings, Inc. (A)   4,078     18,106
Intapp, Inc. (A)   23,283     798,607
Matterport, Inc. (A)   13,199     29,830
Mitek Systems, Inc. (A)   1,915     27,002
NCR Voyix Corp. (A)   765     9,662
Olo, Inc., Class A (A)   2,125     11,666
ON24, Inc.   2,666     19,035
OneSpan, Inc. (A)   1,048     12,188
Rapid7, Inc. (A)   6,501     318,809
SecureWorks Corp., Class A (A)   1,000     6,720
SolarWinds Corp. (A)   12,240     154,469
The Descartes Systems Group, Inc. (A)   8,888     813,519
Upland Software, Inc. (A)   1,064     3,288
Verint Systems, Inc. (A)   1,067     35,371
Xperi, Inc. (A)   1,943     23,433
          5,137,853
Technology hardware, storage and peripherals – 0.1%      
AstroNova, Inc. (A)   1,439     25,643
Xerox Holdings Corp.   12,185     218,112
          243,755
          17,297,363
Materials – 7.2%          
Chemicals – 3.1%      
AdvanSix, Inc.   2,405     68,783
Alto Ingredients, Inc. (A)   3,300     7,194
American Vanguard Corp.   2,933     37,982
Arcadium Lithium PLC (A)   1,263     5,444
Ashland, Inc.   4,068     396,101
Avient Corp.   20,770     901,418
 
  222  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Chemicals (continued)      
Balchem Corp.   4,414   $ 683,949
Core Molding Technologies, Inc. (A)   1,000     18,930
Ecovyst, Inc. (A)   9,373     104,509
Hawkins, Inc.   560     43,008
Huntsman Corp.   15,185     395,266
Innospec, Inc.   1,890     243,697
Intrepid Potash, Inc. (A)   1,117     23,301
Koppers Holdings, Inc.   1,694     93,458
Kronos Worldwide, Inc.   3,820     45,076
LSB Industries, Inc. (A)   3,748     32,907
Mativ Holdings, Inc.   4,760     89,250
Minerals Technologies, Inc.   2,720     204,762
Olin Corp.   5,905     347,214
Perimeter Solutions SA (A)   1,880     13,950
Quaker Chemical Corp.   3,830     786,108
Rayonier Advanced Materials, Inc. (A)   4,555     21,773
Sensient Technologies Corp.   269     18,612
Stepan Company   1,794     161,532
The Mosaic Company   6,509     211,282
Tronox Holdings PLC   13,420     232,837
          5,188,343
Containers and packaging – 1.2%      
Berry Global Group, Inc.   7,897     477,611
Graphic Packaging Holding Company   1,465     42,749
Greif, Inc., Class A   1,784     123,185
Greif, Inc., Class B   913     63,472
International Paper Company   2,185     85,259
Myers Industries, Inc.   617     14,296
O-I Glass, Inc. (A)   7,974     132,289
Pactiv Evergreen, Inc.   3,705     53,056
Ranpak Holdings Corp. (A)   1,842     14,497
Silgan Holdings, Inc.   1,655     80,367
Sonoco Products Company   2,178     125,976
TriMas Corp.   1,856     49,611
Westrock Company   13,906     687,652
          1,950,020
Metals and mining – 2.8%      
Alcoa Corp.   13,696     462,788
Alpha Metallurgical Resources, Inc.   1,110     367,599
Ampco-Pittsburgh Corp. (A)   1,644     3,567
Arch Resources, Inc.   1,503     241,667
Ascent Industries Company (A)   2,209     22,510
Carpenter Technology Corp.   4,715     336,745
Century Aluminum Company (A)   4,406     67,808
Cleveland-Cliffs, Inc. (A)   29,634     673,877
Coeur Mining, Inc. (A)   26,119     98,469
Commercial Metals Company   8,423     495,020
Compass Minerals International, Inc.   1,647     25,924
Friedman Industries, Inc.   1,511     28,316
Haynes International, Inc.   1,127     67,755
Hecla Mining Company   42,155     202,766
Materion Corp.   1,721     226,742
Metallus, Inc. (A)   3,682     81,925
MP Materials Corp. (A)   2,290     32,747
Nexa Resources SA (A)   900     6,444
Olympic Steel, Inc.   1,438     101,925
Radius Recycling, Inc.   3,077     65,017
Ryerson Holding Corp.   2,583     86,531
SunCoke Energy, Inc.   6,433     72,500
Tredegar Corp.   1,654     10,784
U.S. Steel Corp.   13,527     551,631
Universal Stainless & Alloy Products, Inc. (A)   1,562     35,020
Warrior Met Coal, Inc.   3,785     229,750
Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Metals and mining (continued)      
Worthington Steel, Inc. (A)   3,451   $ 123,718
          4,719,545
Paper and forest products – 0.1%      
Clearwater Paper Corp. (A)   1,597     69,837
Glatfelter Corp. (A)   4,610     9,220
Mercer International, Inc.   7,458     74,207
Resolute Forest Products, Inc. (A)(B)   7,541     10,708
Sylvamo Corp.   300     18,522
          182,494
          12,040,402
Real estate – 1.7%          
Hotel and resort REITs – 0.4%      
Ryman Hospitality Properties, Inc.   5,942     686,955
Industrial REITs – 0.4%      
STAG Industrial, Inc.   16,332     627,802
Real estate management and development – 0.9%      
Anywhere Real Estate, Inc. (A)   9,125     56,393
Cushman & Wakefield PLC (A)   14,309     149,672
Douglas Elliman, Inc. (A)   6,219     9,826
Five Point Holdings LLC, Class A (A)   2,659     8,323
Forestar Group, Inc. (A)   2,613     105,016
FRP Holdings, Inc. (A)   931     57,163
Howard Hughes Holdings, Inc. (A)   3,339     242,478
Jones Lang LaSalle, Inc. (A)   2,430     474,069
Kennedy-Wilson Holdings, Inc.   9,598     82,351
Marcus & Millichap, Inc.   3,679     125,711
Newmark Group, Inc., Class A   7,419     82,277
Rafael Holdings, Inc., Class B (A)   500     860
RE/MAX Holdings, Inc., Class A   2,193     19,233
Stratus Properties, Inc. (A)   1,025     23,401
Tejon Ranch Company (A)   2,396     36,922
          1,473,695
          2,788,452
Utilities – 0.2%          
Electric utilities – 0.1%      
Genie Energy, Ltd., B Shares   1,000     15,080
NRG Energy, Inc.   1,467     99,301
          114,381
Independent power and renewable electricity producers –
0.1%
     
Brookfield Renewable Corp., Class A   1,596     39,214
Ormat Technologies, Inc.   878     58,115
Sunnova Energy International, Inc. (A)   7,526     46,134
          143,463
          257,844
TOTAL COMMON STOCKS (Cost $134,068,985)   $ 165,392,171
PREFERRED SECURITIES – 0.0%          
Industrials – 0.0%          
Trading companies and distributors – 0.0%      
WESCO International, Inc., 10.625% (10.625% to 6-22-25, then 5 Year CMT + 10.325%)   1,507     39,649
TOTAL PREFERRED SECURITIES (Cost $37,663)   $ 39,649
 
  223  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS – 0.8%      
Short-term funds – 0.8%          
John Hancock Collateral Trust, 5.2975% (D)(E)   4,425   $ 44,243
State Street Institutional Treasury Money Market Fund, Premier Class, 5.1810% (D)   1,326,384     1,326,384
TOTAL SHORT-TERM INVESTMENTS (Cost $1,370,639)   $ 1,370,627
Total Investments (Small Cap Opportunities Trust)
(Cost $135,477,287) – 99.7%
  $ 166,802,447
Other assets and liabilities, net – 0.3%     439,672
TOTAL NET ASSETS – 100.0%   $ 167,242,119
Security Abbreviations and Legend
ADR American Depositary Receipt
CMT Constant Maturity Treasury
(A) Non-income producing security.
(B) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(C) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $42,797.
(D) The rate shown is the annualized seven-day yield as of 3-31-24.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Small Cap Stock Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.4%      
Communication services – 3.2%          
Entertainment – 0.7%      
Eventbrite, Inc., Class A (A)   386,693   $ 2,119,078
Interactive media and services – 1.5%      
CarGurus, Inc. (A)   86,191     1,989,288
Ziff Davis, Inc. (A)   39,490     2,489,450
          4,478,738
Media – 1.0%      
Criteo SA, ADR (A)   81,181     2,847,018
          9,444,834
Consumer discretionary – 11.9%          
Automobile components – 0.8%      
Visteon Corp. (A)   18,981     2,232,355
Broadline retail – 0.8%      
Global-e Online, Ltd. (A)   63,770     2,318,040
Diversified consumer services – 2.3%      
Duolingo, Inc. (A)   6,146     1,355,685
European Wax Center, Inc., Class A (A)(B)   155,714     2,021,168
H&R Block, Inc.   70,097     3,442,464
          6,819,317
Hotels, restaurants and leisure – 3.1%      
Boyd Gaming Corp.   53,676     3,613,468
Genius Sports, Ltd. (A)   347,833     1,986,126
Small Cap Stock Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Wingstop, Inc.   9,088   $ 3,329,843
          8,929,437
Household durables – 1.7%      
Skyline Champion Corp. (A)   57,479     4,886,290
Leisure products – 0.7%      
YETI Holdings, Inc. (A)   54,056     2,083,859
Specialty retail – 1.6%      
Abercrombie & Fitch Company, Class A (A)   19,992     2,505,597
Boot Barn Holdings, Inc. (A)   24,198     2,302,440
          4,808,037
Textiles, apparel and luxury goods – 0.9%      
Crocs, Inc. (A)   18,639     2,680,288
          34,757,623
Consumer staples – 5.2%          
Beverages – 2.2%      
Celsius Holdings, Inc. (A)   78,616     6,518,839
Personal care products – 3.0%      
e.l.f. Beauty, Inc. (A)   44,202     8,664,918
          15,183,757
Energy – 5.3%          
Energy equipment and services – 2.3%      
Cactus, Inc., Class A   80,020     4,008,202
Seadrill, Ltd. (A)   56,384     2,836,115
          6,844,317
Oil, gas and consumable fuels – 3.0%      
Chord Energy Corp.   19,576     3,489,226
Viper Energy, Inc.   135,095     5,195,754
          8,684,980
          15,529,297
Financials – 4.2%          
Banks – 0.9%      
Cadence Bank   97,146     2,817,234
Capital markets – 1.1%      
PJT Partners, Inc., Class A   33,696     3,176,185
Insurance – 1.1%      
SiriusPoint, Ltd. (A)   245,211     3,116,632
Mortgage real estate investment trusts – 1.1%      
Hannon Armstrong Sustainable Infrastructure Capital, Inc.   109,915     3,121,586
          12,231,637
Health care – 21.5%          
Biotechnology – 10.5%      
Akero Therapeutics, Inc. (A)   47,041     1,188,256
Amicus Therapeutics, Inc. (A)   97,575     1,149,434
Apellis Pharmaceuticals, Inc. (A)   20,918     1,229,560
Apogee Therapeutics, Inc. (A)   28,346     1,883,592
Blueprint Medicines Corp. (A)   22,869     2,169,353
Celldex Therapeutics, Inc. (A)   51,988     2,181,936
Crinetics Pharmaceuticals, Inc. (A)   28,888     1,352,247
Cytokinetics, Inc. (A)   32,519     2,279,907
Immatics NV (A)   104,340     1,096,613
Immunocore Holdings PLC, ADR (A)   23,333     1,516,645
Intellia Therapeutics, Inc. (A)   26,412     726,594
Kymera Therapeutics, Inc. (A)   25,647     1,031,009
Merus NV (A)   33,703     1,517,646
Morphic Holding, Inc. (A)   24,022     845,574
Prothena Corp. PLC (A)   17,225     426,663
PTC Therapeutics, Inc. (A)   32,830     955,025
REVOLUTION Medicines, Inc. (A)   74,496     2,401,006
 
  224  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Stock Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Rocket Pharmaceuticals, Inc. (A)   88,067   $ 2,372,525
Syndax Pharmaceuticals, Inc. (A)   70,280     1,672,664
Vaxcyte, Inc. (A)   36,503     2,493,520
          30,489,769
Health care equipment and supplies – 7.4%      
Glaukos Corp. (A)   22,641     2,134,820
Haemonetics Corp. (A)   47,052     4,015,888
Inari Medical, Inc. (A)   45,818     2,198,348
Inspire Medical Systems, Inc. (A)   15,728     3,378,217
PROCEPT BioRobotics Corp. (A)   120,702     5,965,093
Shockwave Medical, Inc. (A)   12,215     3,977,570
          21,669,936
Health care providers and services – 1.9%      
Acadia Healthcare Company, Inc. (A)   33,705     2,670,110
HealthEquity, Inc. (A)   36,081     2,945,292
          5,615,402
Pharmaceuticals – 1.7%      
Intra-Cellular Therapies, Inc. (A)   32,548     2,252,322
Longboard Pharmaceuticals, Inc. (A)   37,743     815,249
Structure Therapeutics, Inc., ADR (A)   17,539     751,722
Verona Pharma PLC, ADR (A)   70,557     1,135,262
          4,954,555
          62,729,662
Industrials – 25.3%          
Aerospace and defense – 1.8%      
Curtiss-Wright Corp.   20,339     5,205,564
Building products – 4.1%      
The AZEK Company, Inc. (A)   143,673     7,215,258
Zurn Elkay Water Solutions Corp.   142,213     4,759,869
          11,975,127
Commercial services and supplies – 1.6%      
Aris Water Solutions, Inc., Class A   90,756     1,284,197
Casella Waste Systems, Inc., Class A (A)   34,637     3,424,560
          4,708,757
Construction and engineering – 4.7%      
Ameresco, Inc., Class A (A)   62,010     1,496,301
Comfort Systems USA, Inc.   17,851     5,671,441
Fluor Corp. (A)   152,737     6,457,720
          13,625,462
Electrical equipment – 2.6%      
Acuity Brands, Inc.   10,902     2,929,694
NEXTracker, Inc., Class A (A)   47,081     2,649,248
Shoals Technologies Group, Inc., Class A (A)   175,226     1,959,027
          7,537,969
Machinery – 0.9%      
The Middleby Corp. (A)   17,034     2,738,897
Professional services – 5.7%      
EXL Service Holdings, Inc. (A)   156,108     4,964,237
TriNet Group, Inc.   34,317     4,546,659
Verra Mobility Corp. (A)   290,666     7,257,930
          16,768,826
Trading companies and distributors – 3.9%      
Applied Industrial Technologies, Inc.   39,688     7,840,364
Rush Enterprises, Inc., Class A   64,567     3,455,626
          11,295,990
          73,856,592
Small Cap Stock Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Information technology – 16.1%          
Communications equipment – 0.4%      
Calix, Inc. (A)   31,749   $ 1,052,797
Electronic equipment, instruments and components – 2.4%      
ePlus, Inc. (A)   22,845     1,794,246
Fabrinet (A)   7,731     1,461,314
Novanta, Inc. (A)   22,033     3,850,707
          7,106,267
IT services – 0.6%      
Squarespace, Inc., Class A (A)   51,800     1,887,592
Semiconductors and semiconductor equipment – 2.8%      
MKS Instruments, Inc.   20,418     2,715,594
SiTime Corp. (A)   15,906     1,482,916
Synaptics, Inc. (A)   25,601     2,497,634
Universal Display Corp.   7,976     1,343,557
          8,039,701
Software – 9.9%      
Clearwater Analytics Holdings, Inc., Class A (A)   146,492     2,591,443
CyberArk Software, Ltd. (A)   17,742     4,712,807
DoubleVerify Holdings, Inc. (A)   122,795     4,317,472
Five9, Inc. (A)   44,278     2,750,107
Intapp, Inc. (A)   40,182     1,378,243
Jamf Holding Corp. (A)   160,040     2,936,734
Manhattan Associates, Inc. (A)   12,363     3,093,593
PowerSchool Holdings, Inc., Class A (A)   189,595     4,036,478
Sprout Social, Inc., Class A (A)   54,910     3,278,676
          29,095,553
          47,181,910
Materials – 2.8%          
Chemicals – 2.8%      
Arcadium Lithium PLC (A)   360,253     1,552,690
Cabot Corp.   71,587     6,600,321
          8,153,011
Real estate – 2.9%          
Hotel and resort REITs – 1.7%      
Ryman Hospitality Properties, Inc.   43,177     4,991,693
Retail REITs – 1.2%      
Phillips Edison & Company, Inc.   98,671     3,539,329
          8,531,022
TOTAL COMMON STOCKS (Cost $235,558,368)   $ 287,599,345
EXCHANGE-TRADED FUNDS – 0.5%      
iShares Russell 2000 Growth ETF (B)   5,646     1,528,937
TOTAL EXCHANGE-TRADED FUNDS (Cost $1,485,894)   $ 1,528,937
SHORT-TERM INVESTMENTS – 1.3%      
Short-term funds – 0.2%          
John Hancock Collateral Trust, 5.2975% (C)(D)   51,121     511,073
 
  225  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Stock Trust (continued)
    Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS (continued)      
Repurchase agreement – 1.1%          
Societe Generale SA Tri-Party Repurchase Agreement dated 3-28-24 at 5.320% to be repurchased at $3,301,951 on 4-1-24, collateralized by $3,345,300 U.S. Treasury Notes, 4.250% due 2-28-31 (valued at $3,366,053) $ 3,300,000   $ 3,300,000
TOTAL SHORT-TERM INVESTMENTS (Cost $3,811,172)   $ 3,811,073
Total Investments (Small Cap Stock Trust)
(Cost $240,855,434) – 100.2%
  $ 292,939,355
Other assets and liabilities, net – (0.2%)     (450,555)
TOTAL NET ASSETS – 100.0%   $ 292,488,800
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $498,843.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Small Cap Value Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 98.6%      
Communication services – 1.3%          
Interactive media and services – 1.3%      
Shutterstock, Inc. (A)   130,527   $ 5,979,442
Consumer discretionary – 12.3%          
Automobile components – 2.6%      
The Goodyear Tire & Rubber Company (B)   460,995     6,329,461
Visteon Corp. (B)   47,888     5,632,108
          11,961,569
Hotels, restaurants and leisure – 1.2%      
Wyndham Hotels & Resorts, Inc.   75,656     5,806,598
Household durables – 4.1%      
Century Communities, Inc.   55,081     5,315,317
Sonos, Inc. (B)   360,288     6,867,089
Tri Pointe Homes, Inc. (B)   178,759     6,910,823
          19,093,229
Specialty retail – 1.8%      
Boot Barn Holdings, Inc. (B)   27,020     2,570,953
Monro, Inc.   179,783     5,670,356
          8,241,309
Textiles, apparel and luxury goods – 2.6%      
Kontoor Brands, Inc.   109,263     6,583,096
Oxford Industries, Inc.   50,656     5,693,734
          12,276,830
          57,379,535
Consumer staples – 2.8%          
Food products – 1.3%      
Post Holdings, Inc. (B)   55,189     5,865,487
Household products – 1.5%      
Spectrum Brands Holdings, Inc.   78,682     7,003,485
          12,868,972
Small Cap Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Energy – 5.8%          
Oil, gas and consumable fuels – 5.8%      
Chord Energy Corp.   51,471   $ 9,174,191
Gulfport Energy Corp. (B)   60,633     9,708,553
Sitio Royalties Corp., Class A   334,238     8,262,363
          27,145,107
Financials – 26.0%          
Banks – 15.8%      
1st Source Corp.   115,247     6,041,248
Berkshire Hills Bancorp, Inc.   239,492     5,489,157
Cadence Bank   253,773     7,359,417
Eastern Bankshares, Inc.   266,315     3,669,821
Enterprise Financial Services Corp.   158,337     6,422,149
First Busey Corp.   272,345     6,549,897
First Interstate BancSystem, Inc., Class A   152,156     4,140,165
Hancock Whitney Corp.   160,533     7,390,939
International Bancshares Corp.   66,366     3,725,787
National Bank Holdings Corp., Class A   208,966     7,537,404
Seacoast Banking Corp. of Florida   303,300     7,700,787
Synovus Financial Corp.   186,223     7,460,093
          73,486,864
Capital markets – 1.1%      
Houlihan Lokey, Inc.   41,874     5,367,828
Consumer finance – 1.7%      
Bread Financial Holdings, Inc.   214,140     7,974,574
Financial services – 1.1%      
NMI Holdings, Inc., Class A (B)   155,603     5,032,201
Insurance – 6.3%      
Assured Guaranty, Ltd.   71,380     6,227,905
Kemper Corp.   124,277     7,695,232
ProAssurance Corp. (B)   321,700     4,137,062
SiriusPoint, Ltd. (B)   435,836     5,539,476
White Mountains Insurance Group, Ltd.   3,262     5,853,007
          29,452,682
          121,314,149
Health care – 4.6%          
Health care equipment and supplies – 3.8%      
Haemonetics Corp. (B)   79,274     6,766,036
ICU Medical, Inc. (B)   44,762     4,803,858
Integra LifeSciences Holdings Corp. (B)   176,663     6,262,703
          17,832,597
Health care providers and services – 0.8%      
AMN Healthcare Services, Inc. (B)   55,704     3,482,057
          21,314,654
Industrials – 16.1%          
Building products – 2.7%      
American Woodmark Corp. (B)   73,121     7,433,481
Janus International Group, Inc. (B)   332,838     5,035,839
          12,469,320
Commercial services and supplies – 4.0%      
ACCO Brands Corp.   823,268     4,618,533
Brady Corp., Class A   114,928     6,812,932
Vestis Corp.   381,802     7,357,325
          18,788,790
Electrical equipment – 1.1%      
Thermon Group Holdings, Inc. (B)   160,973     5,267,037
Ground transportation – 1.2%      
Ryder System, Inc.   48,118     5,783,302
Machinery – 1.6%      
Luxfer Holdings PLC   118,718     1,231,106
 
  226  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Cap Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
The Middleby Corp. (B)   39,936   $ 6,421,309
          7,652,415
Professional services – 3.6%      
Huron Consulting Group, Inc. (B)   45,404     4,386,934
Maximus, Inc.   46,882     3,933,400
Sterling Check Corp. (B)   192,833     3,100,755
WNS Holdings, Ltd. (B)   100,672     5,086,956
          16,508,045
Trading companies and distributors – 1.9%      
Air Lease Corp.   168,580     8,671,755
          75,140,664
Information technology – 8.5%          
Electronic equipment, instruments and components – 4.1%      
Belden, Inc.   79,982     7,407,133
CTS Corp.   114,421     5,353,759
ePlus, Inc. (B)   75,803     5,953,568
Knowles Corp. (B)   19,700     317,170
          19,031,630
IT services – 1.0%      
Perficient, Inc. (B)   85,425     4,808,573
Software – 3.4%      
ACI Worldwide, Inc. (B)   263,832     8,761,861
Progress Software Corp.   130,485     6,956,155
          15,718,016
          39,558,219
Materials – 8.1%          
Chemicals – 6.1%      
Axalta Coating Systems, Ltd. (B)   206,859     7,113,881
Element Solutions, Inc.   371,597     9,282,493
HB Fuller Company   70,042     5,585,149
Mativ Holdings, Inc.   336,222     6,304,163
          28,285,686
Containers and packaging – 2.0%      
TriMas Corp.   353,969     9,461,591
          37,747,277
Real estate – 9.9%          
Diversified REITs – 0.8%      
Alexander & Baldwin, Inc.   218,816     3,603,900
Hotel and resort REITs – 1.5%      
Pebblebrook Hotel Trust   444,046     6,842,749
Industrial REITs – 0.7%      
LXP Industrial Trust   372,489     3,359,851
Real estate management and development – 1.3%      
Colliers International Group, Inc.   49,981     6,109,178
Residential REITs – 2.2%      
Centerspace   80,719     4,612,284
Independence Realty Trust, Inc.   349,331     5,634,709
          10,246,993
Retail REITs – 2.1%      
NETSTREIT Corp.   293,410     5,389,942
Phillips Edison & Company, Inc.   127,399     4,569,802
          9,959,744
Specialized REITs – 1.3%      
PotlatchDeltic Corp.   127,319     5,986,539
          46,108,954
Utilities – 3.2%          
Electric utilities – 2.0%      
PNM Resources, Inc.   103,546     3,897,471
Small Cap Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electric utilities (continued)      
Portland General Electric Company   128,180   $ 5,383,560
          9,281,031
Gas utilities – 1.2%      
ONE Gas, Inc.   87,116     5,621,595
          14,902,626
TOTAL COMMON STOCKS (Cost $403,261,349)   $ 459,459,599
SHORT-TERM INVESTMENTS – 1.3%      
Short-term funds – 0.0%          
John Hancock Collateral Trust, 5.2975% (C)(D)   8,017     80,147
Repurchase agreement – 1.3%          
Bank of America Tri-Party Repurchase Agreement dated 3-28-24 at 5.330% to be repurchased at $5,803,435 on 4-1-24, collateralized by $5,414,285 Federal Home Loan Mortgage Corp., 2.500% - 7.435% due 12-1-35 to 12-1-51 (valued at $4,699,145), $171,538 Federal National Mortgage Association, 3.000% due 9-1-43 (valued at $153,996) and $983,527 Government National Mortgage Association, 7.669% due 8-20-72 (valued at $1,062,859) $ 5,800,000     5,800,000
TOTAL SHORT-TERM INVESTMENTS (Cost $5,880,171)   $ 5,880,147
Total Investments (Small Cap Value Trust)
(Cost $409,141,520) – 99.9%
  $ 465,339,746
Other assets and liabilities, net – 0.1%     691,384
TOTAL NET ASSETS – 100.0%   $ 466,031,130
Security Abbreviations and Legend
(A) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $78,455.
(B) Non-income producing security.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Small Company Value Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 97.8%      
Communication services – 1.3%          
Diversified telecommunication services – 0.3%      
Frontier Communications Parent, Inc. (A)   16,352   $ 400,624
Media – 1.0%      
Advantage Solutions, Inc. (A)   71,229     308,422
The New York Times Company, Class A   23,326     1,008,150
          1,316,572
          1,717,196
Consumer discretionary – 11.5%          
Automobile components – 1.6%      
Dorman Products, Inc. (A)   8,341     803,989
LCI Industries   5,384     662,555
Modine Manufacturing Company (A)   2,700     257,013
 
  227  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Company Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Automobile components (continued)      
Visteon Corp. (A)   2,842   $ 334,248
          2,057,805
Broadline retail – 0.3%      
Kohl's Corp.   6,300     183,645
Savers Value Village, Inc. (A)   12,860     247,941
          431,586
Distributors – 0.2%      
Pool Corp.   781     315,134
Diversified consumer services – 1.3%      
Strategic Education, Inc.   16,720     1,740,885
Hotels, restaurants and leisure – 2.2%      
BJ's Restaurants, Inc. (A)   8,283     299,679
Cava Group, Inc. (A)   7,278     509,824
Dutch Bros, Inc., Class A (A)   9,451     311,883
Marriott Vacations Worldwide Corp.   5,736     617,939
Papa John's International, Inc.   12,121     807,259
Wyndham Hotels & Resorts, Inc.   4,200     322,350
          2,868,934
Household durables – 2.1%      
Meritage Homes Corp.   9,698     1,701,611
Skyline Champion Corp. (A)   6,000     510,060
Smith Douglas Homes Corp. (A)   8,475     251,708
Taylor Morrison Home Corp. (A)   4,500     279,765
          2,743,144
Leisure products – 0.1%      
Peloton Interactive, Inc., Class A (A)   37,138     159,136
Specialty retail – 2.7%      
Abercrombie & Fitch Company, Class A (A)   1,500     187,995
Asbury Automotive Group, Inc. (A)   3,605     849,987
Caleres, Inc.   12,838     526,743
Carvana Company (A)(B)   4,987     438,407
Floor & Decor Holdings, Inc., Class A (A)   3,973     514,980
Monro, Inc.   18,568     585,635
Urban Outfitters, Inc. (A)   8,200     356,044
          3,459,791
Textiles, apparel and luxury goods – 1.0%      
Figs, Inc., Class A (A)   79,711     396,961
Steven Madden, Ltd.   21,574     912,149
          1,309,110
          15,085,525
Consumer staples – 2.1%          
Food products – 1.6%      
Nomad Foods, Ltd.   49,622     970,606
Post Holdings, Inc. (A)   6,893     732,588
TreeHouse Foods, Inc. (A)   8,600     334,970
          2,038,164
Personal care products – 0.5%      
BellRing Brands, Inc. (A)   11,300     667,039
          2,705,203
Energy – 9.2%          
Energy equipment and services – 4.2%      
Cactus, Inc., Class A   18,453     924,311
ChampionX Corp.   41,074     1,474,146
Enerflex, Ltd.   91,423     532,996
Expro Group Holdings NV (A)   32,642     651,861
Liberty Energy, Inc.   29,614     613,602
Small Company Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Energy equipment and services (continued)      
TechnipFMC PLC   51,600   $ 1,295,676
          5,492,592
Oil, gas and consumable fuels – 5.0%      
Magnolia Oil & Gas Corp., Class A (B)   31,992     830,192
Matador Resources Company   33,652     2,246,944
Permian Resources Corp.   62,445     1,102,779
Range Resources Corp.   36,295     1,249,637
Southwestern Energy Company (A)   137,800     1,044,524
          6,474,076
          11,966,668
Financials – 25.3%          
Banks – 16.1%      
BankUnited, Inc.   29,912     837,536
Cathay General Bancorp   17,100     646,893
Columbia Banking System, Inc.   56,431     1,091,940
CrossFirst Bankshares, Inc. (A)   38,258     529,491
Eastern Bankshares, Inc.   78,841     1,086,429
FB Financial Corp.   29,768     1,121,063
HarborOne Bancorp, Inc.   47,415     505,444
Home BancShares, Inc.   48,349     1,187,935
Live Oak Bancshares, Inc.   29,610     1,229,111
National Bank Holdings Corp., Class A   27,961     1,008,553
Pinnacle Financial Partners, Inc.   24,393     2,094,871
Popular, Inc.   17,694     1,558,664
Preferred Bank   9,702     744,823
Prosperity Bancshares, Inc.   10,069     662,339
Southern First Bancshares, Inc. (A)   8,371     265,863
SouthState Corp.   15,893     1,351,382
Synovus Financial Corp.   9,700     388,582
Texas Capital Bancshares, Inc. (A)   15,843     975,137
Towne Bank   34,706     973,850
Webster Financial Corp.   17,142     870,299
Western Alliance Bancorp   13,565     870,737
WSFS Financial Corp.   22,609     1,020,570
          21,021,512
Capital markets – 1.6%      
Houlihan Lokey, Inc.   11,568     1,482,902
StepStone Group, Inc., Class A   9,063     323,912
Virtus Investment Partners, Inc.   1,270     314,935
          2,121,749
Consumer finance – 0.5%      
NerdWallet, Inc., Class A (A)   22,415     329,501
PRA Group, Inc. (A)   12,565     327,695
          657,196
Financial services – 2.8%      
PennyMac Financial Services, Inc.   22,142     2,016,915
Radian Group, Inc.   4,849     162,296
Voya Financial, Inc.   5,900     436,128
Walker & Dunlop, Inc.   9,829     993,319
          3,608,658
Insurance – 3.0%      
First American Financial Corp.   9,768     596,336
James River Group Holdings, Ltd.   22,805     212,087
Oscar Health, Inc., Class A (A)   28,700     426,769
Primerica, Inc.   1,000     252,960
ProAssurance Corp. (A)   37,290     479,549
Ryan Specialty Holdings, Inc.   19,166     1,063,713
Selective Insurance Group, Inc.   4,100     447,597
 
  228  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Company Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
The Hanover Insurance Group, Inc.   3,200   $ 435,744
          3,914,755
Mortgage real estate investment trusts – 1.3%      
Hannon Armstrong Sustainable Infrastructure Capital, Inc.   37,163     1,055,429
PennyMac Mortgage Investment Trust   47,655     699,575
          1,755,004
          33,078,874
Health care – 8.7%          
Biotechnology – 4.2%      
Apellis Pharmaceuticals, Inc. (A)   5,423     318,764
Arrowhead Pharmaceuticals, Inc. (A)   7,100     203,060
Ascendis Pharma A/S, ADR (A)   2,938     444,137
Biohaven, Ltd. (A)   5,300     289,857
Black Diamond Therapeutics, Inc. (A)(B)   45,300     229,671
Blueprint Medicines Corp. (A)   2,907     275,758
Cabaletta Bio, Inc. (A)   8,600     146,716
Crinetics Pharmaceuticals, Inc. (A)   6,068     284,043
CRISPR Therapeutics AG (A)(B)   3,191     217,499
Cytokinetics, Inc. (A)   6,780     475,346
Immatics NV (A)(B)   26,709     280,712
Insmed, Inc. (A)   9,488     257,409
Ionis Pharmaceuticals, Inc. (A)   12,900     559,215
MacroGenics, Inc. (A)   10,051     147,951
MoonLake Immunotherapeutics (A)   2,471     124,118
Syndax Pharmaceuticals, Inc. (A)   12,993     309,233
Vaxcyte, Inc. (A)   5,685     388,342
Verve Therapeutics, Inc. (A)   15,880     210,886
Xenon Pharmaceuticals, Inc. (A)   5,100     219,555
Zentalis Pharmaceuticals, Inc. (A)   9,583     151,028
          5,533,300
Health care equipment and supplies – 1.3%      
Atrion Corp.   1,143     529,838
Avanos Medical, Inc. (A)   15,000     298,650
Lantheus Holdings, Inc. (A)   6,733     419,062
QuidelOrtho Corp. (A)   10,090     483,715
          1,731,265
Health care providers and services – 2.3%      
Privia Health Group, Inc. (A)   11,700     229,203
Select Medical Holdings Corp.   43,448     1,309,957
The Ensign Group, Inc.   8,242     1,025,470
The Pennant Group, Inc. (A)   22,481     441,302
          3,005,932
Health care technology – 0.3%      
Phreesia, Inc. (A)   14,159     338,825
Pharmaceuticals – 0.6%      
Elanco Animal Health, Inc. (A)   40,833     664,761
Neumora Therapeutics, Inc. (A)(B)   8,801     121,014
          785,775
          11,395,097
Industrials – 14.6%          
Aerospace and defense – 0.9%      
Leonardo DRS, Inc. (A)   16,659     367,997
Moog, Inc., Class A   5,500     878,075
          1,246,072
Building products – 1.7%      
UFP Industries, Inc.   10,538     1,296,279
Zurn Elkay Water Solutions Corp.   26,600     890,302
          2,186,581
Commercial services and supplies – 2.0%      
Brady Corp., Class A   15,503     919,018
Small Company Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Commercial services and supplies (continued)      
Casella Waste Systems, Inc., Class A (A)   7,700   $ 761,299
MSA Safety, Inc.   2,731     528,694
Stericycle, Inc. (A)   8,436     444,999
          2,654,010
Construction and engineering – 1.0%      
Arcosa, Inc.   2,000     171,720
Valmont Industries, Inc.   2,008     458,386
WillScot Mobile Mini Holdings Corp. (A)   14,797     688,061
          1,318,167
Ground transportation – 0.9%      
Landstar System, Inc.   6,003     1,157,138
Machinery – 3.6%      
Alamo Group, Inc.   3,729     851,443
Crane Company   3,900     527,007
Esab Corp.   9,955     1,100,724
ESCO Technologies, Inc.   4,361     466,845
John Bean Technologies Corp.   3,500     367,115
RBC Bearings, Inc. (A)   2,953     798,344
SPX Technologies, Inc. (A)   4,584     564,428
          4,675,906
Passenger airlines – 0.4%      
Allegiant Travel Company   7,831     588,970
Professional services – 2.1%      
ASGN, Inc. (A)   4,200     439,992
FTI Consulting, Inc. (A)   2,920     614,047
Parsons Corp. (A)   12,936     1,073,041
Paycor HCM, Inc. (A)   30,007     583,336
          2,710,416
Trading companies and distributors – 2.0%      
Beacon Roofing Supply, Inc. (A)   14,669     1,437,855
Herc Holdings, Inc.   3,972     668,488
MSC Industrial Direct Company, Inc., Class A   5,100     494,904
          2,601,247
          19,138,507
Information technology – 6.5%          
Communications equipment – 0.3%      
Viavi Solutions, Inc. (A)   47,597     432,657
Electronic equipment, instruments and components – 2.2%      
Littelfuse, Inc.   3,535     856,707
Mirion Technologies, Inc. (A)   55,097     626,453
PAR Technology Corp. (A)   7,819     354,670
Vishay Intertechnology, Inc.   16,400     371,952
Vontier Corp.   14,568     660,804
          2,870,586
IT services – 0.2%      
Endava PLC, ADR (A)   6,648     252,890
Semiconductors and semiconductor equipment – 2.2%      
Diodes, Inc. (A)   5,400     380,700
Entegris, Inc.   1,862     261,685
Lattice Semiconductor Corp. (A)   6,880     538,222
MACOM Technology Solutions Holdings, Inc. (A)   8,800     841,632
Onto Innovation, Inc. (A)   4,936     893,811
          2,916,050
Software – 1.6%      
Altair Engineering, Inc., Class A (A)   1,900     163,685
Amplitude, Inc., Class A (A)   13,700     149,056
DoubleVerify Holdings, Inc. (A)   14,066     494,561
Intapp, Inc. (A)   6,284     215,541
 
  229  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Small Company Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
JFrog, Ltd. (A)   6,134   $ 271,245
NCino, Inc. (A)   12,912     482,651
Workiva, Inc. (A)   3,191     270,597
          2,047,336
          8,519,519
Materials – 4.7%          
Chemicals – 1.7%      
Element Solutions, Inc.   45,071     1,125,874
Orion SA   24,107     566,997
Quaker Chemical Corp.   2,552     523,798
          2,216,669
Containers and packaging – 0.0%      
Pactiv Evergreen, Inc.   2,022     28,955
Metals and mining – 2.5%      
Carpenter Technology Corp.   6,252     446,518
Constellium SE (A)   58,200     1,286,802
Hudbay Minerals, Inc.   47,100     329,700
Reliance, Inc.   3,767     1,258,856
          3,321,876
Paper and forest products – 0.5%      
Clearwater Paper Corp. (A)   6,071     265,485
West Fraser Timber Company, Ltd.   3,814     329,644
          595,129
          6,162,629
Real estate – 10.1%          
Diversified REITs – 0.8%      
Essential Properties Realty Trust, Inc.   37,403     997,164
Hotel and resort REITs – 1.1%      
Apple Hospitality REIT, Inc.   86,229     1,412,431
Industrial REITs – 2.0%      
EastGroup Properties, Inc.   6,176     1,110,260
Terreno Realty Corp.   22,985     1,526,204
          2,636,464
Office REITs – 0.7%      
Highwoods Properties, Inc.   17,600     460,768
Kilroy Realty Corp.   12,500     455,375
          916,143
Real estate management and development – 1.4%      
FirstService Corp.   4,900     812,420
Opendoor Technologies, Inc. (A)   55,700     168,771
The St. Joe Company   14,192     822,710
          1,803,901
Residential REITs – 1.2%      
Independence Realty Trust, Inc.   60,996     983,865
UMH Properties, Inc.   39,800     646,352
          1,630,217
Retail REITs – 1.3%      
NETSTREIT Corp.   39,690     729,105
Saul Centers, Inc.   15,309     589,243
The Macerich Company   22,500     387,675
          1,706,023
Specialized REITs – 1.6%      
CubeSmart   20,164     911,816
PotlatchDeltic Corp.   15,296     719,218
Safehold, Inc.   19,722     406,273
          2,037,307
          13,139,650
Small Company Value Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Utilities – 3.8%          
Electric utilities – 2.1%      
IDACORP, Inc.   8,035   $ 746,371
MGE Energy, Inc.   7,492     589,770
OGE Energy Corp.   16,200     555,660
PNM Resources, Inc.   21,800     820,552
          2,712,353
Gas utilities – 1.1%      
Chesapeake Utilities Corp.   6,649     713,438
ONE Gas, Inc.   10,937     705,765
          1,419,203
Water utilities – 0.6%      
Artesian Resources Corp., Class A   5,610     208,187
California Water Service Group   14,090     654,903
          863,090
          4,994,646
TOTAL COMMON STOCKS (Cost $101,471,210)   $ 127,903,514
WARRANTS – 0.0%          
Advantage Solutions, Inc. (Expiration Date: 10-28-25; Strike Price: $11.50) (A)   4,703     611
TOTAL WARRANTS (Cost $6,099)   $ 611
SHORT-TERM INVESTMENTS – 3.6%      
Short-term funds – 3.6%          
John Hancock Collateral Trust, 5.2975% (C)(D)   187,244     1,871,954
State Street Institutional U.S. Government Money Market Fund, Premier Class, 5.2417% (C)   451,970     451,970
T. Rowe Price Government Reserve Fund, 5.3578% (C)   2,403,280     2,403,280
TOTAL SHORT-TERM INVESTMENTS (Cost $4,727,636)   $ 4,727,204
Total Investments (Small Company Value Trust)
(Cost $106,204,945) – 101.4%
  $ 132,631,329
Other assets and liabilities, net – (1.4%)     (1,830,181)
TOTAL NET ASSETS – 100.0%   $ 130,801,148
Security Abbreviations and Legend
ADR American Depositary Receipt
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $1,830,884.
(C) The rate shown is the annualized seven-day yield as of 3-31-24.
(D) Investment is an affiliate of the fund, the advisor and/or subadvisor. This security represents the investment of cash collateral received for securities lending.
Strategic Equity Allocation Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 95.5%      
Communication services – 6.2%          
Diversified telecommunication services – 0.9%      
Anterix, Inc. (A)   1,962   $ 65,943
AST SpaceMobile, Inc. (A)(B)   18,418     53,412
AT&T, Inc.   630,020     11,088,352
ATN International, Inc.   1,870     58,914
Bandwidth, Inc., Class A (A)   3,389     61,883
BT Group PLC   869,759     1,203,712
 
  230  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified telecommunication services (continued)      
Cellnex Telecom SA (A)(C)   61,772   $ 2,185,166
Cogent Communications Holdings, Inc.   6,753     441,173
Consolidated Communications Holdings, Inc. (A)   11,659     50,367
Deutsche Telekom AG   435,996     10,583,579
Elisa OYJ   19,132     852,969
Frontier Communications Parent, Inc. (A)   42,787     1,048,282
Globalstar, Inc. (A)   109,108     160,389
HKT Trust & HKT, Ltd.   509,755     594,776
IDT Corp., Class B   2,355     89,043
Infrastrutture Wireless Italiane SpA (C)   45,213     513,075
Iridium Communications, Inc.   23,956     626,689
Koninklijke KPN NV   451,317     1,688,108
Liberty Latin America, Ltd., Class A (A)   7,796     54,338
Liberty Latin America, Ltd., Class C (A)   19,318     135,033
Lumen Technologies, Inc. (A)   157,775     246,129
Nippon Telegraph & Telephone Corp.   4,019,563     4,787,711
Ooma, Inc. (A)   4,269     36,415
Orange SA   250,472     2,945,554
Shenandoah Telecommunications Company   7,651     132,898
Singapore Telecommunications, Ltd.   851,921     1,601,032
Singapore Telecommunications, Ltd.   258,829     485,049
Spark New Zealand, Ltd.   244,008     694,714
Swisscom AG   3,484     2,132,399
Telecom Italia SpA (A)(B)   1,340,410     325,392
Telefonica SA   657,496     2,903,665
Telenor ASA   84,710     942,613
Telia Company AB   317,336     813,317
Telstra Group, Ltd.   543,958     1,368,285
Verizon Communications, Inc.   370,547     15,548,152
          66,518,528
Entertainment – 1.0%      
Atlanta Braves Holdings, Inc., Series A (A)   1,560     65,364
Atlanta Braves Holdings, Inc., Series C (A)   7,177     280,334
Bollore SE   95,843     640,344
Capcom Company, Ltd.   46,606     873,121
Cinemark Holdings, Inc. (A)   17,147     308,132
Electronic Arts, Inc.   21,429     2,842,985
Eventbrite, Inc., Class A (A)   12,787     70,073
IMAX Corp. (A)   7,330     118,526
Konami Group Corp.   13,512     920,424
Lions Gate Entertainment Corp., Class A (A)   8,532     84,893
Lions Gate Entertainment Corp., Class B (A)   19,517     181,703
Live Nation Entertainment, Inc. (A)   12,820     1,355,971
Madison Square Garden Entertainment Corp. (A)   6,092     238,867
Netflix, Inc. (A)   38,129     23,156,886
Nexon Company, Ltd.   46,124     766,650
Nintendo Company, Ltd.   139,758     7,625,841
Playstudios, Inc. (A)   14,355     39,907
Reservoir Media, Inc. (A)   2,970     23,552
Sea, Ltd., ADR (A)   49,606     2,664,338
Sphere Entertainment Company (A)   4,072     199,854
Square Enix Holdings Company, Ltd.   11,538     444,972
Take-Two Interactive Software, Inc. (A)   13,763     2,043,668
The Marcus Corp.   4,146     59,122
The Walt Disney Company   161,609     19,774,477
TKO Group Holdings, Inc.   11,587     1,001,233
Toho Company, Ltd.   15,053     499,838
Universal Music Group NV   110,270     3,313,650
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Entertainment (continued)      
Vivid Seats, Inc., Class A (A)   9,105   $ 54,539
Warner Brothers Discovery, Inc. (A)   191,872     1,675,043
          71,324,307
Interactive media and services – 3.4%      
Adevinta ASA (A)   47,043     493,417
Alphabet, Inc., Class A (A)   519,189     78,361,196
Alphabet, Inc., Class C (A)   434,812     66,204,475
Auto Trader Group PLC (C)   122,059     1,077,892
Bumble, Inc., Class A (A)   15,712     178,331
CarGurus, Inc. (A)   15,030     346,892
Cars.com, Inc. (A)   10,275     176,525
carsales.com, Ltd.   48,182     1,132,560
DHI Group, Inc. (A)   8,996     22,940
EverQuote, Inc., Class A (A)   3,464     64,292
FuboTV, Inc. (A)   43,330     68,461
Grindr, Inc. (A)   6,555     66,402
LY Corp.   359,516     910,639
Match Group, Inc. (A)   24,559     891,001
MediaAlpha, Inc., Class A (A)   3,455     70,378
Meta Platforms, Inc., Class A   193,852     94,130,654
Nextdoor Holdings, Inc. (A)   24,652     55,467
Outbrain, Inc. (A)   6,488     25,628
QuinStreet, Inc. (A)   8,178     144,423
REA Group, Ltd.   7,109     858,966
Scout24 SE (C)   10,089     760,087
SEEK, Ltd.   47,917     781,363
Shutterstock, Inc.   3,775     172,933
TrueCar, Inc. (A)   13,804     46,796
Vimeo, Inc. (A)   25,528     104,410
Yelp, Inc. (A)   10,215     402,471
Ziff Davis, Inc. (A)   15,988     1,007,884
ZipRecruiter, Inc., Class A (A)   10,432     119,864
ZoomInfo Technologies, Inc. (A)   57,299     918,503
          249,594,850
Media – 0.5%      
Advantage Solutions, Inc. (A)   13,796     59,737
AMC Networks, Inc., Class A (A)   4,856     58,903
Boston Omaha Corp., Class A (A)   3,920     60,603
Cable One, Inc.   880     372,354
Cardlytics, Inc. (A)(B)   5,708     82,709
Charter Communications, Inc., Class A (A)   8,684     2,523,831
Clear Channel Outdoor Holdings, Inc. (A)   58,175     95,989
Comcast Corp., Class A   349,019     15,129,974
Daily Journal Corp. (A)   221     79,916
Dentsu Group, Inc.   27,256     756,810
EchoStar Corp., Class A (A)   18,255     260,134
Fox Corp., Class A   19,777     618,427
Fox Corp., Class B   11,916     341,036
Gambling.com Group, Ltd. (A)   2,414     22,040
Gannett Company, Inc. (A)   24,230     59,121
Gray Television, Inc.   13,548     85,623
iHeartMedia, Inc., Class A (A)   18,085     37,798
Informa PLC   184,834     1,939,279
Integral Ad Science Holding Corp. (A)   8,520     84,944
John Wiley & Sons, Inc., Class A   5,764     219,781
Magnite, Inc. (A)   20,982     225,557
News Corp., Class A   34,388     900,278
News Corp., Class B   10,371     280,639
Nexstar Media Group, Inc.   6,235     1,074,228
Omnicom Group, Inc.   17,086     1,653,241
Paramount Global, Class B   43,591     513,066
Publicis Groupe SA   30,788     3,356,523
PubMatic, Inc., Class A (A)   6,634     157,358
 
  231  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Media (continued)      
Scholastic Corp.   4,248   $ 160,192
Sinclair, Inc.   4,908     66,111
Stagwell, Inc. (A)   12,789     79,548
TechTarget, Inc. (A)   3,951     130,699
TEGNA, Inc.   69,534     1,038,838
The EW Scripps Company, Class A (A)   10,123     39,783
The Interpublic Group of Companies, Inc.   34,605     1,129,161
The New York Times Company, Class A   31,649     1,367,870
Thryv Holdings, Inc. (A)   5,033     111,884
Townsquare Media, Inc., Class A   1,775     19,490
Vivendi SE   90,057     981,426
WideOpenWest, Inc. (A)   8,772     31,755
WPP PLC   144,583     1,370,232
          37,576,888
Wireless telecommunication services – 0.4%      
Gogo, Inc. (A)   10,862     95,368
KDDI Corp. (B)   201,342     5,953,023
SoftBank Corp. (B)   387,011     4,982,744
SoftBank Group Corp.   138,418     8,220,002
Spok Holdings, Inc.   2,584     41,215
Tele2 AB, B Shares   72,138     592,358
Telephone & Data Systems, Inc.   15,334     245,651
Tingo Group, Inc. (A)   19,584     501
T-Mobile US, Inc.   45,976     7,504,203
Vodafone Group PLC   3,096,220     2,746,112
          30,381,177
          455,395,750
Consumer discretionary – 10.9%          
Automobile components – 0.4%      
Adient PLC (A)   31,851     1,048,535
Aisin Corp.   19,819     809,859
American Axle & Manufacturing Holdings, Inc. (A)   17,794     130,964
Aptiv PLC (A)   24,488     1,950,469
Atmus Filtration Technologies, Inc. (A)(B)   2,405     77,561
Autoliv, Inc.   14,227     1,713,358
BorgWarner, Inc.   21,238     737,808
Bridgestone Corp.   76,804     3,403,932
Cie Generale des Etablissements Michelin SCA   91,366     3,501,452
Continental AG   14,797     1,068,120
Cooper-Standard Holdings, Inc. (A)   2,601     43,073
Dana, Inc.   20,272     257,454
Denso Corp.   254,382     4,871,840
Dorman Products, Inc. (A)   4,100     395,199
Fox Factory Holding Corp. (A)   14,877     774,645
Gentex Corp.   45,116     1,629,590
Gentherm, Inc. (A)   5,154     296,767
Holley, Inc. (A)   7,889     35,185
Koito Manufacturing Company, Ltd.   26,917     362,831
LCI Industries   3,831     471,443
Lear Corp.   11,032     1,598,316
Luminar Technologies, Inc. (A)(B)   42,704     84,127
Modine Manufacturing Company (A)   7,972     758,855
Patrick Industries, Inc.   3,196     381,826
Solid Power, Inc. (A)(B)   27,438     55,699
Standard Motor Products, Inc.   3,244     108,836
Stoneridge, Inc. (A)   4,126     76,083
Sumitomo Electric Industries, Ltd.   96,117     1,489,364
The Goodyear Tire & Rubber Company (A)   98,533     1,352,858
Visteon Corp. (A)   9,648     1,134,701
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Automobile components (continued)      
XPEL, Inc. (A)   3,517   $ 189,988
          30,810,738
Automobiles – 1.9%      
Bayerische Motoren Werke AG   42,896     4,949,288
Ferrari NV   16,956     7,393,416
Fisker, Inc. (A)   32,197     666
Ford Motor Company   343,334     4,559,476
General Motors Company   101,481     4,602,163
Harley-Davidson, Inc.   24,514     1,072,242
Honda Motor Company, Ltd.   621,350     7,688,390
Isuzu Motors, Ltd.   78,435     1,060,241
Livewire Group, Inc. (A)   3,205     23,172
Mazda Motor Corp.   76,490     886,488
Mercedes-Benz Group AG   107,933     8,595,452
Nissan Motor Company, Ltd.   323,623     1,282,350
Renault SA   25,857     1,304,747
Stellantis NV   298,043     8,467,111
Subaru Corp.   81,130     1,837,419
Suzuki Motor Corp.   211,420     2,413,838
Tesla, Inc. (A)   244,119     42,913,679
Thor Industries, Inc.   10,314     1,210,245
Toyota Motor Corp.   1,426,525     36,055,352
Volkswagen AG   3,969     606,296
Volvo Car AB, B Shares (A)   100,197     379,344
Winnebago Industries, Inc.   4,461     330,114
Yamaha Motor Company, Ltd.   120,135     1,106,631
          138,738,120
Broadline retail – 2.3%      
Amazon.com, Inc. (A)   805,460     145,288,875
Big Lots, Inc. (A)   5,177     22,416
CarParts.com, Inc. (A)   9,589     15,534
ContextLogic, Inc., Class A (A)   3,536     20,120
Dillard's, Inc., Class A   522     246,196
eBay, Inc.   45,436     2,398,112
Etsy, Inc. (A)   10,819     743,482
Global-e Online, Ltd. (A)   13,257     481,892
Macy's, Inc.   53,011     1,059,690
Next PLC   16,299     1,899,884
Nordstrom, Inc.   18,839     381,867
Ollie's Bargain Outlet Holdings, Inc. (A)   11,913     947,917
Pan Pacific International Holdings Corp.   51,235     1,357,815
Prosus NV (A)   196,767     6,158,880
Rakuten Group, Inc. (A)   201,662     1,144,654
Savers Value Village, Inc. (A)   4,105     79,144
Wesfarmers, Ltd.   152,648     6,804,265
          169,050,743
Distributors – 0.1%      
D'ieteren Group   2,890     640,718
Genuine Parts Company   12,169     1,885,343
LKQ Corp.   24,178     1,291,347
Pool Corp.   3,307     1,334,375
Weyco Group, Inc.   940     29,967
          5,181,750
Diversified consumer services – 0.2%      
Adtalem Global Education, Inc. (A)   6,170     317,138
Carriage Services, Inc.   2,228     60,245
Chegg, Inc. (A)   18,123     137,191
Coursera, Inc. (A)   20,147     282,461
Duolingo, Inc. (A)   4,532     999,669
European Wax Center, Inc., Class A (A)   5,670     73,597
frontdoor, Inc. (A)   12,522     407,967
Graham Holdings Company, Class B   1,204     924,287
Grand Canyon Education, Inc. (A)   5,717     778,713
H&R Block, Inc.   26,987     1,325,332
 
  232  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified consumer services (continued)      
IDP Education, Ltd.   35,569   $ 415,201
Laureate Education, Inc.   20,566     299,647
Lincoln Educational Services Corp. (A)   3,599     37,178
Nerdy, Inc. (A)   10,473     30,476
OneSpaWorld Holdings, Ltd. (A)   13,040     172,519
Pearson PLC   84,176     1,108,385
Perdoceo Education Corp.   10,366     182,027
Service Corp. International   28,577     2,120,699
Strategic Education, Inc.   3,516     366,086
Stride, Inc. (A)   6,605     416,445
Udemy, Inc. (A)   13,708     150,514
Universal Technical Institute, Inc. (A)   5,097     81,246
WW International, Inc. (A)   8,331     15,412
          10,702,435
Hotels, restaurants and leisure – 2.0%      
Accel Entertainment, Inc. (A)   8,268     97,480
Accor SA   25,454     1,188,356
Airbnb, Inc., Class A (A)   38,356     6,327,206
Amadeus IT Group SA   60,601     3,890,383
Aramark   50,765     1,650,878
Aristocrat Leisure, Ltd.   77,919     2,181,803
Bally's Corp. (A)   4,931     68,738
Biglari Holdings, Inc., Class B (A)   119     22,572
BJ's Restaurants, Inc. (A)   3,525     127,535
Bloomin' Brands, Inc.   13,337     382,505
Booking Holdings, Inc.   3,073     11,148,475
Bowlero Corp., Class A (B)   2,692     36,880
Boyd Gaming Corp.   13,440     904,781
Brinker International, Inc. (A)   6,766     336,135
Caesars Entertainment, Inc. (A)   19,490     852,493
Carnival Corp. (A)   86,444     1,412,495
Carrols Restaurant Group, Inc.   5,724     54,435
Century Casinos, Inc. (A)   4,961     15,677
Chipotle Mexican Grill, Inc. (A)   2,416     7,022,756
Choice Hotels International, Inc. (B)   4,781     604,079
Churchill Downs, Inc.   13,130     1,624,838
Chuy's Holdings, Inc. (A)   2,791     94,140
Compass Group PLC   229,888     6,743,222
Cracker Barrel Old Country Store, Inc. (B)   3,405     247,646
Darden Restaurants, Inc.   10,434     1,744,043
Dave & Buster's Entertainment, Inc. (A)   5,409     338,603
Delivery Hero SE (A)(C)   23,757     679,317
Denny's Corp. (A)   7,676     68,777
Dine Brands Global, Inc.   2,466     114,620
Domino's Pizza, Inc.   3,152     1,566,166
El Pollo Loco Holdings, Inc. (A)   3,764     36,661
Entain PLC   85,929     862,297
Everi Holdings, Inc. (A)   12,944     130,087
Evolution AB (C)   24,652     3,061,874
Expedia Group, Inc. (A)   11,482     1,581,646
First Watch Restaurant Group, Inc. (A)   3,616     89,026
Flutter Entertainment PLC (A)   23,811     4,746,330
Full House Resorts, Inc. (A)   5,097     28,390
Galaxy Entertainment Group, Ltd.   294,166     1,478,793
Genting Singapore, Ltd.   813,434     533,480
Global Business Travel Group I (A)   5,600     33,656
Golden Entertainment, Inc.   3,041     112,000
Hilton Grand Vacations, Inc. (A)   26,173     1,235,627
Hilton Worldwide Holdings, Inc.   22,196     4,734,629
Hyatt Hotels Corp., Class A   8,553     1,365,230
Inspired Entertainment, Inc. (A)   3,771     37,182
InterContinental Hotels Group PLC   22,229     2,309,857
International Game Technology PLC   16,723     377,773
Jack in the Box, Inc.   3,084     211,192
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Krispy Kreme, Inc. (B)   13,686   $ 208,506
Kura Sushi USA, Inc., Class A (A)   978     112,626
La Francaise des Jeux SAEM (C)   14,131     575,947
Las Vegas Sands Corp.   31,922     1,650,367
Life Time Group Holdings, Inc. (A)   6,877     106,731
Light & Wonder, Inc. (A)   31,475     3,213,283
Lindblad Expeditions Holdings, Inc. (A)   5,542     51,707
Marriott International, Inc., Class A   21,718     5,479,669
Marriott Vacations Worldwide Corp.   6,389     688,287
McDonald's Corp.   63,897     18,015,759
McDonald's Holdings Company Japan, Ltd.   11,626     522,788
MGM Resorts International (A)   24,690     1,165,615
Monarch Casino & Resort, Inc.   1,999     149,905
Mondee Holdings, Inc. (A)(B)   7,595     17,544
Nathan's Famous, Inc.   555     39,294
Norwegian Cruise Line Holdings, Ltd. (A)   38,438     804,507
ONE Group Hospitality, Inc. (A)   3,329     18,543
Oriental Land Company, Ltd.   146,768     4,701,818
Papa John's International, Inc.   5,076     338,062
Penn Entertainment, Inc. (A)   28,819     524,794
Planet Fitness, Inc., Class A (A)   16,526     1,035,023
PlayAGS, Inc. (A)   5,762     51,743
Portillo's, Inc., Class A (A)   7,316     103,741
Potbelly Corp. (A)   4,022     48,706
RCI Hospitality Holdings, Inc.   1,414     82,012
Red Robin Gourmet Burgers, Inc. (A)   2,873     22,007
Red Rock Resorts, Inc., Class A   7,204     430,943
Royal Caribbean Cruises, Ltd. (A)   20,721     2,880,426
Rush Street Interactive, Inc. (A)   9,488     61,767
Sabre Corp. (A)   51,574     124,809
Sands China, Ltd. (A)   326,603     921,425
Shake Shack, Inc., Class A (A)   5,839     607,431
Six Flags Entertainment Corp. (A)   11,133     293,021
Sodexo SA   11,902     1,020,278
Starbucks Corp.   99,712     9,112,680
Super Group SGHC, Ltd. (A)   22,217     76,649
Sweetgreen, Inc., Class A (A)   15,109     381,653
Target Hospitality Corp. (A)   5,298     57,589
Texas Roadhouse, Inc.   12,917     1,995,289
The Cheesecake Factory, Inc.   7,474     270,185
The Lottery Corp., Ltd.   299,396     1,004,056
The Wendy's Company   32,316     608,833
Travel + Leisure Company   14,008     685,832
United Parks & Resorts, Inc. (A)   5,513     309,886
Vail Resorts, Inc.   7,344     1,636,464
Whitbread PLC   25,082     1,048,626
Wingstop, Inc.   5,690     2,084,816
Wyndham Hotels & Resorts, Inc.   16,047     1,231,607
Wynn Resorts, Ltd.   8,674     886,743
Xponential Fitness, Inc., Class A (A)   4,111     67,996
Yum! Brands, Inc.   24,704     3,425,210
Zensho Holdings Company, Ltd.   12,973     539,482
          146,005,444
Household durables – 0.8%      
Barratt Developments PLC   131,109     786,927
Beazer Homes USA, Inc. (A)   4,727     155,046
Cavco Industries, Inc. (A)   1,356     541,125
Century Communities, Inc.   4,443     428,750
Cricut, Inc., Class A   7,992     38,042
D.R. Horton, Inc.   26,341     4,334,412
Dream Finders Homes, Inc., Class A (A)   3,859     168,754
Ethan Allen Interiors, Inc.   3,392     117,261
Garmin, Ltd.   13,315     1,982,204
 
  233  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Household durables (continued)      
GoPro, Inc., Class A (A)   21,321   $ 47,546
Green Brick Partners, Inc. (A)   4,065     244,835
Hamilton Beach Brands Holding Company, Class B   853     20,779
Helen of Troy, Ltd. (A)   8,285     954,763
Hooker Furnishings Corp.   1,702     40,865
Hovnanian Enterprises, Inc., Class A (A)   748     117,391
Iida Group Holdings Company, Ltd.   20,748     268,511
Installed Building Products, Inc.   3,668     949,022
iRobot Corp. (A)   4,317     37,817
KB Home   24,815     1,758,887
Landsea Homes Corp. (A)   3,264     47,426
La-Z-Boy, Inc.   6,720     252,806
Legacy Housing Corp. (A)   1,869     40,221
Leggett & Platt, Inc.   25,802     494,108
Lennar Corp., Class A   21,826     3,753,635
LGI Homes, Inc. (A)   3,231     375,991
M/I Homes, Inc. (A)   4,168     568,057
MDC Holdings, Inc.   9,287     584,245
Meritage Homes Corp.   5,620     986,085
Mohawk Industries, Inc. (A)   4,776     625,131
NVR, Inc. (A)   277     2,243,689
Panasonic Holdings Corp.   297,126     2,835,699
Persimmon PLC   42,970     712,464
PulteGroup, Inc.   18,730     2,259,213
SEB SA   3,350     428,608
Sekisui Chemical Company, Ltd.   51,284     750,316
Sekisui House, Ltd.   80,254     1,827,999
Sharp Corp. (A)   34,991     194,882
Skyline Champion Corp. (A)   8,322     707,453
Snap One Holdings Corp. (A)   3,280     28,274
Sonos, Inc. (A)   19,724     375,939
Sony Group Corp.   169,658     14,548,296
Taylor Morrison Home Corp. (A)   36,404     2,263,237
Taylor Wimpey PLC   475,622     822,288
Tempur Sealy International, Inc.   33,322     1,893,356
The Berkeley Group Holdings PLC   14,273     857,528
The Lovesac Company (A)   2,096     47,370
Toll Brothers, Inc.   20,172     2,609,652
TopBuild Corp. (A)   6,113     2,694,182
Tri Pointe Homes, Inc. (A)   14,685     567,722
Vizio Holding Corp., Class A (A)   11,680     127,779
VOXX International Corp. (A)   1,827     14,908
Whirlpool Corp.   10,638     1,272,624
Worthington Enterprises, Inc.   4,838     301,069
          61,105,189
Leisure products – 0.1%      
Acushnet Holdings Corp.   4,765     314,252
AMMO, Inc. (A)   16,618     45,700
Bandai Namco Holdings, Inc.   80,631     1,496,120
Brunswick Corp.   13,310     1,284,681
Clarus Corp.   4,699     31,718
Escalade, Inc.   1,598     21,973
Funko, Inc., Class A (A)   6,053     37,771
Hasbro, Inc.   11,783     665,975
JAKKS Pacific, Inc. (A)   1,073     26,503
Johnson Outdoors, Inc., Class A   1,002     46,202
Malibu Boats, Inc., Class A (A)   3,188     137,977
MasterCraft Boat Holdings, Inc. (A)   2,580     61,198
Mattel, Inc. (A)   68,324     1,353,498
Polaris, Inc.   10,268     1,028,032
Shimano, Inc.   10,293     1,531,223
Smith & Wesson Brands, Inc.   7,434     129,054
Sturm Ruger & Company, Inc.   2,874     132,635
Topgolf Callaway Brands Corp. (A)   22,333     361,125
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Leisure products (continued)      
Vista Outdoor, Inc. (A)   9,082   $ 297,708
Yamaha Corp.   17,639     380,734
YETI Holdings, Inc. (A)   16,799     647,601
          10,031,680
Specialty retail – 1.8%      
1-800-Flowers.com, Inc., Class A (A)   4,415     47,814
Abercrombie & Fitch Company, Class A (A)   7,576     949,500
Academy Sports & Outdoors, Inc.   11,193     755,975
American Eagle Outfitters, Inc.   28,399     732,410
America's Car-Mart, Inc. (A)   984     62,848
Arko Corp.   13,121     74,790
Asbury Automotive Group, Inc. (A)   3,206     755,911
AutoNation, Inc. (A)   5,017     830,715
AutoZone, Inc. (A)   1,525     4,806,266
Avolta AG (A)   13,343     555,567
BARK, Inc. (A)(B)   17,038     21,127
Bath & Body Works, Inc.   20,544     1,027,611
Best Buy Company, Inc.   16,516     1,354,807
Beyond, Inc. (A)   7,008     251,657
Big 5 Sporting Goods Corp.   4,066     14,312
Boot Barn Holdings, Inc. (A)   4,622     439,783
Build-A-Bear Workshop, Inc.   1,890     56,454
Burlington Stores, Inc. (A)   12,367     2,871,494
Caleres, Inc.   5,306     217,705
Camping World Holdings, Inc., Class A   6,337     176,485
CarMax, Inc. (A)   13,418     1,168,842
Carvana Company (A)(B)   15,860     1,394,253
Designer Brands, Inc., Class A   6,843     74,794
Destination XL Group, Inc. (A)   8,665     31,194
Dick's Sporting Goods, Inc.   11,252     2,530,125
EVgo, Inc. (A)(B)   16,757     42,060
Fast Retailing Company, Ltd.   23,543     7,294,234
Five Below, Inc. (A)   10,676     1,936,413
Floor & Decor Holdings, Inc., Class A (A)   20,613     2,671,857
Foot Locker, Inc.   12,816     365,256
GameStop Corp., Class A (A)(B)   51,955     650,477
Genesco, Inc. (A)   1,771     49,836
Group 1 Automotive, Inc.   2,059     601,702
GrowGeneration Corp. (A)   11,293     32,298
Guess?, Inc.   4,351     136,926
Haverty Furniture Companies, Inc.   2,251     76,804
Hennes & Mauritz AB, B Shares (B)   86,879     1,416,655
Hibbett, Inc.   1,885     144,787
Industria de Diseno Textil SA   146,736     7,389,077
JD Sports Fashion PLC   348,603     592,225
Kingfisher PLC   252,492     794,662
Lands' End, Inc. (A)   2,528     27,530
Leslie's, Inc. (A)   27,786     180,609
Lithia Motors, Inc.   5,323     1,601,478
Lowe's Companies, Inc.   50,701     12,915,066
MarineMax, Inc. (A)   3,420     113,749
Monro, Inc.   4,930     155,492
Murphy USA, Inc.   3,668     1,537,626
National Vision Holdings, Inc. (A)   12,130     268,801
Nitori Holdings Company, Ltd.   10,776     1,633,125
OneWater Marine, Inc., Class A (A)   1,971     55,484
O'Reilly Automotive, Inc. (A)   5,214     5,885,980
Penske Automotive Group, Inc.   3,770     610,702
PetMed Express, Inc.   3,611     17,297
Revolve Group, Inc. (A)   6,333     134,070
RH (A)   2,960     1,030,850
Ross Stores, Inc.   29,636     4,349,379
Sally Beauty Holdings, Inc. (A)   16,621     206,433
 
  234  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
Shoe Carnival, Inc.   2,990   $ 109,554
Signet Jewelers, Ltd.   6,811     681,577
Sleep Number Corp. (A)   3,572     57,259
Sonic Automotive, Inc., Class A   2,314     131,759
Sportsman's Warehouse Holdings, Inc. (A)   7,249     22,544
Stitch Fix, Inc., Class A (A)   14,879     39,281
The Aaron's Company, Inc.   5,286     39,645
The Buckle, Inc.   4,799     193,256
The Cato Corp., Class A   3,390     19,560
The Children's Place, Inc. (A)(B)   1,773     20,460
The Gap, Inc.   41,602     1,146,135
The Home Depot, Inc.   87,735     33,655,146
The ODP Corp. (A)   4,865     258,088
The TJX Companies, Inc.   100,420     10,184,596
ThredUp, Inc., Class A (A)   13,145     26,290
Tile Shop Holdings, Inc. (A)   4,705     33,076
Tilly's, Inc., Class A (A)   4,137     28,132
Tractor Supply Company   9,467     2,477,703
Ulta Beauty, Inc. (A)   4,265     2,230,083
Upbound Group, Inc.   8,282     291,609
Urban Outfitters, Inc. (A)   9,948     431,942
USS Company, Ltd.   55,316     457,305
Valvoline, Inc. (A)   25,077     1,117,682
Warby Parker, Inc., Class A (A)   13,214     179,843
Williams-Sonoma, Inc.   12,407     3,939,595
Winmark Corp.   437     158,063
Zalando SE (A)(C)   30,160     862,433
ZOZO, Inc.   18,190     451,473
Zumiez, Inc. (A)   2,465     37,443
          135,402,911
Textiles, apparel and luxury goods – 1.3%      
adidas AG   21,792     4,868,958
Burberry Group PLC   48,228     737,712
Capri Holdings, Ltd. (A)   22,547     1,021,379
Carter's, Inc.   7,123     603,176
Cie Financiere Richemont SA, A Shares   72,314     11,009,113
Columbia Sportswear Company   6,671     541,552
Crocs, Inc. (A)   11,715     1,684,617
Deckers Outdoor Corp. (A)   2,255     2,122,541
Figs, Inc., Class A (A)   19,730     98,255
G-III Apparel Group, Ltd. (A)   6,541     189,754
Hanesbrands, Inc. (A)   55,254     320,473
Hermes International SCA   4,260     10,887,624
Kering SA   10,014     3,966,378
Kontoor Brands, Inc.   8,734     526,224
Lululemon Athletica, Inc. (A)   10,100     3,945,565
LVMH Moet Hennessy Louis Vuitton SE   37,144     33,422,024
Moncler SpA   27,706     2,067,442
Movado Group, Inc.   2,285     63,820
NIKE, Inc., Class B   107,097     10,064,976
Oxford Industries, Inc.   2,319     260,656
Pandora A/S   11,373     1,835,670
Puma SE   14,202     642,729
PVH Corp.   11,535     1,621,936
Ralph Lauren Corp.   3,592     674,434
Rocky Brands, Inc.   1,064     28,866
Skechers USA, Inc., Class A (A)   25,841     1,583,020
Steven Madden, Ltd.   11,580     489,602
Tapestry, Inc.   20,707     983,168
The Swatch Group AG   7,079     320,989
The Swatch Group AG, Bearer Shares   3,892     907,934
Under Armour, Inc., Class A (A)   36,519     269,510
Under Armour, Inc., Class C (A)   36,909     263,530
Vera Bradley, Inc. (A)   3,920     26,656
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Textiles, apparel and luxury goods (continued)      
VF Corp.   29,865   $ 458,129
Wolverine World Wide, Inc.   12,262     137,457
          98,645,869
          805,674,879
Consumer staples – 6.2%          
Beverages – 1.3%      
Anheuser-Busch InBev SA/NV   116,842     7,112,637
Asahi Group Holdings, Ltd.   64,791     2,379,117
Brown-Forman Corp., Class B   16,532     853,382
Carlsberg A/S, Class B   13,246     1,813,974
Celsius Holdings, Inc. (A)   28,679     2,378,063
Coca-Cola Consolidated, Inc.   1,646     1,393,191
Coca-Cola Europacific Partners PLC   27,774     1,942,791
Coca-Cola HBC AG (A)   29,613     935,779
Constellation Brands, Inc., Class A   14,164     3,849,209
Davide Campari-Milano NV   82,820     832,338
Diageo PLC   300,705     11,126,750
Heineken Holding NV   17,435     1,407,073
Heineken NV   38,741     3,734,926
Keurig Dr. Pepper, Inc.   90,967     2,789,958
Kirin Holdings Company, Ltd.   104,508     1,453,320
MGP Ingredients, Inc.   2,457     211,621
Molson Coors Beverage Company, Class B   16,730     1,125,093
Monster Beverage Corp. (A)   65,118     3,860,195
National Beverage Corp. (A)   3,726     176,836
PepsiCo, Inc.   121,078     21,189,861
Pernod Ricard SA   27,510     4,453,430
Primo Water Corp.   24,217     440,992
Remy Cointreau SA   3,103     313,324
Suntory Beverage & Food, Ltd.   18,705     632,695
The Boston Beer Company, Inc., Class A (A)   1,820     554,044
The Coca-Cola Company   342,856     20,975,930
The Duckhorn Portfolio, Inc. (A)   7,407     68,959
The Vita Coco Company, Inc. (A)   4,936     120,586
Treasury Wine Estates, Ltd.   109,153     885,406
          99,011,480
Consumer staples distribution and retail – 1.5%      
Aeon Company, Ltd.   87,966     2,086,721
BJ's Wholesale Club Holdings, Inc. (A)   25,799     1,951,694
Carrefour SA   76,276     1,308,463
Casey's General Stores, Inc.   7,178     2,285,834
Coles Group, Ltd.   180,031     1,987,401
Costco Wholesale Corp.   39,118     28,659,020
Dollar General Corp.   19,340     3,018,200
Dollar Tree, Inc. (A)   18,244     2,429,189
Endeavour Group, Ltd.   192,737     692,009
Grocery Outlet Holding Corp. (A)   19,201     552,605
Ingles Markets, Inc., Class A   2,191     168,006
J Sainsbury PLC   223,008     761,446
Jeronimo Martins SGPS SA   38,093     755,776
Kesko OYJ, B Shares   36,740     686,818
Kobe Bussan Company, Ltd.   20,242     495,995
Koninklijke Ahold Delhaize NV   128,108     3,833,219
MatsukiyoCocokara & Company   46,156     741,122
Natural Grocers by Vitamin Cottage, Inc.   1,384     24,981
Ocado Group PLC (A)   78,023     447,451
Performance Food Group Company (A)   30,094     2,246,216
PriceSmart, Inc.   3,910     328,440
Seven & i Holdings Company, Ltd.   304,065     4,432,015
SpartanNash Company   5,336     107,841
Sprouts Farmers Market, Inc. (A)   35,451     2,285,880
Sysco Corp.   43,924     3,565,750
 
  235  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer staples distribution and retail (continued)      
Target Corp.   40,689   $ 7,210,498
Tesco PLC   949,130     3,554,939
The Andersons, Inc.   5,012     287,538
The Chefs' Warehouse, Inc. (A)   5,463     205,737
The Kroger Company   58,373     3,334,849
U.S. Foods Holding Corp. (A)   43,749     2,361,134
United Natural Foods, Inc. (A)   9,092     104,467
Village Super Market, Inc., Class A   1,299     37,164
Walgreens Boots Alliance, Inc.   61,159     1,326,539
Walmart, Inc.   377,483     22,713,152
Weis Markets, Inc.   2,663     171,497
Woolworths Group, Ltd.   164,325     3,552,054
          110,711,660
Food products – 1.4%      
Ajinomoto Company, Inc.   63,127     2,357,390
Alico, Inc.   1,072     31,388
Archer-Daniels-Midland Company   46,881     2,944,596
Associated British Foods PLC   45,873     1,447,332
B&G Foods, Inc. (B)   11,505     131,617
Barry Callebaut AG   480     697,248
Beyond Meat, Inc. (A)(B)   9,839     81,467
BRC, Inc., Class A (A)(B)   7,174     30,705
Bunge Global SA   13,127     1,345,780
Calavo Growers, Inc.   2,933     81,567
Cal-Maine Foods, Inc.   6,328     372,403
Campbell Soup Company   17,748     788,899
Chocoladefabriken Lindt & Spruengli AG   14     1,688,946
Chocoladefabriken Lindt & Spruengli AG, Participation Certificates   129     1,543,978
Conagra Brands, Inc.   40,493     1,200,213
Danone SA   86,614     5,599,146
Darling Ingredients, Inc. (A)   30,857     1,435,159
Dole PLC   10,912     130,180
Flowers Foods, Inc.   37,160     882,550
Fresh Del Monte Produce, Inc.   5,597     145,018
General Mills, Inc.   50,027     3,500,389
Hormel Foods Corp.   26,169     913,036
Ingredion, Inc.   12,611     1,473,595
J&J Snack Foods Corp.   2,330     336,825
JDE Peet's NV   13,114     275,460
John B Sanfilippo & Son, Inc.   1,348     142,780
Kellanova   22,415     1,284,155
Kerry Group PLC, Class A   20,035     1,716,719
Kerry Group PLC, Class A (London Stock Exchange)   1,204     104,721
Kikkoman Corp.   91,285     1,171,598
Lamb Weston Holdings, Inc.   13,095     1,395,010
Lancaster Colony Corp.   6,955     1,444,067
Limoneira Company   2,644     51,717
Lotus Bakeries NV   55     531,014
McCormick & Company, Inc.   21,593     1,658,558
MEIJI Holdings Company, Ltd.   31,581     689,497
Mission Produce, Inc. (A)   7,820     92,823
Mondelez International, Inc., Class A   118,688     8,308,160
Mowi ASA   62,606     1,149,990
Nestle SA   359,162     38,160,948
Nissin Foods Holdings Company, Ltd.   26,982     743,843
Orkla ASA   94,302     666,028
Pilgrim's Pride Corp. (A)   7,786     267,216
Post Holdings, Inc. (A)   9,742     1,035,380
Salmar ASA   8,881     586,130
Seneca Foods Corp., Class A (A)   801     45,577
SunOpta, Inc. (A)   15,330     105,317
The Hain Celestial Group, Inc. (A)   13,930     109,490
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Food products (continued)      
The Hershey Company   13,152   $ 2,558,064
The J.M. Smucker Company   9,589     1,206,967
The Kraft Heinz Company   69,822     2,576,432
The Simply Good Foods Company (A)   14,033     477,543
TreeHouse Foods, Inc. (A)   7,976     310,665
Tyson Foods, Inc., Class A   25,771     1,513,531
Utz Brands, Inc.   11,162     205,827
Vital Farms, Inc. (A)   4,689     109,019
Westrock Coffee Company (A)(B)   5,277     54,511
WH Group, Ltd. (C)   1,121,824     740,494
Wilmar International, Ltd.   258,414     656,403
Yakult Honsha Company, Ltd.   34,513     705,393
          102,010,474
Household products – 0.8%      
Central Garden & Pet Company (A)   1,702     72,897
Central Garden & Pet Company, Class A (A)   7,842     289,527
Church & Dwight Company, Inc.   21,537     2,246,524
Colgate-Palmolive Company   72,637     6,540,962
Energizer Holdings, Inc.   11,052     325,371
Essity AB, B Shares (B)   81,961     1,946,911
Henkel AG & Company KGaA   13,980     1,007,307
Kimberly-Clark Corp.   29,715     3,843,635
Oil-Dri Corp. of America   759     56,591
Reckitt Benckiser Group PLC   96,021     5,473,680
The Clorox Company   10,716     1,640,727
The Procter & Gamble Company   207,467     33,661,521
Unicharm Corp.   54,284     1,728,199
WD-40 Company   2,100     531,951
          59,365,803
Personal care products – 0.7%      
Beiersdorf AG   13,560     1,974,296
BellRing Brands, Inc. (A)   45,757     2,701,036
Coty, Inc., Class A (A)   72,722     869,755
e.l.f. Beauty, Inc. (A)   19,091     3,742,409
Edgewell Personal Care Company   7,798     301,315
Haleon PLC   807,441     3,383,804
Herbalife, Ltd. (A)   15,410     154,871
Inter Parfums, Inc.   2,843     399,470
Kao Corp.   62,672     2,341,942
Kenvue, Inc.   151,870     3,259,130
L'Oreal SA   32,369     15,329,040
Medifast, Inc.   1,624     62,232
Nature's Sunshine Products, Inc. (A)   2,170     45,071
Nu Skin Enterprises, Inc., Class A   7,685     106,284
Shiseido Company, Ltd.   53,807     1,476,488
The Beauty Health Company (A)   13,535     60,095
The Estee Lauder Companies, Inc., Class A   20,506     3,161,000
Unilever PLC   336,350     16,885,376
USANA Health Sciences, Inc. (A)   1,858     90,113
Waldencast PLC, Class A (A)(B)   5,492     35,698
          56,379,425
Tobacco – 0.5%      
Altria Group, Inc.   155,217     6,770,566
British American Tobacco PLC   270,753     8,217,645
Imperial Brands PLC   112,547     2,515,942
Ispire Technology, Inc. (A)   2,844     17,434
Japan Tobacco, Inc.   161,421     4,303,792
Philip Morris International, Inc.   136,762     12,530,134
Turning Point Brands, Inc.   2,819     82,597
Universal Corp.   3,710     191,881
 
  236  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Tobacco (continued)      
Vector Group, Ltd.   22,682   $ 248,595
          34,878,586
          462,357,428
Energy – 4.1%          
Energy equipment and services – 0.4%      
Archrock, Inc.   21,271     418,401
Atlas Energy Solutions, Inc.   2,679     60,599
Baker Hughes Company   88,253     2,956,476
Borr Drilling, Ltd. (A)   33,942     232,503
Bristow Group, Inc. (A)   3,650     99,280
Cactus, Inc., Class A   10,048     503,304
ChampionX Corp.   67,226     2,412,741
Core Laboratories, Inc.   7,722     131,892
Diamond Offshore Drilling, Inc. (A)   15,905     216,944
DMC Global, Inc. (A)   3,067     59,776
Dril-Quip, Inc. (A)   5,549     125,019
Expro Group Holdings NV (A)   13,829     276,165
Forum Energy Technologies, Inc. (A)   1,545     30,869
Halliburton Company   78,444     3,092,262
Helix Energy Solutions Group, Inc. (A)   22,422     243,054
Helmerich & Payne, Inc.   15,070     633,844
KLX Energy Services Holdings, Inc. (A)   1,903     14,729
Kodiak Gas Services, Inc.   2,724     74,474
Liberty Energy, Inc.   25,396     526,205
Nabors Industries, Ltd. (A)   1,404     120,927
Newpark Resources, Inc. (A)   11,857     85,608
Noble Corp. PLC   17,440     845,666
NOV, Inc.   76,195     1,487,326
Oceaneering International, Inc. (A)   15,505     362,817
Oil States International, Inc. (A)   9,752     60,072
Patterson-UTI Energy, Inc.   54,939     655,972
ProFrac Holding Corp., Class A (A)   4,432     37,052
ProPetro Holding Corp. (A)   15,182     122,671
Ranger Energy Services, Inc.   2,346     26,486
RPC, Inc.   13,010     100,697
Schlumberger, Ltd.   125,783     6,894,166
SEACOR Marine Holdings, Inc. (A)   3,793     52,874
Seadrill, Ltd. (A)   7,552     379,866
Select Water Solutions, Inc.   12,415     114,590
Solaris Oilfield Infrastructure, Inc., Class A   4,022     34,871
Tenaris SA   63,527     1,256,007
TETRA Technologies, Inc. (A)   19,402     85,951
Tidewater, Inc. (A)   7,224     664,608
U.S. Silica Holdings, Inc. (A)   11,584     143,757
Valaris, Ltd. (A)   21,487     1,617,112
Weatherford International PLC (A)   25,018     2,887,578
          30,145,211
Oil, gas and consumable fuels – 3.7%      
Aker BP ASA   42,508     1,066,164
Amplify Energy Corp. (A)   6,526     43,137
Ampol, Ltd.   32,056     831,541
Antero Midstream Corp.   65,881     926,287
Antero Resources Corp. (A)   54,644     1,584,676
APA Corp.   27,712     952,739
Ardmore Shipping Corp.   6,650     109,193
Berry Corp.   11,997     96,576
BP PLC   2,302,549     14,444,867
California Resources Corp.   10,788     594,419
Callon Petroleum Company (A)   9,543     341,258
Centrus Energy Corp., Class A (A)   1,923     79,862
Chesapeake Energy Corp. (B)   21,503     1,910,111
Chevron Corp.   152,861     24,112,294
Chord Energy Corp.   14,413     2,568,973
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Civitas Resources, Inc.   29,117   $ 2,210,271
Clean Energy Fuels Corp. (A)   26,388     70,720
CNX Resources Corp. (A)   53,477     1,268,474
Comstock Resources, Inc.   14,154     131,349
ConocoPhillips   103,871     13,220,701
CONSOL Energy, Inc.   4,722     395,515
Coterra Energy, Inc.   65,102     1,815,044
Crescent Energy Company, Class A   12,238     145,632
CVR Energy, Inc.   4,500     160,470
Delek US Holdings, Inc.   9,862     303,158
Devon Energy Corp.   56,278     2,824,030
DHT Holdings, Inc.   21,290     244,835
Diamondback Energy, Inc.   15,765     3,124,150
Dorian LPG, Ltd.   5,273     202,800
DT Midstream, Inc.   18,756     1,145,992
Encore Energy Corp. (A)(B)   22,932     100,442
ENEOS Holdings, Inc.   387,576     1,867,283
Energy Fuels, Inc. (A)(B)   24,535     154,325
Eni SpA   295,176     4,673,826
EOG Resources, Inc.   51,383     6,568,803
EQT Corp.   37,165     1,377,707
Equinor ASA   121,191     3,249,663
Equitrans Midstream Corp.   151,507     1,892,322
Evolution Petroleum Corp.   5,942     36,484
Excelerate Energy, Inc., Class A   3,048     48,829
Exxon Mobil Corp.   349,975     40,681,094
FLEX LNG, Ltd. (B)   4,538     115,401
FutureFuel Corp.   4,959     39,920
Galp Energia SGPS SA   62,520     1,033,604
Gevo, Inc. (A)(B)   40,845     31,398
Golar LNG, Ltd.   15,491     372,713
Granite Ridge Resources, Inc.   5,585     36,303
Green Plains, Inc. (A)   9,002     208,126
Gulfport Energy Corp. (A)   1,713     274,286
Hallador Energy Company (A)   3,314     17,664
Hess Corp.   24,267     3,704,115
HF Sinclair Corp.   30,173     1,821,544
HighPeak Energy, Inc. (B)   2,086     32,896
Idemitsu Kosan Company, Ltd.   130,227     892,854
Inpex Corp.   130,573     1,984,865
International Seaways, Inc.   6,307     335,532
Kinder Morgan, Inc.   170,456     3,126,163
Kinetik Holdings, Inc.   2,846     113,470
Kosmos Energy, Ltd. (A)   71,093     423,714
Magnolia Oil & Gas Corp., Class A (B)   27,640     717,258
Marathon Oil Corp.   49,930     1,415,016
Marathon Petroleum Corp.   32,438     6,536,257
Matador Resources Company   38,933     2,599,556
Murphy Oil Corp.   51,007     2,331,020
NACCO Industries, Inc., Class A   665     20,083
Neste OYJ   56,911     1,543,153
NextDecade Corp. (A)   12,701     72,142
Nordic American Tankers, Ltd.   31,166     122,171
Northern Oil and Gas, Inc.   13,603     539,767
Occidental Petroleum Corp.   58,027     3,771,175
OMV AG   19,811     938,299
ONEOK, Inc.   51,388     4,119,776
Overseas Shipholding Group, Inc., Class A   10,401     66,566
Ovintiv, Inc.   48,874     2,536,561
Par Pacific Holdings, Inc. (A)   8,575     317,790
PBF Energy, Inc., Class A   38,331     2,206,716
Peabody Energy Corp.   17,696     429,305
Permian Resources Corp.   146,351     2,584,559
Phillips 66   37,916     6,193,199
 
  237  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Pioneer Natural Resources Company   20,595   $ 5,406,188
Range Resources Corp.   46,674     1,606,986
Repsol SA   163,243     2,724,723
REX American Resources Corp. (A)   2,442     143,370
Riley Exploration Permian, Inc.   1,519     50,127
Ring Energy, Inc. (A)(B)   22,058     43,234
SandRidge Energy, Inc.   4,602     67,051
Santos, Ltd.   436,886     2,211,912
Scorpio Tankers, Inc.   7,405     529,828
SFL Corp., Ltd.   17,746     233,892
Shell PLC   874,716     29,022,614
SilverBow Resources, Inc. (A)   3,323     113,447
Sitio Royalties Corp., Class A   12,756     315,328
SM Energy Company   18,238     909,164
Southwestern Energy Company (A)   213,017     1,614,669
Talos Energy, Inc. (A)   17,317     241,226
Targa Resources Corp.   19,428     2,175,742
Teekay Corp. (A)   9,549     69,517
Teekay Tankers, Ltd., Class A   3,783     220,965
Tellurian, Inc. (A)(B)   89,080     58,918
The Williams Companies, Inc.   107,321     4,182,299
TotalEnergies SE   292,041     20,089,319
Uranium Energy Corp. (A)   58,785     396,799
VAALCO Energy, Inc.   16,544     115,312
Valero Energy Corp.   30,009     5,122,236
Vital Energy, Inc. (A)   3,697     194,240
Vitesse Energy, Inc.   3,797     90,103
W&T Offshore, Inc.   16,507     43,744
Woodside Energy Group, Ltd.   255,414     5,091,006
World Kinect Corp.   9,296     245,879
          274,530,791
          304,676,002
Financials – 14.8%          
Banks – 5.7%      
1st Source Corp.   2,651     138,965
ABN AMRO Bank NV (C)   64,039     1,095,850
ACNB Corp.   1,433     53,881
AIB Group PLC   211,360     1,072,956
Amalgamated Financial Corp.   2,713     65,112
Amerant Bancorp, Inc.   4,021     93,649
American National Bankshares, Inc.   1,646     78,613
Ameris Bancorp   10,086     487,961
Ames National Corp.   1,471     29,685
ANZ Group Holdings, Ltd.   404,564     7,753,913
Arrow Financial Corp.   2,396     59,948
Associated Banc-Corp.   51,516     1,108,109
Atlantic Union Bankshares Corp.   11,576     408,749
Axos Financial, Inc. (A)   8,555     462,312
Banc of California, Inc.   20,035     304,732
BancFirst Corp.   3,444     303,175
Banco Bilbao Vizcaya Argentaria SA (B)   785,309     9,351,844
Banco BPM SpA   163,055     1,084,850
Banco Santander SA   2,177,060     10,633,696
Bank First Corp. (B)   1,498     129,832
Bank Hapoalim BM   170,893     1,601,514
Bank Leumi Le-Israel BM   204,851     1,702,821
Bank of America Corp.   606,663     23,004,661
Bank of Hawaii Corp.   6,019     375,525
Bank of Ireland Group PLC   142,134     1,450,488
Bank of Marin Bancorp   2,477     41,539
Bank OZK   20,352     925,202
BankUnited, Inc.   11,302     316,456
Bankwell Financial Group, Inc.   765     19,844
Banner Corp.   5,279     253,392
Banque Cantonale Vaudoise   4,052     471,394
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Bar Harbor Bankshares   2,551   $ 67,550
Barclays PLC   2,038,558     4,724,654
BayCom Corp.   1,988     40,973
BCB Bancorp, Inc.   2,333     24,380
Berkshire Hills Bancorp, Inc.   7,054     161,678
Blue Foundry Bancorp (A)   4,076     38,151
BNP Paribas SA   138,920     9,890,392
BOC Hong Kong Holdings, Ltd.   497,772     1,334,671
Bridgewater Bancshares, Inc. (A)   3,585     41,729
Brookline Bancorp, Inc.   14,178     141,213
Burke & Herbert Financial Services Corp.   1,002     56,142
Business First Bancshares, Inc.   3,841     85,577
Byline Bancorp, Inc.   4,192     91,050
C&F Financial Corp.   507     24,843
Cadence Bank   63,232     1,833,728
CaixaBank SA (B)   504,588     2,448,551
Cambridge Bancorp   1,187     80,906
Camden National Corp.   2,216     74,280
Capital Bancorp, Inc.   1,720     35,828
Capital City Bank Group, Inc.   2,197     60,857
Capitol Federal Financial, Inc.   20,758     123,718
Capstar Financial Holdings, Inc.   3,077     61,848
Carter Bankshares, Inc. (A)   3,666     46,338
Cathay General Bancorp   10,576     400,090
Central Pacific Financial Corp.   3,950     78,013
Chemung Financial Corp.   388     16,482
ChoiceOne Financial Services, Inc.   1,148     31,398
Citigroup, Inc.   167,659     10,602,755
Citizens & Northern Corp.   2,800     52,584
Citizens Financial Group, Inc.   42,124     1,528,680
Citizens Financial Services, Inc.   610     30,012
City Holding Company   2,264     235,954
Civista Bancshares, Inc.   2,694     41,434
CNB Financial Corp.   3,333     67,960
Coastal Financial Corp. (A)   1,667     64,796
Codorus Valley Bancorp, Inc.   1,604     36,507
Colony Bankcorp, Inc.   2,888     33,212
Columbia Banking System, Inc.   40,345     780,676
Columbia Financial, Inc. (A)   4,817     82,901
Comerica, Inc.   11,915     655,206
Commerce Bancshares, Inc.   22,913     1,218,972
Commerzbank AG   141,808     1,949,035
Commonwealth Bank of Australia   225,270     17,670,045
Community Bank System, Inc.   8,182     392,981
Community Trust Bancorp, Inc.   2,434     103,810
Community West Bancshares   1,525     30,332
Concordia Financial Group, Ltd.   142,568     716,576
ConnectOne Bancorp, Inc.   5,637     109,922
Credit Agricole SA   143,726     2,144,094
CrossFirst Bankshares, Inc. (A)   7,262     100,506
Cullen/Frost Bankers, Inc.   12,418     1,397,894
Customers Bancorp, Inc. (A)   4,442     235,693
CVB Financial Corp.   20,428     364,436
Danske Bank A/S   92,784     2,785,041
DBS Group Holdings, Ltd.   243,656     6,502,647
Dime Community Bancshares, Inc.   5,485     105,641
DNB Bank ASA   124,505     2,474,854
Eagle Bancorp, Inc.   4,699     110,380
East West Bancorp, Inc.   27,259     2,156,459
Eastern Bankshares, Inc.   24,421     336,521
Enterprise Financial Services Corp.   5,600     227,136
Equity Bancshares, Inc., Class A   2,411     82,866
Erste Group Bank AG   46,253     2,061,389
Esquire Financial Holdings, Inc.   1,046     49,654
 
  238  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
ESSA Bancorp, Inc.   1,637   $ 29,843
Evans Bancorp, Inc.   741     22,126
Farmers & Merchants Bancorp, Inc.   2,104     46,898
Farmers National Banc Corp.   5,754     76,873
FB Financial Corp.   5,616     211,499
Fidelity D&D Bancorp, Inc.   773     37,436
Fifth Third Bancorp   59,423     2,211,130
Financial Institutions, Inc.   2,453     46,165
FinecoBank SpA   82,143     1,230,238
First Bancorp (North Carolina)   6,247     225,642
First Bancorp (Puerto Rico)   26,012     456,250
First Bank   3,409     46,840
First Busey Corp.   8,154     196,104
First Business Financial Services, Inc.   1,340     50,250
First Commonwealth Financial Corp.   16,075     223,764
First Community Bankshares, Inc.   2,975     103,024
First Financial Bancorp   14,439     323,722
First Financial Bankshares, Inc.   45,022     1,477,172
First Financial Corp.   1,709     65,506
First Foundation, Inc.   8,065     60,891
First Horizon Corp.   108,078     1,664,401
First Interstate BancSystem, Inc., Class A   12,737     346,574
First Merchants Corp.   9,181     320,417
First Mid Bancshares, Inc.   3,470     113,400
First Western Financial, Inc. (A)   1,290     18,808
Five Star Bancorp   1,913     43,043
Flushing Financial Corp.   4,467     56,329
FNB Corp.   69,406     978,625
FS Bancorp, Inc.   1,264     43,873
Fulton Financial Corp.   24,441     388,367
German American Bancorp, Inc.   4,639     160,695
Glacier Bancorp, Inc.   38,707     1,559,118
Great Southern Bancorp, Inc.   1,497     82,066
Greene County Bancorp, Inc.   1,302     37,485
Guaranty Bancshares, Inc.   1,310     39,772
Hancock Whitney Corp.   29,957     1,379,220
Hang Seng Bank, Ltd.   102,872     1,127,652
Hanmi Financial Corp.   4,487     71,433
HarborOne Bancorp, Inc.   6,877     73,309
HBT Financial, Inc.   2,590     49,314
Heartland Financial USA, Inc.   6,619     232,658
Heritage Commerce Corp.   9,141     78,430
Heritage Financial Corp.   5,237     101,545
Hilltop Holdings, Inc.   7,195     225,347
Home Bancorp, Inc.   1,215     46,547
Home BancShares, Inc.   65,380     1,606,387
HomeStreet, Inc.   3,058     46,023
HomeTrust Bancshares, Inc.   2,543     69,526
Hope Bancorp, Inc.   17,387     200,124
Horizon Bancorp, Inc.   6,740     86,474
HSBC Holdings PLC   2,577,029     20,144,183
Huntington Bancshares, Inc.   125,157     1,745,940
Independent Bank Corp. (Massachusetts)   6,820     354,776
Independent Bank Corp. (Michigan)   3,088     78,281
Independent Bank Group, Inc.   5,626     256,827
ING Groep NV   447,039     7,359,727
International Bancshares Corp.   18,609     1,044,709
Intesa Sanpaolo SpA   1,967,463     7,142,941
Israel Discount Bank, Ltd., Class A   166,403     860,570
Japan Post Bank Company, Ltd.   194,654     2,091,618
John Marshall Bancorp, Inc.   1,961     35,141
JPMorgan Chase & Co.   254,781     51,032,634
KBC Group NV   33,681     2,525,135
Kearny Financial Corp.   8,920     57,445
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
KeyCorp   84,592   $ 1,337,400
Lakeland Bancorp, Inc.   9,993     120,915
Lakeland Financial Corp.   3,840     254,669
LCNB Corp.   1,814     28,915
Live Oak Bancshares, Inc.   5,188     215,354
Lloyds Banking Group PLC   8,551,144     5,592,410
M&T Bank Corp.   14,462     2,103,353
Macatawa Bank Corp.   5,177     50,683
Mediobanca Banca di Credito Finanziario SpA   68,599     1,022,226
Mercantile Bank Corp.   2,651     102,037
Metrocity Bankshares, Inc.   3,135     78,250
Metropolitan Bank Holding Corp. (A)   1,591     61,254
Mid Penn Bancorp, Inc.   2,611     52,246
Middlefield Banc Corp.   1,342     32,047
Midland States Bancorp, Inc.   2,978     74,837
MidWestOne Financial Group, Inc.   2,291     53,701
Mitsubishi UFJ Financial Group, Inc.   1,493,674     15,196,781
Mizrahi Tefahot Bank, Ltd.   20,833     781,022
Mizuho Financial Group, Inc.   324,495     6,416,985
MVB Financial Corp.   1,857     41,430
National Australia Bank, Ltd.   419,622     9,501,112
National Bank Holdings Corp., Class A   5,655     203,976
National Bankshares, Inc.   927     30,971
NatWest Group PLC   767,406     2,570,302
NBT Bancorp, Inc.   7,134     261,675
New York Community Bancorp, Inc. (B)   139,665     449,721
Nicolet Bankshares, Inc.   2,002     172,152
Nordea Bank (Nasdaq Stockholm Exchange)   427,152     4,828,819
Northeast Bank   1,092     60,431
Northeast Community Bancorp, Inc.   1,765     27,763
Northfield Bancorp, Inc.   6,165     59,924
Northrim BanCorp, Inc.   867     43,792
Northwest Bancshares, Inc.   19,328     225,171
Norwood Financial Corp.   1,151     31,319
Oak Valley Bancorp   1,319     32,685
OceanFirst Financial Corp.   8,901     146,065
OFG Bancorp   7,053     259,621
Old National Bancorp   101,413     1,765,600
Old Second Bancorp, Inc.   7,332     101,475
Orange County Bancorp, Inc.   824     37,904
Origin Bancorp, Inc.   4,611     144,048
Orrstown Financial Services, Inc.   1,675     44,840
Oversea-Chinese Banking Corp., Ltd.   455,500     4,551,293
Pacific Premier Bancorp, Inc.   14,582     349,968
Park National Corp.   2,213     300,636
Pathward Financial, Inc.   4,007     202,273
PCB Bancorp   1,900     31,027
Peapack-Gladstone Financial Corp.   2,590     63,015
Penns Woods Bancorp, Inc.   948     18,401
Peoples Bancorp, Inc.   5,566     164,809
Peoples Financial Services Corp.   1,123     48,413
Pinnacle Financial Partners, Inc.   14,711     1,263,381
Plumas Bancorp   1,063     39,108
Ponce Financial Group, Inc. (A)   3,535     31,462
Preferred Bank   1,826     140,182
Premier Financial Corp.   5,495     111,549
Primis Financial Corp.   3,323     40,441
Princeton Bancorp, Inc.   583     17,945
Prosperity Bancshares, Inc.   18,128     1,192,460
Provident Financial Services, Inc.   11,478     167,234
QCR Holdings, Inc.   2,556     155,251
RBB Bancorp   2,465     44,395
Red River Bancshares, Inc.   769     38,289
 
  239  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Regions Financial Corp.   80,096   $ 1,685,220
Renasant Corp.   8,620     269,978
Republic Bancorp, Inc., Class A   1,339     68,289
Resona Holdings, Inc.   285,992     1,762,985
S&T Bancorp, Inc.   5,910     189,593
Sandy Spring Bancorp, Inc.   6,924     160,498
Seacoast Banking Corp. of Florida   12,972     329,359
ServisFirst Bancshares, Inc.   7,903     524,443
Shizuoka Financial Group, Inc.   62,968     599,172
Shore Bancshares, Inc.   4,907     56,431
Sierra Bancorp   2,254     45,531
Simmons First National Corp., Class A   19,141     372,484
Skandinaviska Enskilda Banken AB, A Shares   213,460     2,891,856
SmartFinancial, Inc.   2,771     58,385
Societe Generale SA   97,213     2,604,628
South Plains Financial, Inc.   1,794     48,007
Southern First Bancshares, Inc. (A)   1,294     41,097
Southern Missouri Bancorp, Inc.   1,537     67,182
Southern States Bancshares, Inc.   1,221     31,648
Southside Bancshares, Inc.   4,475     130,804
SouthState Corp.   26,305     2,236,714
Standard Chartered PLC   304,725     2,583,372
Stellar Bancorp, Inc.   7,663     186,671
Stock Yards Bancorp, Inc.   4,317     211,144
Sumitomo Mitsui Financial Group, Inc. (B)   170,925     9,994,447
Sumitomo Mitsui Trust Holdings, Inc.   88,141     1,899,139
Summit Financial Group, Inc.   1,344     36,503
Svenska Handelsbanken AB, A Shares   196,203     1,983,608
Swedbank AB, A Shares (B)   114,205     2,266,710
Synovus Financial Corp.   28,286     1,133,137
Texas Capital Bancshares, Inc. (A)   16,512     1,016,314
The Bancorp, Inc. (A)   8,076     270,223
The Bank of NT Butterfield & Son, Ltd.   7,383     236,182
The Chiba Bank, Ltd.   71,305     593,342
The First Bancshares, Inc.   4,883     126,714
The First of Long Island Corp.   3,379     37,473
The Hingham Institution for Savings (B)   262     45,709
The PNC Financial Services Group, Inc.   35,075     5,668,120
Third Coast Bancshares, Inc. (A)   2,022     40,480
Timberland Bancorp, Inc.   1,207     32,492
Tompkins Financial Corp.   2,231     112,197
Towne Bank   10,970     307,818
TriCo Bancshares   4,854     178,530
Triumph Financial, Inc. (A)   3,464     274,764
Truist Financial Corp.   117,484     4,579,526
Trustmark Corp.   9,595     269,715
U.S. Bancorp   137,151     6,130,650
UMB Financial Corp.   15,257     1,327,206
UniCredit SpA   207,316     7,873,713
United Bankshares, Inc.   46,101     1,649,955
United Community Banks, Inc.   17,709     466,101
United Overseas Bank, Ltd.   170,090     3,697,760
Unity Bancorp, Inc.   1,328     36,653
Univest Financial Corp.   4,465     92,961
USCB Financial Holdings, Inc.   2,025     23,085
Valley National Bancorp   148,865     1,184,965
Veritex Holdings, Inc.   8,000     163,920
Virginia National Bankshares Corp.   765     23,027
WaFd, Inc.   10,428     302,725
Washington Trust Bancorp, Inc.   2,626     70,587
Webster Financial Corp.   33,273     1,689,270
Wells Fargo & Company   317,110     18,379,696
WesBanco, Inc.   9,103     271,360
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
West BanCorp, Inc.   3,052   $ 54,417
Westamerica BanCorp   3,950     193,076
Westpac Banking Corp.   471,021     8,011,196
Wintrust Financial Corp.   11,845     1,236,500
WSFS Financial Corp.   9,469     427,431
Zions Bancorp NA   28,655     1,243,627
          423,949,459
Capital markets – 2.6%      
3i Group PLC   130,935     4,642,615
abrdn PLC   247,626     441,115
Affiliated Managers Group, Inc.   6,540     1,095,254
AlTi Global, Inc. (A)(B)   3,627     20,529
Ameriprise Financial, Inc.   8,845     3,878,002
Amundi SA (C)   8,258     567,215
Artisan Partners Asset Management, Inc., Class A   9,349     427,904
AssetMark Financial Holdings, Inc. (A)   3,406     120,606
ASX, Ltd.   26,043     1,126,697
B. Riley Financial, Inc. (B)   3,255     68,908
Bakkt Holdings, Inc. (A)   11,422     5,252
BGC Group, Inc., Class A   55,799     433,558
BlackRock, Inc.   12,330     10,279,521
Brightsphere Investment Group, Inc.   5,293     120,892
Cboe Global Markets, Inc.   9,537     1,752,233
CME Group, Inc.   31,735     6,832,228
Cohen & Steers, Inc.   4,000     307,560
Daiwa Securities Group, Inc.   179,434     1,365,196
Deutsche Bank AG   260,727     4,106,513
Deutsche Boerse AG   25,558     5,234,019
Diamond Hill Investment Group, Inc.   423     65,214
Donnelley Financial Solutions, Inc. (A)   3,815     236,568
EQT AB   50,230     1,590,256
Euronext NV (C)   11,526     1,096,930
Evercore, Inc., Class A   6,704     1,291,123
FactSet Research Systems, Inc.   3,432     1,559,466
Federated Hermes, Inc.   15,804     570,840
Forge Global Holdings, Inc. (A)   16,709     32,248
Franklin Resources, Inc.   25,472     716,018
Futu Holdings, Ltd., ADR (A)   7,430     402,335
GCM Grosvenor, Inc., Class A   7,571     73,136
Hamilton Lane, Inc., Class A   5,626     634,388
Hargreaves Lansdown PLC   47,856     444,154
Hong Kong Exchanges & Clearing, Ltd.   162,018     4,720,922
Houlihan Lokey, Inc.   10,081     1,292,283
Interactive Brokers Group, Inc., Class A   20,699     2,312,285
Intercontinental Exchange, Inc.   50,499     6,940,078
Invesco, Ltd.   40,619     673,869
Janus Henderson Group PLC   25,633     843,069
Japan Exchange Group, Inc.   67,548     1,829,568
Jefferies Financial Group, Inc.   32,795     1,446,260
Julius Baer Group, Ltd.   27,710     1,607,134
London Stock Exchange Group PLC   56,023     6,703,378
Macquarie Group, Ltd.   49,209     6,400,984
MarketAxess Holdings, Inc.   3,425     750,931
Moelis & Company, Class A   10,287     583,993
Moody's Corp.   13,886     5,457,615
Morgan Stanley   110,387     10,394,040
Morningstar, Inc.   5,038     1,553,568
MSCI, Inc.   6,972     3,907,457
Nasdaq, Inc.   29,474     1,859,809
Nomura Holdings, Inc.   404,275     2,587,569
Northern Trust Corp.   17,772     1,580,286
Open Lending Corp. (A)   16,390     102,601
P10, Inc., Class A   7,323     61,660
Partners Group Holding AG   3,053     4,361,166
 
  240  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets (continued)      
Patria Investments, Ltd., Class A   8,469   $ 125,680
Perella Weinberg Partners   6,461     91,294
Piper Sandler Companies   2,655     526,991
PJT Partners, Inc., Class A   3,653     344,332
Raymond James Financial, Inc.   16,343     2,098,768
S&P Global, Inc.   28,335     12,055,126
SBI Holdings, Inc.   33,355     874,906
Schroders PLC   108,415     515,063
SEI Investments Company   19,283     1,386,448
Silvercrest Asset Management Group, Inc., Class A   2,049     32,395
Singapore Exchange, Ltd.   115,334     787,076
St. James's Place PLC   73,797     432,943
State Street Corp.   26,592     2,056,093
StepStone Group, Inc., Class A   8,476     302,932
Stifel Financial Corp.   19,728     1,542,138
StoneX Group, Inc. (A)   4,195     294,741
T. Rowe Price Group, Inc.   19,542     2,382,561
The Bank of New York Mellon Corp.   66,951     3,857,717
The Blackstone Group, Inc.   63,408     8,329,909
The Carlyle Group, Inc.   41,871     1,964,169
The Charles Schwab Corp.   131,146     9,487,102
The Goldman Sachs Group, Inc.   28,727     11,998,981
UBS Group AG   442,426     13,622,705
Victory Capital Holdings, Inc., Class A   4,106     174,218
Virtus Investment Partners, Inc.   1,064     263,851
WisdomTree, Inc.   22,799     209,523
          195,266,680
Consumer finance – 0.4%      
Ally Financial, Inc.   52,508     2,131,300
American Express Company   50,407     11,477,170
Atlanticus Holdings Corp. (A)   848     25,092
Bread Financial Holdings, Inc.   7,493     279,039
Capital One Financial Corp.   33,522     4,991,091
Discover Financial Services   21,987     2,882,276
Encore Capital Group, Inc. (A)   3,593     163,877
Enova International, Inc. (A)   4,462     280,347
FirstCash Holdings, Inc.   13,029     1,661,719
Green Dot Corp., Class A (A)   7,827     73,026
LendingClub Corp. (A)   17,490     153,737
LendingTree, Inc. (A)   1,641     69,480
Navient Corp.   12,059     209,827
Nelnet, Inc., Class A   1,944     184,000
NerdWallet, Inc., Class A (A)   5,333     78,395
PRA Group, Inc. (A)   6,116     159,505
PROG Holdings, Inc.   6,767     233,055
Regional Management Corp.   1,500     36,315
SLM Corp.   42,611     928,494
Synchrony Financial   35,632     1,536,452
Upstart Holdings, Inc. (A)(B)   11,359     305,444
World Acceptance Corp. (A)   658     95,397
          27,955,038
Financial services – 2.8%      
Adyen NV (A)(C)   2,922     4,935,657
Alerus Financial Corp.   2,811     61,364
A-Mark Precious Metals, Inc.   2,841     87,190
AvidXchange Holdings, Inc. (A)   23,235     305,540
Banco Latinoamericano de Comercio Exterior SA, Class E   4,103     121,531
Berkshire Hathaway, Inc., Class B (A)   160,350     67,430,382
Cannae Holdings, Inc. (A)   10,719     238,391
Cantaloupe, Inc. (A)   8,742     56,211
Cass Information Systems, Inc.   2,309     111,225
Compass Diversified Holdings   9,914     238,630
Corpay, Inc. (A)   6,269     1,934,237
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Financial services (continued)      
Edenred SE   33,574   $ 1,792,674
Enact Holdings, Inc.   4,511     140,653
Equitable Holdings, Inc.   60,691     2,306,865
Essent Group, Ltd.   36,782     2,188,897
Eurazeo SE   5,629     493,239
Euronet Worldwide, Inc. (A)   8,475     931,657
EVERTEC, Inc.   10,092     402,671
EXOR NV   12,591     1,401,206
Federal Agricultural Mortgage Corp., Class C   1,400     275,632
Fidelity National Information Services, Inc.   52,220     3,873,680
Fiserv, Inc. (A)   52,925     8,458,474
Flywire Corp. (A)   16,577     411,275
Global Payments, Inc.   22,944     3,066,695
Groupe Bruxelles Lambert NV   11,841     895,157
i3 Verticals, Inc., Class A (A)   3,738     85,563
Industrivarden AB, A Shares   17,149     589,750
Industrivarden AB, C Shares   20,237     695,880
International Money Express, Inc. (A)   4,862     110,999
Investor AB, B Shares   232,829     5,842,682
Jack Henry & Associates, Inc.   6,580     1,143,143
Jackson Financial, Inc., Class A   12,346     816,564
L.E. Lundbergforetagen AB, B Shares   10,224     553,405
M&G PLC   302,681     842,464
Marqeta, Inc., Class A (A)   74,763     445,587
Mastercard, Inc., Class A   72,715     35,017,363
Merchants Bancorp   2,502     108,036
MGIC Investment Corp.   52,705     1,178,484
Mitsubishi HC Capital, Inc.   108,513     756,839
Mr. Cooper Group, Inc. (A)   9,976     777,629
NewtekOne, Inc.   3,959     43,549
Nexi SpA (A)(C)   79,442     503,331
NMI Holdings, Inc., Class A (A)   12,557     406,093
Ocwen Financial Corp. (A)   1,021     27,577
ORIX Corp.   157,801     3,451,383
PagSeguro Digital, Ltd., Class A (A)   30,733     438,867
Payoneer Global, Inc. (A)   41,421     201,306
PayPal Holdings, Inc. (A)   94,403     6,324,057
Paysafe, Ltd. (A)   5,550     87,635
PennyMac Financial Services, Inc.   3,940     358,895
Radian Group, Inc.   24,012     803,682
Remitly Global, Inc. (A)   20,788     431,143
Repay Holdings Corp. (A)   12,932     142,252
Sofina SA   2,073     464,869
StoneCo, Ltd., Class A (A)   45,101     749,128
The Western Union Company   67,794     947,760
TrustCo Bank Corp. NY   3,051     85,916
Velocity Financial, Inc. (A)   1,359     24,462
Visa, Inc., Class A   139,402     38,904,310
Voya Financial, Inc.   19,923     1,472,708
Walker & Dunlop, Inc.   4,915     496,710
Washington H. Soul Pattinson & Company, Ltd.   31,567     691,081
Waterstone Financial, Inc.   2,708     32,956
WEX, Inc. (A)   8,266     1,963,423
Wise PLC, Class A (A)   82,711     966,838
Worldline SA (A)(C)   32,356     400,293
          211,543,745
Insurance – 3.2%      
Admiral Group PLC   35,023     1,255,144
Aegon, Ltd.   195,290     1,191,430
Aflac, Inc.   46,412     3,984,934
Ageas SA/NV   21,493     995,676
AIA Group, Ltd.   1,528,370     10,280,693
 
  241  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
Allianz SE   52,693   $ 15,792,993
Ambac Financial Group, Inc. (A)   7,163     111,958
American Coastal Insurance Corp. (A)   3,250     34,743
American Equity Investment Life Holding Company (A)   12,159     683,579
American Financial Group, Inc.   12,618     1,722,105
American International Group, Inc.   61,822     4,832,626
AMERISAFE, Inc.   2,955     148,252
Aon PLC, Class A   17,647     5,889,157
Arch Capital Group, Ltd. (A)   32,726     3,025,191
Arthur J. Gallagher & Company   19,157     4,790,016
ASR Nederland NV   21,320     1,044,888
Assicurazioni Generali SpA   136,342     3,451,281
Assurant, Inc.   4,752     894,516
Aviva PLC   368,508     2,312,274
AXA SA   244,305     9,175,061
Baloise Holding AG   6,161     966,079
Brighthouse Financial, Inc. (A)   12,419     640,075
Brown & Brown, Inc.   20,449     1,790,105
BRP Group, Inc., Class A (A)   9,373     271,255
Chubb, Ltd.   35,735     9,260,011
Cincinnati Financial Corp.   13,535     1,680,641
CNO Financial Group, Inc.   37,964     1,043,251
Crawford & Company, Class A   2,295     21,642
Dai-ichi Life Holdings, Inc.   126,499     3,226,298
Donegal Group, Inc., Class A   3,536     49,999
eHealth, Inc. (A)   4,516     27,231
Employers Holdings, Inc.   4,050     183,830
Enstar Group, Ltd. (A)   1,826     567,448
Erie Indemnity Company, Class A   4,824     1,937,174
Everest Group, Ltd.   3,921     1,558,598
F&G Annuities & Life, Inc.   2,940     119,217
Fidelis Insurance Holdings, Ltd.   7,525     146,587
Fidelity National Financial, Inc.   50,008     2,655,425
First American Financial Corp.   19,957     1,218,375
Genworth Financial, Inc., Class A (A)   71,796     461,648
Gjensidige Forsikring ASA   26,906     390,526
Globe Life, Inc.   7,739     900,587
Goosehead Insurance, Inc., Class A (A)   3,336     222,244
Greenlight Capital Re, Ltd., Class A (A)   4,075     50,815
Hannover Rueck SE   8,111     2,221,005
HCI Group, Inc.   989     114,803
Helvetia Holding AG   4,993     688,389
Hippo Holdings, Inc. (A)   1,691     30,895
Horace Mann Educators Corp.   6,486     239,917
Insurance Australia Group, Ltd.   323,061     1,347,595
Investors Title Company   181     29,537
James River Group Holdings, Ltd.   6,298     58,571
Japan Post Holdings Company, Ltd.   279,343     2,814,415
Japan Post Insurance Company, Ltd.   25,774     492,674
Kemper Corp.   11,695     724,154
Kinsale Capital Group, Inc.   4,258     2,234,343
Legal & General Group PLC   804,354     2,584,128
Lemonade, Inc. (A)(B)   7,873     129,196
Loews Corp.   15,538     1,216,470
Marsh & McLennan Companies, Inc.   43,412     8,942,004
MBIA, Inc. (A)   7,512     50,781
Medibank Private, Ltd.   370,465     907,686
Mercury General Corp.   4,286     221,158
MetLife, Inc.   54,055     4,006,016
MS&AD Insurance Group Holdings, Inc.   173,067     3,055,936
Muenchener Rueckversicherungs-Gesellschaft AG   18,357     8,960,794
National Western Life Group, Inc., Class A   360     177,106
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
NN Group NV   36,421   $ 1,681,378
Old Republic International Corp.   50,434     1,549,332
Oscar Health, Inc., Class A (A)   24,379     362,516
Palomar Holdings, Inc. (A)   3,803     318,805
Phoenix Group Holdings PLC   101,036     705,479
Poste Italiane SpA (C)   61,493     770,150
Primerica, Inc.   6,776     1,714,057
Principal Financial Group, Inc.   18,874     1,629,015
ProAssurance Corp. (A)   8,439     108,526
Prudential Financial, Inc.   31,799     3,733,203
Prudential PLC   369,880     3,468,945
QBE Insurance Group, Ltd.   200,962     2,375,512
Reinsurance Group of America, Inc.   12,748     2,458,834
RenaissanceRe Holdings, Ltd.   10,192     2,395,426
RLI Corp.   7,769     1,153,463
Safety Insurance Group, Inc.   2,226     182,955
Sampo OYJ, A Shares   60,726     2,590,341
Selective Insurance Group, Inc.   21,085     2,301,849
SelectQuote, Inc. (A)   23,679     47,358
SiriusPoint, Ltd. (A)   11,155     141,780
Skyward Specialty Insurance Group, Inc. (A)   3,791     141,821
Sompo Holdings, Inc.   119,913     2,513,384
Stewart Information Services Corp.   4,122     268,177
Suncorp Group, Ltd.   170,877     1,823,928
Swiss Life Holding AG   3,971     2,785,227
Swiss Re AG   40,573     5,219,103
T&D Holdings, Inc.   65,860     1,144,923
Talanx AG   8,685     688,000
The Allstate Corp.   23,137     4,002,932
The Hanover Insurance Group, Inc.   6,925     942,977
The Hartford Financial Services Group, Inc.   26,368     2,717,222
The Progressive Corp.   51,602     10,672,326
The Travelers Companies, Inc.   20,128     4,632,258
Tiptree, Inc.   3,743     64,679
Tokio Marine Holdings, Inc.   242,434     7,599,396
Trupanion, Inc. (A)(B)   6,208     171,403
Tryg A/S   46,971     968,276
United Fire Group, Inc.   3,765     81,964
Universal Insurance Holdings, Inc.   3,650     74,168
Unum Group   35,163     1,886,847
W.R. Berkley Corp.   17,513     1,548,850
Willis Towers Watson PLC   9,039     2,485,725
Zurich Insurance Group AG   19,687     10,635,201
          235,010,862
Mortgage real estate investment trusts – 0.1%      
AFC Gamma, Inc.   2,227     27,570
Angel Oak Mortgage REIT, Inc.   1,864     20,019
Annaly Capital Management, Inc.   96,726     1,904,535
Apollo Commercial Real Estate Finance, Inc.   21,814     243,008
Arbor Realty Trust, Inc.   28,468     377,201
Ares Commercial Real Estate Corp.   8,189     61,008
ARMOUR Residential REIT, Inc.   7,490     148,077
Blackstone Mortgage Trust, Inc., Class A   26,463     526,878
BrightSpire Capital, Inc.   19,816     136,532
Chicago Atlantic Real Estate Finance, Inc.   2,651     41,806
Chimera Investment Corp.   35,493     163,623
Claros Mortgage Trust, Inc.   14,261     139,187
Dynex Capital, Inc.   8,554     106,497
Ellington Financial, Inc.   11,707     138,260
Franklin BSP Realty Trust, Inc.   12,945     172,945
Granite Point Mortgage Trust, Inc.   8,370     39,925
 
  242  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Mortgage real estate investment trusts (continued)      
Hannon Armstrong Sustainable Infrastructure Capital, Inc.   16,450   $ 467,180
Invesco Mortgage Capital, Inc.   7,048     68,225
KKR Real Estate Finance Trust, Inc.   9,541     95,982
Ladder Capital Corp.   17,482     194,575
MFA Financial, Inc.   15,548     177,403
New York Mortgage Trust, Inc.   14,960     107,712
Nexpoint Real Estate Finance, Inc.   1,160     16,658
Orchid Island Capital, Inc.   8,085     72,199
PennyMac Mortgage Investment Trust   13,441     197,314
Ready Capital Corp.   24,840     226,789
Redwood Trust, Inc.   18,265     116,348
Starwood Property Trust, Inc.   57,554     1,170,073
TPG RE Finance Trust, Inc.   11,737     90,610
Two Harbors Investment Corp.   14,922     197,567
          7,445,706
          1,101,171,490
Health care – 11.8%          
Biotechnology – 1.8%      
2seventy bio, Inc. (A)   8,710     46,599
4D Molecular Therapeutics, Inc. (A)   6,427     204,764
89bio, Inc. (A)   12,278     142,916
AbbVie, Inc.   155,565     28,328,387
ACADIA Pharmaceuticals, Inc. (A)   18,808     347,760
ACELYRIN, Inc. (A)   11,411     77,024
Achillion Pharmaceuticals, Inc. (A)(D)   23,194     35,243
Actinium Pharmaceuticals, Inc. (A)   4,803     37,607
Adicet Bio, Inc. (A)   9,223     21,674
ADMA Biologics, Inc. (A)   32,941     217,411
Aduro Biotech, Inc. (A)(D)   2,435     6,031
Aerovate Therapeutics, Inc. (A)   1,993     58,933
Agenus, Inc. (A)   58,080     33,686
Agios Pharmaceuticals, Inc. (A)   8,662     253,277
Akero Therapeutics, Inc. (A)   9,570     241,738
Albireo Pharma, Inc. (A)(D)   2,883     6,198
Aldeyra Therapeutics, Inc. (A)   7,783     25,450
Alector, Inc. (A)   10,821     65,142
Alkermes PLC (A)   25,726     696,403
Allakos, Inc. (A)   11,679     14,716
Allogene Therapeutics, Inc. (A)   15,406     68,865
Allovir, Inc. (A)   8,046     6,074
Alpine Immune Sciences, Inc. (A)   5,841     231,537
Altimmune, Inc. (A)   8,623     87,782
ALX Oncology Holdings, Inc. (A)(B)   4,285     47,778
Amgen, Inc.   47,130     13,400,002
Amicus Therapeutics, Inc. (A)   44,160     520,205
AnaptysBio, Inc. (A)   3,242     73,010
Anavex Life Sciences Corp. (A)(B)   11,738     59,746
Anika Therapeutics, Inc. (A)   2,211     56,159
Annexon, Inc. (A)   10,516     75,400
Apogee Therapeutics, Inc. (A)(B)   6,346     421,692
Arbutus Biopharma Corp. (A)   22,115     57,057
Arcellx, Inc. (A)   5,949     413,753
Arcturus Therapeutics Holdings, Inc. (A)   3,634     122,720
Arcus Biosciences, Inc. (A)   8,625     162,840
Arcutis Biotherapeutics, Inc. (A)   13,242     131,228
Ardelyx, Inc. (A)   35,572     259,676
Argenx SE (A)   7,907     3,117,517
Argenx SE, Additional Offering (A)   306     120,648
Arrowhead Pharmaceuticals, Inc. (A)   41,955     1,199,913
ARS Pharmaceuticals, Inc. (A)   4,166     42,577
Astria Therapeutics, Inc. (A)   7,655     107,744
Aura Biosciences, Inc. (A)   4,825     37,876
Aurinia Pharmaceuticals, Inc. (A)   21,083     105,626
Avid Bioservices, Inc. (A)   10,224     68,501
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Avidity Biosciences, Inc. (A)   11,736   $ 299,503
Avita Medical, Inc. (A)   4,263     68,336
Beam Therapeutics, Inc. (A)   11,513     380,390
BioAtla, Inc. (A)   7,220     24,837
BioCryst Pharmaceuticals, Inc. (A)   29,697     150,861
Biogen, Inc. (A)   12,752     2,749,714
Biohaven, Ltd. (A)   10,619     580,753
Biomea Fusion, Inc. (A)(B)   3,303     49,380
Bluebird Bio, Inc. (A)   29,811     38,158
Blueprint Medicines Corp. (A)   9,445     895,953
Bridgebio Pharma, Inc. (A)   17,782     549,819
Cabaletta Bio, Inc. (A)   5,265     89,821
CareDx, Inc. (A)   8,206     86,902
Cargo Therapeutics, Inc. (A)   3,292     73,477
Caribou Biosciences, Inc. (A)   13,007     66,856
Cartesian Therapeutics, Inc. (A)(D)   19,937     3,589
Catalyst Pharmaceuticals, Inc. (A)   16,203     258,276
Celcuity, Inc. (A)   3,175     68,580
Celldex Therapeutics, Inc. (A)   9,465     397,246
Century Therapeutics, Inc. (A)   3,602     15,056
Cerevel Therapeutics Holdings, Inc. (A)   10,838     458,122
CG Oncology, Inc. (A)   3,348     146,977
Chinook Therapeutics, Inc. (A)(D)   9,357     3,649
Cogent Biosciences, Inc. (A)   13,371     89,853
Coherus Biosciences, Inc. (A)   16,503     39,442
Compass Therapeutics, Inc. (A)   15,797     31,278
Crinetics Pharmaceuticals, Inc. (A)   10,191     477,041
CSL, Ltd.   64,985     12,192,966
Cullinan Oncology, Inc. (A)   4,375     74,550
Cytokinetics, Inc. (A)   33,648     2,359,061
Day One Biopharmaceuticals, Inc. (A)   9,862     162,920
Deciphera Pharmaceuticals, Inc. (A)   8,607     135,388
Denali Therapeutics, Inc. (A)   18,395     377,465
Disc Medicine, Inc. (A)   1,468     91,398
Dynavax Technologies Corp. (A)   20,021     248,461
Dyne Therapeutics, Inc. (A)   8,967     254,573
Editas Medicine, Inc. (A)   12,740     94,531
Emergent BioSolutions, Inc. (A)   6,522     16,501
Enanta Pharmaceuticals, Inc. (A)   3,463     60,464
Entrada Therapeutics, Inc. (A)   3,216     45,571
Erasca, Inc. (A)   15,508     31,946
Exelixis, Inc. (A)   58,645     1,391,646
Fate Therapeutics, Inc. (A)   14,542     106,738
Fennec Pharmaceuticals, Inc. (A)(B)   3,706     41,211
FibroGen, Inc. (A)   14,586     34,277
Foghorn Therapeutics, Inc. (A)   3,939     26,431
Genelux Corp. (A)(B)   3,026     19,457
Generation Bio Company (A)   7,197     29,292
Genmab A/S (A)   8,888     2,664,876
Geron Corp. (A)   82,273     271,501
Gilead Sciences, Inc.   109,743     8,038,675
Grifols SA (A)   40,126     360,931
Gritstone bio, Inc. (A)   15,389     39,550
Halozyme Therapeutics, Inc. (A)   45,663     1,857,571
Heron Therapeutics, Inc. (A)(B)   17,563     48,650
HilleVax, Inc. (A)   3,984     66,254
Humacyte, Inc. (A)   11,643     36,210
Icosavax, Inc. (A)(D)   4,180     1,296
Ideaya Biosciences, Inc. (A)   9,821     430,945
IGM Biosciences, Inc. (A)(B)   2,024     19,532
ImmunityBio, Inc. (A)(B)   20,516     110,171
Immunovant, Inc. (A)   8,396     271,275
Incyte Corp. (A)   16,806     957,438
Inhibrx, Inc. (A)   5,368     187,665
Inozyme Pharma, Inc. (A)   7,180     54,999
 
  243  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Insmed, Inc. (A)   21,452   $ 581,993
Intellia Therapeutics, Inc. (A)   13,690     376,612
Iovance Biotherapeutics, Inc. (A)   36,729     544,324
Ironwood Pharmaceuticals, Inc. (A)   22,281     194,068
iTeos Therapeutics, Inc. (A)   4,240     57,834
Janux Therapeutics, Inc. (A)   2,944     110,842
KalVista Pharmaceuticals, Inc. (A)   4,869     57,746
Karyopharm Therapeutics, Inc. (A)   18,141     27,393
Keros Therapeutics, Inc. (A)   3,897     257,981
Kiniksa Pharmaceuticals, Ltd., Class A (A)   4,857     95,829
Kodiak Sciences, Inc. (A)   5,111     26,884
Krystal Biotech, Inc. (A)   3,365     598,734
Kura Oncology, Inc. (A)   11,078     236,294
Kymera Therapeutics, Inc. (A)   6,229     250,406
Larimar Therapeutics, Inc. (A)   4,390     33,320
Lexeo Therapeutics, Inc. (A)   1,606     25,182
Lexicon Pharmaceuticals, Inc. (A)(B)   17,930     43,032
Lineage Cell Therapeutics, Inc. (A)(B)   25,394     37,583
Lyell Immunopharma, Inc. (A)   29,598     66,004
MacroGenics, Inc. (A)   9,336     137,426
Madrigal Pharmaceuticals, Inc. (A)   2,299     613,925
MannKind Corp. (A)   41,699     188,896
MeiraGTx Holdings PLC (A)   6,040     36,663
Merrimack Pharmaceuticals, Inc. (A)   1,515     22,377
Mersana Therapeutics, Inc. (A)   17,907     80,223
MiMedx Group, Inc. (A)   17,762     136,767
Mineralys Therapeutics, Inc. (A)   4,590     59,257
Mirum Pharmaceuticals, Inc. (A)   3,892     97,767
Moderna, Inc. (A)   29,226     3,114,323
Monte Rosa Therapeutics, Inc. (A)   5,466     38,535
Morphic Holding, Inc. (A)   5,762     202,822
Myriad Genetics, Inc. (A)   12,921     275,476
Neurocrine Biosciences, Inc. (A)   19,247     2,654,546
Nkarta, Inc. (A)   4,727     51,099
Novavax, Inc. (A)(B)   18,215     87,068
Nurix Therapeutics, Inc. (A)   8,044     118,247
Nuvalent, Inc., Class A (A)   4,116     309,070
Nuvectis Pharma, Inc. (A)(B)   1,379     11,308
Olema Pharmaceuticals, Inc. (A)   3,975     44,997
Omega Therapeutics, Inc. (A)(B)   3,845     14,034
Organogenesis Holdings, Inc. (A)   10,618     30,155
ORIC Pharmaceuticals, Inc. (A)   5,928     81,510
Ovid therapeutics, Inc. (A)   10,811     32,974
PDL BioPharma, Inc. (A)(D)   23,030     13,818
PDS Biotechnology Corp. (A)(B)   5,034     19,935
PepGen, Inc. (A)   1,548     22,756
Poseida Therapeutics, Inc. (A)   10,172     32,449
Precigen, Inc. (A)(B)   22,468     32,579
Prime Medicine, Inc. (A)(B)   6,908     48,356
Protagonist Therapeutics, Inc. (A)   8,928     258,287
Prothena Corp. PLC (A)   6,749     167,173
PTC Therapeutics, Inc. (A)   11,250     327,263
Radius Health, Inc. (A)(D)   8,191     655
RAPT Therapeutics, Inc. (A)   4,569     41,030
Recursion Pharmaceuticals, Inc., Class A (A)   21,304     212,401
Regeneron Pharmaceuticals, Inc. (A)   9,309     8,959,819
REGENXBIO, Inc. (A)   6,362     134,047
Relay Therapeutics, Inc. (A)   14,227     118,084
Replimune Group, Inc. (A)   8,514     69,559
REVOLUTION Medicines, Inc. (A)   22,363     720,759
Rhythm Pharmaceuticals, Inc. (A)   8,144     352,880
Rigel Pharmaceuticals, Inc. (A)   28,955     42,853
Rocket Pharmaceuticals, Inc. (A)   9,710     261,587
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Roivant Sciences, Ltd. (A)   71,466   $ 753,252
Sage Therapeutics, Inc. (A)   8,420     157,791
Sagimet Biosciences, Inc., Class A (A)(B)   3,756     20,358
Sana Biotechnology, Inc. (A)   15,810     158,100
Savara, Inc. (A)   15,157     75,482
Scholar Rock Holding Corp. (A)   8,843     157,052
SpringWorks Therapeutics, Inc. (A)   10,457     514,694
Stoke Therapeutics, Inc. (A)(B)   4,974     67,149
Summit Therapeutics, Inc. (A)(B)   19,514     80,788
Sutro Biopharma, Inc. (A)   10,848     61,291
Swedish Orphan Biovitrum AB (A)   26,217     654,379
Syndax Pharmaceuticals, Inc. (A)   11,952     284,458
Tango Therapeutics, Inc. (A)   7,412     58,851
Tenaya Therapeutics, Inc. (A)   7,730     40,428
TG Therapeutics, Inc. (A)   21,535     327,547
Travere Therapeutics, Inc. (A)   12,154     93,707
Twist Bioscience Corp. (A)   8,785     301,413
Tyra Biosciences, Inc. (A)   2,442     40,049
United Therapeutics Corp. (A)   9,090     2,088,155
UroGen Pharma, Ltd. (A)   4,337     65,055
Vanda Pharmaceuticals, Inc. (A)   9,640     39,620
Vaxcyte, Inc. (A)   16,172     1,104,709
Vera Therapeutics, Inc. (A)   6,152     265,274
Veracyte, Inc. (A)   11,285     250,076
Vericel Corp. (A)   7,397     384,792
Vertex Pharmaceuticals, Inc. (A)   22,705     9,490,917
Verve Therapeutics, Inc. (A)   10,366     137,660
Viking Therapeutics, Inc. (A)   15,759     1,292,238
Vir Biotechnology, Inc. (A)   13,172     133,432
Viridian Therapeutics, Inc. (A)   7,768     136,018
Voyager Therapeutics, Inc. (A)   5,326     49,585
Xencor, Inc. (A)   9,152     202,534
XOMA Corp. (A)   902     21,693
Y-mAbs Therapeutics, Inc. (A)   6,395     103,983
Zentalis Pharmaceuticals, Inc. (A)   9,014     142,061
Zymeworks, Inc. (A)   8,233     86,611
          136,902,158
Health care equipment and supplies – 2.3%      
Abbott Laboratories   153,007     17,390,776
Accuray, Inc. (A)   16,358     40,404
Alcon, Inc.   67,219     5,559,778
Align Technology, Inc. (A)   6,198     2,032,448
Alphatec Holdings, Inc. (A)   14,502     199,983
AngioDynamics, Inc. (A)   6,498     38,143
Artivion, Inc. (A)   6,124     129,584
Asahi Intecc Company, Ltd.   29,232     512,138
AtriCure, Inc. (A)   7,212     219,389
Atrion Corp.   224     103,835
Avanos Medical, Inc. (A)   7,102     141,401
Axogen, Inc. (A)   7,107     57,353
Axonics, Inc. (A)   7,657     528,103
Baxter International, Inc.   44,049     1,882,654
Becton, Dickinson and Company   25,457     6,299,335
BioMerieux   5,573     614,667
Boston Scientific Corp. (A)   129,163     8,846,374
Butterfly Network, Inc. (A)(B)   24,293     26,236
Carl Zeiss Meditec AG, Bearer Shares   5,414     675,805
Cerus Corp. (A)   27,395     51,777
ClearPoint Neuro, Inc. (A)   4,398     29,906
Cochlear, Ltd.   8,810     1,937,593
Coloplast A/S, B Shares   16,965     2,290,563
CONMED Corp.   4,671     374,054
CVRx, Inc. (A)   1,803     32,833
Demant A/S (A)   13,556     673,778
 
  244  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Dentsply Sirona, Inc.   19,142   $ 635,323
DexCom, Inc. (A)   33,964     4,710,807
DiaSorin SpA   3,011     290,576
Edwards Lifesciences Corp. (A)   53,452     5,107,873
Embecta Corp.   8,953     118,806
Enovis Corp. (A)   9,609     600,082
Envista Holdings Corp. (A)   33,172     709,217
EssilorLuxottica SA   39,682     8,976,526
Fisher & Paykel Healthcare Corp., Ltd.   78,553     1,203,483
GE HealthCare Technologies, Inc.   35,374     3,215,850
Getinge AB, B Shares   30,769     618,854
Glaukos Corp. (A)   7,356     693,597
Globus Medical, Inc., Class A (A)   22,314     1,196,923
Haemonetics Corp. (A)   17,554     1,498,234
Hologic, Inc. (A)   20,684     1,612,525
Hoya Corp.   47,210     5,904,595
IDEXX Laboratories, Inc. (A)   7,318     3,951,208
Inari Medical, Inc. (A)   8,294     397,946
Inmode, Ltd. (A)   11,896     257,073
Inogen, Inc. (A)   4,243     34,241
Insulet Corp. (A)   6,309     1,081,363
Integer Holdings Corp. (A)   5,102     595,301
Integra LifeSciences Holdings Corp. (A)   13,155     466,345
Intuitive Surgical, Inc. (A)   31,050     12,391,745
iRadimed Corp.   1,276     56,131
iRhythm Technologies, Inc. (A)   4,743     550,188
Koninklijke Philips NV (A)   104,451     2,090,477
Lantheus Holdings, Inc. (A)   23,795     1,481,001
LeMaitre Vascular, Inc.   3,027     200,872
LivaNova PLC (A)   18,776     1,050,329
Masimo Corp. (A)   8,585     1,260,707
Medtronic PLC   117,163     10,210,755
Merit Medical Systems, Inc. (A)   8,759     663,494
Neogen Corp. (A)   71,852     1,133,825
Nevro Corp. (A)   5,787     83,564
Olympus Corp.   161,807     2,329,747
Omnicell, Inc. (A)   6,992     204,376
OraSure Technologies, Inc. (A)   11,182     68,769
Orchestra BioMed Holdings, Inc. (A)   2,493     13,138
Orthofix Medical, Inc. (A)   5,777     83,882
OrthoPediatrics Corp. (A)   2,607     76,020
Outset Medical, Inc. (A)   8,163     18,122
Paragon 28, Inc. (A)   7,377     91,106
Penumbra, Inc. (A)   7,465     1,666,039
PROCEPT BioRobotics Corp. (A)   6,224     307,590
Pulmonx Corp. (A)   6,127     56,797
Pulse Biosciences, Inc. (A)(B)   2,543     22,150
QuidelOrtho Corp. (A)   9,564     458,498
ResMed, Inc.   12,893     2,553,201
RxSight, Inc. (A)   4,467     230,408
Sanara Medtech, Inc. (A)   727     26,899
Semler Scientific, Inc. (A)   805     23,514
Shockwave Medical, Inc. (A)   7,137     2,324,021
SI-BONE, Inc. (A)   6,250     102,313
Siemens Healthineers AG (C)   37,934     2,319,950
Sight Sciences, Inc. (A)   3,541     18,696
Silk Road Medical, Inc. (A)   6,345     116,240
Smith & Nephew PLC   117,601     1,472,245
Sonova Holding AG   6,818     1,974,445
STAAR Surgical Company (A)   7,513     287,598
STERIS PLC   8,600     1,933,452
Straumann Holding AG   15,015     2,395,758
Stryker Corp.   29,804     10,665,957
Surmodics, Inc. (A)   2,091     61,350
Sysmex Corp.   67,716     1,208,385
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Tactile Systems Technology, Inc. (A)   3,850   $ 62,563
Teleflex, Inc.   4,246     960,318
Terumo Corp.   181,038     3,312,751
The Cooper Companies, Inc.   17,900     1,816,134
TransMedics Group, Inc. (A)   4,919     363,711
Treace Medical Concepts, Inc. (A)   7,572     98,815
UFP Technologies, Inc. (A)   1,092     275,402
Utah Medical Products, Inc.   569     40,462
Varex Imaging Corp. (A)   5,913     107,025
Zimmer Biomet Holdings, Inc.   18,279     2,412,462
Zimvie, Inc. (A)   4,036     66,554
Zynex, Inc. (A)(B)   2,512     31,073
          168,396,682
Health care providers and services – 1.8%      
23andMe Holding Company, Class A (A)   44,993     23,936
Acadia Healthcare Company, Inc. (A)   17,837     1,413,047
Accolade, Inc. (A)   10,391     108,898
AdaptHealth Corp. (A)   15,694     180,638
Addus HomeCare Corp. (A)   2,478     256,077
Agiliti, Inc. (A)   4,528     45,823
Alignment Healthcare, Inc. (A)   13,314     66,037
Amedisys, Inc. (A)   6,312     581,714
AMN Healthcare Services, Inc. (A)   5,920     370,059
Amplifon SpA   16,749     610,546
Astrana Health, Inc. (A)   6,742     283,097
Aveanna Healthcare Holdings, Inc. (A)   7,936     19,761
BrightSpring Health Services, Inc. (A)   5,199     56,513
Brookdale Senior Living, Inc. (A)   29,164     192,774
Cardinal Health, Inc.   21,440     2,399,136
Castle Biosciences, Inc. (A)   3,946     87,404
Cencora, Inc.   14,619     3,552,271
Centene Corp. (A)   47,117     3,697,742
Chemed Corp.   2,913     1,869,942
Community Health Systems, Inc. (A)   20,802     72,807
CorVel Corp. (A)(B)   1,347     354,207
Cross Country Healthcare, Inc. (A)   5,531     103,540
CVS Health Corp.   110,874     8,843,310
DaVita, Inc. (A)   4,867     671,889
DocGo, Inc. (A)   12,598     50,896
EBOS Group, Ltd.   20,642     422,167
Elevance Health, Inc.   20,714     10,741,038
Encompass Health Corp.   19,389     1,601,144
Enhabit, Inc. (A)   8,357     97,359
Fresenius Medical Care AG   27,629     1,061,635
Fresenius SE & Company KGaA   56,824     1,532,361
Fulgent Genetics, Inc. (A)   3,353     72,760
Guardant Health, Inc. (A)   17,503     361,087
HCA Healthcare, Inc.   17,452     5,820,766
HealthEquity, Inc. (A)   29,660     2,421,146
Henry Schein, Inc. (A)   11,799     891,060
Hims & Hers Health, Inc. (A)   18,909     292,522
Humana, Inc.   10,760     3,730,707
InfuSystem Holdings, Inc. (A)   3,466     29,704
Laboratory Corp. of America Holdings   7,317     1,598,472
LifeStance Health Group, Inc. (A)(B)   16,661     102,798
McKesson Corp.   11,589     6,221,555
ModivCare, Inc. (A)   1,946     45,634
Molina Healthcare, Inc. (A)   5,079     2,086,606
Nano-X Imaging, Ltd. (A)(B)   8,032     78,473
National HealthCare Corp.   1,947     184,011
National Research Corp.   2,352     93,163
NeoGenomics, Inc. (A)   19,795     311,177
NMC Health PLC (A)(D)   19,536     0
OPKO Health, Inc. (A)(B)   63,632     76,358
Option Care Health, Inc. (A)   60,128     2,016,693
 
  245  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care providers and services (continued)      
Owens & Minor, Inc. (A)   11,522   $ 319,275
Patterson Companies, Inc.   13,276     367,081
Pediatrix Medical Group, Inc. (A)   13,715     137,561
PetIQ, Inc. (A)   4,269     78,037
Privia Health Group, Inc. (A)   17,493     342,688
Progyny, Inc. (A)   28,418     1,084,147
Quest Diagnostics, Inc.   9,569     1,273,730
Quipt Home Medical Corp. (A)   7,384     32,268
R1 RCM, Inc. (A)   38,118     490,960
RadNet, Inc. (A)   9,342     454,582
Ramsay Health Care, Ltd.   24,689     908,903
Select Medical Holdings Corp.   16,186     488,008
Sonic Healthcare, Ltd.   60,944     1,167,857
Surgery Partners, Inc. (A)   11,705     349,160
Tenet Healthcare Corp. (A)   19,642     2,064,571
The Cigna Group   25,779     9,362,675
The Ensign Group, Inc.   8,395     1,044,506
The Pennant Group, Inc. (A)   4,445     87,255
UnitedHealth Group, Inc.   81,519     40,327,449
Universal Health Services, Inc., Class B   5,512     1,005,720
US Physical Therapy, Inc.   2,363     266,712
Viemed Healthcare, Inc. (A)   5,950     56,109
          129,511,714
Health care technology – 0.0%      
American Well Corp., Class A (A)   41,065     33,291
Definitive Healthcare Corp. (A)   7,602     61,348
Doximity, Inc., Class A (A)   23,629     635,856
Evolent Health, Inc., Class A (A)   17,004     557,561
Health Catalyst, Inc. (A)   9,302     70,044
HealthStream, Inc.   3,920     104,507
M3, Inc.   59,374     854,471
MultiPlan Corp. (A)   60,362     48,966
OptimizeRx Corp. (A)   2,383     28,953
Phreesia, Inc. (A)   8,091     193,618
Schrodinger, Inc. (A)   8,447     228,069
Sharecare, Inc. (A)   51,556     39,569
Simulations Plus, Inc.   2,414     99,336
TruBridge, Inc. (A)   2,504     23,087
          2,978,676
Life sciences tools and services – 1.0%      
Adaptive Biotechnologies Corp. (A)   18,981     60,929
Agilent Technologies, Inc.   25,808     3,755,322
Akoya Biosciences, Inc. (A)   3,644     17,090
Azenta, Inc. (A)   10,786     650,180
Bachem Holding AG   4,540     434,765
BioLife Solutions, Inc. (A)   5,454     101,172
Bio-Rad Laboratories, Inc., Class A (A)   1,891     654,040
Bio-Techne Corp.   14,289     1,005,803
Bruker Corp.   17,937     1,685,002
Charles River Laboratories International, Inc. (A)   4,635     1,255,853
Codexis, Inc. (A)   10,877     37,961
CryoPort, Inc. (A)   6,650     117,705
Cytek Biosciences, Inc. (A)   18,919     126,946
Danaher Corp.   57,951     14,471,524
Eurofins Scientific SE   18,172     1,157,564
Harvard Bioscience, Inc. (A)   6,999     29,676
Illumina, Inc. (A)   13,773     1,891,308
IQVIA Holdings, Inc. (A)   16,065     4,062,678
Lonza Group AG   10,017     5,986,142
MaxCyte, Inc. (A)   15,126     63,378
Medpace Holdings, Inc. (A)   4,510     1,822,717
Mesa Laboratories, Inc.   855     93,819
Mettler-Toledo International, Inc. (A)   1,889     2,514,807
OmniAb, Inc. (A)   14,627     79,278
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Life sciences tools and services (continued)      
OmniAb, Inc., $12.50 Earnout Shares (A)(D)   967   $ 0
OmniAb, Inc., $15.00 Earnout Shares (A)(D)   967     0
Pacific Biosciences of California, Inc. (A)   39,133     146,749
QIAGEN NV (A)   29,755     1,271,656
Quanterix Corp. (A)   5,507     129,745
Quantum-Si, Inc. (A)   16,682     32,864
Repligen Corp. (A)   10,043     1,847,109
Revvity, Inc.   11,150     1,170,750
Sartorius Stedim Biotech   3,928     1,120,369
Sotera Health Company (A)   24,053     288,877
Thermo Fisher Scientific, Inc.   34,041     19,784,970
Waters Corp. (A)   5,125     1,764,179
West Pharmaceutical Services, Inc.   6,487     2,566,971
          72,199,898
Pharmaceuticals – 4.9%      
Amneal Pharmaceuticals, Inc. (A)   19,319     117,073
Amphastar Pharmaceuticals, Inc. (A)   5,999     263,416
Amylyx Pharmaceuticals, Inc. (A)   8,265     23,473
ANI Pharmaceuticals, Inc. (A)   2,233     154,367
Arvinas, Inc. (A)   7,651     315,833
Astellas Pharma, Inc.   243,428     2,615,085
AstraZeneca PLC   208,524     28,013,901
Atea Pharmaceuticals, Inc. (A)   13,713     55,401
Axsome Therapeutics, Inc. (A)   5,529     441,214
Bayer AG   132,153     4,047,128
Bristol-Myers Squibb Company   179,223     9,719,263
Cassava Sciences, Inc. (A)(B)   6,188     125,555
Catalent, Inc. (A)   16,288     919,458
Chugai Pharmaceutical Company, Ltd.   90,345     3,452,569
CinCor Pharma, Inc. (A)(D)   3,771     11,539
Collegium Pharmaceutical, Inc. (A)   5,415     210,210
Corcept Therapeutics, Inc. (A)   12,543     315,958
CorMedix, Inc. (A)   9,171     38,885
Daiichi Sankyo Company, Ltd.   248,815     7,917,013
Edgewise Therapeutics, Inc. (A)   8,824     160,950
Eisai Company, Ltd.   33,910     1,396,711
Eli Lilly & Company   70,270     54,667,249
Enliven Therapeutics, Inc. (A)(B)   3,915     68,865
Evolus, Inc. (A)   6,405     89,670
EyePoint Pharmaceuticals, Inc. (A)   5,659     116,972
GSK PLC   553,550     11,884,927
Harmony Biosciences Holdings, Inc. (A)   5,068     170,183
Harrow, Inc. (A)   4,808     63,610
Hikma Pharmaceuticals PLC   22,305     539,580
Innoviva, Inc. (A)   9,445     143,942
Intra-Cellular Therapies, Inc. (A)   14,534     1,005,753
Ipsen SA   5,073     603,668
Jazz Pharmaceuticals PLC (A)   12,177     1,466,354
Johnson & Johnson   212,145     33,559,218
Kyowa Kirin Company, Ltd.   36,321     653,455
Ligand Pharmaceuticals, Inc. (A)   2,604     190,352
Liquidia Corp. (A)   7,367     108,663
Longboard Pharmaceuticals, Inc. (A)(B)   3,710     80,136
Marinus Pharmaceuticals, Inc. (A)   8,432     76,225
Merck & Company, Inc.   223,338     29,469,449
Merck KGaA   17,385     3,065,590
Neumora Therapeutics, Inc. (A)(B)   2,482     34,128
Novartis AG   275,725     26,706,280
Novo Nordisk A/S, Class B   438,981     56,309,568
Nuvation Bio, Inc. (A)   28,626     104,199
Ocular Therapeutix, Inc. (A)   17,771     161,716
Omeros Corp. (A)(B)   10,407     35,904
 
  246  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Ono Pharmaceutical Company, Ltd.   48,722   $ 798,307
Optinose, Inc. (A)   10,141     14,806
Orion OYJ, Class B   14,498     540,440
Otsuka Holdings Company, Ltd.   56,279     2,337,732
Pacira BioSciences, Inc. (A)   7,128     208,280
Perrigo Company PLC   26,210     843,700
Pfizer, Inc.   497,472     13,804,848
Phathom Pharmaceuticals, Inc. (A)(B)   5,175     54,959
Phibro Animal Health Corp., Class A   3,908     50,530
Pliant Therapeutics, Inc. (A)   8,979     133,787
Prestige Consumer Healthcare, Inc. (A)   7,779     564,444
Recordati Industria Chimica e Farmaceutica SpA   14,066     776,693
Revance Therapeutics, Inc. (A)   13,717     67,488
Roche Holding AG   94,507     24,129,420
Roche Holding AG, Bearer Shares   4,305     1,160,905
Sandoz Group AG (A)   55,079     1,662,600
Sanofi SA   153,124     14,896,580
Scilex Holding Company (A)   8,717     13,860
scPharmaceuticals, Inc. (A)   5,117     25,687
Shionogi & Company, Ltd.   33,080     1,690,446
SIGA Technologies, Inc.   8,201     70,201
Supernus Pharmaceuticals, Inc. (A)   7,715     263,159
Takeda Pharmaceutical Company, Ltd.   212,856     5,920,350
Taro Pharmaceutical Industries, Ltd. (A)   1,305     55,254
Tarsus Pharmaceuticals, Inc. (A)   4,670     169,755
Terns Pharmaceuticals, Inc. (A)   7,224     47,389
Teva Pharmaceutical Industries, Ltd., ADR (A)   150,776     2,127,449
Theravance Biopharma, Inc. (A)   8,107     72,720
Third Harmonic Bio, Inc. (A)   3,148     29,717
Trevi Therapeutics, Inc. (A)   6,434     22,197
UCB SA   17,007     2,099,460
Ventyx Biosciences, Inc. (A)   7,965     43,808
Verrica Pharmaceuticals, Inc. (A)(B)   3,395     20,098
Viatris, Inc.   102,058     1,218,573
WaVe Life Sciences, Ltd. (A)   11,201     69,110
Xeris Biopharma Holdings, Inc. (A)   22,871     50,545
Zevra Therapeutics, Inc. (A)   6,785     39,353
Zoetis, Inc.   40,464     6,846,913
          364,632,221
          874,621,349
Industrials – 12.3%          
Aerospace and defense – 1.6%      
AAR Corp. (A)   5,181     310,186
AeroVironment, Inc. (A)   4,028     617,412
AerSale Corp. (A)   4,214     30,257
Airbus SE   79,748     14,691,876
Archer Aviation, Inc., Class A (A)(B)   23,635     109,194
Astronics Corp. (A)   4,340     82,634
Axon Enterprise, Inc. (A)   6,115     1,913,261
BAE Systems PLC   407,948     6,953,644
BWX Technologies, Inc.   17,701     1,816,477
Cadre Holdings, Inc.   3,044     110,193
Curtiss-Wright Corp.   7,397     1,893,188
Dassault Aviation SA   2,717     598,202
Ducommun, Inc. (A)   2,100     107,730
Elbit Systems, Ltd.   3,588     749,360
Eve Holding, Inc. (A)(B)   3,224     17,410
General Dynamics Corp.   20,055     5,665,337
Hexcel Corp.   16,322     1,189,058
Howmet Aerospace, Inc.   34,177     2,338,732
Huntington Ingalls Industries, Inc.   3,589     1,046,086
Kaman Corp.   4,304     197,424
Kongsberg Gruppen ASA   11,832     816,975
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Aerospace and defense (continued)      
Kratos Defense & Security Solutions, Inc. (A)   19,760   $ 363,189
L3Harris Technologies, Inc.   16,732     3,565,589
Leonardo DRS, Inc. (A)   10,522     232,431
Leonardo SpA   54,441     1,367,756
Lockheed Martin Corp.   18,970     8,628,884
Melrose Industries PLC   179,043     1,520,235
Moog, Inc., Class A   4,394     701,502
MTU Aero Engines AG   7,240     1,836,252
National Presto Industries, Inc.   825     69,135
Northrop Grumman Corp.   12,441     5,955,009
Park Aerospace Corp.   2,945     48,975
Rheinmetall AG   5,859     3,295,224
Rocket Lab USA, Inc. (A)(B)   43,501     178,789
Rolls-Royce Holdings PLC (A)   1,132,196     6,091,625
RTX Corp.   116,985     11,409,547
Saab AB, B Shares   10,772     958,200
Safran SA   45,979     10,412,942
Singapore Technologies Engineering, Ltd.   209,975     625,157
Terran Orbital Corp. (A)(B)   16,391     21,472
Textron, Inc.   16,881     1,619,394
Thales SA   12,725     2,169,362
The Boeing Company (A)   50,535     9,752,750
TransDigm Group, Inc.   4,906     6,042,230
Triumph Group, Inc. (A)   9,994     150,310
V2X, Inc. (A)   1,977     92,346
Virgin Galactic Holdings, Inc. (A)(B)   58,035     85,892
Woodward, Inc.   11,663     1,797,502
          120,246,335
Air freight and logistics – 0.4%      
Air Transport Services Group, Inc. (A)   8,555     117,717
CH Robinson Worldwide, Inc.   10,540     802,516
Deutsche Post AG   133,340     5,746,606
DSV A/S   23,568     3,831,087
Expeditors International of Washington, Inc.   12,507     1,520,476
FedEx Corp.   20,259     5,869,843
Forward Air Corp.   4,093     127,333
GXO Logistics, Inc. (A)   23,009     1,236,964
Hub Group, Inc., Class A   9,650     417,073
Nippon Express Holdings, Inc.   9,749     497,639
Radiant Logistics, Inc. (A)   5,328     28,878
SG Holdings Company, Ltd.   43,073     545,474
United Parcel Service, Inc., Class B   63,763     9,477,095
Yamato Holdings Company, Ltd.   35,766     514,763
          30,733,464
Building products – 0.9%      
A.O. Smith Corp.   11,098     992,827
AAON, Inc.   10,493     924,433
Advanced Drainage Systems, Inc.   13,211     2,275,463
AGC, Inc.   26,322     955,023
Allegion PLC   7,932     1,068,520
American Woodmark Corp. (A)   2,375     241,443
Apogee Enterprises, Inc.   3,262     193,110
Assa Abloy AB, B Shares   134,827     3,869,306
AZZ, Inc.   3,831     296,175
Builders FirstSource, Inc. (A)   10,769     2,245,875
Carlisle Companies, Inc.   9,392     3,680,255
Carrier Global Corp.   73,580     4,277,205
Cie de Saint-Gobain SA   61,312     4,758,651
CSW Industrials, Inc.   2,402     563,509
Daikin Industries, Ltd.   35,486     4,845,281
Fortune Brands Innovations, Inc.   24,390     2,065,101
Geberit AG   4,497     2,657,654
 
  247  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Building products (continued)      
Gibraltar Industries, Inc. (A)   4,748   $ 382,356
Griffon Corp.   6,051     443,780
Insteel Industries, Inc.   2,906     111,067
Janus International Group, Inc. (A)   13,362     202,167
JELD-WEN Holding, Inc. (A)   12,868     273,188
Johnson Controls International PLC   59,967     3,917,044
Kingspan Group PLC   20,933     1,906,502
Lennox International, Inc.   6,194     3,027,379
Masco Corp.   19,243     1,517,888
Masonite International Corp. (A)   3,414     448,770
Masterbrand, Inc. (A)   19,717     369,497
Nibe Industrier AB, B Shares   203,860     1,002,461
Owens Corning   17,190     2,867,292
Quanex Building Products Corp.   5,189     199,413
Resideo Technologies, Inc. (A)   22,725     509,495
ROCKWOOL A/S, B Shares   1,240     407,991
Simpson Manufacturing Company, Inc.   14,898     3,056,772
TOTO, Ltd.   19,046     533,955
Trane Technologies PLC   20,038     6,015,408
Trex Company, Inc. (A)   21,005     2,095,249
UFP Industries, Inc.   21,204     2,608,304
Zurn Elkay Water Solutions Corp.   22,905     766,630
          68,572,439
Commercial services and supplies – 0.6%      
ABM Industries, Inc.   10,059     448,833
ACCO Brands Corp.   13,954     78,282
ACV Auctions, Inc., Class A (A)   19,482     365,677
Aris Water Solutions, Inc., Class A   5,388     76,240
Brambles, Ltd.   187,185     1,969,955
BrightView Holdings, Inc. (A)   6,501     77,362
Casella Waste Systems, Inc., Class A (A)   8,745     864,618
CECO Environmental Corp. (A)   4,585     105,547
Cimpress PLC (A)   2,801     247,917
Cintas Corp.   7,606     5,225,550
Clean Harbors, Inc. (A)   9,729     1,958,545
Copart, Inc. (A)   77,134     4,467,601
CoreCivic, Inc. (A)   17,721     276,625
Dai Nippon Printing Company, Ltd.   27,519     842,787
Deluxe Corp.   6,635     136,615
Ennis, Inc.   4,366     89,547
Enviri Corp. (A)   12,316     112,691
Healthcare Services Group, Inc. (A)   11,454     142,946
HNI Corp.   7,109     320,829
Interface, Inc.   8,714     146,569
Liquidity Services, Inc. (A)   3,473     64,598
Matthews International Corp., Class A   4,603     143,061
MillerKnoll, Inc.   11,407     282,437
Montrose Environmental Group, Inc. (A)   4,348     170,311
MSA Safety, Inc.   7,147     1,383,588
OPENLANE, Inc. (A)   16,761     289,965
Performant Financial Corp. (A)   12,171     35,783
Pitney Bowes, Inc.   26,963     116,750
Quad/Graphics, Inc.   4,951     26,290
Rentokil Initial PLC   339,327     2,017,472
Republic Services, Inc.   18,067     3,458,746
Rollins, Inc.   25,366     1,173,685
Secom Company, Ltd.   28,245     2,049,259
Securitas AB, B Shares   66,156     682,004
SP Plus Corp. (A)   3,085     161,099
Steelcase, Inc., Class A   14,602     190,994
Stericycle, Inc. (A)   17,896     944,014
Tetra Tech, Inc.   10,341     1,910,086
The Brink's Company (B)   15,703     1,450,643
The GEO Group, Inc. (A)   18,477     260,895
TOPPAN Holdings, Inc.   30,952     775,874
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Commercial services and supplies (continued)      
UniFirst Corp.   2,326   $ 403,398
Veralto Corp.   18,949     1,680,018
Viad Corp. (A)   3,211     126,802
VSE Corp.   2,105     168,400
Waste Management, Inc.   32,326     6,890,287
          44,811,195
Construction and engineering – 0.6%      
ACS Actividades de Construccion y Servicios SA   28,390     1,188,928
AECOM   26,310     2,580,485
Ameresco, Inc., Class A (A)   4,991     120,433
API Group Corp. (A)   32,245     1,266,261
Arcosa, Inc.   7,526     646,182
Argan, Inc.   2,099     106,083
Bouygues SA   25,710     1,049,607
Bowman Consulting Group, Ltd. (A)   1,795     62,448
Comfort Systems USA, Inc.   12,371     3,930,390
Concrete Pumping Holdings, Inc. (A)   4,761     37,612
Construction Partners, Inc., Class A (A)   6,160     345,884
Dycom Industries, Inc. (A)   4,449     638,565
Eiffage SA   9,886     1,121,983
EMCOR Group, Inc.   9,099     3,186,470
Ferrovial SE   69,746     2,761,373
Fluor Corp. (A)   55,009     2,325,781
Granite Construction, Inc.   6,838     390,655
Great Lakes Dredge & Dock Corp. (A)   11,367     99,461
IES Holdings, Inc. (A)   1,258     153,023
Kajima Corp.   56,894     1,167,730
Limbach Holdings, Inc. (A)   1,422     58,899
MasTec, Inc. (A)   11,692     1,090,279
MDU Resources Group, Inc.   39,387     992,552
MYR Group, Inc. (A)   2,535     448,061
Northwest Pipe Company (A)   1,561     54,135
Obayashi Corp.   87,349     1,038,617
Primoris Services Corp.   8,288     352,820
Quanta Services, Inc.   12,811     3,328,298
Shimizu Corp.   70,030     452,233
Skanska AB, B Shares (B)   45,768     815,062
Sterling Infrastructure, Inc. (A)   4,658     513,824
Taisei Corp.   22,854     833,006
Tutor Perini Corp. (A)   7,041     101,813
Valmont Industries, Inc.   4,041     922,479
Vinci SA   67,351     8,643,058
          42,824,490
Electrical equipment – 1.1%      
ABB, Ltd.   215,188     9,982,636
Acuity Brands, Inc.   5,903     1,586,313
Allient, Inc.   2,153     76,819
AMETEK, Inc.   20,365     3,724,759
Array Technologies, Inc. (A)   23,448     349,610
Atkore, Inc.   5,804     1,104,849
Blink Charging Company (A)(B)   9,273     27,912
Bloom Energy Corp., Class A (A)(B)   29,893     335,997
Eaton Corp. PLC   35,191     11,003,522
Emerson Electric Company   50,382     5,714,326
Encore Wire Corp.   2,322     610,175
Energy Vault Holdings, Inc. (A)(B)   17,739     31,753
EnerSys   14,185     1,339,915
Enovix Corp. (A)(B)   21,567     172,752
Eos Energy Enterprises, Inc. (A)(B)   18,065     18,607
Fluence Energy, Inc. (A)   9,008     156,199
FuelCell Energy, Inc. (A)(B)   71,205     84,734
Fuji Electric Company, Ltd.   17,070     1,145,474
Generac Holdings, Inc. (A)   5,550     700,077
GrafTech International, Ltd.   32,603     44,992
 
  248  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electrical equipment (continued)      
Hubbell, Inc.   4,655   $ 1,932,058
Legrand SA   35,517     3,761,134
LSI Industries, Inc.   4,672     70,641
Mitsubishi Electric Corp.   259,954     4,351,355
NEXTracker, Inc., Class A (A)   19,460     1,095,014
Nidec Corp.   56,148     2,328,415
NuScale Power Corp. (A)   9,288     49,319
nVent Electric PLC   32,091     2,419,661
Powell Industries, Inc.   1,419     201,924
Preformed Line Products Company   425     54,685
Prysmian SpA   35,339     1,843,067
Regal Rexnord Corp.   12,824     2,309,602
Rockwell Automation, Inc.   10,089     2,939,228
Schneider Electric SE   73,204     16,549,696
Sensata Technologies Holding PLC   29,275     1,075,564
SES AI Corp. (A)(B)   22,739     38,202
Shoals Technologies Group, Inc., Class A (A)   26,618     297,589
Siemens Energy AG (A)   69,888     1,282,707
SKYX Platforms Corp. (A)(B)   10,748     14,080
Stem, Inc. (A)(B)   23,502     51,469
SunPower Corp. (A)(B)   14,268     42,804
Thermon Group Holdings, Inc. (A)   5,192     169,882
TPI Composites, Inc. (A)(B)   7,232     21,045
Vestas Wind Systems A/S (A)   135,844     3,789,178
Vicor Corp. (A)   3,469     132,655
          85,032,395
Ground transportation – 0.9%      
ArcBest Corp.   3,682     524,685
Aurizon Holdings, Ltd.   247,603     645,613
Avis Budget Group, Inc.   3,573     437,550
Central Japan Railway Company   103,916     2,580,788
Covenant Logistics Group, Inc.   1,190     55,168
CSX Corp.   174,014     6,450,699
Daseke, Inc. (A)   7,211     59,851
East Japan Railway Company   122,076     2,342,045
FTAI Infrastructure, Inc.   15,432     96,913
Grab Holdings, Ltd., Class A (A)   255,585     802,537
Hankyu Hanshin Holdings, Inc.   30,785     883,259
Heartland Express, Inc.   7,757     92,619
Hertz Global Holdings, Inc. (A)   25,381     198,733
JB Hunt Transport Services, Inc.   7,362     1,466,879
Keisei Electric Railway Company, Ltd.   18,554     754,501
Kintetsu Group Holdings Company, Ltd.   24,365     709,673
Knight-Swift Transportation Holdings, Inc.   31,213     1,717,339
Landstar System, Inc.   6,953     1,340,260
Marten Transport, Ltd.   9,063     167,484
MTR Corp., Ltd.   209,072     690,763
Norfolk Southern Corp.   19,890     5,069,364
Odakyu Electric Railway Company, Ltd.   42,135     580,824
Old Dominion Freight Line, Inc.   15,764     3,457,203
PAM Transportation Services, Inc. (A)   935     15,156
RXO, Inc. (A)   18,001     393,682
Ryder System, Inc.   8,573     1,030,389
Saia, Inc. (A)   5,135     3,003,975
Tobu Railway Company, Ltd.   25,401     635,148
Tokyu Corp.   67,244     818,820
Uber Technologies, Inc. (A)   181,290     13,957,517
Union Pacific Corp.   53,716     13,210,376
Universal Logistics Holdings, Inc.   1,149     42,364
Werner Enterprises, Inc.   21,887     856,219
West Japan Railway Company   59,080     1,231,237
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Ground transportation (continued)      
XPO, Inc. (A)   22,459   $ 2,740,672
          69,060,305
Industrial conglomerates – 1.0%      
3M Company   48,660     5,161,366
Brookfield Business Corp., Class A (B)   3,820     92,215
CK Hutchison Holdings, Ltd.   360,638     1,735,624
DCC PLC   13,297     967,438
General Electric Company   95,909     16,834,907
Hikari Tsushin, Inc.   2,727     512,870
Hitachi, Ltd.   124,720     11,396,967
Honeywell International, Inc.   58,109     11,926,872
Investment AB Latour, B Shares   19,918     523,617
Jardine Cycle & Carriage, Ltd.   13,290     237,952
Jardine Matheson Holdings, Ltd.   21,373     797,246
Keppel, Ltd.   195,924     1,064,660
Lifco AB, B Shares   31,357     818,866
Siemens AG   102,233     19,520,253
Smiths Group PLC   46,752     969,099
          72,559,952
Machinery – 2.5%      
3D Systems Corp. (A)   20,925     92,907
AGCO Corp.   12,021     1,478,823
Alamo Group, Inc.   1,548     353,455
Albany International Corp., Class A   4,829     451,560
Alfa Laval AB   38,919     1,529,296
Alstom SA   38,771     590,419
Astec Industries, Inc.   3,783     165,355
Atlas Copco AB, A Shares   361,323     6,102,222
Atlas Copco AB, B Shares   209,965     3,101,172
Barnes Group, Inc.   7,763     288,395
Blue Bird Corp. (A)   4,000     153,360
Caterpillar, Inc.   44,863     16,439,149
Chart Industries, Inc. (A)   14,787     2,435,715
Columbus McKinnon Corp.   4,330     193,248
Commercial Vehicle Group, Inc. (A)   5,668     36,445
Crane Company   9,451     1,277,114
Cummins, Inc.   12,496     3,681,946
Daifuku Company, Ltd.   40,877     979,797
Daimler Truck Holding AG   71,956     3,646,352
Deere & Company   22,950     9,426,483
Desktop Metal, Inc., Class A (A)(B)   46,737     41,129
Donaldson Company, Inc.   23,237     1,735,339
Douglas Dynamics, Inc.   3,495     84,299
Dover Corp.   12,208     2,163,136
Energy Recovery, Inc. (A)   8,629     136,252
Enerpac Tool Group Corp.   8,442     301,042
Enpro, Inc.   3,245     547,659
Epiroc AB, A Shares   88,648     1,664,149
Epiroc AB, B Shares   52,460     888,407
Esab Corp.   10,958     1,211,626
ESCO Technologies, Inc.   3,975     425,524
FANUC Corp.   128,186     3,575,936
Federal Signal Corp.   9,211     781,738
Flowserve Corp.   25,379     1,159,313
Fortive Corp.   30,859     2,654,491
Franklin Electric Company, Inc.   7,130     761,555
GEA Group AG   22,023     931,135
Gencor Industries, Inc. (A)   2,024     33,781
Graco, Inc.   32,648     3,051,282
Helios Technologies, Inc.   5,242     234,265
Hillenbrand, Inc.   10,841     545,194
Hillman Solutions Corp. (A)   30,611     325,701
Hitachi Construction Machinery Company, Ltd.   14,469     436,550
Hoshizaki Corp.   14,617     533,327
 
  249  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Husqvarna AB, B Shares   47,099   $ 403,026
Hyliion Holdings Corp. (A)   26,518     46,672
Hyster-Yale Materials Handling, Inc.   1,772     113,709
IDEX Corp.   6,516     1,590,034
Illinois Tool Works, Inc.   23,938     6,423,284
Indutrade AB   36,756     1,001,116
Ingersoll Rand, Inc.   35,666     3,386,487
ITT, Inc.   15,880     2,160,156
John Bean Technologies Corp.   4,946     518,786
Kadant, Inc.   1,795     588,940
Kennametal, Inc.   12,343     307,834
Knorr-Bremse AG   9,758     738,044
Komatsu, Ltd.   124,446     3,682,453
Kone OYJ, B Shares   45,721     2,130,009
Kubota Corp.   134,543     2,110,944
Lincoln Electric Holdings, Inc.   11,064     2,826,188
Lindsay Corp.   1,709     201,081
Luxfer Holdings PLC   4,859     50,388
Makita Corp.   30,134     856,424
Mayville Engineering Company, Inc. (A)   1,623     23,258
Metso OYJ   89,208     1,059,690
Microvast Holdings, Inc. (A)(B)   34,237     28,656
Miller Industries, Inc.   1,575     78,908
MINEBEA MITSUMI, Inc.   48,833     957,863
MISUMI Group, Inc.   38,308     533,669
Mitsubishi Heavy Industries, Ltd.   431,120     3,907,386
Mueller Industries, Inc.   17,291     932,504
Mueller Water Products, Inc., Class A   23,938     385,162
Nikola Corp. (A)(B)   101,511     105,571
Nordson Corp.   4,894     1,343,599
Omega Flex, Inc.   607     43,055
Oshkosh Corp.   12,653     1,577,956
Otis Worldwide Corp.   35,633     3,537,288
PACCAR, Inc.   46,151     5,717,647
Parker-Hannifin Corp.   11,314     6,288,208
Park-Ohio Holdings Corp.   1,421     37,912
Pentair PLC   14,935     1,276,046
Proto Labs, Inc. (A)   4,093     146,325
Rational AG   688     592,778
RBC Bearings, Inc. (A)   5,607     1,515,852
REV Group, Inc.   4,994     110,317
Sandvik AB   143,425     3,184,145
Schindler Holding AG   3,158     770,575
Schindler Holding AG, Participation Certificates   5,477     1,378,660
Seatrium, Ltd. (A)   5,966,319     348,691
SKF AB, B Shares (B)   45,847     935,958
SMC Corp.   7,703     4,345,722
Snap-on, Inc.   4,769     1,412,673
Spirax-Sarco Engineering PLC   9,924     1,259,117
SPX Technologies, Inc. (A)   6,846     842,948
Standex International Corp.   1,815     330,729
Stanley Black & Decker, Inc.   13,852     1,356,526
Techtronic Industries Company, Ltd.   185,010     2,513,890
Tennant Company   2,820     342,940
Terex Corp.   23,135     1,489,894
The Gorman-Rupp Company   3,741     147,957
The Greenbrier Companies, Inc.   4,769     248,465
The Manitowoc Company, Inc. (A)   5,353     75,691
The Middleby Corp. (A)   10,368     1,667,071
The Shyft Group, Inc.   5,649     70,161
The Timken Company   12,554     1,097,596
The Toro Company   20,193     1,850,285
Titan International, Inc. (A)   8,120     101,175
Toyota Industries Corp.   19,724     2,063,744
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Trinity Industries, Inc.   12,526   $ 348,849
VAT Group AG (C)   3,632     1,876,269
Volvo AB, A Shares   26,936     741,726
Volvo AB, B Shares (B)   202,991     5,501,350
Wabash National Corp.   7,130     213,472
Wabtec Corp.   15,650     2,279,892
Wartsila OYJ ABP   63,677     967,732
Watts Water Technologies, Inc., Class A   9,478     2,014,549
Xylem, Inc.   21,186     2,738,079
Yaskawa Electric Corp.   32,288     1,374,651
          181,872,450
Marine transportation – 0.1%      
A.P. Moller - Maersk A/S, Series A   408     522,776
A.P. Moller - Maersk A/S, Series B   552     719,722
Costamare, Inc.   6,538     74,206
Eagle Bulk Shipping, Inc.   1,475     92,143
Genco Shipping & Trading, Ltd.   6,771     137,654
Golden Ocean Group, Ltd.   19,034     246,681
Himalaya Shipping, Ltd. (A)   4,506     34,741
Kawasaki Kisen Kaisha, Ltd.   52,881     711,096
Kirby Corp. (A)   11,431     1,089,603
Kuehne + Nagel International AG   7,310     2,033,778
Matson, Inc.   5,332     599,317
Mitsui OSK Lines, Ltd.   46,276     1,411,723
Nippon Yusen KK (B)   61,764     1,695,673
Pangaea Logistics Solutions, Ltd.   5,564     38,781
Safe Bulkers, Inc.   9,048     44,878
SITC International Holdings Company, Ltd.   180,432     329,876
          9,782,648
Passenger airlines – 0.2%      
Allegiant Travel Company   2,437     183,287
American Airlines Group, Inc. (A)   59,048     906,387
ANA Holdings, Inc.   21,498     449,292
Blade Air Mobility, Inc. (A)   9,220     26,277
Delta Air Lines, Inc.   56,195     2,690,055
Deutsche Lufthansa AG (A)   80,484     632,549
Frontier Group Holdings, Inc. (A)(B)   6,404     51,936
Hawaiian Holdings, Inc. (A)   8,027     107,000
Japan Airlines Company, Ltd.   19,404     368,437
JetBlue Airways Corp. (A)   52,837     392,051
Joby Aviation, Inc. (A)(B)   43,314     232,163
Qantas Airways, Ltd. (A)   113,657     403,498
Singapore Airlines, Ltd.   200,262     949,142
SkyWest, Inc. (A)   6,199     428,227
Southwest Airlines Company   51,160     1,493,360
Spirit Airlines, Inc. (B)   17,044     82,493
Sun Country Airlines Holdings, Inc. (A)   5,710     86,164
United Airlines Holdings, Inc. (A)   29,634     1,418,876
          10,901,194
Professional services – 1.2%      
Adecco Group AG   21,524     851,539
Alight, Inc., Class A (A)   64,359     633,936
ASGN, Inc. (A)   16,416     1,719,740
Asure Software, Inc. (A)   3,348     26,047
Automatic Data Processing, Inc.   36,213     9,043,835
Barrett Business Services, Inc.   994     125,960
BlackSky Technology, Inc. (A)   22,091     30,044
Broadridge Financial Solutions, Inc.   10,254     2,100,634
Bureau Veritas SA   39,673     1,211,353
CACI International, Inc., Class A (A)   4,310     1,632,757
CBIZ, Inc. (A)   7,331     575,484
Computershare, Ltd.   72,414     1,233,420
Concentrix Corp.   9,095     602,271
 
  250  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Professional services (continued)      
Conduent, Inc. (A)   27,169   $ 91,831
CRA International, Inc.   1,114     166,632
CSG Systems International, Inc.   4,854     250,175
Dayforce, Inc. (A)   14,093     933,098
Equifax, Inc.   10,841     2,900,184
EXL Service Holdings, Inc. (A)   56,849     1,807,798
Experian PLC   123,596     5,385,441
Exponent, Inc.   17,617     1,456,750
First Advantage Corp.   8,563     138,892
FiscalNote Holdings, Inc. (A)   9,397     12,498
Forrester Research, Inc. (A)   2,089     45,039
Franklin Covey Company (A)   1,834     72,003
FTI Consulting, Inc. (A)   6,736     1,416,513
Genpact, Ltd.   31,940     1,052,423
Heidrick & Struggles International, Inc.   3,076     103,538
HireRight Holdings Corp. (A)   2,463     35,147
Huron Consulting Group, Inc. (A)   2,979     287,831
IBEX Holdings, Ltd. (A)   1,512     23,330
ICF International, Inc.   2,909     438,183
Innodata, Inc. (A)   4,315     28,479
Insperity, Inc.   12,352     1,353,903
Intertek Group PLC   21,710     1,366,597
Jacobs Solutions, Inc.   10,870     1,671,045
KBR, Inc.   26,112     1,662,290
Kelly Services, Inc., Class A   4,868     121,895
Kforce, Inc.   2,968     209,303
Korn Ferry   7,990     525,422
Legalzoom.com, Inc. (A)   18,696     249,405
Leidos Holdings, Inc.   11,828     1,550,533
ManpowerGroup, Inc.   9,441     732,999
Maximus, Inc.   21,181     1,777,086
Mistras Group, Inc. (A)   3,906     37,341
NV5 Global, Inc. (A)   2,155     211,212
Parsons Corp. (A)   6,352     526,898
Paychex, Inc.   28,235     3,467,258
Paycom Software, Inc.   4,025     801,015
Paylocity Holding Corp. (A)   8,390     1,441,905
Planet Labs PBC (A)   28,080     71,604
Randstad NV   14,597     770,804
Recruit Holdings Company, Ltd.   193,916     8,514,225
RELX PLC   253,611     10,937,082
Resources Connection, Inc.   5,392     70,959
Robert Half, Inc.   9,568     758,551
Science Applications International Corp.   10,070     1,313,027
SGS SA   20,164     1,957,571
Sterling Check Corp. (A)   5,280     84,902
Teleperformance SE   7,681     746,092
TriNet Group, Inc.   4,948     655,561
TrueBlue, Inc. (A)   5,017     62,813
TTEC Holdings, Inc.   3,453     35,808
Upwork, Inc. (A)   19,420     238,089
Verisk Analytics, Inc.   12,775     3,011,451
Verra Mobility Corp. (A)   21,578     538,803
Willdan Group, Inc. (A)   1,823     52,849
Wolters Kluwer NV   33,429     5,234,640
          89,193,743
Trading companies and distributors – 1.1%      
AerCap Holdings NV (A)   26,931     2,340,573
Alta Equipment Group, Inc.   3,832     49,624
Applied Industrial Technologies, Inc.   13,428     2,652,701
Ashtead Group PLC   58,865     4,192,905
Beacon Roofing Supply, Inc. (A)   8,950     877,279
Beijer Ref AB   51,777     768,780
BlueLinx Holdings, Inc. (A)   1,294     168,531
Boise Cascade Company   6,117     938,164
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Trading companies and distributors (continued)      
Brenntag SE   17,852   $ 1,504,584
Bunzl PLC   45,470     1,749,576
Core & Main, Inc., Class A (A)   32,994     1,888,907
Custom Truck One Source, Inc. (A)   9,473     55,133
Distribution Solutions Group, Inc. (A)   1,634     57,974
DNOW, Inc. (A)   16,955     257,716
DXP Enterprises, Inc. (A)   2,070     111,221
Fastenal Company   50,476     3,893,719
FTAI Aviation, Ltd.   15,414     1,037,362
GATX Corp.   12,355     1,655,941
Global Industrial, Inc.   2,105     94,262
GMS, Inc. (A)   6,233     606,720
H&E Equipment Services, Inc.   5,001     320,964
Herc Holdings, Inc.   4,366     734,798
Hudson Technologies, Inc. (A)   6,682     73,569
IMCD NV   7,666     1,349,293
ITOCHU Corp.   159,896     6,869,067
Karat Packaging, Inc.   1,071     30,641
Marubeni Corp.   192,654     3,336,699
McGrath RentCorp   3,816     470,780
Mitsubishi Corp.   464,084     10,725,546
Mitsui & Company, Ltd. (B)   174,104     8,139,632
MonotaRO Company, Ltd.   33,721     405,898
MRC Global, Inc. (A)   13,104     164,717
MSC Industrial Direct Company, Inc., Class A   8,836     857,445
Reece, Ltd.   30,414     556,872
Rexel SA   30,339     819,542
Rush Enterprises, Inc., Class A   9,568     512,079
Rush Enterprises, Inc., Class B   1,485     79,136
Seven Group Holdings, Ltd.   22,009     584,860
Sumitomo Corp.   139,848     3,368,651
Titan Machinery, Inc. (A)   3,412     84,652
Toyota Tsusho Corp.   28,576     1,962,337
Transcat, Inc. (A)   1,266     141,070
United Rentals, Inc.   5,921     4,269,692
W.W. Grainger, Inc.   3,897     3,964,418
Watsco, Inc. (B)   6,050     2,613,419
WESCO International, Inc.   8,496     1,455,195
Willis Lease Finance Corp. (A)   331     16,424
Xometry, Inc., Class A (A)   5,294     89,416
          78,898,484
Transportation infrastructure – 0.1%      
Aena SME SA (C)   10,089     1,987,064
Aeroports de Paris SA   4,659     638,815
Auckland International Airport, Ltd.   178,656     891,649
Getlink SE   48,089     818,782
Transurban Group   415,437     3,603,965
          7,940,275
          912,429,369
Information technology – 19.8%          
Communications equipment – 0.5%      
ADTRAN Holdings, Inc.   13,405     72,923
Arista Networks, Inc. (A)   22,210     6,440,456
Aviat Networks, Inc. (A)   1,680     64,411
Calix, Inc. (A)   9,122     302,486
Ciena Corp. (A)   28,048     1,386,974
Cisco Systems, Inc.   358,162     17,875,865
Clearfield, Inc. (A)   2,156     66,491
CommScope Holding Company, Inc. (A)   34,241     44,856
Comtech Telecommunications Corp. (A)   5,110     17,527
Digi International, Inc. (A)   5,668     180,979
Extreme Networks, Inc. (A)   19,561     225,734
F5, Inc. (A)   5,001     948,140
 
  251  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Communications equipment (continued)      
Harmonic, Inc. (A)   17,179   $ 230,886
Infinera Corp. (A)   31,075     187,382
Juniper Networks, Inc.   28,811     1,067,736
Lumentum Holdings, Inc. (A)   13,037     617,302
Motorola Solutions, Inc.   14,640     5,196,907
NETGEAR, Inc. (A)   4,925     77,667
NetScout Systems, Inc. (A)   10,897     237,990
Nokia OYJ   717,366     2,545,282
Ribbon Communications, Inc. (A)   15,346     49,107
Telefonaktiebolaget LM Ericsson, B Shares (B)   393,904     2,118,477
Viavi Solutions, Inc. (A)   34,637     314,850
          40,270,428
Electronic equipment, instruments and components – 1.1%      
908 Devices, Inc. (A)   3,561     26,886
Advanced Energy Industries, Inc.   5,775     588,935
Amphenol Corp., Class A   52,940     6,106,629
Arlo Technologies, Inc. (A)   14,121     178,631
Arrow Electronics, Inc. (A)   10,408     1,347,420
Avnet, Inc.   17,479     866,609
Azbil Corp.   16,181     447,661
Badger Meter, Inc.   4,549     736,074
Bel Fuse, Inc., Class B   1,604     96,737
Belden, Inc.   14,693     1,360,719
Benchmark Electronics, Inc.   5,683     170,547
CDW Corp.   11,797     3,017,437
Climb Global Solutions, Inc.   759     53,798
Cognex Corp.   33,296     1,412,416
Coherent Corp. (A)   25,547     1,548,659
Corning, Inc.   67,045     2,209,803
Crane NXT Company   9,338     578,022
CTS Corp.   4,800     224,592
Daktronics, Inc. (A)   5,534     55,119
ePlus, Inc. (A)   4,083     320,679
Evolv Technologies Holdings, Inc. (A)   18,614     82,832
Fabrinet (A)   5,700     1,077,414
FARO Technologies, Inc. (A)   2,914     62,680
Halma PLC   51,070     1,524,969
Hamamatsu Photonics KK   18,874     665,428
Hexagon AB, B Shares   279,281     3,301,361
Hirose Electric Company, Ltd.   3,901     400,867
Ibiden Company, Ltd.   15,158     678,878
Insight Enterprises, Inc. (A)   4,370     810,722
IPG Photonics Corp. (A)   5,718     518,565
Iteris, Inc. (A)   6,859     33,883
Itron, Inc. (A)   7,047     651,988
Jabil, Inc.   11,047     1,479,746
Keyence Corp.   26,173     12,151,099
Keysight Technologies, Inc. (A)   15,405     2,409,034
Kimball Electronics, Inc. (A)   3,965     85,842
Knowles Corp. (A)   14,014     225,625
Kyocera Corp.   172,709     2,316,217
Lightwave Logic, Inc. (A)(B)   19,018     89,004
Littelfuse, Inc.   4,817     1,167,400
Luna Innovations, Inc. (A)   5,655     18,124
Methode Electronics, Inc.   5,469     66,612
MicroVision, Inc. (A)(B)   29,092     53,529
Mirion Technologies, Inc. (A)   30,910     351,447
Murata Manufacturing Company, Ltd.   231,817     4,335,534
Napco Security Technologies, Inc.   5,209     209,193
nLight, Inc. (A)   7,357     95,641
Novanta, Inc. (A)   12,456     2,176,935
Omron Corp.   23,582     844,401
OSI Systems, Inc. (A)   2,484     354,765
PAR Technology Corp. (A)   4,090     185,522
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electronic equipment, instruments and
components (continued)
     
PC Connection, Inc.   1,792   $ 118,147
Plexus Corp. (A)   4,241     402,132
Richardson Electronics, Ltd.   2,230     20,538
Rogers Corp. (A)   2,676     317,614
Sanmina Corp. (A)   8,722     542,334
ScanSource, Inc. (A)   3,835     168,893
Shimadzu Corp.   31,862     887,488
SmartRent, Inc. (A)   28,446     76,235
TD SYNNEX Corp.   11,033     1,247,832
TDK Corp.   52,296     2,568,150
TE Connectivity, Ltd.   27,213     3,952,416
Teledyne Technologies, Inc. (A)   4,082     1,752,484
Trimble, Inc. (A)   22,477     1,446,620
TTM Technologies, Inc. (A)   15,945     249,539
Vishay Intertechnology, Inc.   44,178     1,001,957
Vishay Precision Group, Inc. (A)   2,107     74,440
Vontier Corp.   29,850     1,353,996
Vuzix Corp. (A)(B)   10,698     12,945
Yokogawa Electric Corp.   30,715     707,347
Zebra Technologies Corp., Class A (A)   4,640     1,398,682
          78,072,419
IT services – 0.9%      
Accenture PLC, Class A   55,269     19,156,788
Akamai Technologies, Inc. (A)   12,931     1,406,376
Applied Digital Corp. (A)(B)   13,070     55,940
Bechtle AG   11,018     582,348
BigBear.ai Holdings, Inc. (A)(B)   7,554     15,486
BigCommerce Holdings, Inc., Series 1 (A)   10,443     71,952
Brightcove, Inc. (A)   8,668     16,816
Capgemini SE   20,897     4,808,622
Cognizant Technology Solutions Corp., Class A   43,916     3,218,604
Couchbase, Inc. (A)   5,606     147,494
DigitalOcean Holdings, Inc. (A)   9,808     374,469
EPAM Systems, Inc. (A)   4,961     1,370,030
Fastly, Inc., Class A (A)   18,701     242,552
Fujitsu, Ltd.   236,810     3,789,907
Gartner, Inc. (A)   6,872     3,275,676
GoDaddy, Inc., Class A (A)   27,239     3,232,725
Grid Dynamics Holdings, Inc. (A)   8,742     107,439
IBM Corp.   80,639     15,398,823
Information Services Group, Inc.   6,685     27,007
Kyndryl Holdings, Inc. (A)   44,507     968,472
NEC Corp.   33,033     2,411,585
Nomura Research Institute, Ltd.   51,951     1,467,550
NTT Data Group Corp.   84,896     1,349,672
Obic Company, Ltd.   9,379     1,416,708
Otsuka Corp.   30,672     650,812
Perficient, Inc. (A)   5,305     298,618
Rackspace Technology, Inc. (A)   10,538     16,650
SCSK Corp.   21,038     391,049
Squarespace, Inc., Class A (A)   7,751     282,446
The Hackett Group, Inc.   3,814     92,680
Thoughtworks Holding, Inc. (A)   14,490     36,660
TIS, Inc.   29,595     634,985
Tucows, Inc., Class A (A)   1,735     32,202
Unisys Corp. (A)   10,427     51,197
VeriSign, Inc. (A)   7,627     1,445,393
Wix.com, Ltd. (A)   7,304     1,004,154
          69,849,887
Semiconductors and semiconductor equipment – 7.1%      
ACM Research, Inc., Class A (A)   7,483     218,055
Advanced Micro Devices, Inc. (A)   142,370     25,696,361
 
  252  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
Advantest Corp.   103,060   $ 4,578,220
Aehr Test Systems (A)(B)   4,296     53,270
Allegro MicroSystems, Inc. (A)   13,821     372,614
Alpha & Omega Semiconductor, Ltd. (A)   3,797     83,686
Ambarella, Inc. (A)   5,861     297,563
Amkor Technology, Inc.   37,363     1,204,583
Analog Devices, Inc.   43,709     8,645,203
Applied Materials, Inc.   73,397     15,136,663
ASM International NV   6,317     3,868,545
ASML Holding NV   54,229     52,572,900
Atomera, Inc. (A)(B)   4,103     25,274
Axcelis Technologies, Inc. (A)   5,027     560,611
BE Semiconductor Industries NV   10,370     1,588,461
Broadcom, Inc.   38,774     51,391,447
CEVA, Inc. (A)   3,609     81,960
Cirrus Logic, Inc. (A)   10,432     965,586
Cohu, Inc. (A)   7,187     239,543
Credo Technology Group Holding, Ltd. (A)   18,225     386,188
Diodes, Inc. (A)   6,975     491,738
Disco Corp.   12,390     4,528,958
Enphase Energy, Inc. (A)   11,692     1,414,498
First Solar, Inc. (A)   9,171     1,548,065
FormFactor, Inc. (A)   12,007     547,879
Ichor Holdings, Ltd. (A)   4,434     171,241
Impinj, Inc. (A)   3,628     465,871
Indie Semiconductor, Inc., Class A (A)   23,440     165,955
Infineon Technologies AG   175,669     5,973,717
Intel Corp.   372,532     16,454,738
inTEST Corp. (A)   1,886     24,990
KLA Corp.   11,930     8,333,940
Kulicke & Soffa Industries, Inc.   8,557     430,503
Lam Research Corp.   11,565     11,236,207
Lasertec Corp.   10,147     2,892,201
Lattice Semiconductor Corp. (A)   26,698     2,088,585
MACOM Technology Solutions Holdings, Inc. (A)   18,979     1,815,152
Maxeon Solar Technologies, Ltd. (A)   4,870     16,217
MaxLinear, Inc. (A)   11,878     221,762
Microchip Technology, Inc.   47,603     4,270,465
Micron Technology, Inc.   97,272     11,467,396
MKS Instruments, Inc.   12,159     1,617,147
Monolithic Power Systems, Inc.   4,221     2,859,390
Navitas Semiconductor Corp. (A)   17,022     81,195
NVE Corp.   729     65,741
NVIDIA Corp.   217,636     196,647,184
NXP Semiconductors NV   22,708     5,626,361
ON Semiconductor Corp. (A)   37,645     2,768,790
Onto Innovation, Inc. (A)   17,082     3,093,209
PDF Solutions, Inc. (A)   4,812     162,020
Photronics, Inc. (A)   9,424     266,888
Power Integrations, Inc.   19,749     1,413,041
Qorvo, Inc. (A)   8,795     1,009,930
Qualcomm, Inc.   98,333     16,647,777
Rambus, Inc. (A)   37,650     2,327,147
Renesas Electronics Corp.   197,584     3,521,077
Rohm Company, Ltd.   44,337     711,112
SCREEN Holdings Company, Ltd.   10,932     1,417,387
Semtech Corp. (A)   9,992     274,680
Silicon Laboratories, Inc. (A)   11,089     1,593,711
SiTime Corp. (A)   2,696     251,348
SkyWater Technology, Inc. (A)   2,864     29,127
Skyworks Solutions, Inc.   14,401     1,559,916
SMART Global Holdings, Inc. (A)   7,824     205,928
STMicroelectronics NV   91,937     3,956,810
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
SUMCO Corp.   47,102   $ 744,718
Synaptics, Inc. (A)   13,702     1,336,767
Teradyne, Inc.   13,089     1,476,832
Texas Instruments, Inc.   80,140     13,961,189
Tokyo Electron, Ltd.   63,443     16,523,669
Transphorm, Inc. (A)   3,394     16,665
Ultra Clean Holdings, Inc. (A)   6,908     317,354
Universal Display Corp.   8,427     1,419,528
Veeco Instruments, Inc. (A)   7,889     277,456
Wolfspeed, Inc. (A)   24,333     717,824
          527,425,729
Software – 6.7%      
8x8, Inc. (A)   18,677     50,428
A10 Networks, Inc.   11,242     153,903
ACI Worldwide, Inc. (A)   16,735     555,769
Adeia, Inc.   16,745     182,855
Adobe, Inc. (A)   39,824     20,095,190
Agilysys, Inc. (A)   3,101     261,290
Alarm.com Holdings, Inc. (A)   7,379     534,756
Alkami Technology, Inc. (A)   6,246     153,464
Altair Engineering, Inc., Class A (A)   8,412     724,694
American Software, Inc., Class A   5,503     63,009
Amplitude, Inc., Class A (A)   10,623     115,578
ANSYS, Inc. (A)   7,610     2,641,888
Appfolio, Inc., Class A (A)   7,140     1,761,724
Appian Corp., Class A (A)   6,324     252,644
Asana, Inc., Class A (A)   12,423     192,432
Aspen Technology, Inc. (A)   5,408     1,153,418
Aurora Innovation, Inc. (A)   55,904     157,649
Autodesk, Inc. (A)   18,833     4,904,490
AvePoint, Inc. (A)   23,341     184,861
Bit Digital, Inc. (A)(B)   13,777     39,540
Blackbaud, Inc. (A)   14,861     1,101,795
Blackline, Inc. (A)   8,745     564,752
Box, Inc., Class A (A)   21,691     614,289
Braze, Inc., Class A (A)   8,095     358,609
c3.ai, Inc., Class A (A)(B)   12,630     341,894
Cadence Design Systems, Inc. (A)   23,973     7,462,315
Cerence, Inc. (A)   6,234     98,186
Check Point Software Technologies, Ltd. (A)   12,590     2,064,886
Cipher Mining, Inc. (A)(B)   6,708     34,546
CleanSpark, Inc. (A)   29,758     631,167
Clear Secure, Inc., Class A   12,580     267,577
CommVault Systems, Inc. (A)   15,186     1,540,316
Consensus Cloud Solutions, Inc. (A)   3,222     51,101
CS Disco, Inc. (A)   4,304     34,992
CyberArk Software, Ltd. (A)   5,618     1,492,309
Dassault Systemes SE   89,888     3,979,085
Digimarc Corp. (A)   2,196     59,687
Digital Turbine, Inc. (A)   15,613     40,906
Dolby Laboratories, Inc., Class A   11,507     963,941
Domo, Inc., Class B (A)   5,270     47,008
Dropbox, Inc., Class A (A)   49,551     1,204,089
Dynatrace, Inc. (A)   46,375     2,153,655
E2open Parent Holdings, Inc. (A)   27,237     120,932
Ebix, Inc. (A)   4,420     4,420
eGain Corp. (A)   4,177     26,942
Enfusion, Inc., Class A (A)   6,220     57,535
Envestnet, Inc. (A)   7,735     447,934
Everbridge, Inc. (A)   6,291     219,116
EverCommerce, Inc. (A)   4,179     39,366
Expensify, Inc., Class A (A)   9,685     17,820
Fair Isaac Corp. (A)   2,172     2,714,153
Fortinet, Inc. (A)   56,140     3,834,923
 
  253  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
Freshworks, Inc., Class A (A)   25,087   $ 456,834
Gen Digital, Inc.   50,943     1,141,123
Instructure Holdings, Inc. (A)   3,095     66,171
Intapp, Inc. (A)   5,592     191,806
InterDigital, Inc.   4,063     432,547
Intuit, Inc.   24,668     16,034,200
Jamf Holding Corp. (A)   11,047     202,712
Kaltura, Inc. (A)   16,172     21,832
LiveRamp Holdings, Inc. (A)   10,231     352,970
Manhattan Associates, Inc. (A)   11,908     2,979,739
Marathon Digital Holdings, Inc. (A)   34,550     780,139
Matterport, Inc. (A)   41,708     94,260
MeridianLink, Inc. (A)   4,017     75,118
Microsoft Corp.   654,718     275,452,910
MicroStrategy, Inc., Class A (A)(B)   2,293     3,908,556
Mitek Systems, Inc. (A)   6,646     93,709
Model N, Inc. (A)   6,121     174,265
Monday.com, Ltd. (A)   3,896     879,990
N-able, Inc. (A)   10,982     143,535
Nemetschek SE   7,768     768,900
NextNav, Inc. (A)(B)   8,474     55,759
Nice, Ltd. (A)   8,519     2,216,993
Olo, Inc., Class A (A)   17,219     94,532
ON24, Inc.   4,667     33,322
OneSpan, Inc. (A)   6,720     78,154
Oracle Corp.   140,482     17,645,944
Oracle Corp. Japan   5,177     389,316
PagerDuty, Inc. (A)   13,960     316,613
Palo Alto Networks, Inc. (A)   27,781     7,893,416
PowerSchool Holdings, Inc., Class A (A)   8,681     184,818
Progress Software Corp.   6,656     354,831
PROS Holdings, Inc. (A)   6,910     251,040
PTC, Inc. (A)   10,737     2,028,649
Q2 Holdings, Inc. (A)   8,714     458,008
Qualys, Inc. (A)   12,841     2,142,778
Rapid7, Inc. (A)   9,386     460,289
Red Violet, Inc. (A)   1,787     34,936
Rimini Street, Inc. (A)   9,265     30,204
Riot Platforms, Inc. (A)   30,530     373,687
Roper Technologies, Inc.   9,417     5,281,430
Salesforce, Inc.   85,290     25,687,642
SAP SE   140,467     27,351,572
Sapiens International Corp. NV   4,790     154,046
SEMrush Holdings, Inc., Class A (A)(B)   4,770     63,250
ServiceNow, Inc. (A)   18,062     13,770,469
SolarWinds Corp. (A)   7,971     100,594
SoundHound AI, Inc., Class A (A)(B)   21,841     128,643
SoundThinking, Inc. (A)   1,657     26,313
Sprinklr, Inc., Class A (A)   16,733     205,314
Sprout Social, Inc., Class A (A)   7,360     439,466
SPS Commerce, Inc. (A)   5,644     1,043,576
Synopsys, Inc. (A)   13,441     7,681,532
Temenos AG   8,595     614,803
Tenable Holdings, Inc. (A)   17,712     875,504
Teradata Corp. (A)   18,917     731,520
TeraWulf, Inc. (A)(B)   22,218     58,433
The Sage Group PLC   137,196     2,192,672
Trend Micro, Inc.   18,002     914,263
Tyler Technologies, Inc. (A)   3,802     1,615,888
Varonis Systems, Inc. (A)   16,786     791,796
Verint Systems, Inc. (A)   9,645     319,732
Veritone, Inc. (A)(B)   4,471     23,517
Weave Communications, Inc. (A)   4,941     56,723
WiseTech Global, Ltd.   22,423     1,371,455
Workiva, Inc. (A)   7,662     649,738
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
Xero, Ltd. (A)   19,376   $ 1,682,407
Xperi, Inc. (A)   7,175     86,531
Yext, Inc. (A)   17,345     104,590
Zeta Global Holdings Corp., Class A (A)   21,610     236,197
Zuora, Inc., Class A (A)   20,876     190,389
          500,514,438
Technology hardware, storage and peripherals – 3.5%      
Apple, Inc.   1,278,997     219,322,406
Brother Industries, Ltd.   31,207     578,772
Canon, Inc.   134,561     4,009,253
Corsair Gaming, Inc. (A)   6,013     74,200
Eastman Kodak Company (A)   9,797     48,495
FUJIFILM Holdings Corp.   150,591     3,381,460
Hewlett Packard Enterprise Company   115,910     2,055,084
HP, Inc.   76,094     2,299,561
Immersion Corp. (A)   4,428     33,121
Intevac, Inc. (A)   4,469     17,161
IonQ, Inc. (A)(B)   24,996     249,710
Logitech International SA   22,122     1,982,336
NetApp, Inc.   18,125     1,902,581
Pure Storage, Inc., Class A (A)   57,449     2,986,774
Ricoh Company, Ltd.   73,790     655,616
Seagate Technology Holdings PLC   17,577     1,635,540
Seiko Epson Corp.   38,844     679,479
Super Micro Computer, Inc. (A)   11,868     11,987,036
Turtle Beach Corp. (A)   2,832     48,824
Western Digital Corp. (A)   28,074     1,915,770
Xerox Holdings Corp.   18,104     324,062
          256,187,241
          1,472,320,142
Materials – 4.2%          
Chemicals – 2.0%      
AdvanSix, Inc.   4,283     122,494
Air Liquide SA   70,557     14,679,281
Air Products & Chemicals, Inc.   19,595     4,747,281
Akzo Nobel NV   22,949     1,714,691
Albemarle Corp.   10,603     1,396,839
American Vanguard Corp.   4,649     60,205
Arcadium Lithium PLC (A)   357,654     1,541,489
Arkema SA   8,076     850,238
Asahi Kasei Corp.   168,753     1,237,513
Ashland, Inc.   9,689     943,418
Aspen Aerogels, Inc. (A)   7,942     139,779
Avient Corp.   31,600     1,371,440
Axalta Coating Systems, Ltd. (A)   42,569     1,463,948
Balchem Corp.   4,960     768,552
BASF SE   120,059     6,860,639
Cabot Corp.   19,165     1,767,013
Celanese Corp.   9,048     1,554,989
CF Industries Holdings, Inc.   16,360     1,361,316
Clariant AG (A)   29,023     392,680
Corteva, Inc.   61,883     3,568,793
Covestro AG (A)(C)   25,424     1,390,692
Croda International PLC   17,845     1,104,167
Danimer Scientific, Inc. (A)   12,809     13,962
Dow, Inc.   61,926     3,587,373
DSM-Firmenich AG   25,017     2,845,235
DuPont de Nemours, Inc.   37,820     2,899,659
Eastman Chemical Company   9,892     991,376
Ecolab, Inc.   22,362     5,163,386
Ecovyst, Inc. (A)   14,719     164,117
EMS-Chemie Holding AG   944     723,499
Evonik Industries AG   31,341     619,930
FMC Corp.   11,272     718,026
 
  254  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Chemicals (continued)      
Givaudan SA   1,242   $ 5,529,058
Hawkins, Inc.   3,025     232,320
HB Fuller Company   8,301     661,922
ICL Group, Ltd.   104,079     551,600
Ingevity Corp. (A)   5,716     272,653
Innospec, Inc.   3,882     500,545
International Flavors & Fragrances, Inc.   22,141     1,903,905
Intrepid Potash, Inc. (A)   1,648     34,377
JSR Corp. (A)   23,827     681,993
Koppers Holdings, Inc.   3,175     175,165
Kronos Worldwide, Inc.   3,503     41,335
Linde PLC   42,757     19,852,930
LSB Industries, Inc. (A)   8,291     72,795
LyondellBasell Industries NV, Class A   22,401     2,291,174
Mativ Holdings, Inc.   8,997     168,694
Minerals Technologies, Inc.   4,975     374,518
Mitsubishi Chemical Group Corp.   172,219     1,049,549
Mitsui Chemicals, Inc.   22,964     673,671
NewMarket Corp.   1,336     847,852
Nippon Paint Holdings Company, Ltd.   127,551     918,008
Nippon Sanso Holdings Corp.   23,303     731,148
Nissan Chemical Corp.   16,925     641,052
Nitto Denko Corp.   19,310     1,765,744
Novozymes A/S, B Shares   50,189     2,952,192
OCI NV   14,191     388,958
Olin Corp.   23,250     1,367,100
Orica, Ltd.   61,441     730,801
Orion SA   8,608     202,460
Perimeter Solutions SA (A)   24,159     179,260
PPG Industries, Inc.   20,742     3,005,516
PureCycle Technologies, Inc. (A)(B)   19,183     119,318
Quaker Chemical Corp.   2,146     440,467
Rayonier Advanced Materials, Inc. (A)   11,180     53,440
RPM International, Inc.   24,927     2,965,067
Sensient Technologies Corp.   6,580     455,270
Shin-Etsu Chemical Company, Ltd.   242,337     10,629,364
Sika AG   20,508     6,102,159
Stepan Company   3,331     299,923
Syensqo SA (A)   9,970     944,713
Symrise AG   17,862     2,138,275
The Chemours Company   28,711     753,951
The Mosaic Company   29,530     958,544
The Scotts Miracle-Gro Company   8,114     605,223
The Sherwin-Williams Company   20,753     7,208,139
Toray Industries, Inc.   186,540     895,739
Trinseo PLC   5,975     22,586
Tronox Holdings PLC   18,265     316,898
Umicore SA   28,173     607,398
Westlake Corp.   6,196     946,749
Yara International ASA   22,273     706,256
          152,731,794
Construction materials – 0.4%      
CRH PLC   93,327     8,055,051
Eagle Materials, Inc.   6,663     1,810,670
Heidelberg Materials AG   17,532     1,929,946
Holcim, Ltd. (A)   70,112     6,351,918
James Hardie Industries PLC, CHESS Depositary Interest (A)   59,204     2,379,610
Knife River Corp. (A)   19,703     1,597,519
Martin Marietta Materials, Inc.   5,450     3,345,973
Summit Materials, Inc., Class A (A)   18,447     822,183
United States Lime & Minerals, Inc.   331     98,684
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Construction materials (continued)      
Vulcan Materials Company   11,713   $ 3,196,712
          29,588,266
Containers and packaging – 0.3%      
Amcor PLC   130,590     1,241,911
AptarGroup, Inc.   12,769     1,837,331
Avery Dennison Corp.   6,921     1,545,113
Ball Corp.   27,319     1,840,208
Berry Global Group, Inc.   22,418     1,355,841
Crown Holdings, Inc.   23,153     1,835,107
Graphic Packaging Holding Company   59,198     1,727,398
Greif, Inc., Class A   8,699     600,666
Greif, Inc., Class B   771     53,600
International Paper Company   31,263     1,219,882
Myers Industries, Inc.   5,682     131,652
O-I Glass, Inc. (A)   24,001     398,177
Packaging Corp. of America   7,684     1,458,270
Pactiv Evergreen, Inc.   6,223     89,113
Ranpak Holdings Corp. (A)   6,877     54,122
SIG Group AG (A)   41,137     912,183
Silgan Holdings, Inc.   15,655     760,207
Smurfit Kappa Group PLC   35,022     1,596,857
Sonoco Products Company   18,947     1,095,894
TriMas Corp.   6,871     183,662
Westrock Company   23,167     1,145,608
          21,082,802
Metals and mining – 1.4%      
1911 Gold Corp. (A)   3,149     308
Alcoa Corp.   34,521     1,166,465
Alpha Metallurgical Resources, Inc.   1,788     592,132
Anglo American PLC   170,932     4,212,246
Antofagasta PLC   53,047     1,362,565
ArcelorMittal SA   68,832     1,891,993
Arch Resources, Inc.   2,789     448,443
ATI, Inc. (A)   19,944     1,020,534
BHP Group, Ltd.   681,835     19,714,541
BlueScope Steel, Ltd.   59,983     932,922
Boliden AB   36,791     1,021,598
Caledonia Mining Corp. PLC (B)   3,176     35,158
Carpenter Technology Corp.   7,582     541,506
Century Aluminum Company (A)   8,082     124,382
Cleveland-Cliffs, Inc. (A)   96,381     2,191,704
Coeur Mining, Inc. (A)   51,300     193,401
Commercial Metals Company   40,590     2,385,474
Compass Minerals International, Inc.   5,201     81,864
Constellium SE (A)   19,918     440,387
Contango ORE, Inc. (A)(B)   1,276     25,329
Dakota Gold Corp. (A)   11,106     26,321
Endeavour Mining PLC   24,701     501,237
Fortescue, Ltd.   227,795     3,812,156
Freeport-McMoRan, Inc.   126,287     5,938,015
Glencore PLC   1,395,028     7,655,294
Haynes International, Inc.   1,972     118,557
Hecla Mining Company   94,101     452,626
i-80 Gold Corp. (A)(B)   33,755     45,232
Ivanhoe Electric, Inc. (A)   10,463     102,537
JFE Holdings, Inc.   77,411     1,282,980
Kaiser Aluminum Corp.   2,459     219,736
Materion Corp.   3,134     412,905
Metallus, Inc. (A)   6,743     150,032
Mineral Resources, Ltd.   23,631     1,090,293
MP Materials Corp. (A)(B)   27,860     398,398
Newmont Corp.   101,501     3,637,796
Nippon Steel Corp. (B)   115,051     2,768,642
Norsk Hydro ASA   178,474     980,783
Northern Star Resources, Ltd.   154,590     1,458,643
 
  255  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Metals and mining (continued)      
Novagold Resources, Inc. (A)   38,074   $ 114,222
Nucor Corp.   21,766     4,307,491
Olympic Steel, Inc.   1,478     104,761
Pan American Silver Corp., CVR (A)   54,671     24,493
Perpetua Resources Corp. (A)   6,884     28,637
Piedmont Lithium, Inc. (A)   2,906     38,708
Pilbara Minerals, Ltd.   384,578     959,694
Radius Recycling, Inc.   3,941     83,273
Ramaco Resources, Inc. (A)   3,729     62,796
Reliance, Inc.   11,116     3,714,745
Rio Tinto PLC   151,492     9,578,060
Rio Tinto, Ltd.   49,935     3,963,106
Royal Gold, Inc.   12,706     1,547,718
Ryerson Holding Corp.   4,425     148,238
South32, Ltd.   609,269     1,188,886
Steel Dynamics, Inc.   13,173     1,952,634
Sumitomo Metal Mining Company, Ltd.   33,254     992,975
SunCoke Energy, Inc.   13,546     152,663
Tredegar Corp.   4,147     27,038
U.S. Steel Corp.   43,274     1,764,714
voestalpine AG   15,612     437,965
Warrior Met Coal, Inc.   8,046     488,392
Worthington Steel, Inc. (A)   4,740     169,929
          101,286,273
Paper and forest products – 0.1%      
Clearwater Paper Corp. (A)   2,411     105,433
Holmen AB, B Shares   10,254     417,132
Louisiana-Pacific Corp.   12,414     1,041,659
Mondi PLC   59,376     1,045,807
Resolute Forest Products, Inc. (A)(D)   7,217     10,248
Stora Enso OYJ, R Shares   78,261     1,088,301
Svenska Cellulosa AB SCA, B Shares (B)   81,521     1,253,303
Sylvamo Corp.   5,649     348,769
UPM-Kymmene OYJ   71,798     2,392,069
          7,702,721
          312,391,856
Real estate – 2.7%          
Diversified REITs – 0.1%      
Alexander & Baldwin, Inc.   11,574     190,624
Alpine Income Property Trust, Inc.   1,643     25,105
American Assets Trust, Inc.   7,569     165,837
Armada Hoffler Properties, Inc.   10,414     108,306
Broadstone Net Lease, Inc.   28,952     453,678
Covivio SA   6,794     350,191
CTO Realty Growth, Inc.   3,189     54,054
Empire State Realty Trust, Inc., Class A   20,475     207,412
Essential Properties Realty Trust, Inc.   23,984     639,413
Gladstone Commercial Corp.   6,048     83,704
Global Net Lease, Inc.   29,594     229,945
KDX Realty Investment Corp.   557     592,031
Land Securities Group PLC   95,186     790,609
Mirvac Group   530,806     815,855
NexPoint Diversified Real Estate Trust   5,736     37,858
Nomura Real Estate Master Fund, Inc.   539     532,982
One Liberty Properties, Inc.   2,429     54,871
Stockland   321,119     1,014,695
The GPT Group   257,681     766,862
WP Carey, Inc.   42,296     2,387,186
          9,501,218
Health care REITs – 0.2%      
CareTrust REIT, Inc.   15,204     370,521
Community Healthcare Trust, Inc.   4,612     122,449
Diversified Healthcare Trust   37,341     91,859
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care REITs (continued)      
Global Medical REIT, Inc.   9,629   $ 84,254
Healthcare Realty Trust, Inc.   73,668     1,042,402
Healthpeak Properties, Inc.   65,621     1,230,394
LTC Properties, Inc.   6,206     201,757
National Health Investors, Inc.   6,459     405,819
Omega Healthcare Investors, Inc.   47,443     1,502,520
Sabra Health Care REIT, Inc.   80,384     1,187,272
Universal Health Realty Income Trust   2,174     79,808
Ventas, Inc.   34,596     1,506,310
Welltower, Inc.   48,758     4,555,948
          12,381,313
Hotel and resort REITs – 0.1%      
Apple Hospitality REIT, Inc.   33,052     541,392
Braemar Hotels & Resorts, Inc.   12,248     24,496
Chatham Lodging Trust   7,790     78,757
DiamondRock Hospitality Company   32,878     315,958
Host Hotels & Resorts, Inc.   63,738     1,318,102
Park Hotels & Resorts, Inc.   40,615     710,356
Pebblebrook Hotel Trust   18,344     282,681
RLJ Lodging Trust   23,798     281,292
Ryman Hospitality Properties, Inc.   8,981     1,038,293
Service Properties Trust   25,733     174,470
Summit Hotel Properties, Inc.   16,365     106,536
Sunstone Hotel Investors, Inc.   32,503     362,083
Xenia Hotels & Resorts, Inc.   16,993     255,065
          5,489,481
Industrial REITs – 0.4%      
CapitaLand Ascendas REIT   502,360     1,030,479
EastGroup Properties, Inc.   9,226     1,658,558
First Industrial Realty Trust, Inc.   25,586     1,344,288
GLP J-REIT   629     527,101
Goodman Group   229,928     5,064,690
Innovative Industrial Properties, Inc.   4,301     445,326
LXP Industrial Trust   44,466     401,083
Mapletree Logistics Trust   469,090     507,180
Nippon Prologis REIT, Inc.   306     545,107
Plymouth Industrial REIT, Inc.   7,109     159,953
Prologis, Inc.   81,412     10,601,471
Rexford Industrial Realty, Inc.   40,763     2,050,379
Segro PLC   156,879     1,788,660
STAG Industrial, Inc.   35,120     1,350,013
Terreno Realty Corp.   12,751     846,666
Warehouses De Pauw CVA   23,614     673,348
          28,994,302
Office REITs – 0.1%      
Alexandria Real Estate Equities, Inc.   14,131     1,821,627
Boston Properties, Inc.   13,045     851,969
Brandywine Realty Trust   25,322     121,546
City Office REIT, Inc.   7,313     38,101
COPT Defense Properties   39,039     943,573
Cousins Properties, Inc.   29,356     705,718
Dexus   144,687     745,513
Douglas Emmett, Inc.   24,770     343,560
Easterly Government Properties, Inc.   14,556     167,540
Equity Commonwealth (A)   16,134     304,610
Gecina SA   6,188     632,068
Hudson Pacific Properties, Inc.   21,568     139,114
Japan Real Estate Investment Corp.   172     613,154
JBG SMITH Properties   15,771     253,125
Kilroy Realty Corp.   20,652     752,352
Nippon Building Fund, Inc.   206     824,023
Office Properties Income Trust   8,257     16,844
Orion Office REIT, Inc.   7,969     27,971
Paramount Group, Inc.   28,598     134,125
 
  256  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Office REITs (continued)      
Peakstone Realty Trust   5,579   $ 89,989
Piedmont Office Realty Trust, Inc., Class A   18,165     127,700
Postal Realty Trust, Inc., Class A   2,850     40,812
SL Green Realty Corp.   10,031     553,009
Vornado Realty Trust   30,922     889,626
          11,137,669
Real estate management and development – 0.5%      
Anywhere Real Estate, Inc. (A)   16,747     103,496
Azrieli Group, Ltd.   5,709     411,938
CapitaLand Investment, Ltd.   349,953     694,430
CBRE Group, Inc., Class A (A)   26,160     2,543,798
City Developments, Ltd.   67,276     291,429
CK Asset Holdings, Ltd.   262,569     1,081,961
Compass, Inc., Class A (A)   45,100     162,360
CoStar Group, Inc. (A)   35,998     3,477,407
Cushman & Wakefield PLC (A)   25,804     269,910
Daito Trust Construction Company, Ltd.   7,880     898,971
Daiwa House Industry Company, Ltd.   79,827     2,376,082
DigitalBridge Group, Inc.   25,083     483,349
Douglas Elliman, Inc. (A)   13,400     21,172
ESR Group, Ltd. (C)   229,636     246,028
eXp World Holdings, Inc.   10,965     113,268
Fastighets AB Balder, B Shares (A)   87,702     644,210
Forestar Group, Inc. (A)   2,785     111,929
FRP Holdings, Inc. (A)   1,219     74,847
Hang Lung Properties, Ltd.   242,092     248,955
Henderson Land Development Company, Ltd.   195,374     557,921
Hongkong Land Holdings, Ltd.   148,420     455,722
Hulic Company, Ltd.   51,645     530,412
Jones Lang LaSalle, Inc. (A)   9,202     1,795,218
Kennedy-Wilson Holdings, Inc.   18,763     160,987
LEG Immobilien SE (A)   9,969     856,246
Marcus & Millichap, Inc.   3,732     127,522
Maui Land & Pineapple Company, Inc. (A)   1,399     30,302
Mitsubishi Estate Company, Ltd.   151,419     2,762,788
Mitsui Fudosan Company, Ltd.   359,175     3,872,432
Newmark Group, Inc., Class A   21,328     236,528
Nomura Real Estate Holdings, Inc.   14,786     417,724
Opendoor Technologies, Inc. (A)   86,339     261,607
RE/MAX Holdings, Inc., Class A   2,918     25,591
Redfin Corp. (A)   17,338     115,298
Sagax AB, Class B   27,436     723,770
Sino Land Company, Ltd.   516,489     536,953
Star Holdings (A)   2,608     33,695
Sumitomo Realty & Development Company, Ltd.   38,425     1,431,697
Sun Hung Kai Properties, Ltd.   194,903     1,882,701
Swire Pacific, Ltd., Class A   57,630     474,431
Swire Properties, Ltd.   157,399     331,077
Swiss Prime Site AG   10,321     973,550
Tejon Ranch Company (A)   3,628     55,907
The RMR Group, Inc., Class A   2,442     58,608
The St. Joe Company   5,357     310,545
The Wharf Holdings, Ltd.   143,887     473,014
Vonovia SE   98,626     2,914,573
Wharf Real Estate Investment Company, Ltd.   224,635     731,390
          37,393,749
Residential REITs – 0.2%      
American Homes 4 Rent, Class A   61,519     2,262,669
Apartment Income REIT Corp.   27,947     907,439
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Residential REITs (continued)      
Apartment Investment and Management Company, Class A (A)   24,110   $ 197,461
AvalonBay Communities, Inc.   12,421     2,304,841
BRT Apartments Corp.   2,376     39,917
Camden Property Trust   9,647     949,265
Centerspace   2,326     132,908
Elme Communities   13,480     187,642
Equity LifeStyle Properties, Inc.   36,059     2,322,200
Equity Residential   30,015     1,894,247
Essex Property Trust, Inc.   5,799     1,419,653
Independence Realty Trust, Inc.   78,046     1,258,882
Invitation Homes, Inc.   49,806     1,773,592
Mid-America Apartment Communities, Inc.   10,543     1,387,248
NexPoint Residential Trust, Inc.   3,531     113,663
UDR, Inc.   27,342     1,022,864
UMH Properties, Inc.   9,929     161,247
Veris Residential, Inc.   12,286     186,870
          18,522,608
Retail REITs – 0.4%      
Acadia Realty Trust   14,455     245,880
Agree Realty Corp.   19,405     1,108,414
Alexander's, Inc.   334     72,525
Brixmor Property Group, Inc.   58,139     1,363,360
CapitaLand Integrated Commercial Trust   716,489     1,050,559
CBL & Associates Properties, Inc.   3,831     87,768
Federal Realty Investment Trust   6,637     677,770
Getty Realty Corp.   7,319     200,175
InvenTrust Properties Corp.   10,701     275,123
Japan Metropolitan Fund Investment Corp.   940     585,706
Kimco Realty Corp.   60,085     1,178,267
Kite Realty Group Trust   76,007     1,647,832
Klepierre SA   28,941     749,153
Link REIT   346,765     1,493,313
Mapletree Pan Asia Commercial Trust   317,797     301,214
NETSTREIT Corp.   10,603     194,777
NNN REIT, Inc.   35,293     1,508,423
Phillips Edison & Company, Inc.   18,185     652,296
Realty Income Corp.   73,110     3,955,251
Regency Centers Corp.   14,843     898,892
Retail Opportunity Investments Corp.   19,048     244,195
Saul Centers, Inc.   2,060     79,289
Scentre Group   698,213     1,542,020
Simon Property Group, Inc.   28,673     4,487,038
SITE Centers Corp.   29,183     427,531
Tanger, Inc.   15,651     462,174
The Macerich Company   33,421     575,844
Unibail-Rodamco-Westfield (A)   15,898     1,278,935
Urban Edge Properties   17,446     301,292
Vicinity, Ltd.   520,526     722,508
Whitestone REIT   7,484     93,924
          28,461,448
Specialized REITs – 0.7%      
American Tower Corp.   41,055     8,112,057
Crown Castle, Inc.   38,146     4,036,991
CubeSmart   43,493     1,966,753
Digital Realty Trust, Inc.   26,669     3,841,403
EPR Properties   14,570     618,497
Equinix, Inc.   8,268     6,823,828
Extra Space Storage, Inc.   18,572     2,730,084
Farmland Partners, Inc.   7,003     77,733
Four Corners Property Trust, Inc.   14,098     344,978
Gaming and Leisure Properties, Inc.   51,648     2,379,423
Gladstone Land Corp.   5,123     68,341
 
  257  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialized REITs (continued)      
Iron Mountain, Inc.   25,429   $ 2,039,660
Lamar Advertising Company, Class A   16,940     2,022,805
National Storage Affiliates Trust   14,941     585,090
Outfront Media, Inc.   22,759     382,124
PotlatchDeltic Corp.   27,586     1,297,094
Public Storage   13,930     4,040,536
Rayonier, Inc.   26,387     877,104
Safehold, Inc.   7,792     160,515
SBA Communications Corp.   9,401     2,037,197
Uniti Group, Inc.   37,081     218,778
VICI Properties, Inc.   90,792     2,704,694
Weyerhaeuser Company   63,748     2,289,191
          49,654,876
          201,536,664
Utilities – 2.5%          
Electric utilities – 1.4%      
Acciona SA   3,320     404,046
ALLETE, Inc.   20,083     1,197,750
Alliant Energy Corp.   23,056     1,162,022
American Electric Power Company, Inc.   46,364     3,991,940
BKW AG   2,841     436,563
Chubu Electric Power Company, Inc.   86,670     1,133,309
CK Infrastructure Holdings, Ltd.   84,739     496,305
CLP Holdings, Ltd.   220,904     1,761,984
Constellation Energy Corp.   28,149     5,203,343
Duke Energy Corp.   68,003     6,576,570
Edison International   33,535     2,371,931
EDP - Energias de Portugal SA   422,107     1,646,906
Elia Group SA/NV   3,956     427,030
Endesa SA   42,726     792,202
Enel SpA   1,094,073     7,222,518
Entergy Corp.   18,366     1,940,919
Evergy, Inc.   20,756     1,107,955
Eversource Energy   30,271     1,809,298
Exelon Corp.   87,721     3,295,678
FirstEnergy Corp.   44,655     1,724,576
Fortum OYJ   60,350     745,091
Genie Energy, Ltd., B Shares   3,123     47,095
Iberdrola SA   825,514     10,253,176
IDACORP, Inc.   9,790     909,393
Mercury NZ, Ltd.   93,567     386,972
MGE Energy, Inc.   5,792     455,946
NextEra Energy, Inc.   180,800     11,554,928
NRG Energy, Inc.   20,398     1,380,741
OGE Energy Corp.   38,740     1,328,782
Origin Energy, Ltd.   231,747     1,390,185
Orsted A/S (A)(C)   25,447     1,421,948
Otter Tail Corp.   6,406     553,478
PG&E Corp.   188,043     3,151,601
Pinnacle West Capital Corp.   10,246     765,684
PNM Resources, Inc.   29,927     1,126,452
Portland General Electric Company   35,243     1,480,206
Power Assets Holdings, Ltd.   186,346     1,091,727
PPL Corp.   66,600     1,833,498
Redeia Corp. SA   54,589     932,437
SSE PLC   147,016     3,064,987
Terna - Rete Elettrica Nazionale   189,261     1,564,376
The Kansai Electric Power Company, Inc.   94,706     1,351,341
The Southern Company   96,230     6,903,540
Tokyo Electric Power Company Holdings, Inc. (A)   205,364     1,248,229
Verbund AG   9,160     669,230
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electric utilities (continued)      
Xcel Energy, Inc.   48,375   $ 2,600,156
          102,914,044
Gas utilities – 0.2%      
APA Group   172,564     945,822
Atmos Energy Corp.   13,417     1,594,879
Brookfield Infrastructure Corp., Class A   18,535     668,001
Chesapeake Utilities Corp.   3,288     352,802
Enagas SA (B)   33,481     497,388
Hong Kong & China Gas Company, Ltd.   1,506,042     1,141,529
National Fuel Gas Company   17,820     957,290
New Jersey Resources Corp.   33,954     1,456,966
Northwest Natural Holding Company   5,589     208,023
ONE Gas, Inc.   19,228     1,240,783
Osaka Gas Company, Ltd.   50,447     1,134,855
RGC Resources, Inc.   1,236     25,017
Snam SpA   271,252     1,280,771
Southwest Gas Holdings, Inc.   21,141     1,609,464
Spire, Inc.   18,529     1,137,125
Tokyo Gas Company, Ltd.   49,723     1,130,343
UGI Corp.   40,531     994,631
          16,375,689
Independent power and renewable electricity producers –
0.2%
     
Altus Power, Inc. (A)   9,950     47,561
EDP Renovaveis SA   41,326     559,644
Meridian Energy, Ltd.   173,977     614,393
Montauk Renewables, Inc. (A)   10,745     44,699
Ormat Technologies, Inc.   18,594     1,230,737
RWE AG   85,052     2,890,678
Sunnova Energy International, Inc. (A)   16,533     101,347
The AES Corp.   60,502     1,084,801
Vistra Corp.   65,009     4,527,877
          11,101,737
Multi-utilities – 0.6%      
Ameren Corp.   22,703     1,679,114
Avista Corp.   11,791     412,921
Black Hills Corp.   23,379     1,276,493
CenterPoint Energy, Inc.   54,306     1,547,178
Centrica PLC   726,061     1,170,452
CMS Energy Corp.   26,361     1,590,623
Consolidated Edison, Inc.   30,339     2,755,085
Dominion Energy, Inc.   73,741     3,627,320
DTE Energy Company   17,940     2,011,792
E.ON SE   302,011     4,204,571
Engie SA   245,689     4,117,095
National Grid PLC   500,366     6,741,930
NiSource, Inc.   37,338     1,032,769
Northwestern Energy Group, Inc.   21,287     1,084,147
Public Service Enterprise Group, Inc.   43,830     2,926,967
Sembcorp Industries, Ltd.   120,222     480,604
Sempra   55,613     3,994,682
Unitil Corp.   2,601     136,162
Veolia Environnement SA   92,698     3,015,634
WEC Energy Group, Inc.   27,555     2,262,817
          46,068,356
Water utilities – 0.1%      
American States Water Company   5,681     410,395
American Water Works Company, Inc.   16,958     2,072,437
Artesian Resources Corp., Class A   1,552     57,595
Cadiz, Inc. (A)   7,937     23,017
California Water Service Group   8,965     416,693
Consolidated Water Company, Ltd.   2,341     68,615
Essential Utilities, Inc.   48,633     1,801,853
Global Water Resources, Inc.   1,763     22,637
 
  258  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Water utilities (continued)      
Middlesex Water Company   2,710   $ 142,275
Pure Cycle Corp. (A)   4,085     38,808
Severn Trent PLC   36,209     1,129,839
SJW Group   4,884     276,386
The York Water Company   2,212     80,229
United Utilities Group PLC   91,724     1,191,828
          7,732,607
          184,192,433
TOTAL COMMON STOCKS (Cost $3,432,657,200)   $ 7,086,767,362
PREFERRED SECURITIES – 0.1%          
Consumer discretionary – 0.1%          
Automobiles – 0.1%      
Bayerische Motoren Werke AG   7,926     850,479
Dr. Ing. h.c. F. Porsche AG (C)   15,318     1,523,495
Porsche Automobil Holding SE   20,600     1,091,262
Volkswagen AG   27,738     3,678,724
          7,143,960
Consumer staples – 0.0%          
Household products – 0.0%      
Henkel AG & Company KGaA   22,768     1,830,001
Health care – 0.0%          
Life sciences tools and services – 0.0%      
Sartorius AG   3,525     1,399,813
TOTAL PREFERRED SECURITIES (Cost $9,959,041)   $ 10,373,774
RIGHTS – 0.0%          
Empire Petroleum Corp. (Expiration Date: 4-10-24; Strike Price: $5.00) (A)   2,136     0
TOTAL RIGHTS (Cost $0)   $ 0
WARRANTS – 0.0%          
Cassava Sciences, Inc. (Expiration Date: 11-15-24; Strike Price: $33.00) (A)   2,617     10,547
Chord Energy Corp. (Expiration Date: 9-1-24; Strike Price: $116.37) (A)   917     32,590
Strategic Equity Allocation Trust (continued)
    Shares or
Principal
Amount
  Value
WARRANTS (continued)          
Chord Energy Corp. (Expiration Date: 9-1-25; Strike Price: $133.70) (A)   458   $ 11,780
Nabors Industries, Ltd. (Expiration Date: 6-11-26; Strike Price: $166.67) (A)   480     3,936
TOTAL WARRANTS (Cost $15,655)   $ 58,853
SHORT-TERM INVESTMENTS – 4.8%      
Short-term funds – 4.8%          
John Hancock Collateral Trust, 5.2975% (E)(F)   35,547,032     355,377,901
TOTAL SHORT-TERM INVESTMENTS (Cost $355,476,767)   $ 355,377,901
Total Investments (Strategic Equity Allocation Trust)
(Cost $3,798,108,663) – 100.4%
  $ 7,452,577,890
Other assets and liabilities, net – (0.4%)     (27,738,249)
TOTAL NET ASSETS – 100.0%   $ 7,424,839,641
Security Abbreviations and Legend
ADR American Depositary Receipt
CVR Contingent Value Right
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $71,977,314.
(C) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(D) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(E) The rate shown is the annualized seven-day yield as of 3-31-24.
(F) Investment is an affiliate of the fund, the advisor and/or subadvisor. A portion of this security represents the investment of cash collateral received for securities lending. Market value of this investment amounted to $74,181,233.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
MSCI EAFE Index Futures 988 Long Jun 2024 $116,634,317 $116,440,740 $(193,577)
Russell 2000 E-Mini Index Futures 172 Long Jun 2024 18,139,586 18,454,740 315,154
S&P 500 E-Mini Index Futures 652 Long Jun 2024 169,594,710 173,057,100 3,462,390
S&P Mid 400 E-Mini Index Futures 50 Long Jun 2024 14,879,700 15,387,000 507,300
            $4,091,267
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
  259  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
14.5%
     
U.S. Government – 9.7%          
U.S. Treasury Bonds          
2.000%, 02/15/2050 $ 4,548,000   $ 2,848,540
2.375%, 02/15/2042   2,250,000     1,673,525
2.750%, 11/15/2042   995,000     778,782
3.000%, 02/15/2049 to 08/15/2052   8,210,000     6,394,453
3.625%, 02/15/2053   3,295,000     2,893,422
U.S. Treasury Notes          
1.500%, 01/31/2027   3,402,000     3,137,282
1.875%, 02/15/2032   1,509,000     1,274,516
2.625%, 05/31/2027   1,015,000     961,831
2.750%, 08/15/2032   4,865,000     4,363,487
2.875%, 05/15/2032   8,795,000     7,985,242
3.500%, 02/15/2033   6,495,000     6,151,222
          38,462,302
U.S. Government Agency – 4.8%          
Federal Home Loan Mortgage Corp.          
4.500%, 08/01/2052   823,927     785,515
5.000%, 08/01/2052 to 11/01/2052   2,667,194     2,631,161
5.500%, 11/01/2052 to 12/01/2053   8,900,428     8,937,680
Federal National Mortgage Association          
4.500%, 09/01/2052   1,948,632     1,873,618
5.000%, 11/01/2052   736,321     725,934
5.500%, 10/01/2052 to 02/01/2054   3,987,143     3,994,524
          18,948,432
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $61,289,923)   $ 57,410,734
FOREIGN GOVERNMENT OBLIGATIONS – 23.5%      
Australia – 1.8%          
Commonwealth of Australia
1.000%, 12/21/2030
AUD 905,000     493,111
New South Wales Treasury Corp.          
1.250%, 03/20/2025   1,370,000     868,310
1.500%, 02/20/2032   2,750,000     1,446,482
2.000%, 03/08/2033   765,000     406,193
Queensland Treasury Corp.
5.250%, 07/21/2036 (A)
  2,145,000     1,456,727
South Australian Government Financing Authority
4.750%, 05/24/2038
  870,000     551,581
Treasury Corp. of Victoria          
2.250%, 11/20/2034   795,000     408,725
4.250%, 12/20/2032   1,385,000     884,142
4.750%, 09/15/2036   1,255,000     802,710
          7,317,981
Austria – 0.4%          
Republic of Austria
2.900%, 02/20/2033 (A)
EUR 1,330,000     1,451,156
Brazil – 1.1%          
Federative Republic of Brazil
10.000%, 01/01/2025 to 01/01/2027
BRL 22,125,000     4,511,049
Canada – 2.5%          
CDP Financial, Inc.
4.200%, 12/02/2030
CAD 855,000     637,146
CPPIB Capital, Inc.
2.250%, 12/01/2031 (A)
  635,000     414,467
Government of Canada          
1.250%, 03/01/2025   2,310,000     1,655,106
1.500%, 09/01/2024   885,000     644,409
OMERS Finance Trust
4.750%, 03/26/2031 (A)
$ 465,000     465,110
Ontario Teachers' Finance Trust
2.000%, 04/16/2031 (A)
  1,340,000     1,127,347
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Canada (continued)          
Province of Alberta
0.625%, 04/18/2025
EUR 670,000   $ 701,611
Province of British Columbia
4.200%, 07/06/2033
$ 750,000     727,339
Province of Ontario          
1.350%, 12/02/2030 CAD 2,750,000     1,725,564
3.450%, 06/02/2045   1,060,000     684,385
Province of Quebec          
0.200%, 04/07/2025 EUR 465,000     484,933
4.500%, 09/08/2033 $ 824,000     815,425
          10,082,842
China – 0.2%          
People's Republic of China
2.690%, 08/12/2026
CNY 4,220,000     592,040
Colombia – 0.2%          
Republic of Colombia          
3.250%, 04/22/2032 $ 290,000     225,598
4.500%, 03/15/2029   445,000     409,156
5.625%, 02/26/2044   235,000     185,917
          820,671
Finland – 0.6%          
Kuntarahoitus OYJ
5.960%, (3 month NIBOR + 1.250%), 01/10/2025 (B)
NOK 7,000,000     650,727
Republic of Finland
3.000%, 09/15/2033 (A)
EUR 1,380,000     1,512,872
          2,163,599
Germany – 0.4%          
Federal Republic of Germany
3.250%, 07/04/2042
  435,000     521,012
Federal Republic of Germany, Zero Coupon
0.000%, 02/15/2031 to 05/15/2035
  1,325,000     1,170,350
          1,691,362
India – 1.3%          
Export-Import Bank of India
3.875%, 02/01/2028 (A)
$ 630,000     600,265
Republic of India          
5.220%, 06/15/2025 INR 80,250,000     941,657
6.100%, 07/12/2031   33,840,000     382,510
6.450%, 10/07/2029   33,000,000     384,646
7.060%, 04/10/2028   45,750,000     547,123
7.100%, 04/18/2029   46,920,000     562,796
7.260%, 02/06/2033   60,230,000     730,124
7.270%, 04/08/2026   15,300,000     183,752
7.380%, 06/20/2027   62,940,000     759,645
          5,092,518
Indonesia – 3.3%          
Perusahaan Penerbit SBSN Indonesia III
4.150%, 03/29/2027 (A)
$ 940,000     917,309
Republic of Indonesia          
1.100%, 03/12/2033 EUR 261,000     222,589
2.150%, 07/18/2024 (A)   740,000     792,141
3.050%, 03/12/2051 $ 935,000     660,175
3.850%, 10/15/2030   405,000     377,691
5.125%, 04/15/2027 IDR 6,216,000,000     377,678
6.375%, 08/15/2028 to 04/15/2032   50,691,000,000     3,156,727
6.500%, 06/15/2025 to 02/15/2031   41,856,000,000     2,617,289
6.625%, 05/15/2033   10,391,000,000     653,515
7.500%, 06/15/2035 to 05/15/2038   10,834,000,000     721,784
8.125%, 05/15/2024   3,514,000,000     221,962
8.375%, 09/15/2026   12,897,000,000     847,868
8.750%, 05/15/2031   17,423,000,000     1,225,524
 
  260  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Indonesia (continued)          
Republic of Indonesia (continued)          
9.000%, 03/15/2029 IDR 6,709,000,000   $ 466,026
          13,258,278
Ireland – 0.1%          
Republic of Ireland
1.100%, 05/15/2029
EUR 315,000     315,959
Italy – 0.2%          
Republic of Italy
1.250%, 02/17/2026
$ 1,032,000     957,190
Malaysia – 1.2%          
Government of Malaysia          
3.733%, 06/15/2028 MYR 3,780,000     803,050
3.828%, 07/05/2034   1,965,000     413,705
3.844%, 04/15/2033   6,033,000     1,274,092
3.882%, 03/14/2025   2,055,000     436,447
3.899%, 11/16/2027   3,370,000     721,120
3.900%, 11/30/2026   1,805,000     386,271
4.498%, 04/15/2030   3,215,000     706,502
          4,741,187
Mexico – 1.8%          
Government of Mexico          
5.000%, 03/06/2025 MXN 39,431,000     2,254,264
7.500%, 05/26/2033   46,370,000     2,482,550
7.750%, 05/29/2031   45,200,000     2,498,215
          7,235,029
Netherlands – 0.3%          
BNG Bank NV
3.300%, 07/17/2028
AUD 1,775,000     1,110,226
New Zealand – 2.0%          
Government of New Zealand          
0.500%, 05/15/2026 NZD 1,360,000     745,963
2.750%, 04/15/2025   3,760,000     2,191,906
3.500%, 04/14/2033   4,015,000     2,213,340
4.250%, 05/15/2034   1,490,000     864,842
New Zealand Local Government
Funding Agency
         
2.250%, 05/15/2031   220,000     109,644
3.000%, 05/15/2035   1,135,000     548,394
3.500%, 04/14/2033   1,316,000     693,410
4.700%, 08/01/2028 AUD 850,000     560,647
          7,928,146
Norway – 1.2%          
Kingdom of Norway          
1.250%, 09/17/2031 (A) NOK 11,450,000     897,575
1.750%, 03/13/2025 to 02/17/2027 (A)   15,790,000     1,417,849
2.125%, 05/18/2032 (A)   15,585,000     1,290,412
Kommunalbanken AS          
4.250%, 07/16/2025 AUD 1,070,000     695,843
5.250%, 07/15/2024   764,000     498,717
          4,800,396
Philippines – 1.7%          
Republic of the Philippines          
0.875%, 05/17/2027 EUR 1,465,000     1,446,171
2.625%, 08/12/2025 PHP 88,455,000     1,502,459
3.625%, 09/09/2025   32,845,000     564,322
6.125%, 08/22/2028   61,520,000     1,091,915
6.250%, 01/14/2036   43,000,000     722,134
6.750%, 09/15/2032   49,410,000     907,454
8.000%, 09/30/2035   17,600,000     356,917
          6,591,372
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
FOREIGN GOVERNMENT OBLIGATIONS (continued)      
Qatar – 0.2%          
State of Qatar
4.817%, 03/14/2049 (A)
$ 710,000   $ 664,500
Singapore – 0.3%          
Republic of Singapore          
1.250%, 11/01/2026 SGD 200,000     140,726
3.375%, 09/01/2033   1,250,000     945,630
          1,086,356
South Korea – 2.0%          
Republic of Korea          
1.375%, 12/10/2029 KRW 2,029,580,000     1,354,463
2.125%, 06/10/2027   1,303,700,000     933,637
2.375%, 03/10/2027   4,490,430,000     3,247,987
3.125%, 09/10/2027   874,000,000     645,128
3.250%, 06/10/2033   1,308,000,000     967,397
4.250%, 12/10/2032   893,100,000     706,496
          7,855,108
United Arab Emirates – 0.1%          
Government of Abu Dhabi
3.875%, 04/16/2050 (A)
$ 720,000     574,625
United Kingdom – 0.6%          
Government of United Kingdom          
0.250%, 01/31/2025 GBP 855,000     1,040,618
0.500%, 01/31/2029   300,000     323,347
3.250%, 01/31/2033   805,000     969,048
          2,333,013
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $97,812,313)   $ 93,174,603
CORPORATE BONDS – 43.8%      
Communication services – 3.9%          
Cellnex Telecom SA
1.875%, 06/26/2029
EUR 500,000     494,339
Charter Communications Operating LLC          
2.800%, 04/01/2031 $ 230,000     188,456
5.125%, 07/01/2049   1,645,000     1,274,633
5.750%, 04/01/2048   790,000     665,263
LCPR Senior Secured Financing DAC
5.125%, 07/15/2029 (A)
  785,000     657,417
Match Group Holdings II LLC
4.125%, 08/01/2030 (A)
  705,000     627,269
News Corp.
3.875%, 05/15/2029 (A)
  1,890,000     1,728,315
Sirius XM Radio, Inc.
4.125%, 07/01/2030 (A)
  1,660,000     1,451,119
T-Mobile USA, Inc.          
2.625%, 02/15/2029   690,000     617,485
2.875%, 02/15/2031   400,000     347,379
3.375%, 04/15/2029   470,000     434,670
3.500%, 04/15/2031   950,000     857,923
Virgin Media Finance PLC
5.000%, 07/15/2030 (A)
  720,000     609,234
Virgin Media Secured Finance PLC          
4.500%, 08/15/2030 (A)   670,000     577,774
5.500%, 05/15/2029 (A)   1,161,000     1,073,423
Vmed O2 UK Financing I PLC          
3.250%, 01/31/2031 (A) EUR 920,000     874,697
4.250%, 01/31/2031 (A) $ 1,685,000     1,426,819
WMG Acquisition Corp.
3.000%, 02/15/2031 (A)
  1,910,000     1,623,716
          15,529,931
Consumer discretionary – 5.7%          
Carnival Corp.
5.750%, 03/01/2027 (A)
  1,165,000     1,153,042
 
  261  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
Duke University
3.299%, 10/01/2046
$ 781,000   $ 608,907
Ford Motor Company
3.250%, 02/12/2032
  2,130,000     1,771,746
Ford Motor Credit Company LLC          
2.748%, 06/14/2024 GBP 316,000     396,171
2.900%, 02/16/2028 $ 360,000     325,460
3.625%, 06/17/2031   1,326,000     1,146,537
4.000%, 11/13/2030   255,000     227,677
4.125%, 08/17/2027   205,000     194,529
4.950%, 05/28/2027   758,000     739,589
Hilton Domestic Operating
Company, Inc.
         
3.625%, 02/15/2032 (A)   485,000     417,586
4.875%, 01/15/2030   1,105,000     1,059,475
Hyatt Hotels Corp.
5.750%, 04/23/2030
  1,104,000     1,132,037
Massachusetts Institute of Technology
2.989%, 07/01/2050
  465,000     340,969
MGM Resorts International
4.750%, 10/15/2028
  105,000     99,861
New Red Finance, Inc.          
3.500%, 02/15/2029 (A)   1,918,000     1,751,608
3.875%, 01/15/2028 (A)   970,000     911,620
4.000%, 10/15/2030 (A)   2,424,000     2,159,788
Premier Entertainment Sub LLC          
5.625%, 09/01/2029 (A)   210,000     160,320
5.875%, 09/01/2031 (A)   503,000     367,724
President and Fellows of Harvard College
2.517%, 10/15/2050
  1,020,000     672,007
Royal Caribbean Cruises, Ltd.
5.500%, 04/01/2028 (A)
  1,235,000     1,220,679
Travel + Leisure Company          
4.500%, 12/01/2029 (A)   895,000     822,982
6.625%, 07/31/2026 (A)   372,000     374,603
Yum! Brands, Inc.          
3.625%, 03/15/2031   2,320,000     2,053,030
4.625%, 01/31/2032   875,000     807,466
4.750%, 01/15/2030 (A)   1,773,000     1,681,627
          22,597,040
Consumer staples – 2.9%          
Becle SAB de CV
2.500%, 10/14/2031 (A)
  795,000     632,828
Bimbo Bakeries USA, Inc.
5.375%, 01/09/2036 (A)
  1,375,000     1,364,169
Darling Ingredients, Inc.
6.000%, 06/15/2030 (A)
  1,485,000     1,471,640
JBS USA LUX SA          
3.625%, 01/15/2032   1,070,000     915,530
5.750%, 04/01/2033   735,000     724,101
Kraft Heinz Foods Company          
4.375%, 06/01/2046   1,445,000     1,220,367
6.875%, 01/26/2039   735,000     830,101
7.125%, 08/01/2039 (A)   975,000     1,118,810
MARB BondCo PLC
3.950%, 01/29/2031 (A)
  1,205,000     993,716
NBM US Holdings, Inc.
7.000%, 05/14/2026 (A)
  205,000     205,819
Post Holdings, Inc.          
4.500%, 09/15/2031 (A)   515,000     463,238
5.500%, 12/15/2029 (A)   285,000     275,410
5.625%, 01/15/2028 (A)   1,445,000     1,419,591
          11,635,320
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy – 7.4%          
Aker BP ASA
3.750%, 01/15/2030 (A)
$ 955,000   $ 872,681
Cenovus Energy, Inc.          
3.500%, 02/07/2028 CAD 510,000     361,064
5.250%, 06/15/2037 $ 73,000     69,831
5.400%, 06/15/2047   462,000     435,140
6.750%, 11/15/2039   2,341,000     2,579,351
Cheniere Energy Partners LP
4.000%, 03/01/2031
  2,067,000     1,878,715
Civitas Resources, Inc.
8.750%, 07/01/2031 (A)
  1,000,000     1,070,060
Columbia Pipelines Operating Company LLC
6.036%, 11/15/2033 (A)
  240,000     248,651
Continental Resources, Inc.          
2.875%, 04/01/2032 (A)   1,936,000     1,577,825
5.750%, 01/15/2031 (A)   1,690,000     1,679,933
Enbridge, Inc.          
3.125%, 11/15/2029   1,200,000     1,095,445
8.500%, (8.500% to 1-15-34, then 5 Year CMT + 4.431% to 1-15-54, then 5 Year CMT + 5.181%), 01/15/2084   1,110,000     1,206,054
Energy Transfer LP
8.000%, (8.000% to 5-15-29, then 5 Year CMT + 4.020%), 05/15/2054
  1,010,000     1,059,360
EQT Corp.          
3.625%, 05/15/2031 (A)   1,860,000     1,637,004
5.750%, 02/01/2034   445,000     443,531
Kinder Morgan, Inc.
5.300%, 12/01/2034
  230,000     226,132
MC Brazil Downstream Trading SARL
7.250%, 06/30/2031 (A)
  907,967     822,002
Medco Oak Tree Pte, Ltd.
7.375%, 05/14/2026 (A)
  1,107,000     1,108,282
Occidental Petroleum Corp.          
3.200%, 08/15/2026   154,000     145,913
6.125%, 01/01/2031   955,000     989,008
6.625%, 09/01/2030   1,340,000     1,419,998
7.500%, 05/01/2031   565,000     628,912
Ovintiv, Inc.
6.500%, 08/15/2034 to 02/01/2038
  1,810,000     1,909,762
Pertamina Persero PT          
3.100%, 01/21/2030 (A)   255,000     227,233
3.650%, 07/30/2029 (A)   295,000     273,714
Petrorio Luxembourg Trading Sarl
6.125%, 06/09/2026 (A)
  505,000     497,267
QatarEnergy          
2.250%, 07/12/2031 (A)   935,000     782,604
3.300%, 07/12/2051 (A)   575,000     405,088
Southwestern Energy Company
5.700%, 01/23/2025
  17,000     16,920
The Williams Companies, Inc.
3.500%, 11/15/2030
  80,000     72,707
TransCanada PipeLines, Ltd.
4.100%, 04/15/2030
  1,705,000     1,610,187
Transcontinental Gas Pipe Line Company LLC
3.250%, 05/15/2030
  80,000     72,397
Var Energi ASA
7.500%, 01/15/2028 (A)
  680,000     719,220
Western Midstream Operating LP
4.050%, 02/01/2030
  1,180,000     1,100,971
          29,242,962
 
  262  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials – 6.6%          
American International Group, Inc.
8.175%, (8.175% to 5-15-38, then 3 month LIBOR + 4.195%), 05/15/2068
$ 1,700,000   $ 1,893,184
Asian Development Bank
3.000%, 10/14/2026
AUD 565,000     358,220
Bank of Montreal
7.325%, (7.325% to 11-26-27, then 5 Year Canada Government Bond Yield + 4.098%), 11/26/2082
CAD 1,595,000     1,186,391
Berkshire Hathaway Finance Corp.
2.375%, 06/19/2039
GBP 610,000     560,509
European Investment Bank
0.250%, 01/20/2032
EUR 1,380,000     1,236,095
Fidelity National Information Services, Inc.
1.000%, 12/03/2028
  425,000     409,108
Inter-American Development Bank          
2.700%, 01/29/2026 AUD 582,000     369,193
2.750%, 10/30/2025   500,000     318,448
4.600%, 03/01/2029 CAD 650,000     495,397
4.700%, 10/03/2030 AUD 1,055,000     697,565
International Bank for Reconstruction &
Development
         
1.200%, 08/08/2034 EUR 1,940,000     1,793,222
1.250%, 03/16/2026 NOK 2,920,000     253,686
1.800%, 01/19/2027 CAD 625,000     433,451
1.900%, 01/16/2025   1,065,000     768,604
4.250%, 09/18/2030   505,000     380,688
5.000%, 06/22/2026 NZD 1,905,000     1,140,973
International Development Association
1.750%, 02/17/2027
NOK 2,750,000     236,857
International Finance Corp.          
0.375%, 09/10/2025 NZD 1,805,000     1,007,568
4.600%, 10/19/2028 AUD 895,000     592,168
KfW
2.875%, 02/17/2027
NOK 2,280,000     203,097
MSCI, Inc.          
3.250%, 08/15/2033 (A) $ 390,000     321,295
3.625%, 09/01/2030 to 11/01/2031 (A)   2,874,000     2,524,421
3.875%, 02/15/2031 (A)   765,000     682,294
Nordea Eiendomskreditt AS
5.040%, (3 month NIBOR + 0.340%), 06/19/2024 (B)
NOK 8,000,000     736,637
Nordic Investment Bank          
1.875%, 04/10/2024   3,920,000     360,850
3.000%, 08/23/2027   5,180,000     462,190
4.000%, 11/04/2026   2,000,000     183,067
Popular, Inc.
7.250%, 03/13/2028
$ 750,000     767,916
Royal Bank of Canada
4.200%, (4.200% to 2-24-27, then 5 Year Canada Government Bond Yield + 2.710%), 02/24/2027 (C)
CAD 615,000     367,302
The Asian Infrastructure Investment Bank
0.200%, 12/15/2025
GBP 630,000     737,270
The Bank of Nova Scotia
8.625%, (8.625% to 10-27-27, then 5 Year CMT + 4.389%), 10/27/2082
$ 1,285,000     1,337,943
The Goldman Sachs Group, Inc.          
0.250%, 01/26/2028 EUR 275,000     264,088
2.000%, 11/01/2028   513,000     521,507
The Toronto-Dominion Bank          
2.667%, 09/09/2025 CAD 1,422,000     1,017,482
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
The Toronto-Dominion Bank (continued)          
8.125%, (8.125% to 10-31-27, then 5 Year CMT + 4.075%), 10/31/2082 $ 1,215,000   $ 1,274,356
U.S. Bancorp
3.700%, (3.700% to 1-15-27, then 5 Year CMT + 2.541%), 01/15/2027 (C)
  637,000     552,477
          26,445,519
Health care – 3.1%          
Allergan Funding SCS
2.625%, 11/15/2028
EUR 300,000     300,636
Centene Corp.          
2.500%, 03/01/2031 $ 905,000     744,383
3.000%, 10/15/2030   1,795,000     1,539,027
3.375%, 02/15/2030   1,765,000     1,561,904
4.625%, 12/15/2029   260,000     246,839
HCA, Inc.          
3.500%, 09/01/2030   4,798,000     4,339,108
5.600%, 04/01/2034   1,560,000     1,570,799
Rede D'or Finance Sarl          
4.500%, 01/22/2030 (A)   587,000     531,561
4.950%, 01/17/2028 (A)   310,000     296,600
Thermo Fisher Scientific, Inc.
0.500%, 03/01/2028
EUR 850,000     827,784
UnitedHealth Group, Inc.
0.550%, 05/15/2024
$ 395,000     392,674
          12,351,315
Industrials – 4.6%          
AECOM
5.125%, 03/15/2027
  1,460,000     1,434,234
Airbus SE
1.625%, 06/09/2030
EUR 255,000     252,617
American Airlines, Inc.          
5.500%, 04/20/2026 (A) $ 877,500     871,524
5.750%, 04/20/2029 (A)   790,000     776,535
DAE Funding LLC
3.375%, 03/20/2028 (A)
  640,000     589,224
Delta Air Lines 2020-1 Class A Pass Through Trust
2.500%, 12/10/2029
  369,222     332,170
Delta Air Lines, Inc.          
2.900%, 10/28/2024   540,000     530,069
4.750%, 10/20/2028 (A)   3,217,000     3,146,409
7.375%, 01/15/2026   165,000     170,162
Indian Railway Finance Corp., Ltd.
3.249%, 02/13/2030 (A)
  645,000     573,050
Johnson Controls International PLC
0.375%, 09/15/2027
EUR 240,000     233,873
Singapore Airlines, Ltd.
3.375%, 01/19/2029
$ 420,000     391,463
The Boeing Company          
5.150%, 05/01/2030   2,425,000     2,346,204
5.805%, 05/01/2050   850,000     804,209
TransDigm, Inc.
7.125%, 12/01/2031 (A)
  1,964,000     2,024,016
Uber Technologies, Inc.
8.000%, 11/01/2026 (A)
  500,000     506,017
United Rentals North America, Inc.          
3.875%, 02/15/2031   1,340,000     1,200,646
4.000%, 07/15/2030   870,000     791,755
4.875%, 01/15/2028   530,000     515,772
6.000%, 12/15/2029 (A)   670,000     674,439
          18,164,388
 
  263  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology – 0.4%          
CDW LLC
4.250%, 04/01/2028
$ 165,000   $ 157,931
Dell International LLC
8.350%, 07/15/2046
  541,000     699,772
Gartner, Inc.
3.750%, 10/01/2030 (A)
  690,000     617,646
          1,475,349
Materials – 3.9%          
Ardagh Metal Packaging Finance USA LLC
3.250%, 09/01/2028 (A)
  960,000     829,269
Ball Corp.          
2.875%, 08/15/2030   2,670,000     2,278,177
6.875%, 03/15/2028   1,120,000     1,149,672
Berry Global, Inc.
5.625%, 07/15/2027 (A)
  590,000     582,719
Braskem Netherlands Finance BV          
4.500%, 01/31/2030 (A)   570,000     490,128
5.875%, 01/31/2050 (A)   585,000     451,341
Cemex SAB de CV
3.875%, 07/11/2031 (A)
  1,575,000     1,395,464
Cleveland-Cliffs, Inc.          
4.875%, 03/01/2031 (A)   467,000     423,093
6.750%, 04/15/2030 (A)   1,880,000     1,885,467
Corp. Nacional del Cobre de Chile          
4.875%, 11/04/2044 (A)   625,000     525,446
6.440%, 01/26/2036 (A)   602,000     619,717
Freeport-McMoRan, Inc.          
4.125%, 03/01/2028   140,000     133,772
4.625%, 08/01/2030   490,000     470,628
5.400%, 11/14/2034   495,000     488,994
5.450%, 03/15/2043   2,195,000     2,101,426
Indonesia Asahan Aluminium Persero PT
4.750%, 05/15/2025 (A)
  1,290,000     1,273,415
Sealed Air Corp.
5.000%, 04/15/2029 (A)
  425,000     407,945
          15,506,673
Real estate – 2.3%          
American Tower Corp.
0.500%, 01/15/2028
EUR 270,000     259,613
American Tower Trust I
5.490%, 03/15/2028 (A)
$ 730,000     736,095
Boston Properties LP
2.750%, 10/01/2026
  134,000     124,819
Host Hotels & Resorts LP          
3.375%, 12/15/2029   950,000     846,084
3.500%, 09/15/2030   240,000     213,414
SBA Communications Corp.          
3.125%, 02/01/2029   1,305,000     1,151,670
3.875%, 02/15/2027   2,400,000     2,282,612
SBA Tower Trust
6.599%, 01/15/2028 (A)
  950,000     973,224
VICI Properties LP          
4.125%, 08/15/2030 (A)   895,000     813,829
4.625%, 12/01/2029 (A)   785,000     742,394
5.125%, 05/15/2032   925,000     884,760
          9,028,514
Utilities – 3.0%          
Brazos Securitization LLC          
5.014%, 03/01/2034 (A)   804,324     801,097
5.413%, 09/01/2052 (A)   1,060,000     1,107,440
DPL, Inc.
4.125%, 07/01/2025
  1,330,000     1,300,121
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
E.ON SE
0.625%, 11/07/2031
EUR 580,000   $ 511,683
EDP Finance BV
1.875%, 09/21/2029
  100,000     99,449
Emera, Inc.
6.750%, (6.750% to 6-15-26, then 3 month LIBOR + 5.440% to 6-15-46, then 3 month LIBOR + 6.190%), 06/15/2076
$ 1,615,000     1,595,013
FirstEnergy Corp.          
4.150%, 07/15/2027   1,170,000     1,122,136
7.375%, 11/15/2031   1,355,000     1,595,340
Greenko Dutch BV
3.850%, 03/29/2026 (A)
  568,875     534,344
Greenko Solar Mauritius, Ltd.
5.550%, 01/29/2025 (A)
  430,000     424,625
Greenko Wind Projects Mauritius, Ltd.
5.500%, 04/06/2025 (A)
  775,000     757,563
Israel Electric Corp., Ltd.
3.750%, 02/22/2032 (A)
  490,000     413,057
Perusahaan Perseroan Persero PT Perusahaan Listrik Negara
4.125%, 05/15/2027 (A)
  1,440,000     1,387,266
The AES Corp.
3.950%, 07/15/2030 (A)
  160,000     145,518
United Electric Securitization LLC
5.109%, 06/01/2033 (A)
  159,085     157,380
          11,952,032
TOTAL CORPORATE BONDS (Cost $185,284,949)     $ 173,929,043
CONVERTIBLE BONDS – 2.8%      
Communication services – 0.7%          
Liberty Broadband Corp.
3.125%, 03/31/2053 (A)
  2,135,000     2,020,351
Liberty Media Corp.
2.375%, 09/30/2053 (A)
  530,000     616,125
          2,636,476
Consumer discretionary – 0.4%          
Burlington Stores, Inc.
1.250%, 12/15/2027 (A)
  730,000     929,290
Marriott Vacations Worldwide Corp.
3.250%, 12/15/2027
  755,000     708,190
          1,637,480
Industrials – 1.1%          
Air Canada
4.000%, 07/01/2025
  665,000     735,786
American Airlines Group, Inc.
6.500%, 07/01/2025
  1,395,000     1,616,805
Southwest Airlines Company
1.250%, 05/01/2025
  1,100,000     1,113,200
Uber Technologies, Inc.
0.875%, 12/01/2028 (A)
  901,000     1,114,537
          4,580,328
Utilities – 0.6%          
American Water Capital Corp.
3.625%, 06/15/2026 (A)
  1,005,000     981,383
CenterPoint Energy, Inc.
4.250%, 08/15/2026 (A)
  1,310,000     1,297,555
          2,278,938
TOTAL CONVERTIBLE BONDS (Cost $11,404,766)     $ 11,133,222
 
  264  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
MUNICIPAL BONDS – 2.3%          
Board of Regents of the University of Texas System
2.439%, 08/15/2049
$ 1,210,000   $ 775,014
Bowling Green City School District (Ohio)
4.125%, 10/01/2053
  130,000     125,664
Chicago Park District (Illinois)
4.000%, 01/01/2038
  100,000     100,171
City of Jersey Village (Texas)
4.000%, 03/15/2049 (D)
  70,000     66,558
City of Norfolk (Virginia)
1.804%, 10/01/2031
  410,000     337,857
City of San Antonio (Texas)
5.718%, 02/01/2041
  240,000     248,862
City of Wilson (North Carolina)
4.000%, 10/01/2040
  40,000     40,584
City of Wilson (North Carolina)
4.000%, 10/01/2044
  45,000     44,659
Commonwealth of Massachusetts
2.900%, 09/01/2049
  980,000     703,890
Dutchess County Local Development Corp. (New York)
4.000%, 07/01/2049
  30,000     28,700
Louisiana Local Government Environmental Facilities & Community Development Authority
5.198%, 12/01/2039
  730,000     740,266
Massachusetts Development Finance Agency
5.000%, 09/01/2059
  340,000     353,417
Massachusetts Educational Financing Authority
5.950%, 07/01/2044
  870,000     876,598
Massachusetts School Building Authority
2.950%, 05/15/2043
  370,000     279,426
Massachusetts Water Resources Authority
3.124%, 08/01/2039
  775,000     628,319
Metropolitan Washington Airports Authority Aviation Revenue
5.250%, 10/01/2053
  125,000     133,872
New York State Dormitory Authority
4.000%, 03/15/2047
  135,000     131,473
Rhode Island Health and Educational Building Corp.
5.000%, 05/15/2046
  135,000     146,579
Rhode Island Health and Educational Building Corp.
5.000%, 05/15/2049
  260,000     280,444
Scago Public Facilities Corporation for Georgetown County (South Carolina)
4.000%, 06/01/2043
  15,000     14,868
South Carolina Public Service Authority
5.740%, 01/01/2030
  245,000     250,310
State Board of Administration Finance Corp. (Florida)
2.154%, 07/01/2030
  333,000     284,445
State of Texas
5.235%, 10/01/2043
  940,000     950,484
Temple Independent School District (Texas)
4.000%, 02/01/2049 (D)
  135,000     131,066
University of Nebraska Facilities Corp.
3.037%, 10/01/2049
  335,000     251,654
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
MUNICIPAL BONDS (continued)          
University of Virginia
2.256%, 09/01/2050
$ 1,930,000   $ 1,179,902
Virginia Commonwealth University Health System Authority
4.000%, 07/01/2054 (D)
  180,000     171,518
TOTAL MUNICIPAL BONDS (Cost $9,353,475)   $ 9,276,600
TERM LOANS (E) – 0.6%      
Industrials – 0.6%          
AAdvantage Loyalty IP, Ltd., 2021 Term Loan (3 month CME Term SOFR + 4.750%) 10.329%, 04/20/2028   514,250     533,462
Mileage Plus Holdings LLC, 2020 Term Loan B (3 month CME Term SOFR + 5.250%) 10.733%, 06/21/2027   703,083     723,135
United Airlines, Inc., 2024 Term Loan B (3 month CME Term SOFR + 2.750%) 8.076%, 02/15/2031   1,130,000     1,129,819
          2,386,416
TOTAL TERM LOANS (Cost $2,384,721)   $ 2,386,416
COLLATERALIZED MORTGAGE OBLIGATIONS – 6.3%      
Commercial and residential – 3.2%          
Arroyo Mortgage Trust
Series 2019-1, Class A1
3.805%, 01/25/2049 (A)(F)
  221,440     210,093
BOCA Commercial Mortgage Trust
Series 2022-BOCA, Class B (1 month CME Term SOFR + 2.319%)
7.644%, 05/15/2039 (A)(B)
  300,000     301,028
BX Commercial Mortgage Trust          
Series 2021-CIP, Class A (1 month CME Term SOFR + 1.035%),
6.360%, 12/15/2038 (A)(B)
  1,140,000     1,127,888
Series 2021-VOLT, Class A (1 month CME Term SOFR + 0.814%),
6.140%, 09/15/2036 (A)(B)
  735,000     729,548
Series 2024-XL5, Class A (1 month CME Term SOFR + 1.392%),
6.692%, 03/15/2041 (A)(B)
  875,000     875,440
BX Trust          
Series 2022-CLS, Class A,
5.760%, 10/13/2027 (A)
  595,000     596,934
Series 2022-GPA, Class A (1 month CME Term SOFR + 2.165%),
7.490%, 08/15/2039 (A)(B)
  788,886     790,858
Series 2022-GPA, Class B (1 month CME Term SOFR + 2.664%),
7.989%, 08/15/2041 (A)(B)
  476,308     477,499
Series 2024-BIO, Class D (1 month CME Term SOFR + 3.639%),
8.964%, 02/15/2041 (A)(B)
  545,000     544,489
CAMB Commercial Mortgage Trust
Series 2019-LIFE, Class A (1 month CME Term SOFR + 1.367%)
6.693%, 12/15/2037 (A)(B)
  364,300     364,299
Citigroup Commercial Mortgage Trust
Series 2023-SMRT, Class A
5.820%, 10/12/2040 (A)(F)
  470,000     478,064
COLT Mortgage Loan Trust
Series 2022-5, Class A1
4.550%, 04/25/2067 (A)(F)
  319,017     318,804
 
  265  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
Credit Suisse Mortgage
Capital Certificates
         
Series 2019-ICE4, Class A (1 month CME Term SOFR + 1.027%),
6.353%, 05/15/2036 (A)(B)
$ 1,032,431   $ 1,032,434
Series 2019-NQM1, Class A1,
3.656%, 10/25/2059 (A)
  57,787     56,077
GCAT Trust
Series 2022-NQM4, Class A1 (5.269% to 8-1-26, then 6.269% thereafter)
5.269%, 08/25/2067 (A)
  358,659     354,270
HarborView Mortgage Loan Trust          
Series 2007-3, Class ES IO,
0.350%, 05/19/2037 (A)
  3,043,768     51,452
Series 2007-4, Class ES IO,
0.350%, 07/19/2047
  3,043,535     40,540
Series 2007-6, Class ES IO,
0.343%, 08/19/2037 (A)
  3,253,542     41,865
InTown Mortgage Trust
Series 2022-STAY, Class B (1 month CME Term SOFR + 3.286%)
8.611%, 08/15/2039 (A)(B)
  640,000     643,591
Life Mortgage Trust          
Series 2022-BMR2, Class A1 (1 month CME Term SOFR + 1.295%),
6.621%, 05/15/2039 (A)(B)
  1,155,000     1,144,894
Series 2022-BMR2, Class B (1 month CME Term SOFR + 1.794%),
7.119%, 05/15/2039 (A)(B)
  1,090,000     1,076,375
Morgan Stanley Mortgage Loan Trust
Series 2004-9, Class 1A
5.292%, 11/25/2034 (F)
  63,090     62,967
SCOTT Trust
Series 2023-SFS, Class AS
6.204%, 03/15/2040 (A)
  300,000     295,086
Verus Securitization Trust          
Series 2022-8, Class A3 (6.127% to 10-1-26, then 7.127% thereafter),
6.127%, 09/25/2067 (A)
  266,943     264,443
Series 2022-INV1, Class A1 (5.041% to 8-1-26, then 6.041% thereafter),
5.041%, 08/25/2067 (A)
  733,811     722,961
Series 2024-1, Class A1 (5.712% to 1-1-28, then 6.712% thereafter),
5.712%, 01/25/2069 (A)
  211,217     209,929
          12,811,828
U.S. Government Agency – 3.1%          
Federal Home Loan Mortgage Corp.          
Series 2022-DNA3, Class M1A (30 day Average SOFR + 2.000%),
7.320%, 04/25/2042 (A)(B)
  493,790     500,175
Series 2022-DNA4, Class M1A (30 day Average SOFR + 2.200%),
7.520%, 05/25/2042 (A)(B)
  588,372     598,659
Series 2022-DNA4, Class M1B (30 day Average SOFR + 3.350%),
8.670%, 05/25/2042 (A)(B)
  1,165,000     1,217,012
Series 2022-DNA6, Class M1A (30 day Average SOFR + 2.150%),
7.470%, 09/25/2042 (A)(B)
  562,204     569,243
Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
Series 2022-DNA7, Class M1A (30 day Average SOFR + 2.500%),
7.820%, 03/25/2052 (A)(B)
$ 785,557   $ 801,114
Series 2022-HQA1, Class M1B (30 day Average SOFR + 3.500%),
8.820%, 03/25/2042 (A)(B)
  365,000     380,513
Series 2022-HQA3, Class M1B (30 day Average SOFR + 3.550%),
8.870%, 08/25/2042 (A)(B)
  540,000     566,453
Series 2024-HQA1, Class M2 (30 day Average SOFR + 2.000%),
7.319%, 03/25/2044 (A)(B)
  1,405,000     1,405,434
Federal National Mortgage Association          
Series 2021-R02, Class 2B2 (30 day Average SOFR + 6.200%),
11.520%, 11/25/2041 (A)(B)
  285,000     300,199
Series 2022-R01, Class 1M1 (30 day Average SOFR + 1.000%),
6.320%, 12/25/2041 (A)(B)
  171,449     171,449
Series 2022-R03, Class 1M1 (30 day Average SOFR + 2.100%),
7.420%, 03/25/2042 (A)(B)
  281,118     285,150
Series 2022-R04, Class 1M1 (30 day Average SOFR + 2.000%),
7.320%, 03/25/2042 (A)(B)
  153,162     154,957
Series 2022-R05, Class 2M2 (30 day Average SOFR + 3.000%),
8.320%, 04/25/2042 (A)(B)
  1,420,000     1,464,263
Series 2022-R06, Class 1M1 (30 day Average SOFR + 2.750%),
8.070%, 05/25/2042 (A)(B)
  290,745     298,377
Series 2022-R09, Class 2M1 (30 day Average SOFR + 2.500%),
7.821%, 09/25/2042 (A)(B)
  548,415     557,440
Series 2023-R01, Class 1M1 (30 day Average SOFR + 2.400%),
7.721%, 12/25/2042 (A)(B)
  435,549     447,256
Series 2023-R03, Class 2M2 (30 day Average SOFR + 3.900%),
9.220%, 04/25/2043 (A)(B)
  695,000     741,455
Series 2023-R06, Class 1M2 (30 day Average SOFR + 2.700%),
8.020%, 07/25/2043 (A)(B)
  450,000     465,685
Series 2024-R02, Class 1M1 (30 day Average SOFR + 1.100%),
6.420%, 02/25/2044 (A)(B)
  1,349,459     1,349,877
          12,274,711
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $24,676,145)   $ 25,086,539
ASSET BACKED SECURITIES – 1.7%      
DataBank Issuer
Series 2023-1A, Class A2
5.116%, 02/25/2053 (A)
  510,000     484,303
DB Master Finance LLC
Series 2019-1A, Class A2II
4.021%, 05/20/2049 (A)
  463,175     448,246
Domino's Pizza Master Issuer LLC
Series 2015-1A, Class A2II
4.474%, 10/25/2045 (A)
  839,388     823,160
 
  266  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
FirstKey Homes Trust
Series 2020-SFR2, Class A
1.266%, 10/19/2037 (A)
$ 509,647   $ 476,973
Home Partners of America Trust
Series 2019-1, Class B
3.157%, 09/17/2039 (A)
  331,601     303,865
MVW Owner Trust
Series 2018-1A, Class A
3.450%, 01/21/2036 (A)
  79,300     78,629
OCCU Auto Receivables Trust
Series 2022-1A, Class A3
5.500%, 10/15/2027 (A)
  605,000     604,142
Taco Bell Funding LLC
Series 2016-1A, Class A23
4.970%, 05/25/2046 (A)
  1,689,375     1,663,970
Texas Natural Gas Securitization Finance Corp.
Series 2023-1, Class A2
5.169%, 04/01/2041
  1,154,000     1,171,528
T-Mobile US Trust
Series 2022-1A, Class A
4.910%, 05/22/2028 (A)
  720,000     716,638
TOTAL ASSET BACKED SECURITIES (Cost $6,847,071)     $ 6,771,454
PREFERRED SECURITIES – 0.7%        
Financials – 0.1%          
Affiliated Managers Group, Inc., 6.750%   18,675     476,586
First Horizon Corp., 4.700%   4,450     74,538
          551,124
Utilities – 0.6%          
NextEra Energy, Inc., 6.926% (G)   57,100     2,222,903
TOTAL PREFERRED SECURITIES (Cost $3,254,544)   $ 2,774,027
SHORT-TERM INVESTMENTS – 3.3%      
Short-term funds – 3.3%          
John Hancock Collateral Trust, 5.2975% (H)(I)   1,315,035     13,146,931
TOTAL SHORT-TERM INVESTMENTS (Cost $13,150,609)   $ 13,146,931
Total Investments (Strategic Income Opportunities Trust)
(Cost $415,458,516) – 99.5%
  $ 395,089,569
Other assets and liabilities, net – 0.5%       1,801,174
TOTAL NET ASSETS – 100.0%       $ 396,890,743
Currency Abbreviations
Strategic Income Opportunities Trust (continued)
AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
CNY Chinese Yuan Renminbi
EUR Euro
GBP Pound Sterling
IDR Indonesian Rupiah
INR Indian Rupee
KRW Korean Won
MXN Mexican Peso
MYR Malaysian Ringgit
NOK Norwegian Krone
NZD New Zealand Dollar
PHP Philippine Peso
SGD Singapore Dollar
Security Abbreviations and Legend
CME CME Group Published Rates
CMT Constant Maturity Treasury
IO Interest-Only Security - (Interest Tranche of Stripped Mortgage Pool). Rate shown is the annualized yield at the end of the period.
LIBOR London Interbank Offered Rate
NIBOR Norwegian Interbank Offered Rate
SOFR Secured Overnight Financing Rate
(A) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration. Rule 144A securities amounted to $124,675,568 or 31.4% of the fund's net assets as of 3-31-24.
(B) Variable rate obligation. The coupon rate shown represents the rate at period end.
(C) Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date.
(D) Security purchased or sold on a when-issued or delayed delivery basis.
(E) Term loans are variable rate obligations. The rate shown represents the rate at period end.
(F) Variable or floating rate security, the interest rate of which adjusts periodically based on a weighted average of interest rates and prepayments on the underlying pool of assets. The interest rate shown is the current rate as of period end.
(G) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $2,221,580.
(H) The rate shown is the annualized seven-day yield as of 3-31-24.
(I) Investment is an affiliate of the fund, the advisor and/or subadvisor. A portion of this security represents the investment of cash collateral received for securities lending. Market value of this investment amounted to $2,287,623.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
German Euro BUND Futures 21 Long Jun 2024 $2,995,481 $3,021,852 $26,371
10-Year U.S. Treasury Note Futures 25 Short Jun 2024 (2,750,742) (2,769,922) (19,180)
Euro-BTP Italian Government Bond Futures 28 Short Jun 2024 (3,551,322) (3,595,030) (43,708)
            $(36,517)
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
  267  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

FORWARD FOREIGN CURRENCY CONTRACTS
Contract to buy Contract to sell Counterparty (OTC) Contractual
settlement
date
Unrealized
appreciation
Unrealized
depreciation
AUD 2,905  USD 1,894  UBS 4/3/2024  —  $(1)
AUD 2,077,119  USD 1,368,551  ANZ 6/20/2024  —  (12,028)
AUD 3,095,366  USD 2,022,048  CITI 6/20/2024  —  (528)
AUD 4,154,237  USD 2,740,417  JPM 6/20/2024  —  (27,371)
CAD 2,963,367  USD 2,187,318  CIBC 6/20/2024  $2,874  — 
CAD 1,485,883  USD 1,093,659  MSCS 6/20/2024  4,541  — 
EUR 340,750  JPY 55,711,708  CITI 6/20/2024  —  (3,717)
EUR 1,699,375  NOK 19,677,318  CITI 6/20/2024  23,292  — 
EUR 5,098,125  NOK 59,288,653  JPM 6/20/2024  46,187  — 
EUR 2,051,107  USD 2,240,321  CITI 6/20/2024  —  (20,499)
EUR 4,188,268  USD 4,568,689  RBC 6/20/2024  —  (35,911)
GBP 330,842  USD 422,325  CIBC 6/20/2024  —  (4,580)
GBP 1,650,000  USD 2,114,105  GSI 6/20/2024  —  (30,698)
GBP 1,666,875  USD 2,136,989  RBC 6/20/2024  —  (32,274)
GBP 1,675,558  USD 2,132,952  SSB 6/20/2024  —  (17,274)
GBP 1,650,000  USD 2,115,892  UBS 6/20/2024  —  (32,485)
JPY 55,099,101  EUR 340,750  MSCS 6/20/2024  —  (379)
JPY 247,889,516  USD 1,661,250  CIBC 6/20/2024  —  (3,829)
JPY 247,563,628  USD 1,661,250  GSI 6/20/2024  —  (6,008)
JPY 492,140,479  USD 3,322,500  MSCS 6/20/2024  —  (31,986)
MXN 11,556,723  USD 673,478  CIBC 6/20/2024  13,106  — 
MXN 11,570,135  USD 673,478  RBC 6/20/2024  13,903  — 
MXN 5,820,800  USD 340,000  SSB 6/20/2024  5,813  — 
NOK 50,937,956  EUR 4,416,298  BARC 6/20/2024  —  (78,897)
NOK 19,636,108  EUR 1,699,375  HUS 6/20/2024  —  (27,095)
NOK 8,466,737  EUR 732,634  JPM 6/20/2024  —  (11,569)
NOK 31,274,429  EUR 2,716,923  MSCS 6/20/2024  —  (54,331)
NZD 2,087,122  USD 1,269,012  BARC 6/20/2024  —  (21,993)
NZD 1,700,000  USD 1,027,794  BNY 6/20/2024  —  (12,074)
NZD 3,106,309  USD 1,880,001  HUS 6/20/2024  —  (24,035)
NZD 2,087,122  USD 1,267,808  RBC 6/20/2024  —  (20,789)
NZD 1,700,000  USD 1,035,747  UBS 6/20/2024  —  (20,027)
SGD 4,686,664  USD 3,507,982  BARC 6/20/2024  —  (24,584)
SGD 5,952,861  USD 4,452,577  CIBC 6/20/2024  —  (28,069)
SGD 5,431,276  USD 4,068,158  GSI 6/20/2024  —  (31,322)
SGD 3,025,218  USD 2,260,088  HUS 6/20/2024  —  (11,572)
SGD 3,021,421  USD 2,260,088  JPM 6/20/2024  —  (14,394)
SGD 3,016,110  USD 2,260,088  MSCS 6/20/2024  —  (18,342)
SGD 3,015,717  USD 2,260,088  SSB 6/20/2024  —  (18,634)
USD 6,309,276  AUD 9,512,406  CIBC 6/20/2024  96,920  — 
USD 3,768,012  AUD 5,745,847  CITI 6/20/2024  15,518  — 
USD 2,004,637  AUD 3,078,132  UBS 6/20/2024  —  (5,628)
USD 1,119,393  BRL 5,625,510  GSI 6/20/2024  6,048  — 
USD 3,633,631  CAD 4,937,105  BARC 6/20/2024  —  (15,329)
USD 5,103,692  CAD 6,866,698  CITI 6/20/2024  28,592  — 
USD 47,905  CAD 65,000  HUS 6/20/2024  —  (136)
USD 16,916,051  EUR 15,409,186  SSB 6/20/2024  239,367  — 
USD 2,008,930  GBP 1,595,360  CITI 6/20/2024  —  (5,485)
USD 10,816,517  GBP 8,451,423  MSCS 6/20/2024  145,149  — 
USD 3,402,500  JPY 509,320,225  GSI 6/20/2024  —  (2,880)
USD 715,427  MXN 12,173,776  BARC 6/20/2024  —  (7,816)
USD 342,500  MXN 5,764,277  CIBC 6/20/2024  45  — 
USD 4,241,092  MXN 72,271,596  JPM 6/20/2024  —  (52,558)
USD 2,067,988  MXN 35,002,946  MSCS 6/20/2024  —  (11,535)
USD 724,392  MXN 12,126,684  RBC 6/20/2024  3,947  — 
USD 672,682  MXN 11,409,677  UBS 6/20/2024  —  (5,166)
USD 3,076,695  NOK 32,107,496  HUS 6/20/2024  113,744  — 
USD 340,164  NZD 552,028  ANZ 6/20/2024  10,337  — 
USD 2,096,650  NZD 3,400,000  CITI 6/20/2024  65,209  — 
USD 2,050,547  NZD 3,400,000  HUS 6/20/2024  19,106  — 
USD 5,059,308  NZD 8,406,750  MSCS 6/20/2024  36,421  — 
USD 94,953  NZD 158,215  SSB 6/20/2024  423  — 
USD 1,020,858  NZD 1,700,000  UBS 6/20/2024  5,138  — 
USD 17,379,915  SGD 22,999,102  BARC 6/20/2024  285,662  — 
USD 75,780  SGD 101,818  BNY 6/20/2024  103  — 
USD 3,377,263  SGD 4,536,171  CIBC 6/20/2024  5,720  — 
USD 8,889,358  SGD 11,884,641  CITI 6/20/2024  56,012  — 
  268  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Strategic Income Opportunities Trust (continued)
FORWARD FOREIGN CURRENCY CONTRACTS (continued)
Contract to buy Contract to sell Counterparty (OTC) Contractual
settlement
date
Unrealized
appreciation
Unrealized
depreciation
USD 4,503,017  SGD 6,040,798  HUS 6/20/2024  $13,150  — 
            $1,256,327  $(783,828)
Derivatives Currency Abbreviations
AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
EUR Euro
GBP Pound Sterling
JPY Japanese Yen
MXN Mexican Peso
NOK Norwegian Krone
NZD New Zealand Dollar
SGD Singapore Dollar
USD U.S. Dollar
Derivatives Abbreviations
ANZ Australia and New Zealand Banking Group Limited
BARC Barclays Bank PLC
BNY The Bank of New York Mellon
CIBC Canadian Imperial Bank of Commerce
CITI Citibank, N.A.
GSI Goldman Sachs International
HUS HSBC Bank USA, N.A.
JPM JPMorgan Chase Bank, N.A.
MSCS Morgan Stanley Capital Services LLC
OTC Over-the-counter
RBC Royal Bank of Canada
SSB State Street Bank and Trust Company
UBS UBS AG
Total Bond Market Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
69.2%
     
U.S. Government – 42.2%          
U.S. Treasury Bonds          
1.250%, 05/15/2050 $ 8,000,000   $ 4,091,562
2.000%, 11/15/2041 to 08/15/2051   19,000,000     12,345,782
2.250%, 08/15/2049   2,000,000     1,333,672
2.750%, 08/15/2047   3,000,000     2,245,078
2.875%, 05/15/2049   1,500,000     1,140,996
3.000%, 02/15/2047 to 08/15/2052   23,635,000     18,520,930
3.375%, 08/15/2042   8,000,000     6,910,000
3.625%, 02/15/2053 to 05/15/2053   10,000,000     8,783,594
3.875%, 02/15/2043 to 05/15/2043   9,000,000     8,312,304
4.000%, 11/15/2052   6,000,000     5,641,172
4.125%, 08/15/2053   1,725,000     1,657,887
4.250%, 05/15/2039 to 02/15/2054   8,810,000     8,721,950
4.375%, 05/15/2041   1,830,000     1,826,497
4.625%, 02/15/2040   5,000,000     5,180,469
4.750%, 02/15/2041 to 11/15/2053   3,410,000     3,598,378
U.S. Treasury Notes          
0.250%, 07/31/2025 to 10/31/2025   16,000,000     14,940,938
0.375%, 07/31/2027   1,800,000     1,578,867
0.500%, 10/31/2027   12,000,000     10,478,906
0.625%, 03/31/2027   6,000,000     5,367,891
0.750%, 03/31/2026   4,000,000     3,706,250
0.875%, 09/30/2026   5,000,000     4,575,977
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government (continued)          
U.S. Treasury Notes (continued)          
1.125%, 01/15/2025 $ 20,000,000   $ 19,387,109
1.375%, 08/31/2026 to 11/15/2031   6,000,000     5,235,352
1.500%, 01/31/2027   30,000,000     27,665,625
1.750%, 01/31/2029   29,000,000     25,866,640
2.125%, 05/31/2026   2,000,000     1,898,906
2.250%, 11/15/2027   20,595,000     19,156,568
2.375%, 05/15/2029   5,000,000     4,574,023
2.750%, 08/15/2032   5,000,000     4,484,570
2.875%, 05/15/2028 to 05/15/2032   11,800,000     10,974,414
3.000%, 10/31/2025   2,000,000     1,945,703
3.125%, 08/31/2027   4,000,000     3,842,500
3.500%, 04/30/2030   3,000,000     2,882,813
3.625%, 05/15/2026   4,000,000     3,920,625
3.750%, 12/31/2028   9,800,000     9,590,984
3.875%, 09/30/2029   10,000,000     9,824,219
4.000%, 01/31/2029 to 10/31/2029   19,245,000     19,023,684
4.125%, 09/30/2027 to 11/15/2032   25,000,000     24,808,789
4.250%, 05/31/2025 to 10/15/2025   14,000,000     13,884,766
4.375%, 11/30/2028   8,245,000     8,288,480
4.500%, 11/15/2025 to 11/15/2033   47,615,000     48,404,661
4.625%, 02/28/2026   2,000,000     1,998,359
          398,617,890
 
  269  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency – 27.0%          
Federal Home Loan Bank
5.500%, 07/15/2036
$ 1,690,000   $ 1,857,058
Federal Home Loan Mortgage Corp.          
1.500%, 12/01/2036 to 03/01/2051   5,832,287     4,592,512
2.000%, 07/01/2035 to 05/01/2051   5,785,782     4,659,751
2.500%, 04/01/2031 to 04/01/2052   11,220,456     9,402,957
3.000%, 07/01/2032 to 03/01/2052   9,962,862     8,783,997
3.500%, 12/01/2025 to 07/01/2052   7,735,933     7,018,648
4.000%, 09/01/2040 to 09/01/2047   985,346     933,284
4.500%, 05/01/2024 to 07/01/2052   5,845,954     5,635,241
5.000%, 04/01/2024 to 07/01/2053   2,665,759     2,612,408
5.500%, 04/01/2027 to 07/01/2053   4,439,405     4,432,519
6.000%, 10/01/2036 to 02/01/2054   6,058,377     6,156,977
6.092%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.842%), 08/01/2037 (A)   240,257     245,550
6.250%, 07/15/2032   450,000     511,488
6.500%, 08/01/2037 to 09/01/2053   1,947,748     2,011,511
6.750%, 09/15/2029   1,200,000     1,338,426
7.000%, 04/01/2029 to 04/01/2032   6,806     7,051
7.500%, 09/01/2030 to 03/01/2032   3,665     3,871
8.000%, 02/01/2030   276     282
Federal National Mortgage Association          
0.500%, 06/17/2025   3,000,000     2,845,051
1.500%, 11/01/2036 to 02/01/2051   6,196,262     5,178,369
2.000%, 02/01/2035 to 02/01/2052   58,671,594     47,884,320
2.125%, 04/24/2026   2,000,000     1,901,019
2.500%, 05/01/2028 to 02/01/2052   33,735,247     28,643,623
2.625%, 09/06/2024   1,000,000     988,670
3.000%, 01/01/2027 to 03/01/2052   15,761,755     14,019,010
3.500%, 12/01/2025 to 02/01/2052   9,878,789     9,037,957
4.000%, 02/01/2031 to 04/01/2053   13,700,165     12,856,342
4.500%, 08/01/2024 to 09/01/2052   3,264,366     3,142,196
5.000%, 12/01/2034 to 04/01/2053   5,430,204     5,336,947
5.495%, (1 Year CMT + 2.185%), 05/01/2036 (A)   36,802     37,435
5.500%, 01/01/2034 to 01/01/2054   3,106,125     3,108,944
5.561%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.583%), 09/01/2037 (A)   35,981     36,733
5.571%, (6 month Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.411%), 07/01/2034 (A)   34,655     34,866
5.710%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.335%), 01/01/2035 (A)   10,350     10,423
5.730%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.843%), 04/01/2037 (A)   57,071     58,676
6.000%, 07/01/2027 to 08/01/2038   154,737     160,088
6.175%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.925%), 10/01/2037 (A)   6,725     6,909
6.500%, 07/01/2031 to 04/01/2053   1,013,477     1,045,492
7.000%, 02/01/2031 to 10/01/2038   25,996     27,331
7.125%, 01/15/2030   209,000     238,950
7.250%, 05/15/2030   1,450,000     1,677,676
7.500%, 09/01/2030 to 08/01/2031   11,330     11,865
8.000%, 08/01/2030 to 09/01/2031   1,824     1,880
8.500%, 09/01/2030   171     180
Government National
Mortgage Association
         
2.000%, 02/20/2051   10,859,715     8,900,830
2.500%, 08/20/2050 to 11/20/2051   12,852,992     10,968,048
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Government National
Mortgage Association (continued)
         
3.000%, 08/15/2043 to 07/20/2051 $ 10,324,346   $ 9,185,579
3.500%, 04/15/2042 to 01/20/2052   8,512,702     7,824,781
4.000%, 11/15/2026 to 02/20/2053   4,392,118     4,154,094
4.500%, 08/15/2033 to 03/20/2053   4,986,600     4,805,325
5.000%, 08/15/2033 to 05/20/2053   3,879,819     3,821,556
5.500%, 11/15/2032 to 08/20/2053   3,197,650     3,199,474
6.000%, 07/15/2029 to 02/20/2054   2,504,355     2,530,080
6.500%, 05/15/2028 to 11/20/2052   1,300,007     1,323,525
7.000%, 08/15/2029 to 05/15/2032   13,015     13,283
7.500%, 09/15/2030 to 01/15/2031   3,962     4,097
          255,225,155
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $717,214,383)   $ 653,843,045
FOREIGN GOVERNMENT OBLIGATIONS – 0.8%      
Brazil – 0.2%          
Federative Republic of Brazil
4.250%, 01/07/2025
  1,612,000     1,593,327
Canada – 0.1%          
Province of British Columbia
6.500%, 01/15/2026
  490,000     501,923
Italy – 0.1%          
Republic of Italy
5.375%, 06/15/2033
  1,000,000     985,377
Japan – 0.1%          
Japan Bank for International Cooperation
2.500%, 05/23/2024
  800,000     796,519
Mexico – 0.3%          
Government of Mexico          
3.750%, 01/11/2028   2,000,000     1,898,883
6.050%, 01/11/2040   930,000     917,929
          2,816,812
Panama – 0.0%          
Republic of Panama
6.700%, 01/26/2036
  370,000     358,681
Peru – 0.0%          
Republic of Peru
6.550%, 03/14/2037
  250,000     271,250
Turkey – 0.0%          
Republic of Turkey
6.000%, 01/14/2041
  400,000     328,552
TOTAL FOREIGN GOVERNMENT OBLIGATIONS (Cost $8,132,196)   $ 7,652,441
CORPORATE BONDS – 25.7%      
Communication services – 2.2%          
Alphabet, Inc.          
1.100%, 08/15/2030   300,000     245,661
2.050%, 08/15/2050   400,000     239,329
AT&T, Inc.          
2.550%, 12/01/2033   665,000     532,648
3.800%, 12/01/2057   609,000     440,929
4.750%, 05/15/2046   900,000     805,994
4.850%, 07/15/2045   500,000     451,696
5.150%, 03/15/2042   50,000     47,517
5.400%, 02/15/2034   1,000,000     1,013,118
6.375%, 03/01/2041   360,000     384,344
7.625%, 04/15/2031   285,000     317,835
Baidu, Inc.
4.125%, 06/30/2025
  250,000     245,540
 
  270  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
British Telecommunications PLC
9.625%, 12/15/2030
$ 190,000   $ 233,060
Charter Communications Operating LLC          
2.800%, 04/01/2031   600,000     491,623
5.050%, 03/30/2029   400,000     385,689
5.375%, 05/01/2047   500,000     402,883
Comcast Corp.          
2.350%, 01/15/2027   455,000     425,613
2.887%, 11/01/2051   256,000     166,176
3.450%, 02/01/2050   500,000     365,637
3.999%, 11/01/2049   500,000     404,813
4.049%, 11/01/2052   1,000,000     804,548
4.600%, 10/15/2038   400,000     373,261
6.500%, 11/15/2035   52,000     57,671
Deutsche Telekom International Finance BV
8.750%, 06/15/2030
  146,000     172,588
Discovery Communications LLC          
4.125%, 05/15/2029   900,000     843,647
5.300%, 05/15/2049   400,000     336,041
Fox Corp.
3.500%, 04/08/2030
  600,000     548,800
Grupo Televisa SAB
6.625%, 01/15/2040
  220,000     224,322
Meta Platforms, Inc.
4.950%, 05/15/2033
  700,000     708,534
Paramount Global
4.950%, 05/19/2050
  470,000     334,117
Rogers Communications, Inc.
4.500%, 03/15/2042
  700,000     607,958
TCI Communications, Inc.
7.125%, 02/15/2028
  110,000     118,302
Telefonica Emisiones SA
7.045%, 06/20/2036
  230,000     257,493
Telefonica Europe BV
8.250%, 09/15/2030
  350,000     399,977
The Walt Disney Company
2.650%, 01/13/2031
  400,000     352,148
Time Warner Cable Enterprises LLC
8.375%, 07/15/2033
  525,000     585,946
T-Mobile USA, Inc.          
3.000%, 02/15/2041   400,000     294,619
3.875%, 04/15/2030   600,000     562,069
4.500%, 04/15/2050   700,000     606,759
5.750%, 01/15/2054   700,000     724,865
TWDC Enterprises 18 Corp.          
3.150%, 09/17/2025   500,000     486,255
4.125%, 06/01/2044   500,000     434,812
Verizon Communications, Inc.          
1.680%, 10/30/2030   400,000     325,890
2.875%, 11/20/2050   500,000     326,582
4.016%, 12/03/2029   500,000     477,059
4.522%, 09/15/2048   1,260,000     1,118,881
Vodafone Group PLC          
4.375%, 05/30/2028   400,000     394,174
5.250%, 05/30/2048   300,000     286,485
          20,363,908
Consumer discretionary – 1.7%          
Amazon.com, Inc.          
2.100%, 05/12/2031   400,000     339,218
2.500%, 06/03/2050   800,000     510,584
4.050%, 08/22/2047   600,000     522,795
4.700%, 12/01/2032   700,000     702,683
American Honda Finance Corp.
1.800%, 01/13/2031
  600,000     496,593
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer discretionary (continued)          
AutoZone, Inc.
3.250%, 04/15/2025
$ 1,000,000   $ 977,180
Booking Holdings, Inc.
3.550%, 03/15/2028
  300,000     286,143
Choice Hotels International, Inc.
3.700%, 01/15/2031
  200,000     175,240
D.R. Horton, Inc.
1.400%, 10/15/2027
  200,000     177,381
Expedia Group, Inc.
3.250%, 02/15/2030
  300,000     270,053
Ford Motor Credit Company LLC
6.798%, 11/07/2028
  1,420,000     1,482,160
General Motors Company
5.400%, 04/01/2048
  300,000     275,117
General Motors Financial Company, Inc.          
2.400%, 10/15/2028   300,000     265,503
3.100%, 01/12/2032   350,000     296,450
3.600%, 06/21/2030   420,000     379,136
5.250%, 03/01/2026   650,000     647,936
Lennar Corp.
4.750%, 11/29/2027
  300,000     296,204
Lowe's Companies, Inc.          
3.375%, 09/15/2025   460,000     448,161
3.750%, 04/01/2032   700,000     642,989
McDonald's Corp.
3.300%, 07/01/2025
  1,000,000     977,641
NIKE, Inc.
2.400%, 03/27/2025
  1,000,000     973,245
Starbucks Corp.
3.550%, 08/15/2029
  300,000     283,260
The Home Depot, Inc.          
2.700%, 04/15/2030   700,000     623,517
3.350%, 09/15/2025   752,000     735,142
4.250%, 04/01/2046   390,000     337,845
5.875%, 12/16/2036   280,000     300,704
The TJX Companies, Inc.          
3.875%, 04/15/2030   600,000     571,601
4.500%, 04/15/2050   600,000     555,255
Toll Brothers Finance Corp.
3.800%, 11/01/2029
  200,000     186,480
Toyota Motor Credit Corp.          
1.150%, 08/13/2027   500,000     444,055
1.900%, 09/12/2031   700,000     574,091
3.050%, 01/11/2028   300,000     283,264
Whirlpool Corp.
5.150%, 03/01/2043
  300,000     267,119
          16,304,745
Consumer staples – 1.5%          
Altria Group, Inc.          
3.400%, 02/04/2041   400,000     293,436
4.500%, 05/02/2043   500,000     421,285
Anheuser-Busch Companies LLC          
3.650%, 02/01/2026   800,000     781,750
4.900%, 02/01/2046   500,000     475,155
Anheuser-Busch InBev Worldwide, Inc.          
4.500%, 06/01/2050   400,000     365,591
4.750%, 01/23/2029   500,000     499,854
BAT Capital Corp.          
2.726%, 03/25/2031   600,000     504,483
3.215%, 09/06/2026   500,000     475,706
Constellation Brands, Inc.
4.500%, 05/09/2047
  350,000     299,044
Costco Wholesale Corp.
1.600%, 04/20/2030
  500,000     420,942
 
  271  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Consumer staples (continued)          
Diageo Capital PLC
2.000%, 04/29/2030
$ 300,000   $ 255,282
General Mills, Inc.
2.875%, 04/15/2030
  600,000     534,128
Kellanova
3.250%, 04/01/2026
  400,000     385,769
Kenvue, Inc.
4.900%, 03/22/2033
  500,000     499,578
Keurig Dr. Pepper, Inc.
4.597%, 05/25/2028
  500,000     493,355
Kimberly-Clark Corp.
3.200%, 07/30/2046
  300,000     221,593
Kraft Heinz Foods Company          
3.000%, 06/01/2026   458,000     438,386
6.875%, 01/26/2039   40,000     45,176
Mondelez International, Inc.
4.625%, 05/07/2048
  300,000     257,008
PepsiCo, Inc.          
2.850%, 02/24/2026   495,000     477,887
4.000%, 03/05/2042   270,000     244,047
5.500%, 01/15/2040   280,000     296,511
Philip Morris International, Inc.
6.375%, 05/16/2038
  300,000     328,358
SC Johnson & Son, Inc.
4.000%, 05/15/2043 (B)
  250,000     201,934
Sysco Corp.
6.600%, 04/01/2050
  1,000,000     1,140,766
Target Corp.
3.900%, 11/15/2047
  500,000     407,478
The Coca-Cola Company          
2.125%, 09/06/2029   400,000     354,735
2.500%, 06/01/2040   400,000     290,627
The Estee Lauder Companies, Inc.
2.600%, 04/15/2030
  600,000     527,712
The Kroger Company
3.500%, 02/01/2026
  500,000     485,553
The Procter & Gamble Company
3.600%, 03/25/2050
  600,000     495,100
Tyson Foods, Inc.
4.350%, 03/01/2029
  400,000     386,818
Walmart, Inc.          
3.250%, 07/08/2029   600,000     568,546
4.050%, 06/29/2048   500,000     434,428
          14,308,021
Energy – 1.7%          
Anadarko Petroleum Corp.
6.450%, 09/15/2036
  280,000     288,329
Baker Hughes Holdings LLC          
3.337%, 12/15/2027   500,000     472,951
4.486%, 05/01/2030   500,000     488,055
Boardwalk Pipelines LP
4.950%, 12/15/2024
  400,000     397,689
BP Capital Markets America, Inc.
3.796%, 09/21/2025
  800,000     786,280
Canadian Natural Resources, Ltd.
6.250%, 03/15/2038
  290,000     301,798
Cenovus Energy, Inc.
4.250%, 04/15/2027
  300,000     291,949
Chevron Corp.
2.954%, 05/16/2026
  800,000     770,240
Devon Energy Corp.          
5.000%, 06/15/2045   885,000     785,246
7.875%, 09/30/2031   170,000     194,985
Enbridge, Inc.          
3.700%, 07/15/2027   400,000     384,489
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Energy (continued)          
Enbridge, Inc. (continued)          
4.500%, 06/10/2044 $ 400,000   $ 344,344
5.700%, 03/08/2033   700,000     716,908
Energy Transfer LP          
5.500%, 06/01/2027   600,000     603,714
6.125%, 12/15/2045   350,000     351,801
6.500%, 02/01/2042   50,000     53,027
Enterprise Products Operating LLC          
3.200%, 02/15/2052   700,000     490,363
4.850%, 08/15/2042   280,000     262,767
6.875%, 03/01/2033   130,000     146,170
Exxon Mobil Corp.          
2.995%, 08/16/2039   400,000     312,949
3.482%, 03/19/2030   700,000     659,789
Kinder Morgan Energy Partners LP          
4.300%, 05/01/2024   700,000     699,113
6.375%, 03/01/2041   60,000     62,160
6.500%, 09/01/2039   180,000     187,480
Kinder Morgan, Inc.
5.550%, 06/01/2045
  375,000     357,820
MPLX LP
4.800%, 02/15/2029
  400,000     395,126
ONEOK Partners LP
6.650%, 10/01/2036
  268,000     287,800
Ovintiv, Inc.
6.500%, 08/15/2034
  270,000     286,413
Petroleos Mexicanos          
6.625%, 06/15/2035   230,000     174,484
6.700%, 02/16/2032 (C)   173,000     143,874
Phillips 66 Company
3.750%, 03/01/2028
  200,000     191,204
Plains All American Pipeline LP
4.900%, 02/15/2045
  500,000     435,075
Shell International Finance BV          
4.375%, 05/11/2045   1,000,000     894,186
6.375%, 12/15/2038   90,000     101,832
Suncor Energy, Inc.
5.950%, 05/15/2035
  235,000     233,521
Targa Resources Partners LP
4.000%, 01/15/2032
  500,000     450,042
The Williams Companies, Inc.          
3.500%, 11/15/2030   400,000     363,533
5.100%, 09/15/2045   400,000     370,079
Tosco Corp.
8.125%, 02/15/2030
  383,000     442,686
TransCanada PipeLines, Ltd.
5.850%, 03/15/2036
  405,000     416,435
Valero Energy Corp.          
2.850%, 04/15/2025   600,000     582,757
7.500%, 04/15/2032   270,000     309,956
          16,489,419
Financials – 8.0%          
American Express Company
4.420%, (4.420% to 8-3-32, then Overnight SOFR + 1.760%), 08/03/2033
  1,000,000     952,975
American International Group, Inc.
6.250%, 05/01/2036
  430,000     451,488
Ameriprise Financial, Inc.
5.150%, 05/15/2033
  700,000     707,279
Arch Capital Finance LLC
4.011%, 12/15/2026
  400,000     387,673
Ares Capital Corp.
3.875%, 01/15/2026
  1,000,000     967,237
 
  272  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Banco Santander SA
1.722%, (1.722% to 9-14-26, then 1 Year CMT + 0.900%), 09/14/2027
$ 700,000   $ 638,474
Bank of America Corp.          
3.366%, (3.366% to 1-23-25, then 3 month CME Term SOFR + 1.072%), 01/23/2026   1,200,000     1,177,987
3.419%, (3.419% to 12-20-27, then 3 month CME Term SOFR + 1.302%), 12/20/2028   1,312,000     1,230,840
3.970%, (3.970% to 3-5-28, then 3 month CME Term SOFR + 1.332%), 03/05/2029   500,000     477,944
3.974%, (3.974% to 2-7-29, then 3 month CME Term SOFR + 1.472%), 02/07/2030   2,000,000     1,895,286
4.443%, (4.443% to 1-20-47, then 3 month CME Term SOFR + 2.252%), 01/20/2048   500,000     438,812
4.450%, 03/03/2026   700,000     689,500
5.468%, (5.468% to 1-23-34, then Overnight SOFR + 1.650%), 01/23/2035   560,000     563,650
7.750%, 05/14/2038   480,000     582,344
Barclays PLC          
4.375%, 01/12/2026   500,000     490,539
7.437%, (7.437% to 11-2-32, then 1 Year CMT + 3.500%), 11/02/2033   700,000     777,530
Berkshire Hathaway Finance Corp.
4.400%, 05/15/2042
  600,000     562,107
Berkshire Hathaway, Inc.
3.125%, 03/15/2026
  500,000     484,104
Capital One Financial Corp.          
3.200%, 02/05/2025   2,000,000     1,958,044
5.268%, (5.268% to 5-10-32, then Overnight SOFR + 2.370%), 05/10/2033   480,000     471,335
Chubb INA Holdings, Inc.
3.350%, 05/03/2026
  300,000     289,795
Citigroup, Inc.          
1.462%, (1.462% to 6-9-26, then Overnight SOFR + 0.770%), 06/09/2027   600,000     551,118
2.666%, (2.666% to 1-29-30, then Overnight SOFR + 1.146%), 01/29/2031   1,000,000     866,668
3.300%, 04/27/2025   600,000     587,017
4.281%, (4.281% to 4-24-47, then 3 month CME Term SOFR + 2.101%), 04/24/2048   500,000     428,012
4.450%, 09/29/2027   500,000     486,398
4.658%, (4.658% to 5-24-27, then Overnight SOFR + 1.887%), 05/24/2028   1,000,000     984,866
5.500%, 09/13/2025   400,000     399,817
Deutsche Bank AG
2.129%, (2.129% to 11-24-25, then Overnight SOFR + 1.870%), 11/24/2026
  600,000     565,807
European Investment Bank          
2.500%, 10/15/2024   1,500,000     1,477,678
4.875%, 02/15/2036   1,000,000     1,044,627
Fifth Third Bank NA
2.250%, 02/01/2027
  500,000     462,395
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Fiserv, Inc.
2.250%, 06/01/2027
$ 600,000   $ 551,173
Five Corners Funding Trust II
2.850%, 05/15/2030 (B)
  800,000     701,184
GE Capital International Funding Company
4.418%, 11/15/2035
  822,000     772,345
Global Payments, Inc.
4.450%, 06/01/2028
  400,000     386,731
HSBC Holdings PLC          
2.848%, (2.848% to 6-4-30, then Overnight SOFR + 2.387%), 06/04/2031   1,000,000     862,542
4.583%, (4.583% to 6-19-28, then 3 month CME Term SOFR + 1.796%), 06/19/2029   1,000,000     970,414
6.500%, 09/15/2037   660,000     702,843
Inter-American Development Bank          
1.125%, 01/13/2031   2,000,000     1,625,180
2.000%, 07/23/2026   1,000,000     942,642
7.000%, 06/15/2025   325,000     331,089
Intercontinental Exchange, Inc.          
3.100%, 09/15/2027   400,000     376,268
4.600%, 03/15/2033   500,000     483,790
International Bank for Reconstruction &
Development
         
0.750%, 11/24/2027   1,000,000     875,921
0.875%, 07/15/2026   1,000,000     919,566
JPMorgan Chase & Co.          
2.522%, (2.522% to 4-22-30, then Overnight SOFR + 2.040%), 04/22/2031   1,000,000     864,281
3.109%, (3.109% to 4-22-50, then Overnight SOFR + 2.440%), 04/22/2051   1,860,000     1,292,316
3.300%, 04/01/2026   700,000     677,826
3.509%, (3.509% to 1-23-28, then 3 month CME Term SOFR + 1.207%), 01/23/2029   500,000     472,966
3.540%, (3.540% to 5-1-27, then 3 month CME Term SOFR + 1.642%), 05/01/2028   700,000     668,719
4.452%, (4.452% to 12-5-28, then 3 month CME Term SOFR + 1.592%), 12/05/2029   600,000     584,915
4.851%, (4.851% to 7-25-27, then Overnight SOFR + 1.990%), 07/25/2028   1,000,000     991,567
6.400%, 05/15/2038   125,000     140,606
KeyBank NA
5.000%, 01/26/2033
  500,000     463,470
Liberty Mutual Group, Inc.
3.950%, 05/15/2060 (B)
  500,000     362,687
Lincoln National Corp.          
3.625%, 12/12/2026 (C)   500,000     477,985
7.000%, 06/15/2040   150,000     165,672
Lloyds Banking Group PLC
2.438%, (2.438% to 2-5-25, then 1 Year CMT + 1.000%), 02/05/2026
  900,000     874,965
Mastercard, Inc.          
2.000%, 11/18/2031   350,000     289,276
2.950%, 11/21/2026   300,000     286,428
MetLife, Inc.
4.600%, 05/13/2046
  500,000     452,097
 
  273  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
Mitsubishi UFJ Financial Group, Inc.
1.538%, (1.538% to 7-20-26, then 1 Year CMT + 0.750%), 07/20/2027
$ 1,600,000   $ 1,473,642
Mizuho Financial Group, Inc.
1.234%, (1.234% to 5-22-26, then 1 Year CMT + 0.670%), 05/22/2027
  800,000     734,178
Morgan Stanley          
1.512%, (1.512% to 7-20-26, then Overnight SOFR + 0.858%), 07/20/2027   500,000     458,901
3.622%, (3.622% to 4-1-30, then Overnight SOFR + 3.120%), 04/01/2031   1,000,000     917,124
3.772%, (3.772% to 1-24-28, then 3 month CME Term SOFR + 1.402%), 01/24/2029   550,000     523,531
4.375%, 01/22/2047   1,050,000     920,633
5.164%, (5.164% to 4-20-28, then Overnight SOFR + 1.590%), 04/20/2029   1,000,000     999,193
6.296%, (6.296% to 10-18-27, then Overnight SOFR + 2.240%), 10/18/2028   1,000,000     1,034,505
Nasdaq, Inc.
1.650%, 01/15/2031
  500,000     402,534
National Rural Utilities Cooperative Finance Corp.
4.023%, 11/01/2032
  700,000     645,712
Nomura Holdings, Inc.
3.103%, 01/16/2030
  1,000,000     887,916
PayPal Holdings, Inc.          
2.300%, 06/01/2030   600,000     517,519
2.850%, 10/01/2029   500,000     452,152
Raymond James Financial, Inc.
4.950%, 07/15/2046
  600,000     551,941
Royal Bank of Canada
2.300%, 11/03/2031
  800,000     664,813
S&P Global, Inc.
2.900%, 03/01/2032
  600,000     522,887
State Street Corp.
5.159%, (5.159% to 5-18-33, then Overnight SOFR + 1.890%), 05/18/2034
  700,000     696,949
Stifel Financial Corp.
4.250%, 07/18/2024
  500,000     497,248
Sumitomo Mitsui Financial Group, Inc.          
3.364%, 07/12/2027   900,000     855,045
3.784%, 03/09/2026   550,000     535,935
The Allstate Corp.
3.280%, 12/15/2026
  500,000     476,520
The Bank of New York Mellon Corp.
3.250%, 05/16/2027
  800,000     763,038
The Bank of Nova Scotia
4.850%, 02/01/2030
  700,000     694,881
The Charles Schwab Corp.
3.200%, 01/25/2028
  300,000     281,661
The Goldman Sachs Group, Inc.          
2.600%, 02/07/2030   700,000     612,722
3.102%, (3.102% to 2-24-32, then Overnight SOFR + 1.410%), 02/24/2033   1,000,000     855,246
3.210%, (3.210% to 4-22-41, then Overnight SOFR + 1.513%), 04/22/2042   1,000,000     751,945
3.750%, 02/25/2026   500,000     488,151
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
The Goldman Sachs
Group, Inc. (continued)
         
4.482%, (4.482% to 8-23-27, then Overnight SOFR + 1.725%), 08/23/2028 $ 1,000,000   $ 977,635
The Hartford Financial Services Group, Inc.
5.950%, 10/15/2036
  170,000     178,497
The PNC Financial Services Group, Inc.          
3.450%, 04/23/2029   1,000,000     932,564
4.758%, (4.758% to 1-26-26, then SOFR Compounded Index + 1.085%), 01/26/2027   500,000     495,323
The Toronto-Dominion Bank
2.000%, 09/10/2031
  800,000     653,985
The Travelers Companies, Inc.
4.050%, 03/07/2048
  300,000     253,494
Travelers Property Casualty Corp.
7.750%, 04/15/2026
  50,000     52,448
Truist Financial Corp.          
1.125%, 08/03/2027   700,000     614,536
2.850%, 10/26/2024   700,000     689,447
U.S. Bancorp
2.375%, 07/22/2026
  1,000,000     942,176
UBS Group AG
4.550%, 04/17/2026
  800,000     787,168
Visa, Inc.          
2.050%, 04/15/2030   600,000     517,466
3.150%, 12/14/2025   463,000     450,246
4.300%, 12/14/2045   463,000     417,562
Wells Fargo & Company          
2.572%, (2.572% to 2-11-30, then 3 month CME Term SOFR + 1.262%), 02/11/2031   2,000,000     1,724,029
3.000%, 10/23/2026   1,000,000     946,637
3.068%, (3.068% to 4-30-40, then Overnight SOFR + 2.530%), 04/30/2041   1,250,000     935,267
3.350%, (3.350% to 3-2-32, then Overnight SOFR + 1.500%), 03/02/2033   1,000,000     867,628
Westpac Banking Corp.
1.150%, 06/03/2026
  800,000     737,596
          76,007,036
Health care – 2.9%          
Abbott Laboratories          
2.950%, 03/15/2025   300,000     293,800
3.750%, 11/30/2026   283,000     276,562
AbbVie, Inc.          
3.200%, 05/14/2026 to 11/21/2029   1,716,000     1,612,567
4.400%, 11/06/2042   260,000     235,989
Aetna, Inc.
3.500%, 11/15/2024
  200,000     197,326
Allergan Funding SCS
4.750%, 03/15/2045
  321,000     235,413
Amgen, Inc.          
4.400%, 05/01/2045   260,000     225,887
4.663%, 06/15/2051   659,000     583,679
5.250%, 03/02/2033   1,000,000     1,008,412
AstraZeneca PLC
0.700%, 04/08/2026
  500,000     459,869
Baxalta, Inc.
4.000%, 06/23/2025
  500,000     491,828
Baxter International, Inc.
3.950%, 04/01/2030
  500,000     468,005
 
  274  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
Bayer US Finance II LLC
2.850%, 04/15/2025 (B)
$ 300,000   $ 290,369
Becton, Dickinson and Company
4.685%, 12/15/2044
  400,000     362,210
Biogen, Inc.
3.250%, 02/15/2051
  561,000     387,990
Boston Scientific Corp.
2.650%, 06/01/2030
  500,000     440,374
Bristol-Myers Squibb Company          
3.250%, 08/01/2042   500,000     382,080
4.550%, 02/20/2048   300,000     268,362
Cardinal Health, Inc.
3.750%, 09/15/2025
  500,000     488,436
Centene Corp.
4.250%, 12/15/2027
  700,000     667,436
CVS Health Corp.          
3.875%, 07/20/2025   650,000     637,772
4.300%, 03/25/2028   389,000     379,616
5.050%, 03/25/2048   500,000     454,089
5.875%, 06/01/2053   366,000     372,335
CVS Pass-Through Trust
8.353%, 07/10/2031 (B)
  53,507     57,594
DH Europe Finance II Sarl
3.250%, 11/15/2039
  300,000     242,308
Dignity Health
4.500%, 11/01/2042
  300,000     259,847
Elevance Health, Inc.          
4.101%, 03/01/2028   350,000     340,324
4.650%, 08/15/2044   150,000     135,156
6.100%, 10/15/2052   333,000     360,743
Eli Lilly & Company
2.250%, 05/15/2050
  500,000     305,776
Evernorth Health, Inc.
6.125%, 11/15/2041
  330,000     330,274
Gilead Sciences, Inc.
3.650%, 03/01/2026
  600,000     584,578
GlaxoSmithKline Capital, Inc.          
3.625%, 05/15/2025   500,000     492,068
6.375%, 05/15/2038   210,000     237,452
HCA, Inc.          
4.500%, 02/15/2027   500,000     490,232
5.500%, 06/15/2047   400,000     380,251
Humana, Inc.
3.850%, 10/01/2024
  350,000     346,639
Johnson & Johnson          
2.100%, 09/01/2040   500,000     343,745
5.850%, 07/15/2038   285,000     314,358
Laboratory Corp. of America Holdings
2.950%, 12/01/2029
  500,000     448,512
Medtronic, Inc.
4.375%, 03/15/2035
  500,000     478,108
Merck & Company, Inc.
2.750%, 02/10/2025
  850,000     832,362
Novartis Capital Corp.
3.000%, 11/20/2025
  500,000     485,633
Pfizer Investment Enterprises Pte, Ltd.
5.300%, 05/19/2053
  1,000,000     994,234
Pfizer, Inc.          
2.750%, 06/03/2026   713,000     683,750
4.400%, 05/15/2044   264,000     241,931
Quest Diagnostics, Inc.          
4.200%, 06/30/2029   500,000     484,948
4.700%, 03/30/2045   500,000     452,906
Regeneron Pharmaceuticals, Inc.
2.800%, 09/15/2050
  1,000,000     629,767
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
Stryker Corp.
4.625%, 03/15/2046
$ 350,000   $ 319,957
The Cigna Group
4.375%, 10/15/2028
  500,000     487,748
Thermo Fisher Scientific, Inc.
2.000%, 10/15/2031
  400,000     329,537
UnitedHealth Group, Inc.          
2.300%, 05/15/2031   500,000     423,575
2.900%, 05/15/2050   400,000     269,983
4.375%, 03/15/2042   50,000     45,376
4.450%, 12/15/2048   300,000     267,015
5.350%, 02/15/2033   700,000     720,147
5.800%, 03/15/2036   300,000     321,612
Utah Acquisition Sub, Inc.
3.950%, 06/15/2026
  500,000     483,067
Viatris, Inc.
2.700%, 06/22/2030
  500,000     423,914
Zimmer Biomet Holdings, Inc.
3.050%, 01/15/2026
  500,000     480,481
Zoetis, Inc.
2.000%, 05/15/2030
  500,000     421,311
          27,167,625
Industrials – 2.2%          
3M Company
3.000%, 08/07/2025
  330,000     320,556
AerCap Ireland Capital DAC          
3.300%, 01/30/2032   500,000     428,828
4.450%, 04/03/2026   400,000     393,364
5.750%, 06/06/2028   1,000,000     1,013,348
Air Lease Corp.          
3.125%, 12/01/2030   600,000     526,635
3.625%, 12/01/2027   400,000     377,333
American Airlines 2016-2 Class AA Pass Through Trust
3.200%, 12/15/2029
  202,350     185,813
Automatic Data Processing, Inc.
3.375%, 09/15/2025
  752,000     735,596
Burlington Northern Santa Fe LLC
4.400%, 03/15/2042
  50,000     45,040
Canadian Pacific Railway Company
2.875%, 11/15/2029
  500,000     448,257
Carrier Global Corp.
3.577%, 04/05/2050
  500,000     372,652
Caterpillar, Inc.          
3.250%, 04/09/2050   400,000     297,971
3.400%, 05/15/2024   500,000     498,739
CSX Corp.          
3.350%, 11/01/2025   420,000     408,352
3.800%, 04/15/2050   1,000,000     780,910
Deere & Company
3.100%, 04/15/2030
  500,000     456,653
Delta Air Lines 2019-1 Class AA Pass Through Trust
3.204%, 04/25/2024
  200,000     199,847
Equifax, Inc.
3.100%, 05/15/2030
  1,200,000     1,070,518
FedEx Corp.          
3.875%, 08/01/2042   420,000     336,778
4.400%, 01/15/2047   350,000     292,925
General Dynamics Corp.
3.625%, 04/01/2030
  500,000     469,997
General Electric Company          
4.500%, 03/11/2044   500,000     453,920
6.750%, 03/15/2032   66,000     73,520
6.875%, 01/10/2039   168,000     199,348
 
  275  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Industrials (continued)          
Honeywell International, Inc.
1.950%, 06/01/2030
$ 500,000   $ 425,951
John Deere Capital Corp.
2.050%, 01/09/2025
  500,000     487,855
Johnson Controls, Inc.
5.700%, 03/01/2041
  150,000     138,866
L3Harris Technologies, Inc.
2.900%, 12/15/2029
  300,000     267,020
Lockheed Martin Corp.
3.800%, 03/01/2045
  400,000     327,503
Norfolk Southern Corp.
4.837%, 10/01/2041
  240,000     225,819
Northrop Grumman Corp.          
3.250%, 01/15/2028   300,000     283,477
4.400%, 05/01/2030   200,000     194,533
Precision Castparts Corp.
3.250%, 06/15/2025
  500,000     489,017
Republic Services, Inc.
2.375%, 03/15/2033
  400,000     323,640
RTX Corp.          
4.625%, 11/16/2048   500,000     444,449
6.125%, 07/15/2038   225,000     239,860
Southwest Airlines Company
5.250%, 05/04/2025
  1,200,000     1,195,213
Stanley Black & Decker, Inc.
2.750%, 11/15/2050
  300,000     177,653
The Boeing Company          
2.600%, 10/30/2025   438,000     416,703
2.950%, 02/01/2030   400,000     345,463
3.750%, 02/01/2050   400,000     278,256
5.805%, 05/01/2050   600,000     567,677
8.750%, 09/15/2031   90,000     105,583
Thomson Reuters Corp.
4.500%, 05/23/2043
  250,000     206,746
Trane Technologies Global Holding Company, Ltd.
4.300%, 02/21/2048
  600,000     515,416
Union Pacific Corp.          
3.250%, 08/15/2025   500,000     487,612
3.799%, 10/01/2051 to 04/06/2071   1,113,000     843,888
United Airlines 2016-2 Class AA Pass Through Trust
2.875%, 10/07/2028
  206,355     186,905
United Parcel Service, Inc.
3.400%, 03/15/2029
  400,000     379,334
Verisk Analytics, Inc.
4.125%, 03/15/2029
  600,000     577,229
Waste Management, Inc.
2.500%, 11/15/2050
  300,000     187,105
          20,705,673
Information technology – 1.8%          
Apple, Inc.          
1.650%, 05/11/2030   900,000     760,761
2.450%, 08/04/2026   1,060,000     1,007,031
4.100%, 08/08/2062   700,000     593,852
4.850%, 05/10/2053 (C)   470,000     466,966
Applied Materials, Inc.          
3.900%, 10/01/2025   470,000     462,337
5.100%, 10/01/2035   470,000     482,260
Broadcom, Inc.          
2.600%, 02/15/2033 (B)   1,000,000     812,161
3.137%, 11/15/2035 (B)   600,000     484,741
4.300%, 11/15/2032   700,000     657,726
Cisco Systems, Inc.
5.900%, 02/15/2039
  80,000     86,985
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Information technology (continued)          
Dell International LLC
5.300%, 10/01/2029
$ 600,000   $ 607,365
Eaton Corp.
3.103%, 09/15/2027
  500,000     474,053
Hewlett Packard Enterprise Company
6.200%, 10/15/2035
  400,000     426,821
HP, Inc.
6.000%, 09/15/2041
  500,000     519,408
IBM Corp.          
3.450%, 02/19/2026   1,115,000     1,084,748
4.000%, 06/20/2042   210,000     177,307
5.600%, 11/30/2039   21,000     21,854
Intel Corp.          
2.000%, 08/12/2031   500,000     410,873
5.200%, 02/10/2033   1,000,000     1,013,868
Microsoft Corp.          
2.525%, 06/01/2050   1,538,000     1,010,717
3.125%, 11/03/2025   438,000     426,616
NVIDIA Corp.
2.000%, 06/15/2031
  400,000     337,988
NXP BV
3.400%, 05/01/2030
  520,000     471,971
Oracle Corp.          
2.650%, 07/15/2026   310,000     293,335
2.875%, 03/25/2031   400,000     347,791
2.950%, 05/15/2025   550,000     535,546
4.000%, 11/15/2047   400,000     312,267
4.125%, 05/15/2045   500,000     403,601
Qualcomm, Inc.
1.650%, 05/20/2032
  566,000     448,336
Roper Technologies, Inc.
4.200%, 09/15/2028
  500,000     485,530
Salesforce, Inc.
2.700%, 07/15/2041
  400,000     289,454
Texas Instruments, Inc.
3.875%, 03/15/2039
  200,000     178,962
VMware LLC
1.800%, 08/15/2028
  400,000     348,512
Xerox Corp.
6.750%, 12/15/2039
  60,000     51,452
          16,493,195
Materials – 0.7%          
Air Products and Chemicals, Inc.
1.850%, 05/15/2027
  500,000     459,076
Avery Dennison Corp.
2.650%, 04/30/2030
  400,000     349,648
DuPont de Nemours, Inc.
5.319%, 11/15/2038
  400,000     399,757
Eastman Chemical Company
4.650%, 10/15/2044
  500,000     425,497
Glencore Funding LLC
2.625%, 09/23/2031 (B)
  500,000     416,731
Huntsman International LLC
4.500%, 05/01/2029
  500,000     477,445
International Paper Company
5.000%, 09/15/2035
  500,000     488,933
LYB International Finance II BV
3.500%, 03/02/2027
  400,000     381,621
Martin Marietta Materials, Inc.
2.400%, 07/15/2031
  300,000     251,278
Newmont Corp.
4.875%, 03/15/2042
  270,000     251,038
Nucor Corp.
2.700%, 06/01/2030
  300,000     266,289
 
  276  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Materials (continued)          
Potash Corp. of Saskatchewan, Inc.
5.625%, 12/01/2040
$ 150,000   $ 142,738
Rio Tinto Alcan, Inc.
6.125%, 12/15/2033
  100,000     107,508
Rio Tinto Finance USA PLC
4.750%, 03/22/2042
  270,000     255,928
Rio Tinto Finance USA, Ltd.
5.200%, 11/02/2040
  250,000     249,234
Teck Resources, Ltd.
6.250%, 07/15/2041
  270,000     275,802
The Dow Chemical Company          
4.375%, 11/15/2042   590,000     504,158
9.400%, 05/15/2039   130,000     175,060
The Sherwin-Williams Company
3.450%, 06/01/2027
  300,000     286,769
Vale Overseas, Ltd.
6.875%, 11/10/2039
  350,000     374,261
Vulcan Materials Company
3.500%, 06/01/2030
  300,000     274,961
          6,813,732
Real estate – 0.9%          
Alexandria Real Estate Equities, Inc.
1.875%, 02/01/2033
  400,000     303,877
American Tower Corp.
3.800%, 08/15/2029
  525,000     489,962
AvalonBay Communities, Inc.
2.050%, 01/15/2032
  400,000     328,813
Boston Properties LP
2.550%, 04/01/2032
  500,000     395,528
Brixmor Operating Partnership LP
4.125%, 05/15/2029
  700,000     659,762
Crown Castle, Inc.          
2.500%, 07/15/2031   300,000     248,249
3.700%, 06/15/2026   400,000     386,294
CubeSmart LP
4.000%, 11/15/2025
  200,000     194,995
Digital Realty Trust LP
4.450%, 07/15/2028
  200,000     193,638
Duke Realty LP
3.250%, 06/30/2026
  200,000     189,173
Equinix, Inc.
2.150%, 07/15/2030
  400,000     331,493
Essex Portfolio LP
3.000%, 01/15/2030
  400,000     354,728
Extra Space Storage LP
2.350%, 03/15/2032
  500,000     400,059
GLP Capital LP
5.300%, 01/15/2029
  600,000     589,970
Healthpeak OP LLC
3.500%, 07/15/2029
  400,000     370,197
Mid-America Apartments LP
3.950%, 03/15/2029
  800,000     769,278
Service Properties Trust
4.500%, 03/15/2025
  200,000     195,399
Simon Property Group LP          
3.375%, 06/15/2027   500,000     476,891
3.500%, 09/01/2025   441,500     431,056
Sun Communities Operating LP
5.700%, 01/15/2033
  1,000,000     991,735
Welltower OP LLC
2.750%, 01/15/2031
  500,000     430,062
          8,731,159
Utilities – 2.1%          
AEP Transmission Company LLC
3.750%, 12/01/2047
  400,000     309,080
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
Ameren Corp.
3.500%, 01/15/2031
$ 1,000,000   $ 903,427
American Water Capital Corp.
4.300%, 09/01/2045
  350,000     305,363
Arizona Public Service Company
3.350%, 05/15/2050
  500,000     343,429
Baltimore Gas & Electric Company
4.550%, 06/01/2052
  700,000     610,962
Berkshire Hathaway Energy Company          
4.500%, 02/01/2045   500,000     448,173
6.125%, 04/01/2036   436,000     463,497
CenterPoint Energy, Inc.
2.950%, 03/01/2030
  700,000     625,746
Consolidated Edison Company of New York, Inc.
3.950%, 04/01/2050
  700,000     568,336
Constellation Energy Generation LLC
6.250%, 10/01/2039
  160,000     168,451
Dominion Energy, Inc.          
3.375%, 04/01/2030   600,000     545,276
3.900%, 10/01/2025   242,000     236,668
Duke Energy Carolinas LLC
6.000%, 01/15/2038
  200,000     211,947
Duke Energy Corp.          
2.450%, 06/01/2030   435,000     374,632
3.750%, 04/15/2024   500,000     499,605
4.800%, 12/15/2045   500,000     443,953
5.000%, 08/15/2052   600,000     543,101
Entergy Texas, Inc.
1.750%, 03/15/2031
  700,000     564,134
Essential Utilities, Inc.
4.276%, 05/01/2049
  500,000     407,666
Eversource Energy
4.250%, 04/01/2029
  500,000     479,161
Exelon Corp.
3.400%, 04/15/2026
  542,000     523,951
Florida Power & Light Company
5.650%, 02/01/2037
  290,000     302,266
Georgia Power Company
5.950%, 02/01/2039
  335,000     337,893
Indiana Michigan Power Company          
3.850%, 05/15/2028   600,000     575,195
6.050%, 03/15/2037   187,000     195,886
NextEra Energy Capital Holdings, Inc.          
2.250%, 06/01/2030   700,000     596,029
5.250%, 02/28/2053   700,000     666,616
NiSource, Inc.          
3.950%, 03/30/2048   400,000     313,034
5.400%, 06/30/2033   1,000,000     1,008,044
Oncor Electric Delivery Company LLC
7.500%, 09/01/2038
  188,000     225,459
Pacific Gas & Electric Company          
2.500%, 02/01/2031   600,000     498,947
3.450%, 07/01/2025   30,000     29,182
3.750%, 07/01/2028   30,000     28,078
4.550%, 07/01/2030   227,000     215,768
4.950%, 07/01/2050   827,000     711,378
PacifiCorp
6.000%, 01/15/2039
  335,000     347,747
Public Service Company of Colorado
3.600%, 09/15/2042
  500,000     383,864
Public Service Electric & Gas Company
3.000%, 05/15/2025
  250,000     243,991
San Diego Gas & Electric Company
6.125%, 09/15/2037
  202,000     204,288
 
  277  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Utilities (continued)          
Southern California Edison Company          
2.250%, 06/01/2030 $ 700,000   $ 594,828
5.350%, 07/15/2035   130,000     129,819
Southern California Gas Company
6.350%, 11/15/2052
  500,000     550,234
The Southern Company          
3.250%, 07/01/2026   572,000     549,703
4.400%, 07/01/2046   500,000     430,636
Virginia Electric & Power Company
8.875%, 11/15/2038
  190,000     254,397
Xcel Energy, Inc.
3.300%, 06/01/2025
  400,000     389,302
          19,359,142
TOTAL CORPORATE BONDS (Cost $260,744,180)     $ 242,743,655
MUNICIPAL BONDS – 0.3%          
Bay Area Toll Authority (California)
6.907%, 10/01/2050
  50,000     60,341
Illinois State Toll Highway Authority
6.184%, 01/01/2034
  150,000     159,769
Maryland State Transportation Authority
5.888%, 07/01/2043
  60,000     61,803
Metropolitan Washington Airports Authority
7.462%, 10/01/2046
  40,000     49,965
New Jersey Turnpike Authority
7.102%, 01/01/2041
  90,000     104,572
New York State Dormitory Authority
5.628%, 03/15/2039
  340,000     348,363
New York State Urban Development Corp.
5.770%, 03/15/2039
  270,000     276,166
State of California, GO
7.300%, 10/01/2039
  400,000     470,494
State of California, GO
7.500%, 04/01/2034
  80,000     94,036
State of Illinois, GO
5.100%, 06/01/2033
  115,000     114,163
State of Illinois, GO
7.350%, 07/01/2035
  240,000     259,819
State of Texas, GO
5.517%, 04/01/2039
  260,000     269,425
State of Utah, GO
3.539%, 07/01/2025
  181,658     179,348
State of Utah, GO
4.554%, 07/01/2024
  55,000     54,815
State of Washington, GO
5.481%, 08/01/2039
  260,000     266,977
Texas Transportation Commission State Highway Fund
5.178%, 04/01/2030
  310,000     309,510
TOTAL MUNICIPAL BONDS (Cost $2,992,548)   $ 3,079,566
COLLATERALIZED MORTGAGE OBLIGATIONS – 1.7%      
Commercial and residential – 1.5%          
Banc of America Commercial Mortgage Trust
Series 2015-UBS7, Class A4
3.705%, 09/15/2048
  145,000     140,495
BANK          
Series 2017-BNK6, Class A4,
3.254%, 07/15/2060
  2,000,000     1,890,596
Series 2022-BNK39, Class A4,
2.928%, 02/15/2055 (D)
  2,000,000     1,724,307
Total Bond Market Trust (continued)
    Shares or
Principal
Amount
  Value
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
     
Commercial and
residential (continued)
         
BMO Mortgage Trust
Series 2022-C1, Class A5
3.374%, 02/15/2055 (D)
$ 2,000,000   $ 1,779,256
CD Mortgage Trust
Series 2017-CD3, Class A4
3.631%, 02/10/2050
  1,090,000     1,006,561
Commercial Mortgage Trust (Cantor Fitzgerald/Deutsche Bank AG)
Series 2014-CR21, Class A3
3.528%, 12/10/2047
  576,816     564,732
GS Mortgage Securities Trust          
Series 2016-GS4, Class A3,
3.178%, 11/10/2049
  2,846,635     2,707,176
Series 2017-GS5, Class A3,
3.409%, 03/10/2050
  2,742,204     2,562,485
Morgan Stanley Capital Trust
Series 2021-L5, Class A4
2.728%, 05/15/2054
  2,000,000     1,715,011
Wells Fargo Commercial Mortgage Trust
Series 2015-C29, Class AS
4.013%, 06/15/2048 (D)
  500,000     484,877
          14,575,496
U.S. Government Agency – 0.2%          
Federal Home Loan Mortgage Corp.          
Series K041, Class A2,
3.171%, 10/25/2024
  687,736     678,628
Series K047, Class A2,
3.329%, 05/25/2025 (D)
  700,000     685,549
Series K050, Class A2,
3.334%, 08/25/2025 (D)
  700,000     683,468
          2,047,645
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $17,924,023)   $ 16,623,141
ASSET BACKED SECURITIES – 0.5%      
Carmax Auto Owner Trust
Series 2022-4, Class A4
5.700%, 07/17/2028
  1,000,000     1,011,646
GM Financial Automobile Leasing Trust
Series 2023-2, Class A4
5.090%, 05/20/2027
  1,300,000     1,295,934
SMB Private Education Loan Trust
Series 2021-E, Class A1A
1.680%, 02/15/2051 (B)
  982,154     889,965
Toyota Auto Receivables Owner Trust
Series 2023-B, Class A4
4.660%, 09/15/2028
  1,250,000     1,237,137
TOTAL ASSET BACKED SECURITIES (Cost $4,537,440)     $ 4,434,682
SHORT-TERM INVESTMENTS – 0.7%      
Short-term funds – 0.7%          
John Hancock Collateral Trust, 5.2975% (E)(F)   661,036     6,608,639
TOTAL SHORT-TERM INVESTMENTS (Cost $6,610,501)   $ 6,608,639
Total Investments (Total Bond Market Trust)
(Cost $1,018,155,271) – 98.9%
  $ 934,985,169
Other assets and liabilities, net – 1.1%       10,228,954
TOTAL NET ASSETS – 100.0%       $ 945,214,123
Security Abbreviations and Legend
CME CME Group Published Rates
 
  278  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Bond Market Trust (continued)
CMT Constant Maturity Treasury
GO General Obligation
IBOR Interbank Offered Rate
SOFR Secured Overnight Financing Rate
(A) Variable rate obligation. The coupon rate shown represents the rate at period end.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
(C) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $1,027,019.
(D) Variable or floating rate security, the interest rate of which adjusts periodically based on a weighted average of interest rates and prepayments on the underlying pool of assets. The interest rate shown is the current rate as of period end.
(E) The rate shown is the annualized seven-day yield as of 3-31-24.
(F) Investment is an affiliate of the fund, the advisor and/or subadvisor. A portion of this security represents the investment of cash collateral received for securities lending. Market value of this investment amounted to $1,048,803.
Total Stock Market Index Trust
    Shares or
Principal
Amount
  Value
COMMON STOCKS – 97.9%      
Communication services – 8.2%          
Diversified telecommunication services – 0.6%      
Anterix, Inc. (A)   323   $ 10,856
AST SpaceMobile, Inc. (A)(B)   1,573     4,562
AT&T, Inc.   121,205     2,133,208
ATN International, Inc.   291     9,168
Bandwidth, Inc., Class A (A)   431     7,870
Cogent Communications Holdings, Inc.   807     52,721
Consolidated Communications Holdings, Inc. (A)   1,882     8,130
Frontier Communications Parent, Inc. (A)   4,181     102,435
GCI Liberty, Inc. (A)(C)   2,206     0
Globalstar, Inc. (A)   32,237     47,388
IDT Corp., Class B   461     17,430
Iridium Communications, Inc.   2,158     56,453
Liberty Latin America, Ltd., Class C (A)   2,753     19,243
Lumen Technologies, Inc. (A)   17,420     27,175
Ooma, Inc. (A)   477     4,069
Shenandoah Telecommunications Company   901     15,650
Verizon Communications, Inc.   71,220     2,988,391
          5,504,749
Entertainment – 1.2%      
AMC Entertainment Holdings, Inc., Class A (A)(B)   3,402     12,655
Atlanta Braves Holdings, Inc., Series A (A)   829     34,735
Atlanta Braves Holdings, Inc., Series C (A)   131     5,117
Cinemark Holdings, Inc. (A)   2,041     36,677
Electronic Arts, Inc.   4,601     610,415
Endeavor Group Holdings, Inc., Class A   5,168     132,973
Eventbrite, Inc., Class A (A)   1,461     8,006
Kartoon Studios, Inc. (A)   672     921
Liberty Media Corp.-Liberty Formula One, Series A (A)   225     13,217
Liberty Media Corp.-Liberty Formula One, Series C (A)   3,361     220,482
Liberty Media Corp.-Liberty Live, Series A (A)   676     28,629
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Entertainment (continued)      
Liberty Media Corp.-Liberty Live, Series C (A)   827   $ 36,239
Lions Gate Entertainment Corp., Class A (A)   62     617
Lions Gate Entertainment Corp., Class B (A)   4,105     38,218
Live Nation Entertainment, Inc. (A)   3,913     413,878
LiveOne, Inc. (A)   1,309     2,553
Madison Square Garden Entertainment Corp. (A)   678     26,584
Madison Square Garden Sports Corp. (A)   324     59,784
Netflix, Inc. (A)   7,515     4,564,085
Playstudios, Inc. (A)   1,949     5,418
Playtika Holding Corp.   6,300     44,415
Reservoir Media, Inc. (A)   893     7,081
ROBLOX Corp., Class A (A)   9,625     367,483
Roku, Inc. (A)   2,105     137,183
Skillz, Inc. (A)   341     2,213
Sphere Entertainment Company (A)   478     23,460
Take-Two Interactive Software, Inc. (A)   2,886     428,542
The Marcus Corp.   486     6,930
The Walt Disney Company   31,010     3,794,384
TKO Group Holdings, Inc.   1,425     123,134
Vivid Seats, Inc., Class A (A)   1,910     11,441
Warner Brothers Discovery, Inc. (A)   41,547     362,705
Warner Music Group Corp., Class A   2,345     77,432
          11,637,606
Interactive media and services – 5.3%      
Alphabet, Inc., Class A (A)   100,618     15,186,258
Alphabet, Inc., Class C (A)   98,411     14,984,059
Angi, Inc. (A)   1,822     4,774
Bumble, Inc., Class A (A)   2,324     26,377
CarGurus, Inc. (A)   1,735     40,044
Cars.com, Inc. (A)   1,154     19,826
DHI Group, Inc. (A)   630     1,607
EverQuote, Inc., Class A (A)   481     8,927
FuboTV, Inc. (A)   4,863     7,684
Getty Images Holdings, Inc. (A)(B)   6,797     28,208
Grindr, Inc. (A)   2,917     29,549
IAC, Inc. (A)   1,394     74,356
Match Group, Inc. (A)   4,728     171,532
MediaAlpha, Inc., Class A (A)   781     15,909
Meta Platforms, Inc., Class A   37,696     18,304,424
Nextdoor Holdings, Inc. (A)   3,090     6,953
Outbrain, Inc. (A)   712     2,812
Pinterest, Inc., Class A (A)   9,858     341,777
PSQ Holdings, Inc. (A)   454     2,443
QuinStreet, Inc. (A)   983     17,360
Rumble, Inc. (A)(B)   1,926     15,562
Shutterstock, Inc.   615     28,173
Snap, Inc., Class A (A)   23,247     266,876
System1, Inc. (A)   1,641     3,216
Taboola.com, Ltd. (A)   4,985     22,133
The Arena Group Holdings, Inc. (A)   418     493
Travelzoo (A)   162     1,649
TripAdvisor, Inc. (A)   2,105     58,498
TrueCar, Inc. (A)   1,900     6,441
Vimeo, Inc. (A)   2,863     11,710
Yelp, Inc. (A)   1,157     45,586
Zedge, Inc., Class B (A)   130     360
Ziff Davis, Inc. (A)   766     48,289
ZipRecruiter, Inc., Class A (A)   1,452     16,683
 
  279  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Interactive media and services (continued)      
ZoomInfo Technologies, Inc. (A)   6,859   $ 109,950
          49,910,498
Media – 0.7%      
AdTheorent Holding Company, Inc. (A)   1,317     4,228
Advantage Solutions, Inc. (A)   5,394     23,356
Altice USA, Inc., Class A (A)   7,703     20,105
AMC Networks, Inc., Class A (A)   424     5,143
Boston Omaha Corp., Class A (A)   528     8,163
Cable One, Inc.   97     41,044
Cardlytics, Inc. (A)(B)   636     9,216
Charter Communications, Inc., Class A (A)   2,541     738,491
Clear Channel Outdoor Holdings, Inc. (A)   8,831     14,571
Comcast Corp., Class A   69,780     3,024,963
comScore, Inc. (A)   60     924
Cumulus Media, Inc., Class A (A)   131     470
Daily Journal Corp. (A)   14     5,063
EchoStar Corp., Class A (A)   2,407     34,300
Emerald Holding, Inc. (A)   1,284     8,744
Entravision Communications Corp., Class A   1,260     2,066
Fox Corp., Class A   3,858     120,640
Fox Corp., Class B   4,444     127,187
Gannett Company, Inc. (A)   2,798     6,827
Gray Television, Inc.   1,517     9,587
iHeartMedia, Inc., Class A (A)   2,155     4,504
Innovid Corp. (A)   2,304     5,737
John Wiley & Sons, Inc., Class A   781     29,780
Lee Enterprises, Inc. (A)   35     467
Liberty Broadband Corp., Series A (A)   383     21,877
Liberty Broadband Corp., Series C (A)   2,088     119,496
Liberty Media Corp.-Liberty SiriusXM, Series A (A)   2,669     79,269
Liberty Media Corp.-Liberty SiriusXM, Series C (A)   2,722     80,871
LQR House, Inc. (A)   85     114
Magnite, Inc. (A)   2,317     24,908
National CineMedia, Inc. (A)   1,964     10,115
News Corp., Class A   8,727     228,473
News Corp., Class B   1,149     31,092
Nexstar Media Group, Inc.   595     102,513
Nexxen International, Ltd. (A)   81     215
Omnicom Group, Inc.   3,332     322,404
Paramount Global, Class B   10,440     122,879
PubMatic, Inc., Class A (A)   758     17,980
Scholastic Corp.   561     21,155
Sinclair, Inc.   834     11,234
Stagwell, Inc. (A)   1,894     11,781
TechTarget, Inc. (A)   503     16,639
TEGNA, Inc.   3,693     55,173
The EW Scripps Company, Class A (A)   1,348     5,298
The Interpublic Group of Companies, Inc.   6,494     211,899
The New York Times Company, Class A   2,748     118,769
The Trade Desk, Inc., Class A (A)   7,576     662,294
Thryv Holdings, Inc. (A)   494     10,982
Urban One, Inc., Class A (A)   45     122
Urban One, Inc., Class D (A)   387     789
WideOpenWest, Inc. (A)   1,455     5,267
          6,539,184
Wireless telecommunication services – 0.4%      
FingerMotion, Inc. (A)(B)   1,066     2,239
Gogo, Inc. (A)   2,195     19,272
Spok Holdings, Inc.   444     7,082
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Wireless telecommunication services (continued)      
SurgePays, Inc. (A)   154   $ 593
Telephone & Data Systems, Inc.   1,870     29,957
T-Mobile US, Inc.   19,956     3,257,218
United States Cellular Corp. (A)   961     35,077
          3,351,438
          76,943,475
Consumer discretionary – 10.5%          
Automobile components – 0.1%      
Adient PLC (A)   1,572     51,750
American Axle & Manufacturing Holdings, Inc. (A)   1,974     14,529
Autoliv, Inc.   1,436     172,937
BorgWarner, Inc.   3,994     138,752
Cooper-Standard Holdings, Inc. (A)   261     4,322
Dana, Inc.   2,445     31,052
Dorman Products, Inc. (A)   533     51,376
Fox Factory Holding Corp. (A)   736     38,324
Gentex Corp.   3,948     142,602
Gentherm, Inc. (A)   576     33,166
Holley, Inc. (A)   1,926     8,590
LCI Industries   430     52,916
Lear Corp.   989     143,286
Luminar Technologies, Inc. (A)(B)   5,224     10,291
Modine Manufacturing Company (A)   919     87,480
Motorcar Parts of America, Inc. (A)   447     3,594
Patrick Industries, Inc.   414     49,461
PHINIA, Inc.   773     29,706
QuantumScape Corp. (A)(B)   7,236     45,514
Solid Power, Inc. (A)(B)   3,144     6,382
Standard Motor Products, Inc.   404     13,554
Stoneridge, Inc. (A)   529     9,755
Strattec Security Corp. (A)   13     308
Superior Industries International, Inc. (A)   282     818
The Goodyear Tire & Rubber Company (A)   4,787     65,726
Visteon Corp. (A)   475     55,865
XPEL, Inc. (A)   476     25,714
          1,287,770
Automobiles – 1.3%      
Cenntro, Inc. (A)   593     842
Ford Motor Company   66,656     885,192
General Motors Company   23,320     1,057,562
Harley-Davidson, Inc.   2,375     103,883
Lucid Group, Inc. (A)(B)   39,287     111,968
Mullen Automotive, Inc. (A)   72     374
Rivian Automotive, Inc., Class A (A)(B)   16,074     176,010
Tesla, Inc. (A)   53,844     9,465,237
Thor Industries, Inc.   904     106,075
Winnebago Industries, Inc.   534     39,516
          11,946,659
Broadline retail – 3.5%      
1stdibs.com, Inc. (A)   521     3,105
Amazon.com, Inc. (A)   174,034     31,392,253
Big Lots, Inc. (A)   557     2,412
CarParts.com, Inc. (A)   778     1,260
ContextLogic, Inc., Class A (A)   392     2,230
Coupang, Inc. (A)   27,345     486,468
Dillard's, Inc., Class A   217     102,346
eBay, Inc.   9,014     475,759
Etsy, Inc. (A)   2,099     144,243
Groupon, Inc. (A)   572     7,630
Kohl's Corp.   1,853     54,015
Macy's, Inc.   4,590     91,754
Nordstrom, Inc.   2,680     54,324
 
  280  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Broadline retail (continued)      
Ollie's Bargain Outlet Holdings, Inc. (A)   1,046   $ 83,230
Savers Value Village, Inc. (A)   2,756     53,136
          32,954,165
Distributors – 0.1%      
Cheetah Net Supply Chain Service, Inc. (A)   149     301
Genuine Parts Company   2,385     369,508
LKQ Corp.   4,543     242,642
Pool Corp.   663     267,521
Weyco Group, Inc.   249     7,938
          887,910
Diversified consumer services – 0.1%      
ADT, Inc.   14,762     99,201
Adtalem Global Education, Inc. (A)   775     39,835
Allurion Technologies, Inc. (A)   702     1,229
American Public Education, Inc. (A)   372     5,282
Bright Horizons Family Solutions, Inc. (A)   979     110,979
Carriage Services, Inc.   281     7,598
Chegg, Inc. (A)   2,095     15,859
Coursera, Inc. (A)   2,516     35,274
Duolingo, Inc. (A)   600     132,348
European Wax Center, Inc., Class A (A)   852     11,059
frontdoor, Inc. (A)   1,431     46,622
Graham Holdings Company, Class B   54     41,455
Grand Canyon Education, Inc. (A)   512     69,740
H&R Block, Inc.   2,464     121,007
ITT Educational Services, Inc. (A)(C)   608     0
Laureate Education, Inc.   2,848     41,495
Lincoln Educational Services Corp. (A)   363     3,750
Mister Car Wash, Inc. (A)   5,330     41,308
Nerdy, Inc. (A)   1,961     5,707
Perdoceo Education Corp.   1,215     21,335
Regis Corp. (A)   28     204
Service Corp. International   2,562     190,126
Strategic Education, Inc.   434     45,188
Stride, Inc. (A)   726     45,774
The Beachbody Company, Inc. (A)   82     787
Udemy, Inc. (A)   2,582     28,350
Universal Technical Institute, Inc. (A)   464     7,396
Wag! Group Company (A)   614     1,216
WW International, Inc. (A)   1,306     2,416
          1,172,540
Hotels, restaurants and leisure – 2.2%      
Accel Entertainment, Inc. (A)   1,267     14,938
Airbnb, Inc., Class A (A)   7,233     1,193,156
Ambassadors Group, Inc. (A)(C)   714     29
Aramark   4,410     143,413
Bally's Corp. (A)   759     10,580
Biglari Holdings, Inc., Class B (A)   52     9,863
BJ's Restaurants, Inc. (A)   418     15,123
Bloomin' Brands, Inc.   1,512     43,364
Booking Holdings, Inc.   605     2,194,867
Bowlero Corp., Class A (B)   1,682     23,043
Boyd Gaming Corp.   1,660     111,751
Brinker International, Inc. (A)   737     36,614
Caesars Entertainment, Inc. (A)   3,686     161,226
Carnival Corp. (A)   18,976     310,068
Carrols Restaurant Group, Inc.   1,021     9,710
Cava Group, Inc. (A)   1,927     134,986
Century Casinos, Inc. (A)   483     1,526
Chipotle Mexican Grill, Inc. (A)   468     1,360,368
Choice Hotels International, Inc. (B)   855     108,029
Churchill Downs, Inc.   1,282     158,648
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Chuy's Holdings, Inc. (A)   382   $ 12,885
Cracker Barrel Old Country Store, Inc. (B)   380     27,637
Darden Restaurants, Inc.   2,039     340,819
Dave & Buster's Entertainment, Inc. (A)   706     44,196
Denny's Corp. (A)   1,094     9,802
Dine Brands Global, Inc.   262     12,178
Domino's Pizza, Inc.   593     294,650
DoorDash, Inc., Class A (A)   6,203     854,277
DraftKings, Inc., Class A (A)   7,856     356,741
Dutch Bros, Inc., Class A (A)   1,079     35,607
El Pollo Loco Holdings, Inc. (A)   773     7,529
Empire Resorts, Inc. (A)(C)   878     0
Everi Holdings, Inc. (A)   1,572     15,799
Expedia Group, Inc. (A)   2,416     332,804
FAT Brands, Inc., Class A   191     1,452
First Watch Restaurant Group, Inc. (A)   940     23,143
Full House Resorts, Inc. (A)   503     2,802
GAN, Ltd. (A)   632     803
GEN Restaurant Group, Inc. (A)   19     222
Global Business Travel Group I (A)   3,324     19,977
Golden Entertainment, Inc.   521     19,188
Hall of Fame Resort & Entertainment Company (A)   163     585
Hilton Grand Vacations, Inc. (A)   1,878     88,660
Hilton Worldwide Holdings, Inc.   4,448     948,803
Hyatt Hotels Corp., Class A   816     130,250
Inspired Entertainment, Inc. (A)   336     3,313
Jack in the Box, Inc.   352     24,105
Krispy Kreme, Inc. (B)   2,827     43,069
Kura Sushi USA, Inc., Class A (A)   168     19,347
Las Vegas Sands Corp.   12,892     666,516
Life Time Group Holdings, Inc. (A)   3,334     51,744
Light & Wonder, Inc. (A)   1,540     157,219
Lindblad Expeditions Holdings, Inc. (A)   852     7,949
Marriott International, Inc., Class A   5,058     1,276,184
Marriott Vacations Worldwide Corp.   622     67,008
McDonald's Corp.   12,366     3,486,594
MGM Resorts International (A)   5,955     281,136
Monarch Casino & Resort, Inc.   351     26,321
Mondee Holdings, Inc. (A)(B)   2,136     4,934
Nathan's Famous, Inc.   78     5,522
Noodles & Company (A)   1,045     1,996
Norwegian Cruise Line Holdings, Ltd. (A)   7,236     151,449
ONE Group Hospitality, Inc. (A)   431     2,401
Papa John's International, Inc.   597     39,760
Penn Entertainment, Inc. (A)   2,579     46,964
Planet Fitness, Inc., Class A (A)   1,443     90,375
PlayAGS, Inc. (A)   767     6,888
Portillo's, Inc., Class A (A)   899     12,748
Potbelly Corp. (A)   346     4,190
RCI Hospitality Holdings, Inc.   169     9,802
Red Robin Gourmet Burgers, Inc. (A)   308     2,359
Red Rock Resorts, Inc., Class A   982     58,743
Restaurant Brands International LP   82     6,478
Royal Caribbean Cruises, Ltd. (A)   4,340     603,303
Rush Street Interactive, Inc. (A)   1,049     6,829
Sabre Corp. (A)   6,456     15,624
Shake Shack, Inc., Class A (A)   668     69,492
Six Flags Entertainment Corp. (A)   1,387     36,506
Soho House & Company, Inc. (A)   1,226     6,951
Sonder Holdings, Inc. (A)   202     598
Starbucks Corp.   19,443     1,776,896
Sweetgreen, Inc., Class A (A)   1,683     42,513
 
  281  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Hotels, restaurants and leisure (continued)      
Target Hospitality Corp. (A)   1,732   $ 18,827
Texas Roadhouse, Inc.   1,118     172,697
The Cheesecake Factory, Inc.   892     32,246
The Wendy's Company   3,468     65,337
Travel + Leisure Company   1,360     66,586
United Parks & Resorts, Inc. (A)   1,089     61,213
Vacasa, Inc. (A)   219     1,494
Vail Resorts, Inc.   655     145,954
Wingstop, Inc.   506     185,398
Wyndham Hotels & Resorts, Inc.   1,417     108,755
Wynn Resorts, Ltd.   1,932     197,508
Xponential Fitness, Inc., Class A (A)   517     8,551
Yum! Brands, Inc.   4,756     659,419
          20,459,922
Household durables – 0.5%      
Bassett Furniture Industries, Inc.   199     2,937
Beazer Homes USA, Inc. (A)   450     14,760
Cavco Industries, Inc. (A)   155     61,854
Century Communities, Inc.   552     53,268
D.R. Horton, Inc.   5,749     945,998
Dream Finders Homes, Inc., Class A (A)   686     29,999
Ethan Allen Interiors, Inc.   426     14,727
Flexsteel Industries, Inc.   139     5,185
GoPro, Inc., Class A (A)   2,431     5,421
Green Brick Partners, Inc. (A)   849     51,135
Hamilton Beach Brands Holding Company, Class A   205     4,994
Hamilton Beach Brands Holding Company, Class B   241     5,871
Helen of Troy, Ltd. (A)   403     46,442
Hooker Furnishings Corp.   257     6,171
Hovnanian Enterprises, Inc., Class A (A)   111     17,420
Installed Building Products, Inc.   498     128,848
iRobot Corp. (A)   489     4,284
KB Home   1,321     93,632
Landsea Homes Corp. (A)   541     7,861
La-Z-Boy, Inc.   740     27,839
Legacy Housing Corp. (A)   491     10,566
Leggett & Platt, Inc.   2,187     41,881
Lennar Corp., Class A   4,288     737,450
LGI Homes, Inc. (A)   402     46,781
Lifetime Brands, Inc.   274     2,872
Live Ventures, Inc. (A)   20     539
M/I Homes, Inc. (A)   450     61,331
MDC Holdings, Inc.   1,179     74,171
Meritage Homes Corp.   609     106,855
Mohawk Industries, Inc. (A)   1,079     141,230
Newell Brands, Inc.   7,038     56,515
NVR, Inc. (A)   56     453,598
PulteGroup, Inc.   3,689     444,967
Purple Innovation, Inc.   1,862     3,240
SharkNinja, Inc.   2,356     146,755
Skyline Champion Corp. (A)   980     83,310
Snap One Holdings Corp. (A)   1,112     9,585
Sonos, Inc. (A)   2,163     41,227
Taylor Morrison Home Corp. (A)   1,795     111,595
Tempur Sealy International, Inc.   2,895     164,494
The Lovesac Company (A)   280     6,328
Toll Brothers, Inc.   1,782     230,537
TopBuild Corp. (A)   536     236,231
Traeger, Inc. (A)   2,091     5,290
Tri Pointe Homes, Inc. (A)   1,571     60,735
Tupperware Brands Corp. (A)   610     817
United Homes Group, Inc. (A)   180     1,258
Universal Electronics, Inc. (A)   236     2,362
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Household durables (continued)      
Vizio Holding Corp., Class A (A)   2,079   $ 22,744
VOXX International Corp. (A)   506     4,129
Whirlpool Corp.   915     109,461
Worthington Enterprises, Inc.   815     50,717
          4,998,217
Leisure products – 0.1%      
Acushnet Holdings Corp.   1,122     73,996
American Outdoor Brands, Inc. (A)   307     2,702
AMMO, Inc. (A)   1,841     5,063
Brunswick Corp.   1,164     112,349
Clarus Corp.   550     3,713
Escalade, Inc.   328     4,510
Funko, Inc., Class A (A)   815     5,086
Hasbro, Inc.   2,355     133,105
JAKKS Pacific, Inc. (A)   134     3,310
Johnson Outdoors, Inc., Class A   178     8,208
Latham Group, Inc. (A)   1,897     7,512
Malibu Boats, Inc., Class A (A)   367     15,884
Marine Products Corp.   742     8,719
MasterCraft Boat Holdings, Inc. (A)   348     8,255
Mattel, Inc. (A)   6,064     120,128
Peloton Interactive, Inc., Class A (A)   5,871     25,157
Polaris, Inc.   955     95,615
Smith & Wesson Brands, Inc.   903     15,676
Solo Brands, Inc., Class A (A)   944     2,048
SRM Entertainment, Inc. (A)   170     270
Sturm Ruger & Company, Inc.   325     14,999
Topgolf Callaway Brands Corp. (A)   3,178     51,388
Vista Outdoor, Inc. (A)   980     32,124
YETI Holdings, Inc. (A)   1,473     56,784
          806,601
Specialty retail – 2.1%      
1-800-Flowers.com, Inc., Class A (A)   562     6,086
Abercrombie & Fitch Company, Class A (A)   842     105,528
Academy Sports & Outdoors, Inc.   1,278     86,316
Advance Auto Parts, Inc.   1,014     86,281
American Eagle Outfitters, Inc.   3,303     85,184
America's Car-Mart, Inc. (A)   117     7,473
Arhaus, Inc.   962     14,805
Arko Corp.   1,801     10,266
Asbury Automotive Group, Inc. (A)   359     84,645
AutoNation, Inc. (A)   735     121,701
AutoZone, Inc. (A)   308     970,708
Bath & Body Works, Inc.   3,879     194,028
Best Buy Company, Inc.   3,678     301,706
Beyond, Inc. (A)   765     27,471
Big 5 Sporting Goods Corp.   321     1,130
Boot Barn Holdings, Inc. (A)   511     48,622
Brilliant Earth Group, Inc., Class A (A)   312     933
Build-A-Bear Workshop, Inc.   196     5,855
Burlington Stores, Inc. (A)   1,103     256,106
Caleres, Inc.   581     23,838
Camping World Holdings, Inc., Class A   715     19,913
CarMax, Inc. (A)   2,689     234,239
Carvana Company (A)(B)   1,933     169,930
Chewy, Inc., Class A (A)   2,085     33,172
Citi Trends, Inc. (A)   105     2,849
Conn's, Inc. (A)   510     1,709
Designer Brands, Inc., Class A   872     9,531
Destination XL Group, Inc. (A)   773     2,783
Dick's Sporting Goods, Inc.   1,039     233,630
Duluth Holdings, Inc., Class B (A)   700     3,430
Envela Corp. (A)   290     1,340
EVgo, Inc. (A)(B)   1,776     4,458
 
  282  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
Five Below, Inc. (A)   951   $ 172,492
Floor & Decor Holdings, Inc., Class A (A)   1,801     233,446
Foot Locker, Inc.   1,586     45,201
GameStop Corp., Class A (A)(B)   5,203     65,142
Genesco, Inc. (A)   197     5,544
Group 1 Automotive, Inc.   231     67,505
Grove Collaborative Holdings (A)   525     877
GrowGeneration Corp. (A)   1,030     2,946
Guess?, Inc.   938     29,519
Haverty Furniture Companies, Inc.   273     9,315
Hibbett, Inc.   222     17,052
Jjill, Inc. (A)   116     3,709
Kirkland's, Inc. (A)   147     354
Lands' End, Inc. (A)   492     5,358
Lazydays Holdings, Inc. (A)   227     915
Leslie's, Inc. (A)   3,127     20,326
Lithia Motors, Inc.   463     139,298
LL Flooring Holdings, Inc. (A)   631     1,155
Lowe's Companies, Inc.   9,787     2,493,043
MarineMax, Inc. (A)   323     10,743
Monro, Inc.   568     17,915
Murphy USA, Inc.   362     151,750
National Vision Holdings, Inc. (A)   1,337     29,628
OneWater Marine, Inc., Class A (A)   187     5,264
O'Reilly Automotive, Inc. (A)   1,023     1,154,844
Penske Automotive Group, Inc.   1,129     182,887
Petco Health & Wellness Company, Inc. (A)   4,065     9,268
PetMed Express, Inc.   391     1,873
Revolve Group, Inc. (A)   697     14,755
RH (A)   356     123,981
Ross Stores, Inc.   5,791     849,887
RumbleON, Inc., Class B (A)   281     1,815
Sally Beauty Holdings, Inc. (A)   1,774     22,033
Shoe Carnival, Inc.   500     18,320
Signet Jewelers, Ltd.   762     76,253
Sleep Number Corp. (A)   378     6,059
Sonic Automotive, Inc., Class A   415     23,630
Sportsman's Warehouse Holdings, Inc. (A)   611     1,900
Stitch Fix, Inc., Class A (A)   1,692     4,467
The Aaron's Company, Inc.   635     4,763
The Buckle, Inc.   804     32,377
The Cato Corp., Class A   469     2,706
The Children's Place, Inc. (A)   202     2,331
The Container Store Group, Inc. (A)   887     1,011
The Gap, Inc.   6,223     171,444
The Home Depot, Inc.   16,959     6,505,472
The ODP Corp. (A)   730     38,727
The RealReal, Inc. (A)   2,001     7,824
The TJX Companies, Inc.   19,430     1,970,591
ThredUp, Inc., Class A (A)   1,553     3,106
Tile Shop Holdings, Inc. (A)   357     2,510
Tilly's, Inc., Class A (A)   296     2,013
Torrid Holdings, Inc. (A)(B)   1,698     8,286
Tractor Supply Company   1,847     483,397
Ulta Beauty, Inc. (A)   838     438,173
Upbound Group, Inc.   1,004     35,351
Urban Outfitters, Inc. (A)   1,562     67,822
Valvoline, Inc. (A)   2,301     102,556
Victoria's Secret & Company (A)   1,346     26,085
Vroom, Inc. (A)   27     363
Warby Parker, Inc., Class A (A)   1,643     22,361
Wayfair, Inc., Class A (A)   1,530     103,856
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Specialty retail (continued)      
Williams-Sonoma, Inc.   1,081   $ 343,250
Winmark Corp.   60     21,702
Zumiez, Inc. (A)   371     5,635
          19,579,847
Textiles, apparel and luxury goods – 0.5%      
Carter's, Inc.   599     50,723
Columbia Sportswear Company   1,031     83,697
Crocs, Inc. (A)   1,046     150,415
Deckers Outdoor Corp. (A)   443     416,978
Delta Apparel, Inc. (A)   81     242
Figs, Inc., Class A (A)   2,725     13,571
G-III Apparel Group, Ltd. (A)   722     20,945
Hanesbrands, Inc. (A)   5,901     34,226
Kontoor Brands, Inc.   919     55,370
Levi Strauss & Company, Class A   1,731     34,603
Lululemon Athletica, Inc. (A)   2,061     805,130
Movado Group, Inc.   291     8,128
NIKE, Inc., Class B   20,814     1,956,100
Oxford Industries, Inc.   276     31,022
PVH Corp.   1,049     147,500
Ralph Lauren Corp.   679     127,489
Rocky Brands, Inc.   90     2,442
Skechers USA, Inc., Class A (A)   2,270     139,060
Steven Madden, Ltd.   1,321     55,852
Superior Group of Companies, Inc.   407     6,724
Tapestry, Inc.   3,835     182,086
Under Armour, Inc., Class A (A)   6,449     47,594
Under Armour, Inc., Class C (A)   358     2,556
Unifi, Inc. (A)   438     2,624
Vera Bradley, Inc. (A)   673     4,576
VF Corp.   6,636     101,796
Wolverine World Wide, Inc.   1,318     14,775
          4,496,224
          98,589,855
Consumer staples – 5.9%          
Beverages – 1.3%      
Brown-Forman Corp., Class B   5,315     274,360
Celsius Holdings, Inc. (A)   3,935     326,290
Coca-Cola Consolidated, Inc.   141     119,344
Constellation Brands, Inc., Class A   3,105     843,815
Keurig Dr. Pepper, Inc.   23,738     728,044
MGP Ingredients, Inc.   372     32,040
Molson Coors Beverage Company, Class B   3,370     226,633
Monster Beverage Corp. (A)   17,826     1,056,725
National Beverage Corp. (A)   1,586     75,272
PepsiCo, Inc.   23,369     4,089,809
The Boston Beer Company, Inc., Class A (A)   171     52,056
The Coca-Cola Company   73,405     4,490,918
The Duckhorn Portfolio, Inc. (A)   1,957     18,220
The Vita Coco Company, Inc. (A)   939     22,940
Zevia PBC, Class A (A)   777     909
          12,357,375
Consumer staples distribution and retail – 2.1%      
Albertsons Companies, Inc., Class A   9,731     208,633
BJ's Wholesale Club Holdings, Inc. (A)   2,282     172,633
Casey's General Stores, Inc.   631     200,942
Costco Wholesale Corp.   7,514     5,504,982
Dollar General Corp.   3,735     582,884
Dollar Tree, Inc. (A)   3,736     497,448
Grocery Outlet Holding Corp. (A)   1,667     47,976
Ingles Markets, Inc., Class A   254     19,477
Natural Grocers by Vitamin Cottage, Inc.   475     8,574
 
  283  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer staples distribution and retail (continued)      
Performance Food Group Company (A)   2,633   $ 196,527
PriceSmart, Inc.   525     44,100
SpartanNash Company   638     12,894
Sprouts Farmers Market, Inc. (A)   1,774     114,388
Sysco Corp.   8,554     694,414
Target Corp.   7,828     1,387,200
The Andersons, Inc.   652     37,405
The Chefs' Warehouse, Inc. (A)   665     25,044
The Kroger Company   12,157     694,529
U.S. Foods Holding Corp. (A)   4,161     224,569
United Natural Foods, Inc. (A)   998     11,467
Village Super Market, Inc., Class A   305     8,726
Walgreens Boots Alliance, Inc.   14,627     317,260
Walmart, Inc.   137,058     8,246,780
Weis Markets, Inc.   464     29,882
          19,288,734
Food products – 0.9%      
Alico, Inc.   182     5,329
Archer-Daniels-Midland Company   9,145     574,397
B&G Foods, Inc. (B)   1,224     14,003
Beyond Meat, Inc. (A)(B)   1,108     9,174
BranchOut Food, Inc. (A)   56     101
BRC, Inc., Class A (A)(B)   952     4,075
Bunge Global SA   2,548     261,221
Calavo Growers, Inc.   340     9,455
Cal-Maine Foods, Inc.   745     43,843
Campbell Soup Company   5,045     224,250
Conagra Brands, Inc.   8,003     237,209
Darling Ingredients, Inc. (A)   2,724     126,693
Dole PLC   1,376     16,416
Farmer Brothers Company (A)   162     578
Flowers Foods, Inc.   3,522     83,648
Forafric Global PLC (A)   356     3,688
Fresh Del Monte Produce, Inc.   851     22,049
Freshpet, Inc. (A)   815     94,426
General Mills, Inc.   9,889     691,933
Hormel Foods Corp.   9,341     325,907
Ingredion, Inc.   1,094     127,834
J&J Snack Foods Corp.   325     46,982
John B Sanfilippo & Son, Inc.   166     17,583
Kellanova   5,794     331,938
Lamb Weston Holdings, Inc.   2,471     263,236
Lancaster Colony Corp.   463     96,133
Lifeway Foods, Inc. (A)   167     2,876
Limoneira Company   387     7,570
Mama's Creations, Inc. (A)   413     2,065
McCormick & Company, Inc.   4,278     328,593
Mission Produce, Inc. (A)   1,061     12,594
Mondelez International, Inc., Class A   23,072     1,615,040
Pilgrim's Pride Corp. (A)   4,013     137,726
Post Holdings, Inc. (A)   1,024     108,831
Real Good Food Company, Inc. (A)   471     170
Seaboard Corp.   19     61,254
Seneca Foods Corp., Class A (A)   139     7,909
The Hain Celestial Group, Inc. (A)   1,558     12,246
The Hershey Company   2,559     497,726
The J.M. Smucker Company   1,797     226,188
The Kraft Heinz Company   20,764     766,192
The Simply Good Foods Company (A)   1,681     57,204
Tootsie Roll Industries, Inc.   756     24,215
TreeHouse Foods, Inc. (A)   936     36,457
Tyson Foods, Inc., Class A   4,852     284,958
Utz Brands, Inc.   1,319     24,322
Vital Farms, Inc. (A)   628     14,601
Westrock Coffee Company (A)(B)   1,497     15,464
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Food products (continued)      
Whole Earth Brands, Inc. (A)   663   $ 3,202
WK Kellogg Company   1,404     26,395
          7,905,899
Household products – 1.0%      
Central Garden & Pet Company, Class A (A)   1,151     42,495
Church & Dwight Company, Inc.   4,182     436,224
Colgate-Palmolive Company   13,999     1,260,610
Energizer Holdings, Inc.   1,190     35,034
Kimberly-Clark Corp.   5,721     740,011
Oil-Dri Corp. of America   119     8,873
Reynolds Consumer Products, Inc.   3,527     100,731
Spectrum Brands Holdings, Inc.   679     60,438
The Clorox Company   2,094     320,612
The Procter & Gamble Company   39,998     6,489,676
WD-40 Company   231     58,515
          9,553,219
Personal care products – 0.2%      
BellRing Brands, Inc. (A)   2,190     129,276
Coty, Inc., Class A (A)   15,091     180,488
e.l.f. Beauty, Inc. (A)   917     179,760
Edgewell Personal Care Company   876     33,849
Herbalife, Ltd. (A)   1,740     17,487
Inter Parfums, Inc.   538     75,594
Kenvue, Inc.   32,547     698,459
Lifevantage Corp.   67     405
Medifast, Inc.   188     7,204
Nature's Sunshine Products, Inc. (A)   585     12,150
Nu Skin Enterprises, Inc., Class A   854     11,811
Olaplex Holdings, Inc. (A)   11,283     21,663
The Beauty Health Company (A)   2,356     10,461
The Estee Lauder Companies, Inc., Class A   3,950     608,893
The Honest Company, Inc. (A)   1,445     5,852
USANA Health Sciences, Inc. (A)   350     16,975
Waldencast PLC, Class A (A)(B)   1,714     11,141
          2,021,468
Tobacco – 0.4%      
Altria Group, Inc.   30,004     1,308,774
Ispire Technology, Inc. (A)   898     5,505
Philip Morris International, Inc.   26,317     2,411,164
Turning Point Brands, Inc.   333     9,757
Universal Corp.   426     22,033
Vector Group, Ltd.   2,598     28,474
          3,785,707
          54,912,402
Energy – 3.9%          
Energy equipment and services – 0.4%      
Archrock, Inc.   2,767     54,427
Atlas Energy Solutions, Inc.   1,694     38,318
Baker Hughes Company   17,176     575,396
Bristow Group, Inc. (A)   434     11,805
Cactus, Inc., Class A   1,108     55,500
ChampionX Corp.   3,351     120,267
Core Laboratories, Inc.   706     12,058
Diamond Offshore Drilling, Inc. (A)   1,475     20,119
DMC Global, Inc. (A)   314     6,120
Dril-Quip, Inc. (A)   654     14,735
Energy Services of America Corp.   134     1,106
Expro Group Holdings NV (A)   1,853     37,004
Forum Energy Technologies, Inc. (A)   95     1,898
Geospace Technologies Corp. (A)   128     1,688
Halliburton Company   15,274     602,101
 
  284  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Energy equipment and services (continued)      
Helix Energy Solutions Group, Inc. (A)   2,742   $ 29,723
Helmerich & Payne, Inc.   1,763     74,152
KLX Energy Services Holdings, Inc. (A)   168     1,300
Kodiak Gas Services, Inc.   1,159     31,687
Liberty Energy, Inc.   2,877     59,611
Mammoth Energy Services, Inc. (A)   729     2,654
Nabors Industries, Ltd. (A)   160     13,781
National Energy Services Reunited Corp. (A)   308     2,464
Natural Gas Services Group, Inc. (A)   113     2,196
Newpark Resources, Inc. (A)   1,689     12,195
Nine Energy Service, Inc. (A)(B)   508     1,138
NOV, Inc.   6,635     129,515
Oceaneering International, Inc. (A)   1,715     40,131
Oil States International, Inc. (A)   1,266     7,799
Patterson-UTI Energy, Inc.   7,055     84,237
Profire Energy, Inc. (A)   196     363
ProFrac Holding Corp., Class A (A)   2,818     23,558
ProPetro Holding Corp. (A)   1,736     14,027
Ranger Energy Services, Inc.   274     3,093
RPC, Inc.   3,715     28,754
Schlumberger, Ltd.   24,128     1,322,456
SEACOR Marine Holdings, Inc. (A)   374     5,214
Select Water Solutions, Inc.   1,836     16,946
Smart Sand, Inc. (A)   446     852
Solaris Oilfield Infrastructure, Inc., Class A   160     1,387
TETRA Technologies, Inc. (A)   1,874     8,302
Tidewater, Inc. (A)   880     80,960
U.S. Silica Holdings, Inc. (A)   1,120     13,899
USA Compression Partners LP   325     8,668
Valaris, Ltd. (A)   1,240     93,322
Weatherford International PLC (A)   1,215     140,235
          3,807,161
Oil, gas and consumable fuels – 3.5%      
Aemetis, Inc. (A)   638     3,822
American Resources Corp. (A)   1,063     1,499
Amplify Energy Corp. (A)   487     3,219
Antero Midstream Corp.   7,998     112,452
Antero Resources Corp. (A)   5,112     148,248
APA Corp.   5,181     178,123
Ardmore Shipping Corp.   494     8,111
Baytex Energy Corp.   2,142     7,775
Berry Corp.   547     4,403
California Resources Corp.   1,147     63,200
Callon Petroleum Company (A)   1,113     39,801
Centrus Energy Corp., Class A (A)   232     9,635
Cheniere Energy, Inc.   4,081     658,184
Chesapeake Energy Corp. (B)   2,234     198,446
Chevron Corp.   33,063     5,215,358
Chord Energy Corp.   673     119,956
Civitas Resources, Inc.   1,569     119,103
Clean Energy Fuels Corp. (A)   3,925     10,519
CNX Resources Corp. (A)   2,780     65,942
Comstock Resources, Inc.   4,682     43,449
ConocoPhillips   20,328     2,587,348
CONSOL Energy, Inc.   572     47,911
Coterra Energy, Inc.   12,805     357,003
Crescent Energy Company, Class A   1,330     15,827
CrossAmerica Partners LP   406     9,253
CVR Energy, Inc.   1,658     59,124
Delek Logistics Partners LP   100     4,099
Delek US Holdings, Inc.   1,194     36,704
Devon Energy Corp.   10,906     547,263
Diamondback Energy, Inc.   3,023     599,068
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Dorchester Minerals LP   322   $ 10,858
Dorian LPG, Ltd.   704     27,076
DT Midstream, Inc.   1,562     95,438
Empire Petroleum Corp. (A)(B)   414     2,116
Encore Energy Corp. (A)(B)   2,459     10,770
Energy Transfer LP   455     7,157
EOG Resources, Inc.   9,866     1,261,269
EQT Corp.   6,980     258,749
Equitrans Midstream Corp.   7,277     90,890
Evolution Petroleum Corp.   128     786
Excelerate Energy, Inc., Class A   304     4,870
Exxon Mobil Corp.   68,627     7,977,202
FutureFuel Corp.   986     7,937
Genesis Energy LP   454     5,048
Global Partners LP   158     7,012
Granite Ridge Resources, Inc.   2,083     13,540
Green Plains, Inc. (A)   1,075     24,854
Gulfport Energy Corp. (A)   303     48,516
Hallador Energy Company (A)   431     2,297
Harvest Natural Resources, Inc. (A)(C)   270     0
Hess Corp.   5,216     796,170
Hess Midstream LP, Class A   142     5,130
HF Sinclair Corp.   3,093     186,724
HighPeak Energy, Inc. (B)   281     4,431
International Seaways, Inc.   788     41,922
Kimbell Royalty Partners LP   1,094     16,979
Kinder Morgan, Inc.   37,496     687,677
Kinetik Holdings, Inc.   825     32,893
Kosmos Energy, Ltd. (A)   7,764     46,273
Lightbridge Corp. (A)   191     563
Magnolia Oil & Gas Corp., Class A (B)   3,178     82,469
Marathon Oil Corp.   10,194     288,898
Marathon Petroleum Corp.   6,751     1,360,327
Matador Resources Company   1,994     133,139
Murphy Oil Corp.   2,547     116,398
NACCO Industries, Inc., Class A   132     3,986
Natural Resource Partners LP   59     5,428
New Fortress Energy, Inc. (B)   3,486     106,637
Next Bridge Hydrocarbons, Inc. (A)(C)   2,456     639
NextDecade Corp. (A)   4,380     24,878
Northern Oil and Gas, Inc.   1,469     58,290
Occidental Petroleum Corp.   15,013     975,695
ONEOK, Inc.   9,836     788,552
OPAL Fuels, Inc., Class A (A)   419     2,103
Overseas Shipholding Group, Inc., Class A   726     4,646
Ovintiv, Inc.   4,594     238,429
Par Pacific Holdings, Inc. (A)   980     36,319
PBF Energy, Inc., Class A   2,149     123,718
Peabody Energy Corp.   2,328     56,477
Permian Resources Corp.   8,560     151,170
Phillips 66   7,529     1,229,787
Pioneer Natural Resources Company   3,952     1,037,400
PrimeEnergy Resources Corp. (A)   2     201
Range Resources Corp.   4,124     141,989
REX American Resources Corp. (A)   379     22,251
Riley Exploration Permian, Inc.   305     10,065
Ring Energy, Inc. (A)   2,196     4,304
SandRidge Energy, Inc.   486     7,081
SFL Corp., Ltd.   2,278     30,024
SilverBow Resources, Inc. (A)   380     12,973
Sitio Royalties Corp., Class A   1,303     32,210
SM Energy Company   2,008     100,099
Southwestern Energy Company (A)   18,673     141,541
Talos Energy, Inc. (A)   2,073     28,877
 
  285  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Oil, gas and consumable fuels (continued)      
Targa Resources Corp.   3,784   $ 423,770
Teekay Corp. (A)   2,030     14,778
Tellurian, Inc. (A)(B)   9,089     6,011
Texas Pacific Land Corp.   393     227,354
The Williams Companies, Inc.   20,517     799,547
Uranium Energy Corp. (A)   6,357     42,910
VAALCO Energy, Inc.   1,457     10,155
Valero Energy Corp.   5,972     1,019,361
Vertex Energy, Inc. (A)   1,493     2,090
Viper Energy, Inc.   515     19,807
Vital Energy, Inc. (A)   448     23,538
Vitesse Energy, Inc.   455     10,797
W&T Offshore, Inc.   2,125     5,631
World Kinect Corp.   1,088     28,778
          32,941,519
          36,748,680
Financials – 13.6%          
Banks – 3.5%      
1st Source Corp.   500     26,210
ACNB Corp.   46     1,730
Amalgamated Financial Corp.   337     8,088
Amerant Bancorp, Inc.   649     15,115
American National Bankshares, Inc.   218     10,412
Ameris Bancorp   1,207     58,395
Ames National Corp.   260     5,247
Arrow Financial Corp.   409     10,233
Associated Banc-Corp.   2,550     54,851
Atlantic Union Bankshares Corp.   1,383     48,834
Axos Financial, Inc. (A)   1,046     56,526
Banc of California, Inc.   2,584     39,303
BancFirst Corp.   540     47,536
Bank First Corp.   146     12,654
Bank of America Corp.   134,812     5,112,071
Bank of Hawaii Corp. (B)   678     42,300
Bank of Marin Bancorp   328     5,501
Bank OZK   1,946     88,465
Bank7 Corp.   59     1,664
BankFinancial Corp.   481     5,051
BankUnited, Inc.   1,357     37,996
Bankwell Financial Group, Inc.   211     5,473
Banner Corp.   610     29,280
Bar Harbor Bankshares   409     10,830
BayCom Corp.   336     6,925
BCB Bancorp, Inc.   437     4,567
Berkshire Hills Bancorp, Inc.   847     19,413
Blue Foundry Bancorp (A)   99     927
Blue Ridge Bankshares, Inc.   277     745
BOK Financial Corp.   1,125     103,500
Bridgewater Bancshares, Inc. (A)   655     7,624
Brookline Bancorp, Inc.   2,130     21,215
Burke & Herbert Financial Services Corp.   96     5,379
Business First Bancshares, Inc.   293     6,528
Byline Bancorp, Inc.   787     17,094
C&F Financial Corp.   3     147
Cadence Bank   3,163     91,727
California BanCorp (A)   6     132
Cambridge Bancorp   93     6,339
Camden National Corp.   332     11,129
Capital City Bank Group, Inc.   400     11,080
Capitol Federal Financial, Inc.   1,954     11,646
Capstar Financial Holdings, Inc.   374     7,517
Carter Bankshares, Inc. (A)   91     1,150
Cathay General Bancorp   1,047     39,608
Central Pacific Financial Corp.   579     11,435
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Chemung Financial Corp.   36   $ 1,529
ChoiceOne Financial Services, Inc.   26     711
Citigroup, Inc.   32,629     2,063,458
Citizens & Northern Corp.   324     6,085
Citizens Financial Group, Inc.   7,910     287,054
Citizens Financial Services, Inc.   32     1,574
City Holding Company   280     29,182
Civista Bancshares, Inc.   342     5,260
CNB Financial Corp.   426     8,686
Coastal Financial Corp. (A)   164     6,375
Codorus Valley Bancorp, Inc.   267     6,077
Columbia Banking System, Inc.   3,639     70,415
Columbia Financial, Inc. (A)   1,909     32,854
Comerica, Inc.   2,165     119,053
Commerce Bancshares, Inc.   2,233     118,796
Community Bank System, Inc.   864     41,498
Community Trust Bancorp, Inc.   310     13,222
Community West Bancshares   295     5,868
ConnectOne Bancorp, Inc.   882     17,199
CrossFirst Bankshares, Inc. (A)   504     6,975
Cullen/Frost Bankers, Inc.   1,087     122,364
Customers Bancorp, Inc. (A)   501     26,583
CVB Financial Corp.   2,219     39,587
Dime Community Bancshares, Inc.   776     14,946
Eagle Bancorp, Inc.   547     12,849
East West Bancorp, Inc.   2,372     187,649
Eastern Bankshares, Inc.   2,956     40,734
Enterprise Bancorp, Inc.   293     7,609
Enterprise Financial Services Corp.   742     30,096
Equity Bancshares, Inc., Class A   331     11,376
Esquire Financial Holdings, Inc.   215     10,206
Farmers & Merchants Bancorp, Inc.   119     2,653
Farmers National Banc Corp.   190     2,538
FB Financial Corp.   908     34,195
Fidelity D&D Bancorp, Inc.   44     2,131
Fifth Third Bancorp   11,483     427,282
Financial Institutions, Inc.   396     7,453
First Bancorp (North Carolina)   684     24,706
First Bancorp (Puerto Rico)   3,172     55,637
First Bank   7     96
First Busey Corp.   1,120     26,936
First Citizens BancShares, Inc., Class A   229     374,415
First Commonwealth Financial Corp.   1,842     25,641
First Community Bankshares, Inc.   247     8,554
First Financial Bancorp   1,737     38,944
First Financial Bankshares, Inc.   2,447     80,286
First Financial Corp.   283     10,847
First Foundation, Inc.   847     6,395
First Guaranty Bancshares, Inc.   60     609
First Hawaiian, Inc.   2,278     50,025
First Horizon Corp.   9,462     145,715
First Internet Bancorp   220     7,643
First Interstate BancSystem, Inc., Class A   1,855     50,475
First Merchants Corp.   955     33,330
First Mid Bancshares, Inc.   182     5,948
First Western Financial, Inc. (A)   37     539
Five Star Bancorp   96     2,160
Flushing Financial Corp.   465     5,864
FNB Corp.   5,943     83,796
Fulton Financial Corp.   2,397     38,088
FVCBankcorp, Inc. (A)   533     6,492
German American Bancorp, Inc.   635     21,996
Glacier Bancorp, Inc.   1,905     76,733
Great Southern Bancorp, Inc.   260     14,253
 
  286  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Greene County Bancorp, Inc.   263   $ 7,572
Guaranty Bancshares, Inc.   278     8,440
Hancock Whitney Corp.   1,414     65,101
Hanmi Financial Corp.   645     10,268
HarborOne Bancorp, Inc.   1,175     12,526
HBT Financial, Inc.   263     5,008
Heartland Financial USA, Inc.   771     27,101
Heritage Commerce Corp.   1,034     8,872
Heritage Financial Corp.   708     13,728
Hilltop Holdings, Inc.   1,026     32,134
Home Bancorp, Inc.   185     7,087
Home BancShares, Inc.   3,307     81,253
HomeStreet, Inc.   395     5,945
HomeTrust Bancshares, Inc.   65     1,777
Hope Bancorp, Inc.   2,344     26,979
Horizon Bancorp, Inc.   928     11,906
Huntington Bancshares, Inc.   24,317     339,222
Independent Bank Corp. (Massachusetts)   711     36,986
Independent Bank Corp. (Michigan)   491     12,447
Independent Bank Group, Inc.   753     34,374
International Bancshares Corp.   997     55,972
Investar Holding Corp.   319     5,219
John Marshall Bancorp, Inc.   165     2,957
JPMorgan Chase & Co.   49,297     9,874,189
Kearny Financial Corp.   1,435     9,241
KeyCorp   15,731     248,707
Lakeland Bancorp, Inc.   1,308     15,827
Lakeland Financial Corp.   456     30,242
Live Oak Bancshares, Inc.   804     33,374
M&T Bank Corp.   2,813     409,123
Macatawa Bank Corp.   926     9,066
Mercantile Bank Corp.   362     13,933
Metrocity Bankshares, Inc.   190     4,742
Metropolitan Bank Holding Corp. (A)   184     7,084
Middlefield Banc Corp.   15     358
Midland States Bancorp, Inc.   539     13,545
MidWestOne Financial Group, Inc.   336     7,876
MVB Financial Corp.   285     6,358
National Bank Holdings Corp., Class A   697     25,141
National Bankshares, Inc.   168     5,613
NBT Bancorp, Inc.   714     26,190
New York Community Bancorp, Inc. (B)   12,121     39,030
Nicolet Bankshares, Inc.   223     19,176
Northeast Bank   72     3,984
Northfield Bancorp, Inc.   1,000     9,720
Northrim BanCorp, Inc.   150     7,577
Northwest Bancshares, Inc.   2,105     24,523
Norwood Financial Corp.   211     5,741
NU Holdings, Ltd., Class A (A)   61,149     729,508
OceanFirst Financial Corp.   1,155     18,954
OFG Bancorp   931     34,270
Old National Bancorp   4,774     83,115
Old Second Bancorp, Inc.   816     11,293
Orange County Bancorp, Inc.   55     2,530
Origin Bancorp, Inc.   516     16,120
Pacific Premier Bancorp, Inc.   1,453     34,872
Park National Corp.   247     33,555
Pathward Financial, Inc.   521     26,300
Peapack-Gladstone Financial Corp.   397     9,659
Peoples Bancorp of North Carolina, Inc.   98     2,729
Peoples Bancorp, Inc.   711     21,053
Pinnacle Financial Partners, Inc.   1,287     110,528
Plumas Bancorp   29     1,067
Ponce Financial Group, Inc. (A)   702     6,248
Popular, Inc.   1,197     105,444
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Preferred Bank   294   $ 22,570
Premier Financial Corp.   804     16,321
Primis Financial Corp.   655     7,971
Princeton Bancorp, Inc.   226     6,956
Prosperity Bancshares, Inc.   1,578     103,801
Provident Bancorp, Inc. (A)   206     1,875
Provident Financial Services, Inc.   1,019     14,847
QCR Holdings, Inc.   349     21,198
RBB Bancorp   407     7,330
Red River Bancshares, Inc.   155     7,717
Regions Financial Corp.   15,788     332,180
Renasant Corp.   1,005     31,477
Republic Bancorp, Inc., Class A   350     17,850
S&T Bancorp, Inc.   768     24,637
Sandy Spring Bancorp, Inc.   750     17,385
Seacoast Banking Corp. of Florida   1,405     35,673
ServisFirst Bancshares, Inc.   918     60,918
Shore Bancshares, Inc.   488     5,612
Sierra Bancorp   373     7,535
Simmons First National Corp., Class A   2,304     44,836
South Plains Financial, Inc.   415     11,105
Southern First Bancshares, Inc. (A)   207     6,574
Southern Missouri Bancorp, Inc.   206     9,004
Southern States Bancshares, Inc.   23     596
Southside Bancshares, Inc.   667     19,496
SouthState Corp.   1,302     110,709
Stellar Bancorp, Inc.   998     24,311
Sterling Bancorp, Inc. (A)   1,248     6,440
Stock Yards Bancorp, Inc.   481     23,526
Summit Financial Group, Inc.   329     8,936
Synovus Financial Corp.   2,472     99,028
Territorial Bancorp, Inc.   238     1,918
Texas Capital Bancshares, Inc. (A)   863     53,118
TFS Financial Corp.   4,638     58,253
The Bancorp, Inc. (A)   1,009     33,761
The Bank of NT Butterfield & Son, Ltd.   696     22,265
The First Bancorp, Inc.   302     7,441
The First Bancshares, Inc.   337     8,745
The First of Long Island Corp.   570     6,321
The Hingham Institution for Savings   22     3,838
The PNC Financial Services Group, Inc.   6,755     1,091,608
Third Coast Bancshares, Inc. (A)   95     1,902
Timberland Bancorp, Inc.   79     2,127
Tompkins Financial Corp.   290     14,584
Towne Bank   1,355     38,021
TriCo Bancshares   622     22,877
Triumph Financial, Inc. (A)   443     35,139
Truist Financial Corp.   22,565     879,584
Trustmark Corp.   1,112     31,258
U.S. Bancorp   25,939     1,159,473
UMB Financial Corp.   801     69,679
United Bankshares, Inc.   2,216     79,311
United Community Banks, Inc.   1,970     51,850
Unity Bancorp, Inc.   266     7,342
Univest Financial Corp.   651     13,554
USCB Financial Holdings, Inc.   81     923
Valley National Bancorp   8,371     66,633
Veritex Holdings, Inc.   1,027     21,043
Virginia National Bankshares Corp.   22     662
WaFd, Inc.   1,407     40,845
Washington Trust Bancorp, Inc.   335     9,005
Webster Financial Corp.   2,933     148,908
Wells Fargo & Company   62,070     3,597,577
WesBanco, Inc.   1,118     33,328
West BanCorp, Inc.   410     7,310
 
  287  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Banks (continued)      
Westamerica BanCorp   365   $ 17,841
Western Alliance Bancorp   1,851     118,816
Western New England Bancorp, Inc.   652     5,001
Wintrust Financial Corp.   1,028     107,313
WSFS Financial Corp.   1,111     50,151
Zions Bancorp NA   2,467     107,068
          33,183,123
Capital markets – 3.1%      
Affiliated Managers Group, Inc.   575     96,295
AlTi Global, Inc. (A)(B)   1,269     7,183
Ameriprise Financial, Inc.   1,732     759,378
Ares Management Corp., Class A   3,071     408,382
Artisan Partners Asset Management, Inc., Class A   1,162     53,185
AssetMark Financial Holdings, Inc. (A)   1,278     45,254
Associated Capital Group, Inc., Class A   130     4,252
B. Riley Financial, Inc. (B)   521     11,030
Bain Capital Specialty Finance, Inc.   569     8,922
Barings BDC, Inc.   1,343     12,490
BGC Group, Inc., Class A   6,413     49,829
BlackRock TCP Capital Corp.   1,316     13,726
BlackRock, Inc.   2,531     2,110,095
Blue Owl Capital, Inc.   7,652     144,317
Bridge Investment Group Holdings, Inc., Class A   617     4,226
Brightsphere Investment Group, Inc.   516     11,785
Capital Southwest Corp.   445     11,107
Carlyle Secured Lending, Inc.   398     6,479
Cboe Global Markets, Inc.   1,782     327,407
CME Group, Inc.   6,102     1,313,700
Cohen & Steers, Inc.   825     63,434
Coinbase Global, Inc., Class A (A)   3,223     854,482
Diamond Hill Investment Group, Inc.   65     10,021
Donnelley Financial Solutions, Inc. (A)   521     32,307
Evercore, Inc., Class A   649     124,991
FactSet Research Systems, Inc.   647     293,990
Federated Hermes, Inc.   1,473     53,205
Fidus Investment Corp.   537     10,600
Forge Global Holdings, Inc. (A)   2,990     5,771
Franklin Resources, Inc.   8,351     234,747
GCM Grosvenor, Inc., Class A   326     3,149
Gladstone Capital Corp.   801     8,595
Gladstone Investment Corp. (B)   740     10,530
Golub Capital BDC, Inc.   297     4,939
Hamilton Lane, Inc., Class A   644     72,617
Heritage Global, Inc. (A)   163     430
Houlihan Lokey, Inc.   861     110,372
Interactive Brokers Group, Inc., Class A   1,815     202,754
Intercontinental Exchange, Inc.   9,499     1,305,448
Invesco, Ltd.   7,425     123,181
Jefferies Financial Group, Inc.   3,627     159,951
KKR & Company, Inc.   14,548     1,463,238
Lazard, Inc.   1,838     76,957
LPL Financial Holdings, Inc.   1,295     342,139
MarketAxess Holdings, Inc.   638     139,882
MarketWise, Inc.   333     576
MidCap Financial Investment Corp.   512     7,700
Moelis & Company, Class A   1,086     61,652
Moody's Corp.   3,112     1,223,109
Morgan Stanley   28,099     2,645,802
Morningstar, Inc.   724     223,260
MSCI, Inc.   1,342     752,124
Nasdaq, Inc.   9,798     618,254
Northern Trust Corp.   3,495     310,775
Open Lending Corp. (A)   2,053     12,852
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Capital markets (continued)      
Oppenheimer Holdings, Inc., Class A   169   $ 6,746
P10, Inc., Class A   510     4,294
P10, Inc., Class B   665     5,599
Patria Investments, Ltd., Class A   804     11,931
PennantPark Floating Rate Capital, Ltd.   759     8,637
PennantPark Investment Corp.   1,644     11,311
Perella Weinberg Partners   815     11,516
Piper Sandler Companies   301     59,745
PJT Partners, Inc., Class A   382     36,007
Portman Ridge Finance Corp.   262     4,973
Raymond James Financial, Inc.   3,538     454,350
Robinhood Markets, Inc., Class A (A)   13,337     268,474
S&P Global, Inc.   5,401     2,297,855
SEI Investments Company   2,164     155,592
SLR Investment Corp.   420     6,447
State Street Corp.   5,386     416,446
Stellus Capital Investment Corp.   468     6,121
StepStone Group, Inc., Class A   1,110     39,671
Stifel Financial Corp.   1,737     135,781
StoneX Group, Inc. (A)   526     36,957
T. Rowe Price Group, Inc.   3,778     460,614
The Bank of New York Mellon Corp.   13,140     757,127
The Blackstone Group, Inc.   12,036     1,581,169
The Carlyle Group, Inc.   6,064     284,462
The Charles Schwab Corp.   30,045     2,173,455
The Goldman Sachs Group, Inc.   5,584     2,332,381
TPG, Inc.   1,243     55,562
Tradeweb Markets, Inc., Class A   1,947     202,819
TriplePoint Venture Growth BDC Corp. (B)   568     5,385
Victory Capital Holdings, Inc., Class A   1,216     51,595
Virtu Financial, Inc., Class A   1,673     34,330
Virtus Investment Partners, Inc.   128     31,741
WhiteHorse Finance, Inc. (B)   557     6,907
WisdomTree, Inc.   2,831     26,017
          28,944,893
Consumer finance – 0.6%      
Ally Financial, Inc.   5,047     204,858
American Express Company   12,489     2,843,620
Atlanticus Holdings Corp. (A)   234     6,924
Bread Financial Holdings, Inc.   803     29,904
Capital One Financial Corp.   6,457     961,383
Consumer Portfolio Services, Inc. (A)   274     2,071
Credit Acceptance Corp. (A)   216     119,135
Discover Financial Services   4,239     555,691
Encore Capital Group, Inc. (A)   412     18,791
Enova International, Inc. (A)   563     35,373
EZCORP, Inc., Class A (A)   1,126     12,758
FirstCash Holdings, Inc.   788     100,502
Green Dot Corp., Class A (A)   978     9,125
Janover, Inc. (A)   196     237
Katapult Holdings, Inc. (A)   67     781
LendingClub Corp. (A)   1,736     15,259
LendingTree, Inc. (A)   258     10,924
Medallion Financial Corp.   151     1,194
MoneyLion, Inc. (A)   168     11,982
Navient Corp.   2,060     35,844
Nelnet, Inc., Class A   437     41,362
NerdWallet, Inc., Class A (A)   759     11,157
OneMain Holdings, Inc.   1,956     99,932
Oportun Financial Corp. (A)   521     1,266
PRA Group, Inc. (A)   701     18,282
PROG Holdings, Inc.   872     30,032
Regional Management Corp.   205     4,963
SLM Corp.   3,985     86,833
 
  288  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Consumer finance (continued)      
SoFi Technologies, Inc. (A)(B)   16,154   $ 117,924
Synchrony Financial   7,012     302,357
Upstart Holdings, Inc. (A)(B)   1,423     38,264
World Acceptance Corp. (A)   124     17,978
          5,746,706
Financial services – 4.3%      
Acacia Research Corp. (A)   1,288     6,865
Affirm Holdings, Inc. (A)   4,061     151,313
Alerus Financial Corp.   116     2,532
A-Mark Precious Metals, Inc.   482     14,793
Apollo Global Management, Inc.   9,616     1,081,319
AppTech Payments Corp. (A)   347     333
AvidXchange Holdings, Inc. (A)   3,403     44,749
Banco Latinoamericano de Comercio Exterior SA, Class E   282     8,353
Berkshire Hathaway, Inc., Class A (A)   10     6,344,400
Berkshire Hathaway, Inc., Class B (A)   22,229     9,347,739
Block, Inc. (A)   9,333     789,385
Cannae Holdings, Inc. (A)   1,206     26,821
Cantaloupe, Inc. (A)   1,078     6,932
Cass Information Systems, Inc.   256     12,332
Corebridge Financial, Inc. (B)   10,621     305,141
Corpay, Inc. (A)   1,251     385,984
Enact Holdings, Inc.   2,605     81,224
Equitable Holdings, Inc.   5,745     218,367
Euronet Worldwide, Inc. (A)   845     92,891
Federal Agricultural Mortgage Corp., Class C   173     34,060
Federal National Mortgage Association (A)   1,695     2,661
Fidelity National Information Services, Inc.   10,065     746,622
Fiserv, Inc. (A)   10,343     1,653,018
Flywire Corp. (A)   2,041     50,637
Global Payments, Inc.   4,404     588,639
i3 Verticals, Inc., Class A (A)   424     9,705
International Money Express, Inc. (A)   537     12,260
Jack Henry & Associates, Inc.   1,235     214,557
Jackson Financial, Inc., Class A   1,348     89,157
LoanDepot, Inc., Class A (A)   1,079     2,795
Marqeta, Inc., Class A (A)   8,125     48,425
Mastercard, Inc., Class A   15,860     7,637,700
Merchants Bancorp   829     35,796
MGIC Investment Corp.   4,516     100,978
Mr. Cooper Group, Inc. (A)   1,103     85,979
NCR Atleos Corp. (A)   1,141     22,535
NewtekOne, Inc.   477     5,247
NMI Holdings, Inc., Class A (A)   1,463     47,313
Ocwen Financial Corp. (A)   165     4,457
PagSeguro Digital, Ltd., Class A (A)   3,424     48,895
Paymentus Holdings, Inc., Class A (A)   578     13,150
Payoneer Global, Inc. (A)   6,129     29,787
PayPal Holdings, Inc. (A)   18,638     1,248,560
Paysign, Inc. (A)   1,105     4,044
PennyMac Financial Services, Inc.   824     75,058
Radian Group, Inc.   2,549     85,315
Remitly Global, Inc. (A)   3,097     64,232
Repay Holdings Corp. (A)   1,527     16,797
Rocket Companies, Inc., Class A (A)   499     7,260
Ryvyl, Inc. (A)   102     296
Shift4 Payments, Inc., Class A (A)   956     63,163
The Western Union Company   6,144     85,893
Toast, Inc., Class A (A)   7,003     174,515
TrustCo Bank Corp. NY   400     11,264
UWM Holdings Corp.   1,321     9,590
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Financial services (continued)      
Visa, Inc., Class A   27,260   $ 7,607,721
Voya Financial, Inc.   1,745     128,990
Walker & Dunlop, Inc.   566     57,200
WEX, Inc. (A)   722     171,497
          40,217,241
Insurance – 2.0%      
Aflac, Inc.   10,089     866,242
Ambac Financial Group, Inc. (A)   676     10,566
American Coastal Insurance Corp. (A)   797     8,520
American Equity Investment Life Holding Company (A)   1,334     74,997
American Financial Group, Inc.   1,411     192,573
American International Group, Inc.   12,062     942,887
AMERISAFE, Inc.   412     20,670
Aon PLC, Class A   3,447     1,150,333
Arch Capital Group, Ltd. (A)   6,331     585,238
Arthur J. Gallagher & Company   3,667     916,897
Assurant, Inc.   893     168,098
Assured Guaranty, Ltd.   997     86,988
Axis Capital Holdings, Ltd.   1,428     92,849
Brighthouse Financial, Inc. (A)   1,236     63,703
Brown & Brown, Inc.   4,800     420,192
BRP Group, Inc., Class A (A)   1,071     30,995
Cincinnati Financial Corp.   2,646     328,554
CNA Financial Corp.   4,553     206,797
CNO Financial Group, Inc.   2,084     57,268
Crawford & Company, Class B   843     7,646
Donegal Group, Inc., Class A   786     11,114
eHealth, Inc. (A)   490     2,955
Employers Holdings, Inc.   594     26,962
Enstar Group, Ltd. (A)   268     83,284
Erie Indemnity Company, Class A   782     314,028
Everest Group, Ltd.   732     290,970
F&G Annuities & Life, Inc.   2,114     85,723
Fidelity National Financial, Inc.   4,589     243,676
First American Financial Corp.   1,708     104,273
Genworth Financial, Inc., Class A (A)   7,613     48,952
Globe Life, Inc.   1,604     186,657
GoHealth, Inc., Class A (A)   146     1,534
Goosehead Insurance, Inc., Class A (A)   399     26,581
Hagerty, Inc., Class A (A)   1,692     15,482
HCI Group, Inc.   170     19,734
Heritage Insurance Holdings, Inc. (A)   734     7,817
Hippo Holdings, Inc. (A)   410     7,491
Horace Mann Educators Corp.   841     31,109
Investors Title Company   50     8,160
James River Group Holdings, Ltd.   559     5,199
Kemper Corp.   1,124     69,598
Kingsway Financial Services, Inc. (A)   273     2,277
Kinsale Capital Group, Inc.   393     206,223
Lemonade, Inc. (A)(B)   1,177     19,315
Lincoln National Corp.   2,877     91,863
Loews Corp.   3,748     293,431
Maiden Holdings, Ltd. (A)   1,154     2,597
Markel Group, Inc. (A)   227     345,376
Marsh & McLennan Companies, Inc.   8,381     1,726,318
MBIA, Inc. (A)   1,050     7,098
Mercury General Corp.   1,013     52,271
MetLife, Inc.   12,739     944,087
National Western Life Group, Inc., Class A   56     27,550
NI Holdings, Inc. (A)   641     9,711
Old Republic International Corp.   4,621     141,957
Oscar Health, Inc., Class A (A)   3,277     48,729
Palomar Holdings, Inc. (A)   466     39,065
 
  289  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Insurance (continued)      
Primerica, Inc.   609   $ 154,053
Principal Financial Group, Inc.   4,082     352,317
ProAssurance Corp. (A)   1,099     14,133
Prudential Financial, Inc.   6,106     716,844
Reinsurance Group of America, Inc.   1,098     211,782
RenaissanceRe Holdings, Ltd.   868     204,006
RLI Corp.   774     114,916
Root, Inc., Class A (A)   229     13,987
Ryan Specialty Holdings, Inc.   1,981     109,946
Safety Insurance Group, Inc.   323     26,547
Selective Insurance Group, Inc.   1,007     109,934
SelectQuote, Inc. (A)   2,755     5,510
SiriusPoint, Ltd. (A)   2,693     34,228
Skyward Specialty Insurance Group, Inc. (A)   586     21,922
Stewart Information Services Corp.   487     31,684
The Allstate Corp.   4,426     765,742
The Hanover Insurance Group, Inc.   581     79,115
The Hartford Financial Services Group, Inc.   5,106     526,173
The Progressive Corp.   9,929     2,053,516
The Travelers Companies, Inc.   3,861     888,571
Tiptree, Inc.   526     9,089
Trupanion, Inc. (A)(B)   706     19,493
United Fire Group, Inc.   546     11,886
Universal Insurance Holdings, Inc.   656     13,330
Unum Group   3,283     176,166
W.R. Berkley Corp.   4,337     383,564
White Mountains Insurance Group, Ltd.   44     78,949
          18,908,583
Mortgage real estate investment trusts – 0.1%      
AG Mortgage Investment Trust, Inc.   80     490
AGNC Investment Corp.   11,114     110,029
Angel Oak Mortgage REIT, Inc.   248     2,664
Annaly Capital Management, Inc.   8,302     163,466
Apollo Commercial Real Estate Finance, Inc.   2,544     28,340
Arbor Realty Trust, Inc.   3,040     40,280
Ares Commercial Real Estate Corp.   789     5,878
ARMOUR Residential REIT, Inc.   952     18,821
Blackstone Mortgage Trust, Inc., Class A   2,768     55,111
BrightSpire Capital, Inc.   2,589     17,838
Chicago Atlantic Real Estate Finance, Inc.   109     1,719
Chimera Investment Corp.   3,772     17,389
Claros Mortgage Trust, Inc.   2,186     21,335
Dynex Capital, Inc.   611     7,607
Ellington Financial, Inc.   880     10,393
Ellington Residential Mortgage REIT   471     3,255
Franklin BSP Realty Trust, Inc.   961     12,839
Granite Point Mortgage Trust, Inc.   1,105     5,271
Great Ajax Corp.   553     2,101
Hannon Armstrong Sustainable Infrastructure Capital, Inc.   1,797     51,035
Invesco Mortgage Capital, Inc.   429     4,153
KKR Real Estate Finance Trust, Inc.   1,084     10,905
Ladder Capital Corp.   2,439     27,146
MFA Financial, Inc.   1,816     20,721
New York Mortgage Trust, Inc.   1,306     9,403
Orchid Island Capital, Inc.   563     5,028
PennyMac Mortgage Investment Trust   1,708     25,073
Ready Capital Corp.   2,537     23,163
Redwood Trust, Inc.   2,127     13,549
Rithm Capital Corp.   7,947     88,689
Starwood Property Trust, Inc.   5,131     104,313
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Mortgage real estate investment trusts (continued)      
TPG RE Finance Trust, Inc.   1,656   $ 12,784
Two Harbors Investment Corp.   1,453     19,238
          940,026
          127,940,572
Health care – 12.0%          
Biotechnology – 2.3%      
2seventy bio, Inc. (A)   861     4,606
4D Molecular Therapeutics, Inc. (A)   715     22,780
89bio, Inc. (A)   1,291     15,027
Aadi Bioscience, Inc. (A)   448     1,048
AbbVie, Inc.   29,936     5,451,346
Abeona Therapeutics, Inc. (A)   374     2,712
Absci Corp. (A)   1,544     8,770
ACADIA Pharmaceuticals, Inc. (A)   2,764     51,106
ACELYRIN, Inc. (A)   1,690     11,408
Achieve Life Sciences, Inc. (A)   340     1,545
Achillion Pharmaceuticals, Inc. (A)(C)   3,410     5,181
Acrivon Therapeutics, Inc. (A)   401     2,867
Actinium Pharmaceuticals, Inc. (A)   482     3,774
Acumen Pharmaceuticals, Inc. (A)   1,496     6,059
Acurx Pharmaceuticals, Inc. (A)   299     733
Adicet Bio, Inc. (A)   778     1,828
ADMA Biologics, Inc. (A)   3,669     24,215
Aduro Biotech, Inc. (A)(C)   312     773
Adverum Biotechnologies, Inc. (A)   172     2,432
Aeon Biopharma, Inc. (A)   613     7,111
Aerovate Therapeutics, Inc. (A)   459     13,573
Agios Pharmaceuticals, Inc. (A)   969     28,334
Akebia Therapeutics, Inc. (A)(B)   2,951     5,400
Akero Therapeutics, Inc. (A)   959     24,224
Akouos, Inc.  (A)(C)   504     912
Alaunos Therapeutics, Inc. (A)   267     483
Albireo Pharma, Inc. (A)(C)   301     647
Aldeyra Therapeutics, Inc. (A)   1,138     3,721
Alector, Inc. (A)   1,508     9,078
Alkermes PLC (A)   2,804     75,904
Allakos, Inc. (A)   1,473     1,856
Allogene Therapeutics, Inc. (A)   2,900     12,963
Alnylam Pharmaceuticals, Inc. (A)   2,127     317,880
Alpine Immune Sciences, Inc. (A)   980     38,847
Altimmune, Inc. (A)   866     8,816
ALX Oncology Holdings, Inc. (A)   836     9,321
Ambit Biosciences Corp. (A)(C)   515     278
Amgen, Inc.   9,069     2,578,498
Amicus Therapeutics, Inc. (A)   4,860     57,251
AnaptysBio, Inc. (A)   530     11,936
Anavex Life Sciences Corp. (A)(B)   1,400     7,126
Anika Therapeutics, Inc. (A)   288     7,315
Annexon, Inc. (A)   896     6,424
Annovis Bio, Inc. (A)(B)   176     2,094
Apellis Pharmaceuticals, Inc. (A)   2,000     117,560
Apogee Therapeutics, Inc. (A)(B)   622     41,332
Applied Therapeutics, Inc. (A)   1,285     8,738
Arbutus Biopharma Corp. (A)   2,618     6,754
Arcellx, Inc. (A)   817     56,822
Arcturus Therapeutics Holdings, Inc. (A)   445     15,028
Arcus Biosciences, Inc. (A)   1,293     24,412
Arcutis Biotherapeutics, Inc. (A)   1,627     16,124
Ardelyx, Inc. (A)   3,663     26,740
Arrowhead Pharmaceuticals, Inc. (A)   1,837     52,538
ARS Pharmaceuticals, Inc. (A)   1,994     20,379
Assembly Biosciences, Inc. (A)   73     971
Astria Therapeutics, Inc. (A)   629     8,853
aTyr Pharma, Inc. (A)   949     1,851
Aura Biosciences, Inc. (A)   851     6,680
 
  290  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Avid Bioservices, Inc. (A)   1,088   $ 7,290
Avidity Biosciences, Inc. (A)   1,272     32,461
Avita Medical, Inc. (A)   399     6,396
Avrobio, Inc. (A)   384     492
Beam Therapeutics, Inc. (A)   1,374     45,397
BioAtla, Inc. (A)   872     3,000
BioCryst Pharmaceuticals, Inc. (A)   3,365     17,094
Biogen, Inc. (A)   2,458     530,019
Biohaven, Ltd. (A)   1,362     74,488
BioMarin Pharmaceutical, Inc. (A)   3,205     279,925
Biomea Fusion, Inc. (A)(B)   602     9,000
Bioxcel Therapeutics, Inc. (A)   520     1,466
Black Diamond Therapeutics, Inc. (A)(B)   960     4,867
Blueprint Medicines Corp. (A)   1,029     97,611
Bridgebio Pharma, Inc. (A)   2,749     84,999
C4 Therapeutics, Inc. (A)   807     6,593
Cabaletta Bio, Inc. (A)   668     11,396
Capricor Therapeutics, Inc. (A)   749     5,086
Cardiff Oncology, Inc. (A)   1,316     7,027
CareDx, Inc. (A)   890     9,425
Caribou Biosciences, Inc. (A)   1,504     7,731
Carisma Therapeutics, Inc. (A)   710     1,612
Catalyst Pharmaceuticals, Inc. (A)   1,778     28,341
Celcuity, Inc. (A)   382     8,251
Celldex Therapeutics, Inc. (A)   936     39,284
CEL-SCI Corp. (A)   784     1,497
Century Therapeutics, Inc. (A)   977     4,084
Cerevel Therapeutics Holdings, Inc. (A)   3,055     129,135
Checkpoint Therapeutics, Inc. (A)   395     810
Chinook Therapeutics, Inc. (A)(C)   965     376
Cibus, Inc. (A)   331     7,434
Cogent Biosciences, Inc. (A)   1,512     10,161
Coherus Biosciences, Inc. (A)   1,807     4,319
Compass Therapeutics, Inc. (A)   2,271     4,497
Concert Pharmaceuticals, Inc. (A)(C)   1,064     394
Corbus Pharmaceuticals Holdings, Inc. (A)   70     2,747
Corvus Pharmaceuticals, Inc. (A)   733     1,305
Coya Therapeutics, Inc. (A)   129     1,280
Crinetics Pharmaceuticals, Inc. (A)   1,129     52,848
Cue Biopharma, Inc. (A)   664     1,255
Cullinan Oncology, Inc. (A)   722     12,303
Curis, Inc. (A)   100     1,087
Cyteir Therapeutics, Inc. (A)   445     1,339
Cytokinetics, Inc. (A)   1,628     114,139
CytomX Therapeutics, Inc. (A)   1,192     2,599
Day One Biopharmaceuticals, Inc. (A)   1,493     24,664
Decibel Therapeutics, Inc. (A)(C)   543     494
Deciphera Pharmaceuticals, Inc. (A)   1,351     21,251
Denali Therapeutics, Inc. (A)   2,406     49,371
DermTech, Inc. (A)   588     413
Design Therapeutics, Inc. (A)   983     3,961
DiaMedica Therapeutics, Inc. (A)   576     1,596
Dianthus Therapeutics, Inc. (A)   297     8,910
Disc Medicine, Inc. (A)   422     26,274
Dynavax Technologies Corp. (A)   2,167     26,892
Dyne Therapeutics, Inc. (A)   1,032     29,298
Eagle Pharmaceuticals, Inc. (A)   259     1,357
Editas Medicine, Inc. (A)   1,375     10,203
EFFECTOR Therapeutics, Inc. (A)   48     691
Eiger BioPharmaceuticals, Inc. (A)   29     145
Eledon Pharmaceuticals, Inc. (A)   333     686
Elicio Therapeutics, Inc. (A)   157     1,193
Emergent BioSolutions, Inc. (A)(B)   921     2,330
Enanta Pharmaceuticals, Inc. (A)   370     6,460
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Entrada Therapeutics, Inc. (A)   552   $ 7,822
Erasca, Inc. (A)   2,674     5,508
Exact Sciences Corp. (A)   3,073     212,221
Exelixis, Inc. (A)   5,398     128,095
Fate Therapeutics, Inc. (A)   1,685     12,368
Fennec Pharmaceuticals, Inc. (A)   338     3,759
FibroGen, Inc. (A)   1,670     3,925
Flexion Therapeutics, Inc. (A)(C)   867     684
Foghorn Therapeutics, Inc. (A)   730     4,898
Fortress Biotech, Inc. (A)   260     520
G1 Therapeutics, Inc. (A)   826     3,568
Gain Therapeutics, Inc. (A)   238     897
Genelux Corp. (A)(B)   553     3,556
Generation Bio Company (A)   1,114     4,534
Genprex, Inc. (A)   27     80
Geron Corp. (A)   8,968     29,594
Gilead Sciences, Inc.   21,124     1,547,333
GlycoMimetics, Inc. (A)   933     2,799
Greenwich Lifesciences, Inc. (A)(B)   209     4,167
Gritstone bio, Inc. (A)   1,496     3,845
GTX Corp. (A)(C)   38     0
Halozyme Therapeutics, Inc. (A)   2,283     92,872
Heron Therapeutics, Inc. (A)(B)   2,289     6,341
HilleVax, Inc. (A)   827     13,753
Humacyte, Inc. (A)   1,763     5,483
Icosavax, Inc. (A)(C)   737     228
Ideaya Biosciences, Inc. (A)   966     42,388
IGM Biosciences, Inc. (A)(B)   556     5,365
Immuneering Corp., Class A (A)   498     1,439
Immunic, Inc. (A)(B)   884     1,167
ImmunityBio, Inc. (A)(B)   7,980     42,853
Immunome, Inc. (A)(B)   718     17,720
Immunovant, Inc. (A)   2,453     79,256
Incyte Corp. (A)   3,815     217,341
Inhibrx, Inc. (A)   735     25,696
Inmune Bio, Inc. (A)   459     5,393
Inovio Pharmaceuticals, Inc. (A)   375     5,205
Inozyme Pharma, Inc. (A)   1,315     10,073
Insmed, Inc. (A)   2,459     66,713
Instil Bio, Inc. (A)   108     1,166
Intellia Therapeutics, Inc. (A)   1,551     42,668
Invivyd, Inc. (A)   1,879     8,343
Ionis Pharmaceuticals, Inc. (A)   2,436     105,601
Iovance Biotherapeutics, Inc. (A)   4,218     62,511
Ironwood Pharmaceuticals, Inc. (A)   2,657     23,142
iTeos Therapeutics, Inc. (A)   639     8,716
Janux Therapeutics, Inc. (A)   795     29,932
Jasper Therapeutics, Inc. (A)   189     5,549
Jounce Therapeutics, Inc. (A)(C)   372     3
KALA BIO, Inc. (A)   46     361
KalVista Pharmaceuticals, Inc. (A)   562     6,665
Karyopharm Therapeutics, Inc. (A)   1,953     2,949
Keros Therapeutics, Inc. (A)   504     33,365
Kiniksa Pharmaceuticals, Ltd., Class A (A)   636     12,548
Kinnate Biopharma, Inc. (A)   772     2,054
Kodiak Sciences, Inc. (A)   899     4,729
Krystal Biotech, Inc. (A)   474     84,339
Kura Oncology, Inc. (A)   1,238     26,407
Kymera Therapeutics, Inc. (A)   941     37,828
Lantern Pharma, Inc. (A)   174     1,531
Larimar Therapeutics, Inc. (A)   731     5,548
Leap Therapeutics, Inc. (A)   445     1,184
Legend Biotech Corp., ADR (A)   3,101     173,935
LENZ Therapeutics, Inc.   127     2,836
 
  291  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Lexicon Pharmaceuticals, Inc. (A)(B)   4,170   $ 10,008
Lyell Immunopharma, Inc. (A)   4,297     9,582
MacroGenics, Inc. (A)   1,159     17,060
Madrigal Pharmaceuticals, Inc. (A)   336     89,725
Magenta Therapeutics, Inc. (A)(C)   2,418     118
MannKind Corp. (A)   4,556     20,639
Marker Therapeutics, Inc. (A)   115     495
MEI Pharma, Inc.   30     120
MeiraGTx Holdings PLC (A)   980     5,949
Merrimack Pharmaceuticals, Inc. (A)   204     3,013
Mersana Therapeutics, Inc. (A)   2,026     9,076
MiMedx Group, Inc. (A)   1,835     14,130
Mineralys Therapeutics, Inc. (A)   721     9,308
Minerva Neurosciences, Inc. (A)   96     248
Mirati Therapeutics, Inc. (A)(C)   902     631
Mirum Pharmaceuticals, Inc. (A)   802     20,146
Moderna, Inc. (A)   6,472     689,656
Molecular Templates, Inc. (A)   89     199
Monte Rosa Therapeutics, Inc. (A)   877     6,183
Morphic Holding, Inc. (A)   824     29,005
Mural Oncology PLC (A)   277     1,355
Myriad Genetics, Inc. (A)   1,391     29,656
Natera, Inc. (A)   1,947     178,073
Neurocrine Biosciences, Inc. (A)   1,654     228,120
Neurogene, Inc. (A)   24     1,222
NextCure, Inc. (A)   542     1,209
Nkarta, Inc. (A)   800     8,648
Northwest Biotherapeutics, Inc. (A)   3,461     1,796
Novavax, Inc. (A)(B)   2,069     9,890
Nurix Therapeutics, Inc. (A)   813     11,951
Nuvalent, Inc., Class A (A)   968     72,687
Nuvectis Pharma, Inc. (A)   299     2,452
Olema Pharmaceuticals, Inc. (A)   918     10,392
Omega Therapeutics, Inc. (A)(B)   931     3,398
Omthera Pharmaceuticals, Inc. (A)(C)   498     0
Oncocyte Corp. (A)   173     507
Organogenesis Holdings, Inc. (A)   2,172     6,168
ORIC Pharmaceuticals, Inc. (A)   1,082     14,878
Ovid therapeutics, Inc. (A)   1,130     3,447
Palatin Technologies, Inc. (A)   161     301
Paratek Pharmaceuticals, Inc. (A)(C)   901     72
Pardes Biosciences, Inc. (A)(C)   703     21
PDL BioPharma, Inc. (A)(C)   1,734     1,040
PDS Biotechnology Corp. (A)(B)   567     2,245
PepGen, Inc. (A)   412     6,056
PMV Pharmaceuticals, Inc. (A)   842     1,431
Poseida Therapeutics, Inc. (A)   1,586     5,059
Praxis Precision Medicines, Inc. (A)   142     8,665
Precigen, Inc. (A)(B)   4,162     6,035
Precision BioSciences, Inc. (A)   64     868
Prelude Therapeutics, Inc. (A)   793     3,759
Prime Medicine, Inc. (A)(B)   1,737     12,159
Protagonist Therapeutics, Inc. (A)   971     28,091
Protalix BioTherapeutics, Inc. (A)   640     806
Prothena Corp. PLC (A)   935     23,160
PTC Therapeutics, Inc. (A)   1,303     37,904
Puma Biotechnology, Inc. (A)   890     4,717
Pyxis Oncology, Inc. (A)   721     3,071
Quince Therapeutics, Inc. (A)   502     532
Rallybio Corp. (A)   675     1,249
RAPT Therapeutics, Inc. (A)   543     4,876
Recursion Pharmaceuticals, Inc., Class A (A)(B)   3,544     35,334
Regeneron Pharmaceuticals, Inc. (A)   1,811     1,743,069
REGENXBIO, Inc. (A)   771     16,245
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Relay Therapeutics, Inc. (A)   2,121   $ 17,604
Reneo Pharmaceuticals, Inc. (A)   651     1,081
Renovaro, Inc. (A)   872     2,311
Replimune Group, Inc. (A)   1,061     8,668
REVOLUTION Medicines, Inc. (A)   2,798     90,180
Rhythm Pharmaceuticals, Inc. (A)   961     41,640
Rocket Pharmaceuticals, Inc. (A)   1,524     41,057
Sage Therapeutics, Inc. (A)   1,031     19,321
Sagimet Biosciences, Inc., Class A (A)   339     1,837
Sana Biotechnology, Inc. (A)   3,359     33,590
Sarepta Therapeutics, Inc. (A)   1,587     205,453
Savara, Inc. (A)   2,744     13,665
Scholar Rock Holding Corp. (A)   1,218     21,632
Sera Prognostics, Inc., Class A (A)   489     4,450
Soleno Therapeutics, Inc. (A)   512     21,914
Spectrum Pharmaceuticals, Inc. (A)(C)   3,285     263
Spero Therapeutics, Inc. (A)   623     1,072
SpringWorks Therapeutics, Inc. (A)   1,067     52,518
Spruce Biosciences, Inc. (A)   637     501
Spyre Therapeutics, Inc. (A)   66     2,503
Stoke Therapeutics, Inc. (A)(B)   776     10,476
Summit Therapeutics, Inc. (A)(B)   11,847     49,047
Sutro Biopharma, Inc. (A)   981     5,543
Syndax Pharmaceuticals, Inc. (A)   1,204     28,655
Synergy Pharmaceuticals, Inc. (A)(C)   6,230     18
Synlogic, Inc. (A)   149     267
Syros Pharmaceuticals, Inc. (A)   312     1,669
T2 Biosystems, Inc. (A)   66     198
Tango Therapeutics, Inc. (A)   1,722     13,673
Taysha Gene Therapies, Inc. (A)   3,194     9,167
Tenaya Therapeutics, Inc. (A)   1,121     5,863
TG Therapeutics, Inc. (A)   2,558     38,907
Tourmaline Bio, Inc.   340     7,786
Travere Therapeutics, Inc. (A)   1,310     10,100
TScan Therapeutics, Inc. (A)   712     5,653
Turnstone Biologics Corp. (A)   390     1,022
Twist Bioscience Corp. (A)   966     33,143
Tyra Biosciences, Inc. (A)(B)   734     12,038
Ultragenyx Pharmaceutical, Inc. (A)   1,410     65,833
United Therapeutics Corp. (A)   798     183,317
UNITY Biotechnology, Inc. (A)   248     407
UroGen Pharma, Ltd. (A)   500     7,500
Vanda Pharmaceuticals, Inc. (A)   1,167     4,796
Vaxart, Inc. (A)   2,636     3,427
Vaxcyte, Inc. (A)   1,596     109,023
Vera Therapeutics, Inc. (A)   752     32,426
Veracyte, Inc. (A)   1,222     27,080
Verastem, Inc. (A)   405     4,779
Vericel Corp. (A)   832     43,281
Vertex Pharmaceuticals, Inc. (A)   4,378     1,830,048
Verve Therapeutics, Inc. (A)   1,364     18,114
Vigil Neuroscience, Inc. (A)   645     2,199
Viking Therapeutics, Inc. (A)   1,690     138,580
Vir Biotechnology, Inc. (A)   2,410     24,413
Viridian Therapeutics, Inc. (A)   911     15,952
Vistagen Therapeutics, Inc. (A)   457     2,413
Vor BioPharma, Inc. (A)   1,196     2,835
Voyager Therapeutics, Inc. (A)   883     8,221
Werewolf Therapeutics, Inc. (A)   585     3,791
XBiotech, Inc. (A)   761     6,187
Xencor, Inc. (A)   1,071     23,701
XOMA Corp. (A)   228     5,483
Y-mAbs Therapeutics, Inc. (A)   807     13,122
Zentalis Pharmaceuticals, Inc. (A)   1,232     19,416
Zura Bio, Ltd. (A)(B)   1,035     2,660
 
  292  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Biotechnology (continued)      
Zymeworks, Inc. (A)   1,104   $ 11,614
          21,338,410
Health care equipment and supplies – 2.3%      
Abbott Laboratories   29,445     3,346,719
ABIOMED, Inc. (A)(C)   788     12,230
Accuray, Inc. (A)   2,141     5,288
Align Technology, Inc. (A)   1,299     425,968
Alphatec Holdings, Inc. (A)   2,297     31,676
AngioDynamics, Inc. (A)   735     4,314
Apyx Medical Corp. (A)   740     1,006
Artivion, Inc. (A)   737     15,595
Aspira Women's Health, Inc. (A)   162     502
AtriCure, Inc. (A)   800     24,336
Atrion Corp.   32     14,834
Avanos Medical, Inc. (A)   804     16,008
Axogen, Inc. (A)   823     6,642
Axonics, Inc. (A)   850     58,625
Baxter International, Inc.   8,598     367,479
Becton, Dickinson and Company   4,926     1,218,939
Beyond Air, Inc. (A)   614     1,068
Bioventus, Inc., Class A (A)(B)   1,009     5,247
Boston Scientific Corp. (A)   24,849     1,701,908
Cerus Corp. (A)   3,177     6,005
ClearPoint Neuro, Inc. (A)   363     2,468
CONMED Corp.   520     41,642
Cutera, Inc. (A)(B)   347     510
CVRx, Inc. (A)   326     5,936
DarioHealth Corp. (A)   447     684
Delcath Systems, Inc. (A)   320     1,526
Dentsply Sirona, Inc.   3,567     118,389
DexCom, Inc. (A)   6,582     912,923
Edwards Lifesciences Corp. (A)   10,335     987,613
ElectroCore, Inc. (A)   52     321
Embecta Corp.   968     12,845
Enovis Corp. (A)   891     55,643
Envista Holdings Corp. (A)   2,794     59,736
enVVeno Medical Corp. (A)   204     1,110
Establishment Labs Holdings, Inc. (A)   447     22,752
GE HealthCare Technologies, Inc.   7,717     701,552
Glaukos Corp. (A)   820     77,318
Globus Medical, Inc., Class A (A)   1,963     105,295
Haemonetics Corp. (A)   850     72,548
HeartBeam, Inc. (A)   446     972
Hologic, Inc. (A)   4,164     324,625
ICU Medical, Inc. (A)   418     44,860
IDEXX Laboratories, Inc. (A)   1,408     760,221
Inari Medical, Inc. (A)   982     47,116
Inogen, Inc. (A)   441     3,559
Inspire Medical Systems, Inc. (A)   500     107,395
Insulet Corp. (A)   1,189     203,795
Integer Holdings Corp. (A)   553     64,524
Integra LifeSciences Holdings Corp. (A)   1,356     48,070
Intuitive Surgical, Inc. (A)   5,959     2,378,177
iRadimed Corp.   243     10,690
iRhythm Technologies, Inc. (A)   517     59,972
KORU Medical Systems, Inc. (A)   567     1,338
Lantheus Holdings, Inc. (A)   1,168     72,696
LeMaitre Vascular, Inc.   393     26,079
LENSAR, Inc. (A)   125     444
Masimo Corp. (A)   900     132,165
Medtronic PLC   22,561     1,966,191
Merit Medical Systems, Inc. (A)   960     72,720
Monogram Orthopaedics, Inc. (A)   528     1,288
Neogen Corp. (A)   3,697     58,339
Neuraxis, Inc. (A)   71     222
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care equipment and supplies (continued)      
Neuronetics, Inc. (A)   550   $ 2,618
Nevro Corp. (A)   613     8,852
Omnicell, Inc. (A)   782     22,858
OraSure Technologies, Inc. (A)   1,347     8,284
Orchestra BioMed Holdings, Inc. (A)   748     3,942
Orthofix Medical, Inc. (A)   633     9,191
OrthoPediatrics Corp. (A)   377     10,993
Outset Medical, Inc. (A)   844     1,874
Paragon 28, Inc. (A)   1,420     17,537
PAVmed, Inc. (A)   182     389
Penumbra, Inc. (A)   653     145,737
PROCEPT BioRobotics Corp. (A)   841     41,562
Pulmonx Corp. (A)   589     5,460
Pulse Biosciences, Inc. (A)(B)   909     7,917
QuidelOrtho Corp. (A)   1,148     55,035
ResMed, Inc.   2,501     495,273
Rockwell Medical, Inc. (A)   415     689
RxSight, Inc. (A)   587     30,277
Sanara Medtech, Inc. (A)   119     4,403
Semler Scientific, Inc. (A)   99     2,892
Senseonics Holdings, Inc. (A)(B)   7,349     3,903
Sensus Healthcare, Inc. (A)   215     817
Shockwave Medical, Inc. (A)   625     203,519
SI-BONE, Inc. (A)   661     10,821
Sight Sciences, Inc. (A)   825     4,356
Silk Road Medical, Inc. (A)   670     12,274
STAAR Surgical Company (A)   837     32,040
Stereotaxis, Inc. (A)   1,565     4,085
STERIS PLC   1,678     377,248
Stryker Corp.   6,443     2,305,756
Surmodics, Inc. (A)   278     8,157
Tactile Systems Technology, Inc. (A)   415     6,744
Tandem Diabetes Care, Inc. (A)   1,127     39,907
Tela Bio, Inc. (A)   405     2,296
Teleflex, Inc.   795     179,805
The Cooper Companies, Inc.   3,361     341,007
TransMedics Group, Inc. (A)   553     40,889
Treace Medical Concepts, Inc. (A)   1,079     14,081
UFP Technologies, Inc. (A)   126     31,777
Utah Medical Products, Inc.   74     5,262
Varex Imaging Corp. (A)   707     12,797
Zimmer Biomet Holdings, Inc.   3,546     468,001
Zimvie, Inc. (A)   404     6,662
Zynex, Inc. (A)(B)   511     6,321
          21,824,966
Health care providers and services – 2.4%      
Acadia Healthcare Company, Inc. (A)   1,560     123,583
Accolade, Inc. (A)   1,277     13,383
Aceto Corp. (A)(C)   853     0
AdaptHealth Corp. (A)   2,403     27,659
Addus HomeCare Corp. (A)   281     29,039
Agiliti, Inc. (A)   2,333     23,610
agilon health, Inc. (A)   7,015     42,792
AirSculpt Technologies, Inc. (A)   881     5,409
Alignment Healthcare, Inc. (A)   3,205     15,897
Amedisys, Inc. (A)   548     50,504
AMN Healthcare Services, Inc. (A)   695     43,444
Astrana Health, Inc. (A)   958     40,226
Brookdale Senior Living, Inc. (A)   3,457     22,851
Cardinal Health, Inc.   4,242     474,680
CareMax, Inc. (A)   70     337
Castle Biosciences, Inc. (A)   455     10,078
Cencora, Inc.   3,410     828,596
Centene Corp. (A)   9,174     719,976
Chemed Corp.   254     163,050
 
  293  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care providers and services (continued)      
Clover Health Investments Corp. (A)   6,044   $ 4,799
Community Health Systems, Inc. (A)   2,429     8,502
CorVel Corp. (A)   295     77,573
Cross Country Healthcare, Inc. (A)   655     12,262
CVS Health Corp.   21,788     1,737,811
DaVita, Inc. (A)   1,547     213,563
DocGo, Inc. (A)   1,746     7,054
Elevance Health, Inc.   3,992     2,070,012
Encompass Health Corp.   1,674     138,239
Enhabit, Inc. (A)   900     10,485
Enzo Biochem, Inc. (A)   594     754
Fulgent Genetics, Inc. (A)   516     11,197
GeneDx Holdings Corp. (A)   445     4,063
Guardant Health, Inc. (A)   2,029     41,858
HCA Healthcare, Inc.   4,613     1,538,574
HealthEquity, Inc. (A)   1,442     117,710
Henry Schein, Inc. (A)   2,227     168,183
Hims & Hers Health, Inc. (A)   3,393     52,490
Humana, Inc.   2,107     730,539
InfuSystem Holdings, Inc. (A)   218     1,868
Innovage Holding Corp. (A)(B)   1,986     8,818
Laboratory Corp. of America Holdings   1,502     328,127
LifeStance Health Group, Inc. (A)(B)   6,474     39,945
McKesson Corp.   2,291     1,229,923
ModivCare, Inc. (A)   241     5,651
Molina Healthcare, Inc. (A)   986     405,078
National HealthCare Corp.   278     26,274
National Research Corp.   430     17,032
NeoGenomics, Inc. (A)   2,205     34,663
NeueHealth, Inc. (A)(B)   128     832
OPKO Health, Inc. (A)(B)   12,549     15,059
Option Care Health, Inc. (A)   3,066     102,834
Owens & Minor, Inc. (A)   1,286     35,635
P3 Health Partners, Inc. (A)   3,038     3,129
Patterson Companies, Inc.   1,615     44,655
Pediatrix Medical Group, Inc. (A)   1,428     14,323
PetIQ, Inc. (A)   575     10,511
Premier, Inc., Class A   1,942     42,918
Privia Health Group, Inc. (A)   1,990     38,984
Progyny, Inc. (A)   1,621     61,841
Quest Diagnostics, Inc.   1,909     254,107
Quipt Home Medical Corp. (A)   511     2,233
R1 RCM, Inc. (A)   7,230     93,122
RadNet, Inc. (A)   1,119     54,451
Select Medical Holdings Corp.   2,135     64,370
Surgery Partners, Inc. (A)   2,157     64,343
Talkspace, Inc. (A)   2,638     9,418
Tenet Healthcare Corp. (A)   1,713     180,053
The Cigna Group   5,020     1,823,214
The Ensign Group, Inc.   941     117,079
The Joint Corp. (A)   267     3,487
The Oncology Institute, Inc. (A)   1,196     1,890
The Pennant Group, Inc. (A)   570     11,189
UnitedHealth Group, Inc.   15,717     7,775,200
Universal Health Services, Inc., Class B   1,046     190,853
US Physical Therapy, Inc.   238     26,863
Viemed Healthcare, Inc. (A)   434     4,093
          22,724,847
Health care technology – 0.1%      
American Well Corp., Class A (A)   4,289     3,477
Augmedix, Inc. (A)   710     2,904
Certara, Inc. (A)   2,704     48,348
Definitive Healthcare Corp. (A)   1,920     15,494
Doximity, Inc., Class A (A)   2,128     57,264
Evolent Health, Inc., Class A (A)   1,913     62,727
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Health care technology (continued)      
GoodRx Holdings, Inc., Class A (A)   1,394   $ 9,897
Health Catalyst, Inc. (A)   904     6,807
HealthStream, Inc.   552     14,716
iCAD, Inc. (A)   352     567
ICoreConnect, Inc. (A)   84     102
LifeMD, Inc. (A)   546     5,613
MultiPlan Corp. (A)   10,977     8,905
OptimizeRx Corp. (A)   244     2,965
Phreesia, Inc. (A)   903     21,609
Schrodinger, Inc. (A)   1,079     29,133
Sharecare, Inc. (A)   5,224     4,009
Simulations Plus, Inc.   363     14,937
Teladoc Health, Inc. (A)   2,846     42,975
TruBridge, Inc. (A)   291     2,683
Veeva Systems, Inc., Class A (A)   2,474     573,201
          928,333
Life sciences tools and services – 1.4%      
10X Genomics, Inc., Class A (A)   1,759     66,015
Adaptive Biotechnologies Corp. (A)   2,555     8,202
Agilent Technologies, Inc.   4,970     723,185
Akoya Biosciences, Inc. (A)   830     3,893
Avantor, Inc. (A)   11,498     294,004
Azenta, Inc. (A)   1,150     69,322
BioLife Solutions, Inc. (A)   730     13,542
Bionano Genomics, Inc. (A)   605     672
Bio-Rad Laboratories, Inc., Class A (A)   411     142,153
Bio-Techne Corp.   2,692     189,490
Bruker Corp.   2,494     234,286
Charles River Laboratories International, Inc. (A)   870     235,727
Codexis, Inc. (A)   1,214     4,237
CryoPort, Inc. (A)   834     14,762
Cytek Biosciences, Inc. (A)   2,311     15,507
Danaher Corp.   12,532     3,129,491
Fortrea Holdings, Inc. (A)   1,511     60,652
Harvard Bioscience, Inc. (A)   517     2,192
ICON PLC (A)   1,392     467,642
Illumina, Inc. (A)   2,692     369,665
Inotiv, Inc. (A)   446     4,879
IQVIA Holdings, Inc. (A)   3,106     785,476
Lifecore Biomedical, Inc. (A)   729     3,871
Maravai LifeSciences Holdings, Inc., Class A (A)   2,244     19,455
MaxCyte, Inc. (A)   1,678     7,031
Medpace Holdings, Inc. (A)   517     208,946
Mesa Laboratories, Inc.   96     10,534
Mettler-Toledo International, Inc. (A)   371     493,909
Nautilus Biotechnology, Inc. (A)   2,013     5,918
OmniAb, Inc. (A)   1,889     10,238
OmniAb, Inc., $12.50 Earnout Shares (A)(C)   117     0
OmniAb, Inc., $15.00 Earnout Shares (A)(C)   117     0
Pacific Biosciences of California, Inc. (A)   4,332     16,245
Personalis, Inc. (A)   1,303     1,941
Quanterix Corp. (A)   625     14,725
Quantum-Si, Inc. (A)   2,027     3,993
Repligen Corp. (A)   947     174,172
Revvity, Inc.   2,114     221,970
Seer, Inc. (A)   1,002     1,904
Sotera Health Company (A)   4,811     57,780
Standard BioTools, Inc. (A)   4,815     13,049
Thermo Fisher Scientific, Inc.   6,551     3,807,507
Waters Corp. (A)   1,002     344,918
 
  294  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Life sciences tools and services (continued)      
West Pharmaceutical Services, Inc.   1,255   $ 496,616
          12,749,716
Pharmaceuticals – 3.5%      
Alexza Pharmaceuticals, Inc. (A)(C)   2,067     72
Amneal Pharmaceuticals, Inc. (A)   3,150     19,089
Amphastar Pharmaceuticals, Inc. (A)   893     39,212
Amylyx Pharmaceuticals, Inc. (A)   1,159     3,292
AN2 Therapeutics, Inc. (A)   460     1,495
ANI Pharmaceuticals, Inc. (A)   326     22,536
Aquestive Therapeutics, Inc. (A)   894     3,808
Arvinas, Inc. (A)   912     37,647
Atea Pharmaceuticals, Inc. (A)   1,534     6,197
Athira Pharma, Inc. (A)   1,185     3,247
Axsome Therapeutics, Inc. (A)   800     63,840
Biote Corp., Class A (A)   526     3,051
Bristol-Myers Squibb Company   35,418     1,920,718
Cassava Sciences, Inc. (A)(B)   714     14,487
Catalent, Inc. (A)   3,061     172,793
CinCor Pharma, Inc. (A)(C)   708     2,166
Clearside Biomedical, Inc. (A)   948     1,450
Cognition Therapeutics, Inc. (A)   866     1,576
Collegium Pharmaceutical, Inc. (A)   620     24,068
Corcept Therapeutics, Inc. (A)   1,839     46,324
CorMedix, Inc. (A)   845     3,583
Edgewise Therapeutics, Inc. (A)   1,069     19,499
Elanco Animal Health, Inc. (A)   8,318     135,417
Eli Lilly & Company   16,101     12,525,934
Enliven Therapeutics, Inc. (A)   818     14,389
Esperion Therapeutics, Inc. (A)   1,768     4,738
Eton Pharmaceuticals, Inc. (A)   300     1,125
Evolus, Inc. (A)   1,113     15,582
Eyenovia, Inc. (A)   1,231     1,214
EyePoint Pharmaceuticals, Inc. (A)   585     12,092
Fulcrum Therapeutics, Inc. (A)   1,161     10,960
Gemini Therapeutics Sub, Inc. (A)(C)   246     0
Harmony Biosciences Holdings, Inc. (A)   1,014     34,050
Harrow, Inc. (A)   586     7,753
Hepion Pharmaceuticals, Inc. (A)   50     125
Ikena Oncology, Inc. (A)   848     1,204
Imara, Inc.  (A)(C)   411     132
Innoviva, Inc. (A)   1,280     19,507
Intra-Cellular Therapies, Inc. (A)   1,640     113,488
Jazz Pharmaceuticals PLC (A)   1,070     128,849
Johnson & Johnson   40,846     6,461,429
Ligand Pharmaceuticals, Inc. (A)   308     22,515
Liquidia Corp. (A)   1,075     15,856
Longboard Pharmaceuticals, Inc. (A)(B)   374     8,078
Lyra Therapeutics, Inc. (A)   785     4,883
Marinus Pharmaceuticals, Inc. (A)   833     7,530
Merck & Company, Inc.   43,036     5,678,600
Mind Medicine MindMed, Inc. (A)   624     5,866
NGM Biopharmaceuticals, Inc. (A)   1,405     2,234
Nuvation Bio, Inc. (A)   3,502     12,747
Ocular Therapeutix, Inc. (A)   1,353     12,312
Ocuphire Pharma, Inc. (A)   241     484
Omeros Corp. (A)(B)   1,206     4,161
Opiant Pharmaceuticals, Inc. (A)(C)   87     57
Optinose, Inc. (A)   2,082     3,040
Oramed Pharmaceuticals, Inc. (A)   697     2,035
Organon & Company   4,285     80,558
Pacira BioSciences, Inc. (A)   796     23,259
Palisade Bio, Inc. (A)(C)   9,919     0
Perrigo Company PLC   2,220     71,462
Pfizer, Inc.   95,806     2,658,617
Phathom Pharmaceuticals, Inc. (A)(B)   985     10,461
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Pharmaceuticals (continued)      
Phibro Animal Health Corp., Class A   463   $ 5,987
Pliant Therapeutics, Inc. (A)   1,016     15,138
Prestige Consumer Healthcare, Inc. (A)   818     59,354
Prevail Therapeutics, Inc. (A)(C)   788     1,516
ProPhase Labs, Inc. (A)   285     1,844
Rani Therapeutics Holdings, Inc., Class A (A)(B)   594     1,847
Relmada Therapeutics, Inc. (A)   519     2,413
Revance Therapeutics, Inc. (A)   1,537     7,562
Reviva Pharmaceuticals Holdings, Inc. (A)   461     1,743
Royalty Pharma PLC, Class A   7,591     230,539
Scilex Holding Company (A)   2,556     4,064
scPharmaceuticals, Inc. (A)   586     2,942
SCYNEXIS, Inc. (A)   751     1,104
SIGA Technologies, Inc.   1,287     11,017
Structure Therapeutics, Inc., ADR (A)   787     33,731
Supernus Pharmaceuticals, Inc. (A)   932     31,791
Tarsus Pharmaceuticals, Inc. (A)   542     19,702
Terns Pharmaceuticals, Inc. (A)   1,201     7,879
TherapeuticsMD, Inc. (A)   165     378
Theravance Biopharma, Inc. (A)   758     6,799
Theseus Pharmaceuticals, Inc. (A)(C)   652     7
Third Harmonic Bio, Inc. (A)   639     6,032
Tilray Brands, Inc. (A)(B)   12,050     29,764
Tobira Therapeutics, Inc. (A)(C)   609     0
Trevi Therapeutics, Inc. (A)   1,105     3,812
Ventyx Biosciences, Inc. (A)   1,023     5,627
Verrica Pharmaceuticals, Inc. (A)(B)   866     5,127
Viatris, Inc.   20,118     240,209
Xeris Biopharma Holdings, Inc. (A)   3,057     6,756
Zevra Therapeutics, Inc. (A)   632     3,666
Zoetis, Inc.   7,807     1,321,022
          32,592,265
          112,158,537
Industrials – 9.7%          
Aerospace and defense – 1.5%      
AAR Corp. (A)   646     38,676
AeroVironment, Inc. (A)   442     67,750
AerSale Corp. (A)   861     6,182
Archer Aviation, Inc., Class A (A)(B)   4,319     19,954
Astra Space, Inc. (A)   339     231
Astronics Corp. (A)   623     11,862
Axon Enterprise, Inc. (A)   1,267     396,419
BWX Technologies, Inc.   1,520     155,982
Byrna Technologies, Inc. (A)   353     4,917
Cadre Holdings, Inc.   590     21,358
Curtiss-Wright Corp.   632     161,754
Ducommun, Inc. (A)   264     13,543
General Dynamics Corp.   4,626     1,306,799
HEICO Corp.   909     173,619
HEICO Corp., Class A   1,447     222,751
Hexcel Corp.   1,418     103,301
Howmet Aerospace, Inc.   6,966     476,683
Huntington Ingalls Industries, Inc.   663     193,245
Intuitive Machines, Inc. (A)   360     2,250
Kaman Corp.   551     25,274
Kratos Defense & Security Solutions, Inc. (A)   2,288     42,053
L3Harris Technologies, Inc.   3,204     682,772
Leonardo DRS, Inc. (A)   4,455     98,411
Lockheed Martin Corp.   4,271     1,942,750
Mercury Systems, Inc. (A)   994     29,323
Moog, Inc., Class A   507     80,943
National Presto Industries, Inc.   159     13,324
 
  295  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Aerospace and defense (continued)      
Northrop Grumman Corp.   2,569   $ 1,229,678
Park Aerospace Corp.   423     7,034
Redwire Corp. (A)   1,008     4,425
Rocket Lab USA, Inc. (A)(B)   8,261     33,953
RTX Corp.   24,692     2,408,211
Spirit AeroSystems Holdings, Inc., Class A (A)   1,968     70,986
Textron, Inc.   3,330     319,447
The Boeing Company (A)   10,237     1,975,639
TransDigm Group, Inc.   934     1,150,314
Triumph Group, Inc. (A)   1,249     18,785
V2X, Inc. (A)   533     24,896
Virgin Galactic Holdings, Inc. (A)(B)   6,943     10,276
VirTra, Inc. (A)   87     894
Woodward, Inc.   1,012     155,969
          13,702,633
Air freight and logistics – 0.4%      
Air T, Inc. (A)   25     555
Air Transport Services Group, Inc. (A)   1,275     17,544
CH Robinson Worldwide, Inc.   1,985     151,138
Expeditors International of Washington, Inc.   2,512     305,384
FedEx Corp.   4,264     1,235,451
Forward Air Corp.   458     14,248
GXO Logistics, Inc. (A)   2,027     108,972
Hub Group, Inc., Class A   1,092     47,196
Radiant Logistics, Inc. (A)   347     1,881
United Parcel Service, Inc., Class B   12,274     1,824,285
          3,706,654
Building products – 0.7%      
A.O. Smith Corp.   2,073     185,451
AAON, Inc.   1,373     120,961
Advanced Drainage Systems, Inc.   1,332     229,424
Allegion PLC   1,472     198,293
American Woodmark Corp. (A)   296     30,091
Apogee Enterprises, Inc.   449     26,581
Armstrong World Industries, Inc.   763     94,780
AZZ, Inc.   475     36,722
Builders FirstSource, Inc. (A)   2,111     440,249
Carlisle Companies, Inc.   844     330,721
Carrier Global Corp.   14,207     825,853
CSW Industrials, Inc.   278     65,219
Fortune Brands Innovations, Inc.   2,115     179,077
Gibraltar Industries, Inc. (A)   573     46,144
Griffon Corp.   992     72,753
Hayward Holdings, Inc. (A)   3,667     56,142
Insteel Industries, Inc.   385     14,715
Janus International Group, Inc. (A)   2,375     35,934
JELD-WEN Holding, Inc. (A)   1,496     31,760
Johnson Controls International PLC   11,537     753,597
Lennox International, Inc.   595     290,812
Masco Corp.   3,765     296,983
Masonite International Corp. (A)   363     47,716
Masterbrand, Inc. (A)   2,215     41,509
Owens Corning   1,502     250,534
Quanex Building Products Corp.   554     21,290
Resideo Technologies, Inc. (A)   2,467     55,310
Simpson Manufacturing Company, Inc.   724     148,550
The AZEK Company, Inc. (A)   2,505     125,801
Trane Technologies PLC   3,866     1,160,573
Trex Company, Inc. (A)   1,837     183,241
UFP Industries, Inc.   1,020     125,470
View, Inc. (A)   56     64
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Building products (continued)      
Zurn Elkay Water Solutions Corp.   2,904   $ 97,197
          6,619,517
Commercial services and supplies – 0.8%      
ABM Industries, Inc.   1,114     49,707
ACCO Brands Corp.   1,727     9,688
Acme United Corp.   14     658
ACV Auctions, Inc., Class A (A)   2,281     42,814
Aris Water Solutions, Inc., Class A   373     5,278
Brady Corp., Class A   813     48,195
BrightView Holdings, Inc. (A)   1,734     20,635
Casella Waste Systems, Inc., Class A (A)   964     95,311
CECO Environmental Corp. (A)   691     15,907
Cimpress PLC (A)   435     38,502
Cintas Corp.   1,721     1,182,379
Civeo Corp.   160     4,296
Clean Harbors, Inc. (A)   910     183,192
CompX International, Inc.   141     4,836
Copart, Inc. (A)   16,282     943,053
CoreCivic, Inc. (A)   2,098     32,750
Deluxe Corp.   765     15,751
Driven Brands Holdings, Inc. (A)   3,061     48,333
Ennis, Inc.   447     9,168
Enviri Corp. (A)   1,442     13,194
Healthcare Services Group, Inc. (A)   1,315     16,411
HNI Corp.   821     37,052
Interface, Inc.   1,138     19,141
Liquidity Services, Inc. (A)   635     11,811
Matthews International Corp., Class A   551     17,125
MillerKnoll, Inc.   1,294     32,039
Montrose Environmental Group, Inc. (A)   505     19,781
MSA Safety, Inc.   660     127,769
NL Industries, Inc.   1,028     7,535
Odyssey Marine Exploration, Inc. (A)   239     911
OPENLANE, Inc. (A)   1,993     34,479
Performant Financial Corp. (A)   988     2,905
Perma-Fix Environmental Services, Inc. (A)   145     1,724
Pitney Bowes, Inc.   3,034     13,137
Quad/Graphics, Inc.   985     5,230
Quest Resource Holding Corp. (A)   208     1,785
RB Global, Inc.   3,094     235,670
Republic Services, Inc.   5,334     1,021,141
Rollins, Inc.   8,350     386,355
SP Plus Corp. (A)   371     19,374
Steelcase, Inc., Class A   1,640     21,451
Stericycle, Inc. (A)   1,551     81,815
Tetra Tech, Inc.   902     166,608
The Brink's Company   790     72,980
The GEO Group, Inc. (A)   2,079     29,355
UniFirst Corp.   249     43,184
Veralto Corp.   4,165     369,269
Vestis Corp.   2,171     41,835
Viad Corp. (A)   380     15,006
VSE Corp.   270     21,600
Waste Management, Inc.   6,874     1,465,193
          7,103,318
Construction and engineering – 0.3%      
AECOM   2,315     227,055
Ameresco, Inc., Class A (A)   589     14,213
API Group Corp. (A)   3,887     152,642
Arcosa, Inc.   836     71,779
Argan, Inc.   313     15,819
Bowman Consulting Group, Ltd. (A)   196     6,819
Comfort Systems USA, Inc.   610     193,803
Concrete Pumping Holdings, Inc. (A)   739     5,838
 
  296  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Construction and engineering (continued)      
Construction Partners, Inc., Class A (A)   756   $ 42,449
Dycom Industries, Inc. (A)   494     70,904
EMCOR Group, Inc.   787     275,607
Emeren Group, Ltd. (A)   836     1,613
Fluor Corp. (A)   2,847     120,371
Granite Construction, Inc.   774     44,219
Great Lakes Dredge & Dock Corp. (A)   1,412     12,355
IES Holdings, Inc. (A)   416     50,602
Limbach Holdings, Inc. (A)   147     6,089
MasTec, Inc. (A)   1,343     125,235
Matrix Service Company (A)   644     8,391
MDU Resources Group, Inc.   3,302     83,210
MYR Group, Inc. (A)   310     54,793
Northwest Pipe Company (A)   240     8,323
Orion Group Holdings, Inc. (A)   363     2,977
Primoris Services Corp.   1,003     42,698
Quanta Services, Inc.   2,455     637,809
Sterling Infrastructure, Inc. (A)   579     63,869
Tutor Perini Corp. (A)   1,033     14,937
Valmont Industries, Inc.   352     80,355
WillScot Mobile Mini Holdings Corp. (A)   3,453     160,565
          2,595,339
Electrical equipment – 0.7%      
Acuity Brands, Inc.   522     140,277
Allient, Inc.   303     10,811
American Superconductor Corp. (A)   626     8,457
AMETEK, Inc.   3,910     715,139
Amprius Technologies, Inc. (A)(B)   1,853     4,910
Array Technologies, Inc. (A)   2,578     38,438
Atkore, Inc.   631     120,117
Babcock & Wilcox Enterprises, Inc. (A)   1,546     1,747
Beam Global (A)   239     1,625
Blink Charging Company (A)(B)   1,091     3,284
Bloom Energy Corp., Class A (A)(B)   3,596     40,419
Broadwind, Inc. (A)   205     488
ChargePoint Holdings, Inc. (A)(B)   6,273     11,919
Eaton Corp. PLC   6,759     2,113,404
Emerson Electric Company   9,697     1,099,834
Encore Wire Corp.   319     83,827
Energy Vault Holdings, Inc. (A)(B)   2,476     4,432
EnerSys   698     65,933
Enovix Corp. (A)(B)   2,749     22,019
Eos Energy Enterprises, Inc. (A)(B)   3,842     3,957
Fluence Energy, Inc. (A)   2,005     34,767
Flux Power Holdings, Inc. (A)   204     904
FuelCell Energy, Inc. (A)(B)   7,872     9,368
Generac Holdings, Inc. (A)   1,056     133,204
GrafTech International, Ltd.   4,298     5,931
Hubbell, Inc.   905     375,620
Ideal Power, Inc. (A)   111     988
LSI Industries, Inc.   372     5,625
Net Power, Inc. (A)(B)   1,251     14,249
NEXTracker, Inc., Class A (A)   2,333     131,278
NuScale Power Corp. (A)(B)   1,329     7,057
nVent Electric PLC   2,760     208,104
Pioneer Power Solutions, Inc. (A)   53     303
Plug Power, Inc. (A)(B)   10,473     36,027
Powell Industries, Inc.   230     32,729
Preformed Line Products Company   95     12,224
Regal Rexnord Corp.   1,125     202,613
Rockwell Automation, Inc.   1,946     566,928
Sensata Technologies Holding PLC   2,560     94,054
SES AI Corp. (A)(B)   5,398     9,069
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electrical equipment (continued)      
Shoals Technologies Group, Inc., Class A (A)   2,890   $ 32,310
SKYX Platforms Corp. (A)   1,636     2,143
Stem, Inc. (A)(B)   2,685     5,880
SunPower Corp. (A)(B)   3,027     9,081
Sunrun, Inc. (A)   3,725     49,096
Thermon Group Holdings, Inc. (A)   624     20,417
Tigo Energy, Inc. (A)   1,635     1,749
TPI Composites, Inc. (A)(B)   773     2,249
Ultralife Corp. (A)   163     1,436
Vertiv Holdings Company, Class A   6,444     526,281
Vicor Corp. (A)   559     21,376
          7,044,097
Ground transportation – 1.1%      
ArcBest Corp.   422     60,135
Avis Budget Group, Inc.   656     80,334
Covenant Logistics Group, Inc.   203     9,411
CSX Corp.   34,058     1,262,530
Daseke, Inc. (A)   1,160     9,628
FTAI Infrastructure, Inc.   1,753     11,009
Heartland Express, Inc.   1,446     17,265
Hertz Global Holdings, Inc. (A)   5,318     41,640
JB Hunt Transport Services, Inc.   1,752     349,086
Knight-Swift Transportation Holdings, Inc.   2,726     149,985
Landstar System, Inc.   594     114,499
Lyft, Inc., Class A (A)   6,411     124,053
Marten Transport, Ltd.   1,419     26,223
Norfolk Southern Corp.   3,852     981,759
Old Dominion Freight Line, Inc.   3,710     813,640
PAM Transportation Services, Inc. (A)   403     6,533
RXO, Inc. (A)   1,946     42,559
Ryder System, Inc.   744     89,421
Saia, Inc. (A)   449     262,665
Schneider National, Inc., Class B   1,620     36,677
Uber Technologies, Inc. (A)   34,650     2,667,704
U-Haul Holding Company (A)   333     22,491
U-Haul Holding Company, Series N   2,999     199,973
Union Pacific Corp.   10,339     2,542,670
Universal Logistics Holdings, Inc.   464     17,108
Werner Enterprises, Inc.   980     38,338
XPO, Inc. (A)   1,961     239,301
          10,216,637
Industrial conglomerates – 0.7%      
3M Company   9,351     991,861
General Electric Company   18,445     3,237,651
Honeywell International, Inc.   11,268     2,312,757
          6,542,269
Machinery – 1.9%      
374Water, Inc. (A)   2,365     2,980
3D Systems Corp. (A)   2,231     9,906
AGCO Corp.   1,239     152,422
Alamo Group, Inc.   213     48,634
Albany International Corp., Class A   524     48,999
Allison Transmission Holdings, Inc.   1,466     118,981
Astec Industries, Inc.   412     18,009
Barnes Group, Inc.   889     33,026
Blue Bird Corp. (A)   511     19,592
Caterpillar, Inc.   8,646     3,168,154
Chart Industries, Inc. (A)   728     119,916
Columbus McKinnon Corp.   532     23,743
Commercial Vehicle Group, Inc. (A)   752     4,835
Crane Company   950     128,374
Cummins, Inc.   2,402     707,749
 
  297  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
Deere & Company   4,887   $ 2,007,286
Donaldson Company, Inc.   1,997     149,136
Douglas Dynamics, Inc.   425     10,251
Dover Corp.   2,365     419,054
Energy Recovery, Inc. (A)   1,056     16,674
Enerpac Tool Group Corp.   1,011     36,052
Enpro, Inc.   363     61,264
Esab Corp.   1,001     110,681
ESCO Technologies, Inc.   443     47,423
Federal Signal Corp.   1,034     87,756
Flowserve Corp.   2,207     100,816
Fortive Corp.   5,972     513,711
Franklin Electric Company, Inc.   783     83,632
Gates Industrial Corp. PLC (A)   4,677     82,830
Gencor Industries, Inc. (A)   339     5,658
Graco, Inc.   2,846     265,987
Graham Corp. (A)   310     8,457
Helios Technologies, Inc.   569     25,429
Hillenbrand, Inc.   1,194     60,046
Hillman Solutions Corp. (A)   3,141     33,420
Hurco Companies, Inc.   183     3,689
Hyliion Holdings Corp. (A)   3,087     5,433
Hyster-Yale Materials Handling, Inc.   272     17,454
IDEX Corp.   1,288     314,298
Illinois Tool Works, Inc.   5,126     1,375,460
Ingersoll Rand, Inc.   6,858     651,167
ITT, Inc.   1,359     184,865
John Bean Technologies Corp.   542     56,850
Kadant, Inc.   210     68,901
Kennametal, Inc.   1,405     35,041
LB Foster Company, Class A (A)   298     8,138
Lincoln Electric Holdings, Inc.   959     244,967
Lindsay Corp.   190     22,355
Mayville Engineering Company, Inc. (A)   441     6,320
Miller Industries, Inc.   293     14,679
Mueller Industries, Inc.   1,871     100,903
Mueller Water Products, Inc., Class A   2,820     45,374
Nikola Corp. (A)(B)   17,475     18,174
NN, Inc. (A)   766     3,631
Nordson Corp.   959     263,284
Omega Flex, Inc.   199     14,115
Oshkosh Corp.   1,082     134,936
Otis Worldwide Corp.   6,965     691,416
PACCAR, Inc.   8,837     1,094,816
Parker-Hannifin Corp.   2,171     1,206,620
Park-Ohio Holdings Corp.   316     8,431
Perma-Pipe International Holdings, Inc. (A)   15     119
Proto Labs, Inc. (A)   501     17,911
RBC Bearings, Inc. (A)   491     132,742
REV Group, Inc.   1,120     24,741
Snap-on, Inc.   884     261,858
SPX Technologies, Inc. (A)   785     96,657
Standex International Corp.   223     40,635
Stanley Black & Decker, Inc.   2,585     253,149
Stratasys, Ltd. (A)   1,117     12,980
Symbotic, Inc. (A)(B)   1,371     61,695
Taylor Devices, Inc. (A)   18     896
TechPrecision Corp. (A)   137     495
Tennant Company   359     43,658
Terex Corp.   1,130     72,772
The Gorman-Rupp Company   562     22,227
The Greenbrier Companies, Inc.   566     29,489
The Manitowoc Company, Inc. (A)   748     10,577
The Middleby Corp. (A)   905     145,515
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Machinery (continued)      
The Shyft Group, Inc.   664   $ 8,247
The Timken Company   1,188     103,867
The Toro Company   1,763     161,544
Titan International, Inc. (A)   1,133     14,117
Trinity Industries, Inc.   1,368     38,099
Twin Disc, Inc.   152     2,513
Wabash National Corp.   849     25,419
Wabtec Corp.   3,021     440,099
Watts Water Technologies, Inc., Class A   461     97,986
Xylem, Inc.   4,082     527,558
          17,969,765
Marine transportation – 0.0%      
Eagle Bulk Shipping, Inc.   242     15,118
Genco Shipping & Trading, Ltd.   637     12,950
Kirby Corp. (A)   1,003     95,606
Matson, Inc.   621     69,800
Pangaea Logistics Solutions, Ltd.   476     3,318
Toro Corp. (A)   271     1,455
          198,247
Passenger airlines – 0.2%      
Alaska Air Group, Inc. (A)   2,116     90,967
Allegiant Travel Company   324     24,368
American Airlines Group, Inc. (A)   10,932     167,806
Blade Air Mobility, Inc. (A)   1,134     3,232
Delta Air Lines, Inc.   10,819     517,906
Frontier Group Holdings, Inc. (A)(B)   753     6,107
Hawaiian Holdings, Inc. (A)   993     13,237
JetBlue Airways Corp. (A)   5,782     42,902
Joby Aviation, Inc. (A)(B)   11,868     63,612
SkyWest, Inc. (A)   836     57,751
Southwest Airlines Company   10,070     293,943
Spirit Airlines, Inc. (B)   1,868     9,041
Sun Country Airlines Holdings, Inc. (A)   872     13,158
United Airlines Holdings, Inc. (A)   5,522     264,393
Wheels Up Experience, Inc. (A)(B)   11,885     34,110
          1,602,533
Professional services – 0.9%      
Alight, Inc., Class A (A)   8,451     83,242
ASGN, Inc. (A)   823     86,217
Asure Software, Inc. (A)   323     2,513
Automatic Data Processing, Inc.   6,991     1,745,932
Barrett Business Services, Inc.   138     17,487
BlackSky Technology, Inc. (A)   2,296     3,123
Booz Allen Hamilton Holding Corp.   2,210     328,052
Broadridge Financial Solutions, Inc.   1,988     407,262
CACI International, Inc., Class A (A)   383     145,092
CBIZ, Inc. (A)   893     70,101
Concentrix Corp.   1,121     74,233
Conduent, Inc. (A)   3,930     13,283
CRA International, Inc.   128     19,146
CSG Systems International, Inc.   542     27,935
Dayforce, Inc. (A)   2,645     175,125
Dun & Bradstreet Holdings, Inc.   7,330     73,593
Equifax, Inc.   2,078     555,907
Exela Technologies, Inc. (A)   44     143
EXL Service Holdings, Inc. (A)   2,777     88,309
Exponent, Inc.   851     70,369
First Advantage Corp.   2,345     38,036
FiscalNote Holdings, Inc. (A)   2,114     2,812
Forrester Research, Inc. (A)   350     7,546
Franklin Covey Company (A)   263     10,325
FTI Consulting, Inc. (A)   579     121,758
Genpact, Ltd.   3,018     99,443
Heidrick & Struggles International, Inc.   391     13,161
 
  298  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Professional services (continued)      
HireQuest, Inc.   172   $ 2,227
HireRight Holdings Corp. (A)   1,195     17,053
Huron Consulting Group, Inc. (A)   355     34,300
IBEX Holdings, Ltd. (A)   196     3,024
ICF International, Inc.   314     47,298
Innodata, Inc. (A)   424     2,798
Insperity, Inc.   634     69,493
Jacobs Solutions, Inc.   2,125     326,676
KBR, Inc.   2,295     146,100
Kelly Services, Inc., Class A   696     17,428
Kforce, Inc.   374     26,374
Korn Ferry   900     59,184
Legalzoom.com, Inc. (A)   3,194     42,608
Leidos Holdings, Inc.   2,326     304,915
ManpowerGroup, Inc.   822     63,820
Mastech Digital, Inc. (A)   77     693
Maximus, Inc.   1,004     84,236
Mistras Group, Inc. (A)   754     7,208
NV5 Global, Inc. (A)   255     24,993
Parsons Corp. (A)   1,755     145,577
Paychex, Inc.   6,102     749,326
Paycom Software, Inc.   1,042     207,368
Paycor HCM, Inc. (A)   3,036     59,020
Paylocity Holding Corp. (A)   957     164,470
Planet Labs PBC (A)   4,332     11,047
RCM Technologies, Inc. (A)   72     1,539
Resources Connection, Inc.   615     8,093
Robert Half, Inc.   1,788     141,753
Science Applications International Corp.   890     116,047
Skillsoft Corp. (A)   127     1,143
Spire Global, Inc. (A)   335     4,020
SS&C Technologies Holdings, Inc.   4,176     268,809
Sterling Check Corp. (A)   1,592     25,599
TaskUS, Inc., Class A (A)   505     5,883
TransUnion   3,282     261,904
TriNet Group, Inc.   982     130,105
TrueBlue, Inc. (A)   614     7,687
TTEC Holdings, Inc.   804     8,337
Upwork, Inc. (A)   2,231     27,352
Verisk Analytics, Inc.   2,457     579,189
Verra Mobility Corp. (A)   2,810     70,166
Willdan Group, Inc. (A)   264     7,653
          8,562,660
Trading companies and distributors – 0.5%      
Air Lease Corp.   1,811     93,158
Alta Equipment Group, Inc.   454     5,879
Applied Industrial Technologies, Inc.   639     126,234
Beacon Roofing Supply, Inc. (A)   1,079     105,764
BlueLinx Holdings, Inc. (A)   134     17,452
Boise Cascade Company   652     99,997
Core & Main, Inc., Class A (A)   2,900     166,025
Custom Truck One Source, Inc. (A)   4,215     24,531
Distribution Solutions Group, Inc. (A)   161     5,712
DNOW, Inc. (A)   1,992     30,278
DXP Enterprises, Inc. (A)   379     20,364
EVI Industries, Inc.   239     5,951
Fastenal Company   9,660     745,172
Ferguson PLC   3,454     754,457
GATX Corp.   582     78,005
Global Industrial, Inc.   669     29,958
GMS, Inc. (A)   735     71,545
H&E Equipment Services, Inc.   629     40,369
Herc Holdings, Inc.   492     82,804
Hudson Technologies, Inc. (A)   715     7,872
Karat Packaging, Inc.   258     7,381
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Trading companies and distributors (continued)      
McGrath RentCorp   425   $ 52,432
MRC Global, Inc. (A)   1,509     18,968
MSC Industrial Direct Company, Inc., Class A   752     72,974
Rush Enterprises, Inc., Class A   1,090     58,337
SiteOne Landscape Supply, Inc. (A)   766     133,705
Titan Machinery, Inc. (A)   402     9,974
Transcat, Inc. (A)   141     15,712
United Rentals, Inc.   1,155     832,882
W.W. Grainger, Inc.   847     861,653
Watsco, Inc.   566     244,495
WESCO International, Inc.   863     147,815
Willis Lease Finance Corp. (A)   61     3,027
Xometry, Inc., Class A (A)   762     12,870
          4,983,752
          90,847,421
Information technology – 26.8%          
Communications equipment – 0.8%      
ADTRAN Holdings, Inc.   1,285     6,990
Applied Optoelectronics, Inc. (A)   584     8,094
Arista Networks, Inc. (A)   5,249     1,522,105
Aviat Networks, Inc. (A)   149     5,713
Calix, Inc. (A)   1,129     37,438
Cambium Networks Corp. (A)   513     2,211
Ciena Corp. (A)   2,533     125,257
Cisco Systems, Inc.   69,135     3,450,528
Clearfield, Inc. (A)   255     7,864
CommScope Holding Company, Inc. (A)   3,622     4,745
Comtech Telecommunications Corp. (A)   548     1,880
Digi International, Inc. (A)   613     19,573
DZS, Inc. (A)   566     747
Extreme Networks, Inc. (A)   2,202     25,411
F5, Inc. (A)   1,000     189,590
Harmonic, Inc. (A)   1,878     25,240
Infinera Corp. (A)   3,747     22,594
Inseego Corp. (A)   196     549
Juniper Networks, Inc.   5,405     200,309
KVH Industries, Inc. (A)   504     2,570
Lantronix, Inc. (A)   468     1,666
Lumentum Holdings, Inc. (A)   1,134     53,695
Motorola Solutions, Inc.   2,834     1,006,013
NETGEAR, Inc. (A)   540     8,516
NetScout Systems, Inc. (A)   1,212     26,470
Ondas Holdings, Inc. (A)   844     819
Powerwave Technologies, Inc. (A)(C)   912     0
Ribbon Communications, Inc. (A)   2,627     8,406
Ubiquiti, Inc.   1,039     120,368
Viasat, Inc. (A)   2,126     38,459
Viavi Solutions, Inc. (A)   3,860     35,087
          6,958,907
Electronic equipment, instruments and components – 0.7%      
908 Devices, Inc. (A)   530     4,002
Advanced Energy Industries, Inc.   629     64,145
AEye, Inc. (A)   149     186
Airgain, Inc. (A)   137     747
Amphenol Corp., Class A   10,101     1,165,150
Arlo Technologies, Inc. (A)   1,497     18,937
Arrow Electronics, Inc. (A)   935     121,045
Avnet, Inc.   1,539     76,304
Badger Meter, Inc.   495     80,096
Bel Fuse, Inc., Class B   224     13,509
Belden, Inc.   729     67,513
Benchmark Electronics, Inc.   648     19,446
CDW Corp.   2,273     581,388
 
  299  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Electronic equipment, instruments and
components (continued)
     
Cepton, Inc. (A)   306   $ 851
Climb Global Solutions, Inc.   42     2,977
Coda Octopus Group, Inc. (A)   29     167
Cognex Corp.   2,950     125,139
Coherent Corp. (A)   2,571     155,854
Corning, Inc.   14,476     477,129
Crane NXT Company   950     58,805
CTS Corp.   560     26,202
Daktronics, Inc. (A)   1,093     10,886
ePlus, Inc. (A)   432     33,929
Evolv Technologies Holdings, Inc. (A)   2,541     11,307
Fabrinet (A)   610     115,302
FARO Technologies, Inc. (A)   367     7,894
Flex, Ltd. (A)   7,538     215,662
Identiv, Inc. (A)   347     2,748
Insight Enterprises, Inc. (A)   594     110,199
IPG Photonics Corp. (A)   805     73,005
Iteris, Inc. (A)   1,032     5,098
Itron, Inc. (A)   770     71,240
Jabil, Inc.   2,214     296,565
Keysight Technologies, Inc. (A)   3,022     472,580
Kimball Electronics, Inc. (A)   462     10,002
Knowles Corp. (A)   1,589     25,583
Lightwave Logic, Inc. (A)(B)   1,967     9,206
Littelfuse, Inc.   421     102,029
Luna Innovations, Inc. (A)   456     1,461
Methode Electronics, Inc.   649     7,905
MicroVision, Inc. (A)(B)   3,204     5,895
Mirion Technologies, Inc. (A)   3,640     41,387
Napco Security Technologies, Inc.   650     26,104
nLight, Inc. (A)   848     11,024
Novanta, Inc. (A)   607     106,085
OSI Systems, Inc. (A)   287     40,989
Ouster, Inc. (A)   660     5,240
PAR Technology Corp. (A)   434     19,686
PC Connection, Inc.   492     32,438
Plexus Corp. (A)   455     43,143
Powerfleet, Inc. (A)   439     2,344
Richardson Electronics, Ltd.   108     995
Rogers Corp. (A)   321     38,099
Sanmina Corp. (A)   959     59,631
ScanSource, Inc. (A)   460     20,258
SigmaTron International, Inc. (A)   69     250
SmartRent, Inc. (A)   3,338     8,946
TD SYNNEX Corp.   1,581     178,811
Teledyne Technologies, Inc. (A)   803     344,744
Trimble, Inc. (A)   4,230     272,243
TTM Technologies, Inc. (A)   1,778     27,826
Vishay Intertechnology, Inc.   2,037     46,199
Vishay Precision Group, Inc. (A)   247     8,727
Vontier Corp.   2,588     117,392
Vuzix Corp. (A)(B)   1,189     1,439
Wrap Technologies, Inc. (A)   659     1,489
Zebra Technologies Corp., Class A (A)   874     263,459
          6,367,036
IT services – 1.3%      
Accenture PLC, Class A   11,265     3,904,562
Akamai Technologies, Inc. (A)   2,561     278,534
Amdocs, Ltd.   2,016     182,186
Applied Digital Corp. (A)(B)   1,755     7,511
Backblaze, Inc., Class A (A)   563     5,759
BigBear.ai Holdings, Inc. (A)   2,589     5,307
BigCommerce Holdings, Inc., Series 1 (A)   1,209     8,330
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
IT services (continued)      
Brightcove, Inc. (A)   902   $ 1,750
Cloudflare, Inc., Class A (A)   4,963     480,567
Cognizant Technology Solutions Corp., Class A   8,543     626,116
Couchbase, Inc. (A)   763     20,075
CSP, Inc.   130     2,400
DecisionPoint Systems, Inc. (A)   84     762
DigitalOcean Holdings, Inc. (A)   1,622     61,928
DXC Technology Company (A)   3,794     80,471
EPAM Systems, Inc. (A)   984     271,741
Fastly, Inc., Class A (A)   2,166     28,093
Gartner, Inc. (A)   1,333     635,401
GoDaddy, Inc., Class A (A)   2,469     293,021
Grid Dynamics Holdings, Inc. (A)   1,255     15,424
IBM Corp.   15,437     2,947,850
Information Services Group, Inc.   1,038     4,194
Kyndryl Holdings, Inc. (A)   3,854     83,863
MongoDB, Inc. (A)   1,197     429,292
Okta, Inc. (A)   2,662     278,498
Perficient, Inc. (A)   584     32,873
Rackspace Technology, Inc. (A)   3,608     5,701
Snowflake, Inc., Class A (A)   5,592     903,667
Squarespace, Inc., Class A (A)   1,525     55,571
The Glimpse Group, Inc. (A)   319     357
The Hackett Group, Inc.   589     14,313
Thoughtworks Holding, Inc. (A)   5,429     13,735
Twilio, Inc., Class A (A)   3,077     188,159
Unisys Corp. (A)   1,317     6,466
VeriSign, Inc. (A)   1,749     331,453
          12,205,930
Semiconductors and semiconductor equipment – 8.6%      
ACM Research, Inc., Class A (A)   1,003     29,227
Advanced Micro Devices, Inc. (A)   27,402     4,945,787
Aehr Test Systems (A)(B)   494     6,126
Allegro MicroSystems, Inc. (A)   3,281     88,456
Alpha & Omega Semiconductor, Ltd. (A)   487     10,733
Ambarella, Inc. (A)   688     34,930
Amkor Technology, Inc.   4,139     133,441
Amtech Systems, Inc. (A)   277     1,499
Analog Devices, Inc.   8,592     1,699,412
Applied Materials, Inc.   14,194     2,927,229
Atomera, Inc. (A)   405     2,495
Axcelis Technologies, Inc. (A)   552     61,559
AXT, Inc. (A)   574     2,635
Broadcom, Inc.   7,918     10,494,596
CEVA, Inc. (A)   442     10,038
Cirrus Logic, Inc. (A)   928     85,896
Cohu, Inc. (A)   842     28,064
Credo Technology Group Holding, Ltd. (A)   2,536     53,738
CVD Equipment Corp. (A)   64     301
Diodes, Inc. (A)   785     55,343
Enphase Energy, Inc. (A)   2,321     280,795
Entegris, Inc.   2,550     358,377
Everspin Technologies, Inc. (A)   159     1,259
First Solar, Inc. (A)   1,815     306,372
FormFactor, Inc. (A)   1,299     59,273
GlobalFoundries, Inc. (A)(B)   9,311     485,196
GSI Technology, Inc. (A)   338     1,149
Ichor Holdings, Ltd. (A)   463     17,881
Impinj, Inc. (A)   455     58,427
Indie Semiconductor, Inc., Class A (A)   2,748     19,456
Intel Corp.   71,033     3,137,528
inTEST Corp. (A)   104     1,378
KLA Corp.   2,317     1,618,587
 
  300  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Semiconductors and semiconductor equipment (continued)      
Kopin Corp. (A)   1,752   $ 3,154
Kulicke & Soffa Industries, Inc.   961     48,348
Lam Research Corp.   2,246     2,182,146
Lattice Semiconductor Corp. (A)   2,351     183,919
MACOM Technology Solutions Holdings, Inc. (A)   1,196     114,385
Magnachip Semiconductor Corp. (A)   627     3,499
Marvell Technology, Inc.   14,633     1,037,187
MaxLinear, Inc. (A)   1,385     25,858
Meta Materials, Inc. (A)   101     310
Microchip Technology, Inc.   9,228     827,844
Micron Technology, Inc.   18,583     2,190,750
MKS Instruments, Inc.   1,135     150,955
Monolithic Power Systems, Inc.   810     548,710
Navitas Semiconductor Corp. (A)   2,958     14,110
NVE Corp.   86     7,755
NVIDIA Corp.   42,434     38,341,665
ON Semiconductor Corp. (A)   7,340     539,857
Onto Innovation, Inc. (A)   832     150,659
PDF Solutions, Inc. (A)   654     22,020
Photronics, Inc. (A)   1,065     30,161
Pixelworks, Inc. (A)   874     2,255
Power Integrations, Inc.   962     68,831
Qorvo, Inc. (A)   1,662     190,847
Qualcomm, Inc.   18,925     3,204,003
QuickLogic Corp. (A)   132     2,116
Rambus, Inc. (A)   1,835     113,421
Rigetti Computing, Inc. (A)   2,396     3,666
Semtech Corp. (A)   1,087     29,882
Silicon Laboratories, Inc. (A)   544     78,184
SiTime Corp. (A)   381     35,521
SkyWater Technology, Inc. (A)   735     7,475
Skyworks Solutions, Inc.   2,691     291,489
SMART Global Holdings, Inc. (A)   881     23,188
Synaptics, Inc. (A)   661     64,487
Teradyne, Inc.   2,610     294,486
Texas Instruments, Inc.   15,419     2,686,144
Transphorm, Inc. (A)   1,018     4,998
Ultra Clean Holdings, Inc. (A)   780     35,833
Universal Display Corp.   802     135,097
Veeco Instruments, Inc. (A)   900     31,653
Wolfspeed, Inc. (A)   2,162     63,779
          80,807,830
Software – 10.2%      
8x8, Inc. (A)   2,080     5,616
A10 Networks, Inc.   1,300     17,797
ACI Worldwide, Inc. (A)   1,879     62,402
Adeia, Inc.   1,869     20,409
Adobe, Inc. (A)   7,731     3,901,063
Agilysys, Inc. (A)   425     35,811
Alarm.com Holdings, Inc. (A)   841     60,947
Alkami Technology, Inc. (A)   1,556     38,231
Altair Engineering, Inc., Class A (A)   910     78,397
American Software, Inc., Class A   618     7,076
Amplitude, Inc., Class A (A)   1,391     15,134
ANSYS, Inc. (A)   1,474     511,714
Appfolio, Inc., Class A (A)   355     87,593
Appian Corp., Class A (A)   717     28,644
AppLovin Corp., Class A (A)   4,487     310,590
Arteris, Inc. (A)   576     4,216
Asana, Inc., Class A (A)   2,243     34,744
Aspen Technology, Inc. (A)   1,088     232,049
Atlassian Corp., Class A (A)   2,577     502,798
AudioEye, Inc. (A)   147     1,471
Aurora Innovation, Inc. (A)   18,480     52,114
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
AuthID, Inc. (A)   129   $ 984
Autodesk, Inc. (A)   3,626     944,283
AvePoint, Inc. (A)   3,049     24,148
Bentley Systems, Inc., Class B   4,826     252,014
BILL Holdings, Inc. (A)   1,823     125,277
Bit Digital, Inc. (A)(B)   1,535     4,405
Blackbaud, Inc. (A)   900     66,726
Blackline, Inc. (A)   1,030     66,517
Blend Labs, Inc., Class A (A)(B)   3,935     12,789
Box, Inc., Class A (A)   2,429     68,789
Braze, Inc., Class A (A)   1,080     47,844
c3.ai, Inc., Class A (A)(B)   1,947     52,705
Cadence Design Systems, Inc. (A)   4,608     1,434,378
CCC Intelligent Solutions Holdings, Inc. (A)   10,345     123,726
Cerence, Inc. (A)   696     10,962
Cipher Mining, Inc. (A)(B)   4,348     22,392
CleanSpark, Inc. (A)   2,591     54,955
Clear Secure, Inc., Class A   1,499     31,884
Clearwater Analytics Holdings, Inc., Class A (A)   1,529     27,048
CommVault Systems, Inc. (A)   745     75,565
Confluent, Inc., Class A (A)   3,631     110,818
Consensus Cloud Solutions, Inc. (A)   308     4,885
CoreCard Corp. (A)   182     2,011
Crowdstrike Holdings, Inc., Class A (A)   3,833     1,228,821
CS Disco, Inc. (A)   961     7,813
CXApp, Inc. (A)   207     507
Datadog, Inc., Class A (A)   5,077     627,517
Dave, Inc. (A)   165     6,128
Digimarc Corp. (A)   324     8,806
Digital Turbine, Inc. (A)   1,732     4,538
DocuSign, Inc. (A)   3,435     204,554
Dolby Laboratories, Inc., Class A   1,000     83,770
Domo, Inc., Class B (A)   570     5,084
DoubleVerify Holdings, Inc. (A)   2,881     101,296
Dropbox, Inc., Class A (A)   4,461     108,402
Duos Technologies Group, Inc. (A)   91     395
Dynatrace, Inc. (A)   5,163     239,770
E2open Parent Holdings, Inc. (A)   5,332     23,674
eGain Corp. (A)   659     4,251
Elastic NV (A)   1,666     167,000
Enfusion, Inc., Class A (A)   1,414     13,080
Envestnet, Inc. (A)   921     53,335
Everbridge, Inc. (A)   685     23,859
Expensify, Inc., Class A (A)   1,117     2,055
Fair Isaac Corp. (A)   420     524,836
Five9, Inc. (A)   1,233     76,582
Fortinet, Inc. (A)   13,337     911,050
Freshworks, Inc., Class A (A)   3,246     59,110
Gen Digital, Inc.   10,808     242,099
Gitlab, Inc., Class A (A)   1,766     102,993
Guidewire Software, Inc. (A)   1,370     159,893
HashiCorp, Inc., Class A (A)   1,884     50,774
HubSpot, Inc. (A)   848     531,323
Informatica, Inc., Class A (A)   4,114     143,990
Instructure Holdings, Inc. (A)   2,482     53,065
Intapp, Inc. (A)   1,174     40,268
Intellicheck, Inc. (A)   96     334
InterDigital, Inc.   505     53,762
Intuit, Inc.   4,752     3,088,800
Jamf Holding Corp. (A)   2,133     39,141
JFrog, Ltd. (A)   1,748     77,297
Kaltura, Inc. (A)   1,831     2,472
LivePerson, Inc. (A)   1,343     1,340
 
  301  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
LiveRamp Holdings, Inc. (A)   1,144   $ 39,468
Manhattan Associates, Inc. (A)   1,045     261,490
Marathon Digital Holdings, Inc. (A)   3,782     85,398
Matterport, Inc. (A)   5,336     12,059
MeridianLink, Inc. (A)   1,335     24,965
MicroCloud Hologram, Inc. (A)   90     347
Microsoft Corp.   126,024     53,020,817
MicroStrategy, Inc., Class A (A)(B)   206     351,139
Mitek Systems, Inc. (A)   858     12,098
Model N, Inc. (A)   632     17,993
N-able, Inc. (A)   3,105     40,582
NCino, Inc. (A)   1,925     71,957
NCR Voyix Corp. (A)   2,337     29,516
NextNav, Inc. (A)(B)   1,876     12,344
Nutanix, Inc., Class A (A)   3,978     245,522
Olo, Inc., Class A (A)   1,891     10,382
ON24, Inc.   546     3,898
OneSpan, Inc. (A)   743     8,641
Oracle Corp.   46,051     5,784,466
PagerDuty, Inc. (A)   1,555     35,267
Palantir Technologies, Inc., Class A (A)   34,727     799,068
Palo Alto Networks, Inc. (A)   5,188     1,474,066
Pegasystems, Inc.   1,415     91,466
Porch Group, Inc. (A)   1,620     6,982
PowerSchool Holdings, Inc., Class A (A)   2,765     58,867
Procore Technologies, Inc. (A)   2,420     198,851
Progress Software Corp.   725     38,650
PROS Holdings, Inc. (A)   783     28,446
PTC, Inc. (A)   2,011     379,958
Q2 Holdings, Inc. (A)   981     51,561
Qualys, Inc. (A)   614     102,458
Rapid7, Inc. (A)   1,032     50,609
Red Violet, Inc. (A)   179     3,499
Rekor Systems, Inc. (A)   1,043     2,388
ReposiTrak, Inc.   166     2,631
Rimini Street, Inc. (A)   1,519     4,952
RingCentral, Inc., Class A (A)   1,429     49,643
Riot Platforms, Inc. (A)   3,524     43,134
Roper Technologies, Inc.   1,812     1,016,242
Salesforce, Inc.   16,504     4,970,675
Samsara, Inc., Class A (A)   2,853     107,815
SecureWorks Corp., Class A (A)   542     3,642
SEMrush Holdings, Inc., Class A (A)(B)   2,009     26,639
SentinelOne, Inc., Class A (A)   4,111     95,827
ServiceNow, Inc. (A)   3,465     2,641,716
Smartsheet, Inc., Class A (A)   2,267     87,280
SolarWinds Corp. (A)   2,802     35,361
SoundHound AI, Inc., Class A (A)(B)   3,460     20,379
SoundThinking, Inc. (A)   239     3,795
Sprinklr, Inc., Class A (A)   2,310     28,344
Sprout Social, Inc., Class A (A)   816     48,723
SPS Commerce, Inc. (A)   618     114,268
Stronghold Digital Mining, Inc. (A)   130     540
Synopsys, Inc. (A)   2,581     1,475,042
Telos Corp. (A)   1,120     4,659
Tenable Holdings, Inc. (A)   1,968     97,278
Teradata Corp. (A)   1,675     64,772
TeraWulf, Inc. (A)(B)   4,043     10,633
Tyler Technologies, Inc. (A)   715     303,882
UiPath, Inc., Class A (A)   8,122     184,126
Unity Software, Inc. (A)   6,529     174,324
Upland Software, Inc. (A)   553     1,709
Varonis Systems, Inc. (A)   1,852     87,359
Verint Systems, Inc. (A)   1,108     36,730
Veritone, Inc. (A)   682     3,587
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Software (continued)      
Vertex, Inc., Class A (A)   940   $ 29,854
Viant Technology, Inc., Class A (A)   614     6,545
Weave Communications, Inc. (A)   1,088     12,490
Workday, Inc., Class A (A)   3,511     957,625
Workiva, Inc. (A)   847     71,826
Xperi, Inc. (A)   833     10,046
Yext, Inc. (A)   2,165     13,055
Zeta Global Holdings Corp., Class A (A)   3,081     33,675
Zoom Video Communications, Inc., Class A (A)   4,280     279,784
Zscaler, Inc. (A)   2,474     476,567
Zuora, Inc., Class A (A)   2,245     20,474
          95,660,571
Technology hardware, storage and peripherals – 5.2%      
Apple, Inc.   262,107     44,946,108
Composecure, Inc. (A)   111     803
Corsair Gaming, Inc. (A)   1,717     21,188
CPI Card Group, Inc. (A)   174     3,108
Dell Technologies, Inc., Class C   4,286     489,075
Diebold Nixdorf, Inc. (A)   570     19,631
Eastman Kodak Company (A)   974     4,821
Hewlett Packard Enterprise Company   21,796     386,443
HP, Inc.   16,684     504,190
Immersion Corp. (A)   731     5,468
Intevac, Inc. (A)   711     2,730
IonQ, Inc. (A)(B)   3,452     34,485
NetApp, Inc.   3,522     369,704
One Stop Systems, Inc. (A)   311     1,014
Pure Storage, Inc., Class A (A)   5,214     271,076
Seagate Technology Holdings PLC   3,505     326,140
Super Micro Computer, Inc. (A)   897     905,997
TransAct Technologies, Inc. (A)   27     141
Turtle Beach Corp. (A)   214     3,689
Western Digital Corp. (A)   5,462     372,727
Xerox Holdings Corp.   2,572     46,039
          48,714,577
          250,714,851
Materials – 2.8%          
Chemicals – 1.5%      
Advanced Emissions Solutions, Inc. (A)   447     2,897
AdvanSix, Inc.   524     14,986
Air Products & Chemicals, Inc.   3,773     914,085
Albemarle Corp.   2,004     264,007
Alto Ingredients, Inc. (A)   1,282     2,795
American Vanguard Corp.   632     8,184
Arcadium Lithium PLC (A)   18,424     79,407
Ashland, Inc.   880     85,686
Aspen Aerogels, Inc. (A)   1,192     20,979
Avient Corp.   1,554     67,444
Axalta Coating Systems, Ltd. (A)   3,722     128,000
Balchem Corp.   540     83,673
Cabot Corp.   964     88,881
Celanese Corp.   1,836     315,535
CF Industries Holdings, Inc.   3,266     271,764
Core Molding Technologies, Inc. (A)   65     1,230
Corteva, Inc.   12,069     696,019
CVR Nitrogen LP (A)(C)   1,086     195
Dow, Inc.   11,851     686,528
DuPont de Nemours, Inc.   7,799     597,949
Eastman Chemical Company   1,972     197,634
Ecolab, Inc.   4,845     1,118,711
Ecovyst, Inc. (A)   2,468     27,518
Element Solutions, Inc.   3,916     97,822
Flotek Industries, Inc. (A)   471     1,762
 
  302  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Chemicals (continued)      
FMC Corp.   2,131   $ 135,745
Ginkgo Bioworks Holdings, Inc. (A)(B)   27,683     32,112
Hawkins, Inc.   415     31,872
HB Fuller Company   899     71,686
Huntsman Corp.   3,124     81,318
Ingevity Corp. (A)   659     31,434
Innospec, Inc.   400     51,576
International Flavors & Fragrances, Inc.   4,346     373,713
Intrepid Potash, Inc. (A)   189     3,943
Koppers Holdings, Inc.   390     21,516
Kronos Worldwide, Inc.   1,678     19,800
Linde PLC   8,278     3,843,641
LSB Industries, Inc. (A)   1,275     11,195
LyondellBasell Industries NV, Class A   5,442     556,608
Mativ Holdings, Inc.   986     18,488
Minerals Technologies, Inc.   519     39,070
NewMarket Corp.   157     99,635
Novusterra, Inc. (A)(C)   88     0
Olin Corp.   2,166     127,361
PPG Industries, Inc.   4,001     579,745
PureCycle Technologies, Inc. (A)(B)   2,836     17,640
Quaker Chemical Corp.   311     63,833
Rayonier Advanced Materials, Inc. (A)   1,194     5,707
RPM International, Inc.   2,176     258,835
Sensient Technologies Corp.   716     49,540
Stepan Company   363     32,685
The Chemours Company   2,472     64,915
The Mosaic Company   5,635     182,912
The Scotts Miracle-Gro Company   940     70,115
The Sherwin-Williams Company   4,363     1,515,401
Trinseo PLC   546     2,064
Tronox Holdings PLC   2,583     44,815
Valhi, Inc.   518     8,899
Westlake Chemical Partners LP   369     8,192
Westlake Corp.   2,161     330,201
          14,559,903
Construction materials – 0.3%      
CRH PLC (New York Stock Exchange)   11,728     1,011,657
Eagle Materials, Inc.   600     163,050
Knife River Corp. (A)   933     75,648
Martin Marietta Materials, Inc.   1,041     639,112
Summit Materials, Inc., Class A (A)   2,073     92,394
United States Lime & Minerals, Inc.   114     33,988
Vulcan Materials Company   2,256     615,708
          2,631,557
Containers and packaging – 0.3%      
AptarGroup, Inc.   1,107     159,286
Avery Dennison Corp.   1,362     304,067
Ball Corp.   5,350     360,376
Berry Global Group, Inc.   1,954     118,178
Crown Holdings, Inc.   2,047     162,245
Graphic Packaging Holding Company   5,178     151,094
Greif, Inc., Class A   508     35,077
International Paper Company   5,838     227,799
Myers Industries, Inc.   710     16,451
O-I Glass, Inc. (A)   2,587     42,918
Packaging Corp. of America   1,515     287,517
Pactiv Evergreen, Inc.   2,903     41,571
Ranpak Holdings Corp. (A)   1,290     10,152
Sealed Air Corp.   2,439     90,731
Silgan Holdings, Inc.   1,867     90,662
Sonoco Products Company   1,604     92,775
TriMas Corp.   806     21,544
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Containers and packaging (continued)      
Westrock Company   4,347   $ 214,959
          2,427,402
Metals and mining – 0.7%      
5E Advanced Materials, Inc. (A)   910     1,219
Alcoa Corp.   3,047     102,958
Alpha Metallurgical Resources, Inc.   229     75,838
Arch Resources, Inc.   298     47,915
ATI, Inc. (A)   2,184     111,755
Atlas Lithium Corp. (A)   231     3,932
Carpenter Technology Corp.   853     60,921
Century Aluminum Company (A)   1,672     25,732
Cleveland-Cliffs, Inc. (A)   8,622     196,064
Coeur Mining, Inc. (A)   5,923     22,330
Commercial Metals Company   1,950     114,602
Compass Minerals International, Inc.   681     10,719
Contango ORE, Inc. (A)   161     3,196
Dakota Gold Corp. (A)   1,394     3,304
Freeport-McMoRan, Inc.   24,362     1,145,501
Friedman Industries, Inc.   48     900
Gatos Silver, Inc. (A)   1,095     9,187
Haynes International, Inc.   261     15,691
Hecla Mining Company   10,616     51,063
Hycroft Mining Holding Corp. (A)   359     793
Kaiser Aluminum Corp.   289     25,825
Materion Corp.   365     48,089
Metallus, Inc. (A)   841     18,712
MP Materials Corp. (A)(B)   3,098     44,301
Newmont Corp.   19,650     704,256
NioCorp Developments, Ltd. (A)   588     1,599
Nucor Corp.   4,213     833,753
Olympic Steel, Inc.   262     18,571
Pan American Silver Corp., CVR (A)   7,232     3,240
Piedmont Lithium, Inc. (A)   306     4,076
Radius Recycling, Inc.   532     11,241
Ramaco Resources, Inc. (A)   712     11,990
Ramaco Resources, Inc., Class B   134     1,682
Reliance, Inc.   989     330,504
Royal Gold, Inc.   1,113     135,575
Ryerson Holding Corp.   653     21,876
Southern Copper Corp.   13,104     1,395,838
Steel Dynamics, Inc.   2,797     414,599
SunCoke Energy, Inc.   1,558     17,559
Tredegar Corp.   821     5,353
U.S. Steel Corp.   3,744     152,680
Universal Stainless & Alloy Products, Inc. (A)   39     874
US Gold Corp. (A)   143     525
Warrior Met Coal, Inc.   859     52,141
Worthington Steel, Inc. (A)   824     29,540
          6,288,019
Paper and forest products – 0.0%      
Clearwater Paper Corp. (A)   317     13,862
Glatfelter Corp. (A)   999     1,998
Louisiana-Pacific Corp.   1,224     102,706
Mercer International, Inc.   1,093     10,875
Sylvamo Corp.   693     42,786
          172,227
          26,079,108
Real estate – 2.5%          
Diversified REITs – 0.1%      
Alexander & Baldwin, Inc.   1,411     23,239
American Assets Trust, Inc.   1,151     25,218
Armada Hoffler Properties, Inc.   1,229     12,782
Broadstone Net Lease, Inc.   2,771     43,422
 
  303  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Diversified REITs (continued)      
Empire State Realty Trust, Inc., Class A   2,981   $ 30,198
Essential Properties Realty Trust, Inc.   2,477     66,037
Gladstone Commercial Corp.   793     10,975
Global Net Lease, Inc.   3,529     27,420
NexPoint Diversified Real Estate Trust   631     4,165
One Liberty Properties, Inc.   547     12,357
WP Carey, Inc.   3,602     203,297
          459,110
Health care REITs – 0.2%      
CareTrust REIT, Inc.   1,867     45,499
Community Healthcare Trust, Inc.   472     12,532
Diversified Healthcare Trust   4,438     10,917
Global Medical REIT, Inc.   854     7,473
Healthcare Realty Trust, Inc.   6,470     91,551
Healthpeak Properties, Inc.   11,740     220,125
LTC Properties, Inc.   749     24,350
Medical Properties Trust, Inc.   10,085     47,400
National Health Investors, Inc.   787     49,447
Omega Healthcare Investors, Inc.   4,097     129,752
Sabra Health Care REIT, Inc.   4,102     60,587
Universal Health Realty Income Trust   293     10,756
Ventas, Inc.   6,814     296,682
Welltower, Inc.   8,806     822,833
          1,829,904
Hotel and resort REITs – 0.1%      
Apple Hospitality REIT, Inc.   3,995     65,438
Ashford Hospitality Trust, Inc. (A)   444     608
Braemar Hotels & Resorts, Inc.   978     1,956
Chatham Lodging Trust   1,043     10,545
DiamondRock Hospitality Company   3,725     35,797
Host Hotels & Resorts, Inc.   11,922     246,547
Park Hotels & Resorts, Inc.   3,834     67,057
Pebblebrook Hotel Trust   2,310     35,597
RLJ Lodging Trust   2,896     34,231
Ryman Hospitality Properties, Inc.   987     114,107
Service Properties Trust   3,030     20,543
Summit Hotel Properties, Inc.   2,173     14,146
Sunstone Hotel Investors, Inc.   3,688     41,084
Xenia Hotels & Resorts, Inc.   2,067     31,026
          718,682
Industrial REITs – 0.3%      
Americold Realty Trust, Inc.   4,591     114,408
EastGroup Properties, Inc.   762     136,985
First Industrial Realty Trust, Inc.   2,253     118,373
Industrial Logistics Properties Trust   1,490     6,392
Innovative Industrial Properties, Inc.   457     47,318
LXP Industrial Trust   4,958     44,721
Plymouth Industrial REIT, Inc.   501     11,273
Prologis, Inc.   15,691     2,043,282
Rexford Industrial Realty, Inc.   3,530     177,559
STAG Industrial, Inc.   2,912     111,937
Terreno Realty Corp.   1,421     94,354
          2,906,602
Office REITs – 0.1%      
Alexandria Real Estate Equities, Inc.   2,930     377,706
Boston Properties, Inc.   2,610     170,459
Brandywine Realty Trust   3,382     16,234
COPT Defense Properties   2,009     48,558
Cousins Properties, Inc.   2,664     64,043
Douglas Emmett, Inc.   2,995     41,541
Easterly Government Properties, Inc.   1,561     17,967
Equity Commonwealth (A)   1,849     34,909
Franklin Street Properties Corp.   2,261     5,132
Highwoods Properties, Inc.   1,854     48,538
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Office REITs (continued)      
Hudson Pacific Properties, Inc.   2,615   $ 16,867
JBG SMITH Properties   2,054     32,967
Kilroy Realty Corp.   2,018     73,516
NET Lease Office Properties   222     5,284
New York REIT Liquidating LLC (A)(C)   457     2,975
Office Properties Income Trust   1,104     2,252
Orion Office REIT, Inc.   983     3,450
Paramount Group, Inc.   4,071     19,093
Peakstone Realty Trust   700     11,291
Piedmont Office Realty Trust, Inc., Class A   2,477     17,413
SL Green Realty Corp.   1,037     57,170
Vornado Realty Trust   3,256     93,675
          1,161,040
Real estate management and development – 0.2%      
Anywhere Real Estate, Inc. (A)   1,793     11,081
CBRE Group, Inc., Class A (A)   5,256     511,093
Compass, Inc., Class A (A)   7,930     28,548
CoStar Group, Inc. (A)   6,941     670,501
DigitalBridge Group, Inc.   2,720     52,414
Doma Holdings, Inc. (A)   230     1,044
Douglas Elliman, Inc. (A)   1,475     2,331
eXp World Holdings, Inc. (B)   2,650     27,375
Fathom Holdings, Inc. (A)   361     718
Five Point Holdings LLC, Class A (A)   1,135     3,553
Forestar Group, Inc. (A)   999     40,150
FRP Holdings, Inc. (A)   226     13,876
Howard Hughes Holdings, Inc. (A)   851     61,800
Jones Lang LaSalle, Inc. (A)   802     156,462
Kennedy-Wilson Holdings, Inc.   2,252     19,322
LuxUrban Hotels, Inc. (A)   537     741
Marcus & Millichap, Inc.   708     24,192
Maui Land & Pineapple Company, Inc. (A)   251     5,437
Newmark Group, Inc., Class A   2,923     32,416
Offerpad Solutions, Inc. (A)(B)   456     3,694
Opendoor Technologies, Inc. (A)   11,190     33,906
Rafael Holdings, Inc., Class B (A)   347     597
RE/MAX Holdings, Inc., Class A   374     3,280
Redfin Corp. (A)   1,922     12,781
Seritage Growth Properties, Class A (A)   866     8,357
Star Holdings (A)   189     2,442
Stratus Properties, Inc. (A)   114     2,603
Tejon Ranch Company (A)   577     8,892
The RMR Group, Inc., Class A   311     7,464
The St. Joe Company   1,041     60,347
Transcontinental Realty Investors, Inc. (A)   94     3,539
WeWork, Inc., Class A (A)   27,947     2,096
Zillow Group, Inc., Class A (A)   240     11,486
Zillow Group, Inc., Class C (A)   3,624     176,779
          2,001,317
Residential REITs – 0.3%      
American Homes 4 Rent, Class A   6,153     226,307
Apartment Income REIT Corp.   2,626     85,266
Apartment Investment and Management Company, Class A (A)   2,711     22,203
AvalonBay Communities, Inc.   2,406     446,457
Bluerock Homes Trust, Inc.   85     1,442
BRT Apartments Corp.   385     6,468
Camden Property Trust   1,800     177,120
Centerspace   226     12,914
Elme Communities   1,645     22,898
Equity LifeStyle Properties, Inc.   3,171     204,212
Equity Residential   6,415     404,851
 
  304  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Residential REITs (continued)      
Essex Property Trust, Inc.   1,080   $ 264,395
Independence Realty Trust, Inc.   3,712     59,875
Invitation Homes, Inc.   10,387     369,881
Mid-America Apartment Communities, Inc.   1,970     259,213
NexPoint Residential Trust, Inc.   480     15,451
Sun Communities, Inc.   2,124     273,104
UDR, Inc.   5,550     207,626
UMH Properties, Inc.   958     15,558
Veris Residential, Inc.   1,641     24,960
          3,100,201
Retail REITs – 0.3%      
Acadia Realty Trust   1,812     30,822
Agree Realty Corp.   1,590     90,821
Alexander's, Inc.   105     22,800
Brixmor Property Group, Inc.   5,029     117,930
CBL & Associates Properties, Inc.   353     8,087
Federal Realty Investment Trust   1,354     138,270
Getty Realty Corp.   881     24,095
InvenTrust Properties Corp.   993     25,530
Kimco Realty Corp.   11,297     221,534
Kite Realty Group Trust   3,726     80,780
NETSTREIT Corp.   852     15,651
NNN REIT, Inc.   3,009     128,605
Phillips Edison & Company, Inc.   1,954     70,090
Realty Income Corp.   13,892     751,557
Regency Centers Corp.   3,078     186,404
Retail Opportunity Investments Corp.   2,320     29,742
Saul Centers, Inc.   490     18,860
Simon Property Group, Inc.   5,522     864,138
SITE Centers Corp.   3,696     54,146
Tanger, Inc.   1,832     54,099
The Macerich Company   3,448     59,409
Urban Edge Properties   2,162     37,338
Whitestone REIT   991     12,437
          3,043,145
Specialized REITs – 0.9%      
American Tower Corp.   7,915     1,563,925
Crown Castle, Inc.   7,354     778,274
CubeSmart   3,757     169,892
Digital Realty Trust, Inc.   5,129     738,781
EPR Properties   1,307     55,482
Equinix, Inc.   1,588     1,310,624
Extra Space Storage, Inc.   3,585     526,995
Farmland Partners, Inc.   930     10,323
Four Corners Property Trust, Inc.   1,453     35,555
Gaming and Leisure Properties, Inc.   4,356     200,681
Gladstone Land Corp.   706     9,418
Iron Mountain, Inc.   4,919     394,553
Lamar Advertising Company, Class A   1,457     173,980
National Storage Affiliates Trust   1,445     56,586
Outfront Media, Inc.   2,732     45,870
PotlatchDeltic Corp.   1,431     67,286
Public Storage   2,982     864,959
Rayonier, Inc.   2,536     84,297
Safehold, Inc.   1,263     26,018
SBA Communications Corp.   1,845     399,812
Uniti Group, Inc.   4,136     24,402
VICI Properties, Inc.   17,132     510,362
Weyerhaeuser Company   12,365     444,027
          8,492,102
          23,712,103
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Utilities – 2.0%          
Electric utilities – 1.2%      
ALLETE, Inc.   971   $ 57,910
Alliant Energy Corp.   4,261     214,754
American Electric Power Company, Inc.   8,760     754,236
Avangrid, Inc.   210     7,652
Constellation Energy Corp.   5,453     1,007,987
Duke Energy Corp.   13,076     1,264,580
Edison International   6,487     458,826
Entergy Corp.   3,564     376,644
Evergy, Inc.   3,875     206,848
Eversource Energy   5,975     357,126
Exelon Corp.   16,926     635,910
FirstEnergy Corp.   9,714     375,155
Genie Energy, Ltd., B Shares   600     9,048
Hawaiian Electric Industries, Inc.   1,861     20,973
IDACORP, Inc.   843     78,306
MGE Energy, Inc.   651     51,247
NextEra Energy, Inc.   34,830     2,225,985
NRG Energy, Inc.   3,873     262,163
OGE Energy Corp.   3,277     112,401
Otter Tail Corp.   715     61,776
PG&E Corp.   35,573     596,203
Pinnacle West Capital Corp.   1,895     141,613
PNM Resources, Inc.   1,429     53,788
Portland General Electric Company   1,623     68,166
PPL Corp.   12,354     340,106
The Southern Company   18,541     1,330,131
Via Renewables, Inc. (A)   126     1,362
Xcel Energy, Inc.   9,407     505,626
          11,576,522
Gas utilities – 0.1%      
Atmos Energy Corp.   2,524     300,028
Chesapeake Utilities Corp.   341     36,589
National Fuel Gas Company   1,479     79,452
New Jersey Resources Corp.   1,632     70,029
Northwest Natural Holding Company   625     23,263
ONE Gas, Inc.   913     58,916
RGC Resources, Inc.   228     4,615
Southwest Gas Holdings, Inc.   1,193     90,823
Spire, Inc.   874     53,637
Star Group LP   508     5,090
UGI Corp.   3,486     85,546
          807,988
Independent power and renewable electricity producers –
0.1%
     
Altus Power, Inc. (A)   2,685     12,834
Clearway Energy, Inc., Class A   1,122     24,134
Clearway Energy, Inc., Class C   974     22,451
Montauk Renewables, Inc. (A)   2,461     10,238
Ormat Technologies, Inc.   1,025     67,845
Spruce Power Holding Corp. (A)   305     1,211
Sunnova Energy International, Inc. (A)   2,105     12,904
The AES Corp.   11,350     203,506
Vistra Corp.   6,203     432,039
          787,162
Multi-utilities – 0.5%      
Ameren Corp.   4,496     332,524
Avista Corp.   1,244     43,565
Black Hills Corp.   1,090     59,514
CenterPoint Energy, Inc.   10,738     305,926
CMS Energy Corp.   4,917     296,692
Consolidated Edison, Inc.   5,820     528,514
Dominion Energy, Inc.   14,221     699,531
DTE Energy Company   3,487     391,032
 
  305  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
COMMON STOCKS (continued)      
Multi-utilities (continued)      
NiSource, Inc.   6,883   $ 190,384
Northwestern Energy Group, Inc.   961     48,944
Public Service Enterprise Group, Inc.   8,428     562,822
Sempra   10,693     768,078
Unitil Corp.   316     16,543
WEC Energy Group, Inc.   5,354     439,670
          4,683,739
Water utilities – 0.1%      
American States Water Company   629     45,439
American Water Works Company, Inc.   3,314     405,004
Artesian Resources Corp., Class A   193     7,162
Cadiz, Inc. (A)   1,083     3,141
California Water Service Group   956     44,435
Essential Utilities, Inc.   4,505     166,910
Global Water Resources, Inc.   595     7,640
Middlesex Water Company   324     17,010
Pure Cycle Corp. (A)   615     5,843
SJW Group   527     29,823
The York Water Company   308     11,171
          743,578
          18,598,989
TOTAL COMMON STOCKS (Cost $400,053,400)   $ 917,245,993
PREFERRED SECURITIES – 0.0%          
Consumer discretionary – 0.0%          
Broadline retail – 0.0%      
Qurate Retail, Inc., 8.000%   260     12,927
Industrials – 0.0%          
Industrial conglomerates – 0.0%      
Steel Partners Holdings LP, 6.000%   510     12,271
TOTAL PREFERRED SECURITIES (Cost $82,033)   $ 25,198
RIGHTS – 0.0%          
Empire Petroleum Corp. (Expiration Date: 4-10-24; Strike Price: $5.00) (A)   414     0
TOTAL RIGHTS (Cost $0)   $ 0
Total Stock Market Index Trust (continued)
    Shares or
Principal
Amount
  Value
WARRANTS – 0.0%          
Cassava Sciences, Inc. (Expiration Date: 11-15-24; Strike Price: $33.00) (A)   271   $ 1,092
Chord Energy Corp. (Expiration Date: 11-19-24; Strike Price: $90.57) (A)   31     3,087
Nabors Industries, Ltd. (Expiration Date: 6-11-26; Strike Price: $166.67) (A)   77     631
TOTAL WARRANTS (Cost $62,446)   $ 4,810
SHORT-TERM INVESTMENTS – 2.4%      
Short-term funds – 2.4%          
John Hancock Collateral Trust, 5.2975% (D)(E)   2,216,932     22,163,559
TOTAL SHORT-TERM INVESTMENTS (Cost $22,170,570)   $ 22,163,559
Total Investments (Total Stock Market Index Trust)
(Cost $422,368,449) – 100.3%
  $ 939,439,560
Other assets and liabilities, net – (0.3%)     (3,078,389)
TOTAL NET ASSETS – 100.0%   $ 936,361,171
Security Abbreviations and Legend
ADR American Depositary Receipt
CVR Contingent Value Right
(A) Non-income producing security.
(B) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $3,839,783.
(C) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(D) The rate shown is the annualized seven-day yield as of 3-31-24.
(E) Investment is an affiliate of the fund, the advisor and/or subadvisor. A portion of this security represents the investment of cash collateral received for securities lending. Market value of this investment amounted to $3,966,928.
 
DERIVATIVES
FUTURES
Open contracts Number of
contracts
Position Expiration
date
Notional
basis^
Notional
value^
Unrealized
appreciation
(depreciation)
Russell 2000 E-Mini Index Futures 22 Long Jun 2024 $2,317,666 $2,360,490 $42,824
S&P 500 E-Mini Index Futures 70 Long Jun 2024 18,286,162 18,579,750 293,588
            $336,412
    
^ Notional basis refers to the contractual amount agreed upon at inception of open contracts; notional value represents the current value of the open contract.
Ultra Short Term Bond Trust
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY OBLIGATIONS –
0.6%
     
U.S. Government Agency – 0.6%          
Federal Home Loan Mortgage Corp.          
5.349%, (1 Year CMT + 2.231%), 05/01/2034 (A) $ 74,533   $ 75,089
Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
5.356%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.558%), 02/01/2036 (A) $ 27,355   $ 27,771
 
  306  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
U.S. GOVERNMENT AND AGENCY
OBLIGATIONS (continued)
     
U.S. Government Agency (continued)          
Federal Home Loan
Mortgage Corp. (continued)
         
5.375%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.587%), 05/01/2037 (A) $ 44,910   $ 45,594
5.467%, (1 Year CMT + 2.165%), 11/01/2036 (A)   56,465     57,018
5.697%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.447%), 06/01/2036 (A)   13,904     14,115
5.770%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.639%), 09/01/2043 (A)   157,177     159,573
5.815%, (6 month Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.565%), 12/01/2036 (A)   19,386     19,562
6.098%, (1 Year CMT + 2.083%), 12/01/2035 (A)   70,698     70,767
6.295%, (1 Year CMT + 2.295%), 08/01/2035 (A)   54,391     54,986
7.390%, (6 month Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.515%), 12/01/2035 (A)   15,660     15,782
Federal National Mortgage Association          
5.420%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.295%), 10/01/2038 (A)   21,711     21,921
5.513%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.567%), 07/01/2035 (A)   94,996     96,675
5.699%, (1 Year Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.450%), 04/01/2035 (A)   179,128     181,437
6.084%, (1 Year CMT + 2.271%), 07/01/2035 (A)   58,804     59,537
6.098%, (1 Year CMT + 2.333%), 05/01/2034 (A)   38,894     39,462
6.268%, (1 Year CMT + 2.167%), 01/01/2036 (A)   77,114     77,794
6.274%, (1 Year CMT + 2.149%), 01/01/2036 (A)   25,597     25,837
6.314%, (1 Year CMT + 2.204%), 05/01/2036 (A)   113,001     114,126
6.323%, (1 Year CMT + 2.194%), 02/01/2035 (A)   86,773     87,589
7.177%, (6 month Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.485%), 10/01/2035 (A)   67,277     67,920
7.221%, (6 month Refinitiv USD IBOR Consumer Cash Fallback Rate + 1.517%), 02/01/2035 (A)   39,679     40,073
Government National Mortgage Association
3.625%, (1 Year CMT + 1.500%), 08/20/2032 (A)
  75,887     74,510
          1,427,138
TOTAL U.S. GOVERNMENT AND AGENCY OBLIGATIONS (Cost $1,479,736)   $ 1,427,138
CORPORATE BONDS – 55.5%      
Communication services – 2.1%          
Charter Communications Operating LLC
4.908%, 07/23/2025
  2,000,000     1,975,660
Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Communication services (continued)          
Comcast Corp.
3.950%, 10/15/2025
$ 2,000,000   $ 1,966,593
WarnerMedia Holdings, Inc.
3.638%, 03/15/2025
  1,111,000     1,088,926
          5,031,179
Consumer discretionary – 8.1%          
Amazon.com, Inc.          
0.450%, 05/12/2024   4,455,000     4,428,677
2.730%, 04/13/2024   2,000,000     1,997,558
BMW US Capital LLC
2.800%, 04/11/2026 (B)
  3,000,000     2,869,828
Booking Holdings, Inc.
3.650%, 03/15/2025
  2,000,000     1,967,996
Expedia Group, Inc.
6.250%, 05/01/2025 (B)
  1,450,000     1,456,340
Ford Motor Credit Company LLC
4.389%, 01/08/2026
  1,107,000     1,079,749
General Motors Financial Company, Inc.
2.900%, 02/26/2025
  2,000,000     1,950,989
Hyundai Capital America
5.250%, 01/08/2027 (B)
  2,000,000     1,998,204
The Walt Disney Company
3.000%, 02/13/2026
  2,000,000     1,928,107
          19,677,448
Consumer staples – 2.4%          
Anheuser-Busch Companies LLC
3.650%, 02/01/2026
  595,000     581,427
Dollar Tree, Inc.
4.000%, 05/15/2025
  2,906,000     2,856,939
Kenvue, Inc.
5.500%, 03/22/2025
  1,000,000     1,001,742
Walmart, Inc.
2.850%, 07/08/2024
  1,370,000     1,360,478
          5,800,586
Energy – 1.2%          
Energy Transfer LP
4.050%, 03/15/2025
  1,480,000     1,458,119
MPLX LP
4.875%, 06/01/2025
  1,500,000     1,487,446
          2,945,565
Financials – 22.1%          
Ally Financial, Inc.
3.875%, 05/21/2024
  2,000,000     1,993,999
American Express Company
6.338%, (6.338% to 10-30-25, then Overnight SOFR + 1.330%), 10/30/2026
  2,000,000     2,026,390
Ares Capital Corp.
3.875%, 01/15/2026
  1,840,000     1,779,716
Bank of America Corp.          
1.530%, (1.530% to 12-6-24, then Overnight SOFR + 0.650%), 12/06/2025   2,000,000     1,943,788
4.000%, 04/01/2024   2,000,000     2,000,000
5.729%, (Overnight SOFR + 0.410%), 06/14/2024 (A)   2,855,000     2,855,445
Barclays PLC
3.932%, (3.932% to 5-7-24, then 3 month LIBOR + 1.610%), 05/07/2025
  2,000,000     1,995,939
Blackstone Private Credit Fund
7.050%, 09/29/2025
  2,000,000     2,029,837
 
  307  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Financials (continued)          
BNP Paribas SA
2.819%, (2.819% to 11-19-24, then 3 month CME Term SOFR + 1.373%), 11/19/2025 (B)
$ 1,293,000   $ 1,268,046
Brighthouse Financial Global Funding
6.100%, (Overnight SOFR + 0.760%), 04/12/2024 (A)(B)
  2,000,000     2,000,183
Citigroup, Inc.
3.352%, (3.352% to 4-24-24, then 3 month CME Term SOFR + 1.158%), 04/24/2025
  3,000,000     2,995,018
Citizens Bank NA
6.064%, (6.064% to 10-24-24, then Overnight SOFR + 1.450%), 10/24/2025
  1,333,000     1,327,650
Credit Agricole SA
1.247%, (1.247% to 1-26-26, then Overnight SOFR + 0.892%), 01/26/2027 (B)
  2,000,000     1,853,465
Discover Bank
4.250%, 03/13/2026
  2,000,000     1,948,011
JPMorgan Chase & Co.          
3.900%, 07/15/2025   3,000,000     2,950,508
5.546%, (5.546% to 12-15-24, then Overnight SOFR + 1.070%), 12/15/2025   1,750,000     1,748,882
Morgan Stanley          
2.188%, (2.188% to 4-28-25, then Overnight SOFR + 1.990%), 04/28/2026   2,000,000     1,929,503
3.875%, 04/29/2024   2,000,000     1,997,068
Royal Bank of Canada
5.660%, 10/25/2024
  2,000,000     2,001,404
Santander Holdings USA, Inc.
3.244%, 10/05/2026
  3,000,000     2,834,169
The Toronto-Dominion Bank
1.200%, 06/03/2026
  2,000,000     1,839,456
U.S. Bancorp
5.727%, (5.727% to 10-21-25, then Overnight SOFR + 1.430%), 10/21/2026
  1,450,000     1,457,843
UBS Group AG
4.490%, (4.490% to 8-5-24, then 1 Year CMT + 1.600%), 08/05/2025 (B)
  2,000,000     1,990,053
Visa, Inc.
3.150%, 12/14/2025
  3,000,000     2,917,363
Wells Fargo & Company          
3.000%, 02/19/2025   1,495,000     1,462,523
3.300%, 09/09/2024   2,765,000     2,738,674
          53,884,933
Health care – 8.3%          
AbbVie, Inc.
3.200%, 05/14/2026
  3,000,000     2,895,546
Amgen, Inc.
5.507%, 03/02/2026
  1,820,000     1,817,450
Astrazeneca Finance LLC
1.200%, 05/28/2026
  2,000,000     1,847,465
Baxter International, Inc.
1.915%, 02/01/2027
  2,000,000     1,826,158
Boston Scientific Corp.
1.900%, 06/01/2025
  1,000,000     960,709
Bristol-Myers Squibb Company
3.200%, 06/15/2026
  3,000,000     2,892,110
CVS Health Corp.
5.000%, 02/20/2026
  3,000,000     2,989,524
Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
CORPORATE BONDS (continued)      
Health care (continued)          
HCA, Inc.
5.875%, 02/15/2026
$ 2,000,000   $ 2,008,545
Pfizer Investment Enterprises Pte, Ltd.
4.450%, 05/19/2026
  3,000,000     2,968,820
          20,206,327
Industrials – 2.3%          
3M Company
3.000%, 08/07/2025 (C)
  3,000,000     2,914,143
CSX Corp.
2.600%, 11/01/2026
  2,000,000     1,891,528
Daimler Truck Finance North America LLC
5.200%, 01/17/2025 (B)
  875,000     871,882
          5,677,553
Information technology – 3.0%          
Apple, Inc.          
0.700%, 02/08/2026   1,000,000     927,737
2.850%, 05/11/2024   2,000,000     1,993,602
Broadcom, Inc.
3.150%, 11/15/2025
  1,470,000     1,422,009
Dell International LLC
6.020%, 06/15/2026
  1,429,000     1,447,263
Oracle Corp.
1.650%, 03/25/2026
  1,540,000     1,437,322
          7,227,933
Materials – 2.4%          
Georgia-Pacific LLC
0.625%, 05/15/2024 (B)
  3,000,000     2,981,935
Graphic Packaging International LLC
0.821%, 04/15/2024 (B)
  3,000,000     2,994,374
          5,976,309
Real estate – 1.2%          
American Tower Corp.
3.125%, 01/15/2027
  2,000,000     1,891,007
Realty Income Corp.
5.050%, 01/13/2026
  1,143,000     1,138,966
          3,029,973
Utilities – 2.4%          
Duke Energy Corp.
2.650%, 09/01/2026
  2,000,000     1,888,483
NextEra Energy Capital Holdings, Inc.
4.450%, 06/20/2025
  2,500,000     2,469,561
Vistra Operations Company LLC
5.125%, 05/13/2025 (B)
  1,500,000     1,486,733
          5,844,777
TOTAL CORPORATE BONDS (Cost $135,819,952)     $ 135,302,583
COLLATERALIZED MORTGAGE OBLIGATIONS – 0.2%      
Commercial and residential – 0.0%          
COLT Mortgage Loan Trust
Series 2020-3, Class A1
1.506%, 04/27/2065 (B)(D)
  114,715     108,394
U.S. Government Agency – 0.2%          
Federal National Mortgage Association
Series 2013-10, Class FT (30 day Average SOFR + 0.464%)
5.785%, 04/25/2042 (A)
  409,116     402,953
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS (Cost $524,725)   $ 511,347
 
  308  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES – 22.3%      
American Express Credit Account Master Trust
Series 2022-3, Class A
3.750%, 08/15/2027
$ 2,000,000   $ 1,961,455
AmeriCredit Automobile
Receivables Trust
         
Series 2020-1, Class C
1.590%, 10/20/2025
  341,048     339,973
Series 2022-1, Class A3
2.450%, 11/18/2026
  687,202     675,574
Amur Equipment Finance Receivables XIII LLC
Series 2024-1A, Class A2
5.380%, 01/21/2031 (B)
  1,000,000     999,913
Avis Budget Rental Car Funding
AESOP LLC
         
Series 2019-3A, Class A
2.360%, 03/20/2026 (B)
  2,000,000     1,952,098
Series 2020-1A, Class A
2.330%, 08/20/2026 (B)
  475,000     457,855
Series 2020-2A, Class A
2.020%, 02/20/2027 (B)
  1,000,000     944,063
Series 2022-3A, Class A
4.620%, 02/20/2027 (B)
  850,000     838,877
BA Credit Card Trust
Series 2021-A1, Class A1
0.440%, 09/15/2026
  3,753,000     3,745,248
Capital One Multi-Asset Execution Trust          
Series 2021-A1, Class A1
0.550%, 07/15/2026
  720,000     709,417
Series 2023-A1, Class A
4.420%, 05/15/2028
  2,000,000     1,974,935
CarMax Auto Owner Trust          
Series 2021-2, Class A4
0.810%, 12/15/2026
  475,000     453,128
Series 2021-3, Class A3
0.550%, 06/15/2026
  1,390,739     1,352,479
Series 2022-1, Class A3
1.470%, 12/15/2026
  607,432     591,442
CARS-DB4 LP
Series 2020-1A, Class A1
2.690%, 02/15/2050 (B)
  887,213     861,464
Carvana Auto Receivables Trust          
Series 2021-N4, Class A1
0.830%, 09/11/2028
  88,275     87,840
Series 2022-P3, Class A3
4.610%, 11/10/2027
  1,000,000     989,680
CCG Receivables Trust
Series 2021-1, Class A2
0.300%, 06/14/2027 (B)
  113,602     112,947
Chesapeake Funding II LLC          
Series 2020-1A, Class A1
0.870%, 08/15/2032 (B)
  12,845     12,813
Series 2023-1A, Class A1
5.650%, 05/15/2035 (B)
  695,758     696,502
Series 2023-2A, Class A1
6.160%, 10/15/2035 (B)
  880,992     886,366
Citizens Auto Receivables Trust
Series 2024-1, Class A3
5.110%, 04/17/2028 (B)
  1,800,000     1,797,870
CNH Equipment Trust          
Series 2020-A, Class A4
1.510%, 04/15/2027
  477,904     477,187
Series 2021-B, Class A4
0.700%, 05/17/2027
  600,000     562,871
Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
Enterprise Fleet Financing LLC
Series 2022-3, Class A2
4.380%, 07/20/2029 (B)
$ 515,083   $ 509,611
Enterprise Fleet Funding LLC          
Series 2021-1, Class A2
0.440%, 12/21/2026 (B)
  60,162     59,837
Series 2021-2, Class A3
0.740%, 05/20/2027 (B)
  1,000,000     960,849
Series 2023-3, Class A2
6.400%, 03/20/2030 (B)
  700,000     710,707
Ford Credit Auto Owner Trust
Series 2020-2, Class A
1.060%, 04/15/2033 (B)
  2,000,000     1,873,526
Ford Credit Floorplan Master Owner Trust
Series 2020-2, Class A
1.060%, 09/15/2027
  725,000     681,640
GM Financial Automobile Leasing Trust
Series 2022-3, Class A3
4.010%, 09/22/2025
  1,674,357     1,667,836
GM Financial Consumer Automobile Receivables Trust
Series 2021-1, Class A3
0.350%, 10/16/2025
  212,411     210,734
GreatAmerica Leasing Receivables
Funding LLC
         
Series 2021-1, Class A4
0.550%, 12/15/2026 (B)
  1,332,872     1,303,352
Series 2022-1, Class A3
5.080%, 09/15/2026 (B)
  1,500,000     1,494,151
Harley-Davidson Motorcycle Trust
Series 2021-B, Class A3
0.560%, 11/16/2026
  589,150     577,528
Honda Auto Receivables Owner Trust          
Series 2021-1, Class A3
0.270%, 04/21/2025
  71,122     70,716
Series 2021-4, Class A3
0.880%, 01/21/2026
  815,023     795,160
Hyundai Auto Lease Securitization Trust          
Series 2022-A, Class A4
1.320%, 12/15/2025 (B)
  1,500,000     1,494,996
Series 2022-C, Class A3
4.380%, 10/15/2025 (B)
  900,000     896,014
Hyundai Auto Receivables Trust
Series 2021-A, Class A4
0.620%, 05/17/2027
  1,500,000     1,451,544
John Deere Owner Trust
Series 2023-A, Class A2
5.280%, 03/16/2026
  1,804,539     1,801,366
MMAF Equipment Finance LLC          
Series 2019-B, Class A3
2.010%, 12/12/2024 (B)
  1,837     1,835
Series 2022-B, Class A2
5.570%, 09/09/2025 (B)
  26,284     26,281
Nissan Auto Receivables Owner Trust
Series 2020-B, Class A4
0.710%, 02/16/2027
  106,005     105,780
Santander Drive Auto Receivables Trust
Series 2021-3, Class C
0.950%, 09/15/2027
  264,132     263,123
Santander Retail Auto Lease Trust
Series 2022-A, Class A3
1.340%, 07/21/2025 (B)
  1,251,264     1,238,799
Santander Revolving Auto Loan Trust
Series 2019-A, Class A
2.510%, 01/26/2032 (B)
  940,000     919,778
 
  309  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Ultra Short Term Bond Trust (continued)
    Shares or
Principal
Amount
  Value
ASSET BACKED SECURITIES (continued)      
SBNA Auto Lease Trust          
Series 2023-A, Class A3
6.510%, 04/20/2027 (B)
$ 700,000   $ 710,951
Series 2024-A, Class A3
5.390%, 11/20/2026 (B)
  1,000,000     1,000,234
SCF Equipment Leasing LLC          
Series 2021-1A, Class A3
0.830%, 08/21/2028 (B)
  155,508     153,916
Series 2022-2A, Class A3
6.500%, 10/21/2030 (B)
  2,000,000     2,019,445
T-Mobile US Trust
Series 2022-1A, Class A
4.910%, 05/22/2028 (B)
  1,500,000     1,492,997
Toyota Auto Receivables Owner Trust
Series 2021-D, Class A4
1.020%, 03/15/2027
  750,000     703,506
Toyota Lease Owner Trust
Series 2023-A, Class A4
5.050%, 08/20/2027 (B)
  1,100,000     1,096,348
WF Card Issuance Trust
Series 2024-A1, Class A
4.940%, 02/15/2029
  2,000,000     2,003,600
World Omni Auto Receivables Trust          
Series 2021-D, Class A3
0.810%, 10/15/2026
  835,364     813,283
Series 2021-D, Class A4
1.100%, 11/15/2027
  750,000     703,850
World Omni Automobile Lease Securitization Trust
Series 2022-A, Class A3
3.210%, 02/18/2025
  913,654     911,054
TOTAL ASSET BACKED SECURITIES (Cost $54,066,392)     $ 54,206,344
SHORT-TERM INVESTMENTS – 23.7%      
U.S. Government – 19.6%          
U.S. Treasury Bill          
5.035%, 07/11/2024 *   9,000,000     8,870,089
5.045%, 08/08/2024 *   8,150,000     8,000,365
5.176%, 05/21/2024 *   11,000,000     10,919,563
5.228%, 04/02/2024 *   20,075,000     20,072,081
          47,862,098
Short-term funds – 4.1%          
John Hancock Collateral Trust, 5.2975% (E)(F)   998,346     9,980,869
TOTAL SHORT-TERM INVESTMENTS (Cost $57,852,360)   $ 57,842,967
Total Investments (Ultra Short Term Bond Trust)
(Cost $249,743,165) – 102.3%
  $ 249,290,379
Other assets and liabilities, net – (2.3%)       (5,689,857)
TOTAL NET ASSETS – 100.0%       $ 243,600,522
Security Abbreviations and Legend
CME CME Group Published Rates
CMT Constant Maturity Treasury
IBOR Interbank Offered Rate
LIBOR London Interbank Offered Rate
SOFR Secured Overnight Financing Rate
(A) Variable rate obligation. The coupon rate shown represents the rate at period end.
(B) These securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration. Rule 144A securities amounted to $49,403,832 or 20.3% of the fund's net assets as of 3-31-24.
Ultra Short Term Bond Trust (continued)
(C) All or a portion of this security is on loan as of 3-31-24. The value of securities on loan amounted to $2,807,910.
(D) Variable or floating rate security, the interest rate of which adjusts periodically based on a weighted average of interest rates and prepayments on the underlying pool of assets. The interest rate shown is the current rate as of period end.
(E) The rate shown is the annualized seven-day yield as of 3-31-24.
(F) Investment is an affiliate of the fund, the advisor and/or subadvisor. A portion of this security represents the investment of cash collateral received for securities lending. Market value of this investment amounted to $2,868,033.
* Yield represents either the annualized yield at the date of purchase, the stated coupon rate or, for floating rate securities, the rate at period end.
 
  310  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Subadvisors of Affiliated Underlying Funds
Allspring Global Investments, LLC (Allspring Investments)
Axiom Investors LLC (Axiom)
Dimensional Fund Advisors, LP (DFA)
Manulife Investment Management (US) LLC (MIM US)
T. Rowe Price Associates, Inc. (T. Rowe Price)
Wellington Management Company LLP (Wellington)
The following portfolios had the following country composition as a percentage of net assets, unless otherwise indicated, on 3-31-24:
Capital Appreciation Trust
United States 89.7%
Denmark 2.3%
Netherlands 2.0%
France 2.0%
Uruguay 1.5%
Canada 1.1%
United Kingdom 1.0%
Other countries 0.4%
TOTAL 100.0%
Equity Income Trust
United States 87.7%
France 3.2%
Germany 2.4%
Switzerland 2.2%
Canada 1.5%
Ireland 1.3%
South Korea 1.0%
Other countries 0.7%
TOTAL 100.0%
Financial Industries Trust
United States 85.0%
Japan 4.7%
Denmark 2.2%
Netherlands 2.0%
Puerto Rico 1.7%
Bermuda 1.6%
Switzerland 1.2%
Canada 1.1%
Other countries 0.5%
TOTAL 100.0%
Fundamental Large Cap Value Trust
United States 86.2%
United Kingdom 3.0%
France 2.4%
Canada 2.1%
Switzerland 1.9%
Belgium 1.5%
South Korea 1.1%
Netherlands 1.1%
Other countries 0.7%
TOTAL 100.0%
Health Sciences Trust
United States 89.5%
United Kingdom 2.8%
Netherlands 2.5%
Denmark 2.1%
Ireland 1.0%
Other countries 2.1%
TOTAL 100.0%
High Yield Trust
United States 75.0%
Cayman Islands 7.2%
Canada 5.6%
France 2.0%
United Kingdom 1.5%
Luxembourg 1.4%
Bermuda 1.4%
Netherlands 1.2%
Other countries 4.7%
TOTAL 100.0%
Investment Quality Bond Trust (as a percentage of total investments)
United States 89.8%
Cayman Islands 2.1%
Other countries 8.1%
TOTAL 100.0%
Strategic Equity Allocation Trust
United States 68.1%
Japan 7.2%
United Kingdom 4.2%
France 3.6%
Switzerland 3.2%
Germany 2.7%
Australia 2.2%
Netherlands 1.7%
Denmark 1.1%
Ireland 1.0%
Other countries 5.0%
TOTAL 100.0%
Strategic Income Opportunities Trust
United States 61.9%
Canada 7.5%
Indonesia 4.1%
Supranational 3.0%
Mexico 2.3%
New Zealand 2.0%
United Kingdom 2.0%
South Korea 2.0%
Australia 1.8%
Norway 1.8%
Other countries 11.6%
TOTAL 100.0%
 
The following portfolios had the following sector composition as a percentage of net assets on 3-31-24:
  311  

John Hancock Variable Insurance Trust
Portfolio of InvestmentsMarch 31, 2024 (unaudited) (showing percentage of total net assets)

Disciplined Value International Trust
Financials 21.9%
Industrials 16.8%
Energy 13.3%
Materials 12.4%
Consumer discretionary 10.8%
Information technology 7.4%
Health care 6.3%
Consumer staples 5.2%
Utilities 2.4%
Communication services 1.4%
Short-term investments and other 2.1%
TOTAL 100.0%
Emerging Markets Value Trust
Financials 29.4%
Information technology 13.5%
Materials 13.3%
Energy 10.5%
Consumer discretionary 10.0%
Industrials 9.8%
Real estate 3.4%
Communication services 2.9%
Consumer staples 2.8%
Health care 2.7%
Utilities 1.3%
Short-term investments and other 0.4%
TOTAL 100.0%
Global Equity Trust
Information technology 18.9%
Financials 16.0%
Industrials 15.4%
Consumer discretionary 9.2%
Health care 8.9%
Consumer staples 8.3%
Communication services 6.7%
Materials 6.7%
Energy 5.7%
Utilities 2.2%
Real estate 1.3%
Short-term investments and other 0.7%
TOTAL 100.0%
International Equity Index Trust
Financials 20.4%
Industrials 13.5%
Information technology 13.0%
Consumer discretionary 11.6%
Health care 9.0%
Consumer staples 7.3%
Materials 7.3%
Energy 5.4%
Communication services 4.9%
Utilities 2.9%
Real estate 1.9%
Short-term investments and other 2.8%
TOTAL 100.0%
International Small Company Trust
Industrials 24.5%
Financials 13.6%
Consumer discretionary 12.3%
Materials 11.5%
Information technology 9.7%
Consumer staples 5.7%
Energy 5.4%
Health care 5.0%
Real estate 4.5%
Communication services 3.6%
Utilities 2.5%
Short-term investments and other 1.7%
TOTAL 100.0%
 
  312  

John Hancock Variable Insurance Trust
Notes to Portfolio of Investments (unaudited)

Security valuation. Investments are stated at value as of the scheduled close of regular trading on the New York Stock Exchange (NYSE), normally at 4:00 P.M., Eastern Time. In case of emergency or other disruption resulting in the NYSE not opening for trading or the NYSE closing at a time other than the regularly scheduled close, the net asset value (NAV) may be determined as of the regularly scheduled close of the NYSE pursuant to the Valuation Policies and Procedures of the Advisor, John Hancock Investment Management LLC.
In order to value the securities, the portfolios use the following valuation techniques: Equity securities, including exchange-traded or closed-end funds, are typically valued at the last sale price or official closing price on the exchange or principal market where the security trades. In the event there were no sales during the day or closing prices are not available, the securities are valued using the last available bid price. Investments in open-end mutual funds, including John Hancock Collateral Trust (JHCT), are valued at their respective NAVs each business day. Debt obligations are typically valued based on evaluated prices provided by an independent pricing vendor. Independent pricing vendors utilize matrix pricing, which takes into account factors such as institutional-size trading in similar groups of securities, yield, quality, coupon rate, maturity, type of issue, trading characteristics and other market data, as well as broker supplied prices. Exchange-traded options are valued at the mid-price of the last quoted bid and ask prices from the exchange where the option trades. Unlisted options are generally valued using evaluated prices obtained from an independent pricing vendor. Futures contracts whose settlement prices are determined as of the close of the NYSE are typically valued based on the settlement price while other futures contracts are typically valued at the last traded price on the exchange on which they trade. Foreign equity index futures that trade in the electronic trading market subsequent to the close of regular trading may be valued at the last traded price in the electronic trading market as of 4:00 P.M. ET, or may be fair valued based on fair value adjustment factors provided by an independent pricing vendor in order to adjust for events that may occur between the close of foreign exchanges or markets and the close of the NYSE. Swaps are valued using evaluated prices obtained from an independent pricing vendor. Forward foreign currency contracts are valued at the prevailing forward rates which are based on foreign currency exchange spot rates and forward points supplied by an independent pricing vendor. Foreign securities and currencies are valued in U.S. dollars based on foreign currency exchange rates supplied by an independent pricing vendor.
In certain instances, the Pricing Committee of the Advisor may determine to value equity securities using prices obtained from another exchange or market if trading on the exchange or market on which prices are typically obtained did not open for trading as scheduled, or if trading closed earlier than scheduled, and trading occurred as normal on another exchange or market.
Other portfolio securities and assets, for which reliable market quotations are not readily available, are valued at fair value as determined in good faith by the Pricing Committee following procedures established by the Advisor and adopted by the Board of Trustees. The frequency with which these fair valuation procedures are used cannot be predicted and fair value of securities may differ significantly from the value that would have been used had a ready market for such securities existed. Trading in foreign securities may be completed before the scheduled daily close of trading on the NYSE. Significant events at the issuer or market level may affect the values of securities between the time when the valuation of the securities is generally determined and the close of the NYSE. If a significant event occurs, these securities may be fair valued, as determined in good faith by the Pricing Committee, following procedures established by the Advisor and adopted by the Board of Trustees. The Advisor uses fair value adjustment factors provided by an independent pricing vendor to value certain foreign securities in order to adjust for events that may occur between the close of foreign exchanges or markets and the close of the NYSE.
The portfolios use a three tier hierarchy to prioritize the pricing assumptions, referred to as inputs, used in valuation techniques to measure fair value. Level 1 includes securities valued using quoted prices in active markets for identical securities, including registered investment companies. Level 2 includes securities valued using other significant observable inputs. Observable inputs may include quoted prices for similar securities, interest rates, prepayment speeds and credit risk. Prices for securities valued using these inputs are received from independent pricing vendors and brokers and are based on an evaluation of the inputs described. Level 3 includes securities valued using significant unobservable inputs when market prices are not readily available or reliable, including the Advisor's assumptions in determining the fair value of investments. Factors used in determining value may include market or issuer specific events or trends, changes in interest rates and credit quality. The inputs or methodology used for valuing securities are not necessarily an indication of the risks associated with investing in those securities. Changes in valuation techniques and related inputs may result in transfers into or out of an assigned level within the disclosure hierarchy.
The following is a summary of the values by input classification of the portfolios' investments as of March 31, 2024, by major security category or type:
  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
500 Index Trust
Investments in securities:        
Assets        
Common stocks $9,262,138,881 $9,262,138,881
Short-term investments 264,029,924 264,029,924
Total investments in securities $9,526,168,805 $9,526,168,805
Derivatives:        
Assets        
Futures $4,437,325 $4,437,325
 
Active Bond Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $287,434,988 $287,434,988
313

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Active Bond Trust (continued)
Foreign government obligations $1,617 $1,617
Corporate bonds 199,820,828 199,820,828
Capital preferred securities 246,413 246,413
Municipal bonds 3,254,471 3,254,471
Collateralized mortgage obligations 19,580,698 19,580,698
Asset backed securities 29,350,461 29,350,461
Common stocks 142,006 $115,778 26,228
Preferred securities 145,720 145,720
Short-term investments 1,367,281 1,367,281
Total investments in securities $541,344,483 $1,628,779 $539,715,704
Derivatives:        
Liabilities        
Futures $(8,024) $(8,024)
 
American Asset Allocation Trust
Investments in securities:        
Assets        
Investment companies $1,199,181,021 $1,199,181,021
Total investments in securities $1,199,181,021 $1,199,181,021
 
American Global Growth Trust
Investments in securities:        
Assets        
Investment companies $206,658,411 $206,658,411
Total investments in securities $206,658,411 $206,658,411
 
American Growth Trust
Investments in securities:        
Assets        
Investment companies $973,182,975 $973,182,975
Total investments in securities $973,182,975 $973,182,975
 
American Growth-Income Trust
Investments in securities:        
Assets        
Investment companies $951,368,408 $951,368,408
Total investments in securities $951,368,408 $951,368,408
 
American International Trust
Investments in securities:        
Assets        
Investment companies $373,207,844 $373,207,844
Total investments in securities $373,207,844 $373,207,844
 
Blue Chip Growth Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $294,199,130 $294,199,130
Consumer discretionary 275,266,478 275,266,478
Consumer staples 26,231,942 26,231,942
314

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Blue Chip Growth Trust (continued)
Energy $6,632,174 $6,632,174
Financials 180,216,333 175,289,122 $4,927,211
Health care 229,771,985 229,771,985
Industrials 30,232,601 30,232,601
Information technology 827,876,956 827,876,956
Materials 17,881,207 17,881,207
Utilities 14,392,051 14,392,051
Corporate bonds 3,615,317 3,615,317
Short-term investments 5,193,381 5,193,381
Total investments in securities $1,911,509,555 $1,902,967,027 $8,542,528
 
Capital Appreciation Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $84,904,577 $84,904,577
Consumer discretionary 129,793,193 122,289,794 $7,503,399
Consumer staples 17,926,863 12,402,177 5,524,686
Financials 52,537,491 49,584,881 2,952,610
Health care 74,699,819 74,699,819
Industrials 17,653,063 17,653,063
Information technology 265,353,640 265,353,640
Real estate 5,342,636 5,342,636
Short-term investments 4,719 4,719
Total investments in securities $648,216,001 $632,235,306 $15,980,695
 
Capital Appreciation Value Trust
Investments in securities:        
Assets        
Common stocks $296,635,977 $296,635,977
Preferred securities 805,409 805,409
U.S. Government and Agency obligations 53,302,714 $53,302,714
Corporate bonds 52,408,823 52,408,823
Term loans 49,617,801 49,617,801
Asset backed securities 502,041 502,041
Short-term investments 24,761,778 22,601,778 2,160,000
Total investments in securities $478,034,543 $320,043,164 $157,991,379
Derivatives:        
Liabilities        
Written options $(1,487,716) $(1,487,716)
 
Core Bond Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $419,032,666 $419,032,666
Foreign government obligations 6,946,453 6,946,453
Corporate bonds 193,965,127 193,965,127
Municipal bonds 2,819,507 2,819,507
Collateralized mortgage obligations 124,957,908 124,957,908
Asset backed securities 64,546,266 64,546,266
Short-term investments 14,153,150 $14,153,150
Total investments in securities $826,421,077 $14,153,150 $812,267,927
 
315

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Disciplined Value International Trust
Investments in securities:        
Assets        
Common stocks        
Austria $1,507,816 $1,507,816
Belgium 790,820 790,820
Bermuda 8,170,541 $4,789,080 3,381,461
Brazil 2,187,853 2,187,853
Canada 31,539,206 31,539,206
China 2,318,583 2,318,583
Finland 3,223,016 3,223,016
France 30,630,170 30,630,170
Germany 21,439,311 21,439,311
Ireland 11,962,290 1,663,948 10,298,342
Italy 2,277,444 2,277,444
Japan 53,553,100 53,553,100
Jordan 1,766,497 1,766,497
Luxembourg 2,132,157 2,132,157
Netherlands 11,250,498 11,250,498
Singapore 2,649,777 2,649,777
South Korea 21,487,109 21,487,109
Spain 2,484,308 2,484,308
Switzerland 11,865,715 11,865,715
United Kingdom 57,010,629 6,557,567 50,453,062
United States 2,483,690 2,483,690
Preferred securities 2,353,660 2,353,660
Short-term investments 8,309,095 8,309,095
Total investments in securities $293,393,285 $57,530,439 $235,862,846
 
Emerging Markets Value Trust
Investments in securities:        
Assets        
Common stocks        
Australia $94,395 $94,395
Belgium 71,286 71,286
Brazil 6,578,910 $6,578,910
Canada 108,126 108,126
Chile 1,114,966 1,114,966
China 46,119,990 2,790,609 43,286,481 $42,900
Colombia 137,943 33,257 104,686
Cyprus 26,679 26,679
Czech Republic 271,083 271,083
Greece 1,074,736 1,074,736
Hong Kong 6,324,930 6,320,046 4,884
Hungary 409,782 409,782
India 41,938,452 67,610 41,858,175 12,667
Indonesia 3,425,695 3,368,765 56,930
Kuwait 1,373,380 1,373,380
Malaysia 3,496,707 3,495,563 1,144
Mexico 6,782,081 78,084 6,703,997
Panama 820 820
Philippines 1,526,007 1,525,844 163
Poland 1,988,291 1,988,291
Qatar 1,777,874 1,777,874
Russia 60,388 60,388
Saudi Arabia 8,921,263 8,921,263
Singapore 62,489 62,489
South Africa 5,782,391 258,644 5,523,747
316

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Emerging Markets Value Trust (continued)
South Korea $29,374,948 $2,659,751 $26,642,424 $72,773
Taiwan 42,941,603 42,941,603
Thailand 3,836,096 3,828,867 7,229
Turkey 2,356,197 2,356,037 160
United Arab Emirates 3,055,915 3,055,915
United Kingdom 147,919 147,919
United States 44,751 44,751
Preferred securities        
Brazil 4,979,466 4,979,466
Colombia 138,627 138,627
India 12 12
Philippines 9,240 9,240
Warrants 202 202
Short-term investments 1,522,546 1,522,546
Total investments in securities $227,876,186 $19,116,998 $208,499,938 $259,250
Derivatives:        
Assets        
Futures $40,270 $40,270
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
Equity Income Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $67,789,330 $67,789,330
Consumer discretionary 34,881,691 34,881,691
Consumer staples 118,117,059 118,117,059
Energy 126,537,868 95,282,175 $31,255,693
Financials 338,542,852 338,542,852
Health care 226,317,843 218,129,997 8,187,846
Industrials 179,291,276 179,291,276
Information technology 135,979,957 121,613,290 14,366,667
Materials 44,026,408 44,026,408
Real estate 58,805,439 58,805,439
Utilities 85,214,462 85,214,462
Preferred securities        
Consumer discretionary 17,421,795 8,249,597 9,172,198
Utilities 2,211,691 2,211,691
Short-term investments 20,460,872 20,460,872
Total investments in securities $1,455,598,543 $1,392,616,139 $62,982,404
 
Financial Industries Trust
Investments in securities:    
Assets        
Common stocks        
Financials        
Banks $44,648,184 $36,241,544 $8,406,640
Capital markets 31,945,409 31,945,409
Consumer finance 5,137,116 5,137,116
Financial services 11,398,818 10,490,063 908,755
Insurance 23,526,819 22,007,942 1,518,877
Real estate        
Industrial REITs 669,659 669,659
Specialized REITs 1,498,592 1,498,592
Convertible bonds 713,338 713,338
317

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Financial Industries Trust (continued)
Short-term investments $1,543,933 $1,543,933
Total investments in securities $121,081,868 $108,864,599 $12,217,269
 
Fundamental All Cap Core Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $235,785,197 $235,785,197
Consumer discretionary 534,208,277 493,675,844 $40,532,433
Consumer staples 81,451,930 81,451,930
Energy 101,319,049 101,319,049
Financials 416,265,363 416,265,363
Health care 155,396,855 155,396,855
Industrials 170,605,573 170,605,573
Information technology 638,018,105 638,018,105
Materials 28,061,999 28,061,999
Real estate 92,270,629 92,270,629
Short-term investments 12,568,059 12,568,059
Total investments in securities $2,465,951,036 $2,425,418,603 $40,532,433
 
Fundamental Large Cap Value Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $56,603,308 $56,603,308
Consumer discretionary 61,617,998 54,427,145 $7,190,853
Consumer staples 69,926,605 49,683,989 20,242,616
Energy 56,115,717 56,115,717
Financials 174,524,193 174,524,193
Health care 132,536,296 132,536,296
Industrials 111,412,473 103,203,423 8,209,050
Information technology 101,533,785 92,405,036 9,128,749
Materials 16,901,189 16,901,189
Real estate 27,111,635 27,111,635
Escrow certificates
Short-term investments 26,088,308 26,088,308
Total investments in securities $834,371,507 $789,600,239 $44,771,268
 
Global Equity Trust
Investments in securities:        
Assets        
Common stocks        
France $43,393,090 $43,393,090
Germany 2,860,814 2,860,814
Ireland 17,319,714 $8,693,817 8,625,897
Japan 32,701,253 32,701,253
Netherlands 16,612,548 16,612,548
Spain 3,975,907 3,975,907
Switzerland 4,969,595 4,969,595
United Kingdom 2,655,177 2,655,177
United States 174,157,134 174,157,134
Preferred securities 11,357,521 11,357,521
Escrow certificates
Short-term investments 4,500,650 4,500,650
Total investments in securities $314,503,403 $192,321,196 $122,182,207
318

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Global Equity Trust (continued)
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
Health Sciences Trust
Investments in securities:        
Assets        
Common stocks        
Financials $780,941 $780,941
Health care 272,576,566 270,149,668 $2,426,898
Materials 91,475 91,475
Preferred securities 787,867 787,867
Convertible bonds 288,606 288,606
Warrants 1,194 987 207
Short-term investments 1,542,839 1,542,839
Total investments in securities $276,069,488 $272,565,910 $3,503,578
 
High Yield Trust
Investments in securities:        
Assets        
Foreign government obligations $553,159 $553,159
Corporate bonds 152,590,744 152,590,744
Convertible bonds 906,292 906,292
Term loans 7,721,965 7,252,213 $469,752
Asset backed securities 12,886,438 12,886,438
Common stocks 985,277 $970,593 14,684
Preferred securities 645,497 645,497
Escrow shares 64,087 64,087
Escrow certificates
Short-term investments 13,714,014 13,714,014
Total investments in securities $190,067,473 $14,684,607 $174,834,343 $548,523
Derivatives:        
Assets        
Futures $17,431 $17,431
Forward foreign currency contracts 377 $377
Swap contracts 600,690 600,690
Liabilities        
Forward foreign currency contracts (9,985) (9,985)
Swap contracts (313,823) (313,823)
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
International Equity Index Trust
Investments in securities:        
Assets        
Common stocks        
Australia $41,462,202 $41,462,202
Austria 1,086,711 1,086,711
Belgium 4,634,298 4,634,298
Brazil 9,240,290 $9,236,488 3,802
Canada 68,260,956 67,962,790 298,166
Chile 1,490,870 382,580 1,108,290
China 56,294,427 3,797,055 52,497,372
Colombia 131,644 131,644
Czech Republic 397,446 397,446
Denmark 21,305,874 21,305,874
319

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
International Equity Index Trust (continued)
Egypt $174,579 $174,579
Finland 5,613,652 5,613,652
France 68,703,701 68,703,701
Germany 47,809,678 47,809,678
Greece 1,249,501 1,246,476 $3,025
Hong Kong 14,428,122 $92,055 14,324,291 11,776
Hungary 621,979 621,979
India 44,095,352 3,591,407 40,503,945
Indonesia 4,702,016 7,969 4,694,047
Ireland 10,697,474 2,997,363 7,700,111
Israel 4,325,807 1,564,542 2,761,265
Italy 13,863,112 13,863,112
Japan 138,056,764 138,056,764
Jordan 167,087 167,087
Luxembourg 1,242,574 1,242,574
Macau 259,554 259,554
Malaysia 3,426,182 3,426,182
Mexico 6,710,520 6,710,520
Netherlands 31,657,625 31,657,625
New Zealand 1,419,821 1,419,821
Norway 3,440,046 3,440,046
Peru 540,449 540,449
Philippines 1,670,176 1,670,176
Poland 2,439,138 2,439,138
Portugal 875,170 875,170
Russia 170,625 170,625
Saudi Arabia 10,453,613 10,453,613
Singapore 7,800,799 880,565 6,920,234
South Africa 6,229,854 6,229,854
South Korea 30,234,179 80,500 30,153,679
Spain 15,708,972 15,612,390 96,582
Sweden 18,059,955 18,059,955
Switzerland 58,579,096 58,579,096
Taiwan 43,082,005 43,082,005
Thailand 3,755,140 3,755,140
Turkey 1,685,943 1,685,943
United Arab Emirates
United Kingdom 77,104,401 77,104,401
United States 1,404,009 1,037,352 366,657
Preferred securities        
Brazil 3,693,396 3,693,396
Chile 23,907 23,907
Germany 2,657,203 2,657,203
South Korea 1,713,199 1,713,199
Warrants
Short-term investments 21,495,505 21,495,505
Total investments in securities $916,346,598 $117,491,660 $798,572,930 $282,008
Derivatives:        
Assets        
Futures $86,183 $86,183
Liabilities        
Futures (91,934) (91,934)
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
320

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
International Small Company Trust
Investments in securities:        
Assets        
Common stocks        
Australia $7,715,699 $85,844 $7,585,995 $43,860
Austria 1,493,744 1,493,744
Belgium 1,639,776 38,648 1,599,857 1,271
Bermuda 234,096 234,096
Cambodia 23,178 23,178
Canada 11,120,342 11,078,068 42,020 254
China 5,921 5,921
Denmark 2,788,009 2,788,009
Finland 2,134,524 2,134,524
France 4,935,372 4,935,372
Gabon 3,620 3,620
Georgia 93,446 93,446
Germany 5,992,320 5,992,320
Greece 21,771 21,705 66
Guernsey, Channel Islands 144 144
Hong Kong 1,907,955 1,907,659 296
Ireland 529,617 529,617
Isle of Man 69,262 69,262
Israel 1,406,273 16,548 1,389,725
Italy 4,327,641 4,327,641
Japan 25,463,341 25,463,341
Jersey, Channel Islands 82,576 82,576
Jordan 95,941 95,941
Liechtenstein 78,632 78,632
Luxembourg 511,366 511,366
Macau 1,953 1,953
Malaysia 19,048 19,048
Malta 3,395 3,395
Mauritius 10,265 10,265
Mexico 8,215 8,215
Netherlands 2,027,680 2,027,680
New Zealand 348,840 348,840
Norway 852,431 852,431
Peru 26,497 26,497
Poland 44,280 44,280
Portugal 434,829 434,829
Singapore 1,038,022 1,027,627 10,395
Spain 2,329,074 2,329,074
Sweden 2,778,021 2,778,021
Switzerland 8,008,980 8,008,980
Taiwan 12,543 12,543
Thailand 1,149 1,149
United Arab Emirates 48,332 48,332
United Kingdom 12,913,441 12,879,522 33,919
United States 770,132 235,417 534,715
Preferred securities 416,399 416,399
Warrants 1,148 257 891
Rights 57 57
Short-term investments 4,072,687 4,072,687
Total investments in securities $108,841,984 $15,527,526 $93,224,253 $90,205
Derivatives:        
Assets        
Futures $2,783 $2,783
321

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
International Small Company Trust (continued)
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
Investment Quality Bond Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $144,813,403 $144,813,403
Foreign government obligations 7,108,969 7,108,969
Corporate bonds 62,827,130 62,827,130
Municipal bonds 3,326,231 3,326,231
Collateralized mortgage obligations 26,658,558 26,658,558
Asset backed securities 22,541,783 22,541,783
Short-term investments 4,600,000 4,600,000
Total investments in securities $271,876,074 $271,876,074
Derivatives:        
Assets        
Futures $20,021 $20,021
Forward foreign currency contracts 68,647 $68,647
Swap contracts 1,062,335 1,062,335
Liabilities        
Futures (202,158) (202,158)
Forward foreign currency contracts (3,731) (3,731)
 
Lifestyle Balanced Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $985,310,224 $985,310,224
Short-term investments 21 21
Total investments in securities $985,310,245 $985,310,245
 
Lifestyle Conservative Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $161,930,000 $161,930,000
Short-term investments 2,172 2,172
Total investments in securities $161,932,172 $161,932,172
 
Lifestyle Growth Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $5,303,325,262 $5,303,325,262
Total investments in securities $5,303,325,262 $5,303,325,262
 
Lifestyle Moderate Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $287,528,881 $287,528,881
Short-term investments 1,568 1,568
Total investments in securities $287,530,449 $287,530,449
 
322

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Managed Volatility Balanced Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $4,163,556,134 $4,163,556,134
Unaffiliated investment companies 84,919,730 84,919,730
Short-term investments 31,936,898 31,936,898
Total investments in securities $4,280,412,762 $4,280,412,762
Derivatives:        
Assets        
Futures $4,286,495 $4,286,495
Liabilities        
Futures (438,813) (438,813)
 
Managed Volatility Conservative Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $554,803,438 $554,803,438
Unaffiliated investment companies 4,699,935 4,699,935
Short-term investments 5,078,052 5,078,052
Total investments in securities $564,581,425 $564,581,425
Derivatives:        
Assets        
Futures $62,307 $62,307
Liabilities        
Futures (4,736) (4,736)
 
Managed Volatility Growth Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $5,496,833,394 $5,496,833,394
Unaffiliated investment companies 145,315,539 145,315,539
Short-term investments 47,188,524 47,188,524
Total investments in securities $5,689,337,457 $5,689,337,457
Derivatives:        
Assets        
Futures $7,956,725 $7,956,725
Liabilities        
Futures (860,856) (860,856)
 
Managed Volatility Moderate Portfolio
Investments in securities:        
Assets        
Affiliated investment companies $1,107,102,137 $1,107,102,137
Unaffiliated investment companies 21,773,562 21,773,562
Short-term investments 8,985,253 8,985,253
Total investments in securities $1,137,860,952 $1,137,860,952
Derivatives:        
Assets        
Futures $977,204 $977,204
Liabilities        
Futures (90,006) (90,006)
 
323

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Mid Cap Growth Trust
Investments in securities:        
Assets        
Common stocks $626,293,165 $626,293,165
Preferred securities 4,051,367 $4,051,367
Short-term investments 12,929,225 8,029,225 $4,900,000
Total investments in securities $643,273,757 $634,322,390 $4,900,000 $4,051,367
 
Mid Cap Index Trust
Investments in securities:        
Assets        
Common stocks $1,244,585,516 $1,244,585,516
Short-term investments 63,225,275 63,225,275
Total investments in securities $1,307,810,791 $1,307,810,791
Derivatives:        
Assets        
Futures $1,725,819 $1,725,819
 
Mid Value Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $13,884,609 $13,884,609
Consumer discretionary 60,374,592 51,624,596 $8,749,996
Consumer staples 36,428,848 36,428,848
Energy 45,741,449 45,741,449
Financials 102,998,300 102,998,300
Health care 63,374,543 63,374,543
Industrials 102,779,599 92,834,404 9,945,195
Information technology 76,470,324 76,470,324
Materials 38,479,604 38,479,604
Real estate 40,999,381 40,999,381
Utilities 40,547,109 40,547,109
Convertible bonds 1,950,286 1,950,286
Short-term investments 35,683,600 35,683,600
Total investments in securities $659,712,244 $639,066,767 $20,645,477
 
Opportunistic Fixed Income Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $59,232,799 $59,232,799
Foreign government obligations 62,559,436 62,559,436
Corporate bonds 22,927,692 22,927,692
Convertible bonds 10,340,372 10,340,372
Municipal bonds 292,802 292,802
Term loans 3,585,826 3,585,826
Collateralized mortgage obligations 6,342,462 6,342,462
Asset backed securities 5,121,182 5,121,182
Common stocks 20,561 $20,561
Preferred securities 999,044 999,044
Short-term investments 18,009,483 17,909,629 99,854
Total investments in securities $189,431,659 $18,929,234 $170,502,425
Liabilities        
Sale commitments outstanding $(5,194,298) $(5,194,298)
324

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Opportunistic Fixed Income Trust (continued)
Derivatives:        
Assets        
Futures $161,183 $161,183
Forward foreign currency contracts 640,698 $640,698
Swap contracts 1,693,132 1,693,132
Liabilities        
Futures (238,623) (238,623)
Forward foreign currency contracts (470,999) (470,999)
Swap contracts (3,696,613) (3,696,613)
 
Real Estate Securities Trust
Investments in securities:        
Assets        
Common stocks $289,886,917 $289,886,917
Short-term investments 2,915,911 2,915,911
Total investments in securities $292,802,828 $292,802,828
 
Science & Technology Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $148,834,766 $148,834,766
Consumer discretionary 27,244,101 27,244,101
Financials 6,687,965 1,581,706 $5,106,259
Industrials 11,980,160 11,980,160
Information technology 854,969,300 849,614,861 5,354,439
Short-term investments 14,526,716 14,526,716
Total investments in securities $1,064,243,008 $1,053,782,310 $10,460,698
 
Select Bond Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $3,316,317,233 $3,316,317,233
Corporate bonds 1,891,215,316 1,891,215,316
Municipal bonds 33,700,815 33,700,815
Collateralized mortgage obligations 253,583,803 253,583,803
Asset backed securities 435,837,752 435,837,752
Short-term investments 18,185,407 $18,185,407
Total investments in securities $5,948,840,326 $18,185,407 $5,930,654,919
Derivatives:        
Liabilities        
Futures $(56,209) $(56,209)
 
Short Term Government Income Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $157,167,330 $157,167,330
Municipal bonds 4,756,725 4,756,725
Collateralized mortgage obligations 805,648 805,648
Short-term investments 794,206 $794,206
Total investments in securities $163,523,909 $794,206 $162,729,703
325

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Short Term Government Income Trust (continued)
Derivatives:        
Assets        
Futures $20,511 $20,511
 
Small Cap Index Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $10,998,628 $10,998,628
Consumer discretionary 55,510,405 55,481,246 $29,159
Consumer staples 16,929,906 16,929,906
Energy 37,374,508 37,374,508
Financials 81,201,891 81,201,891
Health care 78,515,478 78,398,831 $116,647
Industrials 89,481,431 89,481,431
Information technology 75,991,436 75,991,436
Materials 23,214,826 23,201,708 13,118
Real estate 28,639,763 28,639,763
Utilities 12,784,877 12,784,877
Rights
Warrants 18,850 18,850
Short-term investments 24,889,221 24,889,221
Total investments in securities $535,551,220 $535,392,296 $29,159 $129,765
Derivatives:        
Assets        
Futures $602,763 $602,763
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
Small Cap Opportunities Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $3,496,978 $3,496,429 $549
Consumer discretionary 26,272,840 26,272,840
Consumer staples 3,992,602 3,992,602
Energy 14,646,833 14,646,833
Financials 35,341,083 35,341,083
Health care 18,309,574 18,289,691 19,883
Industrials 30,948,200 30,948,200
Information technology 17,297,363 17,297,363
Materials 12,040,402 12,029,694 10,708
Real estate 2,788,452 2,788,452
Utilities 257,844 257,844
Preferred securities 39,649 39,649
Short-term investments 1,370,627 1,370,627
Total investments in securities $166,802,447 $166,771,307 $31,140
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
Small Cap Stock Trust
Investments in securities:        
Assets        
Common stocks $287,599,345 $287,599,345
Exchange-traded funds 1,528,937 1,528,937
326

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Small Cap Stock Trust (continued)
Short-term investments $3,811,073 $511,073 $3,300,000
Total investments in securities $292,939,355 $289,639,355 $3,300,000
 
Small Cap Value Trust
Investments in securities:        
Assets        
Common stocks $459,459,599 $459,459,599
Short-term investments 5,880,147 80,147 $5,800,000
Total investments in securities $465,339,746 $459,539,746 $5,800,000
 
Small Company Value Trust
Investments in securities:        
Assets        
Common stocks $127,903,514 $127,903,514
Warrants 611 611
Short-term investments 4,727,204 4,727,204
Total investments in securities $132,631,329 $132,631,329
 
Strategic Equity Allocation Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $455,395,750 $366,776,361 $88,619,389
Consumer discretionary 805,674,879 529,025,481 276,649,398
Consumer staples 462,357,428 272,124,530 190,232,898
Energy 304,676,002 211,754,302 92,921,700
Financials 1,101,171,490 662,086,193 439,085,297
Health care 874,621,349 589,319,056 285,220,275 $82,018
Industrials 912,429,369 533,485,056 378,944,313
Information technology 1,472,320,142 1,263,677,588 208,642,554
Materials 312,391,856 148,096,609 164,284,999 10,248
Real estate 201,536,664 149,178,303 52,358,361
Utilities 184,192,433 113,504,495 70,687,938
Preferred securities 10,373,774 10,373,774
Rights
Warrants 58,853 58,853
Short-term investments 355,377,901 355,377,901
Total investments in securities $7,452,577,890 $5,194,464,728 $2,258,020,896 $92,266
Derivatives:        
Assets        
Futures $4,284,844 $4,284,844
Liabilities        
Futures (193,577) (193,577)
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
Strategic Income Opportunities Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $57,410,734 $57,410,734
Foreign government obligations 93,174,603 93,174,603
Corporate bonds 173,929,043 173,929,043
Convertible bonds 11,133,222 11,133,222
Municipal bonds 9,276,600 9,276,600
327

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Strategic Income Opportunities Trust (continued)
Term loans $2,386,416 $2,386,416
Collateralized mortgage obligations 25,086,539 25,086,539
Asset backed securities 6,771,454 6,771,454
Preferred securities 2,774,027 $2,774,027
Short-term investments 13,146,931 13,146,931
Total investments in securities $395,089,569 $15,920,958 $379,168,611
Derivatives:        
Assets        
Futures $26,371 $26,371
Forward foreign currency contracts 1,256,327 $1,256,327
Liabilities        
Futures (62,888) (62,888)
Forward foreign currency contracts (783,828) (783,828)
 
Total Bond Market Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $653,843,045 $653,843,045
Foreign government obligations 7,652,441 7,652,441
Corporate bonds 242,743,655 242,743,655
Municipal bonds 3,079,566 3,079,566
Collateralized mortgage obligations 16,623,141 16,623,141
Asset backed securities 4,434,682 4,434,682
Short-term investments 6,608,639 $6,608,639
Total investments in securities $934,985,169 $6,608,639 $928,376,530
 
Total Stock Market Index Trust
Investments in securities:        
Assets        
Common stocks        
Communication services $76,943,475 $76,943,260 $215
Consumer discretionary 98,589,855 98,583,955 5,871 $29
Consumer staples 54,912,402 54,912,402
Energy 36,748,680 36,748,041 639
Financials 127,940,572 127,934,973 5,599
Health care 112,158,537 112,128,885 1,339 28,313
Industrials 90,847,421 90,847,421
Information technology 250,714,851 250,714,851
Materials 26,079,108 26,078,913 195
Real estate 23,712,103 23,709,128 2,975
Utilities 18,598,989 18,598,989
Preferred securities 25,198 25,198
Rights
Warrants 4,810 4,810
Short-term investments 22,163,559 22,163,559
Total investments in securities $939,439,560 $939,394,385 $13,024 $32,151
Derivatives:        
Assets        
Futures $336,412 $336,412
Level 3 includes securities valued at $0. Refer to Portfolio of Investments.
 
328

  Total
value at
3-31-24
Level 1
quoted
price
Level 2
significant
observable
inputs
Level 3
significant
unobservable
inputs
Ultra Short Term Bond Trust
Investments in securities:        
Assets        
U.S. Government and Agency obligations $1,427,138 $1,427,138
Corporate bonds 135,302,583 135,302,583
Collateralized mortgage obligations 511,347 511,347
Asset backed securities 54,206,344 54,206,344
Short-term investments 57,842,967 $9,980,869 47,862,098
Total investments in securities $249,290,379 $9,980,869 $239,309,510
Investment in affiliated underlying funds. Lifestyle Balanced Portfolio, Lifestyle Conservative Portfolio, Lifestyle Growth Portfolio, Lifestyle Moderate Portfolio, Managed Volatility Balanced Portfolio, Managed Volatility Conservative Portfolio, Managed Volatility Growth Portfolio and Managed Volatility Moderate Portfolio invest primarily in affiliated underlying funds that are managed by the Advisor and its affiliates. The portfolios do not invest in the affiliated underlying funds for the purpose of exercising management or control; however, the portfolios’ investment may represent a significant portion of each underlying funds’ net assets.
Information regarding the portfolios' fiscal year to date purchases and sales of the affiliated underlying funds as well as income and capital gains earned by the portfolios, if any, is as follows:
              Dividends and distributions
Affiliate Ending
share
amount
Beginning
value
Cost of
purchases
Proceeds
from shares
sold
Realized
gain
(loss)
Change in
unrealized
appreciation
(depreciation)
Income
distributions
received
Capital gain
distributions
received
Ending
value
500 Index Trust
John Hancock Collateral Trust 26,409,859 $228,230,262 $207,369,357 $(171,491,041) $26,568 $(105,222) $3,082,480 $264,029,924
Active Bond Trust
John Hancock Collateral Trust 136,764 $8,344,633 $84,082,213 $(91,059,114) $(484) $33 $36,785 $1,367,281
Blue Chip Growth Trust
John Hancock Collateral Trust 233,276 $5,112,872 $40,579,799 $(43,360,645) $500 $(374) $1,879 $2,332,152
Capital Appreciation Trust
John Hancock Collateral Trust $4,845,876 $2,493,212 $(7,339,308) $1,323 $(1,103) $8,682
Capital Appreciation Value Trust
John Hancock Collateral Trust $3,677,578 $3,726,575 $(7,404,452) $422 $(123) $1,121
Core Bond Trust
John Hancock Collateral Trust 18,658 $1,029,703 $2,920,430 $(3,763,595) $(12) $7 $152 $186,533
Disciplined Value International Trust
John Hancock Collateral Trust 660,906 $6,109,309 $18,288,059 $(17,789,143) $688 $(1,567) $8,033 $6,607,346
Emerging Markets Value Trust
John Hancock Collateral Trust 152,294 $1,139,355 $2,407,864 $(2,024,179) $(45) $(449) $29,177 $1,522,546
Equity Income Trust
John Hancock Collateral Trust 1,377,730 $2,210,073 $47,173,005 $(35,606,754) $901 $(3,503) $48,196 $13,773,722
Financial Industries Trust
John Hancock Collateral Trust 154,433 $2,976,155 $9,470,053 $(10,901,969) $41 $(347) $24,391 $1,543,933
Fundamental All Cap Core Trust
John Hancock Collateral Trust 1,257,133 $27,258,499 $49,993,406 $(64,681,426) $(252) $(2,168) $321,434 $12,568,059
Fundamental Large Cap Value Trust
John Hancock Collateral Trust 2,609,509 $20,392,038 $27,677,960 $(21,976,620) $38 $(5,108) $248,967 $26,088,308
High Yield Trust
John Hancock Collateral Trust 1,235,974 $7,444,672 $16,914,964 $(11,998,949) $118 $(4,280) $42,596 $12,356,525
329

              Dividends and distributions
Affiliate Ending
share
amount
Beginning
value
Cost of
purchases
Proceeds
from shares
sold
Realized
gain
(loss)
Change in
unrealized
appreciation
(depreciation)
Income
distributions
received
Capital gain
distributions
received
Ending
value
International Equity Index Trust
John Hancock Collateral Trust 346,469 $1,827,717 $8,306,081 $(6,669,381) $323 $(952) $9,441 $3,463,788
International Small Company Trust
John Hancock Collateral Trust 407,375 $4,257,109 $4,070,897 $(4,254,431) $657 $(1,545) $12,878 $4,072,687
Investment Quality Bond Trust
John Hancock Collateral Trust $234,527 $564,066 $(798,604) $(5) $16 $66
Lifestyle Balanced Portfolio
John Hancock Collateral Trust 2 $15 $6 $21
Select Bond 41,340,529 480,533,143 8,106,203 $(3,356,373) $(579,367) $(1,019,417) 483,684,189
Strategic Equity Allocation 27,041,835 485,214,555 (23,757,952) 1,739,847 38,429,585 501,626,035
          $1,160,480 $37,410,168 $985,310,245
Lifestyle Conservative Portfolio
John Hancock Collateral Trust 217 $81,686 $13,705 $(93,229) $31 $(21) $965 $2,172
Select Bond 11,072,137 132,497,215 1,091,118 (3,591,449) (456,552) 3,668 129,544,000
Strategic Equity Allocation 1,745,876 33,200,575 380,923 (3,878,092) (1,246,507) 3,929,101 32,386,000
          $(1,703,028) $3,932,748 $965 $161,932,172
Lifestyle Growth Portfolio
John Hancock Collateral Trust $77 $10,359 $(10,436)
Select Bond 129,780,689 1,509,436,905 14,001,824 $(5,004,670) $1,518,434,059
Strategic Equity Allocation 204,061,910 3,642,845,732 (160,685,133) $11,258,856 291,471,748 3,784,891,203
          $11,258,856 $286,467,078 $5,303,325,262
Lifestyle Moderate Portfolio
John Hancock Collateral Trust 157 $57,755 $9,812 $(66,009) $18 $(8) $691 $1,568
Select Bond 14,710,649 172,820,144 2,318,265 (2,448,436) (345,860) (229,525) 172,114,588
Strategic Equity Allocation 6,221,795 115,675,995 281,430 (9,939,431) (876,688) 10,272,987 115,414,293
          $(1,222,530) $10,043,454 $691 $287,530,449
Managed Volatility Balanced Portfolio
Blue Chip Growth 4,628,884 $141,650,813 $(17,239,545) $(5,848,568) $24,701,268 $143,263,968
Bond 39,636,632 533,499,279 $9,789,801 (3,557,948) (420,883) (6,197,546) $5,858,416 533,112,703
Core Bond 16,574,086 185,500,805 1,918,627 (977,280) (169,835) (974,031) 185,298,286
Emerging Markets Equity 12,202,535 111,169,780 (1,008,788) (106,789) 2,819,243 112,873,446
Equity Income 14,140,348 201,468,287 (13,417,754) (710,760) 17,695,268 205,035,041
Fundamental Large Cap Core 3,058,929 214,841,072 (11,375,973) 4,656,056 10,255,781 218,376,936
John Hancock Collateral Trust 3,194,520 39,691,627 33,999,126 (41,745,478) 8,232 (16,609) 567,348 31,936,898
Mid Cap Growth 3,958,304 39,317,892 (3,591,546) (5,556,325) 9,452,603 39,622,624
Mid Value 5,226,235 55,737,621 (4,966,709) 542,913 5,495,344 56,809,169
Multifactor Developed International ETF 2,732,980 91,938,275 466 (2,926,252) 669,608 4,687,702 94,369,799
Multifactor Emerging Markets ETF 2,355,928 60,116,647 (207,513) 13,100 1,164,859 61,087,093
Multifactor Mid Cap ETF 1,249,115 69,649,590 2,451 (4,038,794) 1,515,053 4,545,919 71,674,219
330

              Dividends and distributions
Affiliate Ending
share
amount
Beginning
value
Cost of
purchases
Proceeds
from shares
sold
Realized
gain
(loss)
Change in
unrealized
appreciation
(depreciation)
Income
distributions
received
Capital gain
distributions
received
Ending
value
Multifactor Small Cap ETF 1,458,477 $53,991,015 $22,218 $(708,273) $222,319 $2,653,255 $56,180,534
Select Bond 116,313,105 1,361,315,495 13,050,542 (8,950,210) (1,562,632) (2,989,867) 1,360,863,328
Small Cap Dynamic Growth 1,292,203 20,357,425 (2,612,474) (176,244) 3,520,044 21,088,751
Small Cap Value 3,511,007 48,277,298 98,056 (174,233) 39,112 1,370,290 49,610,523
Strategic Equity Allocation 51,444,189 940,978,888 (63,835,890) (6,266,203) 83,412,919 954,289,714
          $(13,151,846) $161,596,442 $6,425,764 $4,195,493,032
Managed Volatility Conservative Portfolio
Blue Chip Growth 284,853 $9,298,390 $(1,683,109) $(215,209) $1,416,130 $8,816,202
Bond 8,521,336 120,002,722 $1,619,118 (5,517,343) (692,382) (800,146) $1,289,171 114,611,969
Core Bond 3,553,992 41,600,691 183,977 (1,788,613) (347,465) 85,041 39,733,631
Emerging Markets Equity 556,616 5,439,344 (414,518) 35,127 88,746 5,148,699
Equity Income 993,809 15,068,411 (1,880,023) 485,129 736,719 14,410,236
Fundamental Large Cap Core 170,139 12,680,065 (1,388,432) 655,383 199,199 12,146,215
John Hancock Collateral Trust 507,937 2,505,820 19,297,442 (16,724,216) 109 (1,103) 45,105 5,078,052
Multifactor Emerging Markets ETF 83,876 2,287,912 52 (154,613) (2,334) 43,812 2,174,829
Multifactor Mid Cap ETF 138,853 8,187,524 170 (899,306) 471,524 207,473 7,967,385
Multifactor Small Cap ETF 164,180 6,428,248 338 (425,888) 192,579 128,937 6,324,214
Select Bond 24,964,010 305,703,293 700,906 (13,236,780) (2,367,661) 1,279,162 292,078,920
Strategic Equity Allocation 2,770,412 53,733,556 (6,594,253) 239,904 4,011,931 51,391,138
          $(1,545,296) $7,395,901 $1,334,276 $559,881,490
Managed Volatility Growth Portfolio
Blue Chip Growth 7,510,330 $226,717,410 $(24,576,966) $(7,727,102) $38,031,375 $232,444,717
Bond 30,298,578 403,801,730 $8,735,845 (5,021,695) $4,463,168 407,515,880
Core Bond 12,696,161 140,608,264 2,196,983 (862,168) 141,943,079
Emerging Markets Equity 25,376,330 229,148,260 5,582,793 234,731,053
Equity Income 22,682,418 321,158,961 (19,486,532) (2,686,952) 29,909,589 328,895,066
Fundamental Large Cap Core 5,422,228 377,661,811 (16,891,907) 6,892,558 19,430,425 387,092,887
John Hancock Collateral Trust 4,720,080 47,847,586 60,490,872 (61,137,255) 7,498 (20,177) 686,831 47,188,524
Mid Cap Growth 9,455,369 92,980,886 (7,580,006) (11,391,744) 20,639,106 94,648,242
Mid Value 11,261,445 119,394,539 (9,979,213) (325,171) 13,321,754 122,411,909
Multifactor Developed International ETF 6,486,488 214,987,425 (3,633,584) 846,202 11,778,388 223,978,431
Multifactor Emerging Markets ETF 4,801,276 122,096,449 2,396,317 124,492,766
Multifactor Mid Cap ETF 2,288,134 126,669,891 3,688 (6,471,800) 2,444,173 8,647,177 131,293,129
Multifactor Small Cap ETF 3,204,250 117,767,348 165,827 (795,823) 252,902 6,037,456 123,427,710
Select Bond 89,401,536 1,034,636,680 14,781,879 (3,420,585) 1,045,997,974
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              Dividends and distributions
Affiliate Ending
share
amount
Beginning
value
Cost of
purchases
Proceeds
from shares
sold
Realized
gain
(loss)
Change in
unrealized
appreciation
(depreciation)
Income
distributions
received
Capital gain
distributions
received
Ending
value
Small Cap Dynamic Growth 2,401,395 $37,394,654 $(4,383,612) $(296,584) $6,476,316 $39,190,774
Small Cap Value 5,624,845 77,005,105 $220,424 2,253,528 79,479,057
Strategic Equity Allocation 95,918,637 1,737,439,131 (101,202,450) 6,977,183 136,076,856 1,779,290,720
          $(5,007,037) $291,256,455 $5,149,999 $5,544,021,918
Managed Volatility Moderate Portfolio
Blue Chip Growth 1,057,772 $33,409,117 $(5,079,531) $(2,216,117) $6,624,587 $32,738,056
Bond 12,793,693 175,209,345 $2,394,371 (3,359,101) (405,751) (1,763,691) $1,909,218 172,075,173
Core Bond 5,358,254 60,946,283 210,573 (874,099) (150,738) (226,737) 59,905,282
Emerging Markets Equity 2,511,060 23,550,461 (885,619) (30,695) 593,159 23,227,306
Equity Income 3,399,610 49,834,688 (4,667,781) (118,259) 4,245,697 49,294,345
Fundamental Large Cap Core 680,834 49,132,558 (3,893,308) 1,188,369 2,177,103 48,604,722
John Hancock Collateral Trust 898,759 9,059,317 7,672,059 (7,743,647) 2,500 (4,976) 131,313 8,985,253
Mid Cap Growth 1,035,332 10,508,416 (1,177,159) (1,492,612) 2,525,032 10,363,677
Mid Value 1,245,916 13,651,067 (1,563,156) 232,627 1,222,570 13,543,108
Multifactor Developed International ETF 301,460 10,499,690 134 (685,478) 146,723 448,345 10,409,414
Multifactor Emerging Markets ETF 388,914 10,198,498 180 (310,377) 18,288 177,601 10,084,190
Multifactor Mid Cap ETF 150,671 8,616,177 327 (704,989) 260,408 473,579 8,645,502
Multifactor Small Cap ETF 186,164 7,068,966 93,365 (358,880) 103,704 263,882 7,171,037
Select Bond 37,585,151 447,589,842 1,268,499 (7,594,333) (1,323,281) (194,455) 439,746,272
Small Cap Dynamic Growth 288,649 4,724,031 11,049 (783,424) (63,131) 822,221 4,710,746
Small Cap Value 715,117 10,141,821 30,548 (358,635) 40,509 250,364 10,104,607
Strategic Equity Allocation 11,130,927 208,987,502 (19,380,713) (749,702) 17,621,613 206,478,700
          $(4,557,158) $35,255,894 $2,040,531 $1,116,087,390
Mid Cap Growth Trust
John Hancock Collateral Trust 803,131 $26,511,135 $53,453,487 $(71,933,176) $(608) $(1,613) $49,124 $8,029,225
Mid Cap Index Trust
John Hancock Collateral Trust 6,324,172 $45,902,432 $95,583,181 $(78,244,320) $3,711 $(19,729) $498,196 $63,225,275
Mid Value Trust
John Hancock Collateral Trust 830,414 $254,631 $17,752,650 $(9,702,581) $(524) $(2,199) $819 $8,301,977
Opportunistic Fixed Income Trust
John Hancock Collateral Trust 115,396 $1,891,256 $2,467,071 $(3,204,495) $102 $(272) $2,973 $1,153,662
Science & Technology Trust
John Hancock Collateral Trust 736,435 $10,568,415 $27,179,057 $(30,384,538) $996 $(1,499) $18,199 $7,362,431
Select Bond Trust
John Hancock Collateral Trust 1,819,014 $29,772,485 $438,715,951 $(450,294,191) $(4,644) $(4,194) $874,479 $18,185,407
Short Term Government Income Trust
John Hancock Collateral Trust 79,441 $1,387,336 $44,598,529 $(45,191,498) $14 $(175) $31,491 $794,206
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              Dividends and distributions
Affiliate Ending
share
amount
Beginning
value
Cost of
purchases
Proceeds
from shares
sold
Realized
gain
(loss)
Change in
unrealized
appreciation
(depreciation)
Income
distributions
received
Capital gain
distributions
received
Ending
value
Small Cap Index Trust
John Hancock Collateral Trust 2,489,569 $32,071,162 $45,422,722 $(52,599,146) $6,451 $(11,968) $300,005 $24,889,221
Small Cap Opportunities Trust
John Hancock Collateral Trust 4,425 $800,128 $(755,868) $(5) $(12) $592 $44,243
Small Cap Stock Trust
John Hancock Collateral Trust 51,121 $3,421,696 $25,186,611 $(28,097,311) $(80) $157 $2,787 $511,073
Small Cap Value Trust
John Hancock Collateral Trust 8,017 $6,047,636 $11,557,650 $(17,525,771) $643 $(11) $899 $80,147
Small Company Value Trust
John Hancock Collateral Trust 187,244 $719,443 $7,876,163 $(6,723,286) $29 $(395) $2,131 $1,871,954
Strategic Equity Allocation Trust
John Hancock Collateral Trust 35,547,032 $288,736,220 $513,284,818 $(446,556,865) $35,786 $(122,058) $3,619,593 $355,377,901
Strategic Income Opportunities Trust
John Hancock Collateral Trust 1,315,035 $14,208,187 $32,235,354 $(33,292,592) $(592) $(3,426) $174,343 $13,146,931
Total Bond Market Trust
John Hancock Collateral Trust 661,036 $5,599,037 $36,559,486 $(35,547,907) $(327) $(1,650) $87,870 $6,608,639
Total Stock Market Index Trust
John Hancock Collateral Trust 2,216,932 $41,161,671 $89,482,365 $(108,470,243) $3,112 $(13,346) $532,310 $22,163,559
Ultra Short Term Bond Trust
John Hancock Collateral Trust 998,346 $7,157,765 $97,703,143 $(94,878,100) $820 $(2,759) $108,898 $9,980,869
Investment in affiliates of advisor. Information regarding the portfolios’ fiscal year to date purchases and sales of affiliated investments of the advisor as well as income and capital gains earned by the portfolios, if any, is as follows:
              Dividends and distributions
Affiliate Ending
share
amount
Beginning
value
Cost of
purchases
Proceeds
from shares
sold
Realized
gain
(loss)
Change in
unrealized
appreciation
(depreciation)
Income
distributions
received
Capital gain
distributions
received
Ending
value
International Equity Index Trust
Manulife Financial Corp. 62,100 $1,372,241 $178,712 $15,604 $1,550,953
Restricted securities. The portfolios may hold restricted securities which are restricted as to resale and the portfolios have limited rights to registration under the Securities Act of 1933. Disposal may involve time-consuming negotiations and expenses, and prompt sale at an acceptable price may be difficult to achieve. The following table summarizes the restricted securities held at March 31, 2024:
Issuer,
Description
Original
acquisition date
Acquisition
cost
Beginning
share
amount
Shares
purchased
Shares
sold
Ending
share
amount
Value as a
percentage of
net assets
Ending
value
High Yield Trust                
KCAD Holdings I, Ltd. 3-21-11 $1,353,651 165,553,563 165,553,563 0.0%1 $166
MWO Holdings LLC 8-30-16 438,156 445 445 0.0%1 2,768
New Cotai, Inc., Class B 4-12-13 0 3 3 0.0% 0
                $2,934
Mid Cap Growth Trust                
Essence Group Holdings Corp. 5-1-14 $2,731,549 1,663,188 1,663,188 0.3% $2,112,249
Lookout, Inc., Series F 7-31-14 2,338,736 211,003 211,003 0.3% 1,939,118
                $4,051,367
1 Less than 0.05%.
American Asset Allocation Trust, American Global Growth Trust, American Growth Trust, American Growth-Income Trust and American International Trust (collectively, the JHVIT Feeder Funds), Lifestyle Balanced Portfolio, Lifestyle Conservative Portfolio, Lifestyle Growth Portfolio and Lifestyle Moderate Portfolio (collectively, the Lifestyle Portfolios), Managed Volatility Balanced Portfolio, Managed Volatility Conservative Portfolio, Managed Volatility Growth Portfolio and Managed Volatility Moderate Portfolio (collectively, the Managed Volatility Portfolios) operate as "funds of funds," investing
333

in shares of mutual funds (underlying funds). The accounting policies of the underlying funds in which the Lifestyle Portfolios and Managed Volatility Portfolios invest are outlined in the underlying funds’ shareholder reports, which include the underlying funds’ financial statements. These are available on the Securities and Exchange Commission (SEC) website at www.sec.gov. John Hancock underlying funds' shareholder reports are also available without charge by calling 800-344-1029 or visiting jhannuities.com. The American Funds Insurance Series’ accounting policies are outlined in their financial statements, available at the SEC website at www.sec.gov. Capital Research and Management Company serves as investment advisor for the American Funds Insurance Series' master funds. The underlying funds are not covered by this report.
For additional information on the portfolios' significant accounting policies and risks, please refer to the portfolios' most recent semiannual or annual shareholder report and prospectus.
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