Holdings

Symbol Grade Price % Change Allocation
APP B -2.30 1.27
VST A 3.66 0.71
CIEN B 1.41 0.51
ALSN B 1.79 0.51
SYF B 0.52 0.51
DTM A 3.19 0.50
UNM A 2.51 0.50
TRGP A 1.13 0.49
JEF A 1.04 0.49
KMI A 1.05 0.48
AMP A 0.74 0.48
CMI A 1.34 0.47
WMB A 0.88 0.47
PWR A 2.41 0.46
OMF A 0.49 0.45
OKE A 1.75 0.45
NRG B 0.58 0.45
IP A -0.83 0.45
ETR A 0.15 0.45
CBRE B 0.17 0.44
LNG A -0.02 0.44
TPL A 0.01 0.44
SNA B 0.00 0.44
GRMN B 1.77 0.44
TPR B -0.44 0.43
FCNCA A 0.56 0.43
TXRH B -0.04 0.43
GWW B 0.68 0.43
EXEL B -0.46 0.43
HUBB B 1.35 0.43
USFD A 0.01 0.43
INGR B 0.33 0.42
EHC B -0.22 0.42
ATO A 0.73 0.42
TOL B 0.35 0.42
STLD B 0.74 0.42
PPC B 0.04 0.42
UTHR C -0.65 0.42
CSL C 0.90 0.42
KR B 0.88 0.42
TAP C 0.42 0.42
CF A 0.57 0.41
RGA B 0.42 0.41
MRO A 0.98 0.41
CLH C 0.20 0.41
RPM B 0.60 0.41
HBAN B -0.11 0.41
CASY A 0.31 0.41
NI A 0.44 0.41
SPG A -0.04 0.41
PEG A 0.28 0.41
OC A 1.02 0.41
XEL A 0.29 0.41
LDOS C 2.98 0.41
FAST B 0.37 0.41
PKG A -0.40 0.41
EVRG A -0.76 0.40
CACI D 3.53 0.40
OGE A 0.39 0.40
CAH B 0.56 0.40
BRX A 0.00 0.40
AM A 1.59 0.40
THC C -5.08 0.40
LITE B 6.57 0.40
PR B 1.20 0.40
ORI A 0.64 0.40
PFGC B 1.41 0.40
PCG A 0.28 0.39
DGX A 0.25 0.39
WEC A -0.21 0.39
AME A 0.61 0.39
TYL B 0.08 0.39
IRM C 1.63 0.39
PNW A 0.29 0.39
COR B -0.36 0.39
EMN D 0.23 0.39
PPL A 0.31 0.39
LAMR D 0.42 0.39
ESI B 1.26 0.39
CHTR B -1.09 0.39
JNPR D -1.11 0.38
OHI C 0.15 0.38
VTRS A 0.08 0.38
IT C 0.47 0.38
AFL C 0.86 0.38
DECK A -0.20 0.38
K A 0.14 0.38
DVA C 0.88 0.38
LNT A 0.19 0.38
FANG C 1.75 0.38
EME A 2.11 0.38
JLL D 0.90 0.38
HIG A 0.22 0.38
AVB B 0.58 0.38
UGI C 0.76 0.37
DTE C 0.27 0.37
REG A 0.00 0.37
NVR D -0.22 0.37
SPB C 0.24 0.37
FYBR C 0.29 0.37
MTG C 0.00 0.37
ROKU D -0.16 0.37
AJG A 0.49 0.37
CMS C 0.00 0.37
MANH D 0.52 0.37
RS B 0.78 0.37
PHM D 0.35 0.37
VVV D -0.26 0.36
RMD C -0.03 0.36
GLPI C -0.17 0.36
LEN D 0.17 0.36
NXST D -1.06 0.36
EIX C 0.26 0.36
DKS D -0.18 0.36
NFG A 2.38 0.36
TSN B 0.73 0.36
BRBR A 1.87 0.36
KIM A 0.16 0.36
TKR F 0.63 0.35
CLX A -0.70 0.35
ED C -0.06 0.35
PAG C 1.83 0.35
FE C 0.07 0.35
CNM C -1.79 0.35
CUBE D 0.14 0.35
GGG B 0.00 0.35
POST C -0.42 0.35
DINO D 0.41 0.35
SSNC C 1.36 0.35
CBOE C 0.30 0.35
TSCO D 0.93 0.34
ANSS B 0.78 0.34
COKE C 1.13 0.34
BLDR F -0.87 0.34
NTAP C 1.43 0.34
HPE B 1.25 0.34
KVUE A 0.46 0.33
MSM D 0.00 0.33
CHE D 0.72 0.33
CTRA B 2.01 0.33
EPR D 0.29 0.33
DHI D -0.10 0.33
UHS D -2.54 0.33
X C 2.81 0.33
VICI C 0.39 0.33
GEN B 0.31 0.33
HRB D -0.29 0.33
PK D 0.00 0.33
CHD A 0.71 0.33
BG D 0.49 0.33
STE D -0.02 0.32
LH B -0.20 0.32
AN D 2.09 0.32
CPB D 0.00 0.32
JBL C 1.29 0.32
HST D 0.00 0.32
GIS D -0.24 0.32
HOLX D 0.61 0.32
FBIN D 0.00 0.32
ESS B 0.35 0.31
ROST D 0.37 0.31
WSM C -2.22 0.31
WY D 0.00 0.31
EG C 1.11 0.31
RBC A 0.00 0.31
MTB A 0.75 0.31
WLK F -0.21 0.31
NUE D 0.25 0.31
CAG D 0.22 0.31
MAS D 0.51 0.31
LYB F 0.13 0.31
HIW D 0.00 0.30
AVY D 0.20 0.30
LECO C 0.49 0.30
GNTX F 0.31 0.30
BPOP C 0.21 0.30
ACI C -0.44 0.30
LSTR D 0.30 0.30
AR B 3.53 0.30
HPQ B 0.89 0.30
CTVA C 1.70 0.30
NEU D 0.00 0.30
DOX D 0.92 0.30
EQR C 0.45 0.29
A F 1.65 0.29
IFF D 0.15 0.29
RGLD C 0.00 0.29
KRC C 1.19 0.29
MOS D 1.22 0.29
SJM D -0.71 0.29
MOH F -0.78 0.29
RRC B 3.13 0.29
HSIC C -1.40 0.29
BBY D -0.62 0.29
ADM D 0.48 0.29
SAM C -0.44 0.28
VEEV C 1.16 0.28
EXC C 0.57 0.28
SNX C 0.71 0.28
MEDP F 0.00 0.28
SAIC F 2.87 0.28
IQV F -0.87 0.28
MKC C 0.64 0.28
CLF F 0.00 0.28
OMC D 0.41 0.28
OLN F 0.29 0.28
WST C -0.14 0.28
AOS F 0.49 0.28
STAG D 0.00 0.28
PAYX B 0.28 0.27
DVN F 0.99 0.27
OVV B 1.42 0.27
BYD B -0.36 0.27
MPWR F -0.63 0.27
INCY C -1.13 0.27
CRUS F 0.33 0.27
R B 0.38 0.27
FRPT B 0.59 0.27
SYY D 0.57 0.27
LPX B 1.54 0.27
TER F 0.53 0.27
ASH F -0.09 0.26
HRL D 0.21 0.26
DRI C 0.07 0.26
FLO D 0.27 0.26
CDW F 1.47 0.26
AMH C 0.15 0.26
JAZZ B 1.09 0.26
MAA B -0.04 0.25
CNC F -0.36 0.25
SMG C 2.03 0.25
NBIX C -0.24 0.25
UI A 1.19 0.25
QGEN D 0.43 0.25
RVTY D 1.00 0.25
L A -0.09 0.25
HAL C 1.06 0.25
CWEN C 0.36 0.24
IRDM F -0.13 0.24
SWKS F 0.32 0.24
AGO A -0.08 0.24
ON F -0.55 0.24
IDA A 0.00 0.24
MGM D -0.49 0.23
STWD C 0.25 0.23
EGP D 0.30 0.23
FR D -0.32 0.23
DLB B 0.00 0.22
CROX F 0.49 0.22
WPC C 0.00 0.22
NNN C -0.46 0.22
PRI B 0.09 0.22
EXPD D 0.78 0.22
HUN F -0.88 0.22
EXP B 1.72 0.21
MCHP F 0.48 0.21
HSY F 0.06 0.21
RPRX D 0.93 0.21
FMC D 1.08 0.21
CPT C 0.27 0.20
BRKR F -1.06 0.20
AFG A 0.66 0.19
FITB B 0.76 0.19
CE F 1.06 0.19
FNF D 0.24 0.18
GLW B 0.50 0.18
REYN D 0.07 0.18
REXR F 0.00 0.18
NVT C 3.80 0.18
FRT B 0.34 0.18
BKR A 0.37 0.18
RF A 0.91 0.17
KEYS A -0.13 0.17
ITT B 0.00 0.17
BRO B 0.56 0.17
ACHC F -1.92 0.17
SLM A 0.00 0.17
ELAN D -0.04 0.16
SCI B -0.51 0.15
CUZ B 1.06 0.15
AXS A 0.85 0.15
APA F 0.84 0.14
AVT C 0.22 0.14
SON D 0.00 0.14
PINC B 0.25 0.14
DFS B 0.85 0.14
M F 0.96 0.14
RYN D 0.40 0.14
BAH F 3.77 0.14
POOL D 0.78 0.13
WEN D -0.95 0.13
TXT D 1.14 0.13
WTM A 0.00 0.13
BWA D 0.09 0.13
THO C 1.05 0.13
AKAM F 1.86 0.12
QRVO F -0.38 0.12
CFG B 1.47 0.11
ALLY C 2.28 0.11
KEY B 0.58 0.10
SLGN A -0.49 0.10
CXT C 1.28 0.10
ACGL D 1.71 0.10
NSA C 0.06 0.09
XRAY D -0.32 0.09
LBRDK C -0.61 0.09
AYI B 0.98 0.09
ZION B 0.49 0.09
TFX F 0.00 0.08
PB B 0.32 0.07
GEHC C 0.01 0.07
TNL B 1.15 0.07
RHI C 0.12 0.07
FNB B 1.04 0.07
CMA B 0.68 0.07
TECH F 1.70 0.06
CNXC F 0.00 0.06
NDSN C 1.08 0.06
GO C -1.95 0.06
IEX B 0.00 0.05
NVST C 1.23 0.05
PFG C 0.39 0.05
HXL F 0.17 0.05
CR A 0.80 0.05
WU F 0.05 0.04
CRI F -0.14 0.04
BIIB F -0.37 0.04
VIRT A 1.08 0.04
IPG D 0.00 0.03
ADTN B 2.46 0.03
FTRE D -1.12 0.03
PAYC B 1.44 0.03
HOG F 0.34 0.02
AEE A 0.25 0.02
KSS F -0.03 0.01
ATR B 0.20 0.01
CC C 2.94 0.00
CNA C 0.00 0.00

Recent News for JPMorgan Diversified Return U.S. Mid Cap Equity ETF & its Holdings

Date Stock Title
Nov 21 HPQ HP keeps Equal-weight rating at Morgan Stanley ahead of earnings
Nov 21 OMC MERCURY PUBLIC AFFAIRS ANNOUNCES MERGER WITH SERAFIN & ASSOCIATES
Nov 21 SSNC SS&C declares $0.25 dividend
Nov 21 SSNC SS&C Announces Common Stock Dividend of $0.25 Per Share
Nov 21 VTRS Viatris Inc. (VTRS) Management Presents at Jefferies London Healthcare Conference (Transcript)
Nov 21 TECH Temu Parent PDD Stock Tumbles After Q3 Profit Miss, Company Cites Intensified Competition and External Challenges
Nov 21 CNC Meridian Health Plan of Illinois and Liberty Bank and Trust Partner to Create Small Business Loan Program to Support and Empower Diverse and Small Businesses in Illinois
Nov 21 TECH How To Earn $500 A Month From Intuit Stock Ahead Of Q1 Earnings
Nov 21 EPR EPR Properties: The Simon Property Group Effect
Nov 21 MTB M&T Bank Corporation (NYSE:MTB) is largely controlled by institutional shareholders who own 89% of the company
Nov 21 INGR How Should You Play Tyson Foods Stock at a P/E Multiple of 17.5X?
Nov 21 MKC How Should You Play Tyson Foods Stock at a P/E Multiple of 17.5X?
Nov 21 JAZZ Zymeworks, Jazz Pharmaceuticals Receive FDA's Accelerated Approval for Ziihera to Treat Biliary Tract Cancer
Nov 21 VEEV Report Reveals 70% of Medtechs Use Manual Processes for Managing Content and Claims
Nov 21 AMP 60% Of Americans Are Behind On Retirement Planning — Are You One?
Nov 21 JAZZ Jazz and Zymeworks announce FDA approval of cancer therapy Ziihera
Nov 21 GEHC GE HealthCare reiterates annual outlook, lifts dividend
Nov 21 GEHC GE HealthCare Technologies raises dividend to $0.035/share
Nov 21 ALSN Allison Transmission price target raised to $125 from $115 at Citi
Nov 21 GEHC GE HealthCare hosts 2024 Investor Day: focus on innovation to deliver precision care and drive growth
The investment seeks investment results that closely correspond, before fees and expenses, to the performance of the Russell Midcap Diversified Factor Index. The fund will invest at least 80% of its net assets in securities included in the underlying index. It may invest up to 20% of its assets in exchange-traded futures to seek performance that corresponds to the underlying index. The underlying index is comprised of U.S. equity securities selected to represent a diversified set of factor characteristics, originally developed by the adviser.
Exchange Traded Fund ETF Index Fund Midcap Russell Midcap Growth Total Return Index
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