JEPQ vs. USMF ETF Comparison

Comparison of J.P. Morgan Nasdaq Equity Premium Income ETF (JEPQ) to WisdomTree U.S. Multifactor Fund (USMF)
JEPQ

J.P. Morgan Nasdaq Equity Premium Income ETF

JEPQ Description

J.P. Morgan Nasdaq Equity Premium Income ETF its a fund to list on the Nasdaq, is an active equity ETF that seeks to deliver an attractive distributable yield while also delivering a significant portion of the returns associated with the fund’s primary benchmark, the Nasdaq-100 Index, with less volatility. This Fund was built for investors that are seeking income while also owning companies that provide exposure to Nasdaq's innovative marketplace. This strategy benefits from the intentionality of an active manager while being delivered through the ETF technology.

Grade (RS Rating)

Last Trade

$56.57

Average Daily Volume

3,052,605

Number of Holdings *

89

* may have additional holdings in another (foreign) market
USMF

WisdomTree U.S. Multifactor Fund

USMF Description The investment seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. Multifactor Index. Under normal circumstances, at least 80% of the fund's total assets will be invested in component securities of the index and investments that have economic characteristics that are substantially identical to the economic characteristics of such component securities. The index is generally comprised of 200 U.S. companies with the highest composite scores based on two fundamental factors (value and quality measures) and two technical factors (momentum and correlation). The fund is non-diversified.

Grade (RS Rating)

Last Trade

$52.37

Average Daily Volume

25,306

Number of Holdings *

199

* may have additional holdings in another (foreign) market
Performance
Period JEPQ USMF
30 Days 3.94% 6.39%
60 Days 5.67% 7.88%
90 Days 8.10% 8.72%
12 Months 24.97% 32.34%
14 Overlapping Holdings
Symbol Grade Weight in JEPQ Weight in USMF Overlap
ABBV D 0.43% 0.37% 0.37%
APP B 0.24% 1.61% 0.24%
BMY B 0.28% 0.36% 0.28%
CMCSA B 1.04% 0.93% 0.93%
CTSH B 0.13% 1.38% 0.13%
DE A 0.26% 0.31% 0.26%
KHC F 0.26% 0.26% 0.26%
ORLY B 0.63% 0.82% 0.63%
PYPL B 0.26% 0.23% 0.23%
REGN F 0.67% 0.28% 0.28%
TMO F 0.22% 0.31% 0.22%
TMUS B 1.17% 1.29% 1.17%
VRSK A 0.4% 0.38% 0.38%
WDAY B 0.23% 0.81% 0.23%
JEPQ Overweight 75 Positions Relative to USMF
Symbol Grade Weight
NVDA C 7.42%
AAPL C 7.24%
MSFT F 6.49%
AMZN C 4.57%
META D 4.21%
GOOG C 3.99%
AVGO D 3.5%
TSLA B 3.11%
NFLX A 2.15%
COST B 1.62%
AMD F 1.35%
INTU C 1.34%
BKNG A 1.3%
ISRG A 1.26%
ADBE C 1.04%
CSCO B 0.99%
PANW C 0.96%
LIN D 0.92%
QCOM F 0.9%
TXN C 0.88%
ADI D 0.88%
VRTX F 0.84%
SNPS B 0.77%
PEP F 0.74%
HON B 0.71%
LRCX F 0.7%
MU D 0.69%
MDLZ F 0.62%
CSX B 0.6%
NXPI D 0.6%
MELI D 0.59%
MRVL B 0.59%
MAR B 0.57%
CPRT A 0.55%
ASML F 0.48%
CRWD B 0.47%
AMAT F 0.47%
ETN A 0.43%
LOW D 0.42%
NOW A 0.42%
KO D 0.42%
ORCL B 0.41%
SBUX A 0.4%
AMGN D 0.39%
TTWO A 0.38%
CMG B 0.38%
MNST C 0.38%
XEL A 0.35%
INTC D 0.34%
NEE D 0.34%
UNH C 0.33%
SO D 0.33%
MA C 0.32%
STZ D 0.3%
HUBS A 0.3%
FANG D 0.29%
STX D 0.28%
CHTR C 0.27%
DXCM D 0.27%
UBER D 0.25%
DASH A 0.24%
CPAY A 0.24%
BIIB F 0.21%
ROST C 0.21%
PLD D 0.2%
UPS C 0.16%
MDB C 0.16%
TER D 0.16%
TTD B 0.15%
ABNB C 0.12%
LULU C 0.1%
ANSS B 0.09%
PDD F 0.07%
SMCI F 0.03%
DLTR F 0.0%
JEPQ Underweight 185 Positions Relative to USMF
Symbol Grade Weight
MSI B -1.52%
GDDY A -1.49%
VRSN F -1.43%
ROP B -1.35%
TDY B -1.34%
IBM C -1.32%
FFIV B -1.31%
SNX C -1.17%
TYL B -1.12%
EA A -1.11%
FOXA B -1.09%
FICO B -1.08%
ZM B -1.07%
T A -1.05%
GEN B -1.03%
DBX B -1.02%
DOCU A -1.02%
CVLT B -1.01%
JNPR F -1.0%
CRM B -0.99%
AKAM D -0.96%
HPQ B -0.93%
DT C -0.92%
NYT C -0.88%
FTNT C -0.88%
VZ C -0.87%
TJX A -0.85%
DIS B -0.82%
TXRH C -0.81%
DRI B -0.79%
NTAP C -0.79%
EPAM C -0.76%
IPG D -0.75%
MUSA A -0.74%
AZO C -0.73%
LVS C -0.7%
ARMK B -0.69%
EBAY D -0.68%
INFA D -0.66%
NTNX A -0.64%
GM B -0.63%
HRB D -0.6%
EXPE B -0.53%
LDOS C -0.52%
CRUS D -0.5%
COR B -0.49%
FSLR F -0.48%
MCK B -0.46%
ECL D -0.45%
EHC B -0.44%
CAH B -0.44%
EXEL B -0.43%
CACI D -0.43%
AMP A -0.43%
XOM B -0.43%
GILD C -0.43%
HOLX D -0.42%
EOG A -0.42%
WM A -0.42%
BSX B -0.42%
FI A -0.42%
JNJ D -0.42%
ADP B -0.41%
UTHR C -0.41%
DGX A -0.41%
ETR B -0.4%
INGR B -0.4%
RSG A -0.4%
ABT B -0.4%
IBKR A -0.4%
RJF A -0.4%
COP C -0.4%
LMT D -0.4%
ADTN A -0.4%
BR A -0.39%
JPM A -0.39%
L A -0.39%
DOV A -0.39%
ANF C -0.39%
HIG B -0.39%
WFC A -0.39%
GPK C -0.38%
LH C -0.38%
UNM A -0.38%
ZBH C -0.38%
CME A -0.37%
BRK.A B -0.37%
PPC C -0.37%
PCAR B -0.37%
ALSN B -0.37%
CCK C -0.37%
CHE D -0.37%
TRV B -0.37%
ALL A -0.36%
BRO B -0.36%
AIZ A -0.36%
LHX C -0.36%
ACI C -0.36%
SSNC B -0.36%
CINF A -0.36%
RLI B -0.36%
MRO B -0.35%
AFL B -0.35%
PRI A -0.35%
ORI A -0.35%
WMT A -0.35%
CNA B -0.35%
PGR A -0.35%
GAP C -0.35%
VOYA B -0.35%
J F -0.34%
RGA A -0.34%
MO A -0.34%
AIG B -0.34%
AXP A -0.34%
OGE B -0.34%
BERY B -0.34%
EME C -0.34%
KR B -0.34%
MSA D -0.34%
MRK F -0.34%
MLI C -0.34%
WRB A -0.33%
CBOE B -0.33%
NTRS A -0.33%
MKL A -0.33%
HAL C -0.33%
SYF B -0.32%
PG A -0.32%
MTB A -0.32%
EWBC A -0.32%
VTRS A -0.32%
TAP C -0.32%
VLO C -0.32%
ELS C -0.32%
GLPI C -0.32%
PCG A -0.31%
SYY B -0.31%
NNN D -0.31%
KMB D -0.31%
HCA F -0.31%
DVN F -0.31%
UHS D -0.31%
VICI C -0.31%
BAH F -0.31%
CBSH A -0.31%
ELV F -0.3%
SAIC F -0.3%
FRT B -0.3%
POST C -0.3%
REYN D -0.3%
PNW B -0.3%
DUK C -0.3%
LPX B -0.29%
RYAN B -0.29%
SFM A -0.29%
MPC D -0.29%
MTG C -0.29%
CRS A -0.29%
CL D -0.29%
THC D -0.28%
FCNCA A -0.28%
CI F -0.28%
MAS D -0.28%
EIX B -0.28%
AEP D -0.27%
GIS D -0.27%
WPC D -0.27%
DVA B -0.27%
CAG D -0.26%
FDX B -0.26%
NBIX C -0.25%
CNC D -0.25%
DINO D -0.25%
FCN D -0.24%
HALO F -0.23%
PAYC B -0.23%
HII D -0.23%
AMT D -0.22%
APA D -0.22%
MMM D -0.21%
BMRN D -0.2%
FMC D -0.18%
GL B -0.14%
LNTH D -0.13%
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