JGRO vs. RSPH ETF Comparison

Comparison of JPMorgan Active Growth ETF (JGRO) to Invesco S&P 500 Equal Weight Health Care ETF (RSPH)
JGRO

JPMorgan Active Growth ETF

JGRO Description

JPMorgan Active Growth ETF is an exchange traded fund launched and managed by J.P. Morgan Investment Management Inc. It invests in public equity markets of the United States. It invests directly and through derivatives in stocks of companies operating across diversified sectors. The fund uses derivatives such as futures to create its portfolio. It invests in growth stocks of large-cap companies. It invests in stocks of companies that are deemed socially conscious in their business dealings and directly promote environmental responsibility. The fund employs proprietary research to create its portfolio. JPMorgan Active Growth ETF was formed on August 8, 2022 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$80.92

Average Daily Volume

456,688

Number of Holdings *

105

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

Invesco S&P 500 Equal Weight Health Care ETF

RSPH Description The fund generally will invest at least 90% of its total assets in securities that comprise the underlying index. The underlying index is composed of all of the components of the S&P 500® Health Care Index, an index that contains the common stocks of all companies included in the S&P 500® Index that are classified as members of the health care sector, as defined according to the Global Industry Classification Standard (GICS).

Grade (RS Rating)

Last Trade

$30.68

Average Daily Volume

61,343

Number of Holdings *

61

* may have additional holdings in another (foreign) market
Performance
Period JGRO RSPH
30 Days 4.02% -1.00%
60 Days 5.72% -4.48%
90 Days 7.35% -3.57%
12 Months 38.25% 12.19%
10 Overlapping Holdings
Symbol Grade Weight in JGRO Weight in RSPH Overlap
ABT B 0.26% 1.68% 0.26%
EW C 0.08% 1.64% 0.08%
IQV D 0.15% 1.44% 0.15%
ISRG A 1.88% 1.86% 1.86%
LLY F 3.1% 1.44% 1.44%
MCK B 0.7% 2.0% 0.7%
MTD D 0.16% 1.52% 0.16%
REGN F 0.9% 1.15% 0.9%
TMO F 0.43% 1.48% 0.43%
UNH C 0.19% 1.7% 0.19%
JGRO Overweight 95 Positions Relative to RSPH
Symbol Grade Weight
NVDA C 10.41%
MSFT F 7.34%
AAPL C 7.14%
AMZN C 6.39%
META D 5.32%
GOOG C 4.59%
MA C 2.81%
AVGO D 2.48%
NFLX A 2.32%
ORCL B 1.75%
TSLA B 1.62%
BX A 1.22%
KKR A 1.16%
PWR A 1.15%
INTU C 1.13%
TT A 1.07%
DASH A 1.02%
NOW A 1.0%
PANW C 1.0%
GS A 0.95%
BKNG A 0.94%
UBER D 0.87%
DHI D 0.86%
ANET C 0.78%
TSM B 0.74%
TTD B 0.73%
MMM D 0.72%
HUBS A 0.71%
VRT B 0.68%
TJX A 0.62%
SNPS B 0.58%
SPOT B 0.58%
IBKR A 0.56%
KO D 0.55%
TDG D 0.54%
SBUX A 0.54%
HD A 0.54%
NTRA B 0.51%
MCO B 0.51%
ETN A 0.51%
PGR A 0.51%
BRK.A B 0.49%
FTI A 0.48%
ITT A 0.46%
IBM C 0.46%
AME A 0.45%
CPRT A 0.44%
IR B 0.42%
MCD D 0.42%
GRMN B 0.41%
MELI D 0.41%
LRCX F 0.4%
EOG A 0.38%
PYPL B 0.37%
TEAM A 0.37%
TTWO A 0.37%
FICO B 0.36%
GWW B 0.34%
AZO C 0.34%
BAH F 0.32%
HUBB B 0.32%
ENTG D 0.3%
ON D 0.29%
STZ D 0.29%
APH A 0.29%
ALNY D 0.28%
TER D 0.27%
JBHT C 0.26%
SHOP B 0.25%
CRWD B 0.24%
ELF C 0.24%
MDB C 0.24%
HLT A 0.23%
EXP A 0.23%
GEV B 0.22%
ITCI C 0.22%
APP B 0.22%
CRM B 0.22%
POOL C 0.2%
SAIA B 0.19%
COP C 0.19%
SNOW C 0.15%
AL B 0.15%
CMG B 0.13%
BABA D 0.12%
EXAS D 0.11%
LNG B 0.08%
CELH F 0.07%
MNST C 0.06%
SQ B 0.06%
ASML F 0.05%
FCX D 0.05%
ADBE C 0.04%
AMD F 0.03%
ABNB C 0.02%
JGRO Underweight 51 Positions Relative to RSPH
Symbol Grade Weight
INCY C -2.08%
BMY B -2.02%
WAT B -1.96%
WST C -1.91%
PODD C -1.9%
GILD C -1.89%
VTRS A -1.84%
DXCM D -1.83%
LH C -1.83%
CAH B -1.82%
BSX B -1.79%
SYK C -1.76%
ZBH C -1.74%
DGX A -1.73%
COR B -1.72%
VRTX F -1.69%
CTLT B -1.68%
CRL C -1.68%
SOLV C -1.65%
BDX F -1.65%
TECH D -1.65%
RVTY F -1.62%
GEHC F -1.62%
MDT D -1.62%
HOLX D -1.62%
HSIC B -1.61%
A D -1.61%
CVS D -1.61%
DVA B -1.6%
RMD C -1.58%
JNJ D -1.56%
ALGN D -1.55%
ZTS D -1.55%
STE F -1.54%
CI F -1.51%
PFE D -1.51%
AMGN D -1.51%
HUM C -1.5%
HCA F -1.49%
DHR F -1.48%
ABBV D -1.48%
UHS D -1.47%
MOH F -1.45%
IDXX F -1.44%
MRK F -1.44%
BIIB F -1.43%
BAX D -1.36%
TFX F -1.32%
CNC D -1.32%
ELV F -1.26%
MRNA F -0.99%
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