Holdings

Symbol Grade Price % Change Allocation
APP B -0.13 1.27
VST A 6.74 0.71
CIEN B 3.20 0.51
ALSN B 2.94 0.51
SYF B 1.00 0.51
DTM A 4.84 0.50
UNM A 4.10 0.50
TRGP A 1.91 0.49
JEF A 2.75 0.49
KMI A 2.02 0.48
AMP A 1.58 0.48
CMI A 2.20 0.47
WMB A 1.74 0.47
PWR A 2.40 0.46
OMF A 0.96 0.45
OKE A 3.11 0.45
NRG B 1.88 0.45
IP A 0.51 0.45
ETR A 1.11 0.45
CBRE B 0.12 0.44
LNG A 0.53 0.44
TPL A 2.44 0.44
SNA B 0.26 0.44
GRMN B 1.94 0.44
TPR B 1.96 0.43
FCNCA A 2.06 0.43
TXRH B 0.31 0.43
GWW B 1.37 0.43
EXEL B 0.10 0.43
HUBB B 3.53 0.43
USFD A 1.39 0.43
INGR B 1.31 0.42
EHC B 0.04 0.42
ATO A 1.26 0.42
TOL B 1.15 0.42
STLD B 1.24 0.42
PPC B 0.11 0.42
UTHR C 0.96 0.42
CSL C 2.47 0.42
KR B 1.18 0.42
TAP C 0.23 0.42
CF A 0.22 0.41
RGA B 1.10 0.41
MRO A 0.38 0.41
CLH C 1.31 0.41
RPM B 0.96 0.41
HBAN B 1.55 0.41
CASY A 0.97 0.41
NI A 1.26 0.41
SPG A 0.56 0.41
PEG A 1.27 0.41
OC A 1.87 0.41
XEL A 1.08 0.41
LDOS C 2.11 0.41
FAST B 0.61 0.41
PKG A 0.09 0.41
EVRG A -0.37 0.40
CACI D 3.96 0.40
OGE A 1.00 0.40
CAH B 1.75 0.40
BRX A 0.19 0.40
AM A 2.40 0.40
THC C -2.94 0.40
LITE B 8.44 0.40
PR B 2.68 0.40
ORI A 1.15 0.40
PFGC B 2.52 0.40
PCG A 0.73 0.39
DGX A 0.99 0.39
WEC A 1.11 0.39
AME A 0.78 0.39
TYL B 0.11 0.39
IRM C 2.00 0.39
PNW A 1.49 0.39
COR B 0.08 0.39
EMN D 1.02 0.39
PPL A 1.25 0.39
LAMR D 0.60 0.39
ESI B 2.31 0.39
CHTR B -0.25 0.39
JNPR D 0.63 0.38
OHI C 0.90 0.38
VTRS A 0.84 0.38
IT C 0.60 0.38
AFL C 1.58 0.38
DECK A 1.97 0.38
K A 0.28 0.38
DVA C 1.36 0.38
LNT A 0.19 0.38
FANG C 1.49 0.38
EME A 3.09 0.38
JLL D 0.87 0.38
HIG A 0.88 0.38
AVB B 1.33 0.38
UGI C 1.56 0.37
DTE C 0.84 0.37
REG A 0.13 0.37
NVR D 0.83 0.37
SPB C 0.69 0.37
FYBR C 0.33 0.37
MTG C 0.63 0.37
ROKU D 0.47 0.37
AJG A 0.49 0.37
CMS C 0.78 0.37
MANH D 0.64 0.37
RS B 0.77 0.37
PHM D 1.18 0.37
VVV D 0.26 0.36
RMD C 0.21 0.36
GLPI C 0.27 0.36
LEN D 0.65 0.36
NXST D 0.34 0.36
EIX C 0.43 0.36
DKS D 1.44 0.36
NFG A 2.72 0.36
TSN B 1.11 0.36
BRBR A 1.94 0.36
KIM A 0.64 0.36
TKR F 1.74 0.35
CLX A -0.04 0.35
ED C 0.14 0.35
PAG C 2.57 0.35
FE C 0.52 0.35
CNM C 0.78 0.35
CUBE D 0.97 0.35
GGG B 0.43 0.35
POST C 1.15 0.35
DINO D 1.40 0.35
SSNC C 1.95 0.35
CBOE C 0.14 0.35
TSCO D 1.35 0.34
ANSS B 1.55 0.34
COKE C 1.06 0.34
BLDR F 0.78 0.34
NTAP C 3.59 0.34
HPE B 3.02 0.34
KVUE A 1.93 0.33
MSM D 2.78 0.33
CHE D 0.94 0.33
CTRA B 2.37 0.33
EPR D 0.75 0.33
DHI D 0.27 0.33
UHS D -0.39 0.33
X C 7.56 0.33
VICI C 0.67 0.33
GEN B 1.83 0.33
HRB D 0.16 0.33
PK D 3.66 0.33
CHD A 0.81 0.33
BG D 0.93 0.33
STE D 0.49 0.32
LH B 0.51 0.32
AN D 3.08 0.32
CPB D 0.37 0.32
JBL C 2.52 0.32
HST D 2.38 0.32
GIS D 0.13 0.32
HOLX D 0.86 0.32
FBIN D -0.27 0.32
ESS B 1.43 0.31
ROST D 1.86 0.31
WSM C -2.77 0.31
WY D 0.20 0.31
EG C 2.29 0.31
RBC A 0.02 0.31
MTB A 2.02 0.31
WLK F 0.48 0.31
NUE D 0.60 0.31
CAG D 0.77 0.31
MAS D 1.02 0.31
LYB F 0.41 0.31
HIW D 1.46 0.30
AVY D 0.07 0.30
LECO C 1.80 0.30
GNTX F 0.32 0.30
BPOP C 2.11 0.30
ACI C -0.31 0.30
LSTR D 0.77 0.30
AR B 1.81 0.30
HPQ B 2.67 0.30
CTVA C 2.16 0.30
NEU D -0.09 0.30
DOX D 1.31 0.30
EQR C 0.45 0.29
A F 1.98 0.29
IFF D 0.73 0.29
RGLD C -0.17 0.29
KRC C 3.05 0.29
MOS D 1.49 0.29
SJM D 0.31 0.29
MOH F 0.44 0.29
RRC B 1.17 0.29
HSIC C -1.81 0.29
BBY D 0.52 0.29
ADM D 0.77 0.29
SAM C 0.06 0.28
VEEV C 1.98 0.28
EXC C 0.88 0.28
SNX C 0.51 0.28
MEDP F 2.55 0.28
SAIC F 1.19 0.28
IQV F 0.61 0.28
MKC C 0.97 0.28
CLF F 1.42 0.28
OMC D 0.80 0.28
OLN F 1.32 0.28
WST C 1.26 0.28
AOS F 1.80 0.28
STAG D 1.06 0.28
PAYX B 0.78 0.27
DVN F 1.02 0.27
OVV B 2.60 0.27
BYD B -0.68 0.27
MPWR F 0.57 0.27
INCY C -0.11 0.27
CRUS F 1.83 0.27
R B 1.18 0.27
FRPT B 2.53 0.27
SYY D 1.52 0.27
LPX B 1.86 0.27
TER F 1.74 0.27
ASH F 1.34 0.26
HRL D 0.38 0.26
DRI C 0.28 0.26
FLO D 0.32 0.26
CDW F 1.29 0.26
AMH C 0.47 0.26
JAZZ B 3.15 0.26
MAA B 0.67 0.25
CNC F 0.56 0.25
SMG C -0.54 0.25
NBIX C 1.57 0.25
UI A 3.28 0.25
QGEN D 0.21 0.25
RVTY D 2.28 0.25
L A 0.15 0.25
HAL C 2.39 0.25
CWEN C 1.61 0.24
IRDM F 1.00 0.24
SWKS F 1.26 0.24
AGO A -0.08 0.24
ON F 0.75 0.24
IDA A 0.34 0.24
MGM D 0.70 0.23
STWD C 0.53 0.23
EGP D 0.54 0.23
FR D 0.62 0.23
DLB B -1.81 0.22
CROX F 1.80 0.22
WPC C 0.48 0.22
NNN C 0.18 0.22
PRI B 1.06 0.22
EXPD D 1.27 0.22
HUN F -0.33 0.22
EXP B 1.68 0.21
MCHP F 1.38 0.21
HSY F 0.34 0.21
RPRX D 1.30 0.21
FMC D 0.78 0.21
CPT C 0.27 0.20
BRKR F 3.07 0.20
AFG A 1.95 0.19
FITB B 0.76 0.19
CE F 1.02 0.19
FNF D 0.73 0.18
GLW B 0.52 0.18
REYN D 0.34 0.18
REXR F 0.05 0.18
NVT C 4.75 0.18
FRT B 1.03 0.18
BKR A 0.87 0.18
RF A 1.92 0.17
KEYS A 2.43 0.17
ITT B 2.15 0.17
BRO B 1.43 0.17
ACHC F -0.46 0.17
SLM A 3.88 0.17
ELAN D -1.08 0.16
SCI B 0.57 0.15
CUZ B 1.51 0.15
AXS A 1.12 0.15
APA F 0.79 0.14
AVT C 1.66 0.14
SON D -0.10 0.14
PINC B 0.70 0.14
DFS B 1.42 0.14
M F 1.82 0.14
RYN D 0.40 0.14
BAH F 3.56 0.14
POOL D 1.28 0.13
WEN D -0.28 0.13
TXT D 2.10 0.13
WTM A 0.70 0.13
BWA D 0.33 0.13
THO C 2.23 0.13
AKAM F 2.85 0.12
QRVO F 1.78 0.12
CFG B 1.47 0.11
ALLY C 3.29 0.11
KEY B 1.71 0.10
SLGN A 1.45 0.10
CXT C 2.76 0.10
ACGL D 2.46 0.10
NSA C 1.71 0.09
XRAY D 1.05 0.09
LBRDK C -0.19 0.09
AYI B 1.88 0.09
ZION B 1.56 0.09
TFX F 1.64 0.08
PB B 1.65 0.07
GEHC C -3.17 0.07
TNL B 1.74 0.07
RHI C 1.07 0.07
FNB B 2.35 0.07
CMA B 1.65 0.07
TECH F 2.42 0.06
CNXC F -0.10 0.06
NDSN C 2.05 0.06
GO C 0.70 0.06
IEX B 1.21 0.05
NVST C 3.68 0.05
PFG C 0.14 0.05
HXL F 1.40 0.05
CR A 1.69 0.05
WU F 0.98 0.04
CRI F 2.29 0.04
BIIB F 1.02 0.04
VIRT A 1.68 0.04
IPG D 1.34 0.03
ADTN B 5.43 0.03
FTRE D 1.88 0.03
PAYC B 2.66 0.03
HOG F 0.74 0.02
AEE A 1.59 0.02
KSS F 0.43 0.01
ATR B 0.46 0.01
CC C 6.13 0.00
CNA C 0.57 0.00

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

Date Stock Title
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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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