Holdings

Symbol Grade Price % Change Allocation
VST B -2.58 0.58
SYF B -0.37 0.53
ANET C -2.33 0.51
CIEN B -2.31 0.50
UNM A 1.72 0.49
TRGP B -0.74 0.48
COF B -1.04 0.47
KMI B -0.15 0.47
IP B 0.98 0.47
NRG C -0.91 0.46
PFGC B 0.53 0.46
NVDA A 0.33 0.45
FCNCA B -0.51 0.45
ETR B -0.39 0.45
TMUS A -1.30 0.45
PWR B -0.92 0.44
STLD C -2.88 0.43
GRMN A -0.76 0.43
CEG D -0.26 0.43
KR A -0.84 0.43
CMCSA B -0.98 0.43
UTHR B -3.54 0.43
GWW B -2.16 0.43
USFD B -1.26 0.43
INGR B -0.51 0.42
ETN B -2.11 0.42
CLH B -3.29 0.42
HST D -3.00 0.41
XOM B 0.07 0.41
LAMR D -0.86 0.41
CHTR B -2.95 0.41
MSI B -0.60 0.41
MCK B -2.31 0.41
TOL B 1.35 0.41
CMI A -0.71 0.41
CASY B -0.83 0.41
APH B 0.30 0.41
ALSN B -1.07 0.41
META B -0.49 0.41
PEG C -0.01 0.40
AVGO C -1.84 0.40
RS C -0.94 0.40
FAST B -1.75 0.40
WELL B -0.39 0.40
SPG A -0.48 0.40
NI A -0.63 0.40
T A -0.22 0.40
CVS F 1.51 0.40
WM A -1.75 0.40
JLL C -1.60 0.40
WMB B -0.04 0.40
CSCO A -2.13 0.40
FANG C 0.60 0.39
X D -3.78 0.39
PNW A -0.39 0.39
RSG B -2.43 0.39
NXST C 0.06 0.39
VLO C 0.33 0.39
SCCO F -0.71 0.39
ABBV F -0.42 0.39
PGR A -1.48 0.39
ORCL A -1.36 0.39
COR B -2.62 0.39
IRM D -2.47 0.39
THC B -0.17 0.39
PH A -1.25 0.39
PM B 2.36 0.38
AFL C -0.69 0.38
REG A -0.27 0.38
OHI C -0.80 0.38
VRTX B -2.15 0.38
AMGN F -1.83 0.38
VZ D -0.66 0.38
AM B 0.33 0.38
K A -0.41 0.38
MO A 0.25 0.38
TAP B -1.80 0.38
NVR D 0.81 0.38
PPL A -0.84 0.38
JNPR D 0.42 0.38
HIG C -1.03 0.38
BRK.A B -0.23 0.38
BRX A -0.55 0.37
BAH C -10.13 0.37
LMT D -3.36 0.37
DUK D -0.57 0.37
HUBB C -3.02 0.37
SYY D -2.22 0.37
MRO B 0.80 0.37
KVUE A 2.03 0.37
ORLY A -1.16 0.37
FYBR D 0.23 0.37
SO D -0.85 0.37
GD C -6.88 0.37
ADI D -0.28 0.37
PHM D 1.54 0.37
HRB D -0.37 0.37
HRL F 0.07 0.36
ESS C -1.48 0.36
SRE B -1.90 0.36
OGE B -2.68 0.36
AZO B -0.82 0.36
CTSH A -1.88 0.36
MTG C -0.36 0.35
XEL A 0.38 0.35
PG C 0.30 0.35
AAPL C 1.38 0.35
DGX B -2.31 0.35
ED D -0.18 0.35
DVA C -1.86 0.35
LOW B -0.72 0.35
KHC F -1.06 0.35
MPC D -0.61 0.35
EIX C -0.06 0.35
TSCO D -0.60 0.35
DKS D 0.70 0.35
POST D -1.54 0.35
LEN D 2.09 0.35
CPB F 0.41 0.34
CAH B -3.22 0.34
WEC B -0.69 0.34
NUE D -3.82 0.34
KO F -0.71 0.34
ADM F 1.23 0.34
DHI D 1.62 0.34
MSFT C 0.40 0.34
GLPI D -0.75 0.34
D D -0.69 0.34
TSN B 1.12 0.34
HCA D -1.09 0.34
KMB D -0.39 0.34
CUBE D -1.46 0.34
PEP D 0.25 0.34
ITW B -1.13 0.34
GILD B -0.56 0.34
PSX C -0.12 0.34
WLK F -1.22 0.34
CLX A 0.24 0.34
UNH B -2.10 0.34
FE D -0.95 0.34
CVX A 1.94 0.34
FNF C 0.35 0.34
PSA D -0.94 0.33
KIM A -0.40 0.33
INTU A -0.78 0.33
EMN D -0.02 0.33
KLAC F 0.07 0.33
BG D 1.66 0.33
HBAN A -0.06 0.33
BLDR C 0.73 0.33
GIS F -0.80 0.33
PAG B 0.71 0.33
MDLZ F -0.67 0.33
EVRG A -0.92 0.33
CAG F -0.69 0.33
CTRA B 0.12 0.33
CI D -2.46 0.33
UHS D -0.86 0.33
CL F 0.42 0.32
ABT C -0.61 0.32
WY F -0.10 0.32
LNG B 0.37 0.32
CDNS B -1.12 0.32
IT B -2.66 0.32
UGI D -1.06 0.32
AEP D 0.46 0.32
OC A -0.26 0.32
CHD A 0.58 0.32
VICI D -0.03 0.32
CTVA C -0.43 0.32
LYB F -1.05 0.32
TJX A -0.70 0.32
LLY F -3.15 0.32
FITB A 0.13 0.31
AOS F -0.15 0.31
NFG D -0.82 0.31
AVB B -2.22 0.31
WSM F 1.01 0.31
QCOM F 2.21 0.31
AMAT F 1.76 0.31
CF B 0.62 0.31
EXC C -0.05 0.31
ACN B -2.20 0.31
NTAP D -1.35 0.31
ACGL C -1.12 0.31
JEF B -1.45 0.30
STZ D 0.54 0.30
MAS D -0.08 0.30
ORI A -0.40 0.30
EOG A 0.63 0.30
DTE D 0.67 0.30
IBM D -0.92 0.30
HPE B -2.33 0.30
BAC A 0.07 0.30
ACI C 0.00 0.30
PKG B -1.15 0.30
ESI B -0.95 0.30
LIN D -0.60 0.29
HOLX D -2.07 0.29
AMP A 0.29 0.29
CAT B 0.07 0.29
RPM A 0.30 0.28
CMS D -0.41 0.28
EG D -1.13 0.28
DOW F -0.89 0.28
COP C 0.98 0.28
GNTX C -0.85 0.28
DHR F -0.89 0.28
ECL C -0.92 0.28
UNP D -2.01 0.28
AVY F -1.51 0.27
OLN F -2.04 0.27
LRCX F 1.27 0.27
LH B -3.27 0.27
SYK A -1.30 0.27
REGN F -2.71 0.27
ELV F -0.94 0.27
SNX C -2.04 0.26
SPB A 0.17 0.26
CBOE D 0.79 0.26
DOX C -2.32 0.26
MSM C -2.32 0.26
ZTS D -1.36 0.26
WST B -1.71 0.26
DINO D 0.17 0.26
MRK F -0.14 0.26
FCX F 0.35 0.26
CB C 1.25 0.26
ALLY C -0.98 0.25
HSY F -2.99 0.25
CE F -0.08 0.25
LDOS C -13.60 0.25
KDP C -0.54 0.25
STE D -0.49 0.25
MDT D -2.24 0.24
BMY B 0.15 0.24
PK C -2.71 0.24
DRI B -0.58 0.24
VTR C -1.47 0.24
RVTY C -3.08 0.24
STAG D -2.72 0.24
TGT C -0.98 0.23
BRBR A 0.46 0.23
BBY C 0.97 0.23
APO B -0.02 0.23
CNM D -1.11 0.23
ITT A -1.26 0.23
ASH F 0.77 0.22
BPOP C -2.13 0.22
PR C 0.33 0.22
CLF F -3.86 0.22
PPC C -4.53 0.22
OMF A 0.24 0.22
SAM B -0.85 0.22
SJM F -0.24 0.22
ROST D 1.33 0.22
GEHC D -1.50 0.22
WPC F -1.01 0.21
EXP B -0.86 0.21
FLO F 0.92 0.21
VTRS B -2.92 0.21
BDX F -1.75 0.20
IFF F -0.53 0.20
COKE C -1.26 0.20
TKR F 0.62 0.20
MAA C -2.46 0.20
MEDP D -7.49 0.20
F C -0.27 0.19
SCI B -1.21 0.19
M C 3.32 0.19
NEU C -0.82 0.19
GAP B -1.07 0.19
NEM F -1.33 0.19
EQR C -2.10 0.19
STWD C 0.62 0.18
EA A 0.86 0.18
BKNG A -0.33 0.18
CPT C -2.38 0.17
KRC C -1.33 0.17
EPR D -1.56 0.17
HUN F -1.93 0.17
R B -1.25 0.17
RHI B -1.86 0.17
MOS D 0.77 0.17
CCI F 0.16 0.16
FR D -2.22 0.16
CHE D -0.47 0.16
NNN F -1.25 0.16
RGA A -0.37 0.16
DTM A 1.33 0.16
CSL B -0.93 0.16
MOH F -1.07 0.15
SWKS F 0.99 0.15
ATO B -1.48 0.15
IPG F -0.31 0.15
CACI C -9.41 0.15
HIW D -1.18 0.15
TMO F -1.64 0.15
DFS B -0.47 0.14
STT B -1.04 0.13
FBIN F -0.35 0.13
CSX B -2.33 0.13
VIRT B 0.72 0.12
WU F -0.47 0.12
WRB B -0.98 0.12
UI B 1.68 0.12
SLM A -0.12 0.11
VVV B 0.61 0.11
GOOGL C -1.84 0.11
USB B -1.68 0.11
DVN F 0.69 0.10
OXY F -0.88 0.10
CRUS F 1.11 0.10
SAIC D -14.93 0.10
SMG D 2.27 0.10
PRU B 0.39 0.10
PFG C -0.32 0.10
CARR C -1.87 0.09
FRT B -0.61 0.09
RF A 0.65 0.09
LPX A 0.89 0.08
RGLD C 0.08 0.08
LOPE B -2.06 0.08
GEN B -1.54 0.07
IRDM B 2.74 0.07
RBC B -0.70 0.07
CFG B 0.34 0.07
RMD C -1.70 0.07
PCAR B -1.49 0.06
AFG A -1.24 0.06
NKE F -1.10 0.06
DLB D -0.49 0.06
TNL A 0.39 0.06
EGP D -2.41 0.06
KEY B 0.47 0.06
ADBE C -0.49 0.05
NSA D -1.44 0.05
CBRE B -2.62 0.05
CWEN D 1.52 0.05
MMC D -1.87 0.05
RRC B -0.83 0.05
VLTO D -1.65 0.04
SSNC C -0.83 0.04
LSTR B -1.26 0.04
AGO B 2.91 0.04
FTRE D -5.08 0.03
HOG D 2.29 0.03
MNST B -0.74 0.03
LEG F -3.04 0.02
IDA A -0.50 0.02
CRI D -0.78 0.02
PLD D -1.56 0.01
KSS D 2.93 0.01
SON F -0.79 0.01
ROKU C -1.18 0.00

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

Date Stock Title
Nov 15 CMCSA Bob Iger Slams The Brakes On New M&A Amid Comcast's Cable Spinoff: Disney Doesn't 'Really Need More Assets' To Compete
Nov 15 MSFT Satya Nadella Touts Microsoft's Latest AI Mission: Making NASA's Earth Data Speak Plain English
Nov 15 CTSH Michael Saylor Is Planning A Bitcoin $100K Party At His House, Expects End Of War On Crypto Under Trump
Nov 15 BAC China’s Economy Shows Green Shoots as Consumption Growth Jumps
Nov 15 AAPL Li Lu's Strategic Moves in Q3 2024: A Closer Look at Apple Inc's Significant Reduction
Nov 15 NVDA Steven Cohen's Strategic Exits and New Positions Highlight Q3 2024 Moves, with a Focus on Amazon
Nov 15 AVGO Lee Ainslie's Strategic Moves in Q3 2024: A Deep Dive into Coupang Inc's Significant Reduction
Nov 15 AVGO Stanley Druckenmiller's Strategic Emphasis on Natera Inc in Q3 2024
Nov 15 MSFT Bill Gates Adjusts Portfolio, Major Reduction in Microsoft Corp Shares
Nov 15 AMAT Applied Materials, Inc. (AMAT) Q4 2024 Earnings Call Transcript
Nov 15 AMAT Applied Materials (AMAT) Q4 2024 Earnings Call Transcript
Nov 15 QCOM Philippe Laffont's Strategic Moves in Q3 2024: A Deep Dive into Dell Technologies' Major Reduction
Nov 15 KHC Hotchkis & Wiley Capitalizes on Kraft Heinz in Q3 2024 Investment Moves
Nov 15 META Third Point Hedge Fund Buys Tesla, Dumps Micron
Nov 15 CVS Third Point Hedge Fund Buys Tesla, Dumps Micron
Nov 15 VZ Third Point Hedge Fund Buys Tesla, Dumps Micron
Nov 15 M Appaloosa Hedge Fund Buys Vistra, Sells Boeing
Nov 15 NRG Appaloosa Hedge Fund Buys Vistra, Sells Boeing
Nov 15 VST Appaloosa Hedge Fund Buys Vistra, Sells Boeing
Nov 15 NRG Elliott Investment Management Adds To Southwest, Western Digital, Etsy, Match Group; Trims BILL Holdings, Seadrill, BlackLine, NRG Energy In Q3
The investment seeks investment results that closely correspond, before fees and expenses, to the performance of the Russell 1000 Diversified Factor Index. The fund will invest at least 80% of its assets in securities included in 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. Holdings in the underlying index are selected by the index provider primarily from the constituents of the Russell 1000 Index, a larger Russell index, which is comprised of large- and mid-cap equity securities in the United States.
Exchange Traded Fund ETF Russell 1000 Index
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