ETF Components for JVAL - JPMorgan U.S. Value Factor ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
GOOGL B -6.22 2.17
META C -1.28 2.12
AVGO D 0.87 1.92
AAPL C -0.03 1.87
MSFT D -0.35 1.78
UNH B -0.02 1.77
CRM B 4.51 1.33
ORCL A 2.46 1.24
JNJ D 1.06 1.22
APP B -0.22 0.87
CAT C 1.92 0.85
IBM C 2.83 0.84
TXN C -0.38 0.82
HD C 1.62 0.82
INTU B 3.52 0.81
QCOM F 1.52 0.79
CSCO B 0.36 0.77
CVX A 0.45 0.74
AMAT F 3.22 0.70
MRK F 1.23 0.66
AMGN D -0.05 0.65
C B 1.22 0.65
PFE F -0.24 0.65
T A 0.72 0.65
INTC C 1.96 0.60
ADI D 0.84 0.54
GILD B 0.50 0.52
PM A 1.09 0.52
BMY B 0.22 0.51
APH B 4.06 0.51
LRCX F 3.66 0.51
MDT D 0.87 0.51
MO A 0.60 0.50
CMCSA B 0.98 0.49
COF B 1.13 0.48
RTX D 1.29 0.48
MRVL B 2.84 0.48
CI D 0.83 0.47
KLAC F 2.60 0.46
ELV F 0.68 0.45
BAC A 1.40 0.45
GM B 1.35 0.44
VRT A 4.22 0.43
USB A 1.93 0.42
MU D 3.52 0.42
JCI B 1.74 0.42
TFC B 1.56 0.41
FDX B 1.50 0.41
CMI A 2.17 0.40
ROP C 0.30 0.40
CVS D 0.06 0.40
BK B 0.69 0.40
PCAR C 3.73 0.39
KMI A 2.02 0.39
GD D 0.36 0.38
PSX C 0.03 0.37
TWLO A 3.93 0.37
MPC C 0.67 0.36
AIG D 0.94 0.36
DELL C 3.43 0.36
PRU B 1.72 0.35
SYF B 1.09 0.34
F C 0.28 0.34
TGT F 0.14 0.34
GRMN B 1.84 0.33
ETR A 1.14 0.33
GLW B 0.45 0.33
CTSH B 1.41 0.33
FITB B 0.76 0.32
DHI D 0.02 0.32
KR B 1.13 0.32
HPQ B 2.37 0.32
GDDY A 1.01 0.32
SPG A 0.56 0.32
LDOS C 2.09 0.32
HPE B 2.76 0.32
PAYC B 2.48 0.31
NUE D 0.53 0.31
SNA B 0.26 0.31
DD D 0.82 0.31
ZM B 2.33 0.31
LHX B 0.88 0.31
EBAY D 1.56 0.30
DOV B 1.99 0.30
HBAN B 1.63 0.30
LEN D 0.46 0.30
PKG A 0.16 0.29
PNR B 1.88 0.29
ALSN B 2.94 0.29
JBL C 2.25 0.29
WDAY C 2.99 0.29
STT A 0.78 0.29
VICI C 0.70 0.28
CFG B 1.47 0.28
ED C 0.13 0.28
JEF A 2.63 0.28
MCHP F 1.38 0.28
ON F 0.46 0.28
UNM A 3.93 0.28
WCC B 2.56 0.27
PHM D 0.98 0.27
EPAM C 3.55 0.27
MTB A 2.02 0.27
UAL A -0.36 0.27
PPL A 1.27 0.27
NTAP C 3.60 0.27
DAL A 1.65 0.27
FFIV A 1.36 0.27
GEN B 1.68 0.27
CACI D 4.22 0.26
RS B 0.39 0.26
R B 1.18 0.26
UTHR C 1.08 0.26
IP A 0.54 0.26
KHC F 0.34 0.26
OC A 1.75 0.26
GIS D 0.20 0.26
RF A 1.96 0.26
TAP C 0.19 0.25
PFG C 0.11 0.25
FOXA B -0.07 0.25
MRO A 0.47 0.25
BLDR F 0.69 0.25
DGX A 0.92 0.25
TOL B 0.93 0.25
OMC D 0.80 0.25
PEGA B 3.09 0.25
VLO C 0.30 0.24
TPR B 2.04 0.24
LAD B 3.05 0.24
CTRA B 2.33 0.24
SCI B 0.57 0.24
KBR F 2.26 0.24
EVRG A -0.40 0.24
ADM D 0.51 0.24
VTRS A 0.65 0.24
CDW F 1.29 0.24
SSNC C 1.91 0.24
DBX C 1.80 0.24
CMA B 1.83 0.23
OGE A 0.97 0.23
ORI A 0.64 0.23
KIM A 0.64 0.23
DRI C 0.45 0.23
SAIC F 1.23 0.23
NWSA A 0.86 0.23
LYB F 0.33 0.23
SNV B 1.06 0.23
BBY D 0.69 0.23
AMCR C 1.64 0.22
TER F 1.59 0.22
OHI C 0.85 0.22
CCK D 0.80 0.22
OSK C 1.36 0.22
KEY B 1.74 0.22
DOW F 1.73 0.22
DOX D 1.31 0.22
SNX C 0.51 0.22
PNW A 1.32 0.22
WAL B 3.26 0.22
RL C 1.26 0.22
ALLY C 3.22 0.21
NXST D 0.49 0.21
AVT C 1.39 0.21
GFS C 0.82 0.21
DNB A 1.10 0.21
BC F 1.66 0.21
WSM C -2.79 0.21
EXC C 0.88 0.21
THC C -3.15 0.21
GPK D 1.00 0.21
BPOP C 1.99 0.21
DKS D 1.36 0.21
DLB B -2.59 0.21
FNB B 2.32 0.21
ZI C 0.66 0.21
AKAM F 2.83 0.21
MOS D 1.49 0.21
OMF A 1.06 0.21
SLGN A 1.45 0.21
MSM D 2.78 0.20
WHR B 1.16 0.20
UGI C 1.56 0.20
VZ C 0.49 0.20
VAC C 1.37 0.20
NFG A 2.72 0.20
HIW D 1.46 0.20
CAG D 0.85 0.20
SWKS F 1.15 0.20
JHG B 1.44 0.20
NVR D 0.73 0.20
AN D 3.21 0.20
CNC F 0.64 0.20
HRB D 0.09 0.20
AYI B 1.65 0.20
UHS D -0.41 0.20
MTG C 0.59 0.20
ARW D 1.80 0.19
FAF A -0.21 0.19
TNL B 1.15 0.19
THO C 2.23 0.19
COLB B 2.75 0.19
TXT D 1.94 0.19
GAP D 2.81 0.19
FHN B 1.03 0.19
GPN C 1.49 0.19
OVV B 2.55 0.19
GPC F 0.74 0.19
ANSS B 1.59 0.19
ZION B 1.69 0.19
BERY C 2.17 0.19
DOCU B 0.91 0.19
RHI C 1.02 0.19
OLED F 0.17 0.19
AGO A -0.08 0.19
HUM C 0.48 0.19
PTC B 2.57 0.18
CRBG B 1.29 0.18
GNTX F 0.19 0.18
ST F 0.16 0.18
BYD B -0.52 0.18
MGM D 0.61 0.18
CNH C 4.34 0.18
PAG C 2.23 0.18
M F 1.65 0.18
IVZ B 1.69 0.18
MTCH F 0.94 0.18
EPR D 0.56 0.18
WBS A 1.56 0.17
AGCO F 5.93 0.17
ACI C -0.58 0.17
CPB D 0.25 0.17
ZBH C -0.48 0.17
IPG D 1.34 0.17
STWD C 0.41 0.17
KSS F 0.67 0.17
HOG F 0.68 0.17
MAN F 0.05 0.17
DV C 2.64 0.17
WU F 0.79 0.16
CRUS F 1.80 0.16
AXS A 1.12 0.16
BWA D 0.33 0.16
DINO D 1.15 0.16
PVH D 1.52 0.16
LKQ F 1.38 0.16
HII F 1.09 0.16
LH B 0.37 0.16
GLOB C 0.95 0.16
DXC C 2.17 0.16
MUSA B 2.09 0.16
KRC C 2.90 0.15
LVS B -0.22 0.15
PSN D 4.85 0.15
PH B 1.97 0.15
CRI F 2.29 0.15
EHC B -0.24 0.15
PB B 1.80 0.15
JWN D 0.18 0.15
INGR B 1.13 0.15
CXT C 2.49 0.14
VRSN D 0.98 0.14
QRVO F 1.57 0.14
BG D 0.82 0.14
FIS C -0.51 0.14
DG F 0.61 0.14
CLVT D 2.46 0.14
HST D 2.38 0.14
WEN D -0.42 0.14
G B 1.11 0.14
RVTY D 2.12 0.14
PK D 3.66 0.14
SJM D 0.36 0.14
IPGP D 1.72 0.14
BEN C 0.55 0.14
PATH C 6.02 0.13
PNC B 1.50 0.13
GLPI C 0.26 0.13
MDU D 2.37 0.13
OKTA D 4.15 0.13
GTES A 1.09 0.13
BAX F 0.89 0.13
DVN F 0.99 0.13
POOL D 1.07 0.13
ARMK B 2.85 0.13
OZK B 1.87 0.13
JAZZ B 2.91 0.13
WH B 1.15 0.13
LEA F 0.89 0.13
FHB B 0.76 0.13
PR B 2.62 0.13
FMC D 0.72 0.12
WPC C 0.48 0.12
LPX B 1.82 0.12
FBIN D -0.27 0.12
NWL B 0.62 0.12
U C 1.48 0.12
ENTG F 1.57 0.12
PARA D 2.22 0.12
SWK F 1.83 0.12
POST C 0.97 0.12
APTV F 0.75 0.12
REG A 0.13 0.12
BBWI C -1.18 0.12
SON D -0.10 0.12
CROX F 1.63 0.11
LEG F 0.13 0.11
AGNC C 0.47 0.11
CNXC F -0.10 0.11
PINC B 0.58 0.11
BSY D 1.01 0.11
INFA C 3.56 0.11
RPRX D 1.43 0.11
CUZ B 1.24 0.11
ADTN B 5.60 0.11
TDC D 2.30 0.11
CWEN C 1.61 0.10
TSN B 1.01 0.10
VOYA B 0.74 0.10
CIVI F 1.92 0.10
AAP D 0.34 0.10
SIRI D 0.91 0.10
AGR A 0.11 0.10
HRL D 0.36 0.10
IAC D -0.59 0.10
SNDR A 1.67 0.10
COLM C 1.75 0.10
SPB C 0.75 0.10
DDS B 2.52 0.10
NNN C 0.05 0.10
PRGO C -0.41 0.10
PPC B -0.04 0.09
MPW F 1.64 0.09
RGA B 0.67 0.09
PII F 1.66 0.09
D C 0.69 0.09
BOKF B 2.09 0.09
SEE D 0.48 0.09
LNC B 1.52 0.08
MTN C 2.11 0.08
VFC C 1.02 0.08
TFX F 1.64 0.07
FTRE D 0.94 0.07
AMKR F 3.55 0.07
OGN F 0.81 0.06
DT D 2.29 0.06
CF A 0.23 0.06
BDX F 1.34 0.06
FANG C 1.54 0.06
HSIC C -1.67 0.06
SOLV F 1.79 0.05
AL B 2.47 0.05
EQR C 0.45 0.04
CE F 0.94 0.04
NVT C 4.55 0.04
UHAL D 2.95 0.04
HUN F -0.33 0.03
CLF F 1.20 0.02
BRX A 0.19 0.01
CPRI F -0.67 0.01
ALGM F 3.72 0.00
LOPE B 0.40 0.00

Recent News for JPMorgan U.S. Value Factor ETF & its Holdings

Date Stock Title
Nov 21 BK BNY to be financial agent for the Treasury Department's prepaid debit card program
Nov 21 ADTN Adtran launches scalable AI private cloud solutions for US federal agencies
Nov 21 APH Nvidia's results seen as positive for Arista Networks, Amphenol, others: Evercore
Nov 21 T SurgePays Teams Up With AT&T For Affordable Wireless Solutions Nationwide; Stock Gains
Nov 21 CMA Comerica Bank Statement on Direct Express Program Transition
Nov 21 BK BNY to Manage U.S. Department of the Treasury's Largest Prepaid Debit Card Program for Federal Benefits - Direct Express®
Nov 21 CMA BNY gains Treasury's Direct Express benefits contract
Nov 21 BK BNY gains Treasury's Direct Express benefits contract
Nov 21 GOOGL DOJ Seeks Google Sale Of Chrome In Antitrust Case. Will Trump Make A Difference?
Nov 21 GOOGL Why Alphabet Stock Was Sliding Today
Nov 21 AVGO Major companies that are also popular short-selling stocks
Nov 21 PFE Major companies that are also popular short-selling stocks
Nov 21 HPE Dell Q3 results should provide optimism heading into 2025
Nov 21 NTAP Dell Q3 results should provide optimism heading into 2025
Nov 21 KHC Kraft Heinz: Hold The Mustard
Nov 21 GOOGL US Justice Department Seeks Google Chrome Sale to Curb Monopoly
Nov 21 LDOS 3 Aerospace-Defense Stocks to Buy Amid Persistent Supply-Chain Issues
Nov 21 GOOGL DOJ calls for Google to divest Chrome in antitrust push
Nov 21 GOOGL Google Chrome Should Be Sold, DOJ Says. Alphabet Stock Is Diving.
Nov 21 HPQ HP keeps Equal-weight rating at Morgan Stanley ahead of earnings
The investment seeks investment results that closely correspond, before fees and expenses, to the performance of the JP Morgan US Value Factor Index. The fund will invest at least 80% of its assets in securities included in the underlying index. Assets means net assets, plus the amount of borrowing for investment purposes. The underlying index is comprised of U.S. equity securities selected to represent value factor characteristics.
Exchange Traded Fund Investment Management Mortgage Backed Security
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