JPMB vs. GCOR ETF Comparison

Comparison of JPMorgan USD Emerging Markets Sovereign Bond ETF (JPMB) to Goldman Sachs Access U.S. Aggregate Bond ETF (GCOR)
JPMB

JPMorgan USD Emerging Markets Sovereign Bond ETF

JPMB Description

The investment seeks investment results that closely correspond, before fees and expenses, to the performance of the JPMorgan Emerging Markets Risk-Aware Bond Index. The fund will invest at least 80% of its assets in securities included in the underlying index. The underlying index is comprised of liquid, U.S. dollar-denominated sovereign and quasi-sovereign fixed and floating rate debt securities from emerging markets selected using a rules-based methodology that was developed and is owned by the adviser. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$39.41

Average Daily Volume

26,928

Number of Holdings *

2

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

Goldman Sachs Access U.S. Aggregate Bond ETF

GCOR Description Goldman Sachs ETF Trust - Goldman Sachs Access U.S. Aggregate Bond ETF is an exchange traded fund launched and managed by Goldman Sachs Asset Management, L.P. The fund invests in fixed income markets of the United States. It invests in U.S. dollar denominated investment grade bonds, U.S. Treasury Securities, corporate bonds, mortgage-backed securities, government-sponsored securities, non-U.S. sovereign and provincial securities and asset-backed securities. The fund invests in securities that have a minimum of one year to maturity and are rated at least BBB- by S&P or Baa3 by Moody's. It seeks to track the performance of the FTSE Goldman Sachs US Broad Bond Market Index, by using representative sampling technique. Goldman Sachs ETF Trust - Goldman Sachs Access U.S. Aggregate Bond ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$41.02

Average Daily Volume

26,776

Number of Holdings *

240

* may have additional holdings in another (foreign) market
Performance
Period JPMB GCOR
30 Days -0.77% -1.58%
60 Days -0.49% -2.94%
90 Days 1.52% -0.90%
12 Months 11.95% 5.43%
1 Overlapping Holdings
Symbol Grade Weight in JPMB Weight in GCOR Overlap
KSA B 0.04% 0.14% 0.04%
JPMB Overweight 1 Positions Relative to GCOR
Symbol Grade Weight
CASH B 0.01%
JPMB Underweight 239 Positions Relative to GCOR
Symbol Grade Weight
EIX D -0.16%
COP D -0.14%
FNCL B -0.14%
MTB B -0.13%
ICE D -0.13%
AMAT D -0.12%
GILD A -0.12%
TME C -0.12%
SBUX C -0.12%
HSBC A -0.12%
AER B -0.11%
AL B -0.11%
CNO B -0.1%
GE D -0.1%
MMM C -0.1%
TMUS B -0.1%
WELL B -0.1%
BNS A -0.09%
BMO B -0.09%
BIDU D -0.09%
QCOM C -0.09%
XOM B -0.09%
BK B -0.08%
KDP F -0.08%
TMO F -0.08%
CB D -0.07%
KO F -0.07%
AMG C -0.06%
GPN C -0.06%
TAP C -0.06%
PCG B -0.06%
BA F -0.06%
A C -0.05%
DGX B -0.05%
DELL C -0.05%
CINF B -0.05%
BWA C -0.05%
BMY B -0.05%
NWG B -0.05%
NSC B -0.05%
MHK D -0.05%
TPR B -0.05%
HON B -0.05%
SPG B -0.05%
ABBV B -0.05%
JBL B -0.04%
HII F -0.04%
GWW A -0.04%
ORLY B -0.04%
OMC B -0.04%
NVR D -0.04%
MOS C -0.04%
MMC D -0.04%
MAA D -0.04%
LYB F -0.04%
LIN D -0.04%
LEG F -0.04%
TXT D -0.04%
SYY C -0.04%
SBRA B -0.04%
RS B -0.04%
PEG C -0.04%
AXP B -0.04%
ALB C -0.04%
DHI D -0.04%
D C -0.04%
CRM B -0.04%
CM A -0.04%
CAG F -0.04%
BDX F -0.04%
KEY B -0.04%
STLD B -0.04%
CI F -0.04%
INTC C -0.04%
TD F -0.04%
ALLY C -0.04%
PNC A -0.04%
SCCO B -0.03%
PCAR B -0.03%
OTIS B -0.03%
NEM D -0.03%
MAR A -0.03%
LII A -0.03%
KLAC F -0.03%
K B -0.03%
HUN F -0.03%
HAL D -0.03%
ETN B -0.03%
EOG C -0.03%
DOW F -0.03%
CMI B -0.03%
WAB B -0.03%
AVGO B -0.03%
CVS F -0.03%
FN B -0.03%
VOD D -0.03%
CFG B -0.02%
CCI D -0.02%
BHF B -0.02%
AXS B -0.02%
APTV F -0.02%
ADBE F -0.02%
FOXA B -0.02%
FDX B -0.02%
EFX D -0.02%
DAL B -0.02%
CPB F -0.02%
COST B -0.02%
MPW D -0.02%
LUV B -0.02%
LRCX D -0.02%
LNT D -0.02%
KIM B -0.02%
HXL D -0.02%
HSY F -0.02%
GLW B -0.02%
OVV D -0.02%
OHI C -0.02%
WU F -0.02%
WRB B -0.02%
WM B -0.02%
WLK F -0.02%
VOYA B -0.02%
TT B -0.02%
TSN D -0.02%
TRV B -0.02%
STZ F -0.02%
SLB D -0.02%
RY A -0.02%
XEL B -0.02%
MCD D -0.02%
GLPI D -0.02%
TFC B -0.02%
ARCC B -0.02%
AWK D -0.02%
AIG B -0.02%
NOC D -0.02%
KHC F -0.02%
NXPI D -0.02%
HCA D -0.02%
PEP F -0.02%
ABT C -0.02%
CVX B -0.02%
MPLX B -0.02%
PLD F -0.02%
WMT B -0.02%
MUFG B -0.02%
RTX D -0.02%
KMI A -0.02%
EXC D -0.02%
EQNR F -0.02%
MS B -0.02%
BAC B -0.02%
CHTR B -0.02%
WFC B -0.02%
T C -0.02%
DVN F -0.01%
RSG B -0.01%
ROK B -0.01%
PPG F -0.01%
PH B -0.01%
NOV D -0.01%
XYL F -0.01%
WHR B -0.01%
SJM F -0.01%
ALL C -0.01%
AFL D -0.01%
ACGL D -0.01%
GD C -0.01%
FTV F -0.01%
FITB B -0.01%
EBAY D -0.01%
DT C -0.01%
CMS D -0.01%
LH A -0.01%
ITW B -0.01%
IP B -0.01%
HPQ B -0.01%
HIG D -0.01%
HES C -0.01%
GP F -0.01%
EVRG B -0.01%
ED D -0.01%
CL F -0.01%
JEF B -0.01%
PPL C -0.01%
PM C -0.01%
PG F -0.01%
WBA D -0.01%
V A -0.01%
UPS C -0.01%
PRU B -0.01%
MA B -0.01%
ES D -0.01%
EMR A -0.01%
DTE D -0.01%
DD C -0.01%
CAT B -0.01%
JNJ D -0.01%
GOOGL B -0.01%
OKE A -0.01%
NKE F -0.01%
MET B -0.01%
LMT D -0.01%
UNP D -0.01%
SRE A -0.01%
VTRS B -0.01%
DIS C -0.01%
DE B -0.01%
CSX C -0.01%
GM A -0.01%
PAA C -0.01%
MO B -0.01%
LLY F -0.01%
AZN F -0.01%
COF B -0.01%
ET B -0.01%
NTRS B -0.01%
NEE D -0.01%
USB B -0.01%
EPD A -0.01%
AMT F -0.01%
TGT F -0.01%
VLO D -0.01%
CMCSA B -0.01%
WMB A -0.01%
C B -0.01%
GIS F -0.01%
AMZN A -0.01%
MSFT C -0.01%
AEP D -0.01%
IBM D -0.01%
PFE F -0.01%
ORCL A -0.01%
DUK D -0.01%
VZ D -0.01%
AAPL B -0.01%
SO D -0.01%
JPM B -0.01%
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