QTR vs. JPST ETF Comparison

Comparison of Global X NASDAQ 100 Tail Risk ETF (QTR) to JPMorgan Ultra-Short Income ETF (JPST)
QTR

Global X NASDAQ 100 Tail Risk ETF

QTR Description

Global X Funds - Global X NASDAQ 100 Tail Risk ETF is an exchange traded fund launched and managed by Global X Management Company LLC. The fund invests in the public equity markets of the United States. It invests directly and through derivatives such as options in stocks of companies operating across non-financial companies sectors. The fund invests in growth and value stocks of large-cap companies. It seeks to track the performance of the Nasdaq-100 Quarterly Protective Put 90 Index, by using full replication technique. Global X Funds - Global X NASDAQ 100 Tail Risk ETF was formed on August 25, 2021 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$31.79

Average Daily Volume

221

Number of Holdings *

101

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

JPMorgan Ultra-Short Income ETF

JPST Description The investment seeks to provide total return. Under normal circumstances, the fund will invest at least 80% of its assets in bonds. It will invest at least 40% of its assets in countries other than the United States. The fund may invest in developed or emerging markets. It generally invests at least 25% of its assets in securities that, at the time of purchase are rated investment grade or the unrated equivalent. "Assets" means net assets plus the amount of borrowings for investment purposes. The fund may also use currency related transactions involving currency derivatives as part of its primary investment strategy.

Grade (RS Rating)

Last Trade

$50.45

Average Daily Volume

4,584,120

Number of Holdings *

111

* may have additional holdings in another (foreign) market
Performance
Period QTR JPST
30 Days 3.72% -0.10%
60 Days 12.05% 0.21%
90 Days 11.43% 0.83%
12 Months 35.13% 4.38%
10 Overlapping Holdings
Symbol Grade Weight in QTR Weight in JPST Overlap
AAPL B 8.37% 0.12% 0.12%
AEP D 0.32% 0.05% 0.05%
AZN F 0.24% 0.57% 0.24%
CCEP D 0.22% 0.3% 0.22%
GILD B 0.76% 0.13% 0.13%
HON B 0.88% 0.02% 0.02%
KDP F 0.28% 0.31% 0.28%
MDLZ F 0.55% 0.04% 0.04%
ROP B 0.38% 0.03% 0.03%
SBUX B 0.68% 0.06% 0.06%
QTR Overweight 91 Positions Relative to JPST
Symbol Grade Weight
NVDA B 8.84%
MSFT C 7.65%
AMZN B 5.34%
AVGO B 5.33%
META B 4.98%
TSLA B 3.47%
GOOGL B 2.56%
COST B 2.53%
GOOG B 2.46%
NFLX A 2.12%
TMUS A 1.69%
AMD F 1.51%
CSCO A 1.46%
PEP F 1.41%
LIN D 1.39%
ADBE F 1.39%
TXN A 1.24%
QCOM C 1.2%
INTU A 1.18%
ISRG A 1.16%
AMGN C 1.08%
CMCSA B 1.06%
BKNG B 1.03%
AMAT D 1.0%
VRTX A 0.81%
PANW A 0.79%
ADP A 0.78%
MU C 0.78%
ADI D 0.7%
INTC C 0.7%
LRCX D 0.64%
KLAC F 0.58%
MELI D 0.56%
REGN F 0.55%
CTAS A 0.55%
SNPS B 0.54%
PYPL A 0.52%
CDNS B 0.52%
PDD D 0.52%
MRVL B 0.51%
MAR A 0.49%
CRWD C 0.49%
CEG D 0.47%
ORLY B 0.43%
CSX B 0.43%
DASH A 0.41%
ADSK A 0.41%
ABNB D 0.41%
FTNT A 0.4%
ASML F 0.4%
NXPI D 0.38%
TTD B 0.37%
CHTR B 0.36%
PCAR B 0.36%
FANG D 0.34%
CPRT B 0.34%
WDAY C 0.34%
MNST B 0.33%
PAYX A 0.33%
ODFL B 0.3%
FAST B 0.3%
ROST D 0.29%
EA B 0.27%
BKR B 0.27%
VRSK A 0.25%
CTSH B 0.25%
DDOG C 0.25%
KHC F 0.25%
GEHC D 0.25%
EXC D 0.24%
MCHP F 0.24%
IDXX F 0.23%
TEAM B 0.23%
LULU D 0.23%
XEL B 0.23%
CSGP D 0.2%
ANSS B 0.2%
ZS C 0.19%
TTWO B 0.19%
ON D 0.19%
DXCM D 0.17%
CDW F 0.17%
BIIB F 0.16%
GFS C 0.16%
WBD C 0.15%
ILMN B 0.15%
MDB C 0.13%
MRNA F 0.12%
ARM C 0.11%
DLTR F 0.09%
SMCI F 0.09%
QTR Underweight 101 Positions Relative to JPST
Symbol Grade Weight
CASH B -2.2%
TMO F -0.74%
EQH B -0.35%
ATO A -0.3%
MCD D -0.29%
LDOS A -0.26%
BXMT B -0.25%
SNX B -0.23%
TDY A -0.22%
HART D -0.19%
BA F -0.18%
D C -0.17%
OGS C -0.17%
VZ D -0.16%
ETR B -0.16%
T B -0.14%
CNP B -0.14%
DB C -0.13%
CAG F -0.13%
SO D -0.11%
WFC B -0.11%
VTRS B -0.1%
GM B -0.1%
FITB B -0.1%
HUM F -0.09%
WEC B -0.09%
MLM B -0.09%
JBHT B -0.09%
IFF F -0.08%
STT B -0.08%
DT C -0.08%
CI F -0.08%
NEM D -0.08%
DUK D -0.08%
KR A -0.07%
CFG B -0.07%
BX A -0.07%
HSBC C -0.07%
BG F -0.06%
ACR B -0.06%
SEB F -0.06%
XOM B -0.06%
MS B -0.05%
AL B -0.05%
BHF B -0.04%
ORCL A -0.04%
KKR B -0.04%
ABBV B -0.04%
COF B -0.04%
PL C -0.04%
ARES B -0.03%
CHD C -0.03%
R A -0.03%
NEE D -0.03%
BCC B -0.03%
BMO B -0.03%
WLK F -0.02%
MSC D -0.02%
ETN A -0.02%
AZO D -0.02%
GSK F -0.02%
DIS C -0.02%
AER B -0.02%
BNS A -0.02%
TFC B -0.01%
DE C -0.01%
KEY B -0.01%
MUFG B -0.01%
GS B -0.01%
NWG B -0.01%
TD D -0.01%
PFG C -0.01%
CM A -0.01%
USB B -0.01%
C B -0.01%
AIG C -0.01%
EPD A -0.01%
ABT B -0.01%
PFE F -0.01%
IBM D -0.01%
ICE D -0.01%
MCO C -0.01%
DHR F -0.01%
CSL C -0.01%
BMY C -0.01%
PSX F -0.01%
SCHW B -0.01%
PNC A -0.01%
BK B -0.01%
UNH B -0.01%
MMM C -0.01%
AXP B -0.01%
CAT B -0.01%
PM C -0.01%
HBAN B -0.01%
ES D -0.01%
JXN B -0.01%
MET C -0.01%
UBS B -0.01%
BAC B -0.01%
RY B -0.01%
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