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Net Asset Value(s)

19th May 2025 07:00

RNS Number : 1194J
JPMorgan ETFs (Ireland) ICAV
19 May 2025
 

Fund:

JPM US REI EQUITY ESG ETF

Date:

16/5/2025

Curr:

NAV:

59.251

Tckr:

JREU

Fund:

JPM EUROPE REI EQUITY ESG ETF

Date:

16/5/2025

Curr:

NAV:

46.152

Tckr:

JREE

Fund:

JPM EUROPE REI EQUITY ESG ETF

Date:

16/5/2025

Curr:

NAV:

43.338

Tckr:

JRED

Fund:

JPM EM MARKETS REI EQ ESG ETF

Date:

16/5/2025

Curr:

NAV:

33.673

Tckr:

JREM

Fund:

JPM EM MARKETS REI EQ ESG ETF

Date:

16/5/2025

Curr:

NAV:

31.030

Tckr:

JRMD

Fund:

JPM GLOBAL REI EQUITY ESG ETF

Date:

16/5/2025

Curr:

NAV:

52.556

Tckr:

JREG

Fund:

JPM GLOBAL REI EQUITY ESG ETF

Date:

16/5/2025

Curr:

NAV:

38.911

Tckr:

JGEP

Fund:

JPM GLOBAL REI EQUITY ESG ETF

Date:

16/5/2025

Curr:

NAV:

50.074

Tckr:

JRGD

Fund:

JPM USD ULTRA SHORT INCOME ETF

Date:

16/5/2025

Curr:

NAV:

101.269

Tckr:

JPST

Fund:

JPM USD ULTRA SHORT INCOME ETF

Date:

16/5/2025

Curr:

NAV:

119.512

Tckr:

JPSA

Fund:

JPM USD EM SOVEREIGN BOND ETF

Date:

16/5/2025

Curr:

NAV:

79.808

Tckr:

JPMB

Fund:

JPM USD EM SOVEREIGN BOND ETF

Date:

16/5/2025

Curr:

NAV:

105.964

Tckr:

JMBA

Fund:

JPM USD EM SOVEREIGN BOND ETF

Date:

16/5/2025

Curr:

NAV:

59.970

Tckr:

JMBP

Fund:

JPM JAPAN REI EQ ESG UCIT ETF

Date:

16/5/2025

Curr:

NAV:

30.736

Tckr:

JREJ

Fund:

JPM JAPAN REI EQ ESG UCIT ETF

Date:

16/5/2025

Curr:

NAV:

28.809

Tckr:

JREI

Fund:

JPM AC ASIA PAC EX JPN REI EQ

Date:

16/5/2025

Curr:

NAV:

25.509

Tckr:

JREA

Fund:

JPM AC ASIA PAC EX JPN REI EQ

Date:

16/5/2025

Curr:

NAV:

23.225

Tckr:

JREX

Fund:

JPM GBP ULTRA SHORT INCOME ETF

Date:

16/5/2025

Curr:

NAV:

101.009

Tckr:

JGST

Fund:

JPM GBP ULTRA SHORT INCOME ETF

Date:

16/5/2025

Curr:

NAV:

115.189

Tckr:

JGSA

Fund:

JPM BETABUILDERS UK GILT 1 5YR

Date:

16/5/2025

Curr:

NAV:

94.336

Tckr:

JG15

Fund:

JPM BETABUILDERS US TRSY 1 3YR

Date:

16/5/2025

Curr:

NAV:

113.320

Tckr:

JU13

Fund:

JPM EUR CORP BD 1 5 YR REI ETF

Date:

16/5/2025

Curr:

NAV:

106.775

Tckr:

JR15

Fund:

JPM EUR CORPORATE BD REI ETF

Date:

16/5/2025

Curr:

NAV:

93.293

Tckr:

JEBP

Fund:

JPM USD CORPORATE BD REI ETF

Date:

16/5/2025

Curr:

NAV:

81.610

Tckr:

JRUP

Fund:

JPM USD CORPORATE BD REI ETF

Date:

16/5/2025

Curr:

NAV:

118.044

Tckr:

JRUB

Fund:

JPM CHINA A REI EQ ESG UCITS

Date:

16/5/2025

Curr:

NAV:

19.550

Tckr:

JREC

Fund:

JPM CHINA A REI EQ ESG UCITS

Date:

16/5/2025

Curr:

NAV:

18.444

Tckr:

JRDC

Fund:

JPM BETABUILDERS US EQUITY ETF

Date:

16/5/2025

Curr:

NAV:

56.222

Tckr:

BBUS

Fund:

JPM BETABUILDERS US EQUITY ETF

Date:

16/5/2025

Curr:

NAV:

51.894

Tckr:

BBUD

Fund:

JPM BETABUILDERS US TR BD ETF

Date:

16/5/2025

Curr:

NAV:

102.832

Tckr:

BBTR

Fund:

JPM BETABUILDERS US TR BD ETF

Date:

16/5/2025

Curr:

NAV:

76.601

Tckr:

BBTP

Fund:

JPM GLOBAL EQ MULTI FACTOR ETF

Date:

16/5/2025

Curr:

NAV:

41.603

Tckr:

JPGL

Fund:

JPM BETABUILDERS US TRS 0 1 YR

Date:

16/5/2025

Curr:

NAV:

115.174

Tckr:

BBIL

Fund:

JPM BETABUILDERS US TRS 0 1 YR

Date:

16/5/2025

Curr:

NAV:

12,176.335

Tckr:

MBIL

Fund:

JPM GLOBAL HIGH YIELD CORP BD

Date:

16/5/2025

Curr:

NAV:

117.616

Tckr:

JGHY

Fund:

JPM GLOBAL HIGH YIELD CORP BD

Date:

16/5/2025

Curr:

NAV:

4.890

Tckr:

JHYP

Fund:

JPM GLOBAL HIGH YIELD CORP BD

Date:

16/5/2025

Curr:

NAV:

119.282

Tckr:

JHYU

Fund:

JPM CARBON TRANSITION GLOBAL EQ (CTB) ETF

Date:

16/5/2025

Curr:

NAV:

43.375

Tckr:

JPCT

Fund:

JPM BETABUILDERS US T 0 3M

Date:

16/5/2025

Curr:

NAV:

113.531

Tckr:

BB3M

Fund:

JPM BETABUILD CHINA AGG BD ETF

Date:

16/5/2025

Curr:

NAV:

101.662

Tckr:

JCHA

Fund:

JPM BETABUILD CHINA AGG BD ETF

Date:

16/5/2025

Curr:

NAV:

94.309

Tckr:

JCAG

Fund:

JPM BETABUILD CHINA AGG BD ETF

Date:

16/5/2025

Curr:

NAV:

114.588

Tckr:

JCAU

Fund:

JPM BETABUILD CHINA AGG BD ETF

Date:

16/5/2025

Curr:

NAV:

89.618

Tckr:

JCHP

Fund:

JPM JAP EUR RE EQ ESG UCIT ETF

Date:

16/5/2025

Curr:

NAV:

37.120

Tckr:

JREZ

Fund:

JPM JAP EUR RE EQ ESG UCIT ETF

Date:

16/5/2025

Curr:

NAV:

34.015

Tckr:

JRZD

Fund:

JPM CL CHANGE SOL UCITS ETF

Date:

16/5/2025

Curr:

NAV:

34.688

Tckr:

T3MP

Fund:

JPM UK EQUITY CORE UCITS ETF

Date:

16/5/2025

Curr:

NAV:

33.352

Tckr:

JUKC

Fund:

JPM UK EQUITY CORE UCITS ETF

Date:

16/5/2025

Curr:

NAV:

30.455

Tckr:

JUKE

Fund:

JPM BETAB USS CAP EQ UCITS ETF

Date:

16/5/2025

Curr:

NAV:

30.553

Tckr:

BBSC

Fund:

JPM BETAB USS CAP EQ UCITS ETF

Date:

16/5/2025

Curr:

NAV:

29.662

Tckr:

BBSD

Fund:

JPM ETF CHINA CTB EQUITY ETF

Date:

16/5/2025

Curr:

NAV:

30.361

Tckr:

JCCT

Fund:

GREEN SOCIAL SUST BO UCITS ETF

Date:

16/5/2025

Curr:

NAV:

113.056

Tckr:

JGRN

Fund:

JPM US REI EQ SRI PRALGD UC ET

Date:

16/5/2025

Curr:

NAV:

33.661

Tckr:

JSEU

Fund:

JPM US REI EQ SRI PRALGD UC ET

Date:

16/5/2025

Curr:

NAV:

33.267

Tckr:

JSUD

Fund:

JPM GBL RE EQ SRI PR ALG UT ET

Date:

16/5/2025

Curr:

NAV:

32.601

Tckr:

JSEG

Fund:

JPM GBL RE EQ SRI PR ALG UT ET

Date:

16/5/2025

Curr:

NAV:

31.936

Tckr:

JSGD

Fund:

JPM ETF GLOBAL AGG ACTIVE BOND

Date:

16/5/2025

Curr:

NAV:

9.133

Tckr:

JAGP

Fund:

JPM ETF GLOBAL AGG ACTIVE BOND

Date:

16/5/2025

Curr:

NAV:

11.155

Tckr:

JAGA

Fund:

JPM ETF GLOBAL AGG ACTIVE BOND

Date:

16/5/2025

Curr:

NAV:

10.747

Tckr:

JAGG

Fund:

JPM GL EQ PR INC ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

29.700

Tckr:

JEGA

Fund:

JPM GL EQ PR INC ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

26.983

Tckr:

JEPG

Fund:

JPM US GROWTH EQ ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

32.449

Tckr:

JGRO

Fund:

JPM US GROWTH EQ ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

32.434

Tckr:

JGUD

Fund:

JPM US VALUE EQ ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

29.632

Tckr:

JAVA

Fund:

JPM US VALUE EQ ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

29.285

Tckr:

JAVD

Fund:

JPM US EQUITY ACTIVE UCITS ETF

Date:

16/5/2025

Curr:

NAV:

30.832

Tckr:

JUSE

Fund:

JPM US EQUITY ACTIVE UCITS ETF

Date:

16/5/2025

Curr:

NAV:

30.643

Tckr:

JUSD

Fund:

JPM US EQ PRE INC AC UCITS ETF

Date:

16/5/2025

Curr:

NAV:

24.834

Tckr:

JEIA

Fund:

JPM US EQ PRE INC AC UCITS ETF

Date:

16/5/2025

Curr:

NAV:

24.126

Tckr:

JEPI

Fund:

JPM NAS EQ PR INC AC UCITS ETF

Date:

16/5/2025

Curr:

NAV:

24.990

Tckr:

JEQA

Fund:

JPM NAS EQ PR INC AC UCITS ETF

Date:

16/5/2025

Curr:

NAV:

23.725

Tckr:

JEPQ

Fund:

JPM USD H YLD B ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

9.608

Tckr:

JPEY

Fund:

JPM USD H YLD B ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

8.134

Tckr:

JPYG

Fund:

JPM USD H YLD B ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

10.220

Tckr:

JPHY

Fund:

JPM USD H YLD B ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

10.155

Tckr:

JPYU

Fund:

JPM EUR R EQ SRI PAR ALG UC ET

Date:

16/5/2025

Curr:

NAV:

26.696

Tckr:

JSEE

Fund:

JPM EUR R EQ SRI PAR ALG UC ET

Date:

16/5/2025

Curr:

NAV:

26.549

Tckr:

JSED

Fund:

JPM ETF ALL COUNTRY REI AC ETF

Date:

16/5/2025

Curr:

NAV:

25.293

Tckr:

JRAW

Fund:

JPM ETF ALL COUNTRY REI AC ETF

Date:

16/5/2025

Curr:

NAV:

25.226

Tckr:

JRWU

Fund:

JPM ETF EUR HG YD BD UCITS ETF

Date:

16/5/2025

Curr:

NAV:

10.118

Tckr:

JEHY

Fund:

JPM ETF EUR HG YD BD UCITS ETF

Date:

16/5/2025

Curr:

NAV:

10.096

Tckr:

JEYE

Fund:

JPM ETF EUR HG YD BD UCITS ETF

Date:

16/5/2025

Curr:

NAV:

8.411

Tckr:

JEYG

Fund:

JPM EUR AGG BOND ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

10.026

Tckr:

JEAA

Fund:

JPM EUR AGG BOND ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

10.026

Tckr:

JEGG

Fund:

JPM EUR GOV BOND ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

10.104

Tckr:

JEUG

Fund:

JPM EUR GOV BOND ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

10.104

Tckr:

JEEG

Fund:

JPM GM REI EQ SR PRS AL ACT ET

Date:

16/5/2025

Curr:

NAV:

26.632

Tckr:

JSEM

Fund:

JPM GM REI EQ SR PRS AL ACT ET

Date:

16/5/2025

Curr:

NAV:

26.632

Tckr:

JSMD

Fund:

JPM EM LCY BOND ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

10.350

Tckr:

JLOC

Fund:

JPM EM LCY BOND ACT UCITS ETF

Date:

16/5/2025

Curr:

NAV:

10.350

Tckr:

JLOD

 

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END
 
 
NAVGPUUAAUPAGRR

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Value8,811.04
Change9.75