3rd Nov 2025 07:00
Fund: | JPM US REI EQUITY ESG ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 67.791 |
Tckr: | JREU |
Fund: | JPM EUROPE REI EQUITY ESG ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 48.206 |
Tckr: | JREE |
Fund: | JPM EUROPE REI EQUITY ESG ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 44.578 |
Tckr: | JRED |
Fund: | JPM EM MARKETS REI EQ ESG ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 40.723 |
Tckr: | JREM |
Fund: | JPM EM MARKETS REI EQ ESG ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 36.978 |
Tckr: | JRMD |
Fund: | JPM GLOBAL REI EQUITY ESG ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 59.504 |
Tckr: | JREG |
Fund: | JPM GLOBAL REI EQUITY ESG ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 44.045 |
Tckr: | JGEP |
Fund: | JPM GLOBAL REI EQUITY ESG ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 56.334 |
Tckr: | JRGD |
Fund: | JPM USD ULTRA SHORT INCOME ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 101.686 |
Tckr: | JPST |
Fund: | JPM USD ULTRA SHORT INCOME ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 122.349 |
Tckr: | JPSA |
Fund: | JPM USD EM SOVEREIGN BOND ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 85.287 |
Tckr: | JPMB |
Fund: | JPM USD EM SOVEREIGN BOND ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 116.119 |
Tckr: | JMBA |
Fund: | JPM USD EM SOVEREIGN BOND ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 64.015 |
Tckr: | JMBP |
Fund: | JPM JAPAN REI EQ ESG UCIT ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 35.867 |
Tckr: | JREJ |
Fund: | JPM JAPAN REI EQ ESG UCIT ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 33.278 |
Tckr: | JREI |
Fund: | JPM AC ASIA PAC EX JPN REI EQ |
Date: | 31/10/2025 |
Curr: | |
NAV: | 30.482 |
Tckr: | JREA |
Fund: | JPM AC ASIA PAC EX JPN REI EQ |
Date: | 31/10/2025 |
Curr: | |
NAV: | 27.684 |
Tckr: | JREX |
Fund: | JPM GBP ULTRA SHORT INCOME ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 101.424 |
Tckr: | JGST |
Fund: | JPM GBP ULTRA SHORT INCOME ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 117.846 |
Tckr: | JGSA |
Fund: | JPM BETABUILDERS UK GILT 1 5YR |
Date: | 31/10/2025 |
Curr: | |
NAV: | 94.962 |
Tckr: | JG15 |
Fund: | JPM BETABUILDERS US TRSY 1 3YR |
Date: | 31/10/2025 |
Curr: | |
NAV: | 116.029 |
Tckr: | JU13 |
Fund: | JPM EUR CORP BD 1 5 YR REI ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 108.889 |
Tckr: | JR15 |
Fund: | JPM EUR CORPORATE BD REI ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 96.599 |
Tckr: | JEBP |
Fund: | JPM USD CORPORATE BD REI ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 86.072 |
Tckr: | JRUP |
Fund: | JPM USD CORPORATE BD REI ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 124.719 |
Tckr: | JRUB |
Fund: | JPM CHINA A REI EQ ESG UCITS |
Date: | 31/10/2025 |
Curr: | |
NAV: | 24.171 |
Tckr: | JREC |
Fund: | JPM CHINA A REI EQ ESG UCITS |
Date: | 31/10/2025 |
Curr: | |
NAV: | 22.387 |
Tckr: | JRDC |
Fund: | JPM BETABUILDERS US EQUITY ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 64.870 |
Tckr: | BBUS |
Fund: | JPM BETABUILDERS US EQUITY ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 59.434 |
Tckr: | BBUD |
Fund: | JPM BETABUILDERS US TR BD ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 106.911 |
Tckr: | BBTR |
Fund: | JPM BETABUILDERS US TR BD ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 79.521 |
Tckr: | BBTP |
Fund: | JPM GLOBAL EQ MULTI FACTOR ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 44.342 |
Tckr: | JPGL |
Fund: | JPM BETABUILDERS US TRS 0 1 YR |
Date: | 31/10/2025 |
Curr: | |
NAV: | 117.424 |
Tckr: | BBIL |
Fund: | JPM BETABUILDERS US TRS 0 1 YR |
Date: | 31/10/2025 |
Curr: | |
NAV: | 12,649.467 |
Tckr: | MBIL |
Fund: | JPM GLOBAL HIGH YIELD CORP BD |
Date: | 31/10/2025 |
Curr: | |
NAV: | 124.668 |
Tckr: | JGHY |
Fund: | JPM GLOBAL HIGH YIELD CORP BD |
Date: | 31/10/2025 |
Curr: | |
NAV: | 4.981 |
Tckr: | JHYP |
Fund: | JPM GLOBAL HIGH YIELD CORP BD |
Date: | 31/10/2025 |
Curr: | |
NAV: | 125.935 |
Tckr: | JHYU |
Fund: | JPM CARBON TRANSITION GLOBAL EQ (CTB) ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 49.000 |
Tckr: | JPCT |
Fund: | JPM BETABUILDERS US T 0 3M |
Date: | 31/10/2025 |
Curr: | |
NAV: | 115.705 |
Tckr: | BB3M |
Fund: | JPM BETABUILD CHINA AGG BD ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 103.438 |
Tckr: | JCHA |
Fund: | JPM BETABUILD CHINA AGG BD ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 95.077 |
Tckr: | JCAG |
Fund: | JPM BETABUILD CHINA AGG BD ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 115.722 |
Tckr: | JCAU |
Fund: | JPM BETABUILD CHINA AGG BD ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 91.135 |
Tckr: | JCHP |
Fund: | JPM JAP EUR RE EQ ESG UCIT ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 39.082 |
Tckr: | JREZ |
Fund: | JPM JAP EUR RE EQ ESG UCIT ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 35.067 |
Tckr: | JRZD |
Fund: | JPM CL CHANGE SOL UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 38.656 |
Tckr: | T3MP |
Fund: | JPM UK EQUITY CORE UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 37.538 |
Tckr: | JUKC |
Fund: | JPM UK EQUITY CORE UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 33.694 |
Tckr: | JUKE |
Fund: | JPM BETAB USS CAP EQ UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 34.238 |
Tckr: | BBSC |
Fund: | JPM BETAB USS CAP EQ UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 33.073 |
Tckr: | BBSD |
Fund: | GREEN SOCIAL SUST BO UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 118.935 |
Tckr: | JGRN |
Fund: | JPM US REI EQ SRI PRALGD UC ET |
Date: | 31/10/2025 |
Curr: | |
NAV: | 38.443 |
Tckr: | JSEU |
Fund: | JPM US REI EQ SRI PRALGD UC ET |
Date: | 31/10/2025 |
Curr: | |
NAV: | 37.992 |
Tckr: | JSUD |
Fund: | JPM GBL RE EQ SRI PR ALG UT ET |
Date: | 31/10/2025 |
Curr: | |
NAV: | 36.958 |
Tckr: | JSEG |
Fund: | JPM GBL RE EQ SRI PR ALG UT ET |
Date: | 31/10/2025 |
Curr: | |
NAV: | 35.951 |
Tckr: | JSGD |
Fund: | JPM ETF GLOBAL AGG ACTIVE BOND |
Date: | 31/10/2025 |
Curr: | |
NAV: | 9.496 |
Tckr: | JAGP |
Fund: | JPM ETF GLOBAL AGG ACTIVE BOND |
Date: | 31/10/2025 |
Curr: | |
NAV: | 11.596 |
Tckr: | JAGA |
Fund: | JPM ETF GLOBAL AGG ACTIVE BOND |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.360 |
Tckr: | JAGG |
Fund: | JPM GL EQ PR INC ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 29.939 |
Tckr: | JEGA |
Fund: | JPM GL EQ PR INC ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 26.245 |
Tckr: | JEPG |
Fund: | JPM US GROWTH EQ ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 38.667 |
Tckr: | JGRO |
Fund: | JPM US GROWTH EQ ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 38.650 |
Tckr: | JGUD |
Fund: | JPM US VALUE EQ ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 32.204 |
Tckr: | JAVA |
Fund: | JPM US VALUE EQ ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 31.826 |
Tckr: | JAVD |
Fund: | JPM US EQUITY ACTIVE UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 35.159 |
Tckr: | JUSE |
Fund: | JPM US EQUITY ACTIVE UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 34.943 |
Tckr: | JUSD |
Fund: | JPM US EQ PRE INC AC UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 26.066 |
Tckr: | JEIA |
Fund: | JPM US EQ PRE INC AC UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 24.378 |
Tckr: | JEPI |
Fund: | JPM NAS EQ PR INC AC UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 29.360 |
Tckr: | JEQA |
Fund: | JPM NAS EQ PR INC AC UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 26.585 |
Tckr: | JEPQ |
Fund: | JPM USD H YLD B ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 9.638 |
Tckr: | JPEY |
Fund: | JPM USD H YLD B ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 8.512 |
Tckr: | JPYG |
Fund: | JPM USD H YLD B ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.707 |
Tckr: | JPHY |
Fund: | JPM USD H YLD B ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.323 |
Tckr: | JPYU |
Fund: | JPM EUR R EQ SRI PAR ALG UC ET |
Date: | 31/10/2025 |
Curr: | |
NAV: | 27.871 |
Tckr: | JSEE |
Fund: | JPM EUR R EQ SRI PAR ALG UC ET |
Date: | 31/10/2025 |
Curr: | |
NAV: | 27.323 |
Tckr: | JSED |
Fund: | JPM ETF ALL COUNTRY REI AC ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 28.791 |
Tckr: | JRAW |
Fund: | JPM ETF ALL COUNTRY REI AC ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 28.603 |
Tckr: | JRWU |
Fund: | JPM ETF EUR HG YD BD UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.451 |
Tckr: | JEHY |
Fund: | JPM ETF EUR HG YD BD UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.209 |
Tckr: | JEYE |
Fund: | JPM ETF EUR HG YD BD UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 8.776 |
Tckr: | JEYG |
Fund: | JPM EUR AGG BOND ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.251 |
Tckr: | JEAA |
Fund: | JPM EUR AGG BOND ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.136 |
Tckr: | JEGG |
Fund: | JPM EUR GOV BOND ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.250 |
Tckr: | JEUG |
Fund: | JPM EUR GOV BOND ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.129 |
Tckr: | JEEG |
Fund: | JPM GM REI EQ SR PRS AL ACT ET |
Date: | 31/10/2025 |
Curr: | |
NAV: | 32.171 |
Tckr: | JSEM |
Fund: | JPM GM REI EQ SR PRS AL ACT ET |
Date: | 31/10/2025 |
Curr: | |
NAV: | 31.711 |
Tckr: | JSMD |
Fund: | JPM EM LCY BOND ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 11.152 |
Tckr: | JLOC |
Fund: | JPM EM LCY BOND ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.963 |
Tckr: | JLOD |
Fund: | JPM GLB IG CORP BD ACT UCI ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.522 |
Tckr: | JIGG |
Fund: | JPM GLB IG CORP BD ACT UCI ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.470 |
Tckr: | JIGD |
Fund: | JPM GLB IG CORP BD ACT UCI ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 7.847 |
Tckr: | JGIG |
Fund: | JPM GLB IG CORP BD ACT UCI ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.503 |
Tckr: | JUIG |
Fund: | JPM GLB GV CRP BD ACT UCTS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.127 |
Tckr: | JGOV |
Fund: | JPM GLB GV CRP BD ACT UCTS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.127 |
Tckr: | JGUV |
Fund: | JPM GLB GV CRP BD ACT UCTS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 7.584 |
Tckr: | JGGV |
Fund: | JPM GLB GV CRP BD ACT UCTS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 7.585 |
Tckr: | JGVG |
Fund: | JPM GLB GV CRP BD ACT UCTS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 10.308 |
Tckr: | JGAV |
Fund: | JPM INDIA REI EQ ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 24.906 |
Tckr: | JRIN |
Fund: | JPM INDIA REI EQ ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 24.876 |
Tckr: | JRID |
Fund: | JPM GLB IG CORP BD ACT UCI ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 7.564 |
Tckr: | JGGG |
Fund: | JPM CARBON TRANSITION GLOBAL EQ (CTB) ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 25.921 |
Tckr: | JPCD |
Fund: | JPM CL CHANGE SOL UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 26.111 |
Tckr: | T3MD |
Fund: | JPM EUR CORP BD 1 5 YR REI ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 100.620 |
Tckr: | JD15 |
Fund: | JPM EUR USH INC ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 100.301 |
Tckr: | JESD |
Fund: | JPM GLOBAL EQ MULTI FACTOR ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 25.042 |
Tckr: | JGLP |
Fund: | GREEN SOCIAL SUST BO UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 99.198 |
Tckr: | JUGN |
Fund: | JPM NASDAQ HELO ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 24.728 |
Tckr: | HEQQ |
Fund: | JPM NASDAQ HELO ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 24.728 |
Tckr: | HEQD |
Fund: | JPM US HELO ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 24.737 |
Tckr: | HELO |
Fund: | JPM US HELO ACT UCITS ETF |
Date: | 31/10/2025 |
Curr: | |
NAV: | 24.737 |
Tckr: | HEDL |
Related Shares:
Jpm Ust 0-1 Etf