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J.P. Morgan Exchange-Traded Fun

JBND

The fund seeks to outperform (based on the fund’s total return, gross of fees) the Bloomberg U.S. Aggregate Bond Index (the benchmark) over a market cycle, typically a 3-5 year time horizon. As a matter of non-fundamental policy, under normal circumstances, the fund will invest at least 80% of its assets in bonds.‏‏‎ ‎

J.P. Morgan

ETF

Equity

- years

714 holdings

Price

per share adjusted in USD

$54.33

Price

+0.24%

$0.13

Market Cap

$2.520b

Mid

$79.564k

Avg Volume
Assets Under Management

$390.930m

$53.41

NAV

0.25%

Expense Ratio

Dividends

Ex-Dividend: September 02, 25

4.38%

Yield

$2.38

Dividend

Dividends

Dividend history
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