JMRE.L
JPMorgan ETFs (Ireland) ICAV - Global Emerging Markets Research Enhanced Index Equity Active UCITS ETFJ.P. Morgan$3306.00— (—)Close
AUM$1.60B
Expense Ratio0.30%
NAV$3298.23
Holdings341
InceptionDec 6, 2018
Price Chart
Key Statistics
Previous Close
—Day Range
N/A52-Week Range
N/AAvg Volume
23.8KDividend Yield
—Expense Ratio
0.30%AUM
$1.60BShares Outstanding
—Sector Breakdown
| Sector | Weight % |
|---|---|
| Technology | 30.56% |
| Financial Services | 22.43% |
| Consumer Cyclical | 12.25% |
| Communication Services | 9.22% |
| Basic Materials | 7.05% |
| Industrials | 6.83% |
| Energy | 4.27% |
| Healthcare | 2.69% |
| Consumer Defensive | 2.44% |
| Utilities | 1.43% |
| Real Estate | 0.84% |
Country Allocation
| Country | Weight % |
|---|---|
| China | 24.07% |
| Taiwan | 22.24% |
| South Korea | 17.41% |
| India | 13.07% |
| Brazil | 4.64% |
| South Africa | 3.56% |
| Saudi Arabia | 2.11% |
| Mexico | 1.92% |
| Thailand | 1.12% |
| United Arab Emirates | 1.11% |
| Greece | 0.95% |
| Indonesia | 0.82% |
| Hong Kong | 0.77% |
| Other | 0.70% |
| Malaysia | 0.67% |
| Hungary | 0.59% |
| Ireland | 0.56% |
| Peru | 0.48% |
| Qatar | 0.45% |
| Poland | 0.41% |
| Cayman Islands | 0.40% |
| United Kingdom | 0.31% |
| Singapore | 0.29% |
| Colombia | 0.20% |
| Kuwait | 0.19% |
| Chile | 0.15% |
| Turkey | 0.13% |
| Luxembourg | 0.13% |
| United States | 0.12% |
| Philippines | 0.10% |
| Bermuda | 0.09% |
| Panama | 0.09% |
| Uruguay | 0.08% |
| Kazakhstan | 0.05% |
Fund Information
- Issuer
- J.P. Morgan
- Category
- Technology
- Inception Date
- Dec 6, 2018
- Description
- The Sub-Fund aims to achieve a long-term return in excess of MSCI Emerging Market Index (Total Return Net) (the "Benchmark") by actively investing primarily in a portfolio of emerging market companies.
Similar ETFs
The JPMorgan ETFs (Ireland) ICAV - Global Emerging Markets Research Enhanced Index Equity Active UCITS ETF (JMRE.L) is an exchange-traded fund issued by J.P. Morgan that launched on Dec 6, 2018. It currently manages $1.60B in assets under management. The fund charges an expense ratio of 0.30%. The fund holds 341 securities in its portfolio. It falls under the Technology category.
Top 10 holdings represent 32.5% of the fund
| Rank | Symbol | Name | Weight % | Shares | Market Value |
|---|---|---|---|---|---|
| 1 | 2330.TW | TAIWAN SEMICONDUCTOR MAN /TWD/ | 9.90% | 112,232 | $15.85B |
| 2 | 005930.KS | SAMSUNG ELECTRONICS CO L /KRW/ | 6.45% | 732 | $10.32B |
| 3 | 0700.HK | TENCENT HOLDINGS LTD /HKD/ | 4.36% | 170,368 | $6.98B |
| 4 | 000660.KS | SK HYNIX INC /KRW/ | 3.44% | 78 | $5.50B |
| 5 | 9988.HK | ALIBABA GROUP HOLDING LT /HKD/ | 2.71% | 439,045 | $4.33B |
| 6 | — | Cash and Cash Equivalent | 1.28% | 27,282,443 | $2.04B |
| 7 | 2308.TW | DELTA ELECTRONICS INC /TWD/ | 1.14% | 17,826 | $1.83B |
| 8 | HDFCBANK.NS | HDFC BANK LIMITED /INR/ | 1.12% | 28,803 | $1.80B |
| 9 | 0939.HK | CHINA CONSTRUCTION BANK- /HKD/ | 1.06% | 2,852,379 | $1.69B |
| 10 | RELIANCE.BO | RELIANCE INDUSTRIES LIMI /INR/ | 1.04% | 15,995 | $1.67B |
| 11 | 2317.TW | HON HAI PRECISION INDUST /TWD/ | 1.04% | 103,432 | $1.66B |
| 12 | PETR4.SA | PETROBRAS - PETROLEO BRA /BRL/ | 1.02% | 486,679 | $1.64B |
| 13 | 2454.TW | MEDIATEK INC /TWD/ | 0.90% | 10,750 | $1.44B |
| 14 | ICICIBANK.NS | ICICI BANK LTD /INR/ | 0.88% | 14,899 | $1.41B |
| 15 | 1120.SR | AL RAJHI BANK /SAR/ | 0.74% | 156,161 | $1.18B |
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Detailed Returns
| Period | Return | ETF | Cat. Avg | vs Avg |
|---|---|---|---|---|
| 1D | — | — |
Moving Averages
20-Day MA
—
50-Day MA
—
200-Day MA
—
Price with Moving Averages
Support & Resistance
52-Week High
—
Current Price
$3306.00
52-Week Low
—
Current Yield
—
Annual Dividend
—
Frequency
—
Last Ex-Date
—
Dividends
No dividend data available for this ETF.
Category Comparison
| Metric | JMRE.L | Technology(1406 ETFs) |
|---|---|---|
| Fund Info | ||
| Expense Ratio | 0.30% | 0.67% |
| AUM | $1.60B | $6.77B |
| Dividend Yield | — | 2.82% |
| Avg Volume | 23.8K | 1.1M |
| Holdings | 341 | 196 |
| Performance | ||
| 1-Month Return | — | -3.55% |
| 6-Month Return | — | +1.82% |
| YTD Return | — | -1.18% |
| 1-Year Return | — | +18.49% |
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