JPIN

JPMorgan Diversified Return International Equity ETF

Down$54.14
$-0.10
(-0.18%)
As of 12:00:00 AM EDT | 7/19/19  |  Market Closed

JPIN Trading Data

Open

$54.27

Low Price

$54.14

High Price

$54.38

Previous Last Price

$54.24

Bid Size

$0 X 0

Ask Size

$0 X 0

JPIN Portfolio Data

AUM

$1,536,407,000

Shares

28,300

PE Ratio

13.33

Price / Book Ratio

1.37

Expense Ratio

0.38

Net Asset Value

$54.29

Volume

Volume

50,900

Avg. Volume (YDT)

231,475

Dollar Volume

$2,474,382

Weekly Avg. Volume

103,080

Monthly Avg. Volume

161,410

Quarterly Avg. Volume

196,586

JPIN Fund Description

The JPMorgan Diversified Return International Equity ETF seeks investment results that closely correspond to the performance of the FTSE Developed ex North America Diversified Factor Index.

JPIN Chart

JPIN Summary

Fund Family

JP Morgan Asset Management

Tracks This Index

JPMorgan Diversified Return International Equity ETF

Inception Date

2014-11-07

Asset Class

Portfolio-Multi Asset

Asset Class Size

International

JPIN Classification

Region (General)

Global

Region (Specific)

Sector

Equity Index

Leveraged Family

JPIN Holdings

Top 10 Holdings

IDEMITSU KOSAN CO LTD
0.53%
SONOVA HOLDING AG COMMON
0.5%
HALMA PLC COMMON STOCK
0.5%
EXPERIAN PLC COMMON
0.48%
ITOCHU TECHNO-SOLUTIONS
0.46%
SMITH & NEPHEW PLC
0.46%
JPMORGAN US VAR 12/49
0.46%
SAGE GROUP PLC/THE
0.46%
MTR CORP LTD COMMON
0.46%
HIKARI TSUSHIN INC
0.46%

Total JPIN Holdings

Total Holdings: 444

IDEMITSU KOSAN CO LTD
0.53%
SONOVA HOLDING AG COMMON
0.5%
HALMA PLC COMMON STOCK
0.5%
EXPERIAN PLC COMMON
0.48%
ITOCHU TECHNO-SOLUTIONS
0.46%
SMITH & NEPHEW PLC
0.46%
JPMORGAN US VAR 12/49
0.46%
SAGE GROUP PLC/THE
0.46%
MTR CORP LTD COMMON
0.46%
HIKARI TSUSHIN INC
0.46%
WOLTERS KLUWER NV COMMON
0.45%
CHR HANSEN HOLDING A/S
0.45%
DIAGEO PLC COMMON STOCK
0.45%
DEXUS REIT AUD 0
0.44%
LINK REIT HKD 0
0.44%
TELENOR ASA COMMON STOCK
0.44%
NISSHIN SEIFUN GROUP INC
0.44%
RELX PLC COMMON STOCK
0.43%
HONG KONG & CHINA GAS CO
0.43%
RENTOKIL INITIAL PLC
0.43%
HANNOVER RUECK SE COMMON
0.43%
DAVIDE CAMPARI-MILANO
0.43%
SEGRO PLC REIT GBP 10
0.43%
SONIC HEALTHCARE LTD
0.43%
ENDESA SA COMMON STOCK
0.43%
SAP SE COMMON STOCK EUR
0.43%
HEINEKEN HOLDING NV
0.42%
TECHTRONIC INDUSTRIES CO
0.42%
ROYAL DUTCH SHELL PLC
0.42%
JXTG HOLDINGS INC COMMON
0.42%
KDDI CORP COMMON STOCK
0.42%
DASSAULT SYSTEMES SE
0.42%
NATURGY ENERGY GROUP SA
0.42%
SWIRE PACIFIC LTD COMMON
0.42%
GPT GROUP/THE REIT AUD 0
0.42%
GLAXOSMITHKLINE PLC
0.41%
SUZUKEN CO LTD/AICHI
0.41%
INVESTOR AB COMMON STOCK
0.41%
ASTRAZENECA PLC COMMON
0.41%
CAPCOM CO LTD COMMON
0.4%
TERNA RETE ELETTRICA
0.4%
POWER ASSETS HOLDINGS
0.4%
SAMSUNG ELECTRONICS CO
0.4%
SEKISUI HOUSE LTD COMMON
0.39%
MOWI AS
0.39%
FUJIFILM HOLDINGS CORP
0.39%
MOCHIDA PHARMACEUTICAL
0.39%
COCHLEAR LTD COMMON
0.39%
RIO TINTO LTD COMMON
0.39%
CSL LTD COMMON STOCK AUD
0.39%
CLP HOLDINGS LTD COMMON
0.39%
PEUGEOT SA COMMON STOCK
0.39%
COMSYS HOLDINGS CORP
0.38%
NATIONAL GRID PLC COMMON
0.38%
HEXAGON AB COMMON STOCK
0.38%
SECURITAS AB COMMON
0.38%
CAPGEMINI SE COMMON
0.38%
WOODSIDE PETROLEUM LTD
0.38%
HIKMA PHARMACEUTICALS
0.38%
ELISA OYJ COMMON STOCK
0.38%
NTT DOCOMO INC COMMON
0.38%
CENTRAL JAPAN RAILWAY CO
0.38%
AGL ENERGY LTD COMMON
0.38%
MEGGITT PLC COMMON STOCK
0.38%
WILMAR INTERNATIONAL LTD
0.37%
TOYOTA INDUSTRIES CORP
0.37%
CHUBU ELECTRIC POWER CO
0.37%
NESTE OYJ COMMON STOCK
0.37%
PEARSON PLC COMMON STOCK
0.37%
ANGLO AMERICAN PLC (AAL.L)
0.37%
TATE & LYLE PLC COMMON
0.37%
CAPITALAND MALL TRUST (CMLT.SI)
0.37%
BOLIDEN AB COMMON STOCK
0.37%
NIPPON TELEGRAPH &
0.37%
KEPPEL CORP LTD COMMON
0.37%
RIO TINTO PLC COMMON
0.37%
SWISSCOM AG COMMON STOCK
0.37%
CK HUTCHISON HOLDINGS
0.37%
SANTOS LTD COMMON STOCK
0.36%
SPARK NEW ZEALAND LTD
0.36%
BARRATT DEVELOPMENTS PLC (BDEV.L)
0.36%
SOJITZ CORP COMMON STOCK
0.36%
JAPAN AIRLINES CO LTD
0.36%
HANKYU HANSHIN HOLDINGS
0.36%
TELE2 AB COMMON STOCK
0.36%
SMITHS GROUP PLC COMMON
0.36%
KAKAO CORP COMMON STOCK
0.36%
ANSELL LTD COMMON STOCK
0.36%
NCSOFT CORP COMMON STOCK
0.35%
PERNOD RICARD SA COMMON
0.35%
CK INFRASTRUCTURE
0.35%
MARUBENI CORP COMMON
0.35%
BHP GROUP PLC COMMON
0.35%
EIFFAGE SA COMMON STOCK
0.35%
ANTOFAGASTA PLC COMMON
0.35%
CRODA INTERNATIONAL PLC
0.35%
UPM-KYMMENE OYJ COMMON
0.35%
LG CORP COMMON STOCK KRW
0.35%
FRAPORT AG FRANKFURT
0.34%
OSAKA GAS CO LTD COMMON
0.34%
CHUGOKU ELECTRIC POWER
0.34%
BERKELEY GROUP HOLDINGS
0.34%
VIVENDI SA COMMON STOCK
0.34%
MONDI PLC COMMON STOCK
0.34%
PCCW LTD COMMON STOCK
0.34%
NN GROUP NV COMMON STOCK
0.34%
SK TELECOM CO LTD COMMON
0.34%
SK HYNIX INC COMMON
0.34%
TABCORP HOLDINGS LTD
0.34%
FRESENIUS MEDICAL CARE
0.33%
PENNON GROUP PLC COMMON
0.33%
CASH OR CASH COLLATERAL
0.33%
COLRUYT SA COMMON STOCK
0.33%
NOVARTIS AG COMMON STOCK
0.33%
EVRAZ PLC (EVRE.L)
0.33%
TOTAL SA COMMON STOCK
0.33%
ENAGAS SA COMMON STOCK
0.33%
YUHAN CORP COMMON STOCK
0.33%
EDP - ENERGIAS DE
0.33%
INTERCONTINENTAL HOTELS
0.33%
XINYI GLASS HOLDINGS LTD
0.33%
LEGAL & GENERAL GROUP
0.33%
TELIA CO AB COMMON STOCK
0.33%
SOFTBANK GROUP CORP
0.32%
ADMIRAL GROUP PLC COMMON
0.32%
SWEDISH MATCH AB COMMON
0.32%
WESFARMERS LTD COMMON
0.32%
KESKO OYJ COMMON STOCK
0.32%
BRITISH LAND CO PLC/THE
0.32%
BP PLC COMMON STOCK GBP
0.32%
FORTUM OYJ COMMON STOCK
0.32%
DEUTSCHE TELEKOM AG
0.32%
ALFRESA HOLDINGS CORP (2784.T)
0.32%
UNITED UTILITIES GROUP
0.32%
SK HOLDINGS CO LTD
0.32%
JAPAN POST HOLDINGS CO
0.32%
LONZA GROUP AG COMMON
0.32%
ALUMINA LTD COMMON STOCK
0.32%
MICRO FOCUS (MCRO.L)
0.32%
APA GROUP STAPLED
0.32%
KT&G CORP COMMON STOCK
0.32%
LG UPLUS CORP COMMON
0.31%
REPSOL SA COMMON STOCK
0.31%
SK INNOVATION CO LTD
0.31%
VINCI SA COMMON STOCK
0.31%
CARNIVAL PLC COMMON
0.31%
BALOISE HOLDING AG
0.31%
VICINITY CENTRES REIT
0.31%
SCOR SE COMMON STOCK EUR
0.31%
TELSTRA CORP LTD COMMON
0.3%
VENTURE CORP LTD COMMON
0.3%
ANA HOLDINGS INC COMMON
0.3%
ORANGE SA COMMON STOCK
0.3%
AKZO NOBEL NV COMMON
0.3%
CANON INC COMMON STOCK (7751.T)
0.3%
SAFRAN SA COMMON STOCK
0.3%
NISSIN FOODS HOLDINGS CO
0.3%
MEDIPAL HOLDINGS CORP
0.3%
PERSIMMON PLC COMMON
0.3%
COSMO ENERGY HOLDINGS CO
0.3%
TAISEI CORP COMMON STOCK
0.29%
XERO LTD COMMON STOCK
0.29%
POSCO COMMON STOCK KRW
0.29%
BURBERRY GROUP PLC
0.29%
TOYO SUISAN KAISHA LTD
0.29%
GALP ENERGIA SGPS SA
0.29%
SUMITOMO OSAKA CEMENT CO
0.28%
KONINKLIJKE PHILIPS NV
0.28%
WHITBREAD PLC COMMON
0.28%
VODAFONE GROUP PLC
0.28%
ICA GRUPPEN AB COMMON
0.28%
DIRECT LINE INSURANCE
0.28%
QANTAS AIRWAYS LTD
0.28%
KONINKLIJKE AHOLD
0.28%
LAGARDERE SCA COMMON
0.27%
WOORI FINANCIAL GROUP
0.27%
BT GROUP PLC COMMON
0.27%
ROCHE HOLDING AG COMMON
0.27%
INFINEON TECHNOLOGIES AG
0.27%
ELECTRIC POWER (9513.T)
0.27%
WM MORRISON SUPERMARKETS
0.26%
SAMSUNG SDS CO LTD
0.26%
GS HOLDINGS CORP COMMON
0.26%
ORIGIN ENERGY LTD COMMON
0.26%
ASHTEAD GROUP PLC COMMON
0.26%
BELLWAY PLC COMMON STOCK
0.26%
EVONIK INDUSTRIES AG
0.26%
SSE PLC COMMON STOCK GBP
0.26%
KANEKA CORP COMMON STOCK
0.26%
RESONA HOLDINGS INC
0.26%
COCA-COLA HBC AG COMMON
0.26%
NIPPO CORP COMMON STOCK
0.26%
ADVANTEST CORP COMMON
0.26%
AEGON NV COMMON STOCK
0.26%
YUE YUEN INDUSTRIAL
0.25%
YOKOHAMA RUBBER CO
0.25%
ASM PACIFIC TECHNOLOGY
0.25%
WHITEHAVEN COAL LTD
0.25%
EQUINOR ASA COMMON STOCK
0.25%
AIR LIQUIDE SA COMMON
0.25%
LG DISPLAY CO LTD COMMON
0.25%
TSUMURA & CO COMMON
0.25%
AXEL SPRINGER SE COMMON
0.25%
CENTRICA PLC COMMON
0.25%
DAELIM INDUSTRIAL CO LTD (000210.KS)
0.25%
NIPPON PAPER INDUSTRIES
0.25%
INDUSTRIAL BANK OF KOREA
0.24%
GS ENGINEERING &
0.24%
K'S HOLDINGS CORP COMMON
0.24%
KONINKLIJKE KPN NV
0.24%
INFORMA PLC COMMON STOCK
0.24%
SKANSKA AB COMMON STOCK
0.24%
THALES SA COMMON STOCK
0.24%
KOREA GAS CORP COMMON
0.23%
UBE INDUSTRIES LTD
0.23%
TOHOKU ELECTRIC POWER CO
0.23%
OIL SEARCH LTD COMMON
0.23%
HANWHA CHEMICAL CORP
0.23%
ENI SPA COMMON STOCK EUR
0.23%
XINYI SOLAR HOLDINGS LTD
0.23%
DERWENT LONDON PLC REIT
0.22%
DIC CORP COMMON STOCK
0.22%
NIPPON SHOKUBAI CO LTD
0.22%
DOWNER EDI LTD COMMON
0.22%
BABCOCK INTERNATIONAL
0.22%
DEMANT A/S COMMON STOCK
0.22%
ARKEMA SA COMMON STOCK
0.22%
SUMITOMO MITSUI
0.22%
SKYLARK HOLDINGS CO LTD
0.21%
WH GROUP LTD COMMON
0.21%
TELEFONICA DEUTSCHLAND
0.21%
SINGAPORE
0.21%
BUNZL PLC COMMON STOCK
0.21%
AMADEUS IT GROUP SA (AMA.MC)
0.21%
SBI HOLDINGS INC/JAPAN
0.21%
UNILEVER NV DUTCH CERT
0.21%
MITSUBISHI GAS CHEMICAL
0.2%
AOZORA BANK LTD COMMON
0.2%
CANON MARKETING JAPAN
0.2%
UNIPER SE COMMON STOCK
0.2%
SEKISUI CHEMICAL CO LTD
0.2%
SANDS CHINA LTD COMMON
0.2%
MACQUARIE GROUP LTD
0.2%
HITACHI (6501.T)
0.2%
MITSUI & CO LTD COMMON
0.2%
SHIMACHU CO LTD COMMON
0.19%
MIRVAC GROUP REIT AUD 0
0.19%
KANGWON LAND INC COMMON
0.19%
ORKLA ASA COMMON STOCK
0.19%
COCA-COLA AMATIL LTD
0.19%
JARDINE MATHESON
0.19%
AUTO TRADER GROUP PLC (AUTOA.L)
0.19%
SANKYO CO LTD COMMON
0.19%
SONY CORP COMMON STOCK
0.19%
NIKON CORP COMMON STOCK
0.19%
PROXIMUS SADP
0.19%
ELECTRICITE DE FRANCE SA
0.19%
JARDINE STRATEGIC
0.18%
COMPUTERSHARE LTD COMMON
0.18%
HAMMERSON PLC REIT GBP
0.18%
COMFORTDELGRO CORP LTD
0.18%
SKC CO LTD COMMON STOCK
0.18%
TAYLOR WIMPEY PLC COMMON
0.18%
BANDAI NAMCO HOLDINGS
0.18%
ROYAL MAIL PLC COMMON
0.18%
RAMSAY HEALTH CARE LTD
0.18%
SINGAPORE PRESS HOLDINGS
0.18%
LAND SECURITIES GROUP
0.17%
NOMURA RESEARCH
0.17%
MATSUI SECURITIES CO LTD
0.17%
ITALGAS SPA COMMON STOCK
0.17%
DAIWA SECURITIES GROUP
0.17%
TAISHO PHARMACEUTICAL
0.17%
HYUNDAI STEEL CO COMMON
0.17%
KANSAI ELECTRIC POWER CO
0.17%
OMV AG COMMON STOCK EUR
0.17%
INTERTEK GROUP PLC
0.16%
GECINA SA REIT EUR 7.5
0.16%
JAPAN PETROLEUM
0.16%
TEIJIN LTD COMMON STOCK
0.16%
RTL GROUP SA COMMON
0.16%
GROUPE BRUXELLES LAMBERT
0.16%
SCSK CORP COMMON STOCK
0.16%
J SAINSBURY PLC COMMON
0.16%
ASCENDAS REAL ESTATE
0.16%
TIS INC COMMON STOCK JPY
0.15%
LINTEC CORP COMMON STOCK
0.15%
NOMURA REAL ESTATE
0.15%
HARVEY NORMAN HOLDINGS
0.15%
HSBC HOLDINGS PLC COMMON
0.15%
EASYJET PLC COMMON STOCK
0.15%
TPG TELECOM LTD COMMON
0.15%
FERGUSON PLC COMMON
0.15%
GOLDEN AGRI-RESOURCES
0.14%
NAVER CORP COMMON STOCK
0.14%
NEW WORLD DEVELOPMENT CO
0.14%
HYUNDAI DEPARTMENT STORE
0.14%
KIRIN HOLDINGS CO LTD
0.14%
INTERNATIONAL (FI.N)
0.14%
BRAMBLES LTD COMMON
0.14%
CONVATEC GROUP PLC
0.14%
AKER BP ASA COMMON STOCK
0.14%
KOREAN AIR LINES CO LTD
0.14%
SAWAI PHARMACEUTICAL CO
0.14%
FISHER & PAYKEL (FPH.NZ)
0.14%
WANT CHINA HOLDINGS
0.14%
RECORDATI SPA COMMON
0.14%
TOBU RAILWAY CO LTD
0.14%
JOHN WOOD GROUP PLC
0.14%
SHINSEGAE INC COMMON
0.14%
TOKUYAMA CORP COMMON
0.13%
ACCIONA SA COMMON STOCK
0.13%
IMI PLC COMMON STOCK GBP
0.13%
ATOS SE COMMON STOCK EUR
0.13%
WHEELOCK & CO LTD COMMON
0.13%
ACERINOX SA COMMON STOCK
0.13%
YAMAGUCHI FINANCIAL
0.13%
SAMSUNG BIOLOGICS CO LTD
0.13%
ASR NEDERLAND NV COMMON
0.12%
VOCUS GROUP LTD COMMON
0.12%
ORACLE CORP JAPAN COMMON
0.12%
MITSUBISHI TANABE PHARMA
0.12%
SUMITOMO DAINIPPON
0.12%
CATHAY PACIFIC AIRWAYS
0.12%
INCHCAPE PLC COMMON
0.12%
CSR LTD COMMON STOCK AUD
0.12%
SEMBCORP INDUSTRIES LTD
0.12%
UNI-PRESIDENT CHINA
0.12%
FAURECIA SA COMMON STOCK
0.12%
KOREA ZINC CO LTD COMMON
0.11%
YAMADA DENKI CO LTD
0.11%
KONINKLIJKE DSM NV
0.11%
DENKA CO LTD COMMON
0.11%
NIPRO CORP COMMON STOCK
0.11%
KURARAY CO LTD COMMON
0.11%
ASAHI KASEI CORP COMMON
0.11%
SUNTEC REAL ESTATE
0.11%
FAMILYMART UNY HOLDINGS
0.11%
KOREA ELECTRIC POWER
0.11%
DAI NIPPON PRINTING CO
0.11%
METCASH LTD COMMON STOCK
0.1%
KEISEI ELECTRIC RAILWAY
0.1%
ZEON CORP COMMON STOCK
0.1%
NORSK HYDRO ASA COMMON
0.1%
MEDICLINIC INTERNATIONAL
0.1%
BROTHER INDUSTRIES LTD
0.1%
3I GROUP PLC COMMON
0.1%
TOKYO ELECTRIC POWER CO
0.1%
CHINA MENGNIU DAIRY CO
0.1%
COVIVIO REIT EUR 3
0.09%
CASTELLUM AB COMMON
0.09%
MERCK KGAA COMMON STOCK
0.09%
VOESTALPINE AG COMMON
0.09%
NIPPON EXPRESS CO LTD
0.09%
TRELLEBORG AB COMMON
0.09%
GUNMA BANK LTD/THE
0.09%
ATLAS ARTERIA LTD
0.09%
NOKIAN RENKAAT OYJ
0.09%
MITSUBISHI UFJ LEASE &
0.09%
FUJI MEDIA HOLDINGS INC
0.09%
TOHO GAS CO LTD COMMON
0.09%
MITSUBISHI CORP COMMON
0.08%
CALTEX AUSTRALIA LTD
0.08%
CJ CHEILJEDANG CORP
0.08%
CROWN RESORTS LTD COMMON
0.08%
NEXTEER AUTOMOTIVE GROUP
0.08%
TINGYI CAYMAN ISLANDS
0.08%
KYUSHU ELECTRIC POWER CO
0.08%
FERROVIAL SA COMMON
0.08%
DAICEL CORP COMMON STOCK
0.08%
HANWHA CORP COMMON STOCK
0.07%
HACHIJUNI BANK LTD/THE
0.07%
NIFCO INC/JAPAN COMMON
0.07%
CAPITALAND COMMERCIAL
0.07%
HUTCHISON PORT HOLDINGS
0.07%
KUEHNE + NAGEL
0.07%
IPSEN SA COMMON STOCK
0.07%
CASINO GUICHARD (CASP.PA)
0.07%
S-OIL CORP COMMON STOCK
0.07%
HYUNDAI ENGINEERING &
0.07%
IIDA GROUP HOLDINGS CO
0.07%
NAGACORP LTD COMMON
0.07%
H LUNDBECK A/S COMMON
0.07%
SKY PERFECT JSAT
0.07%
COLES GROUP LTD COMMON
0.07%
KCC CORP COMMON STOCK
0.07%
DASSAULT AVIATION SA
0.07%
IMPERIAL BRANDS PLC
0.06%
HYUNDAI MIPO DOCKYARD CO
0.06%
CELLTRION INC COMMON
0.06%
SWIRE PROPERTIES LTD (.GSPVXSC)
0.06%
CIMIC GROUP LTD COMMON
0.06%
EUTELSAT COMMUNICATIONS
0.06%
DEUTSCHE LUFTHANSA AG
0.06%
ASTELLAS PHARMA INC (AST)
0.06%
MEBUKI FINANCIAL GROUP
0.05%
NISSAN MOTOR CO LTD
0.05%
SODEXO SA COMMON STOCK
0.05%
SALMAR ASA COMMON STOCK
0.05%
FLUGHAFEN ZURICH AG
0.05%
ROLLS-ROYCE HOLDINGS PLC
0%
NAGOYA RAILROAD CO LTD
0.05%
SVENSKA CELLULOSA AB SCA
0.05%
INCITEC PIVOT LTD COMMON
0.05%
ORORA LTD COMMON STOCK
0.05%
BOUYGUES SA COMMON STOCK
0.05%
ORION CORP/REPUBLIC OF
0.05%
WORLEYPARSONS LTD COMMON
0.05%
SHIONOGI & CO LTD COMMON
0.05%
SEMICONDUCTOR
0.05%
DSV A/S COMMON STOCK DKK
0.05%
ORION OYJ COMMON STOCK
0.04%
HOKURIKU ELECTRIC POWER
0.04%
ALCON INC COMMON STOCK
0.04%
HELLA GMBH & CO. KGAA
0.04%
TOKYO CENTURY CORP
0.04%
SK NETWORKS CO LTD
0.04%
MELCO INTERNATIONAL
0.04%
HYUNDAI MOBIS CO LTD
0.04%
VIFOR PHARMA AG COMMON
0.04%
NMC HEALTH PLC COMMON
0.04%
CORP FINANCIERA ALBA SA
0.04%
HANKOOK TIRE &
0.03%
KAJIMA CORP COMMON STOCK
0.03%
HITACHI CAPITAL CORP
0.03%
BEIERSDORF AG COMMON
0.03%
INPEX CORP COMMON STOCK
0.03%
CIE PLASTIC OMNIUM SA
0.03%
FIRST PACIFIC CO LTD
0.03%
E-MART INC COMMON STOCK
0.03%
EMS-CHEMIE HOLDING AG (EMSN.S)
0.03%
MERLIN ENTERTAINMENTS
0.03%
FUJIKURA LTD COMMON
0.02%
ISS A/S COMMON STOCK DKK
0.02%
FIH MOBILE LTD COMMON
0.02%
MSCI EAFE 09/20/2019
0.02%
STARHUB LTD COMMON STOCK
0.01%
REPSOL SA RIGHT EUR
0.01%
TOHO CO LTD/TOKYO COMMON
0.01%
JPMorgan Diversified Rt Intl Eqty ETF (JPIN)
0%
HYOSUNG TNC CO LTD
0%
CURRENCY CONTRACT - USD
0%

JPIN Technicals

Alpha

-1.42

Beta

0.74

Leverage

Long

Standard Deviation

2.19

JPIN Dividends

Dividend Date

2019-06-25

Latest Dividend

0.822

Annual Dividend

1.61

Annual Dividend Rate

1.61

Annual Dividend Yield

2.96

JPIN Performance

YTD Return

6.39%

1 Year Return

-6.04%

3 Year Return

7.36%

5 Year Return

0%

10 Year Return

6.79%

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