Active ETFs allow investors to enjoy all the benefits of the ETF structure, while also presenting opportunities to earn excess returns above a chosen index. J.P. Morgan Asset Management is a leading provider of active ETFs, with a broad offering across equity, fixed income and sustainable strategies.
Equity ETFs
Fixed income
Core
1 Duration is a measure of the sensitivity of the price (the value of the principal) of a fixed income investment to a change in interest rates and is expressed as number of years.
J.P. Morgan ETFs push the boundaries of ETF investing to help you build a strong and diversified active portfolio
Expert references JPMAM as #2 ranked manager globally in active ETFs, Source: JPMAM, Morningstar, Bloomberg, and ETF.com as at 30 April 2023.
The management fees and costs are comprised of a management fee, fund expenses and indirect costs. Please refer to the Fees and Cost section of the PDS for more information.
Ratings are published by Lonsec Research Pty Ltd ABN: 11 151 658 561 AFSL 421 445 (Lonsec Research) a wholly owned subsidiary of Lonsec Holdings Pty Ltd ABN: 41 151 235 406 (Lonsec Group). Generation Development Group Limited ABN: 90 087 334 370 is the parent company of Lonsec Group. Ratings are general advice only and have been prepared without taking into account investors’ objectives, financial situation or needs. Consider your personal circumstances, read the product disclosure statement and seek independent financial advice before investing. The rating is not a recommendation to purchase, sell or hold any product. Past performance information is not indicative of future performance. Ratings are subject to change without notice and Lonsec Research assumes no obligation to update. Lonsec Research uses objective criteria and receives a fee from the Fund Manager. Except for any liability which cannot be excluded, no representation, warranty or undertaking, express or implied is made and no responsibility or liability is accepted by Lonsec Research, its directors, officers, employees and agents for any error or inaccuracy, misstatement or omission from this document or any loss or damage suffered by the recipient or any other person as a consequence of relying upon it. Visit lonsec.com.au for ratings information and to access the full report. © 2024 Lonsec. All rights reserved.
JPMorgan Equity Premium Income (JEPI), JPMorgan US 100Q Equity Premium Income (JPEQ) and JPMorgan Global Equity Premium Income (JEGA) are the marketing names of the JPMorgan Equity Premium Income Active ETF (Managed Fund), the JPMorgan US 100Q Equity Premium Income Active ETF (Managed Fund) and the JPMorgan Global Equity Premium Income Complex ETF. JPMorgan Global Research Enhanced Index Equity (JREG) and JPMorgan EM Research Enhanced Index Equity (JREM) are the marketing names of the JPMorgan Global Research Enhanced Index Equity Active ETF and the JPMorgan Emerging Markets Research Enhanced Index Equity Active ETF. JPMorgan Climate Change Solutions ETF (T3MP) is the marketing name of the JPMorgan Climate Change Solutions Active ETF (Managed Fund). JPMorgan Income (JPIE) and the JPMorgan Global Bond (JPGB) are the marketing names of the JPMorgan Income (Hedged) Active ETF and the JPMorgan Global Bond Active ETF.
Before investing, obtain and review the Product Disclosure Statement of the Fund and Target Market Determination which have been issued by Perpetual Trust Services Limited, ABN 48 000 142 049, AFSL 236648, as the responsible entity of the fund available on https://am.jpmorgan.com/au to understand the various risks associated with investing in the Fund and in making any investment decision. Past performance is not a reliable indicator of future performance and investors may not get back the full amount invested. Future performance and return of capital is not guaranteed. Information is considered correct at the time of issue but no liability for errors or omissions will be accepted by JPMorgan Asset Management (Australia) Limited or its affiliates. This document is confidential and intended solely for the person to whom it is provided by the issuer. ETFs have fees that reduce their performance, indexes do not. Investors cannot directly invest in an index. The market price is generally determined using the official closing price of the Fund. Provided for reporting purposes only and should not be considered as offer, research, advice or recommendations to purchase or sell any particular security. Each individual security is calculated as a percentage of the net assets. Holdings in actively managed portfolios are subject to change from time to time. The Fund seeks to achieve its stated objectives, there is no guarantee they will be met. Dividends or returns are not guaranteed. Please refer to offering documents for details on distribution policy. Due to rounding, values may not total 100%. Top holdings, sector and country or region excludes cash. Fund holdings and performance are likely to have changed since the report date. No provider of information presented here, including index and ratings information, is liable for damages or losses of any type arising from use of their information. Information from communications with you will be recorded, monitored, collected, stored and processed consistent with our Australian Privacy Policy available at am.jpmorgan.com/au/en/asset-management/adv/privacy-policy/
Fund information, including performance calculations and other data, is provided by J.P. Morgan Asset Management (the marketing name for the asset management businesses of JPMorgan Chase & Co and its affiliates worldwide). All data is as at the document date unless indicated otherwise.
For further information please email us at jpmorgan.funds.au@jpmorgan.com, telephone 1800 576 468 or visit our website am.jpmorgan.com/au/en/asset-management/adv.
All Rights Reserved - All investments contain risk and may lose value. This advertisement or publication has been prepared and issued by JPMorgan Asset Management (Australia) Limited (ABN 55 143 832 080) (AFSL No. 376919) being the investment manager of the fund. It is for general information only, without taking into account your objectives, financial situation or needs and does not constitute personal financial advice. Before making any decision, it is important for investors to consider the appropriateness of the information and seek appropriate legal, tax, and other professional advice. For more detailed information relating to the risks of the Fund, the type of customer (target market) it has been designed for and any distribution conditions please refer to the relevant Product Disclosure Statement and Target Market Determination which have been issued by Perpetual Trust Services Limited, ABN 48 000 142 049, AFSL 236648, as the responsible entity of the fund available on https://am.jpmorgan.com/au.