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  1. Home | Institutional Investors
  2. Investment Strategies
  3. ETF investments

Liquidity that’s actively managed and easily traded

Our Ultra-Short Income ETFs provide an effective portfolio solution for fixed income investors looking to reduce interest rate risk, and for liquidity investors looking to boost income by moving some assets out of cash.

The funds aim to generate incremental returns above money market funds and maintain a high level of liquidity by investing across a diversified basket of high quality, short maturity bonds and debt instruments (out to five years of maturity) chosen by our expert team of credit analysts and liquidity managers.

 

Higher income and reduced duration risk

  • Expertise
  • Portfolio construction
jpm-am-collaboration

Specialist investment expertise

Access the credit research, interest rate and currency expertise of over 130 dedicated liquidity professionals located in 14 offices around the world, as part of J.P. Morgan’s $693 billion Global Liquidity platform.

Tap into the ability of our specialist investment team to access underlying market liquidity, and benefit from our active investment approach, which deploys risk conservatively as market conditions change.

jpm-am-diversification

Active portfolio construction and a rigorous ESG framework

Gain exposure to diversified, high quality ultra-short portfolios that have the ability to manage liquidity and credit risk, and optimise yield, across a range of market environments.

Benefit from bottom-up security research and top-down macro positioning, all within an SFDR Article 8 environmental, social and governance (ESG) framework.

The portfolio risk management process includes an effort to monitor and manage risk but does not imply low risk.

The ESG framework implies the systematic inclusion of financially material ESG factors (alongside other relevant factors) in investment analysis and investment decisions.

Explore our Ultra-Short Income ETF solutions

Further reading on ETF and fixed income investing

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The value of investments may go down as well as up and investors may not get back the full amount invested.

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