Our equity ETFs target consistent positive excess returns at low active risk, within a rigorous environmental, social and governance framework.
REI - RESEARCH ENHANCED INDEX EQUITY (ESG) STRATEGIES
Index-like risk profile
Regional, sector and style exposures are tightly controlled to achieve a consistently low tracking error.
Targeting consistent alpha
Exploits stock-specific insights to seek incremental positive excess returns, compounded over time.
Robust ESG framework
Combines active corporate engagement and integration throughout the investment process with exclusions of controversial sectors such as weapons and tobacco.
Highly experienced portfolio managers are backed by the insight of 70 career analysts around the globe.
Seeking a smoother ride in Equity Markets
Build beta exposure to the US equity market
Our ETF Approach
Our ultra-short duration strategies leverage the conservative philosophy of the J.P. Morgan Global Liquidity team to seek an attractive yield while focusing on active credit risk management to deliver stable returns, even in challenging environments.