Our REI Equity ETFs are designed to serve as core portfolio building blocks and attractive alternatives to passive funds.
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 exclusions of controversial sectors with active corporate engagement and integration throughout the investment process.
Highly experienced portfolio managers are backed by the insight of 70 career analysts around the globe.
A robust ETF platform
Driven by research
An integrated approach to ETF investing combining world class quantitative research with robust portfolio management and an extensive technology platform.
Committed to best execution
Taps into the global strength of J.P. Morgan Asset Management’s trading team, bringing a further depth of expertise to our ETF range.
Focused on client outcomes
A range of specialist ETF strategies specifically designed to help our clients benefit from the enhanced liquidity, transparency and low costs of ETF investing.
ETF Alternative Beta Strategies
Our Alternative Beta UCITS ETFs are designed to target uncorrelated return streams and enhanced portfolio diversification benefits offered by alternative strategies for a wide range of investors in a systematic, liquid and transparent way.