NAV
As of 03/13/2025
$42.08
Change$-0.44
YTD
As of 03/13/2025
at NAV-3.66%
30 DAY SEC YIELD
As of 02/28/2025
1.10%
Unsub.1.10%
EXPENSES
Gross0.49%
Net0.49%
Fund Facts
TickerTEMP
CUSIP46641Q142
Asset ClassGlobal Equity
Fund Inception Date12/13/2021
ExchangeNYSE-Arca
ESG Approach Thematic
Fund Stats
Closing Price
As of 03/13/2025$42.02
As of 03/13/2025$42.02
Closing Price Change ($)
As of 03/13/2025$-0.42
As of 03/13/2025$-0.42
Closing Price Change (%)
As of 03/13/2025-1.04%
As of 03/13/2025-1.04%
Market Price Returns
As of 03/13/2025-3.71%
As of 03/13/2025-3.71%
Daily High
As of 03/13/2025$42.27
As of 03/13/2025$42.27
Daily Low
As of 03/13/2025$42.00
As of 03/13/2025$42.00
Fund Assets
As of 03/13/2025$5.26mn
As of 03/13/2025$5.26mn
Exchange Volume
As of 03/13/20251013
As of 03/13/20251013
Number of Holdings
As of 03/13/202561
As of 03/13/202561
30 Day SEC Yield
As of 02/28/20251.10%
As of 02/28/20251.10%
30 Day SEC Yield Unsubsidized
As of 02/28/20251.10%
As of 02/28/20251.10%
12-Month Rolling Dividend Yield
As of 02/28/20251.51%
As of 02/28/20251.51%
Dividend Yield
As of 02/28/20256.19%
As of 02/28/20256.19%
Daily - 30 Day SEC Yield
As of 03/12/20251.09%
As of 03/12/20251.09%
Daily - 30 Day SEC Yield Unsubsidized
As of 03/12/20251.09%
As of 03/12/20251.09%
Designed by data, refined by research.
Combining artificial and human intelligence, Climate Change Solutions ETF invests in companies developing innovative climate change solutions.
Expertise
- Combines expertise in data science with the fundamental research of a 90-strong analyst team, with an average of 18 years of experience.
Portfolio
- Proprietary thematic engine uses natural language processing over a vast data set to identify companies committed to climate solutions.
- Fundamental active managers identify companies that are developing innovative solutions to address climate change.
Results
- An unconstrained portfolio of carefully selected companies leading the way in delivering climate change solutions.

Portfolio Managers
Jack Featherby
Portfolio Manager
11 years
In the industry
7 years
With J.P. Morgan
1 year
Managing this fund

Portfolio Manager
26 years
In the industry
22 years
With J.P. Morgan
3 years
Managing this fund

Portfolio Manager
24 years
In the industry
8 years
With J.P. Morgan
1 year
Managing this fund
Morningstar Ratings: Global Large-Stock Growth
As of 02/28/2025
Overall Morningstar RatingTM for a fund is derived from a weighted average of the performanc
Fund Facts
TickerTEMP
CUSIP46641Q142
Asset ClassGlobal Equity
Fund Inception Date12/13/2021
ExchangeNYSE-Arca
ESG Approach Thematic
Fund Stats
Closing Price
As of 03/13/2025$42.02
As of 03/13/2025$42.02
Closing Price Change ($)
As of 03/13/2025$-0.42
As of 03/13/2025$-0.42
Closing Price Change (%)
As of 03/13/2025-1.04%
As of 03/13/2025-1.04%
Market Price Returns
As of 03/13/2025-3.71%
As of 03/13/2025-3.71%
Daily High
As of 03/13/2025$42.27
As of 03/13/2025$42.27
Daily Low
As of 03/13/2025$42.00
As of 03/13/2025$42.00
Fund Assets
As of 03/13/2025$5.26mn
As of 03/13/2025$5.26mn
Exchange Volume
As of 03/13/20251013
As of 03/13/20251013
Number of Holdings
As of 03/13/202561
As of 03/13/202561
30 Day SEC Yield
As of 02/28/20251.10%
As of 02/28/20251.10%
30 Day SEC Yield Unsubsidized
As of 02/28/20251.10%
As of 02/28/20251.10%
12-Month Rolling Dividend Yield
As of 02/28/20251.51%
As of 02/28/20251.51%
Dividend Yield
As of 02/28/20256.19%
As of 02/28/20256.19%
Daily - 30 Day SEC Yield
As of 03/12/20251.09%
As of 03/12/20251.09%
Daily - 30 Day SEC Yield Unsubsidized
As of 03/12/20251.09%
As of 03/12/20251.09%
Performance
Monthly
As of 02/28/2025
Cumulative
As of 02/28/2025
Performance - MONTHLY
1 Month | 3 Months | YTD | 1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since inception* | |
---|---|---|---|---|---|---|---|---|---|
At NAV | -3.71% | -8.78% | -1.97% | 3.74% | 2.63% | - | - | - | -2.36% |
Market Price Returns | -3.96% | -9.02% | -2.20% | 3.15% | 2.42% | - | - | - | -2.46% |
MSCI ACWI Index (net total return) | -0.60% | 0.30% | 2.73% | 15.06% | 9.14% | - | - | - | 6.61% |
Performance - CUMULATIVE
1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since inception* | |
---|---|---|---|---|---|---|
At NAV | 3.74% | 8.09% | - | - | - | -7.39% |
Market Price Returns | 3.15% | 7.45% | - | - | - | -7.70% |
The performance quoted is past performance and is not a guarantee of future results. Investment returns and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than original cost. Current performance may be higher or lower than the performance data shown. For performance current to the most recent month-end please call 1-844-4JPM-ETF.
*Fund performance inception: 12/13/2021
A fund's NAV is the sum of all its assets less any liabilities, divided by the number of shares outstanding.
ETFs have fees that reduce their performance: indexes do not. You cannot invest directly in an index.
Fees
Gross Expenses
0.49%
Net Expenses
0.49%
Dividend Schedule
Capital Gains Schedule
Documents
The performance quoted is past performance and is not a guarantee of future results. Investment returns and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than original cost. Current performance may be higher or lower than the performance data shown. For performance current to the most recent month-end please call 1-844-4JPM-ETF.
Holdings are subject to chan