# Product Facts - JPMorgan Active Developing Markets Equity ETF

> Audience: country=us, language=en, role=adv.
> Generated: 2026-10-02T15:59:33.371465762Z.

## Identity

- **Fund Name**: JPMorgan Active Developing Markets Equity ETF
- **Share Class Name**: JPMorgan Active Developing Markets Equity ETF
- **Product Page**: [Product Page](https://am.jpmorgan.com/us/en/asset-management/adv/products/jpmorgan-active-developing-markets-equity-etf-etf-shares-46654q690)
- **Ticker**: JADE
- **CUSIP**: 46654Q690
- **Fund Type**: ETF
- **Asset Class**: International Equity
- **Fund Inception Date**: 05/16/2024
- **Investment Objective**: The Fund seeks to provide long-term capital appreciation.

## Fund Facts

- **Ticker**: JADE
- **CUSIP**: 46654Q690
- **Asset Class**: International Equity
- **Fund Inception Date**: 05/16/2024
- **Exchange**: NYSE-Arca
- **ESG Approach**: Integrated

## Fund Stats

- **NAV  As of 10/01/2026**: $78.64
- **NAV Change ($) As of 10/01/2026**: $0.24
- **NAV Change (%) As of 10/01/2026**: 0.30%
- **Non-Fair Value NAV  As of 10/01/2026**: $78.75 [Disclosure 1]
- **Closing Price  As of 10/01/2026**: $79.04
- **Closing Price Change ($) As of 10/01/2026**: $0.10
- **Closing Price Change (%) As of 10/01/2026**: 0.20%
- **Discount/Premium As of 10/01/2026**: 0.51%
- **Median Bid/Ask Spread  As of 10/01/2026**: 0.42% [Disclosure 2]
- **Daily High As of 10/01/2026**: $79.17
- **Daily Low As of 10/01/2026**: $78.41
- **30 Day SEC Yield  As of 08/31/2026**: 1.51%
- **30 Day SEC Yield Unsubsidized As of 08/31/2026**: 1.51%
- **Dividend Yield As of 08/31/2026**: 1.81%
- **12-Month Rolling Dividend Yield As of 08/31/2026**: 2.39%
- **Daily - 30 Day SEC Yield As of 09/30/2026**: 1.51%
- **Daily - 30 Day SEC Yield Unsubsidized As of 09/30/2026**: 1.51%
- **Fund Assets As of 10/01/2026**: $31.45mn
- **Shares Outstanding As of 10/01/2026**: 400,000
- **Exchange Volume  As of 10/01/2026**: 6687 [Disclosure 3]
- **Number of Holdings As of 10/01/2026**: 136
- **YTD  As of 10/01/2026**: 25.70%
- **Market Price Returns  As of 10/01/2026**: 25.72%

## Portfolio Managers

### Leon Eidelman

- **In the industry**: 24 years
- **With J.P. Morgan**: 24 years
- **Managing this fund**: 2 years

### Omar Negyal

- **In the industry**: 28 years
- **With J.P. Morgan**: 14 years
- **Managing this fund**: 2 years

## Documents

- [Factsheet: JPMorgan Active Developing Markets Equity ETF](https://am.jpmorgan.com/content/dam/jpm-am-aem/americas/us/en/literature/fact-sheet/etfs/FS-JADE.PDF)
- [ETF Dividend Calendar 2026](https://am.jpmorgan.com/content/dam/jpm-am-aem/americas/us/en/supplemental/income-distribution-rates/jpmorgan-etfs-2026-distribution-notice.pdf)
- [Summary Prospectus](https://am.jpmorgan.com/JPMorgan/TVT/46654Q690/SP?site=JPMorganv3)
- [Prospectus](https://am.jpmorgan.com/JPMorgan/TVT/46654Q690/P?site=JPMorganv3)
- [Annual Report to Shareholders](https://am.jpmorgan.com/JPMorgan/TVT/46654Q690/AR?site=JPMorganv3)
- [Annual Financial Statements and Other Information](https://am.jpmorgan.com/JPMorgan/TVT/46654Q690/NCSR?site=JPMorganv3)
- [Semi-Annual Report to Shareholders](https://am.jpmorgan.com/JPMorgan/TVT/46654Q690/SAR?site=JPMorganv3)
- [Semi-Annual Financial Statements and Other Information](https://am.jpmorgan.com/JPMorgan/TVT/46654Q690/NCSRS?site=JPMorganv3)
- [First Quarter Holding](https://am.jpmorgan.com/JPMorgan/TVT/46654Q690/QH1?site=JPMorganv3)
- [Third Quarter Holding](https://am.jpmorgan.com/JPMorgan/TVT/46654Q690/QH3?site=JPMorganv3)
- [Statement of Additional Information](https://am.jpmorgan.com/JPMorgan/TVT/46654Q690/S?site=JPMorganv3)
- [Annual Report Of Proxy Voting](https://am.jpmorgan.com/JPMorgan/TVT/46654Q690/NPX?site=JPMorganv3)

## Disclosures

1. Non-Fair Value NAV: The published NAV includes adjustments made to prices of international stocks to compensate for price changes occurring after local markets close and exchange rates at the 4 PM New York close, the Non-Fair Value NAV excludes these price adjustments and uses exchange rates at the 4PM London close. Investors cannot transact at Non-Fair Value.

2. The median bid-ask spread is calculated by identifying national best bid and national best offer ("NBBO") for each Fund as of the end of each 10 second interval during each trading day of the last 30 calendar days, or since the listing date of each Fund if shorter, and dividing the difference between each such bid and offer by the midpoint of the NBBO. The median of those values is identified and posted on each business day.

3. The number of shares or contracts traded in a security or an entire market during a given period of time. Each transaction between a buyer and seller contributes to the count of total volume.
