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JPM Core Plus Bond ETF (JCPB)

JPM Core Plus Bond ETF (JCPB)
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Overview

Name JPMorgan Core Plus Bond ETF
Fund Family JP Morgan Asset Management
Underlying Index Bloomberg Barclays Global Aggregate Bond Index
Inception Date 01/28/19
First Trade Date 01/30/19
Leverage Long
Asset Class Fixed Income

Description:

The JPMorgan Core Plus Bond ETF seeks a high level of current income by investing primarily in a diversified portfolio of high-, medium- and low-grade debt securities.

Investment Information

Alpha 0.00
60-Month Beta 0.14
Standard Deviation +0.89
Shares Outstanding, K 93,800.00
Managed Assets, $K 4,341,064.00 K
Net Asset Value 46.28
First Trade Price 50.32
P/E Ratio 0.00
Management Fee 0.40%
Options No
Latest Dividend 0.197
Last Dividend Date 12/02/24
Annual Dividend 2.36
Annual Dividend Yield 5.11%
1-Year Return -1.91%
3-Year Return -14.90%
5-Year Return -12.93%
Management Expense Ratio 0.40%

JCPB Dividends

Date Value
12/02/24 $0.1970
11/01/24 $0.2030
10/01/24 $0.1960
09/03/24 $0.2050
08/01/24 $0.1990
07/01/24 $0.2020
06/03/24 $0.1970
05/01/24 $0.2080
04/01/24 $0.1870
03/01/24 $0.1900
02/01/24 $0.1980
12/28/23 $0.1820
12/01/23 $0.1820
11/01/23 $0.1640
10/02/23 $0.1850
09/01/23 $0.1740
08/01/23 $0.1670
07/03/23 $0.1680
06/01/23 $0.1670
05/01/23 $0.1740
04/03/23 $0.1600
03/01/23 $0.1420
02/01/23 $0.1690
12/29/22 $0.1550
12/01/22 $0.1470
11/01/22 $0.1330
10/03/22 $0.1250
09/01/22 $0.1270
08/01/22 $0.1170
07/01/22 $0.0980
06/01/22 $0.1070
05/02/22 $0.1060
04/01/22 $0.0910
03/01/22 $0.0910
02/01/22 $0.0830
12/30/21 $0.0940
12/15/21 $0.1090
12/01/21 $0.0890
11/01/21 $0.0920
10/01/21 $0.0920
09/01/21 $0.1000
08/02/21 $0.0950
07/01/21 $0.0990
06/01/21 $0.0930
05/03/21 $0.0910
04/01/21 $0.0760
03/01/21 $0.0880
02/01/21 $0.0730
12/30/20 $0.1000
12/15/20 $0.6500
12/01/20 $0.0700
11/02/20 $0.0770
10/01/20 $0.0780
09/01/20 $0.0730
08/03/20 $0.0760
07/01/20 $0.0850
06/01/20 $0.0740
05/01/20 $0.0870
04/01/20 $0.0900
02/28/20 $0.0960
01/31/20 $0.0980
12/30/19 $0.4460
11/29/19 $0.1230
10/31/19 $0.1290
09/30/19 $0.1170
08/30/19 $0.1220
07/31/19 $0.1200
06/28/19 $0.1350
05/31/19 $0.1290
04/30/19 $0.1330
03/29/19 $0.1200
02/28/19 $0.1270
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