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JPUS | JPMorgan Diversified Return U.S. Equity ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
AVGO Broadcom Inc. 787.25B 0.51%
167.43 -1.00% 55.44% 49.55%
CIEN Ciena Corporation 8.59B 0.49%
60.43 -1.84% 55.26% 59.18%
AAPL Apple Inc. 3.34T 0.46%
222.13 1.94% 46.31% 52.92%
NVDA NVIDIA Corporation 2.64T 0.45%
108.38 -1.18% 62.20% 42.81%
KR The Kroger Co. 48.98B 0.44%
67.69 1.45% 25.47% 51.74%
ANET Arista Networks, Inc. 97.71B 0.44%
77.48 -0.59% 69.47% 61.88%
JNPR Juniper Networks, Inc. 12.06B 0.43%
36.19 0.19% 35.65% 54.20%
CAG Conagra Brands, Inc. 12.73B 0.42%
26.67 0.45% 29.64% 63.45%
META Meta Platforms, Inc. 1.46T 0.42%
576.36 -0.07% 57.31% 63.98%
UGI UGI Corporation 7.10B 0.42%
33.07 0.64% 42.50% 56.58%
K Kellogg Company 28.48B 0.42%
82.49 0.02% 10.73% 21.68%
CSCO Cisco Systems, Inc. 245.50B 0.42%
61.71 1.40% 36.30% 69.93%
ETR Entergy Corporation 36.83B 0.42%
85.49 1.28% 32.01% 48.33%
DKS DICK'S Sporting Goods, Inc. 16.10B 0.42%
201.56 -0.20% 54.70% 47.99%
NI NiSource Inc. 18.84B 0.42%
40.09 0.43% 31.86% 61.17%
WSM Williams-Sonoma, Inc. 19.46B 0.41%
158.10 -0.55% 41.76% 56.12%
GIS General Mills, Inc. 32.74B 0.41%
59.79 1.15% 22.09% 49.34%
KMI Kinder Morgan, Inc. 63.39B 0.41%
28.53 0.56% 36.56% 56.44%
EVRG Evergy, Inc. 15.86B 0.41%
68.95 1.59% 19.42% 30.36%
KMB Kimberly-Clark Corporation 47.17B 0.41%
142.22 1.07% 26.63% 58.50%
PPL PPL Corporation 26.66B 0.41%
36.11 1.12% 22.48% 43.75%
UNM Unum Group 14.40B 0.41%
81.46 1.83% 30.69% 63.53%
CL Colgate-Palmolive Company 76.00B 0.41%
93.70 0.95% 26.03% 53.91%
PG The Procter & Gamble Company 399.61B 0.41%
170.42 1.42% 26.30% 57.77%
POST Post Holdings, Inc. 6.57B 0.41%
116.36 1.09% 35.33% 59.36%
PWR Quanta Services, Inc. 37.67B 0.41%
254.18 -0.04% 42.64% 61.71%
FCNCA First Citizens BancShares, Inc. 24.93B 0.41%
1,854.12 1.04% 29.52% 63.79%
SYF Synchrony Financial 20.58B 0.41%
52.94 0.97% 31.69% 49.80%
UTHR United Therapeutics Corporation 13.85B 0.41%
308.27 0.42% 35.09% 79.90%
AM Antero Midstream Corporation 8.61B 0.40%
18.00 0.33% 26.73% 54.16%
BRK.B BERKSHIRE HATHAWAY INC 0.40%
DUK Duke Energy Corporation 94.77B 0.40%
121.97 2.14% 22.66% 49.26%
COF Capital One Financial Corporation 68.37B 0.40%
179.30 3.33% 54.90% 55.29%
OGE OGE Energy Corp. 9.25B 0.40%
45.96 1.03% 36.55% 34.98%
T AT&T Inc. 203.00B 0.40%
28.28 0.35% 37.12% 63.01%
GRMN Garmin Ltd. 41.78B 0.40%
217.13 1.62% 40.25% 62.40%
IP International Paper Company 28.07B 0.40%
53.35 0.26% 47.48% 56.18%
OHI Omega Healthcare Investors, Inc. 10.73B 0.40%
38.08 0.01% 25.77% 58.46%
REG Regency Centers Corporation 13.39B 0.40%
73.76 1.22% 26.26% 39.95%
CASY Casey's General Stores, Inc. 16.11B 0.40%
434.04 0.47% 25.50% 38.51%
CF CF Industries Holdings, Inc. 13.01B 0.40%
78.15 0.98% 42.81% 62.99%
HST Host Hotels & Resorts, Inc. 9.93B 0.40%
14.21 -0.42% 29.97% 63.61%
MCK McKesson Corporation 84.34B 0.40%
672.99 0.74% 35.62% 54.29%
MSI Motorola Solutions, Inc. 73.09B 0.40%
437.81 1.11% 26.76% 59.61%
APH Amphenol Corporation 79.48B 0.40%
65.59 -1.50% 36.24% 56.89%
INGR Ingredion Incorporated 8.68B 0.40%
135.21 0.16% 26.90% 67.13%
WELL Welltower Inc. 98.25B 0.40%
153.21 -0.14% 30.76% 50.86%
PGR The Progressive Corporation 165.90B 0.40%
283.01 1.49% 28.19% 31.75%
ECL Ecolab Inc. 71.91B 0.40%
253.52 1.61% 25.32% 47.11%
WMB The Williams Companies, Inc. 72.95B 0.40%
59.76 0.96% 38.13% 46.13%
USFD US Foods Holding Corp. 15.08B 0.40%
65.46 1.44% 27.57% 72.06%
VZ Verizon Communications Inc. 190.95B 0.40%
45.36 0.96% 27.75% 40.55%
PEG Public Service Enterprise Group Incorpor... 41.03B 0.40%
82.30 0.82% 30.30% 56.16%
TAP Molson Coors Beverage Company 12.33B 0.40%
60.87 0.56% 34.46% 54.55%
COP ConocoPhillips 133.49B 0.39%
105.02 2.59% 44.53% 48.22%
HRL Hormel Foods Corporation 17.01B 0.39%
30.94 1.91% 24.12% 55.18%
PFGC Performance Food Group Company 12.28B 0.39%
78.63 1.67% 31.12% 72.68%
DVA DaVita Inc. 12.24B 0.39%
152.97 1.83% 40.62% 72.15%
AFL Aflac Incorporated 60.69B 0.39%
111.19 1.27% 28.16% 49.08%
SPG Simon Property Group, Inc. 54.18B 0.39%
166.08 1.10% 25.96% 51.37%
RSG Republic Services, Inc. 75.62B 0.39%
242.16 1.52% 22.26% 44.87%
COR Cencora 53.93B 0.39%
278.09 1.05% 24.36% 54.78%
LAMR Lamar Advertising Company 11.65B 0.39%
113.78 1.17% 26.72% 42.55%
PM Philip Morris International Inc. 246.80B 0.39%
158.73 2.30% 33.13% 57.23%
SCCO Southern Copper Corporation 74.41B 0.39%
93.46 -0.72% 36.76% 51.00%
HIG The Hartford Financial Services Group, I... 35.31B 0.39%
123.73 1.24% 29.93% 48.24%
UHS Universal Health Services, Inc. 12.21B 0.39%
187.90 0.92% 34.12% 54.66%
ALSN Allison Transmission Holdings, Inc. 8.18B 0.39%
95.67 -0.41% 40.62% 60.05%
CLH Clean Harbors, Inc. 10.62B 0.39%
197.10 -0.03% 33.28% 75.16%
CMI Cummins Inc. 43.09B 0.39%
313.44 -0.18% 31.41% 60.22%
NRG NRG Energy, Inc. 19.44B 0.39%
95.46 0.27% 47.37% 53.18%
PR Permian Resources Corporation 11.13B 0.39%
13.85 0.73% 30.73% 66.28%
TSN Tyson Foods, Inc. 22.28B 0.39%
63.81 2.31% 30.68% 59.43%
MO Altria Group, Inc. 101.47B 0.39%
60.02 3.22% 28.58% 43.34%
XOM Exxon Mobil Corporation 516.05B 0.39%
118.93 1.02% 35.29% 47.06%
KVUE Kenvue Inc. 45.83B 0.39%
23.98 1.18% 36.96% 50.94%
MSFT Microsoft Corporation 2.79T 0.39%
375.39 -0.90% 38.32% 56.43%
THC Tenet Healthcare Corporation 12.79B 0.39%
134.50 1.02% 47.27% 77.91%
WM Waste Management, Inc. 93.09B 0.39%
231.51 1.58% 24.38% 57.33%
SO The Southern Company 100.85B 0.38%
91.95 0.90% 24.37% 54.36%
SRE Sempra 46.49B 0.38%
71.36 2.34% 33.76% 62.27%
TMUS T-Mobile US, Inc. 304.51B 0.38%
266.71 0.67% 33.54% 55.01%
GLPI Gaming and Leisure Properties, Inc. 13.99B 0.38%
50.90 0.99% 22.84% 44.53%
PNW Pinnacle West Capital Corporation 11.36B 0.38%
95.25 1.15% 28.85% 50.88%
TRGP Targa Resources Corp. 43.72B 0.38%
200.47 1.34% 36.70% 48.61%
BRX Brixmor Property Group Inc. 8.13B 0.38%
26.55 1.69% 72.06% 54.53%
JLL Jones Lang LaSalle Incorporated 11.75B 0.38%
247.91 0.82% 36.32% 70.13%
XEL Xcel Energy Inc. 40.67B 0.38%
70.79 1.53% 24.88% 31.47%
EMN Eastman Chemical Company 10.17B 0.38%
88.11 1.22% 28.47% 65.35%
ETN Eaton Corporation plc 106.49B 0.38%
271.83 -0.85% 46.79% 48.77%
GWW W.W. Grainger, Inc. 47.59B 0.38%
987.83 1.31% 25.68% 62.83%
FAST Fastenal Company 44.47B 0.38%
77.55 1.81% 22.08% 28.71%
PH Parker-Hannifin Corporation 78.27B 0.38%
607.85 1.07% 30.42% 67.66%
ABBV AbbVie Inc. 370.64B 0.38%
209.52 2.06% 38.39% 56.13%
EIX Edison International 22.69B 0.37%
58.92 1.27% 62.00% 30.80%
ADI Analog Devices, Inc. 100.02B 0.37%
201.67 0.05% 49.25% 51.37%
CMCSA Comcast Corporation 139.17B 0.37%
36.90 0.76% 44.88% 75.90%
CTRA Coterra Energy Inc. 22.08B 0.37%
28.90 0.94% 43.65% 73.54%
ESS Essex Property Trust, Inc. 19.72B 0.37%
306.57 0.19% 20.48% 49.83%
GILD Gilead Sciences, Inc. 139.54B 0.37%
112.05 0.23% 39.21% 62.75%
Total holdings: 360 Recognized Stocks: 353 Others: 7
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