Components JPMorgan BetaBuilders U.S. Mid Cap Equity ETF - Acc - USD

ETF

BBMC

US46641Q3406

Delayed Nyse 11:34:09 15/05/2024 pm IST 5-day change 1st Jan Change
91.39 USD +0.85% Intraday chart for JPMorgan BetaBuilders U.S. Mid Cap Equity ETF - Acc - USD +2.21% +7.89%

Composition of JPMorgan BetaBuilders U.S. Mid Cap Equity ETF - Acc - USD

Weight
945 USD +14.91%+15.05%+232.96%1.17%
171.9 USD +1.29%+5.02%+2.83%0.68%
907.7 USD +2.86%+6.46%+35.94%0.66%
103.5 USD +4.82%+5.34%+114.24%0.60%
294.3 USD -0.73%-5.72%+13.82%0.57%
45.78 USD +3.73%+6.89%+29.82%0.56%
296.4 USD +1.97%+1.37%+6.13%0.55%
115.2 USD -2.09%-2.34%-9.91%0.51%
421.3 USD +0.57%+3.68%+35.56%0.51%
222.1 USD +2.52%+3.34%+3.00%0.45%
83.69 USD +0.67%+0.65%-3.71%0.45%
409.7 USD +1.11%-1.06%-6.69%0.44%
229.4 USD -0.55%-0.12%+5.39%0.42%
69.24 USD +2.89%+4.38%+44.92%0.42%
114.3 USD +1.80%+1.61%+29.88%0.41%
274.1 USD +0.77%+1.11%+3.73%0.41%
113.3 USD -0.28%+0.62%+1.55%0.41%
318.3 USD +0.37%+4.38%+57.74%0.40%
427.9 USD +1.89%+7.82%+14.30%0.38%
383.5 USD +2.48%+1.18%+78.20%0.37%
54.9 USD +0.67%+4.66%+20.72%0.37%
123.1 USD -0.40%+6.62%+10.25%0.36%
132.3 USD -0.30%+0.07%+37.58%0.36%
91.46 USD +0.02%-1.09%-1.27%0.36%
134.4 USD +5.54%+8.18%+30.56%0.35%
71.56 USD +1.67%+3.50%+3.54%0.34%
50.04 USD +0.53%-1.47%+14.21%0.34%
112.9 USD +1.48%+1.50%+24.31%0.34%
36.64 USD +1.57%+1.05%+1.61%0.33%
121.6 USD -0.15%+1.79%+47.00%0.33%
59.08 USD +4.74%+9.82%+64.61%0.33%
175.6 USD +1.32%+4.27%+24.70%0.33%
382.6 USD +1.18%-0.95%+14.18%0.33%
46.02 USD +2.55%+4.63%-6.67%0.33%
336.8 USD -0.29%+2.98%+22.91%0.33%
166.5 USD +2.57%+5.94%+12.63%0.33%
42.52 USD +0.99%+9.13%+15.57%0.33%
222.4 USD -0.35%-1.77%+13.57%0.32%
83.46 USD +2.19%+4.34%+41.13%0.32%
273.2 USD +1.26%+4.80%+24.43%0.31%
55.78 USD +0.48%-0.88%+23.98%0.31%
69.6 USD -0.56%+0.52%+1.84%0.31%
111.1 USD +1.64%+5.33%-1.26%0.31%
38.28 USD +0.72%-0.08%-21.23%0.31%
49.9 USD +2.51%+4.75%+15.57%0.30%
139.2 USD +1.24%+1.90%+16.48%0.30%
71.98 USD +0.73%+3.58%+4.13%0.30%
46.06 USD +1.47%+2.56%-17.91%0.30%
17.92 USD +0.70%+4.18%-12.05%0.30%
6956a30.5pr0tvQpp4-J-ICq9kGEbPl0TuHhjBd2-tgMXvtghJA.0dbEjrlk7e7fvsPytTm1IpM9A8yA-nNHlLROFpJYvfSI-LXypR_0ouu35w

ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
13/04/2020
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 1,485 M€
AuM 1M 1,569 M€
AuM 3 months 1,447 M€
AuM 6 months 1,337 M€
AuM 12 months 1,447 M€
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