Net Asset Value(s)

JPMorgan ETFs (Ireland) ICAV
14 November 2023
 

Fund:

JPM US REI EQUITY ESG ETF

Date:

13/11/2023

Curr:


NAV:

43.507

Tckr:

JREU





Fund:

JPM EUROPE REI EQUITY ESG ETF

Date:

13/11/2023

Curr:


NAV:

36.374

Tckr:

JREE





Fund:

JPM EUROPE REI EQUITY ESG ETF

Date:

13/11/2023

Curr:


NAV:

35.368

Tckr:

JRED





Fund:

JPM EM MARKETS REI EQ ESG ETF

Date:

13/11/2023

Curr:


NAV:

26.721

Tckr:

JREM





Fund:

JPM EM MARKETS REI EQ ESG ETF

Date:

13/11/2023

Curr:


NAV:

25.389

Tckr:

JRMD





Fund:

JPM GLOBAL REI EQUITY ESG ETF

Date:

13/11/2023

Curr:


NAV:

39.005

Tckr:

JREG





Fund:

JPM GLOBAL REI EQUITY ESG ETF

Date:

13/11/2023

Curr:


NAV:

29.141

Tckr:

JGEP





Fund:

JPM GLOBAL REI EQUITY ESG ETF

Date:

13/11/2023

Curr:


NAV:

37.745

Tckr:

JRGD





Fund:

JPM USD ULTRA SHORT INCOME ETF

Date:

13/11/2023

Curr:


NAV:

100.664

Tckr:

JPST





Fund:

JPM USD ULTRA SHORT INCOME ETF

Date:

13/11/2023

Curr:


NAV:

110.164

Tckr:

JPSA





Fund:

JPM USD EM SOVEREIGN BOND ETF

Date:

13/11/2023

Curr:


NAV:

76.555

Tckr:

JPMB





Fund:

JPM USD EM SOVEREIGN BOND ETF

Date:

13/11/2023

Curr:


NAV:

92.934

Tckr:

JMBA





Fund:

JPM USD EM SOVEREIGN BOND ETF

Date:

13/11/2023

Curr:


NAV:

57.692

Tckr:

JMBP





Fund:

JPM JAPAN REI EQ ESG UCIT ETF

Date:

13/11/2023

Curr:


NAV:

24.602

Tckr:

JREJ





Fund:

JPM JAPAN REI EQ ESG UCIT ETF

Date:

13/11/2023

Curr:


NAV:

23.642

Tckr:

JREI





Fund:

JPM AC ASIA PAC EX JPN REI EQ

Date:

13/11/2023

Curr:


NAV:

20.207

Tckr:

JREA





Fund:

JPM AC ASIA PAC EX JPN REI EQ

Date:

13/11/2023

Curr:


NAV:

19.249

Tckr:

JREX





Fund:

JPM GBP ULTRA SHORT INCOME ETF

Date:

13/11/2023

Curr:


NAV:

100.562

Tckr:

JGST





Fund:

JPM GBP ULTRA SHORT INCOME ETF

Date:

13/11/2023

Curr:


NAV:

106.538

Tckr:

JGSA





Fund:

JPM BETABUILDERS UK GILT 1 5YR

Date:

13/11/2023

Curr:


NAV:

92.838

Tckr:

JG15





Fund:

JPM BETABUILDERS US TRSY 1 3YR

Date:

13/11/2023

Curr:


NAV:

104.971

Tckr:

JU13





Fund:

JPM EUR CORP BD 1 5 YR REI ETF

Date:

13/11/2023

Curr:


NAV:

97.832

Tckr:

JR15





Fund:

JPM EUR CORPORATE BD REI ETF

Date:

13/11/2023

Curr:


NAV:

82.648

Tckr:

JEBP





Fund:

JPM USD CORPORATE BD REI ETF

Date:

13/11/2023

Curr:


NAV:

73.429

Tckr:

JRUP





Fund:

JPM USD CORPORATE BD REI ETF

Date:

13/11/2023

Curr:


NAV:

105.660

Tckr:

JRUB





Fund:

JPM CHINA A REI EQ ESG UCITS

Date:

13/11/2023

Curr:


NAV:

17.880

Tckr:

JREC





Fund:

JPM CHINA A REI EQ ESG UCITS

Date:

13/11/2023

Curr:


NAV:

17.305

Tckr:

JRDC





Fund:

JPM BETABUILDERS US EQUITY ETF

Date:

13/11/2023

Curr:


NAV:

40.765

Tckr:

BBUS





Fund:

JPM BETABUILDERS US EQUITY ETF

Date:

13/11/2023

Curr:


NAV:

38.241

Tckr:

BBUD





Fund:

JPM BETABUILDERS US TR BD ETF

Date:

13/11/2023

Curr:


NAV:

95.191

Tckr:

BBTR





Fund:

JPM BETABUILDERS US TR BD ETF

Date:

13/11/2023

Curr:


NAV:

71.243

Tckr:

BBTP





Fund:

JPM GLOBAL EQ MULTI FACTOR ETF

Date:

13/11/2023

Curr:


NAV:

32.121

Tckr:

JPGL





Fund:

JPM BETABUILDERS US TRS 0 1 YR

Date:

13/11/2023

Curr:


NAV:

107.004

Tckr:

BBIL





Fund:

JPM BETABUILDERS US TRS 0 1 YR

Date:

13/11/2023

Curr:


NAV:

10,371.032

Tckr:

MBIL





Fund:

JPM GLOBAL HIGH YIELD CORP BD

Date:

13/11/2023

Curr:


NAV:

100.471

Tckr:

JGHY





Fund:

JPM GLOBAL HIGH YIELD CORP BD

Date:

13/11/2023

Curr:


NAV:

4.632

Tckr:

JHYP





Fund:

JPM GLOBAL HIGH YIELD CORP BD

Date:

13/11/2023

Curr:


NAV:

102.374

Tckr:

JHYU





Fund:

JPM CARBON TRANSITION GLOBAL EQ (CTB) ETF

Date:

13/11/2023

Curr:


NAV:

32.370

Tckr:

JPCT





Fund:

JPM BETABUILDERS US T 0 3M

Date:

13/11/2023

Curr:


NAV:

105.468

Tckr:

BB3M





Fund:

JPM ETF RMB ULTRA SHORT ETF

Date:

13/11/2023

Curr:


NAV:

89.998

Tckr:

JCSA





Fund:

JPM ETF RMB ULTRA SHORT ETF

Date:

13/11/2023

Curr:


NAV:

86.417

Tckr:

JCST





Fund:

JPM BETABUILD CHINA AGG BD ETF

Date:

13/11/2023

Curr:


NAV:

92.251

Tckr:

JCHA





Fund:

JPM BETABUILD CHINA AGG BD ETF

Date:

13/11/2023

Curr:


NAV:

89.269

Tckr:

JCAG





Fund:

JPM BETABUILD CHINA AGG BD ETF

Date:

13/11/2023

Curr:


NAV:

105.091

Tckr:

JCAU





Fund:

JPM BETABUILD CHINA AGG BD ETF

Date:

13/11/2023

Curr:


NAV:

79.485

Tckr:

JCHP





Fund:

JPM JAP EUR RE EQ ESG UCIT ETF

Date:

13/11/2023

Curr:


NAV:

27.944

Tckr:

JREZ





Fund:

JPM JAP EUR RE EQ ESG UCIT ETF

Date:

13/11/2023

Curr:


NAV:

26.503

Tckr:

JRZD





Fund:

JPM CL CHANGE SOL UCITS ETF

Date:

13/11/2023

Curr:


NAV:

25.600

Tckr:

T3MP





Fund:

JPM UK EQUITY CORE UCITS ETF

Date:

13/11/2023

Curr:


NAV:

26.708

Tckr:

JUKC





Fund:

JPM UK EQUITY CORE UCITS ETF

Date:

13/11/2023

Curr:


NAV:

25.555

Tckr:

JUKE





Fund:

JPM BETAB USS CAP EQ UCITS ETF

Date:

13/11/2023

Curr:


NAV:

23.224

Tckr:

BBSC





Fund:

JPM BETAB USS CAP EQ UCITS ETF

Date:

13/11/2023

Curr:


NAV:

22.899

Tckr:

BBSD





Fund:

JPM ETF CHINA CTB EQUITY ETF

Date:

13/11/2023

Curr:


NAV:

22.825

Tckr:

JCCT





Fund:

GREEN SOCIAL SUST BO UCITS ETF

Date:

13/11/2023

Curr:


NAV:

99.903

Tckr:

JGRN





Fund:

JPM US REI EQ SRI PRALGD UC ET

Date:

13/11/2023

Curr:


NAV:

24.508

Tckr:

JSEU





Fund:

JPM US REI EQ SRI PRALGD UC ET

Date:

13/11/2023

Curr:


NAV:

24.508

Tckr:

JSUD





Fund:

JPM GBL RE EQ SRI PR ALG UT ET

Date:

13/11/2023

Curr:


NAV:

24.251

Tckr:

JSEG





Fund:

JPM GBL RE EQ SRI PR ALG UT ET

Date:

13/11/2023

Curr:


NAV:

24.205

Tckr:

JSGD





Fund:

JPM ETF ACTIVE GLOBAL AGG BOND

Date:

13/11/2023

Curr:


NAV:

8.313

Tckr:

JAGP





Fund:

JPM ETF ACTIVE GLOBAL AGG BOND

Date:

13/11/2023

Curr:


NAV:

10.118

Tckr:

JAGA





Fund:

JPM ETF ACTIVE GLOBAL AGG BOND

Date:

13/11/2023

Curr:


NAV:

10.118

Tckr:

JAGG





 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.
 
END
 
 
UK 100

Latest directors dealings