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JIRE

JPMorgan International Research Enhanced Equity ETF
1W: -3.1% 1M: -10.3% 3M: -0.7% YTD: -3.7% 1Y: +14.2% 3Y: +54.6%
$73.01
-2.35 (-3.12%)
After Hours: $73.80 (+0.78, +1.08%)
ETF AMEX · AUM $10.0B
ETF-Level Metrics
AUM$10.0B
Holdings174
Top 10 Wt16.9%
Beta0.98
% Profitable76%
Coverage67%
Portfolio Valuation
P/E15.6
P/B1.7
P/S2.1
EV/EBITDA7.1
P/FCF9.1
PEG0.95
Profitability & Returns
Gross Margin54.2%
Net Margin13.5%
ROE11.0%
ROA0.6%
ROIC41.4%
Div Yield2.94%
Leverage & Liquidity
Debt/Equity2.75
Debt/Assets0.15
Net Debt/EBITDA-9.3x
Interest Cov0.8x
Current Ratio0.41
Quick Ratio0.41
Growth (YoY)
Revenue+9.8%
Net Income+23.9%
EPS+27.6%
FCF+38.3%
EBITDA+16.0%
Rev CAGR 3Y+9.4%
Quality Scores
Piotroski F6.3
Altman Z3.04
IS Quality67.5
IS Overall57.3
IS Value65.0
Median P/E18.5

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Financial Services 42 22.9% 15.1
Industrials 33 15.0% 27.9
Other 45 13.2%
Technology 18 10.6% 19.0
Healthcare 14 9.6% 26.7
Consumer Defensive 16 6.6% 25.1
Consumer Cyclical 20 6.5% 19.8
Basic Materials 10 4.8% 19.0
Communication Services 7 3.5% 16.1
Utilities 5 3.3% 22.4
Energy 4 2.9% 538.6
Real Estate 5 1.2% 13.9

Smart Money Overlap

0 holdings with signals
No holdings with active convergence signals
Showing 50 of 219 holdings · Page 1 of 5
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 ASML HOLDING NV COMMON ASML.AS 3.11% $301.8M 224,890 45.4 $437.9B Technology
2 ASTRAZENECA PLC COMMON AZN.L 2.17% $210.4M 1,113,827 27.7 $215.5B Healthcare
3 SHELL PLC SHEL.L 1.97% $191.2M 4,118,601 14.7 $193.4B Energy
4 SIEMENS AG COMMON STOCK SIE.DE 1.46% $141.6M 577,791 20.0 $159.6B Industrials
5 BANCO SANTANDER SA SAN.MC 1.46% $141.4M 12,911,598 9.7 $135.7B Financial Services
6 NESTLE SA COMMON STOCK NESN.SW 1.44% $139.3M 1,419,712 21.6 $195.1B Consumer Defensive
7 ALLIANZ SE COMMON STOCK ALV.DE 1.35% $130.7M 322,611 12.1 $132.2B Financial Services
8 SAFRAN SA COMMON STOCK SAF.PA 1.32% $127.6M 366,456 16.4 $117.3B Industrials
9 HSBC HOLDINGS PLC COMMON HSBA.L 1.31% $127.2M 7,987,650 11.7 $196.5B Financial Services
10 ROCHE HOLDING AG COMMON ROP.SW 1.31% $126.6M 321,132 $239.5B Healthcare
11 TOYOTA MOTOR CORP COMMON 7203.T 1.30% $125.9M 6,057,300 11.7 $43.3T Consumer Cyclical
12 NOVARTIS AG COMMON STOCK NOVN.SW 1.28% $124.2M 830,764 20.0 $220.6B Healthcare
13 UNICREDIT SPA COMMON UCG.MI 1.12% $109.1M 1,507,327 9.9 $87.2B Financial Services
14 MUENCHENER MUV2.DE 1.11% $107.6M 176,357 10.9 $67.5B Financial Services
15 AIR LIQUIDE SA COMMON AI.PA 1.10% $106.9M 548,634 27.4 $96.6B Basic Materials
16 MITSUI & CO LTD COMMON 8031.T 1.06% $103.1M 2,524,600 20.8 $17.9T Industrials
17 ENGIE SA COMMON STOCK Private 1.05% $102.2M 3,225,494
18 BHP GROUP LTD COMMON BHP.AX 1.03% $100.2M 2,934,055 16.4 $241.1B Basic Materials
19 HITACHI LTD COMMON STOCK 6501.T 1.02% $99.3M 3,370,100 26.6 $21.9T Industrials
20 SUMITOMO MITSUI 8316.T 1.01% $97.7M 3,032,800 13.8 $19.7T Financial Services
21 RIO TINTO LTD COMMON RIO.AX 0.97% $94.5M 877,399 13.6 $238.6B Basic Materials
22 ATLAS COPCO AB COMMON Private 0.96% $93.1M 5,256,937
23 DEUTSCHE TELEKOM AG DTE.DE 0.95% $92.1M 2,486,306 15.9 $153.0B Communication Services
24 BARCLAYS PLC COMMON BARC.L 0.94% $90.7M 17,354,805 7.2 $51.5B Financial Services
25 COMMONWEALTH BANK OF CBA.AX 0.94% $91.3M 740,180 28.4 $293.7B Financial Services
26 SSE PLC COMMON STOCK GBP SSE.L 0.93% $90.7M 2,552,971 32.1 $30.9B Utilities
27 SAP SE COMMON STOCK EUR SAP.DE 0.90% $87.5M 477,272 24.5 $179.6B Technology
28 SOCIETE GENERALE SA GLE.PA 0.90% $87.7M 1,147,145 6.9 $45.8B Financial Services
29 NATIONAL GRID PLC COMMON NG.L 0.86% $83.1M 4,763,806 21.1 $61.3B Utilities
30 VOLVO AB COMMON STOCK Private 0.86% $83.9M 2,561,790
31 ITOCHU CORP COMMON STOCK 8001.T 0.85% $82.5M 6,307,900 15.6 $14.2T Industrials
32 SANOFI SA COMMON STOCK SAN.PA 0.84% $81.2M 930,197 8.9 $93.9B Healthcare
33 TOKYO ELECTRON LTD 8035.T 0.83% $80.4M 333,100 35.8 $18.0T Technology
34 SONY GROUP CORP COMMON 6758.T 0.82% $79.6M 3,921,875 -92.1 $19.5T Technology
35 INFINEON TECHNOLOGIES AG IFX.DE 0.82% $79.6M 1,773,070 47.8 $49.0B Technology
36 CIE FINANCIERE RICHEMONT Private 0.78% $75.2M 440,702
37 AIA GROUP LTD COMMON 1299.HK 0.77% $74.4M 7,088,000 18.5 $900.7B Financial Services
38 RELX PLC COMMON STOCK REL.L 0.76% $73.6M 2,179,174 22.0 $44.7B Communication Services
39 NATWEST GROUP PLC COMMON NWG.L 0.76% $73.4M 9,978,544 7.1 $41.4B Financial Services
40 HOYA CORP COMMON STOCK 7741.T 0.75% $72.8M 424,000 37.6 $9.4T Healthcare
41 LONDON STOCK EXCHANGE LSEG.L 0.74% $71.3M 623,501 35.4 $43.7B Financial Services
42 LEGRAND SA COMMON STOCK LR.PA 0.74% $72.0M 453,096 27.6 $34.4B Industrials
43 DBS GROUP HOLDINGS LTD Private 0.74% $71.8M 1,603,831
44 SHIN-ETSU CHEMICAL CO 4063.T 0.73% $70.5M 1,704,200 24.6 $11.9T Basic Materials
45 DANSKE BANK A/S COMMON DANSKE.CO 0.71% $68.8M 1,372,753 11.0 $253.6B Financial Services
46 E.ON SE COMMON STOCK EUR EOAN.DE 0.69% $66.7M 2,952,733 27.9 $48.3B Utilities
47 LONZA GROUP AG COMMON LONN.SW 0.68% $66.1M 110,058 36.0 $32.7B Healthcare
48 KEYENCE CORP COMMON 6861.T 0.68% $65.9M 178,500 34.3 $14.3T Technology
49 3I GROUP PLC COMMON III.L 0.67% $65.2M 1,726,944 4.2 $27.5B Financial Services
50 SCHNEIDER ELECTRIC SE SU.PA 0.67% $64.8M 227,489 32.1 $133.3B Industrials
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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms