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SCDS

JPMorgan Fundamental Data Science Small Core ETF
1W: -0.3% 1M: -4.4% 3M: +0.8% YTD: +1.8% 1Y: +23.6%
$62.12
+0.61 (+0.99%)
After Hours: $56.13 (-5.99, -9.64%)
Weekly Expected Move ±3.2%
$56 $58 $60 $62 $64
ETF NASDAQ · AUM $7.7M
ETF-Level Metrics
AUM$8M
Holdings245
Top 10 Wt10.6%
Beta1.38
% Profitable66%
Coverage91%
Portfolio Valuation
P/E31.6
P/B3.4
P/S1.9
EV/EBITDA17.0
P/FCF22.7
PEG1.81
Profitability & Returns
Gross Margin29.1%
Net Margin2.3%
ROE4.2%
ROA1.0%
ROIC4.9%
Div Yield1.24%
Leverage & Liquidity
Debt/Equity0.78
Debt/Assets0.19
Net Debt/EBITDA1.2x
Interest Cov1.8x
Current Ratio1.09
Quick Ratio0.95
Growth (YoY)
Revenue+17.6%
Net Income+28.0%
EPS+28.9%
FCF+25.2%
EBITDA+25.9%
Rev CAGR 3Y+12.9%
Quality Scores
Piotroski F6.0
Altman Z7.78
IS Quality65.9
IS Overall52.8
IS Value53.2
Median P/E14.4

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 44 16.1% 0.3
Financial Services 38 15.6% 19.1
Industrials 31 13.6% 26.7
Healthcare 48 13.4% 114.8
Consumer Cyclical 27 11.6% 25.3
Other 21 9.4%
Real Estate 13 5.5% 24.3
Energy 12 4.5% 11.7
Basic Materials 10 3.4% -72.6
Utilities 7 3.0% 14.7
Consumer Defensive 7 2.4% 128.8
Communication Services 8 1.5% 67.4

Smart Money Overlap

2 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
BE Bloom Energy Corporation 1.25% 4 Bullish 8 4 +0.1%
OPCH Option Care Health, Inc. 0.23% 4 Bullish 1 2 +4.0%
Showing 50 of 266 holdings · Page 1 of 6
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 JPMORGAN PRIME MONEY Private 3.69% $274,847 274,819
2 FABRINET COMMON STOCK FN.BK 1.63% $121,637 218 -7.6 $490M Consumer Cyclical
3 BLOOM ENERGY CORP COMMON BE 1.25% $92,907 685 -404.4 $32.1B Industrials
4 VICOR CORP COMMON STOCK VICR 1.05% $78,443 504 59.3 $7.0B Technology
5 MODINE MANUFACTURING CO MOD 1.00% $74,569 340 118.4 $11.6B Consumer Cyclical
6 DIGITALOCEAN HOLDINGS DOCN 1.00% $74,438 827 31.8 $8.3B Technology
7 TTM TECHNOLOGIES INC TTMI 0.95% $70,770 726 56.8 $10.1B Technology
8 AZZ INC COMMON STOCK USD AZZ 0.94% $69,888 553 11.8 $3.8B Industrials
9 WSFS FINANCIAL CORP WSFS 0.91% $67,958 1,025 12.5 $3.6B Financial Services
10 RYMAN HOSPITALITY RHP 0.90% $67,081 722 23.6 $5.9B Real Estate
11 NEXTPOWER INC COMMON NXT 0.89% $66,378 587 28.3 $16.8B Technology
12 CREDO TECHNOLOGY GROUP CRDO 0.86% $63,914 630 52.7 $18.7B Technology
13 MONARCH CASINO & RESORT MCRI 0.83% $61,875 640 17.4 $1.7B Consumer Cyclical
14 PRIMORIS SERVICES CORP PRIM 0.82% $61,197 414 29.0 $8.0B Industrials
15 MOOG INC-CLASS A Private 0.81% $60,034 207
16 FIRST INTERSTATE FIBK 0.80% $59,527 1,778 11.2 $3.4B Financial Services
17 KITE REALTY GROUP TRUST KRG 0.78% $58,418 2,367 17.7 $5.5B Real Estate
18 RAMBUS INC COMMON STOCK RMBS 0.78% $58,051 624 43.5 $10.0B Technology
19 BANKUNITED INC COMMON BKU 0.78% $58,018 1,274 12.9 $3.4B Financial Services
20 FIRST FINANCIAL BANCORP FFBC 0.77% $57,255 2,039 10.4 $2.9B Financial Services
21 PORTLAND GENERAL POR 0.76% $56,515 1,053 19.4 $6.2B Utilities
22 RUSH ENTERPRISES INC RUSHA 0.75% $56,208 855 19.2 $5.1B Consumer Cyclical
23 LCI INDUSTRIES COMMON LCII 0.75% $55,706 454 15.8 $3.0B Consumer Cyclical
24 MYR GROUP INC COMMON MYRG 0.74% $55,136 193 37.8 $4.4B Industrials
25 ATMUS FILTRATION ATMU 0.74% $54,854 952 22.6 $4.7B Industrials
26 TRICO BANCSHARES COMMON TCBK 0.73% $54,486 1,133 12.8 $1.6B Financial Services
27 CHESAPEAKE UTILITIES CPK 0.72% $53,338 412 23.1 $3.1B Utilities
28 SM ENERGY CO COMMON SM 0.71% $52,697 1,721 5.4 $3.5B Energy
29 PERIMETER SOLUTIONS INC PRM 0.70% $51,871 2,027 -18.5 $3.8B Basic Materials
30 RADIAN GROUP INC COMMON RDN 0.69% $51,585 1,533 8.0 $4.6B Financial Services
31 XENON PHARMACEUTICALS Private 0.69% $51,222 901
32 LIFE TIME GROUP HOLDINGS LTH 0.68% $50,660 1,877 15.9 $6.0B Consumer Cyclical
33 KNOWLES CORP COMMON KN 0.68% $50,860 1,966 50.2 $2.2B Technology
34 CHEFS' WAREHOUSE INC/THE CHEF 0.68% $50,967 885 30.8 $2.3B Consumer Defensive
35 FIRST MERCHANTS CORP FRME 0.68% $50,983 1,293 10.0 $2.5B Financial Services
36 WATTS WATER TECHNOLOGIES WTS 0.66% $49,405 171 28.3 $9.6B Industrials
37 CLEAR SECURE INC COMMON YOU 0.63% $47,251 920 44.9 $4.9B Technology
38 CITY HOLDING CO COMMON CHCO 0.62% $46,482 381 13.4 $1.8B Financial Services
39 MUELLER INDUSTRIES INC MLI 0.62% $46,060 416 15.8 $12.3B Industrials
40 PLEXUS CORP COMMON STOCK PLXS 0.61% $45,617 220 31.4 $5.6B Technology
41 TWIST BIOSCIENCE CORP TWST 0.60% $44,586 888 -40.0 $3.1B Healthcare
42 SCHLUMBERGER LIMITED Private 0.59% $43,903 888
43 CLEARWATER ANALYTICS CWAN 0.59% $43,816 1,841 -177.0 $7.0B Technology
44 BALCHEM CORP COMMON BCPC 0.58% $43,116 253 35.6 $5.5B Basic Materials
45 PROTAGONIST THERAPEUTICS PTGX 0.58% $43,172 416 -50.7 $6.6B Healthcare
46 AMICUS THERAPEUTICS INC FOLD 0.58% $43,233 2,994 -164.6 $4.5B Healthcare
47 GRAHAM HOLDINGS COMPANY GHC 0.57% $42,437 40 15.7 $4.6B Consumer Defensive
48 GROUP 1 AUTOMOTIVE INC GPI 0.57% $42,828 130 12.6 $4.2B Consumer Cyclical
49 HEALTHEQUITY INC COMMON HQY 0.57% $42,589 503 33.9 $7.2B Healthcare
50 VISTEON CORP COMMON VC 0.56% $41,487 454 12.3 $2.5B Consumer Cyclical
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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms