Titelia

Portefeuille de JPMorgan Active Small Cap Value ETF

J.P. Morgan Exchange-Traded Fund Trust · 108 positions déclarées · au 31 mars 2026

Document d'origine · Actif net 24,1 M $ · Dix premières lignes : 15.9 % de la poche actions

Répartition par secteur

  • Non attribué 100,0 %

Classification Titelia, société par société. La part non attribuée reste affichée.

Répartition par devise

  • USD 100,0 %

Devise de cotation de chaque ligne, telle que déclarée.

Répartition par pays

  • US 99,3 %
  • IE 0,7 %

Parts calculées sur la poche actions.

PaysLignesValeurPart
US10723,7 M $99,28 %
IE1172,7 k $0,72 %

Positions

SociétéTitresValeurPoids
John Wiley & Sons Inc 11 379433,5 k $1,80 %
MediaAlpha Inc 43 312402,8 k $1,67 %
Ensign Group Inc/The 1 999402,8 k $1,67 %
Old National Bancorp/IN 18 137400,8 k $1,66 %
Magnolia Oil & Gas Corp 12 239386,4 k $1,60 %
Selective Insurance Group Inc 4 966374,4 k $1,55 %
Radian Group Inc 10 741355,3 k $1,47 %
ScanSource Inc 9 708352,4 k $1,46 %
LivaNova PLC 5 479348,2 k $1,44 %
Cars.com Inc 42 660346,4 k $1,44 %
HB Fuller Co 5 541341,8 k $1,42 %
ONE Gas Inc 3 941339,4 k $1,41 %
Stagwell Inc 53 565336,9 k $1,40 %
Sanmina Corp 2 564332,4 k $1,38 %
Matador Resources Co 5 248331,6 k $1,37 %
Donnelley Financial Solutions Inc 7 014330,6 k $1,37 %
QCR Holdings Inc 3 804325,1 k $1,35 %
Insight Enterprises Inc 4 835324 k $1,34 %
Provident Financial Services Inc 15 188321,4 k $1,33 %
Safety Insurance Group Inc 4 422321,2 k $1,33 %
WesBanco Inc 8 624297,4 k $1,23 %
SOUTHSTATE BANK CORP 3 162292,5 k $1,21 %
Ralliant Corp 6 706278,9 k $1,16 %
Kodiak Gas Services Inc 4 765277,9 k $1,15 %
Kite Realty Group Trust 11 301277,4 k $1,15 %
WSFS Financial Corp 4 227276,7 k $1,15 %
Columbia Banking System Inc 10 036275,3 k $1,14 %
Graham Holdings Co 258272,8 k $1,13 %
McGrath RentCorp 2 451270,3 k $1,12 %
Encompass Health Corp 2 780268,9 k $1,11 %
CNX Resources Corp 6 877265,1 k $1,10 %
Ingram Micro Holding Corp 11 302263,4 k $1,09 %
Simmons First National Corp 13 496262,5 k $1,09 %
Unitil Corp 4 979260,1 k $1,08 %
Enpro Inc 1 035259,4 k $1,08 %
Portland General Electric Co 4 876257,3 k $1,07 %
Sabra Health Care REIT Inc 13 246254,7 k $1,06 %
Camden National Corp 5 358254,2 k $1,05 %
Chesapeake Utilities Corp 2 008253,8 k $1,05 %
Patrick Industries Inc 2 266251,7 k $1,04 %
Avient Corp 6 910250,8 k $1,04 %
Independent Bank Corp/MI 7 468248,7 k $1,03 %
Group 1 Automotive Inc 739244,3 k $1,01 %
Chord Energy Corp 1 710243,1 k $1,01 %
Weatherford International PLC 2 503236,7 k $0,98 %
AZZ Inc 1 887236,1 k $0,98 %
Essential Properties Realty Trust Inc 7 712234,1 k $0,97 %
M/I Homes Inc 1 910233,9 k $0,97 %
First Merchants Corp 6 009232,7 k $0,96 %
Mueller Industries Inc 2 092231,8 k $0,96 %
First Commonwealth Financial Corp 12 610221,7 k $0,92 %
Concentra Group Holdings Parent Inc 10 321221,4 k $0,92 %
Quaker Chemical Corp 1 757218,3 k $0,90 %
Myers Industries Inc 10 104214 k $0,89 %
American States Water Co 2 823213,5 k $0,88 %
Hayward Holdings Inc 15 564208,2 k $0,86 %
Applied Industrial Technologies Inc 782207,5 k $0,86 %
IDACORP Inc 1 448207 k $0,86 %
TriCo Bancshares 4 285203,7 k $0,84 %
BancFirst Corp 1 867202,6 k $0,84 %
Apple Hospitality REIT Inc 17 474201,1 k $0,83 %
UFP Industries Inc 2 167199,6 k $0,83 %
Independence Realty Trust Inc 13 386199,3 k $0,83 %
Easterly Government Properties Inc 9 037193,7 k $0,80 %
Associated Banc-Corp 7 378190,8 k $0,79 %
Marten Transport Ltd 14 354188,5 k $0,78 %
ICU Medical Inc 1 435185,3 k $0,77 %
Prestige Consumer Healthcare Inc 3 087183 k $0,76 %
Urban Outfitters Inc 2 875182,1 k $0,75 %
Sila Realty Trust Inc 7 659181,4 k $0,75 %
Innospec Inc 2 481181,2 k $0,75 %
Plexus Corp 887179,7 k $0,74 %
Highwoods Properties Inc 8 361179 k $0,74 %
NBT Bancorp Inc 4 070173,3 k $0,72 %
Dole PLC 12 086172,7 k $0,72 %
Southwest Gas Holdings Inc 1 978171,9 k $0,71 %
PennyMac Financial Services Inc 1 914167,3 k $0,69 %
Toro Co/The 1 787167 k $0,69 %
City Holding Co 1 387165,8 k $0,69 %
Virtus Investment Partners Inc 1 220163,9 k $0,68 %
Inmode Ltd 11 720160,3 k $0,66 %
Reynolds Consumer Products Inc 7 496158,8 k $0,66 %
Cadre Holdings Inc 5 041154,7 k $0,64 %
Interparfums Inc 1 667151,4 k $0,63 %
Kadant Inc 516150,9 k $0,63 %
Moog Inc 500146,3 k $0,61 %
Brinker International Inc 1 020145,6 k $0,60 %
YETI Holdings Inc 3 928143,7 k $0,60 %
Tanger Inc 4 028136,9 k $0,57 %
Centerspace 2 228128 k $0,53 %
Korn Ferry 2 018127 k $0,53 %
Angi Inc 17 526120,1 k $0,50 %
Primo Brands Corp 6 363119,8 k $0,50 %
Atmus Filtration Technologies Inc 2 066117,3 k $0,49 %
UniFirst Corp/MA 459115,5 k $0,48 %
Meritage Homes Corp 1 813112,1 k $0,46 %
La-Z-Boy Inc 3 375108,5 k $0,45 %
Synaptics Inc 1 521106,5 k $0,44 %
Hillman Solutions Corp 12 787106,4 k $0,44 %
Broadstone Net Lease Inc 5 598102,3 k $0,42 %
Alliance Laundry Holdings Inc 4 47992,9 k $0,39 %
Dorman Products Inc 88792,6 k $0,38 %
American Healthcare REIT Inc 1 94891,9 k $0,38 %
Old Second Bancorp Inc 4 18984,5 k $0,35 %
Petco Health & Wellness Co Inc 29 35481,6 k $0,34 %
Bruker Corp 2 07274,8 k $0,31 %
Hawkins Inc 46972 k $0,30 %
Thermon Group Holdings Inc 1 02751,8 k $0,21 %