JPMorgan Global Bond Opportunities ETF logo

JPMorgan Global Bond Opportunities ETF (JPGB)

Delisted
11 Sep 2020
BATS BATS
$
50. 62
-0.07
-0.148%
$
155.97M Market Cap
0.49% Div Yield
21,066 Volume
$ 50.69
Previous Close
Day Range
50.56 50.76
Year Range
43.93 52.12
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Summary

This company has been delisted from its primary exchange and is no longer publicly traded.
As a result, real-time price data, dividend updates, and corporate disclosures may no longer be available.

JPGB Chart

JPMorgan Global Bond Opportunities ETF (JPGB) FAQ

What does "Delisted" mean?

JPMorgan Global Bond Opportunities ETF has been removed from the exchange and is no longer publicly traded.

What was the last recorded dividend?

The last recorded dividend was paid on Jul 01, 2024 in the amount of $0.18 per share.

How long did the company pay dividends?

The company did not have a dividend payment history.

Were there any stock splits?

No stock splits were recorded prior to delisting.

What was the last known trading price?

The stock last traded at $50.62 on Sep 11, 2020 before being delisted.

JPMorgan Global Bond Opportunities ETF Profile

BATS Exchange
United States Country

Overview

The described entity is an investment fund that aims to achieve total return for its investors. The investment strategy focuses on allocating a significant portion of its assets into bonds, with a commitment to diversify internationally. It operates with the flexibility to invest in a variety of markets, including both developed and emerging economies. The fund places importance on investment grade securities while also engaging in currency-related transactions to enhance its investment approach. This strategy showcases a mix of risk management and growth opportunities aimed at generating returns.

Products and Services

  • Bond Investments

    The fund commits to investing a minimum of 80% of its assets into bonds, providing a stable investment foundation. This focus on bonds spans a range of types, including corporate, government, and other securities, to ensure diversity within its bond portfolio.

  • International Investments

    A minimum of 40% of the fund’s assets are allocated to investments outside of the United States. This international exposure is aimed at capturing growth in various global markets, which includes both developed and emerging economies, thereby offering a balanced mix of risk and potential returns.

  • Investment Grade Securities

    At least a quarter of the fund's assets are invested in securities that are rated investment grade or its unrated equivalent at the time of purchase. This ensures a baseline of quality and stability in the investments chosen, seeking to protect against undue risk.

  • Currency-Related Transactions

    The fund employs currency-related transactions, including the use of currency derivatives, as a part of its primary investment strategy. This approach allows the fund to hedge against currency risk or to take advantage of currency movements to enhance returns.

Contact Information

Address: -
Phone: 844-457-6383