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JPMorgan Active Growth ETF Holdings

JGRO was created on 2022-08-08 by JPMorgan. The fund's investment portfolio concentrates primarily on large cap equity. The ETF currently has 9684.78m in AUM and 120 holdings. JGRO is actively managed to invest in US large-cap companies perceived to have strong earnings growth potential.

Last Updated: 6 days, 17 hours ago

Last reported holdings - JPMorgan Active Growth ETF

Ticker Name Est. Value
NVDA
NVIDIA CORP COMMON STOCK $1.2 billion
AAPL
APPLE INC COMMON STOCK $894.0 million
GOOG
ALPHABET INC-CL C - $797.9 million
MSFT
MICROSOFT CORP COMMON $489.0 million
AVGO
BROADCOM INC COMMON $483.0 million
AMZN
AMAZON.COM INC COMMON $396.4 million
TSLA
TESLA INC COMMON STOCK $292.6 million
META
META PLATFORMS INC $289.7 million
AMD
ADVANCED MICRO DEVICES $206.1 million
JIMXX
JPMORGAN PRIME MONEY $176.6 million
LLY
ELI LILLY AND COMPANY $165.2 million
GS
GOLDMAN SACHS GROUP $163.7 million
MA
MASTERCARD INC COMMON $140.4 million
TSM
TAIWAN SEMICONDUCTOR $131.8 million
JNJ
JOHNSON & COMMON $130.0 million
CIEN
CIENA CORP COMMON STOCK $124.3 million
WMT
WALMART INC COMMON STOCK $120.4 million
GEV
GE VERNOVA INC COMMON $116.4 million
PWR
QUANTA SERVICES INC $115.7 million
GILD
GILEAD SCIENCES INC $100.0 million
NFLX
NETFLIX INC COMMON STOCK $97.5 million
PM
PHILIP MORRIS $96.9 million
LRCX
LAM RESEARCH CORP COMMON $83.9 million
MRK
MERCK & CO INC COMMON $83.6 million
NTRA
NATERA INC COMMON STOCK $83.3 million
RTX
RTX CORP $83.0 million
INSM
INSMED INC COMMON STOCK $77.0 million
MMM
3M CO COMMON STOCK USD $76.0 million
TXN
TEXAS INSTRUMENTS INC $74.7 million
WDC
WESTERN DIGITAL CORP $73.0 million
PANW
PALO ALTO NETWORKS INC $66.3 million
KO
THE COCA-COLA COMPANY $64.3 million
GE
GENERAL ELECTRIC CO $64.3 million
ON
ON SEMICONDUCTOR CORP $60.0 million
XOM
EXXON MOBIL $59.9 million
DE
DEERE & CO COMMON STOCK $59.1 million
FIX
COMFORT SYSTEMS USA INC $58.6 million
BKNG
BOOKING HOLDINGS INC $56.8 million
TT
TRANE TECHNOLOGIES PLC $56.4 million
DOCN
DIGITALOCEAN HOLDINGS $52.7 million
TJX
TJX COS INC/THE COMMON $52.4 million
CRWD
CROWDSTRIKE HOLDINGS INC $51.2 million
TWLO
TWILIO INC COMMON STOCK $50.5 million
NBIX
NEUROCRINE BIOSCIENCES $50.0 million
ALNY
ALNYLAM PHARMACEUTICALS $49.0 million
BRK.B
BERKSHIRE HATHAWAY INC $47.2 million
SCHW
CHARLES SCHWAB CORP/THE $46.5 million
MNST
MONSTER BEVERAGE CORP $45.1 million
ITT
ITT INC COMMON STOCK USD $43.4 million
MCD
MCDONALD'S CORP COMMON $42.6 million
AME
AMETEK INC COMMON STOCK $41.9 million
WMB
WILLIAMS COS INC/THE $41.6 million
AZO
AUTOZONE INC COMMON $39.3 million
TTWO
TAKE-TWO INTERACTIVE $39.2 million
TER
TERADYNE INC COMMON $39.1 million
HWM
HOWMET AEROSPACE INC $39.1 million
APH
AMPHENOL CORP COMMON $38.8 million
DASH
DOORDASH INC COMMON $38.4 million
CASY
CASEY'S GENERAL STORES $38.2 million
ORCL
ORACLE CORP COMMON STOCK $38.2 million
MCK
MCKESSON CORP COMMON $37.7 million
APP
APPLOVIN CORP COMMON $37.2 million
AMGN
AMGEN INC COMMON STOCK $36.3 million
BWXT
BWX TECHNOLOGIES INC $35.9 million
LITE
LUMENTUM HOLDINGS INC $35.3 million
HLT
HILTON WORLDWIDE $34.5 million
ADI
ANALOG DEVICES INC $33.5 million
FTI
TECHNIPFMC PLC COMMON $33.3 million
UNP
UNION PACIFIC CORP $32.8 million
IBKR
INTERACTIVE BROKERS $32.1 million
EOG
EOG RESOURCES INC COMMON $31.1 million
SNOW
SNOWFLAKE INC COMMON $30.8 million
ULTA
ULTA BEAUTY INC COMMON $30.7 million
ISRG
INTUITIVE SURGICAL INC $30.1 million
COR
CENCORA INC COMMON STOCK $29.8 million
CLS.TO
CELESTICA INC COMMON $29.5 million
IBM
INTERNATIONAL BUSINESS $29.2 million
FCX
FREEPORT-MCMORAN INC $29.0 million
TDY
TELEDYNE TECHNOLOGIES $27.8 million
INTU
INTUIT INC COMMON STOCK $27.4 million
FN
FABRINET COMMON STOCK $26.2 million
TMO
THERMO FISHER SCIENTIFIC $25.2 million
PFGC
PERFORMANCE FOOD GROUP $25.1 million
CBRE
CBRE GROUP INC COMMON $24.4 million
RKLB
ROCKET LAB CORP COMMON $24.2 million
CVNA
CARVANA CO COMMON STOCK $23.9 million
PG
THE PROCTER & GAMBLE $22.9 million
GRMN
GARMIN LTD COMMON STOCK $22.6 million
HOOD
ROBINHOOD MARKETS INC $22.5 million
ABT
ABBOTT LABORATORIES $22.2 million
BMY
BRISTOL-MYERS SQUIBB CO $21.4 million
RCL
ROYAL CARIBBEAN CRUISES $20.1 million
PGR
PROGRESSIVE CORP/THE $19.8 million
LYV
LIVE NATION $18.7 million
ICE
INTERCONTINENTAL $18.1 million
IQV
IQVIA HOLDINGS INC $17.8 million
VRT
VERTIV HOLDINGS CO $17.3 million
BABA
ALIBABA GROUP HOLDING $16.2 million
NUVL
NUVALENT INC COMMON $15.4 million
NET
CLOUDFLARE INC COMMON $14.7 million
GLW
CORNING INC COMMON STOCK $14.6 million
RKT
ROCKET COS INC COMMON $14.2 million
SNDK
SANDISK CORP/DE COMMON $12.8 million
CAT
CATERPILLAR INC COMMON $12.1 million
MTD
METTLER-TOLEDO $11.5 million
SGI
SOMNIGROUP INTERNATIONAL $10.1 million
SHOP.NE
SHOPIFY INC COMMON STOCK $9.1 million
DHI
DR HORTON INC COMMON $8.4 million
MANE
VERADERMICS INC COMMON $7.6 million
DG
DOLLAR GENERAL CORP $7.0 million
VST
VISTRA CORP COMMON STOCK $5.7 million
BE
BLOOM ENERGY CORP COMMON $4.9 million
PLTR
PALANTIR TECHNOLOGIES $4.6 million
CMG
CHIPOTLE MEXICAN GRILL $4.4 million
LNG
CHENIERE ENERGY INC $3.8 million
QURE
UNIQURE NV COMMON STOCK $2.9 million
V
VISA INC COMMON STOCK $2.9 million
HIMS
HIMS & HERS HEALTH INC $1.9 million
W
WAYFAIR INC- CLASS A $420327
RBLX
ROBLOX CORP COMMON STOCK $326717
None
CASH $282574

Recent Changes - JPMorgan Active Growth ETF

Date Ticker Name Change (Shares)