Less Ads, More Data, More Tools Register for FREE

Pin to quick picksJpm Ust 0-1 Etf Regulatory News (BBIL)

Share Price Information for Jpm Ust 0-1 Etf (BBIL)

Share Price is delayed by 15 minutes
Get Live Data
120.3675    0.0575 (0.05%)
Bid:
120.34
Ask:
120.395
Spread: 0.055 (0.046%)
Market Cap: -
BBIL Live PriceLast checked at - London Stock Exchange

Intraday Jpm Ust 0-1 Etf Share Chart

Net Asset Value(s)

Today 07:00

RNS Number : 6108L
JPMorgan ETFs (Ireland) ICAV
09 July 2026
 

Fund:

JPM US REI EQUITY ESG ETF

Date:

8/7/2026

Curr:

NAV:

74.546

Tckr:

JREU

Fund:

JPM EUROPE REI EQUITY ESG ETF

Date:

8/7/2026

Curr:

NAV:

55.300

Tckr:

JREE

Fund:

JPM EUROPE REI EQUITY ESG ETF

Date:

8/7/2026

Curr:

NAV:

50.695

Tckr:

JRED

Fund:

JPM EM MARKETS REI EQ ESG ETF

Date:

8/7/2026

Curr:

NAV:

50.673

Tckr:

JREM

Fund:

JPM EM MARKETS REI EQ ESG ETF

Date:

8/7/2026

Curr:

NAV:

45.763

Tckr:

JRMD

Fund:

JPM GLOBAL REI EQUITY ESG ETF

Date:

8/7/2026

Curr:

NAV:

65.975

Tckr:

JREG

Fund:

JPM GLOBAL REI EQUITY ESG ETF

Date:

8/7/2026

Curr:

NAV:

48.990

Tckr:

JGEP

Fund:

JPM GLOBAL REI EQUITY ESG ETF

Date:

8/7/2026

Curr:

NAV:

62.132

Tckr:

JRGD

Fund:

JPM USD ULTRA SHORT INCOME ETF

Date:

8/7/2026

Curr:

NAV:

101.461

Tckr:

JPST

Fund:

JPM USD ULTRA SHORT INCOME ETF

Date:

8/7/2026

Curr:

NAV:

125.421

Tckr:

JPSA

Fund:

JPM USD EM SOVEREIGN BOND ETF

Date:

8/7/2026

Curr:

NAV:

83.860

Tckr:

JPMB

Fund:

JPM USD EM SOVEREIGN BOND ETF

Date:

8/7/2026

Curr:

NAV:

118.657

Tckr:

JMBA

Fund:

JPM USD EM SOVEREIGN BOND ETF

Date:

8/7/2026

Curr:

NAV:

62.911

Tckr:

JMBP

Fund:

JPM JAPAN REI EQ ESG UCIT ETF

Date:

8/7/2026

Curr:

NAV:

41.156

Tckr:

JREJ

Fund:

JPM JAPAN REI EQ ESG UCIT ETF

Date:

8/7/2026

Curr:

NAV:

37.916

Tckr:

JREI

Fund:

JPM AC ASIA PAC EX JPN REI EQ

Date:

8/7/2026

Curr:

NAV:

37.800

Tckr:

JREA

Fund:

JPM AC ASIA PAC EX JPN REI EQ

Date:

8/7/2026

Curr:

NAV:

34.161

Tckr:

JREX

Fund:

JPM GBP ULTRA SHORT INCOME ETF

Date:

8/7/2026

Curr:

NAV:

101.257

Tckr:

JGST

Fund:

JPM GBP ULTRA SHORT INCOME ETF

Date:

8/7/2026

Curr:

NAV:

120.959

Tckr:

JGSA

Fund:

JPM BETABUILDERS UK GILT 1 5YR

Date:

8/7/2026

Curr:

NAV:

93.593

Tckr:

JG15

Fund:

JPM BETABUILDERS US TRSY 1 3YR

Date:

8/7/2026

Curr:

NAV:

117.598

Tckr:

JU13

Fund:

JPM EUR CORP BD 1 5 YR REI ETF

Date:

8/7/2026

Curr:

NAV:

109.637

Tckr:

JR15

Fund:

JPM EUR CORPORATE BD REI ETF

Date:

8/7/2026

Curr:

NAV:

98.092

Tckr:

JEBP

Fund:

JPM USD CORPORATE BD REI ETF

Date:

8/7/2026

Curr:

NAV:

86.708

Tckr:

JRUP

Fund:

JPM USD CORPORATE BD REI ETF

Date:

8/7/2026

Curr:

NAV:

125.670

Tckr:

JRUB

Fund:

JPM CHINA A REI EQ ESG UCITS

Date:

8/7/2026

Curr:

NAV:

26.807

Tckr:

JREC

Fund:

JPM CHINA A REI EQ ESG UCITS

Date:

8/7/2026

Curr:

NAV:

24.737

Tckr:

JRDC

Fund:

JPM BETABUILDERS US EQUITY ETF

Date:

8/7/2026

Curr:

NAV:

71.084

Tckr:

BBUS

Fund:

JPM BETABUILDERS US EQUITY ETF

Date:

8/7/2026

Curr:

NAV:

64.883

Tckr:

BBUD

Fund:

JPM BETABUILDERS US TR BD ETF

Date:

8/7/2026

Curr:

NAV:

106.713

Tckr:

BBTR

Fund:

JPM BETABUILDERS US TR BD ETF

Date:

8/7/2026

Curr:

NAV:

79.370

Tckr:

BBTP

Fund:

JPM GLOBAL EQ MULTI FACTOR ETF

Date:

8/7/2026

Curr:

NAV:

51.091

Tckr:

JPGL

Fund:

JPM BETABUILDERS US TRS 0 1 YR

Date:

8/7/2026

Curr:

NAV:

120.319

Tckr:

BBIL

Fund:

JPM BETABUILDERS US TRS 0 1 YR

Date:

8/7/2026

Curr:

NAV:

13,248.105

Tckr:

MBIL

Fund:

JPM GLOBAL HIGH YIELD CORP BD

Date:

8/7/2026

Curr:

NAV:

129.736

Tckr:

JGHY

Fund:

JPM GLOBAL HIGH YIELD CORP BD

Date:

8/7/2026

Curr:

NAV:

5.069

Tckr:

JHYP

Fund:

JPM GLOBAL HIGH YIELD CORP BD

Date:

8/7/2026

Curr:

NAV:

131.680

Tckr:

JHYU

Fund:

JPM CARBON TRANSITION GLOBAL EQ (CTB) ETF

Date:

8/7/2026

Curr:

NAV:

52.746

Tckr:

JPCT

Fund:

JPM BETABUILDERS US T 0 3M

Date:

8/7/2026

Curr:

NAV:

118.599

Tckr:

BB3M

Fund:

JPM JAP EUR RE EQ ESG UCIT ETF

Date:

8/7/2026

Curr:

NAV:

44.871

Tckr:

JREZ

Fund:

JPM JAP EUR RE EQ ESG UCIT ETF

Date:

8/7/2026

Curr:

NAV:

40.064

Tckr:

JRZD

Fund:

JPM CL CHANGE SOL UCITS ETF

Date:

8/7/2026

Curr:

NAV:

45.853

Tckr:

T3MP

Fund:

JPM UK EQUITY CORE UCITS ETF

Date:

8/7/2026

Curr:

NAV:

41.519

Tckr:

JUKC

Fund:

JPM UK EQUITY CORE UCITS ETF

Date:

8/7/2026

Curr:

NAV:

36.765

Tckr:

JUKE

Fund:

JPM BETAB USS CAP EQ UCITS ETF

Date:

8/7/2026

Curr:

NAV:

41.005

Tckr:

BBSC

Fund:

JPM BETAB USS CAP EQ UCITS ETF

Date:

8/7/2026

Curr:

NAV:

39.398

Tckr:

BBSD

Fund:

JPM US REI EQ SRI PRALGD UC ET

Date:

8/7/2026

Curr:

NAV:

41.424

Tckr:

JSEU

Fund:

JPM US REI EQ SRI PRALGD UC ET

Date:

8/7/2026

Curr:

NAV:

40.707

Tckr:

JSUD

Fund:

JPM GBL RE EQ SRI PR ALG UT ET

Date:

8/7/2026

Curr:

NAV:

40.528

Tckr:

JSEG

Fund:

JPM GBL RE EQ SRI PR ALG UT ET

Date:

8/7/2026

Curr:

NAV:

39.225

Tckr:

JSGD

Fund:

JPM ETF GLOBAL AGG ACTIVE BOND

Date:

8/7/2026

Curr:

NAV:

9.543

Tckr:

JAGP

Fund:

JPM ETF GLOBAL AGG ACTIVE BOND

Date:

8/7/2026

Curr:

NAV:

11.548

Tckr:

JAGA

Fund:

JPM ETF GLOBAL AGG ACTIVE BOND

Date:

8/7/2026

Curr:

NAV:

10.234

Tckr:

JAGG

Fund:

JPM GL EQ PR INC ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

31.128

Tckr:

JEGA

Fund:

JPM GL EQ PR INC ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

25.810

Tckr:

JEPG

Fund:

JPM US GROWTH EQ ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

38.211

Tckr:

JGRO

Fund:

JPM US GROWTH EQ ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

38.049

Tckr:

JGUD

Fund:

JPM US VALUE EQ ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

37.138

Tckr:

JAVA

Fund:

JPM US VALUE EQ ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

36.285

Tckr:

JAVD

Fund:

JPM US EQUITY ACTIVE UCITS ETF

Date:

8/7/2026

Curr:

NAV:

37.064

Tckr:

JUSE

Fund:

JPM US EQUITY ACTIVE UCITS ETF

Date:

8/7/2026

Curr:

NAV:

36.688

Tckr:

JUSD

Fund:

JPM US EQ PRE INC AC UCITS ETF

Date:

8/7/2026

Curr:

NAV:

27.559

Tckr:

JEIA

Fund:

JPM US EQ PRE INC AC UCITS ETF

Date:

8/7/2026

Curr:

NAV:

24.484

Tckr:

JEPI

Fund:

JPM NAS EQ PR INC AC UCITS ETF

Date:

8/7/2026

Curr:

NAV:

32.211

Tckr:

JEQA

Fund:

JPM NAS EQ PR INC AC UCITS ETF

Date:

8/7/2026

Curr:

NAV:

27.151

Tckr:

JEPQ

Fund:

JPM USD H YLD B ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

9.603

Tckr:

JPEY

Fund:

JPM USD H YLD B ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

8.806

Tckr:

JPYG

Fund:

JPM USD H YLD B ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

11.083

Tckr:

JPHY

Fund:

JPM USD H YLD B ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

10.396

Tckr:

JPYU

Fund:

JPM EUR R EQ SRI PAR ALG UC ET

Date:

8/7/2026

Curr:

NAV:

31.773

Tckr:

JSEE

Fund:

JPM EUR R EQ SRI PAR ALG UC ET

Date:

8/7/2026

Curr:

NAV:

30.888

Tckr:

JSED

Fund:

JPM ETF ALL COUNTRY REI AC ETF

Date:

8/7/2026

Curr:

NAV:

32.249

Tckr:

JRAW

Fund:

JPM ETF ALL COUNTRY REI AC ETF

Date:

8/7/2026

Curr:

NAV:

31.870

Tckr:

JRWU

Fund:

JPM ETF EUR HG YD BD UCITS ETF

Date:

8/7/2026

Curr:

NAV:

10.678

Tckr:

JEHY

Fund:

JPM ETF EUR HG YD BD UCITS ETF

Date:

8/7/2026

Curr:

NAV:

10.186

Tckr:

JEYE

Fund:

JPM ETF EUR HG YD BD UCITS ETF

Date:

8/7/2026

Curr:

NAV:

9.078

Tckr:

JEYG

Fund:

JPM EUR AGG BOND ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

10.169

Tckr:

JEAA

Fund:

JPM EUR AGG BOND ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

9.909

Tckr:

JEGG

Fund:

JPM EUR GOV BOND ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

10.176

Tckr:

JEUG

Fund:

JPM EUR GOV BOND ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

9.997

Tckr:

JEEG

Fund:

JPM GM REI EQ SR PRS AL ACT ET

Date:

8/7/2026

Curr:

NAV:

40.806

Tckr:

JSEM

Fund:

JPM GM REI EQ SR PRS AL ACT ET

Date:

8/7/2026

Curr:

NAV:

40.065

Tckr:

JSMD

Fund:

JPM EM LCY BOND ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

11.622

Tckr:

JLOC

Fund:

JPM EM LCY BOND ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

11.127

Tckr:

JLOD

Fund:

JPM GLB IG CORP BD ACT UCI ETF

Date:

8/7/2026

Curr:

NAV:

10.530

Tckr:

JIGG

Fund:

JPM GLB IG CORP BD ACT UCI ETF

Date:

8/7/2026

Curr:

NAV:

10.260

Tckr:

JIGD

Fund:

JPM GLB IG CORP BD ACT UCI ETF

Date:

8/7/2026

Curr:

NAV:

7.904

Tckr:

JGIG

Fund:

JPM GLB IG CORP BD ACT UCI ETF

Date:

8/7/2026

Curr:

NAV:

10.574

Tckr:

JUIG

Fund:

JPM GLB GV CRP BD ACT UCTS ETF

Date:

8/7/2026

Curr:

NAV:

9.930

Tckr:

JGOV

Fund:

JPM GLB GV CRP BD ACT UCTS ETF

Date:

8/7/2026

Curr:

NAV:

9.800

Tckr:

JGUV

Fund:

JPM GLB GV CRP BD ACT UCTS ETF

Date:

8/7/2026

Curr:

NAV:

7.539

Tckr:

JGGV

Fund:

JPM GLB GV CRP BD ACT UCTS ETF

Date:

8/7/2026

Curr:

NAV:

7.455

Tckr:

JGVG

Fund:

JPM GLB GV CRP BD ACT UCTS ETF

Date:

8/7/2026

Curr:

NAV:

10.250

Tckr:

JGAV

Fund:

JPM INDIA REI EQ ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

22.218

Tckr:

JRIN

Fund:

JPM INDIA REI EQ ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

22.090

Tckr:

JRID

Fund:

JPM GLB IG CORP BD ACT UCI ETF

Date:

8/7/2026

Curr:

NAV:

7.509

Tckr:

JGGG

Fund:

JPM CARBON TRANSITION GLOBAL EQ (CTB) ETF

Date:

8/7/2026

Curr:

NAV:

27.749

Tckr:

JPCD

Fund:

JPM CL CHANGE SOL UCITS ETF

Date:

8/7/2026

Curr:

NAV:

30.886

Tckr:

T3MD

Fund:

JPM EUR CORP BD 1 5 YR REI ETF

Date:

8/7/2026

Curr:

NAV:

100.406

Tckr:

JD15

Fund:

JPM EUR USH INC ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

100.187

Tckr:

JESD

Fund:

JPM GLOBAL EQ MULTI FACTOR ETF

Date:

8/7/2026

Curr:

NAV:

28.563

Tckr:

JGLP

Fund:

JPM NASDAQ HELO ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

26.044

Tckr:

HEQQ

Fund:

JPM NASDAQ HELO ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

26.032

Tckr:

HEQD

Fund:

JPM US HELO ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

25.721

Tckr:

HELO

Fund:

JPM US HELO ACT UCITS ETF

Date:

8/7/2026

Curr:

NAV:

25.662

Tckr:

HEDL

Fund:

JPM US REI EQUITY ESG ETF

Date:

8/7/2026

Curr:

NAV:

20.297

Tckr:

JUHG

Fund:

JPM EU EQ PREM UCITS ETF

Date:

8/7/2026

Curr:

NAV:

26.393

Tckr:

JEEA

Fund:

JPM EU EQ PREM UCITS ETF

Date:

8/7/2026

Curr:

NAV:

25.553

Tckr:

JEPE

Fund:

JPM US REI EQ SRI PR ALG ACT U

Date:

8/7/2026

Curr:

NAV:

20.647

Tckr:

JSUG

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.
 
END
 
 
NAVUPUAUMUPQPWR
Date   Source Headline
1st May 20267:00 amRNSNet Asset Value(s)
30th Apr 20262:00 pmRNSAnnual Financial Report
30th Apr 20267:00 amRNSNet Asset Value(s)
29th Apr 20261:00 pmRNSReplacement Liquidation Announcement
29th Apr 20267:00 amRNSNet Asset Value(s)
28th Apr 20267:00 amRNSNet Asset Value(s)
27th Apr 20267:00 amRNSNet Asset Value(s)
24th Apr 20267:00 amRNSNet Asset Value(s)
23rd Apr 20267:00 amRNSNet Asset Value(s)
22nd Apr 20267:00 amRNSNet Asset Value(s)
21st Apr 20267:00 amRNSNet Asset Value(s)
20th Apr 20267:00 amRNSNet Asset Value(s)
17th Apr 20261:00 pmRNSLiquidation Announcement
17th Apr 20267:00 amRNSNet Asset Value(s)
16th Apr 20267:00 amRNSNet Asset Value(s)
15th Apr 20267:00 amRNSNet Asset Value(s)
14th Apr 20267:00 amRNSNet Asset Value(s)
13th Apr 20267:00 amRNSNet Asset Value(s)
10th Apr 20267:00 amRNSNet Asset Value(s)
9th Apr 20267:00 amRNSNet Asset Value(s)
7th Apr 20267:00 amRNSNet Asset Value(s)
2nd Apr 20267:00 amRNSNet Asset Value(s)
1st Apr 20267:00 amRNSNet Asset Value(s)
31st Mar 20267:00 amRNSNet Asset Value(s)
30th Mar 20267:00 amRNSNet Asset Value(s)
27th Mar 20267:00 amRNSNet Asset Value(s)
26th Mar 20267:00 amRNSNet Asset Value(s)
25th Mar 20267:00 amRNSNet Asset Value(s)
24th Mar 20267:00 amRNSNet Asset Value(s)
23rd Mar 20267:00 amRNSNet Asset Value(s)
20th Mar 20267:00 amRNSNet Asset Value(s)
18th Mar 20267:00 amRNSNet Asset Value(s)
17th Mar 20267:00 amRNSNet Asset Value(s)
16th Mar 20267:00 amRNSNet Asset Value(s)
13th Mar 20267:00 amRNSNet Asset Value(s)
12th Mar 20267:00 amRNSNet Asset Value(s)
11th Mar 20267:00 amRNSNet Asset Value(s)
10th Mar 20267:00 amRNSNet Asset Value(s)
9th Mar 20267:00 amRNSNet Asset Value(s)
6th Mar 20267:00 amRNSNet Asset Value(s)
5th Mar 20264:00 pmRNSDividend Declaration
5th Mar 20267:00 amRNSNet Asset Value(s)
4th Mar 20267:00 amRNSNet Asset Value(s)
3rd Mar 20267:00 amRNSNet Asset Value(s)
2nd Mar 20267:00 amRNSNet Asset Value(s)
27th Feb 20267:00 amRNSNet Asset Value(s)
26th Feb 20267:00 amRNSNet Asset Value(s)
25th Feb 20267:00 amRNSNet Asset Value(s)
24th Feb 20267:00 amRNSNet Asset Value(s)
23rd Feb 20267:00 amRNSNet Asset Value(s)

Due to London Stock Exchange licensing terms, we stipulate that you must be a private investor. We apologise for the inconvenience.

To access our Live RNS you must confirm you are a private investor by using the button below.