JPMorgan ETFs IE ICAV - Global REI Equity Active UCITS

JPMorgan ETFs IE ICAV - Global REI Equity Active UCITS

JRGD.L
JPMorgan ETFs IE ICAV - Global REI Equity Active UCITSGB flagLondon Stock Exchange
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Capital Structure

FRC

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Working Capital

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Growth Rates

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Quarterly Revenue

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Quarterly Earnings Per Share

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Quarterly Dividends Per Share

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Company Description

APIChatGPT
Sector
Financial Services
Industry
Asset Management
Address
200 Capital Dock, 79 Sir John Rogerson's Quay Dublin Ireland D02 RK57
IPO Date
Sep 15, 2021
Business
JPMorgan ETFs IE ICAV - Global REI Equity Active UCITS (JRGD.L) is a Dublin-based UCITS fund managed by JPMorgan Asset Management, offering actively managed global real estate income exposure within the European Union framework. It focuses on equity securities of global real estate investment entities, aiming for current income and capital appreciation through active selection and risk-aware strategies. Main Products and Services: actively managed UCITS fund; investment management and advisory services; fund administration and risk management; fundamental and quantitative research for real estate securities; dividend optimization and income strategies; liquidity management; fund distribution and client servicing across Europe; collateral optimization and compliance monitoring; separate account and mandate capabilities through affiliated platforms. Latest Major Company Changes: formation of the UCITS fund structure under JPMorgan Asset Management; updates to fund objective and benchmarks; potential partnerships or distribution channel enhancements within European markets; ongoing enhancements to ESG and sustainability integration; regulatory changes or fund reorganizations in response to EU fund governance requirements. Additional Context: Industry and business segments include investment management and asset servicing; target markets comprise institutional and professional investors across Europe seeking real estate equity exposure; geographic operations span Ireland (fund domicile) and multiple European distribution channels; no subsidiary or parent company changes disclosed beyond ongoing JPMorgan Asset Management platform activities; product suite centers on UCITS fund products and related investment services.