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JIGBJPMorgan BetaBuilders USD Investment Grade Corporate Bond ETF

Get income#706 of 1640 for Get income

Seeks investment results that closely correspond to the performance of the Bloomberg U.S. Corporate Bond Index.

JPMorgan · Since 2018 (7 years)

Annual Cost

0.09%

#327 out of 5,332 ETFs

Fund Size

$63M

#3147 out of 5,332 ETFs

Dividend Yield

3.25%

Track Record

7 years

#1890 out of 5,332 ETFs

Performance

1 Year

+5.6%

3 Years

+4.6%

5 Years

+0.5%

What's inside

Asset class
Strategy
option income

Asset allocation

Bonds
19.0%

Top holdings

NatWest Group plc 6.12%1.3%
HCA Inc. 5%1.0%
Bank of America Corporation 3%1.0%
Verizon Communications Inc. 3.4%0.8%
Citigroup Inc. 3.35%0.8%
Mitsubishi UFJ Financial Group, Inc. 3.76%0.8%
NatWest Group plc 5.12%0.7%
General Motors Company 6.12%0.7%
Shire Acquisitions Investments Ireland DAC 3.2%0.7%
Air Lease Corporation 3%0.6%

Risk profile

Volatility (1Y)

4.4%

Moderate

Max drawdown

-22.5%

Worst peak-to-trough loss

Sharpe (3Y)

0.19

Below average

Sortino (3Y)

0.26

Moderate downside risk

Similar ETFs

Our take

Structural notes on how this fund behaves. Read our guide on the 6 warning signs.

Covered call
Warning

Covered call ETF — yield ≠ total return

The high distribution yield is not free income — it comes from selling upside via call options. Research finds these strategies systematically underperform their underlying index over full cycles, typically by 100–300 basis points per year depending on the option-overlay design. The monthly distributions make the shortfall hard to see in return summaries.

Source: Israelov & Ndong, 'A Devil's Bargain: When Generating Income Undermines Investment Returns' (NDVR, 2023)

Why we flagged this: strategy=option_income + option_income_strategy

Educational analysis of structural product characteristics. Not investment advice. Always read the fund prospectus and consult a qualified advisor before investing. More

Data updated on 2026-05-05