0001752724-24-166029.txt : 20240726 0001752724-24-166029.hdr.sgml : 20240726 20240726140358 ACCESSION NUMBER: 0001752724-24-166029 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240531 FILED AS OF DATE: 20240726 DATE AS OF CHANGE: 20240726 PERIOD START: 20250228 FILER: COMPANY DATA: COMPANY CONFORMED NAME: J.P. Morgan Exchange-Traded Fund Trust CENTRAL INDEX KEY: 0001485894 ORGANIZATION NAME: IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22903 FILM NUMBER: 241145494 BUSINESS ADDRESS: STREET 1: 277 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10172 BUSINESS PHONE: (800) 480-4111 MAIL ADDRESS: STREET 1: 277 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10172 0001485894 S000063265 JPMorgan Core Plus Bond ETF C000205212 JPMorgan Core Plus Bond ETF JCPB NPORT-P 1 primary_doc.xml NPORT-P false 0001485894 XXXXXXXX S000063265 C000205212 J.P. 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N/A Albertsons Cos., Inc. 013092AB7 530000.00000000 PA USD 520823.26000000 0.016915610744 Long DBT CORP US Y 2 2028-02-15 Fixed 5.87500000 N N N N N N Sunoco LP 54930001NJU8E40NQ561 Sunoco LP 86765KAC3 480000.00000000 PA USD 491416.32000000 0.015960514479 Long DBT CORP US Y 2 2032-05-01 Fixed 7.25000000 N N N N N N Ball Corp. 0BGI85ALH27ZJP15DY16 Ball Corp. 058498AX4 480000.00000000 PA USD 402925.67000000 0.013086461984 Long DBT CORP US N 2 2031-09-15 Fixed 3.12500000 N N N N N N Barclays plc 213800LBQA1Y9L22JB70 Barclays plc 06738ECE3 1335000.00000000 PA USD 1467916.48000000 0.047675873349 Long DBT CORP GB N 2 2033-11-02 Variable 7.43700000 N N N N N N HSBC Holdings plc MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280CY3 250000.00000000 PA USD 208188.67000000 0.006761676702 Long DBT CORP GB N 2 2032-11-22 Variable 2.87100000 N N N N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 61746BDZ6 330000.00000000 PA USD 321887.48000000 0.010454454962 Long DBT CORP US N 2 2026-01-27 Fixed 3.87500000 N N N N N N Octane Receivables Trust N/A Octane Receivables Trust, Series 2024-1A, Class D 67571FAE4 3000000.00000000 PA USD 2999554.20000000 0.097421323415 Long ABS-O CORP US Y 2 2030-10-21 Fixed 6.43000000 N N N N N N Baytex Energy Corp. 549300R5LTV2H7I1I079 Baytex Energy Corp. 07317QAJ4 1014000.00000000 PA USD 1057421.92000000 0.034343584408 Long DBT CORP CA Y 2 2030-04-30 Fixed 8.50000000 N N N N N N GNMA 549300M8ZYFG0OCMTT87 GNMA II 3617Y3BB9 6324125.04000000 PA USD 6521811.50000000 0.211819312148 Long ABS-MBS USGA US N 2 2072-02-20 Variable 6.55800120 N N N N N N ACC Trust N/A ACC Trust, Series 2022-1, Class C 00091HAC6 1000000.00000000 PA USD 571855.00000000 0.018573050255 Long ABS-O CORP US Y 2 2025-10-20 Fixed 3.24000000 N N N N N N Bombardier, Inc. W7L3VLU8EHQY34Z36697 Bombardier, Inc. 097751BX8 980000.00000000 PA USD 964024.92000000 0.031310180530 Long DBT CORP CA Y 2 2028-02-15 Fixed 6.00000000 N N N N N N American Homes 4 Rent Trust N/A American Homes 4 Rent Trust, Series 2015-SFR1, Class F 02666AAF5 400000.00000000 PA USD 397019.28000000 0.012894630701 Long ABS-O CORP US Y 2 2052-04-17 Fixed 5.88500000 N N N N N N GNMA 549300M8ZYFG0OCMTT87 GNMA, Series 2010-H24, Class FA 38375BGP1 30255.08000000 PA USD 30160.50000000 0.000979570839 Long ABS-MBS USGA US N 2 2060-10-20 Floating 5.78859840 N N N N N N EnLink Midstream Partners LP 88CPW63VL7KHJWS0NY83 EnLink Midstream Partners LP 29336UAC1 404000.00000000 PA USD 354670.67000000 0.011519207103 Long DBT CORP US N 2 2044-04-01 Fixed 5.60000000 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA UMBS, 30 Year 31418EBS8 6241663.66000000 PA USD 5055477.80000000 0.164194845278 Long ABS-MBS USGSE US N 2 2052-02-01 Fixed 2.50000000 N N N N N N 2024-07-01 J.P. Morgan Exchange-Traded Fund Trust Timothy J. Clemens Timothy J. Clemens Treasurer and Principal Financial Officer XXXX NPORT-EX 2 JPMCOREPLUSETF.htm EDGAR HTML
JPMorgan Core Plus Bond ETF
Schedule of Portfolio Investments as of May 31, 2024
(Unaudited)
THE “UNAUDITED EXCHANGE-TRADED FUNDS HOLDINGS”
LIST (“the List”) IS TO BE USED FOR REPORTING PURPOSES
ONLY. IT IS NOT TO BE REPRODUCED FOR USE AS
ADVERTISING OR SALES LITERATURE WITH THE GENERAL
PUBLIC. The list is submitted for the general information of the
shareholders of the Fund. It is not authorized for distribution to
prospective investors in the Fund unless preceded or accompanied by a
prospectus. The list has been created from the books and records of
the Fund. Holdings are available 60 days after the fund’s fiscal quarter,
using a trade date accounting convention, by contacting the appropriate
service center. The list is subject to change without notice. The list is
for informational purposes only and is not intended as an offer or
solicitation with respect to the purchase or sale of any security.
JPMorgan Asset Management is the marketing name for the asset
management business of J.P. Morgan Chase & Co.
J.P. Morgan Distribution Services, Inc., member FINRA.
© J.P. Morgan Chase & Co., 2024.

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — 28.5%
Aerospace & Defense — 0.4%
Boeing Co. (The)
2.75%, 2/1/2026
14,000
13,249
2.20%, 2/4/2026
95,000
89,160
3.10%, 5/1/2026
35,000
33,170
2.70%, 2/1/2027
65,000
59,653
6.30%, 5/1/2029(a)
775,000
781,281
6.39%, 5/1/2031(a)
435,000
440,028
6.53%, 5/1/2034(a)
1,045,000
1,059,545
6.86%, 5/1/2054(a)
610,000
618,676
5.93%, 5/1/2060
1,580,000
1,393,613
Bombardier, Inc. (Canada) 6.00%, 2/15/2028(a)
980,000
964,025
BWX Technologies, Inc. 4.13%, 4/15/2029(a)
580,000
530,785
L3Harris Technologies, Inc. 5.60%, 7/31/2053
217,000
215,057
Lockheed Martin Corp.
4.70%, 5/15/2046
100,000
90,457
4.15%, 6/15/2053
650,000
524,698
Precision Castparts Corp. 4.38%, 6/15/2045
154,000
134,612
RTX Corp.
4.13%, 11/16/2028
1,735,000
1,662,035
1.90%, 9/1/2031
450,000
358,114
5.15%, 2/27/2033
365,000
359,033
4.50%, 6/1/2042
100,000
86,940
3.03%, 3/15/2052
650,000
413,514
5.38%, 2/27/2053
144,000
136,766
6.40%, 3/15/2054
185,000
201,691
Spirit AeroSystems, Inc. 9.38%, 11/30/2029(a)
253,000
271,409
TransDigm, Inc.
6.75%, 8/15/2028(a)
465,000
470,273
6.38%, 3/1/2029(a)
392,000
391,150
6.63%, 3/1/2032(a)
380,000
381,126
Wesco Aircraft Holdings, Inc. 9.00%, 11/15/2026(a) (b)
20,000
2,750
 
11,682,810
Automobile Components — 0.2%
Adient Global Holdings Ltd.
4.88%, 8/15/2026(a)
400,000
388,288
7.00%, 4/15/2028(a)
450,000
459,477
Allison Transmission, Inc.
5.88%, 6/1/2029(a)
621,000
610,936
3.75%, 1/30/2031(a)
75,000
64,990
American Axle & Manufacturing, Inc.
6.50%, 4/1/2027
730,000
726,020
6.88%, 7/1/2028
625,000
620,304
5.00%, 10/1/2029
75,000
68,285
Aptiv plc 5.40%, 3/15/2049
25,000
22,291
Clarios Global LP
6.25%, 5/15/2026(a)
427,000
426,633
6.75%, 5/15/2028(a)
830,000
838,727

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Automobile Components — continued
Cooper-Standard Automotive, Inc.
13.50% (Blend (Cash 9.00% + PIK 4.50%)), 3/31/2027(a) (c)
45,245
48,373
10.63% (PIK), 5/15/2027(a) (c)
32,879
23,183
Dana, Inc.
5.38%, 11/15/2027
590,000
573,345
5.63%, 6/15/2028
230,000
222,515
4.50%, 2/15/2032
40,000
33,921
Goodyear Tire & Rubber Co. (The)
4.88%, 3/15/2027
120,000
115,299
5.00%, 7/15/2029
1,341,000
1,233,239
5.25%, 7/15/2031
660,000
596,781
Icahn Enterprises LP
6.38%, 12/15/2025
247,000
246,791
5.25%, 5/15/2027
315,000
288,999
Lear Corp. 2.60%, 1/15/2032
10,000
8,137
 
7,616,534
Automobiles — 0.1%
Ford Motor Co.
9.63%, 4/22/2030
810,000
938,347
3.25%, 2/12/2032
2,255,000
1,853,424
4.75%, 1/15/2043
380,000
307,221
General Motors Co. 5.95%, 4/1/2049
25,000
24,080
Hyundai Capital America
1.50%, 6/15/2026(a)
940,000
865,062
3.00%, 2/10/2027(a)
200,000
187,447
 
4,175,581
Banks — 6.0%
ABN AMRO Bank NV (Netherlands)
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.55%), 6.58%, 10/13/2026(a) (d)
600,000
605,568
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.65%), 6.34%, 9/18/2027(a) (d)
200,000
202,410
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.10%), 2.47%, 12/13/2029(a) (d)
1,000,000
875,984
(US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 1.90%), 3.32%, 3/13/2037(a) (d)
200,000
163,887
AIB Group plc (Ireland) (SOFR + 2.33%), 6.61%, 9/13/2029(a) (d)
2,600,000
2,673,227
ANZ New Zealand Int'l Ltd. (New Zealand) 5.36%, 8/14/2028(a)
900,000
905,963
ASB Bank Ltd. (New Zealand) 2.38%, 10/22/2031(a)
200,000
162,398
Banco Bilbao Vizcaya Argentaria SA (Spain) (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 5.10%),
9.38%, 3/19/2029(d) (e) (f) (g)
1,995,000
2,128,719
Banco Santander SA (Spain)
2.75%, 5/28/2025
200,000
194,251
5.59%, 8/8/2028
2,800,000
2,816,313
6.61%, 11/7/2028
600,000
629,114
(US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 5.31%), 9.63%, 11/21/2028(d) (e) (f) (g)
2,000,000
2,137,874
Bank of America Corp.
(SOFR + 1.01%), 1.20%, 10/24/2026(d)
2,600,000
2,445,303
(3-MONTH CME TERM SOFR + 1.84%), 3.82%, 1/20/2028(d)
3,436,000
3,303,312
(3-MONTH CME TERM SOFR + 1.77%), 3.71%, 4/24/2028(d)
1,205,000
1,150,227
(3-MONTH CME TERM SOFR + 1.63%), 3.59%, 7/21/2028(d)
261,000
247,685

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Banks — continued
(SOFR + 2.04%), 4.95%, 7/22/2028(d)
390,000
385,523
(3-MONTH CME TERM SOFR + 1.30%), 3.42%, 12/20/2028(d)
454,000
425,054
(SOFR + 1.63%), 5.20%, 4/25/2029(d)
1,190,000
1,183,573
(SOFR + 1.06%), 2.09%, 6/14/2029(d)
635,000
560,137
(SOFR + 1.57%), 5.82%, 9/15/2029(d)
7,258,000
7,380,803
(SOFR + 1.53%), 1.90%, 7/23/2031(d)
660,000
538,924
Series N, (SOFR + 1.22%), 2.65%, 3/11/2032(d)
2,660,000
2,235,604
(SOFR + 1.22%), 2.30%, 7/21/2032(d)
1,900,000
1,546,225
(SOFR + 1.21%), 2.57%, 10/20/2032(d)
640,000
527,958
(SOFR + 1.91%), 5.29%, 4/25/2034(d)
1,510,000
1,486,558
(SOFR + 1.84%), 5.87%, 9/15/2034(d)
4,270,000
4,366,246
(SOFR + 1.65%), 5.47%, 1/23/2035(d)
2,200,000
2,185,544
(3-MONTH CME TERM SOFR + 1.58%), 4.08%, 4/23/2040(d)
112,000
95,014
Bank of Ireland Group plc (Ireland)
(EUR Swap Annual 5 Year + 7.92%), 7.50%, 5/19/2025(d) (e) (f) (g) (h)
1,200,000
1,322,700
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.65%), 6.25%, 9/16/2026(a) (d)
259,000
260,070
(SOFR + 1.62%), 5.60%, 3/20/2030(a) (d)
535,000
528,592
Bank of Montreal (Canada)
5.30%, 6/5/2026
300,000
299,465
5.51%, 6/4/2031
550,000
552,261
Bank of Nova Scotia (The) (Canada) 2.15%, 8/1/2031
650,000
529,529
Banque Federative du Credit Mutuel SA (France)
4.94%, 1/26/2026(a)
200,000
198,251
1.60%, 10/4/2026(a)
200,000
183,616
5.79%, 7/13/2028(a)
1,005,000
1,023,036
Barclays plc (United Kingdom)
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 3.30%), 7.39%, 11/2/2028(d)
1,400,000
1,474,084
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 3.50%), 7.44%, 11/2/2033(d)
1,335,000
1,467,916
BNP Paribas SA (France)
(SOFR + 1.61%), 1.90%, 9/30/2028(a) (d)
450,000
401,078
(SOFR + 1.22%), 2.16%, 9/15/2029(a) (d)
1,500,000
1,305,313
(SOFR + 1.52%), 5.18%, 1/9/2030(a) (d)
1,360,000
1,348,594
(SOFR + 1.59%), 5.50%, 5/20/2030(a) (d)
1,245,000
1,239,628
(SOFR + 1.88%), 5.74%, 2/20/2035(a) (d)
1,260,000
1,256,311
BPCE SA (France)
4.75%, 7/19/2027(a)
450,000
442,014
(SOFR + 1.98%), 6.61%, 10/19/2027(a) (d)
1,480,000
1,504,237
5.13%, 1/18/2028(a)
745,000
738,667
(SOFR + 2.27%), 6.71%, 10/19/2029(a) (d)
5,680,000
5,901,479
(SOFR + 1.31%), 2.28%, 1/20/2032(a) (d)
575,000
464,959
(SOFR + 1.73%), 3.12%, 10/19/2032(a) (d)
250,000
205,623
(SOFR + 2.59%), 7.00%, 10/19/2034(a) (d)
890,000
958,743
(SOFR + 1.85%), 5.94%, 5/30/2035(a) (d)
765,000
764,831
CaixaBank SA (Spain)
(SOFR + 2.08%), 6.68%, 9/13/2027(a) (d)
820,000
834,874
(EUR Swap Annual 5 Year + 6.35%), 5.88%, 10/9/2027(d) (e) (f) (g) (h)
800,000
853,861
(EUR Swap Annual 5 Year + 3.55%), 6.25%, 2/23/2033(d) (h)
800,000
914,072
Canadian Imperial Bank of Commerce (Canada) 5.99%, 10/3/2028
500,000
512,827

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Banks — continued
Citibank NA 5.80%, 9/29/2028
500,000
512,930
Citigroup, Inc.
Series W, (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 3.60%), 4.00%, 12/10/2025(d) (f) (g)
1,761,000
1,682,864
(SOFR + 0.77%), 1.46%, 6/9/2027(d)
650,000
599,999
(3-MONTH CME TERM SOFR + 1.82%), 3.89%, 1/10/2028(d)
1,115,000
1,074,152
(3-MONTH CME TERM SOFR + 1.65%), 3.67%, 7/24/2028(d)
1,200,000
1,140,072
(3-MONTH CME TERM SOFR + 1.45%), 4.08%, 4/23/2029(d)
1,295,000
1,237,201
Series CC, (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 2.69%), 7.13%, 8/15/2029(d) (f) (g)
1,490,000
1,486,678
(SOFR + 1.36%), 5.17%, 2/13/2030(d)
645,000
638,707
(3-MONTH CME TERM SOFR + 1.60%), 3.98%, 3/20/2030(d)
500,000
470,274
(SOFR + 1.15%), 2.67%, 1/29/2031(d)
1,650,000
1,428,579
(SOFR + 3.91%), 4.41%, 3/31/2031(d)
155,000
147,183
(SOFR + 2.11%), 2.57%, 6/3/2031(d)
620,000
528,985
(SOFR + 1.17%), 2.56%, 5/1/2032(d)
2,990,000
2,485,827
(SOFR + 1.18%), 2.52%, 11/3/2032(d)
1,665,000
1,365,421
(SOFR + 1.94%), 3.79%, 3/17/2033(d)
400,000
355,452
(SOFR + 2.34%), 6.27%, 11/17/2033(d)
3,300,000
3,459,878
(SOFR + 2.06%), 5.83%, 2/13/2035(d)
2,000,000
1,979,421
(SOFR + 1.38%), 2.90%, 11/3/2042(d)
55,000
38,640
Cooperatieve Rabobank UA (Netherlands) (US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.22%),
3.65%, 4/6/2028(a) (d)
890,000
846,844
Credit Agricole SA (France)
(SOFR + 0.89%), 1.25%, 1/26/2027(a) (d)
250,000
232,839
5.30%, 7/12/2028(a)
990,000
995,086
(SOFR + 1.86%), 6.32%, 10/3/2029(a) (d)
3,245,000
3,345,047
(SOFR + 1.69%), 5.34%, 1/10/2030(a) (d)
400,000
397,428
Danske Bank A/S (Denmark)
(3-MONTH SOFR + 1.59%), 3.24%, 12/20/2025(a) (d)
200,000
197,056
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.40%), 5.71%, 3/1/2030(a) (d)
345,000
345,373
DNB Bank ASA (Norway) (US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 0.85%), 1.13%,
9/16/2026(a) (d)
375,000
354,012
HSBC Holdings plc (United Kingdom)
(SOFR + 1.57%), 5.89%, 8/14/2027(d)
1,015,000
1,021,850
(SOFR + 2.61%), 5.21%, 8/11/2028(d)
305,000
302,170
(SOFR + 1.73%), 2.01%, 9/22/2028(d)
5,370,000
4,803,796
(SOFR + 3.35%), 7.39%, 11/3/2028(d)
250,000
264,037
(SOFR + 1.29%), 2.21%, 8/17/2029(d)
1,200,000
1,050,775
(3-MONTH CME TERM SOFR + 1.87%), 3.97%, 5/22/2030(d)
5,750,000
5,353,323
(SOFR + 1.52%), 5.73%, 5/17/2032(d)
1,475,000
1,479,433
(SOFR + 1.19%), 2.80%, 5/24/2032(d)
500,000
418,979
(SOFR + 1.41%), 2.87%, 11/22/2032(d)
250,000
208,189
6.10%, 1/14/2042
230,000
245,751
Intesa Sanpaolo SpA (Italy)
(EUR Swap Annual 5 Year + 7.19%), 7.75%, 1/11/2027(d) (e) (f) (g) (h)
400,000
448,668
7.20%, 11/28/2033(a)
3,373,000
3,627,024
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.75%), 4.95%, 6/1/2042(a) (d)
200,000
150,238
KBC Group NV (Belgium) (EURIBOR ICE Swap Rate 5 Year + 4.93%), 8.00%, 9/5/2028(d) (e) (f) (g) (h)
1,400,000
1,620,969
KeyCorp (SOFRINDX + 2.42%), 6.40%, 3/6/2035(d)
1,402,000
1,411,400

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Banks — continued
Lloyds Banking Group plc (United Kingdom)
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.60%), 3.51%, 3/18/2026(d)
200,000
196,365
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.38%), 5.46%, 1/5/2028(d)
350,000
349,067
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.07%), 5.72%, 6/5/2030(d)
1,380,000
1,387,922
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.30%), 4.98%, 8/11/2033(d)
1,160,000
1,110,687
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.75%), 5.68%, 1/5/2035(d)
380,000
378,686
Mitsubishi UFJ Financial Group, Inc. (Japan)
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 0.75%), 1.54%, 7/20/2027(d)
1,060,000
977,106
Series 8NC7, (US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.53%), 5.48%, 2/22/2031(d)
200,000
200,919
Mizuho Financial Group, Inc. (Japan)
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.65%), 5.78%, 7/6/2029(d)
580,000
587,089
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.90%), 5.75%, 7/6/2034(d)
270,000
274,166
National Australia Bank Ltd. (Australia) 4.90%, 6/13/2028
250,000
248,946
NatWest Group plc (United Kingdom)
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.35%), 5.85%, 3/2/2027(d)
800,000
802,157
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.55%), 3.07%, 5/22/2028(d)
600,000
560,146
(3-MONTH SOFR + 1.91%), 5.08%, 1/27/2030(d)
665,000
651,507
(US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 3.75%), 8.13%, 11/10/2033(d) (e) (f) (g)
1,260,000
1,277,680
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.50%), 5.78%, 3/1/2035(d)
1,124,000
1,124,750
NatWest Markets plc (United Kingdom) 5.41%, 5/17/2029(a)
1,795,000
1,789,605
Nordea Bank Abp (Finland) 5.38%, 9/22/2027(a)
400,000
400,495
PNC Financial Services Group, Inc. (The)
2.55%, 1/22/2030
639,000
555,488
(SOFR + 0.98%), 2.31%, 4/23/2032(d)
50,000
41,188
(SOFR + 1.95%), 5.94%, 8/18/2034(d)
680,000
692,577
(SOFR + 2.28%), 6.88%, 10/20/2034(d)
1,465,000
1,587,779
(SOFR + 1.90%), 5.68%, 1/22/2035(d)
400,000
400,015
Royal Bank of Canada (Canada) 4.65%, 1/27/2026(e)
245,000
241,792
Santander Holdings USA, Inc. (SOFR + 2.50%), 6.17%, 1/9/2030(d)
455,000
458,041
Santander UK Group Holdings plc (United Kingdom)
(SOFR + 2.75%), 6.83%, 11/21/2026(d)
1,340,000
1,359,402
(SOFR + 0.99%), 1.67%, 6/14/2027(d)
200,000
184,366
Skandinaviska Enskilda Banken AB (Sweden) 5.38%, 3/5/2029(a)
410,000
408,148
Societe Generale SA (France)
4.25%, 4/14/2025(a)
200,000
196,724
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.10%), 1.49%, 12/14/2026(a) (d)
1,700,000
1,588,668
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.30%), 6.45%, 1/12/2027(a) (d)
200,000
201,571
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.00%), 1.79%, 6/9/2027(a) (d)
200,000
184,245
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.30%), 2.80%, 1/19/2028(a) (d)
1,200,000
1,108,880
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.55%), 6.45%, 1/10/2029(a) (d)
1,800,000
1,837,972
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.75%), 5.63%, 1/19/2030(a) (d)
3,700,000
3,669,765
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.10%), 6.07%, 1/19/2035(a) (d)
1,110,000
1,110,086
Standard Chartered plc (United Kingdom)
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.00%), 1.46%, 1/14/2027(a) (d)
610,000
568,590
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.05%), 5.69%, 5/14/2028(a) (d)
555,000
555,000
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 3.45%), 7.77%, 11/16/2028(a) (d)
1,400,000
1,488,200
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.45%), 6.30%, 1/9/2029(a)
200,000
203,938
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.20%), 7.02%, 2/8/2030(a) (d)
3,548,000
3,732,052

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Banks — continued
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.10%), 6.10%, 1/11/2035(a) (d)
525,000
535,172
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.45%), 5.91%, 5/14/2035(a) (d)
1,090,000
1,088,093
Sumitomo Mitsui Financial Group, Inc. (Japan)
5.52%, 1/13/2028
255,000
257,595
5.72%, 9/14/2028
680,000
691,289
5.77%, 1/13/2033
200,000
205,321
Sumitomo Mitsui Trust Bank Ltd. (Japan)
1.05%, 9/12/2025(a)
60,000
56,692
4.95%, 9/15/2027(a)
200,000
197,949
Svenska Handelsbanken AB (Sweden) 5.50%, 6/15/2028(a)
970,000
972,879
Swedbank AB (Sweden) 5.34%, 9/20/2027(a)
200,000
199,380
Toronto-Dominion Bank (The) (Canada)
5.52%, 7/17/2028
100,000
100,887
4.99%, 4/5/2029
1,010,000
996,314
2.00%, 9/10/2031
385,000
310,675
4.46%, 6/8/2032
120,000
112,812
Truist Financial Corp.
(SOFR + 2.05%), 6.05%, 6/8/2027(d)
2,300,000
2,317,014
(SOFR + 1.85%), 5.12%, 1/26/2034(d)
2,090,000
1,990,442
(SOFR + 2.36%), 5.87%, 6/8/2034(d)
588,000
589,926
(SOFR + 1.92%), 5.71%, 1/24/2035(d)
608,000
604,133
UniCredit SpA (Italy) (US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.20%), 1.98%,
6/3/2027(a) (d)
200,000
185,772
US Bancorp
(SOFR + 0.73%), 2.22%, 1/27/2028(d)
800,000
736,496
(SOFR + 1.56%), 5.38%, 1/23/2030(d)
370,000
369,080
(SOFR + 1.86%), 5.68%, 1/23/2035(d)
590,000
589,123
Wells Fargo & Co.
(3-MONTH CME TERM SOFR + 1.01%), 2.16%, 2/11/2026(d)
913,000
890,739
(SOFR + 1.32%), 3.91%, 4/25/2026(d)
600,000
590,257
3.00%, 10/23/2026
360,000
341,433
(SOFR + 1.07%), 5.71%, 4/22/2028(d)
2,110,000
2,124,443
(3-MONTH CME TERM SOFR + 1.57%), 3.58%, 5/22/2028(d)
1,481,000
1,407,858
(SOFR + 1.98%), 4.81%, 7/25/2028(d)
320,000
314,304
(SOFR + 1.74%), 5.57%, 7/25/2029(d)
860,000
864,862
(SOFR + 1.79%), 6.30%, 10/23/2029(d)
1,840,000
1,904,041
(SOFR + 1.50%), 5.20%, 1/23/2030(d)
1,990,000
1,973,007
(3-MONTH CME TERM SOFR + 1.26%), 2.57%, 2/11/2031(d)
250,000
215,152
(SOFR + 1.50%), 3.35%, 3/2/2033(d)
2,340,000
2,017,842
(SOFR + 2.02%), 5.39%, 4/24/2034(d)
1,740,000
1,712,489
(SOFR + 1.99%), 5.56%, 7/25/2034(d)
3,110,000
3,096,081
(SOFR + 2.06%), 6.49%, 10/23/2034(d)
1,420,000
1,510,344
Westpac Banking Corp. (Australia)
5.54%, 11/17/2028
300,000
305,748
1.95%, 11/20/2028
30,000
26,343
Westpac New Zealand Ltd. (New Zealand) 5.20%, 2/28/2029(a)
540,000
536,632
 
188,428,978

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Beverages — 0.1%
Anheuser-Busch Cos. LLC (Belgium) 4.70%, 2/1/2036
540,000
509,885
Anheuser-Busch InBev Worldwide, Inc. (Belgium) 4.38%, 4/15/2038
250,000
225,809
Coca-Cola Co. (The) 5.30%, 5/13/2054
690,000
680,043
Coca-Cola Femsa SAB de CV (Mexico) 2.75%, 1/22/2030
180,000
156,960
Constellation Brands, Inc.
4.65%, 11/15/2028
345,000
337,509
4.50%, 5/9/2047
120,000
100,297
Diageo Capital plc (United Kingdom) 3.88%, 4/29/2043
430,000
353,436
Keurig Dr Pepper, Inc. Series 10, 5.20%, 3/15/2031
690,000
684,730
Keurig Dr. Pepper, Inc. 3.40%, 11/15/2025
38,000
36,918
Molson Coors Beverage Co. 4.20%, 7/15/2046
190,000
152,436
PepsiCo, Inc. 2.75%, 10/21/2051
415,000
262,722
 
3,500,745
Biotechnology — 0.5%
AbbVie, Inc.
3.20%, 11/21/2029
2,000,000
1,823,421
5.05%, 3/15/2034
1,620,000
1,602,734
4.05%, 11/21/2039
2,147,000
1,852,596
4.25%, 11/21/2049
230,000
191,058
5.40%, 3/15/2054
280,000
276,021
5.50%, 3/15/2064
720,000
707,818
Amgen, Inc.
5.25%, 3/2/2030
175,000
175,457
3.15%, 2/21/2040
477,000
356,904
5.65%, 3/2/2053
1,501,000
1,481,399
Biogen, Inc. 2.25%, 5/1/2030
3,960,000
3,333,991
CSL Finance plc (Australia) 5.11%, 4/3/2034(a)
1,370,000
1,342,600
Emergent BioSolutions, Inc. 3.88%, 8/15/2028(a)
28,000
16,723
Gilead Sciences, Inc.
1.65%, 10/1/2030
518,000
422,464
5.25%, 10/15/2033
580,000
580,463
4.60%, 9/1/2035
1,000,000
938,437
2.60%, 10/1/2040
525,000
359,926
4.15%, 3/1/2047
330,000
267,117
5.55%, 10/15/2053
220,000
218,317
Grifols SA (Spain) 4.75%, 10/15/2028(a)
200,000
174,006
Regeneron Pharmaceuticals, Inc. 1.75%, 9/15/2030
200,000
162,983
 
16,284,435
Broadline Retail — 0.1%
Amazon.com, Inc.
3.88%, 8/22/2037
600,000
526,648
3.95%, 4/13/2052
155,000
124,271
Go Daddy Operating Co. LLC
5.25%, 12/1/2027(a)
510,000
496,245
3.50%, 3/1/2029(a)
175,000
156,348
Macy's Retail Holdings LLC 5.88%, 4/1/2029(a)
435,000
418,864
NMG Holding Co., Inc. 7.13%, 4/1/2026(a)
495,000
492,205

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Broadline Retail — continued
Nordstrom, Inc. 4.38%, 4/1/2030
335,000
304,596
Shutterfly Finance LLC 8.50% (Blend (Cash 4.25% + PIK 4.25%)), 10/1/2027(a) (c)
11,937
9,559
 
2,528,736
Building Products — 0.3%
Builders FirstSource, Inc.
4.25%, 2/1/2032(a)
2,180,000
1,903,799
6.38%, 3/1/2034(a)
250,000
245,081
EMRLD Borrower LP 6.63%, 12/15/2030(a)
1,340,000
1,342,335
Griffon Corp. 5.75%, 3/1/2028
925,000
894,150
JELD-WEN, Inc. 4.88%, 12/15/2027(a)
725,000
679,316
Masco Corp. 1.50%, 2/15/2028
125,000
108,976
Miter Brands Acquisition Holdco, Inc. 6.75%, 4/1/2032(a)
685,000
680,453
Smyrna Ready Mix Concrete LLC 8.88%, 11/15/2031(a)
995,000
1,047,659
Standard Industries, Inc.
5.00%, 2/15/2027(a)
20,000
19,394
4.75%, 1/15/2028(a)
550,000
523,955
4.38%, 7/15/2030(a)
1,625,000
1,450,120
Summit Materials LLC
5.25%, 1/15/2029(a)
560,000
539,332
7.25%, 1/15/2031(a)
550,000
567,106
 
10,001,676
Capital Markets — 2.0%
Bank of New York Mellon Corp. (The)
(SOFR + 1.60%), 6.32%, 10/25/2029(d)
400,000
416,936
(SOFR + 1.42%), 4.29%, 6/13/2033(d)
180,000
168,360
(SOFR + 1.85%), 6.47%, 10/25/2034(d)
1,760,000
1,895,530
Credit Suisse USA LLC (Switzerland) 7.13%, 7/15/2032
53,000
58,384
Deutsche Bank AG (Germany)
(SOFR + 2.52%), 7.15%, 7/13/2027(d)
315,000
322,887
(SOFR + 1.32%), 2.55%, 1/7/2028(d)
1,300,000
1,198,834
(SOFR + 1.59%), 5.71%, 2/8/2028(d)
365,000
364,280
5.41%, 5/10/2029
325,000
324,420
(SOFR + 2.51%), 6.82%, 11/20/2029(d)
825,000
856,389
Goldman Sachs Group, Inc. (The)
(SOFR + 1.08%), 5.80%, 8/10/2026(d)
800,000
800,542
3.50%, 11/16/2026
726,000
694,695
(SOFR + 0.80%), 1.43%, 3/9/2027(d)
1,835,000
1,706,754
(SOFR + 1.51%), 4.39%, 6/15/2027(d)
117,000
114,491
(SOFR + 1.11%), 2.64%, 2/24/2028(d)
150,000
139,407
(3-MONTH CME TERM SOFR + 1.77%), 3.69%, 6/5/2028(d)
1,620,000
1,542,491
(3-MONTH CME TERM SOFR + 1.42%), 3.81%, 4/23/2029(d)
2,205,000
2,082,363
(3-MONTH CME TERM SOFR + 1.56%), 4.22%, 5/1/2029(d)
1,500,000
1,437,934
Series X, (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 2.81%), 7.50%, 5/10/2029(d) (f) (g)
4,235,000
4,351,103
(SOFR + 1.77%), 6.48%, 10/24/2029(d)
4,915,000
5,114,666
(SOFR + 1.27%), 5.73%, 4/25/2030(d)
1,495,000
1,514,740
(SOFR + 1.28%), 2.62%, 4/22/2032(d)
3,535,000
2,950,421
(SOFR + 1.41%), 3.10%, 2/24/2033(d)
2,790,000
2,367,894

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Capital Markets — continued
(SOFR + 1.55%), 5.85%, 4/25/2035(d)
660,000
674,040
(SOFR + 1.51%), 3.21%, 4/22/2042(d)
160,000
118,595
(SOFR + 1.63%), 3.44%, 2/24/2043(d)
18,000
13,649
Macquarie Group Ltd. (Australia) (3-MONTH SOFR + 1.75%), 5.03%, 1/15/2030(a) (d)
200,000
196,199
Morgan Stanley
3.88%, 1/27/2026
330,000
321,887
(SOFR + 0.88%), 1.59%, 5/4/2027(d)
3,210,000
2,977,479
(SOFR + 1.00%), 2.48%, 1/21/2028(d)
914,000
849,167
3.59%, 7/22/2028(i)
330,000
313,065
(SOFR + 1.73%), 5.12%, 2/1/2029(d)
260,000
258,284
(SOFR + 1.63%), 5.45%, 7/20/2029(d)
2,440,000
2,448,539
(SOFR + 1.83%), 6.41%, 11/1/2029(d)
300,000
312,219
(SOFR + 1.45%), 5.17%, 1/16/2030(d)
2,070,000
2,055,192
(3-MONTH CME TERM SOFR + 1.89%), 4.43%, 1/23/2030(d)
1,573,000
1,515,174
(SOFR + 1.03%), 1.79%, 2/13/2032(d)
350,000
278,685
(SOFR + 1.29%), 2.94%, 1/21/2033(d)
1,265,000
1,065,391
(SOFR + 1.88%), 5.42%, 7/21/2034(d)
2,130,000
2,107,933
(SOFR + 1.58%), 5.83%, 4/19/2035(d)
720,000
734,382
(SOFR + 1.36%), 2.48%, 9/16/2036(d)
420,000
331,150
(US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 2.43%), 5.95%, 1/19/2038(d)
380,000
377,263
(US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 1.80%), 5.94%, 2/7/2039(d)
2,000,000
1,980,000
(SOFR + 1.49%), 3.22%, 4/22/2042(d)
285,000
212,594
Nuveen LLC 4.00%, 11/1/2028(a)
160,000
153,082
S&P Global, Inc.
2.70%, 3/1/2029
456,000
410,799
1.25%, 8/15/2030
500,000
400,888
3.25%, 12/1/2049
563,000
396,295
State Street Corp. Series I, (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 2.61%), 6.70%,
3/15/2029(d) (f) (g)
1,628,000
1,644,946
UBS Group AG (Switzerland)
(SOFRINDX + 0.98%), 1.31%, 2/2/2027(a) (d)
250,000
231,863
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 0.85%), 1.49%, 8/10/2027(a) (d)
585,000
534,621
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.75%), 4.75%, 5/12/2028(a) (d)
200,000
195,591
(US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 4.75%), 9.25%, 11/13/2028(a) (d) (e) (f) (g)
260,000
277,596
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.52%), 5.43%, 2/8/2030(a) (d)
483,000
480,868
(3-MONTH SOFR + 1.47%), 3.13%, 8/13/2030(a) (d)
2,350,000
2,096,140
(USD SOFR ICE Swap Rate 1 Year + 1.34%), 5.62%, 9/13/2030(a) (d)
1,190,000
1,192,118
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.40%), 4.99%, 8/5/2033(a) (d)
700,000
669,091
(SOFR + 3.92%), 6.54%, 8/12/2033(a) (d)
493,000
519,233
(US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 4.76%), 9.25%, 11/13/2033(a) (d) (e) (f) (g)
265,000
294,919
(SOFR + 5.02%), 9.02%, 11/15/2033(a) (d)
550,000
666,460
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.77%), 5.70%, 2/8/2035(a) (d)
1,380,000
1,378,091
4.88%, 5/15/2045
250,000
227,976
 
61,334,985
Chemicals — 0.3%
Avient Corp. 7.13%, 8/1/2030(a)
650,000
660,850
Axalta Coating Systems LLC 4.75%, 6/15/2027(a)
300,000
289,555
Celanese US Holdings LLC 6.38%, 7/15/2032
300,000
308,322

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Chemicals — continued
CF Industries, Inc. 5.15%, 3/15/2034
610,000
583,477
Chemours Co. (The)
5.75%, 11/15/2028(a)
1,155,000
1,057,089
4.63%, 11/15/2029(a)
195,000
166,296
CVR Partners LP 6.13%, 6/15/2028(a)
335,000
320,283
Ecolab, Inc. 2.13%, 2/1/2032
75,000
61,387
EIDP, Inc. 4.80%, 5/15/2033
320,000
309,523
Element Solutions, Inc. 3.88%, 9/1/2028(a)
625,000
568,727
INEOS Finance plc (Luxembourg) 6.75%, 5/15/2028(a)
400,000
396,508
LYB International Finance III LLC 3.38%, 10/1/2040
390,000
287,137
NOVA Chemicals Corp. (Canada)
5.25%, 6/1/2027(a)
310,000
296,964
8.50%, 11/15/2028(a)
545,000
578,009
9.00%, 2/15/2030(a)
620,000
655,850
Nutrien Ltd. (Canada)
4.90%, 3/27/2028
186,000
183,839
2.95%, 5/13/2030
80,000
70,558
3.95%, 5/13/2050
190,000
142,857
OCP SA (Morocco) 7.50%, 5/2/2054(a)
658,000
655,812
Scotts Miracle-Gro Co. (The) 4.50%, 10/15/2029
1,375,000
1,237,093
Sherwin-Williams Co. (The) 4.50%, 6/1/2047
15,000
12,708
Trinseo Materials Operating SCA 5.38%, 9/1/2025(a)
33,000
26,934
WR Grace Holdings LLC
4.88%, 6/15/2027(a)
350,000
336,111
7.38%, 3/1/2031(a)
320,000
324,807
 
9,530,696
Commercial Services & Supplies — 0.3%
ACCO Brands Corp. 4.25%, 3/15/2029(a)
1,032,000
915,450
ADT Security Corp. (The)
4.13%, 8/1/2029(a)
540,000
490,468
4.88%, 7/15/2032(a)
585,000
527,932
Allied Universal Holdco LLC 4.63%, 6/1/2028(a)
450,000
406,251
Aramark Services, Inc. 5.00%, 2/1/2028(a)
270,000
258,147
Element Fleet Management Corp. (Canada) 6.27%, 6/26/2026(a)
350,000
353,142
Garda World Security Corp. (Canada) 4.63%, 2/15/2027(a)
705,000
669,942
GFL Environmental, Inc.
3.75%, 8/1/2025(a)
105,000
102,506
5.13%, 12/15/2026(a)
55,000
53,957
4.00%, 8/1/2028(a)
735,000
672,084
4.75%, 6/15/2029(a)
730,000
679,471
6.75%, 1/15/2031(a)
230,000
234,604
Interface, Inc. 5.50%, 12/1/2028(a)
160,000
150,984
Madison IAQ LLC 4.13%, 6/30/2028(a)
1,185,000
1,098,044
Prime Security Services Borrower LLC
3.38%, 8/31/2027(a)
885,000
812,012
6.25%, 1/15/2028(a)
690,000
677,398
Stericycle, Inc. 3.88%, 1/15/2029(a)
335,000
304,168

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Commercial Services & Supplies — continued
Waste Management, Inc. 1.50%, 3/15/2031
170,000
135,642
Williams Scotsman, Inc. 7.38%, 10/1/2031(a)
560,000
575,088
 
9,117,290
Communications Equipment — 0.0% ^
Ciena Corp. 4.00%, 1/31/2030(a)
305,000
273,176
CommScope Technologies LLC 6.00%, 6/15/2025(a)
105,000
86,310
CommScope, Inc. 6.00%, 3/1/2026(a)
472,000
421,260
 
780,746
Construction & Engineering — 0.1%
Bioceanico Sovereign Certificate Ltd. (Paraguay) Zero Coupon, 6/5/2034(a)
867,740
647,551
Dycom Industries, Inc. 4.50%, 4/15/2029(a)
465,000
432,021
Global Infrastructure Solutions, Inc. 5.63%, 6/1/2029(a)
1,043,000
966,616
MasTec, Inc. 4.50%, 8/15/2028(a)
635,000
599,304
Weekley Homes LLC 4.88%, 9/15/2028(a)
750,000
686,889
 
3,332,381
Construction Materials — 0.0% ^
Knife River Corp. 7.75%, 5/1/2031(a)
795,000
827,431
Martin Marietta Materials, Inc. 2.40%, 7/15/2031
300,000
247,838
 
1,075,269
Consumer Finance — 0.8%
AerCap Ireland Capital DAC (Ireland)
2.45%, 10/29/2026
1,260,000
1,172,400
5.75%, 6/6/2028
400,000
403,315
3.00%, 10/29/2028
1,350,000
1,219,734
Ally Financial, Inc.
5.75%, 11/20/2025
605,000
602,262
6.70%, 2/14/2033
270,000
270,248
American Express Co.
1.65%, 11/4/2026
480,000
440,386
2.55%, 3/4/2027
540,000
503,198
5.85%, 11/5/2027
270,000
276,305
(SOFRINDX + 1.28%), 5.28%, 7/27/2029(d)
1,325,000
1,324,241
Avolon Holdings Funding Ltd. (Ireland)
5.50%, 1/15/2026(a)
60,000
59,366
2.13%, 2/21/2026(a)
215,000
201,246
4.25%, 4/15/2026(a)
1,245,000
1,205,434
4.38%, 5/1/2026(a)
478,000
464,248
2.53%, 11/18/2027(a)
2,385,000
2,128,541
6.38%, 5/4/2028(a)
575,000
583,034
5.75%, 3/1/2029(a)
1,180,000
1,171,698
5.75%, 11/15/2029(a)
5,075,000
5,031,406
Capital One Financial Corp. (SOFR + 1.27%), 2.62%, 11/2/2032(d)
100,000
80,931
Ford Motor Credit Co. LLC
4.39%, 1/8/2026
890,000
869,382
4.13%, 8/17/2027
1,350,000
1,280,230
6.80%, 5/12/2028
1,090,000
1,121,028

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Consumer Finance — continued
7.20%, 6/10/2030
550,000
575,737
4.00%, 11/13/2030
250,000
221,601
General Motors Financial Co., Inc.
3.80%, 4/7/2025
35,000
34,429
5.40%, 5/8/2027
75,000
74,874
3.60%, 6/21/2030
1,060,000
947,134
5.75%, 2/8/2031
85,000
84,947
2.70%, 6/10/2031
690,000
567,914
5.95%, 4/4/2034
570,000
567,319
John Deere Capital Corp. 4.70%, 6/10/2030
400,000
394,159
OneMain Finance Corp.
7.13%, 3/15/2026
1,469,000
1,490,564
3.50%, 1/15/2027
354,000
327,413
6.63%, 1/15/2028
440,000
437,117
Volkswagen International Finance NV (Germany) (EUR Swap Annual 10 Year + 3.37%), 3.88%, 6/14/2027(d) (f) (g)
(h)
500,000
518,757
 
26,650,598
Consumer Staples Distribution & Retail — 0.2%
7-Eleven, Inc.
0.95%, 2/10/2026(a)
65,000
60,283
1.80%, 2/10/2031(a)
2,325,000
1,855,244
2.50%, 2/10/2041(a)
14,000
9,177
Albertsons Cos., Inc.
4.63%, 1/15/2027(a)
1,350,000
1,301,164
5.88%, 2/15/2028(a)
530,000
520,823
3.50%, 3/15/2029(a)
965,000
860,691
4.88%, 2/15/2030(a)
20,000
18,708
Alimentation Couche-Tard, Inc. (Canada)
3.44%, 5/13/2041(a)
5,000
3,758
3.63%, 5/13/2051(a)
10,000
7,136
5.62%, 2/12/2054(a)
200,000
195,854
Performance Food Group, Inc. 5.50%, 10/15/2027(a)
391,000
381,086
Rite Aid Corp. 8.00%, 11/15/2026(a) (b)
125,000
62,500
Sysco Corp. 2.40%, 2/15/2030
250,000
214,834
Target Corp.
4.50%, 9/15/2032
200,000
191,838
4.80%, 1/15/2053
550,000
499,658
 
6,182,754
Containers & Packaging — 0.4%
Ardagh Packaging Finance plc 4.13%, 8/15/2026(a)
1,275,000
1,084,068
Ball Corp.
6.00%, 6/15/2029
435,000
435,707
3.13%, 9/15/2031
480,000
402,926
Berry Global, Inc. 5.80%, 6/15/2031(a)
2,980,000
2,965,089
Canpack SA (Poland) 3.88%, 11/15/2029(a)
200,000
175,460
Crown Americas LLC
4.25%, 9/30/2026
13,000
12,494

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Containers & Packaging — continued
5.25%, 4/1/2030
350,000
336,412
Graphic Packaging International LLC
4.75%, 7/15/2027(a)
108,000
104,611
3.50%, 3/15/2028(a)
180,000
164,459
LABL, Inc. 6.75%, 7/15/2026(a)
525,000
518,801
Mauser Packaging Solutions Holding Co. 7.88%, 4/15/2027(a)
1,310,000
1,334,707
Owens-Brockway Glass Container, Inc. 6.63%, 5/13/2027(a)
1,005,000
997,872
Packaging Corp. of America
4.05%, 12/15/2049
285,000
222,052
3.05%, 10/1/2051
85,000
55,520
Pactiv Evergreen Group Issuer, Inc. 4.00%, 10/15/2027(a)
1,455,000
1,357,941
Sealed Air Corp.
4.00%, 12/1/2027(a)
570,000
533,809
6.13%, 2/1/2028(a)
205,000
203,533
TriMas Corp. 4.13%, 4/15/2029(a)
637,000
576,545
Trivium Packaging Finance BV (Netherlands) 5.50%, 8/15/2026(a) (j)
450,000
443,645
WRKCo, Inc. 4.65%, 3/15/2026
30,000
29,534
 
11,955,185
Distributors — 0.1%
American Builders & Contractors Supply Co., Inc.
4.00%, 1/15/2028(a)
800,000
745,097
3.88%, 11/15/2029(a)
155,000
136,895
Ritchie Bros Holdings, Inc. (Canada)
6.75%, 3/15/2028(a)
235,000
237,348
7.75%, 3/15/2031(a)
938,000
979,082
 
2,098,422
Diversified Consumer Services — 0.1%
Service Corp. International 5.13%, 6/1/2029
770,000
740,034
Wand NewCo 3, Inc. 7.63%, 1/30/2032(a)
1,367,000
1,400,764
 
2,140,798
Diversified REITs — 0.1%
Goodman US Finance Three LLC (Australia) 3.70%, 3/15/2028(a)
590,000
546,377
Simon Property Group LP
2.45%, 9/13/2029
500,000
435,856
3.25%, 9/13/2049
31,000
20,845
VICI Properties LP
3.50%, 2/15/2025(a)
90,000
88,445
4.50%, 9/1/2026(a)
95,000
92,066
4.63%, 12/1/2029(a)
20,000
18,719
WP Carey, Inc.
2.40%, 2/1/2031
700,000
581,970
2.25%, 4/1/2033
145,000
110,377
 
1,894,655
Diversified Telecommunication Services — 0.6%
Altice France SA (France) 5.13%, 7/15/2029(a)
200,000
134,131

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Diversified Telecommunication Services — continued
AT&T, Inc.
1.65%, 2/1/2028
450,000
397,672
2.55%, 12/1/2033
1,870,000
1,475,163
3.50%, 6/1/2041
260,000
198,420
3.65%, 6/1/2051
65,000
45,910
3.50%, 9/15/2053
1,440,000
972,557
3.55%, 9/15/2055
1,205,000
809,117
CCO Holdings LLC
5.38%, 6/1/2029(a)
1,455,000
1,303,342
4.75%, 3/1/2030(a)
4,894,000
4,168,975
4.50%, 8/15/2030(a)
2,079,000
1,727,453
4.25%, 2/1/2031(a)
2,580,000
2,079,572
4.75%, 2/1/2032(a)
1,025,000
825,362
4.50%, 6/1/2033(a)
135,000
104,178
Embarq Corp. 8.00%, 6/1/2036
13,000
4,084
Frontier Communications Holdings LLC 5.88%, 10/15/2027(a)
235,000
228,833
Intelsat Jackson Holdings SA (Luxembourg) 6.50%, 3/15/2030(a)
1,619,000
1,522,874
Lumen Technologies, Inc.
4.13%, 4/15/2029(a)
425,000
273,302
4.13%, 4/15/2030(a)
497,625
318,232
NBN Co. Ltd. (Australia) 5.75%, 10/6/2028(a)
500,000
511,999
Sprint Capital Corp. 6.88%, 11/15/2028
258,000
272,455
Telecom Italia Capital SA (Italy) 6.00%, 9/30/2034
134,000
113,130
Verizon Communications, Inc.
4.33%, 9/21/2028
75,000
72,675
4.02%, 12/3/2029
684,000
645,465
3.40%, 3/22/2041
1,215,000
929,511
2.88%, 11/20/2050
75,000
47,253
2.99%, 10/30/2056
535,000
326,272
3.70%, 3/22/2061
30,000
21,164
 
19,529,101
Electric Utilities — 2.2%
Alabama Power Co.
3.05%, 3/15/2032
200,000
172,321
5.85%, 11/15/2033
275,000
285,225
Baltimore Gas and Electric Co.
3.20%, 9/15/2049
295,000
196,159
2.90%, 6/15/2050
550,000
342,952
5.40%, 6/1/2053
305,000
292,209
Comision Federal de Electricidad (Mexico)
4.69%, 5/15/2029(h)
500,000
467,137
6.26%, 2/15/2052(h)
600,000
516,000
Commonwealth Edison Co. 5.30%, 2/1/2053
450,000
424,421
Connecticut Light and Power Co. (The) 4.00%, 4/1/2048
46,000
36,480
Consumers 2023 Securitization Funding LLC Series A2, 5.21%, 9/1/2030
771,000
770,620
DTE Electric Co.
5.20%, 3/1/2034
500,000
494,470

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Electric Utilities — continued
5.40%, 4/1/2053
80,000
78,132
DTE Electric Securitization Funding II LLC Series A-2, 6.09%, 9/1/2037
400,000
423,016
Duke Energy Carolinas LLC 3.20%, 8/15/2049
634,000
425,062
Duke Energy Florida LLC
5.88%, 11/15/2033
230,000
238,994
6.20%, 11/15/2053
240,000
255,625
Duke Energy Indiana LLC
Series YYY, 3.25%, 10/1/2049
125,000
84,061
2.75%, 4/1/2050
395,000
238,717
5.40%, 4/1/2053
770,000
729,272
Duke Energy Ohio, Inc. 5.25%, 4/1/2033
624,000
617,901
Duquesne Light Holdings, Inc. 2.53%, 10/1/2030(a)
148,000
124,119
Edison International
5.25%, 11/15/2028
100,000
98,979
6.95%, 11/15/2029
245,000
260,575
Electricite de France SA (France)
5.95%, 4/22/2034(a)
510,000
513,795
6.90%, 5/23/2053(a)
640,000
685,448
Emera US Finance LP (Canada)
2.64%, 6/15/2031
660,000
539,018
4.75%, 6/15/2046
50,000
40,474
Enel Finance International NV (Italy) 2.25%, 7/12/2031(a) (j)
200,000
162,949
Enel SpA (Italy) Series 6.5Y, (EUR Swap Annual 5 Year + 1.72%), 1.38%, 6/8/2027(d) (f) (g) (h)
3,000,000
2,910,117
Entergy Arkansas LLC
4.00%, 6/1/2028
13,000
12,465
2.65%, 6/15/2051
274,000
158,902
5.75%, 6/1/2054
150,000
148,846
Entergy Corp. (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 2.67%), 7.13%, 12/1/2054(d)
1,120,000
1,115,257
Entergy Louisiana LLC
2.40%, 10/1/2026
69,000
64,663
1.60%, 12/15/2030
500,000
398,448
2.90%, 3/15/2051
823,000
499,081
5.70%, 3/15/2054
1,230,000
1,211,480
Entergy Mississippi LLC
5.00%, 9/1/2033
535,000
516,673
3.50%, 6/1/2051
20,000
13,899
5.85%, 6/1/2054
715,000
712,001
Entergy Texas Restoration Funding LLC Series A-2, 3.70%, 12/15/2035
215,000
190,934
Entergy Texas, Inc. 1.75%, 3/15/2031
535,000
431,096
Evergy Kansas Central, Inc. 4.13%, 3/1/2042
240,000
197,094
Eversource Energy
4.60%, 7/1/2027
31,000
30,280
5.45%, 3/1/2028
100,000
100,039
3.38%, 3/1/2032
365,000
311,935
Fells Point Funding Trust 3.05%, 1/31/2027(a)
1,570,000
1,472,353
FirstEnergy Transmission LLC
2.87%, 9/15/2028(a)
965,000
874,500
4.55%, 4/1/2049(a)
1,600,000
1,308,107

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Electric Utilities — continued
Florida Power & Light Co.
3.70%, 12/1/2047
60,000
45,489
5.30%, 4/1/2053
390,000
377,005
Georgia Power Co. 5.25%, 3/15/2034
500,000
496,542
Interchile SA (Chile) 4.50%, 6/30/2056(a)
200,000
165,625
ITC Holdings Corp.
4.95%, 9/22/2027(a)
432,000
426,468
2.95%, 5/14/2030(a)
405,000
354,231
5.40%, 6/1/2033(a)
300,000
295,410
5.65%, 5/9/2034(a)
1,365,000
1,361,844
Kentucky Utilities Co. 5.13%, 11/1/2040
404,000
380,957
MidAmerican Energy Co.
3.65%, 4/15/2029
46,000
43,233
5.85%, 9/15/2054
110,000
112,697
Mid-Atlantic Interstate Transmission LLC 4.10%, 5/15/2028(a)
430,000
411,424
Mississippi Power Co. Series 12-A, 4.25%, 3/15/2042
240,000
198,048
Monongahela Power Co. 5.85%, 2/15/2034(a)
210,000
212,745
Nevada Power Co. 6.00%, 3/15/2054
600,000
609,732
NextEra Energy Capital Holdings, Inc.
5.75%, 9/1/2025
430,000
430,738
5.00%, 7/15/2032
60,000
58,450
5.25%, 2/28/2053
80,000
74,400
Northern States Power Co. 2.60%, 6/1/2051
590,000
351,721
NRG Energy, Inc.
6.63%, 1/15/2027
21,000
20,978
2.45%, 12/2/2027(a)
60,000
53,887
5.75%, 1/15/2028
560,000
549,293
3.38%, 2/15/2029(a)
210,000
185,903
5.25%, 6/15/2029(a)
2,120,000
2,022,142
OGE Energy Corp. 5.45%, 5/15/2029
330,000
330,808
Ohio Power Co. Series R, 2.90%, 10/1/2051
225,000
138,585
Oklahoma Gas and Electric Co. 5.40%, 1/15/2033
100,000
100,105
Oncor Electric Delivery Co. LLC
3.10%, 9/15/2049
290,000
193,225
4.95%, 9/15/2052
400,000
363,307
Pacific Gas and Electric Co.
3.45%, 7/1/2025
17,000
16,600
2.95%, 3/1/2026
110,000
104,918
4.65%, 8/1/2028
2,200,000
2,116,381
6.10%, 1/15/2029
605,000
617,475
4.55%, 7/1/2030
1,624,000
1,533,360
6.40%, 6/15/2033
860,000
892,706
6.95%, 3/15/2034
1,125,000
1,212,996
5.80%, 5/15/2034
3,025,000
3,017,718
4.20%, 6/1/2041
30,000
23,634
4.25%, 3/15/2046
418,000
316,600
6.75%, 1/15/2053
1,770,000
1,870,086
Palomino Funding Trust I 7.23%, 5/17/2028(a)
2,100,000
2,189,650

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Electric Utilities — continued
PG&E Corp.
5.00%, 7/1/2028
1,001,000
959,576
5.25%, 7/1/2030
300,000
285,770
PG&E Recovery Funding LLC Series A-3, 5.54%, 7/15/2047
185,000
183,898
PG&E Wildfire Recovery Funding LLC
Series A-2, 4.26%, 6/1/2036
25,000
23,180
Series A-4, 5.21%, 12/1/2047
40,000
38,122
Series A-5, 5.10%, 6/1/2052
70,000
66,640
PPL Electric Utilities Corp.
6.25%, 5/15/2039
382,000
408,645
5.25%, 5/15/2053
70,000
66,754
Public Service Co. of Oklahoma
5.25%, 1/15/2033
155,000
151,068
Series G, 6.63%, 11/15/2037
725,000
767,305
Series K, 3.15%, 8/15/2051
150,000
96,116
Public Service Electric and Gas Co. 4.65%, 3/15/2033
520,000
498,249
RWE Finance US LLC (Germany) 5.88%, 4/16/2034(a)
660,000
660,643
SCE Recovery Funding LLC Series A-1, 4.70%, 6/15/2040
48,188
46,356
Sigeco Securitization I LLC
Series A1, 5.03%, 11/15/2036
50,381
49,496
Series A2, 5.17%, 5/15/2041
49,000
47,614
Southern California Edison Co.
5.30%, 3/1/2028
719,000
720,670
5.65%, 10/1/2028
600,000
609,644
Series G, 2.50%, 6/1/2031
775,000
645,815
5.45%, 6/1/2031
530,000
531,766
5.95%, 11/1/2032
2,000,000
2,065,560
Series C, 4.13%, 3/1/2048
238,000
185,990
Series 20A, 2.95%, 2/1/2051
430,000
268,202
5.88%, 12/1/2053
1,656,000
1,653,396
5.75%, 4/15/2054
390,000
384,117
Southern Co. (The)
5.50%, 3/15/2029
390,000
394,259
5.70%, 3/15/2034
100,000
101,452
Southwestern Electric Power Co.
Series N, 1.65%, 3/15/2026
45,000
42,108
5.30%, 4/1/2033
130,000
125,657
3.25%, 11/1/2051
210,000
133,837
Southwestern Public Service Co. 4.50%, 8/15/2041
74,000
61,797
Tierra Mojada Luxembourg II SARL (Mexico) 5.75%, 12/1/2040(a)
271,401
248,247
Tucson Electric Power Co.
1.50%, 8/1/2030
448,000
360,535
4.85%, 12/1/2048
232,000
201,226
5.50%, 4/15/2053
115,000
110,883
Union Electric Co.
5.20%, 4/1/2034
400,000
394,283
5.45%, 3/15/2053
555,000
534,051
5.25%, 1/15/2054
500,000
465,580

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Electric Utilities — continued
Virginia Electric and Power Co. 5.70%, 8/15/2053
730,000
728,884
Vistra Operations Co. LLC
5.50%, 9/1/2026(a)
65,000
63,931
5.63%, 2/15/2027(a)
1,715,000
1,687,492
5.00%, 7/31/2027(a)
420,000
406,198
4.38%, 5/1/2029(a)
275,000
254,550
7.75%, 10/15/2031(a)
1,480,000
1,537,826
6.00%, 4/15/2034(a)
4,105,000
4,110,877
Wisconsin Public Service Corp. 4.75%, 11/1/2044
69,000
61,841
 
69,909,523
Electrical Equipment — 0.1%
Eaton Corp. 4.15%, 3/15/2033
400,000
373,072
EnerSys 4.38%, 12/15/2027(a)
630,000
594,002
Regal Rexnord Corp.
6.30%, 2/15/2030
57,000
58,352
6.40%, 4/15/2033
79,000
81,316
Sensata Technologies BV
5.00%, 10/1/2025(a)
40,000
40,291
4.00%, 4/15/2029(a)
700,000
635,890
Vertiv Group Corp. 4.13%, 11/15/2028(a)
365,000
338,328
 
2,121,251
Electronic Equipment, Instruments & Components — 0.0% ^
Coherent Corp. 5.00%, 12/15/2029(a)
1,165,000
1,086,342
Corning, Inc. 3.90%, 11/15/2049
75,000
56,640
Sensata Technologies, Inc. 4.38%, 2/15/2030(a)
255,000
232,606
 
1,375,588
Energy Equipment & Services — 0.2%
Archrock Partners LP 6.88%, 4/1/2027(a)
480,000
481,890
Baker Hughes Holdings LLC
2.06%, 12/15/2026
400,000
369,649
4.08%, 12/15/2047
350,000
279,892
Diamond Foreign Asset Co. 8.50%, 10/1/2030(a)
740,000
776,929
Guara Norte SARL (Brazil) 5.20%, 6/15/2034(a)
514,074
467,358
Nabors Industries, Inc. 7.38%, 5/15/2027(a)
560,000
558,746
Noble Finance II LLC 8.00%, 4/15/2030(a)
320,000
330,096
Precision Drilling Corp. (Canada) 7.13%, 1/15/2026(a)
577,000
576,776
Schlumberger Holdings Corp. 3.90%, 5/17/2028(a)
214,000
204,058
Transocean, Inc. 8.75%, 2/15/2030(a)
396,000
413,119
USA Compression Partners LP 6.88%, 9/1/2027
905,000
905,050
Valaris Ltd. 8.38%, 4/30/2030(a)
575,000
594,320
 
5,957,883
Entertainment — 0.4%
Cinemark USA, Inc.
5.88%, 3/15/2026(a)
295,000
290,600
5.25%, 7/15/2028(a)
390,000
364,118

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Entertainment — continued
Live Nation Entertainment, Inc.
5.63%, 3/15/2026(a)
2,000
1,971
6.50%, 5/15/2027(a)
1,395,000
1,402,272
4.75%, 10/15/2027(a)
365,000
345,811
Take-Two Interactive Software, Inc. 3.70%, 4/14/2027
115,000
110,251
Walt Disney Co. (The) 6.65%, 11/15/2037
170,000
190,118
Warnermedia Holdings, Inc.
3.76%, 3/15/2027
3,150,000
2,987,180
4.28%, 3/15/2032
3,790,000
3,317,037
5.05%, 3/15/2042
2,965,000
2,450,376
5.14%, 3/15/2052
610,000
481,539
WMG Acquisition Corp. 3.88%, 7/15/2030(a)
100,000
88,390
 
12,029,663
Financial Services — 0.4%
Block, Inc.
3.50%, 6/1/2031
690,000
591,022
6.50%, 5/15/2032(a)
6,004,000
6,059,789
Boost Newco Borrower LLC 7.50%, 1/15/2031(a)
1,155,000
1,197,113
Fiserv, Inc. 3.20%, 7/1/2026
170,000
162,779
Global Payments, Inc. 3.20%, 8/15/2029
160,000
142,751
Nationstar Mortgage Holdings, Inc. 6.00%, 1/15/2027(a)
1,080,000
1,065,227
Nationwide Building Society (United Kingdom) (3-MONTH SOFR + 1.45%), 4.30%, 3/8/2029(a) (d)
350,000
333,781
NCR Atleos Corp. 9.50%, 4/1/2029(a)
417,000
449,884
PayPal Holdings, Inc. 5.05%, 6/1/2052
100,000
91,858
Rocket Mortgage LLC
2.88%, 10/15/2026(a)
1,095,000
1,018,672
3.63%, 3/1/2029(a)
410,000
366,670
Shell International Finance BV
2.88%, 11/26/2041
620,000
445,548
3.63%, 8/21/2042
200,000
158,972
3.75%, 9/12/2046
141,000
109,573
3.00%, 11/26/2051
670,000
436,533
Siemens Financieringsmaatschappij NV (Germany) 3.30%, 9/15/2046(a)
350,000
257,046
Visa, Inc. 2.70%, 4/15/2040
300,000
217,755
 
13,104,973
Food Products — 0.2%
Bimbo Bakeries USA, Inc. (Mexico) 6.05%, 1/15/2029(a)
200,000
204,125
Bunge Ltd. Finance Corp. 2.75%, 5/14/2031
385,000
327,550
Campbell Soup Co. 4.15%, 3/15/2028
170,000
163,920
Cargill, Inc. 4.38%, 4/22/2052(a)
150,000
126,074
Darling Ingredients, Inc.
5.25%, 4/15/2027(a)
50,000
48,653
6.00%, 6/15/2030(a)
850,000
830,878
General Mills, Inc. 4.15%, 2/15/2043
200,000
166,263
JBS USA Holding Lux SARL
3.75%, 12/1/2031
305,000
263,996
3.00%, 5/15/2032
910,000
739,072

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Food Products — continued
6.75%, 3/15/2034(a)
250,000
262,662
Lamb Weston Holdings, Inc. 4.13%, 1/31/2030(a)
795,000
714,990
Post Holdings, Inc.
5.50%, 12/15/2029(a)
1,000,000
952,491
6.25%, 2/15/2032(a)
158,000
157,063
Viterra Finance BV (Netherlands) 3.20%, 4/21/2031(a)
805,000
690,237
 
5,647,974
Gas Utilities — 0.1%
AmeriGas Partners LP
5.50%, 5/20/2025
168,000
165,303
5.88%, 8/20/2026
10,000
9,669
5.75%, 5/20/2027
305,000
290,785
Atmos Energy Corp.
5.50%, 6/15/2041
52,000
51,576
5.75%, 10/15/2052
185,000
188,797
6.20%, 11/15/2053
630,000
680,674
Boston Gas Co. 3.00%, 8/1/2029(a)
37,000
32,877
Piedmont Natural Gas Co., Inc. 5.05%, 5/15/2052
100,000
87,648
Southern California Gas Co. Series XX, 2.55%, 2/1/2030
393,000
340,979
Superior Plus LP (Canada) 4.50%, 3/15/2029(a)
495,000
450,324
 
2,298,632
Ground Transportation — 0.3%
Avis Budget Car Rental LLC
5.75%, 7/15/2027(a)
600,000
575,978
4.75%, 4/1/2028(a)
95,000
86,360
5.38%, 3/1/2029(a)
55,000
50,186
8.00%, 2/15/2031(a)
525,000
517,956
Burlington Northern Santa Fe LLC
6.15%, 5/1/2037
250,000
268,735
3.55%, 2/15/2050
708,000
516,060
5.20%, 4/15/2054
850,000
808,349
Canadian Pacific Railway Co. (Canada)
2.88%, 11/15/2029
1,125,000
1,003,352
3.10%, 12/2/2051
250,000
165,686
CSX Corp. 4.50%, 11/15/2052
810,000
691,753
ERAC USA Finance LLC
5.00%, 2/15/2029(a)
200,000
198,727
5.20%, 10/30/2034(a)
100,000
98,360
First Student Bidco, Inc. 4.00%, 7/31/2029(a)
300,000
270,382
Hertz Corp. (The) 4.63%, 12/1/2026(a)
860,000
667,716
Norfolk Southern Corp. 3.95%, 10/1/2042
50,000
40,231
Penske Truck Leasing Co. LP 1.20%, 11/15/2025(a)
376,000
352,693
RXO, Inc. 7.50%, 11/15/2027(a)
510,000
521,475
SMBC Aviation Capital Finance DAC (Ireland) 5.30%, 4/3/2029(a)
980,000
968,133
Triton Container International Ltd. (Bermuda) 1.15%, 6/7/2024(a)
400,000
399,470
Uber Technologies, Inc. 7.50%, 9/15/2027(a)
435,000
443,047

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Ground Transportation — continued
Union Pacific Corp.
2.40%, 2/5/2030
560,000
486,942
3.50%, 2/14/2053
120,000
86,123
XPO, Inc.
6.25%, 6/1/2028(a)
330,000
329,004
7.13%, 6/1/2031(a)
1,060,000
1,081,565
 
10,628,283
Health Care Equipment & Supplies — 0.2%
Abbott Laboratories 4.75%, 11/30/2036
290,000
279,744
Avantor Funding, Inc. 4.63%, 7/15/2028(a)
561,000
527,910
Baxter International, Inc.
1.73%, 4/1/2031
1,500,000
1,180,991
3.13%, 12/1/2051
500,000
312,838
Becton Dickinson & Co. 3.70%, 6/6/2027
200,000
191,494
Boston Scientific Corp. 6.50%, 11/15/2035(j)
700,000
770,277
DH Europe Finance II SARL 3.25%, 11/15/2039
250,000
196,616
Hologic, Inc. 3.25%, 2/15/2029(a)
605,000
540,166
Medline Borrower LP
3.88%, 4/1/2029(a)
2,485,000
2,261,789
6.25%, 4/1/2029(a)
406,000
406,082
5.25%, 10/1/2029(a)
55,000
51,847
Teleflex, Inc. 4.25%, 6/1/2028(a)
905,000
845,639
 
7,565,393
Health Care Providers & Services — 1.1%
Acadia Healthcare Co., Inc.
5.50%, 7/1/2028(a)
936,000
910,148
5.00%, 4/15/2029(a)
175,000
164,971
AdaptHealth LLC 4.63%, 8/1/2029(a)
85,000
72,794
Aetna, Inc.
4.13%, 11/15/2042
320,000
253,315
4.75%, 3/15/2044
200,000
170,275
3.88%, 8/15/2047
1,735,000
1,272,032
Cencora, Inc. 5.13%, 2/15/2034
370,000
362,077
Cigna Group (The)
2.38%, 3/15/2031
135,000
112,267
5.13%, 5/15/2031
470,000
464,968
CommonSpirit Health
1.55%, 10/1/2025
13,000
12,292
2.78%, 10/1/2030
13,000
11,181
3.91%, 10/1/2050
15,000
11,306
Community Health Network, Inc. Series 20-A, 3.10%, 5/1/2050
190,000
124,337
Community Health Systems, Inc.
8.00%, 3/15/2026(a)
126,000
126,225
5.63%, 3/15/2027(a)
1,830,000
1,733,287
4.75%, 2/15/2031(a)
85,000
67,114
CVS Health Corp.
4.30%, 3/25/2028
737,000
710,295

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Health Care Providers & Services — continued
5.13%, 2/21/2030
265,000
260,591
5.25%, 2/21/2033
470,000
456,876
5.63%, 2/21/2053
1,000,000
927,389
DaVita, Inc. 4.63%, 6/1/2030(a)
835,000
748,062
Encompass Health Corp.
4.50%, 2/1/2028
180,000
170,044
4.75%, 2/1/2030
1,210,000
1,119,911
4.63%, 4/1/2031
75,000
67,789
Hackensack Meridian Health, Inc. Series 2020, 2.68%, 9/1/2041
50,000
34,658
HCA, Inc.
4.50%, 2/15/2027
580,000
566,046
5.63%, 9/1/2028
3,750,000
3,770,148
3.50%, 9/1/2030
2,012,000
1,800,419
2.38%, 7/15/2031
1,130,000
921,888
5.60%, 4/1/2034
910,000
902,142
5.50%, 6/15/2047
300,000
278,540
5.25%, 6/15/2049
865,000
767,270
3.50%, 7/15/2051
30,000
20,019
4.63%, 3/15/2052
960,000
773,837
6.00%, 4/1/2054
910,000
893,622
Memorial Health Services 3.45%, 11/1/2049
530,000
387,512
MultiCare Health System 2.80%, 8/15/2050
10,000
5,908
MyMichigan Health Series 2020, 3.41%, 6/1/2050
10,000
7,124
New York and Presbyterian Hospital (The) 2.61%, 8/1/2060
5,000
2,787
Northwell Healthcare, Inc. 4.26%, 11/1/2047
110,000
88,144
Northwestern Memorial Healthcare Obligated Group Series 2021, 2.63%, 7/15/2051
617,000
391,039
Owens & Minor, Inc. 4.50%, 3/31/2029(a)
1,100,000
970,757
Quest Diagnostics, Inc.
2.95%, 6/30/2030
55,000
48,492
6.40%, 11/30/2033
580,000
619,125
Sutter Health 5.55%, 8/15/2053
150,000
152,819
Tenet Healthcare Corp.
5.13%, 11/1/2027
905,000
881,828
4.63%, 6/15/2028
1,040,000
988,366
4.25%, 6/1/2029
4,203,000
3,888,186
4.38%, 1/15/2030
875,000
804,648
6.13%, 6/15/2030
985,000
976,293
6.75%, 5/15/2031(a)
740,000
746,777
UnitedHealth Group, Inc.
4.63%, 11/15/2041
232,000
210,323
3.25%, 5/15/2051
485,000
332,249
5.88%, 2/15/2053
395,000
408,862
5.05%, 4/15/2053
1,400,000
1,291,173
 
34,260,547
Health Care REITs — 0.0% ^
Healthcare Realty Holdings LP 3.10%, 2/15/2030
700,000
607,811

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Health Care REITs — continued
Healthpeak OP LLC
2.13%, 12/1/2028
64,000
56,192
3.00%, 1/15/2030
87,000
76,780
Sabra Health Care LP 3.20%, 12/1/2031
120,000
98,889
Ventas Realty LP 3.25%, 10/15/2026
300,000
283,530
 
1,123,202
Health Care Technology — 0.0% ^
IQVIA, Inc.
5.00%, 5/15/2027(a)
200,000
194,281
6.50%, 5/15/2030(a)
510,000
515,051
 
709,332
Hotel & Resort REITs — 0.0% ^
RHP Hotel Properties LP
4.75%, 10/15/2027
390,000
373,983
7.25%, 7/15/2028(a)
985,000
1,006,281
 
1,380,264
Hotels, Restaurants & Leisure — 0.8%
1011778 BC ULC (Canada)
5.75%, 4/15/2025(a)
50,000
49,807
4.00%, 10/15/2030(a)
290,000
252,341
Acushnet Co. 7.38%, 10/15/2028(a)
730,000
750,750
Boyd Gaming Corp. 4.75%, 12/1/2027
548,000
521,614
Boyne USA, Inc. 4.75%, 5/15/2029(a)
577,000
532,888
Caesars Entertainment, Inc.
8.13%, 7/1/2027(a)
285,000
290,555
4.63%, 10/15/2029(a)
1,405,000
1,269,300
7.00%, 2/15/2030(a)
655,000
662,075
6.50%, 2/15/2032(a)
918,000
907,766
Carnival Corp.
5.75%, 3/1/2027(a)
560,000
549,686
4.00%, 8/1/2028(a)
1,000,000
918,570
10.50%, 6/1/2030(a)
390,000
423,923
Carnival Holdings Bermuda Ltd. 10.38%, 5/1/2028(a)
765,000
828,219
Cedar Fair LP
6.50%, 10/1/2028
933,000
931,288
5.25%, 7/15/2029
250,000
235,504
Hilton Domestic Operating Co., Inc.
5.38%, 5/1/2025(a)
25,000
24,874
5.75%, 5/1/2028(a)
285,000
282,391
3.75%, 5/1/2029(a)
345,000
312,624
4.88%, 1/15/2030
1,220,000
1,153,472
McDonald's Corp. 5.45%, 8/14/2053
430,000
417,366
MGM Resorts International
4.63%, 9/1/2026
355,000
344,380
5.50%, 4/15/2027
726,000
714,013
6.50%, 4/15/2032
690,000
674,692

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Hotels, Restaurants & Leisure — continued
Royal Caribbean Cruises Ltd.
5.38%, 7/15/2027(a)
805,000
788,726
8.25%, 1/15/2029(a)
1,107,000
1,165,106
9.25%, 1/15/2029(a)
1,117,000
1,189,808
7.25%, 1/15/2030(a)
1,270,000
1,311,918
6.25%, 3/15/2032(a)
285,000
283,701
Six Flags Entertainment Corp.
7.25%, 5/15/2031(a)
255,000
255,164
6.63%, 5/1/2032(a)
376,000
376,274
Six Flags Theme Parks, Inc. 7.00%, 7/1/2025(a)
253,000
253,335
Starbucks Corp.
4.90%, 2/15/2031
350,000
344,624
4.80%, 2/15/2033
350,000
339,740
3.35%, 3/12/2050
5,000
3,409
Station Casinos LLC 4.50%, 2/15/2028(a)
700,000
651,830
Vail Resorts, Inc. 6.50%, 5/15/2032(a)
923,000
929,040
Wynn Las Vegas LLC 5.25%, 5/15/2027(a)
125,000
121,669
Wynn Macau Ltd. (Macau)
4.88%, 10/1/2024(a)
375,000
372,607
5.63%, 8/26/2028(a)
200,000
187,063
Wynn Resorts Finance LLC
5.13%, 10/1/2029(a)
1,905,000
1,791,545
7.13%, 2/15/2031(a)
985,000
1,011,384
Yum! Brands, Inc.
4.75%, 1/15/2030(a)
215,000
202,697
4.63%, 1/31/2032
1,025,000
933,646
 
25,561,384
Household Durables — 0.1%
CD&R Smokey Buyer, Inc. 6.75%, 7/15/2025(a)
605,000
600,198
Newell Brands, Inc.
5.70%, 4/1/2026(j)
1,265,000
1,249,085
6.63%, 9/15/2029
950,000
929,384
6.87%, 4/1/2036(j)
310,000
275,256
Tempur Sealy International, Inc. 4.00%, 4/15/2029(a)
970,000
869,823
 
3,923,746
Household Products — 0.1%
Central Garden & Pet Co.
5.13%, 2/1/2028
145,000
139,540
4.13%, 10/15/2030
755,000
668,588
Energizer Holdings, Inc.
4.75%, 6/15/2028(a)
950,000
876,382
4.38%, 3/31/2029(a)
275,000
244,459
Spectrum Brands, Inc. 5.00%, 10/1/2029(a)
475,000
474,746
 
2,403,715

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Independent Power and Renewable Electricity Producers — 0.2%
Calpine Corp.
5.25%, 6/1/2026(a)
548,000
541,335
4.50%, 2/15/2028(a)
260,000
244,491
5.13%, 3/15/2028(a)
425,000
405,006
Constellation Energy Generation LLC
3.25%, 6/1/2025
187,000
182,708
5.80%, 3/1/2033
35,000
35,548
6.25%, 10/1/2039
85,000
88,061
5.75%, 10/1/2041
1,120,000
1,089,314
5.60%, 6/15/2042
215,000
206,753
6.50%, 10/1/2053
2,115,000
2,258,522
5.75%, 3/15/2054
554,000
537,217
 
5,588,955
Industrial Conglomerates — 0.0% ^
Honeywell International, Inc. 5.25%, 3/1/2054
650,000
630,149
Industrial REITs — 0.0% ^
Prologis LP
1.75%, 7/1/2030
149,000
122,105
4.75%, 6/15/2033
640,000
614,243
 
736,348
Insurance — 0.4%
Alleghany Corp. 3.25%, 8/15/2051
50,000
33,520
Aon Corp. 5.35%, 2/28/2033
165,000
162,507
Aon North America, Inc. 5.75%, 3/1/2054
350,000
344,207
Athene Global Funding
1.45%, 1/8/2026(a)
370,000
345,882
2.95%, 11/12/2026(a)
44,000
41,347
Berkshire Hathaway Finance Corp.
2.50%, 1/15/2051
200,000
120,878
3.85%, 3/15/2052
715,000
549,621
Cincinnati Financial Corp. 6.13%, 11/1/2034
200,000
208,030
CNA Financial Corp. 5.13%, 2/15/2034
280,000
267,837
CNO Global Funding 5.88%, 6/4/2027(a)
1,000,000
1,002,449
Corebridge Global Funding 5.90%, 9/19/2028(a)
140,000
142,276
Equitable Financial Life Global Funding 1.70%, 11/12/2026(a)
25,000
22,776
F&G Annuities & Life, Inc. 6.50%, 6/4/2029(k)
890,000
888,586
F&G Global Funding 1.75%, 6/30/2026(a)
10,000
9,165
Fidelity & Guaranty Life Holdings, Inc. 5.50%, 5/1/2025(a)
440,000
437,812
Great-West Lifeco Finance 2018 LP (Canada) 4.58%, 5/17/2048(a)
20,000
17,079
Guardian Life Global Funding 5.74%, 10/2/2028(a)
500,000
512,010
High Street Funding Trust I 4.11%, 2/15/2028(a)
641,000
602,357
Manulife Financial Corp. (Canada) 4.15%, 3/4/2026
42,000
41,178
Marsh & McLennan Cos., Inc. 5.45%, 3/15/2053
305,000
295,212
MetLife, Inc.
4.13%, 8/13/2042
329,000
272,155
5.00%, 7/15/2052
350,000
320,384
Metropolitan Life Global Funding I 5.15%, 3/28/2033(a)
880,000
867,014

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Insurance — continued
Mutual of Omaha Cos. Global Funding 5.45%, 12/12/2028(a)
300,000
301,170
New York Life Global Funding 3.00%, 1/10/2028(a)
51,000
47,443
New York Life Insurance Co. 4.45%, 5/15/2069(a)
50,000
39,427
Northwestern Mutual Global Funding 5.16%, 5/28/2031(a)
630,000
627,283
Pacific Life Global Funding II 5.50%, 8/28/2026(a)
135,000
135,690
Pacific Life Insurance Co. (3-MONTH SOFR + 2.80%), 4.30%, 10/24/2067(a) (d)
27,000
20,633
Pricoa Global Funding I 5.55%, 8/28/2026(a)
175,000
175,956
Principal Financial Group, Inc. 3.70%, 5/15/2029
235,000
217,682
Principal Life Global Funding II 5.10%, 1/25/2029(a)
400,000
396,065
Protective Life Global Funding 5.47%, 12/8/2028(a)
543,000
546,386
Prudential Financial, Inc.
3.88%, 3/27/2028
32,000
30,613
3.91%, 12/7/2047
250,000
192,375
Prudential Funding Asia plc (Hong Kong) 3.13%, 4/14/2030
470,000
418,594
Teachers Insurance & Annuity Association of America 4.27%, 5/15/2047(a)
800,000
643,402
W R Berkley Corp. 3.55%, 3/30/2052
45,000
30,617
 
11,327,618
Interactive Media & Services — 0.0% ^
Meta Platforms, Inc.
4.80%, 5/15/2030
210,000
209,082
5.60%, 5/15/2053
515,000
521,815
TripAdvisor, Inc. 7.00%, 7/15/2025(a)
420,000
420,726
 
1,151,623
IT Services — 0.1%
Arches Buyer, Inc. 4.25%, 6/1/2028(a)
550,000
480,031
CGI, Inc. (Canada) 1.45%, 9/14/2026
170,000
155,414
Presidio Holdings, Inc. 4.88%, 2/1/2027(a)
605,000
604,434
Twilio, Inc. 3.63%, 3/15/2029
510,000
455,783
 
1,695,662
Leisure Products — 0.0% ^
Amer Sports Co. (Finland) 6.75%, 2/16/2031(a)
480,000
478,272
Hasbro, Inc. 3.90%, 11/19/2029
15,000
13,739
 
492,011
Life Sciences Tools & Services — 0.0% ^
Charles River Laboratories International, Inc. 3.75%, 3/15/2029(a)
120,000
108,546
Danaher Corp. 2.80%, 12/10/2051
300,000
188,013
 
296,559
Machinery — 0.2%
Chart Industries, Inc. 7.50%, 1/1/2030(a)
1,330,000
1,369,779
Esab Corp. 6.25%, 4/15/2029(a)
727,000
728,666
Hillenbrand, Inc. 3.75%, 3/1/2031
984,000
847,771
Illinois Tool Works, Inc. 3.90%, 9/1/2042
15,000
12,456
Parker-Hannifin Corp.
3.25%, 3/1/2027
92,000
87,651
4.25%, 9/15/2027
300,000
291,632

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Machinery — continued
Terex Corp. 5.00%, 5/15/2029(a)
275,000
258,638
Trinity Industries, Inc. 7.75%, 7/15/2028(a)
630,000
649,188
Wabash National Corp. 4.50%, 10/15/2028(a)
750,000
676,872
Xylem, Inc. 1.95%, 1/30/2028
30,000
26,880
 
4,949,533
Marine Transportation — 0.0% ^
MV24 Capital BV (Brazil) 6.75%, 6/1/2034(a)
483,816
452,670
Media — 1.4%
Altice Financing SA (Luxembourg) 5.00%, 1/15/2028(a)
445,000
351,529
Charter Communications Operating LLC
2.25%, 1/15/2029
1,265,000
1,074,748
2.30%, 2/1/2032
1,250,000
958,199
6.65%, 2/1/2034
5,700,000
5,772,919
3.50%, 6/1/2041
85,000
57,113
3.50%, 3/1/2042
535,000
355,736
3.70%, 4/1/2051
40,000
24,484
Clear Channel Outdoor Holdings, Inc. 5.13%, 8/15/2027(a)
1,662,000
1,570,091
Comcast Corp.
2.65%, 2/1/2030
2,230,000
1,957,725
4.25%, 10/15/2030
1,344,000
1,279,382
1.50%, 2/15/2031
450,000
358,492
5.30%, 6/1/2034
540,000
539,578
3.90%, 3/1/2038
515,000
435,021
3.25%, 11/1/2039
813,000
621,513
2.80%, 1/15/2051
2,300,000
1,409,989
2.89%, 11/1/2051
1,520,000
945,494
4.05%, 11/1/2052
500,000
386,846
5.35%, 5/15/2053
3,425,000
3,260,756
2.94%, 11/1/2056
3,348,000
2,012,118
CSC Holdings LLC
5.38%, 2/1/2028(a)
470,000
330,080
6.50%, 2/1/2029(a)
1,570,000
1,062,297
4.50%, 11/15/2031(a)
200,000
122,336
Directv Financing LLC 5.88%, 8/15/2027(a)
956,000
897,696
Discovery Communications LLC 4.00%, 9/15/2055
45,000
28,796
DISH DBS Corp.
5.88%, 11/15/2024
1,356,000
1,291,231
5.25%, 12/1/2026(a)
175,000
139,357
DISH Network Corp. 11.75%, 11/15/2027(a)
2,615,000
2,623,661
Gannett Holdings LLC 6.00%, 11/1/2026(a)
550,000
519,055
Gray Television, Inc.
10.50%, 7/15/2029(a)
720,000
715,225
4.75%, 10/15/2030(a)
100,000
56,889
5.38%, 11/15/2031(a)
135,000
74,973
iHeartCommunications, Inc.
6.38%, 5/1/2026
1,200,000
918,337
8.38%, 5/1/2027
25,000
9,032

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Media — continued
5.25%, 8/15/2027(a)
260,000
143,627
Lamar Media Corp.
3.75%, 2/15/2028
215,000
200,422
4.00%, 2/15/2030
600,000
539,643
News Corp. 3.88%, 5/15/2029(a)
685,000
621,571
Nexstar Media, Inc.
5.63%, 7/15/2027(a)
785,000
740,948
4.75%, 11/1/2028(a)
565,000
498,336
Outfront Media Capital LLC
5.00%, 8/15/2027(a)
461,000
442,704
7.38%, 2/15/2031(a)
455,000
470,221
Scripps Escrow II, Inc. 3.88%, 1/15/2029(a)
270,000
173,379
Scripps Escrow, Inc. 5.88%, 7/15/2027(a)
115,000
74,678
Sinclair Television Group, Inc. 4.13%, 12/1/2030(a)
150,000
101,725
Sirius XM Radio, Inc.
5.00%, 8/1/2027(a)
110,000
104,464
4.00%, 7/15/2028(a)
3,820,000
3,419,520
5.50%, 7/1/2029(a)
160,000
148,602
4.13%, 7/1/2030(a)
792,000
663,814
Stagwell Global LLC 5.63%, 8/15/2029(a)
520,000
475,981
TEGNA, Inc.
4.63%, 3/15/2028
548,000
496,357
5.00%, 9/15/2029
1,007,000
884,940
Univision Communications, Inc.
6.63%, 6/1/2027(a)
540,000
521,694
7.38%, 6/30/2030(a)
730,000
691,771
Videotron Ltd. (Canada) 5.38%, 6/15/2024(a)
37,000
36,928
 
43,612,023
Metals & Mining — 0.4%
Alcoa Nederland Holding BV
5.50%, 12/15/2027(a)
920,000
909,299
6.13%, 5/15/2028(a)
500,000
498,985
ATI, Inc.
5.88%, 12/1/2027
460,000
451,690
7.25%, 8/15/2030
250,000
255,928
BHP Billiton Finance USA Ltd. (Australia) 4.90%, 2/28/2033
100,000
97,594
Big River Steel LLC 6.63%, 1/31/2029(a)
635,000
632,568
Carpenter Technology Corp. 6.38%, 7/15/2028
795,000
793,726
Cleveland-Cliffs, Inc.
5.88%, 6/1/2027
635,000
629,094
4.63%, 3/1/2029(a)
310,000
290,161
6.75%, 4/15/2030(a)
280,000
276,806
Corp. Nacional del Cobre de Chile (Chile)
6.44%, 1/26/2036(a)
237,000
241,147
6.30%, 9/8/2053(a)
200,000
195,563
FMG Resources August 2006 Pty. Ltd. (Australia)
4.50%, 9/15/2027(a)
100,000
94,991

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Metals & Mining — continued
5.88%, 4/15/2030(a)
135,000
130,946
Freeport-McMoRan, Inc.
4.63%, 8/1/2030
231,000
220,965
5.40%, 11/14/2034
183,000
178,471
Glencore Funding LLC (Australia)
3.88%, 10/27/2027(a)
40,000
37,920
6.13%, 10/6/2028(a)
2,000,000
2,044,364
2.50%, 9/1/2030(a)
37,000
31,091
2.85%, 4/27/2031(a)
435,000
366,420
5.63%, 4/4/2034(a)
4,520,000
4,440,371
Newmont Corp. 5.75%, 11/15/2041(a)
300,000
300,608
Rio Tinto Finance USA Ltd. (Australia) 5.20%, 11/2/2040
20,000
19,469
Rio Tinto Finance USA plc (Australia) 4.13%, 8/21/2042
370,000
311,354
Teck Resources Ltd. (Canada) 5.40%, 2/1/2043
20,000
18,247
United States Steel Corp. 6.88%, 3/1/2029
147,000
147,001
Vale Overseas Ltd. (Brazil)
3.75%, 7/8/2030
20,000
17,948
6.13%, 6/12/2033
365,000
364,954
 
13,997,681
Mortgage Real Estate Investment Trusts (REITs) — 0.1%
Great Ajax Operating Partnership LP Series QIB, 8.88%, 9/1/2027(a)
1,000,000
960,372
Starwood Property Trust, Inc. 7.25%, 4/1/2029(a)
730,000
725,989
 
1,686,361
Multi-Utilities — 0.5%
Ameren Corp.
1.95%, 3/15/2027
20,000
18,286
3.50%, 1/15/2031
1,541,000
1,380,781
Ameren Illinois Co. 4.95%, 6/1/2033
750,000
729,933
Berkshire Hathaway Energy Co. 5.15%, 11/15/2043
194,000
182,301
Consolidated Edison Co. of New York, Inc.
Series E, 4.65%, 12/1/2048
225,000
191,571
Series A, 4.13%, 5/15/2049
491,000
385,976
Consumers Energy Co. 4.63%, 5/15/2033
365,000
348,390
Dominion Energy, Inc.
Series B, (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 2.51%), 7.00%, 6/1/2054(d)
410,000
423,268
Series A, (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 2.39%), 6.88%, 2/1/2055(d)
630,000
639,061
DTE Energy Co. 4.88%, 6/1/2028
500,000
492,173
Engie SA (France)
5.25%, 4/10/2029(a)
715,000
710,267
5.63%, 4/10/2034(a)
935,000
932,343
NiSource, Inc. 5.25%, 3/30/2028
275,000
274,258
PG&E Energy Recovery Funding LLC Series A-3, 2.82%, 7/15/2046
70,000
48,853
Public Service Enterprise Group, Inc. 5.45%, 4/1/2034
200,000
197,548
Puget Sound Energy, Inc.
5.76%, 7/15/2040
140,000
137,852
5.45%, 6/1/2053
30,000
28,890

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Multi-Utilities — continued
San Diego Gas & Electric Co.
4.95%, 8/15/2028
350,000
349,229
2.95%, 8/15/2051
170,000
109,793
5.35%, 4/1/2053
3,200,000
3,029,062
Sempra (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 2.79%), 6.88%, 10/1/2054(d)
1,960,000
1,940,768
Southern Co. Gas Capital Corp.
5.75%, 9/15/2033
1,160,000
1,185,508
4.40%, 5/30/2047
100,000
81,541
Series 21A, 3.15%, 9/30/2051
710,000
447,926
WEC Energy Group, Inc. 5.60%, 9/12/2026
270,000
271,120
 
14,536,698
Office REITs — 0.0% ^
Alexandria Real Estate Equities, Inc.
1.88%, 2/1/2033
53,000
39,733
5.15%, 4/15/2053
30,000
26,470
COPT Defense Properties LP 2.25%, 3/15/2026
94,000
88,477
 
154,680
Oil, Gas & Consumable Fuels — 3.0%
Aker BP ASA (Norway) 3.10%, 7/15/2031(a)
250,000
211,677
Antero Midstream Partners LP
5.75%, 3/1/2027(a)
430,000
425,105
5.75%, 1/15/2028(a)
815,000
797,278
5.38%, 6/15/2029(a)
485,000
464,833
Antero Resources Corp.
7.63%, 2/1/2029(a)
1,023,000
1,053,802
5.38%, 3/1/2030(a)
125,000
119,634
Apache Corp. 4.38%, 10/15/2028
179,000
168,378
Ascent Resources Utica Holdings LLC 8.25%, 12/31/2028(a)
855,000
874,550
Baytex Energy Corp. (Canada) 8.50%, 4/30/2030(a)
1,014,000
1,057,422
Blue Racer Midstream LLC
6.63%, 7/15/2026(a)
850,000
849,075
7.00%, 7/15/2029(a)
216,000
218,265
7.25%, 7/15/2032(a)
160,000
163,017
BP Capital Markets America, Inc.
2.72%, 1/12/2032
557,000
472,350
4.81%, 2/13/2033
3,760,000
3,636,590
4.89%, 9/11/2033
710,000
689,293
3.00%, 2/24/2050
174,000
113,315
2.94%, 6/4/2051
67,000
42,677
3.00%, 3/17/2052
1,085,000
700,696
BP Capital Markets plc (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 4.40%), 4.88%,
3/22/2030(d) (f) (g)
155,000
146,244
Buckeye Partners LP
3.95%, 12/1/2026
795,000
756,191
4.13%, 12/1/2027
175,000
162,292
California Resources Corp. 7.13%, 2/1/2026(a)
325,000
326,641
Cameron LNG LLC 3.70%, 1/15/2039(a)
20,000
16,139

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Oil, Gas & Consumable Fuels — continued
Cheniere Energy Partners LP
4.50%, 10/1/2029
1,169,000
1,110,929
4.00%, 3/1/2031
3,000,000
2,703,765
5.75%, 8/15/2034(a)
2,225,000
2,210,162
Chesapeake Energy Corp.
5.88%, 2/1/2029(a)
650,000
639,160
6.75%, 4/15/2029(a)
1,175,000
1,178,083
Chord Energy Corp. 6.38%, 6/1/2026(a)
730,000
728,829
Civitas Resources, Inc.
8.38%, 7/1/2028(a)
290,000
304,351
8.63%, 11/1/2030(a)
1,040,000
1,112,469
8.75%, 7/1/2031(a)
1,467,000
1,566,190
Columbia Pipelines Operating Co. LLC
6.04%, 11/15/2033(a)
360,000
366,945
6.50%, 8/15/2043(a)
210,000
218,982
Comstock Resources, Inc.
6.75%, 3/1/2029(a)
1,165,000
1,126,887
5.88%, 1/15/2030(a)
35,000
32,263
ConocoPhillips Co.
3.80%, 3/15/2052
610,000
455,632
5.55%, 3/15/2054
2,340,000
2,304,720
Coterra Energy, Inc. 3.90%, 5/15/2027
30,000
28,782
Crescent Energy Finance LLC 9.25%, 2/15/2028(a)
1,495,000
1,582,795
Diamondback Energy, Inc. 5.40%, 4/18/2034
452,000
445,556
DT Midstream, Inc.
4.13%, 6/15/2029(a)
1,180,000
1,079,053
4.38%, 6/15/2031(a)
180,000
161,683
4.30%, 4/15/2032(a)
80,000
71,877
Ecopetrol SA (Colombia) 8.38%, 1/19/2036
257,000
250,093
Enbridge, Inc. (Canada)
5.63%, 4/5/2034
970,000
964,160
(US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 4.43%), 8.50%, 1/15/2084(d)
1,025,000
1,101,570
Encino Acquisition Partners Holdings LLC 8.50%, 5/1/2028(a)
415,000
423,095
Energy Transfer LP
4.15%, 9/15/2029
1,150,000
1,084,984
5.75%, 2/15/2033
450,000
449,932
5.95%, 5/15/2054
1,000,000
962,107
Eni SpA (Italy) 5.95%, 5/15/2054(a)
520,000
514,182
Eni USA, Inc. (Italy) 7.30%, 11/15/2027
140,000
147,744
EnLink Midstream LLC 5.38%, 6/1/2029
947,000
921,354
EnLink Midstream Partners LP
4.85%, 7/15/2026
645,000
630,629
5.60%, 4/1/2044
404,000
354,671
Enterprise Products Operating LLC Series H, 6.65%, 10/15/2034
530,000
580,041
EQM Midstream Partners LP
4.13%, 12/1/2026
420,000
403,552
7.50%, 6/1/2027(a)
1,245,000
1,272,000
6.50%, 7/1/2027(a)
405,000
408,397

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Oil, Gas & Consumable Fuels — continued
5.50%, 7/15/2028
365,000
357,904
4.50%, 1/15/2029(a)
215,000
200,373
4.75%, 1/15/2031(a)
335,000
307,627
Exxon Mobil Corp.
4.23%, 3/19/2040
750,000
662,469
3.10%, 8/16/2049
220,000
149,908
Flex Intermediate Holdco LLC
3.36%, 6/30/2031(a)
15,000
12,337
4.32%, 12/30/2039(a)
20,000
14,425
Genesis Energy LP
8.00%, 1/15/2027
385,000
392,361
7.75%, 2/1/2028
630,000
632,769
Gray Oak Pipeline LLC 2.60%, 10/15/2025(a)
477,000
456,724
Greenko Dutch BV (India) 3.85%, 3/29/2026(a)
364,000
342,474
Greensaif Pipelines Bidco SARL (Saudi Arabia) 6.51%, 2/23/2042(a)
400,000
410,740
Gulfport Energy Corp. 8.00%, 5/17/2026(a)
950,000
963,023
Harvest Midstream I LP 7.50%, 5/15/2032(a)
530,000
537,188
Hess Corp. 4.30%, 4/1/2027
1,350,000
1,314,096
Hess Midstream Operations LP
5.63%, 2/15/2026(a)
105,000
104,338
5.50%, 10/15/2030(a)
275,000
263,938
Hilcorp Energy I LP 5.75%, 2/1/2029(a)
1,384,000
1,336,941
Kinetik Holdings LP
6.63%, 12/15/2028(a)
1,090,000
1,101,499
5.88%, 6/15/2030(a)
3,259,000
3,175,857
Matador Resources Co. 6.50%, 4/15/2032(a)
860,000
858,324
MEG Energy Corp. (Canada) 5.88%, 2/1/2029(a)
430,000
417,330
MPLX LP
2.65%, 8/15/2030
470,000
401,458
5.50%, 6/1/2034
1,220,000
1,193,279
4.95%, 3/14/2052
55,000
46,833
NGL Energy Operating LLC
8.13%, 2/15/2029(a)
273,000
277,900
8.38%, 2/15/2032(a)
428,000
435,896
NGPL PipeCo LLC 3.25%, 7/15/2031(a)
710,000
603,063
NuStar Logistics LP
5.75%, 10/1/2025
250,000
248,487
5.63%, 4/28/2027
395,000
389,053
Occidental Petroleum Corp. 6.20%, 3/15/2040
1,255,000
1,262,780
Ovintiv, Inc. 6.25%, 7/15/2033
274,000
281,301
Permian Resources Operating LLC
5.38%, 1/15/2026(a)
315,000
311,181
7.75%, 2/15/2026(a)
295,000
297,558
5.88%, 7/1/2029(a)
910,000
891,781
9.88%, 7/15/2031(a)
275,000
304,269
7.00%, 1/15/2032(a)
370,000
377,996
Petroleos Mexicanos (Mexico)
6.88%, 8/4/2026
300,000
292,620

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Oil, Gas & Consumable Fuels — continued
5.35%, 2/12/2028
300,000
264,600
10.00%, 2/7/2033
1,100,000
1,107,700
7.69%, 1/23/2050
800,000
580,720
Phillips 66 4.65%, 11/15/2034
330,000
305,974
Pioneer Natural Resources Co.
1.13%, 1/15/2026
50,000
46,777
1.90%, 8/15/2030
2,330,000
1,947,351
Raizen Fuels Finance SA (Brazil) 6.45%, 3/5/2034(a)
245,000
247,967
Range Resources Corp.
4.88%, 5/15/2025
45,000
44,613
8.25%, 1/15/2029
1,275,000
1,324,710
Rockies Express Pipeline LLC
3.60%, 5/15/2025(a)
385,000
374,267
4.95%, 7/15/2029(a)
465,000
430,703
4.80%, 5/15/2030(a)
440,000
401,918
Sabine Pass Liquefaction LLC
5.63%, 3/1/2025
90,000
89,821
5.00%, 3/15/2027
1,225,000
1,214,783
4.50%, 5/15/2030
894,000
853,904
SM Energy Co.
6.75%, 9/15/2026
250,000
249,615
6.63%, 1/15/2027
605,000
601,480
Southwestern Energy Co.
5.70%, 1/23/2025(j)
2,000
1,991
8.38%, 9/15/2028
305,000
314,914
5.38%, 2/1/2029
1,215,000
1,168,487
5.38%, 3/15/2030
370,000
355,905
Suncor Energy, Inc. (Canada) 6.80%, 5/15/2038
83,000
88,713
Sunoco LP
6.00%, 4/15/2027
185,000
183,378
5.88%, 3/15/2028
430,000
423,006
7.00%, 5/1/2029(a)
200,000
204,222
4.50%, 5/15/2029
180,000
165,176
4.50%, 4/30/2030
815,000
735,622
7.25%, 5/1/2032(a)
480,000
491,416
Tallgrass Energy Partners LP
6.00%, 3/1/2027(a)
395,000
386,762
5.50%, 1/15/2028(a)
55,000
52,460
7.38%, 2/15/2029(a)
330,000
330,877
6.00%, 12/31/2030(a)
865,000
815,211
6.00%, 9/1/2031(a)
40,000
37,465
TotalEnergies Capital International SA (France)
2.99%, 6/29/2041
270,000
196,583
3.46%, 7/12/2049
424,000
307,260
TotalEnergies Capital SA (France)
5.49%, 4/5/2054
1,400,000
1,383,827
5.64%, 4/5/2064
2,705,000
2,693,041

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Oil, Gas & Consumable Fuels — continued
TransCanada PipeLines Ltd. (Canada)
4.63%, 3/1/2034
1,300,000
1,207,717
4.75%, 5/15/2038
500,000
453,668
5.10%, 3/15/2049
48,000
43,407
Valero Energy Corp. 2.15%, 9/15/2027
25,000
22,621
Venture Global Calcasieu Pass LLC 3.88%, 8/15/2029(a)
570,000
513,345
Venture Global LNG, Inc.
8.13%, 6/1/2028(a)
3,280,000
3,352,142
9.50%, 2/1/2029(a)
1,355,000
1,469,526
8.38%, 6/1/2031(a)
415,000
427,948
Vital Energy, Inc. 7.88%, 4/15/2032(a)
450,000
456,910
 
93,361,691
Passenger Airlines — 0.2%
American Airlines, Inc.
5.50%, 4/20/2026(a)
1,096,667
1,086,303
7.25%, 2/15/2028(a)
225,000
224,674
5.75%, 4/20/2029(a)
1,375,000
1,329,714
Continental Airlines Pass-Through Trust Series 2012-2, Class A Shares, 4.00%, 10/29/2024
24,371
24,196
Mileage Plus Holdings LLC 6.50%, 6/20/2027(a)
1,023,750
1,024,730
United Airlines Holdings, Inc. 4.88%, 1/15/2025
16,000
15,884
United Airlines Pass-Through Trust Series 2016-2, Class A Shares, 3.10%, 10/7/2028
6,664
5,950
United Airlines, Inc. 4.63%, 4/15/2029(a)
695,000
642,389
VistaJet Malta Finance plc (Switzerland) 9.50%, 6/1/2028(a)
480,000
436,555
 
4,790,395
Personal Care Products — 0.0% ^
Edgewell Personal Care Co.
5.50%, 6/1/2028(a)
545,000
529,824
4.13%, 4/1/2029(a)
70,000
63,728
Estee Lauder Cos., Inc. (The) 2.60%, 4/15/2030
258,000
225,140
Kenvue, Inc. 5.10%, 3/22/2043
300,000
289,307
 
1,107,999
Pharmaceuticals — 0.7%
Astrazeneca Finance LLC (United Kingdom) 4.88%, 3/3/2033
500,000
493,092
AstraZeneca plc (United Kingdom) 1.38%, 8/6/2030
370,000
300,119
Bausch Health Americas, Inc.
9.25%, 4/1/2026(a)
263,000
245,040
8.50%, 1/31/2027(a)
88,000
63,748
Bausch Health Cos., Inc.
5.50%, 11/1/2025(a)
1,357,000
1,279,773
5.75%, 8/15/2027(a)
30,000
23,700
4.88%, 6/1/2028(a)
280,000
205,100
Bristol-Myers Squibb Co.
5.75%, 2/1/2031
500,000
517,161
5.20%, 2/22/2034
1,760,000
1,748,633
4.13%, 6/15/2039
629,000
543,993
2.35%, 11/13/2040
480,000
317,198

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Pharmaceuticals — continued
3.70%, 3/15/2052
975,000
712,610
5.55%, 2/22/2054
1,870,000
1,841,132
3.90%, 3/15/2062
180,000
129,665
6.40%, 11/15/2063
520,000
567,161
5.65%, 2/22/2064
600,000
586,301
Eli Lilly & Co. 4.95%, 2/27/2063
740,000
683,046
Merck & Co., Inc.
5.00%, 5/17/2053
235,000
219,733
5.15%, 5/17/2063
425,000
401,265
Organon & Co.
4.13%, 4/30/2028(a)
700,000
646,578
5.13%, 4/30/2031(a)
750,000
662,780
Pfizer Investment Enterprises Pte. Ltd.
4.75%, 5/19/2033
540,000
522,128
5.30%, 5/19/2053
1,275,000
1,218,937
5.34%, 5/19/2063
3,600,000
3,382,867
Pfizer, Inc. 4.40%, 5/15/2044
500,000
444,724
Roche Holdings, Inc.
5.49%, 11/13/2030(a)
1,620,000
1,654,653
4.99%, 3/8/2034(a)
380,000
375,660
Royalty Pharma plc 1.20%, 9/2/2025
166,000
157,164
Takeda Pharmaceutical Co. Ltd. (Japan)
5.00%, 11/26/2028
1,000,000
990,467
3.03%, 7/9/2040
400,000
293,190
Zoetis, Inc.
2.00%, 5/15/2030
435,000
363,263
5.60%, 11/16/2032
214,000
218,520
 
21,809,401
Real Estate Management & Development — 0.0% ^
Anywhere Real Estate Group LLC 5.75%, 1/15/2029(a)
105,000
72,049
Kennedy-Wilson, Inc. 4.75%, 3/1/2029
75,000
63,778
Ontario Teachers' Cadillac Fairview Properties Trust (Canada) 3.88%, 3/20/2027(a)
200,000
192,209
 
328,036
Residential REITs — 0.0% ^
AvalonBay Communities, Inc. 3.35%, 5/15/2027
32,000
30,439
Camden Property Trust
5.85%, 11/3/2026
400,000
404,625
3.15%, 7/1/2029
130,000
117,488
ERP Operating LP 3.25%, 8/1/2027
191,000
180,025
Essex Portfolio LP 2.65%, 3/15/2032
535,000
436,962
Mid-America Apartments LP 4.20%, 6/15/2028
100,000
96,598
UDR, Inc. 2.10%, 8/1/2032
45,000
34,803
 
1,300,940
Retail REITs — 0.1%
NNN REIT, Inc.
3.60%, 12/15/2026
39,000
37,323

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Retail REITs — continued
5.60%, 10/15/2033
100,000
99,563
5.50%, 6/15/2034
220,000
217,035
Realty Income Corp.
4.13%, 10/15/2026
44,000
42,865
3.25%, 1/15/2031
279,000
246,464
Regency Centers LP 3.70%, 6/15/2030
685,000
625,865
Scentre Group Trust 1 (Australia)
3.50%, 2/12/2025(a)
150,000
147,610
3.25%, 10/28/2025(a)
160,000
154,910
 
1,571,635
Semiconductors & Semiconductor Equipment — 0.3%
Amkor Technology, Inc. 6.63%, 9/15/2027(a)
885,000
884,899
ams-OSRAM AG (Austria) 12.25%, 3/30/2029(a)
750,000
774,773
Broadcom, Inc. 3.14%, 11/15/2035(a)
1,465,000
1,164,502
Entegris, Inc.
4.38%, 4/15/2028(a)
460,000
430,293
3.63%, 5/1/2029(a)
180,000
159,932
5.95%, 6/15/2030(a)
690,000
679,196
Intel Corp. 5.70%, 2/10/2053
921,000
901,029
KLA Corp.
4.65%, 7/15/2032
440,000
426,355
5.00%, 3/15/2049
100,000
93,005
3.30%, 3/1/2050
280,000
196,604
Marvell Technology, Inc.
5.75%, 2/15/2029
550,000
559,568
2.95%, 4/15/2031
85,000
72,776
NVIDIA Corp. 3.50%, 4/1/2040
100,000
82,695
NXP BV (China)
3.25%, 5/11/2041
270,000
195,836
3.13%, 2/15/2042
330,000
231,960
QUALCOMM, Inc.
4.25%, 5/20/2032
55,000
52,243
4.50%, 5/20/2052
415,000
357,613
Synaptics, Inc. 4.00%, 6/15/2029(a)
485,000
434,350
Texas Instruments, Inc. 5.05%, 5/18/2063
1,931,000
1,799,900
TSMC Arizona Corp. (Taiwan) 2.50%, 10/25/2031
960,000
808,224
TSMC Global Ltd. (Taiwan) 1.00%, 9/28/2027(a)
380,000
331,431
 
10,637,184
Software — 0.3%
Black Knight InfoServ LLC 3.63%, 9/1/2028(a)
220,000
204,851
Clarivate Science Holdings Corp. 3.88%, 7/1/2028(a)
260,000
238,105
Elastic NV 4.13%, 7/15/2029(a)
695,000
621,402
Intuit, Inc.
5.20%, 9/15/2033
541,000
540,078
5.50%, 9/15/2053
580,000
578,657
Microsoft Corp.
1.35%, 9/15/2030(a)
230,000
187,470

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Software — continued
2.50%, 9/15/2050(a)
300,000
185,395
NCR Voyix Corp.
5.00%, 10/1/2028(a)
1,145,000
1,071,439
5.13%, 4/15/2029(a)
270,000
250,700
Oracle Corp.
2.65%, 7/15/2026
583,000
550,542
2.30%, 3/25/2028
15,000
13,496
3.80%, 11/15/2037
1,150,000
945,589
3.65%, 3/25/2041
115,000
88,141
3.95%, 3/25/2051
375,000
276,258
4.38%, 5/15/2055
305,000
237,407
RingCentral, Inc. 8.50%, 8/15/2030(a)
705,000
737,742
Roper Technologies, Inc. 1.75%, 2/15/2031
355,000
284,114
SS&C Technologies, Inc. 5.50%, 9/30/2027(a)
980,000
959,772
VMware LLC 4.65%, 5/15/2027
285,000
279,533
Workday, Inc. 3.70%, 4/1/2029
172,000
160,994
 
8,411,685
Specialized REITs — 0.1%
American Tower Corp.
1.45%, 9/15/2026
85,000
77,707
5.20%, 2/15/2029
600,000
595,511
5.90%, 11/15/2033
100,000
102,186
2.95%, 1/15/2051
25,000
15,521
Crown Castle, Inc. 2.90%, 3/15/2027
270,000
252,509
Equinix, Inc. 3.90%, 4/15/2032
80,000
72,178
Extra Space Storage LP 2.20%, 10/15/2030
88,000
72,051
Iron Mountain, Inc.
4.88%, 9/15/2027(a)
455,000
438,875
5.00%, 7/15/2028(a)
610,000
578,831
Public Storage Operating Co.
2.25%, 11/9/2031
90,000
73,683
5.10%, 8/1/2033
304,000
299,890
SBA Communications Corp. 3.13%, 2/1/2029
930,000
818,227
 
3,397,169
Specialty Retail — 0.4%
Asbury Automotive Group, Inc.
4.50%, 3/1/2028
297,000
280,528
4.63%, 11/15/2029(a)
625,000
575,011
AutoZone, Inc. 1.65%, 1/15/2031
500,000
398,362
Bath & Body Works, Inc.
5.25%, 2/1/2028
175,000
170,047
7.50%, 6/15/2029
923,000
947,642
6.88%, 11/1/2035
950,000
958,126
Gap, Inc. (The) 3.63%, 10/1/2029(a)
430,000
372,120
Group 1 Automotive, Inc. 4.00%, 8/15/2028(a)
483,000
440,940
Home Depot, Inc. (The)
1.88%, 9/15/2031
770,000
623,048

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Specialty Retail — continued
4.50%, 9/15/2032
540,000
522,739
4.25%, 4/1/2046
301,000
252,089
3.63%, 4/15/2052
805,000
590,736
Lithia Motors, Inc. 3.88%, 6/1/2029(a)
480,000
427,520
Lowe's Cos., Inc.
1.70%, 10/15/2030
170,000
137,743
5.63%, 4/15/2053
1,350,000
1,306,235
O'Reilly Automotive, Inc.
1.75%, 3/15/2031
73,000
58,556
4.70%, 6/15/2032
90,000
86,258
Penske Automotive Group, Inc. 3.75%, 6/15/2029
769,000
683,872
PetSmart, Inc. 4.75%, 2/15/2028(a)
1,350,000
1,253,751
Sonic Automotive, Inc. 4.63%, 11/15/2029(a)
615,000
552,557
SRS Distribution, Inc. 4.63%, 7/1/2028(a)
700,000
695,972
Staples, Inc.
10.75%, 4/15/2027(a)
23,000
20,477
10.75%, 9/1/2029(a) (k)
1,365,000
1,320,783
TJX Cos., Inc. (The) 3.88%, 4/15/2030
160,000
150,920
 
12,826,032
Technology Hardware, Storage & Peripherals — 0.2%
Apple, Inc.
4.38%, 5/13/2045
429,000
382,601
2.65%, 2/8/2051
1,140,000
716,934
2.70%, 8/5/2051
670,000
422,970
2.85%, 8/5/2061
750,000
460,714
Seagate HDD Cayman
4.09%, 6/1/2029
150,000
137,302
3.13%, 7/15/2029
335,000
286,909
8.25%, 12/15/2029(a)
924,000
988,415
4.13%, 1/15/2031
114,000
100,058
8.50%, 7/15/2031(a)
600,000
640,107
9.63%, 12/1/2032
140,000
158,585
Xerox Holdings Corp. 8.88%, 11/30/2029(a)
480,000
464,920
 
4,759,515
Textiles, Apparel & Luxury Goods — 0.0% ^
Hanesbrands, Inc. 4.88%, 5/15/2026(a)
130,000
126,112
William Carter Co. (The) 5.63%, 3/15/2027(a)
205,000
201,314
 
327,426
Tobacco — 0.4%
Altria Group, Inc. 2.45%, 2/4/2032
480,000
385,783
BAT Capital Corp. (United Kingdom)
2.26%, 3/25/2028
1,045,000
932,234
4.39%, 8/15/2037
479,000
404,093
4.54%, 8/15/2047
443,000
344,076
Philip Morris International, Inc.
3.13%, 3/2/2028
459,000
426,725

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Corporate Bonds — continued
Tobacco — continued
5.75%, 11/17/2032
820,000
836,885
5.38%, 2/15/2033
1,545,000
1,532,251
5.63%, 9/7/2033
3,140,000
3,166,016
5.25%, 2/13/2034
2,970,000
2,908,945
4.38%, 11/15/2041
345,000
290,444
 
11,227,452
Trading Companies & Distributors — 0.3%
Aviation Capital Group LLC 4.13%, 8/1/2025(a)
110,000
107,639
Beacon Roofing Supply, Inc. 6.50%, 8/1/2030(a)
765,000
765,679
EquipmentShare.com, Inc. 9.00%, 5/15/2028(a)
645,000
665,438
Herc Holdings, Inc. 5.50%, 7/15/2027(a)
817,000
797,637
Imola Merger Corp. 4.75%, 5/15/2029(a)
740,000
688,782
United Rentals North America, Inc.
4.88%, 1/15/2028
1,245,000
1,198,513
5.25%, 1/15/2030
1,195,000
1,147,148
WESCO Distribution, Inc.
7.25%, 6/15/2028(a)
1,460,000
1,487,289
6.38%, 3/15/2029(a)
1,015,000
1,018,715
6.63%, 3/15/2032(a)
300,000
301,456
 
8,178,296
Transportation Infrastructure — 0.0% ^
Transurban Finance Co. Pty. Ltd. (Australia) 2.45%, 3/16/2031(a)
212,000
176,162
Water Utilities — 0.0% ^
American Water Capital Corp.
5.15%, 3/1/2034
500,000
493,490
5.45%, 3/1/2054
420,000
405,441
 
898,931
Wireless Telecommunication Services — 0.3%
Altice France Holding SA (Luxembourg) 10.50%, 5/15/2027(a)
200,000
73,998
Hughes Satellite Systems Corp.
5.25%, 8/1/2026
185,000
125,320
6.63%, 8/1/2026
215,000
87,613
Rogers Communications, Inc. (Canada) 4.55%, 3/15/2052
40,000
32,580
Sprint LLC 7.63%, 3/1/2026
71,000
72,879
T-Mobile USA, Inc.
4.80%, 7/15/2028
2,140,000
2,105,365
2.63%, 2/15/2029
1,493,000
1,326,223
3.38%, 4/15/2029
3,835,000
3,509,777
5.20%, 1/15/2033
750,000
738,191
5.05%, 7/15/2033
355,000
345,657
5.65%, 1/15/2053
500,000
491,956
United States Cellular Corp. 6.70%, 12/15/2033
662,000
696,805
 
9,606,364
Total Corporate Bonds
(Cost $898,989,592)
895,868,612

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Mortgage-Backed Securities — 27.4%
Cumberland 3PK , 5.33%, 5/1/2033‡ (k)
10,000,000
10,191,741
FHLMC Gold Pools, 30 Year Pool # G60855, 4.50%, 12/1/2045
61,350
58,982
FHLMC Gold Pools, Other
Pool # WN1158, 1.80%, 11/1/2028
4,000,000
3,493,645
Pool # WN2203, 3.75%, 8/1/2032
1,200,000
1,101,796
Pool # WN3233, 3.19%, 7/1/2033
4,000,000
3,533,291
Pool # N31271, 4.50%, 1/1/2036
12,506
11,895
Pool # RE0003, 4.00%, 7/1/2049
2,174,365
2,009,945
Pool # RE6055, 2.50%, 8/1/2050
13,466,254
10,677,916
FHLMC UMBS, 20 Year Pool # SC0310, 2.00%, 8/1/2042
888,862
736,542
FHLMC UMBS, 30 Year
Pool # SI2041, 3.00%, 10/1/2049
13,756,814
11,738,066
Pool # QA5045, 4.00%, 11/1/2049
42,668
39,286
Pool # RA1983, 3.00%, 2/1/2050
4,023,461
3,441,259
Pool # QB1397, 2.50%, 7/1/2050
2,106,646
1,704,898
Pool # SD8089, 2.50%, 7/1/2050
4,189,587
3,417,378
Pool # QB1686, 2.50%, 8/1/2050
3,364,930
2,751,284
Pool # QB2772, 2.50%, 8/1/2050
2,192,699
1,791,518
Pool # SI2064, 3.00%, 8/1/2050
4,616,946
3,934,597
Pool # RA5422, 3.00%, 6/1/2051
8,212,705
6,960,432
Pool # QC7968, 2.50%, 10/1/2051
3,993,706
3,260,008
Pool # RA6228, 2.50%, 11/1/2051
4,922,566
4,017,142
Pool # RA6222, 3.00%, 11/1/2051
3,300,551
2,782,094
Pool # SD2968, 2.00%, 12/1/2051(k)
6,397,637
4,983,160
Pool # RA6359, 2.50%, 12/1/2051
4,737,349
3,837,016
Pool # RA6617, 2.50%, 1/1/2052
6,810,008
5,550,123
Pool # RA6815, 2.50%, 2/1/2052
1,481,486
1,209,772
Pool # SD3770, 2.50%, 3/1/2052
2,219,348
1,798,580
Pool # SD2301, 3.50%, 3/1/2052
1,297,325
1,146,138
Pool # SD7554, 2.50%, 4/1/2052
6,849,058
5,628,868
Pool # SD1464, 3.00%, 5/1/2052
988,666
834,269
Pool # SD3781, 4.00%, 7/1/2052
5,168,144
4,699,982
Pool # SD1303, 4.50%, 7/1/2052
1,463,664
1,372,065
Pool # SD4181, 3.50%, 8/1/2052
5,694,936
5,028,644
Pool # QE8091, 4.00%, 8/1/2052
1,655,924
1,505,761
Pool # SD1725, 4.00%, 10/1/2052
1,843,083
1,675,660
Pool # QF3433, 5.00%, 11/1/2052
1,930,248
1,869,991
Pool # RA8766, 5.00%, 3/1/2053
1,872,717
1,803,900
Pool # SD3567, 4.50%, 5/1/2053
3,841,812
3,603,023
Pool # RA9669, 5.00%, 8/1/2053
3,696,057
3,557,747
FNMA / FHLMC UMBS, Single Family, 30 Year
TBA, 4.00%, 6/25/2054(k)
1,825,000
1,656,101
TBA, 5.00%, 6/25/2054(k)
35,000,000
33,682,769
FNMA UMBS, 15 Year Pool # FM8445, 3.00%, 4/1/2033
3,353,597
3,236,269
FNMA UMBS, 20 Year Pool # MA3004, 4.00%, 5/1/2037
294,745
281,126
FNMA UMBS, 30 Year
Pool # AL2374, 4.00%, 12/1/2041
86,386
80,885
Pool # AL4244, 4.00%, 7/1/2042
98,930
92,897
Pool # BM1164, 3.50%, 12/1/2045
71,745
64,337

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Mortgage-Backed Securities — continued
Pool # MA3073, 4.50%, 7/1/2047
16,674
15,939
Pool # BK4769, 5.00%, 8/1/2048
294,964
290,119
Pool # BN5013, 5.00%, 1/1/2049
109,255
107,048
Pool # BO1073, 4.50%, 6/1/2049
13,003
12,272
Pool # BO3039, 3.00%, 7/1/2049
156,605
132,013
Pool # BN6475, 4.00%, 7/1/2049
7,603
7,003
Pool # BO2562, 4.00%, 7/1/2049
68,605
63,285
Pool # BO4519, 4.00%, 8/1/2049
3,420
3,141
Pool # BO2203, 3.50%, 9/1/2049
218,923
195,114
Pool # FS1186, 3.50%, 1/1/2050
1,595,466
1,405,409
Pool # FM3365, 3.00%, 3/1/2050
2,750,604
2,352,063
Pool # CA5702, 2.50%, 5/1/2050
1,250,395
1,028,513
Pool # CA6587, 2.00%, 8/1/2050
1,999,979
1,563,937
Pool # CA6989, 2.50%, 9/1/2050
4,483,420
3,695,364
Pool # FM5179, 2.00%, 12/1/2050
14,295,435
11,178,588
Pool # BQ4516, 2.00%, 2/1/2051
7,869,884
6,111,614
Pool # CB0397, 3.00%, 5/1/2051
1,001,727
851,189
Pool # FS5384, 2.50%, 6/1/2051
5,655,023
4,645,439
Pool # BT2415, 2.50%, 7/1/2051(k)
6,523,026
5,292,329
Pool # FM7957, 2.50%, 7/1/2051
14,822,895
12,115,150
Pool # CB1401, 3.00%, 8/1/2051
5,537,050
4,717,010
Pool # CB1406, 3.00%, 8/1/2051
13,973,726
11,873,672
Pool # CB1411, 3.00%, 8/1/2051
3,737,057
3,175,473
Pool # BU0070, 2.50%, 10/1/2051
882,599
715,209
Pool # FM9198, 2.50%, 11/1/2051
6,113,805
5,015,168
Pool # FS5389, 2.50%, 11/1/2051
2,702,713
2,208,058
Pool # FS0009, 3.50%, 11/1/2051
3,004,804
2,647,456
Pool # FM9961, 3.00%, 12/1/2051
451,036
379,757
Pool # MA4494, 3.00%, 12/1/2051
3,925,232
3,319,530
Pool # FS4108, 4.00%, 12/1/2051
3,727,257
3,394,837
Pool # CB2637, 2.50%, 1/1/2052
446,398
362,377
Pool # FS0374, 2.50%, 1/1/2052(k)
17,676,676
14,460,808
Pool # BV0273, 3.00%, 1/1/2052
273,826
230,811
Pool # CB2670, 3.00%, 1/1/2052
416,638
351,177
Pool # CB2869, 2.50%, 2/1/2052
8,826,646
7,137,523
Pool # MA4548, 2.50%, 2/1/2052
6,241,664
5,055,478
Pool # BV3930, 3.00%, 2/1/2052
537,879
453,493
Pool # BV0295, 3.50%, 2/1/2052
557,205
498,065
Pool # FS7119, 2.50%, 3/1/2052
6,868,749
5,589,467
Pool # FS7150, 2.50%, 3/1/2052
8,846,751
7,227,570
Pool # FS7942, 2.50%, 3/1/2052
8,500,000
6,965,017
Pool # FS0957, 3.00%, 3/1/2052
259,814
218,857
Pool # FS1954, 3.00%, 3/1/2052
1,689,912
1,453,506
Pool # FS4393, 3.00%, 3/1/2052
3,160,848
2,663,319
Pool # CB3132, 3.50%, 3/1/2052
2,825,785
2,478,271
Pool # FS1538, 3.00%, 4/1/2052
8,544,086
7,261,331
Pool # CB3378, 4.00%, 4/1/2052
3,156,419
2,869,841
Pool # CB3384, 4.00%, 4/1/2052
7,731,678
7,030,114
Pool # BW6017, 3.50%, 5/1/2052
580,308
513,792

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Mortgage-Backed Securities — continued
Pool # CB3608, 3.50%, 5/1/2052
4,741,105
4,160,596
Pool # FS2588, 4.50%, 8/1/2052
1,552,844
1,455,723
Pool # FS3536, 4.50%, 8/1/2052
1,840,145
1,723,917
Pool # CB4830, 4.50%, 9/1/2052
1,391,393
1,304,740
Pool # FS3829, 4.50%, 9/1/2052
1,315,823
1,233,527
Pool # CB4628, 5.00%, 9/1/2052
2,196,641
2,116,375
Pool # FS2982, 5.00%, 9/1/2052
2,818,895
2,719,012
Pool # CB4837, 5.00%, 10/1/2052
1,464,839
1,421,154
Pool # BX0627, 5.00%, 11/1/2052
1,837,910
1,779,436
Pool # CB5413, 4.00%, 12/1/2052
1,943,668
1,769,113
Pool # CB5428, 4.50%, 12/1/2052
1,950,871
1,834,296
Pool # BX3808, 5.00%, 3/1/2053
948,760
919,726
Pool # BX3811, 5.00%, 3/1/2053
1,564,235
1,508,635
Pool # CB5896, 5.00%, 3/1/2053
1,803,606
1,740,928
Pool # BX3824, 5.50%, 3/1/2053
340,786
336,046
Pool # CB5907, 5.50%, 3/1/2053
1,073,385
1,062,683
Pool # BY4714, 5.00%, 6/1/2053
3,137,962
3,020,652
Pool # BY4776, 5.00%, 7/1/2053
2,949,040
2,838,655
Pool # BY4736, 5.50%, 7/1/2053
2,788,276
2,749,494
Pool # BY7218, 5.00%, 9/1/2053
1,545,888
1,487,958
Pool # DB3630, 5.50%, 6/1/2054
1,985,000
1,953,015
FNMA, Other
Pool # AM8846, 2.68%, 5/1/2025
136,003
132,301
Pool # AM0414, 2.87%, 9/1/2027
390,746
365,940
Pool # AN7560, 2.90%, 12/1/2027
178,650
166,685
Pool # BS8981, 5.04%, 2/1/2029
3,822,000
3,841,502
Pool # BL2367, 3.48%, 5/1/2029
524,649
492,174
Pool # BS6079, 3.52%, 7/1/2029
2,500,000
2,354,718
Pool # AN6730, 3.01%, 9/1/2029
1,984,495
1,820,355
Pool # BS6621, 3.50%, 9/1/2029
4,000,000
3,737,357
Pool # BS7011, 4.81%, 9/1/2029
2,962,206
2,934,770
Pool # BS8075, 5.00%, 9/1/2029
1,500,000
1,507,115
Pool # BS1577, 1.82%, 2/1/2030
841,620
717,395
Pool # BS6827, 4.19%, 5/1/2030
902,494
870,418
Pool # BS4878, 2.44%, 6/1/2030
583,476
511,207
Pool # BS8846, 4.09%, 7/1/2030
2,500,000
2,395,228
Pool # BS9022, 4.46%, 7/1/2030
2,640,000
2,580,747
Pool # 387898, 3.71%, 8/1/2030
729,914
681,856
Pool # BS6088, 4.04%, 8/1/2030
4,615,000
4,378,981
Pool # BS5171, 2.51%, 10/1/2030
1,925,000
1,678,367
Pool # BS5985, 3.99%, 11/1/2030
423,025
402,074
Pool # BS8033, 4.43%, 11/1/2030
3,090,000
3,012,348
Pool # BS8306, 4.52%, 12/1/2030
2,970,027
2,909,707
Pool # BS9296, 4.80%, 12/1/2030
2,505,000
2,491,929
Pool # BL9645, 1.50%, 1/1/2031
100,000
80,824
Pool # BL9627, 1.56%, 1/1/2031
500,000
405,828
Pool # BS1731, 1.82%, 1/1/2031
952,942
795,106
Pool # BS1304, 1.54%, 3/1/2031
1,500,000
1,206,691
Pool # BS2422, 1.67%, 7/1/2031
1,200,000
967,811

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Mortgage-Backed Securities — continued
Pool # BS2898, 1.56%, 9/1/2031
1,000,000
794,465
Pool # BS4116, 2.28%, 10/1/2031
762,253
640,298
Pool # BS3612, 1.93%, 11/1/2031
1,500,000
1,217,512
Pool # BM6857, 1.83%, 12/1/2031(i)
23,434,365
19,019,417
Pool # BS4505, 1.93%, 1/1/2032
8,000,000
6,536,720
Pool # BS4563, 2.01%, 1/1/2032
1,100,000
900,554
Pool # BS3464, 2.03%, 1/1/2032
1,112,000
912,078
Pool # BS4709, 2.22%, 2/1/2032
2,000,000
1,643,814
Pool # BM7037, 1.75%, 3/1/2032(i)
1,098,839
884,311
Pool # BS4654, 2.39%, 3/1/2032
1,438,669
1,216,725
Pool # BL6367, 1.82%, 4/1/2032
323,287
263,099
Pool # BS5130, 2.55%, 4/1/2032
481,240
412,876
Pool # BS5463, 3.34%, 5/1/2032
1,735,064
1,565,324
Pool # BS5597, 3.59%, 5/1/2032
1,175,000
1,068,032
Pool # BS5195, 2.80%, 6/1/2032
2,040,460
1,756,099
Pool # BS5875, 3.66%, 6/1/2032
2,100,599
1,920,260
Pool # BS6301, 3.67%, 8/1/2032
945,000
864,447
Pool # BS6385, 3.89%, 8/1/2032
2,433,047
2,273,597
Pool # BS6448, 3.93%, 8/1/2032
1,550,000
1,446,861
Pool # BS6502, 3.41%, 9/1/2032
2,942,926
2,661,450
Pool # BS6335, 3.75%, 9/1/2032
1,030,000
953,213
Pool # BS6339, 3.80%, 9/1/2032
1,056,986
975,506
Pool # BS6347, 4.03%, 9/1/2032
350,000
324,273
Pool # BS6417, 3.83%, 10/1/2032
2,596,217
2,405,119
Pool # BS6951, 3.90%, 10/1/2032
13,290,000
12,327,819
Pool # BS6759, 3.97%, 10/1/2032
885,983
831,619
Pool # BL8708, 1.40%, 11/1/2032
200,000
152,387
Pool # BS6995, 4.18%, 11/1/2032
1,015,000
962,707
Pool # BS6849, 4.23%, 11/1/2032
783,167
747,711
Pool # BS6815, 4.71%, 11/1/2032
1,283,000
1,263,332
Pool # BS6994, 4.85%, 11/1/2032
661,000
657,530
Pool # BS7203, 4.98%, 11/1/2032
1,249,000
1,253,303
Pool # BS7095, 4.80%, 12/1/2032
1,023,597
1,014,634
Pool # BS7663, 4.71%, 1/1/2033
1,992,312
1,963,326
Pool # AN8257, 3.26%, 2/1/2033
945,007
842,374
Pool # BS7671, 4.76%, 2/1/2033
2,177,000
2,151,832
Pool # BS8334, 4.71%, 3/1/2033
2,368,369
2,325,862
Pool # BS1636, 2.25%, 4/1/2033
1,138,043
928,280
Pool # BS7740, 4.11%, 4/1/2033
2,000,000
1,879,088
Pool # BS8277, 4.39%, 4/1/2033
3,014,000
2,897,733
Pool # BS8157, 4.51%, 4/1/2033
2,750,000
2,667,759
Pool # BS8256, 4.53%, 4/1/2033
2,000,000
1,937,516
Pool # BS8055, 4.71%, 4/1/2033
1,500,000
1,477,350
Pool # BS8250, 4.51%, 5/1/2033
1,742,954
1,694,754
Pool # BS8152, 4.55%, 5/1/2033
2,000,000
1,945,685
Pool # BS8703, 4.48%, 6/1/2033
3,000,000
2,903,962
Pool # AN6000, 3.21%, 7/1/2033
949,371
837,430
Pool # AN9725, 3.76%, 7/1/2033
99,597
91,842
Pool # BS8883, 4.58%, 7/1/2033
2,558,000
2,493,488

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Mortgage-Backed Securities — continued
Pool # BS9146, 4.35%, 8/1/2033
2,000,000
1,914,979
Pool # BS6038, 3.98%, 9/1/2033
2,085,000
1,918,733
Pool # BS8897, 4.55%, 9/1/2033
3,115,000
3,029,385
Pool # BS9616, 4.79%, 9/1/2033
1,203,000
1,183,427
Pool # BS9470, 4.45%, 10/1/2033
3,000,000
2,889,247
Pool # BS9182, 4.52%, 10/1/2033
1,216,000
1,177,528
Pool # BS9310, 4.64%, 10/1/2033
1,718,898
1,680,071
Pool # BS4197, 2.14%, 12/1/2033
496,069
400,486
Pool # BZ0419, 4.25%, 1/1/2034
5,000,000
4,738,318
Pool # BZ0410, 4.52%, 1/1/2034
10,440,000
10,109,463
Pool # BZ0430, 4.32%, 2/1/2034
3,625,000
3,451,866
Pool # BZ0420, 4.60%, 2/1/2034
20,000,000
19,483,442
Pool # BZ0401, 4.52%, 3/1/2034
15,000,000
14,517,078
Pool # BL3625, 2.89%, 9/1/2034
2,107,000
1,768,227
Pool # BL3756, 2.92%, 9/1/2034
5,000,000
4,240,793
Pool # BS6427, 3.75%, 9/1/2034
1,010,000
913,855
Pool # BL3772, 2.92%, 10/1/2034
697,365
595,819
Pool # BS5018, 2.88%, 10/1/2035
750,000
609,700
Pool # AN7345, 3.21%, 11/1/2037
612,667
525,039
Pool # MA1072, 3.50%, 5/1/2042
9,092
8,290
Pool # BF0533, 2.50%, 11/1/2050
1,143,054
933,586
Pool # BF0230, 5.50%, 1/1/2058
367,852
373,424
Pool # BF0300, 4.00%, 8/1/2058
5,369,510
4,927,115
Pool # BF0400, 4.00%, 8/1/2059
597,897
541,993
Pool # BF0497, 3.00%, 7/1/2060
65,291
53,309
Pool # BF0520, 3.00%, 1/1/2061
2,986,791
2,500,596
Pool # BF0560, 2.50%, 9/1/2061
825,071
654,476
Pool # BF0562, 3.50%, 9/1/2061
787,500
678,875
Pool # BF0583, 4.00%, 12/1/2061
838,005
751,243
Pool # BF0586, 5.00%, 12/1/2061
810,123
783,492
Pool # BF0617, 2.50%, 3/1/2062
3,054,974
2,393,004
Pool # BF0759, 2.50%, 5/1/2062(k)
7,690,367
6,021,587
Pool # BF0677, 4.00%, 9/1/2062
2,895,876
2,596,088
FNMA/FHLMC UMBS, Single Family, 30 Year
TBA, 2.50%, 6/25/2054(k)
86,840,000
70,110,169
TBA, 3.00%, 6/25/2054(k)
16,000,000
13,452,345
TBA, 5.50%, 6/25/2054(k)
33,000,000
32,464,702
TBA, 6.00%, 6/25/2054(k)
15,000,000
15,020,601
GNMA I, 30 Year
Pool # 783473, 3.50%, 11/15/2041
4,219,594
3,871,583
Pool # CO1928, 5.50%, 10/15/2052
1,253,733
1,300,974
Pool # CR2369, 6.00%, 1/15/2053
1,785,325
1,895,659
GNMA II
Pool # CH4945, ARM, 6.50%, 10/20/2071(i)
6,373,161
6,545,238
Pool # CE9366, ARM, 6.51%, 10/20/2071(i)
5,034,768
5,172,080
Pool # CH7776, ARM, 6.59%, 10/20/2071(i)
6,044,653
6,238,390
Pool # CJ7125, ARM, 6.63%, 10/20/2071(i)
475,265
490,939
Pool # CJ7141, ARM, 6.57%, 11/20/2071(i)
443,677
457,485
Pool # CE9384, ARM, 6.64%, 11/20/2071(i)
775,935
802,736

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Mortgage-Backed Securities — continued
Pool # CE5557, ARM, 6.75%, 11/20/2071(i)
106,186
110,378
Pool # CK7234, ARM, 6.56%, 2/20/2072(i)
6,324,125
6,521,811
Pool # CK2792, ARM, 6.74%, 3/20/2072(i)
840,407
875,460
Pool # CO0363, ARM, 6.89%, 7/20/2072(i)
787,871
830,130
GNMA II, 30 Year
Pool # AJ9020, 4.50%, 10/20/2044
32,447
30,783
Pool # BB3525, 4.00%, 9/20/2047
23,302
21,556
Pool # AY2413, 4.25%, 10/20/2048
1,475,302
1,380,083
Pool # BJ9820, 4.20%, 1/20/2049
1,155,140
1,062,105
Pool # BM2418, 4.00%, 8/20/2049
14,079
13,194
Pool # BN7049, 4.50%, 8/20/2049
128,066
122,433
Pool # BP7160, 4.50%, 9/20/2049
84,299
82,659
Pool # CH1162, 3.50%, 6/20/2050
217,295
201,266
Pool # CB8492, 3.50%, 1/20/2051
1,612,925
1,509,154
Pool # CB8531, 3.50%, 2/20/2051
709,002
650,987
Pool # CC9803, 4.00%, 4/20/2051
212,509
196,424
Pool # MA7534, 2.50%, 8/20/2051
4,117,308
3,432,656
Pool # CH1291, 3.50%, 9/20/2051
893,233
802,814
Pool # CH1293, 3.50%, 9/20/2051
2,548,492
2,336,378
Pool # CH1292, 3.50%, 10/20/2051
1,027,172
930,480
Pool # MA7705, 2.50%, 11/20/2051
5,679,909
4,735,263
Pool # CH7863, 3.50%, 12/20/2051
651,435
584,527
Pool # CI2080, 3.50%, 12/20/2051
779,874
686,489
Pool # CH0876, 3.00%, 1/20/2052
95,643
82,634
Pool # CH0877, 3.00%, 1/20/2052
265,620
229,490
Pool # CH0878, 3.00%, 1/20/2052
283,401
244,849
Pool # CJ3916, 3.00%, 1/20/2052
724,461
641,479
Pool # CK2608, 3.00%, 1/20/2052
437,076
378,362
Pool # CK4909, 3.00%, 1/20/2052
95,277
82,316
Pool # CK4916, 3.00%, 1/20/2052
192,260
166,107
Pool # CJ8184, 3.50%, 1/20/2052
599,026
534,616
Pool # CK4918, 3.50%, 1/20/2052
70,071
62,819
Pool # CK7137, 4.00%, 1/20/2052
454,779
412,183
Pool # CK2667, 3.00%, 2/20/2052
581,588
502,386
Pool # CK2672, 3.50%, 2/20/2052
574,361
514,553
Pool # CM2154, 3.00%, 3/20/2052
741,374
639,018
Pool # CM2278, 3.50%, 4/20/2052
818,516
733,175
Pool # CO4826, 5.00%, 6/20/2052
547,195
531,097
Pool # CO4847, 5.00%, 7/20/2052
832,571
808,076
Pool # MA8200, 4.00%, 8/20/2052
1,791,252
1,646,679
Pool # CO1924, 4.50%, 10/20/2052
1,177,319
1,168,399
Pool # CP8517, 4.50%, 10/20/2052
975,044
909,311
Pool # CO1925, 5.00%, 10/20/2052
977,252
989,498
Pool # CO8957, 5.00%, 12/20/2052
6,760,219
6,510,890
Pool # CS4305, 5.50%, 6/20/2053
2,422,889
2,403,361
Pool # CV0175, 6.50%, 6/20/2053
991,917
1,023,878
Pool # CS4391, 5.50%, 7/20/2053
2,892,054
2,868,745
Pool # CW7288, 6.50%, 9/20/2053
1,113,382
1,140,357

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Mortgage-Backed Securities — continued
GNMA II, Single Family, 30 Year
TBA, 5.00%, 6/15/2054(k)
31,025,000
30,110,452
TBA, 5.50%, 6/15/2054(k)
11,000,000
10,911,182
Total Mortgage-Backed Securities
(Cost $875,181,110)
861,216,179
Asset-Backed Securities — 15.7%
ACC Trust Series 2022-1, Class C, 3.24%, 10/20/2025(a)
1,000,000
571,855
ACHV ABS TRUST
Series 2023-1PL, Class C, 7.42%, 3/18/2030(a)
1,977,000
1,988,785
Series 2023-2PL, Class C, 7.27%, 5/20/2030(a)
2,900,000
2,913,953
Series 2023-3PL, Class C, 7.35%, 8/19/2030(a)
1,750,000
1,765,940
ACM Auto Trust Series 2023-2A, Class A, 7.97%, 6/20/2030(a)
1,706,645
1,716,932
ACRE Commercial Mortgage Ltd. Series 2021-FL4, Class B, 6.83%, 12/18/2037(a) (i)
250,000
243,224
Air Canada Pass-Through Trust (Canada) Series 2017-1, Class AA, 3.30%, 1/15/2030(a)
359,200
324,506
Ajax Mortgage Loan Trust Series 2021-G, Class A, 1.87%, 6/25/2061(a) (i)
4,857,012
4,653,202
American Airlines Pass-Through Trust Series 2015-2, Class A, 4.00%, 9/22/2027
167,674
158,108
American Credit Acceptance Receivables Trust
Series 2023-3, Class A, 6.00%, 3/12/2027(a)
1,003,739
1,004,200
Series 2022-2, Class E, 6.57%, 6/13/2028(a)
300,000
295,803
Series 2022-3, Class D, 5.83%, 10/13/2028(a)
506,000
504,724
Series 2023-3, Class D, 6.82%, 10/12/2029(a)
1,955,000
1,973,668
American Homes 4 Rent Trust
Series 2014-SFR3, Class B, 4.20%, 12/17/2036(a)
125,000
123,693
Series 2015-SFR1, Class E, 5.64%, 4/17/2052(a)
150,000
148,771
Series 2015-SFR1, Class F, 5.89%, 4/17/2052(a)
400,000
397,019
Series 2015-SFR2, Class A, 3.73%, 10/17/2052(a)
87,314
85,031
AMSR Trust
Series 2020-SFR1, Class E, 3.22%, 4/17/2037(a)
500,000
484,497
Series 2020-SFR2, Class E2, 4.28%, 7/17/2037(a)
675,000
653,503
Series 2020-SFR3, Class E1, 2.56%, 9/17/2037(a)
2,082,000
1,977,766
Series 2020-SFR3, Class E2, 2.76%, 9/17/2037(a)
350,000
332,696
Series 2020-SFR4, Class A, 1.36%, 11/17/2037(a)
1,500,000
1,411,439
Series 2020-SFR5, Class D, 2.18%, 11/17/2037(a)
3,000,000
2,823,416
Series 2020-SFR4, Class E2, 2.46%, 11/17/2037(a)
425,000
400,055
Series 2020-SFR5, Class F, 2.69%, 11/17/2037(a)
1,500,000
1,414,235
Series 2021-SFR3, Class C, 1.80%, 10/17/2038(a)
1,900,000
1,720,957
Series 2022-SFR1, Class F, 6.02%, 3/17/2039(a)
750,000
688,705
Series 2022-SFR3, Class D, 4.00%, 10/17/2039(a)
2,120,000
1,964,582
Series 2022-SFR3, Class E1, 4.00%, 10/17/2039(a)
1,400,000
1,273,768
Series 2022-SFR3, Class E2, 4.00%, 10/17/2039(a)
3,504,000
3,159,015
Series 2023-SFR1, Class E2, 4.00%, 4/17/2040(a)
2,505,000
2,206,938
Series 2023-SFR1, Class F, 4.00%, 4/17/2040(a)
7,750,000
6,594,515
Series 2023-SFR2, Class E1, 3.95%, 6/17/2040(a)
3,300,000
2,888,133
Aqua Finance Trust
Series 2019-A, Class B, 3.47%, 7/16/2040(a)
165,649
154,589
Series 2019-A, Class D, 6.07%, 7/16/2040(a)
3,376,945
3,089,290
Avis Budget Rental Car Funding AESOP LLC
Series 2020-1A, Class D, 3.34%, 8/20/2026(a)
7,000,000
6,691,411
Series 2024-2A, Class C, 6.01%, 10/20/2028(a)
1,200,000
1,185,834

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Asset-Backed Securities — continued
Bastion Funding I LLC Series 2023-1A, Class A2, 7.12%, 4/25/2038‡ (a)
2,320,894
2,286,060
Bridge Trust Series 2022-SFR1, Class A, 3.40%, 11/17/2037(a)
7,370,000
7,079,904
Bridgecrest Lending Auto Securitization Trust Series 2023-1, Class C, 7.10%, 8/15/2029
5,000,000
5,119,695
British Airways Pass-Through Trust (United Kingdom) Series 2013-1, Class A, 4.63%, 6/20/2024(a)
34,816
34,791
Business Jet Securities LLC
Series 2021-1A, Class A, 2.16%, 4/15/2036‡ (a)
1,982,019
1,863,662
Series 2021-1A, Class B, 2.92%, 4/15/2036‡ (a)
316,539
297,695
Series 2021-1A, Class C, 5.07%, 4/15/2036‡ (a)
113,326
109,933
BXG Receivables Note Trust
Series 2020-A, Class C, 4.22%, 2/28/2036(a)
1,863,049
1,744,227
Series 2022-A, Class A, 4.12%, 9/28/2037(a)
3,960,844
3,822,290
Series 2023-A, Class C, 7.38%, 11/15/2038(a)
2,023,564
1,994,455
CarMax Auto Owner Trust Series 2023-4, Class A3, 6.00%, 7/17/2028
725,000
732,462
Carvana Auto Receivables Trust
Series 2022-P1, Class A4, 3.52%, 2/10/2028
3,500,000
3,368,870
Series 2023-P2, Class A4, 5.38%, 3/12/2029(a)
2,000,000
1,989,415
Series 2023-P3, Class A4, 5.71%, 7/10/2029(a)
709,000
714,899
Series 2023-N3, Class C, 6.55%, 12/10/2029(a)
3,489,000
3,534,354
Cascade MH Asset Trust
Series 2019-MH1, Class B, 5.00%, 11/25/2044(a) (i)
401,843
356,699
Series 2021-MH1, Class A1, 1.75%, 2/25/2046(a)
760,616
651,754
Series 2022-MH1, Class M, 4.25%, 8/25/2054(a) (j)
919,802
723,532
Continental Finance Credit Card ABS Master Trust Series 2022-A, Class A, 6.19%, 10/15/2030(a)
825,000
820,065
CoreVest American Finance Trust
Series 2019-1, Class E, 5.52%, 3/15/2052(a) (i)
551,000
516,428
Series 2019-2, Class E, 5.20%, 6/15/2052(a) (i)
1,043,000
912,746
Series 2019-3, Class E, 4.72%, 10/15/2052(a) (i)
570,000
486,499
CPS Auto Receivables Trust
Series 2022-D, Class D, 8.73%, 1/16/2029(a)
1,000,000
1,045,948
Series 2023-A, Class D, 6.44%, 4/16/2029(a)
723,000
725,793
Series 2023-D, Class C, 7.17%, 1/15/2030(a)
4,100,000
4,189,468
Series 2022-C, Class C, 5.28%, 4/15/2030(a)
1,000,000
992,447
Credit Acceptance Auto Loan Trust
Series 2021-3A, Class C, 1.63%, 9/16/2030(a)
1,250,000
1,228,479
Series 2021-4, Class A, 1.26%, 10/15/2030(a)
339,719
336,204
Series 2022-3A, Class D, 9.00%, 4/18/2033(a)
1,000,000
1,015,376
Series 2023-1A, Class C, 7.71%, 7/15/2033(a)
1,675,000
1,722,380
Series 2023-2A, Class C, 7.15%, 9/15/2033(a)
1,500,000
1,527,793
Series 2023-3A, Class C, 7.62%, 12/15/2033(a)
2,700,000
2,789,312
Series 2023-5A, Class C, 7.30%, 4/17/2034(a)
4,820,000
4,949,911
7.68%, 4/17/2034
5,000,000
4,997,500
DataBank Issuer Series 2021-1A, Class A2, 2.06%, 2/27/2051(a)
250,000
230,522
Diamond Resorts Owner Trust
Series 2021-1A, Class A, 1.51%, 11/21/2033(a)
135,442
126,593
Series 2021-1A, Class D, 3.83%, 11/21/2033(a)
118,809
108,819
DLLAA LLC Series 2023-1A, Class A3, 5.64%, 2/22/2028(a)
1,265,000
1,269,746
DP Lion Holdco LLC Series 2023-1A, Class B, 12.73%, 11/30/2043
1,437,889
1,450,399
Drive Auto Receivables Trust Series 2020-2, Class D, 3.05%, 5/15/2028
356,061
354,866

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Asset-Backed Securities — continued
DT Auto Owner Trust
Series 2020-2A, Class D, 4.73%, 3/16/2026(a)
247,662
247,117
Series 2022-3A, Class C, 7.69%, 7/17/2028(a)
1,350,000
1,373,950
Series 2023-1A, Class D, 6.44%, 11/15/2028(a)
1,440,000
1,444,915
Series 2023-2A, Class D, 6.62%, 2/15/2029(a)
1,600,000
1,613,582
Elara HGV Timeshare Issuer LLC
Series 2021-A, Class C, 2.09%, 8/27/2035(a)
289,340
266,120
Series 2021-A, Class D, 3.32%, 8/27/2035(a)
103,336
93,907
Exeter Automobile Receivables Trust
Series 2020-2A, Class D, 4.73%, 4/15/2026(a)
62,686
62,598
Series 2023-2A, Class C, 5.75%, 7/17/2028
969,000
964,996
Series 2022-3A, Class D, 6.76%, 9/15/2028
1,000,000
1,005,375
Series 2022-5A, Class D, 7.40%, 2/15/2029
1,000,000
1,018,922
Series 2022-6A, Class D, 8.03%, 4/6/2029
1,291,000
1,335,759
Series 2023-4A, Class D, 6.95%, 12/17/2029
1,205,000
1,228,310
Series 2024-2A, Class D, 5.92%, 2/15/2030
5,370,000
5,353,488
Series 2022-4A, Class E, 8.23%, 3/15/2030(a)
1,000,000
992,624
Series 2024-1A, Class D, 5.84%, 6/17/2030
9,486,000
9,426,794
Series 2023-4A, Class E, 9.57%, 2/18/2031(a)
1,120,000
1,163,508
FHF Issuer Trust
Series 2023-2A, Class B, 7.49%, 11/15/2029(a)
4,550,000
4,694,926
Series 2024-1A, Class B, 6.26%, 3/15/2030(a)
807,000
808,266
FHF Trust
Series 2021-1A, Class A, 1.27%, 3/15/2027(a)
69,020
67,867
Series 2022-2A, Class A, 6.14%, 12/15/2027(a)
618,589
616,179
First Investors Auto Owner Trust
Series 2021-2A, Class C, 1.47%, 11/15/2027(a)
2,662,000
2,527,064
Series 2023-1A, Class C, 6.81%, 12/17/2029(a)
1,300,000
1,327,909
FirstKey Homes Trust
Series 2020-SFR1, Class H, PO, , 8/17/2037‡ (a)
7,656,000
6,857,777
Series 2020-SFR1, Class E, 2.79%, 8/17/2037(a)
2,300,000
2,191,304
Series 2020-SFR1, Class F1, 3.64%, 8/17/2037(a)
2,201,000
2,107,548
Series 2020-SFR2, Class E, 2.67%, 10/19/2037(a)
8,800,000
8,320,154
Series 2020-SFR2, Class F1, 3.02%, 10/19/2037(a)
1,000,000
948,298
Series 2020-SFR2, Class F2, 3.12%, 10/19/2037(a)
560,000
529,533
Series 2022-SFR3, Class D, 3.50%, 7/17/2038(a)
1,250,000
1,173,456
Series 2022-SFR3, Class E1, 3.50%, 7/17/2038(a)
4,500,000
4,178,497
Series 2021-SFR1, Class E1, 2.39%, 8/17/2038(a)
500,000
454,058
Series 2021-SFR1, Class F1, 3.24%, 8/17/2038(a)
1,668,000
1,504,621
Series 2021-SFR1, Class F2, 3.45%, 8/17/2038(a)
2,500,000
2,236,440
Series 2021-SFR2, Class E1, 2.26%, 9/17/2038(a)
635,000
572,103
Series 2021-SFR2, Class E2, 2.36%, 9/17/2038(a)
814,000
731,694
Series 2022-SFR1, Class E1, 5.00%, 5/19/2039(a)
3,165,000
3,002,487
Series 2022-SFR1, Class E2, 5.00%, 5/19/2039(a)
3,094,000
2,916,322
Series 2022-SFR2, Class E2, 4.50%, 7/17/2039(a)
492,000
451,894
Flagship Credit Auto Trust
Series 2020-4, Class D, 2.18%, 2/16/2027(a)
280,000
267,136
Series 2021-4, Class C, 1.96%, 12/15/2027(a)
500,000
471,828
Series 2023-2, Class C, 5.81%, 5/15/2029(a)
535,000
533,793

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Asset-Backed Securities — continued
FMC GMSR Issuer Trust
Series 2021-GT1, Class B, 4.36%, 7/25/2026(a) (i)
1,900,000
1,637,266
Series 2024-SAT1, Class A, 6.50%, 3/26/2027(a) (i)
6,900,000
6,735,495
Series 2022-GT1, Class A, 6.19%, 4/25/2027(a)
7,000,000
6,785,668
Series 2022-GT1, Class B, 7.17%, 4/25/2027(a)
600,000
566,083
Series 2022-GT2, Class B, 10.07%, 7/25/2027(a)
1,000,000
996,609
Foundation Finance Trust
Series 2020-1A, Class B, 4.62%, 7/16/2040(a)
300,000
292,391
Series 2020-1A, Class C, 5.75%, 7/16/2040(a)
1,450,000
1,358,830
Series 2021-1A, Class C, 2.99%, 5/15/2041(a)
437,710
384,676
Series 2023-1A, Class D, 9.18%, 12/15/2043(a)
1,962,435
1,967,049
FREED ABS Trust
Series 2021-2, Class C, 1.94%, 6/19/2028(a)
26,306
26,259
Series 2022-1FP, Class D, 3.35%, 3/19/2029(a)
700,000
679,460
Series 2022-3FP, Class C, 7.05%, 8/20/2029(a)
430,865
430,892
Series 2022-4FP, Class C, 8.59%, 12/18/2029(a)
1,000,000
1,006,913
FRTKL Series 2021-SFR1, Class D, 2.17%, 9/17/2038(a)
1,000,000
900,581
GLS Auto Receivables Issuer Trust
Series 2022-1A, Class D, 3.97%, 1/18/2028(a)
4,000,000
3,880,707
Series 2021-2A, Class E, 2.87%, 5/15/2028(a)
1,500,000
1,426,756
Series 2023-2A, Class E, 9.37%, 1/15/2030(a)
2,000,000
2,069,350
Series 2023-1A, Class E, 11.42%, 3/15/2030(a)
1,500,000
1,640,188
GLS Auto Select Receivables Trust
Series 2023-1A, Class A2, 6.27%, 8/16/2027(a)
2,016,030
2,021,909
Series 2024-1A, Class B, 5.32%, 3/15/2030(a)
1,000,000
992,096
Series 2024-1A, Class C, 5.69%, 3/15/2030(a)
300,000
298,084
Series 2024-1A, Class D, 6.43%, 1/15/2031(a)
705,000
708,619
Hertz Vehicle Financing LLC Series 2023-3A, Class A, 5.94%, 2/25/2028(a)
1,397,000
1,398,943
HGI CRE CLO Ltd. (Cayman Islands)
Series 2022-FL3, Class B, 7.92%, 4/20/2037(a) (i)
1,000,000
981,847
Series 2022-FL3, Class E, 9.62%, 4/20/2037(a) (i)
663,500
641,985
Hilton Grand Vacations Trust
Series 2022-1D, Class D, 6.79%, 6/20/2034(a)
202,850
193,276
Series 2022-2A, Class D, 8.73%, 1/25/2037(a)
354,791
350,544
Series 2020-AA, Class C, 6.42%, 2/25/2039(a)
136,241
135,520
Series 2024-1B, Class D, 8.85%, 9/15/2039(a)
4,834,681
4,879,524
HIN Timeshare Trust
Series 2020-A, Class D, 5.50%, 10/9/2039(a)
486,179
455,683
Series 2020-A, Class E, 6.50%, 10/9/2039(a)
1,397,766
1,299,755
HINNT LLC
Series 2022-A, Class D, 6.50%, 5/15/2041(a)
459,738
437,973
Series 2022-A, Class E, 8.00%, 5/15/2041(a)
1,800,216
1,728,772
Series 2024-A, Class D, 7.00%, 3/15/2043(a)
2,396,489
2,318,434
Series 2024-A, Class E, 8.00%, 3/15/2043(a)
2,597,794
2,419,145
Home Partners of America Trust
Series 2021-2, Class F, 3.80%, 12/17/2026(a)
9,129,610
8,159,548
Series 2022-1, Class D, 4.73%, 4/17/2039(a)
950,526
888,321
Series 2019-2, Class A, 2.70%, 10/19/2039(a)
5,981,429
5,446,860
Series 2021-3, Class D, 3.00%, 1/17/2041(a)
3,833,676
3,259,856

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Asset-Backed Securities — continued
John Deere Owner Trust Series 2023-B, Class A4, 5.11%, 5/15/2030
2,200,000
2,185,716
Lending Funding Trust
Series 2020-2A, Class A, 2.32%, 4/21/2031(a)
3,750,000
3,502,743
Series 2020-2A, Class D, 6.77%, 4/21/2031(a)
4,000,000
3,762,665
Lendingpoint Asset Securitization Trust Series 2022-A, Class D, 4.54%, 6/15/2029(a)
1,000,000
705,739
Lendmark Funding Trust
Series 2021-1A, Class A, 1.90%, 11/20/2031(a)
844,000
769,762
Series 2021-1A, Class D, 5.05%, 11/20/2031(a)
2,870,000
2,509,785
Series 2021-2A, Class B, 2.37%, 4/20/2032(a)
1,545,000
1,340,102
Series 2021-2A, Class D, 4.46%, 4/20/2032(a)
6,800,000
5,789,215
Series 2022-1A, Class E, 7.58%, 7/20/2032‡ (a)
5,000,000
4,863,127
Series 2023-1A, Class D, 8.69%, 5/20/2033(a)
530,000
543,958
LP LMS Asset Securitization Trust
Series 2023-1A, Class B, 7.48%, 10/17/2033(a)
1,500,000
1,480,028
Series 2023-1A, Class A, 8.18%, 10/17/2033(a)
470,331
471,470
Mariner Finance Issuance Trust
Series 2019-AA, Class D, 5.44%, 7/20/2032(a)
1,232,573
1,227,743
Series 2020-AA, Class D, 5.75%, 8/21/2034(a)
2,070,000
1,961,915
Series 2023-AA, Class E, 11.12%, 10/22/2035(a)
1,500,000
1,510,572
Series 2021-AA, Class B, 2.33%, 3/20/2036(a)
1,300,000
1,162,947
Series 2021-AA, Class C, 2.96%, 3/20/2036(a)
370,000
328,416
Series 2021-AA, Class D, 3.83%, 3/20/2036(a)
651,000
574,185
Series 2021-AA, Class E, 5.40%, 3/20/2036(a)
6,040,000
5,210,333
Series 2021-BA, Class E, 4.68%, 11/20/2036(a)
5,840,000
4,891,923
Series 2022-AA, Class D, 9.10%, 10/20/2037(a)
650,000
662,335
Series 2022-AA, Class E, 10.98%, 10/20/2037‡ (a)
3,000,000
3,049,641
Marlette Funding Trust
Series 2023-1A, Class C, 7.20%, 4/15/2033(a)
980,000
991,879
Series 2023-2A, Class C, 6.96%, 6/15/2033(a)
375,000
377,639
Merchants Fleet Funding LLC Series 2023-1A, Class A, 7.21%, 5/20/2036(a)
3,817,014
3,833,748
Mercury Financial Credit Card Master Trust Series 2023-1A, Class A, 8.04%, 9/20/2027(a)
2,584,000
2,602,564
MNR ABS Issuer I LLC, 12.44%, 12/15/2038
3,682,977
3,757,742
MVW LLC
Series 2020-1A, Class C, 4.21%, 10/20/2037(a)
81,585
78,329
Series 2020-1A, Class D, 7.14%, 10/20/2037(a)
815,847
790,427
Series 2019-2A, Class B, 2.44%, 10/20/2038(a)
38,097
36,070
Series 2023-1A, Class C, 6.54%, 10/20/2040(a)
2,157,677
2,141,786
Series 2022-2A, Class C, 7.62%, 10/21/2041(a)
602,444
612,467
Series 2022-2A, Class D, 9.00%, 10/21/2041(a)
1,462,733
1,451,013
MVW Owner Trust Series 2019-1A, Class C, 3.33%, 11/20/2036(a)
22,367
21,582
New Residential Mortgage LLC Series 2020-FNT1, Class A, 5.44%, 6/25/2025(a)
1,340,125
1,319,275
New Residential Mortgage Loan Trust
Series 2022-SFR1, Class D, 3.30%, 2/17/2039(a)
340,000
310,592
Series 2022-SFR1, Class E1, 3.55%, 2/17/2039(a)
420,000
375,771
Nissan Auto Lease Trust Series 2023-B, Class A4, 5.61%, 11/15/2027
800,000
800,298
NMEF Funding LLC Series 2021-A, Class C, 2.58%, 12/15/2027(a)
600,000
592,769
NRZ Excess Spread-Collateralized Notes
Series 2020-PLS1, Class A, 3.84%, 12/25/2025(a)
128,671
123,871
Series 2021-FNT1, Class A, 2.98%, 3/25/2026(a)
451,123
425,753

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Asset-Backed Securities — continued
Series 2021-FNT2, Class A, 3.23%, 5/25/2026(a)
129,816
122,431
Series 2021-GNT1, Class A, 3.47%, 11/25/2026(a)
1,120,332
1,038,617
NRZ FHT Excess LLC Series 2020-FHT1, Class A, 4.21%, 11/25/2025(a)
1,292,568
1,249,890
Octane Receivables Trust
Series 2020-1A, Class C, 2.89%, 3/20/2026(a)
234,273
232,872
Series 2022-2A, Class C, 6.29%, 7/20/2028(a)
1,390,000
1,392,438
Series 2022-2A, Class D, 7.70%, 2/20/2030(a)
2,000,000
2,062,271
Series 2024-1A, Class D, 6.43%, 10/21/2030(a)
3,000,000
2,999,554
OneMain Direct Auto Receivables Trust Series 2019-1A, Class B, 3.95%, 11/14/2028(a)
1,000,000
969,965
Oportun Funding XIV LLC
Series 2021-A, Class A, 1.21%, 3/8/2028(a)
514,349
498,551
Series 2021-A, Class C, 3.44%, 3/8/2028(a)
122,158
117,577
Oportun Issuance Trust
Series 2022-2, Class C, 9.36%, 10/9/2029(a)
1,500,000
1,508,006
Series 2022-3, Class C, 10.15%, 1/8/2030(a)
1,912,000
1,951,913
Series 2024-1A, Class C, 7.42%, 4/8/2031(a)
1,200,000
1,194,033
Series 2021-B, Class B, 1.96%, 5/8/2031(a)
400,000
378,942
Series 2021-B, Class C, 3.65%, 5/8/2031(a)
5,215,000
4,993,757
Series 2022-A, Class C, 7.40%, 6/9/2031(a)
755,000
743,682
Series 2021-C, Class A, 2.18%, 10/8/2031(a)
3,663,000
3,467,780
Porsche Financial Auto Securitization Trust
Series 2023-1A, Class A3, 4.81%, 9/22/2028(a)
1,500,000
1,487,942
Series 2023-2A, Class A3, 5.79%, 1/22/2029(a)
600,000
603,395
Prestige Auto Receivables Trust Series 2022-1A, Class C, 7.09%, 8/15/2028(a)
1,200,000
1,211,782
PRET LLC
Series 2021-NPL6, Class A1, 2.49%, 7/25/2051(a) (j)
292,144
285,369
Series 2021-RN3, Class A1, 1.84%, 9/25/2051(a) (j)
667,107
634,519
Pretium Mortgage Credit Partners I LLC Series 2021-NPL1, Class A1, 5.24%, 9/27/2060(a) (j)
225,552
223,238
Pretium Mortgage Credit Partners LLC Series 2022-NPL1, Class A1, 2.98%, 1/25/2052(a) (j)
2,105,217
2,039,453
Progress Residential
Series 2021-SFR3, Class E1, 2.54%, 5/17/2026(a)
450,000
414,445
Series 2021-SFR3, Class E2, 2.69%, 5/17/2026(a)
645,000
591,374
Progress Residential Trust
Series 2022-SFR2, Class E2, 4.80%, 4/17/2027(a)
651,000
604,246
Series 2020-SFR3, Class E, 2.30%, 10/17/2027(a)
2,300,000
2,160,701
Series 2020-SFR3, Class G, 4.11%, 10/17/2027(a)
500,000
475,487
Series 2020-SFR1, Class C, 2.18%, 4/17/2037(a)
2,100,000
2,086,538
Series 2020-SFR1, Class E, 3.03%, 4/17/2037(a)
425,000
422,386
Series 2020-SFR1, Class F, 3.43%, 4/17/2037(a)
450,000
447,256
Series 2020-SFR1, Class G, 4.03%, 4/17/2037(a)
5,000,000
4,968,327
Series 2020-SFR2, Class D, 3.87%, 6/17/2037(a)
750,000
730,052
Series 2021-SFR2, Class E2, 2.65%, 4/19/2038(a)
500,000
459,902
Series 2021-SFR5, Class E1, 2.21%, 7/17/2038(a)
950,000
862,836
Series 2021-SFR5, Class E2, 2.36%, 7/17/2038(a)
270,000
244,286
Series 2021-SFR8, Class E1, 2.38%, 10/17/2038(a)
2,650,000
2,385,821
Series 2022-SFR3, Class D, 4.45%, 4/17/2039(a)
1,090,000
1,034,952
Series 2022-SFR3, Class E2, 5.60%, 4/17/2039(a)
4,160,000
3,947,193
Series 2022-SFR3, Class F, 6.60%, 4/17/2039(a)
665,000
633,734
Series 2022-SFR5, Class E2, 6.86%, 6/17/2039(a)
388,000
383,601

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Asset-Backed Securities — continued
Series 2023-SFR1, Class E2, 6.60%, 3/17/2040(a)
5,476,000
5,316,616
Series 2021-SFR7, Class E1, 2.59%, 8/17/2040(a)
793,000
672,668
Series 2023-SFR2, Class E1, 4.75%, 10/17/2040(a)
3,769,000
3,435,158
Series 2022-SFR1, Class E2, 3.99%, 2/17/2041(a)
750,000
654,953
Series 2024-SFR2, Class D, 3.40%, 4/17/2041(a) (i)
3,434,000
3,014,458
Series 2024-SFR2, Class E1, 3.40%, 4/17/2041(a) (i)
4,136,000
3,552,866
PRPM LLC Series 2021-2, Class A1, 5.11%, 3/25/2026(a) (i)
109,139
108,200
RCO VI Mortgage LLC Series 2022-1, Class A1, 3.00%, 1/25/2027(a) (j)
204,096
198,318
ReadyCap Lending Small Business Loan Trust Series 2019-2, Class A, 8.00%, 12/27/2044(a) (i)
40,005
40,065
Regional Management Issuance Trust
Series 2020-1, Class C, 3.80%, 10/15/2030(a)
1,900,000
1,785,234
Series 2021-1, Class D, 5.07%, 3/17/2031(a)
500,000
463,215
Series 2022-1, Class B, 3.71%, 3/15/2032(a)
1,358,000
1,275,216
Series 2022-2B, Class B, 8.51%, 11/17/2032(a)
1,227,000
1,263,036
Renew Series 2023-1A, Class A, 5.90%, 11/20/2058‡ (a)
3,050,203
2,913,210
RT Fin LLC, 7.85%, 10/15/2043
1,839,967
1,843,402
Santander Drive Auto Receivables Trust
Series 2022-4, Class C, 5.00%, 11/15/2029
5,000,000
4,923,372
Series 2023-2, Class C, 5.47%, 12/16/2030
1,500,000
1,496,051
Series 2022-5, Class D, 5.67%, 12/16/2030
6,000,000
5,939,875
Series 2022-6, Class D, 5.69%, 2/18/2031
6,200,000
6,171,019
Santander Revolving Auto Loan Trust Series 2019-A, Class D, 3.45%, 1/26/2032(a)
150,000
147,592
SCF Equipment Leasing LLC
Series 2022-2A, Class A3, 6.50%, 10/21/2030(a)
2,300,000
2,316,501
Series 2023-1A, Class B, 6.37%, 5/20/2032(a)
4,000,000
4,100,899
Series 2022-2A, Class E, 6.50%, 6/20/2035(a)
1,112,000
1,047,208
Series 2023-1A, Class E, 7.00%, 7/21/2036(a)
5,400,000
5,137,709
Sierra Timeshare Receivables Funding LLC
Series 2020-2A, Class D, 6.59%, 7/20/2037(a)
325,177
318,678
Series 2021-1A, Class D, 3.17%, 11/20/2037(a)
146,382
138,363
Series 2022-1A, Class D, 6.00%, 10/20/2038(a)
269,724
256,220
Series 2022-3A, Class D, 10.52%, 7/20/2039(a)
414,517
426,295
Series 2023-1A, Class D, 9.80%, 1/20/2040(a)
1,509,087
1,545,182
Series 2023-2A, Class D, 9.72%, 4/20/2040(a)
777,564
795,556
Series 2022-2A, Class D, 9.22%, 6/20/2040(a)
260,432
262,019
SpringCastle America Funding LLC Series 2020-AA, Class A, 1.97%, 9/25/2037(a)
435,363
396,492
Tesla Auto Lease Trust Series 2023-B, Class A4, 6.22%, 3/22/2027(a)
3,300,000
3,328,298
Theorem Funding Trust Series 2022-2A, Class A, 6.06%, 12/15/2028(a)
132,753
132,551
Tricolor Auto Securitization Trust Series 2022-1A, Class D, 5.38%, 1/15/2026(a)
3,755,000
3,729,995
Tricon American Homes Series 2020-SFR1, Class E, 3.54%, 7/17/2038(a)
300,000
284,371
United Airlines Pass-Through Trust
Series 2014-1, Class A, 4.00%, 4/11/2026
101,677
98,228
Series 2018-1, Class A, 3.70%, 3/1/2030
11,021
9,928
United Auto Credit Securitization Trust
Series 2022-2, Class C, 5.81%, 5/10/2027(a)
856,000
854,260
Series 2022-2, Class E, 10.00%, 4/10/2029‡ (a)
1,000,000
700,000
UOG ABS Issuer I LLC Series 2023-1, Class A1, 8.35%, 6/5/2040‡ (a)
885,559
882,016
Upstart Securitization Trust Series 2022-4, Class A, 5.98%, 8/20/2032(a)
340,653
339,624
Upstart Structured Pass-Through Trust Series 2022-4A, Class A, 7.01%, 11/15/2030(a)
311,423
311,968

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Asset-Backed Securities — continued
US Auto Funding Trust
Series 2022-1A, Class B, 5.13%, 12/15/2025‡ (a)
700,000
237,533
Series 2022-1A, Class D, 9.14%, 7/15/2027‡ (a)
1,000,000
150,000
VCAT LLC
Series 2021-NPL1, Class A1, 5.29%, 12/26/2050(a) (j)
80,061
79,454
Series 2021-NPL5, Class A1, 1.87%, 8/25/2051(a) (j)
642,606
625,682
Vericrest Opportunity Loan Transferee Series 2021-NP11, Class A1, 1.87%, 8/25/2051(a) (j)
2,587,231
2,503,832
Veros Auto Receivables Trust Series 2021-1, Class B, 1.49%, 10/15/2026(a)
50,893
50,698
VOLT CV LLC Series 2021-CF2, Class A1, 2.49%, 11/27/2051(a) (j)
1,312,570
1,268,903
VOLT XCII LLC Series 2021-NPL1, Class A1, 4.89%, 2/27/2051(a) (j)
490,246
479,856
VOLT XCIII LLC Series 2021-NPL2, Class A1, 4.89%, 2/27/2051(a) (j)
828,775
812,419
VOLT XCIV LLC Series 2021-NPL3, Class A1, 5.24%, 2/27/2051(a) (j)
119,514
117,939
Westgate Resorts LLC
Series 2020-1A, Class C, 6.21%, 3/20/2034(a)
16,630
16,550
Series 2022-1A, Class B, 2.29%, 8/20/2036(a)
100,850
96,449
Series 2022-1A, Class D, 3.84%, 8/20/2036(a)
403,401
384,062
Series 2023-1A, Class C, 7.49%, 12/20/2037(a)
2,356,811
2,339,973
Westlake Automobile Receivables Trust
Series 2021-3A, Class D, 2.12%, 1/15/2027(a)
500,000
480,211
Series 2021-3A, Class E, 3.42%, 4/15/2027(a)
2,500,000
2,411,239
Series 2022-2A, Class D, 5.48%, 9/15/2027(a)
1,000,000
990,320
Series 2023-3A, Class C, 6.02%, 9/15/2028(a)
2,100,000
2,103,667
Series 2023-1A, Class D, 6.79%, 11/15/2028(a)
905,000
918,854
Series 2023-2A, Class D, 7.01%, 11/15/2028(a)
1,219,000
1,235,319
Series 2023-4A, Class D, 7.19%, 7/16/2029(a)
3,500,000
3,585,276
Total Asset-Backed Securities
(Cost $489,864,650)
494,015,865
U.S. Treasury Obligations — 8.5%
U.S. Treasury Bonds
4.50%, 8/15/2039
11,176,000
11,088,251
1.13%, 5/15/2040
8,454,000
5,118,633
1.13%, 8/15/2040
6,437,100
3,860,751
4.75%, 2/15/2041
1,421,000
1,440,261
2.25%, 5/15/2041
4,977,000
3,557,777
4.38%, 5/15/2041
811,000
785,054
3.13%, 11/15/2041
6,143,000
4,998,626
2.75%, 11/15/2042
1,571,000
1,189,051
4.00%, 11/15/2042
49,101,000
44,756,713
3.63%, 8/15/2043
18,646,000
16,025,363
3.75%, 11/15/2043
2,226,000
1,945,837
3.38%, 5/15/2044
14,050,000
11,571,492
2.88%, 8/15/2045
809,000
607,256
1.88%, 2/15/2051
2,622,000
1,505,294
2.38%, 5/15/2051
13,009,000
8,432,983
2.25%, 2/15/2052
1,775,000
1,111,524
4.00%, 11/15/2052
7,080,000
6,357,619
3.63%, 2/15/2053
1,682,000
1,408,741
U.S. Treasury Notes
1.13%, 10/31/2026
36,764,000
33,738,150

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
U.S. Treasury Obligations — continued
0.50%, 8/31/2027
42,032,000
36,838,749
1.25%, 9/30/2028
16,718,000
14,572,741
2.38%, 3/31/2029
12,045,000
10,934,131
1.88%, 2/15/2032
5,701,000
4,735,393
2.75%, 8/15/2032
5,487,000
4,833,061
3.88%, 8/15/2033
17,718,000
16,884,700
U.S. Treasury STRIPS Bonds
3.86%, 2/15/2034(l)
4,986,000
3,202,497
4.77%, 5/15/2040(l)
3,436,000
1,592,237
4.67%, 11/15/2040(l)
18,060,000
8,130,510
4.17%, 5/15/2041(l)
10,019,000
4,398,866
2.39%, 8/15/2041(l)
207,000
89,645
2.73%, 2/15/2042(l)
1,065,000
449,185
Total U.S. Treasury Obligations
(Cost $281,428,600)
266,161,091
Commercial Mortgage-Backed Securities — 6.6%
BAMLL RE-Remic Trust Series 2014-FRR8, Class C, 0.00%, 11/26/2047‡ (a) (i)
4,000,000
3,853,254
Banc of America Re-Remic Trust
Series 2024-FRR1, Class B, 0.00%, 4/27/2049‡ (a)
5,000,000
3,230,467
Series 2024-FRR1, Class C, 0.00%, 4/27/2049‡ (a)
7,128,000
4,111,304
Series 2024-FRR1, Class A, 2.13%, 4/27/2049‡ (a) (i)
3,000,000
2,223,782
BBCMS Mortgage Trust Series 2016-ETC, Class E, 3.61%, 8/14/2036(a) (i)
8,413,000
6,798,892
BB-UBS Trust Series 2012-SHOW, Class E, 4.03%, 11/5/2036(a) (i)
225,000
199,884
BMD2 Re-Remic Trust Series 2019-FRR1, Class 5B13, 2.19%, 5/25/2052‡ (a) (i)
4,000,000
2,947,857
BXP Trust Series 2017-GM, Class A, 3.38%, 6/13/2039(a)
2,000,000
1,851,740
Cascade Funding Mortgage Trust
Series 2021-FRR1, Class DK45, 0.00%, 2/28/2025(a)
380,000
350,440
Series 2021-FRR1, Class CK45, 1.33%, 2/28/2025(a) (i)
500,000
469,573
Series 2021-FRR1, Class BK45, 2.04%, 2/28/2025(a) (i)
600,000
571,057
Series 2021-FRR1, Class CK54, 0.00%, 2/28/2026(a)
480,000
406,677
Series 2021-FRR1, Class DKW1, 0.00%, 2/28/2026(a)
430,000
357,398
Series 2021-FRR1, Class BK98, 0.00%, 8/29/2029(a)
1,150,000
741,881
Series 2021-FRR1, Class AK99, 0.00%, 9/29/2029(a)
3,000,000
1,997,037
Series 2021-FRR1, Class BK99, 0.00%, 9/29/2029(a)
400,000
238,361
CSMC OA LLC Series 2014-USA, Class D, 4.37%, 9/15/2037(a)
3,739,000
2,794,012
FHLMC
Series K753, Class A2, 4.40%, 10/25/2030
3,125,000
3,033,453
Series 2023-MN7, Class M2, 11.02%, 9/25/2043(a) (i)
1,240,000
1,356,174
Series 2024-MN8, Class M2, 9.57%, 5/25/2044(a) (i)
4,761,000
4,808,058
FHLMC, Multi-Family Structured Credit Risk
Series 2021-MN1, Class M1, 7.32%, 1/25/2051(a) (i)
1,340,414
1,317,997
Series 2021-MN1, Class M2, 9.07%, 1/25/2051(a) (i)
685,000
688,024
Series 2021-MN3, Class M1, 7.62%, 11/25/2051(a) (i)
454,550
446,353
Series 2021-MN3, Class M2, 9.32%, 11/25/2051(a) (i)
4,500,000
4,531,343
Series 2022-MN4, Class M1, 9.57%, 5/25/2052(a) (i)
966,459
987,628
Series 2022-MN4, Class M2, 11.82%, 5/25/2052(a) (i)
750,000
832,258
FHLMC, Multi-Family Structured Pass-Through Certificates
Series KW06, Class A2, 3.80%, 6/25/2028(i)
1,750,000
1,676,613
Series K088, Class A2, 3.69%, 1/25/2029
350,000
332,431

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Commercial Mortgage-Backed Securities — continued
Series K128, Class X3, IO, 2.78%, 4/25/2031(i)
550,000
79,816
Series KJ48, Class A2, 5.03%, 10/25/2031
2,000,000
1,991,487
Series K136, Class A2, 2.13%, 11/25/2031
3,500,000
2,897,706
Series K142, Class A2, 2.40%, 3/25/2032
1,250,000
1,048,745
Series K-151, Class A2, 3.80%, 10/25/2032(i)
1,050,000
968,534
Series K-153, Class A2, 3.82%, 12/25/2032(i)
1,000,000
923,159
Series KJ44, Class A2, 4.61%, 2/25/2033
5,000,000
4,821,296
Series K-160, Class A2, 4.50%, 8/25/2033(i)
6,000,000
5,805,268
Series K-1520, Class X1, IO, 0.47%, 2/25/2036(i)
4,477,325
166,356
Series K-1520, Class X3, IO, 3.09%, 4/25/2039(i)
550,000
132,442
Series K145, Class AM, 2.58%, 6/25/2055
1,100,000
929,269
Series Q014, Class X, IO, 2.78%, 10/25/2055(i)
1,842,078
278,767
FNMA ACES
Series 2017-M3, Class A2, 2.46%, 12/25/2026(i)
256,709
240,865
Series 2021-M11, Class A2, 1.46%, 3/25/2031(i)
300,000
239,147
Series 2023-M2, Class PT, 3.13%, 4/25/2031(i)
3,990,664
3,615,833
Series 2022-M1G, Class A2, 1.53%, 9/25/2031(i)
2,700,000
2,168,252
Series 2022-M1, Class A1, 1.67%, 10/25/2031(i)
441,314
391,293
Series 2022-M3, Class A2, 1.71%, 11/25/2031(i)
1,400,000
1,118,650
Series 2021-M15, Class A2, 2.00%, 11/25/2031
1,500,000
1,249,964
Series 2022-M8, Class A2, 1.94%, 12/25/2031(i)
2,500,000
2,021,746
Series 2022-M2S, Class A1, 3.75%, 5/25/2032(i)
962,446
920,522
Series 2022-M13, Class A2, 2.59%, 6/25/2032(i)
1,372,000
1,158,151
Series 2020-M53, Class A2, 1.69%, 11/25/2032(i)
1,250,000
967,344
Series 2023-M8, Class A2, 4.47%, 3/25/2033(i)
2,980,000
2,873,793
Series 2021-M3, Class 1A1, 1.00%, 11/25/2033
15,544
15,146
Series 2021-M3, Class X1, IO, 1.92%, 11/25/2033(i)
494,805
36,804
FREMF Mortgage Trust
Series 2018-KL3W, Class CW, 4.10%, 8/25/2025(a) (i)
250,000
235,982
Series 2018-KBX1, Class B, 3.61%, 1/25/2026(a) (i)
500,000
444,653
Series 2018-K82, Class X2A, IO, 0.10%, 9/25/2028(a)
89,129,469
291,391
Series 2021-KHG3, Class BFX, 2.40%, 9/25/2028(a) (i)
1,000,000
838,740
Series 2018-K82, Class D, PO, 10/25/2028(a)
8,500,000
5,787,726
Series 2018-K82, Class X2B, IO, 0.10%, 10/25/2028(a)
22,000,000
78,731
Series 2018-K84, Class D, PO, 11/25/2028(a)
9,500,000
6,243,582
Series 2019-K92, Class X2A, IO, 0.10%, 4/25/2029(a)
129,462,009
456,082
Series 2019-K92, Class X2B, IO, 0.10%, 7/25/2029(a)
28,380,000
110,288
Series 2019-KW10, Class C, PO, 10/25/2032(a)
3,200,000
1,953,966
Series 2019-KW10, Class X2A, IO, 0.10%, 10/25/2032(a)
36,135,571
135,964
Series 2019-KW10, Class X2B, IO, 0.10%, 10/25/2032(a)
4,200,000
16,664
Series 2018-K157, Class C, PO, 9/25/2033(a)
10,448,587
4,531,031
Series 19K-1510, Class C, 0.00%, 1/25/2034‡ (a)
10,000,000
4,182,062
Series 2015-K44, Class B, 3.72%, 1/25/2048(a) (i)
200,000
196,818
Series 2015-K45, Class B, 3.60%, 4/25/2048(a) (i)
199,293
195,844
Series 2015-K48, Class B, 3.65%, 8/25/2048(a) (i)
200,000
194,983
Series 2015-K50, Class B, 3.78%, 10/25/2048(a) (i)
200,000
194,639
Series 2015-K51, Class B, 3.95%, 10/25/2048(a) (i)
381,860
371,934
Series 2016-K52, Class B, 3.93%, 1/25/2049(a) (i)
250,000
242,567
Series 2016-K53, Class C, 4.02%, 3/25/2049(a) (i)
70,000
67,472

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Commercial Mortgage-Backed Securities — continued
Series 2016-K57, Class B, 3.92%, 8/25/2049(a) (i)
1,000,000
959,862
Series 2017-K68, Class D, PO, 10/25/2049(a)
8,282,198
6,116,079
Series 2017-K69, Class D, PO, 10/25/2049(a)
7,343,050
5,316,856
Series 2017-K69, Class X2B, IO, 0.10%, 10/25/2049(a)
23,685,560
64,219
Series 2017-K729, Class B, 3.67%, 11/25/2049(a) (i)
300,000
295,733
Series 2018-K80, Class B, 4.23%, 8/25/2050(a) (i)
1,000,000
941,032
Series 2018-K81, Class D, PO, 9/25/2051(a)
9,500,000
6,292,953
Series 2019-K88, Class C, 4.38%, 2/25/2052(a) (i)
1,975,000
1,839,932
Series 2019-K92, Class D, PO, 5/25/2052(a)
12,000,000
7,746,553
Series 2020-K116, Class D, PO, 9/25/2052(a)
12,000,000
6,523,884
Series 2020-K116, Class X2A, IO, 0.10%, 9/25/2052(a)
127,706,037
533,964
Series 2020-K116, Class X2B, IO, 0.10%, 9/25/2052(a)
31,000,000
139,385
Series 2020-K105, Class D, PO, 3/25/2053(a)
9,500,000
5,385,611
Series 2020-K105, Class X2A, IO, 0.10%, 3/25/2053(a)
101,401,070
407,937
Series 2020-K105, Class X2B, IO, 0.10%, 3/25/2053(a)
23,000,000
101,605
Series 2020-K122, Class D, PO, 1/25/2054(a)
11,000,000
5,873,744
Series 2020-K122, Class X2B, IO, 0.10%, 1/25/2054(a)
27,000,000
128,887
FRR Re-REMIC Trust Series 2018-C1, Class CK43, PO, 2/27/2048(a)
612,655
574,879
GAM Re-REMIC Trust
Series 2021-FRR1, Class 1B, PO, 11/29/2050‡ (a)
5,000,000
3,915,463
Series 2022-FRR3, Class BK89, PO, 1/27/2052‡ (a)
4,000,000
2,751,476
GS Mortgage Securities Corp. II Series 2023-SHIP, Class A, 4.32%, 9/10/2038(a) (i)
4,140,000
4,015,277
Hudson Yards Mortgage Trust Series 2019-30HY, Class A, 3.23%, 7/10/2039(a)
3,000,000
2,653,596
JPMCC Re-REMIC Trust Series 2015-FRR2, Class AK39, 2.16%, 8/27/2047(a) (i)
944,000
929,877
MHC Commercial Mortgage Trust Series 2021-MHC, Class F, 8.03%, 4/15/2038(a) (i)
503,326
499,866
Multi-Family Connecticut Avenue Securities Trust
Series 2019-01, Class M10, 8.69%, 10/25/2049(a) (i)
6,119,691
6,113,934
Series 2020-01, Class M10, 9.19%, 3/25/2050(a) (i)
10,363,903
10,388,676
Series 2023-01, Class M10, 11.82%, 11/25/2053(a) (i)
5,685,000
6,196,848
RFM Reremic Trust Series 2022-FRR1, Class BK64, 1.71%, 3/1/2050(a) (i)
2,328,481
1,918,476
Total Commercial Mortgage-Backed Securities
(Cost $205,192,576)
205,612,026
Collateralized Mortgage Obligations — 3.3%
Anchor Mortgage Trust, 10.14%, 3/25/2031‡ (i)
5,000,000
5,000,000
Connecticut Avenue Securities Trust Series 2023-R06, Class 1M2, 8.02%, 7/25/2043(a) (i)
1,500,000
1,559,597
Credit One, 6.47%, 2/25/2029
5,000,000
4,981,250
CSMC Trust
Series 2021-JR1, Class A1, 5.47%, 9/27/2066(a) (i)
303,656
299,601
Series 2022-JR1, Class A1, 4.27%, 10/25/2066(a) (j)
430,931
423,752
FHLMC Seasoned Credit Risk Transfer Trust
Series 2018-1, Class MA, 3.00%, 5/25/2057
355,402
322,071
Series 2018-1, Class M60C, 3.50%, 5/25/2057
130,300
116,792
Series 2018-3, Class MA, 3.50%, 8/25/2057(i)
292,633
274,568
Series 2018-3, Class M55D, 4.00%, 8/25/2057(i)
245,072
222,188
Series 2018-2, Class MT, 3.50%, 11/25/2057
556,631
485,693
Series 2018-2, Class M55D, 4.00%, 11/25/2057
271,748
247,304
Series 2019-1, Class MA, 3.50%, 7/25/2058
3,152,104
2,933,264
Series 2019-2, Class MA, 3.50%, 8/25/2058
1,348,761
1,246,965
Series 2019-3, Class MT, 3.50%, 10/25/2058
4,309,062
3,755,939

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Collateralized Mortgage Obligations — continued
Series 2020-1, Class MA, 2.50%, 8/25/2059
4,028,320
3,581,121
Series 2020-3, Class M5TW, 3.00%, 5/25/2060
440,216
378,877
Series 2020-3, Class TTW, 3.00%, 5/25/2060
394,678
357,031
Series 2021-1, Class BXS, 12.28%, 9/25/2060(a) (i)
149,375
115,642
Series 2022-1, Class MTU, 3.25%, 11/25/2061
3,847,614
3,287,998
Series 2023-1, Class MT, 3.00%, 10/25/2062
2,941,163
2,405,619
FHLMC, REMIC
Series 5200, Class YV, 2.50%, 7/25/2033
3,781,715
3,336,464
Series 2708, Class ZD, 5.50%, 11/15/2033
65,357
65,839
Series 4302, Class PA, 4.00%, 12/15/2043
51,303
49,024
Series 4281, Class BC, 4.50%, 12/15/2043(i)
77,779
75,473
Series 5141, Class AH, 2.25%, 11/25/2047
1,220,585
1,048,256
Series 5200, Class MA, 2.50%, 8/25/2048
3,117,784
2,746,931
Series 4913, Class UA, 3.00%, 3/15/2049
5,863,916
5,059,581
Series 5028, Class JG, 1.50%, 8/25/2050
2,830,986
2,169,517
Series 5155, Class JD, 1.25%, 10/25/2051
1,403,769
1,052,693
Series 5347, PO, 10/25/2053
4,985,782
3,821,936
FHLMC, STRIPS Series 406, PO, 10/25/2053
3,667,612
2,902,739
FNMA, Grantor Trust Series 2017-T1, Class A, 2.90%, 6/25/2027
1,089,185
1,020,134
FNMA, REMIC
Series 2003-7, Class FA, 6.19%, 2/25/2033(i)
62,869
62,940
Series 2013-108, Class GU, 3.00%, 10/25/2033
354,966
331,911
Series 2005-110, Class TY, 5.50%, 12/25/2035
39,345
39,688
Series 2007-89, Class F, 6.02%, 9/25/2037(i)
70,528
70,216
Series 2011-112, Class PB, 4.00%, 11/25/2041
99,994
94,520
Series 2014-57, Class PE, 3.00%, 9/25/2044
1,129,000
893,266
Series 2019-25, Class PB, 2.00%, 5/25/2048
6,837,901
5,836,522
Series 2021-14, Class CB, 1.00%, 11/25/2049
3,670,576
2,722,907
GNMA
Series 2012-13, Class FQ, 5.75%, 1/20/2038(i)
2,044,605
2,005,249
Series 2010-14, Class FH, 5.93%, 2/16/2040(i)
2,886,936
2,867,836
Series 2010-61, Class FK, 5.93%, 5/16/2040(i)
1,897,255
1,883,563
Series 2012-61, Class FM, 5.83%, 5/16/2042(i)
333,661
329,595
Series 2020-165, Class UD, 1.50%, 11/20/2050
701,781
525,159
Series 2010-H24, Class FA, 5.79%, 10/20/2060(i)
30,255
30,160
Series 2014-H03, Class FA, 6.04%, 1/20/2064(i)
15,368
15,363
Series 2015-H02, Class FA, 6.09%, 1/20/2065(i)
2,907,926
2,909,264
Series 2015-H05, Class FC, 5.92%, 2/20/2065(i)
193,950
192,607
Series 2021-H14, Class CF, 6.72%, 9/20/2071(i)
3,016,801
3,079,005
GS Mortgage-Backed Securities Corp. Trust Series 2021-RPL1, Class A1, 1.75%, 12/25/2060(a) (i)
2,623,024
2,387,402
Home RE Ltd. (Bermuda) Series 2022-1, Class M1C, 10.82%, 10/25/2034(a) (i)
750,000
802,478
LHOME Mortgage Trust
Series 2023-RTL1, Class A1, 7.87%, 1/25/2028(a) (j)
1,320,000
1,329,365
Series 2023-RTL2, Class A1, 8.00%, 6/25/2028(a) (j)
2,000,000
2,025,273
Series 2023-RTL4, Class A1, 7.63%, 11/25/2028(a) (j)
3,675,000
3,717,104
New Residential Mortgage Loan Trust
Series 2024-RTL1, Class A1, 6.66%, 3/25/2039(a) (j)
4,225,000
4,255,621
Series 2024-RTL1, Class M1, 9.30%, 3/25/2039(a) (i)
3,250,000
3,211,252
Radnor RE Ltd. (Bermuda) Series 2022-1, Class M1B, 12.07%, 9/25/2032(a) (i)
400,000
429,999

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Collateralized Mortgage Obligations — continued
Toorak Mortgage Trust Series 2024-RRTL1, Class A1, 6.60%, 2/25/2039(a) (j)
2,000,000
1,998,628
Towd Point Mortgage Trust Series 2021-R1, Class A2C, 3.31%, 11/30/2060(a)
754,000
592,530
Two Harbors Msr Frn, 7.55%, 10/25/2024‡ (a)
1,500,000
1,494,375
VM Master Issuer LLC Series 2022-1, Class B, 6.88%, 5/24/2025‡ (a) (i)
759,145
738,107
Total Collateralized Mortgage Obligations
(Cost $102,770,396)
102,215,764
Loan Assignments — 1.4% (d) (m)
Automobile Components — 0.0% ^
Adient US LLC, 1st Lien Term Loan B-2 (1-MONTH CME TERM SOFR + 2.75%), 8.08%, 1/31/2031
975,000
982,137
Beverages — 0.0% ^
Triton Water Holdings, Inc., 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 3.25%), 8.81%, 3/31/2028
900,371
898,634
Building Products — 0.1%
Emerson Climate Technologies, Inc., 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 2.50%), 7.83%,
5/31/2030(n)
1,364,594
1,372,836
MIWD Holdco II LLC, 1st Lien Term Loan B-2 (3-MONTH CME TERM SOFR + 3.75%), 8.83%, 3/28/2031
500,000
503,440
Quikrete Holdings, Inc., 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 2.25%), 7.58%, 3/19/2029
698,219
700,488
 
2,576,764
Chemicals — 0.1%
DuPont Performance, 1st Lien Term Loan B-6 (3-MONTH CME TERM SOFR + 2.00%), 7.33%, 12/20/2029
573,320
575,378
Ineos US Finance LLC, 1st Lien Term Loan B (Luxembourg) (1-MONTH CME TERM SOFR + 3.50%), 8.93%, 2/18/2030
746,241
748,106
 
1,323,484
Commercial Services & Supplies — 0.0% ^
Madison IAQ LLC, 1st Lien Term Loan (1-MONTH CME TERM SOFR + 3.25%), 8.69%, 6/21/2028
687,899
688,759
Construction & Engineering — 0.0% ^
Zekelman Industries, Inc., 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 2.25%), 7.57%, 1/24/2031(n)
870,000
870,618
Containers & Packaging — 0.0% ^
Graham Packaging Co., Inc., 1st Lien Term Loan (1-MONTH CME TERM SOFR + 3.00%), 8.44%, 8/4/2027
851,936
854,798
Financial Services — 0.1%
GTCR W Merger Sub LLC, 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 3.00%), 8.31%, 1/31/2031
746,099
748,068
NCR Atleos LLC, 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 4.75%), 10.18%, 3/27/2029
762,322
768,673
NorthRiver Midstream, 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 2.50%), 7.80%, 8/16/2030
1,030,012
1,032,330
 
2,549,071
Ground Transportation — 0.0% ^
Genesee & Wyoming, Inc., 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 2.25%), 7.30%, 4/10/2031
533,333
534,485
Health Care Equipment & Supplies — 0.0% ^
Insulet Corp., 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 3.00%), 8.33%, 5/4/2028
136,635
137,079
Medline Borrower LP, 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 2.75%), 8.08%, 10/23/2028
204,427
205,705
 
342,784
Health Care Providers & Services — 0.1%
DaVita, Inc., 1st Lien Term Loan B-1 (1-MONTH CME TERM SOFR + 2.00%), 7.19%, 8/12/2026
895,272
895,272
Parexel International Corp., 1st Lien Term Loan (1-MONTH CME TERM SOFR + 3.25%), 8.69%, 11/15/2028
1,346,565
1,353,580
Syneos Health,Inc., 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 4.00%), 9.31%, 9/27/2030
1,370,000
1,370,178
 
3,619,030

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Loan Assignments — continued
Hotels, Restaurants & Leisure — 0.0% ^
Carnival Corp., 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 2.75%), 8.07%, 8/8/2027
340,696
342,570
Household Durables — 0.0% ^
KDC US Holdings, Inc., 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 5.00%), 10.32%, 8/15/2028
423,937
425,468
Insurance — 0.1%
Asurion LLC, 1st Lien Term Loan B-11 (1-MONTH CME TERM SOFR + 4.25%), 9.68%, 8/19/2028
895,477
888,018
Hub International Ltd., 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 3.25%), 8.57%, 6/20/2030
725,000
729,589
USI, Inc., 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 3.25%), 8.55%, 9/27/2030
803,728
804,877
 
2,422,484
IT Services — 0.0% ^
Ahead DB Holdings LLC, 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 4.25%), 9.56%, 2/1/2031
262,987
264,068
MH Sub I LLC, 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 4.25%), 9.58%, 5/3/2028
746,241
747,091
 
1,011,159
Leisure Products — 0.0% ^
Hercules Achievement, Inc., 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 5.00%), 10.44%, 12/15/2026
273,615
275,098
Topgolf Callaway, 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 3.00%), 8.33%, 3/15/2030
445,088
446,997
 
722,095
Machinery — 0.1%
Alliance Laundry Systems LLC, 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 3.50%, 3-MONTH CME TERM SOFR
+ 3.50%), 8.90%, 10/8/2027
526,444
528,334
SPX Flow, Inc., 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 4.50%), 9.93%, 4/5/2029
500,000
502,710
 
1,031,044
Media — 0.1%
Charter Communications Operating LLC, 1st Lien Term Loan B-4 (3-MONTH CME TERM SOFR + 2.00%), 7.30%,
12/7/2030
2,069,812
2,056,359
Clear Channel Outdoor Holdings, Inc., 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 4.00%), 9.44%, 8/21/2028
169,280
169,810
CSC Holdings LLC, Term Loan B-6 (1-MONTH CME TERM SOFR + 4.50%), 9.82%, 1/18/2028
1,409,986
1,354,094
 
3,580,263
Oil, Gas & Consumable Fuels — 0.0% ^
Buckeye Partners, 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 2.00%), 2.50%, 11/22/2030(n)
886,334
887,921
Passenger Airlines — 0.1%
AAdvantage Loyality IP Ltd., 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 4.75%), 10.34%, 4/20/2028
1,462,483
1,517,941
United Airlines, Inc., 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 5.25%), 10.73%, 6/21/2027
1,161,667
1,187,537
 
2,705,478
Personal Care Products — 0.0% ^
Conair Holdings LLC, 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 3.75%), 9.19%, 5/17/2028
945,163
938,225
Pharmaceuticals — 0.0% ^
Elanco Animal Health, Inc., 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 1.75%), 7.16%, 8/1/2027
347,861
347,349
Professional Services — 0.1%
Brookfield WEC Holdings Inc., 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 3.00%), 8.08%, 1/27/2031
1,620,000
1,627,792
Dun & Bradstreet Corp., 1st Lien Term Loan B-2 (1-MONTH CME TERM SOFR + 2.75%), 8.07%, 1/18/2029
1,115,000
1,117,944
KBR, Inc., 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 2.25%), 7.58%, 1/17/2031
916,663
921,246
 
3,666,982

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Loan Assignments — continued
Semiconductors & Semiconductor Equipment — 0.1%
Brooks Automation, 1st Lien Term Loan B (12-MONTH CME TERM SOFR + 3.10%), 7.95%, 2/1/2029
1,416,152
1,417,922
Vertiv Group Corp., 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 2.50%), 7.93%, 3/2/2027
1,233,654
1,237,824
 
2,655,746
Software — 0.2%
AthenaHealth, Inc., 1st Lien Term Loan (1-MONTH CME TERM SOFR + 3.25%), 8.58%, 2/15/2029
498,731
497,345
Camelot U.S. Acquisition LLC, 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 2.75%), 8.08%, 1/31/2031
1,000,000
1,000,250
CDK Global, Inc., 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 3.25%), 8.58%, 7/6/2029
825,000
831,328
Genesys Cloud Services Holdings, 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 3.50%), 8.82%, 12/1/2027
1,571,145
1,581,530
Ultimate Software Group, 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 3.50%), 8.82%, 2/10/2031(n)
1,185,000
1,193,437
 
5,103,890
Specialty Retail — 0.1%
AppleCaramel Buyer LLC, 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 3.75%), 9.08%, 10/19/2027
494,937
496,902
Petco Health & Wellness Co., Inc., Term Loan B (3-MONTH CME TERM SOFR + 3.25%), 8.82%, 3/3/2028
820,342
740,506
PrimeSource, 1st Lien Term Loan B (3-MONTH CME TERM SOFR + 3.25%), 8.81%, 12/28/2027
269,305
266,249
 
1,503,657
Wireless Telecommunication Services — 0.1%
Iridium Communications, Inc., 1st Lien Term Loan B (1-MONTH CME TERM SOFR + 2.50%), 7.83%, 9/20/2030
1,042,887
1,043,607
Total Loan Assignments
(Cost $43,618,390)
43,628,502
Foreign Government Securities — 1.0%
Arab Republic of Egypt
7.60%, 3/1/2029(h)
900,000
837,900
7.63%, 5/29/2032(h)
600,000
513,150
7.30%, 9/30/2033(h)
400,000
328,612
8.50%, 1/31/2047(h)
850,000
661,937
8.88%, 5/29/2050(h)
500,000
403,880
Benin Government Bond 7.96%, 2/13/2038(a)
320,000
300,186
Dominican Republic Government Bond
5.50%, 2/22/2029(h)
400,000
385,625
6.00%, 2/22/2033(a)
900,000
871,312
6.40%, 6/5/2049(h)
900,000
839,531
Federal Republic of Nigeria
6.50%, 11/28/2027(h)
1,000,000
933,580
7.14%, 2/23/2030(h)
200,000
176,106
8.75%, 1/21/2031(h)
500,000
471,170
7.38%, 9/28/2033(a)
300,000
249,873
Federative Republic of Brazil
4.75%, 1/14/2050
700,000
504,000
7.13%, 5/13/2054
915,000
893,497
Finance Department Government of Sharjah 6.13%, 3/6/2036(a)
786,000
778,580
Gabonese Republic 6.95%, 6/16/2025(h)
500,000
471,300
Hashemite Kingdom of Jordan 7.38%, 10/10/2047(h)
200,000
174,122
Hungary Government Bond
5.50%, 6/16/2034(a)
200,000
193,038
6.75%, 9/25/2052(a)
200,000
212,414
Istanbul Metropolitan Municipality 10.50%, 12/6/2028(a)
500,000
536,250

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT($)
VALUE($)
Foreign Government Securities — continued
Kingdom of Bahrain 5.45%, 9/16/2032(a)
600,000
552,726
Kingdom of Morocco 6.50%, 9/8/2033(h)
200,000
203,915
Kingdom of Saudi Arabia 5.75%, 1/16/2054(a)
1,000,000
964,970
Republic of Angola 8.25%, 5/9/2028(a)
1,000,000
942,590
Republic of Colombia
8.00%, 11/14/2035
400,000
407,800
8.75%, 11/14/2053
1,000,000
1,045,500
Republic of Costa Rica
6.55%, 4/3/2034(a)
400,000
409,000
7.30%, 11/13/2054(a)
800,000
837,250
Republic of Cote d'Ivoire
6.13%, 6/15/2033(h)
900,000
799,965
8.25%, 1/30/2037(a)
202,000
196,395
Republic of Guatemala 6.60%, 6/13/2036(a)
300,000
300,562
Republic of Iraq 5.80%, 1/15/2028(h)
400,000
379,444
Republic of Panama 7.88%, 3/1/2057
279,000
286,672
Republic of Paraguay
6.00%, 2/9/2036(a)
970,000
963,210
6.10%, 8/11/2044(h)
200,000
189,813
5.60%, 3/13/2048(h)
300,000
264,750
5.40%, 3/30/2050(h)
2,100,000
1,797,600
Republic of Philippines 5.60%, 5/14/2049
1,170,000
1,167,441
Republic of Poland
5.13%, 9/18/2034
199,000
194,136
5.50%, 3/18/2054
792,000
759,243
Republic of Senegal 6.75%, 3/13/2048(h)
600,000
437,256
Republic of South Africa 7.30%, 4/20/2052
1,000,000
857,500
Republic of Turkey
9.88%, 1/15/2028
200,000
219,500
7.63%, 5/15/2034
1,344,000
1,347,226
Romania Government Bond
6.38%, 1/30/2034(a)
424,000
422,660
7.63%, 1/17/2053(a)
600,000
650,760
State of Israel Government Bond 5.75%, 3/12/2054
766,000
694,050
State of Mongolia 8.65%, 1/19/2028(h)
400,000
418,250
Sultanate of Oman Government Bond 7.00%, 1/25/2051(a)
1,800,000
1,871,514
Turkiye Ihracat Kredi Bankasi A/S 9.38%, 1/31/2026(a)
400,000
417,348
United Mexican States 6.34%, 5/4/2053
200,000
190,938
Total Foreign Government Securities
(Cost $31,593,148)
30,926,047
Municipal Bonds — 0.0% (o) ^
Ohio — 0.0% ^
Ohio University, General Receipts, Federally Taxable Rev., 5.59%, 12/1/2114
25,000
24,192
Texas — 0.0% ^
Texas Natural Gas Securitization Finance Corp., Customer Rate Relief Bonds Series 2023A-2, Rev., 5.17%, 4/1/2041
45,000
44,627
Total Municipal Bonds
(Cost $77,765)
68,819

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
INVESTMENTS
SHARES
VALUE($)
Common Stocks — 0.0% ^
Diversified Telecommunication Services — 0.0% ^
Windstream Holdings, Inc.‡ *
16
216
Health Care Providers & Services — 0.0% ^
Envision Healthcare Corp.‡ *
18
138
Oil, Gas & Consumable Fuels — 0.0% ^
Chesapeake Energy Corp.
185
16,822
Specialty Retail — 0.0% ^
NMG, Inc.‡ *
1
125
Wireless Telecommunication Services — 0.0% ^
Intelsat SA (Luxembourg)‡ *
270
9,720
Total Common Stocks
(Cost $10,146)
27,021
Preferred Stocks — 0.0% ^
Broadline Retail — 0.0% ^
MYT Holding LLC Series A, 10.00%, 6/6/2029
(Cost $2,753)
2,868
1,859
NO. OF
WARRANTS
Warrants — 0.0% ^
Media — 0.0% ^
Nmg Research Ltd. expiring 9/24/2027, price 1.00 USD (United Kingdom)‡ *
(Cost $1)
78
1,034
SHARES
Short-Term Investments — 13.3%
Investment Companies — 13.3%
JPMorgan U.S. Government Money Market Fund Class IM Shares, 5.26%(p) (q)
(Cost $418,609,445)
418,609,445
418,609,445
Total Investments — 105.7%
(Cost $3,347,338,572)
3,318,352,264
Liabilities in Excess of Other Assets — (5.7)%
(179,606,182
)
NET ASSETS — 100.0%
3,138,746,082

Percentages indicated are based on net assets.
Abbreviations
 
ABS
Asset-Backed Securities
ACES
Alternative Credit Enhancement Securities
ARM
Adjustable Rate Mortgage. The interest rate shown is the rate in effect as of May 31, 2024.
CME
Chicago Mercantile Exchange
CSMC
Credit Suisse Mortgage Trust
EURIBOR
Euro Interbank Offered Rate
FHLMC
Federal Home Loan Mortgage Corp.
FNMA
Federal National Mortgage Association
FRN
Floating Rate Note
GNMA
Government National Mortgage Association
ICE
Intercontinental Exchange

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
IO
Interest Only represents the right to receive the monthly interest payments on an underlying pool of mortgage loans. The principal amount shown
represents the par value on the underlying pool. The yields on these securities are subject to accelerated principal paydowns as a result of prepayment or
refinancing of the underlying pool of mortgage instruments. As a result, interest income may be reduced considerably.
PIK
Payment In Kind
PO
Principal Only represents the right to receive the principal portion only on an underlying pool of mortgage loans. The market value of these securities is
extremely volatile in response to changes in market interest rates. As prepayments on the underlying mortgages of these securities increase, the yield on
these securities increases.
PT
Limited liability company
REIT
Real Estate Investment Trust
REMIC
Real Estate Mortgage Investment Conduit
Re-REMIC
Combined Real Estate Mortgage Investment Conduit
Rev.
Revenue
SCA
Limited partnership with share capital
SOFR
Secured Overnight Financing Rate
SOFRINDX
Compounding index of the Secured Overnight Financing Rate
STRIPS
Separate Trading of Registered Interest and Principal of Securities. The STRIPS Program lets investors hold and trade individual interest and principal
components of eligible notes and bonds as separate securities.
TBA
To Be Announced; Security is subject to delayed delivery.
UMBS
Uniform Mortgage-Backed Securities
USD
United States Dollar
^
Amount rounds to less than 0.1% of net assets.
Value determined using significant unobservable inputs.
 
*
Non-income producing security.
 
(a)
Securities exempt from registration under Rule 144A or section 4(a)(2), of the Securities Act of 1933, as amended.
 
(b)
Defaulted security.
 
(c)
Security has the ability to pay in kind (“PIK”) or pay income in cash. When applicable, separate rates of such payments are disclosed.
 
(d)
Variable or floating rate security, linked to the referenced benchmark. The interest rate shown is the current rate as of May 31, 2024.
 
(e)
Contingent Capital security (“CoCo”). CoCos are hybrid debt securities that may be convertible into equity or may be written down if a
pre-specified trigger event occurs. The total value of aggregate CoCo holdings at May 31, 2024 is $10,604,778 or 0.34% of the Fund’s net
assets as of May 31, 2024.
 
(f)
Security is an interest bearing note with preferred security characteristics.
 
(g)
Security is perpetual and thus, does not have a predetermined maturity date. The coupon rate for this security is fixed for a period of time
and may be structured to adjust thereafter. The date shown, if applicable, reflects the next call date. The coupon rate shown is the rate in
effect as of May 31, 2024.
 
(h)
Security exempt from registration pursuant to Regulation S under the Securities Act of 1933, as amended. Regulation S applies to securities
offerings that are made outside of the United States and do not involve direct selling efforts in the United States and as such may have
restrictions on resale.
 
(i)
Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments
on the underlying pool of assets. The interest rate shown is the current rate as of May 31, 2024.
 
(j)
Step bond. Interest rate is a fixed rate for an initial period that either resets at a specific date or may reset in the future contingent upon a
predetermined trigger. The interest rate shown is the current rate as of May 31, 2024.
 
(k)
All or a portion of the security is a when-issued security, delayed delivery security, or forward commitment.
 
(l)
The rate shown is the effective yield as of May 31, 2024.
 
(m)
Loan assignments are presented by obligor. Each series or loan tranche underlying each obligor may have varying terms.
 
(n)
All or a portion of this security is unsettled as of May 31, 2024. Unless otherwise indicated, the coupon rate is undetermined. The coupon
rate shown may not be accrued for the entire position.
 
(o)
The date shown represents the earliest of the prerefunded date, next put date or final maturity date.
 
(p)
Investment in an affiliated fund, which is registered under the Investment Company Act of 1940, as amended, and is advised by J.P. Morgan
Investment Management Inc.
 
(q)
The rate shown is the current yield as of May 31, 2024.
 

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
Futures contracts outstanding as of May 31, 2024:
DESCRIPTION
NUMBER OF
CONTRACTS
EXPIRATION DATE
TRADING CURRENCY
NOTIONAL
AMOUNT ($)
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION) ($)
Long Contracts
U.S. Treasury 10 Year Note
493
09/19/2024
USD
53,721,594
3,636
U.S. Treasury 10 Year Ultra Note
2
09/19/2024
USD
224,594
(1,035
)
U.S. Treasury Long Bond
358
09/19/2024
USD
41,707,000
(64,465
)
U.S. Treasury Ultra Bond
1,130
09/19/2024
USD
138,742,813
(1,788,010
)
U.S. Treasury 2 Year Note
595
09/30/2024
USD
121,268,438
97,496
U.S. Treasury 5 Year Note
2,171
09/30/2024
USD
230,024,234
328,686
 
(1,423,692
)
Short Contracts
U.S. Treasury 10 Year Ultra Note
(8
)
09/19/2024
USD
(898,375
)
108
 
(1,423,584
)
Abbreviations
 
USD
United States Dollar
Forward foreign currency exchange contracts outstanding as of May 31, 2024:
CURRENCY
PURCHASED
CURRENCY
SOLD
COUNTERPARTY
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION) ($)
EUR
7,960,838
USD
8,608,386
Morgan Stanley
6/5/2024
29,851
Total unrealized appreciation
29,851
USD
8,548,396
EUR
7,960,838
Goldman Sachs International
6/5/2024
(89,841
)
USD
8,619,077
EUR
7,960,838
Morgan Stanley
7/3/2024
(30,223
)
Total unrealized depreciation
(120,064
)
Net unrealized depreciation
(90,213
)
Abbreviations
 
EUR
Euro
USD
United States Dollar
Over-the-Counter ("OTC") Credit default swap contracts outstanding — buy protection (*) as of May 31, 2024:
REFERENCE
OBLIGATION/INDEX
FINANCING
RATE PAID
BY THE FUND
(%)
PAYMENT
FREQUENCY
COUNTERPARTY
MATURITY
DATE
IMPLIED
CREDIT
SPREAD
(%)(a)
NOTIONAL
AMOUNT(b)
UPFRONT
PAYMENTS
(RECEIPTS)
($)(c)
UNREALIZED
APPRECIATION
(DEPRECIATION)
($)
VALUE
($)
Bank of America Corp.,
3.50%, 4/19/2026
1.00
Quarterly
Morgan Stanley
6/20/2028
0.41
USD2,300,000
15,579
(70,798
)
(55,219
)
Bank of America Corp.,
3.50%, 4/19/2026
1.00
Quarterly
Morgan Stanley
6/20/2028
0.41
USD3,000,000
18,142
(90,169
)
(72,027
)
Bank of America Corp.,
3.50%, 4/19/2026
1.00
Quarterly
Morgan Stanley
6/20/2028
0.41
USD2,900,000
8,267
(77,893
)
(69,626
)
Bank of America Corp.,
3.50%, 4/19/2026
1.00
Quarterly
Morgan Stanley
6/20/2028
0.41
USD210,000
1,793
(6,835
)
(5,042
)
 
 
 
 
 
43,781
(245,695
)
(201,914
)
(*)
The Fund, as a buyer of credit protection, is generally obligated to make periodic payments and may also pay or receive an upfront premium
to or from the protection seller, in exchange for the right to receive a contingent payment, upon occurrence of a credit event with respect to
an underlying reference obligation, as defined under the terms of individual swap contracts.
 

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
(a)
Implied credit spreads are an indication of the seller's performance risk, related to the likelihood of a credit event occurring that would require a seller to
make payment to a buyer. Implied credit spreads are used to determine the value of swap contracts and reflect the cost of buying/selling protection, which
may include upfront payments made to enter into the contract. Therefore, higher spreads would indicate a greater likelihood that a seller will be obligated
to perform (i.e. make payment) under the swap contract. Increasing values, in absolute terms and relative to notional amounts, are also indicative of
greater performance risk. Implied credit spreads for credit default swaps on credit indices are linked to the weighted average spread across the underlying
reference obligations included in a particular index.
(b)
The notional amount is the maximum amount that a seller of credit protection would be obligated to pay and a buyer of credit protection would receive,
upon occurrence of a credit event.
(c)
Upfront payments and receipts generally represent premiums paid or received at the initiation of the agreement to compensate the differences between
the stated terms of the swap agreement and current market conditions (credit spreads, interest rates and other relevant factors).
Abbreviations
 
 
 
 
 
 
 
 
 
USD
United States Dollar
 
 
 
 
 
 
 
 
Summary of total OTC swap contracts outstanding as of May 31, 2024:
 
NET UPFRONT
PAYMENTS
(RECEIPTS)
($)
VALUE
($)
Liabilities
OTC Credit default swap contracts outstanding - buy protection
43,781
(201,914
)

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
A. Valuation of Investments Investments are valued in accordance with U.S. generally accepted accounting principles (“GAAP”) and the Fund's valuation policies set forth by, and under the supervision and responsibility of, the Board of Trustees of the Trust (the “Board”), which established the following approach to valuation, as described more fully below: (i) investments for which market quotations are readily available shall be valued at their market value and (ii) all other investments for which market quotations are not readily available shall be valued at their fair value as determined in good faith by the Board.
Under Section 2(a)(41) of the Investment Company Act of 1940, the Board is required to determine fair value for securities that do not have readily available market quotations. Under SEC Rule 2a-5 (Good Faith Determinations of Fair Value), the Board may designate the performance of these fair valuation determinations to a valuation designee. The Board has designated the Adviser as the “Valuation Designee” to perform fair valuation determinations for the Fund on behalf of the Board subject to appropriate oversight by the Board. The Adviser, as Valuation Designee, leverages the J.P. Morgan Asset Management Americas Valuation Committee (“AVC”) to help oversee and carry out the policies for the valuation of investments held in the Fund. The Adviser, as Valuation Designee, remains responsible for the valuation determinations.
This oversight by the AVC includes monitoring the appropriateness of fair values based on results of ongoing valuation oversight including, but not limited to, consideration of macro or security specific events, market events, and pricing vendor and broker due diligence. The Administrator is responsible for discussing and assessing the potential impacts to the fair values on an ongoing basis, and, at least on a quarterly basis, with the AVC and the Board.
A market-based approach is primarily used to value the Fund's investments. Investments for which market quotations are not readily available are fair valued using prices supplied by approved affiliated and/or unaffiliated pricing vendors or third party broker-dealers (collectively referred to as “Pricing Services”), or may be internally fair valued using methods set forth by the valuation policies approved by the Board. This may include the use of related or comparable assets or liabilities, recent transactions, market multiples, book values and other relevant information for the investment. An income-based valuation approach may be used in which the anticipated future cash flows of the investment are discounted to calculate the fair value. Discounts may also be applied due to the nature or duration of any restrictions on the disposition of the investments. Valuations may be based upon current market prices of securities that are comparable in coupon, rating, maturity and industry. It is possible that the estimated values may differ significantly from the values that would have been used had a ready market for the investments existed, and such differences could be material.
Fixed income instruments are valued based on prices received from Pricing Services. The Pricing Services use multiple valuation techniques to determine the valuation of fixed income instruments. In instances where sufficient market activity exists, the Pricing Services may utilize a market-based approach through which trades or quotes from market makers are used to determine the valuation of these instruments. In instances where sufficient market activity may not exist, the Pricing Services also utilize proprietary valuation models which may consider market transactions in comparable securities and the various relationships between securities in determining fair value and/or market characteristics in order to estimate the relevant cash flows, which are then discounted to calculate the fair values.
Equities and other exchange-traded instruments are valued at the last sale price or official market closing price on the primary exchange on which the instrument is traded before the net asset value (“NAV”) of the Fund is calculated on a valuation date. Certain foreign equity instruments are valued by applying international fair value factors provided by approved Pricing Services. The factors seek to adjust the local closing price for movements of local markets post-closing, but prior to the time the NAVs are calculated.
Investments in open-end investment companies (“Underlying Funds”) are valued at each Underlying Fund’s NAV per share as of the report date.
Futures contracts are generally valued on the basis of available market quotations. Swaps and forward foreign currency exchange contracts are valued utilizing market quotations from approved Pricing Services.
See the table on “Quantitative Information about Level 3 Fair Value Measurements” for information on the valuation techniques and inputs used to value level 3 securities held by the Fund at May 31, 2024.
Valuations reflected in this report are as of the report date. As a result, changes in valuation due to market events and/or issuer-related events after the report date and prior to issuance of the report are not reflected herein.
The various inputs that are used in determining the valuation of the Fund's investments are summarized into the three broad levels listed below.
Level 1 Unadjusted inputs using quoted prices in active markets for identical investments.
Level 2 Other significant observable inputs including, but not limited to, quoted prices for similar investments, inputs other than quoted prices that are observable for investments (such as interest rates, prepayment speeds, credit risk, etc.) or other market corroborated inputs.
Level 3 Significant inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the Fund's assumptions in determining the fair value of investments).

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
A financial instrument’s level within the fair value hierarchy is based on the lowest level of any input, both individually and in the aggregate, that is significant to the fair value measurement. The inputs or methodology used for valuing instruments are not necessarily an indication of the risk associated with investing in those instruments.
The following table represents each valuation input as presented on the Schedule of Portfolio Investments:
 
 
 
 
 
 
Level 1
Quoted prices
Level 2
Other significant
observable inputs
Level 3
Significant
unobservable inputs
Total
Investments in Securities
Asset-Backed Securities
$
$457,756,168
$36,259,697
$494,015,865
Collateralized Mortgage Obligations
90,002,032
12,213,732
102,215,764
Commercial Mortgage-Backed Securities
178,396,361
27,215,665
205,612,026
Common Stocks
Diversified Telecommunication Services
216
216
Health Care Providers & Services
138
138
Oil, Gas & Consumable Fuels
16,822
16,822
Specialty Retail
125
125
Wireless Telecommunication Services
9,720
9,720
Total Common Stocks
16,822
10,199
27,021
Corporate Bonds
895,868,612
895,868,612
Foreign Government Securities
30,926,047
30,926,047
Loan Assignments
43,628,502
43,628,502
Mortgage-Backed Securities
851,024,438
10,191,741
861,216,179
Municipal Bonds
68,819
68,819
Preferred Stocks
1,859
1,859
U.S. Treasury Obligations
266,161,091
266,161,091
Warrants
1,034
1,034
Short-Term Investments
Investment Companies
418,609,445
418,609,445
Total Investments in Securities
$418,626,267
$2,813,832,070
$85,893,927
$3,318,352,264
Appreciation in Other Financial Instruments
Forward Foreign Currency Exchange Contracts
$
$29,851
$
$29,851
Futures Contracts
429,926
429,926
Depreciation in Other Financial Instruments
Forward Foreign Currency Exchange Contracts
(120,064
)
(120,064
)
Futures Contracts
(1,853,510
)
(1,853,510
)
Swaps
(245,695
)
(245,695
)
Total Net Appreciation/ Depreciation in Other
Financial Instruments
$(1,423,584
)
$(335,908
)
$
$(1,759,492
)

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
The following is a summary of investments for which significant unobservable inputs (level 3) were used in determining fair value:
 
Balance as of
February 29,
2024
Realized
gain (loss)
Change in net
unrealized
appreciation
(depreciation)
Net
accretion
(amortization)
Purchases1
Sales2
Transfers
into
Level 3
Transfers
out of
Level 3
Balance as of
May 31,
2024
Investments
in
Securities:
Asset-Backed
Securities
$29,054,096
$
$(206,615
)
$75,351
$6,854,042
$(3,676,659
)
$5,270,493
$(1,111,011
)
$36,259,697
Collateralized
Mortgage
Obligations
7,210,998
43,594
4,999,995
(40,855
)
12,213,732
Commercial
Mortgage-Backed
Securities
26,328,313
610,580
146,911
129,861
27,215,665
Common
Stocks
7,883
2,316
10,199
Corporate
Bonds
650,000
(230,971
)
285,397
1,342
(705,768
)
Mortgage-Backed
Securities
38,616
10,153,125
10,191,741
Preferred
Stocks
1,620
239
1,859
Warrants
1,034
1,034
Total
$63,253,944
$(230,971
)
$774,127
$223,604
$22,137,023
$(4,423,282
)
$5,270,493
$(1,111,011
)
$85,893,927

 
1
Purchases include all purchases of securities and securities received in corporate actions.
2
Sales include all sales of securities, maturities, paydowns and securities tendered in corporate actions.
The changes in net unrealized appreciation (depreciation) attributable to securities owned at May 31, 2024, which were valued using significant unobservable inputs (level 3) amounted to $586,245.
There were no significant transfers into or out of level 3 for the period ended May 31, 2024.
The significant unobservable inputs used in the fair value measurement of the Fund's investments are listed below. Generally, a change in the assumptions used in any input in isolation may be accompanied by a change in another input. Significant changes in any of the unobservable inputs may significantly impact the fair value measurement. The impact is based on the relationship between each unobservable input and the fair value measurement. Significant increases (decreases) in enterprise multiples may increase (decrease) the fair value measurement. Significant increases (decreases) in the discount for lack of marketability, liquidity discount, probability of default, yield and default rate may decrease (increase) the fair value measurement. A significant change in the discount rate or prepayment rate (Constant Prepayment Rate or PSA Prepayment Model) may decrease or increase the fair value measurement.
Quantitative Information about Level 3 Fair Value Measurements #
 
Fair Value at
May 31, 2024
Valuation
Technique(s)
Unobservable
Input
Range (Weighted
Average) (a)
 
$19,182,302
Discounted Cash Flow
Constant Prepayment Rate
0.00% - 30.00% (13.67%)
 
Constant Default Rate
 
0.00% - 60.00% (1.94%)
 
Yield (Discount Rate of Cash Flows)
 
6.13% - 22.50% (8.24%)
 
 
 
 
Asset-Backed Securities
19,182,302
 
 
 
 
6,475,625
Discounted Cash Flow
Yield (Discount Rate of Cash Flows)
7.76% - 8.81% (8.00%)
 
 
 
 
 
6,475,625
 
 
 

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
 
Fair Value at
May 31, 2024
Valuation
Technique(s)
Unobservable
Input
Range (Weighted
Average) (a)
Total
$25,657,927
 
 
 
#
The table above does not include certain level 3 investments that are valued by brokers and Pricing Services. At May 31, 2024, the value of
these investments was $60,236,000. The inputs for these investments are not readily available or cannot be reasonably estimated and are
generally those inputs described in Note A.
(a)
Unobservable inputs were weighted by the relative fair value of the instruments.
B. Investment Transactions with Affiliates The Fund invested in an Underlying Fund advised by the Adviser. An issuer which is under common control with the Fund may be considered an affiliate. The Fund assumes the issuer listed in the table below to be an affiliated issuer. The Underlying Fund's distributions may be reinvested into such Underlying Fund. Reinvestment amounts are included in the purchases at cost amounts in the table below.
 
For the period ended May 31, 2024
Security Description
Value at
February 29,
2024
Purchases at
Cost
Proceeds from
Sales
Net Realized
Gain (Loss)
Change in
Unrealized
Appreciation/
(Depreciation)
Value at
May 31,
2024
Shares at
May 31,
2024
Dividend
Income
Capital Gain
Distributions
JPMorgan U.S. Government
Money Market Fund
Class IM Shares, 5.26%
(a) (b)
$304,836,673
$363,328,494
$249,555,722
$
$
$418,609,445
418,609,445
$4,459,188
$

 
(a)
Investment in an affiliated fund, which is registered under the Investment Company Act of 1940, as amended, and is advised by J.P. Morgan
Investment Management Inc.
(b)
The rate shown is the current yield as of May 31, 2024.
C. Derivatives The Fund used derivative instruments including options, futures contracts, forward foreign currency exchange contracts and swaps, in connection with its investment strategy. Derivative instruments may be used as substitutes for securities in which the Fund can invest, to hedge portfolio investments or to generate income or gain to the Fund. Derivatives may also be used to manage duration, sector and yield curve exposures and credit and spread volatility.
The Fund may be subject to various risks from the use of derivatives, including the risk that changes in the value of a derivative may not correlate perfectly with the underlying asset, rate or index; counterparty credit risk related to derivatives counterparties’ failure to perform under contract terms; liquidity risk related to the potential lack of a liquid market for these contracts allowing a Fund to close out its position(s); and documentation risk relating to disagreement over contract terms. Investing in certain derivatives also results in a form of leverage and as such, the Fund's risk of loss associated with these instruments may exceed their value.
The Fund is party to various derivative contracts governed by International Swaps and Derivatives Association master agreements (“ISDA agreements”). The Fund's ISDA agreements, which are separately negotiated with each dealer counterparty, may contain provisions allowing, absent other considerations, a counterparty to exercise rights, to the extent not otherwise waived, against the Fund in the event the Fund's net assets decline over time by a pre-determined percentage or fall below a pre-determined floor. The ISDA agreements may also contain provisions allowing, absent other conditions, the Fund to exercise rights, to the extent not otherwise waived, against a counterparty (e.g., decline in a counterparty’s credit rating below a specified level). Such rights for both a counterparty and the Fund often include the ability to terminate (i.e., close out) open contracts at prices which may favor a counterparty, which could have an adverse effect on the Fund. The ISDA agreements give the Fund and a counterparty the right, upon an event of default, to close out all transactions traded under such agreements and to net amounts owed or due across all transactions and offset such net payable or receivable against collateral posted to a segregated account by one party for the benefit of the other.
Counterparty credit risk may be mitigated to the extent a counterparty posts additional collateral for mark to market gains to the Fund.
Notes (1) (3) below describe the various derivatives used by the Fund.
(1). Futures Contracts The Fund used currency, index, interest rate, treasury or other financial futures contracts to manage and hedge interest rate risk associated with portfolio investments and to gain or reduce exposure to positive and negative price fluctuation or a particular countries or regions. The Fund also used futures contracts to lengthen or shorten the duration of the overall investment portfolio. The Fund used commodity futures contracts to obtain long and short exposure to the underlying commodities markets. The purchase of futures contracts will tend to increase the Fund's exposure to positive and negative price fluctuations in the underlying instrument. The sales of futures contracts will tend to offset both positive and negative market price changes.

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
Futures contracts provide for the delayed delivery of the underlying instrument at a fixed price or are settled for a cash amount based on the change in the value of the underlying instrument at a specific date in the future. Upon entering into a futures contract, the Fund is required to deposit with the broker, cash or securities in an amount equal to a certain percentage of the contract amount, which is referred to as the initial margin deposit. Subsequent payments, referred to as variation margin, are made or received by the Fund periodically and are based on changes in the market value of open futures contracts. Changes in the market value of open futures contracts are recorded as change in net unrealized appreciation/depreciation on futures contracts. Securities deposited as initial margin are designated on the Schedule of Investments, while cash deposited is considered restricted.
The Fund may be exposed to the risk that the change in the value of the futures contract may not correlate perfectly with the underlying instrument. Use of long futures contracts subject the Fund to risk of loss up to the notional amount of the futures contracts. Use of short futures contracts subjects the Fund to unlimited risk of loss. The Fund may enter into futures contracts only on exchanges or boards of trade. The exchange or board of trade acts as the counterparty to each futures transaction; therefore, the Fund's credit risk is limited to failure of the exchange or board of trade. Under some circumstances, futures exchanges may establish daily limits on the amount that the price of a futures contract can vary from the previous day’s settlement price, which could effectively prevent liquidation of positions.
The Fund's futures contracts are not subject to master netting arrangements (the right to close out all transactions traded with a counterparty and net amounts owed or due across transactions).
(2). Forward Foreign Currency Exchange Contracts The Fund is exposed to foreign currency risks associated with some or all of the portfolio investments and used forward foreign currency exchange contracts to hedge or manage certain of these exposures as part of an investment strategy. The Fund also bought forward foreign currency exchange contracts to gain exposure to currencies. Forward foreign currency exchange contracts represent obligations to purchase or sell foreign currency on a specified future date at a price fixed at the time the contracts are entered into. Non-deliverable forward foreign currency exchange contracts are settled with the counterparty in U.S. dollars without the delivery of the foreign currency.
The values of the forward foreign currency exchange contracts are adjusted daily based on the applicable exchange rate of the underlying currency. Changes in the value of these contracts are recorded as unrealized appreciation or depreciation until the contract settlement date. When the forward foreign currency exchange contract is closed, the Fund records a realized gain or loss equal to the difference between the value at the time the contract was opened and the value at the time it was closed. The Fund also records a realized gain or loss, upon settlement, when a forward foreign currency exchange contract offsets another forward foreign currency exchange contract with the same counterparty.
The Fund's forward foreign currency exchange contracts are subject to master netting arrangements (the right to close out all transactions with a counterparty and net amounts owed or due across transactions).
The Fund may be required to post or receive collateral for non-deliverable forward foreign currency exchange contracts.
(3). Swaps The Fund engaged in various swap transactions to manage credit, interest rate (e.g., duration, yield curve), currency, inflation and total return risks within its portfolio. The Fund also used swaps as alternatives to direct investments. Swap transactions are contracts negotiated over-the-counter (“OTC swaps”) between the Fund and a counterparty or are centrally cleared (“centrally cleared swaps”) through a central clearinghouse managed by a Futures Commission Merchant (“FCM”) that exchange investment cash flows, assets, foreign currencies or market-linked returns at specified, future intervals.
Upfront payments made and/or received by the Fund are recorded as assets or liabilities, respectively, and amortized over the term of the swap. The value of an OTC swap agreement is recorded at the beginning of the measurement period. Upon entering into a centrally cleared swap, the Fund is required to deposit with the FCM cash or securities, which is referred to as initial margin deposit. Securities deposited as initial margin are designated on the Schedule of Investments, while cash deposited is considered restricted. The change in the value of swaps, including accruals of periodic amounts of interest to be paid or received on swaps, is reported as change in net unrealized appreciation/depreciation on swaps. A realized gain or loss is recorded upon payment or receipt of a periodic payment or payment made upon termination of a swap agreement.
The Fund may be required to post or receive collateral based on the net value of the Fund's outstanding OTC swap contracts with the counterparty in the form of cash or securities. Daily movement of cash collateral is subject to minimum threshold amounts. Collateral posted by the Fund is held in a segregated account at the Fund's custodian bank.
The central clearinghouse acts as the counterparty to each centrally cleared swap transaction; therefore credit risk is limited to the failure of the clearinghouse.
The Fund's swap contracts (excluding centrally cleared swaps) are subject to master netting arrangements.
Credit Default Swaps

JPMorgan Core Plus Bond ETF
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF May 31, 2024 (Unaudited) (continued)
The Fund entered into credit default swaps to simulate long and/or short bond positions or to take an active long and/or short position with respect to the likelihood of a default or credit event by the issuer of the underlying reference obligation.
The underlying reference obligation may be a single issuer of corporate or sovereign debt, a basket of issuers or a credit index. A credit index is a list of credit instruments or exposures that reference a fixed number of obligors with shared characteristics that represents some part of the credit market as a whole. Index credit default swaps have standardized terms including a fixed spread and standard maturity dates. The composition of the obligations within a particular index changes periodically.
Credit default swaps involve one party, the protection buyer, making a stream of payments to another party, the protection seller, in exchange for the right to receive a contingent payment if there is a credit event related to the underlying reference obligation. In the event that the reference obligation matures prior to the termination date of the contract, a similar security will be substituted for the duration of the contract term. Credit events are defined under individual swap agreements and generally include bankruptcy, failure to pay, restructuring, repudiation/moratorium, obligation acceleration and obligation default.
If a credit event occurs, the Fund, as a protection seller, would be obligated to make a payment, which may be either: (i) a net cash settlement equal to the notional amount of the swap less the auction value of the reference obligation or (ii) the notional amount of the swap in exchange for the delivery of the reference obligation. Selling protection effectively adds leverage to the Fund's portfolio up to the notional amount of swap agreements. The notional amount represents the maximum potential liability under a contract. Potential liabilities under these contracts may be reduced by: the auction rates of the underlying reference obligations; upfront payments received at the inception of a swap; and net amounts received from credit default swaps purchased with the identical reference obligation.