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Smart Investors Daily
JF

AMEX · JFLX

JPMorgan Flexible Debt ETF

Financial Services · Asset Management - Income

$49.39

Up+$0.07 (+0.15%)

Updated Sep 17, 2026, 3:56 PM

SID Score

3.4/10

Composite research score

Smart Money

Institutional and insider signal

Market cap
923.69M
P/E ratio
Dividend yield
0.80%
52-week range
$49.25 – $50.83
Volume
45.89K
Avg. volume
80.1K

Price performance

JFLX price history

1M range · 21 trading sessions · Daily adjusted prices

JFLX closed at $49.39 after 21 trading sessions, down 1.07% for the selected period.

Last close
$49.39
Period change
-1.07%
Period low
$49.31
Period high
$49.99
Daily close
View OHLC price history
JFLX OHLC price history, latest 40 sessions
DateOpenHighLowCloseVolume
Sep 17, 2026$49.39$49.394$49.31$49.38545.89K
Sep 16, 2026$49.30$49.38$49.265$49.31140.6K
Sep 15, 2026$49.37$49.37$49.255$49.31187.46K
Sep 14, 2026$49.27$49.38$49.25$49.34132.19K
Sep 11, 2026$49.37$49.40$49.33$49.3399.41K
Sep 10, 2026$49.46$49.59$49.41$49.41139.41K
Sep 9, 2026$49.64$49.69$49.61$49.62107.15K
Sep 8, 2026$49.66$49.73$49.66$49.6782.55K
Sep 4, 2026$49.92$49.92$49.68$49.72110.85K
Sep 3, 2026$49.63$49.67$49.62$49.66111.1K
Sep 2, 2026$49.54$49.60$49.535$49.60128.69K
Sep 1, 2026$49.60$49.63$49.57$49.5752.95K
Aug 31, 2026$49.87$49.87$49.81$49.8352.59K
Aug 28, 2026$49.95$49.95$49.86$49.8876.08K
Aug 27, 2026$49.95$49.9959$49.9404$49.96250.72K
Aug 26, 2026$49.97$49.985$49.955$49.985109.01K
Aug 25, 2026$49.94$50.00$49.92$49.9955.12K
Aug 24, 2026$49.90$49.92$49.88$49.9281.82K
Aug 21, 2026$49.89$49.89$49.85$49.8764.74K
Aug 20, 2026$49.87$49.88$49.85$49.8685.64K
Aug 19, 2026$49.8901$49.92$49.88$49.92113.7K

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JFLX research

Overview

Company profile and research snapshot.

Company profile

JFLX is actively managed and employs a flexible strategy to seek total return through current income and capital appreciation. It invests in fixed income securities across markets and sectors, without credit quality and maturity constraints. The fund may also allocate to asset-backed and mortgage-related securities, structured investments, and adjustable-rate mortgage loans. As well as government and agency debts. ESG factors are integrated into the analysis through top-down macro views and bottom-up security selection and supported by sector specialists. These include fundamental, quantitative, and technical research, including credit monitoring and market analysis. The Fund may use fixed income, currency, and credit derivatives, including futures contracts, options, swaps, such as credit default swaps, and forward contracts. Before Sep. 26, 2025, the fund was called JPMorgan Unconstrained Debt Fund before converting to an ETF structure, starting at around $1.3 billion in assets.

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Analyst outlook

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Consensus
Average target
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