Region Aware)
2
FTSE Russell Publications
JP Morgan Diversified Factor Global 19 August 2021
Developed (Region Aware)
Indicative Index Weight Data as at Closing on 30 June 2021
Index weight Index weight Index weight Constituent Country Constituent Country Constituent Country (%) (%) (%) 3M Company 0.17 USA BHP Group Plc 0.29 UNITED ConocoPhillips 0.27 USA A2A 0.13 ITALY KINGDOM Cons Edison Holding 0.19 USA ABB 0.16 SWITZERLAND Biogen 0.2 USA Constellation Brands A 0.29 USA Abbott Laboratories 0.31 USA Bio-Rad Labs A 0.21 USA Cooper Cos Inc 0.12 USA AbbVie Inc 0.31 USA Blackrock Inc 0.26 USA Corteva 0.29 USA Accenture Cl A 0.32 USA BMW 0.17 GERMANY Cosmos Pharmaceutical 0.11 JAPAN ACS Actividades Cons y Serv 0.01 SPAIN Boliden 0.28 SWEDEN CoStar Group 0.2 USA Activision Blizzard 0.15 USA BorgWarner 0.19 USA Covestro AG 0.09 GERMANY Adecco Group AG 0.06 SWITZERLAND Boston Properties 0.19 USA Crown Castle Intl Corp 0.24 USA Aegon NV 0.04 NETHERLANDS Bridgestone Corp 0.17 JAPAN CSL 0.14 AUSTRALIA AES Corp. 0.32 USA Bristol Myers Squibb 0.29 USA Cummins 0.25 USA AGL Energy 0.11 AUSTRALIA British American Tobacco 0.24 UNITED CVS Health Corporation 0.29 USA AGNC Investment 0.04 USA KINGDOM CyberAgent 0.11 JAPAN Agnico Eagle Mines 0.04 CANADA Broadcom 0.31 USA Dai Nippon Printing 0.04 JAPAN Ahold Delhaize 0.27 NETHERLANDS Broadridge Financial Solutions 0.29 USA Daicel 0.05 JAPAN Air Products & Chemicals Inc 0.24 USA Brother Industries 0.19 JAPAN Daiichi Sankyo 0.03 JAPAN Ajinomoto Co 0.1 JAPAN Brown-Forman B 0.18 USA Daito Trust Constuction 0.12 JAPAN Alexandria Real Estate Equity 0.21 USA BT Group 0.24 UNITED Danaher Corp 0.29 USA KINGDOM Alexion Pharm 0.28 USA Dassault Systemes 0.13 FRANCE Bunge 0.18 USA Align Technology Inc 0.32 USA DaVita 0.22 USA Cabot Oil & Gas 0.21 USA Ally Financial 0.22 USA DENTSPLY SIRONA 0.12 USA Campbell Soup 0.18 USA Altice USA 0.31 USA Deutsche Telekom 0.32 GERMANY Canadian Imperial Bank of 0.29 CANADA Altria Group 0.29 USA Deutsche Wohnen SE 0.2 GERMANY Commerce Alumina 0.09 AUSTRALIA Dexus Property Group 0.09 AUSTRALIA Canadian National Railway 0.25 CANADA Amdocs 0.11 USA Dish Network 0.22 USA Canadian Natural Resources 0.24 CANADA Ameren Corp 0.23 USA DNB 0.24 NORWAY Canadian Tire Corp A 0.09 CANADA American Elec Power Com 0.22 USA Dollar General 0.25 USA Capcom Co Ltd 0.18 JAPAN American Tower Corp 0.25 USA Dominion Energy 0.2 USA Capgemini SE 0.31 FRANCE American Water Works Company 0.29 USA Dover Corp 0.1 USA Cardinal Health 0.17 USA Amgen Corp 0.25 USA Dow Inc 0.21 USA Carlsberg (B) 0.08 DENMARK Ampol 0.14 AUSTRALIA DTE Energy 0.29 USA Carrefour 0.1 FRANCE Anglo American 0.14 UNITED Duke Energy Corp 0.3 USA Carrier Global 0.09 USA KINGDOM Duke Realty Corp 0.2 USA Caterpillar 0.27 USA Anthem 0.28 USA Eastman Chemical 0.27 USA CBRE Group 0.3 USA Aozora Bank 0.02 JAPAN Eaton Corp PLC 0.3 USA CDW 0.1 USA APA Group 0.13 AUSTRALIA Ebay 0.33 USA Celanese 0.28 USA Apple Inc. 0.33 USA EDP 0.28 PORTUGAL CenterPoint Energy 0.22 USA Applied Materials 0.31 USA Electrolux Ser B 0.06 SWEDEN CF Industries Holdings 0.25 USA Archer Daniels Midland 0.19 USA Electronic Arts 0.27 USA CGI 0.13 CANADA Arista Networks 0.24 USA Elisa 0.11 FINLAND Charter Communications Inc. Cl A 0.24 USA Asahi Group Holdings 0.04 JAPAN Enagas 0.11 SPAIN Check Point Software 0.15 USA Asm Intl 0.15 NETHERLANDS Enbridge 0.19 CANADA Chevron 0.21 USA ASML Holding 0.36 NETHERLANDS Endeavour Group 0.03 AUSTRALIA Chubb Ltd 0.23 USA Assurant 0.02 USA Endesa 0.25 SPAIN Chubu Elec Power 0.18 JAPAN Astellas Pharmaceutical 0.12 JAPAN Enel 0.29 ITALY Church & Dwight 0.06 USA AT&T 0.2 USA Eneos Holdings 0.23 JAPAN Cigna Corp 0.21 USA Atlas Copco A 0.31 SWEDEN Enphase Energy Inc 0.23 USA Cintas Corp 0.06 USA Aurizon Holdings 0.09 AUSTRALIA Entergy Corp 0.21 USA Cisco Systems 0.25 USA Auto Trader Group 0.05 UNITED EOG Resources 0.23 USA Citrix Systems 0.04 USA KINGDOM Equinor ASA 0.05 NORWAY CJ Cheiljedang 0.05 KOREA Automatic Data Process 0.29 USA Equity Residential 0.2 USA CK Hutchison Holdings 0.12 HONG KONG Avalonbay Communities 0.21 USA Essex Prop Trust 0.2 USA Clorox 0.24 USA Avangrid 0.2 USA Evergy 0.22 USA CLP Holdings 0.23 HONG KONG Avery Dennison Corp 0.29 USA Evraz 0.09 UNITED CMS Energy Corp 0.23 USA Baker Hughes Company 0.17 USA KINGDOM Coca Cola Europacific Partners plc 0.06 USA Bandai Namco Holdings 0.11 JAPAN Exelon Corporation 0.23 USA Coca-Cola 0.13 USA Bank of Montreal 0.3 CANADA Experian 0.08 UNITED Bank of Nova Scotia 0.23 CANADA Cochlear 0.1 AUSTRALIA KINGDOM Barrick Gold 0.23 CANADA Coles Group 0.1 AUSTRALIA Extra Space Storage 0.32 USA BCE Inc 0.25 CANADA Colgate-Palmolive 0.23 USA Exxon Mobil Corporation 0.15 USA Becton Dickinson 0.23 USA Coloplast B 0.18 DENMARK Fastenal Co 0.25 USA Berkeley Group Holdings 0.17 UNITED Comcast A 0.3 USA Federal Realty Invs 0.2 USA KINGDOM Compass Group 0.02 UNITED Ferguson 0.21 UNITED Berkley W R 0.08 USA KINGDOM KINGDOM Best Buy Company 0.29 USA ConAgra Brands Inc 0.26 USA Fifth Third Bancorp 0.24 USA Concordia Financial Group 0.07 JAPAN Firstenergy Corp. 0.21 USA
Source: FTSE Russell 1 of 4 19 August 2021
Index weight Index weight Index weight Constituent Country Constituent Country Constituent Country (%) (%) (%) Flutter Entertainment 0.05 UNITED Leidos Holdings 0.08 USA Power Corp Canada 0.29 CANADA KINGDOM Lennar Class A 0.29 USA PPG Industries 0.28 USA FMC Corp 0.06 USA Lenovo Group 0.15 HONG KONG PPL Corporation 0.18 USA FNF Group 0.26 USA LG Corp 0.09 KOREA Price (T. Rowe) Group 0.14 USA Ford Motor Company 0.15 USA LG Household & Health Care Ltd 0.1 KOREA Procter & Gamble 0.3 USA Fortescue Metals Group 0.28 AUSTRALIA LG Uplus 0.06 KOREA Progressive Corp 0.18 USA Fortinet 0.25 USA Liberty Global plc Cl C 0.15 USA Prologis 0.22 USA Fortis Inc 0.27 CANADA Lilly (Eli) & Co 0.32 USA ProSiebenSat.1 Media SE 0.06 GERMANY Fortum 0.3 FINLAND Linde plc 0.29 USA Proximus 0.1 BELGIUM Fortune Brands Home & Security 0.2 USA Link Real Estate Investment Trust 0.16 HONG KONG Public Storage 0.32 USA Franco-Nevada 0.16 CANADA Loblaw Companies 0.06 CANADA Public Svc Enterprise Group 0.3 USA Freeport-McMoRan 0.14 USA Lockheed Martin Corp 0.22 USA Pulte Group 0.06 USA Fresenius Medical Care 0.12 GERMANY Logitech 0.28 SWITZERLAND Qorvo Inc. 0.3 USA Fuji Electric 0.08 JAPAN Lotte Chemical 0.05 KOREA Qualcomm 0.27 USA FUJIFILM Holdings 0.07 JAPAN Lowes Cos Inc 0.31 USA Quest Diagnostics 0.27 USA Garmin Ltd 0.31 USA Lumen Technologies Inc 0.22 USA Rakuten 0.11 JAPAN Geberit N 0.14 SWITZERLAND Lundin Energy 0.12 SWEDEN Realty Income 0.19 USA Gecina 0.11 FRANCE LX Holdings <0.005 KOREA Reckitt Benckiser Group 0.17 UNITED General Mills 0.26 USA LyondellBasell Industries Cl A 0.24 USA KINGDOM Genmab 0.16 DENMARK Magna International Inc. 0.27 CANADA RED ELECTRICA CORP SA 0.15 SPAIN Gentex Corp 0.26 USA Mapletree Commercial Trust 0.07 SINGAPORE Regency Centers 0.2 USA Genuine Parts 0.04 USA Marathon Petroleum 0.25 USA RELX 0.07 UNITED Gilead Sciences 0.19 USA Marubeni Corp 0.09 JAPAN KINGDOM Globe Life 0.09 USA Masco Corp 0.21 USA Republic Services 0.31 USA GPT Group 0.15 AUSTRALIA Matsumotokiyoshi Holdings 0.08 JAPAN Resmed Inc 0.33 USA Grainger (W W) 0.22 USA Maxim Integrated Prod. 0.31 USA Resona Holdings 0.21 JAPAN H & M Hennes & Mauritz AB B 0.17 SWEDEN McCormick & Co 0.03 USA Restaurant Brands International 0.07 CANADA H. Lundbeck 0.03 DENMARK McKesson 0.2 USA Rio Tinto 0.3 UNITED KINGDOM Halliburton 0.17 USA Medtronic plc 0.31 USA Roche Hldgs (GENUS) 0.37 SWITZERLAND Hana Financial Group 0.22 KOREA Meiji Holdings 0.05 JAPAN Rockwell Automation 0.2 USA Hannover Rueck SE 0.14 GERMANY Metro Inc. 0.09 CANADA Rogers Communications B 0.07 CANADA Hartford Financial Services Group 0.14 USA Michelin B 0.13 FRANCE Roku 0.26 USA HCA Healthcare 0.23 USA Microsoft Corp 0.33 USA Royal Bank Of Canada 0.3 CANADA Healthpeak Properties Inc 0.21 USA Mid-America Apartment Comm 0.23 USA Royal DSM 0.22 NETHERLANDS Heineken Holding 0.06 NETHERLANDS Mitsubishi Chemical Holdings 0.04 JAPAN Royal KPN 0.29 NETHERLANDS HelloFresh SE 0.11 GERMANY Mitsubishi Corp 0.16 JAPAN Sage Group 0.05 UNITED Henry Schein 0.05 USA Mitsubishi Estate 0.02 JAPAN KINGDOM Hershey Company 0.3 USA Mitsubishi Gas Chemical 0.13 JAPAN Samsung Electronics 0.28 KOREA Hexagon B 0.24 SWEDEN Mitsui Chemicals 0.14 JAPAN Samsung Life Insurance Co. Ltd. 0.02 KOREA Honeywell International 0.29 USA Mitsui Fudosan 0.08 JAPAN Sandvik AB 0.21 SWEDEN Incorporation Mochida Pharmaceutical 0.15 JAPAN Sankyo 0.03 JAPAN Hong Kong & China Gas 0.07 HONG KONG Molson Coors Beverage Company 0.18 USA Sanofi 0.33 FRANCE Hormel Foods 0.04 USA Mondelez International Inc. 0.26 USA Santander Consumer USA Holdings 0.29 USA Hoya 0.32 JAPAN Mondi 0.02 UNITED Scentre Group 0.01 AUSTRALIA HP 0.1 USA KINGDOM Schlumberger 0.18 USA Humana 0.17 USA Monster Beverage 0.19 USA Seagate Technology Holdings PLC 0.23 USA Hydro One 0.15 CANADA Morgan Stanley 0.27 USA Secom 0.09 JAPAN Iberdrola 0.18 SPAIN Morrison (Wm) Supermarkets 0.23 UNITED Illinois Tool Wks 0.28 USA KINGDOM Segro 0.2 UNITED KINGDOM Imperial Brands 0.1 UNITED Motorola Solutions 0.31 USA Sekisui Chemical 0.04 JAPAN KINGDOM Mowi ASA 0.01 NORWAY Sempra Energy 0.22 USA Imperial Oil 0.19 CANADA MS&AD Insurance Group Holdings 0.06 JAPAN Shaw Communications Inc CL B 0.19 CANADA INPEX CORPORATION 0.16 JAPAN National Bank of Canada 0.3 CANADA Shionogi 0.01 JAPAN Intact Financial 0.19 CANADA Naturgy Energy Group SA 0.22 SPAIN Simon Property Group 0.3 USA Intel Corp 0.22 USA Neste Oyj 0.26 FINLAND SK Telecom 0.23 KOREA InterContinental Hotels Group 0.03 UNITED Nestle 0.37 SWITZERLAND Skandinaviska Enskilda Banken AB 0.1 SWEDEN KINGDOM NetApp 0.11 USA A International Paper 0.29 USA Newmont Corporation 0.27 USA Skyworks Solutions Inc 0.25 USA Interpublic Group Cos 0.29 USA NextEra Energy Inc 0.3 USA Smiths Group 0.03 UNITED Intuit 0.32 USA Nike Inc Cl B 0.33 USA KINGDOM Investor B Free 0.3 SWEDEN Nintendo 0.09 JAPAN Snam 0.24 ITALY Invitation Homes 0.21 USA Nisource 0.11 USA SoftBank 0.11 JAPAN Iron Mountain 0.28 USA Nitori Holdings 0.1 JAPAN SoftBank Group 0.16 JAPAN Itochu Corp 0.16 JAPAN NN Group 0.25 NETHERLANDS Sojitz 0.09 JAPAN J M Smucker 0.28 USA Nomura Real Estate Holdings 0.14 JAPAN Sonic Healthcare 0.25 AUSTRALIA Japan Metropolitan Fund 0.1 JAPAN Nomura Research Institute 0.21 JAPAN Investment Sonova Holding AG 0.33 SWITZERLAND Norfolk Sthn Corp 0.14 USA Japan Tobacco 0.19 JAPAN Southern Co 0.28 USA Novartis (REGD) 0.35 SWITZERLAND Jazz Pharmaceuticals 0.14 USA Southern Copper Corp. 0.24 USA Novo-Nordisk B 0.34 DENMARK Johnson & Johnson 0.3 USA Spark New Zealand 0.26 NEW ZEALAND NRG Energy 0.18 USA Johnson Controls International PLC 0.21 USA SSE 0.21 UNITED NTT 0.27 JAPAN KINGDOM Juniper Networks 0.04 USA Nucor Corp 0.27 USA State Street Corp. 0.17 USA Kansai Elec Power 0.14 JAPAN Nutrien Ltd 0.23 CANADA Steel Dynamics 0.28 USA KB Financial Group 0.18 KOREA Nvidia 0.35 USA STERIS plc 0.28 USA KDDI Corp 0.26 JAPAN NVR Inc 0.15 USA Stora Enso R 0.06 FINLAND Kellogg 0.2 USA OMV 0.1 AUSTRIA Stryker 0.3 USA Kesko B 0.11 FINLAND Oracle Corp. 0.29 USA Sumitomo Chemical 0.03 JAPAN Keurig Dr Pepper 0.21 USA Origin Energy 0.08 AUSTRALIA Sumitomo Realty & Development 0.12 JAPAN Keysight Technologies 0.23 USA Orix Corporation 0.2 JAPAN Sumitomo Rubber Industries 0.07 JAPAN KIA Motors 0.04 KOREA Osaka Gas 0.15 JAPAN Sun Hung Kai Props 0.12 HONG KONG Kikkoman 0.05 JAPAN Otis Worldwide 0.08 USA Sun Life Financial 0.28 CANADA Kimberly-Clark 0.22 USA Packaging Corp of America 0.15 USA Swedish Match 0.28 SWEDEN Kimco Realty Cp 0.2 USA Pandora A/S 0.1 DENMARK Swire Pacific A 0.1 HONG KONG Kinder Morgan 0.2 USA Parker-Hannifin 0.28 USA Swiss Life 0.1 SWITZERLAND KLA Corporation 0.31 USA Paychex 0.26 USA Swisscom 0.28 SWITZERLAND Klepierre 0.09 FRANCE PCCW 0.02 HONG KONG Sydney Airport 0.02 AUSTRALIA Kobe Bussan 0.11 JAPAN Pearson 0.03 UNITED Synchrony Financial 0.09 USA Kone B 0.28 FINLAND KINGDOM Synopsys Inc 0.26 USA Koninklijke Philips 0.18 NETHERLANDS Pembina Pipeline 0.19 CANADA Sysco Corp 0.18 USA Korea Investment Hol 0.06 KOREA Pepsico 0.27 USA Takeda Pharmaceutical 0.16 JAPAN Kraft Heinz 0.28 USA Persimmon 0.16 UNITED Target Corp 0.32 USA Kroger 0.3 USA KINGDOM Tate & Lyle 0.07 UNITED KT&G 0.16 KOREA Pfizer 0.24 USA KINGDOM Laboratory Corp of America 0.32 USA Philip Morris International 0.31 USA TE Connectivity 0.28 USA Lam Research 0.3 USA Pinnacle West Capital Corp 0.19 USA Techtronic Industries 0.24 HONG KONG Lauder (Estee) 0.31 USA Pioneer Natural Resource 0.2 USA Tele2 AB 0.17 SWEDEN Lawson 0.08 JAPAN Poste Italiane 0.12 ITALY Telecom Italia 0.19 ITALY Lear Corp 0.06 USA Power Assets Holdings 0.14 HONG KONG Telefonica 0.12 SPAIN
Source: FTSE Russell 2 of 4 19 August 2021
Index weight Index weight Index weight Constituent Country Constituent Country Constituent Country (%) (%) (%) Telenor A/S 0.15 NORWAY Unibail Rodamco Westfield 0.09 NETHERLANDS WEC Energy Group 0.25 USA Telia Co AB 0.24 SWEDEN Uni-Charm 0.09 JAPAN Welltower Inc. 0.22 USA Telstra Corp 0.16 AUSTRALIA Unilever 0.31 UNITED Wesfarmers 0.21 AUSTRALIA Telus Corporation 0.27 CANADA KINGDOM West Pharm Svcs 0.26 USA Teradyne 0.26 USA Union Pacific Corp 0.29 USA Western Union 0.25 USA Tesco 0.13 UNITED United Parcel Service 0.12 USA Westlake Chemical 0.12 USA KINGDOM Unitedhealth Group 0.3 USA Weyerhaeuser 0.29 USA Texas Instruments 0.31 USA Universal Health Services B 0.2 USA WH Group 0.05 HONG KONG Thermo Fisher Scientific 0.32 USA UPM-Kymmene 0.19 FINLAND Wheaton Precious Metals 0.21 CANADA Thomson Reuters 0.31 CANADA US Bancorp 0.21 USA Whirlpool Corp 0.25 USA T-Mobile US Inc. 0.21 USA Ventas Inc 0.2 USA Williams Cos 0.21 USA Tohoku Elec Power 0.08 JAPAN VEREIT 0.29 USA Wolters Kluwer CVA 0.23 NETHERLANDS Tokio Marine Holdings 0.06 JAPAN Verizon Communications 0.23 USA Woodside Petroleum 0.13 AUSTRALIA Tokyo Gas 0.18 JAPAN Vertex Pharm 0.13 USA Woolworths Group 0.17 AUSTRALIA Toppan Printing 0.02 JAPAN Vestas Wind Systems 0.21 DENMARK XCEL Energy 0.23 USA Toronto-Dominion Com 0.29 CANADA Vinci 0.17 FRANCE Yara International 0.11 NORWAY TotalEnergies SE 0.23 FRANCE Vistra Corp 0.18 USA Zebra Technologies 0.3 USA Toyo Suisan Kaisha 0.1 JAPAN Vodafone Group 0.19 UNITED Zeon Corporation 0.06 JAPAN Tractor Supply 0.31 USA KINGDOM Zillow Group CL C 0.23 USA Transurban Group 0.05 AUSTRALIA Vonovia SE 0.13 GERMANY Zoetis 0.32 USA Treasury Wine Estates 0.07 AUSTRALIA W. P. Carey Inc. 0.2 USA Zurich Insurance Group 0.15 SWITZERLAND Tyson Foods Inc A 0.29 USA Walgreens Boots Alliance 0.2 USA Walmart 0.27 USA Ube Industries 0.14 JAPAN Ubiquiti 0.1 USA Waste Connections Inc 0.09 CANADA UDR 0.05 USA Waste Mgmt Inc 0.3 USA
Source: FTSE Russell 3 of 4 19 August 2021
Data Explanation
Weights
Weights data is indicative, as values have been rounded up or down to two decimal points. Where very small values are concerned, which would display as 0.00 using this rounding method, these weights are shown as <0.005. Timing of data
Constituents & Weights are generally published in arrears and contain the data as at the most recent quarter-end. However, some spreadsheets are updated on a more frequent basis. Please refer to the data date shown.
19 August 2021
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Source: FTSE Russell 4 of 4