TORONTO, July 10, 2026 (GLOBE NEWSWIRE) — J. P. Morgan Asset Management (JPMAM)* today announced the final June 2026 cash distributions for the below listed JPMorgan ETFs. The JPMorgan ETFs trade on the Toronto Stock Exchange (TSX). Unitholders of record on July 17, 2026 will receive cash distributions payable on July 23, 2026. Details of the “per unit” distributions are as follows:
| JPMorgan ETF name | Ticker symbol | Distribution per unit ($) | Payment frequency |
| JPMorgan US Ultra-Short Income Active ETF | JPST | 0.08518 | Monthly |
| JPMorgan US Bond Active ETF | JBND | 0.08240 | Monthly |
| JPMorgan Income Active ETF | JPIE | 0.10574 | Monthly |
