JPM Greater China A (dist) - USD / 577341 / LU0117841782
|
100,00 % |
20,42 % |
-20,85 % |
8,86 % |
23,56 % |
21,72 % |
JPM Hong Kong A (dist) - USD / 577342 / LU0117842087
|
100,00 % |
-13,43 % |
16,16 % |
36,09 % |
14,98 % |
16,96 % |
JPM Singapore A (dist) - USD / 577343 / LU0117842756
|
100,00 % |
-8,35 % |
18,17 % |
23,94 % |
11,79 % |
13,89 % |
JPM Taiwan A (dist) - USD / 577344 / LU0117843481
|
100,00 % |
23,50 % |
8,14 % |
88,57 % |
20,91 % |
20,57 % |
JPM Asia Pacific Income A (dist) - USD / 577345 / LU0117844026
|
100,00 % |
13,42 % |
9,12 % |
18,55 % |
7,86 % |
9,68 % |
JPM Turkey Equity A (dist) - EUR / 577346 / LU0117839455
|
100,00 % |
-0,19 % |
-6,81 % |
7,60 % |
22,63 % |
24,52 % |
JPM US Aggregate Bond A (dist) - USD / 577347 / LU0117838564
|
100,00 % |
6,92 % |
-0,41 % |
3,76 % |
6,12 % |
6,59 % |
JPM US Growth A (dist) - USD / 580672 / LU0119063898
|
100,00 % |
38,95 % |
47,96 % |
153,32 % |
18,83 % |
19,32 % |
JPM US Value A (dist) - USD / 580673 / LU0119066131
|
100,00 % |
18,33 % |
29,98 % |
58,40 % |
12,89 % |
16,45 % |
JPM Europe Dynamic A (dist) - EUR / 580674 / LU0119062650
|
100,00 % |
8,62 % |
15,10 % |
37,82 % |
13,66 % |
17,44 % |
JPM Global Equity A (dist) - USD / 580675 / LU0119067295
|
100,00 % |
2,86 % |
32,06 % |
46,80 % |
17,33 % |
15,66 % |
JPM Global Convertibles (EUR) A (dist) - EUR / 795312 / LU0129412341
|
100,00 % |
1,49 % |
-24,45 % |
-3,07 % |
13,52 % |
14,16 % |
JPM Europe Dynamic Technologies Fund A (dist) - EUR / 926444 / LU0104030142
|
100,00 % |
2,20 % |
-9,79 % |
42,65 % |
21,37 % |
21,62 % |
JPM Europe Strategic Growth A (dist) - EUR / 933912 / LU0107398538
|
100,00 % |
9,14 % |
2,42 % |
34,74 % |
15,45 % |
16,36 % |
JPM Europe Strategic Value A (dist) - EUR / 933913 / LU0107398884
|
100,00 % |
12,28 % |
28,33 % |
30,91 % |
14,63 % |
21,24 % |
JPM Germany Equity A (dist) - EUR / 939859 / LU0111753843
|
100,00 % |
13,24 % |
19,09 % |
67,56 % |
14,03 % |
13,74 % |
JPM Global Sustainable Equity Fund A (dist) - USD / 939861 / LU0111753769
|
100,00 % |
21,78 % |
23,52 % |
91,95 % |
14,58 % |
15,67 % |
JPM Japan Equity A (dist) - USD / 971602 / LU0053696224
|
100,00 % |
21,85 % |
-5,52 % |
25,28 % |
18,43 % |
17,91 % |
JPM America Equity A (dist) - USD / 971603 / LU0053666078
|
100,00 % |
31,70 % |
49,65 % |
114,73 % |
15,66 % |
17,42 % |
JPM Euroland Equity A (dist) - EUR / 971604 / LU0089640097
|
100,00 % |
9,56 % |
19,34 % |
37,90 % |
15,85 % |
19,34 % |
JPM Europe Equity A (dist) - EUR / 971605 / LU0053685029
|
100,00 % |
7,30 % |
17,79 % |
41,20 % |
13,40 % |
16,95 % |
JPM Global Growth Fund A (dist) - USD / 971606 / LU0089639750
|
100,00 % |
31,61 % |
19,18 % |
67,66 % |
19,84 % |
18,57 % |
JPM Global Aggregate Bond A (dist) - USD / 971607 / LU0053696067
|
100,00 % |
4,41 % |
-6,10 % |
-0,88 % |
5,55 % |
5,35 % |
JPM Pacific Equity A (dist) - USD / 971609 / LU0052474979
|
100,00 % |
14,91 % |
-7,55 % |
16,73 % |
14,22 % |
14,70 % |
JPM US Smaller Companies A (dist) - USD / 971611 / LU0053697206
|
100,00 % |
14,43 % |
12,46 % |
38,50 % |
19,17 % |
20,30 % |
JPM US Small Cap Growth A (dist) - USD / 971759 / LU0053671581
|
100,00 % |
18,63 % |
-5,04 % |
25,38 % |
23,94 % |
23,71 % |
JPM Sterling Bond A (dist) - GBP / 971947 / LU0053692744
|
100,00 % |
4,02 % |
-24,69 % |
-15,50 % |
18,43 % |
16,53 % |
JPM Latin America Equity A (dist) - USD / 972079 / LU0053687314
|
100,00 % |
-16,40 % |
23,30 % |
-5,06 % |
21,13 % |
27,06 % |
JPM Emerging Markets Equity A (dist) - USD / 973678 / LU0053685615
|
100,00 % |
8,79 % |
-11,15 % |
0,83 % |
13,80 % |
16,14 % |
JPM Europe Small Cap A (dist) - EUR / 973679 / LU0053687074
|
100,00 % |
9,11 % |
-10,74 % |
12,80 % |
18,53 % |
22,48 % |
JPM China A (dist) - USD / 973778 / LU0051755006
|
100,00 % |
17,58 % |
-30,74 % |
-9,85 % |
30,03 % |
26,87 % |
JPM Emerging Europe Equity A (dist) - EUR / 973802 / LU0051759099
|
100,00 % |
- |
- |
- |
- |
- |
JPM India A (dist) - USD / 974541 / LU0058908533
|
100,00 % |
16,81 % |
28,43 % |
44,47 % |
12,05 % |
19,77 % |
JPM USD Standard Money Market VNAV A (acc.) / 974787 / LU0011815304
|
100,00 % |
10,77 % |
21,37 % |
20,02 % |
7,33 % |
7,28 % |
JPM GBP Standard Money Market VNAV A (acc.) / 974788 / LU0070177588
|
100,00 % |
9,46 % |
11,94 % |
13,98 % |
4,30 % |
4,90 % |
JPM EUR Liquidity VNAV A (acc.) / 974789 / LU0070177232
|
100,00 % |
-0,52 % |
-1,78 % |
-2,81 % |
0,05 % |
0,04 % |
JPM Emerging Markets Debt A (dist) - EUR (hedged) / 986706 / LU0072845869
|
100,00 % |
4,65 % |
-12,31 % |
-13,85 % |
12,05 % |
13,45 % |
JPM Emerging Europe, Middle East and Africa Eqty A dis - USD / 986951 / LU0074838565
|
100,00 % |
-7,81 % |
19,52 % |
2,68 % |
13,18 % |
14,77 % |
JPM US Select Equity A (acc) - USD / 987333 / LU0070214290
|
100,00 % |
28,39 % |
35,95 % |
102,06 % |
15,02 % |
16,38 % |
JPM Japan Sustainable Equity A (acc) - JPY / 987583 / LU0070214613
|
100,00 % |
16,64 % |
3,44 % |
20,81 % |
14,81 % |
15,92 % |
JPM US Bond A (acc) - USD / 987585 / LU0070215933
|
100,00 % |
6,93 % |
-0,72 % |
4,39 % |
6,32 % |
6,64 % |
JPM US Technology A (dist) - USD / 987702 / LU0082616367
|
100,00 % |
34,20 % |
32,09 % |
160,19 % |
28,62 % |
26,55 % |
JPM Emerging Middle East Equity A (dist) - USD / 988237 / LU0083573666
|
100,00 % |
8,66 % |
60,57 % |
69,91 % |
16,33 % |
17,34 % |
JPM Global Select Equity A (acc) - USD / 988404 / LU0070217475
|
100,00 % |
20,60 % |
37,13 % |
87,01 % |
13,73 % |
15,87 % |
JPM Global Macro Balanced A (acc) - EUR / 988414 / LU0070211940
|
100,00 % |
0,52 % |
0,48 % |
15,07 % |
4,72 % |
4,82 % |
JPM Global Balanced A (acc) - EUR / 988417 / LU0070212591
|
100,00 % |
7,50 % |
-2,72 % |
13,20 % |
9,13 % |
9,49 % |
JPM Global Macro Opportunities A (acc) - EUR / 989946 / LU0095938881
|
100,00 % |
7,54 % |
-7,26 % |
6,23 % |
8,29 % |
7,02 % |
JPM Global Select Equity Plus A (perf) (acc) - USD / 988656 / LU0088298020
|
100,00 % |
-0,00 % |
14,13 % |
70,96 % |
13,68 % |
11,98 % |
JPM Europe High Yield Bond A (dist) - EUR / 989081 / LU0091079839
|
100,00 % |
5,51 % |
5,31 % |
9,34 % |
7,52 % |
8,62 % |
JPM Global Financials A (acc) - USD / 659104 / LU0115528548
|
100,00 % |
5,46 % |
22,06 % |
69,34 % |
17,79 % |
14,71 % |
JPM Global High Yield Bond A (acc) - EUR hedged / 937487 / LU0108415935
|
100,00 % |
7,46 % |
1,95 % |
7,42 % |
8,22 % |
8,70 % |
JPM Europe Select Equity A (acc) - EUR / 988421 / LU0079556006
|
100,00 % |
2,23 % |
9,25 % |
29,94 % |
14,36 % |
16,53 % |
JPM Global Focus A (dist) - EUR / 343439 / LU0168341575
|
100,00 % |
22,26 % |
39,81 % |
91,43 % |
14,64 % |
16,45 % |
JPM America Equity D (acc) - USD / 602956 / LU0117861202
|
100,00 % |
30,67 % |
46,21 % |
106,56 % |
15,65 % |
17,41 % |
JPM US Smaller Companies D (acc) - USD / 603008 / LU0117881572
|
100,00 % |
13,20 % |
8,94 % |
31,36 % |
19,16 % |
20,28 % |
JPM US Small Cap Growth D (acc) - USD / 602958 / LU0117881226
|
100,00 % |
17,73 % |
-7,17 % |
20,70 % |
23,92 % |
23,70 % |
JPM Emerging Europe Equity D (acc) - EUR / 602961 / LU0117895796
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe, Middle East and Africa Eqty D acc - USD / 602962 / LU0117896091
|
100,00 % |
-8,75 % |
15,98 % |
-2,34 % |
13,17 % |
14,77 % |
JPM Emerging Markets Equity D (acc) - USD / 602963 / LU0117895366
|
100,00 % |
7,92 % |
-13,25 % |
-3,12 % |
13,79 % |
16,13 % |
JPM Global Balanced D (acc) - EUR / 529491 / LU0115099839
|
100,00 % |
6,97 % |
-4,18 % |
10,39 % |
9,13 % |
9,49 % |
JPM Euroland Equity D (acc) - EUR / 602966 / LU0117858166
|
100,00 % |
8,72 % |
16,65 % |
32,74 % |
15,82 % |
19,32 % |
JPM Turkey Equity D (acc) - EUR / 602969 / LU0117839612
|
100,00 % |
-1,15 % |
-9,56 % |
2,34 % |
22,61 % |
24,50 % |
JPM Europe Dynamic D (acc) - EUR / 602990 / LU0119063039
|
100,00 % |
7,78 % |
12,52 % |
32,81 % |
13,65 % |
17,42 % |
JPM Europe Equity D (acc) - EUR / 602968 / LU0117858596
|
100,00 % |
6,48 % |
15,01 % |
35,76 % |
13,38 % |
16,91 % |
JPM Europe High Yield Bond D (acc) - EUR / 602991 / LU0117897578
|
100,00 % |
4,95 % |
3,62 % |
6,41 % |
7,53 % |
8,63 % |
JPM Europe Small Cap D (acc) - EUR / 602992 / LU0117859560
|
100,00 % |
8,00 % |
-13,50 % |
7,08 % |
18,51 % |
22,46 % |
JPM Europe Strategic Growth D (acc) - EUR / 602993 / LU0117858679
|
100,00 % |
8,27 % |
0,11 % |
29,67 % |
15,46 % |
16,37 % |
JPM Europe Strategic Value D (acc) - EUR / 602994 / LU0117858752
|
100,00 % |
11,32 % |
25,25 % |
25,66 % |
14,60 % |
21,19 % |
JPM Europe Dynamic Technologies Fund D (acc) - EUR / 602995 / LU0117884675
|
100,00 % |
1,16 % |
-12,47 % |
35,66 % |
21,34 % |
21,60 % |
JPM Emerging Markets Debt D (acc) - EUR (hedged) / 602964 / LU0117898204
|
100,00 % |
3,95 % |
-14,11 % |
-16,87 % |
12,05 % |
13,43 % |
JPM US Aggregate Bond D (acc) - USD / 603258 / LU0117838648
|
100,00 % |
6,64 % |
-1,18 % |
2,39 % |
6,13 % |
6,61 % |
JPM Germany Equity D (acc) - EUR / 602996 / LU0117860493
|
100,00 % |
11,98 % |
15,44 % |
59,34 % |
13,89 % |
13,64 % |
JPM Global Select Equity Plus D (perf) (acc) - USD / 634785 / LU0115096223
|
100,00 % |
-1,00 % |
10,75 % |
62,62 % |
13,67 % |
11,97 % |
JPM Global Aggregate Bond D (acc) - USD / 602997 / LU0117896927
|
100,00 % |
4,04 % |
-7,22 % |
-2,83 % |
5,53 % |
5,34 % |
JPM Global Macro Opportunities D (acc) - EUR / 533947 / LU0115098948
|
100,00 % |
6,78 % |
-9,20 % |
2,56 % |
8,29 % |
7,01 % |
JPM Global Macro Balanced D (acc) - EUR / 693233 / LU0115711235
|
100,00 % |
0,07 % |
-0,87 % |
12,50 % |
4,72 % |
4,82 % |
JPM Global Convertibles (EUR) D (acc) - EUR / 795315 / LU0129412937
|
100,00 % |
0,97 % |
-25,58 % |
-5,40 % |
13,56 % |
14,16 % |
JPM Global Equity D (acc) - USD / 602998 / LU0119067378
|
100,00 % |
2,04 % |
28,99 % |
40,46 % |
17,35 % |
15,67 % |
JPM Global Growth Fund D (acc) - USD / 602999 / LU0117881903
|
100,00 % |
30,62 % |
16,48 % |
61,40 % |
19,83 % |
18,55 % |
JPM Global Financials D (acc) - USD / 659107 / LU0115104696
|
100,00 % |
4,41 % |
18,42 % |
61,06 % |
17,77 % |
14,70 % |
JPM Global High Yield Bond D (acc) - EUR (hedged) / 634338 / LU0115103029
|
100,00 % |
7,04 % |
0,77 % |
5,37 % |
8,21 % |
8,70 % |
JPM Global Focus D (acc) - EUR / 345106 / LU0168343274
|
100,00 % |
21,04 % |
35,65 % |
82,11 % |
14,63 % |
16,44 % |
JPM Global Select Equity D (acc) - USD / 529619 / LU0115085028
|
100,00 % |
19,68 % |
33,99 % |
79,83 % |
13,72 % |
15,86 % |
JPM Global Sustainable Equity Fund D (acc) - USD / 603002 / LU0117882547
|
100,00 % |
20,62 % |
20,07 % |
82,97 % |
14,57 % |
15,64 % |
JPM Japan Sustainable Equity D (acc) - JPY / 529618 / LU0115096736
|
100,00 % |
15,77 % |
1,14 % |
16,37 % |
14,80 % |
15,91 % |
JPM Latin America Equity D (acc) - USD / 603004 / LU0117896174
|
100,00 % |
-17,24 % |
19,66 % |
-9,70 % |
21,10 % |
27,02 % |
JPM Emerging Middle East Equity D (acc) - USD / 603005 / LU0117896257
|
100,00 % |
7,57 % |
55,87 % |
61,63 % |
16,31 % |
17,32 % |
JPM Sterling Bond D (acc) - GBP / 603006 / LU0117897909
|
100,00 % |
3,46 % |
-25,96 % |
-17,82 % |
18,39 % |
16,51 % |
JPM US Bond D (acc) - USD / 533948 / LU0115104423
|
100,00 % |
6,66 % |
-1,47 % |
3,09 % |
6,32 % |
6,64 % |
JPM US Select Equity D (acc) - USD / 529844 / LU0115097544
|
100,00 % |
27,72 % |
33,84 % |
96,92 % |
15,01 % |
16,37 % |
JPM US Growth D (acc) - USD / 603009 / LU0119065240
|
100,00 % |
37,94 % |
44,80 % |
144,41 % |
18,84 % |
19,32 % |
JPM US Value D (acc) - USD / 603020 / LU0119066727
|
100,00 % |
17,44 % |
27,08 % |
52,51 % |
12,90 % |
16,44 % |
JPM US Technology D (acc) - USD / 603021 / LU0117885052
|
100,00 % |
32,83 % |
28,24 % |
147,67 % |
28,61 % |
26,54 % |
JPM China D (acc) - USD / 603260 / LU0117867159
|
100,00 % |
16,41 % |
-32,79 % |
-14,25 % |
30,01 % |
26,85 % |
JPM Greater China D (acc) - USD / 796136 / LU0117841949
|
100,00 % |
19,21 % |
-23,21 % |
3,52 % |
23,54 % |
21,70 % |
JPM Hong Kong D (acc) - USD / 796137 / LU0117842327
|
100,00 % |
-14,30 % |
12,73 % |
29,43 % |
14,95 % |
16,95 % |
JPM India D (acc) - USD / 603261 / LU0117881739
|
100,00 % |
15,88 % |
25,36 % |
38,78 % |
12,05 % |
19,76 % |
JPM Japan Equity D (acc) - USD / 603262 / LU0117866185
|
100,00 % |
20,86 % |
-7,74 % |
20,49 % |
18,43 % |
17,91 % |
JPM Asia Pacific Income D (acc) - USD / 796138 / LU0117844612
|
100,00 % |
12,88 % |
7,61 % |
15,86 % |
7,86 % |
9,68 % |
JPM Pacific Equity D (acc) - USD / 603264 / LU0117866854
|
100,00 % |
14,04 % |
-9,66 % |
12,32 % |
14,22 % |
14,70 % |
JPM Singapore D (acc) - USD / 796139 / LU0117843135
|
100,00 % |
-9,28 % |
14,68 % |
17,88 % |
11,77 % |
13,88 % |
JPM Taiwan D (acc) - USD / 796140 / LU0117843721
|
100,00 % |
22,29 % |
4,93 % |
79,32 % |
20,89 % |
20,54 % |
JPM USD Treasury VNAV A (acc.) / 249803 / LU0176037280
|
0,00 % |
16,42 % |
11,76 % |
20,23 % |
7,45 % |
6,66 % |
JPM Europe Equity A (acc) - USD / 602967 / LU0119078227
|
100,00 % |
7,07 % |
17,52 % |
41,29 % |
13,12 % |
16,86 % |
JPM US Smaller Companies A (acc) - USD / A0DQHT / LU0210528922
|
100,00 % |
14,48 % |
12,56 % |
38,73 % |
19,18 % |
20,30 % |
JPM America Equity A (acc) - USD / A0DQHR / LU0210528500
|
100,00 % |
31,67 % |
49,59 % |
114,64 % |
15,67 % |
17,42 % |
JPM Global Natural Resources A (dist) - EUR / A0DPLM / LU0208853514
|
100,00 % |
-2,74 % |
26,35 % |
46,35 % |
18,95 % |
22,94 % |
JPM Global Natural Resources A (acc) - EUR / A0DPLL / LU0208853274
|
100,00 % |
-2,74 % |
26,41 % |
46,48 % |
18,95 % |
22,97 % |
JPM China A (acc) - USD / A0DQHV / LU0210526637
|
100,00 % |
17,57 % |
-30,72 % |
-9,86 % |
30,03 % |
26,87 % |
JPM Europe Dynamic A (acc) - EUR / A0DQH1 / LU0210530662
|
100,00 % |
8,61 % |
15,19 % |
38,04 % |
13,65 % |
17,45 % |
JPM Emerging Europe Equity A (acc) - EUR / A0DQHW / LU0210529144
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe, Middle East and Africa Eqty A acc - USD / A0DQHX / LU0210529573
|
100,00 % |
-7,81 % |
19,54 % |
2,67 % |
13,19 % |
14,79 % |
JPM Emerging Markets Debt A (acc) - EUR (hedged) / A0DQQ9 / LU0210532528
|
100,00 % |
4,72 % |
-12,14 % |
-13,65 % |
12,02 % |
13,42 % |
JPM Emerging Markets Equity A (acc) - USD / A0DQHY / LU0210529656
|
100,00 % |
8,80 % |
-11,12 % |
0,85 % |
13,80 % |
16,14 % |
JPM Euroland Equity A (acc) - EUR / A0DQHZ / LU0210529490
|
100,00 % |
9,57 % |
19,33 % |
37,93 % |
15,85 % |
19,35 % |
JPM Turkey Equity A (acc) - EUR / A0DQH0 / LU0210530316
|
100,00 % |
-0,14 % |
-6,79 % |
7,61 % |
22,65 % |
24,51 % |
JPM Europe Equity A (acc) - EUR / A0DQH2 / LU0210530746
|
100,00 % |
7,33 % |
17,77 % |
41,18 % |
13,40 % |
16,93 % |
JPM Europe High Yield Bond A (acc) - EUR / A0DQQ8 / LU0210531470
|
100,00 % |
5,53 % |
5,35 % |
9,38 % |
7,54 % |
8,63 % |
JPM Europe Small Cap A (acc) - EUR / A0DQH3 / LU0210531637
|
100,00 % |
9,10 % |
-10,80 % |
12,73 % |
18,51 % |
22,47 % |
JPM Europe Strategic Growth A (acc) - EUR / A0DQH4 / LU0210531801
|
100,00 % |
9,12 % |
2,39 % |
34,63 % |
15,45 % |
16,36 % |
JPM Europe Dynamic Technologies Fund A (acc) - EUR / A0DQH6 / LU0210532015
|
100,00 % |
2,22 % |
-9,75 % |
42,73 % |
21,37 % |
21,63 % |
JPM Germany Equity A (acc) - EUR / A0DQH7 / LU0210532791
|
100,00 % |
13,18 % |
19,00 % |
67,58 % |
14,00 % |
13,72 % |
JPM Europe Strategic Value A (acc) - EUR / A0DQH5 / LU0210531983
|
100,00 % |
12,23 % |
28,31 % |
30,74 % |
14,64 % |
21,21 % |
JPM Global Aggregate Bond A (acc) - USD / A0DQRA / LU0210533179
|
100,00 % |
4,50 % |
-6,08 % |
-0,81 % |
5,50 % |
5,33 % |
JPM Global Convertibles (EUR) A (acc) - EUR / A0DQQ6 / LU0210533500
|
100,00 % |
1,52 % |
-24,38 % |
-2,91 % |
13,56 % |
14,16 % |
JPM Global Equity A (acc) - USD / A0DQH8 / LU0210533419
|
100,00 % |
2,83 % |
31,91 % |
46,59 % |
17,32 % |
15,64 % |
JPM Global Growth Fund A (acc) - USD / A0DQH9 / LU0210533765
|
100,00 % |
31,61 % |
19,23 % |
67,70 % |
19,81 % |
18,55 % |
JPM Global Focus A (acc) - EUR / A0DQQJ / LU0210534227
|
100,00 % |
22,26 % |
39,84 % |
91,53 % |
14,64 % |
16,44 % |
JPM Global Sustainable Equity Fund A (acc) - USD / A0DQQK / LU0210534813
|
100,00 % |
21,84 % |
23,67 % |
92,36 % |
14,58 % |
15,64 % |
JPM Greater China A (acc) - USD / A0DQQL / LU0210526801
|
100,00 % |
20,48 % |
-20,80 % |
8,93 % |
23,56 % |
21,72 % |
JPM Hong Kong A (acc) - USD / A0DQQM / LU0210526983
|
100,00 % |
-13,44 % |
16,11 % |
36,01 % |
14,96 % |
16,96 % |
JPM India A (acc) - USD / A0DQQN / LU0210527015
|
100,00 % |
16,78 % |
28,32 % |
44,35 % |
12,06 % |
19,77 % |
JPM Japan Equity A (acc) - USD / A0DQQR / LU0210527361
|
100,00 % |
21,89 % |
-5,48 % |
25,34 % |
18,40 % |
17,90 % |
JPM Latin America Equity A (acc) - USD / A0DQQT / LU0210535034
|
100,00 % |
-16,42 % |
23,29 % |
-5,06 % |
21,13 % |
27,06 % |
JPM Emerging Middle East Equity A (acc) - USD / A0DQQU / LU0210535208
|
100,00 % |
8,65 % |
60,54 % |
69,96 % |
16,32 % |
17,33 % |
JPM Asia Pacific Income A (acc) - USD / A0DQQ5 / LU0210527791
|
100,00 % |
13,43 % |
9,13 % |
18,59 % |
7,83 % |
9,66 % |
JPM Pacific Equity A (acc) - USD / A0DQQV / LU0210528096
|
100,00 % |
14,92 % |
-7,60 % |
16,53 % |
14,22 % |
14,70 % |
JPM Singapore A (acc) - USD / A0DQQX / LU0210528336
|
100,00 % |
-8,37 % |
18,16 % |
23,92 % |
11,79 % |
13,90 % |
JPM Sterling Bond A (acc) - GBP / A0DQRB / LU0210535463
|
100,00 % |
4,03 % |
-24,72 % |
-15,52 % |
18,40 % |
16,51 % |
JPM Taiwan A (acc) - USD / A0DQQY / LU0210528419
|
100,00 % |
23,52 % |
8,14 % |
88,51 % |
20,90 % |
20,55 % |
JPM US Aggregate Bond A (acc) - USD / A0D8V3 / LU0210532957
|
100,00 % |
6,94 % |
-0,42 % |
3,75 % |
6,14 % |
6,60 % |
JPM US Technology A (acc) - USD / A0DQQ4 / LU0210536867
|
100,00 % |
34,21 % |
32,11 % |
160,22 % |
28,62 % |
26,55 % |
JPM US Small Cap Growth A (acc) - USD / A0DQQ1 / LU0210535976
|
100,00 % |
18,65 % |
-4,98 % |
25,51 % |
23,94 % |
23,71 % |
JPM US Growth A (acc) - USD / A0DQQ2 / LU0210536198
|
100,00 % |
38,99 % |
48,15 % |
153,87 % |
18,84 % |
19,32 % |
JPM US Value A (acc) - USD / A0DQQ3 / LU0210536511
|
100,00 % |
18,33 % |
30,03 % |
58,47 % |
12,90 % |
16,44 % |
JPMorgan Europe Small Cap A - EUR (dis) / 693077 / LU0117905421
|
100,00 % |
0,61 % |
61,86 % |
85,25 % |
13,38 % |
14,37 % |
JPM Europe Strategic Value A (dist) - GBP / 541461 / LU0119092640
|
100,00 % |
12,00 % |
27,30 % |
30,05 % |
14,93 % |
21,38 % |
JPM Europe Dynamic Small Cap A (perf) (acc) - EUR / A0DQBY / LU0210072939
|
100,00 % |
8,23 % |
-17,17 % |
6,71 % |
18,81 % |
22,15 % |
JPM Emerging Markets Equity A (acc) - EUR / A0F6XF / LU0217576759
|
100,00 % |
8,96 % |
-10,98 % |
0,67 % |
13,85 % |
16,19 % |
JPM Asia Growth A (acc) - USD / A0DNC7 / LU0169518387
|
100,00 % |
14,50 % |
-9,67 % |
7,05 % |
16,70 % |
16,99 % |
JPM Russia A (dist) - USD / A0HGJS / LU0215049551
|
100,00 % |
- |
- |
- |
- |
- |
JPM Russia A (acc) - USD / A0HGJR / LU0225506756
|
100,00 % |
- |
- |
- |
- |
- |
JPM Pacific Equity A (acc) - EUR / A0F6XG / LU0217390573
|
100,00 % |
15,09 % |
-7,41 % |
16,46 % |
14,29 % |
14,71 % |
JPM USD Liquidity LVNAV Institutional (dist.) / 935734 / LU0103813712
|
100,00 % |
9,10 % |
17,52 % |
16,37 % |
7,48 % |
7,31 % |
JPM Global Equity D (acc) - EUR / A0HG23 / LU0159041358
|
100,00 % |
1,95 % |
27,43 % |
40,00 % |
17,38 % |
15,71 % |
JPM Europe Strategic Value I (inc) - EUR / A0JKTM / LU0248049685
|
100,00 % |
13,12 % |
31,38 % |
36,13 % |
14,62 % |
21,22 % |
JPM Europe Strategic Growth I (inc) - EUR / A0JKTH / LU0248049255
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Equity I (dist) - EUR / A0JKP4 / LU0248044298
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Equity A (dist) - EUR / A0JL6K / LU0248033333
|
100,00 % |
2,70 % |
30,24 % |
45,96 % |
17,41 % |
15,72 % |
JPM US Select Equity A (dist) - USD / A0JKCH / LU0247985343
|
100,00 % |
28,36 % |
35,83 % |
101,79 % |
15,02 % |
16,38 % |
JPM Europe Select Equity A (dist) - EUR / A0JJ5U / LU0248026808
|
100,00 % |
2,14 % |
8,92 % |
29,28 % |
14,35 % |
16,52 % |
JPM Europe Strategic Dividend A (dist) - EUR / A0JJ5S / LU0247987802
|
100,00 % |
11,74 % |
21,59 % |
27,74 % |
12,84 % |
17,77 % |
JPM Europe Strategic Dividend A (acc) - EUR / A0D8M3 / LU0169527297
|
100,00 % |
11,79 % |
21,74 % |
28,00 % |
12,84 % |
17,77 % |
JPM Japan Advantage Equity A (dist) - JPY / A0JKCC / LU0248027285
|
100,00 % |
7,07 % |
24,50 % |
56,12 % |
18,49 % |
16,29 % |
JPM Japan Advantage Equity A (acc) - JPY / 799004 / LU0115539156
|
100,00 % |
7,07 % |
24,47 % |
56,10 % |
18,48 % |
16,29 % |
JPM Japan Sustainable Equity A (dist) - JPY / A0JKCD / LU0248027525
|
100,00 % |
16,64 % |
3,44 % |
20,81 % |
14,80 % |
15,92 % |
JPM Global Select Equity Plus A (perf) (dist) - USD / A0JJ5X / LU0247983561
|
100,00 % |
-0,04 % |
14,09 % |
70,90 % |
13,68 % |
11,97 % |
JPM Global Select Equity A (dist) - USD / A0JJ59 / LU0247984379
|
100,00 % |
20,49 % |
36,83 % |
86,39 % |
13,72 % |
15,87 % |
JPM Global Financials A (dist) - USD / A0JJ5Z / LU0247983728
|
100,00 % |
5,47 % |
22,05 % |
69,31 % |
17,79 % |
14,71 % |
JPM Europe Focus A (perf) (acc) - EUR / A0HHC2 / LU0225507994
|
100,00 % |
25,90 % |
13,64 % |
81,24 % |
15,46 % |
14,09 % |
JPM Global Convertibles Conservative A (acc) - USD / A0B54U / LU0194732953
|
100,00 % |
11,01 % |
7,98 % |
19,56 % |
6,90 % |
8,10 % |
JPM Global Balanced A (dist) - EUR / A0JKCT / LU0247991317
|
100,00 % |
7,50 % |
-2,74 % |
13,18 % |
9,13 % |
9,49 % |
JPM Global Macro Opportunities A (dist) - EUR / A0JKCV / LU0247991580
|
100,00 % |
7,54 % |
-7,27 % |
6,22 % |
8,29 % |
7,02 % |
JPM Global Macro Balanced A (dist) - EUR / A0JKCW / LU0247991663
|
100,00 % |
0,52 % |
0,49 % |
15,06 % |
4,72 % |
4,82 % |
JPM Global Macro Balanced A (inc) - EUR / A0JK81 / LU0247992638
|
100,00 % |
6,90 % |
11,25 % |
27,51 % |
5,25 % |
4,84 % |
JPM Global Macro A (acc) - USD / A0HME1 / LU0235842555
|
100,00 % |
12,73 % |
10,77 % |
19,37 % |
9,31 % |
8,38 % |
JPM US Value A (acc) - EUR (hedged) / A0KFJH / LU0244270301
|
100,00 % |
10,41 % |
11,42 % |
35,36 % |
14,46 % |
17,78 % |
JPM Latin America Equity I (acc) - USD / A0JKXH / LU0248056540
|
100,00 % |
-15,69 % |
26,39 % |
-1,14 % |
21,15 % |
27,08 % |
JPM Japan Equity A (acc) - JPY / A0HMAV / LU0235639324
|
100,00 % |
21,84 % |
-5,62 % |
24,98 % |
18,57 % |
17,98 % |
JPM Global Macro Opportunities A (inc) - EUR / A0JK80 / LU0247992398
|
100,00 % |
16,64 % |
30,49 % |
62,55 % |
8,26 % |
7,38 % |
JPM Global High Yield Bond A (dist) - EUR (hedged) / A0JL7N / LU0247993289
|
100,00 % |
7,45 % |
1,96 % |
7,44 % |
8,22 % |
8,70 % |
JPM US Bond A (dist) - USD / A0JL73 / LU0247986820
|
100,00 % |
6,93 % |
-0,72 % |
4,39 % |
6,32 % |
6,64 % |
JPM Global Real Estate Securities (USD) A (acc) - USD / A0J31C / LU0258923563
|
100,00 % |
-6,21 % |
2,64 % |
7,39 % |
17,02 % |
18,23 % |
JPM Global Real Estate Securities (USD) D (acc) - USD / A0J31G / LU0258925428
|
100,00 % |
-6,94 % |
0,30 % |
3,47 % |
17,02 % |
18,21 % |
JPM America Equity A (acc) - EUR (hedged) / A0HHC9 / LU0159042083
|
100,00 % |
23,14 % |
28,24 % |
82,99 % |
16,67 % |
18,75 % |
JPM US Select Equity A (acc) - EUR (hedged) / 157155 / LU0157182857
|
100,00 % |
19,94 % |
16,42 % |
72,33 % |
16,44 % |
17,94 % |
JPMorgan Funds - EUR Money Market VNAV Fund A (acc) - EUR / A0JMKA / LU0252499412
|
100,00 % |
3,47 % |
6,17 % |
4,83 % |
0,51 % |
0,54 % |
JPM Europe Dynamic C (acc) - EUR / 666249 / LU0129450945
|
0,00 % |
9,48 % |
17,86 % |
43,36 % |
13,67 % |
17,46 % |
JPM Europe Equity C (acc) - EUR / 666245 / LU0129441100
|
100,00 % |
7,85 % |
19,62 % |
44,95 % |
13,39 % |
16,97 % |
JPM Europe Equity Plus A (perf) (acc) - EUR / A0MNZ2 / LU0289089384
|
100,00 % |
16,02 % |
27,06 % |
48,07 % |
13,06 % |
16,92 % |
JPM Europe Equity Plus A (perf) (dist) - EUR / A0MNZ3 / LU0289228842
|
100,00 % |
15,98 % |
26,93 % |
47,83 % |
13,06 % |
16,93 % |
JPM Europe Equity Plus A (perf) (dist) - GBP / A0MNZ4 / LU0289230079
|
100,00 % |
15,80 % |
26,22 % |
47,37 % |
13,32 % |
17,11 % |
JPM Europe Equity Plus D (perf) (acc) - EUR / A0MNZ7 / LU0289214628
|
100,00 % |
15,31 % |
23,84 % |
41,41 % |
13,04 % |
16,88 % |
JPM US Equity Plus A (acc) - USD / A0MN0B / LU0289218454
|
100,00 % |
-0,57 % |
18,61 % |
104,13 % |
15,22 % |
13,64 % |
JPM US Equity Plus A (acc) - EUR (hedged) / A0MN0F / LU0289215278
|
100,00 % |
13,73 % |
24,78 % |
84,21 % |
12,82 % |
11,97 % |
JPM US Equity Plus D (acc) - USD / A0MN0K / LU0289219007
|
100,00 % |
-1,58 % |
15,07 % |
94,09 % |
15,19 % |
13,63 % |
JPM US Equity Plus D (acc) - EUR (hedged) / A0MN0M / LU0289215518
|
100,00 % |
12,57 % |
21,09 % |
75,17 % |
12,78 % |
11,98 % |
JPM Europe Select Equity Plus A (perf) (acc) - EUR / A0MNVS / LU0281486075
|
100,00 % |
2,49 % |
-0,42 % |
42,19 % |
13,65 % |
12,48 % |
JPM Europe Select Equity Plus A (perf) (dist) - GBP / A0MNVT / LU0281486232
|
100,00 % |
2,80 % |
-0,25 % |
42,67 % |
13,77 % |
12,60 % |
JPM Europe Select Equity Plus D (perf) (acc) - EUR / A0MNVW / LU0281486588
|
100,00 % |
1,51 % |
-3,24 % |
35,44 % |
13,58 % |
12,41 % |
JPM US Select Equity Plus A (acc) - USD / A0MNV0 / LU0292454872
|
100,00 % |
33,97 % |
49,59 % |
123,98 % |
15,17 % |
16,29 % |
JPM US Select Equity Plus A (dist) - USD / A0MNVE / LU0281482678
|
100,00 % |
33,98 % |
49,48 % |
123,71 % |
15,15 % |
16,26 % |
JPM US Select Equity Plus A (acc) - EUR (hedged) / A0MNVF / LU0281482918
|
100,00 % |
25,21 % |
28,08 % |
90,93 % |
16,39 % |
17,73 % |
JPM US Select Equity Plus D (acc) - USD / A0MNVL / LU0281484880
|
100,00 % |
32,95 % |
46,23 % |
115,62 % |
15,15 % |
16,26 % |
JPM US Select Equity Plus D (acc) - EUR (hedged) / A0MNVN / LU0281485184
|
100,00 % |
24,25 % |
24,96 % |
83,31 % |
16,38 % |
17,73 % |
JPM Global Focus A (acc) - EUR (hedged) / A0MNC3 / LU0289215948
|
100,00 % |
16,98 % |
27,06 % |
74,09 % |
15,48 % |
17,36 % |
JPM US Growth A (acc) - EUR (hedged) / A0ML1N / LU0284208625
|
100,00 % |
30,05 % |
26,86 % |
116,48 % |
19,75 % |
20,76 % |
JPM Europe Strategic Dividend A (inc) - EUR / A0ML1T / LU0289478959
|
100,00 % |
14,15 % |
19,13 % |
61,18 % |
12,09 % |
10,79 % |
JPM Japan Advantage Equity A (acc) - EUR / A0J3VS / LU0218006780
|
100,00 % |
7,86 % |
24,79 % |
57,05 % |
17,69 % |
15,55 % |
JPM Income Opportunity A (perf) (acc) - EUR (hedged) / A0MNX5 / LU0289470113
|
100,00 % |
3,51 % |
3,93 % |
3,22 % |
0,90 % |
2,18 % |
JPM Income Opportunity A (perf) (inc) - EUR (hedged) / A0MNX6 / LU0289479841
|
100,00 % |
1,74 % |
2,63 % |
5,00 % |
2,77 % |
2,22 % |
JPM US Equity A (acc) - EUR / A0LF6V / LU0278559207
|
100,00 % |
0,05 % |
16,26 % |
- |
13,94 % |
- |
JPM US Equity A (acc) - EUR (hedged) / A0LF6T / LU0278558811
|
100,00 % |
14,84 % |
22,71 % |
76,43 % |
11,91 % |
11,20 % |
JPM US Equity A (acc) - USD / A0LF6R / LU0278557920
|
100,00 % |
0,52 % |
16,88 % |
96,07 % |
14,44 % |
12,92 % |
JPM US Equity A (dist) - USD / A0LF6S / LU0278558142
|
100,00 % |
0,51 % |
16,82 % |
- |
14,44 % |
- |
JPM Emerging Europe Equity I (acc) - EUR / A0JKP1 / LU0248043308
|
0,00 % |
- |
- |
- |
- |
- |
JPM Euroland Select Equity A (acc) - EUR / A0MVL9 / LU0308871747
|
100,00 % |
8,57 % |
13,95 % |
54,81 % |
14,24 % |
13,55 % |
JPM Global Equity A (acc) - EUR (hedged) / A0MNC6 / LU0289216243
|
100,00 % |
-9,23 % |
17,19 % |
23,14 % |
18,24 % |
16,33 % |
JPM Euroland Equity A (inc) - EUR / A0MP65 / LU0289338195
|
100,00 % |
25,11 % |
42,54 % |
94,99 % |
14,44 % |
13,24 % |
JPM Emerging Markets Equity D (acc) - EUR / A0HG21 / LU0217576833
|
100,00 % |
8,09 % |
-13,03 % |
-3,18 % |
13,80 % |
16,13 % |
JPM Europe Focus A (perf) (acc) - USD / A0M97S / LU0336375273
|
100,00 % |
25,92 % |
13,07 % |
79,03 % |
16,05 % |
14,55 % |
JPM Europe Equity Plus A (perf) (acc) - USD / A0M97Q / LU0336375786
|
100,00 % |
15,81 % |
26,59 % |
47,73 % |
12,77 % |
16,83 % |
JPM Emerging Markets Small Cap A (perf) (acc) - USD / A0M0J8 / LU0318931358
|
100,00 % |
8,16 % |
1,60 % |
23,59 % |
11,00 % |
15,61 % |
JPM Emerging Markets Small Cap A (perf) (acc) - EUR / A0M0KB / LU0318933057
|
100,00 % |
8,29 % |
1,71 % |
23,23 % |
11,07 % |
15,66 % |
JPM Emerging Markets Small Cap D (perf) (acc) - USD / A0M0KE / LU0318933305
|
100,00 % |
7,03 % |
-1,50 % |
17,43 % |
10,96 % |
15,60 % |
JPM Highbridge Europe STEEP A (perf) (acc) - EUR / A0M5J0 / LU0325073012
|
100,00 % |
0,73 % |
14,32 % |
68,66 % |
13,99 % |
12,21 % |
JPM Highbridge Europe STEEP A (perf) (dist) - EUR / A0M5J1 / LU0325073103
|
100,00 % |
0,67 % |
13,83 % |
67,97 % |
13,99 % |
12,25 % |
JPM Highbridge Europe STEEP A (perf) (acc) - USD / A0M5J3 / LU0325073368
|
100,00 % |
1,11 % |
14,56 % |
69,22 % |
14,52 % |
12,62 % |
JPM Japan Strategic Value A (acc) - JPY / A0M60K / LU0329204209
|
100,00 % |
19,90 % |
30,13 % |
47,13 % |
12,32 % |
15,00 % |
JPM Japan Strategic Value A (acc) - EUR / A0M60Q / LU0329204894
|
100,00 % |
20,10 % |
30,51 % |
47,15 % |
12,35 % |
15,04 % |
JPM Global Dividend A (acc) - USD / A0M6Z1 / LU0329201957
|
100,00 % |
13,71 % |
25,71 % |
64,41 % |
10,84 % |
14,01 % |
JPM Global Dividend A (acc) - EUR (hedged) / A0M6Z5 / LU0329202419
|
100,00 % |
8,87 % |
14,76 % |
50,22 % |
12,41 % |
15,11 % |
JPM Europe Select Equity Plus A (perf) (acc) - USD / A0M97U / LU0336375430
|
100,00 % |
2,97 % |
-0,04 % |
42,41 % |
14,23 % |
12,86 % |
JPM Euroland Select Equity A (dist) - EUR / A0MVMB / LU0308872398
|
100,00 % |
8,68 % |
14,11 % |
54,86 % |
14,22 % |
13,55 % |
JPM Brazil Equity Fund A (acc) - USD / A0MZM5 / LU0318934451
|
100,00 % |
34,21 % |
20,60 % |
9,68 % |
27,91 % |
31,71 % |
JPM Global Equity A (acc) - EUR / A0HG22 / LU0159040202
|
100,00 % |
2,65 % |
30,24 % |
45,85 % |
17,40 % |
15,72 % |
JPM Global Growth Fund A (acc) - EUR (hedged) / A0NCUX / LU0336376081
|
100,00 % |
25,88 % |
7,06 % |
49,14 % |
21,15 % |
19,91 % |
JPM Global Growth Fund A(dist) - EUR (hedged) / A0NCUZ / LU0336376248
|
100,00 % |
25,83 % |
7,05 % |
49,33 % |
21,17 % |
19,93 % |
JPM Japan Sustainable Equity C (acc) - JPY / 926029 / LU0088302236
|
0,00 % |
17,64 % |
6,11 % |
26,06 % |
14,82 % |
15,93 % |
JPM Japan Select Equity I (acc) - JPY / A0JL71 / LU0248003344
|
0,00 % |
- |
- |
- |
- |
- |
JPM Japan Sustainable Equity X (acc) - JPY / 988434 / LU0085143302
|
0,00 % |
18,58 % |
8,69 % |
31,20 % |
14,83 % |
15,94 % |
JPM Highbridge US STEEP A (perf) (acc) - EUR / A0M5KC / LU0325074507
|
100,00 % |
10,22 % |
28,35 % |
67,08 % |
13,39 % |
12,53 % |
JPM Highbridge US STEEP A (perf) (acc) - USD / A0M5J9 / LU0325074259
|
100,00 % |
10,11 % |
28,56 % |
67,00 % |
13,60 % |
12,82 % |
JPM Highbridge US STEEP A (perf) (dist) - EUR / A0M5KA / LU0325074333
|
100,00 % |
10,13 % |
28,10 % |
66,59 % |
13,41 % |
12,53 % |
JPM Highbridge US STEEP D (perf) (acc) - USD / A0M5KK / LU0325075496
|
100,00 % |
9,25 % |
25,50 % |
60,60 % |
13,59 % |
12,81 % |
JPM Highbridge US STEEP X (perf) (acc) - USD / A0M5KN / LU0325075736
|
100,00 % |
11,86 % |
34,66 % |
80,52 % |
13,63 % |
12,90 % |
JPM US Select Equity A (acc) - EUR / A0HG3K / LU0218171717
|
100,00 % |
28,59 % |
36,15 % |
101,64 % |
15,41 % |
16,58 % |
JPM Korea Equity A (acc) - EUR / A0MVUB / LU0301637293
|
100,00 % |
-10,26 % |
-25,71 % |
6,99 % |
22,98 % |
22,50 % |
JPM Korea Equity A (acc) - USD / A0MVT9 / LU0301634860
|
100,00 % |
-10,37 % |
-25,78 % |
7,14 % |
22,69 % |
22,41 % |
JPM Korea Equity A (dist) - USD / A0MVUA / LU0301635750
|
100,00 % |
-10,33 % |
-25,76 % |
7,22 % |
22,68 % |
22,40 % |
JPM Korea Equity C (acc) - USD / A0MVUE / LU0301638002
|
0,00 % |
-9,62 % |
-23,88 % |
11,85 % |
22,70 % |
22,42 % |
JPM Korea Equity D (acc) - USD / A0MVUF / LU0301638341
|
100,00 % |
-11,24 % |
-27,96 % |
1,95 % |
22,67 % |
22,39 % |
JPM Korea Equity X (acc) - USD / A0MVUJ / LU0301639828
|
100,00 % |
-8,89 % |
-22,03 % |
16,43 % |
22,71 % |
22,43 % |
JPM Europe Select Equity Plus A (perf) (dist) - EUR / A0NCE7 / LU0322980367
|
100,00 % |
2,44 % |
-0,45 % |
41,79 % |
13,60 % |
12,42 % |
JPM Europe Select Equity Plus D (perf) (acc) - USD / A0M97V / LU0336375604
|
100,00 % |
- |
- |
- |
- |
- |
JPM Europe Select Equity Plus X (perf) (acc) - EUR / A0MNVZ / LU0281487396
|
100,00 % |
4,19 % |
- |
- |
- |
- |
JPM Emerging Markets Local Currency Debt A (acc) - EUR / A0M8CB / LU0332400232
|
100,00 % |
2,24 % |
9,02 % |
1,92 % |
5,71 % |
8,02 % |
JPM Emerging Markets Local Currency Debt A (acc) - USD / A0M8CD / LU0332400406
|
100,00 % |
2,07 % |
8,83 % |
2,06 % |
5,80 % |
8,08 % |
JPM Emerging Markets Local Currency Debt D (acc) - EUR / A0M8CJ / LU0332401040
|
100,00 % |
1,74 % |
7,40 % |
-0,54 % |
5,74 % |
8,05 % |
JPM Emerging Markets Local Currency Debt D (acc) - USD / A0M8CK / LU0332401123
|
100,00 % |
1,57 % |
7,22 % |
-0,39 % |
5,84 % |
8,09 % |
JPM Emerging Markets Local Currency Debt X (acc) - USD / A0M8CR / LU0332401982
|
0,00 % |
3,27 % |
12,67 % |
8,19 % |
5,80 % |
8,09 % |
JPM Global Macro Balanced C (acc) - EUR / 988416 / LU0079555297
|
0,00 % |
1,23 % |
2,61 % |
19,16 % |
4,73 % |
4,82 % |
JPM Global Real Estate Securities (USD) A (acc) - EUR hedged / A0J31D / LU0258924702
|
100,00 % |
-3,61 % |
-6,10 % |
-1,60 % |
18,12 % |
18,45 % |
JPM Global Real Estate Securities (USD) A (dis) - EUR hedged / A0NCVB / LU0336377568
|
100,00 % |
-3,69 % |
-6,29 % |
-1,60 % |
18,23 % |
18,51 % |
JPM Global Real Estate Securities (USD) D (acc) - EUR hedged / A0NCVE / LU0336377998
|
100,00 % |
-4,29 % |
-8,23 % |
-5,18 % |
18,13 % |
18,42 % |
JPM Global Real Estate Securities (USD) C (acc) - USD / A0J31F / LU0258925188
|
100,00 % |
-5,30 % |
5,72 % |
12,90 % |
17,03 % |
18,23 % |
JPM Global Real Estate Securities (USD) X (acc) - USD / A0J31J / LU0258925774
|
100,00 % |
-4,69 % |
7,71 % |
16,50 % |
17,03 % |
18,22 % |
JPM Global Real Estate Securities (USD) X (acc) - EUR hedged / A0NCVJ / LU0336378459
|
100,00 % |
-1,98 % |
-1,40 % |
6,90 % |
18,17 % |
18,48 % |
JPM Africa Equity A (perf) (acc) - USD / A0NH54 / LU0355584466
|
100,00 % |
-10,65 % |
-12,07 % |
-13,12 % |
16,45 % |
19,95 % |
JPM Africa Equity A (perf) (dist) - GBP / A0NH56 / LU0355584896
|
100,00 % |
-10,99 % |
-12,67 % |
-13,56 % |
16,77 % |
20,31 % |
JPM Africa Equity D (perf) (acc) - USD / A0NH6A / LU0355585430
|
100,00 % |
-11,42 % |
-14,14 % |
-16,36 % |
16,50 % |
20,01 % |
JPM Africa Equity I (perf) (acc) - USD / A0NH6C / LU0355585604
|
0,00 % |
-9,90 % |
-9,73 % |
-9,17 % |
16,47 % |
20,00 % |
JPM EUR Liquidity VNAV C (acc.) / 989670 / LU0088882138
|
0,00 % |
-0,51 % |
-1,77 % |
-2,80 % |
0,05 % |
0,04 % |
JPM EU Government Bond A (acc) - EUR / A0Q1TN / LU0363447680
|
100,00 % |
1,75 % |
-12,07 % |
-9,60 % |
7,46 % |
6,34 % |
JPM EU Government Bond D (acc) - EUR / A0NH51 / LU0355584037
|
100,00 % |
1,55 % |
-12,60 % |
-10,51 % |
7,46 % |
6,33 % |
JPM EU Government Bond C (acc) - EUR / A0NH50 / LU0355583906
|
100,00 % |
1,95 % |
-11,53 % |
-8,70 % |
7,46 % |
6,34 % |
JPM EU Government Bond X (inc) - EUR / A0NH53 / LU0355584383
|
100,00 % |
- |
- |
- |
- |
- |
JPM Global Aggregate Bond C (acc) - USD / A0DP7Z / LU0210071295
|
0,00 % |
4,85 % |
-5,00 % |
1,12 % |
5,54 % |
5,35 % |
JPM Global Aggregate Bond X (acc) - USD / A0DP71 / LU0210072699
|
0,00 % |
5,28 % |
-3,84 % |
3,16 % |
5,54 % |
5,35 % |
JPM Global Natural Resources D (acc) - EUR / A0DPLQ / LU0208853944
|
100,00 % |
-3,66 % |
22,72 % |
39,18 % |
18,92 % |
22,86 % |
JPM Global Natural Resources A (acc) - USD / A0KDTD / LU0266512127
|
100,00 % |
-2,83 % |
26,17 % |
46,63 % |
18,71 % |
22,84 % |
JPM Global Natural Resources D (acc) - USD / A0KDTF / LU0266512630
|
100,00 % |
-3,88 % |
22,30 % |
39,12 % |
18,69 % |
22,78 % |
JPM Global Natural Resources C (acc) - EUR / A0DPLP / LU0208853860
|
100,00 % |
-2,01 % |
29,19 % |
51,93 % |
18,97 % |
22,96 % |
JPM Global Natural Resources C (acc) - USD / A0KDTE / LU0266512473
|
0,00 % |
-2,20 % |
28,93 % |
52,11 % |
18,71 % |
22,79 % |
JPM Global Natural Resources X (acc) - EUR / A0DPLR / LU0208854082
|
100,00 % |
-1,16 % |
32,51 % |
58,45 % |
18,99 % |
22,98 % |
JPM Global Financials A (acc) - EUR / 157161 / LU0157186924
|
100,00 % |
4,96 % |
21,49 % |
68,25 % |
17,51 % |
14,53 % |
JPM Global Financials C (acc) - USD / 659106 / LU0115530361
|
0,00 % |
6,31 % |
25,03 % |
76,44 % |
17,81 % |
14,73 % |
JPM Global Financials X (acc) - USD / 659108 / LU0138054589
|
0,00 % |
7,22 % |
- |
- |
- |
- |
JPM Russia D (acc) - USD / A0HGJV / LU0215050484
|
100,00 % |
- |
- |
- |
- |
- |
JPM Russia C (acc) - USD / A0HGJU / LU0215050302
|
0,00 % |
- |
- |
- |
- |
- |
JPM Russia I (acc) - USD / A0JLTY / LU0248057944
|
0,00 % |
- |
- |
- |
- |
- |
JPMorgan Latin America Equity A (dist) - USD / 693087 / LU0117907989
|
0,00 % |
-17,08 % |
-28,45 % |
-23,82 % |
19,87 % |
18,98 % |
JPM Emerging Markets Equity A (dist) - GBP / 541285 / LU0119096559
|
100,00 % |
8,77 % |
-11,61 % |
0,16 % |
14,14 % |
16,46 % |
JPM Euroland Equity A (dist) - USD / 693072 / LU0117904457
|
100,00 % |
9,32 % |
18,89 % |
37,68 % |
15,54 % |
19,27 % |
JPM Europe Equity A (dist) - USD / 693073 / LU0117904960
|
100,00 % |
7,06 % |
17,31 % |
40,91 % |
13,12 % |
16,87 % |
JPMorgan Germany Equity A (dist) - EUR / 693081 / LU0117905850
|
100,00 % |
-10,52 % |
20,86 % |
40,01 % |
15,80 % |
17,57 % |
JPMorgan America Equity A (dist) - USD / 693066 / LU0117906072
|
100,00 % |
-2,42 % |
41,07 % |
98,65 % |
14,97 % |
14,19 % |
JPMorgan Global Unconstrained Equity (USD) A (dist) - USD / 693084 / LU0117906312
|
100,00 % |
-11,63 % |
24,19 % |
51,14 % |
15,11 % |
14,38 % |
JPMorgan Europe Technology A (dist) - EUR / 693080 / LU0117906742
|
100,00 % |
-2,30 % |
67,52 % |
87,76 % |
14,99 % |
15,38 % |
JPMorgan US Technology A (dist) - USD / 693093 / LU0117907120
|
100,00 % |
-8,50 % |
55,97 % |
67,27 % |
18,97 % |
17,86 % |
JPMorgan Emerging Europe Equity A (dist) - EUR / 693069 / LU0117907716
|
100,00 % |
-13,48 % |
-25,75 % |
-26,67 % |
19,33 % |
20,74 % |
JPM Europe Dynamic A (dist) - GBP / 534281 / LU0119088705
|
100,00 % |
8,44 % |
14,48 % |
37,58 % |
13,94 % |
17,64 % |
JPMorgan Europe Dynamic A (dist) - EUR / 693075 / LU0143905700
|
100,00 % |
-14,81 % |
20,18 % |
54,62 % |
13,51 % |
14,17 % |
JPM US Growth A (dist) - GBP / 541511 / LU0119089182
|
100,00 % |
38,96 % |
47,42 % |
152,29 % |
19,38 % |
19,72 % |
JPM Global Equity A (dist) - GBP / 541468 / LU0119090438
|
100,00 % |
2,25 % |
29,43 % |
45,51 % |
17,80 % |
15,98 % |
JPMorgan Global Dynamic A (dist) - USD / 693083 / LU0143906690
|
100,00 % |
-10,40 % |
21,91 % |
48,94 % |
13,52 % |
13,33 % |
JPM Europe Strategic Growth A (dist) - GBP / 541458 / LU0119091675
|
100,00 % |
8,92 % |
1,73 % |
34,14 % |
15,66 % |
16,54 % |
JPM Europe Small Cap A (dist) - GBP / 541456 / LU0119093531
|
100,00 % |
8,96 % |
-11,26 % |
12,44 % |
18,78 % |
22,71 % |
JPM Pacific Equity A (dist) - GBP / 541487 / LU0119094851
|
100,00 % |
14,92 % |
-7,99 % |
16,09 % |
14,56 % |
14,99 % |
JPM Europe Dynamic Technologies Fund A (dist) - GBP / 541464 / LU0119095668
|
100,00 % |
2,04 % |
-10,36 % |
42,11 % |
21,61 % |
21,82 % |
JPM Global Convertibles (EUR) A (dist) - USD / 693082 / LU0129952296
|
100,00 % |
1,25 % |
-24,74 % |
-3,21 % |
13,39 % |
14,04 % |
JPMorgan US Smaller Companies A (perf) (dist) - USD / 693090 / LU0143906930
|
100,00 % |
-3,77 % |
40,67 % |
98,54 % |
14,11 % |
14,33 % |
JPMorgan US Value A (dist) - USD / 693092 / LU0143907235
|
100,00 % |
-7,42 % |
38,91 % |
96,58 % |
13,23 % |
12,23 % |
JPM Global Select Equity Plus A (perf) (acc) - EUR / 157153 / LU0157179986
|
100,00 % |
- |
- |
- |
- |
- |
JPM Global Focus A (dist) - USD / 344999 / LU0168342896
|
100,00 % |
21,99 % |
39,23 % |
90,99 % |
14,24 % |
16,28 % |
JPM Europe Focus A (perf) (dist) - EUR / A0DNKD / LU0169524351
|
100,00 % |
25,81 % |
13,97 % |
81,80 % |
15,42 % |
14,07 % |
JPM Japan Equity A (acc) - EUR / A0HG3A / LU0217390730
|
100,00 % |
21,99 % |
-5,44 % |
24,98 % |
18,77 % |
18,04 % |
JPM Global Macro Balanced A (acc) - USD / A0J31W / LU0218006517
|
100,00 % |
0,66 % |
0,45 % |
15,05 % |
5,39 % |
5,30 % |
JPM Asia Growth A (dist) - USD / A0ETTT / LU0224733013
|
100,00 % |
14,47 % |
-9,75 % |
6,87 % |
16,71 % |
17,00 % |
JPM Emerging Markets Small Cap A (perf) (dist) - GBP / A0M0KA / LU0318932836
|
100,00 % |
8,15 % |
1,15 % |
22,96 % |
11,43 % |
15,96 % |
JPM Japan Strategic Value A (dist) - GBP / A0M60N / LU0329204548
|
100,00 % |
19,98 % |
29,97 % |
47,11 % |
12,47 % |
15,15 % |
JPM Europe Select Equity A (acc) - USD / A0M97X / LU0337330384
|
100,00 % |
1,99 % |
8,81 % |
29,65 % |
14,05 % |
16,41 % |
JPM Global High Yield Bond A (acc) - USD / A0NCVW / LU0344579056
|
100,00 % |
15,09 % |
17,93 % |
25,47 % |
7,66 % |
8,37 % |
JPM Africa Equity A (perf) (acc) - EUR / A0NH57 / LU0355584979
|
100,00 % |
-11,39 % |
-12,69 % |
-13,71 % |
16,49 % |
19,99 % |
JPM Global Convertibles (EUR) A (acc) - CHF (hedged) / A0Q8X2 / LU0385794523
|
100,00 % |
0,75 % |
-19,35 % |
7,84 % |
13,74 % |
14,04 % |
JPM Global Convertibles (EUR) A (dist) - GBP (hedged) / A0RB3H / LU0397083378
|
100,00 % |
7,45 % |
-19,64 % |
2,99 % |
15,63 % |
16,16 % |
JPM Emerging Middle East Equity A (acc) - EUR / A0RC8Q / LU0401356422
|
100,00 % |
7,91 % |
59,53 % |
68,42 % |
16,31 % |
17,30 % |
JPM Taiwan A (acc) - EUR / A0RC8S / LU0401357313
|
100,00 % |
23,72 % |
8,33 % |
88,20 % |
20,95 % |
20,61 % |
JPM Emerging Europe, Middle East and Africa Eqty A acc - EUR / A0RC8T / LU0401357586
|
100,00 % |
-8,15 % |
19,64 % |
2,58 % |
12,93 % |
14,57 % |
JPM Income Opportunity A (perf) (dist) - GBP Hedged / A0M47E / LU0323456201
|
100,00 % |
9,50 % |
11,51 % |
11,55 % |
4,28 % |
5,92 % |
JPM Income Opportunity A (perf) (acc) - USD / A0M47C / LU0323456466
|
100,00 % |
10,74 % |
19,03 % |
18,90 % |
7,55 % |
7,46 % |
JPM Japan Equity A (dist) - GBP / 541481 / LU0119094695
|
100,00 % |
21,81 % |
-5,98 % |
24,57 % |
18,87 % |
18,07 % |
JPM Global Convertibles Conservative D (acc) - USD / A0B54M / LU0194465067
|
100,00 % |
10,45 % |
6,34 % |
16,50 % |
6,90 % |
8,09 % |
JPM Global Convertibles Conservative I (acc) - USD / A0JL7E / LU0248013657
|
0,00 % |
11,77 % |
10,21 % |
23,51 % |
6,91 % |
8,10 % |
JPM Global Convertibles Conservative X (acc) - USD / A0B54N / LU0194465810
|
0,00 % |
12,41 % |
12,07 % |
27,52 % |
6,91 % |
8,10 % |
JPM Global Government Bond Fund A (acc) - EUR / A0REE4 / LU0406674076
|
100,00 % |
-0,25 % |
-12,31 % |
-9,95 % |
5,72 % |
4,92 % |
JPM Global Government Bond Fund A (acc) - USD (hedged) / A0REE5 / LU0406674159
|
100,00 % |
6,81 % |
1,02 % |
4,27 % |
6,31 % |
6,92 % |
JPM Global Government Short Duration Bond A (acc) EUR / A0RE6X / LU0408876448
|
100,00 % |
2,73 % |
0,77 % |
0,67 % |
1,75 % |
1,38 % |
JPM Global Government Short Duration Bond A (acc) USD hedged / A0RE6Y / LU0408876521
|
100,00 % |
9,94 % |
15,62 % |
16,17 % |
6,69 % |
6,85 % |
JPM Global Corporate Bond A (acc) - USD / A0RFAP / LU0408846375
|
100,00 % |
9,70 % |
3,57 % |
10,11 % |
6,44 % |
7,42 % |
JPM Global Corporate Bond A (acc) - EUR (hedged) / A0RFAQ / LU0408846458
|
100,00 % |
2,42 % |
-10,49 % |
-5,57 % |
7,92 % |
7,47 % |
JPM Global Corporate Bond A (dist) - GBP (hedged) / A0MVMT / LU0423858678
|
100,00 % |
8,36 % |
-4,32 % |
1,67 % |
10,18 % |
10,25 % |
JPM Euro Government Short Duration Bond A (acc) - EUR / A0RE65 / LU0408877412
|
100,00 % |
3,07 % |
1,76 % |
0,76 % |
1,87 % |
1,50 % |
JPM Euro Government Short Duration Bond A (dist) - EUR / A0RE66 / LU0408877503
|
100,00 % |
3,05 % |
1,72 % |
0,85 % |
1,85 % |
1,48 % |
JPM Euro Corporate Bond A (acc) - EUR / A0RFAX / LU0408847340
|
100,00 % |
4,85 % |
-3,79 % |
-2,73 % |
6,57 % |
6,75 % |
JPM Greater China X (acc) - USD / 541474 / LU0143809811
|
100,00 % |
22,40 % |
-16,93 % |
17,99 % |
23,58 % |
21,70 % |
JPM Japan Equity X (acc) - USD / 541479 / LU0143810231
|
100,00 % |
23,84 % |
-0,93 % |
35,59 % |
18,44 % |
17,93 % |
JPM Global Select Equity Plus C (perf) (acc) - USD / 988755 / LU0088298533
|
0,00 % |
0,80 % |
16,96 % |
78,36 % |
13,69 % |
11,99 % |
JPM Global Select Equity Plus X (perf) (acc) - USD / 933883 / LU0088298707
|
0,00 % |
- |
- |
- |
- |
- |
JPM America Equity X (acc) - USD / 541275 / LU0143811049
|
0,00 % |
33,75 % |
56,78 % |
132,08 % |
15,68 % |
17,45 % |
JPM Emerging Europe Equity X (acc) - EUR / 541282 / LU0143811395
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe, Middle East and Africa Eqty X acc - USD / 541283 / LU0143811478
|
0,00 % |
-6,28 % |
25,60 % |
11,76 % |
13,19 % |
14,77 % |
JPM Emerging Markets Equity X (acc) - USD / 541284 / LU0143811551
|
0,00 % |
10,50 % |
-6,90 % |
8,99 % |
13,82 % |
16,16 % |
JPM Global Select Equity C (acc) - USD / 988450 / LU0088300024
|
0,00 % |
21,83 % |
41,43 % |
96,96 % |
13,74 % |
15,89 % |
JPM Europe Equity X (acc) - EUR / 541287 / LU0143811718
|
0,00 % |
8,46 % |
21,64 % |
48,99 % |
13,41 % |
16,96 % |
JPM Europe Small Cap X (acc) - EUR / 541454 / LU0143829413
|
0,00 % |
3,70 % |
0,17 % |
34,22 % |
19,36 % |
22,61 % |
JPM Global Macro Opportunities C (acc) - EUR / 921170 / LU0095623541
|
100,00 % |
8,29 % |
-5,31 % |
9,98 % |
8,30 % |
7,02 % |
JPM India C (acc) - USD / 666272 / LU0129486386
|
0,00 % |
17,79 % |
31,65 % |
50,61 % |
12,07 % |
19,78 % |
JPM Singapore C (acc) - USD / 666289 / LU0129487194
|
0,00 % |
-7,59 % |
21,27 % |
29,45 % |
11,81 % |
13,91 % |
JPM Taiwan C (acc) - USD / 666291 / LU0129487947
|
0,00 % |
24,56 % |
10,93 % |
96,72 % |
20,94 % |
20,59 % |
JPM Turkey Equity C (acc) - EUR / 666247 / LU0129491469
|
0,00 % |
0,54 % |
-4,58 % |
11,93 % |
22,63 % |
24,54 % |
JPM Global Balanced C (acc) - EUR / 988419 / LU0079555370
|
100,00 % |
8,31 % |
-0,53 % |
17,48 % |
9,13 % |
9,50 % |
JPM Global Macro Balanced X (acc) - EUR / 989704 / LU0085142247
|
100,00 % |
1,89 % |
4,63 % |
23,09 % |
4,73 % |
4,83 % |
JPM US Select Equity X (acc) - USD / 988428 / LU0085143211
|
100,00 % |
30,40 % |
42,33 % |
118,19 % |
15,04 % |
16,40 % |
JPM US Bond X (acc) - USD / 988456 / LU0085143997
|
100,00 % |
- |
- |
- |
- |
- |
JPM Global Select Equity X (acc) - USD / 937483 / LU0085144706
|
100,00 % |
22,51 % |
43,81 % |
102,48 % |
13,74 % |
15,89 % |
JPM Europe Select Equity X (acc) - EUR / 988424 / LU0085149507
|
100,00 % |
3,84 % |
14,45 % |
40,39 % |
14,37 % |
16,55 % |
JPM US Bond C (acc) - USD / 988455 / LU0086741088
|
0,00 % |
7,46 % |
0,78 % |
7,03 % |
6,32 % |
6,64 % |
JPM US Select Equity C (acc) - USD / 988453 / LU0087133087
|
100,00 % |
29,68 % |
40,07 % |
112,40 % |
15,03 % |
16,39 % |
JPM US Select Equity Plus C (acc) - USD / A0MNVK / LU0281484617
|
100,00 % |
35,15 % |
53,53 % |
133,77 % |
15,17 % |
16,29 % |
JPM Europe Strategic Growth X (acc) - EUR / 541457 / LU0143829926
|
100,00 % |
10,85 % |
7,36 % |
45,70 % |
15,47 % |
16,38 % |
JPM Europe Strategic Growth C (acc) - EUR / 666253 / LU0129443577
|
100,00 % |
9,97 % |
4,81 % |
40,02 % |
15,46 % |
16,38 % |
JPM Europe Strategic Growth I (acc) - EUR / A0JKTG / LU0248049172
|
100,00 % |
10,02 % |
4,94 % |
40,30 % |
15,47 % |
16,38 % |
JPM Global Healthcare A (acc) - USD / A0RPE0 / LU0432979614
|
100,00 % |
4,32 % |
1,60 % |
32,32 % |
13,04 % |
13,61 % |
JPM Global Healthcare A (dist) - USD / A0RPEX / LU0432979374
|
100,00 % |
4,33 % |
1,64 % |
32,38 % |
13,04 % |
13,61 % |
JPM Global Healthcare A (dist) - GBP / A0RPEZ / LU0432979531
|
100,00 % |
4,27 % |
1,04 % |
31,41 % |
13,24 % |
13,80 % |
JPMorgan Global Healthcare A (dist) - USD / A0RPEY / LU0432979457
|
100,00 % |
-17,72 % |
56,32 % |
165,36 % |
18,09 % |
16,63 % |
JPM Global Healthcare D (acc) - USD / A0RPE3 / LU0432979960
|
100,00 % |
3,28 % |
-1,40 % |
25,88 % |
13,04 % |
13,60 % |
JPM Global Healthcare C (acc) - USD / A0RPE2 / LU0432979887
|
100,00 % |
5,08 % |
3,78 % |
37,08 % |
13,05 % |
13,62 % |
JPM Emerging Markets Opportunities Fund A (acc) - USD / A0RPE4 / LU0431992006
|
100,00 % |
10,74 % |
-9,29 % |
-3,89 % |
14,26 % |
16,10 % |
JPM Emerging Markets Bond A (acc) - USD / A0RPFC / LU0431994713
|
100,00 % |
-0,98 % |
9,78 % |
43,19 % |
6,48 % |
8,11 % |
JPM Emerging Markets Opportunities Fund C (acc) - USD / A0RPE7 / LU0431993079
|
0,00 % |
11,66 % |
-7,25 % |
-0,37 % |
14,27 % |
16,11 % |
JPM Emerging Markets Opportunities Fund D (acc) - USD / A0RPE8 / LU0431993236
|
100,00 % |
9,88 % |
-11,44 % |
-7,69 % |
14,24 % |
16,08 % |
JPM Emerging Markets Opportunities Fund I (acc) - USD / A0RPFA / LU0431993749
|
0,00 % |
11,70 % |
-7,14 % |
-0,17 % |
14,27 % |
16,11 % |
JPM Emerging Markets Opportunities Fund X (acc) - USD / A0RPFB / LU0431994390
|
0,00 % |
12,55 % |
-4,83 % |
4,08 % |
14,28 % |
16,12 % |
JPM Emerging Markets Bond C (acc) - USD / A0RPFE / LU0431995280
|
0,00 % |
-0,25 % |
12,20 % |
48,79 % |
6,48 % |
8,12 % |
JPM Emerging Markets Bond D (acc) - USD / A0RPFF / LU0431995876
|
100,00 % |
-1,67 % |
7,47 % |
38,23 % |
6,48 % |
8,11 % |
JPM Emerging Markets Bond I (acc) - USD / A0RPFG / LU0431996254
|
0,00 % |
-0,21 % |
12,33 % |
49,18 % |
6,49 % |
8,12 % |
JPM Emerging Markets Bond X (acc) - USD / A0RPFH / LU0431996684
|
0,00 % |
0,30 % |
14,07 % |
52,98 % |
6,49 % |
8,12 % |
JPM Europe Strategic Value X (acc) - EUR / 541459 / LU0143830775
|
0,00 % |
13,98 % |
34,41 % |
41,40 % |
14,63 % |
21,23 % |
JPM Europe Strategic Value I (acc) - EUR / A0JKTL / LU0248049412
|
0,00 % |
13,12 % |
31,41 % |
36,16 % |
14,62 % |
21,22 % |
JPM Europe Strategic Value C (acc) - EUR / 666255 / LU0129445192
|
100,00 % |
13,04 % |
31,23 % |
35,86 % |
14,61 % |
21,23 % |
JPM Global Convertibles (EUR) X (acc) - EUR / 541466 / LU0143832805
|
100,00 % |
2,88 % |
-21,41 % |
3,60 % |
13,57 % |
14,19 % |
JPM Global Convertibles (EUR) C (acc) - EUR / 795314 / LU0129415286
|
100,00 % |
2,02 % |
-23,26 % |
-0,39 % |
13,56 % |
14,18 % |
JPM Europe Select Equity C (acc) - EUR / 988423 / LU0083307867
|
100,00 % |
3,27 % |
12,57 % |
36,58 % |
14,37 % |
16,54 % |
JPM Europe Select Equity D (acc) - EUR / A0J3VN / LU0159405223
|
100,00 % |
1,38 % |
6,50 % |
24,53 % |
14,35 % |
16,52 % |
JPM Europe Select Equity D (acc) - USD / A0M97Y / LU0337332836
|
100,00 % |
1,22 % |
6,30 % |
24,73 % |
14,04 % |
16,40 % |
JPM Europe Select Equity X (acc) - EUR (hedged) / A0MZLD / LU0324501484
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Standard Money Market VNAV C (acc.) / 989040 / LU0088277610
|
0,00 % |
11,12 % |
22,47 % |
21,41 % |
7,33 % |
7,28 % |
JPMorgan Funds - EUR Money Market VNAV Fund D (acc) - EUR / A0JML2 / LU0252500524
|
0,00 % |
3,18 % |
5,66 % |
4,31 % |
0,47 % |
0,50 % |
JPM ASEAN Equity A (acc) - EUR / A0X9HA / LU0441852612
|
100,00 % |
20,16 % |
14,82 % |
17,32 % |
10,86 % |
16,43 % |
JPM ASEAN Equity A (acc) - USD / A0X9G4 / LU0441851309
|
100,00 % |
19,99 % |
14,68 % |
17,52 % |
10,58 % |
16,36 % |
JPM ASEAN Equity D (acc) - EUR / A0X9HD / LU0441853263
|
100,00 % |
19,25 % |
12,25 % |
12,93 % |
10,86 % |
16,44 % |
JPM ASEAN Equity D (acc) - USD / A0X9G7 / LU0441851994
|
100,00 % |
19,11 % |
12,03 % |
13,14 % |
10,59 % |
16,37 % |
JPM Emerging Europe, Middle East and Africa Eqty I acc - USD / A0JKP2 / LU0248043647
|
100,00 % |
-7,08 % |
- |
- |
- |
- |
JPM Emerging Europe, Middle East and Africa Eqty C acc - USD / 666239 / LU0129490065
|
0,00 % |
-7,13 % |
22,26 % |
6,83 % |
13,21 % |
14,79 % |
JPM Asia Growth X (acc) - USD / A0ETTV / LU0169519435
|
0,00 % |
16,41 % |
-5,07 % |
16,19 % |
16,72 % |
17,01 % |
JPM US Value D (acc) - EUR (hedged) / A0KFJJ / LU0244270723
|
100,00 % |
9,60 % |
8,82 % |
30,10 % |
14,45 % |
17,75 % |
JPM US Value A (dist) - GBP / 165386 / LU0119089935
|
100,00 % |
18,26 % |
29,24 % |
57,29 % |
13,43 % |
16,74 % |
JPM US Value C (acc) - USD / 666297 / LU0129463179
|
100,00 % |
19,42 % |
33,62 % |
65,89 % |
12,89 % |
16,45 % |
JPM Emerging Markets Corporate Bond A (acc) - USD / A1CZZJ / LU0512127548
|
100,00 % |
13,08 % |
7,66 % |
14,11 % |
7,28 % |
8,70 % |
JPM Emerging Markets Corporate Bond A (acc) - EUR (hedged) / A1CZZK / LU0512127621
|
100,00 % |
5,56 % |
-7,18 % |
-2,40 % |
8,75 % |
9,60 % |
JPM Africa Equity A (perf) (dist) - EUR / A1C8BN / LU0554776046
|
100,00 % |
-11,35 % |
-12,70 % |
-13,70 % |
16,50 % |
19,99 % |
JPM Global Strategic Bond Fund A (perf) (acc) - EUR H / A1CZDW / LU0514679652
|
100,00 % |
3,79 % |
1,81 % |
4,35 % |
4,42 % |
4,02 % |
JPM Global Strategic Bond Fund A (perf) (acc) - SEK H / A1C35Y / LU0536148769
|
100,00 % |
0,09 % |
-8,77 % |
-4,83 % |
10,18 % |
9,66 % |
JPM Global Strategic Bond Fund A (perf) (acc) - USD / A1CZDV / LU0514679140
|
100,00 % |
11,14 % |
17,29 % |
20,80 % |
6,11 % |
6,24 % |
JPM Global Strategic Bond Fund D (perf) (acc) - EUR H / A1CZD0 / LU0514680072
|
100,00 % |
2,75 % |
-1,20 % |
-0,43 % |
4,41 % |
4,04 % |
JPM Global Strategic Bond Fund D (perf) (div) - EUR H / A1CZD1 / LU0514680155
|
22,00 % |
2,76 % |
-1,20 % |
-0,42 % |
4,42 % |
4,04 % |
JPM Income Opportunity C (perf) (acc) - EUR (hedged) / A0MNX8 / LU0289472085
|
100,00 % |
4,02 % |
5,51 % |
5,83 % |
0,90 % |
2,18 % |
JPM Income Opportunity D (perf) (acc) - EUR (hedged) / A0MNYA / LU0289473059
|
100,00 % |
3,25 % |
3,15 % |
1,94 % |
0,89 % |
2,18 % |
JPM Africa Equity C (perf) (acc) - USD / A0NH59 / LU0355585273
|
100,00 % |
-9,95 % |
-9,83 % |
-9,35 % |
16,47 % |
20,02 % |
JPM Europe Small Cap C (acc) - EUR / 666251 / LU0129456397
|
0,00 % |
9,95 % |
-8,72 % |
17,06 % |
18,53 % |
22,48 % |
JPM Hong Kong C (acc) - USD / 666271 / LU0129484761
|
0,00 % |
-12,66 % |
19,20 % |
42,12 % |
15,00 % |
16,97 % |
JPM Highbridge US STEEP A (perf) (acc) - EUR (hedged) / A0M5KD / LU0325074689
|
100,00 % |
5,32 % |
26,48 % |
35,20 % |
12,56 % |
11,74 % |
JPM Emerging Markets Investment Grade Bond A (acc) - USD / A1C9QM / LU0562246024
|
100,00 % |
8,07 % |
-1,17 % |
3,84 % |
6,88 % |
7,44 % |
JPM Emerging Markets Investment Grade Bond A (dis) - EUR he. / A1C9QP / LU0562246370
|
100,00 % |
0,81 % |
-14,86 % |
-11,22 % |
9,05 % |
8,58 % |
JPM Emerging Markets Investment Grade Bond A (acc) - EUR he. / A1C9QN / LU0562246297
|
100,00 % |
0,86 % |
-14,79 % |
-11,14 % |
9,06 % |
8,59 % |
JPM Emerging Markets Diversified Equity A (acc) - EUR / A1JFFA / LU0594426784
|
100,00 % |
-12,21 % |
-5,70 % |
-9,95 % |
15,18 % |
15,50 % |
JPM Emerging Markets Diversified Equity C (acc) - EUR / A1C4CL / LU0535954134
|
100,00 % |
-11,46 % |
-3,26 % |
-6,01 % |
15,19 % |
15,51 % |
JPM Germany Equity C (acc) - EUR / 666259 / LU0129458179
|
0,00 % |
14,13 % |
22,09 % |
75,00 % |
13,99 % |
13,71 % |
JPM Euro Short Duration Bond Fund A (acc) - EUR / A0X8TN / LU0430494293
|
100,00 % |
-0,72 % |
-1,70 % |
1,10 % |
0,59 % |
0,71 % |
JPM Euro Short Duration Bond Fund D (acc) - EUR / A0X8TR / LU0430494533
|
100,00 % |
-0,92 % |
-2,51 % |
-0,34 % |
0,58 % |
0,70 % |
JPM Euro Short Duration Bond Fund C (dist) - GBP (hedged) / A0YCL6 / LU0457775616
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Focus C (acc) - EUR / 345105 / LU0168343191
|
100,00 % |
23,20 % |
42,91 % |
98,53 % |
14,63 % |
16,44 % |
JPM Global High Yield Bond C (acc) - USD / A0NCVX / LU0344579213
|
0,00 % |
15,63 % |
19,58 % |
28,42 % |
7,66 % |
8,37 % |
JPM Emerging Middle East Equity C (acc) - USD / A0J3R8 / LU0129493754
|
100,00 % |
9,51 % |
64,34 % |
76,58 % |
16,34 % |
17,33 % |
JPM Europe Dynamic I (acc) - EUR / A0JKS8 / LU0248045857
|
0,00 % |
9,52 % |
17,99 % |
43,60 % |
13,67 % |
17,44 % |
JPM Global Equity C (acc) - EUR / A0KFJD / LU0243499265
|
0,00 % |
3,34 % |
32,61 % |
51,60 % |
17,44 % |
15,75 % |
JPM Global Equity C (acc) - USD / 666261 / LU0129436878
|
0,00 % |
3,42 % |
34,20 % |
52,02 % |
17,35 % |
15,66 % |
JPM Global Focus D (acc) - EUR (hedged) / A0MNC5 / LU0289216169
|
100,00 % |
15,77 % |
23,23 % |
65,48 % |
15,49 % |
17,36 % |
JPM India D (acc) - EUR / A1C1GE / LU0522352516
|
100,00 % |
16,04 % |
25,51 % |
38,46 % |
12,23 % |
19,81 % |
JPM Africa Equity D (perf) (acc) - EUR / A0NH6B / LU0355585513
|
100,00 % |
-12,02 % |
-14,64 % |
-16,88 % |
16,49 % |
19,98 % |
JPM Brazil Equity Fund A (acc) - SGD / A1C3GM / LU0532187761
|
100,00 % |
34,44 % |
20,74 % |
9,62 % |
27,87 % |
31,70 % |
JPM Brazil Equity Fund A (dist) - USD / A0MZM6 / LU0318934535
|
100,00 % |
34,17 % |
20,61 % |
9,85 % |
27,92 % |
31,67 % |
JPM Brazil Equity Fund D (acc) - EUR / A1C1GG / LU0522352789
|
100,00 % |
33,00 % |
17,13 % |
4,27 % |
28,03 % |
31,71 % |
JPM Brazil Equity Fund I (acc) - EUR / A0HMYE / LU0517807011
|
100,00 % |
- |
- |
- |
- |
- |
JPM Brazil Equity Fund I (acc) - USD / A0MZM9 / LU0318936662
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Corporate Bond C (acc) - USD / A1CZZM / LU0512127977
|
0,00 % |
13,67 % |
9,32 % |
17,12 % |
7,29 % |
8,70 % |
JPM Emerging Markets Corporate Bond D (acc) - EUR (hedged) / A1CZZQ / LU0512128355
|
100,00 % |
5,02 % |
-8,62 % |
-4,93 % |
8,74 % |
9,60 % |
JPM Emerging Markets Equity A (acc) - SGD / A0YCGF / LU0456842615
|
100,00 % |
8,76 % |
-11,33 % |
0,36 % |
13,85 % |
16,17 % |
JPM Emerging Markets Equity C (acc) - USD / 666241 / LU0129488242
|
100,00 % |
9,63 % |
-9,26 % |
4,37 % |
13,83 % |
16,16 % |
JPM Emerging Markets Equity I (acc) - EUR / A0Q7ZF / LU0383004313
|
0,00 % |
9,86 % |
-9,00 % |
4,37 % |
13,84 % |
16,20 % |
JPM Emerging Markets Equity I (acc) - USD / A0JKP5 / LU0248044025
|
0,00 % |
9,63 % |
-9,15 % |
4,53 % |
13,82 % |
16,15 % |
JPM Emerging Middle East Equity A (acc) - SGD / A1C3GN / LU0532188066
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Middle East Equity D (acc) - EUR / A1C1GD / LU0522352433
|
100,00 % |
6,80 % |
54,84 % |
60,19 % |
16,30 % |
17,28 % |
JPM Emerging Middle East Equity I (acc) - USD / A0JKXJ / LU0248057191
|
100,00 % |
9,53 % |
- |
- |
- |
- |
JPM Euro Government Short Duration Bond C (acc) - EUR / A0RE68 / LU0408877768
|
0,00 % |
3,23 % |
2,19 % |
1,56 % |
1,91 % |
1,54 % |
JPM Euro Government Short Duration Bond D (acc) - EUR / A0RE69 / LU0408877842
|
100,00 % |
3,01 % |
1,61 % |
0,51 % |
1,86 % |
1,49 % |
JPM Euroland Equity C (acc) - EUR / 666243 / LU0129440391
|
0,00 % |
10,69 % |
23,10 % |
45,23 % |
15,87 % |
19,35 % |
JPM Turkey Equity I (acc) - EUR / A0JKQE / LU0248045188
|
0,00 % |
0,62 % |
- |
- |
- |
- |
JPM Germany Equity I (acc) - EUR / A0JKTP / LU0248050931
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Convertibles (EUR) C (dist) - GBP (hedged) / A0RB3J / LU0397083535
|
0,00 % |
8,04 % |
-18,21 % |
6,05 % |
15,66 % |
16,18 % |
JPM Global Convertibles (EUR) I (acc) - EUR / A0JLUB / LU0248061979
|
0,00 % |
2,08 % |
-23,16 % |
-0,21 % |
13,53 % |
14,16 % |
JPM Global Convertibles (EUR) I (inc) - EUR / A0JLUF / LU0248062357
|
0,00 % |
10,47 % |
12,33 % |
38,09 % |
6,23 % |
5,85 % |
JPM Global Convertibles (EUR) C (acc) - CHF (hedged) / A0RCKY / LU0398993450
|
0,00 % |
1,31 % |
-18,00 % |
10,80 % |
13,76 % |
14,04 % |
JPM Global Convertibles (EUR) I (acc) - CHF (hedged) / A0Q8X4 / LU0385795330
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Convertibles Conservative C (acc) - USD / A0B54L / LU0194461744
|
0,00 % |
11,73 % |
10,07 % |
23,26 % |
6,91 % |
8,10 % |
JPM Global Focus A (acc) - CHF (hedged) / A1C24R / LU0529088766
|
100,00 % |
16,23 % |
36,06 % |
94,81 % |
15,12 % |
16,71 % |
JPM Global Focus C (acc) - EUR (hedged) / A0MNC4 / LU0289216086
|
0,00 % |
17,84 % |
29,90 % |
80,61 % |
15,48 % |
17,37 % |
JPM Global Focus C (acc) - USD / A1CWNX / LU0501950314
|
0,00 % |
23,01 % |
42,64 % |
98,79 % |
14,24 % |
16,29 % |
JPM Global Focus I (acc) - EUR / A0JKTZ / LU0248053109
|
0,00 % |
23,26 % |
43,08 % |
98,94 % |
14,64 % |
16,46 % |
JPM Global Focus I (acc) - EUR (hedged) / A1C2LA / LU0528412322
|
0,00 % |
17,90 % |
30,07 % |
81,02 % |
15,49 % |
17,37 % |
JPM Income Opportunity C (perf) (acc) - USD / A0M47D / LU0323456896
|
0,00 % |
11,30 % |
20,83 % |
21,51 % |
7,55 % |
7,46 % |
JPM Income Opportunity C (perf) (dist) - GBP Hedged / A0M47F / LU0323456540
|
0,00 % |
10,05 % |
13,21 % |
14,18 % |
4,28 % |
5,93 % |
JPM Income Opportunity D (perf) (dist) - EUR (hedged) / A0MNYB / LU0289517012
|
100,00 % |
3,26 % |
3,18 % |
1,98 % |
0,89 % |
2,18 % |
JPM US Aggregate Bond C (acc) - USD / A0EQZJ / LU0217389567
|
100,00 % |
7,46 % |
1,08 % |
6,35 % |
6,11 % |
6,57 % |
JPM US Aggregate Bond D (acc) - EUR (hedged) / A1C7DL / LU0549623634
|
100,00 % |
-0,47 % |
-14,47 % |
-11,97 % |
6,93 % |
5,80 % |
JPM US Select Equity C (acc) - EUR (hedged) / A0MM8K / LU0294032106
|
0,00 % |
21,13 % |
19,91 % |
81,09 % |
16,46 % |
17,95 % |
JPM US Select Equity D (acc) - EUR (hedged) / 157156 / LU0157183665
|
100,00 % |
19,30 % |
14,58 % |
67,79 % |
16,44 % |
17,93 % |
JPM US Select Equity I (acc) - USD / A0JL8A / LU0248005711
|
0,00 % |
29,73 % |
40,21 % |
112,81 % |
15,03 % |
16,39 % |
JPM US Value C (acc) - EUR (hedged) / A0MNDD / LU0289217050
|
0,00 % |
11,46 % |
14,51 % |
41,61 % |
14,46 % |
17,78 % |
JPM Emerging Markets Small Cap C (perf) (acc) - USD / A0M0KD / LU0318933214
|
100,00 % |
9,04 % |
3,91 % |
28,17 % |
10,99 % |
15,63 % |
JPM US Short Duration Bond Fund A (acc) - EUR (hedged) / A1C9Q2 / LU0562247691
|
100,00 % |
2,89 % |
-0,85 % |
0,79 % |
2,42 % |
2,01 % |
JPM US Short Duration Bond Fund D (acc) - USD / A1C9Q5 / LU0562248079
|
100,00 % |
9,81 % |
12,88 % |
14,74 % |
6,31 % |
6,61 % |
JPM US Short Duration Bond Fund D (acc) - EUR (hedged) / A1C9Q6 / LU0562248152
|
100,00 % |
2,58 % |
-1,73 % |
-0,71 % |
2,42 % |
2,01 % |
JPM US Short Duration Bond Fund I (acc) - USD / A1C9Q7 / LU0562248236
|
100,00 % |
10,57 % |
15,25 % |
18,76 % |
6,31 % |
6,62 % |
JPM Emerging Markets Equity X (acc) - EUR / A1H7TX / LU0593322281
|
100,00 % |
10,68 % |
-6,73 % |
8,81 % |
13,85 % |
16,19 % |
JPM USD Treasury VNAV C (acc.) / 249805 / LU0176037520
|
100,00 % |
16,64 % |
12,20 % |
21,53 % |
7,46 % |
6,66 % |
JPM USD Treasury VNAV D (acc.) / 249806 / LU0176037959
|
0,00 % |
16,37 % |
11,67 % |
19,89 % |
7,45 % |
6,66 % |
JPM Emerging Markets Local Currency Debt A (dist) - EUR / A0M8CC / LU0332400315
|
100,00 % |
2,20 % |
9,00 % |
1,92 % |
5,71 % |
8,02 % |
JPM Global Government Bond Fund C (acc) - EUR / A0REE7 / LU0406674407
|
0,00 % |
-0,08 % |
-11,74 % |
-9,05 % |
5,74 % |
4,92 % |
JPM Global Government Bond Fund D (acc) - EUR / A0REE8 / LU0406674589
|
100,00 % |
-0,43 % |
-12,78 % |
-10,85 % |
5,72 % |
4,90 % |
JPM US Aggregate Bond A (acc) - EUR (hedged) / A1JHW6 / LU0679000579
|
100,00 % |
-0,23 % |
-13,83 % |
-10,85 % |
6,93 % |
5,80 % |
JPM Flexible Credit Fund A (acc) - EUR (hedged) / A0YFED / LU0469576366
|
100,00 % |
5,67 % |
1,05 % |
7,53 % |
6,35 % |
6,99 % |
JPM Flexible Credit Fund A (acc) - USD / A0YFEC / LU0469576283
|
100,00 % |
13,14 % |
16,73 % |
25,17 % |
6,22 % |
7,32 % |
JPM Emerging Markets Corporate Bond A (dist) - EUR (hedged) / A1C9FZ / LU0560335993
|
100,00 % |
5,47 % |
-7,41 % |
-2,77 % |
8,76 % |
9,61 % |
JPM Global Real Estate Securities (USD) C (acc) EUR (hedged) / A0NCVC / LU0336377642
|
100,00 % |
-2,61 % |
-3,30 % |
3,50 % |
18,16 % |
18,47 % |
JPM America Equity C (acc) - EUR (hedged) / A0MNC9 / LU0289216672
|
0,00 % |
24,18 % |
31,62 % |
91,19 % |
16,67 % |
18,76 % |
JPM Europe Select Equity I (acc) - EUR / A0JL60 / LU0247995813
|
0,00 % |
3,31 % |
12,71 % |
36,88 % |
14,37 % |
16,54 % |
JPMorgan Global Convertibles (USD) A (acc) - USD / A0B54V / LU0194727953
|
0,00 % |
-6,62 % |
20,65 % |
45,78 % |
10,59 % |
9,72 % |
JPM GBP Liquidity LVNAV Agency (dist.) / 529625 / LU0135703881
|
0,00 % |
8,04 % |
9,10 % |
11,52 % |
4,18 % |
4,82 % |
JPM America Equity C (acc) - USD / 666227 / LU0129459060
|
0,00 % |
32,83 % |
53,58 % |
124,21 % |
15,67 % |
17,43 % |
JPM Global Balanced X (acc) - EUR / 529492 / LU0085142676
|
0,00 % |
9,18 % |
1,88 % |
22,29 % |
9,14 % |
9,50 % |
JPM America Equity D (acc) - EUR / A0HG2W / LU0217390490
|
100,00 % |
30,77 % |
46,15 % |
105,44 % |
16,06 % |
17,59 % |
JPM Global Macro Opportunities X (acc) - EUR / 926032 / LU0098446601
|
100,00 % |
9,00 % |
-3,45 % |
13,62 % |
8,31 % |
7,03 % |
JPM US Select Equity C (acc) - EUR / A1JKBZ / LU0672672143
|
100,00 % |
29,88 % |
40,31 % |
112,05 % |
15,42 % |
16,59 % |
JPM America Equity D (acc) - EUR (hedged) / A0J3VZ / LU0159059210
|
100,00 % |
22,20 % |
25,34 % |
76,13 % |
16,64 % |
18,73 % |
JPM GBP Standard Money Market VNAV B (acc.) / 632512 / LU0103815170
|
0,00 % |
9,86 % |
11,14 % |
14,00 % |
4,33 % |
4,90 % |
JPM GBP Standard Money Market VNAV C (acc.) / 756695 / LU0088883458
|
0,00 % |
9,80 % |
13,01 % |
15,24 % |
4,30 % |
4,90 % |
JPM GBP Liquidity LVNAV Capital (dist.) / A0LA9D / LU0268768008
|
0,00 % |
8,11 % |
9,29 % |
11,88 % |
4,18 % |
4,82 % |
JPM GBP Standard Money Market VNAV D (acc.) / A0J3YF / LU0161688402
|
0,00 % |
9,37 % |
11,65 % |
13,65 % |
4,30 % |
4,90 % |
JPM GBP Liquidity LVNAV Institutional (dist.) / 921332 / LU0103815501
|
0,00 % |
8,07 % |
9,18 % |
11,67 % |
4,18 % |
4,82 % |
JPM GBP Liquidity LVNAV Morgan (dist.) / 529624 / LU0135704772
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Liquidity LVNAV Premier (dist.) / 634345 / LU0103815337
|
0,00 % |
7,89 % |
8,68 % |
10,81 % |
4,18 % |
4,82 % |
JPM GBP Liquidity LVNAV Reserves (dist.) / 534473 / LU0135706397
|
0,00 % |
8,17 % |
7,01 % |
9,07 % |
4,20 % |
4,83 % |
JPM GBP Standard Money Market VNAV X (acc.) / 935735 / LU0088883706
|
0,00 % |
10,12 % |
13,69 % |
16,14 % |
4,30 % |
4,90 % |
JPM GBP Liquidity LVNAV X (dist.) / 933884 / LU0103815766
|
0,00 % |
8,21 % |
9,88 % |
22,85 % |
4,19 % |
4,82 % |
JPM EUR Liquidity VNAV B (acc.) / 634343 / LU0103814108
|
0,00 % |
-0,51 % |
-1,77 % |
-2,80 % |
0,05 % |
0,04 % |
JPM EUR Liquidity VNAV D (acc.) / A0J3VW / LU0161688154
|
0,00 % |
-0,53 % |
-1,79 % |
-2,82 % |
0,05 % |
0,04 % |
JPM EUR Liquidity VNAV X (acc.) / 989042 / LU0088882567
|
0,00 % |
-0,43 % |
-1,52 % |
-2,37 % |
0,05 % |
0,04 % |
JPM USD Liquidity LVNAV Agency (dist.) / 534476 / LU0135700945
|
0,00 % |
9,07 % |
17,42 % |
16,22 % |
7,48 % |
7,31 % |
JPM USD Treasury CNAV Agency (dist.) / 249810 / LU0176038767
|
0,00 % |
8,96 % |
16,94 % |
15,34 % |
7,48 % |
7,31 % |
JPM USD Treasury CNAV Institutional (dist.) / 249809 / LU0176038411
|
0,00 % |
8,99 % |
17,05 % |
15,51 % |
7,48 % |
7,31 % |
JPM USD Treasury CNAV Morgan (dist.) / 249812 / LU0176039062
|
0,00 % |
8,71 % |
16,22 % |
14,40 % |
7,48 % |
7,31 % |
JPM US Bond I (acc) - USD / A0JL74 / LU0248021593
|
0,00 % |
7,52 % |
0,90 % |
7,26 % |
6,39 % |
6,68 % |
JPM USD Treasury CNAV Premier (dist.) / 249811 / LU0176038924
|
0,00 % |
8,81 % |
16,50 % |
14,68 % |
7,48 % |
7,31 % |
JPM USD Treasury CNAV Reserves (dist.) / 249813 / LU0176039229
|
0,00 % |
7,31 % |
14,04 % |
12,28 % |
7,41 % |
7,22 % |
JPM USD Treasury VNAV X (acc.) / 249807 / LU0176038098
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury CNAV X (dist.) / 249808 / LU0176038254
|
0,00 % |
9,11 % |
17,39 % |
15,90 % |
7,48 % |
7,31 % |
JPM USD Standard Money Market VNAV B (acc.) / 634346 / LU0103813043
|
0,00 % |
10,40 % |
21,02 % |
19,40 % |
7,22 % |
7,17 % |
JPM USD Standard Money Market VNAV D (acc.) / A0J3YG / LU0161687693
|
0,00 % |
10,67 % |
21,06 % |
19,65 % |
7,33 % |
7,28 % |
JPM US Equity A (dist) - GBP / A0LF6U / LU0278559033
|
100,00 % |
0,37 % |
16,34 % |
95,05 % |
14,12 % |
12,78 % |
JPM US Equity C (acc) - USD / A0LF6X / LU0278559629
|
0,00 % |
1,48 % |
20,20 % |
105,90 % |
14,45 % |
12,93 % |
JPM US Equity X (acc) - USD / A0LF64 / LU0278565279
|
0,00 % |
2,21 % |
22,79 % |
113,46 % |
14,46 % |
12,93 % |
JPM US Equity D (acc) - USD / A0LF6Y / LU0278563068
|
100,00 % |
0,02 % |
15,04 % |
91,07 % |
14,44 % |
12,91 % |
JPM US Equity D (acc) - EUR (hedged) / A0LF60 / LU0278564033
|
100,00 % |
14,27 % |
20,88 % |
72,08 % |
11,90 % |
11,20 % |
JPM USD Liquidity LVNAV Morgan (dist.) / 529628 / LU0135702214
|
0,00 % |
8,83 % |
16,67 % |
14,97 % |
7,48 % |
7,31 % |
JPM USD Liquidity LVNAV Premier (dist.) / 634347 / LU0103813555
|
0,00 % |
8,93 % |
16,97 % |
15,43 % |
7,48 % |
7,31 % |
JPM Japan Strategic Value C (acc) - JPY / A0M60T / LU0329205438
|
100,00 % |
20,92 % |
33,51 % |
53,52 % |
12,33 % |
15,01 % |
JPM Japan Strategic Value D (acc) - EUR / A0M601 / LU0329206832
|
100,00 % |
19,20 % |
27,61 % |
41,74 % |
12,34 % |
15,03 % |
JPM Japan Strategic Value D (acc) - JPY / A0M60Y / LU0329206329
|
100,00 % |
19,00 % |
27,26 % |
41,72 % |
12,31 % |
14,99 % |
JPM Japan Strategic Value X (acc) - JPY / A0M605 / LU0329207301
|
100,00 % |
21,89 % |
36,75 % |
59,79 % |
12,33 % |
15,02 % |
JPM USD Liquidity LVNAV Reserves (dist.) / 534477 / LU0135703451
|
0,00 % |
7,43 % |
14,47 % |
12,64 % |
7,41 % |
7,22 % |
JPM USD Liquidity LVNAV X (dist.) / 529611 / LU0103813985
|
0,00 % |
9,25 % |
18,03 % |
18,91 % |
7,48 % |
7,31 % |
JPM USD Standard Money Market VNAV X (acc.) / 989041 / LU0088277883
|
0,00 % |
11,30 % |
23,04 % |
22,28 % |
7,33 % |
7,28 % |
JPM Japan Advantage Equity A (acc) - EUR (hedged) / A0Q7TJ / LU0381989986
|
0,00 % |
-11,39 % |
3,19 % |
59,67 % |
21,28 % |
20,69 % |
JPM Japan Advantage Equity C (acc) - EUR (hedged) / A0Q7TK / LU0381990059
|
0,00 % |
-10,63 % |
6,05 % |
67,22 % |
21,29 % |
20,70 % |
JPM Japan Advantage Equity C (acc) - JPY / 534454 / LU0115539743
|
0,00 % |
- |
- |
- |
- |
- |
JPM Japan Advantage Equity D (acc) - EUR / A0J3VT / LU0218006863
|
0,00 % |
- |
- |
- |
- |
- |
JPM Japan Advantage Equity D (acc) - EUR (hedged) / A0Q7TL / LU0381990133
|
0,00 % |
-12,28 % |
0,13 % |
- |
21,26 % |
- |
JPM Japan Advantage Equity D (acc) - JPY / 534455 / LU0130973992
|
0,00 % |
5,99 % |
20,80 % |
48,50 % |
18,47 % |
16,28 % |
JPM Japan Advantage Equity I (acc) - JPY / A0JL70 / LU0248002619
|
0,00 % |
- |
- |
- |
- |
- |
JPM Japan Advantage Equity X (acc) - JPY / 534456 / LU0115540089
|
0,00 % |
8,87 % |
31,03 % |
70,24 % |
18,51 % |
16,31 % |
JPM EU Government Bond X (acc) - EUR / A0RB1G / LU0396373325
|
0,00 % |
3,36 % |
-15,09 % |
-4,51 % |
7,25 % |
6,45 % |
JPM Euroland Equity I (acc) - EUR / A0JKQC / LU0248044454
|
0,00 % |
10,74 % |
23,20 % |
45,48 % |
15,86 % |
19,36 % |
JPM Euroland Equity X (acc) - EUR / 541286 / LU0143811635
|
0,00 % |
- |
- |
- |
- |
- |
JPM Income Opportunity A (perf) (acc) - SEK (hedged) / A0M47G / LU0323456383
|
100,00 % |
0,25 % |
-6,16 % |
-5,06 % |
7,21 % |
7,75 % |
JPM Income Opportunity C (perf) (acc) - SEK (hedged) / A0M47H / LU0323456623
|
0,00 % |
0,74 % |
-4,76 % |
-2,67 % |
7,20 % |
7,75 % |
JPM Income Opportunity I (perf) (acc) - USD / A1H580 / LU0579853648
|
100,00 % |
11,34 % |
20,97 % |
21,72 % |
7,55 % |
7,47 % |
JPM Asia Pacific Income C (acc) - USD / 795310 / LU0129499017
|
0,00 % |
14,35 % |
11,80 % |
23,48 % |
7,88 % |
9,70 % |
JPM Emerging Europe, Middle East and Africa Eqty A acc - SGD / A1C3GS / LU0532187845
|
100,00 % |
- |
- |
- |
- |
- |
JPM Income Opportunity X (perf) (acc) - EUR (hedged) / A0MNYE / LU0289473489
|
0,00 % |
- |
- |
- |
- |
- |
JPM Income Opportunity X (perf) (acc) - GBP (hedged) / A0YEH3 / LU0470942326
|
0,00 % |
- |
- |
- |
- |
- |
JPM Income Opportunity X (perf) (acc) - USD / A0RF29 / LU0416333366
|
0,00 % |
11,97 % |
23,04 % |
25,30 % |
7,55 % |
7,47 % |
JPM Income Opportunity X (perf) (dist) - GBP (hedged) / A1JAN1 / LU0626434988
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe, Middle East and Africa Eqty D acc - EUR / A1C1GC / LU0522352359
|
100,00 % |
-9,06 % |
16,16 % |
-2,38 % |
12,92 % |
14,55 % |
JPM Emerging Europe, Middle East and Africa Eqty T acc - EUR / A1H6Y9 / LU0569316515
|
22,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity A (acc) - USD / A1JBKZ / LU0634316219
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity C (acc) - EUR / 666237 / LU0129489489
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Small Cap I (acc) - EUR / A0JKTD / LU0248047986
|
0,00 % |
9,98 % |
-8,62 % |
17,27 % |
18,53 % |
22,49 % |
JPM Europe Small Cap I (dist) - EUR / A0JKTE / LU0248048364
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Convertibles (EUR) X (acc) - CHF (hedged) / A0RCKX / LU0398993617
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Convertibles (EUR) X (dist) - GBP (hedged) / A1JG1H / LU0641480529
|
0,00 % |
- |
- |
- |
- |
- |
JPM India A (acc) - SGD / A0YCGH / LU0456849545
|
100,00 % |
16,90 % |
28,38 % |
44,28 % |
12,11 % |
19,82 % |
JPM India T (acc) - EUR / A1H6ZS / LU0569323727
|
22,00 % |
16,04 % |
25,43 % |
38,37 % |
12,23 % |
19,80 % |
JPM India X (acc) - USD / 541475 / LU0143810074
|
22,00 % |
18,73 % |
34,85 % |
56,79 % |
12,07 % |
19,80 % |
JPM Global Dividend A (acc) - EUR / A0M6Z3 / LU0329202252
|
100,00 % |
13,89 % |
25,95 % |
64,15 % |
11,19 % |
14,12 % |
JPM Japan Equity C (acc) - USD / 666277 / LU0129464904
|
0,00 % |
22,76 % |
-3,30 % |
30,25 % |
18,43 % |
17,92 % |
JPM Global Dividend A (div) - USD / A1JQFL / LU0714181467
|
100,00 % |
13,63 % |
25,48 % |
64,10 % |
10,84 % |
14,01 % |
JPM Global Dividend A (dist) - EUR (hedged) / A0M6Z6 / LU0329202500
|
100,00 % |
8,85 % |
14,69 % |
50,12 % |
12,41 % |
15,11 % |
JPM Japan Equity D (acc) - EUR / A0HG3B / LU0217390813
|
100,00 % |
20,98 % |
-7,71 % |
19,94 % |
18,72 % |
18,00 % |
JPM Global Dividend A (dist) - USD / A0M6Z2 / LU0329202179
|
100,00 % |
13,69 % |
25,62 % |
64,28 % |
10,84 % |
14,01 % |
JPM Japan Equity I (acc) - USD / A0JKXE / LU0248056110
|
100,00 % |
9,12 % |
-13,63 % |
40,64 % |
18,24 % |
17,73 % |
JPM Global Dividend C (dist) - EUR / A1JCST / LU0647154961
|
100,00 % |
14,93 % |
29,53 % |
72,22 % |
11,19 % |
14,13 % |
JPM Japan Equity J (dist) - USD / 541478 / LU0129465034
|
22,00 % |
21,80 % |
-5,68 % |
24,92 % |
18,41 % |
17,91 % |
JPM Global Dividend X (acc) - USD / A0M60J / LU0329204118
|
22,00 % |
15,51 % |
31,84 % |
78,21 % |
10,85 % |
14,03 % |
JPM Global Dividend D (acc) - USD / A0M60C / LU0329203490
|
100,00 % |
12,85 % |
22,88 % |
58,31 % |
10,84 % |
14,00 % |
JPM Global Dividend D (acc) - EUR (hedged) / A0M60E / LU0329203656
|
100,00 % |
8,05 % |
12,25 % |
44,75 % |
12,41 % |
15,10 % |
JPM Global Dividend C (acc) - EUR / A0M60A / LU0329203144
|
100,00 % |
14,93 % |
29,52 % |
72,21 % |
11,19 % |
14,13 % |
JPM US Value I (acc) - USD / A0JLT7 / LU0248060658
|
100,00 % |
19,45 % |
33,76 % |
66,13 % |
12,90 % |
16,45 % |
JPM Global Growth Fund A (acc) - EUR / A0HG24 / LU0159032522
|
100,00 % |
31,79 % |
19,37 % |
67,31 % |
20,20 % |
18,83 % |
JPM US Value X (acc) - EUR (hedged) / A1JNXU / LU0704893923
|
100,00 % |
12,17 % |
16,70 % |
46,20 % |
14,48 % |
17,79 % |
JPM US Value X (acc) - USD / A0DPDP / LU0143838752
|
100,00 % |
20,17 % |
36,19 % |
71,25 % |
12,90 % |
16,46 % |
JPM US Smaller Companies X (acc) - USD / 541498 / LU0143838083
|
100,00 % |
16,26 % |
17,94 % |
49,91 % |
19,19 % |
20,32 % |
JPM Global Growth Fund C (acc) - EUR (hedged) / A0NCU4 / LU0336376917
|
0,00 % |
27,15 % |
10,29 % |
56,83 % |
21,18 % |
19,94 % |
JPM Global Government Bond Fund X (acc) - EUR / A0REFA / LU0406674746
|
0,00 % |
0,23 % |
-10,97 % |
-7,65 % |
5,74 % |
4,93 % |
JPM Global Growth Fund C (acc) - USD / 666263 / LU0129435805
|
0,00 % |
32,91 % |
22,78 % |
76,16 % |
19,85 % |
18,58 % |
JPM Brazil Equity Fund A (acc) - EUR / A1H6HP / LU0582659420
|
100,00 % |
34,33 % |
20,69 % |
9,61 % |
28,06 % |
31,74 % |
JPM Global Focus I (acc) - USD / A1JB46 / LU0641915516
|
100,00 % |
- |
- |
- |
- |
- |
JPM Global Growth Fund D (acc) - EUR (hedged) / A0NCU5 / LU0336377055
|
100,00 % |
24,87 % |
4,66 % |
43,66 % |
21,16 % |
19,93 % |
JPM Global Focus T (acc) - EUR / A1H6ZM / LU0569322596
|
22,00 % |
4,79 % |
34,46 % |
76,15 % |
14,64 % |
13,18 % |
JPM Global Focus X (acc) - EUR / 548094 / LU0168343431
|
22,00 % |
24,20 % |
46,49 % |
106,99 % |
14,65 % |
16,47 % |
JPM Global Growth Fund X (acc) - EUR / A0NCU8 / LU0344547368
|
22,00 % |
33,95 % |
25,39 % |
81,56 % |
20,22 % |
18,85 % |
JPM Global Macro C (acc) - USD / A0HME3 / LU0235842985
|
0,00 % |
13,53 % |
13,12 % |
23,62 % |
9,32 % |
8,38 % |
JPM Global Macro D (acc) - USD / A0HME4 / LU0235843108
|
100,00 % |
12,23 % |
9,28 % |
16,71 % |
9,31 % |
8,37 % |
JPM Global Macro X (acc) - USD / A0HME5 / LU0235843447
|
100,00 % |
14,26 % |
15,22 % |
27,57 % |
9,33 % |
8,39 % |
JPM Global Unconstrained Equity (USD) X (acc) - EUR (hedged) / A0NCU9 / LU0344547525
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Growth Fund X (acc) - USD / 541469 / LU0143835147
|
0,00 % |
33,74 % |
25,16 % |
81,89 % |
19,86 % |
18,59 % |
JPM US Short Duration Bond Fund A (acc) - USD / A1C9Q1 / LU0562247428
|
100,00 % |
10,14 % |
13,91 % |
16,48 % |
6,31 % |
6,61 % |
JPM Global Macro Balanced I (acc) - EUR / A0JL7B / LU0248012097
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Macro Balanced I (inc) - EUR / A0JL7C / LU0248012337
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Macro Balanced D (acc) - SEK (hedged) / A0NJDR / LU0356122894
|
100,00 % |
-8,20 % |
-11,01 % |
-5,50 % |
6,59 % |
6,46 % |
JPM Brazil Equity Fund C (acc) - USD / A0MZM7 / LU0318936407
|
0,00 % |
35,09 % |
23,46 % |
13,97 % |
27,91 % |
31,69 % |
JPM US Short Duration Bond Fund C (acc) - USD / A1C9Q4 / LU0562247857
|
0,00 % |
10,53 % |
15,11 % |
18,52 % |
6,31 % |
6,62 % |
JPM Brazil Equity Fund D (acc) - USD / A0MZM8 / LU0318936589
|
100,00 % |
32,72 % |
17,16 % |
4,43 % |
27,96 % |
31,72 % |
JPM Europe Strategic Dividend A (div) - EUR / A1JQFR / LU0714182432
|
100,00 % |
11,78 % |
21,66 % |
27,86 % |
12,85 % |
17,77 % |
JPM Europe Strategic Dividend C (acc) - EUR / A0D8M5 / LU0169528188
|
100,00 % |
12,80 % |
25,02 % |
33,79 % |
12,85 % |
17,78 % |
JPM US Short Duration Bond Fund X (acc) - USD / A1C9Q8 / LU0562248319
|
0,00 % |
10,91 % |
- |
- |
- |
- |
JPM Europe Strategic Dividend D (acc) - EUR / A0D8M6 / LU0169528261
|
100,00 % |
10,90 % |
18,81 % |
22,91 % |
12,84 % |
17,76 % |
JPM Europe Strategic Dividend I (acc) - EUR / A0JL64 / LU0247994923
|
100,00 % |
12,85 % |
25,18 % |
34,06 % |
12,85 % |
17,78 % |
JPM Europe Strategic Dividend X (acc) - EUR / A0D8M7 / LU0169528428
|
100,00 % |
13,60 % |
27,68 % |
38,55 % |
12,86 % |
17,79 % |
JPM Brazil Equity Fund T (acc) - EUR / A1H6Y8 / LU0569315970
|
22,00 % |
24,45 % |
-15,90 % |
-39,58 % |
27,88 % |
24,59 % |
JPM Korea Equity I (acc) - USD / A0MVUH / LU0301639745
|
22,00 % |
-9,58 % |
-23,79 % |
12,08 % |
22,70 % |
22,42 % |
JPM US Small Cap Growth A (acc) - EUR / A0RC8U / LU0401357743
|
100,00 % |
18,81 % |
-4,85 % |
25,12 % |
24,14 % |
23,84 % |
JPM US Small Cap Growth A (dist) - GBP / 541289 / LU0119093705
|
100,00 % |
18,67 % |
-5,40 % |
24,81 % |
24,16 % |
23,97 % |
JPM Germany Equity T (acc) - EUR / A1H6ZG / LU0569319964
|
100,00 % |
-5,55 % |
11,86 % |
65,34 % |
15,38 % |
14,80 % |
JPM Germany Equity X (acc) - EUR / 541465 / LU0143832128
|
100,00 % |
15,05 % |
25,02 % |
82,41 % |
13,99 % |
13,73 % |
JPM US Small Cap Growth C (acc) - USD / 666231 / LU0129463922
|
100,00 % |
19,72 % |
-2,44 % |
31,13 % |
23,96 % |
23,73 % |
JPM Global High Yield Bond A (mth) - USD / A0PG5P / LU0356780857
|
100,00 % |
15,10 % |
17,93 % |
25,47 % |
7,65 % |
8,36 % |
JPM Global High Yield Bond C (acc) - EUR (hedged) / 937489 / LU0108416313
|
0,00 % |
7,96 % |
3,37 % |
9,92 % |
8,22 % |
8,71 % |
JPM Global High Yield Bond D (acc) - USD / A0NCVY / LU0344579569
|
100,00 % |
14,54 % |
16,25 % |
22,52 % |
7,65 % |
8,36 % |
JPM US Small Cap Growth X (acc) - USD / 541288 / LU0143811122
|
100,00 % |
20,54 % |
-0,37 % |
35,80 % |
23,96 % |
23,74 % |
JPM Global High Yield Bond I (acc) - USD / A0YES4 / LU0468140883
|
0,00 % |
15,68 % |
19,73 % |
28,68 % |
7,66 % |
8,37 % |
JPM Global High Yield Bond I (inc) - EUR (hedged) / A0JL7Q / LU0248018532
|
0,00 % |
6,20 % |
11,36 % |
26,35 % |
5,42 % |
5,09 % |
JPM Global High Yield Bond X (acc) - EUR (hedged) / 937490 / LU0108416404
|
0,00 % |
8,50 % |
4,92 % |
12,70 % |
8,22 % |
8,71 % |
JPM Global High Yield Bond X (acc) - USD / A0YCL7 / LU0457776424
|
0,00 % |
16,21 % |
21,40 % |
31,67 % |
7,66 % |
8,37 % |
JPM Emerging Markets Equity A (acc) - EUR (hedged) / A0HHC5 / LU0159050771
|
100,00 % |
1,16 % |
-24,85 % |
-15,97 % |
18,02 % |
19,75 % |
JPM US Technology A (acc) - EUR / A0HG3G / LU0159052710
|
100,00 % |
34,44 % |
32,44 % |
160,05 % |
28,94 % |
26,73 % |
JPM Europe Dynamic Technologies Fund C (acc) - EUR / 666257 / LU0129494729
|
100,00 % |
2,95 % |
-7,80 % |
47,96 % |
21,38 % |
21,64 % |
JPM Emerging Markets Equity X (dist) - EUR / A0HMAU / LU0235638946
|
100,00 % |
10,65 % |
-6,75 % |
8,84 % |
13,85 % |
16,19 % |
JPM Emerging Markets Equity C (dist) - USD / A1H7TW / LU0593319907
|
100,00 % |
9,64 % |
-9,26 % |
4,34 % |
13,82 % |
16,15 % |
JPM Europe Dynamic Technologies Fund X (acc) - EUR / 541463 / LU0143831310
|
100,00 % |
3,82 % |
-5,42 % |
54,38 % |
21,39 % |
21,65 % |
JPM Emerging Markets Bond C (acc) - EUR (hedged) / A1JNL4 / LU0703779420
|
100,00 % |
-7,69 % |
- |
- |
- |
- |
JPM US Technology A (dist) - GBP / 541515 / LU0119095742
|
100,00 % |
34,20 % |
31,59 % |
158,98 % |
29,07 % |
26,86 % |
JPM Emerging Markets Bond X (acc) - GBP (hedged) / A1C7VP / LU0552548421
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Equity X (dist) - USD / A0RC8V / LU0400678412
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Technology C (acc) - USD / 666299 / LU0129496690
|
100,00 % |
35,40 % |
35,70 % |
172,13 % |
28,65 % |
26,57 % |
JPM Emerging Markets Corporate Bond X (acc) - USD / A1CZZS / LU0512128512
|
0,00 % |
14,30 % |
11,14 % |
20,41 % |
7,29 % |
8,70 % |
JPM US Technology D (acc) - EUR / A0HG3H / LU0159053015
|
100,00 % |
33,11 % |
28,51 % |
147,26 % |
28,92 % |
26,71 % |
JPM Emerging Markets Debt A (acc) - USD / A1CVKL / LU0499112034
|
100,00 % |
12,20 % |
2,51 % |
1,89 % |
8,99 % |
11,09 % |
JPM US Technology I (acc) - USD / A0JLT8 / LU0248060906
|
0,00 % |
49,65 % |
17,39 % |
173,20 % |
27,20 % |
26,15 % |
JPM Emerging Markets Debt A (mth) - EUR (hedged) / A0PG4G / LU0356473255
|
22,00 % |
4,71 % |
-12,40 % |
-13,92 % |
12,03 % |
13,42 % |
JPM Euro Government Short Duration Bond X (acc) - EUR / A0RE7B / LU0408878147
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Technology X (acc) - USD / 541514 / LU0143839644
|
0,00 % |
36,34 % |
38,48 % |
181,49 % |
28,66 % |
26,58 % |
JPM Emerging Markets Debt A (mth) - USD / A0YFUB / LU0471471150
|
22,00 % |
12,25 % |
2,53 % |
1,88 % |
9,02 % |
11,09 % |
JPM Emerging Markets Debt C (acc) - EUR (hedged) / A0J215 / LU0217390060
|
100,00 % |
5,43 % |
-10,34 % |
-10,67 % |
12,05 % |
13,43 % |
JPM Global Strategic Bond Fund C (perf) (acc) - EUR H / A1H65V / LU0587803247
|
100,00 % |
4,37 % |
3,50 % |
7,05 % |
4,42 % |
3,99 % |
JPM Emerging Markets Debt I (dist) - EUR (hedged) / A0JLTQ / LU0248063322
|
0,00 % |
5,46 % |
-10,04 % |
-10,33 % |
11,96 % |
13,38 % |
JPM Global Strategic Bond Fund C (perf) (acc) - USD / A1CZDY / LU0514679819
|
0,00 % |
11,76 % |
19,24 % |
23,99 % |
6,11 % |
6,25 % |
JPM Global Strategic Bond Fund T (perf) (acc) - EUR H / A1JA7L / LU0630457728
|
0,00 % |
2,76 % |
-1,19 % |
-0,41 % |
4,40 % |
4,03 % |
JPM Emerging Markets Debt X (acc) - EUR (hedged) / A0J3VE / LU0217390144
|
0,00 % |
6,02 % |
-8,84 % |
-8,18 % |
12,04 % |
13,44 % |
JPM Emerging Markets Diversified Equity I (acc) - USD / A1C22F / LU0531009297
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Strategic Bond Fund T (perf) (div) - EUR H / A1H6ZP / LU0569323131
|
22,00 % |
2,74 % |
-1,21 % |
-0,43 % |
4,40 % |
4,03 % |
JPM Emerging Markets Diversified Equity X (acc) - EUR / A1C22E / LU0531008992
|
22,00 % |
-12,79 % |
-3,91 % |
-3,61 % |
15,20 % |
15,52 % |
JPM Global Strategic Bond Fund X (perf) (acc) - EUR H / A1C86M / LU0558373097
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Investment Grade Bond C (acc) - USD / A1C9QQ / LU0562246453
|
100,00 % |
8,58 % |
0,20 % |
6,28 % |
6,88 % |
7,44 % |
JPM Global Corporate Bond A (acc) - SEK (hedged) / A0X9JF / LU0442991351
|
100,00 % |
-0,98 % |
-19,66 % |
-13,85 % |
12,40 % |
12,05 % |
JPM Global Strategic Bond Fund X (perf) (acc) - USD / A1CZD3 / LU0514680312
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Investment Grade Bond C (dis) - EUR he. / A1C9QU / LU0562246701
|
100,00 % |
1,28 % |
-13,65 % |
-9,12 % |
9,06 % |
8,59 % |
JPM Emerging Markets Investment Grade Bond D (acc) - EUR he. / A1C9QW / LU0562246966
|
100,00 % |
0,39 % |
-15,95 % |
-13,11 % |
9,06 % |
8,59 % |
JPM Emerging Markets Investment Grade Bond I (acc) - USD / A1C9QX / LU0562247006
|
0,00 % |
8,63 % |
0,32 % |
6,49 % |
6,88 % |
7,44 % |
JPM Global Corporate Bond A (mth) - USD / A2AQEZ / LU0537373747
|
22,00 % |
9,66 % |
3,53 % |
10,08 % |
6,45 % |
7,43 % |
JPM Emerging Markets Local Currency Debt A (dist) - GBP / A1C3EH / LU0531673738
|
100,00 % |
2,11 % |
8,54 % |
1,87 % |
5,79 % |
8,25 % |
JPM Emerging Markets Local Currency Debt A (mth) - USD / A0PG4F / LU0356473412
|
22,00 % |
2,09 % |
8,79 % |
2,14 % |
5,78 % |
8,06 % |
JPM Emerging Markets Local Currency Debt C (acc) - EUR / A0M8CG / LU0332400745
|
22,00 % |
2,83 % |
10,98 % |
5,00 % |
5,72 % |
8,03 % |
JPM Emerging Markets Local Currency Debt C (acc) - USD / A0M8CH / LU0332400828
|
0,00 % |
2,69 % |
10,78 % |
5,18 % |
5,77 % |
8,05 % |
JPM Emerging Markets Local Currency Debt D (div) - EUR / A1CW3W / LU0503874298
|
22,00 % |
1,76 % |
7,43 % |
-0,56 % |
5,71 % |
8,00 % |
JPM Emerging Markets Local Currency Debt I (acc) - EUR / A0M8CL / LU0332401396
|
22,00 % |
2,87 % |
11,11 % |
5,21 % |
5,71 % |
8,02 % |
JPM Emerging Markets Local Currency Debt I (acc) - USD / A0M8CN / LU0332401552
|
22,00 % |
2,71 % |
10,91 % |
5,41 % |
5,82 % |
8,08 % |
JPM Emerging Markets Local Currency Debt I (dist) - EUR / A0M8CM / LU0332401479
|
22,00 % |
2,87 % |
11,11 % |
5,24 % |
5,72 % |
8,03 % |
JPM Emerging Markets Local Currency Debt T (acc) - EUR / A1JA7M / LU0630457991
|
22,00 % |
1,70 % |
7,37 % |
-0,62 % |
5,70 % |
8,02 % |
JPM Emerging Markets Local Currency Debt T (div) - EUR / A1H6ZB / LU0569317323
|
22,00 % |
1,69 % |
7,36 % |
-0,65 % |
5,70 % |
8,02 % |
JPM Emerging Markets Local Currency Debt X (acc) - EUR / A0M8CP / LU0332401636
|
22,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Local Currency Debt Y (acc) - GBP / A1JA0R / LU0629101436
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Small Cap C (perf) (acc) - EUR / A0YGSD / LU0474315818
|
100,00 % |
9,20 % |
4,10 % |
28,02 % |
11,07 % |
15,67 % |
JPM Emerging Markets Small Cap D (perf) (acc) - EUR / A0M0KF / LU0318933487
|
100,00 % |
7,20 % |
-1,35 % |
17,22 % |
11,06 % |
15,65 % |
JPM Emerging Markets Small Cap I (perf) (acc) - USD / A0M0KG / LU0318933560
|
100,00 % |
9,08 % |
4,04 % |
28,49 % |
10,99 % |
15,62 % |
JPM Euro Corporate Bond C (acc) - EUR / A0RFA0 / LU0408847852
|
0,00 % |
5,35 % |
-2,45 % |
-0,50 % |
6,55 % |
6,75 % |
JPM Euro Corporate Bond D (acc) - EUR / A0RFA1 / LU0408847936
|
100,00 % |
4,45 % |
-4,93 % |
-4,63 % |
6,52 % |
6,73 % |
JPM Euro Corporate Bond X (acc) - EUR / A0RFA4 / LU0408848405
|
0,00 % |
5,81 % |
-1,15 % |
1,77 % |
6,55 % |
6,75 % |
JPM US Select Equity Plus A (dist) - GBP / A0MNVG / LU0281483486
|
100,00 % |
33,91 % |
48,73 % |
122,27 % |
15,76 % |
16,66 % |
JPM Euroland Select Equity C (acc) - EUR / A0MVMD / LU0308872554
|
0,00 % |
9,57 % |
17,33 % |
62,70 % |
14,25 % |
13,59 % |
JPM Euroland Select Equity D (acc) - EUR / A0MVME / LU0308872638
|
100,00 % |
7,87 % |
11,56 % |
49,28 % |
14,24 % |
13,59 % |
JPM Euroland Select Equity X (acc) - EUR / A0MV80 / LU0308873107
|
100,00 % |
10,50 % |
19,95 % |
68,75 % |
14,27 % |
13,60 % |
JPM Europe Equity Plus C (perf) (acc) - EUR / A0MNZ6 / LU0289214545
|
100,00 % |
16,31 % |
29,17 % |
52,66 % |
13,11 % |
16,94 % |
JPM Europe High Yield Bond C (acc) - EUR / A0J3VJ / LU0159054922
|
100,00 % |
5,89 % |
6,46 % |
11,30 % |
7,54 % |
8,63 % |
JPM Europe Equity Plus D (perf) (acc) - USD / A0M97R / LU0336375869
|
100,00 % |
15,06 % |
23,25 % |
40,99 % |
12,78 % |
16,82 % |
JPM Europe Equity Plus X (perf) (acc) - EUR / A0MN0A / LU0289214974
|
100,00 % |
17,26 % |
32,16 % |
58,83 % |
13,09 % |
16,93 % |
JPM Europe High Yield Bond T (acc) - EUR / A1H6ZF / LU0569319618
|
22,00 % |
4,95 % |
3,62 % |
6,40 % |
7,53 % |
8,63 % |
JPM Europe High Yield Bond X (acc) - EUR / A0J3VK / LU0159055499
|
22,00 % |
6,43 % |
8,07 % |
14,12 % |
7,54 % |
8,64 % |
JPM US Select Equity Plus A (dist) - GBP (hedged) / A1JCGK / LU0644289182
|
22,00 % |
- |
- |
- |
- |
- |
JPM US Aggregate Bond A (mth) - USD / A1KB0B / LU0499111903
|
22,00 % |
6,88 % |
-0,49 % |
3,64 % |
6,12 % |
6,58 % |
JPM Europe Dynamic D (acc) - USD / A0DKP5 / LU0190961812
|
100,00 % |
7,58 % |
12,29 % |
32,86 % |
13,34 % |
17,33 % |
JPM US Aggregate Bond I (acc) - USD / A0JLTR / LU0248063595
|
100,00 % |
7,50 % |
1,21 % |
6,55 % |
6,12 % |
6,59 % |
JPM US Aggregate Bond X (acc) - USD / A0D9WA / LU0216283365
|
100,00 % |
7,99 % |
2,57 % |
9,02 % |
6,12 % |
6,59 % |
JPM US Aggregate Bond X (dist) - GBP (hedged) / A1JPL2 / LU0707698089
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Equity D (acc) - USD / A0J3LA / LU0259069697
|
100,00 % |
6,25 % |
14,70 % |
35,75 % |
13,11 % |
16,86 % |
JPM Europe Equity I (acc) - EUR / A0JKTA / LU0248047044
|
0,00 % |
7,90 % |
19,78 % |
45,24 % |
13,40 % |
16,96 % |
JPM US Select Equity Plus C (dist) - GBP (hedged) / A1JCGL / LU0644289422
|
0,00 % |
33,57 % |
40,14 % |
113,75 % |
18,90 % |
20,38 % |
JPM US Select Equity Plus I (acc) - USD / A0MNVP / LU0281485341
|
0,00 % |
35,20 % |
53,67 % |
134,19 % |
15,17 % |
16,29 % |
JPM US Select Equity Plus I (inc) - USD / A0MNVQ / LU0281485697
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Select Equity Plus X (acc) - USD / A0MNVR / LU0281485770
|
0,00 % |
36,08 % |
56,72 % |
142,03 % |
15,17 % |
16,29 % |
JPM Europe Equity I (inc) - EUR / A0JKTB / LU0248047473
|
0,00 % |
- |
- |
- |
- |
- |
JPM Latin America Equity A (acc) - SGD / A1C3GP / LU0532188140
|
100,00 % |
-16,29 % |
23,56 % |
-5,01 % |
21,15 % |
27,10 % |
JPM Latin America Equity C (acc) - USD / 666281 / LU0129491972
|
100,00 % |
-15,68 % |
26,29 % |
-1,30 % |
21,14 % |
27,07 % |
JPM Latin America Equity D (acc) - EUR / A1C1GH / LU0522352862
|
100,00 % |
-17,12 % |
19,86 % |
-9,86 % |
21,33 % |
27,10 % |
JPM Latin America Equity T (acc) - EUR / A1H6ZT / LU0569324022
|
22,00 % |
- |
- |
- |
- |
- |
JPM Latin America Equity X (acc) - USD / 541483 / LU0143836624
|
100,00 % |
-15,03 % |
29,52 % |
3,09 % |
21,16 % |
27,09 % |
JPM Europe Dynamic T (acc) - EUR / A1H6ZC / LU0569317836
|
22,00 % |
- |
- |
- |
- |
- |
JPM Europe Dynamic X (acc) - EUR / 541455 / LU0146652267
|
0,00 % |
10,37 % |
20,83 % |
49,46 % |
13,67 % |
17,46 % |
JPM Global Corporate Bond C (acc) - EUR (hedged) / A0NEJ4 / LU0439179432
|
100,00 % |
2,81 % |
-9,31 % |
-3,47 % |
7,91 % |
7,46 % |
JPM Global Corporate Bond C (acc) - USD / A0RFAS / LU0408846615
|
100,00 % |
10,15 % |
4,94 % |
12,58 % |
6,45 % |
7,43 % |
JPM Global Corporate Bond C (acc) - USD - Duration (hedged) / A1H96P / LU0621513745
|
100,00 % |
-0,18 % |
19,98 % |
18,73 % |
8,71 % |
7,72 % |
JPM Europe Dynamic Small Cap A (perf) (dist) - EUR / A0DQBZ / LU0210073408
|
100,00 % |
8,26 % |
-17,24 % |
6,56 % |
18,79 % |
22,16 % |
JPM Europe Dynamic Small Cap D (perf) (acc) - EUR / A0DQB0 / LU0210075874
|
100,00 % |
7,16 % |
-19,71 % |
1,33 % |
18,81 % |
22,12 % |
JPM Europe Dynamic Small Cap X (perf) (acc) - EUR / A0DQB1 / LU0210076179
|
100,00 % |
10,18 % |
-12,97 % |
15,55 % |
18,82 % |
22,15 % |
JPM Global Corporate Bond D (acc) - EUR (hedged) / A0RFAU / LU0408846961
|
100,00 % |
1,96 % |
-11,56 % |
-7,44 % |
7,91 % |
7,46 % |
JPM Global Corporate Bond D (acc) - USD / A0RFAT / LU0408846706
|
100,00 % |
9,24 % |
2,31 % |
7,87 % |
6,46 % |
7,43 % |
JPM Global Corporate Bond D (div) - EUR (hedged) / A1CW3V / LU0503867672
|
22,00 % |
1,86 % |
-11,61 % |
-7,51 % |
7,97 % |
7,54 % |
JPM Europe Focus C (perf) (acc) - EUR / A0JDVT / LU0169525168
|
22,00 % |
26,66 % |
16,49 % |
87,11 % |
15,48 % |
14,09 % |
JPM Europe Focus D (perf) (acc) - EUR / A0JDVU / LU0169525671
|
22,00 % |
24,58 % |
10,47 % |
73,87 % |
15,43 % |
14,08 % |
JPM Europe Focus D (perf) (acc) - USD / A0M97T / LU0336375356
|
22,00 % |
24,68 % |
10,15 % |
72,01 % |
16,02 % |
14,52 % |
JPM Global Corporate Bond I (acc) - USD / A0RFAV / LU0408847183
|
0,00 % |
10,19 % |
5,07 % |
12,80 % |
6,45 % |
7,43 % |
JPM Europe Focus T (perf) (acc) - EUR / A1H6ZE / LU0569318727
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Focus X (perf) (acc) - EUR / A0JDVV / LU0169525754
|
0,00 % |
27,70 % |
19,70 % |
96,29 % |
15,44 % |
14,09 % |
JPM Hong Kong A (dist) - HKD / A1C4FL / LU0538203521
|
100,00 % |
-13,43 % |
16,22 % |
36,08 % |
14,99 % |
16,97 % |
JPM Global Corporate Bond T (acc) - EUR (hedged) / A1JA7N / LU0630458023
|
22,00 % |
1,93 % |
-11,61 % |
-7,50 % |
7,91 % |
7,46 % |
JPM Global Corporate Bond T (div) - EUR (hedged) / A1H6ZJ / LU0569320541
|
22,00 % |
1,92 % |
-11,63 % |
-7,51 % |
7,92 % |
7,46 % |
JPMorgan Hong Kong X (acc) - USD / 541476 / LU0143809902
|
22,00 % |
-11,99 % |
- |
- |
- |
- |
JPM US Growth C (acc) - EUR (hedged) / A0MNDC / LU0289216912
|
0,00 % |
31,25 % |
30,49 % |
127,03 % |
19,77 % |
20,80 % |
JPM US Growth C (acc) - USD / A0JELU / LU0129460407
|
100,00 % |
40,29 % |
52,28 % |
165,82 % |
18,87 % |
19,34 % |
JPM US Growth C (dist) - GBP / A1H6AG / LU0580369782
|
100,00 % |
40,35 % |
51,88 % |
165,25 % |
19,39 % |
19,73 % |
JPM Pacific Equity C (acc) - USD / 666285 / LU0129471941
|
0,00 % |
15,81 % |
-5,38 % |
21,36 % |
14,24 % |
14,73 % |
JPM Pacific Equity D (acc) - EUR / A0HG3C / LU0217390656
|
100,00 % |
14,17 % |
-9,66 % |
11,83 % |
14,33 % |
14,74 % |
JPM US Growth C (dist) - USD / A1JCRF / LU0647025211
|
100,00 % |
40,28 % |
52,26 % |
165,78 % |
18,86 % |
19,34 % |
JPM Pacific Equity I (acc) - USD / A0JLTX / LU0248057431
|
100,00 % |
15,86 % |
-5,27 % |
21,59 % |
14,23 % |
14,69 % |
JPM Pacific Equity X (acc) - USD / 541486 / LU0143810405
|
100,00 % |
16,75 % |
-3,08 % |
26,29 % |
14,24 % |
14,73 % |
JPM US Growth D (acc) - EUR (hedged) / A0ML1P / LU0284208971
|
100,00 % |
29,04 % |
24,07 % |
108,57 % |
19,74 % |
20,75 % |
JPM US Growth X (acc) - USD / A0HGCR / LU0143839131
|
100,00 % |
41,18 % |
55,26 % |
174,59 % |
18,87 % |
19,35 % |
JPM US Equity Plus A (dist) - GBP / A0MN0E / LU0289231713
|
100,00 % |
-0,74 % |
18,13 % |
103,10 % |
14,89 % |
13,50 % |
JPM Flexible Credit Fund D (acc) - EUR (hedged) / A0YFEH / LU0469576879
|
100,00 % |
5,24 % |
-0,15 % |
5,36 % |
6,32 % |
6,95 % |
JPM US Growth X (dist) - USD / A1JANW / LU0626448426
|
0,00 % |
41,20 % |
- |
- |
- |
- |
JPM Flexible Credit Fund D (div) - EUR (hedged) / A1C9CQ / LU0562087980
|
100,00 % |
5,24 % |
-0,16 % |
5,35 % |
6,32 % |
6,95 % |
JPM Flexible Credit Fund T (acc) - EUR (hedged) / A1JA7P / LU0630458296
|
100,00 % |
2,56 % |
7,18 % |
22,30 % |
3,37 % |
4,19 % |
JPM Flexible Credit Fund T (div) - EUR (hedged) / A1H6ZK / LU0569321192
|
22,00 % |
2,55 % |
7,15 % |
22,25 % |
3,37 % |
4,19 % |
JPM Flexible Credit Fund X (acc) - EUR (hedged) / A1JNXW / LU0704893840
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Natural Resources A (acc) - SGD / A0YCGK / LU0456854461
|
100,00 % |
-2,84 % |
26,02 % |
46,15 % |
18,80 % |
22,88 % |
JPM US Equity Plus A (dist) - USD / A0MN0C / LU0289232281
|
100,00 % |
-0,57 % |
18,64 % |
104,11 % |
15,19 % |
13,63 % |
JPM Global Government Short Duration Bond C (acc) - EUR / A0RE6Z / LU0408876794
|
0,00 % |
2,91 % |
1,23 % |
1,50 % |
1,74 % |
1,38 % |
JPM Global Natural Resources I (acc) - EUR / A0JKTY / LU0248052804
|
0,00 % |
-1,97 % |
29,34 % |
52,19 % |
18,96 % |
22,96 % |
JPM Global Natural Resources X (acc) - USD / A0MNDE / LU0289219692
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Government Short Duration Bond C (acc) - USD (hed / A0RK7H / LU0413109793
|
0,00 % |
10,10 % |
16,11 % |
17,09 % |
6,67 % |
6,85 % |
JPM Highbridge Europe STEEP A (perf) (dist) - GBP / A0M5J2 / LU0325073285
|
100,00 % |
0,96 % |
14,27 % |
68,60 % |
14,21 % |
12,42 % |
JPM Global Government Short Duration Bond C (dist) - GBP (he / A0YCL5 / LU0457775293
|
0,00 % |
8,84 % |
8,09 % |
9,84 % |
4,96 % |
5,15 % |
JPM Highbridge Europe STEEP C (perf) (acc) - EUR / A0M5J5 / LU0325073871
|
0,00 % |
1,46 % |
16,88 % |
73,90 % |
14,01 % |
12,25 % |
JPM US Equity Plus C (acc) - USD / A0MN0H / LU0289218967
|
0,00 % |
0,27 % |
21,58 % |
113,00 % |
15,20 % |
13,64 % |
JPM Global Equity A (acc) - CHF (hedged) / A1C24Q / LU0529084344
|
100,00 % |
0,02 % |
32,48 % |
37,32 % |
17,45 % |
15,97 % |
JPM Global Equity A (acc) - SGD / A0YCGL / LU0456855351
|
100,00 % |
2,66 % |
31,39 % |
46,29 % |
17,47 % |
15,73 % |
JPM Global Dynamic A (acc) - SGD (hedged) / A1H82F / LU0614376068
|
100,00 % |
- |
- |
- |
- |
- |
JPM Highbridge Europe STEEP D (perf) (acc) - EUR / A0M5J6 / LU0325073954
|
100,00 % |
-0,10 % |
12,36 % |
64,06 % |
14,04 % |
12,27 % |
JPM Global Government Short Duration Bond D (acc) - EUR / A0RE61 / LU0408876950
|
100,00 % |
2,67 % |
0,58 % |
0,48 % |
1,77 % |
1,40 % |
JPM Highbridge Europe STEEP I (perf) (acc) - EUR / A0M5J7 / LU0325074093
|
0,00 % |
- |
- |
- |
14,02 % |
- |
JPM US Equity Plus T (acc) - EUR (hedged) / A1H6ZU / LU0569324378
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Government Short Duration Bond X (acc) - EUR / A0RE64 / LU0408877339
|
0,00 % |
- |
- |
- |
- |
- |
JPM Highbridge Europe STEEP X (perf) (acc) - EUR / A0M5J8 / LU0325074176
|
0,00 % |
2,32 % |
- |
- |
- |
- |
JPM Global Government Short Duration Bond D (acc) - USD (hed / A0RE62 / LU0408877099
|
100,00 % |
- |
- |
- |
- |
- |
JPM Highbridge US STEEP A (perf) (dist) - GBP / A0M5KB / LU0325074416
|
100,00 % |
10,27 % |
28,40 % |
66,92 % |
13,60 % |
12,68 % |
JPM Highbridge US STEEP C (perf) (acc) - EUR (hedged) / A0M5KH / LU0325075066
|
100,00 % |
6,16 % |
29,35 % |
40,22 % |
12,56 % |
11,75 % |
JPM Global Equity C (acc) - EUR (hedged) / A0MNC7 / LU0289216326
|
0,00 % |
-8,69 % |
19,42 % |
27,83 % |
18,22 % |
16,32 % |
JPM Global Equity D (acc) - EUR (hedged) / A0MNC8 / LU0289216599
|
100,00 % |
-9,90 % |
14,73 % |
18,12 % |
18,26 % |
16,32 % |
JPM Global Government Short Duration Bond X (dist) -GBP(hed / A1JANZ / LU0626460637
|
0,00 % |
- |
- |
- |
- |
- |
JPM Highbridge US STEEP C (perf) (acc) - USD / A0M5KF / LU0325074846
|
0,00 % |
10,94 % |
31,30 % |
72,93 % |
13,62 % |
12,87 % |
JPM Highbridge US STEEP C (perf) (dist) - USD / A1JCRE / LU0647025302
|
0,00 % |
10,91 % |
31,26 % |
72,91 % |
13,63 % |
12,88 % |
JPM Highbridge US STEEP D (perf) (acc) - EUR (hedged) / A0M5KL / LU0325075579
|
100,00 % |
4,56 % |
23,47 % |
30,18 % |
12,55 % |
11,75 % |
JPM US Equity Plus X (acc) - USD / A0MN0Q / LU0289219429
|
0,00 % |
1,09 % |
- |
- |
- |
- |
JPM Global Dynamic I (acc) - EUR (hedged) / A1JA3R / LU0629703918
|
0,00 % |
- |
- |
- |
- |
- |
JPM Highbridge US STEEP I (perf) (acc) - USD / A0M5KM / LU0325075652
|
0,00 % |
10,95 % |
31,42 % |
- |
13,63 % |
- |
JPM Global Equity I (acc) - USD / A0JKTQ / LU0248051400
|
0,00 % |
3,51 % |
34,45 % |
52,45 % |
17,38 % |
15,68 % |
JPM Global Equity I (dist) - EUR / A0JKTR / LU0248051665
|
0,00 % |
3,38 % |
32,79 % |
51,85 % |
17,40 % |
15,71 % |
JPM Highbridge US STEEP X (perf) (dist) - USD / A1JANV / LU0626448269
|
0,00 % |
- |
- |
- |
13,64 % |
12,89 % |
JPM Singapore A (acc) - SGD / A0YCGJ / LU0456852689
|
100,00 % |
-8,41 % |
18,31 % |
23,98 % |
11,70 % |
13,77 % |
JPM Global Dynamic T (acc) - EUR (hedged) / A1H6ZL / LU0569321515
|
22,00 % |
- |
- |
- |
- |
- |
JPM Global Dynamic X (acc) - EUR / A0KFJE / LU0243498887
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Equity X (acc) - EUR (hedged) / A1JMJG / LU0693821935
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Equity X (acc) - USD / 541467 / LU0143833365
|
0,00 % |
- |
- |
- |
- |
- |
JPM Singapore I (acc) - USD / A0JLTZ / LU0248058249
|
0,00 % |
- |
- |
- |
- |
- |
JPMorgan Singapore X (acc) - USD / 541495 / LU0143810660
|
0,00 % |
-6,84 % |
- |
- |
- |
- |
JPM ASEAN Equity A (acc) - SGD / A1C3GQ / LU0532188223
|
100,00 % |
20,09 % |
14,71 % |
17,49 % |
10,73 % |
16,46 % |
JPM Taiwan A (dist) - HKD / A1C4FM / LU0538203950
|
100,00 % |
23,49 % |
8,04 % |
88,42 % |
20,91 % |
20,58 % |
JPM Taiwan I (acc) - USD / A0JLT0 / LU0248058678
|
100,00 % |
24,62 % |
11,06 % |
97,10 % |
20,93 % |
20,58 % |
JPM ASEAN Equity C (dist) - GBP / A1JQE5 / LU0712206050
|
100,00 % |
21,08 % |
17,26 % |
22,32 % |
11,09 % |
16,63 % |
JPM Taiwan X (acc) - USD / 541496 / LU0143810744
|
0,00 % |
- |
- |
- |
- |
- |
JPM ASEAN Equity C (acc) - EUR / A0X9HC / LU0441853008
|
0,00 % |
21,21 % |
17,77 % |
22,36 % |
10,86 % |
16,46 % |
JPM Sterling Bond X (acc) - GBP / A0DN09 / LU0207757260
|
0,00 % |
- |
- |
- |
- |
- |
JPM ASEAN Equity C (acc) - USD / A0X9G6 / LU0441851648
|
0,00 % |
21,02 % |
17,56 % |
22,57 % |
10,60 % |
16,38 % |
JPM ASEAN Equity I (acc) - USD / A0X9G8 / LU0441852299
|
0,00 % |
21,07 % |
17,71 % |
22,81 % |
10,60 % |
16,38 % |
JPM ASEAN Equity X (acc) - USD / A0X9G9 / LU0441852455
|
0,00 % |
21,99 % |
20,42 % |
27,57 % |
10,60 % |
16,39 % |
JPM Greater China A (acc) - SGD / A0YCGG / LU0456846285
|
100,00 % |
20,48 % |
-20,87 % |
8,64 % |
23,55 % |
21,70 % |
JPM Greater China A (dist) - HKD / A1C4FK / LU0538203281
|
100,00 % |
20,43 % |
-20,89 % |
8,72 % |
23,56 % |
21,72 % |
JPM China A (acc) - SGD / A0YCGE / LU0456827905
|
100,00 % |
17,63 % |
-30,79 % |
-10,07 % |
29,99 % |
26,83 % |
JPM China A (dist) - HKD / A1C4FJ / LU0538203018
|
100,00 % |
17,56 % |
-30,82 % |
-10,02 % |
30,05 % |
26,89 % |
JPM Greater China C (acc) - USD / 666269 / LU0129484258
|
0,00 % |
21,43 % |
-18,89 % |
13,38 % |
23,57 % |
21,74 % |
JPM Greater China D (acc) - EUR / A1C1GJ / LU0522352946
|
100,00 % |
19,42 % |
-23,03 % |
3,38 % |
23,39 % |
21,60 % |
JPM Greater China I (acc) - USD / A0JKT1 / LU0248053877
|
100,00 % |
21,48 % |
-18,81 % |
13,59 % |
23,57 % |
21,73 % |
JPM Greater China T (acc) - EUR / A1H6ZR / LU0569323560
|
22,00 % |
0,96 % |
27,35 % |
67,92 % |
17,69 % |
15,27 % |
JPM China C (acc) - USD / 666234 / LU0129472758
|
0,00 % |
18,48 % |
-29,11 % |
-6,24 % |
30,05 % |
26,89 % |
JPM China D (acc) - EUR / A1C1GF / LU0522352607
|
100,00 % |
16,59 % |
-32,66 % |
-14,41 % |
29,84 % |
26,74 % |
JPM China I (acc) - USD / A0JKP0 / LU0248042839
|
0,00 % |
18,55 % |
-29,03 % |
-6,07 % |
30,05 % |
26,89 % |
JPM China T (acc) - EUR / A1H6ZQ / LU0569323305
|
0,00 % |
16,55 % |
-32,65 % |
-14,38 % |
29,84 % |
26,74 % |
JPM China X (acc) - USD / 541281 / LU0143809738
|
0,00 % |
19,45 % |
-27,40 % |
-2,44 % |
30,06 % |
26,91 % |
JPM Global Absolute Return Bond A (acc) - USD / A1C4TE / LU0538891663
|
100,00 % |
2,47 % |
-3,74 % |
13,50 % |
6,27 % |
7,70 % |
JPM Aggregate Bond A (acc) - USD / A0X8TD / LU0430493139
|
100,00 % |
8,73 % |
5,02 % |
10,62 % |
5,95 % |
6,40 % |
JPM Asia Pacific Equity A (acc) - EUR / A0X9QB / LU0441855714
|
100,00 % |
15,63 % |
6,37 % |
23,65 % |
14,04 % |
15,58 % |
JPM Euro Aggregate Bond A (acc) - EUR / A0X8S7 / LU0430492594
|
100,00 % |
2,39 % |
-9,42 % |
-7,59 % |
6,85 % |
5,96 % |
JPM Euroland Dynamic A (perf) (acc) - EUR / A1JEJ3 / LU0661985969
|
100,00 % |
11,27 % |
19,04 % |
48,71 % |
15,72 % |
19,45 % |
JPM Euroland Focus A (perf) (acc) - EUR / A1JEKA / LU0661987155
|
100,00 % |
-11,59 % |
14,30 % |
- |
16,74 % |
- |
JPM Financials Bond A (acc) - EUR / A1JNHJ / LU0697242724
|
100,00 % |
7,22 % |
-9,23 % |
-1,74 % |
7,40 % |
7,63 % |
JPM Global Merger Arbitrage A (acc) - USD / A1JHYJ / LU0599212403
|
100,00 % |
-4,86 % |
13,17 % |
17,14 % |
8,73 % |
7,78 % |
JPM Global Multi Strategy Income A (div) - EUR / A1JM4E / LU0697242484
|
100,00 % |
5,91 % |
-2,26 % |
4,03 % |
9,25 % |
9,88 % |
JPM Global Short Duration Bond A (acc) - USD / A0X8TU / LU0430494889
|
100,00 % |
10,68 % |
16,13 % |
16,39 % |
6,64 % |
6,81 % |
JPM Income Opportunity Plus A (perf) (acc) - USD / A1JLAL / LU0683728280
|
100,00 % |
-11,85 % |
0,37 % |
20,20 % |
7,82 % |
7,84 % |
JPM Japan Market Neutral A (acc) - JPY / A1H97E / LU0619718744
|
100,00 % |
11,49 % |
3,33 % |
-11,58 % |
9,59 % |
10,70 % |
JPM Managed Reserves Fund A (acc) - USD / A1CZUU / LU0513027705
|
0,00 % |
10,62 % |
19,82 % |
18,97 % |
7,15 % |
7,14 % |
JPM Systematic Alpha A (acc) - EUR / A0REEZ / LU0406668003
|
100,00 % |
-2,68 % |
-22,66 % |
-26,60 % |
6,88 % |
5,73 % |
JPM US Research Enhanced Index Equity C acc USD / A1H68Y / LU0590395801
|
100,00 % |
38,51 % |
61,36 % |
113,27 % |
18,31 % |
15,49 % |
JPM US Select Long-Short Equity A (perf) (acc) - USD / A1H55J / LU0572777000
|
100,00 % |
- |
- |
- |
- |
- |
JPM Global Income A (div) - EUR / A0RBX2 / LU0395794307
|
100,00 % |
6,21 % |
-2,06 % |
6,03 % |
9,35 % |
10,12 % |
JPM AUD Liquidity LVNAV A (acc.) / A1C7CG / LU0533339742
|
100,00 % |
1,03 % |
1,65 % |
4,18 % |
6,96 % |
8,02 % |
JPM SGD Liquidity LVNAV Agency (dist.) / A0X9CH / LU0440258506
|
100,00 % |
5,84 % |
15,29 % |
13,38 % |
3,86 % |
4,26 % |
JPM GBP Gilt CNAV A (acc.) / A0NFJK / LU0350842315
|
0,00 % |
-4,71 % |
1,98 % |
-10,90 % |
5,39 % |
7,30 % |
JPM US Dollar Current Reserves A (acc.) / A1JJ0C / LU0630443181
|
0,00 % |
0,23 % |
22,45 % |
14,75 % |
8,50 % |
8,25 % |
JPM USD Government LVNAV A (acc.) / A0RD9N / LU0406512847
|
0,00 % |
16,39 % |
11,76 % |
20,18 % |
7,45 % |
6,66 % |
JPM Aggregate Bond A (acc) - EUR (hedged) / A0X8TE / LU0430493212
|
100,00 % |
1,53 % |
-8,89 % |
-4,65 % |
5,67 % |
4,84 % |
JPM US Dollar Current Reserves C (acc.) / A1JJ0F / LU0630443777
|
100,00 % |
0,57 % |
23,07 % |
15,42 % |
8,49 % |
8,24 % |
JPM US Dollar Government Liquidity B (acc.) / A0RD9M / LU0406512763
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Government LVNAV C (acc.) / A0RD9L / LU0406512680
|
0,00 % |
16,61 % |
12,17 % |
21,45 % |
7,45 % |
6,66 % |
JPM Asia Pacific Equity A (acc) - USD / A0X9P5 / LU0441854154
|
100,00 % |
15,40 % |
6,03 % |
23,72 % |
14,07 % |
15,61 % |
JPM USD Government LVNAV Institutional (dist.) / A0RD9Q / LU0406513068
|
0,00 % |
15,75 % |
10,99 % |
16,26 % |
7,42 % |
6,63 % |
JPM SGD Liquidity LVNAV C (acc.) / A0X9CB / LU0440254422
|
100,00 % |
6,98 % |
18,40 % |
16,18 % |
3,71 % |
4,23 % |
JPM Asia Pacific Equity A (dist) - USD / A1JJEX / LU0613488591
|
100,00 % |
15,42 % |
6,15 % |
23,84 % |
14,07 % |
15,61 % |
JPM SGD Liquidity LVNAV Institutional (dist.) / A0X9CG / LU0440258258
|
0,00 % |
5,87 % |
15,39 % |
13,53 % |
3,86 % |
4,26 % |
JPM GBP Gilt CNAV Agency (dist.) / A0NFJL / LU0350842588
|
0,00 % |
- |
- |
- |
- |
- |
JPM Asia Pacific Equity C (acc) - EUR / A0X9QD / LU0441856100
|
100,00 % |
16,55 % |
8,95 % |
28,72 % |
14,04 % |
15,58 % |
JPM Sterling Gilt Liquidity Fund C (acc.) / A0NFJN / LU0350842828
|
0,00 % |
- |
- |
- |
- |
- |
JPM Asia Pacific Equity X (acc) - USD / A0X9QA / LU0441855474
|
0,00 % |
17,31 % |
11,40 % |
34,21 % |
14,09 % |
15,63 % |
JPM GBP Gilt CNAV Institutional (dist.) / A0NFJQ / LU0350843396
|
0,00 % |
-4,59 % |
1,96 % |
-11,04 % |
5,39 % |
7,30 % |
JPM Sterling Gilt Liquidity Fund Morgan (dist.) / A0NFJR / LU0350843479
|
0,00 % |
- |
- |
- |
- |
- |
JPM Sterling Gilt Liquidity Fund Premier (dist.) / A0NFJS / LU0350843636
|
0,00 % |
- |
- |
- |
- |
- |
JPM AUD Liquidity LVNAV Agency (dist.) / A1C7CL / LU0533340328
|
0,00 % |
-0,00 % |
-0,13 % |
10,74 % |
7,00 % |
8,05 % |
JPM AUD Liquidity LVNAV B (acc.) / A1C7CF / LU0533339668
|
0,00 % |
7,98 % |
4,94 % |
10,27 % |
7,05 % |
7,97 % |
JPM AUD Liquidity LVNAV C (acc.) / A1C7CE / LU0533339585
|
0,00 % |
1,34 % |
2,51 % |
5,28 % |
6,95 % |
8,02 % |
JPM AUD Liquidity LVNAV Institutional (dist.) / A1C7CK / LU0533340161
|
0,00 % |
0,02 % |
-0,23 % |
4,99 % |
7,00 % |
8,04 % |
JPM Australian Dollar Liquidity Morgan (dist.) / A1C7CN / LU0533340674
|
0,00 % |
- |
- |
- |
- |
- |
JPM Australian Dollar Liquidity Premier (dist.) / A1C7CM / LU0533340591
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Income C (div) - EUR / A0RBX4 / LU0395796690
|
100,00 % |
6,90 % |
-0,14 % |
9,50 % |
9,35 % |
10,12 % |
JPM Global Income D (div) - EUR / A0RK4D / LU0404220724
|
100,00 % |
5,84 % |
-3,07 % |
4,19 % |
9,35 % |
10,11 % |
JPM Global Income X (div) - EUR / A0RBX6 / LU0395797581
|
100,00 % |
7,60 % |
1,81 % |
13,07 % |
9,36 % |
10,12 % |
JPM US Select Long-Short Equity A (perf) (acc) - EUR (hedg) / A1H5ZS / LU0572777265
|
100,00 % |
- |
- |
- |
- |
- |
JPM US Select Long-Short Equity A (perf) (dist) - GBP (hedg) / A1JH5A / LU0594426198
|
100,00 % |
- |
- |
- |
- |
- |
JPM Euroland Focus D (perf) (acc) - EUR / A1JEKD / LU0661987585
|
100,00 % |
-12,26 % |
11,85 % |
- |
16,73 % |
- |
JPM US Select Long-Short Equity C (perf) (acc) - USD / A1H5ZT / LU0572777422
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Select Long-Short Equity C (perf) (dist) - GBP (hedg) / A1JH5B / LU0594426354
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Select Long-Short Equity D (perf) (acc) - EUR (hedg) / A1H5ZX / LU0572778313
|
100,00 % |
- |
- |
- |
- |
- |
JPM US Select Long-Short Equity X (perf) (acc) - USD / A1H5ZY / LU0572778404
|
100,00 % |
- |
- |
- |
- |
- |
JPM Euroland Dynamic D (perf) (acc) - EUR / A1JEJ6 / LU0661986348
|
100,00 % |
10,56 % |
16,52 % |
43,37 % |
15,69 % |
19,43 % |
JPM Financials Bond A (dist) - EUR / A1JNHK / LU0697243029
|
100,00 % |
7,21 % |
-9,24 % |
-1,75 % |
7,40 % |
7,63 % |
JPM Financials Bond D (acc) - EUR / A1JNHQ / LU0697243615
|
100,00 % |
6,78 % |
-10,31 % |
-3,69 % |
7,40 % |
7,63 % |
JPM Global Absolute Return Bond A (acc) - EUR (hedged) / A1C4TF / LU0538891820
|
100,00 % |
-3,66 % |
-7,00 % |
-7,77 % |
1,67 % |
1,46 % |
JPM Global Absolute Return Bond A (acc) - SEK (hedged) / A1C4TG / LU0538892042
|
100,00 % |
- |
- |
- |
- |
- |
JPM Global Absolute Return Bond D (acc) - EUR (hedged) / A1C4TM / LU0538893107
|
100,00 % |
-4,15 % |
-8,39 % |
-9,99 % |
1,68 % |
1,48 % |
JPM Global Absolute Return Bond D (acc) - USD / A1C4TL / LU0538892984
|
100,00 % |
1,95 % |
-5,18 % |
10,63 % |
6,27 % |
7,69 % |
JPM Global Absolute Return Bond X (acc) - EUR (hedged) / A1C6YX / LU0547706696
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Merger Arbitrage A (acc) - EUR (hedged) / A1JHYK / LU0599212585
|
100,00 % |
2,82 % |
3,74 % |
4,45 % |
3,11 % |
2,71 % |
JPM Global Merger Arbitrage A (acc) - SEK (hedged) / A1JBKX / LU0634809833
|
100,00 % |
- |
- |
- |
- |
- |
JPM Global Merger Arbitrage A (dist) - GBP (hedged) / A1JHYL / LU0599212668
|
100,00 % |
-0,02 % |
-5,62 % |
-3,27 % |
10,65 % |
8,99 % |
JPM Global Merger Arbitrage C (acc) - EUR (hedged) / A1JDLT / LU0657749338
|
100,00 % |
- |
- |
- |
- |
- |
JPM Income Opportunity Plus A (perf) (acc) - CHF (hedged) / A1JLAW / LU0683732639
|
100,00 % |
-8,63 % |
-6,59 % |
9,81 % |
5,61 % |
8,08 % |
JPM Income Opportunity Plus A (perf) (acc) - EUR (hedged) / A1JLAS / LU0683730856
|
100,00 % |
-0,06 % |
4,47 % |
5,76 % |
3,03 % |
2,43 % |
JPM Income Opportunity Plus A (perf) (dist) - GBP (hedged) / A1JLAU / LU0683731318
|
100,00 % |
-2,03 % |
-10,10 % |
5,48 % |
10,22 % |
8,64 % |
JPM Income Opportunity Plus D (perf) (acc) - EUR (hedged) / A1JLA6 / LU0683736036
|
100,00 % |
-0,25 % |
3,90 % |
4,61 % |
3,05 % |
2,44 % |
JPM Global Merger Arbitrage C (dist) - GBP (hedged) / A1JAPR / LU0626067895
|
100,00 % |
0,84 % |
-3,17 % |
1,14 % |
10,66 % |
9,00 % |
JPM Global Merger Arbitrage I (acc) - SEK (hedged) / A1JBKY / LU0634811656
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Multi Strategy Income D (div) - EUR / A1JM4G / LU0697242641
|
100,00 % |
5,05 % |
-4,61 % |
-0,11 % |
9,25 % |
9,87 % |
JPM Japan Market Neutral A (acc) - EUR (hedged) / A1H97F / LU0619718827
|
100,00 % |
- |
- |
- |
- |
- |
JPM Japan Market Neutral A (acc) - USD (hedged) / A1H97K / LU0619719478
|
100,00 % |
-4,41 % |
9,96 % |
20,94 % |
8,81 % |
9,42 % |
JPM Japan Market Neutral C (acc) - EUR (hedged) / A1JBB9 / LU0631844890
|
100,00 % |
- |
- |
- |
5,16 % |
5,88 % |
JPM Japan Market Neutral X (acc) - EUR (hedged) / A1JBCA / LU0631845277
|
100,00 % |
- |
- |
- |
- |
- |
JPM Japan Market Neutral X (acc) - USD (hedged) / A1JBCB / LU0631845517
|
100,00 % |
-2,90 % |
15,67 % |
- |
- |
- |
JPM Managed Reserves Fund A (acc) - EUR (hedged) / A1CZUN / LU0513027960
|
0,00 % |
3,39 % |
4,50 % |
3,12 % |
0,80 % |
1,04 % |
JPM Managed Reserves Fund A (dist) - GBP (hedged) / A1CZUP / LU0513028182
|
0,00 % |
- |
- |
- |
- |
- |
JPM Managed Reserves Fund C (acc) - EUR (hedged) / A1CZUT / LU0513029156
|
0,00 % |
3,70 % |
5,45 % |
4,68 % |
0,80 % |
1,04 % |
JPM Global Short Duration Bond A (acc) - EUR (hedged) / A0X8TV / LU0430494962
|
100,00 % |
3,46 % |
1,22 % |
0,81 % |
1,91 % |
1,84 % |
JPM Managed Reserves Fund C (acc) - USD / A1CZUR / LU0513028778
|
0,00 % |
10,95 % |
20,89 % |
20,74 % |
7,15 % |
7,14 % |
JPM Managed Reserves Fund C (dist) - GBP (hedged) / A1C4CV / LU0539309053
|
0,00 % |
9,67 % |
13,06 % |
13,62 % |
4,33 % |
5,15 % |
JPM Managed Reserves Fund C (dist) - USD / A1H9UA / LU0619381097
|
0,00 % |
10,95 % |
20,89 % |
20,74 % |
7,15 % |
7,14 % |
JPM Managed Reserves Fund I (acc) - SGD (hedged) / A1CZU0 / LU0513030832
|
0,00 % |
- |
- |
- |
- |
- |
JPM Managed Reserves Fund I (acc) - USD / A1CZUX / LU0513030162
|
0,00 % |
11,00 % |
21,04 % |
20,98 % |
7,15 % |
7,14 % |
JPM Managed Reserves Fund X (acc) - EUR (hedged) / A1CZU2 / LU0513031210
|
0,00 % |
- |
- |
- |
- |
- |
JPM Managed Reserves Fund X (acc) - USD / A1CZU1 / LU0513031053
|
0,00 % |
- |
- |
- |
- |
- |
JPM Managed Reserves Fund X (dist) - GBP (hedged) / A1JAN0 / LU0626449077
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Short Duration Bond C (acc) - EUR (hedged) / A0X8TY / LU0430495266
|
0,00 % |
3,81 % |
2,27 % |
2,57 % |
1,88 % |
1,83 % |
JPM Global Short Duration Bond C (acc) - USD / A0X8TX / LU0430495183
|
0,00 % |
11,03 % |
17,30 % |
18,41 % |
6,67 % |
6,85 % |
JPM Global Short Duration Bond C (dist) - GBP (hedged) / A0YCL4 / LU0457772431
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Short Duration Bond D (acc) - EUR (hedged) / A0X8T0 / LU0430495423
|
100,00 % |
3,13 % |
0,29 % |
-0,72 % |
1,89 % |
1,84 % |
JPM Global Short Duration Bond X (acc) - EUR (hedged) / A1JDGK / LU0654526853
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Short Duration Bond X (acc) - USD / A0X8S6 / LU0430495779
|
0,00 % |
11,48 % |
- |
- |
- |
- |
JPM Global Short Duration Bond X (dist) - GBP (hedged) / A1JANY / LU0626448855
|
0,00 % |
- |
- |
- |
- |
- |
JPM Systematic Alpha C (acc) - EUR / A0REKZ / LU0406668342
|
100,00 % |
-1,76 % |
-20,73 % |
-23,64 % |
6,89 % |
5,75 % |
JPM Systematic Alpha I (acc) - EUR / A0REE2 / LU0406668425
|
100,00 % |
- |
- |
- |
- |
- |
JPM Systematic Alpha X (acc) - EUR / A0REE3 / LU0406668698
|
100,00 % |
-1,13 % |
-18,94 % |
-20,65 % |
6,89 % |
5,75 % |
JPM US Research Enhanced Index Equity I acc USD / A1H680 / LU0590396015
|
100,00 % |
38,50 % |
61,71 % |
113,90 % |
18,32 % |
15,50 % |
JPM Global Select Equity C (acc) - EUR / A1H8QE / LU0611475780
|
0,00 % |
22,03 % |
41,70 % |
96,63 % |
14,14 % |
16,06 % |
JPM Global Select Equity I (acc) - USD / A0JL7S / LU0248001728
|
0,00 % |
21,89 % |
41,61 % |
97,35 % |
13,74 % |
15,89 % |
JPM US Select Equity C (dist) - GBP / A1JHRM / LU0671461233
|
0,00 % |
29,73 % |
39,61 % |
111,76 % |
15,57 % |
16,77 % |
JPM Emerging Markets Opportunities Fund A (acc) - EUR / A1JVJZ / LU0759999336
|
100,00 % |
10,90 % |
-9,15 % |
-4,09 % |
14,24 % |
16,06 % |
JPM Indonesia Equity A (acc) - USD / A1JULB / LU0752402288
|
100,00 % |
-26,99 % |
-23,15 % |
-10,54 % |
24,34 % |
23,00 % |
JPM Emerging Markets Debt C (acc) - USD / A1JWW9 / LU0773644637
|
0,00 % |
12,99 % |
4,66 % |
5,43 % |
8,97 % |
11,07 % |
JPM AUD Liquidity LVNAV Reserves (dist.) / A1C7CP / LU0533340831
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Corporate Bond C (acc) - EURH - Duration (hedged) / A1JS0A / LU0675040389
|
0,00 % |
3,64 % |
2,20 % |
10,11 % |
2,98 % |
2,83 % |
JPM Emerging Markets Debt A (dist) - USD / A1JYG0 / LU0784324542
|
100,00 % |
12,21 % |
2,43 % |
1,69 % |
8,97 % |
11,07 % |
JPM Global Income C (acc) - EUR / A1JX8Y / LU0782316961
|
0,00 % |
6,89 % |
-0,14 % |
9,50 % |
9,35 % |
10,12 % |
JPM Emerging Markets Corporate Bond C (acc) - EUR (hedged) / A1CZZN / LU0512128199
|
100,00 % |
6,13 % |
-5,70 % |
0,17 % |
8,76 % |
9,61 % |
JPM ASEAN Equity C (acc) - PLN / A1JRR4 / LU0724116412
|
0,00 % |
- |
- |
- |
- |
- |
JPM ASEAN Equity D (acc) - PLN / A1JRR5 / LU0724116503
|
22,00 % |
-8,15 % |
4,21 % |
1,82 % |
10,99 % |
16,43 % |
JPM Global High Yield Bond A (mth) - HKD / A1W9WN / LU0727847666
|
22,00 % |
-0,08 % |
-2,02 % |
4,96 % |
7,85 % |
8,36 % |
JPM Global Corporate Bond A (acc) - EURH - Duration (hedged) / A1JYLD / LU0783476608
|
100,00 % |
3,17 % |
0,82 % |
7,65 % |
2,98 % |
- |
JPM India A (dist) - GBP / A0Q65E / LU0376412945
|
100,00 % |
16,32 % |
30,60 % |
42,55 % |
13,73 % |
20,75 % |
JPM Global Developing Trends Fund A (acc) - USD / A1JYZR / LU0788426103
|
100,00 % |
18,21 % |
14,93 % |
- |
15,04 % |
- |
JPM Global Research Enhanced Index Equity Fund I acc EUR / A1CZVF / LU0512953406
|
100,00 % |
24,17 % |
37,12 % |
85,64 % |
13,78 % |
15,55 % |
JPM Global Research Enhanced Index Equity Fund X acc EUR / A1CZVG / LU0512953828
|
100,00 % |
24,41 % |
37,95 % |
87,51 % |
13,78 % |
15,55 % |
JPM Emerging Markets Local Currency Debt A (div) - EUR / A1JT9S / LU0748140778
|
100,00 % |
2,22 % |
8,98 % |
1,88 % |
5,72 % |
8,03 % |
JPM France Equity Fund A (acc) - EUR / A1JWYW / LU0773547947
|
100,00 % |
15,05 % |
22,85 % |
70,04 % |
12,61 % |
12,73 % |
JPM France Equity Fund C (acc) - EUR / A1JWY2 / LU0773548754
|
100,00 % |
- |
- |
- |
- |
- |
JPM Global Corporate Bond D (acc) - USD - Duration (hedged) / A1H96Q / LU0621513828
|
100,00 % |
-1,03 % |
16,97 % |
13,79 % |
8,70 % |
- |
JPM Managed Reserves Fund C (inc) - EUR (hedged) / A1J1C6 / LU0807489900
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Corporate Bond A (inc) - EUR (hedged) / A1J2Q7 / LU0815600217
|
100,00 % |
2,42 % |
7,26 % |
13,08 % |
3,52 % |
3,85 % |
JPM Global Corporate Bond A (inc) - EURH - Duration (hedged) / A1J2Q6 / LU0815600134
|
100,00 % |
3,12 % |
0,88 % |
- |
2,99 % |
- |
JPM Japan Sustainable Equity A (acc) - EUR / A1J35L / LU0828244052
|
100,00 % |
16,87 % |
3,76 % |
20,86 % |
14,92 % |
15,95 % |
JPM Global Research Enhanced Index Equity Fund C acc EUR / A1CZVE / LU0512952267
|
0,00 % |
24,12 % |
36,96 % |
85,28 % |
13,78 % |
15,55 % |
JPM Latin America Equity A (acc) - EUR / A1J4LD / LU0831102792
|
100,00 % |
-16,29 % |
23,50 % |
-5,25 % |
21,35 % |
27,12 % |
JPM Emerging Markets Investment Grade Bond A (dist) - USD / A1CWKV / LU0565387981
|
22,00 % |
8,06 % |
-1,24 % |
3,71 % |
6,88 % |
7,44 % |
JPM Euro Short Duration Bond Fund C (acc) - EUR / A0X8TQ / LU0430494459
|
0,00 % |
-0,30 % |
-0,59 % |
2,97 % |
0,57 % |
0,70 % |
JPM EUR Liquidity LVNAV Morgan (flex dist.) / A1J5DG / LU0836346428
|
0,00 % |
- |
- |
- |
- |
- |
JPM Euro Liquidity Reserves (flex dist.) / A1J5DJ / LU0836346857
|
0,00 % |
- |
- |
- |
- |
- |
JPM Euro Liquidity Agency (flex dist.) / A1J5DD / LU0836346006
|
0,00 % |
- |
- |
- |
- |
- |
JPM Euro Liquidity Premier (flex dist.) / A1J5DH / LU0836346774
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV X (T0 acc.) / A1J5DK / LU0836346931
|
0,00 % |
3,84 % |
7,14 % |
5,98 % |
0,55 % |
0,58 % |
JPM EUR Liquidity LVNAV Institutional (T0 acc.) / A1J5DF / LU0836346345
|
0,00 % |
3,65 % |
6,67 % |
5,35 % |
0,54 % |
0,56 % |
JPM Europe High Yield Bond C (dist) - EUR / A1J6XK / LU0846584216
|
0,00 % |
- |
- |
- |
- |
- |
Access Balanced Fund (EUR) A (acc) / A0YCRG / LU0449913812
|
0,00 % |
16,30 % |
12,48 % |
33,12 % |
9,29 % |
9,30 % |
Access Balanced Fund (EUR) B (acc) / A0YCRJ / LU0449914034
|
22,00 % |
16,61 % |
13,34 % |
34,81 % |
9,29 % |
9,30 % |
Access Balanced Fund (EUR) C (acc) / A0YCRL / LU0449914208
|
22,00 % |
17,04 % |
14,62 % |
37,35 % |
9,30 % |
9,31 % |
Access Capital Preservation Fund (EUR) A (acc) / A1C49P / LU0541676879
|
22,00 % |
8,01 % |
-1,48 % |
5,22 % |
6,63 % |
5,88 % |
Access Capital Preservation Fund (EUR) B (acc) / A1C49R / LU0541677174
|
22,00 % |
8,17 % |
-1,03 % |
6,01 % |
6,62 % |
5,88 % |
Access Capital Preservation Fund (EUR) C (acc) / A1C49T / LU0541677331
|
22,00 % |
8,48 % |
-0,20 % |
7,51 % |
6,63 % |
5,88 % |
Discretionary Fixed Income Government Fund A (acc) / A0LCNV / LU0269432729
|
22,00 % |
3,00 % |
4,74 % |
10,81 % |
1,79 % |
1,72 % |
Discretionary Fixed Income Government Fund A (inc) / A0X9YZ / LU0439923680
|
22,00 % |
- |
- |
- |
- |
- |
Discretionary Fixed Income Government Fund B (acc) / A0LCNW / LU0269433297
|
22,00 % |
3,25 % |
5,52 % |
12,19 % |
1,79 % |
1,71 % |
Discretionary Fixed Income Government Fund C (acc) / A0LCNX / LU0269433370
|
22,00 % |
3,77 % |
6,71 % |
14,14 % |
1,80 % |
1,72 % |
JPM US Aggregate Bond C (acc) - EUR hedged / A1J7GG / LU0849815831
|
22,00 % |
0,26 % |
-12,54 % |
-8,62 % |
6,93 % |
5,80 % |
JPM US Technology C (dist) - USD / A1J38G / LU0822049549
|
22,00 % |
35,39 % |
35,64 % |
171,94 % |
28,64 % |
26,56 % |
Access Balanced Fund (EUR) Inst (acc) / A0YCRN / LU0449914463
|
22,00 % |
17,15 % |
14,97 % |
37,98 % |
9,29 % |
9,30 % |
JPM Aggregate Bond C (acc) - USD / A0X8TG / LU0430493485
|
0,00 % |
9,15 % |
6,30 % |
12,85 % |
5,95 % |
6,40 % |
JPM Aggregate Bond C (acc) - EUR (hedged) / A0X8TH / LU0430493568
|
100,00 % |
1,89 % |
-7,80 % |
-2,73 % |
5,64 % |
4,83 % |
JPM Global Income A (dist) - EUR / A1J5UZ / LU0840466477
|
100,00 % |
6,22 % |
-2,05 % |
6,02 % |
9,35 % |
10,12 % |
JPM Emerging Markets Strategic Bond A (perf) (acc) - EUR H / A1JH1Q / LU0599213559
|
100,00 % |
2,19 % |
-6,63 % |
-6,35 % |
10,29 % |
11,15 % |
JPM Emerging Markets Strategic Bond A (perf) (acc) - USD / A1JH1P / LU0599213476
|
100,00 % |
9,59 % |
8,75 % |
10,13 % |
6,65 % |
8,47 % |
JPM Global Bond Opportunities A (acc) - USD / A1KA5L / LU0867954264
|
100,00 % |
9,09 % |
11,32 % |
17,55 % |
5,84 % |
6,35 % |
JPM Emerging Markets Dividend A (acc) - USD / A1J9HH / LU0862449427
|
100,00 % |
14,35 % |
6,83 % |
27,02 % |
12,37 % |
14,97 % |
JPM Emerging Markets Dividend A (acc) - EUR / A1J9HJ / LU0862449690
|
100,00 % |
14,52 % |
7,02 % |
26,82 % |
12,38 % |
14,99 % |
JPM Emerging Markets Strategic Bond C (perf) (acc) - USD / A1JH1S / LU0599213807
|
100,00 % |
10,25 % |
10,73 % |
13,37 % |
6,65 % |
8,45 % |
JPM Global High Yield Bond C (inc) - EUR (hedged) / A1J4KU / LU0821049680
|
0,00 % |
6,16 % |
11,19 % |
- |
5,42 % |
- |
JPM Emerging Markets Corporate Bond A (div) - EUR (hedged) / A1JQH4 / LU0714440665
|
100,00 % |
5,48 % |
-7,33 % |
-2,66 % |
8,75 % |
9,60 % |
JPM Emerging Markets Opportunities Fund A (dist) - EUR / A1JXDS / LU0776319500
|
100,00 % |
10,88 % |
-9,25 % |
-4,26 % |
14,24 % |
16,06 % |
JPM Europe Strategic Dividend C (inc) - EUR / A1J4KR / LU0821049334
|
100,00 % |
- |
- |
- |
- |
- |
JPM Diversified Risk Fund A (acc) - USD / A1KBPX / LU0875415688
|
100,00 % |
11,09 % |
36,66 % |
10,91 % |
11,00 % |
11,82 % |
JPM US High Yield Plus Bond X (acc) - USD / A1JUC6 / LU0749328786
|
0,00 % |
- |
- |
- |
- |
- |
JPM Aggregate Bond C (dist) - USD / A1KBYF / LU0876588301
|
0,00 % |
9,15 % |
6,29 % |
12,85 % |
5,95 % |
6,40 % |
JPM Emerging Markets Equity C (acc) - EUR / A1J36S / LU0822042536
|
100,00 % |
9,79 % |
-9,10 % |
4,16 % |
13,84 % |
16,18 % |
JPM Emerging Markets Opportunities Fund A (inc) - EUR / A1T6SM / LU0905187984
|
100,00 % |
33,39 % |
34,79 % |
- |
15,06 % |
- |
JPM Global Research Enhanced Index Equity Fund C acc EUR H / A1JQ8V / LU0719735499
|
100,00 % |
18,24 % |
24,60 % |
69,01 % |
14,59 % |
16,30 % |
JPM US Short Duration Bond Fund X (acc) - EUR (hedged) / A1T7FW / LU0909952862
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Dividend Alpha I (acc) - EUR / A1JU8U / LU0893209337
|
0,00 % |
-0,60 % |
2,71 % |
- |
2,59 % |
- |
JPM Europe Dividend Alpha X (dist) - EUR / A1JLNE / LU0893210269
|
0,00 % |
- |
- |
- |
- |
- |
JPM Japan Strategic Value A (acc) - EUR (hedged) / A0M60R / LU0329204977
|
100,00 % |
28,11 % |
74,86 % |
104,29 % |
10,95 % |
15,08 % |
JPM Emerging Markets Opportunities Fund A (dist) - USD / A1JXDT / LU0776316233
|
100,00 % |
10,71 % |
-9,43 % |
-4,16 % |
14,26 % |
16,09 % |
JPM Global Macro A (acc) - EUR (hedged) / A1T8PV / LU0917670407
|
100,00 % |
5,46 % |
-3,40 % |
3,61 % |
5,16 % |
4,34 % |
JPM Global Macro D (acc) - EUR (hedged) / A1T8P0 / LU0917670829
|
100,00 % |
4,99 % |
-4,71 % |
1,30 % |
5,16 % |
4,34 % |
JPM Emerging Markets Dividend A (div) - EUR / A1J9HL / LU0862449856
|
100,00 % |
14,53 % |
7,01 % |
26,80 % |
12,37 % |
14,99 % |
JPM Emerging Markets Debt I (acc) - EUR (hedged) / A0JLUJ / LU0248063249
|
100,00 % |
5,48 % |
-10,22 % |
-10,48 % |
12,03 % |
13,43 % |
JPM Global Income A (acc) - EUR / A1JTF5 / LU0740858229
|
100,00 % |
6,20 % |
-2,05 % |
6,02 % |
9,35 % |
10,12 % |
JPM Global Short Duration Bond C (dist) - EUR (hedged) / A1WZ98 / LU0942573527
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Short Duration Bond C (dist) - USD / A1WZ99 / LU0942649368
|
0,00 % |
11,09 % |
17,38 % |
18,42 % |
6,65 % |
6,84 % |
JPM US Research Enhanced Index Equity C (acc) EUR hed / A1H68Z / LU0590395470
|
0,00 % |
38,08 % |
52,51 % |
102,33 % |
19,29 % |
15,67 % |
JPM Global Healthcare C (dist) - USD / A1W0PH / LU0945067352
|
0,00 % |
5,05 % |
3,75 % |
37,03 % |
13,05 % |
13,62 % |
JPM Emerging Markets Strategic Bond A (perf) (dist) - EUR H / A1W2PY / LU0953163366
|
100,00 % |
2,16 % |
-6,69 % |
-6,48 % |
10,28 % |
11,14 % |
JPM Income Opportunity A (perf) (acc) - CHF (hedged) / A1JD3S / LU0661553403
|
100,00 % |
2,68 % |
10,82 % |
14,56 % |
5,06 % |
4,81 % |
JPM Global Macro C (acc) - EUR (hedged) / A1T8PZ / LU0917670746
|
100,00 % |
6,20 % |
-1,36 % |
7,30 % |
5,17 % |
4,35 % |
JPM Income Opportunity Plus A (perf) (acc) - SEK (hedged) / A1JLAV / LU0683732043
|
100,00 % |
-5,00 % |
-1,51 % |
-8,15 % |
5,20 % |
4,86 % |
JPM Euro Aggregate Bond A (dist) - EUR / A1W3MR / LU0955580385
|
100,00 % |
2,44 % |
-9,43 % |
-7,59 % |
6,85 % |
5,96 % |
JPM US High Yield Plus Bond A (div) - EUR (hedged) / A1JUCZ / LU0749327978
|
100,00 % |
7,54 % |
1,45 % |
10,68 % |
8,70 % |
8,69 % |
JPM Asia Growth D (acc) - USD / A0ETTU / LU0169519195
|
100,00 % |
13,64 % |
-11,72 % |
3,00 % |
16,69 % |
16,99 % |
JPM Euro Short Duration Bond Fund C (dist) - USD (hedged) / A1W4HH / LU0965086035
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Macro D (acc) - SEK (hedged) / A1T8P4 / LU0917671470
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Corporate Bond C (dist) - EUR (hedged) / A1T7BF / LU0908067001
|
0,00 % |
6,11 % |
-5,71 % |
0,18 % |
8,76 % |
9,61 % |
JPM Global Balanced A (acc) - USD (hedged) / A1W3P2 / LU0957039414
|
100,00 % |
15,16 % |
13,08 % |
31,84 % |
8,42 % |
8,93 % |
JPM Income Opportunity C (perf) (inc) - EUR (hedged) / A1WZUW / LU0940672438
|
100,00 % |
2,20 % |
3,88 % |
- |
2,72 % |
- |
JPM Emerging Markets Dividend C (dist) - EUR / A1J9HR / LU0862450193
|
100,00 % |
15,50 % |
9,79 % |
32,43 % |
12,38 % |
15,00 % |
JPM Japan Strategic Value A (acc) - USD (hedged) / A0M60M / LU0329204464
|
22,00 % |
37,59 % |
89,07 % |
115,82 % |
13,33 % |
16,33 % |
JPM Aggregate Bond A (dist) - EUR (hedged) / A1W3MS / LU0955580468
|
100,00 % |
1,48 % |
-8,89 % |
-4,65 % |
5,64 % |
4,83 % |
JPM Global Balanced A (dist) - USD (hedged) / A1W3P3 / LU0957039505
|
100,00 % |
6,64 % |
11,83 % |
34,15 % |
7,75 % |
8,64 % |
JPM Europe Dynamic A (acc) - USD / A1W3MQ / LU0955580203
|
100,00 % |
8,40 % |
14,82 % |
37,91 % |
13,35 % |
17,34 % |
JPM Europe Dynamic A (inc) - EUR / A0ML1B / LU0289337205
|
100,00 % |
16,36 % |
24,78 % |
- |
12,27 % |
- |
JPM Euro Aggregate Bond C (acc) - EUR / A0X8S9 / LU0430492750
|
100,00 % |
2,85 % |
-8,31 % |
-5,69 % |
6,86 % |
5,96 % |
JPM Euro Aggregate Bond C (dist) - EUR / A1W301 / LU0958694167
|
0,00 % |
- |
- |
- |
- |
- |
JPM Total Emerging Markets Income A (acc) - USD / A1W6DV / LU0972618572
|
100,00 % |
11,60 % |
8,75 % |
20,83 % |
8,46 % |
10,98 % |
JPM Total Emerging Markets Income A (acc) - EUR / A1W5M6 / LU0972618655
|
100,00 % |
11,78 % |
8,97 % |
20,66 % |
8,48 % |
11,00 % |
JPM Total Emerging Markets Income A (dist) - EUR / A1W5Y6 / LU0974360454
|
100,00 % |
11,76 % |
8,93 % |
20,59 % |
8,49 % |
11,01 % |
JPM Global Allocation A (acc) - EUR / A1W5VN / LU0974380726
|
100,00 % |
8,31 % |
12,52 % |
- |
7,09 % |
- |
JPM Aggregate Bond C (inc) - EUR (hedged) / A1W302 / LU0958694324
|
0,00 % |
-0,10 % |
5,55 % |
- |
2,77 % |
- |
JPMorgan Funds - EUR Money Market VNAV Fund C (acc) - EUR / A0JML1 / LU0252500284
|
0,00 % |
3,66 % |
6,54 % |
5,19 % |
0,53 % |
0,56 % |
JPM Euro Aggregate Bond D (acc) - EUR / A0X8TA / LU0430492834
|
100,00 % |
2,08 % |
-10,37 % |
-9,18 % |
6,85 % |
5,96 % |
JPM Emerging Markets Corporate Bond I (dist) - CHF (hedged) / A1W8JJ / LU0994474517
|
100,00 % |
5,34 % |
0,76 % |
11,56 % |
9,71 % |
10,02 % |
JPM Euroland Equity A (acc) - GBP (hedged) / A1W60M / LU0979766606
|
100,00 % |
- |
- |
- |
- |
- |
JPM Euroland Equity A (acc) - USD (hedged) / A1W60L / LU0979766432
|
100,00 % |
17,44 % |
38,52 % |
59,77 % |
13,99 % |
18,29 % |
JPM Euroland Equity A (acc) - CHF (hedged) / A1W60K / LU0979766515
|
100,00 % |
8,98 % |
28,03 % |
54,68 % |
14,78 % |
18,31 % |
JPMorgan Euro Money Market Fund A (acc) - EUR / A0RPEF / LU0432977246
|
100,00 % |
-0,19 % |
- |
- |
- |
- |
JPM Emerging Markets Investment Grade Bond X (acc) - EUR he. / A1JT35 / LU0747349875
|
100,00 % |
- |
- |
- |
- |
- |
JPM Global High Yield Bond A (dist) - USD / A1J08T / LU0804487329
|
22,00 % |
15,02 % |
17,71 % |
25,03 % |
7,66 % |
8,36 % |
JPM Global Strategic Bond Fund A (perf) (dist) - EUR H / A1XAAX / LU1004473630
|
100,00 % |
3,79 % |
1,78 % |
4,33 % |
4,41 % |
4,01 % |
JPM Emerging Markets Investment Grade Bond X (inc) - EUR he. / A1XBGV / LU1011660310
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Dividend X (dist) - EUR / A1XA9Y / LU1009585974
|
0,00 % |
16,42 % |
12,45 % |
37,72 % |
12,39 % |
15,01 % |
JPM Global High Yield Bond C (dist) - USD / A1JYMX / LU0783540387
|
0,00 % |
15,64 % |
19,59 % |
28,42 % |
7,67 % |
8,37 % |
JPM Emerging Markets Local Currency Debt C (dis) - EUR / A1JV2G / LU0765280127
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Equity Absolute Alpha A (perf) (acc) - EUR / A1W91L / LU1001747408
|
100,00 % |
18,28 % |
30,24 % |
44,14 % |
6,20 % |
5,94 % |
JPM Japan Equity A (acc) - EUR (hedged) / A1T93J / LU0927678416
|
100,00 % |
30,08 % |
27,32 % |
75,36 % |
18,01 % |
17,51 % |
JPM Global Income A (div) - USD (hedged) / A1JR3F / LU0726765562
|
100,00 % |
13,81 % |
13,70 % |
23,99 % |
7,92 % |
9,26 % |
JPM Income Opportunity Plus C (perf) (acc) - USD / A1JLAN / LU0683729171
|
0,00 % |
-11,55 % |
- |
- |
- |
- |
JPM Global Corporate Bond X (acc) - EUR (hedged) / A1J72C / LU0854410783
|
0,00 % |
3,27 % |
-8,08 % |
-1,28 % |
7,92 % |
7,47 % |
JPM Emerging Markets Opportunities Fund X (acc) - EUR / A1KC6J / LU0891473950
|
0,00 % |
12,73 % |
-4,67 % |
3,90 % |
14,26 % |
16,08 % |
JPM Global Allocation A (inc) - EUR / A1XDQ0 / LU1029713887
|
100,00 % |
- |
- |
- |
- |
- |
JPM Indonesia Equity C (acc) - USD / A1JULD / LU0752404730
|
0,00 % |
-26,37 % |
-21,16 % |
-6,66 % |
24,37 % |
23,02 % |
JPM Global Absolute Return Bond A (dist) - EUR (hedged) / A1XETF / LU1039370512
|
100,00 % |
-3,64 % |
-7,01 % |
-7,72 % |
1,68 % |
1,47 % |
JPM Income Opportunity Plus A (perf) (dist) - EUR (hedged) / A1JLAT / LU0683731151
|
100,00 % |
0,04 % |
4,57 % |
- |
3,02 % |
- |
JPM Global Bond Opportunities A (dist) - EUR (hedged) / A1XETG / LU1039371676
|
100,00 % |
1,83 % |
-3,69 % |
0,87 % |
6,28 % |
6,14 % |
JPM US Equity All Cap A (acc) - USD / A1XEBM / LU1033933612
|
100,00 % |
27,87 % |
36,88 % |
93,26 % |
15,54 % |
17,14 % |
JPM US Equity All Cap A (acc) - EUR / A1XEBN / LU1033933703
|
100,00 % |
28,05 % |
37,10 % |
92,44 % |
15,91 % |
17,33 % |
JPM US Equity All Cap C (acc) - USD / A1XEBU / LU1033934347
|
0,00 % |
29,04 % |
40,63 % |
101,84 % |
15,54 % |
17,15 % |
JPM US Equity All Cap C (acc) - EUR / A1XEBV / LU1033934693
|
0,00 % |
29,22 % |
40,80 % |
101,38 % |
15,92 % |
17,34 % |
JPM Emerging Markets Investment Grade Bond I (dis) - EUR he. / A1C9QZ / LU0562247261
|
100,00 % |
1,32 % |
-13,57 % |
-8,97 % |
9,06 % |
8,59 % |
JPM Emerging Markets Corporate Bond X (dist) - EUR (hedged) / A111E8 / LU1055431586
|
0,00 % |
- |
- |
- |
- |
- |
JPM Asia Pacific Equity D (acc) - EUR / A0X9QE / LU0441856365
|
22,00 % |
-3,15 % |
-17,98 % |
22,08 % |
13,42 % |
15,59 % |
JPM Emerging Markets Corporate Bond A acc - USD Duration hdg / A1W29W / LU0956099021
|
100,00 % |
1,58 % |
4,48 % |
- |
7,63 % |
- |
JPM Emerging Markets Corporate Bond C acc - USD Duration hdg / A1W29X / LU0956099377
|
0,00 % |
2,18 % |
6,37 % |
- |
7,63 % |
- |
JPM Global Corporate Bond A (div) - EUR (hedged) / A1JT9T / LU0748140935
|
22,00 % |
2,15 % |
-13,57 % |
-2,00 % |
7,60 % |
7,36 % |
JPM Asia Pacific Equity D (acc) - USD / A0X9P8 / LU0441854741
|
100,00 % |
14,53 % |
3,66 % |
19,04 % |
14,07 % |
15,60 % |
JPM Systematic Alpha A (acc) - USD (hedged) / A1W175 / LU0952565892
|
100,00 % |
-12,26 % |
-16,44 % |
-24,53 % |
9,72 % |
8,87 % |
JPM Income Fund A (div) - USD / A1XE97 / LU1041599660
|
100,00 % |
11,76 % |
10,91 % |
14,13 % |
6,09 % |
7,52 % |
JPM USD Money Market VNAV A (acc) - USD / A1XFB2 / LU0945454980
|
100,00 % |
10,65 % |
21,23 % |
19,91 % |
7,34 % |
7,29 % |
JPMorgan US Dollar Money Market Fund A (acc) - USD / A1XFB3 / LU1005103913
|
100,00 % |
1,04 % |
- |
- |
- |
- |
JPM Income Fund A (div) - EUR (hedged) / A1XE98 / LU1041599744
|
100,00 % |
4,38 % |
-3,94 % |
-1,96 % |
5,35 % |
6,65 % |
JPM Global Government Short Duration Bond C (acc) CHF hedged / A11581 / LU1077620190
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Government Short Duration Bond A (acc) CHF hedged / A1158Z / LU1077619853
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Dividend A (dist) - EUR / A1J9HK / LU0862449773
|
100,00 % |
14,52 % |
7,01 % |
26,80 % |
12,37 % |
14,99 % |
Access Capital Preservation Fund (EUR) C (inc) / A1C49U / LU0541677687
|
22,00 % |
- |
- |
- |
- |
- |
JPM Euroland Dynamic C (perf) (dist) - EUR / A1JKMZ / LU0679190412
|
100,00 % |
12,06 % |
21,32 % |
53,65 % |
15,66 % |
19,43 % |
JPM Global Income A (div) - CHF (hedged) / A1J3TE / LU0826331976
|
100,00 % |
5,44 % |
4,49 % |
17,77 % |
10,03 % |
10,34 % |
JPM Europe Equity Absolute Alpha C (perf) (acc) - EUR / A1W91T / LU1001748398
|
100,00 % |
18,92 % |
33,25 % |
49,51 % |
6,06 % |
5,70 % |
JPM Emerging Markets Debt C (dist) - EUR (hedged) / A1W11Z / LU0951368009
|
100,00 % |
5,41 % |
-10,35 % |
-10,67 % |
12,04 % |
13,43 % |
JPM EU Government Bond A (dist) - EUR / A1W3MU / LU0955580625
|
100,00 % |
1,75 % |
-12,07 % |
-9,61 % |
7,46 % |
6,33 % |
JPM Systematic Alpha C (acc) - USD (hedged) / A1J2U7 / LU0817741886
|
0,00 % |
-11,60 % |
-14,37 % |
-21,32 % |
9,73 % |
8,88 % |
JPM Income Opportunity C (perf) (acc) - CHF (hedged) / A116DS / LU1084486106
|
0,00 % |
3,20 % |
12,50 % |
17,46 % |
5,05 % |
4,82 % |
JPM Europe Equity Absolute Alpha A perf (acc) - USD (hedged) / A12BMM / LU1112015109
|
100,00 % |
26,51 % |
49,07 % |
65,71 % |
11,89 % |
11,08 % |
JPM Global Income C (mth) - USD (hedged) / A12AP6 / LU0831376149
|
0,00 % |
-1,73 % |
0,76 % |
10,74 % |
8,02 % |
9,24 % |
Discretionary Fixed Income Government Fund C (inc) / A1JQ5B / LU0719358334
|
0,00 % |
3,55 % |
- |
- |
- |
- |
JPM Global Healthcare C (acc) - EUR / A1XFZB / LU1048171810
|
100,00 % |
5,22 % |
3,96 % |
36,85 % |
13,28 % |
13,77 % |
JPM Global Strategic Bond Fund I (acc) - EUR (hedged) / A12HF7 / LU1162086109
|
100,00 % |
4,14 % |
2,86 % |
6,48 % |
4,41 % |
4,04 % |
JPM US Aggregate Bond C (dist) - USD / A12C8Z / LU1120565483
|
0,00 % |
7,45 % |
1,08 % |
6,34 % |
6,12 % |
6,59 % |
JPM Global Bond Opportunities A (acc) - EUR (hedged) / A1KC0A / LU0890597635
|
100,00 % |
1,84 % |
-3,69 % |
0,88 % |
6,30 % |
6,14 % |
JPM Emerging Markets Local Currency Debt C (acc) - EUR H / A1J01L / LU0804756087
|
0,00 % |
-4,36 % |
-5,36 % |
-11,58 % |
11,22 % |
12,05 % |
JPM Aggregate Bond D (acc) - USD / A0X8TJ / LU0430493642
|
22,00 % |
1,41 % |
2,72 % |
9,77 % |
6,31 % |
6,58 % |
Discretionary Fixed Income Government Fund C inc GBP H / A12GTM / LU1156316249
|
22,00 % |
- |
- |
- |
- |
- |
Discretionary Fixed Income Government Fund C inc USD H / A12GTN / LU1156316322
|
22,00 % |
- |
- |
- |
- |
- |
Discretionary Fixed Income Government Fund C acc USD H / A12GTL / LU1156316165
|
22,00 % |
0,28 % |
- |
- |
- |
- |
Discretionary Fixed Income Government Fund B acc USD H / A12GTG / LU1156315787
|
22,00 % |
- |
- |
- |
- |
- |
Discretionary Fixed Income Government Fund A acc USD H / A12GTC / LU1156315357
|
22,00 % |
-0,17 % |
- |
- |
- |
- |
JPM Global Income A (acc) - USD (hedged) / A1JV55 / LU0762807625
|
100,00 % |
13,79 % |
13,64 % |
23,91 % |
7,92 % |
9,27 % |
JPM Global Income A (div) - SGD / A1J0F9 / LU0795875086
|
22,00 % |
1,97 % |
-3,60 % |
6,12 % |
9,00 % |
9,98 % |
JPM Global Income A (div) - SGD (hedged) / A1J0GA / LU0795875169
|
22,00 % |
0,45 % |
11,06 % |
20,64 % |
9,55 % |
10,96 % |
JPM Global Income A (mth) - USD (hedged) / A14WCU / LU0815074496
|
22,00 % |
-2,40 % |
-1,27 % |
7,08 % |
8,01 % |
9,24 % |
JPM Global Income A (acc) - CHF (hedged) / A1J3TD / LU0826331620
|
100,00 % |
5,43 % |
4,55 % |
17,88 % |
10,04 % |
10,35 % |
JPM Global Income A (mth) - SGD (hedged) / A1T7V7 / LU0912757837
|
22,00 % |
-5,20 % |
-3,86 % |
4,47 % |
9,52 % |
10,97 % |
JPM Diversified Risk Fund A (acc) - EUR (hedged) / A1KBPY / LU0875415845
|
22,00 % |
3,82 % |
19,77 % |
-3,26 % |
6,70 % |
8,17 % |
JPM Managed Reserves Fund I (acc) - EUR (hedged) / A1CZUY / LU0513030329
|
0,00 % |
- |
- |
- |
- |
- |
JPM Managed Reserves Fund I (acc) - GBP (hedged) / A1CZUZ / LU0513030675
|
0,00 % |
9,74 % |
13,21 % |
13,88 % |
4,33 % |
5,15 % |
JPM Global Income A (acc) - AUD (hedged) / A110PH / LU1048319237
|
100,00 % |
3,53 % |
-5,11 % |
4,19 % |
13,63 % |
15,98 % |
JPM Global High Yield Bond A (acc) - AUD hedged / A110PG / LU1048319153
|
100,00 % |
4,84 % |
-1,22 % |
5,70 % |
12,31 % |
14,20 % |
JPM Emerging Markets Opportunities Fund A (dist) - GBP / A1JXDP / LU0776330572
|
22,00 % |
-2,06 % |
-26,02 % |
3,21 % |
14,22 % |
16,79 % |
JPM Emerging Markets Opportunities Fund A (acc) - CHF hedged / A1KACT / LU0866311722
|
100,00 % |
-0,83 % |
-31,03 % |
2,00 % |
17,98 % |
19,29 % |
JPM Emerging Markets Opportunities Fund A (acc) - SGD / A1KAP9 / LU0868484659
|
22,00 % |
-2,09 % |
-26,03 % |
2,90 % |
14,01 % |
16,36 % |
JPM Emerging Markets Opportunities Fund A (acc) - SGD hedged / A1KAQA / LU0868486357
|
22,00 % |
-5,09 % |
-28,97 % |
-1,43 % |
17,63 % |
19,87 % |
JPM Europe Dynamic A (acc) - AUD (hedged) / A1W7NM / LU0987225991
|
22,00 % |
-0,79 % |
17,60 % |
41,06 % |
17,27 % |
22,55 % |
JPM Europe Dynamic A (acc) - HKD (hedged) / A1W7NN / LU0987226023
|
22,00 % |
6,18 % |
38,88 % |
65,27 % |
12,71 % |
16,33 % |
JPM Europe Dynamic A (acc) - USD (hedged) / A1W7NP / LU0987226296
|
22,00 % |
6,94 % |
42,84 % |
68,66 % |
12,86 % |
16,45 % |
JPM Europe Dynamic A (acc) - SGD (hedged) / A113EF / LU1064927863
|
22,00 % |
3,92 % |
38,93 % |
61,02 % |
14,03 % |
18,24 % |
JPM Europe Equity Plus A (perf) (acc) - USD (hedged) / A1W96P / LU0994472909
|
22,00 % |
23,35 % |
44,68 % |
66,92 % |
12,43 % |
16,60 % |
JPM Global High Yield Bond A (acc) - CHF hedged / A1J3TF / LU0826332198
|
22,00 % |
6,52 % |
8,49 % |
19,07 % |
8,97 % |
8,99 % |
JPM Global High Yield Bond A (mth) - SGD / A1J73L / LU0854403655
|
22,00 % |
14,53 % |
17,13 % |
24,25 % |
7,76 % |
9,00 % |
JPM Global High Yield Bond A (acc) - HUF hedged / A117TV / LU1086856207
|
22,00 % |
3,81 % |
14,06 % |
10,07 % |
11,67 % |
13,40 % |
JPM Global High Yield Bond A (irc) - AUD hedged / A2ALH6 / LU0893966621
|
22,00 % |
4,29 % |
-7,67 % |
-4,75 % |
12,36 % |
14,26 % |
JPM Global High Yield Bond A (irc) - NZD hedged / A2ALH7 / LU0893966894
|
22,00 % |
-3,30 % |
-17,61 % |
-9,27 % |
12,82 % |
13,81 % |
JPM Global High Yield Bond A (irc) - CAD hedged / A2ALH8 / LU0893966977
|
22,00 % |
5,43 % |
-4,19 % |
-1,72 % |
10,11 % |
11,67 % |
JPM US Select Equity Plus A (acc) - EUR / A0MNVH / LU0281483569
|
100,00 % |
34,16 % |
49,83 % |
123,47 % |
15,57 % |
16,48 % |
JPM Global Income I (acc) - EUR / A12BXH / LU1111988298
|
0,00 % |
6,95 % |
-0,04 % |
9,65 % |
9,36 % |
10,12 % |
JPM Global Research Enhanced Index Equity Fund I acc EUR H / A1W5X2 / LU0974148156
|
0,00 % |
18,29 % |
24,71 % |
69,31 % |
14,60 % |
16,30 % |
JPM Global Strategic Bond Fund C (acc) - EUR (hedged) / A14PAC / LU1193799209
|
100,00 % |
4,11 % |
2,74 % |
6,27 % |
4,42 % |
4,04 % |
JPM Global High Yield Bond A (irc) - RMB (hedged) / A2ALH9 / LU1010890371
|
100,00 % |
- |
- |
- |
- |
- |
JPM Global Capital Structure Opportunities A (acc) - EUR / A12GR7 / LU1156181643
|
100,00 % |
- |
- |
- |
- |
- |
JPM Europe Equity Absolute Alpha A perf (acc) - CHF (hedged) / A1W91P / LU1001747747
|
100,00 % |
17,70 % |
39,75 % |
61,33 % |
6,79 % |
6,86 % |
JPM Global Bond Opportunities C (acc) - USD / A1KA5N / LU0867954421
|
100,00 % |
9,68 % |
13,14 % |
20,78 % |
5,84 % |
6,35 % |
JPM Global Bond Opportunities C (acc) - EUR (hedged) / A1KC0C / LU0890597809
|
100,00 % |
2,40 % |
-2,09 % |
3,66 % |
6,29 % |
6,14 % |
JPM Systematic Alpha A (acc) - CHF (hedged) / A1W2SY / LU0953616686
|
22,00 % |
- |
- |
- |
5,41 % |
- |
JPM US Value A (acc) - EUR / A14QYQ / LU1211166183
|
100,00 % |
18,49 % |
30,21 % |
57,93 % |
13,22 % |
16,56 % |
JPM Emerging Markets Strategic Bond C (inc) - USD / A14RFY / LU1216651668
|
0,00 % |
0,43 % |
- |
- |
- |
- |
JPM Emerging Markets Opportunities Fund C (dist) - USD / A1J6XL / LU0846584562
|
100,00 % |
11,65 % |
-7,25 % |
-0,37 % |
14,27 % |
16,11 % |
JPM Global Healthcare A (acc) - EUR / A1CWHW / LU0880062913
|
100,00 % |
4,49 % |
1,80 % |
32,09 % |
13,27 % |
13,76 % |
JPM Europe Equity Absolute Alpha A (perf) (dist) - EUR / A14N93 / LU1176912175
|
100,00 % |
18,39 % |
30,44 % |
44,30 % |
6,11 % |
5,89 % |
JPM Europe Equity Absolute Alpha A (perf) (acc) - USD / A14N92 / LU1176911797
|
100,00 % |
18,07 % |
30,37 % |
44,74 % |
6,41 % |
6,04 % |
JPM Europe Equity Absolute Alpha D (perf) (acc) - EUR / A14N97 / LU1176912761
|
100,00 % |
6,87 % |
28,31 % |
26,24 % |
6,13 % |
6,04 % |
JPM Global Income D (acc) - EUR / A1JTF6 / LU0740858492
|
100,00 % |
1,59 % |
-4,22 % |
4,64 % |
9,12 % |
9,98 % |
JPM US High Yield Plus Bond A (acc) - EUR (hedged) / A1JUCP / LU0749326814
|
100,00 % |
7,57 % |
1,47 % |
10,70 % |
8,71 % |
8,69 % |
JPM Emerging Markets Strategic Bond A (inc) - USD / A14RFW / LU1216650934
|
100,00 % |
-0,03 % |
- |
- |
- |
- |
JPM Euroland Dynamic A (perf) (dist) - EUR / A1JKMV / LU0679189919
|
100,00 % |
11,33 % |
19,13 % |
48,80 % |
15,72 % |
19,45 % |
JPM Emerging Markets Strategic Bond A (dist) - EUR Hedged / A14RFV / LU1216650850
|
100,00 % |
1,87 % |
-7,53 % |
-7,46 % |
10,28 % |
11,21 % |
JPM US Dollar Current Yield Liquidity Agency (dist) / A14RAG / LU1216090370
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Dollar Current Yield Liquidity Institutional (dist) / A14RAF / LU1216090024
|
0,00 % |
- |
- |
- |
- |
- |
JPM Total Emerging Markets Income C (acc) - EUR / A1W5RR / LU0973367849
|
100,00 % |
12,61 % |
11,44 % |
25,22 % |
8,49 % |
11,01 % |
JPM Global Corporate Bond C (dist) - EUR (hedged) / A1JWXN / LU0773641450
|
0,00 % |
2,79 % |
-9,31 % |
-3,47 % |
7,92 % |
7,47 % |
JPM US Smaller Companies C (acc) - USD / A1T7V6 / LU0912749735
|
0,00 % |
15,32 % |
15,15 % |
44,08 % |
19,18 % |
20,31 % |
JPM Global Capital Structure Opportunities C (acc) - EUR / A12GSA / LU1156186360
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Macro A (dist) - EUR (hedged) / A1T8PX / LU0917671553
|
100,00 % |
5,46 % |
-3,42 % |
3,61 % |
5,16 % |
4,34 % |
JPM Russia D (acc) - EUR / A1XCG7 / LU1021348930
|
100,00 % |
- |
- |
- |
- |
- |
JPM Euroland Dynamic C (perf) (acc) - EUR / A1JEJ5 / LU0661986264
|
100,00 % |
12,07 % |
21,53 % |
53,93 % |
15,68 % |
19,43 % |
JPM Global Merger Arbitrage C (acc) - USD / A1JHYN / LU0599212825
|
0,00 % |
-4,03 % |
16,19 % |
- |
8,74 % |
- |
JPM Global Convertibles (EUR) I (dist) - EUR / A1W5WJ / LU0973523722
|
0,00 % |
2,09 % |
-23,15 % |
-0,22 % |
13,56 % |
14,17 % |
JPM Global Income A (irc) - AUD (hedged) / A14RTM / LU0898699433
|
0,00 % |
2,96 % |
-5,61 % |
3,75 % |
13,60 % |
15,97 % |
JPM Systematic Alpha C (acc) - CHF (hedged) / A1W2S0 / LU0953617494
|
0,00 % |
-6,71 % |
-15,08 % |
-25,36 % |
7,67 % |
6,86 % |
JPM Global Corporate Bond I (acc) - CHF (hedged) / A1T64Y / LU0906985162
|
0,00 % |
1,97 % |
-3,71 % |
6,73 % |
9,45 % |
8,84 % |
JPM Global Corporate Bond I (acc) - EUR (hedged) / A1W5XD / LU0973524456
|
0,00 % |
2,85 % |
-9,21 % |
-3,29 % |
7,91 % |
7,46 % |
JPM Global Corporate Bond I (acc) - EURH - Duration (hedged) / A1W300 / LU0958693946
|
0,00 % |
3,69 % |
2,33 % |
- |
2,98 % |
- |
JPM Aggregate Bond I (acc) - EUR (hedged) / A1W303 / LU0958694670
|
0,00 % |
1,94 % |
-7,67 % |
-2,53 % |
5,64 % |
4,83 % |
JPM Aggregate Bond I (acc) - USD / A0X8TL / LU0430493998
|
0,00 % |
9,19 % |
6,42 % |
13,07 % |
5,96 % |
6,40 % |
JPM Aggregate Bond I (dist) - EUR (hedged) / A1W5XZ / LU0974147935
|
0,00 % |
1,92 % |
- |
- |
- |
- |
JPM Aggregate Bond I (dist) - GBP (hedged) / A1W5X7 / LU0974148669
|
0,00 % |
- |
- |
- |
- |
- |
JPM Aggregate Bond I (dist) - USD / A1W5X8 / LU0974148826
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Corporate Bond I (acc) - USD - Duration (hedged) / A1H96R / LU0621514040
|
0,00 % |
-0,44 % |
20,66 % |
- |
8,71 % |
- |
JPM America Equity I (acc) - USD / A0JKPX / LU0248041781
|
0,00 % |
32,91 % |
53,79 % |
124,72 % |
15,67 % |
17,43 % |
JPM Global Corporate Bond I (dist) - GBP (hedged) / A1W5XF / LU0973524290
|
0,00 % |
- |
- |
- |
- |
- |
JPM America Equity I (dist) - USD / A1XBKF / LU1012213770
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Corporate Bond I (dist) - USD / A1W5XV / LU0973524704
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Short Duration Bond I (acc) - EUR (hedged) / A1W5XG / LU0973526071
|
0,00 % |
3,84 % |
2,38 % |
2,77 % |
1,88 % |
1,83 % |
JPM Global Short Duration Bond I (acc) - USD / A0X8T1 / LU0430495696
|
0,00 % |
11,13 % |
17,52 % |
18,65 % |
6,65 % |
6,84 % |
JPM Global Short Duration Bond I (dist) - EUR (hedged) / A1W5YA / LU0974149048
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Short Duration Bond I (dist) - GBP (hedged) / A1W5XJ / LU0973526154
|
0,00 % |
9,97 % |
9,77 % |
11,53 % |
5,07 % |
5,71 % |
JPM Global Short Duration Bond I (dist) - USD / A1W5YB / LU0974149121
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Strategic Bond Fund I (perf) (acc) - CHF H / A1W5X0 / LU0974148073
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Strategic Bond Fund I (perf) (acc) - EUR H / A1W5XN / LU0973526311
|
0,00 % |
4,40 % |
3,63 % |
7,23 % |
4,42 % |
4,00 % |
JPM Global Strategic Bond Fund I (perf) (acc) - USD / A1CZD2 / LU0514680239
|
0,00 % |
11,79 % |
19,37 % |
24,25 % |
6,10 % |
6,24 % |
JPM Global Strategic Bond Fund I (perf) (dist) - GBP H / A1W5X3 / LU0974148230
|
0,00 % |
10,51 % |
11,04 % |
16,11 % |
6,86 % |
7,05 % |
JPM Emerging Markets Opportunities Fund I (acc) - EUR / A1J0V2 / LU0802113760
|
0,00 % |
11,87 % |
-6,98 % |
-0,35 % |
14,25 % |
16,07 % |
JPM Global Strategic Bond Fund I (perf) (dist) - USD / A1W6CH / LU0976728732
|
0,00 % |
- |
- |
- |
- |
- |
JPM EU Government Bond I (acc) - EUR / A0NH52 / LU0355584201
|
0,00 % |
1,99 % |
-11,43 % |
-8,51 % |
7,46 % |
6,34 % |
JPM Europe Dynamic I (acc) - USD (hedged) / A12EAW / LU1132229482
|
0,00 % |
16,04 % |
34,16 % |
62,60 % |
12,40 % |
16,34 % |
JPM Income Opportunity I (perf) (acc) - CHF (hedged) / A1W5X1 / LU0974149477
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Dynamic I (acc) - USD / A1XBKE / LU1012213424
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Dynamic I (dist) - EUR / A1W5WB / LU0973523300
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Dynamic I (dist) - GBP / A1W8V1 / LU0995867370
|
0,00 % |
- |
- |
- |
- |
- |
JPM Income Opportunity I (perf) (acc) - EUR (hedged) / A0MNYC / LU0289473133
|
0,00 % |
4,06 % |
5,64 % |
6,05 % |
0,89 % |
2,18 % |
JPM Europe Dynamic Small Cap C (perf) (acc) - EUR / A1W67P / LU0985327575
|
0,00 % |
9,17 % |
-15,14 % |
10,90 % |
18,81 % |
22,14 % |
JPM Europe Dynamic Small Cap I (perf) (acc) - EUR / A12FCZ / LU1140852192
|
0,00 % |
9,12 % |
-15,11 % |
11,01 % |
18,80 % |
22,14 % |
JPM Income Opportunity I (perf) (dist) - GBP (hedged) / A1W5W5 / LU0973650087
|
0,00 % |
10,10 % |
13,36 % |
14,38 % |
4,28 % |
5,91 % |
JPM Income Opportunity I (perf) (dist) - USD / A1W6CJ / LU0976728815
|
0,00 % |
- |
- |
- |
- |
- |
JPM Income Opportunity I (perf) (dist) - EUR (hedged) / A0MNYD / LU0289735515
|
100,00 % |
4,08 % |
5,71 % |
6,12 % |
0,90 % |
2,18 % |
JPM Income Opportunity Plus I (perf) (acc) - EUR (hedged) / A1JLBA / LU0683738677
|
0,00 % |
- |
- |
- |
- |
- |
JPM Income Opportunity Plus I (perf) (acc) - USD / A1JLAQ / LU0683729924
|
0,00 % |
-11,55 % |
1,57 % |
- |
7,81 % |
- |
JPM Europe Select Equity I (acc) - USD (hedged) / A12HJ1 / LU1163236992
|
0,00 % |
9,60 % |
28,12 % |
55,04 % |
12,49 % |
15,31 % |
JPM Europe Select Equity I (acc) - USD / A1W5XW / LU0974149394
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Select Equity I (dist) - EUR / A1W5WX / LU0973649402
|
0,00 % |
3,32 % |
12,62 % |
36,76 % |
14,37 % |
16,54 % |
JPM Europe Strategic Dividend I (dist) - EUR / A1W5WW / LU0973649311
|
0,00 % |
12,85 % |
25,18 % |
34,07 % |
12,85 % |
17,78 % |
JPM Global Balanced I (acc) - EUR / A0JL6S / LU0248009978
|
0,00 % |
8,36 % |
-0,41 % |
17,73 % |
9,13 % |
9,49 % |
JPM Global Bond Opportunities I (acc) - EUR (hedged) / A1111Q / LU1056967877
|
0,00 % |
2,44 % |
-1,98 % |
3,85 % |
6,30 % |
6,14 % |
JPM Global Bond Opportunities I (acc) - USD / A1KA5Q / LU0867954777
|
0,00 % |
9,72 % |
13,27 % |
21,02 % |
5,84 % |
6,35 % |
JPM Global Bond Opportunities I (dist) - GBP (hedged) / A118VL / LU1090958429
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Government Short Duration Bond I (acc) EUR / A0RE63 / LU0408877255
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Government Short Duration Bond I (acc) USD hedged / A1W5XE / LU0973525347
|
0,00 % |
- |
- |
- |
- |
- |
JPM Income Opportunity Plus I (perf) (dist) - GBP (hedged) / A1JLBE / LU0683740574
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global High Yield Bond I (acc) - EUR (hedged) / A0JL7P / LU0248018375
|
0,00 % |
8,00 % |
3,49 % |
10,14 % |
8,22 % |
8,70 % |
JPM Global High Yield Bond I (dist) - EUR (hedged) / A1W5X9 / LU0974149550
|
0,00 % |
8,00 % |
3,49 % |
10,16 % |
8,22 % |
8,71 % |
JPM Global High Yield Bond I (dist) - GBP (hedged) / A14UQM / LU1246239369
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global High Yield Bond I (dist) - USD / A1W5XU / LU0973650327
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Growth I (acc) - EUR (hedged) / A1W5W4 / LU0973529174
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Growth I (acc) - USD / A0JLT6 / LU0248059726
|
0,00 % |
40,33 % |
52,44 % |
166,32 % |
18,86 % |
19,34 % |
JPM US Growth I (dist) - GBP / A1W5WF / LU0973529091
|
0,00 % |
40,41 % |
52,06 % |
165,78 % |
19,39 % |
19,73 % |
JPM US Growth I (dist) - USD / A1W5WC / LU0973528879
|
0,00 % |
40,33 % |
52,44 % |
166,32 % |
18,86 % |
19,35 % |
JPM US Equity I (acc) - EUR (hedged) / A1W5WZ / LU0973649667
|
0,00 % |
16,00 % |
26,46 % |
- |
11,92 % |
- |
JPM US Equity I (acc) - USD / A0LF62 / LU0278562177
|
0,00 % |
1,52 % |
20,36 % |
- |
14,45 % |
- |
JPM US Equity I (dist) - GBP / A1W5W0 / LU0973649741
|
0,00 % |
1,34 % |
19,87 % |
- |
14,13 % |
- |
JPM Managed Reserves Fund I (dist) - GBP (hedged) / A1W5XM / LU0973528366
|
0,00 % |
- |
- |
- |
- |
- |
JPM Managed Reserves Fund I (dist) - USD / A1W5XR / LU0973528440
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Select Equity Plus I (acc) - EUR (hedged) / A1W5W2 / LU0973529505
|
100,00 % |
26,41 % |
31,64 % |
99,80 % |
16,39 % |
17,74 % |
JPM US Select Equity Plus I (dist) - GBP / A1W5W3 / LU0973529760
|
100,00 % |
- |
- |
- |
- |
- |
JPM US Select Equity Plus I (dist) - USD / A1W5W1 / LU0973529331
|
0,00 % |
35,18 % |
53,60 % |
134,06 % |
15,17 % |
16,29 % |
JPM US Smaller Companies I (acc) - EUR (hedged) / A110PF / LU1048318189
|
0,00 % |
7,51 % |
-1,80 % |
22,19 % |
20,84 % |
22,13 % |
JPM US Smaller Companies I (acc) - USD / A110NS / LU1048750761
|
0,00 % |
15,38 % |
15,29 % |
44,38 % |
19,18 % |
20,31 % |
JPM US Smaller Companies I (dist) - USD / A110NR / LU1048741935
|
0,00 % |
15,38 % |
15,26 % |
44,32 % |
19,18 % |
20,31 % |
JPM US Value I (acc) - EUR (hedged) / A1W5WT / LU0973530859
|
0,00 % |
11,49 % |
14,62 % |
41,88 % |
14,47 % |
17,79 % |
JPM US Value I (dist) - GBP / A1W5WG / LU0973530776
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Value I (dist) - USD / A1W5WD / LU0973530420
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Dynamic I (acc) - EUR / A1W5WM / LU0973525008
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Dynamic I (dist) - USD / A1W5WE / LU0973524886
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Research Enhanced Index Equity Fund I acc USD / A1CZQC / LU0566714399
|
0,00 % |
23,97 % |
36,87 % |
85,96 % |
13,40 % |
15,39 % |
JPM Global Research Enhanced Index Equity Fund I dis GBP H / A12A44 / LU1107711001
|
0,00 % |
24,95 % |
32,66 % |
81,01 % |
17,27 % |
19,14 % |
JPM Systematic Alpha I (dist) - GBP (hedged) / A1W5X5 / LU0974148404
|
0,00 % |
- |
- |
- |
- |
- |
JPM Systematic Alpha I (acc) - USD (hedged) / A1W5X6 / LU0974148586
|
0,00 % |
-11,57 % |
-14,26 % |
-21,16 % |
9,73 % |
8,88 % |
JPM India I (acc) - USD / A0JKT3 / LU0248054503
|
0,00 % |
17,84 % |
31,81 % |
50,93 % |
12,06 % |
19,78 % |
JPM India I (dist) - USD / A1W5V6 / LU0973527988
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Government Bond Fund I (acc) - EUR / A0REE9 / LU0406674662
|
0,00 % |
-0,04 % |
-11,67 % |
-8,89 % |
5,71 % |
4,91 % |
JPM Global Government Short Duration Bond I (dis) GBP hedged / A1W5XK / LU0973525420
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Merger Arbitrage I (acc) - EUR (hedged) / A1W5XY / LU0974147851
|
0,00 % |
3,73 % |
6,65 % |
- |
3,10 % |
- |
JPM Latin America Equity I (dist) - USD / A1W5V4 / LU0973528010
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Aggregate Bond I (inc) - USD / A1W5V9 / LU0973528796
|
0,00 % |
-3,58 % |
14,92 % |
- |
9,06 % |
- |
JPM US Short Duration Bond Fund I (acc) - EUR (hedged) / A1W5XP / LU0973529844
|
0,00 % |
3,30 % |
0,32 % |
2,77 % |
2,42 % |
2,01 % |
JPM ASEAN Equity I (acc) - EUR / A0X9HE / LU0441853693
|
0,00 % |
- |
- |
- |
- |
- |
JPM China I (dist) - USD / A1W5V1 / LU0973522328
|
0,00 % |
- |
- |
- |
- |
- |
JPM Greater China I (dist) - USD / A1W5WA / LU0973526402
|
0,00 % |
- |
- |
- |
- |
- |
JPM Managed Reserves Fund I (acc) - RMB (hedged) / A12BL9 / LU1111860653
|
0,00 % |
- |
- |
- |
- |
- |
Access Capital Preservation Fund (EUR) Inst (acc) / A1C49V / LU0541677844
|
22,00 % |
8,53 % |
-0,09 % |
7,68 % |
6,63 % |
5,88 % |
Access Capital Preservation Fund (EUR) Inst (inc) / A1C49W / LU0541677927
|
22,00 % |
- |
- |
- |
- |
- |
JPM China A-Share Opportunities C (acc) - RMB / A14VZH / LU1255011253
|
22,00 % |
16,66 % |
-36,14 % |
2,91 % |
22,97 % |
21,89 % |
JPM China A-Share Opportunities C (acc) - EUR / A14VZJ / LU1255011410
|
100,00 % |
16,85 % |
-35,98 % |
2,66 % |
23,23 % |
22,07 % |
JPM Global Healthcare A (dist) - EUR / A1H98W / LU0897034418
|
100,00 % |
4,49 % |
1,79 % |
31,98 % |
13,27 % |
13,76 % |
Access Balanced Fund (EUR) A (inc) / A0YCRH / LU0449913903
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Opportunities Fund C (inc) - EUR / A14ZTW / LU1278811036
|
100,00 % |
34,41 % |
- |
- |
- |
- |
JPM Emerging Europe, Middle East and Africa Eqty C acc - EUR / A14ZTT / LU1278810814
|
0,00 % |
-7,46 % |
22,42 % |
- |
12,93 % |
- |
JPM Emerging Europe Equity C (acc) - USD / A14ZTS / LU1278810731
|
0,00 % |
- |
- |
- |
- |
- |
Dynamic Multi-Asset Fund (USD) C (acc) / A14Y4V / LU1283474374
|
0,00 % |
13,22 % |
11,71 % |
23,67 % |
6,13 % |
6,54 % |
Dynamic Multi-Asset Fund (EUR) C (acc) / A14Y4J / LU1283473053
|
0,00 % |
9,18 % |
0,38 % |
10,04 % |
5,36 % |
5,59 % |
Islamic Global Dynamic Equity Fund (USD) Inst (acc) / A0LFR3 / LU0276364626
|
0,00 % |
29,50 % |
48,59 % |
80,46 % |
12,20 % |
10,88 % |
JPM Europe Strategic Dividend C (dist) - EUR / A1J327 / LU0821049177
|
100,00 % |
12,80 % |
25,03 % |
33,79 % |
12,85 % |
17,78 % |
JPM US Opportunistic Long-Short Equity A (perf) (acc) - USD / A140M5 / LU1297691815
|
100,00 % |
-8,97 % |
3,09 % |
12,31 % |
11,46 % |
10,59 % |
JPM US Opportunistic Long-Short Equity C (perf) (acc) - USD / A140M7 / LU1297692201
|
0,00 % |
-8,19 % |
5,95 % |
16,70 % |
11,48 % |
10,60 % |
JPM US Opportunistic Long-Short Equity C (perf) acc - EUR H / A140M8 / LU1297692466
|
0,00 % |
-4,50 % |
-9,84 % |
-3,14 % |
10,83 % |
9,86 % |
JPM US Opportunistic Long-Short Equity A (perf) acc - EUR H / A140M6 / LU1297692037
|
100,00 % |
-5,31 % |
-12,12 % |
-6,97 % |
10,79 % |
9,91 % |
JPM Euro Liquidity Institutional (acc.) / A1418E / LU1307331311
|
0,00 % |
- |
- |
- |
- |
- |
JPM SGD Liquidity LVNAV C (dist.) / A141YY / LU1303371808
|
0,00 % |
5,87 % |
15,36 % |
12,65 % |
3,86 % |
4,26 % |
JPM Singapore Dollar Liquidity Institutional (acc.) / A1418F / LU1307331402
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Gilt CNAV C (dist.) / A141YZ / LU1303372103
|
0,00 % |
-4,61 % |
1,64 % |
-11,50 % |
5,39 % |
7,30 % |
JPM Sterling Gilt Liquidity Fund Institutional (acc.) / A1418G / LU1307331584
|
0,00 % |
- |
- |
- |
- |
- |
JPM Australian Dollar Liquidity Institutional (acc.) / A1418D / LU1307331238
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Standard Money Market VNAV (acc.) / A1418H / LU1307332129
|
0,00 % |
9,81 % |
- |
- |
- |
- |
JPM GBP Liquidity LVNAV C (dist.) / A141Y0 / LU1303372442
|
0,00 % |
8,07 % |
9,17 % |
11,08 % |
4,18 % |
4,82 % |
JPM AUD Liquidity LVNAV C (dist.) / A141YW / LU1303371634
|
0,00 % |
0,02 % |
-0,32 % |
2,04 % |
7,00 % |
8,04 % |
JPM US Dollar Current Reserves Institutional (acc.) / A1418J / LU1307331741
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Dollar Current Yield Liquidity C (dist.) / A141Y2 / LU1303372525
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Government LVNAV C (dist.) / A141Y3 / LU1303372798
|
0,00 % |
15,75 % |
10,99 % |
16,26 % |
7,42 % |
6,63 % |
JPM USD Liquidity LVNAV C (dist.) / A141Y4 / LU1303372871
|
0,00 % |
9,10 % |
17,51 % |
16,37 % |
7,48 % |
7,31 % |
JPM USD Standard Money Market VNAV Institutional (acc.) / A1418M / LU1307332475
|
0,00 % |
11,12 % |
22,47 % |
21,41 % |
7,33 % |
7,28 % |
JPM US Dollar Current Yield Liquidity Institutional (acc) / A1418K / LU1307331824
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury CNAV C (dist.) / A141Y5 / LU1303372954
|
0,00 % |
8,99 % |
17,05 % |
15,51 % |
7,48 % |
7,31 % |
JPM US Dollar Government Liquidity Institutional (acc.) / A1418L / LU1307332046
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury VNAV Institutional (acc.) / A1418N / LU1307332558
|
0,00 % |
16,64 % |
12,20 % |
21,52 % |
7,46 % |
6,66 % |
JPM Global Income A (irc) - RMB (hedged) / A2ALJD / LU1061735590
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Income A (mth) - GBP (hedged) / A2ALJG / LU1197969386
|
0,00 % |
11,80 % |
4,01 % |
12,93 % |
11,95 % |
13,23 % |
JPM America Equity I (acc) - EUR (hedged) / A111RN / LU1056202929
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Allocation C (acc) - EUR / A1W5VR / LU0974381708
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Select Equity Plus C (acc) - EUR (hedged) / A0MNDB / LU0289216839
|
0,00 % |
26,35 % |
31,48 % |
99,43 % |
16,39 % |
17,74 % |
JPM Europe Dynamic C (acc) - USD / A1W9HE / LU0997536171
|
0,00 % |
9,32 % |
17,66 % |
43,58 % |
13,36 % |
17,35 % |
JPM US Select Equity Plus C (dist) - USD / A1J326 / LU0822049200
|
0,00 % |
35,13 % |
53,42 % |
133,64 % |
15,17 % |
16,28 % |
JPM Europe Equity Plus C (perf) (dist) - GBP / A1J36X / LU0822043260
|
0,00 % |
16,20 % |
28,62 % |
52,57 % |
13,40 % |
17,14 % |
JPM US Select Equity Plus C (dist) - GBP / A1J325 / LU0822049119
|
0,00 % |
35,20 % |
53,04 % |
133,12 % |
15,77 % |
16,68 % |
JPM Europe Equity Plus C (perf) (acc) - USD / A1W6XM / LU0982976267
|
0,00 % |
16,17 % |
28,95 % |
52,91 % |
12,84 % |
16,85 % |
JPM Global Equity C (dist) - USD / A1J61Y / LU0847329660
|
0,00 % |
3,42 % |
34,31 % |
52,14 % |
17,35 % |
15,67 % |
JPM Europe Dynamic C (dist) - EUR / A1J361 / LU0822043773
|
0,00 % |
9,49 % |
17,87 % |
43,34 % |
13,67 % |
17,45 % |
JPM Global Equity C (dist) - GBP / A1J37J / LU0822045711
|
0,00 % |
2,87 % |
31,78 % |
51,10 % |
17,81 % |
15,99 % |
JPM Europe Dynamic C (inc) - EUR / A141YN / LU1303369497
|
0,00 % |
17,31 % |
- |
- |
- |
- |
JPM Global Macro Opportunities A (acc) - USD (hedged) / A14M9G / LU1181866309
|
100,00 % |
14,85 % |
6,41 % |
22,37 % |
11,50 % |
9,92 % |
JPM Global Macro Opportunities C (dist) - USD (hedged) / A14W8D / LU1268460299
|
0,00 % |
15,66 % |
8,66 % |
26,72 % |
11,51 % |
9,93 % |
JPM Europe Select Equity C (dist) - EUR / A1J63N / LU0848064555
|
0,00 % |
3,27 % |
12,57 % |
36,58 % |
14,37 % |
16,54 % |
JPM Global Balanced C (dist) - EUR / A1J63P / LU0848064712
|
100,00 % |
8,32 % |
-0,53 % |
17,48 % |
9,13 % |
9,50 % |
JPM Europe Select Equity C (acc) - USD / A141YV / LU1303370313
|
0,00 % |
3,11 % |
12,37 % |
36,82 % |
14,06 % |
16,42 % |
JPM Global Balanced C (acc) - USD (hedged) / A1W3P5 / LU0957039927
|
100,00 % |
16,03 % |
15,61 % |
36,82 % |
8,43 % |
8,94 % |
JPM Global High Yield Bond C (mth) - USD / A2AB06 / LU0800961277
|
0,00 % |
15,63 % |
19,58 % |
28,42 % |
7,66 % |
8,37 % |
JPM Multi-Manager Alternatives A (acc) - USD / A141RW / LU1303367103
|
0,00 % |
8,91 % |
11,98 % |
21,56 % |
7,52 % |
7,48 % |
JPM Multi-Manager Alternatives C (acc) - USD / A141R0 / LU1303367798
|
100,00 % |
9,72 % |
14,52 % |
26,20 % |
7,52 % |
7,49 % |
JPM Multi-Manager Alternatives C (acc) - EUR (hedged) / A141R1 / LU1303367871
|
100,00 % |
2,56 % |
-0,32 % |
8,86 % |
4,14 % |
5,35 % |
JPM Multi-Manager Alternatives A (acc) - EUR (hedged) / A141RX / LU1303367368
|
100,00 % |
1,79 % |
-2,52 % |
4,87 % |
4,14 % |
5,34 % |
JPM Global Macro C (dist) - EUR (hedged) / A1424G / LU1314349363
|
100,00 % |
6,21 % |
-1,35 % |
7,31 % |
5,17 % |
4,35 % |
JPM Global Macro Opportunities C (inc) - EUR / A1424F / LU1314349108
|
0,00 % |
17,45 % |
- |
- |
- |
- |
JPM Global Macro Opportunities I (acc) - EUR / A0JL68 / LU0248010471
|
0,00 % |
8,33 % |
-5,20 % |
10,20 % |
8,30 % |
7,02 % |
JPM Emerging Markets Dividend X (acc) - EUR / A1KC6H / LU0891473877
|
0,00 % |
16,43 % |
12,45 % |
37,70 % |
12,38 % |
15,01 % |
JPM Income Opportunity Plus C (perf) (acc) - CHF (hedged) / A1JLA4 / LU0683735061
|
0,00 % |
- |
- |
- |
- |
- |
JPM Singapore C (dist) - USD / A1J60J / LU0847324356
|
0,00 % |
-7,59 % |
21,22 % |
29,16 % |
11,79 % |
13,90 % |
JPM Global Sustainable Equity Fund C (acc) - USD / 666267 / LU0129437173
|
100,00 % |
23,05 % |
27,44 % |
102,37 % |
14,60 % |
15,67 % |
JPM US Technology C (acc) - EUR / A141YU / LU1303370156
|
100,00 % |
35,59 % |
35,86 % |
171,44 % |
28,96 % |
26,75 % |
JPM Emerging Europe Equity C (dist) - EUR / A1J36M / LU0822041991
|
100,00 % |
- |
- |
- |
- |
- |
JPM Latin America Equity C (dist) - USD / A1J377 / LU0822048491
|
0,00 % |
-15,70 % |
26,26 % |
-1,32 % |
21,14 % |
27,07 % |
JPM EU Government Bond C (dist) - EUR / A1JDZA / LU0659147606
|
100,00 % |
1,95 % |
-11,54 % |
-8,70 % |
7,46 % |
6,34 % |
JPM America Equity C (dist) - USD / A1J32Z / LU0822041645
|
0,00 % |
32,83 % |
53,52 % |
124,14 % |
15,67 % |
17,43 % |
JPM India C (dist) - USD / A1J37V / LU0822047170
|
0,00 % |
17,79 % |
31,65 % |
50,62 % |
12,07 % |
19,79 % |
JPM Global Government Bond Fund C (acc) - USD (hedged) / A141YP / LU1303369653
|
0,00 % |
7,03 % |
1,66 % |
5,37 % |
6,27 % |
6,89 % |
JPM Latin America Equity C (acc) - EUR / A1W8FB / LU0994429487
|
0,00 % |
-15,57 % |
26,49 % |
-1,49 % |
21,36 % |
27,14 % |
JPM Emerging Markets Opportunities Fund C (acc) - EUR / A1JVJ1 / LU0760000421
|
0,00 % |
11,82 % |
-7,08 % |
-0,55 % |
14,25 % |
16,07 % |
JPM US Aggregate Bond C (inc) - USD / A1J38B / LU0822048814
|
0,00 % |
-3,62 % |
14,90 % |
- |
9,05 % |
- |
JPM Greater China C (dist) - USD / A1J37T / LU0822046958
|
0,00 % |
21,42 % |
-18,90 % |
13,37 % |
23,57 % |
21,73 % |
JPM China C (dist) - HKD / A1J6Z2 / LU0847322574
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Smaller Companies C (dist) - USD / A1W5V5 / LU0973547317
|
0,00 % |
15,33 % |
15,15 % |
44,09 % |
19,18 % |
20,31 % |
JPM China C (dist) - USD / A1J324 / LU0822046875
|
0,00 % |
18,50 % |
-29,12 % |
-6,27 % |
30,05 % |
26,89 % |
JPM ASEAN Equity C (acc) - SGD / A1T79G / LU0915220395
|
0,00 % |
21,09 % |
17,67 % |
22,61 % |
10,74 % |
16,49 % |
JPM Global Convertibles (EUR) C (dist) - USD / A1J37H / LU0822045638
|
0,00 % |
1,91 % |
-23,36 % |
-0,24 % |
13,38 % |
14,04 % |
JPM Global Convertibles (EUR) C (dist) - EUR / A1J37G / LU0822045554
|
0,00 % |
2,06 % |
-23,23 % |
-0,41 % |
13,55 % |
14,17 % |
JPM Global Income C (div) - USD (hedged) / A1W913 / LU1002459144
|
0,00 % |
14,56 % |
15,94 % |
28,07 % |
7,92 % |
9,27 % |
JPM Global Income C (acc) - USD (hedged) / A1JV56 / LU0762813862
|
0,00 % |
14,55 % |
15,93 % |
28,09 % |
7,93 % |
9,27 % |
JPM US Equity C (dist) - USD / A1W31B / LU0958935032
|
0,00 % |
1,48 % |
- |
- |
- |
- |
JPM US Equity C (acc) - EUR (hedged) / A0MM8J / LU0294031983
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Select Equity C (dist) - USD / A1J633 / LU0848066766
|
0,00 % |
29,66 % |
39,97 % |
112,21 % |
15,03 % |
16,39 % |
JPM Emerging Markets Dividend I (acc) - EUR / A2AFQN / LU1378864216
|
0,00 % |
15,54 % |
- |
- |
- |
- |
JPM Emerging Markets Strategic Bond C (perf) (dist) - USD / A112LR / LU1061846231
|
100,00 % |
10,25 % |
10,74 % |
13,36 % |
6,65 % |
8,46 % |
JPM Europe Dynamic Small Cap C (perf) (dist) - EUR / A1W6TU / LU0982213018
|
0,00 % |
9,17 % |
-15,14 % |
10,86 % |
18,81 % |
22,14 % |
JPM US Value C (dist) - USD / A1J8X4 / LU0828467430
|
0,00 % |
19,39 % |
33,56 % |
65,85 % |
12,90 % |
16,45 % |
JPM Europe Strategic Dividend C (dist) - EUR (hedged) / A1104K / LU1048655002
|
0,00 % |
11,67 % |
22,67 % |
30,50 % |
12,51 % |
17,31 % |
JPM Global Dividend C (dist) - EUR (hedged) / A1W4LH / LU0965886236
|
0,00 % |
9,87 % |
18,06 % |
57,66 % |
12,42 % |
15,12 % |
JPM Global Macro Opportunities A (acc) - CHF (hedged) / A141Z0 / LU1306423903
|
100,00 % |
6,53 % |
-1,39 % |
17,54 % |
9,68 % |
8,11 % |
JPM Global Corporate Bond A (dist) - USD / A1J2HM / LU0814389432
|
22,00 % |
9,66 % |
3,53 % |
10,07 % |
6,45 % |
7,43 % |
JPM Emerging Markets Small Cap X (perf) (dist) - USD / A0M0KL / LU0318934295
|
22,00 % |
- |
- |
- |
- |
- |
Dynamic Multi-Asset Fund (USD) Inst (acc) / A14Y4Z / LU1283474705
|
22,00 % |
13,24 % |
11,82 % |
23,82 % |
6,14 % |
6,55 % |
Dynamic Multi-Asset Fund (EUR) Inst (acc) / A14Y4N / LU1283473483
|
22,00 % |
9,16 % |
0,44 % |
10,15 % |
5,36 % |
5,59 % |
JPM Multi-Manager Alternatives S1 (acc) - EUR (hedged) / A2AA9C / LU1327549264
|
0,00 % |
2,82 % |
0,45 % |
10,27 % |
4,13 % |
5,35 % |
JPM Europe Strategic Dividend I (acc) - USD (hedged) / A2AL5V / LU1435042046
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Dividend Alpha C (acc) - EUR / A2ANPT / LU1449871364
|
0,00 % |
-0,75 % |
- |
- |
- |
- |
JPM Sterling Managed Reserves Fund A (acc) - GBP / A2AKVX / LU1422956018
|
0,00 % |
6,77 % |
9,54 % |
14,89 % |
4,48 % |
5,28 % |
JPM Sterling Managed Reserves Fund K (acc) - GBP / A2AKV5 / LU1422956950
|
0,00 % |
- |
- |
- |
- |
- |
JPM Sterling Managed Reserves Fund I (acc) - GBP / A2AKV3 / LU1422956794
|
0,00 % |
7,13 % |
10,25 % |
15,96 % |
4,49 % |
5,28 % |
JPM Sterling Managed Reserves Fund I (dist) - GBP / A2AKV4 / LU1422956877
|
0,00 % |
- |
- |
- |
- |
- |
JPM Africa Equity A (perf) (dist) - USD / A0NH55 / LU0355584623
|
0,00 % |
-10,70 % |
-12,13 % |
-13,11 % |
16,46 % |
19,99 % |
JPM Global Income Conservative A (acc) - USD (hedged) / A2AN9B / LU1458463582
|
22,00 % |
11,09 % |
8,91 % |
15,67 % |
6,78 % |
7,11 % |
JPM Global Income Conservative C (acc) - EUR / A2AN9E / LU1458463822
|
0,00 % |
4,40 % |
-4,27 % |
2,61 % |
7,96 % |
7,33 % |
JPM Global Income Conservative A (div) - EUR / A2AN88 / LU1458463236
|
100,00 % |
3,68 % |
-6,22 % |
-0,85 % |
7,95 % |
7,33 % |
JPM Global Income Conservative A (dist) - EUR / A2AN87 / LU1458463152
|
100,00 % |
3,66 % |
-6,26 % |
-0,92 % |
7,95 % |
7,33 % |
JPM Global Income Conservative A (acc) - EUR / A2AN86 / LU1458463079
|
100,00 % |
3,66 % |
-6,26 % |
-0,91 % |
7,95 % |
7,33 % |
JPM Global Income Conservative C (dist) - EUR / A2AN9F / LU1458464044
|
100,00 % |
4,40 % |
-4,26 % |
2,62 % |
7,95 % |
7,33 % |
JPM Global Emerg. Mkts Research Enh. Idx Eqty C acc EUR / A2APR5 / LU1468436206
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Corporate Bond A (acc) - USD / A2AS1N / LU1502178491
|
0,00 % |
18,47 % |
12,93 % |
- |
6,40 % |
- |
JPM EUR Liquidity LVNAV R (flex dist.) / A1WYX8 / LU0933168600
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Corporate Bond C (acc) - USD / A2AS1Q / LU1502178657
|
0,00 % |
19,00 % |
14,46 % |
- |
6,40 % |
- |
JPM US Corporate Bond I (acc) - USD / A2AS1S / LU1502178905
|
0,00 % |
19,06 % |
14,84 % |
- |
6,39 % |
- |
JPM Global Income Conservative A (dist) - USD (hedged) / A2AQRH / LU1481620851
|
100,00 % |
11,09 % |
8,89 % |
15,64 % |
6,78 % |
7,11 % |
JPM Europe Equity Plus C (acc) - EUR / A2AS4Y / LU1504077964
|
100,00 % |
16,99 % |
29,16 % |
51,73 % |
13,06 % |
16,92 % |
JPM Europe Equity Absolute Alpha C (acc) - EUR / A2AS4X / LU1504077881
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Small Cap X (acc) - EUR / A1KC6K / LU0891474099
|
0,00 % |
10,08 % |
6,80 % |
33,81 % |
11,08 % |
15,57 % |
JPM US Hedged Equity C (acc) - USD / A140M2 / LU1297691146
|
0,00 % |
23,75 % |
35,22 % |
69,73 % |
9,12 % |
9,14 % |
JPM Europe Research Enhanced Index Equity I acc - EUR / A1JKB6 / LU0673244124
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Hedged Equity C (acc) - EUR (hedged) / A140M3 / LU1297691492
|
0,00 % |
15,68 % |
16,89 % |
46,00 % |
9,30 % |
8,75 % |
JPM US Smaller Companies C (acc) - EUR (hedged) / A2DH85 / LU1536785709
|
0,00 % |
7,46 % |
-1,92 % |
21,92 % |
20,84 % |
22,13 % |
JPM Global Income Conservative D (div) - EUR / A2AN9M / LU1458464804
|
22,00 % |
3,31 % |
-7,21 % |
-2,58 % |
7,95 % |
7,33 % |
JPM Japan Strategic Value C (acc) - EUR (hedged) / A0M60X / LU0329206246
|
0,00 % |
29,21 % |
79,38 % |
113,17 % |
10,95 % |
15,09 % |
JPM US Equity All Cap C (acc) - EUR (hedged) / A1428N / LU1316437059
|
0,00 % |
20,58 % |
20,32 % |
71,82 % |
16,65 % |
18,53 % |
JPM Asia Pacific Equity I (acc) - EUR / A0X9QF / LU0441856522
|
0,00 % |
16,60 % |
9,08 % |
28,98 % |
14,04 % |
15,58 % |
JPM Euro Corporate Bond I (acc) - EUR / A0RFA3 / LU0408848231
|
0,00 % |
5,37 % |
-2,36 % |
-0,30 % |
6,54 % |
6,75 % |
JPM USD Standard Money Market VNAV W (acc.) / A2DJRQ / LU1540981195
|
0,00 % |
11,18 % |
22,64 % |
21,63 % |
7,33 % |
7,28 % |
JPM USD Liquidity LVNAV W (dist.) / A2DJRR / LU1540974737
|
0,00 % |
9,14 % |
17,60 % |
15,76 % |
7,48 % |
7,31 % |
JPM GBP Liquidity LVNAV W (dist.) / A2DJRH / LU1540974141
|
0,00 % |
8,11 % |
9,27 % |
11,19 % |
4,18 % |
4,82 % |
JPM GBP Standard Money Market VNAV W (acc.) / A2DJRG / LU1540980627
|
0,00 % |
9,86 % |
13,17 % |
15,45 % |
4,30 % |
4,90 % |
JPM EUR Liquidity VNAV W (acc.) / A2DJQ3 / LU1540979611
|
0,00 % |
-0,51 % |
-1,77 % |
-2,80 % |
0,05 % |
0,04 % |
JPM EUR Liquidity LVNAV W (flex dist.) / A2DJQ4 / LU1540973689
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Aggregate Bond I (acc) - EUR (hedged) / A2ALR8 / LU1432507090
|
0,00 % |
0,30 % |
-12,43 % |
-8,44 % |
6,94 % |
5,80 % |
JPM Europe High Yield Short Duration Bond C (acc) - EUR / A2DJC5 / LU1533169881
|
0,00 % |
5,83 % |
11,91 % |
15,78 % |
4,38 % |
6,35 % |
JPM Europe Sustainable Equity C (acc) - EUR / A2DHD9 / LU1529809060
|
0,00 % |
9,46 % |
15,85 % |
46,47 % |
14,49 % |
17,05 % |
JPM Europe Sustainable Equity A (acc) - EUR / A2DHD7 / LU1529808336
|
100,00 % |
8,40 % |
12,44 % |
39,30 % |
14,49 % |
17,03 % |
JPM Europe Sustainable Equity I (acc) - EUR / A2DHEB / LU1529809227
|
0,00 % |
9,51 % |
15,99 % |
46,77 % |
14,50 % |
17,05 % |
JPM Emerging Markets Equity C (acc) - EUR (hedged) / A1WZUR / LU0940708216
|
0,00 % |
2,01 % |
-23,06 % |
-12,68 % |
18,03 % |
19,76 % |
JPM Europe High Yield Short Duration Bond A (acc) - EUR / A2DJC0 / LU1533169378
|
100,00 % |
5,46 % |
10,74 % |
13,77 % |
4,38 % |
6,34 % |
JPM Europe Dividend Alpha I (dist) - EUR / A1JLX0 / LU0893209766
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Opportunities Fund C (dist) - EUR / A1J60Z / LU0847325916
|
0,00 % |
11,83 % |
-7,09 % |
-0,55 % |
14,25 % |
16,07 % |
JPM Global High Yield Bond C (dist) - EUR (hedged) / A1KCMV / LU0885193531
|
0,00 % |
7,98 % |
3,41 % |
9,97 % |
8,22 % |
8,71 % |
JPM Global High Yield Bond C (dist) - GBP (hedged) / A1J9T3 / LU0864198071
|
0,00 % |
14,24 % |
10,43 % |
16,93 % |
10,94 % |
11,93 % |
JPM Global Macro Opportunities C (acc) - USD (hedged) / A2AFN5 / LU1378862947
|
0,00 % |
15,66 % |
8,66 % |
26,73 % |
11,51 % |
9,93 % |
JPM Global Macro Opportunities C (dist) - EUR / A1J63R / LU0848065107
|
100,00 % |
8,29 % |
-5,31 % |
9,98 % |
8,30 % |
7,02 % |
JPM GBP Standard Money Market VNAV R (acc.) / A1WYYC / LU0933169087
|
0,00 % |
10,13 % |
11,89 % |
14,94 % |
4,32 % |
4,90 % |
JPM USD Standard Money Market VNAV R (acc.) / A1WYX7 / LU0933168436
|
0,00 % |
10,67 % |
21,81 % |
20,41 % |
7,22 % |
7,17 % |
JPM US Aggregate Bond C (dist) - EUR hedged / A2DL96 / LU1571046918
|
0,00 % |
0,25 % |
-12,03 % |
-7,63 % |
6,91 % |
5,78 % |
JPM Global Allocation A (acc) - USD (hedged) / A14W3V / LU1266136362
|
0,00 % |
7,74 % |
- |
- |
- |
- |
JPM Emerging Markets Debt I (acc) - USD / A1W5XL / LU0973522674
|
0,00 % |
13,02 % |
4,78 % |
5,65 % |
8,97 % |
11,08 % |
JPM Global Bond Opportunities C (acc) - CHF (hedged) / A112LX / LU1061746449
|
0,00 % |
1,55 % |
4,41 % |
15,09 % |
7,87 % |
7,20 % |
JPM Emerging Markets Corporate Bond C (acc) - CHF (hedged) / A2DN7K / LU1590583875
|
0,00 % |
5,26 % |
0,59 % |
11,26 % |
9,72 % |
10,03 % |
JPM Euroland Select Equity I (acc) - EUR / A0MVMF / LU0308872802
|
0,00 % |
- |
- |
- |
- |
- |
JPM Japan Equity C (acc) - EUR (hedged) / A1403U / LU1299881935
|
100,00 % |
31,19 % |
30,61 % |
82,93 % |
18,03 % |
17,52 % |
JPM US Opportunistic Long-Short Equity D (perf) acc - EUR H / A141FS / LU1303365404
|
22,00 % |
-5,99 % |
-14,48 % |
-10,60 % |
10,62 % |
9,86 % |
JPM US Opportunistic Long-Short Equity X (perf) (acc) - USD / A2AMZE / LU1440645007
|
22,00 % |
-7,45 % |
8,58 % |
21,76 % |
11,52 % |
10,62 % |
JPM Income Opportunity A (perf) (dist) - EUR (hedged) / A14M9T / LU1182913019
|
100,00 % |
3,51 % |
3,95 % |
3,24 % |
0,90 % |
2,18 % |
JPM US Aggregate Bond I (dist) - USD / A2DF23 / LU1504078004
|
0,00 % |
7,50 % |
- |
- |
- |
- |
JPM Global Corporate Bond A (dist) - EUR (hedged) / A1JY7M / LU0790204860
|
22,00 % |
2,32 % |
-10,55 % |
-5,63 % |
7,92 % |
7,46 % |
JPM Emerging Markets Strategic Bond C (dist) - USD / A12HF2 / LU1162085713
|
0,00 % |
9,80 % |
9,27 % |
11,62 % |
6,65 % |
8,54 % |
JPM Aggregate Bond C (dist) - EUR (hedged) / A1JDGL / LU0654526184
|
0,00 % |
1,87 % |
-7,78 % |
-2,71 % |
5,64 % |
4,83 % |
JPM Emerging Markets Strategic Bond A (dist) - USD / A12HFY / LU1162085390
|
22,00 % |
9,28 % |
7,79 % |
9,10 % |
6,65 % |
8,54 % |
JPM Income Opportunity C (perf) (dist) - EUR (hedged) / A1T7KA / LU0909494543
|
0,00 % |
4,05 % |
5,52 % |
5,85 % |
0,89 % |
2,18 % |
JPM Japan Equity X (acc) - JPY / A1XDJU / LU1035767331
|
0,00 % |
23,78 % |
-1,04 % |
35,31 % |
18,62 % |
18,02 % |
JPM Global Select Equity A (acc) - EUR / 157151 / LU0157178582
|
100,00 % |
20,80 % |
37,37 % |
86,50 % |
14,13 % |
16,04 % |
JPM US Select Equity I (acc) - EUR (hedged) / A1W5WL / LU0973648859
|
0,00 % |
21,21 % |
20,12 % |
81,54 % |
16,46 % |
17,96 % |
JPM Asian Total Return Bond I (acc) - USD / A2AGA5 / LU1382345509
|
0,00 % |
1,80 % |
- |
- |
- |
- |
JPM Asian Total Return Bond C (acc) - USD / A2AGA4 / LU1382345418
|
0,00 % |
1,51 % |
- |
- |
- |
- |
JPM Global Convertibles (EUR) I (acc) - USD (hedged) / A2DL51 / LU1569815324
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Convertibles (EUR) C (acc) - USD (hedged) / A2DL50 / LU1569815241
|
0,00 % |
9,29 % |
-11,05 % |
16,35 % |
12,31 % |
12,48 % |
JPM Global Convertibles (EUR) A (acc) - USD (hedged) / A2DL5Z / LU1569815084
|
22,00 % |
8,64 % |
-12,64 % |
12,91 % |
12,30 % |
12,48 % |
JPM US Select Equity I2 (acc) - USD / A2JCY9 / LU1727362110
|
0,00 % |
29,88 % |
40,68 % |
113,96 % |
15,03 % |
16,40 % |
JPM Global Convertibles Conservative I2 (acc) - USD / A2JCX7 / LU1727361492
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Select Equity I2 (dist) - EUR / A2JCXP / LU1727360684
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Balanced I2 (acc) - EUR / A2JCX6 / LU1727361229
|
0,00 % |
8,55 % |
0,09 % |
18,72 % |
9,13 % |
9,50 % |
JPM Europe Strategic Dividend I2 (dist) - EUR / A2JCXR / LU1727361146
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Strategic Dividend I2 (acc) - EUR / A2JCXQ / LU1727361062
|
0,00 % |
13,02 % |
25,73 % |
35,07 % |
12,85 % |
17,78 % |
JPM Europe Select Equity I2 (acc) - USD / A2JCNL / LU1727360841
|
0,00 % |
3,26 % |
12,85 % |
37,79 % |
14,06 % |
16,43 % |
JPM Europe Select Equity I2 (acc) - USD (hedged) / A2JCNK / LU1727360767
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global High Yield Bond I2 (mth) - USD / A2JCX5 / LU1727361906
|
0,00 % |
- |
- |
- |
- |
- |
JPM Aggregate Bond I2 (acc) - EUR (hedged) / A2JCEU / LU1727350453
|
0,00 % |
2,09 % |
-7,28 % |
-1,84 % |
5,64 % |
4,83 % |
JPM Aggregate Bond I2 (dist) - USD / A2JCZV / LU1727350610
|
0,00 % |
9,35 % |
6,87 % |
13,88 % |
5,95 % |
6,40 % |
JPM Global High Yield Bond I2 (dist) - EUR (hedged) / A2JCX4 / LU1727362037
|
0,00 % |
8,13 % |
- |
- |
- |
- |
JPM Aggregate Bond I2 (dist) - GBP (hedged) / A2JCZU / LU1727350883
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global High Yield Bond I2 (acc) - USD / A2JCCN / LU1727361575
|
0,00 % |
15,81 % |
20,12 % |
29,38 % |
7,66 % |
8,37 % |
JPM Aggregate Bond I2 (dist) - EUR (hedged) / A2JCZT / LU1727351006
|
0,00 % |
2,06 % |
-7,25 % |
-1,80 % |
5,63 % |
4,82 % |
JPM Global High Yield Bond I2 (acc) - EUR (hedged) / A2JCEH / LU1727361658
|
0,00 % |
8,12 % |
3,83 % |
10,75 % |
8,22 % |
8,71 % |
JPM Global High Yield Bond I2 (dist) - USD / A2JCX3 / LU1727361732
|
0,00 % |
15,82 % |
20,13 % |
29,40 % |
7,66 % |
8,37 % |
JPM Aggregate Bond I2 (acc) - USD / A2JCCP / LU1727350370
|
0,00 % |
9,35 % |
6,87 % |
13,87 % |
5,95 % |
6,40 % |
JPM US Select Equity I2 (dist) - USD / A2JCZA / LU1727362201
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Select Equity I2 (acc) - EUR (hedged) / A2JCY8 / LU1727362383
|
0,00 % |
21,33 % |
20,49 % |
82,47 % |
16,46 % |
17,96 % |
JPM Global Macro I (acc) - EUR (hedged) / A1T8P1 / LU0917671041
|
0,00 % |
6,25 % |
-1,25 % |
7,51 % |
5,16 % |
4,34 % |
JPM Global Income A (dist) - GBP (hedged) / A14PXQ / LU1198459122
|
22,00 % |
12,33 % |
4,48 % |
13,44 % |
11,97 % |
13,25 % |
JPM USD Treasury VNAV Capital (acc.) / A2APGL / LU1458492417
|
0,00 % |
16,67 % |
12,29 % |
21,74 % |
7,46 % |
6,66 % |
JPM Asia Growth C (acc) - USD / A1W0GT / LU0943624584
|
100,00 % |
15,47 % |
-7,41 % |
11,49 % |
16,71 % |
17,01 % |
JPM USD Emerging Markets Sovereign Bond UCITS ETF USD (dist) / A2JBL7 / IE00BDFC6G93
|
0,00 % |
8,16 % |
2,82 % |
3,47 % |
7,87 % |
9,71 % |
JPM USD Ultra-Short Income UCITS ETF USD (dist) / A2JBL6 / IE00BDFC6Q91
|
0,00 % |
11,19 % |
21,40 % |
22,45 % |
7,13 % |
7,15 % |
JPM BetaBuilders EUR Govt Bond 1-3 yr UCITS ETF EUR (acc) / A2H9US / IE00BYVZV757
|
0,00 % |
3,25 % |
1,09 % |
0,39 % |
2,15 % |
1,70 % |
JPM Managed Futures UCITS ETF USD (acc) / A2DWRZ / IE00BF4G7290
|
0,00 % |
- |
- |
- |
- |
- |
JPM AUD Liquidity LVNAV E (acc.) / A2JB0B / LU1747643879
|
0,00 % |
1,45 % |
- |
- |
- |
- |
JPM AUD Liquidity LVNAV E (dist.) / A2JB0D / LU1747644257
|
0,00 % |
0,10 % |
-0,13 % |
2,22 % |
7,00 % |
8,04 % |
JPM Equity Long-Short UCITS ETF USD (acc) / A2DWR0 / IE00BF4G7308
|
0,00 % |
-21,93 % |
- |
- |
- |
- |
JPM AUD Liquidity LVNAV Select (acc.) / A2JB0C / LU1747644091
|
0,00 % |
- |
- |
- |
- |
- |
JPM AUD Liquidity LVNAV Select (dist.) / A2JB0E / LU1747644414
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity VNAV E (acc.) / A2JB0F / LU1747644687
|
0,00 % |
-0,48 % |
-1,68 % |
- |
0,05 % |
- |
JPM EUR Liquidity VNAV G (acc.) / A2JB0G / LU1747644844
|
0,00 % |
- |
- |
- |
- |
- |
JPM SGD Liquidity LVNAV E (acc.) / A2JB0X / LU1747645064
|
0,00 % |
7,08 % |
- |
- |
- |
- |
JPM SGD Liquidity LVNAV E (dist.) / A2JB0Z / LU1747645650
|
0,00 % |
5,94 % |
- |
- |
- |
- |
JPM SGD Liquidity LVNAV Select (acc.) / A2JB0Y / LU1747645494
|
0,00 % |
- |
- |
- |
- |
- |
JPM SGD Liquidity LVNAV Select (dist.) / A2JB00 / LU1747645817
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Gilt CNAV E (dist.) / A2JB0H / LU1747647862
|
0,00 % |
-4,61 % |
1,64 % |
- |
5,39 % |
- |
JPM GBP Gilt CNAV G (dist.) / A2JB0J / LU1747648084
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Standard Money Market VNAV E (acc.) / A2JB01 / LU1747646039
|
0,00 % |
9,92 % |
13,34 % |
15,67 % |
4,29 % |
4,90 % |
JPM GBP Liquidity LVNAV E (dist.) / A2JB03 / LU1747646468
|
0,00 % |
8,15 % |
9,38 % |
11,30 % |
4,18 % |
4,82 % |
JPM GBP Standard Money Market VNAV Select (acc.) / A2JB02 / LU1747646203
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Liquidity LVNAV Select (dist.) / A2JB04 / LU1747646625
|
0,00 % |
8,15 % |
9,38 % |
11,30 % |
4,18 % |
4,82 % |
JPM USD Government LVNAV E (acc.) / A2JB0P / LU1747648241
|
0,00 % |
16,67 % |
12,33 % |
- |
7,45 % |
- |
JPM USD Government LVNAV E (dist.) / A2JB0R / LU1747648753
|
0,00 % |
15,74 % |
10,66 % |
- |
7,42 % |
- |
JPM USD Government LVNAV G (acc.) / A2JB0Q / LU1747648597
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Government LVNAV G (dist.) / A2JB0S / LU1747648910
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Standard Money Market VNAV E (acc.) / A2JB0K / LU1747646971
|
0,00 % |
11,24 % |
22,82 % |
21,91 % |
7,33 % |
7,28 % |
JPM USD Liquidity LVNAV E (dist.) / A2JB0M / LU1747647433
|
0,00 % |
9,18 % |
17,71 % |
15,87 % |
7,48 % |
7,31 % |
JPM USD Standard Money Market VNAV Select (acc.) / A2JB0L / LU1747647276
|
0,00 % |
11,24 % |
22,82 % |
21,91 % |
7,33 % |
7,28 % |
JPM USD Liquidity LVNAV Select (dist.) / A2JB0N / LU1747647607
|
0,00 % |
9,18 % |
17,71 % |
15,87 % |
7,48 % |
7,31 % |
JPM USD Treasury VNAV E (acc.) / A2JB0T / LU1747649132
|
0,00 % |
16,71 % |
12,38 % |
- |
7,45 % |
- |
JPM USD Treasury CNAV E (dist.) / A2JB0V / LU1747649645
|
0,00 % |
9,06 % |
17,26 % |
15,43 % |
7,48 % |
7,31 % |
JPM USD Treasury VNAV G (acc.) / A2JB0U / LU1747649306
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury CNAV Select (dist.) / A2JB0W / LU1747650064
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Select Equity A (dist) - GBP / A2H7CR / LU1718418871
|
22,00 % |
28,30 % |
35,08 % |
100,43 % |
15,56 % |
16,75 % |
JPM US Select Equity I (dist) - GBP / A2H7CT / LU1718419093
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Select Equity A (dist) - GBP / A2H7CN / LU1718418442
|
100,00 % |
2,05 % |
8,45 % |
29,22 % |
14,60 % |
16,68 % |
JPM Global Corporate Bond A (acc) - NZD (hedged) / A2JCCG / LU1760116456
|
22,00 % |
-1,99 % |
-14,33 % |
-8,02 % |
13,08 % |
12,61 % |
JPM US Equity All Cap X (acc) - USD / A115GM / LU1074935906
|
22,00 % |
29,92 % |
43,57 % |
108,99 % |
15,55 % |
17,16 % |
JPM Sterling Managed Reserves Fund P (dist) - GBP / LU1422957255
|
22,00 % |
- |
- |
- |
- |
- |
JPM US Bond A (acc) - EUR (hedged) / A2AA52 / LU1326537047
|
22,00 % |
-0,23 % |
-14,11 % |
-10,38 % |
7,64 % |
6,39 % |
JPM Global Equity Plus A (perf) (acc) - USD / A2JHH1 / LU1803231122
|
22,00 % |
-1,21 % |
- |
- |
- |
- |
JPM Global Equity Plus C (perf) (acc) - EUR / A2JHH2 / LU1803231395
|
0,00 % |
-0,07 % |
- |
- |
- |
- |
JPM Global Equity Plus C (perf) (acc) - EUR (hedged) / A2JHH3 / LU1803231478
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Equity Plus A (perf) (acc) - EUR / A2JHHY / LU1803230744
|
22,00 % |
-0,91 % |
- |
- |
- |
- |
JPM Global Equity Plus C (perf) (acc) - USD / A2JHH5 / LU1803231635
|
0,00 % |
-0,37 % |
- |
- |
- |
- |
JPM EUR Liquidity VNAV R (acc) / A1WYX9 / LU0933168949
|
0,00 % |
-0,51 % |
-1,77 % |
-2,80 % |
0,05 % |
0,04 % |
JPM BetaBuilders US Treasury Bond 1-3 yr UCITS ETF USD acc / A2JG3B / IE00BD9MMD49
|
0,00 % |
9,50 % |
12,63 % |
13,90 % |
6,32 % |
6,72 % |
JPM EUR Ultra-Short Income UCITS ETF EUR (acc) / A2JG3C / IE00BD9MMF62
|
0,00 % |
4,02 % |
6,82 % |
6,23 % |
0,70 % |
0,79 % |
JPM GBP Ultra-Short Income UCITS ETF GBP (dist) / A2JG7J / IE00BD9MMG79
|
0,00 % |
9,72 % |
13,80 % |
14,95 % |
4,50 % |
5,11 % |
JPM BetaBuilders UK Gilt 1-5 yr UCITS ETF GBP (dist) / A2JG7H / IE00BD9MMC32
|
0,00 % |
6,75 % |
1,93 % |
2,17 % |
7,34 % |
6,57 % |
JPM Global Income C (dist) - EUR / A1WZ9S / LU0942560540
|
0,00 % |
6,90 % |
-0,16 % |
9,43 % |
9,36 % |
10,12 % |
JPM Global Bond Opportunities A (dist) - USD / A2JNXP / LU1839124960
|
100,00 % |
9,09 % |
11,29 % |
17,49 % |
5,84 % |
6,34 % |
JPM Global Bond Opportunities A (div) - EUR (hedged) / A2JNXQ / LU1839125009
|
22,00 % |
1,84 % |
-3,70 % |
0,85 % |
6,29 % |
6,14 % |
JPM Global Bond Opportunities C (dist) - EUR (hedged) / A2JNXR / LU1839125181
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Macro X (acc) - EUR (hedged) / A1T8P3 / LU0917671710
|
0,00 % |
6,90 % |
0,58 % |
10,83 % |
5,17 % |
4,35 % |
JPM US Select Equity Plus X (dist) - USD / A1J5WG / LU0840950520
|
0,00 % |
- |
- |
- |
- |
- |
JPM Equity Long-Short UCITS ETF EUR Hedged (acc) / A2JQ3E / IE00BDDRF148
|
0,00 % |
-23,45 % |
- |
- |
- |
- |
JPM Managed Futures UCITS ETF EUR Hedged (acc) / A2JQ3F / IE00BF2SYS28
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Debt X (acc) - GBP (hedged) / A1JKVY / LU0683068687
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Debt X (acc) - USD / A117FM / LU1086091094
|
0,00 % |
13,60 % |
6,39 % |
8,36 % |
8,97 % |
11,08 % |
JPM US Select Equity Plus A (dist) - EUR / A2N39K / LU1864442998
|
100,00 % |
34,03 % |
49,35 % |
122,35 % |
15,56 % |
16,48 % |
JPM US Equity All Cap I (acc) - EUR / A2JFXC / LU1732800179
|
0,00 % |
29,26 % |
40,97 % |
101,77 % |
15,92 % |
17,34 % |
JPM Europe High Yield Short Duration Bond X (acc) - EUR / A2DJDB / LU1533170541
|
0,00 % |
6,36 % |
13,60 % |
18,72 % |
4,38 % |
6,35 % |
JPM US Research Enhanced Index Equity (ESG) UCITS ETF USD a / A2DWM7 / IE00BF4G7076
|
0,00 % |
34,20 % |
47,34 % |
117,17 % |
15,14 % |
16,49 % |
JPM Emerging Europe Equity A (dist) - USD / A1JBK0 / LU0634316300
|
100,00 % |
- |
- |
- |
- |
- |
JPM ASEAN Equity A (dist) - USD / A2N8HZ / LU1839390173
|
100,00 % |
20,00 % |
14,60 % |
17,47 % |
10,59 % |
16,36 % |
JPM USD Emerging Markets Sovereign Bond UCITS ETF EUR H acc / A2JQ3G / IE00BDDRDY39
|
0,00 % |
0,87 % |
-11,34 % |
-12,06 % |
10,79 % |
11,79 % |
JPM Global Research Enh. Idx Equity (ESG) UCITS ETF USD acc / A2DWM6 / IE00BF4G6Y48
|
0,00 % |
27,00 % |
38,79 % |
90,66 % |
13,77 % |
15,39 % |
JPM Europe Research Enhanced Idx Eqty (ESG) UCITS ETF EUR a / A2DWM4 / IE00BF4G7183
|
0,00 % |
6,68 % |
17,54 % |
38,50 % |
13,33 % |
15,40 % |
JPM Euroland Dynamic I2 (perf) (acc) - EUR / A2JK7M / LU1814671183
|
0,00 % |
12,26 % |
22,17 % |
55,07 % |
15,68 % |
19,43 % |
JPM Income Opportunity I (perf) (dist) - EUR / A2N7UM / LU1897309420
|
0,00 % |
11,53 % |
21,18 % |
21,39 % |
7,60 % |
7,43 % |
JPM USD Standard Money Market VNAV C (dist.) / A2N8D5 / LU1850235919
|
0,00 % |
16,48 % |
11,38 % |
- |
7,39 % |
- |
JPM USD Treasury VNAV C (dist.) / A2N8EQ / LU1850238343
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Standard Money Market VNAV C (dist.) / A2N8BS / LU1850231090
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Strategic Bond I2 (perf) (acc) - USD / A2JK7L / LU1814671001
|
0,00 % |
10,40 % |
11,19 % |
14,11 % |
6,65 % |
8,46 % |
JPM Europe High Yield Bond I2 (acc) - EUR / A2JK7R / LU1814671779
|
0,00 % |
6,06 % |
6,95 % |
12,15 % |
7,54 % |
8,64 % |
JPM Emerging Markets Strategic Bond I2 (perf) (acc) - EUR h / A2JK7K / LU1814670961
|
0,00 % |
2,94 % |
-4,60 % |
-3,07 % |
10,29 % |
11,07 % |
JPM EUR Corporate Bd Research Enha. Idx ESG UCITS ETF EUR a / A2N76D / IE00BF59RX87
|
0,00 % |
4,83 % |
-2,97 % |
-1,41 % |
6,65 % |
6,44 % |
JPM EUR Corpo. Bd 1-5yr Resea. Enha. Idx ESG UCITS ETF EUR a / A2N76E / IE00BF59RW70
|
0,00 % |
4,75 % |
1,90 % |
2,61 % |
3,99 % |
3,80 % |
JPM Global Em. Mkts Res. Enh. Idx Eqty (ESG) UCITS ETF USD a / A2DWM5 / IE00BF4G6Z54
|
0,00 % |
15,36 % |
2,08 % |
13,66 % |
13,72 % |
15,39 % |
JPM USD Corporate Bd Research Enha. Idx ESG UCITS ETF USD a / A2N76C / IE00BF59RV63
|
0,00 % |
7,83 % |
1,28 % |
7,46 % |
7,08 % |
7,84 % |
JPM USD Liquidity LVNAV Select (acc.) / A2N8DH / LU1873131558
|
0,00 % |
11,04 % |
22,36 % |
21,40 % |
7,34 % |
7,29 % |
JPM USD Treasury CNAV Select (acc.) / A2N8DX / LU1873132879
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Dividend C (div) - EUR / A1JQFF / LU0714180063
|
100,00 % |
14,93 % |
- |
- |
- |
- |
JPM Emerging Europe Equity D (acc) - USD / A2N828 / LU1839389084
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Debt D (acc) - USD / A2N83D / LU1839389753
|
22,00 % |
11,37 % |
0,26 % |
-1,80 % |
8,96 % |
11,06 % |
JPM Asia Growth I2 (acc) - USD / A2JK7C / LU1814670375
|
0,00 % |
15,69 % |
-6,87 % |
12,57 % |
16,72 % |
17,01 % |
JPM Korea Equity I2 (acc) - USD / A2JK74 / LU1814673635
|
0,00 % |
-9,43 % |
-23,44 % |
12,93 % |
22,70 % |
22,42 % |
JPM GBP Standard Money Market VNAV Capital (dist.) / A2N8BW / LU1850231504
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury CNAV A (acc.) / A2N8DR / LU1873132101
|
0,00 % |
10,42 % |
- |
- |
- |
- |
JPM GBP Standard Money Market VNAV E (dist.) / A2N8BY / LU1850231769
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury CNAV C (acc.) / A2N8DT / LU1873132366
|
0,00 % |
10,77 % |
21,30 % |
19,84 % |
7,37 % |
7,30 % |
JPM USD Treasury CNAV D (acc.) / A2N8DV / LU1873132523
|
0,00 % |
10,33 % |
- |
- |
- |
- |
JPM USD Treasury CNAV E (acc.) / A2N8DW / LU1873132796
|
0,00 % |
10,89 % |
- |
- |
- |
- |
JPM USD Treasury CNAV Institutional (acc.) / A2N8DY / LU1873132952
|
0,00 % |
10,77 % |
- |
- |
- |
- |
JPM GBP Standard Money Market VNAV Morgan (dist.) / A2N8B4 / LU1850232577
|
0,00 % |
-2,07 % |
0,17 % |
- |
5,73 % |
- |
JPM GBP Standard Money Market VNAV Premier (dist.) / A2N8B8 / LU1850232908
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Standard Money Market VNAV Reserves (dist.) / A2N8CC / LU1850233385
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Standard Money Market VNAV W (dist.) / A2N8CE / LU1850233542
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Standard Money Market VNAV X (dist.) / A2N8CF / LU1850233625
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Liquidity LVNAV A (acc.) / A2N8DB / LU1873130741
|
0,00 % |
10,57 % |
20,92 % |
19,53 % |
7,34 % |
7,29 % |
JPM USD Liquidity LVNAV B (acc.) / A2N8DC / LU1873130824
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Liquidity LVNAV C (acc.) / A2N8DD / LU1873131046
|
0,00 % |
10,92 % |
22,02 % |
20,90 % |
7,34 % |
7,29 % |
JPM USD Liquidity LVNAV D (acc.) / A2N8DF / LU1873131392
|
0,00 % |
10,47 % |
- |
- |
- |
- |
JPM USD Liquidity LVNAV E (acc.) / A2N8DG / LU1873131475
|
0,00 % |
11,04 % |
22,36 % |
21,40 % |
7,34 % |
7,29 % |
JPM Emerging Markets Strategic Bond C (perf) (acc) - EUR hdg / A110TS / LU1049748566
|
0,00 % |
2,78 % |
-5,01 % |
-3,71 % |
10,29 % |
11,09 % |
JPM USD Liquidity LVNAV Institutional (acc.) / A2N8DJ / LU1873131632
|
0,00 % |
10,92 % |
22,02 % |
20,90 % |
7,34 % |
7,29 % |
JPM USD Liquidity LVNAV R (acc.) / A2N8DL / LU1873131806
|
0,00 % |
10,43 % |
- |
- |
- |
- |
JPM USD Liquidity LVNAV W (acc.) / A2N8DM / LU1873131988
|
0,00 % |
10,98 % |
22,18 % |
21,11 % |
7,34 % |
7,29 % |
JPM USD Liquidity LVNAV X (acc.) / A2N8DN / LU1873132010
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Standard Money Market VNAV E (dist.) / A2N8D8 / LU1850236214
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Liquidity LVNAV A (acc.) / A2N8CP / LU1873128687
|
0,00 % |
9,37 % |
- |
- |
- |
- |
JPM USD Standard Money Market VNAV G (dist.) / A2N8EA / LU1850236487
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Liquidity LVNAV B (acc.) / A2N8CR / LU1873128844
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Standard Money Market VNAV Institutional (dist.) / A2N8EC / LU1850236644
|
0,00 % |
16,48 % |
11,38 % |
- |
7,39 % |
- |
JPM GBP Liquidity LVNAV C (acc.) / A2N8CS / LU1873128927
|
0,00 % |
9,71 % |
12,82 % |
15,03 % |
4,30 % |
4,90 % |
JPM GBP Liquidity LVNAV Capital (acc.) / A2N8CU / LU1873129149
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Standard Money Market VNAV Morgan (dist.) / A2N8ED / LU1850236727
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Liquidity LVNAV D (acc.) / A2N8CV / LU1873129222
|
0,00 % |
9,28 % |
- |
- |
- |
- |
JPM GBP Liquidity LVNAV E (acc.) / A2N8CW / LU1873129578
|
0,00 % |
9,82 % |
13,14 % |
15,44 % |
4,30 % |
4,90 % |
JPM GBP Liquidity LVNAV Select (acc.) / A2N8CX / LU1873129651
|
0,00 % |
9,82 % |
13,14 % |
15,44 % |
4,30 % |
4,90 % |
JPM USD Standard Money Market VNAV Premier (dist.) / A2N8EG / LU1850237295
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Liquidity LVNAV X (acc.) / A2N8C4 / LU1873130667
|
0,00 % |
9,89 % |
13,34 % |
15,74 % |
4,30 % |
4,90 % |
JPM USD Standard Money Market VNAV Reserves (dist.) / A2N8EK / LU1850237709
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Standard Money Market VNAV W (dist.) / A2N8EL / LU1850237964
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Debt C (acc) - CHF (hedged) / A2JHCZ / LU1801825784
|
0,00 % |
4,56 % |
-4,10 % |
-0,38 % |
12,33 % |
13,44 % |
JPM USD Treasury VNAV Agency (dist.) / A2N8EP / LU1850238269
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury VNAV E (dist.) / A2N8ET / LU1850238772
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury VNAV G (dist.) / A2N8EV / LU1850238939
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury VNAV Institutional (dist.) / A2N8EX / LU1850239150
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury VNAV Morgan (dist.) / A2N8EY / LU1850239234
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury VNAV Premier (dist.) / A2N8EZ / LU1850239317
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury VNAV Reserves (dist.) / A2N8E2 / LU1850239663
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury VNAV X (dist.) / A2N8E5 / LU1850240240
|
0,00 % |
15,72 % |
10,62 % |
- |
7,42 % |
- |
JPM GBP Standard Money Market VNAV Capital (acc.) / A2JCZB / LU1458491013
|
0,00 % |
9,86 % |
- |
- |
- |
- |
JPM Global Sustainable Equity A (acc) - EUR / A2N7BJ / LU1892703486
|
100,00 % |
12,85 % |
44,65 % |
- |
16,09 % |
- |
JPM Global Sustainable Equity C (acc) - EUR / A2N7BK / LU1892703569
|
0,00 % |
15,02 % |
54,31 % |
- |
16,10 % |
- |
JPM Global Sustainable Equity C (acc) - USD / A2N7BL / LU1892703643
|
0,00 % |
14,05 % |
49,50 % |
- |
16,14 % |
- |
JPM EUR Liquidity LVNAV A (acc.) / A2N8A9 / LU1873127366
|
0,00 % |
3,33 % |
- |
- |
- |
- |
JPM Global Sustainable Equity I (acc) - EUR / A2N7BP / LU1892703999
|
0,00 % |
15,03 % |
54,39 % |
- |
16,10 % |
- |
JPM Quantitative Flexible Bond C (perf) (acc) - EUR (hedged) / A2JNFV / LU1803233094
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV B (acc.) / A2N8BA / LU1873127440
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV C (acc.) / A2N8BB / LU1873127523
|
0,00 % |
3,65 % |
6,67 % |
5,35 % |
0,54 % |
0,56 % |
JPM Quantitative Flexible Bond C (perf) (acc) - USD / A2JNFT / LU1803232872
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV D (acc.) / A2N8BD / LU1873127879
|
0,00 % |
3,24 % |
- |
- |
- |
- |
JPM Quantitative Flexible Bond I (perf) (acc) - USD / A2JNFY / LU1803233334
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV E (acc.) / A2N8BE / LU1873127952
|
0,00 % |
3,76 % |
6,89 % |
5,56 % |
0,55 % |
0,58 % |
JPM EUR Liquidity LVNAV Select (acc.) / A2N8BF / LU1873128091
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV R (acc.) / A2N8BJ / LU1873128331
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV W (acc.) / A2N8BK / LU1873128414
|
0,00 % |
3,70 % |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV X (acc.) / A2N8BL / LU1873128505
|
0,00 % |
3,82 % |
7,07 % |
- |
0,55 % |
- |
JPM Greater China I2 (acc) - USD / A2JC1R / LU1727356906
|
0,00 % |
21,67 % |
-18,43 % |
14,45 % |
23,57 % |
21,74 % |
JPM Euro Government Short Duration Bond I2 (acc) - EUR / A2PB83 / LU1938385884
|
0,00 % |
3,30 % |
2,44 % |
1,97 % |
1,87 % |
1,50 % |
JPM Global Healthcare C (dist) - EUR / A2H9KB / LU1734444356
|
100,00 % |
5,21 % |
3,93 % |
36,79 % |
13,27 % |
13,77 % |
JPM GBP Ultra-Short Income UCITS ETF GBP (acc) / A2N882 / IE00BG47J908
|
0,00 % |
9,72 % |
13,83 % |
14,99 % |
4,49 % |
5,11 % |
JPM USD Ultra-Short Income UCITS ETF USD (acc) / A2N8HQ / IE00BG8BCY43
|
0,00 % |
11,20 % |
21,45 % |
22,51 % |
7,13 % |
7,15 % |
JPM BetaBuilders US Equity UCITS ETF USD (acc) / A2PEJW / IE00BJK9H753
|
0,00 % |
34,48 % |
45,18 % |
109,58 % |
15,25 % |
16,44 % |
JPM BetaBuilders US Equity UCITS ETF USD (dist) / A2PEJX / IE00BJK9H860
|
0,00 % |
34,48 % |
45,18 % |
109,58 % |
15,25 % |
16,44 % |
JPM BetaBuilders EUR Govt Bond UCITS ETF EUR (acc) / A2PD1S / IE00BJK9HD13
|
0,00 % |
1,74 % |
-12,53 % |
-10,17 % |
8,00 % |
6,73 % |
JPM BetaBuilders US Treasury Bond UCITS ETF USD (acc) / A2PD1R / IE00BJK9HH50
|
0,00 % |
5,81 % |
-2,07 % |
2,41 % |
6,16 % |
7,15 % |
JPM Emerging Markets Debt I2 (dist) - USD / A2PJDJ / LU1989874174
|
0,00 % |
13,08 % |
4,91 % |
5,86 % |
8,99 % |
11,09 % |
JPM Emerging Markets Debt I2 (dist) - EUR (hedged) / A2PJDK / LU1989874257
|
0,00 % |
5,50 % |
-10,13 % |
-10,36 % |
12,03 % |
13,43 % |
JPM BetaBuilders US Treasury Bond UCITS ETF GBP Hedged (acc) / A2PJ5U / IE00BK6Q9938
|
0,00 % |
4,48 % |
-9,11 % |
-4,32 % |
9,16 % |
7,95 % |
JPM Asia Pacific Equity I2 (acc) - EUR / A2JQWU / LU1857118621
|
0,00 % |
16,78 % |
9,58 % |
29,96 % |
14,05 % |
15,58 % |
JPM Emerging Markets Corporate Bond I2 (acc) - EUR (hedged) / A2PJDM / LU1989874414
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Corporate Bond I2 (dist) - GBP (hedged) / A2PJDP / LU1989874687
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Corporate Bond I2 (dist) - USD / A2PJDN / LU1989874505
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Debt I2 (dist) - GBP (hedged) / A2PJDL / LU1989874331
|
0,00 % |
11,71 % |
-4,00 % |
-3,84 % |
13,85 % |
15,42 % |
JPM EUR Liquidity LVNAV E (flex dist.) / A2N8BM / LU1747650908
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Equity Plus I (perf) (acc) - EUR / A0MNZ8 / LU0289214891
|
0,00 % |
16,35 % |
29,27 % |
52,89 % |
13,10 % |
16,94 % |
JPM Global Corporate Bond A (acc) - CHF (hedged) / A1J3TG / LU0826332271
|
22,00 % |
1,51 % |
-5,08 % |
4,19 % |
9,44 % |
8,83 % |
JPM Emerging Europe Equity X (acc) - USD / A2N83A / LU1839389324
|
0,00 % |
- |
- |
- |
- |
- |
JPM ASEAN Equity C (dist) - USD / A2N83G / LU1839390256
|
0,00 % |
21,02 % |
17,57 % |
22,57 % |
10,59 % |
16,37 % |
JPM Emerging Europe Equity I (acc) - USD / A2N829 / LU1839389167
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Corporate Bond I2 (acc) - USD / A2PDH8 / LU1931928409
|
0,00 % |
13,83 % |
9,79 % |
17,96 % |
7,29 % |
8,70 % |
JPM Global Equity Multi-Factor UCITS ETF USD (acc) / A2PJEP / IE00BJRCLL96
|
0,00 % |
18,25 % |
27,08 % |
56,53 % |
12,34 % |
14,73 % |
JPM US Equity Multi-Factor UCITS ETF USD (acc) / A2PJEQ / IE00BJRCLK89
|
0,00 % |
3,86 % |
41,82 % |
- |
19,30 % |
- |
JPM BetaBuilders US Treasury Bond 0-1 yr UCITS ETF USD (acc) / A2PK49 / IE00BJK3WF00
|
0,00 % |
10,87 % |
20,87 % |
19,91 % |
7,27 % |
7,28 % |
JPM USD Liquidity LVNAV Capital (acc.) / A2N8DE / LU1873131129
|
0,00 % |
10,98 % |
- |
- |
- |
- |
JPM Global Macro Sustainable C (acc) - EUR / A2PMEL / LU2003419376
|
100,00 % |
6,88 % |
-2,63 % |
5,67 % |
6,31 % |
5,17 % |
JPM Global Macro Sustainable C (acc) - USD (hedged) / A2PMEP / LU2003419459
|
0,00 % |
14,21 % |
11,80 % |
21,84 % |
9,89 % |
8,72 % |
JPM Global Macro Sustainable I (acc) - EUR / A2PMER / LU2003419293
|
0,00 % |
6,92 % |
-2,50 % |
5,81 % |
6,31 % |
5,17 % |
JPM Global Macro Sustainable A (acc) - EUR / A2PMET / LU2003419707
|
100,00 % |
6,14 % |
-4,65 % |
1,93 % |
6,31 % |
5,16 % |
JPM Multi-Manager Alternatives I (acc) - EUR (hedged) / A141R8 / LU1303368507
|
0,00 % |
2,60 % |
-0,21 % |
9,06 % |
4,14 % |
5,35 % |
JPM Multi-Manager Alternatives S2 (acc) - EUR (hedged) / A2PTAV / LU2050537195
|
0,00 % |
2,83 % |
0,45 % |
10,28 % |
4,14 % |
5,35 % |
JPM Multi-Manager Alternatives S2 (acc) - USD / A2PSHZ / LU2050536973
|
0,00 % |
10,01 % |
15,42 % |
27,85 % |
7,52 % |
7,49 % |
JPM Multi-Manager Alternatives S2 (acc) - CHF (hedged) / A2PTAU / LU2050537435
|
0,00 % |
2,12 % |
7,42 % |
22,75 % |
5,32 % |
5,89 % |
JPM Global Bond Opportunities C2 (acc) - EUR (hedged) / A2PP01 / LU2038518556
|
0,00 % |
2,51 % |
-1,79 % |
4,19 % |
6,29 % |
6,14 % |
JPM Global Bond Opportunities C2 (acc) - USD / A2PP02 / LU2038518630
|
0,00 % |
9,79 % |
13,48 % |
21,37 % |
5,84 % |
6,35 % |
JPM Emerging Markets Local Currency Debt I2 (acc) - EUR / A2JK7J / LU1773286189
|
0,00 % |
2,98 % |
11,45 % |
5,74 % |
5,71 % |
8,03 % |
JPM Emerging Markets Corporate Bond C2 (acc) - EUR (hedged) / A2PP0L / LU2038517665
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Convertibles (EUR) I2 (acc) - EUR / A2JC1P / LU1727353804
|
0,00 % |
2,35 % |
-22,58 % |
1,02 % |
13,56 % |
14,17 % |
JPM Global Sustainable Equity Fund I2 (acc) - USD / A2JC1H / LU1727356146
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Growth I2 (acc) - EUR (hedged) / A2JC2X / LU1727359165
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Opportunities Fund I2 (acc) - USD / A2JC0A / LU1727352665
|
0,00 % |
11,87 % |
-6,72 % |
0,58 % |
14,27 % |
16,11 % |
JPM Global Government Short Duration Bond I2 (acc) EUR / A2JC08 / LU1727355411
|
0,00 % |
2,89 % |
- |
- |
- |
- |
JPM US Aggregate Bond I2 (acc) - EUR (hedged) / A2JCEW / LU1727358431
|
0,00 % |
0,50 % |
-11,93 % |
-7,56 % |
6,94 % |
5,80 % |
JPM US Short Duration Bond Fund I2 (acc) - EUR (hedged) / A2JC27 / LU1727359835
|
0,00 % |
3,42 % |
- |
- |
- |
- |
JPM ASEAN Equity I2 (acc) - USD / A2JC1U / LU1727352079
|
0,00 % |
21,26 % |
18,24 % |
23,78 % |
10,60 % |
16,38 % |
JPM Global Corporate Bond I2 (acc) - EUR (hedged) / A2JCE2 / LU1727354448
|
0,00 % |
2,93 % |
-8,98 % |
-2,89 % |
7,92 % |
7,47 % |
JPM Global Strategic Bond Fund I2 (perf) (acc) - EUR hedged / A2JC1K / LU1727356492
|
0,00 % |
4,50 % |
3,94 % |
7,83 % |
4,41 % |
4,00 % |
JPM US Growth I2 (acc) - USD / A2JC2Y / LU1727358860
|
0,00 % |
40,48 % |
52,96 % |
167,80 % |
18,86 % |
19,35 % |
JPM Europe Dynamic I2 (acc) - EUR / A2JBA2 / LU1727352822
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Short Duration Bond I2 (acc) - EUR (hedged) / A2JC1C / LU1727355502
|
0,00 % |
3,98 % |
2,76 % |
3,39 % |
1,88 % |
1,84 % |
JPM US Aggregate Bond I2 (acc) - USD / A2JC2N / LU1727358274
|
0,00 % |
7,71 % |
1,78 % |
7,57 % |
6,12 % |
6,59 % |
JPM US Short Duration Bond Fund I2 (acc) - USD / A2JC28 / LU1727359918
|
0,00 % |
10,70 % |
15,66 % |
19,48 % |
6,31 % |
6,62 % |
JPM America Equity I2 (acc) - EUR (hedged) / A2JCZX / LU1727351857
|
0,00 % |
24,34 % |
32,09 % |
92,38 % |
16,67 % |
18,77 % |
JPM Global Corporate Bond I2 (acc) - USD / A2JC04 / LU1727354364
|
0,00 % |
10,26 % |
5,29 % |
13,23 % |
6,46 % |
7,43 % |
JPM India I2 (acc) - USD / A2JC1S / LU1727357037
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Growth I2 (dist) - USD / A2JC20 / LU1727359082
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Dynamic Small Cap I2 (perf) (acc) - EUR / A2JC0H / LU1727353473
|
0,00 % |
9,37 % |
-14,63 % |
12,13 % |
18,81 % |
22,14 % |
JPM Global Short Duration Bond I2 (acc) - USD / A2JC1D / LU1727355684
|
0,00 % |
11,26 % |
17,94 % |
19,37 % |
6,65 % |
6,84 % |
JPM US Aggregate Bond I2 (dist) - EUR (hedged) / A2JC2P / LU1727358787
|
0,00 % |
0,48 % |
-11,94 % |
-7,56 % |
6,94 % |
5,80 % |
JPM US Value I2 (acc) - EUR (hedged) / A2JC29 / LU1727360254
|
0,00 % |
11,60 % |
14,95 % |
42,52 % |
14,47 % |
17,79 % |
JPM America Equity I2 (acc) - USD / A2JCCQ / LU1727351345
|
0,00 % |
33,03 % |
54,18 % |
125,66 % |
15,67 % |
17,44 % |
JPM Global Corporate Bond I2 (dist) - GBP (hedged) / A2JC06 / LU1727354877
|
0,00 % |
8,92 % |
-2,68 % |
4,57 % |
10,15 % |
10,22 % |
JPM India I2 (dist) - USD / A2JC1T / LU1727357110
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Select Equity Plus I2 (acc) - EUR (hedged) / A2JC24 / LU1727359595
|
0,00 % |
26,55 % |
32,01 % |
100,77 % |
16,39 % |
17,75 % |
JPM Global Bond Opportunities I2 (acc) - EUR (hedged) / A2JC0V / LU1727353556
|
0,00 % |
2,54 % |
-1,68 % |
4,40 % |
6,29 % |
6,14 % |
JPM Global Short Duration Bond I2 (dist) - EUR (hedged) / A2JC1E / LU1727355767
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Aggregate Bond I2 (dist) - GBP (hedged) / A2JC2Q / LU1727358605
|
0,00 % |
6,33 % |
-5,80 % |
0,01 % |
9,02 % |
8,16 % |
JPM US Value I2 (acc) - USD / A2JCNJ / LU1727360171
|
0,00 % |
19,58 % |
34,18 % |
67,00 % |
12,90 % |
16,45 % |
JPM EU Government Bond I2 (acc) - EUR / A2JC0G / LU1727352749
|
0,00 % |
2,06 % |
-11,24 % |
-8,19 % |
7,46 % |
6,34 % |
JPM Global Corporate Bond I2 (dist) - USD / A2JC07 / LU1727354521
|
0,00 % |
- |
- |
- |
- |
- |
JPM Latin America Equity I2 (acc) - USD / A2JC2D / LU1727357383
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Select Equity Plus I2 (acc) - USD / A2JCE0 / LU1727359249
|
0,00 % |
35,34 % |
54,12 % |
135,35 % |
15,17 % |
16,29 % |
JPM Global Bond Opportunities I2 (acc) - USD / A2JC0W / LU1727353630
|
0,00 % |
9,84 % |
13,61 % |
21,61 % |
5,84 % |
6,35 % |
JPM Global Short Duration Bond I2 (dist) - USD / A2JC1G / LU1727355841
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Aggregate Bond I2 (dist) - USD / A2JC2R / LU1727358514
|
0,00 % |
7,70 % |
1,78 % |
7,58 % |
6,11 % |
6,59 % |
JPM Emerging Markets Opportunities Fund I2 (acc) - EUR / A2JCZ9 / LU1727352400
|
0,00 % |
12,04 % |
-6,54 % |
0,41 % |
14,25 % |
16,07 % |
JPM Global Government Bond Fund I2 (acc) - EUR / A2JC1A / LU1727355171
|
0,00 % |
0,03 % |
-11,49 % |
-8,57 % |
5,71 % |
4,91 % |
JPM Latin America Equity I2 (dist) - USD / A2JC2E / LU1727357201
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Select Equity Plus I2 (dist) - USD / A2JC26 / LU1727359322
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Select Equity I2 (acc) - EUR / A2JCEY / LU1727360502
|
0,00 % |
3,42 % |
13,05 % |
37,55 % |
14,37 % |
16,54 % |
JPM Multi-Manager Alternatives S2 (dist) - USD / A2PRWZ / LU2053047200
|
0,00 % |
10,02 % |
15,42 % |
27,85 % |
7,52 % |
7,49 % |
JPM Multi-Manager Alternatives S2 (dist) - (EUR hedged) / A2PRWX / LU2053047382
|
0,00 % |
2,82 % |
0,45 % |
10,27 % |
4,14 % |
5,35 % |
JPM Europe Equity Plus I2 (perf) (acc) - EUR / A2PP60 / LU2040191186
|
0,00 % |
16,53 % |
29,54 % |
53,41 % |
13,08 % |
16,93 % |
JPM Thematics - Genetic Therapies A (acc) - USD / A2PR4K / LU2050612402
|
100,00 % |
-4,51 % |
-34,50 % |
-19,54 % |
21,07 % |
22,03 % |
JPM Emerging Markets Local Currency Debt I2 (acc) - EUR H / A2PS1L / LU2057310596
|
0,00 % |
- |
- |
- |
- |
- |
JPM China A-Share Opportunities C (acc) - USD / A14VZK / LU1255011501
|
100,00 % |
16,70 % |
-36,08 % |
2,82 % |
23,14 % |
21,98 % |
JPM Thematics - Genetic Therapies A (dist) - CHF (hedged) / A2PR30 / LU2053353665
|
22,00 % |
-9,71 % |
-37,13 % |
-20,31 % |
22,93 % |
23,26 % |
JPM Thematics - Genetic Therapies A (acc) - EUR (hedged) / A2PR3U / LU2053353079
|
100,00 % |
-9,20 % |
-41,01 % |
-28,12 % |
21,45 % |
22,82 % |
JPM Thematics - Genetic Therapies A (dist) - USD / A2PR3Q / LU2053352691
|
22,00 % |
-4,57 % |
-34,67 % |
-19,85 % |
21,07 % |
22,03 % |
JPM Thematics - Genetic Therapies A (dist) - EUR (hedged) / A2PR3W / LU2053353236
|
22,00 % |
-9,27 % |
-41,16 % |
-28,38 % |
21,45 % |
22,82 % |
JPM Thematics - Genetic Therapies C2 (acc) - CHF (hedged) / A2PR3Z / LU2053353582
|
0,00 % |
-9,23 % |
-36,12 % |
-18,17 % |
22,94 % |
23,27 % |
JPM Thematics - Genetic Therapies C2 (acc) - EUR (hedged) / A2PR3V / LU2053353152
|
0,00 % |
-8,78 % |
-40,22 % |
-26,45 % |
21,46 % |
22,82 % |
JPM Thematics - Genetic Therapies C2 (dist) - CHF (hedged) / A2PR31 / LU2053353749
|
0,00 % |
-9,24 % |
-36,12 % |
-18,17 % |
22,94 % |
23,27 % |
JPM Thematics - Genetic Therapies A (acc) - CHF (hedged) / A2PR3Y / LU2053353400
|
22,00 % |
-9,72 % |
-37,14 % |
-20,31 % |
22,93 % |
23,26 % |
JPM Thematics - Genetic Therapies C2 (dist) - EUR (hedged) / A2PR3X / LU2053353319
|
0,00 % |
-8,78 % |
-40,21 % |
-26,46 % |
21,46 % |
22,83 % |
JPM China A-Share Opportunities C (dist) - GBP / A2PTAE / LU2054627596
|
0,00 % |
16,74 % |
-36,26 % |
2,56 % |
23,28 % |
22,22 % |
JPM China A-Share Opportunities I2 (acc) - EUR / A2PTAA / LU2054627679
|
0,00 % |
17,09 % |
-35,62 % |
3,58 % |
23,22 % |
22,07 % |
JPM China A-Share Opportunities I2 (dist) - GBP / A2PTAD / LU2057072550
|
0,00 % |
- |
- |
- |
- |
- |
JPM China A-Share Opportunities I2 (acc) - RMB / A2PTAB / LU2054627836
|
0,00 % |
- |
- |
- |
- |
- |
JPM China A-Share Opportunities I2 (acc) - USD / A2PTAC / LU2054627752
|
0,00 % |
16,92 % |
-35,73 % |
3,77 % |
23,12 % |
21,98 % |
JPM Emerging Markets Sustainable Equity I (acc) - EUR / A2PSJD / LU2051469620
|
0,00 % |
14,18 % |
-3,26 % |
16,03 % |
13,51 % |
14,87 % |
JPM Emerging Markets Sustainable Equity A (dist) - USD / A2PSH6 / LU2051468903
|
22,00 % |
12,99 % |
-5,82 % |
11,61 % |
13,51 % |
14,86 % |
JPM Emerging Markets Sustainable Equity C (dist) - EUR / A2PSJC / LU2051469547
|
0,00 % |
14,12 % |
-3,39 % |
15,80 % |
13,50 % |
14,87 % |
JPM Emerging Markets Sustainable Equity A (dist) - EUR / A2PSH8 / LU2051469117
|
100,00 % |
13,15 % |
-5,66 % |
11,35 % |
13,50 % |
14,86 % |
JPM Emerging Markets Sustainable Equity C (acc) - EUR / A2PSJB / LU2051469463
|
100,00 % |
14,12 % |
-3,39 % |
15,80 % |
13,50 % |
14,87 % |
JPM Emerging Markets Sustainable Equity A (acc) - EUR / A2PSH7 / LU2051469034
|
100,00 % |
13,07 % |
-5,73 % |
11,30 % |
13,50 % |
14,85 % |
JPM Emerging Markets Sustainable Equity A (acc) - USD / A2PSH5 / LU2051468812
|
22,00 % |
13,00 % |
-5,81 % |
11,60 % |
13,52 % |
14,86 % |
JPM Emerging Markets Sustainable Equity C (dist) - USD / A2PSJA / LU2051469380
|
0,00 % |
13,97 % |
-3,54 % |
16,01 % |
13,52 % |
14,87 % |
JPM Emerging Markets Sustainable Equity C (acc) - USD / A2PSH9 / LU2051469208
|
0,00 % |
13,95 % |
-3,55 % |
16,02 % |
13,52 % |
14,87 % |
JPM Thematics - Genetic Therapies C2 (acc) - USD / A2PR4L / LU2050612154
|
0,00 % |
-4,06 % |
-33,61 % |
-17,68 % |
21,07 % |
22,04 % |
JPM US Small Cap Growth I2 (acc) - USD / A2JK77 / LU1814673981
|
0,00 % |
19,89 % |
-2,02 % |
32,07 % |
23,96 % |
23,73 % |
JPM Global Bond Opportunities Sustainable C (acc) - EUR hdg / A2PRE2 / LU2051033418
|
0,00 % |
2,39 % |
-2,14 % |
3,66 % |
6,09 % |
5,28 % |
JPM USD Emerging Markets Sovereign Bond UCITS ETF USD (acc) / A2PUSX / IE00BJ06C937
|
0,00 % |
8,16 % |
3,19 % |
3,85 % |
7,88 % |
- |
JPM Global Bond Opportunities Sustainable A (acc) - EUR hdg / A2PVM6 / LU2081629425
|
100,00 % |
1,83 % |
-3,74 % |
0,82 % |
6,10 % |
- |
JPM Emerging Markets Corporate Bond I2 (acc) - CHF (hedged) / A2PVN6 / LU2081627999
|
0,00 % |
- |
- |
- |
- |
- |
JPM China A-Share Opportunities I2 (acc) - EUR (hedged) / A2PVQW / LU2081627569
|
0,00 % |
14,53 % |
-33,17 % |
-6,28 % |
23,25 % |
- |
JPM China A-Share Opportunities C (acc) - EUR (hedged) / A2PVQV / LU2081627486
|
0,00 % |
14,30 % |
-33,56 % |
-7,17 % |
23,24 % |
- |
JPM US Research Enhanced Index Equity (ESG) UCITS ETF USD d / A2PUSW / IE00BJ06C044
|
0,00 % |
34,20 % |
47,33 % |
117,17 % |
15,14 % |
- |
JPM Europe Sustainable Small Cap Equity C (acc) - EUR / A2PU5X / LU2076839492
|
0,00 % |
9,98 % |
-3,31 % |
30,88 % |
19,46 % |
- |
JPM Thematics - Genetic Therapies C2 (dist) - USD / A2PR3R / LU2053352774
|
0,00 % |
-4,07 % |
-33,61 % |
-17,70 % |
21,07 % |
22,04 % |
JPM Emerging Markets Dividend I2 (acc) - EUR / A2PN3G / LU2032601051
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Government Bond Fund I2 (acc) - USD (hedged) / A2JC1B / LU1727355254
|
0,00 % |
7,08 % |
- |
- |
- |
- |
JPM Global High Yield Corp. Bd Multi-Fac. UCITS ETF USD acc / A2PWZJ / IE00BKKCKJ46
|
0,00 % |
12,73 % |
16,19 % |
- |
6,10 % |
- |
JPM Global Bond Opportunities Sustainable C (acc) - USD / A2PRE1 / LU2051033335
|
0,00 % |
9,69 % |
13,02 % |
20,62 % |
5,76 % |
5,86 % |
JPM Income Fund C (acc) - USD / A1XFAE / LU1041600427
|
0,00 % |
12,34 % |
12,65 % |
17,18 % |
6,09 % |
7,52 % |
JPM EUR Standard Money Market VNAV S (acc.) / A2PW8L / LU2095451105
|
0,00 % |
3,96 % |
7,20 % |
- |
0,57 % |
- |
JPM USD Emerging Markets Sovereign Bond UCITS ETF CHF H acc / A2PXER / IE00BL2F2474
|
0,00 % |
0,09 % |
-5,32 % |
- |
11,76 % |
- |
JPM Income Fund I2 (acc) - EUR (hedged) / A2PW4X / LU2094610057
|
0,00 % |
5,07 % |
-2,00 % |
- |
5,35 % |
- |
JPM Income Fund C2 (acc) - EUR (hedged) / A2PZHL / LU2114516029
|
0,00 % |
5,04 % |
-2,12 % |
- |
5,36 % |
- |
JPM Income Fund C2 (acc) - USD / A2PZHM / LU2114516292
|
0,00 % |
12,45 % |
13,00 % |
- |
6,09 % |
- |
JPM Income Fund I2 (acc) - USD / A2PZHN / LU2114516375
|
0,00 % |
12,50 % |
13,13 % |
- |
6,09 % |
- |
JPM Europe Sustainable Small Cap Equity A (acc) - EUR / A2PU5Y / LU2076839146
|
100,00 % |
9,17 % |
-5,45 % |
26,02 % |
19,45 % |
- |
JPM Pacific Equity C (acc) - EUR / A1J370 / LU0822047683
|
100,00 % |
16,00 % |
-5,21 % |
21,13 % |
14,32 % |
14,73 % |
JPM Global Corporate Bond Durat.-Hedged I2 (acc) - EUR (hdg) / A2JC00 / LU1727354018
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Investment Grade Bond I (acc) - EUR hdg / A1C9QY / LU0562247188
|
0,00 % |
1,33 % |
-13,58 % |
-8,98 % |
9,06 % |
8,59 % |
JPM Global High Yield Corp. Bd Multi-Fac. UCITS ETF USD H ac / A2P2B1 / IE00BL0BLZ15
|
0,00 % |
14,30 % |
19,25 % |
- |
6,60 % |
- |
JPM Emerging Markets Debt I2 (acc) - EUR (hedged) / A2JK7E / LU1814670532
|
0,00 % |
5,51 % |
-10,12 % |
-10,31 % |
12,03 % |
13,43 % |
JPM Emerging Markets Dividend C (acc) - EUR / A1J9HT / LU0862450359
|
100,00 % |
15,50 % |
9,79 % |
32,31 % |
12,38 % |
15,01 % |
JPM EUR Liquidity VNAV E (flex dist.) / A2N8AZ / LU1850226769
|
0,00 % |
- |
- |
- |
- |
- |
JPM China A-Share Opportunities A (acc) - EUR / A14VZF / LU1255011097
|
100,00 % |
15,95 % |
-37,42 % |
-1,31 % |
23,20 % |
22,04 % |
JPM Europe Sustainable Small Cap Equity I2 (acc) - EUR / A2PU5W / LU2076840318
|
0,00 % |
10,25 % |
-2,61 % |
32,46 % |
19,46 % |
- |
JPM China A-Share Opportunities A (acc) - USD / A14VZG / LU1255011170
|
100,00 % |
15,81 % |
-37,51 % |
-1,11 % |
23,11 % |
21,96 % |
JPM Thematics - Genetic Therapies C (acc) - USD / A2PXUN / LU2098775203
|
0,00 % |
-4,12 % |
-33,74 % |
- |
21,07 % |
- |
JPM US Short Duration Bond Fund C (acc) - EUR (hedged) / A2AN77 / LU1458465447
|
0,00 % |
3,25 % |
0,20 % |
2,57 % |
2,42 % |
2,01 % |
JPM Europe Dynamic Technologies Fund I (acc) - EUR / A0JKTN / LU0248050006
|
0,00 % |
2,99 % |
-7,69 % |
48,25 % |
21,38 % |
21,64 % |
JPM Global Opportunistic Convert. Income A (acc) - EUR (hdg) / A2P6YU / LU2190469283
|
100,00 % |
-7,12 % |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income C (acc) - EUR (hdg) / A2P6YW / LU2190469523
|
0,00 % |
-6,55 % |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income S2 (div) - USD / A2P6ZB / LU2190471263
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income S2 (acc) - EUR hdg / A2P6Y0 / LU2190470026
|
0,00 % |
-6,25 % |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income S2 (div) - EUR hdg / A2P6YZ / LU2190469952
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income S2 (acc) - USD / A2P6ZC / LU2190471347
|
0,00 % |
2,96 % |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income A (acc) - USD / A2P6Y6 / LU2190470703
|
100,00 % |
1,93 % |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income I2 (acc) - EUR hdg / A2P6Y4 / LU2190470539
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income C (div) - EUR (hdg) / A2P6YV / LU2190469440
|
0,00 % |
-6,56 % |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income C (acc) - USD / A2P6Y8 / LU2190470968
|
0,00 % |
2,55 % |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income I (div) - USD / A2P6Y9 / LU2190471008
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income I (div) - EUR (hdg) / A2P6YX / LU2190469796
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income I2 (div) - EUR hdg / A2P6Y3 / LU2190470455
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income I (acc) - USD / A2P6ZA / LU2190471180
|
0,00 % |
2,57 % |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income C (div) - USD / A2P6Y7 / LU2190470885
|
0,00 % |
2,54 % |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income A (div) - USD / A2P6Y5 / LU2190470612
|
22,00 % |
- |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income A (div) - EUR (hdg) / A2P6YT / LU2190469010
|
100,00 % |
-7,12 % |
- |
- |
- |
- |
JPM Global Opportunistic Convert. Income I (acc) - EUR (hdg) / A2P6YY / LU2190469879
|
0,00 % |
-6,52 % |
- |
- |
- |
- |
JPM Global Macro Sustainable I (acc) - USD (hedged) / A2P92K / LU2209637136
|
0,00 % |
14,26 % |
12,05 % |
- |
9,90 % |
- |
JPM USD Treasury CNAV Capital (acc.) / A2N8DU / LU1873132440
|
0,00 % |
10,83 % |
21,46 % |
- |
7,37 % |
- |
JPM Pacific Equity I2 (acc) - USD / A2JK75 / LU1814673718
|
0,00 % |
16,05 % |
-4,82 % |
- |
14,23 % |
- |
JPM Global High Yield Bond C2 (acc) - EUR (hedged) / A2QBQL / LU2219423709
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Corporate Bd Research Enha. Idx ESG UCITS ETF USD d / A2QAZ5 / IE00BN4RDY28
|
0,00 % |
7,83 % |
1,28 % |
- |
7,08 % |
- |
JPM Thematics - Genetic Therapies I2 (acc) - EUR (hedged) / A2P00D / LU2127216625
|
0,00 % |
-8,74 % |
-40,14 % |
- |
21,46 % |
- |
JPM Europe Strategic Value C (dist) - EUR / A1J8X6 / LU0828466382
|
0,00 % |
13,08 % |
31,23 % |
35,86 % |
14,62 % |
21,22 % |
JPM Greater China C (acc) - EUR / A12AXG / LU1106505156
|
0,00 % |
21,62 % |
-18,76 % |
13,18 % |
23,43 % |
21,63 % |
JPM Carbon Transition Global Eqty (CTB) UCITS ETF - USD (a) / A2P4WJ / IE00BMDWYZ92
|
0,00 % |
25,82 % |
33,68 % |
- |
13,59 % |
- |
JPM Multi-Manager Alternatives I2 (acc) - EUR (hedged) / A2PDJA / LU1931928748
|
0,00 % |
2,71 % |
0,10 % |
9,62 % |
4,14 % |
5,34 % |
JPM Multi-Manager Sustainable Long-Short C (perf) acc - USD / A2PTUJ / LU2065735974
|
0,00 % |
-5,32 % |
- |
- |
- |
- |
JPM Asia Growth A (acc) - EUR / A2QG5H / LU2257583109
|
100,00 % |
14,67 % |
-9,58 % |
- |
16,62 % |
- |
JPM Multi-Manager Alternatives I2 (acc) - USD / A2QJLP / LU2264168464
|
0,00 % |
9,88 % |
15,00 % |
- |
7,53 % |
- |
JPM EUR Standard Money Market VNAV R (acc.) / A2PW8K / LU2095451014
|
0,00 % |
3,94 % |
6,61 % |
- |
0,57 % |
- |
JPM EUR Standard Money Market VNAV Select (acc.) / A2PW8H / LU2095450800
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Standard Money Market VNAV E (acc.) / A2PW8G / LU2095450719
|
0,00 % |
3,91 % |
7,10 % |
- |
0,56 % |
- |
JPM EUR Standard Money Market VNAV W (acc.) / A2PW8M / LU2095451287
|
0,00 % |
3,86 % |
7,02 % |
- |
0,56 % |
- |
JPM EUR Standard Money Market VNAV Capital (acc.) / A2PW8E / LU2095450552
|
0,00 % |
3,88 % |
7,04 % |
- |
0,56 % |
- |
JPM EUR Standard Money Market VNAV X (acc.) / A2PW8N / LU2095451360
|
0,00 % |
3,97 % |
- |
- |
- |
- |
JPM EUR Standard Money Market VNAV Institutional (acc.) / A2PW8J / LU2095450982
|
0,00 % |
3,81 % |
6,94 % |
- |
0,55 % |
- |
JPM EUR Standard Money Market VNAV C (acc.) / A2PW8D / LU2095450479
|
0,00 % |
3,81 % |
6,94 % |
- |
0,55 % |
- |
JPM Emerging Markets Diversified Equity Plus I (acc) - EUR / A2QGC6 / LU2250468837
|
0,00 % |
18,42 % |
5,79 % |
- |
13,90 % |
- |
JPM Emerging Markets Diversified Equity Plus I (acc) - USD / A2QBQQ / LU2188545086
|
0,00 % |
18,32 % |
5,52 % |
- |
13,86 % |
- |
JPM Emerging Markets Diversified Equity Plus C (acc) - EUR / A2QBQT / LU2190025309
|
0,00 % |
18,38 % |
5,50 % |
- |
13,90 % |
- |
JPM Emerging Markets Diversified Equity Plus A (acc) - EUR / A2QBQW / LU2190025218
|
22,00 % |
17,48 % |
3,11 % |
- |
13,89 % |
- |
JPM Asia Growth C (acc) - EUR / A2JHCV / LU1801825867
|
0,00 % |
15,65 % |
-7,25 % |
11,30 % |
16,63 % |
16,94 % |
JPM US Small Cap Growth C (dist) - USD / A1J38E / LU0822049382
|
0,00 % |
19,72 % |
-2,43 % |
31,14 % |
23,96 % |
23,73 % |
JPM China Bond Opportunities A (acc) - USD / A2PVM8 / LU2081604436
|
100,00 % |
9,66 % |
2,28 % |
- |
5,99 % |
- |
JPM China A-Share Opportunities I (dist) - USD / A14VZS / LU1255012491
|
100,00 % |
16,73 % |
-36,02 % |
2,99 % |
23,12 % |
21,98 % |
JPM China A-Share Opportunities I (acc) - USD / A2PSML / LU2055182070
|
0,00 % |
16,72 % |
-36,01 % |
3,01 % |
23,12 % |
21,98 % |
JPM Global Income Sustainable A (acc) - EUR / A2QL4U / LU2279688936
|
100,00 % |
6,78 % |
-2,22 % |
- |
10,00 % |
- |
JPM Global Income Sustainable A (dist) - EUR / A2QL4Y / LU2279689314
|
100,00 % |
6,74 % |
-2,26 % |
- |
10,01 % |
- |
JPM Global Income Sustainable A (div) - EUR / A2QL40 / LU2279689587
|
100,00 % |
6,74 % |
-2,27 % |
- |
10,01 % |
- |
JPM Global Income Sustainable C (acc) - EUR / A2QL45 / LU2279690163
|
0,00 % |
7,50 % |
-0,17 % |
- |
10,01 % |
- |
JPM Global Income Sustainable C (dist) - EUR / A2QL49 / LU2279690676
|
0,00 % |
7,50 % |
-0,18 % |
- |
10,01 % |
- |
JPM Global Income Sustainable C (div) - EUR / A2QL5C / LU2279690916
|
0,00 % |
7,48 % |
-0,20 % |
- |
10,02 % |
- |
JPM Global Income Sustainable I (acc) - EUR / A2QL5G / LU2279691302
|
0,00 % |
7,53 % |
-0,08 % |
- |
10,01 % |
- |
JPM Global Dividend A (div) - EUR / A1JQFE / LU0714179727
|
100,00 % |
13,89 % |
25,95 % |
64,14 % |
11,19 % |
14,12 % |
JPM Global Corporate Bond C (dist) - AUD (hedged) / A2P42M / LU2178853292
|
0,00 % |
0,37 % |
-11,64 % |
- |
11,81 % |
- |
JPM China Bond Opportunities C (acc) - EUR / A2PVNC / LU2067133210
|
0,00 % |
10,44 % |
4,16 % |
- |
5,80 % |
- |
JPM Diversified Risk Fund C (acc) - CHF (hedged) / A2DVUK / LU1662733408
|
0,00 % |
3,91 % |
31,04 % |
- |
7,38 % |
- |
JPM Emerging Markets Investment Grade Bond I2 (acc) - EUR h / A2JK7H / LU1814670888
|
0,00 % |
1,42 % |
-13,36 % |
-8,61 % |
9,06 % |
8,59 % |
JPM Global Value A (acc) - EUR / A3CN81 / LU2334866550
|
100,00 % |
16,74 % |
35,92 % |
- |
13,07 % |
- |
JPM Global Value A (acc) - USD / A3CN83 / LU2334866634
|
22,00 % |
16,56 % |
35,68 % |
- |
12,83 % |
- |
JPM Global Value C (acc) - USD / A3CN86 / LU2334866980
|
0,00 % |
17,55 % |
39,19 % |
- |
12,84 % |
- |
JPM Global Value C (acc) - EUR / A3CN84 / LU2334866808
|
0,00 % |
17,73 % |
39,47 % |
- |
13,08 % |
- |
JPM Emerging Markets Sustainable Equity S2 (acc) - EUR / A2PSJF / LU2051469976
|
0,00 % |
-20,74 % |
- |
- |
- |
- |
JPM Europe Sustainable Small Cap Equity S2 (acc) - EUR / A2PV0U / LU2084640940
|
0,00 % |
10,49 % |
-1,96 % |
33,94 % |
19,46 % |
- |
JPM Global Bond Opportunities C2 (dist) - GBP (hedged) / A2PQ42 / LU2049642544
|
0,00 % |
8,46 % |
5,04 % |
12,30 % |
8,60 % |
9,00 % |
Access Balanced Fund (USD) X (acc) / A1C4XN / LU0540044194
|
0,00 % |
20,16 % |
23,39 % |
- |
9,02 % |
- |
JPM Global Value A (dist) - EUR / A3CS4U / LU2358481989
|
100,00 % |
16,73 % |
35,92 % |
- |
13,08 % |
- |
JPM US Sustainable Equity A (acc) - USD / A3CTZ5 / LU2363199030
|
22,00 % |
31,28 % |
39,45 % |
- |
15,84 % |
- |
JPM US Sustainable Equity C (dist) - USD / A3CTZX / LU2363199543
|
0,00 % |
32,70 % |
43,77 % |
- |
15,86 % |
- |
JPM US Sustainable Equity C2 (acc) - USD / A3CTZR / LU2363199626
|
0,00 % |
32,84 % |
44,37 % |
- |
15,85 % |
- |
JPM US Sustainable Equity I2 (acc) - USD / A3CTZ3 / LU2363200226
|
0,00 % |
32,83 % |
44,70 % |
- |
15,85 % |
- |
JPM US Sustainable Equity A (dist) - USD / A3CTZZ / LU2363199113
|
22,00 % |
31,23 % |
39,37 % |
- |
15,84 % |
- |
JPM US Sustainable Equity I (acc) - USD / A3CTZV / LU2363200143
|
0,00 % |
32,78 % |
44,32 % |
- |
15,85 % |
- |
JPM US Sustainable Equity C (acc) - USD / A3CTZ1 / LU2363199386
|
0,00 % |
32,73 % |
44,16 % |
- |
15,85 % |
- |
JPM US Sustainable Equity S2 (acc) - USD / A3CTZ2 / LU2363200499
|
0,00 % |
33,11 % |
45,43 % |
- |
15,85 % |
- |
JPM Income Fund A (acc) - EUR (hedged) / A1XE96 / LU1041599587
|
22,00 % |
4,38 % |
-3,94 % |
-1,96 % |
5,35 % |
6,65 % |
JPM US Hedged Equity X (dist) - USD / A3CWK1 / LU2372580378
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Hedged Equity X (dist) - EUR (hedged) / A3CWK0 / LU2372580451
|
0,00 % |
- |
- |
- |
- |
- |
JPM Multi-Manager Alternatives X (acc) - EUR (hedged) / A3CWK2 / LU2373523864
|
0,00 % |
3,23 % |
1,64 % |
- |
4,14 % |
- |
JPM Global Research Enh. Idx Equity (ESG) UCITS ETF USD dist / A3CYEG / IE000HFXP0D2
|
0,00 % |
26,99 % |
38,77 % |
- |
13,77 % |
- |
JPM Europe Research Enhanced Idx Eqty (ESG) UCITS ETF EUR d / A3CYEH / IE000WGK3YY5
|
0,00 % |
6,66 % |
17,53 % |
- |
13,33 % |
- |
JPM Global Em. Mkts Res. Enh. Idx Eqty (ESG) UCITS ETF USD d / A3CYEF / IE000Y4K4833
|
0,00 % |
15,35 % |
2,06 % |
- |
13,71 % |
- |
JPM Global Natural Resources I2 (acc) - USD / A2JK7Z / LU1814672660
|
0,00 % |
-1,93 % |
29,89 % |
- |
18,71 % |
- |
JPM US Sustainable Equity C (acc) - EUR (hedged) / A3CTZT / LU2363199469
|
0,00 % |
24,03 % |
23,41 % |
- |
17,18 % |
- |
JPM US Sustainable Equity A (acc) - EUR (hedged) / A3CTZU / LU2363199204
|
22,00 % |
22,68 % |
19,41 % |
- |
17,17 % |
- |
JPM Multi-Manager Alternatives C (acc) - CHF (hedged) / A141R4 / LU1303368176
|
22,00 % |
1,86 % |
6,59 % |
21,18 % |
5,32 % |
5,90 % |
JPM Global Corporate Bond C (acc) - CHF (hedged) / A2QLTG / LU2279115575
|
0,00 % |
1,94 % |
-3,82 % |
- |
9,45 % |
- |
JPM Emerging Europe Equity I2 (dist) - USD / A3C33T / LU2391845612
|
0,00 % |
- |
- |
- |
- |
- |
JPM America Equity I2 (dist) - USD / A2JCZY / LU1727351691
|
0,00 % |
33,05 % |
54,25 % |
- |
15,67 % |
- |
JPM China C (dist) - EUR (hedged) / A3C3FU / LU2386649342
|
0,00 % |
10,07 % |
-40,27 % |
- |
33,30 % |
- |
JPM Climate Change Solutions A (acc) - EUR / A3C7UB / LU2394008846
|
100,00 % |
14,81 % |
3,91 % |
- |
- |
- |
JPM Global Short Duration Bond I2 (dist) - GBP (hedged) / A2JC1F / LU1727355924
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Sustainable Equity Fund I (acc) - EUR / A3CUPD / LU2293888603
|
0,00 % |
23,29 % |
27,81 % |
- |
14,96 % |
- |
JPM Climate Change Solutions S2 (acc) - USD / A3C7U2 / LU2394008929
|
0,00 % |
- |
- |
- |
- |
- |
JPM Carbon Transition Global Eqty (CTB) UCITS ETF - EUR H a / A3C4Y7 / IE000W95TAE6
|
0,00 % |
20,41 % |
- |
- |
- |
- |
JPM Asia Growth I2 (dist) - USD / A3DA88 / LU2425990988
|
0,00 % |
- |
- |
- |
- |
- |
JPM Income Fund A (acc) - USD / A1XE95 / LU1041599405
|
100,00 % |
11,75 % |
10,87 % |
14,09 % |
6,09 % |
7,52 % |
JPM Income Fund C (div) - EUR (hedged) / A1XFAD / LU1041600344
|
0,00 % |
4,95 % |
-2,41 % |
0,67 % |
5,35 % |
6,65 % |
JPM Income Fund C (acc) - EUR (hedged) / A1XFAF / LU1041600690
|
0,00 % |
4,93 % |
-2,41 % |
0,67 % |
5,35 % |
6,65 % |
JPM US Value I (acc) - EUR / A2DVDJ / LU1662401824
|
0,00 % |
19,64 % |
34,01 % |
65,96 % |
13,23 % |
16,57 % |
JPM Global Convertibles Conservative I (acc) - EUR (hedged) / A2DL54 / LU1569816215
|
0,00 % |
4,43 % |
- |
- |
- |
- |
JPM Global Convertibles Conservative C (div) - EUR (hedged) / A3D67T / LU2415399034
|
100,00 % |
- |
- |
- |
- |
- |
JPM Global Convertibles Conservative C (div) - USD / A3D67L / LU2415399117
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Convertibles Conservative C (acc) - EUR (hedged) / A2DL53 / LU1569816132
|
100,00 % |
4,39 % |
- |
- |
- |
- |
JPM Global Convertibles Conservative S2 (acc) - USD / A3D67M / LU2415399547
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Convertibles Conservative S2 (acc) - EUR (hedged) / A3D67R / LU2415399463
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Convertibles Conservative A (div) - EUR (hedged) / A3D67P / LU2415398812
|
100,00 % |
3,71 % |
- |
- |
- |
- |
JPM Global Convertibles Conservative A (acc) - EUR (hedged) / A2DL52 / LU1569816058
|
100,00 % |
3,72 % |
- |
- |
- |
- |
JPM AC Asia Pa. ex Ja. Re. Enh. Idx Eqty ESG UCITS ETF USD a / A3CPEP / IE00BMDV7354
|
0,00 % |
16,57 % |
- |
- |
- |
- |
JPM AC Asia Pa. ex Ja. Re. Enh. Idx Eqty ESG UCITS ETF USD d / A3CR8D / IE000P334X90
|
0,00 % |
16,57 % |
- |
- |
- |
- |
JPM China A Research Enhanced Idx Eqty (ESG) UCITS ETF USD d / A3CR0R / IE000DS9ZCL4
|
0,00 % |
20,90 % |
- |
- |
- |
- |
JPM China A Research Enhanced Idx Eqty (ESG) UCITS ETF USD a / A3CPEQ / IE00BMDV7578
|
0,00 % |
20,90 % |
- |
- |
- |
- |
JPM Global Sustainable Equity Fund A (acc) - EUR / A3CUPA / LU2293888199
|
100,00 % |
21,96 % |
- |
- |
- |
- |
JPM RMB Ultra-Short Income UCITS ETF USD (dist) / A3CPES / IE00BMDV7461
|
0,00 % |
-2,80 % |
- |
- |
- |
- |
JPM RMB Ultra-Short Income UCITS ETF USD (acc) / A3CYEJ / IE000RE0WX27
|
0,00 % |
-2,80 % |
- |
- |
- |
- |
JPM US Value C (acc) - EUR / A119RX / LU1098399733
|
0,00 % |
19,59 % |
33,85 % |
65,51 % |
13,23 % |
16,57 % |
JPM Global Research Enh. Idx Equity (ESG) UCITS ETF EUR H a / A3C4Y4 / IE0000UW95D6
|
0,00 % |
21,17 % |
25,95 % |
- |
- |
- |
JPM BetaBuilders US Treasury Bond 0-3 Mths UCITS ETF USD acc / A2QL1K / IE00BMD8KM66
|
0,00 % |
10,88 % |
21,41 % |
- |
7,36 % |
- |
JPM BetaBuilders China Aggregate Bond UCITS ETF - USD (dist) / A3CYEL / IE000RJNOUX7
|
0,00 % |
11,30 % |
- |
- |
- |
- |
JPM BetaBuilders China Aggregate Bond UCITS ETF - USD (acc) / A3CYEM / IE000TB7IEF3
|
0,00 % |
11,30 % |
- |
- |
- |
- |
JPM US Research Enhanced Index Equity (ESG) UCITS ETF EURH a / A3C4Y6 / IE000CN8T855
|
0,00 % |
25,40 % |
- |
- |
- |
- |
JPM Japan Research Enhanced Idx Equity ESG UCITS ETF USD d / A3CR8E / IE00005YSIA4
|
0,00 % |
13,77 % |
- |
- |
- |
- |
JPM Japan Research Enhanced Idx Equity ESG UCITS ETF USD a / A3CPER / IE00BP2NF958
|
0,00 % |
13,77 % |
- |
- |
- |
- |
JPM Asia Pacific Income C (dist) - USD / A1J323 / LU0822046792
|
0,00 % |
14,34 % |
11,82 % |
23,50 % |
7,85 % |
9,68 % |
JPM BetaBuilders China Aggregate Bond UCITS ETF - EURH (acc) / A3DCK4 / IE000B8M14I0
|
0,00 % |
9,13 % |
- |
- |
- |
- |
JPM China A-Share Opportunities I (acc) - EUR / A14VZR / LU1255012228
|
0,00 % |
16,90 % |
-35,91 % |
- |
23,23 % |
- |
JPM US Research Enhanced Index Equity (ESG) UCITS ETF CHFH a / A3DG6Z / IE000K54GGV6
|
0,00 % |
24,56 % |
- |
- |
- |
- |
JPM Japan Research Enhanced Idx Equity ESG UCITS ETF EUR H a / A3DG6W / IE000QGWZZO0
|
0,00 % |
20,70 % |
- |
- |
- |
- |
JPM Eurozone Research Enhanced Idx Eqty ESG UCITS ETF EUR d / A3DEJU / IE000783LRG9
|
0,00 % |
7,66 % |
- |
- |
- |
- |
JPM Eurozone Research Enhanced Idx Eqty ESG UCITS ETF EUR a / A3DEH3 / IE00004PGEY9
|
0,00 % |
7,66 % |
- |
- |
- |
- |
JPM BetaBuilders China Aggregate Bond UCITS ETF - USD H dist / A3DJQB / IE000V2GJJQ3
|
0,00 % |
17,09 % |
- |
- |
- |
- |
JPM Global High Yield Corp. Bd Multi-Fac. UCITS ETF CHF H ac / A3DG6Y / IE000MO5BTJ4
|
0,00 % |
5,92 % |
- |
- |
- |
- |
JPM Global High Yield Corp. Bd Multi-Fac. UCITS ETF EUR H di / A3DG6X / IE000YK1TO74
|
0,00 % |
6,69 % |
- |
- |
- |
- |
JPM USD Corporate Bd Research Enha. Idx ESG UCITS ETF EURH a / A3C4QK / IE0000J0F3C5
|
0,00 % |
- |
- |
- |
- |
- |
Access Balanced Fund (EUR) Q (acc) / A2QP6T / LU2311382183
|
0,00 % |
17,78 % |
16,55 % |
- |
9,31 % |
- |
JPM Climate Change Solutions UCITS ETF USD (acc) / A3DGX9 / IE000O8S1EX4
|
0,00 % |
17,47 % |
- |
- |
- |
- |
JPM Global Research Enhanced Index Equity Fund A acc USD / A3DB52 / LU2402382688
|
100,00 % |
23,69 % |
- |
- |
- |
- |
JPM Global Research Enhanced Index Equity Fund A dist USD / A3DB5Y / LU2402383140
|
100,00 % |
23,69 % |
- |
- |
- |
- |
JPM Global Dividend I (acc) - EUR / A0M60G / LU0329203813
|
0,00 % |
14,98 % |
29,70 % |
72,55 % |
11,19 % |
14,13 % |
JPM US Sustainable Equity S2 (dist) - EUR / A3DH59 / LU2462223558
|
0,00 % |
33,31 % |
- |
- |
- |
- |
JPM Climate Change Solutions A (dist) - EUR / A3C7UE / LU2394011394
|
100,00 % |
14,80 % |
3,89 % |
- |
- |
- |
JPM Global Research Enhanced Index Equity Fund A dist EUR / A3DB5U / LU2402382761
|
100,00 % |
23,88 % |
- |
- |
- |
- |
JPM Global Research Enhanced Index Equity Fund A acc EUR / A3DB50 / LU2402381953
|
100,00 % |
23,88 % |
- |
- |
- |
- |
JPM Global Research Enhanced Index Equity Fund C dist GBP / A1T7KG / LU0891038787
|
0,00 % |
23,99 % |
- |
- |
- |
- |
JPM Global Research Enhanced Index Equity Fund I dist EUR / A2DN6W / LU1590087893
|
0,00 % |
24,17 % |
- |
- |
- |
- |
JPM Global Research Enhanced Index Equity Fund A acc CHF H / A3DB51 / LU2402381797
|
22,00 % |
17,25 % |
- |
- |
- |
- |
JPM EUR Standard Money Market VNAV A (acc.) / A2PW8B / LU2095450123
|
100,00 % |
3,49 % |
- |
- |
- |
- |
JPM EUR Standard Money Market VNAV B (acc.) / A2PW8C / LU2095450396
|
0,00 % |
3,69 % |
- |
- |
- |
- |
JPM EUR Standard Money Market VNAV D (acc.) / A2PW8F / LU2095450636
|
100,00 % |
3,40 % |
- |
- |
- |
- |
JPM Global Research Enhanced Index Equity Fund A acc EUR H / A3DB5W / LU2402382175
|
100,00 % |
18,02 % |
- |
- |
- |
- |
JPM Global Research Enhanced Index Equity Fund A acc SGD / A3DB5Z / LU2402382506
|
22,00 % |
23,70 % |
- |
- |
- |
- |
JPM Global Research Enhanced Index Equity Fund A dist GBP / A3DB5X / LU2402382928
|
22,00 % |
23,75 % |
- |
- |
- |
- |
JPM Global Research Enhanced Index Equity Fund C acc USD / A1T7KF / LU0891038514
|
22,00 % |
23,92 % |
36,73 % |
85,60 % |
13,40 % |
15,40 % |
JPM BetaBuilders US Small Cap Equity UCITS ETF USD (dist) / A3DQ09 / IE0001O84583
|
0,00 % |
23,38 % |
- |
- |
- |
- |
JPM BetaBuilders US Small Cap Equity UCITS ETF USD (acc) / A3DQ08 / IE000JNKVS10
|
0,00 % |
23,38 % |
- |
- |
- |
- |
JPM Japan Research Enhanced Idx Equity ESG UCITS ETF CHF H a / A3DQMR / IE0003B6RHN4
|
0,00 % |
20,59 % |
- |
- |
- |
- |
JPM Global Select Equity X (acc) - EUR (hedged) / A3DQPW / LU2499269491
|
0,00 % |
17,10 % |
- |
- |
- |
- |
JPM Emerging Markets Equity C (dist) - EUR / A3DQZA / LU2500871012
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Bond Opportunities Sustainable I2 (acc) - EUR hdg / A2P1JU / LU2133058912
|
0,00 % |
2,54 % |
-1,73 % |
- |
6,09 % |
- |
JPM UK Equity Core UCITS ETF - GBP (acc) / A3DMXR / IE0009YQE5W1
|
0,00 % |
13,58 % |
- |
- |
- |
- |
JPM UK Equity Core UCITS ETF - GBP (dist) / A3DMXS / IE000TZT3JJ0
|
0,00 % |
13,58 % |
- |
- |
- |
- |
JPM GBP Standard Money Market VNAV Morgan (acc.) / A2DJRE / LU1540980460
|
0,00 % |
9,40 % |
- |
- |
- |
- |
JPM US Technology I2 (acc) - EUR (hedged) / A3DRPT / LU2505684287
|
0,00 % |
26,94 % |
- |
- |
- |
- |
JPM Japan Research Enhanced Idx Equity ESG UCITS ETF JPY a / A3DQMS / IE0001A541Y3
|
0,00 % |
13,48 % |
- |
- |
- |
- |
JPM Europe Strategic Value I2 (acc) - EUR / A2JK7U / LU1814672074
|
0,00 % |
13,29 % |
32,01 % |
37,20 % |
14,62 % |
21,22 % |
JPM Multi-Manager Alternatives I2 (dist) - USD / A3DTC4 / LU2523355019
|
0,00 % |
9,88 % |
- |
- |
- |
- |
JPM EU Government Bond I2 (dist) - USD (hedged) / A3DTC6 / LU2523355100
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Sustainable Equity I2 (acc) - EUR / A2P585 / LU2184876295
|
0,00 % |
14,34 % |
-2,83 % |
- |
13,50 % |
- |
JPM APAC Managed Reserves Fund A (acc) - USD / A3DTPH / LU2521021324
|
0,00 % |
10,57 % |
- |
- |
- |
- |
JPM APAC Managed Reserves Fund C (acc) - USD / A3DTPE / LU2521021670
|
0,00 % |
10,91 % |
- |
- |
- |
- |
JPM APAC Managed Reserves Fund C (dist) - USD / A3DTPJ / LU2526457721
|
0,00 % |
10,91 % |
- |
- |
- |
- |
JPM Green Social Sustainable Bond A (acc) - USD / A3DXVT / LU2539335930
|
22,00 % |
4,29 % |
- |
- |
- |
- |
JPM Green Social Sustainable Bond A (acc) - EUR (hedged) / A3DXVQ / LU2539336748
|
22,00 % |
2,58 % |
- |
- |
- |
- |
JPM Green Social Sustainable Bond A (acc) - EUR / A3DXVP / LU2539337712
|
22,00 % |
4,44 % |
- |
- |
- |
- |
JPM Green Social Sustainable Bond A (acc) - USD (hedged) / A3DXVU / LU2545252194
|
22,00 % |
9,85 % |
- |
- |
- |
- |
JPM Green Social Sustainable Bond C (acc) - EUR (hedged) / A3DXVY / LU2539334024
|
0,00 % |
2,98 % |
- |
- |
- |
- |
JPM Green Social Sustainable Bond C (acc) - USD (hedged) / A3DXW3 / LU2545254307
|
0,00 % |
10,30 % |
- |
- |
- |
- |
JPM Green Social Sustainable Bond I (acc) - EUR (hedged) / A3DXWC / LU2545253754
|
0,00 % |
3,02 % |
- |
- |
- |
- |
JPM Diversified Risk Fund C (acc) - EUR (hedged) / A1KBP5 / LU0875417387
|
0,00 % |
4,60 % |
22,48 % |
0,48 % |
6,71 % |
8,17 % |
JPM Emerging Markets Sustainable Equity S2 (dist) - EUR / A2PSJG / LU2051470040
|
0,00 % |
-20,74 % |
- |
- |
- |
- |
JPM Global Macro Sustainable C (acc) - CHF (hedged) / A3C7EM / LU2407604797
|
0,00 % |
5,93 % |
3,67 % |
- |
- |
- |
JPM Global Macro Opportunities I (acc) - USD (hedged) / A14YR0 / LU1280406254
|
0,00 % |
15,71 % |
8,79 % |
26,97 % |
11,51 % |
9,93 % |
JPM Income Fund C (div) - USD / A1XFAG / LU1041600773
|
0,00 % |
12,35 % |
12,65 % |
17,18 % |
6,09 % |
7,52 % |
JPM Global Bond Opportunities C2 (div) - EUR (hedged) / A2PP04 / LU2038518804
|
0,00 % |
2,50 % |
-1,81 % |
4,19 % |
6,29 % |
6,14 % |
JPM Global Bond Opportunities C2 (acc) - GBP (hedged) / A2PQ4Y / LU2049642114
|
0,00 % |
8,47 % |
5,02 % |
12,29 % |
8,60 % |
9,00 % |
JPM Thematics - Genetic Therapies I2 (acc) - USD / A2PY9W / LU2112815027
|
0,00 % |
-4,03 % |
-33,54 % |
- |
21,07 % |
- |
JPM Thematics - Genetic Therapies I2 (dist) - USD / A2P79G / LU2199721304
|
0,00 % |
- |
- |
- |
- |
- |
JPM Korea Equity C (dist) - USD / A1J65Z / LU0848451752
|
0,00 % |
-9,61 % |
-23,87 % |
11,84 % |
22,70 % |
22,42 % |
JPM GBP Liquidity LVNAV W (acc.) / A2N8C3 / LU1873130584
|
0,00 % |
9,77 % |
12,98 % |
15,23 % |
4,30 % |
4,87 % |
JPM Multi-Manager Alternatives S2 (dist) - GBP (hedged) / A2PRWY / LU2053047895
|
0,00 % |
8,76 % |
7,59 % |
19,37 % |
6,87 % |
8,20 % |
JPM Emerging Markets Corporate Bond C2 (acc) - USD / A2PP0M / LU2038517822
|
0,00 % |
13,79 % |
9,65 % |
17,70 % |
7,29 % |
8,70 % |
JPM Climate Change Solutions A (acc) - EUR (hedged) / A3C7UC / LU2394011550
|
22,00 % |
11,58 % |
-1,27 % |
- |
- |
- |
JPM Climate Change Solutions A (acc) - USD / A3C7UD / LU2394011477
|
22,00 % |
14,63 % |
3,71 % |
- |
- |
- |
JPM Climate Change Solutions A (dist) - USD / A3C7UF / LU2394011121
|
22,00 % |
14,63 % |
3,54 % |
- |
- |
- |
JPM Climate Change Solutions C (acc) - EUR (hedged) / A3C7UJ / LU2394010404
|
0,00 % |
12,20 % |
0,39 % |
- |
- |
- |
JPM Climate Change Solutions C (acc) - EUR / A3C7UH / LU2394011048
|
0,00 % |
15,43 % |
5,63 % |
- |
- |
- |
JPM Climate Change Solutions C (dist) - EUR (hedged) / A3C7UN / LU2403390995
|
0,00 % |
12,23 % |
0,26 % |
- |
- |
- |
JPM Climate Change Solutions C (dist) - EUR / A3C7UM / LU2394010826
|
0,00 % |
15,46 % |
5,49 % |
- |
- |
- |
JPM Climate Change Solutions C (acc) - USD / A3C7UL / LU2394011717
|
0,00 % |
15,37 % |
5,55 % |
- |
- |
- |
JPM Climate Change Solutions I2 (acc) - EUR / A3C7UX / LU2394009653
|
0,00 % |
15,56 % |
6,17 % |
- |
- |
- |
JPM Emerging Markets Corporate Bond C2 (acc) - CHF (hedged) / A2PP0K / LU2038517582
|
0,00 % |
5,36 % |
0,90 % |
11,82 % |
9,71 % |
10,03 % |
JPM Climate Change Solutions I2 (acc) - EUR (hedged) / A3C7UY / LU2394009570
|
0,00 % |
12,33 % |
1,10 % |
- |
- |
- |
JPM Climate Change Solutions I2 (acc) - USD / A3C7UZ / LU2394009497
|
0,00 % |
15,51 % |
6,20 % |
- |
- |
- |
JPM Climate Change Solutions I (acc) - EUR (hedged) / A3C7UT / LU2394009810
|
0,00 % |
12,22 % |
0,31 % |
- |
- |
- |
JPM Climate Change Solutions I (acc) - EUR / A3C7US / LU2394010073
|
0,00 % |
15,47 % |
5,46 % |
- |
- |
- |
JPM Climate Change Solutions I (dist) - EUR / A3C7UV / LU2394009901
|
0,00 % |
15,46 % |
5,46 % |
- |
- |
- |
JPM Climate Change Solutions I (acc) - USD / A3C7UU / LU2394009737
|
0,00 % |
15,28 % |
5,31 % |
- |
- |
- |
JPM China Bond Opportunities C (dist) - USD / A3CPF4 / LU2339013935
|
0,00 % |
11,04 % |
4,72 % |
- |
6,03 % |
- |
JPM Emerging Markets Corporate Bond C2 (dist) - EUR (hedged) / A2PP0N / LU2038518044
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Markets Corporate Bond C2 (mth) - USD / A2PQ4X / LU2049643195
|
0,00 % |
13,78 % |
9,65 % |
17,18 % |
7,28 % |
8,70 % |
JPM Europe Sustainable Equity S2 (acc) - EUR / A2DHEC / LU1529809490
|
0,00 % |
19,29 % |
- |
- |
- |
- |
JPM US Small Cap Growth C (dist) - EUR (hedged) / A2QRUA / LU2320763308
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Bond Opportunities C2 (acc) - CHF (hedged) / A2PP00 / LU2038518473
|
0,00 % |
1,65 % |
4,73 % |
15,66 % |
7,87 % |
7,19 % |
JPM Global Bond Opportunities C2 (acc) - HKD / A2PQ4Z / LU2049642205
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Bond Opportunities C2 (acc) - SEK (hedged) / A2PQ40 / LU2049642387
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Bond Opportunities C2 (acc) - SGD (hedged) / A2PQ41 / LU2049642460
|
0,00 % |
5,58 % |
10,23 % |
16,35 % |
6,99 % |
7,20 % |
JPM Global Bond Opportunities C2 (dist) - USD / A2PP03 / LU2038518713
|
0,00 % |
9,79 % |
13,47 % |
21,38 % |
5,84 % |
6,35 % |
JPM Global Bond Opportunities C2 (mth) - SGD (hedged) / A2PQ44 / LU2049642890
|
0,00 % |
5,59 % |
10,21 % |
16,41 % |
6,96 % |
7,16 % |
JPM Global Bond Opportunities C2 (mth) - USD / A2PP05 / LU2038518986
|
0,00 % |
9,79 % |
13,48 % |
21,37 % |
5,84 % |
6,35 % |
JPM Global High Yield Corp. Bd Multi-Fac. UCITS ETF USD dist / A3DV5E / IE000SB9GY21
|
0,00 % |
12,73 % |
- |
- |
- |
- |
JPM Emerging Markets Sustainable Equity I (dist) - EUR / A2PSJE / LU2051469893
|
0,00 % |
14,16 % |
-3,27 % |
16,08 % |
13,51 % |
14,87 % |
JPM US Equity All Cap A (acc) - EUR (hedged) / A1XEBR / LU1033934008
|
22,00 % |
19,54 % |
17,22 % |
- |
16,64 % |
- |
JPM Carbon Transition China Equity (CTB) UCITS ETF - USD acc / A3DUAK / IE000G3A6RN7
|
0,00 % |
28,09 % |
- |
- |
- |
- |
JPM USD Standard Money Market VNAV Capital (acc.) / A2APGH / LU1458492177
|
0,00 % |
11,18 % |
- |
- |
- |
- |
JPM Aggregate Bond I2 (acc) - CHF (hedged) / A3D1D2 / LU2553085726
|
0,00 % |
1,20 % |
- |
- |
- |
- |
JPM Aggregate Bond A (acc) - CHF (hedged) / A3D1D0 / LU2553085999
|
22,00 % |
0,62 % |
- |
- |
- |
- |
JPM Aggregate Bond C (acc) - CHF (hedged) / A3D1D1 / LU2553086021
|
0,00 % |
0,99 % |
- |
- |
- |
- |
JPM Green Social Sustainable Bond D (acc) - EUR / A3DXW7 / LU2539334610
|
22,00 % |
4,03 % |
- |
- |
- |
- |
JPM Green Social Sustainable Bond D (acc) - USD / A3DXW9 / LU2539335690
|
22,00 % |
3,87 % |
- |
- |
- |
- |
JPM Green Social Sustainable Bond D (acc) - USD (hedged) / A3DXWA / LU2545252780
|
22,00 % |
9,42 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. A acc EUR / A3DXX6 / LU2539333562
|
100,00 % |
19,18 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. A acc USD / A3DXX7 / LU2539336078
|
100,00 % |
19,00 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. A dist USD / A3DXX9 / LU2539336235
|
100,00 % |
19,01 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. C acc EUR / A3DXXA / LU2539336409
|
0,00 % |
20,20 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. C acc USD / A3DXXC / LU2539336581
|
0,00 % |
20,02 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. C dist EUR / A3DXXD / LU2539336821
|
0,00 % |
- |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. D acc USD / A3DXXH / LU2539337126
|
100,00 % |
17,82 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. I acc EUR / A3DXXJ / LU2539337399
|
0,00 % |
20,25 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. I2 dist USD / A3DXXK / LU2539337555
|
0,00 % |
- |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. X acc EUR / A3DXXM / LU2539337639
|
0,00 % |
- |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. C dist USD / A3DXXF / LU2539337803
|
0,00 % |
20,02 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. A dist EUR / A3DXX8 / LU2539336151
|
100,00 % |
19,17 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. D acc EUR / A3DXXG / LU2539337043
|
100,00 % |
18,00 % |
- |
- |
- |
- |
JPM Emerging Europe Equity II A (acc) - EUR / A3D1V7 / LU2549520950
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity II A (acc) - USD / A3D1WH / LU2549521099
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity II A (dist) - EUR / A3D1WE / LU2549521172
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity II A (dist) - USD / A3D1WJ / LU2549521255
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity II C (acc) - EUR / A3D1WC / LU2549521339
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity II C (acc) - USD / A3D1V9 / LU2549521412
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity II C (dist) - EUR / A3D1WB / LU2549521503
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity II C (dist) - USD / A3D1WD / LU2549521768
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity II D (acc) - EUR / A3D1WA / LU2549521842
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity II D (acc) - USD / A3D1V6 / LU2549521925
|
100,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity II I (acc) - EUR / A3D1WF / LU2549522063
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity II I2 (dist) - USD / A3D1V8 / LU2549522147
|
0,00 % |
- |
- |
- |
- |
- |
JPM Emerging Europe Equity II X (acc) - EUR / A3D1WG / LU2549522220
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Growth I2 (dist) - GBP / A2JC2Z / LU1727358944
|
0,00 % |
- |
- |
- |
- |
- |
JPM Green Social Sustainable Bond UCITS ETF - USD (acc) / A3DXM8 / IE0005FKEK99
|
0,00 % |
4,85 % |
- |
- |
- |
- |
JPM Green Social Sustainable Bond UCITS ETF - EUR Hedged acc / A3DXM9 / IE000FBG59J1
|
0,00 % |
3,20 % |
- |
- |
- |
- |
JPM China A-Share Opportunities X (acc) - USD / A2P86H / LU2201952368
|
0,00 % |
17,63 % |
-34,54 % |
- |
23,13 % |
- |
JPM Global High Yield Bond I2 (dist) - GBP (hedged) / A2JCX2 / LU1727361815
|
0,00 % |
14,35 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. A dist GBP / A3D31Y / LU2569523439
|
100,00 % |
19,06 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. I acc USD / A3D31W / LU2569523512
|
0,00 % |
20,06 % |
- |
- |
- |
- |
JPM Europe Equity I2 (acc) - EUR / A3D7MF / LU2589321376
|
0,00 % |
8,01 % |
- |
- |
- |
- |
JPM US High Yield Plus Bond X (dist) - USD / A3D7MA / LU2589321459
|
0,00 % |
16,29 % |
- |
- |
- |
- |
JPM Global Select Equity X (dist) - USD / A3D7MC / LU2589323406
|
0,00 % |
22,50 % |
- |
- |
- |
- |
JPM US Select Equity I2 (acc) - EUR / A2JR2F / LU1863551484
|
0,00 % |
30,07 % |
40,92 % |
113,52 % |
15,42 % |
16,59 % |
JPM Emerging Markets Local Currency Debt X (acc) - EUR (hdg) / A1J7GF / LU0849815914
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Liquidity LVNAV R (acc.) / A2N8C1 / LU1873130071
|
0,00 % |
10,03 % |
- |
- |
- |
- |
JPM USD Treasury CNAV W (acc.) / A2N8D0 / LU1873133174
|
0,00 % |
10,83 % |
- |
- |
- |
- |
JPM Global Select Equity I (acc) - EUR / A3D1A6 / LU2552654589
|
0,00 % |
22,08 % |
- |
- |
- |
- |
JPM Global Growth Fund I (acc) - EUR / A0NCU6 / LU0344546048
|
0,00 % |
33,15 % |
- |
- |
- |
- |
JPM Euro Aggregate Bond I (acc) - EUR / A0X8TB / LU0430492917
|
0,00 % |
2,88 % |
- |
- |
- |
- |
JPM US Value I2 (dist) - GBP / A2JC3A / LU1727360338
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Dividend I2 (acc) - EUR / A3ECGV / LU2607066839
|
0,00 % |
15,10 % |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV E (dist.) / A3D87S / LU2599140279
|
0,00 % |
2,60 % |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV Institutional (dist.) / A3D87U / LU2599140519
|
0,00 % |
2,53 % |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV X (dist.) / A3D880 / LU2599141160
|
0,00 % |
2,64 % |
- |
- |
- |
- |
JPM US Value I2 (acc) - EUR / A2JR2G / LU1862506562
|
0,00 % |
19,76 % |
34,43 % |
66,74 % |
13,23 % |
16,57 % |
JPM China I2 (acc) - USD / A2JK7D / LU1814670458
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Res. Enhanced Idx Eqty SRI Pa. Alig. UCITS ETF USD d / A3D5KV / IE0002UMVXQ1
|
0,00 % |
33,04 % |
- |
- |
- |
- |
JPM US Res. Enhanced Idx Eqty SRI Pa. Alig. UCITS ETF USD a / A3D5KU / IE00069JGT58
|
0,00 % |
33,04 % |
- |
- |
- |
- |
JPM US Res. Enhanced Idx Eqty SRI Pa. Alig. UCITS ETF EURH a / A3D5KT / IE0006HMLPV6
|
0,00 % |
24,21 % |
- |
- |
- |
- |
JPM US Res. Enhanced Idx Eqty SRI Pa. Alig. UCITS ETF CHFH a / A3D5KS / IE000F7TZ3H9
|
0,00 % |
23,39 % |
- |
- |
- |
- |
JPM Global Res. Enh. Idx Eqty SRI Pa. Alig. UCITS ETF USD a / A3D5KQ / IE000BXC49I6
|
0,00 % |
25,06 % |
- |
- |
- |
- |
JPM Global Res. Enh. Idx Eqty SRI Pa. Alig. UCITS ETF USD d / A3D5KR / IE000FYTRRJ6
|
0,00 % |
25,06 % |
- |
- |
- |
- |
JPM Global Res. Enh. Idx Eqty SRI Pa. Alig. UCITS ETF EUR a / A3EGP9 / IE0003JSNHV9
|
0,00 % |
25,29 % |
- |
- |
- |
- |
JPM Global Res. Enh. Idx Eqty SRI Pa. Alig. UCITS ETF EURH a / A3D5KP / IE000UZIKD07
|
0,00 % |
19,79 % |
- |
- |
- |
- |
JPM Global Res. Enh. Idx Eqty SRI Pa. Alig. UCITS ETF CHFH a / A3D5KN / IE000RC2UNU0
|
0,00 % |
19,04 % |
- |
- |
- |
- |
JPM Gbl Short Duration Corp. Bond Sust. A (acc) - EUR (hdg) / A3EMDF / LU2634473362
|
22,00 % |
3,69 % |
- |
- |
- |
- |
JPM Gbl Short Duration Corp. Bond Sust. C (acc) - EUR (hdg) / A3EMDJ / LU2634480060
|
0,00 % |
3,95 % |
- |
- |
- |
- |
JPM Gbl Short Duration Corp. Bond Sust. A (acc) - USD / A3EMDH / LU2634480144
|
22,00 % |
11,00 % |
- |
- |
- |
- |
JPM Gbl Short Duration Corp. Bond Sust. D (acc) - EUR (hdg) / A3EMDM / LU2634481548
|
22,00 % |
3,28 % |
- |
- |
- |
- |
JPM Gbl Short Duration Corp. Bond Sust. C (acc) - USD / A3EMDL / LU2634483833
|
0,00 % |
11,45 % |
- |
- |
- |
- |
JPM Gbl Short Duration Corp. Bond Sust. D (acc) - USD / A3EMDN / LU2634483916
|
22,00 % |
10,49 % |
- |
- |
- |
- |
JPM Gbl Short Duration Corp. Bond Sust. I (acc) - EUR (hdg) / A3EMDP / LU2634486000
|
0,00 % |
4,26 % |
- |
- |
- |
- |
JPM Gbl Short Duration Corp. Bond Sust. I (acc) - USD / A3EMDR / LU2634488717
|
0,00 % |
11,50 % |
- |
- |
- |
- |
JPM Gbl Short Duration Corp. Bond Sust. I2 (acc) - EUR (hdg) / A3EMDS / LU2634490374
|
0,00 % |
4,29 % |
- |
- |
- |
- |
JPM Gbl Short Duration Corp. Bond Sust. I2 (acc) - USD / A3EMDT / LU2634490531
|
0,00 % |
11,64 % |
- |
- |
- |
- |
JPM US Res. Enhanced Idx Eqty SRI Pa. Alig. UCITS ETF EUR a / A3ES7X / IE000I5MBLC4
|
0,00 % |
33,29 % |
- |
- |
- |
- |
Access Growth Fund (USD) Inst (acc) - EUR hedged / A3EEGZ / LU2615006041
|
22,00 % |
17,96 % |
- |
- |
- |
- |
Access Growth Fund (USD) C (acc) - EUR hedged / A3EEGY / LU2615006124
|
22,00 % |
17,82 % |
- |
- |
- |
- |
JPM Global Core Equity C2 (acc) - EUR / A3D7LA / LU2582001447
|
0,00 % |
22,70 % |
- |
- |
- |
- |
Access Balanced Fund (USD) C (acc) - EUR hedged / A3D8GP / LU2591166785
|
22,00 % |
13,80 % |
- |
- |
- |
- |
JPM Global Aggregate Bond Active UCITS ETF - USD (acc) / A3EMZ3 / IE0006MM8VN6
|
0,00 % |
4,51 % |
- |
- |
- |
- |
JPM Global Aggregate Bond Active UCITS ETF - USD (dist) / A3EMZ6 / IE000LHP8TA1
|
0,00 % |
4,56 % |
- |
- |
- |
- |
JPM Global Aggregate Bond Active UCITS ETF - USD Hedged acc / A3EMZ5 / IE0003CEOZG5
|
0,00 % |
9,04 % |
- |
- |
- |
- |
JPM Global Aggregate Bond Active UCITS ETF - EUR Hedged acc / A3EMZ4 / IE000PQQLZM7
|
0,00 % |
1,76 % |
- |
- |
- |
- |
JPM Global Dividend C (acc) - USD / A0M6Z9 / LU0329202922
|
0,00 % |
14,76 % |
29,29 % |
72,51 % |
10,85 % |
14,02 % |
JPM Global Dividend C (acc) - EUR (hedged) / A0M60B / LU0329203227
|
0,00 % |
9,87 % |
- |
- |
- |
- |
JPM Global Dividend X (acc) - EUR (hedged) / A1J8G1 / LU0857599061
|
0,00 % |
10,58 % |
- |
- |
- |
- |
JPM Global Select Equity I (acc) - EUR (hedged) / A3ES5X / LU2663281843
|
0,00 % |
16,52 % |
- |
- |
- |
- |
JPM Global Dividend A (dist) - EUR / A0M6Z4 / LU0329202336
|
22,00 % |
13,77 % |
- |
- |
- |
- |
JPM Global Equity Premium Income Active UCITS ETF USD (acc) / A3EHRD / IE000WX7BVB0
|
0,00 % |
15,42 % |
- |
- |
- |
- |
JPM Global Equity Premium Income Active UCITS ETF USD (dist) / A3EHRE / IE0003UVYC20
|
0,00 % |
15,42 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. A acc EUR h / A3ES5T / LU2659281450
|
100,00 % |
11,07 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. A dis EUR h / A3ES5U / LU2659281708
|
100,00 % |
11,07 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. C acc EUR h / A3ES5Y / LU2659281534
|
100,00 % |
12,03 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. C dis EUR h / A3ES5P / LU2659281617
|
0,00 % |
12,02 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. D acc EUR h / A3ES5Q / LU2659281880
|
100,00 % |
9,97 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. I acc EUR h / A3ES5W / LU2659281963
|
0,00 % |
- |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. X acc EUR h / A3EXDA / LU2659282003
|
0,00 % |
13,07 % |
- |
- |
- |
- |
JPM Middle East, Africa and Emerging Europe Opp. X acc USD / A3E0WZ / LU2715920513
|
0,00 % |
- |
- |
- |
- |
- |
JPM Euroland Equity I2 (acc) - EUR / A2JK7N / LU1814671266
|
0,00 % |
10,85 % |
23,58 % |
46,21 % |
15,86 % |
19,36 % |
JPM Global Corporate Bond C (dist) - USD / A1J2SU / LU0815276950
|
0,00 % |
10,16 % |
4,95 % |
12,59 % |
6,46 % |
7,43 % |
JPM Global Core Equity C (acc) - EUR / A3D7LM / LU2582002171
|
0,00 % |
22,57 % |
- |
- |
- |
- |
JPM US Select Equity Plus C (acc) - EUR / A2H7CK / LU1718419333
|
0,00 % |
35,34 % |
53,71 % |
133,22 % |
15,58 % |
16,49 % |
JPM US Equity Active UCITS ETF - USD (dist) / A3EYKB / IE0007ILCZU4
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Equity Active UCITS ETF - EUR Hedged (acc) / A3EYKA / IE000BZFW5H7
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Equity Active UCITS ETF - USD (acc) / A3EYJ9 / IE000RSCXLM4
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Growth Equity Active UCITS ETF - USD (dist) / A3EW6L / IE0003KQ8JX1
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Growth Equity Active UCITS ETF - USD (acc) / A3EW6K / IE0005CH3U28
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Growth Equity Active UCITS ETF - EUR Hedged (acc) / A3EW6M / IE000UZZ5SU2
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Value Equity Active UCITS ETF - USD (acc) / A3EW6J / IE000TD3TI26
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Value Equity Active UCITS ETF - USD (dist) / A3EW6N / IE000DTA2ZH9
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Value Equity Active UCITS ETF - EUR Hedged (acc) / A3EW6T / IE000CQQ22C8
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe High Yield Short Duration Bond I (acc) - EUR / A2DKEA / LU1549373154
|
0,00 % |
5,88 % |
12,04 % |
16,02 % |
4,38 % |
6,35 % |
JPM Emerging Markets Social Advancement A (acc) - USD / A3D9QB / LU2597109102
|
0,00 % |
6,33 % |
- |
- |
- |
- |
JPM Global Core Equity S1 (acc) - USD / A3D7LQ / LU2582000639
|
0,00 % |
22,77 % |
- |
- |
- |
- |
JPM Global Core Equity S1 (dist) - USD / A3D7LE / LU2582000712
|
0,00 % |
22,74 % |
- |
- |
- |
- |
JPM Global Core Equity S1 (acc) - EUR / A3D7LP / LU2582000803
|
0,00 % |
22,82 % |
- |
- |
- |
- |
JPM Global Core Equity S1 (dist) - EUR / A3D7LB / LU2582000985
|
0,00 % |
22,82 % |
- |
- |
- |
- |
JPM Global Core Equity S1 (dist) - EUR (hedged) / A3D7LG / LU2582001017
|
0,00 % |
16,83 % |
- |
- |
- |
- |
JPM Global Core Equity C2 (acc) - USD / A3D7LN / LU2582001280
|
0,00 % |
22,52 % |
- |
- |
- |
- |
JPM Global Core Equity C2 (dist) - USD / A3D7LJ / LU2582001363
|
0,00 % |
22,51 % |
- |
- |
- |
- |
JPM Global Core Equity C2 (dist) - EUR / A3D7LF / LU2582001520
|
0,00 % |
22,70 % |
- |
- |
- |
- |
JPM Global Core Equity C2 (acc) - EUR (hedged) / A3D7LK / LU2582001793
|
0,00 % |
16,65 % |
- |
- |
- |
- |
JPM Global Core Equity C2 (dist) - EUR (hedged) / A3D7LC / LU2582001876
|
0,00 % |
16,66 % |
- |
- |
- |
- |
JPM Global Core Equity C (acc) - USD / A3D7LR / LU2582001959
|
0,00 % |
22,39 % |
- |
- |
- |
- |
JPM Global Core Equity C (dist) - USD / A3D7LL / LU2582002098
|
0,00 % |
22,40 % |
- |
- |
- |
- |
JPM Emerging Markets Social Advancement A (acc) - EUR / A3D9QA / LU2597107403
|
0,00 % |
6,75 % |
- |
- |
- |
- |
JPM Emerging Markets Social Advancement S2 (acc) - EUR / A3D9QN / LU2597107825
|
0,00 % |
7,98 % |
- |
- |
- |
- |
JPM Emerging Markets Social Advancement I (dist) - EUR / A3D9QK / LU2597108393
|
0,00 % |
7,59 % |
- |
- |
- |
- |
JPM Emerging Markets Social Advancement I (acc) - EUR / A3D9QH / LU2597108559
|
0,00 % |
7,59 % |
- |
- |
- |
- |
JPM Emerging Markets Social Advancement C (dist) - EUR / A3D9QF / LU2597108716
|
0,00 % |
7,55 % |
- |
- |
- |
- |
JPM Emerging Markets Social Advancement C (acc) - USD / A3D9QE / LU2597108807
|
0,00 % |
7,47 % |
- |
- |
- |
- |
JPM Emerging Markets Social Advancement C (acc) - EUR / A3D9QD / LU2597108989
|
0,00 % |
7,54 % |
- |
- |
- |
- |
JPM Emerging Markets Social Advancement A (dist) - EUR / A3D9QC / LU2597109011
|
0,00 % |
6,75 % |
- |
- |
- |
- |
JPM Emerging Markets Social Advancement A (dist) - USD / A3ECUA / LU2611216891
|
0,00 % |
6,51 % |
- |
- |
- |
- |
JPM Emerging Markets Social Advancement C (dist) - USD / A3ECUB / LU2611216974
|
0,00 % |
7,56 % |
- |
- |
- |
- |
JPM Income Fund C2 (acc) - CHF (hedged) / A3ERHS / LU2654055685
|
0,00 % |
4,16 % |
- |
- |
- |
- |
JPM Income Fund C2 (div) - CHF (hedged) / A3ERHW / LU2654055768
|
0,00 % |
4,23 % |
- |
- |
- |
- |
JPM Income Fund C2 (div) - EUR (hedged) / A3ERHT / LU2654055842
|
0,00 % |
4,99 % |
- |
- |
- |
- |
JPM Income Fund C2 (div) - USD / A2PXVX / LU2098774909
|
0,00 % |
12,46 % |
12,98 % |
- |
6,08 % |
- |
JPM US Hedged Equity I (dist) - EUR (hedged) / A141FA / LU1303362567
|
0,00 % |
15,69 % |
- |
- |
- |
- |
JPM Europe Strategic Growth C (dist) - EUR / A1J61L / LU0847328340
|
0,00 % |
9,97 % |
4,82 % |
40,01 % |
15,46 % |
16,38 % |
Dynamic Income Fund (EUR) C (acc) - USD (hedged) / A400XX / LU2720111090
|
0,00 % |
- |
- |
- |
- |
- |
Dynamic Income Fund (EUR) C (acc) / A400XW / LU2720112817
|
0,00 % |
- |
- |
- |
- |
- |
Dynamic Income Fund (EUR) C (inc) / A400YJ / LU2720112908
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Growth C (acc) - EUR / A1W87F / LU1004474018
|
0,00 % |
- |
- |
- |
- |
- |
Dynamic Multi-Asset Fund (USD) C (acc) - EUR (hedged) / A404GW / LU2760869953
|
0,00 % |
- |
- |
- |
- |
- |
Dynamic Multi-Asset Fund (USD) Inst (acc) - EUR (hedged) / A404GZ / LU2760869797
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV C (acc.) / A407X4 / LU2757995050
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV X (dist.) / A402UG / LU2757996611
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV Capital (dist.) / A402UE / LU2757996538
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV Select (dist.) / A402UD / LU2757996371
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV E (dist.) / A402UB / LU2757995993
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV Institutional (dist.) / A402UF / LU2757994160
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV W (T0 acc.) / A402UH / LU2757993600
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV S (dist.) / A402UC / LU2757993519
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Value I2 (dist) - USD / A2JC3B / LU1727360411
|
0,00 % |
- |
- |
- |
- |
- |
JPM Green Social Sustainable Bond S2 (acc) - EUR (hedged) / A3DXWT / LU2545254133
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Equity Absolute Alpha I (perf) (acc) - EUR / A1W91W / LU1001748711
|
0,00 % |
19,26 % |
33,34 % |
49,67 % |
6,10 % |
5,73 % |
JPM Europe Select Equity I2 (dist) - GBP / A40HYS / LU2859407962
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Value S1 (acc) - EUR / A40J6F / LU2861014533
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Value S2 (acc) - EUR / A3CQRE / LU2345981471
|
0,00 % |
- |
- |
- |
- |
- |
Emerg. Mkts Growth and Opportunities (USD) C (acc) / A40GH7 / LU2820396302
|
0,00 % |
- |
- |
- |
- |
- |
Emerg. Mkts Growth and Opportunities (USD) C (acc) EUR (hdg) / A40GH8 / LU2820398340
|
0,00 % |
- |
- |
- |
- |
- |
Emerg. Mkts Growth and Opportunities (USD) C (inc) GBP (hdg) / A40GHC / LU2820400260
|
0,00 % |
- |
- |
- |
- |
- |
JPM US High Yield Plus Bond X (acc) - EUR (hedged) / A1W4B5 / LU0963724694
|
0,00 % |
8,60 % |
4,41 % |
16,09 % |
8,71 % |
8,69 % |
JPM Global Balanced C2 (acc) - EUR / A40LK7 / LU2875109261
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Balanced C2 (dist) - USD (hedged) / A40LK9 / LU2875109428
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Balanced C2 (mth) - USD (hedged) / A40LK8 / LU2875109691
|
0,00 % |
- |
- |
- |
- |
- |
JPM ASEAN Equity X (dist) - USD / A114QH / LU1071836800
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Balanced C2 (acc) - USD (hedged) / A40LMG / LU2875109345
|
0,00 % |
- |
- |
- |
- |
- |
JPM Carbon Transition Global Eqty (CTB) UCITS ETF - EUR acc / A40JGD / IE0009TJ5T70
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Research Enh. Idx Equity (ESG) UCITS ETF EUR acc / A40JGC / IE0005MWBFR7
|
0,00 % |
- |
- |
- |
- |
- |
JPM Global Em. Mkts Res. Enh. Idx Eqty (ESG) UCITS ETF EUR a / A40JGB / IE0006SEWKA2
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Research Enhanced Index Equity (ESG) UCITS ETF EUR a / A40JG9 / IE000W85O7M4
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Corporate Bd Research Enha. Idx ESG UCITS ETF EUR d / A40JGA / IE000WAKWCV7
|
0,00 % |
- |
- |
- |
- |
- |
Emerg. Mkts Growth and Opportunities (USD) C (inc) / A40GHA / LU2820404767
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV Core (dist.) / A40MV3 / LU2875899135
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV Core (acc.) / A40MQ6 / LU2887899750
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV Core (T0 acc.) / A40MV2 / LU2875899218
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV Core (dist.) / A40MV1 / LU2875898913
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury CNAV Core (acc.) / A40MVG / LU2885080890
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury CNAV Core (dist.) / A40MVD / LU2875900321
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury CNAV J (acc.) / A40MVH / LU2885080973
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Treasury CNAV J (dist.) / A40MVJ / LU2885081195
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV Core (T0 acc.) / A40MV0 / LU2875899051
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV J (dist.) / A40MQ8 / LU2887899677
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Standard Money Market VNAV J (acc.) / A40MV4 / LU2875899309
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Liquidity LVNAV Core (acc.) / A40MQ7 / LU2887899834
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Liquidity LVNAV Core (dist.) / A40MV5 / LU2875899481
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Standard Money Market VNAV J (acc.) / A40MV7 / LU2875899648
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Liquidity LVNAV Core (acc.) / A40MQ5 / LU2887899917
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Liquidity LVNAV Core (dist.) / A40MV9 / LU2875899994
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Standard Money Market VNAV J (acc.) / A40MVB / LU2875900164
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Equity Premium Income Active UCITS ETF - USD (acc) / A40FFG / IE0000EAPBT6
|
0,00 % |
- |
- |
- |
- |
- |
JPM US Equity Premium Income Active UCITS ETF - USD (dist) / A40FFH / IE000U5MJOZ6
|
0,00 % |
- |
- |
- |
- |
- |
JPM Nasdaq Equity Premium Income Active UCITS ETF - USD acc / A40FFE / IE000N6I8IU2
|
0,00 % |
- |
- |
- |
- |
- |
JPM Nasdaq Equity Premium Income Active UCITS ETF - USD dist / A40FFF / IE000U9J8HX9
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV Select (dist.) / A3D87T / LU2599140782
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV Select (T0 acc.) / A40K5A / LU2757996025
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Government CNAV Select (acc.) / A40K5Q / LU2757996298
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Liquidity LVNAV Select (T0 acc.) / A2N8BN / LU1747651385
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD High Yield Bond Active UCITS ETF USD (acc) / A40MLY / IE000LZI2UH4
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD High Yield Bond Active UCITS ETF USD (dist) / A40MLZ / IE000R88UVN6
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD High Yield Bond Active UCITS ETF EUR Hedged (dist) / A40MLW / IE000R7DCW45
|
0,00 % |
- |
- |
- |
- |
- |
JPM Gbl E. M. Re. En. Idx Eq. SRI Pa. Al. Ac. UCITS ETF USDa / A402SE / IE000ANHU3J3
|
0,00 % |
- |
- |
- |
- |
- |
JPM Gbl E. M. Re. En. Idx Eq. SRI Pa. Al. Ac. UCITS ETF USDd / A402SD / IE000CYGD0V1
|
0,00 % |
- |
- |
- |
- |
- |
JPM Gbl E. M. Re. En. Idx Eq. SRI Pa. Al. Ac. UCITS ETF EURa / A402SF / IE000AV35A01
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR High Yield Bond Active UCITS ETF EUR (acc) / A40MLS / IE000IEOQSJ3
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR High Yield Bond Active UCITS ETF EUR (dist) / A40MLT / IE000YSJPNV8
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Res. Enh. Idx Eq. SRI Par. Al. Ac. UCITS ETF EURa / A40BWQ / IE0003UN5CT1
|
0,00 % |
- |
- |
- |
- |
- |
JPM Europe Res. Enh. Idx Eq. SRI Par. Al. Ac. UCITS ETF EURd / A40BWP / IE000QOLLXO2
|
0,00 % |
- |
- |
- |
- |
- |
JPM All Country Res. Enhanced Idx Eqty Act. UCITS ETF EURH a / A40FFB / IE0001JABD69
|
0,00 % |
- |
- |
- |
- |
- |
JPM All Country Res. Enhanced Idx Eqty Act. UCITS ETF USD a / A40FFC / IE000A7N3IV0
|
0,00 % |
- |
- |
- |
- |
- |
JPM All Country Res. Enhanced Idx Eqty Act. UCITS ETF CHFH a / A40FF9 / IE000DSDL3Z6
|
0,00 % |
- |
- |
- |
- |
- |
JPM All Country Res. Enhanced Idx Eqty Act. UCITS ETF USD d / A40FFD / IE000JLILKH0
|
0,00 % |
- |
- |
- |
- |
- |
JPM All Country Res. Enhanced Idx Eqty Act. UCITS ETF EUR a / A40FFA / IE000T4LTZ00
|
0,00 % |
- |
- |
- |
- |
- |
JPM SGD Liquidity LVNAV Core (dist.) / A40NCC / LU2891733664
|
0,00 % |
- |
- |
- |
- |
- |
JPM GBP Standard Money Market VNAV Core (acc.) / A40NC0 / LU2891734043
|
0,00 % |
- |
- |
- |
- |
- |
JPM EUR Standard Money Market VNAV Core (acc.) / A40NCA / LU2891734555
|
0,00 % |
- |
- |
- |
- |
- |
JPM USD Standard Money Market VNAV Core (acc.) / A40NCK / LU2891735529
|
0,00 % |
- |
- |
- |
- |
- |