JPMorgan Funds - Global Focus Fund A (dist) - USD/  LU0168342896  /

Fonds
NAV2024-09-03 Chg.-0.2800 Type of yield Investment Focus Investment company
43.8400USD -0.63% paying dividend Equity Worldwide JPMorgan AM (EU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2007 1.59 0.28 3.89 5.04 2.14 0.25 -0.25 -3.17 3.30 3.32 -4.14 -1.35 +10.97%
2008 -11.68 2.51 -5.12 4.94 0.80 -6.39 -1.92 -2.58 -15.66 -21.52 -7.52 5.77 -47.39%
2009 -4.59 -7.80 9.45 15.85 11.35 2.30 7.62 4.08 5.45 1.08 2.22 4.91 +62.66%
2010 -3.14 -0.63 8.45 1.03 -11.05 -2.70 8.32 -2.95 11.44 2.44 -3.02 7.38 +14.05%
2011 -0.13 2.90 -0.20 5.12 -1.69 -2.35 -2.60 -10.29 -11.65 11.60 -4.10 -1.50 -15.77%
2012 8.84 5.09 -0.35 -0.63 -10.78 4.61 2.20 1.71 2.85 -1.07 1.52 1.56 +15.27%
2013 5.32 -0.80 1.21 1.39 3.13 -5.44 7.36 -2.18 4.91 4.03 3.17 -0.40 +23.14%
2014 -6.00 6.75 0.23 0.97 3.15 1.91 -1.77 0.55 -2.99 1.34 2.10 -1.79 +3.94%
2015 -0.88 5.50 -0.79 2.18 0.42 -1.76 -0.26 -7.55 -4.70 9.67 -0.83 -1.73 -1.80%
2016 -10.19 -1.27 8.41 0.83 2.11 -4.49 7.35 0.95 0.85 -1.23 3.12 2.75 +8.12%
2017 2.84 2.19 1.78 1.85 0.29 0.05 3.33 -0.71 1.68 1.75 2.10 2.46 +21.38%
2018 5.34 -3.93 -4.66 1.61 -0.86 0.23 2.10 -0.54 0.36 -8.30 1.61 -7.75 -14.65%
2019 7.83 2.95 0.89 3.87 -5.20 5.96 0.76 -2.57 0.50 3.76 3.01 2.84 +26.73%
2020 1.03 -11.14 -12.21 11.66 3.93 2.30 6.39 6.71 -4.12 -2.79 16.71 4.00 +20.17%
2021 -0.72 5.46 3.08 4.90 1.94 -0.30 2.30 0.79 -2.49 2.70 -2.52 4.77 +21.35%
2022 -2.97 -1.37 2.78 -6.94 -2.38 -11.53 9.74 -2.54 -9.21 6.20 6.84 -2.63 -15.20%
2023 7.31 -0.81 2.38 0.25 0.52 4.44 3.67 -2.27 -3.91 -1.80 9.11 5.19 +25.85%
2024 2.58 4.68 3.26 -3.40 3.17 4.23 -1.01 2.72 -0.63 - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 12.89% 13.45% 12.25% 17.46% 19.07%
Sharpe ratio 1.70 0.80 1.93 0.28 0.61
Best month +5.19% +4.23% +9.11% +9.74% +16.71%
Worst month -3.40% -3.40% -3.91% -11.53% -12.21%
Maximum loss -8.66% -8.66% -8.66% -26.56% -35.28%
Outperformance +13.24% - +13.45% +11.33% +16.77%
 
All quotes in USD

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
JPMorgan Funds - Global Focus Fu... reinvestment 91.7600 +25.20% +43.40%
JPMorgan Funds - Global Focus Fu... reinvestment 174.7800 +24.45% +40.83%
JPMorgan Funds - Global Focus Fu... reinvestment 205.8900 +26.21% +28.87%
JPMorgan Funds - Global Focus Fu... reinvestment 218.6900 +28.31% +31.01%
JPMorgan Funds - Global Focus Fu... reinvestment 144.7100 +23.24% -
JPMorgan Funds - Global Focus Fu... reinvestment 69.3000 +22.03% +32.76%
JPMorgan Funds - Global Focus Fu... reinvestment 22.5100 +23.75% +21.41%
JPMorgan Funds - Global Focus Fu... reinvestment 323.1500 +22.04% +32.75%
JPMorgan Funds - Global Focus Fu... reinvestment 466.6500 +24.26% +40.02%
JPMorgan Funds - Global Focus Fu... reinvestment 195.6600 +26.02% +28.16%
JPMorgan Funds - Global Focus Fu... reinvestment 54.1900 +24.20% +39.85%
JPMorgan Funds - Global Focus Fu... paying dividend 342.2500 +24.21% +39.85%
JPMorgan Funds - Global Focus Fu... paying dividend 374.4600 +28.04% +30.07%
JPMorgan Funds - Global Focus Fu... reinvestment 388.3900 +28.05% +30.07%
JPMorgan Funds - Global Focus Fu... reinvestment 64.7500 +25.97% +27.99%
JPMorgan Funds - Global Focus Fu... paying dividend 43.8400 +27.00% +27.01%
JPMorgan Funds - Global Focus Fu... reinvestment 27.3400 +24.95% +25.18%
JPMorgan Funds - Global Focus Fu... paying dividend 79.0300 +23.25% +36.82%
JPMorgan Funds - Global Focus Fu... reinvestment 61.9400 +23.26% +36.85%
JPMorgan Funds - Global Focus Fu... reinvestment 411.9800 +22.16% +20.72%

Performance

YTD  
+16.38%
6 Months  
+6.93%
1 Year  
+27.00%
3 Years  
+27.01%
5 Years  
+101.93%
10 Years  
+146.10%
Since start  
+254.14%
Year
2023  
+25.85%
2022
  -15.20%
2021  
+21.35%
2020  
+20.17%
2019  
+26.73%
2018
  -14.65%
2017  
+21.38%
2016  
+8.12%
2015
  -1.80%
 

Dividends

2023-09-13 0.02 USD
2022-09-14 0.01 USD
2021-09-09 0.02 USD
2020-09-10 0.02 USD
2019-09-05 0.02 USD
2018-09-05 0.02 USD
2017-09-12 0.19 USD
2016-09-01 0.30 USD
2015-09-16 0.25 USD
2014-09-17 0.03 USD
2013-09-13 0.10 USD
2012-09-13 0.06 USD
2011-09-15 0.06 USD
2010-09-16 0.02 USD
2009-09-02 0.06 USD
2007-09-10 0.07 USD