JPMorgan Funds - US Aggregate Bond Fund A (mth) - SGD/  LU0719511973  /

Fonds
NAV17/09/2024 Chg.+0.0100 Type de rendement Focus sur l'investissement Société de fonds
10.4400SGD +0.10% paying dividend Bonds Bonds: Mixed JPMorgan AM (EU) 
  • Dividendes ajustés Dividendes ajustés

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2012 - 0.79 - - - - - - - - - - -
2013 - - - - -1.97 -1.51 0.35 -0.38 -0.72 -0.64 0.98 0.05 -
2014 2.65 -0.51 -0.77 0.31 1.18 -0.57 -0.24 1.17 1.66 1.47 2.07 1.40 +10.18%
2015 4.30 -0.38 1.45 -3.85 1.57 -0.93 2.04 3.61 1.18 -1.93 0.52 -0.16 +7.38%
2016 2.03 -0.81 -3.89 0.40 2.49 -0.31 0.14 1.45 0.29 1.05 0.29 0.67 +3.71%
2017 -2.18 0.07 -0.23 0.69 -0.30 -0.38 -1.08 0.99 -0.65 0.36 -1.14 -0.67 -4.46%
2018 -3.02 0.21 -0.38 0.29 1.72 1.62 -0.20 1.35 -0.95 0.77 -0.69 0.95 +1.60%
2019 -0.62 0.63 2.20 0.29 3.05 -0.58 1.24 4.15 -1.02 -1.50 0.53 -1.90 +6.48%
2020 3.58 3.84 0.94 0.73 0.27 0.06 -0.47 -1.59 0.74 -0.63 -1.03 -0.97 +5.44%
2021 -0.27 -1.55 0.50 -0.62 0.10 2.20 1.60 -0.85 0.09 -0.94 1.45 -1.58 +0.04%
2022 -1.61 -1.06 -2.75 -1.11 -0.71 -0.10 1.32 -1.06 -1.17 -3.07 -1.13 -1.91 -13.51%
2023 0.85 -0.02 0.94 1.22 0.08 -0.49 -1.73 1.06 -1.36 -1.19 1.79 2.16 +3.25%
2024 1.06 -0.77 1.45 -1.34 0.30 1.95 0.01 -0.86 0.77 - - - -
Mois uniques : Dividendes non pris en compte

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 4.25% 4.33% 4.58% 5.38% 5.34%
Ratio de Sharpe 0.04 0.44 0.13 -1.25 -0.84
Le meilleur mois +2.16% +1.95% +2.16% +2.16% +3.84%
Le plus défavorable mois -1.34% -1.34% -1.36% -3.07% -3.07%
Perte maximale -1.81% -1.81% -2.92% -16.43% -18.89%
Surperformance - - - - -
 
Toutes les cotations dans SGD

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
JPMorgan Funds - US Aggregate Bo... reinvestment 101.9100 +9.38% -8.15%
JPMorgan Funds - US Aggregate Bo... reinvestment 21.9100 +11.39% -2.36%
JPMorgan Funds - US Aggregate Bo... paying dividend 85.8600 +6.75% -8.55%
JPMorgan Funds - US Aggregate Bo... paying dividend 86.5900 +8.55% -
JPMorgan Funds - US Aggregate Bo... paying dividend 80.7200 +2.66% -15.88%
JPMorgan Funds - US Aggregate Bo... paying dividend 12,081.0000 +6.09% +24.92%
JPMorgan Funds - US Aggregate Bo... paying dividend 7,837.0000 +4.17% -15.00%
JPMorgan Funds - US Aggregate Bo... paying dividend 102.4900 +6.24% -
JPMorgan Funds - US Aggregate Bo... paying dividend 108.7500 - -
JPMorgan Funds - US Aggregate Bo... reinvestment 19.5500 +9.96% -5.96%
JPMorgan Funds - US Aggregate Bo... reinvestment 74.6700 +8.03% -11.53%
JPMorgan Funds - US Aggregate Bo... paying dividend 89.1000 +9.82% -4.69%
JPMorgan Funds - US Aggregate Bo... paying dividend 8.6100 +9.67% -5.73%
JPMorgan Funds - US Aggregate Bo... reinvestment 10.3600 +8.71% -8.64%
JPMorgan Funds - US Aggregate Bo... paying dividend 8.8900 +9.20% -5.60%
JPMorgan Funds - US Aggregate Bo... paying dividend 10.4400 +4.06% -9.40%
JPMorgan Funds - US Aggregate Bo... paying dividend 9.8900 +7.62% -8.56%
JPMorgan Funds - US Aggregate Bo... paying dividend 84.6200 +10.19% -4.37%
JPMorgan Funds - US Aggregate Bo... reinvestment 135.8700 +10.87% -3.70%
JPMorgan Funds - US Aggregate Bo... reinvestment 96.4200 +8.89% -9.41%
JPMorgan Funds - US Aggregate Bo... reinvestment 98.7900 +9.09% -8.90%
JPMorgan Funds - US Aggregate Bo... reinvestment 113.4500 +11.08% -3.15%
JPMorgan Funds - US Aggregate Bo... paying dividend 82.4200 +5.44% -11.93%
JPMorgan Funds - US Aggregate Bo... paying dividend 94.2900 +7.40% -6.36%
JPMorgan Funds - US Aggregate Bo... reinvestment 101.7100 +6.36% +1.73%
JPMorgan Funds - US Aggregate Bo... reinvestment 19.3900 +10.86% -3.82%
JPMorgan Funds - US Aggregate Bo... reinvestment 80.7200 +8.83% -9.53%
JPMorgan Funds - US Aggregate Bo... paying dividend 93.3600 +7.13% -7.03%
JPMorgan Funds - US Aggregate Bo... paying dividend 87.7600 +5.23% -11.86%
JPMorgan Funds - US Aggregate Bo... reinvestment 17.9900 +10.30% -5.22%
JPMorgan Funds - US Aggregate Bo... paying dividend 11.5100 +7.47% -7.64%
JPMorgan Funds - US Aggregate Bo... reinvestment 77.8600 +8.30% -10.85%
JPMorgan Funds - US Aggregate Bo... paying dividend 80.0000 +9.27% -6.10%

Performance

CAD  
+2.56%
6 Mois  
+2.67%
1 An  
+4.06%
3 Ans
  -9.40%
5 Ans
  -5.05%
10 ans  
+18.44%
Depuis le début  
+16.76%
Année
2023  
+3.25%
2022
  -13.51%
2021  
+0.04%
2020  
+5.44%
2019  
+6.48%
2018  
+1.60%
2017
  -4.46%
2016  
+3.71%
2015  
+7.38%
 

Dividendes

09/07/2024 0.03 SGD
12/06/2024 0.03 SGD
08/05/2024 0.03 SGD
09/04/2024 0.03 SGD
08/03/2024 0.03 SGD
08/02/2024 0.03 SGD
09/01/2024 0.03 SGD
08/12/2023 0.03 SGD
08/11/2023 0.03 SGD
11/10/2023 0.03 SGD
08/09/2023 0.03 SGD
08/08/2023 0.03 SGD
10/07/2023 0.03 SGD
08/06/2023 0.03 SGD
11/05/2023 0.03 SGD
12/04/2023 0.03 SGD
08/03/2023 0.03 SGD
08/02/2023 0.03 SGD
10/01/2023 0.03 SGD
08/12/2022 0.03 SGD
08/11/2022 0.03 SGD
12/10/2022 0.03 SGD
08/09/2022 0.03 SGD
09/08/2022 0.03 SGD
08/07/2022 0.03 SGD
08/06/2022 0.03 SGD
11/05/2022 0.03 SGD
08/04/2022 0.03 SGD
08/03/2022 0.03 SGD
08/02/2022 0.03 SGD
10/01/2022 0.03 SGD
08/12/2021 0.03 SGD
09/11/2021 0.03 SGD
13/10/2021 0.03 SGD
08/09/2021 0.03 SGD
10/08/2021 0.03 SGD
08/07/2021 0.03 SGD
08/06/2021 0.03 SGD
10/05/2021 0.03 SGD
08/04/2021 0.03 SGD
09/03/2021 0.03 SGD
09/02/2021 0.03 SGD
08/01/2021 0.04 SGD
08/12/2020 0.04 SGD
10/11/2020 0.04 SGD
08/10/2020 0.04 SGD
09/09/2020 0.04 SGD
10/08/2020 0.04 SGD
08/07/2020 0.04 SGD
09/06/2020 0.04 SGD
08/05/2020 0.04 SGD
08/04/2020 0.04 SGD
10/03/2020 0.04 SGD
10/02/2020 0.04 SGD
08/01/2020 0.04 SGD
10/12/2019 0.04 SGD
08/11/2019 0.04 SGD
09/10/2019 0.04 SGD
10/09/2019 0.04 SGD
08/08/2019 0.04 SGD
09/07/2019 0.04 SGD
12/06/2019 0.04 SGD
08/05/2019 0.04 SGD
09/04/2019 0.04 SGD
08/03/2019 0.04 SGD
11/02/2019 0.04 SGD
08/01/2019 0.04 SGD
04/12/2018 0.04 SGD
08/11/2018 0.04 SGD
10/10/2018 0.03 SGD
10/09/2018 0.03 SGD
08/08/2018 0.03 SGD
10/07/2018 0.04 SGD
08/06/2018 0.04 SGD
08/05/2018 0.04 SGD
10/04/2018 0.04 SGD
08/03/2018 0.04 SGD
08/02/2018 0.04 SGD
09/01/2018 0.04 SGD
08/12/2017 0.04 SGD
08/11/2017 0.04 SGD
11/10/2017 0.04 SGD
08/09/2017 0.04 SGD
08/08/2017 0.04 SGD
10/07/2017 0.03 SGD
08/06/2017 0.03 SGD
09/05/2017 0.03 SGD
10/04/2017 0.03 SGD
08/03/2017 0.03 SGD
08/02/2017 0.03 SGD
10/01/2017 0.03 SGD
08/12/2016 0.03 SGD
08/11/2016 0.03 SGD
12/10/2016 0.03 SGD
12/09/2016 0.03 SGD
09/08/2016 0.03 SGD
08/07/2016 0.03 SGD
08/06/2016 0.03 SGD
10/05/2016 0.03 SGD
08/04/2016 0.03 SGD
08/03/2016 0.03 SGD
12/02/2016 0.03 SGD
08/01/2016 0.03 SGD
08/12/2015 0.03 SGD
10/11/2015 0.03 SGD
08/10/2015 0.03 SGD
09/09/2015 0.03 SGD
10/08/2015 0.03 SGD
08/07/2015 0.03 SGD
09/06/2015 0.03 SGD
08/05/2015 0.03 SGD
08/04/2015 0.03 SGD
10/03/2015 0.03 SGD
10/02/2015 0.03 SGD
08/01/2015 0.04 SGD
09/12/2014 0.04 SGD
10/11/2014 0.04 SGD
08/10/2014 0.04 SGD
09/09/2014 0.04 SGD
08/08/2014 0.04 SGD
08/07/2014 0.04 SGD
11/06/2014 0.04 SGD
08/05/2014 0.04 SGD
08/04/2014 0.04 SGD
10/03/2014 0.04 SGD
10/02/2014 0.04 SGD
08/01/2014 0.04 SGD
10/12/2013 0.04 SGD
08/11/2013 0.04 SGD
08/10/2013 0.03 SGD
10/09/2013 0.03 SGD
08/08/2013 0.03 SGD
09/07/2013 0.03 SGD
10/06/2013 0.03 SGD