JPMorgan Funds - US Aggregate Bond Fund C (mth) - USD/  LU0748141230  /

Fonds
NAV2024-06-27 Chg.0.0000 Type of yield Investment Focus Investment company
81.0300USD 0.00% paying dividend Bonds Bonds: Mixed JPMorgan AM (EU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2012 - - - - - - - - - - 0.36 -0.16 -
2013 -0.78 0.56 0.20 0.85 -1.64 -1.78 -0.11 -0.38 0.84 0.71 -0.24 -0.56 -2.34%
2014 1.37 0.51 -0.11 0.57 1.28 -0.05 -0.09 1.07 -0.52 0.65 0.73 0.01 +5.54%
2015 1.86 -0.88 0.58 -0.30 -0.05 -0.75 0.50 0.35 0.36 -0.26 -0.14 -0.47 +0.79%
2016 1.37 0.60 0.69 0.38 0.03 1.91 0.37 0.08 0.38 -1.14 -2.17 -0.31 +2.16%
2017 0.41 0.71 -0.05 0.78 0.78 0.07 0.34 0.94 -0.60 0.13 0.05 0.20 +3.81%
2018 -0.93 -0.90 0.61 -0.75 0.71 -0.15 -0.05 0.74 -0.65 -0.53 0.41 1.57 +0.03%
2019 0.78 0.30 1.90 -0.10 1.74 1.35 0.17 2.81 -0.65 0.04 0.17 -0.25 +8.52%
2020 2.09 1.58 -1.12 1.78 0.15 1.34 1.28 -0.67 0.22 -0.39 1.08 0.30 +7.84%
2021 -0.62 -1.68 -0.62 0.65 0.42 0.73 0.89 -0.02 -1.02 -0.14 0.36 -0.42 -1.49%
2022 -1.85 -1.41 -2.41 -3.00 0.09 -1.65 1.98 -1.93 -3.72 -1.75 2.48 0.07 -12.52%
2023 2.82 -2.44 2.46 0.65 -1.15 -0.40 0.12 -0.66 -2.14 -1.53 4.21 3.50 +5.28%
2024 -0.11 -1.22 0.96 -2.18 1.30 1.48 - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 4.59% 4.54% 5.22% 5.12% 4.70%
Sharpe ratio -0.73 -0.74 -0.17 -1.25 -0.77
Best month +3.50% +3.50% +4.21% +4.21% +4.21%
Worst month -2.18% -2.18% -2.18% -3.72% -3.72%
Maximum loss -3.23% -3.23% -5.63% -17.19% -17.19%
Outperformance - - - - -
 
All quotes in USD

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
JPMorgan Funds - US Aggregate Bo... reinvestment 18.5900 +2.03% -9.93%
JPMorgan Funds - US Aggregate Bo... reinvestment 71.3000 +0.17% -15.03%
JPMorgan Funds - US Aggregate Bo... reinvestment 97.0300 +1.42% -11.80%
JPMorgan Funds - US Aggregate Bo... paying dividend 85.3500 +2.80% -7.88%
JPMorgan Funds - US Aggregate Bo... reinvestment 20.7700 +3.33% -6.48%
JPMorgan Funds - US Aggregate Bo... paying dividend 8.2500 +2.25% -9.26%
JPMorgan Funds - US Aggregate Bo... paying dividend 84.4200 +2.53% -9.23%
JPMorgan Funds - US Aggregate Bo... reinvestment 9.8700 +0.71% -12.27%
JPMorgan Funds - US Aggregate Bo... paying dividend 8.5400 +1.95% -8.63%
JPMorgan Funds - US Aggregate Bo... paying dividend 10.4800 +3.02% -8.36%
JPMorgan Funds - US Aggregate Bo... paying dividend 9.5200 +0.45% -11.57%
JPMorgan Funds - US Aggregate Bo... paying dividend 81.0300 +2.81% -7.86%
JPMorgan Funds - US Aggregate Bo... paying dividend 83.1900 +1.27% -
JPMorgan Funds - US Aggregate Bo... paying dividend 80.1300 -1.29% -15.89%
JPMorgan Funds - US Aggregate Bo... paying dividend 13,100.0000 +15.46% +35.55%
JPMorgan Funds - US Aggregate Bo... paying dividend 7,597.0000 -2.82% -17.09%
JPMorgan Funds - US Aggregate Bo... paying dividend 101.1100 +2.33% -
JPMorgan Funds - US Aggregate Bo... reinvestment 128.9700 +2.86% -7.75%
JPMorgan Funds - US Aggregate Bo... reinvestment 91.9000 +0.96% -13.01%
JPMorgan Funds - US Aggregate Bo... reinvestment 94.1200 +1.15% -12.51%
JPMorgan Funds - US Aggregate Bo... reinvestment 107.6400 +3.04% -7.22%
JPMorgan Funds - US Aggregate Bo... paying dividend 81.2400 +1.16% -12.51%
JPMorgan Funds - US Aggregate Bo... paying dividend 92.5200 +3.04% -7.23%
JPMorgan Funds - US Aggregate Bo... reinvestment 100.0800 +5.14% -
JPMorgan Funds - US Aggregate Bo... reinvestment 18.4000 +2.79% -7.86%
JPMorgan Funds - US Aggregate Bo... reinvestment 76.9500 +0.92% -13.11%
JPMorgan Funds - US Aggregate Bo... paying dividend 91.6900 +2.81% -7.86%
JPMorgan Funds - US Aggregate Bo... paying dividend 86.5300 +0.92% -12.36%
JPMorgan Funds - US Aggregate Bo... reinvestment 17.1000 +2.33% -9.19%
JPMorgan Funds - US Aggregate Bo... paying dividend 11.2200 +2.24% -9.28%
JPMorgan Funds - US Aggregate Bo... reinvestment 74.3000 +0.42% -14.39%
JPMorgan Funds - US Aggregate Bo... paying dividend 76.7200 +2.30% -9.24%

Performance

YTD  
+0.18%
6 Months  
+0.18%
1 Year  
+2.81%
3 Years
  -7.86%
5 Years  
+0.44%
10 Years  
+15.76%
Since start  
+17.50%
Year
2023  
+5.28%
2022
  -12.52%
2021
  -1.49%
2020  
+7.84%
2019  
+8.52%
2018  
+0.03%
2017  
+3.81%
2016  
+2.16%
2015  
+0.79%
 

Dividends

2024-06-12 0.24 USD
2024-05-08 0.24 USD
2024-04-09 0.23 USD
2024-03-08 0.23 USD
2024-02-08 0.23 USD
2024-01-09 0.23 USD
2023-12-08 0.23 USD
2023-11-08 0.23 USD
2023-10-11 0.23 USD
2023-09-08 0.23 USD
2023-08-08 0.23 USD
2023-07-10 0.22 USD
2023-06-08 0.22 USD
2023-05-11 0.22 USD
2023-04-12 0.21 USD
2023-03-08 0.21 USD
2023-02-08 0.21 USD
2023-01-10 0.21 USD
2022-12-08 0.21 USD
2022-11-08 0.21 USD
2022-10-12 0.21 USD
2022-09-08 0.21 USD
2022-08-09 0.21 USD
2022-07-08 0.22 USD
2022-06-08 0.22 USD
2022-05-11 0.22 USD
2022-04-08 0.23 USD
2022-03-08 0.23 USD
2022-02-08 0.23 USD
2022-01-10 0.24 USD
2021-12-08 0.24 USD
2021-11-09 0.24 USD
2021-10-13 0.24 USD
2021-09-08 0.24 USD
2021-08-10 0.24 USD
2021-07-08 0.25 USD
2021-06-08 0.25 USD
2021-05-10 0.25 USD
2021-04-08 0.25 USD
2021-03-09 0.25 USD
2021-02-09 0.25 USD
2021-01-08 0.26 USD
2020-12-08 0.26 USD
2020-11-10 0.26 USD
2020-10-08 0.27 USD
2020-09-09 0.27 USD
2020-08-10 0.27 USD
2020-07-08 0.27 USD
2020-06-09 0.27 USD
2020-05-08 0.27 USD
2020-04-08 0.28 USD
2020-03-10 0.27 USD
2020-02-10 0.27 USD
2020-01-08 0.28 USD
2019-12-10 0.28 USD
2019-11-08 0.28 USD
2019-10-09 0.27 USD
2019-09-10 0.27 USD
2019-08-08 0.27 USD
2019-07-09 0.27 USD
2019-06-12 0.27 USD
2019-05-08 0.27 USD
2019-04-09 0.27 USD
2019-03-08 0.27 USD
2019-02-11 0.27 USD
2019-01-08 0.26 USD
2018-12-04 0.26 USD
2018-11-08 0.26 USD
2018-10-10 0.26 USD
2018-09-10 0.26 USD
2018-08-08 0.26 USD
2018-07-10 0.27 USD
2018-06-08 0.27 USD
2018-05-08 0.27 USD
2018-04-10 0.27 USD
2018-03-08 0.27 USD
2018-02-08 0.27 USD
2018-01-09 0.27 USD
2017-12-08 0.27 USD
2017-11-08 0.27 USD
2017-10-11 0.26 USD
2017-09-08 0.26 USD
2017-08-08 0.26 USD
2017-07-10 0.22 USD
2017-06-08 0.22 USD
2017-05-09 0.22 USD
2017-04-10 0.22 USD
2017-03-08 0.22 USD
2017-02-08 0.22 USD
2017-01-10 0.21 USD
2016-12-08 0.21 USD
2016-11-08 0.21 USD
2016-10-12 0.21 USD
2016-09-12 0.21 USD
2016-08-09 0.21 USD
2016-07-08 0.21 USD
2016-06-08 0.21 USD
2016-05-10 0.21 USD
2016-04-08 0.22 USD
2016-03-08 0.22 USD
2016-02-12 0.22 USD
2016-01-08 0.21 USD
2015-12-08 0.21 USD
2015-11-10 0.21 USD
2015-10-08 0.21 USD
2015-09-09 0.21 USD
2015-08-10 0.21 USD
2015-07-08 0.22 USD
2015-06-09 0.22 USD
2015-05-08 0.22 USD
2015-04-08 0.23 USD
2015-03-10 0.23 USD
2015-02-10 0.23 USD
2015-01-08 0.28 USD
2014-12-09 0.28 USD
2014-11-10 0.28 USD
2014-10-08 0.31 USD
2014-09-09 0.31 USD
2014-08-08 0.31 USD
2014-07-08 0.32 USD
2014-06-11 0.32 USD
2014-05-08 0.32 USD
2014-04-08 0.30 USD
2014-03-10 0.30 USD
2014-02-10 0.30 USD
2014-01-08 0.28 USD
2013-12-10 0.28 USD
2013-11-08 0.28 USD
2013-10-08 0.26 USD
2013-09-10 0.26 USD
2013-08-08 0.26 USD
2013-07-09 0.27 USD
2013-06-10 0.27 USD
2013-05-08 0.27 USD
2013-04-09 0.27 USD
2013-03-08 0.27 USD
2013-02-08 0.27 USD
2013-01-08 0.29 USD
2012-12-10 0.29 USD
2012-11-07 0.29 USD
2012-10-05 0.30 USD