JPMorgan Investment Funds - Japan Strategic Value Fund A (dist) - GBP/  LU0329204548  /

Fonds
NAV22.07.2024 Diff.-0.7100 Ertragstyp Ausrichtung Fondsgesellschaft
121.1600GBP -0.58% ausschüttend Aktien Branchenmix JPMorgan AM (EU) 
  • Ausschüttungsbereinigt Ausschüttungsbereinigt

Monatliche Performance

  Jan Feb Mär Apr Mai Jun Jul Aug Sep Okt Nov Dez Gesamt
2007 - - - - - - - - - - - -3.25 -
2008 -2.04 1.18 -3.82 5.17 6.12 -5.76 -3.80 2.36 -10.19 -2.35 3.69 16.77 +4.83%
2009 -2.57 -13.26 3.96 5.47 3.12 0.07 0.36 8.47 -1.31 -7.58 -0.53 2.63 -3.08%
2010 1.46 7.13 5.52 1.50 -3.68 -5.17 -0.60 -1.76 2.93 -0.48 5.25 9.09 +22.11%
2011 -1.72 3.04 -6.32 -4.55 0.60 6.25 2.10 -7.12 5.62 -6.60 0.09 0.36 -9.04%
2012 4.09 3.79 1.28 -5.98 -3.97 4.03 -2.33 -2.88 0.77 -1.68 2.26 6.62 +5.31%
2013 6.50 5.93 5.03 6.36 -3.70 1.43 2.12 -4.18 5.39 -0.90 -0.21 0.07 +25.63%
2014 -5.22 -2.39 -2.04 -2.94 4.44 4.52 0.36 -0.90 0.56 0.88 -0.82 0.59 -3.35%
2015 4.95 2.17 4.85 1.02 2.66 -4.66 0.23 -4.14 -4.63 8.15 1.88 1.17 +13.56%
2016 -5.04 -3.10 2.16 0.91 -0.25 4.30 8.51 1.61 2.04 10.46 -3.47 2.75 +21.65%
2017 4.17 1.87 -1.85 -2.04 2.28 1.10 1.35 1.65 -0.71 6.88 1.80 1.96 +19.72%
2018 -2.04 -1.56 -4.35 2.51 2.69 -2.16 0.53 1.11 2.92 -8.30 -0.71 -7.95 -16.70%
2019 4.50 -3.04 1.54 1.35 -1.44 3.27 3.20 -2.93 4.52 -1.10 0.27 1.18 +11.50%
2020 -2.27 -8.00 -8.91 6.24 6.85 0.97 -9.36 8.82 3.95 -1.73 8.97 2.22 +5.34%
2021 -1.53 1.72 3.98 -1.40 0.49 3.09 -1.69 3.09 5.16 -4.90 -0.92 0.77 +7.66%
2022 0.18 -0.88 0.83 -3.47 0.99 -3.66 5.28 0.35 -5.77 -1.75 6.85 1.48 -0.26%
2023 4.69 -1.83 0.72 -0.63 1.08 1.68 1.89 -0.69 2.56 -3.47 2.51 4.10 +13.01%
2024 4.05 2.72 5.86 -2.70 0.21 -0.10 1.07 - - - - - -
Einzelne Monate: Ausschüttungen nicht berücksichtigt

Kennzahlen

  lfd. Jahr 6 Monate 1 Jahr 3 Jahre 5 Jahre
Volatilität 16.24% 16.56% 15.66% 15.96% 17.71%
Sharpe Ratio 1.11 0.78 0.92 0.29 0.25
Bester Monat +5.86% +5.86% +5.86% +6.85% +8.97%
Schlechtester Monat -2.70% -2.70% -3.47% -5.77% -9.36%
Maximaler Verlust -7.36% -7.36% -7.40% -15.72% -27.05%
Outperformance +3.68% - +3.55% -8.11% -17.86%
 
Alle Kurse in GBP

Tranchen

Titel   Ertragstyp Rückn. Preis 1 Jahr 3 Jahre
JPMorgan Investment Funds - Japa... thesaurierend 27'030.0000 +32.00% +69.04%
JPMorgan Investment Funds - Japa... thesaurierend 23'846.0000 +31.03% +65.34%
JPMorgan Investment Funds - Japa... thesaurierend 139.7600 +20.15% +26.22%
JPMorgan Investment Funds - Japa... ausschüttend 121.1600 +17.92% +27.21%
JPMorgan Investment Funds - Japa... thesaurierend 53'377.0000 +33.13% +73.44%
JPMorgan Investment Funds - Japa... thesaurierend 179.9300 +35.92% +72.17%
JPMorgan Investment Funds - Japa... thesaurierend 58'988.0000 +34.19% +77.64%
JPMorgan Investment Funds - Japa... thesaurierend 206.7800 +38.36% +81.61%
JPMorgan Investment Funds - Japa... thesaurierend 128.8200 +22.31% +28.55%
JPMorgan Investment Funds - Japa... thesaurierend 228.6400 +20.77% +24.97%
JPMorgan Investment Funds - Japa... thesaurierend 276.4500 +41.27% +96.05%
JPMorgan Investment Funds - Japa... thesaurierend 265.0000 +40.15% +91.42%
JPMorgan Investment Funds - Japa... thesaurierend 223.3100 +38.15% +80.80%
JPMorgan Investment Funds - Japa... thesaurierend 126.8300 +19.85% -
JPMorgan Investment Funds - Japa... thesaurierend 249.7900 +38.10% +80.59%
JPMorgan Investment Funds - Japa... thesaurierend 158.3900 +21.06% +29.08%
JPMorgan Investment Funds - Japa... thesaurierend 247.0500 +36.94% +76.05%
JPMorgan Investment Funds - Japa... thesaurierend 365.4300 +38.97% +86.62%

Performance

lfd. Jahr  
+11.39%
6 Monate  
+7.97%
1 Jahr  
+17.92%
3 Jahre  
+27.21%
5 Jahre  
+48.15%
10 Jahre  
+121.05%
seit Beginn  
+205.36%
Jahr
2023  
+13.01%
2022
  -0.26%
2021  
+7.66%
2020  
+5.34%
2019  
+11.50%
2018
  -16.70%
2017  
+19.72%
2016  
+21.65%
2015  
+13.56%
 

Ausschüttungen

08.03.2024 0.41 GBP
08.03.2023 0.52 GBP
08.03.2022 0.57 GBP
09.03.2021 0.61 GBP
10.03.2020 0.51 GBP
08.03.2019 0.56 GBP
08.03.2018 0.11 GBP
08.03.2017 1.37 GBP
14.03.2016 0.93 GBP
16.03.2015 0.15 GBP
14.03.2014 0.04 GBP
14.03.2013 0.37 GBP
15.03.2012 0.18 GBP
16.03.2011 0.20 GBP
02.03.2010 0.12 GBP
03.03.2009 0.30 GBP
06.03.2008 0.02 GBP