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

Fonds
NAV22/07/2024 Var.-0.7100 Type of yield Focus sugli investimenti Società d'investimento
121.1600GBP -0.58% paying dividend Equity Mixed Sectors JPMorgan AM (EU) 
  • Dividends adjusted Dividends adjusted

Performance mensile

  gen feb mar apr mag giu lug ago set ott nov dic Totale
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 - - - - - -
Mesi singoli: Dividendi non considerati

Calculated values

  YTD 6 mesi 1 anno 3 anni 5 anni
Volatilità 16.24% 16.56% 15.66% 15.96% 17.71%
Indice di Sharpe 1.11 0.78 0.92 0.29 0.25
Mese migliore +5.86% +5.86% +5.86% +6.85% +8.97%
Mese peggiore -2.70% -2.70% -3.47% -5.77% -9.36%
Perdita massima -7.36% -7.36% -7.40% -15.72% -27.05%
Outperformance +3.68% - +3.55% -8.11% -17.86%
 
Tutte le quotazioni in GBP

Tranches

Nome   Type of yield Prezzo di riacquisto 1 anno 3 anni
JPMorgan Investment Funds - Japa... reinvestment 27,030.0000 +32.00% +69.04%
JPMorgan Investment Funds - Japa... reinvestment 23,846.0000 +31.03% +65.34%
JPMorgan Investment Funds - Japa... reinvestment 139.7600 +20.15% +26.22%
JPMorgan Investment Funds - Japa... paying dividend 121.1600 +17.92% +27.21%
JPMorgan Investment Funds - Japa... reinvestment 53,377.0000 +33.13% +73.44%
JPMorgan Investment Funds - Japa... reinvestment 179.9300 +35.92% +72.17%
JPMorgan Investment Funds - Japa... reinvestment 58,988.0000 +34.19% +77.64%
JPMorgan Investment Funds - Japa... reinvestment 206.7800 +38.36% +81.61%
JPMorgan Investment Funds - Japa... reinvestment 128.8200 +22.31% +28.55%
JPMorgan Investment Funds - Japa... reinvestment 228.6400 +20.77% +24.97%
JPMorgan Investment Funds - Japa... reinvestment 276.4500 +41.27% +96.05%
JPMorgan Investment Funds - Japa... reinvestment 265.0000 +40.15% +91.42%
JPMorgan Investment Funds - Japa... reinvestment 223.3100 +38.15% +80.80%
JPMorgan Investment Funds - Japa... reinvestment 126.8300 +19.85% -
JPMorgan Investment Funds - Japa... reinvestment 249.7900 +38.10% +80.59%
JPMorgan Investment Funds - Japa... reinvestment 158.3900 +21.06% +29.08%
JPMorgan Investment Funds - Japa... reinvestment 247.0500 +36.94% +76.05%
JPMorgan Investment Funds - Japa... reinvestment 365.4300 +38.97% +86.62%

Prestazione

YTD  
+11.39%
6 mesi  
+7.97%
1 anno  
+17.92%
3 anni  
+27.21%
5 anni  
+48.15%
10 anni  
+121.05%
Dall'inizio  
+205.36%
Anno
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%
 

Dividendi

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