Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
JPM Liquidity Funds - USD Standard ...
LU0161687693
thesaurierend
USD
JPMorgan AM (EU) 11'348.8496
20.05.2024
+1.20% +5.17% +8.36% +9.88% 11.11
0.12%
JPM Managed Reserves Fund A (acc) -...
LU0513027705
thesaurierend
USD
JPMorgan AM (EU) 11'711.8203
21.05.2024
+1.18% +5.06% +7.00% +9.75% 3.51
0.36%
JPM Liquidity Funds-GBP Standard Mo...
LU0088883706
thesaurierend
GBP
JPMorgan AM (EU) 17'589.3496
20.05.2024
+1.32% +5.47% +8.56% +9.47% 11.35
0.15%
JPM GBP Liquidity LVNAV X (acc.)
LU1873130667
thesaurierend
GBP
JPMorgan AM (EU) 10'968.8799
20.05.2024
+1.30% +5.32% +8.39% +9.27% 9.24
0.16%
JPM Liquidity Funds-GBP Standard Mo...
LU1747646039
thesaurierend
GBP
JPMorgan AM (EU) 11'007.2900
20.05.2024
+1.31% +5.40% +8.37% +9.16% 11.04
0.14%
JPM Sterling Managed Reserves I (ac...
LU1422956794
thesaurierend
GBP
JPMorgan AM (EU) 11'070.3896
21.05.2024
+1.28% +5.28% +7.54% +9.14% 6.00
0.25%
JPM Managed Reserves Fund C (acc) -...
LU1502179119
thesaurierend
HKD
JPMorgan AM (EU) 111'918.9297
21.05.2024
+0.98% +4.48% +5.71% +9.14% 1.75
0.39%
JPM GBP Liquidity LVNAV G (acc.)
LU1873129651
thesaurierend
GBP
JPMorgan AM (EU) 10'938.2695
20.05.2024
+1.29% +5.26% +8.22% +8.98% 8.97
0.16%
JPM GBP Liquidity LVNAV E (acc.)
LU1873129578
thesaurierend
GBP
JPMorgan AM (EU) 10'938.2305
20.05.2024
+1.29% +5.26% +8.22% +8.98% 8.97
0.16%
JPM Liquidity Funds-GBP Standard Mo...
LU1540980627
thesaurierend
GBP
JPMorgan AM (EU) 11'003.9697
20.05.2024
+1.29% +5.35% +8.24% +8.95% 10.72
0.14%
JPM GBP Liquidity LVNAV W (acc.)
LU1873130584
thesaurierend
GBP
JPMorgan AM (EU) 10'915.0703
20.05.2024
+1.27% +5.21% +8.10% +8.78% 8.76
0.16%
JPM Liquidity Funds-GBP Standard Mo...
LU0933169087
thesaurierend
GBP
JPMorgan AM (EU) 11'097.9805
20.05.2024
+1.28% +5.29% +8.11% +8.75% 10.40
0.14%
JPM Liquidity Funds-GBP Standard Mo...
LU0088883458
thesaurierend
GBP
JPMorgan AM (EU) 17'546.1992
20.05.2024
+1.28% +5.29% +8.11% +8.75% 10.40
0.14%
JPM Managed Reserves Fund C (acc) -...
LU0513029313
thesaurierend
SGD
JPMorgan AM (EU) 11'264.2998
21.05.2024
+0.85% +3.73% +5.92% +8.71% -0.22
0.39%
JPM GBP Liquidity LVNAV C (acc.)
LU1873128927
thesaurierend
GBP
JPMorgan AM (EU) 10'893.6396
20.05.2024
+1.26% +5.15% +7.98% +8.60% 8.51
0.16%
JPM Managed Reserves Fund I (acc) -...
LU0513030675
thesaurierend
GBP
JPMorgan AM (EU) 7'052.5000
21.05.2024
+1.22% +5.09% +6.78% +8.38% 3.56
0.36%
JPM Managed Reserves Fund C (dist) ...
LU0539309053
ausschüttend
GBP
JPMorgan AM (EU) 5'942.8999
21.05.2024
+1.21% +5.05% +6.65% +8.17% 3.46
0.36%
JPM Sterling Managed Reserves A (ac...
LU1422956018
thesaurierend
GBP
JPMorgan AM (EU) 10'869.0801
21.05.2024
+1.19% +4.92% +6.86% +8.15% 4.64
0.24%
JPM SGD Liquidity LVNAV C (acc.)
LU0440254422
thesaurierend
SGD
JPMorgan AM (EU) 11'166.9004
20.05.2024
+0.87% +3.61% +6.54% +7.94% -1.43
0.14%
JPM Liquidity Funds-GBP Standard Mo...
LU0103815170
thesaurierend
GBP
JPMorgan AM (EU) 13'518.5596
20.05.2024
+1.22% +5.04% +7.52% +7.86% 8.81
0.14%