JPMorgan Funds - Asia Pacific Income Fund - JPM Asia Pacific Income A (div) - SGD/  LU1655091459  /

Fonds
NAV30/05/2024 Var.-0.0500 Type of yield Focus sugli investimenti Società d'investimento
8.5800SGD -0.58% paying dividend Mixed Fund Asia/Pacific JPMorgan AM (EU) 
  • Dividends adjusted Dividends adjusted

Performance mensile

  gen feb mar apr mag giu lug ago set ott nov dic Totale
2017 - - - - - - - - - 2.49 -0.98 0.49 -
2018 1.96 -2.31 -2.59 2.25 0.00 -1.01 1.43 0.41 0.00 -4.07 1.38 -1.59 -4.27%
2019 3.54 2.09 1.54 1.42 -1.91 2.37 0.80 -2.00 0.72 0.20 -0.32 1.14 +9.88%
2020 -0.72 -0.45 -10.79 4.69 0.58 2.26 3.09 0.10 -1.30 -0.11 5.06 3.48 +5.03%
2021 2.34 1.78 1.38 0.58 1.07 0.39 -0.96 0.77 -1.56 -0.69 -0.10 1.31 +6.43%
2022 -0.90 -0.41 -1.73 -1.35 -0.83 -2.68 -1.10 0.34 -4.60 -5.64 6.29 -0.95 -13.15%
2023 3.59 -1.06 -0.35 0.83 -0.35 1.67 0.23 -1.77 -0.60 -1.70 2.23 2.08 +4.73%
2024 0.36 1.91 1.78 0.47 0.34 - - - - - - - -
Mesi singoli: Dividendi non considerati

Calculated values

  YTD 6 mesi 1 anno 3 anni 5 anni
Volatilità 5.56% 5.51% 5.61% 6.32% 7.69%
Indice di Sharpe 1.57 2.01 0.52 -0.89 -0.24
Mese migliore +2.08% +2.23% +2.23% +6.29% +6.29%
Mese peggiore +0.34% +0.34% -1.77% -5.64% -10.79%
Perdita massima -2.31% -2.31% -4.25% -19.36% -19.36%
Outperformance - - - - -
 
Tutte le quotazioni in SGD

Tranches

Nome   Type of yield Prezzo di riacquisto 1 anno 3 anni
JPMorgan Funds - Asia Pacific In... paying dividend 8.8200 +5.75% -11.01%
JPMorgan Funds - Asia Pacific In... paying dividend 85.7800 +7.12% -7.66%
JPMorgan Funds - Asia Pacific In... paying dividend 99.8300 +6.90% -7.20%
JPMorgan Funds - Asia Pacific In... paying dividend 8.4200 +5.86% -7.78%
JPMorgan Funds - Asia Pacific In... paying dividend 9.9500 +7.59% -4.31%
JPMorgan Funds - Asia Pacific In... paying dividend 9.7800 +4.90% -10.06%
JPMorgan Funds - Asia Pacific In... paying dividend 9.2400 +5.15% -6.76%
JPMorgan Funds - Asia Pacific In... paying dividend 8.4200 +5.96% -9.45%
JPMorgan Funds - Asia Pacific In... paying dividend 8.1400 +7.23% -6.88%
JPMorgan Funds - Asia Pacific In... paying dividend 8.2800 +5.97% -9.21%
JPMorgan Funds - Asia Pacific In... reinvestment 15.5300 +6.66% -6.61%
JPMorgan Funds - Asia Pacific In... paying dividend 8.4800 +4.73% -13.22%
JPMorgan Funds - Asia Pacific In... paying dividend 8.3500 +6.20% -9.96%
JPMorgan Funds - Asia Pacific In... paying dividend 8.1500 +6.30% -9.36%
JPMorgan Funds - Asia Pacific In... paying dividend 11.1700 +6.66% -6.55%
JPMorgan Funds - Asia Pacific In... paying dividend 104.5100 +7.76% -4.95%
JPMorgan Funds - Asia Pacific In... paying dividend 72.6300 +4.34% -14.39%
JPMorgan Funds - Asia Pacific In... paying dividend 8.3700 +4.04% -14.58%
JPMorgan Funds - Asia Pacific In... reinvestment 167.6700 +8.62% -2.65%
JPMorgan Funds - Asia Pacific In... paying dividend 8.5800 +6.72% -5.38%
JPMorgan Funds - Asia Pacific In... paying dividend 8.0700 +5.04% -11.58%
JPMorgan Funds - Asia Pacific In... paying dividend 8.5800 +4.16% -9.18%
JPMorgan Funds - Asia Pacific In... paying dividend 12.0300 +6.82% -5.30%
JPMorgan Funds - Asia Pacific In... paying dividend 89.6100 +6.38% -8.59%
JPMorgan Funds - Asia Pacific In... paying dividend 87.8600 +5.78% -10.08%
JPMorgan Funds - Asia Pacific In... reinvestment 105.4800 +6.80% -
JPMorgan Funds - Asia Pacific In... reinvestment 135.3200 +7.81% -4.83%
JPMorgan Funds - Asia Pacific In... reinvestment 19.8400 +7.77% -4.98%
JPMorgan Funds - Asia Pacific In... paying dividend 113.7500 +7.76% -4.95%
JPMorgan Funds - Asia Pacific In... reinvestment 24.8500 +6.88% -7.24%
JPMorgan Funds - Asia Pacific In... paying dividend 30.4900 +6.89% -7.25%
JPMorgan Funds - Asia Pacific In... reinvestment 31.6800 +6.38% -8.49%

Prestazione

YTD  
+4.94%
6 mesi  
+7.12%
1 anno  
+6.72%
3 anni
  -5.38%
5 anni  
+10.03%
10 anni     -
Dall'inizio  
+14.82%
Anno
2023  
+4.73%
2022
  -13.15%
2021  
+6.43%
2020  
+5.03%
2019  
+9.88%
2018
  -4.27%
 

Dividendi

08/05/2024 0.09 SGD
08/02/2024 0.09 SGD
08/11/2023 0.09 SGD
08/08/2023 0.12 SGD
11/05/2023 0.09 SGD
08/02/2023 0.10 SGD
08/11/2022 0.09 SGD
09/08/2022 0.10 SGD
11/05/2022 0.09 SGD
08/02/2022 0.10 SGD
09/11/2021 0.10 SGD
10/08/2021 0.10 SGD
10/05/2021 0.10 SGD
09/02/2021 0.10 SGD
10/11/2020 0.10 SGD
10/08/2020 0.10 SGD
08/05/2020 0.11 SGD
10/02/2020 0.11 SGD
08/11/2019 0.11 SGD
08/08/2019 0.11 SGD
08/05/2019 0.11 SGD
11/02/2019 0.12 SGD
08/11/2018 0.11 SGD
08/08/2018 0.11 SGD
08/05/2018 0.12 SGD
08/02/2018 0.11 SGD
08/11/2017 0.05 SGD