JPMorgan Funds - Emerging Markets Strategic Bond Fund A (perf) (div) - EUR (hedged)/  LU1003273171  /

Fonds
NAV07/06/2024 Diferencia-0.1000 Tipo de beneficio Enfoque de la inversión Sociedad de fondos
38.0000EUR -0.26% paying dividend Bonds Emerging Markets JPMorgan AM (EU) 
  • Dividendos ajustados Dividendos ajustados

Rendimiento mensual

  ene. feb. mar. abr. may. jun. jul. ago. sep. oct. nov. dic. Total
2014 - 2.21 1.50 1.00 1.92 0.33 -0.26 0.75 -1.92 1.15 0.52 -1.85 +4.59%
2015 1.19 -0.29 -0.85 1.35 -0.95 -1.70 -0.19 -1.87 -1.91 1.19 0.11 -1.58 -5.44%
2016 -0.95 0.54 3.10 1.53 -0.90 2.20 1.34 0.74 0.20 -0.24 -3.46 1.41 +5.47%
2017 1.18 1.48 0.33 1.00 0.27 0.06 0.86 1.27 -0.03 -0.65 0.33 0.41 +6.68%
2018 1.30 -1.74 -0.58 -1.68 -3.04 -2.28 2.15 -3.13 1.17 -2.24 -0.74 0.04 -10.41%
2019 2.95 1.24 0.17 -0.26 -0.29 3.17 1.55 -0.94 -0.06 0.79 -1.33 2.59 +9.87%
2020 0.11 -1.64 -13.19 2.26 6.13 2.24 3.38 0.52 -2.37 0.26 5.26 2.75 +4.35%
2021 -1.02 -1.05 -1.49 1.31 1.22 0.25 -0.54 0.80 -1.92 -0.42 -2.36 1.29 -3.94%
2022 -1.25 -5.37 -1.32 -4.34 0.30 -6.48 0.46 -0.11 -5.72 -1.07 7.06 1.50 -15.84%
2023 3.52 -2.55 1.02 0.64 -1.84 2.62 2.01 -2.57 -2.92 -0.84 5.13 4.36 +8.44%
2024 -1.42 0.42 1.09 -2.21 1.31 0.03 - - - - - - -
Meses individuales: Dividendos no considerados

Valores estimados

  Año hasta la fecha 6 Meses Promedio móvil 3 Años 5 Años
Volatilidad 5.13% 5.63% 5.84% 6.63% 7.01%
Índice de Sharpe -1.10 0.23 0.25 -1.22 -0.68
El mes mejor +4.36% +4.36% +5.13% +7.06% +7.06%
El mes peor -2.21% -2.21% -2.92% -6.48% -13.19%
Pérdida máxima -3.25% -3.25% -7.65% -26.88% -27.25%
Rendimiento superior -4.58% - +3.10% +0.54% +2.11%
 
Todas las cotizaciones en EUR

Tramos

Nombre   Tipo de beneficio Prec. de rescate Promedio móvil 3 Años
JPMorgan Funds - Emerging Market... paying dividend 38.0000 +5.19% -12.55%
JPMorgan Funds - Emerging Market... paying dividend 33.8400 +4.16% -15.05%
JPMorgan Funds - Emerging Market... reinvestment 99.3100 +6.00% -10.56%
JPMorgan Funds - Emerging Market... reinvestment 113.4200 +8.18% -4.33%
JPMorgan Funds - Emerging Market... reinvestment 68.7500 +4.23% -14.94%
JPMorgan Funds - Emerging Market... reinvestment 104.4100 +6.31% -9.19%
JPMorgan Funds - Emerging Market... paying dividend 62.5000 +5.41% -12.06%
JPMorgan Funds - Emerging Market... reinvestment 85.2100 +6.45% -9.48%
JPMorgan Funds - Emerging Market... reinvestment 135.2900 +8.63% -3.16%
JPMorgan Funds - Emerging Market... reinvestment 108.1600 +5.42% -12.04%
JPMorgan Funds - Emerging Market... reinvestment 111.1100 +7.25% +7.43%
JPMorgan Funds - Emerging Market... reinvestment 77.2200 +5.88% -10.83%
JPMorgan Funds - Emerging Market... reinvestment 123.1100 +8.03% -4.72%
JPMorgan Funds - Emerging Market... reinvestment 74.2000 +5.85% -10.94%
JPMorgan Funds - Emerging Market... reinvestment 115.7800 +7.53% -6.02%
JPMorgan Funds - Emerging Market... paying dividend 80.0200 +7.54% -6.03%
JPMorgan Funds - Emerging Market... paying dividend 77.0300 +8.03% -4.71%
JPMorgan Funds - Emerging Market... reinvestment 78.0000 +5.22% -12.44%
JPMorgan Funds - Emerging Market... paying dividend 49.3400 +5.23% -12.51%
JPMorgan Funds - Emerging Market... reinvestment 112.2400 +7.06% -7.27%
JPMorgan Funds - Emerging Market... paying dividend 80.8700 +7.07% -7.27%
JPMorgan Funds - Emerging Market... paying dividend 61.4900 +4.91% -13.33%
JPMorgan Funds - Emerging Market... reinvestment 90.1100 +4.90% -13.36%
JPMorgan Funds - Emerging Market... reinvestment 135.6100 +7.38% -6.43%

Performance

Año hasta la fecha
  -0.82%
6 Meses  
+2.50%
Promedio móvil  
+5.19%
3 Años
  -12.55%
5 Años
  -5.00%
10 Años
  -7.09%
Desde el principio
  -0.62%
Año
2023  
+8.44%
2022
  -15.84%
2021
  -3.94%
2020  
+4.35%
2019  
+9.87%
2018
  -10.41%
2017  
+6.68%
2016  
+5.47%
2015
  -5.44%
 

Dividendos

08/05/2024 0.59 EUR
08/02/2024 0.58 EUR
08/11/2023 0.55 EUR
08/08/2023 0.57 EUR
11/05/2023 0.57 EUR
08/02/2023 0.58 EUR
08/11/2022 0.52 EUR
09/08/2022 0.58 EUR
11/05/2022 0.60 EUR
08/02/2022 0.72 EUR
09/11/2021 0.73 EUR
10/08/2021 0.73 EUR
10/05/2021 0.73 EUR
09/02/2021 0.80 EUR
10/11/2020 0.74 EUR
10/08/2020 0.79 EUR
08/05/2020 0.72 EUR
10/02/2020 0.86 EUR
08/11/2019 0.85 EUR
08/08/2019 0.85 EUR
08/05/2019 0.83 EUR
11/02/2019 0.84 EUR
08/11/2018 0.84 EUR
08/08/2018 0.91 EUR
08/05/2018 1.00 EUR
08/02/2018 1.07 EUR
08/11/2017 1.08 EUR
08/08/2017 1.14 EUR
09/05/2017 1.13 EUR
08/02/2017 1.09 EUR
08/11/2016 1.09 EUR
09/08/2016 1.07 EUR
10/05/2016 0.97 EUR
12/02/2016 1.07 EUR
10/11/2015 1.01 EUR
10/08/2015 1.24 EUR
08/05/2015 1.14 EUR
10/02/2015 1.18 EUR
10/11/2014 1.25 EUR
08/08/2014 1.29 EUR
08/05/2014 1.42 EUR