JPMorgan Funds - Europe Dynamic Technologies Fund A (dist) - EUR/  LU0104030142  /

Fonds
NAV07/06/2024 Chg.+0.1800 Type of yield Investment Focus Investment company
49.1500EUR +0.37% paying dividend Equity Europe JPMorgan AM (EU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
1999 - - - - - - - - - - - 35.31 -
2000 15.72 32.66 -10.55 -8.08 -12.83 4.42 5.48 10.05 -8.19 -9.90 -20.50 -4.24 -16.02%
2001 5.50 -14.56 -13.71 3.49 0.71 -10.66 -11.44 -7.57 -14.46 9.01 12.27 1.61 -36.93%
2002 -4.08 -7.44 6.25 -10.80 -4.98 -11.05 -8.92 -4.90 -22.79 16.90 14.46 -23.13 -51.08%
2003 -0.93 -6.07 -5.22 14.96 3.88 3.52 12.95 12.78 -2.00 16.33 1.17 -2.02 +56.94%
2004 15.19 2.82 -6.10 -4.38 -4.16 3.33 -7.56 -4.24 1.74 2.49 1.52 -2.09 -3.39%
2005 0.76 3.64 -1.32 -6.81 8.11 3.82 5.38 -1.34 3.81 -3.54 6.67 3.83 +24.27%
2006 5.28 2.10 2.40 -0.67 -8.09 -1.10 -2.35 4.56 1.61 2.53 2.24 4.03 +12.43%
2007 3.65 -2.45 2.19 5.46 4.47 1.26 -2.30 -0.98 1.09 2.45 -6.80 -2.06 +5.42%
2008 -14.17 -2.32 -5.13 7.39 3.32 -11.30 3.75 6.07 -16.85 -17.11 -7.72 -6.42 -48.73%
2009 2.29 -5.28 3.86 17.15 4.41 1.69 6.15 6.57 6.70 -3.61 0.29 5.60 +54.21%
2010 5.99 -2.70 10.95 1.19 -5.88 0.50 2.73 -4.96 9.03 2.68 1.02 7.20 +29.66%
2011 3.78 3.54 -2.25 3.60 -0.96 -4.09 -6.40 -6.94 -5.74 9.23 -5.37 0.84 -11.54%
2012 5.74 6.33 3.19 -0.41 -7.25 0.67 6.65 -0.94 0.52 0.21 5.02 1.00 +21.79%
2013 4.43 3.11 0.18 0.18 5.01 -4.95 6.58 0.86 9.94 3.02 4.14 1.81 +39.24%
2014 -2.20 6.82 -1.49 -4.89 5.65 -0.55 -0.28 1.66 2.04 -2.22 4.60 2.37 +11.39%
2015 7.38 6.10 3.61 -0.38 5.62 -5.99 3.30 -5.48 -0.59 7.75 5.48 -0.71 +27.89%
2016 -5.54 -4.31 2.42 -2.53 6.20 -6.63 10.11 0.72 2.02 -3.37 1.32 3.96 +3.06%
2017 1.76 4.39 5.43 4.12 2.41 -2.73 2.16 -0.80 6.46 5.59 -3.15 -0.71 +27.24%
2018 4.07 -2.49 -3.66 3.10 6.06 0.30 2.75 1.30 -2.29 -9.55 -3.28 -5.23 -9.58%
2019 8.21 4.77 0.82 8.15 -5.14 5.80 3.49 -3.03 2.45 1.49 6.04 2.51 +40.71%
2020 0.75 -8.10 -14.00 13.24 5.92 4.86 4.20 4.45 0.26 -5.75 14.45 6.82 +25.93%
2021 1.42 3.47 4.35 3.98 0.50 2.98 4.68 5.96 -5.55 5.47 0.00 1.90 +32.69%
2022 -11.56 -4.84 2.97 -4.86 -4.15 -11.06 16.50 -7.62 -9.72 6.77 6.29 -7.62 -28.40%
2023 8.30 2.21 3.72 -4.34 3.01 1.53 -0.69 -3.43 -2.76 -6.57 12.20 4.35 +17.17%
2024 2.78 2.25 -0.45 -3.02 5.37 3.04 - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 15.58% 14.83% 15.77% 21.64% 23.18%
Sharpe ratio 1.38 1.67 0.62 -0.08 0.38
Best month +5.37% +5.37% +12.20% +16.50% +16.50%
Worst month -3.02% -3.02% -6.57% -11.56% -14.00%
Maximum loss -6.85% -6.85% -14.85% -35.41% -40.41%
Outperformance -13.35% - -15.38% -20.56% -32.73%
 
All quotes in EUR

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
JPMorgan Funds - Europe Dynamic ... reinvestment 310.9800 +15.33% +11.04%
JPMorgan Funds - Europe Dynamic ... reinvestment 206.7500 +14.63% +9.02%
JPMorgan Funds - Europe Dynamic ... paying dividend 226.3700 +13.16% +7.05%
JPMorgan Funds - Europe Dynamic ... reinvestment 209.9800 +14.39% +8.37%
JPMorgan Funds - Europe Dynamic ... reinvestment 533.2800 +14.35% +8.25%
JPMorgan Funds - Europe Dynamic ... paying dividend 437.4300 +14.35% +8.24%
JPMorgan Funds - Europe Dynamic ... reinvestment 230.7500 +16.33% +15.64%
JPMorgan Funds - Europe Dynamic ... reinvestment 80.6500 +13.53% +5.95%
JPMorgan Funds - Europe Dynamic ... paying dividend 39.5500 +12.26% +4.52%
JPMorgan Funds - Europe Dynamic ... paying dividend 49.1500 +13.54% +5.93%
JPMorgan Funds - Europe Dynamic ... reinvestment 602.7000 +15.43% +13.01%
JPMorgan Funds - Europe Dynamic ... reinvestment 24.7200 +12.41% +2.79%

Performance

YTD  
+10.15%
6 Months  
+13.33%
1 Year  
+13.54%
3 Years  
+5.93%
5 Years  
+81.47%
10 Years  
+251.28%
Since start  
+447.24%
Year
2023  
+17.17%
2022
  -28.40%
2021  
+32.69%
2020  
+25.93%
2019  
+40.71%
2018
  -9.58%
2017  
+27.24%
2016  
+3.06%
2015  
+27.89%
 

Dividends

13/09/2023 0.01 EUR
14/09/2022 0.01 EUR
09/09/2021 0.01 EUR
10/09/2020 0.01 EUR
05/09/2019 0.01 EUR
05/09/2018 0.01 EUR
12/09/2017 0.30 EUR
01/09/2016 0.32 EUR
16/09/2015 0.23 EUR
17/09/2014 0.12 EUR
13/09/2013 0.03 EUR
13/09/2012 0.03 EUR
15/09/2011 0.07 EUR
02/09/2009 0.06 EUR
02/09/2008 0.13 EUR
08/09/2006 0.10 EUR