JPMorgan Funds - Europe Equity Plus Fund A (perf) (dist) - GBP/  LU0289230079  /

Fonds
NAV07/06/2024 Diferencia-0.0400 Tipo de beneficio Enfoque de la inversión Sociedad de fondos
18.5300GBP -0.22% paying dividend Alternative Investments Europe JPMorgan AM (EU) 
  • Dividendos ajustados Dividendos ajustados

Rendimiento mensual

  ene. feb. mar. abr. may. jun. jul. ago. sep. oct. nov. dic. Total
2007 - - - - - - - -0.15 1.40 4.13 -2.79 1.81 -
2008 -13.20 5.13 1.95 2.87 1.86 -8.37 -2.99 0.51 -17.48 -16.98 -1.52 12.56 -33.85%
2009 -6.61 -7.32 2.37 10.54 2.56 -2.04 8.33 8.76 6.68 -1.32 1.71 1.69 +26.25%
2010 -3.50 3.05 8.33 -2.05 -6.81 -4.12 6.45 -2.02 10.14 2.92 -2.67 10.10 +19.46%
2011 3.11 2.41 2.36 3.31 -2.51 0.00 -4.86 -11.11 -7.80 12.01 -3.14 0.85 -7.11%
2012 3.38 5.88 -1.70 -2.67 -7.26 6.09 1.80 4.35 2.00 2.93 3.30 2.32 +21.47%
2013 10.64 2.05 0.50 3.50 2.66 -4.59 8.14 -3.53 1.77 7.66 -0.33 1.54 +33.06%
2014 -2.59 6.22 0.63 -1.25 1.37 -1.35 -2.21 1.51 -0.65 0.00 4.51 -2.46 +3.35%
2015 3.89 2.13 2.98 -0.87 2.04 -5.33 3.12 -4.49 -1.86 4.31 1.31 1.39 +8.36%
2016 -4.71 0.00 2.47 -0.20 1.31 -0.89 7.01 1.87 1.62 4.80 -3.96 4.68 +14.20%
2017 1.67 0.78 3.76 1.07 4.16 -1.10 1.82 2.26 -1.46 2.74 -2.13 1.09 +15.44%
2018 0.85 -2.52 -3.37 3.97 0.62 -1.16 3.29 -1.82 0.25 -6.40 -3.42 -3.02 -12.45%
2019 4.54 1.62 3.10 1.14 -1.13 4.96 1.78 -2.28 1.41 -1.63 1.58 1.17 +17.21%
2020 -2.00 -9.19 -14.88 8.84 5.88 4.06 -1.69 0.86 1.27 -7.81 12.25 3.04 -2.75%
2021 -2.47 1.63 6.51 4.22 2.32 0.42 1.13 1.88 -2.47 3.89 -0.75 5.55 +23.64%
2022 -2.66 -4.80 3.71 -0.68 -0.75 -7.47 5.78 -1.19 -3.69 4.18 6.09 -0.61 -3.07%
2023 4.21 2.35 -1.47 0.78 -3.98 3.67 -0.13 -1.29 1.92 -1.89 4.65 2.48 +11.46%
2024 2.04 3.46 5.16 -0.11 2.74 0.76 - - - - - - -
Meses individuales: Dividendos no considerados

Valores estimados

  Año hasta la fecha 6 Meses Promedio móvil 3 Años 5 Años
Volatilidad 9.72% 9.40% 10.15% 14.41% 16.76%
Índice de Sharpe 3.51 3.57 1.97 0.44 0.32
El mes mejor +5.16% +5.16% +5.16% +6.09% +12.25%
El mes peor -0.11% -0.11% -1.89% -7.47% -14.88%
Pérdida máxima -3.00% -3.00% -4.77% -15.54% -34.41%
Rendimiento superior -4.43% - -4.91% -3.04% -5.71%
 
Todas las cotizaciones en GBP

Tramos

Nombre   Tipo de beneficio Prec. de rescate Promedio móvil 3 Años
JPMorgan Funds - Europe Equity P... reinvestment 27.5600 +24.88% +16.58%
JPMorgan Funds - Europe Equity P... reinvestment 293.5600 +25.57% +37.35%
JPMorgan Funds - Europe Equity P... reinvestment 37.9400 +26.34% +41.04%
JPMorgan Funds - Europe Equity P... paying dividend 141.5800 +24.13% +36.31%
JPMorgan Funds - Europe Equity P... reinvestment 171.9100 +25.52% +37.98%
JPMorgan Funds - Europe Equity P... reinvestment 182.0500 +25.42% +37.94%
JPMorgan Funds - Europe Equity P... reinvestment 365.5000 +25.41% +37.83%
JPMorgan Funds - Europe Equity P... reinvestment 362.2000 +27.44% +44.50%
JPMorgan Funds - Europe Equity P... paying dividend 174.2500 +25.30% +37.64%
JPMorgan Funds - Europe Equity P... reinvestment 191.9800 +25.76% +37.28%
JPMorgan Funds - Europe Equity P... reinvestment 263.3100 +26.41% +22.42%
JPMorgan Funds - Europe Equity P... paying dividend 18.5300 +23.76% +33.67%
JPMorgan Funds - Europe Equity P... reinvestment 27.5000 +25.11% +35.53%
JPMorgan Funds - Europe Equity P... paying dividend 21.8800 +25.08% +35.41%
JPMorgan Funds - Europe Equity P... reinvestment 23.4000 +24.01% +31.61%
JPMorgan Funds - Europe Equity P... reinvestment 32.3100 +26.06% +20.16%
JPMorgan Funds - Europe Equity P... reinvestment 338.6000 +26.92% +41.86%

Performance

Año hasta la fecha  
+14.81%
6 Meses  
+17.13%
Promedio móvil  
+23.76%
3 Años  
+33.67%
5 Años  
+54.82%
10 Años  
+114.15%
Desde el principio  
+238.94%
Año
2023  
+11.46%
2022
  -3.07%
2021  
+23.64%
2020
  -2.75%
2019  
+17.21%
2018
  -12.45%
2017  
+15.44%
2016  
+14.20%
2015  
+8.36%
 

Dividendos

13/09/2023 0.25 GBP
14/09/2022 0.20 GBP
09/09/2021 0.12 GBP
10/09/2020 0.07 GBP
05/09/2019 0.17 GBP
05/09/2018 0.15 GBP
12/09/2017 0.19 GBP
01/09/2016 0.22 GBP
16/09/2015 0.09 GBP
17/09/2014 0.06 GBP
13/09/2013 0.12 GBP
13/09/2012 0.13 GBP
15/09/2011 0.05 GBP
16/09/2010 0.05 GBP
02/09/2009 0.10 GBP
02/09/2008 0.09 GBP