JPMorgan Investment Funds - Global Balanced Fund A (dist) - USD (hedged)
LU0957039505
JPMorgan Investment Funds - Global Balanced Fund A (dist) - USD (hedged)/ LU0957039505 /
NAV 07.06.2024
Diff.-0,4200
Ertragstyp
Ausrichtung
Fondsgesellschaft
218,1400 USD
-0,19%
ausschüttend
Mischfonds
weltweit
JPMorgan AM (EU) ▶
Kennzahlen und Performance in:
Alle Kurse in USD
Tranchen
Titel
Ertragstyp
Rückn. Preis
1 Jahr
3 Jahre
JPMorgan Investment Funds - Glob...
thesaurierend
123,2100
+10,19%
-1,46%
JPMorgan Investment Funds - Glob...
ausschüttend
189,5100
+11,28%
+2,09%
JPMorgan Investment Funds - Glob...
ausschüttend
204,7300
+12,11%
+4,41%
JPMorgan Investment Funds - Glob...
ausschüttend
179,7300
+10,72%
+0,57%
JPMorgan Investment Funds - Glob...
thesaurierend
160,8800
+8,61%
-5,62%
JPMorgan Investment Funds - Glob...
thesaurierend
153,9900
+10,85%
+0,31%
JPMorgan Investment Funds - Glob...
thesaurierend
144,8100
+13,02%
+6,95%
JPMorgan Investment Funds - Glob...
thesaurierend
161,0600
+10,01%
-1,95%
JPMorgan Investment Funds - Glob...
thesaurierend
117,6500
+12,18%
+4,55%
JPMorgan Investment Funds - Glob...
thesaurierend
1.848,8101
+9,96%
-2,07%
JPMorgan Investment Funds - Glob...
ausschüttend
143,7000
+9,96%
-2,07%
JPMorgan Investment Funds - Glob...
ausschüttend
177,4300
+12,11%
+4,41%
JPMorgan Investment Funds - Glob...
thesaurierend
247,3000
+12,11%
+4,42%
JPMorgan Investment Funds - Glob...
thesaurierend
2.162,3000
+9,14%
-4,21%
JPMorgan Investment Funds - Glob...
thesaurierend
228,9600
+11,28%
+2,13%
JPMorgan Investment Funds - Glob...
ausschüttend
218,1400
+11,27%
+2,09%
JPMorgan Investment Funds - Glob...
thesaurierend
217,1400
+10,72%
+0,58%
JPMorgan Investment Funds - Glob...
thesaurierend
207,5300
+8,60%
-5,66%
JPMorgan Investment Funds - Glob...
ausschüttend
146,8300
+9,13%
-4,24%
Performance
lfd. Jahr
+5,33%
6 Monate
+8,99%
1 Jahr
+11,27%
3 Jahre
+2,09%
5 Jahre
-
10 Jahre
-
seit Beginn
+17,04%
Jahr
2023
+10,53%
2022
-15,48%
2021
+8,70%
2020
+9,42%
Ausschüttungen
08.03.2024
1,28 USD
08.03.2023
0,02 USD
08.03.2022
0,02 USD
09.03.2021
0,02 USD
10.03.2020
0,02 USD