JPMorgan Funds - Global Convertibles Fund (EUR) A (dist) - USD/  LU0129952296  /

Fonds
NAV14/06/2024 Chg.-0.2100 Type of yield Investment Focus Investment company
13.9600USD -1.48% paying dividend Bonds Worldwide JPMorgan AM (EU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2003 - - - - - - 0.52 0.00 5.13 2.98 1.77 4.11 -
2004 1.75 2.09 -0.22 -2.78 0.53 -0.82 -8.31 1.07 2.61 2.54 5.19 2.87 +5.99%
2005 -4.29 2.69 -2.62 -0.90 -3.85 -1.10 1.90 0.78 0.08 -0.85 0.00 3.43 -4.94%
2006 6.10 -0.92 1.86 4.85 0.54 -1.27 0.74 1.27 -0.93 1.34 5.08 1.88 +22.21%
2007 -0.31 2.16 0.73 4.26 0.29 0.63 1.48 -1.74 6.01 4.43 0.83 -1.13 +18.79%
2008 -3.63 2.58 0.79 1.15 -0.10 -3.30 -2.50 -6.23 -13.98 -24.69 0.09 15.16 -33.54%
2009 -7.45 -3.56 8.43 4.21 11.73 0.70 5.04 3.88 5.15 1.27 2.74 -2.32 +32.33%
2010 -3.98 -2.66 2.61 -0.99 -12.96 -1.15 9.32 -2.93 10.87 3.61 -7.10 5.57 -2.34%
2011 3.49 2.78 2.02 5.54 -3.75 -1.22 -2.08 -5.29 -10.74 8.38 -7.79 -2.89 -12.53%
2012 5.73 5.49 -1.21 -1.99 -9.57 3.77 -0.91 3.45 3.48 0.75 0.75 3.44 +12.88%
2013 4.96 -3.30 -0.39 4.52 0.37 -1.78 3.63 -0.54 5.63 2.63 0.46 2.04 +19.32%
2014 -2.11 6.13 -1.02 0.16 0.16 0.32 -2.79 -1.49 -5.80 -0.30 1.68 -2.72 -7.92%
2015 -5.53 1.61 -3.80 4.80 -1.07 -1.01 -0.90 -1.62 -2.18 3.71 -4.75 1.16 -9.66%
2016 -4.93 -0.07 7.24 0.20 -1.85 -3.03 3.13 0.81 0.41 -2.69 -3.31 0.86 -3.76%
2017 3.26 -0.34 0.69 3.69 3.56 0.95 3.66 0.18 1.02 0.30 1.82 0.95 +21.50%
2018 5.55 -2.63 -1.09 -1.05 -3.11 -1.45 0.86 -0.18 -0.61 -6.64 -0.40 -2.38 -12.76%
2019 3.66 1.44 -1.74 3.15 -4.77 5.14 -1.14 -3.15 -2.66 3.48 1.19 3.19 +7.46%
2020 -0.32 -4.69 -8.57 7.12 9.29 5.59 11.17 5.02 -3.07 -0.05 11.82 5.73 +43.61%
2021 -0.62 1.86 -7.18 7.22 -0.92 1.32 -0.30 0.74 -3.74 2.30 -3.62 -3.39 -6.86%
2022 -12.33 -0.32 -1.09 -11.91 -5.86 -10.46 2.73 -1.80 -11.07 2.72 6.90 0.68 -36.34%
2023 7.08 -4.39 4.01 -0.91 -2.76 5.89 2.68 -4.68 -4.96 -3.08 7.59 4.96 +10.62%
2024 -1.78 0.07 1.33 -3.44 1.50 -1.97 - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 9.53% 10.32% 10.57% 17.92% 17.44%
Sharpe ratio -1.37 -0.89 -0.49 -1.02 -0.29
Best month +4.96% +4.96% +7.59% +7.59% +11.82%
Worst month -3.44% -3.44% -4.96% -12.33% -12.33%
Maximum loss -5.54% -5.54% -13.72% -49.92% -51.82%
Outperformance +17.00% - +19.37% +14.56% +16.45%
 
All quotes in USD

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
JPMorgan Funds - Global Converti... paying dividend 13.3200 +2.04% -25.67%
JPMorgan Funds - Global Converti... reinvestment 27.2700 -1.52% -30.34%
JPMorgan Funds - Global Converti... paying dividend 13.8300 +1.50% -26.97%
JPMorgan Funds - Global Converti... reinvestment 20.2100 +1.56% -26.19%
JPMorgan Funds - Global Converti... reinvestment 100.6600 +1.03% -27.32%
JPMorgan Funds - Global Converti... reinvestment 925.1800 -0.15% -29.86%
JPMorgan Funds - Global Converti... reinvestment 77.0300 +1.00% -27.39%
JPMorgan Funds - Global Converti... reinvestment 121.9600 -0.37% -30.28%
JPMorgan Funds - Global Converti... reinvestment 24.9400 -2.08% -31.46%
JPMorgan Funds - Global Converti... paying dividend 106.8000 +0.78% -27.86%
JPMorgan Funds - Global Converti... reinvestment 13.9500 +0.79% -27.83%
JPMorgan Funds - Global Converti... reinvestment 17.3300 +0.70% -27.94%
JPMorgan Funds - Global Converti... paying dividend 13.9600 -1.43% -37.70%
JPMorgan Funds - Global Converti... paying dividend 123.2600 -0.89% -36.57%
JPMorgan Funds - Global Converti... paying dividend 92.4100 +0.74% -27.94%
JPMorgan Funds - Global Converti... reinvestment 110.5000 +2.66% -23.37%
JPMorgan Funds - Global Converti... reinvestment 15.0800 +0.20% -29.04%
JPMorgan Funds - Global Converti... paying dividend 11.4200 +0.14% -29.10%
JPMorgan Funds - Global Converti... reinvestment 106.3600 +2.04% -24.74%
JPMorgan Funds - Global Converti... reinvestment 12.2600 -0.33% -30.14%

Performance

YTD
  -4.32%
6 Months
  -2.79%
1 Year
  -1.43%
3 Years
  -37.70%
5 Years
  -6.38%
10 Years
  -19.95%
Since start  
+37.75%
Year
2023  
+10.62%
2022
  -36.34%
2021
  -6.86%
2020  
+43.61%
2019  
+7.46%
2018
  -12.76%
2017  
+21.50%
2016
  -3.76%
2015
  -9.66%
 

Dividends

13/09/2023 0.23 USD
14/09/2022 0.01 USD
09/09/2021 0.07 USD
10/09/2020 0.04 USD
05/09/2019 0.02 USD
05/09/2018 0.02 USD
12/09/2017 0.21 USD
01/09/2016 0.15 USD
16/09/2015 0.06 USD
17/09/2014 0.11 USD
13/09/2013 0.26 USD
13/09/2012 0.60 USD
15/09/2011 0.15 USD
16/09/2010 0.11 USD
02/09/2009 0.06 USD
02/09/2008 0.07 USD