JPMorgan Investment Funds - Global Dividend Fund C (dist) - EUR (hedged)/  LU0965886236  /

Fonds
NAV2024-06-07 Chg.-0.2000 Type of yield Investment Focus Investment company
153.6100EUR -0.13% paying dividend Equity Worldwide JPMorgan AM (EU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2013 - - - - - - - - - 3.81 0.85 1.16 -
2014 -4.39 5.16 0.30 0.52 2.27 1.95 -1.19 0.73 -0.73 0.88 2.27 0.39 +8.16%
2015 0.59 3.28 0.47 0.10 2.24 -3.65 3.24 -5.82 -2.90 6.63 1.16 -1.18 +3.60%
2016 -5.08 0.08 3.30 -0.98 2.39 -2.16 4.74 0.58 -1.06 -0.43 3.12 2.55 +6.83%
2017 0.28 1.82 1.19 0.94 1.33 -0.14 1.02 -0.26 1.91 3.59 0.45 1.91 +14.90%
2018 2.82 -3.04 -3.83 3.18 0.17 0.14 3.24 -0.68 0.73 -6.01 1.11 -6.77 -9.19%
2019 6.13 3.73 1.47 4.25 -5.33 5.35 1.60 -1.64 1.59 1.22 2.07 2.18 +24.48%
2020 1.12 -9.67 -11.49 8.73 2.59 1.38 4.66 4.94 -2.79 -3.37 15.57 2.59 +11.83%
2021 0.24 3.51 4.61 3.14 2.48 -0.08 2.14 1.00 -2.65 4.26 -1.56 5.57 +24.74%
2022 -2.07 -2.45 3.55 -4.10 -1.36 -7.04 6.55 -2.29 -7.63 5.99 6.01 -2.25 -8.13%
2023 5.03 0.16 0.39 0.04 -1.36 3.81 1.93 -1.86 -2.81 -2.87 5.94 4.51 +13.11%
2024 0.94 3.17 2.66 -1.88 1.62 1.83 - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 8.69% 8.48% 8.58% 13.07% 15.81%
Sharpe ratio 1.99 2.74 1.34 0.23 0.49
Best month +4.51% +4.51% +5.94% +6.55% +15.57%
Worst month -1.88% -1.88% -2.87% -7.63% -11.49%
Maximum loss -3.57% -3.57% -8.30% -19.04% -33.08%
Outperformance -0.69% - +4.70% +19.31% +30.36%
 
All quotes in EUR

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
JPMorgan Investment Funds - Glob... paying dividend 203.8600 +14.38% +17.57%
JPMorgan Investment Funds - Glob... paying dividend 142.9400 +14.09% +18.29%
JPMorgan Investment Funds - Glob... paying dividend 130.2800 +13.31% +15.88%
JPMorgan Investment Funds - Glob... reinvestment 269.0200 +16.28% +23.53%
JPMorgan Investment Funds - Glob... paying dividend 16.8700 +14.92% +20.11%
JPMorgan Investment Funds - Glob... paying dividend 179.0900 +14.38% +17.57%
JPMorgan Investment Funds - Glob... paying dividend 182.5200 +16.45% +26.29%
JPMorgan Investment Funds - Glob... paying dividend 142.3300 +13.22% +15.64%
JPMorgan Investment Funds - Glob... paying dividend 151.4900 +15.31% +22.62%
JPMorgan Investment Funds - Glob... reinvestment 200.7000 +13.30% +15.86%
JPMorgan Investment Funds - Glob... reinvestment 114.3100 +12.67% -
JPMorgan Investment Funds - Glob... reinvestment 114.7400 +14.74% -
JPMorgan Investment Funds - Glob... reinvestment 233.3500 +15.53% +21.15%
JPMorgan Investment Funds - Glob... reinvestment 173.7700 +14.71% +36.58%
JPMorgan Investment Funds - Glob... reinvestment 164.2400 +15.26% +22.02%
JPMorgan Investment Funds - Glob... paying dividend 142.7200 +15.58% +21.29%
JPMorgan Investment Funds - Glob... reinvestment 444.1900 +14.65% +36.40%
JPMorgan Investment Funds - Glob... paying dividend 215.6300 +14.66% +36.40%
JPMorgan Investment Funds - Glob... paying dividend 118.3600 +14.65% -
JPMorgan Investment Funds - Glob... paying dividend 153.6100 +15.21% +21.88%
JPMorgan Investment Funds - Glob... reinvestment 159.5500 +14.16% +18.42%
JPMorgan Investment Funds - Glob... reinvestment 205.5500 +13.59% +15.08%
JPMorgan Investment Funds - Glob... reinvestment 141.0200 +13.30% +15.84%
JPMorgan Investment Funds - Glob... paying dividend 246.2000 +14.13% +18.34%
JPMorgan Investment Funds - Glob... reinvestment 232.7400 +14.46% +17.73%
JPMorgan Investment Funds - Glob... paying dividend 253.6600 +14.44% +17.66%
JPMorgan Investment Funds - Glob... reinvestment 272.8400 +13.60% +32.56%
JPMorgan Investment Funds - Glob... paying dividend 185.2800 +13.60% +32.56%

Performance

YTD  
+8.56%
6 Months  
+12.66%
1 Year  
+15.21%
3 Years  
+21.88%
5 Years  
+72.28%
10 Years  
+132.89%
Since start  
+156.21%
Year
2023  
+13.11%
2022
  -8.13%
2021  
+24.74%
2020  
+11.83%
2019  
+24.48%
2018
  -9.19%
2017  
+14.90%
2016  
+6.83%
2015  
+3.60%
 

Dividends

2024-03-08 2.34 EUR
2023-03-08 1.29 EUR
2022-03-08 2.46 EUR
2021-03-09 1.23 EUR
2020-03-10 1.67 EUR
2019-03-08 1.81 EUR
2018-03-08 1.41 EUR
2017-03-08 2.86 EUR
2016-03-14 2.27 EUR
2015-03-16 3.08 EUR
2014-03-14 0.61 EUR