JPMorgan Funds - Global Growth Fund A (dist) - EUR (hedged)/  LU0336376248  /

Fonds
NAV07/06/2024 Chg.+0.0500 Type de rendement Focus sur l'investissement Société de fonds
14.3500EUR +0.35% paying dividend Equity Worldwide JPMorgan AM (EU) 
  • Dividendes ajustés Dividendes ajustés

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2008 - - - - - - - 1.55 -13.72 -18.20 -6.48 2.77 -
2009 -6.07 -9.81 6.90 13.40 5.69 -0.41 6.65 3.31 3.26 -0.38 2.49 4.48 +31.18%
2010 -3.75 0.56 7.20 -0.17 -7.76 -3.55 3.88 -3.92 8.16 1.62 -0.53 4.99 +5.56%
2011 0.51 2.36 0.00 1.16 -2.28 -1.84 -2.89 -8.23 -8.61 11.95 -3.18 0.77 -11.19%
2012 5.76 5.08 -0.86 -0.35 -7.52 3.40 3.47 1.06 1.22 0.52 1.56 0.51 +14.03%
2013 6.27 -0.32 2.08 0.63 4.83 -5.50 5.66 -2.23 3.19 4.01 1.85 0.42 +22.24%
2014 -3.49 4.48 -0.14 0.69 3.30 0.53 1.19 1.18 -1.43 0.53 2.75 0.13 +9.91%
2015 -1.27 5.93 0.73 2.66 1.18 -2.67 2.87 -7.32 -5.35 10.50 0.61 -2.18 +4.50%
2016 -10.64 -0.28 3.47 1.48 2.25 -6.08 6.61 1.55 -1.03 0.13 5.08 1.36 +2.68%
2017 0.73 3.28 0.59 0.94 -0.35 0.23 3.13 -2.14 0.57 2.17 0.78 1.78 +12.25%
2018 5.13 -3.84 -6.37 3.58 1.11 1.10 1.20 -0.75 0.22 -7.26 1.64 -7.36 -11.91%
2019 6.20 3.86 2.59 4.28 -5.78 4.13 1.71 -1.90 -0.32 1.51 3.19 3.09 +24.33%
2020 2.20 -8.70 -6.96 11.97 4.73 2.94 6.86 5.80 -1.69 -2.66 10.41 5.19 +31.68%
2021 -0.15 3.12 0.74 5.78 -3.32 7.73 -0.27 1.87 -3.86 4.49 -1.37 -3.24 +11.31%
2022 -15.02 -4.58 1.68 -11.26 -6.90 -9.42 12.50 -3.64 -9.81 3.06 2.97 -5.24 -39.33%
2023 8.57 -0.31 4.90 0.70 3.55 5.52 0.63 -0.72 -4.16 -2.74 10.28 4.84 +34.51%
2024 4.28 7.96 3.13 -2.60 2.89 3.46 - - - - - - -
Mois uniques : Dividendes non pris en compte

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 15.35% 14.47% 14.21% 21.36% 20.72%
Ratio de Sharpe 3.27 3.89 2.15 -0.13 0.28
Le meilleur mois +7.96% +7.96% +10.28% +12.50% +12.50%
Le plus défavorable mois -2.60% -2.60% -4.16% -15.02% -15.02%
Perte maximale -6.30% -6.30% -9.03% -47.04% -47.04%
Surperformance +30.57% - +34.44% +33.65% +34.49%
 
Toutes les cotations dans EUR

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
JPMorgan Funds - Global Growth F... reinvestment 24.1500 +34.02% +2.50%
JPMorgan Funds - Global Growth F... reinvestment 14.1100 +33.24% +0.57%
JPMorgan Funds - Global Growth F... reinvestment 34.9600 +37.26% +10.18%
JPMorgan Funds - Global Growth F... reinvestment 43.5800 +36.23% +24.02%
JPMorgan Funds - Global Growth F... reinvestment 165.8200 +31.31% -0.69%
JPMorgan Funds - Global Growth F... reinvestment 176.1400 +33.02% +15.42%
JPMorgan Funds - Global Growth F... reinvestment 98.7400 +33.69% -
JPMorgan Funds - Global Growth F... reinvestment 36,175.0000 +53.85% +55.48%
JPMorgan Funds - Global Growth F... reinvestment 176.1300 +33.01% +15.42%
JPMorgan Funds - Global Growth F... reinvestment 212.2500 +36.45% +8.17%
JPMorgan Funds - Global Growth F... reinvestment 135.4400 +35.44% -
JPMorgan Funds - Global Growth F... reinvestment 41.5500 +36.36% +8.06%
JPMorgan Funds - Global Growth F... reinvestment 18.7700 +35.62% +5.99%
JPMorgan Funds - Global Growth F... reinvestment 206.8900 +35.35% +21.64%
JPMorgan Funds - Global Growth F... reinvestment 30.8500 +35.07% +4.93%
JPMorgan Funds - Global Growth F... paying dividend 14.3500 +34.36% +3.02%
JPMorgan Funds - Global Growth F... reinvestment 15.9100 +34.26% +2.84%
JPMorgan Funds - Global Growth F... paying dividend 57.4100 +35.05% +4.91%
JPMorgan Funds - Global Growth F... reinvestment 252.6100 +34.02% +18.09%

Performance

CAD  
+20.39%
6 Mois  
+26.43%
1 An  
+34.36%
3 Ans  
+3.02%
5 Ans  
+58.05%
10 ans  
+96.70%
Depuis le début  
+152.78%
Année
2023  
+34.51%
2022
  -39.33%
2021  
+11.31%
2020  
+31.68%
2019  
+24.33%
2018
  -11.91%
2017  
+12.25%
2016  
+2.68%
2015  
+4.50%
 

Dividendes

13/09/2023 0.01 EUR
14/09/2022 0.02 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 0.01 EUR
01/09/2016 0.12 EUR
16/09/2015 0.13 EUR
17/09/2014 0.02 EUR
13/09/2013 0.04 EUR
13/09/2012 0.04 EUR
15/09/2011 0.02 EUR
16/09/2010 0.02 EUR
02/09/2009 0.21 EUR