JPMorgan Funds - US Aggregate Bond Fund A (div) - USD/  LU0775267817  /

Fonds
NAV07/06/2024 Chg.-0.3700 Type of yield Investment Focus Investment company
76.2300USD -0.48% paying dividend Bonds Bonds: Mixed JPMorgan AM (EU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2012 - - - - 0.94 - -0.38 -0.03 0.46 -0.02 0.34 -0.20 -
2013 -0.81 0.54 0.18 0.81 -1.67 -1.81 -0.14 -0.39 0.82 0.66 -0.26 -0.59 -2.68%
2014 1.35 0.48 -0.14 0.54 1.26 -0.07 -0.13 1.05 -0.57 0.63 0.71 -0.03 +5.18%
2015 1.84 -0.91 0.54 -0.34 -0.08 -0.78 0.45 0.31 0.32 -0.31 -0.18 -0.50 +0.32%
2016 1.33 0.55 0.65 0.35 -0.01 1.86 0.33 0.03 0.34 -1.17 -2.22 -0.35 +1.65%
2017 0.37 0.66 -0.09 0.75 0.73 0.03 0.30 0.90 -0.63 0.08 0.01 0.16 +3.30%
2018 -0.98 -0.94 0.57 -0.79 0.65 -0.19 -0.09 0.69 -0.69 -0.59 0.37 1.53 -0.48%
2019 0.73 0.27 1.86 -0.13 1.68 1.32 0.12 2.77 -0.69 0.00 0.13 -0.29 +7.99%
2020 2.05 1.53 -1.16 1.75 0.11 1.30 1.23 -0.71 0.18 -0.44 1.03 0.26 +7.30%
2021 -0.67 -1.71 -0.67 0.61 0.39 0.69 0.84 -0.05 -1.06 -0.18 0.32 -0.47 -1.98%
2022 -1.90 -1.45 -2.46 -3.06 0.06 -1.69 1.94 -1.98 -3.77 -1.79 2.44 0.04 -12.96%
2023 2.78 -2.48 2.41 0.61 -1.18 -0.46 0.08 -0.69 -2.19 -1.59 4.18 3.47 +4.76%
2024 -0.17 -1.26 0.93 -2.23 1.26 0.79 - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 4.60% 4.88% 5.15% 5.10% 4.69%
Sharpe ratio -1.18 -0.19 -0.36 -1.38 -0.89
Best month +3.47% +3.47% +4.18% +4.18% +4.18%
Worst month -2.23% -2.23% -2.23% -3.77% -3.77%
Maximum loss -3.35% -3.39% -5.75% -17.70% -17.87%
Outperformance - - - - -
 
All quotes in USD

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
JPMorgan Funds - US Aggregate Bo... reinvestment 18.4800 +1.65% -10.25%
JPMorgan Funds - US Aggregate Bo... reinvestment 70.9200 -0.27% -15.31%
JPMorgan Funds - US Aggregate Bo... reinvestment 96.4600 +0.99% -12.08%
JPMorgan Funds - US Aggregate Bo... paying dividend 84.7900 +2.40% -8.21%
JPMorgan Funds - US Aggregate Bo... reinvestment 20.6300 +2.94% -6.82%
JPMorgan Funds - US Aggregate Bo... paying dividend 8.2200 +1.87% -9.63%
JPMorgan Funds - US Aggregate Bo... paying dividend 83.8600 +2.07% -9.56%
JPMorgan Funds - US Aggregate Bo... reinvestment 9.8100 +0.31% -12.57%
JPMorgan Funds - US Aggregate Bo... paying dividend 8.5100 +1.45% -8.98%
JPMorgan Funds - US Aggregate Bo... paying dividend 10.4000 +2.40% -7.71%
JPMorgan Funds - US Aggregate Bo... paying dividend 9.5000 +0.12% -11.72%
JPMorgan Funds - US Aggregate Bo... paying dividend 80.7300 +2.41% -8.21%
JPMorgan Funds - US Aggregate Bo... paying dividend 82.9600 +0.87% -
JPMorgan Funds - US Aggregate Bo... paying dividend 79.7800 -1.69% -16.05%
JPMorgan Funds - US Aggregate Bo... paying dividend 12,759.0000 +16.05% +33.93%
JPMorgan Funds - US Aggregate Bo... paying dividend 7,591.0000 -3.20% -17.16%
JPMorgan Funds - US Aggregate Bo... paying dividend 100.4500 +1.86% -
JPMorgan Funds - US Aggregate Bo... reinvestment 128.1100 +2.44% -8.10%
JPMorgan Funds - US Aggregate Bo... reinvestment 91.3800 +0.53% -13.28%
JPMorgan Funds - US Aggregate Bo... reinvestment 93.5800 +0.72% -12.79%
JPMorgan Funds - US Aggregate Bo... reinvestment 106.9100 +2.64% -7.57%
JPMorgan Funds - US Aggregate Bo... paying dividend 80.7700 +0.72% -12.79%
JPMorgan Funds - US Aggregate Bo... paying dividend 91.9000 +2.64% -7.57%
JPMorgan Funds - US Aggregate Bo... reinvestment 98.5100 +1.66% -
JPMorgan Funds - US Aggregate Bo... reinvestment 18.2800 +2.41% -8.23%
JPMorgan Funds - US Aggregate Bo... reinvestment 76.5100 +0.49% -13.39%
JPMorgan Funds - US Aggregate Bo... paying dividend 91.0800 +2.40% -8.21%
JPMorgan Funds - US Aggregate Bo... paying dividend 86.0400 +0.48% -12.64%
JPMorgan Funds - US Aggregate Bo... reinvestment 16.9900 +1.92% -9.53%
JPMorgan Funds - US Aggregate Bo... paying dividend 11.1500 +1.87% -9.57%
JPMorgan Funds - US Aggregate Bo... reinvestment 73.9000 -0.01% -14.66%
JPMorgan Funds - US Aggregate Bo... paying dividend 76.2300 +1.88% -9.58%

Performance

YTD
  -0.72%
6 Months  
+1.41%
1 Year  
+1.88%
3 Years
  -9.58%
5 Years
  -2.12%
10 Years  
+10.08%
Since start  
+11.57%
Year
2023  
+4.76%
2022
  -12.96%
2021
  -1.98%
2020  
+7.30%
2019  
+7.99%
2018
  -0.48%
2017  
+3.30%
2016  
+1.65%
2015  
+0.32%
 

Dividends

08/05/2024 0.67 USD
08/02/2024 0.68 USD
08/11/2023 0.64 USD
08/08/2023 0.64 USD
11/05/2023 0.64 USD
08/02/2023 0.62 USD
08/11/2022 0.57 USD
09/08/2022 0.61 USD
11/05/2022 0.59 USD
08/02/2022 0.65 USD
09/11/2021 0.68 USD
10/08/2021 0.70 USD
10/05/2021 0.71 USD
09/02/2021 0.73 USD
10/11/2020 0.75 USD
10/08/2020 0.79 USD
08/05/2020 0.79 USD
10/02/2020 0.81 USD
08/11/2019 0.80 USD
08/08/2019 0.82 USD
08/05/2019 0.79 USD
11/02/2019 0.80 USD
08/11/2018 0.76 USD
08/08/2018 0.76 USD
08/05/2018 0.79 USD
08/02/2018 0.77 USD
08/11/2017 0.78 USD
08/08/2017 0.77 USD
09/05/2017 0.66 USD
08/02/2017 0.63 USD
08/11/2016 0.62 USD
09/08/2016 0.62 USD
10/05/2016 0.63 USD
12/02/2016 0.66 USD
10/11/2015 0.61 USD
10/08/2015 0.63 USD
08/05/2015 0.66 USD
10/02/2015 0.70 USD
10/11/2014 0.83 USD
08/08/2014 0.94 USD
08/05/2014 0.97 USD
10/02/2014 0.89 USD
08/11/2013 0.85 USD
08/08/2013 0.77 USD
08/05/2013 0.81 USD
08/02/2013 0.80 USD
07/11/2012 0.86 USD
08/08/2012 0.29 USD