Стоимость чистых активов30.05.2024 Изменение-0.0100 Тип доходности Инвестиционная направленность Инвестиционная компания
83.7400USD -0.01% paying dividend Bonds Bonds: Mixed JPMorgan AM (EU) 
  • Скорректированные дивиденды Скорректированные дивиденды

Ежемесячная эффективность работы

  янв фев мар апр май июн июл авг сен окт ноя дек Итого
2015 - - - - - - - - - -0.28 -0.16 -0.48 -
2016 1.35 0.58 0.68 0.39 0.03 1.91 0.37 0.08 0.38 -1.13 -2.18 -0.30 +2.10%
2017 0.41 0.71 -0.05 0.79 0.78 0.06 0.35 0.93 -0.59 0.12 0.05 0.20 +3.81%
2018 -0.93 -0.83 0.61 -0.75 0.70 -0.15 -0.05 0.73 -0.65 -0.55 0.41 1.58 +0.10%
2019 0.78 0.31 1.89 -0.09 1.74 1.35 0.17 2.81 -0.64 0.04 0.16 -0.24 +8.54%
2020 2.08 1.58 -1.12 1.79 0.15 1.34 1.28 -0.67 0.21 -0.39 1.08 0.31 +7.84%
2021 -0.63 -1.68 -0.62 0.64 0.43 0.73 0.89 -0.02 -1.02 -0.15 0.36 -0.43 -1.50%
2022 -1.86 -1.41 -2.41 -3.01 0.10 -1.65 1.98 -1.94 -3.72 -1.74 2.47 0.08 -12.52%
2023 2.82 -2.45 2.47 0.65 -1.14 -0.42 0.13 -0.66 -2.15 -1.54 4.22 3.51 +5.28%
2024 -0.12 -1.23 0.97 -2.18 0.86 - - - - - - - -
Отдельные месяцы: дивиденды не учитываются

Рассчетные значения

  C начала года на сегодняшний день 6 месяцев 1 год 3 года 5 лет
Волатильность 4.47% 4.83% 5.14% 5.06% 4.67%
Коэффициент Шарпа -1.78 -0.06 -0.40 -1.36 -0.81
Лучший месяц +3.51% +4.22% +4.22% +4.22% +4.22%
Худший месяц -2.18% -2.18% -2.18% -3.72% -3.72%
Максимальный убыток -3.24% -3.24% -5.85% -17.20% -17.20%
Outperformance -0.49% - -3.22% +6.62% +6.16%
 
Все котировки в USD

Транши

Название   Тип доходности Цена выкупа 1 год 3 года
JPM US Aggregate Bond D (acc) - ... reinvestment 18.2500 +0.94% -11.06%
JPM US Aggregate Bond D (acc) - ... reinvestment 70.0800 -0.96% -16.05%
JPM US Aggregate Bond X (acc) - ... reinvestment 95.2900 +0.29% -12.85%
JPM US Aggregate Bond C (div) - ... paying dividend 83.7400 +1.72% -9.04%
JPM US Aggregate Bond X (acc) - ... reinvestment 20.3700 +2.21% -7.79%
JPM US Aggregate Bond A (mth) - ... paying dividend 8.1200 +1.23% -10.46%
JPM US Aggregate Bond I2 (dist) ... paying dividend 82.8200 +1.35% -10.38%
JPM US Aggregate Bond A (acc) - ... reinvestment 9.6900 -0.41% -13.48%
JPM US Aggregate Bond A (mth) - ... paying dividend 8.4200 +1.07% -9.77%
JPM US Aggregate Bond A (mth) - ... paying dividend 10.2700 +1.12% -8.71%
JPM US Aggregate Bond A (mth) - ... paying dividend 9.3800 -0.64% -12.69%
JPM US Aggregate Bond C (mth) - ... paying dividend 79.7300 +1.72% -9.15%
JPM US Aggregate Bond F (mth) - ... paying dividend 81.9600 +0.20% -
JPM US AGGREGATE BOND I2 (DIST) ... paying dividend 78.8700 -2.34% -16.74%
JPM US Aggregate Bond X (mth) - ... paying dividend 12,581.0000 +14.45% +31.39%
JPM US Aggregate Bond X (mth) - ... paying dividend 7,506.0000 -3.83% -17.90%
JPM US Aggregate Bond I (dist) -... paying dividend 99.2200 +1.17% -
JPM US Aggregate Bond I (acc) - ... reinvestment 126.5200 +1.75% -8.93%
JPM US Aggregate Bond I (acc) - ... reinvestment 90.2800 -0.17% -14.15%
JPM US Aggregate Bond I2 (acc) -... reinvestment 92.4500 +0.02% -13.66%
JPM US Aggregate Bond I2 (acc) -... reinvestment 105.5800 +1.95% -8.53%
JPM US Aggregate Bond I2 (dist) ... paying dividend 79.7900 +0.02% -13.56%
JPM US Aggregate Bond I2 (dist) ... paying dividend 90.7600 +1.96% -8.41%
JPM US AGGREGATE BOND I (ACC) - ... reinvestment 97.1900 +0.80% -
JPM US Aggregate Bond C (acc) - ... reinvestment 18.0600 +1.75% -9.02%
JPM US Aggregate Bond C (acc) - ... reinvestment 75.5900 -0.21% -14.15%
JPM US Aggregate Bond C (dist) -... paying dividend 89.9500 +1.71% -9.04%
JPM US Aggregate Bond C (dist) -... paying dividend 85.0000 -0.22% -13.42%
JPM US Aggregate Bond A (acc) - ... reinvestment 16.7800 +1.21% -10.36%
JPM US Aggregate Bond A (dist) -... paying dividend 11.0100 +1.14% -10.56%
JPM US Aggregate Bond A (acc) - ... reinvestment 73.0200 -0.71% -15.41%
JPM US Aggregate Bond A (div) - ... paying dividend 75.3000 +1.21% -10.51%

Результат

C начала года на сегодняшний день
  -1.73%
6 месяцев  
+1.72%
1 год  
+1.72%
3 года
  -9.04%
5 лет
  0.00%
10 лет     -
С самого начала  
+10.15%
Год
2023  
+5.28%
2022
  -12.52%
2021
  -1.50%
2020  
+7.84%
2019  
+8.54%
2018  
+0.10%
2017  
+3.81%
2016  
+2.10%
 

Дивиденды

08.05.2024 0.75 USD
08.02.2024 0.75 USD
08.11.2023 0.71 USD
08.08.2023 0.70 USD
11.05.2023 0.70 USD
08.02.2023 0.68 USD
08.11.2022 0.62 USD
09.08.2022 0.67 USD
11.05.2022 0.65 USD
08.02.2022 0.72 USD
09.11.2021 0.75 USD
10.08.2021 0.77 USD
10.05.2021 0.77 USD
09.02.2021 0.80 USD
10.11.2020 0.82 USD
10.08.2020 0.87 USD
08.05.2020 0.86 USD
10.02.2020 0.88 USD
08.11.2019 0.87 USD
08.08.2019 0.89 USD
08.05.2019 0.86 USD
11.02.2019 0.86 USD
08.11.2018 0.82 USD
08.08.2018 0.82 USD
08.05.2018 0.85 USD
08.02.2018 0.83 USD
08.11.2017 0.84 USD
08.08.2017 0.83 USD
09.05.2017 0.71 USD
08.02.2017 0.68 USD
08.11.2016 0.67 USD
09.08.2016 0.66 USD
10.05.2016 0.67 USD
12.02.2016 0.70 USD
10.11.2015 0.37 USD