NAV23/05/2024 Var.-0.2000 Type of yield Focus sugli investimenti Società d'investimento
372.1800GBP -0.05% paying dividend Equity Mixed Sectors JPMorgan AM (EU) 
  • Dividends adjusted Dividends adjusted

Performance mensile

  gen feb mar apr mag giu lug ago set ott nov dic Totale
2012 - - - - - - - - - -1.13 1.90 -2.23 -
2013 10.48 5.00 3.58 -0.83 7.63 -3.43 6.71 -5.09 -1.06 5.35 1.95 0.84 +34.41%
2014 -2.96 3.70 0.98 -2.14 3.81 1.01 1.15 4.31 1.08 4.05 4.01 2.45 +23.31%
2015 0.35 2.99 3.03 -4.31 3.15 -5.15 2.28 -4.92 -3.76 8.82 2.16 0.21 +3.94%
2016 -5.82 3.42 3.02 -1.52 2.97 4.45 8.12 2.00 0.09 6.66 2.68 1.61 +30.57%
2017 1.21 4.50 0.26 -2.65 0.88 -0.34 1.45 1.15 -1.59 3.74 0.45 2.31 +11.74%
2018 1.08 -0.52 -7.73 5.33 5.47 1.73 3.56 4.17 0.81 -7.22 1.19 -9.21 -2.79%
2019 5.04 2.14 3.73 4.35 -3.11 4.96 7.04 -1.69 -1.31 -2.32 4.23 0.64 +25.70%
2020 3.17 -8.74 -6.51 11.77 6.44 2.38 0.87 7.04 -0.59 -4.13 8.41 0.98 +20.76%
2021 -0.98 1.35 5.20 5.93 -2.06 3.66 2.17 3.41 -1.05 3.52 4.88 1.77 +31.16%
2022 -7.43 -1.07 6.05 -3.35 -4.37 -5.67 11.13 1.89 -3.56 1.79 -1.28 -3.12 -9.98%
2023 2.56 1.08 1.25 0.92 3.94 2.82 2.06 1.40 -0.32 -2.38 5.39 3.82 +24.74%
2024 3.79 5.97 4.08 -0.60 2.63 - - - - - - - -
Mesi singoli: Dividendi non considerati

Calculated values

  YTD 6 mesi 1 anno 3 anni 5 anni
Volatilità 12.58% 11.81% 11.74% 15.75% 17.93%
Indice di Sharpe 3.59 3.53 2.52 0.81 0.79
Mese migliore +5.97% +5.97% +5.97% +11.13% +11.77%
Mese peggiore -0.60% -0.60% -2.38% -7.43% -8.74%
Perdita massima -3.58% -3.58% -5.05% -18.23% -28.52%
Outperformance +3.18% - +0.93% +19.18% +28.50%
 
Tutte le quotazioni in GBP

Tranches

Nome   Type of yield Prezzo di riacquisto 1 anno 3 anni
JPM US Select Equity Plus D (acc... reinvestment 24.3000 +31.64% +25.91%
JPM US Select Equity Plus C (dis... paying dividend 372.1800 +33.37% +58.05%
JPM US Select Equity Plus I (dis... paying dividend 385.0300 +36.61% +42.08%
JPM US Select Equity Plus C (dis... paying dividend 318.8800 +35.50% +36.78%
JPM US Select Equity Plus X (acc... reinvestment 65.4500 +37.53% +44.96%
JPM US Select Equity Plus I2 (ac... reinvestment 209.6200 +34.09% +33.02%
JPM US Select Equity Plus I2 (ac... reinvestment 242.2700 +36.76% +42.55%
JPM US Select Equity Plus D (acc... reinvestment 2,017.8199 +35.22% +40.95%
JPM US Select Equity Plus A (acc... reinvestment 23,078.5195 +43.10% +60.96%
JPM US Select Equity Plus D (acc... reinvestment 239.2700 +33.58% +52.10%
JPM US Select Equity Plus T (acc... reinvestment 239.2700 +33.58% +52.10%
JPM US Select Equity Plus T (acc... reinvestment 174.8400 +31.63% +25.85%
JPM US Select Equity Plus X (acc... reinvestment 145.3300 +34.83% -
JPM US Select Equity Plus I (acc... reinvestment 615.0800 +36.63% +42.14%
JPM US Select Equity Plus I (acc... reinvestment 248.8700 +33.96% +32.65%
JPM US Select Equity Plus A (acc... reinvestment 28.5700 +32.70% +29.10%
JPM US Select Equity Plus C (acc... reinvestment 53.3300 +36.57% +41.99%
JPM US Select Equity Plus C (dis... paying dividend 473.4500 +36.55% +41.91%
JPM US Select Equity Plus C (acc... reinvestment 218.9900 +33.90% +32.50%
JPM US Select Equity Plus C (acc... reinvestment 266.4600 +35.87% +60.06%
JPM US Select Equity Plus A (dis... paying dividend 47.3400 +35.37% +38.30%
JPM US Select Equity Plus A (acc... reinvestment 48.5200 +35.38% +38.39%
JPM US Select Equity Plus D (acc... reinvestment 41.5900 +34.38% +35.25%
JPM US Select Equity Plus A (dis... paying dividend 38.5000 +32.07% +53.61%
JPM US Select Equity Plus A (acc... reinvestment 310.2100 +34.72% +56.07%
JPM US Select Equity Plus A (dis... paying dividend 220.1900 +34.58% +55.55%

Prestazione

YTD  
+16.78%
6 mesi  
+20.33%
1 anno  
+33.37%
3 anni  
+58.05%
5 anni  
+127.93%
10 anni  
+368.94%
Dall'inizio  
+528.57%
Anno
2023  
+24.74%
2022
  -9.98%
2021  
+31.16%
2020  
+20.76%
2019  
+25.70%
2018
  -2.79%
2017  
+11.74%
2016  
+30.57%
2015  
+3.94%
 

Dividendi

13/09/2023 0.01 GBP
14/09/2022 0.01 GBP
09/09/2021 0.01 GBP
10/09/2020 0.01 GBP
05/09/2019 0.01 GBP
05/09/2018 0.01 GBP
12/09/2017 1.41 GBP
01/09/2016 1.56 GBP
16/09/2015 1.53 GBP
17/09/2014 0.23 GBP
13/09/2013 0.15 GBP