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All cumulative performance details are NAV - NAV with gross income reinvested.

JPMorgan Funds and JPMorgan Investment Funds: Sub-Funds, Classes of Shares and Investment Manager Details


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EUSD Definitions
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FundUPCurrencyLaunch DateMorningstarEUSDAsset ClassISINNAV DateNAV
 Access Balanced Fund (GBP) (JPMorgan Private Bank Funds I)
JPM B (acc)GBP14.12.11-R-LU062232897801.02.12105,02
JPM C (inc)GBP08.02.12-R-LU0622329356--
 Access Balanced Fund (USD) (JPMorgan Private Bank Funds I)
JPM C (acc) - USDUSD20.10.10-RBalancedLU054004320401.02.12107,09
 Africa Equity Fund (JPMorgan Funds)
JPM A (acc) - EUREUR09.12.08-OEquityLU035558497908.02.1216,33
JPM A (acc) - USDUSD14.05.08OEquityLU035558446608.02.1210,14
JPM A (dist) - GBPGBP24.07.08OEquityLU035558489608.02.127,03
JPM A (inc) - EUREUR21.12.10-OEquityLU055477604608.02.1265,80
JPM B (acc) - USDUSD11.08.08OEquityLU035558519008.02.1212,72
JPM C (acc) - USDUSD24.11.09-OEquityLU035558527308.02.1211,96
JPM D (acc) - EUREUR11.06.10-OEquityLU035558551308.02.1282,64
JPM D (acc) - USDUSD14.05.08OEquityLU035558543008.02.129,88
JPM I (acc) - USDUSD14.05.08-OEquityLU035558560408.02.1299,46
 Aggregate Bond Fund (JPMorgan Funds)
JPM A (acc) - EUR (hedged)EUR09.11.09-RBondLU043049321208.02.127,60
JPM A (acc) - USDUSD09.11.09-RBondLU043049313908.02.1211,37
JPM C (dist) - EUR (hedged)EUR23.09.11-RBondLU065452618408.02.1276,12
 Alternative Strategies Fund (JPMorgan Investment Strategies Funds II)
JPM A (acc) - EUR (hedged)EUR31.03.11-RAlternativeLU054962053102.02.1267,64
JPM A (acc) - USDUSD31.03.11-RAlternativeLU054962037402.02.1295,67
 America Equity Fund (JPMorgan Funds)
JF A (dist) - USDUSD01.06.01OEquityLU011790607208.02.1246,70
JPM A (acc) - EUR (hedged)EUR15.03.07OEquityLU015904208308.02.127,08
JPM A (acc) - USDUSD01.04.05OEquityLU021052850008.02.1211,47
JPM A (dist) - USDUSD16.11.88OEquityLU005366607808.02.1287,04
JPM B (acc) - USDUSD26.08.04OEquityLU012945876508.02.1213,22
JPM C (acc) - EUR (hedged)EUR28.01.08-OEquityLU028921667208.02.126,93
JPM C (acc) - USDUSD26.08.04OEquityLU012945906008.02.1213,57
JPM D (acc) - EUREUR08.05.06OEquityLU021739049008.02.127,59
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