To achieve a return in excess of global bond markets by investing primarily in global below investment grade corporate debt securities, using financial derivative instruments where appropriate. Fund Managers Robert Cook Portfolio Manager 33 YEARS In the industry 20 YEARS With J.P. Mor...
投資者應注意基金單位或股份之價格及收益可升可跌,可能不能取回所投資之全數。兌換率亦可能導致有關海外投資之價值上升或下跌。有意投資者應就其投資、持有、出售在此所載之投資,及從基金所賺取之分派之稅務事項而諮詢其專業顧問。 版權、商標、標誌、專利、知識及其他產權 載於本網站的資料的所有版...
JPMorgan US Select Equity Fund 16.70% JPMorgan Income Fund 11.20% JPMF - Europe Equity Fund 7.50% JPMorgan SAR American Fund 6.10% JPMF - US Value Fund 5.50% JPMF - Global Select Equity Fund 5.30% JPMIF - Global High Yield Bond Fund 5.00% JPMorgan SAR Asian Fund 3.90% JPMF-US ...
ETF Channel Staff - Monday, November 18, 12:12 PMComparing units outstanding versus one week ago at the coverage universe of ETFs at ETF Channel, the biggest inflow was seen in the The Financial Select Sector SPDR Fund, which added 27,400,000 units, or a 2.8% increase week over week. ...
This segment also offers securities services, including custody, fund accounting and administration, and securities lending products for asset managers, insurance companies, and public and private investment funds. The CB segment provides financial solutions, including lending, payments, investment banking, ...
to outperform a fast time-series momentum strategy when market volatility is low. The opposite tends to occur when volatility is high. This pattern of relative performance can be attributed to market-timing alpha and exists in most global equity markets, including both developed and emerging ...
[1] Measuring and Managing ESG Risks in Sovereign Bond Portfolios and Implications for Sovereign Debt Investing 衡量和管理主权债券投资组合中的ESG风险以及对主权债务投资的影响 [2] Investment Performance of US High-Yield Real Estate Debt: An Empirical Analysis ...
James Mitchell—Seaport Global Securities — Analyst Hey, good morning. Maybe just a little bit on the deposit, your thought process there. You’ve seen some inflows. What’s your — why do you think they — you lose them going forward? And just maybe talk a little bit about the dynamic...
U.S. stocks closed narrowly mixed on Friday as investors eyed developments in Greece and weighed a bond yield rally on a strong jobs report, which supports the case for a rate hike this year.
Jim Mitchell--Seaport Global Securities -- Analyst Hey. Good morning. Jeremy, can you speak to the trends you're seeing with respect to deposit migration in the quarter, if there's been any change? Have you seen that migration start to slow or not?