EUR 109.75 YTD As of30/09/2024 5.18% Fund size As of11/10/2024 USD 10.89 Bn Yield to maturity (USD) As of31/08/2024 7.15% OVERVIEW PERFORMANCE & FEES HISTORICAL PRICE PORTFOLIO ESG INFORMATION DOCUMENTS Seeking consistent income through broad diversification ...
今日JPM Funds - Global Convertibles Fund (EUR) X (acc) - EUR基金(0P0000178R)净值查询,最新实时行情,走势图表,及JPM Funds - Global Convertibles Fund (EUR) X (acc) - EUR基金(0P0000178R)的专业技术分析,历史数据,最新消息和未来预测。
Fund Type Fixed Income Funds Fund Size 1.99B Sector General Geographic Allocation Global Cumulative Performance Period Range Return Fund Avg 1-Week 18.63 - 18.72 +0.48% +0.42% 1-Month 18.57 - 18.72 +0.32% +0.30% 3-Month 18.57 - 19.61 -3.26% +0.07% 1-Year 18.46 - 19.61 +0.86% ...
今日JPMorgan Investment Funds - Global Income Fund A (acc) - EUR基金(0P0000VOBL)净值查询,最新实时行情,走势图表,及JPMorgan Investment Funds - Global Income Fund A (acc) - EUR基金(0P0000VOBL)的专业技术分析,历史数据,最新消息和未来预测。
Global High Yield (6.00%) Equity Global (5.70%) Emerging Markets Bond (4.70%) Equity Japan (3.30%) Cash (-3.00%)Top Holdings Asset Attribute Proportion JPMF - Global Agg Bond Fund 16.90% JPMorgan US Select Equity Fund 16.70% JPMorgan Income Fund 11.20% JPMF - Europe Equity Fund 7....
JPM US46625H1005 Banks Market Closed -Nyse 04:00:02 2024-10-30 pm EDT5-day change1st Jan Change 224.41USD+0.68% +0.45%+31.93% Oct. 30Amundi: Assets under management up 11% to end-September, close to EUR2,200 bn markRE Oct. 29BofA considers suing US consumer watchdog over Zelle ...
Henderson Horizon Fund Pan European Property Equities Fund (EUR) A255.86 -5.88% +1.67% Amundi Funds - LATIN AMERICA EQUITY - A2 (USD)499.05 -5.72% -1.79% Fund - Browser History Last NAV 1 Month Return 3 Month Return JPM Emerging Middle East Equity Fund (USD) ...
JPMorgan China Fund (USD)59.66 -7.86% +13.42% Fund - Browser History Last NAV 1 Month Return 3 Month Return JPM Global Natural Resources Fund (EUR) NAV16.68 +2.27%+3.60% 1 Month Best Performer More >> Fund Name 1M Return 3M Return ...