Funds by JP Morgan Funds (Asia) Limited

Fund & Sector
1 Month Perf.
1 Year Perf.
3 Year Perf.
5 Year Perf.
OCF
JPMorgan Pacific Technology
FO Equity - Tech Media & Telecom
View Factsheet
5.8%
1 / 32
36.3%
1 / 29
33.1%
16 / 26
78.2%
18 / 25
1.73%
JPMorgan Pacific Securities
FO Equity - Asia Pacific inc Japan
View Factsheet
3.3%
7 / 23
23%
7 / 22
12.6%
11 / 18
67%
6 / 16
1.62%
JPMorgan Thailand
FO Equity - Asia Pacific Single Country
View Factsheet
-3.3%
28 / 32
22.4%
10 / 32
8%
12 / 29
89.4%
1 / 28
1.67%
JPMorgan Eastern Sm Cos
FO Equity - Asia Pacific ex Japan
View Factsheet
1.5%
91 / 179
22.3%
40 / 172
33.6%
22 / 151
91.5%
8 / 118
1.7%
JPMorgan ASEAN
FO Equity - Asia Pacific ex Japan
View Factsheet
-1.5%
170 / 179
22%
43 / 172
-0.8%
133 / 151
39.3%
84 / 118
1.59%
JPMorgan Eastern
FO Equity - Asia Pacific ex Japan
View Factsheet
3.7%
12 / 179
21.6%
46 / 172
5.1%
114 / 151
44.8%
73 / 118
1.67%
JPMorgan SAR Japan
FO Equity - Japan
View Factsheet
4.4%
51 / 116
20.1%
23 / 110
11%
54 / 91
62.9%
63 / 84
1.12%
JPMorgan SAR Asian
FO Equity - Asia Pacific ex Japan
View Factsheet
2.4%
49 / 179
18.7%
76 / 172
-0.4%
131 / 151
32.8%
103 / 118
1.13%
JPMorgan Australia
FO Equity - Australia
View Factsheet
-0.5%
2 / 8
17.8%
3 / 8
-2.7%
7 / 8
39.3%
7 / 8
1.83%
JPMorgan SAR Greater China
FO Equity - Greater China
View Factsheet
4.7%
8 / 40
17.4%
15 / 38
16.3%
14 / 34
62.5%
11 / 32
1.14%
JPMorgan JPM Gbl Prop Inc
FO Property - International
View Factsheet
-0.9%
42 / 44
14%
11 / 43
31.7%
16 / 41
74.9%
18 / 32
1.97%
JPMorgan SAR Hong Kong
FO Equity - Asia Pacific Single Country
View Factsheet
4.1%
3 / 32
14%
16 / 32
10%
10 / 29
59.2%
10 / 28
1.12%
JPMorgan Provident Hong Kong
FO Equity - Asia Pacific Single Country
View Factsheet
4%
4 / 32
13.2%
19 / 32
-
-
-
-
1.09%
JPMorgan SAR American
FO Equity - North America
View Factsheet
-0.4%
24 / 39
11.8%
22 / 37
29.6%
16 / 29
86.4%
16 / 23
1.11%
JPMorgan Provident High Growth
FO Mixed Asset - Aggressive
View Factsheet
2%
2 / 82
10.8%
29 / 75
-
-
-
-
1.03%
JPMorgan Provident Growth
FO Mixed Asset - Balanced
View Factsheet
1.4%
11 / 144
9.7%
32 / 132
-
-
-
-
1.02%
JPMorgan Provident Balanced
FO Mixed Asset - Balanced
View Factsheet
1.1%
28 / 144
9.5%
35 / 132
11%
67 / 111
33.1%
43 / 89
1.63%
JPMorgan Provident Capital
FO Mixed Asset - Cautious
View Factsheet
0.6%
14 / 88
8%
16 / 84
-
-
-
-
0.85%
JPMorgan Asn TR Bd
FO Fixed Int - Asia Pacific
View Factsheet
-0%
17 / 29
7.2%
23 / 26
13%
13 / 23
32.1%
3 / 14
1.07%
JPMorgan SAR Global Bond
FO Fixed Int - Global
View Factsheet
-0.4%
220 / 304
5.9%
152 / 287
10.1%
107 / 228
11.5%
103 / 161
0.91%
JPMorgan Provident Global Bond
FO Fixed Int - Global
View Factsheet
-0.4%
230 / 304
5%
178 / 287
-
-
-
-
1.05%
JPMorgan Evergreen
FO Mixed Asset - Balanced
View Factsheet
0.1%
94 / 144
4.6%
89 / 132
4.2%
102 / 111
28%
61 / 89
1.95%
JPMorgan SAR HongKong DolBd
FO Fixed Int - Other Single Currency
View Factsheet
-0%
16 / 33
3.6%
10 / 32
10.9%
6 / 25
10%
13 / 20
0.95%
JPMorgan Provident StblCpl
FO Fixed Int - Global
View Factsheet
-0%
110 / 304
1.7%
255 / 287
-
-
-
-
0.81%
JPMorgan SAR European
FO Equity - Europe inc UK
View Factsheet
0.1%
139 / 233
-0%
135 / 224
3.4%
182 / 200
62.2%
141 / 176
1.12%
JPMorgan Provdnt HgKg DollMny
FO Currency - Other
View Factsheet
-0%
16 / 24
-0.6%
20 / 25
-
-
-
-
0.11%
JPMorgan Provident US DollMny
FO Currency - US Dollar
View Factsheet
-
49 / 60
-0.6%
54 / 56
-
-
-
-
0.47%
Data provided by

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