JP Morgan Global Income Fund

Share Class : A SGD ACC

7.960

0.00%

NAV in SGD. As of 20:00:00 SGT

JP Morgan Global Income Fund

Chart

Key stats

  • 52-Week High
    SGD 8.08
  • 52-Week Low
    SGD 7.40
  • Estimated AUM
    N/A
  • Inception date
    N/A
  • NAV
    7.96
  • Expense ratio
    N/A
  • Fund House
    JPMorgan Asset Management (Europe) S.à r.l.

Fund Description

The JP Morgan Global Income Fund is an actively managed multi-asset global portfolio that seeks to provide a regular income stream and growth opportunities.

Key Features

Annualised Return

Figures shown are annualised
1 Year 3.67%
3 Year -0.71%
5 Year 1.98%
10 Year 0.00%

Beansprout Insights

Top 10 Holdings

Fund Documents