Luxembourg Funds performance table

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fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
JPMorgan China C (acc)-USD 3% 11% 7% 7% 12% 1837M 2014-12-31
JPMorgan China I (acc)-USD -1% 11% 0% 2% 4% 1837M 2014-08-31
JPMorgan China I USD Inc 3% 11% 7% 7% 8% 1837M 2014-12-31
JPMorgan China X (acc)-USD 3% 11% 7% 7% 5% 1837M 2014-12-31
JPMorgan Emerg Mkts Div X EUR Acc -1% 0% 15% 15% 2% 147M 2014-12-31
JPMorgan Emerg Mkts Div X USD Acc -4% -3% 1% 1% 1% 177M 2014-12-31
JPMorgan Europe Div Alpha I (acc) - EUR 0% 0% 2% 2% 2% 38M 2014-12-31
JPMorgan Europe Div Alpha X (inc) - EUR 0% 1% 3% 3% 3% 38M 2014-12-31
JPMorgan France Equity I EUR Acc 0% -1% 2% 2% 7% 52M 2014-12-31
JPMorgan Greater China I (acc) 0% 5% 7% 7% 5% 1580M 2014-12-31
JPMorgan Greater China I (dist)-USD 0% 5% 7% 7% 9% 1580M 2014-12-31
JPMorgan Greater China X (acc)-USD 0% 7% 39% -1% 39% 1580M 2010-04-30
JPMorgan Hong Kong C (acc)-USD 0% 5% 2% 2% 8% 132M 2014-12-31
JPMorgan India C USD Acc -2% 6% 30% 30% 0% 1368M 2014-12-31
JPMorgan India I USD Acc -2% 6% 31% 31% 29% 1368M 2014-12-31
JPMorgan India I USD Inc -2% 6% 31% 31% 26% 1368M 2014-12-31
JPMorgan India X USD Acc -2% 7% 32% 32% 13% 1368M 2014-12-31
JPMorgan Indonesia Equity X JPY Acc 1% 11% 40% 40% 5% 4295M 2014-12-31
JPMorgan Japan Equity C (acc) USD 0% 0% -5% -5% 1% 667M 2014-12-31
JPMorgan Japan Equity X (acc) USD 0% 0% -5% -5% 1% 667M 2014-12-31
JPMorgan Korea Equity C (acc)-USD -1% -6% -12% -12% -2% 198M 2014-12-31
JPMorgan Korea Equity I (acc)-USD -1% -6% -12% -12% 0% 198M 2014-12-31
JPMorgan Pacific Equity C (acc) – USD -1% 0% -3% -3% 0% 507M 2014-12-31
JPMorgan Pacific Equity X (acc) – USD 0% 0% -2% -2% 3% 507M 2014-12-31
JPMorgan Singapore C (acc) - USD -1% -1% 0% 0% 11% 85M 2014-12-31
JPMorgan Singapore I (acc) - USD -1% -1% 0% 0% 0% 85M 2014-12-31
JPMorgan Taiwan C (acc) - USD -1% -1% 0% 0% 7% 234M 2014-12-31
JPMorgan Taiwan I (acc) - EUR 0% 2% 0% 0% 13% 193M 2014-12-31
JPMorgan Taiwan I (acc) - USD 0% 7% 4% 0% 4% 234M 2013-01-31
JPMorgan Taiwan X (acc) - USD -1% -1% 0% 0% -1% 234M 2014-12-31

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