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Aberdeen American Growth  
Fidelity American  
Schroder UK Mid 250  
M&G Recovery  
Jupiter Merlin UK Growth  
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Contact details

ManagerGroupLogo
6, route de Trèves,
L-2633 Senningerberg,
Luxembourg
00352 3410 8855 (Fax Number)
44 20 7742 6059 (Main Number)

liquidity.client.services@jpmorgan.com

Fund managers

* Olivia Maguire»01-Apr-2010 to Present
Olivia Maguire»01-Oct-2009 to 31-Jan-2010


Investment objectives

The Sub-Fund seeks to achieve a return in the Reference Currency in line with prevailing money market rates whilst aiming to preserve capital consistent with such rates and to maintain a high degree of liquidity.

Performance

performance chart
chart
    1y 3y 5y 12m-24m 24m-36m 36m-48m 48m-60m
0.0 +0.2 +2.4 +0.1 +0.1 0.0 +2.2
  CURRENCY - EURO 0.0+0.7+3.9+1.0-0.3+1.8+1.4
Price
  Bid OfferCurrency+/-YieldCiticodeSEDOLISINCodeWKNDate
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY A 10406.77 10406.77 EUR 0.00 - CRE2 n/a LU0326548780 n/a 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY A NAV 10406.77 EUR 0.00 - CRG0 B28RP90 LU0326548780 A0M5V6 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY C 10539.13 10539.13 EUR 0.00 - CRG1 n/a LU0326549168 n/a 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY C NAV 10539.13 EUR 0.00 - CRG2 B28RPD4 LU0326549168 A0M5V9 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY D 10303.43 10303.43 EUR 0.00 - CRG3 n/a LU0326549325 n/a 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY D NAV 10303.43 EUR 0.00 - CRG4 B28RPG7 LU0326549325 A0M5WB 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY B NAV 10133.45 EUR 0.00 - FLR1 B28RPB2 LU0326548863 A0M5V7 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY B 10133.45 10133.45 EUR 0.00 - FLR2 n/a LU0326548863 n/a 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY AGENCY FLEX DIST 1.00 1.00 EUR 0.00 - GVPU n/a LU0836345297 n/a 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY AGENCY FLEX DIST NAV 1.00 EUR 0.00 - GVPV n/a LU0836345297 A1J5C7 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY INST FLEX DIST 1.00 1.00 EUR 0.00 - GVPW n/a LU0836345453 n/a 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY INST FLEX DIST NAV 1.00 EUR 0.00 - GVPX n/a LU0836345453 A1J5C8 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY PREMIER FLEX DIST 1.00 1.00 EUR 0.00 - GVPY n/a LU0836345610 n/a 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY PREMIER FLEX DIST NAV 1.00 EUR 0.00 - GVPZ n/a LU0836345610 A1J5DA 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY X FLEX DIST 1.00 1.00 EUR 0.00 - GVQA n/a LU0836345966 n/a 24-May-2013
pdf JPM LIQ EURO GOVERNMENT LIQUIDITY X FLEX DIST NAV 1.00 EUR 0.00 - GVQB n/a LU0836345966 A1J5DC 24-May-2013
Detailed fund information
Launch date04-Dec-2007
Fund size £1,110.5m / $1,681.0m (30-Apr-13)
Minimum initial € 50,000
Minimum additional € 5,000
Savings plan Fund has Savings Plan 
FE Trustnet Sector Currency - Euro
Asset ClassMoney Market
Pricing times0:00 DD
Dealing frequencyn/a
Distributor statusFund distributor status
Peer groups
Region Asset Class Sector
Luxembourg Money Market Currency - Euro
Largest holdings, 30-Apr-2013
Holding (%) Rank Prev Holding (%) Rank Prev
BARCLAYS BANK PLC (EM REPO) 0% 02/05/201314.011(-)SOCIETE GENERALE (EM REPO) 0.01% 02/05/20136.576(-)
BARCLAYS BANK PLC (EM REPO) 0% 03/05/201314.012(-)JPMORGAN SECURITIES LTD 0% 02/05/20135.397(-)
BARCLAYS BANK PLC (EM REPO) 0% 06/05/201313.473(-)MERRILL LYNCH INTERNATIONAL (EM REPO) 0% 02/05/20135.398(-)
REPUBLIC OF FRANCE 0.01% 02/05/201310.784(-)GERMANY(FEDERAL REPUBLIC) 0% TB 15/05/13 EUR0.014.049(10)
BNP PARIBAS (EM REPO) 0% 02/05/20139.855(-)EUROPEAN FINANCIAL STABILITY FACILITY 0.08% 17/06/20133.7710(-)
 Total87.28 
Regional weightings, 30-Apr-2013
Region(%)RankPrev 
UK42.701(1) 42.70% UK
France33.002(2) 33.00% France
Germany16.803(3) 16.80% Germany
Supranationals3.304(4) 3.30% Supranationals
Austria2.105(5) 2.10% Austria
Belgium1.406(6) 1.40% Belgium
Netherlands0.707(7) 0.70% Netherlands
Total100.00 
Sector weightings, 30-Apr-2013
Sector(%)RankPrev 
Reverse Repurchase Agreements66.401(1) 66.40% Reverse Repurchase Agreements
Treasury Debt21.602- 21.60% Treasury Debt
Government Bills6.403(2) 6.40% Government Bills
Commercial Paper4.004(3) 4.00% Commercial Paper
Others1.605(4) 1.60% Others
Total100.00 

Price total return performance figures are calculated on a bid price to bid price basis (mid to mid where applicable) with gross income (dividends) reinvested. Performance figures are shown in fund’s native currency unless otherwise specified – performance figures can be rebased to Pence Sterling (GBX) using the rebasing option.

 
 
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Ratios

  1y 3y
Volatility 0.00 0.04
Alpha 0.00 0.07
Beta 0.00 0.01
Sharpe n/a 0.00
Info Ratio 0.39 -0.24
R2 n/a 0.03
Quartiles:   1  2  3  4  help with ratios
vs. Currency - Euro»

Fund vs sector

  1y 3y
Position 49 / 70 56 / 65
Quartile 3 4

Fund ratings

FE Crown Rating: 1 FE
Crown Rating
(Quantitative)

n/aS&P Rating
(Qualitative)

Downloads

Asset allocation

Money Market, 100.00%
100.0000% ofMoney Market

Sector analysis

Charting

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