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FE Risk scores tell you how risky an investment is compared to the FTSE100. They do not show you how risky an investment is in absolute terms, but are a useful means to compare potential investments with this most widely known index.

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FE Crown Fund Rating

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Performance

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Ratio

Volatility
 

Volatility

Volatility is a measure of risk which shows how the returns of a fund fluctuate relative to its average returns. The more returns fluctuate, the more likely you are to buy or sell during a peak or trough, so more volatile funds tend to be considered a riskier bet.

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Sharpe Ratio
 

Sharpe Ratio

Sharpe Ratio is a measure which shows how much a fund has returned over and above the returns available from a risk free investment, ultimately showing you how much a fund has returned ‘per unit of risk’ taken.

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Fund performance league table: 4011 funds

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4011 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOfferYield 1y 3y 5y  
1951[+]JPM Hong Kong D Acc NAV USDJP Morgan Asset Management
140
USD30.87n/a-0.143.812.5
1952[+]JPM Income Opportunity Plus A (perf) Acc NAV USDJP Morgan Asset Management
15
USD111.22n/a-0.39.8n/a
1953[+]JPM India A Dis NAV GBPJP Morgan Asset Management
177
GBP91.260.0044.1n/an/a
1954[+]JPM Indonesia Equity A Acc NAV USDJP Morgan Asset Management
199
USD105.24n/a14.5n/an/a
1955[+]JPM Inv Blue & Green AJP Morgan Investment Funds
52
EUR24,855.0524,855.05n/a6.03.63.7
1956[+]JPM Inv Europe Select Equity A Acc EURJP Morgan Investment Funds
123
EUR1,145.261,208.57n/a10.081.361.8
1957[+]JPM Inv Europe Strategic Dividend A AccJP Morgan Investment Funds
110
EUR182.70192.80n/a11.473.766.7
1958[+]JPM Inv Global Balanced A EURJP Morgan Investment Funds
67
EUR1,626.901,716.83n/a8.536.944.6
1959[+]JPM Inv Global Capital Appreciation AJP Morgan Investment Funds
83
EUR150.67159.00n/a7.027.730.1
1960[+]JPM Inv Global Capital Preservation (USD) A Acc NAV USDJP Morgan Investment Funds
76
USD123.39n/a4.46.97.1
1961[+]JPM Inv Global Conservative Balanced A Acc EURJP Morgan Investment Funds
62
EUR1,153.911,217.70n/a7.38.58.0
1962[+]JPM Inv Global Convertibles USD A Acc NAV USDJP Morgan Investment Funds
74
USD170.11n/a5.337.031.8
1963[+]JPM Inv Global Dividend A Acc NAV USDJP Morgan Investment Funds
101
USD106.37n/a3.447.739.4
1964[+]JPM Inv Global Select Equity A NAV USDJP Morgan Investment Funds
111
USD211.60n/a7.164.950.3
1965[+]JPM Inv Global Select Equity Plus A (perf) Acc NAV USDJP Morgan Investment Funds
114
USD196.63n/a7.261.351.2
1966[+]JPM Inv Highbridge Statistical Market Neutral A (perf) Acc EURJP Morgan Investment Funds
44
EUR108.93114.95n/a7.63.6-1.6
1967[+]JPM Inv Income Opportunity A Hedged (perf) Acc EURJP Morgan Investment Funds
10
EUR133.77138.47n/a-0.18.813.5
1968[+]JPM Inv Japan 50 Equity D Hedged Acc NAV EURJP Morgan Investment Funds
164
EUR170.23n/a10.782.7n/a
1969[+]JPM Inv Japan Select Equity A JPYJP Morgan Investment Funds
160
JPY10,240.0010,806.00n/a10.299.067.2
1970[+]JPM Inv Japan Strategic Value A Acc JPYJP Morgan Investment Funds
203
JPY11,012.0011,620.00n/a5.8101.588.7
1971[+]JPM Inv US Bond A Acc NAV USDJP Morgan Investment Funds
58
USD215.54n/a5.119.141.2
1972[+]JPM Inv US Equity A Acc NAV USDJP Morgan Investment Funds
118
USD152.59n/a16.284.895.6
1973[+]JPM Inv US Select Equity A Acc NAV USDJP Morgan Investment Funds
114
USD268.98n/a15.483.988.9
1974[+]JPM Japan Equity A Dis NAV USDJP Morgan Asset Management
n/a
USD23.75n/a-6.940.940.0
1975[+]JPM Japan Market Neutral A Acc JPYJP Morgan Asset Management
79
JPY9,155.009,661.00n/a-1.71.5n/a
1976[+]JPM Korea Equity A Acc NAV USDJP Morgan Asset Management
138
USD9.810.00-9.314.221.0
1977[+]JPM Latin America Equity A Dis NAV USDJP Morgan Asset Management
181
USD51.27n/a-3.25.2-1.4
1978[+]JPM Liq Australian Dollar Liquidity Morgan Dis AUDJP Morgan Liquidity Fund
80
AUD1.001.002.071.415.1n/a
1979[+]JPM Liq Euro Liquidity DJP Morgan Liquidity Fund
51
EUR10,255.8810,255.880.000.00.00.4
1980[+]JPM Liq Sterling Liquidity X AccJP Morgan Liquidity Fund
0
GBP15,692.7215,692.720.530.51.73.0
1981[+]JPM Liq US Dollar Liquidity X NAVJP Morgan Liquidity Fund
53
USD14,213.830.220.20.81.4
1982[+]JPM Liq US Dollar Treasury Liquidity Morgan NAV USDJP Morgan Liquidity Fund
53
USD1.000.000.00.00.0
1983[+]JPM Managed Reserves A NAV USDJP Morgan Asset Management
1
USD10,160.13n/a0.31.3n/a
1984[+]JPM Pacific Equity A Dis USDJP Morgan Asset Management
120
USD71.6775.63n/a-5.435.031.0
1985[+]JPM Renminbi Bond A Acc NAV USDJP Morgan Asset Management
53
USD108.95n/a1.7n/an/a
1986[+]JPM Russia C AccJP Morgan Asset Management
210
USD4.404.40n/a-26.7-12.5-24.8
1987[+]JPM Singapore A Dis NAV USDJP Morgan Asset Management
93
USD34.53n/a-0.734.941.2
1988[+]JPM Sterling Bond A DisJP Morgan Asset Management
59
GBP0.880.91n/a12.127.052.6
1989[+]JPM Systematic Alpha A Acc EURJP Morgan Asset Management
32
EUR11.5912.23n/a1.411.514.6
1990[+]JPM Taiwan A Dist NAV USDJP Morgan Asset Management
142
USD15.19n/a3.036.737.5
1991[+]JPM Turkey Equity A Acc NAVJP Morgan Asset Management
271
EUR16.42n/a14.157.728.1
1992[+]JPM US Aggregate Bond A Acc NAV USDJP Morgan Asset Management
55
USD15.66n/a4.16.522.1
1993[+]JPM US Dollar Money Market A Acc NAV USDJP Morgan Asset Management
n/a
USD100.01n/an/an/an/a
1994[+]JPM US Equity Plus A (perf) Acc NAV USDJP Morgan Asset Management
124
USD15.77n/a18.586.085.3
1995[+]JPM US Growth A Acc NAV USDJP Morgan Asset Management
127
USD18.79n/a14.366.989.4
1996[+]JPM US Select Equity Plus A (perf) Acc NAV USDJP Morgan Asset Management
114
USD16.29n/a16.887.092.6
1997[+]JPM US Select Long Short Equity A (perf) Acc NAV USDJP Morgan Asset Management
47
USD112.58n/a6.723.4n/a
1998[+]JPM US Short Duration Bond A Acc NAV USDJP Morgan Asset Management
52
USD103.78n/a0.21.6n/a
1999[+]JPM US Small Cap Growth A Dis USDJP Morgan Asset Management
168
USD141.71149.54n/a0.163.2103.8
2000[+]JPM US Smaller Companies A (perf) AccJP Morgan Asset Management
126
USD16.2417.14n/a7.576.3120.4
2001[+]JPM US Technology A Dis USDJP Morgan Asset Management
152
USD9.6710.21n/a15.450.893.1
2002[+]JPM US Value A Dis USDJP Morgan Asset Management
107
USD23.4424.74n/a13.679.195.5
2003[+]JPMorgan ASEANJPMorgan UTs (HK) Ltd
107
USD120.87126.920.005.735.966.4
2004[+]JPMorgan Asian Total Return Bond Acc NAV USDJP Morgan (Asia) Limited
51
USD11.25n/a5.8n/an/a
2005[+]JPMorgan AustraliaJP Morgan (Asia) Limited
126
USD36.2738.09n/a-1.939.730.5
2006[+]JPMorgan Eastern NAVJP Morgan (Asia) Limited
122
USD282.300.000.631.522.5
2007[+]JPMorgan Eastern Smaller CompaniesJPMorgan UTs (HK) Ltd
102
USD155.78163.57n/a8.958.441.3
2008[+]JPMorgan EvergreenJP Morgan (Asia) Limited
74
USD18.7019.27n/a0.825.528.5
2009[+]JPMorgan IndiaJPMorgan UTs (HK) Ltd
182
USD241.70253.79n/a40.048.133.8
2010[+]JPMorgan JPM Global Property Income NAVJP Morgan (Asia) Limited
98
USD9.950.0016.759.968.8
2011[+]JPMorgan Pacific SecuritiesJPMorgan UTs (HK) Ltd
118
USD256.38269.20n/a-3.638.431.0
2012[+]JPMorgan Pacific TechnologyJPMorgan UTs (HK) Ltd
118
USD41.7543.840.005.839.731.0
2013[+]JPMorgan Provident BalancedJP Morgan (Asia) Limited
63
HKD289.900.002.425.623.3
2014[+]JPMorgan Provident CapitalJP Morgan (Asia) Limited
51
HKD233.600.002.316.517.6
2015[+]JPMorgan Provident Global BondJP Morgan (Asia) Limited
50
HKD114.840.002.33.98.9
2016[+]JPMorgan Provident GrowthJP Morgan (Asia) Limited
77
HKD613.210.003.137.430.7
2017[+]JPMorgan Provident High GrowthJP Morgan (Asia) Limited
95
HKD220.720.002.846.535.3
2018[+]JPMorgan Provident Hong KongJP Morgan (Asia) Limited
138
HKD146.170.00-1.145.216.5
2019[+]JPMorgan Provident Hong Kong Dollar MoneyJP Morgan (Asia) Limited
54
HKD132.230.000.10.20.2
2020[+]JPMorgan Provident Stable CapitalJP Morgan (Asia) Limited
51
HKD134.970.002.410.213.1
2021[+]JPMorgan Provident US Dollar MoneyJP Morgan (Asia) Limited
53
USD12.140.00-0.5-1.1-1.5
2022[+]JPMorgan SAR American A NAVJP Morgan (Asia) Limited
105
USD21.34n/a15.776.883.8
2023[+]JPMorgan SAR Asian A NAVJP Morgan (Asia) Limited
108
USD54.12n/a-0.329.524.3
2024[+]JPMorgan SAR European A NAVJP Morgan (Asia) Limited
107
USD23.27n/a2.367.739.8
2025[+]JPMorgan SAR Global Bond A NAVJP Morgan (Asia) Limited
48
USD19.91n/a2.65.511.7

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.