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Performance

1 year at least   %

3 year at least   %

5 year at least   %

Yield   %  

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: 4087 funds

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4087 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOfferYield 1y 3y 5y  
1951[+]JPM Liq US Dollar Current Reserves A NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
74
USD10,117.410.0015.235.128.6
1952[+]JPM Liq US Dollar Government Liquidity A NAVJPMorgan Asset Mgmt (Europe) S.a r.l.
74
USD10,039.000.0514.834.327.4
1953[+]JPM Liq US Dollar Liquidity D Acc NAVJPMorgan Asset Mgmt (Europe) S.a r.l.
74
USD10,036.370.4514.934.527.5
1954[+]JPM Liq US Dollar Treasury Liquidity D NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
74
USD10,037.290.0014.834.227.3
1955[+]JPM Managed Reserves A NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
1
USD10,278.34n/a15.836.030.0
1956[+]JPM Pacific Equity A Dis USDJPMorgan Asset Mgmt (Europe) S.a r.l.
118
USD82.0886.61n/a44.158.673.4
1957[+]JPM Russia D Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
173
USD8.01n/a80.026.24.0
1958[+]JPM Singapore D Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
114
USD44.30n/a35.829.128.2
1959[+]JPM Sterling Bond D Acc NAVJPMorgan Asset Mgmt (Europe) S.a r.l.
68
GBP16.28n/a13.828.343.4
1960[+]JPM Sterling Managed Reserves A AccJPMorgan Asset Mgmt (Europe) S.a r.l.
n/a
GBP10,002.90n/an/an/an/a
1961[+]JPM Systematic Alpha A Acc NAV EURJPMorgan Asset Mgmt (Europe) S.a r.l.
21
EUR11.63n/a9.35.411.9
1962[+]JPM Taiwan D Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
146
USD17.47n/a36.949.162.8
1963[+]JPM Turkey Equity D Acc NAVJPMorgan Asset Mgmt (Europe) S.a r.l.
226
EUR20.29n/a11.58.2-6.2
1964[+]JPM US Aggregate Bond A Inc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
n/a
USD12.00n/a15.243.038.2
1965[+]JPM US Bond D NAVJPMorgan Asset Mgmt (Europe) S.a r.l.
n/a
USD160.87n/a17.543.451.2
1966[+]JPM US Corporate Bond A Dis NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
n/a
USD97.69n/an/an/an/a
1967[+]JPM US Dollar Money Market A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
74
USD100.38n/a15.2n/an/a
1968[+]JPM US Equity All Cap A Acc NAV EURJPMorgan Asset Mgmt (Europe) S.a r.l.
112
EUR114.62n/a44.8n/an/a
1969[+]JPM US Equity D Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
109
USD157.49n/a39.065.9110.8
1970[+]JPM US Equity Plus D Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
109
USD16.12n/a40.268.5114.1
1971[+]JPM US Growth D Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
117
USD10.09n/a38.057.199.1
1972[+]JPM US High Yield Plus Bond A Dis NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
39
USD99.06n/a37.9n/an/a
1973[+]JPM US Opportunistic Long-Short Equity A (perf) Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
n/a
USD100.96n/a25.8n/an/a
1974[+]JPM US Select Equity D Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
108
USD211.02n/a45.068.2121.6
1975[+]JPM US Select Equity Plus D Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
86
USD17.05n/a46.568.5122.8
1976[+]JPM US Select Long Short Equity A (perf) Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
85
USD112.59n/a32.938.549.5
1977[+]JPM US Short Duration Bond D Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
73
USD102.93n/a15.134.728.0
1978[+]JPM US Small Cap Growth A Dis USDJPMorgan Asset Mgmt (Europe) S.a r.l.
163
USD159.27168.07n/a64.741.595.5
1979[+]JPM US Smaller Companies D Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
122
USD26.70n/a54.270.8123.8
1980[+]JPM US Technology A Dis USDJPMorgan Asset Mgmt (Europe) S.a r.l.
148
USD12.2912.97n/a67.372.2114.1
1981[+]JPM US Value A Dis USDJPMorgan Asset Mgmt (Europe) S.a r.l.
106
USD25.3226.72n/a45.566.6118.7
1982[+]JPMorgan ASEAN NAVJP Morgan Funds (Asia) Limited
110
USD114.930.0032.436.841.0
1983[+]JPMorgan Asian Total Return Bond NAV USDJP Morgan Funds (Asia) Limited
75
USD11.070.0020.046.850.7
1984[+]JPMorgan Australia NAVJP Morgan Funds (Asia) Limited
133
USD37.790.0043.737.855.6
1985[+]JPMorgan Eastern NAVJP Morgan Funds (Asia) Limited
129
USD292.430.0048.442.945.5
1986[+]JPMorgan Eastern Smaller Companies NAVJP Morgan Funds (Asia) Limited
109
USD177.990.0036.962.494.6
1987[+]JPMorgan Evergreen NAVJP Morgan Funds (Asia) Limited
87
USD19.450.0029.538.751.9
1988[+]JPMorgan JPM Global Property Income NAVJP Morgan Funds (Asia) Limited
115
USD10.140.0024.158.292.3
1989[+]JPMorgan Pacific Securities NAVJP Morgan Funds (Asia) Limited
118
USD298.100.0043.855.773.8
1990[+]JPMorgan Pacific Technology NAVJP Morgan Funds (Asia) Limited
130
USD53.960.0058.977.999.6
1991[+]JPMorgan Provident BalancedJP Morgan Funds (Asia) Limited
85
HKD310.760.0029.846.957.1
1992[+]JPMorgan Provident Capital MJP Morgan Funds (Asia) Limited
80
HKD219.70n/a25.1n/an/a
1993[+]JPMorgan Provident Global Bond MJP Morgan Funds (Asia) Limited
79
HKD111.77n/a14.9n/an/a
1994[+]JPMorgan Provident Growth MJP Morgan Funds (Asia) Limited
93
HKD557.94n/a33.1n/an/a
1995[+]JPMorgan Provident High Growth MJP Morgan Funds (Asia) Limited
104
HKD221.02n/a37.5n/an/a
1996[+]JPMorgan Provident Hong Kong Dollar Money MJP Morgan Funds (Asia) Limited
75
HKD118.64n/a14.0n/an/a
1997[+]JPMorgan Provident Hong Kong MJP Morgan Funds (Asia) Limited
138
HKD147.35n/a44.4n/an/a
1998[+]JPMorgan Provident Stable Capital MJP Morgan Funds (Asia) Limited
77
HKD126.11n/a16.6n/an/a
1999[+]JPMorgan Provident US Dollar Money MJP Morgan Funds (Asia) Limited
74
USD10.98n/a14.2n/an/a
2000[+]JPMorgan SAR American A NAVJP Morgan Funds (Asia) Limited
109
USD24.74n/a43.775.6123.9
2001[+]JPMorgan SAR Asian A NAVJP Morgan Funds (Asia) Limited
118
USD56.40n/a45.942.746.4
2002[+]JPMorgan SAR European A NAVJP Morgan Funds (Asia) Limited
94
USD23.20n/a26.626.776.2
2003[+]JPMorgan SAR Global Bond A NAVJP Morgan Funds (Asia) Limited
79
USD20.73n/a15.941.336.4
2004[+]JPMorgan SAR Greater China A NAVJP Morgan Funds (Asia) Limited
141
HKD119.78n/a44.352.971.2
2005[+]JPMorgan SAR Hong Kong A NAVJP Morgan Funds (Asia) Limited
139
HKD55.07n/a45.747.565.2
2006[+]JPMorgan SAR Hong Kong Dollar Bond A NAVJP Morgan Funds (Asia) Limited
78
HKD20.82n/a13.642.336.3
2007[+]JPMorgan SAR Japan A NAVJP Morgan Funds (Asia) Limited
131
USD24.67n/a38.758.189.0
2008[+]JPMorgan Thailand NAVJP Morgan Funds (Asia) Limited
121
USD149.080.0045.977.6100.1
2009[+]JSS Alternative Multi-Strategy P Acc USDSarasin Investmentfonds Sicav
n/a
USD99.65n/a16.8n/an/a
2010[+]JSS Corporate Bond - Global Emerging Markets P Acc USDSarasin Investmentfonds Sicav
79
USD107.43n/a23.3n/an/a
2011[+]JSS EmergingSar - Global P Dist USDSarasin Investmentfonds Sicav
122
USD303.280.0041.125.913.2
2012[+]JSS EquiSar - Global P Dist EURSarasin Investmentfonds Sicav
107
EUR218.68n/a37.138.769.6
2013[+]JSS EquiSar - IIID EUR P Acc EURSarasin Investmentfonds Sicav
85
EUR168.72n/a25.914.926.2
2014[+]JSS EquiSar - International Income P Acc EURSarasin Investmentfonds Sicav
94
EUR197.01n/a32.952.684.8
2015[+]JSS Equity - Global Opportunities P Acc USDSarasin Investmentfonds Sicav
120
USD95.86n/a34.8n/an/a
2016[+]JSS Global Allocation P Acc USDSarasin Investmentfonds Sicav
n/a
USD100.80n/a23.5n/an/a
2017[+]JSS GlobalSar - Balanced CHF P Dist CHFSarasin Investmentfonds Sicav
80
CHF420.76n/a26.137.355.7
2018[+]JSS GlobalSar - Balanced EUR P Dist EURSarasin Investmentfonds Sicav
73
EUR348.21n/a23.925.846.5
2019[+]JSS GlobalSar - Growth EUR P Acc EURSarasin Investmentfonds Sicav
87
EUR172.38n/a31.435.465.6
2020[+]JSS Insurance Bond Opportunities P Acc EURSarasin Investmentfonds Sicav
33
EUR104.72n/a23.5n/an/a
2021[+]JSS OekoSar Equity - Global P Dist EURSarasin Investmentfonds Sicav
107
EUR167.83n/a26.527.349.0
2022[+]JSS Quant Portfolio - Global EUR P Dist EURSarasin Investmentfonds Sicav
74
EUR137.23n/a11.48.616.9
2023[+]JSS Real Estate Equity - Global P Acc EURSarasin Investmentfonds Sicav
102
EUR210.95n/a25.152.577.6
2024[+]JSS Sustainable Bond - EUR Corporates P Dist EURSarasin Investmentfonds Sicav
71
EUR161.78n/a13.412.019.5
2025[+]JSS Sustainable Bond - EUR High Grade P Acc EURSarasin Investmentfonds Sicav
77
EUR139.16n/a9.413.514.9

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 Pence Sterling (GBX).

Data provided by FE. Care has been taken to ensure that the information is correct, but FE neither warrants, represents nor guarantees the contents of information, nor does it accept any responsibility for errors, inaccuracies, omissions or any inconsistencies herein. Past performance does not predict future performance, it should not be the main or sole reason for making an investment decision. The value of investments and any income from them can fall as well as rise.

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