JPM Funds

JPMorgan Funds - Japan Equity Fund A (acc) - JPY




ISIN codeLU0235639324
Domicilen/a
CurrencyJPY
NAV as of 26.06.20263,196.00
Key Information Document (PRIIPs)            
Factsheet            
Prospectus    
Complaints procedure  

10 years returns as of 29. may 2026

Period Return
29.05.2025 - 29.05.2026 31.2%
29.05.2024 - 29.05.2025 8.4%
29.05.2023 - 29.05.2024 20.3%
29.05.2022 - 29.05.2023 5.1%
29.05.2021 - 29.05.2022 -14.2%
29.05.2020 - 29.05.2021 27.9%
29.05.2019 - 29.05.2020 16.1%
29.05.2018 - 29.05.2019 -6.1%
29.05.2017 - 29.05.2018 22.6%
29.05.2016 - 29.05.2017 -0.6%
29.05.2015 - 29.05.2016 -7.2%
29.05.2014 - 29.05.2015 46.8%