Advanced Search

LU0974147935   JPMorgan Fds Aggregate Bond Fund I EUR Hedged Dis  
Last NAV02/06/202598.99 EUR  +0.07  % 
Latest Price
DateTimeCurrencyNAVSubscriptionRedemption
02/06/202500:00EUR98.9998.9998.99
Nav Information
Last NAV date02/06/2025
NAV calculation frequencyDaily
CurrencyEUR
Previous NAV98.92 EUR
30/05/2025
Variation %+0.07%
Number of shares/units outstanding45 621.34
Total net assets4 515 886.16 EUR
ADDI-
Equity participation rate-
Share of the total fund assets-
Real estate rate-
Statistics
Variation
Variation since 01/01
Variation over one year
Variation since -
Variation over one month
Variation over three months
Variation over six months
Highest
Highest since 01/01
Highest over 1 year
Highest since -
Lowest
Lowest since 01/01
Lowest over 1 year
Lowest since -
EUSD
Taxable Income per Share (TIS)-
Growth chart
   
  Incorporating