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LU0395794307   JPM Invest Fds Global Income Fund A EUR Dis  
Last NAV12/06/2025115.44 EUR  -0.03  % 
Latest Price
DateTimeCurrencyNAVSubscriptionRedemption
12/06/202500:00EUR115.44114.86121.21
Nav Information
Last NAV date12/06/2025
NAV calculation frequencyDaily
CurrencyEUR
Previous NAV115.48 EUR
11/06/2025
Variation %-0.03%
Number of shares/units outstanding31 161 124.95
Total net assets3 597 283 909.36 EUR
ADDI-
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Real estate rate-
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EUSD
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Growth chart
   
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