JPMorgan Funds - Asia Growth Fund

ISINLU0169518387More codes 

Share class
Benchmark:AMSCI All Country Asia ex Japan Index (Total Return Net)
Investment objectiveB

To provide long term capital growth by investing primarily in a concentrated portfolio of growth biased companies in Asia (excluding Japan).

Asset classEquity
RegionAsia Pacific
Key facts
Fund manager(s)Joanna Kwok,
Mark Davids
Fund launch date09.11.05
Fund size (as at 18.06.19)USD 445,6 m
Fund size (as at 31.05.19)USD 421,1 m
Share class launch date09.11.05
Share class currencyUSD
Overall Morningstar RatingTM
(as at 31.05.19)
Net asset value
18.06.1930,51  USD
17.06.1930,13  USD
14.06.1930,20  USD
13.06.1930,47  USD
12.06.1930,67  USD
12 month NAV high (17.04.19)32,79  USD
12 month NAV low  (30.10.18)25,97  USD
Historical individual NAV price search
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Fund highlights
  • When chasing alpha is at the forefront of investors' minds, the JPMF Asia Equtiy Fund provides a concentrated portfolio of Asian equities designed to maximise the investment potential of the Asian stock markets. The fund benefits from a 'best ideas' approach, achieved through company visits and proprietary research, which ensures that only companies offering exceptional potential are included in the portfolio.
  • J.P. Morgan Asset Management's Emerging Markets & Asia Pacific Team have been managing money in Asia since 1969 and are responsible for managing all Asia Pacific ex Japan and cum Japan equity regional mandates and a wide range of Asian single country mandates.
  • The process is an active style of portfolio management which focuses primarily on stock selection conducted by experienced specialists located within the region. It offers the greatest opportunities to add value to portfolios by providing significant outperformance in a disciplined manner.
Performance (as at 31.05.19)
1 month-7,94 %
3 months-2,17 %
1 year-6,58 %
3 years47,74 %
5 years26,86 %
10 years105,66 %