All data is as at  18/07/2019
  Product range  SICAV
  Share class  Equity
  Information  Cumulative Performance
 
 Fund/Share class/
 Benchmark Name
Launch Date  Cumulative Performance
    1 M 3 M 1 Y 3 Y 5 Y
 JPMorgan Funds - Africa Equity Fund
 JPM A (perf) (acc) - USD 6/30/2019 6.16% 0.41% -6.48% 12.87% -24.40%
 JPM D (perf) (acc) - USD 6/30/2019 6.08% 0.22% -7.26% 10.34% -27.21%
 JPM A (perf) (dist) - GBP 6/30/2019 5.19% 2.67% -3.29% 19.34% 1.33%
 JPM A (perf) (acc) - EUR 6/30/2019 4.12% -0.97% -4.36% 10.29% -9.30%
 JPM D (perf) (acc) - EUR 6/30/2019 4.08% -1.13% -5.07% 7.85% -12.61%
 JPM A (perf) (dist) - USD 6/30/2019 6.23% 0.42% -6.50% 12.94% -24.42%
 JPM A (perf) (dist) - EUR 6/30/2019 4.14% -0.94% -4.34% 10.31% -9.25%
 Dow Jones Africa Titans 50 Index (Total Return Net)  A 6/30/2019 7.94% 2.75% -3.70% 21.21% -1.87%
 JPMorgan Funds - America Equity Fund
 JPM A (dist) - USD 6/30/2019 5.36% 4.06% 7.63% 53.60% 55.60%
 JPM D (acc) - USD 6/30/2019 5.33% 3.87% 6.79% 50.03% 49.75%
 JPM A (acc) - USD 6/30/2019 5.36% 4.08% 7.66% 53.68% 55.68%
 JPM A (acc) - EUR 6/30/2019 3.28% 2.61% 9.98% 49.67% 86.29%
 JPM D (acc) - EUR 6/30/2019 3.20% 2.41% 9.18% 46.23% 79.28%
 JPM A (acc) - EUR (hedged) 6/30/2019 5.05% 3.24% 4.28% 42.77% 43.82%
 JPM D (acc) - EUR (hedged) 6/30/2019 5.01% 3.04% 3.49% 39.61% 38.52%
 S&P 500 Index (Total Return Net of 30% withholding tax)  6/30/2019 7.00% 4.15% 9.75% 46.22% 61.27%
 JPMorgan Funds - ASEAN Equity Fund
 JPM A (acc) - USD 6/30/2019 6.99% 5.86% 10.03% 29.77% 20.76%
 JPM A (acc) - EUR 6/30/2019 4.87% 4.40% 12.53% 26.80% 44.92%
 JPM D (acc) - USD 6/30/2019 6.99% 5.68% 9.25% 26.98% 16.39%
 JPM D (acc) - EUR 6/30/2019 4.86% 4.25% 11.77% 23.99% 39.65%
 JPM A (acc) - SGD 6/30/2019 5.05% 5.72% 9.17% 30.32% 30.94%
 JPM A (dist) - USD 6/30/2019 7.02% 5.89% -- -- --
 MSCI AC ASEAN Index (Total Return Net)  6/30/2019 7.02% 5.36% 11.84% 25.96% 10.15%
 JPMorgan Funds - Asia Growth Fund
 JPM A (dist) - USD 6/30/2019 6.87% 1.49% 4.28% 54.72% 33.89%
 JPM A (acc) - USD 6/30/2019 6.85% 1.50% 4.29% 54.71% 33.95%
 MSCI All Country Asia ex Japan Index (Total Return Net)  B 6/30/2019 6.58% -0.66% -0.48% 38.62% 26.66%
 JPMorgan Funds - Asia Pacific Equity Fund
 JPM A (acc) - USD 6/30/2019 6.47% 0.47% -3.08% 44.04% 27.09%
 JPM A (acc) - EUR 6/30/2019 4.39% -0.90% -0.90% 40.57% 52.31%
 JPM A (dist) - USD 6/30/2019 6.48% 0.49% -3.10% 44.01% 27.04%
 JPM A (dist) - GBP 6/30/2019 5.44% 2.76% 0.28% 52.14% 70.33%
 MSCI All Country Asia Pacific ex Japan Index (Total Return Net)  6/30/2019 6.34% 0.71% 0.81% 38.03% 22.93%
 JPMorgan Funds - Brazil Equity Fund
 JPM A (acc) - USD 6/30/2019 7.32% 11.16% 42.57% 50.29% -5.93%
 JPM D (acc) - USD 6/30/2019 7.26% 10.86% 41.34% 45.80% -10.57%
 JPM A (dist) - USD 6/30/2019 7.45% 11.15% 42.56% 50.35% -6.12%
 JPM D (acc) - EUR 6/30/2019 5.12% 9.35% 44.36% 42.28% 7.27%
 JPM A (acc) - SGD 6/30/2019 5.34% 11.04% 41.49% 50.60% 1.72%
 JPM A (acc) - EUR 6/30/2019 5.21% 9.62% 45.79% 46.58% 12.77%
 MSCI Brazil 10/40 Index (Total Return Net)  6/30/2019 6.05% 7.84% 40.12% 58.62% 10.28%
 JPMorgan Funds - China Fund
 JPM A (dist) - USD 6/30/2019 8.77% -1.28% -5.38% 54.30% 47.14%
 JPM China D (acc) - USD 6/30/2019 8.70% -1.53% -6.32% 49.74% 40.02%
 JPM A (acc) - USD 6/30/2019 8.78% -1.29% -5.41% 54.17% 47.02%
 JPM A (acc) - SGD 6/30/2019 6.76% -1.43% -6.14% 54.69% 59.32%
 JPM China D (acc) - EUR 6/30/2019 6.54% -2.89% -4.22% 46.04% 67.73%
 JPM A (dist) - HKD 6/30/2019 8.32% -1.82% -5.87% 55.16% 47.95%
 MSCI China 10/40 Index (Total Return Net)  6/30/2019 7.64% -3.89% -6.04% 29.88% 23.27%
 JPMorgan Funds - Emerging Europe Equity Fund
 JPM A (dist) - EUR 6/30/2019 5.81% 10.95% 17.94% 36.77% 14.11%
 JPM D (acc) - EUR 6/30/2019 5.75% 10.69% 16.79% 32.78% 8.57%
 JPM A (acc) - EUR 6/30/2019 5.80% 10.97% 17.93% 36.76% 14.08%
 JPM A (acc) - USD 6/30/2019 7.96% 12.51% 15.33% 40.06% -4.93%
 JPM A (dist) - USD 6/30/2019 7.95% 12.50% -- -- --
 JPM D (acc) - USD 6/30/2019 7.87% 12.23% -- -- --
 MSCI Emerging Markets Europe 10/40 Index (Total Return Net)  C 6/30/2019 5.11% 10.09% 18.28% 41.47% 13.91%
 JPMorgan Funds - Emerging Markets Diversified Equity Fund
 JPM A (acc) - EUR 6/30/2019 4.81% 0.06% 1.23% 29.73% 27.01%
 MSCI Emerging Markets Index (Total Return Net)  6/30/2019 3.96% -0.80% 3.76% 32.20% 35.94%
 JPMorgan Funds - Emerging Markets Dividend Fund
 JPM A (acc) - EUR 6/30/2019 4.31% 2.07% 10.03% 30.19% 28.23%
 JPM A (acc) - USD 6/30/2019 6.42% 3.49% 7.58% 33.30% 6.82%
 JPM A (dist) - GBP 6/30/2019 5.39% 5.82% 11.39% 40.96% 43.36%
 MSCI Emerging Markets Index (Total Return Net)  6/30/2019 3.96% -0.80% 3.76% 32.20% 35.94%
 JPMorgan Funds - Emerging Markets Equity Fund
 JPM A (dist) - GBP 6/30/2019 6.24% 6.84% 12.60% 56.33% 68.23%
 JPM A (dist) - USD 6/30/2019 7.26% 4.49% 8.85% 48.18% 25.68%
 JPM D (acc) - USD 6/30/2019 7.22% 4.28% 8.00% 44.68% 20.73%
 JPM A (acc) - EUR (hedged) 6/30/2019 6.94% 3.63% 5.31% 36.78% 14.76%
 JPM D (acc) - EUR 6/30/2019 5.11% 2.92% 10.49% 41.29% 44.96%
 JPM A (acc) - USD 6/30/2019 7.26% 4.47% 8.83% 48.16% 25.71%
 JPM A (acc) - EUR 6/30/2019 5.13% 3.05% 11.37% 44.75% 50.89%
 JPM A (acc) - SGD 6/30/2019 5.29% 4.33% 7.91% 48.48% 35.96%
 MSCI Emerging Markets Index (Total Return Net)  6/30/2019 5.21% 3.01% 4.99% 42.34% 51.91%
 JPMorgan Funds - Emerging Markets Opportunities Fund
 JPM A (acc) - USD 6/30/2019 7.34% 2.12% 4.32% 51.74% 20.91%
 JPM A (acc) - EUR 6/30/2019 5.22% 0.72% 6.68% 48.03% 44.94%
 JPM A (dist) - EUR 6/30/2019 5.21% 0.71% 6.66% 47.98% 44.88%
 JPM A (dist) - USD 6/30/2019 7.33% 2.10% 4.26% 51.52% 20.68%
 JPM A (dist) - GBP 6/30/2019 6.29% 4.41% 7.92% 60.16% 61.91%
 MSCI Emerging Markets Index (Total Return Net)  6/30/2019 6.24% 0.61% 1.21% 35.51% 13.07%
 JPMorgan Funds - Emerging Markets Small Cap Fund
 JPM A (perf) (acc) - USD 6/30/2019 4.84% 1.09% 3.33% 30.66% 32.86%
 JPM A (perf) (dist) - GBP 6/30/2019 3.92% 3.41% 7.00% 38.04% 78.12%
 JPM A (perf) (acc) - EUR 6/30/2019 2.73% -0.36% 5.62% 27.52% 59.40%
 JPM D (perf) (acc) - USD 6/30/2019 4.77% 0.85% 2.37% 27.18% 27.30%
 JPM D (perf) (acc) - EUR 6/30/2019 2.71% -0.50% 4.76% 24.13% 52.57%
 MSCI Emerging Markets Small Cap Index (Total Return Net)  6/30/2019 3.92% -0.98% -5.12% 17.30% 2.68%
 JPMorgan Funds - Emerging Middle East Equity Fund
 JPM A (dist) - USD 6/30/2019 2.53% 2.62% 7.85% 37.48% 6.59%
 JPM D (acc) - USD 6/30/2019 2.42% 2.34% 6.71% 33.39% 1.38%
 JPM A (acc) - USD 6/30/2019 2.55% 2.60% 7.79% 37.51% 6.55%
 JPM A (acc) - EUR 6/30/2019 0.39% 1.47% 9.82% 34.51% 28.15%
 JPM D (acc) - EUR 6/30/2019 0.33% 1.23% 8.73% 30.60% 21.96%
 S&P Pan Arab Composite Index (Total Return Net)  D 6/30/2019 2.72% 2.39% 10.54% 42.13% 9.93%
 JPMorgan Funds - Euroland Dynamic Fund
 JPM A (perf) (acc) - EUR 6/30/2019 5.26% 3.80% -3.03% 24.67% 18.79%
 MSCI EMU Index (Total Return Net)  6/30/2019 5.11% 4.01% 2.04% 31.57% 29.42%
 JPMorgan Funds - Euroland Equity Fund
 JPM A (dist) - USD 6/30/2019 6.90% 4.78% -3.91% 33.45% 8.54%
 JPM A (dist) - EUR 6/30/2019 4.80% 3.37% -1.66% 30.42% 30.54%
 JPM D (acc) - EUR 6/30/2019 4.68% 3.18% -2.41% 27.38% 25.53%
 JPM A (acc) - EUR 6/30/2019 4.76% 3.32% -1.69% 30.35% 30.35%
 JPM A (acc) - CHF (hedged) 6/30/2019 4.77% 3.31% -2.12% 28.84% 25.87%
 JPM A (acc) - USD (hedged) 6/30/2019 5.07% 4.17% 1.46% 39.71% 39.09%
 JPM A (acc) - GBP (hedged) 6/30/2019 4.88% 3.66% -0.70% 33.47% 32.43%
 MSCI EMU Index (Total Return Net)  6/30/2019 7.41% 5.48% -0.48% 34.87% 7.65%
 JPMorgan Funds - Europe Dynamic Fund
 JPM A (dist) - EUR 6/30/2019 4.96% 1.98% -2.89% 17.48% 17.16%
 JPM A (dist) - GBP 6/30/2019 6.00% 5.70% -1.78% 26.96% 30.62%
 JPM D (acc) - EUR 6/30/2019 4.88% 1.76% -3.62% 14.43% 11.77%
 JPM A (acc) - EUR 6/30/2019 4.94% 1.98% -2.85% 17.57% 17.27%
 JPM D (acc) - USD 6/30/2019 6.99% 3.17% -5.83% 17.01% -7.04%
 JPM A (acc) - USD 6/30/2019 7.05% 3.36% -5.13% 20.10% -2.62%
 MSCI Europe Index (Total Return Net)  6/30/2019 4.43% 3.01% 4.46% 26.72% 28.05%
 JPMorgan Funds - Europe Dynamic Small Cap Fund
 JPM A (perf) (acc) - EUR 6/30/2019 3.96% 4.01% -8.84% 29.37% 55.70%
 JPM D (perf) (acc) - EUR 6/30/2019 3.88% 3.75% -9.82% 25.53% 48.95%
 JPM A (perf) (dist) - EUR 6/30/2019 3.96% 4.01% -8.91% 29.19% 55.36%
 EMIX Smaller Europe (Inc. UK) Index (Total Return Net)  6/30/2019 3.07% 2.05% -2.83% 30.68% 39.11%
 JPMorgan Funds - Europe Dynamic Technologies Fund
 JPM A (dist) - EUR 6/30/2019 5.80% 8.54% 4.62% 64.39% 103.75%
 JPM A (dist) - GBP 6/30/2019 6.89% 12.47% 5.80% 77.76% 127.50%
 JPM D (acc) - EUR 6/30/2019 5.70% 8.25% 3.56% 59.46% 93.60%
 JPM A (acc) - EUR 6/30/2019 5.79% 8.51% 4.61% 64.45% 103.76%
 MSCI Europe Investable Market Information Technology 10/40 Index (Total Return Net)  6/30/2019 5.56% 7.53% 3.98% 59.46% 90.82%
 JPMorgan Funds - Europe Equity Absolute Alpha Fund
 JPM A (perf) (acc) - EUR 6/30/2019 1.91% -0.79% 0.78% 4.05% 9.63%
 JPM A (perf) (dist) - GBP 6/30/2019 2.97% 2.88% 2.03% 12.64% --
 JPM A (perf) (acc) - USD (hedged) 6/30/2019 2.18% 0.07% 3.88% 11.56% --
 JPM A (perf) (dist) - GBP (hedged) 6/30/2019 2.02% -0.48% 2.03% 7.22% --
 ICE 1 Month EUR LIBOR  6/30/2019 -0.03% -0.11% -0.41% -1.21% -1.42%
 JPMorgan Funds - Europe Equity Fund
 JPM A (dist) - USD 6/30/2019 6.58% 3.94% -0.48% 29.34% 7.16%
 JPM A (dist) - EUR 6/30/2019 4.46% 2.52% 1.85% 26.53% 28.87%
 JPM A (acc) - USD 6/30/2019 6.55% 3.90% -0.49% 29.44% 7.22%
 JPM D (acc) - EUR 6/30/2019 4.44% 2.32% 1.07% 23.64% 24.08%
 JPM A (acc) - EUR 6/30/2019 4.44% 2.51% 1.84% 26.50% 28.84%
 JPM D (acc) - USD 6/30/2019 6.54% 3.78% -1.20% 26.43% 3.17%
 MSCI Europe Index (Total Return Net)  6/30/2019 6.72% 4.48% 1.88% 29.90% 6.50%
 JPMorgan Funds - Europe Equity Plus Fund
 JPM A (perf) (acc) - EUR 6/30/2019 3.95% 1.24% 1.36% 25.55% 29.74%
 JPM A (perf) (dist) - EUR 6/30/2019 3.94% 1.33% 1.35% 25.55% 29.66%
 JPM A (perf) (dist) - GBP 6/30/2019 4.96% 4.96% 2.46% 35.61% 44.53%
 JPM D (perf) (acc) - EUR 6/30/2019 3.87% 0.99% 0.33% 21.95% 23.62%
 JPM A (perf) (acc) - USD 6/30/2019 6.05% 2.71% -0.93% 28.53% 7.99%
 JPM D (perf) (acc) - USD 6/30/2019 5.96% 2.37% -2.01% 24.48% 2.53%
 MSCI Europe Index (Total Return Net)  6/30/2019 4.43% 3.01% 4.46% 26.72% 28.05%
 JPMorgan Funds - Europe Small Cap Fund
 JPM A (dist) - EUR 6/30/2019 3.56% 4.03% -8.28% 27.53% 48.22%
 JPM A (dist) - GBP 6/30/2019 4.58% 7.83% -7.25% 37.78% 65.21%
 JPM D (acc) - EUR 6/30/2019 3.50% 3.81% -9.17% 23.69% 40.87%
 JPM A (acc) - EUR 6/30/2019 3.55% 4.03% -8.26% 27.49% 48.15%
 JPM A (acc) - USD (hedged) 6/30/2019 3.88% 5.94% -5.33% 40.59% --
 EMIX Smaller Europe (Inc. UK) Index (Total Return Net)  6/30/2019 3.07% 2.05% -2.47% 30.78% 39.22%
 JPMorgan Funds - Europe Strategic Growth Fund
 JPM A (dist) - EUR 6/30/2019 4.45% 5.00% 4.93% 34.30% 58.47%
 JPM A (dist) - GBP 6/30/2019 5.47% 8.87% 6.12% 45.14% 76.70%
 JPM D (acc) - EUR 6/30/2019 4.33% 4.80% 4.16% 31.33% 52.56%
 JPM A (acc) - EUR 6/30/2019 4.42% 5.00% 4.93% 34.33% 58.46%
 MSCI Europe Growth Index (Total Return Net)  6/30/2019 5.00% 5.63% 8.94% 28.43% 43.74%
 JPMorgan Funds - Europe Strategic Value Fund
 JPM A (dist) - EUR 6/30/2019 4.11% 0.00% -3.00% 24.77% 17.61%
 JPM A (dist) - GBP 6/30/2019 5.09% 3.58% -1.98% 34.59% 30.88%
 JPM D (acc) - EUR 6/30/2019 3.98% -0.24% -3.80% 21.81% 13.05%
 JPM A (acc) - EUR 6/30/2019 4.05% -0.06% -3.03% 24.62% 17.53%
 MSCI Europe Value Index (Total Return Net)  6/30/2019 3.79% 0.25% -0.07% 24.60% 13.11%
 JPMorgan Funds - Global Equity Fund
 JPM A (dist) - GBP 6/30/2019 5.23% 3.74% 1.01% 39.13% 60.14%
 JPM A (dist) - USD 6/30/2019 6.28% 1.49% -2.39% 31.78% 19.59%
 JPM D (acc) - USD 6/30/2019 6.24% 1.24% -3.36% 27.83% 13.62%
 JPM A (acc) - USD 6/30/2019 6.27% 1.48% -2.41% 31.67% 19.53%
 JPM D (acc) - EUR 6/30/2019 4.12% -0.17% -1.19% 24.81% 36.38%
 JPM A (dist) - EUR 6/30/2019 4.20% 0.08% -0.16% 28.53% 43.41%
 JPM A (acc) - EUR 6/30/2019 4.16% 0.08% -0.15% 28.53% 43.39%
 JPM A (acc) - EUR (hedged) 6/30/2019 5.40% 0.57% -4.15% 25.97% 21.94%
 JPM D (acc) - EUR (hedged) 6/30/2019 5.33% 0.25% -5.16% 22.26% 15.98%
 JPM A (acc) - SGD 6/30/2019 4.33% 1.35% -3.16% 32.16% 29.47%
 JPM A (acc) - CHF (hedged) 6/30/2019 5.35% 0.49% -4.55% 24.39% 18.42%
 MSCI World Index (Total Return Net)  6/30/2019 5.56% 6.48% 10.30% 46.64% 84.96%
 JPMorgan Funds - Global Equity Plus Fund
 JPM A (perf) (acc) - EUR 6/30/2019 5.53% 1.32% 3.07% -- --
 JPM A (perf) (acc) - USD 6/30/2019 7.66% 2.72% 0.78% -- --
 MSCI All Country World Index (Total Return Net)  6/30/2019 4.26% 2.16% 8.41% -- --
 JPMorgan Funds - Global Focus Fund
 JPM D (acc) - EUR 6/30/2019 3.78% 2.71% 3.81% 31.58% 43.50%
 JPM A (dist) - EUR 6/30/2019 3.86% 2.96% 4.81% 35.50% 50.77%
 JPM A (acc) - EUR 6/30/2019 3.85% 2.94% 4.81% 35.57% 50.87%
 JPM A (dist) - USD 6/30/2019 5.96% 4.33% 2.38% 38.45% 25.15%
 JPM A (acc) - EUR (hedged) 6/30/2019 4.96% 3.40% 0.21% 31.68% 28.21%
 JPM D (acc) - EUR (hedged) 6/30/2019 4.89% 3.18% -0.78% 27.88% 22.08%
 JPM A (acc) - CHF (hedged) 6/30/2019 4.91% 3.30% -0.29% 30.01% 23.52%
 MSCI World Index (Total Return Net)  6/30/2019 4.30% 2.54% 9.02% 36.20% 65.52%
 JPMorgan Funds - Global Healthcare Fund
 JPM A (acc) - USD 6/30/2019 5.89% 0.52% 7.40% 27.56% 29.32%
 JPM D (acc) - USD 6/30/2019 5.80% 0.26% 6.34% 23.84% 23.07%
 JPM A (dist) - USD 6/30/2019 5.89% 0.52% 7.41% 27.54% 29.29%
 JPM A (dist) - GBP 6/30/2019 4.86% 2.77% 11.06% 34.46% 72.84%
 JPM A (acc) - EUR 6/30/2019 3.80% -0.86% 9.83% 24.52% 55.14%
 MSCI World Healthcare Index (Total Return Net)  6/30/2019 6.75% 1.50% 10.84% 27.68% 42.73%
 JPMorgan Funds - Global Natural Resources Fund
 JPM A (acc) - EUR 6/30/2019 7.18% -0.07% -3.24% 34.71% -6.15%
 JPM A (dist) - EUR 6/30/2019 7.16% -0.09% -3.27% 34.64% -6.20%
 JPM D (acc) - EUR 6/30/2019 7.05% -0.35% -4.28% 30.77% -10.71%
 JPM A (acc) - USD 6/30/2019 9.36% 1.27% -5.43% 37.84% -21.80%
 JPM D (acc) - USD 6/30/2019 9.07% 1.01% -6.53% 33.56% -25.80%
 JPM A (acc) - SGD 6/30/2019 7.36% 1.21% -6.13% 38.22% -15.37%
 JPM A (acc) - GBP 6/30/2019 8.29% 3.58% -2.13% 45.59% 4.73%
 EMIX Global Mining & Energy Index (Total Return Net)  E 6/30/2019 7.21% 0.78% 4.72% 33.88% 15.32%
 JPMorgan Funds - Global Real Estate Securities Fund (USD)
 JPM A (acc) - EUR (hedged) 6/30/2019 1.73% -0.34% 4.89% 7.45% 20.05%
 JPM A (acc) - USD 6/30/2019 2.54% 0.55% 6.69% 11.39% 18.01%
 JPM D (acc) - USD 6/30/2019 2.53% 0.34% 5.96% 8.91% 13.76%
 JPM A (dist) - EUR (hedged) 6/30/2019 1.62% -0.43% 4.73% 7.20% 20.02%
 JPM D (acc) - EUR (hedged) 6/30/2019 1.63% -0.61% 4.11% 4.92% 15.53%
 FTSE EPRA Nareit Developed Index (Total Return Net)  F 6/30/2019 0.71% -1.02% 5.82% 9.39% 28.10%
 JPMorgan Funds - Global Socially Responsible Fund
 JPM A (dist) - USD 6/30/2019 6.22% 4.43% 2.59% 44.99% 31.15%
 JPM D (acc) - USD 6/30/2019 6.13% 4.18% 1.59% 40.77% 24.94%
 JPM A (acc) - USD 6/30/2019 6.17% 4.34% 2.51% 45.04% 31.26%
 ECPI Ethical Index Global (Total Return Net)  6/30/2019 6.75% 4.18% 8.01% 49.24% 44.43%
 JPMorgan Funds - Global Unconstrained Equity Fund
 JPM A (dist) - USD 6/30/2019 5.25% 3.42% 4.34% 38.69% 26.95%
 JPM D (acc) - USD 6/30/2019 5.22% 3.23% 3.58% 35.54% 22.25%
 JPM A (acc) - USD 6/30/2019 5.25% 3.40% 4.32% 38.63% 26.95%
 JPM A (acc) - EUR (hedged) 6/30/2019 4.04% 2.28% 1.68% 30.71% 28.11%
 JPM A (dist) - EUR (hedged) 6/30/2019 4.13% 2.30% 1.75% 30.80% 28.19%
 JPM D (acc) - EUR (hedged) 6/30/2019 3.95% 2.05% 0.96% 27.76% 23.44%
 JPM A (acc) - EUR 6/30/2019 3.18% 2.02% 6.71% 35.42% 52.42%
 MSCI All Country World Index (Total Return Net)  G 6/30/2019 6.55% 3.61% 5.74% 39.08% 34.85%
 JPMorgan Funds - Greater China Fund
 JPM A (dist) - USD 6/30/2019 8.87% -0.47% -4.67% 49.59% 39.53%
 JPM D (acc) - USD 6/30/2019 8.79% -0.71% -5.61% 45.15% 32.64%
 JPM A (acc) - USD 6/30/2019 8.87% -0.44% -4.65% 49.63% 39.57%
 JPM A (acc) - SGD 6/30/2019 6.87% -0.60% -5.43% 50.12% 51.13%
 JPM D (acc) - EUR 6/30/2019 6.64% -2.07% -3.48% 41.71% 59.18%
 JPM A (dist) - HKD 6/30/2019 8.36% -1.04% -5.17% 50.45% 40.37%
 MSCI Golden Dragon Index (Total Return Net)  6/30/2019 7.24% -2.02% -1.96% 46.56% 39.87%
 JPMorgan Funds - India Fund
 JPM A (dist) - USD 6/30/2019 -0.34% 2.72% 2.07% 15.94% 27.25%
 JPM D (acc) - USD 6/30/2019 -0.40% 2.51% 1.26% 13.20% 22.28%
 JPM A (acc) - USD 6/30/2019 -0.32% 2.72% 2.07% 15.96% 27.29%
 JPM A (acc) - SGD 6/30/2019 -2.21% 2.57% 1.24% 16.36% 37.90%
 JPM D (acc) - EUR 6/30/2019 -2.37% 1.12% 3.57% 10.55% 46.75%
 JPM A (dist) - GBP 6/30/2019 -1.30% 5.04% 5.65% 22.55% 70.68%
 MSCI India 10/40 Index (Total Return Net)  6/30/2019 -0.18% 0.59% 8.05% 35.58% 30.81%
 JPMorgan Funds - Indonesia Equity Fund
 JPM A (acc) - USD 6/30/2019 4.12% 1.82% 20.74% 17.97% 12.11%
 MSCI Indonesia Index (Total Return Net)  6/30/2019 5.39% 3.15% 20.28% 22.54% 18.90%
 JPMorgan Funds - Japan Equity Fund
 JPM A (dist) - GBP 6/30/2019 1.03% 5.20% -2.32% 26.97% 102.22%
 JPM A (dist) - USD 6/30/2019 2.06% 2.91% -5.52% 20.38% 51.16%
 JPM D (acc) - USD 6/30/2019 2.05% 2.69% -6.22% 17.56% 45.49%
 JPM A (acc) - USD 6/30/2019 2.06% 2.91% -5.54% 20.37% 51.17%
 JPM A (acc) - EUR 6/30/2019 0.00% 1.49% -3.37% 17.48% 81.20%
 JPM A (acc) - JPY 6/30/2019 1.01% 0.00% -8.14% 26.03% 60.54%
 JPM D (acc) - EUR 6/30/2019 0.00% 1.35% -4.17% 14.68% 74.32%
 JPM A (dist) - GBP (hedged) 6/30/2019 1.13% 0.13% -8.44% 25.50% 57.28%
 TOPIX (Total Return Net)  6/30/2019 2.53% 2.68% -2.49% 31.73% 69.76%
 JPMorgan Funds - Korea Equity Fund
 JPM A (acc) - USD 6/30/2019 6.86% -1.72% -6.18% 29.48% 9.10%
 JPM A (acc) - EUR 6/30/2019 4.77% -3.04% -4.01% 26.53% 31.09%
 JPM D (acc) - USD 6/30/2019 6.71% -2.02% -7.15% 25.74% 3.80%
 JPM A (dist) - USD 6/30/2019 6.88% -1.74% -6.19% 29.44% 9.16%
 Korea Composite Stock Price Index (KOSPI)  6/30/2019 7.63% -2.15% -11.59% 7.87% -6.75%
 JPMorgan Funds - Latin America Equity Fund
 JPM A (dist) - USD 6/30/2019 6.82% 9.86% 27.73% 33.62% -6.47%
 JPM D (acc) - USD 6/30/2019 6.74% 9.61% 26.45% 29.67% -11.04%
 JPM A (acc) - USD 6/30/2019 6.78% 9.85% 27.73% 33.63% -6.44%
 JPM D (acc) - EUR 6/30/2019 4.62% 8.10% 29.35% 26.63% 6.78%
 JPM A (acc) - SGD 6/30/2019 4.81% 9.74% 26.77% 34.05% 1.40%
 JPM A (acc) - EUR 6/30/2019 4.71% 8.37% 30.65% 30.48% 12.27%
 MSCI Emerging Markets Latin America Index (Total Return Net)  6/30/2019 6.16% 4.44% 18.45% 36.01% -3.72%
 JPMorgan Funds - Pacific Equity Fund
 JPM A (dist) - GBP 6/30/2019 4.66% 5.16% 4.34% 52.65% 96.95%
 JPM A (dist) - USD 6/30/2019 5.68% 2.85% 0.87% 44.68% 47.26%
 JPM D (acc) - USD 6/30/2019 5.62% 2.62% 0.09% 41.27% 41.44%
 JPM A (acc) - USD 6/30/2019 5.66% 2.84% 0.81% 44.42% 46.94%
 JPM A (acc) - EUR 6/30/2019 3.60% 1.43% 3.13% 41.12% 76.36%
 JPM D (acc) - EUR 6/30/2019 3.58% 1.29% 2.38% 38.07% 69.99%
 MSCI All Country Asia Pacific Index (Total Return Net)  H 6/30/2019 4.36% 3.23% 2.62% 40.09% 66.17%
 JPMorgan Funds - Russia Fund
 JPM A (acc) - USD 6/30/2019 9.50% 15.06% 20.37% 59.15% 18.61%
 JPM A (dist) - USD 6/30/2019 9.47% 15.09% 20.47% 59.22% 18.68%
 JPM D (acc) - USD 6/30/2019 9.32% 14.72% 19.22% 54.60% 12.86%
 MSCI Russia 10/40 Index (Total Return Net)  6/30/2019 8.98% 15.66% 22.41% 62.54% 27.12%
 JPMorgan Funds - Taiwan Fund
 JPM A (dist) - USD 6/30/2019 5.76% -2.10% -9.70% 22.13% 11.64%
 JPM D (acc) - USD 6/30/2019 5.71% -2.31% -10.59% 18.63% 6.20%
 JPM A (acc) - USD 6/30/2019 5.75% -2.07% -9.67% 22.20% 11.65%
 JPM A (acc) - EUR 6/30/2019 3.66% -3.41% -7.68% 19.27% 33.86%
 JPM A (dist) - HKD 6/30/2019 5.27% -2.56% -10.13% 22.91% 12.44%
 Taiwan Stock Exchange Capitalization Weighted Stock Index (TAIEX) (Total Return Gross)  6/30/2019 5.08% 1.08% 1.27% 44.81% 33.55%
 JPMorgan Funds - US Equity All Cap Fund
 JPM A (acc) - USD 6/30/2019 6.03% 3.59% 6.24% 49.50% 53.80%
 JPM A (acc) - EUR 6/30/2019 3.94% 2.15% 8.54% 45.61% 84.00%
 S&P 500 Index (Total Return Net of 30% withholding tax)  6/30/2019 7.00% 4.15% 9.75% 46.22% 61.27%
 JPMorgan Funds - US Growth Fund
 JPM A (dist) - GBP 6/30/2019 5.89% 9.43% 15.37% 91.25% 155.89%
 JPM A (dist) - USD 6/30/2019 6.97% 7.03% 11.49% 80.92% 90.97%
 JPM D (acc) - USD 6/30/2019 6.91% 6.84% 10.62% 77.01% 83.88%
 JPM A (acc) - USD 6/30/2019 7.00% 7.07% 11.60% 81.42% 91.48%
 JPM A (acc) - EUR (hedged) 6/30/2019 6.66% 6.21% 7.95% 68.21% 76.74%
 JPM D (acc) - EUR (hedged) 6/30/2019 6.57% 5.95% 7.14% 64.40% 70.27%
 Russell 1000 Growth Index (Total Return Net of 30% withholding tax)  6/30/2019 5.80% 7.08% 15.34% 70.84% 146.59%
 JPMorgan Funds - US Opportunistic Long-Short Equity Fund
 JPM A (perf) (acc) - USD 6/30/2019 -0.01% -0.24% -0.92% 15.51% --
 JPM A (perf) (acc) - EUR (hedged) 6/30/2019 -0.24% -0.97% -3.86% 7.94% --
 JPM D (perf) (acc) - EUR (hedged) 6/30/2019 -0.30% -1.17% -4.63% 4.53% --
 ICE 1 Month USD LIBOR  6/30/2019 0.19% 0.62% 2.40% 4.81% --
 JPMorgan Funds - US Select Equity Plus Fund
 JPM A (acc) - EUR 6/30/2019 3.83% 2.13% 7.24% 41.95% 77.07%
 JPM A (acc) - EUR (hedged) 6/30/2019 5.61% 2.70% 1.57% 35.58% 37.21%
 JPM A (acc) - USD 6/30/2019 5.93% 3.58% 4.91% 45.76% 48.22%
 JPM A (dist) - GBP 6/30/2019 4.93% 5.91% 8.48% 53.65% 98.14%
 JPM A (dist) - USD 6/30/2019 5.92% 3.52% 4.87% 45.52% 47.89%
 JPM D (acc) - EUR (hedged) 6/30/2019 5.53% 2.49% 0.69% 31.60% 30.69%
 JPM D (acc) - USD 6/30/2019 5.88% 3.35% 4.04% 41.61% 41.12%
 JPM A (dist) - EUR 6/30/2019 3.82% 2.11% -- -- --
 S&P 500 Index (Total Return Net of 30% withholding tax)  6/30/2019 4.70% 2.69% 12.52% 42.64% 93.90%
 JPMorgan Funds - US Small Cap Growth Fund
 JPM A (dist) - GBP 6/30/2019 5.88% 3.91% 5.48% 92.57% 126.78%
 JPM A (dist) - USD 6/30/2019 6.91% 1.62% 1.94% 82.27% 69.12%
 JPM D (acc) - USD 6/30/2019 6.83% 1.45% 1.16% 78.26% 62.89%
 JPM A (acc) - USD 6/30/2019 6.91% 1.61% 1.93% 82.29% 69.18%
 JPM A (acc) - EUR 6/30/2019 4.80% 0.23% 4.25% 77.96% 102.96%
 Russell 2000 Growth Index (Total Return Net of 30% withholding tax)  6/30/2019 6.64% 5.19% 3.06% 57.50% 101.12%
 JPMorgan Funds - US Smaller Companies Fund
 JPM A (dist) - USD 6/30/2019 6.90% 4.89% -0.06% 39.41% 50.19%
 JPM D (acc) - USD 6/30/2019 6.80% 4.60% -1.14% 35.00% 42.52%
 JPM A (acc) - USD 6/30/2019 6.90% 4.86% -0.04% 39.49% 50.34%
 Russell 2000 Index (Total Return Net of 30% withholding tax)  I 6/30/2019 7.02% 1.99% -3.70% 39.97% 37.89%
 JPMorgan Funds - US Technology Fund
 JPM A (dist) - GBP 6/30/2019 5.18% 7.30% 21.85% 138.26% 217.35%
 JPM A (dist) - USD 6/30/2019 6.15% 4.84% 17.67% 125.29% 136.32%
 JPM D (acc) - USD 6/30/2019 6.08% 4.64% 16.59% 118.15% 124.48%
 JPM A (acc) - USD 6/30/2019 6.15% 4.84% 17.71% 125.36% 136.63%
 JPM D (acc) - EUR 6/30/2019 3.97% 3.14% 19.10% 113.19% 169.46%
 JPM A (acc) - EUR 6/30/2019 4.04% 3.40% 20.38% 119.81% 183.47%
 Russell 1000 Equal Weight Technology Index (Total Return Net of 30% withholding tax)  J 6/30/2019 6.33% 6.04% 20.45% 105.27% 188.11%
 JPMorgan Funds - US Value Fund
 JPM A (dist) - GBP 6/30/2019 4.89% 5.76% 8.12% 38.13% 73.27%
 JPM A (dist) - USD 6/30/2019 5.95% 3.45% 4.57% 31.15% 29.71%
 JPM D (acc) - USD 6/30/2019 5.88% 3.29% 3.78% 28.21% 24.83%
 JPM A (acc) - USD 6/30/2019 5.96% 3.46% 4.60% 31.20% 29.69%
 JPM A (acc) - EUR (hedged) 6/30/2019 5.63% 2.58% 1.31% 22.12% 20.22%
 JPM D (acc) - EUR (hedged) 6/30/2019 5.57% 2.49% 0.59% 19.38% 15.79%
 JPM A (acc) - EUR 6/30/2019 3.84% 2.01% 6.81% 27.61% --
 Russell 1000 Value Index (Total Return Net of 30% withholding tax)  6/30/2019 6.08% 6.12% 11.66% 37.45% 85.55%
 JPMorgan Investment Funds - Europe Select Equity Fund
 JPM A (acc) - EUR 6/30/2019 4.69% 2.98% 2.76% 26.65% 25.15%
 JPM A (dist) - EUR 6/30/2019 4.68% 2.96% 2.67% 26.30% 24.69%
 JPM D (acc) - EUR 6/30/2019 4.62% 2.79% 1.93% 23.56% 20.17%
 JPM A (acc) - USD 6/30/2019 6.79% 4.40% 0.39% 29.34% 3.91%
 JPM D (acc) - USD 6/30/2019 6.72% 4.19% -0.36% 26.58% 0.12%
 JPM A (dist) - GBP 6/30/2019 5.75% 6.75% 3.88% -- --
 MSCI Europe Index (Total Return Net)  6/30/2019 4.43% 3.01% 4.46% 26.72% 28.05%
 JPMorgan Investment Funds - Europe Strategic Dividend Fund
 JPM A (acc) - EUR 6/30/2019 3.78% 0.94% -0.11% 15.87% 15.11%
 JPM D (acc) - EUR 6/30/2019 3.71% 0.74% -0.90% 13.15% 10.69%
 JPM A (dist) - EUR 6/30/2019 3.78% 0.92% -0.13% 15.79% 14.99%
 MSCI Europe Index (Total Return Net)  6/30/2019 4.43% 3.01% 4.46% 26.72% 28.05%
 JPMorgan Investment Funds - Global Dividend Fund
 JPM A (acc) - USD 6/30/2019 6.31% 4.73% 7.21% 35.93% 26.86%
 JPM A (acc) - EUR (hedged) 6/30/2019 5.27% 3.72% 5.23% 29.09% 30.77%
 JPM D (acc) - USD 6/30/2019 6.24% 4.53% 6.42% 32.91% 22.20%
 JPM D (acc) - EUR (hedged) 6/30/2019 5.20% 3.51% 4.43% 26.21% 25.97%
 JPM A (dist) - EUR (hedged) 6/30/2019 5.26% 3.71% 5.22% 29.07% 30.78%
 JPM A (dist) - USD 6/30/2019 6.31% 4.73% 7.22% 35.93% 26.87%
 JPM A (acc) - EUR 6/30/2019 4.21% 3.30% 9.67% 32.75% 52.30%
 MSCI All Country World Index (Total Return Net)  K 6/30/2019 6.55% 3.61% 5.74% 39.08% 34.84%
 JPMorgan Investment Funds - Global Select Equity Fund
 JPM A (acc) - USD 6/30/2019 6.02% 3.46% 4.21% 41.81% 33.18%
 JPM D (acc) - USD 6/30/2019 5.95% 3.27% 3.43% 38.64% 28.24%
 JPM A (dist) - USD 6/30/2019 5.96% 3.38% 4.13% 41.67% 33.04%
 JPM A (acc) - EUR 6/30/2019 3.92% 2.00% 6.54% 38.38% 59.73%
 MSCI World Index (Total Return Net)  6/30/2019 6.59% 4.00% 6.33% 39.61% 37.67%
 JPMorgan Investment Funds - Japan Select Equity Fund
 JPM A (acc) - JPY 6/30/2019 2.26% -1.78% -8.55% 31.43% 25.88%
 JPM D (acc) - JPY 6/30/2019 2.19% -1.96% -9.24% 28.51% 21.25%
 JPM A (dist) - JPY 6/30/2019 2.26% -1.77% -8.55% 31.44% 25.88%
 JPM A (acc) - EUR 6/30/2019 1.21% -0.33% -3.87% 22.43% 42.15%
 TOPIX (Total Return Net)  6/30/2019 2.73% -2.38% -8.57% 31.71% 34.39%
 JPMorgan Investment Funds - Japan Strategic Value Fund
 JPM A (acc) - JPY 6/30/2019 3.28% -1.96% -12.51% 29.45% 16.70%
 JPM A (dist) - GBP 6/30/2019 3.27% 3.16% -6.93% 30.47% 47.19%
 JPM A (acc) - EUR 6/30/2019 2.23% -0.51% -8.02% 20.54% 31.75%
 JPM D (acc) - JPY 6/30/2019 3.22% -2.14% -13.17% 26.52% 12.34%
 JPM D (acc) - EUR 6/30/2019 2.17% -0.70% -8.71% 17.85% 26.86%
 TOPIX (Total Return Net)  6/30/2019 2.73% -2.38% -8.57% 31.71% 34.39%
 JPMorgan Investment Funds - US Select Equity Fund
 JPM A (acc) - USD 6/30/2019 5.81% 3.82% 7.03% 45.22% 48.65%
 JPM D (acc) - USD 6/30/2019 5.77% 3.68% 6.48% 43.03% 44.94%
 JPM A (dist) - USD 6/30/2019 5.81% 3.81% 6.99% 44.88% 48.30%
 JPM A (acc) - EUR (hedged) 6/30/2019 5.52% 3.00% 3.66% 35.30% 37.93%
 JPM D (acc) - EUR (hedged) 6/30/2019 5.48% 2.86% 3.09% 33.12% 34.34%
 JPM A (acc) - EUR 6/30/2019 3.72% 2.39% 9.46% 41.78% 78.37%
 JPM A (dist) - GBP 6/30/2019 4.78% 6.14% 10.67% -- --
 S&P 500 Index (Total Return Net of 30% withholding tax)  6/30/2019 7.00% 4.15% 9.75% 46.22% 61.27%
 This Share Class seeks to minimise the effect of currency fluctuations between the currency of certain (but not necessarily all) assets of the Sub-Fund and the Reference Currency of this Share Class’.
 This Share Class seeks to minimise the effect of currency fluctuations between the Reference Currency of the Sub-Fund and the Reference Currency of this Share Class.
 Indices do not include fees or operating expenses and you cannot invest in them.
 The benchmark is for comparative purposes only unless specifically referenced in the Sub-Funds' Investment Objective and Policy.
 The country location of stocks reflects where they are listed. In line with the prospectus, these stocks derive the predominant part of their economic activity from an emerging market.
 You should remember that past performance is not a guide to the future. The price of investments and the income from them may fall as well as rise and investors may not get back the full amount invested.
 As at 28/09/18 the share class name was changed from I (acc) - USD to I (dist) - USD.
 Formerly JPM Global Dynamic Fund, the Sub-Fund name was changed on 03/06/19.
 As at 02/12/13 the base currency of the Sub-Fund was changed from US Dollars (USD) to Japanese Yen (JPY).
 As at 14/12/18 JPM Emerging Europe, Middle East and Africa Equity Fund was merged into this Sub-Fund.
 As at 14/12/18 JPM Hong Kong Fund was merged into this Sub-Fund.
 As at 14/12/18 JPM Singapore Fund was merged into this Sub-Fund.
 As at 28/09/18 JPMorgan Funds - Highbridge US STEEP Fund was merged into this Sub-Fund.
 Holdings shown are ex options.
 On 05/12/12 the Sub-Fund name, investment objective and benchmark were changed. As at this date the benchmark performance has been chain linked. The performance of the Sub-Fund prior to this date was achieved under circumstances that no longer apply.
 The JPM China Fund is eligible to selectively invest in Hong Kong listed stocks that have business exposure to China, Hong Kong and/or Macau. The benchmark of the fund, the risk profile, and the investment objectives remain unchanged.
 This Sub-Fund has been launched with the assets of the Sub-Fund JPMorgan Lux Funds - Emerging Markets Value Fund which has been merged into the Sub-Fund on 23/10/09. The historical performance shown corresponds to the historical performance of the former Sub-Fund JPMorgan Lux Funds - Emerging Markets Value Fund.
 All performance details are NAV - NAV with gross income reinvested.
 All performance details are NAV to NAV with gross income reinvested.
 FX Adjusted returns have been calculated by J.P. Morgan Asset Management. Blended benchmarks have been calculated by J.P. Morgan Asset Management.
 Please note that the performance for the D share class is calculated when capital becomes available, which may not necessarily coincide with the launch date.
 Source: J.P. Morgan
 Source: J.P. Morgan Asset Management. Share class performance is shown based on the NAV (net asset value) of the share class with income (gross) reinvested including actual ongoing charges excluding any entry and exit fees.
 Past performance is no indication of current or future performance. The performance data do not take account of the commissions and costs incurred on the issue and redemption of shares.
A Prior to 03/07/17 the benchmark was MSCI Emerging and Frontier Markets Africa Index (Total Return Net).
B Prior to 01/02/10 the benchmark for the fund was MSCI AC Far East ex-Japan (Total Return Net).
C Prior to 11/04/18 the benchmark was MSCI Emerging Markets Europe Index (Total Return Net).
D Prior to 01/08/17 the benchmark was MSCI Middle East Index (Total Return Net).
E On 01/03/07 a customised index was introduced in order to facilitate a comparison between the Fund's performance and that of the broader Natural Resources sector. Please note that the Fund should not be expected to look or perform similar to the index. Prior to 04.01.16 the benchmark was Euromoney Global Gold, Mining & Energy Index (Total Return Net).
F Prior to 01/04/10 the benchmark was Global Property Research 250 Index (Total Return Net).
G Prior to 05/12/12 the benchmark was MSCI World Index (Total Return Net).
H Prior to 01/09/15 the benchmark was MSCI All Country Pacific Equity (Total Return Net).
I Prior to 01/10/09 the benchmark was Russell Micro Cap Index (Total Return Net). Prior to 04/07/07 the benchmark was Russell 2000 Net.
J Prior to 01/10/11 the benchmark was CTN (CSFB Tech Index) (total return gross). Prior to 02/10/17 the benchmark was BofA Merrill Lynch 100 Technology Price Index. Prior to 05/11/18 the benchmark was Russell 1000 Equal Weight Technology Index (Total Return Net).
K Prior to 01/11/13 the benchmark was MSCI World Index (Total Return Net)