JPMorgan Investment Funds – Global Balanced Fund C (acc) – EUR
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- ISIN:
- LU0079555370
- Current NAV:
- 2166.58
- Val.date:
- 2026-08-21
- Year to date performance:
- 4.35%
- Manager:
- JPMorgan Asset Management Europe Sarl
- SFDR:
- Article 8
- Documents:
-
- Prospectus document (IT)
- Prospectus document (DE)
- Prospectus document (EN)
- Prospectus document (FR)
- Periodic SFDR Annex (DE)
- Periodic SFDR Annex (IT)
- Periodic SFDR Annex (NL)
- Periodic SFDR Annex (FR)
- Periodic SFDR Annex (EN)
- SFDR Precontractual document (FR)
- SFDR Precontractual document (IT)
- SFDR Precontractual document (DE)
- SFDR Precontractual document (EN)
- KID (DE)
- KID (EN)
- KID (FR)
- KID (IT)
- KID (NL)