Búsqueda de fondos

|< 1 2 3 4 5 ...  > >|1 - 25 de 478
Clase de acciónUPCódigo ISINMorningstarRegiónClase de activoValor Liquid.3 años
 Africa Equity Fund (JPMorgan Funds)
JPM A (perf) (acc) - EURLU0355584979Mercados emergentesRenta variable18,916,89%
JPM A (perf) (acc) - USDLU0355584466Mercados emergentesRenta variable9,758,86%
JPM A (perf) (dist) - USDLU0355584623Mercados emergentesRenta variable74,848,89%
JPM D (perf) (acc) - EURLU0355585513Mercados emergentesRenta variable90,484,54%
JPM D (perf) (acc) - USDLU0355585430Mercados emergentesRenta variable8,986,42%
 Aggregate Bond Fund (JPMorgan Funds)
JPM A (acc) - EUR (hedged)LU0430493212GlobalRenta Fija9,021,90%
JPM A (acc) - USDLU0430493139GlobalRenta Fija14,799,71%
JPM D (acc) - EUR (hedged)LU0430493725GlobalRenta Fija80,640,59%
 America Equity Fund (JPMorgan Funds)
JPM A (acc) - EURLU0217390227AméricaRenta variable183,6341,88%
JPM A (acc) - EUR (hedged)LU0159042083AméricaRenta variable16,1933,98%
JPM A (acc) - USDLU0210528500AméricaRenta variable28,9044,94%
JPM D (acc) - EURLU0217390490AméricaRenta variable21,6238,72%
JPM D (acc) - EUR (hedged)LU0159059210AméricaRenta variable14,7531,04%
JPM D (acc) - USDLU0117861202AméricaRenta variable25,0141,55%
 ASEAN Equity Fund (JPMorgan Funds)
JPM A (acc) - EURLU0441852612Asia-PacíficoRenta variable21,4521,95%
JPM A (acc) - USDLU0441851309Asia-PacíficoRenta variable23,6324,18%
JPM A (dist) - USDLU1839390173-Asia-PacíficoRenta variable110,11-
JPM D (acc) - EURLU0441853263Asia-PacíficoRenta variable18,3819,22%
JPM D (acc) - USDLU0441851994Asia-PacíficoRenta variable20,2621,49%
 Asia Growth Fund (JPMorgan Funds)
JPM A (acc) - USDLU0169518387Asia-PacíficoRenta variable33,4343,85%
JPM C (acc) - EURLU1801825867-Asia-PacíficoRenta variable117,49-
JPM D (acc) - EURLU1801825941-Asia-PacíficoRenta variable114,56-
JPM D (acc) - USDLU0169519195Asia-PacíficoRenta variable140,7140,64%
 Asia Pacific Equity Fund (JPMorgan Funds)
JPM A (acc) - EURLU0441855714Asia-PacíficoRenta variable20,1732,64%
JPM A (acc) - USDLU0441854154Asia-PacíficoRenta variable22,2435,15%
|< 1 2 3 4 5 ...  > >|1 - 25 de 478