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JPM Pacific Equity D Acc USD

Ranked 2 out of 9 in - Asia Pacific Including Japan over 12 months
All calculations are in EUR unless stated

Managed by

Robert Lloyd

Robert Lloyd is a country specialist for Japan equities and a member of the Japan Team within the Emerging Markets and Asia Pacific (EMAP) Equities Team at J.P. Morgan Asset Management. Based in Hong Kong, he joined the Firm in Tokyo in 2005 and then transferred to Hong Kong in 2009. Robert previously spent three years with UBS Asset Management in Tokyo as an investment analyst, initially for risk management and latterly for Japanese equities. He began his career as a collateral analyst in the credit group of Deutsche Bank, Tokyo. Robert obtained a B.A. in Literature and Linguistics from the University of Montana, USA.

Aisa Ogoshi

Aisa Ogoshi works at JP Morgan as a regional specialist for Asia Pacific inc-Japan equities and a member of the Japan team within the emerging markets and Asia Pacific (EMAP) equities team based in Hong Kong. Aisa joined the firm's equity derivatives group in Japan in 1998 and later transferred to the portfolio analysis group. In 2001, she became a portfolio manager with the Japan portfolio group and transferred to Hong Kong in 2005. Aisa obtained a B.A. in Environmental Information from Keio University, Japan.

Objective

The Sub-Fund aims to provide long-term capital growth by investing primarily in companies in the Pacific Basin (including Japan). At least 67% of the Sub-Fund's assets (excluding cash and cash equivalents) will be invested in equity securities of companies (including smaller capitalisation companies) that are domiciled in, or carrying out the main part of their economic activity in, a country in the Pacific Basin (including Japan).

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Performance

Asia Pacific Including Japan over : 31/10/2016 - 31/10/2017
  • Rank 2/9 Total Return
  • Rank 1/9 Standard Deviation
  • Rank 2/9 Max Drawdown

Total Return

Quarterly Performance

to 29/09/2017 Annual Q1 Q2 Q3 Q4
2017 8.8% 3.2% 2.2%
2016 7.2% -7.1% 5.7% 9.6% -0.3%
2015 15.1% 19.9% -1.6% -13.1% 12.3%
2014 8.3% -6.3% 5.8% 4.6% 4.4%
2013 10.8% 7.8% -1.2% 4.2% -0.1%
2012 15.0% 9.7% -3.3% 4.1% 4.2%
2011 -14.9% -6.1% -1.1% -12.7% 4.8%
2010 24.9% 11.8% -1.3% 1.3% 11.7%
2009 27.2% -6.7% 20.9% 7.5% 4.9%
2008 -39.3% -19.4% -2.8% -12.2% -11.8%
2007 5.4% -2.1% 9.8% 5.0% -6.5%
2006 -3.5% 3.9% -12.3% 0.7% 5.0%
2005 41.2% 4.8% 6.1% 15.5% 10.1%
2004 3.5% 10.1% -8.1% -1.3% 3.7%
2003 14.9% -11.0% 8.8% 12.7% 5.2%
2002 -23.8% 6.9% -14.2% -10.4% -7.3%
2001 -12.9% -2.9% 4.2% -24.0% 13.4%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. Austria
  2. Bahrain
  3. Belgium
  4. Chile
  5. Estonia
  6. Finland
  7. France
  8. Germany
  9. Hungary
  10. Ireland
  11. Italy
  12. Jersey
  13. Luxembourg
  14. Netherlands
  15. Norway
  16. Poland
  17. Portugal
  18. Spain
  19. Sweden
  20. Switzerland
  21. United Kingdom

Fund Info

  • Launch date13/10/2000
  • Share Class size39Mn
  • Base currencyUSD
  • ISIN LU0117866854

Purchase Info

  • Min. initial investment5,000
  • Min. regular additional investment0

Charges

  • Annual management1.50%
  • Initial investment5

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Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated).