JPM US Dollar Liquidity C (acc.) - J.P. Morgan Asset Management
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Overview

Objective

7 Country exposure will include the counterparty domicile for repurchase agreements.

Performance

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Portfolio

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Management

Fees

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Documents

Disclaimer

3 The NAV of the fund was rebased on 24 September 1999 to 10,000. The performance figures shown reflect the fund returns from the date of the rebase.
7 Country exposure will include the counterparty domicile for repurchase agreements.