Skip to main content
logo
  • Funds

    Fund Explorer

    • Search our funds

    Capabilities

    • Fixed Income
    • Equities
    • Multi-Asset
    • Alternatives
    • Liquidity
    • ETFs

    Fund Information

    • Fund news and announcements
    • Regulatory updates
    • Administrative information
    • Best execution reports
    • Capacity management
    • Policies
    • Legal Documents
    • How to invest
  • Investment Themes
    • UK Capabilities
    • Sustainable Investing
    • Fixed income revival
    • Investing in China
    • Market volatility
  • Insights

    Market Insights

    • Market Insights Overview
    • Guide to the Markets
    • Guide to Alternatives
    • On the Minds of Investors
    • The Weekly Brief
    • Investment Principles
    • Investment Outlook
    • Monthly Market Review
    • Insights App
    • ESG Explained

    Portfolio Insights

    • Fixed Income Insights
    • Monthly Strategy Report
    • Asset Allocation Views
    • Equity Views
    • Factor Views
    • Long-Term Capital Market Assumptions
    • Global Alternatives Outlook
    • ETF Perspectives

    Webconferences and Events

    • Webconferences
    • Guide to the Markets
  • Library
  • About Us
    • Diversity, Equity and Inclusion
  • Contact Us
  • Role
  • Country
  • Search
    Search
    Menu
    You are about to leave the site Close
    J.P. Morgan Asset Management’s website and/or mobile terms, privacy and security policies don't apply to the site or app you're about to visit. Please review its terms, privacy and security policies to see how they apply to you. J.P. Morgan Asset Management isn’t responsible for (and doesn't provide) any products, services or content at this third-party site or app, except for products and services that explicitly carry the J.P. Morgan Asset Management name.
    CONTINUE Go Back
    1. Global Macro Strategy

    • LinkedIn Twitter Facebook

    Target positive performance and diversification

    Our global macro strategy targets the positive performance and diversification that portfolios need in challenging market conditions.

    Global macro strategy

    Our strategy distils macro themes into flexible multi-asset portfolios that can seek positive returns even when markets are volatile.
    jpm-global-macro-strategy-box1-en
    jpm-global-macro-strategy-box2-en
    jpm-global-macro-strategy-box3-en

    Global macro solutions

    We draw on vast resources and specialist insight to build portfolios that reflect our changing world. This tried-and-tested approach is available through a choice of funds to suit different risk/return appetites.
    JPM Global Macro

    JPM Global Macro Sustainable Fund

    < 8% expected realised volatility

    View the fund's price and performance
    JPMorgan Global Macro Opportunities

    JPM Global Macro Opportunities Fund

    < 10% expected realised volatility

    View the fund's price and performance

    We also offer a sustainable fund using the global macro strategy in our SICAV range. JPMorgan Investment Funds – Global Macro Sustainable Fund >


    These objectives are the investment manager’s internal guidelines only to achieve the fund’s investment objectives and policies as stated in the prospectus. The objectives are net of fees and subject to change. There is no guarantee that these targets will be met.

     

    Documents

    Macro funds brochure

    Download a brochure on our global macro strategy.

    Download

    Current macro themes

    See how the themes are expressed in portfolios.

    Download

    This is a marketing communication and as such the views contained herein do not form part of an offer, nor are they to be taken as advice or a recommendation, to buy or sell any investment or interest thereto. Reliance upon information in this material is at the sole discretion of the reader. Any research in this document has been obtained and may have been acted upon by J.P. Morgan Asset Management for its own purpose. The results of such research are being made available as additional information and do not necessarily reflect the views of J.P. Morgan Asset Management. Any forecasts, figures, opinions, statements of financial market trends or investment techniques and strategies expressed are, unless otherwise stated, J.P. Morgan Asset Management’s own at the date of this document. They are considered to be reliable at the time of writing, may not necessarily be all inclusive and are not guaranteed as to accuracy. They may be subject to change without reference or notification to you. It should be noted that the value of investments and the income from them may fluctuate in accordance with market conditions and taxation agreements and investors may not get back the full amount invested. Changes in exchange rates may have an adverse effect on the value, price or income of the products or underlying overseas investments. Past performance and yield are not a reliable indicator of current and future results. There is no guarantee that any forecast made will come to pass. Furthermore, whilst it is the intention to achieve the investment objective of the investment products, there can be no assurance that those objectives will be met. J.P. Morgan Asset Management is the brand name for the asset management business of JPMorgan Chase & Co. and its affiliates worldwide. To the extent permitted by applicable law, we may record telephone calls and monitor electronic communications to comply with our legal and regulatory obligations and internal policies. Personal data will be collected, stored and processed by J.P. Morgan Asset Management in accordance with our EMEA Privacy Policy www.jpmorgan.com/emea-privacy-policy. Prior to any application investors are advised to take all necessary legal, regulatory and tax advice on the consequences of an investment in the products. Investment is subject to documentation, which is comprised of the Prospectus, Key Investor Information Document (KIID) and either the Supplementary Information Document (SID) or Key Features/Terms and Conditions. These documents, together with the annual report, semi-annual report and instrument of incorporation are available free of charge from JPMorgan Asset Management (UK) Limited.


    This communication is issued in the UK by JPMorgan Asset Management (UK) Limited, which is authorised and regulated in the UK by the Financial Conduct Authority. Registered in England No: 01161446. Registered address: 25 Bank Street, Canary Wharf, London E14 5JP. 

    J.P. Morgan Asset Management

    • Terms of use
    • Privacy policy
    • Cookie policy
    • Accessibility statement
    • Scams and fraud
    • Sitemap
    • Investment stewardship
    Decorative
    J.P. Morgan

    • J.P. Morgan
    • JPMorgan Chase
    • Chase

    Copyright © 2023 JPMorgan Chase & Co., all rights reserved.