Designed to capture Europe’s full growth potential
Maxmise your exposure to Europe’s economic resurgence with JPM Europe Dynamic (ex-UK) Fund, a high-conviction portfolio of European stocks selected by our experienced team of portfolio managers, backed by rigorous fundamental and quantitative research.
A dynamic approach for Europe’s dynamic markets
Europe’s stock markets provide access to many fast-growing, high quality and market-leading companies across the market cap spectrum. But finding the most attractive stocks with the strongest long-term growth potential requires expert stock selection driven by deep market knowledge and proprietary insight.
JPM Europe Dynamic (ex-UK) Fund benefits from an investment approach that has been constantly refined to enhance returns from Europe’s stock markets for over 35 years. The aim: to identify and invest only in those stocks with the most attractive value, quality and momentum characteristics, which we believe drive long-term outperformance.
Unconstrained exposure to the styles we seek
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1. JPM Europe Dynamic ex UK Fund Overview
Explore the JPM Europe Dynamic ex UK Fund, its role in investor portfolios, and the Portfolio Manager's outlook in this short video.
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2. Dynamic idea generation
Opportunities are identified through the lens of value, quality and momentum, within a risk-controlled framework that looks to capture Europe's most attractive companies of all sizes, and across all sectors and markets.
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3. Dynamic portfolio construction
The fund employs a disciplined investment process, integrating both quantitative and fundamental insights to drive high-conviction stock picks that capture Europe’s most attractive opportunities.
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4. Dynamic company research
Our investment decisions are driven by the insights of our portfolio managers, the research of our fundamental research analysts and the insights of our quantitative research analysts.
Not being bound by traditional index constraints means the fund can focus on those stocks that our analysis suggests have the greatest potential to drive long-term performance, rather than sticking close to the benchmark’s stock, sector and regional weightings to reduce index risk.
More scope for sector positioning relative to the benchmark
This highly selective, best ideas approach seeks to invest in quality businesses that are attractively valued and have improving outlooks. Portfolio allocations will also shift dynamically to ensure exposure is always focused on those companies that stand to benefit most from Europe’s economic trends, while avoiding those that may be left behind.
Our team of over 70 fundamental research analysts, with an average 20 years’ industry experience, employ a consistent valuation framework to analyse thousands of stocks, while our 18 quantitative research analysts constantly monitor markets to uncover risk and refine alpha signals, based on cutting-edge data science. Our experienced team of portfolio managers interrogate these proprietary fundamental and data-driven insights to manage risk effectively.
The best of our research and insights
Where to buy this fund
The following are third party providers that you can use to invest in this fund.
Why J.P. Morgan Asset Management for Europe ex-UK equity?
When you choose J.P. Morgan as your partner for investing in Europe ex-UK equities, you gain access to the full fundamental and quantitative research resources of our International Equity Group, while also benefiting from an investment approach that has been tried and tested in European stock markets for over three decades.
Contact us for more information on our fund range, or to speak to your local Client Adviser.