JPM Europe Dynamic (ex-UK) Fund A - Net Accumulation (GBP hedged) - J.P. Morgan Asset Management


Be driven by potential, not politics

Our unconstrained Europe Dynamic (ex-UK) Fund invests in attractive value, quality and momentum stocks, which have driven long-term stock market returns.

Morningstar 4 star *


Monthly shareclass factsheet   Monthly commentary   Quarterly fund story  

Key Points

  • Benefits from the expertise of highly- experienced managers, tapping into the insights of a team of over 40 European equity professionals.
  • Blends three complementary styles to improve risk-adjusted returns and create a portfolio that captures the best of Europe.
  • Strong record of outperformance over five years.

Source: J.P. Morgan Asset Management. Data to 31 December 2017, gross of fees. Gross fund returns are calculated from net returns by applying the fund total expense ratio (TER) which includes operating & administrative expenses (O&A). The O&A fees are accrued at the maximum rate, according to what is stated in the fund prospectus. Where the O&A fees incurred are actually lower than the accrual, this would lead to a minor overstatement of gross returns. Net returns are not impacted. Excess return calculated geometrically.

Past performance is not a reliable indicator of current and future results.

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Fund Managers

For more information about this fund, please refer to the product information below.


Important information

For Professional Clients only – not for Retail use or distribution.

This is a promotional page and as such the views contained herein are not to be taken as an advice or 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 on this page 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 at the date of publishing. They are considered to be reliable at the time of publishing, 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 product(s) or underlying overseas investments. Both past performance and yield may not be a reliable guide to current and future performance. 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 product(s), 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. You should note that if you contact J.P. Morgan Asset Management by telephone those lines may be recorded and monitored for legal, security and training purposes. You should also take note that information and data from communications with you will be collected, stored and processed by J.P. Morgan Asset Management in accordance with the EMEA Privacy Policy which can be accessed through the following website

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 Condition, copies of which can be obtained free of charge from JPMorgan Asset Management (UK) Limited. Issued by JPMorgan Asset Management (UK) Limited which is authorised and regulated in the UK by the Financial Conduct Authority. Registered in England No: 288553. Registered address: 25 Bank St, Canary Wharf, London E14 5JP.

*Morningstar Analyst rating, FE Crown rating, Rayner Spencer Mills rating, Square Mile Research rating and The Adviser Centre rating as at 01 August 2018.

Morningstar rating based on the C Net (Acc) GBP as at 01 August 2018.

Morningstar RatingsTM: © 2018 Morningstar. All rights reserved.

FE Crown Fund Ratings and FE Invest Approved © 2018 FE. All rights reserved.