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    1. Equity

    J.P. Morgan Asset Management

    Equity

    Driven by active research

    Equity insights

    Actively managed equity solutions

    Our equity funds are powered by the diverse perspectives and local expertise of our experienced research analysts and portfolio managers, with the sole focus of delivering superior long-term risk-adjusted returns for investors.

    The cornerstone of our approach to equity investing is our dedication to global research. Our extensive expertise in markets around the world, and collaboration across regions and sectors, helps us uncover truly compelling investment opportunities.

    380+

    dedicated equity investment professionals1

    USD 611bn

    equity assets under management2

    8

    equity investment centres located around the world3

    Featured equity solutions

    Global & US equities

    • JPMorgan Funds – Global Growth Fund
    • JPMorgan Funds – US Value Fund
    • JPMorgan Investment Funds – Global Dividend Fund

    Asian equities

    • JPMorgan Asia Equity Dividend Fund
    • JPMorgan China Pioneer A-Share Fund
    • JPMorgan Funds – Asia Pacific Income Fund*
    • JPMorgan Asia Growth Fund
    • JPMorgan China A-Share Opportunities Fund
    • JPMorgan Funds – China Fund

    Thematic equities

    • JPMorgan Sustainable Infrastructure Fund
    • JPMorgan Funds – Global Healthcare Fund
    • JPMorgan Funds – US Technology Fund
    • JPMorgan Pacific Technology Fund

    *The Fund is a multi-asset fund.

    J.P. Morgan Asset Management for equity

    Our equity expertise is founded on deep resources across regions and sectors, and a commitment to nurture the brightest talent. Delivering consistent results is at the heart of everything we do.

    Research driven


    Benefit from the local market expertise and deep resources of our globally integrated team of experienced equity investment professionals.

    Actionable insights


    Gain a broader view on equity markets with our timely macro and market views and be guided by our proprietary portfolio insights and equity analytic tools.

    Outcome oriented


    Invest across a broad range of actively managed equity strategies, covering multiple investment styles and geographies.

    Demonstrated results


    Partner with one of the world’s leading equity managers and benefit from our long history of innovation and success.

    Awards & accolades

    Asian Private Banker Asset Management Awards for Excellence 20234

    House of the Year – Overall

    Best Fund Provider - China A-Shares Equity

    Best Fund Provider – ASEAN Equity

     


     

     

    Refinitiv Lipper Fund Awards Hong Kong 2022 5

    Best Fund Group – Overall

    Best Fund over 5 Years – Equity Global Income – JPM Global Dividend A (dist) - USD

    Best Fund over 10 Years – Equity Greater China – JPM Greater China A (dist) - USD

    Best Fund over 10 Years – Equity Sector Information Tech – JPM US Technology A (dist) - USD

    AsianInvestor Asset Management Awards 20226

    Fund House of the Year Awards – Hong Kong

     

     

     

     

     

    .

    Equity insights

    Investment Ideas Market bulletin
    Investment Ideas

    Digital transformation: the investment opportunities in education

    Digital education helps enhance the learning experience, driving new growth opportunities.

    Read more

    Sustainable investing

    Learn more about sustainable investing and ESG funds and read insights to help you align your values and financial goals.

    Read more

    Portfolio Q&A: Income Fund

    Flexibility is at the heart of our approach to fixed income markets.

    Read more

    Positioning for income as silver linings emerge

    Income investing can help tap investment opportunities while managing volatility through cash flows from a diversified portfolio of income generating assets.

    Read more

    Managing volatility

    Insights and products to help you cut through the noise and keep your portfolio on track.

    Read more

    At a crossroad as rates rise? Here’s what a bond indicator is telling us

    Rising government bond yields have presented more room to manage the impact of rate hikes. How big is this leeway?

    Read more

    Rediscover China’s equity opportunities as borders reopen

    We share the key themes driving equities as China reopens.

    Read more

    ASEAN is big … and getting bigger in portfolios?

    We share the key themes that are driving equity investment opportunities in ASEAN.

    Read more

    Understanding sustainable infrastructure with 3 cool facts

    Learn about how sustainable infrastructure helps drive the development of metaverse and electric vehicles.

    Read more

    Active bond investing as the world lives with inflation

    We share our views on the fixed income opportunities in the current tough times.

    Read more

    Spotlight on healthcare investing: is the smart pen mightier than the sword?

    Increasing demand for healthcare services globally is presenting growth opportunities.

    Read more

    Taking cues from elite athlete training when investing for the long term

    Long-term investing could be likened to day-to-day trainings of athletes. Learn how to stay invested in changing markets.

    Read more

    Harnessing diversification in your monthly fund investing journey

    Learn how diversification can help you stay invested in changing markets.

    Read more

    How do we manage quality, income & risk in a bond portfolio?

    We believe that quality and yield opportunities can still be found in bonds.

    Read more

    Mapping out an income journey as the winds change

    We share our ideas on how to navigate an income journey as market conditions change.

    Read more

    Seeking diversification in a ‘prosperity pot’ to help drive income opportunities

    Consider diversity across regions, assets and sectors in an income portfolio.

    Read more

    The secret to effective diversification

    Diversification sounds easy, but how to do it effectively?

    Read more

    What is key in a tailor-made retirement plan?

    You shouldn't miss out these 3 factors when planning for retirement.

    Read more

    Securitisation: Then and now

    The securitisation market has regained much ground in the past decade.

    Read more

    Securitisation 101: What are ABS and MBS?

    Fixed income isn’t just government or corporate bonds, it also includes non-traditional debt securities.

    Read more

    5 FAQs on long-term investing: starting out

    Start an investment journey early and map out the financial goals.

    Read more

    5 FAQs on long-term investing: staying invested

    Consider the available investment options as you embark on your investing journey.

    Read more

    Navigating income opportunities in volatile times

    Income investing remains relevant in the current market environment, as volatility is poised to remain elevated.

    Read more

    What to know about sustainable & traditional infrastructure

    We share a perspective on sustainable and traditional infrastructure.

    Read more

    Do you know how we report on climate-related risks & opportunities?

    We share how we report on the risks and opportunities in climate change investing.

    Read more

    Investing to help shape a new urban environment

    We discuss how urbanisation is driving opportunities in the infrastructure space.

    Read more

    Eyes on the future: medical technology

    How technology is advancing the process of diagnosis – listening, observing, enquiring and examining – while presenting market opportunities.

    Read more

    Climate change: a sustainable investing megatrend

    We discuss five megatrends related to climate change and the investment implications.

    Read more

    Eyes on the future: autonomous vehicles

    The development of autonomous cars creates new investment opportunities.

    Read more

    Cutting through the noise to seek out opportunities in China (part 2)

    We share our China equity investing insights on the 3 sectors to focus on in the near term.

    Read more

    Cutting through the noise to seek out opportunities in China (part 1)

    We share a 2H 2022 market outlook on the key themes in China equity investing.

    Read more

    Eyes on the future: smart cities

    Harnessing innovative digital and communications technologies for new economic growth opportunities.

    Read more

    Investing for a changing world

    We share our perspectives of sustainable investing in an overall portfolio.

    Read more

    Turning to Asia in the drive for equity income potential

    Asia is more than a growth story. Find out why Asian dividends are back in the spotlight.

    Read more

    Sustainable Investing Solutions

    Sustainable Investing Solutions

    Read more

    Seeking long-term growth opportunities among the old & new in ASEAN

    ASEAN is gaining momentum with its mix of old & new economies.

    Read more

    Why Asia can be a fertile ground for dividend-paying equities

    Is Asia presenting ample opportunities for dividend-paying equities? We believe so.

    Read more

    Bonds 101: ‘ABS’ and ‘MBS’ as a diversifier in a portfolio

    Going beyond the traditional fixed income sectors to tap into the potential of securitisation.

    Read more

    Positioning a fixed income portfolio for rising rates? We share 3 pointers

    We share our perspectives on positioning for income as rates rise.

    Read more
    Market bulletin

    Banking turmoil does little to shift Fed’s focus from the inflation war

    This paper summarizes the key highlights from the latest Federal Open Market Committee meeting. (3-min read)

    Read more

    SVB and the Fed: Braking Point not Breaking Point

    This paper summarizes the failure of Silicon Valley Bank and the implications on Fed policy and investments. (3-min read)

    Read more

    Dovish undertones with more tightening to come

    This paper summarizes the key highlights from the latest Federal Open Market Committee meeting. (3-min read)

    Read more

    The Fed remains determined to fight inflation

    The Federal Open Market Committee (FOMC) voted unanimously to raise the Federal funds rate target range by 0.50% to 4.25%-4.50%. (3-min read)

    Read more

    The Fed giveth, and the Fed taketh away

    The Federal Open Market Committee (FOMC) voted to raise the Federal funds rate by 0.75% to a range of 3.75%-4.00%. (3-mins read)

    Read more

    Hawkish moves and hawkish guidance

    The Federal Open Market Committee (FOMC) voted to raise the Federal funds rate by 0.75% to a range of 3.00%-3.25%. (3-mins read)

    Read more

    Who will ride out the DM turbulence best?

    Recession warnings from the U.S. and Europe threaten to derail Asian economies’ nascent recovery, mainly through a drag on export demand.

    Read more

    Understanding U.S. recessions

    This paper addresses the characteristics of U.S. recessions, the economic and market indicators that would help to identify the threat of recessions with its investment implications.

    Read more

    A commitment to data dependency suggests a less hawkish Fed going forward

    The Federal Open Market Committee (FOMC) voted to raise the Federal funds rate by 0.75% to a range of 2.25%-2.50%. (3-mins read)

    Read more

    The Rocky Road to Normal: A 2022 Mid-Year Review

    Learn more about the investment outlook for the second half of 2022 and how investors should position themselves through a challenging recovery and rising inflation.

    Read more

    More hawkish Fed raises recession risks

    The message from the committee is clear, the Fed will expeditiously raise interest rates given it is “strongly committed” to tame inflation. (3-mins read)

    Read more

    More tightening and more guidance from the Fed

    As widely anticipated, the Federal Open Market Committee voted to raise the Federal funds target rate range by 0.50% to 0.75%-1.00% and signaled similar 50 basis point rate increases would be on the table for the next couple of meetings. (3-mins read)

    Read more

    Russia-Ukraine Chart Pack

    The Russia-Ukraine Chart Pack aims to help investors understand the investment implications of the current situation in Russia and Ukraine holistically and why it is important to stay invested

    Read more

    The investment implications of COVID-19

    This paper, written by David Kelly, provides an update on the investment implications of COVID-19.

    Read more

    Cyclical tailwinds vs. secular headwinds in Asia ex-Japan equities

    This paper, written by Dr. Jasslyn Yeo, explains why cyclical tailwinds support a positive stance for Asia ex-Japan equities this year, and why persisting secular headwinds mean that the investment case for Asia ex-Japan growth stocks remains strong.

    Read more

    China’s path to policy normalization

    This paper, written by Chaoping Zhu, discusses the potential path for China’s policy normalization after the country’s economy recovered from COVID-19.

    Read more

    What are the implications of the Brexit deal for the economy and markets?

    It is hard to remember a time when Brexit was not dominating British headlines, but at the midnight hour, UK and EU negotiators finally reached agreement on a new trade deal. This piece addresses the key questions surrounding the deal: what is covered, how does it impact the outlook for the UK economy, and what are the market implications?

    Read more

    Northeast and Southeast Asia paving the way to prosperity

    This paper, written by Ian Hui and Alex Cheung, analyzes the recovery of various Asian economies from the COVID-19 pandemic and discusses the near-term and longer-term regional outlook.

    Read more

    Rebalancing for high-quality growth: What to expect from China’s new five-year plan

    This paper, written by Chaoping Zhu, gives our prospects about China’s upcoming 14th five-year plan. To be approved in October and implemented during 2021 to 2025, this plan will have profound impacts to Chinese economy and financial market.

    Read more

    A commitment to easy money

    This paper, written by David Kelly, addresses the FOMC's September meeting announcement.

    Read more

    UK monetary and fiscal stimulus – Unprecedented shock, unprecedented response

    This paper, written by Karen Ward, highlights the recent rate cut by the Bank of England and its investment implications.

    Read more

    The investment implications of COVID-19: March 17 update

    This paper written by Dr. David Kelly updates the latest on the coronavirus impact to global markets.

    Read more

    The COVID-19 Relief Bill-Holding the Economy in Suspended Animation

    This paper, written by Dr. David Kelly, reviews the U.S> relief bill and its investment implications.

    Read more

    A COVID-driven spike in claims

    This paper, written by David Lebovitz and Meera Pandit, reviews the surge in U.S. initial claims for unemployment and its investment implications.

    Read more

    What is the Fed doing and what does it mean for fixed income?

    This paper, written by David Lebovitz, Alex Dryden, and Jack Manley, reviews the latest U.S. Fed increased liquidity actions and its investment implications.

    Read more

    Chinese GDP in Recession amid Virus Outbreak

    This paper, written by Chaoping Zhu, discussed the performance and outlook of Chinese economy, policies amid the global pandemic and implication for investors.

    Read more

    1Q20 earnings: Virus oddity

    This paper, written by David Lebovitz and Tyler Voigt, reviews the 1Q 2020 U.S. earnings results and the significant volatility that has taken place.

    Read more

    The Great Glut: A historic supply and demand shock in the oil market

    This paper, written by Tillman Galler and Kerry Craig, discusses the latest movements in the oil markets amid the global pandemic and implication for investors.

    Read more

    Monetary Medicine until the Patient is on the Mend

    This paper addresses the FOMC's April meeting announcement.

    Read more

    The Fed’s balance sheet: To infinity and beyond

    To frame the balance sheet discussion, we consider the impact to real GDP, employment and inflation under each recovery scenario.

    Read more

    Enhance yields with Chinese bonds in the zero interest rate era

    This paper, written by Ian Hui and Chaoping Zhu, looks at the attractiveness of the Chinese bond market in the current global environment.

    Read more

    China’s 2Q GDP and June economic data improve on post-COVID rebound

    This paper, written by Marcella Chow and Chaoping Zhu, discusses the rebound in Chinese economic activity and its implications for investors.

    Read more

    Introducing our Asia COVID-19 tracker

    This paper, written by Ian Hui and Alex Yeo, provides a framework for comparing the policy responses and risks faced by Asian economies from the pandemic.

    Read more

    The European Central Bank levels up its stimulus efforts

    Today’s actions from the European Central Bank (ECB) were at the upper end of market expectations.

    Read more

    The European Central Bank aims to ‘thread the needle’

    This paper, written by Jai Malhi, examines the European Central Bank meeting outcome and its investment implications.

    Read more

    Cash: it’s what you do with it that matters

    This paper, written by David Lebovitz and Tyler Voigt, highlights the short-term and long-term uses of corporate cash investors could take advantage of within their portfolios.

    Read more

    4Q19 Earnings: Lots of moving parts

    This paper, written by David M. Lebovitz and Tyler J. Voigt, reviews 4Q19 U.S. earnings with performance of various sectors and its investment implications.

    Read more

    The Investment Implications of the 2020 Election

    This paper, written by Dr. David Kelly, Hannah Anderson and Meera Pandit, addresses the upcoming U.S. election and its investment implications.

    Read more

    2019 Market Bulletins

    Market Strategists provide commentary and analysis on the latest events and their likely impact on the markets and investing.

    Read more

    Provided for information only based on market conditions as of date of publication, not to be construed as investment recommendation or advice. Forecasts, projections and other forward looking statements are based upon current beliefs and expectations, may or may not come to pass. They are for illustrative purposes only and serve as an indication of what may occur. Given the inherent uncertainties and risks associated with forecast, projections or other forward statements, actual events, results or performance may differ materially from those reflected or contemplated.

    Diversification does not guarantee investment return and does not eliminate the risk of loss. Yields are not guaranteed. Positive yield does not imply positive return.

    1. Source: J.P. Morgan Asset Management. As of 30.09.2022. Includes portfolio managers, research analysts, traders and investment specialists with VP title and above.
    2. Source: J. P. Morgan Asset Management. As of 30.09.2022. Figures include equities managed in multi-asset products but excludes joint ventures.
    3. Source: J. P. Morgan Asset Management. As of 30.09.2022.
    4. Asian Private Banker Asset Management Awards for Excellence are issued by Asian Private Banker in the year specified, reflecting product performance, business performance, service competency, branding and marketing as at the previous calendar year end.
    5. Issued by Refinitiv Lipper, 2022 award, reflecting performance as of 31.12.2021. Refinitiv Lipper Fund Awards, ⓒ 2022 Refinitiv. All rights reserved. Used by permission and protected by the Copyright Laws of the United States. The printing, copying, redistribution, or retransmission of this content without express written permission is prohibited.
    6. Issued by AsianInvestor, 2022 award, reflecting performance as at the previous calendar year end.

    Investment involves risk. Not all investments are suitable for all investors. Past performance is not a reliable indicator of current and future results. Please refer to the offering document(s) for details, including the risk factors. Investors should consult professional advice before investing. Investments are not similar to or comparable with fixed deposits. The opinions and views expressed here are as of the date of this publication, which are subject to change and are not to be taken as or construed as investment advice. Estimates, assumptions and projections are provided for information only and may or may not come to pass. This document has not been reviewed by the SFC. Issued by JPMorgan Funds (Asia) Limited.

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    Important: This area of the website is intended only for distributors of JPMorgan Funds (Asia) Limited. Information is not intended for retail or public distribution.

    Investment involves risk. Past performance is not indicative of future performance. In particular, funds which are invested in emerging markets and smaller companies may involve a higher degree of risk and are usually more sensitive to price movements. Investors should carefully read and consider the fund offering document(s), which contain details on investment objectives, risk factors, charges and expenses of the fund, before making any investment decisions. Information in this website does not constitute investment advice, or an offer to sell, or a solicitation of an offer to buy any security, investment product or service, nor a distribution of information for any such purpose. Informational sources are considered reliable but you should conduct your own verification of information contained herein. The above information has not been reviewed by the SFC, issued by JPMorgan Funds (Asia) Limited.

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