WHY INVEST IN THE JPMORGAN GLOBAL BOND FUND?
A Lower-volatility Solution for Choppy Market Conditions
The JPMorgan Global Bond Fund invests primarily in global debt securities markets. Historically, global bond investing is a diversified fixed income strategy which exhibits lower volatility.
Globally Diversified, "Best Ideas" Portfolio
The Fund offers investors access to a wide range of global debt securities issued by international governments, quasi-government organisations, agencies, financial institutions and corporations, with the aim of achieving a return in excess of global bond markets.
RMB Investor Friendly
The Fund is the first SFC-authorised global bond fund to offer RMB-hedged share classes Δ – with distributive and accumulative choices – giving RMB investors another avenue for investment.
ΔSource: Morningstar and the authorised funds listed on the Securities and Futures Commission (SFC) website as of 31.03.2015. The authorisation from SFC does not imply official recommendation.
WHO MIGHT CONSIDER INVESTING IN THIS FUND?
Diversified exposure to global investment grade bonds
Flexible country and sector allocation to lower volatility
An alternative avenue for their RMB assets
Investors should seek professional advice regarding the suitability of any investment products. Investors should note that different asset classes have varying risk/return profiles.