Leveraging the power of cash segmentation
A detailed cash forecast sets the foundation for effective cash segmentation, which has become an increasingly important tool for short-term fixed income investors. Segmenting a liquidity portfolio into operating cash, reserve cash and strategic cash allows for an optimal outcome: additional return/income within acceptable levels of volatility.
Building stronger liquidity strategies
Our investment strategies
Get the latest
News and fund announcements
|May 15, 2018||Memorial Day US Spring Bank Holiday UK Vesak Day 2018|
|May 01, 2018||Labour Day & Early May Bank Holiday (UK) 2018|
|April 01, 2018||Sydney Daylight Saving Time Change|
|March 29, 2018||Good Friday & Easter Monday 2018|
|March 25, 2018||Europe Daylight Saving Time Change|
|March 02, 2018||US Daylight Saving Time Change|
|February 15, 2017||President’s Day 2018|
|January 22, 2017||Australia Day 2018|
|December 14, 2017||New Years Eve 2017 New Years Day 2018|
|December 14, 2017||Christmas Day 2017|
|October 18, 2017||Deepavali Day (Singapore) 2017 Holiday Information|
|October 09, 2017||Columbus Day (U.S.) 2017 Holiday Information|
European Money Market Fund Reform Resource Centre
J.P. Morgan is committed to helping you get ahead of the regulatory changes to come. With over 30 years of experience helping liquidity investors navigate through various market cycles, we are uniquely positioned to see you through this period of transition.
Case study: Providing a successful short-term liquidity strategy to Alibaba
Find out how the treasury team at Alibaba Group overcome their liquidity challenges by utilising the RMB money market fund offerings distributed by J.P. Morgan Global Liquidity.