Explore J.P. Morgan’s all-in-one trading platform
Our all-in-one eTrading platform offers easy access to our comprehensive range of funds and investment services. You can place instructions online to buy, sell or switch funds, gain insights from our latest investment ideas and enjoy the privileges with our exclusive eScheduler, Price Alert and ePoints Rewards services.
Trade smart. Start using our eTrading platform now!
eScheduler – monthly fund investment
Invest monthly on the day of your choice! On J.P. Morgan’s eScheduler, you decide on the timing and the exact amount to invest each month online. You also have the flexibility to make adjustments to suit your varying needs at different times.
Online payment solutions
We offer fund share classes denominated in different currencies to help you minimise foreign exchange costs.
You can also make payments online anytime for greater convenience.
ePoints – Invest and enjoy rewards!
Available exclusively to our eTrading customers, the ePoints Reward Scheme allows you to earn ePoints either through Lump Sum or eScheduler investments.
You can use the accumulated ePoints to waive your subscription fee^*!
Special offers to celebrate your birthday!
Enjoy 0% subscription and switching fee^* on one calendar day during your birthday month (unlimited transactions on the same day).
^ Please note that investing in our funds involves ongoing charges up to 2.18%#, which include management fees and other ongoing expenses.
Stay on top of the latest opportunities
Our e-newsletter delivers a selection of inspiring investment ideas, which includes top-of-mind investment topics, the latest market views and investment strategy, as well as promotional privileges and event invitations. Subscribe now to keep you abreast of the latest happenings!
* Normal subscription fee: 3-5%. Terms and conditions apply.
# The aforementioned 2.18% ongoing charges figure refers to that of JPMorgan Global Property Income Fund and is for illustrative purposes only. Such figure is based on the annualised expenses for the period from 1 October 2018 to 30 September 2019 according to the audited annual report for the period ended on 30 September 2019 and may vary from year to year. The ongoing charges figure of each fund varies. For details, please refer to the respective product key facts statements of the funds. Information as of 30 September 2019.