The income challenge is changing
With interest rates rising around the world, investors are rethinking their income strategies. But rapid central bank tightening to combat inflation is contributing to volatility, while real yields are still negative in many markets.
Seek attractive, consistent income across sectors with the J.P. Morgan Income Fund
JPMorgan Funds – Income Fund invests dynamically across fixed income sectors, seeking the highest income consistent with a managed level of risk. This risk profile is achieved through genuine diversification*, leveraging the sector expertise of our entire global fixed income platform.
* Diversification does not guarantee positive returns and does not eliminate the risk of loss.
Why fixed income with J.P. Morgan Asset Management?
Our fixed income funds are founded on active security selection, rigorous risk management and the integration of environmental, social and governance (ESG) factors**—all backed by a powerful combination of deep investment expertise, global resources and time-tested processes.
In actively managed assets deemed by J.P. Morgan Asset Management to be ESG integrated under our governance process, we systematically assess financially material ESG factors amongst other factors in our investment decisions with the goals of managing risk and improving long-term returns. ESG integration does not change a strategy’s investment objective, exclude specific types of companies or constrain a strategy’s investable universe.
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