JPM Multi-Manager Alternatives A (acc) - SEK (hedged)
Fund
ISIN LU1303367442 / Valor 30040528
NAV (2024-12-19)
SEK 1,023.46-0.22%
JPM Multi-Manager Alternatives A (acc) - SEK (hedged)
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General Objective
The fund aims to provide long-term capital appreciation by investing in multiple eligible asset classes globally, utilizing a variety of non-traditional or alternative strategies and techniques, and incorporating derivatives where appropriate.
Fund Exposure
The fund is characterized by a diversified allocation of assets to multiple Sub-Investment Managers not affiliated with JPMorgan Chase & Co, who implement a range of non-traditional or alternative investment strategies and techniques such as merger arbitrage, long-short equity, credit, and portfolio hedge. The fund seeks to provide returns with low volatility and low sensitivity to traditional equity and fixed income markets.
Risks
Investors in the fund are exposed to various investment risks and other associated risks from the techniques and securities used to achieve its objective. These risks include concentration, derivatives, hedging, short positions, and exposure to various securities such as commodities, equities, and debt securities. Additionally, the fund is exposed to risks related to currency, liquidity, credit, market, and interest rates, which could potentially result in loss or volatility for shareholders.