The JPM Multi-Manager Alternatives Fund aims for long-term growth by investing globally in a diverse range of assets managed by several independent managers. It utilizes various alternative strategies, including merger and event-driven arbitrage, long and short equity positions, relative value and credit approaches, opportunistic macro investments, and portfolio hedging. This mix of non-traditional techniques is designed to achieve stable returns with low volatility and minimal dependence on standard stock and bond markets.
Content summarized by AI chatbot
Tags:
multi assetice bofa sofr overnight rate indexalternative strategies
Ratings & reviews
0.00
0 votes
Performance:
0.00
Innovation:
0.00
Society:
0.00
Nature:
0.00
OTHER SHARE CLASSES OF THIS FUND
JPMorgan Funds - Multi-Manager Alternatives Fund C (dist) - USD
JPMorgan Funds - Multi-Manager Alternatives Fund C (dist) - USD
JPMorgan Funds - Multi-Manager Alternatives Fund C (dist) - USD
Valor: 11850406
Annual Return
-50%0%+50%
Risk level
110
-0.20%USD 106.38
JPMorgan Funds - Multi-Manager Alternatives Fund A (acc) - SGD
JPMorgan Funds - Multi-Manager Alternatives Fund A (acc) - SGD
JPMorgan Funds - Multi-Manager Alternatives Fund A (acc) - SGD
Valor: 51733091
Annual Return
-50%0%+50%
Risk level
110
-0.18%SGD 11.20
JPM Multi-Manager Alternatives I (acc) - EUR (hedged)
JPM Multi-Manager Alternatives I (acc) - EUR (hedged)
JPM Multi-Manager Alternatives I (acc) - EUR (hedged)
Valor: 30041741