JPM UK Dynamic Fund B - Net Income header image

JPM UK Dynamic Fund B - Net Income

Fund

ISIN GB00B1YXHT99 / Valor 3565053

NAV (2026-07-22)
GBP 3.32+1.22%

JPM UK Dynamic Fund B - Net Income
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The JPM UK Dynamic Fund aims for long-term capital growth by primarily investing (at least 80%) in UK-based companies. It employs a bottom-up stock selection strategy, combining detailed fundamental research with quantitative analysis to explore the full range of UK equities. The fund includes a mix of large and small-cap companies and may focus significantly on specific sectors when attractive opportunities arise, striving to identify and invest in the most promising UK businesses for sustained growth over a five to ten-year period.

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Tags:
uk equities ftse all-share index bottom up

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OTHER SHARE CLASSES OF THIS FUND

JPM UK Dynamic Fund C - Net Income
JPM UK Dynamic Fund C - Net Income JPM UK Dynamic Fund C - Net Income Valor: 19943895
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Annual Return

-50%0%+50%

Risk level

110
1.19%GBP 2.38
JPM UK Dynamic Fund B - Net Accumulation
JPM UK Dynamic Fund B - Net Accumulation JPM UK Dynamic Fund B - Net Accumulation Valor: 3565062
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Annual Return

-50%0%+50%

Risk level

110
1.21%GBP 3.86
JPM UK Dynamic Fund X - Net Accumulation
JPM UK Dynamic Fund X - Net Accumulation JPM UK Dynamic Fund X - Net Accumulation Valor: 58316692
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Annual Return

-50%0%+50%

Risk level

110
1.21%GBP 2.26
JPM UK Dynamic Fund C - Net Accumulation
JPM UK Dynamic Fund C - Net Accumulation JPM UK Dynamic Fund C - Net Accumulation Valor: 19944010
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Annual Return

-50%0%+50%

Risk level

110
1.22%GBP 3.89