JPMorgan Funds - Income Fund D (mth) (inc) USD
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General Objective
The fund aims to provide income by primarily investing in debt securities, using a globally integrated research-driven investment process that focuses on fundamental, quantitative, and technical factors across countries, sectors, and issuers. The fund takes an unconstrained approach to finding the best investment ideas across multiple fixed income sectors and countries, with a focus on generating a consistent income distribution.
Fund Exposure
The fund is exposed to a variety of asset classes, including government debt, investment grade debt, below investment grade debt, and equities. It also has exposure to sectors such as agency MBS, high yield corporate bonds, commercial mortgage-backed securities, asset-backed securities, and non-agency MBS. The fund's portfolio includes a mix of securities with varying credit qualities and maturities.
Risks
Investors in the fund are exposed to various risks, including concentration risk, derivatives risk, hedging risk, short positions risk, and risks associated with the distribution of capital. Additionally, the fund is exposed to risks related to contingent convertible bonds, convertible securities, debt securities, equities, emerging markets, MBS/ABS, and REITs. Other associated risks include credit risk, liquidity risk, currency risk, market risk, and interest rate risk, which could impact the value of the investment and lead to potential losses or volatility.