Category
A category is a way to group investments based on similar risk, return, and behavior profiles.
1 to 25 of 553 Results
|
Name
|
Ticker
|
Morningstar Category
|
Morningstar Rating for Funds
Overall
|
Portfolio ESG Risk Rating
|
Morningstar Analyst Report
|
Total Return
YTD
|
Total Return Rank in Category (Day End)
YTD, Day End
|
Adjusted Expense Ratio
|
Fee Level
Distribution
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Share Class Type
|
Minimum Initial Investment
|
|---|---|---|---|---|---|---|---|---|---|---|---|
| JPMorgan Developed International Value Fund Class R6 | JNVMX | Foreign Large Value | 12.27% | 44 | 0.550% | Low | Retirement, Large | $15M | |||
| JPMorgan Developed International Value Fund Class I | JIESX | Foreign Large Value | 12.17% | 45 | 0.750% | Below Average | Institutional | $1M | |||
| JPMorgan Developed International Value Fund Class A | JFEAX | Foreign Large Value | 11.96% | 48 | 1.000% | Below Average | Front Load | $1,000 | |||
| JPMorgan Tax Aware Real Return Fund Class I | TXRIX | Muni National Interm | — | −2.35% | 22 | 0.450% | Below Average | Institutional | $1M | ||
| JPMorgan Global Bond Opportunities Fund Class A | GBOAX | Global Bond-USD Hedged | −1.63% | 62 | 0.900% | Below Average | Front Load | $1,000 | |||
| JPMorgan SmartRetirement® Blend Income Fund Class I | JIJSX | Target-Date Retirement | 3.92% | 10 | 0.420% | Above Average | Institutional | $1M | |||
| JPMorgan SmartRetirement® Blend Income Fund Class R5 | JIBBX | Target-Date Retirement | 4.03% | 9 | 0.270% | Below Average | Retirement, Large | $0 | |||
| JPMorgan Developed International Value Fund Class R5 | JPVRX | Foreign Large Value | 12.22% | 44 | 0.650% | Below Average | Retirement, Large | $0 | |||
| JPMorgan SmartRetirement® Blend Income Fund Class R4 | JITKX | Target-Date Retirement | 3.93% | 10 | 0.420% | Above Average | Retirement, Large | $0 | |||
| JPMorgan Global Bond Opportunities Fund Class I | GBOSX | Global Bond-USD Hedged | −1.44% | 51 | 0.650% | Average | Institutional | $1M | |||
| JPMorgan Developed International Value Fund Class L | JNUSX | Foreign Large Value | 12.29% | 43 | 0.790% | Average | Retirement, Large | $3M | |||
| JPMorgan Tax Aware Real Return Fund Class R6 | TXRRX | Muni National Interm | — | −2.17% | 16 | 0.350% | Below Average | Retirement, Large | $15M | ||
| JPMorgan Global Bond Opportunities Fund Class C | GBOCX | Global Bond-USD Hedged | −1.93% | 79 | 1.300% | Low | Level Load | $1,000 | |||
| JPMorgan SmartRetirement® Blend Income Fund Class R6 | JIYBX | Target-Date Retirement | 4.08% | 9 | 0.170% | Low | Retirement, Large | $5M | |||
| JPMorgan Global Bond Opportunities Fund Class R6 | GBONX | Global Bond-USD Hedged | −1.43% | 50 | 0.500% | Low | Retirement, Large | $15M | |||
| JPMorgan Small Cap Blend Fund Class A | VSCOX | Small Blend | 12.81% | 58 | 1.240% | Average | Front Load | $1,000 | |||
| JPMorgan SmartRetirement® Blend 2030 Fund Class R6 | JRBYX | Target-Date 2030 | 6.17% | 38 | 0.170% | Low | Retirement, Large | $5M | |||
| JPMorgan Core Plus Bond Fund Class R5 | JCPYX | Intermediate Core-Plus Bond | — | −2.10% | 16 | 0.470% | High | Retirement, Large | $0 | ||
| JPMorgan Hedged Equity 2 Fund Class I | JHQDX | Equity Hedged | 9.33% | 28 | 0.590% | Low | Institutional | $1M | |||
| JPMorgan Equity Income Fund Class R6 | OIEJX | Large Value | 13.69% | 40 | 0.450% | Below Average | Retirement, Large | $15M | |||
| JPMorgan U.S. Value Fund Class R5 | VGIFX | Large Value | 12.95% | 46 | 0.540% | Below Average | Retirement, Large | $0 | |||
| JPMorgan U.S. Large Cap Core Plus Fund Class R2 Shares | JLPZX | Large Blend | 7.99% | 80 | 1.400% | High | Retirement, Medium | $0 | |||
| JPMorgan Corporate Bond Fund Class I | CBFSX | Corporate Bond | −3.35% | 79 | 0.500% | Below Average | Institutional | $1M | |||
| JPMorgan Investor Growth & Income Fund Class A | ONGIX | Moderate Allocation | 5.46% | 58 | 0.950% | Below Average | Front Load | $500 | |||
| JPMorgan Europe Dynamic Fund Class L | JFEIX | Europe Stock | 4.04% | 61 | 0.850% | High | Retirement, Large | $3M |
This list shows only funds that are open to new purchases or limited and does not include funds that are closed to new investments.