JPM Global Aggregate Bond Active ETF

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8,57 EUR +0,02 EUR +0,22 %
8,56 EUR +0,01 EUR +0,08 %
Handle ETFs, Aktien, Derivate & Kryptos ohne Ordergebühren (zzgl. Spreads) beim ‘Kostensieger’ finanzen.net zero (Stiftung Warentest 12/2025)
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JPM Global Aggregate Bond Active ETF Kurs - 1 Jahr

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Emittent JPMorgan Asset Management
Auflagedatum 24.09.2025
Kategorie Festverzinsliche Wertpapiere
Fondswährung EUR
Benchmark Bloomberg Global Aggregate
Ausschüttungsart Ausschüttend
Total Expense Ratio (TER) 0,30 %
Fondsgröße 318.065.129,84
Replikationsart Keine Angabe
Morningstar Rating -

Anlageziel JPM Global Aggregate Bond Active UCITS ETF - EUR Hedged (dist)

So investiert der JPM Global Aggregate Bond Active UCITS ETF - EUR Hedged (dist): The objective of the subfund is to achieve a long-term return in excess of the Benchmark by actively investing primarily in a portfolio of investment grade debt securities, globally, using financial derivative instruments to gain exposure to underlying assets, where appropriate. The Sub-Fund aims to invest at least 67% of its assets (excluding assets held for ancillary liquidity purposes) in investment grade debt securities (including ABS/MBS), either directly or through the use of financial derivative instruments (“FDI”). Issuers of these securities may be located in any country, including emerging markets.

Der JPM Global Aggregate Bond Active UCITS ETF - EUR Hedged (dist) gehört zur Kategorie "Festverzinsliche Wertpapiere".

Werbung

Wertentwicklung (NAV)

3 Monate 6 Monate 1 Jahr 3 Jahre 5 Jahre 2026
Performance +1,11 % - - - - +1,09 %
Outperformance ggü. Kategorie +0,64 % - - - - +0,15 %
Max Verlust - - - - - -
Kurs 8,53 € - - - - 8,56 €
Hoch - - 8,59 € - - -
Tief - - 8,46 € - - -

Kennzahlen ISIN: IE000AGCIYE6

Name 1 Jahr 3 Jahre 5 Jahre 10 Jahre
Volatilität
Sharpe Ratio

Zusammensetzung

Chart Asset Allocation

Größte Positionen ISIN: IE000AGCIYE6

Name ISIN Marktkapitalisierung Gewichtung
United Kingdom of Great Britain and Northern Ireland 4.5% GB00BT7J0027 - 6,62 %
United States Treasury Notes 3.5% US91282CPE56 - 4,67 %
United States Treasury Notes 3.625% US91282CPD73 - 3,88 %
Italy (Republic Of) 4.3% IT0005611741 - 3,64 %
China (People's Republic Of) 2.04% CND10008MC01 - 2,90 %
Italy (Republic Of) 3.65% IT0005631590 - 2,46 %
China (People's Republic Of) 1.83% CND10009MKH9 - 2,19 %
Mexico (United Mexican States) 7.75% MX0MGO0000P2 - 1,94 %
JPM USD Liquidity LVNAV X (dist.) LU0103813985 - 1,91 %
Federal Home Loan Mortgage Corp. 5.5% US3132DWMY65 - 1,73 %
Summe Top 10 31,93 %

Ausschüttungen

Zahlungstermine Betrag
15.01.2026 0,07 EUR
Total 0,07 EUR