Fundsupermart.com
Licensed Custodian, Dealer and Financial Adviser.   CPFIS Registered Investment Administrator
  • Home
  • Tools & Fund News
  • Factsheets

JPM EMERGING MARKETS EQUITY A (DIST) USD

INVESTMENT OBJECTIVE

To provide long-term capital growth by investing primarily in emerging markets equities. At least 67% of the Sub-Fund’s total assets (excluding cash and cash equivalents) will be invested in equity and equity linked securities of companies that are incorporated under the laws of, and have their registered office in, an emerging markets country, or that derive the predominant part of their economic activity from emerging market countries, even if listed elsewhere.

View Fund Manager J.P. MORGAN ASSET MANAGEMENT

FUND INFO

Asset Class Equity
Sector General
Geographical Allocation Emerging Markets
Included under CPFIS OA No
Included under CPFIS SA No
Included under SRS No
MAS Registration Recognised
CPF Risk Classification NA
FSM Risk Rating 9 - Higher Risk
Latest NAV Price USD 30.49 (May 21, 2015)
Fund Size USD 4,217.10 million
Launch Date April 7, 1994
Launch Price USD 1
Right To Cancel No

All funds are based on forward pricing basis. The only exceptions are Cash Fund and Philip Money Market which are based on historical pricing.

A link to the semi-annual/annual reports will be emailed to investors by Fundsupermart.com. Investors using CPF and SRS (Non-IA holdings) may also receive hard copies of the semi-annual/annual reports by post from the fund house.

Dividend Info

Historical Dividend Yes
Frequency Annual
Cash Investment Reinvest
SRS/CPFIS Investment -

The declaration of distribution is at the sole discretion of the Fund Manager and is not guaranteed. The dividend information is for your reference only and it is not indicative of future performance.

Investment Information

Min. Initial Amount SGD 1,328.00/USD 1,000.00
Min. Subsequent Amount SGD 664.00/USD 500.00
Min. RSP Investment SGD 100.00
Min. Redemption AmountUSD 100.00
Min. Holding USD 1,000.00
RSP Special List No

Relevant Charges

FUND CHARGES

Annual Expense Ratio *
1.9% (as of December 31, 2014)
Annual Management Charge
1.5%
Annual Management Charge (Mother Fund)
-
Other Significant Fees
Please refer to information on fees in the Prospectus/Product Highlight Sheet.
*Source: Fund's Semi-Annual or Annual Report
Fund charges have been factored into the fund's NAV and investors do not need to pay additional charges.

Fundsupermart's Earnings

FSM Sales Charge
0.5% (subject to a minimum of SGD10 per transaction)
RSP Sales Charge
Permanently at 0%
FSM Switching Charge(Same Tier)
0.0%
FSM Switching Charge(between funds of different sales charges)
0.5% (subject to a minimum of SGD10 per transaction)
Platform Fee (as % of AUM)
0.125% per quarter (Cash/SRS investment only)

FUND PERFORMANCE

Offer to Bid Returns

Period 1 YR 2 YR 3 YR 4 YR 5 YR 10 YR since inception
SGD (%) 0.7 -0.7 0.8 -2.1 -0.9 5.4 -
USD (%) -4.4 -4.1 -1.4 -3.9 -0.2 7.8 -
SGD performance figures (as of April 30, 2015):Last updated on May 7, 2015
USD performance figures (as of April 30, 2015):Last updated on May 7, 2015

The performance figures in the table above are calculated using offer-to-bid prices, with any income or dividends reinvested. Performance figures of over 1 year are annualised. (Eg. A 33.1% gain in 3 years works out to a 10% gain per year when annualised.) As per MAS regulations, the offer price is based on the normal sales charge which is higher than Fundsupermart's discounted sales charge.


Bid to Bid Returns

Period 1 wk 1 MTH 3 MTH 6 MTH YTD 1 YR 2 YR 3 YR 5 YR 10 YR
SGD (%) 0.1 -2.03 -2.87 -0.89 4.02 3.18 0.45 5.59 1.7 5.63
USD (%) -0.36 -1.26 -1.58 -3.54 2.97 -3.36 -2.67 3.9 2.4 7.92
SGD performance figures (as of May 21, 2015):Last updated on May 23, 2015
USD performance figures (as of May 21, 2015):Last updated on May 23, 2015

The performance figures in the table above are calculated using bid-to-bid prices, with any income or dividends reinvested. Performance figures of over 1 year are annualised.(Eg. A 33.1% gain in 3 years works out to a 10% gain per year when annualised.)

CALENDAR YEAR RETURNS

Calendar Year 2014 2013 2012 2011 2010
JPM Emerging Markets Equity A (dist) USD (%) 3.22 -2.02 10.07 -18.15 9.8
The performance figures in the table above are calculated using bid-to-bid prices, with any income or dividends reinvested and in SGD.

3 yr Annualised Volatility 14.72 (SGD) 15.67 (USD)
3 yr Sharpe ratio 0.28 (SGD) 0.16 (USD)
The above figures (as of May 21, 2015):Last updated on May 23, 2015

FUND HISTORICAL PRICE

Period 1 yr high 1 yr low 3 yr high 3 yr low All time high All time low
Price (SGD) 43.2 36.79 43.2 34.35 54.53 9.15
Price (USD) 33.25 28.03 33.25 26.58 37.54 5.34

Historical prices shown are the NAV prices. The "All time high" and "All time low" prices are the highest and the lowest NAV prices from the first dealing date since inception and the latest available dealing date respectively.

FUND HOLIDAYS

The table below shows the fund holidays for this fund within the next 10 business days.
Singapore
June 1, 2015 (Vesak Day)
Fund Holiday
May 25, 2015 (Fund Holiday)

  • For Singapore Public Holidays and Fund Holidays declared by individual fund managers, there will not be pricing made. Fund pricing will resume on the following business day.
  • The above fund holidays are based on the latest information provided by the individual fund managers. Omissions may occur in the event that Fundsupermart is not informed on time.


All materials and contents found in this Site are strictly for information purposes only and should not be considered as an offer, or solicitation, to deal in any of the funds or products found in this Site. While iFAST Financial Pte Ltd ("IFPL") has tried to provide accurate and timely information, there may be inadvertent delays, omissions, technical or factual inaccuracies and typographical errors. Any opinion or estimate contained in this Site is made on a general basis and neither IFPL nor any of its servants or agents have given any consideration to nor have they or any of them made any investigation of the investment objective, financial situation or particular need of any user or reader, any specific person or group of persons. You should consider carefully if the products you are going to purchase into are suitable for your investment objective, investment experience, risk tolerance and other personal circumstances. If you are uncertain about the suitability of the investment product, please seek advice from a financial adviser, before making a decision to purchase the investment product. Past performance is not indicative of future performance. The value of the unit trusts and the income from them may fall as well as rise. Opinions expressed herein are subject to change without notice. Please read our full disclaimer in the website.


Switch to desktop view Switch to mobile view