JPMorgan Global Allocation
Standardized Performance
as of 02/06/2023
Objective And Strategy
ObjectiveThe Portfolio seeks to maximize long-term total return.
Strategy
Invests in a broad range of equity, fixed income and alternative asset classes in the U.S. and other markets throughout the world, both developed and emerging. Ranges for the broad asset classes are: 10-90% global equity, 10-90% global fixed income, 0-60% alternatives and 0-80% cash and cash equivalents. Generally, invests at least 40% of the portfolio in countries other than the United States. May use derivatives as substitutes for securities in which the Fund can invest. Investment insights are developed through top-down macro views combined with bottom-up views of J.P. Morgan asset class specialists globally.
Principal Risks
N/A
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Global Allocation-----