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Jpmorgan Growth Advantage Fund Class R6 (JGVVX)

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43.09 +0.39    +0.91%
20/12 - Delayed Data. Currency in USD
Type:  Fund
Market:  United States
Issuer:  JPMorgan
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 9.77B
JPMorgan Growth Advantage R6 43.09 +0.39 +0.91%

Jpmorgan Growth Advantage Fund Class R6 Overview

 
On this page you'll find an in-depth profile of Jpmorgan Growth Advantage Fund Class R6. Learn about the key management, total assets, investment strategy and contact information of JGVVX among other information.
Category

Large Growth

Total Assets

9.77B

Expenses

0.55%

Inception Date

41631

Investment Strategy

The investment seeks to provide long-term capital growth. The fund will invest primarily in common stocks of companies across all market capitalizations. It may at any given time invest a significant portion of its assets in companies of one particular market capitalization category, such as large capitalization companies. The fund invests in companies that the adviser believes have strong earnings growth potential.

Contact Information

Address 270 Park Avenue
London,NY EC2V 7EN
United Kingdom
Phone 1-800-480-4111
Fax +1 646 534 2254

Top Executives

Name Title Since Until
Larry H. Lee Managing Director 2022 Now
Biography Larry H. Lee, managing director, is a research analyst and portfolio manager within the U.S. Equity Group. Mr. Lee joined JPMorgan in 2006 and covers the financials and business services sector; he is also a co-portfolio manager of the JPMorgan Large Cap Growth Strategy. He holds a B.A. in Economics from Stanford University and an M.B.A. from University of Chicago.
Felise Agranoff - 2020 Now
Biography Felise L. Agranoff, managing director, is a portfolio manager and research analyst within the U.S. Equity Group. An employee since 2004, Felise is a co-portfolio manager of the Mid Cap Growth, Growth Advantage and Small Cap Growth Strategies. Additionally, she has research responsibility for the small and mid cap industrial sector as well as mid cap financials and business services. Prior to joining the growth team as a research analyst in 2006, Felise previously worked on the J.P. Morgan U.S. Equity Large Cap fundamental research team. Felise obtained a B.S. in Finance and Accounting from the McIntire School of Commerce at the University of Virginia. She is a member of the CFA Institute and a CFA charterholder.
Timothy RV Parton Managing Director 2002 2024
Biography Timothy Parton, managing director of J.P. Morgan Investment Management Inc. (J.P. Morgan), is a portfolio manager within the U.S. Equity Group. An employee since 1986, Tim has managed a variety of Small and Mid-Cap portfolios over his tenure. Tim has been managing the J.P. Morgan Mid Cap Growth Strategy since November 2001 and the J.P. Morgan Growth Advantage Strategy since its inception in September 2005. In addition, Tim is a co-portfolio manager on the J.P. Morgan Equity Focus Strategy and J.P. Morgan Mid Cap Equity Strategy. Tim holds a B.Sc. in Economics and Accounting from the University of Bristol in England. He is a member of both the New York Society of Security Analysts and The CFA Institute, and a CFA charterholder.
Christopher Mark Jones Managing Director 2002 2014
Biography Christopher M.V. Jones, managing director,is the CIO of the Growth and Small Cap U.S. Equity Team. An employee since 1982, Chris has had fund management and analytical responsibilities on the small cap team since 1986. He has served as the team's chief investment officer since 1993 and has headed all of our Growth investments since 2006. He holds an M.A. in history from Cambridge University and is a member of both the New York Society of Security Analysts and The CFA Institute. He is a CFA charterholder.
Ross Sakamoto Portfolio Manager 1999 2002
Biography Ross Sakamoto is Co-Director of Equity at Symphony and has over twenty years of investment experience. He is responsible for co-heading Symphony’s equity investment strategies along with Joel Drescher and overseeing the equity team’s quantitative research activities and trading. Mr. Sakamoto was an Equity Portfolio Manager of long-only and hedged strategies at Symphony from 1996 to 2002, and rejoined Symphony in 2010 as the Co-Director of Equity. In between his roles at Symphony, Mr. Sakamoto was a Director in the Quantitative Services group at Deutsche Bank Advisors and Managing Director focused on program trading at Bear Stearns & Company from 2002 to 2007. Mr. Sakamoto received his B.S. degree in Business Administration from the University of California, Berkeley
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