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Jpmorgan Investment Funds - Global Income Conservative Fund D (acc) - Eur (0P00018WK1)

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102.550 +0.180    +0.18%
00:00:00 - Closed. Currency in EUR
Type:  Fund
Market:  Luxembourg
Issuer:  JPMorgan Asset Management (Europe) S.à r.l.
ISIN:  LU1458464713 
Asset Class:  Other
  • Morningstar Rating:
  • Total Assets: 1.2B
JPMorgan Investment Funds - Global Income Conserva 102.550 +0.180 +0.18%

Jpmorgan Investment Funds - Global Income Conservative Fund D (acc) - Eur Overview

 
On this page you'll find an in-depth profile of Jpmorgan Investment Funds - Global Income Conservative Fund D (acc) - Eur. Learn about the key management, total assets, investment strategy and contact information of 0P00018WK1 among other information.
Category

EUR Cautious Allocation - Global

Total Assets

1.2B

Expenses

1.80%

Inception Date

Oct 12, 2016

Investment Strategy

To provide regular income by investing primarily in a conservatively constructed portfolio of income generating securities, globally, and through the use of derivatives. Multi-asset approach, leveraging specialists from around JPMorgan Asset Management's global investment platform, with a focus on risk-adjusted income. Flexible implementation of the managers’ allocation views at asset class and regional level. May vary its allocation in response to market conditions, however will aim to have a higher allocation to debt securities than to other asset classes. Conservatively constructed portfolio, with a volatility comparable to that of the benchmark over a three to five year period.

Contact Information

Address European Bank & Business Centre 6, route de Trèves
Luxembourg, L-2633
Luxembourg
Phone +352 34 101

Top Executives

Name Title Since Until
Gerhardt (Gary) P. Herbert Portfolio Manager 2021 Now
Biography Mr. Herbert has been an employee of JPMIM and the Head of GTAA and Diversified Strategies in the U.S for MAS since 2020Gary is a portfolio manager and head of global credit. Gary joined Brandywine Global in March 2010, bringing with him over 20 years of high yield experience. Previously, Gary was a Managing Director, Portfolio Manager with Guggenheim Partners, LLC (2009-2010); a Managing Director, Portfolio Manager with Dreman Value Management, LLC (2007-2009); and an Executive Director, Portfolio Manager (1999-2007) and Associate (1994-1998) with Morgan Stanley Investment Management.
Michael Schoenhaut Managing Director 2016 Now
Biography Michael Schoenhaut, managing director, is a portfolio manager on JPMAM's Multi-Asset Solutions team, based in New York. Michael is responsible for a global suite of multi-asset income strategies and is lead portfolio manager across the funds. He focuses on asset allocation, portfolio construction, manager selection and risk management. He was previously a member of the SmartRetirement portfolio management team which was awarded the 2014 Morningstar U.S. Allocation Fund Manager of the Year for their efforts. An employee since 1997, Michael has held other positions within Multi-Asset Solutions, including portfolio manager for GTAA and balanced strategies and head of quantitative portfolio management. Michael earned a Bachelor of Science in Operations Research and Industrial Engineering from Cornell University and is a CFA charter holder.
Eric J. Bernbaum Executive Director 2016 Now
Biography Eric J. Bernbaum, Executive Director, CFA, is a portfolio manager within JPMorgan’s Multi-Asset Solutions Group and has responsibility for portfolio construction and the implementation of tactical asset allocations across JPMorgan’s Multi-Asset Solutions Group. Mr. Bernbaum joined JPMorgan in 2008. Eric holds a B.S. in Applied Economics and Management with a concentration in Business and Finance from Cornell University.
Matthew G. Pallai Executive Director 2019 2020
Biography Matthew Pallai, executive director, is a member of the Multi-Asset Solutions (MAS) group. Based in New York, he is the portfolio manager with responsibility across balanced and outcome oriented advisory model portfolio solutions. Prior to joining the MAS team, Matthew was a portfolio manager in the Global Fixed Income Currency & Commodities group (GFICC) working on unconstrained multi-sector fixed income strategies. In GFICC, Matthew focused on portfolio construction, sector allocation, and macroeconomic strategy, in addition to having lead responsibility for securitized investments within unconstrained products. Previously, he has held positions on both the Agency and Non-Agency Mortgage Teams within GFICC, where he was responsible for analyzing and trading residential mortgage-backed securities. An employee of since 2003, Matthew began his tenure at the firm as an analyst on the Mortgage Team (GFICC), where he developed and maintained quantitative relative value tools and assisted senior investors with security selection. Matthew holds a B.A. in mathematics from Boston College and an M.A. in economics from New York University.
Talib Sheikh Lead Portfolio Manager 2016 2018
Biography Talib Sheikh joined Fidelity in October 2023 and took on the Lead Portfolio Manager responsibilities for Fidelity’s Multi Asset Income strategies from January 2024. He works closely with Co-Portfolio Managers George Efstathopoulos and Becky Qin, using the well-established team-based approach. Talib’s career in the finance industry spans almost three decades with extensive experience in asset allocation and portfolio construction in multi asset income investing. Talib’s career includes a twenty-year tenure at JP Morgan Asset Management where he was a portfolio manager for core strategies including the company’s flagship multi asset income strategy. More recently Talib was the Head of Multi Asset Strategies at Jupiter Asset Management where he also managed multi asset income strategies. He received his Master of Science in International Agricultural Marketing from University of Newcastle Upon Tyne. He is a CFA Charterholder.
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