| JPM THEMATICS-GENETIC THERAPIES C (ACC) EUR (HEDGED) | RVI BIOTECNOLOGÍA | 21,64% | 34,43% | -21,95% | · |
| JPM THEMATICS-GENETIC THERAPIES C (ACC) USD | RVI BIOTECNOLOGÍA | 27,58% | 33,49% | -14,17% | · |
| JPM THEMATICS-GENETIC THERAPIES C (DIST) GBP | RVI BIOTECNOLOGÍA | 27,50% | 31,88% | -15,37% | · |
| JPM THEMATICS-GENETIC THERAPIES C (DIST) USD | RVI BIOTECNOLOGÍA | 27,32% | 32,31% | -15,14% | · |
| JPM THEMATICS-GENETIC THERAPIES D (ACC) EUR (HEDGED) | RVI BIOTECNOLOGÍA | 19,92% | 28,83% | -27,23% | · |
| JPM THEMATICS-GENETIC THERAPIES D (ACC) USD | RVI BIOTECNOLOGÍA | 25,74% | 27,78% | -20,22% | · |
| JPM THEMATICS-GENETIC THERAPIES I2 (ACC) EUR (HEDGED) | RVI BIOTECNOLOGÍA | 21,82% | 34,98% | -21,47% | · |
| JPM THEMATICS-GENETIC THERAPIES I2 (ACC) USD | RVI BIOTECNOLOGÍA | 27,78% | 34,04% | -13,64% | · |
| JPM THEMATICS-GENETIC THERAPIES I (ACC) EUR | RVI BIOTECNOLOGÍA | 27,58% | 32,90% | -14,11% | · |
| JPM THEMATICS-GENETIC THERAPIES I (ACC) EUR (HEDGED) | RVI BIOTECNOLOGÍA | 21,69% | 34,59% | -21,80% | · |
| JPM TOTAL EMERGING MARKETS INCOME A (DIV) EUR | MIXTO AGRESIVO GLOBAL | 13,94% | 25,54% | 6,83% | · |
| JPM TOTAL EMERGING MARKETS INCOME I2 (ACC) EUR | MIXTO AGRESIVO GLOBAL | 21,61% | 52,84% | · | · |
| JPM TOTAL EMERGING MARKETS INCOME I2 (ACC) EUR (HEDGED) | MIXTO AGRESIVO GLOBAL | 14,53% | 52,51% | 25,96% | · |
| JPM TOTAL EMERGING MARKETS INCOME I (DIST) EUR (HEDGED) | MIXTO AGRESIVO GLOBAL | 10,69% | 34,83% | 1,49% | · |
| JPM US AGGREGATE BOND C (DIST) EUR (HEDGED) | RFI USA | -8,08% | -4,85% | -23,26% | · |
| JPM US AGGREGATE BOND I2 (ACC) EUR (HEDGED) | RFI USA | -4,10% | 8,19% | -11,00% | · |
| JPM US AGGREGATE BOND I2 (ACC) USD | RFI USA | 1,52% | 8,14% | 1,83% | · |
| JPM US AGGREGATE BOND I2 (DIST) CHF (HEDGED) | RFI USA | -10,60% | -6,59% | -20,62% | · |
| JPM US AGGREGATE BOND I2 (DIST) EUR (HEDGED) | RFI USA | -8,04% | -3,12% | -25,09% | · |
| JPM US AGGREGATE BOND I2 (DIST) GBP (HEDGED) | RFI USA | -4,58% | 3,30% | -21,47% | · |
| JPM US AGGREGATE BOND I2 (DIST) USD | RFI USA | -2,37% | -3,06% | -13,96% | · |
| JPM US AGGREGATE BOND I (ACC) EUR | RFI USA | 1,23% | 6,80% | 0,52% | · |
| JPM US AGGREGATE BOND I (DIST) EUR (HEDGED) | RFI USA | -7,84% | · | · | · |
| JPM US AGGREGATE BOND I (DIST) USD | RFI USA | -2,63% | · | · | · |
| JPM US BOND A (ACC) EUR (HEDGED) | RFI USA | -4,80% | 6,63% | -14,56% | · |
| JPM US BOND D (ACC) EUR (HEDGED) | RFI USA | -5,04% | 5,82% | -15,61% | · |
| JPM USD LIQUIDITY LVNAV A (ACC) | MONETARIO USA | 7,58% | 7,08% | 23,21% | · |
| JPM USD LIQUIDITY LVNAV C (ACC) | MONETARIO USA | 7,84% | 7,96% | 24,86% | · |
| JPM USD LIQUIDITY LVNAV CAPITAL (ACC) | MONETARIO USA | 7,89% | 8,12% | · | · |
| JPM USD LIQUIDITY LVNAV CAPITAL (DIST) | MONETARIO USA | 3,94% | -5,57% | 3,42% | · |
| JPM USD LIQUIDITY LVNAV CORE (ACC) | MONETARIO USA | 7,94% | · | · | · |
| JPM USD LIQUIDITY LVNAV CORE (DIST) | MONETARIO USA | 3,94% | · | · | · |
| JPM USD LIQUIDITY LVNAV D (ACC) | MONETARIO USA | 7,53% | 6,87% | · | · |
| JPM USD LIQUIDITY LVNAV E (ACC) | MONETARIO USA | 7,96% | 8,30% | 25,47% | · |
| JPM USD LIQUIDITY LVNAV E (DIST) | MONETARIO USA | 3,94% | -5,57% | 3,42% | · |
| JPM USD LIQUIDITY LVNAV INSTITUTIONAL (ACC) | MONETARIO USA | 7,84% | 7,96% | 24,87% | · |
| JPM USD LIQUIDITY LVNAV SELECT (ACC) | MONETARIO USA | 7,96% | 8,30% | 25,47% | · |
| JPM USD LIQUIDITY LVNAV SELECT (DIST) | MONETARIO USA | 3,94% | -5,57% | 3,42% | · |
| JPM USD LIQUIDITY LVNAV W (ACC) | MONETARIO USA | 7,89% | 8,12% | 25,14% | · |
| JPM USD LIQUIDITY LVNAV W (DIST) | MONETARIO USA | 3,94% | -5,57% | 3,42% | · |
| JPM USD STANDARD MONEY MARKET VNAV CAPITAL (ACC) | MONETARIO USA | 7,97% | 8,70% | · | · |
| JPM USD STANDARD MONEY MARKET VNAV CORE (ACC) | MONETARIO USA | 8,02% | · | · | · |
| JPM USD STANDARD MONEY MARKET VNAV E (ACC) | MONETARIO USA | 8,04% | 8,88% | 26,23% | · |
| JPM USD STANDARD MONEY MARKET VNAV SELECT (ACC) | MONETARIO USA | 8,04% | 8,88% | 26,23% | · |
| JPM USD STANDARD MONEY MARKET VNAV W (ACC) | MONETARIO USA | 7,97% | 8,70% | 25,91% | · |
| JPM USD TREASURY CNAV A (ACC) | MONETARIO USA | 7,46% | 6,59% | · | · |
| JPM USD TREASURY CNAV C (ACC) | MONETARIO USA | 7,72% | 7,46% | 23,85% | · |
| JPM USD TREASURY CNAV CAPITAL (ACC) | MONETARIO USA | 7,77% | 7,62% | 24,12% | · |
| JPM USD TREASURY CNAV CAPITAL (DIST) | MONETARIO USA | 3,94% | -5,57% | 3,42% | · |
| JPM USD TREASURY CNAV CORE (DIST) | MONETARIO USA | 3,94% | · | · | · |