JPM EUR Liquidity LVNAV X (acc.)/  LU1873128505  /

Fonds
NAV2024-05-27 Chg.+1.6504 Type of yield Investment Focus Investment company
10,369.9404EUR +0.02% reinvestment Money Market JPMorgan AM (EU) 

Funds documents

Date Document Year Language Filesize
2024-05-28 Public WebStation Live Factsheet 2024 English -
2024-05-08 PRIIP Key Information Document 2024 English 77.57 KB
2024-05-08 PRIIP Key Information Document 2024 German 80.24 KB
2024-05-08 Key Investor Information 2024 English 63.24 KB
2024-05-01 Prospectus 2024 English 2,405.39 KB
2024-05-01 Prospectus 2024 German -
2023-11-30 Account statment 2023 English 6,052.04 KB
2023-11-30 Account statment 2023 German 1,694.01 KB
2023-05-31 Semi-annual report 2023 English 667.19 KB
2023-05-31 Semi-annual report 2023 German 351.55 KB
2022-01-01 Key Investor Information 2022 German 63.73 KB