JPM US Aggregate Bond A Acc $

Rating and Score  (On 30/06/2026)
Rating
FIDA
Rating
ESG
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Payments Accumulation plan
min 60 max 180 vers mensili min 300 EUR - o 900 se trimestrali - vers iniziale pari ad almeno una annualità
Transaction currency
Usd - us dollar
Single payment
Initial payment
10,000.00
Following payment
1,000.00
Degree of risk
1
2
3
4
5
6
7
Low Risk
High Risk
The risk category (SRI) corresponds to what is published by the issuing company in the fund's official KID.
The indicated risk category is not guaranteed and may change over time.
Being in the lowest category does not guarantee a risk-free investment.
TER
TER date
TER value
27/04/2026
1.13%
30/03/2026
1.13%
08/01/2026
1.12%
30/07/2025
1.12%
17/04/2025
1.13%
18/07/2024
1.14%
06/12/2023
1.13%
30/11/2021
1.09%
14/01/2021
1.11%
29/11/2019
1.11%
31/12/2018
1.10%
30/11/2017
1.10%
01/01/2017
1.10%
30/11/2016
0.20%
Division
Instrument
ISIN Code
Start Date placement
FIDA Rating
Factsheet
Kiid
Portfolio
Retail ita / institutional
JPM US Aggregate Bond A Acc $
LU0210532957
29/03/2005
-
-
-
Retail ita
LU0117838564
15/09/2000
-
-
Retail ita
LU0849815831
02/11/2012
-
-
-
Retail ita
LU0719511973
18/01/2012
-
-
-
Retail ita
LU0719512195
18/01/2012
-
-
-
Retail ita
LU0499111903
06/04/2010
-
-
-
Retail ita
LU0748141230
25/06/2012
-
-
-
Retail ita
LU0775267817
02/07/2012
-
-
Retail ita
LU1278810905
18/09/2015
-
-
-
Retail ita
LU0248063595
17/06/2011
-
-
-
Institutional
LU1571046918
21/03/2017
-
-
-
Retail ita
LU0679000579
01/10/2011
-
-
Retail ita
LU0117838648
13/10/2000
-
-
Retail ita
LU0549623634
02/11/2010
-
-
Retail ita
LU1504078004
15/11/2016
-
-
-
Institutional
LU0217389567
13/07/2005
-
-
-
Retail ita
LU0216283365
30/03/2005
-
-
-
Institutional
LU1727358274
04/01/2018
-
-
-
Institutional
LU1727358431
18/12/2017
-
-
-
Institutional
LU1727358787
18/12/2017
-
-
-
Institutional
LU1120565483
08/01/2015
-
-
-
Retail ita
LU1432507090
05/10/2016
-
-
-
Institutional
LU1711613809
25/08/2021
-
-
-
Institutional
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