JPM USD Treasury CNAV X Dis $

Rating and Score  (On 30/06/2026)
Rating
FIDA
Rating
ESG
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Static data
Name
JPM USD Treasury CNAV X Dis $
Typology
Funds and Sicav
ISIN Code
LU0176038254
Sicav
JPMorgan Liquidity Funds
Registration country
-
Country authorised for sale
Asset manager
Address
6 route de Treves Senningerberg
Phone
Web site
FIDA Category
Assogestioni category
EFAMA Category
Public Debt CNAV Money Market USD
Priips
Yes
Official benchmark
0.00% - non previsto
Start Date placement
22/10/2003
Search by currency
Usd - us dollar
Quotation currency
Usd - us dollar
Status
Active
Distribution policy
Yes
Total asset value at 29/07/2026
873.38 mln USD
Assets of portfolio as of 29/07/2026
53,627.79 mln USD
Documentation
Quotation evolution (From 28/07/2023 On 29/07/2026)
1.00
0.00
%
29/07/2026
Loading data
Quote
Quotation currency
Usd - us dollar
Quotation frequency
Daily
Last quotation
$1.00 (30/07/2026)
% change
0.00%
Last Price in Euro
€0.87
Management policy
Investment Objective
Objectives, Process and Policies Objective The Sub-Fund seeks to achieve a return in the Reference Currency in line with prevailing money market rates whilst aiming to preserve capital consistent with such rates and to maintain a high degree of liquidity. The Sub-Fund is actively managed without reference or performance comparison to a benchmark. The Sub-Fund will invest its assets in short term US Treasury Debt Securities (including Treasury notes and Treasury bills) and Reverse Repurchase Agreements. Such Reverse Repurchase Agreements will be fully collateralised by US Treasury Debt Securities. The Sub-Fund may have exposure to investments with zero or negative yields in adverse market conditions. The weighted average maturity of the Sub-Fund's investments will not exceed 60 days and the initial or remaining maturity of each US Treasury Debt Security will not exceed 397 days at the time of purchase. The Sub-Fund aims to maintain a "AAA" rating, or equivalent, assigned by at least one rating agency. This Sub-Fund qualifies as a "Public Debt Constant Net Asset Value Money Market Fund in accordance with Regulation (EU) 2017/1131 of the European Parliament and of the Council of 14 June 2017 on Money Market Funds as may be amended or replaced from time to time and therefore will comply with these guidelines. SFDR Classification Article 6 Term
Tax system
PIR compliant
No
PEA compliant
No
PEA-PME compliant
No
Company registry
Asset manager
Phone
Web site
Address
6 route de Treves Senningerberg
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