Jupiter Global Macro Bond I Acc GBP
Jupiter Global Macro Bond I Acc GBP
ISIN:
GB00B1XG8G39
Risk level:
FE fundinfo Rating:
5 of 5
IA Sector:
IA Global Mixed Bond
Income type:
Accumulation
Price:
154.0200GBX
06 May 2025
Last change:
icon-down-small -0.45%
1 year change:
icon-up-small 4.58%
5 year annualised return:
3.26%
12 month yield:
3.62%
At a glance performance and information
Eligibility:
The value of investments, and income from them, can rise and fall so you may get back less than you invest. If you are unsure about investing, seek independent advice
Add to chart:
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Jupiter Global Macro Bond I Acc GBP
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IA Global Mixed Bond
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Bank Of England Sterling Overnight Index Average
Discrete calendar year performance
Trailing returns
(*annualised)
Fund Objective: To seek to achieve income and capital growth, delivering a positive total return, net of fees, higher than the Sterling Overnight Interbank Average Rate over rolling 3-year periods.
Manager name:
Jupiter Unit Trust Mgrs Ltd
Manager start date:
21 September 2021
Investment style:
Active,Strategic Investment
Region (geographical):
Global
Manager Biography:
Huw was an investment director at Merian Global Investors. Prior to this, he was a fixed income product specialist at Ignis Asset Management. Before this, he spent four years working at Citi as director, UK RM interest rate sales and five years at JPMorgan Chase as executive director, interest rate sales. Huw previously worked at Royal Bank of Scotland, UBS, Barclays Capital and Sanwa International, covering UK and European bond sales. He began his investment career in 1991.Huw has a BSc in economics.
Benchmark:
Bank Of England Sterling Overnight Index Average
Sector:
IA Global Mixed Bond
FE fundinfo Rating:
5 of 5
Fees and Charges
*This is an indication based on the market average. The fund’s actual transaction cost will be shown before you place a trade.
Account charges are not included
Asset Allocation
Fund size: 442,414,050.59 GBX
Chart date: May 6, 2025
Top 10 Holdings
Sectors
World regions
What is ESG?
ESG stands for Environmental, Social and Governance and is an approach for evaluating to what extent a company works towards social goals. For investors this can be used in order to understand how their funds and the assets they are made up of work towards these goals and use that information to help make sustainable investment choices.