| JPM PACIFIC EQUITY A (DIST) USD | RVI ASIA PACÍFICO | 38,48% | 53,70% | 28,51% | 166,28% |
| JPM PACIFIC EQUITY C (ACC) EUR | RVI ASIA PACÍFICO | 39,43% | 56,94% | 33,84% | · |
| JPM PACIFIC EQUITY C (ACC) USD | RVI ASIA PACÍFICO | 39,71% | 57,51% | 33,78% | 192,21% |
| JPM PACIFIC EQUITY C (DIST) USD | RVI ASIA PACÍFICO | 38,58% | 53,89% | 29,70% | 172,01% |
| JPM PACIFIC EQUITY D (ACC) EUR | RVI ASIA PACÍFICO | 37,18% | 49,52% | 23,57% | 148,72% |
| JPM PACIFIC EQUITY D (ACC) USD | RVI ASIA PACÍFICO | 37,54% | 50,34% | 23,81% | 149,90% |
| JPM PACIFIC EQUITY I2 (ACC) EUR | RVI ASIA PACÍFICO | 39,89% | 58,19% | 35,42% | · |
| JPM PACIFIC EQUITY I2 (ACC) USD | RVI ASIA PACÍFICO | 40,16% | 58,78% | 35,34% | · |
| JPM PACIFIC EQUITY I (ACC) USD | RVI ASIA PACÍFICO | 39,75% | 57,71% | 34,02% | 193,37% |
| JPM SGD LIQUIDITY LVNAV AGENCY (DIST) | RFI ASIA PACÍFICO EX-JAPÓN | -1,87% | -2,32% | 8,32% | -24,87% |
| JPM SGD LIQUIDITY LVNAV C (ACC) | RFI ASIA PACÍFICO EX-JAPÓN | -0,61% | 5,60% | 20,48% | 19,29% |
| JPM SGD LIQUIDITY LVNAV C (DIST) | RFI ASIA PACÍFICO EX-JAPÓN | -1,87% | -2,32% | 8,32% | 3,33% |
| JPM SGD LIQUIDITY LVNAV E (ACC) | RFI ASIA PACÍFICO EX-JAPÓN | -0,50% | 5,94% | · | · |
| JPM SGD LIQUIDITY LVNAV E (DIST) | RFI ASIA PACÍFICO EX-JAPÓN | -1,87% | -2,32% | · | · |
| JPM SGD LIQUIDITY LVNAV INSTITUTIONAL (DIST) | RFI ASIA PACÍFICO EX-JAPÓN | -1,87% | -2,32% | 8,32% | -24,87% |
| JPM TAIWAN A (ACC) EUR | RVI CHINA | 123,54% | 188,56% | 171,05% | 494,97% |
| JPM TAIWAN A (ACC) USD | RVI CHINA | 123,98% | 189,66% | 170,89% | 496,49% |
| JPM TAIWAN A (DIST) USD | RVI CHINA | 122,43% | 179,32% | 157,95% | 429,18% |
| JPM TAIWAN C (ACC) USD | RVI CHINA | 125,87% | 197,13% | 182,63% | 549,47% |
| JPM TAIWAN C (DIST) USD | RVI CHINA | 122,96% | 180,84% | 158,84% | 434,23% |
| JPM TAIWAN D (ACC) USD | RVI CHINA | 121,72% | 181,05% | 157,72% | 439,91% |
| JPM TAIWAN I (ACC) EUR | RVI CHINA | 125,52% | 196,41% | 183,38% | 550,38% |
| JPM TAIWAN I (ACC) USD | RVI CHINA | 125,96% | 197,49% | 183,20% | · |
| JPM THEMATICS-GENETIC THERAPIES A (ACC) CHF (HEDGED) | RVI BIOTECNOLOGÍA | 40,11% | 4,95% | -25,66% | · |
| JPM THEMATICS-GENETIC THERAPIES A (ACC) EUR (HEDGED) | RVI BIOTECNOLOGÍA | 40,40% | 5,84% | -32,52% | · |
| JPM THEMATICS-GENETIC THERAPIES A (ACC) USD | RVI BIOTECNOLOGÍA | 39,14% | 2,64% | -25,20% | · |
| JPM THEMATICS-GENETIC THERAPIES A (DIST) CHF (HEDGED) | RVI BIOTECNOLOGÍA | 40,10% | 4,92% | -25,70% | · |
| JPM THEMATICS-GENETIC THERAPIES A (DIST) EUR (HEDGED) | RVI BIOTECNOLOGÍA | 40,33% | 5,64% | -32,81% | · |
| JPM THEMATICS-GENETIC THERAPIES A (DIST) USD | RVI BIOTECNOLOGÍA | 39,08% | 2,43% | -25,52% | · |
| JPM THEMATICS-GENETIC THERAPIES C2 (ACC) CHF (HEDGED) | RVI BIOTECNOLOGÍA | 40,92% | 6,70% | -23,62% | · |
| JPM THEMATICS-GENETIC THERAPIES C2 (ACC) EUR (HEDGED) | RVI BIOTECNOLOGÍA | 41,14% | 7,43% | -30,92% | · |
| JPM THEMATICS-GENETIC THERAPIES C2 (ACC) USD | RVI BIOTECNOLOGÍA | 39,88% | 4,15% | -23,43% | · |
| JPM THEMATICS-GENETIC THERAPIES C2 (DIST) CHF (HEDGED) | RVI BIOTECNOLOGÍA | 40,42% | 5,71% | -24,42% | · |
| JPM THEMATICS-GENETIC THERAPIES C2 (DIST) EUR (HEDGED) | RVI BIOTECNOLOGÍA | 40,64% | 6,45% | -31,65% | · |
| JPM THEMATICS-GENETIC THERAPIES C2 (DIST) USD | RVI BIOTECNOLOGÍA | 39,35% | 3,17% | -24,26% | · |
| JPM THEMATICS-GENETIC THERAPIES C (ACC) EUR (HEDGED) | RVI BIOTECNOLOGÍA | 40,98% | 7,13% | -31,21% | · |
| JPM THEMATICS-GENETIC THERAPIES C (ACC) USD | RVI BIOTECNOLOGÍA | 39,73% | 3,88% | -23,75% | · |
| JPM THEMATICS-GENETIC THERAPIES C (DIST) USD | RVI BIOTECNOLOGÍA | 39,06% | 2,98% | -24,45% | · |
| JPM THEMATICS-GENETIC THERAPIES D (ACC) EUR (HEDGED) | RVI BIOTECNOLOGÍA | 39,00% | 2,69% | -35,84% | · |
| JPM THEMATICS-GENETIC THERAPIES D (ACC) USD | RVI BIOTECNOLOGÍA | 37,71% | -0,58% | -29,12% | · |
| JPM THEMATICS-GENETIC THERAPIES I2 (ACC) EUR (HEDGED) | RVI BIOTECNOLOGÍA | 41,21% | 7,56% | -30,78% | · |
| JPM THEMATICS-GENETIC THERAPIES I2 (ACC) USD | RVI BIOTECNOLOGÍA | 39,93% | 4,27% | -23,29% | · |
| JPM THEMATICS-GENETIC THERAPIES I (ACC) EUR | RVI BIOTECNOLOGÍA | 39,51% | 3,63% | -23,54% | · |
| JPM THEMATICS-GENETIC THERAPIES I (ACC) EUR (HEDGED) | RVI BIOTECNOLOGÍA | 41,04% | 7,26% | -31,08% | · |
| JPM TOTAL EMERGING MARKETS INCOME A (ACC) EUR | MIXTO AGRESIVO GLOBAL | 22,18% | 40,50% | 36,17% | 95,78% |
| JPM TOTAL EMERGING MARKETS INCOME A (ACC) USD | MIXTO AGRESIVO GLOBAL | 22,42% | 41,01% | 36,05% | 96,25% |
| JPM TOTAL EMERGING MARKETS INCOME A (DIST) EUR | MIXTO AGRESIVO GLOBAL | 18,94% | 28,07% | 19,02% | 48,83% |
| JPM TOTAL EMERGING MARKETS INCOME A (DIV) EUR | MIXTO AGRESIVO GLOBAL | 15,41% | 18,57% | 3,52% | · |
| JPM TOTAL EMERGING MARKETS INCOME C (ACC) EUR | MIXTO AGRESIVO GLOBAL | 23,10% | 43,70% | 41,33% | 110,95% |
| JPM TOTAL EMERGING MARKETS INCOME D (ACC) EUR | MIXTO AGRESIVO GLOBAL | 21,38% | 37,77% | 31,78% | 83,39% |
| JPM TOTAL EMERGING MARKETS INCOME D (ACC) USD | MIXTO AGRESIVO GLOBAL | 21,62% | 38,28% | 31,72% | 83,91% |
| JPM TOTAL EMERGING MARKETS INCOME D (DIV) EUR | MIXTO AGRESIVO GLOBAL | 14,66% | 16,27% | 0,23% | 8,04% |
| JPM TOTAL EMERGING MARKETS INCOME I2 (ACC) EUR (HEDGED) | MIXTO AGRESIVO GLOBAL | 23,65% | 46,22% | 20,52% | · |
| JPM TOTAL EMERGING MARKETS INCOME I (DIST) EUR (HEDGED) | MIXTO AGRESIVO GLOBAL | 18,42% | 27,91% | -1,41% | · |
| JPM US AGGREGATE BOND A (ACC) EUR (HEDGED) | RFI USA | 2,38% | 5,10% | -10,90% | -7,36% |
| JPM US AGGREGATE BOND A (ACC) USD | RFI USA | 1,90% | 3,19% | 2,73% | 8,71% |
| JPM US AGGREGATE BOND A (DIST) USD | RFI USA | -1,20% | -4,96% | -8,40% | -11,82% |
| JPM US AGGREGATE BOND A (DIV) USD | RFI USA | -2,03% | -7,64% | -13,48% | -22,09% |
| JPM US AGGREGATE BOND C (ACC) EUR (HEDGED) | RFI USA | 2,89% | 6,68% | -8,68% | -2,66% |
| JPM US AGGREGATE BOND C (ACC) USD | RFI USA | 2,38% | 4,68% | 5,26% | 14,23% |
| JPM US AGGREGATE BOND C (DIST) EUR (HEDGED) | RFI USA | -1,87% | -3,80% | -18,73% | · |
| JPM US AGGREGATE BOND C (DIST) USD | RFI USA | -1,23% | -5,36% | -9,17% | -12,64% |
| JPM US AGGREGATE BOND C (DIV) USD | RFI USA | -1,55% | -6,23% | -11,29% | -18,03% |
| JPM US AGGREGATE BOND D (ACC) EUR (HEDGED) | RFI USA | 2,12% | 4,30% | -12,02% | -9,69% |
| JPM US AGGREGATE BOND D (ACC) USD | RFI USA | 1,65% | 2,35% | 1,37% | 5,97% |
| JPM US AGGREGATE BOND I2 (ACC) EUR (HEDGED) | RFI USA | 3,16% | 7,47% | -7,57% | · |
| JPM US AGGREGATE BOND I2 (ACC) USD | RFI USA | 2,69% | 5,51% | 6,52% | · |
| JPM US AGGREGATE BOND I2 (DIST) CHF (HEDGED) | RFI USA | 0,46% | -3,45% | -9,80% | · |
| JPM US AGGREGATE BOND I2 (DIST) EUR (HEDGED) | RFI USA | -0,34% | -2,74% | -20,68% | · |
| JPM US AGGREGATE BOND I2 (DIST) GBP (HEDGED) | RFI USA | -1,66% | 1,46% | -17,87% | · |
| JPM US AGGREGATE BOND I2 (DIST) USD | RFI USA | -1,01% | -4,78% | -8,49% | · |
| JPM US AGGREGATE BOND I (ACC) EUR | RFI USA | 2,25% | 4,44% | · | · |
| JPM US AGGREGATE BOND I (ACC) EUR (HEDGED) | RFI USA | 2,93% | 6,80% | -8,49% | · |
| JPM US AGGREGATE BOND I (ACC) USD | RFI USA | 2,45% | 4,84% | 5,46% | 14,69% |
| JPM US AGGREGATE BOND I (DIST) USD | RFI USA | -1,31% | · | · | · |
| JPM US BOND A (ACC) EUR (HEDGED) | RFI USA | 2,60% | 5,87% | -10,86% | · |
| JPM US BOND A (ACC) USD | RFI USA | 2,14% | 3,87% | 2,67% | 10,67% |
| JPM US BOND A (DIST) USD | RFI USA | -1,42% | -4,39% | -9,34% | -11,07% |
| JPM US BOND C (ACC) USD | RFI USA | 2,66% | 5,44% | 5,27% | 16,35% |
| JPM US BOND D (ACC) EUR (HEDGED) | RFI USA | 2,35% | 5,09% | -11,96% | · |
| JPM US BOND D (ACC) USD | RFI USA | 1,89% | 3,09% | 1,40% | 7,94% |
| JPM US BOND I (ACC) USD | RFI USA | 2,64% | 5,50% | 5,43% | 16,74% |
| JPM USD LIQUIDITY LVNAV A (ACC) | MONETARIO USA | 1,08% | 5,54% | 22,98% | · |
| JPM USD LIQUIDITY LVNAV AGENCY (DIST) | MONETARIO USA | -2,58% | -7,45% | 4,52% | -3,87% |
| JPM USD LIQUIDITY LVNAV C (ACC) | MONETARIO USA | 1,32% | 6,44% | 24,53% | · |
| JPM USD LIQUIDITY LVNAV CAPITAL (DIST) | MONETARIO USA | -2,58% | -7,45% | 4,52% | · |
| JPM USD LIQUIDITY LVNAV C (DIST) | MONETARIO USA | -2,58% | -7,45% | 4,52% | -3,87% |
| JPM USD LIQUIDITY LVNAV D (ACC) | MONETARIO USA | 1,03% | 5,31% | · | · |
| JPM USD LIQUIDITY LVNAV E (ACC) | MONETARIO USA | 1,43% | 6,78% | 25,09% | · |
| JPM USD LIQUIDITY LVNAV E (DIST) | MONETARIO USA | -2,58% | -7,45% | 4,52% | · |
| JPM USD LIQUIDITY LVNAV G (ACC) | MONETARIO USA | 1,43% | 6,78% | 25,09% | · |
| JPM USD LIQUIDITY LVNAV G (DIST) | MONETARIO USA | -2,58% | -7,45% | 4,52% | · |
| JPM USD LIQUIDITY LVNAV INSTITUTIONAL (ACC) | MONETARIO USA | 1,32% | 6,44% | 24,54% | · |
| JPM USD LIQUIDITY LVNAV INSTITUTIONAL (DIST) | MONETARIO USA | -2,58% | -7,45% | 4,52% | -3,87% |
| JPM USD LIQUIDITY LVNAV MORGAN (DIST) | MONETARIO USA | -2,58% | -7,45% | 4,52% | -3,87% |
| JPM USD LIQUIDITY LVNAV PREMIER (DIST) | MONETARIO USA | -2,58% | -7,45% | 4,52% | -3,87% |
| JPM USD LIQUIDITY LVNAV W (ACC) | MONETARIO USA | 1,37% | 6,60% | 24,78% | · |
| JPM USD LIQUIDITY LVNAV W (DIST) | MONETARIO USA | -2,58% | -7,45% | 4,52% | · |
| JPM USD MONEY MARKET VNAV A (ACC) USD | MONETARIO USA | 1,09% | 5,70% | 23,32% | 19,54% |
| JPM USD STANDARD MONEY MARKET VNAV A (ACC) | MONETARIO USA | 1,26% | 6,16% | 23,73% | 19,42% |