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J.P. Morgan Asset Management Webconferences

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  • JPMorgan Funds – Emerging Markets Strategic Bond Fund
    JPMorgan Funds – Emerging Markets Strategic Bond Fund Pierre-Yves Bareau Recorded: Jun 27 2017 35 mins
    Please join Pierre-Yves Bareau, the CIO for our Emerging Markets Debt Team within the International Fixed Income Group, for a discussion on our outlook for emerging markets debt as well as recent performance and positioning in Emerging Markets Strategic Bond Fund, where Pierre-Yves is the lead portfolio manager.

    Don’t miss this opportunity to hear from our Emerging Market Debt CIO and put forward your questions.

    Featured Fund: JPMorgan Funds – Emerging Markets Strategic Bond Fund

    Password: 50547

    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • Bitesize 30-minute update: JPMorgan Global Convertibles Income Fund Limited
    Bitesize 30-minute update: JPMorgan Global Convertibles Income Fund Limited Robin Dunmall Recorded: Jun 27 2017 24 mins
    Robin Dunmall, portfolio manager of the JPMorgan Global Convertibles Income Fund Limited provides a bitesize update on the trust and its outlook for 2017. During the call Robin will discuss how the trust aims to deliver dividend income with the potential for long term capital growth from investing in a globally diversified portfolio of convertible securities.
  • Bitesize 30-minute update: JPM Global Macro Opportunities Fund
    Bitesize 30-minute update: JPM Global Macro Opportunities Fund Shrenick Shah Recorded: Jun 22 2017 32 mins
    Join Shrenick Shah, portfolio manager of the JPM Global Macro Opportunities Fund, for an update on the macro environment and a discussion around positioning and performance of the fund.

    Don’t miss this opportunity to put forward your questions and discover how the team distills its view of the world into macro themes that provide a robust framework for investing.
  • The UK election results: What happens next?
    The UK election results: What happens next? Stephanie Flanders, James Illsley Recorded: Jun 9 2017 45 mins
    The outcome of the UK general election is likely to have a significant bearing on Brexit negotiations and therefore a lasting impact on the investment landscape across Europe. J.P. Morgan Asset Management is committed to keeping our investors informed on the implications for economies, markets and portfolios.

    Register for this call and join Stephanie Flanders, Chief Market Strategist for the UK and Europe, as she discusses initial reactions and investment implications following the vote. Stephanie will also be joined by James Illsley, portfolio manager for the JPM UK Equity Core Fund, who will give an update on what the outcome means for UK Equities. Stephanie and James’ remarks will be followed by an opportunity for you to put forward any questions you may have. We hope you can join us.
  • Bitesize 30-minute update: Emerging Market Equities
    Bitesize 30-minute update: Emerging Market Equities Emily Whiting Recorded: May 24 2017 31 mins
    Emerging market (EM) equities have rebounded strongly so far in 2017, more than erasing the losses suffered immediately after the US election. Part of this strength reflects the reflation trade supporting equities globally. However, just as important are the improving earnings picture, easing concerns about China, and a degree of relief with respect to the primary risks to the EM story. This picture is leading investors to be more optimistic about the sustainability of the EM recovery. Join Emily Whiting, client portfolio manager on the Emerging Markets & Asia Pacific Equities team to talk through the current environment and how we are positioned in both the JPM Emerging Markets Fund and the JPM Emerging Markets Income Fund.
  • Bitesize 30-minute update: JPM Global Macro Opportunities Fund
    Bitesize 30-minute update: JPM Global Macro Opportunities Fund Talib Sheikh Recorded: May 18 2017 30 mins
    Join Talib Sheikh, portfolio manager of the JPM Global Macro Opportunities Fund, for an update on the macro environment and a discussion around positioning and performance of the fund.

    Don’t miss this opportunity to put forward your questions and discover how the team distills its view of the world into macro themes that provide a robust framework for investing.
  • Bitesize 30-minute update: JPMorgan Asian Investment Trust plc
    Bitesize 30-minute update: JPMorgan Asian Investment Trust plc Ayaz Ebrahim Recorded: May 10 2017 28 mins
    Ayaz Ebrahim, portfolio manager of the JPMorgan Asian Investment Trust plc provides a bitesize update on the trust and its outlook for 2017. During the call, we will also discuss the trust’s innovative dividend policy that offers regular predictable income distributions of 1% of its net asset value per quarter.
  • Bitesize 30-minute update: JPM Europe Dynamic (ex-UK) Fund
    Bitesize 30-minute update: JPM Europe Dynamic (ex-UK) Fund Jon Ingram Recorded: Apr 26 2017 34 mins
    Jon Ingram, portfolio manager for the JPM Europe Dynamic (ex-UK) Fund, provides a bitesize update on the fund and its outlook for 2017. Given the current challenging political backdrop and the uncertainties this brings, Jon will explain how we are navigating this environment, and look at where this unconstrained, flexible fund is finding opportunities
  • J.P. Morgan emerging market strategy quarterly review
    J.P. Morgan emerging market strategy quarterly review George Iwanicki Recorded: Apr 20 2017 43 mins
    George Iwanicki, our dedicated Emerging Market (EM) Equity Strategist, will host his regular EM Strategy webconference which draws heavily on the discussions we have in the Emerging Market and Asia Pacific Equities Team in weekly macro calls, monthly asset allocation meetings and the output of proprietary top down models. The presentation will cover both the strategic, long-term asset allocation opportunities as well as key ideas from our tactical models.

    Don't miss this opportunity to hear from our emerging market specialist and put forward your questions.

    If you prefer to listen over the telephone please use the appropriate dial in details from the numbers below.

    Password: 50484


    Austria: +43 (0) 2 68220 56552
    Austria toll free: 0800 005384
    Belgium: +32 (0) 2 789 8603
    Belgium toll free: 0800 746 68
    Denmark: +45 3271 4573
    Denmark toll free: 8088 8649
    Finland: +358 9 2319 5437
    Finland toll free: 0800 914672
    France: +33 (0) 1 7037 7166
    France toll free: 0805 630061
    Germany: +49 (0) 69 7104 45598
    Germany toll free: 0800 673 7932
    Hungary: +36 (06) 1 700 8142
    Hungary toll free: 06 800 13360
    Ireland: 014360959
    Ireland toll free: +1 800 930 488
    Italy: +39 02 36269665
    Italy toll free: 800 986 477
    Luxembourg: 800 2 6438
    Netherlands: 0207948426
    Netherlands toll free: 0 800 022 9132
    Norway: 21563318
    Norway toll free: 800 19 457
    Poland: +48 22 397 9053
    Poland toll free: 0 0 800 121 2695
    Portugal: +351 3 0880 2081
    Portugal toll free: 800 814 155
    Spain: +34 91 787 0777
    Spain toll free: 800 300206
    Sweden: +46 (0) 8 50520424
    Sweden toll free: 020 089 6377
    Switzerland: +41 (0) 22 592 7103
    Switzerland toll free: 0800 800 038
    UK: +44 (0) 20 3003 2666
  • JPMorgan Investment Funds - Global Macro Opportunities Fund
    JPMorgan Investment Funds - Global Macro Opportunities Fund Shrenick Shah, Nicola Rawlinson and Mark Richards Recorded: Apr 13 2017 38 mins
    Please join Shrenick Shah, Portfolio Manager for the Global Macro strategy; Nicola Rawlinson, Client Portfolio Manager in Multi-Asset Solutions; and Mark Richards, Global Strategist in the Global Multi-Asset Strategy Team, for an update on the macro environment and the positioning and performance of the strategy’s flagship fund, Global Macro Opportunities Fund.
    The Global Macro Opportunities Fund aims to capitalise on global macroeconomic trends to drive returns using a dynamic, multi-asset approach that aims to deliver positive returns in different market environments. The fund capitalises on the expertise of an experienced team of investors, who reflect their macro views by investing flexibly across asset classes using a selection of traditional and sophisticated investment strategies.
    Don’t miss this opportunity to put forward your questions, and discover how we distil our view of the world into macro themes that provide a robust framework for investing.

    Focus fund: JPMorgan Investment Funds - Global Macro Opportunities Fund

    Password: 50458

    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Belgium toll free: 0800 746 68
    Denmark: +45 3271 4573
    Denmark toll free: 8088 8649
    Finland: +358 9 2319 5437
    Finland toll free: 0800 914672
    France: +33 (0) 1 7037 7166
    France toll free: 0805 630061
    Germany: +49 (0) 69 7104 45598
    Germany toll free: 0800 673 7932
    Hungary: +36 (06) 1 700 8142
    Ireland: 014360959
    Ireland toll free: +1 800 930 488
    Italy: +39 02 36269665
    Italy toll free: 800 986 477
    Luxembourg: 800 2 6438
    Netherlands: 0207948426
    Netherlands toll free: 0 800 022 9132
    Norway: 21563318
    Norway toll free: 800 19 457
    Poland: +48 22 397 9053
    Poland toll free: 0 0 800 121 2695
    Portugal: +351 3 0880 2081
    Portugal toll free: 800 814 155
    Spain: +34 91 787 0777
    Spain toll free: 800 300206
    Sweden: +46 (0) 8 50520424
    Sweden toll free: 020 089 6377
    Switzerland: +41 (0) 22 592 7103
    Switzerland toll free: 0800 800 038
    UK: +44 (0) 20 3003 2666

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