JPMorgan Liquidity Funds - USD Treasury CNAV Fund G (acc.)

WKN A2N8DX | ISIN LU1873132879 |  Fonds
Factsheet
23.06.26
10.707,63 USD+0,01 % (+1,05)

Fonds

ISIN Name Performance Volatilität Sharpe Ratio
1 IE00B44K4783 BlackRock ICS US Treasury Fund Agency Acc Accu USD +3,99 % +0,14 % 11,82
2 IE00B45H7020 BlackRock ICS US Treasury Fund Premier Acc Accu USD +3,91 % +0,14 % 11,51
3 IE000DVB5JV2 BlackRock ICS US Treasury Fund G Heritage Acc Accu USD +3,89 % +0,14 % 11,39
4 IE00B95PH019 BlackRock ICS US Treasury Fund Heritage Acc Accu USD +3,89 % +0,14 % 11,39
5 IE000CO6MYG7 Goldman Sachs US$ Treasury Liquid Reserves Fund X Accumulation Class +4,02 % +0,15 % 11,35
10 LU1873132879 JPMorgan Liquidity Funds - USD Treasury CNAV Fund G (acc.) +3,92 % +0,15 % 11,02
32 IE00BK9YKY62 UBS (Irl) Select Money Market Fund - US Treasury P (Acc.) +3,51 % +0,13 % 8,85
33 IE00B3DWSS75 Goldman Sachs US$ Treasury Liquid Reserves Fund Super Administration Accumulation Class +3,32 % +0,12 % 8,01
34 LU1961031397 Eurizon Fund - Money Market USD T1 Z2 USD Accumulation +3,46 % +0,20 % 5,93
35 LU0128526901 Franklin U.S. Dollar Short-Term Money Market Fund - A (acc) USD +3,86 % +0,45 % 3,38
36 LU0122614463 Franklin U.S. Dollar Short-Term Money Market Fund - N (acc) USD +2,97 % +0,46 % 1,41