10/23/2025 | Press release | Distributed by Public on 10/23/2025 10:31
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JPMorgan Investor Conservative Growth Fund
Class/Ticker: A/OICAX C/OCGCX I/ONCFX
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SHAREHOLDER FEES (Fees paid directly from your investment)
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Class A
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Class C
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Class I
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Maximum Sales Charge (Load)
Imposed on Purchases as % of
the Offering Price
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4.50%
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NONE
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NONE
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Maximum Deferred Sales Charge
(Load) as % of Original Cost of the
Shares
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NONE1
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1.00%
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NONE
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ANNUAL FUND OPERATING EXPENSES
(Expenses that you pay each year as a percentage of the value
of your investment)
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Class A
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Class C
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Class I
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Management Fees
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0.05%
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0.05%
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0.05%
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Distribution (Rule 12b-1) Fees
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0.25
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0.75
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NONE
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Other Expenses
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0.27
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0.26
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0.26
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Service Fees
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0.25
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0.25
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0.25
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Remainder of Other
Expenses
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0.02
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0.01
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0.01
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Acquired Fund (Underlying
Fund) Fees and Expenses
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0.36
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0.36
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0.36
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Total Annual Fund Operating
Expenses
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0.93
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1.42
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0.67
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IF YOU SELL YOUR SHARES, YOUR COST WOULD BE:
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1 Year
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3 Years
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5 Years
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10 Years
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CLASS A SHARES ($)
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541
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733
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942
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1,542
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CLASS C SHARES ($)
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245
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449
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776
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1,569
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CLASS I SHARES ($)
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68
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214
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373
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835
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IF YOU DO NOT SELL YOUR SHARES, YOUR COST
WOULD BE:
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1 Year
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3 Years
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5 Years
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10 Years
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CLASS A SHARES ($)
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541
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733
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942
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1,542
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CLASS C SHARES ($)
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145
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449
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776
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1,569
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CLASS I SHARES ($)
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68
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214
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373
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835
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YEAR-BY-YEAR RETURNS - CLASS A SHARES
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Best Quarter
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2nd quarter, 2020
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9.13%
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Worst Quarter
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2nd quarter, 2022
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-7.80%
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The Fund's year-to-date total return
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through
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9/30/25
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was
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8.92%
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.
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AVERAGE ANNUAL TOTAL RETURNS
(For periods ended December 31, 2024)
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Past
1 Year
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Past
5 Years
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Past
10 Years
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CLASS A SHARES
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Return Before Taxes
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2.20
%
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2.93
%
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3.67
%
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Return After Taxes on Distributions
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0.49
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1.56
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2.28
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Return After Taxes on Distributions and
Sale of Fund Shares
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1.63
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1.85
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2.43
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CLASS C SHARES
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Return Before Taxes
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5.33
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3.36
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3.69
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CLASS I SHARES
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Return Before Taxes
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7.20
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4.14
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4.41
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BLOOMBERG U.S. AGGREGATE INDEX
(Reflects No Deduction for Fees,
Expenses, or Taxes)
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1.25
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-0.33
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1.35
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BLOOMBERG U.S. INTERMEDIATE
AGGREGATE INDEX
(Reflects No Deduction for Fees,
Expenses, or Taxes)
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2.47
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0.33
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1.45
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RUSSELL 3000 INDEX
(Reflects No Deduction for Fees,
Expenses, or Taxes)
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23.81
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13.86
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12.55
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MSCI EAFE INDEX
(Net Total Return) (Reflects No Deduction
for Fees, Expenses, or Taxes, Except
Foreign Withholding Taxes)
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3.82
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4.73
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5.20
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LIPPER MIXED-ASSET TARGET ALLOCA-
TION CONSERVATIVE FUNDS INDEX
(Reflects No Deduction for Taxes)
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7.10
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3.58
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4.01
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Portfolio Manager
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Managed
Fund Since
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Primary Title with
Investment Adviser
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Ove Fladberg
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2010
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Managing Director
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Michael Loeffler
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2005
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Executive Director
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Nicholas D'Eramo
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2014
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Executive Director
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Anshul Mohan
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2016
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Managing Director
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Luying Wei
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2022
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Executive Director
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For Class A and Class C Shares
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To establish an account
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$500
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To add to an account
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$50
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For Class I Shares
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To establish an account
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$1,000,000
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To add to an account
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No minimum levels
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