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JPMorgan Core Bond Fund (PGBOX)

Nasdaq - Nasdaq Delayed Price. Currency in USD
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10.03+0.05 (+0.50%)
At close: 08:01PM EDT

Performance Overview

Morningstar Return RatingN/A1
Year-to-Date Return-2.34%
5-Year Average Return0.14%
Number of Years Up25
Number of Years Down6
Best 1 Yr Total Return (Apr 30, 2024)9.52%
Worst 1 Yr Total Return (Apr 30, 2024)N/A
Best 3-Yr Total Return9.52%
Worst 3-Yr Total Return-3.12%

Trailing Returns (%) Vs. Benchmarks

Time periods greater than 1 year are annualized.
ReturnPGBOXCategory
YTD-0.32%-1.22%
1-Month0.89%0.67%
3-Month-0.32%1.77%
1-Year1.50%0.77%
3-Year-2.27%5.26%
5-Year0.54%3.02%
10-Year1.49%3.31%
Last Bull Market1.14%3.52%
Last Bear Market-4.41%3.25%

Annual Total Return (%) History

Year
PGBOXCategory
2024
N/AN/A
2023
5.42%N/A
2022
-12.56%N/A
2021
-1.36%N/A
2020
7.85%7.52%
2019
8.06%8.06%
2018
-0.06%-0.50%
2017
3.55%3.71%
2016
2.10%3.23%
2015
0.51%-0.26%
2014
5.04%5.18%
2013
-1.92%-1.42%
2012
4.82%7.01%
2011
7.18%5.86%
2010
7.06%7.72%
2009
9.52%13.97%
2008
3.79%-4.70%
2007
6.82%4.70%
2006
3.94%4.15%
2005
2.00%1.80%
2004
4.23%3.91%
2003
3.76%5.10%
2002
9.85%8.04%
2001
8.79%7.64%
2000
11.83%9.44%
1999
-1.11%-1.35%
1998
7.94%7.36%
1997
9.63%8.81%
1996
4.98%3.47%
1995
23.68%17.71%
1994
-6.91%-4.01%
1993
11.33%10.44%
1992
N/A7.49%

Past Quarterly Returns (%)

YearQ1Q2Q3Q4
2024-0.32%N/AN/AN/A
20233.52%-1.01%-3.19%6.26%
2022-5.46%-4.41%-4.30%1.10%
2021-2.91%1.84%-0.05%-0.19%
20202.25%3.41%0.90%1.08%
20192.84%2.96%2.42%-0.34%
2018-1.33%-0.22%-0.07%1.59%
20170.90%1.51%0.68%0.41%
20162.78%2.16%0.40%-3.15%
20151.49%-1.32%1.23%-0.86%
20141.63%1.64%0.17%1.52%
20130.08%-2.17%0.28%-0.12%
20120.76%1.96%1.75%0.28%
20110.57%2.03%3.39%1.03%
20101.68%3.40%2.74%-0.89%
20092.21%2.49%3.76%0.76%
20082.18%-0.77%-1.11%3.51%
20071.68%-0.67%2.96%2.73%
2006-0.61%-0.03%3.59%0.98%
2005-0.88%3.17%-0.76%0.50%
20042.78%-2.38%2.95%0.90%
20031.26%1.95%0.28%0.22%
20020.16%3.69%4.28%1.43%
20012.99%0.56%5.05%-0.01%
20002.35%1.42%2.84%4.76%
1999-0.53%-0.46%0.33%-0.44%
19981.36%2.36%3.87%0.16%
1997-0.66%3.70%3.50%2.82%
1996-1.62%0.60%2.55%3.43%
19956.57%7.61%2.21%5.52%
1994-2.66%-2.30%-0.73%-1.39%
19934.75%3.51%3.03%-0.34%
19923.93%0.20%N/AN/A

Rank In Category (By Total Return)

YTD26
1-Month52
3-Month26
1-Year73
3-Year30
5-Year36

Load Adjusted Returns

1-Year-2.30%
3-Year-3.51%
5-Year-0.23%
10-Year1.10%