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Monthly Net Asset Value

17th Apr 2023 07:00

RNS Number : 3295W
JPMorgan Global Core Real Assets Ld
17 April 2023
 

LONDON STOCK EXCHANGE ANNOUNCEMENT

 

JPMORGAN GLOBAL CORE REAL ASSETS LIMITED

(the "Company" or "JARA")

 

MONTHLY NET ASSET VALUE

 

 

Legal Entity Identifier: 549300D8JHZTH6GI8F97

 

The Company announces that the unaudited net asset value ('NAV') as at 31 March 2023 was 99.85 pence per share.

 

An analysis of the components to this NAV and the relevant dates for their valuation is provided below.

 

Strategies

 

Name

Date of price for Strategy

% of JARA's NAV as at 31 March 2023

US Real Estate Equity

31 December 2022

21.3%

Asia-Pacific Real Estate Equity

31 December 2022

18.1%

US Real Estate Debt

31 December 2022

7.1%

Transportation

30 September 2022 *

18.6%

Infrastructure

31 December 2022

17.0%

Liquid Strategy

31 March 2023

17.9%

 

*- Due to calendar year end audit procedures, the 31 December 2022 statement is scheduled to be released in May 2023, this is in line with standard operating procedures for this strategy.

 

Exchange rates

 

The GBP/USD exchange rate was 1.23645 as at 31 March 2023.

 

17 April 2023

 

 

Emma Lamb

JPMorgan Funds Limited - Company Secretary

Telephone 0207 742 4000

 

Notes

 

The Company aims to provide holders of the Ordinary Shares with a stable income and capital appreciation, measured on a constant currency basis, through exposure to a globally diversified portfolio of Core Real Assets in accordance with the Company's investment policy. The Company obtains exposure to Core Real Assets through various real asset strategies, namely: Global Infrastructure, Global Real Estate, Global Transport and Global Liquid Real Assets. J.P. Morgan's Alternative Solutions Group has the primary responsibility for managing the Company's portfolio.

 

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END
 
 
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