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Quarterly NAV and Portfolio Update

11th Dec 2025 10:14

RNS Number : 2030L
JPMorgan Global Core Real Assets Ld
11 December 2025
 

LONDON STOCK EXCHANGE ANNOUNCEMENT

 

JPMORGAN GLOBAL CORE REAL ASSETS LIMITED

("JARA" or the "Company")  

 

QUARTERLY NET ASSET VALUE AND PORTFOLIO UPDATE

 

 

Legal Entity Identifier: 549300D8JHZTH6GI8F97

 

 

Net Asset Value

The Company announces its unaudited Net Asset Value ("NAV") as at 30th November 2025 of 95.42 pence per share (31st August 2025: NAV 93.46 pence per share). In line with the Company's previously stated policy, the Company paid no dividend during the three-month period to 30th November 2025. The NAV total return for the quarter is +2.1% and -0.1% for the preceding 12 months, while the total share price return for the 12 months to 30th November 2025 was +0.8%.

 

A snapshot of the components to this NAV and the relevant date for their valuation is provided below.

 

Strategies

Name

Date of price for Strategy

% of JARA's NAV as at 30th November 2025

Real Estate Equity

30th September 2025

76.4%

Transportation

30th September 2025

12.0%

Infrastructure

30th September 2025

2.8%

Net current assets including cash - held in Sterling

30th November 2025

8.8%

 

During the three months to 30th November 2025, all strategies delivered positive returns in local currency terms, with private transportation contributing +0.3%, private real estate equity contributing +0.6%, and private infrastructure contributing minimally due to its limited remaining allocation1. During the quarter, the US dollar strengthened against Sterling2 and the underlying currencies in the portfolio, resulting in a net positive currency impact over the Company's quarter to 30th November 2025.

 

1 The local return contribution is calculated based on the NAV snapshot as of 30th November 2025, excluding cash held in JPM Liquidity Funds.

2The GBP/USD exchange rate was 1.32500 as at 30th November 2025, versus 1.35105 as at 31st August 2025. Currency impact does not factor in an offsetting gain/loss from the hedged infrastructure strategy, which is priced as at 30th September 2025.

 

Issued Share Capital

As at 30th November 2025, there were 75,458,150 shares in issue.

 

Portfolio Construction

As at 30th November 2025, the Company's portfolio was valued at £65.7 million (excluding cash held in JPM Liquidity Funds).

 

 

Geographical exposure percentage of NAV3

 

 

31.05.25

31.08.25

30.11.25

North America

45%

48%

47%

Asia Pacific

41%

46%

47%

Europe

14%

6%

6%

UK

~0%

~0%

~0%

Total

100%

100%

100%

 

3 As at 30th November 2025. Numbers may not sum due to rounding.

 

Private Asset Portfolio Metrics

Please see below for the metrics of JARA's private investments. As at 30th November 2025, private asset exposure represented 91% of JARA's NAV.

 

Investments

· 326 private investments and, at a more granular individual asset level, look through exposure to 1,454 individual assets. (31st August 2025: 326 private investments and 1,445 individual assets).

 

 

31.05.25

31.08.25

30.11.25

Investments

321

326

326

Assets

1,413

1,445

1,454

 

 

Currency

 

The main currency exposures4 of the portfolio are as follows:

 

Currency

 

 

31.05.25

31.08.25

30.11.25

USD

68%

54%

56%

JPY

8%

12%

12%

AUD

6%

9%

9%

SGD

6%

9%

9%

CNH

3%

5%

5%

NZD

3%

4%

4%

GBP

3%

4%

3%

 

4 Other currencies represent approximately 3% in aggregate. Numbers may not sum to 100% due to rounding.

 

11th December 2025

 

For Further Information

 

JPMorgan Funds Limited - Company Secretary

Telephone: 0800 20 40 20 or +44 1268 44 44 70

E-mail: [email protected]

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END
 
 
MSCFLFLIFLLLLIE

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