3 Apr 2025 07:00
LONDON STOCK EXCHANGE ANNOUNCEMENT
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JPMORGAN GLOBAL CORE REAL ASSETS LIMITED
("JARA" or the "Company")
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MONTHLY PORTFOLIO UPDATE
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Legal Entity Identifier: 549300D8JHZTH6GI8F97
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Net Asset Value
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The Company's unaudited net asset value ('NAV') as at 31st March 2025 is 91.59 pence per share (28th February 2025 NAV: 93.93 pence per share), a decrease of 2.5%. The US dollar depreciated by approximately 2.5% against Sterling, which negatively impacted the NAV performance. The Company's share price as at 31st March 2025 was 83.00 pence and the discount to NAV was 9.4%.
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An analysis of the components to this NAV and the relevant dates for their valuation is provided below.
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Strategies
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Name | Date of price for Strategy | % of JARA's NAV as at 31st March 2025 |
Transportation | 30th September 2024 | 25.9% |
Infrastructure | 31st December 2024 | 25.7% |
Real Estate Equity - US | 31st December 2024 | 20.2% |
Real Estate Equity - Asia-Pacific | 31st December 2024 | 17.8% |
US Real Estate Debt | 31st December 2024 | 9.1% |
Cash | 31st March 2025 | 1.3% |
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Exchange Rates
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The GBP/USD exchange rate was 1.29075 as at 31st March 2025 (28th February 2025: 1.25915).
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3rd April 2025
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Emma Lamb
JPMorgan Funds Limited - Company Secretary
E-mail: jpmam.investment.trusts@jpmorgan.com
Telephone: 0800 20 40 20 (or +44 1268 44 44 70)
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