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The fund is a strong choice for investors seeking a strategy that has shown negative correlation in equity market corrections. Jupiter Absolute Return is managed primarily as a long-short U.K. and overseas equities fund that has flexibility to…
Click here to read this analyst report on the underlying fund.
Investment Objective: Jupiter Absolute Return I Acc
The Fund seeks to generate absolute return, over a 3 year rolling period, independent of market conditions, by investing on a global basis. Capital invested in the Fund is at risk and there is no guarantee that the investment objective will be achieved over the 3 year rolling periods or in respect of any other time period.
Portfolio Profile for Jupiter Absolute Return I Acc
* This share class has performance data calculated prior to the inception date, 2011-09-19. This is based upon a simulated/extended track record, using the track record of Jupiter Absolute Return (ISIN: GB00B5129B32), and is in accordance with Morningstars Extended Performance Methodology paper. To find out more about this,click here.
In order to provide consistency across the report data provided by different Asset Managers, the calculated data points presented are generated using Morningstars proprietary calculation methodology which is set out in more detail at
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The Morningstar Star Rating for Stocks is assigned based on an analysts estimate of a stocks fair value. It is projection/opinion and not a statement of fact. Morningstar assigns star ratings based on an analysts estimate of a stocks fair value. Four components drive the Star Rating: (1) our assessment of the firms economic moat, (2) our estimate of the stocks fair value, (3) our uncertainty around that fair value estimate and (4) the current market price. This process culminates in a single-point star rating that is updated daily. A 5-star represents a belief that the stock is a good value at its current price; a 1-star stock isnt. If our base-case assumptions are true the market price will converge on our fair value estimate over time, generally within three years. Investments in securities are subject to market and other risks. Past performance of a security may or may not be sustained in future and is no indication of future performance. For detail information about the Morningstar Star Rating for Stocks, please visithere
Quantitative Fair Value Estimate represents Morningstars estimate of the per share dollar amount that a companys equity is worth today. The Quantitative Fair Value Estimate is based on a statistical model derived from the Fair Value Estimate Morningstars equity analysts assign to companies which includes a financial forecast of the company. The Quantitative Fair Value Estimate is calculated daily. It is a projection/opinion and not a statement of fact. Investments in securities are subject to market and other risks. Past performance of a security may or may not be sustained in future and is no indication of future performance. For detail information about the Quantiative Fair Value Estimate, please visithere
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