Asia-Pacific Equity strategies

JF Asset Management, J.P. Morgan Asset Management’s Asian investment arm is recognised as the leading asset manager in Asia. We have more than 30 years of on-the-ground investment experience and retain one of the largest investment teams networked across the region.

Asia-Pacific markets are highly inefficient, and speculative investment frequently creates pricing anomalies that are harder to find in more developed markets. Our disciplined and systematic bottom up stock-picking process for Asia has been specifically designed to exploit anomalies and inefficiencies in these markets.

Key strategies

Asia Equity
A highly-diversified Asia (ex Japan)  strategy that looks to take low-risk relative to the FTSE World Pacific ex-Japan Index, while achieving steady performance over a rolling three-year period.

Asia Alpha Plus
An aggressive growth strategy that targets high levels of excess return using the manager’s best ideas.

Key to symbols

    Risk
Process Low Med High
Behavioural finance Behavioural Finance process - Low risk Behavioural Finance process - Medium risk Behavioural Finance process - High risk
Research driven Research driven process - Low risk Research driven process - Medium risk Research driven process - High risk
Manager driven Manager driven process - Low risk Manager driven process - Medium risk Manager driven process - High risk

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