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RNS Number : 3075V JPMorgan Global Core Real Assets Ld 09 August 2022
LONDON STOCK EXCHANGE ANNOUNCEMENT
JPMORGAN GLOBAL CORE REAL ASSETS LIMITED
MONTHLY NET ASSET VALUE
Legal Entity Identifier: 549300D8JHZTH6GI8F97
As highlighted in the Chairman's Statement of the Final Results announced on 4
July 2022 JPMorgan Global Core Real Assets Limited ("JARA" or "the Company")
is now releasing a Net Asset Value ("NAV") on a monthly basis.
The unaudited NAV as at 31 July 2022 is 106.07 pence per share.
A breakdown of the prices used in the calculation of the above NAV is provided
below:
Strategies
Name Date of price for Strategy % of JARA's NAV as at 31 July 2022
Real Estate Equity US 30 June 2022 21.9%
Real Estate Equity Asia 31 March 2022 18.4%
Real Estate Debt 31 March 2022 6.9%
Transportation 31 March 2022 18.0%
Infrastructure 31 March 2022 16.6.%
Liquid Strategy 31 July 2022 18.2%
Exchange rates - as at 31 July 2022. (The GBP/USD exchange rate was 1.21690 as
at 31 July 2022).
9 August 2022
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 constant currency capital appreciation through exposure to a
globally diversified portfolio of Core Real Assets in accordance with the
Company's investment policy. The Company is seeking 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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