JPMorgan U.S. Government Money Market Fund Institutional Class
IJGXX
NASDAQ
Weiss Ratings
IJGXX
Low
IJGXX
Industry Average
High
Reward
3.89
0.00
7.04
Risk
4.84
0.00
7.42
Dividend
IJGXX
Low
IJGXX
Industry Average
High
Dividend Yield
4.84%
0.00%
> 10.00%
Dividend Yield (Forward)
--
0.00%
35.59%
Asset Allocation
IJGXX
Low
IJGXX
Industry Average
High
Cash
74.15%
< 0.00%
> 80.00%
Stock
0.00%
< 0.00%
> 120.00%
U.S. Stock
0.00%
< 0.00%
> 90.00%
Non-U.S. Stock
0.00%
< 0.00%
> 40.00%
Bond
25.85%
< 10.00%
> 70.00%
U.S. Bond
25.85%
< 10.00%
> 60.00%
Non-U.S. Bond
0.00%
< 0.00%
> 20.00%
Preferred
0.00%
< 0.00%
> 10.00%
Convertible
0.00%
< 0.00%
> 10.00%
Other
0.00%
< 0.00%
> 10.00%
Performance
IJGXX
Low
IJGXX
Industry Average
High
1-Month Total Return
0.32%
< -10.00%
> 10.00%
3-Month Total Return
1.06%
< 0.00%
> 10.00%
6-Month Total Return
2.23%
< -10.00%
> 10.00%
Year to Date Total Return
0.93%
< 0.00%
> 10.00%
1-Year Total Return
4.85%
< 0.00%
> 20.00%
2-Year Total Return
10.33%
< 10.00%
> 50.00%
3-Year Total Return
13.02%
< 0.00%
> 30.00%
5-Year Total Return
13.10%
< 10.00%
> 170.00%
Last Bull Market Total Return
2.96%
< 0.00%
> 70.00%
Last Bear Market Total Return
0.15%
< -60.00%
> 10.00%
Price
IJGXX
Low
IJGXX
Industry Average
High
Closing Price
--
$1.71
$50.34
1-Month Low Price
--
$1.68
$49.17
1-Month High Price
--
$1.74
$51.95
52-Week Low Price
--
$1.55
$44.59
52-Week High Price
--
$1.80
$99.79
NAV
IJGXX
Low
IJGXX
Industry Average
High
NAV
$1.00
$0.33
> $50.00
1-Month Low NAV
$1.00
$0.32
> $50.00
1-Month High NAV
$1.00
$0.35
> $50.00
52-Week Low NAV
$1.00
$0.32
> $40.00
52-Week High NAV
$1.00
$0.97
> $50.00
Beta / Standard Deviation
IJGXX
Low
IJGXX
Industry Average
High
Beta
--
-27.97
21.33
Standard Deviation
0.46
0.00
> 30.00
Balance Sheet
IJGXX
Low
IJGXX
Industry Average
High
Total Assets
304.08B
< 3.77B
> 304.08B
Operating Ratios
IJGXX
Low
IJGXX
Industry Average
High
Expense Ratio
0.21%
0.00%
> 10.00%
Turnover Ratio
--
0.00%
8158.00%