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Intrepid Growth Fund - R2 (JIGZX)

Intrepid Growth Fund - R2 (JIGZX)
Overview Performance and Ratings Holdings and Details Management Dividends and Capital Gains Fees and Expenses Sales Resources

Objective

The Fund seeks to provide long-term capital growth.

Strategy/Investment process

  • Primarily invests in stocks of mid- and large-cap U.S. companies.
  • Seeks to invest in companies with attractive relative valuations and superior momentum than its benchmark.
  • Actively managed strategy that employs an investment process based on behavioral finance principles.
Performance basics
  Annualized returns (as of 3/31/2014)
  1 Year 3 Year 5 Year 10 Year
at NAV 23.65% 14.01% 21.18% 7.67%
Russell 1000 Growth Index 23.22% 14.62% 21.68% 7.86%
Lipper Large-Cap Growth Funds Index 25.04% 13.26% 20.32% 6.94%

The performance quoted is past performance and is not a guarantee of future results. Mutual funds are subject to certain market risks. Investment returns and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than original cost. Current performance may be higher or lower than the performance data shown. For performance current to the most recent month-end, please call 1-800-480-4111.

Annual operating expenses (%)
Expense cap expiration date  
Expense cap No Expense Cap
Total annual operating expenses 1.41%
Fee waivers and/or expense reimbursements 0.00%
Net expenses 1.41%

Total annual operating expenses
As of September 1, 2013, the Fund's advisory fee was reduced; therefore, the Management Fees, Total Annual Fund Operating Expenses, Fee Waivers and Expense Reimbursements and Total Annual Fund Operating Expenses After Fee Waivers and Expense Reimbursements have been restated to reflect the current fees, as applicable.

Ratings (as of 3/31/2014)
Morningstar overall rating: (1491 funds)
Morningstar category: Large Growth

Overall rating R2 Shares; Large Growth Category; 1491 funds. Three year rating 4 stars; 1491 funds. Five year rating 4 stars; 1305 funds. 10 year period not yet rated.

2014, Morningstar, Inc. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar and/or its providers; (2) may not be copied or distributed; (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damage or losses arising from any use of this information. Past performance is not a guarantee of future results. For each fund with a three-year history, Morningstar calculates a Morningstar Rating™ metric each month by subtracting the return on a 90-day U.S. Treasury Bill from the fund's load-adjusted return for the same period, and then adjusting this excess return for risk. The top 10% of funds in each broad asset class receive 5 stars, the next 22.5% receive 4 stars, the next 35% receive 3 stars, the next 22.5% receive 2 stars and the bottom 10% receive 1 star. The Overall Morningstar Rating for a fund is derived from a weighted average of the performance figures associated with its three-, five- and ten-year (if applicable) Morningstar Rating metrics. Past performance is no guarantee of future results. Different share classes may have different ratings.

The ranking information is provided by Lipper Analytical Services. Past performance is no guarantee of future results. Rankings are calculated based upon the total returns of multiple share classes within their respective Lipper category. Different share classes may have different rankings.

Minimum investments
Minimum investments Minimum subsequent investments
Regular No Minimum. Regular No Minimum.
IRA No Minimum. IRA No Minimum.
Daily stats (as of 4/16/2014)
NAV YTD
$34.41 0.35%
$0.54 | 1.59%  
 
NAV as of:
  • Fri
    Mar 07
    2014
    $35.24
     
  • Mon
    Mar 10
    2014
    $35.20
     
  • Tue
    Mar 11
    2014
    $35.04
     
  • Wed
    Mar 12
    2014
    $35.07
     
  • Thu
    Mar 13
    2014
    $34.56
     
  • Fri
    Mar 14
    2014
    $34.54
     
  • Mon
    Mar 17
    2014
    $34.86
     
  • Tue
    Mar 18
    2014
    $35.24
     
  • Wed
    Mar 19
    2014
    $34.99
     
  • Thu
    Mar 20
    2014
    $35.12
     
  • Fri
    Mar 21
    2014
    $34.88
     
  • Mon
    Mar 24
    2014
    $34.66
     
  • Tue
    Mar 25
    2014
    $34.73
     
  • Wed
    Mar 26
    2014
    $34.45
     
  • Thu
    Mar 27
    2014
    $34.33
     
  • Fri
    Mar 28
    2014
    $34.50
     
  • Mon
    Mar 31
    2014
    $34.89
     
  • Tue
    Apr 01
    2014
    $35.33
     
  • Wed
    Apr 02
    2014
    $35.44
     
  • Thu
    Apr 03
    2014
    $35.23
     
  • Fri
    Apr 04
    2014
    $34.56
     
  • Mon
    Apr 07
    2014
    $34.06
     
  • Tue
    Apr 08
    2014
    $34.18
     
  • Wed
    Apr 09
    2014
    $34.76
     
  • Thu
    Apr 10
    2014
    $33.82
     
  • Fri
    Apr 11
    2014
    $33.38
     
  • Mon
    Apr 14
    2014
    $33.64
     
  • Tue
    Apr 15
    2014
    $33.87
     
  • Wed
    Apr 16
    2014
    $34.41
     
 
52 Week High $35.44
(4/02/2014)
52 Week Low $27.61
(4/18/2013)
YTD Total Return w/Load N/A
Net Asset Class $566,292.40
Net Asset Fund $758,092,853.00

N/A: Not available at this time

Basics
Ticker JIGZX
CUSIP 4812A4310
Share Class Inception Date 11/03/2008
Fund Number 1028
Asset Class U.S. Equity
Cut-off time1 4:00 P.M.
J.P. Morgan Funds objective box




J.P. Morgan Funds objective box is based on the Fund's overall targeted capitalization and valuation range(s) as described in the Fund's prospectus.

There is no assurance that behavioral finance strategies will protect against the loss of capital.

1Please refer to the prospectus for additional information about cut-off times.

From 2/28/03 through 10/01/03, the Fund did not experience any shareholder purchase and sale activity. If such shareholder activity had occurred, the Fund's performance may have been impacted.

The quoted performance of the Fund includes performance of a predecessor fund/share class prior to the Fund's commencement of operations. Please refer to the current prospectus for further information.

The Russell 1000 Growth Index is an unmanaged index which measures the performance of those Russell 1000 companies with higher price-to-book ratios and higher forecasted growth values. The performance of the index does not reflect the deduction of expenses associated with a fund, such as investment management fees. By contrast, the performance of the Fund reflects the deduction of fund expenses, including sales charges if applicable. Investors can not invest directly in an index.

The performance of the Lipper Large-Cap Growth Funds Index includes expenses associated with a mutual fund, such as investment management fees. These expenses are not identical to the expenses charged by the Fund.

Total return assumes reinvestment of dividends and capital gains distributions and reflects the deduction of any sales charges, where applicable. Performance may reflect the waiver of a portion of the Fund's advisory or administrative fees for certain periods since the inception date. If fees had not been waived, performance would have been less favorable.

©2014, American Bankers Association, CUSIP Database provided by the Standard & Poor's CUSIP Service Bureau, a division of The McGraw-Hill Companies, Inc. All rights reserved.