ETF Comparison: JREA vs F4DE

比較選擇

JREA
F4DE

ETF 說明

JREA - JPMorgan AC Asia Pacific ex Japan Research Enhanced Index Equity (ESG) UCITS ETF USD (acc)

The JPMorgan AC Asia Pacific ex Japan Research Enhanced Index Equity (ESG) UCITS ETF USD (acc) is an actively managed equity ETF that tracks the JP Morgan AC Asia Pacific ex Japan Research Enhanced Index Equity (ESG) index. The fund invests in companies from developed and emerging markets in the Asia Pacific region, excluding Japan, with a focus on environmental, social, and governance (ESG) considerations. The ETF aims to generate a higher return than the MSCI AC Asia Pacific ex Japan index while avoiding companies with negative ESG impacts.

F4DE - Ossiam Food for Biodiversity UCITS ETF 1A (EUR)

The Ossiam Food for Biodiversity UCITS ETF 1A (EUR) is an actively managed equity ETF that invests in companies primarily from developed markets, which are active in the agriculture and food sectors. The fund's selection is based on financial, ESG, and biodiversity data, with a focus on promoting sustainable agriculture practices. The ETF has a total expense ratio of 0.75% and follows an accumulating distribution policy.

比較表

JREAF4DE
基金名稱JPMorgan AC Asia Pacific ex Japan Research Enhanced Index Equity (ESG) UCITS ETF USD (acc)Ossiam Food for Biodiversity UCITS ETF 1A (EUR)
Fund ProviderJPMorgan ChaseOssiam
IndexJP Morgan AC Asia Pacific ex Japan Research Enhanced Index Equity (ESG)Ossiam Food for Biodiversity
Asset ClassEquityEquity
ListingEU-listedEU-listed
Expense Ratio0.3%0.75%
Inception Date2022-02-152020-12-30
Number Of Holdings36442
CurrencyUSDEUR
Distribution PolicyAccumulatingAccumulating
RegionAsia PacificGlobal
Investment StyleActiveActive
LeveragedNon-leveragedNon-leveraged

回測選項

1年前
3年前
5年前
7年前
10年前
20年前
30年前
年初
今天

摘要

Run the backtest to get the results

關鍵指標

績效指標

Run the backtest to get the results

風險指標

Run the backtest to get the results

詳細報酬

Run the backtest to get the results

績效分析

績效分析透過累積報酬、年底(EoY)報酬及 Sharpe 比率、Sortino 比率等風險調整指標,評估歷史資料以衡量投資策略報酬。這有助於投資人在不同市場條件下評估絕對和相對績效。

累積報酬

Run the backtest to get the results

年底報酬表

Run the backtest to get the results

年底報酬

Run the backtest to get the results

風險分析

風險分析是指對可能導致資本損失的潛在負面事件進行評估。進行風險分析有助於決定是否應進行投資。這是透過回撤、波動率和 Beta 等風險指標來完成的,這些指標反映了利益相關者對投資策略一致性的信心。

回撤

Run the backtest to get the results

回撤表

Run the backtest to get the results

Monte Carlo 模擬

Monte Carlo 模擬是一種統計方法,透過從歷史資產價格資料中隨機抽樣產生大量潛在結果,用以預測投資組合報酬。它協助投資人評估各種市場條件下投資組合的潛在風險和報酬。模擬考慮初始投資,並可選擇性地模擬現金流情境,如固定投入、固定提款或比例提款。

重要提示:透過 Monte Carlo 模擬產生的預測純屬假設性質,不保證未來報酬。投資決策應考量多種因素,過去表現不代表未來結果。

Monte Carlo 指標

Run the backtest to get the results

模擬投資組合價格

Run the backtest to get the results
幫助
JREA vs F4DE - ETF Comparison · PortfolioMetrics