J.P. Morgan Asset Management is a world leader in providing currency management solutions for sophisticated global investors. Our specialist currency management team manages $161 billion in assets* (as of September 30, 2013) with continuous track records for some clients exceeding fifteen years.
From the very earliest days of global investing and the move away from fixed exchange rates in the early 1970s, J.P. Morgan Asset Management adhered to the view that currency exposures should be treated as a separate decision within a client's overall asset allocation. From these experiences, we progressed in the 1980s to the development of an active currency approach, where these skills could be applied to the currency exposure of assets managed by other firms. Along with several other early entrants, we became a pioneer in what is now an established industry.
Our currency team seeks to provide currency solutions for a wide variety of clients. We have established a long-term track record of delivering performance in the currency industry through innovation and continuous self-assessment. This includes controlling risk using sophisticated passive management techniques, active management of both major and emerging market currencies, and currency as an alternative investment.
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* Represents Total External and Internal.
The managers seek to achieve the stated objectives. There can be no guarantee the objectives will be met.