JPMORGAN FUNDS «...1617181920...» Page 19 out of 30 from 01/07/1988 to 07/08/2024 The price-sensitive information presented in other languages is a literal translation of the price-sensitive information stated in Spanish 02/12/2013 01:58 JPMORGAN FUNDS NAV and number of investors of foreign CIS La entidad comunica número de accionistas y patrimonio Register number: 196032 08/11/2013 08:09 JPMORGAN FUNDS NAV and number of investors of foreign CIS La entidad comunica número de accionistas y patrimonio Register number: 195022 28/10/2013 01:51 JPMORGAN FUNDS NAV and number of investors of foreign CIS La entidad comunica número de accionistas y patrimonio Register number: 194484 24/10/2013 01:50 JPMORGAN FUNDS NAV and number of investors of foreign CIS La entidad comunica número de accionistas y patrimonio Register number: 194348 23/10/2013 01:49 JPMORGAN FUNDS NAV and number of investors of foreign CIS La entidad comunica número de accionistas y patrimonio Register number: 194298 29/08/2013 12:21 JPMORGAN FUNDS Other price sensitive information regarding CIS Liquidación del Subfondo JPMorgan Funds – Pacific Technology Fund con efectos a partir del 30 de agosto de 2013. Register number: 192244 29/08/2013 12:18 JPMORGAN FUNDS Other price sensitive information regarding CIS Liquidación del Subfondo JPMorgan Funds – Japan Small Cap Fund con efectos a partir del 30 de agosto de 2013. Register number: 192242 05/08/2013 08:14 JPMORGAN FUNDS NAV and number of investors of foreign CIS La entidad comunica número de accionistas y patrimonio Register number: 191708 01/08/2013 01:40 JPMORGAN FUNDS NAV and number of investors of foreign CIS La entidad comunica número de accionistas y patrimonio Register number: 191523 25/07/2013 11:06 JPMORGAN FUNDS Other price sensitive information regarding CIS Liquidación del Subfondo JPMorgan Funds - UK Equity Fund con efectos a partir del 30 de agosto de 2013. Register number: 191069 Page 19 out of 30 «...1617181920...»