JPMORGAN GBL EMERG MKTS INC TST PLCORD GBP0.01

Symbol: JEMI

This security went ex-dividend on 26/06/2025. Pay date is 31/07/2025

Whilst we endeavour to price investments on a real-time streaming or 15 min delayed basis, some prices may be as at close of business from the previous working day.

Invest in this share within an ISA, JISA, SIPP or Investment Account

Past Performance

  • 26th Jun 2020 to 26th Jun 202140.93%
  • 26th Jun 2021 to 26th Jun 2022-11.94%
  • 26th Jun 2022 to 26th Jun 20234.41%
  • 26th Jun 2023 to 26th Jun 202412.66%
  • 26th Jun 2024 to 26th Jun 20259.04%

Key Information

Benchmark MSCI Emerging Markets
Sector IT Global Emerging Markets
Gearing 107%
Ex-Dividend Date 26 Jun 2025
Dividend Pay Date 31 Jul 2025
Total Dividends - Year to Date5.4
Dividend Yield (%)3.7241

Net Asset Value (Nav)

Latest actual NAV 161.10
Latest actual NAV date 24/06/2025
NAV frequency Daily
Premium/Discount -10.3%

Charges

Total Ongoing Charges 
Please note that whilst we endeavour to show all charges associated with specific funds, sometimes this is not possible due to the information not being made available by the fund provider. In such cases transaction or incidental cost information may be missing.
0.96%
Performance Fee No
AMC 0.88%
Our Platform Charge
We charge a platform fee of 0.30% per annum on the value of all stocks & shares held across all accounts, minimum £50 and maximum £600 per annum, charged pro-rata monthly in arrears. A full list of our rates and charges can be found here .
0.30%

Cost and Charges Information

This calculator provides you with costs and charges information regarding our charges and, where relevant, the costs within this investment product

Account Type

  • Investment Account
  • Stocks & Shares ISA
  • SIPP

Annual charges

These are the annual costs based on an initial investment amount of over 1 year assuming a net zero growth rate

Cost Category % of Investment lump sum costs
Our annual fee

Our annual fee

Includes our platform fee at 0.30% per annum (excluding Charles Stanley Multi Asset Funds and anycash held). The min fee is £60, the max is £600 per annum, plus SIPP administration fee (if applicable, only charged if < £30,000 held) – see here
0.30%
Dealing charges

Dealing charges

Any one-off commission charges associated with investing. Note that government taxes and levies are not included. This does not include any commission credits you may have available
N/A
Product provider costs

Product provider costs

Product provider costs shown are inclusive of the fund ongoing charges figure (OCF), transaction costs and incidental costs
0.96%
Total (£)

Total (£)

Costs per annum displayed in monetary value
Total (%)

Total (%)

Costs per annum displayed as a percentage of investment value

Cumulative effect of charges on your investment's return

This illustration assumes that costs occur evenly throughout the year, charges are paid out of the investment evenly throughout the year, and that an annual growth rate of applies evenly throughout the year, before any charges including product charges

lump sum invested with an assumed growth rate of 1 year years
What you might get back at  with no charges applied

What you might get back at  with no charges applied

These are the illustrative values of a  investment after growth and no costs applied at the end of the defined period
Annual charges

Annual charges

These are the annual costs based on an initial investment amount of assuming a net zero growth rate
Effect of charges on return (%)

Effect of charges on return (%)

These are the overall costs in percentage terms, based on an initial investment amount of assuming a growth rate
Effect of charges on return (£)

Effect of charges on return (£)

These are the overall costs in monetary value, based on an initial investment amount of assuming a growth rate
What you might get back at with charges applied

What you might get back at with charges applied

These are the illustrative values of a investment after growth and costs at the end of the defined period

This illustration is not a forecast of future investment performance but merely a means to demonstrate the potential impact of costs and charges for an assumed return of . Whilst we make reasonable endeavours to ensure the accuracy of third party charges information, this is intended for illustrative purposes only and should not be relied upon. We do not warrant or represent that this information is accurate, complete or up to date, therefore we accept no responsibility or liability for its use

Company

Business Summary

JPMorgan Global Emerging Markets Income Trust plc is a United Kingdom-based externally managed investment trust company. The Company's investment objective is to provide investors with a dividend income combined with the potential for long-term capital growth from a diversified portfolio of emerging markets investments. The Company invests predominantly in listed equities but retains the flexibility also to invest in other types of securities, including, but not limited to, unlisted equities, convertible securities, preference shares, debt securities, cash and cash equivalents. The Company is free to invest in any particular market, sector or country in the global Emerging Markets universe. The Company’s portfolio contains between 50 and 80 holdings. No more than 15% of the Company’s gross assets shall be invested in the securities of any one company or group at the time the investment is made. The Company's investment manager is J.P. Morgan Asset Management.

Financial Summary

BRIEF: For the six months ended 31 January 2025, JPmorgn Glbl Emrgng Mrkts Incm Trust PLC revenues increased from -£6.8M to £26.8M. Net income totaled £23.3M vs. loss of £10.7M. Revenues reflect Gains/ (losses) on investments held increase from -£13.7M to £21.6M. Dividend per share remained flat at £0.02. Basic Earnings per Share excluding Extraordinary Items increased from -£0.04 to £0.08.

Performance

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      Cumulative Performance

      1 month3 months6 months1 year3 years5 years
      3.94% 7.41% 9.02% 9.04% 28.27% 59.17%

      Important Information
      Headline performance can mask the true characteristics of a fund. Without fully understanding how a fund is managed, you may inadvertently become exposed to an undesirable level of risk to your capital. Some funds carry a dilution levy which reduces the number of units realised on any initial investment as an initial charge. If this fund carries such a levy it should be detailed in the Key Investor Information Document (KIID), which we must provide and you should read before investing.

      The charts and performance data shown are supplied by an external data provider and may contain data that appears to precede the introduction of the clean unit class for this fund. In such cases, historical data has been synthesised at the entire discretion of that external provider as realistically as possible using historical data recorded against the previously available commission-paying version of the fund, adjusting for fees in the process.

      Composition

      Important Documents


      The documents listed below are the latest versions made available to our data provider by the fund management group, but may not necessarily reflect the applicable charges that would be levied should you purchase this fund via Charles Stanley Direct. You should treat the charges and other figures shown in the 'Overview' tab as accurate.

      Fund Provider Factsheet
      The Fact Sheet is supplied on a monthly basis by the management group and provides limited information on the fund. Past performance data and a review of how the fund has performed are commonly featured. &nbsp;
      FUND PROVIDER FACTSHEET
      413,070 bytes PDF Document; last updated 31 May 2025
      Key Information Document This document, issued by the product provider, provides key information about an investment product. The information is required by law to help potential investors understand the nature, risks, costs, potential gains and losses of the product and enable comparison with other products.
      KEY INFORMATION DOCUMENT
      65,378 bytes PDF Document; last updated 30 May 2025
      Semi Annual Report Published periodically through the course of the financial year of the fund, the report provides an overview of the fund's performance and the prospects for the remainder of the year. Included are portfolio changes (i.e. which stocks have been bought and sold), and changes in the geographical breakdown during the course of the previous 12 months.
      SEMI-ANNUAL REPORT
      2,191,603 bytes PDF Document; last updated 31 Jan 2025

      Management Team

      Jeffrey Roskell Omar Negyal Isaac Thong

      Jeffrey Roskell has managed this fund for 8 years and 10 months.

      Jeffrey Roskell Jeffrey Roskell, managing director, is a portfolio manager and head of the Income strategy within the Emerging Markets and Asia Pacific (EMAP) Equities team, based in Hong Kong. He joined the Firm in 1997 as an investment manager within the Global Equities team (previously known as the Global Portfolios Group) in Hong Kong and transferred to manage Asia Pacific portfolios in 2000. He joined the industry in 1992 as a graduate trainee with Prudential Portfolio Managers Limited in London, and subsequently specialised in managing portfolios investing in Continental European equities. Jeffrey obtained an M.A. in Economics from Cambridge University and the Investment Management Certificate from London Business School.

      Manager Cumulative Performance v Peer Group

      Performance Graph

      Omar Negyal has managed this fund for 12 years and 7 months.

      Omar Negyal Omar Negyal, executive director, is a portfolio manager for the Emerging Markets and Asia Pacific (EMAP) Income and Total Emerging Markets strategies within the EMAP Equities team, based in London. An employee since 2012, Omar previously worked at HSBC Global Asset Management (2009-2012), Lansdowne Partners (2006-2009) and F&C Asset Management (1998-2005). Omar has an M.A. and an M.Eng. in Chemical Engineering from the University of Cambridge and is a CFA Charterholder.

      Manager Cumulative Performance v Peer Group

      Performance Graph

      Isaac Thong has managed this fund for 5 years .

      Isaac Thong Isaac Thong, vice president, is a portfolio manager for the Emerging Markets and Asia Pacific (EMAP) Income and Total Emerging Markets strategies within the EMAP Equities team, based in London. He was previously a country specialist for Vietnam and Thailand equities and a member of the ASEAN team within the EMAP Equities team based in Singapore. He joined the Firm in 2013 from Maybank Asset Management where he was a senior investment analyst covering South Asian equities within the commodities space. He began his career in 2009 with ANZ Banking Group as an economic analyst for the Asia ex-Japan region. Isaac obtained a Bachelors of Commerce degree from McGill University and is a CFA Charterholder.

      Manager Cumulative Performance v Peer Group

      Performance Graph

      Financials


      Income Statement - All values are in GBP (M).

      Year Ending

      31/07/2024

      31/07/2023

      31/07/2022

      31/07/2021

      31/07/2020

      31/07/2019

      Total Revenue 34.78 44.76 -11.99 98.63 -32.41 53.79
      Gross profit 29.20 39.65 -16.27 93.86 -37.21 48.62
      Operating Profit/Loss 28.36 38.97 -16.97 93.19 -37.81 47.94
      Profit Before Tax 28.36 38.97 -16.97 93.19 -37.81 47.94
      Profit After Tax 25.43 37.19 -20.30 91.25 -39.39 45.70
      Equity Holders of Parent Company 25.43 37.19 -20.30 91.25 -39.39 45.70
      Minority Interest NIL NIL NIL NIL NIL NIL


      Balance Sheet - All values are in GBP (M).

      Year Ending

      31/07/2024

      31/07/2023

      31/07/2022

      31/07/2021

      31/07/2020

      31/07/2019

      Total Non-Current Assets 465.36 462.66 440.42 476.73 402.29 456.20
      Total Current Assets 5.96 6.87 12.84 4.98 8.30 7.68
      Total Assets 471.33 469.53 453.26 481.71 410.59 463.88
      Total Liabilities 32.70 31.68 36.73 29.21 34.17 32.91
      Total Net Assets 438.62 437.85 416.54 452.50 376.41 430.97
      Shareholders Funds 438.62 437.85 416.54 452.50 376.41 430.97
      Minority Interests NIL NIL NIL NIL NIL NIL
      Total Equity 438.62 437.85 416.54 452.50 376.41 430.97

      Investment involves risk. You may get back less than invested.