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Structured Credit Value Fund

JSVIX - I SHARES | JASVX - A SHARES | JSVCX - C SHARES | JASSX - R6 SHARES

Performance


Daily Prices and Returns as of 10/15/2021
Ticker Share Class NAV Chg % POP YTD
JSVIX I 11.06 0.00% 4.98%
JASVX A 11.31 -0.09% 11.54 4.76%
JSVCX C 11.05 -0.09% 4.12%
JASSX 11.20 0.00% 5.30%

Performance as of 9/30/2021
Ticker Share Class 1 MO YTD 1 YR 3 YR 5 YR Since Inception
JSVIX I 0.19% 4.79% 7.65% 8.96% N/A 8.91%
JASVX A 0.17% 4.67% 7.50% 9.39% N/A 9.33%
JSVCX C 0.11% 4.03% 6.62% 8.09% N/A 8.07%
JASSX 0.28% 5.11% 8.16% 9.37% N/A 9.31%

Inception date was 8/21/2018.

Performance data quoted above is historical. Past performance does not guarantee future results and current performance may be lower or higher than the performance data quoted. The investment return and principal value of an investment will fluctuate, so that shares when redeemed may be worth more or less than their original cost. Investors cannot invest directly into an index. For performance information current to the most recent month-end, please call 888.814.8180.

The Fund’s management has contractually waived a portion of its management fees until March 19, 2023 for I Shares, A Shares, C Shares and R6 Shares. The performance shown reflects the waivers without which the performance would have been lower. Total annual operating expenses before the expense reduction/reimbursement are 1.58% for I Shares, 1.80% for A Shares, 2.60% for C Shares, 1.59% for R6 Shares; total annual operating expenses after the expense reduction/ reimbursement are 1.53% for I Shares, 1.78% for A Shares, 2.53% for C Shares, 1.16% for R6 Shares1. 2.00% is the maximum sales charge on purchases of A Shares.