product: jpmorgan:fund_distribution
Data license: CC-BY-4.0 · Data source: bankproducts.info
This data as json
| id | bank_id | category | name | currency | client_type | target_group | description | valid_from | source_document_id | bpg | access_tier | is_tailored | notice_period_days | iso_account_type |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| jpmorgan:fund_distribution | jpmorgan | wealth_management | JPMorgan Funds Distribution | multi | private | high_net_worth | Distribution of JPMorgan Funds (Luxembourg SICAV) and JPMorgan ICAV (Irish UCITS ETFs) to Swiss clients. Fund management fees (JVBG/B&V) are published per share class in fund prospectuses and fee-reduction notices — but those are FUND fees, not Swiss-entity advisory fees. The Swiss entity layers its own advisory mandate on top. | BPG00301HAQE | pro | 1 |