Jupiter European Select - L EUR ACC

LU0260085492UCITS FundEURAccumulatingFigures as of 2026-08-31
Global Equity
RiskMediumConcentrationBalancedRegionGlobalSectorBroad

Jupiter European Select - L EUR ACC is a global equity ucits fund from Jupiter Asset Management with a total expense ratio of 1.72% and a risk indicator of 4 on the 1–7 scale. Its ten largest positions weigh 35.5% of the portfolio, which FundFacts classifies as balanced. Regional focus: Global.

Key facts

TER1.72%
Fund sizeEUR 1.1bn
Inception2001-08-17
Holdings45
Asset classEquities
BenchmarkMSCI Europe Net Total Return Index

Risk indicator (SRRI)

1
2
3
4
5
6
7
Lower risk · lower rewardHigher risk · higher reward
Volatility 3y13.1%
Sharpe 3y0.56
Max drawdown-8.6%

Investment objective

To achieve long term capital growth by exploiting special investment opportunities in Europe. The Fund will invest in the shares and related securities of companies which have their registered office in Europe or exercise the predominant part of their economic activities in Europe.

Fund details

ISINLU0260085492
Fund houseJupiter Asset Management
StructureUCITS Fund
Share classL EUR ACC
Share class currencyEUR
Distribution policyAccumulating
DomicileLuxembourg
Launch date2001-08-17
BenchmarkMSCI Europe Net Total Return Index
SFDR classificationArticle 8
Asset classEquities
Fund sizeEUR 1.1bn
Number of holdings45

Fees and costs

Total expense ratio (TER)1.72%
Ongoing charges1.72%
Transaction costs0.06%
Entry charge5.00%
Exit charge0.00%
Performance fee0.00%
Reduction in yield, 1 year6.80%
Reduction in yield, holding period2.90%
Recommended holding period5 years

Growth of 100 since inception

20040020102014201820222026
Fund494MSCI Europe Net Total Return Index325
2006-08 → 2026-08 · rebased to 100
Computed from the NAV history the issuer publishes, monthly observations, rebased to 100 at the first point.

Calendar-year returns

+4.0%2020+25.5%2021−23.6%2022+17.4%2023−1.4%2024+11.5%2025
Fund MSCI Europe Net Total Return Index

Annualised returns

PeriodFundIndexDiff
1 Year+23.17%+21.26%+1.91%
3 Years p.a.+9.83%+15.12%−5.29%
5 Years p.a.+3.10%+9.78%−6.68%
10 Years p.a.+7.88%+9.31%−1.43%
Since Inception+7.38%+5.75%+1.63%

Largest sectors

  1. Financials25.7%
  2. Industrials18.5%
  3. Technology13.0%
  4. Consumer Discretionary10.5%
  5. Energy9.1%
  6. Basic Materials6.1%
  7. Consumer Staples5.4%
  8. Health Care4.8%
  9. Utilities2.6%
  10. Telecommunications2.0%

Largest countries

  1. Netherlands13.7%
  2. Germany12.8%
  3. United Kingdom12.6%
  4. Spain12.1%
  5. France10.0%
  6. Italy9.9%
  7. Other7.7%
  8. Ireland6.4%
  9. United States5.1%
  10. Belgium3.8%
+ 1 more

Concentration

Top 10 weight 35.5% — balanced
  1. 01Asml Holding5.13%
  2. 02Industria De Diseno Textil Sa3.81%
  3. 03Linde Plc3.80%
  4. 04Anheuser-Busch Inbev Sa3.78%
  5. 05Bbva3.53%
  6. 06London Stock Exchange Group3.26%
  7. 07Caixabank Sa3.06%
  8. 08Relx Plc3.05%
  9. 09Loreal Sa3.03%
  10. 10Totalenergies3.02%
Full holdings (45) in the API payload.

Frequently asked questions

What is the TER of Jupiter European Select - L EUR ACC?

The total expense ratio (TER) of Jupiter European Select - L EUR ACC (LU0260085492) is 1.72% per year.

How risky is Jupiter European Select - L EUR ACC?

Jupiter European Select - L EUR ACC has a risk indicator (SRRI) of 4 on a scale from 1 (lower risk) to 7 (higher risk), which FundFacts places in the medium risk band. Its 3-year volatility is 13.1%. Its maximum drawdown is -8.6%.

What are the top holdings of Jupiter European Select - L EUR ACC?

The largest positions of Jupiter European Select - L EUR ACC as of 2026-08-31 are Asml Holding (5.13%), Industria De Diseno Textil Sa (3.81%), Linde Plc (3.80%), Anheuser-Busch Inbev Sa (3.78%) and Bbva (3.53%). Its ten largest holdings make up 35.5% of the portfolio, out of 45 holdings in total.

What does Jupiter European Select - L EUR ACC invest in?

Jupiter European Select - L EUR ACC is a global equity ucits fund. Its largest exposures as of 2026-08-31 are by country, Netherlands 13.7%, Germany 12.8% and United Kingdom 12.6%; by sector, Financials 25.7%, Industrials 18.5% and Technology 13.0%.

How has Jupiter European Select - L EUR ACC performed?

Jupiter European Select - L EUR ACC returned +23.17% over one year, +3.10% a year over five years and +11.5% in calendar year 2025 as of 2026-08-31, according to the NAV history Jupiter Asset Management publishes. Past performance does not predict future returns.

Is Jupiter European Select - L EUR ACC accumulating or distributing?

Jupiter European Select - L EUR ACC is an accumulating share class: income from its holdings is reinvested in the fund rather than paid out.

Which index does Jupiter European Select - L EUR ACC track?

Jupiter European Select - L EUR ACC's benchmark is the MSCI Europe Net Total Return Index.

Where is Jupiter European Select - L EUR ACC domiciled and what is its SFDR classification?

Jupiter European Select - L EUR ACC is domiciled in Luxembourg (ISIN LU0260085492). It is classified under Article 8 of the EU Sustainable Finance Disclosure Regulation (SFDR).

Where does this data about Jupiter European Select - L EUR ACC come from?

FundFacts reads it from the documents Jupiter Asset Management publishes for this share class — product page, factsheet, key information document and, where available, holdings and NAV files — and refreshes it every 24 hours. The same factsheet is available as JSON from the FundFacts API.

Get this factsheet as JSON

Everything on this page, plus the full holdings, every breakdown, the monthly series and the risk statistics, is one REST call. Any fund or ETF by ISIN, refreshed every 24 hours from the issuer's own documents.
curl https://fundfactsapi.com/api/v1/demo/funds/LU0260085492
​
# any ISIN, with a free API key
curl https://fundfactsapi.com/api/v1/funds/LU0260085492 -H "Authorization: Bearer ffk_..."

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Open a Claude conversation about Jupiter European Select - L EUR ACC with this page as the source. Add the FundFacts MCP connector and Claude gets the same factsheet for every ISIN you ask about: fees, holdings, exposure, returns, overlap and portfolio look-through, with the as-of date of each figure.
Figures are read from the documents Jupiter Asset Management publishes for this share class (product page, factsheet, key information document and, where available, holdings and NAV files), as of 2026-08-31. The category, risk band, concentration and tilt labels are the FundFacts profile (fundfacts-profile/3), derived from those figures with fixed, published rules. FundFacts API is independent and not affiliated with, sponsored or endorsed by Jupiter Asset Management; fund names are used to identify the product only. Nothing on this page is investment advice.