
The MSCI EAFE Index measures the equity market performance of developed markets outside the U.S. and Canada across 21 countries. The index is unmanaged, and investors cannot invest directly in an index. Source: MSCI. JCM3 Asset Management is not sponsored, endorsed, sold, or promoted by MSCI.
Performance reflects the Core Strategy, inception 29 February 2020. Returns are time-weighted, in USD, with dividends reinvested. Performance over 1 year is annualized. Underlying custodial accounts have changed for operational reasons; holdings, cash flows, and strategy have been continuous across linked accounts, and performance has been calculated on that linked basis. Gross-of-fees returns reflect trading costs and withholding taxes but exclude management fees. Net-of-fees returns deduct a simulated annual management fee of 0.70% for Separately Managed Accounts (SMAs) and 0.25% for Model Delivery. Past performance is not indicative of future results; investments may lose value. Benchmark: MSCI EAFE — shown for reference, unmanaged, and not directly investable.
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