J.P. Morgan Global Liquidity. Managed Reserves Fund Operation Services Guide. JPM Managed Reserves Fund



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J.P. Morgan Global Liquidity Managed Reserves Fund Operation Services Guide JPM Managed Reserves Fund Insight Process =use Results For+institutional only Strictly not for public distribution

Welcome to J.P. Morgan Global Liquidity Helping you conduct your transactions smoothly and efficiently is one of our most important services. In this guide, you will find all the basic information you need to open accounts, execute trades, view your statements and more. We hope this guide simplifies your liquidity management, and we look forward to helping you manage your transactions most effectively. How to contact us To open a new account, buy or sell shares, get fund information, or seek additional assistance, contact the J.P. Morgan Global Liquidity Client Service Team: EMEA Tel: +(352) 3410 3636 Fax: +(352) 3410 8855 Email: liquidity.client.services@jpmorgan.com Our team of specialists is available Monday through Friday from 09:00 CET to 18:00 EST. For sales inquiries call +44 (0) 207 742 6059 Postal address for all documentation such as Account Applications: JPMorgan Asset Management (Europe) S.àr.l. J.P. Morgan Global Liquidity Client Services & Operations European Bank and Business Centre 6 Route de Trèves, L-2633 Senningerberg Grand Duchy of Luxembourg Asia Hong Kong Tel: +(852) 2800 2792 Fax: +(852) 2800 4676 Toll-free numbers Singapore Tel: 800 8523 694 Fax: +65 6882 1196 China Netcom Tel: 10 800 852 1640 Fax: 10 800 852 1641 China Telecom Tel: 10 800 152 1640 Fax: 10 800 152 1641 Email: asia_liquidity_client_team@jpmorgan.com Our team of specialists is available Monday through Friday from 09:00 HKT to 18:00 HKT Postal address for all documentation such as Account Applications: J.P. Morgan Asset Management J.P. Morgan Global Liquidity Client Services Asia 21st Floor, Chater House, 8 Connaught Road Central, Hong Kong Opening a new account Opening a new account is easy. You can do so by calling our Client Service Team. You will need to submit the following documentation: Completed original account application form Original or certified copy of a list of authorised individuals on company letterhead Appropriate Anti-Money Laundering (AML) and Know Your Client (KYC) documentation in accordance with regulatory policy Your account will be set up as soon as we have received and verified your documentation. Please note that no redemption proceeds can be paid until the original or certified copies of the above documentation is received.

JPM Managed Reserves Fund Minimum Initial Subscription and Holding Amounts Class C (acc.) I (acc.) USD (or equivalent) 10 million 10 million Minimum Subsequent Subscription Amounts Class USD (or equivalent) C (acc.) 1,000 I (acc.) 1,000 Trading deadline: 14:30 CET Settlement: Trade date + 3 Fund Holiday Calendar Please refer to your prospectus for information on the business day of the funds. Additionally, the Funds Holiday Calendar for the entire year is available on our website www.jpmgloballiquidity.com Viewing your account, executing trades and downloading monthly statements can also be easily accomplished online at J.P. Morgan s Global Cash Portal: www.jpmgloballiquidity.com Transacting in the fund You can deal in the fund by fax, through our Global Cash Portal website, SWIFT, FTP file exchange or by phone (phone deals need to be confirmed by fax). Trades placed and accepted before the fund s trading deadline will be processed the same day. To purchase or redeem fund shares by phone in EMEA, call +(352) 3410 3636 with the following information: account name, account number, fund name and share class, amount of order and trade date. Please note that it is not possible to deal in the fund by phone in Asia. Please fax your transaction form to +(852) 2800 4676. Placing a purchase Trades must be placed before the fund s trading deadline. Please know your fund name, account number and the exact amount of the trade. You are advised to place trades as early in the day as possible and to provide J.P. Morgan with advance notice of large trades. Redeeming fund shares If your order is accepted before the cut-off time, proceeds will be transferred on the settlement day in the time zone of the currency s home country. All redemption proceeds will be paid on settlement date to the bank account(s) designated on your application form. Any changes to your payment instructions for redemptions must be requested in writing and signed by two authorised signatories. For your added security, before proceeds are paid out, call backs to additional authorised persons may be performed to confirm the change. Please call +(352) 3410 3636 in EMEA or +(852) 2800 2792 in Asia if you wish to make any other changes to your account. Please be aware that the bank account receiving the redemption payment must be in the same name as the fund account holder as we are not allowed to make third party payments. Placing a pre-advice call Pre-advice calls assist the JPM portfolio managers with managing large inflows/outflows within the fund, thus providing protection for all shareholders against unexpected flows. Whenever possible, it is requested that you provide notice as soon as possible. To place a pre-advice call, contact your Relationship Manager. Your Relationship Manager will relay this information to the appropriate group. This information should include the name of your organisation, approximate amount of the purchase or redemption and the length of the investment, if appropriate. Additional services If you have a JPMorgan Chase Bank account held in London, Frankfurt or New York (also available from additional EMEA branches), you can take advantage of our automated debiting functionality. With this feature added to your account, subscriptions placed into your J.P. Morgan Fund account will automatically debit your JPMorgan Chase Bank account, saving you an additional step. You can elect to receive your contract notes and monthly statements by email. To request more information on our automated debiting or e-mail statement services, please contact J.P. Morgan Global Liquidity Client Services at +(352) 3410 3636 in EMEA or +(852) 2800 2792 in Asia. The Global Cash Portal is available for online transacting and account viewing. Intra-day confirmations are now also available through the Global Cash Portal. If access is desired, please contact your relevant service centre.

Payments into the fund Payments into the JPM Managed Reserves Fund (Trade date + 3 settlement) Payments for subscriptions must be made to the bank accounts shown here: USD EUR JPY SGD GBP Account Name: JPM Funds Managed Reserves Account No.: 41313183 IBAN: GB94CHAS60924241313183 Correspondent Bank: JPMorgan Chase Bank, New York Swift: CHASUS33 Routing No: 021000021 Account Name: JPM Funds Managed Reserves Account No.: 41313184 IBAN: GB67CHAS60924241313184 Account Name: JPM Funds Managed Reserves Account No.: 41313185 IBAN: GB40CHAS60924241313185 Correspondent Bank: JPMorgan Chase Bank, Tokyo Swift: CHASJPJT Account Name: JPM Funds Managed Reserves Account No.: 31213507 IBAN: GB96CHAS60924231213507 Correspondent Bank: Oversea-Chinese Banking Corporation Limited, Singapore Swift: OCBCSGSG Account Name: JPM Funds Managed Reserves Account No.: 41313186 IBAN: GB13CHAS60924241313186

Global Liquidity Relationships that lead the world For further information, contact your J.P. Morgan Global Liquidity Relationship Manager or Client Service Representative at +(352) 3410 3636 in EMEA or +(852) 2800 2792 in Asia. You will discover what it means to invest for the short-term with the leader in global liquidity and a partner that takes the long-term view. For non US investors. Both, past performance and yield are not necessarily a guide for the future. Investments in foreign currencies could be liable to higher volatility. Changing currency rates may affect the value of an investment in foreign currencies both positively and negatively. J.P. Morgan Asset Management is the brand for the asset management business of JPMorgan Chase & Co. and its affiliates worldwide. The above communication is issued by the following entities: in the United Kingdom by JPMorgan Asset Management (UK) Limited which is regulated by the Financial Services Authority; in other EU jurisdictions by JPMorgan Asset Management (Europe) S.à r.l., Issued in Switzerland by J.P. Morgan (Suisse) SA, which is regulated by the Swiss Financial Market Supervisory Authority FINMA; in Hong Kong by JPMorgan Funds (Asia) Limited, which is regulated by the Securities and Futures Commission; in Singapore by JPMorgan Asset Management (Singapore) Limited, which is regulated by the Monetary Authority of Singapore; in Japan by JPMorgan Securities Japan Limited which is regulated by the Financial Services Agency and in the United states by J.P. Morgan Investment Management Inc., which is regulated by the Securities and Exchange Commission. LV JPM6291 10/13 Insight + Process = Results