JPMORGAN MID CAP VALUE FUND INSTITUTIONAL CLASS(FLMVX) USD 34.31
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202211.73%USD 4.023USD0.430432022-12-20
USD3.592952022-12-13
202118.16%USD 6.232USD0.334882021-12-20
USD5.897222021-12-13
20208.32%USD 2.855USD0.451482020-12-18
USD2.403922020-12-11
20196.02%USD 2.064USD0.516362019-12-19
USD1.547752019-12-12
20187.98%USD 2.736USD0.577372018-12-19
USD2.158882018-12-12
20173.18%USD 1.091USD0.367852017-12-20
USD0.722892017-12-13
20167.47%USD 2.561USD0.31682016-12-20
USD2.244482016-12-14
20156.62%USD 2.272USD0.317412015-12-21
USD1.954242015-12-11
20149.31%USD 3.193USD0.40072014-12-19
USD2.792462014-12-12
20135.13%USD 1.761USD0.306372013-12-20
USD1.454692013-12-12
20121.82%USD 0.624USD0.405542012-12-18
USD0.218712012-12-13
20110.82%USD 0.282USD0.281952011-12-20
20100.93%USD 0.318USD0.283492010-12-20
USD0.0352010-04-30
20091.02%USD 0.351USD0.017462009-12-21
USD0.333652009-06-23
20082.47%USD 0.849USD0.17222008-12-22
USD0.67682008-12-18
20076.60%USD 2.266USD0.25082007-12-20
USD2.01522007-12-17
20064.34%USD 1.489USD0.36312006-12-22
USD0.94992006-12-15
USD0.17612006-08-30
20052.35%USD 0.806USD0.20572005-12-27
USD0.50782005-12-15
USD0.09212005-08-30
20041.15%USD 0.394USD0.38262004-12-14
USD0.01112004-08-31
20030.54%USD 0.187USD0.18662003-12-16
20020.22%USD 0.075USD0.06282002-12-17
USD0.01222002-07-31
20012.39%USD 0.82USD0.81992001-12-21