JPMORGAN GLOBAL ALLOCATION FUND CLASS A(GAOAX) USD 17.84
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.37%USD 0.78USD0.665852022-12-30
USD0.044972022-09-30
USD0.055572022-06-30
USD0.013462022-03-31
202112.17%USD 2.171USD0.250142021-12-31
USD1.800772021-12-15
USD0.04732021-09-30
USD0.050522021-06-30
USD0.022242021-03-31
20202.08%USD 0.371USD0.157052020-12-31
USD0.144872020-12-15
USD0.034412020-06-30
USD0.034412020-03-31
20192.63%USD 0.469USD0.250142019-12-31
USD0.093132019-09-30
USD0.122462019-06-28
USD0.003252019-03-29
20182.40%USD 0.429USD0.247652018-12-31
USD0.0712018-09-28
USD0.11032018-06-29
20173.08%USD 0.549USD0.128672017-12-29
USD0.292492017-12-15
USD0.108022017-06-30
USD0.019732017-03-31
20162.39%USD 0.426USD0.188672016-12-30
USD0.081562016-09-30
USD0.105072016-06-30
USD0.050672016-03-31
20150.86%USD 0.154USD0.074652015-12-31
USD0.018562015-12-18
USD0.008162015-06-30
USD0.052452015-03-31
20145.25%USD 0.937USD0.280212014-12-31
USD0.556452014-12-17
USD0.005442014-09-30
USD0.078072014-06-30
USD0.017312014-03-31
20133.45%USD 0.615USD0.058642013-12-31
USD0.361332013-12-18
USD0.03592013-09-30
USD0.127822013-06-28
USD0.031212013-03-28
20121.82%USD 0.325USD0.210972012-12-18
USD0.003792012-09-28
USD0.110472012-06-29