JPMORGAN GLOBAL BOND OPPORTUNITIES FUND CLASS I(GBOSX) USD 9.58
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.05%USD 0.1USD0.033252023-03-29
USD0.030642023-02-24
USD0.036522023-01-27
20223.64%USD 0.349USD0.027342022-12-28
USD0.002282022-12-13
USD0.032842022-11-28
USD0.036872022-10-27
USD0.031112022-09-28
USD0.025132022-08-29
USD0.02112022-07-27
USD0.029912022-06-28
USD0.026642022-05-26
USD0.032282022-04-27
USD0.026282022-03-29
USD0.027382022-02-24
USD0.02962022-01-27
20212.85%USD 0.273USD0.017442021-12-29
USD0.027262021-11-26
USD0.023432021-10-27
USD0.027052021-09-28
USD0.023172021-08-27
USD0.011812021-07-28
USD0.027972021-06-28
USD0.021662021-05-26
USD0.021772021-04-28
USD0.024442021-03-29
USD0.024282021-02-24
USD0.022642021-01-27
20203.90%USD 0.374USD0.076452020-12-29
USD0.02792020-11-25
USD0.026522020-10-28
USD0.026272020-09-28
USD0.023112020-08-27
USD0.025922020-06-26
USD0.025922020-05-27
USD0.059582020-04-28
USD0.028852020-03-27
USD0.026882020-02-26
USD0.02612020-01-29
20194.31%USD 0.413USD0.169162019-12-27
USD0.031462019-11-26
USD0.025892019-10-29
USD0.023342019-09-26
USD0.032012019-08-28
USD0.005662019-07-29
USD0.00842019-06-26
USD0.00812019-05-29
USD0.012322019-04-26
USD0.031672019-03-27
USD0.033682019-02-26
USD0.030962019-01-29
20185.73%USD 0.549USD0.188912018-12-27
USD0.038782018-11-28
USD0.02332018-10-29
USD0.030742018-09-26
USD0.031032018-08-29
USD0.030262018-07-27
USD0.033542018-06-27
USD0.032682018-05-29
USD0.034232018-04-26
USD0.035222018-03-27
USD0.034842018-02-26
USD0.035832018-01-29
20173.57%USD 0.342USD0.040682017-12-27
USD0.014862017-10-27
USD0.013932017-09-27
USD0.032942017-08-29
USD0.044042017-07-27
USD0.031492017-06-28
USD0.029912017-05-26
USD0.032142017-04-26
USD0.03182017-03-29
USD0.033722017-02-24
USD0.036792017-01-27
20165.01%USD 0.48USD0.1032016-12-28
USD0.0532016-11-28
USD0.0492016-10-27
USD0.012016-09-28
USD0.0282016-08-29
USD0.0342016-07-27
USD0.0322016-06-28
USD0.0322016-05-26
USD0.0332016-04-27
USD0.0392016-03-29
USD0.0332016-02-25
USD0.0342016-01-27
20155.19%USD 0.497USD0.1112015-12-29
USD0.0532015-11-25
USD0.0532015-10-28
USD0.0332015-09-28
USD0.0382015-08-27
USD0.0422015-07-29
USD0.0372015-06-26
USD0.0332015-05-27
USD0.0962015-04-28
USD0.0012015-03-27
20144.84%USD 0.463USD0.1692014-12-30
USD0.006412014-12-12
USD0.0212014-11-28
USD0.0152014-10-31
USD0.0222014-09-30
USD0.0472014-08-29
USD0.0912014-06-30
USD0.0162014-05-30
USD0.0232014-04-30
USD0.0252014-03-31
USD0.0282014-01-31
20133.19%USD 0.305USD0.0652013-12-31
USD0.053352013-12-12
USD0.0372013-11-29
USD0.042013-09-30
USD0.0192013-08-30
USD0.0172013-07-31
USD0.032013-06-28
USD0.0442013-05-31