JPMORGAN LARGE CAP VALUE FUND SELECT CLASS(HLQVX) USD 18.49
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.33%USD 0.06USD0.060452023-03-29
20225.61%USD 1.037USD0.080532022-12-20
USD0.786922022-12-13
USD0.06822022-09-28
USD0.062232022-06-28
USD0.038972022-03-29
20218.41%USD 1.555USD0.062252021-12-20
USD1.383272021-12-13
USD0.061832021-09-28
USD0.023862021-06-28
USD0.023452021-03-29
20200.94%USD 0.174USD0.045022020-12-18
USD0.037342020-09-28
USD0.060082020-06-26
USD0.031612020-03-27
20191.13%USD 0.209USD0.070392019-12-19
USD0.048472019-09-26
USD0.051932019-06-26
USD0.038532019-03-27
20185.96%USD 1.101USD0.056912018-12-19
USD0.908082018-12-12
USD0.050022018-09-26
USD0.04342018-06-27
USD0.042762018-03-27
20177.73%USD 1.429USD0.041042017-12-20
USD1.277482017-12-13
USD0.035442017-09-27
USD0.042342017-06-28
USD0.032782017-03-29
20164.61%USD 0.853USD0.052972016-12-20
USD0.661252016-12-14
USD0.038682016-09-28
USD0.038412016-06-28
USD0.061452016-03-29
201510.07%USD 1.862USD1.734852015-12-11
USD0.036692015-09-28
USD0.051062015-06-26
USD0.039812015-03-27
201414.88%USD 2.751USD0.048972014-12-19
USD2.548422014-12-12
USD0.050342014-09-30
USD0.050692014-06-30
USD0.05242014-03-31
20133.68%USD 0.68USD0.047962013-12-20
USD0.106172013-12-12
USD0.407572013-10-16
USD0.042692013-09-30
USD0.040932013-06-28
USD0.034792013-03-28
20120.74%USD 0.138USD0.050622012-12-18
USD0.034462012-09-28
USD0.024792012-06-29
USD0.027762012-03-30
20110.74%USD 0.138USD0.042812011-12-20
USD0.029872011-09-30
USD0.03342011-06-30
USD0.031632011-03-31
20100.63%USD 0.117USD0.036662010-12-20
USD0.029372010-09-30
USD0.028482010-06-30
USD0.022722010-03-31
20090.91%USD 0.167USD0.033562009-12-21
USD0.029652009-06-30
USD0.104162009-03-31
20081.06%USD 0.195USD0.042092008-12-22
USD0.050522008-09-30
USD0.049232008-06-30
USD0.053562008-03-31
200722.77%USD 4.21USD0.058232007-12-20
USD3.967252007-12-17
USD0.048962007-09-28
USD0.075622007-06-29
USD0.06012007-03-30
20069.79%USD 1.811USD0.073882006-12-22
USD1.530782006-12-15
USD0.064932006-09-29
USD0.074852006-06-30
USD0.066182006-03-31
20053.75%USD 0.694USD0.068542005-12-30
USD0.46082005-12-15
USD0.056152005-09-30
USD0.05642005-06-30
USD0.05222005-03-31
20041.13%USD 0.209USD0.0772004-12-31
USD0.0462004-09-30
USD0.0452004-06-30
USD0.0412004-03-31
20030.74%USD 0.137USD0.0452003-12-31
USD0.0352003-09-30
USD0.0292003-06-30
USD0.0282003-03-31
20020.61%USD 0.112USD0.0352002-12-31
USD0.0322002-09-30
USD0.0272002-06-28
USD0.0182002-03-28
20010.56%USD 0.103USD0.0262001-12-31
USD0.0232001-09-28
USD0.0272001-06-29
USD0.0272001-03-30
20000.65%USD 0.12USD0.0312000-12-29
USD0.0292000-09-29
USD0.0332000-06-30
USD0.0272000-03-31