JPMORGAN SMARTRETIREMENT* BLEND 2025 FUND SELECT CLASS(JBSSX) USD 21.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.94%USD 0.408USD0.40842022-12-30
20215.84%USD 1.228USD0.224752021-12-31
USD0.738322021-12-15
USD0.077212021-09-30
USD0.118552021-06-30
USD0.06922021-03-31
20203.79%USD 0.796USD0.11252020-12-31
USD0.414342020-12-15
USD0.095182020-09-30
USD0.087162020-06-30
USD0.086682020-03-31
20192.87%USD 0.603USD0.157182019-12-31
USD0.079622019-12-16
USD0.111632019-09-30
USD0.166412019-06-28
USD0.087742019-03-29
20184.95%USD 1.039USD0.159032018-12-31
USD0.549462018-12-14
USD0.1012018-09-28
USD0.15442018-06-29
USD0.075292018-03-29
20172.05%USD 0.432USD0.172892017-12-29
USD0.081092017-09-29
USD0.115992017-06-30
USD0.061532017-03-31
20161.92%USD 0.403USD0.15542016-12-30
USD0.074962016-09-30
USD0.113432016-06-30
USD0.059152016-03-31
20151.82%USD 0.382USD0.144642015-12-31
USD0.012232015-12-18
USD0.068012015-09-30
USD0.107732015-06-30
USD0.049662015-03-31
20142.07%USD 0.435USD0.125992014-12-31
USD0.066262014-12-17
USD0.066842014-09-30
USD0.120272014-06-30
USD0.05532014-03-31
20131.54%USD 0.323USD0.129492013-12-31
USD0.015062013-12-18
USD0.077292013-09-30
USD0.05442013-06-28
USD0.047172013-03-28
20121.07%USD 0.224USD0.121932012-12-31
USD0.102462012-09-28