JPMORGAN EMERGING MARKETS STRATEGIC DEBT FUND CLASS R2(JECZX) USD 7.58
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.38%USD 0.029USD0.025692022-02-24
USD0.003442022-01-27
20214.59%USD 0.348USD0.056892021-12-29
USD0.027762021-11-26
USD0.024512021-10-27
USD0.030382021-09-28
USD0.046052021-08-27
USD0.054512021-07-28
USD0.009912021-06-28
USD5.0E-52021-05-26
USD0.026892021-04-28
USD0.031592021-03-29
USD0.00272021-02-24
USD0.036722021-01-27
20203.20%USD 0.243USD0.030372020-12-29
USD0.018532020-11-25
USD0.003692020-10-28
USD0.0242020-09-28
USD0.026352020-07-29
USD0.009912020-06-26
USD0.027722020-05-27
USD0.024652020-04-28
USD0.023892020-03-27
USD0.050832020-02-26
USD0.002682020-01-29
20193.97%USD 0.301USD0.077612019-12-27
USD0.030322019-11-26
USD0.024412019-10-29
USD0.029342019-09-26
USD0.026042019-08-28
USD0.023262019-07-29
USD0.01432019-06-26
USD0.01652019-05-29
USD0.025332019-04-26
USD0.023362019-03-27
USD0.010612019-02-26
20184.56%USD 0.346USD0.097152018-12-27
USD0.034592018-11-28
USD0.03022018-10-29
USD0.014292018-09-26
USD0.038672018-08-29
USD0.00532018-07-27
USD0.0392018-05-29
USD0.032722018-04-26
USD0.023432018-03-27
USD0.023212018-02-26
USD0.007312018-01-29
20174.48%USD 0.34USD0.041122017-12-27
USD0.023842017-11-28
USD0.027082017-10-27
USD0.029992017-09-27
USD0.028032017-08-29
USD0.015532017-07-27
USD0.034292017-06-28
USD0.026142017-05-26
USD0.029252017-04-26
USD0.006712017-03-29
USD0.016892017-02-24
USD0.060972017-01-27
20131.21%USD 0.092USD0.0192013-05-31
USD0.0162013-04-30
USD0.0052013-03-28
USD0.0212013-02-28
USD0.0312013-01-31
20121.13%USD 0.085USD0.0132012-12-31
USD0.008322012-12-13
USD0.022012-11-30
USD0.0172012-10-31
USD0.0272012-09-28