JPMORGAN EMERGING MARKETS EQUITY FUND CLASS A(JFAMX) USD 28.65
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.09%USD 0.027USD0.027172022-12-20
20214.65%USD 1.332USD0.070132021-12-20
USD1.261832021-12-13
20190.60%USD 0.172USD0.171512019-12-19
20180.42%USD 0.121USD0.12092018-12-19
20170.14%USD 0.041USD0.00192017-12-28
USD0.03922017-12-20
20160.36%USD 0.103USD0.00722016-12-29
USD0.09552016-12-20
20150.38%USD 0.11USD0.11012015-12-21
20140.66%USD 0.188USD0.18842014-12-19
20130.26%USD 0.075USD0.07522013-12-20
20120.27%USD 0.078USD0.00712012-12-31
USD0.07042012-12-18
20100.30%USD 0.086USD0.08552010-12-20
20090.15%USD 0.043USD0.04322009-12-21
20080.86%USD 0.247USD0.01682008-12-31
USD0.23052008-12-22
20070.06%USD 0.019USD0.01862007-12-20
20060.19%USD 0.054USD0.05422006-12-22
20050.09%USD 0.025USD0.02452005-12-20
20040.20%USD 0.056USD0.0562004-12-14
20030.34%USD 0.097USD0.0972003-12-16
20020.12%USD 0.034USD0.0342002-12-17