JPMORGAN INTREPID EUROPEAN FUND SELECT CLASS(JFESX) USD 29.86
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.79%USD 0.237USD0.236552022-12-20
20212.43%USD 0.727USD0.726582021-12-20
20201.10%USD 0.33USD0.329662020-12-18
20192.56%USD 0.765USD0.765442019-12-19
20182.06%USD 0.614USD0.614182018-12-19
20171.48%USD 0.443USD0.443252017-12-20
20161.61%USD 0.482USD0.481842016-12-20
20151.03%USD 0.308USD0.308262015-12-21
20142.99%USD 0.894USD0.024722014-12-30
USD0.86922014-12-19
20130.20%USD 0.061USD0.00532013-12-31
USD0.05532013-12-20
20120.88%USD 0.264USD0.26382012-12-18
20111.96%USD 0.587USD0.01232011-12-30
USD0.57432011-12-20
20101.06%USD 0.317USD0.3172010-12-20
20091.34%USD 0.401USD0.40092009-12-21
20083.38%USD 1.009USD1.00942008-12-22
200713.07%USD 3.901USD0.4522007-12-20
USD3.44942007-12-17
20065.47%USD 1.634USD0.22692006-12-22
USD1.40722006-12-15
200511.26%USD 3.363USD0.20732005-12-20
USD3.1562005-12-15
20040.98%USD 0.294USD0.2942004-12-14
20030.01%USD 0.003USD0.0032003-12-16