JPMORGAN HEDGED EQUITY FUND CLASS A(JHQAX) USD 26.31
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.14%USD 0.036USD0.035732023-03-29
20220.69%USD 0.181USD0.072262022-12-20
USD0.051632022-09-28
USD0.042582022-06-28
USD0.014622022-03-29
20210.51%USD 0.134USD0.044652021-12-20
USD0.031732021-09-28
USD0.03042021-06-28
USD0.027172021-03-29
20200.81%USD 0.214USD0.048432020-12-18
USD0.080942020-09-28
USD0.054052020-06-26
USD0.030132020-03-27
20190.72%USD 0.188USD0.058862019-12-19
USD0.045512019-09-26
USD0.043442019-06-26
USD0.040412019-03-27
20180.66%USD 0.174USD0.003242018-12-28
USD0.05992018-12-19
USD0.04162018-09-26
USD0.04042018-06-27
USD0.02842018-03-27
20170.55%USD 0.146USD0.04592017-12-20
USD0.02842017-09-27
USD0.0372017-06-28
USD0.03442017-03-29
20160.73%USD 0.192USD0.05142016-12-20
USD0.06452016-09-28
USD0.04522016-06-28
USD0.03062016-03-29
20150.59%USD 0.155USD0.05832015-12-21
USD0.02992015-09-28
USD0.03862015-06-26
USD0.02792015-03-27
20140.66%USD 0.175USD0.00482014-12-30
USD0.05252014-12-19
USD0.00322014-09-30
USD0.11432014-06-30