INCOME ALLOCATION FUND CLASS A(JIAFX) USD 8.56
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.20%USD 0.103USD0.042382023-03-30
USD0.03762023-02-27
USD0.02272023-01-30
20225.89%USD 0.504USD0.117742022-12-19
USD0.032332022-11-29
USD0.035042022-10-28
USD0.051792022-09-29
USD0.035992022-08-30
USD0.033772022-07-28
USD0.040462022-06-29
USD0.038872022-05-27
USD0.034792022-04-28
USD0.043212022-03-30
USD0.026452022-02-25
USD0.013662022-01-28
202111.49%USD 0.984USD0.60192021-12-17
USD0.026792021-11-23
USD0.032122021-10-28
USD0.052172021-09-29
USD0.032582021-08-30
USD0.032252021-07-29
USD0.038892021-06-29
USD0.038432021-05-27
USD0.0342021-04-29
USD0.039722021-03-30
USD0.037932021-02-25
USD0.017142021-01-28
20203.89%USD 0.333USD0.19112020-12-18
USD0.028212020-11-24
USD0.030652020-10-29
USD0.026982020-09-29
USD0.014142020-08-28
USD0.013972020-07-30
USD0.008432020-06-29
USD0.017082020-02-27
USD0.002692020-01-30
20194.00%USD 0.342USD0.085372019-12-27
USD0.01822019-11-26
USD0.016672019-10-30
USD0.036962019-09-27
USD0.021822019-08-29
USD0.010452019-07-30
USD0.044132019-06-27
USD0.020772019-05-30
USD0.018582019-04-29
USD0.015742019-03-28
USD0.020982019-02-27
USD0.03242019-01-30
20183.82%USD 0.327USD0.045532018-12-27
USD0.022152018-11-29
USD0.022892018-10-30
USD0.033242018-09-27
USD0.021782018-08-30
USD0.034012018-07-30
USD0.048992018-06-28
USD0.01992018-05-30
USD0.01832018-04-27
USD0.03442018-03-28
USD0.018252018-02-27
USD0.007552018-01-30
20173.44%USD 0.294USD0.06622017-12-27
USD0.017242017-11-29
USD0.016452017-10-30
USD0.035092017-09-28
USD0.014872017-08-30
USD0.01372017-07-28
USD0.045642017-06-29
USD0.013532017-05-30
USD0.01282017-04-27
USD0.035612017-03-30
USD0.013532017-02-27
USD0.009812017-01-30
20163.38%USD 0.29USD0.069762016-12-28
USD0.012262016-11-29
USD0.011032016-10-28
USD0.070462016-09-29
USD0.012442016-08-30
USD0.013452016-07-28
USD0.045792016-06-29
USD0.0132016-05-27
USD0.015382016-04-28
USD0.026062016-03-30
20155.65%USD 0.484USD0.142752015-12-29
USD0.018322015-11-27
USD0.019492015-10-29
USD0.144632015-09-25
USD0.01432015-08-28
USD0.020332015-07-30
USD0.041712015-06-29
USD0.014262015-05-28
USD0.014332015-04-29
USD0.036482015-03-30
USD0.015492015-02-26
USD0.001482015-01-29
20141.13%USD 0.097USD0.096892014-12-29