JPMORGAN INTERNATIONAL EQUITY FUND CLASS C(JIECX) USD 16.93
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.76%USD 0.299USD0.298562022-12-20
20217.42%USD 1.256USD0.269942021-12-20
USD0.985672021-12-13
20200.42%USD 0.072USD0.071812020-12-18
20192.45%USD 0.415USD0.396442019-12-19
USD0.018282019-10-04
20182.39%USD 0.404USD0.238322018-12-19
USD0.16612018-12-12
20171.01%USD 0.172USD0.171682017-12-20
20161.01%USD 0.17USD0.013612016-12-20
USD0.156632016-06-28
20151.11%USD 0.188USD0.024432015-12-21
USD0.138762015-06-26
USD0.024932015-03-27
20141.81%USD 0.307USD0.007662014-12-19
USD0.253072014-06-30
USD0.046182014-03-31
20130.82%USD 0.138USD0.003652013-12-20
USD0.124662013-06-28
USD0.009862013-03-28
20120.96%USD 0.162USD0.015272012-12-18
USD0.121452012-06-29
USD0.025032012-03-30
20110.96%USD 0.162USD0.007992011-12-20
USD0.12992011-06-30
USD0.023872011-03-31
20100.92%USD 0.155USD0.001232010-09-30
USD0.10822010-06-30
USD0.0462010-04-30
20091.07%USD 0.181USD0.015142009-12-21
USD0.122142009-06-30
USD0.043922009-03-31
200850.28%USD 8.513USD7.932008-11-06
USD0.570592008-06-30
USD0.012462008-03-31
200754.50%USD 9.227USD0.074582007-12-20
USD8.750222007-11-28
USD0.401852007-06-29
200611.34%USD 1.919USD0.014562006-12-22
USD1.624472006-12-15
USD0.280452006-06-30
20054.32%USD 0.732USD0.039782005-12-20
USD0.530472005-12-15
USD0.101242005-09-30
USD0.042132005-06-30
USD0.018142005-03-31
20040.84%USD 0.142USD0.0732004-12-31
USD0.0472004-09-30
USD0.0012004-08-31
USD0.0212004-06-30
20030.89%USD 0.151USD0.0462003-12-31
USD0.0332003-09-30
USD0.0662003-06-30
USD0.0062003-03-31