JPMORGAN INTERMEDIATE TAX FREE BOND FUND CLASS R6(JITZX) USD 10.05
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.78%USD 0.078USD0.026352023-03-29
USD0.025752023-02-24
USD0.026382023-01-27
20222.96%USD 0.298USD0.0262022-12-28
USD0.010222022-12-13
USD0.026342022-11-28
USD0.025942022-10-27
USD0.024732022-09-28
USD0.024182022-08-29
USD0.023342022-07-27
USD0.023982022-06-28
USD0.022592022-05-26
USD0.023872022-04-27
USD0.022122022-03-29
USD0.022492022-02-24
USD0.021922022-01-27
20213.58%USD 0.36USD0.022042021-12-29
USD0.090852021-12-13
USD0.022492021-11-26
USD0.022182021-10-27
USD0.022812021-09-28
USD0.022462021-08-27
USD0.022682021-07-28
USD0.022632021-06-28
USD0.02252021-05-26
USD0.02492021-04-28
USD0.0222021-03-29
USD0.021382021-02-24
USD0.021082021-01-27
20202.53%USD 0.255USD0.021292020-12-29
USD0.020322020-11-25
USD0.021892020-10-28
USD0.022032020-09-28
USD0.020992020-08-27
USD0.020212020-07-29
USD0.02062020-06-26
USD0.020252020-05-27
USD0.022362020-04-28
USD0.020892020-03-27
USD0.02192020-02-26
USD0.021872020-01-29
20192.10%USD 0.211USD3.0E-52019-12-27
USD0.023042019-11-26
USD3.0E-52019-10-29
USD0.02362019-09-26
USD3.0E-52019-08-28
USD0.022992019-07-29
USD0.024512019-06-26
USD0.023452019-05-29
USD0.024492019-04-26
USD0.022662019-03-27
USD0.023272019-02-26
USD0.023232019-01-29
20182.81%USD 0.283USD0.026382018-12-27
USD0.024562018-11-28
USD0.023852018-10-29
USD0.023742018-09-26
USD0.023352018-08-29
USD0.022042018-07-27
USD0.023562018-06-27
USD0.023282018-05-29
USD0.02442018-04-26
USD0.021112018-03-27
USD0.023172018-02-26
USD0.023392018-01-29
20170.47%USD 0.047USD0.024012017-12-27
USD0.023322017-11-28