JPMORGAN INTERNATIONAL VALUE FUND CLASS C(JIUCX) USD 12.35
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.85%USD 0.351USD0.351492022-12-20
20214.17%USD 0.515USD0.515022021-12-20
20201.96%USD 0.242USD0.242362020-12-18
20193.33%USD 0.412USD0.411822019-12-19
20183.16%USD 0.391USD0.390852018-12-19
20171.79%USD 0.221USD0.22122017-12-20
20165.44%USD 0.672USD0.672032016-12-20
20150.57%USD 0.071USD0.070552015-12-21
20143.17%USD 0.391USD0.391042014-12-19
20131.80%USD 0.222USD0.222042013-12-20
20121.77%USD 0.219USD0.21872012-12-18
20112.60%USD 0.321USD0.320532011-12-20
20102.90%USD 0.359USD0.358642010-12-20
20091.83%USD 0.226USD0.225632009-12-21
20082.23%USD 0.276USD0.275692008-12-22
20079.25%USD 1.143USD0.160352007-12-20
USD0.98252007-12-17
20061.76%USD 0.218USD0.217962006-12-22