JPMORGAN INTREPID VALUE FUND CLASS A(JIVAX) USD 27
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.37%USD 0.099USD0.099132023-03-29
20226.37%USD 1.72USD0.142472022-12-20
USD1.259522022-12-13
USD0.120932022-09-28
USD0.119382022-06-28
USD0.077522022-03-29
202133.68%USD 9.095USD0.113842021-12-20
USD8.746162021-12-13
USD0.113972021-09-28
USD0.069392021-06-28
USD0.051292021-03-29
20204.63%USD 1.249USD0.140882020-12-18
USD0.331342020-12-11
USD0.382812020-09-28
USD0.157042020-06-26
USD0.236852020-03-27
20199.60%USD 2.591USD0.110232019-12-19
USD2.125312019-12-12
USD0.129962019-09-26
USD0.121122019-06-26
USD0.104082019-03-27
201814.92%USD 4.028USD0.179192018-12-19
USD3.644432018-12-12
USD0.104072018-09-26
USD0.0912018-06-27
USD0.008852018-03-27
201721.23%USD 5.732USD0.174372017-12-20
USD5.093972017-12-13
USD0.272632017-09-27
USD0.11272017-06-28
USD0.077842017-03-29
20162.99%USD 0.809USD0.142012016-12-20
USD0.274022016-12-14
USD0.182692016-09-28
USD0.124682016-06-28
USD0.085192016-03-29
20151.89%USD 0.511USD0.17142015-12-21
USD0.108382015-09-28
USD0.108732015-06-26
USD0.12252015-03-27
201412.17%USD 3.287USD0.125032014-12-19
USD2.867412014-12-12
USD0.085932014-09-30
USD0.113372014-06-30
USD0.09542014-03-31
20131.41%USD 0.38USD0.108542013-12-20
USD0.07012013-09-30
USD0.09372013-06-28
USD0.107572013-03-28
20121.53%USD 0.413USD0.129272012-12-18
USD0.111932012-09-28
USD0.098222012-06-29
USD0.073972012-03-30
20111.30%USD 0.352USD0.117412011-12-20
USD0.077642011-09-30
USD0.0562011-06-30
USD0.1012011-03-31
20100.65%USD 0.175USD0.083152010-09-30
USD0.046482010-06-30
USD0.045382010-03-31
20091.32%USD 0.357USD0.053192009-12-21
USD0.040942009-09-30
USD0.062832009-06-30
USD0.200212009-03-31
20081.07%USD 0.288USD0.115782008-09-30
USD0.085012008-06-30
USD0.087682008-03-31
20072.02%USD 0.545USD0.104432007-12-20
USD0.238712007-12-17
USD0.070592007-09-28
USD0.069062007-06-29
USD0.061962007-03-30
20062.11%USD 0.571USD0.100122006-12-22
USD0.276342006-12-15
USD0.064422006-09-29
USD0.010172006-08-30
USD0.062042006-06-30
USD0.057772006-03-31
20053.93%USD 1.061USD0.153732005-12-27
USD0.578632005-12-15
USD0.059072005-09-30
USD0.174962005-08-30
USD0.057452005-06-30
USD0.037192005-03-31