JPMORGAN RESEARCH MARKET NEUTRAL FUND CLASS A(JMNAX) USD 12.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20207.21%USD 0.917USD0.914752020-12-11
USD0.002152020-08-27
201922.06%USD 2.804USD1.483272019-12-12
USD0.001972019-10-04
USD1.318572019-04-25
20181.05%USD 0.134USD0.133432018-12-12
USD0.000152018-08-29
20173.10%USD 0.394USD0.393912017-12-13
20143.06%USD 0.39USD0.389532014-12-12
20091.21%USD 0.154USD0.154162009-12-15
20081.23%USD 0.157USD0.024522008-09-30
USD0.017152008-06-30
USD0.115162008-03-31
20074.36%USD 0.554USD0.18612007-09-28
USD0.172242007-06-29
USD0.196072007-03-30
20065.06%USD 0.643USD0.070262006-12-22
USD0.114612006-09-29
USD0.176412006-06-30
USD0.282062006-03-31
20051.55%USD 0.198USD0.108992005-12-20
USD0.014162005-09-30
USD0.054072005-06-30
USD0.020392005-03-31