JPMORGAN U.S. EQUITY FUND INSTITUTIONAL CLASS(JMUEX) USD 18.57
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.27%USD 0.049USD0.049372023-03-29
20224.71%USD 0.874USD0.057082022-12-20
USD0.674762022-12-13
USD0.057882022-09-28
USD0.049032022-06-28
USD0.035422022-03-29
202112.80%USD 2.377USD0.035852021-12-20
USD2.226322021-12-13
USD0.033252021-09-28
USD0.035182021-06-28
USD0.046192021-03-29
20206.81%USD 1.265USD0.03462020-12-18
USD1.106612020-12-11
USD0.042862020-09-28
USD0.042352020-06-26
USD0.03872020-03-27
20198.74%USD 1.623USD0.047422019-12-19
USD1.463012019-12-12
USD0.040492019-09-26
USD0.041282019-06-26
USD0.030972019-03-27
201810.57%USD 1.963USD0.049592018-12-19
USD1.790062018-12-12
USD0.04892018-09-26
USD0.042912018-06-27
USD0.031852018-03-27
20177.65%USD 1.42USD0.05342017-12-20
USD1.258492017-12-13
USD0.041562017-09-27
USD0.037342017-06-28
USD0.029362017-03-29
20163.75%USD 0.696USD0.049582016-12-20
USD0.534492016-12-14
USD0.042792016-09-28
USD0.031572016-06-28
USD0.037292016-03-29
20150.83%USD 0.154USD0.045572015-12-21
USD0.035962015-09-28
USD0.040572015-06-26
USD0.032372015-03-27
20147.82%USD 1.452USD0.068452014-12-19
USD1.268252014-12-12
USD0.038342014-09-30
USD0.041962014-06-30
USD0.035362014-03-31
20136.00%USD 1.114USD0.039652013-12-20
USD0.969882013-12-12
USD0.03572013-09-30
USD0.03792013-06-28
USD0.030642013-03-28
20122.12%USD 0.394USD0.059212012-12-18
USD0.236942012-12-13
USD0.036632012-09-28
USD0.029922012-06-29
USD0.031542012-03-30
20111.04%USD 0.193USD0.036522011-12-20
USD0.056562011-12-15
USD0.024992011-09-30
USD0.02792011-06-30
USD0.046952011-03-31
20100.43%USD 0.079USD0.004742010-12-20
USD0.02582010-09-30
USD0.024942010-06-30
USD0.023792010-03-31
20090.78%USD 0.146USD0.032812009-12-21
USD0.022232009-09-30
USD0.027752009-06-30
USD0.062922009-03-31
20080.85%USD 0.158USD0.052722008-12-18
USD0.03642008-09-30
USD0.03392008-06-30
USD0.035362008-03-31
20079.14%USD 1.697USD0.035022007-12-20
USD1.559462007-12-17
USD0.033512007-09-28
USD0.038122007-06-29
USD0.031052007-03-30
20068.31%USD 1.543USD0.041182006-12-22
USD1.268262006-12-15
USD0.036492006-09-29
USD0.122792006-08-30
USD0.039572006-06-30
USD0.034782006-03-31
20050.64%USD 0.118USD0.038562005-12-27
USD0.027632005-09-30
USD0.029772005-06-30
USD0.012532005-03-31
USD0.012005-02-15
20040.59%USD 0.11USD0.0492004-12-31
USD0.0232004-09-30
USD0.022004-06-30
USD0.0182004-03-31
20030.49%USD 0.091USD0.0262003-12-31
USD0.0212003-09-30
USD0.0252003-06-30
USD0.0192003-03-19
20020.37%USD 0.068USD0.0212002-12-20
USD0.0172002-09-26
USD0.0162002-06-26
USD0.0142002-03-26
20010.18%USD 0.034USD0.0242001-12-21
USD0.012001-06-21
20000.44%USD 0.082USD0.0522000-12-19
USD0.012000-08-17
USD0.022000-06-22