JPMORGAN INCOME BUILDER FUND CLASS R6(JNBZX) USD 9.56
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.31%USD 0.126USD0.052282023-03-29
USD0.03962023-02-24
USD0.033782023-01-27
20224.58%USD 0.438USD0.039892022-12-28
USD0.0382022-11-28
USD0.022572022-10-27
USD0.036392022-09-28
USD0.036612022-08-29
USD0.03622022-07-27
USD0.043362022-06-28
USD0.041582022-05-26
USD0.039952022-04-27
USD0.04022022-03-29
USD0.032552022-02-24
USD0.030892022-01-27
202110.07%USD 0.963USD0.072021-12-29
USD0.496192021-12-13
USD0.032222021-11-26
USD0.031342021-10-27
USD0.040422021-09-28
USD0.035992021-08-27
USD0.035582021-07-28
USD0.044062021-06-28
USD0.039832021-05-26
USD0.037732021-04-28
USD0.045042021-03-29
USD0.029092021-02-24
USD0.025292021-01-27
20204.13%USD 0.395USD0.039652020-12-29
USD0.030272020-11-25
USD0.026852020-10-28
USD0.032192020-09-28
USD0.030522020-08-27
USD0.03442020-07-29
USD0.038532020-06-26
USD0.032572020-05-27
USD0.029122020-04-28
USD0.044622020-03-27
USD0.031892020-02-26
USD0.024282020-01-29
20194.83%USD 0.462USD0.050632019-12-27
USD0.015272019-12-12
USD0.038042019-11-26
USD0.030692019-10-29
USD0.033372019-09-26
USD0.035532019-08-28
USD0.032312019-07-29
USD0.042942019-06-26
USD0.042572019-05-29
USD0.038962019-04-26
USD0.043572019-03-27
USD0.031162019-02-26
USD0.027162019-01-29
20184.81%USD 0.46USD0.046132018-12-27
USD0.031912018-11-28
USD0.036232018-10-29
USD0.029822018-09-26
USD0.038562018-08-29
USD0.031742018-07-27
USD0.046262018-06-27
USD0.049892018-05-29
USD0.045562018-04-26
USD0.046782018-03-27
USD0.031422018-02-26
USD0.025892018-01-29
20170.74%USD 0.071USD0.037882017-12-27
USD0.032652017-11-28