JPMORGAN SMARTRETIREMENT 2025 FUND CLASS A(JNSAX) USD 15.35
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.54%USD 1.005USD0.343662022-12-30
USD0.660932022-12-15
202114.78%USD 2.269USD0.288972021-12-31
USD1.80422021-12-15
USD0.048982021-09-30
USD0.069792021-06-30
USD0.056972021-03-31
20205.57%USD 0.855USD0.167862020-12-31
USD0.489652020-12-15
USD0.063432020-09-30
USD0.065072020-06-30
USD0.068892020-03-31
201915.37%USD 2.359USD0.194562019-12-31
USD1.930312019-12-16
USD0.088772019-09-30
USD0.081272019-06-28
USD0.064252019-03-29
20186.24%USD 0.958USD0.279092018-12-31
USD0.491112018-12-14
USD0.0662018-09-28
USD0.065542018-06-29
USD0.056072018-03-29
20174.91%USD 0.753USD0.206222017-12-29
USD0.379162017-12-15
USD0.054472017-09-29
USD0.059312017-06-30
USD0.054312017-03-31
20163.23%USD 0.495USD0.177272016-12-30
USD0.150532016-12-16
USD0.062922016-09-30
USD0.059372016-06-30
USD0.045262016-03-31
20153.46%USD 0.531USD0.203852015-12-31
USD0.192842015-12-18
USD0.038032015-09-30
USD0.07012015-06-30
USD0.026632015-03-31
20144.57%USD 0.702USD0.312492014-12-31
USD0.21252014-12-17
USD0.064522014-09-30
USD0.062492014-06-30
USD0.050112014-03-31
20134.82%USD 0.739USD0.290032013-12-31
USD0.260592013-12-18
USD0.045332013-09-30
USD0.058762013-06-28
USD0.084412013-03-28
20122.16%USD 0.332USD0.141182012-12-31
USD0.01232012-12-21
USD0.078252012-09-28
USD0.045592012-06-29
USD0.05422012-03-30
20112.32%USD 0.356USD0.143592011-12-30
USD0.049262011-12-23
USD0.041752011-09-30
USD0.06522011-06-30
USD0.056172011-03-31
20102.34%USD 0.36USD0.126192010-12-31
USD0.067162010-12-23
USD0.056192010-09-30
USD0.062362010-06-30
USD0.0082010-04-21
USD0.039962010-03-31
20091.67%USD 0.257USD0.133572009-12-31
USD0.063132009-09-30
USD0.033412009-06-30
USD0.026672009-03-31
20082.16%USD 0.332USD0.146212008-12-31
USD0.05312008-12-24
USD0.023822008-09-30
USD0.068852008-06-30
USD0.040162008-03-31
20072.93%USD 0.449USD0.417852007-12-31
USD0.031192007-09-28