JPMORGAN SMARTRETIREMENT 2025 FUND SELECT CLASS(JNSSX) USD 15.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.73%USD 1.037USD0.376512022-12-30
USD0.660932022-12-15
202114.94%USD 2.303USD0.297842021-12-31
USD1.80422021-12-15
USD0.057452021-09-30
USD0.077162021-06-30
USD0.065992021-03-31
20205.73%USD 0.883USD0.175822020-12-31
USD0.489652020-12-15
USD0.070012020-09-30
USD0.070872020-06-30
USD0.076212020-03-31
201915.50%USD 2.389USD0.201812019-12-31
USD1.930312019-12-16
USD0.096582019-09-30
USD0.089242019-06-28
USD0.071362019-03-29
20186.41%USD 0.988USD0.286392018-12-31
USD0.491112018-12-14
USD0.0732018-09-28
USD0.073352018-06-29
USD0.064282018-03-29
20175.03%USD 0.774USD0.213162017-12-29
USD0.379162017-12-15
USD0.059282017-09-29
USD0.064122017-06-30
USD0.058642017-03-31
20163.32%USD 0.512USD0.181242016-12-30
USD0.150532016-12-16
USD0.067252016-09-30
USD0.063612016-06-30
USD0.049182016-03-31
20153.56%USD 0.548USD0.207982015-12-31
USD0.192842015-12-18
USD0.042482015-09-30
USD0.074112015-06-30
USD0.030842015-03-31
20144.66%USD 0.718USD0.317192014-12-31
USD0.21252014-12-17
USD0.068512014-09-30
USD0.066362014-06-30
USD0.053742014-03-31
20134.90%USD 0.755USD0.294442013-12-31
USD0.260592013-12-18
USD0.049012013-09-30
USD0.06252013-06-28
USD0.088052013-03-28
20122.24%USD 0.345USD0.144972012-12-31
USD0.01232012-12-21
USD0.081652012-09-28
USD0.048872012-06-29
USD0.057572012-03-30
20112.39%USD 0.368USD0.146572011-12-30
USD0.049262011-12-23
USD0.04492011-09-30
USD0.06832011-06-30
USD0.059152011-03-31
20102.34%USD 0.361USD0.128962010-12-31
USD0.067162010-12-23
USD0.058692010-09-30
USD0.06492010-06-30
USD0.04122010-03-31
20091.76%USD 0.272USD0.13512009-12-31
USD0.067422009-09-30
USD0.037482009-06-30
USD0.031852009-03-31
20082.36%USD 0.363USD0.150712008-12-31
USD0.05312008-12-24
USD0.031882008-09-30
USD0.078972008-06-30
USD0.048642008-03-31
20072.96%USD 0.455USD0.418282007-12-31
USD0.037212007-09-28