JPMORGAN DIVERSIFIED FUND INSTITUTIONAL CLASS(JPDVX) USD 13.65
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.46%USD 0.063USD0.063112023-03-31
20226.66%USD 0.909USD0.053462022-12-30
USD0.725172022-12-15
USD0.035792022-09-30
USD0.066952022-06-30
USD0.027162022-03-31
202123.35%USD 3.187USD0.055952021-12-31
USD2.827522021-12-15
USD0.160382021-09-30
USD0.081942021-06-30
USD0.0612021-03-31
202011.85%USD 1.618USD0.087812020-12-31
USD1.298552020-12-15
USD0.083092020-09-30
USD0.083332020-06-30
USD0.064722020-03-31
201911.27%USD 1.538USD0.099082019-12-31
USD1.168252019-12-16
USD0.071582019-09-30
USD0.116152019-06-28
USD0.082642019-03-29
201812.15%USD 1.659USD0.120112018-12-31
USD1.284642018-12-14
USD0.0552018-09-28
USD0.129432018-06-29
USD0.069892018-03-29
20179.09%USD 1.241USD0.106522017-12-29
USD0.87972017-12-15
USD0.099532017-09-29
USD0.10372017-06-30
USD0.051512017-03-31
20163.06%USD 0.417USD0.126792016-12-30
USD0.05432016-12-16
USD0.092016-09-30
USD0.086912016-06-30
USD0.059212016-03-31
20155.17%USD 0.705USD0.108992015-12-31
USD0.422292015-12-18
USD0.051712015-09-30
USD0.090472015-06-30
USD0.031872015-03-31
20149.14%USD 1.247USD0.125012014-12-31
USD0.863482014-12-17
USD0.089582014-09-30
USD0.10442014-06-30
USD0.064822014-03-31
20137.62%USD 1.04USD0.139442013-12-31
USD0.700392013-12-18
USD0.075772013-09-30
USD0.095652013-06-28
USD0.028892013-03-28
20128.49%USD 1.159USD0.016982012-12-31
USD0.11392012-12-18
USD0.76612012-12-13
USD0.09862012-09-28
USD0.11282012-06-29
USD0.05062012-03-30
20112.65%USD 0.361USD0.0012011-12-30
USD0.12672011-12-20
USD0.00392011-12-15
USD0.1012011-09-30
USD0.09312011-06-30
USD0.03572011-03-31
20102.60%USD 0.355USD0.13252010-12-20
USD0.07242010-09-30
USD0.06442010-06-30
USD0.032010-04-21
USD0.05562010-03-31
20092.18%USD 0.297USD0.09712009-12-21
USD0.06242009-09-30
USD0.10242009-06-30
USD0.03522009-03-31
200862.31%USD 8.505USD0.08992008-12-22
USD0.28482008-12-18
USD7.92032008-11-06
USD0.03722008-09-30
USD0.1032008-06-30
USD0.06992008-03-31
200712.42%USD 1.696USD0.10682007-12-20
USD1.32712007-12-17
USD0.09562007-09-28
USD0.1192007-06-29
USD0.04732007-03-30
20066.30%USD 0.86USD0.13662006-12-22
USD0.45522006-12-15
USD0.08032006-09-29
USD0.11382006-06-30
USD0.07422006-03-31
20053.55%USD 0.484USD0.07892005-12-27
USD0.17962005-12-15
USD0.07092005-09-30
USD0.08152005-06-30
USD0.04952005-03-31
USD0.0242005-02-15
20041.98%USD 0.27USD0.0972004-12-17
USD0.0592004-09-30
USD0.0012004-08-31
USD0.0572004-06-30
USD0.0562004-03-31
20031.61%USD 0.22USD0.0722003-12-19
USD0.0452003-09-30
USD0.062003-06-30
USD0.0432003-03-19
20021.87%USD 0.255USD0.0592002-12-20
USD0.0752002-09-26
USD0.062002-06-26
USD0.0612002-03-26
20011.99%USD 0.271USD0.1912001-12-21
USD0.042001-06-21
USD0.042001-03-22
20002.67%USD 0.365USD0.2752000-12-19
USD0.022000-08-17
USD0.042000-06-22
USD0.032000-03-23