JPMorgan USD Emerging Markets Sovereign Bond ETF(JPMB) USD 38.97
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.66%USD 0.646USD0.221992023-04-03
USD0.195612023-03-01
USD0.228432023-02-01
20224.91%USD 1.913USD0.081032022-12-29
USD0.178432022-12-01
USD0.165832022-11-01
USD0.174782022-10-03
USD0.176282022-09-01
USD0.159932022-08-01
USD0.154722022-07-01
USD0.162172022-06-01
USD0.166912022-05-02
USD0.162942022-04-01
USD0.171632022-03-01
USD0.158832022-02-01
20215.32%USD 2.075USD0.168992021-12-30
USD0.164712021-12-01
USD0.169922021-11-01
USD0.160072021-10-01
USD0.190742021-09-01
USD0.170352021-08-02
USD0.171052021-07-01
USD0.162432021-06-01
USD0.182312021-05-03
USD0.185552021-04-01
USD0.183812021-03-01
USD0.164692021-02-01
20205.68%USD 2.214USD0.194232020-12-30
USD0.18482020-12-01
USD0.182052020-11-02
USD0.189412020-10-01
USD0.182892020-09-01
USD0.188332020-08-03
USD0.194192020-07-01
USD0.211012020-06-01
USD0.140432020-05-01
USD0.186412020-04-01
USD0.182932020-02-28
USD0.177552020-01-31
20195.94%USD 2.316USD0.185782019-12-30
USD0.1952019-11-29
USD0.16762019-10-31
USD0.19762019-09-30
USD0.197422019-08-30
USD0.197592019-07-31
USD0.197912019-06-28
USD0.197172019-05-31
USD0.19882019-04-30
USD0.196662019-03-29
USD0.196262019-02-28
USD0.187752019-01-31
20185.37%USD 2.092USD0.212542018-12-28
USD0.177872018-11-30
USD0.186932018-10-31
USD0.194452018-09-28
USD0.192242018-08-31
USD0.191772018-07-31
USD0.193082018-06-29
USD0.189232018-05-31
USD0.219632018-04-30
USD0.180722018-03-26
USD0.153172018-02-22