JPMORGAN HIGH YIELD FUND CLASS R4(JRJKX) USD 6.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.68%USD 0.105USD0.036212023-03-29
USD0.039762023-02-24
USD0.028562023-01-27
20225.83%USD 0.364USD0.032912022-12-28
USD0.031562022-11-28
USD0.034442022-10-27
USD0.031012022-09-28
USD0.030372022-08-29
USD0.031692022-07-27
USD0.031082022-06-28
USD0.030592022-05-26
USD0.030762022-04-27
USD0.026852022-03-29
USD0.0262022-02-24
USD0.026762022-01-27
20215.38%USD 0.336USD0.026022021-12-29
USD0.027842021-11-26
USD0.024692021-10-27
USD0.026412021-09-28
USD0.02782021-08-27
USD0.030282021-07-28
USD0.027762021-06-28
USD0.027532021-05-26
USD0.038152021-04-28
USD0.029632021-03-29
USD0.025762021-02-24
USD0.023782021-01-27
20205.18%USD 0.324USD0.030382020-12-29
USD0.02412020-11-25
USD0.027192020-10-28
USD0.024542020-09-28
USD0.022092020-08-27
USD0.027062020-07-29
USD0.018832020-06-26
USD0.020752020-05-27
USD0.044812020-04-28
USD0.033392020-03-27
USD0.027862020-02-26
USD0.022532020-01-29
20196.58%USD 0.411USD0.041192019-12-27
USD0.034562019-11-26
USD0.033772019-10-29
USD0.033352019-09-26
USD0.03472019-08-28
USD0.033052019-07-29
USD0.032812019-06-26
USD0.034292019-05-29
USD0.038912019-04-26
USD0.033812019-03-27
USD0.02972019-02-26
USD0.030712019-01-29
20186.62%USD 0.413USD0.04282018-12-27
USD0.034792018-11-28
USD0.036282018-10-29
USD0.032522018-09-26
USD0.034152018-08-29
USD0.03372018-07-27
USD0.033252018-06-27
USD0.033922018-05-29
USD0.036082018-04-26
USD0.034212018-03-27
USD0.034282018-02-26
USD0.027332018-01-29
20172.87%USD 0.179USD0.039992017-12-27
USD0.038412017-11-28
USD0.033812017-10-27
USD0.032412017-09-27
USD0.034612017-08-29