JPMORGAN HIGH YIELD FUND CLASS R3(JRJYX) USD 6.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.61%USD 0.101USD0.034852023-03-29
USD0.038662023-02-24
USD0.027182023-01-27
20225.56%USD 0.347USD0.031522022-12-28
USD0.030412022-11-28
USD0.033682022-10-27
USD0.028522022-09-28
USD0.029152022-08-29
USD0.02992022-07-27
USD0.030132022-06-28
USD0.029762022-05-26
USD0.029342022-04-27
USD0.025362022-03-29
USD0.024592022-02-24
USD0.024712022-01-27
20215.08%USD 0.317USD0.025552021-12-29
USD0.026272021-11-26
USD0.023542021-10-27
USD0.024372021-09-28
USD0.026282021-08-27
USD0.028712021-07-28
USD0.026182021-06-28
USD0.024692021-05-26
USD0.03672021-04-28
USD0.028052021-03-29
USD0.024362021-02-24
USD0.022292021-01-27
20204.92%USD 0.307USD0.028772020-12-29
USD0.02312020-11-25
USD0.025762020-10-28
USD0.023122020-09-28
USD0.020652020-08-27
USD0.025632020-07-29
USD0.017462020-06-26
USD0.019382020-05-27
USD0.043772020-04-28
USD0.0322020-03-27
USD0.02642020-02-26
USD0.021032020-01-29
20196.30%USD 0.393USD0.039652019-12-27
USD0.033022019-11-26
USD0.032462019-10-29
USD0.031732019-09-26
USD0.033442019-08-28
USD0.031542019-07-29
USD0.031312019-06-26
USD0.032772019-05-29
USD0.037432019-04-26
USD0.032272019-03-27
USD0.028542019-02-26
USD0.029252019-01-29
20186.33%USD 0.395USD0.04132018-12-27
USD0.033412018-11-28
USD0.034742018-10-29
USD0.031072018-09-26
USD0.032532018-08-29
USD0.032162018-07-27
USD0.032022018-06-27
USD0.032362018-05-29
USD0.034662018-04-26
USD0.032172018-03-27
USD0.032832018-02-26
USD0.025692018-01-29
20172.75%USD 0.172USD0.03842017-12-27
USD0.036862017-11-28
USD0.03222017-10-27
USD0.030332017-09-27
USD0.034092017-08-29