JPMORGAN SMARTRETIREMENT 2045 FUND CLASS A(JSAAX) USD 18.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202210.30%USD 1.864USD0.239182022-12-30
USD1.625222022-12-15
202120.94%USD 3.791USD0.589612021-12-31
USD3.180492021-12-15
USD0.012372021-06-30
USD0.008362021-03-31
20205.43%USD 0.982USD0.271152020-12-31
USD0.681662020-12-15
USD0.00452020-09-30
USD0.013112020-06-30
USD0.011632020-03-31
201911.50%USD 2.082USD0.252872019-12-31
USD1.741422019-12-16
USD0.040522019-09-30
USD0.028122019-06-28
USD0.018982019-03-29
20185.32%USD 0.963USD0.366232018-12-31
USD0.514182018-12-14
USD0.0292018-09-28
USD0.031672018-06-29
USD0.021882018-03-29
20174.36%USD 0.789USD0.253372017-12-29
USD0.445582017-12-15
USD0.032092017-09-29
USD0.02852017-06-30
USD0.029762017-03-31
20162.87%USD 0.52USD0.21052016-12-30
USD0.190732016-12-16
USD0.048772016-09-30
USD0.044542016-06-30
USD0.025422016-03-31
20152.97%USD 0.538USD0.241712015-12-31
USD0.227582015-12-18
USD0.005062015-09-30
USD0.053982015-06-30
USD0.009952015-03-31
20144.16%USD 0.754USD0.36062014-12-31
USD0.262062014-12-17
USD0.048962014-09-30
USD0.047832014-06-30
USD0.034292014-03-31
20134.48%USD 0.81USD0.346492013-12-31
USD0.324942013-12-18
USD0.026022013-09-30
USD0.042942013-06-28
USD0.069692013-03-28
20121.69%USD 0.306USD0.149982012-12-31
USD0.0232012-12-21
USD0.067412012-09-28
USD0.028112012-06-29
USD0.037442012-03-30
20111.55%USD 0.28USD0.140082011-12-30
USD0.03852011-12-23
USD0.028842011-09-30
USD0.04462011-06-30
USD0.027962011-03-31
20102.24%USD 0.405USD0.116732010-12-31
USD0.173712010-12-23
USD0.043382010-09-30
USD0.050462010-06-30
USD0.021152010-03-31
20091.29%USD 0.234USD0.139412009-12-31
USD0.036632009-09-30
USD0.035012009-06-30
USD0.023262009-03-31
20081.44%USD 0.261USD0.131652008-12-31
USD0.036672008-12-24
USD0.009642008-09-30
USD0.058162008-06-30
USD0.0252008-03-31
20072.55%USD 0.461USD0.440072007-12-31
USD0.020672007-09-28