JPMORGAN SMARTRETIREMENT 2045 FUND SELECT CLASS(JSASX) USD 18.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202210.42%USD 1.899USD0.274092022-12-30
USD1.625222022-12-15
202120.98%USD 3.822USD0.600292021-12-31
USD3.180492021-12-15
USD0.022482021-06-30
USD0.019032021-03-31
20205.57%USD 1.014USD0.280442020-12-31
USD0.681662020-12-15
USD0.012522020-09-30
USD0.020182020-06-30
USD0.019482020-03-31
201911.62%USD 2.117USD0.261482019-12-31
USD1.741422019-12-16
USD0.049862019-09-30
USD0.037232019-06-28
USD0.027242019-03-29
20185.48%USD 0.998USD0.374412018-12-31
USD0.514182018-12-14
USD0.0382018-09-28
USD0.040642018-06-29
USD0.031242018-03-29
20174.58%USD 0.834USD0.261272017-12-29
USD0.467972017-12-15
USD0.037112017-09-29
USD0.033732017-06-30
USD0.034352017-03-31
20162.95%USD 0.537USD0.214562016-12-30
USD0.190732016-12-16
USD0.053222016-09-30
USD0.048792016-06-30
USD0.02942016-03-31
20153.05%USD 0.555USD0.245762015-12-31
USD0.227582015-12-18
USD0.009742015-09-30
USD0.057992015-06-30
USD0.014192015-03-31
20144.23%USD 0.771USD0.365612014-12-31
USD0.262062014-12-17
USD0.053152014-09-30
USD0.051842014-06-30
USD0.038152014-03-31
20134.53%USD 0.826USD0.351152013-12-31
USD0.324942013-12-18
USD0.029912013-09-30
USD0.046622013-06-28
USD0.073222013-03-28
20121.75%USD 0.319USD0.153612012-12-31
USD0.0232012-12-21
USD0.070572012-09-28
USD0.031212012-06-29
USD0.04062012-03-30
20111.60%USD 0.292USD0.142892011-12-30
USD0.03852011-12-23
USD0.031762011-09-30
USD0.04812011-06-30
USD0.03042011-03-31
20102.28%USD 0.415USD0.11942010-12-31
USD0.173712010-12-23
USD0.046182010-09-30
USD0.053062010-06-30
USD0.022482010-03-31
20091.36%USD 0.248USD0.141762009-12-31
USD0.039092009-09-30
USD0.039452009-06-30
USD0.027432009-03-31
20081.58%USD 0.289USD0.137542008-12-31
USD0.036672008-12-24
USD0.016622008-09-30
USD0.064642008-06-30
USD0.033152008-03-31
20072.56%USD 0.467USD0.442332007-12-31
USD0.024732007-09-28