JPMORGAN INTERNATIONAL EQUITY FUND CLASS A(JSEAX) USD 17.96
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.19%USD 0.393USD0.393042022-12-20
20217.57%USD 1.36USD0.373872021-12-20
USD0.985672021-12-13
20201.01%USD 0.181USD0.181362020-12-18
20192.91%USD 0.523USD0.504432019-12-19
USD0.018282019-10-04
20182.75%USD 0.494USD0.327782018-12-19
USD0.16612018-12-12
20171.45%USD 0.26USD0.247292017-12-20
USD0.012282017-03-29
20161.22%USD 0.219USD0.029442016-12-20
USD0.010662016-09-28
USD0.170292016-06-28
USD0.00872016-03-29
20151.36%USD 0.244USD0.033232015-12-21
USD0.010452015-09-28
USD0.156072015-06-26
USD0.044712015-03-27
20142.03%USD 0.364USD0.014942014-12-19
USD0.014942014-09-30
USD0.267972014-06-30
USD0.066592014-03-31
20131.06%USD 0.191USD0.010932013-12-20
USD0.009872013-09-30
USD0.141542013-06-28
USD0.02882013-03-28
20121.19%USD 0.214USD0.021622012-12-18
USD0.014892012-09-28
USD0.137352012-06-29
USD0.040612012-03-30
20111.19%USD 0.214USD0.014962011-12-20
USD0.014232011-09-30
USD0.14592011-06-30
USD0.038612011-03-31
20100.88%USD 0.159USD0.008162010-12-20
USD0.016992010-09-30
USD0.124222010-06-30
USD0.009442010-03-31
20091.32%USD 0.238USD0.033622009-12-21
USD0.014152009-09-30
USD0.135692009-06-30
USD0.054412009-03-31
200847.88%USD 8.598USD7.932008-11-06
USD0.612132008-06-30
USD0.05632008-03-31
200751.93%USD 9.327USD0.120992007-12-20
USD8.750222007-11-28
USD0.454712007-06-29
USD0.000642007-03-30
200611.34%USD 2.037USD0.063082006-12-22
USD1.624472006-12-15
USD0.327792006-06-30
USD0.021872006-03-31
20054.94%USD 0.886USD0.08752005-12-20
USD0.530472005-12-15
USD0.150372005-09-30
USD0.084312005-06-30
USD0.033792005-03-31
20041.36%USD 0.245USD0.1012004-12-31
USD0.0752004-09-30
USD0.0472004-06-30
USD0.0222004-03-31
20031.09%USD 0.195USD0.0652003-12-31
USD0.0512003-09-30
USD0.0712003-06-30
USD0.0082003-03-31
20020.33%USD 0.06USD0.062002-12-31