JPMORGAN SMARTRETIREMENT 2030 FUND INSTITUTIONAL CLASS(JSMIX) USD 16.72
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.88%USD 1.318USD0.387842022-12-30
USD0.930342022-12-15
202115.13%USD 2.529USD0.385332021-12-31
USD1.948022021-12-15
USD0.052172021-09-30
USD0.075922021-06-30
USD0.067862021-03-31
20205.36%USD 0.897USD0.198622020-12-31
USD0.488762020-12-15
USD0.064242020-09-30
USD0.069572020-06-30
USD0.075572020-03-31
201919.66%USD 3.287USD0.238562019-12-31
USD2.805242019-12-16
USD0.093442019-09-30
USD0.082272019-06-28
USD0.067062019-03-29
20187.03%USD 1.176USD0.338632018-12-31
USD0.632392018-12-14
USD0.072018-09-28
USD0.072022018-06-29
USD0.063042018-03-29
20175.50%USD 0.92USD0.25142017-12-29
USD0.479882017-12-15
USD0.065582017-09-29
USD0.063582017-06-30
USD0.059562017-03-31
20163.34%USD 0.558USD0.212692016-12-30
USD0.149092016-12-16
USD0.077012016-09-30
USD0.068622016-06-30
USD0.050882016-03-31
20153.65%USD 0.61USD0.24682015-12-31
USD0.221232015-12-18
USD0.030172015-09-30
USD0.082122015-06-30
USD0.02972015-03-31
20145.01%USD 0.837USD0.357812014-12-31
USD0.27482014-12-17
USD0.075732014-09-30
USD0.072342014-06-30
USD0.056582014-03-31
20134.56%USD 0.762USD0.343512013-12-31
USD0.217122013-12-18
USD0.048532013-09-30
USD0.06532013-06-28
USD0.087222013-03-28
20122.14%USD 0.358USD0.164412012-12-31
USD0.089082012-09-28
USD0.047112012-06-29
USD0.057552012-03-30
20111.98%USD 0.331USD0.164432011-12-30
USD0.043312011-09-30
USD0.07012011-06-30
USD0.053552011-03-31
20102.00%USD 0.334USD0.140382010-12-31
USD0.052882010-09-30
USD0.066662010-06-30
USD0.0422010-04-29
USD0.031662010-03-31
20091.81%USD 0.303USD0.14622009-12-31
USD0.081942009-09-30
USD0.036452009-06-30
USD0.03852009-03-31
20084.75%USD 0.795USD0.179322008-12-31
USD0.478822008-12-24
USD0.084082008-06-30
USD0.052372008-03-31
20075.06%USD 0.846USD0.476942007-12-31
USD0.226342007-12-21
USD0.044192007-09-28
USD0.06932007-06-29
USD0.029382007-03-30
20062.46%USD 0.412USD0.316412006-12-29
USD0.004272006-12-28
USD0.044332006-09-29
USD0.046632006-06-30