JPMORGAN SMARTRETIREMENT 2030 FUND SELECT CLASS(JSMSX) USD 16.66
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.75%USD 1.292USD0.361162022-12-30
USD0.930342022-12-15
202114.98%USD 2.496USD0.37742021-12-31
USD1.948022021-12-15
USD0.043282021-09-30
USD0.067122021-06-30
USD0.060252021-03-31
20205.20%USD 0.867USD0.190872020-12-31
USD0.488762020-12-15
USD0.055552020-09-30
USD0.06282020-06-30
USD0.068722020-03-31
201919.58%USD 3.262USD0.232032019-12-31
USD2.805242019-12-16
USD0.087042019-09-30
USD0.076292019-06-28
USD0.061062019-03-29
20186.91%USD 1.151USD0.332582018-12-31
USD0.632392018-12-14
USD0.0632018-09-28
USD0.065482018-06-29
USD0.057052018-03-29
20175.38%USD 0.896USD0.244932017-12-29
USD0.479882017-12-15
USD0.059662017-09-29
USD0.05712017-06-30
USD0.054022017-03-31
20163.20%USD 0.533USD0.206382016-12-30
USD0.149092016-12-16
USD0.070362016-09-30
USD0.062262016-06-30
USD0.044842016-03-31
20153.50%USD 0.584USD0.24052015-12-31
USD0.221232015-12-18
USD0.023422015-09-30
USD0.075192015-06-30
USD0.023162015-03-31
20144.87%USD 0.811USD0.351122014-12-31
USD0.27482014-12-17
USD0.068872014-09-30
USD0.065452014-06-30
USD0.05032014-03-31
20134.42%USD 0.737USD0.336762013-12-31
USD0.217122013-12-18
USD0.042372013-09-30
USD0.05932013-06-28
USD0.081352013-03-28
20122.01%USD 0.335USD0.157622012-12-31
USD0.083342012-09-28
USD0.04162012-06-29
USD0.052082012-03-27
20111.86%USD 0.31USD0.159252011-12-30
USD0.038122011-09-30
USD0.06442011-06-30
USD0.048132011-03-31
20101.92%USD 0.32USD0.135162010-12-31
USD0.049632010-09-30
USD0.062252010-06-30
USD0.0462010-04-29
USD0.027062010-03-31
20091.72%USD 0.287USD0.141272009-12-31
USD0.077532009-09-30
USD0.03272009-06-30
USD0.035362009-03-31
20084.68%USD 0.78USD0.17562008-12-31
USD0.478822008-12-24
USD0.078452008-06-30
USD0.047142008-03-31
20074.95%USD 0.825USD0.472052007-12-31
USD0.226342007-12-21
USD0.039192007-09-28
USD0.063332007-06-29
USD0.023882007-03-30
20062.41%USD 0.401USD0.314482006-12-29
USD0.004272006-12-28
USD0.038722006-09-29
USD0.043882006-06-30