JPMORGAN SMARTRETIREMENT INCOME FUND SELECT CLASS(JSRSX) USD 14.3
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.22%USD 0.604USD0.372822022-12-30
USD0.230832022-12-15
202112.92%USD 1.848USD0.217332021-12-31
USD1.415812021-12-15
USD0.06212021-09-30
USD0.083392021-06-30
USD0.069282021-03-31
20205.68%USD 0.812USD0.155512020-12-31
USD0.410742020-12-15
USD0.078912020-09-30
USD0.079862020-06-30
USD0.086862020-03-31
201917.52%USD 2.506USD0.163292019-12-31
USD2.015732019-12-16
USD0.119312019-09-30
USD0.115242019-06-28
USD0.092232019-03-29
20187.02%USD 1.003USD0.227142018-12-31
USD0.496072018-12-14
USD0.0992018-09-28
USD0.096182018-06-29
USD0.084832018-03-29
20174.72%USD 0.676USD0.17152017-12-29
USD0.272322017-12-15
USD0.078192017-09-29
USD0.032012017-06-30
USD0.04952017-06-20
USD0.0722017-03-31
20162.73%USD 0.391USD0.15362016-12-30
USD0.08982016-09-30
USD0.08082016-06-30
USD0.06682016-03-31
20153.01%USD 0.43USD0.17452015-12-31
USD0.06232015-12-18
USD0.06082015-09-30
USD0.08882015-06-30
USD0.04392015-03-31
20143.28%USD 0.469USD0.24332014-12-31
USD0.07782014-09-30
USD0.04292014-06-30
USD0.03792014-06-17
USD0.06672014-03-31
20133.34%USD 0.478USD0.22292013-12-31
USD0.06872013-09-30
USD0.08262013-06-28
USD0.10352013-03-28
20122.78%USD 0.397USD0.12242012-12-31
USD0.10552012-09-28
USD0.08562012-06-29
USD0.08362012-03-30
20113.21%USD 0.459USD0.15822011-12-30
USD0.08462011-09-30
USD0.10852011-06-30
USD0.10752011-03-31
20102.94%USD 0.421USD0.13532010-12-31
USD0.09252010-09-30
USD0.10652010-06-30
USD0.08662010-03-31
20093.42%USD 0.49USD0.14532009-12-31
USD0.11252009-09-30
USD0.12242009-06-30
USD0.10952009-03-31
20085.33%USD 0.762USD0.14732008-12-31
USD0.23062008-12-24
USD0.11342008-09-30
USD0.14732008-06-30
USD0.12342008-03-31
20075.02%USD 0.719USD0.33542007-12-31
USD0.00792007-12-21
USD0.14132007-09-28
USD0.11152007-06-29
USD0.12242007-03-30
20062.46%USD 0.352USD0.14292006-12-29
USD0.00092006-12-28
USD0.11152006-09-29
USD0.09652006-06-30