JPMORGAN SMARTRETIREMENT* BLEND 2020 FUND SELECT CLASS(JSSRX) USD 18.74
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.37%USD 0.445USD0.44482022-12-30
20216.62%USD 1.241USD0.176952021-12-31
USD0.79552021-12-15
USD0.078592021-09-30
USD0.119532021-06-30
USD0.070172021-03-31
20204.57%USD 0.856USD0.097622020-12-31
USD0.467622020-12-15
USD0.096132020-09-30
USD0.098442020-06-30
USD0.095782020-03-31
20192.94%USD 0.551USD0.152562019-12-31
USD0.022392019-12-16
USD0.120812019-09-30
USD0.163512019-06-28
USD0.091292019-03-29
20185.89%USD 1.103USD0.144432018-12-31
USD0.624932018-12-14
USD0.1112018-09-28
USD0.150052018-06-29
USD0.072832018-03-29
20172.25%USD 0.421USD0.167722017-12-29
USD0.083692017-09-29
USD0.111922017-06-30
USD0.057882017-03-31
20162.16%USD 0.405USD0.146952016-12-30
USD0.08612016-09-30
USD0.10922016-06-30
USD0.062472016-03-31
20152.03%USD 0.381USD0.142122015-12-31
USD0.007132015-12-18
USD0.073942015-09-30
USD0.106452015-06-30
USD0.05142015-03-31
20142.34%USD 0.439USD0.119742014-12-31
USD0.077082014-12-17
USD0.069132014-09-30
USD0.115282014-06-30
USD0.057932014-03-31
20131.68%USD 0.314USD0.125792013-12-31
USD0.011532013-12-18
USD0.069382013-09-30
USD0.060412013-06-28
USD0.047052013-03-28
20121.16%USD 0.218USD0.11852012-12-31
USD0.099792012-09-28