JPMORGAN SMARTRETIREMENT 2050 FUND INSTITUTIONAL CLASS(JTSIX) USD 18.48
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202210.10%USD 1.867USD0.31682022-12-30
USD1.549742022-12-15
202120.67%USD 3.819USD0.612052021-12-31
USD3.141952021-12-15
USD0.004292021-09-30
USD0.032852021-06-30
USD0.027782021-03-31
20205.74%USD 1.06USD0.286972020-12-31
USD0.703542020-12-15
USD0.015642020-09-30
USD0.027252020-06-30
USD0.02682020-03-31
201911.18%USD 2.066USD0.270122019-12-31
USD1.662812019-12-16
USD0.0562019-09-30
USD0.043822019-06-28
USD0.033352019-03-29
20185.20%USD 0.961USD0.378812018-12-31
USD0.452872018-12-14
USD0.0452018-09-28
USD0.047542018-06-29
USD0.037122018-03-29
20174.59%USD 0.848USD0.266142017-12-29
USD0.457442017-12-15
USD0.04392017-09-29
USD0.040032017-06-30
USD0.040282017-03-31
20163.07%USD 0.567USD0.220182016-12-30
USD0.197682016-12-16
USD0.059312016-09-30
USD0.054952016-06-30
USD0.035352016-03-31
20153.09%USD 0.571USD0.253732015-12-31
USD0.216312015-12-18
USD0.016232015-09-30
USD0.064552015-06-30
USD0.020082015-03-31
20144.29%USD 0.793USD0.366292014-12-31
USD0.261672014-12-17
USD0.059572014-09-30
USD0.060642014-06-30
USD0.044362014-03-31
20134.70%USD 0.868USD0.358592013-12-31
USD0.345722013-12-18
USD0.035742013-09-30
USD0.052662013-06-28
USD0.075412013-03-28
20121.80%USD 0.333USD0.157682012-12-31
USD0.020652012-12-21
USD0.074822012-09-28
USD0.036152012-06-29
USD0.044162012-03-30
20111.80%USD 0.332USD0.153132011-12-30
USD0.054112011-12-23
USD0.032632011-09-30
USD0.05272011-06-30
USD0.039292011-03-31
20102.69%USD 0.496USD0.130052010-12-31
USD0.238172010-12-23
USD0.049132010-09-30
USD0.054582010-06-30
USD0.024362010-03-31
20091.37%USD 0.254USD0.142532009-12-31
USD0.062162009-09-30
USD0.012562009-06-30
USD0.03682009-03-31
20081.83%USD 0.339USD0.125942008-12-31
USD0.076752008-12-24
USD0.036272008-09-30
USD0.06722008-06-30
USD0.032342008-03-31
20072.11%USD 0.39USD0.36522007-12-31
USD0.024762007-09-28