JPMORGAN SMARTRETIREMENT 2050 FUND SELECT CLASS(JTSSX) USD 18.42
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20229.99%USD 1.841USD0.291062022-12-30
USD1.549742022-12-15
202120.56%USD 3.787USD0.603052021-12-31
USD3.141952021-12-15
USD0.022532021-06-30
USD0.019162021-03-31
20205.59%USD 1.029USD0.278722020-12-31
USD0.703542020-12-15
USD0.007062020-09-30
USD0.02012020-06-30
USD0.019462020-03-31
201911.08%USD 2.041USD0.26332019-12-31
USD1.662812019-12-16
USD0.049562019-09-30
USD0.037862019-06-28
USD0.027292019-03-29
20185.08%USD 0.935USD0.372352018-12-31
USD0.452872018-12-14
USD0.0382018-09-28
USD0.0412018-06-29
USD0.031212018-03-29
20174.47%USD 0.823USD0.259762017-12-29
USD0.457442017-12-15
USD0.037892017-09-29
USD0.033432017-06-30
USD0.034932017-03-31
20162.95%USD 0.544USD0.214242016-12-30
USD0.197682016-12-16
USD0.053032016-09-30
USD0.048862016-06-30
USD0.029722016-03-31
20152.96%USD 0.545USD0.247682015-12-31
USD0.216312015-12-18
USD0.009722015-09-30
USD0.05792015-06-30
USD0.013832015-03-31
20144.16%USD 0.767USD0.359882014-12-31
USD0.261672014-12-17
USD0.052992014-09-30
USD0.054062014-06-30
USD0.03852014-03-31
20134.59%USD 0.845USD0.35212013-12-31
USD0.345722013-12-18
USD0.029822013-09-30
USD0.047162013-06-28
USD0.070082013-03-28
20121.70%USD 0.312USD0.151842012-12-31
USD0.020652012-12-21
USD0.069442012-09-28
USD0.031152012-06-29
USD0.039212012-03-30
20111.70%USD 0.312USD0.148472011-12-30
USD0.054112011-12-23
USD0.027792011-09-30
USD0.04762011-06-30
USD0.034342011-03-31
20102.60%USD 0.479USD0.125562010-12-31
USD0.238172010-12-23
USD0.044612010-09-30
USD0.050792010-06-30
USD0.020332010-03-31
20091.30%USD 0.24USD0.138292009-12-31
USD0.058232009-09-30
USD0.009122009-06-30
USD0.034412009-03-31
20081.76%USD 0.324USD0.122942008-12-31
USD0.076752008-12-24
USD0.031832008-09-30
USD0.062052008-06-30
USD0.030232008-03-31
20072.07%USD 0.382USD0.360612007-12-31
USD0.021112007-09-28