JPMORGAN SMARTRETIREMENT 2020 FUND CLASS C(JTTCX) USD 14.58
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.95%USD 0.577USD0.281172022-12-30
USD0.295432022-12-15
202115.31%USD 2.232USD0.195952021-12-31
USD1.919152021-12-15
USD0.028712021-09-30
USD0.051682021-06-30
USD0.036932021-03-31
20205.17%USD 0.753USD0.126262020-12-31
USD0.477872020-12-15
USD0.044122020-09-30
USD0.04982020-06-30
USD0.055342020-03-31
201917.79%USD 2.593USD0.148062019-12-31
USD2.234212019-12-16
USD0.080282019-09-30
USD0.075882019-06-28
USD0.054862019-03-29
20186.60%USD 0.962USD0.225142018-12-31
USD0.587662018-12-14
USD0.0552018-09-28
USD0.053252018-06-29
USD0.040922018-03-29
20174.57%USD 0.667USD0.1682017-12-29
USD0.386322017-12-15
USD0.034822017-09-29
USD0.0422017-06-30
USD0.035552017-03-31
20162.51%USD 0.366USD0.145352016-12-30
USD0.10232016-12-16
USD0.048112016-09-30
USD0.040952016-06-30
USD0.029212016-03-31
20153.07%USD 0.448USD0.171382015-12-31
USD0.192512015-12-18
USD0.023182015-09-30
USD0.051622015-06-30
USD0.009372015-03-31
20144.22%USD 0.615USD0.266772014-12-31
USD0.219722014-12-17
USD0.045862014-09-30
USD0.046922014-06-30
USD0.035312014-03-31
20133.14%USD 0.458USD0.246282013-12-31
USD0.0672013-12-18
USD0.032862013-09-30
USD0.043772013-06-28
USD0.068382013-03-28
20121.86%USD 0.271USD0.121172012-12-31
USD0.067022012-09-28
USD0.038432012-06-29
USD0.044662012-03-30
20111.93%USD 0.281USD0.129222011-12-30
USD0.036092011-09-30
USD0.05962011-06-30
USD0.056412011-03-31
20101.67%USD 0.244USD0.11622010-12-31
USD0.042382010-09-30
USD0.057762010-06-30
USD0.027642010-03-31
20091.83%USD 0.267USD0.128072009-12-31
USD0.08862009-09-30
USD0.04912009-06-30
USD0.001672009-03-31
20084.85%USD 0.707USD0.179792008-12-31
USD0.377742008-12-24
USD0.023662008-09-30
USD0.075312008-06-30
USD0.050532008-03-31
20075.01%USD 0.731USD0.393482007-12-31
USD0.192332007-12-21
USD0.048422007-09-28
USD0.058772007-06-29
USD0.037812007-03-30
20062.21%USD 0.322USD0.236812006-12-29
USD0.010332006-12-28
USD0.03642006-09-29
USD0.038012006-06-30