JPMORGAN SMARTRETIREMENT 2020 FUND INSTITUTIONAL CLASS(JTTIX) USD 14.78
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.96%USD 0.733USD0.437222022-12-30
USD0.295432022-12-15
202116.25%USD 2.402USD0.236712021-12-31
USD1.919152021-12-15
USD0.071912021-09-30
USD0.095492021-06-30
USD0.078672021-03-31
20206.21%USD 0.918USD0.169522020-12-31
USD0.477872020-12-15
USD0.089132020-09-30
USD0.087362020-06-30
USD0.093752020-03-31
201918.64%USD 2.755USD0.187182019-12-31
USD2.234212019-12-16
USD0.122612019-09-30
USD0.116922019-06-28
USD0.093742019-03-29
20187.64%USD 1.13USD0.265012018-12-31
USD0.587662018-12-14
USD0.0982018-09-28
USD0.095682018-06-29
USD0.083182018-03-29
20175.65%USD 0.836USD0.211352017-12-29
USD0.386322017-12-15
USD0.077752017-09-29
USD0.08492017-06-30
USD0.075472017-03-31
20163.56%USD 0.526USD0.186832016-12-30
USD0.10232016-12-16
USD0.088232016-09-30
USD0.081642016-06-30
USD0.067372016-03-31
20154.07%USD 0.602USD0.209412015-12-31
USD0.192512015-12-18
USD0.062672015-09-30
USD0.090362015-06-30
USD0.046772015-03-31
20145.20%USD 0.768USD0.307072014-12-31
USD0.219722014-12-17
USD0.084972014-09-30
USD0.086352014-06-30
USD0.069872014-03-31
20134.09%USD 0.604USD0.288182013-12-31
USD0.0672013-12-18
USD0.067842013-09-30
USD0.078772013-06-28
USD0.102392013-03-28
20122.74%USD 0.406USD0.156842012-12-31
USD0.10122012-09-28
USD0.070682012-06-29
USD0.076972012-03-30
20112.76%USD 0.408USD0.16152011-12-30
USD0.068942011-09-30
USD0.09062011-06-30
USD0.086592011-03-31
20102.42%USD 0.358USD0.145032010-12-31
USD0.070942010-09-30
USD0.084692010-06-30
USD0.057382010-03-31
20092.44%USD 0.36USD0.155922009-12-31
USD0.112932009-09-30
USD0.070362009-06-30
USD0.021112009-03-31
20085.53%USD 0.817USD0.205222008-12-31
USD0.377742008-12-24
USD0.043592008-09-30
USD0.107572008-06-30
USD0.082942008-03-31
20075.87%USD 0.868USD0.431712007-12-31
USD0.192332007-12-21
USD0.079972007-09-28
USD0.097192007-06-29
USD0.066842007-03-30
20062.72%USD 0.403USD0.271192006-12-29
USD0.010332006-12-28
USD0.069922006-09-29
USD0.051272006-06-30