JPMORGAN U.S. EQUITY FUND SELECT CLASS(JUESX) USD 18.52
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.23%USD 0.043USD0.042592023-03-29
20224.58%USD 0.848USD0.051432022-12-20
USD0.674762022-12-13
USD0.051272022-09-28
USD0.042152022-06-28
USD0.028232022-03-29
202112.68%USD 2.348USD0.028292021-12-20
USD2.226322021-12-13
USD0.025322021-09-28
USD0.027342021-06-28
USD0.040922021-03-29
20206.70%USD 1.242USD0.028522020-12-18
USD1.106612020-12-11
USD0.035982020-09-28
USD0.037192020-06-26
USD0.03322020-03-27
20198.63%USD 1.599USD0.042032019-12-19
USD1.463012019-12-12
USD0.034632019-09-26
USD0.036192019-06-26
USD0.023022019-03-27
201810.50%USD 1.944USD0.047922018-12-19
USD1.790062018-12-12
USD0.04272018-09-26
USD0.037312018-06-27
USD0.026382018-03-27
20177.56%USD 1.4USD0.04782017-12-20
USD1.258492017-12-13
USD0.037742017-09-27
USD0.031832017-06-28
USD0.024142017-03-29
20163.65%USD 0.677USD0.044032016-12-20
USD0.534492016-12-14
USD0.037762016-09-28
USD0.026272016-06-28
USD0.034212016-03-29
20150.66%USD 0.123USD0.035182015-12-21
USD0.030662015-09-28
USD0.034882015-06-26
USD0.022182015-03-27
20147.73%USD 1.432USD0.064962014-12-19
USD1.268252014-12-12
USD0.033342014-09-30
USD0.036482014-06-30
USD0.029372014-03-31
20135.87%USD 1.086USD0.027612013-12-20
USD0.969882013-12-12
USD0.031262013-09-30
USD0.032492013-06-28
USD0.025022013-03-28
20122.04%USD 0.379USD0.055582012-12-18
USD0.236942012-12-13
USD0.032932012-09-28
USD0.025872012-06-29
USD0.027212012-03-30
20110.97%USD 0.18USD0.033032011-12-20
USD0.056562011-12-15
USD0.022172011-09-30
USD0.02432011-06-30
USD0.043842011-03-31
20100.36%USD 0.066USD0.001032010-12-20
USD0.022912010-09-30
USD0.021512010-06-30
USD0.02082010-03-31
20090.73%USD 0.135USD0.029292009-12-21
USD0.019742009-09-30
USD0.025122009-06-30
USD0.060492009-03-31
20080.80%USD 0.148USD0.052722008-12-18
USD0.033282008-09-30
USD0.030372008-06-30
USD0.031912008-03-31
20079.07%USD 1.68USD0.030772007-12-20
USD1.559462007-12-17
USD0.028252007-09-28
USD0.034042007-06-29
USD0.027112007-03-30
20068.23%USD 1.525USD0.036792006-12-22
USD1.268262006-12-15
USD0.032312006-09-29
USD0.122792006-08-30
USD0.034642006-06-30
USD0.030322006-03-31
20051.40%USD 0.26USD0.03432005-12-27
USD0.1592005-12-15
USD0.02342005-09-30
USD0.023072005-06-30
USD0.010982005-03-31
USD0.0092005-02-15
20040.51%USD 0.095USD0.0452004-12-31
USD0.0192004-09-30
USD0.0162004-06-30
USD0.0152004-03-31
20030.42%USD 0.077USD0.0222003-12-31
USD0.0182003-09-30
USD0.0212003-06-30
USD0.0162003-03-19
20020.18%USD 0.033USD0.0192002-12-20
USD0.0142002-09-26