JPMORGAN ACCESS BALANCED FUND CLASS C(JXBCX) USD 14.75
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.58%USD 0.971USD0.059772022-12-30
USD0.828942022-12-15
USD0.032522022-09-30
USD0.04682022-06-30
USD0.002792022-03-31
202111.08%USD 1.634USD0.110412021-12-31
USD1.439832021-12-15
USD0.057012021-09-30
USD0.027052021-06-30
20206.92%USD 1.021USD0.060822020-12-31
USD0.885672020-12-15
USD0.038312020-09-30
USD0.026182020-06-30
USD0.010452020-03-31
20193.55%USD 0.523USD0.106362019-12-31
USD0.335062019-12-16
USD0.025522019-09-30
USD0.056252019-06-28
20185.68%USD 0.838USD0.079352018-12-31
USD0.712662018-12-14
USD0.045552018-06-29
20176.62%USD 0.976USD0.103082017-12-29
USD0.809792017-12-15
USD0.018462017-09-29
USD0.044772017-06-30
20160.73%USD 0.108USD0.058012016-12-30
USD0.013642016-09-30
USD0.032252016-06-30
USD0.004172016-03-31
20154.47%USD 0.659USD0.08992015-12-31
USD0.471792015-12-18
USD0.067152015-09-30
USD0.030192015-06-30
20146.52%USD 0.961USD0.060922014-12-31
USD0.872462014-12-17
USD0.001742014-09-30
USD0.026322014-06-30
20134.98%USD 0.735USD0.062292013-12-31
USD0.635412013-12-18
USD0.017842013-09-30
USD0.017932013-06-28
USD0.001192013-03-28
20120.56%USD 0.083USD0.047422012-12-31
USD0.011942012-09-28
USD0.02372012-06-29
20114.33%USD 0.639USD0.074892011-12-30
USD0.477482011-12-23
USD0.020612011-09-30
USD0.02712011-06-30
USD0.038672011-03-31
20100.84%USD 0.123USD0.072552010-12-31
USD0.029152010-09-30
USD0.014422010-06-30
USD0.007262010-03-31