JPMORGAN ACCESS BALANCED FUND SELECT CLASS(JXBSX) USD 14.84
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.33%USD 1.088USD0.088222022-12-30
USD0.828942022-12-15
USD0.060842022-09-30
USD0.0762022-06-30
USD0.033692022-03-31
202112.03%USD 1.785USD0.152942021-12-31
USD1.439832021-12-15
USD0.092112021-09-30
USD0.057192021-06-30
USD0.043132021-03-31
20207.89%USD 1.17USD0.101362020-12-31
USD0.885672020-12-15
USD0.071272020-09-30
USD0.062352020-06-30
USD0.049622020-03-31
20194.32%USD 0.641USD0.137182019-12-31
USD0.335062019-12-16
USD0.056082019-09-30
USD0.086872019-06-28
USD0.026142019-03-29
20186.26%USD 0.929USD0.115572018-12-31
USD0.712662018-12-14
USD0.076252018-06-29
USD0.024772018-03-29
20177.40%USD 1.099USD0.134362017-12-29
USD0.809792017-12-15
USD0.051522017-09-29
USD0.075162017-06-30
USD0.027862017-03-31
20161.57%USD 0.233USD0.090112016-12-30
USD0.044122016-09-30
USD0.066632016-06-30
USD0.032232016-03-31
20155.10%USD 0.757USD0.117212015-12-31
USD0.471792015-12-18
USD0.099662015-09-30
USD0.062342015-06-30
USD0.006132015-03-31
20147.27%USD 1.078USD0.094172014-12-31
USD0.872462014-12-17
USD0.034032014-09-30
USD0.059172014-06-30
USD0.018652014-03-31
20135.80%USD 0.86USD0.094992013-12-31
USD0.635412013-12-18
USD0.049372013-09-30
USD0.048462013-06-28
USD0.031772013-03-28
20121.28%USD 0.19USD0.079032012-12-31
USD0.042092012-09-28
USD0.052552012-06-29
USD0.016582012-03-30
20115.07%USD 0.752USD0.102572011-12-30
USD0.477482011-12-23
USD0.04882011-09-30
USD0.05692011-06-30
USD0.066732011-03-31
20101.42%USD 0.21USD0.101432010-12-31
USD0.055272010-09-30
USD0.039952010-06-30
USD0.013542010-03-31
20090.51%USD 0.075USD0.0752009-12-31