JPMORGAN EQUITY INDEX FUND CLASS C(OEICX) USD 61.58
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.13%USD 0.081USD0.080632023-03-29
20220.56%USD 0.343USD0.129942022-12-20
USD0.012532022-12-13
USD0.094372022-09-28
USD0.083062022-06-28
USD0.022822022-03-29
20211.88%USD 1.159USD0.079662021-12-20
USD0.934142021-12-13
USD0.034022021-09-28
USD0.059782021-06-28
USD0.051842021-03-29
20200.77%USD 0.477USD0.072552020-12-18
USD0.199392020-09-28
USD0.108162020-06-26
USD0.096852020-03-27
20191.00%USD 0.619USD0.192122019-12-19
USD0.085492019-12-12
USD0.147152019-09-26
USD0.110212019-06-26
USD0.083752019-03-27
20180.86%USD 0.53USD0.180112018-12-19
USD0.140092018-12-12
USD0.061722018-09-26
USD0.091792018-06-27
USD0.055942018-03-27
20171.10%USD 0.675USD0.043092017-12-20
USD0.384132017-12-13
USD0.104882017-09-27
USD0.083122017-06-28
USD0.059622017-03-29
20165.76%USD 3.546USD0.115722016-12-20
USD3.187712016-12-14
USD0.097252016-09-28
USD0.083152016-06-28
USD0.062652016-03-29
20150.66%USD 0.409USD0.167062015-12-21
USD0.086612015-09-28
USD0.087852015-06-26
USD0.067582015-03-27
20145.39%USD 3.318USD0.115122014-12-19
USD2.951082014-12-12
USD0.096082014-09-30
USD0.083862014-06-30
USD0.071462014-03-31
20134.29%USD 2.641USD0.115122013-12-20
USD2.279732013-12-12
USD0.085252013-09-30
USD0.087122013-06-28
USD0.07412013-03-28
20120.60%USD 0.371USD0.152312012-12-18
USD0.089262012-09-28
USD0.072752012-06-29
USD0.056872012-03-30
20110.46%USD 0.284USD0.099182011-12-20
USD0.066192011-09-30
USD0.05722011-06-30
USD0.061232011-03-31
20100.37%USD 0.23USD0.06282010-12-20
USD0.068182010-09-30
USD0.049312010-06-30
USD0.049712010-03-31
20090.51%USD 0.313USD0.10062009-12-21
USD0.05362009-09-30
USD0.073622009-06-30
USD0.085582009-03-31
20080.51%USD 0.315USD0.103922008-12-22
USD0.073352008-09-30
USD0.069952008-06-30
USD0.067482008-03-31
20070.44%USD 0.269USD0.076532007-12-20
USD0.055612007-09-28
USD0.073872007-06-29
USD0.062662007-03-30
20060.36%USD 0.224USD0.0722006-12-22
USD0.052622006-09-29
USD0.051272006-06-30
USD0.048072006-03-31
20050.33%USD 0.203USD0.066152005-12-30
USD0.051922005-09-30
USD0.042342005-06-30
USD0.042122005-03-31
20040.31%USD 0.192USD0.1312004-12-31
USD0.0282004-09-30
USD0.0172004-06-30
USD0.0162004-03-31
20030.18%USD 0.109USD0.0372003-12-31
USD0.0232003-09-30
USD0.0232003-06-30
USD0.0262003-03-31
20020.10%USD 0.061USD0.0262002-12-31
USD0.0192002-09-30
USD0.0112002-06-28
USD0.0052002-03-28
20010.02%USD 0.013USD0.0022001-12-31
USD0.0112001-09-28