JPMORGAN INVESTOR BALANCED FUND CLASS C(OGBCX) USD 14.05
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.11%USD 0.859USD0.100162022-12-30
USD0.685732022-12-15
USD0.034592022-09-30
USD0.029232022-06-30
USD0.009322022-03-31
20214.45%USD 0.625USD0.279092021-12-31
USD0.306872021-12-15
USD0.013372021-09-30
USD0.013892021-06-30
USD0.01142021-03-31
20206.25%USD 0.878USD0.117512020-12-31
USD0.686512020-12-15
USD0.023042020-09-30
USD0.024442020-06-30
USD0.026572020-03-31
20196.34%USD 0.891USD0.109052019-12-31
USD0.694982019-12-16
USD0.03232019-09-30
USD0.031732019-06-28
USD0.023162019-03-29
20186.78%USD 0.952USD0.206442018-12-31
USD0.68212018-12-14
USD0.0262018-09-28
USD0.022062018-06-29
USD0.015472018-03-29
20176.71%USD 0.943USD0.147982017-12-29
USD0.739592017-12-15
USD0.019532017-09-29
USD0.019972017-06-30
USD0.015652017-03-31
20163.09%USD 0.435USD0.095062016-12-30
USD0.283612016-12-16
USD0.020852016-09-30
USD0.021182016-06-30
USD0.014082016-03-31
20154.41%USD 0.62USD0.114972015-12-31
USD0.46552015-12-18
USD0.017832015-09-30
USD0.021462015-06-30
20143.51%USD 0.493USD0.179352014-12-31
USD0.278472014-12-17
USD0.010962014-09-30
USD0.012942014-06-30
USD0.011142014-03-31
20131.59%USD 0.223USD0.112952013-12-31
USD0.044062013-12-18
USD0.014142013-09-30
USD0.01922013-06-28
USD0.032622013-03-28
20121.23%USD 0.174USD0.072432012-12-31
USD0.044772012-09-28
USD0.030532012-06-29
USD0.025782012-03-30
20111.26%USD 0.178USD0.072972011-12-30
USD0.030522011-09-30
USD0.03392011-06-30
USD0.040312011-03-31
20101.25%USD 0.175USD0.063032010-12-31
USD0.035822010-09-30
USD0.038862010-06-30
USD0.037492010-03-31
20091.63%USD 0.229USD0.08282009-12-31
USD0.040952009-09-30
USD0.046782009-06-30
USD0.058222009-03-31
20084.27%USD 0.6USD0.09512008-12-31
USD0.332612008-12-24
USD0.053062008-09-30
USD0.057712008-06-30
USD0.061282008-03-31
20075.93%USD 0.833USD0.29912007-12-31
USD0.348472007-12-21
USD0.069982007-09-28
USD0.060832007-06-29
USD0.054222007-03-30
20064.61%USD 0.647USD0.167092006-12-29
USD0.312132006-12-28
USD0.054472006-09-29
USD0.061122006-06-30
USD0.052512006-03-31
20052.90%USD 0.407USD0.122005-12-30
USD0.095142005-12-19
USD0.045632005-09-30
USD0.055332005-06-30
USD0.091322005-03-31
20041.37%USD 0.193USD0.0792004-12-31
USD0.0392004-09-30
USD0.0412004-06-30
USD0.0342004-03-31
20031.53%USD 0.215USD0.0482003-12-31
USD0.0392003-09-30
USD0.0382003-06-30
USD0.0572003-03-31
USD0.0162003-02-28
USD0.0172003-01-31
20021.60%USD 0.225USD0.0622002-12-31
USD0.0562002-09-30
USD0.0522002-06-28
USD0.0552002-03-28
20012.11%USD 0.296USD0.1032001-12-31
USD0.0572001-09-28
USD0.0682001-06-29
USD0.0682001-03-30
20002.52%USD 0.354USD0.0792000-12-29
USD0.132000-09-29
USD0.0732000-06-30
USD0.0722000-03-31