JPMORGAN EQUITY INDEX FUND CLASS A(OGEAX) USD 62.25
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.27%USD 0.17USD0.170322023-03-29
20221.15%USD 0.715USD0.216752022-12-20
USD0.012532022-12-13
USD0.1862022-09-28
USD0.177392022-06-28
USD0.122322022-03-29
20212.48%USD 1.545USD0.181752021-12-20
USD0.934142021-12-13
USD0.137962021-09-28
USD0.152632021-06-28
USD0.138432021-03-29
20201.24%USD 0.771USD0.155322020-12-18
USD0.280482020-09-28
USD0.170642020-06-26
USD0.164852020-03-27
20191.41%USD 0.88USD0.259142019-12-19
USD0.085492019-12-12
USD0.215122019-09-26
USD0.176132019-06-26
USD0.144262019-03-27
20181.18%USD 0.737USD0.199022018-12-19
USD0.140092018-12-12
USD0.126662018-09-26
USD0.152442018-06-27
USD0.118452018-03-27
20171.46%USD 0.911USD0.109932017-12-20
USD0.384132017-12-13
USD0.160392017-09-27
USD0.141592017-06-28
USD0.115172017-03-29
20166.10%USD 3.797USD0.171452016-12-20
USD3.187712016-12-14
USD0.164062016-09-28
USD0.151692016-06-28
USD0.121972016-03-29
20151.14%USD 0.71USD0.232642015-12-21
USD0.161942015-09-28
USD0.164922015-06-26
USD0.15042015-03-27
20145.78%USD 3.6USD0.177382014-12-19
USD2.951082014-12-12
USD0.164332014-09-30
USD0.15592014-06-30
USD0.151342014-03-31
20134.66%USD 2.898USD0.177712013-12-20
USD2.279732013-12-12
USD0.145812013-09-30
USD0.15412013-06-28
USD0.141092013-03-28
20120.95%USD 0.592USD0.20192012-12-18
USD0.14212012-09-28
USD0.131292012-06-29
USD0.116982012-03-30
20110.78%USD 0.485USD0.146682011-12-20
USD0.115042011-09-30
USD0.11282011-06-30
USD0.110312011-03-31
20100.68%USD 0.426USD0.118862010-12-20
USD0.11262010-09-30
USD0.100152010-06-30
USD0.094412010-03-31
20090.77%USD 0.478USD0.151442009-12-21
USD0.093632009-09-30
USD0.110962009-06-30
USD0.121492009-03-31
20080.85%USD 0.529USD0.144692008-12-22
USD0.126042008-09-30
USD0.128822008-06-30
USD0.129662008-03-31
20070.83%USD 0.514USD0.141072007-12-20
USD0.116232007-09-28
USD0.137942007-06-29
USD0.118772007-03-30
20060.72%USD 0.45USD0.132012006-12-22
USD0.106812006-09-29
USD0.109622006-06-30
USD0.101762006-03-31
20050.65%USD 0.408USD0.119782005-12-30
USD0.102882005-09-30
USD0.093332005-06-30
USD0.091662005-03-31
20040.63%USD 0.391USD0.1832004-12-31
USD0.0772004-09-30
USD0.0672004-06-30
USD0.0642004-03-31
20030.44%USD 0.271USD0.0822003-12-31
USD0.0652003-09-30
USD0.0612003-06-30
USD0.0632003-03-31
20020.43%USD 0.266USD0.0652002-12-31
USD0.0592002-09-30
USD0.0582002-06-28
USD0.032002-05-31
USD0.0052002-04-30
USD0.0492002-03-28
20010.32%USD 0.202USD0.052001-12-31
USD0.0592001-09-28
USD0.0462001-06-29
USD0.0472001-03-30
20000.32%USD 0.197USD0.0482000-12-29
USD0.0452000-09-29
USD0.0522000-06-30
USD0.0522000-03-31