JPMORGAN GOVERNMENT BOND FUND CLASS R6(OGGYX) USD 9.57
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.61%USD 0.058USD0.02232023-03-29
USD0.018212023-02-24
USD0.017872023-01-27
20222.22%USD 0.212USD0.020212022-12-28
USD0.019182022-11-28
USD0.017372022-10-27
USD0.017292022-09-28
USD0.021162022-08-29
USD0.015362022-07-27
USD0.016962022-06-28
USD0.01982022-05-26
USD0.018652022-04-27
USD0.016232022-03-29
USD0.013642022-02-24
USD0.016632022-01-27
20211.84%USD 0.176USD0.016482021-12-29
USD0.015672021-11-26
USD0.015152021-10-27
USD0.013672021-09-28
USD0.015112021-08-27
USD0.014712021-07-28
USD0.01542021-06-28
USD0.01462021-05-26
USD0.015822021-04-28
USD0.014082021-03-29
USD0.012922021-02-24
USD0.012242021-01-27
20202.27%USD 0.218USD0.015342020-12-29
USD0.01512020-12-11
USD0.015122020-11-25
USD0.015332020-10-28
USD0.015752020-09-28
USD0.017152020-08-27
USD0.01592020-07-29
USD0.015882020-06-26
USD0.014822020-05-27
USD0.020092020-04-28
USD0.017522020-03-27
USD0.020142020-02-26
USD0.01952020-01-29
20192.79%USD 0.267USD0.021962019-12-27
USD0.021122019-11-26
USD0.021162019-10-29
USD0.022492019-09-26
USD0.022232019-08-28
USD0.023482019-07-29
USD0.023332019-06-26
USD0.024322019-05-29
USD0.025672019-04-26
USD0.023132019-03-27
USD0.017412019-02-26
USD0.020822019-01-29
20182.78%USD 0.266USD0.022962018-12-27
USD0.023022018-11-28
USD0.022722018-10-29
USD0.021482018-09-26
USD0.022872018-08-29
USD0.022352018-07-27
USD0.022392018-06-27
USD0.022082018-05-29
USD0.024472018-04-26
USD0.022542018-03-27
USD0.019942018-02-26
USD0.019162018-01-29
20172.82%USD 0.27USD0.022662017-12-27
USD0.00962017-12-13
USD0.023032017-11-28
USD0.02262017-10-27
USD0.021012017-09-27
USD0.021952017-08-29
USD0.021992017-07-27
USD0.021782017-06-28
USD0.021492017-05-26
USD0.023232017-04-26
USD0.022012017-03-29
USD0.01942017-02-24
USD0.018912017-01-27
20161.48%USD 0.142USD0.0222016-12-28
USD0.036962016-12-14
USD0.0212016-11-28
USD0.022016-10-27
USD0.022016-09-28
USD0.0222016-08-29