JPMORGAN INVESTOR BALANCED FUND CLASS A(OGIAX) USD 14.35
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.51%USD 0.934USD0.117332022-12-30
USD0.685732022-12-15
USD0.053432022-09-30
USD0.048442022-06-30
USD0.029532022-03-31
20214.93%USD 0.707USD0.300462021-12-31
USD0.306872021-12-15
USD0.034572021-09-30
USD0.034412021-06-30
USD0.030912021-03-31
20206.67%USD 0.957USD0.137812020-12-31
USD0.686512020-12-15
USD0.043342020-09-30
USD0.04292020-06-30
USD0.046472020-03-31
20196.77%USD 0.971USD0.128542019-12-31
USD0.694982019-12-16
USD0.053482019-09-30
USD0.051982019-06-28
USD0.042322019-03-29
20187.23%USD 1.038USD0.227052018-12-31
USD0.68212018-12-14
USD0.0482018-09-28
USD0.043762018-06-29
USD0.036982018-03-29
20177.19%USD 1.032USD0.171682017-12-29
USD0.739592017-12-15
USD0.041632017-09-29
USD0.041822017-06-30
USD0.036782017-03-31
20163.61%USD 0.518USD0.116112016-12-30
USD0.283612016-12-16
USD0.041792016-09-30
USD0.042312016-06-30
USD0.033732016-03-31
20154.86%USD 0.698USD0.133912015-12-31
USD0.46552015-12-18
USD0.035762015-09-30
USD0.03942015-06-30
USD0.023462015-03-31
20143.90%USD 0.56USD0.189232014-12-31
USD0.278472014-12-17
USD0.029732014-09-30
USD0.03332014-06-30
USD0.029472014-03-31
20132.01%USD 0.289USD0.133142013-12-31
USD0.044062013-12-18
USD0.02912013-09-30
USD0.034262013-06-28
USD0.048462013-03-28
20121.65%USD 0.237USD0.088682012-12-31
USD0.060992012-09-28
USD0.046062012-06-29
USD0.041672012-03-30
20111.66%USD 0.238USD0.088882011-12-30
USD0.045942011-09-30
USD0.0492011-06-30
USD0.053812011-03-31
20101.62%USD 0.233USD0.076822010-12-31
USD0.050762010-09-30
USD0.053722010-06-30
USD0.051432010-03-31
20091.98%USD 0.284USD0.096922009-12-31
USD0.054212009-09-30
USD0.060572009-06-30
USD0.071922009-03-31
20084.63%USD 0.664USD0.10922008-12-31
USD0.332612008-12-24
USD0.06952008-09-30
USD0.074552008-06-30
USD0.078222008-03-31
20076.32%USD 0.907USD0.317782007-12-31
USD0.348472007-12-21
USD0.088432007-09-28
USD0.080052007-06-29
USD0.07242007-03-30
20065.01%USD 0.72USD0.184922006-12-29
USD0.312132006-12-28
USD0.072622006-09-29
USD0.07912006-06-30
USD0.070862006-03-31
20053.34%USD 0.48USD0.1382005-12-30
USD0.095142005-12-19
USD0.06392005-09-30
USD0.071782005-06-30
USD0.110832005-03-31
20041.94%USD 0.278USD0.1012004-12-31
USD0.0612004-09-30
USD0.0612004-06-30
USD0.0552004-03-31
20032.09%USD 0.3USD0.0672003-12-31
USD0.0562003-09-30
USD0.0572003-06-30
USD0.0732003-03-31
USD0.0232003-02-28
USD0.0242003-01-31
20022.05%USD 0.294USD0.0782002-12-31
USD0.0722002-09-30
USD0.0712002-06-28
USD0.0732002-03-28
20012.63%USD 0.377USD0.1232001-12-31
USD0.0772001-09-28
USD0.0892001-06-29
USD0.0882001-03-30
20003.11%USD 0.447USD0.1022000-12-29
USD0.1532000-09-29
USD0.0962000-06-30
USD0.0962000-03-31