JPMORGAN INVESTOR BALANCED FUND SELECT CLASS(OIBFX) USD 14.39
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.75%USD 0.972USD0.12582022-12-30
USD0.685732022-12-15
USD0.062742022-09-30
USD0.057932022-06-30
USD0.039692022-03-31
20215.21%USD 0.749USD0.311122021-12-31
USD0.306872021-12-15
USD0.04542021-09-30
USD0.044822021-06-30
USD0.040962021-03-31
20206.91%USD 0.994USD0.147142020-12-31
USD0.686512020-12-15
USD0.052882020-09-30
USD0.051592020-06-30
USD0.055692020-03-31
20196.97%USD 1.004USD0.137572019-12-31
USD0.694982019-12-16
USD0.0592019-09-30
USD0.060992019-06-28
USD0.051072019-03-29
20187.48%USD 1.077USD0.23632018-12-31
USD0.68212018-12-14
USD0.0582018-09-28
USD0.053512018-06-29
USD0.04682018-03-29
20177.44%USD 1.071USD0.181262017-12-29
USD0.739592017-12-15
USD0.051682017-09-29
USD0.05182017-06-30
USD0.046652017-03-31
20163.85%USD 0.554USD0.125642016-12-30
USD0.283612016-12-16
USD0.051142016-09-30
USD0.051212016-06-30
USD0.042482016-03-31
20155.13%USD 0.738USD0.143092015-12-31
USD0.46552015-12-18
USD0.046232015-09-30
USD0.049662015-06-30
USD0.033072015-03-31
20144.15%USD 0.597USD0.199422014-12-31
USD0.278472014-12-17
USD0.038792014-09-30
USD0.042462014-06-30
USD0.037842014-03-31
20132.24%USD 0.322USD0.142552013-12-31
USD0.044062013-12-18
USD0.03712013-09-30
USD0.042192013-06-28
USD0.056552013-03-28
20121.87%USD 0.269USD0.096792012-12-31
USD0.068982012-09-28
USD0.053772012-06-29
USD0.049372012-03-30
20111.86%USD 0.268USD0.096352011-12-30
USD0.053552011-09-30
USD0.05662011-06-30
USD0.061092011-03-31
20101.81%USD 0.261USD0.084192010-12-31
USD0.057782010-09-30
USD0.060692010-06-30
USD0.058092010-03-31
20092.14%USD 0.309USD0.103762009-12-31
USD0.060632009-09-30
USD0.066462009-06-30
USD0.077672009-03-31
20084.81%USD 0.693USD0.115332008-12-31
USD0.332612008-12-24
USD0.076892008-09-30
USD0.082122008-06-30
USD0.085812008-03-31
20076.53%USD 0.939USD0.325992007-12-31
USD0.348472007-12-21
USD0.096442007-09-28
USD0.088132007-06-29
USD0.080132007-03-30
20065.22%USD 0.751USD0.19282006-12-29
USD0.312132006-12-28
USD0.080562006-09-29
USD0.086882006-06-30
USD0.078462006-03-31
20053.54%USD 0.509USD0.1452005-12-30
USD0.095142005-12-19
USD0.071472005-09-30
USD0.079122005-06-30
USD0.118052005-03-31
20042.12%USD 0.305USD0.1082004-12-31
USD0.0682004-09-30
USD0.0682004-06-30
USD0.0612004-03-31
20032.29%USD 0.33USD0.0742003-12-31
USD0.0622003-09-30
USD0.0632003-06-30
USD0.0792003-03-31
USD0.0252003-02-28
USD0.0272003-01-31
20022.23%USD 0.321USD0.0842002-12-31
USD0.0792002-09-30
USD0.0782002-06-28
USD0.082002-03-28
20012.81%USD 0.405USD0.132001-12-31
USD0.0842001-09-28
USD0.0962001-06-29
USD0.0952001-03-30
20003.32%USD 0.478USD0.1092000-12-29
USD0.1612000-09-29
USD0.1042000-06-30
USD0.1042000-03-31