JPMORGAN EQUITY INCOME FUND CLASS R6(OIEJX) USD 22.35
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.58%USD 0.13USD0.055462023-03-29
USD0.045862023-02-24
USD0.029142023-01-27
20223.96%USD 0.886USD0.05962022-12-28
USD0.388052022-12-13
USD0.049732022-11-28
USD0.027512022-10-27
USD0.054032022-09-28
USD0.058512022-08-29
USD0.021472022-07-27
USD0.045832022-06-28
USD0.046682022-05-26
USD0.018482022-04-27
USD0.053262022-03-29
USD0.036592022-02-24
USD0.026412022-01-27
20213.81%USD 0.851USD0.053782021-12-29
USD0.436422021-12-13
USD0.035042021-11-26
USD0.023832021-10-27
USD0.041482021-09-28
USD0.033542021-08-27
USD0.031982021-07-28
USD0.038322021-06-28
USD0.038932021-05-26
USD0.013582021-04-28
USD0.045082021-03-29
USD0.033562021-02-24
USD0.025912021-01-27
20201.80%USD 0.403USD0.046442020-12-29
USD0.032072020-11-25
USD0.022582020-10-28
USD0.03772020-09-28
USD0.034552020-08-27
USD0.021582020-07-29
USD0.04322020-06-26
USD0.036372020-05-27
USD0.015852020-04-28
USD0.046912020-03-27
USD0.040632020-02-26
USD0.02492020-01-29
20192.62%USD 0.586USD0.047382019-12-27
USD0.194632019-12-12
USD0.041422019-11-26
USD0.018222019-10-29
USD0.038212019-09-26
USD0.040982019-08-28
USD0.016332019-07-29
USD0.042662019-06-26
USD0.039632019-05-29
USD0.010152019-04-26
USD0.043072019-03-27
USD0.039952019-02-26
USD0.013092019-01-29
20183.81%USD 0.852USD0.04522018-12-27
USD0.464162018-12-12
USD0.042712018-11-28
USD0.018522018-10-29
USD0.038672018-09-26
USD0.077972018-08-29
USD0.010182018-07-27
USD0.021852018-06-27
USD0.044142018-05-29
USD0.007252018-04-26
USD0.039612018-03-27
USD0.039852018-02-26
USD0.0012018-01-31
USD0.001252018-01-29
20172.10%USD 0.47USD0.038562017-12-27
USD0.153482017-12-13
USD0.045142017-11-28
USD0.007842017-10-27
USD0.026612017-09-27
USD0.04772017-08-29
USD0.007162017-07-27
USD0.027722017-06-28
USD0.044992017-05-26
USD0.001372017-04-26
USD0.033362017-03-29
USD0.036482017-02-24
20161.84%USD 0.412USD0.035222016-12-28
USD0.090152016-12-14
USD0.051292016-11-28
USD0.003962016-10-27
USD0.027782016-09-28
USD0.051392016-08-29
USD0.033112016-06-28
USD0.035622016-05-26
USD0.003232016-04-27
USD0.036362016-03-29
USD0.039942016-02-25
USD0.004272016-01-27
20151.37%USD 0.306USD0.039932015-12-29
USD0.039622015-11-25
USD0.008082015-10-28
USD0.02782015-09-28
USD0.03962015-08-27
USD0.007152015-07-29
USD0.03172015-06-26
USD0.024162015-05-27
USD0.014952015-04-28
USD0.03992015-03-27
USD0.027032015-02-25
USD0.006182015-01-29
20142.62%USD 0.586USD0.072982014-12-30
USD0.277522014-12-12
USD0.026052014-11-28
USD0.014632014-10-31
USD0.032322014-09-30
USD0.025322014-08-29
USD0.007322014-07-31
USD0.035012014-06-30
USD0.023112014-05-30
USD0.011032014-04-30
USD0.034072014-03-31
USD0.026552014-02-28
20132.17%USD 0.485USD0.04572013-12-31
USD0.21692013-12-12
USD0.018322013-11-29
USD0.015912013-10-31
USD0.031152013-09-30
USD0.02352013-08-30
USD0.006932013-07-31
USD0.034472013-06-28
USD0.02042013-05-31
USD0.008592013-04-30
USD0.032232013-03-28
USD0.025332013-02-28
USD0.005252013-01-31
20121.51%USD 0.337USD0.054482012-12-31
USD0.073252012-12-13
USD0.027492012-11-30
USD0.015382012-10-31
USD0.023572012-09-28
USD0.025832012-08-31
USD0.006292012-07-31
USD0.025162012-06-29
USD0.025092012-05-31
USD0.010822012-04-30
USD0.02822012-03-30
USD0.021412012-02-29