JPMORGAN MARKET EXPANSION ENHANCED INDEX FUND CLASS A(OMEAX) USD 13.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.29%USD 0.562USD0.562272022-04-27
202110.58%USD 1.386USD0.092992021-12-20
USD1.293472021-12-13
20203.48%USD 0.456USD0.091862020-12-18
USD0.364442020-12-11
20194.66%USD 0.61USD0.105022019-12-19
USD0.505232019-12-12
201810.10%USD 1.323USD0.091222018-12-19
USD1.231682018-12-12
201710.19%USD 1.335USD0.0762017-12-20
USD1.250612017-12-13
USD0.008832017-03-29
20168.87%USD 1.162USD0.034042016-12-20
USD1.059562016-12-14
USD0.033872016-09-28
USD0.022042016-06-28
USD0.012562016-03-29
201517.01%USD 2.228USD0.030852015-12-21
USD2.136872015-12-11
USD0.018582015-09-28
USD0.022182015-06-26
USD0.019842015-03-27
201412.92%USD 1.692USD0.036592014-12-19
USD1.59212014-12-12
USD0.019942014-09-30
USD0.026872014-06-30
USD0.016822014-03-31
20139.42%USD 1.233USD0.024852013-12-20
USD1.141622013-12-12
USD0.011782013-09-30
USD0.029982013-06-28
USD0.025252013-03-28
20125.26%USD 0.688USD0.047122012-12-18
USD0.596842012-12-13
USD0.006052012-09-28
USD0.019642012-06-29
USD0.018832012-03-30
20116.58%USD 0.861USD0.023152011-12-20
USD0.781512011-12-15
USD0.007672011-09-30
USD0.01482011-06-30
USD0.034282011-03-31
20100.31%USD 0.041USD0.007232010-09-30
USD0.015462010-06-30
USD0.018422010-03-31
20090.76%USD 0.099USD0.021412009-12-21
USD0.00982009-09-30
USD0.013262009-06-30
USD0.054962009-03-31
20082.96%USD 0.388USD0.323932008-12-18
USD0.014582008-09-30
USD0.025412008-06-30
USD0.024382008-03-31
200713.95%USD 1.827USD0.015452007-12-20
USD1.745582007-12-17
USD0.005522007-09-28
USD0.0242007-06-29
USD0.036382007-03-30
20068.33%USD 1.092USD0.026022006-12-22
USD1.020122006-12-15
USD0.004032006-09-29
USD0.020742006-06-30
USD0.020912006-03-31
20058.81%USD 1.154USD0.019492005-12-30
USD1.082562005-12-15
USD0.02182005-09-30
USD0.020182005-06-30
USD0.012005-03-31
20040.37%USD 0.048USD0.0152004-12-31
USD0.0122004-12-14
USD0.0072004-09-30
USD0.0092004-06-30
USD0.0052004-03-31
20030.15%USD 0.019USD0.0082003-12-31
USD0.0042003-09-30
USD0.0032003-06-30
USD0.0042003-03-31
20020.08%USD 0.01USD0.0052002-12-31
USD0.0032002-09-30
USD0.0022002-03-28
20010.11%USD 0.014USD0.0042001-12-31
USD0.0022001-09-28
USD0.0032001-06-29
USD0.0052001-03-30
20000.15%USD 0.02USD0.0082000-12-29
USD0.0122000-09-29