JPMORGAN SMALL CAP VALUE FUND CLASS A(PSOAX) USD 21.49
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.11%USD 0.023USD0.022732023-03-29
202210.47%USD 2.251USD0.106462022-12-20
USD2.031192022-12-13
USD0.06122022-09-28
USD0.051852022-06-28
202123.10%USD 4.965USD0.053962021-12-20
USD4.874322021-12-13
USD0.026722021-09-28
USD0.010182021-06-28
20200.70%USD 0.151USD0.008752020-12-30
USD0.073622020-12-18
USD0.039712020-09-28
USD0.028722020-06-26
20197.32%USD 1.574USD0.105512019-12-19
USD1.33172019-12-12
USD0.048642019-09-26
USD0.081592019-06-26
USD0.006252019-03-27
201817.07%USD 3.669USD0.112882018-12-19
USD3.457122018-12-12
USD0.042192018-09-26
USD0.057082018-06-27
20178.89%USD 1.911USD0.134782017-12-20
USD1.738812017-12-13
USD0.037282017-09-27
20160.79%USD 0.17USD0.080712016-12-20
USD0.019242016-12-14
USD0.044542016-09-28
USD0.02542016-06-28
20151.01%USD 0.217USD0.081772015-12-21
USD0.038772015-09-28
USD0.01742015-06-26
USD0.079052015-03-27
20146.79%USD 1.46USD0.092462014-12-19
USD1.340692014-12-12
USD0.011472014-09-30
USD0.015052014-06-30
20134.23%USD 0.91USD0.08272013-12-20
USD0.66782013-12-12
USD0.010652013-09-30
USD0.057722013-06-28
USD0.090712013-03-28
20120.78%USD 0.167USD0.074972012-12-18
USD0.004732012-09-28
USD0.052942012-06-29
USD0.034282012-03-30
20110.85%USD 0.182USD0.047032011-12-20
USD0.025972011-09-30
USD0.03322011-06-30
USD0.075582011-03-31
20100.32%USD 0.069USD0.014572010-09-30
USD0.02382010-06-30
USD0.030622010-03-31
20090.98%USD 0.21USD0.022562009-12-21
USD0.00672009-09-30
USD0.035192009-06-30
USD0.146032009-03-31
20085.49%USD 1.179USD1.033862008-12-18
USD0.027562008-09-30
USD0.047082008-06-30
USD0.070962008-03-31
200712.32%USD 2.647USD0.045542007-12-20
USD2.512442007-12-17
USD0.04222007-06-29
USD0.046962007-03-30
200614.49%USD 3.113USD0.038122006-12-22
USD2.999352006-12-15
USD0.011922006-09-29
USD0.039362006-06-30
USD0.024612006-03-31
200520.12%USD 4.323USD0.044372005-12-30
USD4.195062005-12-15
USD0.023012005-09-30
USD0.060172005-06-30
USD0.000162005-03-31
20040.28%USD 0.061USD0.0422004-12-31
USD0.0122004-09-30
USD0.0072004-03-31
20030.11%USD 0.024USD0.0082003-12-31
USD0.0082003-09-30
USD0.0082003-06-30
20020.44%USD 0.094USD0.0362002-12-31
USD0.0292002-09-30
USD0.0182002-06-28
USD0.0112002-03-28
20010.66%USD 0.142USD0.0342001-12-31
USD0.032001-09-28
USD0.0412001-06-29
USD0.0372001-03-30
20000.96%USD 0.206USD0.0572000-12-29
USD0.0452000-09-29
USD0.0442000-06-30
USD0.062000-03-31