JPMORGAN SMARTRETIREMENT 2040 FUND SELECT CLASS(SMTSX) USD 18.37
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20229.48%USD 1.741USD0.316612022-12-30
USD1.424312022-12-15
202122.06%USD 4.053USD0.555672021-12-31
USD3.412042021-12-15
USD0.013042021-09-30
USD0.039842021-06-30
USD0.032412021-03-31
20206.15%USD 1.13USD0.283512020-12-31
USD0.764652020-12-15
USD0.02052020-09-30
USD0.030322020-06-30
USD0.031192020-03-31
201913.37%USD 2.455USD0.262432019-12-31
USD2.04962019-12-16
USD0.058742019-09-30
USD0.048082019-06-28
USD0.036312019-03-29
20186.41%USD 1.177USD0.381672018-12-31
USD0.667712018-12-14
USD0.0432018-09-28
USD0.047132018-06-29
USD0.037122018-03-29
20175.05%USD 0.927USD0.273382017-12-29
USD0.536122017-12-15
USD0.041832017-09-29
USD0.037422017-06-30
USD0.038232017-03-31
20163.04%USD 0.559USD0.227732016-12-30
USD0.191162016-12-16
USD0.056772016-09-30
USD0.051932016-06-30
USD0.031092016-03-31
20153.25%USD 0.597USD0.260152015-12-31
USD0.252032015-12-18
USD0.008842015-09-30
USD0.062622015-06-30
USD0.013452015-03-31
20144.64%USD 0.853USD0.388012014-12-31
USD0.308742014-12-17
USD0.058562014-09-30
USD0.056712014-06-30
USD0.041262014-03-31
20134.15%USD 0.762USD0.373872013-12-31
USD0.229912013-12-18
USD0.031722013-09-30
USD0.049912013-06-28
USD0.07652013-03-28
20121.73%USD 0.318USD0.163112012-12-31
USD0.077422012-09-28
USD0.03212012-06-29
USD0.045022012-03-30
20111.52%USD 0.278USD0.155962011-12-30
USD0.021942011-09-30
USD0.06022011-06-30
USD0.040232011-03-31
20101.37%USD 0.251USD0.134972010-12-31
USD0.042322010-09-30
USD0.055482010-06-30
USD0.018622010-03-31
20091.42%USD 0.261USD0.139662009-12-31
USD0.091872009-09-30
USD0.025332009-06-30
USD0.004152009-03-31
20084.36%USD 0.8USD0.164272008-12-31
USD0.521172008-12-24
USD0.074152008-06-30
USD0.04082008-03-31
20074.61%USD 0.846USD0.48192007-12-31
USD0.238492007-12-21
USD0.034312007-09-28
USD0.060172007-06-29
USD0.031452007-03-30
20062.24%USD 0.411USD0.32472006-12-29
USD0.004852006-12-28
USD0.037962006-09-29
USD0.043852006-06-30