JPMORGAN SMARTRETIREMENT 2035 FUND SELECT CLASS(SRJSX) USD 17.2
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.20%USD 1.411USD0.319312022-12-30
USD1.091412022-12-15
202120.93%USD 3.6USD0.472332021-12-31
USD3.00862021-12-15
USD0.025452021-09-30
USD0.052382021-06-30
USD0.041482021-03-31
20205.87%USD 1.01USD0.264542020-12-31
USD0.640992020-12-15
USD0.024832020-09-30
USD0.038192020-06-30
USD0.041312020-03-31
201911.70%USD 2.012USD0.23712019-12-31
USD1.60022019-12-16
USD0.069412019-09-30
USD0.0592019-06-28
USD0.0462019-03-29
20185.92%USD 1.019USD0.340082018-12-31
USD0.530832018-12-14
USD0.0512018-09-28
USD0.052782018-06-29
USD0.043852018-03-29
20174.77%USD 0.821USD0.245122017-12-29
USD0.439722017-12-15
USD0.047922017-09-29
USD0.0452017-06-30
USD0.043242017-03-31
20162.98%USD 0.513USD0.204552016-12-30
USD0.15852016-12-16
USD0.059982016-09-30
USD0.053952016-06-30
USD0.035782016-03-31
20153.20%USD 0.55USD0.237212015-12-31
USD0.216222015-12-18
USD0.01562015-09-30
USD0.063682015-06-30
USD0.017512015-03-31
20144.45%USD 0.765USD0.353522014-12-31
USD0.256152014-12-17
USD0.058442014-09-30
USD0.055352014-06-30
USD0.041942014-03-31
20134.84%USD 0.832USD0.332592013-12-31
USD0.341752013-12-18
USD0.033152013-09-30
USD0.049752013-06-28
USD0.075232013-03-28
20121.86%USD 0.319USD0.150512012-12-31
USD0.023892012-12-21
USD0.070222012-09-28
USD0.032272012-06-29
USD0.042252012-03-30
20111.77%USD 0.305USD0.145112011-12-30
USD0.04562011-12-23
USD0.035082011-09-30
USD0.04882011-06-30
USD0.029922011-03-31
20101.81%USD 0.311USD0.122432010-12-31
USD0.073812010-12-23
USD0.042882010-09-30
USD0.050392010-06-30
USD0.021362010-03-31
20091.36%USD 0.235USD0.132772009-12-31
USD0.060852009-09-30
USD0.024552009-06-30
USD0.01642009-03-31
20081.60%USD 0.276USD0.137292008-12-31
USD0.033862008-12-24
USD0.003452008-09-30
USD0.066012008-06-30
USD0.034972008-03-31
20072.77%USD 0.477USD0.450992007-12-31
USD0.025562007-09-28