JPMORGAN MID CAP EQUITY FUND SELECT CLASS(VSNGX) USD 51.77
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.73%USD 1.415USD0.238842022-12-20
USD1.175792022-12-13
20219.07%USD 4.695USD0.093112021-12-20
USD4.602052021-12-13
202012.43%USD 6.437USD0.212862020-12-18
USD6.223782020-12-11
20198.37%USD 4.334USD0.401452019-12-19
USD0.312022019-12-12
USD3.620182019-10-08
201810.39%USD 5.378USD0.23382018-12-19
USD5.144132018-12-12
20175.69%USD 2.946USD0.071492017-12-20
USD2.852992017-12-13
USD0.02112017-03-29
20162.89%USD 1.495USD0.045792016-12-20
USD1.371992016-12-14
USD0.07732016-09-28
20154.24%USD 2.196USD0.062872015-12-21
USD2.111062015-12-11
USD0.006662015-09-28
USD0.015432015-06-26
20144.19%USD 2.17USD0.080842014-12-19
USD2.032832014-12-12
USD0.021042014-09-30
USD0.025032014-06-30
USD0.010122014-03-31
20136.84%USD 3.539USD0.045382013-12-20
USD3.375112013-12-12
USD0.02442013-09-30
USD0.060242013-06-28
USD0.033942013-03-28
20120.84%USD 0.433USD0.08122012-12-18
USD0.225912012-12-13
USD0.023612012-09-28
USD0.054062012-06-29
USD0.047872012-03-30
20110.30%USD 0.158USD0.047772011-12-20
USD0.020462011-09-30
USD0.02732011-06-30
USD0.062062011-03-31
20100.17%USD 0.086USD0.03242010-09-30
USD0.028512010-06-30
USD0.025422010-03-31
20090.42%USD 0.217USD0.036812009-12-21
USD0.030922009-09-30
USD0.044662009-06-30
USD0.104492009-03-31
20082.68%USD 1.386USD1.300762008-12-18
USD0.023422008-09-30
USD0.02132008-06-30
USD0.040412008-03-31
200712.64%USD 6.543USD0.018662007-12-20
USD6.498422007-12-17
USD0.02582007-09-28
20065.73%USD 2.965USD0.077242006-12-22
USD2.144932006-12-15
USD0.018842006-09-29
USD0.581042006-08-30
USD0.074022006-06-30
USD0.069142006-03-31
20057.00%USD 3.626USD0.039242005-12-27
USD2.728352005-12-15
USD0.022282005-09-30
USD0.806432005-08-30
USD0.020182005-06-30
USD0.009992005-03-31
20040.73%USD 0.378USD0.0072004-12-31
USD0.2492004-12-17
USD0.0272004-08-31
USD0.0522004-06-30
USD0.0432004-03-31
20030.65%USD 0.336USD0.0342003-12-31
USD0.2062003-12-19
USD0.0322003-09-30
USD0.032003-06-30
USD0.0342003-03-31
20020.26%USD 0.134USD0.052002-12-31
USD0.0372002-09-30
USD0.0372002-06-28
USD0.012002-03-28
20010.20%USD 0.102USD0.0182001-12-14
USD0.0192001-09-28
USD0.0272001-06-29
USD0.0382001-03-30
20000.28%USD 0.147USD0.0372000-12-29
USD0.072000-09-29
USD0.042000-03-31