JPMORGAN INTREPID MID CAP FUND SELECT CLASS(WOOPX) USD 15.27
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202211.98%USD 1.829USD0.027382022-12-20
USD1.801792022-12-13
202127.50%USD 4.2USD4.199912021-12-13
20205.14%USD 0.785USD0.152272020-12-18
USD0.632772020-12-11
201914.14%USD 2.159USD0.124372019-12-19
USD2.034252019-12-12
201828.81%USD 4.399USD0.138572018-12-19
USD4.260922018-12-12
201712.04%USD 1.839USD0.182542017-12-20
USD1.656042017-12-13
20161.04%USD 0.158USD0.048912016-12-20
USD0.00392016-12-14
USD0.04652016-09-28
USD0.059092016-06-28
20150.94%USD 0.143USD0.084332015-12-21
USD0.023682015-09-28
USD0.034642015-06-26
USD0.000272015-03-27
201423.68%USD 3.616USD0.058842014-12-19
USD3.455692014-12-12
USD0.031012014-09-30
USD0.049122014-06-30
USD0.021722014-03-31
20131.47%USD 0.225USD0.0612013-12-20
USD0.08852013-12-12
USD0.036152013-06-28
USD0.038992013-03-28
20121.22%USD 0.187USD0.065222012-12-18
USD0.028212012-09-28
USD0.047572012-06-29
USD0.04562012-03-30
20110.74%USD 0.113USD0.042912011-12-20
USD0.008722011-09-30
USD0.01892011-06-30
USD0.042282011-03-31
20100.81%USD 0.123USD0.015552010-09-30
USD0.026052010-06-30
USD0.0622010-04-30
USD0.019842010-03-31
20091.15%USD 0.175USD0.037162009-12-21
USD0.027472009-09-30
USD0.03512009-06-30
USD0.075242009-03-31
20082.25%USD 0.344USD0.252542008-12-18
USD0.027122008-09-30
USD0.029992008-06-30
USD0.034232008-03-31
200712.21%USD 1.865USD0.010382007-12-20
USD1.800142007-12-17
USD0.011552007-09-28
USD0.01772007-06-29
USD0.025452007-03-30
200611.75%USD 1.794USD0.04592006-12-22
USD1.685012006-12-15
USD0.011492006-09-29
USD0.025782006-06-30
USD0.025682006-03-31
200541.42%USD 6.324USD0.024612005-12-30
USD6.250652005-12-15
USD0.015532005-09-30
USD0.030362005-06-30
USD0.003082005-03-31
20040.11%USD 0.017USD0.0122004-12-31
USD0.0052004-09-30
20030.20%USD 0.031USD0.0122003-12-31
USD0.0072003-06-30
USD0.0122003-03-31
20020.18%USD 0.027USD0.0112002-12-31
USD0.012002-09-30
USD0.0012002-06-28
USD0.0052002-03-28
20010.20%USD 0.03USD0.0052001-12-31
USD0.0082001-09-28
USD0.0052001-06-29
USD0.0122001-03-30
20000.42%USD 0.064USD0.0122000-12-29
USD0.0052000-09-29
USD0.0162000-06-30
USD0.0312000-03-31