JPMORGAN DISCIPLINED EQUITY FUND CLASS A(JDEAX) USD 31.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.19%USD 0.061USD0.060712023-03-29
20222.35%USD 0.738USD0.099082022-12-20
USD0.452482022-12-13
USD0.078692022-09-28
USD0.07272022-06-28
USD0.035482022-03-29
202114.82%USD 4.653USD0.074422021-12-20
USD4.399592021-12-13
USD0.063012021-09-28
USD0.066722021-06-28
USD0.049732021-03-29
20203.73%USD 1.17USD0.082432020-12-18
USD0.827942020-12-11
USD0.13692020-09-28
USD0.078172020-06-26
USD0.044962020-03-27
20199.67%USD 3.037USD0.09682019-12-19
USD0.093092019-12-12
USD2.60252019-10-08
USD0.08982019-09-26
USD0.089552019-06-26
USD0.064762019-03-27
201810.42%USD 3.273USD0.114432018-12-19
USD2.925032018-12-12
USD0.08882018-09-26
USD0.081172018-06-27
USD0.063472018-03-27
20171.04%USD 0.325USD0.092082017-12-20
USD0.064612017-09-27
USD0.07912017-06-28
USD0.089612017-03-29
20160.87%USD 0.274USD0.084962016-12-20
USD0.091142016-09-28
USD0.053192016-06-28
USD0.044352016-03-29
20150.65%USD 0.203USD0.073022015-12-21
USD0.048842015-09-28
USD0.042352015-06-26
USD0.038752015-03-27
20145.79%USD 1.818USD0.06022014-12-19
USD1.598872014-12-12
USD0.05272014-09-30
USD0.063272014-06-30
USD0.043122014-03-31
20134.91%USD 1.543USD0.058262013-12-20
USD1.352532013-12-12
USD0.048782013-09-30
USD0.044992013-06-28
USD0.038432013-03-28
20122.93%USD 0.919USD0.08852012-12-18
USD0.677732012-12-13
USD0.060742012-09-28
USD0.041372012-06-29
USD0.050942012-03-30
20110.62%USD 0.193USD0.064972011-12-20
USD0.044342011-09-30
USD0.04662011-06-30
USD0.037282011-03-31
20100.50%USD 0.158USD0.045032010-12-20
USD0.035472010-09-30
USD0.038122010-06-30
USD0.038932010-03-31
20090.89%USD 0.278USD0.057062009-12-21
USD0.038962009-09-30
USD0.045722009-06-30
USD0.136572009-03-31
20080.75%USD 0.235USD0.066222008-12-22
USD0.055482008-09-30
USD0.058012008-06-30
USD0.055372008-03-31
20070.70%USD 0.22USD0.064412007-12-20
USD0.049782007-09-28
USD0.051442007-06-29
USD0.054622007-03-30
20060.59%USD 0.184USD0.057822006-12-22
USD0.046372006-09-29
USD0.039182006-06-30
USD0.040542006-03-31
20050.41%USD 0.129USD0.04162005-12-27
USD0.03262005-09-30
USD0.033452005-06-30
USD0.021572005-03-31
20040.57%USD 0.178USD0.0792004-12-17
USD0.0272004-09-30
USD0.0282004-08-31
USD0.0242004-06-30
USD0.022004-03-31
20030.26%USD 0.083USD0.0382003-12-19
USD0.0232003-09-30
USD0.0222003-03-19