JPMORGAN INTERNATIONAL EQUITY FUND CLASS R5(JIERX) USD 18.39
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.48%USD 0.456USD0.456342022-12-20
20217.74%USD 1.424USD0.438072021-12-20
USD0.985672021-12-13
20201.34%USD 0.247USD0.24732020-12-18
20192.88%USD 0.529USD0.510592019-12-19
USD0.018282019-10-04
20183.01%USD 0.554USD0.387472018-12-19
USD0.16612018-12-12
20171.73%USD 0.318USD0.293612017-12-20
USD0.024322017-03-29
20161.54%USD 0.283USD0.044792016-12-20
USD0.027092016-09-28
USD0.188462016-06-28
USD0.022722016-03-29
20151.66%USD 0.305USD0.041232015-12-21
USD0.028762015-09-28
USD0.17242015-06-26
USD0.062612015-03-27
20142.32%USD 0.427USD0.021682014-12-19
USD0.031892014-09-30
USD0.288282014-06-30
USD0.085222014-03-31
20131.34%USD 0.247USD0.018212013-12-20
USD0.024892013-09-30
USD0.158222013-06-28
USD0.045242013-03-28
20121.43%USD 0.264USD0.027552012-12-18
USD0.027952012-09-28
USD0.151492012-06-29
USD0.05682012-03-30
20111.45%USD 0.267USD0.021642011-12-20
USD0.03132011-09-30
USD0.16152011-06-30
USD0.052522011-03-31
20101.43%USD 0.263USD0.024522010-12-20
USD0.030552010-09-30
USD0.138022010-06-30
USD0.0482010-04-30
USD0.022012010-03-31
20091.57%USD 0.288USD0.048572009-12-21
USD0.02672009-09-30
USD0.146792009-06-30
USD0.06642009-03-31
200847.13%USD 8.668USD7.932008-11-06
USD0.646672008-06-30
USD0.091382008-03-31
200751.54%USD 9.479USD0.158752007-12-20
USD8.750222007-11-28
USD0.031462007-09-28
USD0.498892007-06-29
USD0.039642007-03-30
200611.58%USD 2.129USD0.102962006-12-22
USD1.624472006-12-15
USD0.036842006-09-29
USD0.364672006-06-30