JPMORGAN SMARTRETIREMENT 2020 FUND SELECT CLASS(JTTSX) USD 14.76
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.79%USD 0.707USD0.411152022-12-30
USD0.295432022-12-15
202116.08%USD 2.374USD0.230142021-12-31
USD1.919152021-12-15
USD0.064632021-09-30
USD0.087662021-06-30
USD0.072352021-03-31
20206.05%USD 0.893USD0.16292020-12-31
USD0.477872020-12-15
USD0.081682020-09-30
USD0.081822020-06-30
USD0.088272020-03-31
201918.52%USD 2.734USD0.181952019-12-31
USD2.234212019-12-16
USD0.117192019-09-30
USD0.111822019-06-28
USD0.088532019-03-29
20187.51%USD 1.108USD0.25992018-12-31
USD0.587662018-12-14
USD0.0922018-09-28
USD0.090082018-06-29
USD0.078132018-03-29
20175.52%USD 0.815USD0.205832017-12-29
USD0.386322017-12-15
USD0.072582017-09-29
USD0.079372017-06-30
USD0.070642017-03-31
20163.41%USD 0.503USD0.180932016-12-30
USD0.10232016-12-16
USD0.082232016-09-30
USD0.075762016-06-30
USD0.061692016-03-31
20153.92%USD 0.578USD0.203752015-12-31
USD0.192512015-12-18
USD0.056652015-09-30
USD0.084172015-06-30
USD0.04082015-03-31
20145.03%USD 0.742USD0.300852014-12-31
USD0.219722014-12-17
USD0.078392014-09-30
USD0.079652014-06-30
USD0.063742014-03-31
20133.93%USD 0.58USD0.281362013-12-31
USD0.0672013-12-18
USD0.061712013-09-30
USD0.072892013-06-28
USD0.096542013-03-28
20122.59%USD 0.382USD0.150242012-12-31
USD0.095292012-09-28
USD0.0652012-06-29
USD0.071342012-03-30
20112.61%USD 0.386USD0.15612011-12-30
USD0.063512011-09-30
USD0.08492011-06-30
USD0.081072011-03-31
20102.30%USD 0.34USD0.139742010-12-31
USD0.067522010-09-30
USD0.080122010-06-30
USD0.052662010-03-31
20092.33%USD 0.343USD0.150892009-12-31
USD0.108362009-09-30
USD0.066342009-06-30
USD0.017632009-03-31
20085.40%USD 0.797USD0.201222008-12-31
USD0.377742008-12-24
USD0.038272008-09-30
USD0.102052008-06-30
USD0.077632008-03-31
20075.74%USD 0.847USD0.426752007-12-31
USD0.192332007-12-21
USD0.075242007-09-28
USD0.091362007-06-29
USD0.061292007-03-30
20062.67%USD 0.394USD0.269062006-12-29
USD0.010332006-12-28
USD0.065832006-09-29
USD0.048512006-06-30