JPMORGAN ACCESS BALANCED FUND CLASS A(JXBAX) USD 14.82
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.07%USD 1.048USD0.079482022-12-30
USD0.828942022-12-15
USD0.050922022-09-30
USD0.066372022-06-30
USD0.022722022-03-31
202111.75%USD 1.742USD0.142132021-12-31
USD1.439832021-12-15
USD0.080452021-09-30
USD0.045832021-06-30
USD0.033542021-03-31
20207.63%USD 1.131USD0.090672020-12-31
USD0.885672020-12-15
USD0.061492020-09-30
USD0.050362020-06-30
USD0.043272020-03-31
20194.05%USD 0.6USD0.126192019-12-31
USD0.335062019-12-16
USD0.045752019-09-30
USD0.076832019-06-28
USD0.016582019-03-29
20186.03%USD 0.894USD0.112018-12-31
USD0.712662018-12-14
USD0.062692018-06-29
USD0.008152018-03-29
20177.07%USD 1.048USD0.123252017-12-29
USD0.809792017-12-15
USD0.038962017-09-29
USD0.064262017-06-30
USD0.011762017-03-31
20161.29%USD 0.192USD0.076272016-12-30
USD0.032992016-09-30
USD0.061172016-06-30
USD0.021362016-03-31
20154.83%USD 0.716USD0.106112015-12-31
USD0.471792015-12-18
USD0.087552015-09-30
USD0.050482015-06-30
20146.99%USD 1.036USD0.083072014-12-31
USD0.872462014-12-17
USD0.024032014-09-30
USD0.047652014-06-30
USD0.008652014-03-31
20135.54%USD 0.821USD0.09242013-12-31
USD0.635412013-12-18
USD0.034652013-09-30
USD0.037872013-06-28
USD0.02072013-03-28
20120.96%USD 0.143USD0.068412012-12-31
USD0.030392012-09-28
USD0.037042012-06-29
USD0.006782012-03-30
20114.80%USD 0.712USD0.092622011-12-30
USD0.477482011-12-23
USD0.037792011-09-30
USD0.04532011-06-30
USD0.058642011-03-31
20101.25%USD 0.185USD0.092062010-12-31
USD0.046632010-09-30
USD0.032412010-06-30
USD0.014142010-03-31