JPMORGAN EQUITY INCOME FUND CLASS R4(OIEQX) USD 22.33
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.52%USD 0.117USD0.050932023-03-29
USD0.041462023-02-24
USD0.024352023-01-27
20223.71%USD 0.829USD0.054752022-12-28
USD0.388052022-12-13
USD0.044912022-11-28
USD0.023162022-10-27
USD0.049492022-09-28
USD0.053532022-08-29
USD0.016832022-07-27
USD0.04132022-06-28
USD0.04192022-05-26
USD0.013572022-04-27
USD0.048412022-03-29
USD0.032052022-02-24
USD0.021272022-01-27
20213.56%USD 0.796USD0.048852021-12-29
USD0.436422021-12-13
USD0.030172021-11-26
USD0.018722021-10-27
USD0.036782021-09-28
USD0.028592021-08-27
USD0.027092021-07-28
USD0.033672021-06-28
USD0.034092021-05-26
USD0.009132021-04-28
USD0.040712021-03-29
USD0.029652021-02-24
USD0.021762021-01-27
20201.61%USD 0.359USD0.042212020-12-29
USD0.028272020-11-25
USD0.018812020-10-28
USD0.034072020-09-28
USD0.030782020-08-27
USD0.017992020-07-29
USD0.039672020-06-26
USD0.033132020-05-27
USD0.012832020-04-28
USD0.04362020-03-27
USD0.036752020-02-26
USD0.021082020-01-29
20192.43%USD 0.542USD0.043252019-12-27
USD0.194632019-12-12
USD0.037492019-11-26
USD0.014342019-10-29
USD0.034352019-09-26
USD0.037362019-08-28
USD0.012462019-07-29
USD0.039292019-06-26
USD0.035982019-05-29
USD0.006552019-04-26
USD0.039572019-03-27
USD0.036672019-02-26
USD0.009632019-01-29
20183.63%USD 0.811USD0.041672018-12-27
USD0.464162018-12-12
USD0.039222018-11-28
USD0.014722018-10-29
USD0.034942018-09-26
USD0.074172018-08-29
USD0.006492018-07-27
USD0.018392018-06-27
USD0.040562018-05-29
USD0.003862018-04-26
USD0.035812018-03-27
USD0.036662018-02-26
20171.94%USD 0.434USD0.035212017-12-27
USD0.153482017-12-13
USD0.041652017-11-28
USD0.004412017-10-27
USD0.021872017-09-27
USD0.045862017-08-29
USD0.00472017-07-27
USD0.024762017-06-28
USD0.044222017-05-26
USD0.000192017-04-26
USD0.029422017-03-29
USD0.028392017-02-24
20160.86%USD 0.193USD0.030412016-12-28
USD0.090152016-12-14
USD0.045512016-11-28
USD0.000882016-10-27
USD0.025892016-09-28