JPMorgan Ultra-Short Income ETF(JPST) USD 50.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.00%USD 0.504USD0.178522023-04-03
USD0.154362023-03-01
USD0.170942023-02-01
20221.83%USD 0.917USD0.141012022-12-29
USD0.0942022-12-15
USD0.130762022-12-01
USD0.116232022-11-01
USD0.092492022-10-03
USD0.082432022-09-01
USD0.059672022-08-01
USD0.049342022-07-01
USD0.045932022-06-01
USD0.036242022-05-02
USD0.022942022-04-01
USD0.02382022-03-01
USD0.021852022-02-01
20210.73%USD 0.367USD0.02322021-12-30
USD0.034932021-12-15
USD0.024632021-12-01
USD0.022522021-11-01
USD0.027182021-10-01
USD0.025852021-09-01
USD0.027412021-08-02
USD0.027652021-07-01
USD0.02872021-06-01
USD0.031722021-05-03
USD0.030272021-04-01
USD0.032112021-03-01
USD0.030672021-02-01
20201.45%USD 0.728USD0.038992020-12-30
USD0.004232020-12-15
USD0.03792020-12-01
USD0.038782020-11-02
USD0.04592020-10-01
USD0.047282020-09-01
USD0.053212020-08-03
USD0.059542020-07-01
USD0.066392020-06-01
USD0.075642020-05-01
USD0.091492020-04-01
USD0.084142020-02-28
USD0.084962020-01-31
20192.70%USD 1.354USD0.109952019-12-30
USD0.104392019-11-29
USD0.097672019-10-31
USD0.106892019-09-30
USD0.108262019-08-30
USD0.115182019-07-31
USD0.120432019-06-28
USD0.118042019-05-31
USD0.124982019-04-30
USD0.114942019-03-29
USD0.114912019-02-28
USD0.118552019-01-31
20182.06%USD 1.037USD0.111592018-12-28
USD0.097662018-11-30
USD0.086082018-10-31
USD0.106812018-09-28
USD0.090922018-08-31
USD0.095432018-07-31
USD0.085922018-06-29
USD0.090162018-05-31
USD0.070412018-04-30
USD0.069472018-03-26
USD0.062882018-02-22
USD0.069242018-01-25
20170.96%USD 0.48USD0.069852017-12-26
USD0.064552017-11-24
USD0.070942017-10-25
USD0.065592017-09-26
USD0.067472017-08-24
USD0.070162017-07-24
USD0.07152017-06-23