JPMORGAN INTERNATIONAL EQUITY FUND SELECT CLASS(VSIEX) USD 18.29
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.38%USD 0.436USD0.435512022-12-20
20217.70%USD 1.408USD0.422662021-12-20
USD0.985672021-12-13
20201.28%USD 0.233USD0.233282020-12-18
20193.06%USD 0.56USD0.542172019-12-19
USD0.018282019-10-04
20182.93%USD 0.536USD0.369822018-12-19
USD0.16612018-12-12
20171.63%USD 0.299USD0.278862017-12-20
USD0.020012017-03-29
20161.40%USD 0.256USD0.039312016-12-20
USD0.019272016-09-28
USD0.181062016-06-28
USD0.016232016-03-29
20151.53%USD 0.28USD0.040322015-12-21
USD0.020112015-09-28
USD0.164322015-06-26
USD0.055072015-03-27
20142.19%USD 0.4USD0.018362014-12-19
USD0.024222014-09-30
USD0.2812014-06-30
USD0.07612014-03-31
20131.22%USD 0.223USD0.014822013-12-20
USD0.020032013-09-30
USD0.150722013-06-28
USD0.03742013-03-28
20121.32%USD 0.241USD0.024532012-12-18
USD0.021722012-09-28
USD0.145382012-06-29
USD0.04962012-03-30
20111.33%USD 0.243USD0.018632011-12-20
USD0.024542011-09-30
USD0.15452011-06-30
USD0.045392011-03-31
20101.04%USD 0.189USD0.017312010-12-20
USD0.024342010-09-30
USD0.131492010-06-30
USD0.01622010-03-31
20091.45%USD 0.265USD0.041512009-12-21
USD0.020332009-09-30
USD0.14162009-06-30
USD0.061912009-03-31
200847.17%USD 8.627USD7.932008-11-06
USD0.626792008-06-30
USD0.070282008-03-31
200751.37%USD 9.396USD0.136862007-12-20
USD8.750222007-11-28
USD0.010382007-09-28
USD0.477062007-06-29
USD0.021262007-03-30
200611.61%USD 2.123USD0.084222006-12-22
USD1.624472006-12-15
USD0.01892006-09-29
USD0.350352006-06-30
USD0.044722006-03-31
20055.20%USD 0.951USD0.109462005-12-20
USD0.530472005-12-15
USD0.169542005-09-30
USD0.101622005-06-30
USD0.040362005-03-31
20041.83%USD 0.334USD0.1262004-12-31
USD0.0952004-09-30
USD0.0712004-06-30
USD0.0422004-03-31
20031.55%USD 0.283USD0.0762003-12-31
USD0.0732003-09-30
USD0.082003-06-30
USD0.0542003-03-31
20020.94%USD 0.172USD0.0732002-12-31
USD0.042002-09-30
USD0.032002-06-28
USD0.0292002-03-28
20011.10%USD 0.201USD0.0172001-12-14
USD0.0342001-09-28
USD0.1082001-06-29
USD0.0422001-03-30
20000.71%USD 0.13USD0.0892000-06-30
USD0.0412000-03-31