JPMorgan Funds - US High Yield Plus Bond Fund A (mth) - USD
LU0784640038
JPMorgan Funds - US High Yield Plus Bond Fund A (mth) - USD/ LU0784640038 /
NAV11/14/2024 |
Chg.-0.0100 |
Type of yield |
Investment Focus |
Investment company |
82.4200USD |
-0.01% |
paying dividend |
Bonds
Corporate Bonds
|
JPMorgan AM (EU) ▶ |
Performance
YTD |
|
|
+8.93% |
6 Months |
|
|
+7.25%
|
1 Year |
|
|
+14.94% |
3 Years |
|
|
+8.09% |
5 Years |
|
|
+23.40% |
10 Years |
|
|
+49.05% |
Since start |
|
|
+57.16% |
Year |
2023 |
|
|
+11.03% |
2022 |
|
|
-11.07% |
2021 |
|
|
+5.37% |
2020 |
|
|
+6.90% |
2019 |
|
|
+13.44% |
2018 |
|
|
-3.50% |
2017 |
|
|
+6.39% |
2016 |
|
|
+13.86% |
2015 |
|
|
-5.26% |
Dividends
11/8/2024 |
0.40 USD |
10/9/2024 |
0.39 USD |
9/10/2024 |
0.39 USD |
8/8/2024 |
0.39 USD |
7/9/2024 |
0.39 USD |
6/12/2024 |
0.39 USD |
5/8/2024 |
0.39 USD |
4/9/2024 |
0.38 USD |
3/8/2024 |
0.38 USD |
2/8/2024 |
0.38 USD |
1/9/2024 |
0.38 USD |
12/8/2023 |
0.38 USD |
11/8/2023 |
0.38 USD |
10/11/2023 |
0.38 USD |
9/8/2023 |
0.38 USD |
8/8/2023 |
0.38 USD |
7/10/2023 |
0.38 USD |
6/8/2023 |
0.38 USD |
5/11/2023 |
0.38 USD |
4/12/2023 |
0.36 USD |
3/8/2023 |
0.36 USD |
2/8/2023 |
0.36 USD |
1/10/2023 |
0.37 USD |
12/8/2022 |
0.37 USD |
11/8/2022 |
0.37 USD |
10/12/2022 |
0.38 USD |
9/8/2022 |
0.38 USD |
8/9/2022 |
0.38 USD |
7/8/2022 |
0.41 USD |
6/8/2022 |
0.41 USD |
5/11/2022 |
0.41 USD |
4/8/2022 |
0.42 USD |
3/8/2022 |
0.42 USD |
2/8/2022 |
0.42 USD |
1/10/2022 |
0.42 USD |
12/8/2021 |
0.42 USD |
11/9/2021 |
0.42 USD |
10/13/2021 |
0.42 USD |
9/8/2021 |
0.42 USD |
8/10/2021 |
0.42 USD |
7/8/2021 |
0.43 USD |
6/8/2021 |
0.43 USD |
5/10/2021 |
0.43 USD |
4/8/2021 |
0.44 USD |
3/9/2021 |
0.44 USD |
2/9/2021 |
0.44 USD |
1/8/2021 |
0.42 USD |
12/8/2020 |
0.42 USD |
11/10/2020 |
0.42 USD |
10/8/2020 |
0.41 USD |
9/9/2020 |
0.41 USD |
8/10/2020 |
0.41 USD |
7/8/2020 |
0.42 USD |
6/9/2020 |
0.42 USD |
5/8/2020 |
0.42 USD |
4/8/2020 |
0.45 USD |
3/10/2020 |
0.46 USD |
2/10/2020 |
0.46 USD |
1/8/2020 |
0.48 USD |
12/10/2019 |
0.48 USD |
11/8/2019 |
0.48 USD |
10/9/2019 |
0.49 USD |
9/10/2019 |
0.49 USD |
8/8/2019 |
0.49 USD |
7/9/2019 |
0.49 USD |
6/12/2019 |
0.49 USD |
5/8/2019 |
0.49 USD |
4/9/2019 |
0.48 USD |
3/8/2019 |
0.48 USD |
2/11/2019 |
0.48 USD |
1/8/2019 |
0.50 USD |
12/4/2018 |
0.50 USD |
11/8/2018 |
0.50 USD |
10/10/2018 |
0.49 USD |
9/10/2018 |
0.49 USD |
8/8/2018 |
0.49 USD |
7/10/2018 |
0.49 USD |
6/8/2018 |
0.49 USD |
5/8/2018 |
0.49 USD |
4/10/2018 |
0.48 USD |
3/8/2018 |
0.48 USD |
2/8/2018 |
0.48 USD |
1/9/2018 |
0.49 USD |
12/8/2017 |
0.49 USD |
11/8/2017 |
0.49 USD |
10/11/2017 |
0.51 USD |
9/8/2017 |
0.51 USD |
8/8/2017 |
0.51 USD |
7/10/2017 |
0.50 USD |
6/8/2017 |
0.50 USD |
5/9/2017 |
0.50 USD |
4/10/2017 |
0.47 USD |
3/8/2017 |
0.47 USD |
2/8/2017 |
0.47 USD |
1/10/2017 |
0.51 USD |
12/8/2016 |
0.51 USD |
11/8/2016 |
0.51 USD |
10/12/2016 |
0.50 USD |
9/12/2016 |
0.50 USD |
8/9/2016 |
0.50 USD |
7/8/2016 |
0.48 USD |
6/8/2016 |
0.48 USD |
5/10/2016 |
0.48 USD |
4/8/2016 |
0.52 USD |
3/8/2016 |
0.52 USD |
2/12/2016 |
0.52 USD |
1/8/2016 |
0.52 USD |
12/8/2015 |
0.52 USD |
11/10/2015 |
0.52 USD |
10/8/2015 |
0.56 USD |
9/9/2015 |
0.56 USD |
8/10/2015 |
0.56 USD |
7/8/2015 |
0.56 USD |
6/9/2015 |
0.56 USD |
5/8/2015 |
0.56 USD |
4/8/2015 |
0.46 USD |
3/10/2015 |
0.46 USD |
2/10/2015 |
0.46 USD |
1/8/2015 |
0.60 USD |
12/9/2014 |
0.60 USD |
11/10/2014 |
0.60 USD |
10/8/2014 |
0.62 USD |
9/9/2014 |
0.62 USD |
8/8/2014 |
0.62 USD |
7/8/2014 |
0.62 USD |
6/11/2014 |
0.62 USD |
5/8/2014 |
0.62 USD |
4/8/2014 |
0.65 USD |
3/10/2014 |
0.65 USD |
2/10/2014 |
0.65 USD |
1/8/2014 |
0.65 USD |
12/10/2013 |
0.65 USD |
11/8/2013 |
0.65 USD |
10/8/2013 |
0.68 USD |
9/10/2013 |
0.68 USD |
8/8/2013 |
0.68 USD |
7/9/2013 |
0.66 USD |
6/10/2013 |
0.66 USD |