JPMorgan Funds - US High Yield Plus Bond Fund A (mth) - USD
LU0784640038
JPMorgan Funds - US High Yield Plus Bond Fund A (mth) - USD/ LU0784640038 /
NAV 09/01/2025
Diferencia+0.0500
Tipo de beneficio
Enfoque de la inversión
Sociedad de fondos
81.7400 USD
+0.06%
paying dividend
Bonds
Corporate Bonds
JPMorgan AM (EU) ▶
Calculated values and performance in:
Todas las cotizaciones en USD
Performance
Año hasta la fecha
-0.13%
6 Meses
+5.13%
Promedio móvil
+9.43%
3 Años
+8.20%
5 Años
+20.48%
Desde el principio
+56.62%
Año
2023
+11.03%
2022
-11.07%
2021
+5.37%
2020
+6.90%
2019
+13.44%
2018
-3.50%
2017
+6.39%
2016
+13.86%
Dividendos
08/03/2019
0.48 USD
11/02/2019
0.48 USD
08/01/2019
0.50 USD
04/12/2018
0.50 USD
08/11/2018
0.50 USD
10/10/2018
0.49 USD
10/09/2018
0.49 USD
08/08/2018
0.49 USD
10/07/2018
0.49 USD
08/06/2018
0.49 USD
08/05/2018
0.49 USD
10/04/2018
0.48 USD
08/03/2018
0.48 USD
08/02/2018
0.48 USD
09/01/2018
0.49 USD
08/12/2017
0.49 USD
08/11/2017
0.49 USD
11/10/2017
0.51 USD
08/09/2017
0.51 USD
08/08/2017
0.51 USD
10/07/2017
0.50 USD
08/06/2017
0.50 USD
09/05/2017
0.50 USD
10/04/2017
0.47 USD
08/03/2017
0.47 USD
08/02/2017
0.47 USD
10/01/2017
0.51 USD
08/12/2016
0.51 USD
08/11/2016
0.51 USD
12/10/2016
0.50 USD
12/09/2016
0.50 USD
09/08/2016
0.50 USD
08/07/2016
0.48 USD
08/06/2016
0.48 USD
10/05/2016
0.48 USD
08/04/2016
0.52 USD
08/03/2016
0.52 USD
12/02/2016
0.52 USD
08/01/2016
0.52 USD
08/12/2015
0.52 USD
10/11/2015
0.52 USD
08/10/2015
0.56 USD
09/09/2015
0.56 USD
10/08/2015
0.56 USD
08/07/2015
0.56 USD
09/06/2015
0.56 USD
08/05/2015
0.56 USD
08/04/2015
0.46 USD
10/03/2015
0.46 USD
10/02/2015
0.46 USD
08/01/2015
0.60 USD
09/12/2014
0.60 USD
10/11/2014
0.60 USD
08/10/2014
0.62 USD
09/09/2014
0.62 USD
08/08/2014
0.62 USD
08/07/2014
0.62 USD
11/06/2014
0.62 USD
08/05/2014
0.62 USD
08/04/2014
0.65 USD
10/03/2014
0.65 USD
10/02/2014
0.65 USD
08/01/2014
0.65 USD
10/12/2013
0.65 USD
08/11/2013
0.65 USD
08/10/2013
0.68 USD
10/09/2013
0.68 USD
08/08/2013
0.68 USD
09/07/2013
0.66 USD
10/06/2013
0.66 USD
10/12/2024
0.40 USD
08/11/2024
0.40 USD
09/10/2024
0.39 USD
10/09/2024
0.39 USD
08/08/2024
0.39 USD
09/07/2024
0.39 USD
12/06/2024
0.39 USD
08/05/2024
0.39 USD
09/04/2024
0.38 USD
08/03/2024
0.38 USD
08/02/2024
0.38 USD
09/01/2024
0.38 USD
08/12/2023
0.38 USD
08/11/2023
0.38 USD
11/10/2023
0.38 USD
08/09/2023
0.38 USD
08/08/2023
0.38 USD
10/07/2023
0.38 USD
08/06/2023
0.38 USD
11/05/2023
0.38 USD
12/04/2023
0.36 USD
08/03/2023
0.36 USD
08/02/2023
0.36 USD
10/01/2023
0.37 USD
08/12/2022
0.37 USD
08/11/2022
0.37 USD
12/10/2022
0.38 USD
08/09/2022
0.38 USD
09/08/2022
0.38 USD
08/07/2022
0.41 USD
08/06/2022
0.41 USD
11/05/2022
0.41 USD
08/04/2022
0.42 USD
08/03/2022
0.42 USD
08/02/2022
0.42 USD
10/01/2022
0.42 USD
08/12/2021
0.42 USD
09/11/2021
0.42 USD
13/10/2021
0.42 USD
08/09/2021
0.42 USD
10/08/2021
0.42 USD
08/07/2021
0.43 USD
08/06/2021
0.43 USD
10/05/2021
0.43 USD
08/04/2021
0.44 USD
09/03/2021
0.44 USD
09/02/2021
0.44 USD
08/01/2021
0.42 USD
08/12/2020
0.42 USD
10/11/2020
0.42 USD
08/10/2020
0.41 USD
09/09/2020
0.41 USD
10/08/2020
0.41 USD
08/07/2020
0.42 USD
09/06/2020
0.42 USD
08/05/2020
0.42 USD
08/04/2020
0.45 USD
10/03/2020
0.46 USD
10/02/2020
0.46 USD
08/01/2020
0.48 USD
10/12/2019
0.48 USD
08/11/2019
0.48 USD
09/10/2019
0.49 USD
10/09/2019
0.49 USD
08/08/2019
0.49 USD
09/07/2019
0.49 USD
12/06/2019
0.49 USD
08/05/2019
0.49 USD
09/04/2019
0.48 USD