JPMorgan Corporate Bond Research Enhanced ETF

Symbol

JIGB

Price

$46.4366

Exchange

AMEX

Industry

-

Dividend Yield

2.36%

Ex-Dividend Date

06-03-2024

Dividend Details


Ex-Dividend DateClose PriceAmountDividend YieldRecord DatePayment Date

06.03.2024

$42.63

$0.19015

0.45%

-

05.01.2024

$42.63

$0.18584

0.44%

-

04.01.2024

$42.63

$0.1841

0.43%

-

03.01.2024

$42.63

$0.2349

0.55%

-

02.01.2024

$42.63

$0.20905

0.49%

-

12.28.2023

$42.63

$0.20435

0.48%

-

12.01.2023

$42.63

$0.10347

0.24%

-

11.01.2023

$42.63

$0.157

0.37%

-

10.02.2023

$43.2

$0.1919

0.44%

-

09.01.2023

$44.6

$0.17521

0.39%

-

08.01.2023

$45.13

$0.1732

0.38%

-

07.03.2023

$45.18

$0.15196

0.34%

-

06.01.2023

$45.15

$0.18011

0.40%

-

05.01.2023

$46.01

$0.15799

0.34%

-

04.03.2023

$45.89

$0.15591

0.34%

-

03.01.2023

$44.74

$0.163

0.36%

-

02.01.2023

$46.44

$0.13665

0.29%

-

12.29.2022

$44.63

$0.15033

0.34%

-

12.01.2022

$45.19

$0.12

0.27%

12.02.2022

12.06.2022

11.01.2022

$42.97

$0.131

0.30%

12.02.2022

12.06.2022

10.03.2022

$43.43

$0.13

0.30%

10.04.2022

10.06.2022

09.01.2022

$45.88

$0.123

0.27%

09.02.2022

09.07.2022

08.01.2022

$47.78

$0.121

0.25%

09.02.2022

09.07.2022

07.01.2022

$46.14

$0.15

0.33%

07.05.2022

07.07.2022

06.01.2022

$47.65

$0.119

0.25%

06.02.2022

06.06.2022

05.02.2022

$47.07

$0.119

0.25%

05.03.2022

05.05.2022

04.01.2022

$50.18

$0.116

0.23%

04.04.2022

04.06.2022

03.01.2022

$51.56

$0.118

0.23%

03.02.2022

03.04.2022

02.01.2022

$52.64

$0.11

0.21%

02.02.2022

02.04.2022

12.30.2021

$54.45

$0.12

0.22%

-

12.01.2021

$55.46

$0.117

0.21%

12.02.2021

12.06.2021

11.01.2021

-

$0.116

0.25%

11.02.2021

11.04.2021

10.01.2021

$55.63

$0.116

0.21%

10.04.2021

10.06.2021

09.01.2021

$56.37

$0.115

0.20%

09.02.2021

09.07.2021

08.02.2021

-

$0.115

0.25%

08.03.2021

08.05.2021

07.01.2021

$56.04

$0.117

0.21%

07.02.2021

07.07.2021

06.01.2021

-

$0.116

0.25%

-

05.03.2021

-

$0.117

0.25%

05.04.2021

05.06.2021

04.01.2021

$54.52

$0.116

0.21%

-

03.01.2021

-

$0.12

0.26%

-

02.01.2021

-

$0.113

0.24%

-

12.30.2020

$57.67

$0.113

0.20%

12.31.2020

01.05.2021

12.01.2020

$58.27

$0.13296

0.23%

-

11.02.2020

-

$0.133

0.29%

11.03.2020

11.05.2020

10.01.2020

$57.07

$0.135

0.24%

-

09.01.2020

$57.36

$0.135

0.24%

-

08.03.2020

-

$0.138

0.30%

08.04.2020

08.06.2020

07.01.2020

$57.03

$0.137

0.24%

-

06.01.2020

-

$0.139

0.30%

-

05.01.2020

$55.72

$0.14

0.25%

-

04.01.2020

$53.09

$0.149

0.28%

-

02.28.2020

$56.04

$0.142

0.25%

03.02.2020

03.04.2020

01.31.2020

$55.85

$0.146

0.26%

02.03.2020

02.05.2020

12.30.2019

-

$0.16513

0.36%

12.31.2019

01.03.2020

11.29.2019

-

$0.146

0.31%

12.02.2019

12.04.2019

10.31.2019

$55.46

$0.162

0.29%

11.01.2019

11.05.2019

09.30.2019

-

$0.163

0.35%

10.01.2019

10.03.2019

08.30.2019

-

$0.165

0.36%

09.03.2019

09.05.2019

07.31.2019

-

$0.166

0.36%

08.01.2019

08.05.2019

06.28.2019

-

$0.167

0.36%

07.01.2019

07.03.2019

05.31.2019

-

$0.168

0.36%

06.03.2019

06.05.2019

04.30.2019

-

$0.166

0.36%

05.01.2019

05.03.2019

03.29.2019

-

$0.17

0.37%

04.01.2019

04.03.2019

02.28.2019

-

$0.169

0.36%

03.01.2019

03.05.2019

01.31.2019

-

$0.165

0.36%

02.01.2019

02.05.2019

12.28.2018

-

$0.10251

0.22%

-