1 Followers LSE:JAM - JPMorgan American Investment Trust PLC JPMorgan American Investment T
Sector: Financials, Industry: Asset Management & Custody Banks
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Summary


ExDate Payable Date Type Amount (%)
18 Apr 2025 8 May 2025 Projected GBP 0.0525 (0.55%)
31 Aug 2024 20 Sep 2024 Projected GBP 0.025 (0.26%)
18 Apr 2024 31 May 2024 CASH GBP 0.0525 (0.55%)
31 Aug 2023 6 Oct 2023 CASH GBP 0.025 (0.31%)
20 Apr 2023 31 May 2023 CASH GBP 0.0475 (0.66%)
1 Sep 2022 7 Oct 2022 CASH GBP 0.025 (0.33%)
21 Apr 2022 27 May 2022 CASH GBP 0.045 (0.58%)
2 Sep 2021 8 Oct 2021 CASH GBP 0.025 (0.36%)
22 Apr 2021 28 May 2021 CASH GBP 0.0425 (0.67%)
27 Aug 2020 2 Oct 2020 CASH GBP 0.025 (0.48%)
23 Apr 2020 18 May 2020 CASH GBP 0.04 (0.95%)
29 Aug 2019 4 Oct 2019 CASH GBP 0.025 (0.54%)
11 Apr 2019 14 May 2019 CASH GBP 0.04 (0.90%)
30 Aug 2018 5 Oct 2018 CASH GBP 0.025 (0.53%)
12 Apr 2018 15 May 2018 CASH GBP 0.0325 (0.86%)
31 Aug 2017 5 Oct 2017 CASH GBP 0.0225 (0.58%)
13 Apr 2017 15 May 2017 CASH GBP 0.0275 (0.73%)
8 Sep 2016 11 Oct 2016 CASH GBP 0.0225 (0.69%)
14 Apr 2016 13 May 2016 CASH GBP 0.025 (0.84%)
3 Sep 2015 9 Oct 2015 CASH GBP 0.015 (0.58%)
16 Apr 2015 15 May 2015 CASH GBP 0.0225 (0.78%)
3 Sep 2014 8 Oct 2014 CASH GBP 0.01 (0.38%)
9 Apr 2014 9 May 2014 CASH GBP 0.017 (0.15%)
4 Sep 2013 9 Oct 2013 CASH GBP 0.01 (0.09%)
10 Apr 2013 8 May 2013 CASH GBP 0.015 (0.14%)
5 Sep 2012 8 Oct 2012 CASH GBP 0.01 (0.11%)
4 Apr 2012 24 Apr 2012* CASH GBP 0.022 (0.23%)
6 Apr 2011 6 May 2011 CASH GBP 0.022 (0.24%)
7 Apr 2010 6 May 2010 CASH GBP 0.022 (0.27%)
1 Apr 2009 21 Apr 2009* CASH GBP 0.022 (0.37%)
9 Apr 2008 29 Apr 2008* CASH GBP 0.022 (0.36%)
4 Apr 2007 24 Apr 2007* CASH GBP 0.022 (0.34%)
5 Apr 2006 25 Apr 2006* CASH GBP 0.016 (0.24%)
6 Apr 2005 26 Apr 2005* CASH GBP 0.015 (0.28%)
31 Mar 2004 20 Apr 2004* CASH GBP 0.0136 (0.27%)
2 Apr 2003 22 Apr 2003* CASH GBP 0.0096 (0.21%)
3 Apr 2002 23 Apr 2002* CASH GBP 0.0104 (0.13%)
4 Apr 2001 24 Apr 2001* CASH GBP 0.0114 (0.15%)
3 Apr 2000 23 Apr 2000* CASH GBP 0.0046 (0.06%)
22 Mar 1999 11 Apr 1999* CASH GBP 0.0058 (0.09%)
2 Mar 1998 22 Mar 1998* CASH GBP 0.00536 (0.09%)
24 Mar 1997 13 Apr 1997* CASH GBP 0.0056 (0.13%)
18 Mar 1996 7 Apr 1996* CASH GBP 0.0042 (0.14%)
31 Jul 1995 20 Aug 1995* CASH GBP 0.0008 (0.03%)
6 Feb 1995 26 Feb 1995* CASH GBP 0.0026 (0.09%)
25 Jul 1994 14 Aug 1994* CASH GBP 0.0008 (0.03%)
28 Feb 1994 20 Mar 1994* CASH GBP 0.0013 (0.04%)
19 Jul 1993 8 Aug 1993* CASH GBP 0.0017 (0.06%)
15 Feb 1993 7 Mar 1993* CASH GBP 0.0007 (0.02%)
27 Jul 1992 16 Aug 1992* CASH GBP 0.0007 (0.04%)
24 Feb 1992 15 Mar 1992* CASH GBP 0.0015 (0.08%)
15 Jul 1991 4 Aug 1991* CASH GBP 0.001 (0.05%)
11 Feb 1991 3 Mar 1991* CASH GBP 0.0025 (0.18%)
9 Jul 1990 29 Jul 1990* CASH GBP 0.001 (0.06%)
12 Feb 1990 4 Mar 1990* CASH GBP 0.00199 (0.12%)
17 Jul 1989 6 Aug 1989* CASH GBP 0.001 (0.06%)
13 Feb 1989 5 Mar 1989* CASH GBP 0.00174 (0.13%)
20 Jun 1988 10 Jul 1988* CASH GBP 0.00066 (0.06%)
22 Feb 1988 13 Mar 1988* CASH GBP 0.00213 (0.19%)
15 Jun 1987 5 Jul 1987* CASH GBP 0.001 (0.07%)
23 Feb 1987 15 Mar 1987* CASH GBP 0.00053 (0.01%)
16 Jun 1986 6 Jul 1986* CASH GBP 0.00025 (0.0%)
10 Feb 1986 2 Mar 1986* CASH GBP 0.00047 (0.01%)
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate

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