JPMorgan Funds Sterling Bond Fund - A GBP DIS Logo
LU0053692744
971947

JPMorgan Funds Sterling Bond Fund - A GBP DIS

Dividend yield TTM
0.00%
€0.00/unit
Dividend growth (CAGR 5Y)
-
Next dividend

Upcoming dividends delivered straight to your inbox

Historical dividends

In 2023, JPMorgan Funds Sterling Bond Fund - A GBP DIS has already paid €0.0231 in dividends. The last payout was in September 2023.

Tools for dividend investors

Dividend metrics Metrics

All metrics All
Metric Value
Price
€0.85
Yield
0.00%
Interval
Yearly
CAGR 3Y
-
CAGR 5Y
-
CAGR 10Y
-

All dividend data

No dividend has been distributed so far in 2026. In 2025, JPMorgan Funds Sterling Bond Fund - A GBP DIS distributed €0.00. The dividend yield is currently 0.00%. The ETF pays dividends annually.

New dividends delivered straight to your inbox
Ex-dividend date
Payment date
Distribution
YoY
Yield
2023 €0.0231 3.59% 2.67%
09/13/2023 09/27/2023 €0.0231
2022 €0.0223 4.70% 2.79%
09/14/2022 09/28/2022 €0.0223
2021 €0.0234 6.85% 1.91%
09/09/2021 09/27/2021 €0.0234
2020 €0.0219 3.52% 1.76%
09/10/2020 09/24/2020 €0.0219
2019 €0.0227 0.89% 1.88%
09/05/2019 09/19/2019 €0.0227
2018 €0.0225 50.66% 2.21%
09/05/2018 09/19/2018 €0.0225
2017 €0.0456 1.08% 4.18%
09/12/2017 09/28/2017 €0.0456
2016 €0.0461 14.94% 4.09%
09/01/2016 09/26/2016 €0.0461
2015 €0.0542 5.45% 4.59%
09/16/2015 09/30/2015 €0.0542
2014 €0.0514 7.53% 4.34%
09/17/2014 09/30/2014 €0.0514
2013 €0.0478 26.79% 4.84%
09/13/2013 09/30/2013 €0.0478
2012 €0.0377 18.04% 3.49%
09/13/2012 09/27/2012 €0.0377
2011 €0.046 0.65% 4.83%
09/15/2011 09/29/2011 €0.046
2010 €0.0463 40.18% -
09/16/2010 09/30/2010 €0.0463
2009 €0.0774 12.64% -
09/02/2009 09/22/2009 €0.0774
2008 €0.0886 23.74% -
09/02/2008 09/18/2008 €0.0886
2007 €0.0716 19.10% -
09/10/2007 09/28/2007 €0.0716
2006 €0.0885 1.49% -
09/08/2006 09/22/2006 €0.0594
01/11/2006 01/19/2006 €0.0291
2005 €0.0872 16.73% -
07/05/2005 07/15/2005 €0.0728
01/14/2005 01/25/2005 €0.0144
2004 €0.0747 2.47% -
07/27/2004 08/05/2004 €0.0454
01/15/2004 01/29/2004 €0.0293
2003 €0.0729 13.55% -
07/25/2003 08/07/2003 €0.0426
01/24/2003 02/06/2003 €0.0303
2002 €0.0642 33.47% -
07/26/2002 08/08/2002 €0.0317
01/25/2002 02/07/2002 €0.0325
2001 €0.0965 15.43% -
07/17/2001 07/30/2001 €0.0489
01/16/2001 01/29/2001 €0.0476
2000 €0.11 35.06% -
07/14/2000 07/27/2000 €0.0648
01/24/2000 01/25/2000 €0.0493
1999 €0.18 17.29% -
07/22/1999 07/23/1999 €0.0902
01/14/1999 01/15/1999 €0.0855
1998 €0.15 15.05% -
07/01/1998 07/08/1998 €0.0753
01/02/1998 01/09/1998 €0.0745
1997 €0.13 32.05% -
07/01/1997 07/07/1997 €0.0753
01/02/1997 01/14/1997 €0.0549
1996 €0.0986 1.02% -
07/01/1996 07/11/1996 €0.0499
12/30/1995 01/12/1996 €0.0487
1995 €0.0976 6.15% -
07/03/1995 07/11/1995 €0.0482
01/03/1995 01/10/1995 €0.0494
1994 €0.10 49.00% -
07/01/1994 07/11/1994 €0.0491
01/04/1994 01/10/1994 €0.0549
1993 €0.0698 2.65% -
07/01/1993 07/09/1993 €0.0698
1992 €0.0717 0.00% -
11/19/1992 11/26/1992 €0.0717

Frequently asked questions

What percentage of dividends does JPMorgan Funds Sterling Bond Fund - A GBP DIS pay?

The dividend yield is currently 0.00%.

When were the most recent dividend payment dates for JPMorgan Funds Sterling Bond Fund - A GBP DIS?

The most recent payment was made on 09/27/2023. Previous payments were made on: 09/28/2022.

When did you need to hold JPMorgan Funds Sterling Bond Fund - A GBP DIS in your portfolio to receive the latest dividend?

If you held JPMorgan Funds Sterling Bond Fund - A GBP DIS in your portfolio on 09/13/2023, you received the payout.

How much was the dividend from JPMorgan Funds Sterling Bond Fund - A GBP DIS in 2025?

In 2025, JPMorgan Funds Sterling Bond Fund - A GBP DIS paid €0.00 in dividends.

How much was the dividend from JPMorgan Funds Sterling Bond Fund - A GBP DIS in 2024?

In 2024, JPMorgan Funds Sterling Bond Fund - A GBP DIS paid €0.00 in dividends.

More dividend stocks

All dividends in the calendar
Name Interval
Yield
CAGR 5Y
Hermès Logo
FR0000052292
886670
H 1.21% 41.71%
KWS SAAT Logo
DE0007074007
707400
Y 1.63% 12.30%
Japan Tobacco International Logo
JP3726800000
893151
H 3.76% 0.92%
Service Properties Trust Logo
US81761L1026
A2PSPV
Q 0.00% -
Mondelez International Logo
US6092071058
A1J4U0
Q 3.25% 10.52%
Citigroup Logo
US1729674242
A1H92V
Q 1.79% 2.90%
Aker BP Logo
NO0010345853
A0LHC1
Q 6.86% 16.04%
NOVARTIS Logo
CH0012005267
904278
Y 2.93% 5.62%
KONE Logo
FI0009013403
A0ET4X
Y 3.49% 1.15%
REPSOL Logo
ES0173516115
876845
H 3.71% 4.56%
🍪

Parqet  uses cookies. Learn more