JPMorgan Diversified Return International Equity ETF

JPIN
$73.06 (+ $1.11 + 1.55%)
Last updated: 2026-07-04 02:06 UTC
Dividend Yield
5.06%
Dividend Growth
1Y +20.52%
3Y +6.93%
5Y +12.27%
10YN/A
Next Dividend
Payout Frequency
Quarterly
Payout Ratio
59%
TTM Dividends
$3.0655
Dividend Charts
Paid Dividends
Dividend Yield (%)
Retro Yield on Cost (%)
Recent Dividends
Pay DateEx-Div DateAmountAnnouncementTypeYield (%)Change
2026-06-25 2026-06-23 $0.9134 N/A Paid 5.06% +0.7331 (406.67%)
2026-03-26 2026-03-24 $0.1803 N/A Paid 1.04% -1.3582 (-88.28%)
2025-12-26 2025-12-23 $1.5384 N/A Paid 8.97% +1.1050 (254.97%)
2025-09-25 2025-09-23 $0.4334 N/A Paid 2.63% -0.4745 (-52.26%)
2025-06-26 2025-06-24 $0.9079 N/A Paid 5.71% +0.7233 (391.69%)
2025-03-27 2025-03-25 $0.1847 N/A Paid 1.28% -0.8209 (-81.63%)
2024-12-27 2024-12-24 $1.0056 N/A Paid 7.48% +0.5603 (125.83%)
2024-09-26 2024-09-24 $0.4453 N/A Paid 2.93% -0.3371 (-43.08%)
2024-06-27 2024-06-25 $0.7824 N/A Paid 5.67% +0.7671 (4,994.14%)
2024-03-22 2024-03-19 $0.0154 N/A Paid 0.11% -1.3778 (-98.90%)
2023-12-22 2023-12-19 $1.3931 N/A Paid 10.35% +0.8834 (173.32%)
2023-09-22 2023-09-19 $0.5097 N/A Paid 3.97% -0.8238 (-61.78%)
2023-06-23 2023-06-20 $1.3335 N/A Paid 10.43% +1.1891 (823.31%)
2023-03-24 2023-03-21 $0.1444 N/A Paid 1.14% -0.1172 (-44.79%)
2022-12-23 2022-12-20 $0.2616 N/A Paid 2.11% +0.0056 (2.19%)
2022-09-23 2022-09-20 $0.2560 N/A Paid 2.34% -0.5307 (-67.46%)
2022-06-24 2022-06-21 $0.7867 N/A Paid 6.36% +0.5852 (290.49%)
2022-03-25 2022-03-22 $0.2014 N/A Paid 1.42% +0.1078 (115.11%)
2022-01-04 2021-12-30 $0.0936 N/A Paid 0.63% -1.4350 (-93.87%)
2021-12-27 2021-12-21 $1.5286 N/A Paid 10.29% +0.9549 (166.45%)
2021-09-24 2021-09-21 $0.5737 N/A Paid 3.71% -0.0453 (-7.32%)
2021-06-22 2021-06-22 $0.6190 N/A Paid 3.94% +0.4600 (289.31%)
2021-03-23 2021-03-23 $0.1590 N/A Paid 1.05% -0.2460 (-60.74%)
2020-12-22 2020-12-22 $0.4050 N/A Paid 2.85% -0.0290 (-6.68%)
2020-09-22 2020-09-22 $0.4340 N/A Paid 3.37% -0.0180 (-3.98%)
2020-06-23 2020-06-23 $0.4520 N/A Paid 3.58% +0.3180 (237.31%)
2020-03-24 2020-03-24 $0.1340 N/A Paid 1.32% -0.4050 (-75.14%)
2019-12-23 2019-12-23 $0.5390 N/A Paid 3.79% +0.1630 (43.35%)
2019-09-24 2019-09-24 $0.3760 N/A Paid 2.82% -0.4460 (-54.26%)
2019-06-25 2019-06-25 $0.8220 N/A Paid 6.07% +0.6760 (463.01%)
2019-03-20 2019-03-20 $0.1460 N/A Paid 1.04% -0.2150 (-59.56%)
2018-12-24 2018-12-24 $0.3610 N/A Paid 2.93% +0.0820 (29.39%)
2018-09-25 2018-09-25 $0.2790 N/A Paid 1.90% -0.3760 (-57.40%)
2018-06-26 2018-06-26 $0.6550 N/A Paid 4.55% +0.5630 (611.96%)
2018-03-21 2018-03-21 $0.0920 N/A Paid 0.62% -1.1800 (-92.77%)
2017-12-26 2017-12-26 $1.2720 N/A Paid 8.55% +0.4550 (55.69%)
2016-12-23 2016-12-23 $0.8170 N/A Paid 6.70% -0.2600 (-24.14%)
2015-12-24 2015-12-24 $1.0770 N/A Paid 8.69% +0.9300 (632.65%)
2014-12-24 2014-12-24 $0.1470 N/A Paid 1.18%