JPMorgan Liquidity Funds - EUR Government CNAV Fund Core (dist) (LU2875898913.FUND) July 2025 Dividend

€1.00
+€0.00+0% Friday 00:00
Dividend Yield
1.62%
Dividend amount
€0.02
€0.00
Per Share

Announced

Confirmed

Ex Date

Reached • July 31, 25

Pay Date

Unknown Payout Date

Description

JPMorgan Liquidity Funds - EUR Government CNAV Fund Core (dist) (LU2875898913.FUND) has announced a dividend of €0.00 with an ex date of July 31, 2025 and a payment date of N/A. The record date is N/A.

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