JPMorgan International Bond Opportunities ETF of Benef Interest (JPIB)
BATS: JPIB · Real-Time Price · USD
49.02
-0.37 (-0.75%)
Mar 2, 2026, 4:00 PM EST - Market closed

JPIB Dividend Information

JPIB has a dividend yield of 4.83% and paid $2.37 per share in the past year. The dividend is paid every month and the last ex-dividend date was Feb 2, 2026.

Dividend Yield
4.83%
Annual Dividend
$2.37
Ex-Dividend Date
Feb 2, 2026
Payout Frequency
Monthly
Payout Ratio
n/a
Dividend Growth
7.76%

Dividend History

Ex-Div Date AmountRecord DatePay Date
2026-02-02$0.192822026-02-022026-02-04
2025-12-31$0.264472025-12-312026-01-05
2025-12-01$0.193642025-12-012025-12-03
2025-11-03$0.180062025-11-032025-11-05
2025-10-01$0.197382025-10-012025-10-03
2025-09-02$0.201852025-09-022025-09-04
2025-08-01$0.184032025-08-012025-08-05
2025-07-01$0.182892025-07-012025-07-03
2025-06-02$0.176822025-06-022025-06-04
2025-05-01$0.204292025-05-012025-05-05
2025-04-01$0.201332025-04-012025-04-03
2025-03-03$0.189412025-03-032025-03-05
2025-02-03$0.184432025-02-032025-02-05
2024-12-31$0.191082024-12-312025-01-03
2024-12-02$0.184852024-12-022024-12-04
2024-11-01$0.18582024-11-012024-11-05
2024-10-01$0.219842024-10-012024-10-03
2024-09-03$0.181622024-09-032024-09-05
2024-08-01$0.194932024-08-012024-08-05
2024-07-01$0.181362024-07-012024-07-03
2024-06-03$0.189932024-06-032024-06-05
2024-05-01$0.16942024-05-022024-05-06
2024-04-01$0.192542024-04-022024-04-04
2024-03-01$0.122642024-03-042024-03-06
2024-02-01$0.147752024-02-022024-02-06
2023-12-28$0.134212023-12-292024-01-03
2023-12-01$0.137532023-12-042023-12-06
2023-11-01$0.136232023-11-022023-11-06
2023-10-02$0.187832023-10-032023-10-05
2023-09-01$0.232332023-09-052023-09-07
2023-08-01$0.230512023-08-022023-08-04
2023-07-03$0.242292023-07-052023-07-07
2023-06-01$0.246532023-06-022023-06-06
2023-05-01$0.203442023-05-022023-05-04
2023-04-03$0.075462023-04-042023-04-06
2023-03-01$0.178822023-03-022023-03-06
2023-02-01$0.075572023-02-022023-02-06
2022-12-29$0.058922022-12-302023-01-04
2022-12-01$0.097312022-12-022022-12-06
2022-11-01$0.077722022-11-022022-11-04
2022-10-03$0.104522022-10-042022-10-06
2022-09-01$0.117522022-09-022022-09-07
2022-08-01$0.115122022-08-022022-08-04
2022-07-01$0.150022022-07-052022-07-07
2022-06-01$0.112392022-06-022022-06-06
2022-05-02$0.26542022-05-032022-05-05
2022-04-01$0.10492022-04-042022-04-06
2022-03-01$0.128922022-03-022022-03-04
2022-02-01$0.093482022-02-022022-02-04
2021-12-30$0.217522021-12-312022-01-04
2021-12-01$0.106662021-12-022021-12-06
2021-11-01$0.09692021-11-022021-11-04
2021-10-01$0.103412021-10-042021-10-06
2021-09-01$0.098382021-09-022021-09-07
2021-08-02$0.094412021-08-032021-08-05
2021-07-01$0.09532021-07-022021-07-07
2021-06-01$0.097792021-06-022021-06-04
2021-05-03$0.112342021-05-042021-05-06
2021-04-01$0.100242021-04-052021-04-07
2021-03-01$0.101532021-03-022021-03-04
* Dividend amounts are adjusted for stock splits when applicable.

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