Nasdaq - NAS

Expected withholding dividend tax for non-residents: 15%

Showing 2001–2100 of 4193 stocks (page 21 of 42).

StockDividend YieldP/E RatioDividend Frequency DGR
JETTX Janus Henderson Global Sust Eq T 1.22 % - 1 30%
JEUIX Janus Henderson Global Sust Eq I 1.24 % - 1 30%
JFICX Janus Henderson Flexible Bond Fund 3.72 % - 11 26%
JFIVX John Hancock Variable Insurance Trust - 500 Index Trust 2.29 % - 1 2%
JFLEX Janus Henderson Flexible Bond Fund 4.68 % - 11 20%
JFMXX JPMorgan Trust I - JPMorgan Federal Money Market Fund - - - -
JFNAX Janus Henderson Global Life Sciences Fund Class A 4.55 % - 1 30%
JFNCX Janus Henderson Global Life Sciences Fund Class C 4.96 % - 1 -
JFNIX Janus Henderson Global Life Sciences Fund 4.69 % - 1 30%
JFNNX Janus Henderson Global Life Sciences Fund Class N Shares 4.64 % - 1 30%
JFNSX Janus Henderson Global Life Sciences Fund Class S 4.71 % - 1 -
JFRDX Janus Henderson Forty D 12.25 % 2.59 1 30%
JFRNX Janus Henderson Forty Fund Class N 11.13 % 2.96 1 30%
JGBAX Janus Henderson Global Bond Fund - - 11 18%
JGBCX Janus Henderson Global Bond Fund - - 11 30%
JGBIX Janus Henderson Global Bond Fund - - 10 15%
JGBSX Janus Henderson Global Bond Fund - - 11 20%
JGCAX Janus Henderson Global Allocation Fund - Growth 5.99 % - 1 30%
JGCCX Janus Henderson Global Allocation Fund - Growth 5.16 % - 1 30%
JGCIX Janus Henderson Global Allocation Fund - Growth - I Shares 6.11 % - 1 30%
JGCSX Janus Henderson Global Allocation Fund - Growth 5.21 % - 1 30%
JGICX Janus Henderson Growth And Income Fund 13.63 % - 2 30%
JGINX Janus Henderson Growth And Income Fund 13.80 % - 3 30%
JGIRX JPMorgan U.S. GARP Equity Fund 7.36 % - 2 30%
JGISX JPMorgan U.S. GARP Equity Fund 7.44 % - 2 30%
JGLNX Janus Henderson Global Bond Fund - - 11 14%
JGMAX Janus Henderson Triton Fund Class A 10.84 % - 1 28%
JGMCX Janus Henderson Triton Fund 13.63 % - 1 28%
JGMIX Janus Henderson Triton Fund 11.09 % - 1 28%
JGMNX Janus Henderson Triton Fund Class N 9.66 % - 1 28%
JGMRX Janus Henderson Triton Fund 12.21 % - 1 28%
JGRCX Janus Henderson Enterprise Fund 9.00 % - 1 0%
JGRTX Janus Henderson Enterprise Fund Class S 7.40 % - 1 0%
JHBIX John Hancock Bond Fund Class I 4.64 % - 12 0%
JHBTX Janus Henderson Global Bond Fund - - 11 18%
JHEQX JPMorgan Hedged Equity Fund I Class 0.62 % - 3 8%
JHJAX John Hancock ESG Large Cap Core Fund Class A 17.85 % - 2 30%
JHMXX John Hancock Money Market Fund Class A - - - -
JHNBX John Hancock Bond Fund Class A 4.13 % - 12 0%
JHOXX John Hancock Var Ins Trust Money Market Tr Series I - - - -
JHQAX JPMorgan Hedged Equity Fund - A 0.37 % - 3 10%
JHQCX JPMorgan Hedged Equity Fund 0.01 % - 1 0%
JHQPX JPMorgan Hedged Equity Fund Class R5 0.74 % - 3 8%
JHQRX JPMorgan Hedged Equity Fund Class R6 0.86 % - 3 6%
JHYAX Janus Henderson High-Yield Fund Class A 6.39 % 16.08 11 6%
JHYFX Janus Henderson High-Yield Fund 6.58 % 16.10 11 6%
JHYNX Janus Henderson High-Yield Fund - N Shares 6.58 % 16.19 11 6%
JHYRX Janus Henderson High-Yield Fund Class R 5.99 % 16.14 11 7%
JIBBX JPMorgan SmartRetirement Blend Income Fund Class R5 3.08 % - 1 -
JIBFX Johnson Institutional Core Bond Fund 3.94 % - 11 14%
JICAX JPMorgan Intrepid Sustainable Equity Fund - A Class 9.24 % - 2 30%
JIDVX Janus Henderson U.S. Dividend Income I 3.19 % - 3 -
JIGAX JPMorgan U.S. GARP Equity Fund Class A 7.25 % - 1 30%
JIGCX Janus Henderson Overseas Fund Class C 0.21 % - 1 -
JIGFX Janus Henderson Overseas Fund 1.18 % - 1 10%
JIGRX Janus Henderson Overseas Fund Class S 0.84 % - 1 14%
JIGTX JHancock International Growth R6 - - 1 0%
JIGZX JPMorgan U.S. GARP Equity Fund 7.67 % - 1 30%
JIJSX JPMorgan SmartRetirement Blend Income Fund Class I 2.98 % - 1 9%
JISCX Janus Henderson Small Cap Value Fund 3.33 % -16.02 1 26%
JLGAX JAG Large Cap Growth Fund 28.87 % - 1 30%
JLGMX JPMorgan Large Cap Growth Fund Class R6 10.30 % - 2 30%
JLGRX JPMorgan Large Cap Growth Fund 10.77 % - 2 30%
JLPSX JPMorgan U.S. Large Cap Core Plus Fund 2.79 % - 2 -30%
JLPYX JPMorgan U.S. Large Cap Core Plus Fund 2.78 % - 2 -30%
JLVMX JPMorgan Large Cap Value Fund Class R6 7.59 % - 4 27%
JLVZX JPMorgan Large Cap Value Fund Class R2 6.99 % - 4 28%
JMBRX JPMorgan SmartRetirement Blend 2045 Fund Class R5 2.19 % - 1 26%
JMCEX JPMorgan Mid Cap Equity Fund 5.86 % - 2 30%
JMCGX Jacob Discovery Fund Investor Class 0.44 % 2.03 1 -
JMCRX James Micro Cap Fund 0.89 % - 1 18%
JMCVX Janus Henderson Mid Cap Value Fund - T Shares 8.78 % 5.58 1 24%
JMGFX JPMorgan Mid Cap Growth R5 8.68 % - 1 -
JMGMX JPMorgan Mid Cap Growth R6 8.75 % - 1 -
JMGRX Janus Henderson Enterprise Fund 7.00 % - 1 0%
JMOAX Janus Henderson Global Allocation Fund - Moderate Class A 5.34 % - 1 30%
JMOCX Janus Henderson Global Allocation Fund - Moderate 5.17 % - 1 30%
JMOIX Janus Henderson Global Allocation Fund - Moderate - I Shares 5.53 % - 1 30%
JMOSX Janus Henderson Global Allocation Fund - Moderate 5.14 % - 1 30%
JMTNX Janus Henderson Multi-Sector Income Fund 6.56 % - 11 9%
JMUAX Janus Henderson Multi-Sector Income Fund 6.26 % - 11 8%
JMUCX Janus Henderson Multi-Sector Income Fund 5.45 % - 11 10%
JMUEX JPMorgan U.S. Equity Fund 5.70 % - 4 30%
JMUIX Janus Henderson Multi-Sector Income Fund 6.47 % - 11 10%
JMUSX Janus Henderson Multi-Sector Income Fund 6.01 % - 11 8%
JMUTX Janus Henderson Multi-Sector Income Fund - T Shares 6.33 % - 11 7%
JMVAX Janus Henderson Mid Cap Value Fund 8.99 % 5.62 1 24%
JMVCX Janus Henderson Mid Cap Value Fund 8.35 % 5.44 1 26%
JMVIX Janus Henderson Mid Cap Value Fund Class S 8.27 % 5.80 1 24%
JMYAX JPMorgan SmartRetirement Blend 2045 Fund Class R6 2.31 % - 1 26%
JNDVX Janus Henderson U.S. Dividend Income N 3.23 % - 3 -
JNEMX JPMorgan International Equity R6 - - 2 30%
JNGLX Janus Henderson Global Life Sciences Fund 4.73 % - 1 30%
JNGTX Janus Henderson Global Technology and Innovation Fund 10.02 % - 1 -
JNOSX Janus Henderson Overseas D - - - -
JNRFX Janus Henderson Research Fund 11.48 % - 1 30%
JNSXX Edward Jones Money Market Fund - Investment Shares - 166.67 - -
JNVSX Jensen Quality Value Fund J Shares 11.27 % 22.64 3 30%
JOBBX JPMorgan SmartRetirement Blend 2040 Fund Class R5 2.39 % - 1 22%
JOBEX JPMorgan SmartRetirement Blend 2040 Fund Class I 2.32 % - 1 28%