Funds / JEPQ

JEPQ JPMorgan Nasdaq Equity Premium Income ETF

J.P. Morgan Asset Management · pays monthly · 0.35% expense ratio

Latest payout

$0.6826

paid Sep 3, 2026

Return of capital

—

No monthly breakdown published

Next ex-date

Oct 1, 2026

pays ~Oct 5 · projected dates

Distribution rate

13.41%

issuer’s annualized rate

Payouts per share

$0 $0.40 $0.80Oct 3, 2025: $0.4461 · split not publishedO2025Nov 5, 2025: $0.4755 · split not publishedNDec 3, 2025: $0.5532 · split not publishedDJan 5, 2026: $0.5761 · split not publishedJ2026Feb 4, 2026: $0.4657 · split not publishedFMar 4, 2026: $0.5090 · split not publishedMApr 6, 2026: $0.5586 · split not publishedAMay 5, 2026: $0.5910 · split not publishedMJun 3, 2026: $0.5644 · split not publishedJJul 6, 2026: $0.6366 · split not publishedJAug 5, 2026: $0.7050 · split not publishedASep 3, 2026: $0.6826 · split not publishedS $0 $0.40 $0.80Oct 3, 2025: $0.4461 · split not publishedO2025Nov 5, 2025: $0.4755 · split not publishedNDec 3, 2025: $0.5532 · split not publishedDJan 5, 2026: $0.5761 · split not publishedJ2026Feb 4, 2026: $0.4657 · split not publishedFMar 4, 2026: $0.5090 · split not publishedMApr 6, 2026: $0.5586 · split not publishedAMay 5, 2026: $0.5910 · split not publishedMJun 3, 2026: $0.5644 · split not publishedJJul 6, 2026: $0.6366 · split not publishedJAug 5, 2026: $0.7050 · split not publishedASep 3, 2026: $0.6826 · split not publishedS
  • Income (the berries)
  • Return of capital (a cutting from the bush)
  • Split not published

Tax character

J.P. Morgan doesn’t publish a monthly return-of-capital breakdown for JEPQ. The tax character of its payouts is reported on your Form 1099-DIV.

Upcoming dates

Ex-datePay datePer shareStatus
Oct 1, 2026Oct 5, 2026—Projected
Nov 2, 2026Nov 4, 2026—Projected
Dec 1, 2026Dec 3, 2026—Projected

To be paid, you need to own shares before the ex-date. “Projected” dates are estimated from the fund’s usual schedule until the issuer announces them.

Payout history

PaidEx-datePer shareReturn of capitalSource
Sep 3, 2026 Sep 1, 2026 $0.6826 Not published
Aug 5, 2026 Aug 3, 2026 $0.7050 Not published
Jul 6, 2026 Jul 1, 2026 $0.6366 Not published
Jun 3, 2026 Jun 1, 2026 $0.5644 Not published
May 5, 2026 May 1, 2026 $0.5910 Not published
Apr 6, 2026 Apr 1, 2026 $0.5586 Not published
Mar 4, 2026 Mar 2, 2026 $0.5090 Not published
Feb 4, 2026 Feb 2, 2026 $0.4657 Not published
Jan 5, 2026 Dec 31, 2025 $0.5761 Not published
Dec 3, 2025 Dec 1, 2025 $0.5532 Not published
Nov 5, 2025 Nov 3, 2025 $0.4755 Not published
Oct 3, 2025 Oct 1, 2025 $0.4461 Not published

Fund facts

Issuer
J.P. Morgan Asset Management
Exchange
NASDAQ
Pays
Monthly
Inception
May 3, 2022
Expense ratio
0.35%
Price
$61.10 · Sep 28, 2026
NAV total return, 1 yr
25.75%
CUSIP
46654Q203

Issuer documents

Data from J.P. Morgan Asset Management’s public disclosures, updated Sep 29, 2026, 3:56 AM ET. Not investment or tax advice.