JPMorgan Managed Income Fund Class I (JMGLX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
10.02
+0.01 (0.10%)
At close: Mar 31, 2026

JMGLX Stock Price History

Historical Data

DateOpenHighLowCloseAdj. CloseChange
Mar 31, 202610.0210.0210.0210.0210.020.10%
Mar 30, 202610.0110.0110.0110.0110.01-
Mar 27, 202610.0110.0110.0110.0110.01-
Mar 26, 202610.0110.0110.0110.0110.01-
Mar 25, 202610.0110.0110.0110.0110.01-
Mar 24, 202610.0110.0110.0110.0110.01-
Mar 23, 202610.0110.0110.0110.0110.01-
Mar 20, 202610.0110.0110.0110.0110.01-0.10%
Mar 19, 202610.0210.0210.0210.0210.02-
Mar 18, 202610.0210.0210.0210.0210.02-
Mar 17, 202610.0210.0210.0210.0210.02-
Mar 16, 202610.0210.0210.0210.0210.02-
Mar 13, 202610.0210.0210.0210.0210.02-
Mar 12, 202610.0210.0210.0210.0210.02-0.10%
Mar 11, 202610.0310.0310.0310.0310.03-
Mar 10, 202610.0310.0310.0310.0310.03-0.10%
Mar 9, 202610.0410.0410.0410.0410.04-
Mar 6, 202610.0410.0410.0410.0410.04-
Mar 5, 202610.0410.0410.0410.0410.04-
Mar 4, 202610.0410.0410.0410.0410.04-
Mar 3, 202610.0410.0410.0410.0410.04-
Mar 2, 202610.0410.0410.0410.0410.04-0.10%
Feb 27, 202610.0510.0510.0510.0510.05-
Feb 26, 202610.0510.0510.0510.0510.02-
Feb 25, 202610.0510.0510.0510.0510.02-
Feb 24, 202610.0510.0510.0510.0510.02-
Feb 23, 202610.0510.0510.0510.0510.02-
Feb 20, 202610.0510.0510.0510.0510.02-
Feb 19, 202610.0510.0510.0510.0510.02-
Feb 18, 202610.0510.0510.0510.0510.02-
Feb 17, 202610.0510.0510.0510.0510.02-
Feb 13, 202610.0510.0510.0510.0510.02-
Feb 12, 202610.0510.0510.0510.0510.02-
Feb 11, 202610.0510.0510.0510.0510.02-
Feb 10, 202610.0510.0510.0510.0510.02-
Feb 9, 202610.0510.0510.0510.0510.02-
Feb 6, 202610.0510.0510.0510.0510.02-
Feb 5, 202610.0510.0510.0510.0510.020.10%
Feb 4, 202610.0410.0410.0410.0410.01-
Feb 3, 202610.0410.0410.0410.0410.01-
Feb 2, 202610.0410.0410.0410.0410.01-0.10%
Jan 30, 202610.0510.0510.0510.0510.020.10%
Jan 29, 202610.0410.0410.0410.049.98-
Jan 28, 202610.0410.0410.0410.049.98-
Jan 27, 202610.0410.0410.0410.049.98-
Jan 26, 202610.0410.0410.0410.049.98-
Jan 23, 202610.0410.0410.0410.049.98-
Jan 22, 202610.0410.0410.0410.049.98-
Jan 21, 202610.0410.0410.0410.049.98-
Jan 20, 202610.0410.0410.0410.049.98-