VY(R) JPMORGAN MID CAP VALUE PORTFOLIO CLASS S(IJMSX) USD 14.9
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202220.88%USD 3.111USD0.14592022-12-28
USD2.96512022-08-03
20215.34%USD 0.796USD0.12352021-12-29
USD0.67252021-08-03
20209.62%USD 1.433USD0.13792020-12-30
USD1.29532020-08-04
201916.70%USD 2.488USD0.14112019-12-30
USD2.34662019-08-02
201812.67%USD 1.888USD0.19272018-12-28
USD1.69522018-08-03
201713.83%USD 2.06USD0.11212017-12-28
USD1.94832017-08-04
201613.24%USD 1.974USD0.1262016-12-29
USD1.84752016-08-04
201522.04%USD 3.284USD0.1152015-12-29
USD3.16862015-08-04
20149.96%USD 1.484USD0.16252014-12-29
USD1.32172014-08-04
20135.21%USD 0.776USD0.09742013-12-27
USD0.67822013-08-06
20120.76%USD 0.113USD0.10732012-12-27
USD0.0062012-08-07
20110.79%USD 0.117USD0.09552011-12-28
USD0.02172011-08-08
20100.65%USD 0.097USD0.08172010-12-29
USD0.01552010-08-12
20091.88%USD 0.28USD0.12372009-12-29
USD0.15642009-08-12
200810.35%USD 1.542USD0.132008-12-29
USD1.41212008-08-12
20075.78%USD 0.861USD0.86112007-08-01
20060.70%USD 0.104USD0.10392006-08-01
20052.87%USD 0.427USD0.32952005-12-16
USD0.09772005-07-01
20040.13%USD 0.02USD0.022004-12-30
20030.21%USD 0.032USD0.0322003-12-30