JPMORGAN INVESTOR GROWTH FUND CLASS C(OGGCX) USD 18.84
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.33%USD 1.57USD0.164062022-12-30
USD1.401992022-12-15
USD0.002812022-09-30
USD0.001012022-06-30
20215.73%USD 1.08USD0.612042021-12-31
USD0.467692021-12-15
20207.98%USD 1.503USD0.169022020-12-31
USD1.33422020-12-15
20198.24%USD 1.552USD0.158492019-12-31
USD1.393022019-12-16
20187.46%USD 1.406USD0.3972018-12-31
USD1.009232018-12-14
20179.30%USD 1.752USD0.315872017-12-29
USD1.436412017-12-15
20165.16%USD 0.972USD0.134642016-12-30
USD0.837382016-12-16
20155.99%USD 1.129USD0.178982015-12-31
USD0.949852015-12-18
20143.47%USD 0.653USD0.34732014-12-31
USD0.305522014-12-17
20130.89%USD 0.167USD0.163242013-12-31
USD0.003542013-03-28
20120.46%USD 0.087USD0.086942012-12-31
20110.29%USD 0.054USD0.052662011-12-30
USD0.00112011-06-30
20100.17%USD 0.033USD0.032722010-12-31
20090.45%USD 0.085USD0.053462009-12-31
USD0.002882009-06-30
USD0.028232009-03-31
20084.93%USD 0.929USD0.065612008-12-31
USD0.842242008-12-24
USD0.010582008-06-30
USD0.010992008-03-31
20076.89%USD 1.298USD0.509592007-12-31
USD0.666552007-12-21
USD0.020592007-09-28
USD0.006722007-06-29
USD0.094392007-03-30
20063.84%USD 0.723USD0.14372006-12-29
USD0.467492006-12-28
USD0.000762006-09-29
USD0.011322006-06-30
USD0.099992006-03-31
20050.65%USD 0.122USD0.0372005-12-30
USD0.002362005-06-30
USD0.082862005-03-31
20040.21%USD 0.04USD0.042004-12-31
20020.02%USD 0.004USD0.0042002-12-31
20010.31%USD 0.059USD0.0062001-12-31
USD0.0532001-09-28
20000.93%USD 0.175USD0.0262000-12-29
USD0.1492000-09-29