JPMORGAN INVESTOR GROWTH FUND CLASS A(ONGAX) USD 21.03
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.81%USD 1.643USD0.185922022-12-30
USD1.401992022-12-15
USD0.026822022-09-30
USD0.025932022-06-30
USD0.00252022-03-31
20215.35%USD 1.124USD0.640672021-12-31
USD0.467692021-12-15
USD0.00812021-09-30
USD0.003792021-06-30
USD0.004172021-03-31
20207.50%USD 1.578USD0.194792020-12-31
USD1.33422020-12-15
USD0.017072020-09-30
USD0.018332020-06-30
USD0.013572020-03-31
20197.69%USD 1.617USD0.182692019-12-31
USD1.393022019-12-16
USD0.017922019-09-30
USD0.015752019-06-28
USD0.00792019-03-29
20186.93%USD 1.457USD0.421912018-12-31
USD1.009232018-12-14
USD0.0132018-09-28
USD0.007932018-06-29
USD0.00462018-03-29
20178.58%USD 1.804USD0.346532017-12-29
USD1.436412017-12-15
USD0.008212017-09-29
USD0.006942017-06-30
USD0.005952017-03-31
20164.97%USD 1.045USD0.159082016-12-30
USD0.837382016-12-16
USD0.017772016-09-30
USD0.023142016-06-30
USD0.007642016-03-31
20155.61%USD 1.179USD0.201382015-12-31
USD0.949852015-12-18
USD0.00552015-09-30
USD0.017832015-06-30
USD0.004662015-03-31
20143.34%USD 0.702USD0.363182014-12-31
USD0.305522014-12-17
USD0.00542014-09-30
USD0.020222014-06-30
USD0.007782014-03-31
20131.06%USD 0.223USD0.187022013-12-31
USD0.000952013-09-30
USD0.011962013-06-28
USD0.023272013-03-28
20120.73%USD 0.154USD0.105662012-12-31
USD0.013492012-09-28
USD0.030572012-06-29
USD0.004522012-03-30
20110.51%USD 0.107USD0.070052011-12-30
USD0.003712011-09-30
USD0.01762011-06-30
USD0.015762011-03-31
20100.33%USD 0.07USD0.049762010-12-31
USD0.007222010-09-30
USD0.011072010-06-30
USD0.002282010-03-31
20090.61%USD 0.128USD0.070092009-12-31
USD0.016152009-06-30
USD0.041332009-03-31
20084.78%USD 1.005USD0.080072008-12-31
USD0.842242008-12-24
USD0.019922008-09-30
USD0.031282008-06-30
USD0.031372008-03-31
20076.60%USD 1.389USD0.532312007-12-31
USD0.666552007-12-21
USD0.043492007-09-28
USD0.030372007-06-29
USD0.116262007-03-30
20063.80%USD 0.8USD0.16512006-12-29
USD0.467492006-12-28
USD0.014422006-09-29
USD0.031192006-06-30
USD0.121572006-03-31
20050.94%USD 0.198USD0.0582005-12-30
USD0.013872005-09-30
USD0.02082005-06-30
USD0.104952005-03-31
20040.30%USD 0.063USD0.0632004-12-31
20030.06%USD 0.013USD0.0132003-12-31
20020.18%USD 0.037USD0.022002-12-31
USD0.0172002-09-30
20010.48%USD 0.101USD0.0262001-12-31
USD0.0752001-09-28
20001.27%USD 0.267USD0.0532000-12-29
USD0.1782000-09-29
USD0.0152000-06-30
USD0.0212000-03-31