JPMORGAN INVESTOR GROWTH FUND SELECT CLASS(ONIFX) USD 21.68
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.80%USD 1.691USD0.19662022-12-30
USD1.401992022-12-15
USD0.038612022-09-30
USD0.037982022-06-30
USD0.015662022-03-31
20215.44%USD 1.179USD0.65462021-12-31
USD0.467692021-12-15
USD0.022032021-09-30
USD0.017732021-06-30
USD0.016852021-03-31
20207.49%USD 1.624USD0.206142020-12-31
USD1.33422020-12-15
USD0.029732020-09-30
USD0.029192020-06-30
USD0.02492020-03-31
20197.67%USD 1.663USD0.194382019-12-31
USD1.393022019-12-16
USD0.028172019-09-30
USD0.027662019-06-28
USD0.019292019-03-29
20186.96%USD 1.509USD0.433672018-12-31
USD1.009232018-12-14
USD0.0272018-09-28
USD0.021122018-06-29
USD0.017852018-03-29
20178.56%USD 1.856USD0.359462017-12-29
USD1.436412017-12-15
USD0.021422017-09-29
USD0.019842017-06-30
USD0.018422017-03-31
20165.03%USD 1.09USD0.17082016-12-30
USD0.837382016-12-16
USD0.029482016-09-30
USD0.034252016-06-30
USD0.018022016-03-31
20155.70%USD 1.235USD0.213652015-12-31
USD0.949852015-12-18
USD0.020712015-09-30
USD0.032792015-06-30
USD0.018272015-03-31
20143.46%USD 0.749USD0.376472014-12-31
USD0.305522014-12-17
USD0.017122014-09-30
USD0.031922014-06-30
USD0.01842014-03-31
20131.22%USD 0.264USD0.198852013-12-31
USD0.010932013-09-30
USD0.021482013-06-28
USD0.032742013-03-28
20120.88%USD 0.19USD0.114862012-12-31
USD0.022542012-09-28
USD0.039192012-06-29
USD0.013162012-03-27
20110.65%USD 0.141USD0.078132011-12-30
USD0.011962011-09-30
USD0.02642011-06-30
USD0.024072011-03-31
20100.46%USD 0.101USD0.057822010-12-31
USD0.014652010-09-30
USD0.01862010-06-30
USD0.009542010-03-31
20090.67%USD 0.146USD0.077412009-12-31
USD0.022042009-06-30
USD0.046682009-03-31
20084.79%USD 1.038USD0.085992008-12-31
USD0.842242008-12-24
USD0.028612008-09-30
USD0.040452008-06-30
USD0.04032008-03-31
20076.59%USD 1.43USD0.54262007-12-31
USD0.666552007-12-21
USD0.053832007-09-28
USD0.040712007-06-29
USD0.125922007-03-30
20063.86%USD 0.837USD0.174782006-12-29
USD0.467492006-12-28
USD0.023792006-09-29
USD0.040542006-06-30
USD0.130722006-03-31
20051.07%USD 0.232USD0.0672005-12-30
USD0.022722005-09-30
USD0.029162005-06-30
USD0.113282005-03-31
20040.33%USD 0.072USD0.0722004-12-31
20030.19%USD 0.041USD0.022003-12-31
USD0.0212003-03-31
20020.23%USD 0.049USD0.0262002-12-31
USD0.0232002-09-30
20010.55%USD 0.12USD0.0332001-12-31
USD0.0832001-09-28
USD0.0042001-03-30
20001.39%USD 0.302USD0.0612000-12-29
USD0.1872000-09-29
USD0.0242000-06-30
USD0.032000-03-31