TIAA-CREF GROWTH & INCOME FUND INSTITUTIONAL CLASS(TIGRX) USD 13.63
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.25%USD 0.034USD0.033752023-03-17
20228.57%USD 1.169USD1.062722022-12-09
USD0.039072022-09-23
USD0.038122022-06-17
USD0.028792022-03-18
202125.03%USD 3.412USD3.320352021-12-10
USD0.03462021-09-17
USD0.02592021-06-18
USD0.030762021-03-19
20209.01%USD 1.228USD1.11232020-12-11
USD0.03622020-09-18
USD0.036382020-06-19
USD0.043542020-03-20
20191.56%USD 0.213USD0.089792019-12-06
USD0.042892019-09-20
USD0.040342019-06-12
USD0.040172019-03-22
20188.88%USD 1.211USD1.089952018-12-07
USD0.040572018-09-21
USD0.044492018-06-22
USD0.035942018-03-23
20175.05%USD 0.688USD0.569512017-12-08
USD0.039262017-09-22
USD0.045872017-06-23
USD0.03342017-03-24
20162.72%USD 0.371USD0.248062016-12-09
USD0.038082016-09-23
USD0.041012016-06-24
USD0.043452016-03-18
20157.09%USD 0.967USD0.862592015-12-11
USD0.035532015-09-25
USD0.030882015-06-26
USD0.037612015-03-27
20149.11%USD 1.242USD1.141362014-12-12
USD0.034042014-09-26
USD0.035752014-06-27
USD0.030752014-03-28
201310.62%USD 1.448USD1.34732013-12-13
USD0.035612013-09-20
USD0.043842013-06-21
USD0.02132013-03-22
20124.46%USD 0.608USD0.503412012-12-07
USD0.035772012-09-28
USD0.033722012-06-29
USD0.035292012-03-30
20111.39%USD 0.189USD0.114712011-12-09
USD0.025882011-09-23
USD0.027332011-06-24
USD0.021082011-03-25
20100.75%USD 0.102USD0.027752010-12-10
USD0.026092010-09-24
USD0.026072010-06-25
USD0.022472010-03-26
20090.82%USD 0.111USD0.024652009-12-11
USD0.022612009-09-25
USD0.024992009-06-26
USD0.038872009-03-27
20081.09%USD 0.148USD0.029142008-12-12
USD0.03342008-09-29
USD0.03932008-06-27
USD0.04662008-03-28
20072.90%USD 0.395USD0.28692007-12-14
USD0.042582007-09-26
USD0.041532007-06-27
USD0.023672007-03-28
20063.97%USD 0.541USD0.457482006-12-22
USD0.044322006-09-27
USD0.034812006-06-28
USD0.004642006-03-29
20051.34%USD 0.182USD0.0682005-12-23
USD0.031482005-09-28
USD0.042362005-06-28
USD0.040612005-03-29
20041.05%USD 0.143USD0.06072004-12-29
USD0.032172004-09-28
USD0.030842004-06-28
USD0.019622004-03-29
20030.78%USD 0.106USD0.032952003-12-31
USD0.025532003-09-26
USD0.022572003-06-30
USD0.0252003-03-31
20020.62%USD 0.085USD0.025652002-12-27
USD0.025092002-09-30
USD0.018872002-06-28
USD0.015572002-03-28
20010.17%USD 0.023USD0.023442001-12-27