TIAA-CREF GROWTH & INCOME FUND RETIREMENT CLASS(TRGIX) USD 14.02
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.18%USD 0.025USD0.025432023-03-17
20228.07%USD 1.131USD1.053772022-12-09
USD0.029912022-09-23
USD0.028622022-06-17
USD0.01852022-03-18
202123.99%USD 3.363USD3.307422021-12-10
USD0.021982021-09-17
USD0.014112021-06-18
USD0.019892021-03-19
20208.49%USD 1.19USD1.10172020-12-11
USD0.02632020-09-18
USD0.027922020-06-19
USD0.034312020-03-20
20191.26%USD 0.176USD0.080162019-12-06
USD0.033342019-09-20
USD0.031282019-06-12
USD0.031662019-03-22
20188.36%USD 1.172USD1.080372018-12-07
USD0.030492018-09-21
USD0.034982018-06-22
USD0.026452018-03-23
20174.66%USD 0.654USD0.560152017-12-08
USD0.030442017-09-22
USD0.037482017-06-23
USD0.025452017-03-24
20162.43%USD 0.341USD0.240292016-12-09
USD0.030282016-09-23
USD0.03362016-06-24
USD0.036582016-03-18
20156.67%USD 0.935USD0.854562015-12-11
USD0.027542015-09-25
USD0.022662015-06-26
USD0.02982015-03-27
20148.63%USD 1.21USD1.132992014-12-12
USD0.025812014-09-26
USD0.028032014-06-27
USD0.023272014-03-28
201310.12%USD 1.418USD1.339162013-12-13
USD0.027842013-09-20
USD0.036782013-06-21
USD0.014552013-03-22
20124.16%USD 0.583USD0.496772012-12-07
USD0.029282012-09-28
USD0.027342012-06-29
USD0.029392012-03-30
20111.17%USD 0.165USD0.109082011-12-09
USD0.019312011-09-23
USD0.021032011-06-24
USD0.015172011-03-25
20100.58%USD 0.081USD0.021982010-12-10
USD0.020662010-09-24
USD0.020892010-06-25
USD0.017582010-03-26
20090.68%USD 0.095USD0.019952009-12-11
USD0.018222009-09-25
USD0.021222009-06-26
USD0.035432009-03-27
20080.94%USD 0.131USD0.025282008-12-12
USD0.0282008-09-29
USD0.0332008-06-27
USD0.0452008-03-28
20072.69%USD 0.377USD0.2812007-12-14
USD0.0362007-09-26
USD0.0362007-06-27
USD0.0242007-03-28
20063.82%USD 0.535USD0.4532006-12-22
USD0.0382006-09-27
USD0.0262006-06-28
USD0.0182006-03-29
20050.70%USD 0.098USD0.0292005-12-23
USD0.0232005-09-28
USD0.0252005-06-28
USD0.0212005-03-29
20040.80%USD 0.112USD0.0532004-12-29
USD0.0242004-09-28
USD0.0222004-06-28
USD0.0132004-03-29
20030.31%USD 0.043USD0.0192003-12-29
USD0.0112003-09-25
USD0.0082003-06-30
USD0.0052003-03-28