JPMORGAN GROWTH AND INCOME FUND SELECT CLASS(VGIIX) USD 69.81
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.31%USD 0.219USD0.218722023-03-29
20221.59%USD 1.108USD0.321992022-12-20
USD0.158712022-12-13
USD0.244292022-09-28
USD0.224052022-06-28
USD0.159062022-03-29
20212.85%USD 1.991USD0.228922021-12-20
USD1.211422021-12-13
USD0.243042021-09-28
USD0.158062021-06-28
USD0.149882021-03-29
20202.11%USD 1.474USD0.237142020-12-18
USD0.640082020-12-11
USD0.196332020-09-28
USD0.21872020-06-26
USD0.181932020-03-27
20192.81%USD 1.96USD0.256682019-12-19
USD1.072262019-12-12
USD0.218682019-09-26
USD0.226452019-06-26
USD0.185732019-03-27
20184.33%USD 3.024USD0.239042018-12-19
USD2.140152018-12-12
USD0.292052018-09-26
USD0.179092018-06-27
USD0.173762018-03-27
20173.99%USD 2.788USD0.206052017-12-20
USD2.084992017-12-13
USD0.177852017-09-27
USD0.184332017-06-28
USD0.13442017-03-29
20164.15%USD 2.899USD0.181852016-12-20
USD2.213672016-12-14
USD0.187812016-09-28
USD0.171742016-06-28
USD0.144262016-03-29
20154.48%USD 3.131USD0.213252015-12-21
USD2.482042015-12-11
USD0.130542015-09-28
USD0.153932015-06-26
USD0.151082015-03-27
20142.36%USD 1.649USD0.201642014-12-19
USD0.992992014-12-12
USD0.153152014-09-30
USD0.156022014-06-30
USD0.145412014-03-31
20130.75%USD 0.525USD0.145652013-12-20
USD0.107132013-09-30
USD0.113852013-06-28
USD0.158082013-03-28
20120.67%USD 0.465USD0.131652012-12-18
USD0.0122012-12-13
USD0.104942012-09-28
USD0.104412012-06-29
USD0.112442012-03-30
20110.58%USD 0.404USD0.122892011-12-20
USD0.084982011-09-30
USD0.08632011-06-30
USD0.110142011-03-31
20100.50%USD 0.346USD0.079052010-12-20
USD0.080742010-09-30
USD0.083842010-06-30
USD0.102142010-03-31
20090.68%USD 0.472USD0.143282009-12-21
USD0.080672009-09-30
USD0.101722009-06-30
USD0.146042009-03-31
20080.71%USD 0.499USD0.139232008-12-22
USD0.119842008-09-30
USD0.1262008-06-30
USD0.113482008-03-31
20078.13%USD 5.676USD0.11062007-12-20
USD5.245752007-12-17
USD0.10342007-09-28
USD0.118632007-06-29
USD0.098042007-03-30
20063.14%USD 2.19USD0.142672006-12-22
USD1.38592006-12-15
USD0.100432006-09-29
USD0.358692006-08-30
USD0.112122006-06-30
USD0.090622006-03-31
20051.14%USD 0.793USD0.116822005-12-27
USD0.432842005-12-15
USD0.086722005-09-30
USD0.080482005-06-30
USD0.076152005-03-31
20040.52%USD 0.362USD0.1052004-12-17
USD0.0882004-09-30
USD0.0822004-06-30
USD0.0872004-03-31
20030.47%USD 0.33USD0.092003-12-19
USD0.0862003-09-30
USD0.0662003-06-30
USD0.0882003-03-31
20020.44%USD 0.31USD0.0682002-12-20
USD0.0862002-09-30
USD0.0762002-06-28
USD0.082002-03-28
20010.27%USD 0.186USD0.0562001-12-21
USD0.0342001-09-28
USD0.0962001-03-30
20000.33%USD 0.232USD0.0542000-12-29
USD0.0542000-09-29
USD0.1242000-06-30