JPMORGAN GROWTH AND INCOME FUND CLASS A(VGRIX) USD 65.58
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.28%USD 0.182USD0.18232023-03-29
20221.47%USD 0.964USD0.2872022-12-20
USD0.158712022-12-13
USD0.208172022-09-28
USD0.187832022-06-28
USD0.12212022-03-29
20212.81%USD 1.846USD0.185072021-12-20
USD1.211422021-12-13
USD0.217372021-09-28
USD0.11672021-06-28
USD0.11522021-03-29
20202.05%USD 1.345USD0.198882020-12-18
USD0.640082020-12-11
USD0.166742020-09-28
USD0.192612020-06-26
USD0.146952020-03-27
20192.81%USD 1.845USD0.227732019-12-19
USD1.072262019-12-12
USD0.189032019-09-26
USD0.197042019-06-26
USD0.158662019-03-27
20184.46%USD 2.923USD0.229932018-12-19
USD2.140152018-12-12
USD0.259492018-09-26
USD0.150462018-06-27
USD0.142972018-03-27
20174.07%USD 2.666USD0.17512017-12-20
USD2.084992017-12-13
USD0.149042017-09-27
USD0.155582017-06-28
USD0.101542017-03-29
20164.26%USD 2.795USD0.155352016-12-20
USD2.213672016-12-14
USD0.160042016-09-28
USD0.145742016-06-28
USD0.120532016-03-29
20154.62%USD 3.028USD0.183572015-12-21
USD2.482042015-12-11
USD0.104612015-09-28
USD0.133922015-06-26
USD0.123842015-03-27
20142.36%USD 1.546USD0.178832014-12-19
USD0.992992014-12-12
USD0.128012014-09-30
USD0.128012014-06-30
USD0.117872014-03-31
20130.66%USD 0.435USD0.131052013-12-20
USD0.090752013-09-30
USD0.086182013-06-28
USD0.126712013-03-28
20120.57%USD 0.371USD0.111512012-12-18
USD0.087142012-09-28
USD0.082342012-06-29
USD0.090352012-03-30
20110.50%USD 0.325USD0.103932011-12-20
USD0.066662011-09-30
USD0.06322011-06-30
USD0.090942011-03-31
20100.42%USD 0.276USD0.057922010-12-20
USD0.064792010-09-30
USD0.067612010-06-30
USD0.085722010-03-31
20090.60%USD 0.397USD0.121922009-12-21
USD0.062712009-09-30
USD0.082882009-06-30
USD0.128992009-03-31
20080.64%USD 0.422USD0.12282008-12-22
USD0.095612008-09-30
USD0.108912008-06-30
USD0.094452008-03-31
20078.51%USD 5.578USD0.087352007-12-20
USD5.245752007-12-17
USD0.078812007-09-28
USD0.093762007-06-29
USD0.072522007-03-30
20063.15%USD 2.069USD0.110432006-12-22
USD1.38592006-12-15
USD0.071552006-09-29
USD0.358692006-08-30
USD0.081512006-06-30
USD0.060752006-03-31
20051.03%USD 0.677USD0.08752005-12-27
USD0.432842005-12-15
USD0.059822005-09-30
USD0.052342005-06-30
USD0.044592005-03-31
20040.37%USD 0.241USD0.0772004-12-17
USD0.0572004-09-30
USD0.0522004-06-30
USD0.0552004-03-31
20030.33%USD 0.219USD0.0632003-12-19
USD0.0522003-09-30
USD0.042003-06-30
USD0.0642003-03-31
20020.32%USD 0.208USD0.052002-12-20
USD0.0612002-09-30
USD0.0492002-06-28
USD0.0482002-03-28
20010.29%USD 0.189USD0.032001-12-21
USD0.0642001-09-28
USD0.0482001-06-29
USD0.0472001-03-30
20000.12%USD 0.081USD0.0542000-12-29
USD0.0142000-09-29
USD0.0132000-06-30