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Calculate Current Value and Shares Since: January 1, 1993

Investment Date: Original Shares: Original Value: Current Shares: Current Value: Percent Return:
Jan 1, 1993 20 $ 990.00 120 $ 12,668.62 1,179.66%

Investment of $   990.00 on Jan 1, 1993 would yield $ 12,668.62 today

Adjustments

Date Reason Factor Shares Price Value %
Jan 4, 1993 Initial Investment 20 49.50 $ 990.00 0.00%
Feb 9, 1993 Dividend   0.058 20 44.63 $ 902.78 ( 8.81)%
May 12, 1993 Dividend   0.065 20 43.50 $ 881.23 ( 10.99)%
Aug 11, 1993 Dividend   0.065 20 35.63 $ 723.12 ( 26.96)%
Nov 9, 1993 Dividend   0.065 20 42.88 $ 871.58 ( 11.96)%
Feb 9, 1994 Dividend   0.065 20 41.63 $ 847.49 ( 14.39)%
May 11, 1994 Dividend   0.073 20 42.38 $ 864.24 ( 12.70)%
Aug 10, 1994 Dividend   0.073 20 48.50 $ 990.52 0.05%
Nov 8, 1994 Dividend   0.073 20 54.50 $ 1,114.54 12.58%
Feb 8, 1995 Dividend   0.073 20 57.50 $ 1,177.37 18.93%
May 10, 1995 Dividend   0.083 20 66.63 $ 1,366.00 37.98%
Aug 11, 1995 Dividend   0.083 20 68.63 $ 1,408.70 42.29%
Nov 10, 1995 Dividend   0.083 20 79.75 $ 1,638.64 65.52%
Feb 15, 1996 Dividend   0.083 20 95.13 $ 1,956.35 97.61%
May 17, 1996 Dividend   0.095 20 94.88 $ 1,953.17 97.29%
Jun 12, 1996 Stock Split   41 50.00 $ 2,058.56 107.94%
Aug 16, 1996 Dividend   0.095 41 51.63 $ 2,129.59 115.11%
Nov 15, 1996 Dividend   0.095 41 50.75 $ 2,097.21 111.84%
Feb 13, 1997 Dividend   0.095 41 61.75 $ 2,555.70 158.15%
May 16, 1997 Dividend   0.110 41 60.25 $ 2,498.17 152.34%
Aug 15, 1997 Dividend   0.110 41 56.06 $ 2,329.00 135.25%
Nov 14, 1997 Dividend   0.110 41 62.38 $ 2,596.13 162.24%
Feb 12, 1998 Dividend   0.110 41 69.56 $ 2,899.53 192.88%
May 15, 1998 Dividend   0.125 41 70.38 $ 2,938.92 196.86%
Aug 14, 1998 Dividend   0.125 41 75.00 $ 3,137.06 216.87%
Nov 13, 1998 Dividend   0.125 41 84.63 $ 3,545.09 258.09%
Feb 11, 1999 Dividend   0.125 41 84.63 $ 3,550.32 258.62%
May 14, 1999 Dividend   0.140 42 92.88 $ 3,902.29 294.17%
Aug 13, 1999 Dividend   0.140 42 97.31 $ 4,094.30 313.57%
Nov 12, 1999 Dividend   0.140 42 103.75 $ 4,371.15 341.53%
Feb 11, 2000 Dividend   0.140 42 77.44 $ 3,268.57 230.16%
May 19, 2000 Dividend   0.160 42 88.75 $ 3,752.69 279.06%
Aug 18, 2000 Dividend   0.160 42 96.42 $ 4,083.77 312.50%
Nov 17, 2000 Dividend   0.160 42 95.13 $ 4,035.91 307.67%
Feb 15, 2001 Dividend   0.160 42 94.20 $ 4,003.25 304.37%
May 18, 2001 Dividend   0.180 42 101.00 $ 4,299.88 334.33%
Jun 13, 2001 Stock Split   85 50.71 $ 4,317.76 336.14%
Aug 17, 2001 Dividend   0.180 85 53.75 $ 4,591.93 363.83%
Nov 16, 2001 Dividend   0.180 85 59.92 $ 5,134.42 418.63%
Feb 14, 2002 Dividend   0.180 85 57.30 $ 4,925.34 397.51%
May 17, 2002 Dividend   0.205 86 61.47 $ 5,301.40 435.49%
Aug 16, 2002 Dividend   0.205 86 55.32 $ 4,788.68 383.71%
Nov 15, 2002 Dividend   0.205 86 60.15 $ 5,224.53 427.73%
Feb 13, 2003 Dividend   0.205 87 51.31 $ 4,474.51 351.97%
May 16, 2003 Dividend   0.240 87 56.04 $ 4,907.92 395.75%
Aug 15, 2003 Dividend   0.240 87 51.05 $ 4,491.92 353.73%
Nov 14, 2003 Dividend   0.240 88 52.12 $ 4,607.19 365.37%
Feb 12, 2004 Dividend   0.240 88 54.60 $ 4,847.62 389.66%
May 14, 2004 Dividend   0.285 89 54.52 $ 4,865.82 391.50%
Aug 13, 2004 Dividend   0.285 89 55.54 $ 4,982.29 403.26%
Nov 12, 2004 Dividend   0.285 90 61.00 $ 5,497.65 455.32%
Feb 11, 2005 Dividend   0.285 90 66.60 $ 6,028.04 508.89%
May 13, 2005 Dividend   0.330 90 67.10 $ 6,103.17 516.48%
Aug 19, 2005 Dividend   0.330 91 63.57 $ 5,812.11 487.08%
Nov 18, 2005 Dividend   0.330 91 62.55 $ 5,749.02 480.71%
Feb 24, 2006 Dividend   0.330 92 57.76 $ 5,339.10 439.30%
May 25, 2006 Dividend   0.375 93 60.45 $ 5,622.42 467.92%
Aug 25, 2006 Dividend   0.375 93 64.67 $ 6,049.79 511.09%
Nov 24, 2006 Dividend   0.375 94 65.85 $ 6,195.26 525.78%
Feb 23, 2007 Dividend   0.375 94 64.15 $ 6,070.60 513.19%
May 24, 2007 Dividend   0.415 95 63.48 $ 6,046.47 510.75%
Aug 24, 2007 Dividend   0.415 95 61.88 $ 5,933.60 499.35%
Nov 23, 2007 Dividend   0.415 96 66.88 $ 6,452.84 551.80%
Feb 22, 2008 Dividend   0.415 97 63.18 $ 6,135.89 519.79%
May 22, 2008 Dividend   0.460 97 65.41 $ 6,397.14 546.18%
Aug 22, 2008 Dividend   0.460 98 71.42 $ 7,029.91 610.09%
Nov 21, 2008 Dividend   0.460 99 58.35 $ 5,788.70 484.72%
Feb 20, 2009 Dividend   0.460 100 54.65 $ 5,467.27 452.25%
May 21, 2009 Dividend   0.490 100 54.99 $ 5,550.30 460.64%
Aug 21, 2009 Dividend   0.490 101 61.03 $ 6,209.40 527.21%
Nov 20, 2009 Dividend   0.490 102 62.31 $ 6,389.48 545.40%
Feb 19, 2010 Dividend   0.490 103 63.81 $ 6,593.54 566.01%
May 27, 2010 Dividend   0.540 104 59.03 $ 6,155.42 521.76%
Aug 27, 2010 Dividend   0.540 105 57.60 $ 6,062.61 512.39%
Nov 26, 2010 Dividend   0.540 106 62.30 $ 6,614.14 568.10%
Feb 25, 2011 Dividend   0.540 107 59.64 $ 6,389.07 545.36%
May 26, 2011 Dividend   0.570 108 65.51 $ 7,078.97 615.05%
Aug 26, 2011 Dividend   0.570 109 64.28 $ 7,007.65 607.84%
Nov 25, 2011 Dividend   0.570 110 61.38 $ 6,753.64 582.19%
Feb 24, 2012 Dividend   0.570 111 64.46 $ 7,155.25 622.75%
May 24, 2012 Dividend   0.610 112 63.10 $ 7,072.00 614.34%
Aug 24, 2012 Dividend   0.610 113 67.60 $ 7,644.71 672.19%
Nov 23, 2012 Dividend   0.610 114 69.56 $ 7,935.34 701.55%
Feb 22, 2013 Dividend   0.610 114 76.25 $ 8,768.12 785.67%
May 23, 2013 Dividend   0.660 115 87.21 $ 10,104.32 920.64%
Aug 23, 2013 Dividend   0.660 116 88.41 $ 10,319.83 942.41%
Nov 22, 2013 Dividend   0.660 117 95.25 $ 11,195.28 1,030.84%
Feb 21, 2014 Dividend   0.660 118 91.52 $ 10,834.44 994.39%
May 22, 2014 Dividend   0.700 119 100.96 $ 12,034.85 1,115.64%
Aug 22, 2014 Dividend   0.700 120 103.10 $ 12,373.39 1,149.84%
Oct 29, 2014 Current Investment 120 105.56 $ 12,668.62 1,179.66%

Disclaimer: The Investment Calculator page and related information is provided by Mergent, a third party service. Johnson & Johnson does not maintain this page and is not responsible for the accuracy, completeness or timeliness of the information. The results are for illustrative purposes only and should not be relied on for investment purposes. The timing and price of dividend reinvestments, taxes, commissions and other factors may affect the values shown. Please note that historical investment performance is not intended to indicate future performance.