ANFIELD UNIVERSAL FIXED INCOME FUND ANFIELD UNIVERSAL FIXED INCOME FUND CLASS A(AFLEX) USD 8.6
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.22%USD 0.105USD0.04212023-03-30
USD0.03472023-02-27
USD0.02832023-01-30
20223.81%USD 0.328USD0.06952022-12-07
USD0.03592022-11-29
USD0.02752022-10-28
USD0.0312022-09-29
USD0.02542022-08-30
USD0.02042022-07-29
USD0.02542022-06-29
USD0.02082022-05-27
USD0.02072022-04-28
USD0.02482022-03-30
USD0.01392022-02-28
USD0.01232022-01-31
20212.36%USD 0.203USD0.01042021-12-08
USD0.01922021-11-29
USD0.01862021-10-28
USD0.02112021-09-29
USD0.01662021-08-30
USD0.01862021-07-29
USD0.01842021-06-29
USD0.01962021-05-27
USD0.01542021-04-29
USD0.02022021-03-30
USD0.01262021-02-25
USD0.01222021-01-28
20204.71%USD 0.405USD0.10762020-12-10
USD0.0782020-11-27
USD0.04022020-10-29
USD0.04522020-09-29
USD0.01242020-08-28
USD0.01292020-07-30
USD0.01782020-06-29
USD0.01412020-05-28
USD0.01622020-04-29
USD0.02422020-03-30
USD0.01752020-02-27
USD0.01862020-01-30
20193.03%USD 0.261USD0.02182019-12-10
USD0.01982019-11-27
USD0.0212019-10-30
USD0.01932019-09-27
USD0.02322019-08-29
USD0.02042019-07-30
USD0.02952019-06-27
USD0.02422019-05-30
USD0.02392019-04-29
USD0.02312019-03-28
USD0.01682019-02-27
USD0.01752019-01-30
20186.21%USD 0.534USD0.04612018-12-11
USD0.01262018-11-29
USD0.01812018-10-30
USD0.01752018-09-27
USD0.02122018-08-30
USD0.01572018-07-30
USD0.01592018-06-28
USD0.01612018-05-30
USD0.0142018-04-27
USD0.01452018-03-28
USD0.01772018-02-27
USD0.3252018-01-30
20172.34%USD 0.201USD0.05812017-12-12
USD0.0172017-11-29
USD0.00862017-10-30
USD0.00452017-09-28
USD0.01242017-08-30
USD0.00952017-07-28
USD0.01282017-06-29
USD0.01142017-05-30
USD0.01282017-04-27
USD0.02062017-03-30
USD0.01382017-02-27
USD0.01992017-01-30
20163.19%USD 0.274USD0.02482016-12-14
USD0.02242016-11-29
USD0.02612016-10-28
USD0.00562016-09-29
USD0.01912016-08-30
USD0.02652016-07-28
USD0.02712016-06-29
USD0.03952016-05-27
USD0.0232016-04-28
USD0.02582016-03-30
USD0.01242016-02-26
USD0.02212016-01-28
20153.40%USD 0.292USD0.04372015-12-17
USD0.02442015-11-27
USD0.03412015-10-29
USD0.02412015-09-29
USD0.01822015-08-28
USD0.02332015-07-30
USD0.02292015-06-29
USD0.02282015-05-28
USD0.01742015-04-29
USD0.01992015-03-30
USD0.01982015-02-26
USD0.02162015-01-29
20142.61%USD 0.224USD0.05492014-12-17
USD0.01662014-11-26
USD0.02192014-10-30
USD0.01742014-09-29
USD0.01992014-08-28
USD0.01412014-07-30
USD0.0132014-06-27
USD0.01442014-05-29
USD0.01612014-04-29
USD0.03612014-03-28
20130.45%USD 0.039USD0.03912013-12-17