ANFIELD UNIVERSAL FIXED INCOME FUND ANFIELD UNIVERSAL FIXED INCOME FUND CLASS I(AFLIX) USD 8.6
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.29%USD 0.111USD0.04422023-03-30
USD0.03642023-02-27
USD0.032023-01-30
20224.11%USD 0.354USD0.07312022-12-07
USD0.03782022-11-29
USD0.02952022-10-28
USD0.03322022-09-29
USD0.02762022-08-30
USD0.02222022-07-29
USD0.02752022-06-29
USD0.02312022-05-27
USD0.02262022-04-28
USD0.0272022-03-30
USD0.01582022-02-28
USD0.01412022-01-31
20212.64%USD 0.227USD0.01282021-12-08
USD0.02112021-11-29
USD0.02042021-10-28
USD0.02322021-09-29
USD0.01862021-08-30
USD0.02062021-07-29
USD0.02062021-06-29
USD0.02152021-05-27
USD0.01742021-04-29
USD0.02242021-03-30
USD0.01442021-02-25
USD0.01392021-01-28
20205.00%USD 0.43USD0.112020-12-10
USD0.07992020-11-27
USD0.04222020-10-29
USD0.04732020-09-29
USD0.01482020-08-28
USD0.0152020-07-30
USD0.01982020-06-29
USD0.0162020-05-28
USD0.01832020-04-29
USD0.02622020-03-30
USD0.01942020-02-27
USD0.02082020-01-30
20193.32%USD 0.286USD0.02422019-12-10
USD0.02172019-11-27
USD0.02322019-10-30
USD0.02132019-09-27
USD0.02552019-08-29
USD0.02252019-07-30
USD0.03142019-06-27
USD0.02642019-05-30
USD0.0262019-04-29
USD0.02512019-03-28
USD0.01872019-02-27
USD0.01952019-01-30
20183.40%USD 0.293USD0.08522018-12-11
USD0.01462018-11-29
USD0.02032018-10-30
USD0.01942018-09-27
USD0.02332018-08-30
USD0.01782018-07-30
USD0.01782018-06-28
USD0.01952018-05-30
USD0.0162018-04-27
USD0.01642018-03-28
USD0.01942018-02-27
USD0.02312018-01-30
20172.61%USD 0.225USD0.06032017-12-12
USD0.0192017-11-29
USD0.01032017-10-30
USD0.00642017-09-28
USD0.01462017-08-30
USD0.01092017-07-28
USD0.01442017-06-29
USD0.01312017-05-30
USD0.01452017-04-27
USD0.02272017-03-30
USD0.01552017-02-27
USD0.02282017-01-30
20163.47%USD 0.298USD0.02712016-12-14
USD0.02452016-11-29
USD0.02812016-10-28
USD0.00762016-09-29
USD0.02122016-08-30
USD0.02842016-07-28
USD0.02932016-06-29
USD0.04142016-05-27
USD0.02482016-04-28
USD0.0282016-03-30
USD0.0142016-02-26
USD0.02382016-01-28
20153.68%USD 0.317USD0.0462015-12-17
USD0.02612015-11-27
USD0.03582015-10-29
USD0.02622015-09-29
USD0.02012015-08-28
USD0.02522015-07-30
USD0.02522015-06-29
USD0.0252015-05-28
USD0.02032015-04-29
USD0.02192015-03-30
USD0.02132015-02-26
USD0.02362015-01-29
20142.90%USD 0.25USD0.05742014-12-17
USD0.01842014-11-26
USD0.02422014-10-30
USD0.01922014-09-29
USD0.02152014-08-28
USD0.01642014-07-30
USD0.01462014-06-27
USD0.01662014-05-29
USD0.01922014-04-29
USD0.04212014-03-28
20130.48%USD 0.042USD0.04152013-12-17