AAM/BAHL & GAYNOR INCOME GROWTH FUND CLASS C(AFYCX) USD 21.94
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.37%USD 0.081USD0.041382023-03-30
USD0.036752023-02-27
USD0.003022023-01-30
20223.70%USD 0.812USD0.652322022-12-23
USD0.023222022-11-23
USD0.002832022-10-28
USD0.033182022-09-29
USD0.01632022-08-30
USD0.006942022-07-28
USD0.028832022-07-01
USD0.016552022-05-27
USD0.027462022-03-30
USD0.004012022-01-28
20211.03%USD 0.227USD0.112152021-12-29
USD0.010372021-11-24
USD0.004512021-10-28
USD0.022782021-09-29
USD0.002542021-08-30
USD0.008292021-07-29
USD0.022872021-07-01
USD0.002632021-05-28
USD0.005382021-04-29
USD0.020922021-03-30
USD0.008372021-02-25
USD0.006242021-01-28
20200.82%USD 0.181USD0.019072020-12-30
USD0.017692020-11-25
USD0.007962020-10-29
USD0.020642020-09-29
USD0.013342020-08-28
USD0.006642020-07-30
USD0.024672020-07-01
USD0.02442020-05-28
USD0.020022020-03-30
USD0.023282020-02-27
USD0.003072020-01-30
20191.15%USD 0.253USD0.078242019-12-30
USD0.032122019-11-27
USD1.0E-52019-10-30
USD0.014182019-09-27
USD0.027742019-08-29
USD0.00292019-07-30
USD0.008642019-07-01
USD0.039082019-05-30
USD0.008732019-03-28
USD0.034822019-02-27
USD0.006892019-01-30
20180.79%USD 0.172USD0.011342018-12-28
USD0.031472018-11-29
USD0.004142018-10-31
USD0.0092018-09-28
USD0.028122018-08-30
USD0.004212018-07-31
USD0.013752018-07-02
USD0.032012018-05-31
USD0.016582018-03-29
USD0.021862018-02-28
20170.64%USD 0.14USD0.006492017-12-28
USD0.02742017-11-29
USD0.00232017-10-31
USD0.00212017-09-29
USD0.02882017-08-30
USD0.00652017-07-03
USD0.02542017-05-31
USD0.01552017-03-30
USD0.02162017-02-28
USD0.00372017-01-30
20160.65%USD 0.142USD0.008022016-12-29
USD0.0272016-11-29
USD0.00862016-09-29
USD0.02342016-08-30
USD0.00142016-07-29
USD0.01322016-07-01
USD0.02112016-05-27
USD0.01632016-03-30
USD0.02322016-02-26
20150.99%USD 0.218USD0.107042015-12-03
USD0.0192015-11-27
USD0.00012015-10-29
USD0.01312015-09-29
USD0.02152015-08-28
USD0.00482015-06-29
USD0.0212015-05-28
USD0.01452015-03-30
USD0.0142015-02-26
USD0.00262015-01-29
20140.68%USD 0.15USD0.05792014-12-03
USD0.00322014-11-25
USD0.00192014-10-30
USD0.0242014-09-29
USD0.00232014-08-28
USD0.00012014-07-30
USD0.01312014-07-01
USD0.01412014-05-29
USD0.00312014-04-29
USD0.0272014-03-28
USD0.00212014-02-27
USD0.00142014-01-30
20130.79%USD 0.174USD0.07222013-12-04
USD0.00722013-11-26
USD0.00212013-10-30
USD0.01822013-09-27
USD0.01412013-08-29
USD0.01752013-07-01
USD0.00142013-05-30
USD0.00712013-04-29
USD0.01232013-03-27
USD0.0222013-02-27