INFLATION-ADJUSTED BOND FUND R CLASS(AIARX) USD 10.85
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.59%USD 0.715USD0.5182022-12-21
USD0.19672022-06-21
20214.70%USD 0.51USD0.39862021-12-21
USD0.11142021-06-22
20200.85%USD 0.092USD0.09182020-06-16
20192.40%USD 0.26USD0.16932019-12-20
USD0.05612019-06-18
USD0.0182019-03-29
USD0.0172019-02-28
20182.52%USD 0.273USD0.11592018-12-20
USD0.15712018-06-19
20171.79%USD 0.194USD0.06892017-12-26
USD0.1252017-06-20
20161.68%USD 0.182USD0.09922016-12-27
USD0.01532016-12-13
USD0.06752016-06-21
20150.50%USD 0.054USD0.04552015-12-28
USD0.00862015-06-09
20141.17%USD 0.127USD0.00582014-12-23
USD0.04152014-12-09
USD0.07992014-06-10
20133.59%USD 0.39USD0.09622013-12-23
USD0.2782013-12-06
USD0.01572013-06-11
20123.17%USD 0.344USD0.14522012-12-26
USD0.11282012-12-07
USD0.0862012-06-12
20114.86%USD 0.527USD0.22782011-12-27
USD0.12282011-12-09
USD0.17622011-06-14
20102.45%USD 0.265USD0.05742010-12-28
USD0.0662010-12-10
USD0.1422010-06-15