INFLATION-ADJUSTED BOND FUND A CLASS(AIAVX) USD 10.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.88%USD 0.743USD0.53272022-12-21
USD0.21062022-06-21
20215.02%USD 0.542USD0.41592021-12-21
USD0.12652021-06-22
20201.07%USD 0.116USD0.012020-12-22
USD0.10572020-06-16
20192.36%USD 0.255USD0.18512019-12-20
USD0.06952019-06-18
20182.79%USD 0.301USD0.13082018-12-20
USD0.17052018-06-19
20172.06%USD 0.223USD0.08432017-12-26
USD0.13872017-06-20
20161.96%USD 0.211USD0.11452016-12-27
USD0.01532016-12-13
USD0.08152016-06-21
20150.77%USD 0.083USD0.06142015-12-28
USD0.02132015-06-09
20141.61%USD 0.174USD0.02222014-12-23
USD0.04152014-12-09
USD0.10982014-06-10
20133.89%USD 0.42USD0.11252013-12-23
USD0.2782013-12-06
USD0.02962013-06-11
20123.49%USD 0.377USD0.16332012-12-26
USD0.11282012-12-07
USD0.10092012-06-12
20115.11%USD 0.552USD0.24562011-12-27
USD0.12282011-12-09
USD0.18392011-06-14
20102.73%USD 0.295USD0.07982010-12-28
USD0.0662010-12-10
USD0.14932010-06-15
20091.37%USD 0.148USD0.1482009-12-29
20085.31%USD 0.573USD0.2642008-09-16
USD0.2042008-06-17
USD0.1052008-03-18
20074.12%USD 0.445USD0.0682007-12-28
USD0.0122007-09-28
USD0.0372007-08-31
USD0.0732007-07-31
USD0.0822007-06-29
USD0.1052007-05-31
USD0.0682007-04-30
20063.50%USD 0.378USD0.0322006-10-31
USD0.0452006-09-29
USD0.0332006-08-31
USD0.0612006-07-31
USD0.1032006-06-30
USD0.0682006-05-31
USD0.0352006-04-28
USD0.0012006-01-31
20055.50%USD 0.594USD0.0352005-12-30
USD0.03152005-12-06
USD0.1332005-11-30
USD0.0592005-10-31
USD0.0592005-09-30
USD0.0152005-08-31
USD0.0022005-07-29
USD0.0792005-06-30
USD0.0872005-05-31
USD0.0712005-04-29
USD0.0062005-03-31
USD0.0162005-01-31
20044.23%USD 0.457USD0.0642004-12-31
USD0.03072004-12-07
USD0.0132004-10-29
USD0.0412004-08-31
USD0.0692004-07-30
USD0.0432004-06-30
USD0.0692004-05-28
USD0.0682004-04-30
USD0.0542004-03-31
USD0.0042004-02-27
USD0.0012004-01-30
20034.09%USD 0.441USD0.0032003-12-31
USD0.08422003-12-09
USD0.0432003-11-28
USD0.0532003-10-31
USD0.0222003-09-30
USD0.0212003-08-29
USD0.0732003-05-30
USD0.0882003-04-30
USD0.0542003-03-31