NT INTERNATIONAL VALUE FUND INSTITUTIONAL CLASS(ANTYX) USD 10.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.14%USD 0.122USD0.12172022-04-19
20219.82%USD 1.052USD1.05172021-12-21
20202.79%USD 0.299USD0.29852020-12-22
20193.99%USD 0.427USD0.42712019-12-17
20183.27%USD 0.35USD0.34992018-12-18
20173.54%USD 0.38USD0.37952017-12-19
20162.67%USD 0.286USD0.28642016-12-20
20151.95%USD 0.209USD0.2092015-12-22