ONE CHOICE PORTFOLIO: CONSERVATIVE INVESTOR CLASS(AOCIX) USD 12.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.40%USD 0.049USD0.04912023-03-28
20229.22%USD 1.12USD0.97282022-12-28
USD0.03492022-09-27
USD0.06682022-06-28
USD0.04522022-03-29
202110.01%USD 1.215USD1.11072021-12-28
USD0.03042021-09-28
USD0.04822021-06-29
USD0.02582021-03-30
20206.36%USD 0.773USD0.67622020-12-29
USD0.02392020-09-29
USD0.03892020-06-23
USD0.03352020-03-24
20195.52%USD 0.67USD0.55152019-12-30
USD0.02952019-09-24
USD0.04562019-06-25
USD0.04332019-03-26
20187.24%USD 0.879USD0.2082018-12-31
USD0.54642018-12-27
USD0.03652018-09-25
USD0.05632018-06-26
USD0.03182018-03-27
20173.57%USD 0.433USD0.32622017-12-28
USD0.03712017-09-26
USD0.04392017-06-27
USD0.02622017-03-28
20163.08%USD 0.374USD0.28032016-12-29
USD0.02742016-09-27
USD0.04142016-06-28
USD0.02512016-03-22
20157.14%USD 0.867USD0.78672015-12-30
USD0.02512015-09-29
USD0.03082015-06-23
USD0.02412015-03-24
20143.39%USD 0.412USD0.26992014-12-30
USD0.04912014-09-23
USD0.05442014-06-17
USD0.03862014-03-25
20131.77%USD 0.215USD0.11042013-12-30
USD0.03642013-09-24
USD0.04062013-06-18
USD0.02752013-03-26
20122.03%USD 0.247USD0.11282012-12-28
USD0.04792012-09-25
USD0.05412012-06-19
USD0.03172012-03-27
20112.15%USD 0.262USD0.11692011-12-29
USD0.05472011-09-27
USD0.05122011-06-21
USD0.03872011-03-29
20101.98%USD 0.241USD0.09542010-12-30
USD0.05482010-09-28
USD0.04932010-06-22
USD0.04142010-03-30
20091.87%USD 0.227USD0.08162009-12-30
USD0.06082009-09-22
USD0.04432009-06-23
USD0.04052009-03-24
20084.58%USD 0.556USD0.32982008-12-30
USD0.09342008-09-23
USD0.08332008-06-24
USD0.04942008-03-25
20074.02%USD 0.488USD0.30742007-12-14
USD0.08232007-09-18
USD0.06962007-06-19
USD0.02872007-03-20
20063.05%USD 0.371USD0.21622006-12-15
USD0.06362006-09-19
USD0.06052006-06-20
USD0.03032006-03-21
20052.57%USD 0.312USD0.19952005-12-16
USD0.04972005-09-20
USD0.0432005-06-21
USD0.01942005-03-22
20041.63%USD 0.198USD0.19822004-12-17