Brown Advisory Sustainable Bond Fund - Institutional Shares(BAISX) USD 8.79
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.49%USD 0.043USD0.020942023-02-28
USD0.022022023-01-31
20222.10%USD 0.185USD0.021182022-12-27
USD0.018742022-11-30
USD0.016272022-10-31
USD0.016832022-09-30
USD0.016392022-08-31
USD0.014282022-07-29
USD0.015072022-06-30
USD0.013482022-05-31
USD0.017072022-04-29
USD0.014432022-03-31
USD0.010462022-02-28
USD0.010392022-01-31
20213.23%USD 0.284USD0.012872021-12-27
USD0.14222021-12-14
USD0.012312021-11-30
USD0.010362021-10-29
USD0.009392021-09-30
USD0.012012021-08-31
USD0.011662021-07-30
USD0.012132021-06-30
USD0.011392021-05-28
USD0.011632021-04-30
USD0.015972021-03-31
USD0.010832021-02-26
USD0.011262021-01-29
20204.90%USD 0.431USD0.0152020-12-23
USD0.205762020-12-15
USD0.013292020-11-30
USD0.015272020-10-30
USD0.018112020-09-30
USD0.016622020-08-31
USD0.019632020-07-31
USD0.020692020-06-30
USD0.019862020-05-29
USD0.020692020-04-30
USD0.024432020-03-31
USD0.019392020-02-28
USD0.022382020-01-31
20194.74%USD 0.417USD0.02612019-12-20
USD0.116772019-12-16
USD0.020212019-11-29
USD0.027032019-10-31
USD0.023672019-09-30
USD0.025182019-08-30
USD0.028552019-07-31
USD0.023612019-06-28
USD0.025992019-05-31
USD0.02682019-04-30
USD0.025432019-03-29
USD0.022922019-02-28
USD0.024362019-01-31
20181.63%USD 0.143USD0.026172018-12-21
USD0.022042018-11-30
USD0.02682018-10-31
USD0.021082018-09-28
USD0.022172018-08-31
USD0.024692018-07-31