BARON ASSET FUND BARON ASSET FUND(BARAX) USD 91.61
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.01%USD 0.006USD0.0062022-07-26
20219.80%USD 8.982USD8.9822021-11-23
20203.70%USD 3.394USD3.39412020-11-24
20191.67%USD 1.533USD1.50442019-11-26
USD0.02852019-07-25
20185.17%USD 4.732USD4.7322018-11-29
20175.39%USD 4.941USD4.94132017-11-28
20163.08%USD 2.824USD2.8042016-11-29
USD0.022016-06-28
20157.18%USD 6.574USD6.57392015-12-03
20144.55%USD 4.166USD4.16562014-12-02
20136.11%USD 5.601USD5.60072013-11-26
20124.10%USD 3.757USD3.7572012-11-29
20118.48%USD 7.767USD7.7672011-11-29
20100.84%USD 0.772USD0.7722010-12-14
20090.62%USD 0.572USD0.5722009-05-28
20082.24%USD 2.048USD2.0482008-12-22
20072.27%USD 2.078USD2.0782007-12-20
20065.11%USD 4.684USD4.6842006-11-20
20053.07%USD 2.81USD2.812005-11-22
20043.27%USD 2.993USD2.9932004-11-23
20021.28%USD 1.177USD1.1772002-11-21
20014.44%USD 4.067USD4.0672001-11-15
20005.04%USD 4.614USD4.6142000-11-16