STERLING CAPITAL EQUITY INCOME FUND INSTITUTIONAL CLASS(BEGIX) USD 25.82
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.36%USD 0.093USD0.09322023-03-30
20228.38%USD 2.163USD0.102572022-12-29
USD1.744192022-12-07
USD0.098832022-09-29
USD0.088712022-06-29
USD0.129012022-03-30
20213.34%USD 0.863USD0.104792021-12-30
USD0.481772021-12-08
USD0.098622021-09-29
USD0.081712021-06-29
USD0.096382021-03-30
20201.55%USD 0.4USD0.073272020-12-30
USD0.089312020-09-29
USD0.096942020-06-29
USD0.140592020-03-30
20195.00%USD 1.29USD0.08472019-12-30
USD0.84192019-12-11
USD0.10652019-09-27
USD0.10972019-06-27
USD0.147372019-03-28
20187.25%USD 1.871USD0.068272018-12-28
USD1.516642018-12-12
USD0.1062018-09-27
USD0.109282018-06-28
USD0.071132018-03-28
20179.13%USD 2.356USD0.104972017-12-28
USD1.948182017-12-13
USD0.093442017-09-28
USD0.104762017-06-29
USD0.105042017-03-30
20161.50%USD 0.388USD0.121072016-12-29
USD0.021952016-12-07
USD0.072962016-09-29
USD0.084062016-06-29
USD0.087652016-03-30
20155.69%USD 1.468USD0.112792015-12-30
USD1.095732015-12-09
USD0.091722015-09-29
USD0.092132015-06-29
USD0.075742015-03-30
20143.47%USD 0.896USD0.114092014-12-30
USD0.51252014-12-10
USD0.071462014-09-29
USD0.098652014-06-27
USD0.099382014-03-28
20133.55%USD 0.917USD0.085862013-12-30
USD0.62522013-12-11
USD0.060312013-09-27
USD0.069032013-06-27
USD0.077032013-03-27
20121.63%USD 0.42USD0.089022012-12-28
USD0.162222012-12-11
USD0.052822012-09-27
USD0.058942012-06-28
USD0.056662012-03-29
20110.93%USD 0.24USD0.056842011-12-29
USD0.066922011-09-29
USD0.058142011-06-29
USD0.058292011-03-30
20100.88%USD 0.227USD0.041952010-12-30
USD0.072192010-09-29
USD0.066262010-06-29
USD0.046442010-03-30
20090.95%USD 0.245USD0.087282009-12-30
USD0.062082009-09-29
USD0.062122009-06-29
USD0.033582009-03-30
20081.27%USD 0.329USD0.071132008-12-31
USD0.120852008-09-30
USD0.065422008-06-30
USD0.071752008-03-31
20073.78%USD 0.977USD0.090472007-12-31
USD0.57752007-12-12
USD0.092172007-09-28
USD0.089282007-06-29
USD0.12772007-03-30
20063.89%USD 1.004USD0.04582006-12-29
USD0.679642006-12-13
USD0.081832006-09-29
USD0.111472006-06-30
USD0.085472006-03-31
20051.14%USD 0.294USD0.072282005-12-30
USD0.094732005-09-30
USD0.06452005-06-30
USD0.062832005-03-31
20040.45%USD 0.116USD0.050922004-12-31
USD0.021472004-12-10
USD0.0442004-09-29