BRANDES EMERGING MARKETS VALUE FUND CLASS C(BEMCX) USD 7.61
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.17%USD 0.165USD0.029752022-09-30
USD0.083062022-06-30
USD0.052512022-03-31
20212.27%USD 0.173USD0.066222021-12-31
USD0.053642021-09-30
USD0.05282021-06-30
20200.79%USD 0.06USD0.009232020-09-30
USD0.051212020-06-30
20192.01%USD 0.153USD0.051322019-12-31
USD0.073892019-09-30
USD0.018812019-06-28
USD0.009272019-03-29
20180.68%USD 0.052USD0.035082018-09-28
USD0.0172018-06-29
20170.35%USD 0.027USD0.026862017-12-29
20161.17%USD 0.089USD0.055052016-12-30
USD0.01232016-09-30
USD0.021442016-06-30
20150.62%USD 0.047USD0.0322015-09-30
USD0.015142015-06-30
20143.67%USD 0.279USD0.035672014-12-31
USD0.230312014-12-05
USD0.011852014-09-30
USD0.001182014-06-30
20134.14%USD 0.315USD0.027012013-12-31
USD0.214032013-12-06
USD0.020762013-09-30
USD0.053192013-06-28