BTS Managed Income Fund Class R Shares(BTSRX) USD 9.23
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.95%USD 0.18USD0.10032022-12-28
USD0.03992022-09-29
USD0.03692022-06-29
USD0.00292022-03-30
20210.99%USD 0.091USD0.03532021-12-29
USD0.01042021-09-29
USD0.03082021-06-29
USD0.01492021-03-30
20201.51%USD 0.139USD0.06072020-12-29
USD0.00392020-09-29
USD0.05992020-06-29
USD0.01452020-03-30
20192.22%USD 0.205USD0.10942019-12-24
USD0.04992019-09-27
USD0.04582019-06-27