CRM ALL CAP VALUE FUND INSTITUTIONAL SHARES(CRIEX) USD 6.52
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.32%USD 0.477USD0.47732022-12-08
202126.85%USD 1.751USD1.75072021-12-09
20203.45%USD 0.225USD0.22482020-12-10
20196.68%USD 0.436USD0.435792019-12-12
201824.29%USD 1.583USD1.583482018-12-13
201722.35%USD 1.457USD1.457412017-12-14
20166.43%USD 0.419USD0.4192016-12-08
201536.93%USD 2.408USD2.40772015-12-10
201443.01%USD 2.805USD2.80452014-12-11
201317.97%USD 1.171USD1.171472013-12-12
20122.42%USD 0.158USD0.157572012-12-12
20113.36%USD 0.219USD0.218982011-12-14
20090.24%USD 0.015USD0.015422009-12-15
20080.35%USD 0.023USD0.02262008-12-17
20073.74%USD 0.244USD0.244022007-12-17
20060.62%USD 0.04USD0.0172006-12-28
USD0.02312006-12-18