CRM MID CAP VALUE FUND INSTITUTIONAL(CRIMX) USD 22.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.31%USD 0.988USD0.98792022-12-08
202121.98%USD 5.036USD5.03582021-12-09
20202.15%USD 0.492USD0.49162020-12-10
20192.94%USD 0.674USD0.673952019-12-12
20188.27%USD 1.896USD1.895692018-12-13
201719.09%USD 4.373USD4.372792017-12-14
20163.97%USD 0.909USD0.908662016-12-08
201534.60%USD 7.926USD7.926192015-12-10
201435.89%USD 8.221USD8.221432014-12-11
201326.51%USD 6.073USD6.072572013-12-12
20121.75%USD 0.401USD0.401272012-12-12
20110.88%USD 0.202USD0.202122011-12-14
20100.73%USD 0.168USD0.167822010-12-14
20090.51%USD 0.118USD0.117742009-12-15
20081.24%USD 0.283USD0.283242008-12-17
200714.27%USD 3.268USD3.268452007-12-17
20068.11%USD 1.859USD1.85892006-12-18
20054.51%USD 1.033USD1.03342005-12-15
20045.03%USD 1.153USD1.15282004-12-16
20030.11%USD 0.025USD0.02462003-12-16
20020.34%USD 0.078USD0.07832002-12-17
20015.13%USD 1.176USD1.17642001-12-18