DELAWARE EMERGING MARKETS FUND INSTITUTIONAL CLASS(DEMIX) USD 17.87
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.80%USD 0.322USD0.3222022-12-16
20214.66%USD 0.833USD0.2392021-12-31
USD0.5942021-12-17
20201.03%USD 0.184USD0.1842020-12-18
20190.92%USD 0.165USD0.1652019-12-19
20180.61%USD 0.109USD0.1092018-12-21
20172.04%USD 0.365USD0.3652017-12-22
20160.77%USD 0.137USD0.1372016-12-22
20150.21%USD 0.038USD0.0382015-12-22
20142.54%USD 0.454USD0.4542014-12-22
20130.86%USD 0.154USD0.1542013-12-20
20120.79%USD 0.142USD0.1422012-12-21
20111.71%USD 0.306USD0.3062011-12-22
20100.67%USD 0.12USD0.122010-12-22
20090.17%USD 0.031USD0.0312009-12-22
20084.89%USD 0.874USD0.8742008-12-22
200732.26%USD 5.764USD5.7642007-12-21
200632.84%USD 5.869USD5.8692006-12-21
20051.73%USD 0.31USD0.312005-12-22
20042.84%USD 0.508USD0.5082004-12-22
20031.26%USD 0.225USD0.2252003-12-22
20021.07%USD 0.191USD0.1912002-12-20
20010.83%USD 0.148USD0.1482001-12-21
20000.26%USD 0.047USD0.0472000-12-22