EMERGING MARKETS VALUE PORTFOLIO EMERGING MARKETS VALUE PORTFOLIO - INSTITUTIONAL CLASS(DFEVX) USD 28.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.28%USD 0.08USD0.079742023-03-30
20224.18%USD 1.175USD0.337682022-12-14
USD0.636212022-09-29
USD0.126422022-06-29
USD0.074562022-03-30
202124.55%USD 6.91USD6.282982021-12-15
USD0.510362021-09-29
USD0.052942021-06-29
USD0.063392021-03-30
20202.51%USD 0.706USD0.221122020-12-16
USD0.354452020-09-29
USD0.130852020-06-29
20193.34%USD 0.941USD0.248692019-12-30
USD0.2722019-12-17
USD0.36812019-09-27
USD0.05232019-06-27
20182.37%USD 0.668USD0.00652018-12-31
USD0.31422018-12-18
USD0.34732018-09-27
20172.71%USD 0.763USD0.3632017-12-15
USD0.3372017-09-28
USD0.06292017-06-29
20161.69%USD 0.476USD0.12632016-12-15
USD0.11252016-09-29
USD0.18192016-06-29
USD0.0552016-03-30
20151.85%USD 0.521USD0.30672015-12-16
USD0.21382015-09-09
20142.40%USD 0.675USD0.31462014-12-16
USD0.31162014-09-09
USD0.04892014-06-09
20133.78%USD 1.064USD0.66852013-12-12
USD0.15792013-09-10
USD0.23582013-06-10
USD0.00152013-03-08
20123.81%USD 1.073USD0.74942012-12-13
USD0.18192012-09-10
USD0.14192012-06-08
20113.57%USD 1.004USD0.59752011-12-13
USD0.23982011-09-08
USD0.16692011-06-08
20107.30%USD 2.055USD1.76362010-12-09
USD0.11392010-09-08
USD0.17792010-06-08
20093.70%USD 1.042USD0.79632009-12-09
USD0.08392009-09-09
USD0.14392009-06-09
USD0.0182009-03-10
200813.31%USD 3.746USD2.99952008-12-10
USD0.29482008-09-09
USD0.39472008-06-10
USD0.0572008-03-10
20076.23%USD 1.753USD1.2352007-12-19
USD0.19182007-09-10
USD0.24682007-06-08
USD0.07892007-03-08
20063.29%USD 0.925USD0.48962006-12-18
USD0.21182006-09-08
USD0.16092006-06-08
USD0.06292006-03-08
20052.71%USD 0.763USD0.41262005-12-19
USD0.10992005-09-08
USD0.20982005-06-08
USD0.03082005-03-08
20041.27%USD 0.359USD0.18582004-12-20
USD0.09192004-09-08
USD0.08092004-06-08
20030.64%USD 0.18USD0.17992003-12-22
20020.76%USD 0.214USD0.21432002-12-16
20012.40%USD 0.676USD0.67642001-12-17