DREYFUS FLOATING RATE INCOME FUND CLASS C(DFLCX) USD 10.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.97%USD 0.106USD0.0552023-03-01
USD0.0512023-02-01
20224.35%USD 0.475USD0.10962022-12-21
USD0.0512022-12-01
USD0.0462022-11-01
USD0.0442022-10-03
USD0.0392022-09-01
USD0.0292022-08-01
USD0.0262022-07-01
USD0.0262022-06-01
USD0.0262022-05-02
USD0.0252022-04-01
USD0.0252022-03-01
USD0.0282022-02-01
20213.30%USD 0.36USD0.05672021-12-21
USD0.0272021-12-01
USD0.0282021-11-01
USD0.0292021-10-01
USD0.0312021-09-01
USD0.0292021-08-02
USD0.0282021-07-01
USD0.0282021-06-01
USD0.0282021-05-03
USD0.0262021-04-01
USD0.0242021-03-01
USD0.0252021-02-01
20203.71%USD 0.405USD0.0542020-12-22
USD0.0312020-12-01
USD0.0282020-11-02
USD0.0292020-10-01
USD0.0292020-09-01
USD0.032020-08-03
USD0.0312020-07-01
USD0.0292020-06-01
USD0.0262020-05-01
USD0.0432020-04-01
USD0.0362020-03-02
USD0.0392020-02-03
20194.73%USD 0.516USD0.0612019-12-23
USD0.042019-12-02
USD0.0422019-11-01
USD0.0432019-10-01
USD0.0462019-09-03
USD0.0452019-08-01
USD0.0422019-07-01
USD0.0382019-06-03
USD0.0412019-05-01
USD0.0372019-04-01
USD0.0412019-03-01
USD0.042019-02-01
20184.26%USD 0.465USD0.0922018-12-21
USD0.042018-12-03
USD0.0362018-11-01
USD0.0352018-10-01
USD0.0362018-09-04
USD0.0362018-08-01
USD0.0352018-07-02
USD0.0322018-06-01
USD0.0332018-05-01
USD0.0312018-04-02
USD0.0312018-03-01
USD0.0282018-02-01
20172.93%USD 0.32USD0.0362017-12-26
USD0.0282017-12-01
USD0.0282017-11-01
USD0.0122017-10-02
USD0.0332017-09-01
USD0.0292017-08-01
USD0.0282017-07-03
USD0.0282017-06-01
USD0.0262017-05-01
USD0.0252017-04-03
USD0.0242017-03-01
USD0.0232017-02-01
20163.42%USD 0.373USD0.032016-12-27
USD0.0282016-12-01
USD0.0312016-11-01
USD0.0292016-10-03
USD0.0312016-09-01
USD0.032016-08-01
USD0.0312016-07-01
USD0.0322016-06-01
USD0.0332016-05-02
USD0.0332016-04-01
USD0.0322016-03-01
USD0.0332016-02-01
20153.82%USD 0.417USD0.0462015-12-28
USD0.0332015-12-01
USD0.0342015-11-02
USD0.0332015-10-01
USD0.0332015-09-01
USD0.0332015-08-03
USD0.0362015-07-01
USD0.042015-06-01
USD0.0322015-05-01
USD0.0332015-04-01
USD0.0312015-03-02
USD0.0332015-02-02
20143.10%USD 0.338USD0.05132014-12-26
USD0.0312014-12-01
USD0.032014-11-03
USD0.032014-10-01
USD0.0282014-09-02
USD0.0282014-08-01
USD0.0282014-07-01
USD0.0262014-06-02
USD0.0242014-05-01
USD0.0212014-04-01
USD0.0212014-03-03
USD0.022014-02-03
20130.38%USD 0.041USD0.0242013-12-31
USD0.0132013-12-02
USD0.0042013-11-01