U.S. CORE EQUITY 2 PORTFOLIO U.S. CORE EQUITY 2 PORTFOLIO - INSTITUTIONAL CLASS(DFQTX) USD 28.66
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.37%USD 0.105USD0.104752023-03-30
20224.20%USD 1.203USD0.888852022-12-12
USD0.108712022-09-29
USD0.107372022-06-29
USD0.097592022-03-30
20215.46%USD 1.565USD1.278952021-12-13
USD0.107662021-09-29
USD0.092962021-06-29
USD0.085452021-03-30
20201.22%USD 0.349USD0.088452020-12-14
USD0.083012020-09-29
USD0.088712020-06-29
USD0.088672020-03-30
20192.89%USD 0.829USD0.573012019-12-16
USD0.088922019-09-27
USD0.088282019-06-27
USD0.078812019-03-28
20181.88%USD 0.538USD0.336792018-12-17
USD0.088172018-09-27
USD0.07992018-06-28
USD0.033412018-03-28
20171.90%USD 0.544USD0.321732017-12-14
USD0.079442017-09-28
USD0.07492017-06-29
USD0.068192017-03-30
20161.48%USD 0.425USD0.213572016-12-14
USD0.061722016-09-29
USD0.072362016-06-29
USD0.076862016-03-30
20152.16%USD 0.618USD0.424762015-12-15
USD0.070012015-09-09
USD0.069062015-06-08
USD0.054012015-03-09
20141.32%USD 0.379USD0.21052014-12-15
USD0.06372014-09-09
USD0.06322014-06-09
USD0.04182014-03-10
20131.31%USD 0.375USD0.2332013-12-11
USD0.0572013-09-10
USD0.0552013-06-10
USD0.032013-03-08
20121.09%USD 0.313USD0.1922012-12-12
USD0.0482012-09-10
USD0.0522012-06-08
USD0.0212012-03-08
20110.52%USD 0.15USD0.0562011-12-12
USD0.0382011-09-08
USD0.0352011-06-08
USD0.0212011-03-08
20100.51%USD 0.145USD0.0592010-12-08
USD0.0392010-09-08
USD0.0282010-06-08
USD0.0192010-03-09
20090.45%USD 0.13USD0.0282009-12-08
USD0.0162009-10-26
USD0.02792009-09-09
USD0.03092009-06-09
USD0.0272009-03-10
20080.65%USD 0.187USD0.03692008-12-09
USD0.03092008-10-27
USD0.04592008-09-09
USD0.04192008-06-10
USD0.03092008-03-10
20070.60%USD 0.171USD0.0172007-12-19
USD0.04292007-11-26
USD0.04292007-09-10
USD0.04292007-06-08
USD0.0252007-03-08
20060.57%USD 0.162USD0.0492006-12-18
USD0.03792006-11-27
USD0.02982006-09-08
USD0.03082006-06-08
USD0.01492006-03-08
20050.16%USD 0.047USD0.04682005-12-19