GLOBAL ALLOCATION 25/75 PORTFOLIO GLOBAL ALLOCATION 25/75 PORTFOLIO - INSITUTIONAL CLASS(DGTSX) USD 13.59
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.68%USD 0.364USD0.219442022-12-14
USD0.071042022-09-29
USD0.057572022-06-29
USD0.016392022-03-30
20213.78%USD 0.514USD0.411792021-12-15
USD0.051482021-09-29
USD0.041372021-06-29
USD0.009212021-03-30
20202.25%USD 0.306USD0.244052020-12-16
USD0.020412020-09-29
USD0.021762020-06-29
USD0.019672020-03-30
20192.60%USD 0.354USD0.236882019-12-17
USD0.034622019-09-27
USD0.067522019-06-27
USD0.014782019-03-28
20182.82%USD 0.384USD0.271512018-12-18
USD0.049562018-09-27
USD0.060872018-06-28
USD0.001792018-03-28
20171.99%USD 0.271USD0.142662017-12-15
USD0.029492017-09-28
USD0.060362017-06-29
USD0.038542017-03-30
20161.76%USD 0.239USD0.120742016-12-15
USD0.026782016-09-29
USD0.051342016-06-29
USD0.040362016-03-30
20151.38%USD 0.187USD0.063842015-12-16
USD0.123372015-03-09
20141.89%USD 0.257USD0.146152014-12-16
USD0.032014-09-09
USD0.05542014-06-09
USD0.02592014-03-10
20131.38%USD 0.187USD0.1032013-12-12
USD0.0282013-09-10
USD0.0472013-06-10
USD0.0092013-03-08
20121.58%USD 0.215USD0.1012012-12-13
USD0.0322012-09-10
USD0.0672012-06-08
USD0.0152012-03-08
20111.91%USD 0.259USD0.1092011-12-13
USD0.0512011-09-08
USD0.0522011-06-08
USD0.0472011-03-08
20101.71%USD 0.232USD0.0912010-12-09
USD0.0652010-09-08
USD0.0552010-06-08
USD0.0212010-03-09
20092.27%USD 0.308USD0.1412009-12-09
USD0.12009-09-09
USD0.0652009-06-09
USD0.0022009-03-10
20082.44%USD 0.331USD0.1822008-12-10
USD0.1072008-09-09
USD0.0332008-06-10
USD0.0092008-03-10
20073.03%USD 0.412USD0.2392007-12-19
USD0.1652007-09-10
USD0.0082007-06-08
20061.35%USD 0.183USD0.1582006-12-18
USD0.0112006-06-08
USD0.0142006-03-08
20053.19%USD 0.433USD0.32005-12-19
USD0.052005-09-08
USD0.052005-06-08
USD0.0332005-03-08
20040.29%USD 0.04USD0.042004-12-20