INTERNATIONAL STOCK FUND CLASS A(DISAX) USD 23.32
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.89%USD 0.44USD0.44012022-12-13
20210.61%USD 0.142USD0.14192021-12-14
20202.93%USD 0.683USD0.68262020-12-14
20192.04%USD 0.477USD0.47682019-12-31
20180.98%USD 0.229USD0.22872018-12-31
20170.55%USD 0.129USD0.12942017-12-29
20160.54%USD 0.126USD0.12612016-12-30
20150.53%USD 0.124USD0.1242015-12-31
20140.63%USD 0.146USD0.1462014-12-31
20130.77%USD 0.18USD0.17972013-12-31
20120.81%USD 0.19USD0.192012-12-31
20110.50%USD 0.116USD0.1162011-12-30
20100.37%USD 0.087USD0.0872010-12-31
20090.39%USD 0.091USD0.0912009-12-31
20080.36%USD 0.085USD0.0852008-12-31
20070.45%USD 0.106USD0.1062007-12-28