Destinations Low Duration Fixed Income Fund Class Z(DLDZX) USD 9.42
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.50%USD 0.047USD0.04732023-03-30
20225.61%USD 0.528USD0.213772022-12-29
USD0.005922022-12-15
USD0.032552022-11-29
USD0.034462022-10-27
USD0.043112022-09-29
USD0.035822022-08-29
USD0.036132022-07-28
USD0.031392022-06-29
USD0.038992022-05-26
USD0.027992022-04-28
USD0.028072022-03-30
20214.28%USD 0.403USD0.13652021-12-29
USD0.008512021-12-16
USD0.029562021-11-29
USD0.029382021-10-28
USD0.03882021-09-29
USD0.021932021-08-30
USD0.022992021-07-29
USD0.02662021-06-29
USD0.021112021-05-27
USD0.027592021-04-29
USD0.026782021-03-30
USD0.013122021-02-25
20204.68%USD 0.441USD0.05892020-12-31
USD0.05892020-12-29
USD0.026682020-11-25
USD0.026652020-10-29
USD0.033592020-09-29
USD0.030892020-08-28
USD0.028172020-07-30
USD0.03362020-06-29
USD0.031312020-05-28
USD0.036062020-04-29
USD0.031232020-03-30
USD0.033492020-02-27
USD0.01162020-01-30
20193.77%USD 0.355USD0.044552019-12-27
USD0.029462019-11-26
USD0.027672019-10-30
USD0.026542019-09-26
USD0.030352019-08-29
USD0.02952019-07-30
USD0.033762019-06-27
USD0.031612019-05-30
USD0.030982019-04-29
USD0.027522019-03-28
USD0.027382019-02-27
USD0.01592019-01-30
20181.25%USD 0.117USD0.041162018-12-27
USD0.028912018-11-29
USD0.028422018-10-30
USD0.0192018-09-27