DELAWARE REIT FUND CLASS C(DPRCX) USD 12.04
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.51%USD 0.061USD0.0612023-03-22
202213.01%USD 1.567USD1.3572022-12-16
USD0.0892022-09-22
USD0.0832022-06-22
USD0.0382022-03-22
20215.96%USD 0.718USD0.642021-12-17
USD0.0392021-09-22
USD0.0352021-06-22
USD0.0042021-03-22
20200.71%USD 0.086USD0.0162020-12-18
USD0.0122020-09-22
USD0.0442020-06-22
USD0.0142020-03-20
20193.31%USD 0.399USD0.3182019-12-19
USD0.0042019-09-20
USD0.0352019-06-21
USD0.0422019-03-22
20181.10%USD 0.132USD0.0342018-12-21
USD0.0562018-09-21
USD0.0282018-06-22
USD0.0142018-03-22
20172.96%USD 0.356USD0.2572017-12-22
USD0.0352017-09-22
USD0.0352017-06-22
USD0.0292017-03-22
201624.56%USD 2.957USD2.8532016-12-22
USD0.0162016-09-22
USD0.0452016-06-22
USD0.0432016-03-22
201514.28%USD 1.719USD1.6432015-12-22
USD0.0362015-09-22
USD0.0252015-06-22
USD0.0152015-03-20
20147.46%USD 0.898USD0.7722014-12-22
USD0.0422014-09-22
USD0.0432014-06-20
USD0.0412014-03-21
20134.78%USD 0.575USD0.4622013-12-20
USD0.0432013-09-20
USD0.0392013-06-21
USD0.0312013-03-22
20121.00%USD 0.12USD0.0182012-12-21
USD0.0322012-09-21
USD0.0382012-06-22
USD0.0322012-03-22
20110.85%USD 0.102USD0.0212011-12-22
USD0.0292011-09-22
USD0.0242011-06-22
USD0.0282011-03-22
20100.87%USD 0.105USD0.012010-12-22
USD0.032010-09-22
USD0.0292010-06-22
USD0.0362010-03-22
20091.69%USD 0.203USD0.0242009-12-22
USD0.0442009-09-22
USD0.0632009-06-22
USD0.0722009-03-20
20081.93%USD 0.232USD0.0532008-12-22
USD0.0642008-09-22
USD0.0612008-06-20
USD0.0542008-03-20
200731.81%USD 3.83USD3.6562007-12-21
USD0.0582007-09-21
USD0.0582007-06-22
USD0.0582007-03-22
200656.89%USD 6.849USD6.6752006-12-21
USD0.0582006-09-22
USD0.0582006-06-22
USD0.0582006-03-22
20052.75%USD 0.331USD0.1272005-12-22
USD0.0682005-09-22
USD0.0682005-06-22
USD0.0682005-03-22
200418.19%USD 2.19USD1.9262004-12-22
USD0.0882004-09-22
USD0.0882004-06-22
USD0.0882004-03-22
20037.62%USD 0.918USD0.6362003-12-22
USD0.0942003-09-22
USD0.0942003-06-20
USD0.0942003-03-21
20026.68%USD 0.804USD0.5282002-12-20
USD0.0922002-09-20
USD0.0922002-06-21
USD0.0922002-03-22
20017.52%USD 0.905USD0.622001-12-21
USD0.0952001-09-21
USD0.0952001-06-22
USD0.0952001-03-22
20003.85%USD 0.463USD0.1782000-12-22
USD0.0952000-09-22
USD0.0952000-06-22
USD0.0952000-03-22