DELAWARE REIT FUND INSTITUTIONAL CLASS(DPRSX) USD 12.17
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.66%USD 0.08USD0.082023-03-22
202213.99%USD 1.703USD1.392022-12-16
USD0.1232022-09-22
USD0.1192022-06-22
USD0.0712022-03-22
20217.13%USD 0.868USD0.6752021-12-17
USD0.0772021-09-22
USD0.0732021-06-22
USD0.0432021-03-22
20201.72%USD 0.209USD0.0482020-12-18
USD0.0442020-09-22
USD0.0722020-06-22
USD0.0452020-03-20
20194.04%USD 0.492USD0.3182019-12-19
USD0.0372019-09-20
USD0.0662019-06-21
USD0.0712019-03-22
20182.37%USD 0.288USD0.0532018-12-21
USD0.0862018-09-21
USD0.0762018-06-22
USD0.0732018-03-22
20173.62%USD 0.441USD0.2572017-12-22
USD0.0652017-09-22
USD0.0632017-06-22
USD0.0562017-03-22
201625.38%USD 3.089USD2.8772016-12-22
USD0.0542016-09-22
USD0.0812016-06-22
USD0.0772016-03-22
201515.28%USD 1.86USD1.6692015-12-22
USD0.0732015-09-22
USD0.0642015-06-22
USD0.0542015-03-20
20148.47%USD 1.031USD0.7982014-12-22
USD0.082014-09-22
USD0.0792014-06-20
USD0.0742014-03-21
20135.86%USD 0.713USD0.4962013-12-20
USD0.0772013-09-20
USD0.0752013-06-21
USD0.0652013-03-22
20122.03%USD 0.247USD0.052012-12-21
USD0.0662012-09-21
USD0.0692012-06-22
USD0.0622012-03-22
20111.75%USD 0.213USD0.0482011-12-22
USD0.0572011-09-22
USD0.0532011-06-22
USD0.0552011-03-22
20101.64%USD 0.2USD0.0362010-12-22
USD0.0542010-09-22
USD0.0532010-06-22
USD0.0572010-03-22
20092.22%USD 0.27USD0.0442009-12-22
USD0.0622009-09-22
USD0.0782009-06-22
USD0.0862009-03-20
20082.78%USD 0.338USD0.0722008-12-22
USD0.0932008-09-22
USD0.0912008-06-20
USD0.0822008-03-20
200732.93%USD 4.008USD3.6872007-12-21
USD0.1072007-09-21
USD0.1072007-06-22
USD0.1072007-03-22
200658.05%USD 7.065USD6.7412006-12-21
USD0.1082006-09-22
USD0.1082006-06-22
USD0.1082006-03-22
20054.46%USD 0.543USD0.1922005-12-22
USD0.1172005-09-22
USD0.1172005-06-22
USD0.1172005-03-22
200419.61%USD 2.386USD1.9842004-12-22
USD0.1342004-09-22
USD0.1342004-06-22
USD0.1342004-03-22
20038.86%USD 1.078USD0.6912003-12-22
USD0.1292003-09-22
USD0.1292003-06-20
USD0.1292003-03-21
20027.86%USD 0.956USD0.5692002-12-20
USD0.1292002-09-20
USD0.1292002-06-21
USD0.1292002-03-22
20018.65%USD 1.053USD0.672001-12-21
USD0.12752001-09-21
USD0.12752001-06-22
USD0.12752001-03-22
20004.87%USD 0.593USD0.212000-12-22
USD0.12752000-09-22
USD0.12752000-06-22
USD0.12752000-03-22