DIREXION MONTHLY HIGH YIELD BULL 1.2X FUND INVESTOR CLASS(DXHYX) USD 16.47
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20232.95%USD 0.486USD0.276722023-03-16
USD0.106182023-02-16
USD0.103162023-01-18
202212.16%USD 2.002USD0.095142022-11-16
USD0.002952022-10-18
USD0.196212022-09-16
USD0.035122022-08-16
USD0.546642022-06-16
USD0.055222022-04-19
USD0.191652022-03-16
USD0.788322022-02-16
USD0.091122022-01-19
20212.68%USD 0.441USD0.011812021-11-16
USD0.055672021-10-18
USD0.046692021-09-16
USD0.043552021-08-17
USD0.035452021-07-16
USD0.029432021-06-16
USD0.033212021-05-18
USD0.025032021-04-16
USD0.048962021-03-16
USD0.111362021-02-17
20208.16%USD 1.343USD0.011812020-11-17
USD0.002882020-10-16
USD0.131992020-09-16
USD0.056612020-08-18
USD0.037152020-07-16
USD0.068872020-06-16
USD0.115432020-05-18
USD0.075772020-04-16
USD0.743332020-03-17
USD0.012762020-02-19
USD0.086642020-01-02
201913.48%USD 2.22USD0.046912019-11-18
USD0.064222019-10-16
USD0.089332019-09-17
USD0.076792019-07-16
USD0.040172019-06-18
USD0.080642019-05-16
USD0.127962019-04-16
USD0.126812019-03-18
USD0.126512019-02-19
USD1.440842019-01-02
20186.65%USD 1.096USD0.119012018-11-16
USD0.11692018-10-16
USD0.108952018-09-18
USD0.06452018-08-16
USD0.047642018-07-17
USD0.039252018-06-18
USD0.044062018-05-16
USD0.01722018-04-17
USD0.131032018-03-16
USD0.081342018-02-16
USD0.325752018-01-02
20175.18%USD 0.854USD0.170892017-11-16
USD0.058032017-10-17
USD0.065752017-09-18
USD0.065672017-08-16
USD0.059542017-07-18
USD0.056382017-06-16
USD0.06542017-05-16
USD0.05942017-04-18
USD0.077452017-03-16
USD0.052162017-02-16
USD0.1232017-01-03
20164.67%USD 0.769USD0.243052016-12-01
USD0.077052016-11-16
USD0.063082016-10-18
USD0.062052016-09-16
USD0.050442016-08-16
USD0.060912016-06-16
USD0.060562016-05-17
USD0.151922016-04-18