UNCONSTRAINED EMERGING MARKETS BOND FUND CLASS Y(EMBYX) USD 5.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.44%USD 0.078USD0.02912023-03-23
USD0.02592023-02-22
USD0.02292023-01-25
20227.26%USD 0.393USD0.02482022-12-21
USD0.02732022-11-17
USD0.03032022-10-20
USD0.03712022-09-22
USD0.03642022-08-25
USD0.03372022-07-21
USD0.03712022-06-23
USD0.04422022-05-19
USD0.03422022-04-21
USD0.03792022-03-24
USD0.02282022-02-17
USD0.02672022-01-20
20216.06%USD 0.328USD0.02882021-12-22
USD0.03582021-11-18
USD0.02742021-10-21
USD0.0252021-09-23
USD0.03092021-08-26
USD0.02512021-07-22
USD0.00362021-06-24
USD0.02822021-05-20
USD0.032021-04-22
USD0.03282021-03-25
USD0.02882021-02-18
USD0.03162021-01-21
20208.12%USD 0.44USD0.01612020-12-22
USD0.0292020-11-20
USD0.02842020-10-23
USD0.02772020-09-23
USD0.02922020-08-21
USD0.03242020-07-23
USD0.03222020-06-23
USD0.02892020-05-21
USD0.03722020-04-23
USD0.05442020-03-23
USD0.06082020-02-21
USD0.06322020-01-23
20199.74%USD 0.527USD0.05872019-12-23
USD0.05062019-11-21
USD0.04862019-10-23
USD0.04152019-09-23
USD0.03682019-08-23
USD0.05742019-07-23
USD0.0532019-06-21
USD0.05272019-05-23
USD0.032019-04-23
USD0.03452019-03-22
USD0.02182019-02-21
USD0.04142019-01-23
20188.10%USD 0.438USD0.0422018-12-21
USD0.032018-11-21
USD0.0312018-10-23
USD0.0352018-09-21
USD0.0392018-08-23
USD0.0432018-07-23
USD0.0272018-06-22
USD0.0462018-05-23
USD0.0332018-04-23
USD0.0442018-03-22
USD0.0452018-02-21
USD0.0232018-01-23
201710.09%USD 0.546USD0.0612017-12-21
USD0.0442017-11-21
USD0.0782017-10-24
USD0.0512017-09-22
USD0.0472017-08-23
USD0.0322017-07-21
USD0.0372017-06-23
USD0.0532017-05-23
USD0.0482017-04-21
USD0.0412017-03-23
USD0.0342017-02-22
USD0.022017-01-23
20164.88%USD 0.264USD0.0222016-12-22
USD0.0122016-11-22
USD0.0172016-10-21
USD0.0232016-09-22
USD0.0272016-08-23
USD0.0162016-07-22
USD0.0462016-06-23
USD0.0282016-05-23
USD0.0282016-04-22
USD0.0182016-03-22
USD0.0152016-02-23
USD0.0122016-01-22
20158.48%USD 0.459USD0.0442015-12-22
USD0.0392015-11-23
USD0.0372015-10-22
USD0.0412015-09-22
USD0.062015-08-21
USD0.0662015-07-22
USD0.0612015-06-23
USD0.0332015-05-22
USD0.0182015-04-22
USD0.0182015-03-23
USD0.0222015-02-23
USD0.022015-01-23
201410.06%USD 0.544USD0.0462014-12-23
USD0.0352014-11-20
USD0.0442014-10-24
USD0.0482014-09-23
USD0.0422014-08-22
USD0.0462014-07-24
USD0.0442014-06-23
USD0.0462014-05-22
USD0.052014-04-23
USD0.0492014-03-24
USD0.0432014-02-20
USD0.0512014-01-24
201310.28%USD 0.556USD0.0562013-12-23
USD0.0552013-11-21
USD0.0552013-10-22
USD0.0542013-09-23
USD0.0412013-08-21
USD0.042013-07-23
USD0.042013-06-21
USD0.0432013-05-21
USD0.0362013-04-23
USD0.0512013-03-21
USD0.052013-02-21
USD0.0352013-01-23
20125.77%USD 0.312USD0.1352012-12-21
USD0.0612012-11-21
USD0.0422012-10-23
USD0.032012-09-21
USD0.0442012-08-21