ASHMORE EMERGING MARKETS HARD CURRENCY DEBT FUND CLASS A(ESDAX) USD 8.63
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.07%USD 0.092USD0.02972023-03-24
USD0.02942023-02-22
USD0.03292023-01-20
20223.85%USD 0.332USD0.055492022-12-16
USD0.023032022-11-22
USD0.0272022-10-26
USD0.027362022-09-23
USD0.027992022-08-24
USD0.027412022-07-22
USD0.023152022-06-23
USD0.022822022-05-25
USD0.025432022-04-22
USD0.024162022-03-24
USD0.020222022-02-23
USD0.028172022-01-21
20214.12%USD 0.355USD0.002432021-12-31
USD0.019642021-12-17
USD0.019482021-11-23
USD0.028242021-10-26
USD0.026292021-09-24
USD0.022492021-08-24
USD0.023792021-07-23
USD0.028772021-06-24
USD0.034952021-05-25
USD0.034672021-04-23
USD0.036332021-03-24
USD0.037022021-02-23
USD0.041172021-01-22
20202.80%USD 0.242USD0.063332020-12-18
USD0.03332020-11-24
USD0.037072020-10-27
USD0.035882020-09-25
USD0.030992020-08-25
USD0.033082020-07-24
USD0.00812020-06-25