FAM EQUITY-INCOME FUND INVESTOR CLASS(FAMEX) USD 46.38
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.05%USD 0.025USD0.0252023-03-29
20221.32%USD 0.611USD0.58892022-12-29
USD0.01112022-09-29
USD0.0112022-03-29
20211.54%USD 0.714USD0.69862021-12-28
USD0.0152021-09-29
20201.99%USD 0.922USD0.8442020-12-29
USD0.0152020-09-29
USD0.0282020-06-29
USD0.0352020-03-30
20192.45%USD 1.138USD0.99422019-12-27
USD0.0422019-09-27
USD0.0582019-06-27
USD0.0442019-03-28
20180.86%USD 0.401USD0.21952018-12-27
USD0.0462018-09-28
USD0.082018-06-28
USD0.0552018-03-28
20170.46%USD 0.212USD0.0642017-12-28
USD0.0412017-09-28
USD0.0472017-06-29
USD0.062017-03-30
20165.11%USD 2.369USD2.168872016-12-29
USD0.0572016-09-29
USD0.0682016-06-29
USD0.0752016-03-30
20152.70%USD 1.252USD1.056532015-12-29
USD0.0692015-09-29
USD0.0662015-06-29
USD0.062015-03-30
20142.55%USD 1.184USD0.996462014-12-30
USD0.0652014-09-29
USD0.0652014-06-27
USD0.0582014-03-28
20132.73%USD 1.268USD1.095292013-12-27
USD0.0592013-09-27
USD0.0642013-06-27
USD0.052013-03-28
20123.06%USD 1.422USD1.23652012-12-28
USD0.062012-09-28
USD0.062012-06-29
USD0.0652012-03-29
20110.60%USD 0.279USD0.0632011-12-29
USD0.0672011-09-29
USD0.1032011-06-29
USD0.0462011-03-31
20100.78%USD 0.36USD0.06032010-12-29
USD0.182010-09-29
USD0.0472010-06-29
USD0.0732010-03-30
20090.36%USD 0.168USD0.062009-12-29
USD0.0362009-09-29
USD0.032009-06-29
USD0.0422009-03-30
20080.53%USD 0.246USD0.04942008-12-30
USD0.112008-09-29
USD0.0422008-06-27
USD0.0452008-03-27
20073.78%USD 1.751USD1.5922007-12-27
USD0.0382007-09-27
USD0.1022007-06-28
USD0.0192007-03-29
20062.86%USD 1.325USD1.20532006-12-28
USD0.042006-09-28
USD0.0472006-06-29
USD0.0332006-03-29
20050.29%USD 0.134USD0.02962005-12-29
USD0.0422005-09-29
USD0.0352005-06-29
USD0.0272005-03-30
20040.74%USD 0.343USD0.21532004-12-29
USD0.0332004-09-29
USD0.072004-06-29
USD0.0252004-03-30
20030.66%USD 0.304USD0.21232003-12-30
USD0.0252003-09-29
USD0.0332003-06-27
USD0.0342003-03-28
20020.52%USD 0.242USD0.156672002-12-27
USD0.0292002-09-27
USD0.0242002-06-27
USD0.0322002-03-27
20011.46%USD 0.679USD0.02642001-12-27
USD0.0452001-09-27
USD0.542001-06-28
USD0.0682001-03-29
20001.95%USD 0.905USD0.69812000-12-15
USD0.0592000-09-28
USD0.0632000-06-29
USD0.0852000-03-30