FINANCIAL INDUSTRIES FUND CLASS A(FIDAX) USD 13.77
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202212.12%USD 1.67USD1.669582022-12-19
202132.38%USD 4.459USD4.459252021-12-17
20207.27%USD 1.002USD1.001752020-12-18
201910.54%USD 1.451USD1.4512019-12-13
20188.82%USD 1.215USD1.215132018-12-14
201711.95%USD 1.645USD1.645272017-12-15
20169.42%USD 1.297USD1.29662016-12-16
20151.14%USD 0.157USD0.156962015-12-16
20140.67%USD 0.092USD0.092472014-12-16
20130.37%USD 0.051USD0.050982013-12-16
20120.26%USD 0.036USD0.035562012-12-17
20110.86%USD 0.118USD0.117762011-12-15
20100.11%USD 0.015USD0.014952010-12-20
20090.29%USD 0.04USD0.039892009-12-14
20080.88%USD 0.121USD0.120922008-12-16
200729.19%USD 4.02USD3.923012007-11-29
USD0.0972007-11-28
200620.76%USD 2.859USD2.715812006-11-21
USD0.1432006-11-20
200510.91%USD 1.503USD1.438972005-11-22
USD0.0642005-11-21
20044.64%USD 0.638USD0.451462004-11-23
USD0.1192004-11-22
USD0.0682004-08-30
20012.59%USD 0.357USD0.356982001-11-14