BALANCED FUND RETAIL CLASS(FLDFX) USD 11.79
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.34%USD 0.04USD0.042023-03-31
20223.67%USD 0.432USD0.10142022-12-29
USD0.200472022-11-30
USD0.09032022-09-30
USD0.042022-06-30
20211.33%USD 0.157USD0.0672021-12-30
USD0.092021-09-30
20200.65%USD 0.077USD0.00252020-12-30
USD0.03442020-09-30
USD0.042020-06-30
20191.49%USD 0.175USD0.085362019-12-13
USD0.042019-09-30
USD0.032019-06-28
USD0.022019-03-29
20181.32%USD 0.156USD0.032982018-12-28
USD0.05792018-12-12
USD0.0252018-09-28
USD0.032018-06-28
USD0.012018-03-29
20175.98%USD 0.705USD0.051122017-12-29
USD0.599352017-12-11
USD0.022017-09-29
USD0.0152017-06-30
USD0.022017-03-31
20161.01%USD 0.119USD0.039312016-12-30
USD0.022016-10-31
USD0.02992016-09-30
USD0.022016-06-30
USD0.012016-03-31
20151.11%USD 0.131USD0.02822015-12-31
USD0.05232015-12-16
USD0.022015-09-30
USD0.022015-06-30
USD0.012015-03-31
20148.97%USD 1.057USD0.04882014-12-31
USD0.78362014-12-10
USD0.18962014-09-30
USD0.022014-06-30
USD0.0152014-03-31
20137.92%USD 0.933USD0.05862013-12-31
USD0.84472013-12-18
USD0.022013-09-30
USD0.012013-06-28
20120.65%USD 0.077USD0.0772012-12-31
20112.03%USD 0.239USD0.0832011-12-30
USD0.022011-09-30
USD0.1362011-01-03
20100.23%USD 0.027USD0.0272010-04-30
20090.26%USD 0.031USD0.0312009-12-31
20080.62%USD 0.073USD0.0732008-12-31
20070.62%USD 0.073USD0.0532007-12-31
USD0.022007-06-29
20060.63%USD 0.074USD0.0742006-12-29