Power Floating Rate Index Fund(FLOTX) USD 9.58
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.79%USD 0.075USD0.07532023-03-30
20221.56%USD 0.149USD0.06122022-12-27
USD0.0512022-09-29
USD0.01342022-06-29
USD0.02352022-03-30
20212.23%USD 0.214USD0.0422021-12-28
USD0.05492021-09-29
USD0.05682021-06-29
USD0.06042021-03-30
20202.53%USD 0.243USD0.10892020-12-28
USD0.07042020-09-29
USD0.02092020-06-29
USD0.04252020-03-30
20193.90%USD 0.374USD0.11172019-12-26
USD0.09852019-09-27
USD0.10622019-06-27
USD0.05752019-03-28
20183.32%USD 0.318USD0.08422018-12-26
USD0.08752018-09-27
USD0.08272018-06-28
USD0.06322018-03-28