VICTORY SYCAMORE ESTABLISHED VALUE FUND (FORMERLY VICTORY ESTABLISHED VALUE FUND) CLASS R(GETGX) USD 44.52
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.10%USD 0.045USD0.045432023-03-21
20227.77%USD 3.461USD0.158622022-12-21
USD2.944752022-12-14
USD0.122332022-09-19
USD0.143832022-06-22
USD0.091842022-03-22
20218.81%USD 3.922USD0.29292021-12-22
USD3.309362021-12-16
USD0.063542021-09-20
USD0.161992021-06-22
USD0.094692021-03-22
20204.63%USD 2.062USD0.115012020-12-22
USD1.668172020-12-16
USD0.084712020-09-23
USD0.075672020-06-24
USD0.118382020-03-25
20195.05%USD 2.249USD0.13292019-12-23
USD1.89642019-12-17
USD0.06172019-09-25
USD0.085782019-06-25
USD0.072622019-03-26
20187.49%USD 3.336USD0.098562018-12-26
USD3.050172018-12-19
USD0.0632018-09-25
USD0.05482018-06-26
USD0.06962018-03-26
20172.60%USD 1.159USD0.071582017-12-26
USD0.99292017-12-20
USD0.029472017-09-26
USD0.032892017-06-27
USD0.031812017-03-28
20161.07%USD 0.478USD0.396412016-12-28
USD0.023612016-09-28
USD0.027942016-06-28
USD0.030122016-03-29
20157.78%USD 3.465USD3.314252015-12-29
USD0.032682015-09-28
USD0.06922015-06-26
USD0.049262015-03-27
201410.91%USD 4.859USD4.752952014-12-29
USD0.036812014-09-26
USD0.039032014-06-26
USD0.030162014-03-26
20135.49%USD 2.443USD2.381822013-12-26
USD0.022952013-09-26
USD0.027052013-06-26
USD0.010782013-03-26
20121.97%USD 0.877USD0.793512012-12-27
USD0.040692012-09-26
USD0.029982012-06-27
USD0.013142012-03-28
20111.84%USD 0.818USD0.750972011-12-27
USD0.023392011-09-27
USD0.011622011-06-27
USD0.03212011-03-28
20104.22%USD 1.877USD1.814482010-12-29
USD0.017912010-09-28
USD0.002512010-07-29
USD0.01542010-06-29
USD0.02712010-03-30
20091.07%USD 0.475USD0.39722009-12-23
USD0.01762009-09-29
USD0.03072009-06-23
USD0.02932009-03-24
20080.28%USD 0.125USD0.05952008-12-23
USD0.02352008-09-24
USD0.01462008-06-25
USD0.02742008-03-26
20077.22%USD 3.216USD0.00322007-12-26
USD3.18512007-11-14
USD0.01272007-06-27
USD0.01492007-03-28
200612.07%USD 5.376USD0.04622006-12-27
USD5.2042006-11-15
USD0.02742006-09-26
USD0.03052006-06-27
USD0.06742006-03-28
20056.82%USD 3.036USD0.0092005-12-28
USD3.02232005-11-16
USD0.0052005-09-27
20046.59%USD 2.932USD0.02462004-12-28
USD2.90752004-11-16
20035.13%USD 2.282USD0.03952003-12-22
USD2.20342003-11-14
USD0.01512003-09-25
USD0.02422003-03-20
20020.18%USD 0.079USD0.03232002-12-26
USD0.01712002-09-19
USD0.0152002-06-20
USD0.01492002-03-21
200112.85%USD 5.72USD0.0382001-12-20
USD5.61612001-11-15
USD0.01462001-09-20
USD0.01152001-06-21
USD0.03992001-03-22
20005.99%USD 2.666USD0.04612000-12-21
USD2.55282000-11-17
USD0.00962000-09-21
USD0.01942000-06-22
USD0.03772000-03-24