CONSERVATIVE ALLOCATION FUND INVESTOR(GFIZX) USD 10.62
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.55%USD 0.483USD0.15992022-12-23
USD0.323022022-12-09
20214.10%USD 0.435USD0.18652021-12-27
USD0.24892021-12-10
20203.25%USD 0.345USD0.16762020-12-28
USD0.17772020-12-11
20194.85%USD 0.515USD0.23642019-12-27
USD0.27862019-12-13
20183.34%USD 0.355USD0.3452018-12-26
USD0.00992018-12-14
20171.72%USD 0.183USD0.02442017-12-26
USD0.15852017-12-15
20161.19%USD 0.127USD0.12692016-12-29
20157.26%USD 0.771USD0.14972015-12-29
USD0.62142015-12-18
20143.92%USD 0.416USD0.19232014-12-30
USD0.22352014-12-19
20138.26%USD 0.877USD0.17262013-12-30
USD0.70432013-12-20
20122.36%USD 0.25USD0.22012012-12-28
USD0.03032012-12-21
20113.50%USD 0.372USD0.19432011-12-28
USD0.17722011-12-16
20103.18%USD 0.338USD0.26422010-12-28
USD0.07332010-12-17
20095.98%USD 0.636USD0.17742009-12-29
USD0.33572009-12-18
USD0.12242009-04-29
20089.07%USD 0.964USD0.41982008-12-29
USD0.54382008-12-19
20079.16%USD 0.973USD0.43672007-12-27
USD0.53582007-12-21
20065.31%USD 0.564USD0.4152006-12-28
USD0.14932006-12-18
20052.98%USD 0.316USD0.3162005-12-29