DEUTSCHE GNMA FUND CLASS A(GGGGX) USD 11.89
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.88%USD 0.105USD0.03572023-03-24
USD0.03582023-02-21
USD0.03372023-01-24
20221.61%USD 0.192USD0.03022022-12-08
USD0.02782022-11-22
USD0.01882022-10-24
USD0.01782022-09-23
USD0.01572022-08-24
USD0.01472022-07-22
USD0.01382022-06-23
USD0.01172022-05-23
USD0.01082022-04-22
USD0.01072022-03-24
USD0.00982022-02-18
USD0.00972022-01-24
20211.31%USD 0.156USD0.00972021-12-08
USD0.00982021-11-22
USD0.00972021-10-22
USD0.00982021-09-23
USD0.00972021-08-24
USD0.01192021-07-23
USD0.01192021-06-23
USD0.01292021-05-21
USD0.0132021-04-23
USD0.01732021-03-24
USD0.02012021-02-19
USD0.01992021-01-22
20202.32%USD 0.276USD0.01992020-12-08
USD0.022020-11-20
USD0.01992020-10-23
USD0.022020-09-23
USD0.02442020-08-24
USD0.02442020-07-24
USD0.02452020-06-23
USD0.02452020-05-21
USD0.02462020-04-23
USD0.02452020-03-24
USD0.02462020-02-21
USD0.02452020-01-24
20193.13%USD 0.373USD0.02862019-12-09
USD0.02852019-11-21
USD0.03252019-10-24
USD0.03252019-09-23
USD0.03252019-08-23
USD0.03152019-07-24
USD0.03162019-06-21
USD0.03152019-05-23
USD0.03162019-04-23
USD0.03062019-03-22
USD0.03072019-02-21
USD0.03062019-01-24
20182.79%USD 0.331USD0.03062018-12-10
USD0.03072018-11-23
USD0.02862018-10-24
USD0.02472018-09-21
USD0.02162018-08-24
USD0.02172018-07-24
USD0.02172018-06-22
USD0.03072018-05-23
USD0.03072018-04-23
USD0.03072018-03-22
USD0.02982018-02-21
USD0.02972018-01-24
20173.21%USD 0.381USD0.02972017-12-08
USD0.03042017-11-22
USD0.03042017-10-24
USD0.03142017-09-22
USD0.03142017-08-24
USD0.03342017-07-24
USD0.03342017-06-23
USD0.03222017-05-11
USD0.03222017-04-21
USD0.03222017-03-24
USD0.03242017-02-21
USD0.03222017-01-24
20163.10%USD 0.368USD0.03222016-12-08
USD0.03222016-11-22
USD0.03212016-10-24
USD0.03212016-09-23
USD0.0322016-08-24
USD0.02952016-07-22
USD0.02962016-06-23
USD0.02972016-05-23
USD0.02982016-04-22
USD0.02972016-03-23
USD0.02982016-02-22
USD0.02972016-01-22
20153.71%USD 0.442USD0.03422015-12-08
USD0.03432015-11-20
USD0.03422015-10-23
USD0.03432015-09-23
USD0.03422015-08-24
USD0.03422015-07-24
USD0.03932015-06-23
USD0.03932015-05-21
USD0.03942015-04-23
USD0.03932015-03-24
USD0.03952015-02-20
USD0.03932015-01-23
20144.29%USD 0.51USD0.03942014-12-09
USD0.03932014-11-20
USD0.03932014-10-24
USD0.04332014-09-23
USD0.04322014-08-22
USD0.04322014-07-24
USD0.04332014-06-23
USD0.04362014-05-22
USD0.04372014-04-23
USD0.04372014-03-24
USD0.04392014-02-21
USD0.04372014-01-24
20134.39%USD 0.522USD0.04382013-12-09
USD0.04432013-11-21
USD0.04422013-10-24
USD0.04442013-09-23
USD0.04442013-08-23
USD0.04342013-07-24
USD0.04152013-06-21
USD0.04132013-05-23
USD0.04132013-04-23
USD0.04122013-03-21
USD0.04642013-02-21
USD0.04622013-01-24
20125.71%USD 0.679USD0.04612012-12-10
USD0.05012012-11-23
USD0.05592012-10-24
USD0.05582012-09-21
USD0.05562012-08-24
USD0.05962012-07-24
USD0.05962012-06-22
USD0.05922012-05-23
USD0.05922012-04-23
USD0.05912012-03-23
USD0.05932012-02-22
USD0.0592012-01-24
20115.77%USD 0.687USD0.05752011-12-08
USD0.05782011-11-22
USD0.05772011-10-24
USD0.05832011-09-23
USD0.05822011-08-24
USD0.05722011-07-22
USD0.05732011-06-23
USD0.05722011-05-23
USD0.05632011-04-21
USD0.05632011-03-24
USD0.05652011-02-18
USD0.05622011-01-24
20105.75%USD 0.683USD0.05622010-12-08
USD0.05732010-11-22
USD0.05722010-10-22
USD0.05732010-09-23
USD0.05722010-08-24
USD0.05722010-07-23
USD0.05732010-06-23
USD0.05792010-05-21
USD0.05642010-04-23
USD0.05642010-03-24
USD0.05652010-02-19
USD0.05642010-01-22
20096.00%USD 0.713USD0.05892009-12-09
USD0.0592009-11-20
USD0.0622009-10-23
USD0.0622009-09-23
USD0.0622009-08-24
USD0.06192009-07-24
USD0.072009-06-23
USD0.06992009-05-21
USD0.07032009-04-23
USD0.07022009-03-24
USD0.06712009-02-20