DEUTSCHE GNMA FUND INSTITUTIONAL CLASS(GIGGX) USD 11.9
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.95%USD 0.113USD0.03842023-03-24
USD0.03822023-02-21
USD0.03642023-01-24
20221.86%USD 0.221USD0.03292022-12-08
USD0.03022022-11-22
USD0.02122022-10-24
USD0.02022022-09-23
USD0.01822022-08-24
USD0.01732022-07-22
USD0.01622022-06-23
USD0.01412022-05-23
USD0.01312022-04-22
USD0.01312022-03-24
USD0.01212022-02-18
USD0.01222022-01-24
20211.59%USD 0.189USD0.01222021-12-08
USD0.01222021-11-22
USD0.01232021-10-22
USD0.01222021-09-23
USD0.01232021-08-24
USD0.01452021-07-23
USD0.01442021-06-23
USD0.01612021-05-21
USD0.01612021-04-23
USD0.02042021-03-24
USD0.0232021-02-19
USD0.02312021-01-22
20202.63%USD 0.313USD0.02312020-12-08
USD0.02322020-11-20
USD0.02322020-10-23
USD0.02322020-09-23
USD0.02772020-08-24
USD0.02782020-07-24
USD0.02772020-06-23
USD0.02752020-05-21
USD0.02742020-04-23
USD0.02752020-03-24
USD0.02742020-02-21
USD0.02752020-01-24
20193.41%USD 0.405USD0.03152019-12-09
USD0.03132019-11-21
USD0.03532019-10-24
USD0.03532019-09-23
USD0.03532019-08-23
USD0.03432019-07-24
USD0.03432019-06-21
USD0.03422019-05-23
USD0.03422019-04-23
USD0.03322019-03-22
USD0.03312019-02-21
USD0.03322019-01-24
20183.03%USD 0.361USD0.03322018-12-10
USD0.03322018-11-23
USD0.03122018-10-24
USD0.02722018-09-21
USD0.02432018-08-24
USD0.02432018-07-24
USD0.02422018-06-22
USD0.0332018-05-23
USD0.0332018-04-23
USD0.0332018-03-22
USD0.0322018-02-21
USD0.03212018-01-24
20173.56%USD 0.423USD0.03212017-12-08
USD0.03392017-11-22
USD0.0342017-10-24
USD0.0352017-09-22
USD0.0352017-08-24
USD0.03712017-07-24
USD0.0372017-06-23
USD0.03582017-05-11
USD0.03582017-04-21
USD0.03582017-03-24
USD0.03582017-02-21
USD0.03592017-01-24
20163.46%USD 0.412USD0.03592016-12-08
USD0.03622016-11-22
USD0.03632016-10-24
USD0.03632016-09-23
USD0.03632016-08-24
USD0.03382016-07-22
USD0.03382016-06-23
USD0.03272016-05-23
USD0.03272016-04-22
USD0.03272016-03-23
USD0.03272016-02-22
USD0.03272016-01-22
20154.04%USD 0.48USD0.03722015-12-08
USD0.03742015-11-20
USD0.03742015-10-23
USD0.03742015-09-23
USD0.03742015-08-24
USD0.03742015-07-24
USD0.04242015-06-23
USD0.04282015-05-21
USD0.04272015-04-23
USD0.04282015-03-24
USD0.04272015-02-20
USD0.04282015-01-23
20144.61%USD 0.548USD0.04292014-12-09
USD0.04252014-11-20
USD0.04252014-10-24
USD0.04642014-09-23
USD0.04652014-08-22
USD0.04652014-07-24
USD0.04652014-06-23
USD0.04692014-05-22
USD0.04692014-04-23
USD0.04692014-03-24
USD0.04682014-02-21
USD0.04692014-01-24
20134.70%USD 0.56USD0.0472013-12-09
USD0.04732013-11-21
USD0.04732013-10-24
USD0.04732013-09-23
USD0.04742013-08-23
USD0.04652013-07-24
USD0.04452013-06-21
USD0.04452013-05-23
USD0.04442013-04-23
USD0.04452013-03-21
USD0.04932013-02-21
USD0.04952013-01-24
20126.07%USD 0.723USD0.04942012-12-10
USD0.05342012-11-23
USD0.05942012-10-24
USD0.05922012-09-21
USD0.05912012-08-24
USD0.0632012-07-24
USD0.06292012-06-22
USD0.06332012-05-23
USD0.06322012-04-23
USD0.06322012-03-23
USD0.06322012-02-22
USD0.06322012-01-24
20116.17%USD 0.734USD0.06172011-12-08
USD0.06162011-11-22
USD0.06172011-10-24
USD0.06212011-09-23
USD0.06212011-08-24
USD0.06122011-07-22
USD0.06112011-06-23
USD0.06142011-05-23
USD0.06032011-04-21
USD0.06032011-03-24
USD0.06022011-02-18
USD0.06032011-01-24
20106.01%USD 0.716USD0.06032010-12-08
USD0.06012010-11-22
USD0.06022010-10-22
USD0.06012010-09-23
USD0.06022010-08-24
USD0.06022010-07-23
USD0.06012010-06-23
USD0.06022010-05-21
USD0.05862010-04-23
USD0.05862010-03-24
USD0.05852010-02-19
USD0.05862010-01-22
20096.22%USD 0.74USD0.06112009-12-09
USD0.06112009-11-20
USD0.06422009-10-23
USD0.06412009-09-23
USD0.06422009-08-24
USD0.06412009-07-24
USD0.07212009-06-23
USD0.07222009-05-21
USD0.07212009-04-23
USD0.07242009-03-24
USD0.0722009-02-20