Gateway Fund Class N(GTENX) USD 37.72
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.28%USD 0.107USD0.10692023-03-24
20220.88%USD 0.333USD0.0882022-12-21
USD0.08562022-09-26
USD0.09372022-06-24
USD0.06612022-03-24
20210.76%USD 0.288USD0.04932021-12-21
USD0.08872021-09-24
USD0.07962021-06-24
USD0.07032021-03-24
20201.08%USD 0.408USD0.09032020-12-18
USD0.09232020-09-24
USD0.11282020-06-24
USD0.11242020-03-25
20191.26%USD 0.475USD0.10652019-12-18
USD0.12362019-09-25
USD0.11722019-06-25
USD0.12792019-03-26
20181.23%USD 0.464USD0.11282018-12-19
USD0.11342018-09-25
USD0.11082018-06-26
USD0.12652018-03-26
20170.83%USD 0.315USD0.06412017-12-20
USD0.13692017-09-28
USD0.11352017-06-28