INVESCO REAL ESTATE FUND CLASS C(IARCX) USD 16.54
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.25%USD 0.041USD0.04062023-03-23
20229.73%USD 1.61USD1.60292022-12-14
USD0.00392022-09-22
USD0.00172022-06-23
USD0.00152022-03-24
20217.14%USD 1.181USD1.142021-12-14
USD0.00132021-09-23
USD0.01482021-06-24
USD0.02532021-03-25
20207.16%USD 1.184USD0.0322020-12-11
USD0.03152020-09-17
USD0.0332020-06-18
USD1.04742020-04-15
USD0.03962020-03-19
201910.80%USD 1.786USD1.65192019-12-13
USD0.04292019-09-19
USD0.04712019-06-20
USD0.04362019-03-21
20187.50%USD 1.241USD1.15342018-12-14
USD0.03172018-09-13
USD0.03412018-06-21
USD0.02152018-03-22
20176.68%USD 1.105USD1.02892017-12-13
USD0.0162017-09-14
USD0.02282017-06-15
USD0.03762017-03-16
201619.48%USD 3.222USD3.14612016-12-13
USD0.01172016-09-15
USD0.01962016-06-16
USD0.04462016-03-17
20150.59%USD 0.098USD0.0682015-12-11
USD0.01832015-09-17
USD0.01122015-06-18
20146.68%USD 1.104USD1.06642014-12-12
USD0.00192014-09-18
USD0.00942014-06-19
USD0.02642014-03-20
201317.70%USD 2.928USD2.87112013-12-13
USD0.02142013-09-19
USD0.00942013-06-20
USD0.02652013-03-21
201212.74%USD 2.107USD2.10732012-12-07
20110.16%USD 0.026USD0.00012011-09-15
USD0.00042011-06-16
USD0.02542011-03-17
20101.20%USD 0.199USD0.03872010-12-03
USD0.042010-09-16
USD0.04312010-06-17
USD0.07672010-03-18
20091.68%USD 0.278USD0.07862009-12-11
USD0.03982009-09-18
USD0.06492009-06-19
USD0.09442009-03-20
20082.09%USD 0.346USD0.17282008-12-12
USD0.07792008-09-18
USD0.07522008-06-18
USD0.02042008-03-18
200733.97%USD 5.619USD5.4012007-12-14
USD0.15222007-09-20
USD0.03452007-06-20
USD0.03122007-03-20
200624.56%USD 4.062USD3.94352006-12-15
USD0.02392006-09-20
USD0.04682006-06-20
USD0.0482006-03-20
20058.06%USD 1.334USD1.0832005-12-16
USD0.09372005-09-19
USD0.09042005-06-20
USD0.06642005-03-18
20045.44%USD 0.901USD0.70042004-12-17
USD0.04472004-09-20
USD0.08652004-06-18
USD0.0692004-03-19
20032.22%USD 0.367USD0.1042003-12-12
USD0.0262003-10-29
USD0.0792003-09-19
USD0.0792003-06-20
USD0.0792003-03-20
20022.17%USD 0.359USD0.0962002-12-13
USD0.0882002-09-20
USD0.0882002-06-20
USD0.0872002-03-20
20012.07%USD 0.343USD0.0982001-12-14
USD0.092001-09-20
USD0.0782001-06-20
USD0.0772001-03-20
20002.91%USD 0.481USD0.1422000-12-15
USD0.1262000-09-20
USD0.152000-06-20
USD0.0632000-03-20