TRANSAMERICA MULTI-MANAGED BALANCED A(IBALX) USD 29.82
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.34%USD 0.101USD0.10062023-03-27
20222.92%USD 0.87USD0.64882022-12-21
USD0.08612022-09-27
USD0.07252022-06-24
USD0.06212022-03-25
20217.93%USD 2.364USD2.20462021-12-21
USD0.04942021-09-27
USD0.05042021-06-25
USD0.05952021-03-26
20205.16%USD 1.539USD1.31892020-12-21
USD0.06642020-09-25
USD0.07372020-06-24
USD0.07992020-03-25
20194.02%USD 1.199USD0.92952019-12-19
USD0.08772019-09-25
USD0.09322019-06-25
USD0.0892019-03-25
20186.80%USD 2.028USD1.75722018-12-19
USD0.09242018-09-25
USD0.09452018-06-26
USD0.08362018-03-26
20173.00%USD 0.895USD0.66932017-12-20
USD0.0732017-09-26
USD0.08292017-06-28
USD0.06962017-03-28
20161.27%USD 0.379USD0.1822016-12-20
USD0.06822016-09-28
USD0.06172016-06-28
USD0.0672016-03-29
20152.76%USD 0.824USD0.63952015-12-23
USD0.06632015-09-24
USD0.06042015-06-24
USD0.05772015-03-24
20144.78%USD 1.426USD1.218532014-12-23
USD0.06722014-09-25
USD0.06792014-06-25
USD0.0722014-03-25
20134.61%USD 1.376USD1.22352013-12-20
USD0.05572013-09-25
USD0.052042013-06-25
USD0.044642013-03-25
20123.75%USD 1.119USD0.87632012-12-21
USD0.074692012-09-25
USD0.071212012-06-26
USD0.096922012-03-15
201111.27%USD 3.361USD3.146272011-12-15
USD0.079982011-09-15
USD0.069752011-06-15
USD0.064752011-03-15
20101.77%USD 0.527USD0.035722010-12-15
USD0.305142010-09-15
USD0.107622010-06-15
USD0.078412010-03-15
20090.94%USD 0.281USD0.031512009-12-15
USD0.071282009-09-15
USD0.06912009-06-15
USD0.109332009-03-16
20084.42%USD 1.318USD1.085952008-12-17
USD0.067822008-09-15
USD0.068972008-06-16
USD0.094832008-03-17
20072.73%USD 0.814USD0.671022007-12-12
USD0.049372007-09-17
USD0.013332007-06-15
USD0.080212007-03-15
20060.30%USD 0.09USD0.029292006-09-15
USD0.060612006-03-15
20050.33%USD 0.1USD0.056482005-06-15
USD0.043282005-03-15
20040.58%USD 0.173USD0.085522004-12-15
USD0.035542004-06-02
USD0.051742004-03-15
20030.62%USD 0.186USD0.0342003-12-16
USD0.0462003-09-15
USD0.0412003-06-16
USD0.0652003-03-14
20020.90%USD 0.269USD0.0492002-12-19
USD0.0742002-09-16
USD0.072002-06-14
USD0.0762002-03-15
20011.07%USD 0.319USD0.0572001-12-20
USD0.0862001-09-18
USD0.0852001-06-15
USD0.0912001-03-15
20001.12%USD 0.333USD0.092000-12-13
USD0.0842000-09-15
USD0.0712000-06-15
USD0.0882000-03-15