INTREPID INCOME FUND INSTITUTIONAL CLASS(ICMUX) USD 8.77
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.39%USD 0.122USD0.060472023-02-28
USD0.061842023-01-31
20228.15%USD 0.715USD0.065952022-12-30
USD0.070262022-11-30
USD0.071872022-10-31
USD0.058022022-09-30
USD0.074512022-08-31
USD0.063822022-07-29
USD0.063142022-06-30
USD0.057922022-05-31
USD0.044742022-04-29
USD0.055622022-03-31
USD0.038532022-02-28
USD0.050742022-01-31
20216.67%USD 0.585USD0.046312021-12-31
USD0.043192021-11-30
USD0.051622021-10-29
USD0.031872021-09-30
USD0.050312021-08-31
USD0.059362021-07-30
USD0.054122021-06-30
USD0.047272021-05-28
USD0.046882021-04-30
USD0.057152021-03-31
USD0.048812021-02-26
USD0.048252021-01-29
20205.98%USD 0.524USD0.054372020-12-31
USD0.049172020-11-30
USD0.055672020-10-30
USD0.051352020-09-30
USD0.053672020-08-31
USD0.051672020-07-31
USD0.048362020-06-30
USD0.037382020-05-29
USD0.040682020-04-30
USD0.031212020-03-31
USD0.023632020-02-28
USD0.026962020-01-31
20193.51%USD 0.308USD0.02622019-12-31
USD0.02132019-11-29
USD0.02522019-10-31
USD0.02052019-09-30
USD0.024012019-08-30
USD0.032222019-07-31
USD0.025952019-06-28
USD0.030392019-05-31
USD0.027672019-04-30
USD0.07422019-03-29
20183.18%USD 0.279USD0.083532018-12-28
USD0.07622018-09-26
USD0.057872018-06-27
USD0.061412018-03-29
20173.04%USD 0.266USD0.073042017-12-27
USD0.063912017-09-27
USD0.072492017-06-28
USD0.056962017-03-29
20163.17%USD 0.278USD0.074692016-12-29
USD0.057692016-09-27
USD0.08042016-06-28
USD0.064862016-03-29
20153.53%USD 0.31USD0.120692015-12-29
USD0.054622015-09-28
USD0.081032015-06-26
USD0.053212015-03-27
20144.30%USD 0.378USD0.177422014-12-29
USD0.065472014-09-26
USD0.062862014-06-26
USD0.071762014-03-27
20133.81%USD 0.334USD0.133472013-12-27
USD0.070132013-09-25
USD0.063112013-06-26
USD0.067152013-03-27
20126.14%USD 0.539USD0.230582012-12-27
USD0.109632012-09-25
USD0.106062012-06-19
USD0.092452012-03-28
20116.77%USD 0.594USD0.289492011-12-28
USD0.112452011-09-27
USD0.100382011-06-30
USD0.091242011-03-30
20102.74%USD 0.24USD0.12592010-12-29
USD0.114572010-09-29