ICON UTILITIES FUND CLASS A(ICTVX) USD 9.42
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20229.22%USD 0.868USD0.05172022-12-30
USD0.691322022-11-30
USD0.0452022-09-30
USD0.03952022-06-30
USD0.04072022-03-31
20218.30%USD 0.782USD0.640222021-12-31
USD0.0512021-09-30
USD0.05282021-06-30
USD0.03762021-03-31
20205.96%USD 0.561USD0.0462020-12-31
USD0.39682020-11-30
USD0.03892020-09-30
USD0.03772020-06-30
USD0.04162020-03-30
20195.53%USD 0.521USD0.043152019-12-27
USD0.326742019-12-19
USD0.026342019-09-30
USD0.060862019-06-28
USD0.063862019-03-29
20183.74%USD 0.352USD0.084092018-12-28
USD0.05272018-12-19
USD0.064452018-09-28
USD0.080572018-06-29
USD0.070212018-03-29
20177.84%USD 0.738USD0.073832017-12-29
USD0.482522017-12-20
USD0.059842017-09-29
USD0.059752017-06-30
USD0.062492017-03-31
201610.52%USD 0.991USD0.064542016-12-30
USD0.791312016-12-20
USD0.00612016-09-30
USD0.070572016-06-30
USD0.058822016-03-31
20152.53%USD 0.238USD0.055982015-12-31
USD0.057422015-09-24
USD0.062352015-06-30
USD0.062292015-03-31
20142.62%USD 0.247USD0.073042014-12-31
USD0.069592014-09-30
USD0.065872014-06-30
USD0.038522014-03-31
20131.88%USD 0.177USD0.042762013-12-31
USD0.048072013-09-30
USD0.049982013-06-28
USD0.036192013-03-28
20121.75%USD 0.165USD0.054792012-12-31
USD0.043762012-09-28
USD0.05212012-06-29
USD0.013932012-03-30
20113.62%USD 0.341USD0.1322011-12-30
USD0.114472011-09-30
USD0.094732011-06-30
20102.27%USD 0.214USD0.214232010-12-16