Iman Fund Class K(IMANX) USD 11.66
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.27%USD 0.148USD0.148052022-12-21
202125.83%USD 3.012USD3.011732021-12-23
20203.58%USD 0.417USD0.417412020-12-23
201914.09%USD 1.643USD1.64322019-12-27
201811.54%USD 1.345USD1.345372018-12-28
20179.83%USD 1.146USD1.145882017-12-28
20167.56%USD 0.881USD0.881492016-12-29
20154.03%USD 0.47USD0.47022015-12-30
201411.35%USD 1.324USD1.32352014-12-30
20133.55%USD 0.414USD0.413532013-12-30
20081.59%USD 0.186USD0.18582008-12-30
20070.13%USD 0.016USD0.015582007-12-31
20050.12%USD 0.013USD0.013422005-12-29
20040.07%USD 0.008USD0.00832004-12-30
20030.09%USD 0.011USD0.010832003-12-30
20020.12%USD 0.014USD0.013722002-12-31
20010.05%USD 0.006USD0.0062001-12-28