Financial Investors Trust - ALPS | Kotak India Growth Fund(INDSX) USD 15.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.60%USD 0.253USD0.252612022-12-08
202140.64%USD 6.422USD12021-12-09
USD0.12021-11-10
USD0.282021-10-29
USD0.0142021-10-12
USD0.082021-10-06
USD0.182021-09-30
USD0.07252021-09-29
USD0.062021-09-14
USD0.132021-08-19
USD0.272021-08-12
USD0.62021-08-11
USD0.152021-08-06
USD0.182021-07-30
USD0.072021-07-27
USD0.152021-06-29
USD0.062021-06-28
USD0.082021-06-23
USD0.1052021-05-26
USD0.132021-05-20
USD0.12021-05-17
USD0.152021-05-14
USD0.272021-05-13
USD0.062021-05-06
USD0.072021-05-04
USD0.272021-05-03
USD0.182021-04-30
USD0.152021-03-30
USD0.062021-03-29
USD0.082021-03-24
USD0.132021-03-12
USD0.12021-03-04
USD0.1352021-03-01
USD0.1052021-02-26
USD0.222021-02-12
USD0.092021-02-11
USD0.052021-02-09
USD0.242021-02-04
USD0.072021-02-02
USD0.182021-01-29
2020108.22%USD 17.099USD0.082020-12-30
USD0.062020-12-28
USD0.1052020-11-30
USD0.132020-11-19
USD0.12020-11-16
USD0.1752020-11-12
USD0.092020-11-09
USD0.142020-11-06
USD0.062020-11-05
USD0.072020-11-03
USD0.162020-10-30
USD0.242020-10-22
USD0.152020-09-29
USD0.052020-09-28
USD0.082020-09-25
USD2.575392020-09-02
USD0.1052020-08-31
USD0.1352020-08-28
USD0.987072020-08-26
USD0.122020-08-20
USD0.12020-08-17
USD0.142020-08-13
USD0.092020-08-11
USD0.062020-08-06
USD0.142020-07-31
USD0.072020-07-28
USD0.242020-07-17
USD0.152020-06-29
USD0.082020-06-25
USD5.794562020-06-03
USD0.1052020-05-29
USD0.122020-05-21
USD0.12020-05-18
USD0.142020-05-14
USD0.052020-05-11
USD0.142020-05-07
USD0.312020-05-05
USD0.122020-04-30
USD0.262020-04-29
USD0.072020-04-28
USD0.242020-04-17
USD0.152020-03-30
USD0.252020-03-26
USD0.112020-03-25
USD0.122020-03-13
USD0.251672020-03-06
USD0.1052020-03-02
USD0.1352020-02-28
USD0.12020-02-25
USD0.1152020-02-18
USD0.1752020-02-13
USD0.052020-02-07
USD0.122020-02-06
USD0.312020-02-04
USD0.122020-01-31
USD0.262020-01-30
USD0.072020-01-28
USD0.242020-01-23
USD0.112020-01-16
USD0.1752020-01-09
20193.33%USD 0.526USD0.152019-12-30
USD0.016042019-12-27
USD0.252019-12-26
USD0.112019-12-24