SALIENT INTERNATIONAL REAL ESTATE FUND CLASS A(KIRAX) USD 11.81
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.27%USD 0.268USD0.06912022-12-27
USD0.0752022-09-27
USD0.0772022-06-27
USD0.0472022-03-28
20213.39%USD 0.4USD0.2132021-12-28
USD0.0282021-09-27
USD0.0622021-06-24
USD0.0972021-03-25
20201.47%USD 0.174USD0.0162020-12-28
USD0.032020-09-24
USD0.0292020-06-25
USD0.0992020-03-26
20192.53%USD 0.299USD0.1612019-12-26
USD0.0322019-09-25
USD0.0642019-06-25
USD0.0422019-03-26
20187.38%USD 0.872USD0.022018-09-25
USD0.1412018-06-26
USD0.7112018-03-26
20178.15%USD 0.962USD0.6972017-12-26
USD0.0632017-06-27
USD0.2022017-03-28
20165.71%USD 0.674USD0.5472016-12-27
USD0.0142016-06-27
USD0.1132016-03-28
20154.67%USD 0.551USD0.2082015-12-28
USD0.0722015-09-25
USD0.0522015-06-25
USD0.2192015-03-26
20149.81%USD 1.158USD0.7972014-12-26
USD0.0642014-09-25
USD0.1322014-06-25
USD0.1652014-03-26
20137.97%USD 0.941USD0.6242013-12-26
USD0.3172013-06-25
201211.74%USD 1.386USD0.7042012-12-26
USD0.6822012-06-26
201112.91%USD 1.525USD1.0672011-12-29
USD0.4582011-06-29
201017.70%USD 2.09USD1.1462010-12-30
USD0.9442010-06-29
200916.51%USD 1.95USD1.7732009-12-30
USD0.1772009-06-05
20083.05%USD 0.36USD0.152008-12-23
USD0.212008-06-25
200713.89%USD 1.64USD1.532007-12-24
USD0.112007-06-28
20066.01%USD 0.71USD0.32006-12-29
USD0.412006-12-14