SALIENT INTERNATIONAL REAL ESTATE FUND INSTITUTIONAL CLASS(KIRYX) USD 11.76
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.65%USD 0.311USD0.07022022-12-27
USD0.0892022-09-27
USD0.0912022-06-27
USD0.0612022-03-28
20213.90%USD 0.459USD0.2272021-12-28
USD0.0432021-09-27
USD0.0772021-06-24
USD0.1122021-03-25
20201.92%USD 0.226USD0.032020-12-28
USD0.0432020-09-24
USD0.042020-06-25
USD0.1132020-03-26
20193.03%USD 0.356USD0.1772019-12-26
USD0.0462019-09-25
USD0.0772019-06-25
USD0.0562019-03-26
20187.70%USD 0.905USD0.0262018-09-25
USD0.1542018-06-26
USD0.7252018-03-26
20178.56%USD 1.007USD0.7152017-12-26
USD0.0772017-06-27
USD0.2152017-03-28
20166.09%USD 0.716USD0.5622016-12-27
USD0.0282016-06-27
USD0.1262016-03-28
20155.24%USD 0.616USD0.2232015-12-28
USD0.0872015-09-25
USD0.072015-06-25
USD0.2362015-03-26
201410.39%USD 1.222USD0.8142014-12-26
USD0.0812014-09-25
USD0.1472014-06-25
USD0.182014-03-26
20138.83%USD 1.038USD0.6692013-12-26
USD0.3692013-06-25
201212.13%USD 1.427USD0.7322012-12-26
USD0.6952012-06-26
201113.34%USD 1.569USD1.0932011-12-29
USD0.4762011-06-29
201018.16%USD 2.136USD1.1652010-12-30
USD0.9712010-06-29
200917.23%USD 2.026USD1.8262009-12-30
USD0.22009-06-05
20083.57%USD 0.42USD0.182008-12-23
USD0.242008-06-25
200714.46%USD 1.7USD1.562007-12-24
USD0.142007-06-28
20066.21%USD 0.73USD0.32006-12-29
USD0.432006-12-14