DEUTSCHE GLOBAL INCOME BUILDER FUND INSTITUTIONAL CLASS(KTRIX) USD 8.82
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.67%USD 0.059USD0.0592023-03-24
20222.80%USD 0.247USD0.06242022-12-15
USD0.06422022-09-23
USD0.0742022-06-23
USD0.04652022-03-24
202112.05%USD 1.063USD0.86752021-12-15
USD0.07072021-09-23
USD0.0752021-06-23
USD0.04982021-03-24
20203.07%USD 0.271USD0.05052020-12-15
USD0.06992020-09-23
USD0.07692020-06-23
USD0.07352020-03-24
20193.80%USD 0.335USD0.08162019-12-16
USD0.08442019-09-23
USD0.08472019-06-21
USD0.08472019-03-22
20185.13%USD 0.452USD0.0152018-12-31
USD0.17392018-12-17
USD0.09472018-09-21
USD0.08442018-06-22
USD0.08432018-03-22
201711.12%USD 0.981USD0.76592017-12-15
USD0.0852017-09-22
USD0.06992017-06-23
USD0.05982017-03-24
20163.05%USD 0.269USD0.07472016-12-15
USD0.05462016-09-23
USD0.07492016-06-23
USD0.06452016-03-23
20154.30%USD 0.38USD0.08762015-12-15
USD0.10572015-09-23
USD0.10082015-06-23
USD0.08552015-03-24
201412.57%USD 1.109USD0.83022014-12-16
USD0.10612014-09-23
USD0.09052014-06-23
USD0.08182014-03-24
20135.47%USD 0.483USD0.24952013-12-16
USD0.09142013-09-23
USD0.07582013-06-21
USD0.06582013-03-21
20125.98%USD 0.528USD0.34042012-12-17
USD0.08092012-09-21
USD0.06182012-06-22
USD0.04452012-03-23
20111.91%USD 0.169USD0.04422011-12-15
USD0.03962011-09-23
USD0.04322011-06-23
USD0.04192011-03-24
20102.05%USD 0.181USD0.03462010-12-15
USD0.04492010-09-23
USD0.04012010-06-23
USD0.06112010-03-24
20092.67%USD 0.236USD0.12772009-12-16
USD0.03612009-09-23
USD0.03612009-06-23
USD0.03572009-03-24
20082.86%USD 0.252USD0.03752008-12-16
USD0.06312008-09-23
USD0.07362008-06-23
USD0.07822008-03-24
20074.22%USD 0.373USD0.13092007-12-14
USD0.06792007-09-21
USD0.08742007-06-22
USD0.08642007-03-23
20063.19%USD 0.281USD0.1082006-12-15
USD0.05762006-09-22
USD0.05772006-06-23
USD0.05792006-03-24
20052.77%USD 0.244USD0.0712005-12-20
USD0.0572005-09-23
USD0.0582005-06-23
USD0.0582005-03-24
20041.17%USD 0.103USD0.0632004-12-20
USD0.042004-09-23