LEUTHOLD CORE INVESTMENT FUND LEUTHOLD CORE INVESTMENT FUND-RETAIL CLASS(LCORX) USD 20.36
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.33%USD 0.067USD0.066892023-03-16
20227.07%USD 1.44USD1.439682022-11-17
20215.65%USD 1.15USD1.150052021-11-18
20200.25%USD 0.05USD0.025052020-11-19
USD0.025192020-03-12
20191.77%USD 0.361USD0.014652019-12-19
USD0.27192019-11-14
USD0.019452019-09-19
USD0.025912019-06-20
USD0.028912019-03-14
20189.21%USD 1.875USD1.827582018-11-15
USD0.015982018-09-20
USD0.01352018-06-21
USD0.01762018-03-15
20173.24%USD 0.66USD0.650232017-11-16
USD0.004242017-09-21
USD0.005592017-03-16
20160.40%USD 0.082USD0.082352016-11-17
20153.41%USD 0.693USD0.691182015-11-19
USD0.002122015-03-19
20146.24%USD 1.27USD0.026912014-12-18
USD1.125162014-11-20
USD0.008532014-09-18
USD0.0042014-06-20
USD0.105082014-03-20
20137.77%USD 1.582USD0.305742013-12-26
USD1.051422013-11-27
USD8.0E-52013-09-19
USD0.094652013-06-20
USD0.130182013-03-21
20121.56%USD 0.317USD0.1332012-12-27
USD0.028912012-09-20
USD0.043452012-06-21
USD0.111862012-03-22
20111.64%USD 0.334USD0.267232011-12-29
USD0.018152011-09-22
USD0.037062011-06-23
USD0.011292011-03-24
20100.27%USD 0.056USD0.00312010-12-30
USD0.05262010-03-25
20090.19%USD 0.039USD0.01062009-09-24
USD0.008932009-06-24
USD0.019842009-03-26
20081.35%USD 0.275USD0.101162008-12-30
USD0.044052008-09-25
USD0.081062008-06-26
USD0.048772008-03-27
200720.28%USD 4.129USD0.131432007-12-27
USD3.754242007-11-28
USD0.111492007-09-26
USD0.080852007-06-28
USD0.051012007-03-28
20062.71%USD 0.552USD0.044252006-12-20
USD0.180892006-11-29
USD0.127622006-09-27
USD0.114722006-06-27
USD0.084522006-03-29
20054.54%USD 0.924USD0.077312005-12-28
USD0.758132005-11-23
USD0.045662005-09-28
USD0.02212005-06-28
USD0.021032005-03-30
20043.39%USD 0.691USD0.644472004-11-23
USD0.046432004-01-02
20030.24%USD 0.049USD0.008682003-09-24
USD0.012552003-06-25
USD0.028092003-03-26
20020.83%USD 0.17USD0.034682002-12-18
USD0.036792002-09-25
USD0.04682002-06-19
USD0.051732002-03-20
20011.51%USD 0.308USD0.068152001-12-20
USD0.063652001-09-26
USD0.071682001-06-26
USD0.104622001-03-27
20006.31%USD 1.284USD0.14352000-12-21
USD0.727772000-11-09
USD0.110572000-09-29
USD0.146042000-07-03
USD0.155862000-03-31