LEUTHOLD CORE INVESTMENT FUND LEUTHOLD CORE INVESTMENT FUND-INSTITUTIONAL CLASS(LCRIX) USD 20.46
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.35%USD 0.071USD0.07092023-03-16
20227.04%USD 1.44USD1.439682022-11-17
20215.62%USD 1.15USD1.150052021-11-18
20200.28%USD 0.058USD0.025052020-11-19
USD0.032882020-03-12
20191.83%USD 0.375USD0.016112019-12-19
USD0.27192019-11-14
USD0.023552019-09-19
USD0.030452019-06-20
USD0.032752019-03-14
20189.24%USD 1.891USD1.827582018-11-15
USD0.021242018-09-20
USD0.019812018-06-21
USD0.022082018-03-15
20173.34%USD 0.684USD8.0E-52017-12-21
USD0.650232017-11-16
USD0.014612017-09-21
USD0.003092017-06-15
USD0.015692017-03-16
20160.40%USD 0.082USD0.082352016-11-17
20153.44%USD 0.703USD0.691182015-11-19
USD0.001112015-09-17
USD0.010732015-03-19
20146.27%USD 1.283USD0.027452014-12-18
USD1.125162014-11-20
USD0.013112014-09-18
USD0.008772014-06-20
USD0.108562014-03-20
20137.85%USD 1.605USD0.310092013-12-26
USD1.051422013-11-27
USD0.005292013-09-19
USD0.098972013-06-20
USD0.139572013-03-21
20121.64%USD 0.335USD0.133212012-12-27
USD0.033622012-09-20
USD0.047512012-06-21
USD0.121112012-03-22
20111.71%USD 0.349USD0.26832011-12-29
USD0.022852011-09-22
USD0.042512011-06-23
USD0.015832011-03-24
20100.34%USD 0.069USD0.00782010-12-30
USD0.060782010-03-25
20090.84%USD 0.172USD0.133622009-09-24
USD0.015132009-06-24
USD0.023132009-03-26
20081.43%USD 0.292USD0.104812008-12-30
USD0.048422008-09-25
USD0.085722008-06-26
USD0.053452008-03-27
200720.28%USD 4.149USD0.136042007-12-27
USD3.754242007-11-28
USD0.116612007-09-26
USD0.085962007-06-28
USD0.056172007-03-28
20062.78%USD 0.569USD0.045342006-12-20
USD0.183972006-11-29
USD0.132182006-09-27
USD0.119262006-06-27
USD0.088552006-03-29