LINDE HANSEN CONTRARIAN VALUE FUND LINDE HANSEN CONTRARIAN VALUE FUND CLASS A SHARES(LIVAX) USD 19.21
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.57%USD 0.302USD0.083952022-12-23
USD0.035362022-09-30
USD0.024292022-07-14
USD0.136152022-06-30
USD0.022042022-03-31
20212.07%USD 0.398USD0.223372021-12-31
USD0.028882021-09-30
USD0.124732021-06-30
USD0.021392021-03-31
20201.86%USD 0.357USD0.110882020-12-31
USD0.027012020-09-30
USD0.190372020-06-30
USD0.02912020-03-31
20192.41%USD 0.464USD0.238172019-12-31
USD0.04122019-09-27
USD0.137462019-06-28
USD0.046812019-03-28
20181.49%USD 0.286USD0.100162018-12-31
USD0.052482018-09-28
USD0.11172018-06-29
USD0.021832018-03-29
20171.63%USD 0.313USD0.159782017-12-29
USD0.041012017-09-29
USD0.089192017-06-30
USD0.022782017-03-31
20161.39%USD 0.266USD0.102942016-12-30
USD0.020952016-09-30
USD0.096942016-06-30
USD0.045492016-03-31
20151.67%USD 0.32USD0.149192015-12-30
USD0.066472015-09-30
USD0.066962015-06-30
USD0.03752015-03-31
20141.64%USD 0.315USD0.121122014-12-31
USD0.034072014-09-30
USD0.11772014-06-30
USD0.042532014-03-31
20131.35%USD 0.26USD0.110642013-12-31
USD0.051062013-09-30
USD0.064272013-06-28
USD0.033612013-03-28
20121.04%USD 0.2USD0.078562012-12-31
USD0.036842012-09-28
USD0.054792012-06-29
USD0.029492012-03-30
20110.46%USD 0.088USD0.033472011-12-30
USD0.033672011-09-30
USD0.020362011-06-30