LKCM BALANCED FUND LKCM BALANCED FUND(LKBAX) USD 25.04
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.26%USD 0.064USD0.0642023-03-30
20223.48%USD 0.871USD0.68092022-12-28
USD0.071122022-09-29
USD0.067672022-06-29
USD0.051582022-03-30
20215.15%USD 1.289USD1.145742021-12-29
USD0.046222021-09-29
USD0.051642021-06-29
USD0.045682021-03-30
20204.47%USD 1.119USD0.943052020-12-29
USD0.054972020-09-29
USD0.059982020-06-29
USD0.061492020-03-30
20195.76%USD 1.442USD1.243212019-12-27
USD0.070052019-09-27
USD0.065122019-06-27
USD0.063272019-03-28
20182.54%USD 0.637USD0.476042018-12-28
USD0.057162018-09-27
USD0.0552018-06-28
USD0.048692018-03-28
20173.62%USD 0.907USD0.762032017-12-28
USD0.048872017-09-28
USD0.050562017-06-29
USD0.045992017-03-30
20164.13%USD 1.035USD0.899152016-12-29
USD0.046452016-09-29
USD0.044362016-06-29
USD0.044672016-03-30
20152.74%USD 0.687USD0.551652015-12-29
USD0.044922015-09-29
USD0.048522015-06-29
USD0.041632015-03-30
20142.82%USD 0.707USD0.515332014-12-29
USD0.040192014-09-29
USD0.114992014-06-27
USD0.036682014-03-28
20130.80%USD 0.201USD0.07942013-12-27
USD0.036292013-09-27
USD0.046722013-06-27
USD0.038292013-03-27
20120.75%USD 0.189USD0.060212012-12-28
USD0.043342012-09-27
USD0.043562012-06-28
USD0.041832012-03-29
20110.68%USD 0.169USD0.053082011-12-29
USD0.04032011-09-29
USD0.040482011-06-29
USD0.035512011-03-30
20100.71%USD 0.177USD0.044392010-12-30
USD0.043032010-09-29
USD0.045322010-06-29
USD0.044562010-03-30
20090.87%USD 0.217USD0.050952009-12-30
USD0.048062009-09-29
USD0.057862009-06-29
USD0.060032009-03-30
20081.14%USD 0.287USD0.095012008-12-30
USD0.06482008-09-29
USD0.066292008-06-27
USD0.060572008-03-28
20072.48%USD 0.621USD0.431612007-12-28
USD0.065992007-09-27
USD0.064242007-06-28
USD0.058752007-03-29
20061.76%USD 0.441USD0.251142006-12-28
USD0.063072006-09-28
USD0.06482006-06-29
USD0.062012006-03-30
20050.49%USD 0.122USD0.011552005-12-29
USD0.013012005-09-29
USD0.050282005-06-29
USD0.046762005-03-30
20040.93%USD 0.233USD0.058642004-12-30
USD0.05572004-09-29
USD0.053012004-06-29
USD0.065752004-03-30
20030.74%USD 0.184USD0.020842003-12-30
USD0.0452003-09-29
USD0.041322003-06-27
USD0.076942003-03-28
20020.88%USD 0.22USD0.02992002-12-27
USD0.061632002-09-27
USD0.058412002-06-27
USD0.070022002-03-28
20011.46%USD 0.366USD0.08592001-12-28
USD0.0992001-09-27
USD0.06982001-06-28
USD0.11172001-03-29
20000.13%USD 0.032USD0.031752000-12-29