LOOMIS SAYLES INFLATION PROTECTED SECURITIES FUND INSTITUTIONAL CLASS(LSGSX) USD 9.89
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.33%USD 0.032USD0.03222023-03-24
20228.02%USD 0.794USD0.0762022-12-21
USD0.27432022-09-26
USD0.29882022-06-24
USD0.14452022-03-24
20216.73%USD 0.666USD0.26772021-12-21
USD0.19662021-09-24
USD0.15332021-06-24
USD0.04822021-03-24
20201.20%USD 0.119USD0.06232020-12-18
USD0.03752020-09-24
USD0.01892020-03-25
20192.10%USD 0.208USD0.03912019-12-18
USD0.05352019-09-25
USD0.11542019-06-25
20182.92%USD 0.289USD0.04762018-12-19
USD0.07452018-09-25
USD0.11862018-06-26
USD0.04852018-03-26
20172.52%USD 0.25USD0.08882017-12-20
USD0.03782017-09-28
USD0.07762017-06-28
USD0.04552017-03-29
20161.55%USD 0.153USD0.03172016-12-20
USD0.06352016-09-30
USD0.05792016-06-30
20150.76%USD 0.076USD0.01732015-12-21
USD0.05832015-09-29
20142.06%USD 0.203USD0.00712014-12-18
USD0.06492014-09-23
USD0.1242014-06-19
USD0.00742014-03-20
20132.14%USD 0.212USD0.11242013-12-18
USD0.0452013-09-24
USD0.05462013-06-20
20129.88%USD 0.977USD0.79642012-12-17
USD0.14522012-06-18
USD0.03582012-03-19
20116.87%USD 0.679USD0.24452011-12-14
USD0.08082011-09-15
USD0.24542011-06-16
USD0.10852011-03-17
20103.48%USD 0.345USD0.09542010-12-09
USD0.06262010-09-16
USD0.03862010-06-17
USD0.072010-05-27
USD0.0782010-03-18
20091.56%USD 0.154USD0.09572009-12-11
USD0.05872009-09-18
20086.69%USD 0.662USD0.04572008-12-12
USD0.27232008-09-19
USD0.22122008-06-20
USD0.12262008-03-20
20075.99%USD 0.592USD0.13112007-12-14
USD0.15052007-09-21
USD0.25062007-06-22
USD0.06022007-03-23
20064.31%USD 0.426USD0.03192006-12-15
USD0.14872006-09-22
USD0.21142006-06-23
USD0.03392006-03-24
20057.04%USD 0.696USD0.28832005-12-16
USD0.10672005-09-23
USD0.24742005-06-24
USD0.0542005-03-24
20044.74%USD 0.469USD0.11222004-12-16
USD0.10832004-09-24
USD0.0242004-08-31
USD0.11362004-06-25
USD0.11072004-03-25
20038.59%USD 0.85USD0.2032003-12-23
USD0.29452003-11-25
USD0.1092003-09-23
USD0.062003-06-24
USD0.1832003-03-25
20026.16%USD 0.609USD0.1782002-12-24
USD0.1392002-09-25
USD0.1552002-06-25
USD0.1372002-03-26
20016.10%USD 0.603USD0.1542001-12-26
USD0.1422001-09-25
USD0.1512001-06-26
USD0.1562001-03-27
20006.65%USD 0.658USD0.1412000-12-05
USD0.1582000-10-03
USD0.1842000-07-05
USD0.1752000-04-04