PRINCIPAL LIFETIME 2055 FUND INSTITUTIONAL CLASS(LTFIX) USD 13.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.01%USD 1.114USD0.1652022-12-30
USD0.9492022-12-20
20213.65%USD 0.507USD0.50722021-12-31
20204.39%USD 0.611USD0.24742020-12-31
USD0.36312020-12-18
20196.04%USD 0.84USD0.25332019-12-31
USD0.58622019-12-19
20185.50%USD 0.766USD0.25962018-12-31
USD0.50612018-12-19
20173.43%USD 0.477USD0.29062017-12-29
USD0.18682017-12-20
20163.29%USD 0.458USD0.16542016-12-30
USD0.29292016-12-20
20153.66%USD 0.51USD0.15572015-12-31
USD0.35412015-12-17
20145.10%USD 0.709USD0.33292014-12-31
USD0.37592014-12-17
20133.96%USD 0.551USD0.20842013-12-31
USD0.34272013-12-18
20122.27%USD 0.316USD0.20872012-12-31
USD0.10712012-12-19
20111.50%USD 0.209USD0.17222011-12-30
USD0.03662011-12-19
20101.93%USD 0.268USD0.13472010-12-31
USD0.13332010-12-10
20091.06%USD 0.147USD0.14722009-12-31
20080.83%USD 0.115USD0.11512008-12-31