PRINCIPAL LIFETIME 2015 FUND INSTITUTIONAL CLASS(LTINX) USD 8.2
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.64%USD 0.627USD0.22022022-12-30
USD0.40642022-12-20
20219.82%USD 0.805USD0.26062021-12-31
USD0.54442021-12-20
20206.65%USD 0.545USD0.1962020-12-31
USD0.34912020-12-18
201914.52%USD 1.191USD0.23172019-12-31
USD0.95882019-12-19
201810.62%USD 0.871USD0.28142018-12-31
USD0.58942018-12-19
20179.68%USD 0.794USD0.29282017-12-29
USD0.50072017-12-20
20164.38%USD 0.359USD0.1982016-12-30
USD0.16142016-12-20
201510.51%USD 0.862USD0.17742015-12-31
USD0.68422015-12-17
20147.60%USD 0.623USD0.26532014-12-31
USD0.3582014-12-17
20137.06%USD 0.579USD0.20632013-12-31
USD0.37272013-12-18
20125.49%USD 0.451USD0.22992012-12-31
USD0.22062012-12-19
20114.37%USD 0.358USD0.22192011-12-30
USD0.13622011-12-19
20105.05%USD 0.414USD0.21582010-12-31
USD0.19812010-12-10
20092.49%USD 0.204USD0.20432009-12-31
20081.76%USD 0.145USD0.14452008-12-31