PRINCIPAL LIFETIME 2045 FUND INSTITUTIONAL CLASS(LTRIX) USD 12.53
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.14%USD 1.02USD0.16132022-12-30
USD0.85912022-12-20
20218.42%USD 1.055USD0.46712021-12-31
USD0.58742021-12-20
20205.28%USD 0.662USD0.2352020-12-31
USD0.42682020-12-18
20197.13%USD 0.893USD0.24942019-12-31
USD0.64362019-12-19
20186.56%USD 0.822USD0.25532018-12-31
USD0.56652018-12-19
20174.68%USD 0.587USD0.28252017-12-29
USD0.30422017-12-20
20163.96%USD 0.496USD0.16652016-12-30
USD0.32922016-12-20
20154.74%USD 0.594USD0.15712015-12-31
USD0.43682015-12-17
20146.42%USD 0.805USD0.33112014-12-31
USD0.47392014-12-17
20134.87%USD 0.611USD0.21592013-12-31
USD0.39472013-12-18
20122.90%USD 0.364USD0.21452012-12-31
USD0.14942012-12-19
20111.71%USD 0.214USD0.18162011-12-30
USD0.03222011-12-19
20102.41%USD 0.302USD0.14232010-12-31
USD0.162010-12-10
20091.22%USD 0.153USD0.15332009-12-31
20081.01%USD 0.127USD0.1272008-12-31