LYRICAL U.S. VALUE EQUITY FUND INSTITUTIONAL CLASS(LYRIX) USD 18.37
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20225.50%USD 1.01USD0.07632022-12-29
USD0.93412022-11-30
20210.16%USD 0.029USD0.0292021-12-30
20200.74%USD 0.136USD0.13592020-12-30
20192.47%USD 0.454USD0.04982019-12-30
USD0.40392019-11-29
20187.81%USD 1.435USD0.05072018-12-28
USD1.38422018-11-30
20177.08%USD 1.3USD0.00612017-12-29
USD1.29372017-11-30
20162.68%USD 0.493USD0.23752016-12-30
USD0.25552016-11-30
20152.24%USD 0.411USD0.03822015-12-31
USD0.37272015-12-01
20141.92%USD 0.353USD0.00482014-12-31
USD0.34822014-12-01
20130.80%USD 0.146USD0.14642013-12-31