NEUBERGER BERMAN REAL ESTATE FUND INSTITUTIONAL CLASS(NBRIX) USD 12.63
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.66%USD 0.084USD0.08362023-03-24
202213.00%USD 1.642USD0.0512022-12-16
USD1.35952022-12-15
USD0.07422022-09-23
USD0.07852022-06-23
USD0.0792022-03-24
20216.08%USD 0.768USD0.56352021-12-15
USD0.0712021-09-23
USD0.07222021-06-23
USD0.06172021-03-24
20202.48%USD 0.314USD0.1092020-12-14
USD0.06512020-09-23
USD0.072020-06-23
USD0.06952020-03-24
20196.25%USD 0.789USD0.55152019-12-16
USD0.07512019-09-23
USD0.07772019-06-21
USD0.08452019-03-22
20186.65%USD 0.841USD0.62592018-12-17
USD0.07582018-09-21
USD0.07632018-06-22
USD0.06252018-03-22
20176.90%USD 0.872USD0.64592017-12-15
USD0.07462017-09-22
USD0.08322017-06-23
USD0.06812017-03-24
201614.98%USD 1.892USD1.6382016-12-16
USD0.10422016-09-23
USD0.08032016-06-23
USD0.06982016-03-23
201510.41%USD 1.314USD1.06232015-12-17
USD0.08872015-09-23
USD0.08892015-06-23
USD0.07442015-03-24
20147.29%USD 0.921USD0.69532014-12-15
USD0.07962014-09-24
USD0.07912014-06-23
USD0.06672014-03-24
20137.91%USD 0.999USD0.79222013-12-16
USD0.06742013-09-23
USD0.07422013-06-21
USD0.06482013-03-22
20124.19%USD 0.529USD0.33242012-12-14
USD0.06362012-09-21
USD0.06172012-06-22
USD0.07112012-03-23
20112.01%USD 0.254USD0.07092011-12-16
USD0.0612011-09-23
USD0.06332011-06-23
USD0.05862011-03-24
20101.72%USD 0.217USD0.05082010-12-20
USD0.05642010-09-30
USD0.05452010-06-30
USD0.05572010-03-31
20092.11%USD 0.267USD0.03912009-12-17
USD0.05952009-09-30
USD0.08542009-06-30
USD0.08252009-04-01
20081.78%USD 0.225USD0.06732008-12-16
USD0.08612008-09-30
USD0.07192008-06-30