NEW COVENANT BALANCED GROWTH FUND NEW COVENANT BALANCED GROWTH FUND(NCBGX) USD 105.42
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.23%USD 4.455USD0.25232022-12-29
USD3.3072022-12-16
USD0.14792022-10-06
USD0.29172022-07-07
USD0.45652022-04-06
20214.81%USD 5.074USD0.49372021-12-30
USD3.63512021-12-16
USD0.23322021-10-05
USD0.24852021-07-07
USD0.46362021-04-06
20207.16%USD 7.549USD0.93252020-12-30
USD5.32152020-12-11
USD0.31082020-10-06
USD0.32552020-07-07
USD0.65852020-04-07
20195.57%USD 5.87USD0.49282019-12-30
USD4.17012019-12-13
USD0.40642019-10-08
USD0.39292019-07-09
USD0.40822019-04-09
20185.89%USD 6.206USD0.15812018-12-28
USD4.45132018-12-14
USD0.85512018-10-04
USD0.4042018-07-09
USD0.33732018-04-06
20171.48%USD 1.555USD0.01182017-12-28
USD0.72862017-12-14
USD0.28352017-10-05
USD0.26662017-07-07
USD0.26472017-04-07
20160.86%USD 0.901USD0.22382016-12-29
USD0.21362016-10-06
USD0.23842016-07-07
USD0.22562016-04-07
20151.79%USD 1.89USD1.24962015-12-30
USD0.24412015-09-29
USD0.20982015-06-29
USD0.18622015-03-30
20144.51%USD 4.754USD2.2462014-12-30
USD1.91132014-12-11
USD0.21312014-09-29
USD0.24792014-06-27
USD0.1362014-03-28
20131.29%USD 1.363USD0.85732013-12-30
USD0.1922013-09-27
USD0.21692013-06-27
USD0.09722013-03-27
20121.33%USD 1.407USD0.29942012-12-28
USD0.24422012-10-04
USD0.36032012-07-06
USD0.502752012-03-30
20111.19%USD 1.253USD0.093572011-12-15
USD0.40332011-09-22
USD0.115892011-07-11
USD0.2772011-06-23
USD0.363292011-03-24
20100.82%USD 0.866USD0.127232010-12-16
USD0.217982010-09-23
USD0.281082010-06-24
USD0.239582010-03-25
20091.52%USD 1.601USD0.295982009-12-17
USD0.28812009-09-24
USD0.411242009-06-26
USD0.605742009-03-26
20082.42%USD 2.556USD1.219342008-12-17
USD0.396162008-09-26
USD0.488292008-06-26
USD0.452062008-03-27
20071.64%USD 1.734USD0.448052007-12-18
USD0.446322007-09-26
USD0.49872007-06-27
USD0.340972007-03-28
20061.71%USD 1.798USD0.525272006-12-19
USD0.46342006-09-27
USD0.429442006-06-28
USD0.379562006-03-29
20051.30%USD 1.375USD0.371692005-12-20
USD0.33872005-09-28
USD0.324692005-06-28
USD0.342005-03-30
20041.22%USD 1.286USD0.434412004-12-21
USD0.298342004-09-28
USD0.320252004-06-29
USD0.233212004-03-29
20031.11%USD 1.169USD0.50682003-12-23
USD0.24092003-09-25
USD0.16752003-06-27
USD0.25332003-03-26
20021.50%USD 1.585USD0.57062002-12-30
USD0.08512002-12-19
USD0.27442002-09-27
USD0.28562002-06-28
USD0.36932002-03-27
20018.72%USD 9.191USD7.68862001-12-26
USD0.4082001-09-27
USD0.5072001-06-29
USD0.58742001-03-26
20006.31%USD 6.652USD5.53732000-12-28
USD0.54752000-10-02
USD0.5672000-06-30