ALLIANZGI NFJ DIVIDEND VALUE FUND INSTITUTIONAL(NFJEX) USD 10.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.57%USD 0.058USD0.057872023-03-16
202218.34%USD 1.878USD1.708652022-12-22
USD0.056122022-09-22
USD0.055672022-06-16
USD0.057852022-03-17
20218.54%USD 0.875USD0.714912021-12-16
USD0.058682021-09-16
USD0.04312021-06-17
USD0.058242021-03-18
20202.15%USD 0.22USD0.046862020-12-17
USD0.039182020-09-17
USD0.05352020-06-18
USD0.080932020-03-19
201916.35%USD 1.674USD1.46692019-12-19
USD0.055482019-09-19
USD0.063572019-06-20
USD0.088042019-03-21
201828.80%USD 2.949USD2.695652018-12-20
USD0.083332018-09-20
USD0.080932018-06-21
USD0.089512018-03-22
201741.60%USD 4.26USD3.948772017-12-21
USD0.097292017-09-21
USD0.105692017-06-22
USD0.10832017-03-16
20169.94%USD 1.018USD0.115292016-12-22
USD0.586342016-12-15
USD0.093222016-09-22
USD0.108462016-06-16
USD0.114582016-03-17
20154.16%USD 0.426USD0.113522015-12-17
USD0.097092015-09-17
USD0.110892015-06-18
USD0.104172015-03-19
20143.51%USD 0.359USD0.093852014-12-18
USD0.087312014-09-18
USD0.094952014-06-19
USD0.082952014-03-20
20133.68%USD 0.377USD0.100832013-12-19
USD0.091392013-09-19
USD0.089732013-06-20
USD0.094622013-03-21
20123.78%USD 0.387USD0.129842012-12-20
USD0.078022012-09-20
USD0.099892012-06-21
USD0.079342012-03-22
20113.53%USD 0.361USD0.097212011-12-22
USD0.084342011-09-22
USD0.104092011-06-16
USD0.07562011-03-17
20103.71%USD 0.38USD0.098382010-12-16
USD0.07852010-09-16
USD0.109612010-06-17
USD0.093462010-03-18
20094.11%USD 0.421USD0.143842009-12-17
USD0.071482009-09-17
USD0.093832009-06-18
USD0.111812009-03-19
20084.45%USD 0.456USD0.090512008-12-18
USD0.123852008-09-18
USD0.117652008-06-19
USD0.1242008-03-20
200713.54%USD 1.386USD0.146872007-12-20
USD0.911512007-12-13
USD0.120332007-09-20
USD0.101492007-06-21
USD0.105992007-03-22
20066.39%USD 0.654USD0.123992006-12-21
USD0.287492006-12-14
USD0.077862006-09-21
USD0.076492006-06-22
USD0.08822006-03-23
20056.63%USD 0.678USD0.200562005-12-16
USD0.217222005-12-13
USD0.088542005-09-22
USD0.092082005-06-23
USD0.082005-03-24
20042.95%USD 0.302USD0.1172004-12-15
USD0.0542004-09-16
USD0.0482004-06-17
USD0.0832004-03-18
20032.40%USD 0.246USD0.0862003-12-15
USD0.0542003-09-18
USD0.1042003-06-19
USD0.0022003-03-20