NUANCE MID CAP VALUE FUND INSTITUTIONAL CLASS(NMVLX) USD 12.53
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20229.38%USD 1.175USD1.057052022-12-21
USD0.049732022-09-29
USD0.056712022-06-29
USD0.011282022-03-30
202113.71%USD 1.718USD1.630962021-12-21
USD0.03652021-09-29
USD0.050432021-06-29
20200.99%USD 0.124USD0.049832020-12-21
USD0.024432020-09-29
USD0.027542020-06-29
USD0.022042020-03-30
20196.70%USD 0.84USD0.722142019-12-20
USD0.022822019-09-27
USD0.077662019-06-26
USD0.017142019-03-28
20186.65%USD 0.833USD0.760862018-12-20
USD0.017492018-09-27
USD0.037562018-06-28
USD0.017432018-03-28
20177.28%USD 0.913USD0.844872017-12-21
USD0.019472017-09-28
USD0.023462017-06-29
USD0.024852017-03-30
20161.87%USD 0.234USD0.1712016-12-22
USD0.018032016-09-29
USD0.020492016-06-29
USD0.024322016-03-30
20153.53%USD 0.442USD0.363942015-12-23
USD0.03032015-09-29
USD0.02392015-06-29
USD0.02362015-03-30
20145.73%USD 0.718USD0.646582014-12-23
USD0.02372014-09-29
USD0.02112014-06-27
USD0.02682014-03-28