AEW REAL ESTATE FUND CLASS C(NRCFX) USD 11.43
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.01%USD 0.116USD0.11572023-03-24
20221.64%USD 0.188USD0.01552022-12-21
USD0.01262022-09-26
USD0.03092022-06-24
USD0.12852022-03-24
20215.90%USD 0.674USD0.49242021-12-21
USD0.00222021-09-24
USD0.17932021-03-24
20202.75%USD 0.315USD0.08992020-12-18
USD0.01862020-09-24
USD0.00222020-06-24
USD0.2042020-03-25
201918.41%USD 2.104USD1.87982019-12-18
USD0.01062019-06-25
USD0.21332019-03-26
20189.13%USD 1.043USD0.69932018-12-19
USD0.02382018-09-25
USD0.00192018-06-26
USD0.3182018-03-26
201711.56%USD 1.322USD1.02222017-12-20
USD0.03582017-09-28
USD0.01082017-06-28
USD0.25282017-03-29
201612.94%USD 1.479USD0.80932016-12-20
USD0.02652016-09-30
USD0.01052016-06-30
USD0.55052016-04-07
USD0.08232016-03-30
201511.88%USD 1.358USD1.07142015-12-21
USD0.03612015-09-29
USD0.23522015-04-08
USD0.01552015-03-30
201411.69%USD 1.336USD0.59932014-12-18
USD0.00422014-06-19
USD0.73062014-04-08
USD0.00182014-03-20
201335.91%USD 4.104USD3.75152013-12-18
USD0.00582013-09-24
USD0.01492013-06-20
USD0.30692013-04-09
USD0.02492013-03-21
201214.28%USD 1.633USD1.63012012-12-18
USD0.00252012-06-21
20110.09%USD 0.01USD0.00542011-12-13
USD0.00442011-03-24
20100.93%USD 0.106USD0.05842010-12-14
USD0.04762010-03-25
20090.97%USD 0.111USD0.02832009-12-15
USD0.01272009-09-25
USD0.02662009-06-26
USD0.04312009-03-27
20085.54%USD 0.633USD0.09732008-09-26
USD0.0662008-06-26
USD0.40142008-04-14
USD0.06822008-03-27
200722.07%USD 2.522USD2.36432007-12-21
USD0.05112007-09-17
USD0.0612007-06-11
USD0.0462007-03-12
20063.32%USD 0.379USD0.2652006-12-22
USD0.0362006-09-18
USD0.0352006-06-12
USD0.0432006-03-13
20052.39%USD 0.273USD0.1052005-12-22
USD0.0642005-09-19
USD0.0352005-06-13
USD0.0692005-03-14
20041.95%USD 0.223USD0.0332004-12-20
USD0.0562004-09-13
USD0.0712004-06-14
USD0.0632004-03-15
20033.36%USD 0.384USD0.1682003-12-15
USD0.0772003-09-15
USD0.0522003-06-16
USD0.0872003-03-17
20022.91%USD 0.333USD0.1242002-12-16
USD0.0752002-09-16
USD0.0762002-06-17
USD0.0582002-03-18
20011.07%USD 0.122USD0.1222001-12-17