NAVIGATOR TACTICAL FIXED INCOME FUND NAVIGATOR TACTICAL FIXED INCOME FUND CLASS A SHARES(NTBAX) USD 9.63
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.03%USD 0.196USD0.12922022-12-21
USD0.04462022-09-29
USD0.00322022-06-29
USD0.01892022-03-30
20217.06%USD 0.68USD0.55252021-12-22
USD0.05062021-09-29
USD0.04272021-06-29
USD0.03372021-03-30
20206.09%USD 0.587USD0.51912020-12-23
USD0.06752020-03-30
20192.29%USD 0.221USD0.04332019-12-23
USD0.04382019-09-27
USD0.07292019-06-27
USD0.06052019-03-28
20182.80%USD 0.27USD0.07272018-12-24
USD0.10532018-09-27
USD0.0822018-06-28
USD0.01012018-03-28
20176.75%USD 0.65USD0.40632017-12-26
USD0.07152017-09-28
USD0.08532017-06-29
USD0.08712017-03-30
20166.35%USD 0.612USD0.36732016-12-27
USD0.10492016-09-29
USD0.10792016-06-29
USD0.03182016-03-30
20152.20%USD 0.212USD0.0522015-12-28
USD0.02562015-09-30
USD0.09022015-06-29
USD0.02842015-04-16
USD0.01582015-03-30
20142.05%USD 0.198USD0.02662014-12-26
USD0.09832014-09-29
USD0.07282014-06-27