STERLING CAPITAL MID VALUE FUND INSTITUTIONAL CLASS(OVEIX) USD 14.86
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202218.81%USD 2.795USD0.075052022-12-29
USD2.719762022-12-07
202111.09%USD 1.648USD0.009852021-12-30
USD1.637682021-12-08
20200.49%USD 0.073USD0.073392020-12-30
20199.24%USD 1.374USD0.2482019-12-30
USD1.12562019-12-11
20189.65%USD 1.434USD0.013812018-12-28
USD1.420212018-12-12
20175.72%USD 0.849USD0.00942017-12-28
USD0.842017-12-13
20163.66%USD 0.544USD0.01182016-12-29
USD0.532122016-12-07
201522.58%USD 3.355USD0.018972015-12-30
USD3.335922015-12-09
20148.94%USD 1.329USD0.158912014-12-30
USD1.170232014-12-10
20139.00%USD 1.337USD0.077642013-12-30
USD1.196022013-12-11
USD0.063632013-06-27
20120.97%USD 0.145USD0.061612012-12-28
USD0.023242012-09-27
USD0.037842012-06-28
USD0.022192012-03-29
20110.70%USD 0.104USD0.054042011-12-29
USD0.02142011-09-29
USD0.028582011-06-29
20100.41%USD 0.061USD0.028912010-12-30
USD0.032342010-09-29
20090.21%USD 0.031USD0.030732009-12-30
20080.27%USD 0.041USD0.029592008-12-31
USD0.011012008-03-31
20079.61%USD 1.427USD0.021532007-12-31
USD1.357742007-12-12
USD0.022132007-09-28
USD0.007842007-06-29
USD0.005462007-04-30
USD0.011212007-03-30
USD0.00142007-01-31
20065.05%USD 0.75USD0.01222006-12-29
USD0.687432006-12-13
USD0.008872006-09-29
USD0.022212006-06-30
USD0.012892006-03-31
USD0.006632006-02-28
200534.58%USD 5.138USD0.005462005-12-30
USD0.009462005-11-30
USD0.00962005-09-30
USD52005-09-08
USD0.007442005-08-31
USD0.038362005-06-30
USD0.013142005-05-31
USD0.040352005-03-31
USD0.014582005-02-28
20042.17%USD 0.322USD0.028672004-12-31
USD0.088312004-12-10
USD0.011222004-11-30
USD0.031212004-09-30
USD0.019542004-08-31
USD0.030292004-06-30
USD0.016792004-05-28
USD0.026272004-03-31
USD0.019912004-02-27
USD0.050022004-01-02
20031.03%USD 0.154USD0.019512003-12-01
USD0.00132003-11-03
USD0.0012003-10-31
USD0.024992003-09-30
USD0.015312003-08-29
USD0.001542003-07-31
USD0.027432003-06-30
USD0.012182003-05-30
USD0.003952003-04-30
USD0.023822003-03-31
USD0.017682003-02-28
USD0.004892003-01-31
20021.29%USD 0.192USD0.025342002-12-31
USD0.016662002-11-29
USD0.008132002-10-31
USD0.023572002-09-30
USD0.017922002-08-30
USD0.006242002-07-31
USD0.026132002-06-28
USD0.017812002-05-31
USD0.003192002-04-30
USD0.021662002-03-28
USD0.021332002-02-28
USD0.004232002-01-31
20010.57%USD 0.085USD0.02632001-12-31
USD0.0542001-04-30
USD0.0052001-01-31
20001.48%USD 0.22USD0.0542000-12-28
USD0.0612000-07-31
USD0.0572000-04-28
USD0.0482000-01-31