ALL ASSET FUND INSTITUTIONAL(PAAIX) USD 10.85
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.61%USD 0.066USD0.066042023-03-09
20227.44%USD 0.807USD0.455772022-12-29
USD0.070142022-09-08
USD0.13022022-06-09
USD0.151362022-03-10
202114.00%USD 1.519USD0.377642021-12-30
USD0.418092021-09-09
USD0.323052021-06-10
USD0.400392021-03-11
20205.48%USD 0.594USD0.183132020-12-30
USD0.152042020-09-10
USD0.152042020-09-09
USD0.072422020-06-11
USD0.034462020-03-12
20193.64%USD 0.395USD0.169172019-12-30
USD0.100332019-09-12
USD0.066462019-06-13
USD0.059392019-03-14
20185.54%USD 0.601USD0.335042018-12-27
USD0.109912018-09-13
USD0.093592018-06-14
USD0.062942018-03-15
20175.02%USD 0.545USD0.25622017-12-28
USD0.154412017-09-14
USD0.107712017-06-15
USD0.026322017-03-16
20163.70%USD 0.401USD0.24352016-12-29
USD0.055772016-09-15
USD0.052182016-06-16
USD0.049872016-03-17
20153.69%USD 0.401USD0.195842015-12-30
USD0.088942015-09-17
USD0.08292015-06-18
USD0.032892015-03-19
20145.41%USD 0.587USD0.324382014-12-30
USD0.104282014-09-18
USD0.090612014-06-19
USD0.067432014-03-20
20135.46%USD 0.592USD0.29882013-12-30
USD0.100872013-09-19
USD0.082992013-06-20
USD0.109322013-03-21
20126.61%USD 0.717USD0.077952012-12-31
USD0.36662012-12-27
USD0.09012012-09-20
USD0.06862012-06-21
USD0.11422012-03-22
20117.37%USD 0.799USD0.44952011-12-28
USD0.16242011-09-15
USD0.12412011-06-16
USD0.06342011-03-17
20109.23%USD 1.001USD0.57322010-12-31
USD0.14522010-09-16
USD0.15332010-06-17
USD0.0232010-04-30
USD0.10672010-03-18
20098.04%USD 0.872USD0.54572009-12-30
USD0.12792009-09-17
USD0.11622009-06-18
USD0.08212009-03-19
20086.29%USD 0.682USD0.31982008-12-30
USD0.12082008-09-18
USD0.12092008-06-19
USD0.12092008-03-20
20078.90%USD 0.966USD0.55262007-12-27
USD0.18732007-09-20
USD0.13782007-06-21
USD0.0882007-03-22
20067.17%USD 0.778USD0.36772006-12-27
USD0.03682006-12-13
USD0.15752006-09-21
USD0.13782006-06-22
USD0.07812006-03-23
20057.67%USD 0.832USD0.44992005-12-29
USD0.0642005-12-14
USD0.13762005-09-22
USD0.1142005-06-23
USD0.06652005-03-24
20047.35%USD 0.797USD0.56672004-12-29
USD0.06492004-12-13
USD0.0982004-09-16
USD0.03872004-06-17
USD0.02872004-03-18
20035.10%USD 0.554USD0.32592003-12-30
USD0.08642003-12-10
USD0.03852003-09-18
USD0.08862003-06-19
USD0.01432003-03-20