PRUDENTIAL BALANCED FUND CLASS Z(PABFX) USD 15.38
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.30%USD 0.047USD0.046712023-03-03
20221.99%USD 0.306USD0.110712022-12-05
USD0.081792022-09-02
USD0.073922022-06-03
USD0.03922022-03-04
202114.30%USD 2.199USD2.013352021-12-03
USD0.06882021-09-03
USD0.075622021-06-04
USD0.040892021-03-05
20201.88%USD 0.289USD0.098982020-12-14
USD0.074622020-09-04
USD0.071792020-06-05
USD0.044012020-03-06
20193.65%USD 0.561USD0.3692019-12-12
USD0.067842019-09-06
USD0.077792019-06-07
USD0.046432019-03-08
20186.91%USD 1.063USD0.901512018-12-12
USD0.061682018-09-07
USD0.065382018-06-08
USD0.034622018-03-09
20175.99%USD 0.921USD0.773332017-12-12
USD0.055562017-09-08
USD0.058722017-06-09
USD0.033242017-03-10
20164.85%USD 0.746USD0.553442016-12-12
USD0.05452016-09-02
USD0.058432016-06-03
USD0.042016-03-31
USD0.039452016-03-04
20157.49%USD 1.152USD0.996632015-12-09
USD0.054122015-09-04
USD0.101512015-06-05
201411.64%USD 1.79USD1.790282014-12-23
20131.62%USD 0.249USD0.249292013-12-11
20121.68%USD 0.259USD0.258942012-12-17
20111.51%USD 0.232USD0.23172011-12-07
20101.59%USD 0.245USD0.245112010-12-08
20091.54%USD 0.237USD0.23712009-12-09
20082.21%USD 0.34USD0.33962008-12-05
20079.09%USD 1.398USD1.39792007-12-18
20062.22%USD 0.342USD0.3422006-12-05
20057.72%USD 1.187USD0.93172005-11-25
USD0.2552005-11-23
20041.24%USD 0.191USD0.1912004-11-26
20030.76%USD 0.117USD0.11692003-12-05
20021.55%USD 0.238USD0.23832002-11-26
20012.09%USD 0.322USD0.3222001-11-21
20007.98%USD 1.227USD0.8272000-11-10
USD0.42000-11-09