PIMCO ALL ASSET FUND CLASS P(PALPX) USD 10.88
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.59%USD 0.064USD0.063972023-03-09
20227.32%USD 0.796USD0.451832022-12-29
USD0.06742022-09-08
USD0.128142022-06-09
USD0.14872022-03-10
202113.86%USD 1.508USD0.374112021-12-30
USD0.414882021-09-09
USD0.320892021-06-10
USD0.397812021-03-11
20205.34%USD 0.581USD0.179612020-12-30
USD0.14922020-09-10
USD0.14922020-09-09
USD0.07052020-06-11
USD0.032132020-03-12
20193.53%USD 0.384USD0.165592019-12-30
USD0.097452019-09-12
USD0.064332019-06-13
USD0.056982019-03-14
20185.42%USD 0.59USD0.330872018-12-27
USD0.106882018-09-13
USD0.091372018-06-14
USD0.06042018-03-15
20174.91%USD 0.534USD0.253062017-12-28
USD0.151332017-09-14
USD0.105682017-06-15
USD0.024232017-03-16
20163.59%USD 0.391USD0.240282016-12-29
USD0.053022016-09-15
USD0.050122016-06-16
USD0.047452016-03-17
20153.57%USD 0.388USD0.191632015-12-30
USD0.085692015-09-17
USD0.080492015-06-18
USD0.030192015-03-19
20145.29%USD 0.575USD0.320942014-12-30
USD0.101642014-09-18
USD0.087842014-06-19
USD0.064632014-03-20
20135.27%USD 0.573USD0.295242013-12-30
USD0.097672013-09-19
USD0.08042013-06-20
USD0.099612013-03-21
20126.37%USD 0.693USD0.070292012-12-31
USD0.35892012-12-27
USD0.08532012-09-20
USD0.06652012-06-21
USD0.1122012-03-22
20117.26%USD 0.79USD0.44682011-12-28
USD0.15972011-09-15
USD0.12172011-06-16
USD0.06132011-03-17
20108.90%USD 0.969USD0.57042010-12-31
USD0.14272010-09-16
USD0.15112010-06-17
USD0.10452010-03-18
20097.95%USD 0.866USD0.54292009-12-30
USD0.12552009-09-17
USD0.11552009-06-18
USD0.08162009-03-19
20085.13%USD 0.558USD0.32052008-12-30
USD0.11782008-09-18
USD0.11982008-06-19