STRATEGIC ASSET MANAGEMENT CONSERVATIVE BALANCED PORTFOLIO INSTITUTIONAL CLASS(PCCIX) USD 11
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.92%USD 0.541USD0.12362022-12-30
USD0.26932022-12-20
USD0.05682022-09-30
USD0.05032022-06-30
USD0.0412022-03-31
20218.65%USD 0.951USD0.1392021-12-31
USD0.69622021-12-20
USD0.05632021-09-30
USD0.03192021-06-30
USD0.02762021-03-31
20203.56%USD 0.392USD0.11332020-12-31
USD0.13592020-12-18
USD0.04942020-09-30
USD0.04772020-06-30
USD0.04582020-03-31
20194.14%USD 0.455USD0.11222019-12-31
USD0.16282019-12-19
USD0.06992019-09-30
USD0.06062019-06-28
USD0.04942019-03-29
20187.72%USD 0.849USD0.14672018-12-31
USD0.5352018-12-19
USD0.06052018-09-28
USD0.05792018-06-29
USD0.04882018-03-29
20175.75%USD 0.632USD0.16542017-12-29
USD0.31572017-12-20
USD0.05132017-09-29
USD0.05232017-06-30
USD0.04772017-03-31
20163.63%USD 0.4USD0.12382016-12-30
USD0.12022016-12-20
USD0.05362016-09-30
USD0.05272016-06-30
USD0.04932016-03-31
20156.61%USD 0.727USD0.10932015-12-31
USD0.47282015-12-17
USD0.04812015-09-30
USD0.04692015-06-30
USD0.04982015-03-31
20144.68%USD 0.515USD0.16732014-12-31
USD0.19592014-12-17
USD0.05292014-09-30
USD0.0492014-06-30
USD0.04942014-03-31
20134.67%USD 0.514USD0.12992013-12-31
USD0.22922013-12-18
USD0.05192013-09-30
USD0.05112013-06-28
USD0.05172013-03-28
20123.46%USD 0.381USD0.13382012-12-31
USD0.06232012-12-19
USD0.05742012-09-28
USD0.0642012-06-29
USD0.06312012-03-30
20113.40%USD 0.374USD0.1132011-12-30
USD0.05182011-12-19
USD0.07082011-09-30
USD0.07062011-06-30
USD0.06742011-03-31
20103.05%USD 0.335USD0.12172010-12-31
USD0.07172010-09-30
USD0.07342010-06-30
USD0.06842010-03-31
20093.06%USD 0.336USD0.11782009-12-31
USD0.06952009-09-30
USD0.07652009-06-30
USD0.07232009-03-31
20086.77%USD 0.744USD0.11882008-12-31
USD0.37232008-12-10
USD0.08472008-09-30
USD0.08792008-06-30
USD0.08052008-03-31
20074.22%USD 0.465USD0.22452007-12-31
USD0.082007-09-28
USD0.082007-06-29
USD0.082007-03-30