CAPITAL SECURITIES FUND CLASS S(PCSFX) USD 8.61
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.36%USD 0.117USD0.03782023-03-28
USD0.04012023-02-23
USD0.03892023-01-26
20225.84%USD 0.502USD0.05492022-12-28
USD0.0512022-11-23
USD0.05042022-10-26
USD0.052022-09-27
USD0.03752022-08-26
USD0.03812022-07-26
USD0.03782022-06-27
USD0.03772022-05-25
USD0.03642022-04-26
USD0.03652022-03-28
USD0.0362022-02-23
USD0.03612022-01-26
20215.59%USD 0.482USD0.04812021-12-29
USD0.04382021-11-24
USD0.04822021-10-26
USD0.04712021-09-27
USD0.03432021-08-26
USD0.03532021-07-27
USD0.03492021-06-25
USD0.03812021-05-25
USD0.03812021-04-27
USD0.03792021-03-26
USD0.03822021-02-23
USD0.03772021-01-26
20206.02%USD 0.518USD0.0512020-12-29
USD0.04962020-11-24
USD0.04732020-10-27
USD0.04592020-09-25
USD0.04062020-08-26
USD0.03962020-07-28
USD0.0412020-06-25
USD0.04142020-05-26
USD0.0412020-04-27
USD0.04042020-03-26
USD0.03982020-02-25
USD0.04052020-01-28
20196.54%USD 0.564USD0.06262019-12-27
USD0.05242019-11-25
USD0.05032019-10-28
USD0.04542019-09-25
USD0.04522019-08-27
USD0.04262019-07-26
USD0.04382019-06-25
USD0.04492019-05-29
USD0.04532019-04-25
USD0.04392019-03-26
USD0.04472019-02-25
USD0.04242019-01-28
20186.60%USD 0.568USD0.07722018-12-27
USD0.05062018-11-27
USD0.04812018-10-26
USD0.0462018-09-25
USD0.03792018-08-28
USD0.04112018-07-26
USD0.04332018-06-26
USD0.04362018-05-29
USD0.04622018-04-25
USD0.04362018-03-26
USD0.04472018-02-23
USD0.04582018-01-26
20176.20%USD 0.534USD0.05972017-12-27
USD0.04312017-11-27
USD0.04512017-10-26
USD0.04552017-09-26
USD0.03652017-08-28
USD0.03982017-07-26
USD0.04372017-06-27
USD0.04432017-05-25
USD0.04382017-04-25
USD0.04512017-03-28
USD0.04422017-02-23
USD0.04322017-01-26
20165.78%USD 0.498USD0.04232016-12-28
USD0.04972016-11-30
USD0.04822016-10-31
USD0.03032016-09-30
USD0.03212016-08-31
USD0.04192016-07-29
USD0.04032016-06-30
USD0.04172016-05-31
USD0.04142016-04-29
USD0.04282016-03-31
USD0.04422016-02-29
USD0.04312016-01-29
20156.55%USD 0.564USD0.07992015-12-28
USD0.04272015-11-30
USD0.04142015-10-30
USD0.03882015-09-30
USD0.04272015-08-31
USD0.04422015-07-31
USD0.04582015-06-30
USD0.04392015-05-29
USD0.04392015-04-30
USD0.04392015-03-31
USD0.04672015-02-27
USD0.04992015-01-30
20144.76%USD 0.41USD0.05832014-12-29
USD0.00492014-12-17
USD0.0572014-11-26
USD0.05082014-10-31
USD0.0482014-09-30
USD0.04532014-08-29
USD0.04632014-07-31
USD0.03112014-06-30
USD0.04522014-05-30
USD0.02272014-04-30