PIMCO GLOBAL MULTI-ASSET FUND INSTITUTIONAL(PGAIX) USD 12.62
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.41%USD 0.052USD0.052142023-03-09
20221.03%USD 0.13USD0.061482022-12-29
USD0.068392022-06-09
20211.29%USD 0.163USD0.020492021-06-10
USD0.142292021-03-11
202014.57%USD 1.839USD0.338462020-12-30
USD0.366522020-09-10
USD0.366522020-09-09
USD0.366832020-06-11
USD0.40022020-03-12
20192.61%USD 0.329USD0.21762019-12-30
USD0.111752019-03-14
20182.91%USD 0.367USD0.090642018-12-27
USD0.063642018-09-13
USD0.126432018-06-14
USD0.08672018-03-15
20171.69%USD 0.213USD0.087442017-12-28
USD0.066832017-09-14
USD0.059062017-03-16
20161.49%USD 0.188USD0.07072016-12-29
USD0.062062016-09-15
USD0.055252016-06-16
20140.50%USD 0.063USD0.032912014-09-18
USD0.029972014-06-19
20131.64%USD 0.207USD0.057872013-09-19
USD0.046062013-06-20
USD0.102742013-03-21
20122.53%USD 0.319USD0.059072012-12-31
USD0.18232012-12-27
USD0.04452012-12-12
USD0.03292012-09-20
20115.94%USD 0.75USD0.40392011-12-28
USD0.16262011-12-07
USD0.07752011-09-15
USD0.07322011-06-16
USD0.03282011-03-17
20105.42%USD 0.684USD0.29762010-12-31
USD0.21852010-12-08
USD0.12422010-09-16
USD0.04392010-06-17
20094.95%USD 0.625USD0.46122009-12-30
USD0.1362009-12-09
USD0.01212009-09-17
USD0.01522009-06-18
20082.53%USD 0.319USD0.31872008-12-30