POLARIS GLOBAL VALUE FUND POLARIS GLOBAL VALUE FUND(PGVFX) USD 28.75
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.38%USD 0.973USD0.428942022-12-30
USD0.543612022-12-13
20214.55%USD 1.307USD0.497782021-12-31
USD0.809312021-12-14
20201.56%USD 0.45USD0.342942020-12-31
USD0.106892020-12-11
20193.56%USD 1.022USD0.675192019-12-31
USD0.3472019-12-13
20182.76%USD 0.793USD0.767712018-12-31
USD0.02562018-12-14
20171.44%USD 0.415USD0.414612017-12-29
20161.07%USD 0.309USD0.308762016-12-30
20150.93%USD 0.267USD0.267372015-12-31
20141.04%USD 0.299USD0.298932014-12-31
20130.75%USD 0.216USD0.21562013-12-31
20120.56%USD 0.161USD0.160742012-12-31
20110.48%USD 0.137USD0.13712011-12-30
20100.53%USD 0.151USD0.150972010-12-31
20090.00%USD 0.001USD0.001262009-12-31
20081.08%USD 0.311USD0.311112008-12-31
20076.08%USD 1.749USD0.26242007-12-31
USD1.486272007-12-12
20060.69%USD 0.2USD0.15742006-12-29
USD0.042312006-12-12
20050.55%USD 0.157USD0.15722005-12-30
20040.30%USD 0.085USD0.082092004-12-31
USD0.00342004-12-14
20030.58%USD 0.166USD0.165792003-12-31
20020.05%USD 0.016USD0.015642002-12-31
20010.33%USD 0.096USD0.095512001-12-31
20000.08%USD 0.024USD0.0242000-12-28