VIRTUS REAL ESTATE SECURITIES FUND CLASS I(PHRIX) USD 19.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.50%USD 0.095USD0.094882023-03-16
202211.26%USD 2.141USD1.892882022-12-22
USD0.087272022-09-22
USD0.069862022-06-16
USD0.091072022-03-17
20216.97%USD 1.326USD0.950732021-12-22
USD0.076142021-09-22
USD0.097112021-06-22
USD0.201862021-03-23
20206.22%USD 1.182USD0.894522020-12-22
USD0.077492020-09-22
USD0.103372020-06-22
USD0.106562020-03-23
201924.90%USD 4.733USD4.304052019-12-20
USD0.076562019-09-20
USD0.191712019-06-20
USD0.160492019-03-21
201821.38%USD 4.064USD3.785742018-12-17
USD0.088772018-09-20
USD0.091352018-06-21
USD0.097742018-03-21
201726.40%USD 5.019USD4.5382017-12-20
USD0.1612017-09-21
USD0.1592017-06-22
USD0.1612017-03-23
201633.85%USD 6.435USD5.9482016-12-21
USD0.1642016-09-22
USD0.1622016-06-22
USD0.1612016-03-22
201536.50%USD 6.939USD6.462015-12-22
USD0.1662015-09-22
USD0.1622015-06-22
USD0.1512015-03-23
201413.10%USD 2.491USD2.0922014-12-22
USD0.1352014-09-22
USD0.1332014-06-20
USD0.1312014-03-21
201313.97%USD 2.655USD2.3012013-12-20
USD0.1072013-09-20
USD0.1252013-06-20
USD0.1222013-03-20
20122.08%USD 0.395USD0.0882012-12-20
USD0.1172012-09-20
USD0.1112012-06-21
USD0.0792012-03-22
20111.79%USD 0.34USD0.0822011-12-21
USD0.0892011-09-22
USD0.0852011-06-22
USD0.0842011-03-23
20102.04%USD 0.388USD0.0972010-12-22
USD0.0632010-09-22
USD0.0952010-06-22
USD0.1332010-03-23
20092.51%USD 0.477USD0.0962009-12-22
USD0.0732009-09-22
USD0.10462009-06-22
USD0.2032009-03-23
20082.74%USD 0.521USD0.122008-12-22
USD0.1132008-09-22
USD0.112008-06-20
USD0.1782008-03-20
20072.37%USD 0.451USD0.1412007-12-20
USD0.0842007-09-20
USD0.0792007-06-21
USD0.1472007-03-22