PRINCIPAL LIFETIME HYBRID 2045 FUND INSTITUTIONAL CLASS(PHTYX) USD 12.82
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20229.02%USD 1.156USD0.17622022-12-30
USD0.98012022-12-20
20215.90%USD 0.757USD0.38782021-12-31
USD0.36922021-12-20
20203.82%USD 0.49USD0.36642020-12-31
USD0.12382020-12-18
20193.60%USD 0.461USD0.26552019-12-31
USD0.19542019-12-19
20183.83%USD 0.491USD0.22082018-12-31
USD0.27052018-12-19
20172.12%USD 0.271USD0.23192017-12-29
USD0.03952017-12-20
20161.62%USD 0.207USD0.18042016-12-30
USD0.0272016-12-20
20151.25%USD 0.161USD0.16062015-12-31
20143.66%USD 0.469USD0.4692014-12-31