PRUDENTIAL BALANCED FUND CLASS A(PIBAX) USD 15.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.28%USD 0.042USD0.042292023-03-03
20221.79%USD 0.272USD0.098632022-12-05
USD0.073072022-09-02
USD0.066332022-06-03
USD0.034012022-03-04
202114.15%USD 2.157USD1.9992021-12-03
USD0.058112021-09-03
USD0.065192021-06-04
USD0.034222021-03-05
20201.67%USD 0.254USD0.086252020-12-14
USD0.065652020-09-04
USD0.064672020-06-05
USD0.037862020-03-06
20193.43%USD 0.523USD0.35512019-12-12
USD0.056422019-09-06
USD0.069322019-06-07
USD0.041782019-03-08
20186.68%USD 1.018USD0.886932018-12-12
USD0.050842018-09-07
USD0.054042018-06-08
USD0.02612018-03-09
20175.74%USD 0.875USD0.757612017-12-12
USD0.043932017-09-08
USD0.047722017-06-09
USD0.025262017-03-10
20164.35%USD 0.662USD0.538442016-12-12
USD0.043472016-09-02
USD0.047722016-06-03
USD0.032612016-03-04
20157.26%USD 1.106USD0.981562015-12-09
USD0.042642015-09-04
USD0.082082015-06-05
201411.43%USD 1.742USD1.741852014-12-23
20131.35%USD 0.206USD0.205962013-12-11
20121.45%USD 0.22USD0.220232012-12-17
20111.28%USD 0.196USD0.195512011-12-07
20101.39%USD 0.212USD0.211842010-12-08
20091.37%USD 0.208USD0.20832009-12-09
20081.99%USD 0.303USD0.30262008-12-05
20078.93%USD 1.361USD1.36092007-12-18
20062.00%USD 0.305USD0.3052006-12-05
20057.33%USD 1.116USD0.89642005-11-25
USD0.222005-11-23
20041.04%USD 0.158USD0.1582004-11-26
20030.58%USD 0.089USD0.08872003-12-05
20021.37%USD 0.209USD0.20922002-11-26
20011.89%USD 0.288USD0.2882001-11-21
20007.72%USD 1.177USD0.8022000-11-10
USD0.3752000-11-09