OVERSEAS FUND (F/K/A INTERNATIONAL VALUE FUND I) R-3 CLASS(PINTX) USD 10.54
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.72%USD 0.708USD0.18222022-12-28
USD0.52592022-12-20
20217.15%USD 0.754USD0.2182021-12-29
USD0.53592021-12-20
20201.26%USD 0.133USD0.13262020-12-29
20192.42%USD 0.256USD0.25552019-12-27
20187.55%USD 0.796USD0.18452018-12-27
USD0.61122018-12-19
20172.94%USD 0.31USD0.15722017-12-27
USD0.15282017-12-20
20161.29%USD 0.136USD0.13592016-12-28
20153.10%USD 0.327USD0.13322015-12-28
USD0.19342015-12-17
20147.20%USD 0.759USD0.22432014-12-29
USD0.53482014-12-17
20137.03%USD 0.741USD0.18832013-12-27
USD0.55232013-12-18
20121.65%USD 0.174USD0.17422012-12-27