REAL ESTATE SECURITIES FUND INSTITUTIONAL CLASS(PIREX) USD 25.84
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.54%USD 0.14USD0.14022023-03-17
20223.47%USD 0.898USD0.40152022-12-28
USD0.30422022-09-20
USD0.09542022-06-17
USD0.09642022-03-17
20215.64%USD 1.458USD0.22862021-12-29
USD0.83172021-12-20
USD0.20452021-09-20
USD0.09892021-06-17
USD0.0942021-03-17
20202.70%USD 0.697USD0.22792020-12-29
USD0.08912020-12-18
USD0.15352020-09-18
USD0.10342020-06-17
USD0.12262020-03-18
20193.24%USD 0.838USD0.13452019-12-27
USD0.24572019-12-19
USD0.20522019-09-18
USD0.13962019-06-19
USD0.11332019-03-19
20183.52%USD 0.91USD0.10262018-12-27
USD0.4272018-12-19
USD0.17182018-09-18
USD0.10582018-06-19
USD0.10312018-03-19
20173.36%USD 0.868USD0.11072017-12-27
USD0.50792017-12-20
USD0.08292017-09-18
USD0.08492017-06-20
USD0.0822017-03-21
20163.89%USD 1.006USD0.08262016-12-28
USD0.59592016-12-20
USD0.092016-09-30
USD0.11682016-06-30
USD0.12022016-03-31
20156.00%USD 1.551USD0.08642015-12-28
USD1.21872015-12-17
USD0.08652015-09-30
USD0.08052015-06-30
USD0.07912015-03-31
20142.05%USD 0.531USD0.09012014-12-29
USD0.21612014-12-17
USD0.07542014-09-30
USD0.07422014-06-30
USD0.0752014-03-31
201312.73%USD 3.289USD0.14552013-12-27
USD2.90822013-12-18
USD0.07722013-09-30
USD0.07932013-06-28
USD0.07872013-03-28
20120.99%USD 0.256USD0.07142012-12-27
USD0.06042012-09-28
USD0.06212012-06-29
USD0.06212012-03-30
20110.60%USD 0.155USD0.03912011-12-27
USD0.04282011-09-30
USD0.04342011-06-30
USD0.032011-03-31
20101.28%USD 0.33USD0.10292010-12-31
USD0.06062010-09-30
USD0.072010-06-30
USD0.09682010-03-31
20091.17%USD 0.303USD0.08332009-12-31
USD0.05182009-09-30
USD0.06242009-06-30
USD0.10582009-03-31
20081.46%USD 0.378USD0.10462008-12-31
USD0.08552008-09-30
USD0.08812008-06-30
USD0.12008-03-31
200722.98%USD 5.938USD0.092007-12-31
USD5.7292007-12-06
USD0.04152007-09-28
USD0.03562007-06-29
USD0.0422007-03-30
20068.81%USD 2.278USD0.12152006-12-29
USD2.01282006-12-06
USD0.082006-09-29
USD0.06322006-06-30
20054.08%USD 1.053USD0.1512005-12-30
USD0.60952005-12-06
USD0.1022005-09-30
USD0.1022005-06-29
USD0.08882005-03-31
20045.17%USD 1.337USD0.28862004-12-23
USD1.04862004-12-06
20032.10%USD 0.543USD0.3992003-12-23
USD0.14422003-12-04