FUNDAMENTAL INDEXPLUS TR FUND C(PIXCX) USD 12.42
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202223.79%USD 2.955USD0.17152022-12-27
USD1.91342022-12-07
USD0.15732022-09-08
USD0.17252022-06-09
USD0.54062022-03-10
202128.11%USD 3.492USD0.12732021-12-28
USD0.0112021-12-08
USD0.92572021-09-09
USD0.80792021-06-10
USD1.61962021-03-11
202010.47%USD 1.3USD0.53062020-12-28
USD0.37712020-09-10
USD0.38172020-06-11
USD0.01062020-03-12
201924.85%USD 3.087USD0.19812019-12-26
USD2.72042019-12-11
USD0.14082019-09-12
USD0.02722019-06-13
201819.70%USD 2.447USD1.0E-52018-12-26
USD2.13812018-12-12
USD0.08462018-09-13
USD0.07232018-06-14
USD0.15172018-03-15
201712.31%USD 1.529USD0.58222017-12-27
USD0.39332017-12-13
USD0.22792017-09-14
USD0.32582017-06-15
20157.75%USD 0.963USD0.14152015-12-29
USD0.46762015-12-16
USD0.16782015-09-17
USD0.10962015-06-18
USD0.07662015-03-19
201423.34%USD 2.899USD0.98042014-12-29
USD1.80652014-12-10
USD0.04522014-09-18
USD0.06642014-06-19
201323.42%USD 2.908USD1.99122013-12-27
USD0.32332013-09-19
USD0.42842013-06-20
USD0.16532013-03-21
201218.64%USD 2.316USD0.98522012-12-27
USD0.35172012-09-20
USD0.4052012-06-21
USD0.57362012-03-22
201112.49%USD 1.552USD0.5642011-12-28
USD0.1472011-09-15
USD0.52422011-06-16
USD0.31652011-03-17
201037.79%USD 4.694USD1.71382010-12-31
USD1.05192010-09-16
USD1.06732010-06-17
USD0.86112010-03-18
200978.11%USD 9.702USD9.70172009-12-30
20082.55%USD 0.316USD0.07262008-12-30
USD0.24352008-12-10
USD0.00012008-06-19
200715.00%USD 1.862USD1.85272007-12-27
USD0.00942007-09-20
USD1.0E-52007-06-21
USD0.00032007-03-22
200632.89%USD 4.085USD3.15952006-12-27
USD0.5572006-09-21
USD0.1522006-06-22
USD0.21632006-03-23
20058.05%USD 0.999USD0.99592005-12-29
USD0.00342005-09-22