PIMCO RAE FUNDAMENTAL US FUND INSTITUTIONAL CLASS(PKAIX) USD 12.52
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.82%USD 0.979USD0.144772022-12-27
USD0.834142022-12-08
202110.83%USD 1.356USD0.170262021-12-28
USD1.185572021-12-09
20202.99%USD 0.374USD0.276182020-12-28
USD0.097592020-12-10
20194.54%USD 0.569USD0.315232019-12-26
USD0.253352019-12-12
20185.33%USD 0.667USD0.212392018-12-26
USD0.455082018-12-13
20175.22%USD 0.654USD0.216052017-12-27
USD0.437572017-12-14
20164.32%USD 0.541USD0.223612016-12-28
USD0.317862016-12-15
20152.58%USD 0.323USD0.105032015-12-29
USD0.218072015-12-17