PACIFIC FUNDS CORE INCOME CLASS C(PLNCX) USD 9.67
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.47%USD 0.046USD0.02232023-02-28
USD0.02362023-01-31
20222.14%USD 0.207USD0.024842022-12-28
USD0.024092022-11-30
USD0.022122022-10-31
USD0.020842022-09-30
USD0.019412022-08-31
USD0.015782022-07-29
USD0.018192022-06-30
USD0.012932022-05-31
USD0.014062022-04-29
USD0.011522022-03-31
USD0.012222022-02-28
USD0.01052022-01-31
20213.66%USD 0.354USD0.011392021-12-29
USD0.236682021-12-08
USD0.008492021-11-30
USD0.008042021-10-29
USD0.009572021-09-30
USD0.009572021-08-31
USD0.009882021-07-30
USD0.011132021-06-30
USD0.009842021-05-28
USD0.01072021-04-30
USD0.010642021-03-31
USD0.009522021-02-26
USD0.00882021-01-29
20202.41%USD 0.233USD0.010082020-12-29
USD0.078312020-12-07
USD0.01142020-11-30
USD0.010572020-10-30
USD0.010942020-09-30
USD0.010782020-08-31
USD0.011752020-07-31
USD0.013332020-06-30
USD0.013532020-05-29
USD0.015952020-04-30
USD0.015952020-03-31
USD0.014532020-02-28
USD0.015792020-01-31
20192.32%USD 0.225USD0.01652019-12-27
USD0.015512019-11-29
USD0.016972019-10-31
USD0.018062019-09-30
USD0.016562019-08-30
USD0.019612019-07-31
USD0.017442019-06-28
USD0.020372019-05-31
USD0.023092019-04-30
USD0.018462019-03-29
USD0.020262019-02-28
USD0.021872019-01-31
20182.55%USD 0.246USD0.024222018-12-27
USD0.022732018-11-30
USD0.023842018-10-31
USD0.018792018-09-28
USD0.021112018-08-31
USD0.021622018-07-31
USD0.019962018-06-29
USD0.020632018-05-31
USD0.023822018-04-30
USD0.017272018-03-29
USD0.016392018-02-28
USD0.01582018-01-31
20172.05%USD 0.198USD0.016442017-12-27
USD0.014872017-11-30
USD0.017042017-10-31
USD0.015522017-09-29
USD0.016762017-08-31
USD0.016142017-07-31
USD0.015972017-06-30
USD0.017392017-05-31
USD0.016762017-04-28
USD0.015992017-03-31
USD0.017362017-02-28
USD0.017752017-01-31
20162.05%USD 0.198USD0.016952016-12-28
USD0.016022016-11-30
USD0.015742016-10-31
USD0.013962016-09-30
USD0.016182016-08-31
USD0.013442016-07-29
USD0.017222016-06-30
USD0.018112016-05-31
USD0.017842016-04-29
USD0.01752016-03-31
USD0.018242016-02-29
USD0.016592016-01-29
20152.36%USD 0.229USD0.019552015-12-29
USD0.018232015-11-30
USD0.019742015-10-30
USD0.019162015-09-30
USD0.019322015-08-31
USD0.019222015-07-31
USD0.021052015-06-30
USD0.018342015-05-29
USD0.019782015-04-30
USD0.018362015-03-31
USD0.017342015-02-27
USD0.018552015-01-30
20142.51%USD 0.243USD0.02322014-12-29
USD0.017412014-11-28
USD0.013672014-10-31
USD0.022792014-09-30
USD0.018362014-08-29
USD0.019892014-07-31
USD0.019692014-06-30
USD0.019862014-05-30
USD0.021582014-04-30
USD0.020192014-03-31
USD0.023982014-02-28
USD0.021932014-01-31
20134.16%USD 0.403USD0.024612013-12-27
USD0.160762013-12-06
USD0.020132013-11-29
USD0.020952013-10-31
USD0.021932013-09-30
USD0.020122013-08-30
USD0.021542013-07-31
USD0.018082013-06-28
USD0.018972013-05-31
USD0.021072013-04-30
USD0.014952013-03-28
USD0.020822013-02-28
USD0.018782013-01-31
20124.79%USD 0.463USD0.269142012-12-27
USD0.016422012-11-30
USD0.018782012-11-01
USD0.01512012-09-28
USD0.017572012-08-31
USD0.018582012-07-31
USD0.016392012-06-29
USD0.018462012-05-31
USD0.019642012-04-30
USD0.018382012-03-30
USD0.017112012-02-29
USD0.017882012-01-31
20111.51%USD 0.146USD0.048592011-12-28
USD0.017762011-11-30
USD0.017562011-10-31
USD0.017412011-09-30
USD0.020632011-08-31
USD0.024212011-07-29