PACIFIC FUNDS STRATEGIC INCOME CLASS A(PLSTX) USD 10.23
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.75%USD 0.077USD0.03632023-02-28
USD0.04042023-01-31
20224.27%USD 0.437USD0.04052022-12-28
USD0.042892022-12-08
USD0.039752022-11-30
USD0.039492022-10-31
USD0.037582022-09-30
USD0.036772022-08-31
USD0.032862022-07-29
USD0.02642022-06-30
USD0.033482022-05-31
USD0.03042022-04-29
USD0.026372022-03-31
USD0.025722022-02-28
USD0.024372022-01-31
20214.25%USD 0.435USD0.028432021-12-29
USD0.101282021-12-08
USD0.027172021-11-30
USD0.024072021-10-29
USD0.026912021-09-30
USD0.027162021-08-31
USD0.025132021-07-30
USD0.029062021-06-30
USD0.027812021-05-28
USD0.030072021-04-30
USD0.030462021-03-31
USD0.029312021-02-26
USD0.028352021-01-29
20204.00%USD 0.41USD0.033342020-12-29
USD0.034032020-11-30
USD0.033062020-10-30
USD0.032542020-09-30
USD0.034422020-08-31
USD0.033242020-07-31
USD0.033032020-06-30
USD0.03412020-05-29
USD0.039092020-04-30
USD0.03912020-03-31
USD0.030942020-02-28
USD0.032762020-01-31
20194.30%USD 0.44USD0.03542019-12-27
USD0.031972019-11-29
USD0.034322019-10-31
USD0.03422019-09-30
USD0.034382019-08-30
USD0.038232019-07-31
USD0.033572019-06-28
USD0.040072019-05-31
USD0.043562019-04-30
USD0.034662019-03-29
USD0.038192019-02-28
USD0.041492019-01-31
20184.34%USD 0.444USD0.044282018-12-27
USD0.040882018-11-30
USD0.041832018-10-31
USD0.035282018-09-28
USD0.03852018-08-31
USD0.037392018-07-31
USD0.03442018-06-29
USD0.03742018-05-31
USD0.040852018-04-30
USD0.030842018-03-29
USD0.031512018-02-28
USD0.031172018-01-31
20173.77%USD 0.386USD0.035042017-12-27
USD0.030492017-11-30
USD0.033052017-10-31
USD0.031962017-09-29
USD0.032912017-08-31
USD0.033692017-07-31
USD0.029692017-06-30
USD0.035062017-05-31
USD0.033272017-04-28
USD0.028762017-03-31
USD0.029772017-02-28
USD0.032462017-01-31
20163.95%USD 0.404USD0.036312016-12-28
USD0.02952016-11-30
USD0.030092016-10-31
USD0.02892016-09-30
USD0.035362016-08-31
USD0.029892016-07-29
USD0.032452016-06-30
USD0.035462016-05-31
USD0.039592016-04-29
USD0.03372016-03-31
USD0.037842016-02-29
USD0.035122016-01-29
20154.23%USD 0.432USD0.041052015-12-29
USD0.038582015-11-30
USD0.036012015-10-30
USD0.035752015-09-30
USD0.034082015-08-31
USD0.03252015-07-31
USD0.033932015-06-30
USD0.031682015-05-29
USD0.036262015-04-30
USD0.036422015-03-31
USD0.035582015-02-27
USD0.040612015-01-30
20145.29%USD 0.541USD0.044712014-12-29
USD0.104382014-12-05
USD0.034542014-11-28
USD0.035382014-10-31
USD0.039062014-09-30
USD0.029842014-08-29
USD0.033852014-07-31
USD0.033212014-06-30
USD0.037332014-05-30
USD0.037892014-04-30
USD0.034292014-03-31
USD0.038532014-02-28
USD0.037692014-01-31
20137.84%USD 0.802USD0.037592013-12-27
USD0.323392013-12-06
USD0.036972013-11-29
USD0.040862013-10-31
USD0.041882013-09-30
USD0.039322013-08-30
USD0.046522013-07-31
USD0.042642013-06-28
USD0.043922013-05-31
USD0.04522013-04-30
USD0.033932013-03-28
USD0.032382013-02-28
USD0.037222013-01-31
20125.40%USD 0.552USD0.353752012-12-27
USD0.03832012-11-30
USD0.043192012-11-01
USD0.034282012-09-28
USD0.039392012-08-31
USD0.043252012-07-31