MIDCAP VALUE FUND I R-3(PMPRX) USD 15.4
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.60%USD 1.016USD0.14062022-12-21
USD0.87532022-12-20
202112.49%USD 1.923USD0.1272021-12-21
USD1.7962021-12-20
20200.93%USD 0.144USD0.14362020-12-21
20194.35%USD 0.671USD0.10092019-12-20
USD0.56962019-12-19
20189.61%USD 1.48USD0.04392018-12-20
USD1.43642018-12-19
20176.16%USD 0.949USD0.0162017-12-21
USD0.93272017-12-20
20160.90%USD 0.139USD0.13872016-12-22
20158.47%USD 1.305USD0.01932015-12-21
USD1.28552015-12-17
201413.51%USD 2.081USD2.0812014-12-17
201326.99%USD 4.156USD0.01872013-12-20
USD4.13752013-12-18
20120.62%USD 0.096USD0.09622012-12-21
20110.08%USD 0.012USD0.01192011-12-21
20100.88%USD 0.136USD0.08912010-12-21
USD0.0472010-04-30
20090.40%USD 0.062USD0.06212009-12-21
20080.39%USD 0.061USD0.06062008-12-19
200710.53%USD 1.622USD0.02992007-12-31
USD1.59222007-12-06
20064.46%USD 0.688USD0.00592006-12-29
USD0.68172006-12-06