STOCKSPLUS FUND ADMINISTRATIVE(PPLAX) USD 12.59
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.18%USD 0.022USD0.022072022-03-10
202114.55%USD 1.832USD0.078442021-12-28
USD1.282292021-12-08
USD0.207382021-09-09
USD0.073192021-06-10
USD0.19062021-03-11
20203.51%USD 0.442USD0.024052020-12-28
USD0.12322020-12-09
USD0.158092020-09-10
USD0.052652020-06-11
USD0.084262020-03-12
201911.90%USD 1.499USD0.037972019-12-26
USD0.913062019-12-11
USD0.234442019-09-12
USD0.190862019-06-13
USD0.122382019-03-14
201814.73%USD 1.854USD0.052962018-12-26
USD1.633282018-12-12
USD0.05222018-09-13
USD0.047242018-06-14
USD0.068312018-03-15
20171.03%USD 0.129USD0.039372017-12-27
USD0.018192017-09-14
USD0.035822017-06-15
USD0.036022017-03-16
20160.67%USD 0.084USD0.024592016-12-28
USD0.0322016-09-15
USD0.027512016-03-17
20157.21%USD 0.908USD0.038492015-12-29
USD0.750782015-12-16
USD0.075452015-09-17
USD0.042952015-06-18
201413.71%USD 1.726USD0.002362014-12-29
USD1.677032014-12-10
USD0.004382014-09-18
USD0.004072014-06-19
USD0.038282014-03-20
20139.52%USD 1.199USD0.170432013-12-27
USD0.733642013-12-11
USD0.120732013-09-19
USD0.125292013-06-20
USD0.048912013-03-21
20127.62%USD 0.96USD0.083622012-12-27
USD0.587042012-12-12
USD0.122482012-09-20
USD0.085372012-06-21
USD0.081032012-03-22
20116.75%USD 0.85USD0.170152011-12-28
USD0.487982011-12-07
USD0.057922011-09-15
USD0.08672011-06-16
USD0.047622011-03-17
20107.19%USD 0.906USD0.258782010-12-31
USD0.197752010-09-16
USD0.232582010-06-17
USD0.0272010-04-30
USD0.189452010-03-18
20086.37%USD 0.802USD0.116762008-12-30
USD0.268332008-09-18
USD0.208752008-06-19
USD0.207732008-03-20
20074.04%USD 0.508USD0.096762007-12-27
USD0.15242007-09-20
USD0.132252007-06-21
USD0.1272007-03-22
20063.44%USD 0.433USD0.119512006-12-27
USD0.117342006-09-21
USD0.068352006-06-22
USD0.128112006-03-23
20051.55%USD 0.195USD0.067672005-09-22
USD0.047912005-06-23
USD0.079812005-03-24
20045.47%USD 0.688USD0.140832004-12-29
USD0.167552004-09-16
USD0.090162004-06-17
USD0.289582004-03-18
20033.36%USD 0.423USD0.279492003-12-30
USD0.099242003-09-18
USD0.044372003-06-19
20021.70%USD 0.214USD0.120432002-12-30
USD0.093672002-03-21
20011.15%USD 0.145USD0.037062001-12-31
USD0.108082001-06-22
200013.18%USD 1.659USD1.314182000-12-12
USD0.1342000-09-22
USD0.115962000-06-23
USD0.095352000-03-23