EQUITY INCOME FUND FORMERLY EQUITY INCOME FUND I CLASS A(PQIAX) USD 35.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.47%USD 0.165USD0.16532023-03-17
20225.31%USD 1.871USD0.1362022-12-28
USD1.35262022-12-13
USD0.13432022-09-20
USD0.11752022-06-17
USD0.13082022-03-17
20215.89%USD 2.076USD0.10652021-12-29
USD1.61382021-12-13
USD0.10062021-09-20
USD0.1272021-06-17
USD0.12832021-03-17
20201.53%USD 0.538USD0.12422020-12-29
USD0.13352020-09-18
USD0.13252020-06-17
USD0.14782020-03-18
20194.16%USD 1.466USD0.09762019-12-27
USD0.94672019-12-19
USD0.1372019-09-18
USD0.13462019-06-19
USD0.15032019-03-19
20185.83%USD 2.054USD0.17742018-12-27
USD1.42662018-12-19
USD0.15712018-09-18
USD0.16362018-06-19
USD0.12972018-03-19
20175.60%USD 1.975USD0.11692017-12-27
USD1.52192017-12-20
USD0.10092017-09-18
USD0.10482017-06-20
USD0.132017-03-21
20162.94%USD 1.035USD0.12382016-12-28
USD0.52362016-12-20
USD0.13032016-09-30
USD0.13122016-06-30
USD0.12572016-03-31
20151.50%USD 0.528USD0.13982015-12-28
USD0.13832015-09-30
USD0.11972015-06-30
USD0.12972015-03-31
20141.32%USD 0.466USD0.1222014-12-29
USD0.10652014-09-30
USD0.10772014-06-30
USD0.132014-03-31
20131.37%USD 0.484USD0.12382013-12-27
USD0.12462013-09-30
USD0.1172013-06-28
USD0.11882013-03-28
20121.45%USD 0.511USD0.16812012-12-27
USD0.1252012-09-28
USD0.11512012-06-29
USD0.10232012-03-30
20111.33%USD 0.47USD0.1322011-12-27
USD0.11882011-09-30
USD0.11832011-06-30
USD0.10112011-03-31
20101.16%USD 0.408USD0.12362010-12-31
USD0.08752010-09-30
USD0.0822010-06-30
USD0.0322010-04-30
USD0.08282010-03-31
20091.17%USD 0.411USD0.12922009-12-31
USD0.10242009-09-30
USD0.07952009-06-30
USD0.09962009-03-31
20081.21%USD 0.428USD0.12762008-12-31
USD0.08872008-09-30
USD0.11862008-06-30
USD0.0932008-03-31
20076.78%USD 2.39USD0.09352007-12-31
USD2.04342007-12-06
USD0.09162007-09-28
USD0.08632007-06-29
USD0.07472007-03-30