REAL ESTATE SECURITIES FUND CLASS J(PREJX) USD 24.92
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.51%USD 0.127USD0.12742023-03-17
20223.35%USD 0.835USD0.38282022-12-28
USD0.28852022-09-20
USD0.082022-06-17
USD0.08332022-03-17
20215.63%USD 1.403USD0.21572021-12-29
USD0.83172021-12-20
USD0.18972021-09-20
USD0.08342021-06-17
USD0.08212021-03-17
20202.61%USD 0.651USD0.21912020-12-29
USD0.08912020-12-18
USD0.14252020-09-18
USD0.09052020-06-17
USD0.11012020-03-18
20193.13%USD 0.779USD0.11942019-12-27
USD0.24572019-12-19
USD0.18922019-09-18
USD0.12442019-06-19
USD0.10072019-03-19
20183.46%USD 0.863USD0.08872018-12-27
USD0.4272018-12-19
USD0.16232018-09-18
USD0.0952018-06-19
USD0.09022018-03-19
20173.28%USD 0.818USD0.09722017-12-27
USD0.50792017-12-20
USD0.07152017-09-18
USD0.07192017-06-20
USD0.06952017-03-21
20163.80%USD 0.947USD0.06722016-12-28
USD0.59592016-12-20
USD0.07452016-09-30
USD0.10322016-06-30
USD0.10582016-03-31
20155.97%USD 1.487USD0.07712015-12-28
USD1.21872015-12-17
USD0.07152015-09-30
USD0.06142015-06-30
USD0.05792015-03-31
20141.85%USD 0.461USD0.07292014-12-29
USD0.21612014-12-17
USD0.05672014-09-30
USD0.05722014-06-30
USD0.05782014-03-31
201312.87%USD 3.206USD0.12782013-12-27
USD2.90822013-12-18
USD0.05662013-09-30
USD0.05732013-06-28
USD0.05652013-03-28
20120.66%USD 0.163USD0.04962012-12-27
USD0.03842012-09-28
USD0.03832012-06-29
USD0.0372012-03-30
20110.31%USD 0.077USD0.02122011-12-27
USD0.02332011-09-30
USD0.02212011-06-30
USD0.01012011-03-31
20100.99%USD 0.247USD0.08162010-12-31
USD0.04062010-09-30
USD0.04792010-06-30
USD0.07662010-03-31
20090.94%USD 0.235USD0.06342009-12-31
USD0.0352009-09-30
USD0.04652009-06-30
USD0.09042009-03-31
20081.16%USD 0.288USD0.0872008-12-31
USD0.06252008-09-30
USD0.06312008-06-30
USD0.07552008-03-31
200723.28%USD 5.802USD0.06422007-12-31
USD5.7292007-12-06
USD0.00652007-09-28
USD0.0022007-03-30
20068.81%USD 2.196USD0.0722006-12-29
USD2.06822006-12-06
USD0.03462006-09-29
USD0.02082006-06-30
20053.61%USD 0.899USD0.112005-12-30
USD0.60952005-12-06
USD0.06382005-09-30
USD0.06382005-06-29
USD0.0522005-03-31
20045.31%USD 1.324USD0.27582004-12-23
USD1.04862004-12-06
20031.58%USD 0.393USD0.24922003-12-23
USD0.14422003-12-04