REAL ESTATE SECURITIES FUND CLASS A(PRRAX) USD 25.82
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.48%USD 0.123USD0.12272023-03-17
20223.08%USD 0.795USD0.37452022-12-28
USD0.27852022-09-20
USD0.06852022-06-17
USD0.07332022-03-17
20215.28%USD 1.362USD0.20252021-12-29
USD0.83172021-12-20
USD0.17922021-09-20
USD0.07452021-06-17
USD0.07422021-03-17
20202.36%USD 0.61USD0.20362020-12-29
USD0.08912020-12-18
USD0.13252020-09-18
USD0.0832020-06-17
USD0.10162020-03-18
20192.90%USD 0.748USD0.10992019-12-27
USD0.24572019-12-19
USD0.18222019-09-18
USD0.11632019-06-19
USD0.0942019-03-19
20183.23%USD 0.833USD0.08212018-12-27
USD0.4272018-12-19
USD0.15512018-09-18
USD0.08642018-06-19
USD0.08232018-03-19
20172.99%USD 0.773USD0.0852017-12-27
USD0.50792017-12-20
USD0.062017-09-18
USD0.062017-06-20
USD0.062017-03-21
20163.57%USD 0.921USD0.062016-12-28
USD0.59592016-12-20
USD0.072016-09-30
USD0.09752016-06-30
USD0.09752016-03-31
20155.65%USD 1.459USD0.062015-12-28
USD1.21872015-12-17
USD0.062015-09-30
USD0.062015-06-30
USD0.062015-03-31
20141.75%USD 0.453USD0.07192014-12-29
USD0.21612014-12-17
USD0.0552014-09-30
USD0.0552014-06-30
USD0.0552014-03-31
201312.38%USD 3.196USD0.12272013-12-27
USD2.90822013-12-18
USD0.0552013-09-30
USD0.0552013-06-28
USD0.0552013-03-28
20120.62%USD 0.16USD0.04782012-12-27
USD0.03752012-09-28
USD0.03752012-06-29
USD0.03752012-03-30
20110.27%USD 0.07USD0.022011-12-27
USD0.022011-09-30
USD0.022011-06-30
USD0.012011-03-31
20100.97%USD 0.251USD0.08212010-12-31
USD0.03992010-09-30
USD0.04822010-06-30
USD0.0812010-03-31
20091.01%USD 0.261USD0.07042009-12-31
USD0.04062009-09-30
USD0.05322009-06-30
USD0.09662009-03-31
20081.22%USD 0.314USD0.09282008-12-31
USD0.06842008-09-30
USD0.07042008-06-30
USD0.08242008-03-31
200722.60%USD 5.835USD0.07152007-12-31
USD5.7292007-12-06
USD0.01442007-09-28
USD0.00882007-06-29
USD0.01152007-03-30
20068.59%USD 2.218USD0.07942006-12-29
USD2.06822006-12-06
USD0.04222006-09-29
USD0.0282006-06-30
20053.51%USD 0.907USD0.1182005-12-30
USD0.60952005-12-06
USD0.06612005-09-30
USD0.06612005-06-29
USD0.047512005-03-31
20041.07%USD 0.277USD0.097452004-12-31
USD0.0672004-09-17
USD0.056042004-06-18
USD0.056042004-03-19
20031.56%USD 0.403USD0.138872003-12-19
USD0.075532003-09-19
USD0.085272003-06-19
USD0.103542003-03-19
20021.49%USD 0.384USD0.123042002-12-19
USD0.090152002-09-19
USD0.085272002-06-19
USD0.085272002-03-19
20011.88%USD 0.485USD0.097452001-12-19
USD0.082842001-09-19
USD0.095022001-07-19
USD0.095022001-06-19
USD0.114512001-03-19
20001.78%USD 0.459USD0.127912000-12-20
USD0.114512000-09-20
USD0.114512000-06-21
USD0.102332000-03-22