STOCKSPLUS FUND INSTITUTIONAL(PSTKX) USD 10.21
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.84%USD 0.903USD0.017862022-12-27
USD0.824192022-12-07
USD0.01622022-09-08
USD0.016492022-06-09
USD0.027832022-03-10
202118.30%USD 1.869USD0.084932021-12-28
USD1.282292021-12-08
USD0.214182021-09-09
USD0.079852021-06-10
USD0.207552021-03-11
20204.86%USD 0.496USD0.032782020-12-31
USD0.032782020-12-28
USD0.12322020-12-09
USD0.163012020-09-10
USD0.055662020-06-11
USD0.088642020-03-12
201914.87%USD 1.518USD0.043932019-12-26
USD0.913062019-12-11
USD0.239832019-09-12
USD0.195162019-06-13
USD0.126182019-03-14
201818.41%USD 1.88USD0.058932018-12-26
USD1.633282018-12-12
USD0.059282018-09-13
USD0.051732018-06-14
USD0.076372018-03-15
20171.48%USD 0.151USD0.04592017-12-27
USD0.02482017-09-14
USD0.040222017-06-15
USD0.040282017-03-16
20161.26%USD 0.129USD0.033932016-12-28
USD0.032892016-09-15
USD0.0312016-06-16
USD0.031152016-03-17
20159.05%USD 0.924USD0.043422015-12-29
USD0.750782015-12-16
USD0.080462015-09-17
USD0.049162015-06-18
201417.07%USD 1.743USD0.002882014-12-29
USD1.677032014-12-10
USD0.008952014-09-18
USD0.009482014-06-19
USD0.044422014-03-20
201311.96%USD 1.222USD0.177322013-12-27
USD0.733642013-12-11
USD0.125572013-09-19
USD0.128712013-06-20
USD0.056362013-03-21
20129.14%USD 0.933USD0.094852012-12-27
USD0.587042012-12-12
USD0.103582012-09-20
USD0.062212012-06-21
USD0.085122012-03-22
20118.51%USD 0.869USD0.173342011-12-28
USD0.487982011-12-07
USD0.063972011-09-15
USD0.091342011-06-16
USD0.052082011-03-17
20106.47%USD 0.661USD0.026462010-12-31
USD0.20262010-09-16
USD0.23742010-06-17
USD0.194112010-03-18
20088.13%USD 0.83USD0.129142008-12-30
USD0.274122008-09-18
USD0.213332008-06-19
USD0.213822008-03-20
20075.26%USD 0.537USD0.102432007-12-27
USD0.16282007-09-20
USD0.138942007-06-21
USD0.133282007-03-22
20064.49%USD 0.458USD0.12662006-12-27
USD0.123412006-09-21
USD0.074112006-06-22
USD0.133912006-03-23
20052.09%USD 0.213USD0.07342005-09-22
USD0.054552005-06-23
USD0.085322005-03-24
20047.21%USD 0.737USD0.171162004-12-29
USD0.174762004-09-16
USD0.095152004-06-17
USD0.29552004-03-18
20034.27%USD 0.436USD0.286072003-12-30
USD0.104552003-09-18
USD0.045512003-06-19
20022.16%USD 0.22USD0.125592002-12-30
USD0.094522002-03-21
20011.54%USD 0.157USD0.043242001-12-31
USD0.113662001-06-22
200016.46%USD 1.68USD1.314182000-12-12
USD0.1412000-09-22
USD0.122582000-06-23
USD0.102312000-03-23