PERFORMANCE TRUST MUNICIPAL BOND FUND PERFORMANCE TRUST MUNICIPAL BOND FUND - INSTITUTIONAL CLASS(PTIMX) USD 22.66
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.72%USD 0.162USD0.070012023-03-15
USD0.071662023-02-15
USD0.020682023-01-13
20222.57%USD 0.582USD0.10772022-12-15
USD0.05782022-11-15
USD0.06052022-10-14
USD0.060812022-09-15
USD0.050872022-08-15
USD0.044642022-07-15
USD0.036342022-06-15
USD0.035572022-05-16
USD0.03262022-04-14
USD0.036172022-03-15
USD0.036862022-02-15
USD0.022322022-01-14
20212.44%USD 0.553USD0.014722021-12-15
USD0.027052021-11-15
USD0.078472021-10-15
USD0.026132021-09-15
USD0.052182021-08-16
USD0.055712021-07-15
USD0.032612021-06-15
USD0.055912021-05-17
USD0.055642021-04-15
USD0.057062021-03-15
USD0.050792021-02-16
USD0.047132021-01-15
20203.10%USD 0.703USD0.101132020-12-15
USD0.046722020-11-16
USD0.057042020-10-15
USD0.064422020-09-15
USD0.053462020-08-14
USD0.063222020-07-15
USD0.05162020-06-15
USD0.056142020-05-15
USD0.058112020-04-15
USD0.060732020-03-16
USD0.05492020-02-14
USD0.03592020-01-15
20191.90%USD 0.431USD0.072052019-12-30
USD0.002142019-11-27
USD0.002832019-10-30
USD0.002132019-09-27
USD0.002382019-08-29
USD0.002782019-07-30
USD0.05532019-06-27
USD0.067112019-05-30
USD0.056372019-04-29
USD0.061582019-03-28
USD0.052352019-02-27
USD0.054172019-01-30
20183.02%USD 0.683USD0.062582018-12-28
USD0.055222018-11-29
USD0.063952018-10-30
USD0.05162018-09-27
USD0.059792018-08-30
USD0.05612018-07-30
USD0.052842018-06-28
USD0.062442018-05-30
USD0.054522018-04-27
USD0.070132018-03-28
USD0.043432018-02-27
USD0.050712018-01-30
20172.78%USD 0.629USD0.058582017-12-28
USD0.054622017-11-29
USD0.054042017-10-30
USD0.049722017-09-28
USD0.055732017-08-30
USD0.051022017-07-28
USD0.056922017-06-29
USD0.051652017-05-30
USD0.046172017-04-27
USD0.063822017-03-30
USD0.045762017-02-27
USD0.041032017-01-30
20162.48%USD 0.561USD0.067712016-12-29
USD0.050372016-11-29
USD0.048282016-10-28
USD0.043842016-09-29
USD0.048992016-08-30
USD0.048662016-07-28
USD0.048262016-06-29
USD0.044752016-05-27
USD0.034482016-04-28
USD0.047462016-03-30
USD0.039662016-02-26
USD0.038832016-01-28
20152.58%USD 0.585USD0.05932015-12-30
USD0.040912015-11-25
USD0.044842015-10-29
USD0.05452015-09-29
USD0.045432015-08-28
USD0.054222015-07-30
USD0.044532015-06-29
USD0.042432015-05-28
USD0.053482015-04-29
USD0.054722015-03-30
USD0.047112015-02-26
USD0.043532015-01-29
20143.07%USD 0.695USD0.061862014-12-30
USD0.042922014-11-26
USD0.061332014-10-30
USD0.049152014-09-29
USD0.050322014-08-28
USD0.063152014-07-30
USD0.056412014-06-27
USD0.062262014-05-29
USD0.063912014-04-29
USD0.068482014-03-28
USD0.057062014-02-27
USD0.057892014-01-30
20133.33%USD 0.755USD0.068912013-12-30
USD0.052532013-11-27
USD0.065282013-10-30
USD0.046422013-09-27
USD0.061412013-08-29
USD0.073662013-07-30
USD0.063272013-06-27
USD0.07332013-05-30
USD0.065292013-04-29
USD0.062832013-03-27
USD0.05942013-02-27
USD0.062222013-01-30
20124.32%USD 0.98USD0.27632012-12-28
USD0.069232012-11-29
USD0.059762012-10-31
USD0.055912012-09-27
USD0.067142012-08-30
USD0.060052012-07-30
USD0.043482012-06-28
USD0.081152012-05-30
USD0.064332012-04-27
USD0.067752012-03-29
USD0.064952012-02-28
USD0.069642012-01-30
20111.41%USD 0.32USD0.113292011-12-30
USD0.058062011-11-30
USD0.060662011-10-31
USD0.046322011-09-30
USD0.041492011-08-31